Mercer US Small/Mid Cap Equity Fund
Schedule of Investments
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
COMMON STOCKS — 96.3%
 
Basic Materials — 2.3%
38,429
 
ATI, Inc.*
3,317,960
40,200
 
Cabot Corp.
3,015,000
8,300
 
CF Industries Holdings, Inc.
763,600
15,500
 
Eastman Chemical Co.
1,157,230
256,052
 
Element Solutions, Inc.
5,799,578
63,040
 
International Paper Co.
2,952,163
58,700
 
Koppers Holdings, Inc.
1,887,205
21,717
 
Magnera Corp.*
262,341
88,500
 
Mosaic Co.
3,228,480
5,000
 
NewMarket Corp.
3,454,300
28,393
 
Quaker Chemical Corp.(a)
3,178,312
51,263
 
RPM International, Inc.
5,630,728
14,800
 
Steel Dynamics, Inc.
1,894,548
 
 
36,541,445
 
Communications — 2.8%
47,900
 
AMC Networks, Inc. Class A*
300,333
48,000
 
Cargurus, Inc.*
1,606,560
38,763
 
Ciena Corp.*
3,152,595
73,925
 
ePlus, Inc.*
5,329,992
19,500
 
Expedia Group, Inc.
3,289,260
101,000
 
Fox Corp. Class A
5,660,040
129,400
 
Gen Digital, Inc.
3,804,360
6,605
 
InterDigital, Inc.
1,481,039
67,800
 
Match Group, Inc.
2,094,342
20,100
 
Nexstar Media Group, Inc.
3,476,295
84,720
 
Pinterest, Inc. Class A*
3,038,059
45,510
 
Roku, Inc.*
3,999,874
60,300
 
Sirius XM Holdings, Inc.
1,385,091
92,100
 
TEGNA, Inc.
1,543,596
180,571
 
TripAdvisor, Inc.*
2,356,452
88,979
 
Yelp, Inc.*
3,049,310
 
 
45,567,198
 
Consumer, Cyclical — 15.7%
46,700
 
Allison Transmission Holdings, Inc.
4,436,033
32,200
 
Autoliv, Inc.
3,603,180
7,900
 
AutoNation, Inc.*
1,569,335
197,499
 
BJ's Wholesale Club Holdings, Inc.*
21,296,317
89,400
 
Bloomin' Brands, Inc.
769,734
61,100
 
BorgWarner, Inc.
2,045,628
17,340
 
Brinker International, Inc.*
3,126,922
20,800
 
Brunswick Corp.
1,148,992
23,381
 
Burlington Stores, Inc.*
5,439,356
15,900
 
Carter's, Inc.
479,067
7,635
 
Casey's General Stores, Inc.
3,895,911
16,334
 
Cavco Industries, Inc.*
7,095,980
45,849
 
Churchill Downs, Inc.
4,630,749
See accompanying Notes to the Schedule of Investments
1

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Consumer, Cyclical — continued
25,900
 
Crocs, Inc.*
2,623,152
9,200
 
Dick's Sporting Goods, Inc.
1,819,852
55,383
 
Dorman Products, Inc.*
6,793,833
25,204
 
Freshpet, Inc.*
1,712,864
106,600
 
Gap, Inc.
2,324,946
101,984
 
GCI Liberty, Inc.*(b)(c)
23,500
 
Genesco, Inc.*
462,715
249,016
 
Genius Sports Ltd.*
2,589,766
93,935
 
Gentherm, Inc.*
2,657,421
57,083
 
GMS, Inc.*
6,207,776
102,000
 
Goodyear Tire & Rubber Co.*
1,057,740
23,492
 
Group 1 Automotive, Inc.
10,259,191
73,789
 
Guess?, Inc.(a)
892,109
79,000
 
Harley-Davidson, Inc.(a)
1,864,400
47,600
 
Haverty Furniture Cos., Inc.
968,660
14,500
 
Jack in the Box, Inc.(a)
253,170
26,900
 
Kohl's Corp.
228,112
61,300
 
La-Z-Boy, Inc.
2,278,521
47,158
 
LGI Homes, Inc.*
2,429,580
113,366
 
Life Time Group Holdings, Inc.*
3,438,391
23,581
 
Lithia Motors, Inc.
7,966,133
158,869
 
LKQ Corp.
5,879,742
94,700
 
Macy's, Inc.
1,104,202
138,500
 
Mattel, Inc.*
2,731,220
47,200
 
MGM Resorts International*(a)
1,623,208
110,700
 
MillerKnoll, Inc.
2,149,794
40,100
 
Movado Group, Inc.
611,525
20,574
 
Murphy USA, Inc.
8,369,503
39,500
 
ODP Corp.*
716,135
24,084
 
Ollie's Bargain Outlet Holdings, Inc.*(a)
3,173,790
149,015
 
OPENLANE, Inc.*
3,643,417
27,641
 
Papa John's International, Inc.
1,352,751
29,300
 
Phinia, Inc.
1,303,557
27,237
 
Planet Fitness, Inc. Class A*
2,970,195
12,900
 
Pool Corp.(a)
3,760,092
33,121
 
PriceSmart, Inc.(a)
3,479,030
38,100
 
PulteGroup, Inc.
4,018,026
70,570
 
Pursuit Attractions & Hospitality, Inc.*
2,034,533
25,100
 
PVH Corp.
1,721,860
56,653
 
Red Rock Resorts, Inc. Class A
2,947,656
81,900
 
Sally Beauty Holdings, Inc.*
758,394
36,400
 
ScanSource, Inc.*
1,521,884
32,490
 
SharkNinja, Inc.*
3,216,185
56,438
 
SiteOne Landscape Supply, Inc.*
6,825,612
109,140
 
Tapestry, Inc.
9,583,583
78,850
 
Texas Roadhouse, Inc.
14,777,278
39,100
 
Toll Brothers, Inc.
4,462,483
44,000
 
Travel & Leisure Co.
2,270,840
199,000
 
Tri Pointe Homes, Inc.*
6,358,050
2See accompanying Notes to the Schedule of Investments

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Consumer, Cyclical — continued
43,443
 
UniFirst Corp.
8,176,841
33,800
 
United Airlines Holdings, Inc.*
2,691,494
96,084
 
United Parks & Resorts, Inc.*(a)
4,530,361
28,341
 
Vail Resorts, Inc.(a)
4,453,221
11,766
 
VSE Corp.
1,541,111
61,300
 
Wabash National Corp.
651,619
48,828
 
WESCO International, Inc.
9,042,946
13,800
 
Whirlpool Corp.(a)
1,399,596
 
 
254,217,270
 
Consumer, Non-cyclical — 22.9%
59,400
 
ABM Industries, Inc.
2,804,274
132,333
 
Acadia Healthcare Co., Inc.*
3,002,636
157,500
 
ACCO Brands Corp.
563,850
258,200
 
ADT, Inc.
2,186,954
29,380
 
Affirm Holdings, Inc.*
2,031,333
256,500
 
Albertsons Cos., Inc. Class A
5,517,315
633,468
 
Alight, Inc. Class A
3,585,429
75,454
 
Alkermes PLC*
2,158,739
203,471
 
API Group Corp.*
10,387,195
64,898
 
Ascendis Pharma AS, ADR*
11,201,395
3,740
 
Avery Dennison Corp.
656,258
55,805
 
Azenta, Inc.*
1,717,678
122,496
 
Bausch & Lomb Corp.*(a)
1,593,673
65,000
 
Baxter International, Inc.
1,968,200
26,040
 
Bicycle Therapeutics PLC, ADR*
180,978
13,006
 
Bio-Rad Laboratories, Inc. Class A*
3,138,608
27,491
 
Booz Allen Hamilton Holding Corp.
2,862,638
91,713
 
Bright Horizons Family Solutions, Inc.*
11,334,810
3,100
 
Brink's Co.
276,799
27,900
 
Bunge Global SA
2,239,812
11,496
 
Colliers International Group, Inc.(a)
1,500,688
52,900
 
Conagra Brands, Inc.
1,082,863
436,925
 
CoreCivic, Inc.*
9,206,010
13,600
 
DaVita, Inc.*
1,937,320
60,000
 
Deluxe Corp.
954,600
159,901
 
Dole PLC
2,237,015
156,208
 
Embecta Corp.
1,513,656
61,371
 
Enovis Corp.*
1,924,595
17,460
 
Euronet Worldwide, Inc.*
1,770,095
92,464
 
EVERTEC, Inc.
3,333,327
126,500
 
Exelixis, Inc.*
5,575,487
79,500
 
Fresh Del Monte Produce, Inc.
2,577,390
47,517
 
Glaukos Corp.*
4,908,031
106,687
 
Globus Medical, Inc. Class A*
6,296,667
24,913
 
Grand Canyon Education, Inc.*
4,708,557
115,042
 
GXO Logistics, Inc.*(a)
5,602,545
44,200
 
H&R Block, Inc.
2,426,138
75,868
 
Haemonetics Corp.*
5,660,511
See accompanying Notes to the Schedule of Investments
3

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Consumer, Non-cyclical — continued
96,677
 
Halozyme Therapeutics, Inc.*
5,029,138
41,400
 
Harmony Biosciences Holdings, Inc.*
1,308,240
56,843
 
HealthEquity, Inc.*
5,954,873
65,700
 
Herbalife Ltd.*
566,334
53,970
 
Hologic, Inc.*
3,516,685
33,664
 
ICU Medical, Inc.*
4,448,698
56,200
 
Incyte Corp.*
3,827,220
41,004
 
Ingles Markets, Inc. Class A
2,598,833
35,900
 
Ingredion, Inc.
4,868,758
125,888
 
Insmed, Inc.*
12,669,368
38,411
 
Insperity, Inc.
2,309,269
61,513
 
Integer Holdings Corp.*
7,564,254
96,236
 
Jazz Pharmaceuticals PLC*
10,212,564
33,653
 
Lancaster Colony Corp.
5,814,229
29,380
 
Lantheus Holdings, Inc.*(a)
2,405,047
124,584
 
Laureate Education, Inc.*
2,912,774
76,096
 
Legend Biotech Corp., ADR*
2,700,647
254,492
 
LifeStance Health Group, Inc.*
1,315,724
33,000
 
ManpowerGroup, Inc.
1,333,200
11,378
 
MarketAxess Holdings, Inc.
2,541,163
17,830
 
Masimo Corp.*
2,999,363
10,872
 
Medpace Holdings, Inc.*
3,412,286
28,178
 
Merit Medical Systems, Inc.*
2,634,079
45,600
 
Merus NV*
2,398,560
190,283
 
Molson Coors Beverage Co. Class B
9,150,709
22,300
 
MoonLake Immunotherapeutics*(a)
1,052,560
71,093
 
Natera, Inc.*
12,010,451
67,727
 
Neurocrine Biosciences, Inc.*
8,512,607
203,766
 
Nomad Foods Ltd.
3,461,984
70,293
 
Option Care Health, Inc.*
2,283,117
113,900
 
Organon & Co.(a)
1,102,552
40,591
 
Paylocity Holding Corp.*
7,354,683
11,028
 
Penumbra, Inc.*
2,830,116
78,472
 
Perdoceo Education Corp.
2,565,250
125,029
 
Performance Food Group Co.*
10,936,287
127,908
 
Privia Health Group, Inc.*
2,941,884
84,874
 
PROCEPT BioRobotics Corp.*(a)
4,888,742
41,700
 
PROG Holdings, Inc.
1,223,895
212,037
 
Rentokil Initial PLC, ADR(a)
5,088,888
11,400
 
Repligen Corp.*
1,417,932
33,580
 
Revolution Medicines, Inc.*
1,235,408
36,228
 
Rhythm Pharmaceuticals, Inc.*
2,289,247
215,319
 
Roivant Sciences Ltd.*(a)
2,426,645
48,320
 
Rollins, Inc.
2,726,214
158,845
 
Smith & Nephew PLC, ADR(a)
4,865,422
29,340
 
Soleno Therapeutics, Inc.*
2,458,105
6,950
 
Sprouts Farmers Market, Inc.*
1,144,248
61,202
 
Stevanato Group SpA(a)
1,495,165
189,393
 
Tandem Diabetes Care, Inc.*
3,530,285
4See accompanying Notes to the Schedule of Investments

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Consumer, Non-cyclical — continued
14,000
 
Tenet Healthcare Corp.*
2,464,000
67,380
 
Toast, Inc. Class A*
2,984,260
38,742
 
TransUnion
3,409,296
47,374
 
Travere Therapeutics, Inc.*
701,135
15,340
 
United Therapeutics Corp.*
4,407,949
14,100
 
Universal Health Services, Inc. Class B
2,554,215
59,603
 
Universal Technical Institute, Inc.*
2,019,946
61,200
 
Upbound Group, Inc.
1,536,120
98,900
 
Varex Imaging Corp.*
857,463
54,920
 
Vaxcyte, Inc.*
1,785,449
44,480
 
Veracyte, Inc.*
1,202,294
91,252
 
Vericel Corp.*
3,882,773
11,940
 
Verona Pharma PLC, ADR*
1,129,285
168,200
 
Viatris, Inc.
1,502,026
45,378
 
WEX, Inc.*(a)
6,665,574
188,170
 
WillScot Holdings Corp.
5,155,858
26,070
 
Xenon Pharmaceuticals, Inc.*
815,991
 
 
370,031,405
 
Energy — 3.5%
82,600
 
Antero Resources Corp.*
3,327,128
127,000
 
APA Corp.
2,322,830
9,600
 
Chord Energy Corp.
929,760
26,800
 
CNX Resources Corp.*
902,624
152,188
 
Delek U.S. Holdings, Inc.
3,223,342
69,670
 
Flowco Holdings, Inc. Class A
1,240,823
63,200
 
Helmerich & Payne, Inc.
958,112
129,755
 
HF Sinclair Corp.
5,330,335
260,101
 
Magnolia Oil & Gas Corp. Class A(a)
5,847,070
139,931
 
Matador Resources Co.
6,677,507
94,200
 
Murphy Oil Corp.(a)
2,119,500
134,832
 
Ovintiv, Inc.
5,130,358
727,419
 
Permian Resources Corp.
9,907,447
123,137
 
SM Energy Co.
3,042,715
134,852
 
SunCoke Energy, Inc.
1,158,379
62,720
 
TechnipFMC PLC
2,160,077
44,195
 
Warrior Met Coal, Inc.
2,025,457
 
 
56,303,464
 
Financial — 18.5%
61,334
 
Agree Realty Corp., REIT
4,481,062
40,400
 
Ally Financial, Inc.
1,573,580
81,800
 
American Assets Trust, Inc., REIT
1,615,550
44,750
 
Annaly Capital Management, Inc., REIT
842,195
107,000
 
Apple Hospitality REIT, Inc., REIT
1,248,690
60,900
 
ARES Capital Corp.
1,337,364
84,400
 
Associated Banc-Corp.
2,058,516
21,744
 
Assurant, Inc.
4,294,223
75,856
 
Assured Guaranty Ltd.
6,607,058
See accompanying Notes to the Schedule of Investments
5

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Financial — continued
144,116
 
Atlantic Union Bankshares Corp.
4,507,948
90,870
 
Axis Capital Holdings Ltd.
9,434,123
39,667
 
Axos Financial, Inc.*
3,016,279
35,400
 
Bank of NT Butterfield & Son Ltd.
1,567,512
107,100
 
Blue Owl Capital Corp.
1,535,814
164,193
 
Blue Owl Capital, Inc.
3,154,148
177,700
 
Brandywine Realty Trust, REIT
762,333
80,900
 
Brixmor Property Group, Inc., REIT
2,106,636
6,897
 
C&F Financial Corp.
425,752
271,533
 
Cannae Holdings, Inc.(a)
5,661,463
31,000
 
Cathay General Bancorp
1,411,430
59,900
 
Chimera Investment Corp., REIT
830,813
67,300
 
Citizens Financial Group, Inc.
3,011,675
212,500
 
City Office REIT, Inc., REIT
1,134,750
65,915
 
CNA Financial Corp.
3,067,025
129,300
 
CNO Financial Group, Inc.
4,988,394
36,200
 
Comerica, Inc.
2,159,330
83,380
 
Core Scientific, Inc.*
1,423,297
39,800
 
Corebridge Financial, Inc.
1,412,900
35,118
 
Cullen/Frost Bankers, Inc.
4,514,068
24,612
 
EastGroup Properties, Inc., REIT
4,113,157
39,300
 
Employers Holdings, Inc.
1,854,174
10,902
 
Enova International, Inc.*
1,215,791
59,300
 
EPR Properties, REIT
3,454,818
29,500
 
Equitable Holdings, Inc.
1,654,950
24,300
 
Essent Group Ltd.
1,475,739
39,776
 
Federated Hermes, Inc.
1,762,872
61,200
 
Fidelis Insurance Holdings Ltd.
1,014,696
19,700
 
Fidelity National Financial, Inc.
1,104,382
15,700
 
Fifth Third Bancorp
645,741
27,100
 
Financial Institutions, Inc.
695,928
90,100
 
First BanCorp
1,876,783
62,100
 
First Busey Corp.
1,421,159
63,800
 
First Commonwealth Financial Corp.
1,035,474
247,400
 
First Horizon Corp.
5,244,880
96,000
 
FNB Corp.
1,399,680
848,357
 
Genworth Financial, Inc.*
6,600,217
75,917
 
Glacier Bancorp, Inc.
3,270,504
12,700
 
Globe Life, Inc.
1,578,483
17,960
 
Hamilton Lane, Inc. Class A
2,552,475
28,700
 
Hancock Whitney Corp.
1,647,380
106,812
 
Hanmi Financial Corp.
2,636,120
175,269
 
Healthpeak Properties, Inc., REIT
3,068,960
75,500
 
Highwoods Properties, Inc., REIT
2,347,295
83,300
 
Hope Bancorp, Inc.
893,809
86,500
 
Horizon Bancorp, Inc.
1,330,370
197,400
 
Host Hotels & Resorts, Inc., REIT
3,032,064
30,114
 
Howard Hughes Holdings, Inc.*
2,032,695
73,800
 
Independent Bank Corp.
2,391,858
6See accompanying Notes to the Schedule of Investments

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Financial — continued
64,000
 
Industrial Logistics Properties Trust, REIT
291,200
72,400
 
International Money Express, Inc.*
730,516
13,000
 
Jackson Financial, Inc. Class A
1,154,270
34,392
 
Jefferies Financial Group, Inc.
1,880,898
181,144
 
KeyCorp
3,155,528
44,400
 
Kilroy Realty Corp., REIT(a)
1,523,364
19,254
 
Kinsale Capital Group, Inc.(a)
9,317,011
56,600
 
Kite Realty Group Trust, REIT
1,281,990
48,480
 
Lincoln National Corp.
1,677,408
15,863
 
LPL Financial Holdings, Inc.
5,948,149
80,203
 
McGrath RentCorp
9,300,340
135,300
 
MGIC Investment Corp.
3,766,752
139,500
 
Navient Corp.(a)
1,966,950
199,800
 
New Mountain Finance Corp.
2,107,890
81,808
 
OceanFirst Financial Corp.
1,440,639
54,000
 
OFG Bancorp
2,311,200
70,700
 
Old Republic International Corp.
2,717,708
26,200
 
Omega Healthcare Investors, Inc., REIT
960,230
16,400
 
OneMain Holdings, Inc.
934,800
122,700
 
Outfront Media, Inc., REIT
2,002,464
240,380
 
P10, Inc. Class A(a)
2,456,684
195,700
 
Piedmont Realty Trust, Inc., REIT
1,426,653
60,074
 
Pinnacle Financial Partners, Inc.
6,632,770
30,795
 
Piper Sandler Cos.
8,559,162
25,500
 
Popular, Inc.
2,810,355
14,700
 
Preferred Bank
1,272,212
114,747
 
Radian Group, Inc.
4,133,187
72,100
 
Regions Financial Corp.
1,695,792
15,684
 
Reinsurance Group of America, Inc.
3,111,078
44,650
 
Ryan Specialty Holdings, Inc.
3,035,754
78,700
 
Sabra Health Care REIT, Inc., REIT
1,451,228
104,400
 
Service Properties Trust, REIT
249,516
46,352
 
StepStone Group, Inc. Class A
2,572,536
57,606
 
Stifel Financial Corp.
5,978,351
16,518
 
StoneX Group, Inc.*
1,505,451
37,074
 
Sun Communities, Inc., REIT
4,689,490
56,200
 
Synchrony Financial
3,750,788
18,357
 
Tradeweb Markets, Inc. Class A
2,687,465
33,558
 
UMB Financial Corp.
3,528,959
172,600
 
Uniti Group, Inc., REIT*
745,632
20,100
 
Universal Insurance Holdings, Inc.
557,373
72,000
 
Unum Group
5,814,720
127,700
 
Valley National Bancorp
1,140,361
48,700
 
Victory Capital Holdings, Inc. Class A
3,100,729
101,024
 
Voya Financial, Inc.
7,172,704
129,900
 
Western Union Co.
1,093,758
5,418
 
White Mountains Insurance Group Ltd.
9,729,211
51,241
 
Wintrust Financial Corp.
6,352,859
See accompanying Notes to the Schedule of Investments
7

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Financial — continued
54,300
 
Zions Bancorp NA
2,820,342
 
 
298,080,809
 
Government — 0.1%
58,816
 
Banco Latinoamericano de Comercio Exterior SA
2,370,285
 
Industrial — 18.6%
36,788
 
Advanced Energy Industries, Inc.
4,874,410
32,400
 
AGCO Corp.
3,342,384
24,200
 
Allegion PLC
3,487,704
42,100
 
Apogee Enterprises, Inc.
1,709,260
12,380
 
Applied Industrial Technologies, Inc.
2,877,731
23,057
 
AptarGroup, Inc.
3,606,807
11,500
 
ArcBest Corp.
885,615
18,198
 
Armstrong World Industries, Inc.
2,956,083
31,100
 
Arrow Electronics, Inc.*
3,963,073
65,664
 
Atkore, Inc.
4,632,595
5,110
 
Axon Enterprise, Inc.*
4,230,773
10,625
 
Badger Meter, Inc.
2,602,594
21,600
 
Boise Cascade Co.
1,875,312
21,000
 
Builders FirstSource, Inc.*
2,450,490
26,980
 
BWX Technologies, Inc.
3,886,739
43,486
 
Casella Waste Systems, Inc. Class A*
5,017,415
36,906
 
Chart Industries, Inc.*
6,076,573
8,074
 
Clean Harbors, Inc.*
1,866,547
617,421
 
CNH Industrial NV
8,001,776
133,125
 
Cognex Corp.
4,222,725
22,940
 
Coherent Corp.*
2,046,477
34,052
 
Comfort Systems USA, Inc.
18,259,023
19,000
 
Covenant Logistics Group, Inc.
458,090
28,785
 
Eagle Materials, Inc.
5,817,736
64,100
 
Energizer Holdings, Inc.
1,292,256
21,280
 
Esab Corp.
2,565,304
34,249
 
Exponent, Inc.
2,558,743
10,560
 
Fabrinet*
3,111,821
89,384
 
Federal Signal Corp.
9,512,245
115,100
 
Flex Ltd.*
5,745,792
44,794
 
Flowserve Corp.
2,344,966
39,370
 
FTAI Aviation Ltd.(a)
4,529,125
438,400
 
Gates Industrial Corp. PLC*
10,096,352
17,612
 
Generac Holdings, Inc.*
2,522,215
28,200
 
Greenbrier Cos., Inc.
1,298,610
21,300
 
Greif, Inc. Class A
1,384,287
22,500
 
Griffon Corp.
1,628,325
14,330
 
HEICO Corp. Class A
3,707,887
34,596
 
Hexcel Corp.
1,954,328
28,794
 
Huntington Ingalls Industries, Inc.
6,952,599
49,962
 
IDEX Corp.
8,771,828
63,958
 
ITT, Inc.
10,030,533
8See accompanying Notes to the Schedule of Investments

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Industrial — continued
41,525
 
Jabil, Inc.
9,056,602
224,801
 
Janus International Group, Inc.*
1,829,880
49,718
 
Karman Holdings, Inc.*
2,504,296
33,747
 
Knife River Corp.*
2,755,105
36,274
 
Leonardo DRS, Inc.
1,686,016
31,933
 
Lincoln Electric Holdings, Inc.
6,620,350
27,056
 
Loar Holdings, Inc.*
2,331,416
72,589
 
Mirion Technologies, Inc.*
1,562,841
14,700
 
Mohawk Industries, Inc.*
1,541,148
73,000
 
Mueller Industries, Inc.
5,801,310
32,703
 
Nordson Corp.
7,010,542
64,000
 
O-I Glass, Inc.*
943,360
36,000
 
Oshkosh Corp.
4,087,440
20,500
 
Owens Corning
2,819,160
16,874
 
Powell Industries, Inc.(a)
3,551,133
25,300
 
Primoris Services Corp.
1,971,882
30,821
 
RBC Bearings, Inc.*
11,859,921
19,440
 
Regal Rexnord Corp.
2,818,022
39,540
 
Rocket Lab Corp.*
1,414,346
32,200
 
Ryder System, Inc.
5,119,800
54,900
 
Ryerson Holding Corp.(a)
1,184,193
13,500
 
Sanmina Corp.*
1,320,705
127,842
 
Schneider National, Inc. Class B
3,087,384
41,700
 
Scorpio Tankers, Inc.
1,631,721
24,002
 
Simpson Manufacturing Co., Inc.
3,727,751
4,000
 
Snap-on, Inc.
1,244,720
77,370
 
StandardAero, Inc.*
2,448,760
66,976
 
TD SYNNEX Corp.
9,088,643
74,600
 
Textron, Inc.
5,989,634
44,517
 
Trimble, Inc.*
3,382,402
7,854
 
Universal Logistics Holdings, Inc.(a)
199,335
193,473
 
Vontier Corp.
7,139,154
75,700
 
World Kinect Corp.(a)
2,146,095
15,830
 
XPO, Inc.*
1,999,171
 
 
301,029,386
 
Technology — 9.8%
78,227
 
Alkami Technology, Inc.*
2,357,762
72,338
 
Allegro MicroSystems, Inc.*
2,473,236
44,000
 
Amdocs Ltd.
4,014,560
89,300
 
Amkor Technology, Inc.
1,874,407
16,632
 
CACI International, Inc. Class A*
7,928,474
577,174
 
CCC Intelligent Solutions Holdings, Inc.*
5,431,207
19,265
 
Cellebrite DI Ltd.*
308,240
52,556
 
Chime Financial, Inc. Class A*
1,813,707
44,700
 
Cirrus Logic, Inc.*
4,660,198
89,601
 
Clearwater Analytics Holdings, Inc. Class A*
1,964,950
15,278
 
Commvault Systems, Inc.*
2,663,414
29,500
 
CSG Systems International, Inc.
1,926,645
See accompanying Notes to the Schedule of Investments
9

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Technology — continued
33,309
 
CyberArk Software Ltd.*
13,552,766
27,670
 
Descartes Systems Group, Inc.*(a)
2,812,517
37,896
 
Doximity, Inc. Class A*
2,324,541
145,200
 
Dropbox, Inc. Class A*
4,152,720
52,290
 
Dynatrace, Inc.*
2,886,931
67,418
 
Entegris, Inc.
5,437,262
57,038
 
ExlService Holdings, Inc.*
2,497,694
38,359
 
Genpact Ltd.
1,688,180
47,504
 
Globant SA*(a)
4,315,263
13,314
 
Guidewire Software, Inc.*
3,134,781
37,551
 
Hinge Health, Inc. Class A*
1,943,264
48,091
 
Kyndryl Holdings, Inc.*
2,017,898
75,809
 
MACOM Technology Solutions Holdings, Inc.*
10,862,672
22,272
 
Manhattan Associates, Inc.*
4,398,052
19,825
 
MKS, Inc.(a)
1,969,812
9,810
 
Monday.com Ltd.*
3,085,049
49,109
 
nCino, Inc.*(a)
1,373,579
21,700
 
NCR Atleos Corp.*
619,101
137,211
 
NCR Voyix Corp.*(a)
1,609,485
8,596
 
Nova Ltd.*(a)
2,365,619
23,970
 
Okta, Inc.*
2,396,281
72,800
 
Photronics, Inc.*
1,370,824
208,500
 
Playtika Holding Corp.
986,205
31,036
 
Power Integrations, Inc.
1,734,912
66,194
 
Procore Technologies, Inc.*
4,528,993
43,441
 
Pure Storage, Inc. Class A*
2,501,333
24,011
 
Rambus, Inc.*
1,537,184
213,798
 
SailPoint, Inc.*
4,887,422
62,420
 
Samsara, Inc. Class A*
2,483,068
17,416
 
Science Applications International Corp.
1,961,216
59,376
 
Semtech Corp.*
2,680,233
27,300
 
ServiceTitan, Inc. Class A*
2,926,014
16,652
 
Silicon Laboratories, Inc.*
2,453,839
14,900
 
Skyworks Solutions, Inc.
1,110,348
8,741
 
SPS Commerce, Inc.*
1,189,563
33,900
 
Twilio, Inc. Class A*
4,215,804
4,370
 
Tyler Technologies, Inc.*
2,590,711
20,872
 
Workiva, Inc.*
1,428,688
107,700
 
Xerox Holdings Corp.(a)
567,579
15,775
 
Zebra Technologies Corp. Class A*
4,864,379
 
 
158,878,582
 
Utilities — 2.1%
43,722
 
IDACORP, Inc.
5,047,705
24,700
 
National Fuel Gas Co.
2,092,337
92,443
 
Northwestern Energy Group, Inc.
4,742,326
14,300
 
NRG Energy, Inc.
2,296,294
91,064
 
Portland General Electric Co.
3,699,930
57,393
 
Southwest Gas Holdings, Inc.
4,269,465
10See accompanying Notes to the Schedule of Investments

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Utilities — continued
21,109
 
Talen Energy Corp.*
6,137,864
67,162
 
TXNM Energy, Inc.
3,782,564
37,100
 
UGI Corp.
1,351,182
 
 
33,419,667
 
TOTAL COMMON STOCKS (COST $1,354,875,900)
1,556,439,511
Par Value ($)
 
Description
Value ($)
 
Short-Term Investment — 0.6%
 
Mutual Fund - Securities Lending Collateral — 0.6%
9,544,800
 
State Street Navigator Securities Lending Government Money Market Portfolio,
4.35%(d)(e)
9,544,800
 
TOTAL SHORT-TERM INVESTMENT (COST $9,544,800)
9,544,800
 
TOTAL INVESTMENTS96.9%
(Cost $1,364,420,700)
1,565,984,311
 
Other Assets and Liabilities (net) — 3.1%
49,760,148
 
NET ASSETS — 100.0%
$1,615,744,459
 
Notes to Schedule of Investments:
*
Non-income producing security.
(a)
All or a portion of this security is out on loan.
(b)
Level 3 - significant unobservable inputs were used in determining the value of this security in the
Fund.
(c)
Securities fair valued by the Valuation Committee as approved by the Board of Trustees. The total
market value of the securities at period end is $0 which represents 0.0% of net assets. The
aggregate tax cost of these securities held at June 30, 2025 was $0.
(d)
The rate disclosed is the 7-day net yield as of June 30, 2025.
(e)
Represents an investment of securities lending cash collateral.
Futures Contracts
Number of
Contracts
Description
Expiration Date
Notional
Value
Market Value/
Unrealized
Appreciation
(Depreciation)
Buys
 
 
108
Russell 2000 E-mini Index
Sep 2025
$11,835,180
$315,176
46
S&P Mid 400 E-mini Index
Sep 2025
14,377,300
355,149
 
 
$670,325
Abbreviations
ADR
American Depository Receipt
REIT
Real Estate Investment Trust
See accompanying Notes to the Schedule of Investments
11

Mercer US Small/Mid Cap Equity Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Asset Class Summary (Unaudited)
% of Net Assets
Common Stocks
96.3
Futures Contracts
0.0*
Short-Term Investment
0.6
Other Assets and Liabilities (net)
3.1
 
100.0%
*
Amount rounds to zero.
12See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
COMMON STOCKS — 91.6%
 
Brazil — 5.4%
1,210,000
 
Ambev SA
2,953,031
1,291,200
 
B3 SA - Brasil Bolsa Balcao
3,449,288
598,816
 
Banco Bradesco SA
1,591,986
831,700
 
Banco do Brasil SA
3,366,207
94,900
 
Centrais Eletricas Brasileiras SA
699,337
31,900
 
CPFL Energia SA
238,818
762,636
 
Dexco SA
792,280
585,100
 
EcoRodovias Infraestrutura e Logistica SA*
802,953
72,900
 
Embraer SA
1,028,615
9,860
 
Hapvida Participacoes e Investimentos SA* 144A
66,572
148,592
 
Itau Unibanco Holding SA, ADR
1,008,940
144,820
 
Lojas Renner SA
522,194
3,356
 
MercadoLibre, Inc.*
8,771,342
1,496,600
 
Natura & Co. Holding SA*
3,030,027
404,000
 
Neoenergia SA
1,891,998
156,983
 
NU Holdings Ltd. Class A *
2,153,807
298,861
 
Petroleo Brasileiro SA - Petrobras, ADR
3,738,751
256,077
 
Petroleo Brasileiro SA - Petrobras, Preferred ADR
2,955,129
130,500
 
Porto Seguro SA
1,319,860
63,400
 
PRIO SA*
492,531
1,442,900
 
Raia Drogasil SA
3,997,297
626,500
 
Sendas Distribuidora SA
1,292,522
45,925
 
StoneCo Ltd. Class A *(a)
736,637
124,215
 
Telefonica Brasil SA, ADR
1,416,051
21,705
 
TIM SA, ADR(a)
436,488
219,100
 
TOTVS SA
1,694,479
204,400
 
Vale SA
1,971,776
407,877
 
Vale SA, ADR
3,960,486
357,900
 
WEG SA
2,805,310
 
 
59,184,712
 
Canada — 0.4%
27,080
 
Franco-Nevada Corp.
4,438,954
 
Chile — 0.7%
4,631
 
Banco de Credito e Inversiones SA
195,178
440,730
 
Cencosud SA
1,496,761
71,091
 
Cia Cervecerias Unidas SA, ADR(a)
918,496
5,854,517
 
Enel Americas SA
569,191
3,900,941
 
Enel Chile SA
288,279
306,287
 
Falabella SA
1,624,255
6,198
 
Latam Airlines Group SA, ADR
251,887
62,668
 
Sociedad Quimica y Minera de Chile SA, ADR*
2,210,300
 
 
7,554,347
 
China — 25.1%
206,000
 
AAC Technologies Holdings, Inc.
1,069,049
20,442
 
ACM Research Shanghai, Inc. Class A
325,215
See accompanying Notes to the Schedule of Investments
13

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
China — continued
399,600
 
Agricultural Bank of China Ltd. Class A
327,967
3,281,800
 
Agricultural Bank of China Ltd. Class H
2,344,617
98,000
 
Airtac International Group
2,906,988
1,610,891
 
Alibaba Group Holding Ltd.
22,860,852
71,594
 
Amlogic Shanghai Co. Ltd. Class A *
709,904
100,000
 
Anhui Conch Cement Co. Ltd. Class H
254,558
33,624
 
Autohome, Inc., ADR
867,163
635,000
 
AviChina Industry & Technology Co. Ltd. Class H
357,665
548,800
 
Baidu, Inc. Class A *
5,849,531
119,400
 
Bank of Beijing Co. Ltd. Class A
113,974
167,900
 
Bank of China Ltd. Class A
131,826
6,219,000
 
Bank of China Ltd. Class H
3,618,501
187,600
 
Bank of Communications Co. Ltd. Class A
209,812
684,000
 
Bank of Communications Co. Ltd. Class H
636,920
49,100
 
Bank of Hangzhou Co. Ltd. Class A
115,401
79,200
 
Bank of Jiangsu Co. Ltd. Class A
132,040
169,400
 
Bank of Ningbo Co. Ltd. Class A
648,732
867,800
 
Bank of Shanghai Co. Ltd. Class A
1,285,187
1,548,500
 
Beijing Oriental Yuhong Waterproof Technology Co. Ltd. Class A
2,324,557
48,500
 
BeOne Medicines Ltd.*
912,003
4,260
 
Bestechnic Shanghai Co. Ltd. Class A
206,909
15,000
 
Bethel Automotive Safety Systems Co. Ltd. Class A
110,313
41,320
 
Bilibili, Inc. Class Z *(a)
885,447
58,500
 
BYD Co. Ltd. Class A
2,724,123
246,000
 
BYD Co. Ltd. Class H (a)
3,850,101
1,154
 
Cambricon Technologies Corp. Ltd. Class A *
96,879
720,000
 
China CITIC Bank Corp. Ltd. Class H
686,453
190,000
 
China Communications Services Corp. Ltd. Class H
102,888
8,099,600
 
China Construction Bank Corp. Class H
8,183,838
222,500
 
China Everbright Bank Co. Ltd. Class A
128,913
2,817,000
 
China Everbright Bank Co. Ltd. Class H
1,406,922
1,767,000
 
China Feihe Ltd. 144A
1,286,691
264,000
 
China Galaxy Securities Co. Ltd. Class H (a)
297,098
869,000
 
China Lesso Group Holdings Ltd.
464,423
302,000
 
China Life Insurance Co. Ltd. Class H
726,933
774,000
 
China Mengniu Dairy Co. Ltd.
1,590,000
98,500
 
China Merchants Bank Co. Ltd. Class A
632,882
765,000
 
China Merchants Bank Co. Ltd. Class H
5,354,240
196,000
 
China Merchants Port Holdings Co. Ltd.
357,629
36,400
 
China Merchants Securities Co. Ltd. Class A
89,278
163,200
 
China Minsheng Banking Corp. Ltd. Class A
108,364
531,000
 
China Minsheng Banking Corp. Ltd. Class H
301,436
228,000
 
China National Building Material Co. Ltd. Class H
109,102
100,000
 
China Oilfield Services Ltd. Class H
81,939
2,125,000
 
China Overseas Land & Investment Ltd.
3,691,968
32,500
 
China Pacific Insurance Group Co. Ltd. Class A
170,144
129,600
 
China Pacific Insurance Group Co. Ltd. Class H
444,676
734,000
 
China Railway Signal & Communication Corp. Ltd. Class H 144A
302,294
4,573,000
 
China Reinsurance Group Corp. Class H
712,712
14See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
China — continued
575,500
 
China Resources Pharmaceutical Group Ltd. 144A
375,856
9,200
 
China Tourism Group Duty Free Corp. Ltd. Class A
78,217
151,700
 
China United Network Communications Ltd. Class A
113,058
125,000
 
Chongqing Rural Commercial Bank Co. Ltd. Class H (a)
105,729
1,196,000
 
CITIC Ltd.
1,645,756
61,700
 
CITIC Securities Co. Ltd. Class A
237,586
1,656,000
 
CMOC Group Ltd. Class H
1,676,002
193,000
 
CNOOC Energy Technology & Services Ltd. Class A
109,855
78,084
 
Contemporary Amperex Technology Co. Ltd. Class A
2,748,842
61,800
 
COSCO SHIPPING Holdings Co. Ltd. Class A
129,730
700,500
 
COSCO SHIPPING Holdings Co. Ltd. Class H (a)
1,217,849
115,300
 
CRRC Corp. Ltd. Class A
113,287
96,000
 
CSPC Pharmaceutical Group Ltd.
94,401
38,200
 
Dong-E-E-Jiao Co. Ltd. Class A
278,713
32,487
 
Eastroc Beverage Group Co. Ltd. Class A
1,423,311
30,800
 
Foshan Haitian Flavouring & Food Co. Ltd. Class A
167,506
213,500
 
Fosun International Ltd.
127,259
16,200
 
G-bits Network Technology Xiamen Co. Ltd. Class A
685,200
1,066,000
 
Geely Automobile Holdings Ltd.
2,171,817
122,200
 
Giant Biogene Holding Co. Ltd. 144A
899,889
163,000
 
Great Wall Motor Co. Ltd. Class H *
251,465
203,900
 
Gree Electric Appliances, Inc. of Zhuhai Class A
1,279,812
35,500
 
Guotai Haitong Securities Co. Ltd. Class A
94,931
30,000
 
Haier Smart Home Co. Ltd. Class A
103,595
1,623,800
 
Haier Smart Home Co. Ltd. Class H
4,655,373
53,000
 
Haitian International Holdings Ltd.
137,184
649,671
 
Hangzhou Robam Appliances Co. Ltd. Class A
1,726,789
462,000
 
Hansoh Pharmaceutical Group Co. Ltd. 144A
1,754,351
94,000
 
Hisense Home Appliances Group Co. Ltd. Class H (a)
256,328
28,600
 
Huadong Medicine Co. Ltd. Class A
161,336
34,500
 
Huatai Securities Co. Ltd. Class A
85,643
567,200
 
Huatai Securities Co. Ltd. Class H 144A
1,146,676
1,121,890
 
Huaxia Bank Co. Ltd. Class A
1,241,230
523,300
 
Huayu Automotive Systems Co. Ltd. Class A
1,289,063
173,500
 
Hubei Jumpcan Pharmaceutical Co. Ltd. Class A
638,724
92,000
 
HUTCHMED China Ltd.*
276,456
301,200
 
Industrial & Commercial Bank of China Ltd. Class A
319,261
6,500,000
 
Industrial & Commercial Bank of China Ltd. Class H
5,156,761
97,700
 
Industrial Bank Co. Ltd. Class A
318,870
140,800
 
Inner Mongolia Yili Industrial Group Co. Ltd. Class A
548,753
40,500
 
Innovent Biologics, Inc.*(a) 144A
405,069
27,000
 
JD Health International, Inc.* 144A
147,964
783,400
 
JD Logistics, Inc.* 144A
1,314,932
373,700
 
JD.com, Inc. Class A
6,092,704
30,200
 
Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class A
219,248
40,729
 
Kanzhun Ltd., ADR*
726,605
17,111
 
KE Holdings, Inc., ADR
303,549
323,400
 
Kingsoft Corp. Ltd.
1,685,451
413,200
 
Kuaishou Technology* 144A
3,343,640
See accompanying Notes to the Schedule of Investments
15

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
China — continued
1,208,000
 
Lenovo Group Ltd.
1,453,704
100,900
 
Li Auto, Inc. Class A *
1,372,738
689,000
 
Li Ning Co. Ltd.
1,488,077
1,454,000
 
Lonking Holdings Ltd.
389,464
65,888
 
Luckin Coffee, Inc., ADR*
2,455,646
511,450
 
Meituan Class B * 144A
8,184,912
289,105
 
Midea Group Co. Ltd. Class A
2,909,106
21,900
 
Midea Group Co. Ltd. Class H
208,033
29,472
 
Montage Technology Co. Ltd. Class A
337,308
172,300
 
NetEase, Inc.
4,647,449
113,400
 
New China Life Insurance Co. Ltd. Class H (a)
619,562
53,700
 
PDD Holdings, Inc., ADR*
5,620,242
2,397,000
 
People's Insurance Co. Group of China Ltd. Class H
1,827,885
334,000
 
PICC Property & Casualty Co. Ltd. Class H
648,051
51,732
 
Ping An Insurance Group Co. of China Ltd. Class A
401,823
1,376,500
 
Ping An Insurance Group Co. of China Ltd. Class H (a)
8,763,407
53,800
 
Pop Mart International Group Ltd. 144A
1,827,542
138,300
 
Postal Savings Bank of China Co. Ltd. Class A
105,667
9,806
 
Qifu Technology, Inc., ADR
425,188
39,800
 
Sany Heavy Industry Co. Ltd. Class A
99,896
16,900
 
SG Micro Corp. Class A
171,922
198,400
 
Shandong Weigao Group Medical Polymer Co. Ltd. Class H
154,733
899,408
 
Shanghai Pudong Development Bank Co. Ltd. Class A
1,742,268
246,600
 
Shanghai Tunnel Engineering Co. Ltd. Class A
210,422
85,800
 
Shenzhen Mindray Bio-Medical Electronics Co. Ltd. Class A
2,691,311
169,000
 
Silergy Corp.
2,056,468
104,200
 
Sinolink Securities Co. Ltd. Class A
127,402
380,700
 
Sinoma International Engineering Co. Class A
457,470
272,000
 
Sinotruk Hong Kong Ltd.
792,648
39,800
 
Sunny Optical Technology Group Co. Ltd.
352,527
708,200
 
Tencent Holdings Ltd.
45,485,344
31,775
 
Tencent Music Entertainment Group, ADR
619,295
682,400
 
Tian Di Science & Technology Co. Ltd. Class A
570,481
321,900
 
Tianshan Aluminum Group Co. Ltd. Class A
373,357
420,000
 
Tingyi Cayman Islands Holding Corp.
615,712
382,000
 
Tongcheng Travel Holdings Ltd.
954,312
351,000
 
TravelSky Technology Ltd. Class H
469,647
53,250
 
Trip.com Group Ltd.
3,101,631
13,000
 
Uni-President China Holdings Ltd.
15,732
68,138
 
Vipshop Holdings Ltd., ADR
1,025,477
1,695,000
 
Weichai Power Co. Ltd. Class H
3,448,303
1,334,900
 
Wilmar International Ltd.
3,006,893
11,600
 
WuXi AppTec Co. Ltd. Class A
113,153
75,500
 
Wuxi Biologics Cayman, Inc.* 144A
247,299
50,200
 
XD, Inc.
309,339
274,900
 
Xiamen C & D, Inc. Class A
398,484
1,461,400
 
Xiaomi Corp. Class B * 144A
11,262,524
150,800
 
XPeng, Inc. Class A *
1,346,628
45,091
 
Yealink Network Technology Corp. Ltd. Class A
218,759
16See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
China — continued
1,256,549
 
Yifeng Pharmacy Chain Co. Ltd. Class A
4,294,108
13,561
 
Yum China Holdings, Inc.
606,312
479,601
 
Yunnan Aluminium Co. Ltd. Class A
1,069,719
68,900
 
Yunnan Baiyao Group Co. Ltd. Class A
537,092
163,500
 
Yunnan Yuntianhua Co. Ltd. Class A
501,327
234,000
 
Zhejiang Expressway Co. Ltd. Class H
215,456
76,000
 
Zhejiang Huayou Cobalt Co. Ltd. Class A
392,696
148,400
 
Zhejiang Leapmotor Technology Co. Ltd.* 144A
1,036,304
1,046,700
 
Zhejiang Longsheng Group Co. Ltd. Class A
1,487,668
71,400
 
Zhejiang NHU Co. Ltd. Class A
211,717
1,180,500
 
Zhongsheng Group Holdings Ltd.
1,825,613
99,100
 
Zijin Mining Group Co. Ltd. Class A
272,729
18,500
 
ZTE Corp. Class A
84,225
118,850
 
ZTO Express Cayman, Inc.
2,109,334
60,716
 
ZTO Express Cayman, Inc., ADR(a)
1,077,709
 
 
275,035,933
 
Colombia — 0.1%
20,438
 
Grupo Cibest SA
255,401
8,613
 
Grupo Cibest SA, ADR
397,835
33,752
 
Interconexion Electrica SA ESP
163,586
 
 
816,822
 
Czech Republic — 0.1%
12,829
 
CEZ AS
751,549
5,901
 
Komercni Banka AS
284,413
20,057
 
Moneta Money Bank AS 144A
137,908
 
 
1,173,870
 
Greece — 0.9%
589,227
 
Eurobank Ergasias Services & Holdings SA
2,022,131
103,690
 
Jumbo SA
3,570,415
106,354
 
National Bank of Greece SA
1,355,020
36,979
 
OPAP SA
836,762
289,461
 
Piraeus Financial Holdings SA
2,004,101
 
 
9,788,429
 
Hong Kong — 0.4%
14,000
 
Orient Overseas International Ltd.
238,404
974,000
 
Sino Biopharmaceutical Ltd.
654,074
3,669,000
 
WH Group Ltd. 144A
3,533,540
 
 
4,426,018
 
Hungary — 0.6%
32,435
 
MOL Hungarian Oil & Gas PLC
281,380
49,789
 
OTP Bank Nyrt
3,962,442
76,045
 
Richter Gedeon Nyrt
2,233,257
 
 
6,477,079
See accompanying Notes to the Schedule of Investments
17

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
India — 15.2%
3,687
 
ABB India Ltd.
261,731
22,209
 
Ajanta Pharma Ltd.
668,040
1,957
 
Alkem Laboratories Ltd.
112,724
4,838
 
APL Apollo Tubes Ltd.
98,094
463,411
 
Ashok Leyland Ltd.
1,348,703
72,118
 
Aurobindo Pharma Ltd.*
955,255
169,109
 
Axis Bank Ltd.
2,363,342
47,744
 
Bajaj Finance Ltd.
521,798
30,693
 
Bajaj Finserv Ltd.
735,778
530,910
 
Bank of Baroda
1,538,699
561,892
 
Bharat Electronics Ltd.
2,771,359
465,118
 
Bharat Petroleum Corp. Ltd.
1,798,441
185,896
 
Bharti Airtel Ltd.
4,361,443
192
 
Bosch Ltd.
73,004
25,076
 
Britannia Industries Ltd.
1,703,836
56,331
 
BSE Ltd.
1,828,599
1,080,895
 
Canara Bank
1,438,519
458,972
 
Cipla Ltd.
8,061,775
6,676
 
Colgate-Palmolive India Ltd.
187,874
12,069
 
Computer Age Management Services Ltd.
604,884
8,710
 
Coromandel International Ltd.
253,249
21,975
 
Cummins India Ltd.
872,185
25,271
 
Cyient Ltd.
380,274
21,434
 
Dabur India Ltd.
121,251
4,512
 
Divi's Laboratories Ltd.
359,870
127,064
 
Dr. Reddy's Laboratories Ltd., ADR
1,909,772
12,421
 
Eicher Motors Ltd.
816,573
98,762
 
Emami Ltd.
658,650
16,583
 
Fortis Healthcare Ltd.
153,257
652,823
 
GAIL India Ltd.
1,452,260
21,100
 
Glenmark Pharmaceuticals Ltd.
431,018
20,767
 
Grasim Industries Ltd.
689,410
94,546
 
Great Eastern Shipping Co. Ltd.
1,079,694
11,641
 
Havells India Ltd.
210,853
137,469
 
HCL Technologies Ltd.
2,777,276
7,436
 
HDFC Asset Management Co. Ltd. 144A
451,113
936,585
 
HDFC Bank Ltd.
21,832,915
1,774
 
HDFC Bank Ltd., ADR
136,013
75,667
 
HDFC Life Insurance Co. Ltd. 144A
717,310
34,080
 
Hero MotoCorp Ltd.
1,683,758
260,047
 
Hindalco Industries Ltd.
2,101,850
36,654
 
Hindustan Aeronautics Ltd.
2,085,650
293,182
 
Hindustan Petroleum Corp. Ltd.
1,493,942
112,622
 
Hindustan Unilever Ltd.
3,017,609
27,521
 
Hyundai Motor India Ltd.*
712,225
130,093
 
ICICI Bank Ltd.
2,195,359
143,009
 
ICICI Bank Ltd., ADR
4,810,823
96,126
 
ICICI Prudential Life Insurance Co. Ltd. 144A
737,749
71,260
 
Indian Hotels Co. Ltd.
633,542
18See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
India — continued
928,713
 
Indian Oil Corp. Ltd.
1,592,314
388,885
 
Indraprastha Gas Ltd.
989,027
129,406
 
Indus Towers Ltd.*
637,737
182,793
 
Infosys Ltd.
3,418,986
301,433
 
Infosys Ltd., ADR(a)
5,585,553
19,127
 
InterGlobe Aviation Ltd.* 144A
1,332,738
151,746
 
Kotak Mahindra Bank Ltd.
3,822,989
26,847
 
KPIT Technologies Ltd.
395,131
19,897
 
Laurus Labs Ltd. 144A
168,570
64,087
 
LIC Housing Finance Ltd.
461,914
72,320
 
Lupin Ltd.
1,635,773
31,975
 
Mahindra & Mahindra Financial Services Ltd.
100,687
105,121
 
Mahindra & Mahindra Ltd.
3,897,865
192,954
 
Marico Ltd.
1,623,844
1,657
 
Maruti Suzuki India Ltd.
239,640
29,489
 
Mphasis Ltd.
980,635
61
 
MRF Ltd.
101,023
1,256
 
Multi Commodity Exchange of India Ltd.
131,105
47,444
 
Muthoot Finance Ltd.
1,453,889
220,993
 
National Aluminium Co. Ltd.
496,972
1,742,604
 
NMDC Ltd.
1,422,607
8,305
 
Oracle Financial Services Software Ltd.
869,827
1,458
 
Page Industries Ltd.
839,043
62,730
 
PB Fintech Ltd.*
1,329,190
9,872
 
Persistent Systems Ltd.
696,794
372,269
 
Petronet LNG Ltd.
1,312,487
14,310
 
PI Industries Ltd.
687,681
11,373
 
Pidilite Industries Ltd.
404,507
52,520
 
PNB Housing Finance Ltd.* 144A
679,480
5,484
 
Polycab India Ltd.
418,266
114,502
 
Power Finance Corp. Ltd.
570,624
505,295
 
Power Grid Corp. of India Ltd.
1,762,908
1,256,711
 
Punjab National Bank
1,617,454
202,173
 
REC Ltd.
949,584
598,460
 
Reliance Industries Ltd.
10,469,920
216,215
 
Samvardhana Motherson International Ltd.
391,869
286
 
Shree Cement Ltd.
103,260
164,381
 
Shriram Finance Ltd.
1,356,176
4,807
 
Solar Industries India Ltd.
986,971
15,786
 
SRF Ltd.
596,705
11,523
 
State Bank of India
110,188
126,689
 
Sun Pharmaceutical Industries Ltd.
2,477,918
37,482
 
Sun TV Network Ltd.
262,143
143,871
 
Syngene International Ltd. 144A
1,073,546
111,292
 
Tata Consultancy Services Ltd.
4,491,713
281,529
 
Tata Motors Ltd.
2,260,738
239,809
 
Tata Steel Ltd.
447,105
91,398
 
Tech Mahindra Ltd.
1,796,970
15,915
 
Torrent Pharmaceuticals Ltd.
633,099
See accompanying Notes to the Schedule of Investments
19

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
India — continued
19,701
 
TVS Motor Co. Ltd.
668,307
847,762
 
Union Bank of India Ltd.
1,517,032
92,342
 
United Spirits Ltd.
1,539,590
381,661
 
UPL Ltd.
2,942,738
31,717
 
Voltas Ltd.
487,336
556,786
 
Wipro Ltd.
1,731,002
132,104
 
Zydus Lifesciences Ltd.
1,527,784
 
 
166,708,302
 
Indonesia — 1.3%
536,500
 
Aneka Tambang Tbk. PT
100,701
3,748,500
 
Astra International Tbk. PT
1,039,213
8,915,500
 
Bank Central Asia Tbk. PT
4,776,927
2,910,200
 
Bank Mandiri Persero Tbk. PT
875,466
411,100
 
Bank Negara Indonesia Persero Tbk. PT
104,714
19,705,399
 
Bank Rakyat Indonesia Persero Tbk. PT
4,557,045
71,718,700
 
GoTo Gojek Tokopedia Tbk. PT*
257,127
179,600
 
Indofood CBP Sukses Makmur Tbk. PT
116,182
3,976,500
 
Kalbe Farma Tbk. PT
374,174
7,054,900
 
Perusahaan Gas Negara Tbk. PT
703,002
847,800
 
United Tractors Tbk. PT
1,123,298
 
 
14,027,849
 
Italy — 0.3%
56,108
 
Coca-Cola HBC AG
2,908,043
 
Japan — 0.2%
133,000
 
Nexon Co. Ltd.
2,668,552
 
Kazakhstan — 0.3%
37,396
 
Kaspi.KZ JSC, ADR
3,174,546
443,510
 
Solidcore Resources PLC*(b)(c)
 
 
3,174,546
 
Kuwait — 0.5%
69,719
 
Boubyan Bank KSCP
164,476
983,505
 
Kuwait Finance House KSCP
2,584,493
714,078
 
National Bank of Kuwait SAKP
2,337,741
 
 
5,086,710
 
Macau — 0.3%
738,000
 
Galaxy Entertainment Group Ltd.
3,283,870
 
Malaysia — 0.8%
1,134,500
 
AMMB Holdings Bhd.
1,374,527
320,300
 
Axiata Group Bhd.
175,776
338,900
 
CIMB Group Holdings Bhd.
553,219
139,400
 
Hong Leong Bank Bhd.
649,006
274,600
 
Malayan Banking Bhd.
636,337
188,200
 
MISC Bhd.
339,323
20See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Malaysia — continued
25,900
 
Petronas Dagangan Bhd.
132,341
936,400
 
RHB Bank Bhd.
1,410,277
308,500
 
SD Guthrie Bhd.
341,622
474,100
 
Sime Darby Bhd.
185,828
723,100
 
Telekom Malaysia Bhd.
1,125,068
593,200
 
Tenaga Nasional Bhd.
2,026,342
260,800
 
YTL Corp. Bhd.
143,777
 
 
9,093,443
 
Mexico — 3.0%
266,000
 
Alfa SAB de CV Class A
195,009
47,819
 
America Movil SAB de CV, ADR(a)
857,873
355,080
 
Arca Continental SAB de CV(a)
3,736,497
63,400
 
Banco del Bajio SA(a) 144A
152,023
135,341
 
Cemex SAB de CV, ADR
937,913
42,902
 
Coca-Cola Femsa SAB de CV, ADR
4,149,910
309,671
 
Credito Real SAB de CV SOFOM ER*(b)(c)
86,272
 
Fomento Economico Mexicano SAB de CV, ADR
8,884,291
18,485
 
Gruma SAB de CV Class B
316,658
58,700
 
Grupo Aeroportuario del Centro Norte SAB de CV
766,841
542,463
 
Grupo Financiero Banorte SAB de CV Class O
4,944,246
263,900
 
Grupo Mexico SAB de CV
1,581,975
19,500
 
Industrias Penoles SAB de CV*
541,524
217,900
 
Kimberly-Clark de Mexico SAB de CV Class A (a)
396,769
57,765
 
Promotora y Operadora de Infraestructura SAB de CV(a)
647,120
7,363
 
Southern Copper Corp.
744,915
162,906
 
Unifin Financiera SAB de CV*(b)(c)
10,348
1,387,755
 
Wal-Mart de Mexico SAB de CV(a)
4,560,228
 
 
33,424,140
 
Netherlands — 0.4%
52,082
 
Heineken Holding NV
3,870,881
 
Panama — 0.2%
19,325
 
Copa Holdings SA Class A
2,125,170
 
Peru — 0.6%
13,393
 
Cia de Minas Buenaventura SAA, ADR
219,913
30,220
 
Credicorp Ltd.
6,754,775
 
 
6,974,688
 
Philippines — 0.3%
19,640
 
Ayala Corp.
198,736
170,300
 
Ayala Land, Inc.
81,742
136,270
 
Bank of the Philippine Islands
314,488
109,366
 
BDO Unibank, Inc.
296,665
29,090
 
GT Capital Holdings, Inc.
296,705
81,310
 
International Container Terminal Services, Inc.
594,884
57,130
 
Metropolitan Bank & Trust Co.
73,534
8,943
 
PLDT, Inc., ADR(a)
194,600
See accompanying Notes to the Schedule of Investments
21

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Philippines — continued
765,270
 
Universal Robina Corp.
1,216,670
 
 
3,268,024
 
Poland — 0.7%
32,802
 
Alior Bank SA
860,667
271,898
 
Allegro.eu SA* 144A
2,609,607
9,265
 
Asseco Poland SA
519,939
2,594
 
Bank Polska Kasa Opieki SA
133,423
5,683
 
CCC SA*(a)
322,724
5,058
 
CD Projekt SA
393,863
86,217
 
Orange Polska SA
218,253
54,000
 
Powszechna Kasa Oszczednosci Bank Polski SA
1,126,707
78,742
 
Powszechny Zaklad Ubezpieczen SA
1,377,213
9,262
 
XTB SA 144A
208,676
23,237
 
Zabka Group SA*
139,061
 
 
7,910,133
 
Portugal — 0.4%
156,870
 
Jeronimo Martins SGPS SA
3,958,514
 
Qatar — 0.3%
295,427
 
Barwa Real Estate Co.
225,135
122,677
 
Ooredoo QPSC
430,640
217,018
 
Qatar Islamic Bank QPSC
1,321,796
354,418
 
Qatar National Bank QPSC
1,689,115
 
 
3,666,686
 
Russia — 0.0%
214,920
 
Evraz PLC*(b)(c)(d)
7,610
 
Gazprom Neft PJSC(b)(c)(d)
1,043,282
 
Gazprom PJSC(b)(c)(d)
99,121
 
Globaltrans Investment PLC, GDR*(b)(c)(d)(e)
1,645,900
 
GMK Norilskiy Nickel PAO*(b)(c)(d)
5,000
 
HeadHunter Group PLC, ADR*(b)(c)(d)
44,258
 
LSR Group PJSC*(b)(c)(d)
136,755
 
LUKOIL PJSC*(b)(c)(d)
8,543
 
Magnit PJSC(b)(c)(d)
984,659
 
Magnitogorsk Iron & Steel Works PJSC(b)(c)(d)
9
 
MMC Norilsk Nickel PJSC, ADR*(b)(c)(d)
126,700
 
Mobile TeleSystems PJSC, ADR*(b)(c)(d)
154,250
 
Novatek PJSC(b)(c)(d)
1,715,500
 
Novolipetsk Steel PJSC*(b)(c)(d)
5,323
 
PhosAgro PJSC(b)(c)(d)(f)
103
 
PhosAgro PJSC*(b)(c)(d)(e)(f)
2
 
PhosAgro PJSC, GDR*(b)(c)(d)(e)
250,620
 
Polyus PJSC*(b)(c)(d)(e)
1
 
Polyus PJSC, GDR*(b)(c)(d)(e)
4,954
 
Ros Agro PLC, GDR*(b)(c)(d)(e)
5,496,180
 
Sberbank of Russia PJSC(b)(c)(d)
105,511
 
Severstal PAO, GDR*(b)(c)(d)(e)
22See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Russia — continued
25,625,090
 
Surgutneftegas PAO(b)(c)(d)
598,704
 
Tatneft PJSC(b)(c)(d)
8,773
 
TCS Group Holding PLC, GDR*(b)(c)(d)(e)(f)
16,391
 
TCS Group Holding PLC, GDR*(b)(c)(d)(e)(f)
47,122
 
X5 Retail Group NV, GDR*(b)(c)(d)(e)
 
 
0
 
Saudi Arabia — 2.2%
92,014
 
Al Rajhi Bank
2,325,560
92,618
 
Alinma Bank
663,753
274,566
 
Arab National Bank
1,590,248
1,746
 
Arabian Internet & Communications Services Co.
124,270
4,736
 
Astra Industrial Group Co.
203,579
343,537
 
Banque Saudi Fransi
1,635,049
19,020
 
Co. for Cooperative Insurance
801,388
596
 
Elm Co.
159,395
97,867
 
Etihad Etisalat Co.
1,547,637
46,524
 
Jarir Marketing Co.
155,561
30,933
 
Mobile Telecommunications Co. Saudi Arabia
89,044
6,454
 
Nahdi Medical Co.
219,683
271,765
 
Riyad Bank
2,082,777
57,428
 
SABIC Agri-Nutrients Co.
1,640,767
8,030
 
Saudi Arabian Mining Co.*
114,774
456,819
 
Saudi Arabian Oil Co. 144A
2,961,754
205,892
 
Saudi Awwal Bank
1,850,240
211,564
 
Saudi Investment Bank
819,099
232,474
 
Saudi National Bank
2,243,031
175,198
 
Saudi Telecom Co.
1,987,294
58,483
 
Yanbu National Petrochemical Co.
470,950
 
 
23,685,853
 
Singapore — 0.3%
20,763
 
Sea Ltd., ADR*
3,320,834
 
South Africa — 2.4%
137,660
 
Bid Corp. Ltd.
3,626,428
5,417
 
Capitec Bank Holdings Ltd.
1,085,331
111,508
 
Clicks Group Ltd.
2,332,208
31,582
 
Discovery Ltd.
382,658
107,683
 
Gold Fields Ltd., ADR
2,548,857
25,106
 
Harmony Gold Mining Co. Ltd.
346,801
27,655
 
Impala Platinum Holdings Ltd.*
247,528
150,231
 
Investec Ltd.
1,117,620
65,496
 
Kumba Iron Ore Ltd.(a)
1,051,666
688,077
 
Momentum Group Ltd.
1,328,156
61,814
 
MTN Group Ltd.
489,385
12,499
 
Naspers Ltd. Class N
3,879,434
2,188,929
 
Old Mutual Ltd.
1,491,944
126,864
 
OUTsurance Group Ltd.
559,230
See accompanying Notes to the Schedule of Investments
23

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
South Africa — continued
1,105,725
 
Redefine Properties Ltd., REIT
285,186
400,384
 
Sanlam Ltd.
1,999,442
60,476
 
Sappi Ltd.
101,615
15,044
 
Sasol Ltd.*
66,947
224,016
 
Standard Bank Group Ltd.
2,877,191
85,456
 
Vodacom Group Ltd.
657,937
 
 
26,475,564
 
South Korea — 8.9%
1,875
 
Alteogen, Inc.*
517,827
38,831
 
Coupang, Inc.*
1,163,377
13,272
 
Coway Co. Ltd.
952,163
7,103
 
DB HiTek Co. Ltd.
246,263
34,255
 
DB Insurance Co. Ltd.
3,130,975
7,144
 
Doosan Bobcat, Inc.
308,235
3,717
 
Ecopro BM Co. Ltd.*
276,150
24,627
 
Hana Financial Group, Inc.
1,571,380
1,821
 
Hanjin Kal Corp.
159,340
94,135
 
Hankook Tire & Technology Co. Ltd.
2,768,385
2,466
 
Hanwha Aerospace Co. Ltd.
1,549,790
8,386
 
Hanwha Ocean Co. Ltd.*
493,289
5,628
 
Hanwha Systems Co. Ltd.
241,834
3,355
 
HD Hyundai Co. Ltd.
322,130
2,850
 
HD Hyundai Heavy Industries Co. Ltd.
904,762
3,232
 
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.
877,322
4,319
 
HL Mando Co. Ltd.
104,858
20,843
 
HMM Co. Ltd.
347,439
252
 
Hyosung Heavy Industries Corp.
166,660
13,081
 
Hyundai Glovis Co. Ltd.
1,306,374
23,210
 
Hyundai Mobis Co. Ltd.
4,924,147
14,513
 
Hyundai Rotem Co. Ltd.
2,112,778
7,886
 
Industrial Bank of Korea
106,760
55,449
 
KakaoBank Corp.
1,233,778
67,167
 
KB Financial Group, Inc.
5,518,585
35,310
 
Kia Corp.
2,528,161
16,826
 
Korea Investment Holdings Co. Ltd.
1,740,250
34,436
 
Korean Air Lines Co. Ltd.
584,557
6,586
 
Krafton, Inc.*
1,771,902
62,283
 
KT Corp., ADR
1,294,241
3,764
 
LG Chem Ltd.
592,196
7,481
 
LG Corp.
441,431
3,123
 
LG Electronics, Inc.
170,862
1,301
 
LG Innotek Co. Ltd.
142,202
84,399
 
LG Uplus Corp.
894,378
4,328
 
Meritz Financial Group, Inc.
360,731
19,387
 
NAVER Corp.
3,763,990
18,284
 
Netmarble Corp. 144A
838,425
9,292
 
Orion Corp.
749,013
707
 
PharmaResearch Co. Ltd.
258,484
24See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
South Korea — continued
6,978
 
Samsung C&T Corp.
834,914
645,153
 
Samsung Electronics Co. Ltd.
28,602,624
229
 
Samyang Foods Co. Ltd.
236,664
49,584
 
Shinhan Financial Group Co. Ltd.
2,255,547
7,938
 
SK Biopharmaceuticals Co. Ltd.*
539,857
57,218
 
SK Hynix, Inc.
12,393,909
5,102
 
SK Innovation Co. Ltd.
462,647
7,106
 
SK Square Co. Ltd.*
964,608
29,309
 
SK Telecom Co. Ltd., ADR
684,365
2,790
 
SK, Inc.
423,020
129,022
 
Woori Financial Group, Inc.
2,147,050
 
 
96,980,629
 
Taiwan — 14.8%
36,000
 
Accton Technology Corp.
895,040
398,792
 
Advantech Co. Ltd.
4,643,789
160,000
 
ASE Technology Holding Co. Ltd.
801,624
460,000
 
Asia Cement Corp.
671,860
52,000
 
Asia Vital Components Co. Ltd.
1,315,486
107,000
 
Asustek Computer, Inc.
2,360,019
788,000
 
AUO Corp.
333,312
6,000
 
Bizlink Holding, Inc.
173,141
54,000
 
Catcher Technology Co. Ltd.
392,067
1,296,000
 
Cathay Financial Holding Co. Ltd.
2,787,332
716,000
 
China Airlines Ltd.
529,650
117,000
 
Chroma ATE, Inc.
1,765,070
2,257,000
 
Compal Electronics, Inc.
2,231,006
1,193,000
 
CTBC Financial Holding Co. Ltd.
1,785,422
152,000
 
Delta Electronics, Inc.
2,139,926
911,000
 
E.Sun Financial Holding Co. Ltd.
1,024,858
265,000
 
Elan Microelectronics Corp.
1,104,841
14,000
 
Elite Material Co. Ltd.
420,634
1,035,000
 
Eva Airways Corp.
1,414,316
234,000
 
Evergreen Marine Corp. Taiwan Ltd.
1,594,755
233,000
 
Far Eastern New Century Corp.
262,910
908,000
 
Fubon Financial Holding Co. Ltd.
2,714,620
12,000
 
Genius Electronic Optical Co. Ltd.
171,787
48,000
 
Giant Manufacturing Co. Ltd.
178,681
1,151,000
 
Hon Hai Precision Industry Co. Ltd.
6,310,197
9,000
 
International Games System Co. Ltd.
263,169
1,227,000
 
KGI Financial Holding Co. Ltd.
628,207
4,000
 
King Slide Works Co. Ltd.
277,272
8,000
 
Largan Precision Co. Ltd.
652,088
31,000
 
Lite-On Technology Corp.
117,315
143,000
 
MediaTek, Inc.
6,088,563
17,000
 
Nien Made Enterprise Co. Ltd.
237,765
77,000
 
Novatek Microelectronics Corp.
1,437,214
558,000
 
Pegatron Corp.
1,467,614
19,000
 
PharmaEssentia Corp.*
356,580
See accompanying Notes to the Schedule of Investments
25

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Taiwan — continued
14,000
 
Phison Electronics Corp.
239,866
1,355,000
 
Pou Chen Corp.*
1,436,239
313,998
 
President Chain Store Corp.
2,757,999
461,000
 
Primax Electronics Ltd.
1,150,980
10,000
 
Quanta Computer, Inc.
93,517
199,000
 
Radiant Opto-Electronics Corp.
916,595
107,000
 
Realtek Semiconductor Corp.
2,077,710
17,000
 
Simplo Technology Co. Ltd.
224,585
131,000
 
Sitronix Technology Corp.
908,497
935,000
 
Taishin Financial Holding Co. Ltd.
505,153
533,000
 
Taiwan Business Bank
280,183
2,658,924
 
Taiwan Semiconductor Manufacturing Co. Ltd.
96,003,123
244,000
 
Uni-President Enterprises Corp.
676,841
30,000
 
Voltronic Power Technology Corp.
1,294,534
159,000
 
Wan Hai Lines Ltd.
484,647
260,000
 
Winbond Electronics Corp.*
179,434
65,000
 
Wistron Corp.
271,279
164,000
 
WNC Corp.
682,458
454,000
 
Yang Ming Marine Transport Corp.
1,107,630
1,185,000
 
Yuanta Financial Holding Co. Ltd.
1,385,930
33,000
 
Zhen Ding Technology Holding Ltd.
113,007
 
 
162,338,337
 
Thailand — 1.3%
91,200
 
Advanced Info Service PCL, NVDR
780,615
615,900
 
Bangkok Bank PCL, NVDR
2,634,238
1,930,000
 
Charoen Pokphand Foods PCL, NVDR
1,365,278
756,400
 
CP ALL PCL, NVDR
1,023,517
160,800
 
CP Axtra PCL, NVDR
88,568
44,600
 
Electricity Generating PCL, NVDR
138,597
340,700
 
Gulf Development PCL, NVDR*
406,410
2,056,000
 
Indorama Ventures PCL, NVDR
1,284,535
242,900
 
Kasikornbank PCL Class F
1,139,100
2,077,800
 
Krung Thai Bank PCL, NVDR
1,363,401
610,000
 
SCB X PCL Class F
2,186,027
54,920
 
Srisawad Corp. PCL
27,211
389,100
 
Thai Union Group PCL, NVDR
123,332
22,994,100
 
TMBThanachart Bank PCL, NVDR
1,337,079
813,200
 
True Corp. PCL, NVDR*
277,761
 
 
14,175,669
 
Turkey — 0.6%
919,807
 
Akbank TAS
1,585,842
356,804
 
Aselsan Elektronik Sanayi Ve Ticaret AS
1,357,747
83,386
 
Haci Omer Sabanci Holding AS
189,096
360,321
 
KOC Holding AS
1,403,685
196,416
 
Turk Hava Yollari AO
1,407,511
54,168
 
Turkcell Iletisim Hizmetleri AS
131,672
1,416,058
 
Turkiye Is Bankasi AS Class C
477,859
26See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Turkey — continued
77,548
 
Turkiye Petrol Rafinerileri AS
273,765
 
 
6,827,177
 
United Arab Emirates — 0.9%
414,431
 
Abu Dhabi Commercial Bank PJSC
1,520,489
191,872
 
Abu Dhabi Islamic Bank PJSC
1,122,972
471,285
 
Aldar Properties PJSC
1,144,734
89,020
 
Dubai Islamic Bank PJSC
219,850
77,457
 
Emaar Development PJSC
285,784
651,855
 
Emaar Properties PJSC
2,414,166
146,062
 
Emirates NBD Bank PJSC
906,539
74,357
 
Emirates Telecommunications Group Co. PJSC
356,332
308,584
 
First Abu Dhabi Bank PJSC
1,394,798
 
 
9,365,664
 
United Kingdom — 0.4%
36,642
 
Anglogold Ashanti PLC
1,663,494
47,866
 
Unilever PLC
2,910,591
 
 
4,574,085
 
United States — 0.6%
47,065
 
Cognizant Technology Solutions Corp. Class A
3,672,482
13,772
 
Globant SA*
1,251,048
96,100
 
JBS NV, BDR*
1,377,096
 
 
6,300,626
 
Vietnam — 0.4%
522,000
 
Mobile World Investment Corp.*
1,309,863
1,455,630
 
Vietnam Dairy Products JSC
3,233,814
 
 
4,543,677
 
Zambia — 0.3%
214,445
 
First Quantum Minerals Ltd.*
3,801,704
 
TOTAL COMMON STOCKS (COST $985,825,770)
1,003,435,534
 
PREFERRED STOCKS — 1.9%
 
Brazil — 1.6%
348,200
 
Banco Bradesco SA, 5.63%
1,073,721
25,500
 
Centrais Eletricas Brasileiras SA, 4.36%
207,491
2,310,500
 
Cia Energetica de Minas Gerais, 17.72%
4,572,020
359,500
 
Gerdau SA, 4.00%
1,053,895
707,880
 
Itau Unibanco Holding SA, 6.77%
4,792,394
2,251,933
 
Itausa SA, 8.01%
4,518,018
317,500
 
Petroleo Brasileiro SA - Petrobras, 10.92%
1,825,471
 
 
18,043,010
 
South Korea — 0.3%
2,869
 
Hyundai Motor Co., 7.93%, Second-Preferred Stock
337,747
1,854
 
Hyundai Motor Co., 8.12%
212,218
See accompanying Notes to the Schedule of Investments
27

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
South Korea — continued
63,298
 
Samsung Electronics Co. Ltd., 2.93%
2,321,255
 
 
2,871,220
 
TOTAL PREFERRED STOCKS (COST $19,862,710)
20,914,230
 
RIGHTS — 0.0%
 
South Korea — 0.0%
176
 
Hanwha Aerospace Co. Ltd., Expires 07/02/25*(b)(c)
35,276
 
TOTAL RIGHTS (COST $—)
35,276
 
WARRANT — 0.0%
 
Malaysia — 0.0%
52,160
 
YTL Corp. Bhd., Expires 06/02/28*(b)(c)
10,173
 
TOTAL WARRANT (COST $—)
10,173
Par Value ($)
 
Description
Value ($)
 
SHORT-TERM INVESTMENT — 0.2%
 
Mutual Fund - Securities Lending Collateral — 0.2%
1,889,154
 
State Street Navigator Securities Lending Government Money Market Portfolio,
4.35%(g)(h)
1,889,154
 
TOTAL SHORT-TERM INVESTMENT (COST $1,889,154)
1,889,154
 
TOTAL INVESTMENTS93.7%
(Cost $1,007,577,634)
1,026,284,367
 
Other Assets and Liabilities (net) — 6.3%
69,507,691
 
NET ASSETS — 100.0%
$1,095,792,058
 
Notes to Schedule of Investments:
*
Non-income producing security.
(a)
All or a portion of this security is out on loan.
(b)
Level 3 - significant unobservable inputs were used in determining the value of this security in the
Fund.
(c)
Securities fair valued by the Valuation Committee as approved by the Board of Trustees. The total
market value of the securities at period end is $55,797 which represents 0.0% of net assets. The
aggregate tax cost of these securities held at June 30, 2025 was $94,698,977.
(d)
Illiquid securities represent Russian securities impacted by the Russian/Ukraine crisis. The total
market value of the securities at period end is $0 which represents 0.0% of net assets. The
aggregate cost of these securities held at June 30, 2025 was $85,541,075.
(e)
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.
(f)
Securities are traded on separate exchanges for the same entity.
(g)
The rate disclosed is the 7-day net yield as of June 30, 2025.
28See accompanying Notes to the Schedule of Investments

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
(h)
Represents an investment of securities lending cash collateral.
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 buyers.
The total market value of the securities at period end is $49,204,954 which represents 4.5% of net
assets.
Futures Contracts
Number of
Contracts
Description
Expiration Date
Notional
Value
Market Value/
Unrealized
Appreciation
(Depreciation)
Buys
 
 
1,096
MSCI Emerging Markets E-mini Index
Sep 2025
$67,595,800
$1,094,515
Abbreviations
ADR
American Depository Receipt
BDR
Brazilian Depositary Receipt
GDR
Global Depository Receipt
NVDR
Non-Voting Depository Receipt
REIT
Real Estate Investment Trust
See accompanying Notes to the Schedule of Investments
29

Mercer Emerging Markets Equity Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Industry Sector Summary (Unaudited)
% of Net Assets
Financial
23.5
Technology
19.4
Communications
14.8
Consumer, Cyclical
10.4
Consumer, Non-cyclical
10.3
Industrial
6.2
Basic Materials
4.3
Energy
2.8
Utilities
1.5
Diversified
0.3
Short-Term Investment
0.2
Other Assets and Liabilities (net)
6.3
 
100.0%
30See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
COMMON STOCKS — 94.8%
 
Australia — 2.1%
620,761
 
AGL Energy Ltd.
3,971,748
30,141
 
Aristocrat Leisure Ltd.
1,287,467
1,358,851
 
Aurizon Holdings Ltd.
2,698,433
681,000
 
Bank of Queensland Ltd.
3,472,413
77,550
 
Brambles Ltd.
1,190,341
25,934
 
Computershare Ltd.
678,042
41,228
 
Downer EDI Ltd.
170,815
111,792
 
Evolution Mining Ltd.
580,583
2,060,426
 
Glencore PLC*
8,009,601
105,055
 
GPT Group, REIT
333,247
606,100
 
Harvey Norman Holdings Ltd.(a)
2,093,458
1,256,900
 
Helia Group Ltd.
4,637,809
4,748
 
HUB24 Ltd.
277,525
475,600
 
Metcash Ltd.
1,218,742
7,413
 
Netwealth Group Ltd.
163,851
282,604
 
Northern Star Resources Ltd.
3,480,581
352,272
 
OceanaGold Corp.
4,962,009
1,206,200
 
Perenti Ltd.
1,280,680
3,193
 
Pro Medicus Ltd.
596,660
771,765
 
Qantas Airways Ltd.
5,432,841
406,700
 
QBE Insurance Group Ltd.
6,235,055
2,968
 
REA Group Ltd.(a)
467,826
24,966
 
Regis Resources Ltd.*
73,023
84,200
 
Rio Tinto Ltd.(a)
5,912,099
14,923
 
SEEK Ltd.(a)
235,236
533,758
 
Super Retail Group Ltd.
4,981,482
16,240
 
Technology One Ltd.
436,527
334,054
 
Telstra Group Ltd.
1,059,607
171,752
 
Transurban Group
1,574,707
51,401
 
Ventia Services Group Pty. Ltd.
174,505
61,147
 
Wesfarmers Ltd.
3,396,425
11,171
 
WiseTech Global Ltd.
798,344
376,210
 
Woodside Energy Group Ltd.(a)
5,773,327
70,200
 
Woolworths Group Ltd.
1,431,339
 
 
79,086,348
 
Austria — 0.3%
50,522
 
ANDRITZ AG
3,738,492
5,427
 
BAWAG Group AG 144A
689,335
17,121
 
Erste Group Bank AG(b)
1,450,139
2,891
 
Erste Group Bank AG(b)
244,207
25,798
 
EVN AG
708,214
45,338
 
OMV AG
2,456,092
9,905
 
Raiffeisen Bank International AG
300,305
6,280
 
voestalpine AG
175,883
55,600
 
Wienerberger AG
2,059,143
 
 
11,821,810
See accompanying Notes to the Schedule of Investments
31

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Belgium — 0.3%
31,200
 
Ageas SA
2,099,389
40,418
 
Anheuser-Busch InBev SA
2,769,208
436
 
D'ieteren Group
93,291
4,396
 
Groupe Bruxelles Lambert NV
372,859
12,314
 
KBC Group NV
1,262,181
33
 
Lotus Bakeries NV
316,815
21,907
 
Proximus SADP(a)
212,584
62,000
 
Solvay SA(a)
2,134,365
17,400
 
Syensqo SA
1,341,480
9,560
 
Umicore SA
139,960
 
 
10,742,132
 
Brazil — 0.7%
171,802
 
Petroleo Brasileiro SA - Petrobras, Preferred ADR
1,982,595
224,600
 
Vale SA
2,166,639
72,497
 
Wheaton Precious Metals Corp.(b)
6,510,230
148,188
 
Wheaton Precious Metals Corp.(b)
13,299,452
31,200
 
Yara International ASA
1,147,928
 
 
25,106,844
 
Burkina Faso — 0.0%
41,521
 
IAMGOLD Corp.*
305,208
 
Canada — 7.5%
110,452
 
Agnico Eagle Mines Ltd.(b)
13,132,820
86,290
 
Agnico Eagle Mines Ltd.(b)
10,262,470
9,431
 
Air Canada*
145,629
25,065
 
Alamos Gold, Inc. Class A
665,338
174,023
 
Algonquin Power & Utilities Corp.
997,152
22,500
 
Alimentation Couche-Tard, Inc.
1,116,178
4,731
 
Aritzia, Inc.*
244,611
10,931
 
Atco Ltd. Class I (a)
406,798
74,661
 
B2Gold Corp.
269,526
1,360,404
 
Barrick Mining Corp.
28,323,611
9,723
 
BCE, Inc.
215,559
10,107
 
Brookfield Renewable Corp.
331,308
43,503
 
CAE, Inc.*
1,273,333
38,636
 
Canadian Apartment Properties REIT, REIT
1,257,475
77,900
 
Canadian Imperial Bank of Commerce(a)
5,518,369
43,146
 
Canadian National Railway Co.
4,488,910
61,150
 
Canadian Natural Resources Ltd.
1,920,110
45,938
 
Canadian Tire Corp. Ltd. Class A (a)
6,241,441
4,741
 
Canadian Utilities Ltd. Class A
130,920
17,998
 
CCL Industries, Inc. Class B (a)
1,047,432
78,497
 
Cenovus Energy, Inc.
1,067,559
402,652
 
Centerra Gold, Inc.
2,894,845
43,463
 
CGI, Inc.(a)(b)
4,555,254
80,681
 
CGI, Inc.(b)
8,457,789
2,223
 
Constellation Software, Inc.
8,134,763
32See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Canada — continued
10,169
 
Descartes Systems Group, Inc.*
1,033,628
4,132
 
Docebo, Inc.*
119,580
15,639
 
Dollarama, Inc.
2,199,088
10,090
 
Dundee Precious Metals, Inc.(a)
161,795
19,392
 
Emera, Inc.
886,532
203,875
 
Empire Co. Ltd. Class A
8,443,368
74,854
 
Enbridge, Inc.
3,392,383
929
 
Fairfax Financial Holdings Ltd.
1,673,494
143,300
 
Finning International, Inc.
6,114,273
28,258
 
First Majestic Silver Corp.
233,694
2,312
 
FirstService Corp.
403,721
28,344
 
Fortis, Inc.(a)(b)
1,350,624
46,312
 
Fortis, Inc.(b)
2,210,472
15,799
 
Fortuna Mining Corp.*
103,325
59,137
 
Franco-Nevada Corp.(b)
9,693,737
161,884
 
Franco-Nevada Corp.(b)
26,524,299
12,289
 
George Weston Ltd.
2,459,691
7,826
 
Gildan Activewear, Inc.
385,352
18,821
 
Hydro One Ltd.(a) 144A
676,839
62,400
 
iA Financial Corp., Inc.
6,827,187
55,800
 
Imperial Oil Ltd.
4,423,924
22,970
 
Intact Financial Corp.
5,330,488
15,450
 
Keyera Corp.
504,319
1,584
 
Kinaxis, Inc.*
235,098
657,102
 
Kinross Gold Corp.(b)
10,270,504
5,656
 
Kinross Gold Corp.(b)
88,208
15,720
 
Lightspeed Commerce, Inc.*
184,081
10,790
 
Loblaw Cos. Ltd.
1,781,200
118,363
 
Lundin Gold, Inc.
6,236,936
8,744
 
Magna International, Inc.(b)
337,328
166,421
 
Magna International, Inc.(b)
6,425,515
173,000
 
Manulife Financial Corp.
5,520,279
95,700
 
Maple Leaf Foods, Inc.
1,989,746
181,900
 
MEG Energy Corp.
3,430,038
10,841
 
Metro, Inc.
849,880
67,325
 
New Gold, Inc.*(b)
334,035
816,337
 
New Gold, Inc.*(b)
4,040,868
2,811
 
North West Co., Inc.
99,441
55,800
 
Nutrien Ltd.(a)(b)
3,244,947
29,385
 
Nutrien Ltd.(b)
1,711,382
241,900
 
Open Text Corp.(b)
7,054,013
14,973
 
Open Text Corp.(b)
437,212
9,558
 
OR Royalties, Inc.
245,736
28,389
 
Pan American Silver Corp.
806,248
1,028
 
Restaurant Brands International, Inc.
68,146
7,847
 
RioCan Real Estate Investment Trust, REIT
101,847
44,892
 
Rogers Communications, Inc. Class B
1,331,497
117,200
 
Russel Metals, Inc.
3,766,376
69,095
 
Sandstorm Gold Ltd.
649,493
See accompanying Notes to the Schedule of Investments
33

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Canada — continued
53,135
 
Saputo, Inc.
1,085,286
72,140
 
Shopify, Inc. Class A *
8,321,349
11,382
 
SSR Mining, Inc.*(b)
144,892
12,691
 
SSR Mining, Inc.*(b)
161,683
30,444
 
Stantec, Inc.
3,308,654
159,800
 
Suncor Energy, Inc.(b)
5,973,908
72,744
 
Suncor Energy, Inc.(b)
2,724,263
75,290
 
TC Energy Corp.(a)
3,668,215
13,815
 
TELUS Corp.(b)
221,425
36,083
 
TELUS Corp.(b)
579,493
4,467
 
TFI International, Inc.
400,556
4,851
 
Torex Gold Resources, Inc.*
157,920
4,947
 
Triple Flag Precious Metals Corp.
117,194
 
 
276,355,905
 
China — 2.4%
1,287,500
 
3SBio, Inc. 144A
3,886,260
6,252,000
 
Agricultural Bank of China Ltd. Class H
4,466,617
274,700
 
Alibaba Group Holding Ltd.
3,898,387
6
 
Baidu, Inc., ADR*
515
5,706,000
 
Bank of China Ltd. Class H
3,320,014
1,290,000
 
Bank of Communications Co. Ltd. Class H
1,201,208
277,000
 
BOC Hong Kong Holdings Ltd.
1,204,933
984,500
 
Budweiser Brewing Co. APAC Ltd. 144A
976,300
488,000
 
China CITIC Bank Corp. Ltd. Class H
465,263
5,243,000
 
China Construction Bank Corp. Class H
5,297,529
3,187,000
 
China Galaxy Securities Co. Ltd. Class H
3,586,552
1,323,600
 
China International Capital Corp. Ltd. Class H 144A
2,985,954
1,681,000
 
China Life Insurance Co. Ltd. Class H
4,046,273
824,000
 
China Medical System Holdings Ltd.
1,262,126
349,600
 
China Taiping Insurance Holdings Co. Ltd.
683,601
2,918,000
 
CSPC Pharmaceutical Group Ltd.
2,869,392
771,600
 
Dongfang Electric Corp. Ltd. Class H
1,319,789
151,000
 
Haidilao International Holding Ltd. 144A
287,121
10,135,000
 
Industrial & Commercial Bank of China Ltd. Class H
8,040,581
1,450,500
 
JD Logistics, Inc.* 144A
2,434,655
89,018
 
Kanzhun Ltd., ADR*
1,588,081
370,500
 
Kingboard Holdings Ltd.
1,187,704
149,800
 
NetEase, Inc.
4,040,556
1,243,500
 
Ping An Insurance Group Co. of China Ltd. Class H
7,916,670
172,000
 
Pop Mart International Group Ltd. 144A
5,842,700
2,033,000
 
Postal Savings Bank of China Co. Ltd. Class H 144A
1,420,961
418,100
 
Shanghai Pharmaceuticals Holding Co. Ltd. Class H
624,134
717,600
 
Sinopharm Group Co. Ltd. Class H
1,682,194
83,000
 
SITC International Holdings Co. Ltd.
266,424
85,710
 
Trip.com Group Ltd., ADR
5,026,034
2,395,700
 
Yangzijiang Shipbuilding Holdings Ltd.
4,179,890
26,274
 
Yum China Holdings, Inc.
1,174,711
34See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
China — continued
256,500
 
Zhejiang Leapmotor Technology Co. Ltd.* 144A
1,791,186
 
 
88,974,315
 
Denmark — 1.0%
181
 
AP Moller - Maersk AS Class A
333,104
253
 
AP Moller - Maersk AS Class B
470,001
26,249
 
Carlsberg AS Class B
3,710,479
64,900
 
D/S Norden AS
2,054,002
223,676
 
Danske Bank AS
9,087,776
71,900
 
Dfds AS*
1,271,291
3,847
 
Genmab AS*
793,266
179,676
 
Genmab AS, ADR*
3,712,106
8,279
 
GN Store Nord AS*
126,957
8,545
 
ISS AS
237,910
33,297
 
Jyske Bank AS
3,357,325
2,926
 
NKT AS*
235,882
23,083
 
Novonesis Novozymes B Class B
1,651,744
41,210
 
Pandora AS
7,208,128
1,595
 
Ringkjoebing Landbobank AS
348,239
5,510
 
Rockwool AS Class B
256,888
1,925
 
Royal Unibrew AS
156,568
3,466
 
Sydbank AS
256,126
15,461
 
Tryg AS
398,409
53,240
 
Vestas Wind Systems AS
797,216
 
 
36,463,417
 
Finland — 0.6%
7,808
 
Elisa OYJ
433,409
19,312
 
Kone OYJ Class B
1,267,441
26,400
 
Konecranes OYJ
2,089,850
1,035,355
 
Nokia OYJ
5,335,301
526,374
 
Nordea Bank Abp(b)
7,781,143
88,387
 
Nordea Bank Abp(b)
1,309,718
4,824
 
Orion OYJ Class B
361,845
4,894
 
Puuilo OYJ
75,018
124,748
 
Sampo OYJ Class A
1,337,765
57,679
 
TietoEVRY OYJ(a)
1,090,870
70,800
 
Valmet OYJ(a)
2,185,615
28,649
 
Wartsila OYJ Abp
674,707
 
 
23,942,682
 
France — 7.8%
75,190
 
Air Liquide SA
15,476,108
78,681
 
Airbus SE(b)
16,406,199
4,602
 
Airbus SE(b)
958,170
169,380
 
AXA SA
8,296,265
298,501
 
BNP Paribas SA
26,792,172
70,155
 
Bollore SE(a)
439,296
121,476
 
Bouygues SA
5,479,814
55,197
 
Capgemini SE
9,414,592
See accompanying Notes to the Schedule of Investments
35

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
France — continued
359,600
 
Carrefour SA
5,051,797
216,575
 
Cie de Saint-Gobain SA
25,388,776
77,000
 
Cie Generale des Etablissements Michelin SCA
2,855,146
9,810
 
Covivio SA, REIT
617,258
193,651
 
Credit Agricole SA(a)
3,655,856
12,521
 
Dassault Aviation SA
4,421,364
300,067
 
Dassault Systemes SE
10,838,986
30,277
 
Edenred SE
935,792
120,717
 
Engie SA
2,832,806
40,265
 
EssilorLuxottica SA
11,022,714
42,955
 
Gecina SA, REIT(a)
4,709,862
11,425
 
Getlink SE
220,035
21,000
 
Ipsen SA
2,494,984
48,500
 
IPSOS SA
2,593,752
156,756
 
Klepierre SA, REIT(a)
6,189,173
198,968
 
Legrand SA
26,484,366
4,263
 
LVMH Moet Hennessy Louis Vuitton SE
2,227,953
125,400
 
Metropole Television SA(a)
1,936,086
1,843
 
Nexans SA
240,385
134,500
 
Orange SA
2,046,064
79,795
 
Pernod Ricard SA
7,943,059
35,500
 
Quadient SA
663,268
57,300
 
Rexel SA
1,762,094
81,300
 
Rubis SCA
2,620,300
36,122
 
Safran SA
11,723,397
9,505
 
SCOR SE
313,203
39,452
 
Societe BIC SA
2,447,071
367,451
 
Societe Generale SA
20,981,739
15,100
 
Sopra Steria Group
3,674,661
219,200
 
Television Francaise 1 SA(a)
2,270,042
5,837
 
Thales SA
1,713,620
513,940
 
TotalEnergies SE
31,501,029
2,522
 
Unibail-Rodamco-Westfield, REIT*
240,513
4,629
 
Valeo SE
50,597
2,946
 
Vinci SA
433,351
26,812
 
Vivendi SE*
92,285
 
 
288,456,000
 
Georgia — 0.1%
45,361
 
Lion Finance Group PLC
4,402,203
4,128
 
TBC Bank Group PLC
262,563
 
 
4,664,766
 
Germany — 7.5%
24,215
 
adidas AG
5,624,848
25,019
 
Allianz SE
10,101,662
5,717
 
Auto1 Group SE* 144A
183,863
77,000
 
Bayer AG
2,307,338
54,200
 
Bayerische Motoren Werke AG
4,798,391
36See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Germany — continued
49,087
 
Beiersdorf AG
6,144,528
34,299
 
Bilfinger SE
3,290,336
333,200
 
Commerzbank AG
10,476,529
6,040
 
Continental AG
525,231
3,716
 
CTS Eventim AG & Co. KGaA
461,149
186,900
 
Daimler Truck Holding AG
8,815,181
219,400
 
Deutsche Bank AG
6,486,677
71,847
 
Deutsche Boerse AG
23,362,225
37,334
 
Deutsche Lufthansa AG
314,563
118,200
 
Deutsche Pfandbriefbank AG 144A
728,713
141,365
 
Deutsche Post AG
6,511,917
185,110
 
Deutsche Telekom AG
6,753,690
41,600
 
Fresenius SE & Co. KGaA
2,084,889
43,361
 
GEA Group AG
3,022,822
23,400
 
Heidelberg Materials AG
5,478,546
45,100
 
HUGO BOSS AG
2,079,055
259,970
 
Infineon Technologies AG
11,023,404
1,621
 
IONOS Group SE*
75,953
9,857
 
K&S AG
180,045
57,331
 
Knorr-Bremse AG
5,521,997
13,078
 
Krones AG
2,149,203
117,745
 
Mercedes-Benz Group AG
6,865,268
10,995
 
MTU Aero Engines AG
4,872,426
26,320
 
Nemetschek SE
3,801,473
7,562
 
Nordex SE*
149,340
87,095
 
Puma SE
2,369,726
700
 
Rational AG
585,033
6,749
 
Rheinmetall AG
14,229,259
194,045
 
SAP SE
58,820,595
414,900
 
Schaeffler AG
2,216,687
15,262
 
Scout24 SE 144A
2,097,356
34,980
 
Siemens AG
8,940,271
178,711
 
Siemens Energy AG*
20,580,409
2,122
 
Stroeer SE & Co. KGaA
126,860
53,077
 
Symrise AG Class A
5,553,832
25,000
 
Talanx AG
3,226,035
54,162
 
TeamViewer SE* 144A
607,627
30,280
 
thyssenkrupp AG
324,031
27,628
 
TUI AG*
240,601
87,300
 
United Internet AG
2,429,273
1,288
 
Volkswagen AG
138,691
303,880
 
Zalando SE* 144A
9,970,156
 
 
276,647,704
 
Greece — 0.2%
38,700
 
Metlen Energy & Metals SA
2,094,568
302,858
 
National Bank of Greece SA
3,858,609
 
 
5,953,177
See accompanying Notes to the Schedule of Investments
37

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Guatemala — 0.0%
5,639
 
Millicom International Cellular SA
211,293
 
Hong Kong — 2.2%
1,181,200
 
AIA Group Ltd.
10,622,197
15,600
 
ASMPT Ltd.
114,429
439,500
 
CK Asset Holdings Ltd.
1,940,065
37,500
 
CK Infrastructure Holdings Ltd.
248,319
100,500
 
CLP Holdings Ltd.
846,571
19,012
 
Futu Holdings Ltd., ADR
2,349,693
47,200
 
Hang Seng Bank Ltd.
708,153
63,000
 
Henderson Land Development Co. Ltd.
220,671
233,000
 
HKT Trust & HKT Ltd.
347,954
576,900
 
Hong Kong Exchanges & Clearing Ltd.
30,867,085
138,300
 
Hongkong Land Holdings Ltd.
798,566
7,600
 
Jardine Matheson Holdings Ltd.
365,359
196,500
 
Kerry Properties Ltd.
507,666
635,500
 
Link REIT, REIT
3,387,775
85,500
 
MTR Corp. Ltd.
307,421
255,000
 
PCCW Ltd.
173,277
689,500
 
Power Assets Holdings Ltd.
4,431,577
121,119
 
Prudential PLC
1,518,032
389,000
 
Sun Hung Kai Properties Ltd.
4,466,665
26,000
 
Swire Pacific Ltd. Class A
223,001
496,500
 
Techtronic Industries Co. Ltd.
5,469,178
9,510,000
 
Tongda Group Holdings Ltd.*
120,048
2,792,000
 
United Laboratories International Holdings Ltd.
5,349,512
7,335,500
 
WH Group Ltd. 144A
7,064,672
87,000
 
Wharf Real Estate Investment Co. Ltd.
246,373
157,000
 
Yue Yuen Industrial Holdings Ltd.
240,556
 
 
82,934,815
 
Hungary — 0.1%
223,400
 
MOL Hungarian Oil & Gas PLC
1,938,037
95,800
 
Richter Gedeon Nyrt
2,813,414
 
 
4,751,451
 
India — 0.3%
73,890
 
MakeMyTrip Ltd.*
7,242,698
802,900
 
Redington Ltd.
3,052,029
 
 
10,294,727
 
Ireland — 1.4%
2,629,624
 
AIB Group PLC
21,558,350
1,189,228
 
Bank of Ireland Group PLC
16,911,297
126,940
 
Kerry Group PLC Class A
13,969,752
 
 
52,439,399
 
Israel — 0.7%
209,233
 
Bank Hapoalim BM
4,019,261
316,972
 
Bank Leumi Le-Israel BM
5,899,678
38See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Israel — continued
126,656
 
Bezeq The Israeli Telecommunication Corp. Ltd.
216,311
2,848
 
Clal Insurance Enterprises Holdings Ltd.
126,013
1,110
 
Elbit Systems Ltd.(b)
493,678
618
 
Elbit Systems Ltd.(b)
277,791
3,858
 
First International Bank of Israel Ltd.
279,376
5,479
 
Harel Insurance Investments & Financial Services Ltd.
153,635
31,673
 
ICL Group Ltd.
217,045
233
 
Israel Corp. Ltd.
77,786
249,942
 
Israel Discount Bank Ltd. Class A
2,492,907
47,047
 
Mizrahi Tefahot Bank Ltd.
3,068,164
3,162
 
Nice Ltd.*
535,956
22,228
 
Nice Ltd., ADR*
3,754,532
1,390
 
Oddity Tech Ltd. Class A *
104,903
10,974
 
Phoenix Financial Ltd.
317,928
4,002
 
Plus500 Ltd.
186,267
11,682
 
Shufersal Ltd.
134,199
119,700
 
Teva Pharmaceutical Industries Ltd.*
2,015,792
2,928
 
Wix.com Ltd.*
463,971
 
 
24,835,193
 
Italy — 5.4%
1,974,842
 
A2A SpA
5,298,118
7,052
 
Azimut Holding SpA
225,098
3,634
 
Banca Generali SpA
201,332
33,165
 
Banca Monte dei Paschi di Siena SpA
281,291
27,085
 
Banca Popolare di Sondrio SpA
375,330
92,178
 
Banco BPM SpA(a)
1,072,960
11,333
 
BFF Bank SpA* 144A
123,823
460,959
 
BPER Banca SpA(a)
4,176,941
5,345
 
Buzzi SpA
295,403
49,614
 
Coca-Cola HBC AG
2,571,463
988,965
 
Enel SpA
9,353,749
256,377
 
Eni SpA
4,138,034
25,430
 
Ferrari NV
12,424,786
37,346
 
FinecoBank Banca Fineco SpA
826,050
304,740
 
Generali
10,809,519
156,564
 
Infrastrutture Wireless Italiane SpA(a) 144A
1,907,936
7,260
 
Interpump Group SpA
301,299
4,817,992
 
Intesa Sanpaolo SpA
27,675,750
294,535
 
Iveco Group NV
5,776,273
615,606
 
Leonardo SpA(a)
34,594,426
7,619
 
Lottomatica Group SpA
210,751
8,021
 
Maire SpA
105,586
209,404
 
Mediobanca Banca di Credito Finanziario SpA(a)
4,853,122
673,960
 
MFE-MediaForEurope NV Class A (a)
2,302,936
27,166
 
Nexi SpA 144A
161,869
501,000
 
Pirelli & C SpA 144A
3,443,603
262,370
 
Poste Italiane SpA(a) 144A
5,618,821
16,278
 
Prysmian SpA
1,143,919
See accompanying Notes to the Schedule of Investments
39

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Italy — continued
165,365
 
Ryanair Holdings PLC, ADR
9,536,599
590,393
 
Telecom Italia SpA*(a)
290,198
361,135
 
Terna - Rete Elettrica Nazionale
3,701,691
614,991
 
UniCredit SpA
41,103,890
252,857
 
Unipol Assicurazioni SpA
4,995,923
31,466
 
Webuild SpA(a)
132,879
 
 
200,031,368
 
Japan — 17.6%
38,000
 
Acom Co. Ltd.
111,973
54,100
 
Advantest Corp.
3,995,293
44,600
 
Aeon Co. Ltd.(a)
1,363,733
11,300
 
AEON Financial Service Co. Ltd.
100,170
2,300
 
AEON REIT Investment Corp., REIT
2,017,936
11,500
 
AGC, Inc.(a)
335,461
28,200
 
Aisin Corp.
358,648
39,300
 
Ajinomoto Co., Inc.
1,045,683
11,400
 
Alfresa Holdings Corp.
155,223
37,100
 
Amano Corp.
1,148,277
25,900
 
ANA Holdings, Inc.
506,029
25,500
 
Artience Co. Ltd.(a)
530,177
300
 
Asahi Group Holdings Ltd.(a)
4,003
11,000
 
Asahi Intecc Co. Ltd.
173,383
134,500
 
Astellas Pharma, Inc.
1,314,816
122,100
 
Bandai Namco Holdings, Inc.
4,357,672
34,500
 
BayCurrent, Inc.
1,771,936
16,900
 
BIPROGY, Inc.
703,225
238,000
 
Brother Industries Ltd.
4,084,960
67,100
 
Canon, Inc.(a)
1,937,580
158,800
 
Capcom Co. Ltd.
5,404,897
162,500
 
Central Japan Railway Co.
3,628,474
748,394
 
Chiba Bank Ltd.
6,875,067
105,100
 
Chubu Electric Power Co., Inc.
1,295,725
9,700
 
Chudenko Corp.
222,757
15,400
 
Chugoku Electric Power Co., Inc.(a)
75,832
336,000
 
Citizen Watch Co. Ltd.
1,981,012
114,200
 
Coca-Cola Bottlers Japan Holdings, Inc.
1,838,405
7,000
 
COMSYS Holdings Corp.
161,396
5,500
 
Cosmo Energy Holdings Co. Ltd.
234,129
1,800
 
Cosmos Pharmaceutical Corp.
113,941
227,200
 
Credit Saison Co. Ltd.
6,105,404
114,200
 
CyberAgent, Inc.
1,304,236
447,500
 
Daicel Corp.
3,730,656
204,400
 
Dai-ichi Life Holdings, Inc.
1,540,360
111,200
 
Daiichi Sankyo Co. Ltd.
2,581,479
21,500
 
Daikin Industries Ltd.
2,532,239
58,900
 
Daiwa House Industry Co. Ltd.
2,022,996
552,900
 
Daiwa Securities Group, Inc.
3,920,401
57,500
 
DeNA Co. Ltd.(a)
1,059,243
40See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Japan — continued
58,600
 
East Japan Railway Co.
1,260,811
13,700
 
Eisai Co. Ltd.
392,343
99,200
 
Electric Power Development Co. Ltd.
1,685,221
224,300
 
ENEOS Holdings, Inc.
1,103,695
90,000
 
Ezaki Glico Co. Ltd.(a)
2,871,081
21,900
 
FANUC Corp.
593,908
10,700
 
Fast Retailing Co. Ltd.
3,655,440
121,000
 
Food & Life Cos. Ltd.
5,875,643
5,900
 
Fuji Corp.
109,408
41,600
 
Fukuoka Financial Group, Inc.
1,104,509
28,700
 
Futaba Industrial Co. Ltd.
158,353
6,600
 
GungHo Online Entertainment, Inc.
126,159
49,800
 
Hankyu Hanshin Holdings, Inc.
1,349,453
39,000
 
Hirose Electric Co. Ltd.
4,696,622
3,900
 
Hisamitsu Pharmaceutical Co., Inc.
110,597
331,200
 
Hitachi Ltd.
9,565,255
57,000
 
Hokkaido Electric Power Co., Inc.(a)
295,330
751,400
 
Honda Motor Co. Ltd.
7,223,498
21,400
 
Hoya Corp.
2,532,760
23,300
 
Ichinen Holdings Co. Ltd.
253,848
64,000
 
Idemitsu Kosan Co. Ltd.
386,107
9,500
 
Iida Group Holdings Co. Ltd.(a)
133,307
477,000
 
Inpex Corp.(a)
6,672,563
24,200
 
Internet Initiative Japan, Inc.
476,260
256,000
 
Isuzu Motors Ltd.
3,231,243
14,900
 
J Front Retailing Co. Ltd.
201,914
2,600
 
Jaccs Co. Ltd.
71,930
8,400
 
Japan Airlines Co. Ltd.
170,593
171,600
 
Japan Exchange Group, Inc.
1,734,719
533,000
 
Japan Petroleum Exploration Co. Ltd.
3,737,212
261,000
 
Japan Post Bank Co. Ltd.
2,808,951
1,056,400
 
Japan Post Holdings Co. Ltd.
9,721,160
265,000
 
Japan Post Insurance Co. Ltd.
5,958,314
21,700
 
Japan Securities Finance Co. Ltd.
262,724
13,400
 
JTEKT Corp.
109,670
4,800
 
Kadokawa Corp.
132,947
166,200
 
Kakaku.com, Inc.
3,074,289
120,400
 
Kamigumi Co. Ltd.
3,333,469
64,900
 
Kanadevia Corp.
436,190
89,700
 
Kaneka Corp.
2,462,562
239,700
 
Kanematsu Corp.
4,536,184
45,200
 
Kansai Electric Power Co., Inc.
533,283
92,200
 
Kao Corp.(a)
4,114,209
15,900
 
Kato Sangyo Co. Ltd.
604,360
333,200
 
KDDI Corp.
5,707,053
6,300
 
Keio Corp.
152,901
24,300
 
Keyence Corp.
9,727,667
44,100
 
Kikkoman Corp.
407,424
31,900
 
Kintetsu Group Holdings Co. Ltd.
602,842
See accompanying Notes to the Schedule of Investments
41

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Japan — continued
145,200
 
Kirin Holdings Co. Ltd.(a)
2,027,153
71,900
 
Kitz Corp.(a)
587,928
76,200
 
Kohnan Shoji Co. Ltd.
2,057,149
128,500
 
Komatsu Ltd.
4,193,287
10,300
 
Konami Group Corp.
1,621,551
16,686
 
Kose Corp.(a)
653,549
28,000
 
Kyowa Kirin Co. Ltd.(a)
478,582
25,200
 
Kyushu Electric Power Co., Inc.
224,579
7,600
 
Life Corp.
116,248
85,100
 
Lion Corp.(a)
877,765
219,500
 
Lixil Corp.
2,534,389
925,800
 
LY Corp.
3,398,845
427,800
 
M3, Inc.
5,857,901
133,600
 
Macnica Holdings, Inc.
1,787,910
13,600
 
Makita Corp.
416,933
274,200
 
Marubeni Corp.
5,501,011
31,900
 
Maruha Nichiro Corp.
672,650
145,400
 
Mazda Motor Corp.
870,762
5,800
 
McDonald's Holdings Co. Japan Ltd.(a)
239,305
927,600
 
Mebuki Financial Group, Inc.
4,804,582
11,700
 
Medipal Holdings Corp.
188,889
6,100
 
Megmilk Snow Brand Co. Ltd.
115,280
47,900
 
MEIJI Holdings Co. Ltd.
1,056,643
16,900
 
MISUMI Group, Inc.
224,835
424,100
 
Mitsubishi Chemical Group Corp.
2,216,544
839,800
 
Mitsubishi Electric Corp.
18,081,913
196,500
 
Mitsubishi Gas Chemical Co., Inc.
3,002,905
363,000
 
Mitsubishi HC Capital, Inc.
2,669,055
35,600
 
Mitsubishi Motors Corp.
100,203
77,100
 
MIXI, Inc.
1,857,227
74,700
 
Mizuho Financial Group, Inc.
2,050,163
456,000
 
Mizuho Leasing Co. Ltd.
3,368,508
3,100
 
Modec, Inc.(a)
132,068
496,800
 
MonotaRO Co. Ltd.
9,776,381
379,900
 
MS&AD Insurance Group Holdings, Inc.
8,448,325
11,500
 
Nagoya Railroad Co. Ltd.(a)
129,644
622,600
 
NEC Corp.
18,179,572
245,600
 
Nexon Co. Ltd.
4,927,793
337,600
 
NGK Insulators Ltd.
4,219,185
67,600
 
NH Foods Ltd.
2,336,046
13,400
 
Nichirei Corp.(a)
174,857
144,800
 
Nintendo Co. Ltd.
13,846,476
219,000
 
Nippon Express Holdings, Inc.(a)
4,373,595
6,800
 
Nippon Gas Co. Ltd.
125,046
118,800
 
Nippon Shinyaku Co. Ltd.
2,581,932
197,900
 
Nippon Soda Co. Ltd.
4,146,138
10,214,200
 
Nippon Telegraph & Telephone Corp.
10,874,730
56,400
 
Nippon Yusen KK
2,018,730
7,400
 
Nishi-Nippon Financial Holdings, Inc.
110,377
42See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Japan — continued
49,700
 
Nishi-Nippon Railroad Co. Ltd.(a)
698,932
12,200
 
Nisshin Seifun Group, Inc.
145,326
43,800
 
Nissin Foods Holdings Co. Ltd.
908,273
265,700
 
Nitto Denko Corp.
5,108,757
5,900
 
Nojima Corp.
128,654
1,318,100
 
Nomura Holdings, Inc.
8,629,915
185,500
 
Nomura Research Institute Ltd.
7,431,401
3,700
 
NS Solutions Corp.
104,125
36,700
 
OBIC Business Consultants Co. Ltd.
2,167,645
129,000
 
Obic Co. Ltd.
5,011,271
28,200
 
Odakyu Electric Railway Co. Ltd.
329,128
10,700
 
Okinawa Electric Power Co., Inc.
67,208
419,400
 
Olympus Corp.
4,961,249
203,500
 
Ono Pharmaceutical Co. Ltd.
2,199,124
390,000
 
ORIX Corp.
8,766,961
190,100
 
Osaka Gas Co. Ltd.
4,850,246
10,400
 
Otsuka Corp.
211,127
69,200
 
Otsuka Holdings Co. Ltd.
3,415,674
531,500
 
Panasonic Holdings Corp.
5,692,334
1,340,900
 
Persol Holdings Co. Ltd.
2,606,079
20,100
 
Raito Kogyo Co. Ltd.
398,355
204,300
 
Rakuten Bank Ltd.*
9,297,530
19,700
 
Recruit Holdings Co. Ltd.
1,156,388
492,400
 
Rengo Co. Ltd.
2,656,352
2,110,100
 
Resona Holdings, Inc.
19,308,387
12,000
 
Resorttrust, Inc.
146,281
29,400
 
Ricoh Co. Ltd.
276,726
16,400
 
Rinnai Corp.
405,310
379,700
 
Rohto Pharmaceutical Co. Ltd.
5,375,252
28,100
 
Round One Corp.
284,746
353,200
 
Ryohin Keikaku Co. Ltd.
16,888,641
29,500
 
San-In Godo Bank Ltd.
242,082
331,500
 
Sankyo Co. Ltd.
6,110,619
42,100
 
Sankyu, Inc.
2,246,829
19,500
 
Sanrio Co. Ltd.
940,368
295,600
 
Santen Pharmaceutical Co. Ltd.
3,380,200
18,200
 
Sanwa Holdings Corp.
601,539
29,600
 
Sanyo Chemical Industries Ltd.
746,882
31,600
 
SCREEN Holdings Co. Ltd.
2,558,240
13,800
 
SCSK Corp.
414,300
21,100
 
Sega Sammy Holdings, Inc.
504,610
255,900
 
Seiko Epson Corp.
3,388,013
148,200
 
Sekisui Chemical Co. Ltd.
2,671,037
356,700
 
Shimadzu Corp.
8,819,551
2,700
 
Shimamura Co. Ltd.
189,026
5,700
 
Shimano, Inc.
824,842
463,400
 
Shionogi & Co. Ltd.
8,336,158
43,800
 
Skylark Holdings Co. Ltd.(a)
914,420
693,300
 
SoftBank Corp.
1,068,137
See accompanying Notes to the Schedule of Investments
43

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Japan — continued
227,500
 
Sojitz Corp.
5,561,076
253,200
 
Sompo Holdings, Inc.
7,562,528
162,000
 
Square Enix Holdings Co. Ltd.
12,105,581
249,500
 
Subaru Corp.
4,321,658
88,600
 
Sugi Holdings Co. Ltd.(a)
2,020,310
99,500
 
Sumitomo Heavy Industries Ltd.(a)
2,033,103
81,000
 
Sumitomo Mitsui Financial Group, Inc.
2,024,486
112,800
 
Sumitomo Mitsui Trust Group, Inc.
2,981,044
20,900
 
Sumitomo Osaka Cement Co. Ltd.
545,917
17,900
 
Sumitomo Realty & Development Co. Ltd.
688,023
330,400
 
Sumitomo Rubber Industries Ltd.(a)
3,732,357
5,300
 
Sumitomo Warehouse Co. Ltd.
108,664
3,300
 
Sundrug Co. Ltd.
102,964
55,300
 
Suntory Beverage & Food Ltd.(a)
1,764,783
4,200
 
Suzuken Co. Ltd.
151,408
20,600
 
Sysmex Corp.
357,376
29,800
 
T&D Holdings, Inc.
649,846
123,900
 
Taisei Corp.
7,188,763
340,800
 
Takeda Pharmaceutical Co. Ltd.
10,487,990
773,900
 
Terumo Corp.
14,161,857
93,200
 
TIS, Inc.
3,116,145
50,400
 
Tobu Railway Co. Ltd.
867,606
70,600
 
Toho Co. Ltd.
4,158,957
4,600
 
Toho Gas Co. Ltd.
127,702
29,900
 
Tohoku Electric Power Co., Inc.
217,419
37,100
 
TOKAI Holdings Corp.(a)
254,863
13,000
 
Token Corp.
1,272,464
117,600
 
Tokio Marine Holdings, Inc.
4,945,797
178,300
 
Tokuyama Corp.
3,707,313
93,100
 
Tokyo Electric Power Co. Holdings, Inc.*
308,448
19,900
 
Tokyo Gas Co. Ltd.
659,559
31,900
 
Tokyu Corp.
377,946
14,800
 
Tomy Co. Ltd.
333,426
84,400
 
TOTO Ltd.
2,118,112
179,600
 
Toyo Suisan Kaisha Ltd.
11,887,727
111,300
 
Toyota Motor Corp.
1,905,994
35,400
 
Toyota Tsusho Corp.
797,138
32,300
 
Trend Micro, Inc.
2,224,438
210,600
 
TS Tech Co. Ltd.(a)
2,457,647
65,800
 
Tsubakimoto Chain Co.
815,775
2,100
 
Tsuruha Holdings, Inc.(a)
163,524
466,500
 
Unicharm Corp.
3,368,514
25,700
 
Valor Holdings Co. Ltd.
447,833
23,900
 
Warabeya Nichiyo Holdings Co. Ltd.
399,018
114,900
 
Yakult Honsha Co. Ltd.(a)
2,154,902
83,700
 
Yamaha Corp.
601,357
271,300
 
Yamaha Motor Co. Ltd.(a)
2,017,184
47,000
 
Yamato Kogyo Co. Ltd.
2,841,900
7,700
 
Yamazaki Baking Co. Ltd.
172,083
44See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Japan — continued
13,400
 
Yokogawa Electric Corp.
355,975
192,600
 
Yokohama Rubber Co. Ltd.(a)
5,267,764
9,000
 
Zensho Holdings Co. Ltd.
543,467
 
 
652,387,928
 
Luxembourg — 0.0%
6,840
 
Eurofins Scientific SE
485,721
 
Macau — 0.3%
1,953,000
 
Galaxy Entertainment Group Ltd.
8,690,241
797,200
 
Sands China Ltd.
1,663,483
 
 
10,353,724
 
Netherlands — 3.3%
232,812
 
ABN AMRO Bank NV CVA, GDR 144A
6,352,226
7,965
 
Adyen NV*(a) 144A
14,573,708
465,426
 
Aegon Ltd.
3,359,607
4,515
 
Arcadis NV
218,384
22,179
 
ASML Holding NV
17,695,732
41,211
 
ASR Nederland NV
2,727,714
81,586
 
Euronext NV 144A
13,912,120
31,960
 
EXOR NV
3,211,845
6,410
 
Heineken Holding NV
476,409
899,451
 
ING Groep NV
19,669,597
169,535
 
ING Groep NV, ADR
3,707,730
73,228
 
JDE Peet's NV(a)
2,085,161
209,400
 
Koninklijke Ahold Delhaize NV
8,724,038
222,725
 
NN Group NV
14,752,414
53,777
 
Universal Music Group NV
1,739,049
61,449
 
Wolters Kluwer NV
10,239,929
 
 
123,445,663
 
New Zealand — 0.1%
25,293
 
Xero Ltd.*
2,980,744
 
Nigeria — 0.0%
66,241
 
Airtel Africa PLC 144A
163,781
 
Norway — 0.8%
286,985
 
Aker BP ASA
7,292,757
100,400
 
Austevoll Seafood ASA
962,195
221,545
 
DNB Bank ASA
6,105,786
50,342
 
Equinor ASA
1,266,034
8,737
 
Gjensidige Forsikring ASA
220,649
100,715
 
Kongsberg Gruppen ASA
3,891,004
118,600
 
Mowi ASA
2,282,415
178,300
 
Orkla ASA
1,930,271
27,309
 
Storebrand ASA
385,790
239,865
 
Telenor ASA
3,731,582
See accompanying Notes to the Schedule of Investments
45

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Norway — continued
5,541
 
Vend Marketplaces ASA Class B
186,168
 
 
28,254,651
 
Portugal — 0.5%
536,228
 
Banco Comercial Portugues SA Class R
416,368
228,482
 
Galp Energia SGPS SA
4,179,987
383,117
 
Jeronimo Martins SGPS SA
9,667,711
1,703,426
 
Sonae SGPS SA
2,416,603
 
 
16,680,669
 
Russia — 0.0%
3,792,080
 
Gazprom PJSC(c)(d)(e)
843,000
 
GMK Norilskiy Nickel PAO*(c)(d)(e)
113,778
 
LUKOIL PJSC(c)(d)(e)
18,119
 
Novatek PJSC(c)(d)(e)
169,349
 
Rosneft Oil Co. PJSC(c)(d)(e)
1,092,670
 
Sberbank of Russia PJSC(c)(d)(e)
296,674
 
Tatneft PJSC(c)(d)(e)
 
 
0
 
Singapore — 0.7%
126,600
 
ComfortDelGro Corp. Ltd.
142,163
390,100
 
Genting Singapore Ltd.
219,122
16,364
 
Hafnia Ltd.
81,792
122,300
 
Jardine Cycle & Carriage Ltd.(a)
2,341,377
72,600
 
Keppel Ltd.
423,425
159,200
 
Netlink NBN Trust(f)
110,001
51,400
 
SATS Ltd.
122,817
45,927
 
Sea Ltd., ADR*
7,345,564
84,300
 
Singapore Airlines Ltd.(a)
461,649
330,900
 
Singapore Exchange Ltd.
3,864,078
111,400
 
Singapore Technologies Engineering Ltd.
681,522
1,904,400
 
Singapore Telecommunications Ltd.
5,713,143
16,776
 
STMicroelectronics NV(b)
508,710
13,408
 
STMicroelectronics NV(b)
408,500
116,500
 
United Overseas Bank Ltd.
3,295,078
15,500
 
Venture Corp. Ltd.
138,897
 
 
25,857,838
 
South Africa — 0.0%
1,003,000
 
Old Mutual Ltd.(a)
679,179
 
South Korea — 0.7%
84,300
 
Doosan Bobcat, Inc.
3,637,201
1,496
 
Hyundai Mobis Co. Ltd.
317,386
109,837
 
Kia Corp.
7,864,222
184,397
 
Samsung Electronics Co. Ltd.
8,175,174
9,842
 
Samsung Fire & Marine Insurance Co. Ltd.
3,167,351
55,600
 
SK Telecom Co. Ltd.
2,335,434
 
 
25,496,768
46See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Spain — 3.4%
13,346
 
ACS Actividades de Construccion y Servicios SA(a)
923,610
34,554
 
Aena SME SA 144A
919,165
148,616
 
Amadeus IT Group SA
12,528,882
384,863
 
Banco Bilbao Vizcaya Argentaria SA
5,898,622
48,347
 
Banco Bilbao Vizcaya Argentaria SA, ADR
743,093
336,312
 
Banco de Sabadell SA
1,067,225
3,736,291
 
Banco Santander SA
30,823,478
102,501
 
Banco Santander SA, ADR
850,758
868,467
 
Bankinter SA(a)
11,296,777
2,593,922
 
CaixaBank SA
22,394,868
98,952
 
Cellnex Telecom SA* 144A
3,840,166
5,838
 
Fluidra SA(a)
145,296
820,690
 
Iberdrola SA
15,721,582
7,958
 
Indra Sistemas SA
345,374
60,876
 
Industria de Diseno Textil SA
3,161,171
1,222,320
 
Mapfre SA(a)
4,979,272
740,618
 
Repsol SA(a)
10,811,379
294,256
 
Unicaja Banco SA 144A
692,974
 
 
127,143,692
 
Sweden — 2.2%
17,313
 
Alfa Laval AB
723,938
283,422
 
Assa Abloy AB Class B
8,797,915
64,366
 
Atlas Copco AB Class B
910,408
208,714
 
Betsson AB Class B
4,379,944
170,592
 
Epiroc AB Class A
3,685,320
8,936
 
Evolution AB 144A
705,514
13,422
 
Getinge AB Class B
267,396
107,429
 
H & M Hennes & Mauritz AB Class B (a)
1,500,474
9,305
 
Hemnet Group AB
270,175
6,460
 
Industrivarden AB Class A
232,811
71,592
 
Industrivarden AB Class C
2,568,847
297,541
 
Investor AB Class B
8,741,275
6,264
 
L E Lundbergforetagen AB Class B
310,171
29,594
 
Loomis AB
1,235,382
20,070
 
Sectra AB Class B
738,427
297,600
 
Securitas AB Class B
4,420,713
87,592
 
Skandinaviska Enskilda Banken AB Class A
1,518,633
168,700
 
SKF AB Class B
3,846,546
277,334
 
Svenska Cellulosa AB SCA Class B
3,580,766
78,189
 
Svenska Handelsbanken AB Class A
1,038,039
287,398
 
Swedbank AB Class A
7,558,969
182,545
 
Tele2 AB Class B
2,648,767
250,056
 
Telefonaktiebolaget LM Ericsson, ADR
2,120,475
782,061
 
Telefonaktiebolaget LM Ericsson Class B
6,653,688
882,835
 
Telia Co. AB
3,164,743
1,631
 
Truecaller AB Class B
11,492
284,900
 
Volvo AB Class B
7,940,697
 
 
79,571,525
See accompanying Notes to the Schedule of Investments
47

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Switzerland — 4.4%
308,046
 
ABB Ltd.(b)
18,356,508
20,306
 
ABB Ltd.(b)
1,208,212
6,656
 
Accelleron Industries AG
468,020
40,770
 
Adecco Group AG
1,208,076
107,200
 
Avolta AG
5,815,201
1,838
 
Belimo Holding AG
1,872,994
4,757
 
Cembra Money Bank AG
597,139
200
 
Chocoladefabriken Lindt & Spruengli AG
3,354,332
70,295
 
Cie Financiere Richemont SA Class A
13,251,690
1,143
 
dormakaba Holding AG
1,043,713
67,188
 
DSM-Firmenich AG
7,119,256
1,230
 
Flughafen Zurich AG
349,824
66,409
 
Galderma Group AG
9,643,858
1,645
 
Geberit AG
1,292,399
120,350
 
Julius Baer Group Ltd.
8,094,868
1,261
 
Kardex Holding AG
438,894
11,959
 
Landis & Gyr Group AG(a)
837,780
5,017
 
Logitech International SA(b)
451,901
5,844
 
Logitech International SA(b)
526,720
25,356
 
Lonza Group AG
18,058,981
191,130
 
On Holding AG Class A *
9,948,317
216,649
 
Sandoz Group AG
11,865,693
14,935
 
Schindler Holding AG
5,545,129
14,840
 
Sika AG
4,014,175
15,786
 
Sonova Holding AG
4,700,417
132,193
 
Sportradar Group AG Class A *
3,711,979
4,989
 
Sunrise Communications AG Class A
280,859
3,173
 
Swatch Group AG(a)
106,594
19,942
 
Swatch Group AG Bearer Shares (a)
3,244,206
664
 
Swissquote Group Holding SA
375,939
5,418
 
Temenos AG
386,948
493,206
 
UBS Group AG(b)
16,704,534
59,066
 
UBS Group AG*(b)
1,997,612
7,669
 
Zurich Insurance Group AG
5,360,600
 
 
162,233,368
 
Taiwan — 0.9%
424,000
 
ASE Technology Holding Co. Ltd.
2,124,305
971,000
 
Chipbond Technology Corp.
1,778,561
413,000
 
Hon Hai Precision Industry Co. Ltd.
2,264,215
314,000
 
Taiwan Semiconductor Manufacturing Co. Ltd.
11,337,286
67,676
 
Taiwan Semiconductor Manufacturing Co. Ltd., ADR
15,327,937
1,296,000
 
United Microelectronics Corp.
1,964,767
 
 
34,797,071
 
Turkey — 0.1%
1,439,800
 
Coca-Cola Icecek AS
1,790,107
12,214
 
Eldorado Gold Corp.*
248,433
 
 
2,038,540
48See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
United Kingdom — 10.1%
110,100
 
3i Group PLC
6,217,548
13,543
 
Admiral Group PLC
606,921
4,483
 
AJ Bell PLC
31,381
17,653
 
Allfunds Group PLC
135,022
162,841
 
Associated British Foods PLC
4,592,986
86,460
 
AstraZeneca PLC(b)
12,037,313
14,720
 
AstraZeneca PLC(b)
2,057,136
52,604
 
Auto Trader Group PLC 144A
594,729
705,114
 
Aviva PLC
5,984,608
403,600
 
B&M European Value Retail SA
1,502,461
15,031
 
Babcock International Group PLC
236,316
515,877
 
Balfour Beatty PLC
3,694,408
7,969,133
 
Barclays PLC
36,848,677
558,142
 
Barclays PLC, ADR
10,375,860
9,364
 
Bodycote PLC
75,008
45,200
 
British American Tobacco PLC(b)
2,135,385
22,650
 
British American Tobacco PLC(b)
1,071,603
3,844
 
British American Tobacco PLC, ADR
181,937
1,848,090
 
BT Group PLC(a)
4,907,483
1,899,300
 
Centrica PLC
4,205,387
19,624
 
Chemring Group PLC
152,129
533,500
 
CK Hutchison Holdings Ltd.
3,293,383
388,905
 
Compass Group PLC
13,150,204
48,721
 
Croda International PLC
1,955,154
374,110
 
Diageo PLC
9,394,419
30,647
 
Diageo PLC, ADR
3,090,443
749,178
 
Direct Line Insurance Group PLC
3,148,161
456,268
 
Drax Group PLC
4,333,590
298,569
 
Hiscox Ltd.
5,136,177
556,400
 
HSBC Holdings PLC
6,725,080
96,534
 
IG Group Holdings PLC
1,408,525
421,387
 
IMI PLC
12,095,109
229,500
 
Imperial Brands PLC
9,044,958
84,237
 
Informa PLC
930,436
9,293
 
InterContinental Hotels Group PLC
1,059,299
48,605
 
Intertek Group PLC
3,157,990
523,700
 
J Sainsbury PLC
2,079,809
10,212
 
JET2 PLC
258,241
1,751,120
 
Kingfisher PLC
6,985,280
19,121
 
Lancashire Holdings Ltd.
150,696
320,213
 
Legal & General Group PLC
1,117,459
19,146,492
 
Lloyds Banking Group PLC
20,129,266
592,819
 
Lloyds Banking Group PLC, ADR
2,519,481
189,218
 
London Stock Exchange Group PLC
27,601,944
607,951
 
Man Group PLC
1,409,142
422,100
 
Marks & Spencer Group PLC
2,049,968
393,300
 
Mitchells & Butlers PLC*
1,544,643
32,159
 
MONY Group PLC
97,501
4,678,471
 
NatWest Group PLC
32,794,758
See accompanying Notes to the Schedule of Investments
49

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
United Kingdom — continued
421,633
 
Paragon Banking Group PLC
5,455,399
568,456
 
QinetiQ Group PLC
4,020,180
102,817
 
Reckitt Benckiser Group PLC
6,982,606
501,236
 
RELX PLC(b)
27,143,901
95,079
 
RELX PLC(b)
5,125,541
39,924
 
Rightmove PLC
431,843
482,453
 
Rolls-Royce Holdings PLC
6,399,259
287,132
 
Sage Group PLC
4,926,497
69,007
 
Serco Group PLC
191,056
552,115
 
Smith & Nephew PLC
8,422,492
37,496
 
Spirax Group PLC
3,060,581
114,695
 
Standard Chartered PLC(b)
1,897,603
10,600
 
Standard Chartered PLC(b)
177,069
1,391,600
 
Tesco PLC
7,652,970
50,139
 
TP ICAP Group PLC
187,280
8,111
 
Vesuvius PLC
43,628
5,764,678
 
Vodafone Group PLC
6,145,851
1,209,680
 
Vodafone Group PLC, ADR
12,895,189
 
 
375,464,359
 
United States — 9.1%
26,388
 
Adobe, Inc.*
10,208,990
54,741
 
Agilent Technologies, Inc.
6,459,985
59,027
 
Alcon AG
5,223,935
836,623
 
BP PLC
4,166,466
11,725
 
Cadence Design Systems, Inc.*
3,613,059
5,906
 
Carnival PLC, ADR*
150,662
921
 
Charter Communications, Inc. Class A *
376,514
18,840
 
Chipotle Mexican Grill, Inc.*
1,057,866
773,143
 
Comcast Corp. Class A
27,593,474
220,013
 
CRH PLC
20,197,193
51,550
 
CSL Ltd.
8,090,998
2,562
 
CyberArk Software Ltd.*
1,042,427
18,028
 
Dollar General Corp.
2,062,043
17,102
 
Electronic Arts, Inc.
2,731,189
574,739
 
Experian PLC
29,558,945
17,066
 
Ferrovial SE(a)
906,760
232,220
 
GFL Environmental, Inc.
11,717,821
626,004
 
GSK PLC
11,913,360
5,157,827
 
Haleon PLC
26,492,580
172,150
 
JBS NV, BDR*
2,466,878
303,984
 
Kenvue, Inc.
6,362,385
11,504
 
Lowe's Cos., Inc.
2,552,393
6,577
 
MDA Space Ltd.*
169,233
18,480
 
Merck & Co., Inc.
1,462,877
15,962
 
Meta Platforms, Inc. Class A
11,781,393
157,600
 
Novartis AG
19,004,592
45,590
 
Reliance Worldwide Corp. Ltd.
122,514
93,100
 
Roche Holding AG
30,337,862
50See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
United States — continued
46,400
 
Sanofi SA
4,473,921
126,808
 
Schneider Electric SE
33,696,661
311,200
 
Shell PLC
10,887,040
155,300
 
Signify NV 144A
4,189,905
9,271
 
Spotify Technology SA*
7,114,009
56,700
 
Swiss Re AG
9,808,040
238,924
 
Tenaris SA
4,447,135
47,651
 
Verizon Communications, Inc.
2,061,859
80,388
 
Walt Disney Co.
9,968,916
6,834
 
Waters Corp.*
2,385,339
 
 
336,857,219
 
Zambia — 0.0%
41,123
 
First Quantum Minerals Ltd.*
729,033
 
TOTAL COMMON STOCKS (COST $2,772,336,305)
3,509,640,027
 
INVESTMENT COMPANIES — 0.4%
 
United States — 0.4%
22,703
 
iShares Core MSCI EAFE ETF
1,895,247
100,474
 
iShares MSCI EAFE ETF
8,981,371
3,309
 
iShares MSCI Eurozone ETF
196,720
61,006
 
Vanguard FTSE Developed Markets ETF
3,477,952
 
TOTAL INVESTMENT COMPANIES (COST $12,725,664)
14,551,290
 
PREFERRED STOCKS — 0.3%
 
Germany — 0.3%
8,471
 
Porsche Automobil Holding SE, 5.68%
334,726
93,332
 
Volkswagen AG, 7.09%
9,821,105
 
 
10,155,831
 
TOTAL PREFERRED STOCKS (COST $17,791,181)
10,155,831
Par Value ($)
 
Description
Value ($)
 
SHORT-TERM INVESTMENT — 1.5%
 
Mutual Fund - Securities Lending Collateral — 1.5%
54,655,973
 
State Street Navigator Securities Lending Government Money Market Portfolio,
4.35%(g)(h)
54,655,973
 
TOTAL SHORT-TERM INVESTMENT (COST $54,655,973)
54,655,973
 
TOTAL INVESTMENTS97.0%
(Cost $2,857,509,123)
3,589,003,121
 
Other Assets and Liabilities (net) — 3.0%
111,827,451
 
NET ASSETS — 100.0%
$3,700,830,572
See accompanying Notes to the Schedule of Investments
51

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
 
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)
Level 3 - significant unobservable inputs were used in determining the value of this security in the
Fund.
(d)
Securities fair valued by the Valuation Committee as approved by the Board of Trustees. The total
market value of the securities at period end is $0 which represents 0.0% of net assets. The
aggregate tax cost of these securities held at June 30, 2025 was $29,569,045.
(e)
Illiquid securities represent Russian securities impacted by the Russian/Ukraine crisis. The total
market value of the securities at period end is $0 which represents 0.0% of net assets. The
aggregate cost of these securities held at June 30, 2025 was $29,569,045.
(f)
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.
(g)
The rate disclosed is the 7-day net yield as of June 30, 2025.
(h)
Represents an investment of securities lending cash collateral.
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 buyers.
The total market value of the securities at period end is $98,844,038 which represents 2.7% of net
assets.
Futures Contracts
Number of
Contracts
Description
Expiration Date
Notional
Value
Market Value/
Unrealized
Appreciation
(Depreciation)
Buys
 
 
754
MSCI EAFE Index
Sep 2025
$101,100,090
$842,499
Abbreviations
ADR
American Depository Receipt
BDR
Brazilian Depositary Receipt
CVA
Certificaten Van Aandelen
ETF
Exchange-traded fund
GDR
Global Depository Receipt
REIT
Real Estate Investment Trust
52See accompanying Notes to the Schedule of Investments

Mercer Non-US Core Equity Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Industry Sector Summary (Unaudited)
% of Net Assets
Financial
26.8
Consumer, Non-cyclical
16.0
Industrial
15.0
Consumer, Cyclical
10.9
Technology
8.3
Basic Materials
6.5
Communications
6.1
Energy
3.5
Utilities
2.0
Investment Companies
0.4
Diversified
0.0*
Short-Term Investment
1.5
Other Assets and Liabilities (net)
3.0
 
100.0%
*
Amount rounds to zero.
See accompanying Notes to the Schedule of Investments
53

Mercer Core Fixed Income Fund
Schedule of Investments
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
DEBT OBLIGATIONS — 98.3%
 
Asset Backed Securities — 10.2%
160,592
 
ABPCI Direct Lending Fund ABS I Ltd., Series 2020-1A, Class A, 3.20%, due 12/29/30
144A
157,703
1,800,000
 
Affirm Master Trust, Series 2025-1A, Class A, 4.99%, due 02/15/33 144A
1,814,795
148,000
 
Aligned Data Centers Issuer LLC, Series 2021-1A, Class A2, 1.94%, due 08/15/46 144A
143,090
221,000
 
Aligned Data Centers Issuer LLC, Series 2023-2A, Class A2, 6.50%, due 11/16/48 144A
225,593
209,486
 
AmeriCredit Automobile Receivables Trust, Series 2021-2, Class C, 1.01%, due 01/19/27
207,511
400,000
 
AmeriCredit Automobile Receivables Trust, Series 2021-3, Class C, 1.41%, due 08/18/27
392,540
700,000
 
AmeriCredit Automobile Receivables Trust, Series 2023-1, Class C, 5.80%, due 12/18/28
714,680
800,000
 
AmeriCredit Automobile Receivables Trust, Series 2023-2, Class C, 6.00%, due 07/18/29
822,412
1,528,648
 
AMSR Trust, Series 2021-SFR2, Class A, 1.53%, due 08/17/38 144A
1,476,438
2,742,000
 
AMSR Trust, Series 2022-SFR3, Class A, 4.00%, due 10/17/39 144A
2,712,254
181,000
 
AMSR Trust, Series 2025-SFR1, Class A, 3.66%, due 06/17/42 144A
172,919
4,000,000
EUR
Anchorage Capital Europe CLO 6 DAC, Series 6A, Class AR, 3.99% (3 mo. EURIBOR
+ 1.75%), due 01/22/38(b) 144A
4,705,905
95,694
 
Aqua Finance Trust, Series 2021-A, Class A, 1.54%, due 07/17/46 144A
88,141
500,062
 
Arbys Funding LLC, Series 2020-1A, Class A2, 3.24%, due 07/30/50 144A
477,523
3,163,000
 
Avis Budget Rental Car Funding AESOP LLC, Series 2024-3A, Class A, 5.23%, due
12/20/30 144A
3,237,987
2,500,000
EUR
Barings Euro CLO DAC, Series 2015-1A, Class ARR, 3.14% (3 mo. EURIBOR +
0.98%), due 07/25/35(b) 144A
2,933,743
1,248,030
EUR
BNPP AM Euro CLO DAC, Series 2018-1A, Class AR, 2.88% (3 mo. EURIBOR +
0.60%), due 04/15/31(b) 144A
1,451,628
1,131,363
 
BRAVO Residential Funding Trust, Series 2024-CES1, Class A1A, 6.38%, due
04/25/54(c) 144A
1,143,102
881,499
EUR
Carlyle Global Market Strategies Euro CLO Ltd., Series 2014-2A, Class AR1, 2.89% (3
mo. EURIBOR + 0.75%), due 11/15/31(b) 144A
1,032,992
310,000
 
CarMax Auto Owner Trust, Series 2021-3, Class C, 1.25%, due 05/17/27
306,697
300,000
 
CarMax Auto Owner Trust, Series 2021-4, Class C, 1.38%, due 07/15/27
295,141
400,000
 
CarMax Auto Owner Trust, Series 2022-1, Class C, 2.20%, due 11/15/27
392,576
200,000
 
CarMax Auto Owner Trust, Series 2022-1, Class D, 2.47%, due 07/17/28
196,369
407,452
 
CF Hippolyta Issuer LLC, Series 2020-1, Class A1, 1.69%, due 07/15/60 144A
403,165
393,943
 
CF Hippolyta Issuer LLC, Series 2021-1A, Class A1, 1.53%, due 03/15/61 144A
379,211
304,000
 
CLI Funding IX LLC, Series 2025-1A, Class A, 5.35%, due 06/20/50 144A
306,533
383,839
 
CLI Funding VI LLC, Series 2020-1A, Class A, 2.08%, due 09/18/45 144A
357,054
287,737
 
CLI Funding VIII LLC, Series 2021-1A, Class A, 1.64%, due 02/18/46 144A
264,167
282,945
 
CLI Funding VIII LLC, Series 2022-1A, Class A, 2.72%, due 01/18/47 144A
258,732
295,000
 
Compass Datacenters Issuer II LLC, Series 2024-1A, Class A1, 5.25%, due 02/25/49
144A
296,708
328,000
 
Compass Datacenters Issuer II LLC, Series 2025-1A, Class A1, 5.32%, due 05/25/50
144A
332,929
199,000
 
Compass Datacenters Issuer III LLC, Series 2025-2A, Class A2, 5.84%, due 02/25/50
144A
201,664
235,000
 
Consolidated Communications LLC/Fidium Fiber Finance Holdco LLC, Series 2025-1A,
Class A2, 6.00%, due 05/20/55 144A
242,907
2,250,000
 
Crown City CLO I, Series 2020-1A, Class A1AR, 5.72% (3 mo. USD Term SOFR +
1.45%), due 07/20/34(b) 144A
2,251,321
1,578,732
EUR
CVC Cordatus Loan Fund VII DAC, Series 7A, Class ARR, 2.61% (3 mo. EURIBOR +
0.63%), due 09/15/31(b) 144A
1,851,257
457,000
 
CyrusOne Data Centers Issuer I LLC, Series 2023-1A, Class A2, 4.30%, due 04/20/48
144A
446,363
54See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
449,000
 
CyrusOne Data Centers Issuer I LLC, Series 2024-2A, Class A2, 4.50%, due 05/20/49
144A
437,827
278,000
 
DataBank Issuer LLC, Series 2021-1A, Class A2, 2.06%, due 02/27/51 144A
271,995
258,772
 
DB Master Finance LLC, Series 2017-1A, Class A2II, 4.03%, due 11/20/47 144A
256,307
152,000
 
Diamond Infrastructure Funding LLC, Series 2021-1A, Class C, 3.48%, due 04/15/49
144A
143,703
1,419,355
 
Domino's Pizza Master Issuer LLC, Series 2018-1A, Class A2I, 4.12%, due 07/25/48
144A
1,415,089
389,972
 
Domino's Pizza Master Issuer LLC, Series 2021-1A, Class A2I, 2.66%, due 04/25/51
144A
364,499
338,207
 
Driven Brands Funding LLC, Series 2020-2A, Class A2, 3.24%, due 01/20/51 144A
323,640
402,060
 
Driven Brands Funding LLC, Series 2021-1A, Class A2, 2.79%, due 10/20/51 144A
376,408
531,000
 
FirstKey Homes Trust, Series 2021-SFR1, Class D, 2.19%, due 08/17/38 144A
512,187
300,000
 
Ford Credit Auto Owner Trust, Series 2022-A, Class C, 2.14%, due 07/15/29
296,606
242,000
 
Frontier Issuer LLC, Series 2024-1, Class C, 11.16%, due 06/20/54 144A
272,079
500,000
 
GM Financial Consumer Automobile Receivables Trust, Series 2023-3, Class B, 5.72%,
due 01/16/29
510,507
700,000
 
GM Financial Consumer Automobile Receivables Trust, Series 2023-4, Class B, 6.16%,
due 04/16/29
723,290
500,000
 
GM Financial Consumer Automobile Receivables Trust, Series 2023-4, Class C, 6.41%,
due 05/16/29
517,985
160,000
 
GM Financial Revolving Receivables Trust, Series 2024-1, Class A, 4.98%, due 12/11/36
144A
163,736
2,973,000
 
GMF Floorplan Owner Revolving Trust, Series 2023-2, Class A, 5.34%, due 06/15/30
144A
3,065,393
180,307
 
Golub Capital Partners ABS Funding Ltd., Series 2020-1A, Class A2, 3.21%, due
01/22/29 144A
179,532
387,012
 
Golub Capital Partners ABS Funding Ltd., Series 2021-1A, Class A2, 2.77%, due
04/20/29 144A
385,087
5,000,000
EUR
Harvest CLO XXXII DAC, Series 32A, Class A, 3.61% (3 mo. EURIBOR + 1.45%),
due 07/25/37(b) 144A
5,885,392
402,000
 
HI-FI Music IP Issuer LP, Series 2022-1A, Class A2, 3.94%, due 02/01/62 144A
392,999
167,000
 
Hotwire Funding LLC, Series 2024-1A, Class A2, 5.89%, due 06/20/54 144A
169,685
3,750,000
EUR
ICG Euro CLO DAC, Series 2023-1A, Class AR, 3.68% (3 mo. EURIBOR + 1.25%),
due 10/19/38(b) 144A
4,397,534
1,480,665
EUR
Invesco Euro CLO I DAC, Series 1A, Class A1R, 2.93% (3 mo. EURIBOR + 0.65%),
due 07/15/31(b) 144A
1,729,486
431,261
 
Invitation Homes Trust, Series 2024-SFR1, Class A, 4.00%, due 09/17/41 144A
420,593
263,340
 
Jersey Mike's Funding LLC, Series 2024-1A, Class A2, 5.64%, due 02/15/55 144A
268,269
1,276,486
 
JP Morgan Mortgage Trust, Series 2024-HE3, Class A1, 5.50% (SOFR 30-day average +
1.20%), due 02/25/55(b) 144A
1,274,850
2,000,000
 
Madison Park Funding XXXVIII Ltd., Series 2021-38A, Class A, 5.66% (3 mo. USD
Term SOFR + 1.38%), due 07/17/34(b) 144A
2,001,900
195,000
 
MetroNet Infrastructure Issuer LLC, Series 2023-1A, Class A2, 6.56%, due 04/20/53
144A
199,799
59,839
 
Navient Student Loan Trust, Series 2020-2A, Class A1A, 1.32%, due 08/26/69 144A
52,628
617,280
 
Neighborly Issuer LLC, Series 2021-1A, Class A2, 3.58%, due 04/30/51 144A
578,194
198,338
 
Neighborly Issuer LLC, Series 2022-1A, Class A2, 3.70%, due 01/30/52 144A
184,281
117,201
 
New Century Home Equity Loan Trust, Series 2003-A, Class A, 3.62% (1 mo. USD
Term SOFR + 0.83%), due 10/25/33(b) 144A
118,421
506,000
 
New Economy Assets - Phase 1 Sponsor LLC, Series 2021-1, Class A1, 1.91%, due
10/20/61 144A
476,802
See accompanying Notes to the Schedule of Investments
55

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
474,000
 
New Economy Assets - Phase 1 Sponsor LLC, Series 2021-1, Class B1, 2.41%, due
10/20/61 144A
435,291
4,750,000
 
NGC Ltd., Series 2024-1A, Class A1, 5.87% (3 mo. USD Term SOFR + 1.60%), due
07/20/37(b) 144A
4,766,088
52,232
 
NRZ Excess Spread-Collateralized Notes, Series 2021-FHT1, Class A, 3.10%, due
07/25/26 144A
51,012
1,994,000
 
PFS Financing Corp., Series 2024-B, Class A, 4.95%, due 02/15/29 144A
2,014,938
1,509,592
 
Planet Fitness Master Issuer LLC, Series 2024-1A, Class A2I, 5.77%, due 06/05/54
144A
1,533,851
1,543,163
 
Progress Residential Trust, Series 2022-SFR2, Class A, 2.95%, due 04/17/27 144A
1,501,195
3,115,697
 
Progress Residential Trust, Series 2024-SFR3, Class A, 3.00%, due 06/17/41 144A
2,940,881
224,000
 
Progress Residential Trust, Series 2025-SFR1, Class A, 3.40%, due 02/17/42(c) 144A
212,442
298,000
 
Progress Residential Trust, Series 2025-SFR2, Class A, 3.31%, due 04/17/42 144A
280,832
749,900
 
RCKT Mortgage Trust, Series 2024-CES3, Class A1A, 6.59%, due 05/25/44(d) 144A
760,212
3,800,000
 
Regatta 31 Funding Ltd., Series 2025-1A, Class A1, 5.40% (3 mo. USD Term SOFR +
1.17%), due 03/25/38(b) 144A
3,802,261
2,000,000
 
Regatta XII Funding Ltd., Series 2019-1A, Class ARR, 5.65% (3 mo. USD Term SOFR
+ 1.39%), due 10/15/37(b) 144A
2,006,138
1,057
 
Renaissance Home Equity Loan Trust, Series 2005-2, Class AF4, 5.43%, due 08/25/35(c)
1,055
433,000
 
Retained Vantage Data Centers Issuer LLC, Series 2023-1A, Class A2A, 5.00%, due
09/15/48 144A
429,868
302,000
 
RIN II Ltd., Series 2019-1A, Class AR, 5.74% (3 mo. USD Term SOFR + 1.48%), due
01/15/38(b) 144A
302,808
331,000
 
RIN XII LLC, Series 2025-1A, Class A1, 5.63% (3 mo. USD Term SOFR + 1.30%),
due 04/15/38(b) 144A
330,784
96,434
 
Santander Drive Auto Receivables Trust, Series 2021-2, Class D, 1.35%, due 07/15/27
96,299
200,000
 
Santander Drive Auto Receivables Trust, Series 2023-1, Class C, 5.09%, due 05/15/30
201,191
600,000
 
Santander Drive Auto Receivables Trust, Series 2023-3, Class C, 5.77%, due 11/15/30
609,870
900,000
 
Santander Drive Auto Receivables Trust, Series 2023-4, Class C, 6.04%, due 12/15/31
923,673
400,000
 
Santander Drive Auto Receivables Trust, Series 2023-6, Class B, 5.98%, due 04/16/29
407,023
100,000
 
Santander Drive Auto Receivables Trust, Series 2023-6, Class C, 6.40%, due 03/17/31
103,587
500,000
 
Santander Drive Auto Receivables Trust, Series 2024-1, Class C, 5.45%, due 03/15/30
506,021
500,000
 
Santander Drive Auto Receivables Trust, Series 2024-2, Class C, 5.84%, due 06/17/30
511,576
1,000,000
 
Santander Drive Auto Receivables Trust, Series 2024-3, Class C, 5.64%, due 08/15/30
1,021,283
1,000,000
 
Santander Drive Auto Receivables Trust, Series 2024-5, Class C, 4.78%, due 01/15/31
1,004,740
2,100,000
 
Santander Drive Auto Receivables Trust, Series 2025-1, Class C, 5.04%, due 03/17/31
2,125,458
2,700,000
 
Santander Drive Auto Receivables Trust, Series 2025-2, Class C, 5.06%, due 05/15/31
2,735,821
3,170,246
 
SBA Small Business Investment Cos., Series 2024-10A, Class 1, 5.04%, due 03/10/34
3,239,651
131,338
 
Servpro Master Issuer LLC, Series 2024-1A, Class A2, 6.17%, due 01/25/54 144A
135,526
39,228
 
SMB Private Education Loan Trust, Series 2021-A, Class APT2, 1.07%, due 01/15/53
144A
35,347
400,565
 
SMB Private Education Loan Trust, Series 2024-A, Class A1A, 5.24%, due 03/15/56
144A
407,948
455,433
 
SMB Private Education Loan Trust, Series 2024-E, Class A1A, 5.09%, due 10/16/56
144A
460,464
363,537
 
Sonic Capital LLC, Series 2020-1A, Class A2I, 3.85%, due 01/20/50 144A
356,066
363,825
 
Sonic Capital LLC, Series 2021-1A, Class A2I, 2.19%, due 08/20/51 144A
332,706
2,178,000
 
Stack Infrastructure Issuer LLC, Series 2021-1A, Class A2, 1.88%, due 03/26/46 144A
2,127,439
129,350
 
Subway Funding LLC, Series 2024-1A, Class A2I, 6.03%, due 07/30/54 144A
131,800
4,035,720
 
Subway Funding LLC, Series 2024-1A, Class A2II, 6.27%, due 07/30/54 144A
4,145,995
441,780
 
Subway Funding LLC, Series 2024-3A, Class A23, 5.91%, due 07/30/54 144A
438,645
56See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
163,945
 
Sunbird Engine Finance LLC, Series 2020-1A, Class A, 3.67%, due 02/15/45 144A
159,975
200,000
 
Switch ABS Issuer LLC, Series 2024-2A, Class A2, 5.44%, due 06/25/54 144A
201,763
386,000
 
Switch ABS Issuer LLC, Series 2025-1A, Class A2, 5.04%, due 03/25/55 144A
381,403
222,381
 
TIF Funding II LLC, Series 2021-1A, Class A, 1.65%, due 02/20/46 144A
200,134
4,000,000
 
Tikehau U.S. CLO IV Ltd., Series 2023-1A, Class A1, 6.46% (3 mo. USD Term SOFR
+ 2.20%), due 07/15/34(b) 144A
4,008,480
908,871
 
Towd Point Mortgage Trust, Series 2024-CES3, Class A1, 6.29%, due 05/25/64(d) 144A
918,092
909,605
 
Towd Point Mortgage Trust, Series 2024-CES4, Class A1, 5.12%, due 09/25/64(c) 144A
906,237
837,806
 
Towd Point Mortgage Trust, Series 2025-CRM1, Class A1, 5.80%, due 01/25/65(c) 144A
844,451
4,014,221
 
Tricon Residential Trust, Series 2023-SFR1, Class A, 5.10%, due 07/17/40 144A
4,049,278
1,397,596
 
Tricon Residential Trust, Series 2025-SFR1, Class A, 5.41% (1 mo. USD Term SOFR +
1.10%), due 03/17/42(b) 144A
1,398,437
391,140
 
Triton Container Finance VIII LLC, Series 2020-1A, Class A, 2.11%, due 09/20/45
144A
363,861
213,343
 
Triton Container Finance VIII LLC, Series 2021-1A, Class A, 1.86%, due 03/20/46
144A
195,077
872,089
 
U.S. Small Business Administration, Series 2013-20H, Class 1, 3.16%, due 08/01/33
839,861
591,088
 
U.S. Small Business Administration, Series 2013-20L, Class 1, 3.38%, due 12/01/33
568,497
746,340
 
U.S. Small Business Administration, Series 2014-20C, Class 1, 3.21%, due 03/01/34
712,677
281,581
 
U.S. Small Business Administration, Series 2014-20D, Class 1, 3.11%, due 04/01/34
270,505
246,336
 
U.S. Small Business Administration, Series 2014-20I, Class 1, 2.92%, due 09/01/34
233,891
695,920
 
U.S. Small Business Administration, Series 2020-25D, Class 1, 1.77%, due 04/01/45
580,688
2,378,562
 
U.S. Small Business Administration, Series 2022-25G, Class 1, 3.93%, due 07/01/47
2,259,105
2,063,860
 
U.S. Small Business Administration, Series 2022-25J, Class 1, 5.04%, due 10/01/47
2,091,619
1,659,529
 
U.S. Small Business Administration, Series 2023-25D, Class 1, 4.48%, due 04/01/48
1,632,953
1,274,387
 
U.S. Small Business Administration, Series 2023-25L, Class 1, 5.28%, due 12/01/48
1,304,093
1,791,119
 
U.S. Small Business Administration, Series 2024-25D, Class 1, 5.38%, due 04/01/49
1,841,336
249,000
 
Uniti Fiber ABS Issuer LLC, Series 2025-1A, Class A2, 5.88%, due 04/20/55 144A
255,189
335,000
 
Vantage Data Centers LLC, Series 2020-2A, Class A2, 1.99%, due 09/15/45 144A
314,749
409,962
 
VR Funding LLC, Series 2020-1A, Class A, 2.79%, due 11/15/50 144A
387,774
512,349
 
Wendy's Funding LLC, Series 2019-1A, Class A2I, 3.78%, due 06/15/49 144A
505,746
1,812,234
 
Wendy's Funding LLC, Series 2021-1A, Class A2I, 2.37%, due 06/15/51 144A
1,668,886
1,385,000
 
Wheels Fleet Lease Funding 1 LLC, Series 2024-3A, Class A1, 4.80%, due 09/19/39
144A
1,392,455
136,200
 
Willis Engine Structured Trust V, Series 2020-A, Class A, 3.23%, due 03/15/45 144A
129,963
250,000
 
Willis Engine Structured Trust VIII, Series 2025-A, Class A, 5.58%, due 06/15/50 144A
253,429
277,000
 
Wingstop Funding LLC, Series 2024-1A, Class A2, 5.86%, due 12/05/54 144A
282,766
144,583
 
World Omni Select Auto Trust, Series 2021-A, Class C, 1.09%, due 11/15/27
143,481
249,287
 
Zaxbys Funding LLC, Series 2021-1A, Class A2, 3.24%, due 07/30/51 144A
230,784
254,000
 
Zayo Issuer LLC, Series 2025-1A, Class A2, 5.65%, due 03/20/55 144A
259,907
 
 
136,275,780
 
Corporate Debt — 31.9%
225,000
 
1011778 BC ULC/New Red Finance, Inc., 3.88%, due 01/15/28 144A
219,371
65,000
 
AbbVie, Inc., 4.05%, due 11/21/39
57,003
130,000
 
AbbVie, Inc., 4.70%, due 05/14/45
116,622
445,000
 
AbbVie, Inc., 4.75%, due 03/15/45
401,292
155,000
 
AbbVie, Inc., 5.05%, due 03/15/34
157,874
500,000
 
AbbVie, Inc., 5.40%, due 03/15/54
486,529
1,340,000
 
Advocate Health & Hospitals Corp., 2.21%, due 06/15/30
1,212,798
See accompanying Notes to the Schedule of Investments
57

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
400,000
 
AEP Texas, Inc., 3.80%, due 10/01/47
292,978
315,000
 
AEP Transmission Co. LLC, 3.80%, due 06/15/49
235,440
2,250,000
 
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.00%, due 10/29/28
2,144,217
1,140,000
 
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.30%, due 01/30/32
1,033,468
211,000
 
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 6.50% (5 yr. CMT +
2.44%), due 01/31/56(b)
211,864
200,000
 
Aeropuertos Dominicanos Siglo XXI SA, 7.00%, due 06/30/34(e) 144A
208,333
247,440
 
AES Panama Generation Holdings SRL, 4.38%, due 05/31/30 144A
226,727
370,000
 
Aetna, Inc., 4.75%, due 03/15/44
315,010
332,000
 
Air Canada Pass-Through Trust, 10.50%, due 07/15/26 144A
350,675
2,060,000
 
Air Lease Corp., 5.20%, due 07/15/31
2,106,141
200,000
 
Aker BP ASA, 3.10%, due 07/15/31 144A
178,703
150,000
 
Aker BP ASA, 3.75%, due 01/15/30 144A
142,880
2,082,000
 
Aker BP ASA, 4.00%, due 01/15/31 144A
1,978,492
150,000
 
Aker BP ASA, 5.80%, due 10/01/54 144A
136,900
85,000
 
Alcoa Nederland Holding BV, 7.13%, due 03/15/31 144A
89,265
655,000
 
Alexandria Real Estate Equities, Inc., 2.00%, due 05/18/32
544,159
870,000
 
Alexandria Real Estate Equities, Inc., 5.50%, due 10/01/35
880,272
424,860
 
Alfa Desarrollo SpA, 4.55%, due 09/27/51 144A
312,868
461,000
 
Allied Universal Holdco LLC, 7.88%, due 02/15/31 144A
482,013
178,000
 
Allied Universal Holdco LLC/Allied Universal Finance Corp., 6.88%, due 06/15/30
144A
180,582
159,000
 
Ally Financial, Inc., 5.74% (SOFR + 1.96%), due 05/15/29(b)
161,864
255,000
 
Ally Financial, Inc., 6.18% (SOFR + 2.29%), due 07/26/35(b)
260,242
310,000
 
Ally Financial, Inc., 8.00%, due 11/01/31
353,138
141,000
 
Alpha Generation LLC, 6.75%, due 10/15/32 144A
145,443
143,000
 
AltaGas Ltd., 7.20% (5 yr. CMT + 3.57%), due 10/15/54(b) 144A
143,389
1,798,000
 
Amazon.com, Inc., 4.10%, due 04/13/62
1,411,122
260,000
 
Ambipar Lux SARL, 10.88%, due 02/05/33 144A
246,367
1,780,000
 
Ameren Illinois Co., 4.95%, due 06/01/33(e)
1,805,126
308,275
 
American Airlines Pass-Through Trust, 2.88%, due 01/11/36
272,223
287,112
 
American Airlines Pass-Through Trust, 3.15%, due 08/15/33
264,313
63,377
 
American Airlines Pass-Through Trust, 3.25%, due 04/15/30
59,484
384,031
 
American Airlines Pass-Through Trust, 3.50%, due 08/15/33
347,754
170,814
 
American Airlines Pass-Through Trust, 3.60%, due 04/15/31
157,916
239,850
 
American Airlines Pass-Through Trust, 3.65%, due 08/15/30
232,236
99,327
 
American Airlines Pass-Through Trust, 3.85%, due 08/15/29
95,905
272,025
 
American Airlines Pass-Through Trust, 3.95%, due 01/11/32
256,890
210,945
 
American Airlines Pass-Through Trust, 4.00%, due 08/15/30
202,088
331,143
 
American Airlines Pass-Through Trust, 4.10%, due 07/15/29
320,510
250,000
 
American Airlines, Inc., 7.25%, due 02/15/28(e) 144A
255,481
184,000
 
American Electric Power Co., Inc., 5.63%, due 03/01/33
191,373
235,000
 
American Tower Corp., 5.55%, due 07/15/33
242,520
235,000
 
American Tower Corp., 5.65%, due 03/15/33
245,087
2,305,000
 
American Tower Trust #1, 5.49%, due 03/15/53 144A
2,345,582
419,000
 
Amgen, Inc., 5.25%, due 03/02/30
431,851
843,000
 
Amgen, Inc., 5.25%, due 03/02/33
863,546
435,000
 
Amgen, Inc., 5.65%, due 03/02/53
425,024
128,000
 
AmWINS Group, Inc., 6.38%, due 02/15/29 144A
130,542
58See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
686,000
 
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc., 4.90%, due 02/01/46
629,318
265,000
 
Antero Midstream Partners LP/Antero Midstream Finance Corp., 5.38%, due 06/15/29
144A
263,188
240,000
 
Antero Midstream Partners LP/Antero Midstream Finance Corp., 6.63%, due 02/01/32
144A
248,054
108,000
 
Antero Resources Corp., 5.38%, due 03/01/30 144A
108,759
331,000
 
Apollo Debt Solutions BDC, 6.70%, due 07/29/31
344,073
545,000
 
Apollo Debt Solutions BDC, 6.90%, due 04/13/29
569,144
1,000,000
 
Apple, Inc., 3.85%, due 08/04/46
810,033
1,526,000
 
AppLovin Corp., 5.13%, due 12/01/29
1,546,306
980,000
 
AptarGroup, Inc., 3.60%, due 03/15/32
905,564
2,015,000
 
Aptiv Swiss Holdings Ltd., 3.25%, due 03/01/32(e)
1,804,324
875,000
 
Aptiv Swiss Holdings Ltd., 5.15%, due 09/13/34
845,076
148,000
 
ARES Capital Corp., 5.88%, due 03/01/29(e)
150,959
266,000
 
ARES Strategic Income Fund, 5.60%, due 02/15/30(e)
265,316
68,000
 
ARES Strategic Income Fund, 5.70%, due 03/15/28
68,572
359,000
 
ARES Strategic Income Fund, 5.80%, due 09/09/30 144A
360,366
234,000
 
ARES Strategic Income Fund, 6.20%, due 03/21/32
234,805
115,000
 
ARES Strategic Income Fund, 6.35%, due 08/15/29(e)
117,948
200,000
 
Aris Mining Corp., 8.00%, due 10/31/29 144A
204,217
148,000
 
Arsenal AIC Parent LLC, 8.00%, due 10/01/30 144A
158,129
213,000
 
Arthur J Gallagher & Co., 5.55%, due 02/15/55
204,448
73,000
 
Asbury Automotive Group, Inc., 4.63%, due 11/15/29 144A
70,536
250,000
 
Asbury Automotive Group, Inc., 4.75%, due 03/01/30
242,237
710,000
 
Ascension Health, 2.53%, due 11/15/29
662,202
150,000
 
Ascension Health, 3.11%, due 11/15/39
117,584
326,000
 
Ascent Resources Utica Holdings LLC/ARU Finance Corp., 5.88%, due 06/30/29(e)
144A
326,758
120,000
 
Ascent Resources Utica Holdings LLC/ARU Finance Corp., 6.63%, due 10/15/32 144A
122,211
100,000
 
Ascent Resources Utica Holdings LLC/ARU Finance Corp., 6.63%, due 07/15/33 144A
101,516
2,050,000
 
Ashtead Capital, Inc., 2.45%, due 08/12/31 144A
1,770,159
200,000
 
Ashtead Capital, Inc., 5.50%, due 08/11/32 144A
202,683
367,000
 
Ashtead Capital, Inc., 5.55%, due 05/30/33 144A
370,841
2,200,000
 
AT&T, Inc., 2.25%, due 02/01/32
1,894,169
960,000
 
AT&T, Inc., 2.30%, due 06/01/27
926,049
728,000
 
AT&T, Inc., 2.75%, due 06/01/31
660,293
814,000
 
AT&T, Inc., 3.50%, due 06/01/41
639,020
627,000
 
AT&T, Inc., 3.55%, due 09/15/55
423,405
1,014,000
 
AT&T, Inc., 3.65%, due 09/15/59
680,844
554,000
 
AT&T, Inc., 4.50%, due 05/15/35(e)
528,155
234,000
 
Athene Global Funding, 4.72%, due 10/08/29 144A
233,597
208,000
 
Athene Global Funding, 5.32%, due 11/13/31 144A
209,813
185,000
 
Athene Holding Ltd., 3.50%, due 01/15/31
174,468
154,000
 
Athene Holding Ltd., 6.63% (5 yr. CMT + 2.61%), due 10/15/54(b)
151,983
195,459
 
Atlantica Transmision Sur SA, 6.88%, due 04/30/43 144A
206,492
250,000
 
Atlas Warehouse Lending Co. LP, 6.25%, due 01/15/30 144A
252,757
153,000
 
Atlassian Corp., 5.25%, due 05/15/29
157,148
320,000
 
AutoNation, Inc., 4.75%, due 06/01/30
318,354
1,939,000
 
Aviation Capital Group LLC, 6.38%, due 07/15/30 144A
2,058,792
246,000
 
BAE Systems PLC, 5.13%, due 03/26/29 144A
252,236
See accompanying Notes to the Schedule of Investments
59

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
115,000
 
Baldwin Insurance Group Holdings LLC/Baldwin Insurance Group Holdings Finance,
7.13%, due 05/15/31 144A
119,634
175,000
 
Ball Corp., 3.13%, due 09/15/31(e)
157,158
400,000
 
Banco Santander SA, 5.54% (1 yr. CMT + 1.45%), due 03/14/30(b)
412,573
472,000
 
Banco Santander SA, 9.63% (5 yr. CMT + 5.30%)(b)(f)
551,637
265,000
 
Bank of America Corp., 1.66% (SOFR + 0.91%), due 03/11/27(b)
259,990
2,330,000
 
Bank of America Corp., 2.50% (3 mo. USD Term SOFR + 1.25%), due 02/13/31(b)
2,128,656
573,000
 
Bank of America Corp., 2.59% (SOFR + 2.15%), due 04/29/31(b)
523,991
3,897,000
 
Bank of America Corp., 2.69% (SOFR + 1.32%), due 04/22/32(b)
3,498,361
230,000
 
Bank of America Corp., 2.88% (3 mo. USD Term SOFR + 1.45%), due 10/22/30(b)
215,326
1,145,000
 
Bank of America Corp., 3.59% (3 mo. USD Term SOFR + 1.63%), due 07/21/28(b)
1,127,645
5,348,000
 
Bank of America Corp., 4.57% (SOFR + 1.83%), due 04/27/33(b)
5,264,336
1,575,000
 
Bank of America Corp., 4.95% (SOFR + 2.04%), due 07/22/28(b)
1,593,465
830,000
 
Bank of America Corp., 5.43% (SOFR + 1.91%), due 08/15/35(b)
830,092
561,000
 
Bank of America Corp., 6.63% (5 yr. CMT + 2.68%)(b)(f)
582,404
509,000
 
Bank of Montreal, 7.70% (5 yr. CMT + 3.45%), due 05/26/84(b)
526,858
203,000
 
Bank of New York Mellon Corp., 4.94% (SOFR + 0.89%), due 02/11/31(b)
207,348
400,000
 
Barclays PLC, 4.84% (SOFR + 1.34%), due 09/10/28(b)(e)
403,168
1,475,000
 
Barclays PLC, 4.94% (SOFR + 1.56%), due 09/10/30(b)
1,486,426
311,000
 
Barclays PLC, 5.37% (SOFR + 1.23%), due 02/25/31(b)
317,761
1,994,000
 
Barclays PLC, 6.49% (SOFR + 2.22%), due 09/13/29(b)
2,108,537
200,000
 
Barclays PLC, 7.63% (5 yr. USD Secured Overnight Financing Rate ICE Swap Rate +
3.69%)(b)(f)
201,359
452,000
 
Barclays PLC, 8.00% (5 yr. CMT + 5.43%)(b)(f)
475,245
156,000
 
BAT Capital Corp., 3.56%, due 08/15/27
153,546
1,970,000
 
BAT Capital Corp., 4.39%, due 08/15/37
1,762,593
605,000
 
Berkshire Hathaway Energy Co., 1.65%, due 05/15/31
515,665
85,000
 
Berkshire Hathaway Energy Co., 5.95%, due 05/15/37
90,688
1,015,000
 
Blackstone Holdings Finance Co. LLC, 2.80%, due 09/30/50 144A
615,833
542,000
 
Blackstone Holdings Finance Co. LLC, 3.15%, due 10/02/27 144A
527,405
296,000
 
Blackstone Private Credit Fund, 5.25%, due 04/01/30
293,508
243,000
 
Blackstone Private Credit Fund, 5.95%, due 07/16/29
247,734
272,000
 
Blackstone Private Credit Fund, 6.00%, due 01/29/32
273,626
238,000
 
Blackstone Private Credit Fund, 7.30%, due 11/27/28
253,918
254,000
 
Blackstone Secured Lending Fund, 5.35%, due 04/13/28
255,874
60,000
 
Blue Racer Midstream LLC/Blue Racer Finance Corp., 7.00%, due 07/15/29 144A
62,657
269,000
 
Blue Racer Midstream LLC/Blue Racer Finance Corp., 7.25%, due 07/15/32 144A
285,219
290,000
 
BlueLinx Holdings, Inc., 6.00%, due 11/15/29 144A
279,261
260,000
 
BNP Paribas SA, 2.16% (SOFR + 1.22%), due 09/15/29(b) 144A
241,080
313,000
 
BNP Paribas SA, 5.50% (SOFR + 1.59%), due 05/20/30(b) 144A
321,488
180,000
 
BNP Paribas SA, 9.25% (5 yr. CMT + 4.97%)(b)(f) 144A
193,308
2,775,000
 
Boeing Co., 2.20%, due 02/04/26
2,732,081
325,000
 
Boeing Co., 3.95%, due 08/01/59
222,390
1,795,000
 
Boeing Co., 5.71%, due 05/01/40
1,774,578
620,000
 
Boeing Co., 6.53%, due 05/01/34
674,054
129,000
 
Booking Holdings, Inc., 4.63%, due 04/13/30
130,525
310,000
 
BPCE SA, 5.72% (SOFR + 1.96%), due 01/18/30(b) 144A
319,251
352,000
 
Braskem Netherlands Finance BV, 4.50%, due 01/31/30(e) 144A
273,067
54,821
 
British Airways Pass-Through Trust, 4.13%, due 03/20/33 144A
52,505
60See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
135,644
 
British Airways Pass-Through Trust, 4.25%, due 05/15/34 144A
130,379
61,194
 
British Airways Pass-Through Trust, 8.38%, due 11/15/28 144A
64,563
1,055,000
 
Brixmor Operating Partnership LP, 2.50%, due 08/16/31(e)
921,524
927,000
 
Broadcom, Inc., 3.42%, due 04/15/33 144A
841,012
2,566,000
 
Broadcom, Inc., 4.11%, due 09/15/28(e)
2,556,239
151,000
 
Broadcom, Inc., 4.55%, due 02/15/32
149,659
1,847,000
 
Brookfield Finance I U.K. PLC/Brookfield Finance, Inc., 2.34%, due 01/30/32
1,571,534
374,000
 
Brookfield Finance, Inc., 6.30% (5 yr. CMT + 2.08%), due 01/15/55(b)
358,834
150,000
 
Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC, 5.00%, due
06/15/29 144A
136,640
1,732,000
 
Brown & Brown, Inc., 5.25%, due 06/23/32
1,767,512
88,000
 
Brundage-Bone Concrete Pumping Holdings, Inc., 7.50%, due 02/01/32 144A
87,287
278,000
 
Builders FirstSource, Inc., 4.25%, due 02/01/32 144A
257,752
177,000
 
Builders FirstSource, Inc., 6.38%, due 06/15/32 144A
182,040
311,000
 
Builders FirstSource, Inc., 6.38%, due 03/01/34 144A
317,320
100,000
 
Builders FirstSource, Inc., 6.75%, due 05/15/35 144A
103,087
1,640,000
 
Bunge Ltd. Finance Corp., 2.75%, due 05/14/31(e)
1,485,193
385,000
 
Caesars Entertainment, Inc., 6.00%, due 10/15/32(e) 144A
377,815
149,000
 
Caesars Entertainment, Inc., 6.50%, due 02/15/32 144A
152,984
250,000
 
Calpine Corp., 3.75%, due 03/01/31(e) 144A
237,345
630,000
 
Canadian Natural Resources Ltd., 5.00%, due 12/15/29 144A
635,984
509,000
 
Canadian Pacific Railway Co., 6.13%, due 09/15/15(g)
519,221
845,000
 
Capital One Financial Corp., 5.88% (SOFR + 1.99%), due 07/26/35(b)
871,598
165,000
 
Capital Power U.S. Holdings, Inc., 5.26%, due 06/01/28 144A
167,268
271,000
 
Capital Power U.S. Holdings, Inc., 6.19%, due 06/01/35 144A
279,797
73,000
 
Capstone Copper Corp., 6.75%, due 03/31/33 144A
74,795
306,000
 
Carnival Corp., 5.88%, due 06/15/31 144A
311,929
707,000
 
CBRE Services, Inc., 4.80%, due 06/15/30
709,512
129,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 4.50%, due 05/01/32
120,211
210,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 5.38%, due 06/01/29 144A
209,378
700,000
 
CDW LLC/CDW Finance Corp., 5.10%, due 03/01/30
705,460
121,000
 
CDW LLC/CDW Finance Corp., 5.55%, due 08/22/34(e)
120,817
295,000
 
Cemex SAB de CV, 3.88%, due 07/11/31(e) 144A
272,195
260,000
 
Cemex SAB de CV, 5.20%, due 09/17/30(e) 144A
259,603
225,000
 
Cencora, Inc., 2.80%, due 05/15/30(e)
209,024
145,000
 
Cenovus Energy, Inc., 3.75%, due 02/15/52
98,588
215,000
 
Cenovus Energy, Inc., 5.40%, due 06/15/47
191,070
311,000
 
Centene Corp., 3.00%, due 10/15/30
278,086
162,000
 
Centene Corp., 3.38%, due 02/15/30
149,326
72,000
 
CenterPoint Energy, Inc., 6.85% (5 yr. CMT + 2.95%), due 02/15/55(b)(e)
74,668
437,000
 
CenterPoint Energy, Inc., 7.00% (5 yr. CMT + 3.25%), due 02/15/55(b)
458,466
204,000
 
Century Communities, Inc., 3.88%, due 08/15/29 144A
189,176
489,000
 
Champion Iron Canada, Inc., 7.88%, due 07/15/32(h) 144A
496,116
244,000
 
Charles Schwab Corp., 5.85% (SOFR + 2.50%), due 05/19/34(b)
259,295
165,000
 
Charter Communications Operating LLC/Charter Communications Operating Capital,
2.30%, due 02/01/32(e)
139,284
636,000
 
Charter Communications Operating LLC/Charter Communications Operating Capital,
2.80%, due 04/01/31
567,340
120,000
 
Charter Communications Operating LLC/Charter Communications Operating Capital,
3.90%, due 06/01/52
82,426
See accompanying Notes to the Schedule of Investments
61

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
2,818,000
 
Charter Communications Operating LLC/Charter Communications Operating Capital,
6.38%, due 10/23/35
2,961,195
662,000
 
Charter Communications Operating LLC/Charter Communications Operating Capital,
6.48%, due 10/23/45
656,383
506,000
 
Cheniere Energy Partners LP, 4.00%, due 03/01/31
481,744
192,000
 
Cheniere Energy Partners LP, 5.55%, due 10/30/35(h) 144A
193,582
402,000
 
Cheniere Energy Partners LP, 5.95%, due 06/30/33
419,803
108,000
 
Cheniere Energy, Inc., 5.65%, due 04/15/34
110,663
185,000
 
CIMIC Finance USA Pty. Ltd., 7.00%, due 03/25/34 144A
197,195
238,000
 
Cimpress PLC, 7.38%, due 09/15/32 144A
227,469
525,000
 
Citigroup, Inc., 2.56% (SOFR + 1.17%), due 05/01/32(b)
465,244
625,000
 
Citigroup, Inc., 3.52% (3 mo. USD Term SOFR + 1.41%), due 10/27/28(b)
612,163
340,000
 
Citigroup, Inc., 3.67% (3 mo. USD Term SOFR + 1.65%), due 07/24/28(b)
334,753
1,840,000
 
Citigroup, Inc., 3.89% (3 mo. USD Term SOFR + 1.82%), due 01/10/28(b)
1,823,831
440,000
 
Citigroup, Inc., 4.41% (SOFR + 3.91%), due 03/31/31(b)
435,429
1,959,000
 
Citigroup, Inc., 4.95% (SOFR + 1.46%), due 05/07/31(b)
1,981,864
1,350,000
 
Citigroup, Inc., 6.02% (SOFR + 1.83%), due 01/24/36(b)
1,387,051
465,000
 
Citigroup, Inc., 6.17% (SOFR + 2.66%), due 05/25/34(b)
486,962
53,000
 
Citizens Financial Group, Inc., 3.25%, due 04/30/30
49,595
248,000
 
Citizens Financial Group, Inc., 5.25% (SOFR + 1.26%), due 03/05/31(b)
251,378
598,000
 
Citizens Financial Group, Inc., 5.72% (SOFR + 1.91%), due 07/23/32(b)
618,867
180,000
 
Civitas Resources, Inc., 8.63%, due 11/01/30 144A
182,890
120,000
 
Cloud Software Group, Inc., 8.25%, due 06/30/32 144A
127,819
200,000
 
Clue Opco LLC, 9.50%, due 10/15/31 144A
212,216
205,000
 
Clydesdale Acquisition Holdings, Inc., 6.88%, due 01/15/30 144A
209,823
438,000
 
CNO Financial Group, Inc., 5.25%, due 05/30/29
442,072
205,000
 
CNO Financial Group, Inc., 6.45%, due 06/15/34
215,133
290,000
 
Columbia Pipelines Holding Co. LLC, 5.68%, due 01/15/34 144A
293,731
2,777,000
 
Columbia Pipelines Operating Co. LLC, 5.44%, due 02/15/35 144A
2,794,226
141,000
 
Columbia Pipelines Operating Co. LLC, 5.93%, due 08/15/30 144A
148,926
435,000
 
Columbia Pipelines Operating Co. LLC, 6.04%, due 11/15/33 144A
456,687
18,000
 
Comcast Corp., 2.89%, due 11/01/51
10,964
5,000
 
Comcast Corp., 3.97%, due 11/01/47
3,858
190,000
 
Comerica, Inc., 5.98% (SOFR + 2.16%), due 01/30/30(b)
194,661
200,000
 
Comision Federal de Electricidad, 4.69%, due 05/15/29 144A
195,538
1,670,000
 
CommonSpirit Health, 5.32%, due 12/01/34
1,674,922
350,000
 
Commonwealth Edison Co., 4.00%, due 03/01/48
277,943
738,000
 
ConocoPhillips Co., 5.50%, due 01/15/55
700,951
463,000
 
ConocoPhillips Co., 5.55%, due 03/15/54
442,960
148,000
 
Consensus Cloud Solutions, Inc., 6.50%, due 10/15/28 144A
147,373
95,000
 
Consolidated Edison Co. of New York, Inc., 4.30%, due 12/01/56
74,952
350,000
 
Consolidated Edison Co. of New York, Inc., 4.50%, due 12/01/45
300,727
385,000
 
Constellation Brands, Inc., 2.25%, due 08/01/31
333,685
86,000
 
Constellation Energy Generation LLC, 6.13%, due 01/15/34
92,676
183,000
 
Constellation Energy Generation LLC, 6.50%, due 10/01/53
196,639
1,155,000
 
Constellation Software, Inc., 5.16%, due 02/16/29 144A
1,175,270
232,000
 
Continental Resources, Inc., 2.88%, due 04/01/32 144A
195,157
221,000
 
Continental Resources, Inc., 4.90%, due 06/01/44
173,835
440,000
 
Continental Resources, Inc., 5.75%, due 01/15/31 144A
444,424
62See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,085,000
 
Corebridge Global Funding, 4.85%, due 06/06/30 144A
1,094,801
191,000
 
CoreWeave, Inc., 9.25%, due 06/01/30 144A
195,428
525,000
 
Corp. Andina de Fomento, 5.00%, due 01/24/29
539,283
439,000
 
CoStar Group, Inc., 2.80%, due 07/15/30 144A
397,324
970,000
 
Cox Communications, Inc., 2.60%, due 06/15/31 144A
849,267
2,063,000
 
Cox Communications, Inc., 3.35%, due 09/15/26 144A
2,031,596
627,000
 
Credit Agricole SA, 3.25%, due 01/14/30 144A
584,428
435,000
 
Credit Agricole SA, 6.32% (SOFR + 1.86%), due 10/03/29(b) 144A
457,282
310,000
 
CSN Resources SA, 4.63%, due 06/10/31 144A
244,289
635,000
 
CVS Health Corp., 4.78%, due 03/25/38
583,146
130,000
 
CVS Health Corp., 5.13%, due 07/20/45(e)
115,228
835,653
 
CVS Pass-Through Trust, 5.77%, due 01/10/33 144A
842,529
389,580
 
CVS Pass-Through Trust, 6.94%, due 01/10/30
402,233
1,210,329
 
CVS Pass-Through Trust, 7.51%, due 01/10/32 144A
1,267,836
337,000
 
Danske Bank AS, 5.02% (1 yr. CMT + 0.93%), due 03/04/31(b) 144A
340,935
214,000
 
DaVita, Inc., 4.63%, due 06/01/30 144A
205,182
115,000
 
Dcli Bidco LLC, 7.75%, due 11/15/29 144A
116,587
67,000
 
Dealer Tire LLC/DT Issuer LLC, 8.00%, due 02/01/28 144A
64,775
443,000
 
Dell International LLC/EMC Corp., 5.30%, due 04/01/32
452,956
602,000
 
Dell International LLC/EMC Corp., 5.40%, due 04/15/34
613,336
1,015,092
 
Delta Air Lines Pass-Through Trust, 2.00%, due 12/10/29
955,835
201,000
 
Delta Air Lines, Inc., 4.38%, due 04/19/28
200,060
490,000
 
Deutsche Bank AG, 3.74% (SOFR + 2.26%), due 01/07/33(b)
441,211
279,000
 
Deutsche Bank AG, 5.30% (SOFR + 1.72%), due 05/09/31(b)
283,434
460,000
 
Deutsche Bank AG, 5.37% (SOFR + 1.21%), due 01/10/29(b)
468,189
292,000
 
Deutsche Bank AG, 6.82% (SOFR + 2.51%), due 11/20/29(b)
311,639
1,900,000
 
Diamondback Energy, Inc., 6.25%, due 03/15/33
2,024,427
224,000
 
Dominion Energy, Inc., 3.38%, due 04/01/30
212,963
280,000
 
Dominion Energy, Inc., 6.88% (5 yr. CMT + 2.39%), due 02/01/55(b)
294,704
149,000
 
Dominion Energy, Inc., 7.00% (5 yr. CMT + 2.51%), due 06/01/54(b)
160,239
711,000
 
DT Midstream, Inc., 4.38%, due 06/15/31 144A
681,312
127,000
 
DT Midstream, Inc., 5.80%, due 12/15/34 144A
129,446
623,494
 
DTE Electric Securitization Funding I LLC, 2.64%, due 12/01/27
613,008
2,038,000
 
DTE Energy Co., 5.85%, due 06/01/34
2,133,022
411,000
 
Duke Energy Carolinas LLC, 3.95%, due 03/15/48
321,183
416,000
 
Duke Energy Corp., 5.75%, due 09/15/33
437,200
435,000
 
Duke Energy Florida LLC, 3.40%, due 10/01/46
313,040
1,525,000
 
Duke Energy Indiana LLC, 5.25%, due 03/01/34
1,560,148
1,210,000
 
DuPont de Nemours, Inc., 4.73%, due 11/15/28
1,228,880
120,000
 
DuPont de Nemours, Inc., 5.42%, due 11/15/48
121,003
428,000
 
Ecopetrol SA, 6.88%, due 04/29/30(e)
424,455
790,000
 
Ecopetrol SA, 8.63%, due 01/19/29
835,897
575,000
 
Edison International, 5.25%, due 11/15/28
569,367
222,000
 
Efesto Bidco SpA Efesto U.S. LLC, 7.50%, due 02/15/32 144A
224,972
449,000
 
Electricite de France SA, 5.65%, due 04/22/29(e) 144A
466,005
373,000
 
Electricite de France SA, 9.13% (5 yr. CMT + 5.41%)(b)(f) 144A
421,649
15,000
 
Elevance Health, Inc., 5.10%, due 01/15/44
13,860
353,000
 
Embraer Netherlands Finance BV, 7.00%, due 07/28/30(e) 144A
381,358
355,000
 
EMRLD Borrower LP/Emerald Co-Issuer, Inc., 6.63%, due 12/15/30 144A
363,315
See accompanying Notes to the Schedule of Investments
63

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
357,000
 
Enact Holdings, Inc., 6.25%, due 05/28/29
370,631
319,000
 
Enbridge, Inc., 5.50% (3 mo. USD Term SOFR + 3.68%), due 07/15/77(b)
316,911
446,000
 
Enbridge, Inc., 5.75% (5 yr. CMT + 5.31%), due 07/15/80(b)
445,231
308,000
 
Enbridge, Inc., 6.25% (3 mo. USD Term SOFR + 3.90%), due 03/01/78(b)
309,757
182,000
 
Enbridge, Inc., 8.50% (5 yr. CMT + 4.43%), due 01/15/84(b)
203,088
189,000
 
Endo Finance Holdings, Inc., 8.50%, due 04/15/31 144A
200,304
115,000
 
Energean Israel Finance Ltd., 5.38%, due 03/30/28(i)
109,789
172,000
 
Energean Israel Finance Ltd., 5.88%, due 03/30/31(i)
158,971
367,000
 
Energy Transfer LP, 5.15%, due 03/15/45
323,752
150,000
 
Energy Transfer LP, 5.30%, due 04/01/44
134,502
590,000
 
Energy Transfer LP, 5.30%, due 04/15/47
520,913
573,000
 
Energy Transfer LP, 5.40%, due 10/01/47
510,820
1,958,000
 
Energy Transfer LP, 5.60%, due 09/01/34
1,989,556
120,000
 
Energy Transfer LP, 6.40%, due 12/01/30
129,372
670,000
 
Energy Transfer LP, 6.50% (5 yr. CMT + 5.69%)(b)(f)
674,669
65,000
 
Energy Transfer LP, 6.55%, due 12/01/33
70,560
1,320,000
 
Energy Transfer LP, 7.13% (5 yr. CMT + 5.31%)(b)(f)
1,347,936
110,000
 
Enova International, Inc., 9.13%, due 08/01/29 144A
115,884
2,445,000
 
Entergy Louisiana LLC, 4.00%, due 03/15/33
2,305,964
1,450,000
 
Enterprise Products Operating LLC, 4.90%, due 05/15/46
1,305,045
653,000
 
Enterprise Products Operating LLC, 5.25% (3 mo. USD Term SOFR + 3.29%), due
08/16/77(b)
647,722
184,000
 
EQT Corp., 6.38%, due 04/01/29 144A
189,853
25,000
 
EQT Corp., 7.50%, due 06/01/27 144A
25,461
114,000
 
EQT Corp., 7.50%, due 06/01/30 144A
125,343
205,000
 
Eskom Holdings SOC Ltd., 6.35%, due 08/10/28 144A
207,434
2,050,000
 
Eversource Energy, 2.90%, due 03/01/27
2,000,762
1,416,000
 
Exelon Corp., 3.35%, due 03/15/32
1,308,491
1,478,000
 
Exelon Corp., 5.10%, due 06/15/45
1,345,674
206,000
 
Exelon Corp., 5.13%, due 03/15/31
211,163
92,000
 
Exelon Corp., 6.50% (5 yr. CMT + 1.98%), due 03/15/55(b)
93,647
378,000
 
Expand Energy Corp., 4.75%, due 02/01/32
367,815
1,000,000
 
Fairfax Financial Holdings Ltd., 5.63%, due 08/16/32
1,027,906
675,000
 
Fairfax Financial Holdings Ltd., 6.00%, due 12/07/33
704,457
2,378,000
 
Ferguson Finance PLC, 3.25%, due 06/02/30 144A
2,241,094
1,130,000
 
Ferguson Finance PLC, 4.50%, due 10/24/28 144A
1,128,516
142,000
 
Fifth Third Bancorp, 4.77% (SOFR + 2.13%), due 07/28/30(b)
142,916
230,000
 
Fifth Third Bancorp, 5.63% (SOFR + 1.84%), due 01/29/32(b)
239,424
264,000
 
Fifth Third Bancorp, 7.59% (3 mo. USD Term SOFR + 3.29%)(b)(f)
266,253
350,000
 
First Citizens BancShares, Inc., 5.23% (SOFR + 1.41%), due 03/12/31(b)
351,937
207,000
 
First Horizon Corp., 5.51% (SOFR + 1.77%), due 03/07/31(b)
210,030
200,000
 
First Quantum Minerals Ltd., 8.63%, due 06/01/31(e) 144A
207,749
235,000
 
FirstEnergy Corp., 2.65%, due 03/01/30
215,876
2,365,000
 
Florida Power & Light Co., 2.45%, due 02/03/32(e)
2,086,731
178,000
 
Flowserve Corp., 3.50%, due 10/01/30
166,189
200,000
 
Flutter Treasury DAC, 6.38%, due 04/29/29 144A
206,135
186,000
 
Ford Motor Co., 3.25%, due 02/12/32
156,886
1,560,000
 
Ford Motor Credit Co. LLC, 2.90%, due 02/10/29
1,418,953
350,000
 
Ford Motor Credit Co. LLC, 3.63%, due 06/17/31
308,226
64See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,205,000
 
Ford Motor Credit Co. LLC, 4.00%, due 11/13/30
1,100,511
949,000
 
Ford Motor Credit Co. LLC, 5.11%, due 05/03/29
928,287
451,000
 
Ford Motor Credit Co. LLC, 5.80%, due 03/08/29
452,103
408,000
 
Ford Motor Credit Co. LLC, 6.05%, due 11/05/31
406,073
838,000
 
Ford Motor Credit Co. LLC, 6.13%, due 03/08/34
816,151
279,000
 
Ford Motor Credit Co. LLC, 7.12%, due 11/07/33
289,690
464,000
 
Foundry JV Holdco LLC, 5.88%, due 01/25/34 144A
471,945
1,075,000
 
Foundry JV Holdco LLC, 5.90%, due 01/25/33 144A
1,115,431
2,630,000
 
Foundry JV Holdco LLC, 6.15%, due 01/25/32 144A
2,769,591
275,000
 
Freeport-McMoRan, Inc., 5.40%, due 11/14/34
279,472
613,000
 
Fresenius Medical Care U.S. Finance III, Inc., 2.38%, due 02/16/31 144A
530,482
140,000
 
Full House Resorts, Inc., 8.25%, due 02/15/28(e) 144A
136,132
207,000
 
GA Global Funding Trust, 5.20%, due 12/09/31 144A
207,474
165,000
 
Gap, Inc., 3.63%, due 10/01/29 144A
153,450
291,000
 
GCI LLC, 4.75%, due 10/15/28 144A
281,566
570,000
 
General Motors Co., 5.00%, due 04/01/35
539,033
3,111,000
 
General Motors Financial Co., Inc., 2.40%, due 10/15/28
2,896,293
495,000
 
General Motors Financial Co., Inc., 3.10%, due 01/12/32
435,136
978,000
 
General Motors Financial Co., Inc., 3.60%, due 06/21/30
915,565
982,000
 
General Motors Financial Co., Inc., 5.95%, due 04/04/34
996,483
878,000
 
General Motors Financial Co., Inc., 6.00%, due 01/09/28
904,581
161,000
 
Genesis Energy LP/Genesis Energy Finance Corp., 7.88%, due 05/15/32
167,538
198,000
 
Genesis Energy LP/Genesis Energy Finance Corp., 8.00%, due 05/15/33
207,180
1,831,000
 
Genpact Luxembourg SARL/Genpact USA, Inc., 6.00%, due 06/04/29
1,896,151
200,000
 
Genting New York LLC/GENNY Capital, Inc., 7.25%, due 10/01/29 144A
207,652
205,000
 
Georgia Power Co., 4.95%, due 05/17/33
206,677
2,471,000
 
Global Atlantic Fin Co., 3.13%, due 06/15/31 144A
2,196,344
1,497,000
 
Global Atlantic Fin Co., 4.40%, due 10/15/29 144A
1,453,767
268,000
 
Global Atlantic Fin Co., 4.70% (5 yr. CMT + 3.80%), due 10/15/51(b) 144A
263,163
102,000
 
Global Atlantic Fin Co., 7.95% (5 yr. CMT + 3.61%), due 10/15/54(b) 144A
106,445
327,000
 
Global Auto Holdings Ltd./AAG FH U.K. Ltd., 8.75%, due 01/15/32 144A
279,013
234,000
 
Global Auto Holdings Ltd./AAG FH U.K. Ltd., 11.50%, due 08/15/29(e) 144A
229,199
246,000
 
Global Infrastructure Solutions, Inc., 5.63%, due 06/01/29 144A
245,250
67,000
 
Global Partners LP/GLP Finance Corp., 7.13%, due 07/01/33 144A
67,988
187,000
 
Global Partners LP/GLP Finance Corp., 8.25%, due 01/15/32 144A
196,817
119,000
 
GLP Capital LP/GLP Financing II, Inc., 3.25%, due 01/15/32
104,826
156,000
 
GLP Capital LP/GLP Financing II, Inc., 4.00%, due 01/15/30
150,032
1,259,000
 
GLP Capital LP/GLP Financing II, Inc., 4.00%, due 01/15/31
1,187,945
200,000
 
GLP Capital LP/GLP Financing II, Inc., 5.38%, due 04/15/26
200,169
1,175,000
 
Goldman Sachs Group, Inc., 1.43% (SOFR + 0.80%), due 03/09/27(b)
1,149,789
1,100,000
 
Goldman Sachs Group, Inc., 1.54% (SOFR + 0.82%), due 09/10/27(b)
1,062,310
2,059,000
 
Goldman Sachs Group, Inc., 2.62% (SOFR + 1.28%), due 04/22/32(b)
1,830,703
387,000
 
Goldman Sachs Group, Inc., 2.65% (SOFR + 1.26%), due 10/21/32(b)
342,072
2,331,000
 
Goldman Sachs Group, Inc., 3.80%, due 03/15/30
2,275,361
1,065,000
 
Goldman Sachs Group, Inc., 3.81% (3 mo. USD Term SOFR + 1.42%), due 04/23/29(b)
1,048,220
204,000
 
Graphic Packaging International LLC, 3.50%, due 03/01/29 144A
192,551
386,000
 
Gray Media, Inc., 10.50%, due 07/15/29(e) 144A
414,979
145,000
 
Group 1 Automotive, Inc., 4.00%, due 08/15/28 144A
140,075
528,000
 
Harbour Energy PLC, 6.33%, due 04/01/35 144A
525,447
See accompanying Notes to the Schedule of Investments
65

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
410,000
 
HCA, Inc., 4.38%, due 03/15/42
343,142
285,000
 
HCA, Inc., 5.45%, due 04/01/31
293,967
275,000
 
HCA, Inc., 7.75%, due 07/15/36
317,534
3,040,000
 
Healthpeak OP LLC, 1.35%, due 02/01/27
2,898,954
646,000
 
Healthpeak OP LLC, 3.25%, due 07/15/26
638,400
70,000
 
Hess Midstream Operations LP, 4.25%, due 02/15/30 144A
67,359
53,000
 
Hess Midstream Operations LP, 5.50%, due 10/15/30 144A
53,271
63,000
 
Hess Midstream Operations LP, 6.50%, due 06/01/29 144A
64,832
1,390,000
 
Hewlett Packard Enterprise Co., 4.45%, due 09/25/26
1,392,624
250,000
 
Hilcorp Energy I LP/Hilcorp Finance Co., 6.00%, due 04/15/30 144A
243,267
205,000
 
Hilcorp Energy I LP/Hilcorp Finance Co., 6.25%, due 04/15/32 144A
195,935
276,000
 
Hilton Grand Vacations Borrower LLC/Hilton Grand Vacations Borrower, Inc., 6.63%,
due 01/15/32 144A
280,458
387,000
 
Horizon Mutual Holdings, Inc., 6.20%, due 11/15/34 144A
381,164
24,000
 
Howard Midstream Energy Partners LLC, 7.38%, due 07/15/32 144A
25,259
137,000
 
HPS Corporate Lending Fund, 5.95%, due 04/14/32
136,372
1,704,000
 
HSBC Holdings PLC, 5.13% (SOFR + 1.29%), due 03/03/31(b)
1,727,204
217,000
 
Huntington Bancshares, Inc., 5.27% (SOFR + 1.28%), due 01/15/31(b)
222,404
128,000
 
Huntington Bancshares, Inc., 6.14% (5 yr. CMT + 1.70%), due 11/18/39(b)
130,639
164,000
 
Huntington Bancshares, Inc., 6.21% (SOFR + 2.02%), due 08/21/29(b)
172,117
100,000
 
Huntsman International LLC, 4.50%, due 05/01/29
94,912
200,000
 
Icon Investments Six DAC, 5.85%, due 05/08/29
207,570
216,000
 
IHS Holding Ltd., 7.88%, due 05/29/30 144A
217,220
377,000
 
IHS Holding Ltd., 8.25%, due 11/29/31(e) 144A
381,636
261,000
 
Iliad Holding SASU, 7.00%, due 04/15/32 144A
267,742
200,000
 
Iliad Holding SASU, 8.50%, due 04/15/31 144A
214,105
2,000,000
 
Imperial Brands Finance PLC, 5.50%, due 02/01/30 144A
2,062,597
242,000
 
ING Groep NV, 5.34% (SOFR + 1.44%), due 03/19/30(b)
248,215
200,000
 
ING Groep NV, 6.11% (SOFR + 2.09%), due 09/11/34(b)
212,699
170,000
 
IPALCO Enterprises, Inc., 4.25%, due 05/01/30
163,319
152,000
 
IQVIA, Inc., 6.25%, due 02/01/29
158,968
76,000
 
Iron Mountain Information Management Services, Inc., 5.00%, due 07/15/32 144A
72,985
161,000
 
Iron Mountain, Inc., 5.25%, due 07/15/30 144A
158,915
226,000
 
Iron Mountain, Inc., 6.25%, due 01/15/33 144A
232,533
107,000
 
Jacobs Entertainment, Inc., 6.75%, due 02/15/29 144A
103,065
230,000
 
JB Poindexter & Co., Inc., 8.75%, due 12/15/31 144A
234,358
1,050,000
 
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL, 3.00%, due
02/02/29
998,201
267,000
 
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL, 3.63%, due
01/15/32
244,460
65,000
 
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL, 3.75%, due
12/01/31
60,616
335,000
 
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL, 5.75%, due
04/01/33
344,563
93,000
 
JBS USA LUX SARL/JBS USA Food Co./JBS USA Foods Group, 5.95%, due 04/20/35
144A
96,439
980,000
 
Jefferies Financial Group, Inc., 5.88%, due 07/21/28
1,016,583
300,000
 
Jefferies Financial Group, Inc., 6.20%, due 04/14/34
313,957
204,586
 
JetBlue Pass-Through Trust, 2.75%, due 11/15/33
179,522
91,000
 
JH North America Holdings, Inc., 5.88%, due 01/31/31 144A
91,851
66See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
90,000
 
JH North America Holdings, Inc., 6.13%, due 07/31/32 144A
91,551
2,000,000
 
JPMorgan Chase & Co., 2.07% (SOFR + 1.02%), due 06/01/29(b)
1,876,223
273,000
 
JPMorgan Chase & Co., 2.52% (SOFR + 2.04%), due 04/22/31(b)
249,667
760,000
 
JPMorgan Chase & Co., 2.58% (3 mo. USD Term SOFR + 1.25%), due 04/22/32(b)
678,948
512,000
 
JPMorgan Chase & Co., 2.96% (3 mo. USD Term SOFR + 2.52%), due 05/13/31(b)
473,577
1,817,000
 
JPMorgan Chase & Co., 3.78% (3 mo. USD Term SOFR + 1.60%), due 02/01/28(b)
1,801,863
965,000
 
JPMorgan Chase & Co., 4.01% (3 mo. USD Term SOFR + 1.38%), due 04/23/29(b)
956,677
2,124,000
 
JPMorgan Chase & Co., 4.20% (3 mo. USD Term SOFR + 1.52%), due 07/23/29(b)
2,115,406
124,000
 
JPMorgan Chase & Co., 4.45% (3 mo. USD Term SOFR + 1.59%), due 12/05/29(b)
124,258
408,000
 
JPMorgan Chase & Co., 4.60% (SOFR + 1.04%), due 10/22/30(b)
409,473
410,000
 
JPMorgan Chase & Co., 5.00% (SOFR + 1.13%), due 07/22/30(b)
417,578
371,000
 
JPMorgan Chase & Co., 5.01% (SOFR + 1.31%), due 01/23/30(b)
377,915
437,000
 
JPMorgan Chase & Co., 5.29% (SOFR + 1.46%), due 07/22/35(b)
444,881
2,965,000
 
JPMorgan Chase & Co., 5.34% (SOFR + 1.62%), due 01/23/35(b)
3,036,234
389,000
 
JPMorgan Chase & Co., 5.50% (SOFR + 1.32%), due 01/24/36(b)
400,831
269,000
 
JPMorgan Chase & Co., 5.58% (SOFR + 1.16%), due 04/22/30(b)
279,370
780,000
 
Kaiser Foundation Hospitals, 2.81%, due 06/01/41
557,230
163,000
 
KB Home, 4.00%, due 06/15/31(e)
151,423
322,000
 
KeyCorp, 5.12% (SOFR + 1.23%), due 04/04/31(b)
325,925
608,000
 
Kinder Morgan, Inc., 5.85%, due 06/01/35
630,476
1,291,000
 
KKR Group Finance Co. II LLC, 5.50%, due 02/01/43(e) 144A
1,229,368
257,000
 
KKR Group Finance Co. VII LLC, 3.63%, due 02/25/50 144A
181,090
283,000
 
KKR Group Finance Co. X LLC, 3.25%, due 12/15/51 144A
181,839
1,910,000
 
Laboratory Corp. of America Holdings, 4.35%, due 04/01/30
1,897,734
145,000
 
Lamb Weston Holdings, Inc., 4.13%, due 01/31/30 144A
138,427
260,000
 
Lamb Weston Holdings, Inc., 4.38%, due 01/31/32 144A
244,477
336,000
 
Lazard Group LLC, 4.38%, due 03/11/29
332,131
425,000
 
Level 3 Financing, Inc., 6.88%, due 06/30/33 144A
432,753
433,000
 
Leviathan Bond Ltd., 6.50%, due 06/30/27(i)
431,181
79,000
 
Leviathan Bond Ltd., 6.75%, due 06/30/30(i)
78,109
244,000
 
Liberty Mutual Group, Inc., 4.13% (5 yr. CMT + 3.32%), due 12/15/51(b) 144A
237,684
170,000
 
Lightning Power LLC, 7.25%, due 08/15/32 144A
179,027
110,000
 
Lithia Motors, Inc., 3.88%, due 06/01/29 144A
104,993
246,000
 
Lithia Motors, Inc., 4.38%, due 01/15/31 144A
234,082
101,000
 
Lithia Motors, Inc., 4.63%, due 12/15/27 144A
100,289
1,800,000
 
Lloyds Banking Group PLC, 5.09% (1 yr. CMT + 0.85%), due 11/26/28(b)
1,824,161
1,360,000
 
Lloyds Banking Group PLC, 5.68% (1 yr. CMT + 1.75%), due 01/05/35(b)
1,396,608
200,000
 
Lloyds Banking Group PLC, 6.07% (1 yr. CMT + 1.60%), due 06/13/36(b)
205,706
200,000
 
Lloyds Banking Group PLC, 6.75% (5 yr. CMT + 3.15%)(b)(e)(f)
196,196
145,440
 
LLPL Capital Pte. Ltd., 6.88%, due 02/04/39 144A
148,423
248,000
 
Long Ridge Energy LLC, 8.75%, due 02/15/32(e) 144A
257,808
167,000
 
M&T Bank Corp., 5.13% (3 mo. USD Term SOFR + 3.78%)(b)(e)(f)
166,543
189,000
 
M&T Bank Corp., 5.18% (SOFR + 1.40%), due 07/08/31(b)
192,182
307,000
 
M&T Bank Corp., 5.39% (SOFR + 1.61%), due 01/16/36(b)
306,057
97,000
 
Macquarie Airfinance Holdings Ltd., 5.15%, due 03/17/30 144A
97,013
236,000
 
Macquarie Bank Ltd., 3.62%, due 06/03/30 144A
221,890
2,000,000
 
Macquarie Group Ltd., 6.26% (SOFR + 2.30%), due 12/07/34(b)(e) 144A
2,143,289
172,000
 
Macy's Retail Holdings LLC, 5.88%, due 04/01/29(e) 144A
170,392
149,000
 
Macy's Retail Holdings LLC, 5.88%, due 03/15/30(e) 144A
146,554
See accompanying Notes to the Schedule of Investments
67

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
135,000
 
Macy's Retail Holdings LLC, 6.13%, due 03/15/32(e) 144A
128,880
420,000
 
Magnera Corp., 7.25%, due 11/15/31 144A
396,385
474,000
 
MARB BondCo PLC, 3.95%, due 01/29/31 144A
420,627
206,000
 
Mars, Inc., 5.00%, due 03/01/32 144A
208,843
1,465,000
 
Mars, Inc., 5.20%, due 03/01/35 144A
1,483,284
193,000
 
Marvell Technology, Inc., 5.95%, due 09/15/33
203,912
460,000
 
Massachusetts Institute of Technology, 4.68%, due 07/01/14(e)(g)
384,148
1,615,000
 
Massachusetts Mutual Life Insurance Co., 5.67%, due 12/01/52 144A
1,571,042
286,000
 
MassMutual Global Funding II, 4.35%, due 09/17/31 144A
282,103
157,000
 
MasTec, Inc., 5.90%, due 06/15/29
162,519
163,000
 
Matador Resources Co., 6.25%, due 04/15/33 144A
162,202
98,000
 
Match Group Holdings II LLC, 3.63%, due 10/01/31 144A
87,749
300,000
 
Match Group Holdings II LLC, 4.13%, due 08/01/30 144A
280,746
256,331
 
MC Brazil Downstream Trading SARL, 7.25%, due 06/30/31 144A
202,937
361,000
 
MetLife, Inc., 6.40%, due 12/15/66
378,723
2,827,000
 
Metropolitan Life Global Funding I, 3.30%, due 03/21/29 144A
2,727,872
601,000
 
Mexico City Airport Trust, 4.25%, due 10/31/26 144A
588,977
1,005,000
 
Mexico City Airport Trust, 5.50%, due 07/31/47 144A
830,557
446,000
 
MGM Resorts International, 4.75%, due 10/15/28(e)
440,929
272,000
 
Michaels Cos., Inc., 5.25%, due 05/01/28 144A
218,824
189,000
 
Michaels Cos., Inc., 7.88%, due 05/01/29 144A
124,740
362,000
 
Micron Technology, Inc., 2.70%, due 04/15/32
315,056
287,000
 
Micron Technology, Inc., 5.30%, due 01/15/31
293,993
572,000
 
Micron Technology, Inc., 6.75%, due 11/01/29
618,414
358,000
 
Midcontinent Communications, 8.00%, due 08/15/32(e) 144A
379,310
329,000
 
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp., 4.88%, due 05/01/29
144A
317,120
196,200
 
Millicom International Cellular SA, 6.25%, due 03/25/29 144A
196,766
200,000
 
Millicom International Cellular SA, 7.38%, due 04/02/32(e) 144A
205,456
1,250,000
 
Moody's Corp., 3.25%, due 05/20/50
844,691
715,000
 
Morgan Stanley, 1.93% (SOFR + 1.02%), due 04/28/32(b)
611,507
2,321,000
 
Morgan Stanley, 2.24% (SOFR + 1.18%), due 07/21/32(b)
2,010,470
523,000
 
Morgan Stanley, 2.48% (SOFR + 1.36%), due 09/16/36(b)
444,555
1,755,000
 
Morgan Stanley, 2.70% (SOFR + 1.14%), due 01/22/31(b)
1,618,706
2,423,000
 
Morgan Stanley, 2.94% (SOFR + 1.29%), due 01/21/33(b)
2,163,162
2,461,000
 
Morgan Stanley, 3.62% (SOFR + 3.12%), due 04/01/31(b)
2,360,578
910,000
 
Morgan Stanley, 3.77% (3 mo. USD Term SOFR + 1.40%), due 01/24/29(b)
897,139
1,247,000
 
Morgan Stanley, 4.21% (SOFR + 1.61%), due 04/20/28(b)
1,244,893
619,000
 
Morgan Stanley, 5.17% (SOFR + 1.45%), due 01/16/30(b)
632,088
513,000
 
Morgan Stanley, 5.32% (SOFR + 1.56%), due 07/19/35(b)
519,470
507,000
 
Motorola Solutions, Inc., 2.30%, due 11/15/30
450,209
366,000
 
Motorola Solutions, Inc., 2.75%, due 05/24/31
328,262
370,000
 
MPLX LP, 4.50%, due 04/15/38
327,528
530,000
 
MPLX LP, 4.70%, due 04/15/48
430,454
208,000
 
MPLX LP, 4.95%, due 09/01/32
206,188
213,000
 
MPLX LP, 5.00%, due 03/01/33
210,146
105,000
 
MPLX LP, 5.20%, due 03/01/47
91,702
685,000
 
MPLX LP, 5.50%, due 06/01/34
688,116
255,000
 
MPT Operating Partnership LP/MPT Finance Corp., 3.50%, due 03/15/31(e)
180,522
68See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
210,000
 
MPT Operating Partnership LP/MPT Finance Corp., 5.00%, due 10/15/27(e)
194,151
430,000
 
MSCI, Inc., 3.63%, due 11/01/31 144A
396,496
695,000
 
Mylan, Inc., 5.40%, due 11/29/43
585,365
365,000
 
National Fuel Gas Co., 5.50%, due 03/15/30
375,332
2,436,000
 
National Securities Clearing Corp., 5.00%, due 05/30/28 144A
2,488,538
395,000
 
NatWest Group PLC, 7.30% (5 yr. CMT + 2.94%)(b)(f)
393,246
320,000
 
NatWest Group PLC, 8.13% (5 yr. CMT + 3.75%)(b)(e)(f)
345,969
282,000
 
NBM U.S. Holdings, Inc., 6.63%, due 08/06/29(e) 144A
284,182
219,000
 
NCL Corp. Ltd., 6.75%, due 02/01/32 144A
223,874
294,000
 
Newell Brands, Inc., 6.38%, due 05/15/30(e)
286,745
50,000
 
Newell Brands, Inc., 6.63%, due 05/15/32(e)
47,823
187,000
 
Newell Brands, Inc., 8.50%, due 06/01/28 144A
196,857
150,000
 
Newmont Corp., 5.45%, due 06/09/44
146,820
260,000
 
News Corp., 3.88%, due 05/15/29 144A
248,955
900,000
 
NextEra Energy Capital Holdings, Inc., 1.90%, due 06/15/28
841,241
162,000
 
NextEra Energy Capital Holdings, Inc., 2.25%, due 06/01/30
145,965
228,000
 
NextEra Energy Capital Holdings, Inc., 6.38% (5 yr. CMT + 2.05%), due 08/15/55(b)
233,394
68,000
 
NextEra Energy Capital Holdings, Inc., 6.50% (5 yr. CMT + 1.98%), due 08/15/55(b)
69,680
182,000
 
NextEra Energy Capital Holdings, Inc., 6.70% (5 yr. CMT + 2.36%), due 09/01/54(b)
187,998
1,900,000
 
Niagara Mohawk Power Corp., 5.66%, due 01/17/54 144A
1,829,031
204,000
 
NiSource, Inc., 3.60%, due 05/01/30
195,772
200,000
 
Nomura Holdings, Inc., 2.61%, due 07/14/31
176,607
2,285,000
 
Northwest Pipeline LLC, 4.00%, due 04/01/27
2,271,198
324,000
 
Novelis Corp., 4.75%, due 01/30/30 144A
310,658
56,000
 
Novelis Corp., 6.88%, due 01/30/30 144A
57,935
218,000
 
NRG Energy, Inc., 3.63%, due 02/15/31 144A
200,779
722,000
 
NRG Energy, Inc., 3.88%, due 02/15/32 144A
663,521
261,000
 
NRG Energy, Inc., 4.45%, due 06/15/29(e) 144A
256,896
228,000
 
NRG Energy, Inc., 5.75%, due 07/15/29 144A
229,433
217,000
 
NRG Energy, Inc., 6.00%, due 02/01/33 144A
219,298
170,000
 
NRG Energy, Inc., 6.25%, due 11/01/34 144A
173,310
346,000
 
NRG Energy, Inc., 7.00%, due 03/15/33(e) 144A
380,112
235,000
 
NRG Energy, Inc., 10.25% (5 yr. CMT + 5.92%)(b)(f) 144A
261,102
250,000
 
NSTAR Electric Co., 3.10%, due 06/01/51
163,407
400,000
 
NSTAR Electric Co., 5.40%, due 06/01/34
410,075
1,519,000
 
NXP BV/NXP Funding LLC/NXP USA, Inc., 2.50%, due 05/11/31
1,342,035
3,517,000
 
Occidental Petroleum Corp., 4.46%, due 10/10/36(j)
1,952,488
153,000
 
Occidental Petroleum Corp., 5.38%, due 01/01/32
151,853
359,000
 
Occidental Petroleum Corp., 6.05%, due 10/01/54
329,298
390,000
 
Occidental Petroleum Corp., 6.45%, due 09/15/36
399,295
159,000
 
Occidental Petroleum Corp., 6.60%, due 03/15/46
156,851
403,000
 
Occidental Petroleum Corp., 6.63%, due 09/01/30
426,394
412,000
 
OCP SA, 6.75%, due 05/02/34 144A
427,639
133,000
 
OneMain Finance Corp., 3.88%, due 09/15/28
127,635
62,000
 
OneMain Finance Corp., 6.63%, due 01/15/28
64,066
190,000
 
OneMain Finance Corp., 9.00%, due 01/15/29
199,367
655,000
 
ONEOK, Inc., 3.10%, due 03/15/30
612,212
75,000
 
ONEOK, Inc., 4.25%, due 09/15/46
57,194
370,000
 
ONEOK, Inc., 5.38%, due 06/01/29
378,043
See accompanying Notes to the Schedule of Investments
69

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
370,000
 
ONEOK, Inc., 5.70%, due 11/01/54(e)
341,837
1,738,000
 
ONEOK, Inc., 6.05%, due 09/01/33
1,824,410
369,000
 
ONEOK, Inc., 6.63%, due 09/01/53
383,820
1,456,000
 
Oracle Corp., 3.95%, due 03/25/51
1,075,611
223,000
 
Oracle Corp., 5.25%, due 02/03/32
228,837
620,000
 
Oracle Corp., 5.55%, due 02/06/53
583,555
177,000
 
Ovintiv, Inc., 6.25%, due 07/15/33
182,843
39,000
 
Ovintiv, Inc., 7.20%, due 11/01/31
42,225
180,000
 
Owens Corning, 3.88%, due 06/01/30
173,880
870,000
 
Pacific Gas & Electric Co., 3.95%, due 12/01/47(e)
614,599
694,000
 
Pacific Gas & Electric Co., 4.95%, due 07/01/50
560,059
303,000
 
Pacific Gas & Electric Co., 5.80%, due 05/15/34
303,122
265,000
 
PacifiCorp, 2.70%, due 09/15/30
242,438
259,000
 
PacifiCorp, 7.38% (5 yr. CMT + 3.32%), due 09/15/55(b)
269,894
376,000
 
Panther Escrow Issuer LLC, 7.13%, due 06/01/31 144A
390,817
109,000
 
Paramount Global, 4.20%, due 05/19/32
99,526
211,000
 
Paramount Global, 4.38%, due 03/15/43
155,442
446,000
 
Paramount Global, 4.95%, due 05/19/50
341,473
196,000
 
Parkland Corp., 4.50%, due 10/01/29 144A
188,559
190,000
 
Parkland Corp., 4.63%, due 05/01/30 144A
182,088
95,000
 
Parkland Corp., 6.63%, due 08/15/32 144A
97,157
415,000
 
PECO Energy Co., 3.05%, due 03/15/51
272,929
205,000
 
PECO Energy Co., 3.70%, due 09/15/47
156,391
3,790,000
 
Penske Truck Leasing Co. LP/PTL Finance Corp., 5.25%, due 07/01/29 144A
3,882,110
875,000
 
Petroleos Mexicanos, 6.50%, due 03/13/27
869,468
255,000
 
Petroleos Mexicanos, 6.50%, due 06/02/41
189,582
472,000
 
PG&E Corp., 7.38% (5 yr. CMT + 3.88%), due 03/15/55(b)
448,174
1,558,047
 
PG&E Wildfire Recovery Funding LLC, 3.59%, due 06/01/32
1,531,662
827,000
 
PG&E Wildfire Recovery Funding LLC, 4.26%, due 06/01/38
780,938
2,169,000
 
PG&E Wildfire Recovery Funding LLC, 4.72%, due 06/01/39
2,104,414
145,000
 
Piedmont Natural Gas Co., Inc., 3.50%, due 06/01/29
140,641
219,000
 
Pilgrim's Pride Corp., 6.25%, due 07/01/33
231,818
390,000
 
PNC Financial Services Group, Inc., 4.81% (SOFR + 1.26%), due 10/21/32(b)
391,019
1,444,000
 
PNC Financial Services Group, Inc., 5.40% (SOFR + 1.60%), due 07/23/35(b)
1,470,999
216,000
 
PNC Financial Services Group, Inc., 5.58% (SOFR + 1.39%), due 01/29/36(b)
222,711
235,000
 
PNC Financial Services Group, Inc., 5.94% (SOFR + 1.95%), due 08/18/34(b)
248,715
307,000
 
PNC Financial Services Group, Inc., 6.25% (7 yr. CMT + 2.81%)(b)(f)
316,433
316,000
 
Popular, Inc., 7.25%, due 03/13/28
335,968
130,000
 
Providence St. Joseph Health Obligated Group, 2.75%, due 10/01/26
127,320
1,580,000
 
Public Service Co. of Colorado, 5.35%, due 05/15/34
1,603,375
294,000
 
Qorvo, Inc., 3.38%, due 04/01/31 144A
265,378
209,000
 
Qorvo, Inc., 4.38%, due 10/15/29
203,025
158,000
 
Quanta Services, Inc., 5.25%, due 08/09/34
160,035
236,000
 
Quikrete Holdings, Inc., 6.38%, due 03/01/32 144A
242,831
200,000
 
Rakuten Group, Inc., 9.75%, due 04/15/29 144A
219,635
200,000
 
Rede D'or Finance SARL, 4.50%, due 01/22/30 144A
190,078
446,000
 
Regeneron Pharmaceuticals, Inc., 1.75%, due 09/15/30
387,482
547,000
 
Regions Financial Corp., 5.50% (SOFR + 2.06%), due 09/06/35(b)
548,611
154,000
 
Regions Financial Corp., 5.72% (SOFR + 1.49%), due 06/06/30(b)
159,102
70See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
154,000
 
Reinsurance Group of America, Inc., 6.65% (5 yr. CMT + 2.39%), due 09/15/55(b)
153,877
1,582,000
 
Rentokil Terminix Funding LLC, 5.00%, due 04/28/30 144A
1,593,736
367,000
 
Resorts World Las Vegas LLC/RWLV Capital, Inc., 4.63%, due 04/16/29 144A
325,389
200,000
 
Resorts World Las Vegas LLC/RWLV Capital, Inc., 4.63%, due 04/06/31 144A
164,323
245,000
 
Resorts World Las Vegas LLC/RWLV Capital, Inc., 8.45%, due 07/27/30 144A
242,500
29,000
 
RHP Hotel Properties LP/RHP Finance Corp., 6.50%, due 06/15/33 144A
29,852
168,000
 
Rivers Enterprise Borrower LLC/Rivers Enterprise Finance Corp., 6.63%, due 02/01/33
144A
168,352
190,000
 
Rocket Cos., Inc., 6.13%, due 08/01/30 144A
193,734
251,000
 
Rocket Cos., Inc., 6.38%, due 08/01/33 144A
257,137
170,000
 
Rocket Software, Inc., 9.00%, due 11/28/28 144A
175,387
143,000
 
Royal Caribbean Cruises Ltd., 5.63%, due 09/30/31 144A
143,963
59,000
 
Royal Caribbean Cruises Ltd., 6.25%, due 03/15/32 144A
60,682
172,000
 
Royalty Pharma PLC, 5.15%, due 09/02/29
175,660
529,000
 
Ryder System, Inc., 5.25%, due 06/01/28
542,990
60,000
 
S&S Holdings LLC, 8.38%, due 10/01/31 144A
58,687
572,000
 
Sabine Pass Liquefaction LLC, 4.50%, due 05/15/30
571,255
122,000
 
Sabre GLBL, Inc., 11.13%, due 07/15/30 144A
127,764
434,000
 
Saks Global Enterprises LLC, 11.00%, due 12/15/29(e) 144A
164,920
200,000
 
Sands China Ltd., 5.40%, due 08/08/28
201,616
138,000
 
Sasol Financing USA LLC, 5.50%, due 03/18/31
113,532
400,000
 
Sasol Financing USA LLC, 6.50%, due 09/27/28(e)
380,385
240,000
 
Saudi Arabian Oil Co., 5.25%, due 07/17/34 144A
242,747
4,523,000
 
SBA Tower Trust, 4.83%, due 10/15/29 144A
4,532,453
144,000
 
SBL Holdings, Inc., 5.00%, due 02/18/31 144A
130,867
298,000
 
Sempra, 5.50%, due 08/01/33
304,353
285,000
 
Sempra, 6.40% (5 yr. CMT + 2.63%), due 10/01/54(b)
271,271
290,000
 
Sempra, 6.88% (5 yr. CMT + 2.79%), due 10/01/54(b)
293,172
185,000
 
Sensata Technologies, Inc., 3.75%, due 02/15/31(e) 144A
168,810
72,000
 
Service Corp. International, 5.75%, due 10/15/32
72,824
850,000
 
Simon Property Group LP, 6.75%, due 02/01/40(e)
961,961
184,000
 
Sirius XM Radio LLC, 4.00%, due 07/15/28 144A
176,849
169,000
 
Sixth Street Lending Partners, 5.75%, due 01/15/30(e)
169,498
139,000
 
Sixth Street Lending Partners, 6.13%, due 07/15/30(e) 144A
141,612
1,130,000
 
Societe Generale SA, 1.79% (1 yr. CMT + 1.00%), due 06/09/27(b) 144A
1,100,093
1,365,000
 
Societe Generale SA, 2.80% (1 yr. CMT + 1.30%), due 01/19/28(b) 144A
1,325,983
345,000
 
Societe Generale SA, 5.38% (5 yr. CMT + 4.51%)(b)(f) 144A
316,461
305,000
 
Solventum Corp., 5.40%, due 03/01/29
314,158
573,000
 
Solventum Corp., 5.45%, due 03/13/31
595,234
1,131,000
 
Sonoco Products Co., 5.00%, due 09/01/34(e)
1,100,823
570,000
 
Southern California Edison Co., 3.45%, due 02/01/52
358,617
335,000
 
Southern California Edison Co., 4.00%, due 04/01/47
240,915
134,000
 
Southern Co., 5.20%, due 06/15/33
136,426
309,000
 
Southern Co., 5.70%, due 03/15/34
323,079
310,000
 
Southern Co., 6.38% (5 yr. CMT + 2.07%), due 03/15/55(b)
319,757
2,180,000
 
Southern Co. Gas Capital Corp., 4.95%, due 09/15/34
2,161,871
205,000
 
Standard Industries, Inc., 4.38%, due 07/15/30 144A
194,231
25,000
 
Standard Industries, Inc., 4.75%, due 01/15/28 144A
24,740
116,000
 
Star Parent, Inc., 9.00%, due 10/01/30 144A
122,156
See accompanying Notes to the Schedule of Investments
71

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
175,000
 
Starwood Property Trust, Inc., 3.63%, due 07/15/26 144A
172,150
198,000
 
Starwood Property Trust, Inc., 6.00%, due 04/15/30 144A
200,398
1,550,000
 
Sun Communities Operating LP, 2.30%, due 11/01/28
1,451,133
1,900,000
 
Sun Communities Operating LP, 2.70%, due 07/15/31
1,684,929
150,000
 
Sunoco LP, 6.25%, due 07/01/33 144A
152,599
149,000
 
Sunoco LP, 7.00%, due 05/01/29 144A
155,272
245,000
 
Sunoco LP, 7.25%, due 05/01/32 144A
257,416
394,000
 
Sunoco LP/Sunoco Finance Corp., 4.50%, due 04/30/30
379,149
275,000
 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp., 6.00%, due 12/31/30 144A
270,089
48,000
 
Talos Production, Inc., 9.00%, due 02/01/29 144A
49,179
60,000
 
Talos Production, Inc., 9.38%, due 02/01/31 144A
61,306
378,000
 
Targa Resources Corp., 5.50%, due 02/15/35
379,507
1,159,000
 
Targa Resources Corp., 6.15%, due 03/01/29
1,219,220
341,000
 
Targa Resources Partners LP/Targa Resources Partners Finance Corp., 4.00%, due
01/15/32
317,994
210,000
 
Taylor Morrison Communities, Inc., 5.88%, due 06/15/27 144A
213,681
416,000
 
Teachers Insurance & Annuity Association of America, 4.27%, due 05/15/47 144A
339,166
38,000
 
Teachers Insurance & Annuity Association of America, 6.85%, due 12/16/39 144A
42,895
70,000
 
Tenet Healthcare Corp., 4.38%, due 01/15/30
67,815
277,000
 
Teva Pharmaceutical Finance Netherlands IV BV, 5.75%, due 12/01/30
282,141
1,665,000
 
Textron, Inc., 5.50%, due 05/15/35
1,691,922
1,162,000
 
T-Mobile USA, Inc., 3.88%, due 04/15/30
1,128,910
1,604,000
 
T-Mobile USA, Inc., 5.88%, due 11/15/55
1,604,467
249,000
 
Toucan FinCo Ltd./Toucan FinCo Can, Inc./Toucan FinCo U.S. LLC, 9.50%, due
05/15/30 144A
254,746
140,000
 
Transcontinental Gas Pipe Line Co. LLC, 3.95%, due 05/15/50
106,150
141,000
 
Travel & Leisure Co., 4.63%, due 03/01/30 144A
135,272
115,000
 
TriNet Group, Inc., 3.50%, due 03/01/29 144A
108,161
162,000
 
TrueNoord Capital DAC, 8.75%, due 03/01/30 144A
168,351
387,000
 
Truist Financial Corp., 5.15% (SOFR + 1.57%), due 08/05/32(b)
394,652
2,600,000
 
Truist Financial Corp., 5.71% (SOFR + 1.92%), due 01/24/35(b)
2,696,113
793,000
 
Truist Financial Corp., 5.87% (SOFR + 2.36%), due 06/08/34(b)
828,733
207,000
 
Truist Financial Corp., 7.16% (SOFR + 2.45%), due 10/30/29(b)
223,949
382,000
 
Trust Fibra Uno, 7.38%, due 02/13/34 144A
389,294
438,000
 
U.S. Bancorp, 4.84% (SOFR + 1.60%), due 02/01/34(b)
432,650
288,000
 
U.S. Bancorp, 5.08% (SOFR + 1.30%), due 05/15/31(b)
293,845
252,000
 
U.S. Bancorp, 5.38% (SOFR + 1.56%), due 01/23/30(b)
259,509
410,000
 
U.S. Bancorp, 5.84% (SOFR + 2.26%), due 06/12/34(b)
430,819
290,000
 
UBS Group AG, 5.43% (1 yr. CMT + 1.52%), due 02/08/30(b) 144A
297,900
221,000
 
UBS Group AG, 6.30% (1 yr. CMT + 2.00%), due 09/22/34(b) 144A
237,429
216,000
 
UBS Group AG, 7.00% (5 yr. USD SOFR ICE Swap Rate + 3.08%)(b)(f) 144A
215,413
263,000
 
UBS Group AG, 7.13% (5 yr. USD Secured Overnight Financing Rate ICE Swap Rate +
3.18%)(b)(f) 144A
262,576
300,000
 
UBS Group AG, 9.25% (5 yr. CMT + 4.76%)(b)(f) 144A
347,673
87,000
 
Under Armour, Inc., 7.25%, due 07/15/30 144A
88,323
281,528
 
United Airlines Pass-Through Trust, 5.45%, due 08/15/38
285,099
285,494
 
United Airlines Pass-Through Trust, 5.88%, due 08/15/38
285,116
271,916
 
United Airlines Pass-Through Trust, 3.45%, due 01/07/30
260,169
1,616,781
 
United Airlines Pass-Through Trust, 4.00%, due 10/11/27
1,603,218
245,717
 
United Airlines Pass-Through Trust, 4.55%, due 02/25/33
231,031
72See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
405,053
 
United Airlines Pass-Through Trust, 5.80%, due 07/15/37
414,601
552,122
 
United Airlines Pass-Through Trust, 5.88%, due 04/15/29
563,873
580,000
 
United Airlines, Inc., 4.38%, due 04/15/26 144A
576,528
238,000
 
United Airlines, Inc., 4.63%, due 04/15/29 144A
231,183
265,000
 
United Rentals North America, Inc., 5.25%, due 01/15/30
265,885
885,000
 
UnitedHealth Group, Inc., 3.05%, due 05/15/41
650,853
155,000
 
UnitedHealth Group, Inc., 3.25%, due 05/15/51
102,902
535,000
 
UnitedHealth Group, Inc., 4.75%, due 05/15/52
456,111
70,000
 
UnitedHealth Group, Inc., 5.30%, due 06/15/35(e)
71,373
499,000
 
UnitedHealth Group, Inc., 5.75%, due 07/15/64
485,770
137,000
 
Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC, 6.50%, due
02/15/29(e) 144A
132,547
363,000
 
Universal Health Services, Inc., 2.65%, due 10/15/30
323,768
120,000
 
University of Chicago, 2.76%, due 04/01/45
92,808
350,000
 
University of Southern California, 2.95%, due 10/01/51
224,219
281,000
 
Valvoline, Inc., 3.63%, due 06/15/31 144A
254,667
359,000
 
Var Energi ASA, 5.88%, due 05/22/30 144A
368,034
1,160,000
 
Var Energi ASA, 7.50%, due 01/15/28 144A
1,228,809
735,000
 
Var Energi ASA, 8.00%, due 11/15/32 144A
833,801
178,000
 
Varex Imaging Corp., 7.88%, due 10/15/27 144A
180,451
65,000
 
Venture Global Calcasieu Pass LLC, 3.88%, due 08/15/29 144A
61,328
195,000
 
Venture Global Calcasieu Pass LLC, 4.13%, due 08/15/31 144A
180,632
215,000
 
Venture Global LNG, Inc., 7.00%, due 01/15/30 144A
217,534
662,000
 
Venture Global LNG, Inc., 9.00% (5 yr. CMT + 5.44%)(b)(f) 144A
644,225
329,000
 
Venture Global LNG, Inc., 9.50%, due 02/01/29 144A
358,611
617,000
 
Verisk Analytics, Inc., 3.63%, due 05/15/50
441,184
437,000
 
Verizon Communications, Inc., 2.55%, due 03/21/31
392,076
578,000
 
Verizon Communications, Inc., 2.88%, due 11/20/50
360,358
1,624,000
 
Verizon Communications, Inc., 3.55%, due 03/22/51
1,162,076
636,000
 
Viatris, Inc., 2.70%, due 06/22/30
566,733
515,000
 
Viatris, Inc., 3.85%, due 06/22/40
380,599
1,108,000
 
Viatris, Inc., 4.00%, due 06/22/50
738,621
446,000
 
VICI Properties LP, 5.13%, due 11/15/31
446,866
358,000
 
VICI Properties LP, 5.13%, due 05/15/32
356,905
205,000
 
VICI Properties LP/VICI Note Co., Inc., 3.88%, due 02/15/29 144A
198,435
342,000
 
VICI Properties LP/VICI Note Co., Inc., 4.63%, due 12/01/29 144A
336,137
1,203,000
 
VICI Properties LP/VICI Note Co., Inc., 5.75%, due 02/01/27 144A
1,220,014
3,016,000
 
Virginia Power Fuel Securitization LLC, 4.88%, due 05/01/33
3,067,448
69,000
 
Virtusa Corp., 7.13%, due 12/15/28 144A
65,821
107,000
 
Vistra Corp., 8.00% (5 yr. CMT + 6.93%)(b)(f) 144A
109,661
550,000
 
Vistra Operations Co. LLC, 4.30%, due 07/15/29 144A
542,124
195,000
 
Vistra Operations Co. LLC, 5.00%, due 07/31/27 144A
194,890
140,000
 
Vistra Operations Co. LLC, 6.88%, due 04/15/32 144A
146,458
342,000
 
Vistra Operations Co. LLC, 6.95%, due 10/15/33 144A
375,849
281,000
 
Vodafone Group PLC, 7.00% (5 yr. USD Swap + 4.87%), due 04/04/79(b)
293,617
340,000
 
WakeMed, 3.29%, due 10/01/52(e)
228,046
69,000
 
Warnermedia Holdings, Inc., 5.14%, due 03/15/52
43,815
1,871,000
 
Wells Fargo & Co., 2.57% (3 mo. USD Term SOFR + 1.26%), due 02/11/31(b)
1,714,493
1,270,000
 
Wells Fargo & Co., 3.35% (SOFR + 1.50%), due 03/02/33(b)
1,160,181
See accompanying Notes to the Schedule of Investments
73

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,905,000
 
Wells Fargo & Co., 4.81% (SOFR + 1.98%), due 07/25/28(b)
1,921,396
2,694,000
 
Wells Fargo & Co., 5.15% (SOFR + 1.50%), due 04/23/31(b)
2,759,890
286,000
 
Wells Fargo & Co., 5.21% (SOFR + 1.38%), due 12/03/35(b)
287,214
174,000
 
Wells Fargo & Co., 5.24% (SOFR + 1.11%), due 01/24/31(b)
178,544
1,720,000
 
Wells Fargo & Co., 5.39% (SOFR + 2.02%), due 04/24/34(b)
1,760,621
588,000
 
Wells Fargo & Co., 6.49% (SOFR + 2.06%), due 10/23/34(b)
642,938
113,000
 
WESCO Distribution, Inc., 6.38%, due 03/15/33 144A
116,875
286,000
 
Western Midstream Operating LP, 4.05%, due 02/01/30
275,163
219,000
 
Western Midstream Operating LP, 5.45%, due 11/15/34
214,812
153,000
 
Whistler Pipeline LLC, 5.40%, due 09/30/29 144A
154,818
132,000
 
Whistler Pipeline LLC, 5.70%, due 09/30/31 144A
134,651
118,000
 
Williams Scotsman, Inc., 6.63%, due 06/15/29 144A
121,212
143,000
 
Windstream Services LLC/Windstream Escrow Finance Corp., 8.25%, due 10/01/31
144A
149,884
159,000
 
WMG Acquisition Corp., 3.88%, due 07/15/30 144A
148,717
300,000
 
Wolverine World Wide, Inc., 4.00%, due 08/15/29 144A
269,390
134,000
 
XHR LP, 6.63%, due 05/15/30 144A
136,696
610,000
 
Yale University, 2.40%, due 04/15/50
361,366
1,070,000
 
Yamana Gold, Inc., 2.63%, due 08/15/31
946,160
1,220,000
 
Yara International ASA, 4.75%, due 06/01/28 144A
1,222,866
560,000
 
Yara International ASA, 7.38%, due 11/14/32 144A
624,071
 
 
428,984,021
 
Mortgage Backed Securities - Private Issuers — 6.9%
74,051
 
Angel Oak Mortgage Trust, Series 2020-R1, Class A1, 0.99%, due 04/25/53(d) 144A
70,539
188,673
 
Angel Oak Mortgage Trust, Series 2021-4, Class A1, 1.04%, due 01/20/65(d) 144A
159,420
330,249
 
Angel Oak Mortgage Trust, Series 2021-5, Class A1, 0.95%, due 07/25/66(d) 144A
286,457
219,688
 
Angel Oak Mortgage Trust, Series 2024-3, Class A1, 4.80%, due 11/26/68(c) 144A
218,754
1,000,000
 
Arbor Multifamily Mortgage Securities Trust, Series 2021-MF2, Class A4, 2.25%, due
06/15/54 144A
882,384
178,267
 
Arroyo Mortgage Trust, Series 2021-1R, Class A1, 1.18%, due 10/25/48(d) 144A
161,030
837,401
 
ATLX Trust, Series 2024-RPL1, Class A1, 3.85%, due 04/25/64(c) 144A
809,830
421,000
 
BAHA Trust, Series 2024-MAR, Class A, 6.17%, due 12/10/41(d) 144A
436,431
217,000
 
BAMLL Commercial Mortgage Securities Trust, Series 2019-BPR, Class ENM, 3.84%,
due 11/05/32(d) 144A
172,019
971,351
 
Bank, Series 2019-BN20, Class A2, 2.76%, due 09/15/62
908,994
2,038,993
 
Bank, Series 2019-BN23, Class A2, 2.67%, due 12/15/52
1,887,533
1,438,152
 
Bank, Series 2020-BN26, Class A2, 2.04%, due 03/15/63
1,343,361
1,800,000
 
Bank, Series 2020-BN26, Class A3, 2.16%, due 03/15/63
1,619,533
2,300,000
 
Bank, Series 2021-BN34, Class A4, 2.16%, due 06/15/63
1,994,643
2,224,000
 
Bank, Series 2021-BN36, Class A5, 2.47%, due 09/15/64
1,945,876
26,958
 
BBCMS Mortgage Trust, Series 2019-C5, Class A2, 3.04%, due 11/15/52
26,301
42,908
 
BBCMS Mortgage Trust, Series 2020-C6, Class A2, 2.69%, due 02/15/53
40,283
2,000,000
 
BBCMS Mortgage Trust, Series 2022-C14, Class A4, 2.69%, due 02/15/55
1,771,074
1,235,014
 
BBCMS Mortgage Trust, Series 2023-C21, Class A2, 6.51%, due 09/15/56(d)
1,296,824
162,000
 
BBCMS Mortgage Trust, Series 2024-5C29, Class A3, 5.21%, due 09/15/57
165,357
171,000
 
BBCMS Mortgage Trust, Series 2024-5C31, Class A3, 5.61%, due 12/15/57
177,410
2,052,000
 
BBCMS Mortgage Trust, Series 2025-C32, Class A5, 5.72%, due 02/15/62
2,160,052
89,460
 
Benchmark Mortgage Trust, Series 2019-B12, Class A2, 3.00%, due 08/15/52
87,774
74See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - Private Issuers — continued
85,214
 
Benchmark Mortgage Trust, Series 2019-B13, Class A2, 2.89%, due 08/15/57
81,011
1,350,000
 
Benchmark Mortgage Trust, Series 2019-B15, Class A4, 2.67%, due 12/15/72
1,241,731
600,000
 
Benchmark Mortgage Trust, Series 2020-B17, Class A4, 2.04%, due 03/15/53
529,815
722,180
 
Benchmark Mortgage Trust, Series 2020-B20, Class A2, 1.75%, due 10/15/53
717,582
620,706
 
Benchmark Mortgage Trust, Series 2020-IG3, Class A2, 2.48%, due 09/15/48 144A
609,089
3,014,257
 
Benchmark Mortgage Trust, Series 2021-B23, Class A2, 1.62%, due 02/15/54
2,757,313
1,700,000
 
Benchmark Mortgage Trust, Series 2021-B23, Class A4A1, 1.82%, due 02/15/54
1,461,287
900,000
 
Benchmark Mortgage Trust, Series 2021-B24, Class A3, 2.01%, due 03/15/54
826,843
1,750,000
 
Benchmark Mortgage Trust, Series 2021-B24, Class A4, 2.26%, due 03/15/54
1,549,431
3,000,000
 
Benchmark Mortgage Trust, Series 2023-B39, Class A2, 6.79%, due 07/15/56(d)
3,123,711
1,148,665
 
Benchmark Mortgage Trust, Series 2023-B40, Class A2, 6.93%, due 12/15/56
1,218,367
352,000
 
Benchmark Mortgage Trust, Series 2024-V12, Class A3, 5.74%, due 12/15/57
366,949
2,218,000
 
Benchmark Mortgage Trust, Series 2025-V14, Class A4, 5.66%, due 04/15/57
2,313,279
177,000
 
BMO Mortgage Trust, Series 2024-5C8, Class A3, 5.63%, due 12/15/57(d)
183,837
2,027,000
 
BMO Mortgage Trust, Series 2025-5C10, Class A3, 5.58%, due 05/15/58
2,101,832
139,460
 
BRAVO Residential Funding Trust, Series 2021-NQM1, Class A1, 0.94%, due
02/25/49(d) 144A
130,600
1,154,399
 
BRAVO Residential Funding Trust, Series 2023-RPL1, Class A1, 5.00%, due 05/25/63(d)
144A
1,143,781
1,468,743
 
BX Commercial Mortgage Trust, Series 2021-VOLT, Class A, 5.13% (1 mo. USD Term
SOFR + 0.81%), due 09/15/36(b) 144A
1,464,614
260,000
 
BX Trust, Series 2019-OC11, Class A, 3.20%, due 12/09/41 144A
242,707
2,218,000
 
BX Trust, Series 2022-CLS, Class A, 5.76%, due 10/13/27 144A
2,246,830
959,076
 
CF Mortgage Trust, Series 2020-P1, Class A1, 2.84%, due 04/15/52(d) 144A
923,452
348,411
 
CFCRE Commercial Mortgage Trust, Series 2016-C4, Class A3, 3.01%, due 05/10/58
346,085
2,283,607
 
CFCRE Commercial Mortgage Trust, Series 2016-C6, Class A2, 2.95%, due 11/10/49
2,248,721
466,920
 
Chase Home Lending Mortgage Trust, Series 2024-RPL3, Class A1A, 3.25%, due
09/25/64(d) 144A
416,080
1,289,404
 
CIM Trust, Series 2024-R1, Class A1, 4.75%, due 06/25/64(d) 144A
1,279,740
6,783,969
 
Citigroup Commercial Mortgage Trust, Series 2014-GC21, Class XB, 0.14%, due
05/10/47(d)
68
277,659
 
Citigroup Commercial Mortgage Trust, Series 2019-C7, Class A3, 2.86%, due 12/15/72
259,424
380,000
 
Citigroup Commercial Mortgage Trust, Series 2023-SMRT, Class A, 6.01%, due
10/12/40(d) 144A
392,739
264,628
 
COLT Mortgage Loan Trust, Series 2021-2, Class A1, 0.92%, due 08/25/66(d) 144A
222,834
206,476
 
COLT Mortgage Loan Trust, Series 2021-3, Class A1, 0.96%, due 09/27/66(d) 144A
172,541
117,415
 
COLT Mortgage Loan Trust, Series 2021-HX1, Class A1, 1.11%, due 10/25/66(d) 144A
100,989
396,973
 
COLT Trust, Series 2020-RPL1, Class A1, 1.39%, due 01/25/65(d) 144A
342,875
862,000
 
COMM Mortgage Trust, Series 2015-CR27, Class A4, 3.61%, due 10/10/48
858,468
1,335,000
 
CSAIL Commercial Mortgage Trust, Series 2017-CX10, Class A4, 3.19%, due 11/15/50
1,303,008
1,050,000
 
CSAIL Commercial Mortgage Trust, Series 2019-C18, Class A3, 2.72%, due 12/15/52
971,841
1,770,063
 
CSAIL Commercial Mortgage Trust, Series 2021-C20, Class A2, 2.49%, due 03/15/54
1,609,934
175,087
 
CSMC Trust, Series 2018-RPL9, Class A, 3.85%, due 09/25/57(d) 144A
169,877
206,244
 
CSMC Trust, Series 2021-NQM2, Class A1, 1.18%, due 02/25/66(d) 144A
185,118
189,223
 
CSMC Trust, Series 2021-NQM3, Class A1, 1.02%, due 04/25/66(d) 144A
163,140
276,095
 
CSMC Trust, Series 2021-NQM6, Class A1, 1.17%, due 07/25/66(d) 144A
231,676
56,047
 
Ellington Financial Mortgage Trust, Series 2021-1, Class A1, 0.80%, due 02/25/66(d)
144A
48,130
121,681
 
Ellington Financial Mortgage Trust, Series 2021-2, Class A1, 0.93%, due 06/25/66(d)
144A
101,835
See accompanying Notes to the Schedule of Investments
75

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - Private Issuers — continued
760,040
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2018-2,
Class MA, 3.50%, due 11/25/57
737,285
530,562
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2018-4,
Class MA, 3.50%, due 03/25/58
511,349
490,402
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2019-1,
Class MA, 3.50%, due 07/25/58
471,914
380,000
 
Federal Home Loan Mortgage Corp. STACR REMICS Trust, Series 2022-DNA3,
Class M1B, 7.21% (SOFR 30-day average + 2.90%), due 04/25/42(b) 144A
391,687
395,656
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2023-R02, Class 1M1, 6.61% (SOFR 30-day average + 2.30%), due 01/25/43(b) 144A
404,007
224,390
 
Flagstar Mortgage Trust, Series 2020-2, Class A2, 3.00%, due 08/25/50(d) 144A
193,679
545,736
 
Flagstar Mortgage Trust, Series 2021-1, Class A2, 2.50%, due 02/01/51(d) 144A
445,257
180,636
 
GCAT Trust, Series 2021-NQM1, Class A1, 0.87%, due 01/25/66(d) 144A
161,570
165,199
 
GCAT Trust, Series 2021-NQM2, Class A1, 1.04%, due 05/25/66(d) 144A
141,500
244,265
 
GCAT Trust, Series 2021-NQM3, Class A1, 1.09%, due 05/25/66(d) 144A
212,225
1,515,000
 
GS Mortgage Securities Trust, Series 2019-GC40, Class A3, 2.90%, due 07/10/52
1,430,101
1,600,000
 
GS Mortgage Securities Trust, Series 2020-GC47, Class A4, 2.12%, due 05/12/53
1,437,908
1,069,195
 
GS Mortgage Securities Trust, Series 2020-GSA2, Class AAB, 1.66%, due 12/12/53
1,013,406
110,093
 
GS Mortgage-Backed Securities Corp. Trust, Series 2021-NQM1, Class A1, 1.02%, due
07/25/61(d) 144A
98,912
34,767
 
GS Mortgage-Backed Securities Trust, Series 2020-NQM1, Class A1, 1.38%, due
09/27/60(d) 144A
32,923
324,000
 
Hudson Yards Mortgage Trust, Series 2025-SPRL, Class A, 5.65%, due 01/13/40(d) 144A
334,335
160,862
 
Imperial Fund Mortgage Trust, Series 2021-NQM1, Class A1, 1.07%, due 06/25/56(d)
144A
140,250
588,605
 
JP Morgan Chase Commercial Mortgage Securities Trust, Series 2016-JP2, Class A3,
2.56%, due 08/15/49
580,761
357,000
 
JP Morgan Chase Commercial Mortgage Securities Trust, Series 2020-NNN, Class AFX,
2.81%, due 01/16/37 144A
321,393
1,526,120
 
JP Morgan Mortgage Trust, Series 2023-4, Class 1A4A, 5.50%, due 11/25/53(d) 144A
1,531,480
2,010,560
 
JP Morgan Mortgage Trust, Series 2025-2, Class A4A, 5.50%, due 07/25/55(d) 144A
2,018,621
779,049
 
JPMCC Commercial Mortgage Securities Trust, Series 2017-JP6, Class A3, 3.11%, due
07/15/50
759,953
465,581
 
JPMCC Commercial Mortgage Securities Trust, Series 2019-COR5, Class A2, 3.15%,
due 06/13/52
453,456
677,282
 
JPMDB Commercial Mortgage Securities Trust, Series 2016-C2, Class A3A, 2.88%, due
06/15/49
667,953
1,137,148
 
JPMDB Commercial Mortgage Securities Trust, Series 2017-C5, Class A4, 3.41%, due
03/15/50
1,112,648
546,925
 
Kinbane 2 DAC, Series 2024-RPL2A, Class A, 3.19% (1 mo. EURIBOR + 1.10%), due
01/24/63(b) 144A
642,813
63,799
 
Legacy Mortgage Asset Trust, Series 2021-GS1, Class A1, 5.89%, due 10/25/66(c) 144A
63,842
89,978
 
MFA Trust, Series 2021-NQM1, Class A1, 1.15%, due 04/25/65(d) 144A
84,354
447,179
 
Mill City Mortgage Trust, Series 2015-1, Class M3, 3.80%, due 06/25/56(d) 144A
442,298
411,131
 
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C22, Class A4,
3.31%, due 04/15/48
405,152
135,200
 
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C24, Class A4,
3.73%, due 05/15/48
134,842
1,562,383
 
Morgan Stanley Capital I Trust, Series 2016-UB11, Class A3, 2.53%, due 08/15/49
1,529,254
3,110,000
 
Morgan Stanley Capital I Trust, Series 2019-H6, Class A3, 3.16%, due 06/15/52
3,010,580
980,000
 
Morgan Stanley Capital I Trust, Series 2020-HR8, Class A4, 2.04%, due 07/15/53
862,618
76See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - Private Issuers — continued
195,000
 
Natixis Commercial Mortgage Securities Trust, Series 2018-ALXA, Class C, 4.46%, due
01/15/43(d) 144A
180,110
99,191
 
New Residential Mortgage Loan Trust, Series 2018-4A, Class A1S, 5.18% (1 mo. USD
Term SOFR + 0.86%), due 01/25/48(b) 144A
97,179
176,000
 
NXPT Commercial Mortgage Trust, Series 2024-STOR, Class A, 4.46%, due 11/05/41(d)
144A
173,141
150,928
 
NYMT Loan Trust, Series 2022-CP1, Class A1, 2.04%, due 07/25/61 144A
141,736
104,128
 
OBX Trust, Series 2020-EXP2, Class A3, 2.50%, due 05/25/60(d) 144A
88,386
155,943
 
OBX Trust, Series 2021-NQM2, Class A1, 1.10%, due 05/25/61(d) 144A
128,977
214,142
 
OBX Trust, Series 2021-NQM3, Class A1, 1.05%, due 07/25/61(d) 144A
175,627
353,771
 
Provident Funding Mortgage Trust, Series 2020-F1, Class A2, 2.00%, due 01/25/36(d)
144A
315,271
216,160
 
PRPM LLC, Series 2024-RPL2, Class A1, 3.50%, due 05/25/54(c) 144A
209,037
657,869
 
PRPM LLC, Series 2025-RCF1, Class A1, 4.50%, due 02/25/55(c) 144A
649,313
838,776
 
RCKT Mortgage Trust, Series 2025-CES1, Class A1A, 5.65%, due 01/25/45(c) 144A
844,388
326,000
 
ROCK Trust, Series 2024-CNTR, Class A, 5.39%, due 11/13/41 144A
333,829
375,000
 
ROCK Trust, Series 2024-CNTR, Class D, 7.11%, due 11/13/41 144A
392,426
110,319
 
Sequoia Mortgage Trust, Series 2020-3, Class A4, 3.00%, due 04/25/50(d) 144A
108,463
1,205,616
 
Sequoia Mortgage Trust, Series 2024-5, Class A5, 6.00%, due 06/25/54(d) 144A
1,216,240
1,563,902
 
Sequoia Mortgage Trust, Series 2024-6, Class A5, 6.00%, due 07/27/54(d) 144A
1,581,374
289,000
 
SLG Office Trust, Series 2021-OVA, Class D, 2.85%, due 07/15/41 144A
247,753
314,825
 
Starwood Mortgage Residential Trust, Series 2022-1, Class A1, 2.45%, due 12/25/66(d)
144A
285,675
216,151
 
Towd Point Mortgage Trust, Series 2018-4, Class A1, 3.00%, due 06/25/58(d) 144A
204,945
211,970
 
Towd Point Mortgage Trust, Series 2019-1, Class A1, 3.75%, due 03/25/58(d) 144A
206,458
166,579
 
Towd Point Mortgage Trust, Series 2019-4, Class A1, 2.90%, due 10/25/59(d) 144A
160,066
62,264
 
Towd Point Mortgage Trust, Series 2019-HY3, Class A1A, 5.43% (1 mo. USD Term
SOFR + 1.11%), due 10/25/59(b) 144A
62,769
257,749
 
Towd Point Mortgage Trust, Series 2020-4, Class A1, 1.75%, due 10/25/60 144A
233,956
500,000
 
Towd Point Mortgage Trust, Series 2021-SJ2, Class A1B, 2.25%, due 12/25/61(d) 144A
463,471
222,826
 
Towd Point Mortgage Trust, Series 2024-4, Class A1A, 4.44%, due 10/27/64(d) 144A
224,017
779,739
 
Towd Point Mortgage Trust, Series 2025-CES1, Class A1, 5.71%, due 02/25/55(c) 144A
789,100
234,000
 
VDCM Commercial Mortgage Trust, Series 2025-AZ, Class A, 5.23%, due 07/13/44(d)(h)
144A
234,946
56,431
 
Verus Securitization Trust, Series 2020-5, Class A1, 2.22%, due 05/25/65(c) 144A
54,677
111,593
 
Verus Securitization Trust, Series 2021-3, Class A1, 1.05%, due 06/25/66(d) 144A
98,116
168,112
 
Verus Securitization Trust, Series 2021-4, Class A1, 0.94%, due 07/25/66(d) 144A
139,818
195,261
 
Verus Securitization Trust, Series 2021-5, Class A1, 1.01%, due 09/25/66(d) 144A
168,223
64,157
 
Verus Securitization Trust, Series 2021-R1, Class A1, 0.82%, due 10/25/63(d) 144A
62,031
5,459
 
WaMu Mortgage Pass-Through Certificates Trust, Series 2003-AR9, Class 1A7, 6.53%,
due 09/25/33(d)
5,443
842,346
 
Wells Fargo Commercial Mortgage Trust, Series 2017-C38, Class A4, 3.19%, due
07/15/50
825,275
1,590,090
 
Wells Fargo Commercial Mortgage Trust, Series 2017-RB1, Class A4, 3.37%, due
03/15/50
1,548,390
1,900,000
 
Wells Fargo Commercial Mortgage Trust, Series 2021-C59, Class A3, 1.96%, due
04/15/54
1,717,402
189,000
 
Wells Fargo Commercial Mortgage Trust, Series 2025-5C4, Class A3, 5.67%, due
05/15/58
197,112
See accompanying Notes to the Schedule of Investments
77

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - Private Issuers — continued
193,000
 
WHARF Commercial Mortgage Trust, Series 2025-DC, Class A, 5.35%, due 07/15/40(d)
144A
197,010
 
 
92,823,539
 
Mortgage Backed Securities - U.S. Government Agency Obligations — 29.9%
148,337
 
Federal Home Loan Mortgage Corp., Pool # A89870, 4.50%, due 11/01/39
148,263
104,120
 
Federal Home Loan Mortgage Corp., Pool # A96970, 4.00%, due 02/01/41
100,154
191,448
 
Federal Home Loan Mortgage Corp., Pool # C91908, 3.00%, due 01/01/37
181,566
148,896
 
Federal Home Loan Mortgage Corp., Pool # G06231, 4.00%, due 12/01/40
144,130
92,614
 
Federal Home Loan Mortgage Corp., Pool # G06409, 6.00%, due 11/01/39
97,241
46,294
 
Federal Home Loan Mortgage Corp., Pool # G06875, 5.50%, due 12/01/38
47,860
171,855
 
Federal Home Loan Mortgage Corp., Pool # G07021, 5.00%, due 09/01/39
174,579
321,322
 
Federal Home Loan Mortgage Corp., Pool # G07816, 4.50%, due 09/01/42
319,775
236,982
 
Federal Home Loan Mortgage Corp., Pool # G08537, 3.00%, due 07/01/43
214,354
142,464
 
Federal Home Loan Mortgage Corp., Pool # G08672, 4.00%, due 10/01/45
135,360
484,506
 
Federal Home Loan Mortgage Corp., Pool # G08721, 3.00%, due 09/01/46
431,224
224,457
 
Federal Home Loan Mortgage Corp., Pool # G08726, 3.00%, due 10/01/46
199,587
39,278
 
Federal Home Loan Mortgage Corp., Pool # G08735, 4.50%, due 10/01/46
38,393
18,905
 
Federal Home Loan Mortgage Corp., Pool # G08748, 3.50%, due 02/01/47
17,439
271,398
 
Federal Home Loan Mortgage Corp., Pool # G08749, 4.00%, due 02/01/47
257,553
142,210
 
Federal Home Loan Mortgage Corp., Pool # G08771, 4.00%, due 07/01/47
134,933
123,711
 
Federal Home Loan Mortgage Corp., Pool # G08786, 4.50%, due 10/01/47
120,651
59,744
 
Federal Home Loan Mortgage Corp., Pool # G16177, 2.00%, due 01/01/32
56,827
40,654
 
Federal Home Loan Mortgage Corp., Pool # G60359, 3.00%, due 12/01/45
36,386
192,859
 
Federal Home Loan Mortgage Corp., Pool # G60581, 3.50%, due 05/01/46
179,095
760,798
 
Federal Home Loan Mortgage Corp., Pool # G60722, 3.00%, due 10/01/46
679,249
281,435
 
Federal Home Loan Mortgage Corp., Pool # G60767, 3.50%, due 10/01/46
259,406
120,646
 
Federal Home Loan Mortgage Corp., Pool # G60788, 3.50%, due 12/01/46
111,836
440,023
 
Federal Home Loan Mortgage Corp., Pool # G60804, 4.50%, due 05/01/42
438,720
631,112
 
Federal Home Loan Mortgage Corp., Pool # G60934, 3.50%, due 06/01/45
592,989
793,678
 
Federal Home Loan Mortgage Corp., Pool # G60985, 3.00%, due 05/01/47
710,720
85,543
 
Federal Home Loan Mortgage Corp., Pool # G60989, 3.00%, due 12/01/46
76,144
58,007
 
Federal Home Loan Mortgage Corp., Pool # G61022, 3.00%, due 04/01/45
52,385
69,263
 
Federal Home Loan Mortgage Corp., Pool # G61581, 4.00%, due 08/01/48
65,680
429,738
 
Federal Home Loan Mortgage Corp., Pool # G61748, 3.50%, due 11/01/48
396,758
52,543
 
Federal Home Loan Mortgage Corp., Pool # G67700, 3.50%, due 08/01/46
48,750
229,156
 
Federal Home Loan Mortgage Corp., Pool # G67701, 3.00%, due 10/01/46
207,005
141,781
 
Federal Home Loan Mortgage Corp., Pool # G67703, 3.50%, due 04/01/47
131,135
20,723
 
Federal Home Loan Mortgage Corp., Pool # G67708, 3.50%, due 03/01/48
19,116
66,611
 
Federal Home Loan Mortgage Corp., Pool # J24414, 2.50%, due 06/01/28
65,217
423,772
 
Federal Home Loan Mortgage Corp., Pool # Q09224, 4.00%, due 07/01/42
409,414
63,795
 
Federal Home Loan Mortgage Corp., Pool # Q11218, 3.50%, due 09/01/42
59,962
138,268
 
Federal Home Loan Mortgage Corp., Pool # Q12052, 3.50%, due 10/01/42
129,946
392,313
 
Federal Home Loan Mortgage Corp., Pool # Q12862, 3.50%, due 11/01/42
369,643
147,300
 
Federal Home Loan Mortgage Corp., Pool # Q17792, 3.50%, due 05/01/43
138,342
374,696
 
Federal Home Loan Mortgage Corp., Pool # Q36815, 4.00%, due 10/01/45
355,051
39,376
 
Federal Home Loan Mortgage Corp., Pool # Q37986, 3.50%, due 12/01/45
36,598
273,966
 
Federal Home Loan Mortgage Corp., Pool # Q41918, 3.50%, due 07/01/46
254,639
49,956
 
Federal Home Loan Mortgage Corp., Pool # Q44399, 3.50%, due 11/01/46
46,132
78See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
149,159
 
Federal Home Loan Mortgage Corp., Pool # Q44963, 3.50%, due 12/01/46
137,867
473,140
 
Federal Home Loan Mortgage Corp., Pool # Q45741, 3.50%, due 01/01/47
437,398
24,634
 
Federal Home Loan Mortgage Corp., Pool # Q46015, 3.50%, due 02/01/47
22,751
10,982
 
Federal Home Loan Mortgage Corp., Pool # Q47384, 4.00%, due 04/01/47
10,394
43,331
 
Federal Home Loan Mortgage Corp., Pool # Q48463, 4.00%, due 06/01/47
40,969
40,593
 
Federal Home Loan Mortgage Corp., Pool # Q49494, 4.50%, due 07/01/47
39,602
154,069
 
Federal Home Loan Mortgage Corp., Pool # Q52312, 4.00%, due 11/01/47
146,113
117,098
 
Federal Home Loan Mortgage Corp., Pool # Q54957, 4.00%, due 03/01/48
111,053
1,070,390
 
Federal Home Loan Mortgage Corp., Pool # QA6367, 3.00%, due 01/01/50
944,167
674,694
 
Federal Home Loan Mortgage Corp., Pool # QA7234, 3.00%, due 02/01/50
591,440
467,861
 
Federal Home Loan Mortgage Corp., Pool # QA8518, 3.00%, due 04/01/50
411,238
179,832
 
Federal Home Loan Mortgage Corp., Pool # QB0220, 3.00%, due 06/01/50
157,622
1,217,294
 
Federal Home Loan Mortgage Corp., Pool # QB3535, 2.00%, due 09/01/50
970,707
239,666
 
Federal Home Loan Mortgage Corp., Pool # QC0039, 2.50%, due 03/01/51
200,357
1,250,992
 
Federal Home Loan Mortgage Corp., Pool # QC4339, 2.00%, due 07/01/51
1,009,591
764,134
 
Federal Home Loan Mortgage Corp., Pool # QC5189, 2.50%, due 08/01/51
638,046
381,796
 
Federal Home Loan Mortgage Corp., Pool # QC6357, 2.50%, due 09/01/51
319,759
421,330
 
Federal Home Loan Mortgage Corp., Pool # QD6056, 3.00%, due 02/01/52
369,159
1,045,287
 
Federal Home Loan Mortgage Corp., Pool # QD6057, 3.00%, due 02/01/52
913,682
685,019
 
Federal Home Loan Mortgage Corp., Pool # QE0375, 4.00%, due 04/01/52
643,960
60,310
 
Federal Home Loan Mortgage Corp., Pool # QE1497, 4.00%, due 05/01/52
56,849
654,545
 
Federal Home Loan Mortgage Corp., Pool # QF2436, 5.00%, due 10/01/52
646,581
212,863
 
Federal Home Loan Mortgage Corp., Pool # RA1343, 3.00%, due 09/01/49
187,106
1,396,756
 
Federal Home Loan Mortgage Corp., Pool # RA1776, 3.00%, due 12/01/49
1,232,064
800,149
 
Federal Home Loan Mortgage Corp., Pool # RA1860, 3.00%, due 12/01/49
701,425
890,286
 
Federal Home Loan Mortgage Corp., Pool # RA4912, 3.00%, due 03/01/51
772,083
1,397,292
 
Federal Home Loan Mortgage Corp., Pool # RA6944, 3.50%, due 03/01/52
1,268,417
524,739
 
Federal Home Loan Mortgage Corp., Pool # RA6951, 3.50%, due 03/01/52
477,385
2,741,218
 
Federal Home Loan Mortgage Corp., Pool # RA7135, 2.50%, due 04/01/52
2,290,483
1,774,731
 
Federal Home Loan Mortgage Corp., Pool # RA7407, 4.00%, due 05/01/52
1,658,272
1,793,350
 
Federal Home Loan Mortgage Corp., Pool # RA7545, 4.00%, due 06/01/52
1,671,871
2,445,777
 
Federal Home Loan Mortgage Corp., Pool # RA7787, 5.00%, due 08/01/52
2,415,791
1,161,844
 
Federal Home Loan Mortgage Corp., Pool # RA9258, 5.00%, due 06/01/53
1,144,591
1,583,850
 
Federal Home Loan Mortgage Corp., Pool # RB5111, 2.00%, due 05/01/41
1,363,282
1,087,923
 
Federal Home Loan Mortgage Corp., Pool # RC1916, 2.00%, due 06/01/36
1,002,819
1,338,239
 
Federal Home Loan Mortgage Corp., Pool # RJ3472, 5.50%, due 02/01/55
1,350,500
3,551,308
 
Federal Home Loan Mortgage Corp., Pool # SB0307, 2.50%, due 02/01/35
3,352,841
1,976,231
 
Federal Home Loan Mortgage Corp., Pool # SB0385, 3.00%, due 07/01/35
1,907,477
332,928
 
Federal Home Loan Mortgage Corp., Pool # SB8166, 3.50%, due 06/01/37
321,557
200,610
 
Federal Home Loan Mortgage Corp., Pool # SB8178, 4.00%, due 09/01/37
196,586
253,625
 
Federal Home Loan Mortgage Corp., Pool # SB8199, 4.50%, due 12/01/37
252,161
1,297,887
 
Federal Home Loan Mortgage Corp., Pool # SB8205, 4.50%, due 01/01/38
1,291,991
331,892
 
Federal Home Loan Mortgage Corp., Pool # SB8212, 4.50%, due 02/01/38
330,386
914,003
 
Federal Home Loan Mortgage Corp., Pool # SB8504, 2.50%, due 10/01/35
862,911
2,491,891
 
Federal Home Loan Mortgage Corp., Pool # SD0291, 5.00%, due 03/01/50
2,487,400
901,083
 
Federal Home Loan Mortgage Corp., Pool # SD0742, 2.50%, due 11/01/51
758,927
377,868
 
Federal Home Loan Mortgage Corp., Pool # SD0815, 3.00%, due 01/01/52
331,614
388,004
 
Federal Home Loan Mortgage Corp., Pool # SD0905, 3.00%, due 03/01/52
339,895
522,676
 
Federal Home Loan Mortgage Corp., Pool # SD1050, 4.50%, due 07/01/52
503,000
See accompanying Notes to the Schedule of Investments
79

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
2,698,340
 
Federal Home Loan Mortgage Corp., Pool # SD1265, 4.50%, due 06/01/52
2,602,779
1,930,024
 
Federal Home Loan Mortgage Corp., Pool # SD1295, 5.00%, due 07/01/52
1,910,572
1,467,478
 
Federal Home Loan Mortgage Corp., Pool # SD1325, 4.00%, due 08/01/52
1,374,050
1,237,273
 
Federal Home Loan Mortgage Corp., Pool # SD1446, 4.50%, due 08/01/52
1,187,643
1,547,440
 
Federal Home Loan Mortgage Corp., Pool # SD1475, 4.50%, due 08/01/52
1,492,639
2,374,104
 
Federal Home Loan Mortgage Corp., Pool # SD1483, 4.00%, due 08/01/52
2,238,293
1,163,036
 
Federal Home Loan Mortgage Corp., Pool # SD1513, 5.00%, due 08/01/52
1,145,150
882,019
 
Federal Home Loan Mortgage Corp., Pool # SD1517, 4.50%, due 09/01/52
851,439
825,511
 
Federal Home Loan Mortgage Corp., Pool # SD1606, 4.50%, due 09/01/52
794,435
861,382
 
Federal Home Loan Mortgage Corp., Pool # SD1695, 5.00%, due 10/01/52
849,081
467,202
 
Federal Home Loan Mortgage Corp., Pool # SD1807, 4.50%, due 07/01/52
449,615
639,400
 
Federal Home Loan Mortgage Corp., Pool # SD1922, 5.00%, due 11/01/52
631,323
405,655
 
Federal Home Loan Mortgage Corp., Pool # SD1944, 5.00%, due 12/01/52
400,682
681,074
 
Federal Home Loan Mortgage Corp., Pool # SD1999, 5.00%, due 12/01/52
671,207
854,931
 
Federal Home Loan Mortgage Corp., Pool # SD2032, 5.00%, due 12/01/52
846,236
2,913,306
 
Federal Home Loan Mortgage Corp., Pool # SD2172, 5.50%, due 02/01/53
2,941,880
428,213
 
Federal Home Loan Mortgage Corp., Pool # SD2273, 4.50%, due 12/01/52
412,094
1,546,655
 
Federal Home Loan Mortgage Corp., Pool # SD2318, 5.00%, due 02/01/53
1,528,236
1,454,496
 
Federal Home Loan Mortgage Corp., Pool # SD2526, 4.00%, due 08/01/49
1,368,135
404,508
 
Federal Home Loan Mortgage Corp., Pool # SD2683, 4.50%, due 04/01/53
390,482
3,312,897
 
Federal Home Loan Mortgage Corp., Pool # SD2922, 5.00%, due 05/01/53
3,273,425
1,530,115
 
Federal Home Loan Mortgage Corp., Pool # SD2954, 4.50%, due 04/01/53
1,475,925
344,299
 
Federal Home Loan Mortgage Corp., Pool # SD3338, 5.50%, due 06/01/53
347,632
757,128
 
Federal Home Loan Mortgage Corp., Pool # SD3372, 5.00%, due 07/01/53
749,532
381,437
 
Federal Home Loan Mortgage Corp., Pool # SD3425, 5.50%, due 07/01/53
383,917
942,316
 
Federal Home Loan Mortgage Corp., Pool # SD3435, 5.00%, due 07/01/53
929,487
464,798
 
Federal Home Loan Mortgage Corp., Pool # SD3507, 4.00%, due 04/01/53
436,072
1,363,837
 
Federal Home Loan Mortgage Corp., Pool # SD3562, 4.50%, due 08/01/53
1,316,694
1,743,421
 
Federal Home Loan Mortgage Corp., Pool # SD3563, 4.50%, due 08/01/53
1,681,330
1,181,649
 
Federal Home Loan Mortgage Corp., Pool # SD3566, 5.00%, due 08/01/53
1,169,107
302,024
 
Federal Home Loan Mortgage Corp., Pool # SD3662, 5.50%, due 08/01/53
304,207
801,753
 
Federal Home Loan Mortgage Corp., Pool # SD3780, 4.00%, due 08/01/52
747,529
931,608
 
Federal Home Loan Mortgage Corp., Pool # SD4253, 3.50%, due 07/01/52
846,496
1,031,276
 
Federal Home Loan Mortgage Corp., Pool # SD4624, 3.50%, due 08/01/47
945,969
485,992
 
Federal Home Loan Mortgage Corp., Pool # SD4660, 4.00%, due 08/01/52
453,071
484,056
 
Federal Home Loan Mortgage Corp., Pool # SD4904, 3.50%, due 07/01/52
439,407
524,138
 
Federal Home Loan Mortgage Corp., Pool # SD4934, 4.00%, due 04/01/53
490,768
3,758,440
 
Federal Home Loan Mortgage Corp., Pool # SD5061, 5.50%, due 03/01/54
3,806,289
1,216,925
 
Federal Home Loan Mortgage Corp., Pool # SD5082, 3.50%, due 07/01/52
1,102,024
885,278
 
Federal Home Loan Mortgage Corp., Pool # SD5100, 4.00%, due 10/01/52
825,453
364,358
 
Federal Home Loan Mortgage Corp., Pool # SD5147, 3.00%, due 11/01/50
319,398
785,623
 
Federal Home Loan Mortgage Corp., Pool # SD5367, 5.50%, due 04/01/54
792,077
1,366,736
 
Federal Home Loan Mortgage Corp., Pool # SD5470, 5.00%, due 03/01/53
1,352,591
619,815
 
Federal Home Loan Mortgage Corp., Pool # SD5730, 3.50%, due 12/01/49
561,444
717,854
 
Federal Home Loan Mortgage Corp., Pool # SD6698, 5.00%, due 11/01/54
706,007
857,226
 
Federal Home Loan Mortgage Corp., Pool # SD7170, 5.00%, due 12/01/54
845,979
1,094,253
 
Federal Home Loan Mortgage Corp., Pool # SD7334, 5.50%, due 01/01/55
1,098,480
1,241,435
 
Federal Home Loan Mortgage Corp., Pool # SD7408, 5.50%, due 01/01/55
1,249,158
4,265,670
 
Federal Home Loan Mortgage Corp., Pool # SD7521, 2.50%, due 07/01/50
3,596,996
80See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
1,022,792
 
Federal Home Loan Mortgage Corp., Pool # SD7543, 2.50%, due 08/01/51
862,443
2,172,546
 
Federal Home Loan Mortgage Corp., Pool # SD7548, 2.50%, due 11/01/51
1,836,621
1,497,686
 
Federal Home Loan Mortgage Corp., Pool # SD7551, 3.00%, due 01/01/52
1,315,705
4,433,430
 
Federal Home Loan Mortgage Corp., Pool # SD7552, 2.50%, due 01/01/52
3,734,013
3,581,784
 
Federal Home Loan Mortgage Corp., Pool # SD7563, 4.50%, due 05/01/53
3,473,575
2,288
 
Federal Home Loan Mortgage Corp., Pool # SD8025, 3.50%, due 11/01/49
2,086
3,809,769
 
Federal Home Loan Mortgage Corp., Pool # SD8090, 2.00%, due 09/01/50
3,043,692
709,830
 
Federal Home Loan Mortgage Corp., Pool # SD8104, 1.50%, due 11/01/50
535,186
343,554
 
Federal Home Loan Mortgage Corp., Pool # SD8113, 2.00%, due 12/01/50
274,044
495,260
 
Federal Home Loan Mortgage Corp., Pool # SD8121, 2.00%, due 01/01/51
395,364
2,385,539
 
Federal Home Loan Mortgage Corp., Pool # SD8128, 2.00%, due 02/01/51
1,901,390
1,017,404
 
Federal Home Loan Mortgage Corp., Pool # SD8134, 2.00%, due 03/01/51
810,286
30,544
 
Federal Home Loan Mortgage Corp., Pool # SD8140, 2.00%, due 04/01/51
24,324
3,053,429
 
Federal Home Loan Mortgage Corp., Pool # SD8141, 2.50%, due 04/01/51
2,552,244
4,845,804
 
Federal Home Loan Mortgage Corp., Pool # SD8146, 2.00%, due 05/01/51
3,858,534
2,810,642
 
Federal Home Loan Mortgage Corp., Pool # SD8147, 2.50%, due 05/01/51
2,348,903
886,762
 
Federal Home Loan Mortgage Corp., Pool # SD8151, 2.50%, due 06/01/51
740,306
1,529,519
 
Federal Home Loan Mortgage Corp., Pool # SD8167, 2.50%, due 09/01/51
1,273,790
1,237,651
 
Federal Home Loan Mortgage Corp., Pool # SD8193, 2.00%, due 02/01/52
983,328
2,610,913
 
Federal Home Loan Mortgage Corp., Pool # SD8227, 4.00%, due 07/01/52
2,434,328
937,779
 
Federal Home Loan Mortgage Corp., Pool # SD8229, 4.50%, due 05/01/52
898,325
386,478
 
Federal Home Loan Mortgage Corp., Pool # SD8278, 6.00%, due 12/01/52
394,097
3,525,759
 
Federal Home Loan Mortgage Corp., Pool # SD8288, 5.00%, due 01/01/53
3,473,950
1,276,930
 
Federal Home Loan Mortgage Corp., Pool # SD8289, 5.50%, due 01/01/53
1,281,321
3,458,097
 
Federal Home Loan Mortgage Corp., Pool # SD8408, 5.50%, due 03/01/54
3,460,638
1,054,622
 
Federal Home Loan Mortgage Corp., Pool # SL0331, 5.50%, due 02/01/55
1,061,562
758,065
 
Federal Home Loan Mortgage Corp., Pool # SL0765, 4.50%, due 02/01/54
729,527
63,073
 
Federal Home Loan Mortgage Corp., Pool # V60565, 3.00%, due 06/01/29
61,947
193,504
 
Federal Home Loan Mortgage Corp., Pool # V60599, 3.00%, due 09/01/29
189,868
352,973
 
Federal Home Loan Mortgage Corp., Pool # V82292, 4.00%, due 04/01/46
335,335
203,154
 
Federal Home Loan Mortgage Corp., Pool # V82848, 3.00%, due 12/01/46
182,245
27,825
 
Federal Home Loan Mortgage Corp., Pool # V82980, 3.50%, due 02/01/47
25,701
626,793
 
Federal Home Loan Mortgage Corp., Pool # ZM1609, 3.50%, due 09/01/46
576,882
194,217
 
Federal Home Loan Mortgage Corp., Pool # ZS4727, 4.00%, due 07/01/47
184,048
121,700
 
Federal Home Loan Mortgage Corp., Pool # ZS4760, 4.00%, due 03/01/48
115,265
905,044
 
Federal Home Loan Mortgage Corp., Pool # ZT0536, 3.50%, due 03/01/48
833,775
309,372
 
Federal Home Loan Mortgage Corp., Pool # ZT0657, 6.00%, due 07/01/40
326,719
310,017
 
Federal Home Loan Mortgage Corp., Pool # ZT2100, 3.00%, due 04/01/47
274,060
11,217,052
 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates,
Series K106, Class X1, 1.44%, due 01/25/30(d)
569,998
27,466
 
Federal Home Loan Mortgage Corp. Reference REMICS, Series R007, Class ZA,
6.00%, due 05/15/36
28,727
142,483
 
Federal National Mortgage Association, Pool # 745148, 5.00%, due 01/01/36
144,707
142,689
 
Federal National Mortgage Association, Pool # 932807, 4.00%, due 09/01/40
138,085
70,463
 
Federal National Mortgage Association, Pool # 983471, 5.50%, due 05/01/38
72,072
144,159
 
Federal National Mortgage Association, Pool # 985184, 5.50%, due 08/01/38
147,805
119,089
 
Federal National Mortgage Association, Pool # 995245, 5.00%, due 01/01/39
120,377
8,330
 
Federal National Mortgage Association, Pool # AB5369, 3.50%, due 06/01/42
7,825
264,215
 
Federal National Mortgage Association, Pool # AB6212, 3.00%, due 09/01/42
239,345
See accompanying Notes to the Schedule of Investments
81

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
426,339
 
Federal National Mortgage Association, Pool # AB6802, 3.50%, due 11/01/42
400,313
110,137
 
Federal National Mortgage Association, Pool # AB7059, 2.50%, due 11/01/42
97,487
208,104
 
Federal National Mortgage Association, Pool # AB8703, 3.00%, due 03/01/38
192,661
87,223
 
Federal National Mortgage Association, Pool # AB9383, 4.00%, due 05/01/43
84,110
689,481
 
Federal National Mortgage Association, Pool # AB9659, 3.00%, due 06/01/43
623,155
1,325,343
 
Federal National Mortgage Association, Pool # AC3668, 4.50%, due 10/01/39
1,323,054
136,059
 
Federal National Mortgage Association, Pool # AD9153, 4.50%, due 08/01/40
135,782
102,462
 
Federal National Mortgage Association, Pool # AE0469, 6.00%, due 12/01/39
107,465
297,996
 
Federal National Mortgage Association, Pool # AH4404, 4.00%, due 01/01/41
287,978
56,033
 
Federal National Mortgage Association, Pool # AI1892, 5.00%, due 05/01/41
56,761
281,792
 
Federal National Mortgage Association, Pool # AI4815, 4.50%, due 06/01/41
280,437
240,199
 
Federal National Mortgage Association, Pool # AJ9278, 3.50%, due 12/01/41
225,787
120,100
 
Federal National Mortgage Association, Pool # AJ9317, 4.00%, due 01/01/42
115,949
246,722
 
Federal National Mortgage Association, Pool # AL0215, 4.50%, due 04/01/41
245,687
474,180
 
Federal National Mortgage Association, Pool # AL1895, 3.50%, due 06/01/42
445,431
286,774
 
Federal National Mortgage Association, Pool # AL2466, 4.00%, due 09/01/42
276,805
311,547
 
Federal National Mortgage Association, Pool # AL3000, 3.50%, due 12/01/42
292,300
361,827
 
Federal National Mortgage Association, Pool # AL3316, 3.50%, due 03/01/43
339,513
21,428
 
Federal National Mortgage Association, Pool # AL5939, 3.50%, due 09/01/43
20,133
423,242
 
Federal National Mortgage Association, Pool # AL6663, 4.00%, due 03/01/39
416,520
481,043
 
Federal National Mortgage Association, Pool # AL7594, 3.50%, due 08/01/45
447,037
379,081
 
Federal National Mortgage Association, Pool # AL8191, 4.00%, due 12/01/45
359,348
33,869
 
Federal National Mortgage Association, Pool # AL8673, 3.50%, due 06/01/46
31,300
37,620
 
Federal National Mortgage Association, Pool # AL9515, 3.50%, due 07/01/46
34,743
96,755
 
Federal National Mortgage Association, Pool # AL9657, 3.50%, due 01/01/47
89,334
55,177
 
Federal National Mortgage Association, Pool # AO4109, 4.00%, due 06/01/42
53,219
39,724
 
Federal National Mortgage Association, Pool # AQ3381, 3.00%, due 11/01/42
35,951
142,060
 
Federal National Mortgage Association, Pool # AQ7923, 3.00%, due 12/01/42
128,659
25,097
 
Federal National Mortgage Association, Pool # AR8749, 3.00%, due 03/01/43
22,725
256,830
 
Federal National Mortgage Association, Pool # AS5133, 3.50%, due 06/01/45
238,675
29,652
 
Federal National Mortgage Association, Pool # AS5593, 3.50%, due 08/01/45
27,550
8,073
 
Federal National Mortgage Association, Pool # AS6187, 3.50%, due 11/01/45
7,499
109,145
 
Federal National Mortgage Association, Pool # AS6188, 3.50%, due 11/01/45
101,385
60,560
 
Federal National Mortgage Association, Pool # AS6286, 4.00%, due 12/01/45
57,449
85,740
 
Federal National Mortgage Association, Pool # AS6304, 4.00%, due 12/01/45
81,362
133,018
 
Federal National Mortgage Association, Pool # AS6452, 3.50%, due 01/01/46
123,313
59,036
 
Federal National Mortgage Association, Pool # AS7010, 3.50%, due 04/01/46
54,454
73,729
 
Federal National Mortgage Association, Pool # AS7693, 2.00%, due 08/01/31
70,153
158,531
 
Federal National Mortgage Association, Pool # AS8073, 2.50%, due 10/01/46
134,832
1,369,718
 
Federal National Mortgage Association, Pool # AS8483, 3.00%, due 12/01/46
1,210,910
29,365
 
Federal National Mortgage Association, Pool # AS8647, 3.00%, due 01/01/47
26,255
95,037
 
Federal National Mortgage Association, Pool # AZ3743, 3.50%, due 11/01/45
86,968
64,360
 
Federal National Mortgage Association, Pool # BC1489, 3.00%, due 08/01/46
57,569
25,705
 
Federal National Mortgage Association, Pool # BC9078, 4.00%, due 12/01/46
24,371
162,961
 
Federal National Mortgage Association, Pool # BC9468, 3.00%, due 06/01/46
144,976
340,093
 
Federal National Mortgage Association, Pool # BD7043, 4.00%, due 03/01/47
322,375
60,860
 
Federal National Mortgage Association, Pool # BD7118, 3.50%, due 04/01/47
56,168
25,320
 
Federal National Mortgage Association, Pool # BE2974, 4.00%, due 01/01/47
24,095
204,951
 
Federal National Mortgage Association, Pool # BE7192, 4.00%, due 03/01/47
194,262
82See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
348,194
 
Federal National Mortgage Association, Pool # BK1023, 4.50%, due 02/01/48
336,184
178,429
 
Federal National Mortgage Association, Pool # BK7611, 4.50%, due 09/01/48
173,594
101,962
 
Federal National Mortgage Association, Pool # BM1013, 3.50%, due 03/01/47
94,171
91,537
 
Federal National Mortgage Association, Pool # BM1277, 4.00%, due 05/01/47
86,763
551,549
 
Federal National Mortgage Association, Pool # BM1573, 3.50%, due 07/01/47
509,405
597,940
 
Federal National Mortgage Association, Pool # BM1972, 3.50%, due 10/01/37
578,518
434,481
 
Federal National Mortgage Association, Pool # BM3033, 3.00%, due 10/01/47
387,372
39,033
 
Federal National Mortgage Association, Pool # BM3077, 3.00%, due 11/01/47
34,805
149,551
 
Federal National Mortgage Association, Pool # BM3258, 3.00%, due 02/01/47
134,045
298,899
 
Federal National Mortgage Association, Pool # BM3332, 3.50%, due 01/01/48
274,759
222,250
 
Federal National Mortgage Association, Pool # BM3491, 4.50%, due 01/01/38
224,965
114,086
 
Federal National Mortgage Association, Pool # BM3628, 3.50%, due 03/01/48
105,440
603,551
 
Federal National Mortgage Association, Pool # BM3641, 4.00%, due 04/01/48
571,702
382,184
 
Federal National Mortgage Association, Pool # BM4377, 6.91%, (1 yr. RFUCC Treasury
+ 1.88%), due 04/01/38(b)
396,699
7,822
 
Federal National Mortgage Association, Pool # BM4426, 3.50%, due 06/01/48
7,185
409,253
 
Federal National Mortgage Association, Pool # BM4896, 3.00%, due 02/01/47
369,824
1,697,827
 
Federal National Mortgage Association, Pool # BM5019, 4.00%, due 12/01/47
1,616,424
513,608
 
Federal National Mortgage Association, Pool # BM5213, 3.00%, due 07/01/45
459,556
122,959
 
Federal National Mortgage Association, Pool # BM5293, 3.50%, due 02/01/49
112,293
39,452
 
Federal National Mortgage Association, Pool # BM5682, 3.50%, due 03/01/49
36,322
224,985
 
Federal National Mortgage Association, Pool # BM5694, 4.00%, due 06/01/48
213,154
85,308
 
Federal National Mortgage Association, Pool # BM5874, 4.00%, due 01/01/48
80,937
193,742
 
Federal National Mortgage Association, Pool # BM5950, 3.00%, due 11/01/48
171,952
7,194
 
Federal National Mortgage Association, Pool # BM5971, 3.50%, due 06/01/49
6,580
370,898
 
Federal National Mortgage Association, Pool # BM6482, 6.76%, (1 yr. RFUCC Treasury
+ 1.58%), due 04/01/47(b)
383,436
165,032
 
Federal National Mortgage Association, Pool # BO1420, 3.50%, due 09/01/49
150,407
7,404
 
Federal National Mortgage Association, Pool # BO1439, 3.00%, due 10/01/49
6,487
326,875
 
Federal National Mortgage Association, Pool # BO5387, 3.50%, due 12/01/49
300,104
244,888
 
Federal National Mortgage Association, Pool # BP5568, 3.00%, due 06/01/50
214,491
1,196,262
 
Federal National Mortgage Association, Pool # BP6618, 2.50%, due 08/01/50
1,003,549
413,135
 
Federal National Mortgage Association, Pool # BQ3138, 2.50%, due 10/01/50
347,951
1,092,203
 
Federal National Mortgage Association, Pool # BV8474, 3.00%, due 05/01/52
960,228
669,313
 
Federal National Mortgage Association, Pool # CA0623, 4.50%, due 10/01/47
653,175
404,796
 
Federal National Mortgage Association, Pool # CA0655, 3.50%, due 11/01/47
372,918
255,749
 
Federal National Mortgage Association, Pool # CA0855, 3.50%, due 12/01/47
234,922
11,177
 
Federal National Mortgage Association, Pool # CA1545, 4.00%, due 04/01/48
10,587
215,877
 
Federal National Mortgage Association, Pool # CA3828, 4.00%, due 07/01/49
203,832
569,431
 
Federal National Mortgage Association, Pool # CA3986, 5.00%, due 08/01/49
566,648
376,490
 
Federal National Mortgage Association, Pool # CA4149, 3.00%, due 09/01/49
326,863
27,629
 
Federal National Mortgage Association, Pool # CA4546, 3.00%, due 11/01/49
24,286
413,089
 
Federal National Mortgage Association, Pool # CA5229, 3.00%, due 02/01/50
358,626
468,748
 
Federal National Mortgage Association, Pool # CA5556, 3.50%, due 04/01/50
426,953
976,260
 
Federal National Mortgage Association, Pool # CA6738, 3.00%, due 08/01/50
854,473
2,392,524
 
Federal National Mortgage Association, Pool # CA6840, 2.00%, due 09/01/35
2,201,109
673,042
 
Federal National Mortgage Association, Pool # CA6909, 2.50%, due 09/01/50
568,058
806,370
 
Federal National Mortgage Association, Pool # CA9171, 2.00%, due 02/01/51
642,292
4,972,914
 
Federal National Mortgage Association, Pool # CB0671, 2.50%, due 06/01/51
4,205,358
See accompanying Notes to the Schedule of Investments
83

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
1,203,718
 
Federal National Mortgage Association, Pool # CB1273, 2.00%, due 08/01/51
962,679
1,429,830
 
Federal National Mortgage Association, Pool # CB2243, 2.50%, due 11/01/36
1,344,468
460,989
 
Federal National Mortgage Association, Pool # CB2287, 2.50%, due 12/01/51
387,265
396,374
 
Federal National Mortgage Association, Pool # CB2858, 2.50%, due 02/01/52
332,494
1,040,736
 
Federal National Mortgage Association, Pool # CB2889, 3.00%, due 02/01/52
902,871
387,501
 
Federal National Mortgage Association, Pool # CB3126, 3.50%, due 03/01/52
353,525
711,589
 
Federal National Mortgage Association, Pool # CB3158, 2.50%, due 03/01/52
596,761
1,858,721
 
Federal National Mortgage Association, Pool # CB3512, 4.00%, due 05/01/52
1,740,391
639,554
 
Federal National Mortgage Association, Pool # CB3601, 3.50%, due 05/01/52
579,974
1,489,662
 
Federal National Mortgage Association, Pool # CB3606, 3.50%, due 05/01/52
1,344,423
900,677
 
Federal National Mortgage Association, Pool # CB3618, 4.00%, due 05/01/52
839,952
926,926
 
Federal National Mortgage Association, Pool # CB3865, 4.50%, due 06/01/52
894,100
660,832
 
Federal National Mortgage Association, Pool # CB3910, 4.00%, due 06/01/52
616,069
380,475
 
Federal National Mortgage Association, Pool # CB4028, 4.50%, due 07/01/52
366,154
723,422
 
Federal National Mortgage Association, Pool # CB4040, 5.00%, due 07/01/52
713,464
718,238
 
Federal National Mortgage Association, Pool # CB4090, 4.00%, due 07/01/52
672,513
1,389,906
 
Federal National Mortgage Association, Pool # CB4101, 4.50%, due 07/01/52
1,333,711
790,080
 
Federal National Mortgage Association, Pool # CB4167, 5.00%, due 07/01/52
783,355
910,472
 
Federal National Mortgage Association, Pool # CB4300, 4.50%, due 08/01/52
876,198
1,107,243
 
Federal National Mortgage Association, Pool # CB4304, 4.50%, due 08/01/52
1,061,644
1,874,270
 
Federal National Mortgage Association, Pool # CB4337, 4.50%, due 08/01/52
1,821,359
4,416,555
 
Federal National Mortgage Association, Pool # CB4352, 5.00%, due 08/01/52
4,381,778
1,313,465
 
Federal National Mortgage Association, Pool # CB4387, 4.50%, due 08/01/52
1,259,604
1,778,713
 
Federal National Mortgage Association, Pool # CB4395, 4.50%, due 08/01/52
1,705,523
734,888
 
Federal National Mortgage Association, Pool # CB4562, 5.00%, due 09/01/52
724,089
453,939
 
Federal National Mortgage Association, Pool # CB4675, 4.50%, due 09/01/52
435,958
331,516
 
Federal National Mortgage Association, Pool # CB4838, 5.00%, due 10/01/52
327,636
1,653,419
 
Federal National Mortgage Association, Pool # CB5434, 5.00%, due 01/01/53
1,636,831
1,311,885
 
Federal National Mortgage Association, Pool # CB6059, 5.00%, due 04/01/53
1,295,800
2,822,031
 
Federal National Mortgage Association, Pool # CB7336, 5.50%, due 10/01/53
2,836,302
1,346,077
 
Federal National Mortgage Association, Pool # CB9429, 5.00%, due 11/01/54
1,321,986
552,851
 
Federal National Mortgage Association, Pool # CB9463, 5.00%, due 11/01/54
547,406
1,878,805
 
Federal National Mortgage Association, Pool # CB9649, 5.00%, due 12/01/54
1,850,775
333,120
 
Federal National Mortgage Association, Pool # CB9794, 5.50%, due 01/01/55
336,686
2,583,888
 
Federal National Mortgage Association, Pool # FA0018, 2.50%, due 04/01/52
2,168,771
896,327
 
Federal National Mortgage Association, Pool # FA0243, 5.50%, due 12/01/54
901,820
605,547
 
Federal National Mortgage Association, Pool # FM0030, 3.00%, due 02/01/49
537,698
160,397
 
Federal National Mortgage Association, Pool # FM1001, 3.50%, due 11/01/48
147,560
120,916
 
Federal National Mortgage Association, Pool # FM1347, 3.00%, due 12/01/48
107,440
471,650
 
Federal National Mortgage Association, Pool # FM1467, 3.00%, due 12/01/47
419,822
472,819
 
Federal National Mortgage Association, Pool # FM1588, 3.00%, due 10/01/49
419,628
256,743
 
Federal National Mortgage Association, Pool # FM1715, 3.00%, due 12/01/45
228,770
355,610
 
Federal National Mortgage Association, Pool # FM1790, 3.00%, due 11/01/49
308,733
251,598
 
Federal National Mortgage Association, Pool # FM1864, 3.00%, due 11/01/49
221,153
1,580,769
 
Federal National Mortgage Association, Pool # FM2226, 3.00%, due 09/01/46
1,428,148
659,738
 
Federal National Mortgage Association, Pool # FM2274, 4.00%, due 08/01/49
624,218
306,904
 
Federal National Mortgage Association, Pool # FM2336, 4.00%, due 01/01/50
289,494
333,933
 
Federal National Mortgage Association, Pool # FM2461, 3.50%, due 03/01/50
302,946
446,442
 
Federal National Mortgage Association, Pool # FM2570, 4.50%, due 04/01/48
445,350
84See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
781,438
 
Federal National Mortgage Association, Pool # FM2664, 3.50%, due 03/01/50
706,289
1,007,286
 
Federal National Mortgage Association, Pool # FM2725, 3.00%, due 02/01/50
874,485
1,091,907
 
Federal National Mortgage Association, Pool # FM3250, 3.50%, due 05/01/50
995,798
604,237
 
Federal National Mortgage Association, Pool # FM4330, 2.50%, due 10/01/50
510,498
2,461,779
 
Federal National Mortgage Association, Pool # FM4765, 2.00%, due 11/01/50
1,981,657
24,559
 
Federal National Mortgage Association, Pool # FM5035, 4.00%, due 07/01/50
23,236
716,247
 
Federal National Mortgage Association, Pool # FM6039, 3.50%, due 06/01/50
652,718
1,733,992
 
Federal National Mortgage Association, Pool # FM6497, 2.00%, due 03/01/51
1,400,164
657,395
 
Federal National Mortgage Association, Pool # FM6585, 3.50%, due 11/01/40
625,664
642,550
 
Federal National Mortgage Association, Pool # FM7341, 4.00%, due 03/01/48
609,069
238,327
 
Federal National Mortgage Association, Pool # FM7441, 3.00%, due 05/01/51
206,491
974,313
 
Federal National Mortgage Association, Pool # FM7785, 4.00%, due 05/01/49
922,626
1,576,061
 
Federal National Mortgage Association, Pool # FM7794, 4.00%, due 01/01/50
1,488,571
1,557,227
 
Federal National Mortgage Association, Pool # FM8216, 4.00%, due 11/01/48
1,468,518
978,322
 
Federal National Mortgage Association, Pool # FM8325, 2.50%, due 07/01/35
937,179
770,205
 
Federal National Mortgage Association, Pool # FM8451, 2.50%, due 08/01/51
647,489
1,278,591
 
Federal National Mortgage Association, Pool # FM8603, 4.00%, due 09/01/49
1,211,032
4,198,112
 
Federal National Mortgage Association, Pool # FM8779, 2.50%, due 09/01/51
3,539,850
2,779,861
 
Federal National Mortgage Association, Pool # FM9000, 2.00%, due 06/01/51
2,234,676
1,221,659
 
Federal National Mortgage Association, Pool # FM9461, 3.50%, due 11/01/51
1,107,661
848,011
 
Federal National Mortgage Association, Pool # FM9726, 2.50%, due 11/01/51
714,961
486,686
 
Federal National Mortgage Association, Pool # FM9977, 4.00%, due 02/01/50
459,236
1,209,044
 
Federal National Mortgage Association, Pool # FP0077, 3.50%, due 03/01/51
1,099,404
901,614
 
Federal National Mortgage Association, Pool # FS0027, 2.50%, due 11/01/51
760,062
983,403
 
Federal National Mortgage Association, Pool # FS0194, 2.50%, due 01/01/52
825,489
2,027,442
 
Federal National Mortgage Association, Pool # FS0644, 3.00%, due 02/01/52
1,772,161
110,112
 
Federal National Mortgage Association, Pool # FS0703, 4.00%, due 01/01/49
104,250
1,875,403
 
Federal National Mortgage Association, Pool # FS0715, 3.00%, due 01/01/52
1,639,956
338,102
 
Federal National Mortgage Association, Pool # FS0717, 3.00%, due 02/01/52
293,581
406,920
 
Federal National Mortgage Association, Pool # FS1201, 3.00%, due 01/01/50
353,204
637,807
 
Federal National Mortgage Association, Pool # FS1205, 3.50%, due 04/01/52
576,887
1,161,419
 
Federal National Mortgage Association, Pool # FS1228, 3.00%, due 03/01/52
1,015,176
479,447
 
Federal National Mortgage Association, Pool # FS1285, 3.50%, due 02/01/52
436,744
358,465
 
Federal National Mortgage Association, Pool # FS1427, 3.00%, due 02/01/50
315,028
287,977
 
Federal National Mortgage Association, Pool # FS1602, 4.00%, due 07/01/49
272,776
198,854
 
Federal National Mortgage Association, Pool # FS1637, 4.00%, due 04/01/52
186,196
2,530,267
 
Federal National Mortgage Association, Pool # FS1938, 2.50%, due 02/01/52
2,124,135
1,170,563
 
Federal National Mortgage Association, Pool # FS1976, 4.00%, due 08/01/51
1,108,833
962,880
 
Federal National Mortgage Association, Pool # FS2187, 4.00%, due 06/01/52
907,623
63,300
 
Federal National Mortgage Association, Pool # FS2354, 4.00%, due 06/01/52
59,505
1,456,791
 
Federal National Mortgage Association, Pool # FS2896, 4.50%, due 09/01/52
1,410,613
892,967
 
Federal National Mortgage Association, Pool # FS2920, 3.00%, due 07/01/36
856,399
423,302
 
Federal National Mortgage Association, Pool # FS2969, 4.50%, due 10/01/52
409,884
1,902,926
 
Federal National Mortgage Association, Pool # FS3040, 3.00%, due 12/01/51
1,652,673
562,705
 
Federal National Mortgage Association, Pool # FS3067, 4.00%, due 07/01/52
526,881
555,079
 
Federal National Mortgage Association, Pool # FS3139, 4.50%, due 10/01/52
534,183
597,471
 
Federal National Mortgage Association, Pool # FS3158, 4.50%, due 11/01/52
576,313
436,267
 
Federal National Mortgage Association, Pool # FS3276, 4.50%, due 12/01/37
433,749
271,794
 
Federal National Mortgage Association, Pool # FS3310, 4.50%, due 11/01/37
270,560
See accompanying Notes to the Schedule of Investments
85

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
912,018
 
Federal National Mortgage Association, Pool # FS3332, 5.50%, due 12/01/52
920,306
531,035
 
Federal National Mortgage Association, Pool # FS3405, 5.50%, due 12/01/52
538,637
845,363
 
Federal National Mortgage Association, Pool # FS3417, 5.00%, due 12/01/52
834,999
1,642,907
 
Federal National Mortgage Association, Pool # FS3560, 4.50%, due 04/01/53
1,584,726
1,878,413
 
Federal National Mortgage Association, Pool # FS4223, 4.50%, due 05/01/47
1,854,919
1,072,005
 
Federal National Mortgage Association, Pool # FS4312, 4.50%, due 03/01/53
1,031,649
1,147,921
 
Federal National Mortgage Association, Pool # FS4758, 2.50%, due 01/01/36
1,083,768
817,957
 
Federal National Mortgage Association, Pool # FS5171, 3.00%, due 12/01/51
715,726
348,213
 
Federal National Mortgage Association, Pool # FS5263, 4.50%, due 05/01/53
336,141
293,390
 
Federal National Mortgage Association, Pool # FS5590, 5.50%, due 07/01/53
295,535
867,332
 
Federal National Mortgage Association, Pool # FS5656, 5.50%, due 08/01/53
874,327
1,414,984
 
Federal National Mortgage Association, Pool # FS5871, 2.00%, due 07/01/51
1,130,015
1,594,129
 
Federal National Mortgage Association, Pool # FS5912, 4.00%, due 05/01/52
1,486,564
413,112
 
Federal National Mortgage Association, Pool # FS6158, 4.00%, due 07/01/52
385,470
1,389,712
 
Federal National Mortgage Association, Pool # FS6255, 3.50%, due 08/01/52
1,261,989
393,120
 
Federal National Mortgage Association, Pool # FS6645, 3.00%, due 05/01/52
345,354
689,293
 
Federal National Mortgage Association, Pool # FS7206, 5.50%, due 02/01/54
696,511
611,536
 
Federal National Mortgage Association, Pool # FS7249, 4.50%, due 10/01/52
590,334
898,930
 
Federal National Mortgage Association, Pool # FS7381, 3.50%, due 09/01/52
816,014
1,897,880
 
Federal National Mortgage Association, Pool # FS7404, 3.50%, due 01/01/48
1,749,774
617,507
 
Federal National Mortgage Association, Pool # FS7532, 5.50%, due 03/01/54
620,994
2,785,477
 
Federal National Mortgage Association, Pool # FS7948, 2.50%, due 04/01/52
2,350,742
984,702
 
Federal National Mortgage Association, Pool # FS8125, 5.50%, due 05/01/54
991,818
1,145,780
 
Federal National Mortgage Association, Pool # FS8422, 4.00%, due 09/01/53
1,072,843
595,923
 
Federal National Mortgage Association, Pool # FS9784, 5.50%, due 11/01/54
600,710
60,598
 
Federal National Mortgage Association, Pool # MA2516, 3.00%, due 01/01/46
53,902
92,345
 
Federal National Mortgage Association, Pool # MA2781, 2.50%, due 10/01/46
78,989
14,474
 
Federal National Mortgage Association, Pool # MA2835, 4.00%, due 12/01/46
13,719
2,204,968
 
Federal National Mortgage Association, Pool # MA2863, 3.00%, due 01/01/47
1,956,355
266,979
 
Federal National Mortgage Association, Pool # MA3058, 4.00%, due 07/01/47
252,986
266,892
 
Federal National Mortgage Association, Pool # MA3076, 2.50%, due 07/01/32
256,063
74,685
 
Federal National Mortgage Association, Pool # MA3087, 3.50%, due 08/01/47
68,819
294,588
 
Federal National Mortgage Association, Pool # MA3114, 2.50%, due 08/01/32
283,171
281,732
 
Federal National Mortgage Association, Pool # MA3124, 2.50%, due 09/01/32
270,812
57,282
 
Federal National Mortgage Association, Pool # MA3155, 3.00%, due 10/01/32
55,672
2,857,017
 
Federal National Mortgage Association, Pool # MA3182, 3.50%, due 11/01/47
2,628,187
6,033,889
 
Federal National Mortgage Association, Pool # MA3210, 3.50%, due 12/01/47
5,542,512
120,114
 
Federal National Mortgage Association, Pool # MA3211, 4.00%, due 12/01/47
114,065
86,217
 
Federal National Mortgage Association, Pool # MA3238, 3.50%, due 01/01/48
79,080
218,278
 
Federal National Mortgage Association, Pool # MA3332, 3.50%, due 04/01/48
199,772
58,170
 
Federal National Mortgage Association, Pool # MA3364, 3.50%, due 05/01/33
57,302
46,345
 
Federal National Mortgage Association, Pool # MA3385, 4.50%, due 06/01/48
45,087
66,729
 
Federal National Mortgage Association, Pool # MA3442, 3.50%, due 08/01/48
60,929
52,355
 
Federal National Mortgage Association, Pool # MA3521, 4.00%, due 11/01/48
49,535
537,060
 
Federal National Mortgage Association, Pool # MA3871, 3.00%, due 12/01/49
470,882
3,470,891
 
Federal National Mortgage Association, Pool # MA3937, 3.00%, due 02/01/50
3,042,777
110,808
 
Federal National Mortgage Association, Pool # MA3960, 3.00%, due 03/01/50
96,883
271,071
 
Federal National Mortgage Association, Pool # MA4014, 3.00%, due 05/01/35
259,972
637,749
 
Federal National Mortgage Association, Pool # MA4018, 2.00%, due 05/01/50
510,304
86See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
399,441
 
Federal National Mortgage Association, Pool # MA4048, 3.00%, due 06/01/50
350,109
110,654
 
Federal National Mortgage Association, Pool # MA4120, 2.50%, due 09/01/50
92,796
1,417,156
 
Federal National Mortgage Association, Pool # MA4158, 2.00%, due 10/01/50
1,131,754
922,016
 
Federal National Mortgage Association, Pool # MA4159, 2.50%, due 10/01/50
769,256
372,314
 
Federal National Mortgage Association, Pool # MA4181, 1.50%, due 11/01/50
280,716
284,342
 
Federal National Mortgage Association, Pool # MA4204, 2.00%, due 12/01/40
246,164
673,136
 
Federal National Mortgage Association, Pool # MA4208, 2.00%, due 12/01/50
537,362
3,175,284
 
Federal National Mortgage Association, Pool # MA4209, 1.50%, due 12/01/50
2,392,108
433,806
 
Federal National Mortgage Association, Pool # MA4232, 2.00%, due 01/01/41
374,734
447,633
 
Federal National Mortgage Association, Pool # MA4236, 1.50%, due 01/01/51
337,331
1,596,302
 
Federal National Mortgage Association, Pool # MA4237, 2.00%, due 01/01/51
1,273,825
776,729
 
Federal National Mortgage Association, Pool # MA4238, 2.50%, due 01/01/51
649,679
889,703
 
Federal National Mortgage Association, Pool # MA4254, 1.50%, due 02/01/51
670,182
1,798,333
 
Federal National Mortgage Association, Pool # MA4255, 2.00%, due 02/01/51
1,433,361
442,753
 
Federal National Mortgage Association, Pool # MA4268, 2.00%, due 02/01/41
382,414
91,119
 
Federal National Mortgage Association, Pool # MA4281, 2.00%, due 03/01/51
72,569
200,847
 
Federal National Mortgage Association, Pool # MA4305, 2.00%, due 04/01/51
159,950
4,679,646
 
Federal National Mortgage Association, Pool # MA4325, 2.00%, due 05/01/51
3,726,253
1,341,648
 
Federal National Mortgage Association, Pool # MA4326, 2.50%, due 05/01/51
1,118,291
247,611
 
Federal National Mortgage Association, Pool # MA4333, 2.00%, due 05/01/41
213,054
287,663
 
Federal National Mortgage Association, Pool # MA4356, 2.50%, due 06/01/51
240,267
356,962
 
Federal National Mortgage Association, Pool # MA4380, 3.00%, due 07/01/51
311,318
399,291
 
Federal National Mortgage Association, Pool # MA4399, 2.50%, due 08/01/51
332,444
854,937
 
Federal National Mortgage Association, Pool # MA4549, 3.00%, due 02/01/52
741,774
1,277,167
 
Federal National Mortgage Association, Pool # MA4618, 4.00%, due 04/01/52
1,188,747
1,103,213
 
Federal National Mortgage Association, Pool # MA4644, 4.00%, due 05/01/52
1,028,545
2,275,703
 
Federal National Mortgage Association, Pool # MA4656, 4.50%, due 07/01/52
2,181,983
771,664
 
Federal National Mortgage Association, Pool # MA4686, 5.00%, due 06/01/52
760,485
2,912,607
 
Federal National Mortgage Association, Pool # MA4733, 4.50%, due 09/01/52
2,792,862
938,869
 
Federal National Mortgage Association, Pool # MA4761, 5.00%, due 09/01/52
925,218
1,789,804
 
Federal National Mortgage Association, Pool # MA4806, 5.00%, due 11/01/52
1,766,919
1,570,543
 
Federal National Mortgage Association, Pool # MA4894, 6.00%, due 01/01/53
1,601,558
4,006,428
 
Federal National Mortgage Association, Pool # MA4979, 5.50%, due 04/01/53
4,015,046
870,925
 
Federal National Mortgage Association, Pool # MA5010, 5.50%, due 05/01/53
872,799
414,274
 
Federal National Mortgage Association, Pool # MA5139, 6.00%, due 09/01/53
421,852
366,969
 
Federal National Mortgage Association REMICS, Series 2011-59, Class NZ, 5.50%, due
07/25/41
378,248
1,081
 
Federal National Mortgage Association REMICS, Series 2012-28, Class B, 6.50%, due
06/25/39
1,108
99,201
 
Government National Mortgage Association, Pool # 004636, 4.50%, due 02/20/40
98,486
18,739
 
Government National Mortgage Association, Pool # 004678, 4.50%, due 04/20/40
18,603
111,353
 
Government National Mortgage Association, Pool # 004833, 4.00%, due 10/20/40
106,543
104,900
 
Government National Mortgage Association, Pool # 004977, 4.00%, due 03/20/41
100,368
263,466
 
Government National Mortgage Association, Pool # 004978, 4.50%, due 03/20/41
261,565
409,054
 
Government National Mortgage Association, Pool # 005055, 4.50%, due 05/20/41
406,103
214,122
 
Government National Mortgage Association, Pool # 734152, 4.00%, due 01/15/41
203,965
16,099
 
Government National Mortgage Association, Pool # 783637, 3.00%, due 06/20/42
14,703
1,398,598
 
Government National Mortgage Association, Pool # 784369, 4.00%, due 08/15/45
1,328,336
147,428
 
Government National Mortgage Association, Pool # 784605, 4.50%, due 01/15/42
144,666
See accompanying Notes to the Schedule of Investments
87

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
2,524,137
 
Government National Mortgage Association, Pool # 785283, 2.50%, due 01/20/51
2,147,578
355,352
 
Government National Mortgage Association, Pool # 796468, 4.00%, due 09/20/42
338,241
82,139
 
Government National Mortgage Association, Pool # AL8626, 3.00%, due 08/15/45
73,298
574,967
 
Government National Mortgage Association, Pool # AV9421, 3.50%, due 11/20/46
530,426
307,692
 
Government National Mortgage Association, Pool # AY7555, 3.50%, due 04/20/47
283,848
156,215
 
Government National Mortgage Association, Pool # MA0462, 3.50%, due 10/20/42
146,240
23,377
 
Government National Mortgage Association, Pool # MA0624, 3.00%, due 12/20/42
21,319
104,326
 
Government National Mortgage Association, Pool # MA0625, 3.50%, due 12/20/42
97,653
59,145
 
Government National Mortgage Association, Pool # MA0698, 3.00%, due 01/20/43
53,915
201,018
 
Government National Mortgage Association, Pool # MA0851, 3.00%, due 03/20/43
183,158
161,623
 
Government National Mortgage Association, Pool # MA0852, 3.50%, due 03/20/43
151,237
33,801
 
Government National Mortgage Association, Pool # MA1156, 3.00%, due 07/20/43
30,714
110,026
 
Government National Mortgage Association, Pool # MA1376, 4.00%, due 10/20/43
105,042
49,687
 
Government National Mortgage Association, Pool # MA1599, 3.00%, due 01/20/44
45,170
101,646
 
Government National Mortgage Association, Pool # MA2371, 3.50%, due 11/20/44
94,723
81,694
 
Government National Mortgage Association, Pool # MA2372, 4.00%, due 11/20/44
77,658
73,835
 
Government National Mortgage Association, Pool # MA2825, 3.00%, due 05/20/45
66,412
171,227
 
Government National Mortgage Association, Pool # MA3310, 3.50%, due 12/20/45
159,238
69,008
 
Government National Mortgage Association, Pool # MA3377, 4.00%, due 01/20/46
65,450
103,206
 
Government National Mortgage Association, Pool # MA3455, 4.00%, due 02/20/46
97,917
194,678
 
Government National Mortgage Association, Pool # MA3456, 4.50%, due 02/20/46
190,395
168,315
 
Government National Mortgage Association, Pool # MA3596, 3.00%, due 04/20/46
151,252
322,231
 
Government National Mortgage Association, Pool # MA3803, 3.50%, due 07/20/46
299,739
239,172
 
Government National Mortgage Association, Pool # MA3873, 3.00%, due 08/20/46
214,863
112,351
 
Government National Mortgage Association, Pool # MA4004, 3.50%, due 10/20/46
104,329
65,659
 
Government National Mortgage Association, Pool # MA4071, 4.50%, due 11/20/46
64,296
58,270
 
Government National Mortgage Association, Pool # MA4125, 2.50%, due 12/20/46
50,725
91,442
 
Government National Mortgage Association, Pool # MA4263, 4.00%, due 02/20/47
86,214
144,327
 
Government National Mortgage Association, Pool # MA4585, 3.00%, due 07/20/47
129,417
135,532
 
Government National Mortgage Association, Pool # MA4586, 3.50%, due 07/20/47
125,321
345,706
 
Government National Mortgage Association, Pool # MA4720, 4.00%, due 09/20/47
326,061
97,945
 
Government National Mortgage Association, Pool # MA4838, 4.00%, due 11/20/47
92,379
395,296
 
Government National Mortgage Association, Pool # MA5019, 3.50%, due 02/20/48
365,231
46,022
 
Government National Mortgage Association, Pool # MA5021, 4.50%, due 02/20/48
44,952
16,118
 
Government National Mortgage Association, Pool # MA5079, 4.50%, due 03/20/48
15,743
191,333
 
Government National Mortgage Association, Pool # MA5264, 4.00%, due 06/20/48
180,457
109,283
 
Government National Mortgage Association, Pool # MA5397, 3.50%, due 08/20/48
100,960
111,652
 
Government National Mortgage Association, Pool # MA5466, 4.00%, due 09/20/48
105,305
90,788
 
Government National Mortgage Association, Pool # MA5467, 4.50%, due 09/20/48
88,452
38,837
 
Government National Mortgage Association, Pool # MA5530, 5.00%, due 10/20/48
38,867
66,745
 
Government National Mortgage Association, Pool # MA5762, 3.50%, due 02/20/49
61,663
3,679,178
 
Government National Mortgage Association, Pool # MA5764, 4.50%, due 02/20/49
3,594,947
61,934
 
Government National Mortgage Association, Pool # MA5817, 4.00%, due 03/20/49
58,414
223,161
 
Government National Mortgage Association, Pool # MA5874, 3.00%, due 04/20/49
200,372
858,409
 
Government National Mortgage Association, Pool # MA5876, 4.00%, due 04/20/49
815,185
433,972
 
Government National Mortgage Association, Pool # MA6038, 3.00%, due 07/20/49
387,556
3,601,808
 
Government National Mortgage Association, Pool # MA6090, 3.50%, due 08/20/49
3,296,989
156,763
 
Government National Mortgage Association, Pool # MA6338, 3.00%, due 12/20/49
139,352
363,459
 
Government National Mortgage Association, Pool # MA6409, 3.00%, due 01/20/50
323,342
88See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
71,682
 
Government National Mortgage Association, Pool # MA6476, 4.00%, due 02/20/50
67,448
1,974,841
 
Government National Mortgage Association, Pool # MA6540, 2.50%, due 03/20/50
1,679,907
46,571
 
Government National Mortgage Association, Pool # MA6865, 2.50%, due 09/20/50
39,662
5,123,969
 
Government National Mortgage Association, Pool # MA6930, 2.00%, due 10/20/50
4,177,366
213,034
 
Government National Mortgage Association, Pool # MA6931, 2.50%, due 10/20/50
181,426
162,332
 
Government National Mortgage Association, Pool # MA6995, 2.50%, due 11/20/50
138,295
2,926,692
 
Government National Mortgage Association, Pool # MA7589, 2.50%, due 09/20/51
2,489,574
3,991,404
 
Government National Mortgage Association, Pool # MA7880, 2.00%, due 02/20/52
3,254,368
2,309,973
 
Government National Mortgage Association, Pool # MA7883, 3.50%, due 02/20/52
2,110,884
1,631,562
 
Government National Mortgage Association, Pool # MA7938, 3.50%, due 03/20/52
1,489,686
847,488
 
Government National Mortgage Association, Pool # MA7939, 4.00%, due 03/20/52
792,215
2,733,973
 
Government National Mortgage Association, Pool # MA8044, 3.50%, due 05/20/52
2,495,385
1,616,409
 
Government National Mortgage Association, Pool # MA8150, 4.00%, due 07/20/52
1,511,147
2,468,809
 
Government National Mortgage Association, Pool # MA8267, 4.00%, due 09/20/52
2,308,669
1,487,372
 
Government National Mortgage Association, Pool # MA8429, 5.50%, due 11/20/52
1,504,232
2,768,291
 
Government National Mortgage Association, Pool # MA8642, 2.50%, due 02/20/53
2,374,530
909,385
 
Government National Mortgage Association, Pool # MA8725, 5.00%, due 03/20/53
898,488
2,014,856
 
Government National Mortgage Association, Pool # MA9782, 7.00%, due 07/20/54
2,082,461
1,000,000
 
Government National Mortgage Association, TBA, 6.00%, due 07/20/54
1,014,920
500,000
 
Uniform Mortgage-Backed Security, TBA, 4.00%, due 07/01/54
464,981
500,000
 
Uniform Mortgage-Backed Security, TBA, 5.00%, due 08/01/54
489,755
 
 
401,439,718
 
Municipal Obligations — 0.7%
60,000
 
Alabama Economic Settlement Authority, 4.26%, due 09/15/32
59,126
355,000
 
Bay Area Toll Authority, 6.26%, due 04/01/49
373,749
1,525,000
 
California Health Facilities Financing Authority, 4.19%, due 06/01/37
1,429,156
90,000
 
District of Columbia Water & Sewer Authority, 4.81%, due 10/01/14(g)
76,855
1,055,000
 
Empire State Development Corp., 5.77%, due 03/15/39
1,089,047
257,000
 
Golden State Tobacco Securitization Corp., 4.21%, due 06/01/50
185,326
735,053
 
Louisiana Local Government Environmental Facilities & Community Development
Authority, 3.62%, due 02/01/29
730,235
280,000
 
Maryland Economic Development Corp., 5.43%, due 05/31/56
266,896
338,000
 
Municipal Electric Authority of Georgia, 6.64%, due 04/01/57
365,368
885,000
 
State of California, 7.50%, due 04/01/34
1,027,665
655,000
 
State of California, 7.55%, due 04/01/39
785,784
935,000
 
State of Connecticut, 3.98%, due 06/15/29
934,070
1,690,000
 
University of Michigan, 4.45%, due 04/01/22(g)
1,327,783
940,000
 
University of Virginia, 2.26%, due 09/01/50
536,057
595,000
 
University of Virginia, 2.58%, due 11/01/51
360,813
185,000
 
University of Virginia, 4.18%, due 09/01/17(g)
138,200
 
 
9,686,130
 
Sovereign Debt Obligations — 0.4%
200,000
 
Bermuda Government International Bonds, 2.38%, due 08/20/30 144A
178,460
800,000
 
Cassa Depositi e Prestiti SpA, 5.88%, due 04/30/29 144A
837,428
560,000
 
Dominican Republic International Bonds, 5.50%, due 02/22/29 144A
558,936
535,000
 
Hungary Government International Bonds, 5.38%, due 09/26/30 144A
540,549
999,000
 
Israel Government International Bonds, 5.38%, due 02/19/30
1,019,308
See accompanying Notes to the Schedule of Investments
89

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Sovereign Debt Obligations — continued
695,000
 
Mexico Government International Bonds, 6.88%, due 05/13/37
726,570
300,000
 
Mexico Government International Bonds, 6.75%, due 09/27/34
319,200
340,000
 
Province of Alberta, 1.30%, due 07/22/30
298,458
175,000
 
Province of Alberta, 3.30%, due 03/15/28
172,547
100,000
 
Province of Manitoba, 2.13%, due 06/22/26
98,122
220,000
 
Province of Quebec, 2.75%, due 04/12/27
215,774
400,000
 
Serbia International Bonds, 6.25%, due 05/26/28(i)
413,883
 
 
5,379,235
 
U.S. Government and Agency Obligations — 18.3%
75,000
 
Federal National Mortgage Association, 0.88%, due 08/05/30
64,830
310,000
 
Federal National Mortgage Association, 4.41%, due 03/17/31(j)
245,077
545,000
 
Federal National Mortgage Association, 6.63%, due 11/15/30
616,907
150,000
 
Tennessee Valley Authority, 1.50%, due 09/15/31
128,956
910,000
 
Tennessee Valley Authority, 5.25%, due 02/01/55
889,593
60,000
 
Tennessee Valley Authority, 7.13%, due 05/01/30
68,653
95,000
 
Tennessee Valley Authority Generic STRIPS, 4.78%, due 07/15/34(j)
63,699
10,753,000
 
U.S. Treasury Bonds, 1.38%, due 08/15/50
5,305,093
2,089,000
 
U.S. Treasury Bonds, 1.63%, due 11/15/50
1,101,213
635,000
 
U.S. Treasury Bonds, 2.00%, due 02/15/50
373,112
2,240,000
 
U.S. Treasury Bonds, 2.38%, due 11/15/49
1,441,388
18,915,000
 
U.S. Treasury Bonds, 2.38%, due 05/15/51(k)
11,999,942
16,490,000
 
U.S. Treasury Bonds, 3.00%, due 02/15/49(l)(m)
12,154,934
5,700,000
 
U.S. Treasury Bonds, 3.25%, due 05/15/42
4,717,418
2,726,000
 
U.S. Treasury Bonds, 3.38%, due 11/15/48
2,157,267
9,905,000
 
U.S. Treasury Bonds, 3.63%, due 08/15/43
8,524,491
8,130,000
 
U.S. Treasury Bonds, 4.00%, due 11/15/42
7,419,578
930,000
 
U.S. Treasury Bonds, 4.00%, due 11/15/52
813,641
13,341,000
 
U.S. Treasury Bonds, 4.25%, due 02/15/54
12,173,663
6,893,000
 
U.S. Treasury Bonds, 4.25%, due 08/15/54
6,296,863
18,111,000
 
U.S. Treasury Bonds, 4.50%, due 02/15/44
17,505,413
10,462,000
 
U.S. Treasury Bonds, 4.63%, due 05/15/44
10,262,977
7,105,000
 
U.S. Treasury Bonds, 4.63%, due 11/15/44
6,957,349
13,363,000
 
U.S. Treasury Bonds, 4.63%, due 02/15/55
13,012,221
4,221,000
 
U.S. Treasury Bonds, 4.75%, due 11/15/43
4,217,867
105,000
 
U.S. Treasury Bonds, 4.75%, due 11/15/53
104,081
120,000
 
U.S. Treasury Bonds, 4.75%, due 05/15/55
119,344
3,751,000
 
U.S. Treasury Bonds, 5.00%, due 05/15/45
3,853,859
2,904,858
 
U.S. Treasury Inflation-Indexed Notes, 0.13%, due 01/15/30
2,742,231
2,155,000
 
U.S. Treasury Notes, 0.50%, due 04/30/27
2,032,350
1,955,000
 
U.S. Treasury Notes, 3.75%, due 04/30/27
1,955,000
1,200,000
 
U.S. Treasury Notes, 3.88%, due 05/31/27
1,202,906
5,750,000
 
U.S. Treasury Notes, 3.88%, due 03/15/28
5,778,525
1,915,000
 
U.S. Treasury Notes, 3.88%, due 06/15/28
1,925,248
12,002,000
 
U.S. Treasury Notes, 3.88%, due 06/30/30
12,048,414
18,277,000
 
U.S. Treasury Notes, 4.00%, due 02/28/30
18,459,056
23,639,000
 
U.S. Treasury Notes, 4.00%, due 06/30/32
23,659,315
12,296,000
 
U.S. Treasury Notes, 4.13%, due 02/28/27
12,361,803
7,586,000
 
U.S. Treasury Notes, 4.25%, due 11/15/34
7,613,262
90See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
U.S. Government and Agency Obligations — continued
14,939,000
 
U.S. Treasury Notes, 4.25%, due 05/15/35
14,963,509
995,000
 
U.S. Treasury Notes, 4.63%, due 06/15/27
1,011,635
2,395,000
 
U.S. Treasury STRIPS Coupon, 2.66%, due 08/15/44(j)(k)
919,394
3,500,000
 
U.S. Treasury STRIPS Coupon, 2.67%, due 02/15/43(j)
1,458,566
7,055,000
 
U.S. Treasury STRIPS Coupon, 3.37%, due 11/15/41(j)
3,161,242
345,000
 
U.S. Treasury STRIPS Coupon, 4.37%, due 08/15/43(j)
139,460
100,000
 
U.S. Treasury STRIPS Coupon, 4.72%, due 02/15/40(j)
49,543
2,690,000
 
U.S. Treasury STRIPS Coupon, 4.84%, due 02/15/42(j)
1,187,075
 
 
245,257,963
 
TOTAL DEBT OBLIGATIONS (COST $1,348,407,496)
1,319,846,386
Shares
 
Description
Value ($)
 
COMMON STOCK — 0.0%
 
Industrial — 0.0%
924
 
Altera Infrastructure LP/Teekay Offshore Finance Corp.*
24,486
 
TOTAL COMMON STOCK (COST $234,312)
24,486
Par Value(a)
 
Description
Value ($)
 
SHORT-TERM INVESTMENT — 0.7%
 
Mutual Fund - Securities Lending Collateral — 0.7%
9,879,095
 
State Street Navigator Securities Lending Government Money Market Portfolio,
4.35%(n)(o)
9,879,095
 
TOTAL SHORT-TERM INVESTMENT (COST $9,879,095)
9,879,095
 
TOTAL INVESTMENTS BEFORE TBA SALE
COMMITMENTS99.0%
(Cost $1,358,520,903)
1,329,749,967
 
TBA SALE COMMITMENTS — (0.7)%
(3,000,000)
 
Uniform Mortgage-Backed Security, TBA, 2.00%, due 08/01/54
(2,376,506)
(3,000,000)
 
Uniform Mortgage-Backed Security, TBA, 2.50%, due 08/01/54
(2,488,318)
(1,500,000)
 
Uniform Mortgage-Backed Security, TBA, 4.00%, due 07/01/54
(1,394,942)
(500,000)
 
Uniform Mortgage-Backed Security, TBA, 4.00%, due 08/01/54
(464,883)
(1,500,000)
 
Uniform Mortgage-Backed Security, TBA, 4.50%, due 08/01/54
(1,434,281)
(1,500,000)
 
Uniform Mortgage-Backed Security, TBA, 6.00%, due 08/01/54
(1,522,954)
 
TOTAL TBA SALE COMMITMENTS (PROCEEDS $9,621,279)
(9,681,884)
 
TOTAL INVESTMENTS NET OF TBA SALE
COMMITMENTS98.3%
(Cost $1,348,899,624)
1,320,068,083
 
Other Assets and Liabilities (net) — 1.7%
23,392,053
 
NET ASSETS — 100.0%
$1,343,460,136
See accompanying Notes to the Schedule of Investments
91

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
 
Notes to Schedule of Investments:
*
Non-income producing security.
(a)
Unless otherwise indicated, all par values are denominated in United States dollars ($).
(b)
Variable or floating rate note. Rate shown is as of June 30, 2025.
(c)
Step coupon security that pays an initial coupon rate for the first period and then a lower/higher
coupon rate for the following periods. Rate shown is current coupon rate.
(d)
Variable or floating rate security, which interest rate adjusts periodically based on changes in current
interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as
of period end.
(e)
All or a portion of this security is out on loan.
(f)
Security is perpetual and has no stated maturity date.
(g)
Year of maturity is greater than 2100.
(h)
When-issued security.
(i)
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.
(j)
Interest rate presented is yield to maturity.
(k)
All or a portion of this security is pledged for open futures collateral.
(l)
All or a portion of this security is pledged for open forward foreign currency contracts collateral.
(m)
All or a portion of this security is pledged for open centrally cleared swaps collateral.
(n)
The rate disclosed is the 7-day net yield as of June 30, 2025.
(o)
Represents an investment of securities lending cash collateral.
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 buyers.
The total market value of the securities at period end is $264,176,401 which represents 19.7% of
net assets.
Forward Foreign Currency Contracts
Currency Purchased
Currency Sold
Settlement
Date
Counterparty
Unrealized
Appreciation
(Depreciation)
EUR
510,422
USD
580,481
07/02/25
Barclays Bank PLC
$18,678
EUR
24,414,774
USD
28,332,696
07/02/25
JPMorgan Chase Bank N.A.
326,573
EUR
3,396,420
USD
3,966,836
08/04/25
JPMorgan Chase Bank N.A.
28,748
USD
28,305,841
EUR
24,925,196
07/02/25
Barclays Bank PLC
(952,587
)
USD
28,395,022
EUR
24,414,774
08/04/25
JPMorgan Chase Bank N.A.
(326,774
)
 
 
 
 
 
$(905,362
)
Futures Contracts
Number of
Contracts
Description
Expiration Date
Notional
Value
Market Value/
Unrealized
Appreciation
(Depreciation)
Buys
 
 
144
U.S. Treasury Note 10-Year
Sep 2025
$16,146,000
$221,306
31
U.S. Treasury Note 2-Year
Sep 2025
6,448,727
24,165
92See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Futures Contractscontinued
Number of
Contracts
Description
Expiration Date
Notional
Value
Market Value/
Unrealized
Appreciation
(Depreciation)
323
U.S. Treasury Note 5-Year
Sep 2025
$35,207,000
$261,534
76
U.S. Ultra 10-Year
Sep 2025
8,684,187
166,455
 
 
$673,460
Sales
 
 
28
U.S. Long Bond
Sep 2025
$3,233,125
$(45,541
)
32
U.S. Ultra Bond
Sep 2025
3,812,000
(94,049
)
 
 
$(139,590
)
Written Options
Written Exchange-Traded Options
Type of Contract
 
Number of
Contracts
Notional
Value
Premiums
Received
Value at
June 30, 2025
PUT - 3-Month SOFR Futures Option
Strike @ $96.25
Expires 12/12/2025
 
33
$79,468
$(21,321)
$(14,025)
CALL - 3-Month SOFR Futures Option
Strike @ $96.25
Expires 12/12/2025
 
33
79,468
(32,009)
(20,625)
Total Written Exchange-Traded Options
 
 
 
$(53,330)
$(34,650)
Centrally Cleared Interest Rate Swaps
Payments
Received
by Fund
Payment
Frequency
Payments
Made
by Fund
Payment
Frequency
Maturity
Date
Upfront
Premiums
Paid
(Received)
Notional
Value
Market
Value
Unrealized
Appreciation
(Depreciation)
SOFR
Annual
4.81%
Annual
08/31/25
$
USD
11,925,000
$(5,935
)
$(5,935
)
SOFR
Annual
4.70%
Annual
09/25/26
153
USD
830,000
(9,376
)
(9,529
)
SOFR
Annual
4.67%
Annual
05/17/26
USD
10,955,000
(67,482
)
(67,482
)
SOFR
Annual
4.25%
Annual
05/13/29
(9,824
)
USD
9,240,000
(285,165
)
(275,341
)
SOFR
Annual
1.35%
Annual
05/11/54
515,808
USD
1,130,000
502,573
(13,235
)
4.50%
Annual
SOFR
Annual
05/13/27
5,534
USD
14,850,000
258,865
253,331
 
 
 
 
 
 
$(118,191
)
Centrally Cleared Credit Default Swaps
Buy Protection
Notional
Amount*
Currency
Expiration
Date
Receive
(Pay)
Fixed
Rate
Payment
Frequency
Deliverable on Default
Unrealized
Appreciation
(Depreciation)
Upfront
Premiums
Paid
(Received)
Value
37,034,000
USD
06/20/30
(1.00%)
Quarterly
CDX.NA.IG.S44**
$(69,565
)
$(744,679
)
$(814,244
)
See accompanying Notes to the Schedule of Investments
93

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
*
The maximum potential amount of future undiscounted payments that the Fund could be required to make under a credit default swap
contract would be the notional amount of the contract. These potential amounts would be partially offset by any recovery values of the
referenced debt obligation or net amounts received from the settlement of purchased protection credit default swap contracts entered into
by the Fund for the same referenced debt obligation.
**
CDX.NA.IG — Markit North America Investment Grade CDS Index. Represents an index of one hundred twenty five (125) of the most
liquid North American entities with investment grade credit ratings that trade in the CDS market.
Currency Abbreviations
EUR
Euro
USD
U.S. Dollar
Abbreviations
CLO
Collateralized Loan Obligation
CMT
Constant Maturity Treasury Index
EURIBOR
Euro Interbank Offered Rate
ICE
Intercontinental Exchange
RFUCC
Refinitiv USD IBOR Consumer Cash Fallbacks
SOFR
Secured Overnight Financing Rate
STACR
Structured Agency Credit Risk
STRIPS
Separate Trading of Registered Interest and Principal of Securities
TBA
To Be Announced
94See accompanying Notes to the Schedule of Investments

Mercer Core Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Asset Class Summary (Unaudited)
% of Net Assets
Debt Obligations
98.2
Futures Contracts
0.0*
Equities
0.0*
Written Options
(0.0)*
Swaps
(0.0)*
TBA Sale Commitments
(0.7)
Forward Foreign Currency Contracts
(1.8)
Short-Term Investment
0.7
Other Assets and Liabilities (net)
3.6
 
100.0
*
Amount rounds to zero.
See accompanying Notes to the Schedule of Investments
95

Mercer Opportunistic Fixed Income Fund
Schedule of Investments
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
DEBT OBLIGATIONS — 98.1%
 
Asset Backed Securities — 7.4%
485,930
 
Aegis Asset-Backed Securities Trust, Series 2005-5, Class M1, 5.08% (1 mo. USD Term
SOFR + 0.76%), due 12/25/35(b)
457,063
1,650,000
 
Affirm Asset Securitization Trust, Series 2024-A, Class E, 9.17%, due 02/15/29 144A
1,668,203
1,900,000
 
Affirm Asset Securitization Trust, Series 2024-B, Class E, 7.35%, due 09/15/29 144A
1,898,491
1,800,000
 
Affirm Master Trust, Series 2025-2A, Class A, 4.67%, due 07/15/33 144A
1,806,674
500,000
 
AGL CLO 24 Ltd., Series 2023-24A, Class ER, 11.17% (3 mo. USD Term SOFR +
6.84%), due 03/31/38(b) 144A
505,249
300,000
 
AGL CLO 25 Ltd., Series 2023-25A, Class D1R, 7.22% (3 mo. USD Term SOFR +
2.90%), due 07/21/38(b) 144A
301,125
250,000
 
AIMCO CLO 15 Ltd., Series 2021-15A, Class ER, 8.88% (3 mo. USD Term SOFR +
4.60%), due 04/17/38(b) 144A
249,017
1,575,000
 
AIMCO CLO 24 Ltd., Series 2025-24A, Class E, 10.40% (3 mo. USD Term SOFR +
6.10%), due 04/19/38(b) 144A
1,585,822
1,620,000
 
AIMCO CLO 24 Ltd., Series 2025-24A, Class SUB, due 04/19/38(c) 144A
1,321,188
340,000
 
AMSR Trust, Series 2025-SFR1, Class F2, 3.66%, due 06/17/42 144A
283,296
510,000
 
Amur Equipment Finance Receivables XV LLC, Series 2025-1A, Class E, 8.35%, due
01/20/34 144A
516,474
250,000
 
Anchorage Capital CLO 15 Ltd., Series 2020-15A, Class ER2, 10.26% (3 mo. USD
Term SOFR + 6.05%), due 07/20/38(b) 144A
251,250
250,000
 
Anchorage Capital CLO 26 Ltd., Series 2023-26A, Class ER, 10.54% (3 mo. USD Term
SOFR + 6.25%), due 03/19/38(b) 144A
250,926
250,000
 
Anchorage Capital CLO 32 Ltd., Series 2025-32A, Class E, 11.28% (3 mo. USD Term
SOFR + 7.00%), due 07/15/37(b) 144A
250,847
1,870,000
 
Apidos CLO XLV Ltd., Series 2023-45A, Class ER (3 mo. USD Term SOFR + 5.15%),
due 07/26/38(b)(d) 144A
1,879,350
810,000
 
Asset-Backed Securities Corp. Home Equity Loan Trust, Series 2006-HE5, Class M1,
2.91% (1 mo. USD Term SOFR + 0.53%), due 07/25/36(b)
699,282
855,000
 
Avis Budget Rental Car Funding AESOP LLC, Series 2023-4A, Class D, 7.31%, due
06/20/29 144A
860,603
905,000
 
Avis Budget Rental Car Funding AESOP LLC, Series 2023-6A, Class D, 7.37%, due
12/20/29 144A
911,344
2,160,000
 
Avis Budget Rental Car Funding AESOP LLC, Series 2023-8A, Class D, 7.52%, due
02/20/30 144A
2,182,999
1,500,000
 
Bain Capital Credit CLO Ltd., Series 2022-2A, Class A1R (3 mo. USD Term SOFR +
1.15%), due 04/22/35(b)(d) 144A
1,501,125
500,000
 
Balboa Bay Loan Funding Ltd., Series 2022-1A, Class ER, 10.90% (3 mo. USD Term
SOFR + 6.63%), due 04/20/37(b) 144A
505,396
300,000
 
Balboa Bay Loan Funding Ltd., Series 2023-1A, Class D1RR (3 mo. USD Term SOFR
+ 2.90%), due 04/20/36(b)(d) 144A
301,125
2,020,000
 
Ballyrock CLO 29 Ltd., Series 2025-29A, Class D (3 mo. USD Term SOFR + 5.15%),
due 07/25/38(b)(d) 144A
2,027,575
250,000
 
Barings CLO Ltd., Series 2023-1A, Class ER, 11.03% (3 mo. USD Term SOFR +
6.70%), due 04/20/38(b) 144A
254,204
300,000
 
BCC Middle Market CLO LLC, Series 2025-1A, Class D1 (3 mo. USD Term SOFR +
3.50%), due 07/17/37(b)(d) 144A
301,125
250,000
 
Benefit Street Partners CLO 41 Ltd., Series 2025-41A, Class E (3 mo. USD Term SOFR
+ 4.90%), due 07/25/38(b)(d) 144A
251,250
250,000
 
Benefit Street Partners CLO XL Ltd., Series 2025-40A, Class E (3 mo. USD Term
SOFR + 5.25%), due 07/25/38(b)(d) 144A
251,595
450,000
 
Brant Point CLO Ltd., Series 2025-7A, Class D1 (3 mo. USD Term SOFR + 3.20%),
due 07/25/38(b)(d) 144A
451,688
96See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
1,700,000
 
Bridgecrest Lending Auto Securitization Trust, Series 2025-2, Class C, 5.17%, due
03/17/31
1,717,780
500,000
 
Brightwood Capital MM CLO Ltd., Series 2019-1A, Class DR, 9.05% (3 mo. USD Term
SOFR + 4.79%), due 10/15/34(b) 144A
501,328
2,000,000
 
Carlyle U.S. CLO Ltd., Series 2017-2A, Class ER2, 11.83% (3 mo. USD Term SOFR +
7.56%), due 07/20/37(b) 144A
2,034,276
1,475,000
 
Carlyle U.S. CLO Ltd., Series 2019-4A, Class A2R, 6.01% (3 mo. USD Term SOFR +
1.75%), due 04/15/35(b) 144A
1,476,209
510,000
 
Carlyle U.S. CLO Ltd., Series 2021-8A, Class B, 6.17% (3 mo. USD Term SOFR +
1.91%), due 10/15/34(b) 144A
510,629
700,000
 
Carlyle U.S. CLO Ltd., Series 2023-1A, Class D1R (3 mo. USD Term SOFR + 2.85%),
due 07/20/37(b)(d) 144A
702,625
250,000
 
Carlyle U.S. CLO Ltd., Series 2023-1A, Class E, 12.73% (3 mo. USD Term SOFR +
8.46%), due 07/20/35(b) 144A
250,013
250,000
 
Carlyle U.S. CLO Ltd., Series 2023-1A, Class ER (3 mo. USD Term SOFR + 5.75%),
due 07/20/37(b)(d) 144A
251,250
1,000,000
 
Carlyle U.S. CLO Ltd., Series 2025-2A, Class E, 11.05% (3 mo. USD Term SOFR +
6.75%), due 07/25/38(b) 144A
1,006,805
250,000
 
Carlyle U.S. CLO Ltd., Series 2025-3A, Class E, 9.51% (3 mo. USD Term SOFR +
5.25%), due 07/25/38(b)(d) 144A
251,595
1,025,000
 
Chase Auto Credit Linked Notes, Series 2025-1, Class E, 6.02%, due 02/25/33 144A
1,028,415
795,000
 
Chase Auto Credit Linked Notes, Series 2025-1, Class F, 7.00%, due 02/25/33 144A
799,270
250,000
 
CIFC Funding Ltd., Series 2018-4A, Class ER, 9.12% (3 mo. USD Term SOFR +
4.85%), due 01/17/38(b) 144A
248,568
250,000
 
CIFC Funding Ltd., Series 2019-4A, Class C1R2 (3 mo. USD Term SOFR + 2.85%),
due 07/15/38(b)(d) 144A
250,625
250,000
 
CIFC Funding Ltd., Series 2019-4A, Class DR2 (3 mo. USD Term SOFR + 5.25%), due
07/15/38(b)(d) 144A
250,938
300,000
 
CIFC Funding Ltd., Series 2025-3A, Class SUB, due 07/21/38(c) 144A
261,061
500,000
 
Consumer Portfolio Services Auto Trust, Series 2025-B, Class B, 4.79%, due 11/15/29
144A
501,155
500,000
 
Consumer Portfolio Services Auto Trust, Series 2025-B, Class C, 5.12%, due 07/15/31
144A
503,910
1,000,000
 
CTM CLO Ltd., Series 2025-1A, Class E (3 mo. USD Term SOFR + 6.75%), due
07/15/38(b)(d) 144A
1,005,000
250,000
 
Diameter Capital CLO 3 Ltd., Series 2022-3A, Class SUB, due 04/15/22(c)(e) 144A
212,622
5,650,000
 
Drive Auto Receivables Trust, Series 2025-1, Class A3, 4.73%, due 09/15/32
5,676,098
800,000
 
Elmwood CLO 15 Ltd., 0.01%, due 06/22/35
800,000
755,000
 
Elmwood CLO 42 Ltd., Series 2025-5A, Class D, 7.53% (3 mo. USD Term SOFR +
3.25%), due 03/31/38(b) 144A
756,502
250,000
 
Elmwood CLO 42 Ltd., Series 2025-5A, Class E, 10.78% (3 mo. USD Term SOFR +
6.50%), due 03/31/38(b) 144A
257,336
430,000
 
Elmwood CLO 43 Ltd., Series 2025-6A, Class E (3 mo. USD Term SOFR + 5.00%),
due 07/20/38(b)(d) 144A
432,150
266,000
 
Elmwood CLO XI Ltd., Series 2021-4A, Class SUB, due 10/20/34(c) 144A
233,989
1,000,000
 
Elmwood CLO XII Ltd., Series 2021-5A, Class D1R, 7.36% (3 mo. USD Term SOFR +
3.10%), due 10/15/37(b) 144A
1,007,953
5,000,000
 
Exeter Automobile Receivables Trust, Series 2025-3A, Class A3, 4.78%, due 07/16/29
5,026,785
250,000
 
Flatiron CLO 23 LLC, Series 2023-1A, Class ER, 9.26% (3 mo. USD Term SOFR +
4.95%), due 04/17/36(b) 144A
251,249
1,250,000
 
Fortress Credit Opportunities XXIX CLO Ltd., Series 2025-29A, Class D, 7.82% (3 mo.
USD Term SOFR + 3.50%), due 04/20/33(b) 144A
1,248,182
500,000
 
Foundation Finance Trust, Series 2025-2A, Class A, 4.67%, due 04/15/52(d) 144A
499,898
See accompanying Notes to the Schedule of Investments
97

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
325,000
 
Garnet CLO Ltd., Series 2025-1A, Class E (3 mo. USD Term SOFR + 6.25%), due
07/20/37(b)(d) 144A
327,073
250,000
 
Generate CLO 17 Ltd., Series 2024-17A, Class E, 10.42% (3 mo. USD Term SOFR +
6.15%), due 10/22/37(b) 144A
252,199
800,000
 
Generate CLO 21 Ltd., Series 2025-21A, Class D1 (3 mo. USD Term SOFR + 3.10%),
due 07/25/38(b)(d) 144A
803,000
4,800,000
 
GLS Auto Receivables Issuer Trust, Series 2025-2A, Class A2, 4.75%, due 03/15/28
144A
4,804,357
2,100,000
 
GLS Auto Receivables Issuer Trust, Series 2025-2A, Class E, 7.73%, due 06/15/32 144A
2,164,746
500,000
 
GLS Auto Select Receivables Trust, Series 2025-3A, Class A2, 4.46%, due 10/15/30(d)
144A
499,995
6,000,000
 
Greystone CRE Notes LLC, Series 2025-FL4, Class A, 5.79% (1 mo. USD Term SOFR
+ 1.48%), due 01/15/43(b) 144A
6,007,705
29,952
 
GSAA Home Equity Trust, Series 2007-7, Class A4, 4.97% (1 mo. USD Term SOFR +
0.65%), due 07/25/37(b)
28,868
2,640,000
 
Hertz Vehicle Financing III LLC, Series 2025-3A, Class D, 8.55%, due 12/26/29 144A
2,658,121
1,320,000
 
KKR CLO 57 Ltd., Series 2025-57A, Class E (3 mo. USD Term SOFR + 5.75%), due
07/15/38(b)(d) 144A
1,328,420
668,280
 
KREF Ltd., Series 2022-FL3, Class A, 5.77% (1 mo. USD Term SOFR + 1.45%), due
02/17/39(b) 144A
669,515
1,340,649
 
Lendbuzz Securitization Trust, Series 2023-2A, Class A2, 7.09%, due 10/16/28 144A
1,363,334
775,000
 
Lendmark Funding Trust, Series 2025-1A, Class E, 8.91%, due 09/20/34 144A
802,841
121,277
 
Long Beach Mortgage Loan Trust, Series 2005-1, Class M4, 5.71% (1 mo. USD Term
SOFR + 1.39%), due 02/25/35(b)
119,332
250,000
 
Madison Park Funding LXIII Ltd., Series 2023-63A, Class ER, 10.32% (3 mo. USD
Term SOFR + 6.00%), due 07/21/38(b) 144A
251,158
500,000
 
Madison Park Funding LXV Ltd., Series 2025-65A, Class D1 (3 mo. USD Term SOFR
+ 2.80%), due 07/16/38(b)(d) 144A
501,875
250,000
 
Madison Park Funding LXV Ltd., Series 2025-65A, Class E (3 mo. USD Term SOFR +
5.00%), due 07/16/38(b)(d) 144A
251,250
2,030,000
 
Madison Park Funding LXXII Ltd., Series 2025-72A, Class SUB, due 07/23/38(c)(d)
144A
2,030,000
250,000
 
Madison Park Funding XLVI Ltd., Series 2020-46A, Class ERR, 9.51% (3 mo. USD
Term SOFR + 5.25%), due 10/15/34(b) 144A
246,940
11,453,250
 
Madison Park Funding XVII Ltd., Series 2015-17A, Class SUB, 12.90%, due 07/21/45(c)
144A
1,768,210
1,190,000
 
Madison Park Funding XVII Ltd., Series 2015-17X, Class SUB, due 07/21/30(c)(f)
183,718
1,690,000
 
Madison Park Funding XXII Ltd., Series 2016-22A, Class SUB, due 01/15/33(c) 144A
898,292
250,000
 
Madison Park Funding XXXI Ltd., Series 2018-31A, Class ER, 10.68% (3 mo. USD
Term SOFR + 6.40%), due 07/23/37(b) 144A
249,842
540,000
 
Magnetite 50 Ltd., Series 2025-50A, Class E (3 mo. USD Term SOFR + 4.80%), due
07/25/38(b)(d) 144A
542,700
500,000
 
Magnetite XLIII Ltd., Series 2025-43A, Class D2, 7.50% (3 mo. USD Term SOFR +
3.20%), due 07/15/38(b) 144A
501,000
250,000
 
Magnetite XLIII Ltd., Series 2025-43A, Class E, 10.80% (3 mo. USD Term SOFR +
6.50%), due 07/15/38(b) 144A
250,856
280,500
 
Magnetite XXVIII Ltd., Series 2020-28A, Class SUB, due 01/20/35(c) 144A
225,066
250,000
 
Magnetite XXXVI Ltd., Series 2023-36A, Class ER, 9.32% (3 mo. USD Term SOFR +
5.00%), due 07/25/38(b) 144A
251,247
435,000
 
MF1 LLC, Series 2025-FL19, Class C, 7.16% (1 mo. USD Term SOFR + 2.84%), due
05/18/42(b) 144A
434,976
337,578
 
Mill City Solar Loan Ltd., Series 2019-1A, Class A, 4.34%, due 03/20/43 144A
309,675
98See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
452,820
 
National Collegiate Student Loan Trust, Series 2007-2, Class A4, 4.72% (1 mo. USD
Term SOFR + 0.40%), due 01/25/33(b)
440,562
900,000
 
Navient Education Loan Trust, Series 2025-A, Class A, 5.02%, due 07/15/55 144A
906,013
1,200,000
 
Navient Education Loan Trust, Series 2025-A, Class B, 5.32%, due 07/15/55 144A
1,208,130
287,386
 
Navient Private Education Refi Loan Trust, Series 2018-CA, Class B, 4.22%, due
06/16/42 144A
283,481
250,000
 
Neuberger Berman Loan Advisers CLO 61 Ltd., Series 2025-61A, Class E (3 mo. USD
Term SOFR + 4.90%), due 07/17/39(b)(d) 144A
251,250
250,000
 
Oaktree CLO Ltd., Series 2023-1A, Class ER, 11.79% (3 mo. USD Term SOFR +
7.50%), due 04/15/38(b) 144A
259,015
250,000
 
Oaktree CLO Ltd., Series 2025-32A, Class E (3 mo. USD Term SOFR + 5.35%), due
07/15/38(b)(d) 144A
251,250
3,360,000
 
OCP CLO Ltd., Series 2021-21A, Class SUB, due 01/20/38(c) 144A
2,199,651
250,000
 
OCP CLO Ltd., Series 2022-24A, Class ER, 10.52% (3 mo. USD Term SOFR + 6.25%),
due 10/20/37(b) 144A
252,412
450,000
 
OCP CLO Ltd., Series 2024-35A, Class D1, 7.38% (3 mo. USD Term SOFR + 3.10%),
due 10/25/37(b) 144A
453,739
665,000
 
OCP CLO Ltd., Series 2025-43A, Class D1, 7.53% (3 mo. USD Term SOFR + 3.25%),
due 07/20/38(b) 144A
667,734
250,000
 
OCP CLO Ltd., Series 2025-43A, Class E, 10.78% (3 mo. USD Term SOFR + 6.50%),
due 07/20/38(b) 144A
255,478
2,800,000
 
Octagon 64 Ltd., Series 2022-1A, Class A1R, 5.58% (3 mo. USD Term SOFR + 1.26%),
due 07/21/35(b) 144A
2,793,311
330,000
 
Octagon 67 Ltd., Series 2023-1A, Class FR, 12.00%, due 07/25/38 144A
329,292
725,000
 
OHA Credit Funding 22 Ltd., Series 2025-22A, Class E, 9.83% (3 mo. USD Term
SOFR + 5.55%), due 07/20/38(b) 144A
730,129
500,000
 
OHA Credit Funding 7 Ltd., Series 2020-7A, Class AR, 5.57% (3 mo. USD Term SOFR
+ 1.30%), due 02/24/37(b) 144A
500,025
456,000
 
OHA Credit Funding 7 Ltd., Series 2020-7A, Class D1R2 (3 mo. USD Term SOFR +
2.70%), due 07/19/38(b)(d) 144A
457,710
380,000
 
OHA Credit Funding 7 Ltd., Series 2020-7A, Class ER2 (3 mo. USD Term SOFR +
4.90%), due 07/19/38(b)(d) 144A
381,900
620,000
 
OHA Credit Funding 8 Ltd., Series 2021-8A, Class SUB, due 01/20/38(c) 144A
559,019
250,000
 
OHA Credit Partners Ltd., Series 2023-15RA, Class E, 9.16% (3 mo. USD Term SOFR
+ 4.85%), due 07/20/38(b) 144A
252,479
340,000
 
OHA Credit Partners VII Ltd., Series 2012-7A, Class ER4, 8.82% (3 mo. USD Term
SOFR + 4.50%), due 02/20/38(b) 144A
336,747
1,000,000
 
OHA Credit Partners VII Ltd., Series 2012-7A, Class SUB, due 02/20/38(c) 144A
614,124
850,000
 
Option One Mortgage Loan Trust, Series 2005-3, Class M4, 5.36% (1 mo. USD Term
SOFR + 1.04%), due 08/25/35(b)
731,416
760,000
 
Pagaya AI Debt Trust, Series 2025-4, Class A1, 4.86%, due 06/15/26 144A
759,955
300,000
 
Palmer Square CLO Ltd., Series 2021-4A, Class B, 6.17% (3 mo. USD Term SOFR +
1.91%), due 10/15/34(b) 144A
300,015
1,835,000
 
Palmer Square CLO Ltd., Series 2021-4A, Class ER (3 mo. USD Term SOFR + 5.75%),
due 07/15/38(b)(d) 144A
1,844,175
1,000,000
 
Palmer Square CLO Ltd., Series 2025-2A, Class E, 10.07% (3 mo. USD Term SOFR +
5.75%), due 07/20/38(b) 144A
1,010,252
525,000
 
Park Avenue Institutional Advisers CLO Ltd., Series 2021-2A, Class D, 7.92% (3 mo.
USD Term SOFR + 3.66%), due 07/15/34(b) 144A
526,312
790,000
 
Peace Park CLO Ltd., Series 2021-1A, Class E, 10.53% (3 mo. USD Term SOFR +
6.26%), due 10/20/34(b) 144A
794,287
1,600,000
 
Pk Alift Loan Funding 6 LP, Series 2025-1, Class A, 5.37%, due 11/15/42 144A
1,607,432
680,000
 
Point Securitization Trust, Series 2025-1, Class A2, 7.50%, due 06/25/55 144A
679,347
See accompanying Notes to the Schedule of Investments
99

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
1,630,000
 
PRET LLC, Series 2024-NPL5, Class A2, 8.84%, due 09/25/54(g) 144A
1,630,871
1,305,000
 
PRET LLC, Series 2025-NPL3, Class A2, 8.84%, due 04/25/55(g) 144A
1,321,242
1,000,000
 
PRET LLC, Series 2025-NPL6, Class A1, 5.74%, due 06/25/55(d)(g) 144A
1,000,000
590,000
 
PRET LLC, Series 2025-NPL6, Class A2, 8.72%, due 06/25/55(d)(g) 144A
594,460
1,000,000
 
Regatta 33 Funding Ltd., Series 2025-2A, Class E, 10.95% (3 mo. USD Term SOFR +
6.65%), due 07/25/38(b) 144A
1,006,988
762,770
 
Renew, Series 2024-2A, Class M, 6.83%, due 11/20/60 144A
702,426
1,160,000
 
Residential Asset Securities Corporation Trust, Series 2006-KS2, Class M3, 5.05% (1
mo. USD Term SOFR + 0.73%), due 03/25/36(b)
1,136,298
260,000
 
RR 23 Ltd., Series 2022-23A, Class DR2 (3 mo. USD Term SOFR + 5.00%), due
07/15/37(b)(d) 144A
260,975
550,000
 
RR 40 Ltd., Series 2025-40A, Class D, 10.05% (3 mo. USD Term SOFR + 5.75%), due
07/15/38(b) 144A
552,820
2,024,915
 
Santander Bank Auto Credit-Linked Notes, Series 2024-A, Class F, 10.17%, due
06/15/32 144A
2,058,846
450,000
 
Sculptor CLO XXX Ltd., Series 30A, Class D1R, 7.87% (3 mo. USD Term SOFR +
3.60%), due 07/20/38(b) 144A
451,688
380,000
 
Sixth Street CLO 29 Ltd., Series 2025-29A, Class E (3 mo. USD Term SOFR + 5.00%),
due 07/17/38(b)(d) 144A
381,900
940,000
 
Sixth Street CLO 29 Ltd., Series 2025-29A, Class SUB, due 07/17/38(c)(d) 144A
847,880
515,000
 
Sixth Street CLO XVIII Ltd., Series 2021-18A, Class D, 7.43% (3 mo. USD Term
SOFR + 3.16%), due 04/20/34(b) 144A
516,844
250,000
 
Sixth Street CLO XX Ltd., Series 2021-20A, Class ER (3 mo. USD Term SOFR +
5.50%), due 07/17/38(b)(d) 144A
251,250
250,000
 
Sixth Street CLO XXVI Ltd., Series 2024-26X, Class E, 9.92% (3 mo. USD Term
SOFR + 5.65%), due 10/18/37(b)(f)
251,879
2,700,000
 
SLAM Ltd., Series 2025-1A, Class A, 5.81%, due 05/15/50 144A
2,752,237
50,000
 
SLM Private Credit Student Loan Trust, Series 2003-A, Class A3, 7.31%, due
06/15/32(c)
49,480
50,000
 
SLM Private Credit Student Loan Trust, Series 2003-B, Class A3, 7.92%, due 03/15/33(c)
50,070
230,359
 
SMB Private Education Loan Trust, Series 2021-A, Class D1, 3.86%, due 01/15/53
144A
209,266
1,500,000
 
SMB Private Education Loan Trust, Series 2023-B, Class B, 5.77%, due 10/16/56 144A
1,521,869
1,250,000
 
SMB Private Education Loan Trust, Series 2024-D, Class D, 7.51%, due 07/15/53 144A
1,289,683
5,200,000
 
SoFi Consumer Loan Program Trust, Series 2025-2, Class A, 4.82%, due 06/25/34 144A
5,209,739
313,180
 
Stonepeak ABS, Series 2021-1A, Class A, 2.68%, due 02/28/33 144A
299,639
500,000
 
Texas Debt Capital CLO Ltd., Series 2023-1A, Class D1R, 7.02% (3 mo. USD Term
SOFR + 2.75%), due 07/20/38(b) 144A
501,875
250,000
 
Texas Debt Capital CLO Ltd., Series 2023-1A, Class ER, 9.22% (3 mo. USD Term
SOFR + 4.95%), due 07/20/38(b) 144A
251,250
250,000
 
Trimaran CAVU Ltd., Series 2025-1A, Class E, 9.39% (3 mo. USD Term SOFR +
5.25%), due 04/25/38(b) 144A
250,790
600,000
 
Upstart Securitization Trust, Series 2025-2, Class A1, 4.84%, due 06/20/26 144A
600,076
250,000
 
Voya CLO Ltd., Series 2025-1A, Class E, 8.87% (3 mo. USD Term SOFR + 4.60%),
due 04/20/38(b) 144A
248,450
250,000
 
Voya CLO Ltd., Series 2025-3A, Class E (3 mo. USD Term SOFR + 5.40%), due
07/20/38(b)(d) 144A
251,250
250,000
 
Wonder Lake Park CLO Ltd., Series 2025-1A, Class E (3 mo. USD Term SOFR +
4.90%), due 07/24/38(b)(d) 144A
251,250
2,500,000
 
Zayo Issuer LLC, Series 2025-2A, Class C, 9.49%, due 06/20/55 144A
2,650,885
 
 
136,395,631
100See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — 16.2%
249,370
 
1011778 B.C. Unlimited Liability Co., 2024 Term Loan B6, 6.08% (1 mo. USD Term
SOFR + 1.75%), due 09/20/30(b)
248,461
915,000
 
Access CIG LLC, 2023 Term Loan TBD, due 08/18/28(h)
919,718
1,700,727
 
Acrisure LLC, 2024 1st Lien Term Loan B6, 7.33% (1 mo. USD Term SOFR + 3.00%),
due 11/06/30(b)
1,696,829
500,000
 
Acrisure LLC, 2025 Term Loan B, 7.58% (1 mo. USD Term SOFR + 3.25%), due
06/04/32(b)
499,896
905,000
 
Acrisure LLC, 2025 Term Loan B TBD, due 06/04/32(h)
904,812
1,047,280
 
ADMI Corp., 2021 Incremental Term Loan B3, 8.19% (1 mo. USD Term SOFR +
3.75%), due 12/23/27(b)
1,003,425
1,496,241
 
Ahead DB Holdings LLC, 2024 Term Loan B3 TBD, due 02/03/31(h)
1,498,111
1,893,625
 
AI Aqua Merger Sub, Inc., 2024 1st Lien Term Loan B, 7.32% (1 mo. USD Term SOFR
+ 3.00%), due 07/31/28(b)
1,892,949
748,120
 
AIT Worldwide Logistics, Inc., 2025 Repriced Term Loan, 8.26% (3 mo. USD Term
SOFR + 4.00%), due 04/08/30(b)
750,645
750,000
 
AIT Worldwide Logistics, Inc., 2025 Repriced Term Loan TBD, due 04/08/30(h)
752,531
1,000,000
EUR
Albion Financing 3 SARL, 2025 EUR Term Loan TBD, due 05/30/31(h)
1,172,676
285,000
 
Alera Group, Inc., 2025 Term Loan, 7.55% (3 mo. USD Term SOFR + 3.25%), due
05/31/32(b)
286,120
1,506,067
 
AlixPartners LLP, 2021 USD Term Loan B, 6.94% (1 mo. USD Term SOFR + 2.50%),
due 02/04/28(b)
1,513,284
648,367
 
Alliant Holdings Intermediate LLC, 2024 Term Loan B6, 7.07% (1 mo. USD Term
SOFR + 2.75%), due 09/19/31(b)
649,067
498,705
 
Allied Universal Holdco LLC, 2021 USD Incremental Term Loan B, 8.18% (1 mo. USD
Term SOFR + 3.75%), due 05/12/28(b)
501,463
1,097,150
 
Allied Universal Holdco LLC, 2021 USD Incremental Term Loan B TBD, due
05/12/28(h)
1,103,219
1,590,000
 
Altar Bidco, Inc., 2021 2nd Lien Term Loan TBD, due 02/01/30(h)
1,542,300
1,041,186
 
Amentum Government Services Holdings LLC, 2024 Term Loan B, 6.58% (1 mo. USD
Term SOFR + 2.25%), due 09/29/31(b)
1,040,861
1,250,000
 
American Airlines, Inc., 2023 1st Lien Term Loan, 6.51% (6 mo. USD Term SOFR +
2.25%), due 06/04/29(b)
1,238,281
250,000
 
American Airlines, Inc., 2023 1st Lien Term Loan TBD, due 06/04/29(h)
247,656
350,000
 
American Airlines, Inc., 2025 Term Loan B, 7.55% (3 mo. USD Term SOFR + 3.25%),
due 05/28/32(b)
352,669
2,107,000
 
American Auto Auction Group LLC, 2025 Term Loan, 8.83% (3 mo. USD Term SOFR
+ 4.50%), due 05/28/32(b)
2,120,607
187,733
 
American Auto Auction Group LLC, 2025 Term Loan TBD, due 05/28/32(h)
188,945
199,495
 
American Builders & Contractors Supply Co., Inc., 2024 Term Loan B TBD, due
01/31/31(h)
200,243
798,000
 
Amynta Agency Borrower, Inc., 2024 1st Lien Term Loan B TBD, due 12/29/31(h)
798,200
1,493,000
 
Apollo Commercial Real Estate Finance, Inc., 2025 Term Loan B, 7.69% (1 mo. USD
Term SOFR + 3.25%), due 06/13/30(b)
1,498,599
1,012,456
 
Applied Systems, Inc., 2024 1st Lien Term Loan, 6.80% (3 mo. USD Term SOFR +
2.50%), due 02/24/31(b)
1,018,297
1,246,859
 
Apro LLC, 2024 Term Loan B, 8.06% (1 mo. USD Term SOFR + 3.75%), due
07/09/31(b)
1,246,859
613,369
 
AqGen Island Holdings, Inc., 2024 Term Loan B, 7.33% (1 mo. USD Term SOFR +
3.00%), due 08/02/28(b)
615,030
1,521,018
 
Arches Buyer, Inc., 2021 Term Loan B, 7.68% (1 mo. USD Term SOFR + 3.25%), due
12/06/27(b)
1,504,381
1,268,285
 
Arctic Canadian Diamond Co. Ltd., 2nd Lien PIK Term Loan, 10.00% (10.00% Fixed or
PIK), due 12/31/27(b)(i)
1,230,110
See accompanying Notes to the Schedule of Investments
101

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
225,000
 
Artera Services LLC, 2024 Term Loan TBD, due 02/15/31(h)
189,506
2,550,000
 
Aruba Investments Holdings LLC, 2020 2nd Lien Term Loan, 12.18% (1 mo. USD Term
SOFR + 7.75%), due 11/24/28(b)
2,409,750
209,456
 
Aruba Investments Holdings LLC, 2020 USD Term Loan, 8.43% (1 mo. USD Term
SOFR + 4.00%), due 11/24/27(b)
202,649
209,234
 
Aspire Bakeries Holdings LLC, 2025 Term Loan B TBD, due 12/23/30(h)
210,019
209,234
 
Aspire Bakeries Holdings LLC, Term Loan TBD, due 12/23/30(h)
210,411
2,211,583
 
AssuredPartners, Inc., 2024 Incremental Term Loan B5, 7.83% (1 mo. USD Term SOFR
+ 3.50%), due 02/14/31(b)
2,219,679
3,650,000
 
Asurion LLC, 2021 Second Lien Term Loan B4, 9.69% (1 mo. USD Term SOFR +
5.25%), due 01/20/29(b)
3,399,062
1,246,811
 
Asurion LLC, 2023 Term Loan B11, 8.68% (1 mo. USD Term SOFR + 4.25%), due
08/19/28(b)
1,235,434
1,147,704
 
Asurion LLC, 2023 Term Loan B11 TBD, due 08/19/28(h)
1,137,231
1,045,000
 
Asurion LLC, 2025 Term Loan B13, 8.58% (1 mo. USD Term SOFR + 4.25%), due
09/19/30(b)
1,016,916
399,000
 
Athenahealth Group, Inc., 2022 Term Loan B, 7.08% (1 mo. USD Term SOFR +
2.75%), due 02/15/29(b)
398,451
1,094,507
 
Athenahealth Group, Inc., 2022 Term Loan B TBD, due 02/15/29(h)
1,093,002
503,820
 
Avaya, Inc., 2023 Exit Term Loan, 11.83% (1 mo. USD Term SOFR + 7.50%), due
08/01/28(b)
398,018
1,980,000
 
Aveanna Healthcare LLC, 2021 2nd Lien Term Loan, 11.48% (3 mo. USD Term SOFR
+ 7.00%), due 12/10/29(b)
1,950,300
1,156,996
 
Aveanna Healthcare LLC, 2021 Term Loan B, 8.18% (3 mo. USD Term SOFR +
3.75%), due 07/17/28(b)
1,135,062
430,758
 
BANGL LLC, Term Loan B, 8.79% (3 mo. USD Term SOFR + 4.50%), due 02/01/29(b)
432,912
498,750
 
Barnes Group, Inc., 2025 Term Loan B TBD, due 01/27/32(h)
500,101
726,787
 
Bausch & Lomb Corp., 2025 Term Loan B, 8.57% (1 mo. USD Term SOFR + 4.25%),
due 12/18/30(b)
728,204
765,018
 
Bausch & Lomb Corp., Term Loan TBD, due 05/10/27(h)
764,922
320,000
 
Bausch & Lomb Corporation, 2025 Term Loan B TBD, due 12/17/30(h)
321,200
687,325
 
BCP Renaissance Parent LLC, 2024 Term Loan B3, 7.30% (3 mo. USD Term SOFR +
3.00%), due 10/31/28(b)
689,760
1,097,243
 
BCPE Empire Holdings, Inc., 2025 Term Loan B TBD, due 12/11/30(h)
1,092,214
1,810,000
 
Beach Acquisition Bidco LLC, USD Term Loan B TBD, due 06/25/32(h)
1,819,805
546,133
 
Belfor Holdings, Inc., 2025 USD Term Loan B3, 7.33% (1 mo. USD Term SOFR +
3.00%), due 11/01/30(b)
547,498
1,526,156
 
Belron Finance LLC, 2024 USD Term Loan B, 7.05% (3 mo. USD Term SOFR +
2.75%), due 10/16/31(b)
1,534,740
504,107
 
Bending Spoons U.S., Inc., Term Loan B, 9.56% (1 mo. USD Term SOFR + 5.25%),
due 03/07/31(b)
508,518
341,855
 
Bending Spoons U.S., Inc., Term Loan B TBD, due 03/07/31(h)
344,846
997,487
 
BEP Intermediate Holdco LLC, Replacement Term Loan, 7.58% (1 mo. USD Term
SOFR + 3.25%), due 04/25/31(b)
1,002,475
492,701
 
Berlin Packaging LLC, 2024 Term Loan B7, 7.82% (1 mo. USD Term SOFR + 3.50%),
due 06/07/31(b)
494,895
55,921
 
Berlin Packaging LLC, 2024 Term Loan B7, 7.80% (3 mo. USD Term SOFR + 3.50%),
due 06/07/31(b)
56,170
250,000
 
Berlin Packaging LLC, 2024 Term Loan B7 TBD, due 06/07/31(h)
251,113
498,747
 
Blackhawk Network Holdings, Inc., 2025 Term Loan B TBD, due 03/12/29(h)
502,086
1,197,000
 
Boxer Parent Co., Inc., 2025 USD Term Loan B, 7.33% (3 mo. USD Term SOFR +
3.00%), due 07/30/31(b)
1,190,267
102See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
1,311,696
 
Bracket Intermediate Holding Corp., 2024 Term Loan, 8.55% (3 mo. USD Term SOFR +
4.25%), due 05/08/28(b)
1,317,639
1,094,721
 
BroadStreet Partners, Inc., 2024 Term Loan B4 TBD, due 06/13/31(h)
1,097,321
218,650
 
Brown Group Holding LLC, 2022 Incremental Term Loan B2, 6.78% (3 mo. USD Term
SOFR + 2.50%), due 07/01/31(b)
219,114
135,401
 
Brown Group Holding LLC, 2022 Incremental Term Loan B2, 6.83% (1 mo. USD Term
SOFR + 2.50%), due 07/01/31(b)
135,689
104,461
 
Brown Group Holding LLC, 2022 Incremental Term Loan B2, 6.83% (3 mo. USD Term
SOFR + 2.50%), due 07/01/31(b)
104,683
648,018
 
Caesars Entertainment, Inc., Term Loan B, 6.58% (1 mo. USD Term SOFR + 2.25%),
due 02/06/30(b)
648,524
1,000,000
 
Camelot U.S. Acquisition LLC, 2024 Term Loan B TBD, due 01/31/31(h)
990,833
1,428,000
 
Camelot U.S. Acquisition LLC, 2025 Incremental Term Loan B TBD, due 01/31/31(h)
1,425,025
1,396,382
 
Cast & Crew Payroll LLC, 2021 Incremental Term Loan, 8.08% (1 mo. USD Term
SOFR + 3.75%), due 12/29/28(b)
1,322,781
544,084
 
Central Parent, Inc., 2024 Term Loan B, 7.55% (3 mo. USD Term SOFR + 3.25%), due
07/06/29(b)
456,039
535,000
 
CFC Bidco Ltd., Term Loan B TBD, due 05/30/32(h)
533,663
150,100
 
Champ Acquisition Corp., 2024 Term Loan B TBD, due 11/25/31(h)
151,413
151,050
 
Champ Acquisition Corp., 2025 Term Loan B TBD, due 11/25/31(h)
152,466
1,095,363
 
Charlotte Buyer, Inc., 2025 Repriced Term Loan B, 8.56% (1 mo. USD Term SOFR +
4.25%), due 02/11/28(b)
1,096,391
750,000
 
Charlotte Buyer, Inc., 2025 Repriced Term Loan B TBD, due 02/11/28(h)
750,704
1,097,243
 
Chobani LLC, 2025 Repriced Term Loan B TBD, due 10/25/27(h)
1,102,729
600,000
 
Cinemark USA, Inc., 2025 Term Loan B TBD, due 05/24/30(h)
603,000
1,695,739
 
Cloud Software Group, Inc., 2024 1st Lien Term Loan B, 7.80% (3 mo. USD Term
SOFR + 3.50%), due 03/29/29(b)
1,698,787
515,000
 
Cloud Software Group, Inc., 2024 USD Term Loan TBD, due 03/21/31(h)
516,247
1,570,000
 
Clover Holdings 2 LLC, Fixed Term Loan B, 7.75% (7.75% Fixed or PIK), due
12/09/31(b)
1,587,662
380,000
 
Clover Holdings 2 LLC, Term Loan B, 8.31% (3 mo. USD Term SOFR + 4.00%), due
12/09/31(b)
381,069
776,736
 
ClubCorp Holdings, Inc., 2023 Term Loan B2, 9.56% (3 mo. USD Term SOFR +
5.00%), due 09/18/26(b)
778,354
550,000
 
Clydesdale Acquisition Holdings, Inc., Term Loan B, 7.50% (1 mo. USD Term SOFR +
3.18%), due 04/13/29(b)
549,613
1,800,000
 
Clydesdale Acquisition Holdings, Inc., Term Loan B TBD, due 04/13/29(h)
1,798,735
613,463
 
CNT Holdings I Corp., 2025 Term Loan, 6.78% (3 mo. USD Term SOFR + 2.50%), due
11/08/32(b)
615,572
1,246,875
 
Cogentrix Finance Holdco I LLC, Term Loan B, 7.08% (1 mo. USD Term SOFR +
2.75%), due 02/26/32(b)
1,250,252
850,000
 
Colossus Acquireco LLC, Term Loan B TBD, due 06/11/32(h)
845,431
503,695
 
ConnectWise LLC, 2021 Term Loan B TBD, due 09/29/28(h)
506,843
508,722
 
Conservice Midco LLC, 2025 Term Loan B, 7.33% (1 mo. USD Term SOFR + 3.00%),
due 05/13/30(b)
509,835
1,500,000
 
Coral-U.S. Co-Borrower LLC, 2021 Term Loan B6 TBD, due 10/15/29(h)
1,495,446
1,496,114
 
CoreLogic, Inc., Term Loan, 7.94% (1 mo. USD Term SOFR + 3.50%), due 06/02/28(b)
1,477,646
250,000
 
Cornerstone Building Brands, Inc., 2024 Term Loan B TBD, due 05/15/31(h)
212,813
1,097,236
 
Cotiviti Corp., 2024 Term Loan, 7.07% (1 mo. USD Term SOFR + 2.75%), due
05/01/31(b)
1,093,122
3,940,000
 
Covetrus, Inc., Term Loan TBD, due 10/13/29(h)
3,557,819
279,296
 
CPI Holdco B LLC, 2024 Term Loan TBD, due 05/19/31(h)
278,540
See accompanying Notes to the Schedule of Investments
103

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
1,097,237
 
CPPIB Capital, Inc., Term Loan B TBD, due 08/20/31(h)
1,095,866
1,610,000
 
CRC Insurance Group LLC, 2024 Term Loan B, 7.05% (3 mo. USD Term SOFR +
2.75%), due 05/06/31(b)
1,613,019
1,000,000
 
Creation Technologies, Inc., 2021 Term Loan, 10.05% (3 mo. USD Term SOFR +
5.50%), due 10/05/28(b)
987,500
779,500
 
Creative Artists Agency LLC, 2024 1st Lien Term Loan B, 7.08% (1 mo. USD Term
SOFR + 2.75%), due 10/01/31(b)
782,520
176,358
 
Creative Artists Agency LLC, 2024 1st Lien Term Loan B TBD, due 10/01/31(h)
177,042
1,496,241
 
Crisis Prevention Institute, Inc., 2024 Term Loan B, 8.30% (3 mo. USD Term SOFR +
4.00%), due 04/09/31(b)
1,499,981
250,000
 
Crisis Prevention Institute, Inc., 2024 Term Loan B TBD, due 04/09/31(h)
250,625
598,500
 
Cube Industrials Buyer, Inc., 2024 Term Loan, 7.52% (3 mo. USD Term SOFR +
3.25%), due 10/17/31(b)
602,241
1,500,000
 
Cushman & Wakefield U.S. Borrower LLC, 2025 Term Loan B1, 7.08% (1 mo. USD
Term SOFR + 2.75%), due 01/31/30(b)
1,500,000
460,000
 
Darktrace PLC, 2nd Lien Term Loan, 9.46% (3 mo. USD Term SOFR + 5.25%), due
10/09/32(b)
456,838
406,667
 
Delta 2 Lux SARL, 2024 Term Loan B1 TBD, due 09/30/31(h)
407,747
203,333
 
Delta 2 Lux SARL, 2024 Term Loan B2 TBD, due 09/30/31(h)
203,873
700,000
 
Delta TopCo, Inc., 2025 Term Loan B, 7.07% (3 mo. USD Term SOFR + 2.75%), due
11/30/29(b)
695,625
160,000
 
DG Investment Intermediate Holdings 2, Inc., 2021 2nd Lien Term Loan TBD, due
03/30/29(h)
159,400
854,999
 
Digital Room Holdings, Inc., 2021 Term Loan, 9.68% (1 mo. USD Term SOFR +
5.25%), due 12/21/28(b)
848,586
1,550,515
 
DirecTV Financing LLC, 2025 Term Loan B, 9.83% (1 mo. USD Term SOFR + 5.50%),
due 02/17/31(b)
1,488,495
1,745,603
 
Drake Software LLC, 2024 Term Loan B, 8.55% (3 mo. USD Term SOFR + 4.25%),
due 06/26/31(b)
1,733,602
527,661
 
E2open LLC, 2020 Term Loan B, 7.94% (1 mo. USD Term SOFR + 3.50%), due
02/04/28(b)
530,101
715,000
 
E2open LLC, 2020 Term Loan B TBD, due 02/04/28(h)
718,307
748,066
 
Eagle Parent Corp., 2022 Term Loan B, 8.55% (3 mo. USD Term SOFR + 4.25%), due
04/02/29(b)
740,399
515,000
 
Edelman Financial Center LLC, 2024 2nd Lien Term Loan, 9.58% (1 mo. USD Term
SOFR + 5.25%), due 10/06/28(b)
517,360
1,012,463
 
Ellucian Holdings, Inc., 2024 1st Lien Term Loan B, 7.33% (1 mo. USD Term SOFR +
3.00%), due 10/09/29(b)
1,016,787
234,440
 
Embecta Corp., Term Loan B, 7.33% (1 mo. USD Term SOFR + 3.00%), due
03/30/29(b)
233,517
651,590
 
Emerald X, Inc., 2025 Term Loan B, 8.08% (1 mo. USD Term SOFR + 3.75%), due
01/30/32(b)
656,070
349,121
 
EMRLD Borrower LP, 2024 Term Loan B, 6.83% (1 mo. USD Term SOFR + 2.50%),
due 08/04/31(b)
348,757
997,487
 
Endo Luxembourg Finance Co. I SARL, 2024 1st Lien Term Loan, 8.33% (1 mo. USD
Term SOFR + 4.00%), due 04/23/31(b)
997,955
500,000
 
Endo Luxembourg Finance Co. I SARL, 2024 1st Lien Term Loan TBD, due 04/23/31(h)
500,234
249,289
 
EnergySolutions LLC, 2023 Term Loan B, 7.58% (1 mo. USD Term SOFR + 3.25%),
due 09/20/30(b)
251,158
1,250,000
 
EnergySolutions LLC, 2023 Term Loan B TBD, due 09/20/30(h)
1,259,375
3,310,000
 
Engineered Machinery Holdings, Inc., 2021 USD 2nd Lien Term Loan, 10.56% (3 mo.
USD Term SOFR + 6.00%), due 05/21/29(b)
3,252,075
104See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
1,416,414
 
Ensemble RCM LLC, 2024 Term Loan B, 7.28% (3 mo. USD Term SOFR + 3.00%),
due 08/01/29(b)
1,423,496
2,229,835
 
Ensono LP, 2021 Term Loan, 8.44% (1 mo. USD Term SOFR + 4.00%), due 05/26/28(b)
2,234,248
205,000
 
Ensono LP, 2025 Add-on Term Loan B TBD, due 05/26/28(h)
203,463
598,624
 
Enviva Partners LP, 2024 Backstop Term Loan TBD, due 08/30/29(h)
605,736
698,196
 
EP Purchaser LLC, 2021 Term Loan B, 8.06% (3 mo. USD Term SOFR + 3.50%), due
11/06/28(b)
687,432
600,000
 
EPIC Crude Services LP, 2024 Term Loan B TBD, due 10/15/31(h)
602,750
1,012,450
 
Epicor Software Corp., 2024 Term Loan E, 7.08% (1 mo. USD Term SOFR + 2.75%),
due 05/30/31(b)
1,015,895
1,750,000
 
Evergreen Acqco 1 LP, 2021 USD Term Loan TBD, due 04/26/28(h)
1,751,641
99,750
 
EW Scripps Co., 2025 Term Loan B2, 10.18% (1 mo. USD Term SOFR + 5.75%), due
06/30/28(b)
96,758
99,750
 
EW Scripps Co., 2025 Term Loan B3, 7.78% (1 mo. USD Term SOFR + 3.35%), due
11/30/29(b)
92,019
1,200,000
 
Fertitta Entertainment LLC, 2022 Term Loan B TBD, due 01/27/29(h)
1,200,137
1,336,765
 
First Student Bidco, Inc., 2024 1st Lien Term Loan B, 6.80% (3 mo. USD Term SOFR
+ 2.50%), due 07/21/28(b)
1,338,994
689,388
 
First Student Bidco, Inc., 2024 1st Lien Term Loan B TBD, due 07/21/28(h)
690,537
409,884
 
First Student Bidco, Inc., 2024 Term Loan C, 6.80% (3 mo. USD Term SOFR + 2.50%),
due 07/21/28(b)
410,568
210,612
 
First Student Bidco, Inc., 2024 Term Loan C TBD, due 07/21/28(h)
210,963
797,922
 
Fluid-Flow Products, Inc., 2025 Term Loan B TBD, due 03/31/28(h)
799,418
175,000
 
Flutter Financing BV, 2025 Term Loan B, 6.30% (3 mo. USD Term SOFR + 2.00%),
due 06/04/32(b)
175,438
850,000
 
Forest City Enterprises LP, 2019 Term Loan B, 7.94% (1 mo. USD Term SOFR +
3.50%), due 12/08/25(b)
826,200
1,240,000
 
Formulations Parent Corp., 2025 Term Loan B, 8.21% (3 mo. USD Term SOFR +
4.00%), due 04/09/32(b)
1,246,200
600,000
 
Fortis 333, Inc., USD Term Loan B, 7.80% (3 mo. USD Term SOFR + 3.50%), due
03/29/32(b)
600,563
848,116
 
Fortress Intermediate 3, Inc., 2025 Term Loan B TBD, due 06/27/31(h)
851,296
1,869,000
 
Foundation Building Materials Holding Co. LLC, 2025 Term Loan, 9.55% (3 mo. USD
Term SOFR + 5.25%), due 01/29/31(b)
1,842,133
765,215
 
Freeport LNG Investments LLLP, Term Loan A, 7.53% (3 mo. USD Term SOFR +
3.00%), due 11/16/26(b)
764,737
251,935
 
Freeport LNG Investments LLLP, Term Loan A TBD, due 11/16/26(h)
251,777
1,246,875
 
Fugue Finance BV, 2025 Term Loan B, 7.58% (3 mo. USD Term SOFR + 3.25%), due
01/09/32(b)
1,255,253
360,000
 
Fugue Finance LLC, 2025 Add-on Term Loan TBD, due 01/09/32(h)
362,588
2,259,086
 
Gainwell Acquisition Corp., Term Loan B, 8.40% (3 mo. USD Term SOFR + 4.00%),
due 10/01/27(b)
2,174,370
555,208
 
GC Ferry Acquisition I, Inc., Term Loan TBD, due 06/04/32(h)
546,794
368,000
 
GEO Group, Inc., 2024 Term Loan B TBD, due 04/13/29(h)
370,185
1,100,000
 
GFL Environmental, Inc., 2025 Term Loan B, 6.82% (3 mo. USD Term SOFR +
2.50%), due 03/03/32(b)
1,102,062
2,322,053
 
Global Medical Response, Inc., 2024 PIK Term Loan TBD, due 10/31/28(h)
2,328,274
1,246,867
 
GoodRx, Inc., 2024 USD Term Loan B, 8.08% (1 mo. USD Term SOFR + 3.75%), due
07/10/29(b)
1,251,543
250,000
 
GoodRx, Inc., 2024 USD Term Loan B TBD, due 07/10/29(h)
250,937
349,123
 
Great Outdoors Group LLC, 2025 Term Loan B, 7.58% (1 mo. USD Term SOFR +
3.25%), due 01/23/32(b)
348,163
See accompanying Notes to the Schedule of Investments
105

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
1,060,000
 
Gryphon Debt Merger Sub, Inc., Term Loan B TBD, due 06/18/32(h)
1,061,108
1,000,000
 
Hamilton Projects Acquiror LLC, 2024 Term Loan B TBD, due 05/31/31(h)
1,003,333
349,125
 
Hanesbrands, Inc., 2025 Term Loan B TBD, due 03/07/32(h)
350,216
2,663,258
 
Heartland Dental LLC, 2024 Term Loan, 8.83% (1 mo. USD Term SOFR + 4.50%), due
04/28/28(b)
2,668,728
1,022,431
 
Help At Home, Inc., 2024 Term Loan B, 9.33% (1 mo. USD Term SOFR + 5.00%), due
09/24/31(b)
996,551
500,000
 
Help At Home, Inc., 2024 Term Loan B TBD, due 09/24/31(h)
487,344
100,000
 
Herschend Entertainment Co. LLC, 2025 Term Loan B, 7.57% (1 mo. USD Term SOFR
+ 3.25%), due 05/27/32(b)
100,844
600,000
 
Hightower Holding LLC, 2025 Term Loan B, 7.26% (3 mo. USD Term SOFR + 3.00%),
due 02/03/32(b)
597,750
1,378,513
 
HUB International Ltd., 2025 Term Loan B, 6.77% (3 mo. USD Term SOFR + 2.50%),
due 06/20/30(b)
1,383,682
317,450
 
II-VI, Inc., 2024 1st Lien Term Loan B, 6.33% (1 mo. USD Term SOFR + 2.00%), due
07/02/29(b)
317,847
1,496,212
 
Imagine Learning LLC, Term Loan, 7.83% (1 mo. USD Term SOFR + 3.50%), due
12/21/29(b)
1,461,612
100,000
 
Imagine Learning LLC, Term Loan TBD, due 12/21/29(h)
97,687
1,489,000
 
IMC Global Holdings LLC, Term Loan B, 7.81% (1 mo. USD Term SOFR + 3.50%),
due 06/02/32(b)
1,500,167
1,000,000
 
Imperative Worldwide LLC, 2021 Term Loan TBD, due 12/29/28(h)
985,000
1,645,780
 
Infinite Bidco LLC, 1st Lien Term Loan, 8.29% (3 mo. USD Term SOFR + 3.75%), due
03/02/28(b)
1,563,491
1,339,469
 
Infinite Bidco LLC, 2023 Incremental Term Loan, 10.57% (3 mo. USD Term SOFR +
6.25%), due 03/02/28(b)
1,305,982
598,454
 
Informatica LLC, 2024 Term Loan B, 6.58% (1 mo. USD Term SOFR + 2.25%), due
10/27/28(b)
601,259
259,981
 
Instructure Holdings, Inc., 2024 2nd Lien Term Loan, 9.21% (6 mo. USD Term SOFR +
5.00%), due 11/12/32(b)
262,987
1,880,000
 
International Entertainment JJCO 3 Ltd., USD Term Loan B TBD, due 04/29/32(h)
1,889,400
1,496,241
 
IRB Holding Corp., 2024 1st Lien Term Loan B, 6.83% (1 mo. USD Term SOFR +
2.50%), due 12/15/27(b)
1,497,903
1,282,500
 
Janney Montgomery Scott LLC, Term Loan, 7.47% (6 mo. USD Term SOFR + 3.25%),
due 11/28/31(b)
1,289,113
1,246,867
 
Jefferies Finance LLC, 2024 Term Loan, 7.32% (1 mo. USD Term SOFR + 3.00%), due
10/21/31(b)
1,250,764
498,747
 
Jefferies Finance LLC, 2024 Term Loan TBD, due 10/21/31(h)
500,305
598,492
 
JetBlue Airways Corporation, 2024 Term Loan B, 9.07% (3 mo. USD Term SOFR +
4.75%), due 08/27/29(b)
562,957
1,501,237
 
Jump Financial LLC, 2025 Term Loan B, 8.55% (3 mo. USD Term SOFR + 4.25%),
due 02/26/32(b)
1,506,867
598,500
 
Kaseya, Inc., 2025 1st Lien Term Loan B, 7.58% (1 mo. USD Term SOFR + 3.25%),
due 03/20/32(b)
601,679
1,530,000
 
Kaseya, Inc., 2025 2nd Lien Term Loan B, 9.33% (1 mo. USD Term SOFR + 5.00%),
due 03/18/33(b)
1,534,781
70,000
 
Kaseya, Inc., 2025 2nd Lien Term Loan B TBD, due 03/18/33(h)
70,219
790,000
 
Kohler Energy Co. LLC, USD Term Loan B, 8.05% (3 mo. USD Term SOFR + 3.75%),
due 05/01/31(b)
790,494
1,000,000
 
Kohler Energy Co. LLC, USD Term Loan B TBD, due 05/01/31(h)
1,000,625
354,083
 
LABL, Inc., 2021 USD 1st Lien Term Loan, 9.43% (1 mo. USD Term SOFR + 5.00%),
due 10/30/28(b)
320,755
106See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
1,246,770
 
Lakeshore Intermediate LLC, Term Loan, 7.94% (1 mo. USD Term SOFR + 3.50%),
due 09/29/28(b)
991,182
349,118
 
LBM Acquisition LLC, 2024 Incremental Term Loan B, 8.16% (1 mo. USD Term SOFR
+ 3.75%), due 06/06/31(b)
327,473
1,196,985
 
LC AHAB U.S. Bidco LLC, Term Loan B, 7.33% (1 mo. USD Term SOFR + 3.00%),
due 05/01/31(b)
1,195,489
79,216
 
Lereta LLC, Term Loan B TBD, due 07/30/28(h)
70,370
1,496,241
 
LifePoint Health, Inc., 2024 Incremental Term Loan B1, 7.82% (3 mo. USD Term SOFR
+ 3.50%), due 05/19/31(b)
1,477,630
250,000
 
LifePoint Health, Inc., 2024 Incremental Term Loan B1 TBD, due 05/19/31(h)
246,891
498,747
 
Liquid Tech Solutions LLC, 2024 Repriced Term Loan B, 8.08% (1 mo. USD Term
SOFR + 3.75%), due 03/19/28(b)
499,994
1,000,000
 
Liquid Tech Solutions LLC, 2024 Repriced Term Loan B TBD, due 03/19/28(h)
1,002,500
1,550,000
 
Lonza Group AG, USD Term Loan B TBD, due 07/03/28(h)
1,424,062
1,521,187
 
LSCS Holdings, Inc., 2025 Term Loan, 8.80% (3 mo. USD Term SOFR + 4.50%), due
03/04/32(b)
1,495,517
725,000
 
LSF12 Crown U.S. Commercial Bidco LLC, Term Loan B, 8.57% (1 mo. USD Term
SOFR + 4.25%), due 12/02/31(b)
729,757
2,200,000
 
M6 ETX Holdings II Midco LLC, 2025 Term Loan B, 7.33% (1 mo. USD Term SOFR
+ 3.00%), due 04/01/32(b)
2,210,175
1,143,940
 
Madison IAQ, LLC, Term Loan, 6.76% (6 mo. USD Term SOFR + 2.50%), due
06/21/28(b)
1,146,514
510,000
 
MajorDrive Holdings IV LLC, Term Loan B, 8.56% (3 mo. USD Term SOFR + 4.00%),
due 06/01/28(b)
501,202
1,218,675
 
MajorDrive Holdings IV LLC, Term Loan B TBD, due 06/01/28(h)
1,197,653
284,587
 
Maravai Intermediate Holdings, LLC, 2022 Term Loan B, 7.27% (3 mo. USD Term
SOFR + 3.00%), due 10/19/27(b)
271,425
2,100,000
 
McAfee, LLC, 2024 USD 1st Lien Term Loan B, 7.32% (1 mo. USD Term SOFR +
3.00%), due 03/01/29(b)
2,037,876
894,737
 
McAfee, LLC, 2024 USD 1st Lien Term Loan B TBD, due 03/01/29(h)
868,268
1,021,483
 
MDVIP, Inc., 2024 Repriced Term Loan B, 7.08% (1 mo. USD Term SOFR + 2.75%),
due 10/16/28(b)
1,022,279
1,416,432
 
Medline Borrower LP, 2024 USD Add-on Term Loan B, 6.58% (1 mo. USD Term SOFR
+ 2.25%), due 10/23/28(b)
1,418,092
315,789
EUR
Mermaid Bidco, Inc., 2024 EUR Term Loan B TBD, due 07/03/31(h)
372,079
2,180,000
 
MH Sub I LLC, 2021 2nd Lien Term Loan, 10.58% (1 mo. USD Term SOFR + 6.25%),
due 02/23/29(b)
1,927,255
1,100,000
 
MH Sub I LLC, 2023 Term Loan TBD, due 05/03/28(h)
1,031,388
723,183
 
MH Sub I LLC, 2024 Term Loan B4, 8.58% (1 mo. USD Term SOFR + 4.25%), due
12/31/31(b)
630,525
324,154
 
Midwest Physician Administrative Services LLC, 2021 Term Loan, 7.56% (3 mo. USD
Term SOFR + 3.00%), due 03/12/28(b)
303,286
1,250,000
 
Midwest Physician Administrative Services LLC, 2021 Term Loan TBD, due 03/12/28(h)
1,169,531
525,928
 
MKS, Inc., 2025 USD Repriced Term Loan, 6.32% (1 mo. USD Term SOFR + 2.00%),
due 08/17/29(b)
527,681
160,965
 
National Mentor Holdings, Inc., 2021 Term Loan, 8.15% (3 mo. USD Term SOFR +
3.75%), due 03/02/28(b)
155,868
711,352
 
National Mentor Holdings, Inc., 2021 Term Loan, 8.18% (1 mo. USD Term SOFR +
3.75%), due 03/02/28(b)
688,826
25,405
 
National Mentor Holdings, Inc., 2021 Term Loan C, 8.15% (3 mo. USD Term SOFR +
3.75%), due 03/02/28(b)
24,601
340,439
 
NEP Group, Inc., 2023 Incremental Term Loan B, 8.60% (3 mo. USD Term SOFR +
4.00%, 1.50% PIK), due 08/19/26(b)
311,502
See accompanying Notes to the Schedule of Investments
107

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
749,999
 
NEP Group, Inc., 2023 Term Loan B, 7.84% (3 mo. USD Term SOFR + 3.25%, 1.50%
PIK), due 08/19/26(b)
688,124
250,000
 
NEP Group, Inc., 2023 Term Loan B TBD, due 08/19/26(h)
229,375
548,625
 
Nexus Buyer LLC, 2025 Term Loan B, 7.83% (1 mo. USD Term SOFR + 0.04%), due
07/31/31(b)
550,568
1,496,250
 
Nexus Buyer LLC, 2025 Term Loan B TBD, due 07/31/31(h)
1,501,550
748,106
 
NGL Energy Partners LP, 2024 Term Loan B, 8.08% (1 mo. USD Term SOFR +
3.75%), due 02/03/31(b)
742,846
350,000
 
NGL Energy Partners LP, 2024 Term Loan B TBD, due 02/03/31(h)
347,539
1,416,667
EUR
Nidda Healthcare Holding AG, 2024 EUR Term Loan B2 TBD, due 02/21/30(h)
1,668,150
400,000
 
OID-OL Intermediate I LLC, Term Loan 1, 10.33% (3 mo. USD Term SOFR + 6.00%),
due 02/01/29(b)
411,250
500,000
 
OID-OL Intermediate I LLC, Term Loan 2, 8.73% (3 mo. USD Term SOFR + 4.25%),
due 02/01/29(b)
419,583
525,000
 
Opal Bidco SAS, USD Term Loan B TBD, due 04/28/32(h)
527,494
1,645,865
 
Oryx Midstream Services Permian Basin LLC, 2025 Term Loan B, 6.57% (1 mo. USD
Term SOFR + 2.25%), due 10/05/28(b)
1,647,335
633,405
 
Outcomes Group Holdings, Inc., 2024 Term Loan B, 8.08% (1 mo. USD Term SOFR +
3.75%), due 05/06/31(b)
637,918
1,250,000
 
Owens & Minor, Inc., 2025 Term Loan B TBD, due 04/02/30(h)
1,248,437
548,586
 
Penn Entertainment, Inc., 2022 Term Loan B, 6.83% (1 mo. USD Term SOFR + 2.50%),
due 05/03/29(b)
549,786
760,000
 
Performance Health & Wellness, 2025 Term Loan B, 7.95% (3 mo. USD Term SOFR +
3.75%), due 03/19/32(b)
741,000
20,000
 
Performance Health & Wellness, 2025 Term Loan B TBD, due 03/19/32(h)
19,500
800,000
 
PHRG Intermediate LLC, 2025 Term Loan B, 8.33% (3 mo. USD Term SOFR +
4.00%), due 02/20/32(b)
792,500
50,000
 
PHRG Intermediate LLC, 2025 Term Loan B TBD, due 02/20/32(h)
49,531
748,125
 
Plano HoldCo, Inc., Term Loan B, 7.80% (3 mo. USD Term SOFR + 3.50%), due
10/02/31(b)
749,995
450,000
 
Pluto Acquisition I, Inc., 2024 First Out Superpriority Term Loan, 9.82% (3 mo. USD
Term SOFR + 5.50%), due 06/20/28(b)
456,750
643,383
 
PointClickCare Technologies, Inc., 2024 USD Term Loan B, 7.42% (6 mo. USD Term
SOFR + 3.25%), due 11/03/31(b)
647,405
1,994,819
 
Polaris Newco LLC, USD Term Loan B, 8.29% (3 mo. USD Term SOFR + 3.75%), due
06/02/28(b)
1,947,799
408,970
 
Prairie ECI Acquiror LP, 2024 Term Loan B, 8.58% (1 mo. USD Term SOFR + 4.25%),
due 08/01/29(b)
412,037
703,015
 
Pregis TopCo Corp., 2025 Refinancing Term Loan, 8.33% (1 mo. USD Term SOFR +
4.00%), due 02/01/29(b)
705,915
1,496,241
 
Pre-Paid Legal Services, Inc., 2021 Term Loan, 7.58% (1 mo. USD Term SOFR +
3.25%), due 12/15/28(b)
1,490,443
1,415,000
 
Primary Products Finance LLC, 2024 1st Lien Term Loan B TBD, due 04/01/29(h)
1,410,578
1,000,000
 
Project Castle, Inc., Term Loan B TBD, due 06/01/29(h)
795,000
1,146,573
 
Project Ruby Ultimate Parent Corp., 2024 Term Loan B, 7.44% (1 mo. USD Term
SOFR + 3.00%), due 03/10/28(b)
1,149,201
201,681
 
Project Ruby Ultimate Parent Corp., 2024 Term Loan B TBD, due 03/10/28(h)
202,143
1,211,000
 
Prometric Holdings, Inc., 2025 Term Loan B TBD, due 06/18/32(h)
1,214,216
907,702
 
Proofpoint, Inc., 2024 Term Loan, 7.33% (1 mo. USD Term SOFR + 3.00%), due
08/31/28(b)
909,830
1,100,000
 
Proofpoint, Inc., 2024 Term Loan TBD, due 08/31/28(h)
1,102,578
70,171
 
Proofpoint, Inc., 2025 Fungible Term Loan TBD, due 08/31/28(h)
70,297
108See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
1,496,241
 
PushPay USA, Inc., 2025 Term Loan, 8.30% (3 mo. USD Term SOFR + 4.00%), due
08/15/31(b)
1,495,305
1,745,625
 
Quikrete Holdings, Inc., 2025 Term Loan B, 6.58% (1 mo. USD Term SOFR + 2.25%),
due 02/10/32(b)
1,745,313
1,000,000
EUR
Quimper AB, 2024 EUR Term Loan B TBD, due 03/29/30(h)
1,173,535
756
 
Radnet Management, Inc., 2024 1st Lien Term Loan B, 6.58% (3 mo. USD Term SOFR
+ 2.25%), due 04/18/31(b)
757
897,668
 
RealPage, Inc, 1st Lien Term Loan, 7.56% (3 mo. USD Term SOFR + 3.00%), due
04/24/28(b)
892,806
1,097,150
 
RealPage, Inc, 1st Lien Term Loan TBD, due 04/24/28(h)
1,091,207
408,932
 
RealTruck Group, Inc., 2021 Term Loan B, 8.19% (1 mo. USD Term SOFR + 3.75%),
due 01/31/28(b)
367,698
1,496,231
 
Resonetics LLC, 2024 Term Loan B, 7.57% (3 mo. USD Term SOFR + 3.25%), due
06/18/31(b)
1,499,037
1,246,787
 
Rinchem Co., Inc., Term Loan, 8.65% (3 mo. USD Term SOFR + 4.25%), due
03/02/29(b)
824,958
548,618
 
Rocket Software, Inc., 2023 USD Term Loan B TBD, due 11/28/28(h)
550,504
1,496,241
 
Rockpoint Gas Storage Partners LP, 2025 Term Loan B TBD, due 09/18/31(h)
1,503,411
237,500
 
Sandisk Corp., Term Loan B, 7.32% (3 mo. USD Term SOFR + 3.00%), due 02/20/32(b)
236,238
32,871
 
SCIH Salt Holdings, Inc., 2021 Incremental Term Loan B, 7.32% (3 mo. USD Term
SOFR + 3.00%), due 01/31/29(b)
32,922
161,806
 
SCIH Salt Holdings, Inc., 2021 Incremental Term Loan B, 7.28% (3 mo. USD Term
SOFR + 3.00%), due 01/31/29(b)
162,059
1,217,333
 
Secretariat Advisors LLC, 2025 Term Loan B TBD, due 02/28/32(h)
1,220,377
710,000
 
Sedgwick Claims Management Services, Inc., 2023 Term Loan B TBD, due 07/31/31(h)
713,254
1,012,456
 
Service Logic Acquisition, Inc., 2025 Repriced Term Loan B, 7.28% (3 mo. USD Term
SOFR + 3.00%), due 10/29/27(b)
1,014,987
3,271,759
 
Sharp Services LLC, 2024 Term Loan B, 7.55% (3 mo. USD Term SOFR + 3.25%), due
12/31/28(b)
3,286,073
165,000
 
Shift4 Payments LLC, 2025 Term Loan TBD, due 05/07/32(h)
166,469
748,111
 
Six Flags Entertainment Corp., 2024 Term Loan B TBD, due 05/01/31(h)
749,864
997,500
 
SMX Group LLC, Term Loan, 8.80% (3 mo. USD Term SOFR + 4.50%), due
02/06/32(b)
1,000,617
750,000
 
SMX Group LLC, Term Loan TBD, due 02/06/32(h)
752,344
314,213
 
Somnigroup International, Inc., Term Loan B TBD, due 10/24/31(h)
315,293
847,809
 
Specialty Building Products Holdings LLC, 2021 Term Loan B, 8.18% (1 mo. USD
Term SOFR + 3.75%), due 10/15/28(b)
813,897
2,044,823
 
Star Parent Inc., Term Loan B, 8.30% (3 mo. USD Term SOFR + 4.00%), due
09/27/30(b)
2,026,420
597,222
 
Star Parent Inc., Term Loan B TBD, due 09/27/30(h)
591,847
93,333
 
Student Transportation of America Holdings, Inc., Term Loan B TBD, due 06/10/32(h)
93,606
750,000
 
Teneo Holdings LLC, 2024 Term Loan B TBD, due 03/13/31(h)
757,734
1,496,222
 
Thermostat Purchaser III, Inc., 2024 Term Loan B, 8.55% (3 mo. USD Term SOFR +
4.25%), due 08/31/28(b)
1,499,962
545,455
EUR
Thyme Holdco SARL, 2025 EUR Term Loan B TBD, due 06/27/32(h)
643,083
1,246,875
 
Tidal Waste & Recycling Holdings LLC, Term Loan B, 7.30% (3 mo. USD Term SOFR
+ 3.00%), due 10/24/31(b)
1,254,668
1,343,633
 
TKC Holdings, Inc., 2024 Term Loan, 9.32% (1 mo. USD Term SOFR + 5.00%), due
05/15/28(b)
1,346,152
1,450,875
 
Townsquare Media, Inc., 2025 Term Loan, 9.32% (3 mo. USD Term SOFR + 5.00%),
due 02/19/30(b)
1,313,042
190,000
 
Townsquare Media, Inc., 2025 Term Loan TBD, due 02/19/30(h)
171,950
See accompanying Notes to the Schedule of Investments
109

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
648,363
 
TransDigm, Inc., 2023 Term Loan J, 6.80% (3 mo. USD Term SOFR + 2.50%), due
02/28/31(b)
649,984
2,300,000
 
TransDigm, Inc., 2024 Term Loan K TBD, due 03/22/30(h)
2,310,679
715,000
 
Traverse Midstream Partners LLC, 2017 Term Loan, 7.28% (3 mo. USD Term SOFR +
3.00%), due 02/16/28(b)
717,681
1,231,905
 
Trident TPI Holdings, Inc., 2024 Term Loan B7, 8.05% (3 mo. USD Term SOFR +
3.75%), due 09/15/28(b)
1,212,194
100,000
 
Trucordia Insurance Holdings LLC, Term Loan B, 7.56% (1 mo. USD Term SOFR +
3.25%), due 06/14/32(b)
100,313
997,389
 
TruGreen LP, 2020 Term Loan, 8.43% (1 mo. USD Term SOFR + 4.00%), due
11/02/27(b)
944,610
2,200,000
 
Twitter, Inc., 2025 Fixed Term Loan TBD, due 10/26/29(h)
2,141,700
2,792,875
 
U.S. Renal Care, Inc., 2023 Superpriority Term Loan, 9.44% (1 mo. USD Term SOFR +
5.00%), due 06/20/28(b)
2,648,576
548,622
 
UFC Holdings, LLC, 2024 Term Loan B, 6.57% (3 mo. USD Term SOFR + 0.02%), due
11/21/31(b)
551,262
505,000
 
UFC Holdings, LLC, 2024 Term Loan B TBD, due 11/21/31(h)
507,431
1,498,992
 
UKG, Inc., 2024 Term Loan B TBD, due 02/10/31(h)
1,505,862
900,000
 
United Talent Agency LLC, 2025 Term Loan B, 7.81% (1 mo. USD Term SOFR +
3.50%), due 06/10/32(b)
902,250
920,000
 
United Talent Agency LLC, 2025 Term Loan B TBD, due 06/10/32(h)
922,300
1,246,851
 
Univision Communications Inc., 2024 Term Loan B, 7.94% (1 mo. USD Term SOFR +
3.50%), due 01/31/29(b)
1,226,979
249,357
 
Univision Communications, Inc., 2022 First Lien Term Loan B, 8.55% (3 mo. USD
Term SOFR + 4.25%), due 06/24/29(b)
250,292
1,130,348
 
USALCO LLC, 2024 Term Loan B, 8.33% (1 mo. USD Term SOFR + 4.00%), due
09/30/31(b)
1,137,413
226,595
 
USALCO LLC, 2024 Term Loan B TBD, due 09/30/31(h)
228,012
1,100,000
 
USI, Inc., 2024 Term Loan C TBD, due 09/29/30(h)
1,098,568
797,990
 
USI, Inc., 2024 Term Loan D, 6.55% (3 mo. USD Term SOFR + 2.25%), due
11/21/29(b)
797,408
325,000
 
Valvoline, Inc., Term Loan B TBD, due 03/19/32(h)
326,422
492,530
 
Van Pool Transportation LLC, 2025 Term Loan TBD, due 06/17/30(h)
492,736
500,000
 
Verifone Systems, Inc., 2025 Term Loan TBD, due 08/18/28(h)
469,479
1,246,867
 
Viant Medical Holdings, Inc., 2024 Term Loan B, 8.33% (1 mo. USD Term SOFR +
4.00%), due 10/29/31(b)
1,236,542
500,000
 
Viant Medical Holdings, Inc., 2024 Term Loan B TBD, due 10/29/31(h)
495,859
748,067
 
Victory Buyer LLC, Term Loan, 8.19% (1 mo. USD Term SOFR + 3.75%), due
11/19/28(b)
740,586
1,400,000
 
Virgin Media Bristol LLC, 2020 USD Term Loan Q TBD, due 01/31/29(h)
1,389,609
1,000,000
EUR
Vita Bidco Ltd., EUR Term Loan B TBD, due 09/29/31(h)
1,178,251
1,750,000
 
Voyager Parent LLC, Term Loan B TBD, due 05/09/32(h)
1,733,907
498,705
 
Wand NewCo 3, Inc., 2025 Repriced Term Loan B, 6.83% (1 mo. USD Term SOFR +
2.50%), due 01/30/31(b)
496,679
670,000
 
Wasserman Media Group LLC, Term Loan B, 7.32% (1 mo. USD Term SOFR +
3.00%), due 06/11/32(b)
671,675
145,000
 
Wasserman Media Group LLC, Term Loan B TBD, due 06/11/32(h)
145,363
700,000
 
WCG Intermediate Corp., 2025 Term Loan B TBD, due 02/25/32(h)
693,948
1,745,603
 
WeddingWire, Inc., 2024 Term Loan B, 8.08% (1 mo. USD Term SOFR + 3.75%), due
01/31/28(b)
1,743,421
398,995
 
WEX, Inc., 2024 Term Loan B2, 6.08% (1 mo. USD Term SOFR + 1.75%), due
03/31/28(b)
399,369
110See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
1,097,243
 
Whatabrands LLC, 2024 1st Lien Term Loan B, 6.83% (1 mo. USD Term SOFR +
2.50%), due 08/03/28(b)
1,098,683
1,400,000
 
White Cap Buyer LLC, 2024 Term Loan B, 7.58% (1 mo. USD Term SOFR + 3.25%),
due 10/19/29(b)
1,392,805
200,000
 
WhiteWater Matterhorn Holdings LLC, 2025 Term Loan B, 6.57% (3 mo. USD Term
SOFR + 2.25%), due 06/16/32(b)
200,156
693,254
 
WideOpenWest Finance LLC, 2024 Super Priority 1st Out New Money Term Loan,
11.50% (3 mo. USD Term SOFR + 7.00%), due 12/11/28(b)
712,318
320,000
 
Wilsonart LLC, 2024 Term Loan B TBD, due 08/05/31(h)
314,857
1,246,843
 
Wrench Group LLC, 2019 Term Loan B, 8.56% (3 mo. USD Term SOFR + 4.00%), due
10/30/28(b)
1,244,115
250,000
 
Wrench Group LLC, 2019 Term Loan B TBD, due 10/30/28(h)
249,453
555,000
 
Zayo Group Holdings, Inc., USD Term Loan TBD, due 03/09/27(h)
529,747
1,000,000
 
Zest Acquisition Corp., 2023 Term Loan TBD, due 02/08/28(h)
1,000,000
 
 
299,914,780
 
Convertible Debt — 0.8%
900,000
 
Alarm.com Holdings, Inc., 2.25%, due 06/01/29
875,298
658,000
 
Carnival Corp., 5.75%, due 12/01/27
1,448,916
165,000
 
Cloudflare, Inc., due 08/15/26(j)
195,500
841,000
 
Cloudflare, Inc., due 06/15/30(j) 144A
909,541
316,000
 
Coinbase Global, Inc., 0.25%, due 04/01/30
414,118
300,000
 
CyberArk Software Ltd., due 06/15/30(j) 144A
309,000
128,000
 
DraftKings Holdings, Inc., 4.38%, due 03/15/28(k)
115,136
555,000
 
Duke Energy Corp., 4.13%, due 04/15/26
587,884
225,000
 
Enphase Energy, Inc., 6.22%, due 03/01/28(k)(l)
183,038
700,000
 
Federal Realty OP LP, 3.25%, due 01/15/29 144A
697,200
670,000
 
Fluor Corp., 1.13%, due 08/15/29
879,877
665,000
 
Guidewire Software, Inc., 1.25%, due 11/01/29 144A
785,698
300,000
 
JD.com, Inc., 0.25%, due 06/01/29
313,650
82,000
 
MakeMyTrip Ltd., due 07/01/30(j) 144A
87,596
1,000,000
EUR
Mitsubishi UFJ Investor Services & Banking Luxembourg SA, Series PRX, 6.54%, (3
mo. EURIBOR + 4.50%), due 12/15/50(b)
690,269
475,000
 
NextEra Energy Capital Holdings, Inc., 3.00%, due 03/01/27
541,263
600,000
 
Qiagen NV, 2.50%, due 09/10/31(f)
638,723
500,000
 
Rexford Industrial Realty LP, 4.13%, due 03/15/29(l) 144A
489,750
387,000
 
Seagate HDD Cayman, 3.50%, due 06/01/28
696,745
475,000
 
Spotify USA, Inc., due 03/15/26(j)
720,765
55,000
 
Tyler Technologies, Inc., 0.25%, due 03/15/26
67,870
825,000
 
Uber Technologies, Inc., Series 2028, 0.88%, due 12/01/28
1,180,987
320,000
 
WEC Energy Group, Inc., 3.38%, due 06/01/28 144A
320,880
400,000
 
WEC Energy Group, Inc., 4.38%, due 06/01/29
462,600
525,000
 
Welltower OP LLC, 2.75%, due 05/15/28 144A
856,013
 
 
14,468,317
 
Corporate Debt — 37.6%
1,200,000
 
1011778 BC ULC/New Red Finance, Inc., 3.88%, due 01/15/28 144A
1,169,980
1,900,000
 
1011778 BC ULC/New Red Finance, Inc., 4.00%, due 10/15/30 144A
1,772,545
1,012,000
 
1011778 BC ULC/New Red Finance, Inc., 5.63%, due 09/15/29 144A
1,027,557
780,000
 
1261229 BC Ltd., 10.00%, due 04/15/32 144A
787,402
See accompanying Notes to the Schedule of Investments
111

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
300,000
EUR
Abanca Corp. Bancaria SA, 4.63% (5 yr. EURIBOR ICE Swap + 2.45%), due
12/11/36(b)(f)
359,461
170,000
 
Acadia Healthcare Co., Inc., 5.00%, due 04/15/29 144A
165,022
3,900,000
 
Acadia Healthcare Co., Inc., 7.38%, due 03/15/33(l) 144A
4,022,780
240,000
 
ACCO Brands Corp., 4.25%, due 03/15/29 144A
212,525
500,000
 
Acrisure LLC/Acrisure Finance, Inc., 4.25%, due 02/15/29 144A
480,221
45,000
 
Acrisure LLC/Acrisure Finance, Inc., 6.75%, due 07/01/32 144A
45,677
500,000
 
Acrisure LLC/Acrisure Finance, Inc., 7.50%, due 11/06/30 144A
516,842
285,000
 
Acrisure LLC/Acrisure Finance, Inc., 8.25%, due 02/01/29 144A
295,145
1,045,000
 
Acrisure LLC/Acrisure Finance, Inc., 8.50%, due 06/15/29 144A
1,090,520
765,000
 
Adani Electricity Mumbai Ltd., 3.87%, due 07/22/31(f)
656,669
200,000
 
Adani Ports & Special Economic Zone Ltd., 4.00%, due 07/30/27(f)
193,757
285,000
 
Adtalem Global Education, Inc., 5.50%, due 03/01/28 144A
282,871
10,000
 
Advanced Drainage Systems, Inc., 5.00%, due 09/30/27 144A
9,928
625,000
 
Aegea Finance SARL, 6.75%, due 05/20/29(f)
625,393
730,000
 
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.30%, due 01/30/32
661,782
1,415,961
 
AES Panama Generation Holdings SRL, 4.38%, due 05/31/30(f)
1,297,431
2,405,000
 
Africell Holding Ltd., 10.50%, due 10/23/29(l) 144A
2,346,869
1,155,000
 
Africell Holding Ltd., 10.50%, due 10/23/29(f)
1,127,449
846,000
 
Ahead DB Holdings LLC, 6.63%, due 05/01/28(l) 144A
849,159
800,000
 
Ahli Bank QSC, 4.00% (5 yr. CMT + 3.45%)(b)(f)(m)
784,830
600,000
 
Ahlstrom Holding 3 OYJ, 4.88%, due 02/04/28(l) 144A
573,058
210,000
 
AIB Group PLC, 5.32% (SOFR + 1.65%), due 05/15/31(b) 144A
213,754
173,000
 
Aircastle Ltd., 5.25% (5 yr. CMT + 4.41%)(b)(m) 144A
171,668
1,760,000
 
AL Candelaria -spain- SA, 5.75%, due 06/15/33(f)
1,494,856
900,000
EUR
Albion Financing 1 SARL/Aggreko Holdings, Inc., 5.38%, due 05/21/30(l) 144A
1,081,719
87,000
 
Alibaba Group Holding Ltd., 0.50%, due 06/01/31
111,258
750,000
 
Allegiant Travel Co., 7.25%, due 08/15/27(l) 144A
750,814
750,000
 
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 4.25%, due 10/15/27
144A
736,700
1,600,000
 
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 7.00%, due 01/15/31
144A
1,656,264
1,835,000
 
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 7.38%, due 10/01/32(l)
144A
1,893,837
400,000
 
Allianz SE, 5.60% (5 yr. CMT + 2.77%), due 09/03/54(b) 144A
399,726
900,000
 
Ally Financial, Inc., 5.74% (SOFR + 1.96%), due 05/15/29(b)
916,214
475,000
 
Alnylam Pharmaceuticals, Inc., 1.00%, due 09/15/27
618,212
500,000
 
Alpha Generation LLC, 6.75%, due 10/15/32 144A
515,755
288,000
 
AltaGas Ltd., 7.20% (5 yr. CMT + 3.57%), due 10/15/54(b) 144A
288,784
1,820,000
 
Altice France Holding SA, 10.50%, due 05/15/27(n) 144A
633,879
800,000
EUR
Altice France SA, 4.13%, due 01/15/29(f)
792,433
860,000
 
Altice France SA, 5.13%, due 07/15/29 144A
711,650
911,000
 
Altice France SA, 5.50%, due 01/15/28(l) 144A
767,517
300,000
 
Altice France SA, 5.50%, due 10/15/29 144A
249,000
875,000
 
Ambipar Lux SARL, 9.88%, due 02/06/31(f)
827,603
550,000
 
Ambipar Lux SARL, 10.88%, due 02/05/33 144A
521,162
475,000
 
AMC Networks, Inc., 4.25%, due 02/15/29(l)
380,981
385,000
 
Amentum Holdings, Inc., 7.25%, due 08/01/32 144A
396,495
740,000
 
Amer Sports Co., 6.75%, due 02/16/31 144A
771,026
1,800,000
 
American Builders & Contractors Supply Co., Inc., 4.00%, due 01/15/28 144A
1,761,779
112See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
205,000
 
AmeriGas Partners LP/AmeriGas Finance Corp., 9.38%, due 06/01/28(l) 144A
211,525
1,490,000
 
AmeriTex HoldCo Intermediate LLC, 10.25%, due 10/15/28 144A
1,582,443
800,000
 
ams-OSRAM AG, 12.25%, due 03/30/29(l) 144A
854,297
1,500,000
 
AmWINS Group, Inc., 4.88%, due 06/30/29(l) 144A
1,458,659
1,000,000
 
Anglo American Capital PLC, 5.75%, due 04/05/34 144A
1,033,162
260,000
 
Anywhere Real Estate Group LLC/Realogy Co-Issuer Corp., 5.75%, due 01/15/29 144A
228,331
225,000
 
APi Group DE, Inc., 4.13%, due 07/15/29 144A
214,689
610,000
 
Aragvi Finance International DAC, 11.13%, due 11/20/29 144A
616,714
500,000
 
Archrock Partners LP/Archrock Partners Finance Corp., 6.25%, due 04/01/28 144A
501,968
500,000
 
Archrock Partners LP/Archrock Partners Finance Corp., 6.63%, due 09/01/32 144A
509,751
1,740,770
 
ARD Finance SA, 6.50% (6.5% CASH / 7.25% PIK), due 06/30/27 144A
82,687
1,650,000
 
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC,
3.25%, due 09/01/28 144A
1,560,402
500,000
EUR
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., 2.13%, due 08/15/26(f)
562,265
700,000
 
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., 4.13%, due 08/15/26(l)
144A
657,790
1,044,000
 
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., 5.25%, due 08/15/27(l)
144A
466,391
200,000
 
Ardonagh Group Finance Ltd., 8.88%, due 02/15/32 144A
210,620
600,000
 
ARES Strategic Income Fund, 5.45%, due 09/09/28 144A
600,428
1,110,000
 
Arsenal AIC Parent LLC, 8.00%, due 10/01/30 144A
1,185,968
900,000
 
AS Mileage Plan IP Ltd., 5.31%, due 10/20/31 144A
885,987
750,000
 
Asbury Automotive Group, Inc., 4.63%, due 11/15/29 144A
724,689
500,000
 
Ascent Resources Utica Holdings LLC/ARU Finance Corp., 5.88%, due 06/30/29(l) 144A
501,162
500,000
 
Ascent Resources Utica Holdings LLC/ARU Finance Corp., 6.63%, due 10/15/32 144A
509,214
800,000
 
Ascent Resources Utica Holdings LLC/ARU Finance Corp., 6.63%, due 07/15/33 144A
812,126
37,500,000
MXN
Asian Infrastructure Investment Bank, 9.88%, due 02/08/38(f)(k)
641,938
1,196,728
 
ASP Unifrax Holdings, Inc., 7.10% (7.10% Cash, or 5.85% Cash or 1.25% PIK), due
09/30/29 144A
550,495
210,000
 
Assurant, Inc., 7.00% (3 mo. USD LIBOR + 4.14%), due 03/27/48(b)(l)
214,215
5,200,000
 
AthenaHealth Group, Inc., 6.50%, due 02/15/30 144A
5,123,121
143,000
 
Athene Holding Ltd., 6.88% (5 yr. CMT + 2.58%), due 06/28/55(b)(l)
142,657
1,260,000
 
ATI, Inc., 5.13%, due 10/01/31
1,232,552
310,000
 
Atkore, Inc., 4.25%, due 06/01/31 144A
287,094
1,000,000
 
Avient Corp., 6.25%, due 11/01/31 144A
1,009,973
258,000
 
Avis Budget Car Rental LLC/Avis Budget Finance, Inc., 8.38%, due 06/15/32 144A
270,100
900,000
 
Avolon Holdings Funding Ltd., 2.53%, due 11/18/27 144A
855,899
300,000
 
Axalta Coating Systems LLC, 3.38%, due 02/15/29 144A
284,379
600,000
 
Axalta Coating Systems LLC/Axalta Coating Systems Dutch Holding B BV, 4.75%, due
06/15/27 144A
596,731
660,000
 
Axon Enterprise, Inc., 6.13%, due 03/15/30 144A
680,368
1,080,000
 
Axon Enterprise, Inc., 6.25%, due 03/15/33 144A
1,114,735
1,805,000
 
Azule Energy Finance PLC, 8.13%, due 01/23/30 144A
1,789,657
1,095,000
 
Azule Energy Finance PLC, 8.13%, due 01/23/30(f)
1,085,827
7,156
 
Azure Power Energy Ltd., 3.58%, due 08/19/26(f)
6,898
600,000
 
B&G Foods, Inc., 8.00%, due 09/15/28 144A
578,422
5,500,000
 
Baffinland Iron Mines Corp./Baffinland Iron Mines LP, 8.75%, due 07/15/26 144A
5,099,231
1,900,000
 
Ball Corp., 2.88%, due 08/15/30
1,714,351
225,000
 
Banc of California, 3.25% (3 mo. USD Term SOFR + 2.52%), due 05/01/31(b)
200,365
See accompanying Notes to the Schedule of Investments
113

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
675,000
EUR
Banca Monte dei Paschi di Siena SpA, 7.71% (5 yr. EURIBOR ICE Swap + 5.01%),
due 01/18/28(b)(f)
869,125
135,000
EUR
Banca Transilvania SA, 5.13% (1 yr. EURIBOR ICE Swap + 2.95%), due 09/30/30(b)(f)
160,863
970,000
EUR
Banca Transilvania SA, 8.88% (1 yr. EURIBOR ICE Swap + 5.58%), due 04/27/27(b)(f)
1,185,768
400,000
EUR
Banco de Sabadell SA, 5.00% (5 yr. EUR Swap annual + 5.17%)(b)(f)(m)
471,007
2,160,000
 
Banco Mercantil del Norte SA, 6.63% (10 yr. CMT + 5.03%)(b)(f)(m)
2,006,818
1,490,000
 
Banco Mercantil del Norte SA, 7.50% (10 yr. CMT + 5.47%)(b)(m) 144A
1,475,901
1,275,000
 
Bank Negara Indonesia Persero Tbk. PT, 4.30% (5 yr. CMT + 3.47%)(b)(f)(m)
1,218,714
475,000
EUR
Bank of Cyprus Holdings PLC, 11.88% (5 yr. EURIBOR ICE Swap + 9.13%)(b)(f)(m)
667,980
325,000
GBP
Barclays PLC, 8.88% (5 yr. U.K. Government Bond + 6.96%)(b)(f)(m)
469,876
750,000
 
Bath & Body Works, Inc., 6.88%, due 11/01/35
778,891
210,000
 
Bath & Body Works, Inc., 6.95%, due 03/01/33(l)
216,472
400,000
EUR
BAWAG Group AG, 7.25% (5 yr. EURIBOR ICE Swap + 5.05%)(b)(f)(m)
489,904
1,040,000
 
BBVA Mexico SA Institucion De Banca Multiple Grupo Financiero BBVA Mexico,
7.63% (5 yr. CMT + 3.38%), due 02/11/35(b) 144A
1,070,472
750,000
 
BBVA Mexico SA Institucion De Banca Multiple Grupo Financiero BBVA Mexico,
8.45% (5 yr. CMT + 4.66%), due 06/29/38(b)(f)
793,731
670,000
 
Beach Acquisition Bidco LLC, 10.00% (10% Cash / 10.75% PIK), due 07/15/33(d) 144A
696,140
500,000
 
Beacon Mobility Corp., 7.25%, due 08/01/30(d) 144A
510,911
220,000
EUR
Bellis Acquisition Co. PLC, 8.00%, due 07/01/31(d) 144A
259,742
270,000
 
BellRing Brands, Inc., 7.00%, due 03/15/30 144A
281,442
450,000
 
Bill Holdings, Inc., 3.23%, due 04/01/30(k) 144A
380,813
750,000
 
Blackstone Mortgage Trust, Inc., 7.75%, due 12/01/29 144A
798,355
2,300,000
 
Block, Inc., 2.75%, due 06/01/26
2,253,328
900,000
 
Blue Owl Finance LLC, 6.25%, due 04/18/34
926,558
500,000
 
BNP Paribas SA, 7.38% (5 yr. CMT + 3.54%)(b)(m) 144A
509,029
361,000
 
BNP Paribas SA, 7.45% (5 yr. CMT + 3.13%)(b)(m) 144A
364,069
340,000
 
BNP Paribas SA, 7.75% (5 yr. CMT + 4.90%)(b)(m) 144A
358,454
200,000
 
BNP Paribas SA, 8.50% (5 yr. CMT + 4.35%)(b)(l)(m) 144A
211,994
450,000
EUR
BOI Finance BV, 7.50%, due 02/16/27(f)
539,167
920,000
 
Boost Newco Borrower LLC, 7.50%, due 01/15/31 144A
977,247
1,650,000
 
Boyd Gaming Corp., 4.75%, due 06/15/31 144A
1,582,467
800,000
EUR
BPCE SA, 1.50% (5 yr. EUR Swap annual + 1.75%), due 01/13/42(b)(f)
915,789
1,755,000
 
Braskem Netherlands Finance BV, 4.50%, due 01/31/30(f)
1,361,458
2,512,000
 
Bread Financial Holdings, Inc., 8.38% (5 yr. CMT + 4.30%), due 06/15/35(b)(l) 144A
2,531,300
575,000
 
BRF SA, 5.75%, due 09/21/50(f)
467,511
195,000
 
Brinker International, Inc., 8.25%, due 07/15/30 144A
207,957
960,000
 
Brookfield Property REIT, Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI
Sellco LLC, 4.50%, due 04/01/27 144A
934,706
270,000
 
Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC, 5.00%, due
06/15/29(l) 144A
245,952
1,665,000
 
Brundage-Bone Concrete Pumping Holdings, Inc., 7.50%, due 02/01/32 144A
1,651,507
1,100,000
 
Buffalo Energy Mexico Holdings/Buffalo Energy Infrastructure/Buffalo Energy, 7.88%,
due 02/15/39(f)
1,134,151
900,000
 
Builders FirstSource, Inc., 4.25%, due 02/01/32 144A
834,448
550,000
 
Builders FirstSource, Inc., 6.75%, due 05/15/35 144A
566,976
1,040,000
EUR
Bulgarian Energy Holding EAD, 2.45%, due 07/22/28(f)
1,180,114
800,000
 
Burford Capital Global Finance LLC, 6.25%, due 04/15/28 144A
793,196
630,000
 
Burford Capital Global Finance LLC, 9.25%, due 07/01/31 144A
663,837
1,000,000
 
BWX Technologies, Inc., 4.13%, due 04/15/29 144A
964,824
114See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,423,000
 
C&W Senior Finance Ltd., 9.00%, due 01/15/33(f)
1,456,849
600,000
 
CACI International, Inc., 6.38%, due 06/15/33 144A
619,919
398,000
 
Caesars Entertainment, Inc., 8.13%, due 07/01/27 144A
398,368
380,000
 
CaixaBank SA, 5.58% (SOFR + 1.79%), due 07/03/36(b)(d) 144A
384,044
500,000
 
CaixaBank SA, 6.84% (SOFR + 2.77%), due 09/13/34(b) 144A
549,457
600,000
EUR
CaixaBank SA, 7.50% (5 yr. EURIBOR ICE Swap + 5.30%)(b)(f)(m)
774,300
215,000
 
California Resources Corp., 8.25%, due 06/15/29(l) 144A
220,858
1,500,000
 
Calpine Corp., 3.75%, due 03/01/31(l) 144A
1,424,067
1,250,000
 
Camelot Return Merger Sub, Inc., 8.75%, due 08/01/28 144A
1,153,725
200,000
GBP
Canary Wharf Group Investment Holdings PLC, 3.38%, due 04/23/28(f)(l)
249,185
675,000
 
Carnival Corp., 5.88%, due 06/15/31 144A
688,078
1,000,000
 
Carnival Corp., 6.00%, due 05/01/29 144A
1,011,067
1,300,000
 
Carvana Co., 9.00% (RESEARCH:), due 06/01/31 144A
1,541,334
400,000
EUR
CCF Holding SAS, 9.25% (5 yr. EUR Swap annual + 6.63%)(b)(f)(m)
507,723
4,530,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 4.25%, due 02/01/31 144A
4,234,660
1,370,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 4.25%, due 01/15/34 144A
1,220,412
750,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 4.50%, due 08/15/30 144A
715,503
1,300,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 4.50%, due 05/01/32
1,211,428
2,130,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 4.50%, due 06/01/33 144A
1,948,216
390,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 4.75%, due 03/01/30 144A
378,123
500,000
 
CCO Holdings LLC/CCO Holdings Capital Corp., 5.00%, due 02/01/28 144A
495,735
957,000
 
Celanese U.S. Holdings LLC, 6.75%, due 04/15/33(l)
967,715
1,360,000
 
Cemex SAB de CV, 7.20% (5 yr. CMT + 3.52%)(b)(m) 144A
1,375,640
1,400,000
 
Centene Corp., 2.50%, due 03/01/31
1,206,313
700,000
 
Central Parent LLC/CDK Global II LLC/CDK Financing Co., Inc., 8.00%, due 06/15/29
144A
579,496
750,000
 
Central Parent, Inc./CDK Global, Inc., 7.25%, due 06/15/29 144A
612,308
800,000
 
Cerdia Finanz GmbH, 9.38%, due 10/03/31 144A
831,176
900,000
 
CF Industries, Inc., 5.15%, due 03/15/34
896,930
1,705,000
 
Champ Acquisition Corp., 8.38%, due 12/01/31 144A
1,816,042
1,220,000
 
Chart Industries, Inc., 7.50%, due 01/01/30 144A
1,278,775
1,420,000
 
Chart Industries, Inc., 9.50%, due 01/01/31 144A
1,516,872
500,000
 
Chemours Co., 4.63%, due 11/15/29(l) 144A
435,692
600,000
 
Cheplapharm Arzneimittel GmbH, 5.50%, due 01/15/28 144A
580,387
900,000
 
Choice Hotels International, Inc., 3.70%, due 12/01/29
850,782
840,000
 
Chord Energy Corp., 6.75%, due 03/15/33 144A
858,688
865,000
 
CHS/Community Health Systems, Inc., 4.75%, due 02/15/31 144A
740,204
500,000
 
CHS/Community Health Systems, Inc., 5.25%, due 05/15/30 144A
443,849
1,599,000
 
CHS/Community Health Systems, Inc., 5.63%, due 03/15/27 144A
1,575,983
250,000
 
CHS/Community Health Systems, Inc., 10.88%, due 01/15/32 144A
265,279
1,600,000
 
Churchill Downs, Inc., 4.75%, due 01/15/28 144A
1,580,375
1,000,000
 
Citadel Finance LLC, 5.90%, due 02/10/30 144A
1,009,915
265,000
 
Citadel Securities Global Holdings LLC, 6.20%, due 06/18/35 144A
272,013
1,000,000
 
CITGO Petroleum Corp., 6.38%, due 06/15/26 144A
1,000,318
140,000
 
Citigroup, Inc., 7.00% (10 yr. CMT + 2.76%)(b)(l)(m)
147,513
270,000
 
Citigroup, Inc., 7.63% (5 yr. CMT + 3.21%)(b)(m)
284,821
750,000
 
Clarios Global LP/Clarios U.S. Finance Co., 6.75%, due 02/15/30 144A
780,440
700,000
 
Clarivate Science Holdings Corp., 4.88%, due 07/01/29 144A
659,811
200,000
 
Clear Channel Outdoor Holdings, Inc., 7.75%, due 04/15/28(l) 144A
189,155
See accompanying Notes to the Schedule of Investments
115

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
250,000
 
Clear Channel Outdoor Holdings, Inc., 7.88%, due 04/01/30 144A
258,289
225,000
 
Clearwater Paper Corp., 4.75%, due 08/15/28 144A
213,862
600,000
 
Clearway Energy Operating LLC, 4.75%, due 03/15/28 144A
593,236
1,000,000
 
Cloud Software Group, Inc., 8.25%, due 06/30/32 144A
1,065,159
325,000
 
Cloud Software Group, Inc., 9.00%, due 09/30/29 144A
337,173
1,500,000
 
Clydesdale Acquisition Holdings, Inc., 6.75%, due 04/15/32 144A
1,540,341
300,000
EUR
CMA CGM SA, 5.00%, due 01/15/31 144A
352,356
118,000
 
CMS Energy Corp., 4.75% (5 yr. CMT + 4.12%), due 06/01/50(b)
114,848
600,000
 
Cogent Communications Group LLC/Cogent Finance, Inc., 6.50%, due 07/01/32 144A
591,576
1,100,000
 
Coherent Corp., 5.00%, due 12/15/29(l) 144A
1,081,489
750,000
 
CommScope LLC, 4.75%, due 09/01/29(l) 144A
733,150
200,000
 
Compass Group Diversified Holdings LLC, 5.25%, due 04/15/29 144A
179,689
500,000
 
Compass Minerals International, Inc., 6.75%, due 12/01/27(l) 144A
504,486
1,090,000
 
Compass Minerals International, Inc., 8.00%, due 07/01/30 144A
1,126,978
750,000
 
Concentra Health Services, Inc., 6.88%, due 07/15/32 144A
777,460
230,000
 
Conduent Business Services LLC/Conduent State & Local Solutions, Inc., 6.00%, due
11/01/29 144A
219,828
1,150,000
 
Constellium SE, 6.38%, due 08/15/32 144A
1,169,906
1,000,000
 
ContourGlobal Power Holdings SA, 6.75%, due 02/28/30 144A
1,031,610
1,250,000
 
Corp. Nacional del Cobre de Chile, 5.95%, due 01/08/34(f)
1,276,819
1,000,000
 
CoStar Group, Inc., 2.80%, due 07/15/30 144A
905,066
670,000
 
Cougar JV Subsidiary LLC, 8.00%, due 05/15/32 144A
714,834
936,000
 
CP Atlas Buyer, Inc., 7.00%, due 12/01/28(l) 144A
867,108
3,212,000
PEN
Credicorp Capital Sociedad Titulizadora SA, 10.10%, due 12/15/43(f)
961,744
200,000
EUR
Credit Agricole SA, 5.88% (5 yr. EURIBOR ICE Swap + 3.64%)(b)(f)(m)
233,158
300,000
EUR
Credit Agricole SA, 6.50% (5 yr. EURIBOR ICE Swap + 4.21%)(b)(f)(m)
371,144
560,000
 
Crescent Energy Finance LLC, 7.38%, due 01/15/33 144A
535,800
320,000
 
Crocs, Inc., 4.13%, due 08/15/31(l) 144A
288,504
1,500,000
 
Crowdstrike Holdings, Inc., 3.00%, due 02/15/29
1,420,112
1,000,000
 
Crown Americas LLC/Crown Americas Capital Corp. V, 4.25%, due 09/30/26
995,022
750,000
 
CSC Holdings LLC, 4.13%, due 12/01/30(l) 144A
529,787
240,000
 
CSC Holdings LLC, 4.50%, due 11/15/31 144A
169,090
250,000
 
CSC Holdings LLC, 5.75%, due 01/15/30 144A
123,903
270,000
 
CSC Holdings LLC, 11.75%, due 01/31/29 144A
256,981
900,000
 
CSN Inova Ventures, 6.75%, due 01/28/28(f)
851,978
1,100,000
 
CSN Resources SA, 5.88%, due 04/08/32(f)
905,563
110,000
 
CVS Health Corp., 6.75% (5 yr. CMT + 2.52%), due 12/10/54(b)
110,515
415,000
 
CVS Health Corp., 7.00% (5 yr. CMT + 2.89%), due 03/10/55(b)
429,073
430,000
 
Cytokinetics, Inc., 3.50%, due 07/01/27
458,595
155,000
EUR
Czechoslovak Group AS, 5.25%, due 01/10/31(d) 144A
185,554
445,000
 
Czechoslovak Group AS, 6.50%, due 01/10/31(d) 144A
449,425
600,000
 
DAE Funding LLC, 3.38%, due 03/20/28(f)
577,701
1,367,000
 
Datadog, Inc., 1.83%, due 12/01/29(k)(l) 144A
1,313,003
320,000
 
DaVita, Inc., 3.75%, due 02/15/31 144A
291,266
750,000
 
DaVita, Inc., 4.63%, due 06/01/30 144A
719,097
600,000
 
Dcli Bidco LLC, 7.75%, due 11/15/29 144A
608,282
625,000
 
Deluxe Corp., 8.13%, due 09/15/29 144A
645,824
200,000
EUR
Deutsche Bank AG, 7.38% (5 yr. EURIBOR ICE Swap + 5.11%)(b)(f)(m)
244,708
200,000
EUR
Deutsche Bank AG, 10.00% (5 yr. EURIBOR ICE Swap + 6.94%)(b)(f)(m)
262,213
116See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,200,000
 
Diamond Foreign Asset Co./Diamond Finance LLC, 8.50%, due 10/01/30 144A
1,250,432
900,000
 
Diamondback Energy, Inc., 5.55%, due 04/01/35
910,177
660,000
 
Directv Financing LLC/Directv Financing Co-Obligor, Inc., 10.00%, due 02/15/31 144A
641,202
190,000
CAD
Doman Building Materials Group Ltd., 5.25%, due 05/15/26(f)
139,331
195,000
CAD
Doman Building Materials Group Ltd., 7.50%, due 09/17/29
143,385
108,000
 
Dominion Energy, Inc., 6.88% (5 yr. CMT + 2.39%), due 02/01/55(b)
113,671
105,000
 
Dominion Energy, Inc., 7.00% (5 yr. CMT + 2.51%), due 06/01/54(b)
112,920
1,095,000
 
Dornoch Debt Merger Sub, Inc., 6.63%, due 10/15/29 144A
849,321
600,000
 
DT Midstream, Inc., 4.38%, due 06/15/31 144A
574,947
1,575,000
 
Dua Capital Ltd., 2.78%, due 05/11/31(f)
1,439,042
300,000
 
Dycom Industries, Inc., 4.50%, due 04/15/29 144A
292,222
2,050,000
EUR
Eastern European Electric Co. BV, 6.50%, due 05/15/30 144A
2,484,505
191,000
 
EchoStar Corp., 6.75%, due 11/30/30
174,453
1,500,000
 
EchoStar Corp., 10.75%, due 11/30/29
1,546,275
250,000
 
Ecopetrol SA, 8.38%, due 01/19/36
241,378
1,335,000
 
Edison International, 8.13% (5 yr. CMT + 3.86%), due 06/15/53(b)(l)
1,292,807
900,000
 
Elanco Animal Health, Inc., 6.65%, due 08/28/28
938,446
1,045,000
 
Elastic NV, 4.13%, due 07/15/29 144A
999,418
1,150,000
 
Ellucian Holdings, Inc., 6.50%, due 12/01/29 144A
1,178,973
300,000
EUR
ELO SACA, 3.25%, due 07/23/27(f)
340,129
500,000
EUR
ELO SACA, 4.88%, due 12/08/28(f)
533,256
1,500,000
 
Embecta Corp., 5.00%, due 02/15/30 144A
1,356,825
383,000
 
Emera, Inc., 6.75% (3 mo. USD LIBOR + 5.44%), due 06/15/76(b)
386,360
130,000
 
Emergent BioSolutions, Inc., 3.88%, due 08/15/28 144A
104,108
1,510,000
 
EMRLD Borrower LP/Emerald Co-Issuer, Inc., 6.63%, due 12/15/30 144A
1,545,367
374,000
 
Enbridge, Inc., 5.75% (5 yr. CMT + 5.31%), due 07/15/80(b)(l)
373,355
102,000
 
Enbridge, Inc., 8.50% (5 yr. CMT + 4.43%), due 01/15/84(b)
113,819
145,000
 
Encompass Health Corp., 4.75%, due 02/01/30(l)
143,273
1,600,000
 
Encore Capital Group, Inc., 8.50%, due 05/15/30(l) 144A
1,717,472
600,000
 
Energean Israel Finance Ltd., 5.38%, due 03/30/28(f)
572,812
2,800,000
 
Energean Israel Finance Ltd., 5.88%, due 03/30/31(f)
2,587,900
2,927,000
EUR
Energo-Pro AS, 8.00%, due 05/27/30(l) 144A
3,553,894
960,000
 
Energy Transfer LP, 6.25%, due 04/15/49
947,980
105,000
 
Energy Transfer LP, 8.00% (5 yr. CMT + 4.02%), due 05/15/54(b)
111,781
270,000
 
EnerSys, 6.63%, due 01/15/32 144A
276,420
600,000
 
Eni SpA, 5.75%, due 05/19/35 144A
613,984
255,000
 
Enova International, Inc., 11.25%, due 12/15/28 144A
274,126
215,000
 
EnQuest PLC, 11.63%, due 11/01/27(l) 144A
217,911
139,000
 
Enstar Group Ltd., 7.50% (5 yr. CMT + 3.19%), due 04/01/45(b) 144A
143,330
750,000
 
Entegris, Inc., 4.75%, due 04/15/29 144A
742,373
1,270,000
EUR
Eolo SpA, 4.88%, due 10/21/28(f)
1,402,813
800,000
EUR
Equinix Europe 2 Financing Corp. LLC, 3.25%, due 05/19/29
945,376
690,000
 
Esab Corp., 6.25%, due 04/15/29 144A
707,327
6,000,000
ZAR
Eskom Holdings SOC Ltd., 7.50%, due 09/15/33
281,707
500,000
EUR
Eurobank SA, 4.00% (1 yr. EURIBOR ICE Swap + 1.70%), due 02/07/36(b)(f)
576,874
218,000
 
EUSHI Finance, Inc., 7.63% (5 yr. CMT + 3.14%), due 12/15/54(b)
226,221
525,000
 
Exact Sciences Corp., 2.00%, due 03/01/30 144A
532,875
1,400,000
 
Expand Energy Corp., 4.75%, due 02/01/32
1,362,278
480,000
 
EZCORP, Inc., 7.38%, due 04/01/32 144A
506,452
See accompanying Notes to the Schedule of Investments
117

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
290,000
 
Fair Isaac Corp., 4.00%, due 06/15/28 144A
282,493
1,950,000
 
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc., 4.63%, due 01/15/29
144A
1,868,961
1,540,000
 
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc., 6.75%, due 01/15/30
144A
1,422,354
200,000
 
Fidelis Insurance Holdings Ltd., 7.75% (5 yr. CMT + 4.28%), due 06/15/55(b)(l)
206,843
795,400
 
FIEMEX Energia - Banco Actinver SA Institucion de Banca Multiple, 7.25%, due
01/31/41(f)
808,047
2,160,000
 
Fiesta Purchaser, Inc., 7.88%, due 03/01/31 144A
2,294,557
1,100,000
 
Fiesta Purchaser, Inc., 9.63%, due 09/15/32 144A
1,163,435
280,000
 
FirstCash, Inc., 5.63%, due 01/01/30 144A
279,649
1,100,000
 
Flutter Treasury DAC, 6.38%, due 04/29/29 144A
1,133,740
113,000
 
FMC Corp., 8.45% (5 yr. CMT + 4.37%), due 11/01/55(b)
115,924
1,325,000
 
FMG Resources August 2006 Pty. Ltd., 4.38%, due 04/01/31 144A
1,239,036
4,130,000
 
Focus Financial Partners LLC, 6.75%, due 09/15/31 144A
4,218,543
245,000
EUR
Food Service Project SA, 5.50%, due 01/21/27(f)(l)
288,801
1,665,000
 
Ford Motor Credit Co. LLC, 3.63%, due 06/17/31
1,466,273
676,000
 
Fortrea Holdings, Inc., 7.50%, due 07/01/30(l) 144A
612,744
600,000
 
Fortress Intermediate 3, Inc., 7.50%, due 06/01/31 144A
629,320
2,300,000
 
Fortress Transportation & Infrastructure Investors LLC, 5.50%, due 05/01/28 144A
2,289,059
2,605,000
EUR
Fortune Star BVI Ltd., 3.95%, due 10/02/26(f)
2,966,072
400,000
EUR
Forvia SE, 3.75%, due 06/15/28(f)
462,929
400,000
EUR
Forvia SE, 5.50%, due 06/15/31(f)
464,018
200,000
 
Foundry JV Holdco LLC, 6.40%, due 01/25/38 144A
210,876
1,100,000
 
Freedom Mortgage Corp., 6.63%, due 01/15/27 144A
1,102,732
50,000
 
Freedom Mortgage Corp., 12.00%, due 10/01/28 144A
53,803
170,000
 
Freedom Mortgage Corp., 12.25%, due 10/01/30 144A
188,647
2,045,000
 
Freedom Mortgage Holdings LLC, 8.38%, due 04/01/32(l) 144A
2,068,665
1,920,000
 
Freedom Mortgage Holdings LLC, 9.25%, due 02/01/29 144A
1,995,696
800,000
 
Frontier Communications Holdings LLC, 6.75%, due 05/01/29 144A
811,021
615,000
 
FS Luxembourg SARL, 8.63%, due 06/25/33 144A
607,620
438,000
 
FS Luxembourg SARL, 8.88%, due 02/12/31 144A
449,643
464,000
 
FS Luxembourg SARL, 8.88%, due 02/12/31(f)
476,334
1,020,000
 
Gap, Inc., 3.63%, due 10/01/29 144A
948,600
295,000
 
Gartner, Inc., 3.63%, due 06/15/29 144A
280,695
1,300,000
 
Gartner, Inc., 3.75%, due 10/01/30 144A
1,217,324
270,000
 
Gates Corp., 6.88%, due 07/01/29 144A
280,697
1,150,000
GBP
Gatwick Airport Finance PLC, 4.38%, due 04/07/26(f)
1,567,355
2,735,000
 
GDZ Elektrik Dagitim AS, 9.00%, due 10/15/29 144A
2,647,845
1,165,000
 
GDZ Elektrik Dagitim AS, 9.00%, due 10/15/29(f)
1,127,327
500,000
 
Gen Digital, Inc., 6.25%, due 04/01/33 144A
514,671
235,000
 
General Motors Financial Co., Inc., 5.70% (5 yr. CMT + 5.00%)(b)(l)(m)
233,660
600,000
 
Genesee & Wyoming, Inc., 6.25%, due 04/15/32 144A
612,974
600,000
 
Genesis Energy LP/Genesis Energy Finance Corp., 8.00%, due 05/15/33(l)
627,817
145,000
 
Genworth Holdings, Inc., 6.50%, due 06/15/34
144,248
600,000
 
GFL Environmental, Inc., 4.38%, due 08/15/29(l) 144A
583,112
532,000
 
Global Atlantic Fin Co., 4.70% (5 yr. CMT + 3.80%), due 10/15/51(b) 144A
522,398
138,000
 
Global Atlantic Fin Co., 7.95% (5 yr. CMT + 3.61%), due 10/15/54(b) 144A
144,014
900,000
 
GLP Capital LP/GLP Financing II, Inc., 5.75%, due 06/01/28
922,807
685,000
 
GLP China Holdings Ltd., 2.95%, due 03/29/26(f)
647,018
118See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,300,000
 
Go Daddy Operating Co. LLC/GD Finance Co., Inc., 3.50%, due 03/01/29 144A
1,229,592
1,520,000
 
Goat Holdco LLC, 6.75%, due 02/01/32 144A
1,546,562
350,000
 
goeasy Ltd., 7.38%, due 10/01/30 144A
357,925
1,300,000
 
goeasy Ltd., 9.25%, due 12/01/28 144A
1,376,287
250,000
EUR
Goldstory SAS, 6.75%, due 02/01/30(f)
305,837
605,000
 
Golomt Bank, 11.00%, due 05/20/27(f)
616,354
1,000,000
 
Gray Media, Inc., 4.75%, due 10/15/30(l) 144A
757,500
115,000
 
Gray Media, Inc., 5.38%, due 11/15/31(l) 144A
86,330
380,000
 
Great Canadian Gaming Corp./Raptor LLC, 8.75%, due 11/15/29 144A
372,219
574,200
 
Greenko Power II Ltd., 4.30%, due 12/13/28(f)
540,745
600,000
 
Griffon Corp., 5.75%, due 03/01/28
600,309
300,000
EUR
Grifols SA, 3.88%, due 10/15/28(f)
337,742
1,000,000
 
Grifols SA, 4.75%, due 10/15/28 144A
961,952
450,000
EUR
Grifols SA, 7.50%, due 05/01/30(f)
553,908
240,000
 
GrubHub Holdings, Inc., 5.50%, due 07/01/27 144A
233,172
864,276
 
Guara Norte SARL, 5.20%, due 06/15/34(f)
819,668
600,000
 
GYP Holdings III Corp., 4.63%, due 05/01/29(l) 144A
601,822
227,000
 
Hanwha Life Insurance Co. Ltd., 6.30% (5 yr. CMT + 2.29%), due 06/24/55(b) 144A
234,064
1,880,000
 
Harvest Midstream I LP, 7.50%, due 09/01/28 144A
1,913,362
750,000
 
HAT Holdings I LLC/HAT Holdings II LLC, 3.38%, due 06/15/26 144A
734,574
780,000
 
HAT Holdings I LLC/HAT Holdings II LLC, 3.75%, due 08/15/28 144A
904,020
1,300,000
 
HAT Holdings I LLC/HAT Holdings II LLC, 3.75%, due 09/15/30(l) 144A
1,193,818
550,000
 
HCA, Inc., 7.50%, due 11/06/33
628,735
225,000
 
HealthEquity, Inc., 4.50%, due 10/01/29 144A
219,045
545,000
GBP
Heathrow Funding Ltd., 6.75%, due 12/03/28(f)
768,136
205,000
 
Helix Energy Solutions Group, Inc., 9.75%, due 03/01/29 144A
217,021
700,000
 
Hightower Holding LLC, 6.75%, due 04/15/29 144A
698,219
100,000
 
Hightower Holding LLC, 9.13%, due 01/31/30(l) 144A
106,554
70,000
 
Hilton Domestic Operating Co., Inc., 3.63%, due 02/15/32 144A
63,454
1,300,000
 
Hilton Domestic Operating Co., Inc., 3.75%, due 05/01/29 144A
1,247,017
2,200,000
 
Hilton Domestic Operating Co., Inc., 4.00%, due 05/01/31 144A
2,069,869
500,000
 
Hilton Grand Vacations Borrower LLC/Hilton Grand Vacations Borrower, Inc., 6.63%,
due 01/15/32 144A
508,076
270,000
 
HLF Financing SARL LLC/Herbalife International, Inc., 4.88%, due 06/01/29(l) 144A
228,379
1,800,000
 
Hologic, Inc., 3.25%, due 02/15/29 144A
1,716,645
650,000
EUR
House of HR Group BV, 9.00%, due 11/03/29(f)
760,868
560,000
 
Howard Midstream Energy Partners LLC, 8.88%, due 07/15/28 144A
588,314
750,000
 
Howden U.K. Refinance PLC/Howden U.K. Refinance 2 PLC/Howden U.S. Refinance
LLC, 7.25%, due 02/15/31 144A
777,234
650,000
 
Howden U.K. Refinance PLC/Howden U.K. Refinance 2 PLC/Howden U.S. Refinance
LLC, 8.13%, due 02/15/32(l) 144A
679,253
400,000
 
HSBC Holdings PLC, 4.60% (5 yr. CMT + 3.65%)(b)(m)
365,421
585,000
 
HSBC Holdings PLC, 5.24% (SOFR + 1.57%), due 05/13/31(b)
595,779
1,528,000
 
HSBC Holdings PLC, 7.05% (5 yr. CMT + 2.99%)(b)(m)
1,549,478
140,000
 
HUB International Ltd., 5.63%, due 12/01/29(l) 144A
140,130
3,935,000
 
HUB International Ltd., 7.38%, due 01/31/32(l) 144A
4,119,762
120,000
 
Hudson Pacific Properties LP, 3.95%, due 11/01/27
115,150
2,360,000
 
Hudson Pacific Properties LP, 4.65%, due 04/01/29(l)
2,122,474
620,000
 
Hunt Oil Co. of Peru LLC Sucursal Del Peru, 7.75%, due 11/05/38 144A
655,427
500,000
EUR
Ibercaja Banco SA, 4.13% (5 yr. EURIBOR ICE Swap + 1.90%), due 08/18/36(b)(f)
583,575
See accompanying Notes to the Schedule of Investments
119

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
800,000
EUR
Ibercaja Banco SA, 9.13% (5 yr. EUR Swap annual + 6.83%)(b)(f)(m)
1,036,355
1,300,000
 
IHS Holding Ltd., 6.25%, due 11/29/28(f)
1,268,195
630,000
 
IHS Holding Ltd., 7.88%, due 05/29/30(f)
633,581
1,145,000
 
IIFL Finance Ltd., 8.75%, due 07/24/28(l) 144A
1,152,781
645,000
 
IIFL Finance Ltd., 8.75%, due 07/24/28(f)
649,383
200,000
EUR
Iliad Holding SASU, 5.38%, due 04/15/30(f)
241,693
300,000
EUR
Iliad Holding SASU, 6.88%, due 04/15/31(f)
376,375
335,000
 
Iliad Holding SASU, 7.00%, due 10/15/28 144A
341,383
265,000
EUR
IMA Industria Macchine Automatiche SpA, 3.75%, due 01/15/28 144A
309,349
475,000
 
Immunocore Holdings PLC, 2.50%, due 02/01/30
411,981
1,550,000
 
Indofood CBP Sukses Makmur Tbk. PT, 4.75%, due 06/09/51(f)
1,255,814
1,710,000
 
Ingevity Corp., 3.88%, due 11/01/28(l) 144A
1,632,013
805,000
 
Insulet Corp., 6.50%, due 04/01/33 144A
839,849
500,000
 
Integer Holdings Corp., 1.88%, due 03/15/30 144A
522,000
99,000
 
Intel Corp., 5.60%, due 02/21/54(l)
90,884
625,000
 
Intelsat Jackson Holdings SA, 6.50%, due 03/15/30(l) 144A
638,873
285,000
 
Interface, Inc., 5.50%, due 12/01/28 144A
281,103
2,613,676
 
International Airport Finance SA, 12.00%, due 03/15/33(f)
2,802,837
38,600,000
INR
International Bank for Reconstruction & Development, 6.75%, due 07/13/29
454,966
220,000
EUR
International Personal Finance PLC, 10.75%, due 12/14/29(f)
286,176
525,000
 
Intesa Sanpaolo SpA, 3.88%, due 01/12/28 144A
515,149
785,000
 
Intesa Sanpaolo SpA, 4.20% (1 yr. CMT + 2.60%), due 06/01/32(b) 144A
722,514
350,000
 
Intesa Sanpaolo SpA, 5.71%, due 01/15/26 144A
350,816
200,000
 
Intesa Sanpaolo SpA, 6.63%, due 06/20/33 144A
217,244
300,000
 
Intesa Sanpaolo SpA, 7.80%, due 11/28/53 144A
351,101
275,000
EUR
Intesa Sanpaolo SpA, 9.13% (5 yr. EURIBOR ICE Swap + 6.26%)(b)(f)(m)
374,704
800,000
 
Ionis Pharmaceuticals, Inc., 1.75%, due 06/15/28
842,500
255,000
EUR
IQVIA, Inc., 2.25%, due 01/15/28(f)
291,913
1,400,000
 
IQVIA, Inc., 6.25%, due 06/01/32 144A
1,438,455
1,290,000
 
Iron Mountain, Inc., 4.88%, due 09/15/29 144A
1,268,300
400,000
 
Iron Mountain, Inc., 5.25%, due 03/15/28 144A
398,515
280,000
 
Ithaca Energy North Sea PLC, 8.13%, due 10/15/29 144A
289,059
1,250,000
 
ITT Holdings LLC, 6.50%, due 08/01/29 144A
1,189,751
1,130,000
 
Ivanhoe Mines Ltd., 7.88%, due 01/23/30(l) 144A
1,128,829
745,000
 
Ivanhoe Mines Ltd., 7.88%, due 01/23/30(f)
744,228
220,000
 
Jaguar Land Rover Automotive PLC, 4.50%, due 10/01/27(l) 144A
216,191
880,000
 
Jane Street Group/JSG Finance, Inc., 6.13%, due 11/01/32 144A
888,951
1,200,000
 
Jane Street Group/JSG Finance, Inc., 6.75%, due 05/01/33 144A
1,234,597
1,730,000
 
Jane Street Group/JSG Finance, Inc., 7.13%, due 04/30/31 144A
1,821,486
575,000
 
Jazz Investments I Ltd., 3.13%, due 09/15/30 144A
612,375
475,000
 
JBT Marel Corp., 0.25%, due 05/15/26
473,622
1,225,000
 
JetBlue Airways Corp./JetBlue Loyalty LP, 9.88%, due 09/20/31 144A
1,192,545
55,000
 
JH North America Holdings, Inc., 5.88%, due 01/31/31 144A
55,515
265,000
 
K Hovnanian Enterprises, Inc., 11.75%, due 09/30/29 144A
287,607
2,110,000
 
KazMunayGas National Co. JSC, 6.38%, due 10/24/48(f)
1,954,503
295,000
 
KBR, Inc., 4.75%, due 09/30/28 144A
283,998
1,375,000
 
Khazanah Global Sukuk Bhd., 4.69%, due 06/01/28(f)
1,385,016
1,285,000
 
Korn Ferry, 4.63%, due 12/15/27 144A
1,279,988
120See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
200,000
GBP
La Banque Postale SA, 5.63% (1 yr. U.K. Government Bond + 2.60%), due
09/21/28(b)(f)
277,792
115,000
 
LABL, Inc., 5.88%, due 11/01/28 144A
100,779
829,000
 
LABL, Inc., 8.63%, due 10/01/31(l) 144A
709,710
800,000
 
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp., 4.25%, due
02/01/27 144A
789,224
1,590,000
 
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp., 7.00%, due
07/15/31 144A
1,663,689
500,000
 
Lamb Weston Holdings, Inc., 4.13%, due 01/31/30 144A
477,333
510,000
 
Lantheus Holdings, Inc., 2.63%, due 12/15/27
649,102
680,000
 
Las Vegas Sands Corp., 3.50%, due 08/18/26
671,224
1,300,000
 
Latam Airlines Group SA, 7.88%, due 04/15/30(f)
1,327,625
952,000
 
LBM Acquisition LLC, 6.25%, due 01/15/29(l) 144A
826,674
750,000
 
LCM Investments Holdings II LLC, 4.88%, due 05/01/29 144A
729,957
225,000
 
LCPR Senior Secured Financing DAC, 5.13%, due 07/15/29 144A
132,757
275,000
 
Level 3 Financing, Inc., 3.75%, due 07/15/29 144A
232,719
290,000
 
Level 3 Financing, Inc., 4.50%, due 04/01/30 144A
263,900
1,300,000
 
Level 3 Financing, Inc., 4.88%, due 06/15/29 144A
1,220,375
525,000
 
Level 3 Financing, Inc., 6.88%, due 06/30/33 144A
534,578
100,000
 
Level 3 Financing, Inc., 10.00%, due 10/15/32 144A
101,168
1,251,943
 
Level 3 Financing, Inc., 11.00%, due 11/15/29 144A
1,437,655
240,000
 
Levi Strauss & Co., 3.50%, due 03/01/31 144A
219,851
455,000
 
LFS Topco LLC, 5.88%, due 10/15/26(l) 144A
455,255
2,561,000
 
LFS Topco LLC, 8.75%, due 07/15/30(d) 144A
2,521,263
105,000
 
Liberty Interactive LLC, 8.25%, due 02/01/30
12,600
2,200,000
 
LifePoint Health, Inc., 8.38%, due 02/15/32 144A
2,345,990
2,840,000
 
Limak Yenilenebilir Enerji AS, 9.63%, due 08/12/30 144A
2,806,559
418,000
 
Lincoln National Corp., 9.25% (5 yr. CMT + 5.32%)(b)(l)(m)
456,405
150,000
EUR
Lion/Polaris Lux 4 SA, 5.56% (3 mo. EURIBOR + 3.63%), due 07/01/29(b)(f)
177,248
275,000
 
Live Nation Entertainment, Inc., 3.13%, due 01/15/29(l)
423,087
2,150,000
 
Live Nation Entertainment, Inc., 4.75%, due 10/15/27(l) 144A
2,128,282
250,000
 
Lloyds Banking Group PLC, 6.75% (5 yr. CMT + 3.15%)(b)(l)(m)
245,245
375,000
GBP
Lloyds Banking Group PLC, 8.50% (5 yr. U.K. Government Bond + 5.14%)(b)(m)
541,682
835,000
EUR
Lorca Telecom Bondco SA, 4.00%, due 09/18/27 144A
980,863
150,000
 
Lumen Technologies, Inc., 4.13%, due 04/15/29 144A
146,438
105,000
 
Lumen Technologies, Inc., 4.50%, due 01/15/29 144A
94,600
350,000
 
Lumentum Holdings, Inc., 1.50%, due 12/15/29(l)
537,600
200,000
EUR
Luminor Holding AS, 7.38% (5 yr. EURIBOR ICE Swap + 5.26%)(b)(f)(m)
242,160
310,000
 
M/I Homes, Inc., 3.95%, due 02/15/30
291,254
175,000
 
Macy's Retail Holdings LLC, 5.13%, due 01/15/42
121,455
4,070,000
 
Madison IAQ LLC, 5.88%, due 06/30/29 144A
4,006,504
210,000
 
Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp., 6.88%, due
12/01/32(l) 144A
211,677
600,000
 
Marex Group PLC, 5.83%, due 05/08/28
607,885
500,000
 
Marvell Technology, Inc., 4.75%, due 07/15/30
502,363
600,000
 
Matador Resources Co., 6.25%, due 04/15/33 144A
597,064
600,000
 
Mauser Packaging Solutions Holding Co., 7.88%, due 04/15/27 144A
610,585
410,000
 
Mavis Tire Express Services Topco Corp., 6.50%, due 05/15/29 144A
403,059
750,000
 
McAfee Corp., 7.38%, due 02/15/30(l) 144A
709,023
750,000
 
McGraw-Hill Education, Inc., 7.38%, due 09/01/31 144A
782,926
See accompanying Notes to the Schedule of Investments
121

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
2,370,000
 
McGraw-Hill Education, Inc., 8.00%, due 08/01/29 144A
2,414,727
160,000
 
Medline Borrower LP, 3.88%, due 04/01/29 144A
153,590
1,100,000
 
Medline Borrower LP, 5.25%, due 10/01/29 144A
1,092,228
1,040,000
 
Medline Borrower LP/Medline Co-Issuer, Inc., 6.25%, due 04/01/29 144A
1,069,675
600,000
 
MEG Energy Corp., 5.88%, due 02/01/29 144A
599,763
1,090,000
 
Mercer International, Inc., 12.88%, due 10/01/28 144A
1,106,910
900,000
 
Meritage Homes Corp., 1.75%, due 05/15/28(l)
875,903
600,000
 
Merlin Entertainments Group U.S. Holdings, Inc., 7.38%, due 02/15/31 144A
536,547
400,000
GBP
Metro Bank Holdings PLC, 12.00% (1 yr. U.K. Government Bond + 7.81%), due
04/30/29(b)(f)
618,007
780,000
 
MHP Lux SA, 6.25%, due 09/19/29(f)
636,044
300,000
 
MicroStrategy, Inc., due 03/01/30(j)(l) 144A
352,910
1,500,000
 
Midcap Financial Issuer Trust, 5.63%, due 01/15/30 144A
1,389,375
2,000,000
 
Midcap Financial Issuer Trust, 6.50%, due 05/01/28 144A
1,982,837
900,000
 
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp., 4.88%, due 05/01/29
144A
867,502
290,000
 
Minerals Technologies, Inc., 5.00%, due 07/01/28 144A
285,448
700,000
 
Molina Healthcare, Inc., 3.88%, due 11/15/30 144A
651,532
750,000
 
Molina Healthcare, Inc., 4.38%, due 06/15/28 144A
733,594
1,000,000
 
Moss Creek Resources Holdings, Inc., 8.25%, due 09/01/31 144A
973,440
75,238
 
MPH Acquisition Holdings LLC, 5.75%, due 12/31/30 144A
62,041
250,000
 
MPT Operating Partnership LP/MPT Finance Corp., 5.00%, due 10/15/27(l)
231,132
500,000
 
MPT Operating Partnership LP/MPT Finance Corp., 8.50%, due 02/15/32 144A
523,680
485,000
 
Muthoot Finance Ltd., 6.38%, due 04/23/29(f)
484,178
625,000
 
MVM Energetika Zrt, 7.50%, due 06/09/28(f)
658,765
432,000
 
Nabors Industries, Inc., 8.88%, due 08/15/31(l) 144A
321,234
480,000
 
Nabors Industries, Inc., 9.13%, due 01/31/30(l) 144A
459,981
700,000
 
Navient Corp., 5.00%, due 03/15/27
697,657
1,950,000
 
NBK Tier 1 Ltd., 3.63% (6 yr. CMT + 2.88%)(b)(f)(m)
1,887,779
481,000
 
NCL Corp. Ltd., 0.88%, due 04/15/30 144A
516,774
775,000
 
NCL Corp. Ltd., 2.50%, due 02/15/27
775,775
600,000
 
NCR Voyix Corp., 5.13%, due 04/15/29 144A
591,478
800,000
 
Nemak SAB de CV, 3.63%, due 06/28/31(f)
663,701
475,000
 
Neptune Bidco U.S., Inc., 9.29%, due 04/15/29 144A
462,887
200,000
 
Newmark Group, Inc., 7.50%, due 01/12/29
211,725
250,000
 
NGL Energy Operating LLC/NGL Energy Finance Corp., 8.38%, due 02/15/32 144A
250,956
90,000
 
Nine Energy Service, Inc., 13.00%, due 02/01/28
46,050
550,000
 
Nippon Life Insurance Co., 6.50% (5 yr. CMT + 3.19%), due 04/30/55(b) 144A
569,765
1,220,000
 
Noble Finance II LLC, 8.00%, due 04/15/30 144A
1,243,275
200,000
 
Nomura Holdings, Inc., 7.00% (5 yr. CMT + 3.08%)(b)(d)(m)
202,800
500,000
 
Northern Oil & Gas, Inc., 8.13%, due 03/01/28 144A
504,803
600,000
 
Northriver Midstream Finance LP, 6.75%, due 07/15/32 144A
621,824
400,000
 
Northwest Acquisitions ULC/Dominion Finco, Inc., 7.13%, due 11/01/22(n) 144A
8
500,000
EUR
Nova Ljubljanska Banka DD, 6.88% (5 yr. EURIBOR ICE Swap + 4.23%), due
01/24/34(b)(f)
629,796
1,700,000
 
Novelis Corp., 3.88%, due 08/15/31(l) 144A
1,528,895
500,000
 
Novelis Corp., 4.75%, due 01/30/30 144A
479,411
2,000,000
 
NRG Energy, Inc., 3.63%, due 02/15/31 144A
1,842,009
500,000
 
NRG Energy, Inc., 6.25%, due 11/01/34 144A
509,737
700,000
 
Nutanix, Inc., 0.50%, due 12/15/29(l) 144A
794,986
122See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
225,000
GBP
Oaknorth Bank PLC, 10.00% (5 yr. U.K. Government Bond + 6.20%), due 01/09/35(b)(f)
323,124
650,000
 
Occidental Petroleum Corp., 5.20%, due 08/01/29
652,568
220,000
 
Oceaneering International, Inc., 6.00%, due 02/01/28
221,959
710,000
 
OCP SA, 3.75%, due 06/23/31(f)
637,540
515,000
 
OCP SA, 6.70%, due 03/01/36 144A
518,440
755,000
 
OCP SA, 6.70%, due 03/01/36(f)
760,120
450,000
EUR
Odido Holding BV, 3.75%, due 01/15/29(f)
523,940
440,000
EUR
Olympus Water U.S. Holding Corp., 9.63%, due 11/15/28(f)
543,690
1,100,000
 
Olympus Water U.S. Holding Corp., 9.75%, due 11/15/28 144A
1,159,708
600,000
 
ON Semiconductor Corp., 3.88%, due 09/01/28 144A
580,931
425,000
EUR
Oncor Electric Delivery Co. LLC, 3.63%, due 06/15/34 144A
498,420
1,250,000
 
OneMain Finance Corp., 3.50%, due 01/15/27
1,224,567
2,800,000
 
OneMain Finance Corp., 6.63%, due 05/15/29
2,879,243
750,000
 
ONEOK, Inc., 5.45%, due 06/01/47
666,341
1,600,000
 
Open Text Holdings, Inc., 4.13%, due 02/15/30 144A
1,513,664
1,810,000
 
Option Care Health, Inc., 4.38%, due 10/31/29 144A
1,743,414
1,500,000
 
Organon & Co./Organon Foreign Debt Co-Issuer BV, 4.13%, due 04/30/28 144A
1,443,595
920,000
 
Organon & Co./Organon Foreign Debt Co-Issuer BV, 5.13%, due 04/30/31 144A
799,191
3,720,000
 
Oscar AcquisitionCo LLC/Oscar Finance, Inc., 9.50%, due 04/15/30 144A
3,032,049
165,000
 
Owens & Minor, Inc., 6.63%, due 04/01/30(l) 144A
155,145
1,200,000
 
Pacific Gas & Electric Co., 5.70%, due 03/01/35
1,189,885
2,100,000
 
Pacific Gas & Electric Co., 6.00%, due 08/15/35
2,124,458
700,000
 
Pampa Energia SA, 7.95%, due 09/10/31 144A
712,746
755,000
 
Parsons Corp., 2.63%, due 03/01/29
806,340
790,000
 
Patrick Industries, Inc., 6.38%, due 11/01/32 144A
792,727
1,000,000
 
Pattern Energy Operations LP/Pattern Energy Operations, Inc., 4.50%, due 08/15/28
144A
969,486
487,000
EUR
Peach Property Finance GmbH, 4.38%, due 11/15/25(f)
559,652
500,000
 
Pebblebrook Hotel LP/PEB Finance Corp., 6.38%, due 10/15/29 144A
503,029
202,000
 
PennyMac Financial Services, Inc., 6.88%, due 05/15/32 144A
206,665
950,000
 
Performance Food Group, Inc., 4.25%, due 08/01/29 144A
916,977
876,000
 
Performance Food Group, Inc., 6.13%, due 09/15/32(l) 144A
897,185
200,000
EUR
Permanent TSB Group Holdings PLC, 7.88% (5 yr. EUR Swap annual + 8.47%)(b)(f)(m)
238,757
1,050,000
 
Permian Resources Operating LLC, 6.25%, due 02/01/33 144A
1,060,421
2,880,000
 
Petroleos Mexicanos, 5.95%, due 01/28/31(l)
2,606,329
2,500,000
 
Petroleos Mexicanos, 6.38%, due 01/23/45(l)
1,772,497
565,000
 
Petroleos Mexicanos, 6.70%, due 02/16/32
525,435
630,000
 
Petroleos Mexicanos, 6.75%, due 09/21/47
456,697
1,020,000
 
Petroleos Mexicanos, 7.69%, due 01/23/50
802,954
3,059,000
 
Petronas Capital Ltd., 3.40%, due 04/28/61(f)
1,997,776
1,770,000
 
Petronas Capital Ltd., 4.80%, due 04/21/60(f)
1,526,859
1,000,000
 
PG&E Corp., 4.25%, due 12/01/27
994,800
1,045,000
 
PG&E Corp., 7.38% (5 yr. CMT + 3.88%), due 03/15/55(b)
992,249
250,000
EUR
Picard Groupe SAS, 6.38%, due 07/01/29(f)
306,706
4,850,000
 
Pingan Real Estate Capital Ltd., 3.45%, due 07/29/26(f)
4,696,337
200,000
EUR
Piraeus Financial Holdings SA, 5.38% (5 yr. EURIBOR ICE Swap + 3.15%), due
09/18/35(b)(f)
244,495
1,350,000
EUR
Piraeus Financial Holdings SA, 8.75% (5 yr. EUR Swap annual + 9.20%)(b)(f)(m)
1,646,387
140,000
 
Pitney Bowes, Inc., 7.25%, due 03/15/29 144A
142,845
See accompanying Notes to the Schedule of Investments
123

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,615,000
 
Planet Financial Group LLC, 10.50%, due 12/15/29 144A
1,617,859
365,000
 
Planet Financial Group LLC, 10.50%, due 12/15/29 144A
366,825
160,000
 
Playtika Holding Corp., 4.25%, due 03/15/29 144A
145,348
2,100,000
 
Post Holdings, Inc., 4.50%, due 09/15/31 144A
1,951,098
375,000
 
Post Holdings, Inc., 4.63%, due 04/15/30 144A
360,849
1,660,000
 
Post Holdings, Inc., 6.25%, due 10/15/34 144A
1,673,577
295,000
 
Precision Drilling Corp., 6.88%, due 01/15/29 144A
291,660
310,000
 
Prestige Brands, Inc., 3.75%, due 04/01/31 144A
285,871
300,000
 
Prime Healthcare Services, Inc., 9.38%, due 09/01/29(l) 144A
297,963
1,500,000
 
Prime Security Services Borrower LLC/Prime Finance, Inc., 3.38%, due 08/31/27 144A
1,454,196
1,365,000
 
Primo Water Holdings, Inc./Triton Water Holdings, Inc., 6.25%, due 04/01/29 144A
1,375,648
225,000
 
PROG Holdings, Inc., 6.00%, due 11/15/29 144A
216,258
3,210,000
 
Quikrete Holdings, Inc., 6.38%, due 03/01/32 144A
3,302,913
1,490,000
 
Quikrete Holdings, Inc., 6.75%, due 03/01/33 144A
1,538,352
600,000
 
QXO Building Products, Inc., 6.75%, due 04/30/32 144A
619,621
110,000
 
Rackspace Finance LLC, 3.50%, due 05/15/28 144A
45,319
575,000
 
Radiology Partners, Inc., 8.50%, due 07/15/32 144A
577,058
1,500,000
 
Railworks Holdings LP/Railworks Rally, Inc., 8.25%, due 11/15/28 144A
1,534,897
710,000
 
Raising Cane's Restaurants LLC, 9.38%, due 05/01/29 144A
750,163
625,000
 
Raizen Fuels Finance SA, 6.25%, due 07/08/32(d) 144A
621,094
1,285,000
 
Raizen Fuels Finance SA, 6.70%, due 02/25/37(f)
1,262,512
265,000
 
Rakuten Group, Inc., 9.75%, due 04/15/29 144A
291,016
2,400,000
 
Rand Parent LLC, 8.50%, due 02/15/30(l) 144A
2,411,988
900,000
 
Raven Acquisition Holdings LLC, 6.88%, due 11/15/31 144A
902,288
3,030,000
 
Real Hero Merger Sub 2, Inc., 6.25%, due 02/01/29 144A
2,194,910
1,600,000
 
Resorts World Las Vegas LLC/RWLV Capital, Inc., 4.63%, due 04/16/29(f)
1,418,349
365,000
 
Reworld Holding Corp., 4.88%, due 12/01/29 144A
347,529
500,000
 
Rexford Industrial Realty LP, 4.38%, due 03/15/27 144A
496,250
1,145,000
 
Rfna LP, 7.88%, due 02/15/30(l) 144A
1,172,646
600,000
 
RHP Hotel Properties LP/RHP Finance Corp., 4.50%, due 02/15/29 144A
586,874
280,000
 
Rithm Capital Corp., 8.00%, due 04/01/29 144A
283,099
525,000
 
Rivian Automotive, Inc., 3.63%, due 10/15/30
472,303
300,000
 
Rivian Automotive, Inc., 4.63%, due 03/15/29
305,813
650,000
 
Rivian Holdings LLC/Rivian LLC/Rivian Automotive LLC, 10.00%, due 01/15/31 144A
639,046
948,000
 
RLJ Lodging Trust LP, 3.75%, due 07/01/26 144A
939,086
600,000
 
RLJ Lodging Trust LP, 4.00%, due 09/15/29 144A
560,314
1,700,000
 
Rocket Cos., Inc., 6.13%, due 08/01/30 144A
1,733,413
185,000
 
Rocket Cos., Inc., 6.38%, due 08/01/33 144A
189,523
170,000
 
Rocket Software, Inc., 6.50%, due 02/15/29 144A
165,116
100,000
 
Rocket Software, Inc., 9.00%, due 11/28/28 144A
103,169
1,920,000
EUR
Rolls-Royce PLC, 4.63%, due 02/16/26(f)
2,273,914
300,000
 
Royal Bank of Canada, 6.75% (5 yr. CMT + 2.82%), due 08/24/85(b)
300,972
890,000
 
Royal Caribbean Cruises Ltd., 4.25%, due 07/01/26 144A
886,079
1,700,000
 
Royal Caribbean Cruises Ltd., 5.50%, due 04/01/28 144A
1,722,216
750,000
 
Ryan Specialty LLC, 5.88%, due 08/01/32 144A
756,379
230,000
 
S&S Holdings LLC, 8.38%, due 10/01/31 144A
224,966
800,000
 
Sammons Financial Group, Inc., 6.88%, due 04/15/34 144A
858,490
1,185,000
 
SAN Miguel Industrias Pet SA/NG PET R&P Latin America SA, 3.75%, due 08/02/28(f)
1,113,881
640,000
 
Sands China Ltd., 5.40%, due 08/08/28
645,172
124See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
550,000
 
Santander Holdings USA, Inc., 5.47% (SOFR + 1.61%), due 03/20/29(b)
559,341
1,800,000
 
Sasol Financing USA LLC, 4.50%, due 11/08/27(f)
1,658,250
1,215,000
 
Science Applications International Corp., 4.88%, due 04/01/28 144A
1,196,922
3,560,000
 
Scientific Games Holdings LP/Scientific Games U.S. FinCo, Inc., 6.63%, due 03/01/30
144A
3,433,543
750,000
 
SCIH Salt Holdings, Inc., 4.88%, due 05/01/28(l) 144A
731,185
4,650,000
 
SCIH Salt Holdings, Inc., 6.63%, due 05/01/29(l) 144A
4,550,205
400,000
EUR
SCOR SE, 6.00% (5 yr. EURIBOR ICE Swap + 3.86%)(b)(f)(m)
477,051
1,578,000
 
Scripps Escrow II, Inc., 3.88%, due 01/15/29(l) 144A
1,375,132
120,000
 
Scripps Escrow II, Inc., 5.38%, due 01/15/31 144A
83,197
600,000
 
Seadrill Finance Ltd., 8.38%, due 08/01/30(l) 144A
611,540
1,600,000
 
Seagate HDD Cayman, 5.75%, due 12/01/34
1,584,854
500,000
 
Sealed Air Corp./Sealed Air Corp. U.S., 6.13%, due 02/01/28 144A
507,643
770,000
 
Select Medical Corp., 6.25%, due 12/01/32 144A
775,106
500,000
 
Sensata Technologies BV, 4.00%, due 04/15/29 144A
475,975
1,400,000
 
Service Corp. International, 5.75%, due 10/15/32
1,416,027
140,000
EUR
Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc., 5.50%, due 05/15/33 144A
170,412
1,435,000
 
Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc., 6.75%, due 08/15/32 144A
1,491,243
2,430,000
 
Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons
Feed, 4.63%, due 03/01/29 144A
2,296,407
1,011,000
 
Sirius XM Radio LLC, 3.13%, due 09/01/26 144A
992,695
740,000
 
Six Flags Entertainment Corp., 7.25%, due 05/15/31 144A
760,950
750,000
 
Six Flags Entertainment Corp. /Six Flags Theme Parks, Inc./Canada's Wonderland Co.,
6.63%, due 05/01/32 144A
774,045
1,700,000
 
SLM Corp., 6.50%, due 01/31/30
1,785,680
951,000
 
SM Energy Co., 6.75%, due 08/01/29 144A
948,331
980,000
 
Snap, Inc., 6.88%, due 03/01/33 144A
1,006,216
211,000
 
Snowflake, Inc., due 10/01/29(j) 144A
328,712
425,000
 
Societe Generale SA, 5.38% (5 yr. CMT + 4.51%)(b)(f)(m)
389,843
425,000
 
Societe Generale SA, 5.51% (SOFR + 1.65%), due 05/22/31(b) 144A
433,569
450,000
 
Societe Generale SA, 10.00% (5 yr. CMT + 5.45%)(b)(m) 144A
492,230
750,000
 
Sotheby's, 7.38%, due 10/15/27 144A
745,116
111,000
 
South Bow Canadian Infrastructure Holdings Ltd., 7.63% (5 yr. CMT + 3.95%), due
03/01/55(b)(l) 144A
115,699
1,200,000
 
Southern California Edison Co., 5.63%, due 02/01/36
1,168,478
358,000
 
Southern Co., 3.25%, due 06/15/28 144A
360,685
625,000
 
Southern Co., 3.88%, due 12/15/25
692,531
300,000
 
Specialty Building Products Holdings LLC/SBP Finance Corp., 7.75%, due 10/15/29
144A
295,089
600,000
 
Spirit AeroSystems, Inc., 9.75%, due 11/15/30 144A
662,461
1,432,162
 
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd., 11.00% (RESEARCH:), due 03/12/30
144A
1,027,576
280,000
 
SS&C Technologies, Inc., 5.50%, due 09/30/27 144A
280,440
1,000,000
 
SS&C Technologies, Inc., 6.50%, due 06/01/32 144A
1,039,026
600,000
 
Stagwell Global LLC, 5.63%, due 08/15/29 144A
574,539
500,000
 
Standard Building Solutions, Inc., 6.50%, due 08/15/32 144A
512,642
1,725,000
 
Standard Industries, Inc., 4.38%, due 07/15/30 144A
1,634,380
480,000
 
Staples, Inc., 10.75%, due 09/01/29 144A
456,684
1,000,000
 
Star Leasing Co. LLC, 7.63%, due 02/15/30 144A
992,472
435,000
 
Star Parent, Inc., 9.00%, due 10/01/30(l) 144A
458,085
See accompanying Notes to the Schedule of Investments
125

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
620,000
 
Starwood Property Trust, Inc., 7.25%, due 04/01/29 144A
652,904
60,000
 
Starz Capital Holdings LLC, 5.50%, due 04/15/29 144A
50,046
500,000
 
Station Casinos LLC, 4.50%, due 02/15/28 144A
490,614
1,300,000
 
Station Casinos LLC, 4.63%, due 12/01/31(l) 144A
1,218,566
500,000
 
Station Casinos LLC, 6.63%, due 03/15/32 144A
511,569
220,000
 
Steelcase, Inc., 5.13%, due 01/18/29
219,457
925,000
 
Stillwater Mining Co., 4.50%, due 11/16/29(f)
827,994
1,400,000
 
Stonepeak Nile Parent LLC, 7.25%, due 03/15/32(l) 144A
1,484,988
195,000
 
Stonex Escrow Issuer LLC, 6.88%, due 07/15/32(d) 144A
197,118
2,715,000
 
Studio City Finance Ltd., 5.00%, due 01/15/29(f)
2,493,160
525,000
 
Suci Second Investment Co., 6.00%, due 10/25/28(f)
546,705
280,000
 
Summit Midstream Holdings LLC, 8.63%, due 10/31/29 144A
286,677
300,000
 
SunCoke Energy, Inc., 4.88%, due 06/30/29 144A
279,461
597,000
 
Sunoco LP, 6.25%, due 07/01/33 144A
607,342
5,030,000
 
Surgery Center Holdings, Inc., 7.25%, due 04/15/32 144A
5,131,918
750,000
 
Synaptics, Inc., 4.00%, due 06/15/29(l) 144A
712,769
170,000
 
Synchrony Financial, 7.25%, due 02/02/33(l)
177,959
1,000,000
 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp., 6.00%, due 12/31/30 144A
982,141
185,000
 
Talos Production, Inc., 9.38%, due 02/01/31 144A
189,026
140,000
 
Taylor Morrison Communities, Inc., 5.75%, due 01/15/28 144A
142,199
725,000
 
TC Ziraat Bankasi AS, 8.00%, due 01/16/29(f)
747,330
725,000
 
TC Ziraat Bankasi AS, 8.99% (5 yr. CMT + 4.33%), due 08/02/34(b)(f)
753,271
250,000
EUR
TeamSystem SpA, 5.78% (3 mo. EURIBOR + 3.50%), due 07/31/31(b)(f)
294,352
150,000
EUR
TeamSystem SpA, 6.03% (3 mo. EURIBOR + 3.75%), due 02/15/28(b)(f)
176,077
750,000
 
TEGNA, Inc., 4.63%, due 03/15/28
731,692
700,000
 
TEGNA, Inc., 5.00%, due 09/15/29
669,140
2,320,000
 
Teine Energy Ltd., 6.88%, due 04/15/29 144A
2,317,839
1,108,000
 
Telecom Argentina SA, 9.25%, due 05/28/33 144A
1,129,462
800,000
 
Telenet Finance Luxembourg Notes SARL, 5.50%, due 03/01/28 144A
795,434
1,000,000
 
Telesat Canada/Telesat LLC, 5.63%, due 12/06/26 144A
605,000
286,000
 
TELUS Corp., 7.00% (5 yr. CMT + 2.71%), due 10/15/55(b)(l)
288,629
1,200,000
 
Tenet Healthcare Corp., 4.38%, due 01/15/30
1,162,542
1,510,000
 
Tenet Healthcare Corp., 6.13%, due 10/01/28
1,513,059
750,000
 
Tenneco, Inc., 8.00%, due 11/17/28 144A
742,476
635,000
 
Termocandelaria Power SA, 7.75%, due 09/17/31 144A
651,986
1,000,000
 
TerraForm Power Operating LLC, 5.00%, due 01/31/28 144A
990,495
285,000
EUR
Teva Pharmaceutical Finance Netherlands II BV, 1.88%, due 03/31/27(f)
326,271
368,000
EUR
Teva Pharmaceutical Finance Netherlands II BV, 7.38%, due 09/15/29
491,013
220,000
 
Texas Capital Bancshares, Inc., 4.00% (5 yr. CMT + 3.15%), due 05/06/31(b)
213,573
1,000,000
 
TGNR Intermediate Holdings LLC, 5.50%, due 10/15/29 144A
969,775
600,000
 
TGS ASA, 8.50%, due 01/15/30 144A
621,643
315,000
 
Thor Industries, Inc., 4.00%, due 10/15/29 144A
295,585
500,000
 
Tidewater, Inc., 9.13%, due 07/15/30(d) 144A
514,802
690,000
GBP
Time Warner Cable LLC, 5.25%, due 07/15/42
802,132
700,000
 
TK Elevator U.S. Newco, Inc., 5.25%, due 07/15/27 144A
699,975
760,000
 
T-Mobile USA, Inc., 3.50%, due 04/15/31
714,054
970,000
 
TopBuild Corp., 4.13%, due 02/15/32(l) 144A
900,153
3,630,000
 
Toucan FinCo Ltd./Toucan FinCo Can, Inc./Toucan FinCo U.S. LLC, 9.50%, due
05/15/30 144A
3,713,772
126See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
2,030,000
 
Trade & Development Bank of Mongolia LLC, 8.50%, due 12/23/27(f)
1,951,957
170,000
 
TransCanada PipeLines Ltd., 7.00% (5 yr. CMT + 2.61%), due 06/01/65(b)
170,273
424,000
 
Transcanada Trust, 5.60% (5 yr. CMT + 3.99%), due 03/07/82(b)
412,386
113,000
 
Transcanada Trust, 5.88% (3 mo. USD LIBOR + 4.64%), due 08/15/76(b)
113,461
740,000
 
TransDigm, Inc., 6.88%, due 12/15/30 144A
768,344
750,000
 
TransMontaigne Partners LLC, 8.50%, due 06/15/30 144A
780,836
1,128,000
 
Transocean, Inc., 6.80%, due 03/15/38(l)
794,165
585,000
 
Transocean, Inc., 8.50%, due 05/15/31 144A
522,679
850,000
 
Trident Energy Finance PLC, 12.50%, due 11/30/29(f)
853,277
750,000
 
Trident TPI Holdings, Inc., 12.75%, due 12/31/28 144A
796,523
1,074,000
 
Trivium Packaging Finance BV, 8.25%, due 07/15/30 144A
1,136,563
500,000
 
Tronox, Inc., 4.63%, due 03/15/29(l) 144A
431,884
515,000
 
TrueNoord Capital DAC, 8.75%, due 03/01/30 144A
535,190
1,000,000
 
Trust Fibra Uno, 6.39%, due 01/15/50(f)
836,207
1,035,000
 
Trust Fibra Uno, 7.38%, due 02/13/34(f)
1,054,763
750,000
 
Turkiye Is Bankasi AS, 9.13% (5 yr. CMT + 4.63%)(b)(f)(m)
770,009
725,000
 
Turkiye Vakiflar Bankasi TAO, 9.00%, due 10/12/28(f)
769,426
135,000
 
Turning Point Brands, Inc., 7.63%, due 03/15/32 144A
141,678
260,000
 
Tutor Perini Corp., 11.88%, due 04/30/29 144A
292,887
300,000
 
Twilio, Inc., 3.63%, due 03/15/29
285,880
600,000
 
Twilio, Inc., 3.88%, due 03/15/31(l)
561,712
1,500,000
 
U.S. Acute Care Solutions LLC, 9.75%, due 05/15/29 144A
1,549,032
3,500,000
 
U.S. Foods, Inc., 4.63%, due 06/01/30 144A
3,411,455
720,000
 
U.S. Foods, Inc., 7.25%, due 01/15/32 144A
759,092
171,500
 
U.S. Renal Care, Inc., 10.63%, due 06/28/28 144A
146,847
275,000
 
UBS Group AG, 6.88% (5 yr. USD Swap + 4.59%)(b)(f)(m)
275,426
590,000
 
UBS Group AG, 7.00% (5 yr. USD SOFR ICE Swap Rate + 3.08%)(b)(m) 144A
588,396
300,000
 
UBS Group AG, 9.02% (SOFR + 5.02%), due 11/15/33(b) 144A
371,032
680,000
 
UBS Group AG, 9.25% (5 yr. CMT + 4.75%)(b)(m) 144A
743,902
916,000
 
UBS Group AG, 9.25% (5 yr. CMT + 4.76%)(b)(m) 144A
1,061,562
730,000
 
UKG, Inc., 6.88%, due 02/01/31 144A
757,886
200,000
 
Under Armour, Inc., 7.25%, due 07/15/30 144A
203,041
285,000
 
UniCredit SpA, 5.46% (5 yr. CMT + 4.75%), due 06/30/35(b) 144A
283,479
600,000
EUR
United Group BV, 6.75%, due 02/15/31(f)
723,451
1,550,000
 
Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC, 4.75%, due 04/15/28
144A
1,520,303
500,000
 
Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC, 6.50%, due
02/15/29(l) 144A
483,747
278,000
 
Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC, 8.63%, due 06/15/32
144A
281,060
204,000
 
Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC, 10.50%, due 02/15/28
144A
216,402
1,225,000
 
Unity Software, Inc., 0.81%, due 03/15/30(k) 144A
1,255,012
2,300,000
 
Univision Communications, Inc., 4.50%, due 05/01/29(l) 144A
2,093,406
295,000
 
Upbound Group, Inc., 6.38%, due 02/15/29 144A
292,184
110,000
 
Urban One, Inc., 7.38%, due 02/01/28 144A
62,038
1,800,000
 
Valaris Ltd., 8.38%, due 04/30/30 144A
1,848,175
305,000
 
Valley National Bancorp, 3.00% (3 mo. USD Term SOFR + 2.36%), due 06/15/31(b)
270,074
295,000
 
Varex Imaging Corp., 7.88%, due 10/15/27 144A
299,062
1,145,000
 
Vedanta Resources Finance II PLC, 9.48%, due 07/24/30 144A
1,136,088
See accompanying Notes to the Schedule of Investments
127

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
1,430,000
 
Vedanta Resources Finance II PLC, 9.85%, due 04/24/33(l) 144A
1,435,552
1,850,000
 
Vedanta Resources Finance II PLC, 9.85%, due 04/24/33 144A
1,876,374
146,000
 
Velocity Vehicle Group LLC, 8.00%, due 06/01/29 144A
146,001
1,060,000
 
Venture Global Calcasieu Pass LLC, 3.88%, due 08/15/29 144A
1,000,115
1,500,000
 
Venture Global Calcasieu Pass LLC, 6.25%, due 01/15/30 144A
1,548,172
157,000
 
Venture Global LNG, Inc., 8.38%, due 06/01/31 144A
163,178
1,600,000
 
Venture Global LNG, Inc., 9.50%, due 02/01/29 144A
1,744,005
1,310,000
 
Venture Global LNG, Inc., 9.88%, due 02/01/32 144A
1,415,570
785,000
 
Venture Global Plaquemines LNG LLC, 6.75%, due 01/15/36
785,000
1,250,000
 
Venture Global Plaquemines LNG LLC, 7.50%, due 05/01/33 144A
1,339,397
330,000
 
Venture Global Plaquemines LNG LLC, 7.75%, due 05/01/35 144A
357,486
1,195,000
 
VEON Holdings BV, 3.38%, due 11/25/27(f)
1,104,422
500,000
EUR
Verisure Midholding AB, 5.25%, due 02/15/29(f)
590,604
145,000
 
Vermilion Energy, Inc., 7.25%, due 02/15/33 144A
136,201
690,000
 
Vertiv Group Corp., 4.13%, due 11/15/28 144A
673,371
245,000
 
VF Corp., 6.00%, due 10/15/33
226,427
295,589
 
VF Ukraine PAT via VFU Funding PLC, 9.63%, due 02/11/27(f)
283,479
1,100,000
 
VFH Parent LLC/Valor Co-Issuer, Inc., 7.50%, due 06/15/31 144A
1,155,153
1,200,000
 
VICI Properties LP/VICI Note Co., Inc., 3.88%, due 02/15/29 144A
1,161,573
750,000
 
VICI Properties LP/VICI Note Co., Inc., 4.13%, due 08/15/30 144A
720,183
1,084,000
 
Victoria's Secret & Co., 4.63%, due 07/15/29(l) 144A
1,012,869
1,140,000
 
Victra Holdings LLC/Victra Finance Corp., 8.75%, due 09/15/29(l) 144A
1,195,723
750,000
 
Viking Baked Goods Acquisition Corp., 8.63%, due 11/01/31 144A
736,702
500,000
 
Viking Cruises Ltd., 5.88%, due 09/15/27 144A
500,592
1,100,000
 
Viking Cruises Ltd., 9.13%, due 07/15/31 144A
1,185,389
1,000,000
 
Virgin Media Vendor Financing Notes IV DAC, 5.00%, due 07/15/28 144A
979,651
1,378,000
 
VistaJet Malta Finance PLC/Vista Management Holding, Inc., 6.38%, due 02/01/30(l)
144A
1,293,260
500,000
 
VistaJet Malta Finance PLC/Vista Management Holding, Inc., 9.50%, due 06/01/28(l)
144A
514,286
1,250,000
 
Vistra Operations Co. LLC, 5.00%, due 07/31/27 144A
1,249,295
900,000
 
Vistra Operations Co. LLC, 6.88%, due 04/15/32 144A
941,519
2,535,000
 
Vital Energy, Inc., 7.88%, due 04/15/32(l) 144A
2,169,442
1,285,000
 
Vivo Energy Investments BV, 5.13%, due 09/24/27(f)
1,261,810
2,900,000
 
Vmed O2 U.K. Financing I PLC, 4.75%, due 07/15/31 144A
2,684,389
420,000
 
VOC Escrow Ltd., 5.00%, due 02/15/28 144A
418,141
405,000
 
VTR Comunicaciones SpA, 5.13%, due 01/15/28(f)
383,634
2,200,000
 
VZ Secured Financing BV, 5.00%, due 01/15/32 144A
1,958,986
840,000
 
Wabash National Corp., 4.50%, due 10/15/28 144A
760,947
220,000
GBP
Waga Bondco Ltd., 8.50%, due 06/15/30(l) 144A
296,295
900,000
 
Walgreens Boots Alliance, Inc., 8.13%, due 08/15/29
955,090
2,920,000
 
Wand NewCo 3, Inc., 7.63%, due 01/30/32 144A
3,071,341
250,000
 
Warnermedia Holdings, Inc., 4.28%, due 03/15/32
211,563
450,000
 
Warnermedia Holdings, Inc., 5.05%, due 03/15/42
305,438
625,000
 
Wayfair LLC, 7.75%, due 09/15/30 144A
630,441
4,185,000
 
WE Soda Investments Holding PLC, 9.50%, due 10/06/28(f)
4,374,152
275,000
 
Weatherford International Ltd., 8.63%, due 04/30/30 144A
283,631
750,000
 
WESCO Distribution, Inc., 6.38%, due 03/15/33(l) 144A
775,719
305,000
 
Western Alliance Bancorp, 3.00% (3 mo. USD Term SOFR + 2.25%), due 06/15/31(b)
284,220
128See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
540,000
 
WEX, Inc., 6.50%, due 03/15/33 144A
545,145
881,000
 
Wilsonart LLC, 11.00%, due 08/15/32(l) 144A
801,213
500,000
 
Wolverine World Wide, Inc., 4.00%, due 08/15/29 144A
448,983
145,000
 
World Acceptance Corp., 7.00%, due 11/01/26 144A
145,402
1,163,000
 
WR Grace Holdings LLC, 5.63%, due 08/15/29 144A
1,053,825
600,000
 
Wyndham Hotels & Resorts, Inc., 4.38%, due 08/15/28 144A
587,334
600,000
 
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp., 5.25%, due 05/15/27(l) 144A
600,857
1,610,000
 
Wynn Macau Ltd., 4.50%, due 03/07/29 144A
1,603,560
700,000
 
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 7.13%, due 02/15/31(l) 144A
746,960
155,000
 
Xerox Holdings Corp., 8.88%, due 11/30/29(l) 144A
117,186
725,000
 
Yapi ve Kredi Bankasi AS, 9.25% (5 yr. CMT + 5.28%), due 01/17/34(b)(f)
756,591
1,200,000
 
Yinson Bergenia Production BV, 8.50%, due 01/31/45(d) 144A
1,217,795
1,125,000
 
YPF SA, 6.95%, due 07/21/27(f)
1,116,808
2,750,000
 
YPF SA, 7.00%, due 09/30/33(f)(g)
2,647,076
1,270,000
 
Yum! Brands, Inc., 3.63%, due 03/15/31
1,173,679
1,000,000
 
Zayo Group Holdings, Inc., 4.00%, due 03/01/27(l) 144A
938,716
1,050,000
 
ZF North America Capital, Inc., 6.88%, due 04/23/32 144A
971,282
500,000
 
ZF North America Capital, Inc., 7.13%, due 04/14/30(l) 144A
489,450
645,000
 
Zhongsheng Group Holdings Ltd., 5.98%, due 01/30/28(f)
638,927
320,000
 
Ziff Davis, Inc., 4.63%, due 10/15/30 144A
298,972
1,700,000
 
Zorlu Enerji Elektrik Uretim AS, 11.00%, due 04/23/30 144A
1,571,029
 
 
696,565,312
 
Mortgage Backed Securities - Private Issuers — 4.8%
315,000
 
ALA Trust, Series 2025-OANA, Class D, 7.39% (1 mo. USD Term SOFR + 3.09%), due
06/15/40(b) 144A
317,314
1,280,000
 
Bank, Series 2022-BNK42, Class A5, 4.49%, due 06/15/55(c)
1,246,862
1,020,000
 
Bank, Series 2024-BNK48, Class A5, 5.05%, due 10/15/57
1,026,581
1,544,900
 
Barclays Mortgage Trust, Series 2022-RPL1, Class B, 4.25%, due 02/25/28(g) 144A
1,518,449
280,000
 
BBCMS Mortgage Trust, Series 2019-C5, Class A4, 3.06%, due 11/15/52
263,362
345,000
 
BBCMS Mortgage Trust, Series 2020-C6, Class AS, 2.84%, due 02/15/53
311,296
250,000
 
Benchmark Mortgage Trust, Series 2020-B16, Class AM, 2.94%, due 02/15/53(c)
225,386
443,301
 
BX Commercial Mortgage Trust, Series 2021-21M, Class A, 5.16% (1 mo. USD Term
SOFR + 0.84%), due 10/15/36(b) 144A
443,286
762,996
 
BX Commercial Mortgage Trust, Series 2021-ACNT, Class A, 5.28% (1 mo. USD Term
SOFR + 0.96%), due 11/15/38(b) 144A
763,007
1,260,000
 
BX Commercial Mortgage Trust, Series 2022-AHP, Class A, 5.30% (1 mo. USD Term
SOFR + 0.99%), due 01/17/39(b) 144A
1,259,693
2,000,000
 
BX Trust, Series 2021-ARIA, Class G, 7.57% (1 mo. USD Term SOFR + 3.26%), due
10/15/36(b) 144A
1,986,073
1,110,000
 
BX Trust, Series 2025-GW, Class E, 7.95% (1 mo. USD Term SOFR + 3.65%), due
07/15/42(b)(d) 144A
1,116,129
77,629
 
CFCRE Commercial Mortgage Trust, Series 2011-C2, Class D, 5.08%, due 12/15/47(c)
144A
75,000
270,000
 
Citigroup Commercial Mortgage Trust, Series 2017-C4, Class A4, 3.47%, due 10/12/50
264,021
290,249
 
COMM Mortgage Trust, Series 2012-CR3, Class B, 3.92%, due 10/15/45 144A
272,577
1,968,000
 
COMM Mortgage Trust, Series 2015-LC19, Class D, 2.87%, due 02/10/48 144A
1,790,754
2,075,000
 
COMM Mortgage Trust, Series 2024-CBM, Class E, 8.19%, due 12/10/41(c) 144A
2,062,219
1,000,000
 
CSMC Trust, Series 2018-RPL9, Class A2, 3.96%, due 09/25/57(c) 144A
943,775
See accompanying Notes to the Schedule of Investments
129

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - Private Issuers — continued
1,994,217
 
Extended Stay America Trust, Series 2021-ESH, Class F, 8.13% (1 mo. USD Term
SOFR + 3.81%), due 07/15/38(b) 144A
1,997,640
62,299
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2017-2,
Class M1, 4.00%, due 08/25/56(c) 144A
62,019
415,000
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2018-3,
Class M, 4.75%, due 08/25/57(c) 144A
402,515
235,337
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2019-1,
Class M, 4.75%, due 07/25/58(c) 144A
228,416
642,468
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2019-3,
Class M, 4.75%, due 10/25/58(c)
626,815
560,000
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2019-4,
Class M, 4.50%, due 02/25/59(c) 144A
533,658
370,000
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2020-1,
Class M, 4.25%, due 08/25/59(c) 144A
354,952
587,829
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2020-2,
Class M, 4.25%, due 11/25/59(c) 144A
566,581
590,000
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2020-3,
Class M, 4.25%, due 05/25/60(c) 144A
564,694
456,873
 
Federal Home Loan Mortgage Corp. Seasoned Credit Risk Transfer Trust, Series 2021-1,
Class M, 4.25%, due 09/25/60 144A
439,271
1,850,000
 
Federal Home Loan Mortgage Corp. STACR REMICS Trust, Series 2020-HQA2,
Class B2, 12.02% (SOFR 30-day average + 7.71%), due 03/25/50(b) 144A
2,246,042
1,600,000
 
Federal Home Loan Mortgage Corp. STACR REMICS Trust, Series 2021-DNA7,
Class B2, 12.11% (SOFR 30-day average + 7.80%), due 11/25/41(b) 144A
1,713,039
3,095,000
 
Federal Home Loan Mortgage Corp. STACR REMICS Trust, Series 2022-DNA1,
Class B2, 11.41% (SOFR 30-day average + 7.10%), due 01/25/42(b) 144A
3,303,280
4,100,000
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2019-HRP1, Class B1, 13.67% (SOFR 30-day average + 9.36%), due 11/25/39(b)
144A
4,425,940
1,905,000
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2021-R03, Class 1B2, 9.81% (SOFR 30-day average + 5.50%), due 12/25/41(b) 144A
1,986,777
1,895,000
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2022-R01, Class 1B2, 10.31% (SOFR 30-day average + 6.00%), due 12/25/41(b) 144A
1,990,920
1,840,000
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2022-R02, Class 2B2, 11.96% (SOFR 30-day average + 7.65%), due 01/25/42(b) 144A
1,980,902
800,000
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2022-R03, Class 1B2, 14.16% (SOFR 30-day average + 9.85%), due 03/25/42(b) 144A
896,354
2,300,000
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2022-R04, Class 1B2, 13.81% (SOFR 30-day average + 9.50%), due 03/25/42(b) 144A
2,563,688
3,155,000
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2022-R05, Class 2B2, 11.31% (SOFR 30-day average + 7.00%), due 04/25/42(b) 144A
3,417,043
1,921,214
 
Federal National Mortgage Association Connecticut Avenue Securities Trust, Series
2022-R07, Class 1B2, 16.31% (SOFR 30-day average + 12.00%), due 06/25/42(b)
144A
2,250,837
280,000
 
GS Mortgage Securities Trust, Series 2014-GC22, Class D, 4.73%, due 06/10/47(c) 144A
85,596
2,500,000
 
GS Mortgage-Backed Securities Trust, Series 2025-NQM2, Class A1, 5.65%, due
06/25/65(c) 144A
2,509,922
1,400,000
 
GS Mortgage-Backed Securities Trust, Series 2025-RPL3, Class A1, 4.10%, due
07/25/65(g) 144A
1,357,888
119,964
 
HarborView Mortgage Loan Trust, Series 2005-9, Class 2A1C, 5.33% (1 mo. USD Term
SOFR + 1.01%), due 06/20/35(b)
112,966
1,175,000
 
JP Morgan Chase Commercial Mortgage Securities Trust, Series 2012-LC9, Class E,
3.69%, due 12/15/47(c) 144A
1,073,399
130See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - Private Issuers — continued
1,100,000
 
JP Morgan Seasoned Mortgage Trust, Series 2025-1, Class A4, 3.70%, due 01/25/63(c)
144A
1,031,470
1,715,000
 
JPMBB Commercial Mortgage Securities Trust, Series 2014-C22, Class B, 4.66%, due
09/15/47(c)
1,641,868
109,820
 
MHC Commercial Mortgage Trust, Series 2021-MHC, Class A, 5.23% (1 mo. USD
Term SOFR + 0.92%), due 04/15/38(b) 144A
109,864
1,502,448
 
Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C9, Class E, 3.93%,
due 05/15/46(c) 144A
1,359,398
298,837
 
MSBAM Commercial Mortgage Securities Trust, Series 2012-CKSV, Class A2, 3.28%,
due 10/15/30 144A
284,637
490,000
 
MSWF Commercial Mortgage Trust, Series 2023-1, Class A4, 5.47%, due 05/15/56
504,861
900,000
 
Multifamily Housing Mortgage Loan Trust, Series Q034, Class APT2, 2.86%, due
07/25/54(c)
868,572
1,470,000
 
NCMF Trust, Series 2025-MFS, Class E, 7.53%, due 06/10/33(c) 144A
1,486,822
273,451
 
New Residential Mortgage Loan Trust, Series 2017-5A, Class B4, 6.08%, due
06/25/57(c) 144A
268,424
2,400,000
 
Oceanview Mortgage Trust, Series 2025-3, Class AF1, 5.26% (SOFR 30-day average +
0.95%), due 05/25/55(b) 144A
2,418,000
1,885,019
 
PRET LLC, Series 2025-NPL5, Class A1, 6.24%, due 05/25/55(g) 144A
1,893,669
690,000
 
PRET LLC, Series 2025-NPL5, Class A2, 8.72%, due 05/25/55(g) 144A
694,605
992,501
 
PRET Trust, Series 2025-RPL3, Class A1, 4.15%, due 04/25/65(g) 144A
955,542
2,630,000
 
PRET Trust, Series 2025-RPL3, Class M1, 4.15%, due 04/25/65(g) 144A
2,337,574
992,565
 
PRPM LLC, Series 2025-3, Class A1, 6.26%, due 05/25/30(g) 144A
998,843
1,000,000
 
PRPM LLC, Series 2025-4, Class A1, 6.18%, due 06/25/30(g) 144A
1,013,535
1,000,000
 
PRPM LLC, Series 2025-RCF3, Class A1, 5.25%, due 07/25/55(c) 144A
999,219
820,000
 
PRPM LLC, Series 2025-RPL4, Class M1A, 3.00%, due 05/25/55(g) 144A
706,347
2,200,000
 
RCKT Mortgage Trust, Series 2025-CES6, Class A1A, 5.47%, due 06/25/55(g) 144A
2,229,036
150,000
 
RCO VIII Mortgage LLC, Series 2025-3, Class A2, 8.84%, due 05/25/30(g) 144A
141,163
1,680,000
 
ROCK Trust, Series 2024-CNTR, Class E, 8.82%, due 11/13/41 144A
1,773,130
973,831
 
Santander Mortgage Asset Receivable Trust, Series 2025-NQM2, Class A1, 5.73%, due
02/25/65(g) 144A
981,683
236,766
 
Structured Asset Mortgage Investments II Trust, Series 2005-AR2, Class 2A2, 4.99% (1
mo. USD Term SOFR + 0.67%), due 05/25/45(b)
177,331
1,300,000
 
Targa Resources Corp., 4.70%, due 07/29/25
1,294,399
590,000
 
Towd Point Mortgage Trust, Series 2019-4, Class B1B, 3.50%, due 10/25/59(c) 144A
457,417
196,915
 
UBS Commercial Mortgage Trust, Series 2017-C7, Class A3, 3.42%, due 12/15/50
191,936
257,155
 
WaMu Mortgage Pass-Through Certificates Trust, Series 2006-AR16, Class 2A2, 4.47%,
due 12/25/36(c)
228,959
1,155,000
 
WBHT Commercial Mortgage Trust, Series 2025-WBM, Class E, 8.50% (1 mo. USD
Term SOFR + 4.19%), due 06/15/42(b) 144A
1,170,701
3,860,000
 
Wells Fargo Commercial Mortgage Trust, Series 2016-C37, Class D, 3.31%, due
12/15/49(c) 144A
3,511,827
154,083
 
Wells Fargo Mortgage-Backed Securities Trust, Series 2006-AR5, Class 2A1, 6.68%, due
04/25/36(c)
153,282
475,000
 
WHARF Commercial Mortgage Trust, Series 2025-DC, Class E, 7.72%, due 07/15/40(c)
144A
488,278
1,900,000
 
Worldwide Plaza Trust, Series 2017-WWP, Class A, 3.53%, due 11/10/36 144A
1,350,690
2,270,000
 
X-Caliber Funding LLC, Series 2025-VFN1, Class A, 7.12% (1 mo. USD Term SOFR +
2.68%), due 07/01/27(b)(i)(o) 144A
2,270,000
 
 
89,570,020
See accompanying Notes to the Schedule of Investments
131

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — 4.9%
7,744,926
 
Federal Home Loan Mortgage Corp., Pool # SD8448, 6.50%, due 07/01/54
8,004,801
1,390,036
 
Federal Home Loan Mortgage Corp., Pool # SD8455, 6.50%, due 08/01/54
1,436,678
1,000,000
 
Federal Home Loan Mortgage Corp., Pool # SD8471, 6.50%, due 10/01/54
1,033,555
179,898
 
Federal National Mortgage Association, Pool # DD4408, 6.50%, due 03/01/55
185,986
165,402
 
Federal National Mortgage Association, Pool # FS5059, 3.50%, due 11/01/48
153,319
3,334,701
 
Federal National Mortgage Association, Pool # MA5422, 6.50%, due 07/01/54
3,446,594
1,000,000
 
Government National Mortgage Association, Pool # 787993, 7.00%, due 06/20/55
1,032,549
1,000,000
 
Government National Mortgage Association, Pool # DJ9049, 7.00%, due 06/20/55
1,032,550
4,450,000
 
Uniform Mortgage-Backed Security, TBA, 4.50%, due 08/01/54
4,255,032
4,475,000
 
Uniform Mortgage-Backed Security, TBA, 5.00%, due 08/01/54
4,383,305
63,370,000
 
Uniform Mortgage-Backed Security, TBA, 6.00%, due 07/01/54
64,401,607
1,500,000
 
Uniform Mortgage-Backed Security, TBA, 6.50%, due 08/01/54
1,546,664
 
 
90,912,640
 
Municipal Obligation — 0.0%
810,000
 
Maricopa County Industrial Development Authority, 7.38%, due 10/01/29 144A
839,330
 
Sovereign Debt Obligations — 16.7%
2,000,000
 
Abu Dhabi Government International Bonds, 3.13%, due 09/30/49(f)
1,367,109
1,625,000
 
Abu Dhabi Government International Bonds, 4.13%, due 10/11/47(f)
1,341,616
1,735,000
EUR
Albania Government International Bonds, 4.75%, due 02/14/35(f)
2,038,367
1,055,000
 
Angola Government International Bonds, 8.00%, due 11/26/29(f)
960,347
590,000
 
Angola Government International Bonds, 8.00%, due 11/26/29(f)
537,066
1,200,000
 
Angola Government International Bonds, 8.75%, due 04/14/32(l) 144A
1,061,338
1,493,000
 
Angola Government International Bonds, 8.75%, due 04/14/32(f)
1,321,428
390,000
 
Angola Government International Bonds, 9.13%, due 11/26/49(f)
303,192
4,144,800
 
Argentina Republic Government International Bonds, 0.75%, due 07/09/30(g)
3,315,840
4,955
 
Argentina Republic Government International Bonds, 1.00%, due 07/09/29
4,159
3,105,000
 
Argentina Republic Government International Bonds, 1.00%, due 07/09/29
2,606,647
1,890,000
 
Argentina Republic Government International Bonds, 4.13%, due 07/09/35(g)
1,276,163
4,300,000
 
Argentina Republic Government International Bonds, 4.13%, due 07/09/46(g)
2,833,714
2,242,685,000
ARS
Argentina Treasury Bonds BONTE, 29.50%, due 05/30/30
1,989,891
1,419,000
 
Bahamas Government International Bonds, 8.25%, due 06/24/36 144A
1,443,123
1,325,000
 
Benin Government International Bonds, 7.96%, due 02/13/38(f)
1,261,005
4,350,000
 
Bermuda Government International Bonds, 2.38%, due 08/20/30(f)
3,881,505
3,800,000
 
Bermuda Government International Bonds, 5.00%, due 07/15/32(f)
3,760,100
575,000,000
CLP
Bonos de la Tesoreria de la Republica en pesos, 5.00%, due 10/01/28(f)
618,619
120,000,000
CLP
Bonos de la Tesoreria de la Republica en pesos, 6.00%, due 04/01/33(f)
132,614
2,360,000
 
Brazil Government International Bonds, 4.75%, due 01/14/50
1,669,575
2,208,000
BRL
Brazil Notas do Tesouro Nacional, Series F, 10.00%, due 01/01/35
317,724
1,950,000
BRL
Brazil Notas do Tesouro Nacional, Series NTNF, 10.00%, due 01/01/29
310,701
12,663,000
BRL
Brazil Notas do Tesouro Nacional, Series NTNF, 10.00%, due 01/01/31
1,929,170
10,500,000
BRL
Brazil Notas do Tesouro Nacional, Series NTNF, 10.00%, due 01/01/33
1,547,218
8,000,000
CNY
China Government Bonds, 2.71%, due 06/16/33(f)
1,205,645
6,230,000
CNY
China Government Bonds, 3.00%, due 10/15/53
1,081,284
4,070,000
CNY
China Government Bonds, 3.53%, due 10/18/51
752,885
775,000
 
City of Ulaanbaatar Mongolia, 7.75%, due 08/21/27(f)
778,473
2,275,000
 
Colombia Government International Bonds, 5.00%, due 06/15/45
1,540,183
1,300,000
 
Colombia Government International Bonds, 7.38%, due 09/18/37
1,244,113
132See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Sovereign Debt Obligations — continued
850,000
 
Colombia Government International Bonds, 7.75%, due 11/07/36
832,532
900,000
 
Colombia Government International Bonds, 8.38%, due 11/07/54
857,520
300,000
 
Colombia Government International Bonds, 8.75%, due 11/14/53
297,855
825,000
 
Colombia Government International Bonds, 8.75%, due 11/14/53
819,101
3,665,200,000
COP
Colombia TES, Series B, 7.25%, due 10/18/34
656,949
2,035,500,000
COP
Colombia TES, Series B, 7.75%, due 09/18/30
431,186
841,000
 
Costa Rica Government International Bonds, 6.55%, due 04/03/34(f)
879,606
600,000
 
Costa Rica Government International Bonds, 7.16%, due 03/12/45(f)
621,072
1,650,000
 
Costa Rica Government International Bonds, 7.16%, due 03/12/45(f)
1,707,948
23,500,000
CZK
Czech Republic Government Bonds, 6.20%, due 06/16/31
1,255,368
52,180,000
CZK
Czech Republic Government Bonds, Series 150, 5.00%, due 09/30/30
2,618,087
139,580,000
CZK
Czech Republic Government Bonds, Series 153, 5.75%, due 03/29/29
7,120,605
14,080,000
CZK
Czech Republic Government Bonds, Series 95, 1.00%, due 06/26/26(f)
653,561
270,000
 
Dominican Republic International Bonds, 4.50%, due 01/30/30(f)
257,027
1,800,000
 
Dominican Republic International Bonds, 4.88%, due 09/23/32(f)
1,666,530
350,000
 
Dominican Republic International Bonds, 5.50%, due 02/22/29 144A
349,335
1,400,000
 
Dominican Republic International Bonds, 5.88%, due 01/30/60(f)
1,178,590
138,150,000
DOP
Dominican Republic International Bonds, 10.75%, due 06/01/36 144A
2,347,295
31,700,000
DOP
Dominican Republic International Bonds, 13.63%, due 02/03/33(f)
623,137
1,625,000
 
Ecuador Government International Bonds, 5.00%, due 07/31/40(f)(g)
1,026,918
6,353,000
 
Ecuador Government International Bonds, 5.50%, due 07/31/35(f)(g)
4,626,508
2,538,000
 
Ecuador Government International Bonds, 6.90%, due 07/31/30(f)(g)
2,211,232
57,137,000
EGP
Egypt Government Bonds, 25.32%, due 08/13/27
1,178,927
1,800,000
 
Egypt Government International Bonds, 5.88%, due 02/16/31(f)
1,595,755
1,200,000
 
Egypt Government International Bonds, 6.59%, due 02/21/28(f)
1,202,561
440,000
 
Egypt Government International Bonds, 7.05%, due 01/15/32(f)
403,620
1,900,000
 
Egypt Government International Bonds, 7.63%, due 05/29/32(f)
1,763,488
1,125,000
 
Egypt Government International Bonds, 8.50%, due 01/31/47(f)
914,713
2,400,000
 
Egypt Government International Bonds, 8.63%, due 02/04/30(f)
2,430,960
1,775,000
 
Egypt Government International Bonds, 9.45%, due 02/04/33 144A
1,799,337
800,000
 
El Salvador Government International Bonds, 7.12%, due 01/20/50(f)
668,000
340,000
 
El Salvador Government International Bonds, 9.25%, due 04/17/30 144A
360,825
6,232,400,000
IDR
European Bank for Reconstruction & Development, 4.60%, due 12/09/25
381,487
1,660,000
 
Export-Import Bank of India, 5.50%, due 01/13/35(f)
1,706,207
250,000
 
Farm Credit Bank of Texas, 7.75%, (5 yr. CMT + 3.29%)(b)(m)
260,625
1,150,000
EUR
Finance Department Government of Sharjah, 4.63%, due 01/17/31(f)
1,361,487
2,715,000
 
Gabon Government International Bonds, 6.63%, due 02/06/31(f)
2,169,412
2,132,137
 
Ghana Government International Bonds, 5.00%, due 07/03/29(f)(g)
2,007,346
5,025,000
 
Ghana Government International Bonds, 5.00%, due 07/03/35(f)(g)
3,930,335
900,000
 
Guatemala Government Bonds, 4.65%, due 10/07/41(f)(l)
717,188
1,100,000
 
Guatemala Government Bonds, 6.05%, due 08/06/31(f)
1,119,668
1,125,000
 
Guatemala Government Bonds, 6.55%, due 02/06/37(f)
1,137,600
1,100,000
 
Guatemala Government Bonds, 6.60%, due 06/13/36(f)
1,118,425
130,920,000
HUF
Hungary Government Bonds, Series 30/A, 3.00%, due 08/21/30
328,921
2,325,000
 
Hungary Government International Bonds, 2.13%, due 09/22/31(f)
1,937,114
1,350,000
 
Hungary Government International Bonds, 5.25%, due 06/16/29(f)
1,362,385
600,000
 
Hungary Government International Bonds, 5.38%, due 09/26/30 144A
606,223
2,550,000
 
Hungary Government International Bonds, 5.50%, due 03/26/36(f)
2,462,619
1,700,000
 
Hungary Government International Bonds, 7.63%, due 03/29/41
1,920,663
See accompanying Notes to the Schedule of Investments
133

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Sovereign Debt Obligations — continued
47,270,000
INR
India Government Bonds, 6.64%, due 06/16/35
561,111
132,038,000,000
IDR
Indonesia Treasury Bonds, 6.75%, due 07/15/35
8,207,136
13,400,000,000
IDR
Indonesia Treasury Bonds, 7.00%, due 09/15/30
849,338
6,402,000,000
IDR
Indonesia Treasury Bonds, Series FR78, 8.25%, due 05/15/29
421,223
680,000
 
Istanbul Metropolitan Municipality, 10.50%, due 12/06/28(f)
731,341
2,560,000
EUR
Ivory Coast Government International Bonds, 4.88%, due 01/30/32(f)
2,697,868
1,425,000
 
Ivory Coast Government International Bonds, 6.38%, due 03/03/28(f)
1,430,786
1,790,000
 
Ivory Coast Government International Bonds, 7.63%, due 01/30/33 144A
1,769,779
1,500,000
 
Ivory Coast Government International Bonds, 7.63%, due 01/30/33(f)
1,484,413
1,525,000
 
Ivory Coast Government International Bonds, 8.08%, due 04/01/36 144A
1,475,237
1,550,000
 
Ivory Coast Government International Bonds, 8.25%, due 01/30/37(f)
1,496,561
108,000,000
JMD
Jamaica Government International Bonds, 9.63%, due 11/03/30
699,975
820,000
 
Jordan Government International Bonds, 7.75%, due 01/15/28 144A
849,259
850,000
 
Lebanon Government International Bonds, 7.00%, due 03/23/32(f)(n)
161,500
850,000
 
Lebanon Government International Bonds, 7.25%, due 03/23/37(f)(n)
159,700
850,000
 
Lebanon Government International Bonds, 8.25%, due 04/12/21(f)(n)
159,954
3,854,000
MYR
Malaysia Government Bonds, 3.96%, due 09/15/25
917,004
4,668,000
MYR
Malaysia Government Bonds, Series 0122, 3.58%, due 07/15/32
1,121,702
1,100,000
MYR
Malaysia Government Bonds, Series 0123, 4.46%, due 03/31/53
280,796
6,137,000
MYR
Malaysia Government Bonds, Series 0219, 3.89%, due 08/15/29
1,491,661
775,000
MYR
Malaysia Government Bonds, Series 0222, 4.70%, due 10/15/42
205,298
1,832,000
MYR
Malaysia Government Bonds, Series 0317, 4.76%, due 04/07/37
482,467
621,000
MYR
Malaysia Government Bonds, Series 0417, 3.90%, due 11/16/27
150,086
2,990,000
MYR
Malaysia Government Bonds, Series 0419, 3.83%, due 07/05/34
727,305
13,779,000
MXN
Mexico Bonos, Series M, 7.75%, due 11/23/34
665,743
48,140,300
MXN
Mexico Bonos, Series M, 7.75%, due 11/13/42
2,113,496
1,000,000
 
Mexico Government International Bonds, 2.66%, due 05/24/31
867,500
400,000
 
Mexico Government International Bonds, 5.85%, due 07/02/32(d)
405,300
1,930,000
 
Mexico Government International Bonds, 6.00%, due 05/07/36
1,909,542
2,586,000
 
Mexico Government International Bonds, 6.40%, due 05/07/54
2,386,878
775,000
 
Mexico Government International Bonds, 6.88%, due 05/13/37
810,204
775,000
 
Mexico Government International Bonds, 7.38%, due 05/13/55
801,923
42,504,235
MXN
Mexico Udibonos, 2.75%, due 11/27/31
1,992,462
2,300,000
 
Mongolia Government International Bonds, 4.45%, due 07/07/31(f)
2,008,680
1,850,000
 
Mongolia Government International Bonds, 7.88%, due 06/05/29(f)
1,930,679
700,000
 
Morocco Government International Bonds, 3.00%, due 12/15/32(f)
593,381
2,000,000
 
Nigeria Government International Bonds, 6.13%, due 09/28/28(f)
1,916,419
1,990,000
 
Nigeria Government International Bonds, 7.14%, due 02/23/30(f)
1,900,684
1,200,000
 
Oman Government International Bonds, 6.50%, due 03/08/47(f)
1,217,905
900,000
 
Pakistan Global Sukuk Programme Co. Ltd., 7.95%, due 01/31/29(f)
873,000
7,043,000
 
Pakistan Government International Bonds, 7.38%, due 04/08/31(f)
6,292,225
3,500,000
 
Panama Government International Bonds, 6.88%, due 01/31/36
3,488,639
1,275,000
 
Paraguay Government International Bonds, 3.85%, due 06/28/33(f)
1,159,765
1,125,000
 
Paraguay Government International Bonds, 5.85%, due 08/21/33(f)
1,152,000
1,925,000
 
Paraguay Government International Bonds, 6.00%, due 02/09/36(f)
1,961,671
4,416,000,000
PYG
Paraguay Government International Bonds, 7.90%, due 02/09/31 144A
535,387
4,270,000,000
PYG
Paraguay Government International Bonds, 7.90%, due 02/09/31(f)
516,734
15,088,000,000
PYG
Paraguay Government International Bonds, 8.50%, due 03/04/35 144A
1,838,732
666,000
PEN
Peru Government Bonds, 5.40%, due 08/12/34
177,089
134See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Sovereign Debt Obligations — continued
1,130,000
PEN
Peru Government Bonds, 6.85%, due 08/12/35(f)
327,944
1,349,000
PEN
Peru Government Bonds, 6.95%, due 08/12/31
412,720
6,100,000
PEN
Peru Government Bonds, 7.30%, due 08/12/33(f)
1,872,258
9,803,000
PEN
Peru Government Bonds, 7.60%, due 08/12/39(f)
2,940,069
3,550,000
 
Peru Government International Bonds, 2.78%, due 01/23/31
3,188,432
3,825,000
 
Peru Government International Bonds, 3.00%, due 01/15/34
3,235,835
3,600,000
 
Peru Government International Bonds, 3.30%, due 03/11/41
2,680,200
2,450,000
PEN
Peru Government International Bonds, 6.35%, due 08/12/28(f)
735,650
14,444,000
PEN
Peru Government International Bonds, 6.90%, due 08/12/37(f)
4,138,549
10,917,000
PEN
Peru Government International Bonds, 7.30%, due 08/12/33(f)
3,350,728
26,980,000
PHP
Philippines Government Bonds, 6.25%, due 03/22/28
484,319
12,200,000
PHP
Philippines Government Bonds, Series 1069, 6.75%, due 09/15/32
225,048
132,750,000
PHP
Philippines Government Bonds, Series 1072, 6.25%, due 01/25/34
2,364,367
640,000
 
Provincia de Cordoba, 9.75%, due 07/02/32(d) 144A
642,720
1,000,000
 
Republic of Cameroon International Bonds, 9.50%, due 07/31/31(f)
934,750
2,036,231
GHS
Republic of Ghana Government Bonds, Series G10Y, 9.25%, (Unsecured), due 02/08/33
113,296
820,740
GHS
Republic of Ghana Government Bonds, Series G15Y, 10.00%, (Unsecured), due 02/02/38
41,617
4,368,811
GHS
Republic of Ghana Government Bonds, Series G7Y, 8.80%, (Unsecured), due 02/12/30
280,592
350,000
 
Republic of Kenya Government International Bonds, 6.30%, due 01/23/34(f)
284,324
1,100,000
 
Republic of Kenya Government International Bonds, 6.30%, due 01/23/34(f)
893,589
975,000
 
Republic of Kenya Government International Bonds, 9.50%, due 03/05/36(f)
921,431
1,380,000
 
Republic of Kenya Government International Bonds, 9.75%, due 02/16/31 144A
1,402,994
875,000
 
Republic of Kenya Government International Bonds, 9.75%, due 02/16/31(f)
890,076
8,986,000
PLN
Republic of Poland Government Bonds, 4.75%, due 07/25/29
2,486,567
9,772,000
PLN
Republic of Poland Government Bonds, 5.00%, due 01/25/30
2,721,819
1,445,000
PLN
Republic of Poland Government Bonds, Series 0428, 2.75%, due 04/25/28
381,218
8,328,000
PLN
Republic of Poland Government Bonds, Series 0728, 7.50%, due 07/25/28
2,490,185
2,350,000
PLN
Republic of Poland Government Bonds, Series 1034, 5.00%, due 10/25/34
630,850
1,925,000
 
Republic of Poland Government International Bonds, 4.88%, due 02/12/30
1,964,825
2,000,000
 
Republic of Poland Government International Bonds, 5.13%, due 09/18/34
2,013,186
1,000,000
 
Republic of Poland Government International Bonds, 5.50%, due 03/18/54
930,359
11,000,000
ZAR
Republic of South Africa Government Bonds, 10.00%, due 03/31/33
636,969
10,000,000
ZAR
Republic of South Africa Government Bonds, 10.88%, due 03/31/38
575,704
28,200,000
ZAR
Republic of South Africa Government Bonds, Series 2030, 8.00%, due 01/31/30
1,562,131
124,405,557
ZAR
Republic of South Africa Government Bonds, Series 2035, 8.88%, due 02/28/35
6,553,883
115,481,977
ZAR
Republic of South Africa Government Bonds, Series 2037, 8.50%, due 01/31/37
5,664,919
43,220,000
ZAR
Republic of South Africa Government Bonds, Series 2040, 9.00%, due 01/31/40
2,105,890
30,989,958
ZAR
Republic of South Africa Government Bonds, Series 2044, 8.75%, due 01/31/44
1,418,682
1,500,000
 
Republic of South Africa Government International Bonds, 5.88%, due 04/20/32
1,470,266
6,375,000
 
Republic of South Africa Government International Bonds, 5.88%, due 04/20/32
6,250,812
200,000
 
Republic of South Africa Government International Bonds, 7.10%, due 11/19/36(f)
198,716
1,300,000
 
Republic of South Africa Government International Bonds, 7.30%, due 04/20/52
1,173,223
5,614,500,000
UGX
Republic of Uganda Government Bonds, 14.25%, due 06/22/34
1,395,817
5,614,500,000
UGX
Republic of Uganda Government Bonds, 15.00%, due 06/18/43
1,358,078
1,029,000
 
Republic of Uzbekistan International Bonds, 3.70%, due 11/25/30(f)
920,027
2,460,000
RON
Romania Government Bonds, Series 10Y, 5.00%, due 02/12/29
528,175
1,250,000
RON
Romania Government Bonds, Series 15Y, 4.75%, due 10/11/34
238,554
735,000
EUR
Romania Government International Bonds, 2.75%, due 04/14/41(f)
539,501
1,430,000
EUR
Romania Government International Bonds, 3.75%, due 02/07/34(f)
1,436,336
See accompanying Notes to the Schedule of Investments
135

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Sovereign Debt Obligations — continued
2,000,000
EUR
Romania Government International Bonds, 5.38%, due 03/22/31(f)
2,358,000
500,000
EUR
Romania Government International Bonds, 5.38%, due 03/22/31 144A
589,500
716,000
 
Romania Government International Bonds, 5.75%, due 03/24/35 144A
662,887
830,000
 
Romania Government International Bonds, 5.88%, due 01/30/29(f)
836,923
576,000
 
Romania Government International Bonds, 6.38%, due 01/30/34(f)
565,492
1,250,000
EUR
Romania Government International Bonds, 6.75%, due 07/11/39 144A
1,482,368
800,000
 
Romania Government International Bonds, 7.13%, due 01/17/33(f)
832,931
720,000
 
Romania Government International Bonds, 7.50%, due 02/10/37 144A
749,088
532,000
 
Romania Government International Bonds, 7.50%, due 02/10/37 144A
553,332
1,800,000
 
Saudi Government International Bonds, 3.75%, due 01/21/55(f)
1,230,111
1,700,000
EUR
Senegal Government International Bonds, 4.75%, due 03/13/28(f)
1,579,851
2,100,000
EUR
Senegal Government International Bonds, 5.38%, due 06/08/37(f)
1,526,291
350,000
 
Senegal Government International Bonds, 6.25%, due 05/23/33(f)
231,289
2,275,000
 
Senegal Government International Bonds, 6.25%, due 05/23/33(f)
1,503,381
2,650,000
 
Senegal Government International Bonds, 6.75%, due 03/13/48(f)
1,607,703
1,500,000
 
Senegal Government International Bonds, 7.75%, due 06/10/31(f)
1,101,935
2,000,000
 
Serbia International Bonds, 6.00%, due 06/12/34(f)
2,021,821
37,292
 
Sri Lanka Government International Bonds, 3.10%, due 01/15/30(g) 144A
33,330
73,148
 
Sri Lanka Government International Bonds, 3.35%, due 03/15/33(g) 144A
59,223
34,279
 
Sri Lanka Government International Bonds, 3.60%, due 05/15/36(g) 144A
27,980
3,294,335
 
Sri Lanka Government International Bonds, 3.60%, due 02/15/38(g) 144A
2,682,826
1,100,000
 
Sri Lanka Government International Bonds, 3.60%, due 02/15/38(f)(g)
895,813
34,849
 
Sri Lanka Government International Bonds, 4.00%, due 04/15/28 144A
32,802
6,202,000
THB
Thailand Government Bonds, 1.60%, due 06/17/35
190,401
49,800,000
THB
Thailand Government Bonds, 2.80%, due 06/17/34
1,684,714
5,100,000
THB
Thailand Government Bonds, 2.98%, due 06/17/45
179,151
22,347,000
THB
Thailand Government Bonds, 3.35%, due 06/17/33
778,331
19,531,000
THB
Thailand Government Bonds, 3.45%, due 06/17/43
726,100
11,810,000
THB
Thailand Government Bonds, 3.78%, due 06/25/32
417,860
47,754,447
THB
Thailand Government Bonds, Series ILB, 1.25%, due 03/12/28(f)
1,442,496
22,010,000
TRY
Turkiye Government Bonds, 27.70%, due 09/27/34
527,121
2,900,000
 
Turkiye Government International Bonds, 6.63%, due 02/17/45(l)
2,469,661
1,037,000
 
Turkiye Government International Bonds, 7.13%, due 02/12/32
1,039,906
2,095,000
 
Turkiye Government International Bonds, 7.25%, due 05/29/32
2,105,519
1,550,000
 
Ukraine Government International Bonds, 1.75%, due 02/01/29(f)(g)
956,687
4,040,696
 
Ukraine Government International Bonds, 1.75%, due 02/01/35(f)(g)
2,046,510
2,600,000
 
Ukraine Government International Bonds, 3.00%, due 02/01/34(f)(g)
996,981
1,900,000
 
Ukraine Government International Bonds, 3.00%, due 02/01/35(f)(g)
887,349
1,925,000
 
Ukraine Government International Bonds, 3.00%, due 02/01/36(f)(g)
913,182
423,543
UYU
Uruguay Government International Bonds, 3.40%, due 05/16/45
10,614
900,000
 
Uruguay Government International Bonds, 4.98%, due 04/20/55
800,073
12,835,000
UYU
Uruguay Government International Bonds, 9.75%, due 07/20/33
336,935
808,000
 
Uzbekneftegaz JSC, 8.75%, due 05/07/30 144A
832,910
8,035,000
ZMW
Zambia Government Bonds, 13.00%, due 01/25/31
291,444
4,520,000
ZMW
Zambia Government Bonds, 26.75%, due 09/02/34
238,554
5,250,000
 
Zambia Government International Bonds, 0.50%, due 12/31/53(f)
3,617,493
989,884
 
Zambia Government International Bonds, 5.75%, due 06/30/33(f)(g)
911,118
 
 
309,936,392
136See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
U.S. Government and Agency Obligations — 9.7%
8,300,000
 
U.S. Treasury Bonds, 3.00%, due 11/15/44(p)
6,393,918
6,000,000
 
U.S. Treasury Bonds, 4.63%, due 02/15/55
5,842,500
13,905,000
 
U.S. Treasury Bonds, 4.75%, due 02/15/45(q)
13,835,475
14,045,000
 
U.S. Treasury Bonds, 4.75%, due 05/15/55
13,968,191
8,933,102
 
U.S. Treasury Inflation-Indexed Bonds, 0.25%, due 02/15/50
5,194,122
8,609,571
 
U.S. Treasury Inflation-Indexed Bonds, 0.75%, due 02/15/42
6,691,382
7,262,760
 
U.S. Treasury Inflation-Indexed Notes, 1.75%, due 01/15/34
7,203,155
26,295,000
 
U.S. Treasury Notes, 3.75%, due 05/31/30
26,241,075
22,025,000
 
U.S. Treasury Notes, 4.25%, due 11/15/34
22,104,152
35,550,000
 
U.S. Treasury Notes, 4.25%, due 05/15/35
35,608,324
35,520,000
 
U.S. Treasury Notes, 4.63%, due 02/15/35(r)
36,657,750
 
 
179,740,044
 
TOTAL DEBT OBLIGATIONS (COST $1,780,170,758)
1,818,342,466
Shares
 
Description
Value ($)
 
COMMON STOCKS — 0.6%
 
Basic Materials — 0.0%
1,282
 
Arctic Canadian Diamond Co. Ltd.(i)(o)
32,572
 
Consumer, Cyclical — 0.0%
24,811
 
Spirit Aviation Holdings, Inc.*
123,807
 
Financial — 0.6%
59,745
 
ARES Capital Corp.
1,312,000
132,455
 
Barings BDC, Inc.(l)
1,210,639
30,000
 
Blackstone Secured Lending Fund(l)
922,500
88,000
 
Blue Owl Capital Corp.
1,261,920
39,542
 
Crescent Capital BDC, Inc.(l)
557,542
50,600
 
FS KKR Capital Corp.(l)
1,049,950
58,000
 
Goldman Sachs BDC, Inc.(l)
652,500
87,000
 
Golub Capital BDC, Inc.(l)
1,274,550
42,000
 
MidCap Financial Investment Corp.(l)
530,040
14,657
 
MSC Income Fund, Inc.(l)
240,814
30,185
 
New Mountain Finance Corp.
318,452
43,000
 
Oaktree Specialty Lending Corp.(l)
587,380
54,000
 
Runway Growth Finance Corp.(l)
579,420
30,000
 
Sixth Street Specialty Lending, Inc.(l)
714,300
7,283
 
SLR Investment Corp.(l)
117,548
 
 
11,329,555
 
Technology — 0.0%
30,000
 
Avaya Holdings Corp.*
231,570
 
TOTAL COMMON STOCKS (COST $11,359,144)
11,717,504
 
INVESTMENT COMPANIES — 1.7%
300,000
 
Invesco Senior Loan ETF
6,276,000
See accompanying Notes to the Schedule of Investments
137

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Shares
 
Description
Value ($)
 
Investment Companies — continued
73,550
 
iShares 0-3 Month Treasury Bond ETF
7,405,750
224,800
 
SPDR Blackstone Senior Loan ETF(l)
9,349,432
80,725
 
SPDR Bloomberg 1-3 Month T-Bills ETF
7,404,904
 
TOTAL INVESTMENT COMPANIES (COST $30,180,374)
30,436,086
 
PREFERRED STOCKS — 0.2%
 
Communications — 0.0%
3,350
 
U.S. Cellular Corp., 6.25%
79,160
12,825
 
U.S. Cellular Corp., 5.50%
263,169
 
 
342,329
 
Financial — 0.1%
6,500
 
ARES Management Corp., 6.75%
344,500
289
 
Bank of America Corp., 7.25%(m)
350,557
6,725
 
Bank of New York Mellon Corp., 6.15%(b)(m)
172,429
4,725
 
Corebridge Financial, Inc., 6.38%(l)
108,675
6,600
 
Enstar Group Ltd., 7.00%(b)(m)
132,726
2,197
 
KKR & Co., Inc., 6.25%
117,759
4,325
 
Morgan Stanley, 4.25%(l)(m)
74,477
8,950
 
Morgan Stanley, 6.63%(l)(m)
231,357
1,025
 
OCP CLO 2018-15 Ltd., 4.85%*(b)(i)(o)
534,916
8,925
 
Synchrony Financial, 8.25%(b)(l)(m)
221,697
 
 
2,289,093
 
Industrial — 0.1%
9,500
 
Boeing Co., 6.00%
646,000
 
Utilities — 0.0%
1,625
 
Sempra, 5.75%(l)
33,394
13,225
 
Southern Co., 6.50%
339,618
 
 
373,012
 
TOTAL PREFERRED STOCKS (COST $3,573,241)
3,650,434
Par Value(a)
 
Description
Value ($)
 
SHORT-TERM INVESTMENTS — 9.2%
 
Mutual Fund - Securities Lending Collateral — 4.0%
73,956,859
 
State Street Navigator Securities Lending Government Money Market Portfolio,
4.35%(s)(t)
73,956,859
 
Commercial Paper — 2.3%
300,000
 
Air Lease Corp., 4.80%, due 07/17/25
299,324
1,300,000
 
Air Lease Corp., 4.82%, due 07/02/25
1,299,826
700,000
 
Air Lease Corp., 4.85%, due 07/15/25
698,612
1,100,000
 
Air Lease Corp., 4.85%, due 07/18/25
1,097,369
1,300,000
 
Alimentation Couche-Tard, Inc., 4.61%, due 07/10/25
1,298,316
500,000
 
Alimentation Couche-Tard, Inc., 4.63%, due 07/07/25
499,547
1,300,000
 
Alimentation Couche-Tard, Inc., 4.63%, due 07/09/25
1,298,485
138See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Commercial Paper — continued
500,000
 
Alimentation Couche-Tard, Inc., 4.64%, due 07/29/25
498,112
800,000
 
Alimentation Couche-Tard, Inc., 4.64%, due 07/30/25
796,877
1,300,000
 
Amrize Finance U.S. LLC, 4.64%, due 07/08/25
1,298,677
300,000
 
Amrize Finance U.S. LLC, 4.67%, due 07/15/25
299,425
1,000,000
 
Amrize Finance U.S. LLC, 4.67%, due 07/16/25
997,953
500,000
 
Canadian Natural Resources Ltd., 4.83%, due 07/11/25
499,278
800,000
 
Canadian Natural Resources Ltd., 4.87%, due 07/25/25
797,403
1,300,000
 
Canadian Natural Resources Ltd., 4.90%, due 08/06/25
1,293,651
1,300,000
 
CBRE Services, Inc., 4.64%, due 07/24/25
1,295,821
1,000,000
 
CBRE Services, Inc., 4.69%, due 07/10/25
998,682
800,000
 
CBRE Services, Inc., 4.71%, due 07/10/25
798,945
1,300,000
 
Crown Castle, Inc., 5.03%, due 07/22/25
1,296,026
1,300,000
 
Crown Castle, Inc., 5.03%, due 07/24/25
1,295,662
1,000,000
 
CVS Health Corp., 4.92%, due 07/14/25
998,089
300,000
 
CVS Health Corp., 4.92%, due 07/15/25
299,385
500,000
 
Dominion Energy, Inc., 4.60%, due 07/18/25
498,852
500,000
 
Dominion Energy, Inc., 4.60%, due 07/21/25
498,657
800,000
 
Dominion Energy, Inc., 4.60%, due 08/01/25
796,733
800,000
 
Enbridge U.S., Inc., 4.60%, due 07/11/25
798,878
1,300,000
 
Enbridge U.S., Inc., 4.60%, due 07/21/25
1,296,494
400,000
 
Equifax, Inc., 4.62%, due 07/17/25
399,129
300,000
 
Intercontinental Exchange, Inc., 4.60%, due 07/02/25
299,923
400,000
 
Jones Lang LaSalle Finance BV, 4.65%, due 07/09/25
399,541
500,000
 
Jones Lang LaSalle Finance BV, 4.65%, due 07/14/25
499,104
800,000
 
Jones Lang LaSalle Finance BV, 4.72%, due 07/07/25
799,287
1,300,000
 
Jones Lang LaSalle Finance BV, 4.72%, due 07/09/25
1,298,508
900,000
 
Jones Lang LaSalle Finance BV, 4.72%, due 07/14/25
898,388
800,000
 
Jones Lang LaSalle Finance BV, 4.72%, due 07/16/25
798,360
1,300,000
 
Mondelez International, Inc., 4.57%, due 08/11/25
1,293,116
900,000
 
NextEra Energy Capital Holdings, Inc., 4.60%, due 07/23/25
897,345
2,000,000
 
NextEra Energy Capital Holdings, Inc., 4.60%, due 07/28/25
1,992,842
600,000
 
NextEra Energy Capital Holdings, Inc., 4.60%, due 07/29/25
597,778
300,000
 
NextEra Energy Capital Holdings, Inc., 4.60%, due 08/19/25
298,085
1,300,000
 
NextEra Energy Capital Holdings, Inc., 4.61%, due 08/25/25
1,290,695
500,000
 
NXP BV/NXP Funding LLC/NXP USA, Inc., 4.60%, due 07/01/25
499,936
300,000
 
NXP BV/NXP Funding LLC/NXP USA, Inc., 4.60%, due 07/02/25
299,923
1,300,000
 
NXP BV/NXP Funding LLC/NXP USA, Inc., 4.64%, due 09/10/25
1,287,944
400,000
 
ONEOK, Inc., 4.60%, due 07/11/25
399,426
300,000
 
ONEOK, Inc., 4.60%, due 07/14/25
299,449
500,000
 
RELX, Inc., 4.60%, due 07/03/25
499,811
1,000,000
 
RTX Corp., 4.62%, due 07/16/25
997,937
1,300,000
 
RTX Corp., 4.63%, due 07/16/25
1,297,318
1,300,000
 
Virginia Electric & Power Co., 4.60%, due 07/28/25
1,295,487
1,300,000
 
Volkswagen Group of America Finance LLC, 4.67%, due 07/02/25
1,299,676
 
 
43,784,087
See accompanying Notes to the Schedule of Investments
139

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Repurchase Agreement — 1.5%
27,400,000
 
Bank of America Repurchase Agreement, dated 06/30/25, maturing on 07/01/25 with a
maturity value of $27,403,379 and an effective yield of 4.44%, collateralized by
U.S. Treasury Bond with maturity date 02/15/44 and a market value of $27,587,337
27,400,000
 
U.S. Government and Agency Obligations — 1.4%
1,800,000
 
U.S. Treasury Bills, 3.73%, due 07/08/25(k)
1,798,551
18,092,000
 
U.S. Treasury Bills, 4.30%, due 08/14/25(k)(p)
17,996,944
5,698,000
 
U.S. Treasury Bills, 4.15%, due 07/29/25(k)
5,679,630
 
 
25,475,125
 
TOTAL SHORT-TERM INVESTMENTS (COST $170,622,535)
170,616,071
 
TOTAL INVESTMENTS109.8%
(Cost $1,995,906,052)
2,034,762,561
 
Other Assets and Liabilities (net)(u) — (9.8)%
(180,790,529)
 
NET ASSETS — 100.0%
$1,853,972,032
 
Notes to Schedule of Investments:
*
Non-income producing security.
(a)
Unless otherwise indicated, all par values are denominated in United States dollars ($).
(b)
Variable or floating rate note. Rate shown is as of June 30, 2025.
(c)
Variable or floating rate security, which interest rate adjusts periodically based on changes in current
interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as
of period end.
(d)
When-issued security.
(e)
Year of maturity is greater than 2100.
(f)
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.
(g)
Step coupon security that pays an initial coupon rate for the first period and then a lower/higher
coupon rate for the following periods. Rate shown is current coupon rate.
(h)
This position represents an unsettled loan commitment at period end. Certain details associated with
this purchase are not known prior to the settlement date, including coupon rate, which will be
adjusted on settlement date.
(i)
Level 3 - significant unobservable inputs were used in determining the value of this security in the
Fund.
(j)
Represents a zero coupon bond; no yield to maturity is available.
(k)
Interest rate presented is yield to maturity.
(l)
All or a portion of this security is out on loan.
(m)
Security is perpetual and has no stated maturity date.
(n)
Security is currently in default.
(o)
Securities fair valued by the Valuation Committee as approved by the Board of Trustees. The total
market value of the securities at period end is $30,237,488 which represents 1.6% of net assets. The
aggregate tax cost of these securities held at June 30, 2025 was $30,185,062.
140See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
(p)
All or a portion of this security is pledged for forward foreign currency contracts, OTC swaps,
and/or OTC options collateral.
(q)
All or a portion of this security is pledged for open futures collateral.
(r)
All or a portion of this security is pledged for open centrally cleared swaps collateral.
(s)
The rate disclosed is the 7-day net yield as of June 30, 2025.
(t)
Represents an investment of securities lending cash collateral.
(u)
As of June 30, 2025, the value of unfunded loan commitments was $670,834 for the Fund. See
Notes to the Schedule of Investments.
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 buyers.
The total market value of the securities at period end is $753,444,106 which represents 40.6% of
net assets.
Forward Foreign Currency Contracts
Currency Purchased
Currency Sold
Settlement
Date
Counterparty
Unrealized
Appreciation
(Depreciation)
AUD
4,032,727
USD
2,441,127
07/16/25
Citibank N.A.
$202,324
AUD
2,223,000
USD
1,448,313
07/02/25
JPMorgan Chase Bank N.A.
8,530
AUD
149,000
USD
97,656
07/02/25
JPMorgan Chase Bank N.A.
(8
)
BRL
488,014
USD
86,000
07/02/25
Barclays Bank PLC
3,415
BRL
8,308,009
USD
1,522,422
07/02/25
Barclays Bank PLC
(209
)
BRL
8,863,273
USD
1,599,277
08/04/25
Barclays Bank PLC
12,183
BRL
6,170,000
USD
1,065,888
09/03/25
Barclays Bank PLC
47,576
BRL
1,398,138
USD
240,867
09/03/25
Citibank N.A.
11,447
BRL
21,438,845
USD
3,816,099
07/02/25
JPMorgan Chase Bank N.A.
111,976
BRL
13,052,000
USD
2,293,446
09/17/25
State Street Bank and Trust
53,002
CAD
80,000
USD
58,051
07/16/25
Goldman Sachs & Co.
619
CAD
336,497
USD
244,958
07/02/25
JPMorgan Chase Bank N.A.
1,651
CAD
2,871,000
USD
2,096,573
07/02/25
Morgan Stanley and Co. International PLC
7,494
CHF
3,883,767
USD
4,749,344
07/16/25
Goldman Sachs & Co.
138,325
CHF
246,000
USD
300,233
07/02/25
JPMorgan Chase Bank N.A.
8,813
CLP
3,940,437,408
USD
4,205,270
09/17/25
Citibank N.A.
15,850
CNH
41,730,000
USD
5,760,599
07/16/25
Bank of America, N.A.
71,407
CNH
246,000
USD
34,507
09/17/25
HSBC Bank PLC
38
COP
2,371,300,000
USD
558,755
09/17/25
Deutsche Bank AG
15,618
CZK
56,300,000
USD
2,640,837
09/17/25
Barclays Bank PLC
39,098
CZK
56,770,000
USD
2,627,876
09/17/25
HSBC Bank PLC
74,431
EGP
24,050,000
USD
429,234
09/17/25
Citibank N.A.
41,895
EGP
91,780,000
USD
1,639,514
09/17/25
Goldman Sachs International
158,419
EGP
75,280,000
USD
1,343,326
09/17/25
Standard Chartered Bank
131,379
EUR
208,928
GBP
179,000
07/31/25
UBS AG
397
EUR
6,060,942
USD
6,930,168
07/16/25
Bank of America, N.A.
191,036
EUR
1,115,000
USD
1,289,811
09/17/25
Barclays Bank PLC
25,692
EUR
385,000
USD
443,723
09/17/25
BNP Paribas S.A.
10,509
EUR
4,748,971
USD
5,509,281
07/02/25
Deutsche Bank AG
65,296
EUR
329,000
USD
378,241
07/31/25
Goldman Sachs International
8,696
EUR
1,160,000
USD
1,348,838
09/17/25
HSBC Bank PLC
19,757
See accompanying Notes to the Schedule of Investments
141

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Forward Foreign Currency Contractscontinued
Currency Purchased
Currency Sold
Settlement
Date
Counterparty
Unrealized
Appreciation
(Depreciation)
EUR
2,267,000
USD
2,630,576
07/02/25
JPMorgan Chase Bank N.A.
$30,541
EUR
1,024,971
USD
1,204,282
08/04/25
JPMorgan Chase Bank N.A.
1,505
EUR
230,000
USD
266,418
09/17/25
Standard Chartered Bank
4,941
EUR
5,185,000
USD
6,057,158
09/17/25
State Street Bank and Trust
60,226
GBP
9,365,247
USD
12,544,909
07/16/25
Bank of America, N.A.
289,545
GBP
1,427,000
USD
1,941,590
07/02/25
Barclays Bank PLC
13,898
GBP
6,000
USD
8,054
07/31/25
JPMorgan Chase Bank N.A.
169
GHS
8,280,000
USD
489,579
09/17/25
Standard Chartered Bank
277,811
HUF
554,408,908
USD
1,611,091
09/17/25
Citibank N.A.
10,554
HUF
1,235,211,092
USD
3,549,065
09/17/25
Goldman Sachs International
63,925
HUF
209,400,000
USD
592,739
09/17/25
Morgan Stanley and Co. International PLC
19,756
HUF
318,420,000
USD
907,860
09/17/25
Standard Chartered Bank
23,518
IDR
1,305,400,000
USD
80,000
07/07/25
Barclays Bank PLC
392
IDR
31,319,204,857
USD
1,917,355
07/16/25
Barclays Bank PLC
10,774
IDR
1,901,000,000
USD
116,330
09/17/25
Deutsche Bank AG
434
INR
50,691,715
USD
584,831
07/16/25
Citibank N.A.
5,893
INR
317,447,081
USD
3,693,762
09/17/25
Citibank N.A.
(4,468
)
INR
42,378,800
USD
493,204
08/20/25
Deutsche Bank AG
(58
)
INR
52,314,577
USD
600,964
08/20/25
Deutsche Bank AG
7,800
INR
49,580,000
USD
576,399
09/17/25
Deutsche Bank AG
(192
)
INR
105,692,919
USD
1,229,989
09/17/25
Goldman Sachs International
(1,651
)
INR
34,100,000
USD
394,618
09/17/25
HSBC Bank PLC
1,684
INR
173,237,207
USD
2,005,365
08/20/25
JPMorgan Chase Bank N.A.
10,528
INR
2,661,350
USD
31,000
08/20/25
Morgan Stanley and Co. International PLC
(31
)
INR
5,030,000
USD
57,967
09/17/25
State Street Bank and Trust
490
JPY
155,868,990
USD
1,083,767
07/02/25
Barclays Bank PLC
(4,678
)
JPY
93,529,009
USD
650,781
08/04/25
Barclays Bank PLC
(879
)
JPY
474,517,021
USD
3,241,768
07/16/25
Goldman Sachs & Co.
48,466
JPY
457,600,000
USD
3,143,103
07/02/25
JPMorgan Chase Bank N.A.
24,885
JPY
124,360,245
USD
860,839
07/02/25
Morgan Stanley and Co. International PLC
113
JPY
363,476,957
USD
2,527,324
08/04/25
Morgan Stanley and Co. International PLC
(1,646
)
KRW
41,469,837
USD
30,424
07/07/25
Barclays Bank PLC
313
KRW
55,930,560
USD
41,000
07/16/25
Barclays Bank PLC
479
KRW
3,057,621,800
USD
2,260,000
07/11/25
Deutsche Bank AG
6,853
KRW
3,511,745,000
USD
2,605,616
09/17/25
HSBC Bank PLC
8,894
KZT
413,797,500
USD
784,759
09/17/25
Citibank N.A.
(6,928
)
KZT
137,932,500
USD
260,373
09/17/25
Merrill Lynch International
(1,096
)
MXN
23,630,000
USD
1,225,666
09/17/25
Bank of America, N.A.
15,050
MXN
201,709,228
USD
9,643,227
07/16/25
Goldman Sachs & Co.
1,018,282
MXN
27,650,000
USD
1,430,589
12/17/25
JPMorgan Chase Bank N.A.
6,384
MXN
2,920,000
USD
150,315
09/17/25
Standard Chartered Bank
3,003
MYR
296,000
USD
69,790
09/17/25
HSBC Bank PLC
711
MYR
2,970,550
USD
703,497
09/17/25
Standard Chartered Bank
4,030
142See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Forward Foreign Currency Contractscontinued
Currency Purchased
Currency Sold
Settlement
Date
Counterparty
Unrealized
Appreciation
(Depreciation)
NGN
2,894,960,000
USD
1,563,991
08/12/25
Citibank N.A.
$277,880
NGN
231,136,000
USD
143,296
08/12/25
Merrill Lynch International
3,761
NOK
566,318
USD
56,143
07/02/25
Morgan Stanley and Co. International PLC
(181
)
PEN
636,000
USD
176,431
09/17/25
Deutsche Bank AG
2,424
PHP
13,510,000
USD
241,604
09/17/25
Barclays Bank PLC
(2,131
)
PLN
1,982,009
USD
529,016
07/10/25
Barclays Bank PLC
19,342
PLN
1,545,000
USD
412,275
09/17/25
Barclays Bank PLC
14,484
PLN
2,451,762
USD
652,803
07/10/25
JPMorgan Chase Bank N.A.
25,521
RON
1,590,000
USD
357,842
09/17/25
Deutsche Bank AG
7,749
RON
1,228,000
USD
279,647
09/17/25
Goldman Sachs International
2,708
SGD
4,411,000
USD
3,432,623
07/02/25
Morgan Stanley and Co. International PLC
30,651
THB
49,856,014
USD
1,529,000
07/16/25
Barclays Bank PLC
6,180
TRY
12,190,000
USD
300,521
07/16/25
Barclays Bank PLC
2,289
TRY
53,979,610
USD
1,324,393
07/18/25
Barclays Bank PLC
14,341
TRY
20,400,000
USD
479,256
09/17/25
Barclays Bank PLC
(378
)
TRY
83,371,080
USD
1,954,957
09/17/25
Barclays Bank PLC
2,130
TRY
13,025,000
USD
300,274
09/17/25
Goldman Sachs International
5,480
TWD
81,699,750
USD
2,750,000
07/11/25
Barclays Bank PLC
48,824
TWD
45,551,202
USD
1,546,835
09/17/25
Barclays Bank PLC
22,057
TWD
2,677,050
USD
90,000
07/07/25
Deutsche Bank AG
1,680
TWD
46,930,000
USD
1,578,540
07/14/25
HSBC Bank PLC
29,538
TWD
2,659,100
USD
91,579
07/16/25
JPMorgan Chase Bank N.A.
(450
)
TWD
9,850,176
USD
336,000
08/20/25
JPMorgan Chase Bank N.A.
2,512
USD
1,528,647
AUD
2,372,000
07/02/25
Barclays Bank PLC
(25,843
)
USD
2,592,154
AUD
4,032,727
07/16/25
Citibank N.A.
(51,297
)
USD
97,717
AUD
149,000
08/05/25
JPMorgan Chase Bank N.A.
8
USD
2,659,109
AUD
4,090,000
07/08/25
UBS AG
(21,472
)
USD
1,599,277
BRL
8,796,024
07/02/25
Barclays Bank PLC
(12,351
)
USD
2,333,000
BRL
13,099,970
07/02/25
JPMorgan Chase Bank N.A.
(67,207
)
USD
1,528,078
BRL
8,338,875
07/02/25
JPMorgan Chase Bank N.A.
210
USD
2,253,615
BRL
12,858,000
09/17/25
Standard Chartered Bank
(57,956
)
USD
212,185
BRL
1,188,000
09/03/25
State Street Bank and Trust
(2,207
)
USD
34,067
BRL
194,000
09/17/25
State Street Bank and Trust
(810
)
USD
284,993
CAD
390,000
07/31/25
Barclays Bank PLC
(1,240
)
USD
56,531
CAD
80,000
07/16/25
Goldman Sachs & Co.
(2,139
)
USD
2,346,555
CAD
3,231,154
07/02/25
JPMorgan Chase Bank N.A.
(21,459
)
USD
1,071,237
CAD
1,465,000
07/08/25
UBS AG
(2,746
)
USD
305,995
CHF
249,000
07/02/25
Barclays Bank PLC
(6,819
)
USD
4,576,336
CHF
3,883,767
07/16/25
Goldman Sachs & Co.
(311,334
)
USD
934,559
CHF
760,000
07/08/25
UBS AG
(20,930
)
USD
26,942
CLP
25,200,000
09/17/25
Deutsche Bank AG
(54
)
USD
420,212
CLP
395,400,000
09/17/25
State Street Bank and Trust
(3,353
)
USD
5,701,988
CNH
41,730,000
07/16/25
Bank of America, N.A.
(130,017
)
See accompanying Notes to the Schedule of Investments
143

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Forward Foreign Currency Contractscontinued
Currency Purchased
Currency Sold
Settlement
Date
Counterparty
Unrealized
Appreciation
(Depreciation)
USD
1,995,304
CNH
14,229,110
09/17/25
Citibank N.A.
$(2,834
)
USD
301,413
CNH
2,154,000
09/17/25
HSBC Bank PLC
(1,065
)
USD
301,551
COP
1,243,836,000
09/17/25
Barclays Bank PLC
271
USD
628,938
CZK
13,600,000
09/17/25
Barclays Bank PLC
(18,436
)
USD
10,998,715
CZK
237,659,028
09/17/25
Standard Chartered Bank
(314,085
)
USD
428,775
EGP
24,050,000
09/17/25
Citibank N.A.
(42,355
)
USD
1,623,604
EGP
91,780,000
09/17/25
Goldman Sachs International
(174,328
)
USD
1,335,088
EGP
75,280,000
09/17/25
Standard Chartered Bank
(139,616
)
USD
6,671,030
EUR
6,060,942
07/16/25
Bank of America, N.A.
(450,174
)
USD
3,363,237
EUR
2,955,000
07/02/25
Barclays Bank PLC
(105,488
)
USD
409,385
EUR
352,000
09/17/25
BNP Paribas S.A.
(5,913
)
USD
501,509
EUR
430,000
09/17/25
Citibank N.A.
(5,815
)
USD
13,344,235
EUR
11,554,000
07/31/25
Deutsche Bank AG
(244,416
)
USD
5,509,281
EUR
4,738,561
08/04/25
Deutsche Bank AG
(65,211
)
USD
23,678,775
EUR
20,594,000
09/17/25
Deutsche Bank AG
(618,506
)
USD
2,643,082
EUR
2,288,000
09/17/25
HSBC Bank PLC
(56,354
)
USD
17,210,184
EUR
14,906,127
07/31/25
JPMorgan Chase Bank N.A.
(320,900
)
USD
1,495,319
EUR
1,300,000
09/17/25
Merrill Lynch International
(38,451
)
USD
2,744,798
EUR
2,367,000
07/02/25
Morgan Stanley and Co. International PLC
(33,704
)
USD
766,297
EUR
669,000
07/02/25
Natwest Markets PLC
(19,008
)
USD
164,416
EUR
141,000
09/17/25
Natwest Markets PLC
(1,939
)
USD
36,858,253
EUR
32,030,000
09/17/25
Standard Chartered Bank
(931,488
)
USD
116,000
EUR
98,631
07/31/25
State Street Bank and Trust
1
USD
1,937,999
EUR
1,691,000
07/08/25
UBS AG
(47,764
)
USD
11,959,514
GBP
9,365,247
07/16/25
Bank of America, N.A.
(874,941
)
USD
144,990
GBP
107,000
07/02/25
Barclays Bank PLC
(1,637
)
USD
1,941,854
GBP
1,427,000
08/04/25
Barclays Bank PLC
(13,918
)
USD
828,516
GBP
615,000
07/02/25
JPMorgan Chase Bank N.A.
(14,249
)
USD
2,467,517
GBP
1,835,000
07/31/25
JPMorgan Chase Bank N.A.
(47,395
)
USD
950,773
GBP
705,000
07/02/25
Morgan Stanley and Co. International PLC
(15,323
)
USD
8,223
GBP
6,000
07/31/25
State Street Bank and Trust
0
USD
2,644,621
GBP
1,951,000
07/08/25
UBS AG
(29,002
)
USD
246,914
GHS
4,000,000
09/17/25
Citibank N.A.
(123,806
)
USD
118,330
HUF
41,580,000
09/17/25
Barclays Bank PLC
(3,291
)
USD
79,821
IDR
1,300,850,171
07/07/25
Barclays Bank PLC
(291
)
USD
194,175
IDR
3,153,286,957
07/16/25
Barclays Bank PLC
47
USD
1,730,000
IDR
28,205,920,000
07/11/25
Deutsche Bank AG
(6,793
)
USD
5,491,052
IDR
89,619,455,206
09/17/25
Standard Chartered Bank
(13,575
)
USD
3,150,000
INR
270,188,415
07/11/25
Barclays Bank PLC
824
USD
591,502
INR
50,691,715
07/16/25
Citibank N.A.
778
USD
3,349,876
JPY
474,517,021
07/16/25
Goldman Sachs & Co.
59,642
USD
4,467,668
JPY
644,019,219
07/02/25
Morgan Stanley and Co. International PLC
9,091
USD
2,361,017
JPY
335,500,000
07/08/25
UBS AG
36,789
144See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Forward Foreign Currency Contractscontinued
Currency Purchased
Currency Sold
Settlement
Date
Counterparty
Unrealized
Appreciation
(Depreciation)
USD
8,549
KRW
11,671,950
07/08/25
Barclays Bank PLC
$(103
)
USD
30,424
KRW
41,448,541
07/16/25
Barclays Bank PLC
(315
)
USD
30,000
KRW
41,280,300
07/07/25
Deutsche Bank AG
(597
)
USD
2,235,394
KRW
3,062,452,321
07/16/25
JPMorgan Chase Bank N.A.
(35,756
)
USD
286,011
MXN
5,507,000
09/17/25
Barclays Bank PLC
(3,139
)
USD
1,578,387
MXN
30,430,679
09/17/25
Deutsche Bank AG
(19,405
)
USD
10,192,975
MXN
201,709,228
07/16/25
Goldman Sachs & Co.
(468,534
)
USD
11,466
MXN
220,000
09/17/25
Goldman Sachs International
(85
)
USD
268,217
MXN
5,133,000
09/17/25
Morgan Stanley and Co. International PLC
(1,296
)
USD
2,441,763
MXN
47,010,000
09/17/25
Standard Chartered Bank
(26,543
)
USD
1,147,028
MYR
4,840,000
09/17/25
HSBC Bank PLC
(5,765
)
USD
61,385
NOK
625,267
07/02/25
Barclays Bank PLC
(402
)
USD
56,143
NOK
566,214
08/04/25
Morgan Stanley and Co. International PLC
181
USD
2,666,504
NOK
26,880,000
07/08/25
UBS AG
10,209
USD
1,867,385
PEN
6,817,585
09/17/25
Barclays Bank PLC
(49,848
)
USD
11,563,283
PEN
42,060,784
09/17/25
Citibank N.A.
(265,001
)
USD
764,099
PEN
2,782,000
09/17/25
Deutsche Bank AG
(18,252
)
USD
576,469
PHP
32,250,000
09/17/25
Citibank N.A.
4,818
USD
1,020,645
PHP
58,545,000
09/17/25
HSBC Bank PLC
(17,102
)
USD
1,017,431
PHP
58,545,000
09/17/25
Merrill Lynch International
(20,316
)
USD
718,394
PHP
40,970,000
09/17/25
Standard Chartered Bank
(7,825
)
USD
232,468
PLN
864,000
09/17/25
Barclays Bank PLC
(6,185
)
USD
384,976
PLN
1,396,527
09/17/25
Citibank N.A.
(772
)
USD
3,308,006
PLN
12,153,473
09/17/25
Goldman Sachs International
(49,020
)
USD
2,261,700
PLN
8,460,000
09/17/25
HSBC Bank PLC
(75,117
)
USD
1,200,581
PLN
4,437,577
07/18/25
JPMorgan Chase Bank N.A.
(26,906
)
USD
3,487
PLN
12,858
07/18/25
Morgan Stanley and Co. International PLC
(70
)
USD
283,131
RON
1,245,000
09/17/25
Goldman Sachs International
(3,134
)
USD
931,133
SEK
8,860,000
07/08/25
UBS AG
1,121
USD
86,466
SGD
111,389
07/02/25
Deutsche Bank AG
(990
)
USD
3,342,485
SGD
4,293,472
07/02/25
JPMorgan Chase Bank N.A.
(28,513
)
USD
1,430,000
THB
47,577,540
07/16/25
Barclays Bank PLC
(35,020
)
USD
70,000
THB
2,270,100
07/16/25
Barclays Bank PLC
98
USD
608,476
THB
19,770,000
09/17/25
Barclays Bank PLC
(3,196
)
USD
4,707,262
THB
153,001,357
09/17/25
Standard Chartered Bank
(26,507
)
USD
1,569,311
TRY
71,600,000
09/17/25
Barclays Bank PLC
(111,456
)
USD
91,579
TWD
2,667,892
07/07/25
JPMorgan Chase Bank N.A.
213
USD
3,113,456
TWD
92,684,465
07/16/25
JPMorgan Chase Bank N.A.
(62,918
)
USD
29,923
TWD
883,008
08/20/25
JPMorgan Chase Bank N.A.
(422
)
USD
2,711,344
UGX
10,023,834,129
09/17/25
Standard Chartered Bank
(41,698
)
USD
50,476
UYU
2,120,000
09/17/25
Deutsche Bank AG
(2,155
)
USD
2,119,322
ZAR
38,308,782
07/23/25
Barclays Bank PLC
(32,934
)
USD
1,265,619
ZAR
22,570,000
09/17/25
Citibank N.A.
2,665
See accompanying Notes to the Schedule of Investments
145

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Forward Foreign Currency Contractscontinued
Currency Purchased
Currency Sold
Settlement
Date
Counterparty
Unrealized
Appreciation
(Depreciation)
USD
821,747
ZAR
14,630,000
09/17/25
Goldman Sachs International
$3,094
USD
6,548,301
ZAR
117,420,304
09/17/25
Goldman Sachs International
(22,211
)
USD
1,640,355
ZAR
29,560,000
09/17/25
HSBC Bank PLC
(13,740
)
USD
607,801
ZAR
10,862,121
07/23/25
JPMorgan Chase Bank N.A.
(2,453
)
USD
60,587
ZAR
1,080,000
09/17/25
Morgan Stanley and Co. International PLC
153
USD
1,345,715
ZAR
24,180,000
09/17/25
Standard Chartered Bank
(7,330
)
USD
97,824
ZMW
2,333,100
08/13/25
Citibank N.A.
1,078
USD
96,765
ZMW
2,369,763
11/13/25
Citibank N.A.
570
UYU
40,235,804
USD
953,003
08/14/25
Citibank N.A.
52,138
UYU
45,354,196
USD
1,069,590
09/17/25
Citibank N.A.
56,382
ZAR
17,790,000
USD
998,868
09/17/25
Barclays Bank PLC
(3,389
)
ZAR
25,761,000
USD
1,449,807
07/23/25
Natwest Markets PLC
(2,507
)
ZAR
767,000
USD
42,453
09/17/25
State Street Bank and Trust
466
ZMW
7,000,000
USD
257,827
08/13/25
Standard Chartered Bank
32,440
ZMW
7,110,000
USD
256,796
11/13/25
Standard Chartered Bank
31,817
 
 
 
 
 
$(2,771,841
)
Futures Contracts
Number of
Contracts
Description
Expiration Date
Notional
Value
Market Value/
Unrealized
Appreciation
(Depreciation)
Buys
 
 
186
10-Year Australian Bond Futures
Sep 2025
$13,971,528
$112,698
269
10-Year Canadian Bond Futures
Sep 2025
24,051,301
149,142
15
EURO BTP
Sep 2025
2,130,537
(1,670
)
93
U.S. Treasury Note 10-Year
Sep 2025
10,427,625
154,707
205
U.S. Treasury Note 2-Year
Sep 2025
42,644,805
67,259
812
U.S. Treasury Note 5-Year
Sep 2025
88,508,000
979,472
39
U.S. Ultra Bond
Sep 2025
4,645,875
91,095
 
 
$1,552,703
Sales
 
 
12
30 -Year Euro BUXL Bond
Sep 2025
$1,672,595
$33,795
32
EURO BOBL
Sep 2025
4,420,435
15,601
68
EURO BTP
Sep 2025
9,658,433
(14,965
)
19
Euro BUND
Sep 2025
2,902,754
13,090
106
EURO OAT
Sep 2025
15,409,169
109,519
132
U.S. Long Bond
Sep 2025
15,241,875
(543,666
)
31
U.S. Treasury Note 10-Year
Sep 2025
3,475,875
(5,857
)
50
U.S. Treasury Note 2-Year
Sep 2025
10,401,172
(24,198
)
65
U.S. Ultra 10-Year
Sep 2025
7,427,266
(143,514
)
 
 
$(560,195
)
146See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Written Options
Written Exchange-Traded Options
Type of Contract
 
Number of
Contracts
Notional
Value
Premiums
Received
Value at
June 30, 2025
CALL - U.S. 10-Year Futures Option
Strike @ $112.50
Expires 07/25/2025
 
12
$13,446
$(4,860)
$(6,375)
PUT - U.S. 10-Year Futures Option
Strike @ $109.00
Expires 07/25/2025
 
12
13,446
(4,672)
(375)
Total Written Exchange-Traded Options
 
 
 
$(9,532)
$(6,750)
Written Interest Rate Swaptions
Counterparty
Description
Floating Rate Index
Pay/Receive
Floating Rate
Exercise
Rate
Expiration
Date
Notional
Amount
Premiums
(Received)
Market
Value
Bank of America, N.A.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.64%
07/18/2025
(1,000,000
)
$(3,163
)
$(4,604
)
Bank of America, N.A.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.04
07/18/2025
(1,000,000
)
(3,163
)
(291
)
Bank of America, N.A.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.70
07/21/2025
(1,000,000
)
(3,175
)
(7,545
)
Bank of America, N.A.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.05
07/21/2025
(1,000,000
)
(3,175
)
(378
)
Bank of America, N.A.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.56
07/24/2025
(1,100,000
)
(3,492
)
(3,655
)
Bank of America, N.A.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.91
07/24/2025
(1,100,000
)
(3,492
)
(1,918
)
JPMorgan Chase Bank
N.A.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.77
07/10/2025
(1,200,000
)
(3,930
)
(10,895
)
JPMorgan Chase Bank
N.A.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.12
07/10/2025
(1,200,000
)
(3,930
)
(11
)
Morgan Stanley Capital
Services, Inc.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.72
07/02/2025
(1,300,000
)
(4,654
)
(4,384
)
Morgan Stanley Capital
Services, Inc.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.07
07/02/2025
(1,300,000
)
(4,654
)
0
Morgan Stanley Capital
Services, Inc.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.73
07/03/2025
(1,200,000
)
(4,515
)
(5,262
)
Morgan Stanley Capital
Services, Inc.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.08
07/03/2025
(1,200,000
)
(4,515
)
0
Morgan Stanley Capital
Services, Inc.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.67
07/07/2025
(1,200,000
)
(4,506
)
(3,899
)
Morgan Stanley Capital
Services, Inc.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.02
07/07/2025
(1,200,000
)
(4,506
)
(16
)
Morgan Stanley Capital
Services, Inc.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.66
07/14/2025
(1,100,000
)
(3,273
)
(5,238
)
Morgan Stanley Capital
Services, Inc.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.06
07/14/2025
(1,100,000
)
(3,272
)
(108
)
Morgan Stanley Capital
Services, Inc.
Call – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
3.70
07/16/2025
(1,100,000
)
(3,176
)
(7,139
)
Morgan Stanley Capital
Services, Inc.
Put – 10-Year Interest Rate Swap
1-day USD SOFR
Pay Float
4.10
07/16/2025
(1,100,000
)
(3,176
)
(110
)
Total Written Interest Rate
Swaptions
 
 
 
 
 
(67,767
)
(55,453
)
 
 
 
 
 
 
Total Written Options
 
 
 
 
 
$(77,299
)
$(62,203
)
See accompanying Notes to the Schedule of Investments
147

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
OTC — Interest Rate Swaps
Payments
Received
by Fund
Payment
Frequency
Payments
Made by
Fund
Payment
Frequency
Maturity
Date
Counterparty
Upfront
Premiums
Paid
(Received)
Notional
Value
Market
Value
Unrealized
Appreciation
(Depreciation)
13.43%
At Maturity
BRL-CDI
At Maturity
01/02/29
Citibank N.A.
$   
BRL
(13,295,061)
$35,161
$35,161
13.44%
At Maturity
BRL-CDI
At Maturity
01/02/29
Citibank N.A.
   
BRL
(13,294,007)
35,648
35,648
 
 
 
 
 
 
$   
$70,809
$70,809
Centrally Cleared Interest Rate Swaps
Payments
Received
by Fund
Payment
Frequency
Payments
Made
by Fund
Payment
Frequency
Maturity
Date
Upfront
Premiums
Paid
(Received)
Notional
Value
Market
Value
Unrealized
Appreciation
(Depreciation)
12-Month SOFR
Annual
3.25%
Annual
06/18/30
$226,712
USD
32,500,000
$262,024
$35,312
12-Month SOFR
Annual
3.25%
Annual
06/18/35
642,083
USD
18,000,000
660,916
18,833
12-Month SOFR
Annual
3.25%
Annual
06/18/55
1,193,659
USD
11,000,000
1,281,664
88,005
3.50%
Annual
12-Month SONIA
Annual
03/19/30
(96,505
)
GBP
13,700,000
(118,075
)
(21,570
)
3-Month KSDA
Quarterly
2.69%
Quarterly
09/17/35
(946
)
KRW
6,793,660,000
(29,946
)
(29,000
)
3-Month KSDA
Quarterly
2.43%
Quarterly
09/17/35
KRW
3,240,190,000
43,214
43,214
2.48%
Quarterly
3-Month KSDA
Quarterly
09/17/28
(556
)
KRW
29,945,930,000
50,242
50,798
4.00%
Semi-Annual
6-Month BBSW
Semi-Annual
06/18/30
99,254
AUD
13,900,000
159,573
60,319
4.68%
Semi-Annual
6-Month CLICP
Semi-Annual
09/17/30
CLP
3,246,700,000
1,240
1,240
5.51%
Semi-Annual
6-Month MIBOR
Semi-Annual
09/17/27
856
INR
987,140,000
(3,262
)
(4,118
)
5.75%
Semi-Annual
6-Month MIBOR
Semi-Annual
09/17/30
1,630
INR
505,590,000
5,950
4,320
6-Month WIBOR
Semi-Annual
4.21%
Annual
09/17/27
PLN
28,331,000
(6,019
)
(6,019
)
1.45%
Quarterly
7-Day CNRR
Quarterly
09/17/30
(938
)
CNY
80,660,000
(14,011
)
(13,073
)
13.29%
At Maturity
BRL-CDI
At Maturity
01/02/29
BRL
15,000,000
13,647
13,647
13.32%
At Maturity
BRL-CDI
At Maturity
01/02/29
BRL
1,600,000
1,888
1,888
13.93%
At Maturity
BRL-CDI
At Maturity
01/04/27
BRL
2,900,000
(1,364
)
(1,364
)
13.93%
At Maturity
BRL-CDI
At Maturity
01/04/27
BRL
22,700,000
(10,511
)
(10,511
)
 
 
 
 
 
 
$231,921
Centrally Cleared Credit Default Swaps
Sell Protection
Notional
Amount*
Currency
Expiration
Date
Receive
(Pay)
Fixed
Rate
Payment
Frequency
Deliverable on Default
Unrealized
Appreciation
(Depreciation)
Upfront
Premiums
Paid
(Received)
Value
21,700,000
USD
06/20/30
1.00%
Quarterly
CDX.EM.S43**
$336,559
$(880,790
)
$(544,231
)
61,890,000
USD
06/20/30
5.00%
Quarterly
CDX.NA.HY.S44***
1,788,286
2,803,876
4,592,162
43,725,000
USD
06/20/30
5.00%
Quarterly
CDX.NA.HY.S44***
1,012,908
2,231,433
3,244,341
33,700,000
USD
06/20/30
1.00%
Quarterly
CDX.NA.IG.S44****
186,863
554,079
740,942
Total Sell Protection
$3,324,616
148See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
OTC — Total Return Swaps
Fund Pays
Fund Receives
Counterparty
Expiration
Date
Payment
Frequency
Premiums Paid
(Received)
Notional
Value
Value
Unrealized
Appreciation
(Depreciation)
12-Month SOFR
IBXXLLTR
JPMorgan
Chase Bank
N.A.
09/22/25
Quarterly
$
$(19,900,000
)
$449,420
$449,420
*
The maximum potential amount of future undiscounted payments that the Fund could be required to make under a credit default swap
contract would be the notional amount of the contract. These potential amounts would be partially offset by any recovery values of
the referenced debt obligation or net amounts received from the settlement of purchased protection credit default swap contracts
entered into by the Fund for the same referenced debt obligation.
**
CDX.EM — Markit CDX Emerging Markets Index. Represents an index composed of fifteen (15) sovereign reference entities that
trade in the credit default swaps (CDS) market.
***
CDX.NA.HY — Markit North America High Yield CDS Index. Represents an index of single name credit default swaps (CDS). All
of the companies underlying the single name CDS within the index are rated BB and B.
****
CDX.NA.IG — Markit North America Investment Grade CDS Index. Represents an index of one hundred twenty five (125) of the
most liquid North American entities with investment grade credit ratings that trade in the CDS market.
U.S. Treasury securities in the amount of $136,197 received at the custodian bank as collateral for forward foreign currency contracts, OTC swaps and/or OTC options.
See accompanying Notes to the Schedule of Investments
149

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Currency Abbreviations
ARS
Argentina Peso
AUD
Australian Dollar
BRL
Brazilian Real
CAD
Canadian Dollar
CHF
Swiss Franc
CLP
Chilean Peso
CNH
Chinese Yuan Renminbi
CNY
Chinese Yuan
COP
Colombian Peso
CZK
Czech Koruna
DOP
Dominican Pesos
EGP
Egyptian Pound
EUR
Euro
GBP
United Kingdom Pound
GHS
New Ghanaian Cedi
HUF
Hungarian Forint
IDR
Indonesian Rupiah
INR
Indian Rupee
JMD
Jamaica Dollar
JPY
Japanese Yen
KRW
South Korean Won
KZT
Kazakhstani Tenge
MXN
Mexican Peso
MYR
Malaysian Ringgit
NGN
Nigeria Naira
NOK
Norwegian Krona
PEN
Peruvian Nuevo Sol
PHP
Philippines Peso
PLN
Polish Zloty
PYG
Paraguay Guarani
RON
Romanian New Leu
SEK
Sweden Krona
SGD
Singapore Dollar
THB
Thai Baht
TRY
Turkish New Lira
TWD
Taiwan Dollar
UGX
Ugandan Shilling
USD
U.S. Dollar
UYU
Uruguayan Peso
ZAR
South African Rand
150See accompanying Notes to the Schedule of Investments

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Abbreviations
CDI
CREST Depository Interest
CLICP
Chilean Average Chamber Index
CLO
Collateralized Loan Obligation
CMS
Constant Maturity Swap
CMT
Constant Maturity Treasury Index
CNRR
China Fixing Repo Rates
ETF
Exchange-traded fund
EURIBOR
Euro Interbank Offered Rate
ICE
Intercontinental Exchange
KSDA
South Korea Three Month Interbank Rate
LIBOR
London Interbank Offered Rate
MIBOR
Mumbai Interbank Offered Rate
PIK
Payment In Kind
REIT
Real Estate Investment Trust
SOFR
Secured Overnight Financing Rate
SONIA
Sterling Overnight Index Average
STACR
Structured Agency Credit Risk
TBA
To Be Announced
TBD
To Be Determined
WIBOR
Warsaw Interbank Offer Rate
See accompanying Notes to the Schedule of Investments
151

Mercer Opportunistic Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Asset Class Summary (Unaudited)
% of Net Assets
Corporate Debt
37.6
Sovereign Debt Obligations
16.7
Bank Loans
16.2
U.S. Government and Agency Obligations
9.7
Asset Backed Securities
7.4
Mortgage Backed Securities - U.S. Government Agency Obligations
4.9
Mortgage Backed Securities - Private Issuers
4.8
Investment Companies
1.7
Convertible Debt
0.8
Common Stocks
0.6
Preferred Stocks
0.2
Centrally Cleared Credit Default Swaps
0.2
Futures Contracts
0.1
Municipal Obligation
0.0*
OTC Total Return Swap
0.0*
Centrally Cleared Interest Rate Swaps
0.0*
OTC Interest Rate Swaps
0.0*
Written Exchange-Traded Options
0.0*
Written Interest Rate Swaptions
0.0*
Forward Foreign Currency Contracts
(0.1)
Short-Term Investments
9.2
Other Assets and Liabilities (net)
(10.0)
 
100.0%
*
Amount rounds to zero.
152See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
DEBT OBLIGATIONS — 95.2%
 
Asset Backed Securities — 23.3%
50,197
 
Ally Auto Receivables Trust, Series 2024-2, Class A2, 4.46%, due 07/15/27
50,193
250,000
 
American Express Credit Account Master Trust, Series 2023-4, Class A, 5.15%, due
09/15/30
258,449
150,000
 
American Express Credit Account Master Trust, Series 2024-3, Class A, 4.65%, due
07/15/29
151,856
135,000
 
American Express Credit Account Master Trust, Series 2025-2, Class A, 4.28%, due
04/15/30
135,942
53,869
 
AmeriCredit Automobile Receivables Trust, Series 2024-1, Class A2A, 5.75%, due
02/18/28
53,993
100,000
 
AREIT Ltd., Series 2025-CRE10, Class A, 5.70% (1 mo. USD Term SOFR + 1.39%),
due 12/17/29(b) 144A
99,842
250,000
 
Bain Capital CLO Ltd., Series 2024-1A, Class A1, 5.81% (3 mo. USD Term SOFR +
1.55%), due 04/16/37(b) 144A
250,725
250,000
 
Barings CLO Ltd., Series 2024-1A, Class A, 5.90% (3 mo. USD Term SOFR + 1.63%),
due 01/20/37(b) 144A
250,766
250,000
 
Benefit Street Partners CLO XXI Ltd., Series 2020-21A, Class A1R, 5.69% (3 mo. USD
Term SOFR + 1.43%), due 10/15/34(b) 144A
250,372
250,000
 
Benefit Street Partners CLO XXIX Ltd., Series 2022-29A, Class AR, 5.46% (3 mo. USD
Term SOFR + 1.18%), due 01/25/38(b) 144A
249,999
250,000
 
Benefit Street Partners CLO XXV Ltd., Series 2021-25A, Class A1R, 5.26% (3 mo.
USD Term SOFR + 1.00%), due 01/15/35(b) 144A
249,647
60,000
 
BMW Vehicle Owner Trust, Series 2024-A, Class A4, 5.04%, due 04/25/31
61,410
180,000
 
Capital One Multi-Asset Execution Trust, Series 2024-A1, Class A, 3.92%, due 09/15/29
179,574
100,000
 
Chase Issuance Trust, Series 2024-A2, Class A, 4.63%, due 01/15/31
101,898
100,000
 
CNH Equipment Trust, Series 2022-B, Class A4, 3.91%, due 03/15/28
99,512
111,232
 
CNH Equipment Trust, Series 2024-C, Class A2A, 4.30%, due 02/18/28
111,108
100,000
 
Dell Equipment Finance Trust, Series 2024-2, Class A3, 4.59%, due 08/22/30 144A
100,680
160,000
 
DLLAA LLC, Series 2025-1A, Class A3, 4.95%, due 09/20/29 144A
162,971
250,000
 
Dryden 53 CLO Ltd., Series 2017-53A, Class AR (3 mo. USD Term SOFR + 1.00%),
due 01/15/31(b)(c) 144A
250,188
250,000
 
Elmwood CLO 15 Ltd., Series 2022-2A, Class A1R (3 mo. USD Term SOFR + 1.15%),
due 04/22/35(b)(c) 144A
250,188
250,000
 
Empower CLO Ltd., Series 2022-1A, Class A1R, 5.66% (3 mo. USD Term SOFR +
1.39%), due 10/20/37(b) 144A
250,510
97,603
 
Enterprise Fleet Financing LLC, Series 2022-4, Class A2, 5.76%, due 10/22/29 144A
98,007
218,741
 
FirstKey Homes Trust, Series 2020-SFR2, Class A, 1.27%, due 10/19/37 144A
215,981
132,576
 
Ford Credit Auto Lease Trust, Series 2023-A, Class C, 5.54%, due 12/15/26
132,630
100,000
 
Ford Credit Auto Lease Trust, Series 2024-A, Class A4, 5.05%, due 06/15/27
100,714
250,000
 
Ford Credit Auto Owner Trust, Series 2023-A, Class B, 5.07%, due 01/15/29
252,327
7,319
 
Ford Credit Auto Owner Trust, Series 2023-C, Class A2A, 5.68%, due 09/15/26
7,324
75,000
 
Ford Credit Auto Owner Trust, Series 2024-C, Class A3, 4.07%, due 07/15/29
74,936
250,000
 
Fort Greene Park CLO LLC, Series 2025-2A, Class AR, 5.22% (3 mo. USD Term SOFR
+ 0.95%), due 04/22/34(b) 144A
248,556
100,000
 
FS Rialto Issuer LLC, Series 2025-FL10, Class A, 5.70% (1 mo. USD Term SOFR +
1.39%), due 08/19/42(b) 144A
99,744
75,000
 
GM Financial Automobile Leasing Trust, Series 2024-2, Class A3, 5.39%, due 07/20/27
75,619
100,000
 
GM Financial Automobile Leasing Trust, Series 2024-3, Class A3, 4.21%, due 10/20/27
100,011
115,000
 
GM Financial Automobile Leasing Trust, Series 2025-1, Class A3, 4.66%, due 02/21/28
115,822
153,572
 
GM Financial Consumer Automobile Receivables Trust, Series 2021-3, Class A4, 0.73%,
due 08/16/27
152,923
See accompanying Notes to the Schedule of Investments
153

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
275,000
 
GM Financial Consumer Automobile Receivables Trust, Series 2023-2, Class C, 5.21%,
due 12/18/28
277,690
172,000
 
GM Financial Consumer Automobile Receivables Trust, Series 2023-4, Class A3, 5.78%,
due 08/16/28
174,024
100,000
 
GM Financial Consumer Automobile Receivables Trust, Series 2024-1, Class B, 5.16%,
due 08/16/29
101,679
120,000
 
GM Financial Consumer Automobile Receivables Trust, Series 2024-2, Class A3, 5.10%,
due 03/16/29
121,108
250,000
 
GoldenTree Loan Management U.S. CLO 1 Ltd., Series 2017-1A, Class A1R3, 5.24% (3
mo. USD Term SOFR + 0.97%), due 04/20/34(b) 144A
249,830
66,895
 
Hilton Grand Vacations Trust, Series 2024-2A, Class A, 5.50%, due 03/25/38 144A
68,237
78,050
 
Hilton Grand Vacations Trust, Series 2024-3A, Class A, 4.98%, due 08/27/40 144A
78,940
166,641
 
Honda Auto Receivables Owner Trust, Series 2024-4, Class A2, 4.56%, due 03/15/27
166,640
100,000
 
Hyundai Auto Lease Securitization Trust, Series 2024-B, Class A3, 5.41%, due 05/17/27
144A
100,820
95,000
 
Hyundai Auto Receivables Trust, Series 2024-C, Class A3, 4.41%, due 05/15/29
95,528
300,000
 
Invesco U.S. CLO Ltd., Series 2023-1A, Class AR, 5.84% (3 mo. USD Term SOFR +
1.57%), due 04/22/37(b) 144A
300,961
350,000
 
John Deere Owner Trust, Series 2023-C, Class A4, 5.39%, due 08/15/30
357,487
45,000
 
John Deere Owner Trust, Series 2024-A, Class A3, 4.96%, due 11/15/28
45,437
100,000
 
John Deere Owner Trust, Series 2024-B, Class A3, 5.20%, due 03/15/29
101,654
105,000
 
John Deere Owner Trust, Series 2024-C, Class A3, 4.06%, due 06/15/29
105,037
100,000
 
John Deere Owner Trust, Series 2025-A, Class A4, 4.42%, due 02/17/32
100,547
58,368
 
Kubota Credit Owner Trust, Series 2022-2A, Class A3, 4.09%, due 12/15/26 144A
58,288
50,000
 
Lendbuzz Securitization Trust, Series 2025-1A, Class A2, 5.10%, due 10/15/30 144A
50,183
100,000
 
LoanCore Issuer LLC, Series 2025-CRE8, Class A, 5.70% (1 mo. USD Term SOFR +
1.39%), due 08/17/42(b) 144A
99,747
87,863
 
Magnetite XII Ltd., Series 2015-12A, Class AR4, 5.41% (3 mo. USD Term SOFR +
1.15%), due 10/15/31(b) 144A
87,885
250,000
 
Magnetite XXVI Ltd., Series 2020-26A, Class AR2, 5.42% (3 mo. USD Term SOFR +
1.15%), due 01/25/38(b) 144A
250,836
60,000
 
Mercedes-Benz Auto Lease Trust, Series 2024-A, Class A3, 5.32%, due 01/18/28
60,755
100,000
 
MF1 LLC, Series 2025-FL17, Class A, 5.63% (1 mo. USD Term SOFR + 1.32%), due
02/18/40(b) 144A
99,872
102,304
 
MVW LLC, Series 2024-1A, Class A, 5.32%, due 02/20/43 144A
104,323
206,443
 
MVW LLC, Series 2024-2A, Class A, 4.43%, due 03/20/42 144A
206,274
195,810
 
Navient Private Education Refi Loan Trust, Series 2020-EA, Class A, 1.69%, due
05/15/69 144A
182,079
338,366
 
Navient Private Education Refi Loan Trust, Series 2020-GA, Class A, 1.17%, due
09/16/69 144A
315,274
84,247
 
Navient Private Education Refi Loan Trust, Series 2020-HA, Class A, 1.31%, due
01/15/69 144A
79,214
74,455
 
Navient Private Education Refi Loan Trust, Series 2024-A, Class A, 5.66%, due
10/15/72 144A
75,502
130,990
 
Navient Student Loan Trust, Series 2019-BA, Class A2A, 3.39%, due 12/15/59 144A
128,148
217,319
 
Neuberger Berman Loan Advisers CLO 32 Ltd., Series 2019-32A, Class AR, 5.52% (3
mo. USD Term SOFR + 1.25%), due 01/20/32(b) 144A
217,447
250,000
 
Neuberger Berman Loan Advisers CLO 42 Ltd., Series 2021-42A, Class AR, 5.21% (3
mo. USD Term SOFR + 0.95%), due 07/16/35(b) 144A
249,375
250,000
 
Neuberger Berman Loan Advisers CLO 43Ltd., Series 2021-43A, Class BR, 5.73% (3
mo. USD Term SOFR + 1.45%), due 07/17/36(b) 144A
250,045
100,000
 
Nissan Auto Lease Trust, Series 2024-A, Class A4, 4.97%, due 09/15/28
100,594
154See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Asset Backed Securities — continued
102,420
 
Octagon Loan Funding Ltd., Series 2014-1A, Class ARR, 5.77% (3 mo. USD Term
SOFR + 1.44%), due 11/18/31(b) 144A
102,523
227,228
 
Palmer Square Loan Funding Ltd., Series 2024-2A, Class A1N, 5.26% (3 mo. USD
Term SOFR + 1.00%), due 01/15/33(b) 144A
227,320
220,000
 
PFS Financing Corp., Series 2023-C, Class A, 5.52%, due 10/15/28 144A
223,358
189,035
 
Porsche Financial Auto Securitization Trust, Series 2023-2A, Class A3, 5.79%, due
01/22/29 144A
190,512
83,276
 
Santander Drive Auto Receivables Trust, Series 2024-1, Class A3, 5.25%, due 04/17/28
83,420
22,028
 
Santander Drive Auto Receivables Trust, Series 2024-3, Class A2, 5.91%, due 06/15/27
22,041
47,900
 
Santander Drive Auto Receivables Trust, Series 2024-5, Class A2, 4.88%, due 09/15/27
47,917
100,000
 
Santander Drive Auto Receivables Trust, Series 2024-5, Class C, 4.78%, due 01/15/31
100,474
50,000
 
Santander Drive Auto Receivables Trust, Series 2025-1, Class A3, 4.74%, due 01/16/29
50,211
100,000
 
Santander Drive Auto Receivables Trust, Series 2025-1, Class B, 4.88%, due 03/17/31
100,933
80,000
 
Santander Drive Auto Receivables Trust, Series 2025-2, Class A2, 4.71%, due 06/15/28
80,040
119,887
 
SMB Private Education Loan Trust, Series 2022-B, Class A1A, 3.94%, due 02/16/55
144A
116,790
98,727
 
SMB Private Education Loan Trust, Series 2025-A, Class A1A, 5.13%, due 04/15/54
144A
99,974
100,000
 
SoFi Consumer Loan Program Trust, Series 2025-1, Class B, 5.12%, due 02/27/34 144A
101,072
250,000
 
Synchrony Card Funding LLC, Series 2023-A2, Class A, 5.74%, due 10/15/29
254,641
67,643
 
Tesla Electric Vehicle Trust, Series 2023-1, Class A2A, 5.54%, due 12/21/26 144A
67,749
250,000
 
Tesla Electric Vehicle Trust, Series 2023-1, Class A3, 5.38%, due 06/20/28 144A
252,177
100,000
 
Toyota Auto Receivables Owner Trust, Series 2024-A, Class A3, 4.83%, due 10/16/28
100,623
90,171
 
Toyota Auto Receivables Owner Trust, Series 2024-D, Class A2A, 4.55%, due 08/16/27
90,186
190,000
 
Verizon Master Trust, Series 2024-4, Class A1A, 5.21%, due 06/20/29
191,727
75,000
 
Verizon Master Trust, Series 2024-8, Class B, 4.82%, due 11/20/30
75,747
135,000
 
Verizon Master Trust, Series 2025-3, Class A1A, 4.51%, due 03/20/30
135,703
60,000
 
Volvo Financial Equipment LLC, Series 2024-1A, Class A3, 4.29%, due 10/16/28 144A
60,142
100,000
 
Volvo Financial Equipment LLC, Series 2025-1A, Class A3, 4.46%, due 05/15/29 144A
100,743
155,000
 
WF Card Issuance Trust, Series 2025-A1, Class A, 4.34%, due 05/15/30
156,352
100,000
 
World Omni Automobile Lease Securitization Trust, Series 2025-A, Class A3, 4.42%,
due 04/17/28
100,279
 
 
13,438,531
 
Bank Loans — 2.4%
196,429
 
Allied Universal Holdco LLC, 2021 USD Incremental Term Loan B, 8.18% (1 mo. USD
Term SOFR + 3.75%), due 05/12/28(b)
197,515
124,063
 
Belron Finance LLC, 2024 USD Term Loan B, 7.05% (3 mo. USD Term SOFR +
2.75%), due 10/16/31(b)
124,760
77,365
 
Carnival Corp., 2025 Term Loan (2028), 6.31% (1 mo. USD Term SOFR + 2.00%), due
10/18/28(b)
77,413
48,322
 
Deerfield Dakota Holding LLC, 2020 USD Term Loan B, 8.05% (3 mo. USD Term
SOFR + 3.75%), due 04/09/27(b)
47,071
59,614
 
Elanco Animal Health, Inc., Term Loan B, 6.17% (1 mo. USD Term SOFR + 1.75%),
due 08/01/27(b)
59,641
80,105
 
Ellucian Holdings, Inc., 2024 1st Lien Term Loan B, 7.33% (1 mo. USD Term SOFR +
3.00%), due 10/09/29(b)
80,447
98,214
 
Polaris Newco LLC, USD Term Loan B, 8.29% (3 mo. USD Term SOFR + 3.75%), due
06/02/28(b)
95,899
59,912
 
Proampac PG Borrower LLC, 2024 Term Loan, 8.26% (3 mo. USD Term SOFR +
4.00%), due 09/15/28(b)
60,200
See accompanying Notes to the Schedule of Investments
155

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Bank Loans — continued
38,591
 
Proampac PG Borrower LLC, 2024 Term Loan, 8.32% (3 mo. USD Term SOFR +
4.00%), due 09/15/28(b)
38,776
98,507
 
Roper Industrial Products Investment Co. LLC, 2024 USD 1st Lien Term Loan B, 7.05%
(3 mo. USD Term SOFR + 2.75%), due 11/22/29(b)
98,415
65,476
 
Titan Acquisition Ltd., 2024 Term Loan B, 8.80% (3 mo. USD Term SOFR + 4.50%),
due 02/15/29(b)
65,722
65,476
 
Titan Acquisition Ltd., 2024 Term Loan B, 8.67% (6 mo. USD Term SOFR + 4.50%),
due 02/15/29(b)
65,722
197,503
 
TransDigm, Inc., 2023 Term Loan J, 6.80% (3 mo. USD Term SOFR + 2.50%), due
02/28/31(b)
197,996
197,496
 
UKG, Inc., 2024 Term Loan B, 7.31% (1 mo. USD Term SOFR + 3.00%), due
02/10/31(b)
198,401
 
 
1,407,978
 
Corporate Debt — 42.0%
18,000
 
3M Co., 4.80%, due 03/15/30
18,305
10,000
 
AbbVie, Inc., 3.20%, due 11/21/29
9,568
23,000
 
AbbVie, Inc., 4.80%, due 03/15/29
23,457
10,000
 
Accenture Capital, Inc., 3.90%, due 10/04/27
9,972
25,000
 
Accenture Capital, Inc., 4.05%, due 10/04/29
24,845
145,000
 
Adobe, Inc., 4.75%, due 01/17/28
147,611
27,000
 
Advanced Micro Devices, Inc., 4.32%, due 03/24/28
27,203
64,000
 
AES Corp., 5.45%, due 06/01/28
65,418
27,000
 
AGCO Corp., 5.45%, due 03/21/27
27,344
57,000
 
Air Products & Chemicals, Inc., 4.30%, due 06/11/28
57,305
38,000
 
Alabama Power Co., 3.75%, due 09/01/27
37,831
51,000
 
Albemarle Corp., 4.65%, due 06/01/27
50,842
20,000
 
Alphabet, Inc., 1.10%, due 08/15/30
17,282
50,000
 
Amcor Flexibles North America, Inc., 4.80%, due 03/17/28 144A
50,372
23,000
 
Ameren Corp., 5.70%, due 12/01/26
23,375
46,000
 
Ameren Illinois Co., 3.80%, due 05/15/28
45,665
119,658
 
American Airlines Pass-Through Trust, 3.00%, due 04/15/30
113,357
121,400
 
American Airlines Pass-Through Trust, 3.20%, due 12/15/29
116,527
89,684
 
American Airlines Pass-Through Trust, 3.25%, due 04/15/30
84,176
37,000
 
American Electric Power Co., Inc., 5.20%, due 01/15/29
37,959
100,000
 
American Express Co., 4.73% (SOFR + 1.26%), due 04/25/29(b)(d)
101,157
7,000
 
American Express Co., 5.10% (SOFR + 1.00%), due 02/16/28(b)
7,082
45,000
 
American Express Co., 5.28% (SOFR + 1.28%), due 07/27/29(b)
46,278
47,000
 
American Express Co., 5.39% (SOFR + 0.97%), due 07/28/27(b)
47,477
20,000
 
American Express Co., 5.65% (SOFR + 0.75%), due 04/23/27(b)
20,189
13,000
 
American Honda Finance Corp., 1.30%, due 09/09/26
12,543
10,000
 
American Honda Finance Corp., 4.40%, due 10/05/26
10,012
15,000
 
American Honda Finance Corp., 4.45%, due 10/22/27
15,049
200,000
 
American Tower Corp., 2.75%, due 01/15/27
195,315
52,000
 
American Tower Corp., 3.65%, due 03/15/27
51,382
9,000
 
American Tower Corp., 5.25%, due 07/15/28
9,230
138,000
 
Amgen, Inc., 5.15%, due 03/02/28
141,046
52,000
 
Amphenol Corp., 4.38%, due 06/12/28
52,370
50,000
 
Amrize Finance U.S. LLC, 4.70%, due 04/07/28 144A
50,468
79,000
 
Analog Devices, Inc., 4.25%, due 06/15/28
79,379
156See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
28,000
 
Aon North America, Inc., 5.13%, due 03/01/27
28,343
50,000
 
Arthur J Gallagher & Co., 4.60%, due 12/15/27
50,394
21,000
 
Arthur J Gallagher & Co., 4.85%, due 12/15/29
21,321
50,000
 
Aspen Insurance Holdings Ltd., 5.75%, due 07/01/30
50,850
120,000
 
Astrazeneca Finance LLC, 4.80%, due 02/26/27
121,369
38,000
 
AT&T, Inc., 1.70%, due 03/25/26
37,244
250,000
 
Atlas Warehouse Lending Co. LP, 6.05%, due 01/15/28 144A
253,215
100,000
 
Aviation Capital Group LLC, 4.75%, due 04/14/27 144A
100,140
54,000
 
Avnet, Inc., 6.25%, due 03/15/28
56,143
41,000
 
Avolon Holdings Funding Ltd., 2.13%, due 02/21/26 144A
40,249
38,000
 
Avolon Holdings Funding Ltd., 2.53%, due 11/18/27 144A
36,138
25,000
 
Baker Hughes Holdings LLC/Baker Hughes Co-Obligor, Inc., 2.06%, due 12/15/26
24,229
136,000
 
Baltimore Gas & Electric Co., 2.40%, due 08/15/26
133,387
13,000
 
Bank of America Corp., 1.20% (SOFR + 1.01%), due 10/24/26(b)
12,865
64,000
 
Bank of America Corp., 1.73% (SOFR + 0.96%), due 07/22/27(b)
62,220
11,000
 
Bank of America Corp., 2.09% (SOFR + 1.06%), due 06/14/29(b)
10,312
33,000
 
Bank of America Corp., 2.55% (SOFR + 1.05%), due 02/04/28(b)
32,083
18,000
 
Bank of America Corp., 3.19% (3 mo. USD Term SOFR + 1.44%), due 07/23/30(b)
17,137
51,000
 
Bank of America Corp., 3.42% (3 mo. USD Term SOFR + 1.30%), due 12/20/28(b)
49,862
32,000
 
Bank of America Corp., 3.71% (3 mo. USD Term SOFR + 1.77%), due 04/24/28(b)
31,631
7,000
 
Bank of America Corp., 4.38% (SOFR + 1.58%), due 04/27/28(b)
7,001
200,000
 
Bank of America Corp., 4.62% (SOFR + 1.11%), due 05/09/29(b)
201,296
150,000
 
Bank of America Corp., 4.98% (SOFR + 0.83%), due 01/24/29(b)
152,177
300,000
 
Bank of America Corp., 5.93% (SOFR + 1.34%), due 09/15/27(b)
305,307
250,000
 
Bank of New York Mellon, 4.73% (SOFR + 1.14%), due 04/20/29(b)
253,569
14,000
 
Bank of New York Mellon Corp., 4.41% (SOFR + 1.35%), due 07/24/26(b)
13,994
29,000
 
Bank of New York Mellon Corp., 4.44% (SOFR + 0.68%), due 06/09/28(b)
29,164
63,000
 
Bank of New York Mellon Corp., 4.95% (SOFR + 1.03%), due 04/26/27(b)
63,303
130,000
 
Bank of Nova Scotia, 4.40% (SOFR + 1.00%), due 09/08/28(b)
130,255
64,000
 
Becton Dickinson & Co., 4.69%, due 02/13/28
64,643
30,000
 
BHP Billiton Finance USA Ltd., 5.25%, due 09/08/26
30,356
145,000
 
BlackRock Funding, Inc., 4.60%, due 07/26/27
146,843
28,000
 
BMW U.S. Capital LLC, 1.25%, due 08/12/26 144A
27,080
200,000
 
BNP Paribas SA, 4.79% (SOFR + 1.45%), due 05/09/29(b) 144A
201,060
50,000
 
Boeing Co., 6.26%, due 05/01/27
51,461
200,000
 
Booz Allen Hamilton, Inc., 3.88%, due 09/01/28 144A
194,068
17,000
 
BorgWarner, Inc., 4.95%, due 08/15/29
17,256
150,000
 
Boston Properties LP, 2.75%, due 10/01/26
146,730
49,261
 
British Airways Pass-Through Trust, 3.35%, due 12/15/30 144A
47,161
32,000
 
Broadcom, Inc., 3.46%, due 09/15/26
31,710
111,000
 
Broadcom, Inc., 4.15%, due 02/15/28
110,698
78,000
 
Broadcom, Inc., 4.80%, due 04/15/28
79,146
150,000
 
Broadcom, Inc., 5.05%, due 07/12/29
153,660
150,000
 
Brooklyn Union Gas Co., 4.63%, due 08/05/27 144A
150,539
175,000
 
Brown & Brown, Inc., 4.70%, due 06/23/28
176,529
40,000
 
Bunge Ltd. Finance Corp., 1.63%, due 08/17/25
39,836
62,000
 
Cadence Design Systems, Inc., 4.20%, due 09/10/27
62,104
200,000
 
CaixaBank SA, 4.63% (SOFR + 1.14%), due 07/03/29(b)(c) 144A
200,542
13,000
 
Canadian Imperial Bank of Commerce, 4.86% (SOFR + 1.03%), due 03/30/29(b)
13,142
See accompanying Notes to the Schedule of Investments
157

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
180,000
 
Canadian Imperial Bank of Commerce, 5.00%, due 04/28/28
183,658
40,000
 
Canadian Natural Resources Ltd., 2.05%, due 07/15/25
39,954
40,000
 
Capital One Financial Corp., 1.88% (SOFR + 0.86%), due 11/02/27(b)
38,648
37,000
 
Capital One Financial Corp., 5.47% (SOFR + 2.08%), due 02/01/29(b)
37,896
35,000
 
Capital One Financial Corp., 5.70% (SOFR + 1.91%), due 02/01/30(b)
36,212
23,000
 
Capital Power U.S. Holdings, Inc., 5.26%, due 06/01/28 144A
23,316
12,000
 
Cardinal Health, Inc., 4.70%, due 11/15/26
12,067
10,000
 
Cardinal Health, Inc., 5.00%, due 11/15/29
10,197
41,000
 
Cardinal Health, Inc., 5.13%, due 02/15/29
42,058
15,000
 
Cargill, Inc., 3.63%, due 04/22/27 144A
14,887
38,000
 
Caterpillar Financial Services Corp., 4.40%, due 03/03/28
38,290
15,000
 
Caterpillar Financial Services Corp., 4.80%, due 01/08/30
15,369
100,000
 
CDW LLC/CDW Finance Corp., 5.10%, due 03/01/30
100,780
27,000
 
CenterPoint Energy Houston Electric LLC, 4.80%, due 03/15/30
27,492
23,000
 
Charles Schwab Corp., 5.88%, due 08/24/26
23,392
18,000
 
Chevron USA, Inc., 4.69%, due 04/15/30
18,365
27,000
 
Cigna Group, 5.00%, due 05/15/29
27,617
37,000
 
Cisco Systems, Inc., 4.55%, due 02/24/28
37,500
31,000
 
Cisco Systems, Inc., 4.75%, due 02/24/30
31,703
210,000
 
Citigroup, Inc., 3.52% (3 mo. USD Term SOFR + 1.41%), due 10/27/28(b)
205,687
150,000
 
Citigroup, Inc., 4.64% (SOFR + 1.14%), due 05/07/28(b)
150,418
40,000
 
Citigroup, Inc., 4.79% (SOFR + 0.87%), due 03/04/29(b)
40,292
15,000
 
CME Group, Inc., 4.40%, due 03/15/30
15,110
50,000
 
Coca-Cola Consolidated, Inc., 5.25%, due 06/01/29
51,545
31,000
 
Comcast Corp., 4.55%, due 01/15/29
31,351
15,000
 
Connecticut Light & Power Co., 4.65%, due 01/01/29
15,191
13,000
 
Consumers Energy Co., 4.50%, due 01/15/31
13,055
23,000
 
Consumers Energy Co., 4.90%, due 02/15/29
23,494
150,670
 
Consumers Securitization Funding LLC, 5.55%, due 03/01/28
151,784
42,000
 
Corebridge Financial, Inc., 3.65%, due 04/05/27
41,461
250,000
 
Credit Agricole SA, 5.23% (SOFR + 1.13%), due 01/09/29(b) 144A
254,161
40,000
 
Crown Castle, Inc., 5.60%, due 06/01/29
41,303
4,000
 
CSL Finance PLC, 3.85%, due 04/27/27 144A
3,973
175,000
 
CVS Health Corp., 1.30%, due 08/21/27
164,105
35,000
 
CVS Health Corp., 5.40%, due 06/01/29
36,029
100,000
 
Darden Restaurants, Inc., 4.35%, due 10/15/27
100,226
11,000
 
Dell International LLC/EMC Corp., 5.00%, due 04/01/30
11,180
50,000
 
Delta Air Lines, Inc./SkyMiles IP Ltd., 4.50%, due 10/20/25 144A
49,886
15,000
 
Diamondback Energy, Inc., 5.15%, due 01/30/30
15,347
44,000
 
Diamondback Energy, Inc., 5.20%, due 04/18/27
44,621
165,000
 
Dominion Energy, Inc., 4.60%, due 05/15/28
166,133
100,000
 
DTE Energy Co., 4.95%, due 07/01/27
101,197
18,000
 
DTE Energy Co., 5.10%, due 03/01/29
18,361
125,000
 
Duke Energy Corp., 2.65%, due 09/01/26
122,693
104,303
 
Duke Energy Florida Project Finance LLC, 2.54%, due 09/01/31
100,268
37,000
 
Eastman Chemical Co., 5.00%, due 08/01/29
37,535
179,000
 
Ecolab, Inc., 4.30%, due 06/15/28
180,295
91,000
 
Edison International, 5.45%, due 06/15/29
90,044
104,000
 
Element Fleet Management Corp., 5.64%, due 03/13/27 144A
105,657
158See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
135,000
 
Eli Lilly & Co., 4.55%, due 02/12/28
136,812
117,000
 
Enbridge, Inc., 4.60%, due 06/20/28
117,907
150,000
 
Energy Transfer LP, 5.55%, due 02/15/28
154,385
71,000
 
Enterprise Products Operating LLC, 4.30%, due 06/20/28
71,336
33,000
 
Equinix, Inc., 1.25%, due 07/15/25
32,958
20,000
 
ERAC USA Finance LLC, 5.00%, due 02/15/29 144A
20,481
100,000
 
Essential Utilities, Inc., 4.80%, due 08/15/27
101,089
190,000
 
Essex Portfolio LP, 3.63%, due 05/01/27
187,857
43,000
 
Eversource Energy, 2.90%, due 03/01/27
41,967
16,000
 
Exelon Corp., 5.15%, due 03/15/29
16,422
22,000
 
FedEx Corp., 3.25%, due 04/01/26
21,792
29,000
 
Fiserv, Inc., 5.15%, due 03/15/27
29,392
30,000
 
Fiserv, Inc., 5.45%, due 03/02/28
30,839
100,000
 
Flex Ltd., 6.00%, due 01/15/28
103,200
200,000
 
Ford Motor Credit Co. LLC, 3.38%, due 11/13/25
198,687
43,000
 
GATX Corp., 5.40%, due 03/15/27
43,611
100,000
 
GE HealthCare Technologies, Inc., 5.60%, due 11/15/25
100,218
32,000
 
General Motors Financial Co., Inc., 4.35%, due 01/17/27
31,870
21,000
 
General Motors Financial Co., Inc., 5.05%, due 04/04/28
21,164
28,000
 
General Motors Financial Co., Inc., 5.25%, due 03/01/26
28,054
19,000
 
General Motors Financial Co., Inc., 5.40%, due 04/06/26
19,090
10,000
 
General Motors Financial Co., Inc., 5.55%, due 07/15/29
10,219
19,000
 
Georgia Power Co., 5.00%, due 02/23/27
19,276
16,000
 
Gilead Sciences, Inc., 4.80%, due 11/15/29
16,337
13,000
 
GlaxoSmithKline Capital, Inc., 4.50%, due 04/15/30
13,107
3,000
 
Goldman Sachs Bank USA, 5.41% (SOFR + 0.75%), due 05/21/27(b)
3,025
79,000
 
Goldman Sachs Group, Inc., 1.43% (SOFR + 0.80%), due 03/09/27(b)
77,305
218,000
 
Goldman Sachs Group, Inc., 2.64% (SOFR + 1.11%), due 02/24/28(b)
211,793
17,000
 
Goldman Sachs Group, Inc., 5.05% (SOFR + 1.21%), due 07/23/30(b)
17,286
250,000
 
Goldman Sachs Group, Inc., 5.80% (SOFR + 1.08%), due 08/10/26(b)
250,354
25,000
 
Goldman Sachs Group, Inc., 6.48% (SOFR + 1.77%), due 10/24/29(b)
26,523
17,000
 
Hanover Insurance Group, Inc., 4.50%, due 04/15/26
16,955
120,000
 
HCA, Inc., 5.00%, due 03/01/28
121,818
34,000
 
HCA, Inc., 5.88%, due 02/01/29
35,294
116,000
 
HEICO Corp., 5.25%, due 08/01/28
119,047
18,000
 
Hershey Co., 4.75%, due 02/24/30
18,366
83,000
 
Hewlett Packard Enterprise Co., 4.55%, due 10/15/29
82,604
17,000
 
Home Depot, Inc., 4.88%, due 06/25/27
17,277
35,000
 
Honda Motor Co. Ltd., 2.53%, due 03/10/27
33,971
28,000
 
Honda Motor Co. Ltd., 4.44%, due 07/08/28(c)
28,039
30,000
 
Humana, Inc., 5.75%, due 03/01/28
30,972
66,000
 
Hyatt Hotels Corp., 5.05%, due 03/30/28
66,734
100,000
 
Hyundai Capital America, 4.88%, due 11/01/27 144A
100,482
12,000
 
Hyundai Capital America, 5.95%, due 09/21/26 144A
12,191
50,000
 
IDEX Corp., 4.95%, due 09/01/29
50,837
100,000
 
Infor LLC, 1.75%, due 07/15/25 144A
99,863
33,000
 
Ingersoll Rand, Inc., 5.20%, due 06/15/27
33,558
21,000
 
JB Hunt Transport Services, Inc., 4.90%, due 03/15/30
21,320
See accompanying Notes to the Schedule of Investments
159

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
35,000
 
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL, 5.13%, due
02/01/28
35,795
66,000
 
John Deere Capital Corp., 4.25%, due 06/05/28
66,405
24,000
 
Johnson & Johnson, 4.55%, due 03/01/28
24,412
234,000
 
JPMorgan Chase & Co., 1.47% (SOFR + 0.77%), due 09/22/27(b)
225,815
38,000
 
JPMorgan Chase & Co., 1.58% (SOFR + 0.89%), due 04/22/27(b)
37,126
43,000
 
JPMorgan Chase & Co., 2.07% (SOFR + 1.02%), due 06/01/29(b)
40,339
30,000
 
JPMorgan Chase & Co., 2.95% (SOFR + 1.17%), due 02/24/28(b)
29,324
60,000
 
JPMorgan Chase & Co., 3.51% (3 mo. USD Term SOFR + 1.21%), due 01/23/29(b)
58,781
100,000
 
JPMorgan Chase & Co., 4.32% (SOFR + 1.56%), due 04/26/28(b)
99,943
59,000
 
JPMorgan Chase & Co., 4.51% (SOFR + 0.86%), due 10/22/28(b)
59,188
100,000
 
JPMorgan Chase & Co., 4.92% (SOFR + 0.80%), due 01/24/29(b)
101,367
150,000
 
JPMorgan Chase & Co., 4.98% (SOFR + 0.93%), due 07/22/28(b)
151,955
37,000
 
JPMorgan Chase & Co., 5.01% (SOFR + 1.31%), due 01/23/30(b)
37,690
30,000
 
JPMorgan Chase & Co., 5.04% (SOFR + 1.19%), due 01/23/28(b)
30,294
40,000
 
JPMorgan Chase & Co., 5.57% (SOFR + 0.93%), due 04/22/28(b)
40,837
16,000
 
JPMorgan Chase & Co., 5.58% (SOFR + 1.16%), due 04/22/30(b)
16,617
266,000
 
JPMorgan Chase & Co., 6.07% (SOFR + 1.33%), due 10/22/27(b)
271,852
100,000
 
Keurig Dr. Pepper, Inc., 4.35%, due 05/15/28
100,191
49,000
 
Kinder Morgan, Inc., 1.75%, due 11/15/26
47,342
100,000
 
Kite Realty Group Trust, 4.75%, due 09/15/30
99,877
50,000
 
Kyndryl Holdings, Inc., 2.05%, due 10/15/26
48,469
27,000
 
L3Harris Technologies, Inc., 4.40%, due 06/15/28
27,077
10,000
 
Laboratory Corp. of America Holdings, 4.35%, due 04/01/30
9,936
50,000
 
Las Vegas Sands Corp., 5.90%, due 06/01/27
51,109
100,000
 
Lennox International, Inc., 5.50%, due 09/15/28
103,155
14,000
 
Liberty Utilities Co., 5.58%, due 01/31/29 144A
14,409
200,000
 
Lloyds Banking Group PLC, 5.46% (1 yr. CMT + 1.38%), due 01/05/28(b)
202,764
200,000
 
Lloyds Banking Group PLC, 5.99% (1 yr. CMT + 1.48%), due 08/07/27(b)
203,074
67,000
 
Lowe's Cos., Inc., 3.35%, due 04/01/27
66,031
100,000
 
LPL Holdings, Inc., 4.90%, due 04/03/28
100,780
100,000
 
LPL Holdings, Inc., 5.70%, due 05/20/27
101,932
50,000
 
Marriott International, Inc., 5.55%, due 10/15/28
51,886
197,000
 
Mars, Inc., 4.60%, due 03/01/28 144A
198,642
11,000
 
Mars, Inc., 4.80%, due 03/01/30 144A
11,149
25,000
 
Meta Platforms, Inc., 4.30%, due 08/15/29
25,233
150,000
 
Microchip Technology, Inc., 4.90%, due 03/15/28
151,683
100,000
 
Molex Electronic Technologies LLC, 4.75%, due 04/30/28 144A
100,646
12,000
 
Morgan Stanley, 0.99% (SOFR + 0.72%), due 12/10/26(b)
11,810
259,000
 
Morgan Stanley, 1.51% (SOFR + 0.86%), due 07/20/27(b)
251,300
48,000
 
Morgan Stanley, 1.59% (SOFR + 0.88%), due 05/04/27(b)
46,848
26,000
 
Morgan Stanley, 2.48% (SOFR + 1.00%), due 01/21/28(b)
25,245
18,000
 
Morgan Stanley, 3.13%, due 07/27/26
17,780
100,000
 
Morgan Stanley, 4.68% (SOFR + 1.67%), due 07/17/26(b)
99,985
17,000
 
Morgan Stanley, 4.99% (SOFR + 1.38%), due 04/12/29(b)
17,250
20,000
 
Morgan Stanley, 5.04% (SOFR + 1.22%), due 07/19/30(b)
20,344
20,000
 
Morgan Stanley, 5.16% (SOFR + 1.59%), due 04/20/29(b)
20,396
18,000
 
Morgan Stanley, 5.19% (SOFR + 1.51%), due 04/17/31(b)
18,457
27,000
 
Morgan Stanley, 5.23% (SOFR + 1.11%), due 01/15/31(b)
27,647
160See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
200,000
 
Morgan Stanley, 5.66% (SOFR + 1.26%), due 04/18/30(b)
207,781
7,000
 
Morgan Stanley, 5.66% (SOFR + 1.76%), due 04/17/36(b)
7,256
250,000
 
Morgan Stanley Bank NA, 5.02% (SOFR + 0.91%), due 01/12/29(b)
253,942
34,000
 
National Rural Utilities Cooperative Finance Corp., 4.12%, due 09/16/27
33,982
13,000
 
National Rural Utilities Cooperative Finance Corp., 5.15%, due 06/15/29
13,387
10,000
 
National Rural Utilities Cooperative Finance Corp., 5.60%, due 11/13/26
10,174
21,000
 
NextEra Energy Capital Holdings, Inc., 1.88%, due 01/15/27
20,259
22,000
 
NextEra Energy Capital Holdings, Inc., 1.90%, due 06/15/28
20,564
47,000
 
NextEra Energy Capital Holdings, Inc., 4.63%, due 07/15/27
47,313
12,000
 
NextEra Energy Capital Holdings, Inc., 4.90%, due 02/28/28
12,167
37,000
 
NextEra Energy Capital Holdings, Inc., 5.05%, due 03/15/30
37,877
21,000
 
NiSource, Inc., 0.95%, due 08/15/25
20,904
150,000
 
NiSource, Inc., 5.20%, due 07/01/29
154,056
125,000
 
Nordson Corp., 4.50%, due 12/15/29
125,132
8,000
 
Northrop Grumman Corp., 4.65%, due 07/15/30
8,073
15,000
 
Novartis Capital Corp., 3.80%, due 09/18/29
14,876
28,000
 
Nucor Corp., 4.65%, due 06/01/30
28,232
71,000
 
Nutrien Ltd., 5.20%, due 06/21/27
72,121
150,000
 
OGE Energy Corp., 5.45%, due 05/15/29
155,457
36,000
 
ONE Gas, Inc., 5.10%, due 04/01/29
36,889
33,000
 
Oracle Corp., 1.65%, due 03/25/26
32,330
32,000
 
Oracle Corp., 2.65%, due 07/15/26
31,431
14,000
 
Oracle Corp., 4.80%, due 08/03/28
14,234
21,000
 
Ovintiv, Inc., 5.38%, due 01/01/26
21,020
26,000
 
PACCAR Financial Corp., 4.00%, due 09/26/29
25,875
150,000
 
Penske Truck Leasing Co. LP/PTL Finance Corp., 4.40%, due 07/01/27 144A
149,830
29,000
 
Penske Truck Leasing Co. LP/PTL Finance Corp., 5.35%, due 03/30/29 144A
29,751
30,000
 
Penske Truck Leasing Co. LP/PTL Finance Corp., 6.05%, due 08/01/28 144A
31,265
135,000
 
Pepsico Singapore Financing I Pte. Ltd., 4.94% (SOFR + 0.56%), due 02/16/27(b)
135,334
125,000
 
Petroleos Mexicanos, 6.50%, due 03/13/27
124,210
200,000
 
Pfizer Investment Enterprises Pte. Ltd., 4.45%, due 05/19/26
200,260
28,000
 
Philip Morris International, Inc., 4.13%, due 04/28/28
27,951
29,000
 
Philip Morris International, Inc., 4.88%, due 02/13/29
29,521
75,000
 
Pinnacle West Capital Corp., 4.90%, due 05/15/28
76,072
11,000
 
Pinnacle West Capital Corp., 5.15%, due 05/15/30
11,265
33,000
 
Pioneer Natural Resources Co., 1.13%, due 01/15/26
32,431
100,000
 
PNC Financial Services Group, Inc., 5.30% (SOFR + 1.34%), due 01/21/28(b)
101,537
180,000
 
PNC Financial Services Group, Inc., 6.62% (SOFR + 1.73%), due 10/20/27(b)
185,091
221,000
 
Private Export Funding Corp., 4.50%, due 02/07/27 144A
222,344
16,000
 
Prologis LP, 4.88%, due 06/15/28
16,329
235,000
 
Prudential Insurance Co. of America, 8.30%, due 07/01/25 144A
235,000
10,000
 
Public Service Enterprise Group, Inc., 0.80%, due 08/15/25
9,951
66,000
 
Public Service Enterprise Group, Inc., 5.85%, due 11/15/27
68,333
100,000
 
Public Service Enterprise Group, Inc., 5.88%, due 10/15/28
104,704
48,000
 
Quest Diagnostics, Inc., 4.60%, due 12/15/27
48,449
150,000
 
Regal Rexnord Corp., 6.05%, due 02/15/26
150,889
17,000
 
RELX Capital, Inc., 4.75%, due 03/27/30
17,231
66,000
 
Rio Tinto Finance USA PLC, 4.50%, due 03/14/28
66,537
36,000
 
Rogers Communications, Inc., 5.00%, due 02/15/29
36,518
See accompanying Notes to the Schedule of Investments
161

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
69,000
 
Royal Bank of Canada, 4.52% (SOFR + 0.81%), due 10/18/28(b)
69,305
34,000
 
Royal Bank of Canada, 4.72% (SOFR + 0.81%), due 03/27/28(b)
34,219
35,000
 
Royal Bank of Canada, 4.95%, due 02/01/29(d)
35,814
100,000
 
Royal Bank of Canada, 4.97% (SOFR + 0.83%), due 01/24/29(b)
101,476
37,000
 
Royal Bank of Canada, 4.97% (SOFR + 1.10%), due 08/02/30(b)
37,526
30,000
 
RTX Corp., 3.50%, due 03/15/27
29,652
11,000
 
Ryder System, Inc., 4.95%, due 09/01/29
11,199
49,000
 
Ryder System, Inc., 5.25%, due 06/01/28
50,296
26,000
 
S&P Global, Inc., 2.70%, due 03/01/29
24,650
7,000
 
Sempra, 5.40%, due 08/01/26
7,070
60,000
 
Smith & Nephew PLC, 5.15%, due 03/20/27
60,741
60,000
 
Solventum Corp., 5.45%, due 02/25/27
61,004
85,000
 
Southern California Edison Co., 3.65%, due 03/01/28
82,669
250,000
 
Southern California Gas Co., 2.95%, due 04/15/27
245,020
29,000
 
Southern Co., 5.50%, due 03/15/29
30,201
200,000
 
Spectra Energy Partners LP, 3.38%, due 10/15/26
197,262
69,000
 
Sprint Capital Corp., 6.88%, due 11/15/28
74,091
115,500
 
Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC,
5.15%, due 09/20/29 144A
116,334
27,000
 
Stanley Black & Decker, Inc., 6.00%, due 03/06/28
28,120
50,000
 
Starbucks Corp., 4.50%, due 05/15/28
50,261
31,000
 
State Street Corp., 3.03% (SOFR + 1.49%), due 11/01/34(b)
28,648
42,000
 
State Street Corp., 4.53% (SOFR + 1.02%), due 02/20/29(b)
42,350
32,000
 
State Street Corp., 4.54%, due 02/28/28
32,369
33,000
 
Stryker Corp., 3.65%, due 03/07/28
32,581
58,000
 
Stryker Corp., 4.70%, due 02/10/28
58,801
27,000
 
Synopsys, Inc., 4.65%, due 04/01/28
27,280
100,000
 
Targa Resources Corp., 6.15%, due 03/01/29
105,196
39,000
 
T-Mobile USA, Inc., 2.05%, due 02/15/28
36,870
9,000
 
T-Mobile USA, Inc., 3.38%, due 04/15/29
8,666
16,000
 
T-Mobile USA, Inc., 4.95%, due 03/15/28
16,274
49,000
 
Toll Brothers Finance Corp., 4.35%, due 02/15/28
48,758
48,000
 
Toronto-Dominion Bank, 4.98%, due 04/05/27
48,613
34,000
 
Toronto-Dominion Bank, 5.53%, due 07/17/26
34,427
205,000
 
Toyota Motor Credit Corp., 4.35%, due 10/08/27
205,914
25,000
 
Toyota Motor Credit Corp., 5.00%, due 03/19/27
25,379
30,000
 
Toyota Motor Credit Corp., 5.40%, due 11/20/26
30,492
18,000
 
Truist Financial Corp., 1.27% (SOFR + 0.61%), due 03/02/27(b)
17,601
46,000
 
Truist Financial Corp., 1.89% (SOFR + 0.86%), due 06/07/29(b)
42,814
17,000
 
Truist Financial Corp., 4.26% (SOFR + 1.46%), due 07/28/26(b)
16,993
37,000
 
Truist Financial Corp., 5.44% (SOFR + 1.62%), due 01/24/30(b)
38,117
35,000
 
Truist Financial Corp., 7.16% (SOFR + 2.45%), due 10/30/29(b)
37,866
220,000
 
U.S. Bancorp, 2.22% (SOFR + 0.73%), due 01/27/28(b)
212,679
13,000
 
U.S. Bancorp, 5.05% (SOFR + 1.06%), due 02/12/31(b)
13,238
15,000
 
Uber Technologies, Inc., 4.30%, due 01/15/30
14,944
245,000
 
UBS Group AG, 4.70% (1 yr. CMT + 2.05%), due 08/05/27(b) 144A
245,537
90,638
 
United Airlines Pass-Through Trust, 3.10%, due 01/07/30
86,727
136,591
 
United Airlines Pass-Through Trust, 4.00%, due 10/11/27
135,445
3,180
 
United Airlines Pass-Through Trust, 5.88%, due 04/15/29
3,248
162See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Corporate Debt — continued
53,000
 
UnitedHealth Group, Inc., 2.95%, due 10/15/27
51,575
14,000
 
UnitedHealth Group, Inc., 4.80%, due 01/15/30
14,220
150,000
 
USAA Capital Corp., 4.38%, due 06/01/28 144A
151,056
100,000
 
Ventas Realty LP, 3.85%, due 04/01/27
99,083
50,000
 
Venture Global Calcasieu Pass LLC, 3.88%, due 08/15/29 144A
47,175
182,000
 
Veralto Corp., 5.50%, due 09/18/26
184,217
100,000
 
VICI Properties LP, 4.75%, due 02/15/28
100,590
50,000
 
VICI Properties LP, 4.75%, due 04/01/28
50,421
100,000
 
Vistra Operations Co. LLC, 5.05%, due 12/30/26 144A
100,551
28,000
 
VMware LLC, 1.40%, due 08/15/26
27,088
70,000
 
VMware LLC, 3.90%, due 08/21/27
69,412
11,000
 
Walmart, Inc., 4.35%, due 04/28/30
11,129
9,000
 
Warnermedia Holdings, Inc., 3.76%, due 03/15/27
8,399
48,000
 
Waste Management, Inc., 4.95%, due 07/03/27
48,836
21,000
 
WEC Energy Group, Inc., 2.20%, due 12/15/28
19,539
14,000
 
WEC Energy Group, Inc., 4.75%, due 01/09/26
14,005
105,000
 
WEC Energy Group, Inc., 5.60%, due 09/12/26
106,412
25,000
 
Wells Fargo & Co., 2.88% (3 mo. USD Term SOFR + 1.43%), due 10/30/30(b)
23,364
225,000
 
Wells Fargo & Co., 3.53% (SOFR + 1.51%), due 03/24/28(b)
221,908
30,000
 
Wells Fargo & Co., 3.58% (3 mo. USD Term SOFR + 1.57%), due 05/22/28(b)
29,550
150,000
 
Wells Fargo & Co., 4.97% (SOFR + 1.37%), due 04/23/29(b)
152,119
53,000
 
Wells Fargo & Co., 5.57% (SOFR + 1.74%), due 07/25/29(b)
54,733
15,000
 
Workday, Inc., 3.50%, due 04/01/27
14,813
70,000
 
Xcel Energy, Inc., 4.75%, due 03/21/28
70,700
125,000
 
XPLR Infrastructure Operating Partners LP, 7.25%, due 01/15/29(d) 144A
128,224
52,000
 
Zimmer Biomet Holdings, Inc., 4.70%, due 02/19/27
52,303
21,000
 
Zoetis, Inc., 5.40%, due 11/14/25
21,046
 
 
24,266,167
 
Mortgage Backed Securities - Private Issuers — 5.7%
100,000
 
Angel Oak Mortgage Trust, Series 2025-7, Class A1, 5.51%, due 06/25/70(e) 144A
100,655
100,000
 
BMP Trust, Series 2024-MF23, Class A, 5.68% (1 mo. USD Term SOFR + 1.37%), due
06/15/41(b) 144A
100,245
146,061
 
BRAVO Residential Funding Trust, Series 2025-NQM5, Class A1, 5.50%, due
02/25/65(f) 144A
146,606
171,460
 
BX Commercial Mortgage Trust, Series 2021-ACNT, Class A, 5.28% (1 mo. USD Term
SOFR + 0.96%), due 11/15/38(b) 144A
171,462
59,498
 
BX Commercial Mortgage Trust, Series 2021-XL2, Class A, 5.12% (1 mo. USD Term
SOFR + 0.80%), due 10/15/38(b) 144A
59,507
167,856
 
BX Commercial Mortgage Trust, Series 2024-AIR2, Class A, 5.80% (1 mo. USD Term
SOFR + 1.49%), due 10/15/41(b) 144A
168,404
97,072
 
BX Commercial Mortgage Trust, Series 2024-AIRC, Class A, 6.00% (1 mo. USD Term
SOFR + 1.69%), due 08/15/39(b) 144A
97,579
76,042
 
BX Commercial Mortgage Trust, Series 2024-MDHS, Class A, 5.95% (1 mo. USD Term
SOFR + 1.64%), due 05/15/41(b) 144A
76,243
169,066
 
BX Trust, Series 2021-RISE, Class A, 5.17% (1 mo. USD Term SOFR + 0.86%), due
11/15/36(b) 144A
169,012
200,000
 
BX Trust, Series 2022-LBA6, Class A, 5.31% (1 mo. USD Term SOFR + 1.00%), due
01/15/39(b) 144A
199,997
200,000
 
BX Trust, Series 2022-VAMF, Class A, 5.16% (1 mo. USD Term SOFR + 0.85%), due
01/15/39(b) 144A
199,942
See accompanying Notes to the Schedule of Investments
163

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - Private Issuers — continued
92,027
 
BX Trust, Series 2024-FNX, Class A, 5.75% (1 mo. USD Term SOFR + 1.44%), due
11/15/41(b) 144A
92,241
86,538
 
BX Trust, Series 2024-PALM, Class A, 5.85% (1 mo. USD Term SOFR + 1.54%), due
06/15/37(b) 144A
86,657
100,000
 
BX Trust, Series 2025-DIME, Class A, 5.46% (1 mo. USD Term SOFR + 1.15%), due
02/15/35(b) 144A
99,789
173,189
 
JP Morgan Chase Commercial Mortgage Securities Trust, Series 2021-MHC, Class A,
5.48% (1 mo. USD Term SOFR + 1.16%), due 04/15/38(b) 144A
173,275
49,139
 
JP Morgan Mortgage Trust, Series 2025-NQM2, Class A1, 5.57%, due 09/25/65(e) 144A
49,353
13,844
 
JPMBB Commercial Mortgage Securities Trust, Series 2014-C25, Class A5, 3.67%, due
11/15/47
13,562
100,000
 
JW Trust, Series 2024-BERY, Class A, 5.90% (1 mo. USD Term SOFR + 1.59%), due
11/15/39(b) 144A
100,216
198,344
 
KIND Trust, Series 2021-KIND, Class A, 5.38% (1 mo. USD Term SOFR + 1.06%),
due 08/15/38(b) 144A
196,223
101,475
 
MHP Trust, Series 2022-MHIL, Class A, 5.13% (1 mo. USD Term SOFR + 0.81%), due
01/15/39(b) 144A
101,445
99,417
 
OBX Trust, Series 2025-NQM10, Class A1, 5.45%, due 05/25/65(f) 144A
99,931
100,000
 
ORL Trust, Series 2024-GLKS, Class A, 5.80% (1 mo. USD Term SOFR + 1.49%), due
12/15/39(b) 144A
100,118
200,000
 
SMRT Commercial Mortgage Trust, Series 2022-MINI, Class A, 5.31% (1 mo. USD
Term SOFR + 1.00%), due 01/15/39(b) 144A
199,342
125,000
 
SWCH Commercial Mortgage Trust, Series 2025-DATA, Class A, 5.75% (1 mo. USD
Term SOFR + 1.44%), due 02/15/42(b) 144A
124,282
88,366
 
THPT Mortgage Trust, Series 2023-THL, Class A, 7.23%, due 12/10/34(e) 144A
89,939
153,809
 
TTAN, Series 2021-MHC, Class A, 5.28% (1 mo. USD Term SOFR + 0.96%), due
03/15/38(b) 144A
153,925
100,000
 
Wells Fargo Commercial Mortgage Trust, Series 2025-VTT, Class A, 5.27%, due
03/15/38(e) 144A
100,469
 
 
3,270,419
 
Mortgage Backed Securities - U.S. Government Agency Obligations — 10.3%
296,003
 
Federal Home Loan Mortgage Corp., Pool # G18575, 3.00%, due 11/01/30
289,386
95,312
 
Federal Home Loan Mortgage Corp., Pool # RC2071, 2.00%, due 06/01/36
88,033
99,814
 
Federal Home Loan Mortgage Corp., Pool # SB0935, 3.00%, due 07/01/33
97,119
100,000
 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates,
Series KIR1, Class A2, 2.85%, due 03/25/26
98,645
233,945
 
Federal Home Loan Mortgage Corp. REMICS, Series 5502, Class FH, 5.71%, (SOFR
30-day average + 1.40%), due 02/25/55(b)
235,043
330,721
 
Federal Home Loan Mortgage Corp. REMICS, Series 5410, Class DF, 5.76%, (SOFR
30-day average + 1.45%), due 05/25/54(b)
332,105
450,026
 
Federal Home Loan Mortgage Corp. REMICS, Series 5486, Class FA, 5.76%, (SOFR
30-day average + 1.45%), due 12/25/54(b)
452,957
67,903
 
Federal National Mortgage Association, Pool # AL8943, 2.75%, due 10/01/25(e)
67,596
128,047
 
Federal National Mortgage Association, Pool # AM9939, 2.85%, due 11/01/25
127,090
189,616
 
Federal National Mortgage Association, Pool # AN0293, 2.81%, due 11/01/25
188,119
128,781
 
Federal National Mortgage Association, Pool # AN0558, 2.94%, due 01/01/26
127,500
93,187
 
Federal National Mortgage Association, Pool # AN3359, 2.65%, due 12/01/26
91,030
113,011
 
Federal National Mortgage Association, Pool # AN4048, 3.01%, due 12/01/26
111,007
142,217
 
Federal National Mortgage Association, Pool # AN5377, 3.02%, due 05/01/27
139,551
192,776
 
Federal National Mortgage Association, Pool # AN7475, 3.06%, due 11/01/27
188,431
75,000
 
Federal National Mortgage Association, Pool # BL0240, 3.54%, due 11/01/25
74,564
164See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
Mortgage Backed Securities - U.S. Government Agency Obligations — continued
190,208
 
Federal National Mortgage Association, Pool # BL0677, 3.50%, due 11/01/25
189,062
170,000
 
Federal National Mortgage Association, Pool # BL1942, 3.15%, due 03/01/26
168,232
165,000
 
Federal National Mortgage Association, Pool # BL2331, 2.91%, due 04/01/26
162,700
275,000
 
Federal National Mortgage Association, Pool # BL6406, 1.63%, due 05/01/27
262,970
320,353
 
Federal National Mortgage Association, Pool # BM3919, 3.00%, due 02/01/33
311,647
85,970
 
Federal National Mortgage Association, Pool # BM7189, 3.05%, due 10/01/25(e)
85,689
230,000
 
Federal National Mortgage Association, Pool # BS3066, 1.39%, due 11/01/28
210,764
100,000
 
Federal National Mortgage Association, Pool # BS5008, 2.22%, due 03/01/27
96,896
119,276
 
Federal National Mortgage Association, Pool # MA3097, 3.50%, due 08/01/27
118,262
169,766
 
Federal National Mortgage Association, Pool # MA4053, 2.50%, due 06/01/35
158,979
267,158
 
Federal National Mortgage Association REMICS, Series 2006-83, Class FG, 4.92%,
(SOFR 30-day average + 0.61%), due 09/25/36(b)
265,483
311,602
 
Federal National Mortgage Association REMICS, Series 2024-103, Class FH, 5.56%,
(SOFR 30-day average + 1.25%), due 01/25/55(b)
311,303
252,374
 
Federal National Mortgage Association REMICS, Series 2024-15, Class FD, 5.66%,
(SOFR 30-day average + 1.35%), due 04/25/54(b)
253,049
141,436
 
Federal National Mortgage Association-ACES, Series 2016-M6, Class A2, 2.49%, due
05/25/26
138,987
144,569
 
Federal National Mortgage Association-ACES, Series 2017-M1, Class A2, 2.50%, due
10/25/26(e)
141,109
166,552
 
Government National Mortgage Association REMICS, Series 2020-H13, Class FC,
4.90%, (1 mo. USD Term SOFR + 0.56%), due 07/20/70(b)
164,475
165,711
 
Government National Mortgage Association REMICS, Series 2016-H16, Class FE,
6.30%, (1 yr. USD Term SOFR + 1.10%), due 06/20/66(b)
167,214
 
 
5,914,997
 
U.S. Government and Agency Obligations — 11.5%
89,400
 
U.S. Treasury Notes, 3.75%, due 06/30/27
89,459
425,000
 
U.S. Treasury Notes, 3.88%, due 11/30/27
426,693
1,528,400
 
U.S. Treasury Notes, 3.88%, due 06/15/28
1,536,579
18,000
 
U.S. Treasury Notes, 3.88%, due 06/30/30
18,070
300,000
 
U.S. Treasury Notes, 4.00%, due 02/28/30
302,988
2,350,000
 
U.S. Treasury Notes, 4.00%, due 03/31/30
2,372,399
85,500
 
U.S. Treasury Notes, 4.00%, due 06/30/32
85,574
647,000
 
U.S. Treasury Notes, 4.13%, due 06/15/26
647,856
400,000
 
U.S. Treasury Notes, 4.13%, due 03/31/29
405,500
750,000
 
U.S. Treasury Notes, 4.38%, due 11/30/28
765,791
 
 
6,650,909
 
TOTAL DEBT OBLIGATIONS (COST $54,348,367)
54,949,001
See accompanying Notes to the Schedule of Investments
165

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
(showing percentage of net assets)
June 30, 2025 (Unaudited)
Par Value(a)
 
Description
Value ($)
 
SHORT-TERM INVESTMENT — 0.5%
 
Mutual Fund - Securities Lending Collateral — 0.5%
276,500
 
State Street Navigator Securities Lending Government Money Market Portfolio,
4.35%(g)(h)
276,500
 
TOTAL SHORT-TERM INVESTMENT (COST $276,500)
276,500
 
TOTAL INVESTMENTS95.7%
(Cost $54,624,867)
55,225,501
 
Other Assets and Liabilities (net) — 4.3%
2,488,879
 
NET ASSETS — 100.0%
$57,714,380
 
Notes to Schedule of Investments:
(a)
Unless otherwise indicated, all par values are denominated in United States dollars ($).
(b)
Variable or floating rate note. Rate shown is as of June 30, 2025.
(c)
When-issued security.
(d)
All or a portion of this security is out on loan.
(e)
Variable or floating rate security, which interest rate adjusts periodically based on changes in current
interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as
of period end.
(f)
Step coupon security that pays an initial coupon rate for the first period and then a lower/higher
coupon rate for the following periods. Rate shown is current coupon rate.
(g)
The rate disclosed is the 7-day net yield as of June 30, 2025.
(h)
Represents an investment of securities lending cash collateral.
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 buyers.
The total market value of the securities at period end is $14,898,515 which represents 25.8% of net
assets.
Futures Contracts
Number of
Contracts
Description
Expiration Date
Notional
Value
Market Value/
Unrealized
Appreciation
(Depreciation)
Buys
 
 
42
U.S. Treasury Note 2-Year
Sep 2025
$8,736,984
$26,020
Sales
 
 
1
U.S. Long Bond
Sep 2025
$115,469
$(4,149
)
15
U.S. Treasury Note 5-Year
Sep 2025
1,635,000
(18,076
)
2
U.S. Ultra 10-Year
Sep 2025
228,531
(5,066
)
 
 
$(27,291
)
Currency Abbreviations
USD
U.S. Dollar
166See accompanying Notes to the Schedule of Investments

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Abbreviations
ACES
Alternative Credit Enhancement Securities
CLO
Collateralized Loan Obligation
CMT
Constant Maturity Treasury Index
SOFR
Secured Overnight Financing Rate
See accompanying Notes to the Schedule of Investments
167

Mercer Short Duration Fixed Income Fund
Schedule of Investments (Continued)
June 30, 2025 (Unaudited)
Asset Class Summary (Unaudited)
% of Net Assets
Corporate Debt
42.0
Asset Backed Securities
23.3
U.S. Government and Agency Obligations
11.5
Mortgage Backed Securities - U.S. Government Agency Obligations
10.3
Mortgage Backed Securities - Private Issuers
5.7
Bank Loans
2.4
Futures Contracts
0.0*
Short-Term Investment
0.5
Other Assets and Liabilities (net)
4.3
 
100.0%
*
Amount rounds to zero.
168See accompanying Notes to the Schedule of Investments

Mercer Funds
Notes to Financial Statements
June 30, 2025 (Unaudited)
1.
Organization
Mercer Funds (the “Trust”) consists of the following six series: Mercer US Small/Mid Cap Equity Fund (“Small/Mid Cap”), Mercer Emerging Markets Equity Fund (“Emerging Markets”), Mercer Non-US Core Equity Fund (“Non-US Core Equity”), Mercer Core Fixed Income Fund (“Core Fixed”), Mercer Opportunistic Fixed Income Fund (“Opportunistic Fixed”) and Mercer Short Duration Fixed Income Fund (“Short Duration Fixed”) (each a “Fund,” and collectively referred to as the “Funds”). The Trust is a Delaware statutory trust established on March 11, 2005. The Trust is registered as an investment company under the Investment Company Act of 1940, as amended (the “1940 Act”). Mercer Investments LLC, a Delaware limited liability company (the “Adviser”), serves as the investment adviser to the Funds. The Adviser manages each Fund using a “manager of managers” approach by selecting one or more sub-advisers (each a “Sub-adviser,” and collectively referred to as the “Sub-advisers”) to manage each Fund's assets. The Funds are open-end investment companies and accordingly follow the open-end investment company accounting and reporting guidance of the Financial Accounting Standards Board (FASB) Accounting Standard Codification Topic 946: Financial Services — Investment Companies.
Under the 1940 Act, each Fund is classified as diversified.
Investment Objectives:
The investment objective for Small/Mid Cap is to provide long-term total return, comprised primarily of capital appreciation. The investment objective for Core Fixed Fund and Short Duration Fixed is to provide total return, consisting of both current income and capital appreciation. The investment objective for the remaining Funds, Non-US Core Equity, Opportunistic Fixed and Emerging Markets is to provide long-term total return, which includes capital appreciation and income.
Each Fund has registered and is authorized to offer interests in four classes of shares: Adviser Class, Class I, Class Y-2 and Class Y-3. The principal difference among the classes of shares is the level of shareholder service, marketing and administrative fees borne by the classes. As of June 30, 2025, Class Y-3 shares were outstanding in each of the Funds and Class I shares were outstanding in each of the Funds except Short Duration Fixed.
(a) Security Valuation
Each Fund’s investments are valued as of the close of regular trading on the New York Stock Exchange (“NYSE”) on each day when the NYSE is open. Portfolio securities and exchange-traded funds listed on an exchange normally are valued at the last sale or official closing price on the day on which the securities are valued. In cases where securities are traded on more than one exchange, the securities are generally valued on the exchange considered by the Adviser or the applicable Sub-adviser as the primary market for such securities.
The Funds may invest in securities that are traded in foreign markets. Foreign securities will be converted into U.S. dollar equivalents based on the exchange rate in effect at a uniform time on each business day. Events occurring after the close of trading on foreign exchanges may result in adjustments to the valuation of foreign securities to more accurately reflect their fair value as of the close of regular trading on the NYSE. When valuing foreign equity securities that meet certain criteria that the Adviser, which has been designated as the Funds' Valuation Designee under Rule 2a-5 of the 1940 Act by the Board of Trustees of the Trust (the “Board”), has approved the use of a fair value service that values such securities to reflect market trading that occurs after the close of the applicable foreign markets of comparable securities or other instruments that have a strong correlation to the fair-valued securities. Investments in open-end investment companies are valued at their net asset value (“NAV”) per share.
169

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
Fixed income securities are valued using at a mean price upon market close by an independent pricing service. The Fund may value short-term investments that will mature within sixty (60) days or less by using pricing service quotations or at amortized cost, provided that such amortized cost approximates market value.
It should be recognized that judgment often plays a greater role in valuing thinly traded securities, as well as bonds and other securities with few dealer quotations, than is the case with respect to securities for which a broader range of dealer quotations and last-sale information is available. Each such determination is based on consideration of relevant factors, and judgment is made by or at the direction of the Valuation Designee.
Derivative financial instruments, such as futures contracts or options contracts that are traded on a national securities exchange, are stated at the last reported sale or settlement price on the day of valuation. Futures traded on inactive markets are valued using broker quotations. Over-the-counter (“OTC”) derivative financial instruments, such as foreign currency contracts, options contracts, synthetic futures, or swaps agreements, derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These contracts are normally valued on the basis of an independent pricing service providers or broker/dealer quotations. Depending on the derivative type and the terms of the derivative, the value of the derivative financial instruments is assigned by independent pricing service providers using a series of techniques, which may include pricing models. The pricing models use inputs that are observed from actively quoted markets such as issuer details, indices, spreads, interest rates, curves, volatilities, dividends and exchange rates.
Bank loans are valued using an evaluated quote provided by an independent pricing service. Evaluated quotes provided by the pricing service may reflect appropriate factors such as ratings, yield curves, prepayment speeds, tranche type, industry, company performance, spread, individual trading characteristics, institutional size trading in similar groups of securities and other market data.
The Board has designated the Adviser as the Valuation Designee responsible for valuing portfolio securities, subject to continuing Board oversight. The Adviser has appointed a Valuation Committee that is responsible for overseeing the day-to-day process of valuing portfolio securities. With respect to portfolio securities for which market quotations are not readily available or (in the opinion of the Adviser or the applicable Sub-adviser) do not otherwise accurately reflect the fair values of the securities, the Valuation Committee will value such securities at fair value based upon procedures approved by the Board. Depending on market movements throughout the quarter ended June 30, 2025, substantially all foreign equity securities held by Non-US Core Equity and Emerging Markets may be fair valued using valuations provided by an independent valuation service consistent with the valuation procedures approved by the Board.
The application of fair value pricing represents a good faith determination based on specific procedures performed under the supervision of the Board. Due to the subjective nature of fair value pricing, there can be no assurance that the Fund could realize the fair value assigned to the security if the Fund were to sell the security at approximately the time at which the Fund determines its NAV per share. The Fund’s value for a particular security may be different from the last quoted market price.
The Funds follow a three-tier hierarchy to prioritize the assumptions, referred to as inputs, used in valuation techniques to measure fair value. The three-tier hierarchy of inputs is summarized in the three
170

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
broad Levels listed below.
• 
Level 1 – quoted prices unadjusted in active markets for identical investments
• 
Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
• 
Level 3 – significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments)
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
The following is a summary of the portfolio securities by level based on inputs used as of June 30, 2025 in valuing the assets and liabilities of the Funds for which fair valuation was used:
Small/Mid Cap
ASSETS VALUATION INPUT
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Common Stocks
Basic Materials
$36,541,445
$
$
$36,541,445
Communications
45,567,198
45,567,198
Consumer, Cyclical
254,217,270
0*
254,217,270
Consumer, Non-cyclical
370,031,405
370,031,405
Energy
56,303,464
56,303,464
Financial
298,080,809
298,080,809
Government
2,370,285
2,370,285
Industrial
301,029,386
301,029,386
Technology
158,878,582
158,878,582
Utilities
33,419,667
33,419,667
Total Common Stocks
1,556,439,511
0
1,556,439,511
Short-Term Investment
Mutual Fund - Securities Lending
Collateral
9,544,800
9,544,800
Futures Contracts
Buys
670,325
670,325
Total
$1,566,654,636
$
$0
$1,566,654,636
*
Represents one or more Level 3 securities at $0 value as of June 30, 2025.
Futures contracts are valued at unrealized appreciation (depreciation).
171

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
Emerging Markets
ASSETS VALUATION INPUT
 
 
 
 
 
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Common Stocks
Brazil
$59,184,712
$
$
$59,184,712
Canada
4,438,954
4,438,954
Chile
7,554,347
7,554,347
China
13,742,918
261,293,015
275,035,933
Colombia
397,835
418,987
816,822
Czech Republic
1,173,870
1,173,870
Greece
9,788,429
9,788,429
Hong Kong
4,426,018
4,426,018
Hungary
6,477,079
6,477,079
India
12,442,161
154,266,141
166,708,302
Indonesia
14,027,849
14,027,849
Italy
2,908,043
2,908,043
Japan
2,668,552
2,668,552
Kazakhstan
3,174,546
0*
3,174,546
Kuwait
5,086,710
5,086,710
Macau
3,283,870
3,283,870
Malaysia
9,093,443
9,093,443
Mexico
33,413,792
10,348
33,424,140
Netherlands
3,870,881
3,870,881
Panama
2,125,170
2,125,170
Peru
6,974,688
6,974,688
Philippines
194,600
3,073,424
3,268,024
Poland
7,910,133
7,910,133
Portugal
3,958,514
3,958,514
Qatar
3,666,686
3,666,686
Russia
0*
0
Saudi Arabia
23,685,853
23,685,853
Singapore
3,320,834
3,320,834
South Africa
2,548,857
23,926,707
26,475,564
South Korea
3,141,983
93,838,646
96,980,629
Taiwan
162,338,337
162,338,337
Thailand
3,325,127
10,850,542
14,175,669
Turkey
6,827,177
6,827,177
United Arab Emirates
9,365,664
9,365,664
United Kingdom
4,574,085
4,574,085
United States
6,300,626
6,300,626
Vietnam
4,543,677
4,543,677
172

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
 
 
 
 
 
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Zambia
$3,801,704
$
$
$3,801,704
Total Common Stocks
166,082,854
837,342,332
10,348
1,003,435,534
Preferred Stocks
Brazil
18,043,010
18,043,010
South Korea
2,871,220
2,871,220
Total Preferred Stocks
18,043,010
2,871,220
20,914,230
Rights
35,276
35,276
Warrant
10,173
10,173
Short-Term Investment
Mutual Fund - Securities Lending
Collateral
1,889,154
1,889,154
Futures Contracts
Buys
1,094,515
1,094,515
Total
$187,109,533
$840,213,552
$55,797
$1,027,378,882
*
Represents one or more Level 3 securities at $0 value as of June 30, 2025.
Futures contracts are valued at unrealized appreciation (depreciation).
Non-US Core Equity
ASSETS VALUATION INPUT
 
 
 
 
 
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Common Stocks
Australia
$4,962,009
$74,124,339
$
$79,086,348
Austria
11,821,810
11,821,810
Belgium
10,742,132
10,742,132
Brazil
23,958,916
1,147,928
25,106,844
Burkina Faso
305,208
305,208
Canada
276,355,905
276,355,905
China
7,789,341
81,184,974
88,974,315
Denmark
3,712,106
32,751,311
36,463,417
Finland
23,942,682
23,942,682
France
288,456,000
288,456,000
173

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
 
 
 
 
 
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Georgia
$
$4,664,766
$
$4,664,766
Germany
276,647,704
276,647,704
Greece
5,953,177
5,953,177
Guatemala
211,293
211,293
Hong Kong
2,349,693
80,585,122
82,934,815
Hungary
4,751,451
4,751,451
India
7,242,698
3,052,029
10,294,727
Ireland
52,439,399
52,439,399
Israel
4,601,197
20,233,996
24,835,193
Italy
9,536,599
190,494,769
200,031,368
Japan
652,387,928
652,387,928
Luxembourg
485,721
485,721
Macau
10,353,724
10,353,724
Netherlands
3,707,730
119,737,933
123,445,663
New Zealand
2,980,744
2,980,744
Nigeria
163,781
163,781
Norway
28,254,651
28,254,651
Portugal
16,680,669
16,680,669
Russia
0*
0
Singapore
7,345,564
18,512,274
25,857,838
South Africa
679,179
679,179
South Korea
25,496,768
25,496,768
Spain
1,593,851
125,549,841
127,143,692
Sweden
2,120,475
77,451,050
79,571,525
Switzerland
16,184,628
146,048,740
162,233,368
Taiwan
15,327,937
19,469,134
34,797,071
Turkey
248,433
1,790,107
2,038,540
United Kingdom
29,062,910
346,401,449
375,464,359
United States
133,536,505
203,320,714
336,857,219
Zambia
729,033
729,033
Total Common Stocks
550,882,031
2,958,757,996
0
3,509,640,027
Investment Companies
14,551,290
14,551,290
Preferred Stocks
10,155,831
10,155,831
Short-Term Investment
Mutual Fund - Securities Lending
Collateral
54,655,973
54,655,973
174

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
 
 
 
 
 
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Futures Contracts
Buys
$842,499
$
$
$842,499
Total
$620,931,793
$2,968,913,827
$0
$3,589,845,620
*
Represents one or more Level 3 securities at $0 value as of June 30, 2025.
Futures contracts are valued at unrealized appreciation (depreciation).
Core Fixed
ASSETS VALUATION INPUT
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Debt Obligations
$
$1,319,846,386
$
$1,319,846,386
Common Stock
24,486
24,486
Short-Term Investment
Mutual Fund - Securities Lending
Collateral
9,879,095
9,879,095
Forward Foreign Currency Contracts
373,999
373,999
Futures Contracts
Buys
673,460
673,460
Swaps
Centrally Cleared Interest Rate Swap
253,331
253,331
Total
$10,552,555
$1,320,498,202
$
$1,331,050,757
LIABILITIES VALUATION INPUT
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
TBA Sale Commitments
$
$(9,681,884
)
$
$(9,681,884
)
Forward Foreign Currency Contracts
(1,279,361
)
(1,279,361
)
Futures Contracts
Sales
(139,590
)
(139,590
)
175

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Written Options
Written Exchange-Traded Options
$(34,650
)
$
$
$(34,650
)
Swaps
Centrally Cleared Interest Rate
Swaps
(371,522
)
(371,522
)
Centrally Cleared Credit Default
Swap
(69,565
)
(69,565
)
Total Swaps
(441,087
)
(441,087
)
Total
$(174,240
)
$(11,402,332
)
$
$(11,576,572
)
Forward foreign currency contracts, Futures contracts and Centrally Cleared Swaps are valued at unrealized appreciation
(depreciation).
Opportunistic Fixed
ASSETS VALUATION INPUT
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Debt Obligations
Asset Backed Securities
$
$136,395,631
$
$136,395,631
Bank Loans
298,684,670
1,230,110
299,914,780
Convertible Debt
14,468,317
14,468,317
Corporate Debt
696,565,312
696,565,312
Mortgage Backed Securities - Private
Issuers
87,300,020
2,270,000
89,570,020
Mortgage Backed Securities -
U.S. Government Agency
Obligations
90,912,640
90,912,640
Municipal Obligation
839,330
839,330
Sovereign Debt Obligations
309,936,392
309,936,392
U.S. Government and Agency
Obligations
179,740,044
179,740,044
Total Debt Obligations
1,814,842,356
3,500,110
1,818,342,466
Common Stocks
Basic Materials
32,572
32,572
Consumer, Cyclical
123,807
123,807
Financial
11,329,555
11,329,555
Technology
231,570
231,570
Total Common Stocks
11,453,362
231,570
32,572
11,717,504
176

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Investment Companies
$30,436,086
$
$
$30,436,086
Preferred Stocks
Communications
342,329
342,329
Financial
1,754,177
534,916
2,289,093
Industrial
646,000
646,000
Utilities
373,012
373,012
Total Preferred Stocks
3,115,518
534,916
3,650,434
Short-Term Investments
Mutual Fund - Securities Lending
Collateral
73,956,859
73,956,859
Commercial Paper
43,784,087
43,784,087
Repurchase Agreement
27,400,000
27,400,000
U.S. Government and Agency
Obligations
25,475,125
25,475,125
Total Short-Term Investments
73,956,859
96,659,212
170,616,071
Forward Foreign Currency Contracts
4,273,375
4,273,375
Futures Contracts
Buys
1,554,373
1,554,373
Sales
172,005
172,005
Total Futures Contracts
1,726,378
1,726,378
Swaps
OTC Interest Rate Swaps
70,809
70,809
Centrally Cleared Interest Rate
Swaps
317,576
317,576
Centrally Cleared Credit Default
Swaps
3,324,616
3,324,616
OTC Total Return Swap
449,420
449,420
Total Swaps
4,162,421
4,162,421
Total
$120,688,203
$1,920,168,934
$4,067,598
$2,044,924,735
LIABILITIES VALUATION INPUT
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Forward Foreign Currency Contracts
$
$(7,045,216
)
$
$(7,045,216
)
177

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Futures Contracts
Buys
$(1,670
)
$
$
$(1,670
)
Sales
(732,200
)
(732,200
)
Total Futures Contracts
(733,870
)
(733,870
)
Written Options
Written Exchange-Traded Options
(6,750
)
(6,750
)
Written Interest Rate Swaptions
(55,453
)
(55,453
)
Total Written Options
(6,750
)
(55,453
)
(62,203
)
Swaps
Centrally Cleared Interest Rate
Swaps
(85,655
)
(85,655
)
Total
$(740,620
)
$(7,186,324
)
$
$(7,926,944
)
Forward foreign currency contracts, Futures contracts and Centrally Cleared Swaps are valued at unrealized appreciation
(depreciation).
Short Duration Fixed
ASSETS VALUATION INPUT
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Debt Obligations
$
$54,949,001
$
$54,949,001
Short-Term Investment
Mutual Fund - Securities Lending
Collateral
276,500
276,500
Futures Contract
Buys
26,020
26,020
Total
$302,520
$54,949,001
$
$55,251,521
178

Mercer Funds
Notes to Financial Statements (Continued)
June 30, 2025 (Unaudited)
LIABILITIES VALUATION INPUT
Description
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Futures Contracts
Sales
$(27,291
)
$
$
$(27,291
)
Total
$(27,291
)
$
$
$(27,291
)
Futures contracts are valued at unrealized appreciation (depreciation).
2.
Bank loans
Core Fixed, Opportunistic Fixed and Short Duration Fixed may invest in bank loans, which include institutionally-traded floating rate securities generally acquired as an assignment from another holder of, or participation interest in, loans originated by a bank or financial institution (the ‘‘Lender’’) that acts as agent for all holders. The agent administers the terms of the loan, as specified in the loan agreement. Each Fund may invest in multiple series or tranches of a loan, which may have varying terms and carry different associated risks. When investing in a loan participation, each Fund has the right to receive payments of principal, interest and any fees to which it is entitled only from the Lender selling the loan agreement and only upon receipt by the Lender of payments from the borrower. Each Fund generally has no right to enforce compliance with the terms of the loan agreement with the borrower. As a result, each Fund may be subject to the credit risk of both the borrower and the Lender that is selling the loan agreement. At June 30, 2025, Opportunistic Fixed had the following unfunded loan commitments:
Borrower
Par
Cost
Value
Unrealized
Gain (Loss)
GC Ferry Acquisition I, Inc.
$94,792
$93,370
$93,133
$(237
)
Janney Montgomery Scott LLC
214,286
215,343
215,391
48
Secretariat Advisors LLC
146,666
146,197
147,033
836
Student Transportation of America Holdings, Inc.
6,667
6,633
6,686
53
USALCO LLC
140,216
140,278
141,093
815
Van Pool Transportation LLC
67,470
66,964
67,498
534
 
$670,097
$668,785
$670,834
$2,049
For information regarding the Funds’ other significant accounting policies, please refer to the Funds’ most recent Annual or Semi-Annual Report. Additional investments related disclosures are hereby incorporated by reference to the Annual and Semi-Annual reports previously filed with the SEC on Form N-CSR.
179