PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

  

   Face    
   amount   Value 
Asset-backed securities—2.0%
Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates,       
Series 2005-R1, Class M4,          
1 mo. USD Term SOFR + 1.224%,          
4.879%, due 03/25/351  $83,269   $82,481 
Amortizing Residential Collateral Trust,         
Series 2004-1, Class A5,          
1 mo. USD Term SOFR + 1.114%,          
4.769%, due 10/25/341   59,195    58,590 
Bear Stearns Asset-Backed Securities Trust,        
Series 2004-2, Class M1,          
1 mo. USD Term SOFR + 1.314%,          
4.969%, due 08/25/341   569,466    569,522 
Chase Funding Trust,          
Series 2002-3, Class 2A1,        
1 mo. USD Term SOFR + 0.754%,          
4.409%, due 08/25/321   87,174    86,627 
Series 2002-4, Class 2A1,           
1 mo. USD Term SOFR + 0.854%,          
4.509%, due 10/25/321   2,862    2,853 
Countrywide Asset-Backed Certificates,          
Series 2004-2, Class 3A4,          
1 mo. USD Term SOFR + 0.614%,          
4.269%, due 07/25/341   44,238    43,579 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Asset-backed securities—(continued)          
Countrywide Asset-Backed Certificates Trust,          
Series 2004-6, Class M1,          
1 mo. USD Term SOFR + 1.014%,          
4.669%, due 10/25/341  $17,592   $17,526 
EMC Mortgage Loan Trust,          
Series 2003-A, Class A2,          
1 mo. USD Term SOFR + 1.614%,          
5.269%, due 08/25/401,2   45,190    45,879 
EquiFirst Loan Securitization Trust,          
Series 2007-1, Class A1,          
1 mo. USD Term SOFR + 0.454%,          
4.109%, due 04/25/371,2   858,636    806,532 
Gallatin CLO VIII Ltd.,          
Series 2017-1A, Class A1R,          
3 mo. USD Term SOFR + 1.352%,          
5.025%, due 07/15/311,2   374,988    375,536 
KGS-Alpha SBA COOF Trust,          
Series 2012-5, Class A,          
IO,          
1.090%, due 04/25/381,2,3,4   3,401,245    72,447 
Option One Mortgage Loan Trust,          
Series 2007-4, Class 2A2,          
1 mo. USD Term SOFR + 0.294%,          
3.949%, due 04/25/371   41,778    23,805 
Renaissance Home Equity Loan Trust,          
Series 2003-2, Class A,          
1 mo. USD Term SOFR + 0.994%,          
3.150%, due 08/25/331   75,365    69,961 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Asset-backed securities—(continued)          
Soundview Home Loan Trust,          
Series 2007-OPT1, Class 1A1,          
1 mo. USD Term SOFR + 0.314%,          
3.969%, due 06/25/371  $475,191   $327,612 
Structured Asset Securities Corp. Trust,          
Series 2005-AR1, Class M2,          
1 mo. USD Term SOFR + 0.804%,          
4.459%, due 09/25/351   552,680    530,750 
Venture 33 CLO Ltd.,          
Series 2018-33A, Class A1LR,          
3 mo. USD Term SOFR + 1.322%,          
4.995%, due 07/15/311,2   18,463    18,508 
Venture 36 CLO Ltd.,          
Series 2019-36A, Class A1AR,          
3 mo. USD Term SOFR + 1.392%,          
5.067%, due 04/20/321,2   221,089    221,280 
Total asset-backed securities         
(cost—$3,283,405)        3,353,488 
           
Mortgage-backed securities—16.5%          
Adjustable Rate Mortgage Trust,          
Series 2005-8, Class 3A21,          
4.755%, due 11/25/351   217,778    152,313 
BCAP LLC Trust,          
Series 2010-RR1, Class 1A4,          
4.494%, due 03/26/371,2   46,413    42,883 
Series 2013-RR1, Class 3A4,          
6.000%, due 10/26/371,2   118,460    78,889 
Bear Stearns ARM Trust,          
Series 2004-2, Class 12A2,          
4.068%, due 05/25/341   16,809    15,285 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

  

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Bear Stearns Asset-Backed Securities I Trust,          
Series 2004-AC3, Class A2,          
5.500%, due 06/25/341  $241,626   $235,213 
Bear Stearns Asset-Backed Securities Trust,          
Series 2003-AC5, Class A1,          
5.750%, due 10/25/331   38,829    48,252 
Chevy Chase Funding LLC Mortgage-Backed Certificates,          
Series 2004-1A, Class A1,          
1 mo. USD Term SOFR + 0.394%,          
4.049%, due 01/25/351,2   4,466    4,429 
CHL Mortgage Pass-Through Trust,          
Series 2003-HYB1, Class 1A1,         
4.225%, due 05/19/331   2,130    2,005 
Series 2007-15, Class 2A2,          
6.500%, due 09/25/37   23,856    7,931 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates,          
Series Q034, Class APT2,          
2.931%, due 07/25/541   1,019,558    990,489 
Series KJ45, Class A2,          
4.660%, due 01/25/31   600,000    604,703 
Federal Home Loan Mortgage Corp. REMICS,          
Series 2614, Class WO,           
PO,          
0.000%, due 05/15/335   226,641    199,476 
Series 4839, Class UO,           
PO,          
0.000%, due 08/15/565   343,385    209,182 
Series 4836,           
PO,          
0.000%, due 10/15/585   620,811    386,766 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

  

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 4265, Class ES,          
(3.200)* 30 day USD SOFR Average +  13.394%,          
1.701%, due 11/15/431  $797,069   $730,216 
Series 3635, Class IB,           
IO,          
1.821%, due 10/15/371   24,147    1,166 
Series 3598, Class JI,           
IO,          
1.842%, due 10/15/371   9,150    402 
Series 3621, Class WI,           
IO,          
1.956%, due 05/15/371   14,825    791 
Series 4367, Class GS,           
IO,          
1.988%, due 03/15/371   23,431    1,199 
Series 5034, Class MI,           
IO,          
2.000%, due 11/25/50   587,428    77,524 
Series 3684, Class JI,           
IO,          
2.119%, due 11/15/361   74,351    4,045 
Series 4438, Class WI,          
IO,          
2.169%, due 11/15/381   68,916    3,700 
Series 4255, Class SN,          
(2.667)* 30 day USD SOFR Average +  11.961%,          
2.218%, due 05/15/351   227,012    225,651 
Series 4394, Class WI,           
IO,          
2.233%, due 08/15/411   20,679    1,096 
Series 4263, Class SD,          
(2.667)* 30 day USD SOFR Average +  11.961%,          
2.255%, due 11/15/431   259,504    231,918 
Series 3962, Class KS,           
IO,          
2.267%, due 06/15/381   63,670    3,670 
Series 4338, Class SB,           
IO,          
2.284%, due 10/15/411   41,974    2,341 
Series 4076, Class SW,          
IO, (1.000)* 30 day  USD SOFR Average +  5.936%,          
2.296%, due 07/15/421   710,337    67,655 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 4463,           
IO,          
2.376%, due 02/15/381  $39,627   $2,056 
Series 4156, Class SA,          
IO, (1.000)* 30 day USD SOFR Average + 6.086%,          
2.446%, due 01/15/331   324,848    25,355 
Series 4182, Class YI,           
IO,          
2.500%, due 03/15/28   256,499    4,186 
Series 4324,           
IO,          
2.517%, due 08/15/361   24,594    1,719 
Series 3339, Class LI,          
IO, (1.000)* 30 day USD SOFR Average + 6.366%,          
2.726%, due 07/15/371   347,072    28,788 
Series 4100, Class HI,           
IO,          
3.000%, due 08/15/27   15,518    186 
Series 4182, Class QI,           
IO,          
3.000%, due 02/15/33   22,508    977 
Series 4165, Class TI,           
IO,          
3.000%, due 12/15/42   317,443    14,004 
Series 3442, Class MT,          
30 day USD SOFR Average + 0.114%,          
3.754%, due 07/15/341   18,349    17,086 
Series 4544, Class IP,           
IO,          
4.000%, due 01/15/46   748,698    127,649 
Series 2411, Class FJ,          
30 day USD SOFR Average + 0.464%,          
4.104%, due 12/15/291   2,499    2,493 
Series 4832, Class FW,          
30 day USD SOFR Average + 0.464%,          
4.133%, due 04/15/381   450,886    445,400 
Series 3096, Class FL,          
30 day USD SOFR Average + 0.514%,          
4.154%, due 01/15/361   34,729    34,482 
Series 3114, Class PF,          
30 day USD SOFR Average + 0.514%,          
4.154%, due 02/15/361   224,276    222,624 

 

 

 

  

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

  

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 3153, Class UF,          
30 day USD SOFR Average + 0.544%,          
4.184%, due 05/15/361  $55,139   $54,807 
Series 2513, Class AS,          
IO,          
(1.000)* 30 day USD SOFR Average + 7.886%,          
4.246%, due 02/15/321   64,127    6,444 
Series 2400, Class FQ,          
30 day USD SOFR Average + 0.614%,          
4.254%, due 01/15/321   4,318    4,316 
Series 4068, Class UF,          
30 day USD SOFR Average + 0.614%,          
4.254%, due 06/15/421   305,079    304,980 
Series 4945, Class F,          
30 day USD SOFR Average + 0.614%,          
4.283%, due 12/15/461   72,458    71,429 
Series 3667, Class FW,          
30 day USD SOFR Average + 0.664%,          
4.304%, due 02/15/381   3,439    3,427 
Series 4940, Class FE,          
30 day USD SOFR Average + 0.664%,          
4.310%, due 01/25/501   197,064    194,334 
Series 3671, Class FQ,          
30 day USD SOFR Average + 0.964%,          
4.604%, due 12/15/361   325,244    327,811 
Series 3864, Class NT,          
(9.167)* 30 day USD SOFR Average + 59.451%,          
5.500%, due 03/15/391   134,727    135,453 
Series 2136, Class GD,          
IO,          
7.000%, due 03/15/29   124    6 
Series 2178, Class PI,          
IO,          
7.500%, due 08/15/29   1,194    97 
Federal Home Loan Mortgage Corp. STRIPS,          
Series 389, Class C40,           
IO,          
2.500%, due 10/15/52   3,929,401    606,857 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 303, Class C19,           
IO,          
3.500%, due 01/15/43  $318,519   $50,009 
Series 345, Class C13,           
IO,          
3.500%, due 08/15/45   471,090    76,591 
Series 330, Class F4,          
30 day USD SOFR Average + 0.464%,          
4.133%, due 10/15/371   102,994    101,730 
Series 326, Class F2,          
30 day USD SOFR Average + 0.664%,          
4.304%, due 03/15/441   185,068    184,378 
Federal Home Loan Mortgage Corp. Whole Loan Securities Trust,          
Series 2015-SC02, Class 1A,          
3.000%, due 09/25/45   146,352    128,236 
Series 2017-SC01, Class 1A,          
3.000%, due 12/25/46   292,084    250,660 
Series 2017-SC01, Class 2A,          
3.500%, due 12/25/46   348,815    307,267 
Federal National Mortgage Association Interest STRIPS,          
Series 419, Class C3,           
IO,          
3.000%, due 11/25/43   67,801    8,850 
Series 413, Class 111,           
IO,          
4.000%, due 07/25/421   333,630    46,074 
Series 431, Class C57,           
IO,          
4.336%, due 04/25/531   824,378    152,258 
Series 386, Class 14,           
IO,          
6.500%, due 04/25/38   22,282    4,912 
Federal National Mortgage Association REMICS,          
Series 2022-3, Class SD,          
IO,          
(1.000)* 30 day USD SOFR Average + 2.550%,          
0.000%, due 02/25/521   3,374,798    10,072 

 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2014-84, Class AI,          
IO,          
(1.000)* 30 day USD SOFR Average + 6.036%,          
0.200%, due 02/25/431  $193,187   $1,039 
Series 2012-111, Class HS,          
(0.833)* 30 day USD SOFR Average + 3.571%,          
0.534%, due 10/25/421   35,961    24,247 
Series 2015-73, Class ES,          
(2.333)* 30 day USD SOFR Average + 9.066%,          
0.541%, due 10/25/451   176,805    113,099 
Series 2012-134, Class BH,          
1.250%, due 12/25/27   722,074    708,653 
Series 2012-77,          
IO,          
1.799%, due 07/25/521   65,539    2,974 
Series 2014-42, Class SA,          
IO,          
1.804%, due 07/25/441   65,122    2,494 
Series 2016-76, Class CS,          
IO,          
1.814%, due 10/25/461   23,565    995 
Series 2016-17, Class CS,           
IO,          
1.908%, due 04/25/461   45,109    2,091 
Series 2015-64, Class KS,          
IO,          
1.932%, due 09/25/451   55,183    2,072 
Series 2014-43, Class BS,          
IO,          
1.959%, due 07/25/441   117,740    7,533 
Series 2015-10, Class SA,          
IO,          
2.021%, due 03/25/451   148,624    7,869 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2015-19, Class AI,          
IO,          
2.030%, due 04/25/551  $108,452   $5,036 
Series 2015-50, Class SB,          
IO,          
2.049%, due 07/25/451   366,681    19,802 
Series 2014-92, Class SB,           
IO,          
2.078%, due 01/25/451   58,066    3,054 
Series 2014-45, Class SA,           
IO,          
2.144%, due 08/25/441   57,756    4,202 
Series 2014-47, Class BI,           
IO,          
2.155%, due 08/25/541   114,980    5,763 
Series 2019-62, Class SN,           
IO,          
(1.000)* 30 day USD SOFR Average + 5.886%,          
2.240%, due 11/25/491   164,687    19,936 
Series 2015-58, Class AI,           
IO,          
2.390%, due 08/25/551   63,004    3,164 
Series 2013-28, Class YS,           
IO,          
(1.000)* 30 day USD SOFR Average + 6.036%,          
2.390%, due 07/25/421   241,321    26,166 
Series 2013-34, Class PS,          
IO,          
(1.000)* 30 day USD SOFR Average + 6.036%,          
2.390%, due 08/25/421   188,329    10,786 
Series 2020-70,           
IO,          
2.436%, due 10/25/501   6,133,261    289,975 
Series 2021-3, Class TI,           
IO,          
2.500%, due 02/25/51   748,303    123,894 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2010-76, Class SA,           
IO,          
(1.000)* 30 day USD SOFR Average + 6.386%,          
2.740%, due 07/25/401  $230,043   $16,885 
Series 2018-28, Class CA,          
3.000%, due 05/25/48   164,030    145,664 
Series 2013-30, Class GI,           
IO,          
3.000%, due 01/25/43   491,206    32,548 
Series 2013-45, Class IK,           
IO,          
3.000%, due 02/25/43   333,578    27,740 
Series 2013-30, Class JI,           
IO,          
3.000%, due 04/25/43   182,780    19,531 
Series 2013-116, Class IY,           
IO,          
3.000%, due 09/25/43   157,309    8,958 
Series 2016-14,           
IO,          
3.000%, due 03/25/46   276,012    33,462 
Series 2016-20, Class EI,           
IO,          
3.000%, due 04/25/46   94,542    9,299 
Series 2016-52, Class PI,           
IO,          
3.000%, due 04/25/46   221,246    22,790 
Series 2016-64, Class IA,           
IO,          
3.000%, due 05/25/46   211,539    22,988 
Series 2016-63, Class YI,           
IO,          
3.500%, due 04/25/46   28,665    2,295 
Series 2015-47, Class GI,           
IO,          
4.000%, due 06/25/44   14,860    635 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2018-85, Class FE,          
30 day USD SOFR Average + 0.414%,          
4.060%, due 12/25/481  $1,047,240   $1,032,047 
Series 2007-67, Class FB,          
30 day USD SOFR Average + 0.434%,          
4.080%, due 07/25/371   20,930    20,665 
Series 2012-128, Class FK,          
30 day USD SOFR Average + 0.464%,          
4.110%, due 11/25/421   91,647    89,878 
Series 2002-60, Class F1,          
30 day USD SOFR Average + 0.514%,          
4.160%, due 06/25/321   21,723    21,683 
Series 2019-10, Class FA,          
30 day USD SOFR Average + 0.514%,          
4.160%, due 03/25/491   1,586,063    1,568,315 
Series 2012-90, Class FB,          
30 day USD SOFR Average + 0.554%,          
4.200%, due 08/25/421   32,199    31,808 
Series 2020-54, Class WF,          
30 day USD SOFR Average + 0.564%,          
4.233%, due 08/25/501   269,524    267,385 
Series 2010-141, Class FA,          
30 day USD SOFR Average + 0.614%,          
4.260%, due 12/25/401   91,337    90,491 
Series 2024-38, Class FA,          
30 day USD SOFR Average + 0.800%,          
4.469%, due 01/25/511   1,295,738    1,301,481 
Series 2012-122, Class LI,           
IO,          
4.500%, due 07/25/41   79,892    3,161 

 

 

 

  

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments April 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2024-10, Class AF,          
30 day USD SOFR Average + 0.900%,          
4.569%, due 12/25/501  $519,237   $515,854 
Series 2009-33, Class FB,          
30 day USD SOFR Average + 0.934%,          
4.580%, due 03/25/371   181,810    182,949 
Federal National Mortgage Association-ACES,          
Series 2020-M33, Class X2,           
IO,          
2.350%, due 01/25/311   580,290    25,409 
Series 2016-M11, Class AL,          
2.944%, due 07/25/39   314,814    286,558 
Fremont Home Loan Trust,          
Series 2004-A, Class M1,          
1 mo. USD Term SOFR + 0.939%,          
4.594%, due 01/25/341   191,466    183,344 
Government National Mortgage Association REMICS,          
Series 2007-18, Class CO,           
PO,          
0.000%, due 03/20/355   6,502    6,273 
Series 2015-126, Class GS,          
(2.333)* 1 mo. USD Term SOFR + 9.066%,          
0.515%, due 09/20/451   323,052    202,421 
Series 2017-15, Class WI,           
IO,          
1.207%, due 11/20/451   103,496    4,336 
Series 2016-180, Class WI,          
IO,          
1.211%, due 09/20/451   171,475    7,247 
Series 2017-57, Class WI,          
IO,          
1.239%, due 12/20/451   42,108    1,861 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2016-138, Class WI,           
IO,          
1.252%, due 08/20/451  $87,656   $3,473 
Series 2015-127, Class AS,           
IO,          
1.281%, due 06/20/431   101,333    5,004 
Series 2015-180, Class SA,           
IO,          
1.493%, due 06/20/421   105,436    5,794 
Series 2015-166, Class SA,           
IO,          
1.543%, due 06/20/421   96,830    4,140 
Series 2017-H23, Class MA,          
3.000%, due 11/20/67   391,434    383,619 
Series 2013-77, Class GI,           
IO,          
3.000%, due 02/20/43   567,647    45,041 
Series 2014-158, Class IA,           
IO,          
3.500%, due 10/20/29   86,693    2,689 
Series 2013-23, Class IP,           
IO,          
3.500%, due 08/20/42   428,891    46,519 
Series 2015-165, Class IB,           
IO,          
3.500%, due 11/20/42   104,058    8,899 
Series 2016-118, Class IE,          
IO,          
3.500%, due 09/20/46   23,976    3,453 
Series 2024-H07, Class FC,          
30 day USD SOFR Average + 0.650%,          
4.290%, due 02/20/741   506,427    507,104 
Series 2013-H19, Class DF,          
1 mo. USD Term SOFR + 0.764%,          
4.429%, due 05/20/631   81,658    81,693 

  

 

 

   

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2024-H07, Class JF,          
30 day USD SOFR Average + 0.790%,          
4.430%, due 04/20/741  $459,191   $463,114 
Series 2015-H30, Class FA,          
1 mo. USD Term SOFR + 0.794%,          
4.459%, due 08/20/611   3,085    3,096 
Series 2015-H29, Class FJ,          
1 mo. USD Term SOFR + 0.794%,          
4.459%, due 11/20/651   227,320    227,681 
Series 2015-H29, Class FA,          
1 mo. USD Term SOFR + 0.814%,          
4.479%, due 10/20/651   239    240 
Series 2013-H23, Class TA,          
1 mo. USD Term SOFR + 0.834%,          
4.499%, due 09/20/631   19,370    19,408 
Series 2015-H27, Class FA,          
1 mo. USD Term SOFR + 0.864%,          
4.529%, due 09/20/651   303,491    304,282 
Series 2024-H01, Class FB,          
30 day USD SOFR Average + 0.900%,          
4.540%, due 01/20/741   909,764    923,272 
Series 2024-H02, Class FH,          
30 day USD SOFR Average + 0.930%,          
4.570%, due 01/20/741   1,774,512    1,803,077 
Series 2016-H14, Class FA,          
1 mo. USD Term SOFR + 0.914%,          
4.579%, due 06/20/661   60,008    60,204 
Series 2010-H01, Class FA,          
1 mo. USD Term SOFR + 0.934%,          
4.611%, due 01/20/601   104,303    104,916 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2024-H02, Class FJ,          
30 day USD SOFR Average + 1.000%,          
4.640%, due 12/20/731  $1,411,650   $1,428,570 
Series 2013-H20, Class FB,          
1 mo. USD Term SOFR + 1.114%,          
4.779%, due 08/20/631   48,336    48,749 
GS Mortgage-Backed Securities Trust,          
Series 2022-MM1, Class A2,          
2.500%, due 07/25/521,2   1,310,010    1,082,806 
GSR Mortgage Loan Trust,          
Series 2004-14, Class 2A1,          
1 mo. USD Term SOFR + 0.444%,          
4.099%, due 12/25/341   865    840 
IndyMac INDX Mortgage Loan Trust,          
Series 2005-AR2, Class 2A1A,          
1 mo. USD Term SOFR + 0.754%,          
4.409%, due 02/25/351   117,998    111,563 
JP Morgan Alternative Loan Trust,          
Series 2008-R4, Class 2A1,          
1 mo. USD Term SOFR + 0.614%,          
4.291%, due 06/27/371,2   358,121    199,589 
JP Morgan Mortgage Trust,          
Series 2019-6, Class A11,          
1 mo. USD Term SOFR + 1.014%,          
4.669%, due 12/25/491,2   220,160    216,684 
Series 2019-INV2, Class A11,          
1 mo. USD Term SOFR + 1.014%,          
4.669%, due 02/25/501,2   381,188    374,739 

 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

  

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2026-ACES1, Class A1F,          
30 day USD SOFR Average + 1.200%,          
4.845%, due 04/25/661,2  $958,235   $956,133 
Series 2026-ACES1, Class A1,          
4.894%, due 04/25/661,2   574,941    570,951 
Merrill Lynch Mortgage Investors Trust,          
Series 2004-A, Class A1,          
1 mo. USD Term SOFR + 0.574%,          
4.229%, due 04/25/291   6,309    5,870 
Series 2004-1, Class 2A2,          
4.921%, due 12/25/341   35,905    33,985 
Morgan Stanley Mortgage Loan Trust,          
Series 2004-11AR, Class 1A1,          
1 mo. USD Term SOFR + 0.434%,          
4.089%, due 01/25/351   8,902    8,517 
Morgan Stanley Re-REMICS Trust,          
Series 2010-R4, Class 4B,          
1 mo. USD Term SOFR + 0.344%,          
2.808%, due 02/26/371,2   72,666    63,321 
Mortgage Equity Conversion Asset Trust,          
Series 2007-FF3, Class A,          
1 yr. CMT + 0.500%,          
4.200%, due 05/25/421,2   487,311    469,102 
OBX Trust,          
Series 2022-INV2, Class A1,          
3.000%, due 01/25/521,2   462,538    399,445 

 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount   Value 
Mortgage-backed securities—(continued)          
Residential Asset Securitization Trust,          
Series 2006-A7CB, Class 1A1,          
1 mo. USD Term SOFR + 0.614%,          
4.269%, due 07/25/361  $181,606   $109,078 
Sequoia Mortgage Trust,          
Series 5, Class A,          
1 mo. USD Term SOFR + 0.814%,          
4.476%, due 10/19/261   13,015    12,974 
Series 11, Class A,          
1 mo. USD Term SOFR + 1.014%,          
4.676%, due 12/20/321   52,836    45,911 
Structured Adjustable Rate Mortgage Loan Trust,          
Series 2007-4, Class 1A2,          
1 mo. USD Term SOFR + 0.554%,          
4.209%, due 05/25/371   66,284    62,249 
Structured Asset Mortgage Investments II Trust,          
Series 2006-AR3, Class 11A1,          
1 mo. USD Term SOFR + 0.534%,          
4.189%, due 04/25/361   103,307    95,065 
Thornburg Mortgage Securities Trust,          
Series 2005-1, Class A3,          
5.179%, due 04/25/451   12,216    12,052 
WaMu Mortgage Pass-Through Certificates Trust,          
Series 2003-AR9, Class 2A,          
5.683%, due 09/25/331   19,604    19,262 
Total mortgage-backed securities          
(cost—$31,410,277)        27,192,171 
           
U.S. government agency obligations—185.6%          
Federal Home Loan Mortgage Corp.          
2.000%, due 04/01/36   495,133    456,287 
2.500%, due 01/01/31   37,856    36,702 
2.500%, due 11/01/31   15,825    15,253 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
2.500%, due 07/01/32  $24,608   $23,662 
2.500%, due 08/01/32   123,637    118,528 
2.500%, due 09/01/32   167,438    160,493 
2.500%, due 11/01/32   5,095    4,884 
2.500%, due 12/01/32   153,769    147,156 
2.500%, due 01/01/33   38,925    37,227 
2.500%, due 12/01/50   916,010    768,849 
2.500%, due 08/01/51   4,004,403    3,424,124 
2.500%, due 09/01/51   693,669    591,721 
2.500%, due 03/01/52   1,108,386    941,446 
2.500%, due 04/01/52   82,647    70,127 
3.000%, due 10/01/26   1,035    1,030 
3.000%, due 11/01/26   5,430    5,406 
3.000%, due 01/01/27   36,325    36,134 
3.000%, due 02/01/32   54,115    52,628 
3.000%, due 04/01/32   276,868    269,293 
3.000%, due 05/01/32   188,626    183,367 
3.000%, due 07/01/32   102,971    100,039 
3.000%, due 10/01/32   107,475    104,302 
3.000%, due 11/01/32   191,895    186,217 
3.000%, due 01/01/33   424,542    411,115 
3.000%, due 02/01/40   820,117    767,869 
3.000%, due 06/01/42   1,220,390    1,119,575 
3.000%, due 07/01/42   142,006    130,275 
3.000%, due 08/01/42   50,426    46,261 
3.000%, due 04/01/43   97,686    89,167 
3.000%, due 05/01/43   48,807    44,618 
3.000%, due 12/01/44   120,875    109,661 
3.000%, due 08/01/46   125,591    111,917 
3.000%, due 12/01/46   538,682    484,711 
3.000%, due 06/01/50   425,714    380,478 
3.000%, due 04/01/51   1,355,896    1,187,941 
3.000%, due 06/01/51   653,024    572,133 
3.000%, due 07/01/51   4,402,532    3,906,170 
3.000%, due 10/01/51   117,252    104,221 
3.000%, due 12/01/51   1,077,488    944,019 
3.000%, due 03/01/52   781,937    688,871 
3.000%, due 04/01/52   1,540,969    1,356,918 
3.050%, due 03/01/32   221,351    205,409 
3.500%, due 09/01/32   114,982    112,876 
3.500%, due 12/01/33   68,901    67,330 
3.500%, due 06/01/34   42,620    41,475 
3.500%, due 07/01/34   17,844    17,362 
3.500%, due 03/01/35   286,962    278,424 
3.500%, due 04/01/35   137,713    133,595 
3.500%, due 03/01/42   505    477 
3.500%, due 07/01/43   514    484 
3.500%, due 05/01/48   504,857    466,338 
3.500%, due 02/01/50   217,863    199,551 
4.000%, due 01/01/37   107,293    105,419 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
4.000%, due 03/01/43  $438,465   $426,009 
4.000%, due 07/01/43   67,253    65,342 
4.000%, due 08/01/44   890,547    862,826 
4.000%, due 11/01/47   102,160    97,307 
4.000%, due 01/01/48   280,709    267,377 
4.000%, due 02/01/48   15,726    14,979 
4.000%, due 03/01/48   7,789    7,407 
4.000%, due 04/01/48   21,065    20,033 
4.000%, due 06/01/48   75,269    71,268 
4.000%, due 10/01/48   1,271,474    1,210,326 
4.000%, due 12/01/48   103,223    97,737 
4.000%, due 04/01/49   427,443    406,422 
4.500%, due 09/01/34   254,960    254,048 
4.500%, due 01/01/36   8,308    8,275 
4.500%, due 05/01/37   962    957 
4.500%, due 05/01/38   22,134    21,996 
4.500%, due 12/01/42   94,735    93,293 
4.500%, due 01/01/43   127,232    125,295 
4.500%, due 02/01/43   196,359    193,369 
4.500%, due 06/01/43   320,780    315,412 
4.500%, due 02/01/49   34,948    34,201 
4.500%, due 06/01/50   225,780    220,110 
4.500%, due 12/01/52   385,955    374,196 
4.500%, due 03/01/53   410,382    396,893 
4.500%, due 06/01/53   152,355    147,251 
5.000%, due 11/01/27   554    555 
5.000%, due 09/01/33   36,186    36,524 
5.000%, due 06/01/34   2,045    2,066 
5.000%, due 04/01/35   14,285    14,445 
5.000%, due 05/01/35   21,216    21,453 
5.000%, due 07/01/35   31,912    32,270 
5.000%, due 08/01/35   5,832    5,897 
5.000%, due 10/01/35   5,658    5,721 
5.000%, due 12/01/35   163    164 
5.000%, due 07/01/38   89,492    90,605 
5.000%, due 11/01/38   58,976    59,725 
5.000%, due 06/01/39   13,414    13,586 
5.000%, due 03/01/40   1,398    1,419 
5.000%, due 07/01/40   71,445    72,364 
5.000%, due 09/01/40   62,226    63,016 
5.000%, due 11/01/40   1,527    1,547 
5.000%, due 02/01/41   49,139    49,778 
5.000%, due 03/01/41   15,121    15,317 
5.000%, due 04/01/41   30,625    31,085 
5.000%, due 05/01/41   24,344    24,660 
5.000%, due 07/01/41   15,196    15,393 
5.000%, due 08/01/44   12,729    12,891 
5.000%, due 03/01/49   467,936    471,884 
5.000%, due 02/01/53   445,692    443,117 
5.000%, due 03/01/53   221,474    219,429 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments April 30, 2026 (unaudited)

  

   Face    
   amount   Value 
U.S. government agency obligations—(continued)          
5.000%, due 05/01/53  $472,100   $468,485 
5.000%, due 06/01/53   1,107,126    1,104,580 
5.000%, due 08/01/53   373,046    370,655 
5.500%, due 02/01/32   317    323 
5.500%, due 12/01/32   765    782 
5.500%, due 02/01/33   14,341    14,675 
5.500%, due 05/01/33   179    183 
5.500%, due 06/01/33   71,430    73,090 
5.500%, due 12/01/33   11,490    11,760 
5.500%, due 12/01/34   9,899    10,184 
5.500%, due 06/01/35   164,732    169,187 
5.500%, due 07/01/35   1,239    1,268 
5.500%, due 10/01/35   56,675    58,389 
5.500%, due 12/01/35   19,158    19,738 
5.500%, due 06/01/36   96,821    99,615 
5.500%, due 12/01/36   163,465    168,615 
5.500%, due 03/01/37   14,922    15,399 
5.500%, due 07/01/37   28,212    29,113 
5.500%, due 10/01/37   745    769 
5.500%, due 04/01/38   31,463    32,454 
5.500%, due 05/01/38   3,756    3,885 
5.500%, due 12/01/38   489    505 
5.500%, due 01/01/39   14,602    15,068 
5.500%, due 09/01/39   46,024    47,497 
5.500%, due 02/01/40   1,789    1,850 
5.500%, due 03/01/40   1,939    2,006 
5.500%, due 04/01/40   801,411    818,448 
5.500%, due 05/01/40   27,398    28,337 
5.500%, due 03/01/41   28,807    29,794 
1 yr. CMT + 2.137%,          
5.762%, due 01/01/281   916    915 
6.000%, due 11/01/37   299,700    314,456 
6.000%, due 02/01/55   924,026    963,530 
6.000%, due 04/01/55   2,647,591    2,758,433 
6.000%, due 05/01/55   5,724,993    5,953,476 
6.000%, due 09/01/55   932,660    977,367 
1 yr. CMT + 2.250%,        
6.114%, due 11/01/291   6,505    6,510 
1 yr. CMT + 2.415%,          
6.142%, due 01/01/291   2,171    2,164 
1 yr. CMT + 2.525%,          
6.150%, due 12/01/291   441    445 
1 yr. CMT + 2.150%,          
6.198%, due 11/01/271   6,455    6,446 
1 yr. USD RFUCCT + 1.768%,          
6.209%, due 10/01/391   307,393    314,561 
1 yr. CMT + 2.250%,          
6.372%, due 09/01/341   127,615    131,126 
1 yr. CMT + 2.430%,          
6.407%, due 10/01/271   3,111    3,114 

  

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

  

   Face    
   amount   Value 
U.S. government agency obligations—(continued)          
1 yr. USD RFUCCT + 1.765%,          
6.429%, due 11/01/361  $137,402   $141,406 
6.500%, due 05/01/45   85,077    88,386 
6.500%, due 09/01/53   19,155    20,132 
6.500%, due 11/01/53   443,449    466,782 
6.500%, due 01/01/54   168,037    176,794 
6.500%, due 04/01/54   37,089    39,041 
6.500%, due 07/01/54   190,267    199,970 
6.500%, due 11/01/54   180,066    189,266 
6.500%, due 06/01/55   33,927    36,066 
6.500%, due 07/01/55   29,757    31,647 
6.500%, due 08/01/55   563,414    593,841 
6.500%, due 09/01/55   204,156    214,973 
1 yr. CMT + 2.625%,        
6.500%, due 01/01/301   8,839    8,955 
1 yr. USD RFUCCT + 1.854%,          
6.523%, due 11/01/411   307,840    319,921 
1 yr. CMT + 2.282%,          
6.532%, due 06/01/281   2,481    2,477 
1 yr. CMT + 2.282%,          
6.532%, due 07/01/281   1,677    1,681 
1 yr. CMT + 2.665%,          
6.665%, due 10/01/271   796    798 
Federal National Mortgage Association          
1.500%, due 08/01/51   393,288    302,522 
2.000%, due 05/01/28   28,198    27,551 
2.000%, due 09/01/31   40,984    39,039 
2.000%, due 11/01/31   120,240    114,454 
2.000%, due 01/01/32   23,674    22,592 
2.500%, due 06/01/28   14,947    14,705 
2.500%, due 07/01/28   158,745    155,849 
2.500%, due 08/01/28   58,304    57,254 
2.500%, due 09/01/30   6,074    5,904 
2.500%, due 11/01/30   9,603    9,323 
2.500%, due 01/01/33   123,884    118,153 
2.500%, due 11/01/50   357,116    299,757 
2.500%, due 01/01/51   980,025    822,542 
2.500%, due 02/01/51   435,178    368,653 
2.500%, due 04/01/51   1,249,324    1,056,451 
2.500%, due 09/01/51   1,007,080    859,616 
2.500%, due 01/01/52   1,403,050    1,188,161 
2.500%, due 03/01/52   620,389    526,958 
2.500%, due 04/01/52   1,133,235    962,242 
3.000%, due 10/01/26   1,343    1,335 
3.000%, due 11/01/26   27,788    27,638 
3.000%, due 12/01/26   2,927    2,910 
3.000%, due 01/01/27   34,329    34,108 
3.000%, due 02/01/27   7,898    7,843 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments April 30, 2026 (unaudited)

  

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
3.000%, due 05/01/28  $16,203   $16,006 
3.000%, due 02/01/30   25,740    25,279 
3.000%, due 04/01/30   13,778    13,509 
3.000%, due 05/01/30   17,359    17,023 
3.000%, due 10/01/30   5,676    5,545 
3.000%, due 04/01/31   342,501    335,809 
3.000%, due 02/01/32   52,820    51,358 
3.000%, due 03/01/32   51,186    49,752 
3.000%, due 04/01/32   253,653    246,479 
3.000%, due 05/01/32   75,839    73,671 
3.000%, due 07/01/32   152,756    148,247 
3.000%, due 08/01/32   67,103    65,097 
3.000%, due 11/01/32   135,757    131,568 
3.000%, due 01/01/38   204,177    191,745 
3.000%, due 04/01/38   191,495    179,901 
3.000%, due 05/01/42   143,929    132,039 
3.000%, due 06/01/42   145,570    133,544 
3.000%, due 07/01/42   292,411    268,256 
3.000%, due 01/01/43   734,945    673,315 
3.000%, due 04/01/43   238,130    217,174 
3.000%, due 05/01/43   245,327    223,738 
3.000%, due 06/01/43   32,574    29,707 
3.000%, due 09/01/43   23,043    21,015 
3.000%, due 11/01/46   912,875    832,261 
3.000%, due 12/01/46   2,177,532    1,961,866 
3.000%, due 02/01/47   169,979    155,021 
3.000%, due 09/01/49   681,500    597,758 
3.000%, due 11/01/49   178,859    160,079 
3.000%, due 02/01/50   1,337,754    1,173,372 
3.000%, due 03/01/50   2,910,471    2,590,180 
3.000%, due 07/01/50   488,323    429,939 
3.000%, due 12/01/50   391,625    344,575 
3.000%, due 02/01/51   1,658,737    1,453,269 
3.000%, due 04/01/51   2,849,596    2,498,214 
3.000%, due 05/01/51   2,974,244    2,605,824 
3.000%, due 08/01/51   352,802    309,054 
3.000%, due 10/01/51   142,308    124,680 
3.000%, due 12/01/51   353,871    310,037 
3.000%, due 02/01/52   108,776    96,433 
3.000%, due 04/01/52   706,405    620,412 
3.000%, due 07/01/52   373,544    328,621 
3.000%, due 02/01/57   476,538    411,513 
3.000%, due 05/01/58   491,164    422,580 
3.500%, due 08/01/26   1,137    1,133 
3.500%, due 06/01/28   23,995    23,776 
3.500%, due 08/01/29   6,428    6,361 
3.500%, due 09/01/32   23,796    23,668 
3.500%, due 11/01/33   31,924    31,177 
3.500%, due 02/01/34   41,772    40,820 
3.500%, due 01/01/35   85,515    82,997 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
3.500%, due 02/01/35  $82,649   $80,236 
3.500%, due 04/01/35   74,241    72,021 
3.500%, due 05/01/35   428,165    418,024 
3.500%, due 03/01/42   132,348    124,827 
3.500%, due 04/01/42   9,411    8,857 
3.500%, due 07/01/42   232    219 
3.500%, due 09/01/42   47,998    45,270 
3.500%, due 12/01/42   528,156    498,485 
3.500%, due 03/01/43   345,652    325,225 
3.500%, due 05/01/43   1,472    1,385 
3.500%, due 07/01/43   1,955,616    1,840,510 
3.500%, due 08/01/43   4,655,050    4,381,270 
3.500%, due 01/01/44   63,184    59,593 
3.500%, due 06/01/45   1,083,595    1,006,244 
3.500%, due 08/01/45   17,746    16,479 
3.500%, due 10/01/45   6,042    5,634 
3.500%, due 09/01/46   432,590    403,077 
3.500%, due 02/01/47   1,190,790    1,120,057 
3.500%, due 08/01/47   119,158    110,433 
3.500%, due 09/01/47   161,673    150,144 
3.500%, due 11/01/47   217,971    201,908 
3.500%, due 12/01/47   199,684    185,061 
3.500%, due 02/01/48   184,072    169,121 
3.500%, due 03/01/48   715,299    657,563 
3.500%, due 02/01/50   81,046    74,234 
3.500%, due 03/01/50   3,295,401    3,022,055 
3.500%, due 04/01/50   284,562    260,930 
3.500%, due 06/01/56   591,055    535,204 
3.500%, due 01/01/57   560,047    507,126 
3.500%, due 01/01/59   793,793    714,003 
4.000%, due 08/01/32   569    563 
4.000%, due 06/01/33   22,933    22,685 
4.000%, due 07/01/33   94,003    92,743 
4.000%, due 08/01/33   472,055    467,755 
4.000%, due 07/01/34   283,195    278,968 
4.000%, due 07/01/35   457,089    450,936 
4.000%, due 04/01/37   412,858    404,909 
4.000%, due 03/01/38   296,227    290,754 
4.000%, due 07/01/38   364,885    356,502 
4.000%, due 08/01/38   168,649    164,895 
4.000%, due 09/01/38   203,310    198,646 
4.000%, due 05/01/39   34,962    33,866 
4.000%, due 09/01/39   94,334    91,384 
4.000%, due 09/01/40   690,987    669,468 
4.000%, due 12/01/40   524,953    509,161 
4.000%, due 11/01/41   211,212    204,856 
4.000%, due 12/01/41   264,624    256,660 
4.000%, due 07/01/42   1,258,641    1,220,986 
4.000%, due 09/01/42   1,714,094    1,662,487 
4.000%, due 10/01/42   1,505,102    1,459,788 

  

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)
4.000%, due 04/01/43  $454,857   $438,911 
4.000%, due 08/01/44   69,810    67,752 
4.000%, due 12/01/44   2,436    2,340 
4.000%, due 06/01/45   8,711    8,337 
4.000%, due 08/01/45   553,374    529,597 
4.000%, due 02/01/47   62,624    59,815 
4.000%, due 03/01/47   23,741    22,588 
4.000%, due 04/01/47   92,145    87,751 
4.000%, due 05/01/47   155,375    147,945 
4.000%, due 06/01/47   4,390    4,185 
4.000%, due 11/01/47   19,631    18,675 
4.000%, due 01/01/48   72,063    68,552 
4.000%, due 02/01/48   170,073    160,975 
4.000%, due 03/01/48   78,934    74,782 
4.000%, due 12/01/48   158,591    149,983 
4.000%, due 06/01/49   571,130    543,607 
4.000%, due 08/01/51   548,607    529,374 
4.300%, due 12/01/32   3,300,000    3,265,353 
4.490%, due 04/01/33   300,000    299,959 
4.500%, due 06/01/29   4,261    4,241 
4.500%, due 11/01/32   200,000    199,879 
4.500%, due 06/01/35   10,798    10,742 
4.500%, due 12/01/38   101,973    101,611 
4.500%, due 01/01/39   447    444 
4.500%, due 02/01/39   39,606    39,432 
4.500%, due 03/01/39   2,336    2,320 
4.500%, due 06/01/39   16,409    16,290 
4.500%, due 07/01/39   1,357    1,347 
4.500%, due 08/01/39   46,730    46,299 
4.500%, due 10/01/39   1,322    1,312 
4.500%, due 12/01/39   97,522    96,815 
4.500%, due 01/01/40   1,009    1,002 
4.500%, due 02/01/40   1,022    1,014 
4.500%, due 03/01/40   23,461    23,273 
4.500%, due 08/01/40   17,632    17,492 
4.500%, due 11/01/40   189,107    187,597 
4.500%, due 07/01/41   126,029    124,903 
4.500%, due 08/01/41   219,022    217,068 
4.500%, due 01/01/42   611,508    606,628 
4.500%, due 08/01/42   1,764    1,749 
4.500%, due 09/01/42   69,952    68,736 
4.500%, due 05/01/43   420,779    414,313 
4.500%, due 06/01/43   831,813    817,893 
4.500%, due 07/01/43   1,433,005    1,409,023 
4.500%, due 09/01/43   99,740    98,635 
4.500%, due 11/01/43   23,697    23,410 
4.500%, due 07/01/44   94,701    93,512 
4.500%, due 12/01/44   493    487 
4.500%, due 09/01/48   125,925    123,233 
4.500%, due 01/01/49   97,547    95,687 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)
4.500%, due 05/01/53  $111,975   $108,176 
4.500%, due 07/01/53   170,584    164,869 
4.500%, due 08/01/53   3,689,947    3,587,639 
4.500%, due 04/01/59   536,046    519,794 
4.700%, due 04/01/33   301,963    304,181 
5.000%, due 05/01/37   2,978    3,013 
5.000%, due 09/01/37   4,693    4,747 
5.000%, due 06/01/38   28,662    28,984 
5.000%, due 06/01/48   81,182    81,530 
5.000%, due 07/01/48   18,562    18,696 
5.000%, due 03/01/49   22,057    22,152 
5.000%, due 06/01/53   675,148    672,180 
5.000%, due 08/01/53   81,727    81,174 
1 yr. USD MTA + 1.200%,          

5.058%, due 03/01/441

   45,058    45,270 
5.500%, due 11/01/32   15,552    15,869 
5.500%, due 12/01/33   325    332 
5.500%, due 04/01/34   7,976    8,196 
5.500%, due 01/01/35   49,529    50,893 
5.500%, due 05/01/37   45,946    47,359 
5.500%, due 07/01/37   26,635    27,454 
5.500%, due 06/01/38   42,294    43,686 
5.500%, due 11/01/39   99,786    103,082 
5.500%, due 07/01/40   115,336    119,134 
5.500%, due 02/01/42   64,826    66,823 
5.500%, due 08/01/53   323,348    328,185 
5.610%, due 10/01/28   658,629    673,952 
1 yr. CMT + 2.102%,          
5.787%, due 09/01/411   49,153    50,040 
5.810%, due 06/01/31   1,700,000    1,743,480 
1 yr. USD RFUCCT + 1.790%,          

5.915%, due 02/01/421

   31,616    32,349 
6.000%, due 12/01/32   2,372    2,443 
6.000%, due 02/01/33   4,380    4,511 
6.000%, due 09/01/34   34,464    35,754 
6.000%, due 05/01/35   6,029    6,279 
6.000%, due 06/01/35   3,197    3,329 
6.000%, due 07/01/35   12,878    13,409 
6.000%, due 09/01/35   400    417 
6.000%, due 01/01/36   6,929    7,216 
6.000%, due 06/01/36   54    57 
6.000%, due 09/01/36   11,954    12,488 
6.000%, due 12/01/36   33,740    35,246 
6.000%, due 03/01/37   2,558    2,680 
6.000%, due 10/01/37   13,824    14,486 
6.000%, due 11/01/38   103,119    108,065 
6.000%, due 05/01/39   12,404    12,999 
6.000%, due 11/01/40   134,176    140,609 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
6.000%, due 05/01/49  $249,770   $259,654 
6.000%, due 01/01/53   320,194    328,244 
6.000%, due 12/01/54   692,915    706,896 
1 yr. CMT + 2.106%,          
6.001%, due 05/01/301   6,888    6,930 
1 yr. CMT + 2.285%,          
6.075%, due 05/01/351   46,654    47,662 
1 yr. CMT + 2.236%,          
6.182%, due 10/01/371   447,798    461,462 
1 yr. CMT + 2.244%,          
6.188%, due 01/01/361   90,849    93,480 
1 yr. CMT + 2.598%,          
6.223%, due 12/01/271   2,685    2,699 
1 yr. USD RFUCCT + 1.728%,          

6.343%, due 05/01/381

   266,240    273,259 
6.500%, due 10/01/36   163,795    174,153 
6.500%, due 02/01/37   2,193    2,332 
6.500%, due 07/01/37   22,342    23,825 
6.500%, due 08/01/37   10,668    11,378 
6.500%, due 09/01/37   11,230    11,976 
6.500%, due 12/01/37   28,769    30,680 
6.500%, due 05/01/40   311,264    333,796 
6.500%, due 05/01/45   290,473    301,587 
6.500%, due 11/01/53   113,897    119,705 
6.500%, due 03/01/54   126,718    133,180 
6.500%, due 06/01/54   151,721    159,704 
6.500%, due 07/01/54   138,067    145,121 
6.500%, due 08/01/55   79,693    83,862 
6.500%, due 09/01/55   53,293    55,925 
Government National Mortgage Association          
2.500%, due 09/20/51   3,519,007    3,015,519 
3.000%, due 11/15/42   22,497    20,635 
3.000%, due 01/20/43   339,103    310,870 
3.000%, due 02/15/43   326,627    299,552 
3.000%, due 02/20/43   343,097    314,531 
3.000%, due 05/15/43   298,650    273,492 
3.000%, due 06/15/43   84,213    77,120 
3.000%, due 07/15/43   17,657    16,170 
3.000%, due 11/20/43   73,945    67,790 
3.000%, due 01/15/45   230,612    207,625 
3.000%, due 02/15/45   15,464    13,887 
3.000%, due 07/15/45   316,243    283,995 
3.000%, due 10/15/45   589,310    530,461 
3.000%, due 09/20/47   358,926    323,326 
3.000%, due 02/20/48   220,630    198,747 
3.000%, due 04/20/50   1,313,479    1,173,308 
3.000%, due 10/20/51   126,836    113,021 
3.000%, due 05/20/52   490,244    436,526 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
3.000%, due 02/20/53  $720,378   $642,833 
3.500%, due 11/15/42   161,187    151,143 
3.500%, due 03/15/45   94,397    86,197 
3.500%, due 04/15/45   31,542    29,127 
3.500%, due 04/20/45   2,750    2,542 
3.500%, due 11/20/45   427,743    395,456 
3.500%, due 12/20/45   167,597    154,956 
3.500%, due 04/20/46   245,538    226,731 
3.500%, due 05/20/46   328,568    303,379 
3.500%, due 04/20/47   255,493    235,681 
3.500%, due 07/20/47   1,719,078    1,585,778 
3.500%, due 08/20/47   172,201    158,847 
3.500%, due 09/20/47   67,848    62,587 
3.500%, due 10/20/47   2,398,931    2,217,983 
3.500%, due 11/20/47   227,394    209,761 
3.500%, due 12/20/47   66,424    61,273 
3.500%, due 01/20/48   1,158,677    1,068,831 
3.500%, due 02/20/48   894,798    825,409 
3.500%, due 03/20/48   1,371,068    1,264,737 
3.500%, due 09/20/48   388,203    358,124 
3.500%, due 06/20/49   1,574,783    1,453,931 
3.500%, due 01/20/52   1,986,409    1,817,532 
3.500%, due 11/20/52   98,653    90,095 
3.500%, due 02/20/53   300,610    275,989 
3.500%, due 02/20/56   6,981,676    6,306,096 
3.750%, due 05/20/30   163,217    161,518 
4.000%, due 12/20/40   91,000    86,688 
4.000%, due 07/20/41   39,156    37,708 
4.000%, due 12/15/41   551,694    532,701 
4.000%, due 01/15/47   29,206    27,812 
4.000%, due 02/15/47   138,885    132,257 
4.000%, due 04/15/47   284,742    271,035 
4.000%, due 05/15/47   48,945    46,574 
4.000%, due 06/15/47   19,064    18,164 
4.000%, due 07/15/47   38,320    36,511 
4.000%, due 08/15/47   72,030    68,629 
4.000%, due 12/15/47   13,641    12,997 
4.000%, due 12/20/47   51,441    47,674 
4.000%, due 01/20/48   132,754    123,030 
4.000%, due 03/20/48   157,371    149,108 
4.000%, due 04/20/48   314,532    298,881 
4.000%, due 05/20/48   95,271    90,584 
4.000%, due 06/20/48   121,292    113,374 
4.000%, due 07/20/48   37,855    35,141 
4.000%, due 07/15/49   15,287    14,386 
4.000%, due 03/15/52   934,594    881,306 
4.500%, due 09/15/39   153,142    151,948 
4.500%, due 06/15/40   75,386    74,739 
4.500%, due 07/20/40   13,451    13,339 
4.500%, due 08/20/40   9,621    9,540 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
4.500%, due 09/20/40  $40,709   $40,368 
4.500%, due 10/20/40   10,906    10,815 
4.500%, due 01/20/41   51,673    51,241 
4.500%, due 02/20/41   12,778    12,671 
4.500%, due 03/20/41   76,974    76,328 
4.500%, due 04/20/41   10,109    10,024 
4.500%, due 06/20/41   89,888    89,136 
4.500%, due 07/20/41   23,058    22,865 
4.500%, due 09/20/41   2,303    2,284 
4.500%, due 12/20/41   20,798    20,624 
4.500%, due 05/20/43   4,688    4,649 
4.500%, due 07/20/43   3,196    3,169 
4.500%, due 10/20/44   50,495    49,767 
4.500%, due 08/20/45   55,990    55,355 
4.500%, due 12/15/45   5,802    5,718 
4.500%, due 08/15/46   7,398    7,200 
4.500%, due 09/15/46   36,832    36,186 
4.500%, due 10/15/46   83,529    82,056 
4.500%, due 01/15/47   190,174    185,096 
4.500%, due 04/20/48   15,536    15,259 
4.500%, due 05/20/48   44,471    43,678 
4.500%, due 06/20/48   110,226    108,114 
4.500%, due 10/20/48   158,503    154,010 
4.500%, due 01/20/49   106,195    104,159 
4.500%, due 02/20/49   183,295    179,782 
5.000%, due 12/20/33   43,079    43,710 
5.000%, due 01/20/34   22,472    22,801 
5.000%, due 02/20/38   34,803    35,309 
5.000%, due 04/15/38   24,083    24,316 
5.000%, due 04/20/38   41,711    42,325 
5.000%, due 12/15/39   2,527    2,562 
5.000%, due 05/15/40   61,360    62,265 
5.000%, due 05/15/41   28,140    28,563 
5.000%, due 08/20/41   5,673    5,760 
5.000%, due 12/20/42   7,455    7,564 
5.000%, due 08/20/43   650,807    660,325 
5.000%, due 09/20/48   60,082    60,707 
5.000%, due 10/20/48   123,643    125,016 
5.000%, due 11/20/48   148,159    149,295 
5.000%, due 12/20/48   137,185    138,422 
1 yr. CMT + 1.500%,          
5.125%, due 10/20/301   2,166    2,172 
1 yr. CMT + 1.500%,          
5.375%, due 08/20/261   271    271 
1 yr. CMT + 1.500%,          
5.375%, due 09/20/261   44    44 
1 yr. CMT + 1.500%,          
5.375%, due 07/20/271   397    397 
1 yr. CMT + 1.500%,          
5.375%, due 08/20/271   1,808    1,808 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)          
1 yr. CMT + 1.500%,          
5.375%, due 07/20/301  $9,423   $9,466 
1 yr. CMT + 1.500%,          
5.375%, due 08/20/301   7,422    7,449 
5.500%, due 08/15/35   6,496    6,680 
5.500%, due 02/15/38   566    583 
5.500%, due 04/15/38   56,806    58,673 
5.500%, due 05/15/38   63,609    65,702 
5.500%, due 06/15/38   40,423    41,770 
5.500%, due 10/15/38   165,394    170,777 
5.500%, due 11/15/38   8,047    8,316 
5.500%, due 12/15/38   1,936    1,998 
5.500%, due 03/15/39   24,458    24,761 
5.500%, due 05/15/39   15,522    16,028 
5.500%, due 09/15/39   79,313    81,912 
5.500%, due 01/15/40   3,217    3,305 
5.500%, due 03/15/40   98,251    101,488 
5.500%, due 09/20/48   11,243    11,464 
1 yr. CMT + 1.500%,          
5.625%, due 06/20/261   80    80 
1 yr. CMT + 1.500%,          
5.625%, due 01/20/271   4,723    4,712 
1 yr. CMT + 1.500%,          
5.625%, due 02/20/271   413    412 
1 yr. CMT + 1.500%,          
5.625%, due 04/20/271   1,065    1,065 
1 yr. CMT + 1.500%,          
5.625%, due 01/20/281   945    943 
1 yr. CMT + 1.500%,          
5.625%, due 02/20/281   111    111 
1 yr. CMT + 1.500%,          
5.625%, due 04/20/301   1,858    1,862 
1 yr. CMT + 1.500%,          
5.625%, due 05/20/301   51,051    51,223 
6.000%, due 10/20/38   552    581 
6.500%, due 02/15/29   29    29 
6.500%, due 09/20/32   456    478 
6.500%, due 09/15/36   62,233    64,730 
6.500%, due 02/15/37   970    995 
6.500%, due 04/15/37   3,903    4,125 
6.500%, due 01/15/38   4,217    4,425 
6.500%, due 06/15/38   5,699    5,934 
6.500%, due 11/15/38   1,413    1,524 
6.500%, due 12/20/38   2,063    2,201 
6.500%, due 08/20/54   462,908    483,662 
9.000%, due 01/20/27   989    989 
9.000%, due 09/20/30   517    522 
9.000%, due 10/20/30   1,481    1,513 
Government National Mortgage Association, TBA          
2.000%   10,000,000    8,230,540 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
U.S. government agency obligations—(continued)
2.500%  $4,400,000   $3,767,403 
4.000%   250,000    232,992 
4.500%   11,360,000    10,946,685 
5.000%   6,000,000    5,948,778 
5.500%   2,500,000    2,517,300 
6.500%   3,500,000    3,658,025 
Uniform Mortgage-Backed Security, TBA          
1.500%   3,824,000    3,035,543 
2.000%   26,350,000    21,252,671 
2.500%   8,850,000    7,408,689 
3.000%   1,345,000    1,280,476 
3.500%   1,500,000    1,439,994 
4.000%   4,500,000    4,218,079 
5.000%   4,100,000    4,086,893 
5.500%   16,100,000    16,228,633 
6.000%   43,000,000    43,906,790 
6.500%   7,500,000    7,767,900 

Total U.S. government agency obligations
(cost—$317,823,035)

        306,061,179 
           
   Number of
shares
     
Short-term investments—1.5%
Investment companies—1.3%

State Street Institutional U.S. Government Money Market Fund, 3.596%6
(cost—$2,059,432)

   2,059,432    2,059,432 

 

   Face
amount
     
Short-term U.S. Treasury obligations—0.2%          
U.S. Treasury Bills          
3.678% due 07/23/266   200,000    198,342 
3.681% due 06/30/266,7   208,000    206,753 
3.687% due 07/21/266   3,000    2,976 

Total short-term U.S. Treasury obligations
(cost—$408,071)

        408,071 
Total Short-term investments
(cost—$2,467,503)
        2,467,503 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Options Purchased—0.0%†
Put options—0.0%†
Uniform Mortgage-Backed Security, TBA strike @ 96.590, expires 05/06/26 (Counterparty: GS)   3,500,000   USD 338,064,453   $12,435 
Uniform Mortgage-Backed Security, TBA strike @ 99.094, expires 05/06/26 (Counterparty: CITI)   1,000,000   USD 99,093,750    1 
Uniform Mortgage-Backed Security, TBA strike @ 99.098, expires 05/06/26 (Counterparty: GS)   5,000,000   USD 495,488,281    4 
Uniform Mortgage-Backed Security, TBA strike @ 95.469, expires 06/04/26 (Counterparty: JPMCB)   1,000,000   USD 95,468,750    2,925 
Total Put options             15,365 
                
Call options—0.0%†
Uniform Mortgage-Backed Security, TBA strike @ 98.469, expires 06/04/26 (Counterparty: JPMCB)   1,000,000   USD 98,468,750    422 
Total Options Purchased
(cost—$14,688)
             15,787 
                
Swaptions Purchased—0.7%
Call swaptions—0.4%
7 Year Interest Rate Swap strike @ 3.313, expires 06/08/26 (Counterparty: MSCI; pay floating rate); underlying swap terminates 06/10/33   2,000,000   USD2,000,000    778 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Swaptions Purchased—(continued)
Call swaptions—(continued)
10 Year Interest Rate Swap strike @ 4.098, expires 02/06/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 02/08/45   400,000   USD 400,000   $19,500 
10 Year Interest Rate Swap strike @ 4.400, expires 06/25/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 06/27/45   2,000,000   USD2,000,000    113,777 
10 Year Interest Rate Swap strike @ 4.559, expires 07/09/35 (Counterparty: DB; pay floating rate); underlying swap terminates 07/11/45   1,800,000   USD1,800,000    110,802 
10 Year Interest Rate Swap strike @ 4.640, expires 07/23/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 07/25/45   1,800,000   USD1,800,000    115,281 
10 Year Interest Rate Swap strike @ 4.460, expires 08/06/35 (Counterparty: DB; pay floating rate); underlying swap terminates 08/08/45   1,200,000   USD1,200,000    70,316 
10 Year Interest Rate Swap strike @ 4.427, expires 08/06/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 08/08/45   800,000   USD800,000    46,111 
10 Year Interest Rate Swap strike @ 4.485, expires 08/07/35 (Counterparty: MSCI; pay floating rate); underlying swap terminates 08/09/45   800,000   USD800,000    47,466 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Swaptions Purchased—(continued)
Call swaptions—(continued)
10 Year Interest Rate Swap strike @ 4.693, expires 08/27/35 (Counterparty: JPMCB; pay floating rate); underlying swap terminates 08/29/45   800,000   USD 800,000   $52,535 
10 Year Interest Rate Swap strike @ 4.693, expires 08/27/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 08/29/45   600,000   USD600,000    39,402 
7 Year Interest Rate Swap strike @ 3.135, expires 09/14/26 (Counterparty: DB; pay floating rate); underlying swap terminates 09/16/33   1,400,000   USD1,400,000    2,471 
7 Year Interest Rate Swap strike @ 3.150, expires 06/08/26 (Counterparty: MSCI; pay floating rate); underlying swap terminates 06/10/33   2,000,000   USD2,000,000    334 
7 Year Interest Rate Swap strike @ 3.480, expires 07/14/26 (Counterparty: BOA; pay floating rate); underlying swap terminates 07/16/33   3,700,000   USD3,700,000    8,789 
7 Year Interest Rate Swap strike @ 2.750, expires 05/05/26 (Counterparty: JPMCB; pay floating rate); underlying swap terminates 05/07/33   2,500,000   USD2,500,000    0 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Swaptions Purchased—(continued)
Call swaptions—(continued)
7 Year Interest Rate Swap strike @ 3.224, expires 05/18/26 (Counterparty: BB; pay floating rate); underlying swap terminates 05/20/33   1,300,000   USD1,300,000   $55 
Total call swaptions             627,617 
                
Put swaptions—0.3%
7 Year Interest Rate Swap strike @ 4.313, expires 06/08/26 (Counterparty: MSCI; pay floating rate); underlying swap terminates 06/10/33   2,000,000   USD2,000,000    830 
10 Year Interest Rate Swap strike @ 4.098, expires 02/06/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 02/08/45   400,000   USD400,000    32,027 
10 Year Interest Rate Swap strike @ 4.400, expires 06/25/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 06/27/45   1,000,000   USD1,000,000    71,465 
10 Year Interest Rate Swap strike @ 4.559, expires 07/09/35 (Counterparty: DB; pay floating rate); underlying swap terminates 07/11/45   900,000   USD900,000    60,619 
10 Year Interest Rate Swap strike @ 4.640, expires 07/23/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 07/25/45   900,000   USD900,000    58,844 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Swaptions Purchased—(continued)
Put swaptions—(continued)
10 Year Interest Rate Swap strike @ 4.460, expires 08/06/35 (Counterparty: DB; pay floating rate); underlying swap terminates 08/08/45   1,200,000   USD1,200,000   $83,910 
10 Year Interest Rate Swap strike @ 4.427, expires 08/06/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 08/08/45   800,000   USD800,000    56,633 
10 Year Interest Rate Swap strike @ 4.485, expires 08/07/35 (Counterparty: MSCI; pay floating rate); underlying swap terminates 08/09/45   800,000   USD800,000    55,425 
10 Year Interest Rate Swap strike @ 4.693, expires 08/27/35 (Counterparty: JPMCB; pay floating rate); underlying swap terminates 08/29/45   800,000   USD800,000    51,355 
10 Year Interest Rate Swap strike @ 4.693, expires 08/27/35 (Counterparty: BOA; pay floating rate); underlying swap terminates 08/29/45   600,000   USD600,000    38,516 
7 Year Interest Rate Swap strike @ 3.635, expires 09/14/26 (Counterparty: DB; pay floating rate); underlying swap terminates 09/16/33   1,400,000   USD1,400,000    26,777 
10 Year Interest Rate Swap strike @ 4.750, expires 12/07/26 (Counterparty: MSCI; pay floating rate); underlying swap terminates 12/09/36   2,100,000   USD2,100,000    8,150 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Swaptions Purchased—(continued)
Put swaptions—(continued)
10 Year Interest Rate Swap strike @ 4.750, expires 06/11/26 (Counterparty: BOA; pay floating rate); underlying swap terminates 06/15/36   5,900,000   USD5,900,000   $694 
10 Year Interest Rate Swap strike @ 4.750, expires 06/30/26 (Counterparty: BOA; pay floating rate); underlying swap terminates 07/02/36   1,500,000   USD1,500,000    440 
7 Year Interest Rate Swap strike @ 3.900, expires 05/29/26 (Counterparty: BB; pay floating rate); underlying swap terminates 06/02/33   400,000   USD400,000    1,205 
10 Year Interest Rate Swap strike @ 4.219, expires 06/04/26 (Counterparty: JPMCB; pay floating rate); underlying swap terminates 06/08/36   1,000,000   USD1,000,000    1,391 
10 Year Interest Rate Swap strike @ 4.123, expires 06/04/26 (Counterparty: BNP; pay floating rate); underlying swap terminates 06/08/36   1,100,000   USD1,100,000    2,751 
10 Year Interest Rate Swap strike @ 4.750, expires 10/23/26 (Counterparty: BOA; pay floating rate); underlying swap terminates 10/27/36   2,100,000   USD2,100,000    5,723 
Total put swaptions             556,755 
Total Swaptions Purchased
(cost—$1,751,100)
             1,184,372 
Total investments before investments sold short—206.3%
(cost—$356,750,008)
             340,274,500 

 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(42.8)%
U.S. government agency obligations—(42.8)%          
Government National Mortgage Association, TBA          
3.000%  $(3,000,000)  $(2,668,863)
Uniform Mortgage-Backed Security, TBA          
3.000%   (26,450,000)   (23,145,231)
3.500%   (15,250,000)   (13,860,207)
4.500%   (23,125,000)   (22,228,953)
4.500%   (800,000)   (793,750)
5.000%   (1,900,000)   (1,871,977)
5.000%   (1,900,000)   (1,870,221)
6.500%   (4,000,000)   (4,146,640)

Total U.S. government agency obligations
(cost—$(70,764,590))

        (70,585,842)
Total investments sold short
(Proceeds—$(70,764,590))
        (70,585,842)
Total investments—163.5%
(cost—$285,985,418)
        269,688,658 
Liabilities in excess of other assets—(63.5)%        (104,728,884)
Net assets—100.0%       $164,959,774 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount
   Value 
Reverse Repurchase Agreement: (18.4)%          
Reverse repurchase agreement dated 04/13/26 with Wells Fargo, 3.770% to be repurchased 05/13/26 for $(21,354,837), collateralized by $4,358,225 Government Mortgage Association Obligations, 2.500% to 3.500% due 10/20/47 to 09/20/51 and $19,708,219 Federal National Mortgage Association Obligations, 3.000% to 4.500% due 09/01/42 to 08/01/53: (value -$24,066,444); (proceeds-$(21,287,957))  $(21,287,957)  $(21,287,957)
Reverse repurchase agreement dated 04/29/26 with Citigroup, Inc., 3.770% to be repurchased 05/13/26 for $(4,785,442), collateralized by $1,371,068 Government Mortgage Association Obligations, 3.500% due 03/20/48 and $3,578,422 Federal National Mortgage Association Obligations, 4.500% to 6.000% due 07/01/43 to 05/01/55: (value -$4,949,490); (proceeds-$(4,778,437))   (4,778,437)   (4,778,437)
Reverse repurchase agreement dated 04/13/26 with Deutsche Bank Securities, Inc., 3.770% to be repurchased 05/13/26 for $(950,228), $932,660 Federal National Mortgage Association Obligations, 6.000% due 09/01/55: (value -$932,660); (proceeds-$(947,252))   (947,252)   (947,252)
Reverse repurchase agreement dated 04/13/26 with Credit Agricole, Inc., 3.780% to be repurchased 05/13/26 for $(3,370,876), $4,004,403 Federal National Mortgage Association Obligations, 2.500% due 08/01/51: (value -$4,004,403); (proceeds-$(3,360,291))   (3,360,291)   (3,360,291)
Total Reverse Repurchase Agreement
(cost—$(30,373,937))
        (30,373,937)

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

Options written

 

Notional
amount
 
  Number of
contracts
 
  Call options     Counterparty     Expiration
date
 
  Premiums
received
 
    Current
Value
 
    Unrealized
appreciation
(depreciation)
 
 
USD 153,468,750     1,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 102.313   BOA   05/06/26   $ (2,695 )   $ (149 )   $ 2,546  
USD 259,218,750     2,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 103.688   GS   05/06/26     (2,539 )     (2,436 )     103  
USD 255,644,531     2,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 102.258   BOA   05/06/26     (3,711 )     (478 )     3,233  
USD 441,931,640     4,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 98.207   GS   06/04/26     (18,457 )     (2,673 )     15,784  
USD 200,562,500     2,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 100.281   MSCI   06/04/26     (4,375 )     (338 )     4,037  
USD 50,015,625     500,000   Uniform Mortgage-Backed Security, TBA, strike @ 100.031   GS   06/04/26     (820 )     (143 )     677  
USD 100,000,000     1,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 100.000   MSCI   06/04/26     (1,641 )     (304 )     1,337  
USD 96,984,375     1,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 96.984   CITI   06/04/26     (6,875 )     (2,684 )     4,191  
USD 194,750,000     2,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 97.375   GS   06/04/26     (11,562 )     (3,381 )     8,181  
USD 48,960,938     500,000   Uniform Mortgage-Backed Security, TBA, strike @ 97.922   GS   06/04/26     (1,875 )     (428 )     1,447  
USD 48,953,125     500,000   Uniform Mortgage-Backed Security, TBA, strike @ 97.906   CITI   06/04/26     (1,602 )     (437 )     1,165  
USD 394,625,000     4,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 98.656   BOA   07/06/26     (9,688 )     (3,949 )     5,739  
Total                     $ (65,840 )   $ (17,400 )   $ 48,440  

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

Notional
amount
 
  Number of
contracts
 
  Put options     Counterparty     Expiration
date
 
  Premiums
received
 
    Current
Value
 
    Unrealized
appreciation
(depreciation)
 
 
USD 153,468,750     1,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 102.313   BOA   05/06/26   $ (2,812 )   $ (2,844 )   $ (32 )
USD 140,765,625     1,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 93.844   GS   05/06/26     (7,031 )     (2,893 )     4,138  
USD 255,429,688     2,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 102.172   GS   06/04/26     (4,590 )     (6,287 )     (1,697 )
USD 203,953,125     2,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 101.977   CITI   06/04/26     (3,906 )     (3,258 )     648  
USD 194,562,500     2,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 97.281   MSCI   06/04/26     (5,625 )     (2,215 )     3,410  
USD 428,431,640     4,500,000   Uniform Mortgage-Backed Security, TBA, strike @ 95.207   GS   06/04/26     (21,094 )     (10,656 )     10,438  
USD 202,750,000     2,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 101.375   GS   06/04/26     (5,781 )     (1,030 )     4,751  
USD 96,101,563     1,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 96.102   CITI   06/04/26     (4,883 )     (368 )     4,515  
USD 188,750,000     2,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 94.375   GS   06/04/26     (13,125 )     (2,471 )     10,654  
USD 468,912,500     4,600,000   Uniform Mortgage-Backed Security, TBA, strike @ 101.938   JPMCB   06/04/26     (12,219 )     (6,885 )     5,334  
USD 92,921,875     1,000,000   Uniform Mortgage-Backed Security, TBA, strike @ 92.922   GS   06/04/26     (2,344 )     (2,782 )     (438 )
Total                     $ (83,410 )   $ (41,689 )   $ 41,721  
Total options written               $ (149,250 )   $ (59,089 )   $ 90,161  

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

Swaptions written

 

Notional
amount
(000)
 
  Number of
contracts
 
  Call Swaptions     Counterparty   Pay/
receive
floating
rate
 
  Expiration
date
 
  Premiums
received
 
    Current
value
 
    Unrealized
appreciation
(depreciation)
 
 
USD 1,100   1,100,000   10 Year Interest Rate Swap strike @ 3.450 terminating 06/09/36   MSCI   Pay   06/05/26   $ (5,500 )   $ (304 )   $ 5,196  

 

Notional
amount
(000)
 
  Number of
contracts
 
  Put Swaptions     Counterparty   Pay/
receive
floating
rate
 
  Expiration
date
 
  Premiums
received
 
    Current
value
 
    Unrealized
appreciation
(depreciation)
 
 
USD 4,000   4,000,000   7 Year Interest Rate Swap strike @ 3.780 terminating 07/16/33   BOA   Pay   07/14/26   $ (30,400 )   $ (40,026 )   $ (9,626 )
USD 1,800   1,800,000   7 Year Interest Rate Swap strike @ 3.724 terminating 05/20/33   BB   Pay   05/18/26     (5,400 )     (13,325 )     (7,925 )
USD 1,750   1,750,000   10 Year Interest Rate Swap strike @ 3.967 terminating 05/08/36   BNP   Pay   05/06/26     (2,494 )     (3,301 )     (807 )
USD 1,300   1,300,000   10 Year Interest Rate Swap strike @ 4.084 terminating 05/08/36   DB   Pay   05/06/26     (1,332 )     (287 )     1,045  
USD 500   500,000   10 Year Interest Rate Swap strike @ 4.088 terminating 05/08/36   BB   Pay   05/06/26     (650 )     (102 )     548  
Total                   $ (40,276 )   $ (57,041 )   $ (16,765 )
Total swaptions written                   $ (45,776 )   $ (57,345 )   $ (11,569 )

 

Futures contracts

 

Number of
contracts
 
    Currency     Expiration
date
 
  Current
notional
amount
 
    Value       Unrealized
appreciation
(depreciation)
 
 
U.S. Treasury futures buy contracts:
1     USD U.S. Treasury Note 5 Year Futures   June 2026   $ 109,665     $ 107,836     $ (1,829 )
164     USD U.S. Treasury Note 10 Year Futures   June 2026     18,584,712       18,137,375       (447,337 )
21     USD U.S. Treasury Note 10 Year Futures   June 2026     2,438,324       2,370,047       (68,277 )
Total               $ 21,132,701     $ 20,615,258     $ (517,443 )
U.S. Treasury futures sell contracts:
15     USD U.S. Treasury Note 2 Year Futures   June 2026   $ (3,133,517 )   $ (3,106,875 )   $ 26,642  
Total               $ (3,133,517 )   $ (3,106,875 )   $ 26,642  
Net unrealized appreciation (depreciation)                       $ (490,801 )

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

Centrally cleared interest rate swap agreements

 

Notional
amount
(000)
 
  Maturity
date
 
  Payment
frequency
 
  Payments
made by the
portfolio8
 
  Payments
received by
the portfolio8
 
    Value       Unrealized
appreciation
(depreciation)
 
 
USD 1,700   06/21/26   Annual   3.500%   1 day USD SOFR     $ 7,778     $ 7,791  
USD 5,000   12/18/26   Annual   1 day USD SOFR   3.750%       2,239       (6,757 )
USD 3,000   12/21/27   Annual   2.000   1 day USD SOFR       101,004       31,891  
USD 4,400   03/20/29   Annual   4.250   1 day USD SOFR       (70,427 )     7,836  
USD 4,200   04/10/29   Annual   1 day USD SOFR   3.940       30,236       30,236  
USD 17,500   06/15/29   Annual   1 day USD SOFR   1.750       (1,343,939 )     (755,664 )
USD 2,300   11/09/29   Annual   3.205   1 day USD SOFR       42,458       42,458  
USD 2,300   11/09/29   Annual   3.218   1 day USD SOFR       41,374       41,374  
USD 2,400   11/09/29   Annual   3.217   1 day USD SOFR       43,218       43,218  
USD 4,200   12/18/29   Annual   1 day USD SOFR   3.750       9,859       (30,494 )
USD 1,300   12/21/29   Annual   2.000   1 day USD SOFR       82,406       23,041  
USD 1,400   03/08/30   Annual   3.513   1 day USD SOFR       9,151       9,151  
USD 1,400   03/08/30   Annual   3.513   1 day USD SOFR       9,177       9,177  
USD 500   03/08/30   Annual   3.635   1 day USD SOFR       995       995  
USD 2,900   04/10/30   Annual   1 day USD SOFR   3.560       (13,967 )     (13,967 )
USD 2,900   05/08/30   Annual   1 day USD SOFR   3.560       (27,410 )     (27,410 )
USD 400   05/08/30   Annual   1 day USD SOFR   3.546       (4,040 )     (4,040 )
USD 6,400   06/21/30   Annual   3.000   1 day USD SOFR       225,371       174,838  
USD 350   07/10/30   Annual   1 day USD SOFR   3.740       (43 )     (43 )
USD 2,200   10/06/30   Annual   1 day USD SOFR   4.123       41,474       41,474  
USD 4,900   10/10/30   Annual   4.185   1 day USD SOFR       (106,711 )     (106,711 )
USD 1,300   10/10/30   Annual   1 day USD SOFR   4.145       25,897       25,897  
USD 3,000   10/10/30   Annual   1 day USD SOFR   4.135       58,369       58,369  
USD 3,200   10/10/30   Annual   1 day USD SOFR   4.118       59,660       59,660  
USD 3,900   10/10/30   Annual   1 day USD SOFR   4.155       79,501       79,501  
USD 500   10/10/30   Annual   1 day USD SOFR   4.320       14,023       14,023  
USD 3,700   11/08/30   Annual   1 day USD SOFR   4.012       51,835       51,835  
USD 4,000   11/08/30   Annual   1 day USD SOFR   4.180       87,144       87,144  
USD 1,000   11/08/30   Annual   1 day USD SOFR   4.192       22,342       22,342  
USD 7,000   12/20/30   Annual   3.500   1 day USD SOFR       67,410       62,473  
USD 2,200   12/22/30   Annual   3.550   1 day USD SOFR       15,899       15,899  
USD 4,300   01/10/31   Annual   1 day USD SOFR   3.705       (525 )     (525 )
USD 1,100   03/12/31   Annual   3.710   1 day USD SOFR       176       176  
USD 1,200   04/08/31   Annual   1 day USD SOFR   3.990       14,972       14,972  
USD 1,800   04/08/31   Annual   1 day USD SOFR   3.959       19,915       19,915  
USD 2,200   04/09/31   Annual   3.013   1 day USD SOFR       70,591       70,591  
USD 2,300   04/15/31   Annual   3.170   1 day USD SOFR       57,337       57,337  
USD 1,600   04/26/31   Annual   3.232   1 day USD SOFR       35,415       35,415  
USD 5,100   06/10/31   Annual   1 day USD SOFR   3.916       41,826       41,826  
USD 7,600   06/20/31   Annual   3.750   1 day USD SOFR       8,181       (62,471 )
USD 3,300   02/07/32   Annual   3.480   1 day USD SOFR       48,024       48,024  
USD 1,400   06/08/32   Annual   2.451   1 day USD SOFR       119,857       119,857  
USD 7,100   06/15/32   Annual   1.750   1 day USD SOFR       924,941       321,655  
USD 500   06/15/32   Annual   1.750   1 day USD SOFR       64,986       42,293  
USD 4,000   06/15/32   Annual   2.553   1 day USD SOFR       316,270       316,270  
USD 3,000   06/18/32   Annual   1 day USD SOFR   3.250       (105,303 )     (36,963 )
USD 2,300   09/16/32   Annual   2.998   1 day USD SOFR       113,986       113,986  
USD 3,400   09/17/32   Annual   3.750   1 day USD SOFR       9,196       85,860  

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

Notional
amount
(000)
 
  Maturity
date
 
  Payment
frequency
 
  Payments
made by the
portfolio8
 
  Payments
received by
the portfolio8
 
    Value       Unrealized
appreciation
(depreciation)
 
 
USD 5,500   10/06/32   Annual   3.275%   1 day USD SOFR     $ 176,209     $ 176,209  
USD 2,800   11/28/32   Annual   3.368   1 day USD SOFR       72,917       72,917  
USD 3,300   12/17/32   Annual   3.750   1 day USD SOFR       8,621       78,018  
USD 600   12/21/32   Annual   2.000   1 day USD SOFR       66,895       17,984  
USD 1,400   03/08/33   Annual   3.453   1 day USD SOFR       29,902       29,902  
USD 3,100   03/08/33   Annual   3.505   1 day USD SOFR       56,169       56,169  
USD 1,000   03/08/33   Annual   1 day USD SOFR   3.510%       (17,810 )     (17,810 )
USD 700   03/18/33   Annual   3.750   1 day USD SOFR       2,474       14,476  
USD 700   06/08/33   Annual   3.260   1 day USD SOFR       28,707       28,707  
USD 5,600   12/20/33   Annual   1 day USD SOFR   3.500       (131,786 )     933  
USD 8,500   06/20/34   Annual   3.750   1 day USD SOFR       87,678       (124,235 )
USD 1,200   12/18/34   Annual   3.750   1 day USD SOFR       12,178       48,725  
USD 2,200   03/19/35   Annual   3.250   1 day USD SOFR       108,898       (17,858 )
USD 2,400   06/18/35   Annual   3.250   1 day USD SOFR       138,008       47,323  
USD 2,600   09/17/35   Annual   3.750   1 day USD SOFR       35,761       78,993  
USD 5,500   09/17/35   Annual   3.750   1 day USD SOFR       79,419       124,495  
USD 1,000   03/18/36   Annual   4.000   1 day USD SOFR       (4,688 )     25,989  
USD 100   06/17/36   Annual   3.750   1 day USD SOFR       1,747       (181 )
Total                     $ 2,053,427     $ 1,824,511  

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description     Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
 
    Other significant
observable inputs
(Level 2)
 
    Unobservable
inputs
(Level 3)
 
    Total    
Assets                        
Asset-backed securities   $     $ 3,281,041     $ 72,447     $ 3,353,488  
Mortgage-backed securities           27,192,171             27,192,171  
U.S. government agency obligations           306,061,179             306,061,179  
Short-term investments     2,059,432                   2,059,432  
Short-term U.S. Treasury obligations           408,071             408,071  
Options purchased           15,787             15,787  
Swaptions Purchased           1,184,372             1,184,372  
Futures contracts     26,642                   26,642  
Swap agreements           3,880,076             3,880,076  
Total   $ 2,086,074     $ 342,022,697     $ 72,447     $ 344,181,218  
                                 
Liabilities                                
U.S. government agency obligations   $     $ (70,585,842 )   $     $ (70,585,842 )
Reverse Repurchase Agreement           (30,373,937 )           (30,373,937 )
Options written           (59,089 )           (59,089 )
Swaptions written           (57,345 )           (57,345 )

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments 

Portfolio of investments – April 30, 2026 (unaudited)

 

Description     Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
 
    Other significant
observable inputs
(Level 2)
 
    Unobservable
inputs
(Level 3)
 
    Total    
Futures contracts   $ (517,443 )   $     $     $ (517,443 )
Swap agreements           (1,826,649 )           (1,826,649 )
Total   $ (517,443 )   $ (102,902,862 )   $     $ (103,420,305 )

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Portfolio.

 

 

Portfolio footnotes

 

† Amount represents less than 0.05% or (0.05)%.

 

1 Floating or variable rate securities. The rates disclosed are as of April 30, 2026. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
2 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $5,999,153, represented 3.6% of the Portfolio's net assets at period end.
3 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
4 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
5 Zero coupon bond.
6 Rate shown reflects yield at April 30, 2026.
7 Security, or portion thereof, pledged as collateral for investments sold short, written options, futures and/or swap agreements.
8 Payments made or received are based on the notional amount.

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—17.4%          
Adams Outdoor Advertising LP,          
Series 2023-1, Class A2,          
6.967%, due 07/15/531  $760,000   $767,507 
Aligned Data Centers Issuer LLC,          
Series 2022-1A, Class A2,          
6.350%, due 10/15/471   2,300,000    2,300,030 
Avis Budget Rental Car Funding AESOP LLC,          
Series 2023-4A, Class A,          
5.490%, due 06/20/291   1,620,000    1,648,998 
BHG Securitization Trust,          
Series 2022-C, Class B,          
5.930%, due 10/17/351   123,137    123,239 
Series 2026-1CON, Class B,          
5.300%, due 06/17/361   780,000    777,858 
Business Jet Securities LLC,          
Series 2024-2A, Class A,          
5.364%, due 09/15/391   880,037    878,148 
Capital Automotive REIT,          
Series 2024-2A, Class A2,          
5.250%, due 05/15/541   1,106,458    1,105,190 
CARS-DB7 LP,          
Series 2023-1A, Class A2,          
6.500%, due 09/15/531   878,250    881,278 
Cogent Ipv4 LLC,          
Series 2024-1A, Class A2,          
7.924%, due 05/25/541   1,830,000    1,901,483 
College Avenue Student Loans LLC,          
Series 2021-A, Class A1,          
1 mo. USD Term SOFR + 1.214%,          
4.869%, due 07/25/511,2   31,763    31,775 
Series 2021-B, Class A2,          
1.760%, due 06/25/521   43,415    39,148 
Series 2021-C, Class A1,          
1 mo. USD Term SOFR + 1.014%,          
4.669%, due 07/26/551,2   135,130    134,277 
Series 2021-C, Class B,          
2.720%, due 07/26/551   59,845    54,878 
Series 2021-C, Class A2,          
2.320%, due 07/26/551   68,069    63,365 
Credit Acceptance Auto Loan Trust,          
Series 2026-1A, Class B,          
4.960%, due 06/16/361,3   1,740,000    1,735,140 
DataBank Issuer LLC,          
Series 2023-1A, Class A2,          
5.116%, due 02/25/531   995,000    988,375 
Edgeconnex Data Centers Issuer LLC,          
Series 2024-1, Class A2,          
6.000%, due 07/27/541   811,563    809,611 
EDvestinU Private Education Loan Issue No. 3 LLC,          
Series 2021-A, Class A,          
1.800%, due 11/25/451   33,921    31,741 
Flexential Issuer LLC,          
Series 2025-1A, Class A2,          
6.030%, due 10/25/601   940,000    934,825 
GoodLeap Sustainable Home Solutions Trust,          
Series 2021-4GS, Class A,          
1.930%, due 07/20/481   136,569    108,922 
Series 2021-5CS, Class A,          
2.310%, due 10/20/481   76,952    61,654 
Lendmark Funding Trust,          
Series 2021-1A, Class A,          
1.900%, due 11/20/311   210,000    206,202 
Series 2024-2A, Class A,          
4.470%, due 02/21/341   1,280,000    1,276,657 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
Mariner Finance Issuance Trust,          
Series 2021-AA, Class A,          
1.860%, due 03/20/361  $153,866   $151,468 
Mosaic Solar Loan Trust,          
Series 2022-1A, Class A,          
2.640%, due 01/20/531   122,971    106,813 
Navient Private Education Refi Loan Trust,          
Series 2019-D, Class A2B,          
1 mo. USD Term SOFR + 1.164%,          
4.819%, due 12/15/591,2   65,006    65,038 
Series 2020-IA, Class B,          
2.950%, due 04/15/691   100,000    86,474 
Series 2021-A, Class A,          
0.840%, due 05/15/691   29,056    26,591 
Series 2021-DA, Class A,          
U.S. (Fed) Prime Rate + -1.990%,          
4.760%, due 04/15/601,2   166,550    163,969 
Nelnet Student Loan Trust,          
Series 2021-A, Class APT2,          
1.360%, due 04/20/621   188,629    179,104 
Series 2021-BA, Class AFL,          
1 mo. USD Term SOFR + 0.894%,          
4.556%, due 04/20/621,2   268,522    269,237 
Series 2021-CA, Class AFL,          
1 mo. USD Term SOFR + 0.854%,          
4.516%, due 04/20/621,2   174,052    173,199 
New Economy Assets - Phase 1 Sponsor LLC,          
Series 2021-1, Class A1,          
1.910%, due 10/20/611   1,150,000    966,000 
OnDeck Asset Securitization Trust IV LLC,          
Series 2024-1A, Class A,          
6.270%, due 06/17/311   1,090,000    1,097,655 
OneMain Financial Issuance Trust,          
Series 2022-3A, Class A,          
5.940%, due 05/15/341   111,049    111,162 
Oxford Finance Funding Trust,          
Series 2023-1A, Class B,          
7.879%, due 02/15/311   1,467,764    1,488,200 
Palmer Square Loan Funding Ltd.,          
Series 2026-1A, Class A1,          
3 mo. USD Term SOFR + 1.000%,          
0.000%, due 07/15/341,2,3   1,215,000    1,215,027 
Prodigy Finance DAC,          
Series 2021-1A, Class A,          
1 mo. USD Term SOFR + 1.364%,          
5.019%, due 07/25/511,2   48,741    48,624 
QTS Issuer ABS II LLC,          
Series 2026-1A, Class A2,          
5.364%, due 01/05/561   560,000    551,430 
Regional Management Issuance Trust,          
Series 2021-2, Class A,          
1.900%, due 08/15/331   245,000    238,719 
Series 2025-2, Class A,          
4.590%, due 11/16/371   950,000    942,919 
Republic Finance Issuance Trust,          
Series 2024-A, Class A,          
5.910%, due 08/20/321   1,490,000    1,496,207 
Retained Vantage Data Centers Issuer LLC,          
Series 2023-1A, Class A2A,          
5.000%, due 09/15/481   1,370,000    1,363,333 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
Santander Drive Auto Receivables Trust,          
Series 2022-7, Class C,          
6.690%, due 03/17/31  $1,918,426   $1,947,996 
SLM Private Education Loan Trust,          
Series 2010-C, Class A5,          
1 mo. USD Term SOFR + 4.864%,          
8.519%, due 10/15/411,2   234,425    245,698 
SMB Private Education Loan Trust,          
Series 2018-A, Class A2B,          
1 mo. USD Term SOFR + 0.914%,          
4.569%, due 02/15/361,2   37,555    37,543 
Series 2018-C, Class A2B,          
1 mo. USD Term SOFR + 0.864%,          
4.519%, due 11/15/351,2   64,792    64,756 
Series 2021-A, Class A2A1,          
1 mo. USD Term SOFR + 0.844%,          
4.517%, due 01/15/531,2   274,084    271,525 
Series 2021-A, Class B,          
2.310%, due 01/15/531   28,118    27,452 
Series 2021-C, Class APT1,          
1.390%, due 01/15/531   87,431    80,055 
SoFi Professional Loan Program LLC,          
Series 2020-C, Class AFX,          
1.950%, due 02/15/461   45,103    42,427 
Stack Infrastructure Issuer LLC,          
Series 2026-1A, Class A2,          
5.000%, due 03/27/561   1,060,000    1,023,280 
Store Master Funding I-VII XIV XIX XX,          
Series 2021-1A, Class A1,          
2.120%, due 06/20/511   995,350    935,225 
Willis Engine Structured Trust VII,          
Series 2023-A, Class A,          
8.000%, due 10/15/481   144,131    146,688 
Zayo Issuer LLC,          
Series 2025-1A, Class A2,          
5.648%, due 03/20/551   790,000    796,968 
Total asset-backed securities
(cost—$32,812,685)
        33,221,083 
           
Corporate bonds—45.3%          
Airlines—0.2%          
Air Canada Pass-Through Trust          
Series 2017-1, Class AA,          
3.300%, due 01/15/301   34,496    32,906 
American Airlines Pass-Through Trust          
Series 2016-3, Class AA,          
3.000%, due 10/15/28   70,813    68,474 
Series AA, Class AA,          
3.575%, due 01/15/28   38,374    37,772 
Series AA, Class AA,          
3.650%, due 02/15/29   23,268    22,699 
Delta Air Lines Pass-Through Trust          
Series AA, Class AA,          
2.000%, due 06/10/28   43,624    42,068 
United Airlines Pass-Through Trust          
Series AA, Class AA,          
2.700%, due 05/01/32   36,568    33,556 
Series 2015-1, Class AA,          
3.450%, due 12/01/27   25,410    24,937 
Series AA, Class AA,          
3.500%, due 03/01/30   12,418    12,043 
Series AA, Class AA,          
4.150%, due 08/25/31   45,850    44,775 
         319,230 
Apparel—0.3%          
William Carter Co.          
7.375%, due 02/15/311   475,000    488,281 
           
Auto manufacturers—0.5%          
Hyundai Capital America          
4.250%, due 09/18/281   675,000    669,138 
5.000%, due 04/07/311   260,000    260,688 
         929,826 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)          
Banks—12.0%          
ASB Bank Ltd.          
(fixed, converts to FRN on 06/17/27),          
5.284%, due 06/17/321,2  $1,500,000   $1,507,008 
5.398%, due 11/29/271   1,260,000    1,281,973 
Bank of America Corp.          
(fixed, converts to FRN on 01/20/27),          
3.824%, due 01/20/282   840,000    836,759 
Series RR,          
(fixed, converts to FRN on 01/27/27),          
4.375%, due 01/27/272,4   1,150,000    1,139,441 
Bank of New York Mellon Corp.          
(fixed, converts to FRN on 02/07/27),          
3.442%, due 02/07/282   1,400,000    1,391,831 
Bank of New Zealand          
4.846%, due 02/07/281   1,075,000    1,084,935 
BNP Paribas SA          
(fixed, converts to FRN on 05/09/30),          
5.085%, due 05/09/311,2   600,000    605,531 
Fifth Third Bank NA          
(fixed, converts to FRN on 08/25/32),          
5.332%, due 08/25/332   1,280,000    1,285,396 
HSBC Holdings PLC          
(fixed, converts to FRN on 06/04/30),          
2.848%, due 06/04/312   1,800,000    1,667,207 
(fixed, converts to FRN on 11/03/27),          
7.390%, due 11/03/282   905,000    941,675 
Huntington Bancshares, Inc.          
(fixed, converts to FRN on 08/04/27),          
4.443%, due 08/04/282   647,000    646,234 
JPMorgan Chase & Co.          
(fixed, converts to FRN on 02/01/27),          
3.782%, due 02/01/282   793,000    789,533 
Keybank National Association          
Series BKNT,          
5.850%, due 11/15/27   1,080,000    1,100,658 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Lloyds Banking Group PLC          
(fixed, converts to FRN on 03/18/27),          
3.750%, due 03/18/282  $1,420,000   $1,411,696 
(fixed, converts to FRN on 11/15/32),          
7.953%, due 11/15/332   610,000    695,826 
NatWest Group PLC          
1 day USD SOFR + 1.300%,          
4.965%, due 11/15/282   940,000    948,039 
PNC Financial Services Group, Inc.          
Series T,          
(fixed, converts to FRN on 09/15/26),          
3.400%, due 09/15/262,4   775,000    765,409 
Santander Holdings USA, Inc.          
(fixed, converts to FRN on 03/09/28),          
6.499%, due 03/09/292   755,000    778,517 
Skandinaviska Enskilda Banken AB          
5.375%, due 03/05/291   680,000    696,256 
State Street Corp.          
(fixed, converts to FRN on 11/04/27),          
5.820%, due 11/04/282   555,000    567,105 
Truist Financial Corp.          
(fixed, converts to FRN on 06/06/27),          
4.123%, due 06/06/282   1,370,000    1,365,010 
Wells Fargo & Co.          
(fixed, converts to FRN on 03/02/32),          
3.350%, due 03/02/332   1,525,000    1,403,968 
         22,910,007 
Chemicals—0.5%          
Olin Corp.          
6.625%, due 04/01/331   885,000    876,723 
           
Commercial services—0.3%          
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.          
8.250%, due 01/15/301   625,000    641,725 
           
Diversified financial services—2.6%          
Capital One Financial Corp.          
(fixed, converts to FRN on 05/10/27),          
4.927%, due 05/10/282   1,400,000    1,406,124 
(fixed, converts to FRN on 05/10/32),          
5.268%, due 05/10/332   164,000    164,426 
Compeer Financial ACA          
Series QIB,          
(fixed, converts to FRN on 02/15/31),          
7.875%, due 02/15/311,2,4   810,000    822,150 
Oxford Finance LLC/Oxford Finance Co-Issuer II, Inc.          
6.375%, due 02/01/271   1,250,000    1,249,703 
7.750%, due 05/15/311,3   610,000    606,949 
Stonebriar ABF Issuer LLC          
8.125%, due 12/15/301   730,000    766,822 
         5,016,174 
Electric—2.2%          
Alexander Funding Trust II          
7.467%, due 07/31/281   1,145,000    1,205,059 
Atlantica Sustainable Infrastructure Ltd.          
4.125%, due 06/15/281   1,110,000    1,084,185 
MidAmerican Energy Co.          
3.650%, due 04/15/29   204,000    200,364 
Southern California Edison Co.          
5.950%, due 11/01/32   585,000    611,303 
XPLR Infrastructure Operating Partners LP          
8.625%, due 03/15/331   1,020,000    1,093,048 
         4,193,959 
Energy-Alternate Sources—0.8%          
XPLR Infrastructure LP          
2.500%, due 06/15/261,5   1,490,000    1,483,045 
           
Food—0.8%          
Mars, Inc.          
5.000%, due 03/01/321   795,000    806,490 
Nestle Capital Corp.,          
4.200%, due 03/18/311,5   745,000    738,360 
         1,544,850 

  

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)          
Gas—0.7%          
Southern California Gas Co.          
5.050%, due 09/01/34  $850,000   $851,929 
5.450%, due 06/15/35   530,000    542,792 
         1,394,721 
Healthcare-services—0.8%          
Centene Corp.          
3.000%, due 10/15/30   1,095,000    984,479 
Sutter Health          
Series 2025,          
5.213%, due 08/15/32   580,000    593,202 
         1,577,681 
Insurance—9.9%          
Aegon Ltd.          
(fixed, converts to FRN  on 04/11/28),          
5.500%, due 04/11/482   870,000    870,846 
American National Global Funding          
4.625%, due 12/15/281   550,000    546,389 
5.250%, due 06/03/301   685,000    685,693 
5.550%, due 01/28/301   565,000    573,330 
Ascot Group Ltd.          
(fixed, converts to FRN  on 06/15/30),          
6.349%, due  06/15/351,2   465,000    474,108 
Athene Global Funding          
4.721%, due 10/08/291   675,000    665,612 
5.033%, due 07/17/301   1,025,000    1,015,108 
Bowhead Specialty  Holdings, Inc.          
7.750%, due 12/01/30   465,000    459,379 
Corebridge Financial, Inc.          
(fixed, converts to FRN  on 12/15/27),          
6.875%, due 12/15/522   1,280,000    1,299,208 
DaVinciRe Holdings Ltd.          
5.950%, due 04/15/351   425,000    429,408 
Enstar Finance LLC          
(fixed, converts to FRN  on 01/15/27),          
5.500%, due 01/15/422   1,655,000    1,623,725 
Enstar Group Ltd.          
(fixed, converts to FRN  on 04/01/35),          
7.500%, due  04/01/451,2   600,000    621,136 
F&G Annuities & Life,  Inc.          
7.400%, due 01/13/28   2,110,000    2,151,902 
Fidelis Insurance  Holdings Ltd.          
(fixed, converts to FRN  on 06/15/35),          
7.750%, due 06/15/552   645,000    680,901 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)          
Insurance—(continued)          
Global Atlantic Fin Co.          
(fixed, converts to FRN  on 10/15/26),          
4.700%, due  10/15/511,2  $340,000   $333,229 
(fixed, converts to FRN  on 10/15/29),          
7.950%, due  10/15/541,2   395,000    396,118 
Metropolitan Life Global  Funding I          
4.300%, due 08/25/291   845,000    840,241 
Muenchener  Rueckversicherungs-Gesellschaft AG in Muenchen          
(fixed, converts to FRN  on 05/23/32),          
5.875%, due  05/23/421,2   800,000    820,289 
SiriusPoint Ltd.          
7.000%, due 04/05/29   795,000    832,890 
Stewart Information  Services Corp.          
3.600%, due 11/15/31   1,030,000    917,168 
Swiss Re Finance  Luxembourg SA          
(fixed, converts to FRN  on 04/02/29),          
5.000%, due  04/02/491,2   2,600,000    2,585,474 
         18,822,154 
Internet—1.2%          
Alphabet, Inc.          
4.400%, due 02/15/33   495,000    487,373 
Amazon.com, Inc.          
4.550%, due 03/13/33   450,000    444,522 
Beignet Investor LLC          
6.581%, due 05/30/491   940,000    970,777 
Meta Platforms, Inc.          
4.600%, due 11/15/32   400,000    395,191 
         2,297,863 
Investment companies—5.0%          
BlackRock TCP Capital  Corp.,          
6.950%, due 05/30/295   440,000    435,045 
Blackstone Private Credit Fund          
3.250%, due 03/15/27   209,000    205,585 
7.300%, due 11/27/28   1,525,000    1,575,485 
Blue Owl Credit Income  Corp.          
7.750%, due 09/16/27   710,000    722,978 
Blue Owl Technology Finance Corp.          
6.100%, due 03/15/28   395,000    393,368 
6.125%, due 01/23/31   505,000    486,231 
Drawbridge Special  Opportunities  Fund LP/Drawbridge  Special Opportunities  Finance          
5.950%, due 09/17/301   640,000    606,387 
Franklin BSP Capital  Corp.          
6.000%, due 10/02/301   425,000    407,438 
HA Sustainable Infrastructure Capital, Inc.          
6.375%, due 07/01/34   1,085,000    1,111,171 
6.750%, due 07/15/35   990,000    1,035,203 
HAT Holdings I  LLC/HAT Holdings  II LLC          
3.375%, due 06/15/261   1,515,000    1,511,862 
Oaktree Strategic Credit  Fund          
6.500%, due 07/23/29   1,060,000    1,070,534 
         9,561,287 
Media—0.1%          
Nexstar Media, Inc.          
6.500%, due 09/15/331   217,000    218,670 
           
Oil & gas—0.8%          
Sunoco LP          
5.375%, due 07/15/311   525,000    522,541 
7.000%, due 05/01/291   915,000    944,876 
         1,467,417 
Pharmaceuticals—0.4%          
Novartis Capital Corp.          
4.600%, due 03/18/33   385,000    382,311 
Organon & Co./Organon Foreign Debt Co-Issuer  BV          
5.125%, due 04/30/311   430,000    427,268 
         809,579 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)          
Real estate investment trusts—2.2%          
Arbor Realty SR, Inc.          
Series QIB,          
8.500%, due 10/15/271  $1,790,000   $1,776,851 
SBA Tower Trust          
6.599%, due 01/15/281   2,300,000    2,336,004 
         4,112,855 
Retail—0.4%          
Macy's Retail Holdings LLC          
5.875%, due 03/15/301   277,000    276,247 
7.375%, due 08/01/331   495,000    515,601 
         791,848 
Savings & loans—0.2%          
Axos Financial, Inc.          
(fixed, converts to FRN  on 10/01/30),          
7.000%, due 10/01/352   430,000    438,600 
           
Semiconductors—0.8%          
ams-OSRAM AG          
12.250%, due 03/30/291   1,400,000    1,494,913 
           
Software—1.4%          
CoreWeave, Inc.          
9.000%, due 02/01/311   430,000    427,273 
9.250%, due 06/01/301   330,000    334,161 
Fidelity National  Information Services,  Inc.          
4.550%, due 03/10/29   430,000    428,321 
Salesforce, Inc.          
5.550%, due 03/15/36   1,400,000    1,396,133 
         2,585,888 
Telecommunications—0.9%          
Connect Finco  SARL/Connect  U.S. Finco LLC          
9.000%, due 09/15/291   1,050,000    1,107,422 
QTS Fayetteville I Dc1-2 LLC/QTS TRS  Fayetteville I DC1-2  LLC          
5.700%, due 04/15/361   640,000    622,463 
         1,729,885 
Venture capital—0.3%          
Hercules Capital, Inc.          
5.350%, due 02/10/29   545,000    537,545 
Total corporate bonds
(cost—$84,621,990)
        86,244,726 
           
Loan assignments—13.7%          
Agriculture—0.3%          
AAG U.S. GSI Bidco, Inc.          
3 mo. USD Term SOFR  + 5.000%,          
8.700%, due 10/31/312   519,750    519,750 
           
Airlines—0.9%          
American Airlines, Inc.          
3 mo. USD Term SOFR  + 2.250%,          
5.925%, due 04/20/282   173,684    172,574 
3 mo. USD Term SOFR  + 2.750%,          
6.425%, due 05/28/322   529,650    526,891 
United Airlines, Inc.          
1 mo. USD Term SOFR  + 1.750%,          
5.404%, due 02/22/312   966,334    966,943 
         1,666,408 
Chemicals—0.7%          
GEON Performance  Solutions LLC          
3 mo. USD Term SOFR  + 4.250%,          
8.211%, due 08/18/282   1,002,861    910,928 
Mativ Holdings, Inc.          
1 mo. USD Term SOFR  + 4.500%,          
8.152%, due 04/04/332   460,000    455,400 
         1,366,328 
Commercial services—1.4%          
Priority Holdings LLC          
1 mo. USD Term SOFR  + 3.750%,          
7.402%, due 08/02/322   1,028,422    997,055 
System One  Holdings LLC          
1 mo. USD Term SOFR  + 3.500%,          
7.152%, due 03/02/282   1,695,241    1,695,241 
         2,692,296 
Distribution/wholesale—0.3%          
Gloves Buyer, Inc.          
1 mo. USD Term SOFR  + 4.000%,          
7.652%, due 05/21/322   527,350    526,580 
           
Diversified financial services—0.6%          
LendingTree, Inc.          
1 mo. USD Term SOFR  + 4.250%,          
7.902%, due 08/21/302   1,207,650    1,187,518 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Loan assignments—(continued)          
Electric—0.8%          
Eastern Power LLC          
1 mo. USD Term SOFR  + 4.750%,          
8.402%, due 04/03/292  $1,425,154   $1,428,417 
           
Environmental control—0.3%          
Tidal Waste & Recycling  Holdings LLC          
3 mo. USD Term SOFR  + 2.750%,          
6.450%, due 10/24/312   615,781    616,114 
           
Health care products—1.1%          
Hologic, Inc.          
0.000%, due 04/09/296   1,010,000    999,900 
Medline Borrower LP          
1 mo. USD Term SOFR  + 1.750%,          
5.402%, due 10/23/302   1,090,361    1,094,516 
         2,094,416 
Healthcare-services—1.4%          
IQVIA, Inc.          
3 mo. USD Term SOFR  + 1.750%,          
5.450%, due 01/02/312   977,625    984,351 
MPH Acquisition  Holdings LLC          
3 mo. USD Term SOFR  + 3.750%,          
7.413%, due 12/31/302   135,397    135,126 
3 mo. USD Term SOFR  + 4.600%,          
8.263%, due 12/31/302   1,122,353    1,001,296 
Sotera Health  Holdings LLC          
1 mo. USD Term SOFR  + 2.500%,          
6.152%, due 05/30/312   581,619    583,318 
         2,704,091 
Internet—0.3%          
Eagle Broadband  Investments LLC          
3 mo. USD Term SOFR  + 3.000%,          
6.961%, due 11/12/272   518,164    500,676 
           
Machinery-diversified—0.5%          
LSF12 Helix Parent LLC          
1 mo. USD Term SOFR  + 3.500%,          
7.152%, due 02/10/332   900,969    901,086 
           
Media—1.2%          
Midcontinent  Communications          
1 mo. USD Term SOFR  + 2.500%,          
6.152%, due 08/16/312   1,053,950    1,049,344 
Nexstar Broadcasting, Inc.          
1 mo. USD Term SOFR  + 2.500%,          
6.152%, due 06/28/322   725,448    723,837 
Versant Media Group, Inc.          
3 mo. USD Term SOFR  + 3.500%,          
7.200%, due 01/30/312   530,000    530,530 
         2,303,711 
Miscellaneous manufacturers—0.2%          
CoorsTek, Inc.          
3 mo. USD Term SOFR  + 3.000%,          
6.670%, due 10/28/322   443,888    446,475 
           
Oil & gas—0.2%          
Hilcorp Energy I LP          
1 mo. USD Term SOFR  + 1.750%,          
5.411%, due 02/11/302   371,250    371,558 
           
Pharmaceuticals—0.4%          
Jazz Financing Lux SARL          
1 mo. USD Term SOFR  + 2.250%,          
5.902%, due 05/05/282   820,017    823,322 
           
Pipelines—1.4%          
Rockpoint Gas Storage  Partners LP          
3 mo. USD Term SOFR  + 2.500%,          
6.200%, due 09/18/312   1,580,000    1,581,754 
UGI Energy Services LLC          
1 mo. USD Term SOFR  + 2.500%,          
6.152%, due 02/22/302   1,143,525    1,149,357 
         2,731,111 
Real estate investment trusts—0.4%          
Starwood Property Trust,  Inc.          
1 mo. USD Term SOFR  + 1.750%,          
5.402%, due 11/18/272   740,381    738,878 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Loan assignments—(continued)          
Software—0.3%          
Central Parent, Inc.          
3 mo. USD Term SOFR  + 3.250%,          
6.950%, due 07/06/292  $1,124,254   $502,542 
           
Telecommunications—0.5%          
Iridium Satellite LLC          
1 mo. USD Term SOFR  + 2.250%,          
5.902%, due 09/20/302   1,061,321    1,041,294 
           
Transportation—0.5%          
Stonepeak Nile  Parent LLC          
3 mo. USD Term SOFR  + 2.250%,          
5.919%, due 04/09/322   982,538    985,613 
Total loan assignments
(cost—$26,985,594)
        26,148,184 
           
Mortgage-backed securities—12.2%          
Arbor Multifamily  Mortgage Securities  Trust,          
Series 2020-MF1,  Class A5,          
2.756%, due 05/15/531   465,000    435,081 
BAHA Trust,          
Series 2024-MAR,  Class B,          
7.069%, due  12/10/411,2   1,090,000    1,126,470 
Bank,          
Series 2022-BNK42,  Class A5,          
4.493%, due 06/15/552   220,000    214,169 
BBCMS Mortgage Trust,          
Series 2019-C3,  Class B,          
4.096%, due 05/15/52   90,000    83,719 
Benchmark Mortgage Trust,          
Series 2019-B15,  Class B,          
3.564%, due 12/15/72   210,000    180,931 
Series 2019-B15,  Class C,          
3.829%, due 12/15/722   111,000    89,249 
Series 2022-B35,  Class A5,          
4.590%, due 05/15/552   270,000    261,481 
BX Commercial Mortgage Trust,          
Series 2021-CIP,  Class A,          
1 mo. USD Term SOFR  + 1.035%,          
4.691%, due  12/15/381,2   182,066    182,009 
Series 2026-CSMO,  Class A,          
1 mo. USD Term SOFR  + 1.400%,          
5.055%, due  02/15/431,2   970,000    970,606 
Series 2026-LP3,  Class B,          
1 mo. USD Term SOFR  + 1.550%,          
5.200%, due  04/15/431,2   620,000    621,356 
BX Trust,          
Series 2026-OPTM,  Class A,          
1 mo. USD Term SOFR  + 1.200%,          
4.855%, due  03/15/391,2   490,000    488,775 
Series 2026-RISE,  Class A,          
1 mo. USD Term SOFR  + 1.300%,          
4.970%, due  04/15/411,2   910,000    911,137 
Series 2022-CLS,  Class B,          
6.300%, due 10/13/271   2,020,000    2,014,140 
Cantor Commercial Real  Estate Lending,          
Series 2019-CF3,  Class B,          
3.500%, due 01/15/532   101,000    87,849 
CD Mortgage Trust,          
Series 2017-CD3,  Class A4,          
3.631%, due 02/10/50   300,000    294,277 
Citigroup Commercial  Mortgage Trust,          
Series 2023-PRM3,  Class B,          
6.572%, due  07/10/281,2   880,000    901,778 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
COMM Mortgage Trust,          
Series 2025-SBX,  Class A,          
5.432%, due  08/10/411,2  $780,000   $778,280 
CRSO Trust          
7.658%, due 07/10/282   880,000    900,543 
DC Commercial Mortgage  Trust,          
Series 2023-DC,  Class B,          
6.804%, due 09/12/401   660,000    667,415 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates,          
Series K121, Class X1,          
IO,          
1.107%, due 10/25/302   1,152,395    42,236 
Series KL06,  Class XFX,          
IO,          
1.457%, due 12/25/292   701,939    28,910 
Series K142, Class A2,          
2.400%, due 03/25/32   385,000    346,009 
Series K144, Class A2,          
2.450%, due 04/25/32   270,000    242,753 
Series K145, Class A2,          
2.580%, due 05/25/32   605,000    546,716 
Federal Home Loan  Mortgage Corp.  Multifamily WI  Certificates,          
Series K146, Class A2,          
2.920%, due 07/25/32   170,000    156,479 
Federal National  Mortgage  Association-ACES,          
Series 2022-M5,  Class A3,          
2.413%, due 01/01/342   325,000    278,629 
FRESB Mortgage Trust,          
Series 2019-SB60,  Class A10H,          
3.500%, due 01/25/392   149,633    145,617 
INTOWN Mortgage  Trust,          
Series 2025-STAY,  Class A,          
1 mo. USD Term SOFR  + 1.350%,          
5.005%, due  03/15/421,2   1,310,000    1,309,181 
MF1 Trust,          
Series 2021-W10,  Class A,          
1 mo. USD Term SOFR  + 1.070%,          
4.725%, due  12/15/341,2   100,000    99,503 
Series 2021-W10,  Class B,          
1 mo. USD Term SOFR  + 1.370%,          
5.025%, due  12/15/341,2   370,000    367,701 
MTN Commercial  Mortgage Trust,          
Series 2022-LPFL,  Class A,          
1 mo. USD Term SOFR  + 1.397%,          
5.057%, due  03/15/391,2   2,000,000    1,999,375 
OAKST Commercial  Mortgage Trust,          
Series 2023-NLP,  Class A,          
6.298%, due  03/15/401,2   952,512    939,509 
One Bryant Park Trust,          
Series 2019-OBP,  Class A,          
2.516%, due 09/15/541   2,300,000    2,128,727 
SCOTT Trust,          
Series 2023-SFS,  Class A,          
5.910%, due 03/10/401   870,000    884,286 
Wells Fargo Commercial Mortgage Trust,          
Series 2018-C46,  Class A4,          
4.152%, due 08/15/51   135,000    133,610 
Series 2018-C44,  Class A5,          
4.212%, due 05/15/51   445,000    441,336 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
WMRK Commercial  Mortgage Trust,          
Series 2022-WMRK,  Class C,          
1 mo. USD Term SOFR  + 4.083%,          
7.738%, due  11/15/271,2  $2,038,154   $2,040,748 
Total mortgage-backed securities
(cost—$23,299,633)
        23,340,590 
           
Municipal bonds—0.4%          
California—0.1%          
Los Angeles Department of Water & Power  Power System Revenue, Build America Bonds,  Revenue Bonds,          
6.574%, due 07/01/45   145,000    151,873 
State of California, Build America Bonds, GO  Bonds,          
7.550%, due 04/01/39   70,000    82,797 
         234,670 
Michigan—0.0%†          
University of Michigan,  Revenue Bonds,          
Series B,          
3.504%, due 04/01/52   93,000    66,798 
           
Minnesota—0.0%†          
University of Minnesota,  Revenue Bonds,          
4.048%, due 04/01/52   78,000    61,356 
           
New Jersey—0.1%          
New Jersey  Transportation Trust  Fund Authority, Build America Bonds,  Revenue Bonds,          
Series B,          
6.561%, due 12/15/40   105,000    114,946 
           
New York—0.1%          
New York State Dormitory Authority, Personal Income Tax, Revenue Bonds,          
Series C,          
2.052%, due 03/15/30   120,000    111,545 
Series C,          
2.152%, due 03/15/31   165,000    150,704 
         262,249 
Texas—0.1%          
City of Houston, GO  Bonds,          
3.961%, due 03/01/47   85,000    72,288 
State of Texas, Public Finance Authority,  Taxable Refunding, GO  Bonds,          
Series B,          
2.754%, due 10/01/41   50,000    37,463 
         109,751 
Total municipal bonds
(cost—$1,012,191)
        849,770 
           
U.S. Treasury obligations—5.9%          
U.S. Treasury Bonds          
1.375% due 08/15/50   4,550,000    2,198,041 
4.375% due 05/15/40   5,750,000    5,545,156 
4.750% due 02/15/37   725,000    746,637 
U.S. Treasury Notes          
3.375% due 05/15/33   750,000    711,855 
4.250% due 08/15/35   1,990,000    1,972,588 
Total U.S. Treasury obligations
(cost—$11,927,891)
        11,174,277 

 

   Number of
shares
     
Preferred stocks—2.7%
Capital markets—1.4%
CION Investment Corp.   36,000    908,280 
OFS Capital Corp.   21,000    539,070 
Trinity Capital, Inc.   50,000    1,269,500 
         2,716,850 
Mortgage real estate investment—1.3%
Ellington Financial, Inc.           
Series C2,4   93,400    2,363,020 
Total preferred stocks
(cost—$5,010,000)
        5,079,870 
           
Short-term investments—3.9%
Investment companies—2.7%
State Street Institutional U.S. Government Money Market Fund, 3.596%7
(cost—$5,056,073)
   5,056,073    5,056,073 

 

  

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face
amount
   Value 
Short-term U.S. Treasury obligations—1.2%
U.S. Treasury Bills          
3.582% due 07/09/267  $1,050,000   $1,042,747 
3.692% due 09/24/267   1,275,000    1,256,352 
Total short-term U.S. Treasury obligations
(cost—$2,299,502)
        2,299,099 
Total Short-term investments
(cost—$7,355,575)
        7,355,172 

 

   Number of
shares
     
Investment of cash collateral from securities loaned—1.3%
Money market funds—1.3%
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%7
(cost—$2,399,375)
   2,399,375    2,399,375 
Total investments—102.8%
(cost—$195,424,934)8
        195,813,047 
Liabilities in excess of other assets—(2.8)%        (5,279,086)
Net assets—100.0%       $190,533,961 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Futures contracts

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
Interest rate futures buy contracts:
101  USD  U.S. Long Bond Futures  June 2026  $11,839,314   $11,397,219   $(442,095)
U.S. Treasury futures buy contracts:
23  USD  U.S. Treasury Note 5 Year Futures  June 2026  $2,500,588   $2,480,226   $(20,362)
141  USD  U.S. Treasury Note 10 Year Futures  June 2026   15,919,509    15,593,719    (325,790)
205  USD  U.S. Treasury Note 10 Year Futures  June 2026   23,706,827    23,136,172    (570,655)
115  USD  Ultra U.S. Treasury Bond Futures  June 2026   13,824,564    13,228,594    (595,970)
Total           $67,790,802   $65,835,930   $(1,954,872)
U.S. Treasury futures sell contracts:
30  USD  U.S. Treasury Note 2 Year Futures  June 2026  $(6,218,365)  $(6,213,750)  $4,615 
Total           $(6,218,365)  $(6,213,750)  $4,615 
Net unrealized appreciation (depreciation)            $(1,950,257)

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Asset-backed securities  $   $33,221,083   $   $33,221,083 
Corporate bonds       86,244,726        86,244,726 
Loan assignments       26,148,184        26,148,184 
Mortgage-backed securities       23,340,590        23,340,590 
Municipal bonds       849,770        849,770 
U.S. Treasury obligations       11,174,277        11,174,277 
Preferred stocks   5,079,870            5,079,870 
Short-term investments   5,056,073            5,056,073 
Short-term U.S. Treasury obligations       2,299,099        2,299,099 
Investment of cash collateral from securities loaned   2,399,375            2,399,375 
Futures contracts   4,615            4,615 
Total  $12,539,933   $183,277,729   $   $195,817,662 
Liabilities                    
Futures contracts  $(1,954,872)  $   $   $(1,954,872)
Total  $(1,954,872)  $   $   $(1,954,872)

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

 Amount represents less than 0.05% or (0.05)%.
1 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $92,627,028, represented 48.6% of the Portfolio's net assets at period end.
2 Floating or variable rate securities. The rates disclosed are as of April 30, 2026. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
3 Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
4 Perpetual investment. Date shown reflects the next call date.
5 Security, or portion thereof, was on loan at the period end.
6 Position is unsettled. Contract rate was not determined at April 30, 2026 and does not take effect until settlement.
7 Rate shown reflects yield at April 30, 2026.
8 Includes $3,161,441 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $2,399,375 and non-cash collateral of $826,443.

  

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—12.5%          
Accredited Mortgage Loan Trust,      
Series 2004-2, Class A1,          
1 mo. USD Term SOFR + 0.404%,          
4.059%, due 07/25/342   164,141   $161,704 
Adams Outdoor Advertising LP,        
Series 2023-1, Class A2,          
6.967%, due 07/15/533   980,000    989,680 
Aligned Data Centers Issuer LLC,          
Series 2022-1A, Class A2,          
6.350%, due 10/15/473   3,000,000    3,000,039 
Ally Bank Auto Credit-Linked Notes,          
Series 2024-A, Class D,        
6.315%, due 05/17/323   98,450    99,763 
Series 2024-B, Class E,          
6.678%, due 09/15/323   121,430    122,034 
Series 2025-A, Class C,          
4.844%, due 06/15/333   176,642    177,044 
Avis Budget Rental Car Funding AESOP LLC,          
Series 2023-4A, Class A,        
5.490%, due 06/20/293   2,100,000    2,137,591 
Series 2025-3A, Class C,          
4.950%, due 02/20/303   100,000    98,419 
Bain Capital Credit CLO Ltd.,          
Series 2022-2A, Class A1R,        
3 mo. USD Term SOFR + 1.150%,          
4.814%, due 04/22/352,3   250,000    250,021 
Series 2022-3A, Class A1R,          
3 mo. USD Term SOFR + 1.160%,          
4.840%, due 07/17/352,3   250,000    249,933 
BHG Securitization Trust,          
Series 2022-C, Class B,        
5.930%, due 10/17/353   164,651    164,789 
Series 2026-1CON, Class B,          
5.300%, due 06/17/363   990,000    987,281 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face    
   amount1   Value 
Asset-backed securities—(continued)          
Blue Stream Issuer LLC,          
Series 2024-1A, Class A2,      
5.408%, due 11/20/543   104,000   $104,749 
Business Jet Securities LLC,          
Series 2024-1A, Class B,        
6.924%, due 05/15/393   56,013    57,125 
Series 2024-1A, Class A,          
6.197%, due 05/15/393   65,535    66,510 
Series 2024-2A, Class A,          
5.364%, due 09/15/393   1,141,065    1,138,616 
Capital Automotive REIT,        
Series 2024-2A, Class A2,          
5.250%, due 05/15/543   1,429,583    1,427,944 
CARS-DB7 LP,        
Series 2023-1A, Class A2,          
6.500%, due 09/15/533   1,151,483    1,155,454 
Castlelake Aircraft Structured Trust,          
Series 2025-1A, Class B,        
6.504%, due 02/15/503   227,186    228,591 
Series 2025-2A, Class A,          
5.465%, due 08/15/503   237,016    236,855 
CHEC Loan Trust,        
Series 2004-2, Class M1,          
1 mo. USD Term SOFR + 1.074%,          
4.729%, due 06/25/342   165,583    174,346 
Cloud Capital Holdco LP,        
Series 2024-1A, Class A2,          
5.781%, due 11/22/493   41,000    41,114 
Cogent Ipv4 LLC,        
Series 2024-1A, Class A2,          
7.924%, due 05/25/543   2,360,000    2,452,186 
Compass Datacenters Issuer II LLC,          
Series 2024-1A, Class B,        
7.000%, due 02/25/493   102,000    103,265 
Series 2024-1A, Class A1,          
5.250%, due 02/25/493   40,000    40,052 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Series 2024-2A, Class A1,      
5.022%, due 08/25/493   77,000   $76,911 
Compass Datacenters Issuer III LLC,          
Series 2026-1A, Class A23,        
5.436%, due 02/25/563   63,000    62,439 
Series 2026-1A, Class A22,          
5.289%, due 02/25/563   83,000    82,511 
Consolidated Communications LLC/Fidium Fiber Finance Holdco LLC,        
Series 2025-1A, Class A2,          
6.000%, due 05/20/553   100,000    101,599 
Credit Acceptance Auto Loan Trust,          
Series 2026-1A, Class B,          
4.960%, due 06/16/363,4   2,190,000    2,183,883 
CyrusOne Data Centers Issuer I LLC,          
Series 2023-1A, Class A2,        
4.300%, due 04/20/483   58,000    56,600 
Series 2024-2A, Class A2,          
4.500%, due 05/20/493   100,159    97,343 
Series 2024-3A, Class A2,          
4.650%, due 05/20/493   128,000    121,909 
DataBank Issuer LLC,          
Series 2023-1A, Class A2,        
5.116%, due 02/25/533   1,285,000    1,276,444 
Delta Funding Home Equity Loan Trust,        
Series 1999-3, Class A1A,          
1 mo. USD Term SOFR + 0.934%,          
4.589%, due 09/15/292   20,246    19,631 
Edgeconnex Data Centers Issuer LLC,        
Series 2024-1, Class A2,          
6.000%, due 07/27/543   1,053,099    1,050,566 

 

 

 

  

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Exeter Automobile Receivables Trust,      
Series 2025-1A, Class D,          
5.490%, due 05/15/31   54,000   $54,648 
Exeter Select Automobile Receivables Trust,        
Series 2025-2, Class C,          
4.910%, due 12/15/31   61,000    61,114 
First Franklin Mortgage Loan Trust,        
Series 2006-FF13, Class A2D,          
1 mo. USD Term SOFR + 0.594%,          
4.249%, due 10/25/362   881,604    569,740 
Flexential Issuer LLC,        
Series 2025-1A, Class A2,          
6.030%, due 10/25/603   1,180,000    1,173,504 
Foundation Finance Trust,        
Series 2024-2A, Class D,          
6.590%, due 03/15/503   77,277    78,877 
GLS Auto Select Receivables Trust,          
Series 2024-4A, Class D,        
5.280%, due 10/15/313   34,000    34,016 
Series 2024-4A, Class C,          
4.750%, due 11/15/303   33,000    32,889 
Series 2025-1A, Class C,          
5.260%, due 03/15/313   38,000    38,246 
Golub Capital Partners CLO 50B-R Ltd.,          
Series 2020-50A, Class A1R2,        
3 mo. USD Term SOFR + 1.110%,          
4.785%, due 04/20/352,3   250,000    249,777 
GreenSky Home Improvement Issuer Trust,          
Series 2025-1A, Class C,        
5.690%, due 03/25/603   95,985    96,381 
Series 2025-2A, Class D,          
5.560%, due 06/25/603   100,000    99,520 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
GSAMP Trust,          
Series 2006-HE4, Class A1,          
1 mo. USD Term SOFR + 0.394%,          
4.049%, due 06/25/362   198,883   $196,657 
Hilton Grand Vacations Trust,          
Series 2022-1D, Class D,          
6.790%, due 06/20/343   23,345    23,355 
Series 2022-2A, Class B,          
4.740%, due 01/25/373   27,679    27,540 
Series 2024-1B, Class C,          
6.620%, due 09/15/393   18,903    19,347 
Series 2024-1B, Class B,          
5.990%, due 09/15/393   8,101    8,236 
Series 2024-2A, Class C,          
5.990%, due 03/25/383   65,464    66,738 
Series 2025-2A, Class C,          
5.120%, due 05/25/443   69,193    68,712 
Huntington Bank Auto Credit-Linked Notes,          
Series 2024-1, Class B1,          
6.153%, due 05/20/323   91,519    92,735 
Island Finance Trust,          
Series 2025-1A, Class A,          
6.540%, due 03/19/353   100,000    100,690 
JP Morgan Mortgage Trust,          
Series 2023-HE3, Class M1,          
30 day USD SOFR Average + 2.100%,          
5.740%, due 05/20/542,3   75,909    76,296 
Series 2024-HE1, Class M2,          
30 day USD SOFR Average + 2.400%,          
6.040%, due 08/25/542,3   30,906    31,102 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Series 2024-HE1, Class M1,          
30 day USD SOFR Average + 2.000%,          
5.640%, due 08/25/542,3   40,350   $40,587 
KREF Ltd.,          
Series 2022-FL3, Class A,          
1 mo. USD Term SOFR + 1.450%,          
5.107%, due 02/17/392,3   243,131    243,294 
Lendmark Funding Trust,          
Series 2024-2A, Class A,          
4.470%, due 02/21/343   1,640,000    1,635,717 
Lightpath Fiber Issuer LLC,          
Series 2026-1A, Class B,          
5.890%, due 03/25/563   61,000    60,778 
Series 2026-1A, Class A2,          
5.597%, due 03/25/563   98,000    98,235 
LoanCore Issuer Ltd.,          
Series 2021-CRE6, Class A,          
1 mo. USD Term SOFR + 1.414%,          
5.069%, due 11/15/382,3   32,914    32,914 
Lyra Music Assets Delaware LP,          
Series 2025-1A, Class A2,          
5.604%, due 09/20/653   179,676    180,601 
Marble Point CLO XXII Ltd.,          
Series 2021-2A, Class AR,          
3 mo. USD Term SOFR + 1.220%,          
4.887%, due 07/25/342,3   250,000    249,999 
MetroNet Infrastructure Issuer LLC,          
Series 2025-2A, Class C,          
7.830%, due 08/20/553   105,000    107,298 
Series 2025-2A, Class A2,          
5.400%, due 08/20/553   174,000    175,378 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
MF1 Ltd.,          
Series 2022-FL8, Class A,          
1 mo. USD Term SOFR + 1.350%,          
5.007%, due 02/19/372,3   224,918   $225,091 
Morgan Stanley ABS Capital I, Inc. Trust,          
Series 2005-HE1, Class M2,          
1 mo. USD Term SOFR + 0.819%,          
4.474%, due 12/25/342   107,779    107,759 
MTP ABS Funding LLC,          
Series 2026-1A, Class B,          
5.882%, due 04/25/563,4   56,000    56,000 
Series 2026-1A, Class A2,          
5.198%, due 04/25/563,4   126,000    126,000 
MVW LLC,          
Series 2022-1A, Class B,          
4.400%, due 11/21/393   50,854    50,311 
Series 2023-2A, Class C,          
7.060%, due 11/20/403   43,107    44,118 
Series 2024-2A, Class C,          
4.920%, due 03/20/423   59,566    58,630 
Series 2026-1A, Class C,          
5.360%, due 03/20/433   100,000    99,847 
Navient Private Education Refi Loan Trust,          
Series 2021-EA, Class A,          
0.970%, due 12/16/693   53,708    48,005 
New Economy Assets - Phase 1 Sponsor LLC,          
Series 2021-1, Class A1,          
1.910%, due 10/20/613   1,500,000    1,260,000 
NRM FNT1 Excess LLC,          
Series 2024-FNT1, Class A,          
7.398%, due 11/25/312,3   94,346    94,546 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
OBX Trust,          
Series 2025-HE1, Class M1,          
30 day USD SOFR Average + 1.900%,          
5.545%, due 02/25/552,3   100,000   $100,565 
Series 2025-HE1, Class A1,          
30 day USD SOFR Average + 1.600%,          
5.245%, due 02/25/552,3   88,626    88,999 
OnDeck Asset Securitization Trust IV LLC,          
Series 2024-1A, Class A,          
6.270%, due 06/17/313   1,410,000    1,419,902 
OneMain Financial Issuance Trust,          
Series 2022-3A, Class A,          
5.940%, due 05/15/343   146,226    146,375 
Oxford Finance Funding Trust,          
Series 2023-1A, Class B,          
7.879%, due 02/15/313   1,907,349    1,933,904 
Palmer Square Loan Funding Ltd.,          
Series 2026-1A, Class A1,          
3 mo. USD Term SOFR + 1.000%,          
0.000%, due 07/15/342,3,4   1,530,000    1,530,034 
PEAC Solutions Receivables LLC,          
Series 2025-1A, Class A2,          
4.940%, due 10/20/283   75,831    76,169 
Post CLO Ltd.,          
Series 2022-1A, Class AR,          
3 mo. USD Term SOFR + 1.100%,          
4.775%, due 04/20/352,3   250,000    249,874 
QTS Issuer ABS II LLC,          

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Series 2025-1A, Class A2,          
5.044%, due 10/05/553   25,038   $24,555 
Series 2026-1A, Class A2,          
5.364%, due 01/05/563   710,000    699,134 
Series 2026-4A, Class B,          
6.727%, due 03/05/563   76,000    76,018 
Series 2026-4A, Class A2,          
5.704%, due 03/05/563   80,000    80,042 
Series 2026-5A, Class A2,          
6.178%, due 03/06/563   35,000    35,240 
RCKT Mortgage Trust,          
Series 2025-CES10, Class A2,          
5.163%, due 11/25/552,3   150,000    148,916 
Regional Management Issuance Trust,          
Series 2025-2, Class A,          
4.590%, due 11/16/373   1,190,000    1,181,131 
Republic Finance Issuance Trust,          
Series 2024-A, Class A,          
5.910%, due 08/20/323   1,920,000    1,927,998 
Retained Vantage Data Centers Issuer LLC,          
Series 2023-1A, Class A2A,          
5.000%, due 09/15/483   1,790,000    1,781,289 
Rockford Tower CLO Ltd.,          
Series 2022-1A, Class A1R,          
3 mo. USD Term SOFR + 1.200%,          
4.875%, due 07/20/352,3   250,000    250,075 
Santander Drive Auto Receivables Trust,          
Series 2022-7, Class C,          
6.690%, due 03/17/31   2,616,036    2,656,358 
Saxon Asset Securities Trust,          
Series 2004-1, Class M1,          
1 mo. USD Term SOFR + 0.909%,          
2.704%, due 03/25/352   19,551    16,357 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Series 2006-1, Class M1,          
1 mo. USD Term SOFR + 0.579%,          
4.234%, due 03/25/362   405,277   $406,015 
SCCU Auto Receivables Trust,          
Series 2025-1A, Class C,          
5.080%, due 02/17/323   29,000    28,918 
Sierra Timeshare Receivables Funding LLC,          
Series 2022-2A, Class B,          
5.040%, due 06/20/403   40,825    40,853 
Series 2023-2A, Class C,          
7.300%, due 04/20/403   33,211    34,198 
Series 2023-3A, Class C,          
7.120%, due 09/20/403   36,003    36,989 
Series 2024-1A, Class C,          
5.940%, due 01/20/433   35,029    35,325 
Series 2024-2A, Class C,          
5.830%, due 06/20/413   42,571    42,872 
Series 2024-3A, Class C,          
5.320%, due 08/20/413   86,383    86,033 
Series 2025-2A, Class C,          
5.320%, due 04/20/443   61,958    61,740 
Series 2025-2A, Class B,          
4.930%, due 04/20/443   61,958    61,796 
SoFi Professional Loan Program LLC,          
Series 2019-C, Class BFX,          
3.050%, due 11/16/483   158,000    143,091 
Sotheby's Artfi Master Trust,          
Series 2026-1A, Class B,          
4.900%, due 06/20/333   100,000    99,671 
Stack Infrastructure Issuer LLC,          
Series 2025-1A, Class A2,          
5.000%, due 05/25/503   73,000    70,752 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Series 2026-1A, Class A2,          
5.000%, due 03/27/563   1,340,000   $1,293,580 
Store Master Funding I-VII XIV XIX XX,          
Series 2021-1A, Class A1,          
2.120%, due 06/20/513   1,336,892    1,256,136 
Structured Asset Securities Corp. Mortgage Pass-Through Certificates,          
Series 2001-SB1, Class A2,          
3.375%, due 08/25/31   1,628    1,623 
Summit Issuer LLC,          
Series 2025-1A, Class A2,          
5.208%, due 11/20/553   168,000    168,098 
Symphony CLO XXXII Ltd.,          
Series 2022-32A, Class AR,          
3 mo. USD Term SOFR + 1.150%,          
4.816%, due 10/23/352,3   300,000    299,761 
THL Credit Wind River CLO Ltd.,          
Series 2017-3A, Class AR2,          
3 mo. USD Term SOFR + 1.200%,          
4.873%, due 04/15/352,3   250,000    250,093 
Towd Point Mortgage Trust,          
Series 2024-CES1, Class A1B,          
6.049%, due 01/25/642,3   49,656    49,790 
Trafigura Securitisation Finance PLC,          
Series 2024-1A, Class B,          
7.290%, due 11/15/273   200,000    200,009 
U.S. Bank NA,          
Series 2023-1, Class B,          
6.789%, due 08/25/323   34,633    34,903 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
U.S. Small Business Administration,          
Series 2007-20D, Class 1,          
5.320%, due 04/01/27   26,462   $26,559 
Uniti Fiber ABS Issuer LLC,          
Series 2025-1A, Class B,          
6.369%, due 04/20/553   115,000    116,725 
Vantage Data Centers Issuer LLC,          
Series 2025-2A, Class A2,          
5.239%, due 11/15/553   25,000    24,475 
Vantage Data Centers LLC,          
Series 2025-1A, Class A2,          
5.132%, due 08/15/553   395,000    383,357 
VB-S1 Issuer LLC,          
Series 2026-1A, Class D,          
5.193%, due 03/15/563   70,000    69,285 
Volofin Finance DAC,          
Series 2024-1A, Class A,          
5.935%, due 06/15/373   105,151    106,376 
Westlake Automobile Receivables Trust,          
Series 2025-2A, Class D,          
5.080%, due 05/15/313   127,000    127,294 
Willis Engine Structured Trust VII,          
Series 2023-A, Class A,          
8.000%, due 10/15/483   189,024    192,378 
Wireless PropCo Funding LLC,          
Series 2025-1A, Class B,          
4.300%, due 06/25/553   100,000    94,629 
Zayo Issuer LLC,          
Series 2025-1A, Class A2,          
5.648%, due 03/20/553   1,010,000    1,018,908 
Total asset-backed securities
(cost—$49,547,679)
        50,275,336 

 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Commercial paper—0.1%          
Commercial services—0.1%          
S&P Global, Inc.          
4.050%, due 05/04/263
(cost—$249,916)
   250,000   $249,916 
           
Corporate bonds—47.6%          
Advertising—0.1%          
Clear Channel Outdoor Holdings, Inc.          
7.500%, due 03/15/333   65,000    68,281 
Neptune Bidco U.S., Inc.          
9.500%, due 02/15/333   45,000    45,035 
Omnicom Group, Inc.          
4.200%, due 03/02/29   100,000    98,889 
WPP LLC          
6.500%, due 03/30/36   80,000    78,534 
        290,739 
Aerospace & defense—0.4%          
AAR Escrow Issuer LLC          
6.750%, due 03/15/293   75,000    77,262 
Boeing Co.          
2.700%, due 02/01/27   100,000    98,832 
3.450%, due 11/01/28   200,000    195,059 
5.805%, due 05/01/50   130,000    126,679 
Bombardier, Inc.          
6.750%, due 06/15/333   120,000    125,124 
Goat Holdco LLC          
6.750%, due 02/01/323   102,000    104,525 
Honeywell Aerospace, Inc.          
4.950%, due 03/16/363   110,000    108,752 
5.732%, due 03/16/563   105,000    103,272 
Rolls-Royce PLC          
5.750%, due 10/15/273   200,000    202,703 
RTX Corp.          
5.750%, due 11/08/26   100,000    100,723 
TransDigm, Inc.          
6.625%, due 03/01/323   35,000    35,969 
6.875%, due 12/15/303   385,000    396,783 
7.125%, due 12/01/313   10,000    10,363 
         1,686,046 
Agriculture—0.2%          
BAT Capital Corp.          
6.343%, due 08/02/30   200,000    213,217 
Imperial Brands Finance PLC          
3.500%, due 07/26/263   200,000    199,569 
5.875%, due 07/01/343   200,000    206,341 
         619,127 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Airlines—0.2%          
American Airlines Pass-Through Trust          
Series AA, Class AA,          
3.200%, due 06/15/28   175,350   $170,791 
Series 2015-2, Class AA,          
3.600%, due 09/22/27   157,864    155,985 
Series A,          
5.250%, due 11/10/384   100,000    99,823 
JetBlue Pass-Through Trust          
Series 2019, Class A,          
2.950%, due 05/15/28   215,869    202,183 
Spirit Airlines Pass-Through Trust          
Series A,          
4.100%, due 04/01/28   44,252    42,769 
United Airlines Holdings, Inc.          
4.875%, due 03/01/29   45,000    44,328 
5.375%, due 03/01/31   55,000    54,209 
         770,088 
Apparel—0.2%          
Birkenstock Financing SARL          
5.250%, due 04/30/295  EUR  100,000    117,690 
VF Corp.          
0.625%, due 02/25/32   100,000    93,821 
2.950%, due 04/23/30   20,000    18,146 
William Carter Co.          
7.375%, due 02/15/313   600,000    616,776 
         846,433 
Auto manufacturers—1.0%          
American Honda Finance Corp.          
1 day USD SOFR + 0.730%,          
4.395%, due 08/13/272   100,000    100,048 
BMW U.S. Capital LLC          
5.050%, due 03/21/303   200,000    202,709 
Daimler Truck Finance North America LLC          
2.000%, due 12/14/263   200,000    197,194 
Ford Motor Credit Co. LLC          
4.970%, due 04/06/29   200,000    198,311 
5.800%, due 03/05/27   200,000    201,405 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Auto manufacturers—(continued)          
Hyundai Capital America          
4.250%, due 09/18/283   855,000   $847,575 
5.000%, due 04/07/313   330,000    330,873 
5.150%, due 03/27/303   100,000    101,090 
5.250%, due 01/08/273   200,000    201,159 
5.950%, due 09/21/263   100,000    100,603 
Mercedes-Benz Finance North America LLC          
4.750%, due 03/31/283   200,000    201,179 
Nissan Motor Acceptance Co. LLC          
2.750%, due 03/09/283   200,000    189,654 
6.125%, due 09/30/303   65,000    64,017 
Nissan Motor Co. Ltd.          
4.810%, due 09/17/303   200,000    186,784 
Stellantis Finance U.S., Inc.          
6.450%, due 03/18/353,6   200,000    199,717 
Volkswagen Bank GmbH          
2.500%, due 07/31/265  EUR  500,000    586,596 
         3,908,914 
Auto parts & equipment—0.2%          
Clarios Global LP/Clarios U.S. Finance Co.          
6.750%, due 02/15/303   45,000    46,494 
Cyprium Corp./Cyprium Holdings Luxembourg SARL          
6.125%, due 04/15/313   30,000    30,207 
6.375%, due 04/15/343   51,000    50,935 
Forvia SE          
5.375%, due 03/15/315,6  EUR  100,000    119,057 
6.750%, due 09/15/333   82,000    82,233 
Schaeffler AG          
4.500%, due 03/28/305  EUR  100,000    117,666 
Valeo SE          
5.125%, due 05/20/315   100,000    119,808 
ZF Europe Finance BV          
3.000%, due 10/23/295   100,000    109,876 
ZF North America Capital, Inc.          
6.750%, due 04/23/303   40,000    39,736 
6.875%, due 04/23/323   74,000    72,414 
         788,426 
Banks—11.7%          
ABN AMRO Bank NV          
(fixed, converts to FRN on 12/03/34),          
5.515%, due 12/03/352,3   200,000    202,677 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
ASB Bank Ltd.          
(fixed, converts to FRN on 06/17/27),          
5.284%, due 06/17/322,3   1,700,000   $1,707,943 
5.398%, due 11/29/273   1,680,000    1,709,297 
Banco Bilbao Vizcaya Argentaria SA          
4.150%, due 03/03/29   200,000    197,673 
(fixed, converts to FRN on 01/14/32),          
7.750%, due 01/14/322,7   200,000    211,682 
Banco Mercantil del Norte SA          
(fixed, converts to FRN on 05/20/35),          
8.750%, due 05/20/352,3,7   15,000    16,215 
Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand          
5.621%, due 12/10/293   10,000    10,270 
Banco Santander SA          
4.379%, due 04/12/28   200,000    199,455 
4.600%, due 04/15/29   200,000    199,544 
(fixed, converts to FRN on 05/12/27),          
4.750%, due 11/12/262,7   200,000    199,078 
Bangkok Bank PCL          
5.650%, due 07/05/343,6   25,000    25,739 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Bank of America Corp.          
(fixed, converts to FRN on 04/29/30),          
2.592%, due 04/29/312   200,000   $184,989 
(fixed, converts to FRN on 04/24/27),          
3.705%, due 04/24/282   100,000    99,327 
(fixed, converts to FRN on 01/20/27),          
3.824%, due 01/20/282   200,000    199,228 
Series RR,          
(fixed, converts to FRN on 01/27/27),          
4.375%, due 01/27/272,7   1,455,000    1,441,641 
(fixed, converts to FRN on 04/27/27),          
4.376%, due 04/27/282   250,000    249,921 
(fixed, converts to FRN on 05/09/35),          
5.464%, due 05/09/362   85,000    86,773 
(fixed, converts to FRN on 04/23/36),          
5.489%, due 04/23/372   135,000    134,222 
(fixed, converts to FRN on 10/25/34),          
5.518%, due 10/25/352   45,000    45,334 
(fixed, converts to FRN on 09/15/28),          
5.819%, due 09/15/292   200,000    205,790 
Series OO,          
(fixed, converts to FRN on 05/01/30),          
6.625%, due 05/01/302,7   160,000    165,018 
Bank of New York Mellon Corp.          
(fixed, converts to FRN on 02/07/27),          
3.442%, due 02/07/282   1,760,000    1,749,731 
Series I,          
(fixed, converts to FRN on 12/20/26),          
3.750%, due 12/20/262,7   170,000    167,990 
(fixed, converts to FRN on 03/14/29),          
4.975%, due 03/14/302   200,000    202,958 
Bank of New Zealand          
4.846%, due 02/07/283   1,390,000    1,402,846 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Barclays PLC          
(fixed, converts to FRN on 05/16/28),          
4.972%, due 05/16/292   200,000   $201,243 
(fixed, converts to FRN on 11/02/32),          
7.437%, due 11/02/332   400,000    447,648 
(fixed, converts to FRN on 09/15/29),          
8.000%, due 03/15/292,7   200,000    209,909 
BNP Paribas SA          
(fixed, converts to FRN on 02/25/31),          
4.625%, due 02/25/312,3,7   215,000    198,030 
(fixed, converts to FRN on 05/09/30),          
5.085%, due 05/09/312,3   755,000    761,959 
(fixed, converts to FRN on 05/20/29),          
5.497%, due 05/20/302,3   200,000    204,716 
BPCE SA          
(fixed, converts to FRN on 10/19/28),          
6.714%, due 10/19/292,3,6   250,000    261,596 
CaixaBank SA          
(fixed, converts to FRN on 03/15/29),          
5.673%, due 03/15/302,3   200,000    205,123 
Citigroup, Inc.          
(fixed, converts to FRN on 09/11/30),          
4.503%, due 09/11/312   50,000    49,440 
(fixed, converts to FRN on 01/24/35),          
6.020%, due 01/24/362   35,000    35,931 
Series HH,          
(fixed, converts to FRN on 02/15/31),          
6.625%, due 02/15/312,7   45,000    45,552 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Citizens Financial Group, Inc.          
Series B,          
3 mo. USD Term SOFR + 3.265%,          
6.939%, due 07/06/262,7   60,000   $59,857 
Series C,          
3 mo. USD Term SOFR + 3.419%,          
7.097%, due 07/06/262,7   80,000    79,955 
Danske Bank AS          
(fixed, converts to FRN on 03/01/29),          
5.705%, due 03/01/302,3   200,000    205,530 
Deutsche Bank AG          
(fixed, converts to FRN on 02/08/27),          
5.706%, due 02/08/282   200,000    201,676 
(fixed, converts to FRN on 11/20/28),          
6.819%, due 11/20/292   200,000    209,891 
Fifth Third Bancorp          
Series H,          
3 mo. USD Term SOFR + 3.295%,          
6.994%, due 05/30/262,7   115,000    114,695 
Fifth Third Bank NA          
(fixed, converts to FRN on 08/25/32),          
5.332%, due 08/25/332   1,690,000    1,697,125 
Goldman Sachs Bank USA          
1 day USD SOFR + 0.750%,          
4.411%, due 05/21/272   250,000    250,055 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Goldman Sachs Group, Inc.          
(fixed, converts to FRN on 10/21/26),          
1.948%, due 10/21/272   100,000   $98,843 
Series MPLE,          
(fixed, converts to FRN on 02/28/28),          
2.013%, due 02/28/292  CAD  200,000    143,094 
Series U,          
(fixed, converts to FRN on 08/10/26),          
3.650%, due 08/10/262,6,7   45,000    44,859 
Series T,          
(fixed, converts to FRN on 05/10/26),          
3.800%, due 05/10/262,7   20,000    19,991 
Series V,          
(fixed, converts to FRN on 11/10/26),          
4.125%, due 11/10/262,7   50,000    49,498 
(fixed, converts to FRN on 10/21/30),          
4.369%, due 10/21/312   85,000    83,385 
(fixed, converts to FRN on 10/21/35),          
4.939%, due 10/21/362   105,000    101,853 
(fixed, converts to FRN on 02/02/36),          
5.387%, due 02/02/412   80,000    77,869 
3 mo. USD Term SOFR + 2.012%,          
5.682%, due 10/28/272   200,000    201,380 
Series Y,          
(fixed, converts to FRN on 11/10/34),          
6.125%, due 11/10/342,6,7   70,000    70,523 
(fixed, converts to FRN on 10/24/28),          
6.484%, due 10/24/292   115,000    120,061 
6.750%, due 10/01/37   35,000    38,011 
Series X,          
(fixed, converts to FRN on 05/10/29),          
7.500%, due 05/10/292,7   130,000    135,861 
Grupo Aval Ltd.          
4.375%, due 02/04/303   70,000    66,010 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
HSBC Holdings PLC          
(fixed, converts to FRN on 06/04/30),          
2.848%, due 06/04/312   2,000,000   $1,852,452 
(fixed, converts to FRN on 08/11/32),          
5.402%, due 08/11/332   200,000    203,343 
(fixed, converts to FRN on 03/09/33),          
6.254%, due 03/09/342   600,000    636,457 
(fixed, converts to FRN on 11/03/27),          
7.390%, due 11/03/282   1,205,000    1,253,833 
Huntington Bancshares, Inc.          
(fixed, converts to FRN on 08/04/27),          
4.443%, due 08/04/282   830,000    829,017 
Series G,          
(fixed, converts to FRN on 10/15/27),          
4.450%, due 10/15/272,7   50,000    49,211 
ING Groep NV          
(fixed, converts to FRN on 11/16/27),          
3.875%, due 05/16/272,6,7   227,000    221,803 
Series NC10,          
(fixed, converts to FRN on 11/16/31),          
4.250%, due 05/16/312,7   200,000    179,499 
(fixed, converts to FRN on 03/25/30),          
5.066%, due 03/25/312   200,000    202,115 
1 day USD SOFR Index + 1.560%,          
5.213%, due 09/11/272   200,000    200,714 
(fixed, converts to FRN on 03/19/29),          
5.335%, due 03/19/302   200,000    204,059 
Intesa Sanpaolo SpA          
Series XR,          
4.000%, due 09/23/293   200,000    195,677 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
JPMorgan Chase & Co.          
(fixed, converts to FRN on 09/22/26),          
1.470%, due 09/22/272   200,000   $197,803 
(fixed, converts to FRN on 02/24/27),          
2.947%, due 02/24/282   200,000    197,648 
(fixed, converts to FRN on 01/23/28),          
3.509%, due 01/23/292   200,000    197,049 
(fixed, converts to FRN on 10/22/35),          
4.810%, due 10/22/362   95,000    92,284 
(fixed, converts to FRN on 04/23/36),          
5.148%, due 04/23/372   95,000    94,432 
(fixed, converts to FRN on 07/24/28),          
5.299%, due 07/24/292   200,000    203,333 
(fixed, converts to FRN on 07/23/35),          
5.576%, due 07/23/362   30,000    30,434 
(fixed, converts to FRN on 10/22/26),          
6.070%, due 10/22/272   200,000    201,664 
Series PP,          
(fixed, converts to FRN on 07/01/31),          
6.100%, due 07/01/314,7   35,000    35,350 
Series CC,          
3 mo. USD Term SOFR + 2.842%,          
6.505%, due 08/01/262,6,7   45,000    45,175 
Series NN,          
(fixed, converts to FRN on 06/01/29),          
6.875%, due 06/01/292,6,7   45,000    46,878 
Keybank National Association          
Series BKNT,          
5.850%, due 11/15/27   1,435,000    1,462,448 
Lloyds Bank PLC          
7.500%, due 04/02/322,5   800,000    596,615 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Lloyds Banking Group PLC          
(fixed, converts to FRN on 03/18/27),          
3.750%, due 03/18/282   1,785,000   $1,774,561 
(fixed, converts to FRN on 11/15/32),          
7.953%, due 11/15/332   810,000    923,966 
(fixed, converts to FRN on 03/27/30),          
8.000%, due 09/27/292,6,7   200,000    213,289 
M&T Bank Corp.          
Series I,          
(fixed, converts to FRN on 09/01/26),          
3.500%, due 09/01/262,6,7   190,000    187,245 
Mizuho Financial Group, Inc.          
(fixed, converts to FRN on 05/22/29),          
3.261%, due 05/22/302   200,000    192,709 
(fixed, converts to FRN on 07/10/29),          
5.382%, due 07/10/302   200,000    204,275 
Morgan Stanley          
(fixed, converts to FRN on 03/21/29),          
3.790%, due 03/21/302   EUR    100,000    118,563 
Series I,          
(fixed, converts to FRN on 10/22/35),          
4.892%, due 10/22/362   95,000    92,177 
(fixed, converts to FRN on 02/01/28),          
5.123%, due 02/01/292   200,000    202,051 
(fixed, converts to FRN on 04/10/36),          
5.296%, due 04/10/372   95,000    94,430 
(fixed, converts to FRN on 07/19/34),          
5.320%, due 07/19/352   85,000    85,677 
(fixed, converts to FRN on 07/20/28),          
5.449%, due 07/20/292   200,000    203,675 
(fixed, converts to FRN on 01/18/34),          
5.466%, due 01/18/352   45,000    45,853 
(fixed, converts to FRN on 10/18/32),          
6.342%, due 10/18/332   200,000    214,353 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Morgan Stanley Bank NA          
1 day USD SOFR + 1.080%,          
4.731%, due 01/14/282   250,000   $250,846 
(fixed, converts to FRN on 05/26/27),          
5.504%, due 05/26/282   250,000    252,798 
NatWest Group PLC          
(fixed, converts to FRN on 05/22/27),          
3.073%, due 05/22/282   200,000    197,142 
(fixed, converts to FRN on 12/28/31),          
4.600%, due 06/28/312,7   200,000    183,138 
1 day USD SOFR + 1.300%,          
4.965%, due 11/15/282   1,220,000    1,230,434 
(fixed, converts to FRN on 03/02/33),          
6.016%, due 03/02/342   200,000    210,242 
PNC Financial Services Group, Inc.          
Series T,          
(fixed, converts to FRN on 09/15/26),          
3.400%, due 09/15/262,7   1,149,000    1,134,781 
(fixed, converts to FRN on 05/13/30),          
4.899%, due 05/13/312   20,000    20,155 
Series S,          
(fixed, converts to FRN on 11/01/26),          
5.000%, due 11/01/262,7   22,000    21,939 
(fixed, converts to FRN on 07/21/35),          
5.373%, due 07/21/362   40,000    40,195 
(fixed, converts to FRN on 01/25/36),          
5.423%, due 01/25/412   200,000    196,143 
Series W,          
(fixed, converts to FRN on 03/15/30),          
6.250%, due 03/15/302,7   110,000    111,782 
Royal Bank of Canada          
(fixed, converts to FRN on 08/06/28),          
4.498%, due 08/06/292   200,000    200,166 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Santander Holdings USA, Inc.          
(fixed, converts to FRN on 01/06/27),          
2.490%, due 01/06/282,6   1,200,000   $1,182,855 
(fixed, converts to FRN on 03/09/28),          
6.499%, due 03/09/292   970,000    1,000,214 
Santander U.K. Group Holdings PLC          
(fixed, converts to FRN on 01/10/28),          
6.534%, due 01/10/292   100,000    103,141 
Skandinaviska Enskilda Banken AB          
5.375%, due 03/05/293   885,000    906,157 
Societe Generale SA          
(fixed, converts to FRN on 01/10/33),          
6.691%, due 01/10/342,3   300,000    321,517 
Standard Chartered Bank          
4.853%, due 12/03/27   250,000    252,403 
Standard Chartered PLC          
(fixed, converts to FRN on 07/06/26),          
6.187%, due 07/06/272,3   100,000    100,188 
State Street Corp.          
(fixed, converts to FRN on 11/04/27),          
5.820%, due 11/04/282   740,000    756,140 
Sumitomo Mitsui Financial Group, Inc.          
1.902%, due 09/17/28   200,000    188,450 
5.316%, due 07/09/29   200,000    204,355 
Toronto-Dominion Bank          
4.109%, due 10/13/28   100,000    99,352 
4.210%, due 06/01/27  CAD100,000    74,375 
Truist Financial Corp.          
(fixed, converts to FRN on 06/06/27),          
4.123%, due 06/06/282   1,720,000    1,713,735 
Series Q,          
(fixed, converts to FRN on 09/01/30),          
5.100%, due 03/01/302,7   125,000    125,824 
(fixed, converts to FRN on 01/26/33),          
5.122%, due 01/26/342   200,000    199,896 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
U.S. Bancorp          
Series N,          
(fixed, converts to FRN on 01/15/27),          
3.700%, due 01/15/272,6,7   470,000   $462,580 
(fixed, converts to FRN on 02/01/33),          
4.839%, due 02/01/342   200,000    197,808 
(fixed, converts to FRN on 07/22/32),          
4.967%, due 07/22/332   30,000    29,845 
(fixed, converts to FRN on 05/15/30),          
5.083%, due 05/15/312   35,000    35,539 
(fixed, converts to FRN on 02/12/35),          
5.424%, due 02/12/362   80,000    81,520 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Wells Fargo & Co.          
(fixed, converts to FRN on 10/30/29),          
2.879%, due 10/30/302   200,000   $188,802 
(fixed, converts to FRN on 06/17/26),          
3.196%, due 06/17/272   200,000    199,726 
(fixed, converts to FRN on 03/02/32),          
3.350%, due 03/02/332   1,915,000    1,763,015 
(fixed, converts to FRN on 09/15/35),          
4.892%, due 09/15/362   120,000    116,900 
(fixed, converts to FRN on 04/23/30),          
5.150%, due 04/23/312   80,000    81,378 
(fixed, converts to FRN on 07/25/33),          
5.557%, due 07/25/342   235,000    241,441 
(fixed, converts to FRN on 07/25/28),          
5.574%, due 07/25/292   200,000    204,406 
Series GG,          
(fixed, converts to FRN on 06/15/31),          
6.125%, due 06/15/312,7   115,000    115,399 
(fixed, converts to FRN on 09/15/29),          
6.850%, due 09/15/292,7   50,000    52,010 
Wells Fargo Bank NA          
5.450%, due 08/07/26   100,000    100,269 
         46,837,628 
Beverages—0.1%          
Constellation Brands, Inc.          
4.800%, due 01/15/29   100,000    100,628 
Maple Parent Holdings Corp.          
4.750%, due 03/26/293   100,000    99,980 
         200,608 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Biotechnology—0.1%          
Amgen, Inc.          
5.750%, due 03/02/63   100,000   $95,576 
BioMarin Pharmaceutical, Inc.          
5.500%, due 02/15/343   15,000    14,895 
Regeneron Pharmaceuticals, Inc.          
1.750%, due 09/15/30   300,000    266,662 
Royalty Pharma PLC          
4.450%, due 03/25/31   100,000    98,820 
         475,953 
Building Materials—0.1%          
EMRLD Borrower LP/Emerald Co-Issuer, Inc.          
6.625%, due 12/15/303   245,000    250,826 
JH North America Holdings, Inc.          
6.125%, due 07/31/323   40,000    40,085 
Quikrete Holdings, Inc.          
6.750%, due 03/01/333   105,000    106,477 
Standard Building Solutions, Inc.          
6.250%, due 08/01/333   25,000    24,984 
Standard Industries, Inc.          
4.375%, due 07/15/303   55,000    52,512 
         474,884 
Chemicals—0.4%          
Celanese U.S. Holdings LLC          
7.000%, due 02/15/31   5,000    5,202 
Steps to 7.550% on 05/15/26,          
7.050%, due 11/15/30   50,000    53,671 
Steps to 7.700% on 05/15/26,          
7.200%, due 11/15/33   10,000    10,812 
7.375%, due 02/15/346   10,000    10,470 
7.379%, due 07/15/32   10,000    10,598 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Chemicals—(continued)          
FMC Corp.          
3.450%, due 10/01/29   5,000   $4,525 
6.375%, due 05/18/536   5,000    3,772 
(fixed, converts to FRN on 11/01/30),          
8.450%, due 11/01/552   5,000    3,314 
HB Fuller Co.          
4.000%, due 02/15/27   10,000    9,911 
International Flavors & Fragrances, Inc.          
2.300%, due 11/01/303   99,000    88,559 
Olin Corp.          
6.625%, due 04/01/333   1,115,000    1,104,571 
Olympus Water U.S. Holding Corp.          
4.250%, due 10/01/283   65,000    63,221 
6.750%, due 08/01/323   22,000    21,324 
7.250%, due 06/15/313   20,000    20,118 
7.250%, due 02/15/333   9,000    8,797 
SCIH Salt Holdings, Inc.          
4.875%, due 05/01/283   15,000    14,853 
Sociedad Quimica y Minera de Chile SA          
5.500%, due 09/10/343   20,000    20,140 
6.500%, due 11/07/333   10,000    10,773 
Westlake Corp.          
5.550%, due 11/15/356   35,000    35,011 
6.375%, due 11/15/55   45,000    44,493 
WR Grace Holdings LLC          
6.625%, due 08/15/323   62,000    61,540 
7.000%, due 08/01/333   84,000    83,440 
7.375%, due 03/01/313   10,000    10,104 
         1,699,219 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Commercial services—0.7%          
Albion Financing 1 SARL/Aggreko Holdings, Inc.          
7.000%, due 05/21/303   45,000   $46,485 
Allied Universal Holdco LLC          
7.875%, due 02/15/313   10,000    10,489 
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.          
8.250%, due 01/15/303,6   805,000    826,542 
Block, Inc.          
6.500%, due 05/15/32   200,000    203,811 
Duke University          
Series 2020,          
2.682%, due 10/01/44   300,000    220,699 
Emory University          
Series 2020,          
2.143%, due 09/01/30   200,000    182,238 
Equifax, Inc.          
4.800%, due 09/15/29   200,000    200,904 
EquipmentShare.com, Inc.          
8.000%, due 03/15/333   88,000    92,285 
8.625%, due 05/15/323   20,000    21,211 
Garda World Security Corp.          
6.500%, due 01/15/313   15,000    15,324 
Global Payments, Inc.          
4.500%, due 11/15/28   200,000    198,430 
Herc Holdings, Inc.          
5.750%, due 03/15/313   5,000    5,012 
6.000%, due 03/15/343   14,000    13,881 
7.000%, due 06/15/303   70,000    72,826 
7.250%, due 06/15/333   100,000    104,723 
Quanta Services, Inc.          
4.300%, due 08/09/28   200,000    199,749 
Verisure Midholding AB          
5.250%, due 02/15/295   EUR 100,000    117,496 
Veritiv Operating Co.          
10.500%, due 11/30/303   40,000    42,151 
Wand NewCo 3, Inc.          
7.625%, due 01/30/323   98,000    102,021 
Williams Scotsman, Inc.          
7.375%, due 10/01/313   55,000    57,281 
         2,733,558 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

   

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Computers—0.1%          
Amentum Holdings, Inc.          
7.250%, due 08/01/323   65,000   $67,282 
CACI International, Inc.          
6.375%, due 06/15/333   70,000    71,614 
Gartner, Inc.          
4.950%, due 03/20/31   200,000    194,701 
         333,597 
Distribution & wholesale—0.0%†          
Gates Corp.          
6.875%, due 07/01/293   25,000    25,718 
Resideo Funding, Inc.          
6.500%, due 07/15/323   62,000    62,570 
Windsor Holdings III LLC          
8.500%, due 06/15/303   100,000    104,389 
         192,677 
Diversified financial services—2.2%          
AerCap Ireland Capital DAC/AerCap Global Aviation Trust          
3.000%, due 10/29/28   200,000    192,716 
5.100%, due 01/19/29   50,000    50,631 
Ally Financial, Inc.          
2.200%, due 11/02/28   200,000    188,790 
Series C,          
(fixed, converts to FRN on 05/15/28),          
4.700%, due 05/15/282,6,7   104,000    100,057 
(fixed, converts to FRN on 01/17/30),          
5.543%, due 01/17/312   40,000    40,452 
Aviation Capital Group LLC          
5.375%, due 07/15/293   200,000    203,160 
6.250%, due 04/15/283   200,000    205,292 
Avolon Holdings Funding Ltd.          
5.750%, due 03/01/293   200,000    204,268 
Azorra Finance Ltd.          
6.250%, due 02/15/343   9,000    8,618 
Capital One Financial Corp.          
(fixed, converts to FRN on 05/10/27),          
4.927%, due 05/10/282   1,700,000    1,707,436 
(fixed, converts to FRN on 02/01/29),          
5.700%, due 02/01/302   100,000    102,745 
(fixed, converts to FRN on 01/30/35),          
6.183%, due 01/30/362   135,000    137,488 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Diversified financial services—(continued)          
Charles Schwab Corp.          
Series I,          
(fixed, converts to FRN on 06/01/26),          
4.000%, due 06/01/262,7   132,000   $131,784 
Series K,          
(fixed, converts to FRN on 06/01/27),          
5.000%, due 06/01/272,7   55,000    54,659 
Compeer Financial ACA          
Series QIB,          
(fixed, converts to FRN on 02/15/31),          
7.875%, due 02/15/312,3,7   1,030,000    1,045,450 
Focus Financial Partners LLC          
6.750%, due 09/15/313   25,000    25,434 
Gabx Leasing LLC          
4.625%, due 04/15/313   20,000    19,743 
5.300%, due 04/15/363   80,000    78,984 
Jane Street Group/JSG Finance, Inc.          
6.125%, due 11/01/323   65,000    65,342 
7.125%, due 04/30/313   20,000    20,735 
Lazard Group LLC          
4.375%, due 03/11/29   100,000    99,027 
Lehman Brothers Holdings, Inc.          
0.000%, due 12/30/138   1,900,000    190 
0.000%, due 01/24/498   4,500,000    450 
0.000%, due 12/30/498   900,000    90 
Navient Corp.          
5.500%, due 03/15/296   30,000    28,834 
Nomura Holdings, Inc.          
1 day USD SOFR + 1.250%,          
4.908%, due 07/02/272   200,000    201,384 
OneMain Finance Corp.          
6.500%, due 03/15/33   15,000    14,691 
6.750%, due 03/15/32   10,000    9,997 
7.125%, due 11/15/31   100,000    101,405 
Oxford Finance LLC/Oxford Finance Co-Issuer II, Inc.          
6.375%, due 02/01/273   1,660,000    1,659,605 
7.750%, due 05/15/313,4   770,000    766,149 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Diversified financial services—(continued)          
PennyMac Financial Services, Inc.          
7.125%, due 11/15/303   30,000   $30,395 
7.875%, due 12/15/293   20,000    20,751 
Private Export Funding Corp.          
3.850%, due 01/27/283   200,000    199,170 
Rocket Cos., Inc.          
6.500%, due 08/01/293   145,000    147,710 
Stonebriar ABF Issuer LLC          
8.125%, due 12/15/303   925,000    971,658 
UWM Holdings LLC          
6.625%, due 02/01/303   20,000    19,195 
Velocity Commercial Capital LLC          
9.375%, due 02/15/313   30,000    31,022 
XP, Inc.          
6.750%, due 07/02/293   35,000    35,427 
         8,920,934 
Electric—4.8%          
Adani Electricity Mumbai Ltd.          
3.949%, due 02/12/303   262,000    246,280 
Alexander Funding Trust II          
7.467%, due 07/31/283   1,475,000    1,552,368 
Algonquin Power & Utilities Corp.          
5.365%, due 06/15/26   200,000    199,995 
Alliant Energy Corp.          
(fixed, converts to FRN on 04/01/31),          
5.750%, due 04/01/562   110,000    108,122 
Alliant Energy Finance LLC          
5.950%, due 03/30/293   100,000    103,371 
Alpha Generation LLC          
6.250%, due 01/15/343   86,000    85,412 
6.750%, due 10/15/323   210,000    215,083 
Ameren Corp.          
5.000%, due 01/15/29   200,000    202,898 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Electric—(continued)          
American Electric Power Co., Inc.          
5.950%, due 11/01/326   195,000   $205,712 
Series D,          
(fixed, converts to FRN on 03/15/36),          
6.050%, due 03/15/562   55,000    54,825 
(fixed, converts to FRN on 12/15/29),          
7.050%, due 12/15/542   135,000    141,269 
Appalachian Power Co.          
Series AA,          
2.700%, due 04/01/31   200,000    182,195 
Atlantica Sustainable Infrastructure Ltd.          
4.125%, due 06/15/283   1,495,000    1,460,231 
Avangrid, Inc.          
3.800%, due 06/01/29   200,000    195,053 
Black Hills Corp.          
2.500%, due 06/15/30   200,000    183,529 
CenterPoint Energy Houston Electric LLC          
5.200%, due 10/01/28   200,000    203,831 
CenterPoint Energy, Inc.          
(fixed, converts to FRN on 04/01/31),          
5.950%, due 04/01/562   120,000    119,507 
(fixed, converts to FRN on 05/15/30),          
6.700%, due 05/15/552   170,000    173,417 
Clearway Energy Operating LLC          
5.750%, due 01/15/343   25,000    25,006 
CMS Energy Corp.          
(fixed, converts to FRN on 06/01/35),          
6.500%, due 06/01/552,6   180,000    184,424 
Comision Federal de Electricidad          
5.700%, due 01/24/303   30,000    30,210 
Constellation Energy Generation LLC          
6.125%, due 01/15/34   200,000    213,921 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Electric—(continued)          
Dominion Energy, Inc.          
Series C,          
2.250%, due 08/15/31   200,000   $177,027 
(fixed, converts to FRN on 02/15/36),          
6.200%, due 02/15/562   25,000    25,046 
(fixed, converts to FRN on 05/15/35),          
6.625%, due 05/15/552,6   205,000    209,663 
DTE Energy Co.          
5.100%, due 03/01/29   300,000    304,738 
Edison International          
5.450%, due 06/15/29   200,000    201,348 
EDP SA          
(fixed, converts to FRN on 05/29/30),          
4.750%, due 05/29/542,5  EUR  100,000    118,667 
Electricite de France SA          
5.250%, due 04/22/363   130,000    127,737 
(fixed, converts to FRN on 09/17/35),          
7.375%, due 06/17/352,5,7  GBP  100,000    139,343 
(fixed, converts to FRN on 12/06/28),          
7.500%, due 09/06/282,5,7  EUR  200,000    251,749 
Elia Group SA          
(fixed, converts to FRN on 06/15/28),          
5.850%, due 03/15/282,5,7   100,000    120,896 
Emera U.S. Finance LLC          
4.500%, due 04/01/29   100,000    99,746 
EPH Financing International AS          
6.651%, due 11/13/285  EUR  200,000    247,941 
Eversource Energy          
5.950%, due 02/01/29   100,000    103,407 
Series A,          
(fixed, converts to FRN on 08/15/31),          
6.100%, due 08/15/562   45,000    44,818 
Series B,          
(fixed, converts to FRN on 08/15/36),          
6.350%, due 08/15/562   85,000    84,962 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Electric—(continued)          
Exelon Corp.          
2.750%, due 03/15/27   200,000   $197,631 
5.150%, due 03/15/29   200,000    203,703 
FIEMEX Energia - Banco Actinver SA Institucion de Banca Multiple          
7.250%, due 01/31/413   64,383    66,701 
Georgia Power Co.          
5.004%, due 02/23/27   200,000    201,361 
IPALCO Enterprises, Inc.          
4.250%, due 05/01/30   200,000    192,954 
MidAmerican Energy Co.          
3.650%, due 04/15/29   1,400,000    1,375,047 
Monongahela Power Co.          
3.550%, due 05/15/273   1,800,000    1,788,481 
National Rural Utilities Cooperative Finance Corp.          
4.800%, due 03/15/28   100,000    100,796 
New York State Electric & Gas Corp.          
2.150%, due 10/01/313   200,000    174,654 
NextEra Energy Capital Holdings, Inc.          
3.550%, due 05/01/27   300,000    297,901 
(fixed, converts to FRN on 08/15/30),          
6.375%, due 08/15/552   50,000    51,027 
Niagara Mohawk Power Corp.          
4.278%, due 12/15/283   300,000    298,685 
NorthWestern Corp.          
5.073%, due 03/21/303   200,000    202,735 
NRG Energy, Inc.          
3.875%, due 02/15/323   3,000    2,776 
5.750%, due 07/15/293   100,000    99,954 
6.000%, due 02/01/333   25,000    25,193 
(fixed, converts to FRN on 03/15/28),          
10.250%, due 03/15/282,3,7   335,000    363,911 
Orsted AS          
(fixed, converts to FRN on 12/14/29),          
5.125%, due 12/08/222,5  EUR     100,000    118,390 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Electric—(continued)          
Pacific Gas & Electric Co.          
4.950%, due 07/01/50   52,830   $43,878 
5.550%, due 05/15/29   200,000    204,518 
6.000%, due 08/15/35   100,000    103,311 
6.100%, due 10/15/55   37,000    35,698 
6.150%, due 03/01/55   57,000    55,339 
6.400%, due 06/15/33   200,000    212,786 
6.950%, due 03/15/34   100,000    109,615 
PacifiCorp          
2.700%, due 09/15/30   100,000    91,918 
5.100%, due 02/15/29   200,000    202,414 
PG&E Corp.          
(fixed, converts to FRN on 09/15/31),          
6.850%, due 09/15/562   45,000    44,991 
Pinnacle West Capital Corp.          
1 day USD SOFR + 0.820%,          
4.474%, due 06/10/262   200,000    200,081 
Public Service Co. of Colorado          
4.150%, due 03/13/29   200,000    198,911 
Saavi Energia SARL          
8.875%, due 02/10/353   25,000    27,853 
Sempra          
(fixed, converts to FRN on 04/01/31),          
6.375%, due 04/01/562   35,000    35,399 
(fixed, converts to FRN on 10/01/34),          
6.400%, due 10/01/542   175,000    176,352 
Sierra Pacific Power Co.          
(fixed, converts to FRN on 09/15/31),          
6.375%, due 09/15/562   100,000    99,591 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Electric—(continued)          
Southern California Edison Co.          
5.150%, due 06/01/29   200,000   $202,366 
5.850%, due 11/01/27   100,000    101,829 
5.950%, due 11/01/32   775,000    809,846 
Southern Co.          
Series A,          
3.700%, due 04/30/30   200,000    193,788 
Southwestern Electric Power Co.          
Series M,          
4.100%, due 09/15/28   200,000    198,163 
System Energy Resources, Inc.          
5.300%, due 12/15/34   200,000    199,569 
Talen Energy Supply LLC          
6.250%, due 02/01/343   125,000    124,067 
Vistra Operations Co. LLC          
5.000%, due 04/30/313   100,000    99,716 
6.875%, due 04/15/323   95,000    99,177 
WEC Energy Group, Inc.          
1.800%, due 10/15/30   69,000    61,041 
XPLR Infrastructure Operating Partners LP          
4.500%, due 09/15/273   55,000    54,596 
8.625%, due 03/15/333   1,280,000    1,371,668 
         19,464,128 
Electrical components & equipment—0.0%†          
WESCO Distribution, Inc.          
5.250%, due 04/15/313   5,000    4,997 
5.500%, due 04/15/343   5,000    4,987 
6.625%, due 03/15/323   55,000    56,962 
         66,946 
Electronics—0.2%          
Arrow Electronics, Inc.          
5.150%, due 08/21/29   200,000    202,082 
Ingram Micro, Inc.          
4.750%, due 05/15/293   25,000    24,567 
Jabil, Inc.          
4.200%, due 02/01/29   200,000    197,568 
Sensata Technologies, Inc.          
6.625%, due 07/15/323   70,000    72,225 
TD SYNNEX Corp.          
6.100%, due 04/12/34   100,000    104,184 
         600,626 

 

 

 

   

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Energy-Alternate Sources—0.5%          
FS Luxembourg SARL          
8.625%, due 06/25/333   20,000   $19,500 
XPLR Infrastructure LP          
2.500%, due 06/15/263,6   1,910,000    1,901,084 
         1,920,584 
Engineering & construction—0.0%†          
Global Infrastructure Solutions, Inc.          
5.625%, due 06/01/293   40,000    39,934 
           
Entertainment—0.3%          
Churchill Downs, Inc.          
5.750%, due 04/01/303   45,000    44,853 
6.750%, due 05/01/313   270,000    276,161 
Cirsa Finance International SARL          
7.875%, due 07/31/285  EUR    100,000    120,902 
Discovery Global Holdings, Inc.          
4.054%, due 03/15/29   300,000    291,969 
5.050%, due 03/15/42   25,000    17,838 
Light & Wonder International, Inc.          
6.250%, due 10/01/333   55,000    54,544 
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp.          
4.875%, due 05/01/293   30,000    29,331 
SeaWorld Parks & Entertainment, Inc.          
5.250%, due 08/15/293,6   65,000    62,841 
Six Flags Entertainment Corp./Six Flags Theme Parks, Inc./Canada's Wonderland Co.          
6.625%, due 05/01/323,6   118,000    120,099 
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.          
6.250%, due 03/15/333   5,000    5,025 
         1,023,563 
Food—0.8%          
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC          
5.625%, due 03/31/323   85,000    83,854 
5.750%, due 03/31/343   35,000    34,073 
Conagra Brands, Inc.          
4.850%, due 11/01/28   100,000    100,190 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Food—(continued)          
JBS NV/JBS USA Foods Group Holdings, Inc./JBS USA Food Co. Holdings          
5.950%, due 04/20/35   30,000   $31,058 
6.375%, due 02/25/55   320,000    316,688 
6.500%, due 12/01/52   45,000    45,131 
Kroger Co.          
5.400%, due 01/15/49   115,000    107,386 
Mars, Inc.          
4.800%, due 03/01/303   200,000    202,026 
5.000%, due 03/01/323   1,005,000    1,019,524 
Minerva Luxembourg SA          
7.500%, due 04/22/363   20,000    19,610 
8.875%, due 09/13/333   45,000    47,995 
Nestle Capital Corp.          
4.200%, due 03/18/313,6   935,000    926,667 
Performance Food Group, Inc.          
4.250%, due 08/01/293   20,000    19,390 
5.625%, due 03/01/343   50,000    48,958 
6.125%, due 09/15/323   10,000    10,137 
U.S. Foods, Inc.          
5.750%, due 04/15/333   30,000    30,110 
        3,042,797 
Food service—0.0%†          
TKC Holdings, Inc.          
8.500%, due 08/15/303   42,000    42,991 
           
Forest products & paper—0.0%†          
Celulosa Arauco y Constitucion SA          
4.200%, due 01/29/303   40,000    38,000 
Suzano Netherlands BV          
5.500%, due 01/15/36   10,000    9,808 
        47,808 
Gas—0.7%          
National Fuel Gas Co.          
2.950%, due 03/01/31   300,000    273,487 
NiSource, Inc.          
3.600%, due 05/01/30   200,000    193,074 
(fixed, converts to FRN on 07/15/31),          
5.750%, due 07/15/562   95,000    95,017 
Southern California Gas Co.          
2.950%, due 04/15/27   100,000    99,051 
5.050%, due 09/01/34   1,100,000    1,102,497 
5.450%, due 06/15/356   665,000    681,050 
Southwest Gas Corp.          
4.050%, due 03/15/32   200,000    190,836 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face
amount1
  Value 
Corporate bonds—(continued)          
Gas—(continued)          
Spire, Inc.          
(fixed, converts to FRN on 06/01/31),          
6.250%, due 06/01/562    40,000  $39,863 
(fixed, converts to FRN on 06/01/36),          
6.450%, due 06/01/562    45,000   45,112 
        2,719,987 
Healthcare-products—0.1%          
Bausch & Lomb Corp.          
8.375%, due 10/01/283    65,000   67,113 
Medline Borrower LP          
3.875%, due 04/01/293    110,000   106,872 
Zimmer Biomet Holdings, Inc.          
5.350%, due 12/01/28    200,000   204,264 
        378,249 
Healthcare-services—0.9%          
Acadia Healthcare Co., Inc.          
5.000%, due 04/15/293    25,000   24,463 
Centene Corp.          
2.625%, due 08/01/31    300,000   260,075 
3.000%, due 10/15/30    1,380,000   1,240,714 
3.375%, due 02/15/30    25,000   23,231 
4.625%, due 12/15/29    60,000   58,494 
Cigna Group          
4.375%, due 10/15/28    200,000   200,017 
CommonSpirit Health          
4.352%, due 09/01/30    50,000   49,169 
Series 2025,          
4.975%, due 09/01/35    50,000   48,491 
Eurofins Scientific SE          
(fixed, converts to FRN on 07/24/28),          
6.750%, due 04/24/282,5,7   EUR100,000   122,343 
Global Medical Response, Inc.          
7.375%, due 10/01/323    93,000   96,947 
HCA, Inc.          
3.125%, due 03/15/27    200,000   198,101 
4.125%, due 06/15/29    49,000   48,341 
Icon Investments Six DAC          
5.809%, due 05/08/27    200,000   201,511 
LifePoint Health, Inc.          
7.000%, due 05/01/343    60,000   58,504 
8.375%, due 02/15/323    10,000   10,492 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

  

   Face
amount1
   Value 
Corporate bonds—(continued)          
Healthcare-services—(continued)          
Molina Healthcare, Inc.          
6.250%, due 01/15/333   60,000   $59,937 
6.500%, due 02/15/313   15,000    15,262 
Sutter Health          
Series 2025,          
5.213%, due 08/15/32   735,000    751,730 
UnitedHealth Group, Inc.          
4.650%, due 01/15/31   75,000    75,466 
5.300%, due 06/15/356   20,000    20,400 
        3,563,688 
Home builders—0.0%†          
Beazer Homes USA, Inc.          
7.250%, due 10/15/29   15,000    15,195 
Installed Building Products, Inc.          
5.625%, due 02/01/343   25,000    24,876 
K Hovnanian Enterprises, Inc.          
8.375%, due 10/01/333   35,000    35,162 
Mattamy Group Corp.          
6.000%, due 12/15/333   55,000    52,804 
        128,037 
Housewares—0.0%†          
Newell Brands, Inc.          
6.375%, due 05/15/306   7,000    6,856 
6.625%, due 09/15/29   5,000    4,997 
8.500%, due 06/01/283   15,000    15,674 
        27,527 
Insurance—6.8%          
Acrisure LLC/Acrisure Finance, Inc.          
6.750%, due 07/01/323   5,000    4,926 
7.500%, due 11/06/303   15,000    15,233 
Aegon Ltd.          
(fixed, converts to FRN on 04/11/28),          
5.500%, due 04/11/482   1,105,000    1,106,075 
American National Global Funding          
4.625%, due 12/15/283   700,000    695,404 
5.250%, due 06/03/303   860,000    860,871 
5.550%, due 01/28/303,6   720,000    730,616 
Ascot Group Ltd.          
(fixed, converts to FRN on 06/15/30),          
6.349%, due 06/15/352,3   585,000    596,459 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Insurance—(continued)          
Athene Global Funding          
1 day USD SOFR Index + 1.030%,          
4.688%, due 08/27/262,3   100,000   $100,102 
4.721%, due 10/08/293   870,000    857,900 
5.033%, due 07/17/303   1,295,000    1,282,502 
5.583%, due 01/09/293   200,000    202,745 
Bowhead Specialty Holdings, Inc.          
7.750%, due 12/01/30   590,000    582,868 
Corebridge Financial, Inc.          
(fixed, converts to FRN on 12/15/27),          
6.875%, due 12/15/522   1,690,000    1,715,360 
Corebridge Global Funding          
5.750%, due 07/02/263   100,000    100,200 
DaVinciRe Holdings Ltd.          
5.950%, due 04/15/353   540,000    545,601 
Enstar Finance LLC          
(fixed, converts to FRN on 01/15/27),          
5.500%, due 01/15/422   2,165,000    2,124,087 
Enstar Group Ltd.          
(fixed, converts to FRN on 04/01/35),          
7.500%, due 04/01/452,3   755,000    781,596 
Equitable Holdings, Inc.          
4.350%, due 04/20/28   100,000    99,595 
(fixed, converts to FRN on 03/28/35),          
6.700%, due 03/28/552,6   110,000    112,816 
F&G Annuities & Life, Inc.          
7.400%, due 01/13/28   2,715,000    2,768,917 
F&G Global Funding          
5.875%, due 06/10/273   100,000    101,112 
Fidelis Insurance Holdings Ltd.          
(fixed, converts to FRN on 06/15/35),          
7.750%, due 06/15/552   815,000    860,363 
Fidelity National Financial, Inc.          
3.400%, due 06/15/30   67,000    63,166 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Insurance—(continued)          
Global Atlantic Fin Co.          
(fixed, converts to FRN on 10/15/26),          
4.700%, due 10/15/512,3   420,000   $411,635 
(fixed, converts to FRN on 10/15/29),          
7.950%, due 10/15/542,3   510,000    511,443 
HUB International Ltd.          
7.250%, due 06/15/303   112,000    115,861 
Jackson National Life Global Funding          
4.550%, due 09/09/303   200,000    196,536 
Liberty Mutual Group, Inc.          
(fixed, converts to FRN on 12/15/26),          
4.125%, due 12/15/512,3   110,000    108,797 
MassMutual Global Funding II          
1 day USD SOFR + 0.980%,          
4.629%, due 07/10/262,3   200,000    200,266 
MetLife, Inc.          
Series G,          
(fixed, converts to FRN on 03/15/35),          
6.350%, due 03/15/552   45,000    46,065 
Metropolitan Life Global Funding I          
4.300%, due 08/25/293   1,120,000    1,113,692 
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen          
(fixed, converts to FRN on 05/23/32),          
5.875%, due 05/23/422,3   1,000,000    1,025,362 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Insurance—(continued)          
Mutual of Omaha Cos Global Funding          
5.000%, due 04/01/303    100,000  $100,968 
5.350%, due 04/09/273    250,000   252,706 
Northwestern Mutual Global Funding          
4.350%, due 09/15/273    985,000   985,712 
Pacific Life Global Funding II          
5.500%, due 07/18/283    100,000   102,316 
Protective Life Global Funding          
5.215%, due 06/12/293    200,000   203,410 
Prudential Financial, Inc.          
(fixed, converts to FRN on 02/28/32),          
5.125%, due 03/01/522    70,000   68,224 
RGA Global Funding          
6.000%, due 11/21/283    200,000   206,528 
SiriusPoint Ltd.          
7.000%, due 04/05/29    1,025,000   1,073,853 
Stewart Information Services Corp.          
3.600%, due 11/15/31    1,215,000   1,081,902 
Swiss Re Finance Luxembourg SA          
(fixed, converts to FRN on 04/02/29),          
5.000%, due 04/02/492,3    3,400,000   3,381,004 
        27,494,794 
Internet—1.1%          
Airbnb, Inc.          
4.400%, due 03/16/29    100,000   99,862 
Alphabet, Inc.          
4.400%, due 02/15/33    620,000   610,447 
Amazon.com, Inc.          
4.550%, due 03/13/33    565,000   558,122 
Beignet Investor LLC          
6.581%, due 05/30/493    2,104,000   2,172,887 
Expedia Group, Inc.          
3.800%, due 02/15/28    100,000   98,747 
Meta Platforms, Inc.          
4.600%, due 11/15/32    505,000   498,928 
5.250%, due 05/15/36    90,000   89,748 
6.300%, due 05/15/56    110,000   110,169 
United Group BV          
5.250%, due 02/01/305   EUR100,000   116,550 
Wayfair LLC          
7.250%, due 10/31/293    45,000   46,115 
         4,401,575 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Investment companies—3.2%          
Abu Dhabi Developmental Holding Co. PJSC          
4.375%, due 10/02/313   200,000   $195,000 
BlackRock TCP Capital Corp.          
6.950%, due 05/30/296   565,000    558,637 
Blackstone Private Credit Fund          
7.300%, due 11/27/28   1,975,000    2,040,382 
Blackstone Secured Lending Fund          
5.250%, due 09/04/29   100,000    98,583 
Blue Owl Capital Corp.          
2.875%, due 06/11/28   1,100,000    1,031,881 
Blue Owl Credit Income Corp.          
7.750%, due 09/16/27   950,000    967,366 
Blue Owl Technology Finance Corp.          
6.100%, due 03/15/286   505,000    502,914 
Drawbridge Special Opportunities Fund LP/Drawbridge Special Opportunities Finance          
5.950%, due 09/17/303   810,000    767,459 
Franklin BSP Capital Corp.          
6.000%, due 10/02/303   535,000    512,893 
FS KKR Capital Corp.          
3.125%, due 10/12/28   35,000    32,789 
Golub Capital BDC, Inc.          
7.050%, due 12/05/28   200,000    205,723 
HA Sustainable Infrastructure Capital, Inc.          
6.375%, due 07/01/34   1,400,000    1,433,769 
6.750%, due 07/15/35   1,255,000    1,312,302 
HAT Holdings I LLC/HAT Holdings II LLC          
3.375%, due 06/15/263   1,900,000    1,896,065 
Oaktree Strategic Credit Fund          
6.500%, due 07/23/296   1,365,000    1,378,564 
        12,934,327 
Iron & steel—0.1%          
Cleveland-Cliffs, Inc.          
6.875%, due 11/01/293   40,000    40,761 
7.000%, due 03/15/323   25,000    24,984 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Iron & steel—(continued)          
Metinvest BV          
7.650%, due 10/01/273   25,000   $23,750 
7.750%, due 10/17/293   110,000    95,700 
Mineral Resources Ltd.          
6.000%, due 05/01/323   20,000    19,845 
6.250%, due 05/01/343   20,000    19,749 
7.000%, due 04/01/313   40,000    41,519 
Vale Overseas Ltd.          
6.400%, due 06/28/54   10,000    10,238 
         276,546 
Leisure time—0.1%          
Carnival Corp.          
5.875%, due 06/15/313   20,000    20,284 
6.125%, due 02/15/333   105,000    106,539 
NCL Corp. Ltd.          
6.750%, due 02/01/323   70,000    69,657 
7.750%, due 02/15/293   10,000    10,439 
Patrick Industries, Inc.          
6.375%, due 11/01/323   85,000    85,522 
Viking Cruises Ltd.          
7.000%, due 02/15/293   30,000    30,081 
Viking Ocean Cruises Ship VII Ltd.          
5.625%, due 02/15/293   10,000    9,993 
         332,515 
Lodging—0.1%          
Las Vegas Sands Corp.          
6.000%, due 08/15/29   200,000    205,785 
Marriott International, Inc.          
5.100%, due 05/01/38   11,000    10,550 
5.550%, due 10/15/28   200,000    205,148 
Melco Resorts Finance Ltd.          
5.625%, due 07/17/273   105,000    104,664 
Wyndham Hotels & Resorts, Inc.          
5.625%, due 03/01/333   25,000    24,739 
         550,886 
Machinery-construction & mining—0.0%†          
Manitowoc Co., Inc.          
9.250%, due 10/01/313   25,000    26,730 
Terex Corp.          
6.250%, due 10/15/323   85,000    86,391 
Vertiv Holdings Co.          
5.800%, due 03/15/56   50,000    48,491 
         161,612 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Machinery-diversified—0.0%†          
Columbus McKinnon Corp.          
7.125%, due 02/01/333    81,000  $81,462 
Esab Corp.          
5.625%, due 04/01/313    5,000   5,046 
Lsf12 Helix Parent LLC          
7.125%, due 02/01/333    54,000   52,711 
TK Elevator Midco GmbH          
4.375%, due 07/15/275   EUR18,909   22,209 
         161,428 
Media—0.4%          
CCO Holdings LLC/CCO Holdings Capital Corp.          
4.500%, due 08/15/303    190,000   177,225 
4.750%, due 03/01/303    65,000   61,615 
4.750%, due 02/01/323    120,000   107,452 
5.375%, due 06/01/293    20,000   19,677 
Charter Communications Operating LLC/Charter Communications Operating Capital          
2.250%, due 01/15/29    200,000   186,916 
3.500%, due 06/01/41    200,000   138,735 
4.800%, due 03/01/50    663,000   487,408 
5.750%, due 04/01/48    55,000   46,038 
Fox Corp.          
4.709%, due 01/25/29    100,000   100,236 
McGraw-Hill Education, Inc.          
7.375%, due 09/01/313    25,000   25,831 
Midcontinent Communications          
8.000%, due 08/15/323    40,000   37,645 
Nexstar Media, Inc.          
6.500%, due 09/15/333    275,000   277,116 
Paramount Global          
4.375%, due 03/15/43    15,000   9,565 
4.900%, due 08/15/44    15,000   9,837 
4.950%, due 01/15/31    20,000   18,866 
5.850%, due 09/01/43    15,000   11,011 
6.875%, due 04/30/36    20,000   18,605 
7.875%, due 07/30/30    15,000   15,962 
         1,749,740 
Metal fabricate/hardware—0.0%†          
Advanced Drainage Systems, Inc.          
5.375%, due 03/01/343    25,000   24,647 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Mining—0.1%          
Capstone Copper Corp.          
6.750%, due 03/31/333   112,000   $113,980 
Century Aluminum Co.          
6.875%, due 08/01/323   35,000    36,232 
Corp. Nacional del Cobre de Chile          
5.529%, due 01/30/373   10,000    9,862 
First Quantum Minerals Ltd.          
7.250%, due 02/15/343   10,000    10,309 
Kaiser Aluminum Corp.          
4.500%, due 06/01/313   40,000    38,371 
5.875%, due 03/01/343   25,000    25,039 
Nexa Resources SA          
6.600%, due 04/08/373   10,000    10,424 
Novelis Corp.          
4.750%, due 01/30/303   40,000    38,250 
6.375%, due 08/15/333   35,000    35,147 
Southern Copper Corp.          
5.250%, due 11/08/42   10,000    9,500 
Taseko Mines Ltd.          
8.250%, due 05/01/303   45,000    47,108 
         374,222 
Miscellaneous manufacturers—0.0%†          
Amsted Industries, Inc.          
6.375%, due 03/15/333   55,000    55,952 
Avient Corp.          
6.250%, due 11/01/313   63,000    63,915 
         119,867 
Oil & gas—1.0%          
3R Lux SARL          
9.750%, due 02/05/313   30,000    31,531 
Ascent Resources Utica Holdings LLC/ARU Finance Corp.          
5.875%, due 06/30/293   20,000    20,026 
6.625%, due 10/15/323   35,000    35,916 
Canadian Natural Resources Ltd.          
5.000%, due 12/15/29   100,000    101,434 
Caturus Energy LLC          
7.125%, due 05/15/313   29,000    29,080 
8.500%, due 02/15/303   50,000    52,279 
ConocoPhillips Co.          
5.500%, due 01/15/55   70,000    66,542 
Crescent Energy Finance LLC          
7.375%, due 01/15/333   20,000    20,469 
7.625%, due 04/01/323   40,000    41,187 
DBR Land Holdings LLC          
6.250%, due 12/01/303   15,000    15,356 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Ecopetrol SA          
4.625%, due 11/02/31   50,000   $44,930 
5.875%, due 11/02/51   10,000    7,394 
EOG Resources, Inc.          
5.350%, due 01/15/36   90,000    91,321 
FORESEA Holding SA          
7.500%, due 06/15/305   20,272    20,044 
Geopark Ltd.          
8.750%, due 01/31/303,6   10,000    10,025 
Hilcorp Energy I LP/Hilcorp Finance Co.          
5.750%, due 02/01/293   20,000    19,988 
6.875%, due 05/15/343   65,000    65,323 
Infinity Natural Resources LLC          
7.625%, due 04/01/313   25,000    25,423 
Matador Resources Co.          
6.000%, due 04/15/343   20,000    20,076 
6.500%, due 04/15/323   40,000    40,847 
Northern Oil & Gas, Inc.          
8.750%, due 06/15/313   70,000    73,096 
Occidental Petroleum Corp.          
5.375%, due 01/01/32   100,000    102,098 
Permian Resources Operating LLC          
6.250%, due 02/01/333   40,000    40,955 
7.000%, due 01/15/323   125,000    130,027 
Pertamina Persero PT          
6.450%, due 05/30/443   40,000    40,988 
Petrobras Global Finance BV          
5.500%, due 06/10/51   20,000    16,397 
Petroleos Mexicanos          
6.350%, due 02/12/48   85,000    68,850 
6.700%, due 02/16/32   20,000    20,070 
6.750%, due 09/21/47   30,000    25,275 
6.950%, due 01/28/60   30,000    24,915 
7.690%, due 01/23/50   115,000    105,627 
Saudi Arabian Oil Co.          
5.375%, due 06/02/353   200,000    202,252 
5.750%, due 07/17/543   30,000    28,284 
6.000%, due 02/02/563   20,000    19,537 
SM Energy Co.          
8.625%, due 11/01/303   40,000    42,311 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Sunoco LP          
5.375%, due 07/15/313    660,000  $656,908 
7.000%, due 05/01/293    1,185,000   1,223,693 
TGNR Intermediate Holdings LLC          
5.500%, due 10/15/293    35,000   34,524 
TotalEnergies Capital USA LLC          
4.248%, due 01/13/31    200,000   197,932 
TotalEnergies SE          
(fixed, converts to FRN on 11/19/34),          
4.500%, due 08/19/342,5,7   EUR200,000   231,558 
Transocean International Ltd.          
7.875%, due 10/15/323    15,000   16,073 
         4,060,561 
Oil & gas services—0.1%          
Archrock Partners LP/Archrock Partners Finance Corp.          
6.625%, due 09/01/323    65,000   66,882 
Baker Hughes Holdings LLC/Baker Hughes Co-Obligor, Inc.          
5.000%, due 06/15/36    120,000   118,095 
5.850%, due 06/15/56    120,000   118,448 
Kodiak Gas Services LLC          
5.875%, due 04/01/313    70,000   70,509 
USA Compression Partners LP/USA Compression Finance Corp.          
6.250%, due 10/01/333    24,000   24,219 
7.125%, due 03/15/293    75,000   77,508 
WBI Operating LLC          
6.250%, due 10/15/303    20,000   20,278 
6.500%, due 10/15/333    59,000   59,635 
         555,574 
Packaging & containers—0.2%          
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC          
2.000%, due 09/01/285   EUR100,000   113,587 
6.250%, due 01/30/313    32,000   32,218 
Canpack Group, Inc./CANPACK SA          
6.000%, due 05/15/313    15,000   15,007 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Packaging & containers—(continued)          
Clydesdale Acquisition Holdings, Inc.          
6.750%, due 04/15/323    25,000  $23,520 
6.875%, due 01/15/303    15,000   14,666 
Mauser Packaging Solutions Holding Co.          
7.875%, due 04/15/303    324,000   327,617 
Sword Purchaser LLC          
8.250%, due 04/15/333    49,000   50,135 
10.500%, due 04/15/343    25,000   25,438 
Trivium Packaging Finance BV          
8.250%, due 07/15/303    83,000   86,543 
WRKCo, Inc.          
4.900%, due 03/15/29    100,000   100,828 
         789,559 
Pharmaceuticals—1.1%          
Adapthealth LLC          
6.125%, due 08/01/283    20,000   19,996 
Bayer U.S. Finance LLC          
6.125%, due 11/21/263    400,000   403,011 
CVS Health Corp.          
5.050%, due 03/25/48    170,000   146,669 
5.125%, due 07/20/45    35,000   30,928 
(fixed, converts to FRN on 12/10/34),          
6.750%, due 12/10/542    90,000   93,242 
CVS Pass-Through Trust Series 2013,          
4.704%, due 01/10/363    2,048,576   1,884,467 
Grifols SA          
7.500%, due 05/01/305   EUR100,000   121,878 
Nidda Healthcare Holding GmbH          
5.625%, due 02/21/305    100,000   118,168 
Novartis Capital Corp.          
4.600%, due 03/18/33    485,000   481,613 
Organon & Co./Organon Foreign Debt Co-Issuer BV          
5.125%, due 04/30/313    690,000   685,617 
Pfizer Investment Enterprises Pte. Ltd.          
4.750%, due 05/19/33    200,000   199,142 
Teva Pharmaceutical Finance Netherlands II BV          
4.375%, due 05/09/30   EUR100,000   118,737 
         4,303,468 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pipelines—1.2%          
Antero Midstream Partners LP/Antero Midstream Finance Corp.          
5.375%, due 06/15/293   65,000   $64,934 
6.625%, due 02/01/323   200,000    205,094 
Cheniere Energy Partners LP          
3.250%, due 01/31/32   200,000    183,050 
CQP Holdco LP/BIP-V Chinook Holdco LLC          
5.500%, due 06/15/313   5,000    4,939 
7.500%, due 12/15/333   180,000    191,382 
Enbridge, Inc.          
4.900%, due 06/20/30   200,000    201,594 
5.300%, due 04/05/29   200,000    204,244 
Series 20-A,          
(fixed, converts to FRN on 07/15/30),          
5.750%, due 07/15/802   23,000    23,134 
(fixed, converts to FRN on 06/27/34),          
7.200%, due 06/27/542   62,000    66,291 
Series NC5,          
(fixed, converts to FRN on 01/15/29),          
8.250%, due 01/15/842   100,000    105,625 
Energy Transfer LP          
5.250%, due 04/15/29   200,000    203,888 
5.250%, due 07/01/29   200,000    204,214 
6.100%, due 12/01/28   200,000    207,513 
Excelerate Energy LP          
8.000%, due 05/15/303   10,000    10,605 
Galaxy Pipeline Assets Bidco Ltd.          
2.940%, due 09/30/403   16,978    14,013 
Genesis Energy LP/Genesis Energy Finance Corp.          
6.750%, due 03/15/34   42,000    42,303 
8.000%, due 05/15/33   50,000    52,637 
Golar LNG Ltd.          
7.500%, due 10/02/303   64,000    65,120 
Greensaif Pipelines Bidco SARL          
5.853%, due 02/23/363   200,000    204,600 
Harvest Midstream I LP          
7.500%, due 09/01/283   30,000    30,198 
7.500%, due 05/15/323   65,000    67,675 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pipelines—(continued)          
Howard Midstream Energy Partners LLC          
6.625%, due 01/15/343   31,000   $31,536 
7.375%, due 07/15/323   130,000    135,559 
Kinder Morgan, Inc.          
7.750%, due 01/15/32   200,000    229,065 
Kinetik Holdings LP          
5.875%, due 06/15/303   60,000    60,203 
MPLX LP          
5.000%, due 03/01/33   200,000    199,000 
NGL Energy Operating LLC/NGL Energy Finance Corp.          
8.125%, due 02/15/293   40,000    41,463 
8.375%, due 02/15/323   25,000    26,240 
ONEOK, Inc.          
5.050%, due 11/01/34   300,000    294,058 
5.375%, due 06/01/29   200,000    204,150 
5.650%, due 11/01/28   200,000    205,184 
Rockies Express Pipeline LLC          
6.750%, due 03/15/333   35,000    36,492 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.          
6.000%, due 09/01/313   40,000    40,219 
6.750%, due 03/15/343   22,000    22,479 
Venture Global Calcasieu Pass LLC          
3.875%, due 08/15/293   100,000    95,795 
6.000%, due 05/01/363   25,000    25,195 
Venture Global LNG, Inc.          
8.125%, due 06/01/283   25,000    25,581 
8.375%, due 06/01/313   93,000    96,965 
9.500%, due 02/01/293   25,000    27,284 
9.875%, due 02/01/323   30,000    32,186 
Venture Global Plaquemines LNG LLC          
6.500%, due 01/15/343   100,000    104,750 
6.500%, due 06/15/343   70,000    73,250 
Williams Cos., Inc.          
4.800%, due 11/15/29   200,000    201,810 
5.300%, due 09/30/35   70,000    70,078 
         4,631,595 
Private Equity —0.0%†          
Carlyle Finance Subsidiary LLC          
3.500%, due 09/19/293   200,000    192,744 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Real estate—0.2%          
CBRE Services, Inc.          
5.500%, due 04/01/29    200,000  $204,855 
CoStar Group, Inc.          
2.800%, due 07/15/303    200,000   181,598 
CPI Property Group SA          
(fixed, converts to FRN on 06/24/31),          
7.500%, due 03/26/312,5,7   EUR102,000   109,421 
Heimstaden Bostad AB          
(fixed, converts to FRN on 01/29/28),          
3.000%, due 10/29/272,5,7    100,000   112,161 
Newmark Group, Inc.          
7.500%, due 01/12/29    200,000   210,540 
         818,575 
Real estate investment trusts—1.6%          
Arbor Realty SR, Inc. Series QIB,          
8.500%, due 10/15/273    2,395,000   2,377,407 
Blackstone Mortgage Trust, Inc.          
3.750%, due 01/15/273    10,000   9,852 
7.750%, due 12/01/293    50,000   53,037 
CFE Fibra E          
5.875%, due 09/23/403    19,716   19,526 
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer          
5.875%, due 10/01/283    15,000   14,964 
7.000%, due 02/01/303    209,000   213,375 
Pebblebrook Hotel LP/PEB Finance Corp.          
6.375%, due 10/15/293    20,000   20,324 
RHP Hotel Properties LP/RHP Finance Corp.          
6.500%, due 04/01/323    230,000   236,006 
RLJ Lodging Trust LP          
4.000%, due 09/15/293    75,000   70,867 
SBA Tower Trust          
6.599%, due 01/15/283    3,100,000   3,148,527 
Starwood Property Trust, Inc.          
5.750%, due 01/15/313    12,000   11,988 
6.500%, due 07/01/303    95,000   97,332 
XHR LP          
4.875%, due 06/01/293    15,000   14,723 
         6,287,928 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Retail—0.4%          
Advance Auto Parts, Inc.          
7.000%, due 08/01/303    35,000  $36,105 
7.375%, due 08/01/333    20,000   20,637 
Bath & Body Works, Inc.          
6.625%, due 10/01/303    8,000   8,107 
6.750%, due 07/01/36    5,000   4,862 
6.875%, due 11/01/35    34,000   33,540 
Ceconomy AG          
6.250%, due 07/15/295   EUR100,000   121,248 
Cougar JV Subsidiary LLC          
8.000%, due 05/15/323    60,000   63,089 
Macy's Retail Holdings LLC          
5.875%, due 03/15/303    362,000   361,016 
7.375%, due 08/01/333,6    665,000   692,676 
Michaels Cos., Inc.          
8.500%, due 03/15/333    35,000   34,564 
Petco Health & Wellness Co., Inc.          
8.250%, due 02/01/313    34,000   34,336 
PetSmart LLC/PetSmart Finance Corp.          
7.500%, due 09/15/323    45,000   45,567 
         1,455,747 
Savings & loans—0.2%          
Axos Financial, Inc.          
(fixed, converts to FRN on 10/01/30),          
7.000%, due 10/01/352    540,000   550,800 
Nationwide Building Society          
(fixed, converts to FRN on 02/16/27),          
2.972%, due 02/16/282,3    200,000   197,674 
(fixed, converts to FRN on 10/18/26),          
6.557%, due 10/18/272,3    250,000   252,501 
         1,000,975 
Semiconductors—0.6%          
Amkor Technology, Inc.          
5.875%, due 10/01/333    50,000   50,272 
ams-OSRAM AG          
12.250%, due 03/30/293    1,800,000   1,922,031 
Broadcom, Inc.          
4.926%, due 05/15/373    268,000   261,103 
5.050%, due 07/12/29    200,000   203,878 
         2,437,284 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Shipbuilding—0.0%†          
Huntington Ingalls Industries, Inc.          
2.043%, due 08/16/28    200,000  $189,650 
Software—1.3%          
CoreWeave, Inc.          
9.000%, due 02/01/313,6    585,000   581,291 
9.250%, due 06/01/303,6    410,000   415,169 
9.750%, due 10/01/313    79,000   79,457 
Fair Isaac Corp.          
6.000%, due 05/15/333    25,000   24,656 
6.250%, due 09/15/343    25,000   24,609 
Fidelity National Information Services, Inc.          
4.550%, due 03/10/29    675,000   672,364 
4.800%, due 03/10/31    85,000   84,546 
Fiserv, Inc.          
4.200%, due 10/01/28    100,000   98,916 
OAK-Eagle Acquireco, Inc.          
7.250%, due 07/01/333    65,000   66,977 
8.750%, due 07/01/343    35,000   36,422 
Oracle Corp.          
2.875%, due 03/25/31    200,000   177,747 
3.850%, due 04/01/60    200,000   115,886 
4.200%, due 09/27/29    200,000   194,430 
4.650%, due 05/06/30    100,000   98,030 
5.700%, due 02/04/36    65,000   62,423 
6.700%, due 02/04/56    255,000   235,009 
6.850%, due 02/04/66    30,000   27,564 
Paychex, Inc.          
5.350%, due 04/15/32    200,000   201,788 
Salesforce, Inc.          
4.500%, due 03/15/28    100,000   100,094 
4.650%, due 03/15/29    100,000   100,195 
5.550%, due 03/15/36    1,765,000   1,760,124 
         5,157,697 
Telecommunications—1.5%          
Altice France SA          
7.250%, due 11/01/293   EUR152,439   180,262 
APLD ComputeCo 2 LLC          
6.750%, due 03/15/313    67,000   66,334 
APLD ComputeCo LLC          
9.250%, due 12/15/303    10,000   10,749 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
AT&T, Inc.          
5.250%, due 10/30/36    135,000  $133,408 
6.200%, due 10/30/56    55,000   54,484 
Bell Telephone Co. of Canada or Bell Canada          
(fixed, converts to FRN on 09/15/30),          
6.875%, due 09/15/552    75,000   76,946 
Black Pearl Compute LLC          
6.125%, due 02/15/313    118,000   119,721 
British Telecommunications PLC          
(fixed, converts to FRN on 12/20/28),          
8.375%, due 12/20/832,5   GBP100,000   143,049 
Cipher Compute LLC          
7.125%, due 11/15/303    53,000   54,935 
Connect Finco SARL/Connect U.S. Finco LLC          
9.000%, due 09/15/293    1,350,000   1,423,827 
Core Scientific Finance I LLC          
7.750%, due 05/15/313,4    50,000   49,875 
Fibercop SpA          
6.000%, due 09/30/343    9,000   8,631 
Series 2033,          
6.375%, due 11/15/333    55,000   54,931 
7.200%, due 07/18/363    15,000   14,963 
Flash Compute LLC          
7.250%, due 12/31/303    18,000   18,361 
Iliad Holding SAS          
5.625%, due 10/15/285   EUR100,000   118,298 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face    
    amount1  Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
Level 3 Financing, Inc.          
6.875%, due 06/30/333    63,000  $65,018 
7.000%, due 03/31/343    60,000   62,234 
8.500%, due 01/15/363    10,000   10,710 
Lorca Telecom Bondco SA          
4.000%, due 09/18/275   EUR14,894   17,503 
Meridian Arc Holdco LLC          
6.250%, due 04/30/313    135,000   134,969 
Motorola Solutions, Inc.          
2.300%, due 11/15/30    200,000   180,657 
PR RNO Property Owner 1 LLC          
6.500%, due 05/01/313    75,000   74,341 
QTS Fayetteville I Dc1-2 LLC/QTS TRS Fayetteville I DC1-2 LLC          
5.700%, due 04/15/363    810,000   787,805 
Road Michigan Property Owner I LLC          
7.500%, due 03/30/453    600,000   599,879 
Rogers Communications, Inc.          
3.800%, due 03/15/32    114,000   106,522 
(fixed, converts to FRN on 07/31/31),          
6.875%, due 07/31/562    55,000   55,858 
(fixed, converts to FRN on 04/15/30),          
7.000%, due 04/15/552    90,000   91,862 
(fixed, converts to FRN on 04/15/35),          
7.125%, due 04/15/552    50,000   51,581 
SV RNO Property Owner 1 LLC          
5.875%, due 03/01/313    113,000   110,870 
Telecom Italia Capital SA          
6.000%, due 09/30/34    10,000   10,284 
6.375%, due 11/15/33    15,000   15,741 
Telefonica Europe BV          
(fixed, converts to FRN on 09/24/27),          
2.875%, due 06/24/272,5,7   EUR100,000   115,890 
TELUS Corp.          
(fixed, converts to FRN on 06/09/36),          
6.625%, due 06/09/562    70,000   69,615 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
T-Mobile USA, Inc.          
2.050%, due 02/15/28   100,000   $95,991 
2.550%, due 02/15/31   200,000    181,854 
Uniti Services LLC          
7.500%, due 10/15/333   33,000    34,744 
Vmed O2 U.K. Financing I PLC          
4.500%, due 07/15/315   GBP  100,000    117,060 
Vodafone Group PLC          
(fixed, converts to FRN on 08/27/30),          
3.000%, due 08/27/802,5  EUR  100,000    111,157 
5.750%, due 06/28/546   70,000    66,445 
(fixed, converts to FRN on 08/30/29),          
6.500%, due 08/30/842,5  EUR  100,000    124,974 
Windstream Services LLC/Windstream Escrow Finance Corp.          
8.250%, due 10/01/313   20,000    21,154 
Zayo Group Holdings, Inc.          
5.750% Cash and 0.500% PIK,          
9.250%, due 03/09/303,9   44,089    44,111 
         5,887,603 
Transportation—0.0%†          
MV24 Capital BV          
6.748%, due 06/01/343   27,761    28,008 
XPO, Inc.          
7.125%, due 02/01/323   60,000    62,570 
         90,578 
Venture capital—0.2%          
Hercules Capital, Inc.          
5.350%, due 02/10/296   690,000    680,562 
           
Water—0.1%          
Holding d'Infrastructures des Metiers de l'Environnement SAS          
3.875%, due 01/31/315  EUR  100,000    115,149 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)          
Water—(continued)          
Veolia Environnement SA          
(fixed, converts to FRN on 08/20/30),          
4.371%, due 05/20/302,5,6,7   100,000   $116,793 
(fixed, converts to FRN on 02/22/29),          
5.993%, due 11/22/282,5,7   100,000    123,005 
         354,947 
Total corporate bonds
(cost—$191,677,014)
        191,322,902 
         
Loan assignments—8.4%          
Agriculture—0.2%          
AAG U.S. GSI Bidco, Inc.          
3 mo. USD Term SOFR + 5.000%,          
8.700%, due 10/31/312   668,250    668,250 
           
Airlines—0.6%          
American Airlines, Inc.          
3 mo. USD Term SOFR + 2.250%,          
5.925%, due 04/20/282   228,271    226,812 
3 mo. USD Term SOFR + 2.750%,          
6.425%, due 05/28/322   831,600    827,267 
United Airlines, Inc.          
1 mo. USD Term SOFR + 1.750%,          
5.404%, due 02/22/312   1,254,178    1,254,969 
         2,309,048 
Chemicals—0.4%          
GEON Performance Solutions LLC          
3 mo. USD Term SOFR + 4.250%,          
8.211%, due 08/18/282   1,264,691    1,148,757 
Mativ Holdings, Inc.          
1 mo. USD Term SOFR + 4.500%,          
8.152%, due 04/04/332   575,000    569,250 
         1,718,007 
Commercial services—0.9%          
Priority Holdings LLC          
1 mo. USD Term SOFR + 3.750%,          
7.402%, due 08/02/322   1,329,187    1,288,647 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Loan assignments—(continued)          
Commercial services—(continued)          
System One Holdings LLC          
1 mo. USD Term SOFR + 3.500%,          
7.152%, due 03/02/282   2,191,101   $2,191,101 
         3,479,748 
Distribution/wholesale—0.2%          
Gloves Buyer, Inc.          
1 mo. USD Term SOFR + 4.000%,          
7.652%, due 05/21/322   671,625    670,644 
           
Diversified financial services—0.4%          
LendingTree, Inc.          
1 mo. USD Term SOFR + 4.250%,          
7.902%, due 08/21/302   1,566,550    1,540,436 
           
Electric—0.4%          
Eastern Power LLC          
1 mo. USD Term SOFR + 4.750%,          
8.402%, due 04/03/292   1,839,496    1,843,708 
           
Environmental control—0.2%          
Tidal Waste & Recycling Holdings LLC          
3 mo. USD Term SOFR + 2.750%,          
6.450%, due 10/24/312   790,022    790,448 
           
Health care products—0.7%          
Hologic, Inc.          
0.000%, due 04/09/2910   1,275,000    1,262,250 
Medline Borrower LP          
1 mo. USD Term SOFR + 1.750%,          
5.402%, due 10/23/302   1,433,297    1,438,758 
         2,701,008 
Healthcare-services—0.9%          
IQVIA, Inc.          
3 mo. USD Term SOFR + 1.750%,          
5.450%, due 01/02/312   1,212,255    1,220,595 
MPH Acquisition Holdings LLC          
3 mo. USD Term SOFR + 3.750%,          
7.413%, due 12/31/302   177,057    176,703 
3 mo. USD Term SOFR + 4.600%,          
8.263%, due 12/31/302   1,467,693    1,309,388 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Loan assignments—(continued)          
Healthcare-services—(continued)          
Sotera Health Holdings LLC          
1 mo. USD Term SOFR + 2.500%,          
6.152%, due 05/30/312   750,476   $752,668 
         3,459,354 
Internet—0.1%          
Eagle Broadband Investments LLC          
3 mo. USD Term SOFR + 3.000%,          
6.961%, due 11/12/272   651,406    629,421 
           
Machinery-diversified—0.3%          
LSF12 Helix Parent LLC          
1 mo. USD Term SOFR + 3.500%,          
7.152%, due 02/10/332   1,132,398    1,132,545 
           
Media—0.7%          
Midcontinent Communications          
1 mo. USD Term SOFR + 2.500%,          
6.152%, due 08/16/312   1,359,300    1,353,360 
Nexstar Broadcasting, Inc.          
1 mo. USD Term SOFR + 2.500%,          
6.152%, due 06/28/322   909,260    907,241 
Versant Media Group, Inc.          
3 mo. USD Term SOFR + 3.500%,          
7.200%, due 01/30/312   675,000    675,675 
         2,936,276 
Miscellaneous manufacturers—0.1%          
CoorsTek, Inc.          
3 mo. USD Term SOFR + 3.000%,          
6.670%, due 10/28/322   558,600    561,857 
           
Oil & gas—0.1%          
Hilcorp Energy I LP          
1 mo. USD Term SOFR + 1.750%,          
5.411%, due 02/11/302   470,250    470,640 
           
Pharmaceuticals—0.3%          
Jazz Financing Lux SARL          
1 mo. USD Term SOFR + 2.250%,          
5.902%, due 05/05/282   1,074,980    1,079,313 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Loan assignments—(continued)          
Pipelines—0.9%          
Rockpoint Gas Storage Partners LP          
3 mo. USD Term SOFR + 2.500%,          
6.200%, due 09/18/312   2,024,375   $2,026,622 
UGI Energy Services LLC          
1 mo. USD Term SOFR + 2.500%,          
6.152%, due 02/22/302   1,500,575    1,508,228 
         3,534,850 
Real estate investment trusts—0.2%          
Starwood Property Trust, Inc.          
1 mo. USD Term SOFR + 1.750%,          
5.402%, due 11/18/272   987,174    985,170 
           
Software—0.2%          
Central Parent, Inc.          
3 mo. USD Term SOFR + 3.250%,          
6.950%, due 07/06/292   1,466,419    655,489 
           
Telecommunications—0.3%          
Iridium Satellite LLC          
1 mo. USD Term SOFR + 2.250%,          
5.902%, due 09/20/302   1,356,940    1,331,334 
           
Transportation—0.3%          
Stonepeak Nile Parent LLC          
3 mo. USD Term SOFR + 2.250%,          
5.919%, due 04/09/322   1,241,887    1,245,775 
Total loan assignments
(cost—$34,832,472)
        33,743,321 

 

Mortgage-backed securities—11.6%          
1211 Avenue of the Americas Trust,          
Series 2015-1211, Class B,          
4.230%, due 08/10/352,3   124,000    119,040 
1301 Trust,          
Series 2025-1301, Class D,          
6.430%, due 08/11/422,3   90,000    90,225 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
A&D Mortgage Trust,          
Series 2026-NQM2, Class A1,          
4.811%, due 03/25/712,3   83,072   $82,544 
Adjustable Rate Mortgage Trust,          
Series 2005-5, Class 2A1,          
4.711%, due 09/25/352   16,248    13,895 
BAHA Trust,          
Series 2024-MAR, Class B,          
7.069%, due 12/10/412,3   1,400,000    1,446,842 
Banc of America Funding Trust,          
Series 2005-D, Class A1,          
5.495%, due 05/25/352   87,883    84,433 
Bank,          
Series 2019-BN17, Class C,          
4.660%, due 04/15/522   72,000    68,031 
Bank of America Mortgage Trust,          
Series 2002-G, Class 1A3,          
5.750%, due 07/20/322   52    51 
Bank5,          
Series 2023-5YR3, Class C,          
7.559%, due 09/15/562   43,000    44,172 
BBCMS Mortgage Trust,          
Series 2022-C17, Class XA,          
IO,          
1.323%, due 09/15/552   1,292,025    76,061 
Series 2018-TALL, Class A,          
1 mo. USD Term SOFR + 0.919%,          
4.574%, due 03/15/372,3   100,000    94,500 
Series 2024-5C31, Class C,          
5.756%, due 12/15/572   34,000    33,787 
Bear Stearns ALT-A Trust,          
Series 2006-1, Class 21A2,          
4.356%, due 02/25/362   225,594    156,738 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2004-9, Class 2A1,          
4.421%, due 09/25/342  41,241   $37,255 
Series 2005-7, Class 22A1,          
4.705%, due 09/25/352   206,982    107,506 
Bear Stearns ARM Trust,          
Series 2004-7, Class 1A1,          
0.000%, due 10/25/342,11   36,550    27,352 
Series 2004-6, Class 2A1,          
4.040%, due 09/25/342   98,471    90,453 
Series 2003-5, Class 2A1,          
4.467%, due 08/25/332   28,441    26,319 
Series 2004-3, Class 1A2,          
4.602%, due 07/25/342   28,413    26,936 
Series 2003-1, Class 6A1,          
6.000%, due 04/25/332   2,542    2,571 
Benchmark Mortgage Trust,          
Series 2020-B16, Class C,          
3.521%, due 02/15/532   59,000    49,191 
Series 2018-B4, Class A2,          
3.976%, due 07/15/51   23,268    23,177 
Series 2026-V21, Class C,          
6.006%, due 03/15/59   67,000    65,925 
BLP Commercial Mortgage Trust,          
Series 2025-IND2, Class D,          
1 mo. USD Term SOFR + 2.650%,          
6.305%, due 12/15/422,3   93,000    93,174 
BRAVO Residential Funding Trust,          
Series 2025-NQM5, Class A3,          
5.800%, due 02/25/652,3   104,791    105,070 
BX Commercial Mortgage Trust,          

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2026-CSMO, Class A,          
1 mo. USD Term SOFR + 1.400%,          
5.055%, due 02/15/432,3   1,220,000   $1,220,762 
Series 2026-LP3, Class B,          
1 mo. USD Term SOFR + 1.550%,          
5.200%, due 04/15/432,3   770,000    771,684 
Series 2024-KING, Class C,          
1 mo. USD Term SOFR + 1.940%,          
5.595%, due 05/15/342,3   103,636    103,636 
Series 2024-MF, Class C,          
1 mo. USD Term SOFR + 1.941%,          
5.596%, due 02/15/392,3   143,444    143,847 
Series 2024-GPA2, Class C,          
1 mo. USD Term SOFR + 2.191%,          
5.846%, due 11/15/412,3   117,931    118,152 
Series 2024-KING, Class D,          
1 mo. USD Term SOFR + 2.490%,          
6.144%, due 05/15/342,3   118,441    118,441 
Series 2024-XL5, Class D,          
1 mo. USD Term SOFR + 2.690%,          
6.345%, due 03/15/412,3   114,100    114,171 
BX Trust,          
Series 2019-OC11, Class D,          
4.076%, due 12/09/412,3   100,000    94,773 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2026-OPTM, Class A,          
1 mo. USD Term SOFR + 1.200%,          
4.855%, due 03/15/392,3   620,000   $618,450 
Series 2026-RISE, Class A,          
1 mo. USD Term SOFR + 1.300%,          
4.970%, due 04/15/412,3   1,140,000    1,141,425 
Series 2025-ROIC, Class D,          
1 mo. USD Term SOFR + 1.993%,          
5.647%, due 03/15/302,3   192,275    191,915 
Series 2025-ARIA, Class C,          
5.701%, due 12/13/422,3   125,000    125,382 
Series 2024-BIO, Class C,          
1 mo. USD Term SOFR + 2.640%,          
6.295%, due 02/15/412,3   100,000    99,375 
Series 2022-CLS, Class B,          
6.300%, due 10/13/273   2,700,000    2,692,167 
Series 2025-GW, Class D,          
1 mo. USD Term SOFR + 2.750%,          
6.405%, due 07/15/422,3   100,000    100,125 
Series 2025-VOLT, Class D,          
1 mo. USD Term SOFR + 2.750%,          
6.405%, due 12/15/442,3   100,000    99,594 
Series 2024-VLT4, Class E,          
1 mo. USD Term SOFR + 2.889%,          
6.544%, due 06/15/412,3   130,492    128,539 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2025-VLT7, Class D,          
1 mo. USD Term SOFR + 3.250%,          
6.905%, due 07/15/442,3   128,000   $127,840 
Chase Home Lending Mortgage Trust,          
Series 2025-10, Class A9B,          
5.500%, due 07/25/562,3   82,143    81,607 
Series 2024-2, Class A6A,          
6.000%, due 02/25/552,3   52,032    52,137 
Series 2024-3, Class A6,          
6.000%, due 02/25/552,3   84,319    84,544 
Series 2024-11, Class A9A,          
6.000%, due 11/25/552,3   34,421    34,644 
Series 2024-11, Class A9,          
6.300%, due 11/25/552,3   18,309    18,517 
Chase Mortgage Finance Trust,          
Series 2007-S6, Class 2A1,          
5.500%, due 12/25/228   472,347    176,352 
Series 2005-S3, Class A10,          
5.500%, due 11/25/35   650,885    450,655 
CHI Commercial Mortgage Trust,          
Series 2025-110W, Class D,          
6.629%, due 12/13/402,3   135,000    132,368 
Series 2025-SFT, Class D,          
7.569%, due 04/15/422,3   100,000    101,657 
CHL Mortgage Pass-Through Trust,          
Series 2005-HYB9, Class 5A1,          
1 yr. USD Term SOFR + 2.465%,          
6.148%, due 02/20/362   74,995    70,767 
CHL Reperforming Loan REMICS Trust,          

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2006-R1, Class AF1,          
1 mo. USD Term SOFR + 0.454%,          
4.109%, due 01/25/362,3   133,482   $127,399 
Series 2003-R4, Class 2A,          
4.719%, due 01/25/342,3   295,071    268,896 
Citigroup Commercial Mortgage Trust,          
Series 2023-SMRT, Class C,          
6.048%, due 06/12/402,3   100,000    100,514 
Series 2023-PRM3, Class C,          
6.572%, due 07/10/282,3   100,000    101,861 
Series 2023-PRM3, Class B,          
6.572%, due 07/10/282,3   1,120,000    1,147,717 
Citigroup Mortgage Loan Trust, Inc.,          
Series 2005-6, Class A3,          
1 yr. CMT + 1.800%,          
5.510%, due 09/25/352   174    173 
Series 2005-4, Class A,          
5.675%, due 08/25/352   13,494    13,477 
Series 2005-6, Class A2,          
1 yr. CMT + 2.150%,          
5.860%, due 09/25/352   2,270    2,286 
Series 2005-11, Class A1A,          
1 yr. CMT + 2.400%,          
6.190%, due 05/25/352   6,822    6,919 
COMM Mortgage Trust,          
Series 2025-SBX, Class A,          
5.432%, due 08/10/412,3   980,000    977,839 
Series 2024-CBM, Class D,          
8.190%, due 12/10/412,3   100,000    102,065 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
CONE Trust,          
Series 2024-DFW1, Class D,          
1 mo. USD Term SOFR + 3.040%,          
6.694%, due 08/15/412,3   57,000   $56,484 
Countrywide Alternative Loan Trust,          
Series 2005-62, Class 2A1,          
1 yr. USD MTA + 1.000%,          
4.509%, due 12/25/352   54,933    47,805 
Series 2006-14CB, Class A1,          
6.000%, due 06/25/36   1,108,313    570,786 
Series 2006-41CB, Class 1A9,          
6.000%, due 01/25/37   280,477    135,527 
Series 2003-J3, Class 2A1,          
6.250%, due 12/25/33   8,472    8,602 
Cross Mortgage Trust,          
Series 2024-H8, Class M1,          
6.315%, due 12/25/692,3   100,000    100,222 
CRSO Trust          
7.658%, due 07/10/282   1,130,000    1,156,379 
DC Commercial Mortgage Trust,          
Series 2023-DC, Class B,          
6.804%, due 09/12/403   860,000    869,662 
DC Office Trust,          
Series 2019-MTC, Class D,          
3.174%, due 09/15/452,3   100,000    86,383 
DSLA Mortgage Loan Trust,          
Series 2005-AR4, Class 2A1A,          
1 mo. USD Term SOFR + 0.634%,          
4.296%, due 08/19/452   79,227    71,544 
Ellington Financial Mortgage Trust,          
Series 2024-INV2, Class A3,          
5.441%, due 10/25/692,3   81,351    81,247 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2024-INV2, Class M1,          
5.726%, due 10/25/692,3   100,000   $99,476 
ELM Trust,          
Series 2024-ELM, Class D15,          
6.897%, due 06/10/392,3   100,000    99,906 
Federal Home Loan Mortgage Corp. Multiclass Certificates,          
Series 2020-RR04, Class X,          
IO,          
2.126%, due 02/27/292   3,436,302    144,643 
Federal Home Loan Mortgage Corp. REMICS,          
Series 2400, Class FQ,          
30 day USD SOFR Average + 0.614%,          
4.254%, due 01/15/322   1,438    1,437 
Series 2764, Class LZ,          
4.500%, due 03/15/34   139,893    139,434 
Series 5475, Class FA,          
30 day USD SOFR Average + 1.100%,          
4.745%, due 11/25/542   124,868    125,738 
Series 5471, Class FK,          
30 day USD SOFR Average + 1.150%,          
4.795%, due 08/25/542   167,865    169,366 
Series 5474, Class FB,          
30 day USD SOFR Average + 1.150%,          
4.795%, due 11/25/542   213,682    215,584 
Series 5468, Class FB,          
30 day USD SOFR Average + 1.200%,          
4.845%, due 11/25/542   201,186    201,790 
Series 2921, Class PG,          
5.000%, due 01/15/35   343,251    347,075 
Series 5521, Class FB,          
30 day USD SOFR Average + 1.700%,          
5.345%, due 03/25/552   165,133    167,128 
Series 5513, Class FJ,          
30 day USD SOFR Average + 1.800%,          
5.445%, due 11/25/542   163,789    166,197 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2764, Class ZG,          
5.500%, due 03/15/34   99,985   $102,389 
Series 2983, Class TZ,          
6.000%, due 05/15/35   332,318    345,061 
Series 3149, Class CZ,          
6.000%, due 05/15/36   427,275    445,590 
Federal Home Loan Mortgage Corp. STACR REMICS Trust,          
Series 2021-DNA7, Class M2,          
30 day USD SOFR Average + 1.800%,          
5.445%, due 11/25/412,3   130,000    130,618 
Series 2024-HQA1, Class M2,          
30 day USD SOFR Average + 2.000%,          
5.645%, due 03/25/442,3   210,000    211,376 
Series 2022-DNA1, Class M2,          
30 day USD SOFR Average + 2.500%,          
6.145%, due 01/25/422,3   417,000    421,047 
Series 2022-DNA3, Class M1B,          
30 day USD SOFR Average + 2.900%,          
6.545%, due 04/25/422,3   99,000    100,697 
Series 2022-DNA4, Class M1B,          
30 day USD SOFR Average + 3.350%,          
6.995%, due 05/25/422,3   180,000    184,050 
Series 2021-DNA6, Class B1,          
30 day USD SOFR Average + 3.400%,          
7.045%, due 10/25/412,3   200,000    202,174 
Series 2022-DNA2, Class M2,          
30 day USD SOFR Average + 3.750%,          
7.395%, due 02/25/422,3   439,000    448,193 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2022-DNA3, Class M2,          
30 day USD SOFR Average + 4.350%,          
7.995%, due 04/25/422,3   111,000   $114,485 
Series 2022-DNA5, Class M1B,          
30 day USD SOFR Average + 4.500%,          
8.145%, due 06/25/422,3   192,000    199,260 
Series 2022-HQA1, Class M2,          
30 day USD SOFR Average + 5.250%,          
8.895%, due 03/25/422,3   221,000    228,781 
Series 2022-DNA4, Class B1,          
30 day USD SOFR Average + 6.250%,          
9.895%, due 05/25/422,3   81,000    85,046 
Series 2022-HQA1, Class B1,          
30 day USD SOFR Average + 7.000%,          
10.645%, due 03/25/422,3   200,000    209,882 
Federal Home Loan Mortgage Corp. Structured Pass-Through Certificates,          
Series T-54, Class 2A,          
6.500%, due 02/25/43   276,527    290,332 
Series T-58, Class 2A,          
6.500%, due 09/25/43   105,681    107,494 
Federal National Mortgage Association Connecticut Avenue Securities Trust,          
Series 2026-R02, Class 1M2,          
30 day USD SOFR Average + 1.500%,          
5.145%, due 02/25/462,3   100,000    100,238 
Series 2026-R03, Class 2M2,          
30 day USD SOFR Average + 1.550%,          
5.190%, due 04/25/462,3   173,000    173,302 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2025-R06, Class 1M2,          
30 day USD SOFR Average + 1.550%,          
5.195%, due 09/25/452,3   153,000   $153,272 
Series 2025-R02, Class 1M2,          
30 day USD SOFR Average + 1.600%,          
5.245%, due 02/25/452,3   108,000    108,272 
Series 2025-R01, Class 1B1,          
30 day USD SOFR Average + 1.700%,          
5.345%, due 01/25/452,3   90,000    89,607 
Series 2025-R02, Class 1B1,          
30 day USD SOFR Average + 1.950%,          
5.595%, due 02/25/452,3   75,000    74,993 
Series 2022-R04, Class 1M2,          
30 day USD SOFR Average + 3.100%,          
6.745%, due 03/25/422,3   191,000    194,215 
Series 2022-R01, Class 1B1,          
30 day USD SOFR Average + 3.150%,          
6.795%, due 12/25/412,3   178,000    180,200 
Series 2023-R02, Class 1M2,          
30 day USD SOFR Average + 3.350%,          
6.995%, due 01/25/432,3   144,000    148,944 
Series 2022-R03, Class 1M2,          
30 day USD SOFR Average + 3.500%,          
7.145%, due 03/25/422,3   82,000    83,763 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2023-R01, Class 1M2,          
30 day USD SOFR Average + 3.750%,          
7.395%, due 12/25/422,3   133,000   $138,457 
Series 2022-R08, Class 1B1,          
30 day USD SOFR Average + 5.600%,          
9.245%, due 07/25/422,3   336,000    353,640 
Federal National Mortgage Association REMICS,          
Series 2024-40, Class FA,          
30 day USD SOFR Average + 1.150%,          
4.795%, due 03/25/542   168,534    169,889 
Series 2024-67, Class FA,          
30 day USD SOFR Average + 1.170%,          
4.815%, due 09/25/542   174,820    176,301 
Series 2025-6, Class FC,          
30 day USD SOFR Average + 1.600%,          
5.245%, due 02/25/552   166,003    167,532 
Series 2025-35, Class HF,          
30 day USD SOFR Average + 1.700%,          
5.345%, due 05/25/552   172,797    174,845 
Series 2025-6, Class LF,          
30 day USD SOFR Average + 1.800%,          
5.445%, due 02/25/552   169,314    171,747 
Series 2006-65, Class GD,          
6.000%, due 07/25/26   185    184 
Series 2003-64, Class AH,          
6.000%, due 07/25/33   413,966    426,446 
Federal National Mortgage Association REMICS Trust,          
Series 1999-W4, Class A9,          
6.250%, due 02/25/29   18,668    18,873 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Federal National Mortgage Association Trust,          
Series 2004-W8, Class 2A,          
6.500%, due 06/25/44   90,801   $92,319 
First Horizon Mortgage Pass-Through Trust,          
Series 2005-AR3, Class 2A1,          
5.992%, due 08/25/352   6,560    4,284 
Government National Mortgage Association REMICS,          
Series 2020-86, Class WK,          
1.000%, due 06/20/50   193,704    148,390 
Series 2021-119, Class NC,          
1.500%, due 07/20/51   172,492    141,878 
Series 2021-103, Class HE,          
2.000%, due 06/20/51   168,404    138,777 
Series 2018-38, Class WF,          
1 mo. USD Term SOFR + 0.414%,          
4.079%, due 10/20/432   454,762    440,374 
Series 2017-182, Class FW,          
1 mo. USD Term SOFR + 0.464%,          
4.129%, due 05/20/472   148,409    143,038 
Series 2015-H20, Class FB,          
1 mo. USD Term SOFR + 0.714%,          
4.379%, due 08/20/652   158,964    159,041 
Series 2025-4, Class FY,          
30 day USD SOFR Average + 1.600%,          
5.240%, due 01/20/552   157,430    158,725 
GS Mortgage Securities Trust,          
Series 2019-GC42, Class C,          
3.834%, due 09/10/522   79,000    65,494 
Series 2016-GS2, Class C,          
4.732%, due 05/10/492   70,000    67,014 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
GSR Mortgage Loan Trust,          
Series 2005-AR6, Class 2A1,          
4.856%, due 09/25/352   53,399   $51,441 
HarborView Mortgage Loan Trust,          
Series 2004-11, Class 3A1A,          
1 mo. USD Term SOFR + 0.814%,          
4.476%, due 01/19/352   13,062    12,459 
Series 2005-4, Class 3A1,          
4.652%, due 07/19/352   87,259    64,935 
Hudson Yards Mortgage Trust,          
Series 2025-SPRL, Class D,          
6.551%, due 01/13/402,3   100,000    102,505 
Series 2025-SPRL, Class E,          
6.901%, due 01/13/402,3   100,000    102,945 
INTOWN Mortgage Trust,          
Series 2025-STAY, Class A,          
1 mo. USD Term SOFR + 1.350%,          
5.005%, due 03/15/422,3   1,660,000    1,658,962 
IP Mortgage Trust,          
Series 2025-IP, Class D,          
6.525%, due 06/10/422,3   55,000    55,537 
Series 2025-IP, Class E,          
7.074%, due 06/10/422,3   31,000    31,408 
JP Morgan Chase Commercial Mortgage Securities Trust,          
Series 2022-OPO, Class D,          
3.565%, due 01/05/392,3   144,000    109,584 
JP Morgan Mortgage Trust,          
Series 2005-A8, Class 1A1,          
4.723%, due 11/25/352   199,294    154,852 

   

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)          
Series 2006-A4, Class 2A2,          
5.469%, due 06/25/362   105,024   $70,101 
Series 2025-NQM3, Class A2,          
5.648%, due 11/25/652,3   80,206    80,314 
LHOME Mortgage Trust,          
Series 2024-RTL4, Class A1,          
5.921%, due 07/25/392,3   217,000    217,540 
MAD Commercial Mortgage Trust,          
Series 2025-11MD, Class D,          
6.571%, due 10/15/422,3   217,000    219,328 
Manhattan West Mortgage Trust,          
Series 2020-1MW, Class D,          
2.413%, due 09/10/392,3   100,000    95,771 
MFA Trust,          
Series 2025-NQM5, Class A2,          
5.338%, due 11/25/702,3   92,672    92,280 
Morgan Stanley Bank of America Merrill Lynch Trust,          
Series 2017-C33, Class C,          
4.558%, due 05/15/502   18,000    17,108 
Series 2025-C35, Class C,          
6.349%, due 08/15/582   42,000    42,354 
Morgan Stanley Capital I Trust,          
Series 2017-H1, Class B,          
4.075%, due 06/15/50   19,000    18,607 
Series 2017-H1, Class C,          
4.281%, due 06/15/502   50,000    47,542 
Series 2018-H4, Class C,          
5.215%, due 12/15/512   45,000    42,073 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Mortgage-backed securities—(continued)          
Morgan Stanley Residential Mortgage Loan Trust,          
Series 2024-NQM3, Class M1,          
5.609%, due 07/25/692,3   100,000   $99,333 
MTN Commercial Mortgage Trust,          
Series 2022-LPFL, Class A,          
1 mo. USD Term SOFR + 1.397%,          
5.057%, due 03/15/392,3   2,650,000    2,649,172 
NAAC Reperforming Loan REMICS Trust Certificates,          
Series 2004-R3, Class A1,          
6.500%, due 02/25/353   277,348    241,390 
New Residential Mortgage Loan Trust,          
Series 2024-RTL2, Class A1,          
5.443%, due 09/25/392,3   112,000    112,643 
Series 2025-NQM3, Class M1,          
6.320%, due 05/25/652,3   100,000    100,717 
NRM FHT1 Excess Owner LLC,          
Series 2025-FHT1, Class A,          
6.545%, due 03/25/322,3   105,914    106,061 
NYC Commercial Mortgage Trust,          
Series 2025-3BP, Class D,          
1 mo. USD Term SOFR + 2.441%,          
6.096%, due 02/15/422,3   100,000    100,125 
NYMT Loan Trust,          
Series 2024-INV1, Class A3,          
5.834%, due 06/25/692,3   85,075    85,350 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Mortgage-backed securities—(continued)          
OAKST Commercial Mortgage Trust,       
Series 2023-NLP, Class A,          
6.298%, due 03/15/402,3   1,226,650   $1,209,905 
OBX Trust,          
Series 2021-NQM4, Class A1,          
1.957%, due 10/25/612,3   239,471    205,249 
Series 2025-NQM7, Class A3,          
5.864%, due 05/25/552,3   69,437    69,779 
One Bryant Park Trust,          
Series 2019-OBP, Class A,          
2.516%, due 09/15/543   3,100,000    2,869,154 
One Market Plaza Trust,          
Series 2017-1MKT, Class A,          
3.614%, due 02/10/323   73,045    70,670 
Series 2017-1MKT, Class C,          
4.016%, due 02/10/323   100,000    94,499 
ONNI Commerical Mortgage Trust,          
Series 2024-APT, Class C,          
6.645%, due 07/15/392,3   136,000    137,867 
ORL Trust,          
Series 2024-GLKS, Class D,          
1 mo. USD Term SOFR + 2.791%,          
6.445%, due 12/15/392,3   100,000    100,313 
PRM Trust,          
Series 2025-PRM6, Class E,          
6.803%, due 07/05/332,3   127,000    126,776 
RFMSI Trust,          
Series 2004-S9, Class 1A23,          
5.500%, due 12/25/34   124,548    121,794 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Mortgage-backed securities—(continued)          
ROCK Trust,        
Series 2024-CNTR, Class D,        
7.109%, due 11/13/413   209,000   $218,763 
SCOTT Trust,          
Series 2023-SFS, Class A,          
5.910%, due 03/10/403   1,125,000    1,143,473 
Sequoia Mortgage Trust,          
Series 2007-3, Class 1A1,          
1 mo. USD Term SOFR + 0.514%,          
4.176%, due 07/20/362   25,650    21,994 
SFO Commercial Mortgage Trust,          
Series 2021-555, Class D,          
1 mo. USD Term SOFR + 2.514%,          
6.170%, due 05/15/382,3   63,000    62,532 
SG Residential Mortgage Trust,          
Series 2021-2, Class A1,          
1.737%, due 12/25/612,3   92,852    79,512 
SMRT Commercial Mortgage Trust,          
Series 2022-MINI, Class E,          
1 mo. USD Term SOFR + 2.700%,          
6.355%, due 01/15/392,3   115,000    114,713 
Structured Adjustable Rate Mortgage Loan Trust,          
Series 2004-8, Class 3A,          
5.548%, due 07/25/342   90,005    87,859 
Structured Asset Mortgage Investments II Trust,          
Series 2006-AR3, Class 11A1,          
1 mo. USD Term SOFR + 0.534%,          
4.189%, due 04/25/362   227,275    209,143 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Mortgage-backed securities—(continued)          
Structured Asset Mortgage Investments Trust,          
Series 2002-AR3, Class A1,          
1 mo. USD Term SOFR + 0.774%,          
4.436%, due 09/19/322    6,113   $5,777 
TCO Commercial Mortgage Trust,          
Series 2024-DPM, Class C,          
1 mo. USD Term SOFR + 1.992%,          
5.647%, due 12/15/392,3   100,000    100,125 
Thornburg Mortgage Securities Trust,          
Series 2007-4, Class 2A1,          
3.996%, due 09/25/372   59,448    59,189 
Towd Point Mortgage Trust,          
Series 2022-4, Class A1,          
3.750%, due 09/25/623   169,753    161,588 
Verus Securitization Trust,          
Series 2021-6, Class A1,          
1.630%, due 10/25/662,3   73,442    64,465 
Series 2021-6, Class A3,          
1.887%, due 10/25/662,3   170,264    149,940 
Series 2024-7, Class A1,          
5.095%, due 09/25/692,3   82,873    83,032 
Series 2024-7, Class A3,          
5.400%, due 09/25/692,3   64,747    64,617 
Series 2026-4, Class A3,          
5.476%, due 04/25/713   100,000    99,761 
Series 2025-4, Class A3,          
5.753%, due 05/25/702,3   79,264    79,420 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Mortgage-backed securities—(continued)
WaMu Mortgage Pass-Through Certificates Trust,          
Series 2006-AR2, Class 2A1,          
3.851%, due 03/25/362   268,566   $240,876 
Series 2005-AR13, Class A1A1,          
1 mo. USD Term SOFR + 0.694%,          
4.349%, due 10/25/452   124,052    120,711 
Series 2006-AR9, Class 1A,          
1 yr. USD MTA + 1.000%,          
4.509%, due 08/25/462   183,650    173,159 
Series 2002-AR6, Class A,          
1 yr. USD MTA + 1.400%,          
4.909%, due 06/25/422   3,489    3,309 
Wells Fargo Commercial Mortgage Trust,          
Series 2016-NXS6, Class B,          
3.811%, due 11/15/49   143,000    141,215 
Series 2017-C39, Class C,          
4.118%, due 09/15/50   36,000    32,970 
WFRBS Commercial Mortgage Trust,          
Series 2014-C22, Class XA,          
IO,          
0.383%, due 09/15/572   574,830    89 
WMRK Commercial Mortgage Trust,          
Series 2022-WMRK, Class C,          
1 mo. USD Term SOFR + 4.083%,          
7.738%, due 11/15/272,3   2,711,708    2,715,158 
Total mortgage-backed securities
(cost—$47,134,706)
        46,602,697 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Municipal bonds—0.4%
California—0.1%
Golden State Tobacco Securitization Corp., Taxable Refunding, Revenue Bonds, 
Series A-1,
3.714%, due 06/01/41    200,000   $157,481 
           
Florida—0.0%
State Board of Administration Finance Corp., Florida Hurricane Catastrophe Fund, Revenue Bonds,
Series A,          
5.526%, due 07/01/34   100,000    104,521 
           
Illinois—0.3%
Sales Tax Securitization Corp. Second Lien, Taxable Refunding, Revenue Bonds,
Series B,          
3.057%, due 01/01/34   1,400,000    1,243,977 
           
New York—0.0%
New York City Transitional Finance Authority, Future Tax, Revenue Bonds,          
Series C-2,          
4.375%, due 05/01/37   140,000    133,338 
           
Texas—0.0%
Texas Natural Gas Securitization Finance Corp., Revenue Bonds,          
Series 2023-1,Class A1          
5.102%, due 04/01/35   79,079    81,194 
Total municipal bonds
(cost—$1,750,033)
        1,720,511 
           
Non-U.S. government agency obligations—2.6%
Angola—0.0%
Angola Government International Bonds          
8.000%, due 11/26/293   10,000    10,181 
8.750%, due 04/14/323   10,000    10,397 
9.125%, due 11/26/493   20,000    19,080 
9.375%, due 03/31/333   20,000    21,154 
9.375%, due 05/08/483   25,000    24,351 
         85,163 
Australia—0.0%
Australia Government Bonds
2.750%, due 06/21/355  AUD300,000    180,021 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Non-U.S. government agency obligations—(continued)
Brazil—0.1%
Brazil Government International Bonds          
6.250%, due 05/22/36   20,000   $19,920 
7.250%, due 01/12/56   100,000    100,700 
Brazil Letras do Tesouro Nacional          
0.000%, due 10/01/2611  BRL    2,200,000    420,314 
         540,934 
           
Canada—0.2%
Province of Alberta          
3.050%, due 12/01/48   335,000    191,352 
3.100%, due 06/01/50   95,000    54,153 
Province of British Columbia          
4.600%, due 06/18/57   335,000    241,515 
Province of Ontario          
1.900%, due 12/02/51   140,000    60,931 
2.650%, due 12/02/50   240,000    125,038 
2.900%, due 06/02/49   120,000    66,305 
4.150%, due 12/02/54   90,000    60,883 
4.600%, due 12/02/55   165,000    120,423 
         920,600 
Chile—0.1%
Chile Government International Bonds          
3.500%, due 01/31/34   210,000    191,730 
           
Costa Rica—0.1%
Costa Rica Government International Bonds          
6.550%, due 04/03/343   200,000    214,550 
7.158%, due 03/12/455   30,000    33,043 
         247,593 
Dominican Republic—0.1%
Dominican Republic International Bonds          
5.300%, due 01/21/413   10,000    8,840 
5.875%, due 10/28/353   25,000    24,450 
5.875%, due 01/30/603   25,000    21,725 
6.400%, due 06/05/493   10,000    9,580 
6.850%, due 01/27/453   60,000    60,300 
6.950%, due 03/15/373   185,000    193,140 
7.150%, due 02/24/553   30,000    31,320 
         349,355 
           
El Salvador—0.0%
El Salvador Government International Bonds          
9.500%, due 07/15/523   25,000    27,960 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Non-U.S. government agency obligations—(continued)
Guatemala—0.0%
Guatemala Government Bonds          
6.875%, due 08/15/553   30,000   $32,412 
           
Indonesia—0.0%
Indonesia Government International Bonds          
4.625%, due 04/15/433   165,000    146,850 
           
Israel—0.1%
Israel Government International Bonds          
5.500%, due 03/12/34   200,000    203,625 
5.875%, due 01/13/56   25,000    23,937 
         227,562 
Italy—0.0%
Italy Buoni Poliennali Del Tesoro          
2.850%, due 02/01/315  EUR       100,000    115,533 
           
Ivory Coast—0.1%
Ivory Coast Government International Bonds          
6.750%, due 02/25/413   30,000    27,646 
7.625%, due 01/30/333   20,000    21,006 
8.075%, due 04/01/363   180,000    190,833 
8.250%, due 01/30/373   75,000    80,463 
         319,948 
Japan—0.2%
Japan Bank for International Cooperation          
2.875%, due 07/21/27   300,000    295,790 
Japan International Cooperation Agency          
2.750%, due 04/27/27   300,000    296,425 
         592,215 
Kazakhstan—0.1%
Kazakhstan Government International Bonds          
5.500%, due 07/01/373   200,000    203,850 
           
Mexico—0.3%
Eagle Funding Luxco SARL          
5.500%, due 08/17/303   365,000    367,445 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Non-U.S. government agency obligations—(continued)
Mexico—(continued)
Mexico Government International Bonds          
3.500%, due 09/19/29  EUR100,000   $116,540 
5.375%, due 03/22/33   30,000    29,490 
5.625%, due 02/09/34   200,000    198,000 
6.125%, due 02/09/38   200,000    197,800 
6.338%, due 05/04/53   65,000    61,206 
6.350%, due 02/09/35   50,000    51,500 
6.400%, due 05/07/54   15,000    14,184 
7.375%, due 05/13/55   25,000    26,641 
         1,062,806 
Morocco—0.1%
Morocco Government International Bonds          
6.500%, due 09/08/333   400,000    427,528 
           
Nigeria—0.0%
Nigeria Government International Bonds          
7.375%, due 09/28/333   40,000    40,894 
8.250%, due 09/28/513   20,000    20,263 
8.631%, due 01/13/363   20,000    21,880 
         83,037 
Panama—0.0%
Panama Government International Bonds          
5.227%, due 02/23/34   10,000    9,979 
5.662%, due 02/23/38   70,000    70,372 
         80,351 
Paraguay—0.0%
Paraguay Government International Bonds          
5.400%, due 03/30/503   60,000    54,390 
           
Peru—0.1%
Peru Government International Bonds          
5.400%, due 08/12/345   331,000    91,257 
6.150%, due 08/12/323   800,000    237,499 
6.950%, due 08/12/315   81,000    24,986 
         353,742 
Poland—0.0%
Republic of Poland Government International Bonds          
5.125%, due 09/18/34   100,000    100,800 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Non-U.S. government agency obligations—(continued)
Qatar—0.1%
Qatar Government International Bonds          
4.400%, due 04/16/503   60,000   $51,113 
4.800%, due 04/08/333   200,000    202,000 
4.875%, due 02/27/353   110,000    112,705 
         365,818 
Romania—0.1%
Romania Government International Bonds          
3.000%, due 02/14/315   104,000    93,110 
5.375%, due 03/22/313  EUR250,000    298,510 
5.750%, due 09/16/303   20,000    20,200 
5.750%, due 03/24/353   10,000    9,610 
6.000%, due 05/25/343   20,000    19,750 
6.625%, due 05/16/363   25,000    25,263 
         466,443 
Saudi Arabia—0.1%
Saudi Government International Bonds          
3.250%, due 11/17/513   120,000    77,106 
3.750%, due 01/21/553   50,000    34,513 
4.875%, due 07/18/333   200,000    198,773 
5.000%, due 01/18/533   200,000    172,368 
5.625%, due 01/13/353   35,000    36,312 
         519,072 
Serbia—0.0%
Serbia International Bonds          
6.000%, due 06/12/343   35,000    35,892 
           
South Africa—0.4%
Republic of South Africa Government Bonds          
6.250%, due 03/31/36   400,000    19,823 
8.750%, due 01/31/44   90,000    5,095 
8.750%, due 02/28/48   400,000    22,643 
8.875%, due 02/28/35   11,470,000    691,478 
9.000%, due 01/31/40   530,000    31,090 
Republic of South Africa Government International Bonds          
5.650%, due 09/27/47   90,000    72,720 
5.750%, due 09/30/49   65,000    52,520 
6.125%, due 12/11/373   75,000    71,400 
7.100%, due 11/19/363   355,000    371,330 
7.250%, due 12/11/553   20,000    18,840 
7.300%, due 04/20/52   10,000    9,583 
7.950%, due 11/19/543   80,000    81,704 
         1,448,226 
Supranationals—0.1%
European Union          
2.875%, due 10/05/295   400,000    469,676 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Non-U.S. government agency obligations—(continued)
Trinidad And Tobago—0.0%
Trinidad & Tobago Government International Bonds          
6.500%, due 01/28/363   15,000   $15,361 
           
Turkey—0.0%
Turkiye Government International Bonds          
5.750%, due 05/11/47   40,000    31,100 
           
United Arab Emirates—0.1%
Abu Dhabi Government International Bonds          
5.000%, due 04/30/343   290,000    296,380 
5.500%, due 04/30/543   15,000    14,597 
         310,977 
United Kingdom—0.1%
U.K. Gilts          
4.375%, due 07/31/545  GBP395,000    437,361 
           
Uruguay—0.0%
Uruguay Government International Bonds          
5.100%, due 06/18/50   95,000    88,262 
Total non-U.S. government agency obligations
(cost—$10,487,184)
        10,532,568 
           
U.S. government agency obligations—8.4%
Federal Home Loan Bank Discount Notes          
0.000%, due 06/17/2612   900,000    895,764 
Federal Home Loan Mortgage Corp.          
2.500%, due 09/01/52   216,126    182,070 
3.500%, due 05/01/52   419,615    382,701 
3.500%, due 07/01/52   68,241    62,342 
4.000%, due 04/01/52   444,195    418,423 
4.000%, due 10/01/52   85,680    80,693 
4.000%, due 01/01/54   51,855    48,841 
4.500%, due 08/01/52   669,866    648,283 
4.500%, due 10/01/52   188,513    182,319 
4.500%, due 03/01/56   99,682    96,052 
5.000%, due 10/01/52   185,457    183,943 
5.000%, due 11/01/52   258,751    256,871 
5.000%, due 12/01/52   365,101    362,449 
5.000%, due 02/01/53   186,478    184,888 
5.000%, due 05/01/53   160,324    159,020 
5.000%, due 03/01/54   195,112    192,613 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
U.S. government agency obligations—(continued)
5.500%, due 04/01/53    408,500    $412,423 
5.500%, due 07/01/53   215,110    217,212 
5.500%, due 10/01/53   150,302    151,686 
5.500%, due 11/01/53   113,430    114,991 
5.500%, due 12/01/53   345,314    348,440 
5.500%, due 03/01/54   105,730    106,914 
5.500%, due 06/01/54   114,159    115,589 
5.500%, due 07/01/54   29,695    30,007 
5.500%, due 06/01/55   89,006    89,498 
6.000%, due 06/01/53   164,040    168,719 
6.000%, due 07/01/53   301,910    308,912 
6.000%, due 08/01/53   121,061    123,861 
6.000%, due 04/01/55   162,996    166,667 
Federal National Mortgage Association          
3.000%, due 02/01/52   845,268    746,635 
3.000%, due 03/01/53   41,642    36,557 
3.500%, due 09/01/52   140,883    128,489 
4.000%, due 06/01/52   231,068    218,152 
4.000%, due 10/01/52   71,855    68,241 
4.000%, due 02/01/54   131,408    124,063 
4.500%, due 10/01/52   189,638    183,324 
4.500%, due 05/01/53   164,024    159,051 
4.500%, due 12/01/54   194,272    187,165 
5.000%, due 11/01/262,13,14   363    363 
5.000%, due 10/01/52   229,939    227,955 
5.000%, due 12/01/52   433,990    430,837 
5.000%, due 02/01/53   373,808    371,158 
5.000%, due 03/01/53   171,332    169,445 
5.000%, due 04/01/53   352,387    349,797 
5.000%, due 05/01/53   82,801    82,128 
5.000%, due 06/01/53   420,505    417,086 
5.000%, due 07/01/53   162,837    161,987 
5.000%, due 02/01/56   123,174    121,418 
5.187%, due 11/01/342   945,133    967,129 
5.500%, due 01/01/53   337,398    341,345 
5.500%, due 02/01/53   165,664    167,519 
5.500%, due 03/01/53   46,988    47,473 
5.500%, due 06/01/53   106,461    107,511 
5.500%, due 06/01/54   129,907    130,856 
5.500%, due 07/01/54   124,524    125,849 
5.500%, due 09/01/55   105,884    106,457 
6 mo. USD RFUCCT + 1.538%,          
5.788%, due 01/01/362   2,186    2,203 
1 yr. USD RFUCCT + 1.603%,          
5.978%, due 12/01/352   10,969    11,128 
1 yr. USD RFUCCT + 1.815%,          
5.998%, due 03/01/362   13,105    13,346 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
U.S. government agency obligations—(continued)
6.000%, due 06/01/53   271,910   $278,365 
6.000%, due 07/01/53   304,229    311,285 
6.000%, due 08/01/53   29,916    30,608 
6.000%, due 02/01/54   96,948    99,146 
6.000%, due 07/01/55   135,401    139,085 
1 yr. CMT + 2.106%,          
6.001%, due 05/01/302   6,888    6,930 
1 yr. USD RFUCCT + 1.821%,          
6.072%, due 03/01/362   11,383    11,606 
1 yr. USD RFUCCT + 1.780%,          
6.155%, due 11/01/352   2,519    2,570 
1 yr. USD RFUCCT + 1.912%,          
6.162%, due 02/01/362   7,691    7,861 
1 yr. CMT + 2.228%,          
6.164%, due 04/01/272   996    996 
Government National Mortgage Association          
5.000%, due 12/20/49   34,234    34,563 
5.000%, due 10/20/54   384,898    382,731 
1 yr. CMT + 1.500%,          
5.625%, due 05/20/262   6    6 
Government National Mortgage Association, TBA          
3.500%   455,000    410,872 
4.000%   500,000    465,984 
4.500%   580,000    558,652 
5.000%   220,000    218,122 
6.000%   420,000    428,282 
Uniform Mortgage-Backed Security, TBA          
4.000%   560,000    524,917 
4.500%   3,275,000    3,149,020 
5.000%   2,635,000    2,594,843 
5.500%   9,265,000    9,304,060 
6.000%   1,950,000    1,989,978 
Total U.S. government agency obligations
(cost—$33,737,702)
        33,847,340 
           
U.S. Treasury obligations—11.4%
U.S. Treasury Bonds          
1.375% due 08/15/50   8,650,000    4,178,693 
1.625% due 11/15/50   2,200,000    1,133,859 
1.750% due 08/15/41   8,775,000    5,824,749 
1.875% due 02/15/51   725,000    397,617 
1.875% due 11/15/51   150,000    81,334 
2.000% due 11/15/41   100,000    68,656 
2.000% due 02/15/50   1,100,000    632,973 
2.000% due 08/15/51   675,000    379,450 
2.250% due 08/15/49   675,000    415,020 
2.375% due 11/15/49   100,000    62,984 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
U.S. Treasury obligations—(continued)
2.375% due 05/15/51   100,000   $61,820 
2.875% due 08/15/45   500,000    367,754 
2.875% due 05/15/49   800,000    562,375 
3.000% due 11/15/44   500,000    379,375 
3.000% due 02/15/48   1,200,000    875,344 
3.000% due 08/15/48   100,000    72,539 
3.000% due 02/15/49   500,000    360,918 
3.000% due 08/15/52   2,400,000    1,684,219 
3.250% due 05/15/42   8,300,000    6,794,652 
3.375% due 08/15/42   38,400    31,847 
3.375% due 11/15/48   100,000    77,480 
3.875% due 02/15/43   300,000    264,422 
4.000% due 11/15/42   31,000    27,846 
4.250% due 08/15/54   300,000    265,359 
4.375% due 05/15/40   5,875,000    5,665,703 
4.375% due 05/15/41   49,000    46,807 
4.375% due 08/15/43   31,000    29,012 
4.500% due 11/15/54   100,000    92,246 
4.625% due 05/15/44   100,000    96,133 
4.625% due 05/15/54   200,000    188,297 
4.625% due 11/15/55   35,800    33,764 
4.750% due 02/15/37   1,750,000    1,802,227 
4.875% due 08/15/45   344,000    339,754 
U.S. Treasury Inflation-Indexed Bonds          
0.125% due 02/15/51   125,497    66,646 
0.750% due 02/15/45   416,253    299,671 
1.000% due 02/15/46   344,737    256,216 
1.000% due 02/15/49   129,844    92,190 
1.500% due 02/15/53   659,502    504,660 
2.125% due 02/15/54   385,389    339,323 
2.375% due 02/15/55   103,545    96,053 
U.S. Treasury Inflation-Indexed Notes,          
 1.250%, due 04/15/28   762,510    767,342 
U.S. Treasury Notes          
0.500% due 08/31/27   5,900,000    5,644,871 
2.625% due 07/31/2915   700,000    672,246 
3.500% due 02/28/31   700,000    684,359 
3.750% due 04/30/28   775,000    773,002 
3.875% due 03/31/28   2,205,000    2,204,483 
4.250% due 08/15/35   10,000    9,913 
U.S. Treasury STRIPS Coupon          
0.000% due 05/15/4111   300,000    141,246 
0.000% due 08/15/4111   400,000    185,554 
Total U.S. Treasury obligations
(cost—$48,139,449)
        46,033,003 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Preferred stocks—1.6%          
Capital markets—0.8%          
CION Investment Corp.6  $48,000   $1,211,040 
OFS Capital Corp.   27,000    693,090 
Trinity Capital, Inc.6   50,000    1,269,500 
         3,173,630 
Mortgage real estate investment—0.8%          
Ellington Financial, Inc. Series C2,7   121,000    3,061,300 
Total preferred stocks
(cost—$6,150,000)
        6,234,930 
           
Exchange traded funds: 0.4%          
Invesco Senior Loan ETF6
(cost—$1,876,499)
   82,474    1,697,315 
           
Short-term investments—3.7%          
Investment companies—3.0%          
State Street Institutional U.S. Government Money Market Fund, 3.596%16
(cost—$12,062,688)
   12,062,688    12,062,688 

 

   Face
amount1
     
Short-term U.S. Treasury obligations—0.7%          
U.S. Treasury Bills          
3.582% due 07/09/2616   1,300,000    1,291,020 
3.692% due 09/24/2616   1,350,000    1,330,254 
Total short-term U.S. Treasury obligations
(cost—$2,621,749)
        2,621,274 
Total Short-term investments
(cost—$14,684,437)
        14,683,962 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
    Value 
Investment of cash collateral from securities loaned—1.9%          
Money market funds—1.9%          

State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%16
(cost—$7,791,084)

   7,791,084   $7,791,084 

 

   Number of
contracts
   Notional
amount
    
Swaptions Purchased—0.0%
Call swaptions—0.0%
1 Year Interest Rate Swap strike @ 3.500, expires 07/20/26 (Counterparty: DB; pay floating rate); underlying swap terminates 07/22/27   3,100,000   USD3,100,000   2,122 
1 Year Interest Rate Swap strike @ 3.500, expires 07/13/26 (Counterparty: CITI; pay floating rate); underlying swap terminates 07/15/27   2,900,000   USD 2,900,000   1,787 
Total call swaptions            3,909 
Total Swaptions Purchased
(cost—$12,477)
            3,909 
Total investments—110.6%
(cost—$448,070,652)17
            444,738,794 
Liabilities in excess of other assets—(10.6)%            (42,687,466)
Net assets—100.0%           $402,051,328 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Foreign exchange options written

 

Notional
amount
(000)
  Number of
contracts
   Put options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
USD92,775  68,722   Call KRW vs. Put USD, 0.000, 1,350.000  BOA   07/09/26  $(246)  $(29)  $217 
USD238,275  176,500   Call KRW vs. Put USD, 0.000, 1,350.000  HSBC   07/09/26   (556)   (74)   482 
USD237,600  176,000   Call KRW vs. Put USD, 0.000, 1,350.000  HSBC   07/10/26   (454)   (78)   376 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Notional
amount
(000)
  Number of
contracts
   Put options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
USD164,400  121,778   Call KRW vs. Put USD, 0.000, 1,350.000  BOA    07/13/26  $(266)  $(57)  $209 
Total                 $(1,522)  $(238)  $1,284 

 

Options written

 

Notional
amount
  Number of
contracts
   Call options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
USD 675  6,000   10 Year U.S. Treasury Notes, strike @ 112.500  GS    05/22/26  $(1,102)  $(375)  $727 
USD 112  1,000   10 Year U.S. Treasury Notes, strike @ 112.000  GS  05/22/26   (140)   (94)   46 
Total               $(1,242)  $(469)  $773 

 

Notional
amount
  Number of
contracts
   Put options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
EUR105,000  100,000   iTraxx Europe S45, strike @ 1.050  BOA    05/20/26  $(173)  $(8)  $165 
USD170,000  200,000   CDX.NA.IG.S45, strike @ 0.850  GSI  05/20/26   (235)   (16)   219 
USD220  2,000   10 Year U.S. Treasury Notes, strike @ 110.000  GS  05/22/26   (466)   (594)   (128)
USD553  5,000   10 Year U.S. Treasury Notes, strike @ 110.500  GS  05/22/26   (1,567)   (2,266)   (699)
USD320,000  400,000   CDX.NA.IG.S45, strike @ 0.800  GSI  06/17/26   (440)   (103)   337 
Total               $(2,881)  $(2,987)  $(106)
Total options written            $(4,123)  $(3,456)  $667 

 

Swaptions written

 

Notional
amount
(000)
  Number of
contracts
   Call Swaptions  Counterparty   Pay/
receive
floating
rate
  Expiration
date
  Premiums
received
   Current
value
   Unrealized
appreciation
(depreciation)
 
USD3,100  3,100,000   1 Year Interest Rate Swap strike @ 3.080 terminating 07/22/27  DB   Pay  07/20/26  $(2,377)  $(678)  $1,699 
USD3,100  3,100,000   1 Year Interest Rate Swap strike @ 3.290 terminating 07/22/27  DB   Pay  07/20/26   (3,720)   (1,181)   2,539 
USD2,900  2,900,000   1 Year Interest Rate Swap strike @ 3.250 terminating 07/15/27  CITI   Pay  07/13/26   (3,190)   (857)   2,333 
USD2,900  2,900,000   1 Year Interest Rate Swap strike @ 3.000 terminating 07/15/27  CITI   Pay  07/13/26   (2,494)   (432)   2,062 
USD100  100,000   10 Year Interest Rate Swap strike @ 3.685 terminating 05/05/36  BOA   Pay  05/01/26   (282)       282 
USD100  100,000   10 Year Interest Rate Swap strike @ 3.733 terminating 05/11/36  BOA   Pay  05/07/26   (283)   (8)   275 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Notional
amount
(000)
  Number of
contracts
   Call Swaptions  Counterparty    Pay/
receive
floating
rate
  Expiration
date
  Premiums
received
   Current
value
   Unrealized
appreciation
(depreciation)
 
USD100  100,000   10 Year Interest Rate Swap strike @ 3.684 terminating 05/13/36  MSCI    Pay  05/11/26  $(250)  $(12)  $238 
USD100  100,000   10 Year Interest Rate Swap strike @ 3.720 terminating 05/22/36  BOA    Pay  05/20/26   (269)   (72)   197 
USD100  100,000   10 Year Interest Rate Swap strike @ 3.742 terminating 05/28/36  GS    Pay  05/26/26   (252)   (111)   141 
Total                    $(13,117)  $(3,351)  $9,766 

 

Notional
amount
(000)
  Number of
contracts
   Put Swaptions  Counterparty    Pay/
receive
floating
rate
  Expiration
date
  Premiums
received
   Current
value
   Unrealized
appreciation
(depreciation)
 
USD100  100,000   10 Year Interest Rate Swap strike @ 4.025 terminating 05/05/36  BOA    Pay  05/01/26  $(282)  $(5)  $277 
USD200  200,000   2 Year Interest Rate Swap strike @ 3.842 terminating 05/08/28  GS    Pay  05/06/26   (210)   (23)   187 
GBP100  100,000   2 Year Interest Rate Swap strike @ 4.590 terminating 05/07/28  JPMCB    Pay  05/07/26   (169)   (22)   147 
USD 100  100,000   10 Year Interest Rate Swap strike @ 4.073 terminating 05/11/36  BOA    Pay  05/07/26   (282)   (42)   240 
USD 100  100,000   10 Year Interest Rate Swap strike @ 3.984 terminating 05/13/36  MSCI    Pay  05/11/26   (250)   (243)   7 
GBP100  100,000   2 Year Interest Rate Swap strike @ 4.370 terminating 05/11/28  JPMCB    Pay  05/11/26   (161)   (163)   (2)
GBP 100  100,000   2 Year Interest Rate Swap strike @ 4.450 terminating 05/13/28  CITI    Pay  05/13/26   (144)   (136)   8 
USD100  100,000   10 Year Interest Rate Swap strike @ 3.960 terminating 05/22/36  BOA    Pay  05/20/26   (269)   (487)   (218)
USD 100  100,000   10 Year Interest Rate Swap strike @ 4.002 terminating 05/28/36  GS    Pay  05/26/26   (252)   (401)   (149)
GBP100  100,000   2 Year Interest Rate Swap strike @ 4.660 terminating 05/29/28  MSCI    Pay  05/29/26   (155)   (156)   (1)
Total                    $(2,174)  $(1,678)  $496 
Total swaptions written                 $(15,291)  $(5,029)  $10,262 

 

Futures contracts

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
Interest rate futures buy contracts:
26  USD 3 Month SOFR Futures  September 2026  $6,271,126   $6,262,425   $(8,701)
27  USD 3 Month SOFR Futures  March 2027   6,524,621    6,500,925    (23,696)
17  AUD Australian Bond 10 Year Futures  June 2026   1,326,222    1,310,361    (15,861)
11  CAD Canadian Bond 10 Year Futures  June 2026   991,340    964,722    (26,618)
8  EUR Euro Bund 10 Year Futures  June 2026   1,191,707    1,177,030    (14,677)
8  EUR EURO Schatz 2 Year Futures  June 2026   1,002,738    992,908    (9,830)
47  CAD Montreal Exchange 2 Year Canadian Bond Futures  June 2026   3,645,687    3,633,430    (12,257)

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
134  USD U.S. Long Bond Futures  June 2026  $15,692,589   $15,121,062   $(571,527)
14  GBP United Kingdom Long Gilt Bond Futures  June 2026   1,764,048    1,649,582    (114,466)
U.S. Treasury futures buy contracts:
50  USD U.S. Treasury Note 2 Year Futures  June 2026  $10,393,843   $10,356,250   $(37,593)
162  USD U.S. Treasury Note 5 Year Futures  June 2026   17,647,812    17,469,422    (178,390)
299  USD U.S. Treasury Note 10 Year Futures  June 2026   33,671,375    33,067,531    (603,844)
161  USD U.S. Treasury Note 10 Year Futures  June 2026   18,583,230    18,170,359    (412,871)
194  USD Ultra U.S. Treasury Bond Futures  June 2026   23,321,439    22,316,063    (1,005,376)
Total          $142,027,777   $138,992,070   $(3,035,707)
Interest rate futures sell contracts:
4  EUR EURO Bobl 5 Year Index Future  June 2026  $(552,498)  $(541,992)  $10,506 
7  CAD Montreal Exchange 5 Year Canadian Bond Futures  June 2026   (584,776)   (581,654)   3,122 
U.S. Treasury futures sell contracts:
35  USD Ultra U.S. Treasury Bond Futures  June 2026  $(4,143,750)  $(4,026,093)  $117,657 
5  USD Ultra U.S. Treasury Note 10 Year Futures  June 2026   (580,545)   (564,297)   16,248 
Total          $(5,861,569)  $(5,714,036)  $147,533 
Net unrealized appreciation (depreciation)               $(2,888,174)

 

Centrally cleared credit default swap agreements on credit indices—sell protection18

 

Referenced obligations  Implied
credit
spread as of
April 30,
202619
  Notional
amount
(000)
  Maturity
date
  Payment
frequency
   Payments
received by
the
portfolio20
 
    Upfront
payments
received
(made)
 
    Value      Unrealized
appreciation
(depreciation)
 
 
iTraxx Europe Crossover S43  N/A  EUR 350  06/20/30  Quarterly   (5.000)%  $31,843   $43,949   $12,106 
CDX.NA.HY.S46  N/A  USD 400  06/20/31  Quarterly   (5.000)   29,472    30,861    1,389 
CDX.NA.IG.S46  N/A  USD 1,300  06/20/31  Quarterly   (1.000)   22,727    28,866    6,139 
CDX.EM.S45  N/A  USD 345  06/20/31  Quarterly   (1.000)   (8,059)   (9,166)   (1,107)
iTraxx Europe S45  N/A  EUR 300  06/20/31  Quarterly   (1.000)   5,402    7,217    1,815 
Total                   $81,385   $101,727   $20,342 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Centrally cleared credit default swap agreements on corporate issues—sell protection18
 
Referenced obligations  Implied
credit
spread as of
April 30,
202619
 
  Notional
amount
(000)
  Maturity
date
  Payment
frequency
   Payments
made by
the
portfolio20
    Upfront
payments
received
(made)
 
    Value      Unrealized
appreciation
(depreciation)
 
 
AT&T, Inc., 3.800%, due 06/20/28  N/A  USD 400  06/20/28  Quarterly   1.000%  $(673)  $5,712   $6,385 
Boeing Co., 2.600%, due 06/20/26  N/A  USD 100  06/20/26  Quarterly   1.000    23    230    207 
Boeing Co., 5.150%, due 06/20/31  N/A  USD 200  06/20/31  Quarterly   1.000    2,495    3,303    808 
Boeing Co., 5.150%, due 12/20/30  N/A  USD 100  12/20/30  Quarterly   1.000    1,468    1,768    300 
T-Mobile USA, Inc., 4.750%, due 06/20/28  N/A  USD 200  06/20/28  Quarterly   5.000    14,737    20,978    6,241 
Verizon Communications, Inc., 4.125%, due 06/20/28  N/A  USD 400  06/20/28  Quarterly   1.000    (453)   5,936    6,389 
Verizon Communications, Inc., 4.125%, due 12/20/28  N/A  USD 100  12/20/28  Quarterly   1.000    (125)   1,683    1,808 
Total                   $17,472   $39,610   $22,138 

 

Centrally cleared interest rate swap agreements

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by the
portfolio20
 
  Payments
received by
the portfolio20
 
   Value   Unrealized
appreciation
(depreciation)
 
AUD 500  09/20/33  Semi-annual  6 mo. AUD Bank Bill Swap  4.500%  $(11,509)  $(5,930)
AUD 300  03/20/34  Semi-annual  6 mo. AUD Bank Bill Swap  4.500    (7,613)   (1,032)
AUD 500  09/18/34  Semi-annual  6 mo. AUD Bank Bill Swap  4.500    (13,490)   (15,369)
AUD 300  03/19/35  Semi-annual  6 mo. AUD Bank Bill Swap  4.000    (16,555)   (16,279)
BRL 4,300  01/04/27  At Maturity  1 day BRL CDI  11.548    (36,849)   (36,849)
BRL 1,050  01/04/27  At Maturity  1 day BRL CDI  11.528    (9,118)   (9,117)
BRL 300  01/04/27  At Maturity  1 day BRL CDI  13.926    (507)   (507)
BRL 3,100  01/04/27  At Maturity  1 day BRL CDI  13.927    (5,229)   (5,241)
BRL 200  01/04/27  At Maturity  1 day BRL CDI  14.009    (291)   (291)
BRL 200  01/02/29  At Maturity  1 day BRL CDI  13.320    (595)   (595)
BRL 1,800  01/02/29  At Maturity  1 day BRL CDI  13.291    (5,601)   (5,585)
BRL 200  01/02/29  At Maturity  1 day BRL CDI  13.354    (559)   (559)
BRL 2,200  01/02/29  At Maturity  1 day BRL CDI  13.400    (5,013)   (4,973)
BRL 3,100  01/02/29  At Maturity  13.017%  1 day BRL CDI    11,849    11,850 
BRL 700  01/02/29  At Maturity  13.000  1 day BRL CDI    2,721    2,721 
BRL 400  01/02/31  At Maturity  1 day BRL CDI  13.681    274    581 
BRL 1,300  01/02/31  At Maturity  1 day BRL CDI  13.657    716    1,204 
BRL 100  01/02/31  At Maturity  1 day BRL CDI  13.899    176    176 
BRL 800  01/02/31  At Maturity  1 day BRL CDI  14.067    2,069    2,069 
CAD 1,100  06/01/32  Semi-annual  3.500  1 day CAD CORRA    (23,698)   (16,801)
EUR 200  10/05/29  Annual  2.063  1 day EUR STR    3,707    3,707 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by the
portfolio20
 
  Payments
received by
the portfolio20
 
   Value   Unrealized
appreciation
(depreciation)
 
EUR 100  10/05/29  Annual  2.050%  1 day EUR STR    $1,912   $1,912 
EUR 100  10/05/29  Annual  2.056  1 day EUR STR     1,883    1,883 
EUR 200  03/09/33  Annual  6 mo. EURIBOR  2.547%     (5,430)   (5,430)
EUR 100  11/05/34  Annual  6 mo. EURIBOR  2.410     (5,177)   (5,177)
EUR 1,710  09/16/36  Annual  6 mo. EURIBOR  2.750     (61,609)   (54,047)
EUR 100  08/13/29  Semi-annual  2.700  6 mo. EURIBOR     (1,299)   (1,299)
EUR 100  08/14/29  Semi-annual  2.650  6 mo. EURIBOR     (1,057)   (1,057)
EUR 100  09/25/29  Semi-annual  2.300  6 mo. EURIBOR     767    767 
EUR 100  04/09/30  Semi-annual  2.400  6 mo. EURIBOR     2,003    2,003 
EUR 100  04/29/30  Semi-annual  2.350  6 mo. EURIBOR     720    720 
EUR 760  09/16/56  Semi-annual  3.000  6 mo. EURIBOR     27,745    12,997 
GBP 800  09/16/36  Annual  4.000  1 day GBP SONIA     50,988    25,172 
GBP 100  09/16/56  Annual  4.500  1 day GBP SONIA     9,961    5,045 
JPY 70,000  06/18/32  Annual  1.250  1 day JPY TONA     15,282    3,443 
JPY 10,000  06/18/45  Annual  1 day JPY TONA  2.000     (7,585)   (861)
JPY 10,000  06/18/55  Annual  1 day JPY TONA  2.000     (13,287)   (515)
USD 400  05/31/28  Annual  3.807  1 day USD SOFR     (24)   (24)
USD 200  06/20/29  Annual  3.750  1 day USD SOFR     36    1,020 
USD 800  12/18/29  Annual  3.750  1 day USD SOFR     (1,878)   8,773 
USD 100  10/31/30  Annual  3.727  1 day USD SOFR     (73)   (73)
USD 100  10/31/30  Annual  3.722  1 day USD SOFR     (50)   (50)
USD 200  10/31/30  Annual  3.739  1 day USD SOFR     (260)   (260)
USD 100  10/31/30  Annual  3.732  1 day USD SOFR     (96)   (96)
USD 100  03/18/31  Annual  3.500  1 day USD SOFR     993    1,692 
USD 675  04/30/31  Annual  3.694  1 day USD SOFR     3,150    3,150 
USD 700  05/15/32  Annual  3.750  1 day USD SOFR     1,082    1,652 
USD 200  06/15/32  Annual  1.750  1 day USD SOFR     26,055    7,157 
USD 1,200  06/21/33  Annual  3.000  1 day USD SOFR     71,344    55,802 
USD 1,690  08/15/33  Annual  3.687  1 day USD SOFR     17,313    17,313 
USD 700  08/15/33  Annual  3.734  1 day USD SOFR     4,849    4,849 
USD 300  08/15/33  Annual  3.763  1 day USD SOFR     1,467    1,467 
USD 200  08/15/33  Annual  3.753  1 day USD SOFR     1,121    1,121 
USD 700  08/15/33  Annual  3.717  1 day USD SOFR     5,705    5,705 
USD 300  08/15/33  Annual  3.745  1 day USD SOFR     1,849    1,849 
USD 300  08/15/33  Annual  3.754  1 day USD SOFR     1,655    1,656 
USD 100  11/22/33  Annual  4.250  1 day USD SOFR     (2,953)   (2,953)
USD 30  12/19/33  Annual  3.950  1 day USD SOFR     (251)   (251)
USD 600  12/20/33  Annual  3.500  1 day USD SOFR     13,820    11,449 
USD 300  02/18/35  Annual  4.095  1 day USD SOFR     (4,811)   (4,811)
USD 100  03/11/35  Annual  3.899  1 day USD SOFR     (75)   (75)
USD 100  03/12/35  Annual  3.905  1 day USD SOFR     (120)   (120)
USD 200  03/24/35  Annual  3.930  1 day USD SOFR     (582)   (582)
USD 100  08/15/35  Annual  3.640  1 day USD SOFR     2,110    1,918 
USD 100  08/15/35  Annual  3.700  1 day USD SOFR     1,637    1,721 
USD 109  08/15/35  Annual  3.715  1 day USD SOFR     1,655    1,361 
USD 100  09/17/35  Annual  3.551  1 day USD SOFR     3,063    3,063 
USD 100  03/03/36  Annual  3.748  1 day USD SOFR     1,532    1,532 
USD 100  03/03/36  Annual  3.775  1 day USD SOFR     1,307    1,307 
USD 100  03/18/36  Annual  4.000  1 day USD SOFR     (542)   2,576 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by the
portfolio20
 
  Payments
received by
the portfolio20
 
   Value   Unrealized
appreciation
(depreciation)
 
USD 1,800  06/20/54  Annual  3.500%  1 day USD SOFR    $221,215   $178,760 
USD 100  12/17/54  Annual  3.765  1 day USD SOFR     7,471    7,471 
USD 200  12/18/54  Annual  3.500  1 day USD SOFR     23,960    19,467 
USD 100  02/15/55  Annual  3.642  1 day USD SOFR     9,564    9,564 
USD 200  06/17/56  Annual  4.000  1 day USD SOFR     7,302    2,889 
USD 475  06/17/56  Annual  4.000  1 day USD SOFR     16,550    9,075 
Total                $336,792   $244,800 

 

OTC credit default swap agreements on credit indices—sell protection18

 

Counterparty  Implied
credit
spread as of
April 30,
202619
  Referenced
obligations
  Notional
amount
(000)
   Maturity
date
  Payment
frequency
  Payments
made by
the
portfolio20
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
BNP  N/A  iTraxx Europe Crossover S44  EUR 200    12/20/30  Quarterly   5.000%  $41,312   $43,729   $2,417 
BOA  N/A  iTraxx Europe Crossover S44  EUR 200    12/20/30  Quarterly   5.000    40,194    43,729    3,535 
MSCI  N/A  iTraxx Europe Crossover S44  EUR 70    12/20/30  Quarterly   5.000    14,550    15,305    755 
JPMCB  N/A  iTraxx Europe Crossover S44  EUR 330    12/20/30  Quarterly   5.000    68,284    72,153    3,869 
CITI  N/A  iTraxx Europe Crossover S44  EUR 500    12/20/30  Quarterly   5.000    103,328    109,323    5,995 
                         $267,668   $284,239   $16,571 

 

OTC credit default swap agreements on corporate issues—sell protection18

 

Counterparty  Referenced obligations  Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
madeby
the
portfolio20
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
  (depreciation)
 
DB  Petroleos Mexicanos  USD 18  07/6/26  Monthly   (4.750)%  $   $71   $71 
GSI  SoftBank Group Corp.  USD 100  06/20/26  Quarterly   (1.000)   (66)   39    105 
Total                   $(66)  $110   $176 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

OTC Total return swap agreements

 

Counterparty  Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio20
 
  Payments
received by
the
Portfolio20
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
GSI  USD 16  05/13/26  At Maturity  1 day USD SOFR   (0.450)%  $   $(25)  $(25)
GSI  USD 13  05/20/26  At Maturity  1 day USD SOFR   (0.250)       (3,627)   (3,627)
                    $   $(3,652)  $(3,652)

 

Forward foreign currency contracts

 

Counterparty  Sell  Purchase  Settlement
date
  Unrealized
appreciation
(depreciation)
 
BB  CAD 927,504  USD 669,736  05/04/26  $(13,165)
BB  CHF 37,183  USD 46,649  05/04/26   (939)
BB  TRY 1,534,090  USD 32,826  05/04/26   (1,125)
BB  USD 32,826  TRY 1,521,452  05/04/26   846 
BB  TRY 1,020,538  USD 21,884  05/05/26   (682)
BB  USD 19,964  ILS 59,134  05/05/26   96 
BB  TRY 2,796,020  USD 60,181  05/06/26   (1,592)
BB  USD 71,765  TRY 3,328,483  05/06/26   1,772 
BB  USD 352,540  TRY 16,038,987  05/07/26   1,508 
BB  USD 28,223  TRY 1,290,200  05/12/26   133 
BB  USD 26,448  TRY 1,212,694  05/13/26   179 
BB  USD 26,448  TRY 1,212,535  05/14/26   151 
BB  USD 17,176  TRY 789,512  05/15/26   127 
BB  USD 28,223  TRY 1,297,722  05/18/26   137 
BB  MYR 92,976  USD 23,081  05/20/26   (340)
BB  USD 13,738  TRY 632,530  05/20/26   59 
BB  USD 25,856  TRY 1,192,519  05/21/26   132 
BB  USD 28,223  TRY 1,302,139  05/22/26   127 
BB  USD 10,978  TRY 508,016  05/26/26   41 
BB  USD 41,888  TRY 1,945,472  06/01/26   76 
BB  USD 12,826  TRY 596,919  06/03/26   26 
BB  TRY 1,511,486  USD 32,419  06/05/26   (62)
BB  ILS 456,693  USD 148,414  06/10/26   (6,538)
BB  USD 8,593  TRY 404,928  06/12/26   52 
BB  USD 35,043  TRY 1,652,946  06/15/26   146 
BB  ILS 59,089  USD 19,964  07/21/26   (95)
BNP  CHF 43,000  USD 54,455  05/04/26   (578)
BNP  IDR 1,018,052,946  USD 58,765  05/04/26   (48)
BNP  TWD 2,511,061  USD 78,000  05/04/26   (1,252)
BNP  USD 60,000  IDR 1,018,052,946  05/04/26   (1,187)
BNP  USD 695,866  SGD 885,636  05/04/26   (49)
BNP  USD 79,537  TWD 2,511,061  05/04/26   (285)
BNP  BRL 408,595  USD 81,906  05/05/26   (609)
BNP  ILS 161,334  USD 50,993  05/05/26   (3,738)
BNP  USD 80,000  BRL 408,596  05/05/26   2,514 
BNP  USD 12,000  THB 392,907  05/05/26   53 
BNP  INR 6,434,907  USD 68,100  05/06/26   306 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Counterparty  Sell  Purchase  Settlement
date
  Unrealized
appreciation
(depreciation)
 
BNP  TWD 1,603,083  USD 50,000  05/07/26  $(601)
BNP  USD 19,947  CNH 136,000  05/07/26   (39)
BNP  USD 48,010  TWD 1,514,331  05/07/26   (210)
BNP  PLN 32,000  USD 8,808  05/13/26   (20)
BNP  TWD 1,515,244  USD 48,010  05/13/26   163 
BNP  USD 60,519  TWD 1,910,454  05/13/26   (192)
BNP  USD 26,327  INR 2,457,241  05/20/26   (468)
BNP  USD 450,359  PLN 1,613,926  05/20/26   (5,124)
BNP  USD 60,000  INR 5,643,895  05/26/26   (639)
BNP  SGD 883,830  USD 695,866  06/02/26   93 
BNP  NZD 779,000  USD 459,065  06/03/26   (1,598)
BNP  IDR 887,438,983  USD 51,053  06/10/26   (135)
BNP  ILS 62,000  USD 19,780  06/10/26   (1,256)
BNP  USD 138,549  IDR 2,355,928,648  06/10/26   (2,659)
BNP  THB 787,103  USD 24,588  06/17/26   361 
BNP  USD 51,822  INR 4,881,871  06/17/26   (579)
BNP  USD 114,313  MXN 1,990,046  06/17/26   (800)
BNP  USD 28,793  INR 2,711,062  06/24/26   (355)
BNP  USD 51,053  IDR 891,931,647  09/16/26   113 
BOA  EUR 2,614,651  USD 3,009,667  05/04/26   (59,017)
BOA  INR 2,821,950  USD 30,000  05/06/26   270 
BOA  USD 359,553  JPY 57,193,923  05/07/26   5,775 
BOA  PLN 29,000  USD 8,055  05/13/26   55 
BOA  ZAR 7,297,000  USD 444,660  05/20/26   7,097 
BOA  IDR 688,663,000  USD 40,000  05/26/26   251 
BOA  CAD 13,000  USD 9,526  06/02/26   (57)
BOA  EUR 2,576,651  USD 3,018,768  06/02/26   (9,296)
BOA  USD 298,561  JPY 47,520,666  06/02/26   5,646 
BOA  ILS 142,884  USD 46,381  06/10/26   (2,098)
BOA  ILS 268,831  USD 87,165  06/17/26   (4,054)
BOA  MXN 346,000  USD 19,838  06/17/26   102 
BOA  MXN 1,570,000  USD 87,626  06/17/26   (1,928)
BOA  USD 248,661  MXN 4,310,000  06/17/26   (2,819)
BOA  BRL 2,200,000  USD 402,562  10/02/26   (26,007)
CITI  IDR 559,636,747  USD 32,595  05/04/26   265 
CITI  TWD 1,185,914  USD 37,573  05/04/26   144 
CITI  USD 32,304  IDR 559,636,747  05/04/26   26 
CITI  USD 37,561  TWD 1,185,914  05/04/26   (133)
CITI  USD 99,699  INR 9,386,994  05/06/26   (805)
CITI  ILS 298,955  USD 95,224  05/12/26   (6,193)
CITI  TWD 722,299  USD 22,837  05/13/26   29 
CITI  INR 4,747,726  USD 50,278  05/20/26   315 
CITI  USD 145,968  INR 13,674,432  05/20/26   (2,066)
CITI  USD 10,099  KRW 14,901,732  05/20/26   (48)
CITI  PEN 296,387  USD 85,431  06/08/26   1,124 
CITI  ILS 310,000  USD 100,565  06/10/26   (4,615)
CITI  USD 67,486  IDR 1,153,166,253  06/10/26   (970)
CITI  THB 1,158,103  USD 36,195  06/17/26   548 
CITI  USD 95,747  INR 9,037,184  06/17/26   (888)

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Counterparty  Sell  Purchase  Settlement
date
  Unrealized
appreciation
(depreciation)
 
CITI  USD 82,214  INR 7,748,582  06/24/26  $(934)
CITI  AUD 60,000  USD 42,748  07/15/26   (390)
CITI  CAD 1,275,152  USD 922,149  07/15/26   (19,527)
CITI  EUR 2,574,726  USD 2,997,478  07/15/26   (33,953)
CITI  GBP 670,000  USD 890,182  07/15/26   (21,326)
CITI  USD 41,597  AUD 60,000  07/15/26   1,542 
CITI  USD 17,043  BRL 90,000  07/15/26   819 
CITI  USD 44,884  CLP 41,500,000  07/15/26   1,240 
CITI  USD 82,983  EUR 70,000  07/15/26   (566)
CITI  ZAR 3,257,899  USD 192,408  07/15/26   (2,121)
CITI  PEN 430,703  USD 124,747  07/16/26   2,477 
CITI  USD 37,389  MXN 668,784  09/17/26   464 
DB  AUD 815,000  USD 558,874  05/04/26   (27,885)
DB  SGD 885,559  USD 694,807  05/04/26   (950)
DB  USD 485,312  AUD 678,000  05/04/26   2,814 
DB  THB 717,263  USD 22,199  05/05/26   196 
DB  IDR 668,974,900  USD 38,860  05/06/26   216 
DB  USD 49,201  INR 4,615,841  05/06/26   (572)
DB  CNH 106,306  USD 15,409  05/07/26   (153)
DB  USD 163,286  CNH 1,116,227  05/07/26   114 
DB  KRW 29,884,918  USD 20,246  05/20/26   90 
DB  KRW 20,739,733  USD 13,764  05/20/26   (224)
DB  AUD 678,000  USD 485,069  06/02/26   (2,806)
DB  CNH 1,114,176  USD 163,286  06/02/26   (112)
DB  USD 70,316  IDR 1,209,521,332  06/10/26   (551)
DB  THB 456,663  USD 14,221  06/17/26   165 
DB  THB 1,281,189  USD 39,307  06/17/26   (128)
DB  USD 22,215  THB 717,263  06/17/26   (138)
GS  BRL 408,784  USD 82,168  05/05/26   (385)
GS  USD 163,850  BRL 817,379  05/05/26   1,218 
GS  USD 10,000  THB 324,356  05/05/26   (50)
GS  INR 4,742,836  USD 50,200  05/06/26   233 
GS  USD 40,000  IDR 676,760,000  05/06/26   (906)
GS  CNH 412,000  USD 59,903  05/07/26   (408)
GS  INR 935,480  USD 10,000  05/18/26   154 
GS  USD 177,109  INR 16,533,204  05/20/26   (3,123)
GS  USD 10,000  INR 936,640  05/26/26   (149)
GS  USD 10,000  KRW 14,790,645  05/26/26   (23)
GS  BRL 191  USD 38  06/02/26   0 
GS  USD 1,092,779  BRL 5,884,452  06/02/26   86,991 
GS  IDR 335,860,092  USD 19,921  06/10/26   549 
GS  USD 48,838  IDR 827,731,358  06/10/26   (1,094)
GS  PEN 463,065  USD 137,469  06/17/26   5,821 
GS  THB 658,313  USD 20,530  06/17/26   267 
GS  THB 1,102,042  USD 33,643  06/17/26   (278)
GS  USD 90,893  INR 8,582,755  06/17/26   (803)
GS  USD 353,939  MXN 6,307,000  06/17/26   5,813 
GS  USD 30  THB 959  06/17/26   0 
GS  USD 82,168  BRL 414,569  07/02/26   375 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Counterparty  Sell  Purchase  Settlement
date
  Unrealized
appreciation
(depreciation)
 
GSI  BRL 90,000  USD 17,510  07/15/26  $(353)
GSI  USD 15,813  BRL 80,000  07/15/26   64 
GSI  USD 82,273  EUR 70,000  07/15/26   144 
GSI  USD 312,967  MXN 5,635,377  07/15/26   7,725 
GSI  USD 40,152  MXN 700,000  07/15/26   (318)
GSI  USD 23,587  NZD 40,000  07/15/26   97 
GSI  USD 41,510  NZD 70,000  07/15/26   (62)
GSI  USD 12,158  ZAR 200,000  07/15/26   (216)
HSBC  CHF 32,000  USD 40,103  05/04/26   (851)
HSBC  NZD 779,000  USD 446,384  05/04/26   (13,810)
HSBC  USD 95,098  AUD 137,000  05/04/26   3,535 
HSBC  USD 884,141  CAD 1,210,123  05/04/26   6,847 
HSBC  USD 44,739  EUR 38,000  05/04/26   (140)
HSBC  USD 55,980  SEK 534,558  05/04/26   1,918 
HSBC  JPY 67,742,256  USD 423,919  05/07/26   (8,787)
HSBC  USD 366,720  JPY 58,330,002  05/07/26   5,865 
HSBC  USD 26,551  INR 2,478,918  05/20/26   (464)
HSBC  CAD 1,208,632  USD 884,141  06/02/26   (6,835)
HSBC  USD 423,919  JPY 67,592,061  06/02/26   8,776 
HSBC  USD 57,496  SEK 532,724  06/02/26   289 
HSBC  USD 19,961  IDR 340,084,973  06/10/26   (345)
JPMCB  CAD 282,000  USD 202,870  05/04/26   (4,761)
JPMCB  IDR 459,246,986  USD 26,797  05/04/26   266 
JPMCB  USD 142,256  CHF 112,222  05/04/26   1,370 
JPMCB  USD 26,509  IDR 459,246,986  05/04/26   21 
JPMCB  GBP 458,000  USD 606,514  05/05/26   (16,709)
JPMCB  USD 618,758  GBP 458,000  05/05/26   4,465 
JPMCB  USD 34,192  ILS 102,215  05/05/26   483 
JPMCB  CNH 733,846  USD 106,820  05/07/26   (605)
JPMCB  ILS 510,248  USD 163,707  05/12/26   (9,388)
JPMCB  USD 88,238  ILS 263,285  05/12/26   1,078 
JPMCB  PLN 48,095  USD 13,184  05/13/26   (84)
JPMCB  KRW 17,858,372  USD 11,880  05/20/26   (165)
JPMCB  CHF 111,872  USD 142,256  06/02/26   (1,356)
JPMCB  GBP 458,000  USD 618,736  06/02/26   (4,469)
JPMCB  ILS 88,000  USD 28,228  06/10/26   (1,629)
JPMCB  USD 133,575  IDR 2,293,036,268  06/10/26   (1,312)
JPMCB  MXN 401,000  USD 22,345  06/17/26   (528)
JPMCB  THB 450,678  USD 14,032  06/17/26   160 
JPMCB  THB 638,686  USD 19,564  06/17/26   (95)
JPMCB  USD 225,335  MXN 3,921,099  06/17/26   (1,675)
JPMCB  USD 40,464  INR 3,779,338  06/24/26   (820)
JPMCB  ILS 365,293  USD 122,430  07/07/26   (1,549)
Net unrealized appreciation (depreciation)           $(179,315)

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Asset-backed securities  $   $50,275,336   $   $50,275,336 
Commercial paper       249,916        249,916 
Corporate bonds       191,322,902        191,322,902 
Loan assignments       33,743,321        33,743,321 
Mortgage-backed securities       46,602,697        46,602,697 
Municipal bonds       1,720,511        1,720,511 
Non-U.S. government agency obligations       10,532,568        10,532,568 
U.S. government agency obligations       33,846,977    363    33,847,340 
U.S. Treasury obligations       46,033,003        46,033,003 
Preferred stocks   6,234,930            6,234,930 
Exchange traded funds   1,697,315            1,697,315 
Swaptions Purchased       3,909        3,909 
Short-term investments   12,062,688            12,062,688 
Short-term U.S. Treasury obligations       2,621,274        2,621,274 
Investment of cash collateral from securities loaned   7,791,084            7,791,084 
Futures contracts   147,533            147,533 
Swap agreements       1,015,430        1,015,430 
Forward foreign currency contracts       185,519        185,519 
Total  $27,933,550   $418,153,363   $363   $446,087,276 
                     
Liabilities                    
Foreign exchange options written  $   $(238)  $   $(238)
Options written   (3,329)   (127)       (3,456)
Swaptions written       (5,029)       (5,029)
Futures contracts   (3,035,707)           (3,035,707)
Swap agreements       (256,604)       (256,604)
Forward foreign currency contracts       (364,834)       (364,834)
Total  $(3,039,036)  $(626,832)  $   $(3,665,868)

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Portfolio.

 

 

Portfolio footnotes

 

Amount represents less than 0.05% or (0.05)%.
1 In U.S. dollars unless otherwise indicated.
2 Floating or variable rate securities. The rates disclosed are as of April 30, 2026. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

3 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $172,213,419, represented 42.8% of the Portfolio's net assets at period end.
4 Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
5 Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
6 Security, or portion thereof, was on loan at the period end.
7 Perpetual investment. Date shown reflects the next call date.
8 Bond interest in default.
9 Payment–in–kind security for which interest may be paid in cash or additional principal, at the discretion of the issuer.
10 Position is unsettled. Contract rate was not determined at April 30, 2026 and does not take effect until settlement.
11 Zero coupon bond.
12 Rate shown is the discount rate at the date of purchase unless otherwise noted.
13 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
14 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
15 Security, or portion thereof, pledged as collateral for investments sold short, written options, futures and/or swap agreements.
16 Rate shown reflects yield at April 30, 2026.
17 Includes $13,119,481 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $7,791,084 and non-cash collateral of $5,628,493.
18 If the portfolio is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the portfolio will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced obligation or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced obligation.
19 Implied credit spreads, represented in absolute terms, used in determining the market value of credit default swap agreements on corporate issues or sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likeli-hood or risk of default for the credit derivative. The implied credit spread of a particular reference entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the reference entity’s credit soundness and greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.
20 Payments made or received are based on the notional amount.

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—99.2%          
Alabama—6.0%          
Black Belt Energy Gas District, Revenue Bonds,          
Series B,          
5.000%, due 10/01/35  $1,000,000   $1,002,713 
Series D,          
5.000%, due 11/01/34   1,000,000    1,058,997 
County of Jefferson Sewer Revenue, Refunding, Revenue Bonds,          
5.000%, due 10/01/32   1,000,000    1,106,945 
5.000%, due 10/01/38   1,000,000    1,084,472 
5.000%, due 10/01/39   1,000,000    1,075,403 
5.250%, due 10/01/40   750,000    818,801 
Southeast Energy Authority A Cooperative District, Revenue Bonds,          
Series E,          
5.000%, due 10/01/30   2,500,000    2,671,747 
         8,819,078 
Arizona—3.2%          
Arizona Industrial Development Authority, Equitable School Revolving Fund LLC Obligated Group, Revenue Bonds,          
Series A,          
5.000%, due 11/01/31   1,000,000    1,087,579 
Arizona Industrial Development Authority, Revenue Bonds,          
Series 2019-2, Class A          
3.625%, due 05/20/33   776,642    775,257 
Chandler Industrial Development Authority, Intel Corp., Revenue Bonds, AMT,          
4.000%, due 06/01/491   750,000    757,336 
City of Phoenix Civic Improvement Corp., City of Phoenix Airport, Revenue Bonds, AMT,          
Series B,          
5.000%, due 07/01/30   1,000,000    1,056,078 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Arizona—(continued)          
Salt Verde Financial Corp., Revenue Bonds,          
5.000%, due 12/01/32  $1,000,000   $1,071,983 
         4,748,233 
California—2.6%          
California Housing Finance Agency, Revenue Bonds,          
Series 2021-1, Class A          
3.500%, due 11/20/35   1,379,862    1,371,517 
California Municipal Finance Authority, Municipal Certificates, Revenue Bonds,          
Series 1, Class A-1          
4.050%, due 07/20/41   499,595    490,842 
Los Angeles Department of Water & Power, Revenue Bonds,          
Series B,          
5.000%, due 07/01/37   850,000    918,053 
San Francisco City & County Airport Comm-San Francisco International Airport, Refunding, Revenue Bonds, AMT,          
Series A,          
5.000%, due 05/01/39   1,000,000    1,082,081 
         3,862,493 
Colorado—0.8%          
Colorado Health Facilities Authority, AdventHealth Obligated Group, Refunding, Revenue Bonds,          
Series B,          
5.000%, due 11/15/491,2   140,000    141,759 
Southern Ute Indian Tribe of the Southern Ute Reservation of Colorado, GO Bonds,          
Series A,          
5.000%, due 04/01/353   1,000,000    1,079,299 
         1,221,058 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Connecticut—0.7%          
State of Connecticut Special Tax, Revenue Bonds,          
Series A,          
4.000%, due 05/01/36  $1,000,000   $1,031,039 
           
District of Columbia—1.1%          
District of Columbia Income Tax Revenue, Revenue Bonds,          
Series A,          
5.000%, due 07/01/41   1,500,000    1,619,174 
           
Florida—2.6%          
County of Miami-Dade Water & Sewer System, Revenue Bonds,          
Series B,          
5.000%, due 10/01/40   1,250,000    1,381,880 
Miami Beach Redevelopment Agency, Tax Allocation Bonds, (Assured Guaranty Corp.),          
5.000%, due 02/01/31   720,000    782,157 
Volusia County Educational Facility Authority, Embry-Riddle Aeronautical University, Inc., Revenue Bonds,          
5.000%, due 10/15/39   1,500,000    1,657,548 
         3,821,585 
Georgia—4.3%          
Development Authority for Fulton County, WellStar Health System Obligated Group, Revenue Bonds,          
Series A,          
5.000%, due 04/01/36   1,000,000    1,013,886 
Georgia Ports Authority, Houston Methodist Hospital Obligated Group, Revenue Bonds,          
5.000%, due 07/01/41   1,500,000    1,619,260 
Main Street Natural Gas, Inc., Revenue Bonds,          
Series A,          
5.500%, due 09/15/28   1,500,000    1,572,177 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Georgia—(continued)          
Series C,          
5.000%, due 09/01/531  $1,000,000   $1,058,926 
Municipal Electric Authority of Georgia, Plant Vogtle Unis 3&4 Project, Revenue Bonds,          
Series A,          
5.000%, due 01/01/33   1,000,000    1,039,234 
         6,303,483 
Illinois—7.9%          
Chicago Midway International Airport, Refunding, Revenue Bonds, AMT,          
Series C,          
5.000%, due 01/01/34   1,500,000    1,639,766 
City of Chicago Wastewater Transmission Revenue, Refunding, Revenue Bonds, (Build America Mutual Assurance Corp.),          
Series A,          
5.000%, due 01/01/38   1,700,000    1,852,777 
City of Chicago, GO Bonds,          
Series A,          
5.000%, due 01/01/44   500,000    488,445 
City of Chicago, Refunding, GO Bonds,          
Series A,          
4.000%, due 01/01/35   1,250,000    1,208,324 
County of Cook Sales Tax, Refunding, Revenue Bonds,          
5.000%, due 11/15/35   2,500,000    2,569,048 
Illinois Finance Authority, University of Chicago, Refunding, Revenue Bonds,          
Series A,          
5.250%, due 04/01/43   900,000    984,108 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Illinois—(continued)          
Regional Transportation Authority, Revenue Bonds, (National Public Finance Guarantee Corp.),          
6.500%, due 07/01/30  $1,000,000   $1,093,292 
Sales Tax Securitization Corp. Second Lien, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/36   1,770,000    1,855,634 
         11,691,394 
Indiana—3.5%          
Indiana Finance Authority First Lien, CWA Authority, Inc., Refunding, Revenue Bonds,          
Series 1,          
4.000%, due 10/01/36   2,020,000    2,071,333 
Indiana Finance Authority, Franciscan Alliance, Inc. Obligated Group, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 11/01/414   1,000,000    1,102,759 
Richmond Hospital Authority, Reid Hospital & Health Care Services, Inc., Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/30   2,055,000    2,058,899 
         5,232,991 
Iowa—0.4%          
Iowa Tobacco Settlement Authority, Refunding, Revenue Bonds,          
Series A-2, Class 1          
5.000%, due 06/01/33   500,000    541,395 
           
Kentucky—2.0%          
Kentucky Public Energy Authority, Refunding, Revenue Bonds,          
Series A-1,          
5.250%, due 04/01/541   2,000,000    2,133,398 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Kentucky—(continued)          
Series C,          
5.000%, due 05/01/36  $750,000   $797,097 
         2,930,495 
Louisiana—0.7%          
Parish of St John the Baptist, Marathon Oil Corp, Refunding, Revenue Bonds,          
Series A-3,          
2.200%, due 06/01/371   1,000,000    998,714 
           
Massachusetts—1.4%          
Commonwealth of Massachusetts, GO Bonds,          
Series D,          
4.000%, due 05/01/34   2,000,000    2,051,127 
           
Michigan—1.5%          
Detroit Downtown Development Authority, Catalyst Development Area, Refunding, Tax Allocation Bonds,          
5.000%, due 07/01/38   1,000,000    1,098,021 
Michigan State Hospital Finance Authority, Bronson Health Care Group Obligated Group, Refunding, Revenue Bonds,          
Series C,          
5.000%, due 05/15/33   1,000,000    1,104,985 
         2,203,006 
New Jersey—4.2%          
Tobacco Settlement Financing Corp., Refunding, Revenue Bonds,          
Series A,          
5.000%, due 06/01/34   6,000,000    6,216,568 
           
New Mexico—2.4%          
New Mexico Educational Assistance Foundation, Refunding, Revenue Bonds, AMT,          
Series 1A,          
5.000%, due 09/01/28   2,000,000    2,058,528 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
New Mexico—(continued)          
New Mexico Hospital Equipment Loan Council, Presbyterian Healthcare Services Obligated Group, Refunding, Revenue Bonds,          
Series A,          
4.000%, due 08/01/39  $1,585,000   $1,503,632 
         3,562,160 
New York—10.4%          
Albany Capital Resource Corp., Albany Medical Center Hospital Obligated Group, Refunding, Revenue Bonds,          
Series A,          
5.250%, due 05/01/41   1,000,000    1,123,815 
City of New York, GO Bonds,          
Series B, Subseries B-1,          
5.250%, due 10/01/41   1,180,000    1,285,406 
New York State Dormitory Authority, Personal Income Tax, Refunding, Revenue Bonds,          
Series E,          
4.000%, due 03/15/42   2,860,000    2,822,616 
New York State Housing Finance Agency, Revenue Bonds,          
Series A,          
3.100%, due 05/01/561   1,000,000    999,203 
New York State Urban Development Corp., Personal Income Tax, Revenue Bonds,          
Series A,          
4.000%, due 03/15/39   1,890,000    1,897,678 
New York Transportation Development Corp., JFK International Air New Terminal One LLC, Revenue Bonds, (Assured Guaranty Corp.), AMT,          
4.250%, due 06/30/42   1,000,000    968,865 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
New York—(continued)          
New York Transportation Development Corp., JFK International Air Terminal LLC, Revenue Bonds, AMT,          
5.000%, due 12/01/35  $2,000,000   $2,141,143 
5.000%, due 12/01/36   1,000,000    1,064,976 
New York Transportation Development Corp., Laguardia Gateway Partners LLC, Revenue Bonds, AMT,          
Series A-P3,          
5.000%, due 07/01/34   1,000,000    1,000,774 
New York Transportation Development Corp., Revenue Bonds, (Assured Guaranty Corp.), AMT,          
6.000%, due 06/30/43   1,000,000    1,128,027 
TSASC, Inc., Refunding, Revenue Bonds,          
Series A,          
5.000%, due 06/01/34   1,000,000    1,014,429 
         15,446,932 
North Carolina—1.8%          
Charlotte Airport Revenue, Revenue Bonds, AMT,          
Series B,          
5.000%, due 07/01/36   1,540,000    1,658,490 
Nash Health Care Systems, Revenue Bonds,          
5.500%, due 02/01/44   995,000    1,084,981 
         2,743,471 
North Dakota—1.0%          
North Dakota Housing Finance Agency, Revenue Bonds,          
Series C,          
5.000%, due 07/01/42   1,330,000    1,443,019 
           
Ohio—4.6%          
Ohio Water Development Authority Water Pollution Control Loan Fund, Revenue Bonds,          
Series A,          
5.000%, due 12/01/41   1,500,000    1,656,203 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Ohio—(continued)          
Ohio Water Development Authority, Revenue Bonds,          
Series A,          
5.000%, due 12/01/39  $1,500,000   $1,661,042 
State of Ohio, Cleveland Clinic Health System Obligated Group, Revenue Bonds,          
Series C,          
2.750%, due 01/01/521   1,980,000    1,969,719 
Summit County Development Finance Authority, Akron Properties LLC Project, Revenue Bonds, (Build America Mutual Assurance Corp.),          
Series A,          
5.000%, due 07/01/36   360,000    394,156 
University of Cincinnati, Revenue Bonds,          
Series A,          
5.250%, due 06/01/43   1,000,000    1,098,184 
         6,779,304 
Oklahoma—0.4%          
Oklahoma Municipal Power Authority, Power Supply System, Revenue Bonds, (Assured Guaranty Corp.),          
Series A,          
4.000%, due 01/01/33   650,000    673,195 
           
Pennsylvania—9.9%          
Allegheny County Hospital Development Authority, Allegheny Health Network Obligated Group, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 04/01/29   3,190,000    3,308,966 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Pennsylvania—(continued)          
Pennsylvania Economic Development Financing Authority, The Penndot Major Bridges, Revenue Bonds, AMT,          
5.000%, due 06/30/34  $2,200,000   $2,369,864 
Pennsylvania Housing Finance Agency, Refunding, Revenue Bonds, AMT,          
5.000%, due 10/01/27   1,250,000    1,278,016 
Pennsylvania Housing Finance Agency, Revenue Bonds,          
Series 151-A,          
5.000%, due 10/01/32   1,050,000    1,157,498 
Philadelphia Airport, Refunding, Revenue Bonds, AMT,          
Series B,          
5.000%, due 07/01/32   1,250,000    1,274,717 
Philadelphia Housing Authority, Philadelphia Housing Authority Development Corp., Revenue Bonds,          
Series A,          
5.000%, due 03/01/29   1,000,000    1,054,469 
Philadelphia School District Prerefunded, GO Bonds, (State Aid Withholding),          
Series F,          
5.000%, due 09/01/302   10,000    10,075 
Philadelphia School District, GO Bonds, (State Aid Withholding),          
Series A,          
4.000%, due 09/01/35   1,500,000    1,524,753 
Pittsburgh Water & Sewer Authority, Revenue Bonds,          
Series A,          
5.000%, due 09/01/43   750,000    821,111 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Pennsylvania—(continued)          
Southeastern Pennsylvania Transportation Authority, Revenue Bonds,          
5.250%, due 06/01/40  $1,750,000   $1,912,598 
         14,712,067 
Rhode Island—2.3%          
Rhode Island Health and Educational Building Corp., State of Rhode Island, Revenue Bonds, (Short-Term Appropriation),          
4.000%, due 05/15/42   2,300,000    2,263,080 
Rhode Island Student Loan Authority, Student Loan, Revenue Bonds, AMT,          
Series A-Senior Bonds,          
5.000%, due 12/01/30   1,125,000    1,198,751 
         3,461,831 
South Carolina—1.0%          
Piedmont Municipal Power Agency, Catawba Project Power Sales, Refunding, Revenue Bonds,          
Series B,          
4.000%, due 01/01/34   1,500,000    1,517,989 
           
Tennessee—0.9%          
Metropolitan Government Nashville & Davidson County Health & Educational Facilities Board, Lipscomb University, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 10/01/35   1,350,000    1,370,592 
           
Texas—9.3%          
Brazos Higher Education Authority, Inc., Student Loan Program, Revenue Bonds, AMT,          
Series 1A,          
5.000%, due 04/01/30   1,000,000    1,046,734 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Texas—(continued)          
Central Texas Turnpike System, Refunding, Revenue Bonds,          
Series C,          
5.000%, due 08/15/37  $1,000,000   $1,106,569 
City of Houston Hotel Occupancy Tax & Special Revenue, Refunding, Revenue Bonds, (Assured Guaranty Corp.),          
Series C,          
5.000%, due 09/01/43   500,000    547,380 
Garland Independent School District, GO Bonds, (Permanent School Fund),          
Series A,          
5.000%, due 02/15/42   2,000,000    2,151,345 
Harris County Cultural Education Facilities Finance Corp., Texas Children's Hospital, Refunding, Revenue Bonds,          
Series A,          
4.000%, due 10/01/35   1,750,000    1,766,052 
Katy Independent School District, CIB, Refunding, GO Bonds, (Permanent School Fund),          
Series A,          
3.000%, due 02/15/32   2,375,000    2,354,477 
North East Texas Regional Mobility Authority Senior Lien, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/38   700,000    768,819 
Plano Independent School District, GO Bonds,          
5.000%, due 02/15/43   1,000,000    1,069,080 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Texas—(continued)          
Tarrant County Cultural Education Facilities Finance Corp., Cumberland Rest Inc Obligated Group, Refunding, Revenue Bonds,          
5.000%, due 10/01/32  $1,675,000   $1,804,664 
Texas Municipal Gas Acquisition & Supply Corp. IV, Revenue Bonds,          
Series B,          
5.500%, due 01/01/541   1,000,000    1,092,645 
         13,707,765 
Virginia—1.7%          
Virginia Small Business Financing Authority, Capital Beltway Express LLC, Refunding, Revenue Bonds, AMT,          
5.000%, due 12/31/42   1,000,000    1,031,645 
Winchester Economic Development Authority, Valley Health Obligated Group, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/39   1,350,000    1,469,411 
         2,501,056 
Washington—3.0%          
Port of Seattle, Revenue Bonds, AMT,          
Series C,          
5.000%, due 04/01/32   1,000,000    1,000,934 
State of Washington, GO Bonds,          
Series B,          
5.000%, due 02/01/43   1,000,000    1,076,720 
State of Washington, Refunding, GO Bonds,          
Series R-2022-C,          
4.000%, due 07/01/36   1,500,000    1,547,167 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Washington—(continued)          
Washington State Housing Finance Commission, Revenue Bonds,          
Series A,          
3.500%, due 12/20/35  $912,119   $879,985 
         4,504,806 
Wisconsin—7.6%          
City of Milwaukee, GO Bonds, (Assured Guaranty Corp.),          
Series B4,          
5.000%, due 04/01/35   2,000,000    2,223,885 
Public Finance Authority KU, Campus Development Corp. project, University of Kansas, Revenue Bonds,          
5.000%, due 03/01/34   1,500,000    1,501,740 
Public Finance Authority, Duke Energy Progress LLC, Refunding, Revenue Bonds,          
Series A-2,          
3.700%, due 10/01/461   2,330,000    2,361,802 
Public Finance Authority, Kahala Senior Living Community, Refunding, Revenue Bonds,          
5.000%, due 11/15/40   425,000    450,139 
Public Finance Authority, Lindenwood Education System Obligated Group, Refunding, Revenue Bonds,          
5.000%, due 06/01/33   1,155,000    1,213,120 
Public Finance Authority, Oxford Properties LLC Project, Revenue Bonds, (Build America Mutual Assurance Corp.),          
Series A,          
5.000%, due 07/01/34   500,000    549,981 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)          
Wisconsin—(continued)          
Public Finance Authority, The Ground LLC - Wake Forest University Project, Revenue Bonds,          
5.000%, due 07/01/35  $1,000,000   $1,103,472 
Sparta Area School District, GO Bonds, (Assured Guaranty Corp.),          
3.000%, due 03/01/39   2,000,000    1,797,305 
         11,201,444 
Total municipal bonds
(cost—$148,148,623)
        146,917,464 

 

   Number of     
   shares     
Short-term investments—0.5%          
Investment companies—0.5%          
State Street Institutional U.S. Government Money Market Fund, 3.596%5
(cost—$763,995)
   763,995   $763,995 
Total investments—99.7%
(cost—$148,912,618)
        147,681,459 
Other assets in excess of liabilities—0.3%        419,044 
Net assets—100.0%       $148,100,503 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Municipal bonds  $   $146,917,464   $   $146,917,464 
Short-term investments   763,995            763,995 
Total  $763,995   $146,917,464   $   $147,681,459 

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

1 Floating or variable rate securities. The rates disclosed are as of April 30, 2026. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
2 Security is prerefunded or escrowed to maturity. The maturity date shown is the earlier of the reset date or the date of the prerefunded call.
3 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $1,079,299, represented 0.7% of the Portfolio's net assets at period end.
4 Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
5 Rate shown reflects yield at April 30, 2026.

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—3.3%          
Ireland—1.4%          
ARES European CLO XXI DAC,          
Series 21A, Class A,          
3 mo. EURIBOR + 1.220%,          
3.424%, due 04/15/382,3   394,000   $462,616 
Avoca CLO XXXII DAC,          
Series 32A, Class A1,          
3 mo. EURIBOR + 1.170%,          
3.374%, due 04/15/392,3   396,000    463,716 
Palmer Square European CLO DAC,          
Series 2025-2A, Class A,          
3 mo. EURIBOR + 1.350%,          
3.554%, due 07/15/382,3   381,000    447,574 
Ravensdale Park CLO DAC,          
Series 1A, Class A,          
3 mo. EURIBOR + 1.170%,          
3.335%, due 04/25/382,3   287,000    335,930 
RRE 24 Loan Management DAC,          
Series 24A, Class A1,          
3 mo. EURIBOR + 1.160%,          
3.176%, due 04/15/402,3   400,000    468,757 
         2,178,593 
Netherlands—0.2%          
Dryden Euro CLO,          
Series 131A, Class A,          
3 mo. EURIBOR + 1.210%,          
3.743%, due 04/15/392,3   300,000    350,893 
           
United States—1.7%          
Aqua Finance Issuer Trust,          
Series 2025-B, Class A,          
4.790%, due 05/17/512   169,020    169,113 
Credit Acceptance Auto Loan Trust,          
Series 2024-1A, Class A,          
5.680%, due 03/15/342   503,985    506,055 
GM Financial Automobile Leasing Trust,          
Series 2024-1, Class A3,          
5.090%, due 03/22/27   18,985    18,998 
Lendmark Funding Trust          
Series 2025-2A, Class A,          
4.780%, due 10/20/342   420,000    420,316 
Series 2026-1A, Class A,          
4.800%, due 11/20/352,4   181,000    180,718 
Merchants Fleet Funding LLC,          
Series 2024-1A, Class A,          
5.820%, due 04/20/372   248,063    249,041 
Progress Residential Trust,          
Series 2025-SFR3, Class A,          
3.390%, due 07/17/422   415,000    392,063 
Santander Drive Auto Receivables Trust,          
Series 2025-3, Class C,          
4.680%, due 09/15/31   96,000    96,003 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
United States—(continued)          
Sierra Timeshare Receivables  Funding LLC,          
Series 2025-2A, Class A,          
4.720%, due 04/20/442   61,958   $61,930 
Tesla Auto Lease Trust,          
Series 2024-A, Class A3,          
5.300%, due 06/21/272   46,583    46,642 
Towd Point Mortgage Trust,          
Series 2026-FIX2, Class A1A,          
5.309%, due 04/25/662   460,000    458,979 
UPG HI Issuer Trust,          
Series 2026-1, Class A,          
5.030%, due 02/25/482,4   100,000    99,994 
         2,699,852 
Total asset-backed securities          
(cost—$5,036,249)        5,229,338 
           
Corporate bonds—33.1%          
Argentina—0.0%†          
Tecpetrol SA          
7.625%, due 11/03/302   50,000    51,150 
           
Australia—0.6%          
Amcor U.K. Finance PLC          
3.200%, due 11/17/29  EUR250,000    290,009 
Glencore Funding LLC          
5.634%, due 04/04/342   461,000    473,795 
6.375%, due 10/06/302   87,000    92,224 
Santos Finance Ltd.          
6.875%, due 09/19/332   152,000    165,761 
         1,021,789 
Austria—0.1%          
Benteler International  Austria GmbH          
7.250%, due 06/15/315  EUR100,000    124,285 
           
Belgium—0.3%          
KBC Group NV          
(fixed, converts to FRN  on 09/23/30),          
4.454%, due  09/23/312,3   200,000    196,839 
(fixed, converts to FRN  on 10/16/29),          
4.932%, due  10/16/302,3   225,000    226,472 
         423,311 
Canada—0.8%          
Enbridge, Inc.          
5.300%, due 04/05/29   260,000    265,518 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Canada—(continued)          
Series 2017-A, (fixed, converts to FRN on  07/15/27),          
5.500%, due 07/15/773   110,000   $109,750 
Toronto-Dominion Bank          
3.666%, due 09/08/315  EUR700,000    842,008 
TransCanada PipeLines Ltd.          
(fixed, converts to FRN  on 10/17/31),          
6.125%, due 10/17/563   21,000    21,092 
(fixed, converts to FRN  on 10/17/36),          
6.375%, due 10/17/563   23,000    23,176 
         1,261,544 
Colombia—0.2%          
Ecopetrol SA          
8.625%, due 01/19/29   200,000    211,700 
EnfraGen Energia Sur SA/EnfraGen Spain  SA/Prime Energia SpA          
5.375%, due 12/30/305   198,071    183,592 
         395,292 
Denmark—0.1%          
Danske Bank AS          
(fixed, converts to FRN  on 03/01/29),          
5.705%, due  03/01/302,3   230,000    236,360 
           
France—3.7%          
Alstom SA          
(fixed, converts to FRN  on 08/29/29),          
5.868%, due  05/29/293,5,6  EUR100,000    119,714 
BNP Paribas SA          
(fixed, converts to FRN  on 01/13/32),          
5.786%, due  01/13/332,3   200,000    207,032 
(fixed, converts to FRN  on 08/16/29),          
7.750%, due  08/16/292,3,6   200,000    209,774 
(fixed, converts to FRN  on 11/19/29),          
5.283%, due  11/19/302,3   290,000    295,045 
BPCE SA          
0.500%, due 02/24/275  EUR100,000    115,289 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
France—(continued)          
(fixed, converts to FRN  on 01/13/36),          
5.417%, due  01/13/372,3   250,000   $244,304 
(fixed, converts to FRN  on 01/14/30),          
5.876%, due  01/14/312,3   475,000    489,869 
(fixed, converts to FRN  on 10/19/28),          
6.714%, due  10/19/292,3   830,000    868,499 
(fixed, converts to FRN  on 10/19/33),          
7.003%, due  10/19/342,3   250,000    273,167 
BPCE SFH SA          
3.000%, due 01/15/315  EUR400,000    466,055 
Credit Agricole SA          
(fixed, converts to FRN  on 09/11/27),          
4.631%, due  09/11/282,3   250,000    250,118 
(fixed, converts to FRN  on 10/03/28),          
6.316%, due  10/03/292,3   355,000    368,676 
Electricite de France SA          
(fixed, converts to FRN  on 09/15/30),          
3.375%, due  06/15/303,5,6  EUR200,000    222,113 
(fixed, converts to FRN  on 09/17/32),          
5.625%, due  06/17/323,5,6  EUR200,000    242,305 
Societe Generale SA          
(fixed, converts to FRN  on 04/10/36),          
5.400%, due  04/10/372,3   580,000    566,425 
(fixed, converts to FRN  on 04/13/32),          
6.100%, due  04/13/332,3   250,000    260,202 
TotalEnergies SE          
(fixed, converts to FRN  on 11/19/34),          
4.500%, due  08/19/343,5,6  EUR200,000    231,558 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
France—(continued)          
Series NC12, (fixed,  converts to FRN on  01/25/33),          
2.125%, due  07/25/323,5,6  EUR100,000    102,222 
Unibail-Rodamco-Westfield  SE          
(fixed, converts to FRN  on 10/04/30),          
4.875%, due  07/04/303,5,6  EUR200,000    235,043 
         5,767,410 
Germany—1.4%          
Commerzbank AG          
(fixed, converts to FRN  on 07/16/31),          
4.000%, due  07/16/323,5  EUR100,000    118,673 
Deutsche Bank AG          
(fixed, converts to FRN  on 02/06/31),          
4.725%, due 02/06/323   150,000    147,567 
(fixed, converts to FRN  on 02/10/33),          
7.079%, due 02/10/343   390,000    419,267 
(fixed, converts to FRN  on 08/04/30),          
4.950%, due 08/04/313   155,000    154,514 
(fixed, converts to FRN  on 11/20/28),          
6.819%, due 11/20/293   185,000    194,149 
IHO Verwaltungs GmbH          
6.750% Cash or 7.500%  PIK,          
6.750%, due  11/15/295,8  EUR100,000    122,785 
RWE Finance U.S. LLC          
5.875%, due 04/16/342   150,000    155,192 
Volkswagen International  Finance NV          
(fixed, converts to FRN  on 11/15/30),          
5.493%, due  11/15/303,5,6  EUR100,000    117,699 
Volkswagen Leasing  GmbH          
0.625%, due 07/19/295  EUR200,000    215,080 
Vonovia SE          
0.625%, due 12/14/295  EUR400,000    424,387 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Germany—(continued)          
ZF Europe Finance BV          
7.000%, due 06/12/305  EUR100,000   $122,665 
         2,191,978 
Guatemala—0.1%          
Energuate Trust 2 0          
6.350%, due 09/15/352   200,000    200,551 
           
Hong Kong—0.1%          
Melco Resorts Finance  Ltd.          
5.750%, due 07/21/282   200,000    198,611 
           
Ireland—1.7%          
AerCap Ireland Capital DAC/AerCap Global Aviation Trust          
3.300%, due 01/30/32   592,000    541,110 
4.125%, due 02/28/29   175,000    172,842 
AIB Group PLC          
(fixed, converts to FRN  on 04/04/27),          
2.250%, due  04/04/283,5  EUR500,000    582,295 
(fixed, converts to FRN  on 04/30/30),          
7.125%, due  10/30/293,5,6  EUR200,000    249,736 
Avolon Holdings Funding Ltd.          
5.150%, due 01/15/302   405,000    406,397 
5.750%, due 03/01/292   380,000    388,109 
5.750%, due 11/15/292   165,000    168,897 
6.375%, due 05/04/282   155,000    159,422 
         2,668,808 
Italy—1.2%          
Eni SpA          
(fixed, converts to FRN  on 04/21/34),          
4.875%, due  01/21/343,5,6  EUR150,000    175,896 
Intesa Sanpaolo SpA          
6.625%, due 06/20/332   405,000    441,071 
(fixed, converts to FRN  on 05/20/32),          
7.000%, due  05/20/323,5,6  EUR200,000    251,748 
UniCredit SpA          
0.850%, due 01/19/315  EUR350,000    365,553 
(fixed, converts to FRN  on 01/15/27),          
2.731%, due  01/15/323,5  EUR400,000    467,078 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Italy—(continued)          
(fixed, converts to FRN  on 06/03/32),          
6.500%, due  12/03/313,5,6  EUR200,000   $246,754 
         1,948,100 
Jamaica—0.1%          
Digicel International  Finance Ltd./Difl U.S.  LLC          
8.625%, due 08/01/322   200,000    207,500 
           
Japan—0.2%          
Rakuten Group, Inc.          
11.250%, due 02/15/272   248,000    257,850 
           
Luxembourg—0.2%          
Herens Holdco SARL          
4.750%, due 05/15/282,7   200,000    177,000 
Maxam Prill SARL          
6.000%, due 07/15/305  EUR100,000    118,522 
         295,522 
Macau—0.1%          
Studio City Finance Ltd.          
5.000%, due 01/15/295   200,000    190,690 
           
Mexico—0.6%          
Alpek SAB de CV          
4.250%, due 09/18/295   200,000    186,836 
CFE Fibra E          
5.875%, due 09/23/402   197,160    195,262 
Corp. Inmobiliaria Vesta  SAB de CV          
5.500%, due 01/30/332   200,000    199,250 
Petroleos Mexicanos          
7.690%, due 01/23/50   345,000    316,883 
         898,231 
Netherlands—0.4%          
ING Groep NV          
(fixed, converts to FRN  on 11/16/26),          
5.750%, due  11/16/263,6   580,000    581,492 
           
Saudi Arabia—0.2%          
Greensaif Pipelines Bidco  SARL          
5.853%, due 02/23/365   255,000    260,865 
           
Spain—1.0%          
Banco de Sabadell SA          
(fixed, converts to FRN  on 05/20/31),          
6.500%, due  05/20/313,5,6  EUR200,000    243,701 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Spain—(continued)          
Banco Santander SA          
(fixed, converts to FRN  on 05/21/29),          
9.625%, due  11/21/283,6   200,000   $219,636 
CaixaBank SA          
(fixed, converts to FRN  on 03/15/29),          
5.673%, due  03/15/302,3   415,000    425,630 
(fixed, converts to FRN  on 07/19/28),          
5.000%, due  07/19/293,5  EUR400,000    486,170 
(fixed, converts to FRN  on 09/13/33),          
6.840%, due  09/13/342,3   230,000    251,348 
         1,626,485 
Turkey—0.3%          
Mersin Uluslararasi  Liman Isletmeciligi AS          
8.250%, due 11/15/285   200,000    206,250 
Turkiye Varlik Fonu  Yonetimi AS          
8.250%, due 02/14/295   210,000    220,500 
         426,750 
United Kingdom—3.5%          
BAT Capital Corp.          
4.540%, due 08/15/47   157,000    127,965 
Heathrow Funding Ltd.          
6.450%, due 12/10/315  GBP350,000    495,035 
6.750%, due 12/03/265  GBP478,000    656,735 
HSBC Holdings PLC          
(fixed, converts to FRN  on 03/04/29),          
5.546%, due 03/04/303   440,000    450,401 
(fixed, converts to FRN  on 05/19/31),          
4.191%, due  05/19/363,5  EUR200,000    235,516 
(fixed, converts to FRN  on 11/06/30),          
4.619%, due 11/06/313   470,000    465,609 
(fixed, converts to FRN  on 11/19/27),          
5.130%, due 11/19/283   200,000    201,687 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United Kingdom—(continued)          
INEOS Quattro Finance 2  PLC          
8.500%, due 03/15/295  EUR100,000   $114,193 
Nationwide Building Society          
2.000%, due 04/28/275  EUR300,000    349,244 
(fixed, converts to FRN  on 12/20/27),          
5.750%, due  06/20/273,5,6  GBP200,000    272,090 
NatWest Group PLC          
(fixed, converts to FRN  on 09/06/27),          
4.067%, due  09/06/283,5  EUR505,000    599,681 
Santander U.K. Group Holdings PLC          
(fixed, converts to FRN  on 09/11/29),          
4.858%, due 09/11/303   340,000    340,438 
(fixed, converts to FRN  on 09/22/28),          
4.320%, due 09/22/293   200,000    198,450 
Standard Chartered PLC          
(fixed, converts to FRN  on 01/12/27),          
2.608%, due  01/12/282,3   343,000    338,232 
(fixed, converts to FRN  on 02/15/28),          
7.750%, due  08/15/272,3,6   200,000    205,630 
(fixed, converts to FRN  on 09/23/26),          
1.200%, due  09/23/313,5  EUR200,000    232,990 
(fixed, converts to FRN  on 10/15/29),          
5.005%, due  10/15/302,3   200,000    201,372 
         5,485,268 
United States—16.2%          
AbbVie, Inc.          
4.050%, due 11/21/39   81,000    70,945 
Aircastle Ltd./Aircastle  Ireland DAC          
5.000%, due 05/15/312   375,000    372,497 
Amazon.com, Inc.          
5.650%, due 03/13/46   95,000    93,689 
American Airlines Pass-Through Trust          
Series 2016-3, Class A,          
3.250%, due 10/15/28   43,927    42,028 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United States—(continued)          
Series 2017-2, Class A,          
3.600%, due 10/15/29   53,867   $51,232 
American Express Co.          
(fixed, converts to FRN  on 04/25/35),          
5.667%, due 04/25/363   80,000    82,862 
(fixed, converts to FRN  on 07/20/32),          
4.918%, due 07/20/333   65,000    65,154 
Amgen, Inc.          
5.750%, due 03/02/63   139,000    132,850 
Athene Global Funding          
5.033%, due 07/17/302   305,000    302,056 
5.543%, due 08/22/352   92,000    90,355 
Bank of America Corp.          
(fixed, converts to FRN  on 01/24/30),          
5.162%, due 01/24/313   645,000    657,000 
(fixed, converts to FRN  on 02/06/36),          
5.045%, due 02/06/373   105,000    103,375 
(fixed, converts to FRN  on 03/08/32),          
3.846%, due 03/08/373   71,000    65,952 
(fixed, converts to FRN  on 04/23/31),          
4.695%, due 04/23/323   70,000    69,713 
(fixed, converts to FRN  on 10/20/31),          
2.572%, due 10/20/323   311,000    277,065 
Boeing Co.          
3.600%, due 05/01/34   240,000    215,708 
BP Capital Markets PLC          
(fixed, converts to FRN  on 03/01/34),          
6.450%, due  12/01/333,6   143,000    149,744 
(fixed, converts to FRN  on 06/18/35),          
6.125%, due  03/18/353,6   235,000    240,286 
Broadcom, Inc.          
3.469%, due 04/15/34   35,000    31,587 
5.200%, due 07/15/35   114,000    114,983 
Cencora, Inc.          
2.800%, due 05/15/30   51,000    47,661 
4.900%, due 02/13/36   52,000    50,734 
CF Industries, Inc.          
4.950%, due 06/01/43   159,000    143,031 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United States—(continued)          
Charter Communications  Operating LLC/Charter  Communications Operating Capital          
2.250%, due 01/15/29   250,000   $233,645 
3.500%, due 06/01/41   141,000    97,808 
6.650%, due 02/01/34   125,000    129,624 
Cheniere Energy  Partners LP          
4.500%, due 10/01/29   440,000    437,745 
Citigroup, Inc.          
(fixed, converts to FRN  on 02/13/29),          
5.174%, due 02/13/303   580,000    588,840 
(fixed, converts to FRN  on 03/20/29),          
3.980%, due 03/20/303   460,000    452,237 
(fixed, converts to FRN  on 03/31/30),          
4.412%, due 03/31/313   415,000    410,474 
(fixed, converts to FRN  on 05/01/31),          
2.561%, due 05/01/323   330,000    296,524 
(fixed, converts to FRN  on 09/11/30),          
4.503%, due 09/11/313   110,000    108,769 
(fixed, converts to FRN  on 09/19/29),          
4.542%, due 09/19/303   488,000    486,173 
Columbia Pipelines Operating Co. LLC          
5.927%, due 08/15/302   65,000    67,938 
6.036%, due 11/15/332   230,000    242,956 
Constellation Energy  Generation LLC          
6.250%, due 10/01/39   175,000    184,620 
Coterra Energy, Inc.          
5.900%, due 02/15/55   10,000    9,623 
Diamondback Energy,  Inc.          
6.250%, due 03/15/33   32,000    34,310 
Dominion Energy, Inc.          
(fixed, converts to FRN  on 02/15/31),          
6.000%, due 02/15/563   158,000    158,083 
Edison International          
(fixed, converts to FRN  on 06/15/28),          
8.125%, due 06/15/533   28,000    28,726 
Energy Transfer LP          
5.600%, due 09/01/34   80,000    81,635 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United States—(continued)          
(fixed, converts to FRN  on 02/15/31),          
6.500%, due 02/15/563   321,000   $321,865 
Entergy Corp.          
(fixed, converts to FRN  on 06/15/31),          
5.875%, due 06/15/563   25,000    25,010 
(fixed, converts to FRN  on 12/01/29),          
7.125%, due 12/01/543   257,000    264,576 
Enterprise Products  Operating LLC          
(fixed, converts to FRN  on 02/15/28),          
5.375%, due 02/15/783   74,000    73,792 
EUSHI Finance, Inc.          
(fixed, converts to FRN  on 04/01/31),          
6.250%, due 04/01/563   111,000    109,932 
(fixed, converts to FRN  on 12/15/29),          
7.625%, due 12/15/543   78,000    80,754 
Expand Energy Corp.          
5.375%, due 03/15/30   338,000    341,493 
Fifth Third Bancorp          
(fixed, converts to FRN  on 04/29/31),          
4.566%, due 04/29/323   160,000    157,589 
FirstEnergy  Transmission LLC          
2.866%, due 09/15/282   210,000    201,953 
Fiserv, Inc.          
4.550%, due 02/15/31   100,000    98,021 
Ford Motor Credit Co. LLC          
4.867%, due 08/03/27  EUR677,000    808,161 
5.420%, due 04/09/31   210,000    208,178 
Foundry JV Holdco LLC          
6.250%, due 01/25/352   260,000    274,535 
General Motors Financial  Co., Inc.          
5.625%, due 04/04/32   411,000    421,605 
Global Payments, Inc.          
5.550%, due 11/15/35   115,000    110,913 
Goldman Sachs Group, Inc.          
(fixed, converts to FRN  on 01/21/31),          
4.516%, due 01/21/323   295,000    290,698 
(fixed, converts to FRN  on 01/21/36),          
5.065%, due 01/21/373   168,000    164,243 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United States—(continued)          
(fixed, converts to FRN  on 01/28/30),          
5.207%, due 01/28/313   660,000   $670,584 
(fixed, converts to FRN  on 10/21/30),          
4.369%, due 10/21/313   370,000    362,969 
HCA, Inc.          
3.500%, due 09/01/30   117,000    111,245 
3.500%, due 07/15/51   190,000    125,117 
4.600%, due 11/15/32   48,000    46,812 
4.700%, due 05/15/31   80,000    79,625 
5.250%, due 06/15/49   10,000    8,841 
5.500%, due 06/15/47   70,000    64,234 
Hyundai Capital America          
4.875%, due 11/01/272   360,000    361,593 
ITC Holdings Corp.          
2.950%, due 05/14/302   45,000    42,134 
5.400%, due 06/01/332   370,000    375,111 
5.650%, due 05/09/342   140,000    143,943 
JBS NV/JBS USA Foods Group Holdings, Inc./JBS USA Food Co. Holdings          
5.950%, due 04/20/35   265,000    274,345 
6.500%, due 12/01/52   65,000    65,189 
7.250%, due 11/15/53   120,000    130,837 
Jersey Central Power &  Light Co.          
2.750%, due 03/01/322   330,000    296,514 
LYB International  Finance III LLC          
5.875%, due 01/15/36   63,000    63,639 
M&T Bank Corp.          
(fixed, converts to FRN  on 01/16/35),          
5.385%, due 01/16/363   84,000    83,699 
(fixed, converts to FRN  on 03/13/31),          
6.082%, due 03/13/323   60,000    62,881 
Maple Parent Holdings Corp.          
5.700%, due 03/26/362   42,000    42,052 
6.625%, due 03/26/562   44,000    44,548 
Mars, Inc.          
5.200%, due 03/01/352   150,000    151,339 
Marvell Technology, Inc.          
2.950%, due 04/15/31   179,000    165,012 
5.450%, due 07/15/35   202,000    206,597 
Meta Platforms, Inc.          
4.875%, due 11/15/35   103,000    100,384 
5.250%, due 05/15/36   100,000    99,719 
5.400%, due 08/15/54   120,000    106,654 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United States—(continued)          
5.500%, due 11/15/45   165,000   $153,304 
5.625%, due 11/15/55   16,000    14,691 
6.300%, due 05/15/56   140,000    140,216 
MetLife, Inc.          
(fixed, converts to FRN  on 03/15/36),          
5.850%, due 03/15/563   20,000    19,729 
Monongahela Power Co.          
5.850%, due 02/15/342   60,000    62,784 
Morgan Stanley          
(fixed, converts to FRN  on 01/15/30),          
5.230%, due 01/15/313   245,000    249,062 
(fixed, converts to FRN  on 01/16/31),          
4.493%, due 01/16/323   195,000    191,873 
(fixed, converts to FRN  on 01/18/36),          
5.314%, due 01/18/413   75,000    72,991 
(fixed, converts to FRN  on 01/19/33),          
5.948%, due 01/19/383   182,000    187,493 
(fixed, converts to FRN  on 01/30/36),          
5.073%, due 01/30/373   200,000    195,686 
(fixed, converts to FRN  on 07/21/33),          
5.424%, due 07/21/343   173,000    176,317 
(fixed, converts to FRN  on 10/18/29),          
4.654%, due 10/18/303   480,000    479,184 
Series I, (fixed,  converts to FRN on  10/22/30),          
4.356%, due 10/22/313   256,000    251,438 
Morgan Stanley Private  Bank NA          
(fixed, converts to FRN  on 07/18/30),          
4.734%, due 07/18/313   250,000    249,645 
Netflix, Inc.          
4.625%, due 05/15/29  EUR   700,000    854,336 
NiSource, Inc.          
(fixed, converts to FRN  on 11/30/29),          
6.950%, due 11/30/543   85,000    87,920 
Oracle Corp.          
3.950%, due 03/25/51   35,000    22,000 
4.000%, due 07/15/46   20,000    13,350 
5.375%, due 09/27/54   41,000    31,560 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United States—(continued)          
6.000%, due 08/03/55   96,000   $80,486 
6.550%, due 02/04/46   119,000    110,669 
6.700%, due 02/04/56   225,000    207,361 
6.850%, due 02/04/66   110,000    101,067 
Pacific Gas & Electric Co.          
5.800%, due 05/15/34   265,000    271,764 
6.000%, due 08/15/35   225,000    232,450 
6.150%, due 01/15/33   210,000    220,141 
6.750%, due 01/15/53   143,000    149,313 
PG&E Corp.          
(fixed, converts to FRN  on 03/15/30),          
7.375%, due 03/15/553   90,000    92,570 
(fixed, converts to FRN  on 09/15/31),          
6.850%, due 09/15/563   98,000    97,980 
PNC Financial Services Group, Inc.          
(fixed, converts to FRN  on 01/25/36),          
5.423%, due 01/25/413   45,000    44,132 
(fixed, converts to FRN  on 07/21/35),          
5.373%, due 07/21/363   30,000    30,146 
(fixed, converts to FRN  on 10/21/31),          
4.812%, due 10/21/323   155,000    154,779 
Quanta Services, Inc.          
5.100%, due 08/09/35   215,000    214,087 
Realty Income Corp.          
5.125%, due 07/06/34  EUR100,000    125,776 
Road Michigan Property  Owner I LLC          
7.500%, due 03/30/452   139,000    138,972 
Roper Technologies, Inc.          
4.450%, due 09/15/30   110,000    108,370 
San Diego Gas & Electric  Co.          
Series DDDD, 5.200%, due 03/15/36   55,000    54,859 
Sempra          
(fixed, converts to FRN  on 04/01/31),          
6.375%, due 04/01/563   85,000    85,970 
Sierra Pacific Power Co.          
(fixed, converts to FRN  on 12/15/30),          
6.200%, due 12/15/553   170,000    167,186 
Solventum Corp.          
5.450%, due 03/13/31   166,000    170,571 
5.600%, due 03/23/34   85,000    86,896 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
United States—(continued)          
Southern California Edison Co.          
5.200%, due 06/01/34   30,000   $29,704 
5.450%, due 03/01/35   46,000    45,926 
Southern Co. Gas Capital  Corp.          
5.750%, due 09/15/33   100,000    104,113 
Southern Power Co.          
Series A, 4.250%, due 10/01/30   27,000    26,680 
Series B, 4.900%, due 10/01/35   71,000    68,755 
Stellantis Financial  Services U.S. Corp.          
5.400%, due 09/15/302   385,000    380,390 
Truist Financial Corp.          
(fixed, converts to FRN  on 10/23/35),          
4.964%, due 10/23/363   245,000    236,728 
U.S. Bancorp          
(fixed, converts to FRN  on 01/23/34),          
5.678%, due 01/23/353   65,000    67,173 
Uber Technologies, Inc.          
4.800%, due 09/15/34   16,000    15,680 
4.800%, due 09/15/35   450,000    438,278 
Vistra Operations Co. LLC          
3.700%, due 01/30/272   209,000    207,729 
4.600%, due 10/15/302   27,000    26,503 
5.250%, due 10/15/352   65,000    63,067 
5.350%, due 01/31/362   80,000    78,130 
5.700%, due 12/30/342   135,000    136,300 
6.000%, due 04/15/342   65,000    67,071 
Wells Fargo & Co.          
(fixed, converts to FRN  on 01/24/30),          
5.244%, due 01/24/313   560,000    570,867 
(fixed, converts to FRN  on 04/23/30),          
5.150%, due 04/23/313   415,000    422,146 
(fixed, converts to FRN  on 07/25/33),          
5.557%, due 07/25/343   201,000    206,509 
WPC Eurobond BV          
1.350%, due 04/15/28  EUR200,000    225,993 
         25,576,038 
Total corporate bonds          
(cost—$51,444,102)        52,295,880 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—2.4%          
Spain—0.1%          
Fondo de Titulizacion de Activos Santander Hipotecario 2, Series 2,  Class A,          
3 mo. EURIBOR +  0.150%,          
2.388%, due  01/18/493,5  EUR70,590   $82,697 
         82,697 
United Kingdom—0.4%          
Silverstone Master Issuer PLC, Series 2022-1A,  Class 2A,          
1 day GBP SONIA +  0.290%,          
4.037%, due  01/21/702,3  GBP504,000    685,012 
         685,012 
United States—1.9%          
Angel Oak Mortgage  Trust, Series 2020-1,  Class A1,          
2.466%, due  12/25/592,3   31,835    31,230 
Citigroup Commercial Mortgage Trust, Series  2015-GC33, Class B,          
4.480%, due 09/10/583   310,118    300,039 
CSAIL Commercial  Mortgage Trust, Series  2016-C6, Class C,          
5.018%, due 01/15/493   320,000    308,002 
Federal National  Mortgage Association REMICS, Series  2021-86, Class T,          
2.500%, due 09/25/48   1,281,486    1,144,446 
GS Mortgage Securities Trust, Series 2017-GS6,  Class C,          
4.322%, due 05/10/503   350,000    274,437 
GS Mortgage-Backed Securities Trust, Series  2025-RPL3, Class A1,          
4.100%, due  07/25/652,3   92,524    89,883 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)
United States—(continued)
OBX Trust, Series  2020-EXP1, Class 2A1,          
1 mo. USD Term SOFR  + 0.864%,          
4.519%, due  02/25/602,3   43,948   $43,378 
Starwood Mortgage  Residential Trust,  Series 2020-1,  Class A1,          
2.275%, due  02/25/502,3   9,968    9,620 
UBS Commercial Mortgage Trust          
Series 2017-C1,  Class C,          
4.530%, due 11/15/503   360,000    340,424 
Series 2018-C11,  Class B,          
4.713%, due 06/15/513   440,000    417,871 
WHARF Commercial Mortgage Trust, Series  2025-DC, Class A,          
5.528%, due  07/15/402,3   100,000    101,759 
         3,061,089 
Total mortgage-backed securities          
(cost—$4,056,532)          
         3,828,798 
Non-U.S. government agency obligations—30.9%
Bermuda—0.6%
Bermuda Government  International Bonds          
4.750%, due 02/15/292   910,000    913,504 
           
Canada—1.1%
Hydro-Quebec          
6.500%, due 02/15/35  CAD750,000    655,397 
Province of British  Columbia          
2.800%, due 06/18/48  CAD300,000    162,126 
Province of Quebec          
5.000%, due 12/01/41  CAD1,100,000    852,183 
         1,669,706 
China—3.0%
China Development Bank          
1.870%, due 09/05/35  CNY3,370,000    493,415 
China Government Bonds          
2.150%, due 08/25/554  CNY 21,680,000    3,083,977 
2.380%, due 01/15/564  CNY 7,410,000    1,112,656 
         4,690,048 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Non-U.S. government agency obligations—(continued)          
Ecuador—0.1%          
Ecuador Government  International Bonds          
8.750%, due 01/29/345   200,000   $204,091 
           
Egypt—0.1%          
Egypt Government  International Bonds          
8.500%, due 01/31/475   200,000    182,120 
           
El Salvador—0.1%          
El Salvador Government  International Bonds          
7.650%, due 06/15/355   78,000    79,997 
           
Germany—6.6%          
Bundesobligation          
2.200%, due 10/10/305  EUR3,895,000    4,473,602 
Bundesrepublik Deutschland  Bundesanleihe          
2.600%, due 08/15/355  EUR1,115,000    1,266,451 
2.900%, due 02/15/365  EUR120,000    139,307 
2.900%, due 08/15/565  EUR140,000    145,155 
Bundesschatzanweisungen          
2.000%, due 12/16/275  EUR3,724,275    4,327,328 
         10,351,843 
Ghana—0.1%          
Ghana Government  International Bonds,          
Steps to 6.000% on  07/03/28,          
5.000%, due 07/03/355   100,000    91,544 
           
Hungary—0.2%          
Hungary Government  International Bonds          
5.500%, due 03/26/362   321,000    321,241 
           
Indonesia—0.8%          
Indonesia Treasury Bonds          
8.750%, due 05/15/31  IDR19,821,000,000    1,241,814 
           
Italy—1.7%          
Italy Buoni Poliennali Del  Tesoro          
4.300%, due 10/01/545  EUR2,405,000    2,712,330 
           
Ivory Coast—0.1%          
Ivory Coast Government  International Bonds          
6.750%, due 02/25/412   200,000    184,308 
           
Japan—2.3%          
Japan Government Thirty Year Bonds          
2.300%, due 12/20/54   JPY77,500,000    370,671 
2.400%, due 03/20/55   JPY242,850,000    1,187,685 
Japan Government Twenty Year Bonds          
1.400%, due 12/20/42   JPY224,900,000    1,105,401 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Non-U.S. government agency obligations—(continued)          
Japan—(continued)          
1.500%, due 09/20/43  JPY189,100,000   $927,980 
         3,591,737 
Mexico—2.2%          
Mexico Bonos          
7.500%, due 05/26/33  MXN30,000,000    1,580,866 
7.750%, due 11/23/34  MXN25,000,000    1,312,600 
Mexico Government  International Bonds          
6.125%, due 02/09/38   630,000    623,070 
         3,516,536 
Pakistan—0.1%          
Pakistan Government  International Bonds          
6.975%, due 04/24/292   200,000    196,850 
           
Poland—0.7%          
Republic of Poland  Government Bonds          
5.000%, due 10/25/35  PLN4,104,000    1,071,132 
           
South Africa—1.4%          
Republic of South Africa Government Bonds          
8.000%, due 01/31/30  ZAR18,220,000    1,087,206 
9.000%, due 01/31/40  ZAR6,600,000    387,158 
Republic of South Africa Government International Bonds          
5.750%, due 09/30/49   240,000    193,920 
7.250%, due 12/11/555   485,000    456,870 
         2,125,154 
South Korea—1.3%          
Korea Treasury Bonds          
3.500%, due 06/10/34  KRW3,193,870,000    2,090,675 
           
Spain—0.7%          
Spain Government Bonds          
4.000%, due 10/31/545  EUR980,000    1,121,470 
           
Supranationals—0.9%          
Africa Finance Corp.          
5.550%, due 10/08/295   200,000    202,206 
Banque Ouest Africaine de  Developpement          
2.750%, due 01/22/332  EUR227,000    226,738 
4.700%, due 10/22/315   250,000    228,750 
European Union          
3.000%, due 03/04/535  EUR866,628    832,795 
         1,490,489 
Suriname—0.1%          
Suriname Government  International Bonds          
8.500%, due 11/06/352   200,000    218,763 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Non-U.S. government agency obligations—(continued)          
United Kingdom—6.7%          
U.K. Gilts          
4.125%, due 03/07/315  GBP  7,945,000   $10,624,829 
Total non-U.S. government agency obligations          
(cost—$51,435,370)        48,690,181 
           
U.S. government agency obligations—12.9%          
Federal Home Loan Mortgage Corp.          
5.000%, due 10/01/53   924,002    916,105 
5.500%, due 05/01/53   600,043    606,128 
5.500%, due 07/01/53   755,403    761,991 
6.000%, due 07/01/53   851,934    877,280 
6.000%, due 08/01/53   199,750    204,370 
6.000%, due 08/01/53   580,035    596,784 
6.000%, due 01/01/54   574,451    591,038 
Federal National Mortgage Association          
2.500%, due 02/01/52   635,973    536,400 
2.500%, due 05/01/52   678,193    577,044 
3.000%, due 01/01/52   1,329,759    1,181,971 
3.500%, due 05/01/58   1,047,581    960,128 
5.000%, due 01/01/56   362,621    357,453 
5.500%, due 11/01/55   864,217    868,994 
6.000%, due 09/01/52   151,127    155,487 
Government National Mortgage Association,  TBA,          
5.500%   2,757,000    2,776,078 
Uniform Mortgage-Backed Security, TBA          
5.000%   2,401,000    2,365,588 
5.500%   5,961,000    5,991,103 
Total U.S. government  agency obligations          
(cost—$20,371,951)        20,323,942 
           
U.S. Treasury obligations—21.4%          
U.S. Treasury Bonds          
4.625%, due 11/15/55   57,000    53,758 
4.750%, due 05/15/55   1,120,800    1,077,588 
4.750%, due 08/15/55   486,000    467,547 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
U.S. Treasury obligations—(continued)          
U.S. Treasury Notes          
3.375%, due 02/29/28   14,507,700   $14,380,758 
3.500%, due 10/31/27   5,975,000    5,942,558 
3.625%, due 10/31/30   5,928,000    5,836,070 
3.750%, due 06/30/27   5,336,400    5,332,022 
4.250%, due 08/15/35   620,000    614,575 
Total U.S. Treasury obligations          
(cost—$33,957,540)        33,704,876 

 

   Number of     
   shares     
Short-term investments—3.6%          
Investment companies—2.3%          
State Street Institutional U.S. Government  Money Market Fund, 3.596%9          
(cost—$3,679,725)   3,679,725    3,679,725 
           
Short-term U.S. Treasury obligations—1.3%          
U.S. Treasury Bills          
3.665%, due 06/23/26          
(cost—$1,964,587)   1,975,000    1,964,434 
           
Total Short-term investments          
(cost—$5,644,312)        5,644,159 
           
Investment of cash collateral from securities loaned—0.5%          
Money market funds—0.5%          
State Street Navigator Securities Lending  Government Money  Market Portfolio,  3.626%9          
(cost—$755,715)   755,715    755,715 
Total investments—108.1%          
(cost—$172,701,771)10        170,472,889 
Liabilities in excess of other assets—(8.1)%        (12,729,208)
Net assets—100.0%       $157,743,681 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Futures contracts

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
Interest rate futures buy contracts:
95  AUD Australian Bond 10 Year Futures  June 2026  $7,424,861   $7,322,603   $(102,258)
26  CAD Canadian Bond 10 Year Futures  June 2026   2,296,375    2,280,252    (16,123)
21  CAD Canadian Bond 5 Year Futures  June 2026   1,754,594    1,744,963    (9,631)

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
61  EUR Eurex Short-term Euro-BTP Futures  June 2026  $7,635,956   $7,588,819   $(47,137)
67  EUR EURO Bobl 5 Year Index Future  June 2026   9,078,353    9,078,356    3 
44  EUR Euro Bund 10 Year Futures  June 2026   6,483,355    6,473,664    (9,691)
151  EUR EURO Schatz 2 Year Futures  June 2026   18,825,060    18,741,132    (83,928)
30  EUR French Government Bond Futures  June 2026   4,281,158    4,199,436    (81,722)
80  EUR Italian Government Bond Futures  June 2026   11,095,733    10,981,605    (114,128)
7  JPY Japan Government Bond 10 Year Futures  June 2026   5,811,912    5,779,566    (32,346)
63  USD U.S. Long Bond Futures  June 2026   7,388,958    7,109,156    (279,802)
U.S. Treasury futures buy contracts:
28  USD U.S. Treasury Note 10 Year Futures  June 2026  $3,113,482   $3,096,625   $(16,857)
8  USD Ultra U.S. Treasury Bond Futures  June 2026   948,107    920,250    (27,857)
Total          $86,137,904   $85,316,427   $(821,477)
                        
Interest rate futures sell contracts:
29  EUR German Euro Buxl 30 Year Futures  June 2026  $(3,787,474)  $(3,709,226)  $78,248 
4  GBP United Kingdom Long Gilt Bond Futures  June 2026   (471,141)   (471,309)   (168)
U.S. Treasury futures sell contracts:
136  USD U.S. Treasury Note 2 Year Futures  June 2026   (28,267,552)   (28,169,000)  $98,552 
195  USD U.S. Treasury Note 5 Year Futures  June 2026   (21,189,381)   (21,028,008)   161,373 
22  USD Ultra U.S. Treasury Note 10 Year Futures  June 2026   (2,496,190)   (2,482,908)   13,282 
Total          $(56,211,738)  $(55,860,451)  $351,287 
Net unrealized appreciation (depreciation)            $(470,190)

 

Forward foreign currency contracts

 

Counterparty  Sell   Purchase   Settlement
date
  Unrealized
appreciation
(depreciation)
 
BB  EUR 427,820   USD 501,180   06/02/26  $(1,590)
BB  GBP 26,295   USD 35,332   06/02/26   (448)
BB  USD 113,327   GBP 84,561   06/02/26   1,736 
BB  USD 3,543,250   NZD 6,010,003   06/02/26   10,659 
BB  USD 154,851   RON 670,501   06/02/26   (3,679)
BB  USD 199,273   SGD 253,057   06/02/26   (60)
BB  USD 2,011,619   TRY 93,779,292   06/02/26   9,324 
BNP  AUD 794,651   USD 559,858   06/02/26   (11,957)
BNP  CHF 463,868   EUR 504,842   06/02/26   (2,188)
BNP  CHF 1,092,765   USD 1,406,353   06/02/26   3,551 
BNP  CHF 156,207   USD 200,073   06/02/26   (453)
BNP  EUR 169,683   CZK 4,133,175   06/02/26   (410)
BNP  EUR 169,589   JPY 31,719,163   06/02/26   3,752 
BNP  EUR 169,589   NZD 338,908   06/02/26   1,107 
BNP  EUR 310,667   USD 366,662   06/02/26   1,569 
BNP  GBP 72,321   USD 97,557   06/02/26   (852)
BNP  JPY 44,367,465   CHF 220,540   06/02/26   (910)
BNP  NZD 336,792   USD 198,417   06/02/26   (739)
BNP  USD 1,280,489   CAD 1,758,028   06/02/26   15,487 
BNP  USD 172,240   EUR 147,162   06/02/26   704 
BNP  USD 3,591,487   EUR 3,039,321   06/02/26   (19,696)

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Counterparty  Sell   Purchase   Settlement
date
  Unrealized
appreciation
(depreciation)
 
BNP  USD 87,565   GBP 64,780   06/02/26  $584 
BNP  USD 9,386,813   JPY 1,487,100,461   06/02/26   132,947 
BOA  USD 1,570,380   AUD 2,214,453   06/02/26   23,095 
CITI  CAD 544,182   USD 398,944   06/02/26   (2,215)
CITI  CHF 177,177   USD 225,466   06/02/26   (1,978)
CITI  EUR 169,683   NZD 338,622   06/02/26   828 
CITI  EUR 2,041,201   USD 2,405,164   06/02/26   6,357 
CITI  GBP 295,328   USD 398,688   06/02/26   (3,168)
CITI  JPY 44,376,139   CHF 220,546   06/02/26   (957)
CITI  MXN 3,293,013   USD 187,537   06/02/26   (533)
CITI  NZD 1,769,114   USD 1,035,686   06/02/26   (10,448)
CITI  SEK 3,680,987   CAD 549,524   06/02/26   5,815 
CITI  SEK 3,658,506   USD 400,654   06/02/26   3,811 
CITI  SEK 6,045,886   USD 650,199   06/02/26   (5,605)
CITI  USD 399,241   CAD 544,109   06/02/26   1,864 
CITI  USD 640,250   EUR 545,743   06/02/26   1,104 
CITI  USD 2,875,360   SEK 26,301,078   06/02/26   (22,452)
CITI  USD 583,790   THB 18,685,014   06/02/26   (9,370)
CITI  USD 99,640   ZAR 1,654,029   06/02/26   (552)
CITI  ZAR 3,296,178   USD 200,126   06/02/26   2,663 
GSI  AUD 842,322   USD 599,503   06/02/26   (6,614)
GSI  EUR 341,946   GBP 298,423   06/02/26   4,215 
GSI  GBP 573,951   USD 775,518   06/02/26   (5,463)
GSI  JPY 61,811,325   USD 393,777   06/02/26   (1,912)
GSI  PLN 1,471,289   USD 408,496   06/02/26   2,621 
GSI  SGD 1,590,349   USD 1,253,960   06/02/26   1,997 
GSI  USD 676,491   AUD 965,662   06/02/26   18,380 
GSI  USD 198,707   CHF 154,329   06/02/26   (593)
GSI  USD 15,041,984   CNH 102,164,436   06/02/26   (59,159)
GSI  USD 559,033   CZK 11,554,076   06/02/26   (2,739)
GSI  USD 560,321   EUR 478,725   06/02/26   2,273 
GSI  USD 385,434   ILS 1,165,259   06/02/26   9,898 
GSI  USD 986,453   MXN 17,066,425   06/02/26   (11,759)
GSI  USD 2,698,806   ZAR 44,318,320   06/02/26   (43,837)
HSBC  AUD 419,304   CAD 408,792   06/02/26   (371)
HSBC  CNH 7,552   USD 1,111   06/02/26   4 
HSBC  EUR 182,100   USD 213,147   06/02/26   (855)
HSBC  GBP 5,426,080   USD 7,343,347   06/02/26   (39,976)
HSBC  JPY 7,451,001   USD 46,897   06/02/26   (801)
HSBC  USD 418,269   DKK 2,646,151   06/02/26   (1,995)
HSBC  USD 103,869   EUR 89,625   06/02/26   1,458 
HSBC  USD 800,768   NZD 1,369,894   06/02/26   9,295 
HSBC  ZAR 10,521,907   USD 637,673   06/02/26   7,339 
MSCI  CAD 19,664   USD 14,410   06/02/26   (86)
MSCI  EUR 2,852,869   USD 3,362,372   06/02/26   9,699 
MSCI  EUR 297,079   USD 348,135   06/02/26   (990)
MSCI  GBP 11,564   USD 15,613   06/02/26   (123)
MSCI  TRY 4,656,940   USD 100,036   06/02/26   (321)
MSCI  USD 1,595,203   EUR 1,360,533   06/02/26   3,688 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Counterparty  Sell   Purchase   Settlement
date
  Unrealized
appreciation
(depreciation)
 
MSCI  USD 23,462   GBP 17,362   06/02/26  $163 
MSCI  USD 1,589,655   MXN 27,508,983   06/02/26   (18,568)
MSCI  USD 166,532   NOK 1,572,727   06/02/26   3,175 
MSCI  ZAR 1,624,098   USD 98,444   06/02/26   1,150 
SSB  JPY 28,583,308   USD 178,402   06/02/26   (4,576)
Net unrealized appreciation (depreciation)             $1,314 

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description

 

Unadjusted
quoted prices in
active market for
identical investments
(Level 1)

  

Other significant
observable inputs
(Level 2)

  

Unobservable
inputs
(Level 3)

  

Total

 
Assets                    
Asset-backed securities  $   $5,229,338   $   $5,229,338 
Corporate bonds       52,295,880        52,295,880 
Mortgage-backed securities       3,828,798        3,828,798 
Non-U.S. government agency obligations       48,690,181        48,690,181 
U.S. government agency obligations       20,323,942        20,323,942 
U.S. Treasury obligations       33,704,876        33,704,876 
Short-term investments   3,679,725            3,679,725 
Short-term U.S. Treasury obligations       1,964,434        1,964,434 
Investment of cash collateral from securities loaned   755,715            755,715 
Futures contracts   351,458            351,458 
Forward foreign currency contracts       302,312        302,312 
Total  $4,786,898   $166,339,761   $      —   $171,126,659 
                     
Liabilities                    
Futures contracts  $(821,648)  $   $   $(821,648)
Forward foreign currency contracts       (300,998)       (300,998)
Total  $(821,648)  $(300,998)  $   $(1,122,646)

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

 Amount represents less than 0.05% or (0.05)%.
1 In U.S. dollars unless otherwise indicated.
2 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $22,360,129, represented 14.2% of the Portfolio's net assets at period end.

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

3 Floating or variable rate securities. The rates disclosed are as of April 30, 2026. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
4 Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
5 Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
6 Perpetual investment. Date shown reflects the next call date.
7 Security, or portion thereof, was on loan at the period end.
8 Payment–in–kind security for which interest may be paid in cash or additional principal, at the discretion of the issuer.
9 Rate shown reflects yield at April 30, 2026.
10 Includes $2,351,747 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $755,715 and non-cash collateral of $1,640,318.

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—96.8%
Advertising—0.8%
Clear Channel Outdoor Holdings, Inc.          
7.500%, due 06/01/292   125,000   $125,230 
7.750%, due 04/15/282   200,000    201,435 
7.875%, due 04/01/302   100,000    104,115 
Lamar Media Corp.          
5.375%, due 11/01/332   50,000    49,470 
Neptune Bidco U.S., Inc.          
9.290%, due 04/15/292   275,000    278,121 
9.500%, due 02/15/332   75,000    75,059 
Outfront Media Capital LLC/Outfront Media Capital Corp.          
4.250%, due 01/15/292   50,000    48,781 
4.625%, due 03/15/302   175,000    170,278 
5.000%, due 08/15/272   175,000    174,741 
         1,227,230 
Aerospace & defense—1.3%
ATI, Inc.          
4.875%, due 10/01/29   75,000    74,494 
5.125%, due 10/01/31   125,000    124,517 
7.250%, due 08/15/30   50,000    52,074 
Boeing Co.          
6.528%, due 05/01/34   75,000    82,022 
Bombardier, Inc.          
7.250%, due 07/01/312   50,000    52,609 
Czechoslovak Group AS          
5.250%, due 01/10/313  EUR250,000    300,014 
Evander Gold Mines Ltd.          
10.000%, due 04/19/264,5,6   119,906    0 
Goat Holdco LLC          
6.750%, due 02/01/322   50,000    51,238 
TransDigm, Inc.          
6.125%, due 07/31/342   200,000    200,220 
6.250%, due 01/31/342   50,000    51,130 
6.375%, due 03/01/292   50,000    50,998 
6.375%, due 05/31/332   525,000    529,037 
6.625%, due 03/01/322   75,000    77,077 
6.750%, due 08/15/282   250,000    253,377 
6.750%, due 01/31/342   75,000    77,047 
7.125%, due 12/01/312   100,000    103,627 
         2,079,481 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Agriculture—0.3%
Darling Ingredients, Inc.          
5.250%, due 04/15/272   25,000   $24,980 
6.000%, due 06/15/302   75,000    75,650 
MHP Lux SA          
10.500%, due 07/28/292   200,000    204,500 
Tereos Finance Groupe I SA          
5.750%, due 04/30/313  EUR125,000    137,902 
         443,032 
Airlines—1.1%
Allegiant Travel Co.          
7.250%, due 08/15/272   39,000    39,130 
American Airlines, Inc.          
7.250%, due 02/15/282   100,000    101,342 
American Airlines, Inc./AAdvantage Loyalty IP Ltd.          
5.750%, due 04/20/292   300,000    300,204 
Avianca Midco 2 PLC          
9.500%, due 01/28/312   300,000    280,500 
Gol Finance, Inc.          
14.375%, due 06/06/302   200,000    191,000 
JetBlue Airways Corp./JetBlue Loyalty LP          
9.875%, due 09/20/312   225,000    209,558 
Latam Airlines Group SA          
7.875%, due 04/15/302   75,000    76,196 
OneSky Flight LLC          
8.875%, due 12/15/292   75,000    79,211 
Transportes Aereos Portugueses SA          
5.125%, due 11/15/292  EUR100,000    116,837 
United Airlines Holdings, Inc.          
5.375%, due 03/01/31   125,000    123,202 
VistaJet Malta Finance PLC/Vista Management Holding, Inc.          
6.375%, due 02/01/302   125,000    117,058 
9.500%, due 06/01/282   50,000    50,544 
         1,684,782 
Apparel—0.4%
Beach Acquisition Bidco LLC          
10.000% Cash or 10.750% PIK,          
10.000%, due 07/15/332,7   210,809    231,892 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Apparel—(continued)
Crocs, Inc.          
4.125%, due 08/15/312   125,000   $116,317 
4.250%, due 03/15/292   25,000    24,270 
CT Investment GmbH          
6.375%, due 04/15/302  EUR100,000    119,914 
Samsonite Finco SARL          
4.375%, due 02/15/332   125,000    141,920 
         634,313 
Auto manufacturers—0.5%
Allison Transmission, Inc.          
3.750%, due 01/30/312   50,000    46,981 
4.750%, due 10/01/272   75,000    74,866 
5.875%, due 12/01/332   50,000    50,478 
JB Poindexter & Co., Inc.          
8.750%, due 12/15/312   125,000    129,530 
Nissan Motor Acceptance Co. LLC          
5.625%, due 09/29/282   75,000    74,582 
6.125%, due 09/30/302   100,000    98,488 
Nissan Motor Co. Ltd.          
6.375%, due 07/17/332  EUR100,000    120,504 
Rivian Holdings LLC/Rivian LLC/Rivian Automotive LLC          
10.000%, due 01/15/312   25,000    24,883 
Uzauto Motors AJ          
7.375%, due 11/19/302   200,000    203,906 
         824,218 
Auto parts & equipment—2.0%
Adient Global Holdings Ltd.          
7.500%, due 02/15/332   50,000    51,147 
American Axle & Manufacturing, Inc.          
5.000%, due 10/01/29   125,000    121,461 
6.375%, due 10/15/322   50,000    49,911 
7.750%, due 10/15/332   50,000    48,816 
Clarios Global LP/Clarios U.S. Finance Co.          
4.750%, due 06/15/312  EUR100,000    117,279 
6.750%, due 02/15/302   50,000    51,659 
Cyprium Corp./Cyprium Holdings Luxembourg SARL          
6.125%, due 04/15/312   25,000    25,173 
Dana, Inc.          
4.500%, due 02/15/32   41,000    38,725 
Dexko Global, Inc.          
7.500%, due 04/15/322   180,250    162,184 
Forvia SE          
5.375%, due 03/15/312  EUR200,000    238,113 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Auto parts & equipment—(continued)
Goodyear Tire & Rubber Co.          
5.250%, due 07/15/31   250,000   $227,243 
5.625%, due 04/30/33   50,000    44,836 
IHO Verwaltungs GmbH          
8.750% Cash or 9.500% PIK,          
8.750%, due 05/15/282,7  EUR125,000    150,108 
7.000% Cash or 7.750% PIK,          
7.000%, due 11/15/313,7   175,000    217,221 
Mahle GmbH          
7.125%, due 07/15/323   100,000    123,178 
Opmobility          
4.296%, due 02/05/313   100,000    117,659 
Phinia, Inc.          
6.625%, due 10/15/322   50,000    51,227 
Qnity Electronics, Inc.          
5.750%, due 08/15/322   75,000    75,722 
6.250%, due 08/15/332   50,000    51,156 
Tenneco, Inc.          
8.000%, due 11/17/282   200,000    202,376 
Valeo SE          
4.625%, due 03/23/323  EUR  100,000    116,481 
5.125%, due 05/20/313   200,000    239,615 
ZF Europe Finance BV          
2.500%, due 10/23/273   100,000    115,218 
3.000%, due 10/23/293   200,000    219,751 
6.125%, due 03/13/293   100,000    120,460 
ZF North America Capital, Inc.          
7.500%, due 03/24/312   150,000    150,193 
         3,126,912 
Banks—1.2%
Akbank TAS          
(fixed, converts to FRN on 08/19/31),          
7.950%, due 02/19/312,6,8   300,000    292,641 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Banks—(continued)
Freedom Mortgage Corp.          
6.625%, due 01/15/272   250,000   $249,762 
12.250%, due 10/01/302   25,000    27,132 
TC Ziraat Bankasi AS          
(fixed, converts to FRN on 05/05/31),          
8.375%, due 11/05/302,6,8   300,000    297,750 
Turkiye Garanti Bankasi AS          
(fixed, converts to FRN on 04/15/31),          
7.625%, due 04/15/362,6   250,000    248,537 
Turkiye Is Bankasi AS          
(fixed, converts to FRN on 02/05/32),          
7.575%, due 02/05/372,6   300,000    295,746 
Turkiye Vakiflar Bankasi TAO          
7.250%, due 07/31/302   200,000    202,875 
Walker & Dunlop, Inc.          
6.625%, due 04/01/332   50,000    49,723 
Yapi ve Kredi Bankasi AS          
(fixed, converts to FRN on 06/11/31),          
7.550%, due 06/11/362,6   200,000    197,390 
         1,861,556 
Beverages—0.4%
Primo Water Holdings, Inc.          
3.875%, due 10/31/283  EUR94,000    109,522 
Primo Water Holdings, Inc./Triton Water Holdings, Inc.          
3.875%, due 10/31/282   231,000    269,145 
4.375%, due 04/30/292   150,000    146,385 
6.250%, due 04/01/292   100,000    100,119 
         625,171 
Biotechnology—0.2%
Cidron Aida Finco SARL          
7.000%, due 10/27/313  EUR100,000    110,350 
Genmab AS/Genmab Finance LLC          
7.250%, due 12/15/332   200,000    208,533 
         318,883 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Building Materials—2.1%
Builders FirstSource, Inc.          
4.250%, due 02/01/322   300,000   $278,291 
5.000%, due 03/01/302   100,000    97,861 
6.375%, due 06/15/322   225,000    226,568 
6.375%, due 03/01/342   250,000    248,759 
6.750%, due 05/15/352   125,000    126,235 
Camelot Return Merger Sub, Inc.          
8.750%, due 08/01/282   50,000    31,874 
Cornerstone Building Brands, Inc.          
9.500%, due 08/15/292   25,000    15,899 
CP Atlas Buyer, Inc.          
9.750%, due 07/15/302   50,000    46,484 
EMRLD Borrower LP/Emerald Co-Issuer, Inc.          
6.375%, due 12/15/302  EUR 125,000    151,310 
6.625%, due 12/15/302   125,000    127,972 
Griffon Corp.          
5.750%, due 03/01/28   250,000    249,392 
JELD-WEN, Inc.          
4.875%, due 12/15/272   25,000    18,617 
JH North America Holdings, Inc.          
5.875%, due 01/31/312   75,000    74,965 
6.125%, due 07/31/322   50,000    50,106 
Knife River Corp.          
7.750%, due 05/01/312   50,000    51,917 
Miter Brands Acquisition Holdco, Inc./MIWD Borrower LLC          
6.750%, due 04/01/322   25,000    24,711 
MIWD Holdco II LLC/MIWD Finance Corp.          
5.500%, due 02/01/302   25,000    23,064 
New Enterprise Stone & Lime Co., Inc.          
5.250%, due 07/15/282   75,000    74,351 
9.750%, due 07/15/282   100,000    100,714 
Quikrete Holdings, Inc.          
6.375%, due 03/01/322   200,000    203,156 
6.750%, due 03/01/332   75,000    76,055 
Sisecam U.K. PLC          
8.625%, due 05/02/322   200,000    204,822 
Smyrna Ready Mix Concrete LLC          
6.000%, due 11/01/282   225,000    224,816 
8.875%, due 11/15/312   25,000    26,177 

  

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Building Materials—(continued)
Standard Building Solutions, Inc.          
5.875%, due 03/15/342   175,000   $170,604 
6.250%, due 08/01/332   100,000    99,936 
6.500%, due 08/15/322   125,000    126,235 
Standard Industries, Inc.          
4.375%, due 07/15/302   175,000    167,086 
Wilsonart LLC          
11.000%, due 08/15/322   50,000    38,634 
         3,356,611 
Chemicals—3.2%
Braskem Netherlands Finance BV          
5.875%, due 01/31/503   500,000    252,350 
Celanese U.S. Holdings LLC          
5.000%, due 04/15/31  EUR  200,000    234,731 
7.000%, due 02/15/31   50,000    52,025 
Steps to 7.550% on 05/15/26,          
7.050%, due 11/15/30   50,000    53,671 
Steps to 7.700% on 05/15/26,          
7.200%, due 11/15/33   300,000    324,356 
7.330%, due 07/15/29   50,000    52,454 
7.375%, due 02/15/34   50,000    52,349 
7.379%, due 07/15/32   225,000    238,451 
Chemours Co.          
4.625%, due 11/15/292   50,000    47,959 
5.750%, due 11/15/282   133,000    132,705 
7.875%, due 03/15/342   125,000    127,827 
8.000%, due 01/15/332   125,000    128,836 
Consolidated Energy Finance SA          
5.000%, due 10/15/282  EUR100,000    109,289 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Chemicals—(continued)
FMC Corp.          
3.450%, due 10/01/29   75,000   $67,869 
5.650%, due 05/18/33   75,000    66,293 
6.375%, due 05/18/53   50,000    37,718 
(fixed, converts to FRN on 11/01/30),          
8.450%, due 11/01/556   25,000    16,568 
INEOS Finance PLC          
7.250%, due 03/31/313  EUR200,000    227,233 
INEOS Quattro Finance 2 PLC          
8.500%, due 03/15/293   100,000    114,193 
Innophos Holdings, Inc.          
11.500%, due 06/15/292   203,125    187,383 
Mativ Holdings, Inc.          
8.000%, due 10/01/292   50,000    48,392 
Methanex Corp.          
5.125%, due 10/15/27   75,000    75,042 
Monitchem HoldCo 3 SA          
8.750%, due 05/01/283  EUR100,000    118,141 
NOVA Chemicals Corp.          
4.250%, due 05/15/292   50,000    48,713 
5.250%, due 06/01/272   75,000    74,968 
8.500%, due 11/15/282   125,000    129,621 
9.000%, due 02/15/302   150,000    158,196 
OCP SA          
(fixed, converts to FRN on 07/22/36),          
7.368%, due 04/22/362,6,8,9   200,000    198,840 
Olin Corp.          
5.625%, due 08/01/29   125,000    124,160 
6.625%, due 04/01/332   25,000    24,766 
Olympus Water U.S. Holding Corp.          
6.125%, due 02/15/333  EUR 100,000    115,706 
6.250%, due 10/01/292   200,000    195,487 
Orbia Advance Corp.          
SAB de CV          
5.875%, due 09/17/443   225,000    175,227 
Sasol Financing USA LLC          
5.500%, due 03/18/31   200,000    187,850 
8.750%, due 05/03/292   200,000    210,536 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Chemicals—(continued)
SCIH Salt Holdings, Inc.          
4.875%, due 05/01/282   25,000   $24,755 
6.625%, due 05/01/292   150,000    148,891 
SCIL IV LLC/SCIL USA Holdings LLC          
9.500%, due 07/15/282  EUR  150,000    182,536 
Solstice Advanced Materials, Inc.          
5.625%, due 09/30/332   25,000    24,867 
Trinseo Luxco Finance SPV SARL/Trinseo NA Finance SPV LLC,          
5.125% Cash and 2.500% PIK,          
7.625%, due 05/03/292,7,10   209,532    4,191 
Tronox, Inc.          
4.625%, due 03/15/292   125,000    104,608 
WR Grace Holdings LLC          
5.625%, due 08/15/292   150,000    143,115 
7.000%, due 08/01/332   25,000    24,834 
7.375%, due 03/01/312   25,000    25,260 
         5,092,962 
Coal—0.0%†
Cloud Peak Energy Resources LLC/Cloud Peak Energy Finance Corp.          
0.000%, due 03/15/244,5,10,11   550,000    4,125 
           
Commercial services—4.3%
ADT Security Corp.          
4.125%, due 08/01/292   25,000    24,043 
4.875%, due 07/15/322   150,000    142,855 
5.875%, due 10/15/332   100,000    98,515 
Albion Financing 1 SARL/Aggreko Holdings, Inc.          
5.375%, due 05/21/303  EUR 200,000    239,034 
Allied Universal Holdco LLC          
7.875%, due 02/15/312   25,000    26,222 
Allied Universal Holdco LLC/Allied Universal Finance Corp.          
6.000%, due 06/01/292   400,000    396,905 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Commercial services—(continued)
Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL          
3.625%, due 06/01/282  EUR  100,000   $115,510 
4.625%, due 06/01/282   200,000    197,009 
Alta Equipment Group, Inc.          
9.000%, due 06/01/292   75,000    71,217 
AMN Healthcare, Inc.          
4.000%, due 04/15/292   125,000    119,488 
6.500%, due 01/15/312   25,000    24,912 
APCOA GmbH          
3 mo. EURIBOR + 3.250%,          
5.290%, due 04/15/312,6  EUR100,000    116,552 
3 mo. EURIBOR + 3.250%,          
5.290%, due 04/15/313,6   100,000    116,552 
APi Group DE, Inc.          
4.125%, due 07/15/292   175,000    170,549 
Arena Luxembourg Finance SARL          
3 mo. EURIBOR + 2.500%,          
4.520%, due 05/01/302,6  EUR100,000    117,717 
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.          
5.375%, due 03/01/292   150,000    145,750 
5.750%, due 07/15/272   22,000    21,981 
8.375%, due 06/15/322   125,000    125,671 
BCP V Modular Services Finance II PLC          
6.500%, due 07/10/313  EUR100,000    102,892 
Belron U.K. Finance PLC          
4.625%, due 10/15/292   200,000    238,335 
Block, Inc.          
5.625%, due 08/15/302   75,000    75,076 
6.000%, due 08/15/332   125,000    124,759 
6.500%, due 05/15/32   50,000    50,953 
Boels Topholding BV          
5.750%, due 05/15/302  EUR100,000    119,173 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Commercial services—(continued)
Brink's Co.          
6.500%, due 06/15/292   75,000   $76,731 
6.750%, due 06/15/322   100,000    102,592 
Carriage Services, Inc.          
4.250%, due 05/15/292   75,000    72,610 
Champions Financing, Inc.          
8.750%, due 02/15/292   25,000    24,328 
CompoSecure Holdings LLC          
5.625%, due 02/01/332   75,000    73,514 
EC Finance PLC          
3.250%, due 10/15/263  EUR125,000    144,558 
EquipmentShare.com, Inc.          
8.000%, due 03/15/332   125,000    131,086 
8.625%, due 05/15/322   100,000    106,056 
Garda World Security Corp.          
6.500%, due 01/15/312   25,000    25,539 
GEO Group, Inc.          
8.625%, due 04/15/29   75,000    78,032 
10.250%, due 04/15/31   125,000    134,157 
Herc Holdings, Inc.          
5.750%, due 03/15/312   25,000    25,060 
6.000%, due 03/15/342   50,000    49,576 
6.625%, due 06/15/292   50,000    51,232 
Hertz Corp.          
0.000%, due 01/15/282,5,11   50,000    5 
4.625%, due 12/01/262   30,000    28,978 
5.000%, due 12/01/292   25,000    12,290 
12.625%, due 07/15/292   75,000    70,704 
Loxam SAS          
4.250%, due 02/15/312  EUR100,000    115,480 
6.375%, due 05/31/292   90,000    108,602 
Mavis Tire Express Services Topco Corp.          
6.500%, due 05/15/292   50,000    49,852 
Mundys SpA          
4.500%, due 01/24/303  EUR100,000    119,274 
NESCO Holdings II, Inc.          
5.500%, due 04/15/292   125,000    124,377 
Paysafe Finance PLC/Paysafe Holdings U.S. Corp.          
4.000%, due 06/15/292   25,000    20,943 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

    Face
amount1
    Value  
             
Corporate bonds—(continued)
Commercial services—(continued)
Q-Park Holding I BV                
4.250%, due 09/01/302   EUR 100,000     $ 117,136  
5.125%, due 02/15/302     100,000       118,867  
5.125%, due 02/15/303     125,000       148,583  
Rekeep SpA                
9.000%, due 09/15/292     100,000       89,320  
RR Donnelley & Sons Co.                
9.500%, due 08/01/292     75,000       77,410  
10.875%, due 08/01/292     75,000       77,056  
RRD Intermediate Holdings, Inc.                
11.000% Cash or 12.000% PIK,                
11.000%, due 12/01/302,7     84,376       86,409  
Service Corp. International                
4.000%, due 05/15/31     225,000       212,584  
5.750%, due 10/15/32     100,000       100,882  
Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc.                
5.500%, due 05/15/332   EUR 100,000       112,577  
Synergy Infrastructure Holdings LLC                
7.875%, due 12/01/302     25,000       26,248  
Techem Verwaltungsgesellschaft 675 GmbH                
4.625%, due 07/15/322   EUR 150,000       174,261  
4.625%, due 07/15/323     125,000       145,218  
United Rentals North America, Inc.                
3.750%, due 01/15/32     75,000       69,612  
3.875%, due 02/15/31     125,000       118,372  
4.000%, due 07/15/30     225,000       215,717  
5.375%, due 11/15/332     50,000       49,439  
6.125%, due 03/15/342     25,000       25,689  
WEX, Inc.                
6.500%, due 03/15/332     75,000       74,701  
Williams Scotsman, Inc.                
4.625%, due 08/15/282     75,000       74,245  
6.625%, due 06/15/292     50,000       51,321  
6.625%, due 04/15/302     25,000       25,748  
              6,918,641  

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

    Face
amount1
    Value  
             
Corporate bonds—(continued)
Computers—0.9%
Almaviva-The Italian Innovation Co. SpA                
5.000%, due 10/30/303   EUR 100,000     $ 112,627  
Amentum Holdings, Inc.                
7.250%, due 08/01/322     75,000       77,633  
Atos SE                
Next Step to 9.360% on 12/18/25 and Multiple Steps Up Thereafter (9.730% - 10.530%),                
9.360%, due 12/18/293   EUR 200,000       267,865  
CACI International, Inc.                
6.375%, due 06/15/332     50,000       51,153  
Diebold Nixdorf, Inc.                
7.750%, due 03/31/302     75,000       78,785  
Everforth, Inc.                
4.625%, due 05/15/282     75,000       70,106  
Insight Enterprises, Inc.                
6.625%, due 05/15/322     25,000       24,797  
McAfee Corp.                
7.375%, due 02/15/302     50,000       40,513  
NCR Atleos Corp.                
9.500%, due 04/01/292     125,000       132,982  
NCR Voyix Corp.                
5.125%, due 04/15/292     88,000       85,438  
Seagate Data Storage Technology Pte. Ltd.                
4.091%, due 06/01/292     50,000       48,704  
4.125%, due 01/15/312     80,000       77,264  
5.875%, due 07/15/302     50,000       51,086  
9.625%, due 12/01/322     224,000       249,115  
              1,368,068  
Cosmetics/Personal Care—0.2%
P&L Development LLC/PLD Finance Corp.                
9.000% Cash and 3.500% PIK,                
12.000%, due 05/15/292,7     102,642       101,872  
Perrigo Finance Unlimited Co.                
5.375%, due 09/30/32   EUR 100,000       113,557  
6.125%, due 09/30/32     50,000       47,048  
Prestige Brands, Inc.                
3.750%, due 04/01/312     25,000       23,092  
5.125%, due 01/15/282     25,000       24,963  
              310,532  

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Distribution & wholesale—0.1%
Dealer Tire LLC/DT Issuer LLC          
8.000%, due 02/01/282   75,000   $74,521 
RB Global Holdings, Inc.          
7.750%, due 03/15/312   25,000    25,957 
         100,478 
Diversified financial services—5.0%
Aareal Bank AG          
(fixed, converts to FRN on 12/12/29),          
5.625%, due 12/12/343,6  EUR100,000    120,271 
Ally Financial, Inc.          
Series B,          
(fixed, converts to FRN on 05/15/26),          
4.700%, due 05/15/266,8   100,000    99,742 
6.700%, due 02/14/33   50,000    51,623 
Series D,          
(fixed, converts to FRN on 08/15/31),          
7.100%, due 08/15/316,8   50,000    49,961 
Azorra Finance Ltd.          
6.250%, due 02/15/342   50,000    47,875 
7.250%, due 01/15/312   75,000    76,825 
7.750%, due 04/15/302   88,000    91,052 
Bracken MidCo1 PLC          
6.750% Cash or 7.500% PIK,          
6.750%, due 11/01/273,7  GBP100,000    135,858 
Bread Financial Holdings, Inc.          
(fixed, converts to FRN on 06/15/30),          
8.375%, due 06/15/352,6   25,000    26,216 
Coinbase Global, Inc.          
3.375%, due 10/01/282   350,000    335,588 
3.625%, due 10/01/312   325,000    284,868 
Credito Real SAB de CV SOFOM ER          
0.000%, due 02/01/2711,12  EUR275,000    37,104 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Diversified financial services—(continued)
CrossCountry Intermediate HoldCo LLC          
6.500%, due 10/01/302   50,000   $49,123 
6.750%, due 12/01/322   75,000    72,493 
doValue SpA          
5.375%, due 11/15/312  EUR100,000    119,074 
Freedom Mortgage Holdings LLC          
7.875%, due 04/01/332   50,000    48,746 
9.250%, due 02/01/292   50,000    51,802 
GGAM Finance Ltd.          
5.875%, due 03/15/302   75,000    75,553 
6.875%, due 04/15/292   25,000    25,541 
goeasy Ltd.          
6.875%, due 05/15/302   25,000    21,112 
6.875%, due 02/15/312   50,000    41,535 
7.625%, due 07/01/292   75,000    67,213 
9.250%, due 12/01/282   50,000    47,282 
Hightower Holding LLC          
9.125%, due 01/31/302   25,000    25,951 
Intrum Investments & Financing AB          
Series 1,          
7.750%, due 09/11/283  EUR61,561    65,640 
8.000%, due 09/11/273   48,009    56,629 
8.500%, due 09/11/29   61,561    64,146 
8.500%, due 09/11/303   73,873    75,520 
Iqera Group SAS          
3 mo. EURIBOR + 4.500%,          
6.484%, due 04/30/302,7,11   55,881    34,448 
Jane Street Group/JSG Finance, Inc.          
4.500%, due 11/15/292   75,000    72,841 
6.125%, due 11/01/322   25,000    25,131 
6.750%, due 05/01/332   125,000    128,414 
Jefferson Capital Holdings LLC          
6.000%, due 08/15/262   100,000    99,500 
8.250%, due 05/15/302   150,000    156,985 
9.500%, due 02/15/292   100,000    105,225 
Jerrold Finco PLC          
7.875%, due 04/15/302  GBP100,000    137,730 
8.500%, due 07/15/322,9   100,000    135,866 
LFS Topco LLC          
8.750%, due 07/15/302   150,000    144,941 
Midcap Financial Issuer Trust          
6.500%, due 05/01/282   200,000    198,431 
Muangthai Capital PCL          
7.550%, due 07/21/302   250,000    253,537 
Muthoot Finance Ltd.          
6.375%, due 03/02/302   200,000    201,500 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Diversified financial services—(continued)
Navient Corp.          
5.500%, due 03/15/29   75,000   $72,084 
Series A,          
5.625%, due 08/01/33   100,000    85,105 
11.500%, due 03/15/31   50,000    53,662 
OneMain Finance Corp.          
3.875%, due 09/15/28   25,000    24,175 
4.000%, due 09/15/30   75,000    68,986 
5.375%, due 11/15/29   25,000    24,644 
6.125%, due 05/15/30   100,000    99,965 
6.500%, due 03/15/33   25,000    24,486 
6.625%, due 01/15/28   50,000    50,709 
6.750%, due 03/15/32   375,000    374,892 
6.750%, due 09/15/33   125,000    122,950 
7.125%, due 11/15/31   75,000    76,054 
7.125%, due 09/15/32   50,000    50,703 
7.500%, due 05/15/31   100,000    102,526 
7.875%, due 03/15/30   275,000    286,684 
Oxford Finance LLC/Oxford Finance Co-Issuer II, Inc.          
7.750%, due 05/15/312,9   25,000    24,875 
PennyMac Financial Services, Inc.          
4.250%, due 02/15/292   175,000    167,212 
5.750%, due 09/15/312   75,000    71,373 
6.750%, due 02/15/342   100,000    96,783 
6.875%, due 05/15/322   50,000    49,451 
6.875%, due 02/15/332   125,000    122,919 
7.875%, due 12/15/292   100,000    103,757 
PHH Escrow Issuer LLC/PHH Corp.          
9.875%, due 11/01/292   100,000    100,994 
Phoenix Aviation Capital Ltd.          
9.250%, due 07/15/302   25,000    25,514 
PRA Group, Inc.          
8.375%, due 02/01/282   100,000    101,580 
8.875%, due 01/31/302   25,000    25,867 
Rfna LP          
7.875%, due 02/15/302   200,000    198,509 
Rocket Cos., Inc.          
6.375%, due 08/01/332   275,000    278,354 
6.500%, due 08/01/292   25,000    25,467 
7.125%, due 02/01/322   100,000    103,362 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Diversified financial services—(continued)
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.          
3.875%, due 03/01/312   25,000   $23,210 
4.000%, due 10/15/332   250,000    225,243 
Sammaan Capital Ltd.          
7.500%, due 10/16/302   200,000    199,250 
SLM Corp.          
3.125%, due 11/02/26   75,000    74,076 
Stonebriar ABF Issuer LLC          
8.125%, due 12/15/302   100,000    105,044 
Synchrony Financial          
7.250%, due 02/02/33   75,000    77,750 
Titanium 2l Bondco SARL          
6.250%, due 01/14/317  EUR490,800    86,821 
TrueNoord Capital DAC          
8.750%, due 03/01/302   75,000    76,471 
Velocity Commercial Capital LLC          
9.375%, due 02/15/312   25,000    25,851 
X3G Mergeco SpA          
7.000%, due 05/15/302  EUR100,000    108,198 
         7,974,448 
Electric—4.7%
AES Corp.          
(fixed, converts to FRN on 07/15/30),          
6.950%, due 07/15/556   25,000    24,389 
(fixed, converts to FRN on 01/15/30),          
7.600%, due 01/15/556   100,000    101,873 
Alpha Generation LLC          
6.250%, due 01/15/342   75,000    74,487 
6.750%, due 10/15/322   100,000    102,421 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Electric—(continued)
American Electric Power Co., Inc.          
(fixed, converts to FRN on 12/15/34),          
6.950%, due 12/15/546   50,000   $53,263 
(fixed, converts to FRN on 12/15/29),          
7.050%, due 12/15/546   75,000    78,483 
Aydem Yenilenebilir Enerji AS          
9.875%, due 09/30/302   200,000    202,740 
California Buyer Ltd./Atlantica Sustainable Infrastructure PLC          
5.625%, due 02/15/323  EUR100,000    117,213 
Clearway Energy Operating LLC          
5.750%, due 01/15/342   50,000    50,013 
Constellation Energy Generation LLC          
5.000%, due 02/01/312   150,000    150,401 
Continuum Energy Aura Pte. Ltd.          
9.500%, due 02/24/273   400,000    403,500 
ContourGlobal Power Holdings SA          
4.375%, due 07/31/312  EUR400,000    455,382 
5.000%, due 02/28/302   100,000    117,975 
Eastern European Electric Co. BV          
6.500%, due 05/15/303   100,000    121,033 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Electric—(continued)
Edison International          
(fixed, converts to FRN on 06/15/29),          
7.875%, due 06/15/546   25,000   $25,789 
(fixed, converts to FRN on 06/15/28),          
8.125%, due 06/15/536   50,000    51,297 
Electricite de France SA          
(fixed, converts to FRN on 09/17/32),          
5.625%, due 06/17/323,6,8  EUR400,000    484,610 
Energia Group Roi Financeco DAC          
6.875%, due 07/31/282   250,000    298,736 
Energo - Pro as          
8.000%, due 05/27/302   100,000    122,573 
EnfraGen Energia Sur SAU/EnfraGen Chile SpA/EnfraGen Spain SAU          
8.499%, due 06/30/322   300,000    309,975 
Hawaiian Electric Co., Inc.          
6.000%, due 10/01/332   25,000    25,083 
Long Ridge Energy LLC          
8.750%, due 02/15/322   25,000    26,720 
NRG Energy, Inc.          
3.625%, due 02/15/312   50,000    46,447 
5.250%, due 06/15/292   150,000    149,443 
5.750%, due 01/15/28   25,000    25,029 
5.750%, due 07/15/292   250,000    249,886 
5.750%, due 01/15/342   200,000    198,522 
5.875%, due 05/15/342   75,000    74,730 
6.000%, due 02/01/332   150,000    151,160 
6.000%, due 01/15/362   325,000    322,776 
6.125%, due 05/15/362   50,000    49,811 
6.250%, due 11/01/342   100,000    101,163 
(fixed, converts to FRN on 03/15/28),          
10.250%, due 03/15/282,6,8   125,000    135,788 
Pampa Energia SA          
7.750%, due 11/14/372   250,000    256,862 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Electric—(continued)
PG&E Corp.          
5.000%, due 07/01/28   150,000   $149,266 
(fixed, converts to FRN on 09/15/31),          
6.850%, due 09/15/566   25,000    24,995 
(fixed, converts to FRN on 03/15/30),          
7.375%, due 03/15/556   175,000    179,997 
Public Power Corp. SA          
4.625%, due 10/31/313  EUR100,000    118,058 
Saavi Energia SARL          
8.875%, due 02/10/352   200,000    222,820 
Talen Energy Supply LLC          
6.125%, due 05/01/312   125,000    125,223 
6.250%, due 02/01/342   175,000    173,694 
6.375%, due 05/01/332   25,000    25,033 
6.500%, due 02/01/362   150,000    150,568 
TransAlta Corp.          
5.875%, due 02/01/34   75,000    74,812 
Vistra Corp.          
(fixed, converts to FRN on 12/15/26),          
7.000%, due 12/15/262,6,8   225,000    225,657 
(fixed, converts to FRN on 10/15/26),          
8.000%, due 10/15/262,6,8   150,000    151,318 
Vistra Operations Co. LLC          
5.250%, due 04/30/332   50,000    49,823 
5.550%, due 04/30/362   75,000    74,278 
6.875%, due 04/15/322   350,000    365,391 
7.750%, due 10/15/312   175,000    183,528 
VoltaGrid LLC          
7.375%, due 11/01/302   25,000    25,948 
         7,479,982 
Electrical components & equipment—0.2%
Belden, Inc.          
3.375%, due 07/15/313  EUR100,000    112,027 
4.250%, due 02/01/332   100,000    113,733 
Senvion Holding GmbH          
3.875%, due 10/25/223,10   400,000    47 
WESCO Distribution, Inc.          
5.250%, due 04/15/312   25,000    24,985 
5.500%, due 04/15/342   50,000    49,871 
         300,663 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Electronics—0.5%
Atkore, Inc.          
4.250%, due 06/01/312   25,000   $23,843 
Coherent Corp.          
5.000%, due 12/15/292   225,000    222,567 
Ingram Micro, Inc.          
4.750%, due 05/15/292   375,000    368,498 
Sensata Technologies, Inc.          
3.750%, due 02/15/312   75,000    69,666 
TTM Technologies, Inc.          
4.000%, due 03/01/292   75,000    72,555 
         757,129 
Energy-Alternate Sources—0.4%
Adani Green Energy UP Ltd./Prayatna Developers Pvt Ltd./Parampujya Solar Energy          
6.700%, due 03/12/422   197,848    190,923 
Greenko Wind Projects Mauritius Ltd.          
7.250%, due 09/27/282   394,000    397,546 
RRI Energy, Inc.          
0.000%, due 06/15/174,5,10   75,000    0 
TerraForm Power Operating LLC          
4.750%, due 01/15/302   50,000    48,442 
5.000%, due 01/31/282   25,000    24,756 
         661,667 
Engineering & construction—0.8%
Brand Industrial Services, Inc.          
10.375%, due 08/01/302   75,000    69,046 
Brundage-Bone Concrete Pumping Holdings, Inc.          
7.500%, due 02/01/322   100,000    101,630 
Gatwick Airport Finance PLC          
6.000%, due 11/21/303  GBP100,000    133,753 
HTA Group Ltd.          
6.750%, due 04/01/312   200,000    203,437 
IHS Holding Ltd.          
8.250%, due 11/29/312   200,000    208,796 
IHS Netherlands Holdco BV          
8.000%, due 09/18/273   206,242    206,372 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Engineering & construction—(continued)
OHL Operaciones SA          
5.100% Cash and 4.650% PIK,          
9.750%, due 12/31/293,7  EUR83,160   $89,871 
5.100% Cash or 4.650% PIK,          
9.750%, due 12/31/292,7   79,002    85,378 
TopBuild Corp.          
4.125%, due 02/15/322   75,000    74,974 
Weekley Homes LLC/Weekley Finance Corp.          
4.875%, due 09/15/282   125,000    122,217 
         1,295,474 
Entertainment—2.6%
888 Acquisitions Ltd.          
8.000%, due 09/30/313  EUR200,000    226,514 
Affinity Interactive          
6.875%, due 12/15/272   150,000    92,779 
Allwyn Entertainment Financing U.K. PLC          
7.250%, due 04/30/302  EUR112,500    137,152 
AMC Entertainment Holdings, Inc.          
7.500%, due 02/15/292   175,000    147,321 
Betclic Everest Group SAS          
5.125%, due 12/10/312  EUR100,000    117,654 
Boyne USA, Inc.          
4.750%, due 05/15/292   50,000    48,879 
Caesars Entertainment, Inc.          
4.625%, due 10/15/292   75,000    72,389 
Churchill Downs, Inc.          
4.750%, due 01/15/282   25,000    24,782 
5.500%, due 04/01/272   50,000    49,953 
5.750%, due 04/01/302   125,000    124,592 
Cinemark USA, Inc.          
5.250%, due 07/15/282   100,000    99,614 
7.000%, due 08/01/322   50,000    51,674 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Entertainment—(continued)
Discovery Global Holdings, Inc.          
4.054%, due 03/15/29   25,000   $23,409 
4.054%, due 03/15/29   100,000    97,323 
4.279%, due 03/15/32   75,000    67,930 
5.050%, due 03/15/42   300,000    214,059 
Entain PLC          
4.875%, due 11/30/313  EUR100,000    117,356 
Great Canadian Gaming Corp./Raptor LLC          
8.750%, due 11/15/292   50,000    48,751 
Jacobs Entertainment, Inc.          
6.750%, due 02/15/292   225,000    220,500 
Light & Wonder International, Inc.          
6.250%, due 10/01/332   50,000    49,586 
7.250%, due 11/15/292   25,000    25,570 
Live Nation Entertainment, Inc.          
3.750%, due 01/15/282   125,000    122,584 
4.750%, due 10/15/272   100,000    99,701 
Lottomatica Group SpA          
4.625%, due 04/30/322,9  EUR100,000    117,869 
5.375%, due 06/01/302   100,000    119,925 
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp.          
4.875%, due 05/01/292   125,000    122,212 
Motion Bondco DAC          
4.500%, due 11/15/273  EUR100,000    113,477 
Muvico LLC          
9.000% Cash or 6.000% PIK,          
15.000%, due 02/19/292,7   229,112    238,945 
Penn Entertainment, Inc.          
4.125%, due 07/01/292   200,000    190,352 
6.750%, due 04/01/312   50,000    49,587 
Premier Entertainment Sub LLC/Premier Entertainment Finance Corp.          
5.625%, due 09/01/292   125,000    81,456 
5.875%, due 09/01/312   125,000    71,875 
SeaWorld Parks & Entertainment, Inc.          
5.250%, due 08/15/292   150,000    145,019 
Six Flags Entertainment Corp.          
7.250%, due 05/15/312   50,000    49,300 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Entertainment—(continued)
Six Flags Entertainment Corp./Canada's Wonderland Co./Magnum Management Corp.          
5.250%, due 07/15/29   25,000   $24,051 
6.500%, due 10/01/28   200,000    200,561 
Six Flags Entertainment Corp./Canada's Wonderland Co./Millennium Operations LLC          
8.625%, due 01/15/322   175,000    177,914 
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.          
5.125%, due 10/01/292   125,000    124,171 
6.250%, due 03/15/332   75,000    75,368 
7.125%, due 02/15/312   50,000    52,920 
         4,235,074 
Environmental control—0.7%
Biffa Group Holdings Ltd.          
5.250%, due 06/15/313  EUR100,000    115,926 
7.380%, due 06/15/312  GBP100,000    136,048 
Clean Harbors, Inc.          
5.750%, due 10/15/332   50,000    50,464 
6.375%, due 02/01/312   50,000    50,887 
GFL Environmental Holdings U.S., Inc.          
5.500%, due 02/01/342   50,000    49,184 
GFL Environmental, Inc.          
6.750%, due 01/15/312   50,000    51,839 
Luna 2 5SARL          
5.500%, due 07/01/322  EUR100,000    117,691 
Paprec Holding SA          
4.125%, due 07/15/302   300,000    350,242 
Reworld Holding Corp.          
5.000%, due 09/01/30   100,000    87,194 
Seche Environnement SACA          
4.500%, due 03/25/303  EUR100,000    117,834 
Waste Pro USA, Inc.          
7.000%, due 02/01/332   50,000    50,935 
         1,178,244 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Food—2.4%
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC          
3.500%, due 03/15/292   25,000   $23,841 
4.875%, due 02/15/302   175,000    171,302 
5.625%, due 03/31/322   50,000    49,326 
6.500%, due 02/15/282   100,000    101,187 
B&G Foods, Inc.          
8.000%, due 09/15/282   75,000    74,332 
Bellis Acquisition Co. PLC          
8.125%, due 05/14/303  GBP125,000    157,285 
Boparan Finance PLC          
9.375%, due 11/07/293   90,000    128,897 
C&S Group Enterprises LLC          
5.000%, due 12/15/282   50,000    46,639 
Chobani LLC/Chobani Finance Corp., Inc.          
7.625%, due 07/01/292   50,000    51,614 
Darling Global Finance BV          
4.500%, due 07/15/322  EUR225,000    265,995 
Fiesta Purchaser, Inc.          
9.625%, due 09/15/322   75,000    77,563 
Froneri Lux FinCo SARL          
4.750%, due 08/01/323  EUR200,000    227,334 
Grupo Nutresa SA          
(fixed, converts to FRN on 01/21/32),          
7.875%, due 10/21/312,6,8   200,000    199,000 
Industrial F&B Investments III, Inc.          
7.750%, due 02/11/332   25,000    25,263 
Ingles Markets, Inc.          
4.000%, due 06/15/312   175,000    165,414 
J&F Luxembourg Finance SARL          
8.000%, due 04/23/332   200,000    198,858 
KeHE Distributors LLC/KeHE Finance Corp./NextWave Distribution, Inc.          
7.125%, due 04/30/332   50,000    50,620 
9.000%, due 02/15/292   150,000    156,797 
Kroger Co.          
5.000%, due 09/15/34   100,000    98,784 
5.500%, due 09/15/54   100,000    92,810 
5.650%, due 09/15/64   50,000    46,462 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Food—(continued)
Lamb Weston Holdings, Inc.          
4.125%, due 01/31/302   75,000   $71,852 
4.375%, due 01/31/322   125,000    117,731 
Minerva Luxembourg SA          
7.500%, due 04/22/362   200,000    196,100 
Performance Food Group, Inc.          
4.250%, due 08/01/292   125,000    121,188 
6.125%, due 09/15/322   50,000    50,684 
Post Holdings, Inc.          
4.625%, due 04/15/302   225,000    218,595 
6.250%, due 10/15/342   25,000    24,679 
6.375%, due 03/01/332   100,000    99,961 
Quatrim SAS          
8.500%, due 01/15/273,7  EUR54,288    62,142 
Rallye SA          
Series COFP,          
5.250%, due 02/28/323   800,000    472 
Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed          
4.625%, due 03/01/292   175,000    168,845 
U.S. Foods, Inc.          
5.750%, due 04/15/332   25,000    25,092 
6.875%, due 09/15/282   50,000    51,056 
7.250%, due 01/15/322   50,000    52,008 
United Natural Foods, Inc.          
6.750%, due 10/15/282   19,000    19,012 
Viking Baked Goods Acquisition Corp.          
8.625%, due 11/01/312   75,000    76,576 
         3,765,316 
Food service—0.2%
Aramark International Finance SARL          
4.375%, due 04/15/333  EUR200,000    228,068 
TKC Holdings, Inc.          
8.500%, due 08/15/302   75,000    76,769 
12.000%, due 02/15/312   75,000    78,150 
         382,987 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Forest products & paper—0.1%
Domtar Corp.          
6.750%, due 10/01/282   83,000   $65,769 
Magnera Corp.          
7.250%, due 11/15/312   25,000    23,407 
Mercer International, Inc.          
5.125%, due 02/01/29   25,000    10,000 
WEPA Hygieneprodukte GmbH          
4.500%, due 11/30/323  EUR125,000    141,231 
         240,407 
Gas—0.1%
AmeriGas Partners LP/AmeriGas Finance Corp.          
5.750%, due 05/20/27   150,000    150,719 
           
Healthcare-products—0.6%
Avantor Funding, Inc.          
3.875%, due 07/15/283  EUR100,000    117,085 
3.875%, due 11/01/292   100,000    95,061 
4.625%, due 07/15/282   225,000    221,758 
Bausch & Lomb Corp.          
8.375%, due 10/01/282   175,000    180,687 
Insulet Corp.          
6.500%, due 04/01/332   50,000    51,040 
Medline Borrower LP          
5.250%, due 10/01/292   250,000    248,803 
         914,434 
Healthcare-services—3.0%
Acadia Healthcare Co., Inc.          
5.500%, due 07/01/282   125,000    124,368 
AHP Health Partners, Inc.          
5.750%, due 07/15/292   100,000    99,099 
Centene Corp.          
2.450%, due 07/15/28   75,000    70,803 
2.500%, due 03/01/31   75,000    65,365 
2.625%, due 08/01/31   50,000    43,346 
3.000%, due 10/15/30   125,000    112,383 
3.375%, due 02/15/30   75,000    69,693 
4.625%, due 12/15/29   125,000    121,862 
Charles River Laboratories International, Inc.          
4.000%, due 03/15/312   57,000    53,217 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Healthcare-services—(continued)
CHS/Community Health Systems, Inc.          
4.750%, due 02/15/312   125,000   $116,961 
5.250%, due 05/15/302   75,000    70,818 
6.000%, due 01/15/292   75,000    74,406 
6.125%, due 04/01/302   100,000    88,655 
6.875%, due 04/01/282   25,000    24,188 
6.875%, due 04/15/292   175,000    172,173 
9.750%, due 01/15/342   125,000    128,926 
10.875%, due 01/15/322   140,000    150,358 
Cidron Atrium SE          
5.625%, due 02/15/332  EUR150,000    172,785 
Concentra Health Services, Inc.          
6.875%, due 07/15/322   100,000    103,629 
DaVita, Inc.          
4.625%, due 06/01/302   150,000    145,208 
6.875%, due 09/01/322   100,000    103,219 
Encompass Health Corp.          
4.750%, due 02/01/30   125,000    123,064 
Global Medical Response, Inc.          
7.375%, due 10/01/322   25,000    26,061 
Gruppo San Donato SpA          
6.500%, due 10/31/312  EUR100,000    117,218 
6.500%, due 10/31/313   100,000    117,218 
IQVIA, Inc.          
6.250%, due 06/01/322   75,000    76,380 
Laboratoire Eimer SELAS          
5.000%, due 02/01/293  EUR125,000    140,322 
LifePoint Health, Inc.          
5.375%, due 01/15/292   75,000    72,339 
7.000%, due 05/01/342   125,000    121,883 
8.375%, due 02/15/322   75,000    78,690 
10.000%, due 06/01/322   50,000    51,175 
Mehilainen Yhtiot OYJ          
5.125%, due 06/30/322  EUR100,000    117,810 
Molina Healthcare, Inc.          
3.875%, due 11/15/302   75,000    69,501 
4.375%, due 06/15/282   75,000    73,943 
6.250%, due 01/15/332   50,000    49,947 
6.500%, due 02/15/312   25,000    25,436 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Healthcare-services—(continued)
MPH Acquisition Holdings LLC          
5.750%, due 12/31/302   107,848   $89,421 
6.500% Cash and 5.000% PIK,          
11.500%, due 12/31/302,7   59,176    55,219 
Radiology Partners, Inc.          
8.500%, due 07/15/322   25,000    24,857 
Select Medical Corp.          
6.250%, due 12/01/322   50,000    48,551 
Sotera Health Holdings LLC          
7.375%, due 06/01/312   100,000    103,944 
Surgery Center Holdings, Inc.          
7.250%, due 04/15/322   125,000    124,666 
Team Health Holdings, Inc.          
8.375%, due 06/30/282   25,000    25,085 
TEAM Services Holding, Inc.          
9.000%, due 02/15/332   25,000    25,011 
Tenet Healthcare Corp.          
4.250%, due 06/01/29   50,000    48,702 
4.375%, due 01/15/30   75,000    72,659 
5.125%, due 11/01/27   100,000    99,910 
5.500%, due 11/15/322   100,000    99,745 
6.000%, due 11/15/332   25,000    25,268 
6.125%, due 10/01/28   240,000    240,605 
6.125%, due 06/15/30   275,000    276,635 
6.750%, due 05/15/31   25,000    25,689 
U.S. Acute Care Solutions LLC          
9.750%, due 05/15/292   75,000    70,878 
         4,829,294 
Home builders—1.4%
Adams Homes, Inc.          
9.250%, due 10/15/282   300,000    310,110 
Ashton Woods USA LLC/Ashton Woods Finance Co.          
4.625%, due 08/01/292   75,000    71,788 
4.625%, due 04/01/302   150,000    142,814 
6.875%, due 08/01/332   25,000    24,530 
Beazer Homes USA, Inc.          
5.875%, due 10/15/27   50,000    49,932 
7.250%, due 10/15/29   100,000    101,298 
7.500%, due 03/15/312   75,000    74,690 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

    Face
amount1
    Value  
             
Corporate bonds—(continued)
Home builders—(continued)
Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC                
4.875%, due 02/15/302     25,000     $ 23,438  
5.000%, due 06/15/292     125,000       120,397  
Century Communities, Inc.                
3.875%, due 08/15/292     75,000       71,023  
6.625%, due 09/15/332     50,000       49,749  
Dream Finders Homes, Inc.                
6.875%, due 09/15/302     25,000       24,516  
8.250%, due 08/15/282     100,000       102,499  
Empire Communities Corp.                
9.750%, due 05/01/292     75,000       76,443  
Forestar Group, Inc.                
5.000%, due 03/01/282     125,000       124,030  
Installed Building Products, Inc.                
5.625%, due 02/01/342     25,000       24,876  
K Hovnanian Enterprises, Inc.                
8.000%, due 04/01/312     25,000       25,209  
8.375%, due 10/01/332     25,000       25,116  
KB Home                
4.000%, due 06/15/31     125,000       115,729  
7.250%, due 07/15/30     75,000       76,581  
LGI Homes, Inc.                
4.000%, due 07/15/292     25,000       22,678  
7.000%, due 11/15/322     50,000       47,918  
8.750%, due 12/15/282     100,000       102,969  
Mattamy Group Corp.                
4.625%, due 03/01/302     125,000       118,906  
Shea Homes LP/Shea Homes Funding Corp.                
4.750%, due 02/15/28     50,000       49,408  
4.750%, due 04/01/29     125,000       121,084  
STL Holding Co. LLC                
8.750%, due 02/15/292     75,000       77,825  
Thor Industries, Inc.                
4.000%, due 10/15/292     25,000       23,670  
Winnebago Industries, Inc.                
6.250%, due 07/15/282     30,000       29,932  
              2,229,158  

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Home furnishings—0.4%
FXI Holdings, Inc.          
11.000%, due 11/15/302   217,792   $182,354 
16.000% PIK,          
14.000%, due 11/15/292,7   130,216    58,597 
Somnigroup International, Inc.          
4.000%, due 04/15/292   125,000    120,922 
Whirlpool Corp.          
4.500%, due 06/01/46   50,000    33,600 
4.600%, due 05/15/50   25,000    16,810 
4.700%, due 05/14/32   25,000    21,943 
5.150%, due 03/01/43   75,000    55,924 
5.500%, due 03/01/33   50,000    45,001 
6.125%, due 06/15/30   25,000    24,516 
6.500%, due 06/15/33   50,000    47,888 
         607,555 
Household products/wares—0.1%
Central Garden & Pet Co.          
4.125%, due 04/30/312   100,000    93,807 
           
Housewares—0.3%
Newell Brands, Inc.          
6.375%, due 09/15/27   75,000    75,517 
6.375%, due 05/15/30   25,000    24,485 
6.625%, due 09/15/29   50,000    49,966 
7.375%, due 04/01/36   125,000    119,030 
7.500%, due 04/01/46   50,000    43,140 
8.500%, due 06/01/282   25,000    26,124 
Scotts Miracle-Gro Co.          
4.000%, due 04/01/31   125,000    116,305 
         454,567 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Insurance—0.7%
Acrisure LLC/Acrisure Finance, Inc.          
4.250%, due 02/15/292   25,000   $23,878 
6.000%, due 08/01/292   75,000    70,765 
8.250%, due 02/01/292   100,000    100,351 
8.500%, due 06/15/292   25,000    25,015 
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer          
7.375%, due 10/01/322   50,000    49,129 
Amynta Agency Borrower, Inc. & Amynta Warranty Borrower, Inc.          
7.500%, due 07/15/332   25,000    24,377 
APH Somerset Investor 2 LLC/APH2 Somerset Investor 2 LLC/APH3 Somerset Investor 2 LLC          
7.875%, due 11/01/292   100,000    96,815 
Asurion LLC/Asurion Co-Issuer, Inc.          
8.375%, due 02/01/342   175,000    172,656 
Baldwin Insurance Group Holdings LLC/Baldwin Insurance Group Holdings Finance          
7.125%, due 05/15/312   100,000    101,248 
HUB International Ltd.          
5.625%, due 12/01/292   75,000    74,058 
7.250%, due 06/15/302   50,000    51,724 
Nassau Cos., of New York          
7.875%, due 07/15/302   75,000    69,966 
Panther Escrow Issuer LLC          
7.125%, due 06/01/312   150,000    150,702 
Ryan Specialty LLC          
5.875%, due 08/01/322   75,000    74,989 
         1,085,673 
Internet—0.7%
Alphabet, Inc.          
5.650%, due 02/15/56   25,000    24,521 
Cogent Communications Group LLC/Cogent Finance, Inc.          
7.000%, due 06/15/272   50,000    49,748 
7.000%, due 06/15/272   25,000    24,847 
Engineering - Ingegneria Informatica - SpA          
8.625%, due 02/15/303  EUR100,000    114,113 
11.125%, due 05/15/283   100,000    120,455 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Internet—(continued)
Gen Digital, Inc.          
6.750%, due 09/30/272   50,000   $50,206 
7.125%, due 09/30/302   100,000    101,415 
Go Daddy Operating Co. LLC/GD Finance Co., Inc.          
5.250%, due 12/01/272   50,000    49,898 
iliad SA          
4.250%, due 12/15/293  EUR100,000    118,296 
5.375%, due 05/02/313   100,000    123,758 
Snap, Inc.          
6.875%, due 03/01/332   175,000    170,369 
United Group BV          
5.250%, due 02/01/303  EUR100,000    116,550 
6.500%, due 10/31/313   100,000    119,407 
         1,183,583 
Investment companies—0.5%
Compass Group Diversified Holdings LLC          
5.000%, due 01/15/322   77,202    68,290 
5.250%, due 04/15/292   25,733    24,352 
HA Sustainable Infrastructure Capital, Inc.          
(fixed, converts to FRN on 11/15/31),          
7.125%, due 11/15/566   25,000    25,237 
Icahn Enterprises LP/Icahn Enterprises Finance Corp.          
4.375%, due 02/01/29   50,000    43,829 
5.250%, due 05/15/27   250,000    247,602 
9.000%, due 06/15/30   75,000    72,231 
9.750%, due 01/15/29   125,000    125,636 
10.000%, due 11/15/292   125,000    126,091 
         733,268 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Iron & steel—1.4%
Algoma Steel, Inc.          
9.125%, due 04/15/292   50,000   $46,433 
Baffinland Iron Mines Corp./Baffinland Iron Mines LP          
8.750%, due 07/15/262   125,000    100,000 
Big River Steel LLC/BRS Finance Corp.          
6.625%, due 01/31/292   140,000    140,118 
Carpenter Technology Corp.          
5.625%, due 03/01/342   75,000    75,045 
Celsa Opco SA          
8.250%, due 12/15/302  EUR100,000    120,465 
Champion Iron Canada, Inc.          
7.875%, due 07/15/322   50,000    52,405 
Cleveland-Cliffs, Inc.          
4.875%, due 03/01/312   50,000    46,080 
6.750%, due 04/15/302   25,000    24,610 
7.000%, due 03/15/322   150,000    149,907 
7.375%, due 05/01/332   175,000    176,860 
7.500%, due 09/15/312   25,000    25,530 
Commercial Metals Co.          
4.125%, due 01/15/30   50,000    48,009 
4.375%, due 03/15/32   75,000    70,604 
5.750%, due 11/15/332   50,000    50,084 
6.000%, due 12/15/352   50,000    49,951 
CSN Resources SA          
8.875%, due 12/05/302   200,000    161,020 
Infrabuild Australia Pty. Ltd.          
14.500%, due 11/15/282   50,000    53,418 
Mineral Resources Ltd.          
6.000%, due 05/01/322   50,000    49,612 
6.250%, due 05/01/342   50,000    49,371 
7.000%, due 04/01/312   50,000    51,898 
Samarco Mineracao SA          
9.500% Cash or 9.000% PIK,          
9.500%, due 06/30/313,7   764,528    765,293 
         2,306,713 
Leisure time—2.0%
Acushnet Co.          
5.625%, due 12/01/332   50,000    50,232 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face
amount1
   Value 
         
Corporate bonds—(continued)
Leisure time—(continued)
Carnival Corp.          
5.125%, due 05/01/292   50,000   $49,850 
5.750%, due 01/15/302  EUR175,000    214,738 
5.750%, due 08/01/322   200,000    201,006 
5.875%, due 06/15/312   100,000    101,422 
6.125%, due 02/15/332   150,000    152,199 
6.650%, due 01/15/28   100,000    102,223 
Carnival PLC          
4.125%, due 07/15/313  EUR200,000    230,614 
Deuce Finco PLC          
7.000%, due 11/20/312  GBP150,000    203,849 
Life Time, Inc.          
6.000%, due 11/15/312   125,000    126,890 
Lindblad Expeditions LLC          
7.000%, due 09/15/302   25,000    25,682 
MajorDrive Holdings IV LLC          
6.375%, due 06/01/292   150,000    125,428 
NCL Corp. Ltd.          
5.875%, due 01/15/312   50,000    48,666 
6.250%, due 09/15/332   25,000    24,196 
6.750%, due 02/01/322   100,000    99,509 
7.750%, due 02/15/292   100,000    104,392 
NCL Finance Ltd.          
6.125%, due 03/15/282   100,000    101,455 
Patrick Industries, Inc.          
4.750%, due 05/01/292   100,000    98,247 
Pinnacle Bidco PLC          
8.250%, due 10/11/283  EUR100,000    122,046 
Royal Caribbean Cruises Ltd.          
5.375%, due 07/15/272   300,000    301,004 
5.625%, due 09/30/312   125,000    126,720 
Sabre GLBL, Inc.          
11.125%, due 07/15/302   25,000    21,500 
TUI AG          
5.875%, due 03/15/292  EUR100,000    118,252 
5.875%, due 03/15/293   100,000    118,251 
Viking Cruises Ltd.          
5.875%, due 10/15/332   50,000    50,127 
7.000%, due 02/15/292   100,000    100,268 
Viking Ocean Cruises Ship VII Ltd.          
5.625%, due 02/15/292   75,000    74,951 
VOC Escrow Ltd.          
5.000%, due 02/15/282   75,000    74,841 
         3,168,558 

 

 

 

 

PACE High Yield Investments

Portfolio of investments April 30, 2026 (unaudited)

 

    Face
amount1
    Value  
             
Corporate bonds—(continued)
Lodging—2.2%
Boyd Gaming Corp.                
4.750%, due 12/01/27     25,000     $ 24,888  
4.750%, due 06/15/312     250,000       240,944  
Essendi SA                
5.625%, due 05/15/323   EUR 100,000       116,739  
Fortune Star BVI Ltd.                
6.800%, due 09/09/293     200,000       196,360  
Full House Resorts, Inc.                
8.250%, due 02/15/282     100,000       94,801  
Hilton Domestic Operating Co., Inc.                
4.000%, due 05/01/312     275,000       260,431  
5.500%, due 03/31/342     50,000       49,630  
5.750%, due 09/15/332     75,000       75,504  
5.875%, due 03/15/332     75,000       75,943  
6.125%, due 04/01/322     75,000       76,394  
Hilton Grand Vacations Borrower LLC/Hilton Grand Vacations Borrower, Inc.                
4.875%, due 07/01/312     175,000       161,948  
5.000%, due 06/01/292     100,000       96,776  
Marriott Ownership Resorts, Inc.                
4.500%, due 06/15/292     50,000       47,812  
6.500%, due 10/01/332     100,000       96,154  
Melco Resorts Finance Ltd.                
6.500%, due 09/24/332     300,000       297,375  
7.625%, due 04/17/322     200,000       205,864  
MGM Resorts International                
4.625%, due 09/01/26     75,000       74,965  
6.500%, due 04/15/32     125,000       126,581  
Motel One GmbH/Muenchen                
7.750%, due 04/02/313   EUR 120,000       148,353  
Sani/Ikos Financial Holdings 1 SARL                
7.250%, due 07/31/303     100,000       120,822  
Station Casinos LLC                
4.500%, due 02/15/282     25,000       24,611  
4.625%, due 12/01/312     75,000       70,594  
Studio City Finance Ltd.                
5.000%, due 01/15/292     200,000       190,690  

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

  

    Face        
    amount1     Value  
Corporate bonds—(continued)
Lodging—(continued)
Travel & Leisure Co.                
4.625%, due 03/01/302     75,000     $ 72,354  
6.125%, due 09/01/332     50,000       49,549  
Wyndham Hotels & Resorts, Inc.                
5.625%, due 03/01/332     50,000       49,478  
Wynn Las                
Vegas LLC/Wynn Las                
Vegas Capital Corp.                
5.250%, due 05/15/272     50,000       50,045  
Wynn Macau Ltd.                
6.750%, due 02/15/342     450,000       450,563  
              3,546,168  
Machinery-construction & mining—0.1%
Manitowoc Co., Inc.                
9.250%, due 10/01/312     50,000       53,460  
Terex Corp.                
5.000%, due 05/15/292     150,000       148,980  
              202,440  
Machinery-diversified—0.0%†
Columbus McKinnon Corp.                
7.125%, due 02/01/332     25,000       25,143  
Galapagos SA                
5.375%, due 06/15/213,10,11   EUR  27,500       161  
GrafTech Global                
Enterprises, Inc.                
9.875%, due 12/23/292     75,000       56,063  
              81,367  
Media—6.3%
Altice Holdings 1 SARL                
0.000%, due 12/31/992,8,12   EUR 863       137  
AMC Global Media, Inc.                
4.250%, due 02/15/29     28,000       24,589  
10.500%, due 07/15/322     51,000       52,574  

 

 

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Media—(continued)
CCO Holdings LLC/CCO Holdings Capital Corp.           
4.250%, due 02/01/312    200,000   $181,652 
4.250%, due 01/15/342    150,000    125,813 
4.500%, due 05/01/32    25,000    21,954 
4.500%, due 06/01/332    375,000    322,165 
4.750%, due 03/01/302    175,000    165,888 
4.750%, due 02/01/322    550,000    492,486 
5.375%, due 06/01/292    50,000    49,193 
6.375%, due 09/01/292    200,000    200,348 
7.000%, due 02/01/332    150,000    147,860 
Charter Communications Operating LLC/Charter Communications Operating Capital           
6.484%, due 10/23/45    50,000    46,067 
CSC Holdings LLC           
4.500%, due 11/15/312    200,000    116,610 
6.500%, due 02/01/292    200,000    124,509 
11.250%, due 05/15/282    200,000    162,658 
11.750%, due 01/31/292    400,000    286,435 
Digi Romania SA           
4.625%, due 10/29/312  EUR 200,000    230,230 
Directv Financing LLC/Directv Financing Co-Obligor, Inc.           
5.875%, due 08/15/272    103,000    103,076 
10.000%, due 02/15/312    400,000    416,196 
Discovery Communications LLC           
3.625%, due 05/15/30    150,000    141,014 
3.950%, due 03/20/28    50,000    49,187 
4.125%, due 05/15/29    175,000    170,636 
5.000%, due 09/20/37    25,000    19,000 
6.350%, due 06/01/40    25,000    19,752 
DISH DBS Corp.           
5.125%, due 06/01/29    125,000    115,100 
5.250%, due 12/01/262    75,000    74,286 
5.750%, due 12/01/282    250,000    245,623 
7.375%, due 07/01/28    175,000    170,903 
7.750%, due 07/01/26    100,000    99,629 
DISH Network Corp.           
11.750%, due 11/15/272    275,000    283,882 
EchoStar Corp.           
10.750%, due 11/30/29    338,000    366,984 
6.75% Cash or 6.75% PIK,           
6.750%, due 11/30/307    232,425    235,822 
EW Scripps Co.           
9.875%, due 08/15/302    100,000    100,296 

 

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Media—(continued)
Gray Media, Inc.           
4.750%, due 10/15/302    175,000   $140,093 
5.375%, due 11/15/312    175,000    136,673 
7.250%, due 08/15/332    50,000    50,912 
9.625%, due 07/15/322    75,000    76,254 
Grupo Televisa SAB           
6.125%, due 01/31/46    300,000    229,575 
iHeartCommunications, Inc.           
4.750%, due 01/15/282    100,000    95,666 
7.000%, due 01/15/312    40,000    36,867 
7.750%, due 08/15/302    133,500    128,494 
9.125%, due 05/01/292    153,776    154,063 
10.875%, due 05/01/302    160,000    152,400 
McGraw-Hill Education, Inc.           
8.000%, due 08/01/292    125,000    125,043 
Midcontinent Communications           
8.000%, due 08/15/322    50,000    47,056 
News Corp.           
5.125%, due 02/15/322    50,000    49,148 
Nexstar Media, Inc.           
6.500%, due 09/15/332    150,000    151,154 
Paramount Global           
3.375%, due 02/15/28    50,000    48,534 
4.200%, due 06/01/29    75,000    72,257 
4.200%, due 05/19/32    25,000    21,847 
4.375%, due 03/15/43    50,000    31,885 
4.950%, due 01/15/31    375,000    353,741 
4.950%, due 05/19/50    125,000    78,506 
5.850%, due 09/01/43    100,000    73,407 
6.875%, due 04/30/36    100,000    93,025 
7.875%, due 07/30/30    25,000    26,603 
Rite Aid Corp.           
0.000%, due 08/30/344,5,12    5,396    1 
Scripps Escrow II, Inc.           
5.375%, due 01/15/312    75,000    57,666 
Sinclair Television Group, Inc.           
4.375%, due 12/31/322    50,000    38,537 
8.125%, due 02/15/332    75,000    77,668 
Sirius XM Radio LLC           
3.875%, due 09/01/312    350,000    316,838 
4.000%, due 07/15/282    50,000    48,555 
5.500%, due 07/01/292    150,000    148,918 
Summer BidCo BV           
Series PIYC,           
8.875%, due 01/31/312  EUR 100,000    118,551 

 

 

 

 

    

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Media—(continued)
Sunrise FinCo I BV           
4.625%, due 05/15/323    100,000   $116,176 
4.875%, due 07/15/312    200,000    192,144 
Univision Communications, Inc.           
4.500%, due 05/01/292    275,000    262,380 
7.375%, due 06/30/302    25,000    24,976 
9.375%, due 08/01/322    125,000    129,356 
UPCB Finance VII Ltd.           
3.625%, due 06/15/293  EUR 106,065    122,209 
Virgin Media O2 Vendor Financing Notes V DAC           
7.875%, due 03/15/322  GBP 100,000    121,199 
Virgin Media O2 Vendor Financing Notes VI DAC           
8.500%, due 03/15/332    200,000    179,510 
Virgin Media O2 Vendor Financing Notes VII DAC           
7.500%, due 07/15/332  EUR 100,000    106,832 
Virgin Media O2 Vendor Financing Notes VIII DAC           
8.875%, due 07/15/332  GBP 150,000    183,637 
VZ Vendor Financing II BV           
2.875%, due 01/15/293  EUR 100,000    109,817 
          10,090,727 
Metal fabricate/hardware—0.1%
Advanced Drainage Systems, Inc.           
5.375%, due 03/01/342    25,000    24,647 
Roller Bearing Co. of America, Inc.           
4.375%, due 10/15/292    125,000    122,223 
TMS International Corp.           
6.250%, due 04/15/292    50,000    48,801 
          195,671 
Mining—2.0%
Aris Mining Corp.           
8.000%, due 10/31/292    200,000    207,514 

  

 

 

    

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Mining—(continued)
Arsenal AIC Parent LLC           
8.000%, due 10/01/302    150,000   $156,816 
11.500%, due 10/01/312    50,000    54,091 
Capstone Copper Corp.           
6.750%, due 03/31/332    25,000    25,442 
Century Aluminum Co.           
6.875%, due 08/01/322    100,000    103,519 
Compass Minerals International, Inc.           
8.000%, due 07/01/302    50,000    52,194 
Constellium SE           
3.125%, due 07/15/292  EUR 100,000    114,034 
3.125%, due 07/15/293    100,000    114,034 
First Quantum Minerals Ltd.           
6.375%, due 02/15/362    300,000    294,570 
7.250%, due 02/15/342    200,000    206,188 
Fortescue Treasury Pty. Ltd.           
4.375%, due 04/01/312    84,000    80,265 
5.875%, due 04/15/302    75,000    76,526 
6.125%, due 04/15/322    150,000    155,022 
IAMGOLD Corp.           
5.750%, due 10/15/282    50,000    49,563 
Kaiser Aluminum Corp.           
4.500%, due 06/01/312    75,000    71,945 
5.875%, due 03/01/342    50,000    50,078 
Novelis Corp.           
3.875%, due 08/15/312    50,000    45,451 
4.750%, due 01/30/302    75,000    71,719 
6.375%, due 08/15/332    25,000    25,105 
6.875%, due 01/30/302    50,000    51,261 
Novelis Sheet Ingot GmbH           
3.375%, due 04/15/293  EUR 200,000    227,287 
PLS Group Ltd.           
6.875%, due 05/01/312    25,000    25,591 
Stillwater Mining Co.           
4.500%, due 11/16/293    200,000    190,625 
Taseko Mines Ltd.           
8.250%, due 05/01/302    50,000    52,342 
Vedanta Resources Finance II PLC           
9.125%, due 10/15/322    400,000    415,500 
WE Soda Investments Holding PLC           
9.500%, due 10/06/283    300,000    303,187 
          3,219,869 
Miscellaneous manufacturers—0.4%
Avient Corp.           
6.250%, due 11/01/312    50,000    50,726 
7.125%, due 08/01/302    75,000    76,386 

  

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Miscellaneous manufacturers—(continued)
Axon Enterprise, Inc.           
6.125%, due 03/15/302    125,000   $127,815 
6.250%, due 03/15/332    175,000    179,578 
Maxam Prill SARL           
6.000%, due 07/15/302  EUR 100,000    118,522 
Trinity Industries, Inc.           
7.750%, due 07/15/282    100,000    102,644 
          655,671 
Office & business equipment—0.1%
Xerox Holdings Corp.           
5.500%, due 08/15/282    50,000    24,000 
Zebra Technologies Corp.           
6.500%, due 06/01/322    175,000    178,404 
          202,404 
Oil & gas—9.2%
Aethon United BR LP/Aethon United Finance Corp.           
7.500%, due 10/01/292    50,000    52,235 
Ascent Resources Utica Holdings LLC/ARU Finance Corp.           
5.875%, due 06/30/292    25,000    25,032 
6.625%, due 10/15/322    50,000    51,308 
6.625%, due 07/15/332    25,000    25,685 
9.000%, due 11/01/272    150,000    172,125 
Azule Energy Finance PLC           
8.250%, due 01/22/312    300,000    309,375 
Borr IHC Ltd./Borr Finance LLC           
10.375%, due 11/15/302    180,583    189,539 
Breakwater Energy Holdings SARL           
9.250%, due 11/15/302    250,000    266,246 
California Resources Corp.           
7.000%, due 01/15/342    25,000    25,511 
8.250%, due 06/15/292    46,000    47,966 
Caturus Energy LLC           
7.125%, due 05/15/312    25,000    25,069 
Chord Energy Corp.           
6.000%, due 10/01/302    25,000    25,482 
CITGO Petroleum Corp.           
8.375%, due 01/15/292    150,000    154,360 
CNX Resources Corp.           
5.875%, due 03/01/342    50,000    49,599 
7.250%, due 03/01/322    25,000    26,046 
7.375%, due 01/15/312    25,000    25,769 

  

 

 

    

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Oil & gas—(continued)          
Comstock Resources, Inc.          
5.875%, due 01/15/302   100,000   $96,864 
6.750%, due 03/01/292   75,000    74,974 
6.750%, due 03/01/292   75,000    74,748 
Constellation Oil Services Holding SA          
9.375%, due 11/07/292   200,000    208,500 
Cosan Overseas Ltd.          
8.250%, due 08/05/263,8   400,000    387,188 
Crescent Energy Finance LLC          
7.375%, due 01/15/332   125,000    127,932 
7.625%, due 04/01/322   75,000    77,226 
7.875%, due 04/15/322   195,000    202,157 
9.750%, due 10/15/302   150,000    160,312 
CVR Energy, Inc.          
7.500%, due 02/15/312   100,000    101,272 
DBR Land Holdings LLC          
6.250%, due 12/01/302   25,000    25,594 
DNO ASA          
Series 1235,          
Steps to 15.750% on 06/17/31,          
10.750%, due 06/17/853   400,000    422,288 
Ecopetrol SA          
4.625%, due 11/02/ 31   250,000    224,650 
5.875%, due 05/28/45   500,000    384,325 
8.375%, due 01/19/36   200,000    207,340 
FORESEA Holding SA          
7.500%, due 06/15/303   200,000    197,750 
Global Marine, Inc.          
7.000%, due 06/01/28   152,000    152,625 
Gran Tierra Energy, Inc.          
9.750%, due 04/15/312   200,000    182,000 
Gulfport Energy Operating Corp.          
6.750%, due 09/01/292   25,000    25,648 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Oil & gas—(continued)
Hilcorp Energy I LP/Hilcorp Finance Co.           
5.750%, due 02/01/292    25,000   $24,984 
6.000%, due 04/15/302    100,000    99,604 
6.000%, due 02/01/312    125,000    123,537 
6.250%, due 11/01/282    100,000    100,529 
8.375%, due 11/01/332    25,000    26,733 
Infinity Natural Resources LLC           
7.625%, due 04/01/312    25,000    25,423 
Ithaca Energy North Sea PLC           
5.500%, due 10/01/312  EUR 200,000    237,414 
Kosmos Energy Ltd.           
8.750%, due 10/01/313    200,000    185,600 
Kraken Oil & Gas Partners LLC           
7.625%, due 08/15/292    200,000    203,789 
Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp.           
6.875%, due 12/01/322    100,000    103,468 
Matador Resources Co.           
6.000%, due 04/15/342    50,000    50,190 
6.250%, due 04/15/332    125,000    127,121 
6.500%, due 04/15/322    75,000    76,587 
MC Brazil Downstream Trading SARL           
7.250%, due 06/30/313    226,542    211,930 
Medco Cypress Tree Pte. Ltd.           
8.625%, due 05/19/302    250,000    260,625 
Moss Creek Resources Holdings, Inc.           
8.250%, due 09/01/312    125,000    126,545 
Murphy Oil Corp.           
6.000%, due 10/01/32    25,000    25,165 
6.500%, due 02/15/34    25,000    25,193 
Nabors Industries, Inc.           
7.625%, due 11/15/322    25,000    26,086 
8.875%, due 08/15/312    25,000    26,398 
9.125%, due 01/31/302    75,000    78,767 
Noble Finance II LLC           
8.000%, due 04/15/302    150,000    156,010 
Northern Oil & Gas, Inc.           
7.875%, due 10/15/332    50,000    51,820 
8.750%, due 06/15/312    250,000    261,057 

   

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Oil & gas—(continued)          
PBF Holding Co. LLC/PBF Finance Corp.          
6.000%, due 02/15/28   250,000   $249,783 
7.875%, due 09/15/302   25,000    25,628 
9.875%, due 03/15/302   25,000    26,863 
Petrobras Global Finance BV          
6.850%, due 06/05/15   350,000    332,150 
6.900%, due 03/19/49   250,000    247,975 
Petroleos Mexicanos          
5.950%, due 01/28/31   400,000    391,500 
6.500%, due 06/02/41   1,250,000    1,103,750 
6.625%, due 05/30/263,8   650,000    498,062 
6.700%, due 02/16/32   150,000    150,525 
6.750%, due 09/21/47   279,000    235,057 
7.690%, due 01/23/50   350,000    321,475 
10.000%, due 02/07/33   100,000    117,300 
Precision Drilling Corp.          
6.875%, due 01/15/292   100,000    100,903 
Raizen Fuels Finance SA          
6.950%, due 03/05/542   200,000    106,576 
Sanchez Energy Corp.          
0.000%, due 06/15/2110   475,000    48 
0.000%, due 01/15/2310,12   325,000    33 
SM Energy Co.          
6.625%, due 04/15/342   50,000    50,691 
6.750%, due 08/01/292   75,000    76,935 
7.000%, due 08/01/322   50,000    51,326 
8.625%, due 11/01/302   125,000    132,222 
8.750%, due 07/01/312   175,000    183,586 
9.625%, due 06/15/332   150,000    167,142 
Sunoco LP          
4.500%, due 10/01/292   150,000    146,999 
4.625%, due 05/01/302   100,000    97,254 
5.375%, due 07/15/312   25,000    24,883 
5.625%, due 03/15/312   50,000    50,186 
5.625%, due 07/15/342   25,000    24,664 
5.875%, due 07/15/272   75,000    74,998 
5.875%, due 03/15/342   75,000    74,731 
6.250%, due 07/01/332   100,000    102,202 
(fixed, converts to FRN on 09/18/30),          
7.875%, due 09/18/302,6,8   200,000    207,111 
Sunoco LP/Sunoco Finance Corp.          
4.500%, due 04/30/30   25,000    24,291 
7.000%, due 09/15/282   50,000    51,191 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

   

    Face        
    amount1     Value  
Corporate bonds—(continued)
Oil & gas—(continued)          
Talos Production, Inc.          
9.000%, due 02/01/292   75,000   $78,242 
9.375%, due 02/01/312   100,000    106,394 
Teine Energy Ltd.          
6.875%, due 04/15/292   100,000    100,030 
TGNR Intermediate Holdings LLC          
5.500%, due 10/15/292   75,000    73,979 
Transocean Aquila Ltd.          
8.000%, due 09/30/282   30,769    31,573 
Transocean International Ltd.          
6.800%, due 03/15/38   275,000    267,032 
7.500%, due 04/15/31   200,000    206,042 
8.250%, due 05/15/292   125,000    129,784 
8.500%, due 05/15/312   75,000    79,310 
8.750%, due 02/15/302   17,500    18,330 
Valaris Ltd.          
8.375%, due 04/30/302   150,000    156,415 
Vermilion Energy, Inc.          
6.875%, due 05/01/302   50,000    50,504 
7.250%, due 02/15/332   25,000    25,359 
YPF SA          
7.000%, due 12/15/472   300,000    270,450 
8.750%, due 09/11/312   200,000    211,720 
         14,692,519 
Oil & gas services—0.7%          
Archrock Services LP/Archrock Partners Finance Corp.          
6.000%, due 02/01/342   25,000    25,163 
Bristow Group, Inc.          
6.750%, due 02/01/332   75,000    76,319 
CHC Group LLC          
11.750%, due 09/01/302   100,000    90,362 
Enerflex, Inc.          
6.875%, due 01/15/312   50,000    51,510 
Helix Energy Solutions Group, Inc.          
9.750%, due 03/01/292   75,000    78,772 
Kodiak Gas Services LLC          
5.875%, due 04/01/312   75,000    75,545 
6.500%, due 10/01/332   25,000    25,573 
OHI Group SA          
13.000%, due 07/22/292   190,000    192,460 
SESI LLC          
7.875%, due 09/30/302   50,000    51,632 
Star Holding LLC          
8.750%, due 08/01/312   50,000    51,017 

  

 

 

   

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Oil & gas services—(continued)
USA Compression Partners LP/USA Compression Finance Corp.           
6.250%, due 10/01/332    75,000   $75,683 
7.125%, due 03/15/292    150,000    155,015 
WBI Operating LLC           
6.250%, due 10/15/302    25,000    25,348 
Weatherford International Ltd.           
6.750%, due 10/15/332    75,000    77,808 
          1,052,207 
Packaging & containers—1.7%
ARD Finance SA           
5.000% Cash or 5.750% PIK,           
5.000%, due 06/30/273,7  EUR 1    0 
6.500% Cash or 7.250% PIK,           
6.500%, due 06/30/272,7,10    1    0 
Ardagh Group SA           
9.500%, due 12/01/302    228,000    241,768 
4.500% Cash and 7.500% PIK,           
12.000%, due 12/01/302,7  EUR 300,000    314,027 
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC           
3.000%, due 09/01/293    100,000    110,180 
5.000%, due 01/30/312    100,000    117,072 
Ball Corp.           
3.125%, due 09/15/31    125,000    113,339 
4.250%, due 07/01/32  EUR 100,000    117,718 
5.500%, due 09/15/33    25,000    25,067 
Clydesdale Acquisition Holdings, Inc.           
6.625%, due 04/15/292    25,000    24,607 
6.750%, due 04/15/322    200,000    188,163 
6.875%, due 01/15/302    25,000    24,443 
8.750%, due 04/15/302    75,000    68,049 
Crown European Holdings SACA           
3.750%, due 09/30/312  EUR 100,000    115,647 
Mauser Packaging Solutions Holding Co.           
9.250%, due 04/15/302    75,000    71,480 
OI European Group BV           
4.750%, due 02/15/302    225,000    208,905 
6.250%, due 05/15/283  EUR 100,000    118,339 

   

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Packaging & containers—(continued)
Owens-Brockway Glass Container, Inc.           
6.625%, due 05/13/272    163,000   $163,166 
7.250%, due 05/15/312    150,000    143,350 
7.375%, due 06/01/322    25,000    23,621 
Silgan Holdings, Inc.           
4.250%, due 02/15/313  EUR 125,000    145,018 
4.250%, due 02/15/312    100,000    116,014 
TriMas Corp.           
4.125%, due 04/15/292    150,000    144,308 
Trivium Packaging Finance BV           
6.625%, due 07/15/302  EUR 100,000    120,350 
          2,714,631 
Pharmaceuticals—2.3%
1261229 BC Ltd.           
10.000%, due 04/15/322    400,000    413,111 
AbbVie, Inc.           
5.600%, due 03/15/55    25,000    24,442 
Accendra Health, Inc.           
4.500%, due 03/31/292    25,000    16,667 
6.625%, due 04/01/302    50,000    26,869 
Amneal Pharmaceuticals LLC           
6.875%, due 08/01/322    50,000    51,927 
Bausch Health Americas, Inc.           
8.500%, due 01/31/272    50,000    49,750 
Bausch Health Cos., Inc.           
4.875%, due 06/01/282    50,000    46,966 
5.000%, due 01/30/282    50,000    42,750 
5.250%, due 01/30/302    50,000    32,551 
5.250%, due 02/15/312    50,000    29,750 
7.000%, due 01/15/282    175,000    154,003 
7.250%, due 05/30/292    100,000    74,000 
11.000%, due 09/30/282    125,000    130,000 
14.000%, due 10/15/302    25,000    24,063 
BellRing Brands, Inc.           
7.000%, due 03/15/302    175,000    177,712 

  

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Pharmaceuticals—(continued)
CVS Health Corp.           
(fixed, converts to FRN on 12/10/34),           
6.750%, due 12/10/546    25,000   $25,901 
(fixed, converts to FRN on 03/10/30),           
7.000%, due 03/10/556    125,000    129,690 
Dolcetto Holdco SpA           
5.625%, due 07/14/322  EUR 200,000    234,568 
Endo Finance Holdings LP           
8.500%, due 04/15/312    25,000    26,501 
Grifols SA           
7.500%, due 05/01/303  EUR 325,000    396,104 
Gruenenthal GmbH           
4.625%, due 11/15/313    100,000    117,029 
HLF Financing SARL LLC/Herbalife International, Inc.           
4.875%, due 06/01/292    50,000    47,015 
Neopharmed Gentili SpA           
7.125%, due 04/08/303  EUR 175,000    211,637 
Nidda Healthcare Holding GmbH           
5.625%, due 02/21/303    200,000    236,337 
Organon & Co./Organon Foreign Debt Co-Issuer BV           
5.125%, due 04/30/312    200,000    198,729 
Rossini SARL           
6.750%, due 12/31/292  EUR 100,000    121,707 
Teva Pharmaceutical Finance Netherlands II BV           
4.125%, due 06/01/31    100,000    116,844 
4.375%, due 05/09/30    100,000    118,737 
7.875%, due 09/15/31    300,000    413,007 
          3,688,367 
Pipelines—4.3%
Antero Midstream Partners LP/Antero Midstream Finance Corp.           
5.375%, due 06/15/292    25,000    24,975 
5.750%, due 10/15/332    50,000    49,901 
5.750%, due 07/01/342    75,000    74,807 
6.625%, due 02/01/322    75,000    76,910 
Blue Racer Midstream LLC/Blue Racer Finance Corp.           
7.000%, due 07/15/292    50,000    51,786 
7.250%, due 07/15/322    25,000    26,151 

 

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Pipelines—(continued)
Buckeye Partners LP          
5.850%, due 11/15/43   50,000   $45,795 
6.750%, due 02/01/302   50,000    51,724 
6.875%, due 07/01/292   100,000    103,251 
CQP Holdco LP/BIP-V Chinook Holdco LLC          
5.500%, due 06/15/312   250,000    246,953 
Delek Logistics Partners LP/Delek Logistics Finance Corp.          
7.125%, due 06/01/282   75,000    74,991 
7.375%, due 06/30/332   50,000    51,602 
8.625%, due 03/15/292   200,000    208,671 
Energy Transfer LP          
(fixed, converts to FRN on 02/15/31),          
6.500%, due 02/15/566   100,000    100,270 
(fixed, converts to FRN on 02/15/36),          
6.750%, due 02/15/566   75,000    75,539 
(fixed, converts to FRN on 10/01/29),          
7.125%, due 10/01/546   75,000    77,005 
Excelerate Energy LP          
8.000%, due 05/15/302   125,000    132,561 
Genesis Energy LP/Genesis Energy Finance Corp.          
6.750%, due 03/15/34   25,000    25,180 
7.875%, due 05/15/32   175,000    183,467 
8.000%, due 05/15/33   125,000    131,593 
8.875%, due 04/15/30   50,000    52,385 
Global Partners LP/GLP Finance Corp.          
7.125%, due 07/01/332   75,000    76,863 
Golar LNG Ltd.          
7.500%, due 10/02/302   250,000    254,375 
Harvest Midstream I LP          
7.500%, due 09/01/282   200,000    201,318 
7.500%, due 05/15/322   75,000    78,086 
Hess Midstream Operations LP          
6.500%, due 06/01/292   50,000    51,229 
Howard Midstream Energy Partners LLC          
6.625%, due 01/15/342   75,000    76,297 
7.375%, due 07/15/322   125,000    130,345 
ITT Holdings LLC          
6.500%, due 08/01/292   25,000    24,645 

 

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Pipelines—(continued)
Kinetik Holdings LP          
5.875%, due 06/15/302   100,000   $100,338 
6.625%, due 12/15/282   25,000    25,502 
Martin Midstream Partners LP/Martin Midstream Finance Corp.          
11.500%, due 02/15/282   150,000    154,315 
New Fortress Energy, Inc.          
6.500%, due 09/30/262   50,000    9,250 
NFE Financing LLC          
12.000%, due 11/15/29*,2,10   125,000    56,250 
NGL Energy Operating LLC/NGL Energy Finance Corp.          
8.125%, due 02/15/292   175,000    181,401 
8.375%, due 02/15/322   100,000    104,959 
Northriver Midstream Finance LP          
6.750%, due 07/15/322   125,000    127,984 
NuStar Logistics LP          
5.625%, due 04/28/27   25,000    25,089 
6.375%, due 10/01/30   175,000    181,917 
ONEOK, Inc.          
5.050%, due 04/01/45   75,000    64,882 
5.450%, due 06/01/47   125,000    113,097 
5.600%, due 04/01/44   25,000    23,130 
Plains All American Pipeline LP          
Series B,          
3 mo. USD Term SOFR + 4.372%,          
8.024%, due 05/30/266,8   150,000    149,931 
Prairie Acquiror LP          
9.000%, due 08/01/292   75,000    78,320 
Rockies Express Pipeline LLC          
4.800%, due 05/15/302   50,000    48,722 
4.950%, due 07/15/292   50,000    49,316 
6.875%, due 04/15/402   100,000    100,988 
South Bow Canadian Infrastructure Holdings Ltd.          
(fixed, converts to FRN on 03/01/35),          
7.500%, due 03/01/556   50,000    52,862 
(fixed, converts to FRN on 03/01/30),          
7.625%, due 03/01/556   75,000    78,279 

   

 

 

   

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Pipelines—(continued)
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.          
6.000%, due 09/01/312   100,000   $100,548 
7.375%, due 02/15/292   75,000    77,267 
Targa Resources Corp.          
4.950%, due 04/15/52   50,000    42,064 
6.500%, due 02/15/53   50,000    51,759 
TransMontaigne  Partners LLC          
8.500%, due 06/15/302   50,000    51,747 
Transportadora de Gas del  Sur SA          
7.750%, due 11/20/352   300,000    309,153 
Venture Global Calcasieu Pass LLC          
4.125%, due 08/15/312   25,000    23,419 
6.000%, due 05/01/362   50,000    50,389 
6.250%, due 01/15/302   50,000    51,460 
Venture Global LNG, Inc.          
8.125%, due 06/01/282   125,000    127,903 
8.375%, due 06/01/312   25,000    26,066 
(fixed, converts to FRN  on 09/30/29),          
9.000%, due  09/30/292,6,8   100,000    98,904 
9.500%, due 02/01/292   275,000    300,126 
9.875%, due 02/01/322   175,000    187,750 
Venture Global Plaquemines LNG LLC          
6.125%, due 12/15/302   125,000    128,910 
6.500%, due 01/15/342   325,000    340,438 
6.500%, due 06/15/342   125,000    130,804 
6.750%, due 01/15/362   100,000    106,304 
7.500%, due 05/01/332   50,000    55,448 
Western Midstream Operating LP          
5.300%, due 03/01/48   50,000    42,523 
7.250%, due 04/01/302   50,000    52,708 
         6,840,897 
Real estate—2.8%          
Alpha Star Holding IX  Ltd.          
7.000%, due 08/26/283   400,000    397,000 
Anywhere Real Estate Group LLC/Anywhere Co-Issuer Corp.          
7.000%, due 04/15/302   244,400    244,515 

    

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Real estate—(continued)
Anywhere Real Estate Group LLC/Realogy Co-Issuer Corp.           
5.250%, due 04/15/302    50,000   $47,711 
5.750%, due 01/15/292    125,000    122,482 
9.750%, due 04/15/302    50,000    53,393 
Aroundtown Finance SARL           
(fixed, converts to FRN on 05/30/31),           
5.250%, due 04/30/313,6,8  EUR 150,000    166,647 
CPI Property Group SA           
(fixed, converts to FRN on 11/16/26),           
4.875%, due 08/18/263,6,8    200,000    224,167 
6.000%, due 01/27/323    200,000    229,214 
Five Point Operating Co. LP           
8.000%, due 10/01/302    75,000    76,906 
Heimstaden AB           
(fixed, converts to FRN on 01/15/27),           
6.750%, due 10/15/263,6,8  EUR 100,000    118,440 
7.361%, due 01/24/313    100,000    118,983 
Heimstaden Bostad AB           
(fixed, converts to FRN on 05/01/27),           
2.625%, due 02/01/273,6,8    475,000    543,381 
Howard Hughes Corp.           
4.125%, due 02/01/292    125,000    120,356 
5.875%, due 03/01/322    25,000    24,460 
6.125%, due 03/01/342    25,000    24,497 
IWG U.S. Finance LLC           
6.500%, due 06/28/303  EUR 100,000    126,152 

  

 

 

   

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Real estate—(continued)
Kennedy-Wilson, Inc.           
4.750%, due 03/01/29    50,000   $49,453 
4.750%, due 02/01/30    75,000    73,776 
Neinor Homes SA           
5.875%, due 02/15/302  EUR 100,000    120,217 
New Immo Holding SA           
4.875%, due 12/08/283    100,000    117,323 
NWD MTN Ltd.           
4.500%, due 05/19/303    250,000    199,247 
Omniyat Sukuk 1 Ltd.           
8.375%, due 05/06/283    200,000    194,802 
Pingan Real Estate Capital Ltd.           
3.450%, due 07/29/263    200,000    197,501 
Port of Spain Waterfront Development           
7.875%, due 02/19/402    280,000    286,356 
Ronshine China Holdings Ltd.           
8.100%, due 06/09/233,10    50,000    375 
Samhallsbyggnadsbolaget I Norden Holding AB           
2.250%, due 07/12/273  EUR 100,000    113,242 
2.375%, due 08/04/263    100,000    116,567 
5.000%, due 10/20/293    250,000    269,498 
Signa Development Finance SCS           
0.000%, due 07/23/263,10    100,000    16,443 
0.000%, due 07/23/262,10,11    200,000    32,886 
          4,425,990 
Real estate investment trusts—3.3%
Alexandrite Monnet U.K. Holdco PLC           
6.875%, due 05/31/312,9    100,000    117,256 
10.500%, due 05/15/293    225,000    278,027 

   

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Real estate investment trusts—(continued)
Arbor Realty SR, Inc.           
7.875%, due 07/15/302    75,000   $70,849 
8.500%, due 12/15/282    25,000    24,770 
Blackstone Mortgage Trust, Inc.           
3.750%, due 01/15/272    225,000    221,670 
Brandywine Operating Partnership LP           
6.125%, due 01/15/31    25,000    23,267 
CTR Partnership LP/CareTrust Capital Corp.           
3.875%, due 06/30/282    100,000    97,425 
Diversified Healthcare Trust           
7.250%, due 10/15/302    25,000    25,509 
Iron Mountain Information Management Services, Inc.           
5.000%, due 07/15/322    325,000    313,806 
Iron Mountain, Inc.           
4.500%, due 02/15/312    200,000    192,195 
4.750%, due 01/15/343  EUR 500,000    567,911 
4.875%, due 09/15/272    200,000    199,553 
4.875%, due 09/15/292    75,000    73,964 
5.000%, due 07/15/282    50,000    49,837 
5.250%, due 07/15/302    275,000    272,154 
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.           
4.250%, due 02/01/272    25,000    24,797 
7.000%, due 07/15/312    25,000    25,928 
Millrose Properties, Inc.           
6.250%, due 09/15/322    50,000    50,219 
6.375%, due 08/01/302    125,000    126,596 
MPT Operating Partnership LP/MPT Finance Corp.           
0.993%, due 10/15/26  EUR 200,000    228,982 
3.500%, due 03/15/31    250,000    179,194 
4.625%, due 08/01/29    25,000    20,687 
5.000%, due 10/15/27    150,000    146,249 
7.000%, due 02/15/323  EUR 100,000    118,528 
8.500%, due 02/15/322    125,000    129,862 

   

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Real estate investment trusts—(continued)          
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer          
4.875%, due 05/15/292   125,000   $121,593 
5.875%, due 10/01/282   50,000    49,880 
7.000%, due 02/01/302   50,000    51,047 
Pebblebrook Hotel LP/PEB Finance Corp.          
6.375%, due 10/15/292   100,000    101,619 
Prologis LP          
5.250%, due 06/15/53   50,000    46,595 
RHP Hotel Properties LP/RHP Finance Corp.          
4.500%, due 02/15/292   100,000    98,308 
5.750%, due 03/15/342   50,000    49,700 
6.500%, due 04/01/322   100,000    102,611 
6.500%, due 06/15/332   25,000    25,750 
Rithm Capital Corp.          
8.000%, due 04/01/292   75,000    75,345 
8.000%, due 07/15/302   125,000    125,091 
RLJ Lodging Trust LP          
4.000%, due 09/15/292   200,000    188,980 
Service Properties Trust          
4.375%, due 02/15/30   50,000    45,008 
4.950%, due 02/15/27   6,000    5,998 
4.950%, due 10/01/29   75,000    70,481 
Starwood Property Trust, Inc.          
6.000%, due 04/15/302   100,000    101,169 
6.500%, due 07/01/302   50,000    51,227 
6.500%, due 10/15/302   50,000    51,425 
Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC          
6.000%, due 01/15/302   150,000    144,938 
XHR LP          
4.875%, due 06/01/292   75,000    73,613 
6.625%, due 05/15/302   50,000    51,160 
         5,210,773 
Retail—3.0%          
1011778 BC ULC/New Red Finance, Inc.          
4.000%, due 10/15/302   500,000    475,679 
6.125%, due 06/15/292   75,000    76,323 
Advance Auto Parts, Inc.          
7.375%, due 08/01/332   125,000    128,979 
Asbury Automotive Group, Inc.          
4.500%, due 03/01/28   15,000    14,852 
4.625%, due 11/15/292   50,000    48,660 
5.000%, due 02/15/322   25,000    23,973 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Retail—(continued)
Bath & Body Works, Inc.           
6.625%, due 10/01/302    50,000   $50,672 
6.750%, due 07/01/36    150,000    145,875 
BCPE Flavor Debt Merger Sub LLC & BCPE Flavor Issuer, Inc.           
9.500%, due 07/01/322    75,000    65,416 
Carvana Co.           
9.000%, due 06/01/302    53,250    55,394 
9.000%, due 06/01/312    25,000    27,656 
CD&R Firefly Bidco PLC           
8.625%, due 04/30/293  GBP 100,000    140,124 
Dufry One BV           
4.750%, due 04/18/313  EUR 150,000    177,714 
Eroski S Coop           
5.750%, due 05/15/312    100,000    121,155 
Ferrellgas LP/Ferrellgas Finance Corp.           
5.875%, due 04/01/292    250,000    244,037 
9.250%, due 01/15/312    125,000    131,201 
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.           
6.750%, due 01/15/302    200,000    193,788 
FirstCash, Inc.           
4.625%, due 09/01/282    75,000    73,739 
5.625%, due 01/01/302    75,000    74,639 
6.875%, due 03/01/322    75,000    76,866 
Gap, Inc.           
3.625%, due 10/01/292    25,000    23,587 
3.875%, due 10/01/312    25,000    22,873 
Global Auto Holdings Ltd./AAG FH U.K. Ltd.           
8.750%, due 01/15/322    200,000    183,983 
LBM Acquisition LLC           
6.250%, due 01/15/292    100,000    69,300 
LCM Investments Holdings II LLC           
4.875%, due 05/01/292    200,000    195,810 
8.250%, due 08/01/312    75,000    78,568 
Lithia Motors, Inc.           
3.875%, due 06/01/292    100,000    95,840 
4.625%, due 12/15/272    150,000    149,291 
5.500%, due 10/01/302    25,000    24,868 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Retail—(continued)
Macy's Retail Holdings LLC           
4.500%, due 12/15/34    50,000   $43,634 
5.125%, due 01/15/42    150,000    113,419 
6.375%, due 03/15/37    75,000    68,820 
Men's Wearhouse LLC           
9.000%, due 02/01/312    25,000    26,457 
Michaels Cos., Inc.           
8.500%, due 03/15/332    100,000    98,755 
Murphy Oil USA, Inc.           
3.750%, due 02/15/312    25,000    23,351 
4.750%, due 09/15/29    50,000    49,482 
Park River Holdings, Inc.           
8.000%, due 03/15/312    50,000    50,274 
Punch Finance PLC           
7.875%, due 12/30/303  GBP 200,000    275,974 
QXO Building Products, Inc.           
6.750%, due 04/30/322    75,000    76,503 
Saks Global Enterprises LLC           
11.000%, due 12/15/292,10    134,100    1,006 
SGUS LLC           
11.000%, due 12/15/292,10    58,828    10,221 
Sonic Automotive, Inc.           
4.625%, due 11/15/292    50,000    48,914 
4.875%, due 11/15/312    25,000    24,037 
Staples, Inc.           
10.750%, due 09/01/292    100,000    95,585 
12.750%, due 01/15/302    69,659    52,304 
Suburban Propane Partners LP/Suburban Energy Finance Corp.           
5.000%, due 06/01/312    75,000    72,004 
Superior Plus LP/Superior General Partner, Inc.           
4.500%, due 03/15/292    50,000    48,483 
Takko Fashion GmbH           
10.250%, due 04/15/302  EUR 180,000    225,540 
Yum! Brands, Inc.           
5.375%, due 04/01/32    225,000    225,157 
          4,820,782 
Savings & loans—0.0%†
Washington Mutual, Inc.           
0.000%, due 09/21/174,10,11,12    500,000    75 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Semiconductors—0.7%
Amkor Technology, Inc.           
5.875%, due 10/01/332    50,000   $50,272 
ams-OSRAM AG           
10.500%, due 03/30/293  EUR 200,000    247,230 
BE Semiconductor Industries NV           
4.500%, due 07/15/312    125,000    149,595 
4.500%, due 07/15/313    100,000    119,676 
Entegris, Inc.           
5.950%, due 06/15/302    25,000    25,308 
MKS, Inc.           
4.250%, due 02/15/343  EUR 150,000    169,899 
ON Semiconductor Corp.           
3.875%, due 09/01/282    175,000    170,605 
Synaptics, Inc.           
4.000%, due 06/15/292    125,000    118,869 
          1,051,454 
Software—1.1%
AthenaHealth Group, Inc.           
6.500%, due 02/15/302    400,000    381,259 
Cloud Software Group, Inc.           
6.500%, due 03/31/292    325,000    316,438 
8.250%, due 06/30/322    25,000    23,751 
9.000%, due 09/30/292    100,000    98,188 
CoreWeave, Inc.           
9.000%, due 02/01/312    100,000    99,366 
9.250%, due 06/01/302    50,000    50,630 
9.750%, due 10/01/312    300,000    301,737 
OAK-Eagle Acquireco, Inc.           
7.250%, due 07/01/332    75,000    77,281 
8.750%, due 07/01/342    50,000    52,031 
Open Text Corp.           
3.875%, due 02/15/282    25,000    24,189 
3.875%, due 12/01/292    75,000    67,597 
Open Text Holdings, Inc.           
4.125%, due 02/15/302    50,000    45,012 
4.125%, due 12/01/312    50,000    42,694 
Playtika Holding Corp.           
4.250%, due 03/15/292    75,000    64,604 
SS&C Technologies, Inc.           
5.500%, due 09/30/272    50,000    49,956 
6.500%, due 06/01/322    50,000    50,592 
UKG, Inc.           
6.875%, due 02/01/312    75,000    72,999 
          1,818,324 

  

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Telecommunications—7.3%
Altice Financing SA           
3.000%, due 01/15/283  EUR 175,000   $152,190 
4.250%, due 08/15/293    100,000    87,438 
5.000%, due 01/15/282    200,000    147,168 
Altice France Lux 3/Altice Holdings 1           
10.000%, due 01/15/332    206,688    204,441 
Altice France SA           
4.750%, due 10/15/302  EUR 304,838    349,595 
6.500%, due 10/15/312    24,743    24,277 
6.500%, due 04/15/322    135,310    133,082 
6.875%, due 10/15/302    24,743    24,324 
6.875%, due 07/15/322    201,926    198,626 
9.500%, due 11/01/292    74,230    75,777 
APLD ComputeCo LLC           
9.250%, due 12/15/302    250,000    268,721 
AT&T, Inc.           
3.550%, due 09/15/55    50,000    32,196 
6.000%, due 04/30/56    200,000    192,918 
Axian Telecom Holding & Management PLC           
7.250%, due 07/11/302    200,000    201,290 
Black Pearl Compute LLC           
6.125%, due 02/15/312    100,000    101,459 
British Telecommunications PLC           
(fixed, converts to FRN on 12/03/30),           
6.375%, due 12/03/553,6  GBP 125,000    170,021 
C&W Senior Finance Ltd.           
9.000%, due 01/15/332    400,000    408,875 
Cipher Compute LLC           
7.125%, due 11/15/302    125,000    129,564 
Colombia Telecomunicaciones SA ESP           
4.950%, due 07/17/303    450,000    422,325 
Core Scientific Finance I LLC           
7.750%, due 05/15/312,9    25,000    24,938 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Telecommunications—(continued)
Digicel Group Holdings Ltd.           
Series 1B,           
0.000%, due 12/31/302,4,5,12    55,330   $2,767 
Series 3B,           
0.000%, due 12/31/302,4,5,12    45,961    460 
Digicel International Finance Ltd./Difl U.S. LLC           
8.625%, due 08/01/322    300,000    311,250 
eircom Finance DAC           
5.000%, due 04/30/313  EUR 175,000    206,688 
Embarq LLC           
7.995%, due 06/01/36    100,000    27,100 
Eutelsat Communications SACA           
6.250%, due 03/15/332  EUR 100,000    120,504 
Eutelsat SA           
1.500%, due 10/13/283    100,000    111,765 
Fibercop SpA           
5.250%, due 03/17/55    100,000    99,513 
6.000%, due 09/30/342    200,000    191,791
Flash Compute LLC         
7.250%, due 12/31/302    100,000    102,007 
Frontier Communications Holdings LLC           
5.875%, due 11/01/29    17,911    18,001 
6.000%, due 01/15/302    100,000    100,552 
Frontier North, Inc.         
Series G,         
6.730%, due 02/15/28    25,000    25,781 
Hughes Satellite Systems Corp.           
6.625%, due 08/01/26    25,000    17,750 
HUT 8 DC LLC           
6.192%, due 11/15/422    25,000    25,207 
Iliad Holding SAS           
5.375%, due 04/15/302  EUR 100,000    119,683 
Level 3 Financing, Inc.           
3.625%, due 01/15/292    75,000    71,250 
4.250%, due 07/01/282    75,000    72,938 
6.875%, due 06/30/332    25,000    25,801 
7.000%, due 03/31/342    125,000    129,653 
8.500%, due 01/15/362    75,000    80,326 
Liberty Costa Rica Senior Secured Finance           
10.875%, due 01/15/312    156,000    164,048 
Lorca Telecom Bondco SA           
5.750%, due 04/30/293  EUR 100,000    120,850 

  

 

 

  

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Telecommunications—(continued)
Lumen Technologies, Inc.           
4.500%, due 01/15/292    75,000   $72,000 
5.375%, due 06/15/292    50,000    47,985 
Series G,           
6.875%, due 01/15/28    25,000    25,368 
Meridian Arc Holdco LLC           
6.250%, due 04/30/312    275,000    274,937 
NJJ Continental SA           
3.875%, due 10/15/303  EUR 100,000    115,484 
Nokia of America Corp.           
6.450%, due 03/15/29    175,000    178,986 
Nokia OYJ           
6.625%, due 05/15/39    75,000    79,067 
Odido Holding BV           
3.750%, due 01/15/293  EUR 175,000    204,287 
PLT VII Finance SARL           
6.000%, due 06/15/313    225,000    270,006 
Rogers Communications, Inc.           
(fixed, converts to FRN on 04/15/30),           
7.000%, due 04/15/556    25,000    25,517 
(fixed, converts to FRN on 04/15/35),           
7.125%, due 04/15/556    25,000    25,790 
SoftBank Group Corp.           
3.875%, due 07/06/323  EUR 100,000    103,968 
5.750%, due 07/08/323    100,000    112,823 
6.375%, due 07/10/333    100,000    114,457 
SV RNO Property Owner 1 LLC           
5.875%, due 03/01/312    200,000    196,230 
TalkTalk Telecom Group Ltd.           
11.750%, due 03/01/282,7  GBP 41,908    1,640 
Telecom Argentina SA           
9.500%, due 07/18/313    390,000    415,970 
Telecommunications Co. Telekom Srbija AD Belgrade           
7.000%, due 10/28/292    300,000    301,092 
Telecommunications Services of Trinidad & Tobago Ltd.           
8.875%, due 10/18/293    400,000    405,728 
Telefonica Europe BV           
(fixed, converts to FRN on 05/03/30),           
6.135%, due 02/03/303,6,8  EUR 100,000    123,105 

   

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Telecommunications—(continued)
Telefonica Moviles Chile SA           
3.537%, due 11/18/313    200,000   $156,676 
3.537%, due 11/18/312    300,000    235,014 
Telesat Canada/Telesat LLC           
4.875%, due 06/01/272    50,000    41,250 
5.625%, due 12/06/262    125,000    106,875 
6.500%, due 10/15/272    75,000    45,000 
Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC           
4.750%, due 04/15/282    75,000    74,712 
6.500%, due 02/15/292    175,000    171,940 
8.625%, due 06/15/322    275,000    287,816 
Uniti Group, Inc.           
7.500%, due 12/01/27    25,000    30,083 
Veon Midco BV           
9.000%, due 07/15/292    200,000    207,000 
Viasat, Inc.           
6.500%, due 07/15/282    50,000    49,804 
7.500%, due 05/30/312    50,000    50,110 
Vmed O2 U.K. Financing I PLC           
4.000%, due 01/31/293   GBP 100,000    128,191 
4.250%, due 01/31/312    200,000    172,184 
4.750%, due 07/15/312    200,000    173,019 
Vodafone Group PLC           
(fixed, converts to FRN on 08/27/30),           
3.000%, due 08/27/803,6  EUR 100,000    111,157 
(fixed, converts to FRN on 04/04/29),           
7.000%, due 04/04/796    175,000    182,504 
Windstream Services LLC/Windstream Escrow Finance Corp.           
8.250%, due 10/01/312    300,000    317,309 
WULF Compute LLC           
7.750%, due 10/15/302    275,000    289,024 
Zayo Group Holdings, Inc.           
5.750% Cash and 0.500% PIK,           
9.250%, due 03/09/302,7    167,155    167,239 
7.125% Cash and 1.875% PIK,           
13.750%, due 09/09/302,7    45,800    45,159 
          11,631,416 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face        
    amount1     Value  
Corporate bonds—(continued)
Textiles—0.1%
Linx Capital Ltd.           
15.200%, due 03/31/262,4,5,10  EUR 555,920   $88,082 
Toys/Games/Hobbies—0.1%
Asmodee Group AB           
4.250%, due 12/15/312    100,000    115,894 
5.750%, due 12/15/293    53,333    64,945 
Mattel, Inc.           
5.450%, due 11/01/41    25,000    22,800 
          203,639 
Transportation—0.7%
Beacon Mobility Corp.           
7.250%, due 08/01/302    50,000    52,064 
Edge Finco PLC           
8.125%, due 08/15/312   GBP 200,000    279,416 
Genesee & Wyoming, Inc.           
6.250%, due 04/15/322    100,000    102,349 
Rand Parent LLC           
8.500%, due 02/15/302    50,000    51,937 
Seaspan Corp.           
5.500%, due 08/01/292    75,000    72,052 
Star Leasing Co. LLC           
7.625%, due 02/15/302    50,000    48,384 
Watco Cos. LLC/Watco Finance Corp.           
7.125%, due 08/01/322    125,000    129,819 
XPO, Inc.           
6.250%, due 06/01/282    50,000    50,631 
7.125%, due 06/01/312    50,000    51,757 
7.125%, due 02/01/322    50,000    52,141 
Yinson Bergenia Production BV           
8.498%, due 01/31/452    246,675    263,918 
          1,154,468 
Trucking & leasing—0.3%
FTAI Aviation Investors LLC           
5.500%, due 05/01/282    75,000    74,969 
5.875%, due 04/15/332    125,000    124,296 
7.000%, due 05/01/312    100,000    103,492 
7.000%, due 06/15/322    225,000    232,253 
7.875%, due 12/01/302    25,000    26,250 
          561,260 

 

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Water—0.2%
Holding d'Infrastructures des Metiers de  l'Environnement SAS          
4.875%, due 10/24/293  EUR300,000   $359,098 
Thames Water Super  Senior Issuer PLC          
9.750%, due 10/10/272  GBP20,679    30,675 
Thames Water Utilities  Ltd.          
0.000%, due  03/22/272,12   1,500    1,872 
         391,645 
Total corporate bonds          
(cost—$157,625,841)        154,546,561 
           
Loan assignments—0.5%
Apparel—0.0%†
Beach Acquisition  Bidco LLC          
3 mo. USD Term SOFR  + 3.250%,          
6.950%, due 09/12/326   49,875    50,031 
           
Building materials—0.1%
Quikrete Holdings, Inc.          
1 mo. USD Term SOFR  + 2.250%,          
5.902%, due 02/10/326   74,250    74,278 
           
Diversified financial services—0.1%
Mulhacen Pte. Ltd.          
6 mo. EURIBOR +  10.000%,          
10.000%, due 08/01/266  EUR150,851    68,458 
           
Electric—0.0%†
Lightning Power LLC          
1 mo. USD Term SOFR  + 2.250%,          
5.902%, due 08/18/316   49,250    49,417 
           
Entertainment—0.0%†
Allen Media LLC          
3 mo. USD Term SOFR  + 5.500%,          
9.350%, due 02/10/276   69,636    45,264 
           
Food—0.1%
Northeast Grocery, Inc.          
3 mo. USD Term SOFR  + 7.500%,          
11.152%, due 12/13/286   144,774    144,954 

  

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face
amount1
   Value 
Loan assignments—(continued)
Media—0.2%
Altice France SA          
3 mo. USD Term SOFR + 6.875%,          
10.548%, due 05/31/316   120,862   $123,000 
           
iHeartCommunications, Inc.          
1 mo. USD Term SOFR + 5.775%,          
9.542%, due 05/01/296   198,617    193,354 
         316,354 
Paper & forest products—0.0%†
Glatfelter Corp.          
3 mo. USD Term SOFR + 4.250%,          
7.923%, due 11/04/316   67,459    64,727 
           
Pharmaceuticals—0.0%†
Bausch Health Cos., Inc.          
1 mo. USD Term SOFR + 6.250%,          
9.902%, due 10/08/306   49,625    48,248 
Total loan assignments
(cost—$964,361)
        861,731 
           
Non-U.S. government agency obligations—0.0†%
Ukraine—0.0%†
Ukraine Government International Bonds Steps to 7.750% on 08/01/33,          
3.000%, due 02/01/343          
(cost—$96,638)   200,000    94,200 

 

    Number of
shares
       
Common stocks—0.8%
Aerospace & defense—0.0%
Evander Gold Mines Ltd.*,4,5   EUR 2,750       0  
                 
Capital markets—0.1%
Ardagh Holdings SA*,4     14,431       106,703  
                 
Chemicals—0.0%†
Cornerstone CS*,4,5     1,205       0  
SK Mohawk Holdings SCS*,4,5     548       4,384  
              4,384  

 

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Number of
shares
    Value  
Common stocks—(continued)
Commercial services & supplies—0.0%†
Intrum AB*   EUR 1,233     $ 4,616  
                 
Consumer finance—0.0%†
Curo Group Holdings LLC*,4     824       8,240  
                 
Containers & packaging—0.0%†
Ardagh Holdings SA*,4     10,614       66,868  
                 
Energy equipment & services—0.0%†
Nine Energy Service, Inc.*,4     6,975       66,332  
                 
Financial services—0.0%†
Iqera Group SAS*,4,5     421,500       0  
Mulhacen Pte. Ltd.*,4   EUR 291,077       5,124  
              5,124  
Gas utilities—0.0%†
Ferrellgas Partners LP*     1,620       41,007  
                 
Health care providers & services—0.0%†
Air Methods Corp.*,4,11     70       8,750  
                 
Hotels, restaurants & leisure—0.1%
Codere Group SA A1 Ordinary Shares*,4,11   EUR 2,541       104,379  
Codere Group SA A2 Ordinary Shares*,4,11     634       26,043  
              130,422  
IT services—0.2%
Carnelian Point Holdings LP4,5     140       1,500  
Carnelian Point Holdings LP*,4,5     9,478       101,509  
Carnelian Point Holdings LP*,4,5     14,851       159,054  
              262,063  
Leisure products—0.0%
Teide 10 SL*,4,5   EUR 5,444,137       0  
                 
Media—0.1%
SES SA*,4,13     5,083       75,610  

 

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Metals & mining—0.0%

Cloud Peak Energy, Inc.*,4,5

   66   $0 
           
Paper & forest products—0.0%†          

Hardwood Holdings LLC*,4

   936    936 
           
Pharmaceuticals—0.1%          

Keenova Therapeutics PLC*,4

   985    89,635 
Mallinckrodt PLC*,4   459    41,769 
Par Health, Inc.*,4,11   1,444    11,552 
         142,956 
Real estate management & development—0.0%          
ADLER Group SA*,4,5  EUR55,882    0 
           
Wireless telecommunication services—0.2%          
Luxco Co. Ltd.*,4   14,466    299,238 
Total common stocks
(cost—$1,751,848)
        1,223,249 
           
Investment companies—0.0%          
Endo GUC Trust4,5
(cost—$0)
   25,821    0 

 

   Number of
Warrants
     
Warrants—0.0%†
Air Methods Corp.*,4,5    389    0 
Air Methods Corp.*,4,5    184    0 
Audacy Capital Corp. expires 09/30/28*,4,5    23    0 
Audacy Capital Corp. expires 09/30/28*,4,5    137    0 
Audacy, Inc.*,4,13    113    339 

Curo Group Holdings LLC expires 08/01/28*,4,13

   1,440    990 
Linx Synthetic expires 12/31/49*,4,5   EUR2    14,365 

Total warrants
(cost—$12,255)

        15,694 

 

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Short-term investments—0.7%
Investment companies—0.7%

State Street Institutional U.S. Government Money Market Fund, 3.596%14
(cost—$1,070,510)

   1,070,510   $1,070,510 
Total investments—98.8%
(cost—$161,521,453)
        157,811,945 
Other assets in excess of liabilities—1.2%        1,904,844 
Net assets—100.0%       $159,716,789 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Forward foreign currency contracts

 

Counterparty     Sell       Purchase         Settlement
date
 
    Unrealized
appreciation
(depreciation)
 
 
SSB   EUR 200,000       GBP 174,689       05/08/26     $ 2,945  
SSB   EUR 25,239,220       USD 29,155,404       05/08/26       (470,752 )
SSB   GBP 2,326,029       USD 3,074,438       05/08/26       (90,695 )
SSB   SEK 44,265       USD 4,686       05/08/26       (110 )
SSB   USD 130,000       EUR 110,882       05/08/26       155  
SSB   USD 253,159       GBP 187,959       05/08/26       2,606  
Net unrealized appreciation (depreciation)                     $ (555,851 )

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description     Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
 
    Other significant
observable inputs
(Level 2)
 
    Unobservable
inputs
(Level 3)
 
    Total    
Assets                        
Corporate bonds   $     $ 154,451,121     $ 95,440     $ 154,546,561  
Loan assignments           861,731             861,731  
Non-U.S. government agency obligations           94,200             94,200  
Common stocks     411,193       545,609       266,447       1,223,249  
Investment companies                 0       0  
Warrants           1,329       14,365       15,694  
Short-term investments     1,070,510                   1,070,510  
Forward foreign currency contracts           5,706             5,706  
Total   $ 1,481,703     $ 155,959,696     $ 376,252     $ 157,817,651  

 

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Description     Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
 
    Other significant
observable inputs
(Level 2)
 
    Unobservable
inputs
(Level 3)
 
    Total    
Liabilities                                
Forward foreign currency contracts   $     $ (561,557 )   $     $ (561,557 )
Total   $     $ (561,557 )   $     $ (561,557 )

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Portfolio.

 

 

Portfolio footnotes

 

 Amount represents less than 0.05% or (0.05)%.

* Non–income producing security.
1 In U.S. dollars unless otherwise indicated.
2 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $106,129,671, represented 66.4% of the Portfolio's net assets at period end.
3 Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
4 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
5 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
6 Floating or variable rate securities. The rates disclosed are as of April 30, 2026. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
7 Payment–in–kind security for which interest may be paid in cash or additional principal, at the discretion of the issuer.
8 Perpetual investment. Date shown reflects the next call date.
9 Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
10 Bond interest in default.
11 This security is considered restricted. At period end, the value of restricted security was $259,528, represented 0.2% of the Fund’s net assets. The table below provides further information:

 

 

 

 

PACE High Yield Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Restricted security     Acquisition
date
 
  Acquisition
cost
 
    Acquisition cost
as a percentage
of net asset
 
    Value at
04/30/26
 
    Value as a
percentage of
net assets
 
 
Air Methods Corp.   01/04/24   $ 1,706       0.0 %   $ 8,750       0.0 %
Cloud Peak Energy Resources LLC/Cloud Peak Energy Finance Corp.   12/18/19     550,000       0.3       4,125       0.0  
Codere Group SA A1 Ordinary Shares   11/18/24     67,279       0.1       104,379       0.1  
Codere Group SA A2 Ordinary Shares   11/18/24     16,787       0.0       26,043       0.0  
Credito Real SAB de CV SOFOM ER   06/25/20           0.0       37,104       0.0  
Galapagos SA   06/15/21     34,145       0.0       161       0.0  
Hertz Corp.   07/02/21           0.0       5       0.0  
Iqera Group SAS   09/24/20     92,435       0.1       34,448       0.0  
Par Health, Inc.   11/16/23     10,481       0.0       11,552       0.0  
Signa Development Finance SCS   07/23/26     235,806       0.1       32,886       0.0  
Washington Mutual, Inc.   09/21/17           0.0       75       0.0  

 

12 Zero coupon bond.
13 Transferred from Level 3 to 2 due to utilizing significant observable inputs. As of prior reporting period, the security utilized significant unobservable inputs.
14 Rate shown reflects yield at April 30, 2026.

 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—96.0%          
Aerospace & defense—1.5%          
Boeing Co.*   6,797   $1,556,717 
General Dynamics Corp.   3,272    1,126,549 
L3Harris Technologies, Inc.   27,709    8,882,120 
         11,565,386 
Air freight & logistics—0.4%          
FedEx Corp.   8,110    3,270,844 
           
Automobile components—0.7%          
Aptiv PLC*   28,075    1,691,799 
BorgWarner, Inc.   14,813    843,897 
Magna International, Inc.   52,100    3,317,207 
         5,852,903 
Automobiles—0.4%          
General Motors Co.   46,040    3,540,016 
           
Banks—7.1%          
Bank of America Corp.   31,489    1,683,402 
Citigroup, Inc.   151,677    19,411,622 
Citizens Financial Group, Inc.   11,929    775,981 
First Citizens BancShares, Inc., Class A1   1,029    2,041,351 
Huntington Bancshares, Inc.   756,160    12,673,242 
M&T Bank Corp.   49,022    10,717,680 
Truist Financial Corp.   38,600    1,987,900 
U.S. Bancorp   60,372    3,420,678 
Wells Fargo & Co.   34,640    2,848,447 
         55,560,303 
Beverages—2.8%          
Constellation Brands, Inc., Class A   10,600    1,659,748 
Diageo PLC   344,244    6,890,604 
Keurig Dr. Pepper, Inc.   459,924    13,521,766 
         22,072,118 
Biotechnology—1.3%          
Gilead Sciences, Inc.   77,846    10,185,371 
           
Capital markets—8.0%          
Bank of New York Mellon Corp.   118,622    15,939,238 
Charles Schwab Corp.   149,233    13,675,712 
Nasdaq, Inc.   130,412    11,986,167 
Raymond James Financial, Inc.   68,856    10,901,282 
State Street Corp.   13,405    2,048,820 
TPG, Inc.   193,667    8,447,755 
         62,998,974 
Chemicals—3.2%          
Axalta Coating Systems Ltd.*   453,887    12,908,546 
Olin Corp.   47,500    1,352,800 
PPG Industries, Inc.   100,750    10,931,375 
         25,192,721 
Communications equipment—2.5%          
Cisco Systems, Inc.   96,005    8,784,458 
F5, Inc.*   17,500    5,668,250 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Communications equipment—(continued)          
Telefonaktiebolaget LM Ericsson, ADR   413,361   $4,881,793 
         19,334,501 
Construction & engineering—0.1%          
Fluor Corp.*   11,827    630,970 
           
Construction materials—1.5%          
Heidelberg Materials AG   52,851    11,683,079 
           
Consumer finance—1.7%          
American Express Co.   40,220    12,993,071 
           
Distributors—0.1%          
Genuine Parts Co.   10,400    1,115,192 
           
Diversified telecommunication services—0.5%          
Comcast Corp., Class A   149,099    4,031,637 
           
Electric utilities—1.2%          
American Electric Power Co., Inc.   63,088    8,649,996 
PPL Corp.   20,060    751,046 
         9,401,042 
Electrical equipment—1.1%          
Eaton Corp. PLC   20,412    8,838,600 
           
Electronic equipment, instruments & components—1.7%          
CDW Corp.   9,900    1,355,409 
TE Connectivity PLC   55,813    11,813,380 
         13,168,789 
Energy equipment & services—0.5%          
NOV, Inc.   70,100    1,434,246 
SLB Ltd.   38,997    2,218,149 
         3,652,395 
Entertainment—1.1%          
Universal Music Group NV1   410,137    8,575,378 
           
Financial services—2.2%          
Berkshire Hathaway, Inc., Class B*   25,779    12,208,934 
Corebridge Financial, Inc.   63,163    1,739,509 
Fidelity National Information Services, Inc.   18,377    855,082 
Fiserv, Inc.*   44,000    2,756,600 
         17,560,125 
Food products—1.7%          
Archer-Daniels-Midland Co.   102,155    7,614,634 
Conagra Brands, Inc.   35,000    502,250 
J.M. Smucker Co.   14,100    1,382,223 
Kraft Heinz Co.1   89,200    2,021,272 
Mondelez International, Inc., Class A   28,700    1,763,328 
         13,283,707 
Ground transportation—0.2%          
Norfolk Southern Corp.   4,200    1,326,486 
           
Health care equipment & supplies—1.0%          
GE HealthCare Technologies, Inc.   62,563    3,806,333 
Medtronic PLC   29,337    2,375,417 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Health care equipment & supplies—(continued)          
Zimmer Biomet Holdings, Inc.   18,138   $1,495,115 
         7,676,865 
Health care providers & services—7.0%          
Centene Corp.*   15,500    832,195 
Cigna Group   2,497    725,578 
CVS Health Corp.   15,714    1,308,819 
Elevance Health, Inc.   90,315    33,996,372 
Henry Schein, Inc.*   146,998    10,964,581 
Humana, Inc.   8,921    2,109,281 
Labcorp Holdings, Inc.   5,906    1,516,661 
UnitedHealth Group, Inc.   8,500    3,149,080 
         54,602,567 
Hotels, restaurants & leisure—1.6%          
Aramark   273,240    12,484,336 
           
Insurance—6.4%          
American International Group, Inc.   170,092    12,722,882 
Hartford Insurance Group, Inc.   6,710    917,995 
Marsh & McLennan Cos., Inc.   143,338    24,039,216 
Progressive Corp.   61,600    12,398,848 
         50,078,941 
Interactive media & services—3.8%          
Alphabet, Inc., Class A   49,232    18,944,474 
Meta Platforms, Inc., Class A   18,285    11,188,774 
         30,133,248 
IT services—0.2%          
Cognizant Technology Solutions Corp., Class A   25,752    1,362,281 
           
Life sciences tools & services—1.4%          
IQVIA Holdings, Inc.*   68,706    10,880,969 
           
Machinery—3.6%          
CNH Industrial NV   231,845    2,483,060 
Cummins, Inc.   1,793    1,203,121 
Deere & Co.   2,100    1,238,727 
Fortive Corp.   27,800    1,662,162 
PACCAR, Inc.   80,006    9,504,713 
Snap-on, Inc.   27,131    10,402,025 
Stanley Black & Decker, Inc.   12,300    961,368 
Timken Co.   5,486    608,343 
         28,063,519 
Media—0.5%          
Omnicom Group, Inc.   31,900    2,447,368 
WPP PLC, ADR1   69,100    1,250,019 
         3,697,387 
Metals & mining—1.1%          
Anglo American PLC   184,378    8,998,253 
           
Multi-utilities—2.6%          
Dominion Energy, Inc.   192,486    12,415,347 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Multi-utilities—(continued)          
Sempra   84,215   $8,010,531 
         20,425,878 
Oil, gas & consumable fuels—5.1%          
APA Corp.   164,800    6,712,304 
ConocoPhillips   8,823    1,109,757 
Diamondback Energy, Inc.   54,991    11,307,799 
EQT Corp.   118,946    7,146,276 
Ovintiv, Inc.   46,820    2,881,771 
Shell PLC   159,977    7,240,325 
Shell PLC, ADR   35,862    3,251,607 
         39,649,839 
Personal care products—1.9%          
Unilever PLC, ADR1   251,379    14,826,333 
           
Pharmaceuticals—1.9%          
GSK PLC, ADR1   15,864    829,846 
Merck & Co., Inc.   126,764    13,840,093 
         14,669,939 
Professional services—0.9%          
Automatic Data Processing, Inc.   31,731    6,725,068 
Leidos Holdings, Inc.   1,300    193,986 
         6,919,054 
Semiconductors & semiconductor equipment—3.1%          
Broadcom, Inc.   28,823    12,031,585 
NXP Semiconductors NV   42,629    12,515,448 
         24,547,033 
Software—2.7%          
Microsoft Corp.   21,806    8,892,051 
Salesforce, Inc.   20,700    3,654,171 
SAP SE, ADR   7,200    1,220,328 
Workday, Inc., Class A*   58,200    7,123,680 
         20,890,230 
Specialized REITs—3.4%          
Crown Castle, Inc.   147,478    13,093,097 
Gaming & Leisure Properties, Inc.   274,394    13,297,133 
         26,390,230 
Specialty retail—1.3%          
Dick's Sporting Goods, Inc.   42,619    9,671,103 
Lithia Motors, Inc.   2,200    638,264 
         10,309,367 
Technology hardware, storage & peripherals—2.1%          
Samsung Electronics Co. Ltd.   112,122    16,668,623 
           
Trading companies & distributors—1.5%          
Ferguson Enterprises, Inc.   43,335    11,601,213 
           
Wireless telecommunication services—1.4%          
T-Mobile U.S., Inc.   57,876    11,314,758 
Total common stocks
(cost—$614,007,581)
        752,024,471 

 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Short term investments—4.1%          
Investment companies—4.1%          
State Street Institutional U.S. Government Money Market Fund, 3.596%2
(cost—$31,904,266)
   31,904,266   $31,904,266 
           
Investment of cash collateral from securities loaned—1.9%          
Money market funds—1.9%          
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%2
(cost—$15,448,647)
   15,448,647    15,448,647 
Total Investments102.0%
(cost—$661,360,494)3
        799,377,384 
Liabilities in excess of other assets—(2.0)%        (15,796,948)
Net Assets—100.0%       $783,580,436 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description

 

Unadjusted
quoted prices in
active market for
identical investments
(Level 1)

  

Other significant
observable inputs
(Level 2)

  

Unobservable
inputs
(Level 3)

  

Total

 
Assets                    
Common stocks  $752,024,471   $   $   $752,024,471 
Short-term investments   31,904,266            31,904,266 
Investment of cash collateral from securities loaned   15,448,647            15,448,647 
Total  $799,377,384   $   $   $799,377,384 

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

* Non–income producing security.
1 Security, or portion thereof, was on loan at the period end.
2 Rate shown reflects yield at April 30, 2026.
3 Includes $15,207,483 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $15,448,647 and non-cash collateral of $1,074,558.

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—95.5%          
Aerospace & defense—2.0%          
General Electric Co.   23,130   $6,706,081 
Rocket Lab Corp.*   19,445    1,604,407 
RTX Corp.   31,429    5,533,704 
         13,844,192 
Automobiles—2.1%          
Tesla, Inc.*   38,153    14,560,329 
           
Beverages—1.7%          
Coca-Cola Co.   94,608    7,451,326 
Monster Beverage Corp.*   56,943    4,388,597 
         11,839,923 
Biotechnology—3.8%          
Alnylam Pharmaceuticals, Inc.*   9,154    2,833,072 
Amgen, Inc.   11,854    4,104,448 
Gilead Sciences, Inc.   55,910    7,315,264 
Insmed, Inc.*   46,771    6,376,290 
Natera, Inc.*   27,982    5,768,769 
         26,397,843 
Broadline retail—4.3%          
Alibaba Group Holding Ltd., ADR1   32,398    4,272,648 
Amazon.com, Inc.*   92,423    24,497,640 
MercadoLibre, Inc.*   311    557,508 
Sea Ltd., ADR*   462    39,215 
         29,367,011 
Building products—0.2%          
Trane Technologies PLC   2,468    1,215,589 
           
Capital markets—3.2%          
Charles Schwab Corp.   58,236    5,336,747 
CME Group, Inc.   1,526    439,213 
Goldman Sachs Group, Inc.   11,401    10,531,902 
Intercontinental Exchange, Inc.   5,762    910,915 
MSCI, Inc.   8,544    5,053,007 
         22,271,784 
Commercial services & supplies—0.2%          
Rollins, Inc.   23,532    1,311,438 
           
Communications equipment—1.6%          
Ciena Corp.*   14,919    7,870,966 
Lumentum Holdings, Inc.*   3,802    3,430,621 
         11,301,587 
Construction & engineering—0.7%          
Quanta Services, Inc.   7,045    5,127,140 
           
Consumer staples distribution & retail—1.7%          
Dollar General Corp.   12,277    1,422,659 
Kroger Co.   6,531    444,565 
Walmart, Inc.   73,852    9,743,294 
         11,610,518 
Diversified telecommunication services—0.4%          
AT&T, Inc.   47,191    1,233,101 

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Diversified telecommunication services—(continued)          
Verizon Communications, Inc.   25,259   $1,213,189 
         2,446,290 
Electric utilities—0.4%          
American Electric Power Co., Inc.   6,096    835,822 
Duke Energy Corp.   3,412    442,025 
Exelon Corp.   11,415    524,976 
NextEra Energy, Inc.   5,759    563,691 
Xcel Energy, Inc.   5,201    431,423 
         2,797,937 
Electrical equipment—2.0%          
Bloom Energy Corp., Class A*   642    181,917 
GE Vernova, Inc.   12,179    13,195,459 
Vertiv Holdings Co., Class A   1,103    362,325 
         13,739,701 
Electronic equipment, instruments & components—1.2%          
Amphenol Corp., Class A   31,952    4,705,571 
Celestica, Inc.*   8,374    3,429,907 
         8,135,478 
Entertainment—0.4%          
Netflix, Inc.*   25,105    2,350,079 
ROBLOX Corp., Class A*   731    40,395 
         2,390,474 
Financial services—4.1%          
Berkshire Hathaway, Inc., Class B*   10,813    5,121,037 
Mastercard, Inc., Class A   31,287    15,734,858 
Visa, Inc., Class A   22,511    7,425,028 
         28,280,923 
Gas utilities—0.1%          
Atmos Energy Corp.   1,864    354,123 
           
Ground transportation—0.9%          
Uber Technologies, Inc.*   32,255    2,406,546 
Union Pacific Corp.   13,549    3,651,184 
         6,057,730 
Health care equipment & supplies—1.5%          
Abbott Laboratories   34,706    3,150,958 
IDEXX Laboratories, Inc.*   6,720    3,768,576 
Intuitive Surgical, Inc.*   7,749    3,546,020 
         10,465,554 
Health care providers & services—0.9%          
Cigna Group   3,150    915,327 
Hims & Hers Health, Inc.*,1   5,972    162,259 
McKesson Corp.   6,013    4,901,798 
         5,979,384 
Hotels, restaurants & leisure—2.1%          
Airbnb, Inc., Class A*   22,175    3,112,483 
Booking Holdings, Inc.   6,875    1,157,475 
Chipotle Mexican Grill, Inc.*   14,743    501,115 
DoorDash, Inc., Class A*   1,130    190,574 

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Hotels, restaurants & leisure—(continued)          
McDonald's Corp.   16,252   $4,771,425 
Starbucks Corp.   46,221    4,868,458 
         14,601,530 
Household durables—0.1%          
DR Horton, Inc.   5,352    823,459 
           
Household products—0.4%          
Procter & Gamble Co.   18,742    2,756,761 
           
Independent power and renewable electricity producers—0.2%          
Vistra Corp.   9,024    1,424,348 
           
Industrial conglomerates—0.7%          
3M Co.   33,862    4,961,460 
           
Insurance—0.9%          
Allstate Corp.   3,612    784,743 
American International Group, Inc.   498    37,251 
Aon PLC, Class A   11,357    3,539,409 
Cincinnati Financial Corp.   2,710    443,356 
Old Republic International Corp.   7,779    310,771 
Progressive Corp.   3,822    769,292 
RenaissanceRe Holdings Ltd.   1,128    346,262 
         6,231,084 
Interactive media & services—9.4%          
Alphabet, Inc., Class C   122,704    46,865,566 
Meta Platforms, Inc., Class A   29,568    18,092,955 
         64,958,521 
IT services—2.1%          
Accenture PLC, Class A   13,741    2,455,654 
Cloudflare, Inc., Class A*   294    60,261 
International Business Machines Corp.   12,630    2,917,277 
Shopify, Inc., Class A*   59,989    7,266,468 
Snowflake, Inc.*   4,091    558,299 
Twilio, Inc., Class A*   8,985    1,330,319 
         14,588,278 
Machinery—0.5%          
Deere & Co.   6,216    3,666,632 
           
Metals & mining—0.4%          
Freeport-McMoRan, Inc.   51,969    3,002,769 
           
Multi-utilities—0.1%          
CenterPoint Energy, Inc.   10,078    439,905 
           
Oil, gas & consumable fuels—1.7%          
BP PLC, ADR   9,488    449,541 
Cheniere Energy, Inc.   2,009    552,374 
Chevron Corp.   2,928    566,012 
Devon Energy Corp.   11,021    566,149 
Diamondback Energy, Inc.   2,283    469,453 
Enbridge, Inc.   9,471    524,883 
Exxon Mobil Corp.   48,345    7,461,084 
Occidental Petroleum Corp.   12,539    759,613 
         11,349,109 

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Pharmaceuticals—6.0%          
Bristol-Myers Squibb Co.   39,741   $2,407,907 
Eli Lilly & Co.   18,899    17,663,006 
Johnson & Johnson   44,798    10,296,820 
Merck & Co., Inc.   49,046    5,354,842 
Novartis AG, ADR1   5,164    763,497 
Zoetis, Inc.   39,869    4,583,739 
         41,069,811 
Real estate management & development—0.6%          
CoStar Group, Inc.*   120,925    4,185,214 
           
Semiconductors & semiconductor equipment—20.2%          
Advanced Micro Devices, Inc.*   26,506    9,396,112 
Analog Devices, Inc.   9,395    3,779,233 
Broadcom, Inc.   75,402    31,475,057 
Lam Research Corp.   41,398    10,674,888 
NVIDIA Corp.   345,757    69,002,724 
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   18,861    7,470,088 
Texas Instruments, Inc.   26,793    7,530,976 
         139,329,078 
Software—8.3%          
Adobe, Inc.*   437    107,546 
AppLovin Corp., Class A*   553    246,831 
Atlassian Corp., Class A*   1,019    69,893 
Autodesk, Inc.*   332    78,684 
Crowdstrike Holdings, Inc., Class A*   1,012    451,099 
Intuit, Inc.   2,230    866,355 
Microsoft Corp.   89,801    36,619,052 
Oracle Corp.   48,738    7,865,826 
Palantir Technologies, Inc., Class A*   3,713    516,515 
Salesforce, Inc.   2,418    426,849 
ServiceNow, Inc.*   73,047    6,450,781 
Synopsys, Inc.*   6,898    3,328,975 
Workday, Inc., Class A*   1,350    165,240 
         57,193,646 
Specialty retail—0.2%          
AutoZone, Inc.*   183    677,837 
Carvana Co.*   1,486    588,159 
Wayfair, Inc., Class A*   5,371    343,368 
         1,609,364 
Technology hardware, storage & peripherals—6.8%          
Apple, Inc.   146,215    39,675,440 
Western Digital Corp.   16,751    7,278,645 
         46,954,085 
Tobacco—1.3%          
Altria Group, Inc.   13,721    996,831 
Philip Morris International, Inc.   47,334    7,813,423 
         8,810,254 

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Water utilities—0.1%          
American Water Works Co., Inc.   5,271   $676,902 
Total common stocks
(cost—$508,343,576)
        658,127,158 
           
Exchange traded funds—1.3%
State Street SPDR S&P 500 ETF Trust
(cost—$8,797,369)
   12,496    8,980,375 
           
Short term investments—2.9%
Investment companies—2.9%
State Street Institutional U.S. Government Money Market Fund, 3.596%2
(cost—$20,144,294)
  $20,144,294    20,144,294 
           
Investment of cash collateral from securities loaned—0.6%          
Money market funds—0.6%          
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%2
(cost—$4,075,666)
  4,075,666   4,075,666 
Total Investments—100.3%
(cost—$541,360,905)3
        691,327,493 
Liabilities in excess of other assets—(0.3)%        (2,206,521)
Net Assets—100.0%       $689,120,972 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $658,127,158   $   $   $658,127,158 
Exchange traded funds   8,980,375            8,980,375 
Short-term investments   20,144,294            20,144,294 
Investment of cash collateral from securities loaned   4,075,666            4,075,666 
Total  $691,327,493   $   $   $691,327,493 

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

* Non–income producing security.
1 Security, or portion thereof, was on loan at the period end.
2 Rate shown reflects yield at April 30, 2026.
3 Includes $4,888,928 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $4,075,666 and non-cash collateral of $842,799.

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—99.3%          
Aerospace & defense—1.1%          
Textron, Inc.   20,600   $1,976,776 
V2X, Inc.*   14,700    996,807 
         2,973,583 
Air freight & logistics—0.7%          
CH Robinson Worldwide, Inc.   9,775    1,777,193 
           
Automobile components—1.6%          
Gentex Corp.   62,095    1,435,016 
LCI Industries   13,610    1,622,584 
Visteon Corp.   9,400    1,050,074 
         4,107,674 
Automobiles—0.7%          
Thor Industries, Inc.1   24,918    1,969,519 
           
Banks—5.9%          
Banc of California, Inc.   62,589    1,172,292 
Bank of Hawaii Corp.   18,786    1,493,675 
BOK Financial Corp.   6,950    929,841 
Columbia Banking System, Inc.   70,375    2,083,100 
Commerce Bancshares, Inc.   33,650    1,750,810 
First Financial Bankshares, Inc.   28,587    922,502 
First Horizon Corp.   55,900    1,395,264 
First Interstate BancSystem, Inc., Class A1   35,400    1,256,346 
Glacier Bancorp, Inc.1   30,045    1,473,707 
Southstate Bank Corp.   17,070    1,667,227 
Western Alliance Bancorp   18,660    1,521,536 
         15,666,300 
Beverages—0.4%          
National Beverage Corp.*   28,383    971,266 
           
Biotechnology—0.3%          
United Therapeutics Corp.*   1,260    719,901 
           
Building products—2.2%          
Armstrong World Industries, Inc.   10,018    1,706,967 
Builders FirstSource, Inc.*   11,087    876,871 
Owens Corning   9,594    1,183,324 
Zurn Elkay Water Solutions Corp.   40,444    2,101,470 
         5,868,632 
Capital markets—2.7%          
Artisan Partners Asset Management, Inc., Class A   30,200    1,130,688 
Houlihan Lokey, Inc.   8,809    1,363,193 
Invesco Ltd.   50,321    1,318,913 
LPL Financial Holdings, Inc.   5,871    1,961,677 
Virtus Investment Partners, Inc.   8,750    1,273,563 
         7,048,034 
Chemicals—2.8%          
Element Solutions, Inc.   33,000    1,405,470 
HB Fuller Co.   25,439    1,539,569 
Ingevity Corp.*   15,700    1,196,183 
Mosaic Co.   43,475    1,011,663 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Chemicals—(continued)          
Olin Corp.   40,638   $1,157,370 
Solstice Advanced Materials, Inc.   13,800    1,130,910 
         7,441,165 
Commercial services & supplies—0.5%          
Brink's Co.   11,569    1,234,991 
           
Communications equipment—0.6%          
F5, Inc.*   5,037    1,631,484 
           
Construction & engineering—1.1%          
EMCOR Group, Inc.   825    735,628 
Valmont Industries, Inc.   4,315    2,192,192 
         2,927,820 
Consumer finance—0.9%          
Navient Corp.   48,972    452,501 
SLM Corp.   88,453    2,041,495 
         2,493,996 
Consumer staples distribution & retail—2.2%          
BJ's Wholesale Club Holdings, Inc.*   27,377    2,570,426 
Casey's General Stores, Inc.   1,690    1,389,433 
Dollar Tree, Inc.*   7,715    749,204 
Performance Food Group Co.*   13,101    1,186,427 
         5,895,490 
Containers & packaging—2.3%          
Avery Dennison Corp.   14,347    2,351,904 
Crown Holdings, Inc.   11,848    1,164,777 
Silgan Holdings, Inc.   20,855    845,670 
Sonoco Products Co.1   34,675    1,732,363 
         6,094,714 
Distributors—0.5%          
Pool Corp.   5,733    1,222,963 
           
Diversified consumer services—0.3%          
Stride, Inc.*,1   7,326    711,794 
           
Diversified REITs—0.5%          
WP Carey, Inc.   18,900    1,378,377 
           
Electric utilities—0.9%          
Evergy, Inc.   15,700    1,300,588 
Pinnacle West Capital Corp.   10,750    1,114,990 
         2,415,578 
Electrical equipment—1.2%          
Atkore, Inc.   8,665    677,170 
Power Solutions International, Inc.*,1   12,263    898,510 
Sensata Technologies Holding PLC   39,524    1,645,779 
         3,221,459 
Electronic equipment, instruments & components—4.8%          
Arrow Electronics, Inc.*   19,068    3,581,542 
Avnet, Inc.   29,363    2,422,741 
Belden, Inc.   8,396    944,382 
Flex Ltd.*   19,499    1,785,134 
Littelfuse, Inc.   3,080    1,244,844 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Electronic equipment, instruments & components—(continued)          
TD SYNNEX Corp.   6,398   $1,459,896 
Zebra Technologies Corp., Class A*   5,974    1,351,677 
         12,790,216 
Energy equipment & services—2.4%          
Cactus, Inc., Class A   13,218    736,507 
Patterson-UTI Energy, Inc.   452,926    5,534,756 
         6,271,263 
Entertainment—1.0%          
Cinemark Holdings, Inc.   43,717    1,290,526 
Roku, Inc.*   11,730    1,367,249 
         2,657,775 
Financial services—2.1%          
Essent Group Ltd.   20,008    1,210,884 
Jack Henry & Associates, Inc.   20,455    3,144,956 
Walker & Dunlop, Inc.   26,145    1,316,401 
         5,672,241 
Food products—0.3%          
Post Holdings, Inc.*,1   7,935    831,191 
           
Gas utilities—1.1%          
National Fuel Gas Co.   11,900    1,004,122 
UGI Corp.   53,600    1,934,424 
         2,938,546 
Ground transportation—1.8%          
Knight-Swift Transportation Holdings, Inc.   22,871    1,484,328 
Landstar System, Inc.   9,293    1,710,563 
Ryder System, Inc.   6,459    1,639,100 
         4,833,991 
Health care equipment & supplies—2.3%          
Envista Holdings Corp.*   72,355    1,876,889 
Globus Medical, Inc., Class A*   15,600    1,406,808 
Integer Holdings Corp.*   11,144    986,355 
Lantheus Holdings, Inc.*,1   9,002    761,749 
LivaNova PLC*   19,900    1,195,990 
         6,227,791 
Health care providers & services—2.2%          
Acadia Healthcare Co., Inc.*,1   44,031    1,140,183 
AMN Healthcare Services, Inc.*   29,767    609,331 
CorVel Corp.*   14,447    830,125 
DaVita, Inc.*   4,732    734,122 
Encompass Health Corp.   8,336    833,600 
Molina Healthcare, Inc.*   4,070    792,103 
Tenet Healthcare Corp.*   5,710    1,011,355 
         5,950,819 
Hotels, restaurants & leisure—2.3%          
Caesars Entertainment, Inc.*   115,356    3,206,897 
Marriott Vacations Worldwide Corp.   14,800    1,065,748 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Hotels, restaurants & leisure—(continued)          
Wynn Resorts Ltd.1   16,225   $1,737,859 
         6,010,504 
Household durables—1.7%          
Mohawk Industries, Inc.*   26,937    2,843,470 
Taylor Morrison Home Corp.*   19,097    1,159,952 
TopBuild Corp.*,1   1,293    572,411 
         4,575,833 
Household products—0.5%          
WD-40 Co.   6,385    1,340,595 
           
Independent power and renewable electricity producers—0.3%          
Talen Energy Corp.*   2,200    819,324 
           
Industrial REITs—0.6%          
First Industrial Realty Trust, Inc.   25,450    1,578,154 
           
Insurance—4.2%          
Assurant, Inc.   5,437    1,284,600 
Everest Group Ltd.   4,584    1,635,388 
First American Financial Corp.   41,116    2,883,465 
Globe Life, Inc.   7,182    1,108,182 
Lincoln National Corp.   30,900    1,168,329 
RLI Corp.   24,478    1,267,226 
W.R. Berkley Corp.   26,467    1,768,790 
         11,115,980 
IT services—0.8%          
Amdocs Ltd.   19,394    1,254,210 
Okta, Inc.*   13,157    969,013 
         2,223,223 
Leisure products—0.4%          
Brunswick Corp.   12,520    994,714 
           
Life sciences tools & services—1.4%          
Avantor, Inc.*   186,215    1,508,341 
Charles River Laboratories International, Inc.*   6,375    1,064,434 
Revvity, Inc.   13,193    1,142,778 
         3,715,553 
Machinery—6.4%          
Allison Transmission Holdings, Inc.   12,120    1,628,322 
Graco, Inc.   20,892    1,677,001 
ITT, Inc.   7,575    1,623,626 
JBT Marel Corp.   8,593    1,014,833 
Kadant, Inc.   4,896    1,435,165 
Oshkosh Corp.   9,877    1,543,775 
RBC Bearings, Inc.*   4,715    2,824,709 
Terex Corp.   19,000    1,181,800 
Timken Co.   16,296    1,807,063 
Toro Co.   25,679    2,443,870 
         17,180,164 
Marine transportation—0.7%          
Kirby Corp.*   12,165    1,831,319 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Media—0.4%          
Nexstar Media Group, Inc.   5,536   $1,152,263 
           
Metals & mining—1.7%          
Alcoa Corp.   28,756    1,834,345 
Commercial Metals Co.   22,258    1,534,912 
Reliance, Inc.   3,120    1,131,000 
         4,500,257 
Mortgage real estate investment—0.9%          
AGNC Investment Corp.1   109,700    1,208,894 
Annaly Capital Management, Inc.   55,243    1,265,065 
         2,473,959 
Office REITs—0.9%          
Highwoods Properties, Inc.   47,000    1,142,570 
Kilroy Realty Corp.   38,400    1,277,184 
         2,419,754 
Oil, gas & consumable fuels—3.9%          
Antero Resources Corp.*   28,257    1,109,370 
California Resources Corp.   26,968    1,840,836 
Chord Energy Corp.   11,900    1,732,640 
Core Natural Resources, Inc.   9,052    812,326 
DHT Holdings, Inc.   55,058    1,017,472 
Murphy Oil Corp.   36,600    1,528,416 
Permian Resources Corp., Class A   54,742    1,183,522 
Scorpio Tankers, Inc.   15,202    1,236,378 
         10,460,960 
Passenger airlines—0.4%          
SkyWest, Inc.*   12,150    997,758 
           
Pharmaceuticals—1.4%          
Jazz Pharmaceuticals PLC*   12,229    2,482,732 
Prestige Consumer Healthcare, Inc.*   23,669    1,333,038 
         3,815,770 
Professional services—3.7%          
Broadridge Financial Solutions, Inc.   6,203    955,138 
CACI International, Inc., Class A*   6,591    3,424,288 
Insperity, Inc.1   28,462    1,012,393 
Korn Ferry   14,635    972,350 
ManpowerGroup, Inc.   50,216    1,520,038 
TransUnion   28,333    2,011,643 
         9,895,850 
Real estate management & development—0.6%          
Cushman & Wakefield Ltd.*   114,872    1,612,803 
           
Residential REITs—0.5%          
Camden Property Trust   13,680    1,436,674 
           
Retail REITs—0.6%          
Federal Realty Investment Trust   14,623    1,621,691 
           
Semiconductors & semiconductor equipment—6.8%          
Axcelis Technologies, Inc.*   30,544    4,248,976 
Diodes, Inc.*   14,875    1,593,856 
Ichor Holdings Ltd.*   38,671    2,551,126 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Semiconductors & semiconductor equipment—(continued)          
MKS, Inc.   7,646   $2,169,553 
Onto Innovation, Inc.*   12,291    3,626,582 
Qorvo, Inc.*   12,355    1,164,088 
Skyworks Solutions, Inc.   17,182    1,205,661 
Synaptics, Inc.*,1   17,935    1,678,537 
         18,238,379 
Software—1.5%          
Docusign, Inc.*   21,540    990,624 
JFrog Ltd.*   12,752    592,203 
Progress Software Corp.*   25,000    696,250 
Q2 Holdings, Inc.*   14,893    755,820 
Teradata Corp.*   36,300    956,505 
         3,991,402 
Specialized REITs—1.1%          
Gaming & Leisure Properties, Inc.   25,900    1,255,114 
Lamar Advertising Co., Class A   12,690    1,749,190 
         3,004,304 
Specialty retail—3.1%          
Academy Sports & Outdoors, Inc.   28,087    1,540,291 
Bath & Body Works, Inc.   48,466    942,179 
Murphy USA, Inc.   3,510    2,063,880 
National Vision Holdings, Inc.*   40,500    940,410 
Sally Beauty Holdings, Inc.*   64,337    912,299 
Signet Jewelers Ltd.   12,055    1,073,257 
Victoria's Secret & Co.*,1   16,538    857,164 
         8,329,480 
Textiles, apparel & luxury goods—1.8%          
Capri Holdings Ltd.*   102,978    2,009,101 
Carter's, Inc.   10,956    395,731 
Kontoor Brands, Inc.1   14,645    1,074,357 
PVH Corp.   15,496    1,416,954 
         4,896,143 
Trading companies & distributors—3.3%          
Boise Cascade Co.   19,029    1,508,429 
MSC Industrial Direct Co., Inc., Class A   14,355    1,468,086 
Watsco, Inc.1   4,449    1,947,950 
WESCO International, Inc.   11,239    3,923,759 
         8,848,224 
Total common stocks
(cost—$217,448,565)
        265,026,800 
         
Short term investments—0.7%
Investment companies—0.7%
State Street Institutional U.S. Government Money Market Fund, 3.596%2
(cost—$1,882,545)
   1,882,545    1,882,545 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investment of cash collateral from securities loaned—2.8%          
Money market funds—2.8%          
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%2
(cost—$7,451,821)
   7,451,821   $7,451,821 
Total Investments—102.8%
(cost—$226,782,931)3
        274,361,166 
Liabilities in excess of other assets—(2.8)%        (7,457,903)
Net Assets—100.0%       $266,903,263 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $265,026,800   $   $   $265,026,800 
Short-term investments   1,882,545            1,882,545 
Investment of cash collateral from securities loaned   7,451,821            7,451,821 
Total  $274,361,166   $   $   $274,361,166 

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

* Non–income producing security.
1 Security, or portion thereof, was on loan at the period end.
2 Rate shown reflects yield at April 30, 2026.
3 Includes $11,010,664 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $7,451,821 and non-cash collateral of $3,750,879.

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—99.6%          
Aerospace & defense—2.5%          
Astronics Corp.*   2,442   $174,359 
Carpenter Technology Corp.   1,843    789,173 
Ducommun, Inc.*   5,559    788,989 
FTAI Aviation Ltd.   1,010    252,167 
Intuitive Machines, Inc.*,1   39,306    996,407 
Karman Holdings, Inc.*,1   13,863    942,407 
Loar Holdings, Inc.*   14,768    828,780 
Mercury Systems, Inc.*   6,783    535,246 
Redwire Corp.*,1   19,956    183,396 
Satellogic, Inc., Class A*   55,553    358,872 
V2X, Inc.*   6,393    433,509 
         6,283,305 
Automobile components—0.1%          
Dana, Inc.   7,316    266,668 
           
Banks—0.5%          
First Internet Bancorp   3,829    87,761 
Live Oak Bancshares, Inc.   11,437    430,031 
Popular, Inc.   5,287    794,795 
         1,312,587 
Beverages—0.6%          
Vita Coco Co., Inc.*   21,020    1,387,110 
Zevia PBC, Class A*,1   35,974    46,047 
         1,433,157 
Biotechnology—7.7%          
Aduro Biotech, Inc.*,2,3   9,389    0 
Akebia Therapeutics, Inc.*   36,441    50,289 
Aldeyra Therapeutics, Inc.*,1   52,300    79,496 
Alector, Inc.*   73,610    174,456 
Arcturus Therapeutics Holdings, Inc.*,1   27,431    236,455 
Arcus Biosciences, Inc.*   40,406    1,030,353 
Arrowhead Pharmaceuticals, Inc.*   5,179    380,553 
Atrium Therapeutics, Inc.*   4,478    57,184 
Aurinia Pharmaceuticals, Inc.*   54,962    845,590 
BioCryst Pharmaceuticals, Inc.*   68,231    624,996 
Bridgebio Pharma, Inc.*   25,050    1,781,305 
CareDx, Inc.*   26,922    560,247 
Cogent Biosciences, Inc.*   10,356    370,641 
Cytokinetics, Inc.*   4,990    319,210 
Design Therapeutics, Inc.*   15,478    210,501 
Exelixis, Inc.*   43,525    1,935,121 
Foghorn Therapeutics, Inc.*,1   14,476    68,761 
Gossamer Bio, Inc.*   145,404    53,480 
Halozyme Therapeutics, Inc.*   24,702    1,572,529 
Insmed, Inc.*   1,735    236,533 
Ironwood Pharmaceuticals, Inc.*   107,812    444,725 
MacroGenics, Inc.*   34,554    106,426 
Madrigal Pharmaceuticals, Inc.*   895    463,064 
Mirum Pharmaceuticals, Inc.*,1   3,186    310,030 
Neurocrine Biosciences, Inc.*   14,054    1,850,490 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Biotechnology—(continued)          
Novavax, Inc.*,1   12,118   $96,035 
Organogenesis Holdings, Inc.*   43,800    102,930 
Palvella Therapeutics, Inc.*   3,069    393,814 
Praxis Precision Medicines, Inc.*   591    188,429 
Protagonist Therapeutics, Inc.*   5,611    555,321 
Prothena Corp. PLC*   17,450    192,997 
Rezolute, Inc.*   31,606    101,139 
Travere Therapeutics, Inc.*   48,184    2,029,510 
Ultragenyx Pharmaceutical, Inc.*   46,199    1,140,653 
UroGen Pharma Ltd.*,1   5,382    128,253 
Vera Therapeutics, Inc.*   4,729    168,400 
Vir Biotechnology, Inc.*   20,105    205,373 
Xenon Pharmaceuticals, Inc.*   3,805    213,232 
Zymeworks, Inc.*   9,828    270,663 
         19,549,184 
Broadline retail—0.6%          
Etsy, Inc.*   23,157    1,489,921 
           
Building products—1.7%          
AAON, Inc.   11,442    1,067,653 
Armstrong World Industries, Inc.   1,130    192,541 
CSW Industrials, Inc.   5,562    1,619,654 
Insteel Industries, Inc.   8,686    227,399 
Simpson Manufacturing Co., Inc.   6,708    1,279,417 
         4,386,664 
Capital markets—2.6%          
Acadian Asset Management, Inc.   18,900    1,272,915 
Federated Hermes, Inc.   6,180    358,996 
Marex Group PLC   23,883    1,274,158 
Perella Weinberg Partners1   13,094    297,757 
Piper Sandler Cos.   12,744    1,111,277 
StoneX Group, Inc.*   11,921    1,263,984 
WisdomTree, Inc.1   62,027    1,054,459 
         6,633,546 
Chemicals—0.1%          
Solstice Advanced Materials, Inc.   3,717    304,608 
           
Commercial services & supplies—1.4%          
ACV Auctions, Inc., Class A*   121,331    629,708 
Casella Waste Systems, Inc., Class A*   10,012    793,451 
RB Global, Inc.   21,238    2,215,123 
         3,638,282 
Communications equipment—3.2%          
ADTRAN Holdings, Inc.*   25,058    443,276 
BK Technologies Corp.*   1,030    99,251 
Ciena Corp.*   3,717    1,961,015 
Inseego Corp.*,1   3,000    54,690 
Lantronix, Inc.*   32,761    219,826 
Lumentum Holdings, Inc.*   3,976    3,587,624 
Ondas, Inc.*,1   16,792    168,592 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Communications equipment—(continued)          
Viavi Solutions, Inc.*   29,339   $1,537,364 
         8,071,638 
Construction & engineering—6.3%          
Argan, Inc.   5,394    3,613,872 
Comfort Systems USA, Inc.   1,039    1,912,020 
EMCOR Group, Inc.   3,058    2,726,727 
Legence Corp., Class A*   6,097    530,195 
MasTec, Inc.*   973    383,411 
MYR Group, Inc.*   6,690    2,708,179 
Primoris Services Corp.   12,715    2,303,322 
Sterling Infrastructure, Inc.*   2,878    1,483,954 
Tutor Perini Corp.   2,231    207,305 
         15,868,985 
Construction materials—0.6%          
James Hardie Industries PLC*,1   73,066    1,533,655 
           
Consumer finance—2.1%          
Ally Financial, Inc.   36,426    1,616,950 
Atlanticus Holdings Corp.*   2,772    220,124 
Dave, Inc.*   7,799    2,121,250 
LendingTree, Inc.*   11,142    552,532 
NerdWallet, Inc., Class A*   32,250    349,590 
Regional Management Corp.   2,648    98,903 
SoFi Technologies, Inc.*   30,338    488,442 
         5,447,791 
Consumer staples distribution & retail—0.4%          
Sprouts Farmers Market, Inc.*   11,965    979,335 
           
Containers & packaging—0.1%          
Ardagh Metal Packaging SA   71,894    276,792 
           
Diversified consumer services—1.2%          
Carriage Services, Inc.   607    29,804 
Grand Canyon Education, Inc.*   15,426    2,608,074 
Stride, Inc.*   4,159    404,088 
         3,041,966 
Diversified telecommunication services—0.4%          
Bandwidth, Inc., Class A*   19,394    713,893 
IDT Corp., Class B   6,095    305,664 
         1,019,557 
Electric utilities—0.0%†          
Genie Energy Ltd., Class B   4,982    69,599 
           
Electrical equipment—3.5%          
Amprius Technologies, Inc.*   84,625    1,782,203 
Babcock & Wilcox Enterprises, Inc.*   10,920    171,007 
Bloom Energy Corp., Class A*   3,808    1,079,035 
Enovix Corp.*,1   20,720    138,202 
LSI Industries, Inc.   8,702    211,546 
Nextpower, Inc., Class A*   14,864    1,770,748 
Powell Industries, Inc.   7,212    1,999,671 
Power Solutions International, Inc.*,1   856    62,719 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Electrical equipment—(continued)          
Vicor Corp.*   5,695   $1,533,493 
         8,748,624 
Electronic equipment, instruments & components—4.8%          
Advanced Energy Industries, Inc.   2,990    1,147,891 
Cognex Corp.   28,525    1,583,423 
Fabrinet*   1,466    1,001,967 
Frequency Electronics, Inc.*,1   10,720    537,715 
Insight Enterprises, Inc.*   8,567    624,534 
Itron, Inc.*   14,287    1,197,251 
Jabil, Inc.   6,955    2,347,243 
LightPath Technologies, Inc., Class A*   104,425    1,337,684 
Napco Security Technologies, Inc.   16,408    767,074 
nLight, Inc.*   8,487    592,817 
TTM Technologies, Inc.*   3,814    603,451 
Vishay Intertechnology, Inc.   11,238    325,565 
         12,066,615 
Energy equipment & services—0.8%          
DMC Global, Inc.*   6,200    38,316 
Energy Services of America Corp.   16,540    281,180 
National Energy Services Reunited Corp.*   16,811    419,267 
Natural Gas Services Group, Inc.   13,928    566,730 
Tidewater, Inc.*   8,418    751,980 
         2,057,473 
Entertainment—1.2%          
CuriosityStream, Inc.   10,310    32,476 
Madison Square Garden Entertainment Corp.*   19,116    1,279,243 
Playtika Holding Corp.   45,911    167,805 
Roku, Inc.*   13,618    1,587,314 
         3,066,838 
Financial services—0.7%          
Marqeta, Inc., Class A*   173,905    754,748 
Payoneer Global, Inc.*   142,400    709,152 
Paysign, Inc.*   12,600    82,656 
Priority Technology Holdings, Inc.*,1   22,574    116,933 
         1,663,489 
Food products—1.3%          
Freshpet, Inc.*   25,994    1,751,476 
Mama's Creations, Inc.*   106,181    1,506,708 
         3,258,184 
Ground transportation—1.1%          
ArcBest Corp.   7,803    995,429 
Knight-Swift Transportation Holdings, Inc.   13,363    867,259 
Lyft, Inc., Class A*   4,441    62,840 
Saia, Inc.*   472    211,843 
U-Haul Holding Co.*,1   5,377    276,163 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Ground transportation—(continued)          
Werner Enterprises, Inc.   8,988   $331,387 
         2,744,921 
Health care equipment & supplies—4.1%          
Axogen, Inc.*   33,957    1,466,942 
Beta Bionics, Inc.*,1   20,778    211,936 
Bioventus, Inc., Class A*,1   6,400    63,168 
Ceribell, Inc.*   10,676    215,228 
Glaukos Corp.*   17,730    2,547,269 
Inspire Medical Systems, Inc.*   5,403    303,324 
Integer Holdings Corp.*   3,800    336,338 
iRadimed Corp.   5,809    484,703 
Lantheus Holdings, Inc.*   16,650    1,408,923 
LeMaitre Vascular, Inc.   6,084    667,719 
Novocure Ltd.*   52,709    801,704 
OrthoPediatrics Corp.*   15,086    227,195 
Owlet, Inc.*,1   11,071    54,691 
RxSight, Inc.*   53,135    375,665 
Sanara Medtech, Inc.*   56    1,064 
Sight Sciences, Inc.*   18,093    74,000 
Tandem Diabetes Care, Inc.*   54,909    1,072,098 
Treace Medical Concepts, Inc.*   30,379    54,986 
         10,366,953 
Health care providers & services—4.5%          
agilon health, Inc.*   15,601    436,048 
Alignment Healthcare, Inc.*   20,740    467,480 
Ardent Health, Inc.*   1,000    9,760 
Astrana Health, Inc.*   20,758    708,678 
Aveanna Healthcare Holdings, Inc.*   16,244    106,236 
BrightSpring Health Services, Inc.*   5,027    241,145 
Chemed Corp.   2,123    902,232 
Ensign Group, Inc.   12,554    2,343,706 
GeneDx Holdings Corp.*   4,090    257,220 
Guardant Health, Inc.*   11,182    973,729 
Hinge Health, Inc., Class A*   3,946    175,992 
Molina Healthcare, Inc.*   1,898    369,389 
Omada Health, Inc.*   7,924    115,532 
Option Care Health, Inc.*   35,359    718,848 
Pennant Group, Inc.*   37,481    1,173,905 
Privia Health Group, Inc.*   95,031    2,361,520 
         11,361,420 
Health care technology—0.3%          
Doximity, Inc., Class A*   28,003    684,393 
HealthStream, Inc.   3,540    73,491 
         757,884 
Hotels, restaurants & leisure—4.1%          
Brinker International, Inc.*   195    29,687 
Cava Group, Inc.*   11,460    1,070,479 
DraftKings, Inc., Class A*   10,423    243,064 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Hotels, restaurants & leisure—(continued)          
Dutch Bros, Inc., Class A*   18,729   $1,077,105 
First Watch Restaurant Group, Inc.*   92,046    1,207,643 
Lindblad Expeditions Holdings, Inc.*   53,647    994,079 
Monarch Casino & Resort, Inc.   4,423    524,966 
Rush Street Interactive, Inc.*   116,985    3,287,278 
Super Group SGHC Ltd.   77,036    998,387 
Target Hospitality Corp.*   12,097    175,890 
Wingstop, Inc.1   4,593    753,528 
         10,362,106 
Household durables—1.7%          
Cavco Industries, Inc.*   2,557    1,296,399 
Installed Building Products, Inc.   902    260,272 
SharkNinja, Inc.*   12,775    1,475,896 
Sonos, Inc.*   77,580    1,150,511 
         4,183,078 
Household products—0.3%          
WD-40 Co.   3,503    735,490 
           
Insurance—2.8%          
American Coastal Insurance Corp.   3,924    46,696 
Crawford & Co., Class A   1,158    12,437 
Everest Group Ltd.   3,020    1,077,415 
Goosehead Insurance, Inc., Class A*   11,203    501,782 
HCI Group, Inc.   2,505    384,693 
Heritage Insurance Holdings, Inc.*   11,420    334,834 
Hippo Holdings, Inc.*   9,793    257,850 
Kinsale Capital Group, Inc.   6,232    2,016,738 
Neptune Insurance Holdings, Inc., Class A*,1   1,000    25,130 
Oscar Health, Inc., Class A*   62,960    1,162,242 
Root, Inc., Class A*   855    46,580 
Selectquote, Inc.*   9,000    8,278 
Slide Insurance Holdings, Inc.*   13,435    250,563 
Trupanion, Inc.*,1   460    11,035 
TWFG, Inc.*   32,135    597,068 
Universal Insurance Holdings, Inc.   9,933    393,645 
         7,126,986 
Interactive media & services—0.8%          
EverQuote, Inc., Class A*   19,410    279,892 
Grindr, Inc.*,1   25,753    344,318 
MediaAlpha, Inc., Class A*   36,322    309,100 
QuinStreet, Inc.*   45,045    574,774 
Travelzoo*,1   8,380    82,040 
Yelp, Inc.*   5,233    144,431 
ZipRecruiter, Inc., Class A*   78,100    228,052 
         1,962,607 
IT services—1.7%          
Commerce.com, Inc.*   16,892    47,804 
Crexendo, Inc.*   6,600    43,164 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
IT services—(continued)          
DigitalOcean Holdings, Inc.*   30,343   $2,925,975 
Globant SA*   14,859    612,637 
Grid Dynamics Holdings, Inc.*   92,404    525,779 
Unisys Corp.*   32,493    84,807 
VTEX, Class A*,1   34,666    130,344 
         4,370,510 
Leisure products—0.2%          
Latham Group, Inc.*   37,344    226,678 
Peloton Interactive, Inc., Class A*   43,556    237,380 
         464,058 
Life sciences tools & services—3.1%          
10X Genomics, Inc., Class A*,1   57,205    1,261,370 
Bio-Techne Corp.   20,307    1,123,383 
Codexis, Inc.*,1   66,004    186,131 
Ginkgo Bioworks Holdings, Inc.*,1   7,643    64,660 
Medpace Holdings, Inc.*   5,165    2,162,379 
Mesa Laboratories, Inc.   4,169    416,900 
OmniAb, Inc.*   8,700    12,093 
Repligen Corp.*   11,805    1,396,650 
Sotera Health Co.*   17,064    265,516 
Stevanato Group SpA   58,393    992,681 
         7,881,763 
Machinery—3.4%          
CECO Environmental Corp.*   13,116    972,420 
Energy Recovery, Inc.*   21,737    240,628 
ESCO Technologies, Inc.   2,868    929,089 
FreightCar America, Inc.*   10,368    85,432 
Gorman-Rupp Co.   6,508    492,916 
Graham Corp.*   15,543    1,479,694 
Helios Technologies, Inc.   2,473    169,153 
Hillman Solutions Corp.*   117,529    959,037 
Kadant, Inc.1   6,618    1,939,934 
Kennametal, Inc.   13,677    529,437 
Perma-Pipe International Holdings, Inc.*   12,996    425,359 
Symbotic, Inc.*,1   1,986    117,373 
Timken Co.   1,925    213,463 
         8,553,935 
Media—0.3%          
DoubleVerify Holdings, Inc.*   57,584    634,576 
MNTN, Inc., Class A*   7,194    67,839 
         702,415 
Metals & mining—0.3%          
U.S. Antimony Corp.*,1   73,239    879,600 
           
Mortgage real estate investment—0.0%†          
Angel Oak Mortgage REIT, Inc.   7,000    63,490 
           
Oil, gas & consumable fuels—0.2%          
PrimeEnergy Resources Corp.*   1,305    289,175 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Oil, gas & consumable fuels—(continued)          
World Kinect Corp.   5,010   $135,120 
         424,295 
Paper & forest products—0.1%          
Sylvamo Corp.   5,662    241,937 
           
Personal care products—0.1%          
Herbalife Ltd.*   1,226    20,352 
Nature's Sunshine Products, Inc.*   9,173    249,139 
SkinHealth Systems, Inc.*   4,629    3,942 
         273,433 
Pharmaceuticals—1.6%          
Arvinas, Inc.*   14,107    139,659 
Axsome Therapeutics, Inc.*   1,811    376,235 
BioAge Labs, Inc.*   3,521    59,329 
Biote Corp., Class A*,1   4,500    9,990 
Corcept Therapeutics, Inc.*   11,503    535,119 
LB Pharmaceuticals, Inc.*,1   15,145    480,248 
LENZ Therapeutics, Inc.*,1   8,766    78,719 
Ligand Pharmaceuticals, Inc.*   5,195    1,191,993 
Maze Therapeutics, Inc.*   4,391    116,713 
Nektar Therapeutics*   1,318    112,083 
Ocular Therapeutix, Inc.*,1   52,943    496,076 
Phibro Animal Health Corp., Class A   6,790    361,092 
SIGA Technologies, Inc.   8,950    41,170 
Tarsus Pharmaceuticals, Inc.*   2,793    177,663 
         4,176,089 
Professional services—3.2%          
Barrett Business Services, Inc.   36,326    1,145,359 
CRA International, Inc.   2,291    360,764 
Exponent, Inc.   20,273    1,356,061 
Franklin Covey Co.*   6,871    145,665 
Insperity, Inc.   34,710    1,234,635 
Kforce, Inc.   14,393    650,707 
Paylocity Holding Corp.*   14,166    1,494,371 
Planet Labs PBC*   25,367    937,818 
Spire Global, Inc.*   9,863    175,857 
TriNet Group, Inc.   12,429    569,000 
         8,070,237 
Real estate management & development—0.5%          
Compass, Inc., Class A*   106,708    807,779 
eXp World Holdings, Inc.   41,537    258,360 
Real Brokerage, Inc.*   98,567    206,991 
         1,273,130 
Retail REITs—0.2%          
Alexander's, Inc.   300    75,588 
Tanger, Inc.   14,644    543,000 
         618,588 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Semiconductors & semiconductor equipment—7.6%          
ACM Research, Inc., Class A*   1,424   $73,607 
Alpha & Omega Semiconductor Ltd.*   5,138    223,143 
Ambarella, Inc.*   20,748    1,427,462 
Astera Labs, Inc.*   1,714    333,784 
Axcelis Technologies, Inc.*   1,653    229,949 
AXT, Inc.*   3,001    237,739 
Credo Technology Group Holding Ltd.*   5,131    892,845 
Diodes, Inc.*   16,613    1,780,083 
FormFactor, Inc.*   2,658    361,302 
Ichor Holdings Ltd.*   22,234    1,466,777 
Impinj, Inc.*   5,416    784,887 
Kopin Corp.*   298,769    1,332,510 
Kulicke & Soffa Industries, Inc.   15,334    1,311,057 
Onto Innovation, Inc.*   4,819    1,421,894 
Power Integrations, Inc.   24,465    1,778,850 
Silicon Motion Technology Corp., ADR   6,432    1,407,193 
SiTime Corp.*   3,406    1,914,683 
SolarEdge Technologies, Inc.*,1   5,395    231,230 
Tower Semiconductor Ltd.*   3,514    776,770 
Ultra Clean Holdings, Inc.*   17,570    1,373,095 
         19,358,860 
Software—8.0%          
Agilysys, Inc.*   9,807    628,236 
Alarm.com Holdings, Inc.*   24,643    1,094,396 
Amplitude, Inc., Class A*   37,169    264,272 
Appfolio, Inc., Class A*   9,100    1,520,519 
Appian Corp., Class A*   22,788    473,762 
Arteris, Inc.*   11,480    332,461 
Asana, Inc., Class A*   70,824    447,608 
AudioEye, Inc.*,1   7,650    54,774 
Blend Labs, Inc., Class A*   191,218    279,178 
C3.ai, Inc., Class A*,1   27,345    241,456 
CCC Intelligent Solutions Holdings, Inc.*   199,347    1,044,578 
Clear Secure, Inc., Class A   4,387    234,222 
Commvault Systems, Inc.*   760    75,149 
Core Scientific, Inc.*   30,409    608,180 
CS Disco, Inc.*   4,308    18,654 
Descartes Systems Group, Inc.*   21,136    1,524,117 
Docusign, Inc.*   6,651    305,879 
Domo, Inc., Class B*,1   53,996    192,226 
Dropbox, Inc., Class A*   50,298    1,221,738 
Guidewire Software, Inc.*   6,561    907,977 
InterDigital, Inc.1   4,910    1,456,110 
Manhattan Associates, Inc.*   9,424    1,299,475 
Netskope, Inc., Class A*   43,551    433,768 
Nutanix, Inc., Class A*   14,170    579,411 
OneSpan, Inc.   24,493    283,629 
Ooma, Inc.*   11,513    187,892 
Pegasystems, Inc.   16,818    614,698 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Software—(continued)          
Red Violet, Inc.*   7,863   $294,312 
Rimini Street, Inc.*,1   14,434    49,220 
RingCentral, Inc., Class A   14,105    567,303 
SPS Commerce, Inc.*   16,822    944,051 
Telos Corp.*   6,589    28,135 
Varonis Systems, Inc.*   13,148    345,792 
Weave Communications, Inc.*   49,215    241,646 
Workiva, Inc.*   25,460    1,361,601 
         20,156,425 
Specialty retail—3.1%          
Arhaus, Inc.   37,194    275,235 
Arko Corp.   4,311    28,453 
Citi Trends, Inc.*   2,682    130,640 
Envela Corp.*   1,542    27,155 
Five Below, Inc.*   18,218    4,293,254 
Floor & Decor Holdings, Inc., Class A*   26,503    1,282,745 
Genesco, Inc.*   8,588    304,788 
Petco Health & Wellness Co., Inc.*   5,200    14,768 
RealReal, Inc.*   7,058    83,920 
RH*   2,711    357,743 
Stitch Fix, Inc., Class A*   30,900    112,476 
Wayfair, Inc., Class A*   14,162    905,377 
         7,816,554 
Textiles, apparel & luxury goods—0.6%          
Figs, Inc., Class A*   106,612    1,594,916 
           
Trading companies & distributors—1.3%          
Alta Equipment Group, Inc.1   1,000    7,750 
Global Industrial Co.   7,116    235,611 
Karat Packaging, Inc.   4,488    128,761 
NPK International, Inc.*   111,680    1,825,968 
Transcat, Inc.*   13,826    1,052,158 
         3,250,248 
Total common stocks
(cost—$218,344,755)
        252,240,391 
         
Short term investments—0.8%          
Investment companies—0.8%          
State Street Institutional U.S. Government Money Market Fund, 3.596%4
(cost—$1,972,717)
   1,972,717    1,972,717 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investment of cash collateral from securities loaned—2.2%          
Money market funds—2.2%          
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%4
(cost—$5,651,188)
   5,651,188   $5,651,188 
Total Investments—102.6%
(cost—$225,968,660)5
        259,864,296 
Liabilities in excess of other assets—(2.6)%        (6,621,874)
Net Assets—100.0%       $253,242,422 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $252,240,391   $   $0   $252,240,391 
Short-term investments   1,972,717            1,972,717 
Investment of cash collateral from securities loaned   5,651,188            5,651,188 
Total  $259,864,296   $   $0   $259,864,296 

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Portfolio.

 

 

Portfolio footnotes

  

Amount represents less than 0.05% or (0.05)%.
* Non–income producing security.
1 Security, or portion thereof, was on loan at the period end.
2 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
3 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
4 Rate shown reflects yield at April 30, 2026.
5 Includes $9,309,795 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $5,651,188 and non-cash collateral of $3,734,442.

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—111.8%
Australia—4.7%          
ASX Ltd.1   23,609   $1,034,446 
Aurizon Holdings Ltd.   1,472,768    4,449,260 
BHP Group Ltd.1,2   90,241    3,571,679 
Coles Group Ltd.1   165,780    2,642,201 
Computershare Ltd.2   131,215    2,882,687 
CSL Ltd.1   37,837    3,415,189 
Evolution Mining Ltd.   15,983    141,308 
Fortescue Ltd.1,2   378,737    5,458,763 
Macquarie Group Ltd.2   7,138    1,226,253 
QBE Insurance Group Ltd.   11,842    191,815 
Rio Tinto PLC2   28,787    2,899,901 
Santos Ltd.   76,958    443,385 
South32 Ltd.   1,044,827    3,096,394 
Stockland2   53,311    156,345 
Woolworths Group Ltd.1,2   120,248    2,985,817 
         34,595,443 
Austria—0.7%          
ANDRITZ AG   44,218    3,757,231 
Verbund AG   14,147    1,067,437 
         4,824,668 
Belgium—0.2%          
UCB SA *,1   4,331    1,179,294 
           
Canada—2.1%          
Brookfield Renewable Corp.1   150,928    5,472,649 
Canadian Pacific Kansas City Ltd.   68,322    5,941,281 
Constellation Software, Inc.   2,333    4,248,968 
         15,662,898 
China—3.2%          
Alibaba Group Holding Ltd., ADR1   22,225    2,931,033 
BOC Hong Kong Holdings Ltd.   477,000    2,743,794 
KE Holdings, Inc., ADR1   193,086    3,307,563 
Prosus NV1   127,126    6,154,546 
SITC International Holdings Co. Ltd.   451,000    1,888,324 
Wilmar International Ltd.   823,800    2,349,785 
Wuxi Biologics Cayman, Inc.*,3   785,690    3,357,054 
Yangzijiang Shipbuilding Holdings Ltd.   221,600    755,759 
         23,487,858 
Denmark—2.1%          
Coloplast AS, Class B   53,168    3,284,382 
Genmab AS*   22,572    5,976,534 
Novo Nordisk AS, Class B2   25,811    1,097,895 
Pandora AS2   17,783    1,353,268 
Vestas Wind Systems AS   125,345    3,854,282 
         15,566,361 
Finland—2.2%          
Metso OYJ1   36,052    622,773 
Neste OYJ   110,376    3,812,691 
Nordea Bank Abp   321,534    6,046,410 

 

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Finland—(continued)
Sampo OYJ, Class A2   71,900   $747,130 
UPM-Kymmene OYJ1   171,431    5,136,559 
         16,365,563 
France—8.8%
Air Liquide SA2   6,220    1,338,172 
Airbus SE1   24,370    5,024,104 
AXA SA2   18,299    882,109 
BNP Paribas SA   55,160    5,792,983 
Bouygues SA1   93,241    5,514,249 
Capgemini SE   40,496    4,924,974 
Carrefour SA   205,957    4,105,929 
Cie de Saint-Gobain SA1   3,571    327,174 
Credit Agricole SA   14,714    287,395 
Edenred SE   20,597    515,832 
Eiffage SA   11,537    1,860,091 
Engie SA2   22,635    746,107 
Hermes International SCA2   541    1,034,988 
Kering SA   6,075    1,671,313 
Klepierre SA2   22,138    896,948 
LVMH Moet Hennessy Louis Vuitton SE2   2,602    1,390,012 
Pernod Ricard SA   72,946    5,422,942 
Renault SA2   41,473    1,456,913 
Safran SA   34,101    10,950,259 
Thales SA   3,101    851,960 
TotalEnergies SE2   12,497    1,161,890 
Unibail-Rodamco-Westfield*,2   4,818    584,941 
Vinci SA   54,977    8,313,745 
         65,055,030 
Germany—6.9%
Allianz SE, Registered Shares   17,828    8,142,624 
Aumovio SE*,2   15,885    688,908 
Daimler Truck Holding AG   16,925    853,661 
Deutsche Bank AG, Registered Shares   17,220    535,009 
Deutsche Post AG2   187,855    11,123,685 
Deutsche Telekom AG, Registered Shares2   154,152    4,979,208 
Evonik Industries AG   215,379    4,454,724 
Hannover Rueck SE2   5,590    1,689,035 
Infineon Technologies AG   49,090    3,301,560 
Knorr-Bremse AG   3,938    459,300 
Mercedes-Benz Group AG2   7,320    426,684 
Merck KGaA   47,023    6,088,870 
MTU Aero Engines AG   3,722    1,276,483 
Rheinmetall AG   245    390,728 
SAP SE2   2,245    376,920 
Scout24 SE2,3   2,095    174,435 
Siemens Energy AG   7,934    1,681,387 
Talanx AG2   21,871    2,850,671 

 

 

 

   

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Germany—(continued)
Zalando SE*,2,3   37,668   $930,396 
         50,424,288 
Hong Kong—1.8%
AIA Group Ltd.   715,288    7,852,978 
HKT Trust & HKT Ltd.   1,259,000    2,042,287 
Hong Kong Exchanges & Clearing Ltd.2   12,800    681,763 
Swire Pacific Ltd., Class A   74,000    804,897 
Techtronic Industries Co. Ltd.   88,000    1,275,973 
Wharf Real Estate Investment Co. Ltd.2   117,000    366,385 
         13,024,283 
Indonesia—0.4%
Jardine Matheson Holdings Ltd.   45,700    3,115,473 
           
Israel—1.7%
Bank Hapoalim BM   157,209    4,217,922 
Bank Leumi Le-Israel BM   135,972    3,442,083 
Israel Discount Bank Ltd., Class A   385,042    4,283,535 
Mizrahi Tefahot Bank Ltd.   2,703    212,546 
Nova Ltd.*   1,078    538,285 
         12,694,371 
Italy—5.9%
Coca-Cola HBC AG, Class DI2   33,584    1,958,918 
Enel SpA2   812,876    9,490,883 
Eni SpA   103,869    2,937,042 
Ferrari NV2   1,040    359,893 
FinecoBank Banca Fineco SpA   198,095    4,917,831 
Intesa Sanpaolo SpA   626,323    4,255,382 
Leonardo SpA   22,885    1,429,071 
Prysmian SpA   5,458    830,211 
Recordati Industria Chimica e Farmaceutica SpA1   25,228    1,473,004 
Ryanair Holdings PLC, ADR   70,850    3,871,952 
Snam SpA1   841,096    6,632,393 
UniCredit SpA   72,299    5,587,438 
         43,744,018 
Japan—26.3%
Advantest Corp.2   23,400    4,369,214 
Aeon Co. Ltd.   56,500    544,405 
Aisin Corp.2   42,800    678,697 
Ajinomoto Co., Inc.2   37,000    1,189,195 
ANA Holdings, Inc.2   57,400    953,884 
Asahi Kasei Corp.2   99,900    983,000 
Asics Corp.1,2   63,800    1,811,768 
Bandai Namco Holdings, Inc.2   30,900    709,319 
Central Japan Railway Co.2   14,100    338,266 
Chugai Pharmaceutical Co. Ltd.   82,800    4,415,671 
Daifuku Co. Ltd.1   15,500    677,686 
Daiichi Sankyo Co. Ltd.   153,400    2,491,842 
Daikin Industries Ltd.   22,900    3,235,660 

 

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Japan—(continued)
Daiwa House Industry Co. Ltd.2   26,100   $796,336 
Disco Corp.   5,100    2,426,490 
ENEOS Holdings, Inc.   269,500    2,263,391 
FANUC Corp.   146,537    6,472,989 
FUJIFILM Holdings Corp.1   341,500    6,284,838 
Fujikura Ltd.   9,600    370,397 
Fujitsu Ltd.   212,000    4,255,125 
Hitachi Ltd.   150,800    4,795,191 
Honda Motor Co. Ltd.   182,100    1,477,638 
Hulic Co. Ltd.2   38,800    437,605 
Idemitsu Kosan Co. Ltd.   195,900    1,676,185 
Inpex Corp.2   40,900    1,066,270 
Isuzu Motors Ltd.1,2   64,600    890,092 
Japan Airlines Co. Ltd.2   51,800    814,600 
Japan Post Bank Co. Ltd.   76,800    1,317,909 
Japan Tobacco, Inc.2   25,000    931,368 
Kansai Electric Power Co., Inc.   237,300    3,801,583 
Kao Corp.2   50,500    1,881,825 
KDDI Corp.1   351,800    5,757,040 
Keyence Corp.2   16,618    7,622,110 
Kioxia Holdings Corp.*,2   3,800    919,443 
Komatsu Ltd.1   72,100    3,087,178 
Konami Group Corp.2   18,900    2,269,383 
Kyocera Corp.2   65,500    1,138,126 
Kyowa Kirin Co. Ltd.1   25,500    384,180 
M3, Inc.2   81,600    786,008 
Makita Corp.   53,700    1,994,040 
MatsukiyoCocokara & Co.   30,900    450,206 
Minebea Mitsumi, Inc.   205,900    4,116,571 
Mitsubishi Electric Corp.   206,900    8,303,099 
Mitsubishi Heavy Industries Ltd.   87,000    2,596,591 
Mitsubishi UFJ Financial Group, Inc.   88,000    1,580,730 
Mitsui Fudosan Co. Ltd.2   364,500    3,992,013 
MS&AD Insurance Group Holdings, Inc.2   64,000    1,645,700 
Murata Manufacturing Co. Ltd.2   65,000    2,155,675 
NEC Corp.2   85,200    2,266,321 
Nintendo Co. Ltd.2   36,700    1,795,323 
Nitto Denko Corp.1   120,200    2,286,235 
Obayashi Corp.   137,100    3,223,312 
Osaka Gas Co. Ltd.   11,300    406,048 
Otsuka Holdings Co. Ltd.   91,400    6,661,429 
Panasonic Holdings Corp.   474,600    9,708,325 
Recruit Holdings Co. Ltd.2   164,960    7,641,766 
Renesas Electronics Corp.   145,700    2,946,439 
Resona Holdings, Inc.   15,800    197,621 
Sanrio Co. Ltd.2   130,000    757,589 
SCREEN Holdings Co. Ltd.1   12,200    808,873 
Secom Co. Ltd.   94,900    3,455,283 
Seibu Holdings, Inc.2   41,600    978,951 

 

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Japan—(continued)
Shimizu Corp.   171,100   $3,305,668 
Shin-Etsu Chemical Co. Ltd.   88,200    4,060,920 
SoftBank Group Corp.2   42,000    1,434,670 
Sompo Holdings, Inc.   100,000    3,721,540 
Sony Group Corp.2   447,600    8,967,813 
Sumitomo Electric Industries Ltd.2   14,800    974,346 
Sumitomo Mitsui Financial Group, Inc.   98,600    3,481,472 
Sumitomo Mitsui Trust Group, Inc.   43,200    1,444,320 
Suzuki Motor Corp.   230,034    2,572,569 
TDK Corp.2   262,400    4,797,826 
Tokyo Electron Ltd.   7,300    2,151,183 
         193,202,374 
Luxembourg—0.0%†
Eurofins Scientific SE1   2,399    166,760 
           
Netherlands—5.7%
Adyen NV*,1,2,3   4,235    4,779,008 
Argenx SE*   1,193    935,584 
Argenx SE*   108    84,697 
ASM International NV   3,019    2,953,414 
ASML Holding NV2   7,081    10,235,908 
ASML Holding NV, NY Reg Shares   4,650    6,691,303 
BE Semiconductor Industries NV1   8,484    2,481,693 
EXOR NV   29,990    2,352,517 
Heineken NV2   2,805    218,369 
Koninklijke Ahold Delhaize NV2   92,618    4,344,558 
Koninklijke Philips NV1   156,442    4,126,591 
NN Group NV1   4,336    379,547 
Universal Music Group NV1   78,844    1,653,169 
Wolters Kluwer NV2   5,935    463,199 
         41,699,557 
New Zealand—0.1%
Contact Energy Ltd.   30,370    170,693 
Meridian Energy Ltd.   73,565    246,976 
         417,669 
Nigeria—0.2%
Airtel Africa PLC3   357,822    1,728,145 
           
Norway—1.1%
Equinor ASA2   6,730    273,892 
Gjensidige Forsikring ASA   19,014    534,124 
Norsk Hydro ASA   469,204    5,194,761 
Telenor ASA   136,433    2,248,896 
         8,251,673 
Portugal—0.0%†
Galp Energia SGPS SA   7,349    171,893 
           
Singapore—4.4%
CapitaLand Ascendas REIT   291,600    573,130 
DBS Group Holdings Ltd.   265,255    12,231,085 
Grab Holdings Ltd., Class A*,1   33,010    126,098 

 

 

 

 

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Singapore—(continued)
Oversea-Chinese Banking Corp. Ltd.   178,000   $3,070,963 
Sea Ltd., ADR*   58,555    4,970,148 
Singapore Exchange Ltd.   130,900    2,238,225 
Singapore Technologies Engineering Ltd.   28,500    241,523 
United Overseas Bank Ltd.   311,298    8,865,474 
         32,316,646 
South Africa—0.3%
Anglo American PLC   32,735    1,619,889 
Valterra Platinum Ltd.1   3,803    308,967 
         1,928,856 
South Korea—0.0%†
Delivery Hero SE *,3   10,948    266,454 
           
Spain—4.2%
Acciona SA1   5,397    1,570,972 
Banco Bilbao Vizcaya Argentaria SA   192,565    4,252,297 
Banco Santander SA1   879,414    10,730,887 
CaixaBank SA   48,635    619,043 
Cellnex Telecom SA*,1,3   137,318    4,622,482 
EDP Renovaveis SA*,1   83,199    1,391,151 
Endesa SA1   39,701    1,780,537 
Grifols SA1   99,900    1,053,352 
Iberdrola SA1,2   128,959    3,023,342 
Industria de Diseno Textil SA2   29,586    1,770,741 
Naturgy Energy Group SA   4,134    130,075 
         30,944,879 
Sweden—1.6%
AddTech AB, Class B1   6,448    236,809 
Assa Abloy AB, Class B1   119,610    4,603,513 
Epiroc AB, Class A1   12,492    360,637 
Swedish Orphan Biovitrum AB*,1   53,213    2,496,386 
Tele2 AB, Class B   13,759    282,119 
Telefonaktiebolaget LM Ericsson, Class B2   90,791    1,083,046 
Volvo AB, Class B   71,962    2,508,360 
         11,570,870 
Switzerland—3.0%
ABB Ltd., Registered Shares   85,973    8,695,280 
Avolta AG2   7,283    402,484 
Cie Financiere Richemont SA, Class A2   7,791    1,495,228 
Galderma Group AG1   28,132    5,901,906 
Partners Group Holding AG2   432    469,672 
Schindler Holding AG   786    274,800 
Sika AG, Registered Shares2   2,383    439,583 
Temenos AG, Registered Shares   43,013    4,079,503 
         21,758,456 
Taiwan—1.2%
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   23,133    9,162,056 

 

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
United Kingdom—13.4%
3i Group PLC2   89,210   $3,102,521 
Associated British Foods PLC1   217,173    5,407,932 
AstraZeneca PLC   38,813    7,363,688 
BAE Systems PLC   114,563    3,186,403 
Barclays PLC2   154,427    907,708 
British American Tobacco PLC2   90,182    5,311,251 
Centrica PLC   1,779,522    5,197,524 
CK Hutchison Holdings Ltd.   894,000    7,465,066 
Entain PLC2   127,163    938,587 
GSK PLC2   278,582    7,303,715 
Halma PLC2   23,171    1,394,376 
HSBC Holdings PLC   440,429    8,103,812 
Imperial Brands PLC2   23,849    906,086 
JD Sports Fashion PLC2   859,421    788,953 
Lloyds Banking Group PLC   7,616,973    10,353,766 
London Stock Exchange Group PLC2   49,206    6,384,807 
Marks & Spencer Group PLC1   389,023    1,750,198 
National Grid PLC2   46,645    834,973 
NatWest Group PLC   488,290    3,894,538 
Next PLC2   4,201    741,428 
Rolls-Royce Holdings PLC   218,060    3,508,925 
SSE PLC   127,349    4,559,650 
United Utilities Group PLC   156,350    3,100,763 
Vodafone Group PLC2   2,154,945    3,428,830 
Wise PLC, Class A*,1   21,080    301,472 
WPP PLC1   642,839    2,327,443 
         98,564,415 
United States—9.6%
AP Moller - Maersk AS, Class B2   227    538,948 
BeOne Medicines Ltd., ADR*   16,888    4,986,520 
BP PLC2   672,644    5,324,536 
Experian PLC2   11,465    419,493 
Haleon PLC   550,981    2,544,358 
Holcim AG2   1,759    163,457 
Lululemon Athletica, Inc.*   19,673    2,708,972 
Nestle SA, Registered Shares2   149,689    15,154,461 
Novartis AG, Registered Shares   28,555    4,220,134 
Roche Holding AG2   17,259    7,033,040 
Sanofi SA1,2   103,627    9,697,047 
Shell PLC2   220,318    10,017,148 
Spotify Technology SA*   2,306    1,029,744 
Swiss Re AG2   2,273    366,155 
Waste Connections, Inc.   40,673    6,699,657 
         70,903,670 
Total common stocks
(cost—$629,174,253)
        822,793,921 

 

 

 

 

 

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
Warrants
   Value 
Warrant—0.0%
Canada—0.0%
Constellation Software, Inc. expires 03/31/40*,1,4,5
(cost—$0)
   2,948   $0 

 

   Number of
shares
     
Short-term investments—0.5%
Investment companies—0.5%
State Street Institutional U.S. Government Money Market Fund, 3.596%6
(cost—$3,796,753)
   3,796,753    3,796,753 
           
Investment of cash collateral from securities loaned—12.8%
Money market funds—12.8%
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%6
(cost—$94,129,371)
   94,129,371    94,129,371 
Total investments before investments sold short—125.1%
(Cost—$727,100,377)
        920,720,045 
           
Investments sold short—(13.7)%
Common stocks—(13.7)%
Australia—(1.3)%          
Cochlear Ltd.   (8,886)   (604,614)
Commonwealth Bank of Australia   (9,938)   (1,251,757)
CSL Ltd.   (10,854)   (979,688)
Medibank Pvt Ltd.   (19,948)   (67,830)
Qantas Airways Ltd.   (483,633)   (2,957,121)
Washington H Soul Pattinson & Co. Ltd.   (114,762)   (3,499,546)
         (9,360,556)
Belgium—(0.3)%          
D’ieteren Group   (7,368)   (1,522,533)
Syensqo SA   (14,397)   (955,085)
         (2,477,618)
Czech Republic—(0.1)%          
CSG NV   (32,188)   (697,111)
           
Denmark—(0.1)%          
Novonesis Novozymes B, Class B   (9,403)   (577,774)
Tryg AS   (6,810)   (163,635)
         (741,409)
Finland—(0.1)%          
Kesko OYJ, Class B   (28,150)   (693,817)
           
France—(0.4)%          
Aeroports de Paris SA   (7,167)   (870,243)
BioMerieux   (8,476)   (715,247)

 

 

 

   

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)
Common stocks—(continued)
France—(continued)          
Cie Generale des Etablissements Michelin SCA   (4,867)  $(176,312)
Dassault Systemes SE   (17,734)   (399,611)
Rexel SA   (5,318)   (224,915)
Societe Generale SA   (5,396)   (434,378)
Sodexo SA   (10,355)   (526,692)
         (3,347,398)
Germany—(0.7)%          
BASF SE   (6,119)   (392,452)
Beiersdorf AG   (11,397)   (944,807)
Brenntag SE   (12,160)   (885,551)
CTS Eventim AG & Co. KGaA   (20,106)   (1,327,070)
Deutsche Boerse AG   (3,359)   (1,030,534)
Deutsche Lufthansa AG, Registered Shares   (52,488)   (449,740)
         (5,030,154)
Hong Kong—(0.3)%          
Henderson Land Development Co. Ltd.   (42,000)   (166,014)
Sino Land Co. Ltd.   (1,138,021)   (1,824,895)
         (1,990,909)
Ireland—(0.1)%          
Kerry Group PLC, Class A   (9,511)   (806,041)
           
Italy—(0.5)%          
BPER Banca SpA   (129,715)   (1,914,824)
DiaSorin SpA   (7,368)   (502,683)
Moncler SpA   (18,660)   (1,126,534)
Poste Italiane SpA   (6,512)   (172,854)
         (3,716,895)
Ivory Coast—(0.1)%          
Endeavour Mining PLC   (7,523)   (454,064)
           
Japan—(4.5)%          
Daikin Industries Ltd.   (9,700)   (1,370,563)
Daito Trust Construction Co. Ltd.   (67,800)   (1,525,027)
Daiwa Securities Group, Inc.   (19,600)   (184,492)
FUJIFILM Holdings Corp.   (231,400)   (4,258,599)
Hikari Tsushin, Inc.   (2,300)   (558,523)
Honda Motor Co. Ltd.   (45,800)   (371,641)
Ibiden Co. Ltd.   (9,800)   (838,195)
Kawasaki Heavy Industries Ltd.   (31,500)   (647,590)
MEIJI Holdings Co. Ltd.   (23,400)   (555,396)
Mitsubishi HC Capital, Inc.   (25,100)   (227,986)
NIDEC Corp.   (21,400)   (329,641)
Nissan Motor Co. Ltd.   (239,600)   (548,209)
Nissin Foods Holdings Co. Ltd.   (65,500)   (1,172,656)
Olympus Corp.   (63,500)   (624,555)
Oriental Land Co. Ltd.   (136,000)   (1,892,165)
Otsuka Corp.   (19,400)   (359,870)

 

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)
Common stocks—(continued)
Japan—(continued)          
Secom Co. Ltd.   (57,300)  $(2,086,277)
Sekisui House Ltd.   (7,300)   (158,950)
Shimadzu Corp.   (77,900)   (1,810,822)
Shimano, Inc.   (24,400)   (2,559,923)
Shin-Etsu Chemical Co. Ltd.   (44,200)   (2,035,064)
Shiseido Co. Ltd.   (103,100)   (2,105,808)
Suntory Beverage & Food Ltd.   (14,200)   (409,221)
Sysmex Corp.   (339,300)   (2,996,168)
Yakult Honsha Co. Ltd.   (88,200)   (1,535,922)
Yamaha Motor Co. Ltd.   (278,900)   (1,958,986)
         (33,122,249)
Netherlands—(0.5)%          
Akzo Nobel NV   (17,809)   (1,045,330)
Randstad NV   (31,520)   (933,981)
Universal Music Group NV   (78,844)   (1,653,169)
         (3,632,480)
New Zealand—(0.2)%          
Auckland International Airport Ltd.   (119,003)   (580,907)
Fisher & Paykel Healthcare Corp. Ltd.   (31,636)   (681,764)
Infratil Ltd.   (64,436)   (474,669)
         (1,737,340)
Singapore—(0.2)%          
Keppel Ltd.   (41,600)   (356,072)
Keppel REIT   (4,622)   (3,254)
Singapore Airlines Ltd.   (291,600)   (1,444,215)
         (1,803,541)
Sweden—(1.4)%          
Alfa Laval AB   (15,996)   (962,627)
Boliden AB   (3,121)   (164,057)
Holmen AB, Class B   (24,774)   (854,701)
Industrivarden AB, Class C   (28,160)   (1,481,658)
Investment AB Latour, Class B   (41,158)   (944,854)
Investor AB, Class B   (106,451)   (4,320,374)
Nibe Industrier AB, Class B   (218,172)   (991,777)
SKF AB, Class B   (7,049)   (177,485)
Svenska Cellulosa AB SCA, Class B   (39,992)   (458,253)
         (10,355,786)
Switzerland—(0.9)%          
Banque Cantonale Vaudoise, Registered Shares   (11,719)   (1,846,617)
EMS-Chemie Holding AG, Registered Shares   (284)   (242,088)
Helvetia Baloise Holding AG   (674)   (184,800)
SGS SA   (12,838)   (1,390,998)
SIG Group AG   (11,826)   (191,632)
Swiss Prime Site AG, Registered Shares   (13,679)   (2,370,512)

 

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)
Common stocks—(continued)
Switzerland—(continued)          
Swisscom AG, Registered Shares   (410)  $(346,789)
         (6,573,436)
United Kingdom—(1.5)%          
BT Group PLC   (424,866)   (1,249,036)
Croda International PLC   (11,024)   (427,581)
Informa PLC   (406,952)   (4,400,007)
Legal & General Group PLC   (446,632)   (1,532,719)
Pearson PLC   (17,124)   (252,698)
Rentokil Initial PLC   (271,431)   (1,829,922)
Standard Life PLC   (102,185)   (1,051,288)
WPP PLC   (48,424)   (175,322)
         (10,918,573)
United States—(0.5)%          
Alcon AG   (9,244)   (690,086)
Ferrovial SE   (31,703)   (2,177,092)
Tenaris SA   (19,702)   (628,915)
         (3,496,093)
Total common stocks
(cost—$(101,785,665))
        (100,955,470)
           
Rights— 0.0%          
Italy—0.0%          
Telecom Italia SpA
(cost—$0)
   (2,272,477)   0 
Total investments sold short—(13.7)%
(proceeds—$(101,785,665))
        (100,955,470)
Total investments—111.4%
(cost—$625,314,712)7
        819,764,575 
Liabilities in excess of other assets—(11.4)%        (83,865,735)
Net assets—100.0%       $735,898,840 

  

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio’s investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $62,147,944   $760,645,977   $   —   $822,793,921 
Warrant           0    0 
Short-term investments   3,796,753            3,796,753 
Investment of cash collateral from securities loaned   94,129,371            94,129,371 
Total  $160,074,068   $760,645,977   $0   $920,720,045 
Liabilities                    
Common stocks  $   $(100,955,470)  $   $(100,955,470)
Total  $   $(100,955,470)  $   $(100,955,470)

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Portfolio.

 

 

Portfolio footnotes

 

† Amount represents less than 0.05% or (0.05)%.

* Non–income producing security.

 

 

 

  

PACE International Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

1 Security, or portion thereof, was on loan at the period end.
2 Security, or portion thereof, pledged as collateral for investments sold short.
3 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $15,857,974, represented 2.2% of the Portfolio’s net assets at period end.
4 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
5 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
6 Rate shown reflects yield at April 30, 2026.
7 Includes $98,532,980 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $94,129,371 and non-cash collateral of $7,734,304.

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—98.9%          
Argentina—1.1%          
Grupo Financiero Galicia SA, ADR*   10,019   $414,185 
Vista Energy SAB de CV, ADR*   73,881    5,490,836 
         5,905,021 
Australia—0.6%          
Anglogold Ashanti PLC   15,462    1,449,253 
Anglogold Ashanti PLC   18,141    1,685,828 
         3,135,081 
Brazil—12.3%          
Ambev SA   372,100    1,090,345 
B3 SA - Brasil Bolsa Balcao   1,909,300    6,951,953 
Banco Bradesco SA   52,846    178,437 
Banco Bradesco SA, ADR   836,740    3,246,551 
Banco BTG Pactual SA   175,700    2,105,505 
Banco do Brasil SA   893,500    4,007,560 
Embraer SA   228,300    3,551,887 
Embraer SA, ADR   34,579    2,168,103 
Inter & Co., Inc., Class A   225,814    1,713,928 
Itau Unibanco Holding SA, ADR   181,739    1,581,129 
Localiza Rent a Car SA   293,000    2,716,513 
Lojas Renner SA   386,540    1,061,623 
NU Holdings Ltd., Class A*   323,930    4,690,506 
Petroleo Brasileiro SA - Petrobras, ADR   451,995    9,957,450 
PRIO SA*   543,600    7,290,375 
Telefonica Brasil SA   242,400    1,921,362 
Vale SA   129,800    2,127,946 
Vale SA, ADR   225,613    3,691,029 
WEG SA   183,800    1,665,105 
XP, Inc., Class A   363,083    6,956,670 
         68,673,977 
Chile—1.0%          
Antofagasta PLC   50,333    2,441,034 
Sociedad Quimica y Minera de Chile SA, ADR*   36,053    3,323,005 
         5,764,039 
China—21.9%          
Alibaba Group Holding Ltd.   1,055,539    17,396,348 
Alibaba Group Holding Ltd., ADR1   4,034    532,004 
Beijing New Building Materials PLC, Class A   830,535    3,156,738 
Beijing Oriental Yuhong Waterproof Technology Co. Ltd., Class A   1,532,350    3,363,017 
Budweiser Brewing Co. APAC Ltd.1,2   2,334,400    2,301,696 
BYD Co. Ltd., Class H   268,100    3,566,310 
China Jushi Co. Ltd., Class A   1,078,756    5,475,499 
China Overseas Land & Investment Ltd.   2,794,387    4,799,848 
Contemporary Amperex Technology Co. Ltd., Class A   147,220    9,450,244 
Country Garden Services Holdings Co. Ltd.   975,152    778,436 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
China—(continued)          
Eve Energy Co. Ltd., Class A   119,000   $1,272,900 
Fuyao Glass Industry Group Co. Ltd., Class A   366,700    3,173,424 
GF Securities Co. Ltd., Class H   198,000    448,890 
Guangzhou Tinci Materials Technology Co. Ltd., Class A   180,000    1,601,954 
Hengli Petrochemical Co. Ltd., Class A   932,430    3,029,633 
Horizon Robotics*,1   1,096,800    1,031,992 
Industrial & Commercial Bank of China Ltd., Class H   4,167,000    3,754,259 
JD Health International, Inc.*,2   235,200    1,390,006 
Kanzhun Ltd., ADR   89,252    1,206,687 
Kuaishou Technology2   214,007    1,191,340 
Kweichow Moutai Co. Ltd., Class A   16,100    3,263,326 
Li Ning Co. Ltd.   1,211,500    3,154,102 
Longfor Group Holdings Ltd.2   1,176,500    1,218,180 
Muyuan Foods Co. Ltd., Class A   77,200    506,298 
Muyuan Foods Co. Ltd., Class H*   175,100    926,862 
NetEase, Inc.   86,500    2,024,894 
Ningbo Tuopu Group Co. Ltd., Class A   136,900    1,220,819 
Ping An Insurance Group Co. of China Ltd., Class A   902,900    7,871,924 
Shanghai Putailai New Energy Technology Group Co. Ltd.   146,640    781,785 
Shenzhen Inovance Technology Co. Ltd., Class A   244,200    2,461,501 
Tencent Holdings Ltd.   288,411    17,515,845 
Trip.com Group Ltd., ADR*   42,702    2,314,875 
Victory Giant Technology Huizhou Co. Ltd., Class A   18,700    913,861 
Victory Giant Technology Huizhou Co. Ltd., Class H*   950    38,740 
Wanhua Chemical Group Co. Ltd., Class A   101,900    1,339,790 
WuXi XDC Cayman, Inc.*   428,000    3,249,903 
YongXing Special Materials Technology Co. Ltd., Class A   238,900    3,057,860 
Zijin Mining Group Co. Ltd., Class H   268,000    1,244,592 
         122,026,382 
Czech Republic—0.4%          
CSG NV *,1   105,097    2,276,137 
           
Greece—0.9%          
Eurobank SA   630,515    2,743,403 
Piraeus Bank SA   251,548    2,381,417 
         5,124,820 
Hong Kong—1.2%          
AIA Group Ltd.   246,000    2,700,776 
ASMPT Ltd.   59,700    1,250,561 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Hong Kong—(continued)          
Melco Resorts & Entertainment Ltd., ADR*   211,530   $1,220,528 
Techtronic Industries Co. Ltd.   42,500    616,237 
Zijin Gold International Co. Ltd.*   52,320    1,033,504 
         6,821,606 
Hungary—0.5%          
OTP Bank Nyrt   21,889    2,935,947 
           
India—7.7%          
Bajaj Finance Ltd.   284,834    2,829,153 
Bharat Electronics Ltd.   459,076    2,095,778 
Bharti Airtel Ltd.   301,993    6,036,818 
CG Power & Industrial Solutions Ltd.   57,341    492,607 
Eicher Motors Ltd.   19,947    1,500,909 
GE Vernova T&D India Ltd.   32,140    1,511,914 
GMR Airports Ltd.*   3,090,636    3,158,306 
HDFC Bank Ltd.   383,776    3,138,931 
HDFC Bank Ltd., ADR   53,450    1,358,165 
Hindalco Industries Ltd.   276,748    3,034,486 
ICICI Bank Ltd.   105,029    1,409,314 
Indian Oil Corp. Ltd.   915,119    1,377,638 
IndusInd Bank Ltd.*   333,700    3,240,062 
Lodha Developers Ltd.2   229,732    2,189,716 
Mahindra & Mahindra Ltd.   19,755    647,910 
Marico Ltd.   248,543    2,034,613 
Max Healthcare Institute Ltd.   160,647    1,690,251 
Polycab India Ltd.   20,391    1,751,332 
SBI Life Insurance Co. Ltd.2   59,184    1,136,670 
Tata Steel Ltd.   1,070,449    2,393,692 
         43,028,265 
Indonesia—1.6%          
Bank Central Asia Tbk. PT   3,627,300    1,229,800 
Bank Mandiri Persero Tbk. PT   14,407,500    3,666,008 
Bank Rakyat Indonesia Persero Tbk. PT   24,212,546    4,188,639 
         9,084,447 
Kazakhstan—0.2%          
Halyk Savings Bank of Kazakhstan JSC, GDR3   23,126    791,622 
           
Macau—0.6%          
Galaxy Entertainment Group Ltd.   333,000    1,420,699 
Sands China Ltd.   1,020,000    2,140,116 
         3,560,815 
Mexico—1.0%          
Grupo Financiero Banorte SAB de CV, Class O   306,100    3,323,757 
Wal-Mart de Mexico SAB de CV   721,100    2,273,291 
         5,597,048 
Nigeria—0.3%          
Guaranty Trust Holding Co. PLC1   16,421,120    1,617,365 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Peru—0.2%          
Credicorp Ltd.   3,079   $998,119 
           
Poland—0.6%          
Powszechna Kasa Oszczednosci Bank Polski SA   67,218    1,760,816 
Zabka Group SA*   261,778    1,671,512 
         3,432,328 
Russia—0.0%          
Alrosa PJSC*,4,5   215,380    0 
Rosneft Oil Co. PJSC*,4,5   126,429    0 
         0 
Saudi Arabia—0.2%          
Saudi Basic Industries Corp.   75,648    1,236,284 
           
Singapore—0.4%          
Grab Holdings Ltd., Class A*   509,961    1,948,051 
           
South Africa—4.0%          
Absa Group Ltd.1   138,891    1,947,406 
Capitec Bank Holdings Ltd.   11,847    3,075,475 
Clicks Group Ltd.   28,221    448,024 
FirstRand Ltd.   549,494    2,913,460 
Gold Fields Ltd.   55,223    2,339,370 
Gold Fields Ltd., ADR   35,799    1,520,742 
Impala Platinum Holdings Ltd.   112,652    1,579,048 
MTN Group Ltd.   164,920    2,076,026 
Naspers Ltd., Class N   84,820    4,592,994 
Standard Bank Group Ltd.   99,430    1,916,152 
         22,408,697 
South Korea—19.3%          
Hana Financial Group, Inc.   29,424    2,556,403 
Hankook Tire & Technology Co. Ltd.   27,619    1,111,418 
HD Hyundai Marine Solution Co. Ltd.   14,328    2,590,591 
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.   6,596    2,065,390 
Hyosung Heavy Industries Corp.   831    2,238,556 
Hyundai Mobis Co. Ltd.   15,311    4,428,231 
Kakao Corp.   49,763    1,602,023 
KB Financial Group, Inc.   44,945    4,921,707 
Kia Corp.   28,244    2,913,135 
LG Chem Ltd.   7,191    1,947,632 
Samsung Biologics Co. Ltd.*,2   2,061    2,054,897 
Samsung Electro-Mechanics Co. Ltd.   15,731    9,024,640 
Samsung Electronics Co. Ltd.   254,221    38,282,526 
Samsung SDI Co. Ltd.*   8,611    4,078,230 
Shinhan Financial Group Co. Ltd.   26,978    1,832,041 
SK Hynix, Inc.   21,336    19,026,762 
SK Square Co. Ltd.*   7,194    4,186,913 
SK Telecom Co. Ltd.   40,649    2,634,139 
         107,495,234 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)          
Taiwan—18.5%          
Accton Technology Corp.   14,500   $1,061,930 
Alchip Technologies Ltd.   18,700    2,501,217 
ASE Technology Holding Co. Ltd.   221,000    3,464,097 
Chailease Holding Co. Ltd.   426,813    1,564,251 
Fortune Electric Co. Ltd.   112,000    3,189,363 
Hon Hai Precision Industry Co. Ltd.   1,217,000    8,598,128 
MediaTek, Inc.   117,969    9,848,242 
Taiwan Semiconductor Manufacturing Co. Ltd.   527,475    36,618,290 
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   46,160    18,282,130 
Unimicron Technology Corp.   290,886    8,262,134 
Wistron Corp.   406,000    1,788,081 
Yageo Corp.   744,012    7,585,712 
         102,763,575 
Thailand—1.2%          
Kasikornbank PCL   598,300    3,561,930 
SCB X PCL   733,100    2,948,820 
         6,510,750 
Turkey—1.1%          
Akbank TAS   1,550,623    2,511,312 
BIM Birlesik Magazalar AS   79,924    1,313,031 
KOC Holding AS   492,730    2,206,207 
         6,030,550 
United Arab Emirates—0.5%          
Aldar Properties PJSC   718,989    1,512,109 
Emirates NBD Bank PJSC   157,184    1,241,890 
         2,753,999 
United States—0.4%          
Las Vegas Sands Corp.   35,950    1,963,229 
           
Vietnam—0.6%          
Hoa Phat Group JSC   1,030,085    1,086,363 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)          
Vietnam—(continued)          
Masan Group Corp.*   490,900   $1,432,276 
VPS Securities JSC*   429,200    564,659 
         3,083,298 
Zambia—0.6%          
First Quantum Minerals Ltd.*   132,443    3,242,945 
Total common stocks
(cost—$400,379,937)
        550,209,631 
           
Preferred stocks—0.3%          
Brazil—0.3%          
Itau Unibanco Holding SA6   211,309    1,843,054 
Localiza Rent a Car SA   11,269    100,451 
Total preferred stocks
(cost—$1,243,860)
        1,943,505 
           
Short-term investments—0.7%          
Investment companies—0.7%          
State Street Institutional U.S. Government Money Market Fund, 3.596%7
(cost—$3,772,815)
   3,772,815    3,772,815 
           
Investment of cash collateral from securities loaned—1.0%          
Money market funds—1.0%          
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%7
(cost—$5,464,475)
   5,464,475    5,464,475 
Total investments—100.9%
(cost—$410,861,087)8
        561,390,426 
Liabilities in excess of other assets—(0.9)%        (4,813,263)
Net assets—100.0%       $556,577,163 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $120,501,381   $429,708,250   $0   $550,209,631 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – April 30, 2026 (unaudited)

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Preferred stocks  $1,943,505   $   $   $1,943,505 
Short-term investments   3,772,815            3,772,815 
Investment of cash collateral from securities loaned   5,464,475            5,464,475 
Total  $131,682,176   $429,708,250   $0   $561,390,426 

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Portfolio.

 

 

Portfolio footnotes 

 

* Non–income producing security.
1 Security, or portion thereof, was on loan at the period end.
2 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $11,482,505, represented 2.1% of the Portfolio's net assets at period end.
3 Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
4 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
5 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
6 Floating or variable rate securities. The rates disclosed are as of April 30, 2026. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
7 Rate shown reflects yield at April 30, 2026.
8 Includes $7,396,996 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $5,464,475 and non-cash collateral of $2,296,029.

 

 

 

PACE Global Real Estate Securities Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—98.9%          
Australia—8.7%          
Charter Hall Group   51,357   $756,287 
Goodman Group1   97,551    2,113,515 
GPT Group   218,295    752,866 
Scentre Group   417,047    1,120,685 
         4,743,353 
Belgium—2.1%          
Shurgard Self Storage Ltd.   24,153    742,938 
Warehouses De Pauw CVA1   14,164    372,290 
         1,115,228 
France—3.6%          
Klepierre SA   15,655    634,281 
Unibail-Rodamco-Westfield*   10,966    1,331,354 
         1,965,635 
Hong Kong—2.3%          
Hongkong Land Holdings Ltd.   76,100    601,649 
Swire Properties Ltd.   207,600    663,308 
         1,264,957 
Japan—9.2%          
Industrial & Infrastructure Fund Investment Corp.   505    472,673 
Japan Metropolitan Fund Invest   1,076    797,428 
Mitsubishi Estate Co. Ltd.   65,100    1,855,234 
Mitsui Fudosan Accommodations Fund, Inc.   530    442,752 
Nippon Building Fund, Inc.1   970    814,577 
Star Asia Investment Corp.   192    69,078 
Tokyo Tatemono Co. Ltd.   24,200    556,861 
         5,008,603 
Singapore—2.5%          
CapitaLand Integrated Commercial Trust   588,600    1,096,277 
Parkway Life Real Estate Investment Trust   72,100    228,133 
         1,324,410 
United Kingdom—6.6%          
Big Yellow Group PLC   40,581    498,492 
Derwent London PLC1   11,381    266,278 
Grainger PLC   282,412    616,801 
Land Securities Group PLC   93,790    754,661 
LondonMetric Property PLC   156,621    403,154 
Segro PLC   111,665    1,057,689 
         3,597,075 
United States—63.9%          
Acadia Realty Trust1   45,760    989,331 
American Homes 4 Rent, Class A   33,341    1,061,577 
Americold Realty Trust, Inc.   36,072    441,161 
BXP, Inc.   12,259    716,661 
Cousins Properties, Inc.   25,597    655,539 
Digital Realty Trust, Inc.   10,810    2,172,161 
Equinix, Inc.   2,979    3,225,751 

 

 

 

 

PACE Global Real Estate Securities Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)          
United States—(continued)          
Equity LifeStyle Properties, Inc.   19,383   $1,226,750 
Equity Residential   15,616    1,020,974 
Essential Properties Realty Trust, Inc.1   22,241    699,035 
Essex Property Trust, Inc.   3,423    900,968 
Extra Space Storage, Inc.   5,566    797,775 
Federal Realty Investment Trust   9,735    1,079,612 
Healthcare Realty Trust, Inc.   55,103    1,030,426 
Healthpeak Properties, Inc.   16,459    266,142 
Highwoods Properties, Inc.   31,968    777,142 
Janus Living, Inc., Class A-1*   39,438    1,034,853 
Kimco Realty Corp.   35,543    840,237 
Lamar Advertising Co., Class A   7,715    1,063,436 
Mid-America Apartment Communities, Inc.   7,172    926,479 
NNN REIT, Inc.   20,108    880,529 
Prologis, Inc.   32,023    4,547,907 
Regency Centers Corp.   10,822    842,493 
Rexford Industrial Realty, Inc.   20,151    723,219 
Ryman Hospitality Properties, Inc.   7,238    760,641 
Simon Property Group, Inc.   10,371    2,112,676 
Sunstone Hotel Investors, Inc.   59,693    586,185 
Ventas, Inc.   25,171    2,211,524 
VICI Properties, Inc.   37,596    1,097,803 
         34,688,987 
Total common stocks
(cost—$50,479,965)
        53,708,248 

 

   Face
amount
     
U.S. government agency obligations—1.1%          
Federal Home Loan Bank Discount Notes, 3.600%, due 05/01/262
(cost—$568,000)
  $568,000    568,000 

 

 

   Number of
shares
     
Short-term investments—0.0%          
Investment companies—0.0%          
State Street Institutional U.S. Government Money Market Fund, 3.596%3
(cost—$849)
   849    849 

 

 

 

 

PACE Global Real Estate Securities Investments 

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investment of cash collateral from securities loaned—4.5%          
Money market funds—4.5%          
State Street Navigator Securities Lending Government Money Market Portfolio, 3.626%3
(cost—$2,451,430)
   2,451,430   $2,451,430 
Total investments—104.5%
(cost—$53,500,244)4
        56,728,527 
Liabilities in excess of other assets—(4.5)%        (2,423,642)
Net assets—100.0%       $54,304,885 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $34,688,987   $19,019,261   $   $53,708,248 
U.S. government agency obligations       568,000        568,000 
Short-term investments   849            849 
Investment of cash collateral from securities loaned   2,451,430            2,451,430 
Total  $37,141,266   $19,587,261   $   $56,728,527 

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes 

 

Amount represents less than 0.05% or (0.05)%.
* Non–income producing security.
1 Security, or portion thereof, was on loan at the period end.
2 Rate shown is the discount rate at the date of purchase unless otherwise noted.
3 Rate shown reflects yield at April 30, 2026.
4 Includes $3,566,632 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $2,451,430 and non-cash collateral of $1,238,561.

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—21.8%
Australia—0.0%†
Coles Group Ltd.   93   $1,482 
CSL Ltd.   25    2,257 
Goodman Group   1,669    36,160 
Rio Tinto PLC   56    5,641 
Westpac Banking Corp.   196    5,483 
         51,023 
Austria—0.0%†
Erste Group Bank AG   18    1,989 
           
Belgium—0.0%†
Elia Group SA*   189    31,344 
Groupe Bruxelles Lambert NV   16    1,495 
KBC Group NV   15    1,996 
         34,835 
Brazil—0.0%†
Cosan SA*   640    651 
           
Cameroon—0.2%
Golar LNG Ltd.   7,797    428,757 
           
Canada—0.1%
Bank of Nova Scotia   70    5,446 
Boralex, Inc., Class A   44    1,191 
Dollarama, Inc.   415    53,038 
Loblaw Cos. Ltd.   39    1,798 
Shopify, Inc., Class A*   66    8,011 
TELUS Corp.   76    952 
WSP Global, Inc.   209    34,773 
         105,209 
China—0.1%
Sigenergy Technology Co. Ltd., Class H*   1,725    125,535 
           
Denmark—0.0%†
Danske Bank AS   400    20,564 
DSV AS   132    32,464 
Novo Nordisk AS, Class B   519    22,076 
         75,104 
Faeroe Islands—0.0%†
Bakkafrost P   137    6,816 
           
France—0.0%†
Dassault Aviation SA   51    17,835 
Engie SA   69    2,274 
Gaztransport Et Technigaz SA   64    15,571 
Hermes International SCA   7    13,392 
Safran SA   20    6,422 
SCOR SE   43    1,605 
Veolia Environnement SA   36    1,522 
         58,621 
Germany—0.6%
Bayer AG, Registered Shares   103    4,618 
Deutsche Boerse AG   6    1,841 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Germany—(continued)
E.ON SE   1,467   $32,574 
MTU Aero Engines AG   4,343    1,489,459 
Rheinmetall AG   32    51,034 
RWE AG   34    2,476 
SAP SE   80    13,431 
Siemens AG, Registered Shares   38    11,292 
         1,606,725 
Hong Kong—0.0%†
AIA Group Ltd.   552    6,060 
           
Ireland—0.0%†
Bank of Ireland Group PLC   119    2,344 
Kingspan Group PLC   313    28,960 
         31,304 
Italy—0.3%
Brunello Cucinelli SpA   11    1,073 
Enel SpA   419    4,892 
Prysmian SpA   5,413    823,367 
Terna - Rete Elettrica Nazionale   1,702    20,472 
UniCredit SpA   70    5,410 
         855,214 
Japan—1.5%
77 Bank Ltd.   1,072    20,637 
Capcom Co. Ltd.   51    1,077 
Chiba Bank Ltd.   2,948    40,692 
Daiichi Sankyo Co. Ltd.   671    10,900 
Daikin Industries Ltd.   12    1,695 
Disco Corp.   4    1,903 
Fast Retailing Co. Ltd.   106    49,899 
FUJIFILM Holdings Corp.   2,700    49,690 
Fujikura Ltd.   7,419    286,247 
Fukuoka Financial Group, Inc.   676    27,596 
Gunma Bank Ltd.   554    7,586 
Hachijuni Nagano Bank Ltd.   479    6,490 
Hirogin Holdings, Inc.   1,373    16,220 
Hitachi Ltd.   11,915    378,877 
Ibiden Co. Ltd.   4    342 
IHI Corp.   3,300    60,276 
ITOCHU Corp.   322    3,991 
Itochu Enex Co. Ltd.   1,002    12,193 
Japan Aviation Electronics Industry Ltd.   200    3,058 
Japan Steel Works Ltd.   200    12,222 
Kawasaki Heavy Industries Ltd.   2,000    41,117 
KDDI Corp.   180    2,946 
Komatsu Ltd.   2,200    94,200 
Kyushu Financial Group, Inc.   1,593    13,009 
Mebuki Financial Group, Inc.   4,243    35,227 
Minebea Mitsumi, Inc.   1,200    23,992 
Mitsubishi Electric Corp.   21,577    865,906 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Japan—(continued)
Mitsubishi Heavy Industries Ltd.   8,000   $238,767 
Mitsubishi UFJ Financial Group, Inc.   3,664    65,816 
Mizuho Financial Group, Inc.   1,193    51,302 
MS&AD Insurance Group Holdings, Inc.   47    1,209 
NEC Corp.   3,600    95,760 
NIDEC Corp.   19,119    294,504 
Nintendo Co. Ltd.   282    13,795 
Nishi-Nippon Financial Holdings, Inc.   417    10,470 
Panasonic Holdings Corp.   32,644    667,759 
Resona Holdings, Inc.   4,525    56,597 
Seven Bank Ltd.   1,934    3,266 
Shiga Bank Ltd.   1,059    13,056 
Shinmaywa Industries Ltd.   200    3,269 
Shizuoka Financial Group, Inc.   1,415    24,841 
Sompo Holdings, Inc.   41    1,526 
Sony Group Corp.   2,434    48,766 
Sumitomo Corp.   2,900    107,828 
Sumitomo Heavy Industries Ltd.   300    10,150 
Sumitomo Mitsui Financial Group, Inc.   673    23,763 
Sumitomo Mitsui Trust Group, Inc.   1,236    41,324 
Tohoku Electric Power Co., Inc.   138    964 
Tokio Marine Holdings, Inc.   77    3,526 
Toray Industries, Inc.   3,600    25,847 
Toyota Tsusho Corp.   69    2,709 
Unicharm Corp.   2,938    17,163 
Yamaguchi Financial Group, Inc.   1,295    22,252 
Yokohama Financial Group, Inc.   4,762    45,204 
         3,959,421 
Netherlands—0.1%
ASM International NV   2    1,956 
BE Semiconductor Industries NV   64    18,721 
NXP Semiconductors NV   1,052    308,857 
SBM Offshore NV   591    25,284 
         354,818 
Norway—0.0%†
Aker BP ASA   15    586 
Aker Solutions ASA   3,668    16,714 
Equinor ASA   46    1,872 
Kongsberg Gruppen ASA   20    669 
Kongsberg Maritime AS*   20    131 
Mowi ASA   616    13,667 
Salmar ASA   98    5,934 
TOMRA Systems ASA   80    817 
         40,390 
Spain—0.0%†
Amadeus IT Group SA   27    1,558 
EDP Renovaveis SA*   175    2,926 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Spain—(continued)
Iberdrola SA   1,186   $27,805 
         32,289 
Sweden—0.0%†
Assa Abloy AB, Class B   33    1,270 
Atlas Copco AB, Class B   79    1,347 
Saab AB, Class B   1,176    71,387 
         74,004 
Switzerland—0.0%†
Kuehne & Nagel International AG, Registered Shares   4    939 
Schindler Holding AG   4    1,399 
Zurich Insurance Group AG   8    5,578 
         7,916 
United Kingdom—0.1%
3i Group PLC   30    1,043 
AstraZeneca PLC   80    15,178 
Barclays PLC   437    2,569 
Compass Group PLC   620    17,519 
Computacenter PLC   39    1,975 
Future PLC   765    3,496 
HSBC Holdings PLC   1,843    33,911 
ICG PLC   39    961 
Lloyds Banking Group PLC   1,863    2,532 
London Stock Exchange Group PLC   24    3,114 
NatWest Group PLC   206    1,643 
Savills PLC   788    8,888 
Segro PLC   119    1,127 
Softcat PLC   57    1,070 
SSE PLC   717    25,672 
Standard Chartered PLC   1,901    48,409 
Unilever PLC   117    6,823 
UNITE Group PLC   104    655 
         176,585 
United States—18.8%
Abbott Laboratories   95    8,625 
AbbVie, Inc.   161    34,023 
ABIOMED, Inc.*,1   42    70 
Adobe, Inc.*   33    8,121 
Advanced Micro Devices, Inc.*   119    42,184 
Airbnb, Inc., Class A*   187    26,247 
Albemarle Corp.   1,708    335,964 
Allstate Corp.   13    2,824 
Alphabet, Inc., Class C   401    153,158 
Alphabet, Inc., Class A   469    180,471 
Amazon.com, Inc.*   8,215    2,177,468 
American Airlines Group, Inc.*   13,802    161,621 
American Express Co.   103    33,274 
American Water Works Co., Inc.   9    1,156 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
United States—(continued)
AMETEK, Inc.   196   $46,158 
Amgen, Inc.   28    9,695 
Aon PLC, Class A   105    32,723 
Apple, Inc.   1,147    311,238 
Applied Materials, Inc.   119    46,944 
Arch Capital Group Ltd.*   383    36,178 
Arthur J Gallagher & Co.   70    14,448 
AT&T, Inc.   341    8,910 
Atlassian Corp., Class A*   7,074    485,206 
Autodesk, Inc.*   109    25,833 
Automatic Data Processing, Inc.   22    4,663 
AutoZone, Inc.*   7    25,928 
Avantor, Inc.*   60,753    492,099 
Baker Hughes Co.   819    57,060 
Bank of America Corp.   521    27,853 
Bill Holdings, Inc.*,2   666    25,308 
Blackrock, Inc.   28    29,837 
Bob’s Discount Furniture, Inc.*   43,129    463,205 
Booz Allen Hamilton Holding Corp.   8    622 
Boston Scientific Corp.*   400    23,044 
BP PLC   910    7,203 
Bristol-Myers Squibb Co.   112    6,786 
Broadcom, Inc.   463    193,270 
Builders FirstSource, Inc.*   6    475 
Cadence Design Systems, Inc.*   14    4,614 
Cardinal Health, Inc.   480    92,582 
Carrier Global Corp.   357    23,980 
Carvana Co.*   1,010    399,758 
Cavco Industries, Inc.*   559    283,413 
Celsius Holdings, Inc.*   42    1,410 
Cencora, Inc.   386    118,892 
Centene Corp.*   20    1,074 
CF Industries Holdings, Inc.   11    1,366 
CH Robinson Worldwide, Inc.   2,609    474,342 
Champion Homes, Inc.*   3,631    276,791 
Chevron Corp.   117    22,617 
Chipotle Mexican Grill, Inc.*   432    14,684 
Churchill Downs, Inc.   14,579    1,472,333 
Cigna Group   74    21,503 
Cisco Systems, Inc.   298    27,267 
CME Group, Inc.   18    5,181 
CNX Resources Corp.*   648    25,214 
Coherent Corp.*   3,116    996,216 
Colgate-Palmolive Co.   84    7,170 
Comcast Corp., Class A   201    5,435 
Consolidated Edison, Inc.   4,525    504,492 
Constellation Energy Corp.   1,453    454,789 
CorMedix, Inc.*,2   330    2,505 
Corpay, Inc.*   95    29,115 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
United States—(continued)
Corteva, Inc.   43   $3,483 
Costco Wholesale Corp.   92    93,337 
Cracker Barrel Old Country Store, Inc.2   148    4,635 
Crown Castle, Inc.   17,107    1,518,759 
CVS Health Corp.   68    5,664 
Danaher Corp.   160    28,632 
Deckers Outdoor Corp.*   72    7,358 
Devon Energy Corp.   40    2,055 
Diamondback Energy, Inc.   15    3,084 
DR Horton, Inc.   121    18,617 
Duke Energy Corp.   3,903    505,634 
Edison International   2,466    171,362 
Edwards Lifesciences Corp.*   52    4,342 
Elastic NV*   10,304    478,415 
Elevance Health, Inc.   48    18,068 
Eli Lilly & Co.   96    89,722 
Emerson Electric Co.   211    29,633 
Enovix Corp.*   29,273    195,251 
Enphase Energy, Inc.*   5,667    186,784 
Entergy Corp.   9,748    1,149,387 
Equifax, Inc.   5    870 
Estee Lauder Cos., Inc., Class A   17    1,304 
Etsy, Inc.*   7,675    493,810 
Eversource Energy   1,989    140,622 
Exelon Corp.   10,551    485,241 
Experian PLC   30    1,098 
Exxon Mobil Corp.   278    42,904 
FactSet Research Systems, Inc.   2    455 
Fair Isaac Corp.*   7    7,175 
FedEx Corp.   1,862    750,963 
FirstEnergy Corp.   31,444    1,494,219 
Fiserv, Inc.*   252    15,788 
Flex Ltd.*   6,916    633,160 
Forgent Power Solutions, Inc.*   3,810    143,332 
Fortinet, Inc.*   35    2,951 
Franklin Resources, Inc.   17,998    539,400 
Goldman Sachs Group, Inc.   16    14,780 
Halliburton Co.   63    2,665 
Healthcare Realty Trust, Inc.   63,663    1,190,498 
Hecla Mining Co.   1,861    33,535 
HubSpot, Inc.*   2    444 
Humana, Inc.   4    946 
Huntington Ingalls Industries, Inc.   985    358,826 
Illumina, Inc.*   15    1,901 
Ingersoll Rand, Inc.   372    29,708 
Insulet Corp.*   79    13,599 
Interactive Brokers Group, Inc., Class A   648    51,516 
International Flavors & Fragrances, Inc.   13,604    955,001 
Intuit, Inc.   15    5,828 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
United States—(continued)
Johnson & Johnson   213   $48,958 
Johnson Controls International PLC   4,046    590,837 
JPMorgan Chase & Co.   358    112,136 
KB Home   14    742 
KBR, Inc.   18,770    703,687 
Keysight Technologies, Inc.*   1,462    511,568 
Kinder Morgan, Inc.   46,250    1,520,238 
KLA Corp.   7    12,252 
Kroger Co.   1,020    69,431 
Lam Research Corp.   67    17,277 
Lennar Corp., Class A   115    10,385 
Lowe’s Cos., Inc.   29    6,925 
Madison Air Solutions Corp., Class A*   1,232    47,038 
Marsh & McLennan Cos., Inc.   25    4,193 
Masco Corp.   26    1,867 
MasTec, Inc.*   4,933    1,943,849 
Mastercard, Inc., Class A   124    62,362 
McDonald’s Corp.   54    15,854 
McKesson Corp.   159    129,617 
Merck & Co., Inc.   222    24,238 
Meta Platforms, Inc., Class A   185    113,203 
Mettler-Toledo International, Inc.*   8    10,213 
Microchip Technology, Inc.   19    1,765 
Microsoft Corp.   589    240,182 
Monster Beverage Corp.*   587    45,240 
Morgan Stanley   166    31,638 
Mosaic Co.   31    721 
MSCI, Inc.   19    11,237 
Netflix, Inc.*   373    34,917 
Newmont Corp.1   35    3,888 
NextEra Energy, Inc.   16,628    1,627,549 
Novanta, Inc.*   6    777 
Novartis AG, Registered Shares   102    15,075 
NRG Energy, Inc.   3,153    490,544 
nVent Electric PLC   299    42,727 
NVIDIA Corp.   1,977    394,550 
Oceaneering International, Inc.*   361    13,552 
Okta, Inc.*   13    957 
Omnicom Group, Inc.   11    844 
Oracle Corp.   226    36,474 
Palantir Technologies, Inc., Class A*   69    9,599 
Palo Alto Networks, Inc.*   197    35,326 
PAR Technology Corp.*   1,567    21,061 
Parsons Corp.*   9,647    486,305 
PayPal Holdings, Inc.   67    3,359 
Pebblebrook Hotel Trust   35,408    497,482 
Penn Entertainment, Inc.*   54,957    959,549 
PepsiCo, Inc.   147    23,298 
PG&E Corp.   26,044    432,851 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
United States—(continued)
Phillips 66   26   $4,658 
PPL Corp.   12,842    480,805 
Primo Brands Corp.   58,915    1,200,688 
Procter & Gamble Co.   313    46,039 
Progressive Corp.   197    39,652 
Prologis, Inc.   48    6,817 
PTC, Inc.*   58    7,905 
PulteGroup, Inc.   8    979 
QUALCOMM, Inc.   85    15,264 
Quanta Services, Inc.   7    5,094 
Republic Services, Inc.   216    45,192 
Rivian Automotive, Inc., Class A*   8,340    136,776 
ROBLOX Corp., Class A*   21    1,160 
Rocket Cos., Inc., Class A*   102,144    1,493,345 
Royal Gold, Inc.   163    38,041 
RTX Corp.   70    12,325 
S&P Global, Inc.   63    27,168 
Salesforce, Inc.   71    12,534 
Sanofi SA   58    5,427 
SBA Communications Corp.   4,541    1,004,469 
Schneider Electric SE   100    31,821 
Sempra   223    21,212 
SLB Ltd.   713    40,555 
SolarEdge Technologies, Inc.*   5,258    225,358 
Solv Energy, Inc., Class A*   5,171    206,013 
Southern Co.   5,324    514,831 
Southwest Airlines Co.   3,137    118,955 
Spotify Technology SA*   8    3,572 
Starbucks Corp.   61    6,425 
Stellantis NV*   57,971    425,390 
Sunbelt Rentals Holdings, Inc.   13    977 
Sunococorp LLC   124    8,268 
Super Micro Computer, Inc.*   37    1,014 
Swiss Re AG   9    1,450 
Synopsys, Inc.*   1    483 
Take-Two Interactive Software, Inc.*   103    22,017 
Teledyne Technologies, Inc.*   2    1,292 
Tesla, Inc.*   214    81,669 
Texas Pacific Land Corp.   5    2,218 
Thermo Fisher Scientific, Inc.   74    35,443 
TJX Cos., Inc.   159    24,923 
T-Mobile U.S., Inc.   27    5,279 
Toll Brothers, Inc.   3,387    481,428 
Trade Desk, Inc., Class A*   23    543 
Trane Technologies PLC   115    56,642 
Travelers Cos., Inc.   177    54,010 
Tyler Technologies, Inc.*   2    682 
Uber Technologies, Inc.*   604    45,064 
UL Solutions, Inc., Class A   4,699    425,213 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

    Number of
shares
    Value  
Common stocks—(continued)                
United States—(continued)                
Under Armour, Inc., Class A*     29,784     $ 187,341  
UnitedHealth Group, Inc.     1,424       527,564  
Vail Resorts, Inc.     18,265       2,322,943  
Verizon Communications, Inc.     42,294       2,031,381  
Versant Media Group, Inc.     8       322  
Visa, Inc., Class A     233       76,853  
Voya Financial, Inc.     13       1,065  
Walmart, Inc.     1,512       199,478  
Waste Connections, Inc.     160       26,357  
Waste Management, Inc.     94       21,860  
WEX, Inc.*     133       19,994  
Williams Cos., Inc.     8,393       640,470  
Wolfspeed, Inc.*     13,255       391,420  
Xcel Energy, Inc.     22,854       1,895,739  
Zions Bancorp NA     7,910       501,652  
              50,423,257  
Total common stocks
(cost—$53,280,561)
            58,456,523  
                 
Exchange traded funds—1.3%                
iShares GSCI Commodity Dynamic Roll Strategy ETF     63,811       2,306,742  
SPDR Gold Shares     3,010       1,275,217  
Total exchange traded funds
(cost—$3,177,696)
            3,581,959  
                 
Investment companies—7.4%                
AQR Style Premia Alternative Fund, Class I     593,919       5,719,437  
Carillon Reams Unconstrained Bond Fund, Class I     1,105,062       14,023,237  
Total investment companies
(cost—$18,384,757)
            19,742,674  

 

   Number of
warrants
     
Warrants—0.0%†          
United States—0.0%†          
Opendoor Technologies, Inc., expires 11/20/26*,2   30    23 
Opendoor Technologies, Inc., expires 11/20/26*,2   30    12 
Opendoor Technologies, Inc., expires 11/20/26*,2   30    11 
Total warrants
(cost—$0)
        46 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—51.7%
Australia—1.9%
IREN Ltd.          
0.000%, due 07/01/312,4,5   49,000   $42,463 
0.250%, due 06/01/322,4   57,000    62,522 
Series 33,1.000%, due 06/01/332,4   114,000    125,843 
3.250%, due 06/15/302   287,000    828,727 
Series IREN,3.500%, due 12/15/292,4   1,109,000    3,881,090 
         4,940,645 
Brazil—0.1%
Gol Finance, Inc.          
14.375%, due 06/06/302,4   127,220    121,495 
           
Cameroon—0.0%†
Golar LNG Ltd.          
2.750%, due 12/15/302,4   73,000    88,079 
           
Canada—1.0%
B2Gold Corp.          
2.750%, due 02/01/302,4   204,000    326,115 
BlackBerry Ltd.          
3.000%, due 02/15/292   82,000    129,016 
Denison Mines Corp.          
4.250%, due 09/15/312,4   174,000    284,241 
Endeavour Silver Corp.          
0.250%, due 01/15/312,4   37,000    39,938 
Equinox Gold Corp.          
4.750%, due 10/15/282   549,000    1,277,940 
First Majestic Silver Corp.          
0.125%, due 01/15/312,4   37,000    44,994 
0.375%, due 01/15/272   44,000    59,027 
Fortuna Mining Corp.          
3.750%, due 06/30/292   317,000    539,385 
Premium Brands Holdings Corp.          
5.500%, due 12/31/322  CAD29,000    21,627 
StorageVault Canada, Inc.          
5.000%, due 03/31/282,4  CAD41,000    30,241 
         2,752,524 
China—2.0%
Alibaba Group Holding Ltd.          
0.000%, due 09/15/322,5,6   81,000    81,110 
0.500%, due 06/01/312   896,000    1,293,376 
indie Semiconductor, Inc.          
3.500%, due 12/15/292,4   112,000    126,713 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)          
China—(continued)          
4.000%, due 03/15/312,4   98,000   $132,803 
Lenovo Group Ltd.          
2.500%, due 08/26/292,6   525,000    737,562 
NIO, Inc.          
4.625%, due 10/15/302   42,000    43,857 
Ping An Insurance Group Co. of China Ltd.          
0.875%, due 07/22/292,6   1,100,000    1,720,213 
Silvercorp Metals, Inc.          
4.750%, due 12/15/292   327,000    922,889 
Trip.com Group Ltd.          
0.750%, due 06/15/292   163,000    174,360 
1.500%, due 07/01/272,6   41,000    58,842 
         5,291,725 
Colombia—0.0%†          
ABRA Global Finance          
6.000% Cash and 8.000% PIK          
14.000%, due 10/22/292,4,7   114,043    106,345 
           
India—0.0%†          
MakeMyTrip Ltd.          
0.000%, due 07/01/302,4,5   76,000    66,529 
           
Israel—0.1%          
Camtek Ltd.          
0.000%, due 09/15/302,4,5   54,000    103,334 
Check Point Software Technologies Ltd.          
0.000%, due 12/15/302,4,5   24,000    21,630 
Wix.com Ltd.          
0.000%, due 09/15/302,4,5   41,000    33,171 
         158,135 
Netherlands—2.5%          
Nebius Group NV          
1.000%, due 09/15/302,4   163,000    208,863 
1.250%, due 03/15/312,4   407,000    447,037 
2.000%, due 06/05/292,4   1,022,000    2,795,201 
2.625%, due 03/15/332,4   81,000    88,896 
2.750%, due 09/15/322,4   326,000    410,574 
3.000%, due 06/05/312,4   899,000    2,504,488 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)
Netherlands—(continued)
Pharming Group NV          
4.500%, due 04/25/292,6  EUR200,000   $332,875 
         6,787,934 
Norway—0.1%
T1 Energy, Inc.          
4.000%, due 04/15/312   33,000    33,665 
5.250%, due 12/01/302   70,000    73,847 
         107,512 
Singapore—0.0%†
Grab Holdings Ltd.          
0.000%, due 06/15/302,5,6   50,000    48,382 
           
Switzerland—0.1%
CRISPR Therapeutics AG          
1.731%, due 03/01/312,4   330,000    340,497 
           
United States—43.9%
A10 Networks, Inc.          
2.750%, due 04/01/302   41,000    53,900 
ADTRAN Holdings, Inc.          
3.750%, due 09/15/302,4   261,000    462,534 
Advanced Energy Industries, Inc.          
2.500%, due 09/15/282   436,000    1,225,779 
Affirm Holdings, Inc.          
0.750%, due 12/15/292   40,000    42,090 
Akamai Technologies, Inc.          
0.250%, due 05/15/332,4   897,000    1,156,825 
0.375%, due 09/01/272   190,000    209,076 
1.125%, due 02/15/292   930,000    1,022,907 
Alarm.com Holdings, Inc.          
2.250%, due 06/01/292   25,000    23,375 
Alphatec Holdings, Inc.          
0.750%, due 08/01/262   233,000    232,986 
0.750%, due 03/15/302   10,000    9,902 
ANI Pharmaceuticals, Inc.          
2.250%, due 09/01/292   15,000    18,971 
Applied Digital Corp.          
2.750%, due 06/01/302   713,000    2,609,580 
Applied Optoelectronics, Inc.          
2.750%, due 01/15/302   764,000    2,953,311 
Array Technologies, Inc.          
1.000%, due 12/01/282   15,000    13,968 
2.875%, due 07/01/312,4   30,000    38,506 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds —(continued)
United States—(continued)
Arrowhead Pharmaceuticals, Inc.            
0.000%, due 01/15/322,5    41,000   $ 46,371 
AST SpaceMobile, Inc.            
2.375%, due 10/15/322,4    144,000     197,614 
Astronics Corp.            
0.000%, due 01/15/312,4,5    104,000     152,868 
Atlas Energy Solutions, Inc.            
0.500%, due 04/15/312,4    81,000     111,859 
Avnet, Inc.            
1.750%, due 09/01/302,4    16,000     20,950 
Bentley Systems, Inc.            
0.375%, due 07/01/272    98,000     93,429 
Bill Holdings, Inc.            
0.000%, due 04/01/272,5    54,000     51,900 
0.000%, due 04/01/302,5    575,000     506,801 
BioMarin Pharmaceutical, Inc.            
1.250%, due 05/15/272    41,000     39,411 
Bitdeer Technologies Group            
4.000%, due 11/15/312,4    25,000     24,113 
5.000%, due 03/01/322,4    33,000     46,705 
BlackLine, Inc.            
1.000%, due 06/01/292    81,000     74,156 
BlackSky Technology, Inc.            
8.250%, due 08/01/332,4    124,000     176,142 
Bloom Energy Corp.            
0.000%, due 11/15/302,4,5    98,000     167,037 
3.000%, due 06/01/282    523,000     7,860,690 
3.000%, due 06/01/292    594,000     8,078,400 
Box, Inc.            
1.500%, due 09/15/292    163,000     152,409 
Bridgebio Pharma, Inc.            
1.750%, due 03/01/312    37,000     60,606 
2.250%, due 02/01/292    37,000     41,023 
2.500%, due 03/15/272    646,000     1,109,550 
Cheesecake Factory, Inc.            
0.375%, due 06/15/262    75,000     75,422 
2.000%, due 03/15/302    163,000     179,633 
Chefs’ Warehouse, Inc.            
2.375%, due 12/15/282    17,000     31,009 
Cipher Digital, Inc.            

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)          
United States—(continued)          
0.000%, due 10/01/312,4,5   434,000   $603,620 
1.750%, due 05/15/302   383,000    1,577,914 
Cleanspark, Inc.          
0.000%, due 06/15/302,5   81,000    96,663 
Cloudflare, Inc.          
0.000%, due 08/15/262,5   163,000    189,080 
0.000%, due 06/15/302,4,5   416,000    478,824 
Cogent Biosciences, Inc.          
1.625%, due 11/15/312   8,000    9,575 
Cohu, Inc.          
1.500%, due 01/15/312,4   49,000    93,133 
Coinbase Global, Inc.          
0.250%, due 04/01/302   49,000    47,169 
Collegium Pharmaceutical, Inc.          
2.875%, due 02/15/292   29,000    34,025 
Compass, Inc.          
0.250%, due 04/15/312,4   41,000    36,205 
CONMED Corp.          
2.250%, due 06/15/272   1,000,000    976,899 
Core Scientific, Inc.          
0.000%, due 06/15/312,4,5   330,000    409,500 
3.000%, due 09/01/292,4   670,000    1,352,020 
CoreWeave, Inc.          
1.750%, due 12/01/312,4   334,000    438,432 
1.750%, due 10/01/322,4   166,000    201,293 
CorMedix, Inc.          
4.000%, due 08/01/302,4   226,000    223,890 
CyberArk Software Ltd.          
0.000%, due 06/15/302,4,5   200,000    215,124 
Cytokinetics, Inc.          
1.750%, due 10/01/312,4   155,000    198,291 
Danimer Scientific, Inc.          
0.000%, due 12/15/261,4,10   265,000    795 
Datadog, Inc.          
0.000%, due 12/01/292,5   292,000    291,589 
Dave, Inc.          
0.000%, due 04/01/312,4,5   86,000    106,748 
Dexcom, Inc.          
0.375%, due 05/15/282   47,000    43,341 
DigitalOcean Holdings, Inc.          

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)          
United States—(continued)          
0.000%, due 12/01/262,5   382,000   $374,742 
0.000%, due 08/15/302,4,5   743,000    1,919,726 
DoorDash, Inc.          
0.000%, due 05/15/302,4,5   326,000    309,998 
Dropbox, Inc.          
0.000%, due 03/01/282,5   825,000    795,844 
Encore Capital Group, Inc.          
4.000%, due 03/15/292   353,000    494,948 
Energy Vault Holdings, Inc.          
5.250%, due 03/01/312,4   41,000    46,902 
Enovis Corp.          
3.875%, due 10/15/282   345,000    333,924 
Eos Energy Enterprises, Inc.          
1.750%, due 12/01/312,4   81,000    58,176 
6.750%, due 06/15/302,4   227,000    371,794 
Etsy, Inc.          
0.125%, due 09/01/272   126,000    118,497 
0.250%, due 06/15/282   495,000    446,954 
Evergy, Inc.          
4.500%, due 12/15/272   844,000    1,137,847 
Fastly, Inc.          
0.000%, due 12/15/302,4,5   351,000    648,234 
7.750%, due 06/01/282   70,000    118,854 
Five9, Inc.          
1.000%, due 03/15/292   42,000    36,205 
Fluence Energy, Inc.          
2.250%, due 06/15/302   148,000    142,210 
Fluor Corp.          
1.125%, due 08/15/292   567,000    757,126 
Freshpet, Inc.          
3.000%, due 04/01/282   204,000    249,857 
Galaxy Digital Holdings LP          
2.500%, due 12/01/292,4   750,000    1,052,640 
3.000%, due 12/15/262,4   500,000    557,475 
GameStop Corp.          
0.000%, due 06/15/322,4,5   503,000    543,175 
Granite Construction, Inc.          
3.750%, due 05/15/282   399,000    1,174,532 
Green Plains, Inc.          
2.250%, due 03/15/272   15,000    15,103 
5.250%, due 11/01/302   22,000    32,093 
Greenbrier Cos., Inc.          
2.875%, due 04/15/282   354,000    397,715 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds —(continued)
United States—(continued)
Groupon, Inc.          
Series UNRS,          
4.875%, due 06/30/302   37,000   $32,204 
Guardant Health, Inc.          
0.000%, due 11/15/272,5   951,000    967,148 
Guidewire Software, Inc.          
1.250%, due 11/01/292   52,000    50,978 
Haemonetics Corp.          
2.500%, due 06/01/292   220,000    212,140 
HAT Holdings I LLC/HAT Holdings II LLC          
3.750%, due 08/15/282,4   22,000    35,170 
Herbalife Ltd.          
4.250%, due 06/15/282   99,000    125,252 
Hims & Hers Health, Inc.          
0.000%, due 05/15/302,4,5   41,000    33,612 
Indivior Pharmaceuticals, Inc.          
0.625%, due 03/15/312,4   8,000    9,216 
Inotiv, Inc.          
3.250%, due 10/15/272   298,000    66,437 
InterDigital, Inc.          
3.500%, due 06/01/272   893,000    3,429,950 
Intuitive Machines, Inc.          
2.500%, due 10/01/302,4   385,000    862,519 
Ionis Pharmaceuticals, Inc.          
0.000%, due 12/01/302,4,5   8,000    8,258 
1.750%, due 06/15/282   40,000    59,472 
Itron, Inc.          
1.375%, due 07/15/302   41,000    40,662 
JBT Marel Corp.          
0.375%, due 09/15/304   41,000    38,638 
JPMorgan Chase & Co.          
0.000%, due 01/28/415  ZAR4,400,000    58,643 
Kite Realty Group LP          
0.750%, due 04/01/272,4   31,000    35,263 
Lantheus Holdings, Inc.          
2.625%, due 12/15/272   306,000    390,661 
LCI Industries          
3.000%, due 03/01/302   41,000    48,467 
LeMaitre Vascular, Inc.          
2.500%, due 02/01/302   37,000    42,020 
Liberty Interactive LLC          

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)
United States—(continued)
3.750%, due 02/15/302   955,000   $53,636 
4.000%, due 11/15/292   161,000    7,639 
Liberty Live Holdings, Inc.          
2.375%, due 09/30/532,4   577,000    944,959 
Life360, Inc.          
0.000%, due 06/01/302,4,5   49,000    46,013 
Ligand Pharmaceuticals, Inc.          
0.750%, due 10/01/302,4   90,000    121,855 
LivaNova PLC          
2.500%, due 03/15/292   225,000    254,934 
Live Nation Entertainment, Inc.          
3.125%, due 01/15/292   39,000    60,480 
Lumentum Holdings, Inc.          
0.375%, due 03/15/322,4   411,000    2,005,438 
0.500%, due 06/15/282   34,000    234,091 
Lyft, Inc.          
0.000%, due 09/15/302,4,5   210,000    204,159 
0.625%, due 03/01/292   285,000    296,765 
MACOM Technology Solutions Holdings, Inc.          
0.000%, due 12/15/292,5   108,000    189,972 
Match Group Financeco 3, Inc.          
2.000%, due 01/15/302,4   86,000    77,800 
Merit Medical Systems, Inc.          
3.000%, due 02/01/292   26,000    27,496 
Meritage Homes Corp.          
1.750%, due 05/15/282   17,000    16,565 
MGP Ingredients, Inc.          
1.875%, due 11/15/412   302,000    290,522 
Microchip Technology, Inc.          
0.000%, due 02/15/302,4,5   122,000    138,840 
0.750%, due 06/01/302   791,000    856,424 
Mirion Technologies, Inc.          
0.250%, due 06/01/302,4   412,000    461,836 
Mirum Pharmaceuticals, Inc.          
4.000%, due 05/01/292   591,000    1,854,523 
MKS, Inc.          
1.250%, due 06/01/302   738,000    1,436,133 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)          
United States—(continued)          
NCL Corp. Ltd.          
0.750%, due 09/15/302,4   41,000   $38,229 
0.875%, due 04/15/302   25,000    26,492 
1.125%, due 02/15/272   268,000    258,980 
Nutanix, Inc.          
0.250%, due 10/01/272   21,000    21,980 
0.500%, due 12/15/292   350,000    321,778 
Oddity Finance LLC          
0.000%, due 06/15/302,4,5   287,000    202,325 
Omnicell, Inc.          
1.000%, due 12/01/292   37,000    39,216 
ON Semiconductor Corp.          
0.000%, due 05/01/272,5   81,000    156,086 
0.500%, due 03/01/292   733,000    886,585 
Opendoor Technologies,  Inc.          
7.000%, due 05/15/302   144,000    536,579 
Ormat Technologies, Inc.          
Series B,          
0.000%, due 03/15/312,4,5   220,000    233,418 
Series A,          
1.500%, due 03/15/312,4   204,000    217,595 
Oscar Health, Inc.          
2.250%, due  09/01/302,4   41,000    45,478 
OSI Systems, Inc.          
0.500%, due 02/01/312,4   491,000    519,674 
2.250%, due 08/01/292   315,000    511,947 
Pacira BioSciences, Inc.          
2.125%, due 05/15/292   248,000    248,742 
Pagaya Technologies Ltd.          
6.125%, due 10/01/292   302,000    385,204 
PagerDuty, Inc.          
1.500%, due 10/15/282   19,000    17,314 
PAR Technology Corp.          
4.000%, due 03/15/312,4   82,000    86,713 
Parsons Corp.          
2.625%, due 03/01/292   243,000    237,974 
Patrick Industries, Inc.          
1.750%, due 12/01/282   408,000    606,704 
Peloton Interactive, Inc.          
5.500%, due 12/01/292   11,000    16,921 
Penguin Solutions, Inc.          
2.000%, due 02/01/292   385,000    605,844 
2.000%, due 08/15/302   480,000    628,565 
Pitney Bowes, Inc.          
1.500%, due 08/15/302,4   41,000    49,632 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)          
United States—(continued)          
Planet Labs PBC          
0.500%, due 10/15/302,4   562,000   $1,763,410 
Plug Power, Inc.          
6.750%, due 12/01/332,4   139,000    193,772 
Porch Group, Inc.          
6.750%, due 10/01/282,4   55,000    55,699 
Progress Software Corp.          
3.500%, due 03/01/302   29,000    26,522 
PTC Therapeutics, Inc.          
1.500%, due 09/15/262   656,000    828,108 
Rapid7, Inc.          
0.250%, due 03/15/272   25,000    23,562 
RealReal, Inc.          
4.000%, due 02/15/312,4   429,000    608,283 
Repligen Corp.          
1.000%, due 12/15/282   251,000    245,893 
Riot Platforms, Inc.          
0.750%, due 01/15/302   190,000    268,550 
Rivian Automotive, Inc.          
4.625%, due 03/15/292   35,000    40,115 
Rubrik, Inc.          
0.000%, due 06/15/302,4,5   81,000    72,655 
Sarepta Therapeutics, Inc.          
4.875%, due 09/01/302,4   30,000    25,743 
Seagate HDD Cayman        
3.500%, due 06/01/282   851,000    6,954,074 
Semtech Corp.          
0.000%, due 10/15/302,4,5   15,000    19,818 
1.625%, due 11/01/272   287,000    808,981 
Shift4 Payments, Inc.          
0.500%, due 08/01/272   200,000    189,020 
Sirius XM Holdings, Inc.          
3.750%, due 03/15/282   17,000    18,599 
Snap, Inc.          
0.125%, due 03/01/282   38,000    34,578 
Snowflake, Inc.          
0.000%, due 10/01/272,5   106,000    118,966 
0.000%, due 10/01/292,5   246,000    284,654 
SoFi Technologies, Inc.          
0.000%, due 10/15/262,4,5   42,000    42,718 
1.250%, due 03/15/292,4   796,000    1,472,377 
SolarEdge Technologies, Inc.          
2.250%, due 07/01/292   429,000    655,156 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)          
United States—(continued)          
Solaris Energy Infrastructure, Inc.          
0.250%, due 10/01/312   41,000   $62,876 
4.750%, due 05/01/302   505,000    1,514,687 
Spectrum Brands, Inc.          
3.375%, due 06/01/29   41,000    41,703 
Sphere Entertainment Co.          
3.500%, due 12/01/282   37,000    148,134 
Stride, Inc.          
1.125%, due 09/01/272   883,000    1,645,859 
Super Micro Computer, Inc.          
0.000%, due 06/15/302,4,5   396,000    317,203 
2.250%, due 07/15/282   41,000    37,950 
3.500%, due 03/01/292   42,000    36,693 
Synaptics, Inc.          
0.750%, due 12/01/312   41,000    50,221 
Tandem Diabetes Care, Inc.          
Series 2024,        
1.500%, due 03/15/292   442,000    447,269 
Tempus AI, Inc.          
0.750%, due 07/15/302,4   130,000    135,706 
Terawulf, Inc.          
1.000%, due 09/01/312,4   82,000    159,543 
2.750%, due 02/01/302,4   985,000    2,691,266 
Tetra Tech, Inc.          
2.250%, due 08/15/282   41,000    44,821 
TransMedics Group, Inc.          
1.500%, due 06/01/282   555,000    723,942 
Transocean International Ltd.          
4.625%, due 09/30/292   160,000    331,566 
Travere Therapeutics, Inc.          
2.250%, due 03/01/292   247,000    372,829 
Uber Technologies, Inc.          
0.000%, due 05/15/282,4,5   407,000    441,778 
Series 2028,          
0.875%, due 12/01/28   81,000    99,718 
Ultra Clean Holdings, Inc.          
0.000%, due 03/15/312,4,5   37,000    45,586 
Unity Software, Inc.          
0.000%, due 11/15/262,5   185,000    180,710 
0.000%, due 03/15/302,5   37,000    39,183 
Upstart Holdings, Inc.          
2.000%, due 10/01/292   409,000    442,325 
Upwork, Inc.          
0.250%, due 08/15/262   485,000    473,408 
Varonis Systems, Inc.          
1.000%, due 09/15/292   371,000    338,634 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Face     
   amount3   Value 
Corporate bonds—(continued)          
United States—(continued)          
Veeco Instruments, Inc.          
2.875%, due 06/01/292   459,000   $838,813 
Viavi Solutions, Inc.          
0.625%, due 03/01/312,4   82,000    314,801 
Vishay Intertechnology, Inc.          
2.250%, due 09/15/302   643,000    773,748 
Wayfair, Inc.          
3.250%, due 09/15/272   681,000    827,238 
3.500%, due 11/15/282   371,000    552,464 
Western Digital Corp.          
3.000%, due 11/15/282   1,323,000    15,240,960 
WisdomTree, Inc.          
3.250%, due 08/15/292   90,000    136,434 
4.500%, due 10/01/312,4   320,000    357,808 
Wolfspeed, Inc.          
3.500%, due 03/15/312,4   20,000    32,797 
Workiva, Inc.          
1.250%, due 08/15/282   42,000    38,816 
Xometry, Inc.          
0.750%, due 06/15/302,4   128,000    174,589 
1.000%, due 02/01/272   428,000    504,223 
Ziff Davis, Inc.          
3.625%, due 03/01/282,4   153,000    149,370 
Zoetis, Inc.          
0.250%, due 06/15/292,4   111,000    109,937 
Zscaler, Inc.          
0.000%, due 07/15/282,4,5   98,000    88,527 
         117,872,662 
Total corporate bonds          
(cost—$110,690,325)        138,682,464 

 

Non-U.S. government agency obligations—0.5%
Mexico—0.5%
Mexico Bonos
8.500%, due 03/02/28
(cost—$1,410,227)   26,270,000    1,524,106 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Short term investments—50.0%
Investment companies—39.1%
State Street Institutional U.S. Government Money Market Fund, 3.596%9
(cost—$105,038,283)
   105,038,283   $105,038,283 

 

 

    Face
amount3
       
Short-term U.S. Treasury obligations—10.9%                
U.S. Treasury Bills                
3.587%, due 07/09/269     900,000       894,004  
3.614%, due 05/05/269     400,000       399,843  
3.626%, due 07/16/269     910,000       903,230  
3.626%, due 07/16/269     505,000       501,245  
3.637%, due 05/05/269     310,000       309,878  
3.637%, due 07/02/269     1,005,000       998,873  
3.643%, due 07/09/269     400,000       397,281  
3.658%, due 07/02/269     1,415,000       1,406,335  
3.661%, due 05/28/262,9     1,310,000       1,306,483  
3.668%, due 09/24/269     1,200,000       1,182,665  
3.672%, due 06/04/269     900,000       896,947  
3.675%, due 09/24/269     2,030,000       2,000,679  
3.679%, due 06/30/269     900,000       894,620  
3.681%, due 06/30/269     100,000       99,402  
3.687%, due 07/16/269     800,000       793,912  
3.690%, due 06/11/262,9     1,995,000       1,986,803  
3.692%, due 08/11/269     400,000       395,916  
3.693%, due 06/04/269     500,000       498,293  
3.694%, due 08/18/262,9     1,000,000       989,095  
3.695%, due 07/02/269     1,800,000       1,788,801  
3.695%, due 09/24/269     300,000       295,638  
3.699%, due 08/11/269     700,000       692,849  
3.703%, due 07/16/269     1,005,000       997,322  
3.707%, due 07/09/269     2,620,000       2,601,809  
3.708%, due 10/15/262,9     1,320,000       1,298,002  
3.712%, due 10/08/262,9     1,320,000       1,298,898  
3.727%, due 07/21/262,9     3,435,000       3,406,925  
Total short-term U.S. Treasury obligations
(cost—$29,235,748)
            29,235,748  

 

   Number of
contracts
   Notional
amount
     
Equity options purchased—0.7%
Call options—0.3%
BlackLine, Inc., strike @37.500, expires 05/15/26 (Counterparty: MKM)   8   $300    200 

 

 

 

  

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity options purchased—(continued)
Call options—(continued)
Bridgebio Pharma, Inc., strike @80.000, expires 05/15/26 (Counterparty: OCC)   8   $640   $720 
EURO STOXX 50 Index, strike @6,000.000, expires 05/15/26 (Counterparty: JPMCB)   46    276,000    19,436 
EURO STOXX 50 Index, strike @5,900.000, expires 09/18/26 (Counterparty: JPMCB)   113    666,700    318,294 
EURO STOXX 50 Index, strike @5,900.000, expires 12/18/26 (Counterparty: JPMCB)   113    666,700    424,126 
Galaxy Digital, Inc., strike @25.000, expires 05/15/26 (Counterparty: MCM)   1    25    305 
HKG Hang Seng China Enterprises Index Futures, strike @9,800.000, expires 06/18/26 (Counterparty: JPMCB)   23    225,400    2,790 
indie Semiconductor, Inc., strike @5.500, expires 05/15/26 (Counterparty: Seaport Group Securities LLC)   15    83    300 
indie Semiconductor, Inc., strike @4.000, expires 05/15/26 (Counterparty: MCM)   4    16    320 
iShares Expanded Tech-Software Sector ETF, strike @86.500, expires 05/01/26 (Counterparty: OCC)   23    1,989    46 
SPDR Gold Shares, strike @520.000, expires 06/18/26 (Counterparty: JPMCB)   17    8,840    1,054 
SPDR Gold Shares, strike @485.000, expires 06/18/26 (Counterparty: JPMCB)   17    8,245    2,856 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity options purchased—(continued)
Call options—(continued)
SPDR Gold Shares, strike @500.000, expires 06/18/26 (Counterparty: JPMCB)   17   $8,500   $1,768 
STOXX Europe 600 Basic Resources Index, strike @805.000, expires 06/19/26 (Counterparty: JPMCB)   53    42,665    83,352 
Total             855,567 
                
Put options—0.4%
CME E-mini NASDAQ 100 Index Futures, strike @26,000.000, expires 06/18/26 (Counterparty: MSCI)   1    26,000    6,400 
CME E-mini S&P 500 Index Futures, strike @6,500.000, expires 06/18/26 (Counterparty: MSCI)   34    221,000    45,475 
CME E-mini S&P 500 Index Futures, strike @6,800.000, expires 06/18/26 (Counterparty: MSCI)   70    476,000    178,500 
CME E-mini S&P 500 Index Futures, strike @7,000.000, expires 09/18/26 (Counterparty: MSCI)   2    14,000    19,050 
EURO STOXX 50 Index, strike @5,500.000, expires 09/18/26 (Counterparty: JPMCB)   185    1,017,500    389,957 
EURO STOXX 50 Index, strike @5,400.000, expires 12/18/26 (Counterparty: JPMCB)   185    999,000    396,254 
iShares Russell 2000 ETF, strike @268.000, expires 05/01/26 (Counterparty: BNP)   46    12,328    138 
Penguin Solutions, Inc., strike @30.000, expires 05/15/26 (Counterparty: OCC)   5    150    600 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity options purchased—(continued)
Put options—(continued)
State Street SPDR S&P 500 ETF Trust, strike @668.000, expires 05/08/26 (Counterparty: OCC)   37   $24,716   $629 
State Street SPDR S&P 500 ETF Trust, strike @685.000, expires 05/15/26 (Counterparty: OCC)   41    28,085    5,453 
Total             1,042,456 
Total Equity options purchased
(cost—$2,508,738)
             1,898,023 
                
Foreign exchange options purchased—0.6%
Call options—0.1%
Call EUR vs. Put USD, strike @1.425, expires 07/03/26 (Counterparty: JPMCB)   287,000    408,975    42 
Call MXN vs. Put JPY, strike @8.880, expires 07/06/26 (Counterparty: JPMCB)   1,396,000    12,396,480    46,400 
Call GBP vs. Put USD, strike @1.575, expires 09/14/26 (Counterparty: JPMCB)   75,000    118,125    287 
Call USD vs. Put BRL, strike @6.350, expires 06/12/26 (Counterparty: JPMCB)   71,000    450,850    161 
Call USD vs. Put CAD, strike @1.415, expires 03/25/27 (Counterparty: JPMCB)   72,000    101,880    9,368 
Call AUD vs. Put CAD, strike @0.958, expires 10/08/27 (Counterparty: JPMCB)   72,000    68,940    24,310 
Call AUD vs. Put NZD, strike @1.360, expires 06/28/27 (Counterparty: BB)   1,435,000    1,951,600    24,205 
Call USD vs. Put CNY, strike @7.130, expires 10/12/27 (Counterparty: JPMCB)   53,000    377,890    2,824 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Call options—(continued)
Call USD vs. Put CNY, strike @7.120, expires 11/05/27 (Counterparty: JPMCB)   95,000   $676,400   $5,371 
Call USD vs. Put CNY, strike @7.100, expires 12/30/26 (Counterparty: JPMCB)   58,000    411,800    2,234 
Call EUR vs. Put BRL, strike @7.350, expires 06/26/26 (Counterparty: JPMCB)   49,000    360,150    202 
Call AUD vs. Put CAD, strike @1.049, expires 01/08/27 (Counterparty: JPMCB)   225,000    235,980    10,113 
Call USD vs. Put BRL, strike @6.150, expires 05/29/26 (Counterparty: JPMCB)   58,000    356,700    70 
Call NZD vs. Put USD, strike @0.750, expires 01/29/27 (Counterparty: JPMCB)   257,000    192,750    891 
Call AUD vs. Put USD, strike @0.840, expires 01/29/27 (Counterparty: JPMCB)   445,000    373,800    8,221 
Call EUR vs. Put GBP, strike @0.950, expires 06/09/26 (Counterparty: JPMCB)   127,000    120,650    61 
Call EUR vs. Put GBP, strike @0.900, expires 06/04/26 (Counterparty: JPMCB)   645,000    580,500    54 
Call EUR vs. Put CHF, strike @0.933, expires 08/28/26 (Counterparty: JPMCB)   16,000    14,928    2,715 
Call AUD vs. Put NZD, strike @1.228, expires 05/08/26 (Counterparty: JPMCB)   62,000    76,105    7,847 
Call USD vs. Put MXN, strike @20.300, expires 02/12/27 (Counterparty: JPMCB)   100,000    2,030,000    10,483 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Call options—(continued)
Call EUR vs. Put HUF, strike @505.000, expires 03/31/28 (Counterparty: JPMCB)   83,000   $41,915,000   $5,230 
Call USD vs. Put BRL, strike @6.750, expires 12/18/26 (Counterparty: JPMCB)   84,000    567,000    3,860 
Call USD vs. Put MXN, strike @20.250, expires 09/30/26 (Counterparty: JPMCB)   67,000    1,356,750    3,333 
Call EUR vs. Put GBP, strike @0.890, expires 06/25/26 (Counterparty: JPMCB)   1,697,000    1,510,330    1,522 
Call EUR vs. Put USD, strike @1.230, expires 09/28/26 (Counterparty: JPMCB)   1,577,000    1,939,710    6,968 
Call USD vs. Put BRL, strike @6.720, expires 04/06/27 (Counterparty: JPMCB)   93,000    624,960    8,019 
Call USD vs. Put ILS, strike @3.380, expires 01/21/27 (Counterparty: JPMCB)   97,000    327,860    5,607 
Call EUR vs. Put CZK, strike @25.350, expires 02/08/27 (Counterparty: JPMCB)   83,000    2,104,050    9,591 
Call USD vs. Put CHF, strike @0.835, expires 02/22/27 (Counterparty: JPMCB)   115,000    96,025    8,174 
Call EUR vs. Put HUF, strike @390.000, expires 06/04/26 (Counterparty: JPMCB)   49,000    19,110,000    1,796 
Call USD vs. Put CAD, strike @1.420, expires 03/29/27 (Counterparty: JPMCB)   146,000    207,320    17,268 
Call USD vs. Put THB, strike @34.000, expires 07/22/26 (Counterparty: JPMCB)   49,000    1,666,000    6,215 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Call options—(continued)
Call USD vs. Put THB, strike @35.000, expires 10/21/26 (Counterparty: JPMCB)   49,000   $1,715,000   $4,584 
Call AUD vs. Put SEK, strike @7.150, expires 04/28/28 (Counterparty: JPMCB)   109,000    779,350    10,682 
Total             248,708 
                
Put options—0.5%
Call JPY vs. Put USD, strike @110.000, expires 12/02/26 (Counterparty: JPMCB)   292,000    32,120,000    449 
Call JPY vs. Put USD, strike @110.000, expires 12/02/26 (Counterparty: JPMCB)   47,000    5,170,000    72 
Call BRL vs. Put USD, strike @5.600, expires 08/11/26 (Counterparty: JPMCB)   130,000    728,000    116,606 
Call BRL vs. Put USD, strike @5.600, expires 05/11/26 (Counterparty: JPMCB)   130,000    728,000    129,812 
Call KRW vs. Put USD, strike @1,050.000, expires 05/07/26 (Counterparty: JPMCB)   344,000    361,200,000    0 
Call JPY vs. Put USD, strike @127.000, expires 05/12/27 (Counterparty: JPMCB)   153,000    19,431,000    4,825 
Call MXN vs. Put USD, strike @17.300, expires 05/13/26 (Counterparty: JPMCB)   30,000    519,000    8,697 
Call SGD vs. Put GBP, strike @1.600, expires 05/21/26 (Counterparty: JPMCB)   63,000    100,800    25 
USD/TRY vs. EURCMS30 Index, strike @63.000, expires 09/29/27 (Counterparty: JPMCB)   100,000    6,300,000    16,127 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Put options—(continued)
Call COP vs. Put USD, strike @4,025.000, expires 09/01/26 (Counterparty: JPMCB)   24,000   $96,600,000   $18,992 
Call HUF vs. Put EUR, strike @366.000, expires 12/08/26 (Counterparty: JPMCB)   76,000    27,816,000    40,028 
Call HUF vs. Put EUR, strike @351.000, expires 12/18/26 (Counterparty: JPMCB)   167,000    58,617,000    38,549 
Call BRL vs. Put USD, strike @4.550, expires 09/17/27 (Counterparty: JPMCB)   60,000    273,000    6,009 
Call BRL vs. Put USD, strike @4.820, expires 09/23/27 (Counterparty: JPMCB)   71,000    342,220    13,371 
Call TRY vs. Put USD, strike @59.550, expires 09/24/27 (Counterparty: JPMCB)   72,000    4,287,600    18,041 
Call MXN vs. Put USD, strike @16.850, expires 09/25/26 (Counterparty: JPMCB)   31,000    522,350    6,582 
Call KRW vs. Put USD, strike @1,310.000, expires 06/29/26 (Counterparty: JPMCB)   53,000    69,430,000    169 
EUR/ZAR vs. EURCMS30 Index, strike @1,940.000, expires 10/06/28 (Counterparty: MSCI)   76,000    147,440,000    8,987 
BRL/JPY vs. EUSA30 Index, strike @26,437.000, expires 10/09/28 (Counterparty: CITI)   85,000    2,247,145,000    24,412 
Call HUF vs. Put EUR, strike @361.000, expires 10/12/27 (Counterparty: JPMCB)   6,000    2,166,000    2,201 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Put options—(continued)
Call BRL vs. Put USD, strike @4.760, expires 10/19/27 (Counterparty: JPMCB)   80,000   $380,800   $13,089 
Call CLP vs. Put USD, strike @863.000, expires 08/07/26 (Counterparty: JPMCB)   11,000    9,493,000    2,896 
Call USD vs. Put NZD, strike @0.565, expires 08/07/26 (Counterparty: JPMCB)   63,000    35,595    5,183 
Call USD vs. Put NZD, strike @0.530, expires 08/28/26 (Counterparty: JPMCB)   68,000    36,040    1,154 
Call CLP vs. Put USD, strike @866.000, expires 05/15/26 (Counterparty: JPMCB)   11,000    9,526,000    861 
Call BRL vs. Put USD, strike @4.890, expires 05/28/26 (Counterparty: JPMCB)   7,000    34,230    1,993 
Call MXN vs. Put EUR, strike @20.030, expires 07/22/26 (Counterparty: JPMCB)   25,000    500,750    4,194 
Call BRL vs. Put USD, strike @5.160, expires 12/18/26 (Counterparty: JPMCB)   11,000    56,760    5,255 
Call BRL vs. Put USD, strike @4.870, expires 06/16/27 (Counterparty: JPMCB)   29,000    141,230    6,628 
Call JPY vs. Put USD, strike @152.550, expires 05/28/26 (Counterparty: JPMCB)   31,000    4,729,050    4,198 
Call BRL vs. Put CAD, strike @3.900, expires 12/17/27 (Counterparty: JPMCB)   120,000    468,000    27,779 
Call PLN vs. Put EUR, strike @4.210, expires 07/10/26 (Counterparty: JPMCB)   27,000    113,670    6,612 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Put options—(continued)
Call JPY vs. Put USD, strike @133.000, expires 01/18/28 (Counterparty: JPMCB)   56,000   $7,448,000   $6,358 
Call COP vs. Put USD, strike @3,855.000, expires 12/17/27 (Counterparty: JPMCB)   35,000    134,925,000    10,106 
Call ZAR vs. Put USD, strike @15.310, expires 05/05/27 (Counterparty: JPMCB)   59,000    903,290    8,821 
Call JPY vs. Put USD, strike @135.000, expires 10/26/26 (Counterparty: JPMCB)   581,000    78,435,000    15,361 
Call JPY vs. Put USD, strike @137.000, expires 09/30/26 (Counterparty: JPMCB)   571,000    78,227,000    15,842 
Call CNY vs. Put USD, strike @6.650, expires 07/27/26 (Counterparty: JPMCB)   846,000    5,625,900    60,229 
Call JPY vs. Put USD, strike @133.500, expires 03/17/27 (Counterparty: JPMCB)   71,000    9,478,500    3,766 
Call CAD vs. Put USD, strike @1.310, expires 05/22/26 (Counterparty: JPMCB)   285,000    373,350    1,294 
Call KRW vs. Put USD, strike @1,403.000, expires 10/28/26 (Counterparty: JPMCB)   83,000    116,449,000    19,720 
Call PLN vs. Put EUR, strike @4.100, expires 08/12/26 (Counterparty: JPMCB)   58,000    237,800    1,642 
Call HUF vs. Put EUR, strike @350.000, expires 08/13/26 (Counterparty: JPMCB)   31,000    10,850,000    4,326 
Call CNY vs. Put USD, strike @6.730, expires 07/15/26 (Counterparty: JPMCB)   33,000    222,090    6,757 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Put options—(continued)
Call BRL vs. Put CHF, strike @6.650, expires 02/22/28 (Counterparty: JPMCB)   66,000   $438,900   $16,973 
Call HUF vs. Put EUR, strike @350.000, expires 08/24/26 (Counterparty: JPMCB)   767,000    268,450,000    2,368 
Call CNY vs. Put USD, strike @6.570, expires 02/26/27 (Counterparty: JPMCB)   84,000    551,880    19,868 
Call HUF vs. Put EUR, strike @363.000, expires 03/03/28 (Counterparty: JPMCB)   72,000    26,136,000    26,322 
Call HUF vs. Put EUR, strike @353.000, expires 03/06/28 (Counterparty: JPMCB)   62,000    21,886,000    16,303 
Call AUD vs. Put GBP, strike @1.600, expires 03/11/27 (Counterparty: JPMCB)   338,000    540,800    6,454 
Call INR vs. Put USD, strike @90.500, expires 07/28/26 (Counterparty: JPMCB)   84,000    7,602,000    1,223 
Call ZAR vs. Put USD, strike @15.310, expires 04/08/27 (Counterparty: JPMCB)   53,000    811,430    7,736 
Call AUD vs. Put EUR, strike @1.550, expires 10/30/26 (Counterparty: JPMCB)   87,000    134,850    8,645 
Call MXN vs. Put USD, strike @17.010, expires 02/12/27 (Counterparty: JPMCB)   13,000    221,130    3,810 
Call CLP vs. Put USD, strike @863.000, expires 10/21/26 (Counterparty: JPMCB)   44,000    37,972,000    13,715 
Call AUD vs. Put EUR, strike @1.530, expires 03/17/27 (Counterparty: JPMCB)   83,000    126,990    8,539 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Put options—(continued)
Call HUF vs. Put EUR, strike @350.000, expires 03/31/28 (Counterparty: JPMCB)   83,000   $29,050,000   $19,374 
Call ZAR vs. Put USD, strike @16.150, expires 02/22/27 (Counterparty: JPMCB)   53,000    855,950    16,240 
Call HUF vs. Put EUR, strike @360.000, expires 07/03/26 (Counterparty: JPMCB)   11,000    3,960,000    4,398 
Call COP vs. Put USD, strike @3,550.000, expires 10/08/26 (Counterparty: JPMCB)   66,000    234,300,000    16,926 
Call INR vs. Put USD, strike @93.750, expires 02/18/27 (Counterparty: JPMCB)   74,000    6,937,500    11,186 
Call HUF vs. Put EUR, strike @3.700, expires 10/09/26 (Counterparty: JPMCB)   79,000    292,300    51,017 
Call HUF vs. Put EUR, strike @357.000, expires 08/28/26 (Counterparty: JPMCB)   57,000    20,349,000    18,542 
Call HUF vs. Put EUR, strike @355.000, expires 12/08/26 (Counterparty: JPMCB)   67,000    23,785,000    20,203 
Call CNY vs. Put USD, strike @6.530, expires 11/17/26 (Counterparty: JPMCB)   119,000    777,070    10,849 
Call HUF vs. Put EUR, strike @348.000, expires 06/04/26 (Counterparty: JPMCB)   143,000    49,764,000    2,137 
Call HUF vs. Put EUR, strike @348.000, expires 05/20/26 (Counterparty: JPMCB)   143,000    49,764,000    487 
Call HUF vs. Put EUR, strike @348.000, expires 06/18/26 (Counterparty: JPMCB)   143,000    49,764,000    4,799 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Put options—(continued)
Call COP vs. Put USD, strike @3,515.000, expires 01/28/27 (Counterparty: JPMCB)   95,000   $333,925,000   $18,268 
Call USD vs. Put EUR, strike @1.146, expires 05/28/26 (Counterparty: JPMCB)   68,000    77,894    5,424 
Call USD vs. Put EUR, strike @1.141, expires 07/10/26 (Counterparty: JPMCB)   45,000    51,345    5,693 
Call HUF vs. Put EUR, strike @339.000, expires 05/25/27 (Counterparty: JPMCB)   163,000    55,257,000    19,875 
Call HUF vs. Put EUR, strike @339.000, expires 11/30/27 (Counterparty: JPMCB)   163,000    55,257,000    23,006 
Call BRL vs. Put USD, strike @4.820, expires 04/12/28 (Counterparty: JPMCB)   154,000    742,280    24,446 
Call BRL vs. Put USD, strike @5.000, expires 05/11/26 (Counterparty: JPMCB)   2,770,000    13,850,000    15,983 
Call HUF vs. Put EUR, strike @353.000, expires 09/23/26 (Counterparty: JPMCB)   112,000    39,536,000    26,532 
Call BRL vs. Put USD, strike @5.035, expires 12/08/27 (Counterparty: JPMCB)   53,000    266,855    13,528 
Call USD vs. Put EUR, strike @1.130, expires 09/10/26 (Counterparty: JPMCB)   390,000    440,700    47,837 
Call HUF vs. Put EUR, strike @350.000, expires 10/15/26 (Counterparty: JPMCB)   112,000    39,200,000    21,234 
Call USD vs. Put EUR, strike @1.143, expires 08/28/26 (Counterparty: JPMCB)   34,000    38,862    6,176 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Foreign exchange options purchased—(continued)
Put options—(continued)
Call COP vs. Put USD, strike @3,270.000, expires 10/20/26 (Counterparty: JPMCB)   176,000   $575,520,000   $10,359 
Call CNY vs. Put USD, strike @6.820, expires 05/11/26 (Counterparty: JPMCB)   2,904,000    19,805,280    3,038 
Call COP vs. Put USD, strike @3,425.000, expires 01/12/27 (Counterparty: JPMCB)   78,000    267,150,000    10,707 
Call JPY vs. Put AUD, strike @107.280, expires 08/11/26 (Counterparty: JPMCB)   100,000    10,728,000    12,144 
Total             1,260,382 
Total foreign exchange options purchased
(cost—$1,650,479)
             1,509,090 

 
Options Purchased—0.0%†
Call options— 0.0%†
3 Month Euro Euribor Futures, strike @98.125, expires 09/14/26 (Counterparty: MSCI)   152,500    5,986    1,342 
(cost—$10,035)               
Total Investments before Investments Sold Short—134.0%
(cost—$325,386,849)
             359,670,258 

 

   Number of
shares
    
Investments sold short—(49.1%)          
Common stocks—(45.1%)          
Australia—(1.6%)          
IREN Ltd.   (96,482)   (4,390,896)
           
Belgium—(0.1%)          
Anheuser-Busch InBev SA, ADR   (1,970)   (148,834)
           
Cameroon—(0.0%)†          
Golar LNG Ltd.   (967)   (53,175)
           
Canada—(0.8%)          
B2Gold Corp.   (52,997)   (238,486)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
Canada—(continued)          
BlackBerry Ltd.   (17,852)  $(96,401)
Denison Mines Corp.   (52,611)   (201,500)
Endeavour Silver Corp.   (2,368)   (21,857)
Equinox Gold Corp.   (80,788)   (1,127,800)
First Majestic Silver Corp.   (3,337)   (65,772)
Fortuna Mining Corp.   (41,292)   (398,468)
Premium Brands Holdings Corp.   (55)   (3,452)
         (2,153,736)
China—(1.6%)          
Alibaba Group Holding Ltd.   (7,496)   (988,572)
H World Group Ltd.   (1,006)   (51,950)
indie Semiconductor, Inc.   (36,068)   (162,667)
Lenovo Group Ltd.   (389,800)   (586,151)
NIO, Inc.   (2,428)   (15,515)
Ping An Insurance Group Co. of China Ltd.   (189,900)   (1,543,526)
Silvercorp Metals, Inc.   (65,210)   (781,868)
Trip.com Group Ltd.   (1,284)   (69,605)
         (4,199,854)
Germany—(0.0%)†          
Mercedes-Benz Group AG   (2,486)   (144,909)
           
India—(0.0%)†          
MakeMyTrip Ltd.   (201)   (9,489)
           
Israel—(0.0%)†          
Camtek Ltd.   (446)   (85,596)
Check Point Software Technologies Ltd.   (22)   (2,474)
Oddity Tech Ltd.   (1,170)   (16,755)
Wix.com Ltd.   (101)   (7,544)
         (112,369)
Netherlands—(2.1%)          
Nebius Group NV   (39,396)   (5,445,709)
Pharming Group NV   (124,756)   (210,687)
         (5,656,396)
Norway—(0.1%)          
Frontline PLC   (2,892)   (105,529)
T1 Energy, Inc.   (12,492)   (59,962)
         (165,491)
Singapore—(0.0%)†          
Grab Holdings Ltd., Class A   (3,422)   (13,072)
           
Switzerland—(0.1%)          
CRISPR Therapeutics AG   (3,192)   (167,069)
           
United States—(38.7%)          
3M Co.   (1,082)   (158,535)
A10 Networks, Inc.   (1,359)   (36,258)
ADTRAN Holdings, Inc.   (26,090)   (461,532)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)
Common stocks—(continued)
United States—(continued)
Advanced Energy Industries, Inc.   (3,039)  $(1,166,702)
Affirm Holdings, Inc.   (265)   (17,034)
Akamai Technologies, Inc.   (12,951)   (1,333,694)
Alarm.com Holdings, Inc.   (104)   (4,619)
Alexandria Real Estate Equities, Inc.   (2,429)   (98,399)
Alphatec Holdings, Inc.   (422)   (4,119)
Ameren Corp.   (1,652)   (187,750)
American Water Works Co., Inc.   (2,797)   (359,191)
Amkor Technology, Inc.   (1,556)   (108,531)
ANI Pharmaceuticals, Inc.   (154)   (12,235)
APA Corp.   (2,559)   (104,228)
Applied Digital Corp.   (69,871)   (2,393,082)
Applied Optoelectronics, Inc.   (16,853)   (2,769,959)
Array Technologies, Inc.   (3,352)   (25,944)
Arrowhead Pharmaceuticals, Inc.   (376)   (27,628)
AST SpaceMobile, Inc.   (1,786)   (131,985)
Astronics Corp.   (1,644)   (117,382)
Atlas Energy Solutions, Inc.   (4,661)   (81,008)
Aurora Innovation, Inc.   (26,913)   (158,248)
Automatic Data Processing, Inc.   (1,924)   (407,773)
AvalonBay Communities, Inc.   (788)   (144,204)
Avnet, Inc.   (173)   (14,274)
Bill Holdings, Inc.   (456)   (17,328)
Bitdeer Technologies Group   (4,115)   (46,458)
BlackLine, Inc.   (354)   (11,063)
BlackSky Technology, Inc.   (2,956)   (104,879)
Bloom Energy Corp.   (56,659)   (16,054,894)
Box, Inc.   (1,359)   (32,888)
Bridgebio Pharma, Inc.   (14,709)   (1,045,957)
Camden Property Trust   (1,321)   (138,731)
CenterPoint Energy, Inc.   (4,502)   (196,512)
Cheesecake Factory, Inc.   (1,461)   (91,853)
Chefs’ Warehouse, Inc.   (327)   (25,375)
Cipher Digital, Inc.   (105,545)   (1,872,368)
Cleanspark, Inc.   (4,201)   (52,639)
Clear Secure, Inc.   (2,530)   (135,077)
Clorox Co.   (981)   (94,608)
Cloudflare, Inc.   (1,804)   (369,766)
Cogent Biosciences, Inc.   (141)   (5,046)
Cohu, Inc.   (1,615)   (76,470)
Coinbase Global, Inc.   (83)   (15,585)
Collegium Pharmaceutical, Inc.   (525)   (17,708)
Compass, Inc.   (1,538)   (11,643)
Conagra Brands, Inc.   (6,830)   (98,011)
Core Scientific, Inc.   (65,628)   (1,312,560)
CoreWeave, Inc.   (3,961)   (442,048)
CorMedix, Inc.   (12,013)   (91,179)
Credit Acceptance Corp.   (157)   (79,271)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)
Common stocks—(continued)
United States—(continued)
Cytokinetics, Inc.   (1,753)  $(112,139)
Darden Restaurants, Inc.   (2,003)   (401,722)
Datadog, Inc.   (720)   (95,177)
Dave, Inc.   (255)   (69,357)
Dexcom, Inc.   (23)   (1,370)
DHT Holdings, Inc.   (5,675)   (104,874)
Diamondback Energy, Inc.   (501)   (103,021)
DigitalOcean Holdings, Inc.   (17,934)   (1,729,376)
DoorDash, Inc.   (577)   (97,311)
Dow, Inc.   (5,051)   (204,515)
Dropbox, Inc.   (7,326)   (177,949)
Duke Energy Corp.   (3,751)   (485,942)
Eastman Kodak Co.   (3,836)   (51,134)
Encore Capital Group, Inc.   (4,437)   (367,250)
Energy Vault Holdings, Inc.   (6,965)   (32,109)
Enovis Corp.   (1,770)   (41,489)
Eos Energy Enterprises, Inc.   (44,048)   (295,122)
Evergy, Inc.   (12,648)   (1,047,760)
Fastly, Inc.   (23,696)   (598,442)
Fermi, Inc.   (8,064)   (41,368)
Fifth Third Bancorp   (3,877)   (196,797)
First Solar, Inc.   (585)   (118,106)
Fluence Energy, Inc.   (5,297)   (64,517)
Fluor Corp.   (9,614)   (512,907)
Freshpet, Inc.   (1,640)   (110,503)
Galaxy Digital, Inc.   (33,661)   (923,658)
GameStop Corp.   (12,081)   (301,421)
Granite Construction, Inc.   (8,495)   (1,164,410)
Green Plains, Inc.   (1,335)   (23,202)
Greenbrier Cos., Inc.   (3,524)   (173,099)
Groupon, Inc.   (275)   (3,908)
Guardant Health, Inc.   (2,763)   (240,602)
Guidewire Software, Inc.   (110)   (15,223)
HA Sustainable Infrastructure Capital, Inc.   (732)   (30,707)
Haemonetics Corp.   (621)   (37,316)
Herbalife Ltd.   (4,258)   (70,683)
Hims & Hers Health, Inc.   (385)   (10,460)
Honeywell International, Inc.   (699)   (149,817)
Illinois Tool Works, Inc.   (1,672)   (431,393)
Indivior Pharmaceuticals, Inc.   (148)   (5,443)
InterDigital, Inc.   (11,501)   (3,410,737)
Intuitive Machines, Inc.   (26,962)   (683,487)
Ionis Pharmaceuticals, Inc.   (683)   (51,061)
Itron, Inc.   (191)   (16,006)
JBT Marel Corp.   (111)   (13,109)
Kinder Morgan, Inc.   (9,931)   (326,432)
Kite Realty Group Trust   (1,035)   (27,076)
Kraft Heinz Co.   (7,564)   (171,400)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)
Common stocks—(continued)
United States—(continued)
Lantheus Holdings, Inc.   (2,592)  $(219,335)
LCI Industries   (236)   (28,136)
LeMaitre Vascular, Inc.   (190)   (20,853)
Life360, Inc.   (394)   (16,977)
Ligand Pharmaceuticals, Inc.   (368)   (84,438)
LivaNova PLC   (1,984)   (119,238)
Live Nation Entertainment, Inc.   (5,306)   (838,030)
Lucid Group, Inc.   (5,128)   (32,665)
Lumentum Holdings, Inc.   (2,388)   (2,154,740)
Lyft, Inc.   (12,700)   (179,705)
MACOM Technology Solutions Holdings, Inc.   (544)   (153,196)
Marzetti Co.   (2,866)   (373,382)
Match Group, Inc.   (371)   (13,883)
McCormick & Co., Inc.   (1,840)   (93,546)
Merit Medical Systems, Inc.   (155)   (10,568)
Meritage Homes Corp.   (36)   (2,424)
Microchip Technology, Inc.   (3,971)   (368,946)
Mid-America Apartment Communities, Inc.   (1,057)   (136,543)
Mirion Technologies, Inc.   (12,741)   (251,635)
Mirum Pharmaceuticals, Inc.   (18,130)   (1,764,230)
MKS, Inc.   (4,330)   (1,228,637)
Mondelez International, Inc.   (4,590)   (282,010)
NiSource, Inc.   (4,748)   (229,233)
Nordic American Tankers Ltd.   (18,113)   (101,071)
Norwegian Cruise Line Holdings Ltd.   (2,124)   (38,614)
NuScale Power Corp.   (3,419)   (42,601)
Nutanix, Inc.   (2,079)   (85,010)
Oklo, Inc.   (558)   (40,455)
Old Dominion Freight Line, Inc.   (394)   (83,697)
Omnicell, Inc.   (391)   (16,195)
ON Semiconductor Corp.   (6,419)   (647,099)
Opendoor Technologies, Inc.   (88,056)   (473,741)
Oracle Corp.   (609)   (98,287)
Ormat Technologies, Inc.   (1,538)   (176,716)
Oscar Health, Inc.   (1,264)   (23,333)
OSI Systems, Inc.   (2,358)   (676,557)
Otis Worldwide Corp.   (1,995)   (155,371)
Pacira BioSciences, Inc.   (3,146)   (80,192)
Pagaya Technologies Ltd.   (18,779)   (260,840)
Palo Alto Networks, Inc.   (539)   (96,653)
PAR Technology Corp.   (3,003)   (40,360)
Parsons Corp.   (851)   (42,899)
Patrick Industries, Inc.   (5,390)   (501,270)
Paychex, Inc.   (4,271)   (395,623)
Peloton Interactive, Inc.   (2,009)   (10,949)
Penguin Solutions, Inc.   (28,575)   (868,966)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)
Common stocks—(continued)
United States—(continued)
Pitney Bowes, Inc.   (2,301)  $(35,573)
Planet Labs PBC   (44,675)   (1,651,635)
Plug Power, Inc.   (41,346)   (129,413)
PPL Corp.   (4,404)   (164,886)
Progress Software Corp.   (49)   (1,365)
PTC Therapeutics, Inc.   (10,390)   (675,973)
QuantumScape Corp.   (7,972)   (58,116)
RealReal, Inc.   (34,308)   (407,922)
Repligen Corp.   (490)   (57,972)
ResMed, Inc.   (2,672)   (571,300)
Riot Platforms, Inc.   (10,694)   (184,365)
Rivian Automotive, Inc.   (1,270)   (20,828)
Rubrik, Inc.   (360)   (19,145)
Sarepta Therapeutics, Inc.   (325)   (6,786)
Seagate Technology Holdings PLC   (10,319)   (6,951,291)
Semtech Corp.   (7,535)   (791,552)
Shake Shack, Inc.   (3,972)   (406,971)
Sirius XM Holdings, Inc.   (257)   (6,924)
SL Green Realty Corp.   (9,066)   (384,489)
Snowflake, Inc.   (1,493)   (203,750)
SoFi Technologies, Inc.   (79,500)   (1,279,950)
SolarEdge Technologies, Inc.   (10,735)   (460,102)
Solaris Energy Infrastructure, Inc.   (18,413)   (1,359,616)
Southern Co.   (6,311)   (610,274)
Spectrum Brands Holdings, Inc.   (141)   (11,647)
Sphere Entertainment Co.   (1,017)   (144,872)
Stride, Inc.   (15,677)   (1,523,177)
Sunrun, Inc.   (5,475)   (69,697)
Super Micro Computer, Inc.   (5,882)   (161,167)
Synaptics, Inc.   (308)   (28,826)
Tandem Diabetes Care, Inc.   (7,011)   (136,890)
Tempus AI, Inc.   (1,037)   (57,533)
Terawulf, Inc.   (114,717)   (2,492,800)
Tetra Tech, Inc.   (538)   (17,388)
Texas Instruments, Inc.   (1,095)   (307,783)
Trane Technologies PLC   (311)   (153,180)
TransMedics Group, Inc.   (4,379)   (441,359)
Transocean Ltd.   (58,083)   (396,126)
Travere Therapeutics, Inc.   (6,052)   (254,910)
Uber Technologies, Inc.   (771)   (57,524)
Ultra Clean Holdings, Inc.   (358)   (27,978)
United Parcel Service, Inc.   (1,523)   (165,702)
United Rentals, Inc.   (104)   (99,823)
Unity Software, Inc.   (744)   (19,656)
Upstart Holdings, Inc.   (6,238)   (196,996)
Varonis Systems, Inc.   (2,483)   (65,303)
Veeco Instruments, Inc.   (13,948)   (695,308)
Viavi Solutions, Inc.   (5,735)   (300,514)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments April 30, 2026 (unaudited)

 

    Number of
shares
    Value  
Investments sold short—(continued)                
Common stocks—(continued)                
United States—(continued)                
Vishay Intertechnology, Inc.     (15,559 )   $ (450,744 )
Wayfair, Inc.     (13,868 )     (886,581 )
WEC Energy Group, Inc.     (3,160 )     (372,690 )
Wells Fargo & Co.     (1,811 )     (148,919 )
Western Digital Corp.     (35,066 )     (15,236,878 )
WisdomTree, Inc.     (16,913 )     (287,521 )
Wolfspeed, Inc.     (888 )     (26,223 )
Workiva, Inc.     (77 )     (4,118 )
Xometry, Inc.     (6,641 )     (340,484 )
Ziff Davis, Inc.     (448 )     (20,500 )
Zoetis, Inc.     (355 )     (40,814 )
Zscaler, Inc.     (11 )     (1,437 )
              (103,747,253 )
Total common stocks
(proceeds—$(91,977,211))
            (120,962,543 )
                 
Exchange traded funds—(2.2)%                
State Street SPDR S&P 500 ETF Trust     (3,457 )     (2,484,408 )
State Street Industrial Select Sector SPDR ETF     (2,394 )     (417,944 )
iShares Russell 2000 ETF     (8,911 )     (2,476,991 )
State Street Utilities Select Sector SPDR ETF     (6,469 )     (303,073 )
iShares MSCI Brazil ETF     (4,869 )     (193,299 )
Total exchange traded funds
(proceeds—$(5,742,844))
            (5,875,715 )

 

   Face
amount3
     
Corporate bonds—(0.0%)†
United States—(0.0%)†
Cracker Barrel Old Country Store, Inc.
1.750%, due 09/15/30
(proceeds—$(28,992))
   (37,000)   (29,768)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

    Face
amount3
    Value  
U.S. Treasury obligations—(1.7%)                
U.S. Treasury Notes                
3.500%, due 09/30/29     (1,141,000 )   $ (1,124,866 )
3.875%, due 09/30/32     (59,000 )     (58,032 )
3.375%, due 02/29/28     (1,305,000 )     (1,293,581 )
3.750%, due 02/28/33     (77,000 )     (74,967 )
3.500%, due 02/28/31     (822,000 )     (803,633 )
3.500%, due 03/15/29     (1,157,000 )     (1,144,255 )
Total U.S. Treasury obligations
(proceeds—$(4,504,677))
            (4,499,334 )
                 
Short-term U.S. Treasury obligations—(0.1%)                
U.S. Treasury Bills                
3.738%, due 12/24/269     (434,000 )     (421,824 )
Total short-term U.S. Treasury obligations
(proceeds—$(421,824))
               
Total investments sold short—(49.1)%
(proceeds—$(102,675,548))
            (131,789,184 )
Total Investments—84.9%
(cost—$222,711,301)
            227,881,074  
Other assets in excess of liabilities—15.1%             40,382,159  
Net Assets—100.0%           $ 268,263,233  

  

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Equity options written

 

Notional
amount
11  
   Number of
contracts
  Call options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
EUR1,147,000   185  EURO STOXX 50 Index, strike @ 6,200.000  JPMCB  09/18/26  $(289,254)  $(183,688)  $105,566 
EUR1,165,500   185  EURO STOXX 50 Index, strike @ 6,300.000  JPMCB  12/18/26   (360,035)   (268,149)   91,886 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Notional
amount
11
  Number of
contracts
   Call options  Counterparty   Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
HKD248,400  23   HKG Hang Seng China Enterprises Index Futures, strike @ 10,800.000  JPMCB   06/18/26  $(51,562)  $(147)  $51,415 
Total                $(700,851)  $(451,984)  $248,867 

 

Notional
amount
11  
  Number of
contracts
   Put options  Counterparty   Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
EUR 30,400  40   STOXX Europe 600 Basic Resources Index, strike @ 760.000  JPMCB   06/19/26  $(60,663)  $(55,866)  $4,797 
EUR 666,700  113   EURO STOXX 50 Index, strike @ 5,900.000  JPMCB   09/18/26   (351,888)   (379,167)   (27,279)
EUR 666,700  113   EURO STOXX 50 Index, strike @ 5,900.000  JPMCB   12/18/26   (436,292)   (453,834)   (17,542)
USD 23,902  37   State Street SPDR S&P 500 ETF Trust, strike @ 646.000  OCC   05/08/26   (17,826)   (259)   17,567 
Total                $(866,669)  $(889,126)  $(22,457)
Total equity options written         $(1,567,520)  $(1,341,110)  $226,410 

 

Options written

 

Notional
amount
  Number of
contracts
   Call options  Counterparty   Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
EUR 5,997  152,500   3 Month Euro Euribor Futures, strike @ 98.313  MSCI   09/14/26  $(3,649)  $(895)  $2,754 

 

Futures contracts

 

Number of
contracts
   Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
Index futures buy contracts:
2    EUR Euronext CAC 40 Index Futures  May 2026  $192,244   $189,087   $(3,157)
13    GBP FTSE 100 Index Futures  June 2026   1,875,425    1,835,930    (39,495)
1    ZAR FTSE/JSE Top 40 Index Futures  June 2026   65,650    64,920    (730)
0    HKD HKG Hang Seng Index Futures  May 2026   1,317,388    1,308,599    (8,789)
1    EUR Mini-DAX Index Futures  June 2026   136,613    143,109    6,496 
5    SEK OML Stockholm OMXS30 Index Futures  May 2026   168,715    165,593    (3,122)
14    JPY OSE Nikkei 225 mini Index Futures  June 2026   530,293    532,350    2,057 
6    USD Russell 2000 Value Index Futures  June 2026   810,140    842,340    32,200 
0    USD S&P 500 E-Mini Index Futures  June 2026   9,672,078    9,779,062    106,984 
1    AUD S&P ASX Share Price Index 200 Futures  June 2026   163,123    156,013    (7,110)
2    CAD S&P/TSX 60 Index Futures  June 2026   569,402    584,297    14,895 
3    SGD SGX MSCI Singapore Index Futures  May 2026   103,679    104,003    324 
18    EUR VSTOXX Index Futures  May 2026   44,180    45,737    1,557 
Interest rate futures buy contracts:
21    AUD Australian Bond 10 Year Futures  June 2026  $1,630,995   $1,618,681   $(12,314)
4    USD Australian Dollar Currency Futures  June 2026   285,400    287,700    2,300 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Number of
contracts
    Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
16    CAD Canadian Bond 10 Year Futures  June 2026  $1,426,981   $1,403,232   $(23,749)
1    USD Canadian Dollar Currency Futures  June 2026   73,396    73,750    354 
111    EUR EURO Schatz 2 Year Futures  June 2026   13,806,880    13,776,593    (30,287)
3    EUR French Government Bond Futures  June 2026   424,861    419,944    (4,917)
3    EUR Italian Government Bond Futures  June 2026   413,756    411,810    (1,946)
2    JPY Japan Government Bond 10 Year Futures  June 2026   1,669,254    1,651,305    (17,949)
18    USD Mexican Peso Currency Futures  June 2026   503,563    513,270    9,707 
15    USD New Zealand Dollar Currency Futures  June 2026   887,675    887,250    (425)
1    USD Swedish Krona Currency Futures  June 2026   216,100    217,250    1,150 
18    USD U.S. Long Bond Futures  June 2026   2,048,240    2,031,187    (17,053)
U.S. Treasury futures buy contracts:
79    USD U.S. Treasury Note 5 Year Futures  June 2026  $8,579,940   $8,519,039   $(60,901)
8    USD Ultra U.S. Treasury Bond Futures  June 2026   933,228    920,250    (12,978)
Total            $48,549,199   $48,482,301   $(66,898)
Index futures sell contracts:
1    USD E-mini NASDAQ 100 Index Futures  June 2026  $(540,925)  $(551,920)  $(10,995)
3    EUR EURO STOXX 50 Index Futures  December 2027   (54,539)   (61,546)   (7,007)
76    EUR EURO STOXX 50 Index Futures  June 2026   (5,195,474)   (5,209,127)   (13,653)
10    EUR EURO STOXX 50 Index Futures  December 2028   (194,544)   (205,036)   (10,492)
8    EUR EURO STOXX Banks Index Dividend Futures  December 2027   (62,110)   (62,532)   (422)
9    EUR EURO STOXX Banks Index Dividend Futures  December 2028   (67,655)   (68,500)   (845)
2    EUR Euronext CAC 40 Index Futures  May 2026   (192,784)   (189,087)   3,697 
10    GBP Financial Times Stock Index Futures  June 2026   (586,230)   (611,045)   (24,815)
1    HKD Hang Seng China Enterprises Index Futures  May 2026   (55,557)   (55,244)   313 
24    USD IFSC NIFTY 50 Index Futures  May 2026   (1,153,564)   (1,158,864)   (5,300)
0    USD S&P 500 E-Mini Index Futures  June 2026   (1,361,822)   (1,448,750)   (86,928)
9    USD SGX FTSE China A50 Futures Index Contract  May 2026   (139,295)   (139,977)   (682)
15    JPY TSE Mini Topix Index Futures  June 2026   (343,326)   (358,724)   (15,398)
2    USD U.S. MSCI Emerging Markets Index Futures  June 2026   (160,790)   (163,420)   (2,630)
Interest rate futures sell contracts:
7    AUD Australian Bond 3 Year Futures  June 2026  $(523,421)  $(520,961)  $2,460 
29    USD British Pound Currency Futures  June 2026   (2,435,443)   (2,465,181)   (29,738)
6    EUR Eurex Short-term Euro-BTP Futures  June 2026   (744,974)   (746,441)   (1,467)
20    EUR EURO Bobl 5 Year Index Future  June 2026   (2,705,362)   (2,709,957)   (4,595)
1    EUR Euro Bund 10 Year Futures  June 2026   (147,199)   (147,129)   70 
17    USD Euro Foreign Exchange Currency Futures  June 2026   (2,488,737)   (2,499,000)   (10,263)
1    EUR German Euro Buxl 30 Year Futures  June 2026   (126,543)   (127,904)   (1,361)
12    USD Japanese Yen Currency Futures  June 2026   (945,754)   (962,400)   (16,646)
2    KRW Korea Treasury Bond 10 Year Futures  June 2026   (147,694)   (146,305)   1,389 
9    KRW Korea Treasury Bond 3 Year Futures  June 2026   (631,918)   (628,216)   3,702 
7    USD Swiss Franc Currency Futures  June 2026   (1,111,559)   (1,125,119)   (13,560)
18    GBP United Kingdom Long Gilt Bond Futures  June 2026   (2,130,444)   (2,120,892)   9,552 
U.S. Treasury futures sell contracts:
5    USD U.S. Treasury Note 2 Year Futures  June 2026  $(1,035,594)  $(1,035,625)  $(31)
75    USD Ultra U.S. Treasury Note 10 Year Futures  June 2026   (8,607,734)   (8,464,453)   143,281 
Total            $(33,890,991)  $(33,983,355)  $(92,364)
Net unrealized appreciation (depreciation)               $(159,262)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Centrally cleared credit default swap agreements on credit indices—buy protection12
 
Referenced obligations  Implied
credit
spread as of
April 30,
202613
 
   Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by
the
portfolio14
 
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
iTraxx Europe S45  N/A    EUR 1,461  06/20/31  Quarterly   (1.000)%  $(35,518)  $(35,168)  $350 
CDX.NA.HY.S46  N/A    USD 671  06/20/31  Quarterly   (5.000)   (48,271)   (51,769)   (3,498)
Total                     $(83,789)  $(86,937)  $(3,148)

 

Centrally cleared credit default swap agreements on credit indices—sell protection15
 
Referenced obligations  Implied
credit
spread as of
April 30,
202613
   Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
received by
the
portfolio14
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
CDX.NA.IG.S46  N/A    USD 602  06/20/31  Quarterly   (1.000)%  $9,576   $13,367   $3,791 
iTraxx Europe Crossover S45  N/A    EUR 289  06/20/31  Quarterly   (5.000)   19,124    32,233    13,109 
CDX.EM.S45  N/A    USD 1,345  06/20/31  Quarterly   (1.000)   (56,394)   (35,733)   20,661 
Total                     $(27,694)  $9,867   $37,561 

 

Centrally cleared interest rate swap agreements

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by the
portfolio14
   Payments
received by
the portfolio14
   Value   Unrealized
appreciation
(depreciation)
 
BRL 43,270  07/01/26  At Maturity  14.600%    1 day BRL CDI   $6,659   $7,582 
BRL 4,774  01/02/29  At Maturity  1 day BRL CDI    13.294%    (5,416)   (5,416)
BRL 17,839  01/02/31  At Maturity  1 day BRL CDI    13.260    (46,654)   (18,320)
BRL 11,681  01/02/37  At Maturity  1 day BRL CDI    13.170    (19,679)   (6,618)
CHF 671  06/17/28  Annual  1 day CHF SARON    0.077    (2,466)   (2,455)
CHF 274  06/17/36  Annual  1 day CHF SARON    0.603    (414)   (417)
CNY 900  06/17/31  Quarterly  7 day CNY Repo Fixing    1.550    (57)   (70)
COP 2,584,019  06/17/36  Quarterly  1 day COP IBR    11.324    (6,924)   (6,510)
EUR 14,250  06/17/28  Annual  2.566    1 day EUR STR    6,449    6,449 
EUR 14,250  06/17/28  Annual  2.564    1 day EUR STR    7,101    7,101 
EUR 8,800  06/17/28  Annual  2.630    1 day EUR STR    (8,831)   (8,830)
EUR 19,600  06/17/28  Annual  2.621    1 day EUR STR    (15,847)   (15,847)
EUR 13,573  03/19/36  Annual  1 day EUR STR    3.136    17,859    17,859 
EUR 6,700  03/20/56  Annual  3.291    1 day EUR STR    (139,395)   (139,395)
EUR 231  06/17/76  Annual  2.746    1 day EUR STR    3,871    4,152 
GBP 12,718  06/17/28  Annual  1 day GBP SONIA    4.299    (16,570)   (16,570)
GBP 6,359  06/17/28  Annual  1 day GBP SONIA    4.362    1,854    1,854 
GBP 6,350  06/17/28  Annual  1 day GBP SONIA    4.313    (6,005)   (6,005)
GBP 25,200  06/17/28  Annual  1 day GBP SONIA    4.360    6,190    (29,129)
GBP 7,007  06/17/28  Annual  1 day GBP SONIA    4.309    (7,395)   (32,067)
HUF 542,954  06/17/31  Annual  6 mo. HUF BIBOR    6.933    79,391    37,061 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by the
portfolio14
   Payments
received by
the portfolio14
    Value   Unrealized
appreciation
(depreciation)
 
ILS 963  06/17/36  Annual  1 day ILS SHIR   3.626%    $(5,782)  $(5,705)
INR 7,323  06/17/31  Semi-annual  6.483%   6 mo. INR MIBOR     571    776 
JPY 177,869  06/17/36  Annual  2.051   1 day JPY TONA     28,090    28,025 
JPY 85,921  06/17/56  Annual  1 day JPY TONA   2.889     (28,196)   (27,317)
JPY 42,667  06/17/66  Annual  2.955   1 day JPY TONA     14,384    15,378 
MXN 54  06/04/36  Monthly  28 day TIIE-Banxico   8.189     (29)   (29)
NOK 33,804  06/17/28  Semi-annual  4.648   6 mo. NOK NIBOR     24,952    13,627 
NOK 12,191  06/17/36  Semi-annual  4.379   6 mo. NOK NIBOR     9,059    5,437 
NZD 1,167  06/17/36  Semi-annual  3 mo. NZD Bank Bill   4.179     (13,381)   (13,343)
SGD 3,371  06/17/29  Semi-annual  1.528   1 day SGD SORA     11,743    (5,375)
THB 1,447  06/17/31  Quarterly  1 day THB THOR   1.425     (592)   (592)
USD 1,360  11/15/52  Annual  4.136   1 day USD SOFR     20,832    20,715 
ZAR 26,402  06/17/31  Quarterly  3 mo. ZAR JIBAR   7.300     (25,337)   (12,297)
ZAR 6,800  03/11/36  Quarterly  3 mo. ZAR JIBAR   8.861     (388)   3,314 
ZAR 82  06/17/36  Quarterly  7.697   3 mo. ZAR JIBAR     171    97 
Total                 $(110,182)  $(182,880)

 

OTC Total return swap agreements

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
BB   EUR (195 ) 05/06/26   At Maturity   BC EU Quality-Yield   0.000%   $   $ 4,048   $ 4,048  
BB   EUR (46 ) 05/19/26   At Maturity   1 mo. EUR EURIBOR   BC EU Low Growth SWAP COMP     90   90  
BB   EUR 463   05/19/26   At Maturity   1 mo. EUR EURIBOR   BC EU Small Size SWAP COMP     (2,730 ) (2,730 )
BB   EUR 122   05/19/26   At Maturity   1 mo. EUR EURIBOR   BC EU Value (Cheap) SWAP COMP     (985 ) (985 )
BB   EUR 221   05/19/26   At Maturity   1 mo. EUR EURIBOR   BC EU Small Size SWAP COMP     (3,146 ) (3,146 )
BB   EUR 175   05/19/26   At Maturity   1 mo. EUR EURIBOR   BC EU High Yield Index     (1,951 ) (1,951 )
BB   USD 201   05/19/26   At Maturity   0.000%   MSCI AC World Daily Total Return Net USD     2,100   2,100  
BB   EUR (169 ) 07/17/26   At Maturity   BC EU High Quality SWAP COMP   1 mo. EUR EURIBOR     3,036   3,036  
BB   EUR 165   03/19/27   At Maturity   1 mo. EUR EURIBOR   BCIISHDF Index     (14,865 ) (14,865 )
BB   EUR (195 ) 04/09/27   At Maturity   BC EU Quality-Yield   0.000     2,434   2,434  

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
BB   EUR 35   04/09/27   At Maturity   1 mo. EUR EURIBOR   BC EU Low Growth SWAP COMP   $   $ (100 ) $ (100 )
BB   EUR 306   04/16/27   At Maturity   1 mo. EUR EURIBOR   BC EU Low Quality Index     2,491   2,491  
BB   USD 245   05/03/27   At Maturity   1 Day USD SOFR   BCIICROS Index     18,677   18,677  
CITI   USD 101   02/04/27   At Maturity   1 Day USD SOFR   CGFCMEMO SWAP COMP     10,859   10,859  
GS   EUR (287 ) 05/19/26   At Maturity   Defense Index   1 mo. EUR EURIBOR     1,716   1,716  
GS   USD 414   05/03/27   At Maturity   1 Day USD SOFR   BC U.S. Value (Cheap) SWAP COMP     10,657   10,657  
GS   USD 15   08/29/28   At Maturity   1 Day USD SOFR   CUSTOM BASKET SWAP COMP     533   533  
GS   USD 94   02/22/29   At Maturity   1 Day USD SOFR   NKR COWOS SWAP COMP     50,533   50,533  
GS   USD 6   02/28/29   At Maturity   1 Day USD SOFR   GS GLOBAL MEMORY SWAP COMP     1,696   1,696  
GS   EUR (63 ) 03/07/29   At Maturity   Defense Index   1 mo. EUR EURIBOR     4,934   4,934  
GS   EUR (23 ) 03/07/29   At Maturity   Dr. Ing hc F Porsche AG   1 mo. EUR EURIBOR     (486 ) (486 )
GS   USD 30   03/21/29   At Maturity   1 Day USD SOFR   GS U.S. Defensives Index     318   318  
GS   USD 1,074   03/27/29   At Maturity   1 day USD SOFR   AI Conviction     21,057   21,057  
GS   EUR 581   03/27/29   At Maturity   1 mo. EUR EURIBOR   GS EU Cyclicals SWAP Index     32,243   32,243  
GS   USD (69 ) 04/11/29   At Maturity   GSMBCHAR Index   1 Day USD SOFR     (7,026 ) (7,026 )
GS   EUR 30   04/18/29   At Maturity   0.000%   GS EU Defensives SWAP Index     (509 ) (509 )
GS   GBP   04/18/29   At Maturity   Wizz Air Holdings PLC   0.000%     2   2  
GS   USD 39   04/24/29   At Maturity   1 Day USD SOFR   GS U.S. Uranium     14   14  
JPMCB   USD 740   05/22/26   At Maturity   1 day USD SOFR   U.S. Pure Value Winners Index     63,552   63,552  
JPMCB   USD (69 ) 05/22/26   At Maturity   JPFUITSV Index   1 Day USD SOFR     2,200   2,200  
JPMCB   USD 68   05/22/26   At Maturity   JPFUITSV Index   1 day USD SOFR     (1,999 ) (1,999 )
JPMCB   USD (87 ) 05/26/26   At Maturity   JPFUITSV Index   1 day USD SOFR     1,697   1,697  
JPMCB   JPY 29   08/03/26   At Maturity   1 mo. JPY LIBOR   Nippon Sanso Holdings Corp.     (680 ) (680 )
JPMCB   USD (158 ) 08/13/26   At Maturity   JP11DXYL Index   1 Day USD SOFR     (2,722 ) (2,722 )
JPMCB   USD 12   08/25/26   At Maturity   1 day USD SOFR   Chinook Therapeutics, Inc.     (289 ) (289 )

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
JPMCB   USD   08/26/26   At Maturity   1 day USD SOFR   Mirati Therapeutics, Inc.   $   $ 14,093   $ 14,093  
JPMCB   USD (3 ) 10/06/26   At Maturity   Morgan Stanley   0.000%     (45 ) (45 )
JPMCB   BRL 110   10/30/26   At Maturity   1 mo. BRL LIBOR   JPFJBRL1 Index     10,004   10,004  
JPMCB   USD (734 ) 11/26/26   At Maturity   1 day USD SOFR   U.S. Pure Value Winners Index     (12,545 ) (12,545 )
JPMCB   BRL 115   01/14/27   At Maturity   1 mo. BRL LIBOR   JPFJBRL2 SWAP COMP     13,477   13,477  
JPMCB   USD 48   01/14/27   At Maturity   1 Day USD SOFR   USGS CRITICAL MINERALS SWAP COMP     11,514   11,514  
JPMCB   USD 40   02/16/27   At Maturity   1 Day USD SOFR   USGS Critical Minerals SWAP COMP     2,730   2,730  
JPMCB   USD (132 ) 02/18/27   At Maturity   U.S. Pure Beta Winners   1 Day USD SOFR     (22,570 ) (22,570 )
JPMCB   USD 339   02/23/27   At Maturity   1 day USD SOFR   U.S. Pure Growth Laggards     40,684   40,684  
JPMCB   USD (13 ) 02/23/27   At Maturity   1 Day USD SOFR   U.S. Pure Growth Laggards     (1,464 ) (1,464 )
JPMCB   EUR 620   02/26/27   At Maturity   1 mo. EUR EURIBOR   ENEL SPA     11,717   11,717  
JPMCB   USD (53 ) 03/31/27   At Maturity   Inflation Laggards SWAP COMP   1 Day USD SOFR     (4,340 ) (4,340 )
JPMCB   USD (1,792 ) 05/03/27   At Maturity   1 day USD SOFR   U.S. Pure Value Winners Index     10,503   10,503  
JPMCB   EUR (1 ) 05/05/27   At Maturity   MFE-MediaForEurope NV   1 mo. EUR EURIBOR     9   9  
JPMCB   EUR 2   05/26/27   At Maturity   1 mo. EUR EURIBOR   Anima Holding SpA     45   45  
JPMCB   EUR 13   05/27/27   At Maturity   1 mo. EUR EURIBOR   Leonardo SpA     (1,024 ) (1,024 )
JPMCB   EUR 16   06/07/27   At Maturity   0.000%   Saipem SpA     1,581   1,581  
JPMCB   EUR (12 ) 06/08/27   At Maturity   De' Longhi SpA   1 mo. EUR EURIBOR     (571 ) (571 )
JPMCB   EUR (8 ) 06/08/27   At Maturity   Salvatore Ferragamo SpA   1 mo. EUR EURIBOR     (552 ) (552 )
JPMCB   EUR (9 ) 06/08/27   At Maturity   Brunello Cucinelli SpA   1 mo. EUR EURIBOR     (613 ) (613 )
JPMCB   EUR (12 ) 06/08/27   At Maturity   Ferrari NV   1 mo. EUR EURIBOR     25   25  
JPMCB   EUR (10 ) 06/08/27   At Maturity   Moncler SpA   1 mo. EUR EURIBOR     395   395  
JPMCB   EUR (19 ) 06/08/27   At Maturity   Lottomatica Group SpA   1 mo. EUR EURIBOR     243   243  
JPMCB   EUR (8 ) 06/08/27   At Maturity   Brembo NV   1 mo. EUR EURIBOR     3   3  
JPMCB   EUR (10 ) 06/09/27   At Maturity   Amplifon SpA   1 mo. EUR EURIBOR     (813 ) (813 )

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
JPMCB   EUR (2 ) 06/09/27   At Maturity   Technogym SpA   1 mo. EUR EURIBOR   $   $ (263 ) $ (263 )
JPMCB   EUR (15 ) 06/09/27   At Maturity   Stellantis NV   1 mo. EUR EURIBOR     177   177  
JPMCB   EUR (2 ) 06/09/27   At Maturity   OVS SpA   1 mo. EUR EURIBOR     (194 ) (194 )
JPMCB   EUR (9 ) 06/09/27   At Maturity   Pirelli & C SpA   1 mo. EUR EURIBOR     (69 ) (69 )
JPMCB   EUR 4   06/14/27   At Maturity   0.000%   Buzzi SpA     (195 ) (195 )
JPMCB   USD (2 ) 06/21/27   At Maturity   Morgan Stanley Direct Lending Fund   1 Day USD SOFR     (69 ) (69 )
JPMCB   EUR   06/23/27   At Maturity   1 mo. EUR EURIBOR   Danieli & C Officine Meccaniche SpA     67   67  
JPMCB   EUR 29   06/23/27   At Maturity   1 mo. EUR EURIBOR   Enel SpA     676   676  
JPMCB   EUR (3 ) 06/23/27   At Maturity   1 mo. EUR EURIBOR   Enel SpA     (284 ) (284 )
JPMCB   EUR   06/23/27   At Maturity   1 mo. EUR EURIBOR   Telecom Italia SpA     65   65  
JPMCB   EUR 28   06/23/27   At Maturity   1 mo. EUR EURIBOR   Terna - Rete Elettrica Nazionale     340   340  
JPMCB   EUR (3 ) 06/23/27   At Maturity   1 mo. EUR EURIBOR   Terna - Rete Elettrica Nazionale     (290 ) (290 )
JPMCB   EUR 30   06/23/27   At Maturity   1 mo. EUR EURIBOR   Prysmian SpA     4,963   4,963  
JPMCB   EUR (3 ) 06/23/27   At Maturity   1 mo. EUR EURIBOR   Prysmian SpA     (1,144 ) (1,144 )
JPMCB   EUR (15 ) 06/25/27   At Maturity   Davide Campari-Milano NV   0.000%     (204 ) (204 )
JPMCB   EUR (24 ) 07/09/27   At Maturity   0.000   0.000     554   554  
JPMCB   USD 1,011   07/14/27   At Maturity   1 Day USD SOFR   U.S. Pure Growth Laggards     43,692   43,692  
JPMCB   EUR 5   07/16/27   At Maturity   0.000   Intesa Sanpaolo SpA     77   77  
JPMCB   EUR 3   07/16/27   At Maturity   0.000   BPER Banca SPA     61   61  
JPMCB   EUR 3   07/16/27   At Maturity   0.000   Banca Monte dei Paschi di Siena SpA     245   245  
JPMCB   EUR 6   07/16/27   At Maturity   0.000   UniCredit SpA     (275 ) (275 )
JPMCB   EUR   07/22/27   At Maturity   0.000   Generali     5   5  
JPMCB   EUR 2   07/22/27   At Maturity   0.000   Eni SpA     144   144  
JPMCB   EUR   07/22/27   At Maturity   0.000   Unipol Assicurazioni SpA     (1 ) (1 )

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
JPMCB   EUR   07/22/27   At Maturity   0.000%   Nexi SpA   $   $ 19   $ 19  
JPMCB   EUR   07/22/27   At Maturity   0.000   Banco BPM SpA     (8 ) (8 )
JPMCB   EUR   07/22/27   At Maturity   0.000   Poste Italiane SpA     2   2  
JPMCB   EUR   07/28/27   At Maturity   0.000   Interpump Group SpA     (1 ) (1 )
JPMCB   USD 94   04/17/29   At Maturity   JPFUITSV Index   1 day USD SOFR     2,540   2,540  
JPMCB   USD 111   07/27/27   At Maturity   1 day USD SOFR   U.S. Pure Growth Laggards     1,184   1,184  
JPMCB   USD 111   07/27/27   At Maturity   1 Day USD SOFR   U.S. Pure Growth Laggards     1,353   1,353  
JPMCB   USD 271   07/01/27   At Maturity   1 Day USD SOFR   U.S. Pure Growth Laggards     15,879   15,879  
JPMCB   USD (14 ) 07/01/27   At Maturity   1 Day USD SOFR   U.S. Pure Growth Laggards     (723 ) (723 )
MSCI   USD (28 ) 05/26/26   At Maturity   Eva Airways Corp.   1 Day USD SOFR     976   976  
MSCI   USD 4   07/17/26   At Maturity   1 Day USD SOFR   Banca Transilvania SA     (201 ) (201 )
MSCI   USD 20   07/17/26   At Maturity   1 Day USD SOFR   Fortune Electric Co. Ltd.     (187 ) (187 )
MSCI   USD 23   07/17/26   At Maturity   1 Day USD SOFR   Aselsan Elektronik Sanayi Ve Ticaret AS     (30 ) (30 )
MSCI   USD 3   07/17/26   At Maturity   1 Day USD SOFR   Nanya Technology Corp.     40   40  
MSCI   USD 1   07/17/26   At Maturity   1 Day USD SOFR   ADATA Technology Co. Ltd.     145   145  
MSCI   USD 2   07/17/26   At Maturity   1 Day USD SOFR   Winbond Electronics Corp.     (15 ) (15 )
MSCI   USD 6   07/17/26   At Maturity   1 Day USD SOFR   Innodisk Corp.     539   539  
MSCI   USD 2   07/21/26   At Maturity   1 Day USD SOFR   Allis Electric Co. Ltd.     (38 ) (38 )
MSCI   USD 42   07/21/26   At Maturity   1 Day USD SOFR   Delta Electronics, Inc.     8,799   8,799  
MSCI   USD 5   07/21/26   At Maturity   1 Day USD SOFR   Shihlin Electric & Engineering Corp.     (137 ) (137 )
MSCI   USD (8 ) 07/21/26   At Maturity   China Airlines Ltd.   1 Day USD SOFR     167   167  
MSCI   USD   07/21/26   At Maturity   Hotai Motor Co. Ltd.   0.000%     2   2  
MSCI   USD (1 ) 07/21/26   At Maturity   Uni-President Enterprises Corp.   0.000     12   12  
MSCI   USD   07/21/26   At Maturity   President Chain Store Corp.   0.000     1   1  
MSCI   USD   07/21/26   At Maturity   PharmaEssentia Corp.   0.000     (31 ) (31 )

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
MSCI   USD 880   07/22/26   At Maturity   1 day USD SOFR   Cia de Saneamento Basico do Estado de Sao Paulo SABESP   $     (17,673 ) $ (17,673 )
MSCI   USD   01/27/27   At Maturity   SD Guthrie Bhd.   0.000%     (8 ) (8 )
MSCI   USD 63   02/11/27   At Maturity   1 Day USD SOFR   Hubei Zhenhua Chemical Co. Ltd.     (1,432 ) (1,432 )
MSCI   USD 131   02/11/27   At Maturity   1 Day USD SOFR   Shenzhen Kaifa Technology Co. Ltd.     3,758   3,758  
MSCI   USD 104   02/11/27   At Maturity   1 Day USD SOFR   Union Semiconductor Hefei Co. Ltd.     6,847   6,847  
MSCI   USD 302   02/11/27   At Maturity   1 Day USD SOFR   Fujian Highton Development Co. Ltd.     13,748   13,748  
MSCI   EUR 1,009   02/26/27   At Maturity   1 mo. EUR EURIBOR   Engie SA     (24,765 ) (24,765 )
MSCI   EUR (143 ) 02/26/27   At Maturity   Iberdrola SA   1 mo. EUR EURIBOR     (429 ) (429 )
MSCI   EUR 2,175   02/26/27   At Maturity   1 mo. EUR EURIBOR   Siemens Energy AG     143,848   143,848  
MSCI   EUR 457   02/26/27   At Maturity   1 mo. EUR EURIBOR   ArcelorMittal SA     (26,438 ) (26,438 )
MSCI   EUR (81 ) 02/26/27   At Maturity   Schneider Electric SE   1 mo. EUR EURIBOR     (730 ) (730 )
MSCI   EUR (175 ) 02/26/27   At Maturity   Siemens AG   1 mo. EUR EURIBOR     (11,095 ) (11,095 )
MSCI   EUR 531   02/26/27   At Maturity   0.000%   STMicroelectronics NV     113,418   113,418  
MSCI   EUR (391) 03/10/27   At Maturity   STOXX Europe 600 Industrial Goods & Services Index   1 mo. EUR EURIBOR     6,124   6,124  
MSCI   EUR (395 ) 03/10/27   At Maturity   STOXX Europe 600 Utilities Index   1 mo. EUR EURIBOR     (2,988 ) (2,988 )
MSCI   GBP 329   03/10/27   At Maturity   1 mo. GBP LIBOR   National Grid PLC     4,640   4,640  
MSCI   GBP 424   03/10/27   At Maturity   1 mo. GBP LIBOR   SSE PLC     (10,641 ) (10,641 )
MSCI   USD 6   03/24/27   At Maturity   1 Day USD SOFR   SK Hynix, Inc.     774   774  
MSCI   USD 18   03/24/27   At Maturity   1 Day USD SOFR   Hyundai Rotem Co. Ltd.     4,945   4,945  
MSCI   USD 24   03/24/27   At Maturity   1 Day USD SOFR   Hanwha Systems Co. Ltd.     (2,609 ) (2,609 )
MSCI   USD 3   03/24/27   At Maturity   1 Day USD SOFR   Eo Technics Co. Ltd.     (36 ) (36 )

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
MSCI   USD 6   03/24/27   At Maturity   1 Day USD SOFR   Samsung Electronics Co. Ltd.   $   $ 241   $ 241  
MSCI   USD 3   03/24/27   At Maturity   1 Day USD SOFR   Samsung Electronics Co. Ltd.     295   295  
MSCI   USD 4   03/24/27   At Maturity   1 Day USD SOFR   WONIK IPS Co. Ltd.     (209 ) (209 )
MSCI   USD 86   03/26/27   At Maturity   1 Day USD SOFR   LS Electric Co. Ltd.     41,446   41,446  
MSCI   USD 78   03/26/27   At Maturity   1 Day USD SOFR   HD Hyundai Electric Co. Ltd.     14,538   14,538  
MSCI   USD 6   03/26/27   At Maturity   1 Day USD SOFR   L&F Co. Ltd.     (198 ) (198 )
MSCI   USD 18   03/26/27   At Maturity   1 Day USD SOFR   Samsung SDI Co. Ltd.     1,255   1,255  
MSCI   USD 5   03/26/27   At Maturity   1 Day USD SOFR   Ecopro BM Co. Ltd.     (94 ) (94 )
MSCI   USD 7   03/26/27   At Maturity   1 Day USD SOFR   LG Energy Solution Ltd.     (268 ) (268 )
MSCI   USD (9 ) 10/11/27   At Maturity   Thai Oil PCL   1 day USD SOFR     (368 ) (368 )
MSCI   USD (2 ) 10/11/27   At Maturity   Star Petroleum Refining PCL   1 day USD SOFR     (89 ) (89 )
MSCI   USD   10/13/27   At Maturity   Charoen Pokphand Foods PCL   0.000%     (1 ) (1 )
MSCI   USD   10/13/27   At Maturity   CP ALL PCL   0.000     8   8  
MSCI   USD 21   01/17/28   At Maturity   1 Day USD SOFR   CPFL Energia SA     (2,643 ) (2,643 )
MSCI   USD 257   03/07/28   At Maturity   1 Day USD SOFR   Baidu, Inc.     10,511   10,511  
MSCI   USD   03/15/28   At Maturity   Hyundai Mobis Co. Ltd.   0.000     2   2  
MSCI   USD   03/15/28   At Maturity   Hyundai Motor Co.   0.000     1   1  
MSCI   USD (1 ) 03/15/28   At Maturity   Hyundai Motor Co.   0.000     (17 ) (17 )
MSCI   USD (1 ) 03/15/28   At Maturity   Kia Corp.   0.000     9   9  
MSCI   USD   03/15/28   At Maturity   Yuhan Corp.   0.000     6   6  
MSCI   USD (1 ) 03/15/28   At Maturity   Celltrion, Inc.   0.000     19   19  
MSCI   USD   03/15/28   At Maturity   SK Biopharmaceuticals Co. Ltd.   0.000     3   3  
MSCI   USD (1 ) 03/15/28   At Maturity   Alteogen, Inc.   0.000     6   6  
MSCI   USD (1 ) 03/15/28   At Maturity   Samsung Biologics Co. Ltd.   0.000     32   32  

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty   Notional
amount
(000)
  Maturity
Date
  Payment
frequency
  Payment
made by the
portfolio15
  Payments
received by
the portfolio15
  Upfront
payments
received
(made)
  Value   Unrealized
appreciation
(depreciation)
 
MSCI   USD   05/02/28   At Maturity   SM Investments Corp.   0.000%   $   $ 2   $ 2  
MSCI   USD 26,769   04/24/28   At Maturity   1 day USD SOFR   MSFPACE Index     158,034   158,034  
                        $ 0   $ 770,029   $ 770,029  

 

 

 

 

Forward foreign currency contracts

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
BB  USD 438,000     TRY 21,247,380    07/14/26  $2,275 
BNP  CLP 8,966,040    USD 10,000    05/20/26   35 
BNP  COP 414,993,000    USD 110,000    05/20/26   (3,658)
BNP  MXN 3,504,935    USD 200,000    05/20/26   (393)
BNP  SEK 2,060,656    USD 230,000    05/20/26   6,631 
BNP  SGD 417,671    USD 330,000    05/20/26   1,503 
BNP  USD 30,000    PEN 104,472    05/20/26   (246)
BNP  BRL 664,015    USD 130,000    06/17/26   (2,662)
BNP  COP 37,535,100    USD 10,000    06/17/26   (216)
BNP  IDR 172,356,919    USD 20,000    06/17/26   10,063 
BNP  INR 17,836,022    USD 190,000    06/17/26   2,782 
BNP  KRW 162,310,913    USD 110,000    06/17/26   441 
BNP  TWD 5,734,171    USD 180,000    06/17/26   (1,462)
BNP  USD 10,000    BRL 53,486    06/17/26   686 
BNP  USD 10,000    INR 949,557    06/17/26   (33)
BNP  USD 10,000    PEN 34,985    06/17/26   (54)
BNP  USD 280,000    SGD 355,197    06/17/26   (86)
BNP  USD 90,000    TWD 2,867,562    06/17/26   746 
BNP  USD 59,000    TRY 2,850,126    07/14/26   59 
BNP  COP 36,716,300    USD 10,000    07/15/26   66 
BNP  SGD 354,507    USD 280,000    07/15/26   81 
BNP  TWD 2,868,444    USD 90,000    07/15/26   (932)
BNP  USD 130,000    BRL 668,557    07/15/26   2,688 
BNP  USD 10,000    INR 948,473    07/15/26   (71)
BNP  USD 10,000    TWD 316,810    07/15/26   43 
BOA  AUD 50,000    USD 35,027    05/20/26   (960)
BOA  CAD 27,306    USD 20,000    05/20/26   (118)
BOA  CZK 821,796    USD 40,000    05/20/26   441 
BOA  CZK 630,464    USD 30,000    05/20/26   (350)
BOA  GBP 10,000    USD 13,470    05/20/26   (138)
BOA  HUF 6,397,943    USD 20,000    05/20/26   (601)
BOA  IDR 508,413,000    USD 30,000    05/20/26   649 
BOA  NZD 10,000    USD 5,924    05/20/26   13 
BOA  NZD 20,000    USD 11,686    05/20/26   (136)
BOA  PHP 2,362,900    USD 40,000    05/20/26   1,582 
BOA  PLN 536,854    USD 150,000    05/20/26   1,897 
BOA  USD 14,175    AUD 20,000    05/20/26   219 
BOA  USD 10,000    CLP 8,655,100    05/20/26   (381)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
BOA  USD 220,000    CZK 4,689,258    05/20/26  $5,734 
BOA  USD 11,854    EUR 10,000    05/20/26   (109)
BOA  USD 13,639    GBP 10,000    05/20/26   (32)
BOA  USD 30,000    HUF 10,157,257    05/20/26   2,705 
BOA  USD 10,000    INR 912,821    05/20/26   (394)
BOA  USD 50,000    KRW 71,960,500    05/20/26   (1,464)
BOA  USD 10,000    NOK 96,641    05/20/26   430 
BOA  USD 30,000    PEN 103,560    05/20/26   (506)
BOA  USD 220,000    PLN 818,548    05/20/26   5,814 
BOA  USD 10,000    SEK 92,287    05/20/26   4 
BOA  USD 20,000    SEK 181,039    05/20/26   (376)
BOA  USD 10,000    ZAR 162,593    05/20/26   (250)
BOA  ZAR 490,024    USD 30,000    05/20/26   616 
BOA  CAD 96,718    USD 70,000    06/17/26   (1,342)
BOA  CHF 7,907    USD 10,000    06/17/26   (167)
BOA  COP 37,772,300    USD 10,000    06/17/26   (281)
BOA  CZK 5,112,146    USD 240,000    06/17/26   (6,182)
BOA  EUR 20,000    USD 23,151    06/17/26   (368)
BOA  IDR 1,701,900    USD 10,000    06/17/26   9,902 
BOA  KRW 14,770,300    USD 10,000    06/17/26   30 
BOA  KRW 14,880,400    USD 10,000    06/17/26   (44)
BOA  MXN 178,654    USD 10,000    06/17/26   (190)
BOA  NZD 10,000    USD 5,721    06/17/26   (195)
BOA  PHP 595,760    USD 10,000    06/17/26   323 
BOA  PLN 818,698    USD 220,000    06/17/26   (5,842)
BOA  USD 76,899    AUD 110,000    06/17/26   2,232 
BOA  USD 10,000    CHF 7,844    06/17/26   86 
BOA  USD 70,000    CLP 62,255,200    06/17/26   (810)
BOA  USD 50,000    CZK 1,057,996    06/17/26   949 
BOA  USD 23,444    EUR 20,000    06/17/26   75 
BOA  USD 26,862    GBP 20,000    06/17/26   351 
BOA  USD 10,000    HUF 3,251,544    06/17/26   452 
BOA  USD 10,000    JPY 1,588,401    06/17/26   181 
BOA  USD 20,000    MXN 350,984    06/17/26   20 
BOA  USD 30,000    PEN 103,008    06/17/26   (715)
BOA  USD 120,000    PLN 439,754    06/17/26   1,308 
BOA  USD 10,000    SEK 92,410    06/17/26   32 
BOA  ZAR 169,178    USD 10,000    06/17/26   (123)
BOA  USD 28,171    AUD 40,000    07/15/26   587 
BOA  USD 10,000    CZK 208,390    07/15/26   38 
BOA  USD 10,000    CZK 206,415    07/15/26   (57)
BOA  USD 40,545    GBP 30,000    07/15/26   269 
BOA  USD 10,000    HUF 3,126,089    07/15/26   33 
BOA  USD 10,000    HUF 3,088,773    07/15/26   (87)
BOA  USD 10,000    KRW 14,675,800    07/15/26   (85)
BOA  USD 5,887    NZD 10,000    07/15/26   35 
BOA  USD 10,000    PEN 33,766    07/15/26   (414)
BOA  USD 10,000    PLN 36,387    07/15/26   37 
BOA  USD 10,000    PLN 36,060    07/15/26   (53)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
 
BOA  USD 10,000    SEK 91,455    07/15/26  $(58)
BOA  USD 20,000    ZAR 330,918    07/15/26   (241)
CITI  CLP 9,245,392    USD 10,000    06/17/26   (275)
CITI  USD 10,000    CLP 8,977,193    06/17/26   (23)
CITI  USD 438,000    BRL 2,283,951    07/15/26   15,295 
CITI  USD 497,000    CLP 446,840,480    07/15/26   (375)
DB  AUD 100,000    USD 69,911    05/20/26   (2,063)
DB  BRL 213,475    USD 40,000    05/20/26   (2,941)
DB  CAD 27,051    USD 20,000    05/20/26   70 
DB  CAD 122,495    USD 90,000    05/20/26   (251)
DB  COP 112,572,600    USD 30,000    05/20/26   (831)
DB  IDR 340,130,000    USD 20,000    05/20/26   364 
DB  KRW 14,708,300    USD 10,000    05/20/26   80 
DB  KRW 268,462,800    USD 180,000    05/20/26   (1,069)
DB  PHP 3,556,540    USD 60,000    05/20/26   2,176 
DB  TWD 955,130    USD 30,000    05/20/26   (173)
DB  USD 7,055    AUD 10,000    05/20/26   142 
DB  USD 360,000    BRL 1,940,667    05/20/26   30,375 
DB  USD 370,000    CAD 504,679    05/20/26   1,834 
DB  USD 47,366    EUR 40,000    05/20/26   (387)
DB  USD 50,000    IDR 843,950,000    05/20/26   (1,278)
DB  USD 580,000    INR 52,752,160    05/20/26   (24,867)
DB  USD 30,000    JPY 4,584,495    05/20/26   (685)
DB  USD 10,000    KRW 14,359,400    05/20/26   (315)
DB  USD 220,000    NOK 2,134,259    05/20/26   10,332 
DB  USD 140,000    PEN 471,037    05/20/26   (5,849)
DB  USD 120,000    SEK 1,121,065    05/20/26   1,520 
DB  USD 20,000    SEK 177,827    05/20/26   (724)
DB  USD 10,000    SGD 12,561    05/20/26   (121)
DB  USD 160,000    TWD 5,076,880    05/20/26   381 
DB  USD 10,000    TWD 313,330    05/20/26   (102)
DB  CAD 109,371    USD 80,000    06/17/26   (677)
DB  CLP 9,337,000    USD 10,000    06/17/26   (377)
DB  COP 186,037,300    USD 50,000    06/17/26   (635)
DB  INR 935,815    USD 10,000    06/17/26   177 
DB  JPY 17,312,799    USD 110,000    06/17/26   (968)
DB  NOK 854,662    USD 90,000    06/17/26   (2,205)
DB  SEK 1,119,442    USD 120,000    06/17/26   (1,521)
DB  THB 318,802    USD 10,000    06/17/26   187 
DB  USD 13,949    AUD 20,000    06/17/26   437 
DB  USD 120,000    CAD 165,516    06/17/26   2,091 
DB  USD 120,000    CHF 94,032    06/17/26   905 
DB  USD 100,000    COP 369,843,000    06/17/26   662 
DB  USD 10,000    IDR 170,855,000    06/17/26   (149)
DB  USD 180,000    KRW 268,218,000    06/17/26   1,045 
DB  USD 10,000    PEN 34,453    06/17/26   (205)
DB  USD 100,000    PLN 362,978    06/17/26   129 
DB  CAD 165,316    USD 120,000    07/15/26   (2,083)
DB  CHF 78,203    USD 100,000    07/15/26   (854)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
 
DB  PLN 363,015    USD 100,000    07/15/26  $(131)
DB  THB 320,959    USD 10,000    07/15/26   98 
DB  USD 10,000    BRL 50,692    07/15/26   61 
DB  USD 40,000    CAD 54,491    07/15/26   240 
DB  USD 10,000    CLP 9,021,500    07/15/26   27 
DB  USD 99,000    COP 367,071,990    07/15/26   316 
DB  USD 10,000    HUF 3,158,211    07/15/26   136 
DB  USD 10,000    INR 934,629    07/15/26   (216)
DB  USD 90,000    NOK 855,072    07/15/26   2,209 
DB  USD 10,000    TWD 314,566    07/15/26   (28)
GS  BRL 105,837    USD 20,000    05/20/26   (1,290)
GS  CLP 26,698,871    USD 30,000    05/20/26   328 
GS  CLP 9,226,920    USD 10,000    05/20/26   (255)
GS  COP 227,465,500    USD 60,000    05/20/26   (2,297)
GS  CZK 204,802    USD 10,000    05/20/26   141 
GS  EUR 20,000    USD 23,337    05/20/26   (152)
GS  GBP 10,000    USD 13,519    05/20/26   (88)
GS  HUF 6,726,149    USD 20,000    05/20/26   (1,658)
GS  IDR 4,745,270,000    USD 280,000    05/20/26   6,053 
GS  INR 59,573,120    USD 640,000    05/20/26   13,088 
GS  KRW 29,386,852    USD 20,000    05/20/26   180 
GS  MYR 629,721    USD 160,000    05/20/26   1,373 
GS  NOK 1,848,578    USD 190,000    05/20/26   (9,501)
GS  PEN 1,652,868    USD 490,000    05/20/26   19,263 
GS  PHP 6,007,600    USD 100,000    05/20/26   2,324 
GS  PLN 143,305    USD 40,000    05/20/26   467 
GS  THB 8,826,633    USD 280,000    05/20/26   8,930 
GS  TWD 4,807,010    USD 150,000    05/20/26   (1,856)
GS  USD 270,000    CHF 211,193    05/20/26   732 
GS  USD 10,000    CHF 7,586    05/20/26   (276)
GS  USD 200,000    COP 748,822,000    05/20/26   5,085 
GS  USD 50,000    IDR 842,186,000    05/20/26   (1,380)
GS  USD 10,000    INR 912,370    05/20/26   (399)
GS  USD 130,000    KRW 189,939,049    05/20/26   (1,892)
GS  USD 10,000    MYR 39,388    05/20/26   (78)
GS  USD 48,060    NZD 80,000    05/20/26   (774)
GS  USD 60,000    PEN 204,255    05/20/26   (1,828)
GS  USD 410,000    SGD 522,277    05/20/26   769 
GS  USD 170,000    THB 5,383,700    05/20/26   (4,664)
GS  USD 10,000    TWD 311,700    05/20/26   (153)
GS  MYR 121,202    USD 30,000    06/16/26   (552)
GS  USD 140,000    MYR 556,190    06/16/26   207 
GS  USD 10,000    MYR 39,041    06/16/26   (158)
GS  BRL 728,339    USD 140,000    06/17/26   (5,513)
GS  CHF 210,550    USD 270,000    06/17/26   (723)
GS  CLP 18,292,933    USD 20,000    06/17/26   (331)
GS  COP 74,708,400    USD 20,000    06/17/26   (334)
GS  EUR 20,000    USD 23,138    06/17/26   (382)
GS  INR 13,269,280    USD 140,000    06/17/26   717 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
 
GS  KRW 88,887,362    USD 60,000    06/17/26  $2 
GS  MXN 177,693    USD 10,000    06/17/26   (136)
GS  PHP 2,406,960    USD 40,000    06/17/26   902 
GS  SEK 92,715    USD 10,000    06/17/26   (65)
GS  SGD 533,961    USD 420,000    06/17/26   (790)
GS  THB 2,897,901    USD 90,000    06/17/26   803 
GS  TWD 641,260    USD 20,000    06/17/26   (293)
GS  USD 140,000    CHF 109,621    06/17/26   950 
GS  USD 190,000    IDR 3,228,347,000    06/17/26   (3,871)
GS  USD 20,000    INR 1,912,460    06/17/26   74 
GS  USD 640,000    INR 59,713,920    06/17/26   (13,205)
GS  USD 190,000    NOK 1,849,034    06/17/26   9,482 
GS  USD 10,000    PEN 33,965    06/17/26   (344)
GS  USD 90,000    PHP 5,414,760    06/17/26   (2,043)
GS  USD 120,000    TWD 3,849,840    06/17/26   1,831 
GS  USD 10,000    ZAR 171,004    06/17/26   233 
GS  MYR 78,669    USD 20,000    07/15/26   154 
GS  MYR 357,659    USD 90,000    07/15/26   (230)
GS  USD 7,109    AUD 10,000    07/15/26   80 
GS  USD 438,000    COP 1,631,059,440    07/15/26   3,299 
GS  USD 60,000    KRW 88,802,694    07/15/26   (7)
GS  USD 30,000    MYR 118,405    07/15/26   (129)
GS  USD 10,000    PEN 34,012    07/15/26   (344)
GS  USD 40,000    PHP 2,410,880    07/15/26   (873)
HSBC  EUR 10,000    USD 11,781    05/20/26   36 
HSBC  USD 10,000    SEK 92,413    05/20/26   17 
HSBC  USD 10,000    THB 320,150    06/17/26   (146)
HSBC  USD 1,072,000    CNY 7,294,183    07/15/26   540 
HSBC  USD 438,000    MXN 7,700,237    07/15/26   196 
JPMCB  USD 207,641    JPY 33,051,791    05/01/26   3,480 
JPMCB  EUR 20,260    USD 23,676    05/05/26   (103)
JPMCB  HKD 3,189,174    USD 415,278    05/08/26   8,060 
JPMCB  USD 412,497    HKD 3,189,174    05/08/26   (5,279)
JPMCB  AUD 10,000    USD 7,016    05/20/26   (182)
JPMCB  USD 10,000    BRL 52,247    05/20/26   510 
JPMCB  USD 89,036    EGP 4,743,654    05/21/26   (1,379)
JPMCB  AUD 184,844    NZD 225,508    05/29/26   313 
JPMCB  AUD 324,924    NZD 394,434    05/29/26   (615)
JPMCB  BRL 100,505    USD 20,000    05/29/26   (170)
JPMCB  CLP 145,215,302    USD 162,518    05/29/26   1,129 
JPMCB  CLP 395,879,224    USD 437,000    05/29/26   (2,974)
JPMCB  CNH 6,529,248    USD 958,953    05/29/26   1,681 
JPMCB  GBP 24,099    USD 32,656    05/29/26   (136)
JPMCB  HUF 7,442,364    USD 24,000    05/29/26   49 
JPMCB  IDR 18,444,223,406    USD 1,068,147    05/29/26   3,685 
JPMCB  IDR 277,900,800    USD 16,000    05/29/26   (38)
JPMCB  ILS 666,971    USD 223,524    05/29/26   (2,753)
JPMCB  INR 15,763,155    USD 166,566    05/29/26   816 
JPMCB  INR 953,870    USD 10,000    05/29/26   (30)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
 
JPMCB  JPY 43,515,028    USD 274,117    05/29/26  $(4,353)
JPMCB  KRW 616,948,260    USD 416,370    05/29/26   159 
JPMCB  MXN 40,392,868    USD 2,318,053    05/29/26   10,366 
JPMCB  PHP 13,632,426    USD 224,032    05/29/26   2,453 
JPMCB  PHP 984,592    USD 16,000    05/29/26   (3)
JPMCB  SGD 903,882    USD 711,431    05/29/26   75 
JPMCB  TWD 17,242,851    USD 546,158    05/29/26   1,142 
JPMCB  USD 1,231,213    BRL 6,226,248    05/29/26   18,356 
JPMCB  USD 131,000    CLP 118,227,639    05/29/26   396 
JPMCB  USD 1,113,111    CLP 996,466,603    05/29/26   (5,654)
JPMCB  USD 629,242    HUF 195,295,195    05/29/26   (738)
JPMCB  USD 540,295    IDR 9,384,541,000    05/29/26   1,309 
JPMCB  USD 782,817    NOK 7,257,721    05/29/26   371 
JPMCB  USD 10,000    PLN 36,336    05/29/26   24 
JPMCB  USD 471,491    PLN 1,704,297    05/29/26   (1,334)
JPMCB  USD 360,739    SEK 3,313,091    05/29/26   (1,440)
JPMCB  USD 1,912,289    ZAR 31,611,951    05/29/26   (17,955)
JPMCB  ZAR 252,422    USD 15,000    05/29/26   (126)
JPMCB  USD 10,000    JPY 1,586,867    06/17/26   171 
JPMCB  EGP 16,676,548    USD 302,000    09/16/26   8,647 
JPMCB  NGN 223,046,990    USD 146,000    09/16/26   (7,411)
JPMCB  TRY 12,490,000    USD 239,741    09/16/26   (4,047)
JPMCB  USD 1,434,163    EGP 78,885,606    09/16/26   (46,501)
JPMCB  USD 16,554    NGN 24,532,990    09/16/26   320 
JPMCB  USD 138,000    NGN 198,514,000    09/16/26   (1,463)
JPMCB  USD 1,193,099    TRY 63,973,476    09/16/26   55,579 
JPMCB  USD 117,436    TRY 6,329,000    09/17/26   5,985 
JPMCB  TRY 10,368,000    USD 144,000    09/27/27   (1,574)
JPMCB  USD 143,654    TRY 10,368,000    09/27/27   1,920 
JPMCB  NGN 242,302,000    USD 158,714    12/16/26   (2,731)
JPMCB  USD 149,000    NGN 242,302,000    12/16/26   12,446 
MSCI  BRL 266,270    USD 50,000    05/20/26   (3,561)
MSCI  CAD 40,545    USD 30,000    05/20/26   128 
MSCI  CAD 40,864    USD 30,000    05/20/26   (108)
MSCI  CHF 223,289    USD 290,000    05/20/26   3,763 
MSCI  CLP 43,600,900    USD 50,000    05/20/26   1,543 
MSCI  EUR 10,000    USD 11,625    05/20/26   (120)
MSCI  HUF 3,320,352    USD 10,000    05/20/26   (691)
MSCI  JPY 1,553,104    USD 10,000    05/20/26   69 
MSCI  NZD 20,000    USD 11,807    05/20/26   (15)
MSCI  PHP 588,210    USD 10,000    05/20/26   436 
MSCI  PLN 35,722    USD 10,000    05/20/26   145 
MSCI  SGD 50,825    USD 40,000    05/20/26   26 
MSCI  SGD 25,447    USD 20,000    05/20/26   (14)
MSCI  USD 80,000    CLP 73,148,800    05/20/26   1,295 
MSCI  USD 10,000    CLP 8,635,500    05/20/26   (403)
MSCI  USD 40,000    HUF 12,950,624    05/20/26   1,700 
MSCI  USD 150,000    IDR 2,529,337,000    05/20/26   (3,981)
MSCI  USD 10,000    KRW 14,383,100    05/20/26   (299)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
 
MSCI  USD 10,000    MXN 175,473    05/20/26  $33 
MSCI  USD 20,000    MXN 345,641    05/20/26   (238)
MSCI  USD 150,000    MYR 588,633    05/20/26   (1,723)
MSCI  USD 23,997    NZD 40,000    05/20/26   (354)
MSCI  USD 130,000    PEN 448,950    05/20/26   (2,139)
MSCI  USD 10,000    SGD 12,542    05/20/26   (136)
MSCI  USD 80,000    THB 2,474,337    05/20/26   (4,011)
MSCI  USD 20,000    ZAR 320,302    05/20/26   (793)
MSCI  ZAR 162,633    USD 10,000    05/20/26   248 
MSCI  CNH 8,653,340    USD 1,264,657    05/22/26   (3,415)
MSCI  USD 651,162    CNH 4,450,102    05/22/26   962 
MSCI  MYR 509,639    USD 130,000    06/16/26   1,528 
MSCI  USD 10,000    MYR 39,233    06/16/26   (110)
MSCI  CLP 82,300,500    USD 90,000    06/17/26   (1,469)
MSCI  COP 37,628,700    USD 10,000    06/17/26   (242)
MSCI  HUF 3,228,570    USD 10,000    06/17/26   (379)
MSCI  IDR 2,894,845,000    USD 170,000    06/17/26   3,099 
MSCI  MXN 543,749    USD 30,000    06/17/26   (1,016)
MSCI  NOK 862,634    USD 90,000    06/17/26   (3,065)
MSCI  PLN 37,254    USD 10,000    06/17/26   (277)
MSCI  USD 10,000    BRL 53,105    06/17/26   610 
MSCI  USD 50,000    CLP 44,387,000    06/17/26   (668)
MSCI  USD 180,000    CZK 3,754,436    06/17/26   798 
MSCI  USD 10,000    PHP 603,990    06/17/26   (189)
MSCI  USD 10,000    PLN 37,077    06/17/26   228 
MSCI  USD 50,000    SEK 462,776    06/17/26   236 
MSCI  USD 80,000    THB 2,570,103    06/17/26   (892)
MSCI  BRL 2,700,116    USD 523,749    07/15/26   (12,141)
MSCI  CHF 15,614    USD 20,000    07/15/26   (137)
MSCI  CLP 44,389,000    USD 50,000    07/15/26   665 
MSCI  CZK 832,108    USD 40,000    07/15/26   (84)
MSCI  EUR 10,000    USD 11,743    07/15/26   (31)
MSCI  MXN 350,060    USD 20,000    07/15/26   80 
MSCI  SEK 554,835    USD 60,000    07/15/26   (315)
MSCI  THB 2,246,986    USD 70,000    07/15/26   679 
MSCI  USD 7,160    AUD 10,000    07/15/26   30 
MSCI  USD 40,000    CAD 54,647    07/15/26   356 
MSCI  USD 10,000    CHF 7,738    07/15/26   (21)
MSCI  USD 10,000    CZK 206,190    07/15/26   (68)
MSCI  USD 11,833    EUR 10,000    07/15/26   (59)
MSCI  USD 10,000    HUF 3,234,416    07/15/26   380 
MSCI  USD 10,000    KRW 14,725,260    07/15/26   (52)
MSCI  USD 69,000    MXN 1,210,954    07/15/26   (88)
MSCI  USD 5,918    NZD 10,000    07/15/26   3 
MSCI  ZAR 166,432    USD 10,000    07/15/26   62 
SCB  AUD 10,000    USD 7,118    05/20/26   (80)
SCB  BRL 1,380,221    USD 260,000    05/20/26   (17,638)
SCB  CAD 26,971    USD 20,000    05/20/26   129 
SCB  CAD 109,057    USD 80,000    05/20/26   (351)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
SCB  EUR 30,000    USD 34,955    05/20/26  $(280)
SCB  GBP 20,000    USD 26,665    05/20/26   (550)
SCB  HUF 6,463,710    USD 20,000    05/20/26   (813)
SCB  INR 3,696,951    USD 40,000    05/20/26   1,095 
SCB  JPY 7,780,367    USD 50,000    05/20/26   247 
SCB  JPY 15,794,361    USD 100,000    05/20/26   (998)
SCB  KRW 14,662,900    USD 10,000    05/20/26   110 
SCB  NOK 771,501    USD 80,000    05/20/26   (3,261)
SCB  NZD 70,000    USD 41,444    05/20/26   69 
SCB  PHP 5,895,825    USD 100,000    05/20/26   4,142 
SCB  SGD 25,366    USD 20,000    05/20/26   50 
SCB  SGD 25,474    USD 20,000    05/20/26   (35)
SCB  THB 1,268,148    USD 40,000    05/20/26   1,055 
SCB  TWD 635,634    USD 20,000    05/20/26   (80)
SCB  USD 98,664    AUD 140,000    05/20/26   2,102 
SCB  USD 10,000    CHF 7,607    05/20/26   (249)
SCB  USD 23,860    EUR 20,000    05/20/26   (371)
SCB  USD 13,606    GBP 10,000    05/20/26   2 
SCB  USD 13,691    GBP 10,000    05/20/26   (84)
SCB  USD 70,000    IDR 1,178,966,000    05/20/26   (1,937)
SCB  USD 40,000    INR 3,653,983    05/20/26   (1,548)
SCB  USD 150,000    JPY 23,396,325    05/20/26   (391)
SCB  USD 20,000    KRW 29,310,300    05/20/26   (231)
SCB  USD 50,000    MXN 881,830    05/20/26   418 
SCB  USD 50,000    MXN 867,588    05/20/26   (396)
SCB  USD 40,000    NOK 381,612    05/20/26   1,184 
SCB  USD 100,000    PEN 341,199    05/20/26   (2,827)
SCB  USD 310,000    PHP 18,262,410    05/20/26   (13,078)
SCB  USD 50,000    SEK 452,446    05/20/26   (957)
SCB  USD 50,000    THB 1,547,173    05/20/26   (2,486)
SCB  USD 10,000    ZAR 160,842    05/20/26   (355)
SCB  AUD 130,000    USD 91,409    06/17/26   (2,108)
SCB  CAD 54,809    USD 40,000    06/17/26   (429)
SCB  CHF 15,772    USD 20,000    06/17/26   (279)
SCB  CZK 211,410    USD 10,000    06/17/26   (181)
SCB  EUR 20,000    USD 23,199    06/17/26   (320)
SCB  GBP 20,000    USD 26,503    06/17/26   (710)
SCB  INR 2,800,599    USD 30,000    06/17/26   603 
SCB  MXN 358,105    USD 20,000    06/17/26   (427)
SCB  NOK 95,923    USD 10,000    06/17/26   (349)
SCB  NZD 160,000    USD 92,784    06/17/26   (1,873)
SCB  PEN 240,702    USD 70,000    06/17/26   1,569 
SCB  PHP 3,016,231    USD 50,000    06/17/26   1,005 
SCB  SEK 282,986    USD 30,000    06/17/26   (719)
SCB  SGD 25,566    USD 20,000    06/17/26   (148)
SCB  TWD 323,180    USD 10,000    06/17/26   (227)
SCB  USD 14,095    AUD 20,000    06/17/26   293 
SCB  USD 260,000    BRL 1,388,746    06/17/26   17,454 
SCB  USD 20,000    CHF 15,879    06/17/26   417 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
 
SCB  USD 20,000    CZK 423,629    06/17/26  $400 
SCB  USD 46,948    EUR 40,000    06/17/26   91 
SCB  USD 13,418    GBP 10,000    06/17/26   188 
SCB  USD 90,000    JPY 14,242,621    06/17/26   1,289 
SCB  USD 10,000    KRW 15,273,500    06/17/26   310 
SCB  USD 100,000    MXN 1,754,989    06/17/26   105 
SCB  USD 30,000    MXN 524,131    06/17/26   (103)
SCB  USD 40,844    NZD 70,000    06/17/26   569 
SCB  USD 10,000    PEN 35,043    06/17/26   (37)
SCB  USD 100,000    SEK 929,799    06/17/26   934 
SCB  USD 30,000    SGD 38,231    06/17/26   128 
SCB  USD 130,000    SGD 164,857    06/17/26   (84)
SCB  EUR 10,000    USD 11,782    07/15/26   8 
SCB  EUR 50,000    USD 58,716    07/15/26   (153)
SCB  GBP 1,571,000    AUD 2,960,848    07/15/26   (8,530)
SCB  GBP 2,621,000    USD 3,523,984    07/15/26   (41,781)
SCB  JPY 3,160,603    USD 20,000    07/15/26   (305)
SCB  MXN 525,418    USD 30,000    07/15/26   100 
SCB  NOK 93,212    USD 10,000    07/15/26   (52)
SCB  PHP 1,211,039    USD 20,000    07/15/26   345 
SCB  SEK 91,181    USD 10,000    07/15/26   88 
SCB  USD 7,131    AUD 10,000    07/15/26   58 
SCB  USD 59,000    BRL 300,280    07/15/26   597 
SCB  USD 10,000    CAD 13,619    07/15/26   58 
SCB  USD 10,000    CHF 7,751    07/15/26   (4)
SCB  USD 10,000    CLP 8,810,500    07/15/26   (208)
SCB  USD 10,000    KRW 14,794,100    07/15/26   (6)
SCB  USD 20,000    NOK 189,625    07/15/26   449 
SCB  USD 41,322    NZD 70,000    07/15/26   127 
SCB  USD 5,938    NZD 10,000    07/15/26   (17)
SCB  USD 10,000    PEN 34,481    07/15/26   (211)
SCB  USD 10,000    PLN 35,981    07/15/26   (75)
SCB  USD 10,000    TWD 314,617    07/15/26   (26)
SG  CAD 108,971    USD 80,000    05/20/26   (287)
SG  CZK 2,675,900    USD 130,000    05/20/26   1,186 
SG  CZK 208,963    USD 10,000    05/20/26   (59)
SG  INR 1,853,680    USD 20,000    05/20/26   493 
SG  JPY 3,129,543    USD 20,000    05/20/26   (12)
SG  PLN 71,400    USD 20,000    05/20/26   303 
SG  THB 320,313    USD 10,000    05/20/26   163 
SG  USD 13,674    GBP 10,000    05/20/26   (67)
SG  USD 10,000    IDR 168,730,000    05/20/26   (259)
SG  USD 60,000    INR 5,492,504    05/20/26   (2,201)
SG  USD 60,000    MXN 1,076,118    05/20/26   1,527 
SG  USD 10,000    MXN 173,596    05/20/26   (75)
SG  USD 30,000    THB 931,821    05/20/26   (1,384)
SG  USD 20,000    TWD 632,324    05/20/26   (25)
SG  AUD 20,000    USD 14,117    06/17/26   (270)
SG  BRL 53,082    USD 10,000    06/17/26   (605)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Counterparty  Sell    Purchase    Settlement
date
  Unrealized
appreciation
(depreciation)
 
 
SG  GBP 10,000    USD 13,249    06/17/26  $(357)
SG  INR 27,945,214    USD 300,000    06/17/26   6,669 
SG  MXN 1,435,922    USD 80,000    06/17/26   (1,905)
SG  USD 70,000    CAD 95,238    06/17/26   251 
SG  USD 10,000    CHF 7,793    06/17/26   20 
SG  USD 58,544    NZD 100,000    06/17/26   617 
SG  USD 10,000    THB 326,199    06/17/26   40 
SG  NZD 100,000    USD 58,598    07/15/26   (613)
SG  USD 14,110    AUD 20,000    07/15/26   269 
SG  USD 13,472    GBP 10,000    07/15/26   133 
SG  USD 10,000    IDR 1,742,300    07/15/26   (9,900)
SG  USD 280,000    INR 26,183,814    07/15/26   (5,890)
SSB  USD 18,883    AUD 26,550    05/01/26   231 
SSB  CAD 377,000    USD 275,987    06/25/26   (2,196)
SSB  EUR 137,000    USD 158,997    06/25/26   (2,168)
Net unrealized appreciation (depreciation)               $(10,272)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of April 30, 2026 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                
Common stocks  $50,903,886   $7,552,637   $   $58,456,523 
Exchange traded funds   3,581,959            3,581,959 
Investment companies   19,742,674            19,742,674 
Warrants   46            46 
Corporate bonds       138,681,669    795    138,682,464 
Non-U.S. government agency obligations       1,524,106        1,524,106 
Short-term investments   105,038,283            105,038,283 
Short-term U.S. Treasury obligations       29,235,748        29,235,748 
Equity options purchased   1,898,023            1,898,023 
Foreign exchange options purchased       1,509,090        1,509,090 
Options purchased   1,342            1,342 
Futures contracts   338,467    4,021        342,488 
Swap agreements       1,243,920        1,243,920 
Forward foreign currency contracts       422,922        422,922 
Total  $181,504,680   $180,174,113   $795   $361,679,588 
                     
Liabilities                    
Common stocks  $(118,477,270)  $(2,485,273)  $   $(120,962,543)
Exchange traded funds   (5,875,715)           (5,875,715)
Corporate bonds       (29,768)       (29,768)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investmentsApril 30, 2026 (unaudited)

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
U.S. Treasury obligations  $   $(4,499,334)  $   $(4,499,334)
Short-term U.S. Treasury obligations       (421,824)       (421,824)
Equity options written   (1,341,110)           (1,341,110)
Options written   (895)           (895)
Futures contracts   (425,807)   (75,944)       (501,751)
Swap agreements       (661,143)       (661,143)
Forward foreign currency contracts       (433,194)       (433,194)
Total  $(126,120,797)  $(8,606,480)  $   $(134,727,277)

 

For the period ended April 30, 2026, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

Portfolio footnotes

 

 Amount represents less than 0.05% or (0.05)%.
* Non–income producing security.
1 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
2 Security, or portion thereof, pledged as collateral for investments sold short, written options, futures and/or swap agreements.
3 In U.S. dollars unless otherwise indicated.
4 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $41,080,855, represented 15.3% of the Portfolio's net assets at period end.
5 Zero coupon bond.
6 Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
7 Payment–in–kind security for which interest may be paid in cash or additional principal, at the discretion of the issuer.
8 Bond interest in default.
9 Rate shown reflects yield at April 30, 2026.
10 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
11 For disclosure purposes. Notional Amount is calculated by multiplying the Number of Contracts by the Strike Price by the contract multiplier.
12 If the portfolio is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the portfolio will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced obligation or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced obligation.
13 Implied credit spreads, represented in absolute terms, used in determining the market value of credit default swap agreements on corporate issues or sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likeli-hood or risk of default for the credit derivative. The implied credit spread of a particular reference entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the reference entity’s credit soundness and greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.
14 Payments made or received are based on the notional amount.
15 If the portfolio is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the portfolio will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced obligation or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced obligation.

 

 

 

 

PACE Select Advisors Trust

Glossary of terms used in the Portfolio of investments
April 30, 2026 (unaudited)

 

Portfolio acronyms:      

ABS

ACES

ADR

AGM

AID

AMBAC

AMT

ARM

BAM

BBSW

BOBL

CAC

CBOE

CDO

CDI

CDX.EM.S

CDX.NA.HY.S

CJSC

CLO

CMT

COFI

COP

CORRA

CPI

DAC

DIP

ETF

EURIBOR

FHA

FHLB

FHLMC

FNMA

FRN

GDR

GMAC

GNMA

GO

GSAMP

GTD

Asset-backed Security

Alternative Credit Enhancement Securities

American Depositary Receipt

Assured Guaranty Municipal

Anticipation Certificates of Indebtedness

American Municipal Bond Assurance Corporation

Alternative Minimum Tax

Adjustable Rate Mortgage

Build America Mutual

Bank Bill Swap Rate

Bundesobligationen

Cotation Assistée en Continu

Chicago Board Options Exchange

Collateralized Debt Obligation

Certificado de Depósito Interbancário

Markit Emerging Markets Index

Markit North American High Yield

Closed Joint Stock Company

Collateralized Loan Obligation

Constant Maturity Treasury Index

Cost of Funds Index

Certificate of Participation

Canadian Overnight Repo Rate Average

Consumer Price Index

Designated Activity Company

Debtor-in-possession

Exchange Traded Fund

Euro Interbank Offered Rate

Federal Housing Administration

Federal Home Loan Bank

Federal Home Loan Mortgage Corporation

Federal National Mortgage Association

Floating Rate Note

Global Depositary Receipt

General Motors Acceptance Corporation

Government National Mortgage Association

General Obligation

Goldman Sachs Asset Mortgage Passthrough

Guaranteed

 

IO

JSC

LIBOR

MGIC

MKM

MTA

NIBOR

NVDR

OAT

OBFR

OTC

PJSC

PLC

PO

PRIBOR

PSF

RASC

RBA IOCR

REIT

REMIC

RFUCCT

RPI

SARON

SBA

SIFMA

SOFR

SONIA

SPDR

STR

STRIP

TBA

TIPS

TONA

UMBS

VRD

 

WIBOR

Interest Only

Joint Stock Company

London Interbank Offered Rate

Mortgage Guaranty Insurance Corporation

MKM Partners

Monthly Treasury Average Index

Norway Three Month Interbank Rate

Non-Voting Depository Receipt

Obligation Assimilables du Trésor (French Government Bonds)

Overnight Bank Funding Rate

Over The Counter

Private Joint Stock Company

Public Limited Company

Principal Only

Prague Interbank Offered Rate

Permanent School Fund

Retirement Administration Service Center

RBA Interbank Overnight Cash Rate

Real Estate Investment Trust

Real Estate Mortgage Investment Conduit

Refinitiv USD IBOR Consumer Cash Fallbacks

Retail Price Index

Swiss Average Rate Overnight

Small Business Administration

Municipal Swap Index Yield

Secured Overnight Financing Rate

Sterling Overnight Index Average

Standard and Poor's Depository Receipts

Short-term rate

Separate Trading of Registered Interest and Principal of Securities

To-Be-Announced Security

Treasury inflation protected securities

Tokyo Overnight Average Rate

Uniform Mortgage-Backed Securities

Variable rate demand notes are payable on demand. The interest rates shown are the current rates as of period end and reset periodically.

Warsaw Interbank Offer Rate

 

Currency type abbreviations:      

ARS

AUD

BRL

CAD

CHF

CLP

CNH

CNY

COP

CZK

DKK

EUR

GBP

HKD

HUF

IDR

ILS

INR

Argentine Peso

Australian Dollar

Brazilian Real

Canadian Dollar

Swiss Franc

Chilean Peso

Chinese Yuan Renminbi Offshore

Chinese Yuan Renminbi

Colombian Peso

Czech Koruna

Danish Krone

Euro

British Pound

Hong Kong Dollar

Hungarian Forint

Indonesian Rupiah

Israeli Shekel

Indian Rupee
 

JPY

KRW

MXN

MYR

NOK

NZD

PEN

PHP

PLN

RON

RUB

SEK

SGD

THB

TRY

TWD

USD

ZAR

Japanese Yen

South Korean Won

Mexican Peso

Malaysian Ringgit

Norwegian Krone

New Zealand Dollar

Peruvian Sol

Philippine Peso

Polish Zloty

Romanian Leu

Russian Ruble

Swedish Krona

Singapore Dollar

Thai Baht

Turkish Lira

Taiwan Dollar

United States Dollar

South African Rand

 

Counterparty acronyms:      

ANZ

BB

BNP

BOA

CIBC

CITI

CSI

DB

GS

GSI

HSBC

JPMCB

Australia and New Zealand Banking Group

Barclays Bank PLC

BNP Paribas

Bank of America

Canadian Imperial Bank of Commerce

Citibank NA

Credit Suisse International

Deutsche Bank AG

Goldman Sachs

Goldman Sachs International

HSBC Bank PLC

JPMorgan Chase Bank

 

MCM

MSCI

NW

OCC

RBC

RBS

SCB

SG

SSB

TD

WBC

WF

ED&F Man Capital Markets, Inc.

Morgan Stanley & Co. International PLC

National Westminster

Options Clearing Corp.

Royal Bank of Canada

Royal Bank of Scotland PLC

Standard Chartered Bank

Societe Generale

State Street Bank and Trust Co.

Toronto-Dominion Bank

Westpac Banking Corp.

Wells Fargo Investment LLC

 

See accompanying notes to financial statements.

 

 

 

PACE Select Advisors Trust

 

Valuation of investments

 

Each Portfolio generally calculates its net asset value on days that the New York Stock Exchange (“NYSE”) is open. A Portfolio calculates net asset value separately for each class as of the close of regular trading on the NYSE (generally, 4:00 p.m., Eastern time). The NYSE normally is not open, and the Portfolios do not price their shares, on most national holidays and Good Friday. To the extent that a Portfolio's assets are traded in other markets on days when the NYSE is not open, the value of a Portfolio's assets may be affected on those days. If trading on the NYSE is halted for the day before 4:00 p.m., Eastern Time, a Portfolio's net asset value per share generally will still be calculated as of the close of regular trading on the NYSE. The time at which a Portfolio calculates its net asset value and until which purchase, sale or exchange orders are accepted may be changed as permitted by the SEC.

 

Each Portfolio calculates its net asset value based on the current market value, where available, for its portfolio investments. The Portfolios normally obtain market values for their investments from independent pricing sources and broker-dealers. Independent pricing sources may use reported last sale prices, official market closing prices, current market quotations or valuations from computerized “evaluation” systems that derive values based on comparable investments. An evaluation system incorporates parameters such as security quality, maturity and coupon, and/ or research and evaluations by its staff, including review of broker-dealer market price quotations, if available, in determining the valuation of the portfolio investments. Investments also may be valued based on appraisals derived from information concerning the investment or similar investments received from recognized dealers in those holdings.

 

Investments traded in the over-the-counter (“OTC”) market and listed on The NASDAQ Stock Market, Inc. (“NASDAQ”) normally are valued at the NASDAQ Official Closing Price. Other OTC securities are valued at the last bid price on the valuation date available prior to valuation. Investments which are listed on US and foreign stock exchanges normally are valued at the market closing price, the last sale price on the day the securities are valued or, lacking any sales on such day, at the last available bid price. Investments listed on foreign stock exchanges may be fair valued based on significant events that have occurred subsequent to the close of the foreign markets. In cases where investments are traded on more than one exchange, the investments are valued on the exchange designated as the primary market by UBS AM. If a market value is not readily available from an independent pricing source for a particular investment, that investment is valued at fair value as determined in good faith by or under the direction of the Board. Foreign currency exchange rates are generally determined as of the close of the NYSE.

 

Certain investments in which the Portfolios invest are traded in markets that close before 4:00 p.m., Eastern time. Normally, developments that occur between the close of the foreign markets and 4:00 p.m., Eastern time, will not be reflected in a Portfolio's net asset value. However, if any of the Portfolios determine that such developments are so significant that they will materially affect the value of the Portfolio's investments, the Portfolio may adjust the previous closing prices to reflect what is believed to be the fair value of these investments as of 4:00 p.m., Eastern time.

 

Certain Portfolios may use a systematic fair valuation model provided by an independent third party to value investments principally traded in foreign markets in order to adjust for possible stale pricing that may occur between the close of the foreign exchanges and the time for valuation. The systematic fair valuation model may use calculations based on indices of domestic securities and other appropriate indicators, such as prices of relevant ADRs and futures contracts. If an investment is valued at “fair value,” that value is likely to be different from the last quoted market price for the investment. The use of the fair valuation model may result in securities being transferred between Level 1 and Level 2 of the fair valuation hierarchy at the end of the reporting period.

 

The amortized cost method of valuation, which approximates market value, generally is used to value short-term debt instruments with 60 days or less remaining to maturity, unless the Board determines that this does not represent fair value.

 

Investments in open-end investment companies are valued at the daily closing net asset value of the respective investment company. Pursuant to the Portfolios’ use of the practical expedient within ASC Topic 820, Fair Value Measurement, investments in investment companies without publicly published prices are also valued at the daily net asset value.

 

All investments quoted in foreign currencies are valued daily in US dollars on the basis of the foreign currency exchange rates prevailing at the time.

 

Futures contracts are generally valued at the settlement price established each day on the exchange on which they are traded. Forward foreign currency contracts are valued daily using forward exchange rates quoted by independent pricing services.

 

OTC swaps are marked-to-market daily based upon values from third party vendors or quotations from market makers to the extent available. In the event that market quotations are not readily available or deemed unreliable, the swap is valued at fair value as determined in good faith by or under the direction of the Board. Centrally cleared swaps are valued using prices from the clearing houses.

 

 

 

 

The Board has designated UBS AM as the valuation designee pursuant to Rule 2a-5 under the 1940 Act, and delegated to UBS AM the responsibility for making fair value determinations with respect to portfolio holdings. UBS AM as the valuation designee, is responsible for periodically assessing any material risks associated with the determination of the fair value of investments; establishing and applying fair value methodologies; testing the appropriateness of fair value methodologies; and overseeing and evaluating third-party pricing services. UBS AM has the Equities, Fixed Income, and Multi-Asset Valuation Committee (the “VC”) to assist with its designated responsibilities as valuation designee with respect to the Portfolios’ portfolio holdings. The VC is comprised of representatives of management. The VC provides reports to the Board at each quarterly meeting regarding any investments that have been fair valued, valued pursuant to standing instructions approved by the VC, or where non-vendor pricing sources had been used to make fair value determinations when sufficient information exists during the prior quarter. Fair valuation determinations are subject to review at least monthly by the VC during scheduled meetings. Pricing decisions, processes, and controls over fair value determinations are subject to internal and external reviews, including annual internal compliance reviews and periodic internal audit reviews.

 

The types of investments for which such fair value pricing may be necessary include, but are not limited to: foreign investments under some circumstances; securities of an issuer that has entered into a restructuring; investments whose trading has been halted or suspended; fixed income securities that are in default and for which there is no current market value quotation; and investments that are restricted as to transfer or resale. The need to fair value a Portfolio's portfolio investments may also result from low trading volume in foreign markets or thinly traded domestic investments, and when a security that is subject to a trading limit or collar on the exchange or market on which it is primarily traded reaches the “limit up” or “limit down” price and no trading has taken place at that price. Various factors may be reviewed in order to make a good faith determination of an investment’s fair value. These factors include, but are not limited to, fundamental analytical data relating to the investment; the nature and duration of restrictions on disposition of the investment; and the evaluation of forces which influence the market in which the investment is purchased and sold. Valuing investments at fair value involves greater reliance on judgment than valuing investments that have readily available market quotations. Fair value determinations can also involve reliance on quantitative models employed by a fair value pricing service.

 

US GAAP requires disclosure regarding the various inputs that are used in determining the value of each Portfolio’s investments. These inputs are summarized into the three broad levels listed below:

 

Level 1—Unadjusted quoted prices in active markets for identical investments.

 

Level 2—Other significant observable inputs, including but not limited to, quoted prices for similar investments, interest rates, prepayment speeds and credit risks.

 

Level 3—Unobservable inputs inclusive of each Portfolio’s own assumptions in determining the fair value of investments.

 

A fair value hierarchy table has been included near the end of each Portfolio’s Portfolio of investments.

 

For more information regarding the Portfolio’s other significant accounting policies, please refer to the Portfolio’s semi-annual report to shareholders dated January 31, 2026.