| As of January 31, 2026, the Fund held the following forward foreign currency contracts: |
| Sale Contracts Settlement Date | Counterparty | Currency Purchased | Amount Purchased | Currency Sold | Amount Sold | Fair Value | Unrealized Appreciation/ (Depreciation) | |
| United States Dollar/Euro | ||||||||
| 04/15/2026 | Citibank N.A. | USD | 7,526,016 | EUR | 6,400,000 | $7,611,592 | $(85,576) | |
| ADR | American Depositary Receipt |
| GDR | Global Depositary Receipt |
| PLC | Public Limited Company |
| (a) | Variable or Floating Rate security. Rate disclosed is as of January 31, 2026. |
| (b) | The Fund’s adviser has deemed this security to be illiquid based upon procedures approved by the Board of Trustees. Illiquid securities held by the Fund represent 0.0% of net assets as of January 31, 2026. |
| (c) | Level 3 security. See Note 1(a) of the accompanying Notes to Statements of Investments. |
| (d) | Non-income producing security. |
| (e) | Denotes a security issued under Regulation S or Rule 144A. |
| (f) | Sinkable security. |
| (g) | Security is in default. |
| (h) | Perpetual maturity. Maturity date presented represents the next call date. |
| (i) | Payment-in-kind security for which part of the income earned may be paid as additional principal. |
| (j) | Step bond. Rate disclosed is as of January 31, 2026. |
| (k) | Registered investment company advised by State Street Investment Management. The rate shown is the 7 day yield as of January 31, 2026. |
| Amounts listed as “–” are $0 or round to $0. |
| ETF | Exchange-Traded Fund |
| EUR | Euro Currency |
| FRN | Floating Rate Note |
| GBP | British Pound Sterling |
| HKD | Hong Kong Dollar |
| PIK | Payment-In-Kind |
| PLC | Public Limited Company |
| REIT | Real Estate Investment Trust |
| USD | U.S. Dollar |
| VRN | Variable Rate Note |
| As of January 31, 2026, the Fund held the following futures contracts: |
| Futures Contracts | Number of Contracts Long/(Short) | Expiration Date | Notional Amount | Market Value | Unrealized Appreciation/ (Depreciation) |
| Short Contract Positions | |||||
| United States Treasury Note 6%—5 Year | (83) | 3/31/2026 | $(9,067,628) | $(9,041,164) | $26,464 |
| As of January 31, 2026, the Fund held the following forward foreign currency contracts: |
| Purchase Contracts Settlement Date | Counterparty | Currency Purchased | Amount Purchased | Currency Sold | Amount Sold | Fair Value | Unrealized Appreciation/ (Depreciation) | |
| British Pound/United States Dollar | ||||||||
| 04/15/2026 | JPMorgan Chase Bank N.A. | GBP | 105,169 | USD | 142,359 | $143,894 | $1,535 | |
| Euro/United States Dollar | ||||||||
| 02/09/2026 | Barclays Bank PLC | EUR | 126,000 | USD | 150,674 | 149,396 | (1,278) | |
| 04/15/2026 | Standard Chartered Bank | EUR | 222,699 | USD | 260,947 | 264,858 | 3,911 | |
| Hong Kong Dollar/United States Dollar | ||||||||
| 04/15/2026 | Standard Chartered Bank | HKD | 2,457 | USD | 315 | 315 | – | |
| Total | $558,463 | $4,168 | ||||||
| Sale Contracts Settlement Date* | Counterparty | Currency Purchased | Amount Purchased | Currency Sold | Amount Sold | Fair Value | Unrealized Appreciation/ (Depreciation) | |
| United States Dollar/British Pound | ||||||||
| 04/15/2026 | Barclays Bank PLC | USD | 39,712 | GBP | 29,385 | $40,205 | $(493) | |
| 04/15/2026 | Goldman Sachs & Co. | USD | 410,648 | GBP | 299,023 | 409,127 | 1,521 | |
| 04/15/2026 | HSBC Bank PLC | USD | 526,118 | GBP | 391,348 | 535,447 | (9,329) | |
| 04/15/2026 | Morgan Stanley & Co. | USD | 4,021,262 | GBP | 2,973,662 | 4,068,604 | (47,342) | |
| United States Dollar/Euro | ||||||||
| 04/15/2026 | Barclays Bank PLC | USD | 319,253 | EUR | 266,159 | 316,545 | 2,708 | |
| 04/15/2026 | Goldman Sachs & Co. | USD | 528,344 | EUR | 452,165 | 537,765 | (9,421) | |
| 04/15/2026 | HSBC Bank PLC | USD | 570,038 | EUR | 488,666 | 581,176 | (11,138) | |
| 04/15/2026 | JPMorgan Chase Bank N.A. | USD | 9,857,794 | EUR | 8,384,416 | 9,971,680 | (113,886) | |
| 04/15/2026 | Standard Chartered Bank | USD | 452,731 | EUR | 379,000 | 450,749 | 1,982 | |
| 04/15/2026 | Standard Chartered Bank | USD | 270,059 | EUR | 229,469 | 272,910 | (2,851) | |
| United States Dollar/Hong Kong Dollar | ||||||||
| 04/15/2026 | Deutsche Bank AG | USD | 316 | HKD | 2,457 | 315 | 1 | |
| Total | $17,184,523 | $(188,248) | ||||||
| Unrealized appreciation on forward foreign currency exchange contracts | $11,658 | |||||||
| Unrealized depreciation on forward foreign currency exchange contracts | $(195,738) | |||||||
| * | Certain contracts with different trade dates and like characteristics have been shown net. |
| As of January 31, 2026, the Fund held the following forward foreign currency contracts: |
| Purchase Contracts Settlement Date | Counterparty | Currency Purchased | Amount Purchased | Currency Sold | Amount Sold | Fair Value | Unrealized Appreciation/ (Depreciation) | |
| British Pound/United States Dollar | ||||||||
| 04/15/2026 | HSBC Bank PLC | GBP | 5,824 | USD | 7,803 | $7,968 | $165 | |
| 04/15/2026 | JPMorgan Chase Bank N.A. | GBP | 4,272 | USD | 5,877 | 5,845 | (32) | |
| Total | $13,813 | $133 | ||||||
| Sale Contracts Settlement Date | Counterparty | Currency Purchased | Amount Purchased | Currency Sold | Amount Sold | Fair Value | Unrealized Appreciation/ (Depreciation) | |
| United States Dollar/British Pound | ||||||||
| 04/15/2026 | Morgan Stanley & Co. | USD | 497,159 | GBP | 367,683 | $503,059 | $(5,900) | |
| United States Dollar/Euro | ||||||||
| 04/15/2026 | JPMorgan Chase Bank N.A. | USD | 1,126,719 | EUR | 958,019 | 1,139,314 | (12,595) | |
| 04/15/2026 | Morgan Stanley & Co. | USD | 13,407 | EUR | 11,400 | 13,557 | (150) | |
| Total | $1,655,930 | $(18,645) | ||||||
| Unrealized appreciation on forward foreign currency exchange contracts | $165 | |||||||
| Unrealized depreciation on forward foreign currency exchange contracts | $(18,677) | |||||||
| PIK | Payment-In-Kind |
| VRDN | Variable Rate Demand Note |
| 38 |
| 39 |