GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 96.5%

 

          Australia — 0.4%  
    320,055     Clean TeQ Water Ltd. * (a)     35,077  
    451,213     IGO Ltd.     1,129,608  
    1,399,037     Sunrise Energy Metals Ltd. *     400,630  
     

 

 

 
    Total Australia     1,565,315  
     

 

 

 
          Brazil — 1.3%  
    685,300     Suzano SA     5,948,972  
     

 

 

 
          Canada — 4.3%      
    476,293     Anaergia, Inc. *     454,654  
    151,438     First Quantum Minerals Ltd. *     2,243,403  
    1,925,700     Greenlane Renewables, Inc. *     133,305  
    841,129     Ivanhoe Mines Ltd. – Class A* (a)     6,515,249  
    1,008,392     Largo, Inc. *     1,307,930  
    166,688     Li-Cycle Holdings Corp. * (a)     15,835  
    1,072,000     NexGen Energy Ltd. * (a)     6,608,460  
    147,700     Northland Power, Inc. (a)     2,202,020  
     

 

 

 
    Total Canada     19,480,856  
     

 

 

 
          China — 0.7%  
    980,100     CECEP Solar Energy Co. Ltd. – Class A     590,148  
    1,278,000     CMOC Group Ltd. – Class H     1,018,711  
    420,476     Yutong Bus Co. Ltd. – Class A     1,440,890  
     

 

 

 
    Total China     3,049,749  
     

 

 

 
          Denmark — 4.9%  
    14,100     NKT AS *     1,208,355  
    64,070     Rockwool AS – B Shares     3,040,266  
    1,122,906     Vestas Wind Systems AS     17,759,044  
     

 

 

 
    Total Denmark     22,007,665  
     

 

 

 
          Finland — 2.6%  
    127,454     Kemira OYJ     2,802,535  
    856,271     Neste OYJ     9,185,549  
     

 

 

 
    Total Finland     11,988,084  
     

 

 

 
          France — 10.6%  
    145,113     Nexans SA     16,691,891  
    8,913     Schneider Electric SE     2,248,853  
    108,621     STMicroelectronics NV (a)     2,730,733  
    1,315,082     Valeo SE (a)     13,850,616  
    295,684     Veolia Environnement SA     10,176,438  
    114,522     Waga Energy SA * (a)     2,267,417  
     

 

 

 
    Total France      47,965,948  
     

 

 

 
          Germany — 4.1%  
    151,884     E.ON SE     2,661,933  
    250,248     Infineon Technologies AG     9,729,573  
    63,326     Knorr-Bremse AG     6,407,668  
     

 

 

 
    Total Germany     18,799,174  
     

 

 

 
    
Shares
    Description   Value ($)  
          Ireland — 0.6%  
    28,938     Kingspan Group PLC     2,485,474  
     

 

 

 
          Italy — 1.7%      
    298,472     Enel SpA     2,743,555  
    30,931     ERG SpA (a)     654,111  
    63,603     Prysmian SpA     4,090,439  
     

 

 

 
    Total Italy     7,488,105  
     

 

 

 
          Japan — 3.4%  
    26,000     Daikin Industries Ltd.     2,958,296  
    162,900     GS Yuasa Corp.     2,967,830  
    179,100     Kansai Electric Power Co., Inc.     2,032,093  
    361,600     Renesas Electronics Corp.     4,391,782  
    123,100     Yokogawa Electric Corp.     3,017,915  
     

 

 

 
    Total Japan     15,367,916  
     

 

 

 
          Mexico — 0.8%  
    375,369     Grupo Mexico SAB de CV – Series B     2,074,245  
    2,383,026     Orbia Advance Corp. SAB de CV (a)     1,613,174  
     

 

 

 
    Total Mexico     3,687,419  
     

 

 

 
          Netherlands — 0.3%  
    27,736     Arcadis NV     1,432,401  
     

 

 

 
          Norway — 2.6%      
    512,478     Austevoll Seafood ASA     4,652,436  
    72,400     Bakkafrost P/F     3,370,621  
    209,256     Mowi ASA     3,907,341  
     

 

 

 
    Total Norway     11,930,398  
     

 

 

 
          Russia — 0.0%  
    7,221,500     GMK Norilskiy Nickel PAO * (b) (c)      
    120,856     PhosAgro PJSC (b) (c)      
    2,335     PhosAgro PJSC GDR * (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
          South Korea — 5.8%  
    32,998     CS Wind Corp.     1,178,433  
    127,147     LG Chem Ltd.     18,142,633  
    58,043     Samsung SDI Co. Ltd.     7,096,749  
     

 

 

 
    Total South Korea     26,417,815  
     

 

 

 
          Spain — 2.7%  
    17,846     Acciona SA (a)     2,875,527  
    117,892     Endesa SA     3,602,650  
    182,558     Iberdrola SA     3,346,243  
    124,691     Redeia Corp. SA     2,579,557  
     

 

 

 
    Total Spain      12,403,977  
     

 

 

 
          Switzerland — 0.3%  
    21,208     Landis & Gyr Group AG     1,340,885  
     

 

 

 
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Ukraine — 0.2%      
    219,994     Kernel Holding SA *     1,080,406  
     

 

 

 
          United Kingdom — 1.0%      
    460,000     Lifezone Metals Ltd. *     1,835,400  
    200,177     National Grid PLC (a)     2,834,654  
     

 

 

 
    Total United Kingdom     4,670,054  
     

 

 

 
          United States — 48.2%  
    70,300     Advanced Drainage Systems, Inc.     7,730,188  
    342,762     Aemetis, Inc. * (a)     586,123  
    61,332     AGCO Corp.     6,009,309  
    15,300     Air Products & Chemicals, Inc.     4,267,323  
    119,300     Albemarle Corp.     6,652,168  
    1,004,370     Ameresco, Inc. – Class A *     13,840,219  
    2,167,700     Array Technologies, Inc. *     14,306,820  
    78,400     Axcelis Technologies, Inc. *     4,417,056  
    273,791     BorgWarner, Inc.     9,059,744  
    86,300     Carrier Global Corp.     6,144,560  
    3,706,489     Clean Energy Fuels Corp. *     6,634,615  
    22,500     Consolidated Edison, Inc.     2,351,025  
    76,939     Corteva, Inc.     5,447,281  
    587,010     Darling Ingredients, Inc. *     18,291,232  
    32,367     Edison International     1,801,224  
    28,903     EnerSys     2,417,158  
    111,022     Enphase Energy, Inc. *     4,595,201  
    59,739     Exelon Corp.     2,617,763  
    62,195     First Solar, Inc. *     9,831,786  
    73,556     Freeport-McMoRan, Inc.     2,830,435  
    980,795     Gevo, Inc. * (a)     1,245,610  
    2,739,148     GrafTech International Ltd. * (a)     2,728,739  
    973,521     Green Plains, Inc. *     4,049,847  
    19,900     Hubbell, Inc.     7,752,642  
    194,500     NEXTracker, Inc. – Class A *     11,026,205  
    105,348     ON Semiconductor Corp. *     4,426,723  
    74,600     Ormat Technologies, Inc.     5,545,018  
    13,609     Owens Corning     1,822,925  
    22,472     Pentair PLC     2,228,773  
    989,676     SolarEdge Technologies, Inc. *      17,675,613  
    
Shares
    Description   Value ($)  
          United States — continued  
    2,505,819     Sunrun, Inc. *     18,768,584  
    20,295     TE Connectivity PLC     3,248,621  
    8,700     Trane Technologies PLC     3,743,349  
    8,100     Valmont Industries, Inc.     2,576,124  
    19,000     Veralto Corp.     1,919,570  
     

 

 

 
    Total United States     218,589,573  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $637,413,874)
    437,700,186  
     

 

 

 
          PREFERRED STOCKS (d) — 1.8%  
          Chile — 1.8%  
    270,304     Sociedad Quimica y Minera de Chile SA Sponsored ADR * (a)     8,225,351  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $10,620,086)
    8,225,351  
     

 

 

 
          INVESTMENT FUNDS — 1.6%  
          United States — 1.6%  
    1,484,638     GMO U.S. Treasury Fund, Class VI (e)     7,438,039  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $7,438,039)
    7,438,039  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    220,062     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (f)     220,062  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $220,062)
    220,062  
     

 

 

 
    TOTAL INVESTMENTS — 100.0% (Cost $655,692,061)     453,583,638  
    Other Assets and Liabilities (net) — 0.0%     97,800  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $453,681,438  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
GMK Norilskiy Nickel PAO    04/11/18    $ 21,636,323      0.0%   $  
PhosAgro PJSC    08/09/19      5,614,147      0.0%      
PhosAgro PJSC GDR    08/09/19      36,037      0.0%      
          

 

 

 
           $  
          

 

 

 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

The security is restricted as to resale.

 

(d)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(e)

Affiliated company.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2025.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 95.4%

 

          Brazil — 4.4%  
    137,500     Ambev SA ADR     335,500  
    131,587     Cia de Saneamento de Minas Gerais Copasa MG     549,401  
    48,262     Cia De Sanena Do Parana     276,518  
    32,231     CPFL Energia SA     228,172  
    36,600     Cyrela Brazil Realty SA Empreendimentos e Participacoes     159,787  
    128,400     JBS SA     900,674  
    6,000     Porto Seguro SA     54,624  
    210,700     Vibra Energia SA     743,409  
     

 

 

 
    Total Brazil     3,248,085  
     

 

 

 
          Czech Republic — 0.3%  
    235     Philip Morris CR AS *     197,848  
     

 

 

 
          Egypt — 0.5%      
    6,271     Abou Kir Fertilizers & Chemical Industries     6,090  
    62,962     Commercial International Bank – Egypt (CIB)     104,831  
    293,698     Eastern Co. SAE     196,841  
    35,621     ElSewedy Electric Co.     58,521  
     

 

 

 
    Total Egypt     366,283  
     

 

 

 
          Hungary — 4.8%  
    39,757     Magyar Telekom Telecommunications PLC     197,616  
    50,953     MOL Hungarian Oil & Gas PLC *     440,596  
    6,280     Opus Global Nyrt     10,026  
    31,143     OTP Bank Nyrt     2,362,393  
    18,183     Richter Gedeon Nyrt     529,073  
     

 

 

 
    Total Hungary      3,539,704  
     

 

 

 
          India — 19.1%  
    447     63 Moons Technologies Ltd.     4,488  
    9,355     Ashapura Minechem Ltd. *     46,266  
    27,867     Ashoka Buildcon Ltd. *     71,641  
    26,515     Aurobindo Pharma Ltd. *     356,735  
    7,141     Avanti Feeds Ltd.     70,261  
    2,297     Bajaj Finance Ltd.     245,748  
    112,576     Bharat Petroleum Corp. Ltd.     418,430  
    78,754     Brightcom Group Ltd. * (a)     9,461  
    50,996     Chambal Fertilisers & Chemicals Ltd.     327,626  
    57,572     Cipla Ltd.     986,273  
    74,265     Dr. Reddy’s Laboratories Ltd.     1,087,556  
    39,216     Federal Bank Ltd.     92,800  
    28,958     Firstsource Solutions Ltd.     125,561  
    103,214     GAIL India Ltd.     229,388  
    12,255     GHCL Ltd.     88,097  
    22,982     Glenmark Pharmaceuticals Ltd.     392,604  
    32,800     Godawari Power & Ispat Ltd.     73,755  
    31,797     Goldiam International Ltd.     140,693  
    8,852     Great Eastern Shipping Co. Ltd.     96,362  
    73,843     Gujarat State Fertilizers & Chemicals Ltd.     172,453  
    4,027     Gujarat State Petronet Ltd.     15,448  
    6,400     HDFC Bank Ltd. ADR     482,496  
    
Shares
    Description   Value ($)  
          India — continued  
    29,738     HDFC Bank Ltd. *     677,436  
    2,204     Hero MotoCorp Ltd.     111,077  
    52,441     Hindalco Industries Ltd.     389,199  
    18,190     ICICI Bank Ltd.     308,594  
    113,805     Indian Oil Corp. Ltd.     189,084  
    8,006     Indus Towers Ltd. *     35,800  
    6,616     IndusInd Bank Ltd.     63,361  
    34,691     ITC Ltd.     170,012  
    1,028     JB Chemicals & Pharmaceuticals Ltd.     20,223  
    85,201     JM Financial Ltd.     127,264  
    1,075     Kaveri Seed Co. Ltd.     18,072  
    1,754     KNR Constructions Ltd.     4,330  
    1,459     KRBL Ltd.     6,011  
    5,082     LT Foods Ltd.     26,101  
    12,293     Lupin Ltd.     281,499  
    1,218     Mahanagar Gas Ltd.     18,880  
    396,157     Manappuram Finance Ltd.     1,101,254  
    7,024     Marksans Pharma Ltd.     21,402  
    10,022     Muthoot Finance Ltd.     258,693  
    29,260     Natco Pharma Ltd.     301,867  
    12,929     National Aluminium Co. Ltd.     27,345  
    366,036     NMDC Ltd.     305,008  
    424,482     Oil & Natural Gas Corp. Ltd.     1,188,137  
    120,354     Petronet LNG Ltd.     432,966  
    1,862     Pokarna Ltd.     23,320  
    61,007     Power Grid Corp. of India Ltd.     206,843  
    1,260     PTC India Ltd.     2,594  
    13,729     Rajesh Exports Ltd. *     32,283  
    14,687     Redington Ltd.     44,503  
    184,680     Sammaan Capital Ltd.     267,575  
    2,643     Sharda Cropchem Ltd.     22,906  
    62,924     Shriram Finance Ltd.     470,874  
    18,094     Siyaram Silk Mills Ltd.     152,422  
    1,069     Strides Pharma Science Ltd.     10,201  
    22,595     Sun Pharmaceutical Industries Ltd.     442,868  
    14,543     Sun TV Network Ltd.     106,956  
    1,584     UTI Asset Management Co. Ltd.     22,034  
    1,169     Vadilal Industries Ltd.     73,414  
    1,873     West Coast Paper Mills Ltd.     10,543  
    74,921     Wipro Ltd.     218,833  
    21,582     Zydus Lifesciences Ltd.     234,035  
     

 

 

 
    Total India     13,959,961  
     

 

 

 
          Indonesia — 7.5%  
    1,203,100     AKR Corporindo Tbk. PT     93,928  
    4,709,100     Aneka Tambang Tbk. PT *     898,136  
    4,410,100     Astra International Tbk. PT     1,311,372  
    193,400     Bank BTPN Syariah Tbk. PT     15,358  
    253,100     Bank Mandiri Persero Tbk. PT     82,232  
    2,204,800     Bank Negara Indonesia Persero Tbk. PT     608,090  
    68,400     Bank Rakyat Indonesia Persero Tbk. PT     18,610  
    2,057,400     Dharma Satya Nusantara Tbk. PT     99,195  
    30,100     Indah Kiat Pulp & Paper Tbk. PT     11,842  
    146,000     Indofood CBP Sukses Makmur Tbk. PT     97,565  
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Indonesia — continued  
    1,736,000     Indofood Sukses Makmur Tbk. PT     837,987  
    1,457,500     Japfa Comfeed Indonesia Tbk. PT     143,627  
    530,800     Kalbe Farma Tbk. PT *     49,309  
    226,400     Medco Energi Internasional Tbk. PT     17,008  
    6,529,100     Panin Financial Tbk. PT *     117,784  
    3,057,400     Perusahaan Gas Negara Tbk. PT     340,803  
    1,038,700     Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT     77,662  
    976,700     Saratoga Investama Sedaya Tbk. PT *     104,912  
    5,886,500     Surya Citra Media Tbk. PT     58,398  
    1,800     Telkom Indonesia Persero Tbk. PT ADR *     30,870  
    1,824,100     Telkom Indonesia Persero Tbk. PT *     315,335  
    2,186,400     Triputra Agro Persada PT     121,498  
    113,200     Unilever Indonesia Tbk. PT     11,995  
     

 

 

 
    Total Indonesia     5,463,516  
     

 

 

 
          Kuwait — 0.1%  
    25,993     Agility Public Warehousing Co. KSC     21,143  
    23,319     Noor Financial Investment Co. KSC     24,818  
     

 

 

 
    Total Kuwait     45,961  
     

 

 

 
          Mexico — 3.8%  
    30,860     Arca Continental SAB de CV     339,689  
    7,283     Bolsa Mexicana de Valores SAB de CV     15,924  
    4,300     Cemex SAB de CV Sponsored ADR     29,455  
    78,400     Cemex SAB de CV     53,760  
    4,501     Coca-Cola Femsa SAB de CV Sponsored ADR     427,595  
    539,400     Credito Real SAB de CV SOFOM ER * (b)      
    25,700     El Puerto de Liverpool SAB de CV – Class C1     124,816  
    137,900     Genomma Lab Internacional SAB de CV – Class B     159,400  
    219,435     Gentera SAB de CV     430,589  
    582     Gruma SAB de CV – Class B     10,951  
    131,136     Grupo Financiero Banorte SAB de CV – Class O      1,163,024  
     

 

 

 
    Total Mexico     2,755,203  
     

 

 

 
          Poland — 0.1%  
    5,123     Powszechny Zaklad Ubezpieczen SA     83,696  
     

 

 

 
          Qatar — 0.3%      
    54,883     Qatar National Bank QPSC     255,255  
     

 

 

 
          Russia — 0.0%      
    4,036,000     Alrosa PJSC (b) (c)      
    131,280     Evraz PLC * (b)      
    236,860,000     Federal Grid Co-Rosseti PJSC * (b) (c)      
    102,255     Gazprom Neft PJSC (b) (c)      
    897,812     Gazprom PJSC (b) (c)      
    783,200     GMK Norilskiy Nickel PAO * (b) (c)      
    6,151,400     Inter RAO UES PJSC (b) (c)      
    122,088     LUKOIL PJSC * (b) (c)      
    4,327,340     Magnitogorsk Iron & Steel Works PJSC (b) (c)      
    
Shares
    Description   Value ($)  
          Russia — continued      
    88,090     Moscow Exchange MICEX-RTS PJSC (b) (c)      
    93,370     Novatek PJSC (b) (c)      
    1,403,510     Novolipetsk Steel PJSC * (b) (c)      
    4,917     PhosAgro PJSC (b) (c)      
    95     PhosAgro PJSC GDR * (b) (c)      
    119,020     Polyus PJSC * (b) (c)      
    1     Polyus PJSC GDR * (b) (c)      
    50,074,400     RusHydro PJSC * (b) (c)      
    3,446,432     Sberbank of Russia PJSC (b) (c)      
    140,607     Severstal PAO GDR (Registered) * (b) (c)      
    2,387,800     Surgutneftegas PAO (b) (c)      
    657,084     Tatneft PJSC (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
          Saudi Arabia — 1.3%  
    34,831     Arab National Bank     200,922  
    23,824     Riyad Bank     184,314  
    19,457     Saudi Awwal Bank     174,959  
    29,138     Saudi National Bank     269,270  
    10,444     Saudi Telecom Co.     116,537  
     

 

 

 
    Total Saudi Arabia     946,002  
     

 

 

 
          South Africa — 0.8%  
    2,107     Nedbank Group Ltd.     29,933  
    56,222     Ninety One Ltd.     119,537  
    291,697     Old Mutual Ltd.     189,327  
    10,910     Omnia Holdings Ltd.     43,278  
    10,363     Tiger Brands Ltd.     199,208  
     

 

 

 
    Total South Africa     581,283  
     

 

 

 
          South Korea — 14.0%  
    1,243     Cheil Worldwide, Inc.     16,528  
    3,868     Coway Co. Ltd.     248,732  
    10,777     Daou Data Corp.     132,809  
    3,865     Doosan Bobcat, Inc.     131,371  
    9,570     Hana Financial Group, Inc.     503,324  
    5,978     Hankook Tire & Technology Co. Ltd.     166,721  
    7,288     Hyundai Glovis Co. Ltd.     598,069  
    273     Hyundai Marine & Fire Insurance Co. Ltd. *     4,816  
    10,737     Hyundai Mobis Co. Ltd.     1,968,266  
    2,666     KB Financial Group, Inc.     200,600  
    27,347     Kia Corp.     1,768,609  
    18,218     KT&G Corp.     1,583,879  
    1,789     Kyung Dong Navien Co. Ltd.     97,378  
    34,835     Samsung Electronics Co. Ltd.     1,413,524  
    2,668     Shinhan Financial Group Co. Ltd.     111,595  
    92,163     Woori Financial Group, Inc.     1,286,025  
    1,364     Youngone Corp.     59,931  
     

 

 

 
    Total South Korea     10,292,177  
     

 

 

 
          Taiwan — 27.9%  
    57,000     Asustek Computer, Inc.     1,171,910  
    126,000     Cathay Financial Holding Co. Ltd.     249,253  
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Taiwan — continued  
    28,000     Compal Electronics, Inc.     26,537  
    26,000     CTBC Financial Holding Co. Ltd.     35,098  
    61,000     Eva Airways Corp.     82,413  
    280,600     Evergreen Marine Corp. Taiwan Ltd.     2,266,982  
    37,000     Formosa Advanced Technologies Co. Ltd.     32,303  
    86,000     Fubon Financial Holding Co. Ltd.     226,703  
    2,000     Fusheng Precision Co. Ltd.     23,197  
    275,000     Hon Hai Precision Industry Co. Ltd.     1,400,475  
    35,000     Kung Long Batteries Industrial Co. Ltd.     167,630  
    38,000     MediaTek, Inc.     1,560,226  
    77,528     Nantex Industry Co. Ltd.     63,405  
    940,000     Pou Chen Corp.     969,749  
    126,000     Radiant Opto-Electronics Corp.     615,017  
    16,000     Realtek Semiconductor Corp.     285,302  
    33,000     Simplo Technology Co. Ltd.     409,697  
    13,000     Sinon Corp.     18,602  
    23,000     T3EX Global Holdings Corp.     60,812  
    23,000     TaiDoc Technology Corp.     106,297  
    2,300     Taiwan Semiconductor Manufacturing Co. Ltd. Sponsored ADR     444,636  
    266,000     Taiwan Semiconductor Manufacturing Co. Ltd.     8,483,811  
    24,000     Wan Hai Lines Ltd.     85,845  
    586,000     Yang Ming Marine Transport Corp.     1,541,668  
    45,000     YungShin Global Holding Corp.     91,860  
    14,000     Zhen Ding Technology Holding Ltd.     47,513  
     

 

 

 
    Total Taiwan     20,466,941  
     

 

 

 
          Thailand — 6.7%  
    54,100     Bangkok Bank PCL NVDR     233,022  
    356,300     Kasikornbank PCL NVDR     1,671,186  
    1,762,100     Krung Thai Bank PCL NVDR     1,190,102  
    185,700     PTT Exploration & Production PCL NVDR     553,337  
    397,400     PTT PCL NVDR     359,758  
    9,300     Regional Container Lines PCL NVDR     7,425  
    236,100     SCB X PCL NVDR     852,091  
    103,200     Sri Trang Gloves Thailand PCL NVDR     20,376  
     

 

 

 
    Total Thailand     4,887,297  
     

 

 

 
          United Arab Emirates — 3.5%  
    95,491     Abu Dhabi Commercial Bank PJSC     313,876  
    5,644     Abu Dhabi Islamic Bank PJSC     29,462  
    101,217     Dubai Islamic Bank PJSC     227,313  
    62,266     Emaar Development PJSC     227,067  
    274,305     Emaar Properties PJSC     982,273  
    96,795     Emirates NBD Bank PJSC     590,113  
    26,070     First Abu Dhabi Bank PJSC     114,248  
    10,679     Orascom Construction PLC     55,312  
     

 

 

 
    Total United Arab Emirates     2,539,664  
     

 

 

 
          Vietnam — 0.3%  
    6,200     Binh Minh Plastics JSC     32,566  
    10,700     PetroVietNam Ca Mau Fertilizer JSC     13,589  
    33,700     Quang Ngai Sugar JSC     61,590  
    
Shares
    Description   Value ($)  
          Vietnam — continued  
    68,800     Vietnam Dairy Products JSC     145,066  
     

 

 

 
    Total Vietnam     252,811  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $133,848,319)
    69,881,687  
     

 

 

 
          PREFERRED STOCKS (d) — 3.6%  
          Brazil — 3.5%  
    28,957     Bradespar SA     78,980  
    11,495     Cia de Ferro Ligas da Bahia FERBASA     14,109  
    889,266     Cia Energetica de Minas Gerais     1,685,400  
    113,300     Gerdau SA     302,094  
    39,410     Itau Unibanco Holding SA     257,910  
    86,900     Itausa SA     168,194  
    19,800     Marcopolo SA     25,098  
     

 

 

 
    Total Brazil     2,531,785  
     

 

 

 
          Colombia — 0.1%  
    1,443     Grupo Cibest SA ADR     59,783  
     

 

 

 
          Russia — 0.0%      
    3,948,700     Surgutneftegas PAO (b) (c)      
    31,500     Transneft PJSC (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $5,512,090)
    2,591,568  
     

 

 

 
          INVESTMENT FUNDS — 0.8%  
          United States — 0.8%  
    109,714     GMO U.S. Treasury Fund, Class VI (e)     549,669  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $549,669)
    549,669  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.7%  
          Money Market Funds — 1.7%  
    1,261,970     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (f)     1,261,970  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,261,970)
    1,261,970  
     

 

 

 
    TOTAL INVESTMENTS — 101.5%
(Cost $141,172,048)
    74,284,894  
    Other Assets and Liabilities (net) — (1.5)%     (1,063,853
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $73,221,041  
     

 

 

 
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
Alrosa PJSC    10/18/2021    $ 7,054,956      0.0%   $  
Federal Grid Co-Rosseti PJSC    10/18/2021      599,930      0.0%      
Gazprom Neft PJSC    10/18/2021      736,459      0.0%      
Gazprom PJSC    10/18/2021      4,325,759      0.0%      
GMK Norilskiy Nickel PAO    10/18/2021      2,530,663      0.0%      
Inter RAO UES PJSC    10/18/2021      435,323      0.0%      
LUKOIL PJSC    10/18/2021      11,826,036      0.0%      
Magnitogorsk Iron & Steel Works PJSC    10/18/2021      4,011,995      0.0%      
Moscow Exchange MICEX-RTS PJSC    10/18/2021      226,996      0.0%      
Novatek PJSC    10/18/2021      2,410,423      0.0%      
Novolipetsk Steel PJSC    10/18/2021      4,328,348      0.0%      
PhosAgro PJSC    10/18/2021      383,565      0.0%      
PhosAgro PJSC GDR    10/18/2021      2,465      0.0%      
Polyus PJSC    10/18/2021      2,285,367      0.0%      
Polyus PJSC GDR    12/14/2022      4      0.0%      
RusHydro PJSC    10/18/2021      555,352      0.0%      
Sberbank of Russia PJSC    10/18/2021      16,614,391      0.0%      
Severstal PAO GDR (Registered)    10/18/2021      3,190,235      0.0%      
Surgutneftegas PAO    10/18/2021      1,213,218      0.0%      
Surgutneftegas PAO    10/18/2021      2,172,137      0.0%      
Tatneft PJSC    10/18/2021      4,839,124      0.0%      
Transneft PJSC    10/18/2021      645,776      0.0%      
          

 

 

 
           $  
          

 

 

 

 

Notes to Schedule of Investments:

 

* 

Non-income producing security.

 

(a)

Investment valued using significant unobservable inputs.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

The security is restricted as to resale.

 

(d)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(e)

Affiliated company.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2025.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

SOFOM - Sociedades Financieras de Objeto Multi (Multi-purpose Financial Company)

 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 94.8%

 

          Brazil — 3.6%  
    711,000     Ambev SA ADR     1,734,840  
    478,900     Cia de Saneamento de Minas Gerais Copasa MG     1,999,499  
    71,400     Cia De Sanena Do Parana     409,088  
    84,300     CPFL Energia SA     596,784  
    175,000     Cyrela Brazil Realty SA Empreendimentos e Participacoes     764,009  
    783,200     JBS SA     5,493,834  
    1,037,200     Vibra Energia SA     3,659,532  
     

 

 

 
    Total Brazil      14,657,586  
     

 

 

 
          China — 27.3%  
    1,195,000     361 Degrees International Ltd.     654,794  
    1,140,500     3SBio, Inc.     2,740,861  
    182,100     Alibaba Group Holding Ltd.     2,592,706  
    73,785     Alibaba Group Holding Ltd. Sponsored ADR     8,399,684  
    52,569     Autohome, Inc. ADR     1,288,992  
    2,529,500     BAIC Motor Corp. Ltd. – Class H     637,256  
    60,000     Beijing Jingneng Clean Energy Co. Ltd. – Class H     18,554  
    122,000     Bosideng International Holdings Ltd.     68,140  
    7,513,878     China Communications Services Corp. Ltd. – Class H     4,316,048  
    3,500     China Conch Venture Holdings Ltd.     3,897  
    5,088,148     China Construction Bank Corp. – Class H     4,549,194  
    7,065,000     China Feihe Ltd.     5,460,125  
    74,000     China Foods Ltd.     29,134  
    2,553,000     China Hongqiao Group Ltd. (a)     4,536,595  
    1,698,000     China Lesso Group Holdings Ltd.     847,361  
    8,302,000     China Reinsurance Group Corp. – Class H     1,064,778  
    59,000     China Shineway Pharmaceutical Group Ltd.     57,214  
    524,000     China State Construction International Holdings Ltd.     737,072  
    261,400     China Taiping Insurance Holdings Co. Ltd.     400,060  
    1,461,000     Consun Pharmaceutical Group Ltd.     1,973,234  
    9,612,000     CSPC Pharmaceutical Group Ltd.     9,896,625  
    268,000     Dongfeng Motor Group Co. Ltd. – Class H     147,885  
    222,100     ENN Energy Holdings Ltd.     1,761,027  
    231,000     Fufeng Group Ltd.     200,763  
    2,042,000     Geely Automobile Holdings Ltd.     4,551,245  
    177,500     Grand Pharmaceutical Group Ltd. (a)     195,074  
    10,248,000     Hua Han Health Industry Holdings Ltd. * (b)     1  
    963,000     Inkeverse Group Ltd.     163,749  
    164,540     JD.com, Inc. ADR     5,332,741  
    35,500     Kingboard Holdings Ltd.     100,666  
    1,294,000     Kunlun Energy Co. Ltd.     1,292,660  
    674,300     Legend Holdings Corp. – Class H *     675,432  
    136,000     Lenovo Group Ltd.     155,260  
    104,000     Leoch International Technology Ltd.     32,299  
    672,000     Lonking Holdings Ltd.     160,661  
    90,800     Midea Real Estate Holding Ltd. * (a)     43,843  
    
Shares
    Description   Value ($)  
          China — continued  
    426,000     Minth Group Ltd. *     1,146,997  
    8,000     Mokingran Jewellery Group Co. Ltd.     16,087  
    10,100     NetEase, Inc.     244,200  
    437,000     Orient Overseas International Ltd.     7,512,238  
    2,670,000     PICC Property & Casualty Co. Ltd. – Class H     5,073,301  
    28,000     Precision Tsugami China Corp. Ltd.     72,605  
    71,600     Shandong Weigao Group Medical Polymer Co. Ltd. – Class H     51,167  
    9,000     Shanghai Industrial Holdings Ltd.     14,323  
    1,165,000     Sino Biopharmaceutical Ltd.     657,133  
    3,046,000     Sinopec Engineering Group Co. Ltd. – Class H     2,158,525  
    638,400     Sinopharm Group Co. Ltd. – Class H     1,538,978  
    1,688,000     TCL Electronics Holdings Ltd.     2,187,566  
    3,457     Tencent Holdings Ltd. ADR     217,030  
    258,500     Tencent Holdings Ltd.     16,296,518  
    1,334,000     Tianneng Power International Ltd. (a)     1,038,625  
    96,000     Uni-President China Holdings Ltd.     124,701  
    160,915     Vipshop Holdings Ltd. ADR     2,219,018  
    220,501     Weibo Corp. Sponsored ADR (a)     1,995,534  
    300,800     Xiaomi Corp. – Class B *     1,936,251  
    123,500     Xtep International Holdings Ltd.     92,921  
    606,500     Zhongsheng Group Holdings Ltd.     909,956  
     

 

 

 
    Total China     110,589,304  
     

 

 

 
          Colombia — 0.0%  
    6,169     Corp. Financiera Colombiana SA *     27,467  
     

 

 

 
          Czech Republic — 0.2%  
    43,879     Moneta Money Bank AS     287,314  
    419     Philip Morris CR AS *     352,759  
     

 

 

 
    Total Czech Republic     640,073  
     

 

 

 
          Hungary — 4.6%  
    332,999     Magyar Telekom Telecommunications PLC     1,655,200  
    216,605     MOL Hungarian Oil & Gas PLC *     1,873,007  
    172,458     OTP Bank Nyrt     13,082,027  
    64,614     Richter Gedeon Nyrt     1,880,082  
     

 

 

 
    Total Hungary     18,490,316  
     

 

 

 
          India — 10.8%  
    15,625     Ashapura Minechem Ltd. *     77,275  
    185,106     Aurobindo Pharma Ltd. *     2,490,433  
    9,237     Bajaj Finance Ltd.     988,235  
    242,495     Bharat Petroleum Corp. Ltd.     901,321  
    317,184     Brightcom Group Ltd. * (c)     38,103  
    152,976     Chambal Fertilisers & Chemicals Ltd.     982,802  
    862     Cholamandalam Financial Holdings Ltd.     19,061  
    208,186     Cipla Ltd.     3,566,461  
    236,493     Dr. Reddy’s Laboratories Ltd.     3,463,266  
    158,050     Federal Bank Ltd.     374,008  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          India — continued  
    840,611     GAIL India Ltd.     1,868,215  
    111,427     GHCL Ltd.     801,014  
    76,413     Glenmark Pharmaceuticals Ltd.     1,305,370  
    3,775     Gokul Agro Resources Ltd. *     10,878  
    180,186     HDFC Bank Ltd. *     4,104,665  
    294,493     Hindalco Industries Ltd.     2,185,623  
    23,425     ICICI Bank Ltd.     397,406  
    12,440     Indian Oil Corp. Ltd.     20,669  
    7,769     Indraprastha Medical Corp. Ltd.     39,916  
    43,042     ITC Ltd.     210,938  
    13,070     Kaveri Seed Co. Ltd.     219,727  
    5,008     KRBL Ltd.     20,633  
    68,133     LT Foods Ltd.     349,927  
    46,739     Lupin Ltd.     1,070,284  
    2,065,902     Manappuram Finance Ltd.     5,742,884  
    21,836     Muthoot Finance Ltd.     563,642  
    44,837     Natco Pharma Ltd.     462,570  
    172,150     NMDC Ltd.     143,448  
    1,328,830     Oil & Natural Gas Corp. Ltd.     3,719,431  
    498,779     Petronet LNG Ltd.     1,794,325  
    1,228     Pokarna Ltd.     15,380  
    1,062     Polyplex Corp. Ltd.     16,497  
    7,379     Power Grid Corp. of India Ltd.     25,018  
    5,935     Rajesh Exports Ltd. *     13,956  
    253,124     Shriram Finance Ltd.     1,894,183  
    71,271     Siyaram Silk Mills Ltd.     600,379  
    46,858     Sun Pharmaceutical Industries Ltd.     918,430  
    662     UTI Asset Management Co. Ltd.     9,208  
    4,117     Vadilal Industries Ltd.     258,551  
    271     West Coast Paper Mills Ltd.     1,525  
    408,098     Wipro Ltd.     1,191,993  
    67,854     Zydus Lifesciences Ltd.     735,807  
     

 

 

 
    Total India      43,613,457  
     

 

 

 
          Indonesia — 6.0%  
    754,400     AKR Corporindo Tbk. PT     58,897  
    17,995,300     Aneka Tambang Tbk. PT *     3,432,128  
    28,231,000     Astra International Tbk. PT     8,394,671  
    432,700     Astra Otoparts Tbk. PT     55,914  
    5,988,400     Bank Negara Indonesia Persero Tbk. PT     1,651,618  
    775,700     Bank OCBC Nisp Tbk. PT     65,027  
    6,494,000     Bank Pembangunan Daerah Jawa Timur Tbk. PT *     225,202  
    9,259,100     Dharma Satya Nusantara Tbk. PT     446,414  
    4,524,100     Erajaya Swasembada Tbk. PT     154,182  
    33,300     Gudang Garam Tbk. PT *     20,434  
    274,400     Indofood CBP Sukses Makmur Tbk. PT     183,369  
    8,775,500     Indofood Sukses Makmur Tbk. PT     4,236,034  
    6,536,500     Japfa Comfeed Indonesia Tbk. PT     644,129  
    224,400     Lippo Karawaci Tbk. PT *     1,198  
    33,912,400     Panin Financial Tbk. PT *     611,775  
    10,486,700     Perusahaan Gas Negara Tbk. PT     1,168,933  
    
Shares
    Description   Value ($)  
          Indonesia — continued  
    8,048,900     Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT     601,800  
    4,060,000     Saratoga Investama Sedaya Tbk. PT *     436,102  
    10,227,300     Surya Citra Media Tbk. PT     101,462  
    5,137,200     Telkom Indonesia Persero Tbk. PT *     888,077  
    1,349,000     Tempo Scan Pacific Tbk. PT     215,287  
    12,171,700     Triputra Agro Persada PT     676,378  
     

 

 

 
    Total Indonesia     24,269,031  
     

 

 

 
          Kuwait — 0.0%  
    67,738     Noor Financial Investment Co. KSC     72,093  
     

 

 

 
          Mexico — 2.6%  
    58,300     Arca Continental SAB de CV     641,733  
    88,305     Bolsa Mexicana de Valores SAB de CV     193,082  
    18,530     Coca-Cola Femsa SAB de CV Sponsored ADR     1,760,350  
    315,700     Credito Real SAB de CV SOFOM ER * (a) (b)      
    54,700     El Puerto de Liverpool SAB de CV – Class C1     265,660  
    558,900     Genomma Lab Internacional SAB de CV – Class B     646,037  
    1,112,163     Gentera SAB de CV (a)     2,182,353  
    562,846     Grupo Financiero Banorte SAB de CV – Class O     4,991,791  
     

 

 

 
    Total Mexico      10,681,006  
     

 

 

 
          Philippines — 0.1%  
    66,300     China Banking Corp.     89,903  
    399,400     LT Group, Inc.     88,084  
    84,800     Manila Water Co., Inc.     50,637  
    6,680,800     Megaworld Corp.     214,179  
    26,500     Puregold Price Club, Inc.     14,723  
    22,700     Robinsons Retail Holdings, Inc.     15,386  
     

 

 

 
    Total Philippines     472,912  
     

 

 

 
          Poland — 0.0%  
    6,098     Powszechny Zaklad Ubezpieczen SA     99,625  
     

 

 

 
          Qatar — 0.1%  
    91,659     Qatar National Bank QPSC     426,297  
     

 

 

 
          Russia — 0.0%  
    31,701,260     Alrosa PJSC (b) (d)      
    39,977     Evraz PLC * (b)      
    1,432,600,000     Federal Grid Co-Rosseti PJSC * (b) (d)      
    219,070     Gazprom Neft PJSC (b) (d)      
    1,250,860     Gazprom PJSC (b) (d)      
    3,721,200     GMK Norilskiy Nickel PAO * (b) (d)      
    78,536,400     Inter RAO UES PJSC (b) (d)      
    239,440     LSR Group PJSC * (b) (d)      
    3     LSR Group PJSC GDR * (b) (d)      
    285,469     LUKOIL PJSC * (b) (d)      
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Russia — continued  
    17,490,987     Magnitogorsk Iron & Steel Works PJSC (b) (d)      
    474,800     Mechel PJSC * (b) (d)      
    4,133,417     Moscow Exchange MICEX-RTS PJSC (b) (d)      
    10,015,560     Novolipetsk Steel PJSC * (b) (d)      
    11,924     PhosAgro PJSC (b) (d)      
    230     PhosAgro PJSC GDR * (b) (d)      
    800,940     Polyus PJSC * (b) (d)      
    24,938,000     RusHydro PJSC * (b) (d)      
    13,125,612     Sberbank of Russia PJSC (b) (d)      
    706,464     Severstal PAO GDR (Registered) * (b) (d)      
    68,353     SFI PJSC (b) (d)      
    63,500,900     Surgutneftegas PAO (b) (d)      
    2,860,038     Tatneft PJSC (b) (d)      
    8,118,000     Unipro PJSC * (b) (d)      
    556,430     United Co. RUSAL International PJSC * (b) (d)      
     

 

 

 
    Total Russia      
     

 

 

 
          Saudi Arabia — 0.4%  
    17,543     Arab National Bank     101,196  
    84,507     Riyad Bank     653,788  
    9,781     Saudi Awwal Bank     87,952  
    40,313     Saudi National Bank     372,540  
    21,576     Saudi Telecom Co.     240,751  
     

 

 

 
    Total Saudi Arabia     1,456,227  
     

 

 

 
          South Africa — 0.2%  
    155,990     Ninety One Ltd.     331,658  
    567,561     Old Mutual Ltd.     368,378  
     

 

 

 
    Total South Africa     700,036  
     

 

 

 
          South Korea — 9.7%  
    9,590     Coway Co. Ltd.     616,686  
    2,090     Doosan Bobcat, Inc.     71,039  
    58,668     Hana Financial Group, Inc.     3,085,583  
    35,143     Hyundai Glovis Co. Ltd.     2,883,911  
    59,439     Hyundai Mobis Co. Ltd.     10,896,130  
    6,357     KB Financial Group, Inc.     478,325  
    129,702     Kia Corp.     8,388,200  
    68,619     KT&G Corp.     5,965,757  
    47,042     Samsung Electronics Co. Ltd.     1,908,856  
    4,268     Samsung Securities Co. Ltd.     186,730  
    7,501     Shinhan Financial Group Co. Ltd.     313,745  
    307,456     Woori Financial Group, Inc.     4,290,184  
    1,423     Youngone Corp.     62,523  
     

 

 

 
    Total South Korea      39,147,669  
     

 

 

 
          Sri Lanka — 0.1%  
    103,983,101     Anilana Hotels & Properties Ltd. * (c) (e)     312,546  
     

 

 

 
          Taiwan — 20.6%  
    343,000     Asustek Computer, Inc.     7,052,017  
    343,000     Cathay Financial Holding Co. Ltd.     678,521  
    
Shares
    Description   Value ($)  
          Taiwan — continued  
    106,000     Compal Electronics, Inc.     100,463  
    8,000     Eva Airways Corp.     10,808  
    1,528,200     Evergreen Marine Corp. Taiwan Ltd.     12,346,409  
    298,000     Fubon Financial Holding Co. Ltd.     785,552  
    953,000     Hon Hai Precision Industry Co. Ltd.     4,853,283  
    106,000     Kung Long Batteries Industrial Co. Ltd.     507,680  
    162,000     MediaTek, Inc.     6,651,492  
    3,732,000     Pou Chen Corp.     3,850,108  
    629,936     Radiant Opto-Electronics Corp.     3,074,772  
    75,000     Realtek Semiconductor Corp.     1,337,352  
    197,000     Shinkong Insurance Co. Ltd.     686,476  
    154,000     Simplo Technology Co. Ltd.     1,911,918  
    56,000     TaiDoc Technology Corp.     258,811  
    9,701     Taiwan Semiconductor Manufacturing Co. Ltd. Sponsored ADR     1,875,397  
    959,000     Taiwan Semiconductor Manufacturing Co. Ltd.     30,586,357  
    2,497,000     Yang Ming Marine Transport Corp.     6,569,191  
    89,000     YungShin Global Holding Corp.     181,679  
    67,000     Zhen Ding Technology Holding Ltd.     227,385  
     

 

 

 
    Total Taiwan     83,545,671  
     

 

 

 
          Thailand — 6.0%  
    1,943,900     Kasikornbank PCL     9,117,651  
    10,876,000     Krung Thai Bank PCL     7,345,526  
    2,700     Mega Lifesciences PCL     2,100  
    678,700     Pruksa Holding PCL (Foreign Registered)     90,559  
    588,400     PTT Exploration & Production PCL     1,753,276  
    1,560,000     PTT PCL     1,412,237  
    1,293,900     SCB X PCL     4,669,716  
     

 

 

 
    Total Thailand      24,391,065  
     

 

 

 
          United Arab Emirates — 2.3%  
    209,561     Abu Dhabi Commercial Bank PJSC     688,821  
    154,503     Dubai Islamic Bank PJSC     346,983  
    1,745,518     Emaar Properties PJSC     6,250,618  
    217,462     Emirates NBD Bank PJSC     1,325,761  
    102,802     First Abu Dhabi Bank PJSC     450,514  
    70,109     Orascom Construction PLC     363,127  
     

 

 

 
    Total United Arab Emirates     9,425,824  
     

 

 

 
          Vietnam — 0.2%  
    18,000     Binh Minh Plastics JSC     94,548  
    12,906     Masan Consumer Corp.     63,180  
    247,600     Quang Ngai Sugar JSC     452,515  
    14,800     Vietnam Dairy Products JSC     31,206  
    101,300     Vietnam Engine & Agricultural Machinery Corp.     152,465  
     

 

 

 
    Total Vietnam     793,914  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $663,193,182)
    383,812,119  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          PREFERRED STOCKS (f) —3.2%  
          Brazil — 2.9%  
    218,800     Bradespar SA     596,779  
    4,350,680     Cia Energetica de Minas Gerais     8,245,716  
    67,900     Gerdau SA     181,043  
    257,700     Itau Unibanco Holding SA     1,686,460  
    21,230     Itau Unibanco Holding SA Sponsored ADR     139,906  
    456,600     Itausa SA     883,742  
     

 

 

 
    Total Brazil      11,733,646  
     

 

 

 
          Colombia — 0.0%  
    3,169     Grupo Cibest SA ADR     131,292  
     

 

 

 
          Russia — 0.0%  
    194,570     Nizhnekamskneftekhim PJSC (b) (d)      
    79,676,700     Surgutneftegas PAO (b) (d)      
    86,900     Transneft PJSC (b) (d)      
     

 

 

 
    Total Russia      
     

 

 

 
          South Korea — 0.3%  
    38,953     Samsung Electronics Co. Ltd.     1,298,219  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $62,706,973)
    13,163,157  
     

 

 

 
    
Shares
    Description   Value ($)  
          INVESTMENT FUNDS — 0.9%  
          United States — 0.9%  
    704,786     GMO U.S. Treasury Fund, Class VI (e)     3,530,979  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $3,530,979)
    3,530,979  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.5%  
          Money Market Funds — 0.5%  
    1,938,292     State Street Institutional Treasury Money  
    Market Fund – Premier Class, 4.22% (g)     1,938,292  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,938,292)
    1,938,292  
     

 

 

 
    TOTAL INVESTMENTS — 99.4%
(Cost $731,369,426)
    402,444,547  
     
    Other Assets and Liabilities (net) — 0.6%     2,309,443  
    TOTAL NET ASSETS — 100.0%     $404,753,990  
     

 

 

 
 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
Alrosa PJSC    09/14/17    $ 46,779,239      0.0%   $   —  
Federal Grid Co-Rosseti PJSC    01/16/20      3,566,461      0.0%      
Gazprom Neft PJSC    02/11/22      1,504,524      0.0%      
Gazprom PJSC    02/15/22      5,498,440      0.0%      
GMK Norilskiy Nickel PAO    12/09/19      10,928,119      0.0%      
Inter RAO UES PJSC    04/04/18      5,427,962      0.0%      
LSR Group PJSC    03/01/19      2,449,446      0.0%      
LSR Group PJSC GDR    05/06/21      7      0.0%      
LUKOIL PJSC    08/31/21      26,859,350      0.0%      
Magnitogorsk Iron & Steel Works PJSC    02/13/18      14,388,116      0.0%      
Mechel PJSC    11/12/21      883,911      0.0%      
Moscow Exchange MICEX-RTS PJSC    10/23/17      8,713,968      0.0%      
Nizhnekamskneftekhim PJSC    03/24/20      204,612      0.0%      
Novolipetsk Steel PJSC    10/11/17      26,618,404      0.0%      
PhosAgro PJSC    02/09/22      802,829      0.0%      
PhosAgro PJSC GDR    02/09/22      5,151      0.0%      
Polyus PJSC    07/23/20      17,665,998      0.0%      
RusHydro PJSC    02/09/22      256,737      0.0%      
Sberbank of Russia PJSC    11/10/17      51,393,929      0.0%      


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
Severstal PAO GDR (Registered)    10/12/17    $ 13,249,420      0.0%   $   —  
SFI PJSC    09/11/18      747,895      0.0%      
Surgutneftegas PAO    09/17/15      36,354,554      0.0%      
Surgutneftegas PAO    11/01/18      47,551,568      0.0%      
Tatneft PJSC    11/02/18      25,364,999      0.0%      
Transneft PJSC    05/29/20      1,711,599      0.0%      
Unipro PJSC    03/29/18      400,147      0.0%      
United Co. RUSAL International PJSC    11/12/21      569,611      0.0%      
          

 

 

 
           $  
          

 

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
80   MSCI Emerging Market     June 2025       $4,597,200     $ 298,875  
     

 

 

   

 

 

 
 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

Investment valued using significant unobservable inputs.

 

(d)

The security is restricted as to resale.

 

(e)

Affiliated company.

 

(f)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(g)

The rate disclosed is the 7 day net yield as of May 31, 2025.

Portfolio Abbreviations:

ADR - American Depositary Receipt

Foreign Registered - Shares issued to foreign investors in markets that have foreign ownership limits.

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

SOFOM - Sociedades Financieras de Objeto Multi (Multi-purpose Financial Company)

 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 98.9%

 

          Australia — 3.0%  
    109,568     Aristocrat Leisure Ltd.     4,402,715  
    84,546     BlueScope Steel Ltd.     1,241,044  
    865,651     Brambles Ltd.     12,948,629  
    240,351     Fortescue Ltd.     2,391,202  
    173,489     GrainCorp Ltd. – Class A     858,742  
    69,828     JB Hi-Fi Ltd.     4,851,062  
    57,177     Rio Tinto Ltd.     4,157,968  
    154,801     Super Retail Group Ltd.     1,428,501  
     

 

 

 
    Total Australia        32,279,863  
     

 

 

 
          Austria — 0.9%  
    118,630     Erste Group Bank AG     9,553,215  
     

 

 

 
          Belgium — 1.6%  
    226,833     Ageas SA     14,811,907  
    25,386     Bekaert SA     1,031,274  
    18,036     Melexis NV (a)     1,212,520  
    29,381     Proximus SADP     256,328  
    2,410     Syensqo SA     184,969  
     

 

 

 
    Total Belgium     17,496,998  
     

 

 

 
          Finland — 2.0%  
    4,176,047     Nokia OYJ     21,733,398  
     

 

 

 
          France — 9.2%  
    305,642     AXA SA     14,406,604  
    253,105     Cie de Saint-Gobain SA     28,495,542  
    101,591     Coface SA     1,900,385  
    100,483     Derichebourg SA     687,483  
    4,243     Eiffage SA     583,607  
    16,175     Ipsen SA *     1,904,443  
    25,959     IPSOS SA     1,324,340  
    34,139     Metropole Television SA (a)     480,855  
    486,034     Orange SA     7,254,258  
    41,782     Publicis Groupe SA     4,554,515  
    39,738     Rubis SCA     1,293,810  
    262,100     Sanofi SA     25,958,618  
    12,341     Schneider Electric SE     3,113,777  
    14,681     Societe BIC SA     906,879  
    78,113     STMicroelectronics NV – NY Shares     1,953,606  
    104,657     Television Francaise 1 SA     1,012,027  
    1,024,338     Vivendi SE *     3,456,682  
     

 

 

 
    Total France     99,287,431  
     

 

 

 
          Germany — 6.3%  
    18,850     Allianz SE (Registered)     7,476,160  
    1,110,135     Deutsche Bank AG (Registered)     30,745,307  
    47,985     Heidelberg Materials AG     9,405,599  
    2,953     Hornbach Holding AG & Co. KGaA     298,077  
    5,326     Indus Holding AG     132,777  
    
Shares
    Description   Value ($)  
          Germany — continued  
    40,876     Kloeckner & Co. SE     291,755  
    120,151     ProSiebenSat.1 Media SE     965,701  
    71,689     RTL Group SA     2,748,948  
    33,105     Salzgitter AG     789,935  
    30,090     SAP SE     9,102,827  
    26,946     Siemens AG (Registered)     6,481,138  
     

 

 

 
    Total Germany        68,438,224  
     

 

 

 
          Hong Kong — 2.7%  
    158,000     BOC Hong Kong Holdings Ltd.     664,471  
    134,000     CK Asset Holdings Ltd.     553,520  
    1,917,000     CK Hutchison Holdings Ltd.     10,719,316  
    202,800     Dah Sing Banking Group Ltd.     229,646  
    26,869     Dah Sing Financial Holdings Ltd.     100,418  
    1,107,707     Esprit Holdings Ltd. * (b)     13,844  
    1,045,585     IGG, Inc.     470,298  
    122,901     Johnson Electric Holdings Ltd.     327,768  
    197,640     KLN Logistics Group Ltd.     197,557  
    144,326     Luk Fook Holdings International Ltd.     333,585  
    815,331     Pacific Textiles Holdings Ltd.     132,798  
    383,023     Shun Tak Holdings Ltd. * (a)     28,777  
    287,500     Swire Pacific Ltd. – Class A     2,449,053  
    264,000     Techtronic Industries Co. Ltd.     2,940,517  
    730,000     VSTECS Holdings Ltd. (a)     580,097  
    72,700     VTech Holdings Ltd.     483,181  
    9,601,015     WH Group Ltd.     8,830,602  
     

 

 

 
    Total Hong Kong     29,055,448  
     

 

 

 
          Italy — 6.6%  
    89,405     Anima Holding SpA     604,173  
    55,598     Banca IFIS SpA (a)     1,463,242  
    75,184     BPER Banca SpA     667,834  
    66,604     Esprinet SpA (a)     299,474  
    685,621     Generali     24,956,792  
    170,454     Hera SpA     847,120  
    2,165,032     Intesa Sanpaolo SpA     12,086,779  
    147,165     Italgas SpA (a)     1,210,732  
    29,792     Iveco Group NV (a)     593,246  
    102,964     Leonardo SpA     6,369,326  
    253,051     MFE-MediaForEurope NV – Class A (a)     930,539  
    1,125,506     Unipol Assicurazioni SpA     22,028,098  
     

 

 

 
    Total Italy     72,057,355  
     

 

 

 
          Japan — 25.0%  
    38,420     AOKI Holdings, Inc.     400,576  
    191,300     Bandai Namco Holdings, Inc.     6,077,889  
    31,400     Bridgestone Corp.     1,348,160  
    207,996     Brother Industries Ltd.     3,549,713  
    13,800     Canon Marketing Japan, Inc.     512,071  
    172,300     Canon, Inc.     5,263,592  
    92,300     Credit Saison Co. Ltd.     2,511,536  
    102,000     Daido Steel Co. Ltd.     689,192  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Japan — continued  
    26,000     Daiwa House Industry Co. Ltd.     876,614  
    66,290     Daiwabo Holdings Co. Ltd.     1,116,766  
    296,700     Fujitsu Ltd.     6,795,134  
    29,118     Fuyo General Lease Co. Ltd.     804,496  
    30,906     Gunze Ltd.     724,307  
    428,700     Hitachi Ltd.     11,943,714  
    120,639     Honda Motor Co. Ltd. Sponsored ADR (a)     3,681,902  
    27,800     Horiba Ltd.     1,978,044  
    282,154     ITOCHU Corp.     14,975,660  
    431,904     Japan Tobacco, Inc.     13,248,503  
    46,600     Kaga Electronics Co. Ltd.     858,034  
    62,044     Kanematsu Corp.     1,173,012  
    949,392     KDDI Corp.     16,434,459  
    120,100     Kirin Holdings Co. Ltd.     1,722,987  
    21,800     Komatsu Ltd.     662,528  
    29,293     Komeri Co. Ltd.     585,182  
    62,800     Konami Group Corp.     8,524,620  
    698,900     LY Corp.     2,520,152  
    49,157     MCJ Co. Ltd.     449,314  
    54,700     Mitsui OSK Lines Ltd.     1,939,220  
    39,684     Modec, Inc.     1,385,613  
    1,087,000     NEC Corp.     28,374,325  
    49,426     Nichias Corp.     1,707,417  
    1,829,300     Nippon Telegraph & Telephone Corp.     2,036,730  
    13,700     Nippon Yusen KK     499,540  
    85,500     Otsuka Holdings Co. Ltd.     4,346,817  
    1,874,600     Panasonic Holdings Corp.     21,485,651  
    82,324     Press Kogyo Co. Ltd.     313,487  
    37,219     Prima Meat Packers Ltd.     586,851  
    383,700     Recruit Holdings Co. Ltd.     22,853,242  
    11,966     San-A Co. Ltd.     246,361  
    64,400     Sanwa Holdings Corp.     2,217,116  
    176,900     Seiko Epson Corp.     2,288,824  
    47,795     Seiko Group Corp.     1,349,249  
    514,312     Sekisui Chemical Co. Ltd.     8,934,548  
    467,800     Sekisui House Ltd.     10,608,358  
    52,200     Shionogi & Co. Ltd.     871,611  
    469,900     Sony Group Corp.     12,577,310  
    138,500     Sumitomo Electric Industries Ltd.     2,905,139  
    392,800     Sumitomo Forestry Co. Ltd. (a)     11,402,825  
    101,975     Tokyu Construction Co. Ltd.     645,422  
    12,428     Towa Pharmaceutical Co. Ltd.     263,289  
    458,465     Toyota Tsusho Corp.     9,688,908  
    16,969     TPR Co. Ltd.     231,683  
    24,369     Valor Holdings Co. Ltd.     412,700  
    20,256     Warabeya Nichiyo Holdings Co. Ltd.     317,737  
    1,417,100     Yamaha Motor Co. Ltd.     10,874,016  
    22,800     Yokogawa Electric Corp.     558,964  
     

 

 

 
    Total Japan       271,351,110  
     

 

 

 
          Netherlands — 8.0%  
    92,847     EXOR NV     8,939,176  
    
Shares
    Description   Value ($)  
          Netherlands — continued  
    608,128     Koninklijke Ahold Delhaize NV     25,665,436  
    291,516     NN Group NV     18,342,656  
    597,002     Prosus NV     30,666,903  
    29,663     Signify NV     724,923  
    12,682     Wolters Kluwer NV     2,248,894  
     

 

 

 
    Total Netherlands     86,587,988  
     

 

 

 
          Norway — 1.2%  
    411,726     Elkem ASA     793,629  
    35,331     Europris ASA     275,120  
    380,654     Hoegh Autoliners ASA     3,168,314  
    739,833     Orkla ASA     8,388,959  
    52,299     Storebrand ASA     685,181  
    38,577     Wallenius Wilhelmsen ASA     301,181  
     

 

 

 
    Total Norway     13,612,384  
     

 

 

 
          Portugal — 0.3%  
    380,356     Banco Comercial Portugues SA – Class R     296,698  
    30,571     CTT-Correios de Portugal SA     257,284  
    253,973     Navigator Co. SA     994,554  
    156,820     REN – Redes Energeticas Nacionais SGPS SA     524,019  
    757,857     Sonae SGPS SA     1,050,465  
     

 

 

 
    Total Portugal     3,123,020  
     

 

 

 
          Singapore — 4.6%  
    730,000     ComfortDelGro Corp. Ltd.     803,170  
    327,400     DBS Group Holdings Ltd.     11,296,112  
    381,100     First Resources Ltd.     418,318  
    1,558,900     Oversea-Chinese Banking Corp. Ltd.     19,579,999  
    377,000     Sheng Siong Group Ltd.     529,141  
    81,600     Singapore Exchange Ltd.     886,224  
    334,500     United Overseas Bank Ltd.     9,188,625  
    87,700     Venture Corp. Ltd.     751,729  
    882,722     Yangzijiang Financial Holding Ltd.     495,978  
    3,800,922     Yangzijiang Shipbuilding Holdings Ltd.     6,227,093  
     

 

 

 
    Total Singapore        50,176,389  
     

 

 

 
          Spain — 7.0%  
    2,029,623     Banco Bilbao Vizcaya Argentaria SA     30,468,609  
    9,093,510     Banco de Sabadell SA     28,948,994  
    202,822     Iberdrola SA     3,717,678  
    145,366     Indra Sistemas SA (a)     5,989,244  
    117,512     Industria de Diseno Textil SA     6,366,246  
    202,034     Mapfre SA (a)     764,203  
     

 

 

 
    Total Spain     76,254,974  
     

 

 

 
          Sweden — 0.6%  
    134,654     Betsson AB – Class B     2,605,958  
    135,780     Volvo AB – B Shares     3,762,278  
     

 

 

 
    Total Sweden     6,368,236  
     

 

 

 
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Switzerland — 5.8%      
    134,628     ABB Ltd. (Registered)     7,626,362  
    5,100     Galenica AG     528,236  
    98,982     Logitech International SA (Registered)     8,247,740  
    48,721     Novartis AG (Registered)     5,623,820  
    111,675     Roche Holding AG     36,176,792  
    57,953     Sandoz Group AG ADR (a)     2,934,740  
    9,501     u-blox Holding AG *     1,060,778  
    3,995     Zehnder Group AG – Class RG     309,011  
     

 

 

 
    Total Switzerland     62,507,479  
     

 

 

 
          United Kingdom — 14.1%  
    527,538     3i Group PLC     28,975,093  
    631,339     British American Tobacco PLC Sponsored ADR     28,536,523  
    9,137,162     BT Group PLC     22,122,591  
    99,275     Coca-Cola HBC AG     5,173,471  
    83,864     Crest Nicholson Holdings PLC     206,647  
    488,845     Ferrexpo PLC *     356,463  
    49,060     Galliford Try Holdings PLC     271,441  
    182,402     GSK PLC Sponsored ADR (a)     7,483,954  
    103,137     Halfords Group PLC     232,978  
    33,289     HSBC Holdings PLC Sponsored ADR (a)     1,973,372  
    323,508     IG Group Holdings PLC     4,893,631  
    254,218     Imperial Brands PLC     9,641,129  
    1,327,492     Kingfisher PLC     4,969,346  
    43,630     Next PLC     7,571,852  
    65,361     Unilever PLC Sponsored ADR     4,172,646  
    109,244     Vesuvius PLC     530,812  
    2,463,445     Vodafone Group PLC Sponsored ADR     25,472,021  
     

 

 

 
    Total United Kingdom     152,583,970  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $871,364,219)
    1,072,467,482  
     

 

 

 
          PREFERRED STOCKS (c) — 0.1%  
          Germany — 0.1%  
    8,615     Bayerische Motoren Werke AG     714,065  
    3,755     Draegerwerk AG & Co. KGaA     286,144  
     

 

 

 
    Total Germany     1,000,209  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $1,115,214)
    1,000,209  
     

 

 

 
          INVESTMENT FUNDS — 5.8%  
          United States — 5.8%  
    12,489,133     GMO U.S. Treasury Fund, Class VI (d)     62,570,555  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $62,570,555)
    62,570,555  
     

 

 

 
     Par
Value†
    Description   Value ($)  
          DEBT OBLIGATIONS — 0.1%  
          United States — 0.1%  
    1,300,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.15%, 4.45%, due 04/30/26     1,300,964  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $1,300,171)
    1,300,964  
     

 

 

 
    TOTAL INVESTMENTS — 104.9%
(Cost $936,350,159)
    1,137,339,210  
    Other Assets and Liabilities (net) — (4.9)%     (53,013,177
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 1,084,326,033  
     

 

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued using significant unobservable inputs.

 

(c)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(d)

Affiliated company.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ADR - American Depositary Receipt

 


GMO International Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 96.9%

 

          Australia — 4.8%      
    201,172     Aurizon Holdings Ltd.     382,562  
    597,083     BHP Group Ltd.     14,667,337  
    62,303     BlueScope Steel Ltd.     914,541  
    391,509     Fortescue Ltd.     3,895,042  
    7,445     Rio Tinto Ltd.     541,408  
     

 

 

 
    Total Australia     20,400,890  
     

 

 

 
          Austria — 1.3%      
    16,959     Erste Group Bank AG     1,365,700  
    55,203     OMV AG (a)     2,952,730  
    43,496     Raiffeisen Bank International AG     1,329,889  
     

 

 

 
    Total Austria     5,648,319  
     

 

 

 
          Belgium — 1.0%      
    18,304     Ageas SA     1,195,228  
    31,571     KBC Group NV     3,121,209  
    8,249     Proximus SADP          71,966  
     

 

 

 
    Total Belgium     4,388,403  
     

 

 

 
          Canada — 13.3%      
    21,500     Bank of Montreal     2,308,781  
    101,728     Bank of Nova Scotia (b)     5,444,482  
    142,300     Bank of Nova Scotia (b)     7,614,012  
    11,700     Canadian Imperial Bank of Commerce     796,539  
    5,700     Canadian Tire Corp. Ltd. – Class A     724,322  
    20,400     Empire Co. Ltd. – Class A     787,400  
    12,300     iA Financial Corp., Inc.     1,252,272  
    14,300     IGM Financial, Inc.     456,504  
    7,800     Imperial Oil Ltd. (a)     556,887  
    14,749     Magna International, Inc. (b)     535,094  
    25,100     Magna International, Inc. (b)     911,198  
    81,174     Manulife Financial Corp. (b)     2,584,580  
    124,800     Manulife Financial Corp. (b)     3,974,030  
    2,700     National Bank of Canada     265,740  
    57,600     Parex Resources, Inc.     569,557  
    99,800     Power Corp. of Canada     3,862,264  
    9,700     Russel Metals, Inc.     290,290  
    67,772     Sun Life Financial, Inc. (a) (b)     4,381,460  
    71,200     Sun Life Financial, Inc. (b)     4,586,352  
    217,400     Toronto-Dominion Bank     15,012,932  
     

 

 

 
    Total Canada     56,914,696  
     

 

 

 
          Denmark — 0.8%      
    611     AP Moller - Maersk AS – Class A     1,091,302  
    1,116     AP Moller - Maersk AS – Class B     2,021,796  
    51,720     H Lundbeck AS     287,033  
     

 

 

 
    Total Denmark     3,400,131  
     

 

 

 
          Finland — 0.5%      
    55,254     Nokia OYJ     287,558  
    58,301     Outokumpu OYJ     225,810  
    
Shares
    Description   Value ($)  
    Finland — continued  
    12,348     TietoEVRY OYJ     225,295  
    36,531     Valmet OYJ     1,193,631  
     

 

 

 
    Total Finland     1,932,294  
     

 

 

 
          France — 11.5%      
    2,958     Amundi SA     241,500  
    7,507     Aperam SA (a)     228,149  
    4,936     Arkema SA     352,705  
    21,508     AXA SA     1,013,791  
    113,707     BNP Paribas SA     9,957,826  
    69,742     Carrefour SA     1,042,947  
    12,472     Cie de Saint-Gobain SA     1,404,146  
    62,603     Credit Agricole SA     1,146,209  
    2,708     Ipsen SA *     318,840  
    264,072     Orange SA     3,941,383  
    56,893     Sanofi SA     5,634,734  
    80,857     Societe Generale SA     4,390,346  
    82,951     STMicroelectronics NV – NY Shares     2,074,604  
    4,954     Teleperformance SE     500,711  
    264,293     TotalEnergies SE     15,558,445  
    119,343     Valeo SE     1,256,936  
     

 

 

 
    Total France     49,063,272  
     

 

 

 
          Germany — 5.7%      
    10,184     Bayerische Motoren Werke AG     903,535  
    14,792     Continental AG     1,297,279  
    76,310     Daimler Truck Holding AG     3,314,403  
    141,283     Deutsche Bank AG (Registered)     3,912,848  
    97,213     Deutsche Post AG     4,362,225  
    4,186     DWS Group GmbH & Co. KGaA     235,121  
    4,603     Fresenius Medical Care AG     261,471  
    8,626     Henkel AG & Co. KGaA     633,364  
    68,115     Mercedes-Benz Group AG     4,073,120  
    57,253     ProSiebenSat.1 Media SE     460,165  
    20,774     Siemens AG (Registered)     4,996,629  
     

 

 

 
    Total Germany      24,450,160  
     

 

 

 
          Hong Kong — 2.2%      
    129,000     BOC Hong Kong Holdings Ltd.     542,511  
    329,500     CK Asset Holdings Ltd.     1,361,080  
    440,000     CK Hutchison Holdings Ltd.     2,460,354  
    66,000     Kerry Properties Ltd.     158,234  
    239,000     Sun Hung Kai Properties Ltd.     2,567,259  
    54,000     Swire Pacific Ltd. – Class A     459,996  
    1,800     VTech Holdings Ltd.     11,963  
    1,968,000     WH Group Ltd.     1,810,082  
     

 

 

 
    Total Hong Kong     9,371,479  
     

 

 

 
          Italy — 2.0%      
    52,688     Banco BPM SpA     605,638  
    160,003     BPER Banca SpA     1,421,254  
    276,713     Intesa Sanpaolo SpA     1,544,813  
    315,375     Stellantis NV     3,214,765  
 


GMO International Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Italy — continued      
    20,000     Tenaris SA     334,950  
    11,390     Tenaris SA ADR     380,995  
    47,397     Unipol Assicurazioni SpA     927,641  
     

 

 

 
    Total Italy     8,430,056  
     

 

 

 
          Japan — 20.8%      
    74,800     Asahi Group Holdings Ltd.     985,865  
    107,900     Bridgestone Corp.     4,632,692  
    62,000     Brother Industries Ltd.     1,058,108  
    5,700     Credit Saison Co. Ltd.     155,100  
    20,800     Dai Nippon Printing Co. Ltd.     306,732  
    6,700     Daito Trust Construction Co. Ltd.     754,714  
    109,200     Daiwa House Industry Co. Ltd.     3,681,781  
    14,500     Hitachi Construction Machinery Co. Ltd.     440,684  
    263,800     Honda Motor Co. Ltd.     2,679,784  
    170,424     Honda Motor Co. Ltd. Sponsored ADR (a)     5,201,341  
    170,500     Idemitsu Kosan Co. Ltd.     1,038,523  
    303,000     Inpex Corp.     4,051,645  
    95,400     Isuzu Motors Ltd.     1,289,508  
    22,700     ITOCHU Corp.     1,204,830  
    208,700     Kirin Holdings Co. Ltd.     2,994,066  
    131,500     Komatsu Ltd.     3,996,442  
    183,300     Kubota Corp. (a)     2,102,778  
    17,400     Marubeni Corp.     352,686  
    38,500     Mazda Motor Corp.     241,500  
    29,700     Mitsubishi Corp.     600,785  
    292,300     Mitsui & Co. Ltd.     6,103,559  
    17,300     Mitsui Mining & Smelting Co. Ltd.     590,043  
    62,000     Mitsui OSK Lines Ltd.     2,198,019  
    6,693,900     Nippon Telegraph & Telephone Corp.     7,452,942  
    100,900     Nippon Yusen KK     3,679,091  
    23,000     Niterra Co. Ltd.     739,038  
    76,300     Nitto Denko Corp.     1,387,918  
    127,200     Ono Pharmaceutical Co. Ltd.     1,384,988  
    135,600     ORIX Corp.     2,873,614  
    459,600     Panasonic Holdings Corp.     5,267,687  
    44,300     Renesas Electronics Corp.     538,042  
    68,300     Sekisui Chemical Co. Ltd.     1,186,497  
    81,600     Sekisui House Ltd.     1,850,453  
    164,000     Shionogi & Co. Ltd.     2,738,394  
    29,800     Sojitz Corp.     734,986  
    27,500     Subaru Corp.     504,819  
    124,500     Sumitomo Corp.     3,170,586  
    32,700     Sumitomo Electric Industries Ltd.     685,907  
    43,700     Sumitomo Forestry Co. Ltd.     1,268,593  
    7,100     Sumitomo Heavy Industries Ltd.     148,476  
    21,000     Suntory Beverage & Food Ltd. (a)     681,892  
    41,700     Tosoh Corp.     617,140  
    20,100     Toyo Tire Corp.     417,165  
    134,400     Toyota Tsusho Corp.     2,840,324  
    248,100     Yamaha Motor Co. Ltd.     1,903,778  
    11,600     Yokohama Rubber Co. Ltd.     291,607  
     

 

 

 
    Total Japan      89,025,122  
     

 

 

 
    
Shares
    Description   Value ($)  
          Netherlands — 4.3%  
    233,430     ABN AMRO Bank NV     6,034,035  
    5,002     Akzo Nobel NV     341,364  
    11,935     EXOR NV     1,149,085  
    329,412     ING Groep NV     6,997,419  
    24,407     JDE Peet’s NV     671,663  
    25,977     Koninklijke Ahold Delhaize NV     1,096,333  
    10,325     NN Group NV     649,666  
    63,864     Signify NV     1,560,748  
     

 

 

 
    Total Netherlands     18,500,313  
     

 

 

 
          Norway — 2.5%      
    416,379     Equinor ASA     9,747,770  
    94,946     Orkla ASA     1,076,592  
     

 

 

 
    Total Norway      10,824,362  
     

 

 

 
          Portugal — 0.0%      
    4,483     Sonae SGPS SA     6,214  
     

 

 

 
          Russia — 0.0%      
    9,800     Surgutneftegas PAO (c) (d)      
     

 

 

 
          Singapore — 1.2%      
    259,900     Oversea-Chinese Banking Corp. Ltd.     3,264,380  
    75,300     United Overseas Bank Ltd.     2,068,471  
     

 

 

 
    Total Singapore     5,332,851  
     

 

 

 
          Spain — 6.2%      
    48,842     Acerinox SA     576,937  
    562,159     Banco Bilbao Vizcaya Argentaria SA     8,439,106  
    625,265     Banco de Sabadell SA     1,990,518  
    1,522,631     Banco Santander SA     12,147,015  
    246,449     Repsol SA     3,320,393  
     

 

 

 
    Total Spain     26,473,969  
     

 

 

 
          Sweden — 2.5%      
    12,435     Boliden AB *     388,759  
    53,231     Investor AB – B Shares (a)     1,567,541  
    12,450     SKF AB – B Shares     273,854  
    43,071     SSAB AB – B Shares     255,852  
    126,729     Swedbank AB – A Shares     3,431,486  
    34,054     Telefonaktiebolaget LM Ericsson – B Shares     289,887  
    159,517     Volvo AB – B Shares     4,419,998  
     

 

 

 
    Total Sweden     10,627,377  
     

 

 

 
          Switzerland — 7.6%      
    66,052     Adecco Group AG (Registered)     1,844,891  
    2,555     Nestle SA (Registered)     272,202  
    49,827     Novartis AG (Registered)     5,751,485  
    66,431     Novartis AG Sponsored ADR     7,690,053  
    3,267     Roche Holding AG (b)     1,116,315  
    40,918     Roche Holding AG (b)     13,255,267  
    13,024     Sandoz Group AG ADR     659,535  
 


GMO International Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Switzerland — continued      
    2,545     Swisscom AG (Registered)     1,750,573  
     

 

 

 
    Total Switzerland     32,340,321  
     

 

 

 
          United Kingdom — 8.7%      
    27,880     3i Group PLC     1,531,313  
    224,486     Aberdeen Group PLC     525,372  
    22,890     Associated British Foods PLC     643,485  
    10,351     Berkeley Group Holdings PLC     587,113  
    1,623,644     BT Group PLC     3,931,113  
    13,110     Coca-Cola HBC AG     683,195  
    19,278     DCC PLC     1,205,184  
    160,101     GSK PLC Sponsored ADR (a)     6,568,944  
    88,661     HSBC Holdings PLC Sponsored ADR (a)     5,255,824  
    57,602     IG Group Holdings PLC     871,332  
    1,093,396     ITV PLC     1,151,876  
    255,217     J Sainsbury PLC     981,565  
    13,550     Johnson Matthey PLC     314,347  
    556,429     Kingfisher PLC     2,082,942  
    164,361     Rio Tinto PLC Sponsored ADR     9,767,974  
    205,909     Schroders PLC     987,306  
     

 

 

 
    Total United Kingdom     37,088,885  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $366,948,095)
    414,219,114  
     

 

 

 
    
Shares
    Description   Value ($)  
          PREFERRED STOCKS (e) — 1.2%  
          Germany — 1.2%      
    4,681     Bayerische Motoren Werke AG     387,990  
    23,886     Henkel AG & Co. KGaA     1,913,867  
    25,636     Volkswagen AG     2,775,730  
     

 

 

 
    Total Germany     5,077,587  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $5,018,514)
    5,077,587  
     

 

 

 
          INVESTMENT FUNDS — 0.0%  
          United States — 0.0%  
    4,289     GMO U.S. Treasury Fund, Class VI (f)     21,486  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $21,486)
    21,486  
     

 

 

 
    TOTAL INVESTMENTS — 98.1%
(Cost $371,988,095)
    419,318,187  
    Other Assets and Liabilities (net) — 1.9%     8,338,309  
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 427,656,496  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
    Value as of
May 31,
2025
 

Surgutneftegas PAO

   05/12/20    $ 4,974        0.0   $  
          

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(d)

The security is restricted as to resale.

 

(e)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

(f)

Affiliated company.

Portfolio Abbreviations:

ADR - American Depositary Receipt

 


GMO-Usonian Japan Value Creation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 96.6%

 

          Automobiles & Components — 5.9%      
    425,400     Isuzu Motors Ltd.     5,750,069  
    267,900     Stanley Electric Co. Ltd.     5,153,254  
     

 

 

 
    Total Automobiles & Components     10,903,323  
     

 

 

 
          Banks — 8.1%      
    291,700     Sumitomo Mitsui Financial Group, Inc.     7,494,043  
    276,800     Sumitomo Mitsui Trust Group, Inc.     7,490,122  
     

 

 

 
    Total Banks     14,984,165  
     

 

 

 
          Capital Goods — 25.7%      
    185,400     EXEO Group, Inc.     2,362,943  
    290,800     Fuji Corp.     4,654,898  
    367,300     Kanematsu Corp.     6,944,220  
    89,100     Kyudenko Corp.     3,273,968  
    373,900     Mitsubishi Electric Corp.     7,461,917  
    976,900     Penta-Ocean Construction Co. Ltd.     5,912,341  
    182,600     THK Co. Ltd.     4,978,791  
    233,800     TOTO Ltd.     5,979,875  
    50,500     Toyota Industries Corp.     6,313,841  
     

 

 

 
    Total Capital Goods     47,882,794  
     

 

 

 
          Consumer Durables & Apparel — 7.8%  
    275,500     Mizuno Corp.     5,251,166  
    241,000     Sega Sammy Holdings, Inc.     4,545,704  
    662,600     Yamaha Corp.     4,624,615  
     

 

 

 
    Total Consumer Durables & Apparel     14,421,485  
     

 

 

 
          Financial Services — 6.0%      
    237,400     Credit Saison Co. Ltd.     6,459,790  
    214,600     Zenkoku Hosho Co. Ltd.     4,751,527  
     

 

 

 
    Total Financial Services     11,211,317  
     

 

 

 
          Food, Beverage & Tobacco — 8.3%      
    280,900     Kirin Holdings Co. Ltd.     4,029,867  
    210,100     Morinaga & Co. Ltd.     3,477,845  
    227,800     NH Foods Ltd.     8,009,723  
     

 

 

 
    Total Food, Beverage & Tobacco     15,517,435  
     

 

 

 
          Health Care Equipment & Services — 6.4%  
    555,700     H.U. Group Holdings, Inc.     11,930,825  
     

 

 

 
          Insurance — 2.7%      
    218,000     T&D Holdings, Inc.     4,987,321  
     

 

 

 
          Materials — 6.7%      
    260,600     Denka Co. Ltd.     3,709,571  
    150,800     Maruichi Steel Tube Ltd.     3,622,580  
    725,000     Tokai Carbon Co. Ltd.     5,194,152  
     

 

 

 
    Total Materials      12,526,303  
     

 

 

 
    
Shares
    Description   Value ($)  
          Real Estate Management & Development — 1.0%  
    106,300     Tosei Corp.     1,862,624  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 3.2%  
    467,800     SUMCO Corp.     3,162,013  
    257,800     Towa Corp.     2,733,549  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     5,895,562  
     

 

 

 
          Software & Services — 2.2%      
    155,800     NEC Corp.     4,066,900  
     

 

 

 
          Technology Hardware & Equipment — 9.4%  
    139,000     Amano Corp.     4,097,631  
    272,500     Daiwabo Holdings Co. Ltd.     4,590,719  
    179,200     FUJIFILM Holdings Corp.     4,045,029  
    147,200     Macnica Holdings, Inc.     1,945,728  
    230,000     Maxell Ltd.     2,867,791  
     

 

 

 
    Total Technology Hardware & Equipment     17,546,898  
     

 

 

 
          Transportation — 3.2%      
    125,100     Sankyu, Inc.     6,017,210  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $160,116,707)
    179,754,162  
     

 

 

 
          INVESTMENT FUNDS — 0.6%      
          United States — 0.6%      
    197,336     GMO U.S. Treasury Fund, Class VI (a)     988,653  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $988,653)
    988,653  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    18,566     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     18,566  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $18,566)
    18,566  
     

 

 

 
    TOTAL INVESTMENTS — 97.2%
(Cost $161,123,926)
    180,761,381  
    Other Assets and Liabilities (net) — 2.8%     5,278,180  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $186,039,561  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 99.0%

 

          Banks — 4.4%  
    5,236,951     U.S. Bancorp     228,278,694  
    3,178,386     Wells Fargo & Co.     237,679,705  
     

 

 

 
    Total Banks        465,958,399  
     

 

 

 
          Capital Goods — 3.0%      
    466,948     Knorr-Bremse AG     47,248,330  
    925,302     Safran SA     273,664,409  
     

 

 

 
    Total Capital Goods     320,912,739  
     

 

 

 
          Consumer Discretionary Distribution & Retail — 3.8%  
    1,186,778     Amazon.com, Inc. *     243,301,358  
    1,231,776     TJX Cos., Inc.     156,312,374  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail     399,613,732  
     

 

 

 
          Consumer Durables & Apparel — 1.4%  
    267,188     LVMH Moet Hennessy Louis Vuitton SE     144,924,563  
     

 

 

 
          Consumer Services — 4.8%      
    1,010,325     Amadeus IT Group SA     84,028,835  
    7,557,966     Compass Group PLC     265,759,401  
    648,499     Hilton Worldwide Holdings, Inc.     161,113,092  
     

 

 

 
    Total Consumer Services     510,901,328  
     

 

 

 
          Financial Services — 3.3%      
    372,155     Tradeweb Markets, Inc. – Class A     53,757,790  
    822,987     Visa, Inc. – Class A     300,546,622  
     

 

 

 
    Total Financial Services     354,304,412  
     

 

 

 
          Food, Beverage & Tobacco — 6.9%      
    2,314,993     Coca-Cola Co.     166,910,995  
    1,250,912     Constellation Brands, Inc. – Class A     223,025,101  
    5,548,651     Diageo PLC     150,597,178  
    1,794,756     Nestle SA (Registered)     191,208,036  
     

 

 

 
    Total Food, Beverage & Tobacco     731,741,310  
     

 

 

 
          Health Care Equipment & Services — 12.0%  
    2,610,422     Abbott Laboratories     348,700,171  
    482,077     Cigna Group     152,644,861  
    662,248     Elevance Health, Inc.     254,197,272  
    369,537     Intuitive Surgical, Inc. *     204,110,067  
    590,036     Quest Diagnostics, Inc.     102,276,840  
    706,264     UnitedHealth Group, Inc.     213,228,164  
     

 

 

 
    Total Health Care Equipment & Services     1,275,157,375  
     

 

 

 
          Household & Personal Products — 2.4%  
    3,928,458     Unilever PLC     250,012,261  
     

 

 

 
          Media & Entertainment — 8.8%      
    2,762,746     Alphabet, Inc. – Class A     474,473,998  
    
Shares
    Description   Value ($)  
          Media & Entertainment — continued  
    717,828     Meta Platforms, Inc. – Class A     464,786,452  
     

 

 

 
    Total Media & Entertainment     939,260,450  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 11.0%
 
    150,650     Eli Lilly & Co.     111,129,985  
    44,577,870     Haleon PLC     248,848,011  
    2,084,112     Johnson & Johnson     323,475,024  
    1,928,845     Merck & Co., Inc.     148,212,450  
    1,279,248     Novo Nordisk AS – Class B     90,887,762  
    616,610     Thermo Fisher Scientific, Inc.     248,382,840  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences      1,170,936,072  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 12.6%  
    122,527     ASML Holding NV     90,270,505  
    975,820     Broadcom, Inc.     236,216,747  
    175,957     KLA Corp.     133,178,334  
    3,172,516     Lam Research Corp.     256,307,568  
    10,711,426     Taiwan Semiconductor Manufacturing Co. Ltd.     341,630,342  
    1,545,200     Texas Instruments, Inc.     282,539,820  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     1,340,143,316  
     

 

 

 
          Software & Services — 19.3%      
    874,111     Accenture PLC – Class A     276,935,847  
    3,119,076     Dassault Systemes SE     116,960,495  
    1,624,390     Microsoft Corp.     747,804,180  
    2,030,665     Oracle Corp.     336,135,978  
    982,693     Salesforce, Inc.     260,777,241  
    1,043,179     SAP SE     315,582,530  
     

 

 

 
    Total Software & Services     2,054,196,271  
     

 

 

 
          Technology Hardware & Equipment — 3.8%  
    1,990,493     Apple, Inc.     399,790,519  
     

 

 

 
          Transportation — 1.5%      
    1,845,212     Uber Technologies, Inc.*     155,293,042  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $5,986,077,950)
    10,513,145,789  
     

 

 

 
          INVESTMENT FUNDS — 0.9%  
          United States — 0.9%  
    19,399,955     GMO U.S. Treasury Fund, Class VI (a)     97,193,777  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $97,192,766)
    97,193,777  
     

 

 

 
 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 0.0%

 

          Money Market Funds — 0.0%      
    729,050     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     729,050  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $729,050)
    729,050  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $6,083,999,766)
    10,611,068,616  
    Other Assets and Liabilities (net) — 0.1%     11,383,578  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $10,622,452,194  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO Resource Transition Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 88.9%

 

          Argentina — 0.2%  
    22,364     Adecoagro SA     205,972  
     

 

 

 
          Australia — 0.6%      
    30,852     Mineral Resources Ltd. *     441,087  
    578,245     Sunrise Energy Metals Ltd. *     165,587  
     

 

 

 
    Total Australia     606,674  
     

 

 

 
          Brazil — 6.2%  
    202,500     Sao Martinho SA     749,174  
    217,800     Suzano SA     1,890,684  
    375,600     Vale SA     3,421,411  
     

 

 

 
    Total Brazil      6,061,269  
     

 

 

 
          Canada — 9.4%  
    273,200     Anaergia, Inc. *     260,788  
    42,100     Enerflex Ltd.     296,650  
    85,500     First Quantum Minerals Ltd. *     1,266,598  
    290,754     Greenlane Renewables, Inc. *     20,127  
    447,500     Ivanhoe Mines Ltd. – Class A* (a)     3,466,262  
    531,300     Largo, Inc. *     689,120  
    469,000     NexGen Energy Ltd. *     2,891,201  
    6,900     Precision Drilling Corp. * (a)     298,203  
     

 

 

 
    Total Canada     9,188,949  
     

 

 

 
          China — 1.2%  
    285,500     Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. – Class A     652,294  
    236,269     Western Mining Co. Ltd. – Class A     516,077  
     

 

 

 
    Total China     1,168,371  
     

 

 

 
          Denmark — 2.7%  
    165,119     Vestas Wind Systems AS     2,611,399  
     

 

 

 
          Finland — 3.2%      
    293,628     Neste OYJ     3,149,861  
     

 

 

 
          France — 2.9%      
    3,213     Eramet SA (a)     189,176  
    76,164     Veolia Environnement SA     2,621,306  
     

 

 

 
    Total France     2,810,482  
     

 

 

 
          Italy — 1.0%  
    56,098     Tenaris SA     939,500  
     

 

 

 
          Japan — 0.4%      
    10,700     Modec, Inc.     373,603  
     

 

 

 
          Mexico — 1.3%      
    229,200     Grupo Mexico SAB de CV – Series B     1,266,532  
     

 

 

 
    
Shares
    Description   Value ($)  
          Netherlands — 0.7%      
    28,163     SBM Offshore NV     646,178  
     

 

 

 
          Norway — 1.9%      
    110,785     Austevoll Seafood ASA     1,005,741  
    55,022     DOF Group ASA     479,804  
    42,230     TGS ASA     347,438  
     

 

 

 
    Total Norway     1,832,983  
     

 

 

 
          South Africa — 3.0%  
    44,439     African Rainbow Minerals Ltd. (a)     393,306  
    1,641,998     Sibanye Stillwater Ltd. *     2,500,127  
     

 

 

 
    Total South Africa     2,893,433  
     

 

 

 
          United Kingdom — 13.7%  
    91,489     Anglo American PLC     2,713,501  
    1,478,758     Glencore PLC *     5,626,584  
    84,119     Rio Tinto PLC     4,978,328  
     

 

 

 
    Total United Kingdom     13,318,413  
     

 

 

 
          United States — 40.5%  
    18,400     Advanced Drainage Systems, Inc.     2,023,264  
    79,919     Aemetis, Inc. * (a)     136,662  
    16,600     AGCO Corp.     1,626,468  
    46,100     Albemarle Corp.     2,570,536  
    162,890     Ameresco, Inc. – Class A *     2,244,624  
    484,700     Array Technologies, Inc. *     3,199,020  
    405,420     Clean Energy Fuels Corp. *     725,702  
    28,000     Corteva, Inc.     1,982,400  
    206,400     Darling Ingredients, Inc. *     6,431,424  
    27,600     Enphase Energy, Inc. *     1,142,364  
    17,300     First Solar, Inc. *     2,734,784  
    43,400     Freeport-McMoRan, Inc.     1,670,032  
    120,675     GrafTech International Ltd. *     120,216  
    233,000     Green Plains, Inc. *     969,280  
    6,700     Helmerich & Payne, Inc.     102,175  
    40,300     Liberty Energy, Inc.     467,077  
    49,700     NEXTracker, Inc. – Class A *     2,817,493  
    50,400     ProPetro Holding Corp. *     272,160  
    190,800     SolarEdge Technologies, Inc. *     3,407,688  
    533,137     Sunrun, Inc. *     3,993,196  
    1,300     Valmont Industries, Inc.     413,452  
    2,900     Veralto Corp.     292,987  
     

 

 

 
    Total United States     39,343,004  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $152,857,322)
    86,416,623  
     

 

 

 
          PREFERRED STOCKS (b) — 8.2%  
          Brazil — 5.0%  
    1,771,865     Bradespar SA     4,832,782  
     

 

 

 
 


GMO Resource Transition Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Chile — 3.2%      
    101,500     Sociedad Quimica y Minera de Chile SA Sponsored ADR *     3,088,645  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $17,673,555)
    7,921,427  
     

 

 

 
          INVESTMENT FUNDS — 2.8%  
          United States — 2.8%  
    550,118     GMO U.S. Treasury Fund, Class VI (c)     2,756,093  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $2,756,093)
    2,756,093  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%  
    214,401     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (d)     214,401  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $214,401)
    214,401  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $173,501,371)
    97,308,544  
    Other Assets and Liabilities (net) — (0.1)%     (64,089
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $97,244,455  
     

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(c)

Affiliated company.

 

(d)

The rate disclosed is the 7 day net yield as of May 31, 2025.

Portfolio Abbreviations:

ADR - American Depositary Receipt

 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 91.0%

 

          Argentina — 6.7%  
    180,723     Adecoagro SA (a)     1,664,459  
    806,408     Vista Energy SAB de CV ADR *     39,941,388  
    1,123,067     YPF SA Sponsored ADR * (a)     39,734,110  
     

 

 

 
    Total Argentina     81,339,957  
     

 

 

 
          Australia — 0.9%  
    735,000     Clean TeQ Water Ltd. * (a)     80,554  
    264,819     Mineral Resources Ltd. * (a)     3,786,081  
    1,627,464     Santos Ltd.     6,912,461  
    1,938,657     Sunrise Energy Metals Ltd. *     555,157  
     

 

 

 
    Total Australia        11,334,253  
     

 

 

 
          Austria — 0.5%  
    118,824     OMV AG (a)     6,355,727  
     

 

 

 
          Brazil — 4.1%      
    954,500     Petroreconcavo SA     2,414,829  
    304,570     PRIO SA *     2,074,133  
    1,538,082     Sao Martinho SA     5,690,325  
    1,698,452     Suzano SA     14,743,971  
    2,770,280     Vale SA     25,235,001  
     

 

 

 
    Total Brazil     50,158,259  
     

 

 

 
          Canada — 7.3%  
    654,900     Anaergia, Inc. *     625,146  
    368,379     ARC Resources Ltd.     7,698,553  
    322,900     Enerflex Ltd.     2,275,253  
    648,777     First Quantum Minerals Ltd. *     9,610,986  
    696,749     Greenlane Renewables, Inc. *     48,232  
    3,300,682     Ivanhoe Mines Ltd. – Class A * (a)     25,566,546  
    1,273,509     Largo, Inc. * (a)     1,651,799  
    3,688,339     NexGen Energy Ltd. * (a)     22,737,165  
    52,800     Precision Drilling Corp. * (a)     2,281,902  
    2,033,100     Tamarack Valley Energy Ltd. (a)     6,474,039  
    612,175     Vermilion Energy, Inc. (a)     3,985,259  
    1,001,645     Whitecap Resources, Inc. (a)     6,247,736  
     

 

 

 
    Total Canada     89,202,616  
     

 

 

 
          China — 0.7%  
    2,172,100     Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. – Class A     4,962,691  
    1,797,445     Western Mining Co. Ltd. – Class A     3,926,113  
     

 

 

 
    Total China     8,888,804  
     

 

 

 
          Denmark — 1.7%  
    1,286,769     Vestas Wind Systems AS     20,350,579  
     

 

 

 
          Finland — 1.9%      
    2,167,520     Neste OYJ     23,251,822  
     

 

 

 
    
Shares
    Description   Value ($)  
          France — 1.7%      
    24,467     Eramet SA (a)     1,440,572  
    578,519     Veolia Environnement SA     19,910,658  
     

 

 

 
    Total France        21,351,230  
     

 

 

 
          Hong Kong — 0.4%  
    79,830,000     United Energy Group Ltd.     4,776,147  
     

 

 

 
          Hungary — 0.5%      
    667,025     MOL Hungarian Oil & Gas PLC *     5,767,838  
     

 

 

 
          Italy — 0.6%      
    425,760     Tenaris SA     7,130,410  
     

 

 

 
          Japan — 0.6%      
    638,100     Japan Petroleum Exploration Co. Ltd.     4,420,345  
    91,900     Modec, Inc.     3,208,795  
     

 

 

 
    Total Japan     7,629,140  
     

 

 

 
          Mexico — 0.8%  
    1,739,272     Grupo Mexico SAB de CV – Series B (a)     9,611,011  
     

 

 

 
          Netherlands — 0.4%      
    213,991     SBM Offshore NV     4,909,857  
     

 

 

 
          Norway — 2.8%      
    859,304     Aker BP ASA     19,772,932  
    841,596     Austevoll Seafood ASA     7,640,273  
    417,592     DOF Group ASA     3,641,493  
    340,194     TGS ASA     2,798,872  
     

 

 

 
    Total Norway     33,853,570  
     

 

 

 
          Pakistan — 0.1%  
    1,480,085     Oil & Gas Development Co. Ltd.     1,102,573  
     

 

 

 
          Portugal — 4.1%      
    3,092,905     Galp Energia SGPS SA     49,515,207  
     

 

 

 
          Russia — 0.0%      
    3,574,704     Gazprom Neft PJSC (b) (c)      
    14,145,410     Gazprom PJSC (b) (c)      
    23,291,700     GMK Norilskiy Nickel PAO * (b) (c)      
    248,399     LUKOIL PJSC * (b) (c)      
    338,098     PhosAgro PJSC (b) (c)      
    6,533     PhosAgro PJSC GDR * (b) (c)      
    3,476,399     Tatneft PJSC (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
          Singapore — 0.0%  
    2,725,600     Ezra Holdings Ltd. * (a) (b)     2  
     

 

 

 
          South Africa — 1.8%      
    337,276     African Rainbow Minerals Ltd. (a)     2,985,051  
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          South Africa — continued      
    12,506,008     Sibanye Stillwater Ltd. *     19,041,803  
     

 

 

 
    Total South Africa     22,026,854  
     

 

 

 
          Ukraine — 0.2%  
    501,341     Kernel Holding SA *     2,462,122  
     

 

 

 
          United Kingdom — 17.5%      
    694,944     Anglo American PLC     20,611,567  
    10,557,861     BP PLC     51,333,321  
    10,916,003     Glencore PLC *     41,534,724  
    4,142,072     Harbour Energy PLC     9,937,679  
    1,221,000     Lifezone Metals Ltd. *     4,871,790  
    623,869     Rio Tinto PLC     36,921,796  
    1,464,017     Shell PLC     48,305,103  
     

 

 

 
    Total United Kingdom     213,515,980  
     

 

 

 
          United States — 35.7%  
    139,587     Advanced Drainage Systems, Inc.     15,348,986  
    610,120     Aemetis, Inc. * (a)     1,043,305  
    126,196     AGCO Corp.     12,364,684  
    361,098     Albemarle Corp.     20,134,824  
    1,080,185     Ameresco, Inc. – Class A *     14,884,949  
    3,579,961     Array Technologies, Inc. *     23,627,743  
    975,460     California Resources Corp.     43,086,068  
    413,500     Civitas Resources, Inc.     11,317,495  
    3,083,688     Clean Energy Fuels Corp. *     5,519,801  
    145,791     ConocoPhillips     12,443,262  
    213,007     Corteva, Inc.     15,080,896  
    708,633     Crescent Energy Co. – Class A     5,945,431  
    1,524,733     Darling Ingredients, Inc. *     47,510,680  
    209,381     Enphase Energy, Inc. *     8,666,280  
    128,100     First Solar, Inc. *     20,250,048  
    329,308     Freeport-McMoRan, Inc.     12,671,772  
    915,811     GrafTech International Ltd. *     912,331  
    1,770,185     Green Plains, Inc. *     7,363,970  
    36,850     Gulfport Energy Corp. *     7,056,775  
    57,100     Helmerich & Payne, Inc.     870,775  
    29,823,939     Kosmos Energy Ltd. * (d)     49,507,739  
    307,203     Liberty Energy, Inc.     3,560,483  
    367,265     NEXTracker, Inc. – Class A *     20,820,253  
    125,797     Northern Oil & Gas, Inc.     3,343,684  
    384,967     ProPetro Holding Corp. *     2,078,822  
    229,205     SM Energy Co.     5,367,981  
    1,450,759     SolarEdge Technologies, Inc. * (a)     25,910,556  
    3,965,887     Sunrun, Inc. *     29,704,494  
    9,860     Valmont Industries, Inc.     3,135,874  
    22,121     Veralto Corp.     2,234,885  
    71,392     Viper Energy, Inc.     2,833,548  
     

 

 

 
    Total United States       434,598,394  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,559,656,166)
    1,109,132,352  
     

 

 

 
    
Shares
    Description   Value ($)  
          PREFERRED STOCKS (e) — 8.1%      
          Brazil — 6.2%      
    13,079,972     Bradespar SA     35,675,769  
    7,306,248     Petroleo Brasileiro SA – Petrobras     39,472,518  
     

 

 

 
    Total Brazil     75,148,287  
     

 

 

 
          Chile — 1.9%      
    748,362     Sociedad Quimica y Minera de Chile SA Sponsored ADR *     22,772,656  
     

 

 

 
          Russia — 0.0%      
    20,237,584     Surgutneftegas PAO (b) (c)      
    7,494,797     Tatneft PJSC (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $186,967,177)
    97,920,943  
     

 

 

 
          INVESTMENT FUNDS — 0.8%      
          United States — 0.8%      
    2,019,461     GMO U.S. Treasury Fund, Class VI (d)     10,117,502  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $10,117,502)
    10,117,502  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%      
    378,689     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (f)     378,689  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $378,689)
    378,689  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $1,757,119,534)
    1,217,549,486  
    Other Assets and Liabilities (net) — 0.1%     1,106,292  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,218,655,778  
     

 

 

 
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
Gazprom Neft PJSC    09/18/15    $ 17,308,985      0.0%   $  
Gazprom PJSC    09/21/21      65,108,289      0.0%      
GMK Norilskiy Nickel PAO    04/11/18      66,379,494      0.0%      
LUKOIL PJSC    10/15/14      14,600,074      0.0%      
PhosAgro PJSC    08/26/16      14,566,965      0.0%      
PhosAgro PJSC GDR    08/26/16      93,496      0.0%      
Surgutneftegas PAO    08/11/16      10,546,926      0.0%      
Tatneft PJSC    08/12/20      24,585,036      0.0%      
Tatneft PJSC    09/28/15      47,831,491      0.0%      
          

 

 

 
           $  
          

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

The security is restricted as to resale.

 

(d)

Affiliated company.

 

(e)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2025.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO Small Cap Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 97.6%

 

          Automobiles & Components — 0.9%  
    134,871     XPEL, Inc. *     4,851,310  
     

 

 

 
          Capital Goods — 23.6%      
    201,271     AAON, Inc.     19,380,385  
    141,946     Allegion PLC     20,255,694  
    59,139     Curtiss-Wright Corp.     26,027,665  
    25,814     Kadant, Inc.     8,103,273  
    31,929     Preformed Line Products Co.     4,554,353  
    44,740     RBC Bearings, Inc. *     16,369,024  
    229,768     Trex Co., Inc. *     12,837,138  
    111,489     Woodward, Inc.     24,118,415  
     

 

 

 
    Total Capital Goods     131,645,947  
     

 

 

 
          Commercial & Professional Services — 6.2%  
    144,193     Booz Allen Hamilton Holding Corp.     15,320,506  
    117,813     FTI Consulting, Inc. *     19,340,182  
     

 

 

 
    Total Commercial & Professional Services     34,660,688  
     

 

 

 
          Consumer Discretionary Distribution & Retail — 1.7%  
    86,096     Ollie’s Bargain Outlet Holdings, Inc. *     9,595,399  
     

 

 

 
          Consumer Durables & Apparel — 4.7%  
    129,002     Acushnet Holdings Corp.     8,803,097  
    55,986     Installed Building Products, Inc.     8,928,647  
    292,486     Malibu Boats, Inc. – Class A *     8,815,528  
     

 

 

 
    Total Consumer Durables & Apparel     26,547,272  
     

 

 

 
          Consumer Services — 4.0%  
    547,366     Aramark     22,168,323  
     

 

 

 
          Consumer Staples Distribution & Retail — 3.1%  
    160,833     PriceSmart, Inc.     17,366,747  
     

 

 

 
          Energy — 1.4%      
    189,469     Cactus, Inc. – Class A     7,768,229  
     

 

 

 
          Financial Services — 10.0%      
    133,534     Cohen & Steers, Inc.     10,260,753  
    98,816     Houlihan Lokey, Inc.     17,261,179  
    77,169     Jack Henry & Associates, Inc.     13,980,708  
    244,530     StepStone Group, Inc. – Class A     14,146,060  
     

 

 

 
    Total Financial Services     55,648,700  
     

 

 

 
          Food, Beverage & Tobacco — 5.9%  
    115,042     J&J Snack Foods Corp.     13,249,387  
    118,830     Lancaster Colony Corp.     19,892,142  
     

 

 

 
    Total Food, Beverage & Tobacco     33,141,529  
     

 

 

 
    
Shares
    Description   Value ($)  
          Health Care Equipment & Services — 3.1%  
    290,531     Globus Medical, Inc. – Class A *     17,193,624  
     

 

 

 
          Materials — 8.8%      
    159,034     AptarGroup, Inc.     25,190,986  
    145,089     Balchem Corp.     24,186,336  
     

 

 

 
    Total Materials     49,377,322  
     

 

 

 
          Media & Entertainment — 4.8%  
    468,599     New York Times Co. – Class A     26,766,375  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 2.0%
 
    191,757     Bruker Corp.     7,037,482  
    13,893     Medpace Holdings, Inc. *     4,097,046  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     11,134,528  
     

 

 

 
          Semiconductors & Semiconductor
Equipment — 9.1%
 
    118,865     Axcelis Technologies, Inc. *     6,696,854  
    146,958     Cirrus Logic, Inc. *     14,454,789  
    238,325     Power Integrations, Inc.     11,851,902  
    125,511     Universal Display Corp.      17,992,002  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     50,995,547  
     

 

 

 
          Software & Services — 3.7%  
    274,830     Dolby Laboratories, Inc. – Class A     20,408,876  
     

 

 

 
          Technology Hardware & Equipment — 4.6%  
    37,847     Badger Meter, Inc.     9,394,382  
    69,008     Fabrinet *     16,069,893  
     

 

 

 
    Total Technology Hardware & Equipment     25,464,275  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $526,239,463)
    544,734,691  
     

 

 

 
          INVESTMENT FUNDS — 3.0%  
          United States — 3.0%  
    3,352,309     GMO U.S. Treasury Fund, Class VI (a)     16,795,071  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $16,795,071)
    16,795,071  
     

 

 

 
 


GMO Small Cap Quality Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    138,657     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     138,657  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $138,657)
    138,657  
     

 

 

 
    TOTAL INVESTMENTS — 100.6%
(Cost $543,173,191)
    561,668,419  
    Other Assets and Liabilities (net) — (0.6)%     (3,607,549
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $558,060,870  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 99.2%

 

          Automobiles & Components — 3.0%  
    12,961     BorgWarner, Inc.     428,880  
    100,379     Ford Motor Co.     1,041,934  
    79,374     General Motors Co.     3,937,744  
     

 

 

 
    Total Automobiles & Components     5,408,558  
     

 

 

 
          Banks — 3.8%  
    32,980     Bank of America Corp.     1,455,407  
    1,900     Capital City Bank Group, Inc.     71,706  
    37,062     Citigroup, Inc.     2,791,510  
    5,400     Farmers National Banc Corp.     71,442  
    1,500     First Financial Corp.     77,760  
    5,300     Independent Bank Corp.     167,109  
    6,468     JPMorgan Chase & Co.     1,707,552  
    2,346     PNC Financial Services Group, Inc.     407,758  
    3,991     U.S. Bancorp     173,968  
     

 

 

 
    Total Banks     6,924,212  
     

 

 

 
          Capital Goods — 2.7%  
    690     3M Co.     102,362  
    296     AGCO Corp.     29,002  
    2,616     Allison Transmission Holdings, Inc.     270,808  
    11,596     Cummins, Inc.     3,727,882  
    4,698     Mueller Industries, Inc.     365,833  
    661     Tennant Co.     49,192  
    313     WW Grainger, Inc.     340,406  
     

 

 

 
    Total Capital Goods     4,885,485  
     

 

 

 
          Commercial & Professional Services — 2.4%  
    47,997     ACCO Brands Corp.     172,309  
    3,100     Barrett Business Services, Inc.     128,108  
    287     Brady Corp. – Class A     20,024  
    2,223     CACI International, Inc. – Class A *     951,444  
    1,470     Cimpress PLC *     65,062  
    12,400     Deluxe Corp.     176,948  
    19,964     Genpact Ltd.     859,450  
    3,500     Heidrick & Struggles International, Inc.     152,810  
    4,481     IBEX Holdings Ltd. *     129,008  
    1,799     ICF International, Inc.     154,570  
    6,080     Leidos Holdings, Inc.     903,002  
    821     Republic Services, Inc.     211,235  
    42,682     Resources Connection, Inc.     222,587  
    24,598     Steelcase, Inc. – Class A     253,605  
    3,000     TrueBlue, Inc. *     18,000  
     

 

 

 
    Total Commercial & Professional Services       4,418,162  
     

 

 

 
          Consumer Discretionary Distribution & Retail — 8.5%  
    48,312     Amazon.com, Inc. *     9,904,443  
    9,728     Best Buy Co., Inc.     644,772  
    51,528     eBay, Inc.     3,770,304  
    
Shares
    Description   Value ($)  
          Consumer Discretionary Distribution & Retail —
continued
 
    2,622     Ferguson Enterprises, Inc.     478,095  
    16,493     Kohl’s Corp.     134,088  
    2,534     Signet Jewelers Ltd.     168,688  
    2,865     Urban Outfitters, Inc. *     200,264  
    8,089     Victoria’s Secret & Co. *     171,568  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail     15,472,222  
     

 

 

 
          Consumer Durables & Apparel — 1.9%  
    3,033     Carter’s, Inc.     95,145  
    4,998     Ethan Allen Interiors, Inc.     130,598  
    11,020     Garmin Ltd.     2,236,729  
    2,850     MasterCraft Boat Holdings, Inc. *     48,479  
    582     Ralph Lauren Corp.     161,103  
    3,470     SharkNinja, Inc. *     318,997  
    5,139     Taylor Morrison Home Corp. *     289,223  
    2,577     Whirlpool Corp.     201,238  
     

 

 

 
    Total Consumer Durables & Apparel     3,481,512  
     

 

 

 
          Consumer Services — 2.3%  
    7,226     Adtalem Global Education, Inc. *     954,049  
    5,316     Frontdoor, Inc. *     292,433  
    148     Graham Holdings Co. – Class B     141,253  
    2,178     Grand Canyon Education, Inc. *     430,907  
    21,552     H&R Block, Inc.     1,227,386  
    30,169     Perdoceo Education Corp.     1,026,953  
    139     Stride, Inc. *     21,043  
    2,167     Travel & Leisure Co.     105,251  
     

 

 

 
    Total Consumer Services       4,199,275  
     

 

 

 
          Consumer Staples Distribution & Retail — 3.8%  
    40,980     Kroger Co.     2,796,065  
    27,114     Maplebear, Inc. *     1,238,296  
    29,048     Walmart, Inc.     2,867,619  
     

 

 

 
    Total Consumer Staples Distribution & Retail     6,901,980  
     

 

 

 
          Energy — 0.8%  
    48,144     Kinder Morgan, Inc.     1,349,958  
     

 

 

 
          Financial Services — 11.8%      
    7,505     American Express Co.     2,206,845  
    15,559     Bank of New York Mellon Corp.     1,378,683  
    1,084     Berkshire Hathaway, Inc. – Class B *     546,293  
    3,628     Capital One Financial Corp.     686,236  
    3,680     Enact Holdings, Inc.     130,272  
    7,004     Enova International, Inc. *     649,061  
    3,416     Federated Hermes, Inc.     144,155  
    4,316     Goldman Sachs Group, Inc.     2,591,542  
    24,409     Invesco Ltd.     352,954  
    3,361     Jackson Financial, Inc. – Class A     275,299  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Financial Services — continued      
    14,907     Janus Henderson Group PLC     541,571  
    63,328     MGIC Investment Corp.     1,675,026  
    6,537     Morgan Stanley     836,932  
    4,689     Mr. Cooper Group, Inc. *     607,366  
    7,870     NMI Holdings, Inc. *     312,596  
    5,867     PROG Holdings, Inc.     169,146  
    30,805     Radian Group, Inc.     1,051,991  
    1,273     Raymond James Financial, Inc.     187,106  
    16,169     SLM Corp.     523,391  
    34,901     State Street Corp.     3,360,268  
    51,487     Synchrony Financial     2,968,226  
    2,203     Victory Capital Holdings, Inc. – Class A     136,608  
    2,071     Virtu Financial, Inc. – Class A     83,233  
     

 

 

 
    Total Financial Services      21,414,800  
     

 

 

 
          Food, Beverage & Tobacco — 6.0%  
    65,257     Altria Group, Inc.     3,955,227  
    31,731     Coca-Cola Co.     2,287,805  
    64,359     Keurig Dr. Pepper, Inc.     2,166,968  
    2,232     Molson Coors Beverage Co. – Class B     119,613  
    5,312     PepsiCo, Inc.     698,262  
    7,658     Philip Morris International, Inc.     1,382,958  
    3,307     Universal Corp.     216,245  
     

 

 

 
    Total Food, Beverage & Tobacco     10,827,078  
     

 

 

 
          Health Care Equipment & Services — 1.9%  
    2,487     Cardinal Health, Inc.     384,092  
    12,023     Centene Corp. *     678,578  
    931     Cigna Group     294,792  
    28,823     CVS Health Corp.     1,845,825  
    416     Elevance Health, Inc.     159,678  
     

 

 

 
    Total Health Care Equipment & Services     3,362,965  
     

 

 

 
          Insurance — 3.4%  
    3,869     Aflac, Inc.     400,596  
    1,649     Allstate Corp.     346,076  
    3,817     Arch Capital Group Ltd.     362,768  
    6,636     CNO Financial Group, Inc.     251,903  
    2,094     Globe Life, Inc.     255,196  
    15,149     Hartford Insurance Group, Inc.     1,966,946  
    5,454     Heritage Insurance Holdings, Inc. *     133,459  
    6,423     Lincoln National Corp.     212,858  
    14,725     Old Republic International Corp.     556,605  
    513     Progressive Corp.     146,169  
    19,258     Unum Group     1,573,571  
     

 

 

 
    Total Insurance     6,206,147  
     

 

 

 
          Materials — 0.1%  
    6,506     Ryerson Holding Corp.     135,064  
     

 

 

 
    
Shares
    Description   Value ($)  
          Media & Entertainment — 10.6%      
    32,879     Alphabet, Inc. – Class A     5,646,639  
    20,169     Alphabet, Inc. – Class C     3,486,212  
    32,366     Comcast Corp. – Class A     1,118,893  
    10,257     Fox Corp. – Class A     563,520  
    3,810     Fox Corp. – Class B     191,567  
    12,194     Meta Platforms, Inc. – Class A     7,895,493  
    289     Netflix, Inc. *     348,889  
     

 

 

 
    Total Media & Entertainment      19,251,213  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 4.9%
 
    16,311     Johnson & Johnson     2,531,631  
    48,542     Merck & Co., Inc.     3,729,967  
    111,582     Pfizer, Inc.     2,621,061  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     8,882,659  
     

 

 

 
          Real Estate Management & Development — 0.2%  
    1,474     CBRE Group, Inc. – Class A *     184,279  
    11,965     Newmark Group, Inc. – Class A     131,735  
     

 

 

 
    Total Real Estate Management & Development     316,014  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 8.1%  
    8,466     Applied Materials, Inc.     1,327,046  
    1,834     Cirrus Logic, Inc. *     180,392  
    137,471     Intel Corp.     2,687,558  
    62,307     NVIDIA Corp.     8,419,545  
    1,365     NXP Semiconductors NV     260,892  
    11,731     QUALCOMM, Inc.     1,703,341  
    2,760     Skyworks Solutions, Inc.     190,523  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     14,769,297  
     

 

 

 
          Software & Services — 10.9%  
    8,076     Accenture PLC – Class A     2,558,638  
    372     Adobe, Inc. *     154,414  
    2,710     Akamai Technologies, Inc. *     205,770  
    787     Amdocs Ltd.     72,215  
    25,584     Cognizant Technology Solutions Corp. – Class A     2,072,048  
    233     GoDaddy, Inc. – Class A *     42,441  
    16,657     International Business Machines Corp.     4,315,163  
    18,172     Microsoft Corp.     8,365,662  
    5,179     Progress Software Corp.     318,819  
    20,361     Zoom Communications, Inc. – Class A *     1,654,331  
     

 

 

 
    Total Software & Services     19,759,501  
     

 

 

 
          Technology Hardware & Equipment — 7.7%  
    45,515     Apple, Inc.     9,141,687  
    62,420     Cisco Systems, Inc.     3,934,957  
    11,060     Hewlett Packard Enterprise Co.     191,117  
    27,749     HP, Inc.     690,950  
     

 

 

 
    Total Technology Hardware & Equipment     13,958,711  
     

 

 

 
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

     Shares /
Par Value†
    Description   Value ($)  
          Telecommunication Services — 2.3%      
    96,143     Verizon Communications, Inc.     4,226,446  
     

 

 

 
          Transportation — 1.3%      
    5,573     CH Robinson Worldwide, Inc.     534,841  
    14,211     CSX Corp.     448,926  
    10,657     Delta Air Lines, Inc.     515,692  
    1,494     Matson, Inc.     168,598  
    3,173     United Airlines Holdings, Inc. *     252,079  
    4,319     United Parcel Service, Inc. – Class B     421,275  
     

 

 

 
    Total Transportation     2,341,411  
     

 

 

 
          Utilities — 0.8%  
    804     DTE Energy Co.     109,867  
    22,081     Exelon Corp.     967,589  
    11,590     UGI Corp.     417,935  
     

 

 

 
    Total Utilities     1,495,391  
     

 

 

 
    TOTAL COMMON STOCKS (COST $167,477,666)     179,988,061  
     

 

 

 
          DEBT OBLIGATIONS — 0.2%  
          U.S. Government — 0.2%  
    25,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.18%, 4.48%, due 07/31/26     25,033  
    400,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.21%, 4.51%, due 10/31/26 (a)     400,590  
     

 

 

 
    Total U.S. Government     425,623  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $425,142)
    425,623  
     

 

 

 
    
Shares
    Description   Value ($)  
    INVESTMENT FUNDS — 0.3%

 

          United States — 0.3%  
    111,811     GMO U.S. Treasury Fund, Class VI (b)     560,172  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $560,172)
    560,172  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%  
    411,025     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (c)     411,025  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $411,025)
    411,025  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $168,874,005)
    181,384,881  
    Other Assets and Liabilities (net) — 0.1%     121,239  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $181,506,120  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
1   S&P 500 E-Mini     June 2025       $295,800     $ 32,181  
     

 

 

   

 

 

 
 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

Affiliated company.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

 


GMO U.S. Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 99.1%

 

          Automobiles & Components — 3.8%      
    12,791     Aptiv PLC *     854,567  
    1,362     Autoliv, Inc.     140,041  
    164,282     BorgWarner, Inc.     5,436,091  
    244,013     Ford Motor Co.     2,532,855  
    92,715     General Motors Co.     4,599,591  
    24,019     Lear Corp.     2,171,798  
     

 

 

 
    Total Automobiles & Components     15,734,943  
     

 

 

 
          Banks — 11.5%  
    195,312     Bank of America Corp.     8,619,119  
    81,093     Citigroup, Inc.     6,107,925  
    65,070     Huntington Bancshares, Inc.     1,017,044  
    47,505     JPMorgan Chase & Co.     12,541,320  
    14,479     M&T Bank Corp.     2,644,445  
    34,055     PNC Financial Services Group, Inc.     5,919,099  
    43,836     Regions Financial Corp.     939,844  
    38,805     Truist Financial Corp.     1,532,797  
    130,777     U.S. Bancorp     5,700,569  
    24,646     Wells Fargo & Co.     1,843,028  
     

 

 

 
    Total Banks      46,865,190  
     

 

 

 
          Capital Goods — 4.5%  
    2,711     AGCO Corp.     265,624  
    5,667     Atkore, Inc.     368,922  
    8,545     Carrier Global Corp.     608,404  
    6,139     Caterpillar, Inc.     2,136,556  
    16,319     Cummins, Inc.     5,246,232  
    3,453     EnerSys     288,774  
    5,406     Mueller Industries, Inc.     420,965  
    3,316     Northrop Grumman Corp.     1,607,497  
    22,784     Oshkosh Corp.     2,259,945  
    9,651     Owens Corning     1,292,751  
    33,014     PACCAR, Inc.     3,098,364  
    929     Snap-on, Inc.     297,977  
    5,328     Timken Co.     364,915  
    2,253     UFP Industries, Inc.     219,803  
     

 

 

 
    Total Capital Goods     18,476,729  
     

 

 

 
          Commercial & Professional Services — 0.3%  
    12,194     Concentrix Corp.     682,437  
    6,994     Genpact Ltd.     301,092  
    8,215     ManpowerGroup, Inc.     344,619  
     

 

 

 
    Total Commercial & Professional Services     1,328,148  
     

 

 

 
          Consumer Discretionary Distribution & Retail — 3.0%  
    26,262     Academy Sports & Outdoors, Inc.     1,074,379  
    10,181     AutoNation, Inc. *     1,871,777  
    14,834     Bath & Body Works, Inc.     417,132  
    19,027     Best Buy Co., Inc.     1,261,110  
    
Shares
    Description   Value ($)  
          Consumer Discretionary Distribution &
Retail — continued
 
    53,543     eBay, Inc.     3,917,741  
    4,049     Group 1 Automotive, Inc.     1,716,452  
    10,998     LKQ Corp.     445,089  
    29,398     Macy’s, Inc.     349,542  
    20,434     Signet Jewelers Ltd.     1,360,291  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail     12,413,513  
     

 

 

 
          Consumer Durables & Apparel — 4.2%  
    24,253     Crocs, Inc. *     2,473,806  
    19,333     DR Horton, Inc.     2,282,454  
    30,376     KB Home     1,566,794  
    8,526     La-Z-Boy, Inc.     357,154  
    21,458     Lennar Corp. – Class A     2,276,265  
    2,314     M/I Homes, Inc. *     246,696  
    16,029     Meritage Homes Corp.     1,019,605  
    2,769     Mohawk Industries, Inc. *     278,589  
    21,583     Polaris, Inc.     846,485  
    12,897     PulteGroup, Inc.     1,264,293  
    16,188     PVH Corp.     1,356,069  
    5,128     Skechers USA, Inc. – Class A *     318,141  
    11,751     Steven Madden Ltd.     289,662  
    4,858     Taylor Morrison Home Corp. *     273,408  
    4,627     Toll Brothers, Inc.     482,365  
    20,280     Tri Pointe Homes, Inc. *     597,854  
    11,203     Whirlpool Corp.     874,842  
    13,556     YETI Holdings, Inc. *     414,271  
     

 

 

 
    Total Consumer Durables & Apparel      17,218,753  
     

 

 

 
          Consumer Services — 0.4%  
    13,704     H&R Block, Inc.     780,443  
    21,161     Perdoceo Education Corp.     720,320  
     

 

 

 
    Total Consumer Services     1,500,763  
     

 

 

 
          Consumer Staples Distribution & Retail — 1.7%  
    7,015     Dollar General Corp.     682,209  
    23,071     Kroger Co.     1,574,134  
    48,210     Target Corp.     4,532,222  
     

 

 

 
    Total Consumer Staples Distribution & Retail     6,788,565  
     

 

 

 
          Energy — 8.1%  
    79,019     Chevron Corp.     10,801,897  
    29,158     ConocoPhillips     2,488,635  
    7,178     Devon Energy Corp.     217,206  
    52,434     EOG Resources, Inc.     5,692,760  
    130,662     Exxon Mobil Corp.     13,366,723  
    10,186     Kinder Morgan, Inc.     285,616  
    11,699     Ovintiv, Inc.     419,058  
     

 

 

 
    Total Energy     33,271,895  
     

 

 

 
 


GMO U.S. Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Equity Real Estate Investment Trusts (REITs) — 2.1%  
    264,400     VICI Properties, Inc. – (REIT)     8,384,124  
     

 

 

 
          Financial Services — 13.2%      
    9,068     Affiliated Managers Group, Inc.     1,595,968  
    15,962     American Express Co.     4,693,626  
    33,690     Bank of New York Mellon Corp.     2,985,271  
    27,862     Blue Owl Capital Corp.     408,178  
    4,739     Bread Financial Holdings, Inc.     242,826  
    24,630     Capital One Financial Corp.     4,658,764  
    9,843     Enova International, Inc. *     912,151  
    12,055     Federated Hermes, Inc.     508,721  
    60,034     Franklin Resources, Inc.     1,299,136  
    9,150     Goldman Sachs Group, Inc.     5,494,117  
    130,015     Invesco Ltd.     1,880,017  
    27,893     Janus Henderson Group PLC     1,013,353  
    155,491     MGIC Investment Corp.     4,112,737  
    27,250     Morgan Stanley     3,488,818  
    56,685     PayPal Holdings, Inc. *     3,983,822  
    79,216     Radian Group, Inc.     2,705,226  
    23,851     Raymond James Financial, Inc.     3,505,620  
    21,838     Sixth Street Specialty Lending, Inc.     508,607  
    56,275     SLM Corp.     1,821,622  
    32,257     State Street Corp.     3,105,704  
    26,924     Synchrony Financial     1,552,169  
    15,636     T. Rowe Price Group, Inc.     1,463,373  
    212,971     Western Union Co.     1,976,371  
     

 

 

 
    Total Financial Services     53,916,197  
     

 

 

 
          Food, Beverage & Tobacco — 2.8%  
    25,396     Archer-Daniels-Midland Co.     1,225,865  
    9,089     Bunge Global SA     710,305  
    2,345     Conagra Brands, Inc.     53,677  
    56,720     General Mills, Inc.     3,077,627  
    11,240     Keurig Dr. Pepper, Inc.     378,451  
    80,708     Kraft Heinz Co.     2,157,325  
    10,287     Mondelez International, Inc. – Class A     694,270  
    18,469     PepsiCo, Inc.     2,427,750  
    10,837     Tyson Foods, Inc. – Class A     608,606  
     

 

 

 
    Total Food, Beverage & Tobacco      11,333,876  
     

 

 

 
          Health Care Equipment & Services — 7.7%  
    66,226     Centene Corp. *     3,737,795  
    25,121     Cigna Group     7,954,314  
    127,919     CVS Health Corp.     8,191,933  
    12,236     Elevance Health, Inc.     4,696,666  
    30,530     GE HealthCare Technologies, Inc.     2,153,586  
    11,024     Humana, Inc.     2,570,025  
    22,158     Medtronic PLC     1,838,671  
    17,060     Premier, Inc. – Class A     392,039  
     

 

 

 
    Total Health Care Equipment & Services     31,535,029  
     

 

 

 
    
Shares
    Description   Value ($)  
          Household & Personal Products — 0.3%  
    11,950     Edgewell Personal Care Co.     330,059  
    7,384     Kimberly-Clark Corp.     1,061,524  
     

 

 

 
    Total Household & Personal Products     1,391,583  
     

 

 

 
          Insurance — 3.6%  
    25,163     Aflac, Inc.     2,605,377  
    8,087     Allstate Corp.     1,697,219  
    25,583     Arch Capital Group Ltd.     2,431,408  
    7,367     Chubb Ltd.     2,189,472  
    926     Everest Group Ltd.     321,498  
    27,456     Hartford Insurance Group, Inc.     3,564,887  
    10,911     Lincoln National Corp.     361,591  
    5,988     MetLife, Inc.     470,537  
    9,672     Old Republic International Corp.     365,602  
    10,151     Unum Group     829,438  
     

 

 

 
    Total Insurance     14,837,029  
     

 

 

 
          Materials — 1.5%  
    18,360     Commercial Metals Co.     855,393  
    9,956     FMC Corp.     403,815  
    10,270     LyondellBasell Industries NV – Class A     580,152  
    543     NewMarket Corp.     349,725  
    16,831     Nucor Corp.     1,840,638  
    7,865     PPG Industries, Inc.     871,442  
    33,631     Sealed Air Corp.     1,082,918  
     

 

 

 
    Total Materials     5,984,083  
     

 

 

 
          Media & Entertainment — 5.6%  
    24,965     Alphabet, Inc. – Class A     4,287,489  
    20,305     Alphabet, Inc. – Class C     3,509,719  
    264,694     Comcast Corp. – Class A     9,150,472  
    1,341     Electronic Arts, Inc.     192,809  
    12,919     Fox Corp. – Class A     709,770  
    23,515     Fox Corp. – Class B     1,182,334  
    5,935     Meta Platforms, Inc. – Class A     3,842,853  
     

 

 

 
    Total Media & Entertainment      22,875,446  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 10.8%
 
    106,539     Bristol-Myers Squibb Co.     5,143,703  
    83,975     Johnson & Johnson     13,033,760  
    119,495     Merck & Co., Inc.     9,181,996  
    167,524     Organon & Co.     1,544,571  
    389,661     Pfizer, Inc.     9,153,137  
    12,199     Regeneron Pharmaceuticals, Inc.     5,980,925  
    948     United Therapeutics Corp. *     302,270  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     44,340,362  
     

 

 

 
          Real Estate Management & Development — 0.2%  
    6,742     CBRE Group, Inc. – Class A *     842,885  
     

 

 

 
 


GMO U.S. Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Semiconductors & Semiconductor Equipment — 3.3%  
    15,662     Applied Materials, Inc.     2,455,019  
    18,215     Lam Research Corp.     1,471,590  
    65,802     QUALCOMM, Inc.     9,554,450  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     13,481,059  
     

 

 

 
          Software & Services — 1.3%  
    47,611     Cognizant Technology Solutions Corp. – Class A     3,856,015  
    18,051     Zoom Communications, Inc. – Class A *     1,466,644  
     

 

 

 
    Total Software & Services     5,322,659  
     

 

 

 
          Technology Hardware & Equipment — 4.3%  
    16,919     Arrow Electronics, Inc. *     2,002,871  
    56,254     Avnet, Inc.     2,813,262  
    109,812     Cisco Systems, Inc.     6,922,548  
    99,743     Hewlett Packard Enterprise Co.     1,723,559  
    120,874     HP, Inc.     3,009,763  
    3,482     TE Connectivity PLC     557,364  
    10,113     Vontier Corp.     361,540  
     

 

 

 
    Total Technology Hardware & Equipment      17,390,907  
     

 

 

 
          Telecommunication Services — 2.9%  
    45,246     AT&T, Inc.     1,257,839  
    236,464     Verizon Communications, Inc.     10,394,957  
     

 

 

 
    Total Telecommunication Services     11,652,796  
     

 

 

 
          Transportation — 2.0%  
    7,041     CH Robinson Worldwide, Inc.     675,725  
    14,498     Delta Air Lines, Inc.     701,558  
    11,076     FedEx Corp.     2,415,676  
    46,441     United Parcel Service, Inc. – Class B     4,529,855  
     

 

 

 
    Total Transportation     8,322,814  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $413,222,014)
    405,209,348  
     

 

 

 
          INVESTMENT FUNDS — 0.7%  
          United States — 0.7%  
    517,759     GMO U.S. Treasury Fund, Class VI (a)     2,593,974  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $2,593,974)
    2,593,974  
     

 

 

 
    
Shares
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 0.3%

 

          Money Market Funds — 0.3%  
    1,447,085     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     1,447,085  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,447,085)
    1,447,085  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $417,263,073)
    409,250,407  
    Other Assets and Liabilities (net) — (0.1)%     (450,913
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $408,799,494  
     

 

 

 

Notes to Schedule of Investments:

 

* 

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

Portfolio Abbreviations:

REIT - Real Estate Investment Trust

 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 99.3%

 

          Automobiles & Components — 3.2%  
    2,158     Adient PLC *     33,643  
    6,302     American Axle & Manufacturing Holdings, Inc. *     27,666  
    22,293     BorgWarner, Inc.     737,676  
    13,073     Dana, Inc.     217,404  
    815     Lear Corp.     73,692  
     

 

 

 
    Total Automobiles & Components     1,090,081  
     

 

 

 
          Banks — 8.1%  
    1,921     1st Source Corp.     116,336  
    4,458     Amalgamated Financial Corp.     134,721  
    1,366     Arrow Financial Corp.     35,174  
    14,241     Associated Banc-Corp.     329,964  
    12,221     BankUnited, Inc.     415,269  
    794     Banner Corp.     48,950  
    600     Capital City Bank Group, Inc.     22,644  
    3,623     Central Pacific Financial Corp.     96,734  
    2,452     Community Trust Bancorp, Inc.     125,175  
    900     Community West Bancshares     16,020  
    2,420     Customers Bancorp, Inc. *     123,323  
    1,205     Eagle Bancorp, Inc.     21,208  
    525     East West Bancorp, Inc.     47,880  
    1,228     Enterprise Financial Services Corp.     65,010  
    1,004     Financial Institutions, Inc.     25,923  
    11,347     First BanCorp     226,713  
    1,441     First Community Bankshares, Inc.     54,182  
    2,252     First Financial Corp.     116,744  
    400     Great Southern Bancorp, Inc.     22,376  
    8,589     Hanmi Financial Corp.     196,860  
    1,090     Horizon Bancorp, Inc.     16,176  
    3,074     Independent Bank Corp.     96,923  
    221     Northrim BanCorp, Inc.     20,244  
    2,032     OceanFirst Financial Corp.     34,158  
    3,609     OFG Bancorp     148,474  
    1,222     Old National Bancorp     25,491  
    613     Republic Bancorp, Inc. – Class A     42,015  
    1,715     Simmons First National Corp. – Class A     32,173  
    1,390     Synovus Financial Corp.     66,484  
    1,571     Trustmark Corp.     54,137  
     

 

 

 
    Total Banks      2,777,481  
     

 

 

 
          Capital Goods — 10.1%  
    3,280     AGCO Corp.     321,374  
    1,788     Allison Transmission Holdings, Inc.     185,094  
    3,735     Apogee Enterprises, Inc.     144,358  
    2,387     Atkore, Inc.     155,394  
    1,207     AZZ, Inc.     109,463  
    781     BlueLinx Holdings, Inc. *     52,264  
    780     DXP Enterprises, Inc. *     64,490  
    17,170     Gates Industrial Corp. PLC *     363,145  
    1,489     Greenbrier Cos., Inc.     67,109  
    
Shares
    Description   Value ($)  
          Capital Goods — continued  
    7,080     Hudson Technologies, Inc. *     50,622  
    1,159     Hyster-Yale, Inc.     46,545  
    7,363     JELD-WEN Holding, Inc. *     26,875  
    11,773     Kennametal, Inc.     253,473  
    16,589     Masterbrand, Inc. *     169,208  
    1,621     Matrix Service Co. *     19,809  
    1,340     Miller Industries, Inc.     60,742  
    4,224     MRC Global, Inc. *     52,420  
    309     Mueller Industries, Inc.     24,062  
    1,273     Mueller Water Products, Inc. – Class A     31,227  
    832     Oshkosh Corp.     82,526  
    1,152     Park-Ohio Holdings Corp.     21,082  
    539     Preformed Line Products Co.     76,883  
    2,641     Primoris Services Corp.     190,442  
    15,047     Resideo Technologies, Inc. *     311,473  
    300     Rush Enterprises, Inc. – Class B     15,664  
    2,081     Tennant Co.     154,868  
    8,510     Terex Corp.     383,035  
    1,059     Worthington Enterprises, Inc.     62,386  
     

 

 

 
    Total Capital Goods     3,496,033  
     

 

 

 
          Commercial & Professional Services — 8.0%  
    4,981     ABM Industries, Inc.     262,250  
    33,149     ACCO Brands Corp.     119,005  
    3,200     Barrett Business Services, Inc.     132,240  
    6,053     Brady Corp. – Class A     422,318  
    5,361     BrightView Holdings, Inc. *     83,524  
    1,935     Cimpress PLC *     85,643  
    3,384     Concentrix Corp.     189,386  
    1,663     CSG Systems International, Inc.     109,858  
    10,995     Deluxe Corp.     156,899  
    4,971     Heidrick & Struggles International, Inc.     217,034  
    1,357     HNI Corp.     63,141  
    1,796     IBEX Holdings Ltd. *     51,707  
    9,627     Interface, Inc.     193,406  
    7,365     Kelly Services, Inc. – Class A     86,318  
    1,307     ManpowerGroup, Inc.     54,829  
    21,414     Pitney Bowes, Inc.     220,564  
    10,690     Resources Connection, Inc.     55,748  
    16,536     Steelcase, Inc. – Class A     170,486  
    5,005     TrueBlue, Inc. *     30,030  
    2,321     Upwork, Inc. *     35,952  
     

 

 

 
    Total Commercial & Professional Services      2,740,338  
     

 

 

 
          Consumer Discretionary Distribution & Retail — 5.2%  
    347     AutoNation, Inc. *     63,796  
    444     Buckle, Inc.     18,919  
    2,190     Cato Corp. – Class A     5,606  
    1,913     Genesco, Inc. *     41,570  
    360     Group 1 Automotive, Inc.     152,611  
    1,398     Guess?, Inc.     14,651  
    42,114     Kohl’s Corp.     342,387  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Consumer Discretionary Distribution & Retail —
continued
 
    26,775     Macy’s, Inc.     318,355  
    20,316     Sally Beauty Holdings, Inc. *     176,952  
    3,979     Shoe Carnival, Inc.     76,476  
    2,426     Signet Jewelers Ltd.     161,499  
    3,182     Upbound Group, Inc.     72,995  
    1,888     Urban Outfitters, Inc. *     131,971  
    9,476     Victoria’s Secret & Co. *     200,986  
    494     Weyco Group, Inc.     15,492  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail      1,794,266  
     

 

 

 
          Consumer Durables & Apparel — 6.1%  
    1,982     Beazer Homes USA, Inc. *     40,671  
    5,802     Carter’s, Inc.     182,009  
    2,361     Century Communities, Inc.     122,465  
    5,911     Ethan Allen Interiors, Inc.     154,454  
    7,622     G-III Apparel Group Ltd. *     221,419  
    926     Helen of Troy Ltd. *     24,900  
    1,368     Hooker Furnishings Corp.     13,434  
    1,124     Johnson Outdoors, Inc. – Class A     30,561  
    5,558     La-Z-Boy, Inc.     232,825  
    874     Movado Group, Inc.     14,159  
    6,524     Polaris, Inc.     255,871  
    8,381     Sonos, Inc. *     86,157  
    2,065     Steven Madden Ltd.     50,902  
    2,694     Taylor Morrison Home Corp. *     151,618  
    3,968     Tri Pointe Homes, Inc. *     116,977  
    2,400     Universal Electronics, Inc. *     15,864  
    5,034     Whirlpool Corp.     393,105  
     

 

 

 
    Total Consumer Durables & Apparel     2,107,391  
     

 

 

 
          Consumer Services — 5.3%  
    5,912     Adtalem Global Education, Inc. *     780,561  
    753     American Public Education, Inc. *     22,176  
    1,896     Bloomin’ Brands, Inc.     14,467  
    762     Dine Brands Global, Inc.     18,334  
    185     Graham Holdings Co. – Class B     176,566  
    116     Grand Canyon Education, Inc. *     22,950  
    2,834     H&R Block, Inc.     161,396  
    16,861     Perdoceo Education Corp.     573,948  
    1,452     Travel & Leisure Co.     70,524  
     

 

 

 
    Total Consumer Services     1,840,922  
     

 

 

 
          Consumer Staples Distribution & Retail — 2.6%  
    2,161     Ingles Markets, Inc. – Class A     134,630  
    4,267     Maplebear, Inc. *     194,874  
    188     PriceSmart, Inc.     20,300  
    5,461     SpartanNash Co.     106,271  
    9,927     United Natural Foods, Inc. *     303,469  
    1,140     Village Super Market, Inc. – Class A     43,981  
    1,396     Weis Markets, Inc.     105,817  
     

 

 

 
    Total Consumer Staples Distribution & Retail     909,342  
     

 

 

 
    
Shares
    Description   Value ($)  
          Energy — 1.1%      
    2,292     Excelerate Energy, Inc. – Class A     64,474  
    9,097     FutureFuel Corp.     35,933  
    1,005     International Seaways, Inc.     37,235  
    8,658     World Kinect Corp.     237,143  
     

 

 

 
    Total Energy     374,785  
     

 

 

 
          Equity Real Estate Investment Trusts (REITs) — 4.7%  
    4,094     American Assets Trust, Inc. – (REIT)     81,634  
    5,273     Brandywine Realty Trust – (REIT)     22,305  
    8,121     Brixmor Property Group, Inc. – (REIT)     206,355  
    1,973     Broadstone Net Lease, Inc. – (REIT)     31,390  
    1,484     CareTrust REIT, Inc.     42,680  
    1,861     DiamondRock Hospitality Co. – (REIT)     14,218  
    23,775     Diversified Healthcare Trust – (REIT)     74,416  
    4,735     Douglas Emmett, Inc. – (REIT)     67,379  
    7,801     Empire State Realty Trust, Inc. – Class A, (REIT)     59,756  
    1,954     EPR Properties – (REIT)     108,818  
    13,716     Industrial Logistics Properties Trust – (REIT)     45,126  
    415     Innovative Industrial Properties, Inc. – (REIT)     22,916  
    1,581     LTC Properties, Inc. – (REIT)     55,951  
    2,492     Millrose Properties, Inc. – Class A, (REIT)     69,452  
    21,306     Outfront Media, Inc. – (REIT)     351,975  
    2,027     Park Hotels & Resorts, Inc. – (REIT)     21,000  
    27,400     Piedmont Office Realty Trust, Inc. – Class A, (REIT)     195,088  
    1,113     Safehold, Inc. – (REIT)     16,773  
    5,974     Service Properties Trust – (REIT)     13,860  
    5,027     Summit Hotel Properties, Inc. – (REIT)     22,018  
    1,132     Urban Edge Properties – (REIT)     20,557  
    1,519     Veris Residential, Inc. – (REIT)     23,089  
    2,995     Whitestone – (REIT)     36,898  
     

 

 

 
    Total Equity Real Estate Investment Trusts (REITs)      1,603,654  
     

 

 

 
          Financial Services — 12.5%  
    2,771     Bread Financial Holdings, Inc.     141,986  
    3,625     Enact Holdings, Inc.     128,325  
    6,519     Enova International, Inc. *     604,116  
    2,659     EZCORP, Inc. – Class A *     35,764  
    133     Federated Hermes, Inc.     5,613  
    9,553     Invesco Ltd.     138,136  
    5,388     Jackson Financial, Inc. – Class A     441,331  
    25,877     MGIC Investment Corp.     684,447  
    338     Mr. Cooper Group, Inc. *     43,781  
    8,832     Navient Corp.     118,702  
    8,186     NMI Holdings, Inc. *     325,148  
    1,054     Oppenheimer Holdings, Inc. – Class A     68,816  
    6,962     PROG Holdings, Inc.     200,714  
    18,606     Radian Group, Inc.     635,395  
    1,499     Regional Management Corp.     39,649  
    17,042     SLM Corp.     551,649  
    2,550     Virtu Financial, Inc. – Class A     102,484  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Financial Services — continued  
    2,039     Waterstone Financial, Inc.     26,344  
    588     Westwood Holdings Group, Inc.     8,696  
     

 

 

 
    Total Financial Services     4,301,096  
     

 

 

 
          Food, Beverage & Tobacco — 4.3%  
    4,583     Cal-Maine Foods, Inc.     439,647  
    280     Coca-Cola Consolidated, Inc.     32,102  
    3,284     Fresh Del Monte Produce, Inc.     115,991  
    528     MGP Ingredients, Inc.     15,534  
    2,892     Pilgrim’s Pride Corp.     142,171  
    953     Seneca Foods Corp. – Class A *     89,877  
    1,025     Simply Good Foods Co. *     35,373  
    3,075     Turning Point Brands, Inc.     228,534  
    5,353     Universal Corp.     350,033  
    2,608     WK Kellogg Co.     44,127  
     

 

 

 
    Total Food, Beverage & Tobacco      1,493,389  
     

 

 

 
          Health Care Equipment & Services — 1.9%  
    5,815     AMN Healthcare Services, Inc. *     122,755  
    834     Electromed, Inc. *     16,847  
    12,331     OraSure Technologies, Inc. *     35,513  
    19,502     Premier, Inc. – Class A     448,156  
    944     TruBridge, Inc. *     22,590  
     

 

 

 
    Total Health Care Equipment & Services     645,861  
     

 

 

 
          Household & Personal Products — 0.7%  
    4,505     Edgewell Personal Care Co.     124,428  
    8,391     Herbalife Ltd. *     65,534  
    6,813     Nu Skin Enterprises, Inc. – Class A     58,796  
     

 

 

 
    Total Household & Personal Products     248,758  
     

 

 

 
          Insurance — 7.2%      
    9,561     CNO Financial Group, Inc.     362,936  
    2,000     Employers Holdings, Inc.     97,340  
    7,863     Genworth Financial, Inc. *     55,434  
    1,249     Heritage Insurance Holdings, Inc. *     30,563  
    94     Investors Title Co.     21,998  
    15,751     Lincoln National Corp.     521,988  
    9,961     Old Republic International Corp.     376,526  
    3,419     Stewart Information Services Corp.     206,302  
    2,723     Universal Insurance Holdings, Inc.     73,902  
    8,858     Unum Group     723,787  
     

 

 

 
    Total Insurance     2,470,776  
     

 

 

 
          Materials — 2.0%  
    1,514     AdvanSix, Inc.     35,594  
    2,371     Commercial Metals Co.     110,465  
    241     Hawkins, Inc.     32,171  
    1,408     Idaho Strategic Resources, Inc. *     18,628  
    3,519     Koppers Holdings, Inc.     108,104  
    2,981     Radius Recycling, Inc.     88,267  
    
Shares
    Description   Value ($)  
          Materials — continued  
    1,808     Ryerson Holding Corp.     37,534  
    2,722     Sealed Air Corp.     87,648  
    3,789     SunCoke Energy, Inc.     30,842  
    1,818     Sylvamo Corp.     96,300  
    1,218     Warrior Met Coal, Inc.     55,358  
     

 

 

 
    Total Materials     700,911  
     

 

 

 
          Media & Entertainment — 2.2%  
    3,624     Cars.com, Inc. *     37,146  
    14,785     Eventbrite, Inc. – Class A *     34,893  
    6,121     Gray Media, Inc.     24,300  
    240     Lee Enterprises, Inc. *     1,476  
    5,832     Shutterstock, Inc.     107,600  
    10,118     Yelp, Inc. *     386,204  
    5,576     Ziff Davis, Inc. *     180,886  
     

 

 

 
    Total Media & Entertainment     772,505  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences —1.5%  
    2,790     Jazz Pharmaceuticals PLC *     301,515  
    700     Phibro Animal Health Corp. – Class A     17,094  
    5,264     Supernus Pharmaceuticals, Inc. *     166,869  
    3,689     Vanda Pharmaceuticals, Inc. *     16,010  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     501,488  
     

 

 

 
          Real Estate Management & Development — 1.8%  
    12,743     Douglas Elliman, Inc. *     34,661  
    1,476     Jones Lang LaSalle, Inc. *     328,705  
    23,236     Newmark Group, Inc. – Class A     255,828  
    1,889     RE/MAX Holdings, Inc. – Class A *     14,262  
     

 

 

 
    Total Real Estate Management & Development        633,456  
     

 

 

 
          Semiconductors & Semiconductor Equipment —2.2%  
    1,500     Axcelis Technologies, Inc. *     84,510  
    5,032     Cirrus Logic, Inc. *     494,947  
    1,582     Diodes, Inc. *     70,241  
    5,494     Photronics, Inc. *     91,805  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     741,503  
     

 

 

 
          Software & Services — 1.4%  
    1,963     ASGN, Inc. *     103,666  
    3,239     Backblaze, Inc. – Class A *     18,462  
    3,338     N-able, Inc. *     26,003  
    8,167     Olo, Inc. – Class A *     71,135  
    3,370     Progress Software Corp.     207,457  
    6,386     Unisys Corp. *     30,461  
    2,360     Viant Technology, Inc. – Class A *     32,545  
     

 

 

 
    Total Software & Services     489,729  
     

 

 

 
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Technology Hardware & Equipment — 2.7%  
    8,023     Avnet, Inc.     401,230  
    3,790     Benchmark Electronics, Inc.     138,411  
    2,139     Kimball Electronics, Inc. *     38,716  
    2,537     NETGEAR, Inc. *     74,410  
    8,158     TTM Technologies, Inc. *     243,598  
    2,695     Turtle Beach Corp. *     30,939  
     

 

 

 
    Total Technology Hardware & Equipment     927,304  
     

 

 

 
          Telecommunication Services — 0.3%  
    5,621     Spok Holdings, Inc.     91,060  
     

 

 

 
          Transportation — 1.3%  
    1,456     Alaska Air Group, Inc. *     74,154  
    1,141     ArcBest Corp.     71,529  
    12,243     Hertz Global Holdings, Inc. *     80,192  
    1,753     Matson, Inc.     197,826  
    3,619     Sun Country Airlines Holdings, Inc. *     41,908  
     

 

 

 
    Total Transportation     465,609  
     

 

 

 
          Utilities — 2.9%  
    2,619     Avista Corp.     100,858  
    437     Black Hills Corp.     25,551  
    6,317     MDU Resources Group, Inc.     108,589  
    1,717     Northwest Natural Holding Co.     70,346  
    1,016     Northwestern Energy Group, Inc.     56,215  
    544     ONE Gas, Inc.     40,669  
    566     Spire, Inc.     42,609  
    15,077     UGI Corp.     543,677  
     

 

 

 
    Total Utilities     988,514  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $33,293,984)
    34,206,252  
     

 

 

 
          INVESTMENT FUNDS — 0.1%      
          United States — 0.1%      
    6,865     GMO U.S. Treasury Fund, Class VI (a)     34,397  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $34,397)
    34,397  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.6%  
          Money Market Funds — 0.6%      
    215,940     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     215,940  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $215,940)
    215,940  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $33,544,321)
    34,456,589  
    Other Assets and Liabilities (net) — (0.0)%     (15,832
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $34,440,757  
     

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

Portfolio Abbreviations:

REIT - Real Estate Investment Trust

 


Organization

Each of Climate Change Fund, Emerging Markets ex-China Fund, Emerging Markets Fund, International Equity Fund, International Opportunistic Value Fund, Japan Value Creation Fund, Quality Fund, Resource Transition Fund, Resources Fund, Small Cap Quality Fund, U.S. Equity Fund, U.S. Opportunistic Value Fund and U.S. Small Cap Value Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO. The Funds may also invest in other GMO Funds (“underlying funds”). The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Portfolio valuation

Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the closing price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are valued at the price generally determined by an industry standard model. Unlisted non-fixed income securities for which market quotations are readily available are generally valued at the most recent quoted price. Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, prices will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect changes in valuation through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below).

Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.


In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2025, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain securities that are valued at the local price; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price; certain equity securities that are valued based on the last traded exchange price adjusted for the movement in a relevant index and/or a security type conversion discount; certain equity securities valued off the last traded price with a discount for liquidity; certain securities that are valued using a price from a comparable security related to the same issuer; and certain recently acquired equity securities that have yet to begin trading that are valued at cost.

The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2025:

 

         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 1,565,315     $     $ 1,565,315  

Brazil

          5,948,972             5,948,972  

Canada

    19,480,856                   19,480,856  

China

          3,049,749             3,049,749  

Denmark

          22,007,665             22,007,665  

Finland

          11,988,084             11,988,084  

France

          47,965,948             47,965,948  

Germany

          18,799,174             18,799,174  

Ireland

          2,485,474             2,485,474  

Italy

          7,488,105             7,488,105  

Japan

          15,367,916             15,367,916  
                               


         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Mexico

  $ 3,687,419     $     $     $ 3,687,419  

Netherlands

          1,432,401             1,432,401  

Norway

          11,930,398             11,930,398  

Russia

                0 §      0 § 

South Korea

          26,417,815             26,417,815  

Spain

          12,403,977             12,403,977  

Switzerland

          1,340,885             1,340,885  

Ukraine

          1,080,406             1,080,406  

United Kingdom

    1,835,400       2,834,654             4,670,054  

United States

    218,589,573                   218,589,573  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    243,593,248       194,106,938       0 §      437,700,186  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Chile

    8,225,351                   8,225,351  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    8,225,351                   8,225,351  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    7,438,039                   7,438,039  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    7,438,039                   7,438,039  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    220,062                   220,062  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    259,476,700       194,106,938       0 §      453,583,638  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 259,476,700     $ 194,106,938     $ 0 §    $ 453,583,638  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Emerging Markets ex-China Fund  
Asset Valuation Inputs  

Common Stocks

         

Brazil

  $ 335,500     $ 2,912,585     $     $ 3,248,085  

Czech Republic

          197,848             197,848  

Egypt

          366,283             366,283  

Hungary

          3,539,704             3,539,704  

India

    482,496       13,468,004       9,461       13,959,961  

Indonesia

    30,870       5,432,646             5,463,516  

Kuwait

          45,961             45,961  

Mexico

    2,755,203             0 §      2,755,203  

Poland

          83,696             83,696  

Qatar

          255,255             255,255  

Russia

                0 §      0 § 

Saudi Arabia

          946,002             946,002  

South Africa

          581,283             581,283  

South Korea

          10,292,177             10,292,177  

Taiwan

    444,636       20,022,305             20,466,941  

Thailand

          4,887,297             4,887,297  

United Arab Emirates

          2,539,664             2,539,664  

Vietnam

          252,811             252,811  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    4,048,705       65,823,521       9,461       69,881,687  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          2,531,785             2,531,785  

Colombia

    59,783                   59,783  

Russia

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    59,783       2,531,785       0 §      2,591,568  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    549,669                   549,669  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    549,669                   549,669  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Emerging Markets ex-China Fund (continued)  
Asset Valuation Inputs (continued)  

Short-Term Investments

  $ 1,261,970     $     $     $ 1,261,970  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    5,920,127       68,355,306       9,461       74,284,894  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 5,920,127     $ 68,355,306     $ 9,461     $ 74,284,894  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Emerging Markets Fund  
Asset Valuation Inputs  

Common Stocks

         

Brazil

  $ 1,734,840     $ 12,922,746     $     $ 14,657,586  

China

    19,452,999       91,136,304       1       110,589,304  

Colombia

    27,467                   27,467  

Czech Republic

          640,073             640,073  

Hungary

          18,490,316             18,490,316  

India

          43,575,354       38,103       43,613,457  

Indonesia

          24,269,031             24,269,031  

Kuwait

          72,093             72,093  

Mexico

    10,681,006             0 §      10,681,006  

Philippines

          472,912             472,912  

Poland

          99,625             99,625  

Qatar

          426,297             426,297  

Russia

                0 §      0 § 

Saudi Arabia

          1,456,227             1,456,227  

South Africa

          700,036             700,036  

South Korea

          39,147,669             39,147,669  

Sri Lanka

                312,546       312,546  

Taiwan

    1,875,397       81,670,274             83,545,671  

Thailand

          24,391,065             24,391,065  

United Arab Emirates

          9,425,824             9,425,824  

Vietnam

          793,914             793,914  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    33,771,709       349,689,760       350,650       383,812,119  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    139,906       11,593,740             11,733,646  

Colombia

    131,292                   131,292  

Russia

                0 §      0 § 

South Korea

          1,298,219             1,298,219  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    271,198       12,891,959       0 §      13,163,157  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    3,530,979                   3,530,979  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    3,530,979                   3,530,979  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    1,938,292                   1,938,292  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    39,512,178       362,581,719       350,650       402,444,547  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    298,875                   298,875  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 39,811,053     $ 362,581,719     $ 350,650     $ 402,743,422  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
International Equity Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 32,279,863     $     $ 32,279,863  

Austria

          9,553,215             9,553,215  

Belgium

          17,496,998             17,496,998  

Finland

          21,733,398             21,733,398  

France

    1,953,606       97,333,825             99,287,431  

Germany

          68,438,224             68,438,224  

Hong Kong

          29,041,604       13,844       29,055,448  

Italy

          72,057,355             72,057,355  
                               


         
Description   Level 1     Level 2     Level 3     Total  
International Equity Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Japan

  $ 3,681,902     $ 267,669,208     $     $ 271,351,110  

Netherlands

          86,587,988             86,587,988  

Norway

          13,612,384             13,612,384  

Portugal

          3,123,020             3,123,020  

Singapore

          50,176,389             50,176,389  

Spain

          76,254,974             76,254,974  

Sweden

          6,368,236             6,368,236  

Switzerland

    2,934,740       59,572,739             62,507,479  

United Kingdom

    67,638,516       84,945,454             152,583,970  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    76,208,764       996,244,874       13,844       1,072,467,482  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          1,000,209             1,000,209  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          1,000,209             1,000,209  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    62,570,555                   62,570,555  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    62,570,555                   62,570,555  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    1,300,964                   1,300,964  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    1,300,964                   1,300,964  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    140,080,283       997,245,083       13,844       1,137,339,210  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 140,080,283     $ 997,245,083     $ 13,844     $ 1,137,339,210  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
International Opportunistic Value Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 20,400,890     $     $ 20,400,890  

Austria

          5,648,319             5,648,319  

Belgium

          4,388,403             4,388,403  

Canada

    56,914,696                   56,914,696  

Denmark

          3,400,131             3,400,131  

Finland

          1,932,294             1,932,294  

France

    2,074,604       46,988,668             49,063,272  

Germany

          24,450,160             24,450,160  

Hong Kong

          9,371,479             9,371,479  

Italy

    380,995       8,049,061             8,430,056  

Japan

    5,201,341       83,823,781             89,025,122  

Netherlands

          18,500,313             18,500,313  

Norway

          10,824,362             10,824,362  

Portugal

          6,214             6,214  

Russia

                0 §      0 § 

Singapore

          5,332,851             5,332,851  

Spain

          26,473,969             26,473,969  

Sweden

          10,627,377             10,627,377  

Switzerland

    8,349,588       23,990,733             32,340,321  

United Kingdom

    21,592,742       15,496,143             37,088,885  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    94,513,966       319,705,148       0 §      414,219,114  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          5,077,587             5,077,587  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          5,077,587             5,077,587  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    21,486                   21,486  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    21,486                   21,486  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    94,535,452       324,782,735       0 §      419,318,187  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 94,535,452     $ 324,782,735     $ 0 §    $ 419,318,187  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Japan Value Creation Fund                        
Asset Valuation Inputs                        

Common Stocks

  $     $ 179,754,162     $     $ 179,754,162  

Investment Funds

    988,653                   988,653  

Short-Term Investments

    18,566                   18,566  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,007,219       179,754,162             180,761,381  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,007,219     $ 179,754,162     $     $ 180,761,381  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Quality Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Denmark

  $     $ 90,887,762     $     $ 90,887,762  

France

          535,549,467             535,549,467  

Germany

          362,830,860             362,830,860  

Netherlands

          90,270,505             90,270,505  

Spain

          84,028,835             84,028,835  

Switzerland

          191,208,036             191,208,036  

Taiwan

          341,630,342             341,630,342  

United Kingdom

          915,216,851             915,216,851  

United States

    7,901,523,131                   7,901,523,131  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    7,901,523,131       2,611,622,658             10,513,145,789  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    97,193,777                   97,193,777  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    97,193,777                   97,193,777  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    729,050                   729,050  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    7,999,445,958       2,611,622,658             10,611,068,616  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 7,999,445,958     $ 2,611,622,658     $     $ 10,611,068,616  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Resource Transition Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Argentina

  $ 205,972     $     $     $ 205,972  

Australia

          606,674             606,674  

Brazil

          6,061,269             6,061,269  

Canada

    9,188,949                   9,188,949  

China

          1,168,371             1,168,371  

Denmark

          2,611,399             2,611,399  

Finland

          3,149,861             3,149,861  

France

          2,810,482             2,810,482  

Italy

          939,500             939,500  

Japan

          373,603             373,603  

Mexico

    1,266,532                   1,266,532  

Netherlands

          646,178             646,178  

Norway

          1,832,983             1,832,983  

South Africa

          2,893,433             2,893,433  

United Kingdom

          13,318,413             13,318,413  

United States

    39,343,004                   39,343,004  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    50,004,457       36,412,166             86,416,623  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          4,832,782             4,832,782  

Chile

    3,088,645                   3,088,645  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    3,088,645       4,832,782             7,921,427  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    2,756,093                   2,756,093  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    2,756,093                   2,756,093  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Resource Transition Fund (continued)                        
Asset Valuation Inputs (continued)                        

Short-Term Investments

  $ 214,401     $     $     $ 214,401  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    56,063,596       41,244,948             97,308,544  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 56,063,596     $ 41,244,948     $     $ 97,308,544  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Resources Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Argentina

  $ 81,339,957     $     $     $ 81,339,957  

Australia

          11,334,253             11,334,253  

Austria

          6,355,727             6,355,727  

Brazil

          50,158,259             50,158,259  

Canada

    89,202,616                   89,202,616  

China

          8,888,804             8,888,804  

Denmark

          20,350,579             20,350,579  

Finland

          23,251,822             23,251,822  

France

          21,351,230             21,351,230  

Hong Kong

          4,776,147             4,776,147  

Hungary

          5,767,838             5,767,838  

Italy

          7,130,410             7,130,410  

Japan

          7,629,140             7,629,140  

Mexico

    9,611,011                   9,611,011  

Netherlands

          4,909,857             4,909,857  

Norway

          33,853,570             33,853,570  

Pakistan

          1,102,573             1,102,573  

Portugal

          49,515,207             49,515,207  

Russia

                0 §      0 § 

Singapore

                2       2  

South Africa

          22,026,854             22,026,854  

Ukraine

          2,462,122             2,462,122  

United Kingdom

    4,871,790       208,644,190             213,515,980  

United States

    434,598,394                   434,598,394  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    619,623,768       489,508,582       2       1,109,132,352  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          75,148,287             75,148,287  

Chile

    22,772,656                   22,772,656  

Russia

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    22,772,656       75,148,287       0 §      97,920,943  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    10,117,502                   10,117,502  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    10,117,502                   10,117,502  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    378,689                   378,689  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    652,892,615       564,656,869       2       1,217,549,486  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 652,892,615     $ 564,656,869     $ 2     $ 1,217,549,486  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Small Cap Quality Fund                        
Asset Valuation Inputs                        

Common Stocks

  $ 544,734,691     $     $     $ 544,734,691  

Investment Funds

    16,795,071                   16,795,071  

Short-Term Investments

    138,657                   138,657  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    561,668,419                   561,668,419  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 561,668,419     $     $     $ 561,668,419  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
U.S. Equity Fund                        
Asset Valuation Inputs                        

Common Stocks

  $ 179,988,061     $     $     $ 179,988,061  

Debt Obligations

    425,623                   425,623  

Investment Funds

    560,172                   560,172  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    411,025                   411,025  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    181,384,881                   181,384,881  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    32,181                   32,181  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 181,417,062     $     $     $ 181,417,062  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
U.S. Opportunistic Value Fund                        
Asset Valuation Inputs                        

Common Stocks

  $ 405,209,348     $     $     $ 405,209,348  

Investment Funds

    2,593,974                   2,593,974  

Short-Term Investments

    1,447,085                   1,447,085  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    409,250,407                   409,250,407  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 409,250,407     $     $     $ 409,250,407  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
U.S. Small Cap Value Fund                        
Asset Valuation Inputs                        

Common Stocks

  $ 34,206,252     $     $     $ 34,206,252  

Investment Funds

    34,397                   34,397  

Short-Term Investments

    215,940                   215,940  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    34,456,589                   34,456,589  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 34,456,589     $     $     $ 34,456,589  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  §

Represents the interest in securities that were determined to have a value of zero at May 31, 2025.

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for forward currency contracts which are based on unrealized appreciation/(depreciation). Excludes purchased options, if any, which are included in investments.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ financial statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.


Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2025 is set forth below:

 

                 
Affiliate   Value,
beginning of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Distributions
of Realized
Gains*
    Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value,
end of
period
 
Climate Change Fund  

GMO U.S. Treasury Fund, Class VI

  $ 11,565,483     $ 40,492,556     $ 44,620,000     $ 93,068     $     $ 84     $ (84   $ 7,438,039  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Emerging Markets ex-China Fund  

GMO U.S. Treasury Fund, Class VI

  $ 344,450     $ 1,205,219     $ 1,000,000     $ 5,202     $     $     $     $ 549,669  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Emerging Markets Fund  

Anilana Hotels & Properties Ltd.

  $ 316,968     $     $     $     $     $     $ (4,422   $ 312,546  

GMO U.S. Treasury Fund, Class VI

    12,532,067       24,573,912       33,575,000       71,515                         3,530,979  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 12,849,035     $ 24,573,912     $ 33,575,000     $ 71,515     $     $     $ (4,422   $ 3,843,525  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
International Equity Fund  

GMO U.S. Treasury Fund, Class VI

  $ 51,870,555     $ 60,700,001     $ 50,000,000     $ 683,270     $     $ 73,394     $ (73,395   $ 62,570,555  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
International Opportunistic Value Fund  

GMO U.S. Treasury Fund, Class VI

  $ 2,486     $ 28,600,000     $ 28,581,000     $ 52,498     $     $     $     $ 21,486  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Japan Value Creation Fund  

GMO U.S. Treasury Fund, Class VI

  $ 5,739,519     $ 8,049,134     $ 12,800,000     $ 50,653     $     $ 7,786     $ (7,786   $ 988,653  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Quality Fund  

GMO U.S. Treasury Fund, Class VI

  $ 51,968,777     $ 467,800,000     $ 422,575,000     $ 1,406,377     $     $     $     $ 97,193,777  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Resource Transition Fund  

GMO U.S. Treasury Fund, Class VI

  $ 1,187,313     $ 4,668,780     $ 3,100,000     $ 18,559     $     $ 150     $ (150   $ 2,756,093  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Resources Fund  

Kosmos Energy Ltd.

  $ 76,344,437     $ 12,192,906     $ 4,570,631     $     $     $ (4,067,736   $ (30,391,237   $ 49,507,739  

GMO U.S. Treasury Fund, Class VI

    26,840,502       161,100,000       177,823,000       231,272             31,855       (31,855     10,117,502  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 103,184,939     $ 173,292,906     $ 182,393,631     $ 231,272     $     $ (4,035,881   $ (30,423,092   $ 59,625,241  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 


                 
Affiliate   Value,
beginning of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Distributions
of Realized
Gains*
    Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value,
end of
period
 
Small Cap Quality Fund  

GMO U.S. Treasury Fund, Class VI

  $ 9,943,792     $ 39,451,278     $ 32,600,000     $ 150,546     $     $ 6,338     $ (6,337   $ 16,795,071  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
U.S. Equity Fund  

GMO U.S. Treasury Fund, Class VI

  $ 460,172     $ 3,100,000     $ 3,000,000     $ 14,922     $     $     $     $ 560,172  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
U.S. Opportunistic Value Fund  

GMO U.S. Treasury Fund, Class VI

  $ 2,208,334     $ 6,435,640     $ 6,050,000     $ 36,218     $     $     $     $ 2,593,974  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
U.S. Small Cap Value Fund  

GMO U.S. Treasury Fund, Class VI

  $ 84,397     $ 300,001     $ 350,000     $ 1,405     $     $ 168     $ (169   $ 34,397  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2025 through May 31, 2025. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2026.

Subsequent events

Subsequent to May 31, 2025, GMO International Opportunistic Value Fund and GMO U.S. Opportunistic Value Fund received redemption requests in the amounts of $107,520,198 and $123,687,677, respectively.

***

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.


GMO Asset Allocation Bond Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value† /
Shares
    Description   Value ($)  

    DEBT OBLIGATIONS — 20.4%  
          U.S. Government — 20.4%  
    6,910,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.18%, 4.48%, due 07/31/26 (a)     6,919,155  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(COST $6,909,948)

    6,919,155  
     

 

 

 
          SHORT-TERM INVESTMENTS — 92.4%  
          Money Market Funds — 7.0%  
    2,360,345     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     2,360,345  
     

 

 

 
          Repurchase Agreements — 85.4%  
    28,999,360     Nomura Securities International, Inc. Repurchase Agreement, dated 05/30/25 maturing on 06/02/25 with a maturity value of $29,009,823 and an effective yield of 4.33%, collateralized by a U.S. Treasury Note with maturity date 07/15/27 and a market value of $29,627,591.     28,999,360  
     

 

 

 
   

TOTAL SHORT-TERM INVESTMENTS

(COST $31,359,705)

    31,359,705  
     

 

 

 
   

TOTAL INVESTMENTS — 112.8%

(Cost $38,269,653)

    38,278,860  
     

 

 

 
    Other Assets and Liabilities (net) — (12.8)%     (4,328,898
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $33,949,962  
     

 

 

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
99   U.S. Long Bond (CBT)     September 2025       11,165,344       63,033  
97   U.S. Treasury Note 10 Yr. (CBT)     September 2025       10,742,750       59,059  
55   U.S. Treasury Note 2 Yr. (CBT)     September 2025       11,409,063       14,515  
213   U.S. Treasury Note 5 Yr. (CBT)     September 2025       23,043,937       48,962  
Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
204   U.S. Treasury Ultra 10 Yr. (CBT)     September 2025       22,959,562       43,703  
67   U.S. Ultra Bond (CBT)     September 2025       7,776,188       54,883  
     

 

 

   

 

 

 
      $ 87,096,844     $ 284,155  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 


GMO Asset Allocation Bond Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  

Notional

Amount

     Annual
Premium
     Implied
Credit
Spread (1)
     Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                            

CDX.EM.S43

   USD     12,200,000        1.00%        1.72%        N/A        06/20/2030        Quarterly      $ 431,880      $ 389,997      $ (41,883
                      

 

 

    

 

 

    

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1) 

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 96.4%

 

          Albania — 2.4%  
          Corporate Debt — 0.8%  

EUR

    17,500,000     Delphos Securities SARL - Compartment Bernina, 7.63%, due 04/08/35     19,412,420  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 1.6%  
    36,649,849     Albania Government International Bonds, Zero Coupon, due 08/31/25 (a) (b)     36,247,215  
     

 

 

 
  Total Albania     55,659,635  
     

 

 

 
          Angola — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  
        17,000,000     Angola Government International Bonds, Reg S, 9.38%, due 05/08/48     12,469,500  
    7,200,000     Angola Government International Bonds, Reg S, 9.13%, due 11/26/49     5,166,000  
     

 

 

 
  Total Angola        17,635,500  
     

 

 

 
          Argentina — 3.7%      
          Sovereign and Sovereign Agency Issuers — 3.7%  

EUR

    2,869,273     Argentina Government International Bonds, Step Up, 3.75%, due 07/09/46     2,054,116  
    8,721,642     Argentina Republic Government International Bonds, 1.00%, due 07/09/29     7,155,777  
    21,061,474     Argentina Republic Government International Bonds, Step Up, 0.75%, due 07/09/30     16,480,603  

JPY

    270,265,556     Argentina Republic Government International Bonds, 4.33%, due 12/31/33 (c)     386,912  

EUR

    7,800,000     Argentina Republic Government International Bonds, Step Up, 3.88%, due 07/09/35     5,716,878  

EUR

    20,160,000     Argentina Republic Government International Bonds, Step Up, 4.25%, due 01/09/38     15,737,339  

JPY

    246,273,000     Argentina Republic Government International Bonds, 0.67%, due 12/31/38 (c)     215,646  

EUR

    6,060,000     Argentina Republic Government International Bonds, Step Up, 3.00%, due 07/09/41     4,167,236  
    48,987,750     Argentina Republic Government International Bonds, Step Up, 4.13%, due 07/09/46     32,009,575  
     

 

 

 
  Total Argentina     83,924,082  
     

 

 

 
          Armenia — 0.4%      
          Sovereign and Sovereign Agency Issuers — 0.4%  
    6,900,000     Republic of Armenia International Bonds, Reg S, 3.60%, due 02/02/31     5,854,236  

Par Value†

    Description   Value ($)  
          Armenia — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    4,100,000     Republic of Armenia International Bonds, Reg S, 6.75%, due 03/12/35     3,904,865  
     

 

 

 
  Total Armenia     9,759,101  
     

 

 

 
          Bahamas — 0.7%      
          Sovereign and Sovereign Agency Issuers — 0.7%  
    4,000,000     Bahamas Government International Bonds, Reg S, 9.00%, due 06/16/29     4,136,800  
    11,840,000     Bahamas Government International Bonds, Reg S, 8.95%, due 10/15/32     12,313,600  
     

 

 

 
  Total Bahamas        16,450,400  
     

 

 

 
          Bahrain — 2.1%      
          Sovereign and Sovereign Agency Issuers — 2.1%  
        37,296,000     Bahrain Government International Bonds, Reg S, 6.00%, due 09/19/44 (d)     30,419,736  
    22,550,000     Bahrain Government International Bonds, Reg S, 6.25%, due 01/25/51 (d)     18,387,721  
     

 

 

 
  Total Bahrain     48,807,457  
     

 

 

 
          Barbados — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  
    12,618,000     Barbados Government International Bonds, Reg S, 6.50%, due 10/01/29     12,012,967  
     

 

 

 
          Belarus — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  
    7,504,000     Development Bank of the Republic of Belarus JSC, Reg S, 6.75%, due 05/02/24 (e)     4,277,280  
    18,400,000     Republic of Belarus International Bonds, Reg S, 6.20%, due 02/28/30 (c) (e)     13,984,000  
     

 

 

 
  Total Belarus     18,261,280  
     

 

 

 
          Benin — 0.1%      
          Sovereign and Sovereign Agency Issuers — 0.1%  

EUR

    3,350,000     Benin Government International Bonds, Reg S, 6.88%, due 01/19/52     3,044,661  
     

 

 

 
          Bolivia — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    7,600,000     Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28 (d)     5,073,000  
     

 

 

 
          Brazil — 1.5%      
          Corporate Debt — 0.9%  
    1,800,000     Braskem Netherlands Finance BV, Reg S, 8.00%, due 10/15/34     1,606,500  
    12,014,797     MV24 Capital BV, Reg S, 6.75%, due 06/01/34     11,514,141  
    7,235,614     Yinson Boronia Production BV, Reg S, 8.95%, due 07/31/42     7,538,063  
     

 

 

 
        20,658,704  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Brazil — continued      
          Sovereign and Sovereign Agency Issuers — 0.6%  
    9,900,000     Brazil Government International Bonds, 4.75%, due 01/14/50     6,817,833  

BRL

        43,205,791     Rio Smart Lighting SARL, Reg S, 12.25%, due 09/20/32 (f)     7,032,349  
     

 

 

 
           13,850,182  
     

 

 

 
    Total Brazil     34,508,886  
     

 

 

 
          Bulgaria — 0.1%      
          Corporate Debt — 0.1%      

EUR

    2,500,000     Eastern European Electric Co. BV, 144A, 6.50%, due 05/15/30     2,885,196  
     

 

 

 
          Cameroon — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  

EUR

    19,550,000     Republic of Cameroon International Bonds, Reg S, 5.95%, due 07/07/32     17,182,622  
     

 

 

 
          Chile — 1.6%      
          Corporate Debt — 0.8%      
    15,951,000     Enel Generacion Chile SA, 8.13%, due 02/01/97 (a)     13,937,984  
    4,565,000     EnfraGen Energia Sur SA/EnfraGen Spain SA/Prime Energia SpA, Reg S, 5.38%, due 12/30/30     3,942,882  
     

 

 

 
        17,880,866  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.8%  
    3,720,000     Chile Electricity Lux MPC SARL, Reg S, 6.01%, due 01/20/33     3,794,400  
    4,200,000     Chile Government International Bonds, 3.10%, due 05/07/41     3,049,200  
    4,985,275     Chile Electricity Lux MPC II SARL, Reg S, 5.58%, due 10/20/35     4,952,871  
    1,142,000     Empresa Nacional del Petroleo, Reg S, 3.45%, due 09/16/31     991,542  
    8,650,000     Empresa Nacional del Petroleo, Reg S, 4.50%, due 09/14/47     6,357,836  
        19,145,849  
     

 

 

 
  Total Chile     37,026,715  
     

 

 

 
          China — 0.0%  
          Corporate Debt — 0.0%  
    10,200,000     China Evergrande Group, Reg S, 11.50%, due 01/22/23 (e)     127,500  
    13,000,000     China Evergrande Group, Reg S, 12.00%, due 01/22/24 (e)     162,500  
    6,800,000     China Evergrande Group, Reg S, 10.50%, due 04/11/24 (e)     85,000  
    5,500,000     Scenery Journey Ltd., Reg S, 11.50%, due 10/24/22 (e)     68,750  
    1,900,000     Scenery Journey Ltd., Reg S, 13.00%, due 11/06/22 (e)     23,750  

Par Value†

    Description   Value ($)  
          China — continued  
          Corporate Debt — continued  
    3,300,000     Scenery Journey Ltd., Reg S, 12.00%, due 10/24/23 (e)     41,250  
    3,700,000     Scenery Journey Ltd., Reg S, 13.75%, due 11/06/23 (e)     46,250  
     

 

 

 
  Total China     555,000  
     

 

 

 
          Colombia — 4.5%  
          Corporate Debt — 0.7%  
    10,890,000     AI Candelaria Spain SA, Reg S, 5.75%, due 06/15/33     9,059,391  

COP

    27,228,422,992     PA Autopista Rio Magdalena, Reg S, 6.05%, due 06/15/36     5,439,131  
     

 

 

 
           14,498,522  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 3.8%  
    992,000     Colombia Government International Bonds, 8.38%, due 02/15/27 (a)     1,021,906  
    2,800,000     Colombia Government International Bonds, 11.85%, due 03/09/28 (a)     3,168,433  
    11,000,000     Colombia Government International Bonds, 4.13%, due 02/22/42     6,886,000  
    60,600,000     Colombia Government International Bonds, 5.63%, due 02/26/44     44,101,650  
    21,970,000     Colombia Government International Bonds, 5.00%, due 06/15/45     14,588,080  
    8,000,000     Colombia Government International Bonds, 5.20%, due 05/15/49     5,264,000  
    2,850,000     Ecopetrol SA, 8.38%, due 01/19/36     2,710,464  
    7,720,000     Ecopetrol SA, 5.88%, due 05/28/45     5,196,332  

COP

    18,236,000,000     Empresas Publicas de Medellin ESP, Reg S, 8.38%, due 11/08/27     3,993,925  
        86,930,790  
     

 

 

 
  Total Colombia     101,429,312  
     

 

 

 
          Congo Republic (Brazzaville) — 1.0%  
          Sovereign and Sovereign Agency Issuers — 1.0%  
    27,565,247     Congolese International Bonds, Reg S, Step Up, 6.00%, due 06/30/29 (c)     22,943,382  
     

 

 

 
          Costa Rica — 1.2%      
          Sovereign and Sovereign Agency Issuers — 1.2%  
    4,400,000     Costa Rica Government International Bonds, Reg S, 6.55%, due 04/03/34     4,521,000  
    21,131,000     Costa Rica Government International Bonds, Reg S, 7.16%, due 03/12/45     21,617,013  
     

 

 

 
  Total Costa Rica     26,138,013  
     

 

 

 
          Cote D’Ivoire — 0.8%  
          Sovereign and Sovereign Agency Issuers — 0.8%  

EUR

    21,050,000     Ivory Coast Government International Bonds, Reg S, 6.63%, due 03/22/48     18,142,524  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Czech Republic — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    4,058,000     CEZ AS, Reg S, 5.63%, due 04/03/42     3,565,263  
     

 

 

 
          Dominican Republic — 1.9%      
          Corporate Debt — 0.2%      
    3,375,000     Polaris Renewable Energy, Inc., 9.50%, due 12/03/29     3,455,930  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 1.7%  

DOP

    60,500,000     Dominican Republic International Bonds, Reg S, 13.63%, due 02/03/33     1,170,554  

DOP

       230,000,000     Dominican Republic International Bonds, Reg S, 10.75%, due 06/01/36     3,857,109  
    1,000,000     Dominican Republic International Bonds, Reg S, 5.30%, due 01/21/41     844,000  
    40,654,000     Dominican Republic International Bonds, Reg S, 5.88%, due 01/30/60     33,437,915  
     

 

 

 
        39,309,578  
     

 

 

 
  Total Dominican Republic        42,765,508  
     

 

 

 
          Ecuador — 3.0%  
          Sovereign and Sovereign Agency Issuers — 3.0%  
    5,546,892     Ecuador Government International Bonds, Reg S, Zero Coupon, due 07/31/30     3,472,354  
    27,126,250     Ecuador Government International Bonds, Reg S, Step Up, 6.90%, due 07/31/30     20,968,591  
    54,193,988     Ecuador Government International Bonds, Reg S, Step Up, 5.50%, due 07/31/35     33,700,196  
    16,603,750     Ecuador Government International Bonds, Reg S, Step Up, 5.00%, due 07/31/40     8,916,214  
    2,196,971     Ecuador Social Bonds SARL, Reg S, Zero Coupon, due 01/30/35     1,536,913  
     

 

 

 
  Total Ecuador     68,594,268  
     

 

 

 
          Egypt — 3.2%  
          Sovereign and Sovereign Agency Issuers — 3.2%  
    21,270,000     Egypt Government International Bonds, Reg S, 8.50%, due 01/31/47     16,266,658  
    21,800,000     Egypt Government International Bonds, Reg S, 8.70%, due 03/01/49     16,922,250  
    22,330,000     Egypt Government International Bonds, Reg S, 8.88%, due 05/29/50     17,584,875  
    31,764,000     Egypt Government International Bonds, Reg S, 8.15%, due 11/20/59     23,038,747  
     

 

 

 
  Total Egypt     73,812,530  
     

 

 

 
          El Salvador — 0.9%  
          Sovereign and Sovereign Agency Issuers — 0.9%  
    24,000,000     El Salvador Government International Bonds, Reg S, 7.12%, due 01/20/50     19,476,000  
     

 

 

 

Par Value†

    Description   Value ($)  
          Ethiopia — 0.1%      
          Sovereign and Sovereign Agency Issuers — 0.1%  
    2,690,000     Ethiopia International Bonds, Reg S, 6.63%, due 12/11/24 (e)     2,394,100  
     

 

 

 
          Gabon — 0.6%      
          Sovereign and Sovereign Agency Issuers — 0.6%  
    1,900,000     Gabon Blue Bond Master Trust, Reg S, 6.10%, due 08/01/38     1,894,281  
         5,800,000     Gabon Government International Bonds, Reg S, 6.63%, due 02/06/31     4,328,250  
    9,600,000     Gabon Government International Bonds, Reg S, 7.00%, due 11/24/31     7,140,768  
     

 

 

 
  Total Gabon        13,363,299  
     

 

 

 
          Ghana — 2.0%  
          Sovereign and Sovereign Agency Issuers — 2.0%  
    1,896,000     Ghana Government International Bonds, Reg S, Zero Coupon, due 07/03/26     1,834,380  
    18,118,000     Ghana Government International Bonds, Step Up, Reg S, 5.00%, due 07/03/29     16,487,380  
    4,520,990     Ghana Government International Bonds, Reg S, Zero Coupon, due 01/03/30     3,673,304  
    27,492,000     Ghana Government International Bonds, Step Up, Reg S, 5.00%, due 07/03/35     20,275,350  
    6,469,920     Saderea DAC, Reg S, 12.50%, due 11/30/26 (e)     4,077,926  
     

 

 

 
  Total Ghana     46,348,340  
     

 

 

 
          Grenada — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  
    3,638,684     Grenada Government International Bonds, Reg S, 7.00%, due 05/12/30     3,507,618  
     

 

 

 
          Guatemala — 1.2%      
          Sovereign and Sovereign Agency Issuers — 1.2%  
    3,315,000     Guatemala Government Bonds, Reg S, 8.13%, due 10/06/34     3,633,240  
    4,860,000     Guatemala Government Bonds, Reg S, 6.60%, due 06/13/36     4,873,820  
    4,600,000     Guatemala Government Bonds, Reg S, 4.65%, due 10/07/41     3,570,894  
    16,700,000     Guatemala Government Bonds, Reg S, 6.13%, due 06/01/50     14,762,800  
     

 

 

 
  Total Guatemala     26,840,754  
     

 

 

 
          Honduras — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  
    2,450,000     Honduras Government International Bonds, Reg S, 5.63%, due 06/24/30 (d)     2,261,963  
    2,550,000     Honduras Government International Bonds, Reg S, 8.63%, due 11/27/34 (d)     2,586,337  
     

 

 

 
  Total Honduras     4,848,300  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Hungary — 1.9%  
          Sovereign and Sovereign Agency Issuers — 1.9%  
    32,750,000     Hungary Government International Bonds, Reg S, 5.50%, due 03/26/36     30,961,850  
        22,400,000     Hungary Government International Bonds, Reg S, 3.13%, due 09/21/51     13,011,264  
     

 

 

 
    Total Hungary        43,973,114  
     

 

 

 
          India — 0.9%      
          Corporate Debt — 0.9%      
    16,088,544     Adani Green Energy UP Ltd./Prayatna Developers Pvt Ltd./Parampujya Solar Energy, Reg S, 6.70%, due 03/12/42 (d)     14,359,026  
    8,851,000     Adani Renewable Energy RJ Ltd./Kodangal Solar Parks Pvt Ltd./Wardha Solar Maharashtra, Reg S, 4.63%, due 10/15/39     7,080,800  
     

 

 

 
  Total India     21,439,826  
     

 

 

 
          Indonesia — 0.9%  
          Corporate Debt — 0.3%  
    2,908,800     LLPL Capital Pte. Ltd., Reg S,
6.88%, due 02/04/39
    2,883,348  
    3,980,000     Minejesa Capital BV, Reg S, 5.63%, due 08/10/37     3,701,400  
     

 

 

 
        6,584,748  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.6%  
    6,500,000     Indonesia Asahan Aluminium PT/Mineral Industri Indonesia Persero PT, Reg S, 5.80%, due 05/15/50     5,933,720  
    2,800,000     Indonesia Government International Bonds, 4.85%, due 01/11/33     2,761,500  
    3,391,000     Indonesia Government International Bonds, 5.45%, due 09/20/52     3,207,886  
    2,800,000     Perusahaan Penerbit SBSN Indonesia III, Reg S, 4.70%, due 06/06/32     2,748,900  
     

 

 

 
        14,652,006  
     

 

 

 
  Total Indonesia     21,236,754  
     

 

 

 
          Iraq — 0.4%  
          Corporate Debt — 0.4%  
    9,350,000     Pearl Petroleum Co. Ltd., Reg S,
13.00%, due 05/15/28
    9,720,447  
     

 

 

 
          Israel — 1.1%      
          Sovereign and Sovereign Agency Issuers — 1.1%  
    13,983,000     Israel Electric Corp. Ltd., Reg S,
8.10%, due 12/15/96
    18,010,803  
    11,550,000     State of Israel, Reg S, 3.80%, due 05/13/60     7,172,550  
     

 

 

 
  Total Israel     25,183,353  
     

 

 

 

Par Value†

    Description   Value ($)  
          Jamaica — 0.3%  
          Corporate Debt — 0.2%  
    5,081,315     TransJamaican Highway Ltd., Reg S, 5.75%, due 10/10/36         4,639,139  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.1%  
        2,675,000     Jamaica Government International Bonds, 7.88%, due 07/28/45     3,063,758  
     

 

 

 
  Total Jamaica     7,702,897  
     

 

 

 
          Jordan — 1.0%  
          Sovereign and Sovereign Agency Issuers — 1.0%  
    25,745,000     Jordan Government International Bonds, Reg S, 7.38%, due 10/10/47     22,179,317  
     

 

 

 
          Kazakhstan — 0.4%      
          Sovereign and Sovereign Agency Issuers — 0.4%  
    9,680,000     KazMunayGas National Co. JSC, Reg S, 6.38%, due 10/24/48     8,636,399  
     

 

 

 
          Kenya — 1.4%      
          Sovereign and Sovereign Agency Issuers — 1.4%  
    10,900,000     Republic of Kenya Government International Bonds, Reg S, 9.50%, due 03/05/36     9,940,800  
    27,074,000     Republic of Kenya Government International Bonds, Reg S, 8.25%, due 02/28/48 (d)     21,337,832  
     

 

 

 
  Total Kenya     31,278,632  
     

 

 

 
          Kyrgyzstan — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  
    3,860,000     Kyrgyz Republic International Bonds, 144A, 7.75%, due 06/03/30     3,786,660  
     

 

 

 
          Latvia — 0.3%      
          Sovereign and Sovereign Agency Issuers — 0.3%  
    6,850,000     Latvia Government International Bonds, Reg S, 5.13%, due 07/30/34     6,729,920  
     

 

 

 
          Lebanon — 1.0%      
          Sovereign and Sovereign Agency Issuers — 1.0%  
    6,200,000     Lebanon Government International Bonds, Reg S, 6.85%, due 03/23/27 (e)     1,072,600  
    5,047,000     Lebanon Government International Bonds, Reg S, 7.00%, due 03/20/28 (d) (e)     873,131  
    55,005,000     Lebanon Government International Bonds, Reg S, 7.15%, due 11/20/31 (e)     9,515,865  
    19,100,000     Lebanon Government International Bonds, Reg S, 8.20%, due 05/17/33 (e)     3,304,300  
    51,714,000     Lebanon Government International Bonds, Reg S, 8.25%, due 05/17/34 (d) (e)     8,946,522  
     

 

 

 
  Total Lebanon     23,712,418  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Mexico — 6.6%  
          Corporate Debt — 0.4%  
    12,140,000     Braskem Idesa SAPI, Reg S, 6.99%, due 02/20/32 (d)     8,965,390  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 6.2%  
    5,000,000     Comision Federal de Electricidad, Reg S, 5.00%, due 07/30/49     4,040,000  
    2,280,000     Mexico Government International Bonds, 5.75%, due 10/12/2110     1,721,685  

GBP

    53,906,000     Mexico Government International Bonds, 5.63%, due 03/19/2114     49,679,067  
    4,700,000     Petroleos Mexicanos, Reg S, 6.63%, due 06/29/25     2,961,000  
    113,500,000     Petroleos Mexicanos, 7.69%, due 01/23/50     83,581,400  
     

 

 

 
        141,983,152  
     

 

 

 
    Total Mexico     150,948,542  
     

 

 

 
          Mongolia — 0.4%      
          Sovereign and Sovereign Agency Issuers — 0.4%  
    8,800,000     Development Bank of Mongolia LLC, 11.00%, due 03/07/26     8,932,000  
     

 

 

 
          Montenegro — 0.1%      
          Sovereign and Sovereign Agency Issuers — 0.1%  
    1,200,000     Montenegro Government International Bonds, Reg S, 7.25%, due 03/12/31     1,230,300  
     

 

 

 
          Morocco — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    5,700,000     Morocco Government International Bonds, Reg S, 4.00%, due 12/15/50     3,759,150  
     

 

 

 
          Mozambique — 0.3%      
          Sovereign and Sovereign Agency Issuers — 0.3%  
    8,276,000     Mozambique International Bonds, Reg S, Step Up, 9.00%, due 09/15/31     6,737,161  
     

 

 

 
          Nigeria — 0.7%      
          Sovereign and Sovereign Agency Issuers — 0.7%  
        20,750,000     Nigeria Government International Bonds, Reg S, 8.25%, due 09/28/51     16,166,533  
     

 

 

 
          Oman — 1.5%      
          Sovereign and Sovereign Agency Issuers — 1.5%  
    34,200,000     Oman Government International Bonds, Reg S, 6.75%, due 01/17/48        34,343,298  
     

 

 

 
          Pakistan — 0.6%      
          Sovereign and Sovereign Agency Issuers — 0.6%  
    11,300,000     Pakistan Government International Bonds, Reg S, 7.88%, due 03/31/36     8,856,375  
    2,900,000     Pakistan Government International Bonds, Reg S, 8.88%, due 04/08/51     2,273,600  

Par Value†

    Description   Value ($)  
          Pakistan — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    4,426,000     Pakistan Water & Power Development Authority, Reg S, 7.50%, due 06/04/31     3,385,890  
     

 

 

 
    Total Pakistan        14,515,865  
     

 

 

 
          Panama — 1.4%      
          Sovereign and Sovereign Agency Issuers — 1.4%  
    8,937,000     Panama Government International Bonds, 8.13%, due 04/28/34     9,473,220  
    4,600,000     Panama Government International Bonds, 4.50%, due 04/16/50     2,925,600  
    32,500,000     Panama Government International Bonds, 4.50%, due 04/01/56     19,950,937  
     

 

 

 
    Total Panama     32,349,757  
     

 

 

 
          Peru — 2.4%      
          Corporate Debt — 0.4%  
    8,967,384     Peru LNG SRL, Reg S, 5.38%, due 03/22/30     8,272,412  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 2.0%  
    6,200,000     Peru Government International Bonds, 5.88%, due 08/08/54     5,849,700  
    10,800,000     Peru Government International Bonds, 3.60%, due 01/15/72     6,528,600  
    54,145,000     Petroleos del Peru SA, Reg S, 5.63%, due 06/19/47     32,757,725  
     

 

 

 
        45,136,025  
     

 

 

 
    Total Peru     53,408,437  
     

 

 

 
          Philippines — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  
    3,500,000     Bangko Sentral ng Pilipinas International Bonds, 8.60%, due 06/15/97 (c)     4,733,750  
        10,400,000     Philippines Government International Bonds, 3.20%, due 07/06/46     7,137,000  
     

 

 

 
    Total Philippines     11,870,750  
     

 

 

 
          Poland — 3.5%      
          Sovereign and Sovereign Agency Issuers — 3.5%  
    36,900,000     Republic of Poland Government International Bonds, 5.13%, due 09/18/34     36,503,325  
    30,000,000     Republic of Poland Government International Bonds, 5.38%, due 02/12/35     29,870,700  
    1,650,000     Republic of Poland Government International Bonds, 5.50%, due 04/04/53     1,500,263  
    11,700,000     Republic of Poland Government International Bonds, 5.50%, due 03/18/54     10,584,112  
     

 

 

 
    Total Poland     78,458,400  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Republic of North Macedonia — 0.6%  
          Sovereign and Sovereign Agency Issuers — 0.6%  

EUR

    11,900,000     North Macedonia Government International Bonds, Reg S, 1.63%, due 03/10/28     12,523,869  
     

 

 

 
          Romania — 3.8%      
          Sovereign and Sovereign Agency Issuers — 3.8%  
    23,258,000     Romania Government International Bonds, Reg S, 6.38%, due 01/30/34     22,176,736  
        34,450,000     Romania Government International Bonds, Reg S, 5.75%, due 03/24/35     30,898,205  

EUR

    12,300,000     Romania Government International Bonds, Reg S, 5.63%, due 02/22/36     13,014,670  
    10,310,000     Romania Government International Bonds, Reg S, 7.50%, due 02/10/37     10,351,755  

EUR

    4,500,000     Romania Government International Bonds, Reg S, 2.88%, due 04/13/42     3,147,161  
    1,900,000     Romania Government International Bonds, Reg S, 5.13%, due 06/15/48     1,385,100  

EUR

    4,500,000     Romania Government International Bonds, Reg S, 3.38%, due 01/28/50     3,044,383  
    2,360,000     Romania Government International Bonds, Reg S, 7.63%, due 01/17/53     2,279,453  
     

 

 

 
    Total Romania        86,297,463  
     

 

 

 
          Russia — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  
    6,870,000     GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27 (a) (e) (g)     3,435  
    5,200,000     GTLK Europe Capital DAC, Reg S, 4.80%, due 02/26/28 (a) (e) (g)     2,600  
    6,800,000     GTLK Europe Capital DAC, Reg S, 4.35%, due 02/27/29 (a) (e) (g)     3,400  
    20,000,000     Russia Foreign Bonds - Eurobond, 144A, 5.10%, due 03/28/35 (a) (e) (g)     10,000  
    6,400,000     Russia Foreign Bonds - Eurobond, Reg S, 5.10%, due 03/28/35 (a) (e) (g)     3,200  
     

 

 

 
    Total Russia     22,635  
     

 

 

 
          Rwanda — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    5,350,000     Rwanda International Government Bonds, Reg S, 5.50%, due 08/09/31     4,500,688  
     

 

 

 
          Saudi Arabia — 2.1%      
          Corporate Debt — 0.4%      
    9,898,756     ACWA Power Management & Investments One Ltd., Reg S, 5.95%, due 12/15/39     9,805,015  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 1.7%  
    8,900,000     Saudi Government International Bonds, Reg S, 4.63%, due 10/04/47     7,236,768  
    8,400,000     Saudi Government International Bonds, Reg S, 5.00%, due 01/18/53     6,985,104  

Par Value†

    Description   Value ($)  
          Saudi Arabia — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    11,440,000     Saudi Government International Bonds, Reg S, 3.75%, due 01/21/55     7,579,000  
    28,600,000     Saudi Government International Bonds, Reg S, 3.45%, due 02/02/61     17,082,494  
     

 

 

 
        38,883,366  
     

 

 

 
    Total Saudi Arabia     48,688,381  
     

 

 

 
          Senegal — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  

EUR

    2,400,000     Senegal Government International Bonds, Reg S, 4.75%, due 03/13/28 (d)     2,319,725  
    13,050,000     Senegal Government International Bonds, Reg S, 6.75%, due 03/13/48     8,156,250  
     

 

 

 
    Total Senegal     10,475,975  
     

 

 

 
          Serbia — 0.7%      
          Sovereign and Sovereign Agency Issuers — 0.7%  
    9,500,000     Serbia International Bonds, Reg S,
6.00%, due 06/12/34
    9,410,985  

EUR

    8,100,000     Serbia International Bonds, Reg S,
2.05%, due 09/23/36
    6,808,762  
     

 

 

 
    Total Serbia     16,219,747  
     

 

 

 
          South Africa — 2.2%      
          Sovereign and Sovereign Agency Issuers — 2.2%  

ZAR

       150,350,000     Eskom Holdings SOC Ltd., Zero Coupon, due 12/31/32     2,638,284  
    51,390,000     Republic of South Africa Government International Bonds, 5.75%, due 09/30/49        37,129,275  
    8,300,000     Transnet SOC Ltd., Reg S, 8.25%, due 02/06/28     8,462,348  

ZAR

    20,200,000     Transnet SOC Ltd., Reg S, 13.50%, due 04/18/28     1,133,312  
     

 

 

 
    Total South Africa     49,363,219  
     

 

 

 
          Sri Lanka — 1.7%      
          Sovereign and Sovereign Agency Issuers — 1.7%  
    4,621,404     Sri Lanka Government International Bonds, Reg S, 4.00%, due 04/15/28     4,307,148  
    6,217,885     Sri Lanka Government International Bonds, Step Up, 144A, 3.10%, due 01/15/30 (d)     5,386,243  
    12,196,276     Sri Lanka Government International Bonds, Step Up, Reg S, 3.35%, due 03/15/33     9,467,359  
    8,235,292     Sri Lanka Government International Bonds, Step Up, Reg S, 3.60%, due 06/15/35     5,558,822  
    5,715,484     Sri Lanka Government International Bonds, Step Up, 144A, 3.60%, due 05/15/36 (d)     4,436,645  
    11,435,771     Sri Lanka Government International Bonds, Step Up, Reg S, 3.60%, due 02/15/38     8,899,889  
     

 

 

 
    Total Sri Lanka     38,056,106  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Suriname — 1.0%      
          Sovereign and Sovereign Agency Issuers — 1.0%  
    14,787,851     Suriname Government International Bonds, Reg S, 7.95%, due 07/15/33 (d)     13,943,465  
    8,195,000     Suriname Government International Bonds, Reg S, Variable Rate,
9.00%, due 12/31/50 (d)
    8,850,600  
     

 

 

 
    Total Suriname     22,794,065  
     

 

 

 
          Tajikistan — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    4,811,667     Republic of Tajikistan International Bonds, Reg S, 7.13%, due 09/14/27     4,729,724  
     

 

 

 
          Trinidad And Tobago — 1.4%      
          Sovereign and Sovereign Agency Issuers — 1.4%  
    14,025,000     Heritage Petroleum Co. Ltd., Reg S, 9.00%, due 08/12/29     14,214,337  
    11,620,000     Port of Spain Waterfront Development, Reg S, 7.88%, due 02/19/40     11,039,000  
    6,200,000     Telecommunications Services of Trinidad & Tobago Ltd., Reg S, 8.88%, due 10/18/29     6,218,600  
     

 

 

 
    Total Trinidad And Tobago        31,471,937  
     

 

 

 
          Tunisia — 1.7%      
          Sovereign and Sovereign Agency Issuers — 1.7%  

JPY

     5,411,700,000     Tunisian Republic, 4.30%, due 08/02/30 (c)     31,591,286  

JPY

    380,000,000     Tunisian Republic, 4.20%, due 03/17/31 (c)     2,205,080  

JPY

    730,000,000     Tunisian Republic, 3.50%, due 02/03/33     3,855,589  
     

 

 

 
    Total Tunisia        37,651,955  
     

 

 

 
          Turkey — 4.0%      
          Corporate Debt — 1.6%  
    40,100,000     Zorlu Enerji Elektrik Uretim AS, Reg S, 11.00%, due 04/23/30     34,909,055  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 2.4%  
    27,700,000     Turkiye Government International Bonds, 4.88%, due 04/16/43     18,732,125  
    50,713,000     Turkiye Government International Bonds, 5.75%, due 05/11/47     36,285,151  
     

 

 

 
        55,017,276  
     

 

 

 
    Total Turkey     89,926,331  
     

 

 

 
          Ukraine — 1.5%      
          Sovereign and Sovereign Agency Issuers — 1.5%  
    5,000,000     NPC Ukrenergo, Reg S, 6.88%, due 11/09/28 (e)     4,062,500  
    2,211,014     Ukraine Government International Bonds, Step Up, 144A, Zero Coupon,
due 02/01/30 (d)
    1,066,814  
    4,022,412    

Ukraine Government International Bonds, Step Up, Reg S,

1.75%, due 02/01/34

    1,960,926  

Par Value†

    Description   Value ($)  
          Ukraine — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    18,426,157     Ukraine Government International Bonds, Step Up, Reg S, 3.00%, due 02/01/34     6,863,744  
    13,555,124     Ukraine Government International Bonds, Step Up, Reg S, 1.75%, due 02/01/35     6,506,460  
    6,982,158     Ukraine Government International Bonds, Step Up, Reg S, 3.00%, due 02/01/35     3,368,891  
         14,953,917     Ukraine Government International Bonds, Step Up, Reg S, 1.75%, due 02/01/36 (d)     7,028,341  
    5,818,464     Ukraine Government International Bonds, Step Up, Reg S, 3.00%, due 02/01/36     2,801,590  
    211,141     Ukraine Railways Via Rail Capital Markets PLC, Reg S, 7.88%, due 07/15/28 (e)     162,650  
     

 

 

 
    Total Ukraine        33,821,916  
     

 

 

 
          United Arab Emirates — 1.1%      
          Sovereign and Sovereign Agency Issuers — 1.1%  
    12,700,000     Abu Dhabi Government International Bonds, Reg S, 3.13%, due 09/30/49     8,413,750  
    10,300,000     Finance Department Government of Sharjah, Reg S, 4.00%, due 07/28/50     6,437,500  
    16,400,000     Finance Department Government of Sharjah, Reg S, 4.38%, due 03/10/51     10,890,584  
     

 

 

 
    Total United Arab Emirates     25,741,834  
     

 

 

 
          United States — 2.3%      
          Asset-Backed Securities — 0.2%  
    402,573     CWHEQ Revolving Home Equity Loan Trust, Series 05-F, Class 2A, AMBAC, Variable Rate, 1 mo. USD Term SOFR + 0.35%, 4.68%, due 12/15/35     387,682  
    46,978     CWHEQ Revolving Home Equity Loan Trust, Series 05-H, Class 2A, FGIC, Variable Rate, 1 mo. USD Term SOFR + 0.35%, 4.68%, due 12/15/35     46,937  
    337,410     CWHEQ Revolving Home Equity Loan Trust, Series 06-D, Class 2A, XLCA, Variable Rate, 1 mo. USD Term SOFR + 0.31%, 4.64%, due 05/15/36     323,193  
    5,654,314     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A3, Variable Rate, 1 mo. USD Term SOFR + 0.26%,
4.59%, due 11/25/36
    1,798,140  
    5,705,254     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.33%,
4.66%, due 11/25/36
    1,814,346  
    2,918,853     WaMu Asset-Backed Certificates WaMu Trust, Series 07-HE2, Class 2A4, Variable Rate, 1 mo. USD Term SOFR + 0.47%, 4.80%, due 04/25/37     1,061,396  
     

 

 

 
        5,431,694  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          United States — continued      
          U.S. Government — 2.1%      
    15,000,000     U.S. Treasury Bonds,
4.25%, due 08/15/54 (h)
    13,413,281  
    1,900,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 4.40%, due 01/31/27     1,900,633  
    23,100,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 4.46%, due 04/30/27     23,113,278  
    8,300,000     U.S. Treasury Notes,
3.88%, due 11/30/27 (h)
    8,299,352  
     

 

 

 
        46,726,544  
     

 

 

 
    Total United States     52,158,238  
     

 

 

 
          Uruguay — 0.8%      
          Sovereign and Sovereign Agency Issuers —
0.8%
 
    1,900,000     Oriental Republic of Uruguay, 5.25%, due 09/10/60     1,669,150  

UYU

       622,600,000     Uruguay Government International Bonds, 9.75%, due 07/20/33     15,335,560  
    2,218,000     Uruguay Government International Bonds, 5.10%, due 06/18/50     1,989,546  
     

 

 

 
    Total Uruguay        18,994,256  
     

 

 

 
          Uzbekistan — 1.4%      
          Sovereign and Sovereign Agency Issuers —
1.4%
 
    3,300,000     Jscb Agrobank, Reg S, 9.25%, due 10/02/29     3,417,563  
    5,200,000     Republic of Uzbekistan International Bonds, Reg S, 3.70%, due 11/25/30     4,446,000  
    600,000     Republic of Uzbekistan International Bonds, Reg S, 6.95%, due 05/25/32     594,270  
    7,200,000     Uzbek Industrial & Construction Bank ATB, Reg S, 8.95%, due 07/24/29     7,402,536  
    9,850,000     Uzbekneftegaz JSC, Reg S, 4.75%, due 11/16/28     8,898,859  
    7,100,000     Uzbekneftegaz JSC, 144A, 8.75%, due 05/07/30     7,149,700  
     

 

 

 
    Total Uzbekistan     31,908,928  
     

 

 

 
          Venezuela — 3.4%      
          Sovereign and Sovereign Agency Issuers —
3.4%
 
    101,165,000     C.A. La Electricidad de Caracas, Reg S, 8.50%, due 04/10/18 (c) (e)     8,295,530  
    137,200,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 05/16/24 (e)     16,258,200  
    14,497,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 11/15/26 (e)     1,719,707  
    64,470,000     Petroleos de Venezuela SA, Reg S, 9.75%, due 05/17/35 (e)     9,090,270  

Par Value†

    Description   Value ($)  
          Venezuela — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    24,228,000     Venezuela Government International Bonds, Reg S, 7.75%, due 10/13/19 (e)     3,452,490  
    13,200,000     Venezuela Government International Bonds, Reg S, 6.00%, due 12/09/20 (e)     1,782,000  
    29,650,000     Venezuela Government International Bonds, Reg S, 12.75%, due 08/23/22 (e)     5,233,225  
       134,093,000     Venezuela Government International Bonds, Reg S, 9.00%, due 05/07/23 (e)     20,985,554  
    59,200,000     Venezuela Government International Bonds, Reg S, 11.95%, due 08/05/31 (e)     10,360,000  
     

 

 

 
    Total Venezuela        77,176,976  
     

 

 

 
          Vietnam — 0.3%      
          Sovereign and Sovereign Agency Issuers — 0.3%  
    7,318,000     Vietnam Government International Bonds, Variable Rate, 6 mo. USD LIBOR + 0.81%, 5.44%, due 03/13/28     7,240,868  
     

 

 

 
          Zambia — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  
    10,060,577     Zambia Government International Bonds, Reg S, Step Up, 5.75%, due 06/30/33     9,026,853  
    14,443,974     Zambia Government International Bonds, Reg S, 0.50%, due 12/31/53     8,774,714  
     

 

 

 
    Total Zambia     17,801,567  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $2,617,382,043)
    2,192,822,321  
     

 

 

 
          LOAN ASSIGNMENTS — 1.1%  
          Serbia — 0.6%  
    12,400,000     Telekom Srbija AD Beograd, 9.10%, due 06/13/29 (c)     14,009,183  
     

 

 

 
          Turkey — 0.5%      
    9,610,714     Meridiam Eastern Europe Investment S.à.r.l Loan Agreement, 8.85%, due 06/23/28 (a)     10,694,237  
     

 

 

 
    TOTAL LOAN ASSIGNMENTS
(COST $24,859,425)
    24,703,420  
     

 

 

 
          LOAN PARTICIPATIONS — 0.2%  
          Angola — 0.2%      
    3,514,286     Angola Government International Bonds Loan Agreement (Participation via Avenir Issuer II Ireland DAC), Reg S, 6.93%, due 02/19/27 (c)     3,296,207  
     

 

 

 
          Iraq — 0.0%      

EUR

    336,241     Republic of Iraq Paris Club Loan Agreement (Participation with Credit Suisse), 4.50%, due 12/30/27 (a)     347,735  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          LOAN PARTICIPATIONS — continued  
          Russia — 0.0%      

EUR

    76,893,500     Russian Foreign Trade Obligations, (Participation with GML International
Ltd.) (c) (e)
    3  
     

 

 

 
          Sudan — 0.0%      

CHF

    11,833,578     Republic of Sudan, Loan Agreement, Tranche A (Participation via Abu Dhabi Investment Company) (c) (e)     575,143  

CHF

    5,155,077     Republic of Sudan, Loan Agreement, Tranche B (Participation via Abu Dhabi Investment Company) (c) (e)     219,232  
     

 

 

 
    Total Sudan     794,375  
     

 

 

 
    TOTAL LOAN PARTICIPATIONS
(COST $24,254,942)
    4,438,320  
     

 

 

 
          INVESTMENT FUNDS — 0.6%  
          Colombia — 0.6%  
    9,300,000     Bona Fide Investment Holdings II
LLC (a) (i) (j)
       13,426,857  
     

 

 

 
  TOTAL INVESTMENT FUNDS
(COST $9,300,000)
    13,426,857  
     

 

 

 
          RIGHTS/WARRANTS — 1.4%  
          Argentina — 1.1%  

EUR

    239,989,676     Argentina Republic Government International Bonds GDP Linked, Variable Rate, Expires 12/15/35 (k)     23,778,027  

JPY

     1,723,445,000     Argentina Republic Government International Bonds GDP Linked, Variable Rate, Expires 12/15/35 (a) (k)     186,903  
     

 

 

 
    Total Argentina     23,964,930  
     

 

 

 
          Ukraine — 0.3%      
    10,646,000     Ukraine Government International Bonds GDP Linked, Variable Rate, Reg S, Expires 08/01/41 (k)     7,691,735  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $40,863,566)
    31,656,665  
     

 

 

 
      SHORT-TERM INVESTMENTS — 2.3%  
      Money Market Funds — 0.1%  
    2,050,209     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (l)     2,050,209  
     

 

 

 
          Repurchase Agreements — 2.2%      
    29,999,753     Nomura Securities International, Inc. Repurchase Agreement, dated 05/30/25, maturing on 06/02/25 with a maturity value of $30,010,578 and an effective yield of 4.33%, collateralized by a U.S. Treasury Note with maturity date 07/15/27 and a market value of $30,649,656.     29,999,753  

Par Value†

    Description   Value ($)  
      SHORT-TERM INVESTMENTS — continued  
          Repurchase Agreements — continued      
    5,395,000     Barclays Bank PLC Repurchase Agreement, dated 04/30/25, to be returned on demand at face value plus an effective yield of 4.20%, collateralized by a Angolan Government International Bonds, 8.00%, due 11/26/29 and a market value of $5,574,530. (m)     5,395,000  
          3,035,244     Morgan Stanley & Co. International PLC Repurchase Agreement, dated 03/04/25, to be returned on demand at face value plus an effective yield of 4.15%, collateralized by a Republic of Kenya Government International Bonds, 7.25%, due 02/28/28 and a market value of $3,063,358. (m)     3,035,244  
    3,038,000     Morgan Stanley & Co. International PLC Repurchase Agreement, dated 03/05/25, to be returned on demand at face value plus an effective yield of 4.15%, collateralized by a Republic of Kenya Government International Bonds, 7.25%, due 02/28/28 and a market value of $3,063,358. (m)     3,038,000  
    9,312,500     Nomura Securities International, Inc. Repurchase Agreement, dated 09/05/24, to be returned on demand at face value plus an effective yield of 3.70%, collateralized by a Egypt Government International Bonds, 6.59%, due 02/21/28 and a market value of $9,986,400. (m)     9,312,500  
     

 

 

 
    Total Repurchase Agreements     50,780,497  
     

 

 

 
  TOTAL SHORT-TERM INVESTMENTS
(COST $52,830,706)
    52,830,706  
     

 

 

 
  TOTAL INVESTMENTS — 102.0%
(Cost $2,769,490,682)
    2,319,878,289  
          SECURITIES SOLD SHORT — (0.9)%  
          Sovereign and Sovereign Agency Issuers — (0.9)%  
          Angola — (0.2)%      
    (6,500,000   Angola Government International Bonds, 8.00%, due 11/26/29     (5,603,650
     

 

 

 
          Egypt — (0.4)%      
    (10,000,000   Egypt Government International Bonds, 6.59%, due 02/21/28     (9,825,100
     

 

 

 
          Kenya — (0.3)%      
    (6,200,000   Republic of Kenya Government International Bonds, 7.25%, due 02/28/28     (6,028,074
     

 

 

 
  TOTAL SOVEREIGN AND SOVEREIGN AGENCY ISSUERS
(PROCEEDS $20,556,625)
    (21,456,824
     

 

 

 
  TOTAL SECURITIES SOLD SHORT — (0.9)%
(PROCEEDS $(20,556,625))
    (21,456,824
     

 

 

 
  Other Assets and Liabilities (net) — (1.1)%     (23,725,863
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $2,274,695,602  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
Bona Fide Investment Holdings II LLC    06/07/23    $ 9,300,000      0.6%   $ 13,426,857  
GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27    04/30/20      6,683,045      0.0%     3,435  
GTLK Europe Capital DAC, Reg S, 4.80%, due 02/26/28    03/12/21      5,275,241      0.0%     2,600  
GTLK Europe Capital DAC, Reg S, 4.35%, due 02/27/29    01/26/22      5,890,814      0.0%     3,400  
Russia Foreign Bonds - Eurobond, 144A, 5.10%, due 03/28/35    03/21/19      20,000,000      0.0%     10,000  
Russia Foreign Bonds - Eurobond, Reg S, 5.10%, due 03/28/35    10/11/19      6,780,989      0.0%     3,200  
          

 

 

 
           $ 13,449,492  
          

 

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Forward Currency Contracts

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net Unrealized
Appreciation
(Depreciation)($)
 
08/04/2025   JPM     BRL       25,100,000       USD       4,364,762       38,817  
07/14/2025   MSCI     EUR       700,000       USD       798,614       1,680  
06/04/2025   MSCI     EUR       5,837,000       USD       6,628,066       53  
07/14/2025   MSCI     USD       5,350,556       EUR       4,700,000       285  
07/14/2025   SSB     USD       1,006,877       EUR       900,000       17,752  
06/04/2025   SSB     USD       8,317,943       EUR       7,389,000       72,393  
07/15/2025   JPM     USD       4,191,617       IDR       70,000,000,000       80,706  
07/08/2025   JPM     USD       4,591,120       PEN       17,000,000       103,274  
07/03/2025   BCLY     USD       14,852,884       TRY       620,000,000       457,043  
06/03/2025   JPM     BRL       25,100,000       USD       4,340,383       (48,113
08/15/2025   MSCI     COP       112,940,000,000       USD       26,550,378       (403,792
07/14/2025   BOA     EUR       1,800,000       USD       2,037,417       (11,841
07/14/2025   BCLY     EUR       170,000,000       USD       190,126,528       (3,414,548
07/14/2025   MSCI     EUR       1,900,000       USD       2,146,923       (16,183

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net Unrealized
Appreciation
(Depreciation)($)
 
07/15/2025   BCLY     GBP       2,400,000       USD       3,208,157       (26,087
07/15/2025   JPM     GBP       39,600,000       USD       51,962,843       (1,402,181
07/14/2025   DB     JPY       4,120,100,000       USD       28,750,106       (15,531
06/03/2025   JPM     USD       4,426,808       BRL       25,100,000       (38,312
08/15/2025   GS     USD       765,493       COP       3,203,000,000       (1,068
08/15/2025   MSCI     USD       2,608,031       COP       10,912,000,000       (3,781
07/14/2025   DB     USD       2,050,765       EUR       1,800,000       (1,506
07/14/2025   MSCI     USD       2,622,414       EUR       2,300,000       (3,917
07/14/2025   SSB     USD       4,002,159       EUR       3,500,000       (17,490
07/15/2025   SSB     USD       5,671,552       GBP       4,200,000       (11,625
06/27/2025   MSCI     ZAR       76,700,000       USD       4,188,639       (69,071
           

 

 

 
            $ (4,713,043
           

 

 

 
 

 

Reverse Repurchase Agreements(n)

 

Face Value

   

Description

   Value ($)  
EUR     (1,775,496   Barclays Bank PLC, 2.20%, dated 04/23/25, (Collateral: Senegal Government International Bonds, Reg S, 4.75%, due 03/13/28), to be repurchased on demand at face value plus accrued interest.      (1,775,496
USD     (2,982,851   Barclays Bank PLC, 2.50%, dated 04/24/25, (Collateral: Braskem Idesa SAPI, Reg S, 6.99%, due 02/20/32), to be repurchased on demand at face value plus accrued interest.      (2,982,851
USD     (13,313,300   Barclays Bank PLC, 4.00%, dated 05/23/25, (Collateral: Republic of Kenya Government International Bonds, Reg S, 8.25%, due 02/28/48), to be repurchased on demand at face value plus accrued interest.      (13,313,300
USD     (890,683   Morgan Stanley & Co. International PLC, 3.85%, dated 11/08/24, (Collateral: Ukraine Government International Bonds, Step Up, 144A, Zero Coupon, due 02/01/30), to be repurchased on demand at face value plus accrued interest.      (890,683
USD     (903,445   Morgan Stanley & Co. International PLC, 3.60%, dated 11/14/24, (Collateral: Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (903,445
USD     (2,398,515   Morgan Stanley & Co. International PLC, 3.75%, dated 01/14/25, (Collateral: Sri Lanka Government International Bonds, Step Up, 144A, 3.10%, due 01/15/30), to be repurchased on demand at face value plus accrued interest.      (2,398,515
USD     (4,206,855   Morgan Stanley & Co. International PLC, 3.75%, dated 01/21/25, (Collateral: Sri Lanka Government International Bonds, Step Up, 144A, 3.60%, due 05/15/36), to be repurchased on demand at face value plus accrued interest.      (4,206,855
USD     (4,484,388   Morgan Stanley & Co. International PLC, 3.85%, dated 01/27/25, (Collateral: Adani Green Energy UP Ltd./Prayatna Developers Pvt Ltd./Parampujya Solar Energy, Reg S, 6.70%, due 03/12/42), to be repurchased on demand at face value plus accrued interest.      (4,484,388
USD     (2,444,020   Morgan Stanley & Co. International PLC, 3.75%, dated 01/30/25, (Collateral: Sri Lanka Government International Bonds, Step Up, 144A, 3.10%, due 01/15/30), to be repurchased on demand at face value plus accrued interest.      (2,444,020


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Reverse Repurchase Agreements(n) – continued

 

Face Value

   

Description

   Value ($)  
USD     (1,170,309   Morgan Stanley & Co. International PLC, 3.60%, dated 02/13/25, (Collateral: Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (1,170,309
USD     (1,775,970   Morgan Stanley & Co. International PLC, 3.60%, dated 02/19/25, (Collateral: Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (1,775,970
USD     (5,812,946   Morgan Stanley & Co. International PLC, 3.90%, dated 03/13/25, (Collateral: Bahrain Government International Bonds, Reg S, 6.25%, due 01/25/51), to be repurchased on demand at face value plus accrued interest.      (5,812,946
USD     (300,407   Morgan Stanley & Co. International PLC, 3.50%, dated 03/26/25, (Collateral: Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (300,407
USD     (624,467   Morgan Stanley & Co. International PLC, 3.00%, dated 03/26/25, (Collateral: Lebanon Government International Bonds, Reg S, 7.00%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (624,467
USD     (2,110,686   Morgan Stanley & Co. International PLC, 3.85%, dated 03/28/25, (Collateral: Adani Green Energy UP Ltd./Prayatna Developers Pvt Ltd./Parampujya Solar Energy, Reg S, 6.70%, due 03/12/42), to be repurchased on demand at face value plus accrued interest.      (2,110,686
USD     (830,400   Morgan Stanley & Co. International PLC, 3.00%, dated 04/01/25, (Collateral: Lebanon Government International Bonds, Reg S, 8.25%, due 05/17/34), to be repurchased on demand at face value plus accrued interest.      (830,400
USD     (127,787   Morgan Stanley & Co. International PLC, 3.00%, dated 04/08/25, (Collateral: Lebanon Government International Bonds, Reg S, 8.25%, due 05/17/34), to be repurchased on demand at face value plus accrued interest.      (127,787
USD     (9,603,112   Morgan Stanley & Co. International PLC, 3.85%, dated 04/09/25, (Collateral: Bahrain Government International Bonds, Reg S, 6.00%, due 09/19/44), to be repurchased on demand at face value plus accrued interest.      (9,603,112
USD     (2,006,296   Morgan Stanley & Co. International PLC, 1.74%, dated 04/09/25, (Collateral: Honduras Government International Bonds, Reg S, 5.63%, due 06/24/30), to be repurchased on demand at face value plus accrued interest.      (2,006,296
USD     (3,770,481   Morgan Stanley & Co. International PLC, 3.90%, dated 05/02/25, (Collateral: Bahrain Government International Bonds, Reg S, 6.25%, due 01/25/51), to be repurchased on demand at face value plus accrued interest.      (3,770,481
USD     (5,645,274   Morgan Stanley & Co. International PLC, 3.90%, dated 05/06/25, (Collateral: Bahrain Government International Bonds, Reg S, 6.25%, due 01/25/51), to be repurchased on demand at face value plus accrued interest.      (5,645,274
USD     (2,411,992   Morgan Stanley & Co. International PLC, 3.35%, dated 05/22/25, (Collateral: Honduras Government International Bonds, Reg S, 8.63%, due 11/27/34), to be repurchased on demand at face value plus accrued interest.      (2,411,992
USD     (857,855   Morgan Stanley & Co. International PLC, 3.75%, dated 05/28/25, (Collateral: Ukraine Government International Bonds, Step Up, Reg S, 1.75%, due 02/01/36), to be repurchased on demand at face value plus accrued interest.      (857,855
USD     (2,775,468   Morgan Stanley & Co. International PLC, 3.85%, dated 05/29/25, (Collateral: Adani Green Energy UP Ltd./Prayatna Developers Pvt Ltd./Parampujya Solar Energy, Reg S, 6.75%, due 03/12/42), to be repurchased on demand at face value plus accrued interest.      (2,775,468
USD     (295,250   Nomura International PLC, 3.75%, dated 10/17/24, (Collateral: Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (295,250
USD     (403,693   Nomura International PLC, 3.00%, dated 01/29/25, (Collateral: Suriname Government International Bonds, Reg S, Variable Rate, 9.00%, due 12/31/50), to be repurchased on demand at face value plus accrued interest.      (403,693
USD     (555,052   Nomura International PLC, 3.75%, dated 05/15/25, (Collateral: Suriname Government International Bonds, Reg S, 7.95%, due 07/15/33), to be repurchased on demand at face value plus accrued interest.      (555,052
USD     (425,212   Nomura International PLC, 3.75%, dated 05/15/25, (Collateral: Suriname Government International Bonds, Reg S, 7.95%, due 07/15/33), to be repurchased on demand at face value plus accrued interest.      (425,212
      

 

 

 
       $ (74,902,210
      

 

 

 
    Average balance outstanding    $ 57,656,801  
    Average interest rate (net)      (3.94 )% 
    Maximum balance outstanding    $ 77,497,904  


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Average balance outstanding was calculated based on daily face value balances outstanding during the period that the Fund had entered into reverse repurchase agreements. Average interest rate was calculated based on interest received and/or paid during the period that the Fund had entered into the reverse repurchase agreements.

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  Notional
Amount
     Annual
Premium
   Implied
Credit
Spread (1)
   Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
   Expiration
Date
   Periodic
Payment
Frequency
   Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CDX.EM.S42

       USD        80,000,000      1.00%    1.53%    N/A    12/20/2029    Quarterly      2,408,000        1,712,800        (695,200

CDX.EM.S43

       USD        76,600,000      1.00%    1.72%    N/A    06/20/2030    Quarterly      2,343,960        2,448,672        104,712  
                         

 

 

    

 

 

    

 

 

 
                          $ 4,751,960      $ 4,161,472      $ (590,488
  

 

 

    

 

 

    

 

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counter-

party

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

Commonwealth of Bahamas

  DB   EUR     6,618,453       1.00%       3.74%       N/A       06/20/2025       Quarterly       581,416       1,578       (579,838

Republic of Brazil

  MORD   USD     12,700,000       1.00%       0.69%       N/A       12/20/2026       Quarterly       (63,507     (60,340     3,167  

Republic of Colombia

  MSCI   USD     45,300,000       1.00%       1.09%       N/A       12/20/2026       Quarterly       (125,808     58,563       184,371  

Republic of South Africa Government International Bonds

  JPM   USD     34,300,000       1.00%       0.91%       N/A       12/20/2026       Quarterly       (234,412     (49,191     185,221  

Republic of Egypt

  CITI   USD     2,300,000       1.00%       4.33%       N/A       12/20/2027       Quarterly       655,500       176,640       (478,860

Republic of Egypt

  JPM   USD     2,500,000       1.00%       4.33%       N/A       12/20/2027       Quarterly       690,000       192,000       (498,000

Republic of Egypt

  JPM   USD     2,500,000       1.00%       4.33%       N/A       12/20/2027       Quarterly       725,000       192,000       (533,000

Kingdom of Bahrain

  MORD   USD     5,400,000       1.00%       1.62%       N/A       06/20/2028       Quarterly       401,901       95,311       (306,590

Republic of Turkey

  MORD   USD     1,600,000       1.00%       2.53%       N/A       06/20/2028       Quarterly       350,661       68,590       (282,071

Israel Government International Bonds

  BOA   USD     9,500,000       1.00%       0.95%       N/A       12/20/2029       Quarterly       211,213       (18,383     (229,596

Israel Government International Bonds

  JPM   USD     3,800,000       1.00%       0.95%       N/A       12/20/2029       Quarterly       76,240       (7,353     (83,593

Republic of South Africa Government International Bonds

  MSCI   USD     21,500,000       1.00%       1.89%       N/A       12/20/2029       Quarterly       784,878       778,290       (6,588

United States of Mexico

  MORD   USD     29,400,000       1.00%       1.1%       N/A       12/20/2029       Quarterly       273,879       118,557       (155,322

United States of Mexico

  GS   USD     14,700,000       1.00%       1.46%       N/A       09/20/2031       Quarterly       1,940,879       365,567       (1,575,312

Sell Protection^:

                     

Commonwealth of Bahamas

  DB   USD     8,813,161       1.00%       3.75%       8,813,161 USD       06/20/2025       Quarterly       (724,990     (1,595     723,395  

Turkiye Government International Bonds

  CITI   USD     10,000,000       1.00%       2.87%       10,000,000 USD       06/20/2029       Quarterly       (729,758     (669,303     60,455  
                 

 

 

   

 

 

   

 

 

 
                  $ 4,813,092     $ 1,240,931     $ (3,572,161
 

 

 

   

 

 

   

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts — continued

OTC Credit Default Swaps — continued

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1) 

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

Centrally Cleared Interest Rate Swaps

 

Fund Pays

 

Fund Receives

 

Notional

Amount

    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

USD-SOFR-COMPOUND

  4.01%   USD     162,500,000       12/21/2027       Annually       155,081       1,528,635       1,373,554  

BRL-CDI

  15.00%   BRL     360,784,572       01/02/2029       At Maturity       125,820       3,606,108       3,480,288  

2.68%

  KRW-CD-KSDA-Bloomberg   KRW     18,467,000,000       03/19/2030       Quarterly             (175,313     (175,313

2.67%

  KRW-CD-KSDA-Bloomberg   KRW     17,153,000,000       03/19/2030       Quarterly             (153,709     (153,709

2.70%

  EURIBOR   EUR     32,400,000       03/20/2034       Semi-Annually       (451,084     (739,408     (288,324

2.80%

  THB-THOR   THB     930,000,000       03/20/2034       Quarterly       (86,159     (2,686,986     (2,600,827

1.10%

  JPY-TONA-OIS-COMPOUND   JPY     7,694,000,000       09/18/2034       Annually       (96,110     405,274       501,384  

USD-SOFR-COMPOUND

  4.00%   USD     29,400,000       09/18/2034       Annually       391,697       407,439       15,742  

ZAR-JIBAR-SAFEX

  9.15%   ZAR     257,800,000       03/20/2039       Quarterly       117,720       128,398       10,678  

2.40%

  EURIBOR   EUR     27,000,000       03/20/2054       Semi-Annually       (868,269     1,274,692       2,142,961  

4.60%

  GBP-SONIA-COMPOUND   GBP     22,300,000       09/17/2055       Annually       (51,068     (337,523     (286,455
           

 

 

   

 

 

   

 

 

 
            $ (762,372   $ 3,257,607     $ 4,019,979  
 

 

 

   

 

 

   

 

 

 

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

 

Notional

Amount

    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

JPMorgan Emerging Markets Bond Index Global Core - Investment Grade

  USD-SOFR-OIS COMPOUND   JPM   USD     10,760,000       06/09/2025     At Maturity   $ (1,019   $ (32,454   $ (31,435
             

 

 

   

 

 

   

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

Security is backed by U.S. Treasury Bonds.

 

(c)

Investment valued using significant unobservable inputs.

 

(d)

All or a portion of this security has been pledged to cover collateral requirements on reverse repurchase agreements.

 

(e)

Security is in default.

 

(f)

Security is backed by the United States International Development Finance Corporation.

 

(g)

The security is restricted as to resale.

 

(h)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(i)

Affiliated company.

 

(j)

Private placement security; restricted as to resale. Represents investment in a pool of constitutional obligations of the Colombian government owed to individuals. Share amount represents the Fund’s invested capital.

 

(k)

Indexed security in which price and/or coupon is linked to the price of a specific instrument or financial statistic.

 

(l)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 

(m)

The repurchase agreement has an open maturity date and can be closed by either party on demand.

 

(n)

Reverse repurchase agreements have an open maturity date and can be closed by either party on demand.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

AMBAC - Insured as to the payment of principal and interest by AMBAC Assurance Corporation.

CDI - Certificado de Deposito Interbancario

EURIBOR - Euro Interbank Offered Rate

FGIC - Insured as to the payment of principal and interest by Financial Guaranty Insurance Corporation.

GDP - Gross Domestic Product

JSC - Joint-Stock Company

KSDA - Korean Securities Dealers Association

LIBOR - London Interbank Offered Rate

OIS - Overnight Indexed Swaps

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

SAFEX - South African Futures Exchange

SOFR - Secured Overnight Financing Rate

SONIA - Sterling Overnight Interbank Average Rate

STEP - Coupon increases periodically based upon a predetermined schedule. Stated interest rate in effect at May 31, 2025.

THOR - Thai Overnight Repurchase Rate

TONA - Tokyo Overnight Average Rate

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

XLCA - Insured as to the payment of principal and interest by XL Capital Assurance.

ZAR JIBAR - Johannesburg Interbank Average Rate denominated in South African Rand.

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

Currency Abbreviations:

BRL - Brazilian Real

CHF - Swiss Franc

COP - Colombian Peso

DOP - Dominican Republic Peso

EUR - Euro

GBP - British Pound

IDR - Indonesian Rupiah

JPY - Japanese Yen

KRW - South Korean Won

PEN - Peruvian Sol

THB - Thai Baht

TRY - Turkish Lira

USD - United States Dollar

UYU - Uruguay Peso

ZAR - South African Rand

 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Par Value†
    Description   Value ($)  

    DEBT OBLIGATIONS — 67.5%

 

          Corporate Debt — 19.8%      
    Canada — 1.2%  
    350,000     Cascades, Inc./Cascades USA, Inc., 144A, 5.38%, due 01/15/28     344,773  
    350,000     Parkland Corp., 144A, 4.50%, due 10/01/29     330,511  
    300,000     RB Global Holdings, Inc., 144A, 6.75%, due 03/15/28     306,392  
    350,000     Sagicor Financial Co. Ltd., 144A,
5.30%, due 05/13/28
    344,862  
    350,000     Superior Plus LP/Superior General Partner, Inc., 144A, 4.50%, due 03/15/29     332,734  
     

 

 

 
    Total Canada       1,659,272  
     

 

 

 
          Finland — 0.3%      
    350,000     Amer Sports Co., 144A, 6.75%, due 02/16/31     363,901  
     

 

 

 
          France — 0.1%      
    200,000     Vallourec SACA, 144A, 7.50%, due 04/15/32     208,686  
     

 

 

 
          Italy — 0.3%      
    350,000     Telecom Italia Capital SA, 7.20%, due 07/18/36     363,888  
     

 

 

 
          Japan — 0.3%      
    350,000     Rakuten Group, Inc., 144A, 11.25%, due 02/15/27     377,389  
     

 

 

 
          Macau — 0.2%      
    350,000     Wynn Macau Ltd., 144A, 5.13%, due 12/15/29     327,565  
     

 

 

 
          United Kingdom — 1.1%      
    300,000     180 Medical, Inc., 144A, 3.88%, due 10/15/29     284,948  
    250,000     Belron U.K. Finance PLC, 144A,
5.75%, due 10/15/29
    250,936  
    400,000     Jaguar Land Rover Automotive PLC, 144A, 4.50%, due 10/01/27     390,941  
    250,000     Vmed O2 U.K. Financing I PLC, 144A, 4.75%, due 07/15/31     229,622  
    300,000     Zegona Finance PLC, 144A,
8.63%, due 07/15/29
    319,500  
     

 

 

 
    Total United Kingdom     1,475,947  
     

 

 

 
          United States — 16.3%      
    300,000     Adtalem Global Education, Inc., 144A,
5.50%, due 03/01/28
    297,633  
    350,000     AECOM, 5.13%, due 03/15/27     349,693  
    400,000     Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC, 144A,
3.50%, due 03/15/29
    375,812  
    350,000     Allegiant Travel Co., 144A,
7.25%, due 08/15/27
    345,665  
    350,000     Alliance Resource Operating Partners LP/Alliance Resource Finance Corp., 144A,
8.63%, due 06/15/29
        365,834  
    
Par Value†
    Description   Value ($)  
        Corporate Debt — continued      
    United States — continued  
    400,000     Allison Transmission, Inc., 144A, 3.75%, due 01/30/31         363,099  
    300,000     Antero Midstream Partners LP/Antero Midstream Finance Corp., 144A, 6.63%, due 02/01/32     306,466  
    300,000     Axon Enterprise, Inc., 144A,
6.13%, due 03/15/30
    305,970  
    200,000     Bath & Body Works, Inc., 6.75%, due 07/01/36     198,073  
    350,000     Brandywine Operating Partnership LP, 8.88%, due 04/12/29     372,707  
    350,000     Burford Capital Global Finance LLC, 144A, 6.25%, due 04/15/28     348,334  
    350,000     BWX Technologies, Inc., 144A, 4.13%, due 06/30/28     340,611  
    200,000     Carnival Corp., 144A, 5.75%, due 03/01/27     200,500  
    400,000     CCO Holdings LLC/CCO Holdings Capital Corp., 144A, 4.25%, due 01/15/34     345,293  
    350,000     Clearway Energy Operating LLC, 144A,
4.75%, due 03/15/28
    342,000  
    350,000     CNX Resources Corp., 144A,
6.00%, due 01/15/29
    347,456  
    350,000     Cogent Communications Group LLC, 144A, 3.50%, due 05/01/26     347,066  
    250,000     Credit Acceptance Corp., 144A,
6.63%, due 03/15/30
    249,024  
    400,000     Crowdstrike Holdings, Inc., 3.00%, due 02/15/29     374,368  
    300,000     Crown Americas LLC/Crown Americas Capital Corp. VI, 4.75%, due 02/01/26     299,813  
    350,000     Delek Logistics Partners LP/Delek Logistics Finance Corp., 144A, 8.63%, due 03/15/29     362,484  
    350,000     Directv Financing LLC/Directv Financing Co-Obligor, Inc., 144A, 5.88%, due 08/15/27     344,508  
    400,000     DT Midstream, Inc., 144A, 4.13%, due 06/15/29     380,988  
    400,000     Dycom Industries, Inc., 144A,
4.50%, due 04/15/29
    384,852  
    350,000     Esab Corp., 144A, 6.25%, due 04/15/29     355,898  
    350,000     Fair Isaac Corp., 144A, 5.25%, due 05/15/26     349,422  
    350,000     FirstCash, Inc., 144A, 4.63%, due 09/01/28     340,972  
    350,000     GFL Environmental, Inc., 144A,
4.00%, due 08/01/28
    336,460  
    350,000     Global Net Lease, Inc., 144A,
4.50%, due 09/30/28
    335,641  
    400,000     Go Daddy Operating Co. LLC/GD Finance Co., Inc., 144A, 3.50%, due 03/01/29     373,379  
    300,000     Graham Holdings Co., 144A,
5.75%, due 06/01/26
    299,560  
    350,000     Gulfport Energy Operating Corp., 144A,
6.75%, due 09/01/29
    355,059  
    350,000     Hess Midstream Operations LP, 144A,
6.50%, due 06/01/29
        357,311  
    400,000     Hilton Domestic Operating Co., Inc., 144A,
3.75%, due 05/01/29
    377,906  
    400,000     Howard Hughes Corp., 144A,
4.13%, due 02/01/29
    376,036  
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
        Corporate Debt — continued      
    United States — continued  
    200,000     Life Time, Inc., 144A, 6.00%, due 11/15/31     200,447  
    350,000    

Live Nation Entertainment, Inc., 144A,

3.75%, due 01/15/28

    336,033  
    350,000     Moog, Inc., 144A, 4.25%, due 12/15/27     339,020  
    400,000     Mueller Water Products, Inc., 144A,
4.00%, due 06/15/29
    379,495  
    425,000     Murphy Oil USA, Inc., 144A,
3.75%, due 02/15/31
    384,977  
    150,000     Newell Brands, Inc., 7.00%, due 04/01/46     121,962  
    450,000     Nordstrom, Inc., 4.38%, due 04/01/30     406,008  
    400,000     Novelis Corp., 144A, 4.75%, due 01/30/30     380,254  
    400,000     NRG Energy, Inc., 144A, 3.63%, due 02/15/31     362,724  
    350,000     Patrick Industries, Inc., 144A,
6.38%, due 11/01/32
    344,978  
    300,000     Perrigo Finance Unlimited Co.,
4.90%, due 06/15/30
    288,813  
    150,000     PTC, Inc., 144A, 4.00%, due 02/15/28     145,321  
    350,000     Range Resources Corp., 144A,
4.75%, due 02/15/30
    336,388  
    400,000     Resorts World Las Vegas LLC/RWLV Capital, Inc., Reg S, 4.63%, due 04/16/29     350,679  
    400,000     ROBLOX Corp., 144A, 3.88%, due 05/01/30     372,038  
    300,000     Royal Caribbean Cruises Ltd., 144A,
4.25%, due 07/01/26
    297,001  
    250,000     SBA Communications Corp.,
3.88%, due 02/15/27
    245,116  
    350,000     Seagate HDD Cayman, 5.75%, due 12/01/34     343,548  
    350,000     SLM Corp., 3.13%, due 11/02/26     341,615  
    350,000     Somnigroup International, Inc., 144A,
4.00%, due 04/15/29
    329,652  
    300,000     Spirit AeroSystems, Inc., 144A,
9.38%, due 11/30/29
    319,441  
    350,000     StoneX Group, Inc., 144A,
7.88%, due 03/01/31
    368,667  
    350,000     Talen Energy Supply LLC, 144A,
8.63%, due 06/01/30
    373,783  
    400,000     TEGNA, Inc., 4.63%, due 03/15/28     387,777  
    350,000     TransDigm, Inc., 144A, 6.00%, due 01/15/33     346,329  
    400,000     Twilio, Inc., 3.63%, due 03/15/29     376,449  
    350,000     U.S. Cellular Corp., 6.70%, due 12/15/33     376,623  
    400,000     U.S. Foods, Inc., 144A, 4.63%, due 06/01/30     384,744  
    700,000     Whirlpool Corp., 4.75%, due 02/26/29     678,784  
    350,000     Wyndham Hotels & Resorts, Inc., 144A, 4.38%, due 08/15/28     338,675  
    350,000     Yum! Brands, Inc., 144A,
4.75%, due 01/15/30
    342,273  
     

 

 

 
    Total United States     22,405,507  
     

 

 

 
    Total Corporate Debt      27,182,155  
     

 

 

 
    
Par Value†
    Description   Value ($)  
          Corporate Debt — continued      
          U.S. Government — 47.7%      
    1,845,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield +
0.25%, 4.55%, due 01/31/26
    1,847,552  
    20,793,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield +
0.15%, 4.45%, due 04/30/26
    20,808,412  
    16,230,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.18%, 4.48%, due 07/31/26     16,251,504  
    20,965,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.21%, 4.51%, due 10/31/26 (a)     20,995,885  
    2,710,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 4.40%, due 01/31/27 (a)     2,710,902  
    2,825,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 4.46%, due 04/30/27 (a)     2,826,624  
     

 

 

 
    Total U.S. Government     65,440,879  
     

 

 

 
  TOTAL DEBT OBLIGATIONS
(COST $92,315,239)
    92,623,034  
     

 

 

 
      SHORT-TERM INVESTMENTS — 31.8%  
      Money Market Funds — 2.3%  
    3,135,020     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     3,135,020  
     

 

 

 
      Repurchase Agreements — 16.0%  
    21,999,618     Nomura Securities International, Inc. Repurchase Agreement, dated 05/30/25, maturing on 06/02/25 with a maturity value of $22,007,556 and an effective yield of 4.33%, collateralized by a U.S. Treasury Note with maturity date 07/15/27 and a market value of $22,476,209.     21,999,618  
     

 

 

 
      Sovereign and Sovereign Agency Issuers — 13.5%  

JPY

    2,668,000,000     Japan Treasury Discount Bills, Zero Coupon, due 06/30/25     18,535,748  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $43,161,255)
    43,670,386  
     

 

 

 
  TOTAL INVESTMENTS — 99.3%
(Cost $135,476,494)
    136,293,420  
    Other Assets and Liabilities (net) — 0.7%     1,028,504  
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $137,321,924  
     

 

 

 
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation) ($)
 
06/30/2025   BBH   JPY     1,655,000,000       USD       11,495,530       (41,077
06/30/2025   DB   JPY     1,013,000,000       USD       6,782,648       (278,732
           

 

 

 
  $ (319,809
           

 

 

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
32   U.S. Treasury Note 10 Yr. (CBT)     September 2025       3,544,000       19,484  
43   U.S. Treasury Note 2 Yr. (CBT)     September 2025       8,919,813       11,348  
80   U.S. Treasury Note 5 Yr. (CBT)     September 2025       8,655,000       18,389  
     

 

 

   

 

 

 
      $ 21,118,813     $ 49,221  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional
Amount

 

Annual
Premium

 

Implied
Credit
Spread (1)

  Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Sell Protection^:

 

CDX.NA.HY.44

  USD   29,375,000   5.00%   3.51%     29,375,000 USD     06/20/2030       Quarterly     $ 1,625,744     $ 1,810,646     $ 184,902  
 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1) 

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

  Notional
Amount
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

SOFR

  Total Return on iBoxx USD Liquid High Yield Index   JPM     USD       59,467,000       06/20/2025       Quarterly       484       1,171,902       1,171,418  

SOFR

  Total Return on iBoxx USD Liquid High Yield Index   BCLY     USD       6,928,000       06/20/2025       Quarterly       60       121,666       121,606  

SOFR

  Total Return on iBoxx USD Liquid High Yield Index   BCLY     USD       3,175,000       06/20/2025       Quarterly       4       134,424       134,420  

SOFR

  Total Return on iBoxx USD Liquid High Yield Index   JPM     USD       1,500,000       06/20/2025       Quarterly       15       12,744       12,729  

SOFR

  Total Return on iBoxx USD Liquid High Yield Index   JPM     USD       4,778,000       09/20/2025       Quarterly       48       19,678       19,630  
             

 

 

   

 

 

   

 

 

 
              $ 611     $ 1,460,414     $ 1,459,803  
             

 

 

   

 

 

   

 

 

 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

SOFR - Secured Overnight Financing Rate

Counterparty Abbreviations:

BBH - Brown Brothers Harriman & Co.

BCLY - Barclays Bank PLC

DB - Deutsche Bank AG

JPM - JPMorgan Chase Bank, N.A.

Currency Abbreviations:

JPY - Japanese Yen

USD - United States Dollar

 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

 
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 67.8%  
          Belgium — 0.2%      
          Corporate Debt — 0.2%      
       150,000     Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc., 4.70%, due 02/01/36         144,181  
     

 

 

 
          Canada — 0.8%      
          Corporate Debt — 0.8%      
    150,000     CI Financial Corp., 3.20%, due 12/17/30     130,855  
    100,000     Emera U.S. Finance LP, 4.75%, due 06/15/46     80,701  
    150,000     Toronto-Dominion Bank, 4.78%, due 12/17/29     150,581  
    150,000     TransCanada PipeLines Ltd., 4.25%, due 05/15/28     148,818  
    150,000     TransCanada PipeLines Ltd., 4.10%, due 04/15/30     145,286  
     

 

 

 
    Total Canada     656,241  
     

 

 

 
          China — 0.5%      
          Corporate Debt — 0.5%      
    200,000     Alibaba Group Holding Ltd., 2.70%, due 02/09/41     136,308  
    200,000     Alibaba Group Holding Ltd., 3.15%, due 02/09/51     127,678  
    250,000     Alibaba Group Holding Ltd., 3.25%, due 02/09/61     151,762  
     

 

 

 
    Total China     415,748  
     

 

 

 
          Finland — 0.2%      
          Corporate Debt — 0.2%      
    150,000     Nokia OYJ, 4.38%, due 06/12/27     148,948  
     

 

 

 
          Germany — 0.6%      
          Corporate Debt — 0.6%      
    150,000     Deutsche Bank AG, Variable Rate, 3.55%, due 09/18/31     138,226  
    200,000     Deutsche Bank AG, Variable Rate, 3.04%, due 05/28/32     176,585  
    150,000     Deutsche Bank AG, Variable Rate, 5.40%, due 09/11/35     146,381  
     

 

 

 
    Total Germany     461,192  
     

 

 

 
          United Kingdom — 0.8%      
          Corporate Debt — 0.8%      
    100,000     BAT Capital Corp., 7.08%, due 08/02/43     108,136  
    100,000     BAT Capital Corp., 4.54%, due 08/15/47     78,941  
    150,000     BAT Capital Corp., 7.08%, due 08/02/53     162,777  
    150,000     Marex Group PLC, 5.83%, due 05/08/28     150,663  
    100,000     Marex Group PLC, 6.40%, due 11/04/29     101,906  
     

 

 

 
    Total United Kingdom     602,423  
     

 

 

 
 
Par Value†
    Description   Value ($)  
          United States — 64.7%      
          Corporate Debt — 20.2%      
    150,000     3M Co., 2.25%, due 09/19/26     145,859  
    150,000     3M Co., 2.88%, due 10/15/27     144,682  
    150,000     3M Co., 2.38%, due 08/26/29     138,057  
    100,000     Altria Group, Inc., 6.88%, due 11/01/33     109,878  
    100,000     Altria Group, Inc., 5.80%, due 02/14/39     98,996  
    200,000     Altria Group, Inc., 3.40%, due 02/04/41     144,676  
    150,000     Apple, Inc., 3.45%, due 02/09/45     114,357  
    150,000     Apple, Inc., 4.38%, due 05/13/45     130,216  
    150,000     Apple, Inc., 4.65%, due 02/23/46     134,663  
    150,000     AppLovin Corp., 5.95%, due 12/01/54     143,364  
    200,000     Aptiv Swiss Holdings Ltd., 4.15%, due 05/01/52     137,318  
    150,000     Bank of New York Mellon Corp., Variable Rate, 3.44%, due 02/07/28     147,827  
    150,000     Bank of New York Mellon Corp., Variable Rate, 5.83%, due 10/25/33     156,969  
    150,000     Bank of New York Mellon Corp., Variable Rate, 6.47%, due 10/25/34     163,191  
    100,000     Blue Owl Capital Corp., 2.88%, due 06/11/28     92,259  
    150,000     Boeing Co., 3.90%, due 05/01/49     105,131  
    150,000     Boeing Co., 5.93%, due 05/01/60     138,871  
    150,000     Boeing Co., 7.01%, due 05/01/64     160,234  
    150,000     Brighthouse Financial, Inc., 4.70%, due 06/22/47     113,262  
    150,000     Capital One Financial Corp., Variable Rate, 5.82%, due 02/01/34     151,960  
    150,000     Capital One Financial Corp., Variable Rate, 6.38%, due 06/08/34     156,774  
    100,000     Capital One Financial Corp., Variable Rate, 7.96%, due 11/02/34     114,443  
    100,000     Cencora, Inc., 3.45%, due 12/15/27     97,616  
    100,000     Cencora, Inc., 4.85%, due 12/15/29     100,769  
    100,000     Cencora, Inc., 2.70%, due 03/15/31     89,216  
    150,000     CenterPoint Energy Houston Electric LLC, 4.80%, due 03/15/30     151,463  
    150,000     CenterPoint Energy Houston Electric LLC, 4.95%, due 04/01/33     148,630  
    150,000     CenterPoint Energy Houston Electric LLC, 5.05%, due 03/01/35     147,616  
    150,000     CH Robinson Worldwide, Inc., 4.20%, due 04/15/28     147,537  
    100,000     Citizens Financial Group, Inc., Variable Rate, 5.84%, due 01/23/30     102,577  
    150,000     Coca-Cola Co., 2.60%, due 06/01/50     90,177  
    150,000     Coca-Cola Co., 5.40%, due 05/13/64     142,023  
    150,000     Corning, Inc., 5.35%, due 11/15/48     136,247  
    200,000     Corning, Inc., 4.38%, due 11/15/57     152,643  
    200,000     Discovery Communications LLC, 5.20%, due 09/20/47     139,684  
    150,000     Enbridge Energy Partners LP, 7.38%, due 10/15/45     166,625  
    100,000     Entergy Louisiana LLC, 5.35%, due 03/15/34     100,327  
    100,000     Entergy Louisiana LLC, 5.15%, due 09/15/34     98,934  
 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

 
Par Value†
    Description   Value ($)  
          United States — continued      
          Corporate Debt — continued      
       150,000     Expand Energy Corp., 5.38%, due 03/15/30         149,185  
    150,000     Expand Energy Corp., 4.75%, due 02/01/32     141,409  
    150,000     Fiserv, Inc., 5.60%, due 03/02/33     152,700  
    150,000     Fiserv, Inc., 5.45%, due 03/15/34     150,368  
    100,000     Fox Corp., 6.50%, due 10/13/33     107,088  
    100,000     Fox Corp., 5.48%, due 01/25/39     95,737  
    150,000     Fox Corp., 5.58%, due 01/25/49     137,628  
    300,000     FS KKR Capital Corp., 3.13%, due 10/12/28     271,726  
    150,000     FS KKR Capital Corp., 6.13%, due 01/15/30     147,698  
    250,000     GE Capital International Funding Co. Unlimited Co., 4.42%, due 11/15/35     237,345  
    150,000     Gilead Sciences, Inc., 2.95%, due 03/01/27     147,119  
    150,000     Goldman Sachs Bank USA, Variable Rate,
5.28%, due 03/18/27
    150,638  
    100,000     Goldman Sachs Group, Inc., Variable Rate,
3.62%, due 03/15/28
    98,212  
    150,000     Goldman Sachs Group, Inc., Variable Rate,
4.22%, due 05/01/29
    148,454  
    150,000     Howmet Aerospace, Inc., 3.00%, due 01/15/29     142,509  
    150,000     Jacobs Engineering Group, Inc., 6.35%, due 08/18/28     156,701  
    150,000     JPMorgan Chase & Co., Variable Rate, 4.91%, due 07/25/33     148,655  
    150,000     Kinder Morgan, Inc., 5.20%, due 06/01/33     148,038  
    150,000     Kinder Morgan, Inc., 5.05%, due 02/15/46     128,105  
    150,000     Kroger Co., 5.00%, due 09/15/34     146,096  
    150,000     Kroger Co., 5.40%, due 01/15/49     136,189  
    100,000     Kroger Co., 5.65%, due 09/15/64     92,329  
    150,000     Kyndryl Holdings, Inc., 2.05%, due 10/15/26     144,659  
    150,000     Kyndryl Holdings, Inc., 3.15%, due 10/15/31     133,007  
    150,000     Kyndryl Holdings, Inc., 6.35%, due 02/20/34     157,402  
       150,000     Lowe’s Cos., Inc., 5.85%, due 04/01/63     141,995  
    150,000     M&T Bank Corp., Variable Rate, 7.41%, due 10/30/29     161,893  
    100,000     M&T Bank Corp., Variable Rate, 5.05%, due 01/27/34     96,897  
    150,000     MasTec, Inc., 5.90%, due 06/15/29     153,913  
    150,000     Morgan Stanley, Variable Rate, 3.77%, due 01/24/29     146,782  
    150,000     Morgan Stanley, Variable Rate, 4.43%, due 01/23/30     148,755  
    100,000     National Fuel Gas Co., 5.95%, due 03/15/35     100,231  
    100,000     Netflix, Inc., 4.38%, due 11/15/26     100,185  
    100,000     Netflix, Inc., 4.88%, due 04/15/28     101,639  
    100,000     Netflix, Inc., 6.38%, due 05/15/29     107,061  
    150,000     Northern Trust Corp., 1.95%, due 05/01/30     133,009  
    200,000     Omega Healthcare Investors, Inc., 3.38%, due 02/01/31     180,445  
    150,000     Omega Healthcare Investors, Inc., 3.25%, due 04/15/33     126,810  
    150,000     ONEOK, Inc., 6.63%, due 09/01/53     151,292  
    150,000     Paychex, Inc., 5.10%, due 04/15/30     151,945  
 
Par Value†
    Description   Value ($)  
          United States — continued      
          Corporate Debt — continued      
    150,000     Paychex, Inc., 5.35%, due 04/15/32         152,227  
    150,000     Paychex, Inc., 5.60%, due 04/15/35     152,523  
    100,000     Philip Morris International, Inc., 2.75%, due 02/25/26     98,709  
    150,000     Philip Morris International, Inc., 0.88%, due 05/01/26     145,210  
    150,000     Philip Morris International, Inc., 4.75%, due 02/12/27     151,112  
    150,000     Pilgrim’s Pride Corp., 4.25%, due 04/15/31     141,964  
    150,000     Pilgrim’s Pride Corp., 3.50%, due 03/01/32     132,851  
    100,000     Pilgrim’s Pride Corp., 6.88%, due 05/15/34     107,750  
    150,000     RTX Corp., 3.50%, due 03/15/27     147,566  
    150,000     RTX Corp., 4.45%, due 11/16/38     135,344  
    150,000     RTX Corp., 4.88%, due 10/15/40     137,994  
    250,000     Sabra Health Care LP, 3.20%, due 12/01/31     217,736  
    150,000     Santander Holdings USA, Inc., Variable Rate,
6.17%, due 01/09/30
    154,755  
    150,000     Santander Holdings USA, Inc., Variable Rate,
5.74%, due 03/20/31
    151,557  
    150,000     Santander Holdings USA, Inc., Variable Rate,
6.34%, due 05/31/35
    153,556  
    50,000     Simon Property Group LP, 5.85%, due 03/08/53     48,765  
    150,000     Synovus Financial Corp., Variable Rate, 6.17%, due 11/01/30     151,875  
    150,000     Take-Two Interactive Software, Inc., 4.95%, due 03/28/28     151,566  
    150,000     Tapestry, Inc., 5.10%, due 03/11/30     149,963  
    150,000     Tapestry, Inc., 5.50%, due 03/11/35     147,131  
       150,000     Targa Resources Corp., 6.13%, due 03/15/33     154,494  
    150,000     Targa Resources Corp., 6.50%, due 02/15/53     147,860  
    100,000     TC PipeLines LP, 3.90%, due 05/25/27     98,576  
    150,000     Ventas Realty LP, 4.40%, due 01/15/29     148,476  
    100,000     Ventas Realty LP, 3.00%, due 01/15/30     92,651  
    100,000     Ventas Realty LP, 5.63%, due 07/01/34     101,142  
    100,000     VeriSign, Inc., 2.70%, due 06/15/31     87,879  
    150,000     VeriSign, Inc., 5.25%, due 06/01/32     151,185  
    100,000     VMware LLC, 1.40%, due 08/15/26     96,284  
    150,000     VMware LLC, 3.90%, due 08/21/27     147,964  
    150,000     VMware LLC, 1.80%, due 08/15/28     137,272  
    150,000     Walmart, Inc., 3.95%, due 06/28/38     134,263  
    200,000     Walmart, Inc., 2.50%, due 09/22/41     138,114  
    150,000     Walmart, Inc., 4.05%, due 06/29/48     121,879  
    200,000     Warnermedia Holdings, Inc., 5.39%, due 03/15/62     128,746  
    150,000     Westinghouse Air Brake Technologies Corp.,
5.61%, due 03/11/34
    152,903  
    150,000     Williams Cos., Inc., 5.15%, due 03/15/34     147,324  
     

 

 

 
        15,644,086  
     

 

 

 
 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

 
Par Value†
    Description   Value ($)  
          United States — continued      
          U.S. Government — 23.1%      
     1,100,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield +
0.25%, 4.55%, due 01/31/26 (a)
    1,101,521  
    500,000     U.S. Treasury Floating Rate Notes, Variable
Rate, 3 mo. Treasury money market yield + 0.15%, 4.45%, due 04/30/26 (a)
    500,371  
    1,250,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield +
0.18%, 4.48%, due 07/31/26 (a)
    1,251,656  
    15,000,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield +
0.16%, 4.46%, due 04/30/27
    15,008,623  
     

 

 

 
        17,862,171  
     

 

 

 
          U.S. Government Agency — 21.4%      
    4,800,000     Government National Mortgage Association, TBA, 3.50%, due 06/20/54     4,269,857  
    10,100,000     Uniform Mortgage-Backed Security, TBA,
3.00%, due 06/01/54
    8,592,485  
    3,750,000     Uniform Mortgage-Backed Security, TBA,
5.50%, due 06/01/54
    3,712,168  
     

 

 

 
        16,574,510  
     

 

 

 
    Total United States      50,080,767  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(COST $52,785,725)

    52,509,500  
     

 

 

 
 

Shares /

Par Value†

    Description   Value ($)  
          INVESTMENT FUNDS — 24.1%      
          United States — 24.1%      
    196,141     GMO Emerging Country Debt Fund, Class VI (b)     4,013,040  
    602,517     GMO Opportunistic Income Fund, Class VI (b)     14,659,233  
     

 

 

 
    Total United States     18,672,273  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $21,061,149)
    18,672,273  
     

 

 

 
          SHORT-TERM INVESTMENTS — 33.2%  
          Repurchase Agreements — 31.0%      
    23,999,400     Nomura Securities International, Inc. Repurchase Agreement, dated 05/30/25 , maturing on 06/02/25 with a maturity value of $24,008,060 and an effective yield of 4.33%, collateralized by a U.S. Treasury Note with maturity date 07/15/27 and a market value of $24,519,315.     23,999,400  
     

 

 

 
          Money Market Funds — 2.2%  
    1,719,517     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (c)     1,719,517  
     

 

 

 
   

TOTAL SHORT-TERM INVESTMENTS

(COST $25,718,917)

    25,718,917  
     

 

 

 
   

TOTAL INVESTMENTS — 125.1%

(Cost $99,565,791)

    96,900,690  
    Other Assets and Liabilities (net) — (25.1%)     (19,468,009
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $ 77,432,681  
     

 

 

 
 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)($)
 
08/12/2025   BCLY   AUD     230,000       USD       149,032       609  
06/03/2025   JPM   BRL     1,913,667       USD       337,507       2,921  
07/15/2025   SSB   CHF     1,443,976       USD       1,792,012       28,289  
08/18/2025   CITI   CLP     30,000,000       USD       31,999       293  
08/18/2025   MSCI   CLP     9,728,500       USD       10,340       58  
07/15/2025   CITI   CZK     800,000       USD       36,588       93  
08/19/2025   CITI   HUF     20,000,000       USD       56,085       75  
07/15/2025   GS   IDR     600,000,000       USD       36,796       176  
07/14/2025   BCLY   JPY     49,000,000       USD       342,150       43  
07/15/2025   GS   PHP     1,500,000       USD       26,860       5  
07/15/2025   SSB   PHP     2,000,000       USD       35,807       1  

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)($)
 
08/20/2025   CITI   PLN     100,000       USD       26,748       76  
06/23/2025   GS   RON     281,041       USD       63,938       1,013  
06/12/2025   CITI   SEK     1,400,000       USD       147,342       1,232  
06/20/2025   CITI   THB     2,700,000       USD       82,602       259  
08/12/2025   CITI   USD     134,973       AUD       210,000       545  
08/12/2025   SSB   USD     141,045       AUD       220,000       926  
06/03/2025   JPM   USD     287,687       BRL       1,663,667       3,189  
06/13/2025   BCLY   USD     187,974       CAD       260,000       1,586  
06/13/2025   MSCI   USD     254,111       CAD       360,000       8,356  
08/15/2025   GS   USD     123,176       COP       520,000,000       927  
08/15/2025   MSCI   USD     225,681       COP       960,000,000       3,432  
 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)

($)
 
07/15/2025   BCLY   USD     63,316       CZK       1,400,000       550  
07/15/2025   BBH   USD     27,190       CZK       600,000       181  
08/14/2025   MSCI   USD     248,507       EUR       220,000       2,479  
07/15/2025   BCLY   USD     134,671       GBP       100,000       89  
07/15/2025   JPM   USD     288,682       GBP       220,000       7,790  
07/15/2025   MSCI   USD     345,500       GBP       260,000       4,876  
08/19/2025   GS   USD     193,206       HUF       69,769,900       2,182  
07/15/2025   JPM   USD     137,368       IDR       2,294,041,000       2,645  
08/12/2025   DB   USD     56,611       ILS       200,000       376  
08/12/2025   GS   USD     56,508       ILS       200,000       480  
06/26/2025   SSB   USD     162,182       INR       14,000,000       1,254  
07/14/2025   BCLY   USD     241,169       JPY       35,000,000       3,193  
07/14/2025   DB   USD     2,204,368       JPY       315,902,084       1,191  
07/14/2025   MSCI   USD     146,552       JPY       21,000,000       65  
07/15/2025   CITI   USD     50,478       MXN       1,000,000       811  
07/15/2025   SSB   USD     70,084       MXN       1,400,000       1,721  
07/15/2025   BCLY   USD     2,354,224       NOK       25,085,429       103,228  
08/14/2025   DB   USD     254,853       NZD       430,000       2,715  
07/08/2025   CITI   USD     31,894       PEN       120,000       1,243  
07/08/2025   JPM   USD     356,487       PEN       1,320,000       8,019  
07/15/2025   SSB   USD     89,324       PHP       5,000,000       192  
06/23/2025   CITI   USD     154,574       RON       700,000       2,155  
06/12/2025   BOA   USD     1,194,896       SEK       12,002,650       57,751  
06/12/2025   CITI   USD     160,882       SEK       1,600,000       6,101  
06/12/2025   GS   USD     229,504       SEK       2,200,000       97  
06/20/2025   JPM   USD     125,391       THB       4,177,700       2,018  
06/27/2025   CITI   USD     99,355       ZAR       1,800,000       566  
06/27/2025   MSCI   USD     76,532       ZAR       1,400,000       1,184  
06/27/2025   SSB   USD     21,600       ZAR       400,000       604  
08/12/2025   SSB   AUD     220,000       USD       141,338       (633
06/03/2025   CITI   BRL     400,000       USD       68,198       (1,738
06/03/2025   GS   BRL     300,000       USD       51,495       (958
06/13/2025   BOA   CAD     180,000       USD       130,748       (485
06/13/2025   CITI   CAD     820,000       USD       579,072       (18,770
06/13/2025   MSCI   CAD     500,000       USD       348,586       (15,951
06/13/2025   SSB   CAD     370,000       USD       267,428       (2,329
07/15/2025   SSB   CHF     150,000       USD       183,196       (19
07/15/2025   CITI   CZK     1,600,000       USD       72,271       (719
07/15/2025   SSB   CZK     1,000,000       USD       44,993       (626
08/14/2025   BCLY   EUR     680,000       USD       760,532       (15,243
07/15/2025   JPM   GBP     210,000       USD       280,139       (2,857
07/15/2025   MSCI   GBP     180,000       USD       240,768       (1,801
07/15/2025   SSB   GBP     100,000       USD       132,209       (2,551
08/19/2025   SSB   HUF     10,000,000       USD       27,776       (228
07/15/2025   GS   IDR     600,000,000       USD       36,236       (384
08/12/2025   CITI   ILS     250,000       USD       70,492       (742
08/12/2025   MSCI   ILS     86,203       USD       24,145       (417
06/26/2025   CITI   INR     29,000,000       USD       336,183       (2,365
07/14/2025   MSCI   JPY     25,000,000       USD       173,381       (1,163
08/18/2025   MSCI   KRW     74,221,675       USD       52,513       (1,482
07/15/2025   MSCI   MXN     3,180,899       USD       154,553       (8,593
07/15/2025   CITI   NOK     6,700,000       USD       644,550       (11,804
07/15/2025   DB   NOK     1,600,000       USD       154,355       (2,387
08/14/2025   SSB   NZD     910,000       USD       536,771       (8,316
07/08/2025   CITI   PEN     160,000       USD       43,528       (654
07/08/2025   GS   PEN     240,000       USD       65,666       (607
07/08/2025   MSCI   PEN     160,000       USD       43,829       (354

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)

($)
 
08/20/2025   GS   PLN     350,000       USD       91,743       (1,611
08/20/2025   MSCI   PLN     150,000       USD       39,576       (433
08/20/2025   SSB   PLN     100,000       USD       26,340       (333
06/12/2025   CITI   SEK     7,800,000       USD       787,404       (26,635
06/12/2025   GS   SEK     3,000,000       USD       312,263       (830
07/22/2025   BOA   SGD     430,000       USD       329,472       (4,953
07/22/2025   BBH   SGD     90,000       USD       69,091       (905
06/20/2025   MSCI   THB     1,500,000       USD       45,503       (243
07/15/2025   SSB   TWD     945,600       USD       31,449       (517
06/03/2025   BCLY   USD     79,520       BRL       450,000       (842
06/03/2025   CITI   USD     52,746       BRL       300,000       (294
06/03/2025   GS   USD     35,255       BRL       200,000       (287
08/04/2025   JPM   USD     332,777       BRL       1,913,667       (2,960
08/18/2025   GS   USD     31,918       CLP       30,000,000       (212
08/15/2025   CITI   USD     28,696       COP       120,000,000       (57
07/15/2025   CITI   USD     45,779       CZK       1,000,000       (160
07/15/2025   MSCI   USD     176,175       GBP       130,000       (987
06/26/2025   CITI   USD     35,504       INR       3,000,000       (482
06/26/2025   MSCI   USD     23,380       INR       2,000,000       (32
08/18/2025   SSB   USD     58,652       KRW       80,000,000       (453
07/15/2025   MSCI   USD     41,198       MXN       800,000       (167
07/15/2025   SSB   USD     62,059       MXN       1,200,000       (512
06/23/2025   BBH   USD     57,444       RON       250,000       (1,470
06/23/2025   CITI   USD     22,430       RON       100,000       (40
07/15/2025   SSB   USD     30,494       TWD       900,000       (70
06/27/2025   SSB   USD     66,999       ZAR       1,200,000       (385
06/27/2025   BBH   ZAR     1,400,000       USD       74,979       (2,737
06/27/2025   SSB   ZAR     1,400,000       USD       72,302       (5,414
           

 

 

 
            $ 111,663  
           

 

 

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
28   U.S. Long Bond (CBT)     September 2025       3,157,875       17,827  
30   U.S. Treasury Note 10 Yr. (CBT)     September 2025       3,322,500       18,266  
31   U.S. Treasury Note 2 Yr. (CBT)     September 2025       6,430,563       8,181  
103   U.S. Treasury Note 5 Yr. (CBT)     September 2025       11,143,312       23,676  
3   U.S. Treasury Ultra 10 Yr. (CBT)     September 2025       337,641       643  
28   U.S. Ultra Bond (CBT)     September 2025       3,249,750       22,936  
     

 

 

   

 

 

 
      $ 27,641,641     $ 91,529  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts

Centrally Cleared Interest Rate Swaps

 

Fund Pays

  Fund Receives  

Notional

Amount

     Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/

(Depreciation) ($)
 

3.18%

  3 Month AUD BBSW   AUD      10,000,000        06/18/2027     Quarterly     1,052       5,238       4,186  

3 Month AUD BBSW

  3.16%   AUD      2,000,000        06/18/2027     Quarterly           (1,420     (1,420

3 Month AUD BBSW

  3.20%   AUD      2,000,000        06/18/2027     Quarterly           (390     (390

3 Month AUD BBSW

  3.25%   AUD      1,500,000        06/18/2027     Quarterly           656       656  

CAD-CORRA-OIS-COMPOUND

  2.29%   CAD      7,500,000        06/18/2027     Annually     6,967       (15,813     (22,780

CAD-CORRA-OIS-COMPOUND

  2.36%   CAD      1,000,000        06/18/2027     Annually           (1,182     (1,182

CAD-CORRA-OIS-COMPOUND

  2.39%   CAD      1,500,000        06/18/2027     Annually           (1,021     (1,021

2.37%

  CAD-CORRA-OIS-COMPOUND   CAD      1,500,000        06/18/2027     Annually           1,477       1,477  

2.42%

  CAD-CORRA-OIS-COMPOUND   CAD      1,000,000        06/18/2027     Annually           348       348  

2.41%

  CAD-CORRA-OIS-COMPOUND   CAD      1,500,000        06/18/2027     Annually           682       682  

CHF-SARON-OIS-COMPOUND

  0.14%   CHF      12,000,000        06/18/2027     Annually     (17,154     121,928       139,082  

(0.05)%

  CHF-SARON-OIS-COMPOUND   CHF      1,000,000        06/18/2027     Annually           (5,473     (5,473

(0.10)%

  CHF-SARON-OIS-COMPOUND   CHF      500,000        06/18/2027     Annually           (2,085     (2,085

(0.19)%

  CHF-SARON-OIS-COMPOUND   CHF      1,000,000        06/18/2027     Annually           (1,876     (1,876

(0.29)%

  CHF-SARON-OIS-COMPOUND   CHF      1,000,000        06/18/2027     Annually           456       456  

EUR-EuroSTR-COMPOUND

  1.65%   EUR      1,000,000        06/18/2027     Annually           (921     (921

EUR-EuroSTR-COMPOUND

  1.70%   EUR      1,000,000        06/18/2027     Annually           54       54  

EUR-EuroSTR-COMPOUND

  1.79%   EUR      1,000,000        06/18/2027     Annually           2,128       2,128  

GBP-SONIA-COMPOUND

  3.63%   GBP      500,000        06/18/2027     Annually           (2,518     (2,518

3.93%

  GBP-SONIA-COMPOUND   GBP      4,000,000        06/18/2027     Annually     (1,293     (10,591     (9,298

3.81%

  GBP-SONIA-COMPOUND   GBP      1,000,000        06/18/2027     Annually           362       362  

3 Month SEK STIBOR

  2.13%   SEK      5,000,000        06/18/2027     Quarterly           487       487  

3 Month SEK STIBOR

  2.23%   SEK      20,000,000        06/18/2027     Quarterly     (4,339     5,939       10,278  

3 Month SEK STIBOR

  2.52%   SEK      10,000,000        06/18/2027     Quarterly           9,007       9,007  

2.18%

  3 Month SEK STIBOR   SEK      20,000,000        06/18/2027     Quarterly           (4,035     (4,035

2.11%

  3 Month SEK STIBOR   SEK      10,000,000        06/18/2027     Quarterly           (579     (579

2.10%

  3 Month SEK STIBOR   SEK      15,000,000        06/18/2027     Quarterly     (187     (656     (469

3.51%

  USD-SOFR-OIS-COMPOUND   USD      1,000,000        06/18/2027     Annually           2,930       2,930  

BRL-CDI

  14.0%   BRL      2,818,663        01/02/2029     At Maturity     370       10,557       10,187  

MXN-TIIE ON-OIS COMPOUND

  7.74%   MXN      2,900,000        06/12/2030     Monthly           120       120  

MXN-TIIE ON-OIS COMPOUND

  7.87%   MXN      2,700,000        06/12/2030     Monthly           846       846  

MXN-TIIE ON-OIS COMPOUND

  8.22%   MXN      4,000,000        06/12/2030     Monthly     597       4,215       3,618  

5.09%

  CL-CLICP-Bloomberg   CLP      90,000,000        06/18/2030     Semi-Annually           (1,839     (1,839

CNY-CNREPOFIX=CFXS-Reuters

  1.44%   CNY      600,000        06/18/2030     Quarterly           (174     (174

1.57%

  CNY-CNREPOFIX=CFXS-Reuters   CNY      6,000,000        06/18/2030     Quarterly     604       (3,634     (4,238

COP-IBR-OIS-COMPOUND

  8.25%   COP      2,400,000,000        06/18/2030     Quarterly     1,600       (5,882     (7,482

COP-IBR-OIS-COMPOUND

  8.70%   COP      560,000,000        06/18/2030     Quarterly           1,062       1,062  

CZK-PRIBOR-PRBO

  3.44%   CZK      3,100,000        06/18/2030     Semi-Annually           974       974  

CZK-PRIBOR-PRBO

  3.50%   CZK      6,000,000        06/18/2030     Semi-Annually     (346     2,536       2,882  

CZK-PRIBOR-PRBO

  3.56%   CZK      11,500,000        06/18/2030     Semi-Annually     2,591       6,328       3,737  

3.21%

  CZK-PRIBOR-PRBO   CZK      2,100,000        06/18/2030     Semi-Annually           368       368  

HKD-HIBOR-HKAB

  2.96%   HKD      700,000        06/18/2030     Quarterly           786       786  

HKD-HIBOR-HKAB

  3.37%   HKD      3,000,000        06/18/2030     Quarterly     (1,345     10,712       12,057  

3.48%

  HKD-HIBOR-HKAB   HKD      600,000        06/18/2030     Quarterly           (2,514     (2,514

ILS-SHIR-OIS COMPOUND

  4.19%   ILS      900,000        06/18/2030     Annually     2,116       944       (1,172

5.97%

  INR-FBIL-MIBOR-OIS-COMPOUND   INR      90,000,000        06/18/2030     Semi-Annually     (2,695     (12,851     (10,156

KRW-CD-KSDA-Bloomberg

  2.33%   KRW      320,000,000        06/18/2030     Quarterly           (790     (790

KRW-CD-KSDA-Bloomberg

  2.41%   KRW      110,000,000        06/18/2030     Quarterly           21       21  

KRW-CD-KSDA-Bloomberg

  2.62%   KRW      260,000,000        06/18/2030     Quarterly           1,961       1,961  

2.52%

  KRW-CD-KSDA-Bloomberg   KRW      1,100,000,000        06/18/2030     Quarterly     4,046       (4,481     (8,527

4.78%

  PLN-WIBOR-WIBO   PLN      2,600,000        06/18/2030     Semi-Annually     2,859       (22,067     (24,926

3.81%

  PLN-WIBOR-WIBO   PLN      300,000        06/18/2030     Semi-Annually           890       890  

SGD-SORA-COMPOUND

  1.96%   SGD      180,000        06/18/2030     Semi-Annually           215       215  

SGD-SORA-COMPOUND

  2.26%   SGD      150,000        06/18/2030     Semi-Annually           1,895       1,895  

2.31%

  SGD-SORA-COMPOUND   SGD      900,000        06/18/2030     Semi-Annually     1,593       (12,952     (14,545

2.30%

  SGD-SORA-COMPOUND   SGD      200,000        06/18/2030     Semi-Annually           (2,778     (2,778

2.01%

  SGD-SORA-COMPOUND   SGD      140,000        06/18/2030     Semi-Annually           (463     (463

1.75%

  THB-THOR   THB      18,600,000        06/18/2030     Quarterly     1,036       (9,550     (10,586


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

  Fund Receives  

Notional

Amount

     Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/

(Depreciation) ($)
 

1.68%

  THB-THOR   THB      3,000,000        06/18/2030     Quarterly           (1,255     (1,255

1.54%

  THB-THOR   THB      3,000,000        06/18/2030     Quarterly           (604     (604

1.40%

  THB-THOR   THB      2,600,000        06/18/2030     Quarterly           (12     (12

ZAR-JIBAR-SAFEX

  7.79%   ZAR      19,000,000        06/18/2030     Quarterly     621       16,023       15,402  

6 Month AUD BBSW

  4.13%   AUD      500,000        06/18/2035     Semi-Annually           (180     (180

6 Month AUD BBSW

  4.23%   AUD      2,300,000        06/18/2035     Semi-Annually     989       11,156       10,167  

6 Month AUD BBSW

  4.32%   AUD      500,000        06/18/2035     Semi-Annually           4,818       4,818  

4.14%

  6 Month AUD BBSW   AUD      400,000        06/18/2035     Semi-Annually           38       38  

4.15%

  6 Month AUD BBSW   AUD      500,000        06/18/2035     Semi-Annually           (232     (232

4.18%

  6 Month AUD BBSW   AUD      300,000        06/18/2035     Semi-Annually           (642     (642

CAD-CORRA-OIS-COMPOUND

  2.89%   CAD      400,000        06/18/2035     Annually           (1,164     (1,164

CAD-CORRA-OIS-COMPOUND

  2.91%   CAD      400,000        06/18/2035     Annually           (796     (796

CAD-CORRA-OIS-COMPOUND

  2.96%   CAD      300,000        06/18/2035     Annually           410       410  

CAD-CORRA-OIS-COMPOUND

  2.98%   CAD      200,000        06/18/2035     Annually           508       508  

CAD-CORRA-OIS-COMPOUND

  3.03%   CAD      300,000        06/18/2035     Annually           1,712       1,712  

2.62%

  CAD-CORRA-OIS-COMPOUND   CAD      1,700,000        06/18/2035     Annually     (4,588     34,074       38,662  

2.84%

  CAD-CORRA-OIS-COMPOUND   CAD      300,000        06/18/2035     Annually           1,871       1,871  

2.77%

  CAD-CORRA-OIS-COMPOUND   CAD      200,000        06/18/2035     Annually           2,197       2,197  

2.93%

  CAD-CORRA-OIS-COMPOUND   CAD      400,000        06/18/2035     Annually           315       315  

CHF-SARON-OIS-COMPOUND

  0.37%   CHF      200,000        06/18/2035     Annually           (39     (39

CHF-SARON-OIS-COMPOUND

  0.50%   CHF      400,000        06/18/2035     Annually           6,232       6,232  

CHF-SARON-OIS-COMPOUND

  0.51%   CHF      100,000        06/18/2035     Annually           1,700       1,700  

CHF-SARON-OIS-COMPOUND

  0.53%   CHF      200,000        06/18/2035     Annually           3,932       3,932  

CHF-SARON-OIS-COMPOUND

  0.59%   CHF      200,000        06/18/2035     Annually           5,466       5,466  

0.57%

  CHF-SARON-OIS-COMPOUND   CHF      2,500,000        06/18/2035     Annually     19,204       (61,216     (80,420

0.56%

  CHF-SARON-OIS-COMPOUND   CHF      1,180,000        06/18/2035     Annually     (1,711     (27,872     (26,161

0.89%

  CHF-SARON-OIS-COMPOUND   CHF      400,000        06/18/2035     Annually           (25,703     (25,703

EUR-EuroSTR-COMPOUND

  2.44%   EUR      600,000        06/18/2035     Annually           5,975       5,975  

EUR-EuroSTR-COMPOUND

  2.47%   EUR      200,000        06/18/2035     Annually           2,566       2,566  

EUR-EuroSTR-COMPOUND

  2.56%   EUR      200,000        06/18/2035     Annually           4,451       4,451  

EUR-EuroSTR-COMPOUND

  2.65%   EUR      500,000        06/18/2035     Annually           15,610       15,610  

2.27%

  EUR-EuroSTR-COMPOUND   EUR      1,330,000        06/18/2035     Annually     935       10,807       9,872  

2.50%

  EUR-EuroSTR-COMPOUND   EUR      200,000        06/18/2035     Annually           (3,098     (3,098

2.31%

  EUR-EuroSTR-COMPOUND   EUR      200,000        06/18/2035     Annually           693       693  

2.44%

  EUR-EuroSTR-COMPOUND   EUR      200,000        06/18/2035     Annually           (1,982     (1,982

2.38%

  EUR-EuroSTR-COMPOUND   EUR      300,000        06/18/2035     Annually           (897     (897

GBP-SONIA-COMPOUND

  3.87%   GBP      200,000        06/18/2035     Annually           (5,905     (5,905

GBP-SONIA-COMPOUND

  3.98%   GBP      960,000        06/18/2035     Annually     1,313       (16,869     (18,182

GBP-SONIA-COMPOUND

  3.99%   GBP      1,000,000        06/18/2035     Annually     61       (16,808     (16,869

GBP-SONIA-COMPOUND

  4.10%   GBP      500,000        06/18/2035     Annually           (2,237     (2,237

GBP-SONIA-COMPOUND

  4.13%   GBP      200,000        06/18/2035     Annually           (174     (174

GBP-SONIA-COMPOUND

  4.17%   GBP      200,000        06/18/2035     Annually           568       568  

GBP-SONIA-COMPOUND

  4.25%   GBP      200,000        06/18/2035     Annually           2,325       2,325  

4.00%

  GBP-SONIA-COMPOUND   GBP      200,000        06/18/2035     Annually           2,979       2,979  

3.99%

  GBP-SONIA-COMPOUND   GBP      300,000        06/18/2035     Annually           5,026       5,026  

4.18%

  GBP-SONIA-COMPOUND   GBP      300,000        06/18/2035     Annually           (1,179     (1,179

3 Month NZD Bank Bill Rate

  4.05%   NZD      2,720,000        06/18/2035     Quarterly     (13,666     (12,471     1,195  

3 Month SEK STIBOR

  2.65%   SEK      3,000,000        06/18/2035     Quarterly     258       525       267  

3 Month SEK STIBOR

  2.66%   SEK      2,000,000        06/18/2035     Quarterly           552       552  

3 Month SEK STIBOR

  2.73%   SEK      5,000,000        06/18/2035     Quarterly           4,805       4,805  

3 Month SEK STIBOR

  2.97%   SEK      2,000,000        06/18/2035     Quarterly           6,291       6,291  

2.64%

  3 Month SEK STIBOR   SEK      4,000,000        06/18/2035     Quarterly     4,938       (294     (5,232

2.63%

  3 Month SEK STIBOR   SEK      1,000,000        06/18/2035     Quarterly     19       (9     (28

2.96%

  3 Month SEK STIBOR   SEK      2,000,000        06/18/2035     Quarterly           (6,134     (6,134

2.67%

  3 Month SEK STIBOR   SEK      6,000,000        06/18/2035     Quarterly           (2,510     (2,510

2.66%

  3 Month SEK STIBOR   SEK      2,000,000        06/18/2035     Quarterly           (625     (625


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

  Fund Receives  

Notional

Amount

     Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/

(Depreciation) ($)
 

USD-SOFR-OIS-COMPOUND

  3.76%   USD      300,000        06/18/2035     Annually           (2,280     (2,280

USD-SOFR-OIS-COMPOUND

  3.82%   USD      300,000        06/18/2035     Annually           (873     (873

3.73%

  USD-SOFR-COMPOUND   USD      500,000        06/18/2035     Annually     (1,526     5,232       6,758  

3.77%

  USD-SOFR-COMPOUND   USD      200,000        06/18/2035     Annually           1,437       1,437  

3.94%

  USD-SOFR-OIS-COMPOUND   USD      200,000        06/18/2035     Annually           (1,492     (1,492

3.89%

  USD-SOFR-OIS-COMPOUND   USD      300,000        06/18/2035     Annually           (1,019     (1,019

3.92%

  USD-SOFR-OIS-COMPOUND   USD      300,000        06/18/2035     Annually           (1,666     (1,666
             

 

 

   

 

 

   

 

 

 
              $ 4,919     $ 29,644     $ 24,725  
             

 

 

   

 

 

   

 

 

 

OTC Interest Rate Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

  Notional
Amount
    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

MYR-KLIBOR-BNM

  3.52%   BOA     MYR       2,500,000       06/18/2030     Quarterly   $ 530     $ 8,478     $ 7,948  
             

 

 

   

 

 

   

 

 

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

Affiliated company.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

AUD BBSW - Bank Bill Swap Reference Rate denominated in Australian Dollar.

BNM - Bank Negara Malaysia

BRL CDI - Brazilian Interbank Offered Rate dominated in Brazilian Real.

CDI - Certificado de Deposito Interbancario

CLICP - Chilean Interbank Rate denominated in Chilean Peso.

CNY-CNREPOFIX=CFXS - China 7 Day Interbank Repo Trading Rate denominated in Chinese Reminibi.

CORRA - Canadian Overnight Repo Rate Average

EuroSTR - Euro Short-Term Rate

FBIL - Financial Benchmarks India PVT. LTD.

HIBOR - Hong Kong Interbank Offered Rate

HKAB - Hong Kong Association of Banks

IBR - Indicador Bancario de Referencia

KLIBOR - Kuala Lumpur Interbank Offered Rate

KSDA - Korean Securities Dealers Association

MIBOR - Mumbai Interbank Offer Rate

NZD Bank Bill Rate - Bank Bill Rate denominated in New Zealand Dollar.

OIS - Overnight Indexed Swaps

PRIBOR - Prague Interbank Offered Rate

SAFEX - South African Futures Exchange

SARON - Swiss Average Rate Overnight

SEK STIBOR - Stockholm Interbank Offered Rate denominated in Swedish Krona.

SHIR - Shekel overnight interest rate

SOFR - Secured Overnight Financing Rate

SONIA - Sterling Overnight Interbank Average Rate

SORA - Singapore Overnight Rate Average

TBA - To Be Announced - Delayed Delivery Security

THOR - Thai Overnight Repurchase Rate

TIIE - The Interbank Equilibrium Interest Rate denominated in Mexican Peso

WIBOR - Warsaw Interbank Offered Rate

ZAR JIBAR - Johannesburg Interbank Average Rate denominated in South African Rand.

Counterparty Abbreviations:

BBH - Brown Brothers Harriman & Co.

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

Currency Abbreviations:

AUD - Australian Dollar

BRL - Brazilian Real

CAD - Canadian Dollar

CHF - Swiss Franc

CLP - Chilean Peso

CNY - China Yuan Renminbi

COP - Colombian Peso

CZK - Czech Republic Koruna

EUR - Euro

GBP - British Pound

HKD - Hong Kong Dollar

HUF - Hungarian Forint

IDR - Indonesian Rupiah

ILS - Israeli Shekel

INR - Indian Rupee

JPY - Japanese Yen

KRW - South Korean Won

MXN - Mexican Peso

MYR - Malaysian Ringgit

NOK - Norwegian Krone

NZD - New Zealand Dollar

PEN - Peruvian Sol

PHP - Philippines Peso

PLN - Polish Zloty

RON - Romanian New Leu

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TWD - Taiwan New Dollar

USD - United States Dollar

ZAR - South African Rand

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 97.3%  
        Asset-Backed Securities — 76.6%      
          Auto Retail Prime — 0.5%      
    6,847,000     Chase Auto Owner Trust, Series 24-4A, Class A3, 144A, 4.94%, due 07/25/29     6,891,634  
     

 

 

 
          Auto Retail Subprime — 2.7%      
        5,402,086     GM Financial Consumer Automobile Receivables Trust, Series 21-3, Class A4, 0.73%, due 08/16/27         5,365,979  
    6,000,000     GM Financial Consumer Automobile Receivables Trust, Series 24-1, Class A3, 4.85%, due 12/18/28     6,028,218  
    7,000,000     Hyundai Auto Receivables Trust, Series 24-A, Class A3, 4.99%, due 02/15/29     7,052,319  
    7,000,000     Nissan Auto Receivables Owner Trust, Series 23-B, Class A3, 5.93%, due 03/15/28     7,061,214  
    3,526,000     Volkswagen Auto Loan Enhanced Trust, Series 24-1, Class A3, 4.63%, due 07/20/29     3,552,191  
    6,030,000     World Omni Auto Receivables Trust, Series 24-C, Class A3, 4.43%, due 12/17/29     6,033,174  
     

 

 

 
    Total Auto Retail Subprime     35,093,095  
     

 

 

 
          CMBS CDO — 0.0%      
    8,586,000     ARCap Resecuritization Trust, Series 05-1A, Class B, 144A, 5.55%, due 12/21/42     8  
     

 

 

 
          Collateralized Loan Obligations — 7.1%  
    6,948,916     Anchorage Credit Funding 6 Ltd., Series 18-6A, Class A, 144A, 4.30%, due 07/25/36     6,876,627  
    9,725,000     Apex Credit CLO LLC, Series 21-2A, Class A1A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.49%, 5.76%, due 10/20/34     9,720,118  
    5,425,000     BlueMountain CLO Ltd., Series 13-2A, Class BR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.86%, 6.13%, due 10/22/30     5,430,311  
    2,760,109     Canyon Capital CLO Ltd., Series 16-1A, Class AR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.33%, 5.59%, due 07/15/31     2,761,420  
    13,452,151     Gallatin CLO VIII Ltd., Series 17-1A, Class A1R, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.35%, 5.61%, due 07/15/31     13,455,392  
    3,180,845     Man GLG U.S. CLO, Series 18-1A, Class A1R, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.40%, 5.67%, due 04/22/30     3,182,451  
    4,880,777     Marble Point CLO XIV Ltd., Series 18-2A, Class A12R, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.20%, 5.47%, due 01/20/32     4,875,501  
    2,339,416     MidOcean Credit CLO VI, Series 16-6A, Class ARRR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.23%, 5.50%, due 04/20/33     2,339,730  

    2,951,774     Mountain View CLO IX Ltd., Series 15-9A, Class A1R, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.38%, 5.64%, due 07/15/31     2,953,404  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Collateralized Loan Obligations — continued  
    4,000,000     Mountain View CLO Ltd., Series 13-1A, Class BRR , 144A, Variable Rate, 3 mo. USD Term SOFR + 1.93%, 6.17%, due 10/12/30     4,004,364  
    3,221,457     Northwoods Capital XVII Ltd., Series 18-17A, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.32%, 5.59%, due 04/22/31     3,222,436  
    1,083,456     OZLM VII Ltd., Series 14-7A, Class SUB, 144A, Variable Rate, 0.00, due 07/17/26     6,759  
    3,161,423     OZLM XVIII Ltd., Series 18-18A, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.28%, 5.54%, due 04/15/31     3,162,470  

        2,190,000     OZLM XXII Ltd., Series 18-22A, Class A2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.76%, 6.04%, due 01/17/31         2,195,433  
    6,000,000     Rockford Tower CLO Ltd., Series 18-1A, Class B, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.98%, 6.30%, due 05/20/31     6,013,824  
    106,645     Saranac CLO III Ltd., Series 14-3A, Class ALR, 144A, Variable Rate, 3 mo. USD LIBOR + 1.60%, 6.45%, due 06/22/30     106,740  
    993,523     Shackleton CLO Ltd., Series 14-5RA, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.36%, 5.66%, due 05/07/31     994,337  
    831,307     Sound Point CLO XIX Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.26%, 5.52%, due 04/15/31     831,532  
    1,159,348     Sounds Point CLO IV-R Ltd., Series 13-3RA, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.41%, 5.68%, due 04/18/31     1,159,342  
    308,367     Steele Creek CLO Ltd., Series 17-1A, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.51%, 5.77%, due 10/15/30     308,619  
    2,761,911     Steele Creek CLO Ltd., Series 16-1A, Class AR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.38%, 5.68%, due 06/15/31     2,763,093  
    2,464,003     Venture 32 CLO Ltd., Series 18-32A, Class A1, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.36%, 5.63%, due 07/18/31     2,465,267  
    1,488,636     Whitehorse XII Ltd., Series 18-12A, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.51%, 5.77%, due 10/15/31     1,489,756  
    4,967,955     Zais CLO 13 Ltd., Series 19-13A, Class A1AR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.30%, 5.56%, due 07/15/32     4,968,760  
    5,368,000     Zais CLO 16 Ltd., Series 20-16A, Class A1R2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.13%, 5.40%, due 10/20/34     5,343,774  
     

 

 

 
    Total Collateralized Loan Obligations     90,631,460  
     

 

 

 
          Commercial Mortgage-Backed Securities —23.6%  
    15,387,600     BBCMS Mortgage Trust, Series 18-TALL, Class A, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.92%, 5.25%, due 03/15/37     14,492,782  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Commercial Mortgage-Backed Securities —
continued
 
    11,037,000     BBCMS Mortgage Trust, Series 18-CHRS, Class E, 144A, Variable Rate, 4.27%, due 08/05/38     9,144,110  
    5,141,320     Bear Stearns Mortgage Funding Trust, Series 06-AR1, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.53%, 4.86%, due 07/25/36     4,763,351  
    7,760,120     Benchmark Mortgage Trust, Series 18-B8, Class A5, 4.23%, due 01/15/52     7,541,863  
    16,000,000     Benchmark Mortgage Trust, Series 19-B9, Class A5, 4.02%, due 03/15/52        15,452,002  
    6,490,722     Benchmark Mortgage Trust, Series 19-B11, Class A5, 3.54%, due 05/15/52     6,131,757  
    9,635,057     Benchmark Mortgage Trust, Series 20-B19, Class A5, 1.85%, due 09/15/53     8,243,610  
    8,167,000     Benchmark Mortgage Trust, Series 20-B20, Class A5, 2.03%, due 10/15/53     6,976,229  

    5,266,000     Benchmark Mortgage Trust, Series 21-B27, Class A5, 2.39%, due 07/15/54     4,503,850  
    9,604,000     Benchmark Mortgage Trust, Series 22-B32, Class A5, Variable Rate, 3.00%, due 01/15/55     8,356,032  
    5,295,000     Benchmark Mortgage Trust, Series 22-B33, Class A5, 3.46%, due 03/15/55     4,776,024  
    14,500,000     Benchmark Mortgage Trust, Series 22-B34, Class A5, Variable Rate, 3.79%, due 04/15/55     13,150,344  
    10,395,000     Benchmark Mortgage Trust, Series 19-B15, Class A5, 2.93%, due 12/15/72     9,489,822  
    8,000,000     BX Commercial Mortgage Trust, Series 20-VIV4, Class A, 144A, 2.84%, due 03/09/44         7,234,048  
    8,000,000     BX Commercial Mortgage Trust, Series 20-VIVA, Class D, 144A, Variable Rate, 3.55%, due 03/11/44     7,206,995  
        8,000,000     BX Trust, Series 19-OC11, Class A, 144A, 3.20%, due 12/09/41     7,400,594  
    4,895,000     BX Trust, Series 19-OC11, Class C, 144A, 3.86%, due 12/09/41     4,559,983  
    4,570,000     BX Trust, Series 19-OC11, Class D, 144A, Variable Rate, 3.94%, due 12/09/41     4,229,068  
    9,000,000     BX Trust, Series 19-OC11, Class E, 144A, Variable Rate, 3.94%, due 12/09/41     8,163,454  
    15,516,000     COMM Mortgage Trust, Series 24-277P, Class A, 144A, 6.34%, due 08/10/44     16,149,852  
    3,031,837     COMM Mortgage Trust, Series 15-PC1, Class B, Variable Rate, 4.34%, due 07/10/50     2,943,914  
    26,327,712     COMM Mortgage Trust, Series 18-COR3, Class A3, 4.23%, due 05/10/51     25,593,348  
    8,625,000     Grace Trust, Series 20-GRCE, Class A, 144A, 2.35%, due 12/10/40     7,475,481  
    13,916,000     Houston Galleria Mall Trust, Series 25-HGLR, Class A, 144A, Variable Rate, 5.46%, due 02/05/45     14,051,432  
    11,393,000     JP Morgan Chase Commercial Mortgage Securities Trust, Series 24-OMNI, Class A, 144A, Variable Rate, 5.80%, due 10/05/39     11,525,362  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Commercial Mortgage-Backed Securities —
continued
 
    14,600,000     MKT Mortgage Trust, Series 20-525M, Class A, 144A, 2.69%, due 02/12/40     12,774,852  
    9,011,741     OBX Trust, Series 25-NQM7, Class A1, 144A, Step Up, 5.56%, due 05/25/55     9,041,784  
    8,235,000     OBX Trust, Series 25-NQM8, Class A1, 144A, Step Up, 5.47%, due 03/25/65     8,239,374  
    7,775,000     ROCK Trust, Series 24-CNTR, Class A, 144A, 5.39%, due 11/13/41     7,873,117  
        4,000,000     ROCK Trust, Series 24-CNTR, Class E, 144A, 8.82%, due 11/13/41         4,178,255  
    1,440,342     Velocity Commercial Capital Loan Trust, Series 22-1, Class A, 144A, Variable Rate,
3.38%, due 02/25/52
    1,275,332  

    4,550,000     WaMu Commercial Mortgage Securities Trust, Series 06-SL1, Class E, 144A, Variable Rate, 6.12%, due 11/23/43     4,515,069  
    11,594,960     WaMu Commercial Mortgage Securities Trust, Series 07-SL3, Class J, 144A, Variable Rate, 6.88%, due 03/23/45     10,179,508  
    2,285,000     Wells Fargo Commercial Mortgage Trust, Series 19-C51, Class A4, 3.31%, due 06/15/52     2,125,045  
    2,510,238     WFRBS Commercial Mortgage Trust, Series 14-C21, Class B, Variable Rate,
4.21%, due 08/15/47
    2,431,166  
    9,814,966     WFRBS Commercial Mortgage Trust, Series 14-C21, Class C, Variable Rate,
4.23%, due 08/15/47
    9,305,569  
     

 

 

 
    Total Commercial Mortgage-Backed Securities     301,494,378  
     

 

 

 
          Credit Cards — 1.1%      
    13,695,000     American Express Credit Account Master Trust, Series 24-3, Class A, 4.65%, due 07/15/29     13,803,696  
     

 

 

 
          Residential Mortgage-Backed Securities — Other
— 9.9%
 
    742,816     ACE Securities Corp. Home Equity Loan Trust, Series 06-ASL1, Class A, Variable Rate, 1 mo. USD Term SOFR + 0.39%,
4.72%, due 02/25/36
    58,971  
    2,145,176     ACE Securities Corp. Home Equity Loan Trust, Series 05-SD3, Class M2, Variable Rate, 1 mo. USD Term SOFR + 2.36%,
6.69%, due 08/25/45
    1,914,796  
    17,663,707     American Home Mortgage Investment Trust, Series 06-2, Class 4A, Variable Rate, 1 mo. USD Term SOFR + 0.47%,
4.80%, due 02/25/36
    566,652  
    2,526,363     AMSR Trust, Series 20-SFR5, Class A, 144A, 1.38%, due 11/17/37     2,487,846  
    9,002,555     Angel Oak Mortgage Trust, Series 25-5, Class A1, 144A, Step Up, 5.57%, due 04/25/70     8,991,596  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Residential Mortgage-Backed Securities — Other
— continued
 

    13,743,281     BankAmerica Manufactured Housing Contract Trust, Series 98-1, Class B2, Variable Rate, 8.00%, due 08/10/25     1,479,779  
    2,401,230     BCMSC Trust, Series 99-A, Class M1, Variable Rate, 6.79%, due 03/15/29         2,366,808  
        8,834,023     BCMSC Trust, Series 99-B, Class A4, Variable Rate, 7.30%, due 12/17/29     641,779  
    2,928,137     BCMSC Trust, Series 00-A, Class A4, Variable Rate, 8.29%, due 06/15/30     230,503  
    82,351     Bear Stearns Mortgage Funding Trust, Series 07-SL2, Class 1A, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.76%, due 02/25/37     99,253  
    1,221,880     Conseco Finance Corp., Series 97-6, Class M1, Variable Rate, 7.21%, due 01/15/29     1,241,897  
    1,098,524     Conseco Finance Corp., Series 98-6, Class M1, Variable Rate, 6.63%, due 06/01/30     1,110,615  
    4,689,174     Conseco Finance Securitizations Corp., Series 02-2, Class M2, Variable Rate, 9.16%, due 03/01/33     4,703,407  
    5,110,325     Conseco Finance Securitizations Corp., Series 01-3, Class M1, Variable Rate, 7.15%, due 05/01/33     5,270,383  
    4,068,617     Conseco Finance Securitizations Corp., Series 02-1, Class M2, Variable Rate, 9.55%, due 12/01/33     3,959,881  
    620,852     CoreVest American Finance Ltd., Series 21-1, Class A, 144A, 1.57%, due 04/15/53     603,531  
    6,335,054     FirstKey Homes Trust, Series 21-SFR3, Class A, 144A, 2.14%, due 12/17/38     6,098,675  
    2,372,266     GMACM Home Equity Loan Trust, Series 04-HE3, Class A3, FSA, Variable Rate, 1 mo. USD Term SOFR + 0.61%,
4.94%, due 10/25/34
    2,327,792  
    1,222,171     GMACM Home Equity Loan Trust, Series 07-HE3, Class 2A1, Variable Rate, 7.00%, due 09/25/37     1,202,554  
    4,328,989     Home Equity Loan Trust, Series 05-HS1, Class AI4, Step Up, 5.34%, due 09/25/35     53,804  
    7,743,207     Home Loan Trust, Series 06-HI4, Class A4, Step Up, 6.22%, due 09/25/36     1,603,846  
    8,525,345     Home Loan Trust, Series 07-HI1, Class A4, Step Up, 6.43%, due 03/25/37     966,025  
    8,485,464     Invitation Homes Trust, Series 24-SFR1, Class A, 144A, 4.00%, due 09/17/41     8,209,402  
    3,325,064     Lehman ABS Manufactured Housing Contract Trust, Series 01-B, Class M2, Variable Rate, 7.17%, due 04/15/40     3,125,395  
    3,504,129     MASTR Second Lien Trust, Series 06-1, Class A, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.76%, due 03/25/36     205,900  
    97,029     Mellon Re-REMICS Pass-Through Trust, Series 04-TBC1, Class A, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.36%,
4.69%, due 02/26/34
    89,630  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Residential Mortgage-Backed Securities — Other
— continued
 
    784,814     New Century Home Equity Loan Trust, Series 03-B, Class M1, Variable Rate, 1 mo. USD Term SOFR + 1.09%, 5.41%, due 10/25/33     779,595  

       13,486,319     New Century Home Equity Loan Trust, Series 06-S1, Class A2A, Variable Rate, 1 mo. USD Term SOFR + 0.31%, 4.64%, due 03/25/36     302,067  
    7,692,873     New Century Home Equity Loan Trust, Series 06-S1, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.45%, 4.78%, due 03/25/36     172,218  
    20,510,046     New Century Home Equity Loan Trust, Series 06-S1, Class A2B, Variable Rate, 1 mo. USD Term SOFR + 0.51%, 4.84%, due 03/25/36     459,041  
    10,725     Nomura Asset Acceptance Corp. Alternative Loan Trust, Series 05-S3, Class M1, Variable Rate, 1 mo. USD Term SOFR + 1.01%, 5.34%, due 08/25/35 (a)     244,966  
    1,495,187     Oakwood Mortgage Investors, Inc., Series 01-E, Class A2, 5.05%, due 11/15/19         1,402,475  
    702,216     Oakwood Mortgage Investors, Inc., Series 98-A, Class B1, Variable Rate, 7.50%, due 05/15/28     697,329  
    2,403,604     Oakwood Mortgage Investors, Inc., Series 98-D, Class M1, 144A, 7.42%, due 01/15/29     2,381,685  
    5,977,797     Oakwood Mortgage Investors, Inc., Series 99-E, Class A1, Variable Rate, 7.61%, due 03/15/30     2,639,056  
    11,752,084     Oakwood Mortgage Investors, Inc., Series 00-D, Class A4, Variable Rate, 7.40%, due 07/15/30     1,676,047  
    3,897,835     Oakwood Mortgage Investors, Inc., Series 01-B, Class M1, 144A, Variable Rate, 7.92%, due 03/15/31     3,805,765  
    2,546,879     Oakwood Mortgage Investors, Inc., Series 01-D, Class A4, Variable Rate, 6.93%, due 09/15/31     1,085,004  
    308,812     Oakwood Mortgage Investors, Inc., Series 01-E, Class A3, 5.69%, due 12/15/31     294,701  
    2,070,520     Oakwood Mortgage Investors, Inc., Series 02-C, Class M1, Variable Rate, 6.89%, due 11/15/32     2,014,475  
    1,323,019     Progress Residential Trust, Series 21-SFR10, Class A, 144A, 2.39%, due 12/17/40     1,226,629  
    9,307,941     Tricon American Homes, Series 20-SFR1, Class A, 144A, 1.50%, due 07/17/38     9,051,429  
    11,117,952     Tricon American Homes Trust, Series 19-SFR1, Class A, 144A, 2.75%, due 03/17/38     10,931,970  
    5,424,483     Tricon American Homes Trust, Series 20-SFR2, Class A, 144A, 1.48%, due 11/17/39     5,041,548  
    9,973,083     Tricon Residential Trust, Series 24-SFR4, Class A, 144A, 4.30%, due 11/17/41     9,730,184  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Residential Mortgage-Backed Securities — Other
— continued
 
    1,666,428     UCFC Manufactured Housing Contract, Series 98-2, Class M1, 6.73%, due 10/15/29     1,598,700  
    4,761,669     Verus Securitization Trust, Series 22-5, Class A1, 144A, Step Up, 3.80%, due 04/25/67     4,590,867  

    6,632,616     Verus Securitization Trust, Series 25-3, Class A1, 144A, Step Up, 5.62%, due 05/25/70     6,650,156  
     

 

 

 
    Total Residential Mortgage-Backed
Securities — Other
      126,386,627  
     

 

 

 
          Residential Mortgage-Backed Securities —
Performing Loans — 1.4%
 
        2,087,450     Ajax Mortgage Loan Trust, Series 21-A, Class A1, 144A, Variable Rate, 1.07%, due 09/25/65     1,842,070  
    3,657,718     COLT Trust, Series 21-RPL1, Class A1, 144A, Variable Rate, 1.67%, due 09/25/61     3,324,487  
    3,926,901     CSMC Trust, Series 21-RPL2, Class A1A, 144A, Variable Rate, 1.11%, due 01/25/60     3,287,528  
    5,875,548     CSMC Trust, Series 22-NQM1, Class A1, 144A, Variable Rate, 2.27%, due 11/25/66     5,247,149  
    4,165,408     Verus Securitization Trust, Series 21-8, Class A1, 144A, Variable Rate, 1.82%, due 11/25/66     3,774,882  
     

 

 

 
    Total Residential Mortgage-Backed
Securities — Performing Loans
    17,476,116  
     

 

 

 
          Residential Mortgage-Backed Securities — Prime
— 2.5%
 
    7,533,425     American Home Mortgage Assets Trust, Series 06-4, Class 1A12, Variable Rate, 1 mo. USD Term SOFR + 0.32%, 4.65%, due 10/25/46     3,790,514  
    357,842     Bear Stearns ARM Trust, Series 05-9, Class A1, Variable Rate, 1 yr. CMT + 2.30%, 7.08%, due 10/25/35     337,442  
    3,673,411     CSMC Mortgage-Backed Trust, Series 07-4, Class 2A1, 6.00%, due 06/25/37     1,948,916  
    1,049,710     IndyMac INDA Mortgage Loan Trust, Series 06-AR3, Class 1A1, Variable Rate, 4.34%, due 12/25/36     809,039  
    791,289     IndyMac INDA Mortgage Loan Trust, Series 07-AR1, Class 1A1, Variable Rate, 4.12%, due 03/25/37     608,159  
    6,592,382     IndyMac INDX Mortgage Loan Trust, Series 06-AR2, Class 1A1A, Variable Rate, 1 mo. USD Term SOFR + 0.55%, 4.88%, due 04/25/46     5,931,246  
    1,601,962     Morgan Stanley Mortgage Loan Trust, Series 06-2, Class 6A, 6.50%, due 02/25/36     661,917  
    50,789,310     RFMSI Trust, Series 05-SA4, Class 2A2, Variable Rate, 6.23%, due 09/25/35 (a)      
    3,887,206     Structured Adjustable Rate Mortgage Loan Trust, Series 05-9, Class 2A2A, Variable Rate, 1 yr. MTA + 1.40%, 5.90%, due 05/25/35     3,134,811  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Residential Mortgage-Backed Securities — Prime
— continued
 

        2,975,092     Structured Asset Mortgage Investments II Trust, Series 07-AR1, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.76%, due 01/25/37         2,646,044  
    608,552     WaMu Mortgage Pass-Through Certificates Trust, Series 05-AR10, Class 1A3, Variable Rate, 5.15%, due 09/25/35     563,081  
    784,851     WaMu Mortgage Pass-Through Certificates Trust, Series 06-AR19, Class 2A, Variable Rate, 1 yr. MTA + 1.25%, 5.75%, due 01/25/47     717,610  
    1,625,254     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 05-4, Class CB3, Variable Rate, 1 mo. USD Term SOFR + 0.56%, 4.89%, due 06/25/35     1,401,015  
    1,717,401     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 05-10, Class 4CB3, Variable Rate, 1 mo. USD Term SOFR + 0.71%, 5.04%, due 12/25/35     1,501,826  
    3,903,432     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 06-8, Class A5, Step Up, 4.12%, due 10/25/36     1,304,705  
    7,730,501     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 07-5, Class A6, 6.00%, due 06/25/37     7,039,801  
     

 

 

 
    Total Residential Mortgage-Backed
Securities — Prime
    32,396,126  
     

 

 

 
          Residential Mortgage-Backed Securities —
Subprime — 1.8%
 
    760,922     ABFC Trust, Series 05-AQ1, Class A5, Step Up, 4.17%, due 06/25/35     742,863  
    625,894     BCAP LLC Trust, Series 14-RR2, Class 11A3, 144A, Variable Rate, 1.86%, due 05/26/37     611,831  
    15,401,699     Bravo Mortgage Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.71%, 5.04%, due 07/25/36     13,764,586  
    347,165     Carrington Mortgage Loan Trust, Series 07-RFC1, Class A3, Variable Rate, 1 mo. USD Term SOFR + 0.25%, 4.58%, due 12/25/36     341,318  
    722,066     CHL Mortgage Pass-Through Trust, Series 04-HYB6, Class A2, Variable Rate, 5.93%, due 11/20/34     691,843  
    1,953,637     First Franklin Mortgage Loan Trust, Series 06-FF12, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.22%, 4.54%, due 09/25/36     1,845,921  
    1,888,130     Home Equity Asset Trust, Series 06-2, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.68%, 5.01%, due 05/25/36     1,916,840  
    715,686     Lehman XS Trust, Series 07-15N, Class 2A1, Variable Rate, 1 mo. USD Term SOFR + 0.61%, 4.94%, due 08/25/37     698,936  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Residential Mortgage-Backed Securities —
Subprime — continued
 

    2,427,239     Residential Asset Mortgage Products Trust, Series 05-RS1, Class MII2, Variable Rate, 1 mo. USD Term SOFR + 0.91%, 5.64%, due 01/25/35     2,326,947  
     

 

 

 
    Total Residential Mortgage-Backed
Securities — Subprime
       22,941,085  
     

 

 

 
          Residential Mortgage-Backed Securities — Alt-A —
3.4%
 
    1,389,403     Bear Stearns ALT-A Trust, Series 04-11, Class 1M1, Variable Rate, 1 mo. USD Term SOFR + 1.01%, 5.34%, due 11/25/34     1,384,754  
        1,667,422     Bear Stearns ALT-A Trust, Series 07-1, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.76%, due 01/25/47     1,408,626  
    1,478,464     Bear Stearns Asset-Backed Securities I Trust, Series 04-AC5, Class A1, Step Up, 5.75%, due 10/25/34     1,395,394  
    3,281,602     Citigroup Mortgage Loan Trust, Inc., Series 06-AR5, Class 2A2A, Variable Rate, 5.05%, due 07/25/36     1,819,235  
    131,259     Countrywide Alternative Loan Trust, Series 04-J11, Class 1CB1, 5.50%, due 11/25/34     130,734  
    2,075,727     Countrywide Alternative Loan Trust, Series 05-18CB, Class A8, 5.50%, due 05/25/35     2,041,697  
    1,476,523     Countrywide Alternative Loan Trust, Series 06-7CB, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.81%, 5.14%, due 05/25/36     608,586  
    1,543,830     Countrywide Alternative Loan Trust, Series 06-28CB, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.81%, 5.14%, due 10/25/36     603,280  
    2,179,455     Deutsche Alt-A Securities, Inc. Mortgage Loan Trust, Series 06-AF1, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.71%, 5.04%, due 04/25/36     2,002,383  
    7,884,838     Deutsche Alt-A Securities, Inc. Mortgage Loan Trust, Series 07-AR2, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.41%, 4.74%, due 03/25/37     7,298,289  
    4,160,832     Fieldstone Mortgage Investment Trust, Series 04-4, Class M4, Variable Rate, 1 mo. USD Term SOFR + 2.66%, 6.99%, due 10/25/35     2,644,487  
    10,359,112     GSAA Home Equity Trust, Series 06-9, Class A3, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.76%, due 06/25/36     1,929,753  
    10,369,694     GSR Mortgage Loan Trust, Series 07-OA2, Class 1A1, Variable Rate, 3.38%, due 06/25/47     6,036,938  
    5,619,992     HarborView Mortgage Loan Trust, Series 07-4, Class 2A1, Variable Rate, 1 mo. USD Term SOFR + 0.55%, 4.66%, due 07/19/47     5,334,891  
    30,888     JP Morgan Resecuritization Trust, Series 09-10, Class 7A1, 144A, Variable Rate, 6.05%, due 02/26/37     30,650  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Residential Mortgage-Backed Securities — Alt-A —
continued
 
    1,064,931     Merrill Lynch First Franklin Mortgage Loan Trust, Series 07-H1, Class 2A1, Variable Rate, 1 mo. USD Term SOFR + 3.11%, 7.44%, due 10/25/37     1,029,573  
    2,491,262     Residential Asset Securitization Trust, Series 25-A8CB, Class A6, 5.00%, due 07/25/35     1,292,862  
       15,301,341     Residential Asset Securitization Trust, Series 06-A7CB, Class 3A1, 6.50%, due 07/25/36     3,723,239  
    7,729,816     Terwin Mortgage Trust, Series 06-7, Class 2A3, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.65%, 4.98%, due 08/25/37     3,348,493  
     

 

 

 
    Total Residential Mortgage-Backed
Securities — Alt-A
       44,063,864  
     

 

 

 
          Small Balance Commercial Mortgages — 5.1%  
    2,112,276     Bayview Commercial Asset Trust, Series 05-2A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.58%, 4.90%, due 08/25/35     2,049,766  
    1,048,341     Bayview Commercial Asset Trust, Series 05-4A, Class A2, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.70%, 5.02%, due 01/25/36     986,374  
    1,367,208     Bayview Commercial Asset Trust, Series 06-1A, Class A2, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.65%, 4.98%, due 04/25/36     1,273,992  
    549,587     Bayview Commercial Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.68%, 5.01%, due 04/25/36     508,469  
    764,557     Bayview Commercial Asset Trust, Series 06-2A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.46%, 4.78%, due 07/25/36     730,175  
    1,563,912     Bayview Commercial Asset Trust, Series 06-2A, Class A2, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.53%, 4.86%, due 07/25/36     1,497,400  
    3,728,375     Bayview Commercial Asset Trust, Series 06-3A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.49%, 4.81%, due 10/25/36     3,560,488  
    6,013,043     Bayview Commercial Asset Trust, Series 06-SP2, Class A, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.53%, 4.86%, due 01/25/37     5,655,729  
    1,021,085     Bayview Commercial Asset Trust, Series 07-1, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.44%, 4.77%, due 03/25/37     964,690  
    1,720,257     Bayview Commercial Asset Trust, Series 07-3, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.47%, 4.80%, due 07/25/37     1,625,965  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Small Balance Commercial Mortgages — continued  
    4,975,959     Bayview Commercial Asset Trust, Series 07-2A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.52%, 4.84%, due 07/25/37     4,569,563  
    6,759,568     Bayview Commercial Asset Trust, Series 07-4A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.79%, 5.11%, due 09/25/37         6,309,327  

    963,824     Bayview Commercial Asset Trust, Series 08-1, Class A4, 144A, Variable Rate, 1 mo. USD Term SOFR + 2.36%, 6.69%, due 01/25/38     939,339  
       80,665,890     FRESB Mortgage Trust, Series 20-SB76, Class X1, IO, Variable Rate, 0.51%, due 05/25/30     2,952,436  
    99,871,750     FRESB Mortgage Trust, Series 19-SB63, Class X1, Variable Rate, 1.26%, due 04/25/39     3,770,898  
    37,878,627     FRESB Mortgage Trust, Series 20-SB74, Class X1, Variable Rate, 0.00, due 03/25/40     1,365,089  
    139,853,097     FRESB Mortgage Trust, Series 20-SB77, Class X1, IO, Variable Rate, 0.90%, due 06/25/40     4,417,484  
    1,295,000     Harvest Commercial Capital Loan Trust, Series 19-1, Class M4, 144A, Variable Rate, 4.64%, due 09/25/46     1,206,130  
    3,500,000     Harvest Commercial Capital Loan Trust, Series 19-1, Class M5, 144A, Variable Rate, 5.73%, due 09/25/46     3,252,837  
    3,230,000     Harvest Commercial Capital Loan Trust, Series 20-1, Class M4, 144A, Variable Rate, 5.96%, due 04/25/52     3,184,512  
    1,955,372     Harvest Commercial Capital Loan Trust, Series 24-1, Class A, 6.16%, due 10/25/56     2,008,407  
    2,258,633     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-1A, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.61%, 4.94%, due 03/25/37     2,081,318  
    141,438     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-2A, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.51%, 4.84%, due 06/25/37     141,333  
    5,099,339     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-3A, Class M1, 144A, Variable Rate, 5.55%, due 10/25/37     5,018,362  
    4,651,553     Velocity Commercial Capital Loan Trust, Series 21-4, Class A, 144A, Variable Rate, 2.52%, due 12/26/51     4,118,767  
    1,339,357     Velocity Commercial Capital Loan Trust, Series 21-4, Class M3, 144A, Variable Rate, 3.81%, due 12/26/51     1,150,153  
     

 

 

 
    Total Small Balance Commercial Mortgages     65,339,003  
     

 

 

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Student Loans — Federal Family Education Loan
Program — 4.7%
 
        8,236,209     AccessLex Institute, Series 04-2, Class A4, Variable Rate, 90 day USD SOFR Average + 0.60%, 4.96%, due 04/26/32         8,095,787  
    3,326,313     AccessLex Institute, Series 04-2, Class B, Variable Rate, 90 day USD SOFR Average + 0.96%, 5.32%, due 01/25/43     3,038,940  
    10,384,152     SLC Student Loan Trust, Series 08-2, Class A4, Variable Rate, 90 day USD SOFR Average + 1.16%, 5.54%, due 06/15/40     10,282,666  
    8,441,207     SLM Student Loan Trust, Series 08-4, Class A4, Variable Rate, 90 day USD SOFR Average + 1.91%, 6.27%, due 07/25/22     8,460,790  
    16,685,383     SLM Student Loan Trust, Series 08-6, Class A4, Variable Rate, 90 day USD SOFR Average + 1.36%, 5.72%, due 07/25/23     16,483,984  
    9,136,470     SLM Student Loan Trust, Series 08-5, Class A4, Variable Rate, 90 day USD SOFR Average + 1.96%, 6.32%, due 07/25/23     9,172,846  
    4,480,411     SLM Student Loan Trust, Series 07-7, Class A4, Variable Rate, 90 day USD SOFR Average + 0.59%, 4.95%, due 01/25/49     4,391,453  
     

 

 

 
    Total Student Loans - Federal Family Education Loan Program     59,926,466  
     

 

 

 
          Student Loans - Private — 12.8%      
    733,807     Access Group, Inc., Series 05-A, Class B, Variable Rate, 3 mo. USD Term SOFR + 1.06%, 5.34%, due 07/25/34     728,887  
    10,096,072     ECMC Group Student Loan Trust, Series 24-1A, Class A, 144A, Variable Rate, 30 day USD SOFR Average + 1.15%, 5.47%, due 11/27/73     10,112,384  
    5,334,522     KeyCorp Student Loan Trust, Series 05-A, Class 2C, Variable Rate, 3 mo. USD Term SOFR + 1.56%, 5.86%, due 12/27/38     5,225,192  
    4,183,460     KeyCorp Student Loan Trust, Series 04-A, Class 2D, Variable Rate, 3 mo. USD LIBOR + 1.25%, 6.10%, due 07/28/42     4,010,081  
    8,758,011     National Collegiate Commutation Trust, Series 07-3, Class A3R4, 144A, Variable Rate, 7-DayAuct + 0.00%, 8.64%, due 03/31/38 (a)     1,291,807  
    7,625,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R7, Variable Rate, 28 day ARS + 0.00%, 8.07%, due 03/25/38 (a)     1,124,687  
    1,406,082     National Collegiate Student Loan Trust, Series 06-4, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.42%, 4.75%, due 05/25/32     1,392,983  
    3,354,540     National Collegiate Student Loan Trust, Series 07-2, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.40%, 4.73%, due 01/25/33     3,245,429  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Student Loans — Private — continued  
    4,048,921     National Collegiate Student Loan Trust, Series 06-1, Class A5, Variable Rate, 1 mo. USD Term SOFR + 0.46%, 4.79%, due 03/25/33     3,977,639  

        1,293,450     National Collegiate Student Loan Trust, Series 05-2, Class A51, Variable Rate, 1 mo. USD Term SOFR + 0.48%, 4.81%, due 06/25/33     1,272,270  
    9,272,132     National Collegiate Student Loan Trust, Series 07-1, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.42%, 4.74%, due 10/25/33         9,067,220  
    185,048     National Collegiate Student Loan Trust, Series 04-2, Class B, Variable Rate, 1 mo. USD Term SOFR + 0.65%, 4.98%, due 12/26/33     184,784  
    24,944     National Collegiate Student Loan Trust, Series 07-3, Class A3A4, Variable Rate, 7.94%, due 03/25/38 (b)     19,442  
    75,000     National Collegiate Student Loan Trust, Series 07-4, Class A3A7, Variable Rate, 7.95%, due 03/25/38 (b)     58,230  
    3,872,322     Navient Private Education Refi Loan Trust, Series 22-A, Class A, 144A, 2.23%, due 07/15/70     3,464,128  
    1,366,361     Navient Student Loan Trust, Series 23-BA, Class A1B, 144A, Variable Rate, 30 day USD SOFR Average + 1.70%, 6.03%, due 03/15/72     1,377,838  
    2,364,599     Nelnet Student Loan Trust, Series 21-A, Class APT1, 144A, 1.36%, due 04/20/62     2,202,977  
    3,567,356     Nelnet Student Loan Trust, Series 21-DA, Class AFL, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.80%, 5.13%, due 04/20/62     3,497,666  
    1,939,289     SLM Private Credit Student Loan Trust, Series 03-A, Class C, Variable Rate, 3 mo. USD Term SOFR + 1.86%, 6.16%, due 06/15/32     818,306  
    1,989,000     SLM Private Credit Student Loan Trust, Series 03-A, Class A3, Variable Rate,
8.30%, due 06/15/32 (b)
    1,984,027  
    5,400,350     SLM Private Credit Student Loan Trust, Series 03-C, Class C, Variable Rate, 3 mo. USD Term SOFR + 1.86%, 6.16%, due 09/15/32     1,478,455  
    950,000     SLM Private Credit Student Loan Trust, Series 03-C, Class A3, Variable Rate,
8.07%, due 09/15/32 (b)
    947,625  
    3,291,308     SLM Private Credit Student Loan Trust, Series 04-A, Class A3, Variable Rate, 3 mo. USD Term SOFR + 0.66%, 4.96%, due 06/15/33     3,278,855  
    6,248,590     SLM Private Credit Student Loan Trust, Series 04-B, Class A4, Variable Rate, 3 mo. USD Term SOFR + 0.69%, 4.99%, due 09/15/33     6,166,742  
    13,668,521     SLM Private Credit Student Loan Trust, Series 05-A, Class A4, Variable Rate, 3 mo. USD Term SOFR + 0.57%, 4.87%, due 12/15/38     13,423,232  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Student Loans — Private — continued  
       15,441,449     SLM Private Credit Student Loan Trust, Series 06-A, Class A5, Variable Rate, 3 mo. USD Term SOFR + 0.55%, 4.85%, due 06/15/39        15,030,847  

    9,997,560     SLM Private Credit Student Loan Trust, Series 05-B, Class A4, Variable Rate, 3 mo. USD Term SOFR + 0.59%, 4.89%, due 06/15/39     9,755,442  
    1,459,639     SLM Private Credit Student Loan Trust, Series 06-BW, Class A5, Variable Rate, 3 mo. USD Term SOFR + 0.46%, 4.76%, due 12/15/39     1,418,316  
    7,421,380     SLM Private Credit Student Loan Trust, Series 06-B, Class A5, Variable Rate, 3 mo. USD Term SOFR + 0.53%, 4.83%, due 12/15/39     7,242,868  
    2,672,291     SLM Private Credit Student Loan Trust, Series 06-C, Class C, Variable Rate, 3 mo. USD Term SOFR + 0.65%, 4.95%, due 12/15/39     2,509,825  
    10,328,590     SLM Private Credit Student Loan Trust, Series 07-A, Class A4A, Variable Rate, 3 mo. USD Term SOFR + 0.50%, 4.80%, due 12/16/41     10,096,531  
    2,275,725     SLM Private Education Loan Trust, Series 10-C, Class A5, 144A, Variable Rate, 1 mo. USD Term SOFR + 4.86%, 9.19%, due 10/15/41     2,385,226  
    6,705,619     SLM Student Loan Trust, Series 08-2, Class A3, Variable Rate, 90 day USD SOFR Average + 1.01%, 5.37%, due 04/25/23     6,699,222  
    3,029,053     SMB Private Education Loan Trust, Series 15-B, Class B, 144A, 3.50%, due 12/17/40     3,007,269  
    3,193,192     SMB Private Education Loan Trust, Series 21-A, Class B, 144A, 2.31%, due 01/15/53     3,089,937  
    1,000     SMB Private Education Loan Trust, Series 23-B, Class R, 144A, 0.00, due 10/16/56 (b)     559,524  
    574,422     South Carolina Student Loan Corp., Series 15-A, Class A, Variable Rate, 1 mo. USD Term SOFR + 1.61%, 5.94%, due 01/25/36     574,648  
    4,206,225     Towd Point Asset Trust, Series 18-SL1, Class B, 144A, Variable Rate, 1 mo. USD Term SOFR + 1.16%, 5.49%, due 01/25/46     4,192,431  
    17,741,000     Towd Point Asset Trust, Series 21-SL1, Class C, 144A, Variable Rate, 1 mo. USD Term SOFR + 1.51%, 5.84%, due 11/20/61     16,840,009  
     

 

 

 
    Total Student Loans — Private     163,752,981  
     

 

 

 
    Total Asset-Backed Securities     980,196,539  
     

 

 

 
          U.S. Government — 15.7%      
    45,000,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.25%, 4.55%, due 01/31/26     45,062,235  
    52,000,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.15%, 4.45%, due 04/30/26 (c)     52,038,544  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value† /

Shares

    Description   Value ($)  
          U.S. Government — continued      
      103,900,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.18%, 4.48%, due 07/31/26 (c)     104,037,661  
     

 

 

 
    Total U.S. Government       201,138,440  
     

 

 

 
          U.S. Government Agency — 5.0%      

    13,800,000     Uniform Mortgage-Backed Security, TBA, 5.50%, due 07/01/40     13,980,795  
    22,575,000     Uniform Mortgage-Backed Security, TBA, 5.50%, due 07/01/54     22,326,970  
    26,425,000     Uniform Mortgage-Backed Security, TBA, 6.00%, due 07/01/54     26,649,915  
     

 

 

 
    Total U.S. Government Agency     62,957,680  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(COST $1,321,300,978)

    1,244,292,659  
     

 

 

 
          INVESTMENT FUNDS — 0.9%      
          United States — 0.9%      
    2,323,242     GMO U.S. Treasury Fund, Class VI (d)     11,639,444  
     

 

 

 
   

TOTAL INVESTMENT FUNDS

(COST $11,703,541)

       11,639,444  
     

 

 

 
Shares /
Par Value†
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 4.2%  
          Money Market Funds — 0.3%      
    3,526,298     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (e)     3,526,298  
     

 

 

 
          Repurchase Agreements — 3.9%      
    50,045,415     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/30/25 maturing on 06/02/25 with a maturity value of $50,063,390 and an effective yield of 4.31%, collateralized by a U.S. Treasury Note with maturity date 06/30/29 and a market value of $51,190,700.     50,045,415  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $53,571,713)
    53,571,713  
     

 

 

 
 

 

PURCHASED OPTIONS — 0.0%

 

Description   Exercise
Price
  Expiration
Date
    Number of
Contracts
    Notional
Amount
  Value
($)
 
Equity Options — Puts — 0.0%          

3-Month SOFR

  95.62     12/12/25       649     USD 1,622,500     32,450  
         

 

 

 

 

Description   Counterparty  

Exercise

Rate

   

Expiration

Date

   

Principal/

Notional

Amount

   

Floating

Rate Index

   

Pay/Receive

Floating Rate

  Value ($)  

Options on Credit Default Swaps — Puts — 0.0%

             

CDX.NA.HY.S44

  GS     1.04     07/16/25       USD 11,940,000       Fixed Spread     Pay     51,589  

CDX.NA.HY.S44

  JPM     1.05     07/16/25       USD 11,940,000       Fixed Spread     Pay     62,282  
             

 

 

 
  Total Options on Credit Default Swaps — Puts

 

      113,871  
             

 

 

 
  TOTAL PURCHASED OPTIONS
(COST $418,194)

 

      146,321  
             

 

 

 
  TOTAL INVESTMENTS — 102.4%
(Cost $1,386,994,426)

 

       1,309,650,137  
             

 

 

 

 

    

Shares

    Description   Value ($)  
    SECURITIES SOLD SHORT — (2.3)%

 

          DEBT OBLIGATIONS — (2.3)%  
          U.S. Government Agency — (2.3)%  

    (10,500,000   Uniform Mortgage-Backed Security, TBA, 6.00%, due 07/01/54     (10,591,011

 

 

   


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

    

Shares

    Description   Value ($)  
    U.S. Government Agency — continued

 

    (20,000,000   Uniform Mortgage-Backed Security, TBA, 2.50%, due 07/01/39     (18,482,096
     

 

 

 
    Total U.S. Government Agency     (29,073,107
     

 

 

 

    TOTAL DEBT OBLIGATIONS
(PROCEEDS $28,987,754)
    (29,073,107
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $28,987,754)
    (29,073,107
     

 

 

 
    Other Assets and Liabilities (net) — (0.1)%     (1,032,447
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,279,544,583  
     

 

 

 

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

 

 

Forward Currency Contracts

 

Settlement

Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation) ($)
 
07/30/2025   CITI   EUR     396,000       USD       455,868       4,550  
07/30/2025   JPM   EUR     1,708,000       USD       1,951,570       4,976  
07/30/2025   MSCI   EUR     4,987,000       USD       5,695,808       12,164  
07/30/2025   BLCY   USD     322,613       EUR       286,000       3,338  
07/30/2025   CITI   USD     935,684       EUR       826,000       5,702  
07/30/2025   CITI   EUR     311,000       USD       351,093       (3,352

 

Settlement

Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation) ($)
 
07/30/2025   MSCI   EUR     462,000       USD       523,546       (2,991
07/30/2025   CITI   USD     96,070       EUR       84,000       (336
07/30/2025   MSCI   USD     75,387       EUR       66,000       (167
           

 

 

 
            $ 23,884  
           

 

 

 
 

 

Futures Contracts

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
503   U.S. Treasury Note 10 Yr. (CBT)     September 2025       55,707,250       248,428  
799   U.S. Treasury Note 2 Yr. (CBT)     September 2025       165,742,563       210,859  
345   U.S. Treasury Ultra 10 Yr. (CBT)     September 2025       38,828,672       121,495  
     

 

 

   

 

 

 
      $ 260,278,485     $ 580,782  
     

 

 

   

 

 

 
Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
519   U.S. Treasury Note 5 Yr. (CBT)     September 2025       56,149,313       (182,772
2   U.S. Ultra Bond (CBT)     September 2025       232,125       (1,534
     

 

 

   

 

 

 
      $ 56,381,438     $ (184,306
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

 

Written Options

 

Description

    

Counterparty

     Exercise
Rate
   Expiration
Date
       Principal/
Notional
Amount
    Floating
Rate Index
       Pay/Receive
Floating Rate
     Value ($)  

Written Options on Credit Default Swaps — Puts

 

CDX.NA.IG.S43

     GS      0.70%      06/18/25          USD          (32,755,000     Fixed Spread        Pay        (4,293

iTraxx Europe Senior Financials S43

     JPM      0.80%      06/18/25          EUR          (52,212,000     Fixed Spread        Pay        (13,763

CDX.NA.HY.S44

     JPM      0.99%      07/16/25          USD          (11,940,000     Fixed Spread        Pay        (16,400

CDX.NA.HY.S44

     JPM      1.00%      07/16/25          USD          (11,940,000     Fixed Spread        Pay        (19,251


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Written Options — continued

 

Description

    

Counterparty

     Exercise
Rate
   Expiration
Date
       Principal/
Notional
Amount
    Floating
Rate Index
       Pay/Receive
Floating Rate
     Value ($)  

iTraxx Europe Senior Financials S43

     JPM      0.85%      08/20/25          EUR          (52,212,000     Fixed Spread        Pay        (71,655
                                  

 

 

 
                    Total Written Options On Credit Default Swaps — Puts        (125,362
                                  

 

 

 
                   
TOTAL WRITTEN OPTIONS
(Premiums $382,010)
     $ (125,362
                                  

 

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional

Amount

 

Annual

Premium

  Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under  the
Contract (2)
  Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized

Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

ITRAXX.XO.42

  EUR   21,747,193   5.00%     2.87%     N/A     12/20/2029       Quarterly       (1,932,704     (2,090,867     (158,163

ITRAXX.EUR.42

  EUR   47,150,000   1.00%     0.54%     N/A     12/20/2029       Quarterly       (881,120     (1,070,141     (189,021

CDX.NA.IG.44

  USD   132,730,000   1.00%     0.56%     N/A     06/20/2030       Quarterly       (2,380,912     (2,658,847     (277,935

ITRAXX.FINSR.43

  EUR   104,425,000   1.00%     0.62%     N/A     06/20/2030       Quarterly       (1,740,770     (2,159,741     (418,971
               

 

 

   

 

 

   

 

 

 
                $ (6,935,506   $ (7,979,596   $ (1,044,090
 

 

 

   

 

 

   

 

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counter-
party

 

Notional

Amount

    Annual
Premium
  Implied
Credit
Spread (1)
  Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
  Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CMBX.NA.A.7

  CGMI   USD     333,817     2.00%   285.18%   N/A     01/17/2047     Monthly     20,964       72,772       51,808  

CMBX.NA.A.7

  CGMI   USD     2,350,825     2.00%   285.18%   N/A     01/17/2047     Monthly     139,580       512,480       372,900  

CMBX.NA.A.7

  GS   USD     667,634     2.00%   285.18%   N/A     01/17/2047     Monthly     36,757       145,544       108,787  

CMBX.NA.AS.7

  BOA   USD     286,936     1.00%   2.77%   N/A     01/17/2047     Monthly     3,016       365       (2,651

CMBX.NA.AS.7

  DB   USD     484,574     1.00%   2.77%   N/A     01/17/2047     Monthly     (7,637     616       8,253  

CMBX.NA.AS.7

  DB   USD     1,062,254     1.00%   2.77%   N/A     01/17/2047     Monthly     12,570       1,351       (11,219

CMBX.NA.AS.7

  GS   USD     280,248     1.00%   2.77%   N/A     01/17/2047     Monthly     7,185       356       (6,829

CMBX.NA.AS.7

  MORD   USD     845,202     1.00%   2.77%   N/A     01/17/2047     Monthly     13,107       1,075       (12,032

CMBX.NA.AA.11

  CGMI   USD     4,000,000     1.50%   1.84%   N/A     11/18/2054     Monthly     (6,041     29,916       35,957  

CMBX.NA.AA.11

  CGMI   USD     4,626,000     1.50%   1.84%   N/A     11/18/2054     Monthly     (63,740     34,598       98,338  

CMBX.NA.AA.11

  MORD   USD     4,624,500     1.50%   1.84%   N/A     11/18/2054     Monthly     (67,279     34,587       101,866  

CMBX.NA.AA.11

  MORD   USD     4,624,500     1.50%   1.84%   N/A     11/18/2054     Monthly     (61,371     34,587       95,958  

CMBX.NA.BBB-.11

  CGMI   USD     5,215,000     3.00%   9.34%   N/A     11/18/2054     Monthly     798,547       681,427       (117,120

CMBX.NA.BBB-.11

  CGMI   USD     5,752,000     3.00%   9.34%   N/A     11/18/2054     Monthly     1,213,313       751,595       (461,718

CMBX.NA.BBB-.11

  GS   USD     9,940,000     3.00%   9.34%   N/A     11/18/2054     Monthly     1,289,094       1,298,827       9,733  

CMBX.NA.A.8

  CGMI   USD     2,928,959     2.00%   96.16%   N/A     10/17/2057     Monthly     153,770       185,744       31,974  

CMBX.NA.A.8

  GS   USD     1,071,413     2.00%   96.16%   N/A     10/17/2057     Monthly     18,096       67,945       49,849  

CMBX.NA.A.8

  MORD   USD     1,171,583     2.00%   96.16%   N/A     10/17/2057     Monthly     62,973       74,298       11,325  


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts — continued

OTC Credit Default Swaps — continued

 

Reference Entity

 

Counter-
party

 

Notional

Amount

    Annual
Premium
  Implied
Credit
Spread (1)
  Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
  Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

CMBX.NA.BBB-.18

  GS   USD     8,160,000     3.00%   5.26%   N/A     12/17/2057     Monthly     633,175       645,685       12,510  

CMBX.NA.BBB-.9

  MORD   USD     3,790,000     3.00%   65.37%   N/A     09/17/2058     Monthly     433,106       686,938       253,832  

CMBX.NA.AA.12

  GS   USD     6,974,000     1.50%   1.9%   N/A     08/17/2061     Monthly     (61,732     81,545       143,277  

CMBX.NA.AA.6

  GS   USD     499,335     1.50%   189.4%   N/A     05/11/2063     Monthly     3,703       59,445       55,742  

CMBX.NA.BBB-.6

  CGMI   USD     1,680,865     3.00%   18.03%   N/A     05/11/2063     Monthly     533,815       149,232       (384,583

CMBX.NA.BBB-.6

  GS   USD     1,604,570     3.00%   18.03%   N/A     05/11/2063     Monthly     226,646       142,459       (84,187

CMBX.NA.A.15

  CGMI   USD     5,000,000     2.00%   3.18%   N/A     11/18/2064     Monthly     600,000       289,829       (310,171

CMBX.NA.A.15

  MORD   USD     3,000,000     2.00%   3.18%   N/A     11/18/2064     Monthly     287,104       173,897       (113,207

CMBX.NA.A.15

  MSCI   USD     4,560,000     2.00%   3.18%   N/A     11/18/2064     Monthly     275,394       264,324       (11,070

CMBX.NA.BBB-.15

  CGMI   USD     5,000,000     3.00%   6.78%   N/A     11/18/2064     Monthly     796,875       843,750       46,875  

CMBX.NA.BBB-.15

  GS   USD     5,000,000     3.00%   6.78%   N/A     11/18/2064     Monthly     787,500       843,750       56,250  

CMBX.NA.BBB-.15

  MSCI   USD     5,000,000     3.00%   6.78%   N/A     11/18/2064     Monthly     718,500       843,750       125,250  

CMBX.NA.A.14

  GS   USD     2,682,000     2.00%   3.57%   N/A     12/16/2072     Monthly     349,769       178,272       (171,497

CMBX.NA.AA.13

  CGMI   USD     2,000,000     1.50%   2.02%   N/A     12/16/2072     Monthly     147,237       39,302       (107,935

CMBX.NA.AA.13

  CGMI   USD     3,000,000     1.50%   2.02%   N/A     12/16/2072     Monthly     138,948       58,954       (79,994

CMBX.NA.BBB-.14

  CGMI   USD     3,933,500     3.00%   7.98%   N/A     12/16/2072     Monthly     1,111,214       748,349       (362,865

CMBX.NA.BBB-.14

  GS   USD     1,360,000     3.00%   7.98%   N/A     12/16/2072     Monthly     340,000       258,740       (81,260

Sell Protection^:

 

CDX.NA.HY.43

  GS   USD     3,060,000     5.00%   1.66%   3,060,000 USD     12/20/2029     Quarterly     288,677       425,559       136,882  

CDX.NA.HY.43

  GS   USD     3,060,000     5.00%   3.94%   3,060,000 USD     12/20/2029     Quarterly     (161,755     131,279       293,034  

ITRAXX.EUR.42

  BOA   EUR     78,580,000     1.00%   0.25%   78,580,000 EUR     12/20/2029     Quarterly     2,735,206       2,920,897       185,691  

ITRAXX.XO.42

  CITI   EUR     16,100,000     5.00%   0.59%   16,100,000 EUR     12/20/2029     Quarterly     3,122,806       3,336,111       213,305  

ITRAXX.XO.42

  JPM   EUR     31,770,774     5.00%   0.59%   31,770,774 EUR     12/20/2029     Quarterly     6,728,486       6,583,281       (145,205

CMBX.NA.AA.7

  CGMI   USD     809,116     1.50%   193.59%   809,116 USD     01/17/2047     Monthly     (20,228     (101,167     (80,939

CMBX.NA.AAA.10

  GS   USD     7,540,000     0.50%   0.25%   7,540,000 USD     11/17/2059     Monthly     68,960       23,645       (45,315

CMBX.NA.AAA.15

  CGMI   USD     10,000,000     0.50%   0.62%   10,000,000 USD     11/18/2064     Monthly     (373,108     (62,242     310,866  

CMBX.NA.AAA.15

  GS   USD     2,825,000     0.50%   0.62%   2,825,000 USD     11/18/2064     Monthly     (43,465     (17,584     25,881  

CMBX.NA.AAA.15

  MSCI   USD     9,120,000     0.50%   0.62%   9,120,000 USD     11/18/2064     Monthly     (131,742     (56,765     74,977  
                 

 

 

   

 

 

   

 

 

 
                  $ 23,097,995     $ 23,419,318     $ 321,323  
 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

(1)

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

 

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps

 

Fund Pays

  

Fund Receives

   Notional Amount      Expiration
Date
  

Periodic
Payment
Frequency

   Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

3.81%

   USD - SOFR - COMPOUND      USD 26,000,000      08/31/2029    Annually      (8,601     (251,782     (243,181
              

 

 

   

 

 

   

 

 

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

Investment valued using significant unobservable inputs.

 

(c)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(d)

Affiliated company.

 

(e)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

CDO - Collateralized Debt Obligation

CLO - Collateralized Loan Obligation

CMBS - Commercial Mortgage Backed Security

CMT - Constant Maturity Treasury

FSA - Insured as to the payment of principal and interest by Financial Security Assurance.

IO - Interest Only

LIBOR - London Interbank Offered Rate

MTA - Monthly Treasury Average Index

SOFR - Secured Overnight Financing Rate

STEP - Coupon increases periodically based upon a predetermined schedule. Stated interest rate in effect at May 31, 2025.

TBA - To Be Announced - Delayed Delivery Security

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

Counterparty Abbreviations:

BOA - Bank of America, N.A.

CGMI - Citigroup Global Markets Inc.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

EUR - Euro

USD - United States Dollar

 


GMO U.S. Treasury Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares / Par
Value†
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 99.7%

 

          Money Market Funds — 0.1%      

    132,554     State Street Institutional Treasury Plus Money Market Fund – Premier Class, 4.22% (a)     132,554  
     

 

 

 
          Repurchase Agreements — 18.0%      
    17,900,919     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/30/25 maturing on 06/02/25 with a maturity value of $17,907,035 and an effective yield of 4.10%, collateralized by a U.S. Treasury Note with maturity date 09/15/27 and a market value of $18,267,302.     17,900,919  
     40,076,610     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/30/25 maturing on 06/02/25 with a maturity value of $40,091,004 and an effective yield of 4.31%, collateralized by a U.S. Treasury Note with maturity date 06/30/29 and a market value of $40,993,760.        40,076,610  
     

 

 

 
    Total Repurchase Agreements     57,977,529  
     

 

 

 
          U.S. Government — 81.6%      
    14,390,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.25%, 4.55%, due 01/31/26     14,409,901  
    23,820,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.18%, 4.48%, due 07/31/26     23,851,560  
    37,220,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.21%, 4.51%, due 10/31/26     37,274,832  
    36,953,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 4.46%, due 04/30/27     36,974,241  
    5,555,625     U.S. Treasury Inflation-Indexed Bonds, 2.00%, due 01/15/26     5,576,717  
    6,296,380     U.S. Treasury Inflation-Indexed Notes, 0.38%, due 07/15/25     6,292,612  
    6,319,079     U.S. Treasury Inflation-Indexed Notes, 0.13%, due 10/15/25     6,302,625  
    2,841,295     U.S. Treasury Inflation-Indexed Notes, 0.13%, due 04/15/26     2,811,128  
    2,828,419     U.S. Treasury Inflation-Indexed Notes, 0.13%, due 07/15/26     2,804,256  
    12,050,000     U.S. Treasury Notes, 5.00%, due 10/31/25     12,078,430  
    17,240,000     U.S. Treasury Notes, 4.25%, due 12/31/25     17,236,128  
    17,239,000     U.S. Treasury Notes, 4.38%, due 07/31/26     17,287,485  
    17,448,000     U.S. Treasury Notes, 3.75%, due 08/31/26     17,377,118  
    17,253,000     U.S. Treasury Notes, 4.63%, due 09/15/26     17,372,288  
    15,100,000     U.S. Treasury Notes, 4.25%, due 11/30/26     15,151,317  
    15,150,000     U.S. Treasury Notes, 4.25%, due 12/31/26     15,207,404  
    

Par Value†

    Description   Value ($)  
          U.S. Government — continued      
       15,230,000     U.S. Treasury Notes, 4.13%, due 01/31/27     15,264,505  
     

 

 

 
    Total U.S. Government     263,272,547  
     

 

 

 

    TOTAL SHORT-TERM INVESTMENTS
(COST $321,179,006)
    321,382,630  
     

 

 

 
    TOTAL INVESTMENTS — 99.7%
(Cost $321,179,006)
    321,382,630  
     

 

 

 
    Other Assets and Liabilities (net) — 0.3%     1,098,962  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $322,481,592  
     

 

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

 


Organization

Each of Asset Allocation Bond Fund, Emerging Country Debt Fund, High Yield Fund, Multi-Sector Fixed Income Fund, Opportunistic Income Fund and U.S. Treasury Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO.

Many of the Funds may invest without limitation in other GMO Funds (“underlying funds”). In particular, pursuant to an exemptive order granted by the Securities and Exchange Commission (“SEC”), some of the Funds may invest in Emerging Country Debt Fund, Opportunistic Income Fund and U.S. Treasury Fund. The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Portfolio valuation

Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the closing price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are valued at the price generally determined by an industry standard model. Unlisted non-fixed income securities for which market quotations are readily available are generally valued at the most recent quoted price. Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, prices will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect changes in valuation through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below).

 

   


“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.

In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2025, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include certain U.S. government agency securities, mortgage-backed securities, asset-backed securities, certain sovereign debt obligations, and corporate bonds valued using vendor prices or broker quotes; cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain debt obligations, such as collateralized loan obligations, that have yet to begin trading that are valued at cost; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, certain debt securities (such as asset-backed, mortgage-backed, loans and sovereign debt) and derivatives even though they may be valued using broker quotes; certain debt securities and derivatives adjusted by a specified discount for liquidity or other considerations; certain sovereign debt securities valued using comparable securities issued by the sovereign adjusted by a specified spread; securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; certain loan assignments valued using a vendor price of a comparable loan; certain investment funds whose valuations are based on monthly net asset value statements; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price and potential litigation recoveries and interests related to bankruptcy proceedings.

 

   


The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2025:

 

         
Description   Level 1     Level 2     Level 3     Total  
Asset Allocation Bond Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

U.S. Government

  $ 6,919,155     $     $     $ 6,919,155  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    6,919,155                   6,919,155  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    2,360,345       28,999,360          —       31,359,705  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    9,279,500       28,999,360             38,278,860  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Interest Rate Risk

    284,155                   284,155  

Swap Contracts

         

Credit Risk

          389,997             389,997  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 9,563,655     $ 29,389,357     $     $ 38,953,012  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Emerging Country Debt Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

Asset-Backed Securities

  $     $ 5,431,694     $     $ 5,431,694  

Corporate Debt

          169,744,686       13,937,984       183,682,670  

Sovereign and Sovereign Agency Issuers

          1,832,165,638       124,815,775       1,956,981,413  

U.S. Government

    46,726,544                   46,726,544  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    46,726,544       2,007,342,018       138,753,759       2,192,822,321  
   

 

 

   

 

 

   

 

 

   

 

 

 

Loan Assignments

                24,703,420       24,703,420  

Loan Participations

                4,438,320       4,438,320  

Investment Funds

                13,426,857       13,426,857  

Rights/Warrants

          31,469,762       186,903       31,656,665  

Short-Term Investments

    2,050,209       50,780,497             52,830,706  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    48,776,753       2,089,592,277       181,509,259       2,319,878,289  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          772,003             772,003  

Swap Contracts

         

Credit Risk

          6,208,568             6,208,568  

Interest Rate Risk

          7,350,546             7,350,546  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 48,776,753     $ 2,103,923,394     $ 181,509,259     $ 2,334,209,406  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Debt Obligations

         

Sovereign and Sovereign Agency Issuers

  $     $ (21,456,824   $     $ (21,456,824
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (21,456,824           (21,456,824
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (5,485,046           (5,485,046

Swap Contracts

         

Credit Risk

          (806,165           (806,165

Interest Rate Risk

          (4,125,393           (4,125,393
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (31,873,428   $     $ (31,873,428
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
High Yield Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

Corporate Debt

  $     $ 27,182,155     $     $ 27,182,155  

U.S. Government

    65,440,879                   65,440,879  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    65,440,879       27,182,155             92,623,034  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    3,135,020       40,535,366             43,670,386  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    68,575,899       67,717,521             136,293,420  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

 

   


         
Description   Level 1     Level 2     Level 3     Total  
High Yield Fund (continued)                        
Asset Valuation Inputs (continued)                        

Derivatives^

         

Futures Contracts

         

Interest Rate Risk

  $ 49,221     $     $     $ 49,221  

Swap Contracts

         

Credit Risk

          1,810,646          —       1,810,646  

Interest Rate Risk

          1,460,414             1,460,414  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 68,625,120     $ 70,988,581     $     $ 139,613,701  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (319,809   $     $ (319,809
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (319,809   $     $ (319,809
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Multi-Sector Fixed Income Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

Corporate Debt

  $     $ 18,072,819     $     $ 18,072,819  

U.S. Government

    17,862,171                   17,862,171  

U.S. Government Agency

          16,574,510             16,574,510  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    17,862,171       34,647,329             52,509,500  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

    18,672,273                   18,672,273  

Short-Term Investments

    1,719,517       23,999,400             25,718,917  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    38,253,961       58,646,729             96,900,690  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          269,860             269,860  

Futures Contracts

         

Interest Rate Risk

    91,529                   91,529  

Swap Contracts

         

Interest Rate Risk

          364,894             364,894  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 38,345,490     $ 59,281,483     $     $ 97,626,973  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (158,197   $     $ (158,197

Swap Contracts

         

Interest Rate Risk

          (326,772           (326,772
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (484,969   $     $ (484,969
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Opportunistic Income Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

Asset-Backed Securities

  $     $ 973,966,231     $ 6,230,308     $ 980,196,539  

U.S. Government

    201,138,440                   201,138,440  

U.S. Government Agency

          62,957,680             62,957,680  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    201,138,440       1,036,923,911       6,230,308       1,244,292,659  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

    11,639,444                   11,639,444  

Short-Term Investments

    3,526,298       50,045,415             53,571,713  

Purchased Options

    32,450       113,871             146,321  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    216,336,632       1,087,083,197       6,230,308       1,309,650,137  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

 

   


         
Description   Level 1     Level 2     Level 3     Total  
Opportunistic Income Fund (continued)                        
Asset Valuation Inputs (continued)                        

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ 30,730     $    —     $ 30,730  

Futures Contracts

         

Interest Rate Risk

    580,782                   580,782  

Swap Contracts

         

Credit Risk

          23,657,076             23,657,076  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 216,917,414     $ 1,110,771,003     $ 6,230,308     $ 1,333,918,725  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Debt Obligations

         

U.S. Government Agency

  $     $ (29,073,107   $     $ (29,073,107
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (29,073,107           (29,073,107
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (6,846           (6,846

Futures Contracts

         

Interest Rate Risk

    (184,306                 (184,306

Written Options

         

Credit Risk

          (125,362           (125,362

Swap Contracts

         

Credit Risk

          (8,217,354           (8,217,354

Interest Rate Risk

          (251,782           (251,782
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (184,306   $ (37,674,451   $     $ (37,858,757
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
U.S. Treasury Fund                        
Asset Valuation Inputs                        

Short-Term Investments

  $ 239,617,763     $ 81,764,867     $     $ 321,382,630  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    239,617,763       81,764,867             321,382,630  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 239,617,763     $ 81,764,867     $     $ 321,382,630  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for bond forward contracts and forward currency contracts which are based on unrealized appreciation/(depreciation). Excludes purchased options, if any, which are included in investments.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ financial statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

As of May 31, 2025, under U.S. GAAP the following Funds require additional disclosures about fair value measurements for Level 3 securities and derivatives, if any (determined by each category of asset or liability as compared to a Fund’s total net assets). Level 3 holdings include investments valued using unadjusted prices supplied by a third-party pricing source (e.g., broker quotes, vendor). Emerging Country Debt Fund’s Level 3 holdings also include the Republic of Albania Par Bond, due 8/31/25, which is valued by applying a 140 basis point spread to the yield of the U.S. Treasury Strip Principal, due 8/15/25, Enel Generacion Chile SA, 8.13%, due 02/01/97 which is valued based on the average of a selection of comparable bonds and applying a 270 basis point discount for liquidity considerations and an investment fund valued based on a monthly net asset value statement.

 

   


The following is a reconciliation of securities and derivatives, if any, for Funds in which significant unobservable inputs (Level 3) were used in determining value:

 

                     
    

Balances

as of

February 28,

2025

    Purchases     Sales    

Accrued

Discounts/

Premiums

   

Total

Realized

Gain/

(Loss)

   

Change in

Unrealized

Appreciation

(Depreciation)

   

Transfer

into

Level 3

   

Transfer

out of

Level 3

   

Balances

as of

May 31,

2025

   

Net Change in

Unrealized

Appreciation

(Depreciation)

from

Investments

Still Held as
of May 31,
2025

 
Emerging Country Debt Fund                                      
Debt Obligations

 

             

Corporate Debt

  $ 14,400,563     $     $     $ (458   $     $ (462,121   $     $     $ 13,937,984     $ (462,121

Sovereign and Sovereign Agency Issuers

    118,110,776                   695,271             6,009,728                   124,815,775       6,009,728  

Investment Funds

    13,164,429                               262,428                   13,426,857       262,428  

Loan Assignments

    25,781,502             (3,286,952     21,939       349,414       1,837,517                   24,703,420       2,253,035  

Loan Participations

    4,496,624                   15,164             (73,468                 4,438,320       (73,468

Rights/Warrants

    200,239                               (13,336                 186,903       (13,336
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    176,154,133             (3,286,952     731,916       349,414       7,560,748                   181,509,259       7,976,266  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 176,154,133     $     $ (3,286,952 )#    $ 731,916     $ 349,414     $ 7,560,748     $     $     $ 181,509,259     $ 7,976,266  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                               

 

  #

Includes $3,286,952 of proceeds received from partial calls and/or principal paydowns as applicable.

The following table summarizes the quantitative inputs used in the valuation of investments classified within Level 3 of the fair value hierarchy for the period ended May 31, 2025.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type  

Total Fair

Value ($)

   

Valuation

Methodology

  Unobservable Inputs  

Range (Weighted

Average)

Emerging Country Debt Fund                    

Corporate Debt

    13,937,984     Fair Value   Discount for lack of liquidity/marketability   2.70% (N/A)

Sovereign and Sovereign Agency Issuers

    40,437,554     Fair Value   Discount for lack of liquidity/marketability   1.40% - 1.60% (1.42%)

Sovereign and Sovereign Agency Issuers

    22,635     Fair Value   Discount for lack of liquidity/marketability   99% (N/A)

Loan Assignments

    10,694,237     Fair Value   Vendor price of comparable loan   N/A

Loan Participations

    347,735     Fair Value   Discount for lack of liquidity/marketability   5.00% (N/A)

Warrants

    186,903     Fair Value   Discount for lack of liquidity/marketability   50% (N/A)

Investment Funds

    13,426,857     Fair Value   Net asset value statement   (N/A)

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of May 31, 2025, the value of these securities and/or derivatives for Emerging Country Debt Fund was $102,455,354. The inputs for these investments are not readily available or cannot be reasonably estimated.

 

   


Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2025 is set forth below:

 

                 
Affiliate   Value,
beginning of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Distributions
of Realized
Gains*
    Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Emerging Country Debt Fund  

Bona Fide Investment Holdings II LLC

  $ 13,164,429     $     $     $     $     $     $ 262,428     $ 13,426,857  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Multi-Sector Fixed Income Fund  

GMO Emerging Country Debt Fund, Class VI

  $ 4,020,885     $     $     $     $     $     $ (7,845   $ 4,013,040  

GMO Opportunistic Income Fund, Class VI

    14,731,536                   247,634                   (72,303     14,659,233  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 18,752,421     $     $     $ 247,634     $     $     $ (80,148   $ 18,672,273  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Opportunistic Income Fund  

GMO U.S. Treasury Fund, Class VI

  $ 11,639,444     $     $     $ 130,068     $     $     $     $ 11,639,444  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2025 through May 31, 2025. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2026.

***

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.

 

   


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
    COMMON STOCKS — 140.3%

 

          Australia — 1.2%  
    15,819     Aristocrat Leisure Ltd. (a)     635,647  
    94,855     BHP Group Ltd. (a)     2,330,112  

   

       114,821     BlueScope Steel Ltd. (a)       1,685,448  
    129,652     Brambles Ltd. (a)     1,939,368  
    74,971     Fortescue Ltd. (a)     745,871  
    188,957     Stockland – (REIT) (a)     665,476  
     

 

 

 
    Total Australia     8,001,922  
     

 

 

 
          Austria — 0.2%      
    8,943     Erste Group Bank AG (a)     720,175  
    13,335     OMV AG (a)     713,270  
     

 

 

 
    Total Austria     1,433,445  
     

 

 

 
          Belgium — 0.5%      
    44,855     Ageas SA (a)     2,928,974  
    2,019     KBC Group NV (a)     199,605  
     

 

 

 
    Total Belgium     3,128,579  
     

 

 

 
          Canada — 6.7%      
    9,800     Alimentation Couche-Tard, Inc. (a)     508,085  
    22,300     Canadian Tire Corp. Ltd. – Class A (a)     2,833,750  
    13,200     CCL Industries, Inc. – Class B (a)     769,772  
    1,200     Empire Co. Ltd. – Class A (a)     46,318  
    1,400     George Weston Ltd. (a)     281,867  
    4,800     iA Financial Corp., Inc. (a)     488,692  
    24,700     IGM Financial, Inc. (a)     788,507  
    1,300     Imperial Oil Ltd. (a)     92,814  
    324,804     MAG Silver Corp. (a)     6,093,323  
    56,583     Magna International, Inc. (b) (c)     2,052,831  
    6,300     Magna International, Inc. (a) (b)     228,707  
    53,527     Manulife Financial Corp. (a) (b)     1,704,300  
    14,100     Manulife Financial Corp. (a) (b)     448,989  
    33,804     Nutrien Ltd. (a) (b)     1,995,450  
    2,500     Nutrien Ltd. (a) (b)     147,703  
    9,800     Onex Corp. (a)     727,457  
    64,467     Open Text Corp. (a) (b)     1,825,061  
    19,900     Open Text Corp. (a) (b)     563,496  
    579,829     Parkland Corp. (a)     16,367,964  
    57,600     Power Corp. of Canada (a)     2,229,122  
    61,900     Quebecor, Inc. – Class B     1,741,508  
    13,200     TFI International, Inc. (a) (b) (d)     1,135,596  
    2,300     TFI International, Inc. (a) (b)     198,584  
    14,700     West Fraser Timber Co. Ltd. (a) (b)     1,082,938  
    8,494     West Fraser Timber Co. Ltd. (a) (b)     624,988  
     

 

 

 
    Total Canada     44,977,822  
     

 

 

 
          China — 0.9%      
    695,000     AviChina Industry & Technology Co. Ltd. – Class H     349,627  
    308,000     Bank of Communications Co. Ltd. – Class H     268,851  
    136,000     Beijing Enterprises Holdings Ltd.     569,836  

Shares

    Description   Value ($)  
          China — continued      
    410,000     China Communications Services Corp. Ltd. – Class H     235,508  
    2,406,000     China Construction Bank Corp. – Class H     2,151,148  

   

       332,000     China National Building Material Co. Ltd. – Class H        147,696  
    1,137,000     China Railway Group Ltd. – Class H     511,340  
    87,000     China Resources Pharmaceutical Group Ltd.     57,057  
    308,000     China Zhongwang Holdings Ltd. * (e)      
    918,000     CITIC Ltd.     1,154,539  
    15,500     Orient Overseas International Ltd. (a)     266,452  
     

 

 

 
    Total China     5,712,054  
     

 

 

 
          Denmark — 1.5%      
    732     AP Moller - Maersk AS – Class A (a)     1,307,419  
    996     AP Moller - Maersk AS – Class B (a)     1,804,398  
    41,472     Danske Bank AS (a)     1,589,194  
    13,616     Genmab AS * (a)     2,872,426  
    16,835     Novo Nordisk AS – Class B (a)     1,196,090  
    33,410     Rockwool AS – B Shares (a)     1,585,380  
     

 

 

 
    Total Denmark     10,354,907  
     

 

 

 
          Finland — 0.4%      
    534,736     Nokia OYJ (a)     2,782,926  
     

 

 

 
          France — 2.9%      
    901     Amundi SA (a)     73,560  
    70,873     ArcelorMittal SA     2,148,712  
    5,292     BioMerieux (a)     709,634  
    6,461     Cie de Saint-Gobain SA (a)     727,404  
    7,792     Cie Generale des Etablissements Michelin SCA (a)     298,114  
    41,049     Dassault Systemes SE (a)     1,539,274  
    6,649     Ipsen SA *     782,853  
    5,888     Legrand SA (a)     715,133  
    3,516     LVMH Moet Hennessy Louis Vuitton SE (a)     1,907,102  
    37,439     Renault SA (a)     1,924,911  
    12,178     Safran SA (a)     3,601,727  
    20,664     Societe Generale SA (a)     1,122,007  
    7,686     Sodexo SA (a)     530,812  
    27,626     STMicroelectronics NV     693,542  
    65,170     STMicroelectronics NV – NY Shares     1,629,902  
    6,598     Teleperformance SE (a)     666,873  
    9,991     TotalEnergies SE (a)     588,152  
     

 

 

 
    Total France     19,659,712  
     

 

 

 
          Germany — 5.8%      
    49,126     Bayer AG (Registered) (a)     1,383,070  
    18,478     Bayerische Motoren Werke AG (a)     1,639,387  
    22,119     Continental AG (a)     1,939,867  
    301,390     Covestro AG *     20,709,951  
    12,398     Daimler Truck Holding AG (a)     538,487  
    15,835     Deutsche Post AG (a)     710,562  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          Germany — continued      

   

       131,781     E.ON SE (a)       2,309,606  
    3,438     Heidelberg Materials AG (a)     673,887  
    5,158     Henkel AG & Co. KGaA (a)     378,726  
    6,146     Knorr-Bremse AG (a)     621,885  
    38,062     Mercedes-Benz Group AG (a)     2,276,020  
    55     Rational AG (a)     45,223  
    13,730     SAP SE (a)     4,153,600  
    5,660     Scout24 SE (a)     771,200  
    2,431     Siemens AG (Registered) (a)     584,712  
    18,210     Zalando SE * (a)     650,637  
     

 

 

 
    Total Germany     39,386,820  
     

 

 

 
          Greece — 0.0%      
    24,819     Eurobank Ergasias Services & Holdings SA     76,444  
     

 

 

 
          Hong Kong — 2.8%      
    161,500     CK Asset Holdings Ltd. (a)     667,115  
    9,771,230     ESR Group Ltd.     15,984,148  
    166,000     HKT Trust & HKT Ltd. – Class SS (a)     239,087  
    254,000     SITC International Holdings Co. Ltd.     810,513  
    7,000     Sun Hung Kai Properties Ltd. (a)     75,192  
    57,500     Techtronic Industries Co. Ltd. (a)     640,453  
    755,000     WH Group Ltd.     694,417  
     

 

 

 
    Total Hong Kong     19,110,925  
     

 

 

 
          Ireland — 0.1%      
    7,869     Kingspan Group PLC     675,865  
     

 

 

 
          Israel — 1.2%      
    84,900     Bank Hapoalim BM     1,424,314  
    186,325     Bank Leumi Le-Israel BM     3,006,968  
    2,734     Check Point Software Technologies Ltd. *     625,758  
    38,023     ICL Group Ltd.     250,983  
    39,317     Israel Discount Bank Ltd. – Class A     334,838  
    9,302     Nice Ltd. Sponsored ADR* (a)     1,543,481  
    4,015     Nice Ltd. *     680,011  
     

 

 

 
    Total Israel     7,866,353  
     

 

 

 
          Italy — 1.1%      
    20,936     Enel SpA (a)     192,444  
    12,735     Leonardo SpA (a)     787,783  
    10,188     Prysmian SpA (a)     655,211  
    11,600     Recordati Industria Chimica e Farmaceutica SpA (a)     696,127  
    202,739     Stellantis NV (a)     2,066,614  
    4,062,724     Telecom Italia SpA * (a)     1,738,006  
    37,012     Tenaris SA (a)     619,858  
    12,589     Tenaris SA ADR (a)     421,102  
     

 

 

 
    Total Italy     7,177,145  
     

 

 

 

Shares

    Description   Value ($)  
          Japan — 7.7%      

   

         7,800     Amano Corp.        229,939  
    3,500     Capcom Co. Ltd. (a)     103,833  
    13,600     Credit Saison Co. Ltd. (a)     370,064  
    600     Dai Nippon Printing Co. Ltd. (a)     8,848  
    5,900     Daito Trust Construction Co. Ltd. (a)     664,599  
    13,100     Daiwa House Industry Co. Ltd. (a)     441,679  
    13,800     Daiwabo Holdings Co. Ltd.     232,484  
    15,100     Denka Co. Ltd. (a)     214,944  
    10,400     EXEO Group, Inc.     132,549  
    2,100     Fast Retailing Co. Ltd. (a)     699,488  
    16,300     Fuji Corp.     260,918  
    15,800     Fuji Electric Co. Ltd. (a)     697,915  
    10,000     FUJIFILM Holdings Corp. (a)     225,727  
    28,100     H.U. Group Holdings, Inc.     603,304  
    2,500     Hikari Tsushin, Inc. (a)     680,532  
    25,900     Hitachi Ltd. (a)     721,582  
    214,100     Honda Motor Co. Ltd. (a)     2,174,912  
    143,900     Inpex Corp. (a)     1,924,197  
    71,100     Isuzu Motors Ltd. (a)     961,048  
    10,500     ITOCHU Corp. (a)     557,300  
    20,900     Kanematsu Corp.     395,138  
    153,000     Kawasaki Kisen Kaisha Ltd. (a)     2,300,894  
    13,300     Kirin Holdings Co. Ltd.     190,805  
    4,800     Konami Group Corp. (a)     651,563  
    11,900     Kubota Corp. (a)     136,514  
    2,500     Kyowa Kirin Co. Ltd.     40,858  
    5,200     Kyudenko Corp.     191,073  
    7,400     Macnica Holdings, Inc.     97,815  
    19,800     Makita Corp. (a)     606,618  
    8,400     Maruichi Steel Tube Ltd. (a)     201,788  
    11,500     Maxell Ltd.     143,390  
    56,700     Mitsubishi Electric Corp. (a)     1,131,561  
    56,100     Mitsui OSK Lines Ltd. (a)     1,988,852  
    16,600     Mizuno Corp.     316,404  
    10,100     Morinaga & Co. Ltd.     167,188  
    36,500     NEC Corp. (a)     952,772  
    11,600     NH Foods Ltd.     407,870  
    40,300     Nippon Telegraph & Telephone Corp. (a)     44,870  
    61,100     Nippon Yusen KK (a)     2,227,873  
    733,700     Nissan Motor Co. Ltd. * (a)     1,861,244  
    36,400     Nitto Denko Corp. (a)     662,126  
    123,400     Nomura Holdings, Inc. (a)     754,081  
    114,600     Ono Pharmaceutical Co. Ltd.     1,247,796  
    11,600     Otsuka Holdings Co. Ltd. (a)     589,744  
    250,500     Panasonic Holdings Corp. (a)     2,871,096  
    51,500     Penta-Ocean Construction Co. Ltd.     311,686  
    10,200     Recruit Holdings Co. Ltd. (a)     607,514  
    15,600     Renesas Electronics Corp. (a)     189,468  
    6,900     Sankyu, Inc.     331,884  
    5,200     SCREEN Holdings Co. Ltd. (a)     369,964  
    24,100     SCSK Corp. (a)     731,491  
    12,800     Sega Sammy Holdings, Inc.     241,432  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          Japan — continued      

   

        55,700     SG Holdings Co. Ltd. (a)     542,126  
    128,700     Shionogi & Co. Ltd. (a)       2,148,971  
    14,800     Stanley Electric Co. Ltd.     284,689  
    118,700     Subaru Corp. (a)     2,178,983  
    24,900     SUMCO Corp.     168,307  
    13,800     Sumitomo Corp. (a)     351,438  
    41,600     Sumitomo Electric Industries Ltd. (a)     872,591  
    46,000     Sumitomo Mitsui Financial Group, Inc. (a)     1,181,783  
    16,500     Sumitomo Mitsui Trust Group, Inc. (a)     446,485  
    2,700     Sumitomo Realty & Development Co. Ltd. (a)     103,429  
    55,300     Suzuki Motor Corp. (a)     701,815  
    12,500     T&D Holdings, Inc. (a)     285,970  
    10,100     THK Co. Ltd. (a)     275,388  
    40,500     Tokai Carbon Co. Ltd. (a)     290,156  
    17,100     Tokio Marine Holdings, Inc. (a)     723,198  
    21,900     Tokyo Gas Co. Ltd. (a)     734,364  
    13,900     TOPPAN Holdings, Inc. (a)     369,098  
    5,500     Tosei Corp. (a)     96,373  
    12,000     TOTO Ltd. (a)     306,923  
    14,000     Towa Corp.     148,447  
    2,900     Toyota Industries Corp. (a)     362,577  
    68,700     Toyota Tsusho Corp. (a)     1,451,862  
    32,700     Yamaha Corp.     228,230  
    273,500     Yamaha Motor Co. Ltd. (a)     2,098,683  
    15,400     Yokogawa Electric Corp.     377,546  
    11,000     Zenkoku Hosho Co. Ltd. (a)     243,555  
    33,900     ZOZO, Inc. (a)     367,314  
     

 

 

 
    Total Japan     52,209,535  
     

 

 

 
          Mexico — 0.1%      
    81,682     Cemex SAB de CV Sponsored ADR     559,522  
     

 

 

 
          Netherlands — 2.9%      
    23,936     ABN AMRO Bank NV (a)     618,732  
    1,613     ASML Holding NV (a)     1,188,361  
    23,906     EXOR NV (a)     2,301,635  
    102,501     ING Groep NV (a)     2,177,342  
    33,768     JDE Peet’s NV     929,272  
    273,568     Just Eat Takeaway.com NV * (a)     6,048,970  
    50,054     Koninklijke Ahold Delhaize NV (a)     2,112,479  
    46,201     NN Group NV (a)     2,907,041  
    7,528     Randstad NV (a)     315,570  
    3,891     Wolters Kluwer NV (a)     689,990  
     

 

 

 
    Total Netherlands     19,289,392  
     

 

 

 
          New Zealand — 0.0%      
    65,902     Meridian Energy Ltd. (a)     215,770  
     

 

 

 
          Norway — 0.5%      
    87,774     Equinor ASA (a)     2,054,860  
    60,116     Orkla ASA     681,655  
    20,686     Yara International ASA     742,136  
     

 

 

 
    Total Norway     3,478,651  
     

 

 

 

Shares

    Description   Value ($)  
          Poland — 0.4%      

   

       112,423     ORLEN SA       2,209,068  
    143,893     PGE Polska Grupa Energetyczna SA *     359,123  
     

 

 

 
    Total Poland     2,568,191  
     

 

 

 
          Singapore — 0.3%      
    145,500     CapitaLand Integrated Commercial Trust – (REIT)     235,677  
    55,700     Oversea-Chinese Banking Corp. Ltd.     699,600  
    62,200     Singapore Exchange Ltd.     675,528  
    37,500     Wilmar International Ltd.     88,572  
    290,100     Yangzijiang Shipbuilding Holdings Ltd.     475,274  
     

 

 

 
    Total Singapore     2,174,651  
     

 

 

 
          South Korea — 1.7%      
    10,546     Doosan Bobcat, Inc.     358,457  
    2,368     GS Holdings Corp.     74,605  
    10,383     Hankook Tire & Technology Co. Ltd.     289,573  
    38,235     HMM Co. Ltd.     589,784  
    3,375     Hyundai Glovis Co. Ltd.     276,960  
    9,211     Hyundai Mobis Co. Ltd.     1,688,525  
    7,847     Hyundai Motor Co.     1,051,777  
    30,483     Kia Corp.     1,971,423  
    6,788     LG Corp.     348,696  
    27,506     LG Electronics, Inc.     1,414,714  
    1,150     POSCO Holdings, Inc.     208,332  
    1,179     POSCO Holdings, Inc. Sponsored ADR (a)     53,880  
    51,854     Samsung Electronics Co. Ltd.     2,104,115  
    4,901     Shinhan Financial Group Co. Ltd. ADR (a)     203,195  
    3,769     Shinhan Financial Group Co. Ltd.     157,646  
    6,384     SK Square Co. Ltd. *     528,028  
     

 

 

 
    Total South Korea     11,319,710  
     

 

 

 
          Spain — 1.5%      
    22,356     Amadeus IT Group SA (a)     1,859,351  
    220,266     Banco Bilbao Vizcaya Argentaria SA (a)     3,306,623  
    429,668     Banco Santander SA (a)     3,427,740  
    37,118     Iberdrola SA (a)     680,364  
    34,367     Redeia Corp. SA (a)     710,971  
    26,544     Repsol SA (a)     357,626  
     

 

 

 
    Total Spain     10,342,675  
     

 

 

 
          Sweden — 0.9%      
    20,953     Assa Abloy AB – Class B (a)     665,060  
    14,080     Atlas Copco AB – B Shares (a)     200,440  
    107,821     Fastighets AB Balder – B Shares * (a)     755,985  
    49,323     Investor AB – B Shares (a)     1,452,458  
    30,866     Sandvik AB (a)     673,732  
    13,898     Skanska AB – B Shares (a)     330,638  
    8,295     SKF AB – B Shares (a)     182,460  
    900     Spotify Technology SA * (a)     598,626  
    126,138     Telefonaktiebolaget LM Ericsson – B Shares (a)     1,073,758  
     

 

 

 
    Total Sweden     5,933,157  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          Switzerland — 1.5%      

   

        12,475     ABB Ltd. (Registered) (a)        706,680  
    55,584     Adecco Group AG (Registered) (a)     1,552,510  
    1,132     BKW AG (a)     238,872  
    3,878     Holcim AG (a)     429,722  
    8,930     Logitech International SA (Registered) (a)     744,098  
    23,621     Nestle SA (Registered) (a)     2,516,512  
    527     Partners Group Holding AG (a)     707,428  
    6,919     Roche Holding AG (a)     2,241,390  
    1,991     Schindler Holding AG (Registered) (a)     684,705  
    4,698     SGS SA (Registered) (a)     490,674  
     

 

 

 
    Total Switzerland     10,312,591  
     

 

 

 
          Taiwan — 0.8%      
    16,100     Silicon Motion Technology Corp. ADR (d)     985,320  
    140,977     Taiwan Semiconductor Manufacturing Co. Ltd.     4,496,322  
     

 

 

 
    Total Taiwan     5,481,642  
     

 

 

 
          Thailand — 0.8%      
    432,100     Kasikornbank PCL NVDR     2,026,718  
    2,915,300     Krung Thai Bank PCL NVDR     1,968,960  
    282,600     PTT Exploration & Production PCL NVDR     842,073  
    192,200     PTT PCL NVDR     173,995  
    154,600     SCB X PCL NVDR     557,955  
     

 

 

 
    Total Thailand     5,569,701  
     

 

 

 
          Turkey — 0.0%      
    40,777     Turk Hava Yollari AO *     284,430  
     

 

 

 
          United Kingdom — 5.0%      
    53,983     3i Group PLC (a)     2,965,023  
    55,925     Auto Trader Group PLC (a)     598,934  
    7,164     Aviva PLC (a)     59,027  
    1,271,356     BT Group PLC (a)     3,078,165  
    13,303     Coca-Cola HBC AG     693,253  
    119,202     Compass Group PLC (a)     4,191,478  
    73,994     Diageo PLC (a)     2,008,288  
    56,919     GSK PLC Sponsored ADR (a) (c)     2,335,387  
    35,360     GSK PLC (a)     718,301  
    586,671     Haleon PLC (a)     3,274,986  
    14,998     Halma PLC (a)     587,982  
    2,166     Intertek Group PLC (a)     139,855  
    484,516     Kingfisher PLC (a)     1,813,742  
    4,210     Next PLC (a)     730,633  
    43,030     Pearson PLC (a)     675,820  
    46,300     Rentokil Initial PLC ADR (a) (d)     1,100,551  
    7,176     Rio Tinto PLC Sponsored ADR (c)     426,470  
    12,761     Shell PLC ADR (a)     845,033  
    27,882     Smiths Group PLC (a)     810,463  
    58,956     Unilever PLC (a)     3,752,038  
    956,047     Vodafone Group PLC (a)     991,481  
    205,189     Vodafone Group PLC Sponsored ADR (a)     2,121,654  
     

 

 

 
    Total United Kingdom     33,918,564  
     

 

 

 

Shares

    Description   Value ($)  
          United States — 90.9%      

   

    7,200     A.O. Smith Corp. (a)     463,032  
    20,988     AAON, Inc. (a) (c)     2,020,935  
    34,357     Abbott Laboratories (a)     4,589,408  
    11,504     Accenture PLC – Class A     3,644,697  
    13,452     Acushnet Holdings Corp. (c)     917,964  
    100     Adobe, Inc. * (a)     41,509  
    17,964     Akamai Technologies, Inc. * (a)     1,364,007  
    82,400     Albertsons Cos., Inc. – Class A (a) (d)     1,831,752  
    4,161     Align Technology, Inc. * (a)     752,891  
    14,518     Allegion PLC (a) (c)     2,071,719  
    71,316     Ally Financial, Inc. (a)     2,496,060  
    43,428     Alphabet, Inc. – Class A (a) (d)     7,458,325  
    2,400     Alphabet, Inc. – Class C (a)     414,840  
    19,224     Amazon.com, Inc. * (a)     3,941,112  
    54,563     Amedisys, Inc. *     5,132,741  
    7,005     Ameren Corp. (a)     678,644  
    6,398     American Electric Power Co., Inc. (a)     662,129  
    2,467     American Financial Group, Inc. (a)     305,859  
    1,200     Ameriprise Financial, Inc. (a)     611,088  
    3,600     AMETEK, Inc. (a)     643,464  
    29,701     Apple, Inc. (a)     5,965,446  
    16,518     AptarGroup, Inc. (a)     2,616,451  
    56,966     Aramark (a)     2,307,123  
    19,550     Arch Capital Group Ltd. (a)     1,858,032  
    4,387     Archer-Daniels-Midland Co.     211,760  
    3,100     Assurant, Inc. (a)     629,238  
       410,840     AvidXchange Holdings, Inc. *       4,022,124  
    12,180     Axcelis Technologies, Inc. *     686,221  
    451,989     AZEK Co., Inc. * (a) (d)     22,377,975  
    3,873     Badger Meter, Inc.     961,356  
    14,832     Balchem Corp. (a)     2,472,494  
    54,100     Bank of America Corp. (a)     2,387,433  
    5,600     Becton Dickinson & Co. (a) (d)     966,504  
    7,800     Best Buy Co., Inc. (a)     516,984  
    22,880     Block, Inc. * (a)     1,412,840  
    15,241     Booz Allen Hamilton Holding Corp. (a)     1,619,356  
    12,885     Broadcom, Inc. (a)     3,119,072  
    19,716     Bruker Corp.     723,577  
    18,899     Builders FirstSource, Inc. * (a)     2,035,044  
    794     Bunge Global SA     62,051  
    19,757     Cactus, Inc. – Class A (a) (c)     810,037  
    17,438     Capital One Financial Corp. (a)     3,298,398  
    38,000     Capri Holdings Ltd. * (d)     688,560  
    20,152     Carnival Corp. * (a)     467,929  
    50     Cboe Global Markets, Inc. (a)     11,456  
    20,579     CBRE Group, Inc. – Class A * (a)     2,572,787  
    34,071     Centene Corp. * (a)     1,922,967  
    323,460     ChampionX Corp. (a)     7,785,682  
    6,345     Cigna Group (a)     2,009,081  
    15,190     Cirrus Logic, Inc. * (a)     1,494,088  
    11,265     Cisco Systems, Inc. (a)     710,146  
    43,943     Citigroup, Inc. (a)     3,309,787  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          United States — continued      

   

    2,000     CMS Energy Corp. (a)     140,460  
       109,821     CNH Industrial NV (c)       1,373,861  
    30,467     Coca-Cola Co. (a)     2,196,671  
    34,408     Cognizant Technology Solutions Corp. – Class A (a)     2,786,704  
    13,778     Cohen & Steers, Inc. (a) (c)     1,058,702  
    6,700     Colgate-Palmolive Co. (a)     622,698  
    63,233     Comcast Corp. – Class A (a)     2,185,965  
    3,200     ConocoPhillips (a) (d)     273,120  
    6,193     Consolidated Edison, Inc. (a)     647,107  
    16,611     Constellation Brands, Inc. – Class A (a)     2,961,575  
    11,229     Copart, Inc. * (a)     578,069  
    21,928     Corebridge Financial, Inc. (a)     715,072  
    8,804     CoStar Group, Inc. * (a)     647,622  
    700     Costco Wholesale Corp. (a)     728,126  
    7,273     Cummins, Inc. (a)     2,338,124  
    6,020     Curtiss-Wright Corp. (a)     2,649,462  
    45,630     CVS Health Corp. (a)     2,922,145  
    1,800     Darden Restaurants, Inc. (a)     385,578  
    52,214     Delta Air Lines, Inc. (a)     2,526,635  
    30,695     Devon Energy Corp. (a)     928,831  
    3,651     Dick’s Sporting Goods, Inc. (a)     654,770  
    8,458     Docusign, Inc. * (a)     749,463  
    28,102     Dolby Laboratories, Inc. – Class A (a)     2,086,855  
    9,435     Dollar General Corp. (a)     917,554  
    3,587     DoorDash, Inc. – Class A * (a)     748,428  
    2,000     Dover Corp. (a)     355,500  
    19,629     DR Horton, Inc. (a)     2,317,400  
    4,961     DTE Energy Co. (a) (c)     677,921  
    1,785,356     Dun & Bradstreet Holdings, Inc. (a)     16,086,058  
    17,000     DuPont de Nemours, Inc. (a) (d)     1,135,600  
    9,400     Dynatrace, Inc. * (a)     507,694  
    33,618     eBay, Inc. (a)     2,459,829  
    4,422     Electronic Arts, Inc. (a)     635,795  
    8,715     Elevance Health, Inc. (a)     3,345,166  
    1,983     Eli Lilly & Co. (a)     1,462,800  
    24,990     Enstar Group, Ltd. *     8,371,900  
    5,710     EOG Resources, Inc. (a)     619,935  
    10,436     EPAM Systems, Inc. * (a)     1,820,978  
    13,508     Equitable Holdings, Inc. (a)     714,168  
    16,772     Essential Utilities, Inc. (a)     646,225  
    3,950     Everest Group Ltd. (a)     1,371,401  
    9,875     Evergy, Inc. (a)     655,799  
    14,840     Exelon Corp. (a)     650,289  
    13,616     Expedia Group, Inc. (a)     2,270,468  
    7,158     Fabrinet *     1,666,883  
    142,270     FARO Technologies, Inc. *     6,027,980  
    2,663     FedEx Corp. (a)     580,800  
    3,200     Ferguson Enterprises, Inc. (a)     583,488  
    10,871     Fidelity National Financial, Inc. (a)     595,405  
    173,634     Foot Locker, Inc. *     4,125,544  
    207,541     Ford Motor Co. (a)     2,154,276  
    10,302     Fortune Brands Innovations, Inc. (a) (c)     519,221  

Shares

    Description   Value ($)  
          United States — continued      
    30,888     Fox Corp. – Class B (a)     1,553,049  

   

       136,445     Franklin Resources, Inc. (a) (c)       2,952,670  
    435,452     Frontier Communications Parent, Inc. * (a)     15,776,426  
    12,029     FTI Consulting, Inc. * (a)     1,974,681  
    14,100     Gaming & Leisure Properties, Inc. – (REIT) (a)     658,470  
    3,300     Garmin Ltd. (a)     669,801  
    95,635     GCI Liberty, Inc. * (c) (f)     4,782  
    43,045     GE HealthCare Technologies, Inc. (a)     3,036,394  
    11,579     General Mills, Inc. (a)     628,277  
    46,983     General Motors Co. (a)     2,330,827  
    45,607     Globus Medical, Inc. – Class A * (d)     2,699,022  
    1,246     Goldman Sachs Group, Inc. (a)     748,161  
    22,067     H&E Equipment Services, Inc.     2,088,421  
    5,382     Hartford Insurance Group, Inc. (a)     698,799  
    186,778     Hess Corp. (a) (d)     24,690,184  
    200,340     Hewlett Packard Enterprise Co. (a) (d)     3,461,875  
    8,534     Hilton Worldwide Holdings, Inc. (a)     2,120,187  
    8,791     Hormel Foods Corp.     269,708  
    46,121     Host Hotels & Resorts, Inc. – (REIT) (a)     714,414  
    10,195     Houlihan Lokey, Inc. (a) (c)     1,780,863  
    8,000     Howard Hughes Holdings, Inc. * (a) (d)     546,480  
    111,186     HP, Inc. (a)     2,768,531  
    4,300     Humana, Inc. (a) (d)     1,002,459  
    41,906     Incyte Corp. * (a)     2,726,404  
    5,777     Installed Building Products, Inc. (c)     921,316  
    106,334     Intel Corp. (a)     2,078,830  
    7,258     International Business Machines Corp. (a)     1,880,257  
    76,330     International Paper Co. (a) (c) (d)     3,649,337  
    6,147     Intuitive Surgical, Inc. * (a)     3,395,234  
    11,779     J&J Snack Foods Corp.     1,356,587  
    8,002     Jack Henry & Associates, Inc. (a)     1,449,722  
    27,428     Johnson & Johnson (a)     4,257,100  
    2,600     JPMorgan Chase & Co. (a)     686,400  
    222,549     Juniper Networks, Inc. (a)     7,996,186  
    2,620     Kadant, Inc. (c)     822,444  
    121,302     Kellanova (a)     10,023,184  
    700     Kimberly-Clark Corp. (a)     100,632  
    30,400     Kimco Realty Corp. – (REIT) (a)     646,304  
    2,316     KLA Corp. (a)     1,752,934  
    75,567     Kraft Heinz Co. (a) (d)     2,019,906  
    9,501     Kroger Co. (a)     648,253  
    41,754     Lam Research Corp. (a)     3,373,306  
    12,260     Lancaster Colony Corp.     2,052,324  
    225     Leidos Holdings, Inc. (a)     33,417  
    22,364     Lennar Corp. – Class A (a) (c)     2,372,373  
    1,100     Lennox International, Inc. (a)     620,895  
    253,701     Liberty Broadband Corp. – Class C * (a) (d)     23,797,154  
    38,682     LyondellBasell Industries NV – Class A (a) (c)     2,185,146  
    29,981     Malibu Boats, Inc. – Class A *     903,627  
    8,400     Masco Corp. (a)     524,328  
    56,363     Match Group, Inc. (a)     1,687,508  
    1,427     Medpace Holdings, Inc. *     420,822  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          United States — continued      

   

        58,738     Merck & Co., Inc. (a)       4,513,428  
    14,044     Meta Platforms, Inc. – Class A (a) (d)     9,093,350  
    571     Mettler-Toledo International, Inc. * (a)     659,802  
    21,375     Micron Technology, Inc. (a)     2,019,083  
    22,979     Microsoft Corp. (a)     10,578,612  
    8,300     Middleby Corp. * (a) (d)     1,212,879  
    72,790     Moderna, Inc. *     1,933,302  
    2,100     Molina Healthcare, Inc. * (a)     640,584  
    1,406     Molson Coors Beverage Co. – Class B     75,348  
    5,774     Morgan Stanley (a)     739,245  
    74,000     Mr. Cooper Group, Inc. * (a) (d)     9,585,220  
    7,565     NetApp, Inc. (a)     750,145  
    168     Netflix, Inc. * (a)     202,815  
    47,829     New York Times Co. – Class A (a)     2,731,992  
    4,700     Norfolk Southern Corp. (a) (d)     1,161,464  
    20,745     Nucor Corp. (a)     2,268,673  
    8,712     Ollie’s Bargain Outlet Holdings, Inc. * (a)     970,952  
    165,251     Omnicom Group, Inc. (a) (d)     12,136,033  
    40,917     ON Semiconductor Corp. * (a) (c)     1,719,332  
    26,725     Oracle Corp. (a)     4,423,789  
    47,190     Ovintiv, Inc. (a)     1,690,346  
    5,274     Owens Corning (a)     706,452  
    20,364     PACCAR, Inc. (a)     1,911,161  
    471,885     Pacific Premier Bancorp, Inc.     10,003,962  
    1,104     Parker-Hannifin Corp. (a)     733,829  
    185     Paycom Software, Inc. (a)     47,932  
    40,995     PayPal Holdings, Inc. * (a)     2,881,129  
    53,100     Penn Entertainment, Inc. * (a) (d)     787,473  
    600     PepsiCo, Inc. (a)     78,870  
    116,890     Pfizer, Inc. (a)     2,745,746  
    22,003     Pinterest, Inc. – Class A * (a)     684,513  
    133,966     Playa Hotels & Resorts NV *     1,803,182  
    24,157     Power Integrations, Inc.     1,201,328  
    6,199     PPG Industries, Inc. (a)     686,849  
    3,294     Preformed Line Products Co.     469,856  
    16,593     PriceSmart, Inc.     1,791,712  
    1,700     Principal Financial Group, Inc. (a)     132,413  
    2,400     Public Storage – (REIT) (a)     740,184  
    18,427     PulteGroup, Inc. (a)     1,806,399  
    901     QUALCOMM, Inc. (a)     130,825  
    11,834     Quest Diagnostics, Inc. (a) (c)     2,051,306  
    4,518     RBC Bearings, Inc. * (a) (c)     1,653,001  
    4,478     Regeneron Pharmaceuticals, Inc. (a)     2,195,474  
    41,900     Rocket Cos., Inc. – Class A (a) (c) (d)     534,225  
    4,800     Ross Stores, Inc. (a)     672,432  
    1,405     RPM International, Inc. (a)     159,945  
    12,933     Salesforce, Inc. (a)     3,432,030  
    8,224     SEI Investments Co. (a)     701,178  
    129,083     Skechers USA, Inc. – Class A * (a)     8,008,309  
    38,032     Skyworks Solutions, Inc. (c)     2,625,349  
    38,238     Solventum Corp. * (a)     2,794,815  
    13,372     State Street Corp. (a)     1,287,456  
    18,063     Steel Dynamics, Inc. (a)     2,223,013  

Shares

    Description   Value ($)  
          United States — continued      
        24,652     StepStone Group, Inc. – Class A (a)       1,426,118  

   

    1,792     Stryker Corp. (a)     685,691  
    54,427     Synchrony Financial (a)     3,137,717  
    18,844     T. Rowe Price Group, Inc. (c)     1,763,610  
    14,622     Target Corp. (a)     1,374,614  
    2,835     TE Connectivity PLC (a)     453,798  
    20,336     Texas Instruments, Inc. (a)     3,718,438  
    8,115     Thermo Fisher Scientific, Inc. (a)     3,268,884  
    16,211     TJX Cos., Inc. (a)     2,057,176  
    5,054     Tradeweb Markets, Inc. – Class A (a)     730,050  
    1,689     Trane Technologies PLC (a) (c)     726,726  
    23,662     Trex Co., Inc. * (a)     1,321,996  
    389,411     Triumph Group, Inc. *     10,042,910  
    211,091     TXNM Energy, Inc. (a)     11,966,749  
    12,335     Tyson Foods, Inc. – Class A     692,734  
    97,150     U.S. Bancorp (a)     4,234,769  
    24,286     Uber Technologies, Inc. * (a) (c)     2,043,910  
    1,000     Union Pacific Corp. (a)     221,660  
    32,368     United Airlines Holdings, Inc. * (a)     2,571,476  
    23,702     United Parcel Service, Inc. – Class B (a)     2,311,893  
    400     United Rentals, Inc. (a) (d)     283,352  
    509     United Therapeutics Corp. * (a)     162,295  
    9,600     UnitedHealth Group, Inc. (a)     2,898,336  
    12,712     Universal Display Corp. (a) (c)     1,822,265  
    4,535     Universal Health Services, Inc. – Class B (a)     863,237  
    7,099     Veralto Corp. (a)     717,212  
    70,799     Verizon Communications, Inc. (a)     3,112,324  
    231,518     Viatris, Inc. (a)     2,035,043  
    21,719     VICI Properties, Inc. – (REIT) (c)     688,709  
    10,831     Visa, Inc. – Class A (a) (c)     3,955,373  
    1,646,106     Walgreens Boots Alliance, Inc. (a) (c)     18,518,692  
    41,831     Wells Fargo & Co. (a)     3,128,122  
    2,039     Williams-Sonoma, Inc. (a)     329,829  
    405,234     WillScot Holdings Corp. (a) (c) (d)     10,921,056  
    11,495     Woodward, Inc. (a)     2,486,713  
    11,271     WP Carey, Inc. – (REIT) (a) (c)     707,368  
    1,687     Xcel Energy, Inc. (a)     118,259  
    13,915     XPEL, Inc. * (c)     500,523  
    4,100     Zoetis, Inc. (a)     691,383  
    37,136     Zoom Communications, Inc. – Class A * (a)     3,017,300  
     

 

 

 
    Total United States     614,309,758  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $932,567,542)
    948,312,859  
     

 

 

 
          PREFERRED STOCKS (g) — 0.5%  
          Brazil — 0.0%  
    129,300     Cia Energetica de Minas Gerais     245,059  
     

 

 

 
          Germany — 0.4%      
    7,622     Bayerische Motoren Werke AG (a)     631,759  
    20,651     Volkswagen AG (a)     2,235,980  
     

 

 

 
    Total Germany     2,867,739  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares /
Par Value†
    Description   Value ($)  
          South Korea — 0.1%      

   

    1,051     Hyundai Motor Co. (b)     112,315  
    1,038     Hyundai Motor Co. (b)     111,081  
    2,532     Samsung Electronics Co. Ltd.     84,386  
     

 

 

 
    Total South Korea     307,782  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $3,298,821)
    3,420,580  
     

 

 

 
          RIGHTS/WARRANTS — 0.1%  
          Canada — 0.0%  
    176,256     Resolute Forest Products, Inc. * (f)     264,384  
     

 

 

 
          United States — 0.1%      
    13,635     ABIOMED, Inc. * (f)     21,816  
       195,149     Bristol-Myers Squibb Co. * (f)     302,481  
    38,486     Pershing Square Holdings Ltd. * (f)     11,546  
     

 

 

 
    Total United States     335,843  
     

 

 

 
   

TOTAL RIGHTS/WARRANTS

(COST $548,620)

    600,227  
     

 

 

 
          INVESTMENT FUNDS — 5.6%  
          United States — 5.6%  
    9,856,086     Altaba, Inc.* (f)     12,812,912  
    4,990,020     GMO U.S. Treasury Fund, Class VI (h)     25,000,000  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $37,090,464)
    37,812,912  
     

 

 

 
          DEBT OBLIGATIONS — 42.1%  
          Dominican Republic — 0.4%  
          Sovereign and Sovereign Agency Issuers — 0.4%  

DOP

    131,300,000     Dominican Republic International Bonds, Reg S, 13.63%, due 02/03/33     2,540,391  
     

 

 

 
          United States — 41.6%  
          U.S. Government — 31.4%  
    1,065,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.15%, 4.45%, due 04/30/26 (a) (i)     1,065,789  
    1,700,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.18%, 4.48%, due 07/31/26 (a) (i)     1,702,252  
    71,040,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 4.40%, due 01/31/27 (a) (i)     71,063,659  
    138,185,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 4.46%, due 04/30/27 (a) (i)     138,264,432  
     

 

 

 
    Total U.S. Government       212,096,132  
     

 

 

 

Par Value† /

Shares

    Description   Value ($)  
          United States — continued  
          U.S. Government Agency — 10.2%  
     15,000,000     Uniform Mortgage-Backed Security, TBA, 5.50%, due 07/01/40        15,196,516  
    1,670,000     Uniform Mortgage-Backed Security, TBA, 5.50%, due 07/01/54     1,651,652  
    51,700,000     Uniform Mortgage-Backed Security, TBA, 6.00%, due 07/01/54     52,140,042  
     

 

 

 
    Total U.S. Government Agency     68,988,210  
     

 

 

 
    Total United States     281,084,342  
     

 

 

 
          Uruguay — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  

UYU

    41,000,000     Uruguay Government International Bonds, 8.25%, due 05/21/31     935,712  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $284,485,751)
    284,560,445  
     

 

 

 
          SHORT-TERM INVESTMENTS — 6.8%  
          Money Market Funds — 0.4%  
    2,485,917     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (j)     2,485,917  
     

 

 

 
          Repurchase Agreements — 4.0%  
    27,187,650     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/30/25, maturing on 06/02/25 with a maturity value of $27,197,415 and an effective yield of 4.31%, collateralized by a U.S. Treasury Note with maturity date 06/30/29 and a market value of $27,809,837.     27,187,650  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 2.4%  

EGP

    50,000,000     Egypt Treasury Bills, Zero Coupon, due 09/09/25     932,986  

JPY

    2,000,000,000     Japan Treasury Discount Bills, Zero Coupon, due 06/30/25     13,894,864  

NGN

    1,500,000,000     Nigeria OMO Bills, Zero Coupon, due 08/26/25     887,454  

NGN

    1,600,000,000     Nigeria OMO Bills, Zero Coupon, due 12/30/25     867,565  
     

 

 

 
    Total Sovereign and Sovereign Agency Issuers     16,582,869  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $46,064,066)
    46,256,436  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

PURCHASED OPTIONS — 0.2%

 

Description

   Exercise
Price
    

Expiration
Date

   Number of
Contracts
     Notional
Amount
    Value ($)  

Equity Options – Puts — 0.2%

                

Sunoco LP

     55.00      12/19/25      1,531        USD        8,258,214       903,290  

Sunoco LP

     57.50      12/19/25      180        USD        970,920       117,000  

Mr. Cooper Group, Inc. (d)

     95.00      01/16/26      670        USD        8,678,510       201,000  

Rocket Cos., Inc.

     9.20      01/16/26      81        USD        103,275       5,265  
                

 

 

 
Total Equity Options – Puts                    1,226,555  
                

 

 

 

TOTAL PURCHASED OPTIONS (COST $1,591,463)

                   1,226,555  
                

 

 

 

TOTAL INVESTMENTS — 195.6%
(Cost $1,305,646,727)

                   1,322,190,014  
                

 

 

 

 

     Shares     Description   Value ($)  
    SECURITIES SOLD SHORT — (89.7)%

 

          Common Stocks — (85.7)%  
          Australia — (3.7)%  
    (28,926   ANZ Group Holdings Ltd.     (541,299
    (142,901   APA Group     (763,588
    (11,383   ASX Ltd.     (523,012
    (31,436   CAR Group Ltd.     (720,426
    (2,390   Cochlear Ltd.     (417,900
    (6,612   Commonwealth Bank of Australia     (750,256
    (16,081   Dexus – (REIT)     (72,628
    (38,376   GPT Group – (REIT)     (118,825
    (9,956   Insurance Australia Group Ltd.     (55,452
    (367,265   James Hardie Industries PLC CDI*     (8,449,648
    (193,788   Lottery Corp. Ltd.     (636,799
    (1,526   Macquarie Group Ltd.     (210,512

   

    (66,561   Mirvac Group – (REIT)     (99,169
    (22,666   NEXTDC Ltd. *     (191,758
    (12,695   Pro Medicus Ltd.     (2,301,577
    (6,445   REA Group Ltd.     (995,529
    (144,227   Santos Ltd.     (612,587
    (74,097   Scentre Group – (REIT)     (175,440
    (10,271   SEEK Ltd.     (160,856
    (2,623   SGH Ltd.     (85,776
    (4,221   Suncorp Group Ltd.     (56,235
    (110,245   Transurban Group     (1,007,537
    (44,903   Vicinity Ltd. – (REIT)     (71,315
    (17,437   Washington H Soul Pattinson & Co. Ltd.     (414,956
    (35,144   WiseTech Global Ltd.     (2,428,211
    (2,942   Woodside Energy Group Ltd.     (42,245
    (22,474   Woolworths Group Ltd.     (461,536
    (22,087   Xero Ltd. *     (2,623,680
     

 

 

 
    Total Australia     (24,988,752
     

 

 

 
          Austria — (0.0)%      
    (931   Verbund AG     (72,742
     

 

 

 
     Shares     Description   Value ($)  
          Belgium — (0.4)%  
    (10,572   Anheuser-Busch InBev SA     (746,521
    (1,967   Argenx SE *     (1,128,610
    (3,172   Groupe Bruxelles Lambert NV     (259,537
    (56   Lotus Bakeries NV     (579,905
     

 

 

 
    Total Belgium     (2,714,573
     

 

 

 
          Brazil — (0.4)%      
    (9,500   Inter & Co., Inc. – Class A     (67,640
    (214,439   NU Holdings Ltd. – Class A *     (2,575,412
     

 

 

 
    Total Brazil     (2,643,052
     

 

 

 
          Canada — (3.8)%      

   

    (72,200   AltaGas Ltd.     (2,017,086
    (4,200   AtkinsRealis Group, Inc.     (275,440
    (15,262   Brookfield Renewable Corp. (b)     (448,550
    (2,700   Brookfield Renewable Corp. (b)     (79,484
    (4,500   CAE, Inc. *     (115,849
    (38,064   Cameco Corp.     (2,227,886
    (2,400   Canadian Apartment Properties – (REIT)     (78,277
    (14,500   Element Fleet Management Corp.     (345,502
    (51,906   Enbridge, Inc. (b)     (2,412,591
    (1,300   Enbridge, Inc. (b)     (60,503
    (14,207   Franco-Nevada Corp.     (2,398,142
    (42,653   GFL Environmental, Inc. (b)     (2,150,991
    (4,400   GFL Environmental, Inc. (b)     (222,381
    (23,000   Keyera Corp.     (701,053
    (6,200   National Bank of Canada     (610,219
    (272,732   Pan American Silver Corp. (b)     (6,651,933
    (5,100   Pan American Silver Corp. (b)     (124,383
    (54,621   Pembina Pipeline Corp.     (2,047,195
    (25,556   Restaurant Brands International, Inc.     (1,824,954
    (38,100   Saputo, Inc.     (734,043
    (2,100   TC Energy Corp.     (106,412
    (2,400   Teck Resources Ltd. – Class B     (88,945
     

 

 

 
    Total Canada     (25,721,819
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
             China — (0.2)%      
    (10,000   Akeso, Inc. *     (106,463
    (5,400   BeOne Medicines Ltd. *     (102,988
    (4,460   Bilibili, Inc. – Class Z *     (81,770
    (82,900   China Vanke Co. Ltd. – Class H *     (53,880
    (38,000   Genscript Biotech Corp. *     (62,024
    (38,200   Guotai Haitong Securities Co. Ltd. – Class H     (53,884
    (14,000   Innovent Biologics, Inc. *     (110,469
    (1,400   Legend Biotech Corp. ADR*     (40,530
    (25,630   NIO, Inc. – Class A *     (90,396
    (5,700   TAL Education Group ADR*     (56,031
    (15,000   XPeng, Inc. – Class A *     (145,316
    (17,400   Zai Lab Ltd. *     (52,983
    (14,300   Zhejiang Leapmotor Technology Co. Ltd. *     (100,357
     

 

 

 
    Total China     (1,057,091
     

 

 

 
          Denmark — (0.8)%      
    (17,811   Coloplast AS – Class B     (1,731,596
    (17,011   Orsted AS *     (699,092
    (81,352   Tryg AS     (2,092,863
    (10,354   Zealand Pharma AS *     (719,719
     

 

 

 
    Total Denmark     (5,243,270
     

 

 

 
          Finland — (0.1)%      
    (49,688   Nordea Bank Abp     (720,381
     

 

 

 
          France — (1.8)%      
    (16,410   Aeroports de Paris SA     (2,199,765
    (26,574   Alstom SA *     (600,718
    (111,007   Bollore SE     (706,081
    (267   Dassault Aviation SA     (97,113
    (20,180   Edenred SE     (630,420
    (23,385   Engie SA     (504,719
    (3,426   Euronext NV     (558,366
    (1,059   Gecina SA – (REIT)     (116,565
    (123,544   Getlink SE *     (2,363,122
    (850   Hermes International SCA     (2,343,886
    (1,326   Kering SA     (259,163
    (12,053   Renault SA     (619,700
    (6,759   Unibail-Rodamco-Westfield – (REIT) *     (641,025
    (4,319   Vinci SA     (617,123
     

 

 

 
    Total France     (12,257,766
     

 

 

 
          Germany — (2.4)%      
    (1,413   adidas AG     (352,421
    (12,788   BASF SE     (616,663
    (27,110   Bayer AG (Registered)     (763,242
    (5,339   CTS Eventim AG & Co. KGaA     (647,602
    (71,025   Delivery Hero SE *     (1,963,581
    (664   Deutsche Boerse AG     (213,907
    (3,406   LEG Immobilien SE     (289,188
    (6,498   MTU Aero Engines AG     (2,598,999

Shares

    Description   Value ($)  
          Germany — continued      

  

    (1,056   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Registered)     (684,153
    (1,609   Qiagen NV *     (72,629
    (583   Rational AG     (479,361
    (793   Rheinmetall AG     (1,699,610
    (35,044   Siemens Energy AG *     (3,424,693
    (10,768   Talanx AG     (1,396,940
    (21,565   Vonovia SE     (706,567
     

 

 

 
    Total Germany     (15,909,556
     

 

 

 
          Hong Kong — (0.5)%      
    (33,400   AIA Group Ltd.     (278,026
    (20,500   CLP Holdings Ltd.     (173,602
    (45,000   Galaxy Entertainment Group Ltd.     (190,292
    (59,100   Hongkong Land Holdings Ltd.     (305,293
    (5,200   Jardine Matheson Holdings Ltd.     (231,953
    (11,000   Link REIT     (58,215
    (187,000   MTR Corp. Ltd.     (651,963
    (306,000   Sands China Ltd.     (597,281
    (64,000   Swire Pacific Ltd. – Class A     (545,180
    (166,000   Wharf Real Estate Investment Co. Ltd.     (413,932
     

 

 

 
    Total Hong Kong     (3,445,737
     

 

 

 
          Israel — (1.1)%      
    (7,083   CyberArk Software Ltd. *     (2,711,231
    (7,671   Monday.com Ltd. *     (2,282,046
    (32,200   Teva Pharmaceutical Industries Ltd. ADR*     (540,316
    (13,227   Wix.com Ltd. *     (1,970,161
     

 

 

 
    Total Israel     (7,503,754
     

 

 

 
          Italy — (1.3)%      
    (49,476   Amplifon SpA     (1,137,292
    (4,978   Ferrari NV     (2,382,648
    (104,312   FinecoBank Banca Fineco SpA     (2,255,847
    (196,530   Infrastrutture Wireless Italiane SpA     (2,307,263
    (115,021   Nexi SpA     (692,085
     

 

 

 
    Total Italy     (8,775,135
     

 

 

 
          Japan — (5.8)%      
    (98,500   Aeon Co. Ltd.     (3,028,199
    (22,500   AGC, Inc.     (667,406
    (46,500   Aisin Corp.     (591,681
    (92,100   ANA Holdings, Inc.     (1,823,677
    (63,600   Asics Corp.     (1,532,829
    (48,700   Astellas Pharma, Inc.     (481,040
    (30,200   Chiba Bank Ltd.     (274,463
    (15,700   Concordia Financial Group Ltd.     (100,647
    (27,700   Dentsu Group, Inc.     (598,302
    (6,500   Disco Corp.     (1,456,072
    (30,700   East Japan Railway Co.     (643,404
    (8,300   FANUC Corp.     (221,521
    (11,700   Fujikura Ltd.     (543,083
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          Japan — continued      

  

    (8,100   Japan Airlines Co. Ltd.     (163,878
    (169,400   Japan Exchange Group, Inc.     (1,855,509
    (67,700   Japan Post Bank Co. Ltd.     (730,118
    (8,600   Keisei Electric Railway Co. Ltd.     (82,227
    (1,400   Keyence Corp.     (585,998
    (51,000   Kobe Bussan Co. Ltd.     (1,611,562
    (1,700   Lasertec Corp.     (169,539
    (1,600   McDonald’s Holdings Co. Japan Ltd.     (67,850
    (34,100   Mitsubishi HC Capital, Inc.     (250,393
    (14,100   Mizuho Financial Group, Inc.     (392,096
    (119,800   MonotaRO Co. Ltd.     (2,471,315
    (2,900   NIDEC Corp.     (56,303
    (70,900   Nippon Paint Holdings Co. Ltd.     (534,109
    (31,400   Nippon Steel Corp.     (631,618
    (242,700   Nissan Motor Co. Ltd. *     (615,679
    (43,800   Obayashi Corp.     (660,872
    (15,400   Omron Corp.     (398,133
    (127,800   Oriental Land Co. Ltd.     (2,839,818
    (458,600   Rakuten Group, Inc. *     (2,524,086
    (91,300   Resona Holdings, Inc.     (809,200
    (51,500   Ricoh Co. Ltd.     (480,196
    (26,700   SBI Holdings, Inc.     (808,625
    (3,200   Seibu Holdings, Inc.     (84,589
    (106,500   Shiseido Co. Ltd.     (1,714,093
    (1,577,100  

SoftBank Corp.

    (2,423,304
    (10,000   SoftBank Group Corp.     (522,384
    (58,400   Tokyu Corp.     (709,072
    (37,300   Toyota Motor Corp.     (710,125
    (66,000   Unicharm Corp.     (524,998
    (7,300   West Japan Railway Co.     (157,317
    (28,400   Zensho Holdings Co. Ltd.     (1,551,538
    (28,600   ZOZO, Inc.     (309,887
     

 

 

 
    Total Japan     (39,408,755
     

 

 

 
          Netherlands — (1.5)%      
    (505   Adyen NV *     (967,822
    (6,372   AerCap Holdings NV     (737,432
    (19,877   BE Semiconductor Industries NV     (2,402,039
    (76,058   CVC Capital Partners PLC     (1,415,331
    (2,045   DSM-Firmenich AG     (227,647
    (3,367   Heineken Holding NV     (262,435
    (7,049   Heineken NV     (628,859
    (51,550   InPost SA *     (847,260
    (77,019   Universal Music Group NV     (2,464,412
     

 

 

 
    Total Netherlands     (9,953,237
     

 

 

 
          New Zealand — (0.1)%      
    (125,514   Auckland International Airport Ltd.     (566,257
    (28,176   Infratil Ltd.     (177,301
     

 

 

 
    Total New Zealand     (743,558
     

 

 

 

Shares

    Description   Value ($)  
             Norway — (0.3)%      
    (13,300   Kongsberg Gruppen ASA *     (2,342,398
     

 

 

 
          Peru — (0.3)%      
    (20,185   Southern Copper Corp.     (1,835,023
     

 

 

 
          Portugal — (0.1)%      
    (87,591   EDP Renovaveis SA     (884,096
     

 

 

 
          Singapore — (1.0)%      
    (103,081   CapitaLand Integrated Commercial Trust – (REIT)     (166,967
    (853,700   CapitaLand Investment Ltd.     (1,664,730
    (502,549   Grab Holdings Ltd. – Class A *     (2,447,414
    (245,600   Keppel Ltd.     (1,289,632
    (2,700   Sea Ltd. ADR*     (432,999
    (76,300   Seatrium Ltd.     (120,967
    (130,800   Singapore Airlines Ltd.     (721,696
     

 

 

 
    Total Singapore     (6,844,405
     

 

 

 
          Spain — (1.1)%      
    (4,336   ACS Actividades de Construccion y Servicios SA     (284,815
    (81,095   Cellnex Telecom SA *     (3,109,206
    (66,582   Ferrovial SE     (3,392,003
    (43,392   Grifols SA *     (466,963
     

 

 

 
    Total Spain     (7,252,987
     

 

 

 
          Sweden — (1.3)%      
    (1,873   AddTech AB – B Shares     (64,369
    (74,573   Beijer Ref AB     (1,099,696
    (5,356   Castellum AB     (66,522
    (89,154   EQT AB     (2,612,349
    (7,829   Fastighets AB Balder – B Shares *     (54,893
    (11,036   Industrivarden AB – C Shares     (398,882
    (790   Lifco AB – B Shares     (32,171
    (159,517   Nibe Industrier AB – B Shares     (654,058
    (7,902   Sagax AB – Class B     (173,052
    (8,442   Skandinaviska Enskilda Banken AB – Class A     (140,856
    (3,707   Spotify Technology SA *     (2,465,674
    (14,211   Svenska Cellulosa AB SCA – Class B     (192,106
    (181,103   Telia Co. AB     (700,329
     

 

 

 
    Total Sweden     (8,654,957
     

 

 

 
          Switzerland — (1.3)%      
    (2,540   Alcon AG     (218,737
    (40,210   Avolta AG     (2,156,494
    (2,517   Bachem Holding AG     (158,508
    (6,146   Banque Cantonale Vaudoise (Registered)     (712,059
    (2   Chocoladefabriken Lindt & Spruengli AG (Registered)     (314,220
    (2,203   Cie Financiere Richemont SA – Class A (Registered)     (415,722
    (1,781   Galderma Group AG     (233,994
    (423   Kuehne & Nagel International AG (Registered)     (95,182
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
             Switzerland — continued      
    (1,206   Partners Group Holding AG     (1,618,896
    (67,922   SIG Group AG     (1,388,811
    (211   Swatch Group AG     (35,597
    (6,420   Swiss Prime Site AG (Registered)     (913,006
    (3,735   Swiss Re AG     (659,951
    (316   VAT Group AG     (120,557
     

 

 

 
    Total Switzerland     (9,041,734
     

 

 

 
          United Kingdom — (4.2)%      
    (16,131   Antofagasta PLC     (385,095
    (10,311   Auto Trader Group PLC     (110,427
    (63,092   Barratt Redrow PLC     (392,148
    (115,084   BP PLC     (559,549
    (66,553   Entain PLC     (674,788
    (248,340   Informa PLC     (2,633,173
    (19,394   InterContinental Hotels Group PLC     (2,222,321
    (92,068   Land Securities Group PLC – (REIT)     (786,181
    (194,952   Legal & General Group PLC     (654,093
    (18,510   London Stock Exchange Group PLC     (2,816,421
    (34,839   LondonMetric Property PLC – (REIT)     (94,591
    (25,672   M&G PLC     (82,018
    (315,030   Melrose Industries PLC     (1,995,976
    (34,495   Ocado Group PLC *     (122,445
    (238,200   Phoenix Group Holdings PLC     (2,038,271
    (13,740   Prudential PLC     (156,275
    (10,819   Reckitt Benckiser Group PLC     (735,449
    (148,015   Rentokil Initial PLC     (702,643
    (331,274   Rolls-Royce Holdings PLC     (3,855,028
    (24,800   Segro PLC – (REIT)     (233,224
    (71,786   Severn Trent PLC     (2,621,658
    (61,299   United Utilities Group PLC     (970,561
    (16,813   Whitbread PLC     (656,840
    (164,875   Wise PLC – Class A *     (2,446,167
    (44,298   WPP PLC     (357,752
     

 

 

 
    Total United Kingdom     (28,303,094
     

 

 

 
          United States — (52.2)%      
    (14,541   AbbVie, Inc.     (2,706,226
    (4,300   ADMA Biologics, Inc. *     (85,312
    (3,900   Advanced Micro Devices, Inc. *     (431,847
    (6,700   AECOM     (735,995
    (2,300   AeroVironment, Inc. *     (409,469
    (18,700   Affirm Holdings, Inc. *     (970,530
    (2,100   Alcoa Corp.     (56,217
    (4,300   Alexandria Real Estate Equities, Inc. – (REIT)     (301,817
    (13,009   Alnylam Pharmaceuticals, Inc. *     (3,962,021
    (8,396   American International Group, Inc.     (710,637
    (4,645   American Water Works Co., Inc.     (664,096
    (17,400   Americold Realty Trust, Inc. – (REIT)     (288,318
    (2,221   Amgen, Inc.     (640,048
    (3,114   Analog Devices, Inc.     (666,334
    (13,500   Annaly Capital Management, Inc. – (REIT)     (255,825
    (11,000   Antero Resources Corp. *     (411,950
    (1,500   API Group Corp. *     (70,005

Shares

    Description   Value ($)  
          United States — continued      

  

    (3,600   Apollo Global Management, Inc.     (470,484
    (4,244   ARES Management Corp. – Class A     (702,382
    (9,303   Arthur J Gallagher & Co.     (3,232,234
    (15,000   AT&T, Inc.     (417,000
    (11,900   ATI, Inc. *     (947,716
    (239,000   Aurora Innovation, Inc. *     (1,448,340
    (42,666   Avantor, Inc. *     (550,818
    (4,019   Axon Enterprise, Inc. *     (3,015,697
    (10,300   Ball Corp.     (551,874
    (600   Bank of New York Mellon Corp.     (53,166
    (20,213   Baxter International, Inc.     (616,496
    (322   Bentley Systems, Inc. – Class B     (15,369
    (14,700   Bill Holdings, Inc. *     (642,096
    (3,000   Biogen, Inc. *     (389,370
    (9,845   BioMarin Pharmaceutical, Inc. *     (571,699
    (2,000   Bio-Rad Laboratories, Inc. – Class A *     (453,860
    (1,119   Blackstone, Inc.     (155,272
    (31,800   Blue Owl Capital, Inc.     (594,024
    (4,500   Blueprint Medicines Corp. *     (456,075
    (27,085   Boeing Co. *     (5,615,262
    (2,100   Bright Horizons Family Solutions, Inc. *     (271,320
    (1,300   Bristol-Myers Squibb Co.     (62,764
    (9,369   Burlington Stores, Inc. *     (2,138,662
    (7,300   Cadence Bank     (221,190
    (1,300   Carlisle Cos., Inc.     (494,234
    (5,400   Carlyle Group, Inc.     (244,080
    (2,700   Carpenter Technology Corp.     (634,500
    (13,027   Carvana Co. *     (4,261,913
    (3,700   Casella Waste Systems, Inc. – Class A *     (433,677
    (4,800   Cava Group, Inc. *     (390,096
    (3,600   CDW Corp.     (649,296
    (2,258   Cencora, Inc.     (657,620
    (8,187   Charles Schwab Corp.     (723,240
    (500   Chart Industries, Inc. *     (78,430
    (54,217   Charter Communications, Inc. – Class A *     (21,484,571
    (176,930   Chevron Corp.     (24,186,331
    (4,200   Chewy, Inc. – Class A *     (190,050
    (20,444   Chipotle Mexican Grill, Inc. *     (1,023,836
    (375   Church & Dwight Co., Inc.     (36,866
    (1,100   Churchill Downs, Inc.     (105,017
    (11,123   Cintas Corp.     (2,519,359
    (4,200   Clorox Co.     (553,896
    (34,818   Cloudflare, Inc. – Class A *     (5,775,958
    (3,100   Coherent Corp. *     (234,453
    (12,099   Coinbase Global, Inc. – Class A *     (2,983,855
    (431,776   Columbia Banking System, Inc.     (10,094,923
    (1,600   Constellation Energy Corp.     (489,840
    (13,157   Corning, Inc.     (652,456
    (1,900   Corpay, Inc. *     (617,709
    (1,241   CoStar Group, Inc. *     (91,288
    (127   Costco Wholesale Corp.     (132,103
    (7,400   Crown Holdings, Inc.     (728,900
    (9,700   Cytokinetics, Inc. *     (300,894
    (1,100   Danaher Corp.     (208,890
    (41,615   Dayforce, Inc. *     (2,458,614
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          United States — continued      
    (21,781   Dexcom, Inc. *     (1,868,810
    (3,700   Diamondback Energy, Inc.     (497,835
    (9,000   Digital Realty Trust, Inc. – (REIT)     (1,543,680
    (8,146   Dollar Tree, Inc. *     (735,258
    (11,900   Dominion Energy, Inc.     (674,373
    (12,859   Dow, Inc.     (356,709
    (80,553   DraftKings, Inc. – Class A *     (2,890,242
    (17,700   DuPont de Nemours, Inc.     (1,182,360
    (8,700   Dutch Bros, Inc. – Class A *     (628,140
    (865   Ecolab, Inc.     (229,761
    (16,700   Elastic NV *     (1,350,529
    (12,077   Entegris, Inc.     (830,173
    (56,171   EQT Corp.     (3,096,707
    (1,000   Equifax, Inc.     (264,190
    (28,782   Equitable Holdings, Inc.     (1,521,704
    (6,316   Erie Indemnity Co. – Class A     (2,264,349
    (3,100   Essential Utilities, Inc.     (119,443
    (7,200   Estee Lauder Cos., Inc. – Class A     (481,968
    (59,976   Exact Sciences Corp. *     (3,375,449
    (2,000   Exxon Mobil Corp.     (204,600
    (1,146   Fair Isaac Corp. *     (1,978,317
    (67,734   Fastenal Co.     (2,800,124
    (45,606   Fidelity National Information Services, Inc.     (3,630,694
    (275   First Citizens BancShares, Inc. – Class A     (508,442
    (16,015   FirstEnergy Corp.     (671,669
    (16,182   Fiserv, Inc. *     (2,634,268
    (1,700   Fluor Corp. *     (70,686
    (8,165   Flutter Entertainment PLC * (b)     (2,067,072
    (4,529   Flutter Entertainment PLC * (b)     (1,144,478
    (3,900   Freshpet, Inc. *     (312,624
    (4,000   FTAI Aviation Ltd.     (468,600
    (18,600   GameStop Corp. – Class A *     (554,280
    (1,691   GE Vernova, Inc.     (799,809
    (403   Gilead Sciences, Inc.     (44,362
    (3,800   Glaukos Corp. *     (358,302
    (8,719   Global Payments, Inc.     (659,244
    (9,200   Guardant Health, Inc. *     (373,704
    (9,700   Guidewire Software, Inc. *     (2,085,694
    (6,500   Healthcare Realty Trust, Inc. – (REIT)     (94,250
    (3,200   HealthEquity, Inc. *     (321,952
    (38,400   Healthpeak Properties, Inc. – (REIT)     (668,544
    (548   HEICO Corp.     (164,203
    (2,841   Herc Holdings, Inc.     (352,284
    (1,500   Hershey Co.     (241,035
    (41,536   Hewlett Packard Enterprise Co.     (717,742
    (3,100   Hologic, Inc. *     (192,727
    (1,326   Home Depot, Inc.     (488,353
    (7,805   HubSpot, Inc. *     (4,604,169
    (17,454   Hyatt Hotels Corp. – Class A     (2,304,452
    (3,200   Illumina, Inc. *     (263,168
    (6,739   Ingersoll Rand, Inc.     (550,172
    (7,200   Insmed, Inc. *     (502,056
    (12,862   Insulet Corp. *     (4,180,536
    (12,000   Intel Corp.     (234,600
    (900   Interactive Brokers Group, Inc. – Class A     (188,712

Shares

    Description   Value ($)  
          United States — continued      

  

    (19,200   International Flavors & Fragrances, Inc.     (1,469,952
    (35,830   International Paper Co.     (1,713,032
    (438,228   Interpublic Group of Cos., Inc.     (10,499,943
    (23,900   Invitation Homes, Inc. – (REIT)     (805,430
    (5,500   Ionis Pharmaceuticals, Inc. *     (184,305
    (55,500   IonQ, Inc. *     (2,238,870
    (2,800   Iron Mountain, Inc. – (REIT)     (276,388
    (1,700   Jabil, Inc.     (285,617
    (2,500   Jefferies Financial Group, Inc.     (121,500
    (7,952   Johnson Controls International PLC     (806,094
    (19,600   Keurig Dr. Pepper, Inc.     (659,932
    (9,200   Kimco Realty Corp. – (REIT)     (195,592
    (8,300   Kite Realty Group Trust – (REIT)     (183,596
    (18,289   KKR & Co., Inc.     (2,221,382
    (18,700   Kraft Heinz Co.     (499,851
    (2,800   Kyndryl Holdings, Inc. *     (109,312
    (37,048   Liberty Media Corp.-Liberty Formula One – Class C *     (3,576,243
    (6,413   Linde PLC     (2,998,591
    (22,376   Live Nation Entertainment, Inc. *     (3,069,763
    (2,056   LPL Financial Holdings, Inc.     (796,001
    (800   Lululemon Athletica, Inc. *     (253,336
    (5,600   Lumentum Holdings, Inc. *     (404,768
    (6,900   Lyft, Inc. – Class A *     (105,156
    (7,843   Manhattan Associates, Inc. *     (1,480,602
    (44,900   MARA Holdings, Inc. *     (633,988
    (2,800   Marriott International, Inc. – Class A     (738,724
    (38,545   Marvell Technology, Inc.     (2,320,024
    (1,235   Mastercard, Inc. – Class A     (723,216
    (8,900   McCormick & Co., Inc.     (647,297
    (3,278   McKesson Corp.     (2,358,554
    (350   MercadoLibre, Inc. *     (897,151
    (10,953   Microchip Technology, Inc.     (635,712
    (5,200   MicroStrategy, Inc. – Class A *     (1,919,112
    (7,800   Moderna, Inc. *     (207,168
    (26,161   MongoDB, Inc. *     (4,939,982
    (3,015   Moody’s Corp.     (1,445,150
    (2,300   Morgan Stanley     (294,469
    (1,385   Motorola Solutions, Inc.     (575,301
    (4,021   MSCI, Inc.     (2,267,924
    (17,017   Natera, Inc. *     (2,684,091
    (18,440   Newmont Corp.     (972,157
    (11,400   NextEra Energy, Inc.     (805,296
    (9,558   NIKE, Inc. – Class B     (579,119
    (18,800   Nutanix, Inc. – Class A *     (1,441,772
    (57   NVR, Inc. *     (405,608
    (10,800   Occidental Petroleum Corp.     (440,424
    (31,716   Okta, Inc. *     (3,272,140
    (1,900   Omega Healthcare Investors, Inc. – (REIT)     (70,300
    (23,408   ONEOK, Inc.     (1,892,303
    (25,676   Palantir Technologies, Inc. – Class A *     (3,383,583
    (3,700   Palo Alto Networks, Inc. *     (711,954
    (20,228   Paychex, Inc.     (3,194,203
    (35,200   PG&E Corp.     (594,176
    (2,600   Planet Fitness, Inc. – Class A *     (267,358
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          United States — continued      

  

    (1,797   Pool Corp.     (540,160
    (4,000   Primo Brands Corp.     (132,280
    (10,100   Prologis, Inc. – (REIT)     (1,096,860
    (20,400   Pure Storage, Inc. – Class A *     (1,093,236
    (3,500   Q2 Holdings, Inc. *     (306,320
    (21,863   Realty Income Corp. – (REIT)     (1,237,883
    (2,800   Regency Centers Corp. – (REIT)     (202,020
    (2,400   Reinsurance Group of America, Inc.     (487,896
    (10,100   REVOLUTION Medicines, Inc. *     (397,940
    (248,586   Rivian Automotive, Inc. – Class A *     (3,611,955
    (24,300   Robinhood Markets, Inc. – Class A *     (1,607,445
    (45,493   ROBLOX Corp. – Class A *     (3,956,981
    (20,100   Rocket Lab Corp. *     (538,479
    (17,708   Roku, Inc. *     (1,283,122
    (38,788   Rollins, Inc.     (2,220,613
    (3,100   Royal Caribbean Cruises Ltd.     (796,607
    (5,334   RTX Corp.     (727,984
    (6,200   Ryan Specialty Holdings, Inc.     (443,734
    (500   Ryman Hospitality Properties, Inc. – (REIT)     (48,555
    (387   S&P Global, Inc.     (198,477
    (51,843   Samsara, Inc. – Class A *     (2,412,773
    (3,100   Sarepta Therapeutics, Inc. *     (116,560
    (237,745   Schlumberger NV     (7,857,472
    (7,206   Seagate Technology Holdings PLC     (849,876
    (2,381   ServiceNow, Inc. *     (2,407,405
    (3,300   Shift4 Payments, Inc. – Class A *     (312,807
    (89,849   Snap, Inc. – Class A *     (741,254
    (15,067   Snowflake, Inc. – Class A *     (3,098,830
    (60,300   SoFi Technologies, Inc. *     (801,990
    (126,500   SoundHound AI, Inc. – Class A *     (1,278,915
    (7,800   Southern Co.     (702,000
    (22,300   Southwest Airlines Co.     (744,374
    (2,195   Starbucks Corp.     (184,270
    (3,600   Starwood Property Trust, Inc. – (REIT)     (71,100
    (3,973   STERIS PLC     (974,219
    (8,935   Sun Communities, Inc. – (REIT)     (1,102,936
    (4,300   Sysco Corp.     (313,900
    (17,977   Take-Two Interactive Software, Inc. *     (4,067,836
    (6,886   Targa Resources Corp.     (1,087,506
    (21,000   TechnipFMC PLC     (654,150
    (9,170   Tesla, Inc. *     (3,177,038
    (1,588   Texas Pacific Land Corp.     (1,769,080
    (2,708   T-Mobile U.S., Inc.     (655,878
    (77,028   Toast, Inc. – Class A *     (3,249,041
    (13,162   Tractor Supply Co.     (637,041
    (1,650   TransDigm Group, Inc.     (2,422,909
    (4,100   Twilio, Inc. – Class A *     (482,570
    (1,852   Tyler Technologies, Inc. *     (1,068,585
    (22,800   UDR, Inc. – (REIT)     (944,604
    (4,972   U-Haul Holding Co. NVDR     (283,603
    (35,800   Unity Software, Inc. *     (933,664
    (19,900   Varonis Systems, Inc. *     (948,832

Shares /

Par Value†

    Description   Value ($)  
          United States — continued      

  

    (9,400   Vaxcyte, Inc. *     (305,406
    (25,346   Ventas, Inc. – (REIT)     (1,629,241
    (1,400   Verisk Analytics, Inc.     (439,796
    (7,900   Vertiv Holdings Co. – Class A     (852,647
    (6,700   Viking Therapeutics, Inc. *     (179,560
    (18,036   Vistra Corp.     (2,896,041
    (2,000   Vornado Realty Trust – (REIT)     (75,340
    (4,500   Walt Disney Co.     (508,680
    (3,467   Waste Connections, Inc.     (683,311
    (2,921   Waste Management, Inc.     (703,873
    (5,330   Watsco, Inc.     (2,364,228
    (12,457   Welltower, Inc. – (REIT)     (1,921,866
    (252   West Pharmaceutical Services, Inc.     (53,134
    (23,241   Western Digital Corp. *     (1,198,074
    (636   WEX, Inc. *     (84,543
    (64,180   Williams Cos., Inc.     (3,883,532
    (1,001   Workday, Inc. – Class A *     (247,958
    (8,151   Wynn Resorts Ltd.     (737,992
    (1,100   XPO, Inc. *     (125,213
    (39,907   Zillow Group, Inc. – Class C *     (2,678,159
    (6,301   Zimmer Biomet Holdings, Inc.     (580,763
    (20,401   Zscaler, Inc. *     (5,624,556
     

 

 

 
    Total United States     (353,073,306
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $558,112,739)
    (579,391,178
     

 

 

 
          PREFERRED STOCKS (g) — (0.2)%  
          Germany — (0.2)%  
    (7,188   Sartorius AG     (1,724,238
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $2,111,096)
    (1,724,238
     

 

 

 
          DEBT OBLIGATIONS — (3.8)%  
          United States — (3.8)%  
          U.S. Government Agency — (3.8)%  
    (15,000,000   Uniform Mortgage-Backed Security, TBA, 2.50%, due 07/01/39     (13,861,572
    (11,500,000   Uniform Mortgage-Backed Security, TBA, 6.00%, due 07/01/54     (11,599,679
     

 

 

 
    Total United States     (25,461,251
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(PROCEEDS $25,393,144)
    (25,461,251
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $585,616,979)
    (606,576,667
    Other Assets and Liabilities (net) — (5.9)%     (39,676,112
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $  675,937,235  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/12/2025   BCLY     AUD       2,450,000       USD       1,587,520       6,486  
06/03/2025   BCLY     BRL       60,351,334       USD       10,603,913       52,058  
07/15/2025   SSB     CHF       15,427,275       USD       19,145,647       302,236  
08/18/2025   CITI     CLP       340,000,000       USD       362,656       3,325  
08/18/2025   BCLY     CLP       646,200,000       USD       683,614       674  
07/15/2025   CITI     CZK       26,900,000       USD       1,229,265       2,122  
07/30/2025   MSCI     EUR       3,724,200       USD       4,253,887       9,446  
07/30/2025   CITI     EUR       670,000       USD       767,700       4,107  
07/30/2025   JPM     EUR       2,130,000       USD       2,433,750       6,206  
07/31/2025   UBSA     GBP       3,632,046       USD       4,901,922       7,069  
06/23/2025   BCLY     HKD       125,510,346       USD       16,103,495       64,432  
08/19/2025   CITI     HUF       190,000,000       USD       532,804       715  
07/15/2025   GS     IDR       6,600,000,000       USD       404,759       1,940  
07/15/2025   CITI     IDR       12,326,200,000       USD       752,806       499  
07/14/2025   BCLY     JPY       502,000,000       USD       3,505,294       440  
07/14/2025   UBSA     KRW       1,232,050,917       USD       901,163       7,037  
06/03/2025   JPM     MXN       69,942,366       USD       3,613,405       7,385  
06/03/2025   MSCI     MXN       157,821,079       USD       8,156,887       20,102  
06/03/2025   BCLY     MXN       157,821,079       USD       8,158,363       21,578  
07/15/2025   CITI     MXN       11,400,000       USD       584,912       214  
07/15/2025   SSB     PHP       17,500,000       USD       313,315       7  
07/15/2025   GS     PHP       15,500,000       USD       277,549       48  
08/20/2025   CITI     PLN       1,500,000       USD       401,228       1,136  
06/23/2025   GS     RON       2,741,896       USD       623,789       9,883  
06/12/2025   CITI     SEK       13,600,000       USD       1,431,323       11,970  
06/20/2025   CITI     THB       26,700,000       USD       816,841       2,566  
06/27/2025   MSCI     USD       4,479,894       AUD       7,086,872       89,874  
06/27/2025   BOA     USD       1,272,638       AUD       1,980,495       4,427  
06/27/2025   SSB     USD       2,525,792       AUD       3,943,896       17,317  
08/12/2025   SSB     USD       1,532,259       AUD       2,390,000       10,056  
07/31/2025   UBSA     USD       8,827,605       AUD       13,712,507       19,336  
08/12/2025   CITI     USD       1,465,417       AUD       2,280,000       5,913  
06/03/2025   BCLY     USD       9,633,310       BRL       55,751,334       114,279  
06/03/2025   JPM     USD       23,334,392       BRL       134,940,453       258,659  
06/03/2025   BOA     USD       18,050,808       CAD       25,731,670       700,192  
06/13/2025   MSCI     USD       2,696,404       CAD       3,820,000       88,663  
06/13/2025   BCLY     USD       2,038,793       CAD       2,820,000       17,198  
06/03/2025   JPM     USD       2,449,825       CAD       3,384,274       16,339  
07/31/2025   BOA     USD       13,037,743       CAD       17,980,368       102,966  
08/15/2025   MSCI     USD       12,275,283       COP       52,216,600,000       186,689  
08/15/2025   GS     USD       1,326,570       COP       5,600,000,000       9,921  
07/15/2025   BBH     USD       308,155       CZK       6,800,000       2,051  
07/15/2025   BCLY     USD       9,397,939       CZK       207,800,000       81,617  
07/14/2025   JPM     USD       784,492       EGP       43,100,000       66,191  
08/07/2025   CITI     USD       887,965       EGP       47,000,000       28,831  
08/14/2025   MSCI     USD       2,688,394       EUR       2,380,000       26,817  
07/15/2025   JPM     USD       3,031,166       GBP       2,310,000       81,794  
07/15/2025   MSCI     USD       3,614,461       GBP       2,720,000       51,015  
07/15/2025   BCLY     USD       1,562,181       GBP       1,160,000       1,037  
08/19/2025   GS     USD       2,158,642       HUF       779,520,539       24,381  
07/15/2025   JPM     USD       9,293,200       IDR       155,196,443,000       178,932  
08/12/2025   GS     USD       607,457       ILS       2,150,000       5,157  
08/12/2025   DB     USD       693,488       ILS       2,450,000       4,607  
06/26/2025   SSB     USD       1,622,126       INR       140,000,000       12,242  
07/14/2025   DB     USD       23,403,659       JPY       3,353,915,155       12,643  
07/14/2025   MSCI     USD       1,709,777       JPY       245,000,000       760  

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/14/2025   BCLY     USD       2,590,844       JPY       376,000,000       34,305  
07/14/2025   MSCI     USD       4,616,202       KRW       6,398,725,499       27,496  
06/03/2025   BCLY     USD       9,532,374       MXN       192,792,262       407,421  
06/03/2025   MSCI     USD       9,534,420       MXN       192,792,262       405,375  
07/15/2025   MSCI     USD       2,648,954       MXN       54,518,725       147,275  
07/15/2025   SSB     USD       770,171       MXN       15,400,000       19,685  
07/15/2025   CITI     USD       1,357,846       MXN       26,900,000       21,836  
07/15/2025   BCLY     USD       25,013,164       NOK       266,527,768       1,096,778  
08/14/2025   DB     USD       2,761,898       NZD       4,660,000       29,427  
07/08/2025   JPM     USD       14,254,078       PEN       52,780,000       320,635  
07/08/2025   CITI     USD       318,943       PEN       1,200,000       12,426  
07/15/2025   SSB     USD       911,109       PHP       51,000,000       1,959  
06/23/2025   CITI     USD       1,667,250       RON       7,550,000       23,182  
06/12/2025   BOA     USD       12,569,074       SEK       126,255,521       607,481  
06/12/2025   CITI     USD       1,739,533       SEK       17,300,000       65,967  
06/12/2025   GS     USD       2,347,198       SEK       22,500,000       996  
06/20/2025   JPM     USD       9,125,767       THB       304,047,749       146,838  
07/03/2025   BCLY     USD       5,266,187       TRY       219,200,000       146,613  
06/27/2025   MSCI     USD       8,910,954       ZAR       165,000,000       248,395  
06/27/2025   SSB     USD       313,207       ZAR       5,800,000       8,758  
06/24/2025   JPM     USD       990,723       ZAR       18,597,039       41,849  
06/27/2025   CITI     USD       1,015,321       ZAR       18,400,000       6,085  
08/12/2025   SSB     AUD       2,390,000       USD       1,535,441       (6,875
06/03/2025   GS     BRL       3,150,000       USD       540,534       (10,213
06/03/2025   CITI     BRL       3,950,000       USD       672,358       (18,262
08/04/2025   CITI     BRL       5,400,000       USD       928,458       (2,224
06/13/2025   MSCI     CAD       5,400,000       USD       3,764,731       (172,275
06/13/2025   CITI     CAD       8,650,000       USD       6,108,831       (197,669
06/03/2025   BOA     CAD       23,384,264       USD       16,900,921       (139,494
06/13/2025   SSB     CAD       4,000,000       USD       2,891,118       (25,182
06/03/2025   MSCI     CAD       1,321,902       USD       956,871       (6,416
06/13/2025   BOA     CAD       1,970,000       USD       1,430,970       (5,308
06/03/2025   BCLY     CAD       4,409,777       USD       3,168,660       (44,801
08/15/2025   SSB     CAD       49,975       USD       35,922       (629
08/15/2025   MSCI     CAD       7,685,548       USD       5,563,154       (57,994
07/15/2025   SSB     CHF       1,640,000       USD       2,002,944       (210
08/04/2025   BCLY     CHF       49,219,519       USD       59,963,657       (307,626
08/15/2025   CITI     COP       4,683,900,000       USD       1,114,741       (3,114
07/15/2025   CITI     CZK       31,500,000       USD       1,428,601       (8,387
07/15/2025   SSB     CZK       10,800,000       USD       485,921       (6,760
07/14/2025   JPM     EGP       12,100,000       USD       238,471       (352
08/12/2025   CITI     EUR       24,239,611       USD       27,564,975       (84,916
08/14/2025   BCLY     EUR       7,280,000       USD       8,142,164       (163,188
07/30/2025   CITI     EUR       906,000       USD       1,022,837       (9,724
07/30/2025   MSCI     EUR       654,000       USD       737,579       (7,779
07/31/2025   BCLY     EUR       39,857,454       USD       45,267,824       (160,423
07/15/2025   SSB     GBP       990,000       USD       1,308,867       (25,258
07/15/2025   MSCI     GBP       2,000,000       USD       2,675,198       (20,005
07/15/2025   JPM     GBP       2,180,000       USD       2,908,110       (29,661
08/19/2025   SSB     HUF       125,000,000       USD       347,204       (2,854
07/15/2025   GS     IDR       5,800,000,000       USD       350,284       (3,709
08/12/2025   MSCI     ILS       1,067,605       USD       299,031       (5,168
08/12/2025   CITI     ILS       2,800,000       USD       789,513       (8,309
06/26/2025   CITI     INR       305,000,000       USD       3,535,715       (24,874
06/30/2025   BBH     JPY       2,000,000,000       USD       13,891,880       (49,640
07/14/2025   MSCI     JPY       254,000,000       USD       1,761,555       (11,817
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/31/2025   SSB     JPY       1,638,913,786       USD       11,436,611       (27,868
08/18/2025   MSCI     KRW       761,169,825       USD       538,542       (15,199
07/15/2025   CITI     NOK       73,200,000       USD       7,041,258       (129,655
07/15/2025   DB     NOK       12,600,000       USD       1,215,542       (18,795
08/14/2025   SSB     NZD       9,890,000       USD       5,833,698       (90,381
07/31/2025   SSB     NZD       4,193,771       USD       2,492,325       (18,498
07/08/2025   JPM     PEN       500,000       USD       132,521       (5,550
07/08/2025   GS     PEN       5,440,000       USD       1,494,759       (7,447
07/08/2025   CITI     PEN       1,720,000       USD       467,927       (7,035
07/08/2025   MSCI     PEN       1,160,000       USD       317,758       (2,566
08/20/2025   SSB     PLN       1,250,000       USD       329,249       (4,161
08/20/2025   GS     PLN       3,800,000       USD       996,072       (17,494
08/20/2025   MSCI     PLN       1,350,000       USD       356,182       (3,901
06/12/2025   CITI     SEK       81,600,000       USD       8,240,534       (275,582
07/21/2025   BOA     SEK       163,904,703       USD       16,933,952       (213,379
06/12/2025   GS     SEK       30,300,000       USD       3,153,857       (8,378
07/22/2025   BOA     SGD       4,580,000       USD       3,509,256       (52,758
07/22/2025   BBH     SGD       1,070,000       USD       821,413       (10,761
06/20/2025   MSCI     THB       16,500,000       USD       500,535       (2,668
06/20/2025   CITI     THB       21,700,000       USD       661,147       (642
07/03/2025   BCLY     TRY       22,000,000       USD       541,739       (1,517
07/15/2025   SSB     TWD       11,443,349       USD       380,582       (6,253
06/27/2025   GS     USD       570,893       AUD       880,837       (2,911
06/03/2025   CITI     USD       509,876       BRL       2,900,000       (2,839
06/03/2025   BCLY     USD       812,864       BRL       4,600,000       (8,598
06/03/2025   GS     USD       431,880       BRL       2,450,000       (3,521

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/04/2025   BCLY     USD       9,661,439       BRL       55,751,334       (52,785
08/04/2025   JPM     USD       23,961,057       BRL       137,790,453       (213,090
08/18/2025   MSCI     USD       7,809,328       CLP       7,347,796,500       (43,770
08/18/2025   GS     USD       340,456       CLP       320,000,000       (2,262
08/15/2025   CITI     USD       506,957       COP       2,120,000,000       (999
07/15/2025   CITI     USD       476,099       CZK       10,400,000       (1,664
07/30/2025   CITI     USD       285,922       EUR       250,000       (999
07/15/2025   MSCI     USD       1,883,721       GBP       1,390,000       (10,555
06/26/2025   MSCI     USD       339,007       INR       29,000,000       (459
06/26/2025   CITI     USD       390,549       INR       33,000,000       (5,305
08/18/2025   SSB     USD       608,518       KRW       830,000,000       (4,704
07/15/2025   MSCI     USD       411,982       MXN       8,000,000       (1,668
07/15/2025   SSB     USD       755,048       MXN       14,600,000       (6,224
08/04/2025   MSCI     USD       8,095,755       MXN       157,821,079       (19,885
08/04/2025   BCLY     USD       8,097,292       MXN       157,821,079       (21,422
07/28/2025   UBSA     USD       51,003,342       NOK       519,185,965       (143,130
06/23/2025   BBH     USD       528,488       RON       2,300,000       (13,522
06/23/2025   CITI     USD       325,235       RON       1,450,000       (582
07/15/2025   SSB     USD       325,269       TWD       9,600,000       (747
06/27/2025   SSB     USD       815,150       ZAR       14,600,000       (4,686
06/27/2025   SSB     ZAR       15,000,000       USD       774,666       (58,002
06/27/2025   BBH     ZAR       15,200,000       USD       814,058       (29,713
06/27/2025   GS     ZAR       21,200,000       USD       1,156,020       (20,817
06/27/2025   CITI     ZAR       14,500,000       USD       801,450       (3,462
           

 

 

 
            $ 3,364,442  
           

 

 

 
 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
132   Australia Government Bond 10 Yr.   June 2025     9,711,545       119,063  
158   CAC40 10 Euro   June 2025     13,902,053       (75,452
326   Cotton(i)   July 2025     10,604,780       (278,062
165   Euro Bund   June 2025     24,582,098       269,023  
28   Euro Bund   September 2025     4,165,467       2,978  
20   FTSE MIB Index   June 2025     4,563,017       539,890  
193   FTSE Taiwan Index   June 2025     13,351,084       (460,205
19   Gold(i)   August 2025     6,299,260       6,354  
21   Hang Seng Index   June 2025     3,092,736       (16,085
796   Iron Ore(i)   July 2025     7,612,944       (161,501
238   KOSPI 200 Index   June 2025     15,529,427       851,022  
177   Lean Hogs(i)   July 2025     7,428,690       249,664  
92   Montreal Exchange 10 Yr. Canadian Bonds   September 2025     8,199,453       61,611  
12   Natural Gas(i)   June 2025     413,640       (4,222
86   NYMEX Platinum Futures(i)   July 2025     4,536,070       269,794  
7   RBOB Gasoline(i)   June 2025     592,439       16,334  
190   Soybean Meal(i)   July 2025     5,629,700       (71,510
277   Sugar(i)   June 2025     5,289,592       (336,850
5   Swiss Market New Index Futures   June 2025     743,787       (8,433
151   TOPIX Index   June 2025     29,159,673       1,422,739  
1   U.S. Ultra Bond (CBT)   September 2025     116,063       819  
55   UK Gilt Long Bond   September 2025     6,779,054       42,000  
     

 

 

   

 

 

 
  $ 182,302,572     $ 2,438,971  
 

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
43   E-mini Technology Select Sector Futures   June 2025     10,022,010       (907,117
109   CBOE Volatility Index(i)   June 2025     2,182,387       (44,978
53   Cocoa(i)   July 2025     5,189,230       (801,908
92   Coffee(i)   July 2025     11,814,525       240,973  
85   Copper(i)   July 2025     9,939,688       (406,766
44   DAX Index   June 2025     30,071,790       (1,587,688
277   E-mini Russell 2000 Index   June 2025     28,645,955       (711,543
34   FTSE 100 Index   June 2025     4,031,681       (98,948
415   IFSC NIFTY 50 Index   June 2025     20,654,744       61,652  
112   Live Cattle Futures(i)   August 2025     9,378,880       50,232  
483   MSCI Singapore   June 2025     15,341,541       78,601  
295   OMX Stockholm 30 Index   June 2025     7,675,292       117,968  
7   S&P 500 E-Mini   June 2025     2,070,600       4,080  
71   S&P/TSX   June 2025     16,224,433       (1,184,246
5   Silver(i)   July 2025     825,725       (66,334
57   Soybean(i)   July 2025     2,968,988       55,039  
547   Soybean Oil(i)   July 2025     15,389,298       320,086  
160   SPI 200 Futures   June 2025     21,805,524       (1,152,933
24   U.S. Treasury Note 10 Yr. (CBT)   September 2025     2,701,125       (10,132
87   U.S. Treasury Note 2 Yr. (CBT)   September 2025     18,047,063       (20,340
71   U.S. Treasury Note 5 Yr. (CBT)   September 2025     7,681,313       (36,285
277   WCE Canola Futures(i)   July 2025     2,870,619       (233,226
153   Wheat(i)   July 2025     4,085,100       129,838  
3   WTI Crude(i)   June 2025     182,370       (3,118
     

 

 

   

 

 

 
  $ 249,799,881     $ (6,207,093
 

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Written Options

 

Description

    

Exercise
Price

     Expiration
Date
       Number of
Contracts
       Notional
Amount
       Value ($)  

Equity Options – Calls

                             

Dick’s Sporting Goods, Inc.

     210.00        09/19/25          (194        USD          (3,479,196        (110,580

Howard Hughes Holdings, Inc.(d)

     65.00        10/17/25          (80        USD          (546,480        (70,400

Omnicom Group, Inc.(d)

     75.00        10/17/25          (145        USD          (1,064,880        (63,800

Rentokil Initial PLC(d)

     22.50        11/21/25          (349        USD          (829,573        (118,660

Rentokil Initial PLC(d)

     25.00        11/21/25          (114        USD          (270,978        (23,370

TFI International, Inc.(d)

     80.00        11/21/25          (101        USD          (868,903        (147,460

TFI International, Inc.(d)

     85.00        11/21/25          (31        USD          (266,693        (36,580

AZEK Co., Inc.(d)

     50.00        12/19/25          (968        USD          (4,792,568        (629,200

Globus Medical, Inc.(d)

     70.00        12/19/25          (113        USD          (668,734        (31,640

Globus Medical, Inc.(d)

     60.00        12/19/25          (46        USD          (272,228        (37,720

Liberty Broadband Corp.(d)

     75.00        12/19/25          (240        USD          (2,251,200        (573,600

Middleby Corp.(d)

     125.00        12/19/25          (83        USD          (1,212,879        (265,600

WillScot Holdings Corp.(d)

     25.00        12/19/25          (3,232        USD          (8,710,240        (1,939,200

Albertsons Cos., Inc.(d)

     22.00        01/16/26          (824        USD          (1,831,752        (174,688

Alphabet, Inc.(d)

     150.00        01/16/26          (52        USD          (893,048        (169,520

Becton Dickinson & Co.(d)

     210.00        01/16/26          (40        USD          (690,360        (18,400

Becton Dickinson & Co.(d)

     175.00        01/16/26          (16        USD          (276,144        (24,000

Capri Holdings Ltd.(d)

     15.00        01/16/26          (380        USD          (688,560        (197,600

ConocoPhillips(d)

     85.00        01/16/26          (32        USD          (273,120        (31,680

DuPont de Nemours, Inc.(d)

     65.00        01/16/26          (170        USD          (1,135,600        (164,900

Hess Corp.(d)

     130.00        01/16/26          (142        USD          (1,877,098        (228,620

Hewlett Packard Enterprise Co.(d)

     15.00        01/16/26          (520        USD          (898,560        (192,400

Hewlett Packard Enterprise Co.(d)

     18.00        01/16/26          (154        USD          (266,112        (32,186

Humana, Inc.(d)

     270.00        01/16/26          (31        USD          (722,703        (62,930

Humana, Inc.(d)

     230.00        01/16/26          (12        USD          (279,756        (47,040

International Paper Co.(d)

     50.00        01/16/26          (285        USD          (1,362,585        (133,950

Kraft Heinz Co.(d)

     27.50        01/16/26          (102        USD          (272,646        (19,278

Meta Platforms, Inc.(d)

     500.00        01/16/26          (16        USD          (1,035,984        (286,960

Mr. Cooper Group, Inc.(d)

     110.00        01/16/26          (70        USD          (906,710        (240,800

Mr. Cooper Group, Inc.(d)

     130.00        01/16/26          (670        USD          (8,678,510        (1,621,400

Norfolk Southern Corp.(d)

     230.00        01/16/26          (36        USD          (889,632        (127,080

Norfolk Southern Corp.(d)

     250.00        01/16/26          (11        USD          (271,832        (24,970

Penn Entertainment, Inc.(d)

     15.00        01/16/26          (354        USD          (524,982        (109,740

Penn Entertainment, Inc.(d)

     16.00        01/16/26          (177        USD          (262,491        (38,409

Rocket Cos., Inc.(d)

     13.00        01/16/26          (419        USD          (534,225        (77,934

Silicon Motion Technology Corp.(d)

     55.00        01/16/26          (161        USD          (985,320        (231,840

United Rentals, Inc.(d)

     720.00        01/16/26          (4        USD          (283,352        (34,640

WillScot Holdings Corp.(d)

     22.50        01/16/26          (820        USD          (2,209,900        (574,000
                             

 

 

 
     Total Equity Options – Calls

 

       (8,912,775
                             

 

 

 

Index Options – Puts

 

S&P 500 Index

     5,690.00        06/04/25          (18        USD          (10,641,042        (3,150

S&P 500 Index

     5,680.00        06/04/25          (20        USD          (11,823,380        (3,000

S&P 500 Index

     5,670.00        06/04/25          (21        USD          (12,414,549        (2,583

S&P 500 Index

     5,695.00        06/04/25          (17        USD          (10,049,873        (3,145

S&P 500 Index

     5,685.00        06/04/25          (19        USD          (11,232,211        (3,040

S&P 500 Index

     5,675.00        06/04/25          (20        USD          (11,823,380        (2,760

S&P 500 Index

     5,280.00        06/06/25          (15        USD          (8,867,535        (375

S&P 500 Index

     5,720.00        06/06/25          (12        USD          (7,094,028        (7,910

S&P 500 Index

     5,705.00        06/06/25          (13        USD          (7,685,197        (7,139

S&P 500 Index

     5,715.00        06/06/25          (12        USD          (7,094,028        (7,430

S&P 500 Index

     5,730.00        06/06/25          (11        USD          (6,502,859        (8,241

S&P 500 Index

     5,725.00        06/06/25          (12        USD          (7,094,028        (8,390

S&P 500 Index

     5,710.00        06/06/25          (13        USD          (7,685,197        (7,529

S&P 500 Index

     5,500.00        06/13/25          (11        USD          (6,502,859        (6,490

S&P 500 Index

     5,685.00        06/20/25          (10        USD          (5,911,690        (30,300

S&P 500 Index

     5,660.00        06/27/25          (10        USD          (5,911,690        (37,400

S&P 500 Index

     5,800.00        07/03/25          (10        USD          (5,911,690        (71,800

S&P 500 Index

     5,950.00        07/11/25          (10        USD          (5,911,690        (132,900

S&P 500 Index

     5,910.00        07/18/25          (10        USD          (5,911,690        (126,812
                             

 

 

 
     Total Index Options – Puts

 

       (470,394
                             

 

 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Written Options — continued

 

Description

   Counterparty   

Exercise
Rate

   Expiration
Date
     Principal/
Notional
Amount
    Floating
Rate Index
    

Pay/

Receive
Floating Rate

   Value ($)  

Written Options on Credit Default Swaps - Puts

                

CDX.NA.IG.S43

   GS    0.70%      06/18/25        USD        (6,050,000     Fixed Spread      Pay      (793

CDX.NA.HY.S44

   GS    1.03%      07/16/25        USD        (42,470,000     Fixed Spread      Pay      (133,088

CDX.NA.HY.S44

   GS    1.04%      06/18/25        USD        (42,470,000     Fixed Spread      Pay      (65,966
                      

 

 

 
        

 

Total Written Option on Credit Default Swaps - Puts

     (199,847
                      

 

 

 
          
TOTAL WRITTEN OPTIONS
(Premiums $8,614,054)

 
      $ (9,583,016
     

 

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/

(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/

(Depreciation) ($)
 

Buy Protection^:

 

ITRAXX.XO.42

  EUR     13,024,044       5.00%       2.87%       N/A       12/20/2029       Quarterly       (1,138,852     (1,252,187     (113,335

ITRAXX.EUR.42

  EUR     60,000,000       1.00%       0.54%       N/A       12/20/2029       Quarterly       (1,121,256     (1,361,791     (240,535

CDX.NA.HY.S44

  USD     16,261,000       5.00%       3.51%       N/A       06/20/2030       Quarterly       (795,133     (1,002,312     (207,179

CDX.NA.IG.44

  USD     34,583,000       1.00%       0.56%       N/A       06/20/2030       Quarterly       (494,227     (692,767     (198,540

Sell Protection^:

 

ITRAXX.EUR.43

  EUR     25,561,000       1.00%       0.58%       25,561,000 EUR       06/20/2030       Quarterly       592,884       583,658       (9,226

ITRAXX.XO.43

  EUR     6,737,000       5.00%       3.00%       6,737,000 EUR       06/20/2030       Quarterly       658,035       660,644       2,609  
               

 

 

   

 

 

   

 

 

 
                $ (2,298,549   $ (3,064,755   $ (766,206
               

 

 

   

 

 

   

 

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counter-

party

 

Notional

Amount

    Annual
Premium
    Implied
Credit

Spread (1)
    Maximum
Potential
Amount of
Future

Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/

(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CMBX.NA.BBB-.18

  GS   USD     10,000,000       3.00%       5.26%       N/A       12/17/2057       Monthly       775,950       791,281       15,331  

CMBX.NA.A.15

  CGMI   USD     2,222,000       2.00%       3.18%       N/A       11/18/2064       Monthly       266,640       128,800       (137,840

CMBX.NA.A.15

  MSCI   USD     2,222,500       2.00%       3.18%       N/A       11/18/2064       Monthly       134,225       128,829       (5,396

Sell Protection^:

 

CDX.NA.HY.43

  GS   USD     3,750,000       5.00%       1.66%       3,750,000 USD       12/20/2029       Quarterly       353,771       521,518       167,747  

CDX.NA.HY.43

  GS   USD     3,750,000       5.00%       3.94%       3,750,000 USD       12/20/2029       Quarterly       (198,229     160,882       359,111  

ITRAXX.EUR.42

  BOA   EUR     100,000,000       1.00%       0.25%       100,000,000 EUR     12/20/2029       Quarterly       3,480,791       3,717,100       236,309  

ITRAXX.XO.42

  CGMI   EUR     11,110,000       5.00%       0.59%       11,110,000 EUR       12/20/2029       Quarterly       2,219,796       2,302,124       82,328  

ITRAXX.XO.42

  CITI   EUR     10,000,000       5.00%       0.59%       10,000,000 EUR       12/20/2029       Quarterly       1,939,631       2,072,118       132,487  

ITRAXX.XO.42

  JPM   EUR     8,771,496       5.00%       0.59%       8,771,496 EUR       12/20/2029       Quarterly       1,857,647       1,817,558       (40,089

CMBX.NA.AAA.10

  GS   USD     4,610,000       0.50%       0.25%       4,610,000 USD       11/17/2059       Monthly       42,163       14,457       (27,706

CMBX.NA.AAA.15

  CGMI   USD     4,445,000       0.50%       0.62%       4,445,000 USD       11/18/2064       Monthly       (165,846     (27,666     138,180  

CMBX.NA.AAA.15

  GS   USD     1,730,000       0.50%       0.62%       1,730,000 USD       11/18/2064       Monthly       (26,617     (10,768     15,849  

CMBX.NA.AAA.15

  MSCI   USD     4,445,000       0.50%       0.62%       4,445,000 USD       11/18/2064       Monthly       (64,209     (27,666     36,543  
                 

 

 

   

 

 

   

 

 

 
                  $ 10,615,713     $ 11,588,567     $ 972,854  
                 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection—Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

Swap Contracts — continued

OTC Credit Default Swaps — continued

 

  referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection—Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1) 

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

Centrally Cleared Interest Rate Swaps

 

Fund Pays

  Fund Receives  

Notional
Amount

    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

3.18%

  3 Month AUD BBSW   AUD     105,500,000       06/18/2027     Quarterly     11,095       55,258       44,163  

3 Month AUD BBSW

  3.16%   AUD     18,500,000       06/18/2027     Quarterly           (13,131     (13,131

3 Month AUD BBSW

  3.20%   AUD     22,500,000       06/18/2027     Quarterly           (4,391     (4,391

3 Month AUD BBSW

  3.25%   AUD     14,000,000       06/18/2027     Quarterly           6,122       6,122  

CAD-CORRA-OIS-COMPOUND

  2.29%   CAD     81,000,000       06/18/2027     Annually     75,240       (170,788     (246,028

CAD-CORRA-OIS-COMPOUND

  2.36%   CAD     9,500,000       06/18/2027     Annually           (11,234     (11,234

CAD-CORRA-OIS-COMPOUND

  2.39%   CAD     14,500,000       06/18/2027     Annually           (9,869     (9,869

2.37%

  CAD-CORRA-OIS-COMPOUND   CAD     17,000,000       06/18/2027     Annually           16,737       16,737  

2.42%

  CAD-CORRA-OIS-COMPOUND   CAD     11,000,000       06/18/2027     Annually           3,832       3,832  

2.41%

  CAD-CORRA-OIS-COMPOUND   CAD     15,000,000       06/18/2027     Annually           6,816       6,816  

CHF-SARON-OIS-COMPOUND

  0.14%   CHF     125,000,000       06/18/2027     Annually     (178,686     1,270,088       1,448,774  

CHF-SARON-OIS-COMPOUND

  0.25%   CHF     6,000,000       06/18/2027     Annually           77,410       77,410  

(0.05)%

  CHF-SARON-OIS-COMPOUND   CHF     10,000,000       06/18/2027     Annually           (54,725     (54,725

(0.10)%

  CHF-SARON-OIS-COMPOUND   CHF     6,000,000       06/18/2027     Annually           (25,021     (25,021

(0.19)%

  CHF-SARON-OIS-COMPOUND   CHF     12,500,000       06/18/2027     Annually           (23,447     (23,447

(0.29)%

  CHF-SARON-OIS-COMPOUND   CHF     10,000,000       06/18/2027     Annually           4,560       4,560  

EUR-EuroSTR-COMPOUND

  1.65%   EUR     11,000,000       06/18/2027     Annually           (10,130     (10,130

EUR-EuroSTR-COMPOUND

  1.70%   EUR     9,500,000       06/18/2027     Annually           515       515  

EUR-EuroSTR-COMPOUND

  1.79%   EUR     8,000,000       06/18/2027     Annually           17,024       17,024  

GBP-SONIA-COMPOUND

  3.63%   GBP     8,000,000       06/18/2027     Annually           (40,291     (40,291

3.93%

  GBP-SONIA-COMPOUND   GBP     47,500,000       06/18/2027     Annually     (15,349     (125,761     (110,412

3.81%

  GBP-SONIA-COMPOUND   GBP     9,000,000       06/18/2027     Annually           3,262       3,262  

3 Month SEK STIBOR

  2.13%   SEK     80,000,000       06/18/2027     Quarterly           7,793       7,793  

3 Month SEK STIBOR

  2.23%   SEK     190,000,000       06/18/2027     Quarterly     (41,216     56,425       97,641  

3 Month SEK STIBOR

  2.52%   SEK     115,000,000       06/18/2027     Quarterly           103,582       103,582  

2.18%

  3 Month SEK STIBOR   SEK     240,000,000       06/18/2027     Quarterly           (48,420     (48,420

2.11%

  3 Month SEK STIBOR   SEK     125,000,000       06/18/2027     Quarterly           (7,238     (7,238

2.10%

  3 Month SEK STIBOR   SEK     135,000,000       06/18/2027     Quarterly     (1,679     (5,902     (4,223

3.51%

  USD-SOFR-OIS-COMPOUND   USD     12,500,000       06/18/2027     Annually           36,626       36,626  

BRL-CDI

  14.0%   BRL     30,240,212       01/02/2029     At Maturity     (76,389     113,259       189,648  

MXN-TIIE ON-OIS  COMPOUND

  7.74%   MXN     34,100,000       06/12/2030     Monthly           1,412       1,412  

MXN-TIIE ON-OIS  COMPOUND

  7.87%   MXN     29,300,000       06/12/2030     Monthly           9,186       9,186  

MXN-TIIE ON-OIS  COMPOUND

  8.22%   MXN     41,000,000       06/12/2030     Monthly     6,120       43,204       37,084  

5.09%

  CL-CLICP-Bloomberg   CLP     1,010,000,000       06/18/2030     Semi-Annually           (20,634     (20,634

CNY-CNREPOFIX=CFXS-Reuters

  1.44%   CNY     6,400,000       06/18/2030     Quarterly           (1,857     (1,857

1.57%

  CNY-CNREPOFIX=CFXS-Reuters   CNY     64,500,000       06/18/2030     Quarterly     6,490       (39,068     (45,558

COP-IBR-OIS-COMPOUND

  8.25%   COP     25,200,000,000       06/18/2030     Quarterly     16,731       (61,767     (78,498

COP-IBR-OIS-COMPOUND

  8.70%   COP     6,640,000,000       06/18/2030     Quarterly           12,588       12,588  

CZK-PRIBOR-PRBO

  3.44%   CZK     28,900,000       06/18/2030     Semi-Annually           9,078       9,078  

CZK-PRIBOR-PRBO

  3.50%   CZK     68,000,000       06/18/2030     Semi-Annually     (3,923     28,737       32,660  

CZK-PRIBOR-PRBO

  3.56%   CZK     123,500,000       06/18/2030     Semi-Annually     29,792       67,954       38,162  

3.21%

  CZK-PRIBOR-PRBO   CZK     21,900,000       06/18/2030     Semi-Annually           3,836       3,836  

HKD-HIBOR-HKAB

  2.96%   HKD     8,300,000       06/18/2030     Quarterly           9,315       9,315  

HKD-HIBOR-HKAB

  3.37%   HKD     36,000,000       06/18/2030     Quarterly     (16,144     128,542       144,686  

3.48%

  HKD-HIBOR-HKAB   HKD     10,400,000       06/18/2030     Quarterly           (43,570     (43,570

ILS-SHIR-OIS COMPOUND

  4.19%   ILS     9,700,000       06/18/2030     Annually     22,804       10,170       (12,634

5.97%

  INR-FBIL-MIBOR-OIS-COMPOUND   INR     900,000,000       06/18/2030     Semi-Annually     (26,950     (128,506     (101,556


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

  Fund Receives  

Notional
Amount

    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

KRW-CD-KSDA-Bloomberg

  2.33%   KRW     3,380,000,000       06/18/2030     Quarterly           (8,347     (8,347

KRW-CD-KSDA-Bloomberg

  2.41%   KRW     1,290,000,000       06/18/2030     Quarterly           244       244  

KRW-CD-KSDA-Bloomberg

  2.62%   KRW     2,440,000,000       06/18/2030     Quarterly           18,407       18,407  

2.52%

  KRW-CD-KSDA-Bloomberg   KRW     11,500,000,000       06/18/2030     Quarterly     42,297       (46,847     (89,144

4.78%

  PLN-WIBOR-WIBO   PLN     27,200,000       06/18/2030     Semi-Annually     29,910       (230,853     (260,763

3.81%

  PLN-WIBOR-WIBO   PLN     4,200,000       06/18/2030     Semi-Annually           12,458       12,458  

SGD-SORA-COMPOUND

  1.96%   SGD     1,820,000       06/18/2030     Semi-Annually           2,176       2,176  

SGD-SORA-COMPOUND

  2.26%   SGD     1,750,000       06/18/2030     Semi-Annually           22,106       22,106  

2.31%

  SGD-SORA-COMPOUND   SGD     10,000,000       06/18/2030     Semi-Annually     17,706       (143,903     (161,609

2.30%

  SGD-SORA-COMPOUND   SGD     1,900,000       06/18/2030     Semi-Annually           (26,392     (26,392

2.01%

  SGD-SORA-COMPOUND   SGD     1,460,000       06/18/2030     Semi-Annually           (4,826     (4,826

1.75%

  THB-THOR   THB     199,400,000       06/18/2030     Quarterly     10,361       (102,375     (112,736

1.68%

  THB-THOR   THB     33,000,000       06/18/2030     Quarterly           (13,803     (13,803

1.54%

  THB-THOR   THB     29,000,000       06/18/2030     Quarterly           (5,842     (5,842

1.40%

  THB-THOR   THB     33,400,000       06/18/2030     Quarterly           (152     (152

ZAR-JIBAR-SAFEX

  7.79%   ZAR     204,000,000       06/18/2030     Quarterly     6,667       172,040       165,373  

6 Month AUD BBSW

  4.13%   AUD     4,900,000       06/18/2035     Semi-Annually           (1,767     (1,767

6 Month AUD BBSW

  4.23%   AUD     24,700,000       06/18/2035     Semi-Annually     10,618       119,807       109,189  

6 Month AUD BBSW

  4.32%   AUD     5,500,000       06/18/2035     Semi-Annually           52,999       52,999  

4.14%

  6 Month AUD BBSW   AUD     4,300,000       06/18/2035     Semi-Annually           408       408  

4.15%

  6 Month AUD BBSW   AUD     5,200,000       06/18/2035     Semi-Annually           (2,410     (2,410

4.18%

  6 Month AUD BBSW   AUD     3,300,000       06/18/2035     Semi-Annually           (7,057     (7,057

CAD-CORRA-OIS-COMPOUND

  2.89%   CAD     3,900,000       06/18/2035     Annually           (11,347     (11,347

CAD-CORRA-OIS-COMPOUND

  2.91%   CAD     4,400,000       06/18/2035     Annually           (8,761     (8,761

CAD-CORRA-OIS-COMPOUND

  2.96%   CAD     3,400,000       06/18/2035     Annually           4,645       4,645  

CAD-CORRA-OIS-COMPOUND

  2.98%   CAD     2,400,000       06/18/2035     Annually           6,091       6,091  

CAD-CORRA-OIS-COMPOUND

  3.03%   CAD     3,200,000       06/18/2035     Annually           18,256       18,256  

2.62%

  CAD-CORRA-OIS-COMPOUND   CAD     18,100,000       06/18/2035     Annually     (48,846     362,794       411,640  

2.84%

  CAD-CORRA-OIS-COMPOUND   CAD     3,300,000       06/18/2035     Annually           20,576       20,576  

2.77%

  CAD-CORRA-OIS-COMPOUND   CAD     2,100,000       06/18/2035     Annually           23,070       23,070  

2.93%

  CAD-CORRA-OIS-COMPOUND   CAD     4,400,000       06/18/2035     Annually           3,465       3,465  

CHF-SARON-OIS-COMPOUND

  0.37%   CHF     2,100,000       06/18/2035     Annually           (405     (405

CHF-SARON-OIS-COMPOUND

  0.50%   CHF     4,200,000       06/18/2035     Annually           65,434       65,434  

CHF-SARON-OIS-COMPOUND

  0.51%   CHF     1,200,000       06/18/2035     Annually           20,403       20,403  

CHF-SARON-OIS-COMPOUND

  0.53%   CHF     2,500,000       06/18/2035     Annually           49,155       49,155  

CHF-SARON-OIS-COMPOUND

  0.59%   CHF     2,100,000       06/18/2035     Annually           57,397       57,397  

0.57%

  CHF-SARON-OIS-COMPOUND   CHF     25,800,000       06/18/2035     Annually     198,181       (631,750     (829,931

0.56%

  CHF-SARON-OIS-COMPOUND   CHF     12,440,000       06/18/2035     Annually     (18,040     (293,839     (275,799

0.89%

  CHF-SARON-OIS-COMPOUND   CHF     4,100,000       06/18/2035     Annually           (263,458     (263,458

0.80%

  CHF-SARON-OIS-COMPOUND   CHF     1,200,000       06/18/2035     Annually           (64,195     (64,195

EUR-EuroSTR-COMPOUND

  2.44%   EUR     6,400,000       06/18/2035     Annually           63,738       63,738  

EUR-EuroSTR-COMPOUND

  2.47%   EUR     1,400,000       06/18/2035     Annually           17,959       17,959  

EUR-EuroSTR-COMPOUND

  2.56%   EUR     3,000,000       06/18/2035     Annually           66,764       66,764  

EUR-EuroSTR-COMPOUND

  2.65%   EUR     4,700,000       06/18/2035     Annually           146,735       146,735  

2.27%

  EUR-EuroSTR-COMPOUND   EUR     14,040,000       06/18/2035     Annually     9,869       114,085       104,216  

2.50%

  EUR-EuroSTR-COMPOUND   EUR     2,100,000       06/18/2035     Annually           (32,533     (32,533

2.31%

  EUR-EuroSTR-COMPOUND   EUR     2,400,000       06/18/2035     Annually           8,313       8,313  

2.44%

  EUR-EuroSTR-COMPOUND   EUR     1,700,000       06/18/2035     Annually           (16,843     (16,843

2.38%

  EUR-EuroSTR-COMPOUND   EUR     2,400,000       06/18/2035     Annually           (7,180     (7,180

GBP-SONIA-COMPOUND

  3.87%   GBP     3,000,000       06/18/2035     Annually           (88,571     (88,571

GBP-SONIA-COMPOUND

  3.98%   GBP     10,070,000       06/18/2035     Annually     13,777       (176,944     (190,721

GBP-SONIA-COMPOUND

  3.99%   GBP     11,000,000       06/18/2035     Annually     676       (184,881     (185,557

GBP-SONIA-COMPOUND

  4.10%   GBP     4,600,000       06/18/2035     Annually           (20,576     (20,576

GBP-SONIA-COMPOUND

  4.13%   GBP     1,900,000       06/18/2035     Annually           (1,655     (1,655

GBP-SONIA-COMPOUND

  4.17%   GBP     2,100,000       06/18/2035     Annually           5,964       5,964  

GBP-SONIA-COMPOUND

  4.25%   GBP     1,900,000       06/18/2035     Annually           22,091       22,091  

4.00%

  GBP-SONIA-COMPOUND   GBP     1,900,000       06/18/2035     Annually           28,305       28,305  

3.99%

  GBP-SONIA-COMPOUND   GBP     3,000,000       06/18/2035     Annually           50,258       50,258  

4.18%

  GBP-SONIA-COMPOUND   GBP     2,300,000       06/18/2035     Annually           (9,043     (9,043


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

  Fund Receives  

Notional
Amount

    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

3 Month NZD Bank Bill Rate

  4.05%   NZD     29,450,000       06/18/2035     Quarterly     (147,960     (135,021     12,939  

3 Month SEK STIBOR

  2.65%   SEK     30,000,000       06/18/2035     Quarterly     2,575       5,240       2,665  

3 Month SEK STIBOR

  2.66%   SEK     27,000,000       06/18/2035     Quarterly           7,448       7,448  

3 Month SEK STIBOR

  2.73%   SEK     53,000,000       06/18/2035     Quarterly           50,934       50,934  

3 Month SEK STIBOR

  2.97%   SEK     25,000,000       06/18/2035     Quarterly           78,633       78,633  

2.64%

  3 Month SEK STIBOR   SEK     42,000,000       06/18/2035     Quarterly     51,853       (3,087     (54,940

2.63%

  3 Month SEK STIBOR   SEK     10,000,000       06/18/2035     Quarterly     190       (91     (281

2.96%

  3 Month SEK STIBOR   SEK     25,000,000       06/18/2035     Quarterly           (76,679     (76,679

2.67%

  3 Month SEK STIBOR   SEK     62,000,000       06/18/2035     Quarterly           (25,941     (25,941

2.66%

  3 Month SEK STIBOR   SEK     17,000,000       06/18/2035     Quarterly           (5,315     (5,315

USD-SOFR-OIS-COMPOUND

  3.76%   USD     3,000,000       06/18/2035     Annually           (22,801     (22,801

USD-SOFR-OIS-COMPOUND

  3.82%   USD     3,100,000       06/18/2035     Annually           (9,026     (9,026

3.73%

  USD-SOFR-COMPOUND   USD     5,260,000       06/18/2035     Annually     (16,054     55,043       71,097  

3.77%

  USD-SOFR-COMPOUND   USD     2,100,000       06/18/2035     Annually           15,091       15,091  

3.94%

  USD-SOFR-OIS-COMPOUND   USD     2,300,000       06/18/2035     Annually           (17,163     (17,163

3.89%

  USD-SOFR-OIS-COMPOUND   USD     3,500,000       06/18/2035     Annually           (11,885     (11,885

3.92%

  USD-SOFR-OIS-COMPOUND   USD     3,400,000       06/18/2035     Annually           (18,881     (18,881
           

 

 

   

 

 

   

 

 

 
  $ (28,284   $ 293,668     $ 321,952  
 

 

 

   

 

 

   

 

 

 

OTC Interest Rate Swaps

 

Fund Pays

   Fund Receives  

Counterparty

   Notional
Amount
     Expiration
Date
   Periodic
Payment
Frequency
     Premiums
Paid/

(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

MYR-KLIBOR-BNM

   3.52%   BOA      MYR        26,700,000      06/18/2030      Quarterly      $ 5,653      $ 90,545      $ 84,892  
                   

 

 

    

 

 

    

 

 

 

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

 

Notional
Amount

    Expiration
Date
   

Periodic
Payment
Frequency

  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

MSCI Daily Trust Net Growth EAFE Index

  USD-SOFR-COMPOUND   JPM   USD     1,860,138       12/16/2025     Monthly           (38,150     (38,150

USD-SOFR-COMPOUND

  MSCI Daily Total Return Net Value EAFE Index   JPM   USD     1,786,785       12/16/2025     Monthly           41,991       41,991  

1 Day Overnight Federal Funds Effective Rate plus 0.36%

  MSCI Daily Total Return Net Value EAFE Index   UBSA   USD     20,872,752       02/02/2026     Monthly           674,368       674,368  

MSCI Daily Trust Net Growth EAFE Index

  1 Day Overnight Federal Funds Effective Rate plus 0.41%   UBSA   USD     20,002,016       02/02/2026     Monthly           (587,116     (587,116

0.20% (i)

  Total Return on Sprott Gold Miners ETF   SOCG   USD     17,586,937       04/02/2026     Quarterly           249,162       249,162  

0.20% (i)

  Total Return on BNP Paribas Cross Asset Trend Index   BNP   USD     16,574,710       04/02/2026     Quarterly     92       (580,821     (580,913

1 Day Overnight Federal Funds Effective Rate plus 0.13%

  MSCI Daily Total Return Net Value EAFE Index   GS   USD     1,843,525       04/30/2026     Monthly                  

MSCI Daily Trust Net Growth EAFE Index

  1 Day Overnight Federal Funds Effective Rate plus 0.23%   GS   USD     3,693,821       04/30/2026     Monthly                  

Total Return on Equity Basket (k)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     5,527,844       06/29/2026     Monthly           19,016       19,016  

Total Return on Equity Basket (k)

  1 Month Federal Funds Rate minus 0.40%   GS   USD     4,452,584       06/29/2026     Monthly           (7,858     (7,858

Total Return on Equity Basket (k)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     233,092       06/29/2026     Monthly           582       582  

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   GS   USD     10,321,383       06/24/2026     Monthly           79,735       79,735  

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     10,447,781       06/28/2026     Monthly           (625,311     (625,311
             

 

 

   

 

 

   

 

 

 
  $ 92     $ (774,402   $ (774,494
 

 

 

   

 

 

   

 

 

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

All or a portion of this security is out on loan.

 

(d)

All or a portion of this investment is held in connection with one or more holdings within the Fund.

 

(e)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(f)

Investment valued using significant unobservable inputs.

 

(g)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(h)

Affiliated company.

 

(i)

All or a portion of this security or derivative is owned by GMO Alternative Allocation SPC Ltd., which is a 100% owned subsidiary of GMO Alternative Allocation Fund.

 

(j)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 

(k)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

 

(l)

The following table represents the individual long and/or short positions with in the custom equity basket swap as of May 31, 2025.

 

Shares      Description    % of
Equity
Basket
     Value ($)  
   Custom equity basket swap with GS as the counterparty:      
  (584,700)      Airports Of Thailand PC NVDR      5.8      (591,162
  (138,998)      Allefro.eu.SA      12.5      (1,278,799
  (1,375)      Budimex SA      2.2      (229,372
  (11,846)      Capitec Bank Holdings Ltd.      22.2      (2,269,962
  (41,935)      Clicks Group Ltd.      8.9      (906,051
  (7,914)      Doosan Enerbility Co., Ltd.      2.3      (231,010
  (9,700)      Equatorial Energia SA      0.6      (62,157
  (147)      Hanmi Pharm Co. Ltd.      0.3      (33,152
  (169)      HD Hyundai Electric Co., Ltd.      0.4      (46,272
  (1,160)      HD Hyundai Heavy Industries Co., Ltd.      3.3      (339,660
  (1,490)      HLB, Inc.      0.6      (58,734
  (652)      HYBE Co. Ltd.      1.2      (125,747
  (4,667)      Kakao Corp.      1.4      (144,199
  (14,000)      Kingdee International Software Group Co. Ltd.      0.2      (21,789
  (888)      Korea Aerospace Industries Ltd.      0.5      (53,797
  (175,300)      Localiza Rent A Car ADR      12.9      (1,316,704
  (132)      LPP SA      5.0      (508,785
  (1,729)      Samsung Biologics Co. Ltd.      12.6      (1,292,388
  51,523      Turk Hava Yollari AO      (3.5 %)       359,386  
  (44,300)      WEG SA      3.2      (328,019
  (10,006)      Yuhan Corp.      7.4      (756,360
        

 

 

 
   TOTAL COMMON STOCKS       $ (10,234,733
        

 

 

 
Shares      Description    % of
Equity
Basket
     Value ($)  
   Custom equity basket swap with MORD as the counterparty:      
  (235,300)      Airports Of Thailand PC NVDR      2.1      (237,900
  (2,107)      Celltrion, Inc.      2.2      (245,595
  (17,830)      Doosan Enerbility Co., Ltd.      4.7      (520,459
  (1)      Hanmi Pharm Co. Ltd.      0.0      (226
  (3,758)      HYBE Co. Ltd.      6.5      (724,780
  (295)      Hyundai Rotem Co.      0.3      (31,225
  (257,000)      Innovent Biologics, Inc.      18.3      (2,027,889
  (2,341)      Kakao Corp.      0.7      (72,331
  (897,000)      Kingdee International Software Group Co. Ltd.      12.5      (1,396,032
  (24,284)      Korea Aerospace Industries Ltd.      13.3      (1,471,170
  (571)      Samsung Biologics Co. Ltd.      3.9      (426,809
  (201,407)      Samsung Heavy Industries Co. Ltd.      22.2      (2,459,824
  (292,250)      Shandong Gold Mining Co. Ltd.—Class H      8.3      (914,710
  59,038      Turk Hava Yollari AO      (3.7 %)       411,805  
  (91,500)      Xpeng, Inc., Class A      8.0      (886,431
  (11,300)      Zhejiang Leapmotor Technology Co., Ltd.      0.7      (79,303
        

 

 

 
   TOTAL COMMON STOCKS       $ (11,082,879
        

 

 

 

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ADR - American Depositary Receipt

AUD BBSW - Bank Bill Swap Reference Rate denominated in Australian Dollar.

BNM - Bank Negara Malaysia

BRL CDI - Brazilian Interbank Offered Rate dominated in Brazilian Real.

CDI - Certificado de Deposito Interbancario

CLICP - Chilean Interbank Rate denominated in Chilean Peso.

CNY-CNREPOFIX=CFXS - China 7 Day Interbank Repo Trading Rate denominated in Chinese Reminibi.

CORRA - Canadian Overnight Repo Rate Average

ETF - Exchange-Traded Fund

EuroSTR - Euro Short-Term Rate

FBIL - Financial Benchmarks India PVT. LTD.

HIBOR - Hong Kong Interbank Offered Rate

HKAB - Hong Kong Association of Banks

IBR - Indicador Bancario de Referencia

KLIBOR - Kuala Lumpur Interbank Offered Rate

KSDA - Korean Securities Dealers Association

MIBOR - Mumbai Interbank Offer Rate

NVDR - Non-Voting Depositary Receipt

NZD Bank Bill Rate - Bank Bill Rate denominated in New Zealand Dollar.

OIS - Overnight Indexed Swaps

OMO - Open Market Operations

PRIBOR - Prague Interbank Offered Rate

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

RBOB - Reformulated Blendstock for Oxygenate Blending

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

REIT - Real Estate Investment Trust

SAFEX - South African Futures Exchange

SARON - Swiss Average Rate Overnight

SEK STIBOR - Stockholm Interbank Offered Rate denominated in Swedish Krona.

SHIR - Shekel overnight interest rate

SOFR - Secured Overnight Financing Rate

SONIA - Sterling Overnight Interbank Average Rate

SORA - Singapore Overnight Rate Average

TBA - To Be Announced - Delayed Delivery Security

THOR - Thai Overnight Repurchase Rate

TIIE - The Interbank Equilibrium Interest Rate denominated in Mexican Peso

WIBOR - Warsaw Interbank Offered Rate

ZAR JIBAR - Johannesburg Interbank Average Rate denominated in South African Rand.

Counterparty Abbreviations:

 

BBH - Brown Brothers Harriman & Co.

BCLY - Barclays Bank PLC

BNP - BNP Paribas

BOA - Bank of America, N.A.

CGMI - Citigroup Global Markets Inc.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital

Services LLC

MSCI - Morgan Stanley & Co. International

PLC

SOCG - Société Générale

SSB - State Street Bank and Trust Company

UBSA - UBS AG

 

 

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazilian Real

CAD - Canadian Dollar

CHF - Swiss Franc

CLP - Chilean Peso

CNY - China Yuan Renminbi

COP - Colombian Peso

CZK - Czech Republic Koruna

DOP - Dominican Republic Peso

EGP - Egyptian Pound

EUR - Euro

GBP - British Pound

HKD - Hong Kong Dollar

HUF - Hungarian Forint

IDR - Indonesian Rupiah

ILS - Israeli Shekel

INR - Indian Rupee

JPY - Japanese Yen

KRW - South Korean Won

MXN - Mexican Peso

MYR - Malaysian Ringgit

NGN - Nigeria Naira

NOK - Norwegian Krone

NZD - New Zealand Dollar

PEN - Peruvian Sol

PHP - Philippines Peso

PLN - Polish Zloty

RON - Romanian New Leu

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TRY - Turkish Lira

TWD - Taiwan New Dollar

USD - United States Dollar

UYU - Uruguay Peso

ZAR - South African Rand

 
 


GMO Benchmark-Free Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
    INVESTMENT FUNDS — 99.9%

 

          United States — 99.9%  
    16,477,274     GMO Alternative Allocation Fund, Class VI (a)     291,812,522  
    1,112,297     GMO Climate Change Fund, Class III (a)     19,676,537  
    2,197,176     GMO Emerging Country Debt Fund, Class VI (a)     44,954,216  
    1,385,305     GMO High Yield Fund, Class VI (a)     23,896,521  
    132,784,625     GMO Implementation Fund (a)     1,821,805,062  
    1,859,321     GMO Opportunistic Income Fund, Class VI (a)     45,237,269  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $2,196,649,101)
    2,247,382,127  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    1,775,451     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     1,775,451  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,775,451)
    1,775,451  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $2,198,424,552)
    2,249,157,578  
    Other Assets and Liabilities (net) — (0.0%)     (907,987
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,248,249,591  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
    COMMON STOCKS — 59.6%

 

          Australia — 1.1%  
    60,270     Accent Group Ltd.            73,795  

  

        147,663     AMP Ltd.     118,929  
    8,369     Ansell Ltd.     170,193  
    7,330     Aristocrat Leisure Ltd. (a)     294,538  
    59,000     Aurizon Holdings Ltd.     112,198  
    188,803     BHP Group Ltd. (a)     4,637,944  
    131,146     BlueScope Steel Ltd.     1,925,081  
    93,570     Brambles Ltd. (a)     1,399,644  
    159,664     Fortescue Ltd. (a)     1,588,464  
    7,466     GrainCorp Ltd. – Class A     36,955  
    95,164     Grange Resources Ltd.     11,665  
    57,239     Harvey Norman Holdings Ltd.     193,289  
    78,161     Helia Group Ltd.     262,069  
    40,119     HomeCo Daily Needs – (REIT)     32,979  
    16,547     JB Hi-Fi Ltd.     1,149,546  
    2,927     NRW Holdings Ltd.     5,283  
    59,370     Perenti Ltd.     60,306  
    34,516     Ramelius Resources Ltd.     64,518  
    4,933     Rio Tinto Ltd. (a)     358,733  
    16,858     Southern Cross Media Group Ltd. *     7,324  
    18,735     Super Retail Group Ltd.     172,886  
     

 

 

 
    Total Australia     12,676,339  
     

 

 

 
          Austria — 0.4%  
    27,341     Erste Group Bank AG     2,201,757  
    13,972     OMV AG (b)     747,343  
    26,954     Raiffeisen Bank International AG (b)     824,118  
    737     Strabag SE     64,900  
    3,247     UNIQA Insurance Group AG     45,049  
    852     Vienna Insurance Group AG Wiener Versicherung Gruppe     41,787  
     

 

 

 
    Total Austria     3,924,954  
     

 

 

 
          Belgium — 0.5%  
    56,563     Ageas SA     3,693,492  
    1,665     Bekaert SA     67,638  
    8,441     KBC Group NV     834,504  
    422     Melexis NV     28,370  
    80,732     Proximus SADP     704,327  
    7,368     Syensqo SA (b)     565,499  
     

 

 

 
    Total Belgium     5,893,830  
     

 

 

 
          Brazil — 0.5%  
    271,100     Ambev SA ADR     661,484  
    4,400     Cia de Saneamento Basico do Estado de Sao Paulo SABESP ADR (a)     90,376  
    159,800     Cia de Saneamento de Minas Gerais Copasa MG     667,195  
    35,500     Cia De Sanena Do Parana     203,398  
    102,800     Cyrela Brazil Realty SA Empreendimentos e Participacoes     448,801  
Shares     Description  

Value ($)

 
          Brazil — continued  

  

    2,700     Embraer SA            30,916  
    1,100     Embraer SA Sponsored ADR     50,589  
        275,400     JBS SA     1,931,821  
    1,800     Neoenergia SA     7,884  
    305,000     Vibra Energia SA     1,076,125  
     

 

 

 
    Total Brazil     5,168,589  
     

 

 

 
          Canada — 3.0%  
    5,500     Bank of Montreal (a)     590,618  
    36,600     Bank of Nova Scotia (c)     1,958,347  
    18,550     Bank of Nova Scotia (c)     992,796  
    3,900     Canadian Imperial Bank of Commerce     265,513  
    23,065     Canadian Tire Corp. Ltd. – Class A     2,930,962  
    6,250     Canfor Corp. *     59,205  
    11,914     Centerra Gold, Inc.     84,947  
    1,026     CGI, Inc. (a) (c)     110,297  
    606     CGI, Inc. (a) (c)     65,181  
    2,400     Cogeco Communications, Inc.     120,844  
    2,456     Cogeco, Inc.     117,382  
    2,900     DREAM Unlimited Corp. – Class A     39,072  
    24,600     Dundee Precious Metals, Inc.     379,123  
    14,100     Empire Co. Ltd. – Class A     544,232  
    87     Fairfax Financial Holdings Ltd. (a)     148,032  
    500     George Weston Ltd. (a)     100,667  
    4,378     Gildan Activewear, Inc. (c)     204,015  
    653     Gildan Activewear, Inc. (c)     30,405  
    16,000     iA Financial Corp., Inc.     1,628,972  
    23,731     IGM Financial, Inc.     757,573  
    2,300     Imperial Oil Ltd. (a)     164,210  
    5,783     Interfor Corp. *     52,843  
    6,143     International Petroleum Corp. * (b)     86,439  
    44,223     Magna International, Inc. (b) (c)     1,604,411  
    12,300     Magna International, Inc. (c)     446,523  
    77,120     Manulife Financial Corp. (a) (c)     2,455,501  
    70,844     Manulife Financial Corp. (a) (c)     2,255,899  
    1,400     Metro, Inc.     109,197  
    1,700     National Bank of Canada     167,318  
    21,946     Nutrien Ltd. (a) (c)     1,295,472  
    1,900     Nutrien Ltd. (a) (c)     112,254  
    6,100     Onex Corp.     452,805  
    72,384     Open Text Corp. (a) (c)     2,049,191  
    12,800     Open Text Corp. (a) (c)     362,450  
    16,300     Parex Resources, Inc.     161,177  
    97,324     Power Corp. of Canada     3,766,443  
    35,000     Quebecor, Inc. – Class B     984,698  
    9,900     Russel Metals, Inc. (b)     296,275  
    4,845     Spin Master Corp.     84,731  
    27,300     Sun Life Financial, Inc. (a) (c)     1,758,531  
    4,900     Sun Life Financial, Inc. (a) (c)     316,785  
    44,800     Toronto-Dominion Bank (c)     3,093,741  
    5,044     Toronto-Dominion Bank (b) (c)     348,288  
    8,200     Transcontinental, Inc. – Class A     127,749  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Canada — continued  

  

    1,119     Wajax Corp.            18,338  
    9,100     West Fraser Timber Co. Ltd. (c)     670,390  
    5,299     West Fraser Timber Co. Ltd. (c)     389,901  
     

 

 

 
    Total Canada     34,759,743  
     

 

 

 
          China — 1.8%  
    3,000     361 Degrees International Ltd.     1,644  
        113,000     3SBio, Inc.     271,563  
    40,300     Alibaba Group Holding Ltd.     573,784  
    23,048     Alibaba Group Holding Ltd. Sponsored ADR (a)     2,623,784  
    361,000     AviChina Industry & Technology Co. Ltd. – Class H     181,605  
    444,500     BAIC Motor Corp. Ltd. – Class H     111,983  
    301,091     Bank of Communications Co. Ltd. – Class H     262,820  
    85,000     Beijing Enterprises Holdings Ltd.     356,147  
    1,264,000     China Communications Services Corp. Ltd. – Class H     726,054  
    1,802,000     China Construction Bank Corp. – Class H     1,611,126  
    868,000     China Feihe Ltd.     670,826  
    1,058,000     China Greenfresh Group Co. Ltd. * (d)      
    462,500     China Hongqiao Group Ltd. (b)     821,847  
    54,000     China Lesso Group Holdings Ltd.     26,948  
    166,000     China National Building Material Co. Ltd. – Class H     73,848  
    750,000     China Railway Group Ltd. – Class H     337,295  
    2,624,000     China Reinsurance Group Corp. – Class H     336,543  
    88,500     China Resources Pharmaceutical Group Ltd.     58,041  
    142,000     China State Construction International Holdings Ltd.     199,741  
    1,776,400     China Zhongwang Holdings Ltd. * (d)      
    580,000     CITIC Ltd.     729,447  
    399,000     Consun Pharmaceutical Group Ltd.     538,892  
    808,000     CSPC Pharmaceutical Group Ltd.     831,926  
    12,400     ENN Energy Holdings Ltd.     98,319  
    112,000     Fufeng Group Ltd.     97,339  
    322,000     Geely Automobile Holdings Ltd.     717,679  
    30,530     JD.com, Inc. ADR (a)     989,477  
    22,000     Kunlun Energy Co. Ltd.     21,977  
    44,500     Legend Holdings Corp. – Class H *     44,575  
    100,000     Lonking Holdings Ltd.     23,908  
    72,400     Midea Real Estate Holding Ltd. * (b)     34,958  
    1,100     NetEase, Inc.     26,596  
    36,000     Orient Overseas International Ltd.     618,857  
    232,000     PICC Property & Casualty Co. Ltd. – Class H     440,826  
    110,000     Sino Biopharmaceutical Ltd.     62,047  
    398,500     Sinopec Engineering Group Co. Ltd. – Class H     282,394  
    92,800     Sinopharm Group Co. Ltd. – Class H     223,711  
    407,000     TCL Electronics Holdings Ltd.     527,452  
Shares     Description  

Value ($)

 
          China — continued  

  

    78,400     Tencent Holdings Ltd.     4,942,542  
        172,000     Tianneng Power International Ltd. (b)     133,916  
    3,000     Vipshop Holdings Ltd. ADR            41,370  
    10,100     Weibo Corp. Sponsored ADR (a)     91,405  
    16,400     Xiaomi Corp. – Class B *     105,567  
    51,500     Zhongsheng Group Holdings Ltd.     77,268  
     

 

 

 
    Total China     20,948,047  
     

 

 

 
          Colombia — 0.0%  
    3,121     Corp. Financiera Colombiana SA *     13,896  
     

 

 

 
          Czech Republic — 0.0%  
    137     Philip Morris CR AS *     115,341  
     

 

 

 
          Denmark — 0.5%  
    416     AP Moller – Maersk AS – Class A (a)     743,014  
    930     AP Moller – Maersk AS – Class B (a)     1,684,830  
    26,858     Danske Bank AS     1,029,190  
    6,262     Genmab AS *     1,321,029  
    8,541     H Lundbeck AS     47,400  
    799     Matas AS     16,456  
    22,020     Rockwool AS – B Shares     1,044,899  
    4,988     Scandinavian Tobacco Group AS     64,618  
     

 

 

 
    Total Denmark     5,951,436  
     

 

 

 
          Egypt — 0.0%  
    99,262     Eastern Co. SAE     66,527  
    23,452     ElSewedy Electric Co.     38,529  
     

 

 

 
    Total Egypt     105,056  
     

 

 

 
          Finland — 0.3%  
    447,319     Nokia OYJ     2,327,982  
    45,823     Outokumpu OYJ     177,481  
    15,414     TietoEVRY OYJ (a)     281,236  
    19,437     Valmet OYJ     635,093  
     

 

 

 
    Total Finland     3,421,792  
     

 

 

 
          France — 2.3%  
    1,658     Amundi SA     135,364  
    12,450     Aperam SA     378,374  
    46,184     ArcelorMittal SA     1,400,196  
    1,270     Arkema SA     90,749  
    6,433     AXA SA (a)     303,223  
    27,230     BNP Paribas SA     2,384,652  
    24,118     Carrefour SA     360,669  
    19,414     Cie de Saint-Gobain SA (a)     2,185,703  
    1,776     Cie Generale des Etablissements Michelin SCA (a)     67,948  
    26,561     Coface SA     496,856  
    14,955     Credit Agricole SA     273,814  
    8,028     Derichebourg SA (a)     54,926  
    139     Fnac Darty SA     4,796  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          France — continued  

  

    5,298     Ipsen SA *     623,786  
    3,159     IPSOS SA (a)     161,161  
    7,536     Metropole Television SA (a)     106,146  
        106,787     Orange SA (a)     1,593,840  
    385     Publicis Groupe SA (a)            41,968  
    6,239     Quadient SA     116,612  
    24,251     Renault SA     1,246,856  
    21,568     Rexel SA     605,815  
    12,061     Rubis SCA (a)     392,688  
    31,617     Sanofi SA     3,131,376  
    114     Schneider Electric SE (a)     28,764  
    3,242     Societe BIC SA     200,266  
    38,412     Societe Generale SA     2,085,682  
    2,720     STMicroelectronics NV (b)     68,381  
    71,621     STMicroelectronics NV – NY Shares     1,791,241  
    6,370     Teleperformance SE (a)     643,829  
    25,176     Television Francaise 1 SA (a)     243,451  
    65,905     TotalEnergies SE (a)     3,879,707  
    34,977     Valeo SE     368,382  
    66,990     Vivendi SE * (a)     226,061  
     

 

 

 
    Total France     25,693,282  
     

 

 

 
          Germany — 1.7%  
    4,034     1&1 AG     83,615  
    714     Allianz SE (Registered) (a)     283,182  
    102     Amadeus Fire AG     8,654  
    33,711     Bayer AG (Registered)     949,083  
    13,718     Bayerische Motoren Werke AG     1,217,075  
    18,996     Continental AG     1,665,976  
    29,469     Daimler Truck Holding AG (a)     1,279,939  
    105,907     Deutsche Bank AG (Registered) (a)     2,933,106  
    24,292     Deutsche Post AG (a)     1,090,051  
    141     Draegerwerk AG & Co. KGaA     8,840  
    85,350     E.ON SE (a)     1,495,852  
    5,557     Freenet AG     183,555  
    11,693     Fresenius Medical Care AG     664,216  
    7,090     Fresenius SE & Co. KGaA (a)     347,474  
    7,557     Heidelberg Materials AG (a)     1,481,257  
    2,496     Henkel AG & Co. KGaA     183,269  
    340     Hornbach Holding AG & Co. KGaA     34,320  
    13,421     Kloeckner & Co. SE     95,793  
    256     Krones AG     40,323  
    40,377     Mercedes-Benz Group AG (a)     2,414,451  
    21,287     ProSiebenSat.1 Media SE (a)     171,092  
    904     RTL Group SA     34,664  
    2,328     Salzgitter AG     55,550  
    2,852     SAP SE (a)     862,787  
    6,698     Siemens AG (Registered) (a)     1,611,024  
     

 

 

 
    Total Germany     19,195,148  
     

 

 

 
Shares     Description  

Value ($)

 
          Greece — 0.0%  
    15,269     Eurobank Ergasias Services & Holdings SA     47,030  

  

    12,055     FF Group * (d)      
    19,128     National Bank of Greece SA     227,768  
    15,062     Piraeus Financial Holdings SA     100,341  
    776     Sarantis SA            11,816  
     

 

 

 
    Total Greece     386,955  
     

 

 

 
          Hong Kong — 0.7%  
    26,600     Bank of East Asia Ltd.     37,421  
    73,500     BOC Hong Kong Holdings Ltd.     309,105  
    29,000     Chow Sang Sang Holdings International Ltd.     29,521  
        234,000     CITIC Telecom International Holdings Ltd.     67,681  
    236,500     CK Asset Holdings Ltd.     976,921  
    290,000     CK Hutchison Holdings Ltd.     1,621,597  
    18,800     Dah Sing Financial Holdings Ltd.     70,261  
    108,000     E-Commodities Holdings Ltd.     10,311  
    102,000     First Pacific Co. Ltd.     70,026  
    104,000     Giordano International Ltd.     19,227  
    34,500     Health & Happiness H&H International Holdings Ltd.     56,635  
    191,000     HKT Trust & HKT Ltd. – Class SS     275,095  
    200,000     IGG, Inc.     89,959  
    87,500     Johnson Electric Holdings Ltd.     233,356  
    52,598     K Wah International Holdings Ltd.     12,112  
    17,500     Kerry Properties Ltd.     41,956  
    9,000     KLN Logistics Group Ltd.     8,996  
    28,800     Luk Fook Holdings International Ltd.     66,566  
    58,000     Shun Tak Holdings Ltd. *     4,358  
    16,000     SITC International Holdings Co. Ltd.     51,056  
    32,500     SmarTone Telecommunications Holdings Ltd.     18,148  
    34,000     Stella International Holdings Ltd.     60,654  
    63,500     Sun Hung Kai Properties Ltd. (a)     682,096  
    36,500     Swire Pacific Ltd. – Class A     310,923  
    3,500     Techtronic Industries Co. Ltd.     38,984  
    39,000     Texhong International Group Ltd.     16,900  
    46,000     Texwinca Holdings Ltd.     3,749  
    188,000     VSTECS Holdings Ltd. (b)     149,395  
    28,600     VTech Holdings Ltd.     190,082  
    2,064,000     WH Group Ltd.     1,898,379  
    98,000     Yue Yuen Industrial Holdings Ltd.     147,240  
     

 

 

 
    Total Hong Kong     7,568,710  
     

 

 

 
          Hungary — 0.4%  
    57,417     Magyar Telekom Telecommunications PLC     285,396  
    50,733     MOL Hungarian Oil & Gas PLC *     438,694  
    45,215     OTP Bank Nyrt     3,429,843  
    22,476     Richter Gedeon Nyrt     653,987  
     

 

 

 
    Total Hungary     4,807,920  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          India — 1.1%  
    8,594     Ashapura Minechem Ltd. *     42,502  

  

    51,335     Aurobindo Pharma Ltd. *     690,666  
    6,109     Bajaj Finance Ltd.     653,581  
    39,901     Bharat Petroleum Corp. Ltd.     148,306  
    20,608     Chambal Fertilisers & Chemicals Ltd.     132,397  
    56,256     Cipla Ltd.     963,729  
    5,692     Dhampur Bio Organics Ltd.     5,064  
    1,479     Divi’s Laboratories Ltd.     114,410  
    39,560     Dr. Reddy’s Laboratories Ltd. ADR (b)     582,323  
    25,965     Dr. Reddy’s Laboratories Ltd.     380,238  
    56,997     Federal Bank Ltd.     134,877  
        228,336     GAIL India Ltd.     507,465  
    2,545     GHCL Ltd.            18,295  
    30,361     Glenmark Pharmaceuticals Ltd.     518,660  
    2,209     Goldiam International Ltd.     9,774  
    40,698     HDFC Bank Ltd. *     927,107  
    5,300     HDFC Bank Ltd. ADR (a)     399,567  
    2,434     Hero MotoCorp Ltd.     122,668  
    56,205     Hindalco Industries Ltd.     417,134  
    22,214     ICICI Bank Ltd.     376,861  
    5,538     Indus Towers Ltd. *     24,764  
    15,939     ITC Ltd.     78,113  
    4,252     LIC Housing Finance Ltd.     29,659  
    15,206     Lupin Ltd.     348,205  
    2,638     Mahindra & Mahindra Ltd.     91,699  
    372,685     Manappuram Finance Ltd.     1,036,006  
    12,017     Muthoot Finance Ltd.     310,189  
    6,592     Natco Pharma Ltd.     68,008  
    88,998     NMDC Ltd.     74,160  
    438,287     Oil & Natural Gas Corp. Ltd.     1,226,777  
    4,488     Oil India Ltd.     22,425  
    109,605     Petronet LNG Ltd.     394,297  
    420     Pokarna Ltd.     5,260  
    31,270     Power Finance Corp. Ltd.     148,936  
    48,885     Power Grid Corp. of India Ltd.     165,744  
    2,837     Sammaan Capital Ltd.     4,110  
    77,405     Shriram Finance Ltd.     579,239  
    18,897     Siyaram Silk Mills Ltd.     159,186  
    15,101     Sun Pharmaceutical Industries Ltd.     295,984  
    1,109     Vadilal Industries Ltd.     69,646  
    88,468     Wipro Ltd.     258,402  
    42,212     Zydus Lifesciences Ltd.     457,746  
     

 

 

 
    Total India     12,994,179  
     

 

 

 
          Indonesia — 0.7%  
    5,079,700     Aneka Tambang Tbk. PT *     968,819  
    7,175,600     Astra International Tbk. PT     2,133,711  
    279,300     Astra Otoparts Tbk. PT     36,091  
    1,252,400     Bank Negara Indonesia Persero Tbk. PT     345,416  
    1,665,900     Bank Pembangunan Daerah Jawa Timur Tbk. PT *     57,771  
    4,511,800     Dharma Satya Nusantara Tbk. PT     217,530  
    2,642,800     Erajaya Swasembada Tbk. PT     90,067  
Shares     Description  

Value ($)

 
          Indonesia — continued  

  

    14,200     Gudang Garam Tbk. PT *     8,714  
        123,500     Indofood CBP Sukses Makmur Tbk. PT            82,530  
    3,013,600     Indofood Sukses Makmur Tbk. PT     1,454,699  
    633,200     Industri Jamu Dan Farmasi Sido Muncul Tbk. PT     20,012  
    2,572,100     Japfa Comfeed Indonesia Tbk. PT     253,463  
    894,500     Kalbe Farma Tbk. PT *     83,094  
    6,119,300     Lippo Karawaci Tbk. PT *     32,659  
    15,969,100     Panin Financial Tbk. PT *     288,081  
    4,783,800     Perusahaan Gas Negara Tbk. PT     533,241  
    4,315,300     Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT     322,646  
    2,148,700     Saratoga Investama Sedaya Tbk. PT *     230,801  
    5,175,300     Surya Citra Media Tbk. PT     51,342  
    3,261,800     Telkom Indonesia Persero Tbk. PT *     563,873  
    518,600     Tempo Scan Pacific Tbk. PT     82,763  
    5,210,500     Triputra Agro Persada PT     289,546  
     

 

 

 
    Total Indonesia     8,146,869  
     

 

 

 
          Ireland — 0.0%  
    14,284     AIB Group PLC     112,697  
    15,644     Origin Enterprises PLC     62,712  
    9,611     Permanent TSB Group Holdings PLC *     19,314  
     

 

 

 
    Total Ireland     194,723  
     

 

 

 
          Israel — 0.4%  
    57,249     Bank Hapoalim BM     960,430  
    101,073     Bank Leumi Le-Israel BM     1,631,146  
    1,890     Check Point Software Technologies Ltd. *     432,583  
    23,393     ICL Group Ltd.     154,413  
    12,147     Israel Discount Bank Ltd. – Class A     103,448  
    5,686     Nice Ltd. Sponsored ADR* (a)     943,478  
    252     Nice Ltd. *     42,681  
    81,196     Oil Refineries Ltd.     20,913  
     

 

 

 
    Total Israel     4,289,092  
     

 

 

 
          Italy — 1.2%  
    49,335     A2A SpA (a)     128,098  
    15,170     Banca IFIS SpA (b)     399,248  
    19,321     Banco BPM SpA     222,091  
    57,057     BPER Banca SpA (b)     506,819  
    17,700     Credito Emiliano SpA     243,238  
    4,144     Esprinet SpA (b)     18,633  
    22,403     Generali (a)     815,475  
    23,095     Hera SpA (a)     114,777  
    259,153     Intesa Sanpaolo SpA     1,446,780  
    16,609     Iren SpA (a)     51,714  
    71,267     Italgas SpA (a)     586,316  
    6,408     Iveco Group NV (b)     127,602  
    30,789     Leonardo SpA (a)     1,904,599  
    54,627     MFE-MediaForEurope NV – Class A (a)     200,879  
    7,028     MFE-MediaForEurope NV – Class B (a)     33,826  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Italy — continued  

  

    8,535     Poste Italiane SpA (a)     185,313  
    203,456     Stellantis NV (a)     2,073,923  
    2,354,851     Telecom Italia SpA * (b)     1,007,390  
    10,555     Tenaris SA ADR     353,065  
    4,102     Tenaris SA            68,698  
    157     UniCredit SpA (a)     10,096  
        156,858     Unipol Assicurazioni SpA     3,069,982  
     

 

 

 
    Total Italy     13,568,562  
     

 

 

 
          Japan — 15.5%  
    1,600     ADEKA Corp.     29,508  
    5,100     Aichi Corp. (b)     48,623  
    28,200     Air Water, Inc.     393,546  
    36,200     Amano Corp.     1,067,153  
    2,600     AOKI Holdings, Inc.     27,108  
    3,000     Arata Corp.     63,012  
    35,700     Asahi Group Holdings Ltd.     470,527  
    11,100     Asahi Kasei Corp.     77,999  
    6,500     Asahi Yukizai Corp.     175,753  
    8,800     Axial Retailing, Inc.     69,722  
    43,000     Bandai Namco Holdings, Inc.     1,366,175  
    3,600     Bando Chemical Industries Ltd.     40,472  
    27,400     Bridgestone Corp. (a)     1,176,420  
    100,000     Brother Industries Ltd.     1,706,626  
    900     Buffalo, Inc.     15,036  
    5,000     Bunka Shutter Co. Ltd.     74,261  
    24,100     Canon Marketing Japan, Inc.     894,269  
    25,900     Canon, Inc. (b)     791,219  
    1,800     Central Glass Co. Ltd. (b)     36,294  
    1,300     Chiyoda Integre Co. Ltd.     24,555  
    129,000     Credit Saison Co. Ltd.     3,510,164  
    69,200     Dai Nippon Printing Co. Ltd. (a)     1,020,475  
    1,100     Dai Nippon Toryo Co. Ltd.     8,973  
    94,900     Daicel Corp.     809,209  
    3,000     Dai-Dan Co. Ltd.     86,656  
    2,300     Daido Steel Co. Ltd.     15,541  
    2,400     Daiichi Jitsugyo Co. Ltd.     37,048  
    2,100     Daito Trust Construction Co. Ltd.     236,552  
    27,900     Daiwa House Industry Co. Ltd.     940,675  
    135,410     Daiwabo Holdings Co. Ltd.     2,281,208  
    97,200     Denka Co. Ltd.     1,383,616  
    400     Dowa Holdings Co. Ltd.     12,651  
    1,500     DTS Corp. (a)     51,440  
    700     Elecom Co. Ltd.     8,286  
    18,000     en Japan, Inc.     214,571  
    20,900     ENEOS Holdings, Inc.     99,026  
    76,200     EXEO Group, Inc.     971,177  
    3,200     FCC Co. Ltd.     62,460  
    43,100     Ferrotec Holdings Corp.     789,232  
    105,500     Fuji Corp.     1,688,761  
    9,500     Fuji Electric Co. Ltd.     419,633  
    400     Fuji Media Holdings, Inc. (a)     7,945  
Shares     Description  

Value ($)

 
          Japan — continued  

  

    66,000     FUJIFILM Holdings Corp.     1,489,798  
    27,900     Fujitsu Ltd. (a)     638,976  
    100     Fukuda Denshi Co. Ltd.     4,575  
    23,800     Glory Ltd.     508,234  
    17,200     GS Yuasa Corp.     313,362  
        188,600     H.U. Group Holdings, Inc.     4,049,224  
    15,000     Haseko Corp.     218,466  
    21,500     Hitachi Construction Machinery Co. Ltd.     653,428  
    30,200     Hitachi Ltd. (a)     841,381  
    65,000     Hogy Medical Co. Ltd.     1,730,477  
    184,300     Honda Motor Co. Ltd.     1,872,192  
    48,136     Honda Motor Co. Ltd. Sponsored ADR     1,469,111  
    12,600     Horiba Ltd.     896,524  
    9,800     Hosiden Corp.     147,583  
    68,000     Idemitsu Kosan Co. Ltd.     414,191  
    10,800     IDOM, Inc.            76,558  
    300     Inaba Denki Sangyo Co. Ltd.     8,059  
    41,200     Inabata & Co. Ltd.     905,097  
    239,800     Inpex Corp.     3,206,549  
    226,700     Isuzu Motors Ltd.     3,064,271  
    27,500     ITOCHU Corp. (a)     1,459,595  
    15,300     Itochu Enex Co. Ltd.     178,919  
    500     Itochu-Shokuhin Co. Ltd.     34,677  
    3,200     Itoham Yonekyu Holdings, Inc.     111,367  
    9,500     Iwatani Corp.     97,916  
    1,000     Japan Lifeline Co. Ltd.     10,055  
    21,200     Japan Petroleum Exploration Co. Ltd.     146,860  
    40,600     Japan Post Insurance Co. Ltd.     893,047  
    24,800     Japan Tobacco, Inc.     760,731  
    1,400     Jeol Ltd.     38,905  
    300     Justsystems Corp. (a)     7,153  
    54,200     Kaga Electronics Co. Ltd.     997,971  
    2,700     Kamei Corp.     44,083  
    11,600     Kandenko Co. Ltd.     238,788  
    11,800     Kaneka Corp.     320,519  
    189,900     Kanematsu Corp.     3,590,273  
    149,300     Kawasaki Kisen Kaisha Ltd.     2,245,252  
    52,400     KDDI Corp. (a)     907,071  
    218,900     Kirin Holdings Co. Ltd.     3,140,398  
    13,100     Kitz Corp.     105,549  
    10,900     Kohnan Shoji Co. Ltd.     280,834  
    800     Kokuyo Co. Ltd. (a)     16,922  
    39,300     Komatsu Ltd. (a)     1,194,374  
    7,400     Komeri Co. Ltd.     147,829  
    4,400     Konami Group Corp. (a)     597,266  
    125,000     Kubota Corp.     1,433,973  
    101,300     Kumiai Chemical Industry Co. Ltd.     567,906  
    25,900     Kyudenko Corp.     951,692  
    73,400     LY Corp. (a)     264,672  
    58,200     Macnica Holdings, Inc.     769,303  
    11,700     Marubeni Corp. (a)     237,151  
    33,200     Maruha Nichiro Corp.     717,250  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Japan — continued  

  

    51,600     Maruichi Steel Tube Ltd.     1,239,556  
    1,000     Maruzen Showa Unyu Co. Ltd.            43,966  
    7,100     Matsuda Sangyo Co. Ltd.     163,278  
    2,900     MatsukiyoCocokara & Co.     58,487  
        196,700     Maxell Ltd.     2,452,585  
    42,100     Mazda Motor Corp.     264,082  
    23,900     MCJ Co. Ltd.     218,455  
    1,000     Medipal Holdings Corp.     15,639  
    13,800     Mitsubishi Corp. (a)     279,152  
    155,500     Mitsubishi Electric Corp. (a)     3,103,311  
    2,200     Mitsubishi Research Institute, Inc. (a)     70,575  
    300     Mitsubishi Shokuhin Co. Ltd.     13,146  
    76,700     Mitsui & Co. Ltd. (a)     1,601,584  
    2,400     Mitsui DM Sugar Co. Ltd.     52,071  
    36,700     Mitsui Mining & Smelting Co. Ltd.     1,251,710  
    103,700     Mitsui OSK Lines Ltd.     3,676,364  
    8,000     MIXI, Inc. (a)     185,024  
    113,100     Mizuno Corp.     2,155,742  
    69,400     Morinaga & Co. Ltd.     1,148,798  
    3,400     Nagase & Co. Ltd.     64,567  
    109,700     NEC Corp. (a)     2,863,536  
    62,800     NGK Insulators Ltd.     781,313  
    65,200     NH Foods Ltd.     2,292,511  
    10,000     Nichias Corp.     345,449  
    2,200     Nichiha Corp.     46,678  
    2,400     Nichireki Group Co. Ltd.     41,811  
    2,000     Nippn Corp.     30,266  
    2,000     Nippon Densetsu Kogyo Co. Ltd.     33,302  
    2,500     Nippon Kayaku Co. Ltd.     22,593  
    28,300     Nippon Shinyaku Co. Ltd.     698,611  
    3,400     Nippon Soda Co. Ltd.     69,747  
    1,650,900     Nippon Telegraph & Telephone Corp. (a)     1,838,101  
    23,600     Nippon Television Holdings, Inc. (a)     534,075  
    83,600     Nippon Yusen KK     3,048,285  
    455,400     Nissan Motor Co. Ltd. * (b)     1,155,255  
    1,500     Nissin Corp.     84,334  
    9,500     Niterra Co. Ltd.     305,255  
    1,300     Nittetsu Mining Co. Ltd.     62,933  
    22,500     Nitto Denko Corp.     409,281  
    51,200     Nojima Corp.     976,788  
    3,700     Nomura Holdings, Inc.     22,610  
    67,100     Nomura Real Estate Holdings, Inc.     392,912  
    3,200     Noritake Co. Ltd.     82,546  
    1,700     NS United Kaiun Kaisha Ltd. (b)     44,948  
    1,100     Obara Group, Inc.     26,740  
    25,200     Oji Holdings Corp.     119,542  
    50,600     Okamura Corp.     771,411  
    147,400     Ono Pharmaceutical Co. Ltd.     1,604,931  
    2,400     Open House Group Co. Ltd.     103,698  
    31,400     ORIX Corp.     665,424  
    138,400     Pacific Industrial Co. Ltd. (b)     1,256,325  
    900     PALTAC Corp.     26,080  
Shares     Description  

Value ($)

 
          Japan — continued  

  

        320,200     Panasonic Holdings Corp.     3,669,959  
    244,600     Penta-Ocean Construction Co. Ltd.     1,480,355  
    6,100     Pilot Corp. (a) (b)     168,899  
    1,800     Prima Meat Packers Ltd.            28,381  
    26,200     Recruit Holdings Co. Ltd. (a)     1,560,477  
    9,500     Renesas Electronics Corp.     115,381  
    34,000     Rengo Co. Ltd.     175,283  
    500     Restar Corp.     8,581  
    3,200     Rohto Pharmaceutical Co. Ltd.     45,095  
    4,700     S Foods, Inc.     85,030  
    5,700     Sakai Moving Service Co. Ltd.     99,536  
    18,900     Sakata INX Corp.     251,495  
    35,800     San-Ai Obbli Co. Ltd.     431,153  
    8,800     Sanki Engineering Co. Ltd.     231,382  
    9,200     Sankyo Co. Ltd.     160,458  
    48,100     Sankyu, Inc.     2,313,571  
    20,800     Sanwa Holdings Corp.     716,087  
    9,300     SCSK Corp. (a)     282,277  
    126,000     Sega Sammy Holdings, Inc.     2,376,592  
    8,400     Seiko Epson Corp.     108,684  
    132,300     Sekisui Chemical Co. Ltd.     2,298,295  
    89,500     Sekisui House Ltd.     2,029,603  
    2,900     Sekisui Jushi Corp.     38,660  
    900     Shimamura Co. Ltd.     62,368  
    4,200     Shinagawa Refractories Co. Ltd.     48,916  
    2,000     Shinnihon Corp.     22,511  
    171,900     Shionogi & Co. Ltd.     2,870,305  
    122,600     Ship Healthcare Holdings, Inc.     1,583,961  
    700     Sinanen Holdings Co. Ltd.     30,662  
    5,000     Sinko Industries Ltd.     42,014  
    67,700     Socionext, Inc.     993,575  
    21,600     Sohgo Security Services Co. Ltd. (a)     150,335  
    10,400     Sojitz Corp.     256,505  
    34,500     Sony Group Corp. (a)     923,425  
    104,700     Stanley Electric Co. Ltd.     2,013,982  
    24,900     Starts Corp., Inc.     730,956  
    72,300     Subaru Corp.     1,327,215  
    132,200     SUMCO Corp.     893,583  
    44,300     Sumitomo Corp. (a)     1,128,168  
    73,200     Sumitomo Electric Industries Ltd.     1,535,424  
    81,900     Sumitomo Forestry Co. Ltd. (b)     2,377,524  
    18,500     Sumitomo Heavy Industries Ltd.     386,874  
    116,000     Sumitomo Mitsui Financial Group, Inc.     2,980,147  
    89,200     Sumitomo Mitsui Trust Group, Inc.     2,413,724  
    5,400     Sun Frontier Fudousan Co. Ltd.     77,360  
    20,700     Suntory Beverage & Food Ltd.     672,150  
    5,500     Suzuken Co. Ltd.     202,628  
    83,900     T&D Holdings, Inc.     1,919,432  
    1,100     Takeuchi Manufacturing Co. Ltd.     35,448  
    5,400     Tamron Co. Ltd.     129,153  
    58,800     THK Co. Ltd.     1,603,247  
    15,000     TIS, Inc. (a)     491,953  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Japan — continued  

  

        253,500     Tokai Carbon Co. Ltd. (b)     1,816,162  
    23,000     Tokyo Gas Co. Ltd. (a)     771,250  
    32,200     Tokyo Steel Manufacturing Co. Ltd.     343,517  
    8,400     Tokyo Tatemono Co. Ltd.     148,778  
    19,600     Toray Industries, Inc.     135,216  
    102,400     Tosei Corp.     1,794,287  
    59,900     Tosoh Corp.     886,492  
    89,400     TOTO Ltd.     2,286,573  
    111,800     Towa Corp.     1,185,457  
    9,700     Toyo Tire Corp.     201,319  
    19,400     Toyoda Gosei Co. Ltd.     375,737  
    1,900     Toyota Boshoku Corp.            27,086  
    15,200     Toyota Industries Corp. (a)     1,900,403  
    108,600     Toyota Tsusho Corp.     2,295,083  
    600     Tsubakimoto Chain Co.     7,565  
    3,800     Tsugami Corp.     49,036  
    5,100     TV Asahi Holdings Corp. (a)     92,182  
    3,400     Wacoal Holdings Corp.     116,457  
    19,500     YAMABIKO Corp.     284,753  
    171,900     Yamaha Corp.     1,199,776  
    476,100     Yamaha Motor Co. Ltd. (b)     3,653,320  
    5,300     Yamazen Corp.     48,220  
    20,700     Yellow Hat Ltd.     217,497  
    68,800     Yokogawa Bridge Holdings Corp.     1,216,208  
    35,800     Yokohama Rubber Co. Ltd.     899,961  
    6,200     Yuasa Trading Co. Ltd.     194,039  
    57,300     Zenkoku Hosho Co. Ltd.     1,268,698  
     

 

 

 
    Total Japan     177,029,168  
     

 

 

 
          Kuwait — 0.0%  
    48,006     National Bank of Kuwait SAKP     149,497  
    76,335     Noor Financial Investment Co. KSC     81,243  
     

 

 

 
    Total Kuwait     230,740  
     

 

 

 
          Mexico — 0.4%  
    57,086     Arca Continental SAB de CV     628,370  
    98,398     Cemex SAB de CV Sponsored ADR     674,026  
    8,470     Coca-Cola Femsa SAB de CV Sponsored ADR (b)     804,650  
    495,200     Credito Real SAB de CV SOFOM ER * (d)      
    53,629     El Puerto de Liverpool SAB de CV – Class C1     260,458  
    254,200     Genomma Lab Internacional SAB de CV – Class B     293,832  
    349,800     Gentera SAB de CV     686,399  
    165,022     Grupo Financiero Banorte SAB de CV – Class O     1,463,554  
    815     Unifin Financiera SAB de CV * (d)      
     

 

 

 
    Total Mexico     4,811,289  
     

 

 

 
          Netherlands — 1.6%  
    4,840     Aalberts NV     168,892  

    41,032     ABN AMRO Bank NV     1,060,654  
Shares     Description  

Value ($)

 
          Netherlands — continued  

  

    1,642     Akzo Nobel NV           112,059  
    27,555     EXOR NV     2,652,956  
    350     ForFarmers NV     1,675  
        128,358     ING Groep NV     2,726,600  
    37,818     JDE Peet’s NV     1,040,725  
    70,099     Koninklijke Ahold Delhaize NV (a)     2,958,458  
    28,461     Koninklijke BAM Groep NV     237,968  
    94,445     Koninklijke KPN NV     444,030  
    59,209     NN Group NV     3,725,526  
    38,254     Prosus NV     1,965,038  
    8,974     Randstad NV (a)     376,186  
    42,486     Signify NV     1,038,299  
    988     Wolters Kluwer NV (a)     175,202  
     

 

 

 
    Total Netherlands     18,684,268  
     

 

 

 
          New Zealand — 0.0%  
    42,555     Meridian Energy Ltd. (a)     139,329  
     

 

 

 
          Norway — 0.6%  
    35,540     Aker Solutions ASA     116,016  
    17,685     BW LPG Ltd.     180,932  
    39,484     Elkem ASA     76,108  
    154,529     Equinor ASA (a)     3,617,649  
    27,357     Europris ASA     213,027  
    38,535     Hoegh Autoliners ASA     320,740  
    1,322     Odfjell Drilling Ltd.     8,232  
    115,968     Orkla ASA     1,314,960  
    1,648     Selvaag Bolig ASA     5,597  
    4,613     Stolt-Nielsen Ltd.     115,509  
    37,409     Storebrand ASA     490,104  
    25,593     Wallenius Wilhelmsen ASA     199,811  
     

 

 

 
    Total Norway     6,658,685  
     

 

 

 
          Peru — 0.0%  
    1,900     Credicorp Ltd.     402,439  
     

 

 

 
          Philippines — 0.0%  
    44,480     China Banking Corp.     60,315  
    244,100     LT Group, Inc.     53,834  
    1,530     Manila Electric Co.     15,075  
    114,800     Manila Water Co., Inc.     68,550  
    1,006,080     Megaworld Corp.     32,254  
    164,500     Synergy Grid & Development Phils, Inc. *     33,744  
     

 

 

 
    Total Philippines     263,772  
     

 

 

 
          Poland — 0.2%  
    75,692     ORLEN SA     1,487,319  
    93,044     PGE Polska Grupa Energetyczna SA *     232,216  
    270     Powszechna Kasa Oszczednosci Bank Polski SA     5,432  
    25,976     Powszechny Zaklad Ubezpieczen SA     424,376  
     

 

 

 
    Total Poland     2,149,343  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Portugal — 0.1%  

  

        668,522     Banco Comercial Portugues SA – Class R     521,482  
    66,581     Navigator Co. SA     260,730  
    18,732     NOS SGPS SA            82,066  
    18,782     REN – Redes Energeticas Nacionais SGPS SA     62,761  
    183,628     Sonae SGPS SA     254,526  
     

 

 

 
    Total Portugal     1,181,565  
     

 

 

 
          Qatar — 0.1%  
    19,671     Ooredoo QPSC     66,835  
    140,687     Qatar National Bank QPSC     654,321  
     

 

 

 
    Total Qatar     721,156  
     

 

 

 
          Russia — 0.0%  
    3,038,020     Alrosa PJSC (d) (e)      
    160,792,062     Federal Grid Co-Rosseti PJSC * (d) (e)      
    180,610     Gazprom Neft PJSC (d) (e)      
    2,050,858     Gazprom PJSC (d) (e)      
    455,400     GMK Norilskiy Nickel PAO * (d) (e)      
    6,310,100     Inter RAO UES PJSC (d) (e)      
    19,776     LSR Group PJSC * (d) (e)      
    1     LSR Group PJSC GDR * (d) (e)      
    74,944     LUKOIL PJSC * (d) (e)      
    1,863,335     Magnitogorsk Iron & Steel Works PJSC (d) (e)      
    25,400     Mechel PJSC * (d) (e)      
    361,420     Moscow Exchange MICEX-RTS PJSC (d) (e)      
    3,294,000     Mosenergo PJSC (d) (e)      
    75,720     Novatek PJSC (d) (e)      
    1,212,010     Novolipetsk Steel PJSC * (d) (e)      
    3,466     PhosAgro PJSC (d) (e)      
    67     PhosAgro PJSC GDR * (d) (e)      
    102,150     Polyus PJSC * (d) (e)      
    1     Polyus PJSC GDR * (d) (e)      
    24,471,200     RusHydro PJSC * (d) (e)      
    3,677,652     Sberbank of Russia PJSC (d) (e)      
    425     Severstal PAO (d) (e)      
    91,185     Severstal PAO GDR (Registered) * (d) (e)      
    11,580     SFI PJSC (d) (e)      
    5,940,620     Surgutneftegas PAO (d) (e)      
    332,388     Tatneft PJSC (d) (e)      
    1,300,440     Unipro PJSC * (d) (e)      
    50,950     United Co. RUSAL International PJSC * (d) (e)      
     

 

 

 
    Total Russia      
     

 

 

 
          Saudi Arabia — 0.2%  
    3,003     Al Rajhi Bank     72,841  
    30,653     Arab National Bank     176,821  
    16,923     Etihad Etisalat Co.     268,781  
    67,463     Riyad Bank     521,928  
Shares     Description  

Value ($)

 
          Saudi Arabia — continued  

  

    35,405     Saudi Awwal Bank     318,365  
    58,624     Saudi National Bank     541,755  
    61,709     Saudi Telecom Co.     688,566  
     

 

 

 
    Total Saudi Arabia     2,589,057  
     

 

 

 
          Singapore — 0.6%  
    29,900     Bumitama Agri Ltd.     16,791  
        262,600     ComfortDelGro Corp. Ltd.     288,921  
    18,108     DBS Group Holdings Ltd.     624,771  
    35,500     First Real Estate Investment Trust – (REIT) (b)     7,315  
    84,500     First Resources Ltd.            92,752  
    481,600     Golden Agri-Resources Ltd.     93,226  
    175,600     Oversea-Chinese Banking Corp. Ltd.     2,205,560  
    7,800     Sheng Siong Group Ltd.     10,948  
    74,700     StarHub Ltd.     66,008  
    41,900     United Overseas Bank Ltd.     1,150,982  
    11,800     Venture Corp. Ltd.     101,145  
    27,600     Wilmar International Ltd.     65,189  
    264,399     Yangzijiang Financial Holding Ltd.     148,559  
    1,148,899     Yangzijiang Shipbuilding Holdings Ltd.     1,882,254  
    161,100     Yanlord Land Group Ltd. * (b)     57,306  
     

 

 

 
    Total Singapore     6,811,727  
     

 

 

 
          South Africa — 0.2%  
    23,276     Absa Group Ltd.     224,485  
    4,078     JSE Ltd.     30,044  
    7,163     Motus Holdings Ltd.     35,738  
    965     Naspers Ltd. – N Shares     277,280  
    22,629     Nedbank Group Ltd.     321,481  
    623,786     Old Mutual Ltd.     404,871  
    16,324     Raubex Group Ltd.     37,095  
    74,763     Sanlam Ltd.     368,565  
    12,648     Tiger Brands Ltd.     243,133  
     

 

 

 
    Total South Africa     1,942,692  
     

 

 

 
          South Korea — 1.9%  
    7,680     Coway Co. Ltd.     493,863  
    20,592     Doosan Bobcat, Inc.     699,919  
    6,860     GS Holdings Corp.     216,128  
    17,765     Hana Financial Group, Inc.     934,332  
    13,227     Hankook Tire & Technology Co. Ltd.     368,890  
    25,725     HMM Co. Ltd.     396,814  
    15,780     Hyundai Glovis Co. Ltd.     1,294,941  
    501     Hyundai Home Shopping Network Corp.     19,814  
    20,552     Hyundai Mobis Co. Ltd.     3,767,514  
    5,763     Hyundai Motor Co.     772,447  
    5,198     KB Financial Group, Inc.     391,118  
    3,654     KB Financial Group, Inc. ADR     273,136  
    55,413     Kia Corp.     3,583,718  
    4,476     Korea Electric Power Corp.     97,891  
    23,661     KT&G Corp.     2,057,095  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          South Korea — continued  

  

    2,285     Kyung Dong Navien Co. Ltd.     124,376  
    6,639     LG Corp.     341,042  
    16,924     LG Electronics, Inc.     870,451  
    438     LG Innotek Co. Ltd.            45,902  
    3,552     POSCO Holdings, Inc. Sponsored ADR     162,326  
    9,194     Samsung E&A Co. Ltd.     144,667  
    51,086     Samsung Electronics Co. Ltd.     2,072,952  
    26     Samsung Electronics Co. Ltd. GDR (a)     26,184  
    16,801     Shinhan Financial Group Co. Ltd.     702,736  
    5,020     SK Square Co. Ltd. *     415,210  
    90,739     Woori Financial Group, Inc.     1,266,155  
    3,601     Youngone Corp.     158,218  
     

 

 

 
    Total South Korea     21,697,839  
     

 

 

 
          Spain — 1.6%  
    68,914     Acerinox SA     814,034  
    17,671     Atresmedia Corp. de Medios de Comunicacion SA (a)     119,355  
        382,296     Banco Bilbao Vizcaya Argentaria SA     5,739,010  
    1,159,140     Banco de Sabadell SA     3,690,097  
    675,291     Banco Santander SA     5,387,234  
    13,989     Iberdrola SA (a)     256,415  
    5,131     Indra Sistemas SA (a)     211,403  
    956     Industria de Diseno Textil SA (a)     51,792  
    178,668     Mapfre SA     675,820  
    29,927     Prosegur Cia de Seguridad SA     92,739  
    73,677     Repsol SA     992,646  
    94,125     Unicaja Banco SA     206,897  
     

 

 

 
    Total Spain     18,237,442  
     

 

 

 
          Sweden — 0.5%  
    4,317     Betsson AB – Class B (a)     83,547  
    4,637     Boliden AB *     144,968  
    67,217     Fastighets AB Balder – B Shares * (b)     471,291  
    52,048     Investor AB – B Shares (a)     1,532,704  
    1,508     Inwido AB     33,165  
    1,284     Loomis AB (a)     49,672  
    8,490     Skanska AB – B Shares     201,980  
    9,701     SKF AB – B Shares (b)     213,386  
    14,266     SSAB AB – B Shares (b)     84,743  
    29,569     Swedbank AB – A Shares     800,650  
    93,343     Telefonaktiebolaget LM Ericsson – B Shares     794,589  
    42,186     Volvo AB – B Shares (a)     1,168,916  
     

 

 

 
    Total Sweden     5,579,611  
     

 

 

 
          Switzerland — 1.3%  
    2,452     ABB Ltd. (Registered) (a)     138,900  
    64,370     Adecco Group AG (Registered) (a) (b)     1,797,911  
    393     Bobst Group SA (Registered)     29,606  
    1,039     Galenica AG     107,615  
    534     Implenia AG (Registered)     31,433  
Shares     Description  

Value ($)

 
          Switzerland — continued  

  

    4,069     Logitech International SA (Registered)     339,052  
    2,012     Mobilezone Holding AG (Registered)     28,558  
    6,244     Nestle SA (Registered) (a)     665,217  
    15,417     Novartis AG (Registered) (a)     1,779,570  
    14,254     Novartis AG Sponsored ADR (a)     1,650,043  
    21,853     Roche Holding AG (c)     7,079,216  
    901     Roche Holding AG (c)     307,867  
    6,200     Sandoz Group AG ADR     313,968  
    654     Swisscom AG (Registered) (a)     449,853  
    562     u-blox Holding AG *            62,747  
     

 

 

 
    Total Switzerland     14,781,556  
     

 

 

 
          Taiwan — 2.3%  
    88,000     Asustek Computer, Inc.     1,809,264  
    2,000     Bizlink Holding, Inc.     41,990  
        204,000     Cathay Financial Holding Co. Ltd.     403,552  
    39,000     Compal Electronics, Inc.     36,963  
    78,000     CTBC Financial Holding Co. Ltd.     105,294  
    2,000     Delta Electronics, Inc.     24,577  
    145,000     Eva Airways Corp.     195,900  
    452,200     Evergreen Marine Corp. Taiwan Ltd.     3,653,348  
    200,205     Fubon Financial Holding Co. Ltd.     527,757  
    7,080     Fusheng Precision Co. Ltd.     82,116  
    291,318     Hon Hai Precision Industry Co. Ltd.     1,483,577  
    10,000     Kung Long Batteries Industrial Co. Ltd.     47,894  
    45,000     MediaTek, Inc.     1,847,637  
    99,000     Mitac Holdings Corp. *     193,251  
    1,403,000     Pou Chen Corp.     1,447,401  
    169,472     Radiant Opto-Electronics Corp.     827,208  
    23,000     Realtek Semiconductor Corp.     410,121  
    25,000     Shinkong Insurance Co. Ltd.     87,116  
    18,900     Simplo Technology Co. Ltd.     234,644  
    298,000     Taiwan Semiconductor Manufacturing Co. Ltd.     9,504,415  
    800     Taiwan Semiconductor Manufacturing Co. Ltd. Sponsored ADR (a)     154,656  
    2,000     TTY Biopharm Co. Ltd.     5,004  
    12,000     United Integrated Services Co. Ltd.     220,402  
    104,000     Wan Hai Lines Ltd.     371,995  
    669,000     Yang Ming Marine Transport Corp.     1,760,028  
    117,000     Yuanta Financial Holding Co. Ltd.     121,253  
    64,000     YungShin Global Holding Corp.     130,645  
    6,000     Zhen Ding Technology Holding Ltd.     20,363  
     

 

 

 
    Total Taiwan     25,748,371  
     

 

 

 
          Thailand — 0.9%  
    164,400     3BB Internet Infrastructure Fund – Class F     30,022  
    5,200     Advanced Info Service PCL NVDR     45,229  
    21,600     AP Thailand PCL NVDR     4,470  
    304,700     Digital Telecommunications Infrastructure Fund – Class F     75,657  
    749,800     Kasikornbank PCL NVDR     3,516,855  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Thailand — continued  

  

    4,680,000     Krung Thai Bank PCL NVDR     3,160,818  
        374,900     PTT Exploration & Production PCL NVDR     1,117,103  
    810,000     PTT PCL NVDR     733,277  
    63,200     Regional Container Lines PCL NVDR            50,454  
    500,800     SCB X PCL NVDR     1,807,399  
    21,400     Somboon Advance Technology PCL NVDR     7,955  
    104,700     Sri Trang Gloves Thailand PCL NVDR     20,673  
    77,100     Thai Oil PCL NVDR     69,710  
     

 

 

 
    Total Thailand     10,639,622  
     

 

 

 
          Turkey — 0.0%  
    17,328     Dogus Otomotiv Servis ve Ticaret AS     76,664  
    40,872     Turk Hava Yollari AO *     285,092  
     

 

 

 
    Total Turkey     361,756  
     

 

 

 
          United Arab Emirates — 0.4%  
    88,804     Abu Dhabi Commercial Bank PJSC     291,897  
    10,244     Abu Dhabi Islamic Bank PJSC     53,475  
    107,031     Dubai Islamic Bank PJSC     240,370  
    89,209     Emaar Development PJSC     325,321  
    592,647     Emaar Properties PJSC     2,122,241  
    128,253     Emirates NBD Bank PJSC     781,897  
    72,686     First Abu Dhabi Bank PJSC     318,535  
    35,723     Orascom Construction PLC     185,026  
     

 

 

 
    Total United Arab Emirates     4,318,762  
     

 

 

 
          United Kingdom — 3.1%  
    91,914     3i Group PLC (a)     5,048,388  
    54,388     Aberdeen Group PLC     127,286  
    4,387     Associated British Foods PLC     123,328  
    1,797     Berkeley Group Holdings PLC     101,927  
    38,825     British American Tobacco PLC Sponsored ADR (a)     1,754,890  
    2,130,327     BT Group PLC     5,157,876  
    25,556     Coca-Cola HBC AG     1,331,788  
    5,230     DCC PLC     326,959  
    23,265     Evraz PLC * (d)      
    115,285     Ferrexpo PLC *     84,065  
    1,604     Galliford Try Holdings PLC     8,875  
    74,625     GSK PLC Sponsored ADR (a)     3,061,864  
    19,945     GSK PLC (a)     405,161  
    85,622     HSBC Holdings PLC     1,008,714  
    87,840     IG Group Holdings PLC     1,328,735  
    30,114     Imperial Brands PLC     1,142,063  
    17,373     International Personal Finance PLC     37,878  
    11,918     Investec PLC     85,105  
    644,780     ITV PLC (a)     679,266  
    75,004     J Sainsbury PLC     288,466  
    3,692     Johnson Matthey PLC     85,651  
    4,789     Keller Group PLC     99,112  
    665,282     Kingfisher PLC     2,490,423  
Shares     Description  

Value ($)

 
          United Kingdom — continued  

  

    4,859     Lion Finance Group PLC     437,408  
        36,307     MONY Group PLC (a)     102,142  
    6,754     Morgan Advanced Materials PLC            19,301  
    5,953     Morgan Sindall Group PLC     310,883  
    40,739     OSB Group PLC     268,771  
    20,286     Paragon Banking Group PLC     247,145  
    21,329     Pearson PLC Sponsored ADR (a)     340,197  
    20,638     Plus500 Ltd.     947,548  
    45,865     Rio Tinto PLC Sponsored ADR (b)     2,725,757  
    2,887     Rio Tinto PLC (a)     170,858  
    55,836     Schroders PLC     267,726  
    7,798     Shell PLC ADR (a)     516,384  
    14,146     Spirent Communications PLC *     35,923  
    1,518     TBC Bank Group PLC     91,428  
    58,628     TP ICAP Group PLC     207,223  
    5,379     Unilever PLC Sponsored ADR (a)     343,395  
    7,576     Vesuvius PLC     36,811  
    307,460     Vodafone Group PLC Sponsored ADR (a)     3,179,136  
    112,460     Vodafone Group PLC (a)     116,628  
    35,451     Zigup PLC     166,163  
     

 

 

 
    Total United Kingdom     35,308,647  
     

 

 

 
          United States — 11.5%  
    2,837     Academy Sports & Outdoors, Inc. (b)     116,062  
    1,139     Affiliated Managers Group, Inc.     200,464  
    3,542     Aflac, Inc. (a)     366,742  
    1,413     AGCO Corp.     138,446  
    6,273     Akamai Technologies, Inc. * (a)     476,309  
    1,094     Allstate Corp. (a)     229,598  
    35,052     Ally Financial, Inc.     1,226,820  
    3,426     Alphabet, Inc. – Class A (a)     588,381  
    2,819     Alphabet, Inc. – Class C (a)     487,264  
    1,979     American Express Co. (a)     581,925  
    2,179     Applied Materials, Inc. (a)     341,558  
    2,030     Aptiv PLC *     135,624  
    12,634     Arch Capital Group Ltd. (a)     1,200,735  
    6,835     Archer-Daniels-Midland Co.     329,925  
    2,391     Arrow Electronics, Inc. *     283,047  
    5,777     AT&T, Inc. (a)     160,602  
    391     Atkore, Inc.     25,454  
    635     Autoliv, Inc.     65,291  
    1,439     AutoNation, Inc. *     264,560  
    7,774     Avnet, Inc.     388,778  
    65,560     Bank of America Corp. (a)     2,893,163  
    5,050     Bank of New York Mellon Corp. (a)     447,481  
    2,449     Bath & Body Works, Inc.     68,866  
    2,866     Best Buy Co., Inc.     189,958  
    15,140     Block, Inc. * (a)     934,895  
    5,174     Blue Owl Capital Corp.     75,799  
    22,218     BorgWarner, Inc.     735,194  
    822     Bread Financial Holdings, Inc.     42,119  
    13,917     Bristol-Myers Squibb Co. (a)     671,913  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          United States — continued  

  

         10,035     Builders FirstSource, Inc. *     1,080,569  
    2,375     Bunge Global SA     185,606  
    13,674     Capital One Financial Corp. (a)     2,586,437  
    1,056     Carrier Global Corp. (a)            75,187  
    773     Caterpillar, Inc. (a)     269,027  
    10,683     CBRE Group, Inc. – Class A * (a)     1,335,589  
    30,523     Centene Corp. * (a)     1,722,718  
    964     CH Robinson Worldwide, Inc.     92,515  
    10,485     Chevron Corp. (a)     1,433,299  
    911     Chubb Ltd. (a)     270,749  
    3,615     Cigna Group (a)     1,144,654  
    18,549     Cisco Systems, Inc. (a)     1,169,329  
    33,879     Citigroup, Inc. (a)     2,551,766  
    73,564     CNH Industrial NV (b)     920,286  
    24,283     Cognizant Technology Solutions Corp. – Class A (a)     1,966,680  
    79,151     Comcast Corp. – Class A (a)     2,736,250  
    3,100     Commercial Metals Co.     144,429  
    2,345     Conagra Brands, Inc.     53,677  
    1,845     Concentrix Corp. (a) (b)     103,255  
    4,019     ConocoPhillips (a)     343,022  
    3,355     Crocs, Inc. *     342,210  
    5,372     Cummins, Inc. (a)     1,726,991  
    39,956     CVS Health Corp. (a)     2,558,782  
    26,041     Delta Air Lines, Inc. (a)     1,260,124  
    17,425     Devon Energy Corp.     527,281  
    8,140     Dollar General Corp.     791,615  
    11,910     DR Horton, Inc. (a)     1,406,095  
    28,493     eBay, Inc. (a)     2,084,833  
    1,876     Edgewell Personal Care Co.     51,815  
    176     Electronic Arts, Inc. (a)     25,305  
    2,059     Elevance Health, Inc. (a)     790,327  
    649     EnerSys     54,276  
    1,304     Enova International, Inc. *     120,842  
    6,821     EOG Resources, Inc. (a)     740,556  
    5,711     EPAM Systems, Inc. * (a)     996,512  
    2,214     Everest Group Ltd.     768,679  
    8,377     Expedia Group, Inc. (a)     1,396,865  
    18,749     Exxon Mobil Corp. (a)     1,918,023  
    2,182     Federated Hermes, Inc.     92,080  
    1,939     FedEx Corp. (a)     422,896  
    1,445     FMC Corp. (b)     58,609  
    168,023     Ford Motor Co. (a)     1,744,079  
    2,218     Fox Corp. – Class A (a)     121,857  
    23,642     Fox Corp. – Class B (a)     1,188,720  
    69,152     Franklin Resources, Inc. (b)     1,496,449  
    24,216     GE HealthCare Technologies, Inc. (a)     1,708,197  
    8,558     General Mills, Inc.     464,357  
    40,260     General Motors Co. (a)     1,997,299  
    1,319     Genpact Ltd. (a)     56,783  
    1,346     Goldman Sachs Group, Inc. (a)     808,206  
    512     Group 1 Automotive, Inc.     217,047  
Shares     Description  

Value ($)

 
          United States — continued  

  

    2,024     H&R Block, Inc. (a)     115,267  
    3,897     Hartford Insurance Group, Inc. (a)     505,986  
        100,430     Hewlett Packard Enterprise Co.     1,735,430  
    71,363     HP, Inc.     1,776,939  
    1,537     Humana, Inc. (a)     358,321  
    8,496     Huntington Bancshares, Inc.     132,792  
    18,781     Incyte Corp. *     1,221,892  
    65,419     Intel Corp. (a)     1,278,941  
    5,143     International Business Machines Corp. (a)     1,332,346  
    18,344     Invesco Ltd.     265,254  
    4,202     Janus Henderson Group PLC     152,659  
    12,436     Johnson & Johnson (a)     1,930,192  
    7,590     JPMorgan Chase & Co. (a)     2,003,760  
    4,284     KB Home     220,969  
    3,015     Keurig Dr. Pepper, Inc.     101,515  
    707     Kimberly-Clark Corp. (a)     101,638  
    1,631     Kinder Morgan, Inc. (a)            45,733  
    51,608     Kraft Heinz Co.     1,379,482  
    3,644     Kroger Co. (a)     248,630  
    2,279     Lam Research Corp. (a)     184,120  
    2,867     Lear Corp.     259,234  
    13,729     Lennar Corp. – Class A (a) (b)     1,456,372  
    1,965     Lincoln National Corp.     65,120  
    2,173     LKQ Corp.     87,941  
    20,611     LyondellBasell Industries NV – Class A     1,164,315  
    1,942     M&T Bank Corp.     354,687  
    346     M/I Homes, Inc. *     36,887  
    2,139     Macy’s, Inc.     25,433  
    568     ManpowerGroup, Inc.     23,828  
    34,169     Match Group, Inc. (a)     1,023,020  
    3,546     Medtronic PLC (a)     294,247  
    29,567     Merck & Co., Inc. (a)     2,271,928  
    1,950     Meritage Homes Corp.     124,040  
    2,114     Meta Platforms, Inc. – Class A (a)     1,368,794  
    900     MetLife, Inc. (a)     70,722  
    23,516     MGIC Investment Corp.     621,998  
    14,109     Micron Technology, Inc. (a)     1,332,736  
    44,289     Moderna, Inc. *     1,176,316  
    519     Mohawk Industries, Inc. *     52,217  
    1,537     Molson Coors Beverage Co. – Class B     82,368  
    2,187     Mondelez International, Inc. – Class A (a)     147,601  
    3,883     Morgan Stanley (a)     497,140  
    816     Mueller Industries, Inc.     63,542  
    509     Northrop Grumman Corp. (a)     246,748  
    13,414     Nucor Corp. (a)     1,466,955  
    1,721     Old Republic International Corp.     65,054  
    27,616     ON Semiconductor Corp. *     1,160,424  
    23,295     Organon & Co.     214,780  
    3,099     Oshkosh Corp.     307,390  
    18,327     Ovintiv, Inc.     656,473  
    1,349     Owens Corning     180,699  
    17,582     PACCAR, Inc. (a)     1,650,071  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          United States — continued  

  

         29,430     PayPal Holdings, Inc. * (a)     2,068,340  
    2,567     PepsiCo, Inc. (a)     337,432  
    2,808     Perdoceo Education Corp. (a)            95,584  
    111,552     Pfizer, Inc. (a)     2,620,356  
    4,250     PNC Financial Services Group, Inc.     738,692  
    1,931     Polaris, Inc.     75,734  
    1,571     PPG Industries, Inc. (a)     174,067  
    2,492     Premier, Inc. – Class A (b)     57,266  
    13,242     PulteGroup, Inc.     1,298,113  
    2,055     PVH Corp.     172,147  
    9,942     QUALCOMM, Inc. (a)     1,443,578  
    10,934     Radian Group, Inc.     373,396  
    2,930     Raymond James Financial, Inc. (a)     430,651  
    3,843     Regeneron Pharmaceuticals, Inc.     1,884,146  
    5,674     Regions Financial Corp.     121,651  
    4,907     Sealed Air Corp.     158,005  
    2,527     Signet Jewelers Ltd. (b)     168,222  
    2,970     Sixth Street Specialty Lending, Inc.     69,171  
    512     Skechers USA, Inc. – Class A *     31,764  
    17,086     Skyworks Solutions, Inc. (b)     1,179,447  
    6,991     SLM Corp.     226,299  
    173     Snap-on, Inc.     55,490  
    17,914     Solventum Corp. *     1,309,334  
    10,063     State Street Corp. (a)     968,866  
    8,960     Steel Dynamics, Inc.     1,102,707  
    2,083     Steven Madden Ltd.     51,346  
    30,960     Synchrony Financial     1,784,844  
    10,151     T. Rowe Price Group, Inc. (b)     950,032  
    11,801     Target Corp.     1,109,412  
    906     Taylor Morrison Home Corp. *     50,990  
    510     TE Connectivity PLC     81,636  
    807     Timken Co.     55,271  
    402     Toll Brothers, Inc.     41,909  
    2,663     Tri Pointe Homes, Inc. *     78,505  
    4,811     Truist Financial Corp.     190,035  
    3,041     Tyson Foods, Inc. – Class A     170,783  
    34,817     U.S. Bancorp     1,517,673  
    681     UFP Industries, Inc.     66,438  
    14,699     United Airlines Holdings, Inc. * (a)     1,167,762  
    19,196     United Parcel Service, Inc. – Class B (a)     1,872,378  
    1,518     United Therapeutics Corp. *     484,014  
    1,997     Universal Health Services, Inc. – Class B     380,129  
    1,792     Unum Group     146,424  
    67,313     Verizon Communications, Inc. (a)     2,959,079  
    146,082     Viatris, Inc.     1,284,061  
    33,190     VICI Properties, Inc. – (REIT) (b)     1,052,455  
    1,794     Vontier Corp.     64,136  
    121,815     Walgreens Boots Alliance, Inc.     1,370,419  
    3,082     Wells Fargo & Co. (a)     230,472  
    29,641     Western Union Co.     275,068  
    2,161     Whirlpool Corp. (b)     168,752  
    2,322     YETI Holdings, Inc. *     70,960  

  

         19,862     Zoom Communications, Inc. – Class A * (a)     1,613,787  
     

 

 

 
    Total United States     131,879,901  
     

 

 

 
Shares     Description  

Value ($)

 
          Vietnam — 0.0%  

  

    8,900     Binh Minh Plastics JSC     46,749  
    6,529     Masan Consumer Corp.            31,962  
    114,400     Quang Ngai Sugar JSC     209,078  
    4,300     Vietnam Dairy Products JSC     9,066  
         84,300     Vietnam Engine & Agricultural Machinery Corp.     126,879  
     

 

 

 
    Total Vietnam     423,734  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $703,396,217)
    682,416,934  
     

 

 

 
          PREFERRED STOCKS (f) — 0.8%  
          Brazil — 0.4%  
    45,200     Bradespar SA     123,284  
    1,264,603     Cia Energetica de Minas Gerais     2,396,765  
    48,160     Gerdau SA     128,410  
    222,775     Gerdau SA Sponsored ADR (b)     585,898  
    72,250     Itau Unibanco Holding SA     472,824  
    48,180     Itau Unibanco Holding SA Sponsored ADR     317,506  
    161,200     Itausa SA     312,000  
    46,811     Petroleo Brasileiro SA – Petrobras Sponsored ADR (a)     506,495  
     

 

 

 
    Total Brazil     4,843,182  
     

 

 

 
          Colombia — 0.0%  
    11,359     Grupo Cibest SA ADR     470,603  
     

 

 

 
          Germany — 0.3%  
    8,211     Bayerische Motoren Werke AG     680,579  
    981     Draegerwerk AG & Co. KGaA     74,756  
    5,116     Henkel AG & Co. KGaA (a)     409,920  
    191     Villeroy & Boch AG     3,600  
    20,352     Volkswagen AG     2,203,606  
     

 

 

 
    Total Germany     3,372,461  
     

 

 

 
          Russia — 0.0%  
    12,924     Bashneft PJSC (d) (e)      
    56,000     Nizhnekamskneftekhim PJSC (d) (e)      
    20,810     Sberbank of Russia PJSC (d) (e)      
    9,254,300     Surgutneftegas PAO (d) (e)      
    16,100     Transneft PJSC (d) (e)      
     

 

 

 
    Total Russia      
     

 

 

 
          South Korea — 0.1%  
    1,194     LG Electronics, Inc.     31,514  
    18,916     Samsung Electronics Co. Ltd.     630,429  
    51     Samsung Electronics Co. Ltd. GDR     42,219  
     

 

 

 
    Total South Korea     704,162  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $15,840,853)
    9,390,408  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares /

Par Value†

    Description  

Value ($)

 
    RIGHTS/WARRANTS — 0.0%

 

          Canada — 0.0%  

  

    7,900     Resolute Forest Products, Inc. * (g)            11,850  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $8,690)
    11,850  
     

 

 

 
          INVESTMENT FUNDS — 21.7%  
          United States — 21.7%      
    8,357,349     GMO Alternative Allocation Fund, Class VI (h)     148,008,646  
        592,482     GMO Climate Change Fund, Class III (h)     10,481,012  
    1,152,748     GMO Emerging Country Debt Fund, Class VI (h)     23,585,218  
    675,432     GMO High Yield Fund, Class VI (h)     11,651,203  
    956,814     GMO Opportunistic Income Fund, Class VI (h)     23,279,275  
    1,711,707     GMO Resources Fund, Class VI (h)     28,756,685  
    579,128     GMO U.S. Treasury Fund, Class VI (h) (i)     2,901,430  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $270,068,553)
    248,663,469  
     

 

 

 
          DEBT OBLIGATIONS — 21.1%      
          United States — 21.1%      
          U.S. Government — 21.1%      
    84,610,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.15%, 4.45%, due 04/30/26 (a)     84,672,715  
    34,000,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.21%, 4.51%, due 10/31/26     34,050,088  
    1,135,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 4.40%, due 01/31/27     1,135,378  
    48,865,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 4.46%, due 04/30/27 (a)     48,893,089  
    11,248,740     U.S. Treasury Inflation-Indexed Bonds, 2.38%, due 02/15/55 (a)     10,692,575  
    32,203,560     U.S. Treasury Inflation-Indexed Notes, 1.88%, due 07/15/34 (a)     31,949,126  
    30,195,446     U.S. Treasury Inflation-Indexed Notes, 2.13%, due 01/15/35 (a)     30,406,500  
     

 

 

 
    Total U.S. Government     241,799,471  
     

 

 

 
    Total United States     241,799,471  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $241,238,115)
    241,799,471  
     

 

 

 
Shares     Description  

Value ($)

 
    SHORT-TERM INVESTMENTS — 10.6%

 

          Money Market Funds — 0.5%  

  

      5,924,300     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (j)     5,924,300  
     

 

 

 
          Repurchase Agreements — 10.1%  
    115,999,446     Nomura Securities International, Inc. Repurchase Agreement, dated 05/30/2025, maturing on 06/02/25 with a maturity value of $116,041,303 and an effective yield of 4.33%, collateralized by a U.S. Treasury Note with maturity date 07/15/27 and a market value of $118,512,415.     115,999,446  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $121,923,746)
    121,923,746  
     

 

 

 
    TOTAL INVESTMENTS — 113.8%
(Cost $1,352,476,174)
    1,304,205,878  
     

 

 

 
          SECURITIES SOLD SHORT — (14.1)%  
          Common Stocks — (14.0)%  
          Australia — (0.6)%  
    (7,333   ASX Ltd.     (336,927
    (21,552   CAR Group Ltd.     (493,912
    (1,800   Cochlear Ltd.     (314,736
    (2,018   Computershare Ltd.     (52,248
    (123,123   Lottery Corp. Ltd.     (404,590
    (663   Mineral Resources Ltd. *     (9,479
    (7,865   Pro Medicus Ltd.     (1,425,908
    (3,885   REA Group Ltd.     (600,098
    (22,647   WiseTech Global Ltd.     (1,564,753
    (11,269   Xero Ltd. *     (1,338,627
     

 

 

 
    Total Australia     (6,541,278
     

 

 

 
          Austria — (0.0)%  
    (601   Verbund AG     (46,958
     

 

 

 
          Belgium — (0.0)%      
    (168   Argenx SE *     (96,394
    (35   Lotus Bakeries NV     (362,440
     

 

 

 
    Total Belgium     (458,834
     

 

 

 
          Brazil — (0.1)%      
    (119,974   NU Holdings Ltd. – Class A *     (1,440,888
     

 

 

 
          Canada — (1.0)%      
    (1,542   Agnico Eagle Mines Ltd.     (181,940
    (46,900   AltaGas Ltd.     (1,310,268
    (9,321   Brookfield Renewable Corp.     (273,944
    (24,496   Cameco Corp.     (1,433,751
    (31,235   Enbridge, Inc.     (1,451,803
    (8,714   Franco-Nevada Corp.     (1,470,923
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Canada — continued      

  

         (27,746   GFL Environmental, Inc.     (1,399,231
    (50,043   Pan American Silver Corp.     (1,220,549
    (31,564   Pembina Pipeline Corp.     (1,183,019
    (16,471   Restaurant Brands International, Inc.     (1,176,194
     

 

 

 
    Total Canada       (11,101,622
     

 

 

 
          Denmark — (0.2)%      
    (11,444   Coloplast AS – Class B     (1,112,592
    (34,822   Tryg AS     (895,832
     

 

 

 
    Total Denmark     (2,008,424
     

 

 

 
          France — (0.3)%      
    (6,693   Aeroports de Paris SA     (897,198
    (1,570   Bureau Veritas SA     (53,651
    (152   Dassault Aviation SA     (55,285
    (2,352   Euronext NV     (383,327
    (56,183   Getlink SE *     (1,074,656
    (516   Hermes International SCA     (1,422,876
     

 

 

 
    Total France     (3,886,993
     

 

 

 
          Germany — (0.6)%      
    (933   adidas AG     (232,703
    (3,441   CTS Eventim AG & Co. KGaA     (417,381
    (29,333   Delivery Hero SE *     (810,950
    (3,793   MTU Aero Engines AG     (1,517,083
    (3,222   Qiagen NV *     (145,438
    (375   Rational AG     (308,337
    (548   Rheinmetall AG     (1,174,510
    (14,850   Siemens Energy AG *     (1,451,224
    (6,649   Talanx AG     (862,579
     

 

 

 
    Total Germany     (6,920,205
     

 

 

 
          Israel — (0.4)%      
    (3,830   CyberArk Software Ltd. *     (1,466,047
    (4,944   Monday.com Ltd. *     (1,470,791
    (7,513   Wix.com Ltd. *     (1,119,061
     

 

 

 
    Total Israel     (4,055,899
     

 

 

 
          Italy — (0.4)%      
    (23,126   Amplifon SpA     (531,591
    (2,965   Ferrari NV     (1,419,155
    (62,415   FinecoBank Banca Fineco SpA     (1,349,784
    (94,272   Infrastrutture Wireless Italiane SpA     (1,106,753
     

 

 

 
    Total Italy     (4,407,283
     

 

 

 
          Japan — (1.2)%      
    (48,900   Aeon Co. Ltd.     (1,503,339
    (35,200   ANA Holdings, Inc.     (696,997
    (40,100   Asics Corp.     (966,454
    (7,400   Dentsu Group, Inc.     (159,835
    (3,800   Disco Corp.     (851,242
Shares     Description  

Value ($)

 
          Japan — continued      

  

    (3,800   Fujikura Ltd.     (176,386
    (97,200   Japan Exchange Group, Inc.     (1,064,672
         (27,900   Kobe Bussan Co. Ltd.     (881,619
    (1,100   McDonald’s Holdings Co. Japan Ltd.     (46,647
    (7,800   Mitsubishi Heavy Industries Ltd.     (179,606
    (51,200   MonotaRO Co. Ltd.     (1,056,188
    (61,100   Oriental Land Co. Ltd.     (1,357,691
    (208,400   Rakuten Group, Inc. *     (1,147,012
    (40,900   Shiseido Co. Ltd.     (658,276
    (1,016,600   SoftBank Corp.     (1,562,064
    (9,100   Tokyu Corp.     (110,489
    (6,700   West Japan Railway Co.     (144,387
    (13,000   Zensho Holdings Co. Ltd.     (710,211
    (21,100   ZOZO, Inc.     (228,623
     

 

 

 
    Total Japan       (13,501,738
     

 

 

 
          Netherlands — (0.4)%      
    (348   Adyen NV *     (666,935
    (159   ASM International NV     (86,535
    (8,289   BE Semiconductor Industries NV     (1,001,685
    (23,220   CVC Capital Partners PLC     (432,091
    (497   Heineken Holding NV     (38,738
    (31,933   InPost SA *     (524,841
    (47,949   Universal Music Group NV     (1,534,246
     

 

 

 
    Total Netherlands     (4,285,071
     

 

 

 
          Norway — (0.1)%      
    (8,326   Kongsberg Gruppen ASA *     (1,466,376
     

 

 

 
          Peru — (0.1)%      
    (13,009   Southern Copper Corp.     (1,182,648
     

 

 

 
          Singapore — (0.2)%      
    (8,285   CapitaLand Integrated Commercial Trust – (REIT)     (13,420
    (266,600   CapitaLand Investment Ltd.     (519,875
    (283,530   Grab Holdings Ltd. – Class A *     (1,380,791
    (62,700   Keppel Ltd.     (329,234
     

 

 

 
    Total Singapore     (2,243,320
     

 

 

 
          Spain — (0.2)%      
    (36,934   Cellnex Telecom SA *     (1,416,060
    (29,306   Ferrovial SE     (1,492,987
     

 

 

 
    Total Spain     (2,909,047
     

 

 

 
          Sweden — (0.3)%      
    (2,062   AddTech AB – B Shares     (70,864
    (32,889   Beijer Ref AB     (485,000
    (40,486   EQT AB     (1,186,302
    (2,395   Spotify Technology SA *     (1,593,010
     

 

 

 
    Total Sweden     (3,335,176
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          Switzerland — (0.2)%      

  

         (17,063   Avolta AG     (915,102
    (1,757   Bachem Holding AG     (110,647
    (777   Partners Group Holding AG     (1,043,021
    (22,805   SIG Group AG     (466,297
    (205   VAT Group AG     (78,210
     

 

 

 
    Total Switzerland     (2,613,277
     

 

 

 
          United Kingdom — (0.9)%      
    (10,402   Antofagasta PLC     (248,327
    (7,072   Auto Trader Group PLC     (75,738
    (12,362   Entain PLC     (125,340
    (125,138   Informa PLC     (1,326,850
    (12,014   InterContinental Hotels Group PLC     (1,376,661
    (9,699   London Stock Exchange Group PLC     (1,475,768
    (61,348   M&G PLC     (195,998
    (128,643   Melrose Industries PLC     (815,060
    (100,110   Phoenix Group Holdings PLC     (856,639
    (148,154   Rolls-Royce Holdings PLC     (1,724,064
    (30,642   Severn Trent PLC     (1,119,060
    (6,398   United Utilities Group PLC     (101,301
    (90,358   Wise PLC – Class A *     (1,340,596
     

 

 

 
    Total United Kingdom       (10,781,402
     

 

 

 
          United States — (6.8)%      
    (6,974   AbbVie, Inc.     (1,297,931
    (1,105   AECOM     (121,384
    (5,089   Alnylam Pharmaceuticals, Inc. *     (1,549,906
    (163   Amgen, Inc.     (46,973
    (446   Analog Devices, Inc.     (95,435
    (4,512   Arthur J Gallagher & Co.     (1,567,649
    (1,926   Axon Enterprise, Inc. *     (1,445,193
    (2,039   Bentley Systems, Inc. – Class B     (97,322
    (7,685   Boeing Co. *     (1,593,254
    (4,809   Burlington Stores, Inc. *     (1,097,750
    (4,487   Carvana Co. *     (1,467,967
    (266   Cheniere Energy, Inc.     (63,039
    (13,176   Chipotle Mexican Grill, Inc. *     (659,854
    (6,891   Cintas Corp.     (1,560,812
    (9,097   Cloudflare, Inc. – Class A *     (1,509,101
    (1,291   CoStar Group, Inc. *     (94,966
    (84   Costco Wholesale Corp.     (87,375
    (21,036   Dayforce, Inc. *     (1,242,807
    (9,019   Dexcom, Inc. *     (773,830
    (36,959   DraftKings, Inc. – Class A *     (1,326,089
    (531   Ecolab, Inc.     (141,044
    (2,506   Entegris, Inc.     (172,262
    (26,321   EQT Corp.     (1,451,077
    (18,550   Equitable Holdings, Inc.     (980,739
    (3,058   Erie Indemnity Co. – Class A     (1,096,324
    (26,467   Exact Sciences Corp. *     (1,489,563
    (756   Fair Isaac Corp. *     (1,305,068
    (32,360   Fastenal Co.     (1,337,762
Shares     Description  

Value ($)

 
          United States — continued      

  

         (18,017   Fidelity National Information Services, Inc.     (1,434,333
    (3,837   Fiserv, Inc. *     (624,625
    (5,106   Flutter Entertainment PLC * (c)     (1,292,648
    (1,153   Flutter Entertainment PLC * (c)     (291,363
    (477   HEICO Corp.     (142,928
    (2,321   HubSpot, Inc. *     (1,369,158
    (9,946   Hyatt Hotels Corp. – Class A     (1,313,170
    (4,682   Insulet Corp. *     (1,521,790
    (1,568   International Flavors & Fragrances, Inc.     (120,046
    (3,515   Keurig Dr. Pepper, Inc.     (118,350
    (14,779   Liberty Media Corp.-Liberty Formula One – Class C *     (1,426,617
    (3,133   Linde PLC     (1,464,928
    (9,960   Live Nation Entertainment, Inc. *     (1,366,412
    (5,179   Manhattan Associates, Inc. *     (977,692
    (3,332   Marvell Technology, Inc.     (200,553
    (796   Mastercard, Inc. – Class A     (466,138
    (1,582   McKesson Corp.     (1,138,265
    (7,472   MongoDB, Inc. *     (1,410,938
    (1,943   Moody’s Corp.     (931,319
    (757   Motorola Solutions, Inc.     (314,443
    (2,491   MSCI, Inc.     (1,404,974
    (8,869   Natera, Inc. *     (1,398,907
    (12,643   Okta, Inc. *     (1,304,378
    (15,887   ONEOK, Inc.     (1,284,305
    (12,091   Palantir Technologies, Inc. – Class A *     (1,593,352
    (9,449   Paychex, Inc.     (1,492,092
    (99,850   Rivian Automotive, Inc. – Class A *     (1,450,821
    (20,364   ROBLOX Corp. – Class A *     (1,771,261
    (6,901   Roku, Inc. *     (500,046
    (25,492   Rollins, Inc.     (1,459,417
    (81   S&P Global, Inc.     (41,542
    (33,910   Samsara, Inc. – Class A *     (1,578,171
    (1,467   ServiceNow, Inc. *     (1,483,269
    (18,181   Snap, Inc. – Class A *     (149,993
    (7,186   Snowflake, Inc. – Class A *     (1,477,945
    (545   Starbucks Corp.     (45,753
    (638   STERIS PLC     (156,444
    (6,791   Take-Two Interactive Software, Inc. *     (1,536,668
    (4,235   Tesla, Inc. *     (1,467,258
    (984   Texas Pacific Land Corp.     (1,096,206
    (37,934   Toast, Inc. – Class A *     (1,600,056
    (502   Trade Desk, Inc. – Class A *     (37,760
    (1,053   TransDigm Group, Inc.        (1,546,257
    (454   Twilio, Inc. – Class A *     (53,436
    (1,269   Tyler Technologies, Inc. *     (732,200
    (801   U-Haul Holding Co. NVDR     (45,689
    (227   Verisk Analytics, Inc.     (71,310
    (8,769   Vistra Corp.     (1,408,038
    (234   Waste Connections, Inc.     (46,119
    (2,482   Watsco, Inc.     (1,100,941
    (811   West Pharmaceutical Services, Inc.     (170,999
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares     Description  

Value ($)

 
          United States — continued      

  

         (24,554   Williams Cos., Inc.     (1,485,763
    (257   Willis Towers Watson PLC     (81,353
    (17,238   Zillow Group, Inc. – Class C *     (1,156,842
    (6,288   Zscaler, Inc. *     (1,733,602
     

 

 

 
    Total United States       (77,561,359
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $112,230,508)
    (160,747,798
     

 

 

 
Shares     Description  

Value ($)

 
          PREFERRED STOCKS (f) — (0.1)%  
          Germany — (0.1)%      

  

          (3,825   Sartorius AG     (917,531
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $1,225,590)
    (917,531
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $113,456,098)
    (161,665,329
    Other Assets and Liabilities (net) — 0.3%     3,553,004  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,146,093,553  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
Alrosa PJSC    12/06/17    $ 4,239,436      0.0%   $  
Bashneft PJSC    06/11/20      245,233      0.0%      
Federal Grid Co-Rosseti PJSC    08/12/19      462,175      0.0%      
Gazprom Neft PJSC    08/12/19      1,228,645      0.0%      
Gazprom PJSC    08/10/20      7,398,324      0.0%      
GMK Norilskiy Nickel PAO    06/11/20      1,319,027      0.0%      
Inter RAO UES PJSC    06/05/20      453,917      0.0%      
LSR Group PJSC    08/12/19      175,128      0.0%      
LSR Group PJSC GDR    05/06/21      2      0.0%      
LUKOIL PJSC    07/13/20      6,946,911      0.0%      
Magnitogorsk Iron & Steel Works PJSC    09/08/17      1,550,653      0.0%      
Mechel PJSC    11/12/21      47,412      0.0%      
Moscow Exchange MICEX-RTS PJSC    07/22/20      707,707      0.0%      
Mosenergo PJSC    11/22/21      96,796      0.0%      
Nizhnekamskneftekhim PJSC    03/24/20      55,853      0.0%      
Novatek PJSC    10/21/21      777,645      0.0%      
Novolipetsk Steel PJSC    11/07/19      3,077,372      0.0%      
PhosAgro PJSC    12/03/20      212,444      0.0%      
PhosAgro PJSC GDR    12/03/20      1,365      0.0%      
Polyus PJSC    07/22/20      2,148,976      0.0%      
Polyus PJSC GDR    02/24/23      0      0.0%      
RusHydro PJSC    01/13/21      263,311      0.0%      
Sberbank of Russia PJSC    09/09/20      12,774,954      0.0%      
Sberbank of Russia PJSC    01/10/22      77,024      0.0%      
Severstal PAO    02/02/21      7,249      0.0%      
Severstal PAO GDR (Registered)    03/16/20      1,679,360      0.0%      
SFI PJSC    03/16/20      68,731      0.0%      
Surgutneftegas PAO    12/18/19      3,244,318      0.0%      
Surgutneftegas PAO    03/16/20      4,726,538      0.0%      
Tatneft PJSC    03/16/20      2,263,701      0.0%      
Transneft PJSC    05/29/20      320,452      0.0%      
Unipro PJSC    01/13/21      50,836      0.0%      
United Co. RUSAL International PJSC    11/12/21      51,607      0.0%      
          

 

 

 
           $  
          

 

 

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
426   U.S. Treasury Note 10 Yr. (CBT)   September 2025     47,179,500       259,374  
426   U.S. Treasury Note 2 Yr. (CBT)   September 2025     88,368,375       112,423  
1,071   U.S. Treasury Note 5 Yr. (CBT)   September 2025     115,868,812       246,186  
215   U.S. Treasury Ultra 10 Yr. (CBT)   September 2025     24,197,578       46,059  
57   U.S. Ultra Bond (CBT)   September 2025     6,615,563       46,692  
     

 

 

   

 

 

 
      $ 282,229,828     $ 710,734  
     

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
22   MSCI EAFE Index     June 2025       2,864,950       (12,385
15   TOPIX Index   June 2025     2,896,656       31,693  
     

 

 

   

 

 

 
      $ 5,761,606     $ 19,308  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  

Notional

Amount

  Annual
Premium
     Implied
Credit
Spread (1)
     Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                       

CDX.EM.S43

   USD 22,800,000     1.00%        1.72%        N/A        06/20/2030        Quarterly        807,120       728,848       (78,272

CDX.NA.HY.S44

   USD 11,448,000     5.00%        3.51%        N/A        06/20/2030        Quarterly        (678,981     (705,643     (26,662
                   

 

 

   

 

 

   

 

 

 
                    $ 128,139     $ 23,205     $ (104,934
                   

 

 

   

 

 

   

 

 

 

 

^

Buy Protection—Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection—Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1)

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

OTC Total Return Swaps

 

Fund Pays

   Fund Receives     

Counterparty

   Notional
Amount
    

Expiration

Date

   Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
     Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Total Return on Equity Basket (k)

    
1 Month Federal Funds
Rate minus 0.40%
 
 
   GS      USD        5,868,514      06/24/2026      Monthly               47,015       47,015  

Total Return on Equity Basket (k)

    
1 Month Federal Funds
Rate minus 0.40%
 
 
   MORD      USD        7,362,975      06/18/2027      Monthly               (391,577     (391,577
                    

 

 

    

 

 

   

 

 

 
                     $      $ (344,562   $ (344,562
                    

 

 

    

 

 

   

 

 

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any. (b) All or a portion of this security is out on loan.

 

(c)

Securities are traded on separate exchanges for the same entity.

 

(d)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(e)

The security is restricted as to resale.

 

(f)

Preferred dividend rates are disclosed to the extent that a stated rate exists. (g) Investment valued using significant unobservable inputs.

 

(h)

Affiliated company.

 

(i)

All or a portion of this security is purchased with collateral from securities loaned.

 

(j)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 

(k)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

 

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

REIT - Real Estate Investment Trust

SOFOM - Sociedades Financieras de Objeto Multi (Multi-purpose Financial Company)

 

 

Counterparty Abbreviations:

 

GS - Goldman Sachs International

MORD - Morgan Stanley Capital Services LLC

 

 

Currency Abbreviations:

USD - United States Dollar

 


GMO Global Asset Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
    INVESTMENT FUNDS — 99.9%

 

          United States — 99.9%  
    2,825,417     GMO Alternative Allocation Fund, Class VI (a)     50,038,131  
    1,174,237     GMO Asset Allocation Bond Fund, Class VI (a)     21,300,652  
    167,262     GMO Climate Change Fund, Class III (a)     2,958,870  
    615,203     GMO Emerging Country Debt Fund, Class VI (a)     12,587,052  
    1,006,705     GMO Emerging Markets ex-China Fund, Class VI (a)     12,563,673  
    989,552     GMO Emerging Markets Fund, Class VI (a)     24,788,289  
    2,018,646     GMO International Equity Fund, Class IV (a)     60,034,526  
    1,799,735     GMO International Opportunistic Value Fund, Class IV (a)     29,857,612  
    1,107,186     GMO-Usonian Japan Value Creation Fund, Class VI (a)     25,465,289  
    2,614,530     GMO Multi-Sector Fixed Income Fund, Class IV (a)     45,466,680  
    156,196     GMO Opportunistic Income Fund, Class VI (a)     3,800,257  
    364,549     GMO Quality Fund, Class VI (a)     12,197,806  
    412,232     GMO Resources Fund, Class VI (a)     6,925,490  
    510,027     GMO Small Cap Quality Fund, Class VI (a)     11,342,997  
    2,588,821     GMO U.S. Equity Fund, Class VI (a)     33,577,015  
    1,291,989     GMO U.S. Opportunistic Value Fund, Class VI (a)     27,428,919  
    374,804     GMO U.S. Small Cap Value Fund, Class VI (a)     7,413,628  
    1,691,879     GMO U.S. Treasury Fund, Class VI (a)     8,476,312  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $396,055,712)
    396,223,198  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    44,492     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     44,492  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $44,492)
    44,492  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $396,100,204)
    396,267,690  
  Other Assets and Liabilities (net) — 0.1%     261,498  
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $396,529,188  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO Global Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
    INVESTMENT FUNDS — 100.0%  
            United States — 100.0%      
    33,498     GMO Climate Change Fund, Class III (a)     592,580  
    137,655     GMO Emerging Markets ex-China Fund, Class VI (a)     1,717,934  
    756,796     GMO International Equity Fund, Class IV (a)     22,507,111  
    564,075     GMO International Opportunistic Value Fund, Class IV (a)     9,358,004  
    225,789     GMO-Usonian Japan Value Creation Fund, Class VI (a)     5,193,148  
    363,381     GMO Quality Fund, Class VI (a)     12,158,729  
    117,867     GMO Resources Fund, Class VI (a)     1,980,171  
    182,869     GMO Small Cap Quality Fund, Class VI (a)     4,067,015  
    755,762     GMO U.S. Equity Fund, Class VI (a)     9,802,233  
    571,026     GMO U.S. Opportunistic Value Fund, Class VI (a)     12,122,875  
    124,987     GMO U.S. Small Cap Value Fund, Class VI (a)     2,472,235  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $71,579,201)
    81,972,035  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    79,765     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     79,765  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $79,765)
    79,765  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $71,658,966)
    82,051,800  
    Other Assets and Liabilities (net) — (0.1%)     (42,263
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $82,009,537  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO Global Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
    INVESTMENT FUNDS — 99.9%

 

          United States — 99.9%  

   

    276,898     GMO Climate Change Fund, Class III (a)     4,898,324  
    865,594     GMO Emerging Markets ex-China Fund,
Class VI (a)
    10,802,620  
    2,159,351     GMO Emerging Markets Fund, Class VI (a)     54,091,748  
    4,409,943     GMO International Equity Fund, Class IV (a)     131,151,699  
    3,640,079     GMO International Opportunistic Value Fund, Class IV (a)     60,388,907  
    1,440,488     GMO-Usonian Japan Value Creation Fund, Class VI (a)     33,131,226  
    1,953,046     GMO Quality Fund, Class VI (a)     65,348,913  
    890,395     GMO Resources Fund, Class VI (a)     14,958,631  
    1,221,661     GMO Small Cap Quality Fund, Class VI (a)     27,169,740  
    4,199,960     GMO U.S. Equity Fund, Class VI (a)     54,473,485  
    3,321,866     GMO U.S. Opportunistic Value Fund,
Class VI (a)
    70,523,219  
    800,116     GMO U.S. Small Cap Value Fund, Class VI (a)     15,826,294  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $503,599,152)
    542,764,806  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    345,536     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     345,536  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $345,536)
    345,536  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $503,944,688)
    543,110,342  
    Other Assets and Liabilities (net) — (0.0%)     (120,495
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $542,989,847  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
    COMMON STOCKS — 76.2%  
          Argentina — 0.2%      
    9,185     Adecoagro SA     84,594  
         44,900     Vista Energy SAB de CV ADR*     2,223,897  
    62,466     YPF SA Sponsored ADR* (a)       2,210,047  
     

 

 

 
    Total Argentina     4,518,538  
     

 

 

 
          Australia — 1.4%      
    141,472     Accent Group Ltd.     173,218  
    214,007     AMP Ltd.     172,363  
    18,358     Ansell Ltd.     373,331  
    13,924     Aristocrat Leisure Ltd. (b)     559,501  
    113,075     Aurizon Holdings Ltd.     215,031  
    396,356     BHP Group Ltd. (b)     9,736,481  
    284,993     BlueScope Steel Ltd.     4,183,388  
    189,200     Brambles Ltd. (b)     2,830,102  
    332,910     Fortescue Ltd.     3,312,053  
    391,714     Grange Resources Ltd.     48,014  
    125,873     Harvey Norman Holdings Ltd.     425,058  
    157,176     Helia Group Ltd.     527,002  
    49,194     HomeCo Daily Needs – (REIT)     40,438  
    33,018     JB Hi-Fi Ltd.     2,293,813  
    12,515     Mineral Resources Ltd. * (a)     178,925  
    99,815     Ramelius Resources Ltd.     186,577  
    7,816     Rio Tinto Ltd. (b)     568,387  
    88,154     Santos Ltd.     374,424  
    79,010     Southern Cross Media Group Ltd. *     34,327  
    154,510     Sunrise Energy Metals Ltd. * (a)     44,246  
    54,798     Super Retail Group Ltd.     505,675  
     

 

 

 
    Total Australia     26,782,354  
     

 

 

 
          Austria — 0.5%      
    57,965     Erste Group Bank AG     4,667,892  
    38,684     OMV AG (a)     2,069,152  
    53,952     Raiffeisen Bank International AG     1,649,581  
    1,869     Strabag SE     164,583  
    6,888     UNIQA Insurance Group AG     95,565  
    1,807     Vienna Insurance Group AG Wiener Versicherung Gruppe     88,627  
     

 

 

 
    Total Austria     8,735,400  
     

 

 

 
          Belgium — 0.6%      
    117,843     Ageas SA     7,694,998  
    5,795     Bekaert SA     235,415  
    9,542     Econocom Group SA NV     21,524  
    16,921     KBC Group NV     1,672,863  
    1,487     Melexis NV (a)     99,968  
    152,692     Proximus SADP     1,332,125  
    13,965     Syensqo SA (a)     1,071,823  
     

 

 

 
    Total Belgium     12,128,716  
     

 

 

 

Shares
    Description   Value ($)  
          Brazil — 0.7%      
    500,000     Ambev SA ADR     1,220,000  
    4,300     Cia de Saneamento Basico do Estado de Sao Paulo SABESP ADR (b)     88,322  
    315,800     Cia de Saneamento de Minas Gerais Copasa MG     1,318,525  
    86,500     Cia De Sanena Do Parana     495,604  
        206,000     Cyrela Brazil Realty SA Empreendimentos e Participacoes         899,348  
    7,700     Embraer SA     88,167  
    400     Embraer SA Sponsored ADR     18,396  
    593,400     JBS SA     4,162,463  
    62     Petroleo Brasileiro SA – Petrobras Sponsored ADR (b)     715  
    45,100     Petroreconcavo SA     114,100  
    16,300     PRIO SA *     111,004  
    82,326     Sao Martinho SA     304,575  
    89,200     Suzano SA     774,330  
    154,200     Vale SA     1,404,637  
    632,700     Vibra Energia SA     2,232,343  
     

 

 

 
    Total Brazil     13,232,529  
     

 

 

 
          Canada — 4.0%      
    58,000     Anaergia, Inc. * (a)     55,365  
    19,900     ARC Resources Ltd.     415,879  
    12,800     Bank of Montreal (b)     1,374,530  
    87,000     Bank of Nova Scotia (c)     4,655,088  
    30,861     Bank of Nova Scotia (c)     1,651,681  
    7,700     Canadian Imperial Bank of Commerce     524,218  
    48,000     Canadian Tire Corp. Ltd. – Class A     6,099,552  
    13,478     Canfor Corp. *     127,674  
    21,942     Centerra Gold, Inc.     156,446  
    2,300     CGI, Inc. (b) (c)     247,254  
    750     CGI, Inc. (b) (c)     80,670  
    3,400     Cogeco Communications, Inc.     171,195  
    6,787     Cogeco, Inc.     324,377  
    69,680     Dundee Precious Metals, Inc.     1,073,875  
    25,900     Empire Co. Ltd. – Class A     999,689  
    17,400     Enerflex Ltd.     122,606  
    77     Fairfax Financial Holdings Ltd. (b)     131,017  
    35,100     First Quantum Minerals Ltd. *     519,972  
    1,100     George Weston Ltd. (b)     221,467  
    7,618     Gildan Activewear, Inc.     354,999  
    33,300     iA Financial Corp., Inc.     3,390,298  
    49,100     IGM Financial, Inc.     1,567,436  
    4,400     Imperial Oil Ltd. (b)     314,141  
    10,963     Interfor Corp. *     100,176  
    12,665     International Petroleum Corp. * (a)     178,211  
    183,700     Ivanhoe Mines Ltd. – Class A * (a)     1,422,910  
    6,018     Kinross Gold Corp.     88,766  
    110,972     Largo, Inc. * (a)     143,936  
    86,538     Magna International, Inc. (a) (c)     3,139,599  
    31,000     Magna International, Inc. (c)     1,125,383  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Canada — continued      
    199,939     Manulife Financial Corp. (b) (c)     6,366,695  
        107,536     Manulife Financial Corp. (b) (c)       3,423,946  
    2,400     Metro, Inc.     187,194  
    3,100     National Bank of Canada     305,109  
    192,000     NexGen Energy Ltd. * (a)     1,183,605  
    47,905     Nutrien Ltd. (c)     2,827,832  
    1,800     Nutrien Ltd. (c)     106,346  
    13,400     Onex Corp.     994,686  
    150,991     Open Text Corp. (b) (c)     4,274,555  
    27,600     Open Text Corp. (b) (c)     781,532  
    46,500     Parex Resources, Inc.     459,799  
    201,856     Power Corp. of Canada     7,811,835  
    2,800     Precision Drilling Corp. * (a)     121,010  
    72,700     Quebecor, Inc. – Class B     2,045,358  
    18,400     Russel Metals, Inc.     550,653  
    6,000     Spin Master Corp.     104,930  
    56,700     Sun Life Financial, Inc. (b) (c)     3,652,334  
    9,308     Sun Life Financial, Inc. (b) (c)     601,762  
    104,400     Tamarack Valley Energy Ltd. (a)     332,443  
    92,100     Toronto-Dominion Bank (c)     6,360,125  
    12,431     Toronto-Dominion Bank (a) (b) (c)     858,361  
    18,000     Transcontinental, Inc. – Class A     280,424  
    33,000     Vermilion Energy, Inc.     214,830  
    2,943     Wajax Corp.     48,230  
    19,000     West Fraser Timber Co. Ltd. (c)     1,399,716  
    11,995     West Fraser Timber Co. Ltd. (c)     882,592  
    53,000     Whitecap Resources, Inc. (a)     330,586  
     

 

 

 
    Total Canada     77,284,898  
     

 

 

 
          China — 2.3%      
    31,000     361 Degrees International Ltd.     16,986  
    131,500     3SBio, Inc.     316,022  
    90,800     Alibaba Group Holding Ltd.     1,292,793  
    47,328     Alibaba Group Holding Ltd. Sponsored ADR (b)     5,387,820  
    200     Autohome, Inc. ADR (b)     4,904  
    810,000     AviChina Industry & Technology Co. Ltd. – Class H     407,478  
    1,453,500     BAIC Motor Corp. Ltd. – Class H     366,179  
    578,871     Bank of Communications Co. Ltd. – Class H     505,292  
    179,000     Beijing Enterprises Holdings Ltd.     750,004  
    2,606,000     China Communications Services Corp. Ltd.
– Class H
    1,496,913  
    3,913,000     China Construction Bank Corp. – Class H     3,498,522  
    1,761,000     China Feihe Ltd.     1,360,974  
    3,659,000     China Greenfresh Group Co. Ltd. * (d)      
    975,500     China Hongqiao Group Ltd. (a)     1,733,431  
    89,000     China Lesso Group Holdings Ltd.     44,414  
    348,000     China National Building Material Co. Ltd. – Class H     154,814  
    1,658,000     China Railway Group Ltd. – Class H     745,648  
    4,932,000     China Reinsurance Group Corp. – Class H     632,557  

Shares
    Description   Value ($)  
          China — continued      
    166,000     China Resources Pharmaceutical Group Ltd.     108,867  
    300,000     China State Construction International Holdings Ltd.     421,988  
      4,237,600     China Zhongwang Holdings Ltd. * (a) (d)     1  
    1,156,158     CITIC Ltd.     1,454,063  
    760,000     Consun Pharmaceutical Group Ltd.       1,026,460  
    1,616,000     CSPC Pharmaceutical Group Ltd.     1,663,852  
    27,200     ENN Energy Holdings Ltd.     215,668  
    251,000     Fufeng Group Ltd.     218,145  
    736,000     Geely Automobile Holdings Ltd.     1,640,410  
    117,100     Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. – Class A     267,543  
    125,000     Inkeverse Group Ltd.     21,255  
    61,772     JD.com, Inc. ADR (b)     2,002,031  
    56,000     Kunlun Energy Co. Ltd.     55,942  
    151,300     Legend Holdings Corp. – Class H *     151,554  
    221,000     Lonking Holdings Ltd.     52,836  
    90,000     Midea Real Estate Holding Ltd. * (a)     43,457  
    6,800     NetEase, Inc.     164,412  
    78,000     Orient Overseas International Ltd.     1,340,857  
    476,000     PICC Property & Casualty Co. Ltd. – Class H     904,454  
    194,000     Sino Biopharmaceutical Ltd.     109,428  
    851,000     Sinopec Engineering Group Co. Ltd. – Class H     603,055  
    218,000     Sinopharm Group Co. Ltd. – Class H     525,528  
    611,000     TCL Electronics Holdings Ltd.     791,826  
    166,000     Tencent Holdings Ltd.     10,465,075  
    440,000     Tianneng Power International Ltd. (a)     342,575  
    7,200     Vipshop Holdings Ltd. ADR     99,288  
    23,800     Weibo Corp. Sponsored ADR (b)     215,390  
    96,900     Western Mining Co. Ltd. – Class A     211,656  
    35,000     Xiaomi Corp. – Class B *     225,295  
    121,000     Zhongsheng Group Holdings Ltd.     181,541  
     

 

 

 
    Total China     44,239,203  
     

 

 

 
          Colombia — 0.0%      
    6,818     Corp. Financiera Colombiana SA *     30,357  
     

 

 

 
          Czech Republic — 0.0%      
    711     Moneta Money Bank AS     4,655  
    283     Philip Morris CR AS *     238,260  
     

 

 

 
    Total Czech Republic     242,915  
     

 

 

 
          Denmark — 0.7%      
    862     AP Moller - Maersk AS – Class A (b)     1,539,611  
    1,931     AP Moller - Maersk AS – Class B (b)     3,498,286  
    56,080     Danske Bank AS     2,148,968  
    12,944     Genmab AS *     2,730,661  
    35,952     H Lundbeck AS     199,525  
    3,998     Matas AS     82,343  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Denmark — continued      
    47,200     Rockwool AS – B Shares     2,239,746  
    5,913     Scandinavian Tobacco Group AS     76,601  
    67,599     Vestas Wind Systems AS     1,069,095  
     

 

 

 
    Total Denmark     13,584,836  
     

 

 

 
          Egypt — 0.0%      
        237,364     Eastern Co. SAE         159,085  
    421     ElSewedy Electric Co.     692  
     

 

 

 
    Total Egypt     159,777  
     

 

 

 
          Finland — 0.4%      
    120,614     Neste OYJ     1,293,873  
    831,102     Nokia OYJ     4,325,304  
    49,175     Outokumpu OYJ     190,464  
    2,141     Sanoma OYJ (b)     23,197  
    32,158     TietoEVRY OYJ (b)     586,737  
    39,584     Valmet OYJ     1,293,386  
     

 

 

 
    Total Finland     7,712,961  
     

 

 

 
          France — 2.8%      
    3,261     Amundi SA     266,238  
    27,742     Aperam SA     843,121  
    95,473     ArcelorMittal SA     2,894,529  
    868     Arkema SA     62,023  
    13,350     AXA SA (b)     629,260  
    58,301     BNP Paribas SA     5,105,677  
    48,812     Carrefour SA     729,952  
    40,897     Cie de Saint-Gobain SA (b)     4,604,343  
    2,894     Cie Generale des Etablissements Michelin SCA (b)     110,722  
    55,647     Coface SA     1,040,946  
    36,324     Credit Agricole SA     665,062  
    15,907     Derichebourg SA     108,832  
    699     Eiffage SA     96,144  
    1,289     Eramet SA (a)     75,894  
    307     Fnac Darty SA     10,593  
    10,711     Ipsen SA *     1,261,112  
    4,797     IPSOS SA (b)     244,727  
    1,650     Mersen SA     38,325  
    14,110     Metropole Television SA (b)     198,742  
    216,232     Orange SA (b)     3,227,352  
    14,281     Quadient SA     266,924  
    50,643     Renault SA     2,603,790  
    44,285     Rexel SA     1,243,904  
    23,291     Rubis SCA (b)     758,321  
    64,478     Sanofi SA (b)     6,385,959  
    464     Schneider Electric SE (b)     117,073  
    5,321     Societe BIC SA     328,690  
    82,931     Societe Generale SA     4,502,959  
    5,883     STMicroelectronics NV (a)     147,899  
    146,335     STMicroelectronics NV - NY Shares (a)     3,659,838  
    13,125     Teleperformance SE (b)     1,326,571  

Shares
    Description   Value ($)  
          France — continued      
    52,409     Television Francaise 1 SA (b)     506,792  
    135,110     TotalEnergies SE (b) (c)     7,953,678  
    1,951     TotalEnergies SE (c)     114,396  
    63,581     Valeo SE     669,643  
    31,270     Veolia Environnement SA (b)     1,076,207  
    124,805     Vivendi SE * (b)     421,161  
     

 

 

 
    Total France     54,297,399  
     

 

 

 
          Germany — 2.1%      
    19,265     1&1 AG     399,319  
    1,594     Allianz SE (Registered) (b)     632,202  
    272     Amadeus Fire AG     23,076  
    70,393     Bayer AG (Registered)     1,981,811  
    28,391     Bayerische Motoren Werke AG     2,518,879  
    37,629     Continental AG     3,300,116  
    63,484     Daimler Truck Holding AG (b)     2,757,326  
    221,665     Deutsche Bank AG (Registered) (b)     6,139,036  
    49,582     Deutsche Post AG (b)     2,224,886  
    354     Draegerwerk AG & Co. KGaA     22,195  
        178,213     E.ON SE (b)       3,123,377  
    12,589     Freenet AG     415,830  
    23,781     Fresenius Medical Care AG     1,350,870  
    14,224     Fresenius SE & Co. KGaA (b)     697,104  
    16,106     Heidelberg Materials AG     3,156,957  
    5,589     Henkel AG & Co. KGaA     410,373  
    502     Hornbach Holding AG & Co. KGaA     50,672  
    25,590     Kloeckner & Co. SE     182,650  
    82,415     Mercedes-Benz Group AG (b)     4,928,227  
    45,076     ProSiebenSat.1 Media SE (b)     362,293  
    2,366     RTL Group SA     90,725  
    6,338     Salzgitter AG     151,234  
    5,741     SAP SE (b)     1,736,767  
    14,194     Siemens AG (Registered) (b)     3,413,986  
    4,154     Wacker Neuson SE     105,436  
    792     Wuestenrot & Wuerttembergische AG     12,464  
     

 

 

 
    Total Germany     40,187,811  
     

 

 

 
          Greece — 0.0%      
    31,565     Eurobank Ergasias Services & Holdings SA     97,222  
    40,858     National Bank of Greece SA     486,520  
    28,150     Piraeus Financial Holdings SA     187,531  
    1,779     Sarantis SA     27,089  
     

 

 

 
    Total Greece     798,362  
     

 

 

 
          Hong Kong — 0.8%      
    2,665     3DG Holdings International Ltd. *     166  
    83,000     Bank of East Asia Ltd.     116,766  
    98,500     BOC Hong Kong Holdings Ltd.     414,243  
    65,000     Chow Sang Sang Holdings International Ltd.     66,167  
    833,000     CITIC Telecom International Holdings Ltd.     240,932  
    462,000     CK Asset Holdings Ltd.     1,908,403  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Hong Kong — continued      
    618,500     CK Hutchison Holdings Ltd.     3,458,475  
    74,000     Dah Sing Banking Group Ltd.     83,796  
    44,800     Dah Sing Financial Holdings Ltd.     167,431  
    500,000     E-Commodities Holdings Ltd.     47,737  
        284,000     First Pacific Co. Ltd.         194,974  
    230,000     Giordano International Ltd.     42,522  
    78,000     Health & Happiness H&H International Holdings Ltd.     128,044  
    362,000     HKT Trust & HKT Ltd. – Class SS     521,384  
    580,000     IGG, Inc.     260,880  
    146,500     Johnson Electric Holdings Ltd.     390,705  
    162,002     K Wah International Holdings Ltd.     37,304  
    24,000     KLN Logistics Group Ltd.     23,990  
    34,000     Luk Fook Holdings International Ltd.     78,585  
    443,000     Pacific Basin Shipping Ltd.     109,189  
    37,000     SITC International Holdings Co. Ltd.     118,067  
    39,500     SmarTone Telecommunications Holdings Ltd.     22,057  
    73,000     Stella International Holdings Ltd.     130,227  
    139,500     Sun Hung Kai Properties Ltd. (b)     1,498,463  
    66,000     Swire Pacific Ltd. – Class A     562,217  
    3,000     Techtronic Industries Co. Ltd.     33,415  
    105,500     Texhong International Group Ltd.     45,718  
    4,316,000     United Energy Group Ltd.     258,222  
    484,000     VSTECS Holdings Ltd. (a)     384,613  
    74,200     VTech Holdings Ltd.     493,150  
    4,675,500     WH Group Ltd.     4,300,325  
    182,000     Yue Yuen Industrial Holdings Ltd.     273,446  
     

 

 

 
    Total Hong Kong     16,411,613  
     

 

 

 
          Hungary — 0.6%      
    173,024     Magyar Telekom Telecommunications PLC     860,031  
    145,172     MOL Hungarian Oil & Gas PLC *     1,255,318  
    97,265     OTP Bank Nyrt     7,378,164  
    45,130     Richter Gedeon Nyrt     1,313,153  
     

 

 

 
    Total Hungary     10,806,666  
     

 

 

 
          India — 1.4%      
    18,905     Ashapura Minechem Ltd. *     93,497  
    108,377     Aurobindo Pharma Ltd. *     1,458,114  
    11,952     Bajaj Finance Ltd.     1,278,703  
    79,020     Bharat Petroleum Corp. Ltd.     293,707  
    102,260     Brightcom Group Ltd. * (e)     12,284  
    32,978     Chambal Fertilisers & Chemicals Ltd.     211,869  
    113,776     Cipla Ltd.     1,949,111  
    13,297     Dhampur Bio Organics Ltd.     11,830  
    3,330     Divi’s Laboratories Ltd.     257,597  
    82,955     Dr. Reddy’s Laboratories Ltd. ADR (a)     1,221,098  
    55,635     Dr. Reddy’s Laboratories Ltd.     814,734  
    105,114     Federal Bank Ltd.     248,741  
    467,390     GAIL India Ltd.     1,038,750  
    23,998     GHCL Ltd.     172,514  

Shares
    Description   Value ($)  
          India — continued      
    58,619     Glenmark Pharmaceuticals Ltd.     1,001,394  
    8,492     Goldiam International Ltd.     37,575  
    84,989     HDFC Bank Ltd. *     1,936,062  
    10,600     HDFC Bank Ltd. ADR (b)     799,134  
    5,233     Hero MotoCorp Ltd.     263,731  
    97,591     Hindalco Industries Ltd.     724,286  
    47,327     ICICI Bank Ltd.     802,904  
    1,186     Indian Oil Corp. Ltd.     1,971  
    9,749     Indraprastha Medical Corp. Ltd.     50,090  
    6,422     Indus Towers Ltd. *     28,716  
    24,844     ITC Ltd.     121,754  
    6,556     LIC Housing Finance Ltd.     45,730  
    33,751     Lupin Ltd.     772,870  
    6,297     Mahindra & Mahindra Ltd.     218,890  
        816,390     Manappuram Finance Ltd.       2,269,436  
    23,494     Muthoot Finance Ltd.     606,439  
    13,453     Natco Pharma Ltd.     138,791  
    182,859     NMDC Ltd.     152,371  
    1,003,581     Oil & Natural Gas Corp. Ltd.     2,809,050  
    8,576     Oil India Ltd.     42,851  
    230,684     Petronet LNG Ltd.     829,871  
    2,443     Pokarna Ltd.     30,596  
    70,055     Power Finance Corp. Ltd.     333,664  
    92,511     Power Grid Corp. of India Ltd.     313,657  
    152,962     Shriram Finance Ltd.     1,144,649  
    43,585     Siyaram Silk Mills Ltd.     367,155  
    37,549     Sun Pharmaceutical Industries Ltd.     735,971  
    2,117     Vadilal Industries Ltd.     132,949  
    162,909     Wipro Ltd.     475,833  
    84,825     Zydus Lifesciences Ltd.     919,840  
     

 

 

 
    Total India     27,170,779  
     

 

 

 
          Indonesia — 0.8%      
    196,400     AKR Corporindo Tbk. PT     15,333  
    10,390,500     Aneka Tambang Tbk. PT *     1,981,713  
    14,241,700     Astra International Tbk. PT     4,234,862  
    811,100     Astra Otoparts Tbk. PT     104,811  
    2,554,100     Bank Negara Indonesia Persero Tbk. PT     704,428  
    370,200     Bank OCBC Nisp Tbk. PT     31,034  
    96,300     Bank Pan Indonesia Tbk. PT *     7,091  
    1,558,900     Bank Pembangunan Daerah Jawa Timur Tbk. PT *     54,060  
    8,132,400     Dharma Satya Nusantara Tbk. PT     392,092  
    6,943,500     Erajaya Swasembada Tbk. PT     236,636  
    50,900     Gudang Garam Tbk. PT *     31,234  
    163,000     Hanjaya Mandala Sampoerna Tbk. PT *     6,550  
    361,700     Indofood CBP Sukses Makmur Tbk. PT     241,708  
    6,204,100     Indofood Sukses Makmur Tbk. PT     2,994,790  
    488,800     Industri Jamu Dan Farmasi Sido Muncul Tbk. PT     15,449  
    5,033,500     Japfa Comfeed Indonesia Tbk. PT     496,018  
    1,618,000     Kalbe Farma Tbk. PT *     150,304  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Indonesia — continued      
    5,243,700     Lippo Karawaci Tbk. PT *     27,985  
    55,900     Pabrik Kertas Tjiwi Kimia Tbk. PT     20,677  
    35,820,400     Panin Financial Tbk. PT *     646,195  
      9,444,700     Perusahaan Gas Negara Tbk. PT       1,052,783  
    6,597,300     Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT     493,267  
    4,431,500     Saratoga Investama Sedaya Tbk. PT *     476,007  
    14,969,700     Surya Citra Media Tbk. PT     148,509  
    6,058,100     Telkom Indonesia Persero Tbk. PT *     1,047,274  
    3,400     Telkom Indonesia Persero Tbk. PT ADR*     58,310  
    1,140,500     Tempo Scan Pacific Tbk. PT     182,012  
    9,213,000     Triputra Agro Persada PT     511,964  
     

 

 

 
    Total Indonesia     16,363,096  
     

 

 

 
          Ireland — 0.0%      
    36,192     AIB Group PLC     285,545  
    33,133     Origin Enterprises PLC     132,820  
    24,839     Permanent TSB Group Holdings PLC *     49,916  
     

 

 

 
    Total Ireland     468,281  
     

 

 

 
          Israel — 0.5%      
    107,566     Bank Hapoalim BM     1,804,567  
    215,818     Bank Leumi Le-Israel BM     3,482,935  
    3,992     Check Point Software Technologies Ltd. *     913,689  
    48,358     ICL Group Ltd.     319,202  
    41,616     Israel Discount Bank Ltd. – Class A     354,418  
    11,802     Nice Ltd. Sponsored ADR* (b)     1,958,306  
    577     Nice Ltd. *     97,725  
    272,772     Oil Refineries Ltd.     70,255  
     

 

 

 
    Total Israel     9,001,097  
     

 

 

 
          Italy — 1.5%      
    117,508     A2A SpA (b)     305,108  
    13,609     Arnoldo Mondadori Editore SpA (b)     33,275  
    32,666     Banca IFIS SpA     859,712  
    33,332     Banco BPM SpA     383,145  
    113,896     BPER Banca SpA     1,011,701  
    45,567     Credito Emiliano SpA     626,195  
    10,553     Esprinet SpA (a)     47,450  
    45,569     Generali (b)     1,658,724  
    41,202     Hera SpA (b)     204,765  
    541,682     Intesa Sanpaolo SpA     3,024,062  
    47,603     Iren SpA (b)     148,218  
    146,156     Italgas SpA (b)     1,202,431  
    13,846     Iveco Group NV     275,714  
    65,454     Leonardo SpA (b)     4,048,967  
    105,201     MFE-MediaForEurope NV – Class A (b)     386,853  
    23,898     MFE-MediaForEurope NV – Class B (a) (b)     115,023  
    24,676     OVS SpA     105,845  
    16,295     Poste Italiane SpA (b)     353,799  
    416,388     Stellantis NV (a) (b)     4,244,438  
    5,166,389     Telecom Italia SpA * (a)     2,210,147  

Shares
    Description   Value ($)  
          Italy — continued      
    30,620     Tenaris SA     512,808  
    22,997     Tenaris SA ADR (a)     769,250  
        349,971     Unipol Assicurazioni SpA       6,849,537  
     

 

 

 
    Total Italy     29,377,167  
     

 

 

 
          Japan — 18.8%      
    12,000     Aichi Corp. (a)     114,407  
    49,400     Air Water, Inc.     689,404  
    76,300     Amano Corp.     2,249,275  
    4,300     AOKI Holdings, Inc.     44,833  
    11,200     Arata Corp.     235,246  
    2,400     Artience Co. Ltd.     49,503  
    72,400     Asahi Group Holdings Ltd.     954,233  
    20,400     Asahi Yukizai Corp.     551,595  
    13,600     Axial Retailing, Inc.     107,752  
    89,600     Bandai Namco Holdings, Inc.     2,846,727  
    8,000     Bando Chemical Industries Ltd.     89,937  
    56,200     Bridgestone Corp. (b)     2,412,950  
    199,700     Brother Industries Ltd.     3,408,131  
    1,600     Buffalo, Inc.     26,731  
    19,900     Bunka Shutter Co. Ltd.     295,560  
    5,600     Canon Electronics, Inc.     106,953  
    45,200     Canon Marketing Japan, Inc.     1,677,218  
    52,600     Canon, Inc.     1,606,877  
    4,100     Central Glass Co. Ltd. (a)     82,669  
    2,900     Chiyoda Integre Co. Ltd.     54,777  
    256,900     Credit Saison Co. Ltd.     6,990,396  
    138,100     Dai Nippon Printing Co. Ltd. (b)     2,036,525  
    12,300     Dai Nippon Toryo Co. Ltd.     100,330  
    191,100     Daicel Corp.     1,629,502  
    8,000     Dai-Dan Co. Ltd.     231,084  
    14,300     Daido Steel Co. Ltd.     96,622  
    5,300     Daiichi Jitsugyo Co. Ltd.     81,815  
    5,800     Daito Trust Construction Co. Ltd.     653,334  
    61,400     Daiwa House Industry Co. Ltd.     2,070,159  
    284,900     Daiwabo Holdings Co. Ltd.     4,799,617  
    197,300     Denka Co. Ltd.     2,808,513  
    4,600     Dowa Holdings Co. Ltd.     145,481  
    48,100     en Japan, Inc.     573,381  
    45,000     ENEOS Holdings, Inc.     213,214  
    156,900     EXEO Group, Inc.     1,999,707  
    6,000     FCC Co. Ltd.     117,112  
    86,400     Ferrotec Holdings Corp. (a)     1,582,127  
    1,100     FJ Next Holdings Co. Ltd.     9,354  
    224,800     Fuji Corp.     3,598,422  
    14,500     Fuji Electric Co. Ltd.     640,492  
    140,000     FUJIFILM Holdings Corp.     3,160,179  
    62,800     Fujitsu Ltd. (b)     1,438,269  
    300     Fukuda Denshi Co. Ltd.     13,724  
    1,900     G-7 Holdings, Inc.     17,646  
    53,000     Glory Ltd.     1,131,782  
    39,500     GS Yuasa Corp.     719,640  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Japan — continued      
    387,600     H.U. Group Holdings, Inc.     8,321,734  
    8,700     Haseko Corp.     126,711  
    38,200     Hitachi Construction Machinery Co. Ltd.     1,160,975  
    64,900     Hitachi Ltd. (b)     1,808,134  
    137,400     Hogy Medical Co. Ltd.     3,657,963  
    389,600     Honda Motor Co. Ltd.     3,957,710  
         94,558     Honda Motor Co. Ltd. Sponsored ADR       2,885,910  
    24,400     Horiba Ltd.     1,736,125  
    1,000     Hosiden Corp.     15,059  
    98,200     Idemitsu Kosan Co. Ltd.     598,141  
    24,000     IDOM, Inc.     170,129  
    82,300     Inabata & Co. Ltd.     1,807,996  
    495,200     Inpex Corp.     6,621,698  
    487,300     Isuzu Motors Ltd.     6,586,762  
    53,800     ITOCHU Corp. (b)     2,855,499  
    21,200     Itochu Enex Co. Ltd.     247,915  
    1,300     Itochu-Shokuhin Co. Ltd.     90,159  
    400     Itoham Yonekyu Holdings, Inc.     13,921  
    16,900     Iwatani Corp.     174,187  
    79,500     Japan Petroleum Exploration Co. Ltd.     550,725  
    81,500     Japan Post Insurance Co. Ltd.     1,792,693  
    50,300     Japan Tobacco, Inc.     1,542,935  
    2,400     Jeol Ltd.     66,695  
    400     Justsystems Corp. (b)     9,537  
    109,600     Kaga Electronics Co. Ltd.     2,018,038  
    7,600     Kamei Corp.     124,085  
    20,400     Kandenko Co. Ltd.     419,938  
    21,200     Kaneka Corp.     575,848  
    387,600     Kanematsu Corp.     7,328,014  
    2,900     Kato Sangyo Co. Ltd.     106,443  
    305,000     Kawasaki Kisen Kaisha Ltd.     4,586,750  
    105,400     KDDI Corp. (b)     1,824,528  
    453,200     Kirin Holdings Co. Ltd.     6,501,729  
    41,700     Kitz Corp.     335,984  
    29,700     Kohnan Shoji Co. Ltd.     765,207  
    78,600     Komatsu Ltd. (b)     2,388,748  
    11,145     Komeri Co. Ltd.     222,642  
    9,400     Konami Group Corp. (b)     1,275,978  
    2,500     Konishi Co. Ltd.     19,169  
    251,500     Kubota Corp.     2,885,154  
    210,600     Kumiai Chemical Industry Co. Ltd.     1,180,662  
    54,100     Kyudenko Corp.     1,987,898  
    165,000     LY Corp. (b)     594,971  
    120,100     Macnica Holdings, Inc.     1,587,513  
    32,000     Marubeni Corp. (b)     648,617  
    66,500     Maruha Nichiro Corp.     1,436,660  
    112,000     Maruichi Steel Tube Ltd.     2,690,510  
    4,900     Maruzen Showa Unyu Co. Ltd.     215,431  
    11,700     Matsuda Sangyo Co. Ltd.     269,063  
    4,300     MatsukiyoCocokara & Co.     86,722  
    406,200     Maxell Ltd.     5,064,768  
    45,200     Mazda Motor Corp.     283,528  

Shares
    Description   Value ($)  
          Japan — continued      
    70,500     MCJ Co. Ltd.     644,398  
    31,300     Mitsubishi Corp. (b)     633,150  
    328,800     Mitsubishi Electric Corp. (b)     6,561,857  
    3,500     Mitsubishi Research Institute, Inc. (b)     112,279  
    4,300     Mitsubishi Shokuhin Co. Ltd.     188,424  
        153,600     Mitsui & Co. Ltd. (b)       3,207,344  
    72,700     Mitsui Mining & Smelting Co. Ltd.     2,479,546  
    222,000     Mitsui OSK Lines Ltd.     7,870,325  
    13,900     MIXI, Inc. (b)     321,480  
    238,000     Mizuno Corp.     4,536,397  
    9,600     Modec, Inc.     335,195  
    145,900     Morinaga & Co. Ltd.     2,415,124  
    5,200     Nagase & Co. Ltd.     98,749  
    232,500     NEC Corp. (b)     6,069,025  
    123,700     NGK Insulators Ltd.     1,538,987  
    137,200     NH Foods Ltd.     4,824,117  
    18,900     Nichias Corp.     652,899  
    6,600     Nichiha Corp.     140,034  
    6,100     Nichireki Group Co. Ltd.     106,269  
    19,100     Nippn Corp.     289,043  
    57,800     Nippon Shinyaku Co. Ltd.     1,426,846  
    3,460,400     Nippon Telegraph & Telephone Corp. (b)     3,852,785  
    46,400     Nippon Television Holdings, Inc. (b)     1,050,046  
    172,100     Nippon Yusen KK     6,275,238  
    940,300     Nissan Motor Co. Ltd. *     2,385,346  
    3,600     Nisshin Oillio Group Ltd.     120,585  
    3,800     Nissin Corp.     213,646  
    19,000     Niterra Co. Ltd.     610,510  
    4,200     Nittetsu Mining Co. Ltd.     203,321  
    41,400     Nitto Denko Corp.     753,077  
    125,400     Nojima Corp.     2,392,366  
    21,200     Nomura Holdings, Inc.     129,550  
    127,300     Nomura Real Estate Holdings, Inc.     745,421  
    6,200     Noritake Co. Ltd.     159,934  
    2,600     NS United Kaiun Kaisha Ltd.     68,744  
    9,900     Oji Holdings Corp.     46,963  
    100,300     Okamura Corp.     1,529,102  
    295,400     Ono Pharmaceutical Co. Ltd.     3,216,396  
    3,900     Open House Group Co. Ltd.     168,509  
    68,700     ORIX Corp.     1,455,880  
    282,500     Pacific Industrial Co. Ltd. (a)     2,564,392  
    500     PALTAC Corp.     14,489  
    687,500     Panasonic Holdings Corp. (b)     7,879,753  
    508,000     Penta-Ocean Construction Co. Ltd.     3,074,490  
    8,500     Pilot Corp. (b)     235,351  
    55,900     Recruit Holdings Co. Ltd. (b)     3,329,414  
    29,300     Renesas Electronics Corp.     355,861  
    43,600     Rengo Co. Ltd.     224,774  
    5,700     Rohto Pharmaceutical Co. Ltd.     80,325  
    10,600     S Foods, Inc.     191,771  
    15,000     Sakai Moving Service Co. Ltd.     261,937  
    52,200     Sakata INX Corp.     694,606  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Japan — continued      
    87,000     San-Ai Obbli Co. Ltd.     1,047,774  
    800     Sankyo Co. Ltd.     13,953  
    101,300     Sankyu, Inc.     4,872,449  
    67,100     Sanwa Holdings Corp.     2,310,069  
    16,800     SCSK Corp. (b)     509,919  
    261,500     Sega Sammy Holdings, Inc.     4,932,372  
    27,900     Seiko Epson Corp.     360,985  
        277,700     Sekisui Chemical Co. Ltd.       4,824,161  
    186,400     Sekisui House Ltd.     4,227,016  
    5,000     Sekisui Jushi Corp.     66,656  
    1,000     Shibuya Corp.     23,000  
    1,700     Shimamura Co. Ltd.     117,806  
    23,700     Shinagawa Refractories Co. Ltd.     276,024  
    6,700     Shin-Etsu Polymer Co. Ltd.     77,988  
    18,700     Shinnihon Corp.     210,479  
    355,600     Shionogi & Co. Ltd.     5,937,640  
    257,900     Ship Healthcare Holdings, Inc.     3,332,002  
    27,800     Shizuoka Gas Co. Ltd.     211,237  
    1,600     Sinanen Holdings Co. Ltd.     70,084  
    2,100     Sinko Industries Ltd.     17,646  
    135,900     Socionext, Inc.     1,994,488  
    37,300     Sohgo Security Services Co. Ltd. (b)     259,605  
    18,500     Sojitz Corp.     456,283  
    73,600     Sony Group Corp. (b)     1,969,972  
    219,900     Stanley Electric Co. Ltd.     4,229,939  
    52,200     Starts Corp., Inc.     1,532,366  
    150,500     Subaru Corp.     2,762,737  
    277,000     SUMCO Corp. (a)     1,872,333  
    90,100     Sumitomo Corp. (b)     2,294,537  
    145,200     Sumitomo Electric Industries Ltd.     3,045,676  
    170,200     Sumitomo Forestry Co. Ltd.     4,940,837  
    26,100     Sumitomo Heavy Industries Ltd.     545,807  
    243,700     Sumitomo Mitsui Financial Group, Inc.     6,260,879  
    186,400     Sumitomo Mitsui Trust Group, Inc.     5,043,926  
    45,300     Suntory Beverage & Food Ltd. (a)     1,470,938  
    10,800     Suzuken Co. Ltd.     397,888  
    176,700     T&D Holdings, Inc.     4,042,475  
    7,200     Tamron Co. Ltd.     172,204  
    123,600     THK Co. Ltd.     3,370,091  
    30,500     TIS, Inc. (b)     1,000,305  
    513,800     Tokai Carbon Co. Ltd.     3,681,042  
    1,000     Token Corp.     92,921  
    45,900     Tokyo Gas Co. Ltd. (b)     1,539,147  
    73,300     Tokyo Steel Manufacturing Co. Ltd.     781,982  
    22,300     Tokyo Tatemono Co. Ltd.     394,971  
    35,800     Toray Industries, Inc.     246,977  
    224,300     Tosei Corp.     3,930,259  
    1,900     Toshiba TEC Corp.     38,885  
    126,300     Tosoh Corp.     1,869,180  
    188,000     TOTO Ltd.     4,808,454  
    230,700     Towa Corp.     2,446,198  
    4,600     Towa Pharmaceutical Co. Ltd.     97,452  

Shares
    Description   Value ($)  
          Japan — continued      
    11,300     Toyo Tire Corp.     234,526  
    44,000     Toyoda Gosei Co. Ltd.     852,187  
    30,800     Toyota Industries Corp. (b)     3,850,818  
        218,500     Toyota Tsusho Corp.       4,617,640  
    8,900     TV Asahi Holdings Corp. (b)     160,867  
    5,500     Unipres Corp.     37,634  
    4,100     Wacoal Holdings Corp.     140,434  
    3,000     Warabeya Nichiyo Holdings Co. Ltd.     47,058  
    55,800     YAMABIKO Corp.     814,831  
    361,300     Yamaha Corp.     2,521,692  
    1,005,000     Yamaha Motor Co. Ltd. (a)     7,711,796  
    23,300     Yamazen Corp.     211,986  
    42,900     Yellow Hat Ltd.     450,754  
    145,500     Yokogawa Bridge Holdings Corp.     2,572,068  
    77,000     Yokohama Rubber Co. Ltd.     1,935,670  
    14,200     Yuasa Trading Co. Ltd.     444,411  
    121,900     Zenkoku Hosho Co. Ltd.     2,699,027  
     

 

 

 
    Total Japan     367,756,599  
     

 

 

 
          Kuwait — 0.0%      
    971     Humansoft Holding Co. KSC     8,222  
    95,125     National Bank of Kuwait SAKP     296,231  
    189,368     Noor Financial Investment Co. KSC     201,544  
     

 

 

 
    Total Kuwait     505,997  
     

 

 

 
          Mexico — 0.6%      
    128,836     Arca Continental SAB de CV     1,418,153  
    31,138     Bolsa Mexicana de Valores SAB de CV     68,084  
    198,844     Cemex SAB de CV Sponsored ADR     1,362,081  
    17,691     Coca-Cola Femsa SAB de CV Sponsored ADR     1,680,645  
    1,136,700     Credito Real SAB de CV SOFOM ER * (d)      
    112,674     El Puerto de Liverpool SAB de CV – Class C1     547,221  
    533,800     Genomma Lab Internacional SAB de CV – Class B     617,024  
    715,687     Gentera SAB de CV     1,404,364  
    200     Grupo Aeroportuario del Centro Norte SAB de CV     2,471  
    358,770     Grupo Financiero Banorte SAB de CV – Class O     3,181,873  
    94,100     Grupo Mexico SAB de CV – Series B     519,986  
    19,685     Unifin Financiera SAB de CV * (d)      
     

 

 

 
    Total Mexico     10,801,902  
     

 

 

 
          Netherlands — 2.0%      
    9,733     Aalberts NV     339,633  
    85,610     ABN AMRO Bank NV     2,212,971  
    3,930     Akzo Nobel NV (a)     268,205  
    9,661     Brunel International NV (a)     99,005  
    60,080     EXOR NV     5,784,416  
    263,997     ING Groep NV     5,607,864  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Netherlands — continued      
    78,916     JDE Peet’s NV     2,171,713  
    151,369     Koninklijke Ahold Delhaize NV (b)     6,388,378  
    46,607     Koninklijke BAM Groep NV     389,690  
    191,812     Koninklijke KPN NV     901,798  
    123,458     NN Group NV     7,768,176  
    79,432     Prosus NV     4,080,277  
    18,077     Randstad NV (b)     757,779  
    11,510     SBM Offshore NV     264,088  
    93,615     Signify NV     2,287,821  
     

 

 

 
    Total Netherlands     39,321,814  
     

 

 

 
          New Zealand — 0.0%      
    106,452     Meridian Energy Ltd. (b)     348,534  
     

 

 

 
          Norway — 0.8%      
    46,469     Aker BP ASA     1,069,270  
    62,660     Aker Solutions ASA     204,545  
    51,758     Austevoll Seafood ASA     469,875  
    37,830     BW LPG Ltd.     387,032  
    22,582     DOF Group ASA     196,920  
    151,723     Elkem ASA     292,456  
    323,279     Equinor ASA (b)     7,568,224  
    58,949     Europris ASA     459,032  
    90,051     Hoegh Autoliners ASA     749,525  
        245,878     Orkla ASA       2,788,008  
    10,505     Stolt-Nielsen Ltd.     263,044  
    76,128     Storebrand ASA     997,371  
    17,149     TGS ASA     141,090  
    68,707     Wallenius Wilhelmsen ASA     536,414  
     

 

 

 
    Total Norway     16,122,806  
     

 

 

 
          Pakistan — 0.0%      
    69,949     Oil & Gas Development Co. Ltd.     52,108  
     

 

 

 
          Peru — 0.0%      
    4,100     Credicorp Ltd.     868,421  
     

 

 

 
          Philippines — 0.0%      
    98,910     China Banking Corp.     134,123  
    1,100     GT Capital Holdings, Inc.     10,733  
    710,700     LT Group, Inc.     156,738  
    15,040     Manila Electric Co.     148,183  
    254,200     Manila Water Co., Inc.     151,790  
    3,935,024     Megaworld Corp.     126,153  
    119,000     Puregold Price Club, Inc.     66,116  
    32,700     Robinsons Retail Holdings, Inc.     22,164  
    375,100     Synergy Grid & Development Phils, Inc. *     76,944  
     

 

 

 
    Total Philippines     892,944  
     

 

 

 
          Poland — 0.2%      
    158,751     ORLEN SA     3,119,396  
    184,913     PGE Polska Grupa Energetyczna SA *     461,499  

Shares
    Description   Value ($)  
          Poland — continued      
    200     Powszechna Kasa Oszczednosci Bank Polski SA     4,024  
    53,256     Powszechny Zaklad Ubezpieczen SA     870,056  
     

 

 

 
    Total Poland     4,454,975  
     

 

 

 
          Portugal — 0.3%      
    1,139,859     Banco Comercial Portugues SA – Class R     889,149  
    172,004     Galp Energia SGPS SA     2,753,662  
    147,446     Navigator Co. SA     577,396  
    32,897     NOS SGPS SA     144,124  
    56,924     REN - Redes Energeticas Nacionais SGPS SA     190,213  
    440,451     Sonae SGPS SA     610,509  
     

 

 

 
    Total Portugal       5,165,053  
     

 

 

 
          Qatar — 0.1%      
    78,112     Ooredoo QPSC     265,396  
    297,309     Qatar National Bank QPSC     1,382,755  
     

 

 

 
    Total Qatar     1,648,151  
     

 

 

 
          Russia — 0.0%      
    10,221,010     Alrosa PJSC (d) (f)      
    376,870,000     Federal Grid Co-Rosseti PJSC * (d) (f)      
    415,363     Gazprom Neft PJSC (d) (f)      
    4,924,596     Gazprom PJSC (d) (f)      
    1,279,700     GMK Norilskiy Nickel PAO * (d) (f)      
    18,204,300     Inter RAO UES PJSC (d) (f)      
    88,304     LSR Group PJSC * (d) (f)      
    4     LSR Group PJSC GDR * (d) (f)      
    192,855     LUKOIL PJSC * (d) (f)      
    5,760,219     Magnitogorsk Iron & Steel Works PJSC (d) (f)      
    71,800     Mechel PJSC * (d) (f)      
    1,472,470     Moscow Exchange MICEX-RTS PJSC (d) (f)      
    7,545,000     Mosenergo PJSC (d) (f)      
    191,960     Novatek PJSC (d) (f)      
    3,493,400     Novolipetsk Steel PJSC * (d) (f)      
    6,115     PhosAgro PJSC (d) (f)      
    118     PhosAgro PJSC GDR * (d) (f)      
    255,520     Polyus PJSC * (d) (f)      
    1     Polyus PJSC GDR * (d) (f)      
    49,974,140     RusHydro PJSC * (d) (f)      
    8,073,970     Sberbank of Russia PJSC (d) (f)      
    7,395     Severstal PAO (d) (f)      
    261,549     Severstal PAO GDR (Registered) * (d) (f)      
    29,090     SFI PJSC (d) (f)      
    27,770,670     Surgutneftegas PAO (d) (f)      
    986,916     Tatneft PJSC (d) (f)      
    725,480     Unipro PJSC * (d) (f)      
    55,470     United Co. RUSAL International PJSC * (d) (f)      
    150,462     VTB Bank PJSC * (d) (f)      
     

 

 

 
    Total Russia      
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Saudi Arabia — 0.3%      
    6,955     Al Rajhi Bank     168,701  
    59,751     Arab National Bank     344,672  
    34,859     Etihad Etisalat Co.     553,651  
    140,261     Riyad Bank     1,085,129  
    74,771     Saudi Awwal Bank     672,348  
    121,507     Saudi National Bank     1,122,868  
    126,809     Saudi Telecom Co.     1,414,970  
     

 

 

 
    Total Saudi Arabia     5,362,339  
     

 

 

 
          Singapore — 0.7%      
    72,800     Asian Pay Television Trust     4,572  
    92,400     Bumitama Agri Ltd.     51,890  
        885,400     ComfortDelGro Corp. Ltd.     974,146  
    36,906     DBS Group Holdings Ltd.       1,273,348  
    122,400     First Real Estate Investment Trust – (REIT)     25,222  
    188,800     First Resources Ltd.     207,238  
    1,207,500     Golden Agri-Resources Ltd.     233,743  
    353,900     Oversea-Chinese Banking Corp. Ltd.     4,445,033  
    55,900     Sheng Siong Group Ltd.     78,459  
    106,800     StarHub Ltd.     94,373  
    81,900     United Overseas Bank Ltd.     2,249,771  
    4,100     Venture Corp. Ltd.     35,144  
    58,100     Wilmar International Ltd.     137,227  
    315,300     Yangzijiang Financial Holding Ltd.     177,159  
    2,379,677     Yangzijiang Shipbuilding Holdings Ltd.     3,898,652  
    142,000     Yanlord Land Group Ltd. *     50,512  
     

 

 

 
    Total Singapore     13,936,489  
     

 

 

 
          South Africa — 0.3%      
    52,357     Absa Group Ltd.     504,957  
    18,239     African Rainbow Minerals Ltd.     161,424  
    12,895     JSE Ltd.     95,003  
    395     Motus Holdings Ltd.     1,971  
    2,150     Naspers Ltd. – N Shares     617,775  
    47,744     Nedbank Group Ltd.     678,280  
    1,333,012     Old Mutual Ltd.     865,196  
    13,558     Raubex Group Ltd.     30,809  
    154,910     Sanlam Ltd.     763,672  
    2,005     Shoprite Holdings Ltd.     32,584  
    674,967     Sibanye Stillwater Ltd. *     1,027,713  
    21,275     Tiger Brands Ltd.     408,970  
     

 

 

 
    Total South Africa     5,188,354  
     

 

 

 
          South Korea — 2.4%      
    15,081     Coway Co. Ltd.     969,785  
    42,814     Doosan Bobcat, Inc.     1,455,241  
    12,622     GS Holdings Corp.     397,663  
    36,974     Hana Financial Group, Inc.     1,944,609  
    30,361     Hankook Tire & Technology Co. Ltd.     846,743  
    53,911     HMM Co. Ltd.     831,590  
    96     Hyundai GF Holdings     518  

Shares
    Description   Value ($)  
          South Korea — continued      
    32,521     Hyundai Glovis Co. Ltd.     2,668,744  
    1,408     Hyundai Home Shopping Network Corp.     55,686  
    43,366     Hyundai Mobis Co. Ltd.     7,949,689  
    12,022     Hyundai Motor Co.     1,611,375  
    9,393     KB Financial Group, Inc.     706,766  
    8,621     KB Financial Group, Inc. ADR     644,420  
        115,847     Kia Corp.       7,492,158  
    5,980     Korea Electric Power Corp.     130,784  
    51,785     KT&G Corp.     4,502,204  
    5,463     Kyung Dong Navien Co. Ltd.     297,359  
    13,999     LG Corp.     719,121  
    36,669     LG Electronics, Inc.     1,885,994  
    783     LG Innotek Co. Ltd.     82,058  
    7,908     POSCO Holdings, Inc. Sponsored ADR     361,396  
    17,161     Samsung E&A Co. Ltd.     270,027  
    109,356     Samsung Electronics Co. Ltd.     4,437,413  
    246     Samsung Electronics Co. Ltd. GDR (b)     247,745  
    32,898     Shinhan Financial Group Co. Ltd.     1,376,026  
    12,271     SK Square Co. Ltd. *     1,014,949  
    187,110     Woori Financial Group, Inc.     2,610,898  
    11,388     Youngone Corp.     500,358  
     

 

 

 
    Total South Korea     46,011,319  
     

 

 

 
          Spain — 2.0%      
    142,755     Acerinox SA     1,686,267  
    50,569     Atresmedia Corp. de Medios de Comunicacion SA (b)     341,558  
    800,513     Banco Bilbao Vizcaya Argentaria SA     12,017,265  
    2,450,979     Banco de Sabadell SA     7,802,639  
    1,420,830     Banco Santander SA     11,334,883  
    1,514     Faes Farma SA     7,506  
    36,383     Iberdrola SA (b)     666,891  
    10,684     Indra Sistemas SA (b)     440,193  
    1,185     Industria de Diseno Textil SA (b)     64,198  
    373,497     Mapfre SA (a)     1,412,770  
    47,480     Prosegur Cia de Seguridad SA (b)     147,133  
    166,213     Repsol SA     2,239,378  
    184,829     Unicaja Banco SA     406,273  
     

 

 

 
    Total Spain     38,566,954  
     

 

 

 
          Sweden — 0.6%      
    22,582     AcadeMedia AB (b)     190,449  
    19,135     Betsson AB – Class B (b)     370,320  
    9,218     Boliden AB *     288,185  
    145,593     Fastighets AB Balder – B Shares * (a)     1,020,822  
    109,339     Investor AB – B Shares (b)     3,219,802  
    488     Inwido AB     10,732  
    1,855     Loomis AB (b)     71,761  
    15,590     Peab AB – Class B     133,760  
    17,468     Skanska AB – B Shares     415,569  
    25,595     SKF AB – B Shares (a)     562,996  
    25,244     SSAB AB – B Shares     149,956  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Sweden — continued      
    62,706     Swedbank AB – A Shares     1,697,913  
    194,545     Telefonaktiebolaget LM Ericsson – B Shares     1,656,077  
    80,782     Volvo AB – B Shares (b)     2,238,359  
     

 

 

 
    Total Sweden     12,026,701  
     

 

 

 
          Switzerland — 1.6%      
    1,149     ABB Ltd. (Registered) (b)     65,088  
        130,942     Adecco Group AG (Registered) (b)       3,657,326  
    1,611     Galenica AG     166,860  
    1,096     Implenia AG (Registered)     64,514  
    7,939     Logitech International SA (Registered)     661,523  
    4,895     Mobilezone Holding AG (Registered)     69,479  
    13,245     Nestle SA (Registered) (b)     1,411,084  
    36,435     Novartis AG (Registered) (b)     4,205,659  
    24,988     Novartis AG Sponsored ADR (b)     2,892,611  
    46,366     Roche Holding AG (c)     15,020,131  
    1,976     Roche Holding AG (c)     675,188  
    15,780     Sandoz Group AG ADR     799,099  
    1,321     Swisscom AG (Registered) (b)     908,647  
    1,698     u-blox Holding AG *     189,580  
     

 

 

 
    Total Switzerland     30,786,789  
     

 

 

 
          Taiwan — 2.7%      
    181,799     Asustek Computer, Inc.     3,737,754  
    4,000     Bizlink Holding, Inc.     83,981  
    417,000     Cathay Financial Holding Co. Ltd.     824,908  
    92,000     Compal Electronics, Inc.     87,194  
    139,000     CTBC Financial Holding Co. Ltd.     187,639  
    285,000     Eva Airways Corp.     385,046  
    943,000     Evergreen Marine Corp. Taiwan Ltd.     7,618,547  
    397,000     Fubon Financial Holding Co. Ltd.     1,046,524  
    9,000     Fusheng Precision Co. Ltd.     104,384  
    578,406     Hon Hai Precision Industry Co. Ltd.     2,945,612  
    50,000     Kung Long Batteries Industrial Co. Ltd.     239,472  
    102,000     MediaTek, Inc.     4,187,976  
    225,000     Mitac Holdings Corp. *     439,208  
    2,840,566     Pou Chen Corp.     2,930,462  
    340,263     Radiant Opto-Electronics Corp.     1,660,853  
    45,000     Realtek Semiconductor Corp.     802,411  
    64,000     Shinkong Insurance Co. Ltd.     223,018  
    43,000     Simplo Technology Co. Ltd.     533,847  
    621,000     Taiwan Semiconductor Manufacturing Co. Ltd.     19,806,188  
    1,400     Taiwan Semiconductor Manufacturing Co. Ltd. Sponsored ADR (b)     270,648  
    25,000     United Integrated Services Co. Ltd.     459,171  
    187,000     Wan Hai Lines Ltd.     668,876  
    1,497,000     Yang Ming Marine Transport Corp.     3,938,357  
    190,000     Yuanta Financial Holding Co. Ltd.     196,906  
    102,000     YungShin Global Holding Corp.     208,216  
     

 

 

 
    Total Taiwan     53,587,198  
     

 

 

 

Shares
    Description   Value ($)  
          Thailand — 1.1%      
    212,200     3BB Internet Infrastructure Fund – Class F     38,751  
    3,100     Advanced Info Service PCL NVDR     26,963  
    243,900     AP Thailand PCL NVDR     50,474  
    401,500     Digital Telecommunications Infrastructure Fund – Class F     99,693  
    1,514,100     Kasikornbank PCL NVDR     7,101,721  
      9,715,800     Krung Thai Bank PCL NVDR       6,561,940  
    9,200     Mega Lifesciences PCL NVDR     7,158  
    794,700     PTT Exploration & Production PCL NVDR     2,367,995  
    1,778,700     PTT PCL NVDR     1,610,221  
    108,400     Regional Container Lines PCL NVDR     86,539  
    1,061,000     SCB X PCL NVDR     3,829,174  
    63,900     Sri Trang Gloves Thailand PCL NVDR     12,617  
    142,700     Thai Oil PCL NVDR     129,023  
    147,500     Thailand Future Fund     26,736  
     

 

 

 
    Total Thailand     21,949,005  
     

 

 

 
          Turkey — 0.0%      
    35,180     Dogus Otomotiv Servis ve Ticaret AS     155,647  
    91,213     Turk Hava Yollari AO *     636,233  
     

 

 

 
    Total Turkey     791,880  
     

 

 

 
          Ukraine — 0.0%      
    36,516     Kernel Holding SA *     179,333  
     

 

 

 
          United Arab Emirates — 0.5%      
    199,074     Abu Dhabi Commercial Bank PJSC     654,351  
    16,470     Abu Dhabi Islamic Bank PJSC     85,976  
    211,414     Dubai Islamic Bank PJSC     474,794  
    149,895     Emaar Development PJSC     546,626  
    1,221,382     Emaar Properties PJSC     4,373,711  
    290,978     Emirates NBD Bank PJSC     1,773,953  
    152,284     First Abu Dhabi Bank PJSC     667,361  
    67,335     Orascom Construction PLC     348,759  
     

 

 

 
    Total United Arab Emirates     8,925,531  
     

 

 

 
          United Kingdom — 4.4%      
    188,369     3i Group PLC (b)     10,346,192  
    141,026     Aberdeen Group PLC     330,048  
    37,581     Anglo American PLC     1,114,627  
    6,575     Associated British Foods PLC     184,837  
    3,728     Berkeley Group Holdings PLC     211,454  
    587,215     BP PLC (b)     2,855,095  
    82,367     British American Tobacco PLC Sponsored ADR (b)     3,722,988  
    4,661,357     BT Group PLC (a)     11,285,922  
    55,117     Coca-Cola HBC AG     2,872,286  
    10,397     DCC PLC     649,979  
    30,601     Evraz PLC * (d)      
    338,518     Ferrexpo PLC *     246,846  
    607,430     Glencore PLC *     2,311,234  
    157,179     GSK PLC Sponsored ADR     6,449,054  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          United Kingdom — continued      
    31,833     GSK PLC (b)     646,654  
    12,278     Halfords Group PLC     27,735  
    215,830     Harbour Energy PLC     517,820  
    202,960     HSBC Holdings PLC     2,391,076  
    1,629     HSBC Holdings PLC Sponsored ADR (a) (b)     96,567  
    173,909     IG Group Holdings PLC     2,630,681  
    67,742     Imperial Brands PLC     2,569,092  
    27,836     International Personal Finance PLC     60,691  
    6,309     Investec PLC     45,052  
      1,218,551     ITV PLC (b)       1,283,724  
    164,507     J Sainsbury PLC     632,694  
    7,407     Johnson Matthey PLC     171,835  
    11,440     Keller Group PLC     236,759  
    1,321,314     Kingfisher PLC     4,946,219  
    68,000     Lifezone Metals Ltd. *     271,320  
    12,776     Lion Finance Group PLC     1,150,097  
    56,836     MONY Group PLC (b)     159,896  
    23,013     Morgan Sindall Group PLC     1,201,808  
    76,262     OSB Group PLC     503,130  
    45,981     Paragon Banking Group PLC     560,188  
    40,218     Pearson PLC Sponsored ADR (b)     641,477  
    51,612     Plus500 Ltd.     2,369,651  
    48,441     Reach PLC     49,502  
    92,863     Rio Tinto PLC Sponsored ADR (a)     5,518,848  
    39,903     Rio Tinto PLC (b)     2,361,538  
    111,010     Schroders PLC     532,278  
    81,467     Shell PLC (b)     2,687,996  
    16,084     Shell PLC ADR (b)     1,065,082  
    2,318     TBC Bank Group PLC     139,611  
    113,525     TP ICAP Group PLC     401,258  
    10,540     Unilever PLC Sponsored ADR (b)     672,874  
    17,213     Vesuvius PLC     83,637  
    631,752     Vodafone Group PLC Sponsored ADR (b)     6,532,316  
    135,577     Vodafone Group PLC (b)     140,602  
    80,576     Zigup PLC     377,669  
     

 

 

 
    Total United Kingdom     86,257,939  
     

 

 

 
          United States — 15.5%      
    7,780     Academy Sports & Outdoors, Inc. (a)     318,280  
    7,500     Advanced Drainage Systems, Inc.     824,700  
    32,698     Aemetis, Inc. * (a)     55,914  
    2,364     Affiliated Managers Group, Inc.     416,064  
    7,578     Aflac, Inc. (b)     784,626  
    9,803     AGCO Corp.     960,498  
    13,099     Akamai Technologies, Inc. * (b)     994,607  
    18,900     Albemarle Corp. (a)     1,053,864  
    2,152     Allstate Corp. (b)     451,640  
    68,776     Ally Financial, Inc.     2,407,160  
    7,224     Alphabet, Inc. – Class A (b)     1,240,650  
    6,034     Alphabet, Inc. – Class C (b)     1,042,977  
    81,993     Ameresco, Inc. – Class A * (a)     1,129,864  
    4,204     American Express Co. (b)     1,236,186  

Shares
    Description   Value ($)  
          United States — continued      
    4,544     Applied Materials, Inc. (b)     712,272  
    3,979     Aptiv PLC *     265,837  
    26,500     Arch Capital Group Ltd. (b)     2,518,560  
    14,890     Archer-Daniels-Midland Co.     718,740  
        199,500     Array Technologies, Inc. * (a)       1,316,700  
    5,093     Arrow Electronics, Inc. *     602,909  
    12,726     AT&T, Inc. (b)     353,783  
    1,712     Atkore, Inc.     111,451  
    619     Autoliv, Inc.     63,646  
    3,056     AutoNation, Inc. *     561,846  
    16,508     Avnet, Inc.     825,565  
    140,235     Bank of America Corp. (b)     6,188,571  
    11,141     Bank of New York Mellon Corp. (b)     987,204  
    5,202     Bath & Body Works, Inc.     146,280  
    5,781     Best Buy Co., Inc.     383,165  
    35,250     Block, Inc. * (b)     2,176,687  
    11,776     Blue Owl Capital Corp.     172,518  
    47,181     BorgWarner, Inc.     1,561,219  
    1,769     Bread Financial Holdings, Inc.     90,644  
    29,106     Bristol-Myers Squibb Co. (b)     1,405,238  
    20,954     Builders FirstSource, Inc. *     2,256,327  
    7,191     Bunge Global SA     561,977  
    53,400     California Resources Corp.     2,358,678  
    28,385     Capital One Financial Corp. (b)     5,369,023  
    2,229     Carrier Global Corp. (b)     158,705  
    1,622     Caterpillar, Inc. (b)     564,505  
    22,367     CBRE Group, Inc. – Class A * (b)     2,796,322  
    64,116     Centene Corp. * (b)     3,618,707  
    2,125     CH Robinson Worldwide, Inc.     203,936  
    21,989     Chevron Corp. (a) (b)     3,005,896  
    1,935     Chubb Ltd. (b)     575,082  
    7,628     Cigna Group (b)     2,415,330  
    39,401     Cisco Systems, Inc. (b)     2,483,839  
    70,692     Citigroup, Inc. (b)     5,324,521  
    22,100     Civitas Resources, Inc.     604,877  
    166,041     Clean Energy Fuels Corp. * (a)     297,213  
    155,451     CNH Industrial NV (a)     1,944,692  
    50,626     Cognizant Technology Solutions Corp. – Class A (b)     4,100,200  
    165,809     Comcast Corp. – Class A (b)     5,732,017  
    6,814     Commercial Metals Co.     317,464  
    4,979     Conagra Brands, Inc.     113,969  
    3,855     Concentrix Corp. (a) (b)     215,745  
    15,999     ConocoPhillips (b)     1,365,515  
    11,500     Corteva, Inc.     814,200  
    37,200     Crescent Energy Co. – Class A (a)     312,108  
    7,124     Crocs, Inc. *     726,648  
    11,707     Cummins, Inc. (b)     3,763,566  
    83,477     CVS Health Corp. (b)     5,345,867  
    84,800     Darling Ingredients, Inc. *     2,642,368  
    55,770     Delta Air Lines, Inc. (b)     2,698,710  
    36,294     Devon Energy Corp.     1,098,256  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          United States — continued      
    17,051     Dollar General Corp. (a)     1,658,210  
    25,402     DR Horton, Inc. (b)     2,998,960  
    59,730     eBay, Inc. (b)     4,370,444  
    3,904     Edgewell Personal Care Co.     107,828  
    594     Electronic Arts, Inc. (b)     85,405  
    4,303     Elevance Health, Inc. (b)     1,651,663  
    1,379     EnerSys     115,326  
    2,873     Enova International, Inc. *     266,241  
     11,300     Enphase Energy, Inc. *     467,707  
    14,468     EOG Resources, Inc. (b)         1,570,791  
    12,325     EPAM Systems, Inc. * (b)     2,150,589  
    4,467     Everest Group Ltd.     1,550,898  
    16,855     Expedia Group, Inc. (b)     2,810,571  
    39,449     Exxon Mobil Corp. (b)     4,035,633  
    5,568     Federated Hermes, Inc.     234,970  
    3,762     FedEx Corp. (b)     820,492  
    7,100     First Solar, Inc. * (a)     1,122,368  
    3,176     FMC Corp.     128,819  
    341,575     Ford Motor Co. (b)     3,545,548  
    4,909     Fox Corp. – Class A (b)     269,700  
    49,364     Fox Corp. – Class B (b)     2,482,022  
    143,989     Franklin Resources, Inc. (a)     3,115,922  
    17,800     Freeport-McMoRan, Inc.     684,944  
    201,500     GCI Liberty, Inc. * (a) (e)     10,075  
    49,809     GE HealthCare Technologies, Inc. (b)     3,513,527  
    17,581     General Mills, Inc.     953,945  
    83,477     General Motors Co. (b)     4,141,294  
    2,766     Genpact Ltd. (b)     119,076  
    2,859     Goldman Sachs Group, Inc. (b)     1,716,687  
    49,380     GrafTech International Ltd. *     49,192  
    95,314     Green Plains, Inc. * (a)     396,506  
    1,218     Group 1 Automotive, Inc.     516,335  
    2,000     Gulfport Energy Corp. *     383,000  
    4,299     H&R Block, Inc. (b)     244,828  
    8,278     Hartford Insurance Group, Inc. (b)     1,074,816  
    2,700     Helmerich & Payne, Inc.     41,175  
    210,219     Hewlett Packard Enterprise Co.     3,632,584  
    148,363     HP, Inc.     3,694,239  
    3,484     Humana, Inc. (b)     812,225  
    20,816     Huntington Bancshares, Inc.     325,354  
    38,823     Incyte Corp. *     2,525,824  
    135,232     Intel Corp. (b)     2,643,786  
    10,697     International Business Machines Corp. (b)     2,771,165  
    38,953     Invesco Ltd.     563,260  
    7,896     Janus Henderson Group PLC     286,862  
    26,417     Johnson & Johnson (b)     4,100,183  
    16,123     JPMorgan Chase & Co. (b)     4,256,472  
    9,098     KB Home     469,275  
    6,643     Keurig Dr. Pepper, Inc.     223,670  
    1,936     Kimberly-Clark Corp. (b)     278,319  
    3,193     Kinder Morgan, Inc. (b)     89,532  
    1,645,144     Kosmos Energy Ltd. * (a)     2,730,939  

Shares
    Description   Value ($)  
          United States — continued      
    110,163     Kraft Heinz Co.     2,944,657  
    7,609     Kroger Co. (b)     519,162  
    4,801     Lam Research Corp. (b)     387,873  
    2,129     La-Z-Boy, Inc. (a)     89,184  
    5,735     Lear Corp.     518,559  
    28,845     Lennar Corp. – Class A (a) (b)     3,059,878  
    16,600     Liberty Energy, Inc.     192,394  
    4,172     Lincoln National Corp.     138,260  
    3,922     LKQ Corp.     158,723  
     42,699     LyondellBasell Industries NV – Class A         2,412,066  
    4,291     M&T Bank Corp.     783,708  
    805     M/I Homes, Inc. *     85,821  
    8,358     Macy’s, Inc.     99,377  
    2,811     ManpowerGroup, Inc.     117,921  
    69,070     Match Group, Inc. (b)     2,067,956  
    7,028     Medtronic PLC (b)     583,183  
    61,696     Merck & Co., Inc. (a) (b)     4,740,721  
    4,199     Meritage Homes Corp.     267,098  
    4,583     Meta Platforms, Inc. – Class A (b)     2,967,447  
    1,683     MetLife, Inc. (b)     132,250  
    50,047     MGIC Investment Corp.     1,323,743  
    31,088     Micron Technology, Inc. (b)     2,936,572  
    91,390     Moderna, Inc. * (a)     2,427,318  
    1,102     Mohawk Industries, Inc. *     110,872  
    3,468     Molson Coors Beverage Co. – Class B     185,850  
    4,316     Mondelez International, Inc. – Class A (b)     291,287  
    8,503     Morgan Stanley (b)     1,088,639  
    2,074     Mueller Industries, Inc.     161,502  
    190     NewMarket Corp.     122,371  
    20,400     NEXTracker, Inc. – Class A *     1,156,476  
    6,700     Northern Oil & Gas, Inc. (a)     178,086  
    1,080     Northrop Grumman Corp. (b)     523,552  
    28,463     Nucor Corp.     3,112,714  
    3,447     Old Republic International Corp.     130,297  
    57,666     ON Semiconductor Corp. *     2,423,125  
    49,468     Organon & Co.     456,095  
    6,582     Oshkosh Corp.     652,869  
    41,119     Ovintiv, Inc.     1,472,883  
    2,866     Owens Corning     383,901  
    38,036     PACCAR, Inc. (b)     3,569,679  
    61,623     PayPal Holdings, Inc. * (b)     4,330,864  
    5,399     PepsiCo, Inc. (b)     709,699  
    3,923     Perdoceo Education Corp. (b)     133,539  
    234,465     Pfizer, Inc. (b)     5,507,583  
    9,028     PNC Financial Services Group, Inc.     1,569,157  
    4,575     Polaris, Inc.     179,431  
    2,781     PPG Industries, Inc.     308,135  
    5,459     Premier, Inc. – Class A (a)     125,448  
    20,600     ProPetro Holding Corp. * (a)     111,240  
    28,152     PulteGroup, Inc.     2,759,741  
    5,030     PVH Corp.     421,363  
    21,273     QUALCOMM, Inc. (b)     3,088,840  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description   Value ($)  
          United States — continued      
    23,219     Radian Group, Inc.     792,929  
    6,223     Raymond James Financial, Inc. (b)     914,657  
    8,167     Regeneron Pharmaceuticals, Inc.     4,004,117  
    11,518     Regions Financial Corp. (a)     246,946  
    10,423     Sealed Air Corp.     335,621  
    5,049     Signet Jewelers Ltd. (a)     336,112  
    6,729     Sixth Street Specialty Lending, Inc.     156,718  
    1,453     Skechers USA, Inc. – Class A *     90,144  
    35,678     Skyworks Solutions, Inc.     2,462,852  
    15,401     SLM Corp.     498,530  
    12,400     SM Energy Co.     290,408  
    310     Snap-on, Inc.     99,432  
    78,100     SolarEdge Technologies, Inc. * (a)     1,394,866  
    36,724     Solventum Corp. *         2,684,157  
    21,951     State Street Corp. (b)     2,113,442  
    19,175     Steel Dynamics, Inc.     2,359,867  
    4,041     Steven Madden Ltd.     99,611  
        219,148     Sunrun, Inc. * (a)     1,641,419  
    64,219     Synchrony Financial     3,702,225  
    20,989     T. Rowe Price Group, Inc. (a)     1,964,360  
    25,851     Target Corp.     2,430,252  
    1,222     Taylor Morrison Home Corp. *     68,774  
    1,126     TE Connectivity PLC     180,239  
    1,803     Timken Co.     123,487  
    804     Toll Brothers, Inc.     83,817  
    6,002     Tri Pointe Homes, Inc. *     176,939  
    160,204     TRU Taj LLC/TRU Taj Finance, Inc. * (d)     146,854  
    10,656     Truist Financial Corp.     420,912  
    6,409     Tyson Foods, Inc. – Class A     359,929  
    71,076     U.S. Bancorp     3,098,203  
    1,370     UFP Industries, Inc.     133,657  
    30,694     United Airlines Holdings, Inc. * (b)     2,438,485  
    39,792     United Parcel Service, Inc. – Class B (b)     3,881,312  
    3,907     United Therapeutics Corp. *     1,245,747  
    5,030     Universal Health Services, Inc. – Class B     957,460  
    3,948     Unum Group     322,591  
    500     Valmont Industries, Inc.     159,020  
    1,200     Veralto Corp. (b)     121,236  
    142,181     Verizon Communications, Inc. (b)     6,250,277  
    300,706     Viatris, Inc.     2,643,206  
    70,504     VICI Properties, Inc. – (REIT) (a)     2,235,682  
    3,900     Viper Energy, Inc.     154,791  
    3,811     Vontier Corp.     136,243  
    254,371     Walgreens Boots Alliance, Inc.     2,861,674  
    6,342     Wells Fargo & Co. (b)     474,255  
    62,943     Western Union Co.     584,111  
    4,479     Whirlpool Corp. (a)     349,765  
    4,932     YETI Holdings, Inc. *     150,722  
    41,524     Zoom Communications, Inc. – Class A * (b)     3,373,825  
     

 

 

 
    Total United States     302,646,311  
     

 

 

 

Shares /

Par Value†

    Description   Value ($)  
          Vietnam — 0.0%      
    17,600     Binh Minh Plastics JSC     92,447  
    24,319     Masan Consumer Corp.     119,051  
        221,200     Quang Ngai Sugar JSC           404,266  
    158,900     Vietnam Engine & Agricultural Machinery Corp.     239,158  
     

 

 

 
    Total Vietnam     854,922  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,659,126,224)
    1,488,545,123  
     

 

 

 
          PREFERRED STOCKS (g) —1.3%  
          Brazil — 0.7%      
    848,000     Bradespar SA     2,312,930  
    2,640,550     Cia Energetica de Minas Gerais     5,004,557  
    53,700     Gerdau SA     143,181  
    517,559     Gerdau SA Sponsored ADR (a)     1,361,180  
    97,930     Itau Unibanco Holding SA     640,881  
    131,010     Itau Unibanco Holding SA Sponsored ADR     863,356  
    300,600     Itausa SA     581,806  
    406,400     Petroleo Brasileiro SA - Petrobras     2,195,605  
    90,870     Petroleo Brasileiro SA - Petrobras Sponsored ADR (b)     983,213  
     

 

 

 
    Total Brazil     14,086,709  
     

 

 

 
          Chile — 0.1%      
    41,600     Sociedad Quimica y Minera de Chile SA Sponsored ADR* (a)     1,265,888  
     

 

 

 
          Colombia — 0.1%      
    25,210     Grupo Cibest SA ADR     1,044,450  
    4,913     Grupo Cibest SA     50,608  
     

 

 

 
    Total Colombia     1,095,058  
     

 

 

 
          Germany — 0.3%      
    17,319     Bayerische Motoren Werke AG     1,435,507  
    11,122     Henkel AG & Co. KGaA (b)     891,151  
    39,781     Volkswagen AG     4,307,275  
     

 

 

 
    Total Germany     6,633,933  
     

 

 

 
          Russia — 0.0%      
    15,222     Bashneft PJSC (d) (f)      
    79,750     Nizhnekamskneftekhim PJSC (d) (f)      
    49,530     Sberbank of Russia PJSC (d) (f)      
    20,862,000     Surgutneftegas PAO (d) (f)      
    12,313     Tatneft PJSC (d) (f)      
    33,700     Transneft PJSC (d) (f)      
     

 

 

 
    Total Russia      
     

 

 

 
          South Korea — 0.1%      
    3,452     LG Electronics, Inc.     91,111  
    33,261     Samsung Electronics Co. Ltd.     1,108,517  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares /
Par Value†
    Description   Value ($)  
          South Korea — continued      
    114     Samsung Electronics Co. Ltd. GDR     94,371  
     

 

 

 
    Total South Korea     1,293,999  
     

 

 

 
          United States — 0.0%      
      1,288,200     NII Holdings, Inc. * (e)     450,870  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $46,724,545)
    24,826,457  
     

 

 

 
        RIGHTS/WARRANTS — 0.1%  
          Canada — 0.1%      
    724,783     Resolute Forest Products, Inc. * (e)         1,087,174  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $1,022,632)
    1,087,174  
     

 

 

 
          INVESTMENT FUNDS — 0.0%  
          United States — 0.0%      
    56,913     GMO U.S. Treasury Fund, Class VI (h) (i)     285,133  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $285,344)
    285,133  
     

 

 

 
          DEBT OBLIGATIONS — 28.8%  
          United States — 28.8%      
          U.S. Government — 28.8%      
    162,500,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.15%, 4.45%, due 04/30/26 (b)     162,620,450  
    121,236,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.18%, 4.48%, due 07/31/26     121,396,630  
    66,000,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.21%, 4.51%, due 10/31/26     66,097,231  
    1,135,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 4.40%, due 01/31/27     1,135,378  
    48,865,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 4.46%, due 04/30/27 (b)     48,893,089  
    22,396,140     U.S. Treasury Inflation-Indexed Bonds, 2.38%, due 02/15/55 (b)     21,288,820  
    73,171,380     U.S. Treasury Inflation-Indexed Notes, 1.88%, due 07/15/34 (b)     72,593,267  
    68,598,379     U.S. Treasury Inflation-Indexed Notes, 2.13%, due 01/15/35 (b)     69,077,853  
     

 

 

 
    Total U.S. Government     563,102,718  
     

 

 

 
    Total United States     563,102,718  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $561,780,472)
    563,102,718  
     

 

 

 

Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 9.9%  
          Money Market Funds — 0.3%      
    212,018     State Street Global Advisors Liquidity PLC - U.S. Treasury Liquidity Fund – Class D Shares, 4.15% (j) (k)     212,018  
    6,168,988     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (j)     6,168,988  
     

 

 

 
    Total Money Market Funds     6,381,006  
     

 

 

 
        Repurchase Agreements — 9.6%      
    186,084,360     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/30/25, maturing on 06/02/25 with a maturity value of $186,151,195 and an effective yield of 4.31%, collateralized by a U.S. Treasury Note with maturity date 06/30/29 and a market value of $190,342,884.     186,084,360  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $192,465,366)
    192,465,366  
     

 

 

 
    TOTAL INVESTMENTS — 116.3%
(Cost $2,461,404,583)
    2,270,311,971  
     

 

 

 
          SECURITIES SOLD SHORT — (17.3)%  
          Common Stocks — (17.2)%      
          Australia — (0.7)%      
    (15,722   ASX Ltd.     (722,375
    (46,655   CAR Group Ltd.     (1,069,203
    (4,041   Cochlear Ltd.     (706,583
    (4,235   Computershare Ltd.     (109,647
    (258,589   Lottery Corp. Ltd.     (849,739
    (4,085   Mineral Resources Ltd. *     (58,403
    (16,212   Pro Medicus Ltd.     (2,939,201
    (7,947   REA Group Ltd.     (1,227,536
    (47,519   WiseTech Global Ltd.     (3,283,239
    (23,550   Xero Ltd. *     (2,797,468
     

 

 

 
    Total Australia     (13,763,394
     

 

 

 
          Austria — (0.0)%      
    (1,354   Verbund AG     (105,793
     

 

 

 
          Belgium — (0.0)%      
    (378   Argenx SE *     (216,886
    (72   Lotus Bakeries NV     (745,592
     

 

 

 
    Total Belgium     (962,478
     

 

 

 
          Brazil — (0.2)%      
    (251,749   NU Holdings Ltd. – Class A *     (3,023,505
     

 

 

 
          Canada — (1.2)%      
    (3,236   Agnico Eagle Mines Ltd.     (381,816
    (100,100   AltaGas Ltd.     (2,796,542
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Canada — continued      
    (19,550   Brookfield Renewable Corp.     (574,574
    (51,333   Cameco Corp.     (3,004,520
    (67,264   Enbridge, Inc.     (3,126,431
    (18,193   Franco-Nevada Corp.     (3,070,978
    (56,330   GFL Environmental, Inc.     (2,840,722
    (105,622   Pan American Silver Corp.     (2,576,121
    (67,798   Pembina Pipeline Corp.     (2,541,069
    (34,659   Restaurant Brands International, Inc.     (2,474,999
     

 

 

 
    Total Canada     (23,387,772
     

 

 

 
          Denmark — (0.2)%      
    (23,592   Coloplast AS – Class B     (2,293,628
    (71,786   Tryg AS     (1,846,768
     

 

 

 
    Total Denmark     (4,140,396
     

 

 

 
          France — (0.4)%      
    (13,475   Aeroports de Paris SA     (1,806,327
    (3,369   Bureau Veritas SA     (115,127
    (313   Dassault Aviation SA     (113,844
    (4,982   Euronext NV     (811,962
    (119,277   Getlink SE *     (2,281,504
    (1,080   Hermes International SCA     (2,978,113
     

 

 

 
    Total France     (8,106,877
     

 

 

 
          Germany — (0.7)%      
    (2,097   adidas AG     (523,020
    (7,445   CTS Eventim AG & Co. KGaA     (903,052
    (61,683   Delivery Hero SE *     (1,705,309
    (7,904   MTU Aero Engines AG     (3,161,356
    (6,112   Qiagen NV *     (275,890
    (787   Rational AG     (647,097
    (1,150   Rheinmetall AG     (2,464,756
    (30,090   Siemens Energy AG *     (2,940,561
    (14,499   Talanx AG     (1,880,965
     

 

 

 
    Total Germany     (14,502,006
     

 

 

 
          Israel — (0.4)%      
    (7,896   CyberArk Software Ltd. *     (3,022,431
    (10,374   Monday.com Ltd. *     (3,086,161
    (15,488   Wix.com Ltd. *     (2,306,938
     

 

 

 
    Total Israel     (8,415,530
     

 

 

 
          Italy — (0.5)%      
    (49,091   Amplifon SpA     (1,128,442
    (6,212   Ferrari NV     (2,973,284
    (127,018   FinecoBank Banca Fineco SpA     (2,746,886
    (199,966   Infrastrutture Wireless Italiane SpA     (2,347,601
     

 

 

 
    Total Italy     (9,196,213
     

 

 

 

Shares
    Description   Value ($)  
          Japan — (1.4)%      
    (102,500   Aeon Co. Ltd.     (3,151,172
    (73,400   ANA Holdings, Inc.     (1,453,397
    (84,600   Asics Corp.     (2,038,952
    (15,200   Dentsu Group, Inc.     (328,310
    (8,100   Disco Corp.     (1,814,489
    (200   Fast Retailing Co. Ltd.     (66,618
    (7,700   Fujikura Ltd.     (357,414
    (212,800   Japan Exchange Group, Inc.     (2,330,888
    (56,100   Kobe Bussan Co. Ltd.     (1,772,718
    (17,800   Mitsubishi Heavy Industries Ltd.     (409,869
    (105,200   MonotaRO Co. Ltd.     (2,170,137
    (126,000   Oriental Land Co. Ltd.     (2,799,821
    (429,600   Rakuten Group, Inc. *     (2,364,473
    (2,100   Secom Co. Ltd.     (76,470
    (83,800   Shiseido Co. Ltd.     (1,348,742
    (2,086,700   SoftBank Corp.     (3,206,333
    (24,800   Tokyu Corp.     (301,113
    (10,700   West Japan Railway Co.     (230,587
    (28,200   Zensho Holdings Co. Ltd.     (1,540,612
    (44,200   ZOZO, Inc.     (478,917
     

 

 

 
    Total Japan     (28,241,032
     

 

 

 
          Netherlands — (0.5)%      
    (784   Adyen NV *     (1,502,519
    (283   ASM International NV     (154,022
    (17,599   BE Semiconductor Industries NV     (2,126,754
    (49,230   CVC Capital Partners PLC     (916,100
    (1,013   Heineken Holding NV     (78,956
    (65,841   InPost SA *     (1,082,143
    (100,451   Universal Music Group NV     (3,214,176
     

 

 

 
    Total Netherlands     (9,074,670
     

 

 

 
          Norway — (0.2)%      
    (17,973   Kongsberg Gruppen ASA *     (3,165,407
     

 

 

 
          Peru — (0.1)%      
    (27,297   Southern Copper Corp.     (2,481,570
     

 

 

 
          Singapore — (0.2)%      
    (17,300   CapitaLand Integrated Commercial Trust – (REIT)     (28,022
    (556,700   CapitaLand Investment Ltd.     (1,085,575
    (594,946   Grab Holdings Ltd. – Class A *     (2,897,387
    (131,600   Keppel Ltd.     (691,024
     

 

 

 
    Total Singapore     (4,702,008
     

 

 

 
          Spain — (0.3)%      
    (73,741   Cellnex Telecom SA *     (2,827,252
    (61,491   Ferrovial SE     (3,132,643
     

 

 

 
    Total Spain     (5,959,895
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          Sweden — (0.4)%      
    (68,719   Beijer Ref AB     (1,013,370
    (82,974   EQT AB     (2,431,265
    (1,401   Lifco AB – B Shares     (57,052
    (5,025   Spotify Technology SA *     (3,342,328
     

 

 

 
                    Total Sweden     (6,844,015
     

 

 

 
          Switzerland — (0.3)%      
    (34,117   Avolta AG     (1,829,722
    (5,436   Bachem Holding AG     (342,332
    (1,630   Partners Group Holding AG     (2,188,061
    (45,321   SIG Group AG     (926,685
    (462   VAT Group AG     (176,258
     

 

 

 
    Total Switzerland     (5,463,058
     

 

 

 
          United Kingdom — (1.2)%      
    (21,826   Antofagasta PLC     (521,052
    (27,790   Auto Trader Group PLC     (297,620
    (25,940   Entain PLC     (263,009
    (247,614   Informa PLC     (2,625,475
    (24,767   InterContinental Hotels Group PLC     (2,838,002
    (20,207   London Stock Exchange Group PLC     (3,074,630
    (128,689   M&G PLC     (411,143
    (268,655   Melrose Industries PLC     (1,702,152
    (206,384   Phoenix Group Holdings PLC     (1,766,022
    (317,315   Rolls-Royce Holdings PLC     (3,692,587
    (62,289   Severn Trent PLC     (2,274,823
    (18,141   United Utilities Group PLC     (287,230
    (189,235   Wise PLC – Class A *     (2,807,584
     

 

 

 
    Total United Kingdom     (22,561,329
     

 

 

 
          United States — (8.3)%      
    (14,376   AbbVie, Inc.     (2,675,517
    (3,446   AECOM     (378,543
    (10,690   Alnylam Pharmaceuticals, Inc. *     (3,255,746
    (822   Amgen, Inc.     (236,884
    (1,115   Analog Devices, Inc.     (238,588
    (9,514   Arthur J Gallagher & Co.     (3,305,544
    (4,036   Axon Enterprise, Inc. *     (3,028,453
    (6,180   Bentley Systems, Inc. – Class B     (294,971
    (15,847   Boeing Co. *     (3,285,400
    (10,090   Burlington Stores, Inc. *     (2,303,244
    (9,403   Carvana Co. *     (3,076,285
    (825   Cheniere Energy, Inc.     (195,517
    (27,649   Chipotle Mexican Grill, Inc. *     (1,384,662
    (14,205   Cintas Corp.     (3,217,433
    (19,063   Cloudflare, Inc. – Class A *     (3,162,361
    (3,231   CoStar Group, Inc. *     (237,672
    (273   Costco Wholesale Corp.     (283,969
    (43,370   Dayforce, Inc. *     (2,562,300
    (18,924   Dexcom, Inc. *     (1,623,679
    (76,188   DraftKings, Inc. – Class A *     (2,733,625

Shares
    Description   Value ($)  
          United States — continued      
    (1,108   Ecolab, Inc.     (294,307
    (6,691   Entegris, Inc.     (459,939
    (55,075   EQT Corp.     (3,036,285
    (38,925   Equitable Holdings, Inc.     (2,057,965
    (6,416   Erie Indemnity Co. – Class A     (2,300,200
    (54,559   Exact Sciences Corp. *     (3,070,581
    (1,559   Fair Isaac Corp. *     (2,691,271
    (68,384   Fastenal Co.     (2,826,995
    (36,240   Fidelity National Information Services, Inc.     (2,885,066
    (8,051   Fiserv, Inc. *     (1,310,622
    (10,407   Flutter Entertainment PLC * (c)     (2,634,662
    (2,506   Flutter Entertainment PLC * (c)     (633,266
    (97   Gartner, Inc. *     (42,333
    (784   HEICO Corp.     (234,918
    (725   Howmet Aerospace, Inc.     (123,170
    (4,869   HubSpot, Inc. *     (2,872,223
    (20,502   Hyatt Hotels Corp. – Class A     (2,706,879
    (10,169   Insulet Corp. *     (3,305,230
    (411   Interactive Brokers Group, Inc. – Class A     (86,178
    (4,056   International Flavors & Fragrances, Inc.     (310,527
    (10,432   Keurig Dr. Pepper, Inc.     (351,245
    (29,777   Liberty Media Corp.-Liberty Formula One – Class C *     (2,874,374
    (6,344   Linde PLC     (2,966,328
    (20,532   Live Nation Entertainment, Inc. *     (2,816,785
    (10,300   Manhattan Associates, Inc. *     (1,944,434
    (7,337   Marvell Technology, Inc.     (441,614
    (1,670   Mastercard, Inc. – Class A     (977,952
    (3,190   McKesson Corp.     (2,295,237
    (15,403   MongoDB, Inc. *     (2,908,548
    (4,078   Moody’s Corp.     (1,954,667
    (1,588   Motorola Solutions, Inc.     (659,623
    (5,136   MSCI, Inc.     (2,896,807
    (18,284   Natera, Inc. *     (2,883,935
    (26,529   Okta, Inc. *     (2,736,997
    (32,749   ONEOK, Inc.     (2,647,429
    (24,943   Palantir Technologies, Inc. – Class A *     (3,286,989
    (19,880   Paychex, Inc.     (3,139,251
    (214,228   Rivian Automotive, Inc. – Class A *     (3,112,733
    (42,005   ROBLOX Corp. – Class A *     (3,653,595
    (14,821   Roku, Inc. *     (1,073,930
    (52,457   Rollins, Inc.     (3,003,163
    (710   S&P Global, Inc.     (364,131
    (69,903   Samsara, Inc. – Class A *     (3,253,286
    (3,024   ServiceNow, Inc. *     (3,057,536
    (41,671   Snap, Inc. – Class A *     (343,786
    (15,060   Snowflake, Inc. – Class A *     (3,097,390
    (1,275   Starbucks Corp.     (107,036
    (1,338   STERIS PLC     (328,091
    (14,334   Take-Two Interactive Software, Inc. *     (3,243,498
    (8,875   Tesla, Inc. *     (3,074,833
    (2,028   Texas Pacific Land Corp.     (2,259,253
    (78,198   Toast, Inc. – Class A *     (3,298,392
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 


Shares
    Description   Value ($)  
          United States — continued      
    (2,538   Trade Desk, Inc. – Class A *     (190,908
    (2,171   TransDigm Group, Inc.     (3,187,962
    (2,663   Tyler Technologies, Inc. *     (1,536,524
    (295   Verisk Analytics, Inc.     (92,671
    (18,375   Vistra Corp.     (2,950,474
    (1,181   Waste Connections, Inc.     (232,763
    (5,044   Watsco, Inc.     (2,237,367
    (1,702   West Pharmaceutical Services, Inc.     (358,867
    (51,998   Williams Cos., Inc.     (3,146,399
    (316   Willis Towers Watson PLC     (100,030

Shares
    Description   Value ($)  
          United States — continued      
    (35,535   Zillow Group, Inc. – Class C *     (2,384,754
    (13,194   Zscaler, Inc. *     (3,637,586
     

 

 

 
    Total United States     (162,472,183
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $230,926,648)
    (336,569,131
     

 

 

 
          PREFERRED STOCKS (g) — (0.1)%  
          Germany — (0.1)%      
    (8,121   Sartorius AG     (1,948,043
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $2,399,215)
    (1,948,043
     

 

 

 
    TOTAL SECURITIES SOLD SHORT (PROCEEDS $233,325,863)     (338,517,174
     

 

 

 
    Other Assets and Liabilities (net) — 1.0%     20,427,848  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,952,222,645  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31,
2025
 
Alrosa PJSC    12/06/17    $ 15,372,968      0.0%   $  
Bashneft PJSC    03/29/18      444,288      0.0%      
Federal Grid Co-Rosseti PJSC    10/08/19      1,057,715      0.0%      
Gazprom Neft PJSC    10/12/21      2,944,094      0.0%      
Gazprom PJSC    08/10/20      17,682,067      0.0%      
GMK Norilskiy Nickel PAO    02/11/20      4,352,696      0.0%      
Inter RAO UES PJSC    01/13/20      1,798,790      0.0%      
LSR Group PJSC    11/30/18      882,290      0.0%      
LSR Group PJSC GDR    09/07/20      8      0.0%      
LUKOIL PJSC    01/09/20      18,997,557      0.0%      
Magnitogorsk Iron & Steel Works PJSC    10/11/17      4,815,566      0.0%      
Mechel PJSC    11/12/21      133,558      0.0%      
Moscow Exchange MICEX-RTS PJSC    10/20/17      3,091,486      0.0%      
Mosenergo PJSC    11/19/21      224,074      0.0%      
Nizhnekamskneftekhim PJSC    03/24/20      79,541      0.0%      
Novatek PJSC    10/21/21      2,148,138      0.0%      
Novolipetsk Steel PJSC    02/13/18      9,617,214      0.0%      
PhosAgro PJSC    08/15/22      434,931      0.0%      
PhosAgro PJSC GDR    10/15/21      2,792      0.0%      
Polyus PJSC    07/27/20      5,699,094      0.0%      
Polyus PJSC GDR    02/24/23      0      0.0%      
RusHydro PJSC    05/06/21      538,627      0.0%      
Sberbank of Russia PJSC    07/10/19      29,636,901      0.0%      
Sberbank of Russia PJSC    01/10/22      183,324      0.0%      


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31,
2025
 
Severstal PAO    02/02/21    $ 126,124      0.0%   $  
Severstal PAO GDR (Registered)    10/23/17      5,003,828      0.0%      
SFI PJSC    09/11/18      318,293      0.0%      
Surgutneftegas PAO    07/20/17      12,778,800      0.0%      
Surgutneftegas PAO    11/02/18      12,687,089      0.0%      
Tatneft PJSC    11/02/18      8,698,468      0.0%      
Tatneft PJSC    12/15/21      71,966      0.0%      
Transneft PJSC    08/12/21      683,438      0.0%      
Unipro PJSC    12/18/19      32,903      0.0%      
United Co. RUSAL International PJSC    11/12/21      56,186      0.0%      
VTB Bank PJSC    01/09/20      587,690      0.0%      
          

 

 

 
           $  
          

 

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
935   U.S. Treasury Note 10 Yr. (CBT)   September 2025     103,551,250       569,282  
925   U.S. Treasury Note 2 Yr. (CBT)   September 2025     191,879,688       244,111  
2,321   U.S. Treasury Note 5 Yr. (CBT)   September 2025     251,103,187       533,519  
480   U.S. Treasury Ultra 10 Yr. (CBT)   September 2025     54,022,500       102,830  
115   U.S. Ultra Bond (CBT)   September 2025     13,347,188       94,203  
     

 

 

   

 

 

 
  $ 613,903,813     $ 1,543,945  
 

 

 

   

 

 

 

 

Number of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
47   MSCI EAFE Index   June
2025
  $ 6,120,575     $ (26,459
31   TOPIX Index   June
2025
    5,986,423       65,380  
     

 

 

   

 

 

 
  $ 12,106,998     $ 38,921  
 

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

   Notional
Amount
     Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received)
($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                      

CDX.EM.S43

     USD 45,000,000        1.00%       1.72     N/A        06/20/2030        Quarterly        1,593,000       1,438,515       (154,485

CDX.NA.HY.S44

     USD 24,992,000        5.00%       3.51     N/A        06/20/2030        Quarterly        (1,482,275     (1,540,482     (58,207
                  

 

 

   

 

 

   

 

 

 
                   $ 110,725     $ (101,967   $ (212,692
                  

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

(1)

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

 

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

OTC Total Return Swaps

 

Fund Pays

  Fund Receives  

Counterparty

  Notional
Amount
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate
minus 0.40%
  GS     USD       13,141,111       06/24/2026       Monthly             75,439       75,439  

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate
minus 0.40%
  MORD     USD       14,538,749       06/18/2027       Monthly             (774,332     (774,332
             

 

 

   

 

 

   

 

 

 
  $  —     $ (698,893   $ (698,893
 

 

 

   

 

 

   

 

 

 

As of May 31, 2025, for the above contracts and/ or agreements, the Fund had sufficient cash and/ or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(c)

Securities are traded on separate exchanges for the same entity.

 

(d)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(e)

Investment valued using significant unobservable inputs.

 

(f)

The security is restricted as to resale.

 

(g)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(h)

Affiliated company.

 

(i)

All or a portion of this security is purchased with collateral from securities loaned.

 

(j)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 

(k)

All or a portion of this security or derivative is owned by GMO Implementation SPC Ltd., which is a 100% owned subsidiary of GMO Implementation Fund. (l) Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

REIT - Real Estate Investment Trust

SOFOM - Sociedades Financieras de Objeto Multi (Multi-purpose Financial Company)

Counterparty Abbreviations:

GS - Goldman Sachs International

MORD - Morgan Stanley Capital Services LLC

Currency Abbreviations:

USD - United States Dollar

 


GMO International Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description  

Value ($)

 
    INVESTMENT FUNDS — 99.9%

 

          United States — 99.9%  
    8,353,633     GMO International Equity Fund, Class IV (a)     248,437,055  
    4,935,581     GMO International Opportunistic Value Fund, Class IV (a)     81,881,278  
    1,088,366     GMO-Usonian Japan Value Creation Fund, Class VI (a)     25,032,421  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $280,657,436)
    355,350,754  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.1%

 

    Money Market Funds — 0.1%

 

    280,991     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     280,991  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $280,991)
    280,991  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $280,938,427)
    355,631,745  
    Other Assets and Liabilities (net) — 0.0%     65,435  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $355,697,180  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO International Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description  

Value ($)

 
    INVESTMENT FUNDS — 99.9%

 

          United States — 99.9%  
    3,765,096     GMO Emerging Markets Fund, Class VI (a)     94,315,644  
    5,046,303     GMO International Equity Fund, Class IV (a)     150,077,059  
    3,568,131     GMO International Opportunistic Value Fund, Class IV (a)     59,195,296  
    1,008,662     GMO-Usonian Japan Value Creation Fund, Class VI (a)     23,199,217  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $300,428,190)
    326,787,216  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.1%

 

    Money Market Funds — 0.1%

 

    431,373     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     431,373  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $431,373)
    431,373  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $300,859,563)
    327,218,589  
    Other Assets and Liabilities (net) — (0.0%)     (65,021
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $327,153,568  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

 


GMO MAC Implementation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Par Value† /

Shares

    Description  

Value ($)

 

    DEBT OBLIGATIONS — 137.9%

 

          United States — 137.9%  
          U.S. Government — 98.1%      
    2,485,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 4.46%, due 04/30/27 (a)     2,486,428  
     

 

 

 
          U.S. Government Agency — 39.8%  
    1,000,000     Uniform Mortgage-Backed Security, TBA, 6.00%, due 07/01/54     1,008,512  
     

 

 

 
    Total United States     3,494,940  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $3,495,076)
    3,494,940  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.6%

 

    Money Market Funds — 0.6%

 

    15,852     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (b)     15,852  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $15,852)
    15,852  
     

 

 

 
    TOTAL INVESTMENTS — 138.5%
(Cost $3,510,928)
    3,510,792  
     

 

 

 
    Other Assets and Liabilities (net) — (38.5)%     (975,597
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,535,195  
     

 

 

 
 

 

   


GMO MAC Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2025 is as follows:

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
11   U.S. Treasury Note 10 Yr. (CBT)   September 2025     1,218,250       12,876  
17   U.S. Treasury Note 2 Yr. (CBT)   September 2025     3,526,437       5,230  
3   U.S. Treasury Note 5 Yr. (CBT)   September 2025     324,563       1,684  
5   U.S. Treasury Ultra 10 Yr. (CBT)   September 2025     562,734       7,415  
     

 

 

   

 

 

 
      $ 5,631,984     $ 27,205  
     

 

 

   

 

 

 
Number of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
 Sales        
4   U.S. Long Bond (CBT)   September 2025     451,125       (9,131
2   U.S. Ultra Bond (CBT)   September 2025     232,125       (5,315
     

 

 

   

 

 

 
      $ 683,250     $ (14,446
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

   Notional
Amount
     Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

Sell Protection^:

                        

CDX.NA.HY.44

     USD 20,000        5.00     3.51     20,000 USD        06/20/2030        Quarterly        1,210        1,233        23  

ITRAXX.XO.43

     EUR 86,000        5.00     3.00     86,000 EUR        06/20/2030        Quarterly        8,431        8,433        2  
                  

 

 

    

 

 

    

 

 

 
                   $ 9,641      $ 9,666      $ 25  
                  

 

 

    

 

 

    

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

(1) 

As of May 31, 2025, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

 

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

OTC Total Return Swaps

 

Fund Pays

  

Fund Receives

   Counterparty    Notional
Amount
     Expiration
Date
     Periodic
Payment
Frequency
   Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

1 Day Overnight Federal Funds Effective Rate minus 0.45%

   iShares iBoxx $ Investment Grade Corporate Bond ETF    GS      USD 750,046        06/20/2025      At Maturity    $      $ 14,906      $ 14,906  
                 

 

 

    

 

 

    

 

 

 


GMO MAC Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ETF - Exchange-Traded Fund

TBA - To Be Announced - Delayed Delivery Security

Counterparty Abbreviations:

GS - Goldman Sachs International

Currency Abbreviations:

EUR - Euro

USD - United States Dollar

 


GMO Multi-Asset Credit Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description  

Value ($)

 

    INVESTMENT FUNDS — 100.0%

 

          United States — 100.0%  
    73,170     GMO Emerging Country Debt Fund, Class VI (a)     1,497,073  
    87,617     GMO High Yield Fund, Class VI (a)     1,511,390  
    250,075     GMO MAC Implementation Fund (a)     2,535,758  
    185,928     GMO Opportunistic Income Fund, Class VI (a)     4,523,627  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $10,019,025)
    10,067,848  
     

 

 

 
    TOTAL INVESTMENTS — 100.0% (Cost $10,019,025)     10,067,848  
    Other Assets and Liabilities (net) — (0.0%)     (505
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $10,067,343  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2025 (Unaudited)

 

Shares

    Description  

Value ($)

 
    COMMON STOCKS — 0.0%

 

          China — 0.0%  
    286,000     China Zhongwang Holdings Ltd. * (a)      
     

 

 

 
          Russia — 0.0%      
    2,505     LUKOIL PJSC * (a) (b)      
    5,410     Novatek PJSC (a) (b)      
     

 

 

 
    Total Russia      
     

 

 

 
    TOTAL COMMON STOCKS
(COST $284,812)
     
     

 

 

 
          INVESTMENT FUNDS — 103.1%      
          United States — 103.1%      
    773,209     GMO Alternative Allocation Fund, Class VI (c)     13,693,536  
    297,094     GMO Asset Allocation Bond Fund, Class VI (c)     5,389,294  
    54,220     GMO Climate Change Fund, Class III (c)     959,143  
    154,578     GMO Emerging Country Debt Fund, Class VI (c)     3,162,660  
    166,155     GMO Emerging Markets ex-China Fund, Class VI (c)     2,073,609  
    208,413     GMO Emerging Markets Fund, Class VI (c)     5,220,747  
    529,115     GMO International Equity Fund, Class IV (c)     15,735,869  
    456,152     GMO International Opportunistic Value Fund, Class IV (c)     7,567,556  
    285,906     GMO-Usonian Japan Value Creation Fund, Class VI (c)     6,575,845  
    183,796     GMO Multi-Sector Fixed Income Fund, Class IV (c)     3,196,217  
    92,468     GMO Quality Fund, Class VI (c)     3,093,989  
    117,318     GMO Resources Fund, Class VI (c)     1,970,950  
    135,280     GMO Small Cap Quality Fund, Class VI (c)     3,008,618  
Shares /
Par Value†
    Description  

Value ($)

 
          United States — continued      
    570,029     GMO U.S. Equity Fund, Class VI (c)     7,393,281  
    344,884     GMO U.S. Opportunistic Value Fund, Class VI (c)     7,321,888  
    1,289,380     GMO U.S. Treasury Fund, Class VI (c)     6,459,794  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $82,758,665)
    92,822,996  
     

 

 

 
          DEBT OBLIGATIONS — 0.1%  
          United States — 0.1%      
          U.S. Government — 0.1%      
    100,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.15%, 4.45%, due 04/30/26 (d)     100,074  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $99,986)
    100,074  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%      
    139,965     State Street Institutional Treasury Money Market Fund – Premier Class, 4.22% (e)     139,965  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $139,965)
    139,965  
     

 

 

 
    TOTAL INVESTMENTS — 103.3%
(Cost $83,283,428)
    93,063,035  
     

 

 

 
    Other Assets and Liabilities (net) — (3.3)%     (2,994,509
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $90,068,526  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2025
 
LUKOIL PJSC    04/03/20    $ 175,270      0.0%   $  
Novatek PJSC    02/24/22      46,169      0.0%      
          

 

 

 
           $  
          

 

 

 

As of May 31, 2025, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2025 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

The security is restricted as to resale.

 

(c)

Affiliated company.

 

(d)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(e)

The rate disclosed is the 7 day net yield as of May 31, 2025.

The rates shown on variable rate notes are the current interest rates at May 31, 2025, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

PJSC - Private Joint-Stock Company

Currency Abbreviations:

USD - United States Dollar

 


Organization

Each of Alternative Allocation Fund, Benchmark-Free Allocation Fund, Benchmark-Free Fund, Global Asset Allocation Fund, Global Developed Equity Allocation Fund, Global Equity Allocation Fund, Implementation Fund, International Developed Equity Allocation Fund, International Equity Allocation Fund, MAC Implementation Fund (commenced operations on May 21, 2025), Multi-Asset Credit Fund (commenced operations on May 21, 2025) and Strategic Opportunities Allocation Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO.

Many of the Funds may invest primarily in other GMO Funds and Alternative Allocation Fund and Implementation Fund may also invest in GMO Alternative Allocation SPC Ltd. and GMO Implementation SPC Ltd. (each a “wholly-owned subsidiary”), respectively. These GMO Funds and wholly-owned subsidiaries are referenced herein as “underlying funds”. As a result, the Funds are exposed to all of the risks of the underlying funds in which they invest. Several of the underlying funds themselves invest a substantial portion of their assets in other GMO Funds. The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Basis of presentation and principles of consolidation: Alternative Allocation Fund and Implementation Fund

Alternative Allocation Fund and Implementation Fund include the accounts of their wholly-owned subsidiaries and the accompanying Schedules of Investments have been consolidated for those accounts. The Consolidated Schedules of Investments include all of the assets and liabilities of each wholly-owned subsidiary. Alternative Allocation Fund and Implementation Fund are herein referred to as “Consolidated Alternative Allocation Fund” and “Consolidated Implementation Fund”, respectively.

Portfolio valuation

Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value. Direct investments held by the Funds and underlying funds are valued as follows: Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the closing price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are valued at the price generally determined by an industry standard model. Unlisted non-fixed income securities for which market quotations are readily available are generally valued at the most recent quoted price.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, prices will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect changes in valuation through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below) and are described in the disclosures of the underlying funds.


Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.

In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2025, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include certain U.S. government agency securities, mortgage-backed securities, asset-backed securities, certain sovereign debt obligations, and corporate bonds valued using vendor prices or broker quotes; cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain securities that are valued at the local price; certain debt obligations, such as collateralized loan obligations, that have yet to begin trading that are valued at cost; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, certain debt securities (such as asset-backed, mortgage-backed, loans and sovereign debt) and derivatives even though they may be valued using broker quotes; certain debt securities and derivatives adjusted by a specified discount for liquidity or other considerations; securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price; potential litigation recoveries and interests related to bankruptcy proceedings; certain equity securities valued off the last traded price with a discount for liquidity; certain equity securities that are valued based on the last traded exchange price adjusted for the movement in a relevant index; certain securities that are valued using a price from a comparable security related to the same issuer; and certain recently acquired equity securities that have yet to begin trading that are valued at cost.


The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2025:

 

         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 8,001,922     $     $ 8,001,922  

Austria

          1,433,445             1,433,445  

Belgium

          3,128,579             3,128,579  

Canada

    44,977,822                   44,977,822  

China

          5,712,054       0 §      5,712,054  

Denmark

          10,354,907             10,354,907  

Finland

          2,782,926             2,782,926  

France

    1,629,902       18,029,810             19,659,712  

Germany

          39,386,820             39,386,820  

Greece

          76,444             76,444  

Hong Kong

          19,110,925             19,110,925  

Ireland

          675,865             675,865  

Israel

    2,169,239       5,697,114             7,866,353  

Italy

    421,102       6,756,043             7,177,145  

Japan

          52,209,535             52,209,535  

Mexico

    559,522                   559,522  

Netherlands

          19,289,392             19,289,392  

New Zealand

          215,770             215,770  

Norway

          3,478,651             3,478,651  

Poland

          2,568,191             2,568,191  

Singapore

          2,174,651             2,174,651  

South Korea

    257,075       11,062,635             11,319,710  

Spain

          10,342,675             10,342,675  

Sweden

    598,626       5,334,531             5,933,157  

Switzerland

          10,312,591             10,312,591  

Taiwan

    985,320       4,496,322             5,481,642  

Thailand

          5,569,701             5,569,701  

Turkey

          284,430             284,430  

United Kingdom

    6,829,095       27,089,469             33,918,564  

United States

    614,304,976             4,782       614,309,758  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    672,732,679       275,575,398       4,782       948,312,859  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          245,059             245,059  

Germany

          2,867,739             2,867,739  

South Korea

          307,782             307,782  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          3,420,580             3,420,580  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Canada

                264,384       264,384  

United States

                335,843       335,843  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                600,227       600,227  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    25,000,000             12,812,912       37,812,912  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    25,000,000             12,812,912       37,812,912  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Dominican Republic

          2,540,391             2,540,391  

United States

    212,096,132       68,988,210             281,084,342  

Uruguay

          935,712             935,712  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    212,096,132       72,464,313             284,560,445  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    2,485,917       43,770,519             46,256,436  

Purchased Options

    1,226,555                   1,226,555  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    913,541,283       395,230,810       13,417,921       1,322,190,014  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund (continued)  
Asset Valuation Inputs (continued)  

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ 6,584,367     $     $ 6,584,367  

Futures Contracts

         

Equity Risk

    4,080       3,071,872             3,075,952  

Interest Rate Risk

    495,494                   495,494  

Physical Commodity Contract Risk

    1,338,314                   1,338,314  

Swap Contracts

         

Credit Risk

          12,898,969             12,898,969  

Equity Risk

          1,064,854             1,064,854  

Interest Rate Risk

          3,962,408             3,962,408  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 915,379,171     $ 422,813,280     $ 13,417,921     $ 1,351,610,372  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Australia

  $     $ (24,988,752   $     $ (24,988,752

Austria

          (72,742           (72,742

Belgium

          (2,714,573           (2,714,573

Brazil

    (2,643,052                 (2,643,052

Canada

    (25,721,819                 (25,721,819

China

    (96,561     (960,530           (1,057,091

Denmark

          (5,243,270           (5,243,270

Finland

          (720,381           (720,381

France

          (12,257,766           (12,257,766

Germany

          (15,909,556           (15,909,556

Hong Kong

          (3,445,737           (3,445,737

Israel

    (7,503,754                 (7,503,754

Italy

          (8,775,135           (8,775,135

Japan

          (39,408,755           (39,408,755

Netherlands

    (737,432     (9,215,805           (9,953,237

New Zealand

          (743,558           (743,558

Norway

          (2,342,398           (2,342,398

Peru

    (1,835,023                 (1,835,023

Portugal

          (884,096           (884,096

Singapore

    (2,880,413     (3,963,992           (6,844,405

Spain

          (7,252,987           (7,252,987

Sweden

    (2,465,674     (6,189,283           (8,654,957

Switzerland

          (9,041,734           (9,041,734

United Kingdom

          (28,303,094           (28,303,094

United States

    (351,006,234     (2,067,072           (353,073,306
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (394,889,962     (184,501,216           (579,391,178
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (1,724,238           (1,724,238
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (1,724,238           (1,724,238
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

          (25,461,251           (25,461,251
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (25,461,251           (25,461,251
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (3,219,925           (3,219,925

Futures Contracts

         

Equity Risk

    (2,847,884     (3,399,744           (6,247,628

Interest Rate Risk

    (66,757                 (66,757

Physical Commodity Contract Risk

    (2,363,497                 (2,363,497
                               


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund (continued)  
Liability Valuation Inputs (continued)  

Derivatives^ (continued)

         

Written Options

         

Credit Risk

  $     $ (199,847   $     $ (199,847

Equity Risk

    (9,383,169                 (9,383,169

Swap Contacts

         

Credit Risk

          (4,375,157           (4,375,157

Equity Risk

          (1,839,256           (1,839,256

Interest Rate Risk

          (3,578,195           (3,578,195
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (409,551,269   $ (228,298,829   $     $ (637,850,098
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Benchmark-Free Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 2,247,382,127     $     $     $ 2,247,382,127  

Short-Term Investments

    1,775,451                   1,775,451  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    2,249,157,578                   2,249,157,578  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 2,249,157,578     $     $     $ 2,249,157,578  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Benchmark-Free Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 12,676,339     $     $ 12,676,339  

Austria

          3,924,954             3,924,954  

Belgium

          5,893,830             5,893,830  

Brazil

    802,449       4,366,140             5,168,589  

Canada

    34,673,304       86,439             34,759,743  

China

    3,746,036       17,202,011       0 §      20,948,047  

Colombia

    13,896                   13,896  

Czech Republic

          115,341             115,341  

Denmark

          5,951,436             5,951,436  

Egypt

          105,056             105,056  

Finland

          3,421,792             3,421,792  

France

    1,791,241       23,902,041             25,693,282  

Germany

          19,195,148             19,195,148  

Greece

          386,955       0 §      386,955  

Hong Kong

          7,568,710             7,568,710  

Hungary

          4,807,920             4,807,920  

India

    981,890       12,012,289             12,994,179  

Indonesia

          8,146,869             8,146,869  

Ireland

          194,723             194,723  

Israel

    1,376,061       2,913,031             4,289,092  

Italy

    353,065       13,215,497             13,568,562  

Japan

    1,469,111       175,560,057             177,029,168  

Kuwait

          230,740             230,740  

Mexico

    4,811,289             0 §      4,811,289  

Netherlands

          18,684,268             18,684,268  

New Zealand

          139,329             139,329  

Norway

          6,658,685             6,658,685  

Peru

    402,439                   402,439  

Philippines

          263,772             263,772  

Poland

          2,149,343             2,149,343  

Portugal

          1,181,565             1,181,565  

Qatar

          721,156             721,156  

Russia

                0 §       

Saudi Arabia

          2,589,057             2,589,057  

Singapore

          6,811,727             6,811,727  
                               


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

South Africa

  $     $ 1,942,692     $     $ 1,942,692  

South Korea

    435,462       21,262,377             21,697,839  

Spain

          18,237,442             18,237,442  

Sweden

          5,579,611             5,579,611  

Switzerland

    1,964,011       12,817,545             14,781,556  

Taiwan

    154,656       25,593,715             25,748,371  

Thailand

          10,639,622             10,639,622  

Turkey

          361,756             361,756  

United Arab Emirates

          4,318,762             4,318,762  

United Kingdom

    11,921,623       23,387,024       0 §      35,308,647  

United States

    131,879,901                   131,879,901  

Vietnam

          423,734             423,734  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    196,776,434       485,640,500       0 §      682,416,934  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    1,409,899       3,433,283             4,843,182  

Colombia

    470,603                   470,603  

Germany

          3,372,461             3,372,461  

Russia

                0 §       

South Korea

          704,162             704,162  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    1,880,502       7,509,906       0 §      9,390,408  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Canada

                11,850       11,850  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                11,850       11,850  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    248,663,469                   248,663,469  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    248,663,469                   248,663,469  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    168,751,270       73,048,201             241,799,471  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    168,751,270       73,048,201             241,799,471  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    5,924,300       115,999,446             121,923,746  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    621,995,975       682,198,053       11,850       1,304,205,878  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

 

Futures Contracts

         

Equity Risk

          31,693             31,693  

Interest Rate Risk

    710,734                   710,734  

Swap Contracts

         

Credit Risk

          728,848             728,848  

Equity Risk

          47,015             47,015  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 622,706,709     $ 683,005,609     $ 11,850     $ 1,305,724,168  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Australia

  $     $ (6,541,278   $     $ (6,541,278

Austria

          (46,958           (46,958

Belgium

          (458,834           (458,834

Brazil

    (1,440,888                 (1,440,888

Canada

    (11,101,622                 (11,101,622

Denmark

          (2,008,424           (2,008,424

France

          (3,886,993           (3,886,993

Germany

          (6,920,205           (6,920,205

Israel

    (4,055,899                 (4,055,899

Italy

          (4,407,283           (4,407,283
                               


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Liability Valuation Inputs (continued)  

Common Stocks (continued)

         

Japan

  $     $ (13,501,738   $     $ (13,501,738

Netherlands

          (4,285,071           (4,285,071

Norway

          (1,466,376           (1,466,376

Peru

    (1,182,648                 (1,182,648

Singapore

    (1,380,791     (862,529           (2,243,320

Spain

          (2,909,047           (2,909,047

Sweden

    (1,593,010     (1,742,166           (3,335,176

Switzerland

          (2,613,277           (2,613,277

United Kingdom

          (10,781,402           (10,781,402

United States

    (76,268,711     (1,292,648           (77,561,359
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (97,023,569     (63,724,229           (160,747,798
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (917,531           (917,531
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (917,531           (917,531
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

 

Futures Contracts

         

Equity Risk

    (12,385                 (12,385

Swap Contacts

         

Credit Risk

          (705,643           (705,643

Equity Risk

          (391,577           (391,577
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (97,035,954   $ (65,738,980   $     $ (162,774,934
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Global Asset Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 396,223,198     $     $     $ 396,223,198  

Short-Term Investments

    44,492                   44,492  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    396,267,690                   396,267,690  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 396,267,690     $     $     $ 396,267,690  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Global Developed Equity Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 81,972,035     $     $     $ 81,972,035  

Short-Term Investments

    79,765                   79,765  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    82,051,800                   82,051,800  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 82,051,800     $     $     $ 82,051,800  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Global Equity Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 542,764,806     $     $     $ 542,764,806  

Short-Term Investments

    345,536                   345,536  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    543,110,342                   543,110,342  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 543,110,342     $     $     $ 543,110,342  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Consolidated Implementation Fund  
Asset Valuation Inputs  

Common Stocks

         

Argentina

  $ 4,518,538     $     $     $ 4,518,538  

Australia

          26,782,354             26,782,354  

Austria

          8,735,400             8,735,400  

Belgium

          12,128,716             12,128,716  

Brazil

    1,327,433       11,905,096             13,232,529  
                               


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Canada

  $ 77,106,687     $ 178,211     $     $ 77,284,898  

China

    7,709,433       36,529,769       1       44,239,203  

Colombia

    30,357                   30,357  

Czech Republic

          242,915             242,915  

Denmark

          13,584,836             13,584,836  

Egypt

          159,777             159,777  

Finland

          7,712,961             7,712,961  

France

    3,659,838       50,637,561             54,297,399  

Germany

          40,187,811             40,187,811  

Greece

          798,362             798,362  

Hong Kong

          16,411,613             16,411,613  

Hungary

          10,806,666             10,806,666  

India

    2,020,232       25,138,263       12,284       27,170,779  

Indonesia

    58,310       16,304,786             16,363,096  

Ireland

          468,281             468,281  

Israel

    2,871,995       6,129,102             9,001,097  

Italy

    769,250       28,607,917             29,377,167  

Japan

    2,885,910       364,870,689             367,756,599  

Kuwait

          505,997             505,997  

Mexico

    10,801,902             0 §      10,801,902  

Netherlands

          39,321,814             39,321,814  

New Zealand

          348,534             348,534  

Norway

          16,122,806             16,122,806  

Pakistan

          52,108             52,108  

Peru

    868,421                   868,421  

Philippines

          892,944             892,944  

Poland

          4,454,975             4,454,975  

Portugal

          5,165,053             5,165,053  

Qatar

          1,648,151             1,648,151  

Russia

                0 §      0 § 

Saudi Arabia

          5,362,339             5,362,339  

Singapore

          13,936,489             13,936,489  

South Africa

          5,188,354             5,188,354  

South Korea

    1,005,816       45,005,503             46,011,319  

Spain

          38,566,954             38,566,954  

Sweden

          12,026,701             12,026,701  

Switzerland

    3,691,710       27,095,079             30,786,789  

Taiwan

    270,648       53,316,550             53,587,198  

Thailand

          21,949,005             21,949,005  

Turkey

          791,880             791,880  

Ukraine

          179,333             179,333  

United Arab Emirates

          8,925,531             8,925,531  

United Kingdom

    24,970,526       61,287,413       0 §      86,257,939  

United States

    302,489,382             156,929       302,646,311  

Vietnam

          854,922             854,922  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    447,056,388       1,041,319,521       169,214       1,488,545,123  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    3,207,749       10,878,960             14,086,709  

Chile

    1,265,888                   1,265,888  

Colombia

    1,095,058                   1,095,058  

Germany

          6,633,933             6,633,933  

Russia

                0 §      0 § 

South Korea

          1,293,999             1,293,999  

United States

                450,870       450,870  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    5,568,695       18,806,892       450,870       24,826,457  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)  
Asset Valuation Inputs (continued)  

Rights/Warrants

         

Canada

  $     $     $ 1,087,174     $ 1,087,174  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                1,087,174       1,087,174  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    285,133                   285,133  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    285,133                   285,133  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    400,142,778       162,959,940             563,102,718  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    400,142,778       162,959,940             563,102,718  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    6,168,988       186,296,378             192,465,366  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    859,221,982       1,409,382,731       1,707,258       2,270,311,971  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

          65,380             65,380  

Interest Rate Risk

    1,543,945                   1,543,945  

Swap Contracts

         

Credit Risk

          1,438,515             1,438,515  

Equity Risk

          75,439             75,439  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 860,765,927     $ 1,410,962,065     $ 1,707,258     $ 2,273,435,250  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Australia

  $     $ (13,763,394   $     $ (13,763,394

Austria

          (105,793           (105,793

Belgium

          (962,478           (962,478

Brazil

    (3,023,505                 (3,023,505

Canada

    (23,387,772                 (23,387,772

Denmark

          (4,140,396           (4,140,396

France

          (8,106,877           (8,106,877

Germany

          (14,502,006           (14,502,006

Israel

    (8,415,530                 (8,415,530

Italy

          (9,196,213           (9,196,213

Japan

          (28,241,032           (28,241,032

Netherlands

          (9,074,670           (9,074,670

Norway

          (3,165,407           (3,165,407

Peru

    (2,481,570                 (2,481,570

Singapore

    (2,897,387     (1,804,621           (4,702,008

Spain

          (5,959,895           (5,959,895

Sweden

    (3,342,328     (3,501,687           (6,844,015

Switzerland

          (5,463,058           (5,463,058

United Kingdom

          (22,561,329           (22,561,329

United States

    (159,837,521     (2,634,662           (162,472,183
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (203,385,613     (133,183,518           (336,569,131
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (1,948,043           (1,948,043
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (1,948,043           (1,948,043
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    (26,459                 (26,459

Swap Contacts

         

Credit Risk

          (1,540,482           (1,540,482

Equity Risk

          (774,332           (774,332
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (203,412,072   $ (137,446,375   $     $ (340,858,447
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
International Developed Equity Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 355,350,754     $     $     $ 355,350,754  

Short-Term Investments

    280,991                   280,991  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    355,631,745                   355,631,745  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 355,631,745     $     $     $ 355,631,745  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
International Equity Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 326,787,216     $     $     $ 326,787,216  

Short-Term Investments

    431,373                   431,373  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    327,218,589                   327,218,589  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 327,218,589     $     $     $ 327,218,589  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
MAC Implementation Fund  
Asset Valuation Inputs  

Debt Obligations

         

U.S. Government

  $ 2,486,428     $     $     $ 2,486,428  

U.S. Government Agency

          1,008,512             1,008,512  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    2,486,428       1,008,512             3,494,940  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    15,852                   15,852  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    2,502,280       1,008,512             3,510,792  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Interest Rate Risk

    27,205                   27,205  

Swap Contracts

         

Credit Risk

          9,666             9,666  

Interest Rate Risk

          14,906             14,906  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 2,529,485     $ 1,033,084     $     $ 3,562,569  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

         

Futures Contracts

         

Interest Rate Risk

  $ (14,446   $     $     $ (14,446
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (14,446   $     $     $ (14,446
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Multi-Asset Credit Fund  
Asset Valuation Inputs  

Investment Funds

  $ 10,067,848     $     $     $ 10,067,848  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    10,067,848                   10,067,848  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 10,067,848     $     $     $ 10,067,848  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Strategic Opportunities Allocation Fund  
Asset Valuation Inputs  

Common Stocks

         

China

  $     $     $ 0 §    $ 0 § 

Russia

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    92,822,996                   92,822,996  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    92,822,996                   92,822,996  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Strategic Opportunities Allocation Fund (continued)  
Asset Valuation Inputs (continued)  

Debt Obligations

         

United States

  $ 100,074     $     $     $ 100,074  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    100,074                   100,074  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    139,965                   139,965  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    93,063,035             0 §      93,063,035  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 93,063,035     $     $ 0 §    $ 93,063,035  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  §

Represents the interest in securities that were determined to have a value of zero at May 31, 2025.

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for forward currency contracts which are based on unrealized appreciation/(depreciation). Excludes purchased options, if any, which are included in investments.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ financial statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

As of May 31, 2025, Alternative Allocation Fund’s Level 3 holdings include investments valued using unadjusted prices supplied by a third-party pricing source (e.g., broker quotes, vendors).

The following is a reconciliation of securities and derivatives, if any, for Funds in which significant unobservable inputs (Level 3) were used in determining value:

 

                     
    

Balances

as of
February 28,
2025

    Purchases     Sales     Accrued
Discounts/
Premiums
    Total
Realized
Gain/
(Loss)
    Change in
Unrealized
Appreciation
(Depreciation)
    Transfer
into
Level 3
    Transfer
out of
Level 3
   

Balances

as of

May 31,

2025

    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as
of May 31,
2025
 
Consolidated Alternative Allocation Fund                                
Common Stocks                      

United States

  $ 4,782     $     $     $     $     $     $     $     $ 4,782     $  
Rights/Warrants                      

Canada

    264,384                                                 264,384        

United States

    335,843                                                 335,843        
Investment Funds                      

United States

    14,784,129             (1,971,217                                   12,812,912        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 15,389,138     $     $ (1,971,217   $     $     $     $     $     $ 13,417,921     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                               

The following table summarizes the quantitative inputs used in the valuation of investments classified within Level 3 of the fair value hierarchy for the period ended May 31, 2025.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total Fair
Value ($)
    Valuation
Methodology
  Unobservable Inputs   Range (Weighted
Average)
Consolidated Alternative Allocation Fund                    

Common Stock

        Fair Value   Discount for lack of liquidity/marketability   $0 (N/A)

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of May 31, 2025, the value of these securities and/or derivatives for Consolidated Alternative Allocation Fund was $13,417,921. The inputs for these investments are not readily available or cannot be reasonably estimated.

  §

Represents the interest in securities that were determined to have a value of zero at May 31, 2025.


Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2025 is set forth below:

 

                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
    Distributions
of Realized
Gains*
     Net
Realized
Gain (Loss)
    Net
Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Consolidated Alternative Allocation Fund                     

GMO U.S. Treasury Fund, Class VI

   $ 25,000,000      $      $      $ 282,145     $      $     $     $ 25,000,000  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    
Benchmark-Free Allocation Fund                     

GMO Alternative Allocation Fund, Class VI

   $ 303,421,305      $ 6,496,182      $ 18,370,000      $     $      $ 1,012,146     $ (747,111   $ 291,812,522  

GMO Climate Change Fund, Class III

     19,164,880                                         511,657       19,676,537  

GMO Emerging Country Debt Fund, Class VI

     53,999,642               8,860,000                     385,156       (570,582     44,954,216  

GMO High Yield Fund, Class VI

     23,591,753                                         304,768       23,896,521  

GMO Implementation Fund

     1,870,255,937        42,994,060        166,002,606                     10,134,832       64,422,839       1,821,805,062  

GMO Opportunistic Income Fund, Class VI

     70,152,430        861,322        25,475,000        861,322              (332,529     31,046       45,237,269  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 2,340,585,947      $ 50,351,564      $ 218,707,606      $ 861,322     $      $ 11,199,605     $ 63,952,617     $ 2,247,382,127  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    
Benchmark-Free Fund                                  

GMO Alternative Allocation Fund, Class VI

   $ 148,175,792      $      $      $     $      $     $ (167,146   $ 148,008,646  

GMO Climate Change Fund, Class III

     10,208,470                                         272,542       10,481,012  

GMO Emerging Country Debt Fund, Class VI

     23,631,327                                         (46,109     23,585,218  

GMO High Yield Fund, Class VI

     11,502,608                                         148,595       11,651,203  

GMO Opportunistic Income Fund, Class VI

     37,539,543               14,099,166        451,684              (1,131,676     970,574       23,279,275  

GMO Resources Fund, Class VI

     29,715,241                                         (958,556     28,756,685  

GMO U.S. Treasury Fund, Class VI

     5,054,182        68,575,397        70,728,149        **                         2,901,430  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 265,827,163      $ 68,575,397      $ 84,827,315      $ 451,684     $      $ (1,131,676   $ 219,900     $ 248,663,469  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    
Global Asset Allocation Fund                                  

GMO Alternative Allocation Fund, Class VI

   $ 50,536,427      $ 1,837,730      $ 2,300,000      $     $      $ (279,585   $ 243,559     $ 50,038,131  

GMO Asset Allocation Bond Fund, Class VI

     24,036,024               2,000,000                     (541,189     (194,183     21,300,652  

GMO Climate Change Fund, Class III

     2,881,930                                         76,940       2,958,870  

GMO Emerging Country Debt Fund, Class VI

     12,611,660                                         (24,608     12,587,052  

GMO Emerging Markets ex-China Fund, Class VI

     10,519,860        887,667                                  1,156,146       12,563,673  

GMO Emerging Markets Fund, Class VI

     21,942,738        855,478                                  1,990,073       24,788,289  

GMO International Equity Fund, Class IV

     52,529,710        7,000,000        6,406,486                     927,155       5,984,147       60,034,526  

GMO International Opportunistic Value Fund, Class IV

     27,283,990                                         2,573,622       29,857,612  

GMO-Usonian Japan Value Creation Fund, Class VI

     22,586,604                                         2,878,685       25,465,289  

GMO Multi-Sector Fixed Income Fund, Class IV

     46,627,580               1,000,000                     (246,610     85,710       45,466,680  

GMO Opportunistic Income Fund, Class VI

     6,427,946        74,566        2,675,000        74,566              (271,933     244,678       3,800,257  

GMO Quality Cyclicals Fund, Class VI

     11,112,775        2,481,333        10,847,077        25,746       2,455,587        (3,103,780     356,749        

                                                                    


                 
Affiliate    Value,
beginning
of period
     Purchases      Sales
Proceeds
     Dividend
Income*
     Distributions
of Realized
Gains*
     Net
Realized
Gain (Loss)
    Net
Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Global Asset Allocation Fund (continued)                                   

GMO Quality Fund, Class VI

   $ 11,236,917      $ 992,840      $      $      $      $     $ (31,951   $ 12,197,806  

GMO Resources Fund, Class VI

     7,156,339                                          (230,849     6,925,490  

GMO Small Cap Quality Fund, Class VI

     10,785,331        798,295                                   (240,629     11,342,997  

GMO U.S. Equity Fund, Class VI

     21,428,020        12,164,259                                   (15,264     33,577,015  

GMO U.S. Opportunistic Value Fund, Class VI

     26,227,387        2,372,727                                   (1,171,195     27,428,919  

GMO U.S. Small Cap Value Fund, Class VI

     7,679,739                                          (266,111     7,413,628  

GMO U.S. Treasury Fund, Class VI

     4,211,034        13,745,278        9,480,000        44,847               600       (600     8,476,312  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 377,822,011      $ 43,210,173      $ 34,708,563      $ 145,159      $ 2,455,587      $ (3,515,342   $ 13,414,919     $ 396,223,198  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                     
Global Developed Equity Allocation Fund                            

GMO Climate Change Fund, Class III

   $ 577,171      $      $      $      $      $     $ 15,409     $ 592,580  

GMO Emerging Markets ex-China Fund, Class VI

     1,359,983        200,000                                   157,951       1,717,934  

GMO International Equity Fund, Class IV

     20,572,375        1,475,000        1,820,000                      512,477       1,767,259       22,507,111  

GMO International Opportunistic Value Fund, Class IV

     9,323,086               810,000                      132,973       711,945       9,358,004  

GMO-Usonian Japan Value Creation Fund, Class VI

     4,749,824               155,000                      15,711       582,613       5,193,148  

GMO Quality Cyclicals Fund, Class VI

     3,837,852        856,940        3,746,091        8,892        848,049        (1,005,892     57,191        

GMO Quality Fund, Class VI

     11,898,522        426,001                                   (165,794     12,158,729  

GMO Resources Fund, Class VI

     2,046,176                                          (66,005     1,980,171  

GMO Small Cap Quality Fund, Class VI

     3,567,931        575,000                                   (75,916     4,067,015  

GMO U.S. Equity Fund, Class VI

     6,918,488        2,978,343                                   (94,598     9,802,233  

GMO U.S. Opportunistic Value Fund, Class VI

     12,011,054        685,000                                   (573,179     12,122,875  

GMO U.S. Small Cap Value Fund, Class VI

     2,356,183        190,000                                   (73,948     2,472,235  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 79,218,645      $ 7,386,284      $ 6,531,091      $ 8,892      $ 848,049      $ (344,731   $ 2,242,928     $ 81,972,035  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                     
Global Equity Allocation Fund                            

GMO Climate Change Fund, Class III

   $ 4,770,951      $      $      $      $      $     $ 127,373     $ 4,898,324  

GMO Emerging Markets ex-China Fund, Class VI

     11,099,143               1,430,000                      (282,727     1,416,204       10,802,620  

GMO Emerging Markets Fund, Class VI

     58,252,269               9,190,000                      (3,251,314     8,280,793       54,091,748  

GMO International Equity Fund, Class IV

     129,922,729        6,991,790        20,080,000                      2,313,504       12,003,676       131,151,699  

GMO International Opportunistic Value Fund, Class IV

     66,127,288               11,680,000                      2,079,002       3,862,617       60,388,907  

GMO-Usonian Japan Value Creation Fund, Class VI

     36,143,874               7,390,000                      661,898       3,715,454       33,131,226  

GMO Quality Cyclicals Fund, Class VI

     29,259,864        6,533,333        28,560,281        67,789        6,465,544        (7,331,550     98,634        

GMO Quality Fund, Class VI

     71,083,473        1,210,797        5,950,000                      1,551,317       (2,546,674     65,348,913  

GMO Resources Fund, Class VI

     15,457,252                                          (498,621     14,958,631  

GMO Small Cap Quality Fund, Class VI

     26,485,454        3,299,999        2,040,000                      210,404       (786,117     27,169,740  

GMO U.S. Equity Fund, Class VI

     40,109,263        20,245,535        5,270,000                      (483,442     (127,871     54,473,485  

GMO U.S. Opportunistic Value Fund, Class VI

     77,261,885        2,260,000        5,370,000                      342,121       (3,970,787     70,523,219  

                                                                     


                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
    Distributions of
Realized
Gains*
     Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Global Equity Allocation Fund (continued)                           

GMO U.S. Small Cap Value Fund, Class VI

   $ 16,394,376      $      $      $     $      $     $ (568,082   $ 15,826,294  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 582,367,821      $ 40,541,454      $ 96,960,281      $ 67,789     $ 6,465,544      $ (4,190,787   $ 21,006,599     $ 542,764,806  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    

Consolidated Implementation Fund

 

          

GMO U.S. Treasury Fund, Class VI

   $ 4,043,535      $ 46,989,326      $ 50,747,728      $ **    $      $     $     $ 285,133  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    
International Developed Equity Allocation Fund                           

GMO International Equity Fund, Class IV

   $ 220,571,098      $ 2,810,731      $ 100,000      $     $      $ 29,151     $ 25,126,075     $ 248,437,055  

GMO International Opportunistic Value Fund, Class IV

     74,374,016        585,000        100,000                     12,615       7,009,647       81,881,278  

GMO-Usonian Japan Value Creation Fund, Class VI

     22,021,978        200,000                                  2,810,443       25,032,421  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 316,967,092      $ 3,595,731      $ 200,000      $     $      $ 41,766     $ 34,946,165     $ 355,350,754  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    
International Equity Allocation Fund                           

GMO Emerging Markets Fund, Class VI

   $ 86,475,260      $ 7,785,581      $ 7,714,053      $     $      $ (2,617,781   $ 10,386,637     $ 94,315,644  

GMO International Equity Fund, Class IV

     152,164,318        1,095,000        18,997,974                     3,929,678       11,886,037       150,077,059  

GMO International Opportunistic Value Fund, Class IV

     60,336,245        300,000        6,708,941                     988,724       4,279,268       59,195,296  

GMO-Usonian Japan Value Creation Fund, Class VI

     21,933,281               1,414,060                     63,461       2,616,535       23,199,217  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 320,909,104      $ 9,180,581      $ 34,835,028      $     $      $ 2,364,082     $ 29,168,477     $ 326,787,216  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    
Multi-Asset Credit Fund                           

GMO Emerging Country Debt Fund, Class VI

   $      $ 1,500,000      $      $     $      $     $ (2,927   $ 1,497,073  

GMO High Yield Fund, Class VI

            1,500,000                                  11,390       1,511,390  

GMO MAC Implementation Fund

            2,750,000        250,000                     748       35,010       2,535,758  

GMO Opportunistic Income Fund, Class VI

            4,518,277               18,277                    5,350       4,523,627  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $      $ 10,268,277      $ 250,000      $ 18,277     $      $ 748     $ 48,823     $ 10,067,848  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                    


                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
     Distributions of
Realized
Gains*
     Net
Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Strategic Opportunities Allocation Fund                            

GMO Alternative Allocation Fund, Class VI

   $ 26,416,167      $      $ 12,700,000      $      $      $ 265,181     $ (287,812   $ 13,693,536  

GMO Asset Allocation Bond Fund, Class VI

     10,547,466               4,815,000                      (63,881     (279,291     5,389,294  

GMO Climate Change Fund, Class III

     1,908,199               1,000,000                      (248,163     299,107       959,143  

GMO Emerging Country Debt Fund, Class VI

     6,687,088               3,500,000                      (783,739     759,311       3,162,660  

GMO Emerging Markets ex-China Fund, Class VI

     3,837,405        174,230        2,355,000                      (324,691     741,665       2,073,609  

GMO Emerging Markets Fund, Class VI

     10,017,128               5,675,000                      (1,563,609     2,442,228       5,220,747  

GMO International Equity Fund, Class IV

     29,219,632        2,844,941        19,808,686                      3,602,614       (122,632     15,735,869  

GMO International Opportunistic Value Fund, Class IV

     14,814,610        318,074        8,938,121                      1,590,003       (217,010     7,567,556  

GMO-Usonian Japan Value Creation Fund, Class VI

     12,298,788               7,216,117                      967,056       526,118       6,575,845  

GMO Multi-Sector Fixed Income Fund, Class IV

     6,438,354               3,220,000                      44,290       (66,427     3,196,217  

GMO Quality Cyclicals Fund, Class VI

     6,328,153        1,412,991        6,176,852        14,661        1,398,330        (1,589,284     24,992        

GMO Quality Fund, Class VI

     5,954,138        579,742        3,430,000                      605,425       (615,316     3,093,989  

GMO Resources Fund, Class VI

     3,617,649               1,530,000                      (586,500     469,801       1,970,950  

GMO Small Cap Quality Fund, Class VI

     5,417,916        1,132,444        3,470,000                      45,845       (117,587     3,008,618  

GMO U.S. Equity Fund, Class VI

     9,607,701        6,101,775        8,290,000                      (281,591     255,396       7,393,281  

GMO U.S. Opportunistic Value Fund, Class VI

     13,827,042        1,438,209        7,350,000                      174,488       (767,851     7,321,888  

GMO U.S. Treasury Fund, Class VI

     3,675,432        6,384,363        3,600,000        32,654               43       (44     6,459,794  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 170,612,868      $ 20,386,769      $ 103,074,776      $ 47,315      $ 1,398,330      $ 1,853,487     $ 3,044,648     $ 92,822,996  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                     

 

*

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2025 through May 31, 2025. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2026.

**

Excludes income from investment of cash collateral from securities lending in GMO U.S. Treasury Fund. Income (net of fee rebates paid to the borrower and fees paid to the lending agent) from investment of cash collateral from securities lending in GMO U.S. Treasury Fund was $38,080 and $48,135 in Benchmark-Free Fund and Consolidated Implementation Fund, respectively, during the period.

Subsequent events

Subsequent to May 31, 2025, GMO International Developed Equity Allocation Fund and GMO MAC Implementation Fund received redemption requests in the amounts of $203,825,614 and $766,800, respectively.

***

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.