Lord Abbett

Quarterly Portfolio Holdings Report

 

Lord Abbett

Emerging Markets Equity Fund

International Growth Fund

Investment Grade Floating Rate Fund

Short Duration High Yield Fund

 

For the period ended April 30, 2026

 

 

Schedule of Investments (unaudited)

EMERGING MARKETS EQUITY FUND April 30, 2026

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 98.85%          
           
COMMON STOCKS 96.48%          
           
Australia 0.63%          
Metals & Mining          
Anglogold Ashanti PLC   1,027   $96,261 
           
Austria 0.66%          
Banks          
Erste Group Bank AG   918    101,435 
           
Brazil 4.43%          
Aerospace & Defense 0.64%          
Embraer SA   6,261    97,408 
Banks 0.44%          
NU Holdings Ltd. Class A*   4,670    67,622 
Broadline Retail 0.48%          
MercadoLibre, Inc.*   41    73,498 
Capital Markets 0.88%          
B3 SA – Brasil Bolsa Balcao   36,694    133,607 
Metals & Mining 1.15%          
Vale SA   10,751    176,252 
Water Utilities 0.84%          
Cia de Saneamento Basico do Estado de Sao Paulo SABESP   19,075    127,698 
Total Brazil        676,085 
           
China 16.50%          
Automobiles 0.63%          
BYD Co. Ltd. Class H   7,219    96,028 
Banks 2.62%          
China Construction Bank Corp. Class H   204,005    230,281 
Industrial & Commercial Bank of China Ltd. Class H   187,531    168,956 
         399,237 
Broadline Retail 2.83%          
Alibaba Group Holding Ltd.   23,533    387,847 
PDD Holdings, Inc. ADR*   436    43,548 
         431,395 
Investments  Shares   U.S. $
Fair Value
 
China (continued)          
Electrical Equipment 1.43%          
Contemporary Amperex Technology Co. Ltd. Class A   2,186   $140,322 
NARI Technology Co. Ltd. Class A   20,389    77,708 
         218,030 
Entertainment 0.50%          
NetEase, Inc.   3,250    76,080 
Hotels, Restaurants & Leisure 1.46%          
Trip.com Group Ltd.*   737    39,797 
Yum China Holdings, Inc.   3,753    183,647 
         223,444 
Insurance 1.22%          
PICC Property & Casualty Co. Ltd. Class H   21,737    39,265 
Ping An Insurance Group Co. of China Ltd. Class H   18,049    146,704 
         185,969 
Interactive Media & Services 3.86%          
Bilibili, Inc. Class Z*   3,223    70,822 
Tencent Holdings Ltd.   8,527    517,864 
         588,686 
Marine Transportation 0.52%          
SITC International Holdings Co. Ltd.   19,098    79,963 
Pharmaceuticals 0.46%          
Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class A   8,930    70,730 
Real Estate Management & Development 0.51%          
China Resources Land Ltd.   18,526    77,838 
Textiles, Apparel & Luxury Goods 0.46%          
ANTA Sports Products Ltd.   6,623    69,383 
Total China        2,516,783 

     
  See Notes to Schedule of Investments. 1

 

 

Schedule of Investments (unaudited)(continued)

EMERGING MARKETS EQUITY FUND April 30, 2026

 

Investments  Shares   U.S. $
Fair Value
 
Germany 0.34%          
Semiconductors & Semiconductor Equipment          
AIXTRON SE   945   $52,215 
           
Greece 0.64%          
Banks          
Alpha Bank SA   24,201    97,124 
           
Hong Kong 2.30%          
Capital Markets 0.75%          
Hong Kong Exchanges & Clearing Ltd.   2,138    113,876 
Insurance 1.10%          
AIA Group Ltd.   6,900    75,753 
Prudential PLC   6,139    92,512 
         168,265 
Machinery 0.45%          
Techtronic Industries Co. Ltd.   4,729    68,569 
Total Hong Kong        350,710 
           
Hungary 1.96%          
Banks          
OTP Bank Nyrt   2,229    298,973 
           
India 7.90%          
Automobiles 0.35%          
Maruti Suzuki India Ltd.   377    53,187 
Banks 1.74%          
ICICI Bank Ltd. ADR   9,996    265,794 
Beverages 0.75%          
United Spirits Ltd.   4,579    64,149 
Varun Beverages Ltd.   9,361    50,989 
         115,138 
Consumer Finance 0.60%          
Shriram Finance Ltd.   9,192    91,420 
Health Care Providers & Services 0.33%          
Max Healthcare Institute Ltd.   4,767    50,156 
Hotels, Restaurants & Leisure 0.26%          
Indian Hotels Co. Ltd.   6,002    40,416 
Investments  Shares   U.S. $
Fair Value
 
India (continued)          
Oil, Gas & Consumable Fuels 0.51%          
Reliance Industries Ltd.   5,088   $77,167 
Pharmaceuticals 0.47%          
Torrent Pharmaceuticals Ltd.   1,614    71,167 
Transportation Infrastructure 1.03%          
Adani Ports & Special Economic Zone Ltd.   6,687    117,496 
GMR Airports Ltd.*   38,621    39,467 
         156,963 
Wireless Telecommunication Services 1.86%          
Bharti Airtel Ltd.   14,199    283,837 
Total India        1,205,245 
           
Japan 0.70%          
Semiconductors & Semiconductor Equipment          
Kioxia Holdings Corp.*   439    106,220 
           
Macau 0.38%          
Hotels, Restaurants & Leisure          
Galaxy Entertainment Group Ltd.   13,500    57,596 
           
Mexico 3.26%          
Banks 1.13%          
Grupo Financiero Banorte SAB de CV Class O   15,908    172,735 
Beverages 0.61%          
Fomento Economico Mexicano SAB de CV ADR   782    92,464 
Construction Materials 0.76%          
Cemex SAB de CV ADR   9,452    116,260 
Metals & Mining 0.76%          
Grupo Mexico SAB de CV   10,619    116,229 
Total Mexico        497,688 
           
Peru 1.03%          
Banks          
Credicorp Ltd.   486    157,547 

   
2 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(continued)

EMERGING MARKETS EQUITY FUND April 30, 2026

 

Investments  Shares   U.S. $
Fair Value
 
Philippines 0.64%          
Transportation Infrastructure          
International Container Terminal Services, Inc.   8,421   $97,258 
           
Saudi Arabia 0.92%          
Banks          
Saudi National Bank   13,456    140,928 
           
Singapore 0.19%          
Broadline Retail          
Sea Ltd. ADR*   345    29,284 
           
South Africa 2.26%          
Banks 1.11%          
Capitec Bank Holdings Ltd.   650    168,774 
Broadline Retail 0.45%          
Naspers Ltd. Class N   1,284    69,528 
Metals & Mining 0.70%          
Gold Fields Ltd. ADR   2,522    107,135 
Total South Africa        345,437 
           
South Korea 21.65%          
Aerospace & Defense 2.19%          
Hanwha Aerospace Co. Ltd.   218    208,270 
LIG Defense&Aerospace Co. Ltd.   199    126,253 
         334,523 
Automobiles 0.61%          
Kia Corp.   906    93,447 
Banks 1.62%          
KB Financial Group, Inc.   1,440    157,687 
Shinhan Financial Group Co. Ltd.   1,315    89,300 
         246,987 
Electrical Equipment 3.00%          
HD Hyundai Electric Co. Ltd.   370    318,170 
LS Electric Co. Ltd.   725    139,233 
         457,403 
Industrial Conglomerates 0.99%          
SK Square Co. Ltd.*   260    151,320 
Investments  Shares   U.S. $
Fair Value
 
South Korea (continued)          
Life Sciences Tools & Services 0.54%          
Samsung Biologics Co. Ltd.*   82   $81,757 
Machinery 0.56%          
HD Hyundai Heavy Industries Co. Ltd.   184    85,688 
Semiconductors & Semiconductor Equipment 4.68%          
SK Hynix, Inc.   800    713,415 
Technology Hardware, Storage & Peripherals 6.42%          
Samsung Electronics Co. Ltd.   6,500   $978,819 
Tobacco 1.04%          
KT&G Corp.   1,324    159,162 
Total South Korea        3,302,521 
           
Taiwan 27.60%          
Communications Equipment 1.25%          
Accton Technology Corp.   2,601    190,488 
Electronic Equipment, Instruments & Components 5.81%
Chroma ATE, Inc.   1,713    117,050 
Delta Electronics, Inc.   5,320    373,068 
Elite Material Co. Ltd.   1,361    202,795 
Unimicron Technology Corp.   6,823    193,796 
         886,709 
Semiconductors & Semiconductor Equipment 19.35%          
ASE Technology Holding Co. Ltd.   12,223    191,591 
ASPEED Technology, Inc.   326    175,248 
Hon Precision, Inc.   440    69,053 
MediaTek, Inc.   1,000    83,482 
MPI Corp.   508    81,566 
Taiwan Semiconductor Manufacturing Co. Ltd.   32,417    2,250,448 
Visual Photonics Epitaxy Co. Ltd.   9,088    101,246 
         2,952,634 
Technology Hardware, Storage & Peripherals 1.19%          
Asia Vital Components Co. Ltd.   1,982    181,459 
Total Taiwan        4,211,290 

     
  See Notes to Schedule of Investments. 3

 

 

Schedule of Investments (unaudited)(continued)

EMERGING MARKETS EQUITY FUND April 30, 2026

 

Investments  Shares   U.S. $
Fair Value
 
Thailand 0.61%          
Wireless Telecommunication Services          
Advanced Info Service PCL   8,877   $92,715 
           
United States 1.88%          
Biotechnology 0.43%          
BeOne Medicines Ltd. Class H*   2,884    65,464 
Communications Equipment 0.54%          
Lumentum Holdings, Inc.*   92    83,014 
Oil, Gas & Consumable Fuels 0.91%          
Shell PLC   3,053    138,810 
Total United States        287,288 
Total Common Stocks
(cost $10,356,686)
        14,720,603 
           
PREFERRED STOCKS 2.37%          
           
Brazil 2.37%          
Banks 1.35%          
Banco Bradesco SA   25,862    100,903 
Itau Unibanco Holding SA   12,137    105,860 
         206,763 
Oil, Gas & Consumable Fuels 1.02%          
Petroleo Brasileiro SA – Petrobras   15,638    154,997 
Total Brazil        361,760 
Total Preferred Stocks
(cost $258,149)
        361,760 
Total Investments in Securities 98.85%
(cost $10,614,835)
        15,082,363 
Other Assets and Liabilities – Net 1.15%        174,840 
Net Assets 100.00%       $15,257,203 

 

 

ADR   American Depositary Receipt.
*   Non-income producing security.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At April 30, 2026, the total value of Rule 144A securities was $81,757, which represents 0.54% of net assets.

   
4 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(concluded)

EMERGING MARKETS EQUITY FUND April 30, 2026

 

The following is a summary of the inputs used as of April 30, 2026 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Australia  $96,261   $   $   $96,261 
Austria       101,435        101,435 
Brazil   676,085            676,085 
China   43,548    2,473,235        2,516,783 
Germany       52,215        52,215 
Greece       97,124        97,124 
Hong Kong       350,710        350,710 
Hungary       298,973        298,973 
India   265,794    939,451        1,205,245 
Japan       106,220        106,220 
Macau       57,596        57,596 
Mexico   497,688            497,688 
Peru   157,547            157,547 
Philippines       97,258        97,258 
Saudi Arabia       140,928        140,928 
Singapore   29,284            29,284 
South Africa   107,135    238,302        345,437 
South Korea       3,302,521        3,302,521 
Taiwan       4,211,290        4,211,290 
Thailand       92,715        92,715 
United States   83,014    204,274        287,288 
Preferred Stocks   361,760            361,760 
Total  $2,318,116   $12,764,247   $   $15,082,363 
     
(1)   Refer to Note 2(a) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable, each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

  See Notes to Schedule of Investments. 5

 

 

Schedule of Investments (unaudited)

INTERNATIONAL GROWTH FUND April 30, 2026

 

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 94.55%          
           
COMMON STOCKS 94.55%          
           
Austria 1.99%          
Banks          
BAWAG Group AG   298   $51,033 
Erste Group Bank AG   544    60,110 
         111,143 
           
Belgium 0.76%          
Pharmaceuticals          
UCB SA*   155    42,205 
           
Brazil 0.85%          
Banks          
NU Holdings Ltd. Class A*   3,282    47,523 
           
Canada 2.88%          
Consumer Staples Distribution & Retail 1.02%
Alimentation Couche-Tard, Inc.   965    57,089 
Metals & Mining 1.86%          
Agnico Eagle Mines Ltd.   325    61,115 
Kinross Gold Corp.   1,405    42,563 
         103,678 
Total Canada        160,767 
           
Chile 1.06%          
Metals & Mining          
Antofagasta PLC   1,220    59,167 
           
China 3.53%          
Broadline Retail 0.95%          
Alibaba Group Holding Ltd.   3,230    53,234 
Interactive Media & Services 2.10%          
Tencent Holdings Ltd.   1,930    117,213 
Pharmaceuticals 0.48%          
Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class H   3,200    26,682 
Total China        197,129 
           
Denmark 1.28%          
Pharmaceuticals          
Novo Nordisk AS Class B   1,675    71,248 
Investments  Shares   U.S. $
Fair Value
 
Finland 1.16%          
Communications Equipment          
Nokia OYJ   5,100   $64,804 
           
France 5.16%          
Aerospace & Defense 1.27%          
Safran SA   221    70,966 
Biotechnology 0.23%          
Abivax SA ADR*   110    12,912 
Electrical Equipment 1.56%          
Legrand SA   485    86,894 
Personal Care Products 1.24%          
L’Oreal SA   160    68,910 
Textiles, Apparel & Luxury Goods 0.86%          
LVMH Moet Hennessy Louis Vuitton SE   90    48,079 
Total France        287,761 
           
Germany 5.44%          
Aerospace & Defense 0.72%          
Rheinmetall AG   25    39,870 
Construction Materials 0.72%          
Heidelberg Materials AG   182    40,157 
Electrical Equipment 2.70%          
Pfisterer Holding SE*   160    19,480 
Siemens Energy AG   620    131,391 
         150,871 
Semiconductors & Semiconductor Equipment 1.30%    
AIXTRON SE   320    17,682 
Infineon Technologies AG   815    54,813 
         72,495 
Total Germany        303,393 
           
Greece 0.99%          
Banks          
Alpha Bank SA   13,715    55,041 
           
Hungary 1.14%          
Banks          
OTP Bank Nyrt   475    63,711 


 

6 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL GROWTH FUND April 30, 2026

 

Investments  Shares   U.S. $
Fair Value
 
India 1.39%          
Banks 0.36%          
ICICI Bank Ltd. ADR   746   $19,836 
Wireless Telecommunication Services 1.03%    
Bharti Airtel Ltd.   2,890    57,771 
Total India        77,607 
           
Italy 0.31%          
Passenger Airlines          
Ryanair Holdings PLC   650    17,054 
           
Japan 17.29%          
Broadline Retail 0.79%          
Ryohin Keikaku Co. Ltd.   1,900    43,897 
Electrical Equipment 2.97%          
Fujikura Ltd.   2,780    107,261 
Furukawa Electric Co. Ltd.   215    58,391 
         165,652 
Electronic Equipment, Instruments & Components 1.40% 
Murata Manufacturing Co. Ltd.   2,350    77,936 
Health Care Equipment & Supplies 1.07%          
Hoya Corp.   320    59,758 
Household Durables 0.70%          
Panasonic Holdings Corp.   1,900    38,866 
Industrial Conglomerates 1.74%          
Hitachi Ltd.   3,049    96,953 
Machinery 2.30%          
Ebara Corp.   1,490    50,970 
Mitsubishi Heavy Industries Ltd.   2,600    77,599 
         128,569 
Semiconductors & Semiconductor Equipment 5.45%    
Advantest Corp.   380    70,953 
Disco Corp.   100    47,578 
Kioxia Holdings Corp.*   365    88,315 
Kokusai Electric Corp.   480    20,201 
Tokyo Electron Ltd.   262    77,207 
         304,254 
Investments  Shares   U.S. $
Fair Value
 
Japan (continued)          
Textiles, Apparel & Luxury Goods 0.87%          
Asics Corp.   1,717   $48,759 
Total Japan        964,644 
           
Mexico 0.74%          
Banks          
Grupo Financiero Banorte SAB de CV Class O   3,827    41,555 
           
Netherlands 5.16%          
Biotechnology 0.91%          
Argenx SE ADR*   65    50,812 
Semiconductors & Semiconductor Equipment 4.25%    
ASML Holding NV   150    216,832 
BE Semiconductor Industries NV   70    20,476 
         237,308 
Total Netherlands        288,120 
           
Peru 0.93%          
Banks          
Credicorp Ltd.   160    51,867 
           
Singapore 0.67%          
Banks          
DBS Group Holdings Ltd.   810    37,350 
           
South Korea 10.27%          
Aerospace & Defense 1.13%          
Hanwha Aerospace Co. Ltd.   66    63,054 
Electrical Equipment 1.84%          
HD Hyundai Electric Co. Ltd.   50    42,996 
LS Electric Co. Ltd.   310    59,534 
         102,530 
Life Sciences Tools & Services 0.54%          
Samsung Biologics Co. Ltd.*   30    29,911 
Semiconductors & Semiconductor Equipment 4.15%    
SK Hynix, Inc.   260    231,860 


 

  See Notes to Schedule of Investments. 7
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL GROWTH FUND April 30, 2026

 

Investments  Shares   U.S. $
Fair Value
 
South Korea (continued)          
Technology Hardware, Storage & Peripherals 2.61%    
Samsung Electronics Co. Ltd.   966   $145,468 
Total South Korea        572,823 
           
Spain 1.19%          
Specialty Retail          
Industria de Diseno Textil SA   1,114    66,674 
           
Sweden 1.37%          
Machinery          
Sandvik AB   1,820    76,562 
           
Switzerland 5.74%          
Electrical Equipment 2.18%          
ABB Ltd. Registered Shares   1,200    121,368 
Pharmaceuticals 2.54%          
Galderma Group AG   410    86,015 
Sandoz Group AG   693    55,588 
         141,603 
Textiles, Apparel & Luxury Goods 1.02%          
Cie Financiere Richemont SA Class A   298    57,191 
Total Switzerland        320,162 
           
Taiwan 13.36%          
Communications Equipment 0.25%          
Accton Technology Corp.   190    13,915 
Electronic Equipment, Instruments & Components 3.03% 
Delta Electronics, Inc.   1,680    117,811 
Unimicron Technology Corp.   1,800    51,126 
         168,937 
Semiconductors & Semiconductor Equipment 9.06%  
ASE Technology Holding Co. Ltd.   3,820    59,877 
ASPEED Technology, Inc.   40    21,503 
Taiwan Semiconductor Manufacturing Co. Ltd.   5,900    409,589 
Visual Photonics Epitaxy Co. Ltd.   1,300    14,483 
         505,452 
Investments  Shares   U.S. $
Fair Value
 
Taiwan (continued)          
Technology Hardware, Storage & Peripherals 1.02%    
Asia Vital Components Co. Ltd.   623   $57,037 
Total Taiwan        745,341 
           
United Kingdom 3.88%          
Aerospace & Defense 0.30%          
Babcock International Group PLC   1,130    17,024 
Beverages 0.46%          
Diageo PLC   1,265    25,577 
Capital Markets 0.44%          
St. James’s Place PLC   1,495    24,685 
Pharmaceuticals 1.70%          
AstraZeneca PLC   500    94,861 
Trading Companies & Distributors 0.98%          
Diploma PLC   575    54,418 
Total United Kingdom        216,565 
           
United States 6.01%          
Biotechnology 0.80%          
BeOne Medicines Ltd. Class H*   1,975    44,831 
Communications Equipment 0.32%          
Lumentum Holdings, Inc.*   20    18,046 
Construction Materials 0.93%          
Holcim AG   557    51,760 
Electrical Equipment 1.60%          
Schneider Electric SE   280    89,099 
Interactive Media & Services 1.09%          
Alphabet, Inc. Class A   158    60,798 
Pharmaceuticals 0.49%          
Novartis AG Registered Shares   185    27,341 
Semiconductors & Semiconductor Equipment 0.78%    
Broadcom, Inc.   104    43,413 
Total United States        335,288 
Total Common Stocks
(cost $3,591,964)
        5,275,504 


 

8 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL GROWTH FUND April 30, 2026

 

Investments   Principal
Amount
    Fair
Value
 
SHORT-TERM INVESTMENTS 2.19%          
           
Repurchase Agreements 2.19%          
Repurchase Agreement dated 4/30/2026, 3.250% due 5/1/2026 with Fixed Income Clearing Corp. collateralized by $123,300 of U.S. Treasury Note at 3.750% due 6/30/2027; value: $124,758; proceeds: $122,205 (cost $122,194)   $122,194   $122,194 
Total Investments in Securities 96.74%
(cost $3,714,158)
        5,397,698 
Other Assets and Liabilities – Net 3.26%        181,974 
Net Assets 100.00%       $5,579,672 

 

     
ADR   American Depositary Receipt.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At April 30, 2026, the total value of Rule 144A securities was $80,944, which represents 1.45% of net assets.
*   Non-income producing security.


 

  See Notes to Schedule of Investments. 9
 

Schedule of Investments (unaudited)(concluded)

INTERNATIONAL GROWTH FUND April 30, 2026

 

The following is a summary of the inputs used as of April 30, 2026 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Austria  $   $111,143   $   $111,143 
Belgium       42,205        42,205 
Brazil   47,523            47,523 
Canada   160,767            160,767 
Chile       59,167        59,167 
China       197,129        197,129 
Denmark       71,248        71,248 
Finland       64,804        64,804 
France   12,912    274,849        287,761 
Germany       303,393        303,393 
Greece       55,041        55,041 
Hungary       63,711        63,711 
India   19,836    57,771        77,607 
Italy       17,054        17,054 
Japan   43,897    920,747        964,644 
Mexico   41,555            41,555 
Netherlands   50,812    237,308        288,120 
Peru   51,867            51,867 
Singapore       37,350        37,350 
South Korea       572,823        572,823 
Spain       66,674        66,674 
Sweden       76,562        76,562 
Switzerland       320,162        320,162 
Taiwan       745,341        745,341 
United Kingdom       216,565        216,565 
United States   122,257    213,031        335,288 
Short-Term Investments                    
Repurchase Agreements       122,194        122,194 
Total  $551,426   $4,846,272   $   $5,397,698 

 

(1)   Refer to Note 2(a) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable, each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

10 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
LONG-TERM INVESTMENTS 101.19%                
                 
ASSET-BACKED SECURITIES 66.86%                
                 
Automobiles 9.39%                
Ally Bank Auto Credit-Linked Notes Series 2024-A Class E  7.917%  5/17/2032  $1,416,499   $1,444,090 
Ally Bank Auto Credit-Linked Notes Series 2024-B Class E  6.678%  9/15/2032   728,578    732,530 
Ally Bank Auto Credit-Linked Notes Series 2025-B Class E  6.164%  9/15/2033   5,173,304    5,172,339 
Bayview Opportunity Master Fund VII LLC Series 2024-CAR1 Class B  4.945%
(30 day USD SOFR Average + 1.30%
)#  12/26/2031   153,783    154,387 
Bayview Opportunity Master Fund VII Trust Series 2024-SN1 Class E  8.00%  10/15/2029   2,000,000    2,042,669 
Bridgecrest Lending Auto Securitization Trust Series 2023-1 Class D  7.84%  8/15/2029   7,845,000    8,150,624 
Carmax Auto Owner Trust Series 2023-1 Class C  5.19%  1/16/2029   2,465,000    2,483,022 
Carmax Auto Owner Trust Series 2023-3 Class C  5.61%  2/15/2029   5,000,000    5,065,353 
CarMax Select Receivables Trust Series 2024-A Class A3  5.40%  11/15/2028   4,738,761    4,768,601 
CarMax Select Receivables Trust Series 2026-A Class D  4.90%  5/17/2032   6,238,000    6,183,106 
Carvana Auto Receivables Trust Series 2023-N4 Class D  7.22%  2/11/2030   2,325,000    2,406,607 
Consumer Portfolio Services Auto Trust Series 2025-A Class C  5.25%  4/15/2031   10,375,000    10,458,849 
Consumer Portfolio Services Auto Trust Series 2025-D Class C  4.85%  2/17/2032   2,615,000    2,615,183 
CPS Auto Receivables Trust Series 2022-A Class E  4.88%  4/16/2029   9,180,000    9,189,721 
CPS Auto Receivables Trust Series 2022-B Class E  7.14%  10/15/2029   4,900,000    4,950,990 
CPS Auto Receivables Trust Series 2022-C Class E  9.08%  4/15/2030   9,000,000    9,308,093 
CPS Auto Receivables Trust Series 2023-A Class E  10.59%  8/15/2030   6,667,000    7,243,824 
CPS Auto Receivables Trust Series 2023-B Class E  10.72%  11/15/2030   18,037,000    19,704,780 
CPS Auto Receivables Trust Series 2023-C Class D  6.77%  10/15/2029   4,795,000    4,917,844 

 

  See Notes to Schedule of Investments. 11
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Automobiles (continued)                
CPS Auto Receivables Trust Series 2023-D Class D  7.80%  1/15/2030  $9,237,000   $9,568,327 
CPS Auto Receivables Trust Series 2024-C Class E  8.04%  3/15/2032   10,500,000    10,865,046 
CPS Auto Receivables Trust Series 2024-D Class C  4.76%  1/15/2031   6,210,000    6,221,161 
CPS Auto Receivables Trust Series 2026-B Class C  4.93%  7/15/2032   10,000,000    9,999,912 
Drive Auto Receivables Trust Series 2024-1 Class C  5.43%  11/17/2031   2,330,000    2,361,060 
Exeter Automobile Receivables Trust Series 2023-1A Class D  6.69%  6/15/2029   1,192,004    1,205,244 
Exeter Automobile Receivables Trust Series 2023-1A Class E  12.07%  9/16/2030   6,900,000    7,548,670 
Exeter Automobile Receivables Trust Series 2023-2A Class D  6.32%  8/15/2029   8,742,000    8,874,908 
Exeter Automobile Receivables Trust Series 2023-3A Class D  6.68%  4/16/2029   2,616,000    2,660,616 
Exeter Automobile Receivables Trust Series 2023-3A Class E  9.98%  1/15/2031   6,203,000    6,632,651 
Exeter Automobile Receivables Trust Series 2023-5A Class C  6.85%  1/16/2029   5,452,248    5,502,126 
Exeter Automobile Receivables Trust Series 2024-1A Class D  5.84%  6/17/2030   4,125,000    4,179,768 
Exeter Automobile Receivables Trust Series 2024-2A Class E  7.98%  10/15/2031   12,500,000    12,955,193 
Exeter Automobile Receivables Trust Series 2025-1A Class E  7.48%  9/15/2032   9,750,000    10,014,190 
Exeter Automobile Receivables Trust Series 2026-2A Class C  4.91%  8/16/2032   5,000,000    4,999,184 
First Investors Auto Owner Trust Series 2025-1A Class C  4.75%  12/15/2031   17,535,000    17,538,889 
GLS Auto Receivables Issuer Trust Series 2021-4A Class E  4.43%  10/16/2028   3,000,000    2,997,112 
GLS Auto Receivables Issuer Trust Series 2023-4A Class D  7.18%  8/15/2029   2,393,000    2,461,447 
GLS Auto Receivables Issuer Trust Series 2024-2A Class C  6.03%  2/15/2030   4,460,000    4,524,236 
GLS Auto Receivables Issuer Trust Series 2026-1A Class B  4.22%  8/17/2030   4,770,000    4,740,239 
Huntington Bank Auto Credit-Linked Notes Series 2024-1 Class D  8.89%
(30 day USD SOFR Average + 5.25%
)#  5/20/2032   3,926,070    3,991,376 

 

12 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Automobiles (continued)                
Huntington Bank Auto Credit-Linked Notes Series 2024-2 Class B2  4.99%
(30 day USD SOFR Average + 1.35%
)#  10/20/2032  $5,465,327   $5,475,320 
Huntington Bank Auto Credit-Linked Notes Series 2024-2 Class C  6.24%
(30 day USD SOFR Average + 2.60%
)#  10/20/2032   4,225,384    4,239,703 
Huntington Bank Auto Credit-Linked Notes Series 2024-2 Class D  7.64%
(30 day USD SOFR Average + 4.00%
)#  10/20/2032   1,695,653    1,692,440 
Kinetic Advantage Master Owner Trust Series 2025-1A Class A  5.84%
(30 day USD SOFR Average + 2.20%
)#  10/15/2029   13,815,000    13,886,718 
LAD Auto Receivables Trust Series 2023-1A Class D  7.30%  6/17/2030   728,000    733,065 
LAD Auto Receivables Trust Series 2023-3A Class C  6.43%  12/15/2028   8,900,000    9,008,682 
LAD Auto Receivables Trust Series 2023-3A Class D  6.92%  12/16/2030   1,100,000    1,122,997 
Octane Receivables Trust Series 2023-1A Class C  6.37%  9/20/2029   4,000,000    4,039,112 
Octane Receivables Trust Series 2023-1A Class E  9.25%  8/20/2030   3,000,000    3,146,199 
Prestige Auto Receivables Trust Series 2023-2A Class B  6.64%  12/15/2027   43,997    44,037 
Prestige Auto Receivables Trust Series 2025-1A Class B  5.34%  11/15/2028   8,229,000    8,254,125 
Red Oak Funding Master Trust Series 2025-1A Class A  5.64%
(30 day USD SOFR Average + 2.00%
)#  12/20/2030   16,025,000    16,082,495 
Santander Bank Auto Credit-Linked Notes Series 2022-C Class F  14.592%  12/15/2032   504,077    507,076 
Santander Drive Auto Receivables Trust Series 2023-4 Class C  6.04%  12/15/2031   9,300,000    9,487,683 
SBNA Auto Receivables Trust Series 2024-A Class C  5.59%  1/15/2030   6,030,000    6,109,817 
SBNA Auto Receivables Trust Series 2024-A Class E  8.00%  4/15/2032   4,860,000    5,014,605 
SBNA Auto Receivables Trust Series 2025-SF1 Class D  5.34%  9/15/2031   9,250,000    9,280,414 
Securitized Term Auto Receivables Trust Series 2025-A Class D  6.746%  7/25/2031   2,495,420    2,542,549 
U.S. Bank NA Series 2023-1 Class C  9.785%  8/25/2032   554,133    563,134 
U.S. Bank NA Series 2026-RVM1 Class C  5.595%  12/25/2046   8,761,127    8,689,562 

 

  See Notes to Schedule of Investments. 13
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Automobiles (continued)                
VStrong Auto Receivables Trust Series 2023-A Class D  9.31%  2/15/2030  $3,255,000   $3,510,134 
VStrong Auto Receivables Trust Series 2023-A Class E  9.99%  12/16/2030   1,000,000    1,089,566 
VStrong Auto Receivables Trust Series 2024-A Class C  6.44%  7/15/2030   3,010,000    3,086,750 
VStrong Auto Receivables Trust Series 2024-A Class D  7.29%  7/15/2030   3,000,000    3,125,745 
Westlake Automobile Receivables Trust Series 2023-3A Class D  6.47%  3/15/2029   1,745,000    1,774,422 
Westlake Automobile Receivables Trust Series 2024-1A Class C  5.65%  2/15/2029   4,750,000    4,788,631 
Westlake Automobile Receivables Trust Series 2024-3A Class C  4.92%  11/15/2029   3,555,000    3,575,886 
Total              377,704,834 
                 
Credit Card 1.14%                
Capital One Multi-Asset Execution Trust Series 2025-A3 Class A  4.65%  10/15/2037   1,515,000    1,498,424 
Continental Finance Credit Card ABS Master Trust Series 2024-A Class A  5.78%  12/15/2032   13,151,000    13,243,501 
Fortiva Retail Prime Masters Notes Business Trust Series 2025-A Class A  6.60%  9/17/2029   4,600,000    4,614,720(a) 
Mercury Financial Credit Card Master Trust Series 2024-2A Class A  6.56%  7/20/2029   10,190,000    10,200,123 
Mercury Financial Credit Card Master Trust Series 2025-1A Class B  6.16%  12/22/2031   8,950,000    8,751,003 
Perimeter Master Note Business Trust Series 2025-1A Class A  5.58%  12/16/2030   7,500,000    7,483,577 
Total              45,791,348 
                 
Other 56.26%                
1988 CLO 1 Ltd. Series 2022-1A Class AR  5.033%
(3 mo. USD Term SOFR + 1.36%
)#  10/15/2039   8,270,000    8,279,477 
1988 CLO 3 Ltd. Series 2023-3A Class A1R  4.923%
(3 mo. USD Term SOFR + 1.25%
)#  10/15/2038   6,500,000    6,502,912 
1988 CLO 4 Ltd. Series 2024-4A Class BR  5.373%
(3 mo. USD Term SOFR + 1.70%
)#  4/15/2039   9,630,000    9,644,705 
1988 CLO 5 Ltd. Series 2024-5A Class A1  5.213%
(3 mo. USD Term SOFR + 1.54%
)#  7/15/2037   1,000,000    1,001,777 

 

14 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
37 Capital CLO 3 Ltd. Series 2023-1A Class A1R  5.173%
(3 mo. USD Term SOFR + 1.50%
)#  7/15/2038  $3,250,000   $3,261,346 
37 Capital CLO 3 Ltd. Series 2023-1A Class ER  11.523%
(3 mo. USD Term SOFR + 7.85%
)#  7/15/2038   2,000,000    1,926,416 
720 East CLO Ltd. Series 2022-1A Class ER  9.575%
(3 mo. USD Term SOFR + 5.90%
)#  1/20/2038   2,000,000    1,965,608 
AB BSL CLO 3 Ltd. Series 2021-3A Class C2R  5.675%
(3 mo. USD Term SOFR + 2.00%
)#  4/20/2038   1,000,000    1,002,397 
AB BSL CLO 6 Ltd. Series 2025-6A Class D1  7.125%
(3 mo. USD Term SOFR + 3.45%
)#  7/20/2037   6,600,000    6,611,042 
AB BSL CLO 6 Ltd. Series 2025-6A Class E  9.675%
(3 mo. USD Term SOFR + 6.00%
)#  7/20/2037   3,000,000    3,011,376 
Abry Liquid Credit CLO Ltd. Series 2025-1A Class A2  5.325%
(3 mo. USD Term SOFR + 1.65%
)#  10/20/2038   3,500,000    3,505,915 
Abry Liquid Credit CLO Ltd. Series 2025-1A Class C  5.775%
(3 mo. USD Term SOFR + 2.10%
)#  10/20/2038   1,500,000    1,505,693 
Affirm Asset Securitization Trust Series 2024-B Class B  4.88%  9/15/2029   6,075,000    6,080,632 
Affirm Master Trust Series 2025-3A Class A  4.45%  10/16/2034   10,525,000    10,501,591 
Affirm Master Trust Series 2026-2A Class E  7.06%  4/16/2035   10,000,000    10,000,394 
AGL CLO 24 Ltd. Series 2023-24A Class A2R  5.376%
(3 mo. USD Term SOFR + 1.71%
)#  3/31/2038   6,000,000    6,016,122 
AGL CLO 35 Ltd. Series 2024-35A Class A1  5.012%
(3 mo. USD Term SOFR + 1.34%
)#  1/21/2038   1,500,000    1,504,247 
Allegro CLO V-S Ltd. Series 2024-2A Class CT  6.117%
(3 mo. USD Term SOFR + 2.45%
)#  7/24/2037   3,000,000    3,005,127 
AMMC CLO 23 Ltd. Series 2020-23A Class AR3  5.07%
(3 mo. USD Term SOFR + 1.39%
)#  7/17/2038   16,300,000    16,343,309 
AMMC CLO 25 Ltd. Series 2022-25A Class D1R2  6.673%
(3 mo. USD Term SOFR + 3.00%
)#  10/15/2038   4,560,000    4,553,347 

 

  See Notes to Schedule of Investments. 15
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
AMMC CLO 28 Ltd. Series 2024-28A Class D1  7.175%
(3 mo. USD Term SOFR + 3.50%
)#  7/20/2037  $6,750,000   $6,761,286 
AMMC CLO 30 Ltd. Series 2024-30A Class D1R  6.243%
(3 mo. USD Term SOFR + 2.65%
)#  4/15/2039   5,000,000    5,017,615 
AMMC CLO 31 Ltd. Series 2025-31A Class D  6.625%
(3 mo. USD Term SOFR + 2.95%
)#  2/20/2038   3,500,000    3,513,108 
Anchorage Capital CLO 29 Ltd. Series 2024-29A Class D1  7.675%
(3 mo. USD Term SOFR + 4.00%
)#  7/20/2037   1,000,000    1,000,050 
Anchorage Capital CLO 32 Ltd. Series 2025-32A Class D  7.623%
(3 mo. USD Term SOFR + 3.95%
)#  7/15/2037   2,215,000    2,218,515 
Anthelion CLO Ltd. Series 2025-1A Class A1  5.175%
(3 mo. USD Term SOFR + 1.50%
)#  7/20/2036   7,095,000    7,103,358 
Anthelion CLO Ltd. Series 2025-1A Class D1  7.325%
(3 mo. USD Term SOFR + 3.65%
)#  7/20/2036   3,060,000    3,067,696 
Anthelion CLO Ltd. Series 2025-2A Class A1  4.97%
(3 mo. USD Term SOFR + 1.30%
)#  4/20/2039   15,000,000    15,020,745 
Apex Credit CLO Ltd. Series 2020-1A Class A1R3  4.835%
(3 mo. USD Term SOFR + 1.16%
)#  4/20/2035   5,400,000    5,402,624 
Apidos CLO XLVIII Ltd. Series 2024-48A Class E  9.417%
(3 mo. USD Term SOFR + 5.75%
)#  7/25/2037   150,000    150,638 
Apidos CLO XXXIX Ltd. Series 2022-39A Class A1R  4.902%
(3 mo. USD Term SOFR + 1.23%
)#  10/21/2038   8,650,000    8,662,101 
Arini U.S. CLO I Ltd. Series 1A Class B  5.923%
(3 mo. USD Term SOFR + 2.25%
)#  4/15/2038   9,325,000    9,375,476 
Arini U.S. CLO I Ltd. Series 1A Class C  6.573%
(3 mo. USD Term SOFR + 2.90%
)#  4/15/2038   9,300,000    9,391,847 
Arini U.S. CLO III Ltd. Series 3A Class C  5.661%
(3 mo. USD Term SOFR + 1.90%
)#  1/15/2039   2,200,000    2,206,048 
Arini U.S. CLO III Ltd. Series 3A Class D  6.661%
(3 mo. USD Term SOFR + 2.90%
)#  1/15/2039   4,120,000    4,125,978 

 

16 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
ASP WHCO Partner 2 LP  6.783%#(b)  3/29/2029  $15,000,000   $15,000,459(a) 
Atlantic Avenue Ltd. Series 2023-1A Class AR  5.033%
(3 mo. USD Term SOFR + 1.36%
)#  1/15/2039   3,000,000    3,007,668 
Atlantic Avenue Ltd. Series 2023-1A Class D1R  6.973%
(3 mo. USD Term SOFR + 3.30%
)#  1/15/2039   4,520,000    4,516,691 
Atlantic Avenue Ltd. Series 2024-2A Class D  8.425%
(3 mo. USD Term SOFR + 4.75%
)#  4/20/2037   1,000,000    1,001,377 
Atlantic Avenue Ltd. Series 2024-3A Class C  5.875%
(3 mo. USD Term SOFR + 2.20%
)#  1/20/2035   6,500,000    6,484,653 
Atlas Senior Loan Fund XXIV Ltd. Series 2024-24A Class D1  7.275%
(3 mo. USD Term SOFR + 3.60%
)#  1/20/2038   1,450,000    1,454,554 
Atlas Senior Loan Fund XXV Ltd. Series 2025-25A Class B  5.525%
(3 mo. USD Term SOFR + 1.85%
)#  7/20/2038   3,675,081    3,694,405 
Atlas Senior Loan Fund XXV Ltd. Series 2025-25A Class SUB  Zero coupon#(b)  7/20/2038   3,430,000    1,710,990 
Atlas Senior Loan Fund XXVII Ltd. Series 2026-27A Class D1  7.01%
(3 mo. USD Term SOFR + 3.35%
)#  1/22/2039   7,475,000    7,458,024 
Bain Capital Credit CLO Ltd. Series 2019-2A Class AR3  4.60%
(3 mo. USD Term SOFR + 0.92%
)#  10/17/2032   17,499,215    17,497,798 
Bain Capital Credit CLO Ltd. Series 2020-1A Class A1RR  4.665%
(3 mo. USD Term SOFR + 0.99%
)#  4/18/2033   8,371,612    8,370,817 
Bain Capital Credit CLO Ltd. Series 2024-5A Class E  9.822%
(3 mo. USD Term SOFR + 6.15%
)#  10/21/2037   500,000    495,483 
Balboa Bay Loan Funding Ltd. Series 2022-1A Class AR  4.865%
(3 mo. USD Term SOFR + 1.19%
)#  4/20/2037   19,400,000    19,396,935 
Ballyrock CLO 20 Ltd. Series 2022-20A Class A1A3  4.723%
(3 mo. USD Term SOFR + 1.05%
)#  10/15/2036   3,900,000    3,894,322 
Ballyrock CLO 21 Ltd. Series 2022-21A Class C1R  6.825%
(3 mo. USD Term SOFR + 3.15%
)#  10/20/2037   1,030,000    1,017,203 

 

  See Notes to Schedule of Investments. 17
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Ballyrock CLO 22 Ltd. Series 2024-22A Class B  6.023%
(3 mo. USD Term SOFR + 2.35%
)#  4/15/2037  $2,000,000   $2,004,826 
BAR Issuer LLC Series 2026-FL1 Class A  5.261%
(1 mo. USD Term SOFR + 1.60%
)#  8/20/2043   11,750,000    11,787,633 
Barings CLO Ltd. Series 2021-3A Class AR  4.805%
(3 mo. USD Term SOFR + 1.13%
)#  1/18/2035   20,000,000    20,005,640 
Barings CLO Ltd. Series 2023-1A Class A2R  5.375%
(3 mo. USD Term SOFR + 1.70%
)#  4/20/2038   1,000,000    1,002,498 
Barrow Hanley CLO I Ltd. Series 2023-1A Class A2R  5.215%
(3 mo. USD Term SOFR + 1.54%
)#  1/20/2038   6,200,000    6,203,813 
Barrow Hanley CLO I Ltd. Series 2023-1A Class D1R  6.775%
(3 mo. USD Term SOFR + 3.10%
)#  1/20/2038   3,500,000    3,504,725 
Barrow Hanley CLO II Ltd. Series 2023-2A Class A1R  4.985%
(3 mo. USD Term SOFR + 1.31%
)#  3/31/2038   5,000,000    5,012,750 
Barrow Hanley CLO II Ltd. Series 2023-2A Class D1RR  6.725%
(3 mo. USD Term SOFR + 3.05%
)#  3/31/2038   4,000,000    4,005,180 
Barrow Hanley CLO III Ltd. Series 2024-3A Class D  7.825%
(3 mo. USD Term SOFR + 4.15%
)#  4/20/2037   2,050,000    2,053,124 
Battalion CLO IX Ltd. Series 2015-9A Class BRR  5.273%
(3 mo. USD Term SOFR + 1.60%
)#  7/15/2031   13,280,000    13,293,971 
Battalion CLO X Ltd. Series 2016-10A Class A1R3  4.807%
(3 mo. USD Term SOFR + 1.14%
)#  1/24/2035   17,901,676    17,915,103 
Battalion CLO XXVIII Ltd. Series 2025-28A Class D1  6.725%
(3 mo. USD Term SOFR + 3.05%
)#  1/20/2038   5,000,000    5,020,040 
Battery Park CLO II Ltd. Series 2022-1A Class CR  6.025%
(3 mo. USD Term SOFR + 2.35%
)#  10/20/2037   1,250,000    1,252,699 
BDS LLC Series 2025-FL15 Class A  5.061%
(1 mo. USD Term SOFR + 1.40%
)#  3/19/2043   11,160,000    11,176,195 
BDS LLC Series 2025-FL16 Class A  5.061%
(1 mo. USD Term SOFR + 1.40%
)#  6/19/2043   9,360,000    9,387,592 
BDS LLC Series 2026-FL17 Class A†(c)  5.00%
(1 mo. USD Term SOFR + 1.35%
)#  5/19/2043   2,820,000    2,827,050 
Benefit Street Partners CLO 42 Ltd. Series 2025-42A Class A  4.967%
(3 mo. USD Term SOFR + 1.30%
)#  10/25/2038   8,000,000    8,018,064 

 

18 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Benefit Street Partners CLO X Ltd. Series 2016-10A Class A1R3  4.975%
(3 mo. USD Term SOFR + 1.30%
)#  7/20/2038  $11,520,000   $11,549,134 
Benefit Street Partners CLO XXVIII Ltd. Series 2022-28A Class AR  5.025%
(3 mo. USD Term SOFR + 1.35%
)#  10/20/2037   6,500,000    6,509,919 
Benefit Street Partners CLO XXVIII Ltd. Series 2022-28A Class CR  5.575%
(3 mo. USD Term SOFR + 1.90%
)#  10/20/2037   1,500,000    1,503,029 
Benefit Street Partners CLO XXXIX Ltd. Series 2025-39A Class SUB  Zero coupon#(b)  4/15/2038   4,000,000    2,659,732 
Benefit Street Partners CLO XXXVII Ltd. Series 2024-37A Class A  5.017%
(3 mo. USD Term SOFR + 1.35%
)#  1/25/2038   2,000,000    2,003,748 
Birch Grove CLO 13 Ltd. Series 2025-13A Class A1  4.976%
(3 mo. USD Term SOFR + 1.31%
)#  10/23/2038   10,000,000    10,021,240 
Birch Grove CLO 14 Ltd. Series 2025-14A Class D2  8.414%
(3 mo. USD Term SOFR + 4.75%
)#  7/22/2037   3,550,000    3,561,143 
Birch Grove CLO 14 Ltd. Series 2025-14A Class E  10.314%
(3 mo. USD Term SOFR + 6.65%
)#  7/22/2037   5,000,000    5,039,545 
Birch Grove CLO 15 Ltd. Series 2025-15A Class A1  4.964%
(3 mo. USD Term SOFR + 1.25%
)#  1/23/2039   3,500,000    3,506,125 
Birch Grove CLO 4 Ltd. Series 2022-4A Class A1R  5.153%
(3 mo. USD Term SOFR + 1.48%
)#  7/15/2037   160,000    160,191 
Birch Grove CLO 4 Ltd. Series 2022-4A Class BR  5.473%
(3 mo. USD Term SOFR + 1.80%
)#  7/15/2037   1,760,000    1,761,640 
Birch Grove CLO 5 Ltd. Series 2023-5A Class D1R  7.025%
(3 mo. USD Term SOFR + 3.35%
)#  10/20/2037   750,000    751,262 
Birch Grove CLO 6 Ltd. Series 2023-6A Class A1R  5.055%
(3 mo. USD Term SOFR + 1.38%
)#  7/20/2037   10,000,000    10,059,830 
Birch Grove CLO 8 Ltd. Series 2024-8A Class A1R  4.965%
(3 mo. USD Term SOFR + 1.29%
)#  4/20/2039   5,970,000    5,982,537 
Black Diamond CLO Ltd. Series 2022-1A Class D1R  6.967%
(3 mo. USD Term SOFR + 3.30%
)#  4/25/2039   6,080,000    6,094,367 

 

  See Notes to Schedule of Investments. 19
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Black Diamond CLO Ltd. Series 2024-1A Class B  5.687%
(3 mo. USD Term SOFR + 2.02%
)#  10/25/2037  $8,000,000   $8,013,800 
Black Diamond CLO Ltd. Series 2025-1A Class B  5.823%
(3 mo. USD Term SOFR + 2.15%
)#  7/15/2038   7,000,000    7,030,975 
Black Diamond CLO Ltd. Series 2025-1A Class C1  6.073%
(3 mo. USD Term SOFR + 2.40%
)#  7/15/2038   10,000,000    10,046,640 
Black Diamond CLO Ltd. Series 2025-2A Class D1  7.223%
(3 mo. USD Term SOFR + 3.55%
)#  10/15/2038   3,000,000    3,006,276 
Brant Point CLO Ltd. Series 2023-1A Class D1R  7.167%
(3 mo. USD Term SOFR + 3.50%
)#  7/26/2038   1,200,000    1,203,912 
Brant Point CLO Ltd. Series 2023-1A Class ER  10.767%
(3 mo. USD Term SOFR + 7.10%
)#  7/26/2038   3,730,000    3,748,997 
Brant Point CLO Ltd. Series 2023-2A Class D1R  6.419%
(3 mo. USD Term SOFR + 2.75%
)#  1/29/2039   7,950,000    7,949,157 
Brant Point CLO Ltd. Series 2024-3A Class D1R  6.28%
(3 mo. USD Term SOFR + 2.65%
)#  1/20/2039   3,200,000    3,196,797 
Brant Point CLO Ltd. Series 2024-3A Class ER  10.46%
(3 mo. USD Term SOFR + 6.83%
)#  1/20/2039   2,000,000    2,007,888 
Brant Point CLO Ltd. Series 2024-4A Class C  6.125%
(3 mo. USD Term SOFR + 2.45%
)#  7/20/2037   1,300,000    1,303,886 
Brant Point CLO Ltd. Series 2024-6A Class D1  6.873%
(3 mo. USD Term SOFR + 3.20%
)#  1/15/2038   5,000,000    5,006,935 
Brant Point CLO Ltd. Series 2025-7A Class D1  6.867%
(3 mo. USD Term SOFR + 3.20%
)#  7/25/2038   6,000,000    6,012,744 
Bridge Street CLO Ltd. Series 2025-1A Class E  9.025%
(3 mo. USD Term SOFR + 5.35%
)#  4/20/2038   2,730,000    2,683,724 
Bryant Park Funding Ltd. Series 2023-20A Class BR  5.573%
(3 mo. USD Term SOFR + 1.90%
)#  4/15/2038   8,450,000    8,463,545 
Bryant Park Funding Ltd. Series 2023-20A Class ER  10.423%
(3 mo. USD Term SOFR + 6.75%
)#  4/15/2038   3,750,000    3,766,163 
Bryant Park Funding Ltd. Series 2024-22A Class E  10.803%
(3 mo. USD Term SOFR + 7.13%
)#  4/15/2037   2,500,000    2,506,563 
Bryant Park Funding Ltd. Series 2024-23A Class D1  7.503%
(3 mo. USD Term SOFR + 3.85%
)#  5/15/2037   400,000    400,020 
Bryant Park Funding Ltd. Series 2024-25A Class A2  5.275%
(3 mo. USD Term SOFR + 1.60%
)#  1/18/2038   3,000,000    3,001,551 
Cajun Global LLC Series 2025-2A Class A2  5.912%  11/20/2055   6,925,000    6,878,882 

 

20 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Canyon CLO Ltd. Series 2021-4A Class CR  5.473%
(3 mo. USD Term SOFR + 1.80%
)#  10/15/2034  $7,000,000   $6,923,308 
Canyon CLO Ltd. Series 2023-2A Class B  5.723%
(3 mo. USD Term SOFR + 2.05%
)#  5/15/2037   540,000    540,873 
Captree Park CLO Ltd. Series 2024-1A Class C  5.975%
(3 mo. USD Term SOFR + 2.30%
)#  7/20/2037   3,450,000    3,458,039 
Carlyle Global Market Strategies CLO Ltd. Series 2015-4A Class BR3  5.125%
(3 mo. USD Term SOFR + 1.45%
)#  7/20/2032   5,068,277    5,073,675 
Carlyle Global Market Strategies CLO Ltd. Series 2015-5A Class A2R4  4.875%
(3 mo. USD Term SOFR + 1.20%
)#  1/20/2032   10,365,000    10,361,289 
Carlyle U.S. CLO Ltd. Series 2019-3A Class ER3  8.621%
(3 mo. USD Term SOFR + 4.95%
)#  4/20/2039   2,650,000    2,596,046 
Carlyle U.S. CLO Ltd. Series 2021-10A Class A2R  5.245%
(3 mo. USD Term SOFR + 1.57%
)#  1/20/2038   5,000,000    5,006,815 
Carlyle U.S. CLO Ltd. Series 2021-1A Class A1BR  5.273%
(3 mo. USD Term SOFR + 1.60%
)#  1/15/2040   3,500,000    3,504,830 
Carlyle U.S. CLO Ltd. Series 2021-9A Class AR  4.785%
(3 mo. USD Term SOFR + 1.11%
)#  10/20/2034   10,000,000    10,015,910 
Carlyle U.S. CLO Ltd. Series 2022-3A Class A1R2  4.835%
(3 mo. USD Term SOFR + 1.16%
)#  4/20/2039   5,000,000    4,996,260 
Carlyle U.S. CLO Ltd. Series 2023-1A Class BR  5.375%
(3 mo. USD Term SOFR + 1.70%
)#  7/20/2037   5,500,000    5,526,477 
Carlyle U.S. CLO Ltd. Series 2023-2A Class BR  5.425%
(3 mo. USD Term SOFR + 1.75%
)#  7/20/2038   2,180,267    2,191,556 
CarVal CLO III Ltd. Series 2019-2A Class CR2  5.275%
(3 mo. USD Term SOFR + 1.60%
)#  7/20/2032   6,000,000    5,985,252 
Cathedral Lake VI Ltd. Series 2021-6A Class BR  5.517%
(3 mo. USD Term SOFR + 1.85%
)#  4/25/2034   6,000,000    6,006,474 
CBAM Ltd. Series 2018-5A Class CR  5.68%
(3 mo. USD Term SOFR + 2.00%
)#  10/17/2038   7,000,000    7,037,443 
CBAMR Ltd. Series 2018-8A Class DR  7.673%
(3 mo. USD Term SOFR + 4.00%
)#  7/15/2037   9,750,000    9,777,027 
Cherry Securitization Trust Series 2024-1A Class A  5.70%  4/15/2032   3,950,000    3,965,962 
Cherry Securitization Trust Series 2025-1A Class A  6.13%  11/15/2032   8,375,000    8,465,884 

 

  See Notes to Schedule of Investments. 21
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
CIFC Funding Ltd. Series 2014-5A Class CR3  5.83%
(3 mo. USD Term SOFR + 2.15%
)#  7/17/2037  $1,000,000   $1,001,708 
CIFC Funding Ltd. Series 2022-6A Class BR  5.43%
(3 mo. USD Term SOFR + 1.75%
)#  10/16/2038   2,000,000    2,008,662 
CIFC Funding Ltd. Series 2024-3A Class A1 

5.152%

(3 mo. USD Term SOFR + 1.48%)
#  7/21/2037   4,320,000    4,326,147 
CIFC Funding Ltd. Series 2024-4A Class A  5.03%
(3 mo. USD Term SOFR + 1.35%
)#  10/16/2037   1,000,000    1,001,371 
Clarus Capital Funding LLC Series 2026-1A Class D  5.91%  11/20/2034   6,465,000    6,449,404 
Columbia Cent CLO 33 Ltd. Series 2024-33A Class C1  6.375%
(3 mo. USD Term SOFR + 2.70%
)#  4/20/2037   2,000,000    2,006,536 
Columbia Cent CLO 34 Ltd. Series 2024-34A Class D1N  6.967%
(3 mo. USD Term SOFR + 3.30%
)#  1/25/2038   3,000,000    3,005,265 
CQS U.S. CLO 5 Ltd. Series 2025-5A Class D1  6.961%
(3 mo. USD Term SOFR + 3.15%
)#  1/17/2039   2,000,000    2,002,754 
CQS U.S. CLO 6 Ltd. Series 2026-6A Class D1  6.881%
(3 mo. USD Term SOFR + 3.20%
)#  3/31/2039   1,750,000    1,754,200 
CQS U.S. CLO Ltd. Series 2021-1A Class AR  4.875%
(3 mo. USD Term SOFR + 1.20%
)#  1/20/2035   4,500,000    4,501,697 
CQS U.S. CLO Ltd. Series 2023-3A Class BR  5.42%
(3 mo. USD Term SOFR + 1.75%
)#  1/25/2037   13,950,000    13,957,449 
CQS U.S. CLO Ltd. Series 2025-4A Class B 

5.575%

(3 mo. USD Term SOFR + 1.90%

)#  7/20/2036   5,750,000    5,756,831 
CQS U.S. CLO Ltd. Series 2025-4A Class D1  7.175%
(3 mo. USD Term SOFR + 3.50%
)#  7/20/2036   6,630,000    6,641,709 
Crockett Partners Equipment Co. IIA LLC Series 2024-1C Class A  6.05%  1/20/2031   8,333,282    8,428,908 
Crossroads Asset Trust Series 2025-A Class A2  4.91%  2/20/2032   7,921,778    7,961,296 
Crown City CLO I Series 2020-1A Class CRR  5.775%
(3 mo. USD Term SOFR + 2.10%
)#  7/20/2038   2,500,000    2,508,945 
Crown City CLO I Series 2020-1A Class D1RR  6.675%
(3 mo. USD Term SOFR + 3.00%
)#  7/20/2038   4,000,000    3,984,020 
Crown City CLO IV Series 2022-4A Class B1R  6.475%
(3 mo. USD Term SOFR + 2.80%
)#  4/20/2037   3,000,000    3,009,516 
Crown City CLO V Series 2023-5A Class BR  6.275%
(3 mo. USD Term SOFR + 2.60%
)#  4/20/2037   2,000,000    2,005,124 
Crown City CLO V Series 2023-5A Class C1AR  7.775%
(3 mo. USD Term SOFR + 4.10%
)#  4/20/2037   3,750,000    3,754,489 
Crown City CLO VI Series 2024-6A Class D1  7.173%
(3 mo. USD Term SOFR + 3.50%
)#  7/15/2037   2,750,000    2,753,630 

 

22 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Crown Point CLO 11 Ltd. Series 2021-11A Class ER  9.83%
(3 mo. USD Term SOFR + 6.15%
)#  2/28/2038  $5,000,000   $4,886,825 
CTM CLO Ltd. Series 2025-1A Class A1  5.173%
(3 mo. USD Term SOFR + 1.50%
)#  7/15/2038   10,250,000    10,282,872 
CTM CLO Ltd. Series 2025-1A Class C  6.023%
(3 mo. USD Term SOFR + 2.35%
)#  7/15/2038   13,080,000    13,146,577 
CTM CLO Ltd. Series 2025-1A Class D1  7.173%
(3 mo. USD Term SOFR + 3.50%
)#  7/15/2038   2,000,000    2,010,010 
DailyPay Securitization Trust Series 2025-1A Class A  5.63%  6/26/2028   5,725,000    5,738,840 
Danby Park CLO Ltd. Series 2022-1A Class B1R  5.372%
(3 mo. USD Term SOFR + 1.70%
)#  10/21/2037   1,250,000    1,251,865 
Dewolf Park CLO Ltd. Series 2017-1A Class D1R2  6.214%
(3 mo. USD Term SOFR + 2.55%
)#  1/22/2039   9,590,000    9,608,988 
Diameter Capital CLO 10 Ltd. Series 2025-10A Class B  5.575%
(3 mo. USD Term SOFR + 1.90%
)#  4/20/2038   3,500,000    3,507,098 
Diameter Capital CLO 12 Ltd. Series 2025-12A Class A  4.915%
(3 mo. USD Term SOFR + 1.24%
)#  10/20/2038   8,650,000    8,656,358 
Diameter Capital CLO 2 Ltd. Series 2021-2A Class A2R  5.473%
(3 mo. USD Term SOFR + 1.80%
)#  10/15/2037   2,000,000    2,006,072 
Diameter Capital CLO 4 Ltd. Series 2022-4A Class ARR  4.903%
(3 mo. USD Term SOFR + 1.23%
)#  1/15/2039   15,360,000    15,368,294 
Diameter Capital CLO 5 Ltd. Series 2023-5A Class A1R  4.913%
(3 mo. USD Term SOFR + 1.24%
)#  1/15/2039   11,720,000    11,740,510 
Diameter Capital CLO 6 Ltd. Series 2024-6A Class A1R  4.953%
(3 mo. USD Term SOFR + 1.28%
)#  4/15/2039   10,000,000    10,027,500 
Driven Brands Funding LLC Series 2025-1A Class A2  5.296%  10/20/2055   6,557,050    5,935,097 
Dryden 104 CLO Ltd. Series 2022-104A Class BR  5.406%
(3 mo. USD Term SOFR + 1.75%
)#  8/20/2034   2,000,000    2,001,922 
Dryden 107 CLO Ltd. Series 2023-107A Class D1R  6.553%
(3 mo. USD Term SOFR + 2.90%
)#  8/15/2038   3,200,000    3,218,256 
Dryden 115 CLO Ltd. Series 2024-115A Class B  5.675%
(3 mo. USD Term SOFR + 2.00%
)#  4/18/2037   5,090,000    5,098,852 

 

  See Notes to Schedule of Investments. 23
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Dryden 53 CLO Ltd. Series 2017-53A Class BR  4.973%
(3 mo. USD Term SOFR + 1.30%
)#  1/15/2031  $2,070,000   $2,069,197 
Dryden 75 CLO Ltd. Series 2019-75A Class CR2  5.735%
(3 mo. USD Term SOFR + 2.06%
)#  4/15/2034   2,250,000    2,241,086 
Dryden 80 CLO Ltd. Series 2019-80A Class CRR  5.53%
(3 mo. USD Term SOFR + 1.85%
)#  1/17/2033   9,840,000    9,819,690 
Dryden 83 CLO Ltd. Series 2020-83A Class B1R  5.625%
(3 mo. USD Term SOFR + 1.95%
)#  4/18/2037   3,355,000    3,360,522 
Dryden 83 CLO Ltd. Series 2020-83A Class D1R  7.375%
(3 mo. USD Term SOFR + 3.70%
)#  4/18/2037   1,500,000    1,503,258 
Dryden 87 CLO Ltd. Series 2021-87A Class A2R  5.256%
(3 mo. USD Term SOFR + 1.60%
)#  8/20/2038   6,250,000    6,263,394 
Dryden 90 CLO Ltd. Series 2021-90A Class D1R  6.653%
(3 mo. USD Term SOFR + 3.00%
)#  11/15/2038   2,670,000    2,686,818 
Eaton Vance CLO Ltd. Series 2019-1A Class AR2  5.183%
(3 mo. USD Term SOFR + 1.51%
)#  7/15/2037   2,500,000    2,503,323 
Elara HGV Timeshare Issuer LLC Series 2025-A Class D  6.91%  1/25/2040   3,095,179    3,077,456 
Eldridge CLO Ltd. Series 2025-1A Class B  5.325%
(3 mo. USD Term SOFR + 1.65%
)#  10/20/2038   1,750,000    1,752,298 
Eldridge CLO Ltd. Series 2025-2A Class A1  4.935%
(3 mo. USD Term SOFR + 1.28%
)#  1/20/2039   5,000,000    5,008,310 
Elevation CLO Ltd. Series 2025-18A Class A1  4.915%
(3 mo. USD Term SOFR + 1.24%
)#  3/28/2038   5,800,000    5,803,445 
Elevation CLO Ltd. Series 2025-18A Class A2  5.175%
(3 mo. USD Term SOFR + 1.50%
)#  3/28/2038   4,000,000    3,997,348 
Empower CLO Ltd. Series 2023-1A Class D1R  7.517%
(3 mo. USD Term SOFR + 3.85%
)#  4/25/2038   4,000,000    4,027,536 
Empower CLO Ltd. Series 2024-2A Class A1  5.193%
(3 mo. USD Term SOFR + 1.52%
)#  7/15/2037   1,000,000    1,001,328 
Empower CLO Ltd. Series 2024-2A Class E  9.723%
(3 mo. USD Term SOFR + 6.05%
)#  7/15/2037   100,000    98,366 
eStruxture Issuer LP Series 2025-1 Class A2  5.894%  7/20/2055  CAD17,700,000    12,950,299 
Fortress Credit BSL X Ltd. Series 2021-1A Class CR  5.725%
(3 mo. USD Term SOFR + 2.05%
)#  4/20/2033  $7,000,000    6,986,308 
FS Rialto Issuer LLC Series 2025-FL10 Class A  5.046%
(1 mo. USD Term SOFR + 1.39%
)#  8/19/2042   4,270,000    4,271,837 
Galaxy 31 CLO Ltd. Series 2023-31A Class DR  6.873%
(3 mo. USD Term SOFR + 3.20%
)#  7/15/2038   4,000,000    3,983,888 
Gallatin CLO X Ltd. Series 2023-1A Class C1R  5.969%
(3 mo. USD Term SOFR + 2.30%
)#  10/14/2036   3,000,000    3,002,571 
Gallatin CLO X Ltd. Series 2023-1A Class D1R  7.269%
(3 mo. USD Term SOFR + 3.60%
)#  10/14/2036   4,500,000    4,512,744 

 

24 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Garnet CLO Ltd. Series 2025-1A Class A  5.175%
(3 mo. USD Term SOFR + 1.50%
)#  7/20/2037  $10,000,000   $10,030,150 
Garnet CLO Ltd. Series 2025-1A Class B  5.575%
(3 mo. USD Term SOFR + 1.90%
)#  7/20/2037   18,100,000    18,163,929 
Generate CLO 22 Ltd. Series 2025-22A Class E  9.175%
(3 mo. USD Term SOFR + 5.50%
)#  7/20/2038   3,000,000    3,021,897 
Generate CLO 6 Ltd. Series 6A Class AR2  5.064%
(3 mo. USD Term SOFR + 1.40%
)#  10/22/2037   1,000,000    1,001,543 
Golub Capital Partners CLO 68B Ltd. Series 2023-68A Class A2R  5.267%
(3 mo. USD Term SOFR + 1.60%
)#  7/25/2038   2,000,000    2,003,650 
Gracie Point International Funding LLC Series 2025-1A Class A  5.154%
(30 day USD SOFR Average + 1.50%
)#  8/15/2028   14,195,000    14,218,559 
GreenSky Home Improvement Issuer Trust Series 2025-1A Class A3  5.32%  3/25/2060   6,275,000    6,366,692 
Greywolf CLO IV Ltd. Series 2019-1A Class A2R2  5.48%
(3 mo. USD Term SOFR + 1.80%
)#  4/17/2034   5,800,000    5,807,389 
Greywolf CLO IV Ltd. Series 2019-1A Class B1R2  5.88%
(3 mo. USD Term SOFR + 2.20%
)#  4/17/2034   2,500,000    2,486,635 
Halsey Point CLO I Ltd. Series 2019-1A Class CR  6.025%
(3 mo. USD Term SOFR + 2.35%
)#  10/20/2037   1,900,000    1,903,422 
HalseyPoint CLO 3 Ltd. Series 2020-3A Class A1R  5.143%
(3 mo. USD Term SOFR + 1.48%
)#  7/30/2037   7,687,000    7,698,323 
HalseyPoint CLO 7 Ltd. Series 2023-7A Class A1R  5.125%
(3 mo. USD Term SOFR + 1.45%
)#  7/20/2038   20,000,000    20,059,100 
HalseyPoint CLO 7 Ltd. Series 2023-7A Class A2R  5.375%
(3 mo. USD Term SOFR + 1.70%
)#  7/20/2038   2,300,000    2,305,134 
Harvest U.S. CLO Ltd. Series 2024-1A Class CR  5.716%
(3 mo. USD Term SOFR + 2.05%
)#  4/18/2037   4,530,000    4,534,027 
Harvest U.S. CLO Ltd. Series 2025-2A Class D1  7.13%
(3 mo. USD Term SOFR + 3.45%
)#  7/17/2038   7,500,000    7,536,697 
Hayfin U.S. XII Ltd. Series 2020-12A Class A1R  4.905%
(3 mo. USD Term SOFR + 1.23%
)#  1/20/2038   3,220,000    3,221,375 
Hayfin U.S. XIV Ltd. Series 2021-14A Class A1R  4.975%
(3 mo. USD Term SOFR + 1.30%
)#  3/20/2038   3,800,000    3,805,958 
Hayfin U.S. XV Ltd. Series 2024-15A Class D1  7.93%
(3 mo. USD Term SOFR + 4.26%
)#  4/28/2037   5,910,000    5,919,899 

 

  See Notes to Schedule of Investments. 25
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
HPS Loan Management Ltd. Series 2021-16A Class BR  5.316%
(3 mo. USD Term SOFR + 1.65%
)#  1/23/2035  $5,900,000   $5,906,555 
HPS Loan Management Ltd. Series 2024-19A Class E  10.673%
(3 mo. USD Term SOFR + 7.00%
)#  4/15/2037   3,110,000    3,110,156 
ICG U.S. CLO I Ltd. Series 2023-1A Class D1R  6.875%
(3 mo. USD Term SOFR + 3.20%
)#  7/18/2038   3,000,000    3,007,953 
ICG U.S. CLO I Ltd. Series 2023-1A Class ER  10.675%
(3 mo. USD Term SOFR + 7.00%
)#  7/18/2038   3,250,000    3,262,184 
ICG U.S. CLO Ltd. Series 2014-1A Class A2A3  5.175%
(3 mo. USD Term SOFR + 1.50%
)#  10/20/2034   5,000,000    5,004,915 
ICG U.S. CLO Ltd. Series 2024-1A Class A1  5.273%
(3 mo. USD Term SOFR + 1.60%
)#  4/15/2037   5,000,000    5,008,015 
ICG U.S. CLO Ltd. Series 2024-R1A Class D1  7.317%
(3 mo. USD Term SOFR + 3.65%
)#  1/25/2038   2,250,000    2,258,888 
ICG U.S. CLO Ltd. Series 2025-1A Class D1  6.817%
(3 mo. USD Term SOFR + 3.15%
)#  7/25/2038   8,250,000    8,275,880 
ICG U.S. CLO Ltd. Series 2025-2A Class D1  6.775%
(3 mo. USD Term SOFR + 3.10%
)#  1/18/2039   5,300,000    5,308,088 
Invesco CLO Ltd. Series 2022-3A Class A1R  5.034%
(3 mo. USD Term SOFR + 1.37%
)#  10/22/2037   1,750,000    1,754,856 
Invesco U.S. CLO Ltd. Series 2024-2A Class D  7.273%
(3 mo. USD Term SOFR + 3.60%
)#  7/15/2037   3,750,000    3,763,335 
Invesco U.S. CLO Ltd. Series 2024-3A Class D  7.225%
(3 mo. USD Term SOFR + 3.55%
)#  7/20/2037   3,400,000    3,412,872 
Island Finance Trust Series 2025-1A Class A  6.54%  3/19/2035   13,649,000    13,745,890 
Jamestown CLO XIV Ltd. Series 2019-14A Class BRR  5.425%
(3 mo. USD Term SOFR + 1.75%
)#  10/20/2034   7,770,000    7,667,459 
Katayma CLO I Ltd. Series 2023-1A Class AR  4.945%
(3 mo. USD Term SOFR + 1.27%
)#  1/20/2039   17,000,000    17,034,357 
Kennedy Lewis CLO 13 Ltd. Series 2023-13A Class A1R  4.815%
(3 mo. USD Term SOFR + 1.14%
)#  1/20/2038   14,950,000    14,940,208 
Kennedy Lewis CLO 14 Ltd. Series 2024-14A Class AR†(c)  (d)  4/22/2037   19,850,000    19,855,062 
Kennedy Lewis CLO 2 Ltd. Series 2A Class CR2  5.966%
(3 mo. USD Term SOFR + 2.30%
)#  10/22/2037   5,250,000    5,261,665 
Kennedy Lewis CLO 22 Ltd. Series 2025-22A Class C  5.625%
(3 mo. USD Term SOFR + 1.95%
)#  7/20/2038   1,319,527    1,325,574 
Kennedy Lewis CLO 4 Ltd. Series 4A Class CRR  5.875%
(3 mo. USD Term SOFR + 2.20%
)#  7/20/2037   4,250,000    4,257,506 
KKR CLO 18 Ltd. Series 18 Class BR2  5.225%
(3 mo. USD Term SOFR + 1.55%
)#  10/18/2035   10,000,000    10,011,010 

 

26 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
KKR CLO 23 Ltd. Series 23 Class CR  5.575%
(3 mo. USD Term SOFR + 1.90%
)#  10/20/2031  $1,250,000   $1,251,268 
KKR CLO 28 Ltd. Series 28A Class AR2  4.80%
(3 mo. USD Term SOFR + 1.12%
)#  2/9/2035   7,340,000    7,343,531 
KKR CLO 29 Ltd. Series 29A Class CR  6.173%
(3 mo. USD Term SOFR + 2.50%
)#  7/15/2037   1,000,000    1,002,365 
KKR CLO 32 Ltd. Series 32A Class CR  6.173%
(3 mo. USD Term SOFR + 2.50%
)#  4/15/2037   2,140,000    2,145,160 
KKR CLO 34 Ltd. Series 34A Class AR  4.773%
(3 mo. USD Term SOFR + 1.10%
)#  7/15/2034   1,250,000    1,250,938 
KKR CLO 36 Ltd. Series 36A Class BR  5.423%
(3 mo. USD Term SOFR + 1.75%
)#  10/15/2034   1,250,000    1,251,996 
KKR CLO 36 Ltd. Series 36A Class CR  5.623%
(3 mo. USD Term SOFR + 1.95%
)#  10/15/2034   9,120,000    9,082,024 
KKR CLO 42 Ltd. Series 42A Class CR  5.575%
(3 mo. USD Term SOFR + 1.90%
)#  7/20/2034   6,100,000    6,078,302 
KKR CLO 51 Ltd. Series 2024-51A Class B  5.525%
(3 mo. USD Term SOFR + 1.85%
)#  10/20/2037   4,300,000    4,315,351 
KKR CLO 54 Ltd. Series 2024-54A Class A  4.993%
(3 mo. USD Term SOFR + 1.32%
)#  1/15/2038   4,000,000    4,009,252 
KKR CLO 61 Ltd. Series 2025-61A Class A2  5.493%
(3 mo. USD Term SOFR + 1.82%
)#  7/15/2037   5,000,000    5,007,310 
KKR CLO 61 Ltd. Series 2025-61A Class B  5.623%
(3 mo. USD Term SOFR + 1.95%
)#  7/15/2037   12,480,000    12,500,205 
KKR CLO 61 Ltd. Series 2025-61A Class D1  7.523%
(3 mo. USD Term SOFR + 3.85%
)#  7/15/2037   2,980,000    2,989,086 
KKR CLO 63 Ltd. Series 2026-63A Class A1  4.86%
(3 mo. USD Term SOFR + 1.18%
)#  4/20/2039   10,000,000    10,003,890 
Lendmark Funding Trust Series 2025-1A Class E  8.91%  9/20/2034   5,000,000    5,139,790 
Lendmark Funding Trust Series 2026-1A Class D†(c)  5.90%  11/20/2035   7,850,000    7,861,959 
Madison Park Funding LXXIII Ltd. Series 2025-73A Class C  5.58%
(3 mo. USD Term SOFR + 1.90%
)#  10/17/2038   8,750,000    8,782,524 
Magnetite XXXI Ltd. Series 2021-31A Class A1R  4.673%
(3 mo. USD Term SOFR + 1.00%
)#  7/15/2034   6,475,000    6,467,230 
Man U.S. CLO Ltd. Series 2024-1A Class D1  7.625%
(3 mo. USD Term SOFR + 3.95%
)#  7/20/2037   1,500,000    1,505,175 
Man U.S. CLO Ltd. Series 2024-1A Class E  10.755%
(3 mo. USD Term SOFR + 7.08%
)#  7/20/2037   2,520,000    2,528,225 
Marble Point CLO XV Ltd. Series 2019-1A Class BR2  5.266%
(3 mo. USD Term SOFR + 1.60%
)#  7/23/2032   6,390,000    6,396,313 
Marble Point CLO XXII Ltd. Series 2021-2A Class BR  5.367%
(3 mo. USD Term SOFR + 1.70%
)#  7/25/2034   4,800,000    4,802,606 

 

  See Notes to Schedule of Investments. 27
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Marble Point CLO XXIV Ltd. Series 2022-1A Class A1R  4.765%
(3 mo. USD Term SOFR + 1.09%
)#  4/20/2035  $12,990,000   $12,983,505 
Mariner Finance Issuance Trust Series 2024-AA Class E  9.02%  9/22/2036   7,784,000    7,963,435 
Mariner Finance Issuance Trust Series 2025-AA Class E  8.64%  5/20/2038   5,750,000    5,894,019 
Mariner Finance Issuance Trust Series 2025-BA Class D  5.84%  11/22/2038   9,000,000    8,988,726 
Mariner Finance Issuance Trust Series 2025-BA Class E  7.51%  11/22/2038   10,114,000    10,072,416 
Market Street CLO Ltd. II Series 2025-2A Class D1  6.925%
(3 mo. USD Term SOFR + 3.25%
)#  3/20/2038   3,750,000    3,759,210 
Menlo CLO I Ltd. Series 2024-1A Class A1  5.095%
(3 mo. USD Term SOFR + 1.42%
)#  1/20/2038   13,750,000    13,775,589 
MidOcean Credit CLO XV Ltd. Series 2024-15A Class B  5.622%
(3 mo. USD Term SOFR + 1.95%
)#  7/21/2037   1,000,000    1,001,194 
MidOcean Credit CLO XV Ltd. Series 2024-15A Class E  9.922%
(3 mo. USD Term SOFR + 6.25%
)#  7/21/2037   2,750,000    2,757,329 
Morgan Stanley Eaton Vance CLO Ltd. Series 2023-19A Class A2R  5.323%
(3 mo. USD Term SOFR + 1.65%
)#  7/15/2038   1,500,000    1,502,792 
Mountain View CLO XVI Ltd. Series 2022-1A Class D1RR  7.363%
(3 mo. USD Term SOFR + 3.69%
)#  3/15/2038   2,450,000    2,461,089 
Mountain View CLO XVIII Ltd. Series 2024-1A Class D1  7.33%
(3 mo. USD Term SOFR + 3.65%
)#  10/16/2037   5,400,000    5,418,905 
Navesink CLO 1 Ltd. Series 2023-1A Class A1R  5.347%
(3 mo. USD Term SOFR + 1.68%
)#  7/25/2033   4,000,000    4,003,304 
Navesink CLO 2 Ltd. Series 2024-2A Class A1R  4.863%
(3 mo. USD Term SOFR + 1.19%
)#  1/15/2036   8,700,000    8,691,674 
Navesink CLO 2 Ltd. Series 2024-2A Class D1R  7.323%
(3 mo. USD Term SOFR + 3.65%
)#  1/15/2036   5,450,000    5,478,002 
Navesink CLO 3 Ltd. Series 2025-3A Class A1  5.153%
(3 mo. USD Term SOFR + 1.48%
)#  7/15/2037   5,630,000    5,635,928 
Navesink CLO 3 Ltd. Series 2025-3A Class C1  5.973%
(3 mo. USD Term SOFR + 2.30%
)#  7/15/2037   5,400,000    5,404,379 
Navesink CLO 5 Ltd. Series 2026-5A Class D1  6.757%
(3 mo. USD Term SOFR + 3.05%
)#  3/31/2039   4,250,000    4,258,479 
Neuberger Berman CLO 32R Ltd. Series 2019- 32RA Class A  4.985%
(3 mo. USD Term SOFR + 1.31%
)#  7/20/2039   26,000,000    26,058,084 
Neuberger Berman Loan Advisers CLO 50 Ltd. Series 2022-50A Class AR2  4.706%
(3 mo. USD Term SOFR + 1.04%
)#  7/23/2036   4,750,000    4,741,602 

 

28 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Neuberger Berman Loan Advisers CLO 55 Ltd. Series 2024-55A Class A2  5.364%
(3 mo. USD Term SOFR + 1.70%
)#  4/22/2038  $14,000,000   $14,018,662 
NGC CLO 2 Ltd. Series 2025-2A Class C1  5.875%
(3 mo. USD Term SOFR + 2.20%
)#  4/20/2038   7,000,000    7,022,575 
NGC CLO 2 Ltd. Series 2025-2A Class D1  7.225%
(3 mo. USD Term SOFR + 3.55%
)#  4/20/2038   5,700,000    5,682,136 
NGC Ltd. Series 2024-1A Class D1  7.875%
(3 mo. USD Term SOFR + 4.20%
)#  7/20/2037   8,000,000    8,032,072 
Oaktree CLO Ltd. Series 2021-2A Class D2R  7.173%
(3 mo. USD Term SOFR + 3.50%
)#  1/15/2035   2,000,000    1,955,668 
Oaktree CLO Ltd. Series 2022-3A Class ER  10.173%
(3 mo. USD Term SOFR + 6.50%
)#  10/15/2037   2,500,000    2,507,915 
Obra CLO 4 Ltd. Series 2026-4A Class D†(c)  (d)  7/20/2039   4,000,000    4,004,832 
Ocean Trails CLO XIV Ltd. Series 2023-14A Class CR  5.675%
(3 mo. USD Term SOFR + 2.00%
)#  1/20/2038   4,900,000    4,902,876 
Ocean Trails CLO XV Ltd. Series 2024-15A Class D1R 

6.923%

(3 mo. USD Term SOFR + 3.25%

)#  1/15/2039   3,925,000    3,916,565 
Ocean Trails CLO XV Ltd. Series 2024-15A Class D2R  8.073%
(3 mo. USD Term SOFR + 4.40%
)#  1/15/2039   1,000,000    995,917 
Ocean Trails CLO XVII Ltd. Series 2025-17A Class D1  6.775%
(3 mo. USD Term SOFR + 3.10%
)#  3/20/2038   3,050,000    3,060,965 
OCP CLO Ltd. Series 2019-17A Class BR2  5.425%
(3 mo. USD Term SOFR + 1.75%
)#  7/20/2037   1,750,000    1,752,247 
OCP CLO Ltd. Series 2024-32A Class E  10.426%
(3 mo. USD Term SOFR + 6.76%
)#  4/23/2037   2,500,000    2,508,723 
OCP CLO Ltd. Series 2024-33A Class A2  5.375%
(3 mo. USD Term SOFR + 1.70%
)#  7/20/2037   12,000,000    12,015,252 
OFSI BSL CLO XIII Ltd. Series 2024-13A Class D1  8.175%
(3 mo. USD Term SOFR + 4.50%
)#  4/20/2037   5,000,000    5,017,200 
OFSI BSL XIV CLO Ltd. Series 2024-14A Class D1  7.518%
(3 mo. USD Term SOFR + 3.85%
)#  7/20/2037   3,750,000    3,755,025 
OFSI BSL XV CLO Ltd. Series 2025-15A Class D1  7.425%
(3 mo. USD Term SOFR + 3.75%
)#  3/31/2038   10,000,000    10,047,300 
OHA Credit Funding 18 Ltd. Series 2024-18A Class A1  5.175%
(3 mo. USD Term SOFR + 1.50%
)#  4/20/2037   10,300,000    10,316,027 
OHA Credit Funding 18 Ltd. Series 2024-18A Class D1  7.125%
(3 mo. USD Term SOFR + 3.45%
)#  4/20/2037   1,760,000    1,763,604 

 

  See Notes to Schedule of Investments. 29
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
OHA Credit Partners XVII Ltd. Series 2024-17A Class A  4.995%
(3 mo. USD Term SOFR + 1.32%
)#  1/18/2038  $3,423,000   $3,428,111 
OneMain Financial Issuance Trust Series 2022-S1 Class C  4.56%  5/14/2035   5,765,000    5,753,396 
OneMain Financial Issuance Trust Series 2023-1A Class A  5.50%  6/14/2038   8,383,000    8,557,854 
Orion CLO Ltd. Series 2026-7A Class A1  4.906%
(3 mo. USD Term SOFR + 1.15%
)#  4/20/2039   10,000,000    9,972,560 
Orion CLO Ltd. Series 2026-7A Class D1  6.506%
(3 mo. USD Term SOFR + 2.75%
)#  4/20/2039   2,600,000    2,606,864 
Orion CLO Ltd. Series 2026-7A Class E  9.006%
(3 mo. USD Term SOFR + 5.25%
)#  4/20/2039   2,000,000    2,013,774 
OWN Equipment Fund I LLC Series 2024-2M Class A  5.70%  12/20/2032   5,380,617    5,410,850 
OWN Equipment Fund I LLC Series 2024-2M Class B  6.43%  12/20/2032   1,516,735    1,525,027 
Pagaya AI Debt Trust Series 2025-REV1 Class A  5.011%  8/15/2035   15,025,000    14,939,580 
Pagaya Point of Sale Holdings Grantor Trust Series 2025-1 Class A  5.715%  1/20/2034   6,950,000    6,973,883 
Palmer Square CLO Ltd. Series 2018-2A Class BR  6.18%
(3 mo. USD Term SOFR + 2.50%
)#  4/16/2037   5,000,000    5,009,115 
Palmer Square CLO Ltd. Series 2021-2A Class AR2  5.173%
(3 mo. USD Term SOFR + 1.50%
)#  2/15/2038   2,400,000    2,403,094 
Palmer Square CLO Ltd. Series 2022-5A Class A1R  5.025%
(3 mo. USD Term SOFR + 1.35%
)#  10/20/2037   1,500,000    1,502,078 
Parallel Ltd. Series 2023-1A Class A1R  5.065%
(3 mo. USD Term SOFR + 1.39%
)#  7/20/2036   5,720,000    5,727,762 
Park Blue CLO Ltd. Series 2022-1A Class A1R  5.095%
(3 mo. USD Term SOFR + 1.42%
)#  10/20/2037   9,050,000    9,080,127 
Park Blue CLO Ltd. Series 2023-3A Class A1R  5.155%
(3 mo. USD Term SOFR + 1.48%
)#  4/20/2037   4,000,000    4,010,968 
Park Blue CLO Ltd. Series 2023-3A Class D1R  7.175%
(3 mo. USD Term SOFR + 3.50%
)#  4/20/2038   12,250,000    12,242,405 
Pikes Peak CLO 16 Ltd. Series 2024-16A Class A1  5.127%
(3 mo. USD Term SOFR + 1.46%
)#  7/25/2037   1,900,000    1,902,320 
Pikes Peak CLO 3 Series 2019-3A Class ARR  5.128%
(3 mo. USD Term SOFR + 1.46%
)#  10/25/2034   1,900,000    1,902,257 

 

30 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
POLUS U.S. CLO I Ltd. Series 2024-1A Class C  6.075%
(3 mo. USD Term SOFR + 2.40%
)#  10/20/2037  $2,800,000   $2,807,448 
Polus U.S. CLO II Ltd. Series 2024-1A Class E  11.015%
(3 mo. USD Term SOFR + 7.34%
)#  10/20/2037   2,000,000    2,002,056 
Post CLO Ltd. Series 2018-1A Class ER  11.36%
(3 mo. USD Term SOFR + 7.68%
)#  10/16/2037   1,000,000    1,003,182 
Post CLO Ltd. Series 2021-1A Class BR  5.273%
(3 mo. USD Term SOFR + 1.60%
)#  10/15/2034   10,000,000    10,008,430 
Post CLO Ltd. Series 2022-1A Class AR  4.775%
(3 mo. USD Term SOFR + 1.10%
)#  4/20/2035   6,240,000    6,239,969 
Post CLO Ltd. Series 2024-1A Class B  5.775%
(3 mo. USD Term SOFR + 2.10%
)#  4/20/2037   5,000,000    5,010,180 
Post CLO Ltd. Series 2024-1A Class C  6.175%
(3 mo. USD Term SOFR + 2.50%
)#  4/20/2037   5,000,000    5,015,415 
Post CLO VI Ltd. Series 2024-2A Class C  5.775%
(3 mo. USD Term SOFR + 2.10%
)#  1/20/2038   1,000,000    1,003,305 
Post Road Equipment Finance LLC Series 2025-1A Class E  7.08%  5/17/2032   5,350,000    5,387,184 
Post Road Equipment Finance LLC Series 2026-1A Class D  5.51%  10/17/2033   5,125,000    5,131,415 
Post Road Equipment Finance LLC Series 2026-1A Class E  7.70%  1/17/2034   4,425,000    4,508,405 
PPM CLO 3 Ltd. Series 2019-3A Class A1R2  4.80%
(3 mo. USD Term SOFR + 1.12%
)#  7/17/2034   1,400,000    1,400,675 
Rad CLO 16 Ltd. Series 2022-16A Class A1R  5.223%
(3 mo. USD Term SOFR + 1.55%
)#  7/15/2037   5,000,000    5,008,020 
Rad CLO 6 Ltd. Series 2019-6A Class A1R  5.065%
(3 mo. USD Term SOFR + 1.39%
)#  10/20/2037   2,630,000    2,634,019 
Reach ABS Trust Series 2025-1A Class A  4.96%  8/16/2032   365,065    365,720 
Recette CLO Ltd. Series 2015-1A Class AR3  4.705%
(3 mo. USD Term SOFR + 1.03%
)#  4/20/2034   5,000,000    5,000,855 
Regatta 32 Funding Ltd. Series 2025-4A Class A1  5.007%
(3 mo. USD Term SOFR + 1.34%
)#  7/25/2038   5,000,000    5,018,350 
Regatta XXI Funding Ltd. Series 2021-3A Class BR  5.423%
(3 mo. USD Term SOFR + 1.75%
)#  10/15/2037   1,500,000    1,506,324 
Republic Finance Issuance Trust Series 2024-A Class D  9.49%  8/20/2032   6,200,000    6,257,840 
Republic Finance Issuance Trust Series 2024-B Class C  6.60%  11/20/2037   2,000,000    2,026,522 
     
  See Notes to Schedule of Investments. 31
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Republic Finance Issuance Trust Series 2024-B Class D  8.83%  11/20/2037  $10,115,000   $10,349,053 
Republic Finance Issuance Trust Series 2025-A Class B  4.97%  11/20/2034   8,500,000    8,481,853 
Republic Finance Issuance Trust Series 2026-A Class D  6.16%  6/20/2039   4,000,000    4,018,624 
Riserva CLO Ltd. Series 2016-3A Class AR3  4.725%
(3 mo. USD Term SOFR + 1.05%
)#  1/18/2034   1,189,863    1,190,879 
Rockford Tower CLO Ltd. Series 2021-3A Class CBR  5.873%
(3 mo. USD Term SOFR + 2.20%
)#  1/15/2038   2,250,000    2,257,616 
Romark CLO - IV Ltd. Series 2021-4A Class A1R  4.819%
(3 mo. USD Term SOFR + 1.14%
)#  7/10/2034   5,100,000    5,101,525 
Rowe CLO Ltd. Series 2026-1A Class A2  5.131%
(3 mo. USD Term SOFR + 1.45%
)#  4/20/2039   3,000,000    3,001,116 
Rowe CLO Ltd. Series 2026-1A Class C  5.581%
(3 mo. USD Term SOFR + 1.90%
)#  4/20/2039   3,000,000    3,014,409 
RR 34 Ltd. Series 2024-34RA Class DR  9.173%
(3 mo. USD Term SOFR + 5.50%
)#  10/15/2039   1,000,000    1,003,813 
RR 44 Ltd. Series 2026-44A Class A1A  4.842%
(3 mo. USD Term SOFR + 1.17%
)#  4/15/2041   2,000,000    2,002,848 
RR 5 Ltd. Series 2018-5A Class A1R  5.173%
(3 mo. USD Term SOFR + 1.50%
)#  7/15/2039   1,000,000    1,001,421 
Sagard-Halseypoint CLO 8 Ltd. Series 2024-8A Class D2  7.663%
(3 mo. USD Term SOFR + 4.00%
)#  1/30/2038   5,625,000    5,477,310 
Sagard-Halseypoint CLO 9 Ltd. Series 2025-9A Class B  5.575%
(3 mo. USD Term SOFR + 1.90%
)#  4/20/2038   3,000,000    3,013,446 
Sagard-Halseypoint CLO 9 Ltd. Series 2025-9A Class C1  5.825%
(3 mo. USD Term SOFR + 2.15%
)#  4/20/2038   1,000,000    1,003,352 
Sandstone Peak II Ltd. Series 2023-1A Class A1R  5.085%
(3 mo. USD Term SOFR + 1.41%
)#  7/20/2038   10,000,000    10,025,250 
Sandstone Peak II Ltd. Series 2023-1A Class D1R  6.975%
(3 mo. USD Term SOFR + 3.30%
)#  7/20/2038   5,000,000    4,976,940 
Sandstone Peak III Ltd. Series 2024-1A Class A1  5.297%
(3 mo. USD Term SOFR + 1.63%
)#  4/25/2037   3,500,000    3,500,175 

 

32 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Sandstone Peak III Ltd. Series 2024-1A Class A1R†(c)  (d)  4/25/2037  $4,900,000   $4,901,249 
Sandstone Peak III Ltd. Series 2024-1A Class D1  7.517%
(3 mo. USD Term SOFR + 3.85%
)#  4/25/2037   1,780,000    1,780,089 
Sandstone Peak III Ltd. Series 2024-1A Class D1R†(c)  (d)  4/25/2037   5,400,000    5,410,611 
Saratoga Investment Corp. Senior Loan Fund Ltd. Series 2022-1A Class BR  5.675%
(3 mo. USD Term SOFR + 2.00%
)#  10/20/2037   3,000,000    3,004,236 
Saratoga Investment Corp. Senior Loan Fund Ltd. Series 2022-1A Class CR  6.075%
(3 mo. USD Term SOFR + 2.40%
)#  10/20/2037   5,750,000    5,750,707 
Saratoga Investment Corp. Senior Loan Fund Ltd. Series 2022-1A Class D1R  7.325%
(3 mo. USD Term SOFR + 3.65%
)#  10/20/2037   2,750,000    2,707,829 
SCF Equipment Trust LLC Series 2025-1A Class E  6.75%  11/20/2035   3,200,000    3,313,572 
Sculptor CLO XXXVI Ltd. Series 36A Class C  5.566%
(3 mo. USD Term SOFR + 1.90%
)#  1/30/2039   1,200,000    1,203,144 
SEB Funding LLC Series 2026-1A Class A2  6.665%  1/30/2056   7,605,937    7,560,705 
Shackleton CLO Ltd. Series 2019-14A Class A1RR  4.875%
(3 mo. USD Term SOFR + 1.20%
)#  7/20/2034   2,800,000    2,800,344 
Sierra Timeshare Receivables Funding LLC Series 2024-3A Class D  6.93%  8/20/2041   1,445,071    1,451,440 
Signal Peak CLO 5 Ltd. Series 2018-5A Class A1R  5.217%
(3 mo. USD Term SOFR + 1.55%
)#  4/25/2037   4,600,000    4,607,829 
Signal Peak CLO 7 Ltd. Series 2019-1A Class CR  5.825%
(3 mo. USD Term SOFR + 2.15%
)#  10/20/2037   3,500,000    3,508,071 
Silver Point CLO 10 Ltd. Series 2025-10A Class A1  5.123%
(3 mo. USD Term SOFR + 1.45%
)#  7/15/2038   5,135,000    5,149,666 
Silver Point CLO 10 Ltd. Series 2025-10A Class B  5.473%
(3 mo. USD Term SOFR + 1.80%
)#  7/15/2038   4,500,000    4,512,685 
Silver Point CLO 6 Ltd. Series 2024-6A Class E  9.973%
(3 mo. USD Term SOFR + 6.30%
)#  10/15/2037   3,550,000    3,255,929 
Silver Point CLO 9 Ltd. Series 2025-9A Class A1  5.193%
(3 mo. USD Term SOFR + 1.52%
)#  3/31/2038   11,500,000    11,539,019 
     
  See Notes to Schedule of Investments. 33
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Sixth Street CLO VIII Ltd. Series 2017-8A Class BR2  5.475%
(3 mo. USD Term SOFR + 1.80%
)#  10/20/2034  $2,380,950   $2,382,793 
Sixth Street CLO XV Ltd. Series 2020-15A Class AR  5.037%
(3 mo. USD Term SOFR + 1.37%
)#  10/24/2037   1,500,000    1,502,133 
Sixth Street CLO XXI Ltd. Series 2022-21A Class AR  5.042%
(3 mo. USD Term SOFR + 1.37%
)#  10/21/2037   1,500,000    1,502,195 
Sona U.S. CLO 1 Ltd. Series 2026-1A Class B†(c)  (d)  4/25/2039   6,740,000    6,743,727 
Sotheby’s Artfi Master Trust Series 2026-1A Class A2  4.921%
(3 mo. USD Term SOFR + 1.25%
)#  6/20/2033   22,775,000    22,813,344 
Steele Creek CLO Ltd. Series 2022-1A Class C2R  6.673%
(3 mo. USD Term SOFR + 3.00%
)#  4/15/2038   11,000,000    11,102,058 
Stream Innovations Issuer Trust Series 2024-2A Class A  5.21%  2/15/2045   4,022,841    4,043,205 
Stream Innovations Issuer Trust Series 2025-1A Class A  5.05%  9/15/2045   4,282,238    4,290,121 
Stream Innovations Issuer Trust Series 2026-1A Class A  4.78%  8/15/2046   5,641,704    5,589,422 
Sunbit Asset Securitization Trust Series 2025-1 Class A  5.36%  7/15/2030   13,900,000    13,912,324 
Sycamore Tree CLO Ltd. Series 2021-1A Class AR  5.065%
(3 mo. USD Term SOFR + 1.39%
)#  1/20/2038   5,550,000    5,570,230 
Sycamore Tree CLO Ltd. Series 2023-3A Class BR  5.825%
(3 mo. USD Term SOFR + 2.15%
)#  4/20/2037   7,410,000    7,423,679 
Sycamore Tree CLO Ltd. Series 2025-7A Class E  9.175%
(3 mo. USD Term SOFR + 5.50%
)#  8/28/2038   2,500,000    2,488,708 
Symetra CLO Ltd. Series 2025-1A Class A1  4.965%
(3 mo. USD Term SOFR + 1.29%
)#  4/20/2038   8,765,000    8,774,387 
Thayer Park CLO Ltd. Series 2017-1A Class A1RR  4.675%
(3 mo. USD Term SOFR + 1.00%
)#  4/20/2034   10,000,000    9,998,450 
Tikehau U.S. CLO III Ltd. Series 2022-2A Class C1R  6.875%
(3 mo. USD Term SOFR + 3.20%
)#  1/20/2036   5,450,000    5,456,507 

 

34 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Tikehau U.S. CLO IV Ltd. Series 2023-1A Class C1R  5.973%
(3 mo. USD Term SOFR + 2.30%
)#  3/15/2038  $7,750,000   $7,788,750 
Tikehau U.S. CLO VII Ltd. Series 2025-1A Class C  5.667%
(3 mo. USD Term SOFR + 2.00%
)#  2/25/2038   4,750,000    4,763,024 
Tikehau U.S. CLO VIII Ltd. Series 2026-1A Class A1†(c)  4.936%
(3 mo. USD Term SOFR + 1.26%
)#  4/23/2039   12,600,000    12,616,178 
Tikehau U.S. CLO VIII Ltd. Series 2026-1A Class C1†(c)  6.126%
(3 mo. USD Term SOFR + 2.45%
)#  4/23/2039   270,000    270,045 
TPG CLO Ltd. Series 2025-1A Class D1  7.023%
(3 mo. USD Term SOFR + 3.35%
)#  7/15/2038   5,550,000    5,560,734 
Trestles CLO II Ltd. Series 2018-2A Class B2R  5.817%
(3 mo. USD Term SOFR + 2.15%
)#  7/25/2037   2,000,000    2,003,312 
Trestles CLO V Ltd. Series 2021-5A Class CR  5.925%
(3 mo. USD Term SOFR + 2.25%
)#  10/20/2034   9,250,000    9,248,733 
Trinitas CLO XIV Ltd. Series 2020-14A Class CR2  5.767%
(3 mo. USD Term SOFR + 2.10%
)#  1/25/2034   1,700,000    1,701,676 
Trinitas CLO XVI Ltd. Series 2021-16A Class B1R  5.375%
(3 mo. USD Term SOFR + 1.70%
)#  7/20/2034   4,500,000    4,502,596 
Trinitas CLO XX Ltd. Series 2022-20A Class A1R  4.715%
(3 mo. USD Term SOFR + 1.04%
)#  7/20/2035   2,050,000    2,050,533 
Trinitas CLO XXIV Ltd. Series 2024-24A Class C  6.417%
(3 mo. USD Term SOFR + 2.75%
)#  4/25/2037   9,450,000    9,482,621 
Trinitas CLO XXIX Ltd. Series 2024-29A Class A1  5.156%
(3 mo. USD Term SOFR + 1.49%
)#  7/23/2037   3,240,000    3,244,196 
Trinitas CLO XXIX Ltd. Series 2024-29A Class C  6.016%
(3 mo. USD Term SOFR + 2.35%
)#  7/23/2037   4,530,000    4,539,182 
Trinitas CLO XXVI Ltd. Series 2023-26A Class C1R  6.075%
(3 mo. USD Term SOFR + 2.40%
)#  7/20/2038   12,750,000    12,806,393 
Trinitas CLO XXVI Ltd. Series 2023-26A Class DR  7.375%
(3 mo. USD Term SOFR + 3.70%
)#  7/20/2038   1,750,000    1,753,411 
     
  See Notes to Schedule of Investments. 35
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Trinitas CLO XXVI Ltd. Series 2023-26A Class ER  10.425%
(3 mo. USD Term SOFR + 6.75%
)#  7/20/2038  $2,500,000   $2,509,350 
Trinitas CLO XXXIV Ltd. Series 2025-34A Class D1  7.664%
(3 mo. USD Term SOFR + 4.00%
)#  4/22/2038   250,000    251,958 
Verdant Receivables LLC Series 2025-1A Class D  6.49%  5/12/2033   2,750,000    2,812,695 
VFI ABS LLC Series 2025-1A Class A  4.78%  6/24/2030   6,198,745    6,214,292 
Vibrant CLO IX-R Ltd. Series 2018-9RA Class C1  5.495%
(3 mo. USD Term SOFR + 1.82%
)#  4/20/2037   1,353,000    1,336,878 
Vibrant CLO XII Ltd. Series 2021-12A Class A1A2  4.825%
(3 mo. USD Term SOFR + 1.15%
)#  4/20/2034   1,000,000    1,000,431 
Vibrant CLO XR Ltd. Series 2018-10RA Class C1  8.675%
(3 mo. USD Term SOFR + 5.00%
)#  4/20/2036   2,920,000    2,939,199 
Vibrant CLO XVI Ltd. Series 2023-16A Class C1R  7.273%
(3 mo. USD Term SOFR + 3.60%
)#  7/15/2036   5,250,000    5,259,796 
Voya CLO Ltd. Series 2015-3A Class A3R4  5.125%
(3 mo. USD Term SOFR + 1.45%
)#  10/20/2031   4,055,000    4,058,990 
Voya CLO Ltd. Series 2015-3A Class BR4  5.475%
(3 mo. USD Term SOFR + 1.80%
)#  10/20/2031   18,000,000    18,015,714 
Voya CLO Ltd. Series 2024-1A Class E  10.323%
(3 mo. USD Term SOFR + 6.65%
)#  4/15/2037   3,000,000    3,013,188 
Voya CLO Ltd. Series 2024-5A Class C  5.673%
(3 mo. USD Term SOFR + 2.00%
)#  10/15/2037   1,050,000    1,052,533 
Warwick Capital CLO 5 Ltd. Series 2024-5A Class A1  5.035%
(3 mo. USD Term SOFR + 1.36%
)#  1/20/2038   3,000,000    3,004,221 
Warwick Capital CLO 7 Ltd. Series 2025-7A Class SUB  Zero coupon#(b)  10/21/2038   2,000,000    1,515,078 
Wellfleet CLO Ltd. Series 2021-2A Class CR  5.873%
(3 mo. USD Term SOFR + 2.20%
)#  7/15/2034   13,900,000    13,916,958 
Whitebox CLO I Ltd. Series 2019-1A Class A1R3  4.847%
(3 mo. USD Term SOFR + 1.18%
)#  1/24/2037   10,565,000    10,568,412 
Whitebox CLO III Ltd. Series 2021-3A Class A1R  4.943%
(3 mo. USD Term SOFR + 1.27%
)#  10/15/2035   9,320,000    9,326,412 

 

36 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Other (continued)                
Whitebox CLO IV Ltd. Series 2023-4A Class A2R  5.475%
(3 mo. USD Term SOFR + 1.80%
)#  4/20/2036  $16,000,000   $16,022,576 
Wind River CLO Ltd. Series 2021-4A Class AR  4.902%
(3 mo. USD Term SOFR + 1.23%
)#  1/20/2035   19,050,000    19,055,086 
Wind River CLO Ltd. Series 2022-1A Class AR  5.025%
(3 mo. USD Term SOFR + 1.35%
)#  7/20/2035   6,300,000    6,305,046 
Wind River CLO Ltd. Series 2023-1A Class D1R  7.067%
(3 mo. USD Term SOFR + 3.40%
)#  7/25/2038   1,700,000    1,703,949 
Wind River CLO Ltd. Series 2024-1A Class A  5.275%
(3 mo. USD Term SOFR + 1.60%
)#  4/20/2037   10,000,000    10,000,500 
Wise CLO Ltd. Series 2025-2A Class C  5.975%
(3 mo. USD Term SOFR + 2.30%
)#  4/20/2038   7,000,000    7,035,889 
Zais CLO 17 Ltd. Series 2021-17A Class A1R  5.225%
(3 mo. USD Term SOFR + 1.55%
)#  10/20/2037   3,900,000    3,907,636 
Zais CLO 18 Ltd. Series 2022-18A Class A1R  4.987%
(3 mo. USD Term SOFR + 1.32%
)#  10/25/2037   4,750,000    4,753,581 
Zaxbys Funding LLC Series 2021-1A Class A2  3.238%  7/30/2051   6,356,985    6,063,858 
Total              2,263,603,952 
                 
Student Loan 0.07%                
Bayview Opportunity Master Fund VII LLC Series 2024-EDU1 Class B  5.245%
(30 day USD SOFR Average + 1.60%
)#  6/25/2047   2,649,580    2,663,654 
Total Asset-Backed Securities (cost $2,694,805,768)           2,689,763,788 
                 
CORPORATE BONDS 7.70%                
                 
Auto Manufacturers 0.68%                
Ford Motor Credit Co. LLC  5.681%
(SOFR + 2.03%
)#  3/20/2028   3,000,000    3,025,988 
General Motors Financial Co., Inc.  4.939%
(SOFR + 1.29%
)#  1/7/2030   10,000,000    10,026,477 
Hyundai Capital America  5.002%
(SOFR + 1.35%
)#  3/27/2030   9,000,000    9,089,120 
Nissan Motor Acceptance Co. LLC  5.703%
(SOFR + 2.05%
)#  9/13/2027   5,416,000    5,379,291 
Total              27,520,876 
     
  See Notes to Schedule of Investments. 37
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Banks 4.27%                
ABN AMRO Bank NV (Netherlands)†(e)  5.432%
(SOFR + 1.78%
)#  9/18/2027  $700,000   $703,277 
ANZ New Zealand International Ltd. (United Kingdom)†(e)  4.407%
(SOFR + 0.75%
)#  1/22/2031   6,667,000    6,670,102 
Australia & New Zealand Banking Group Ltd. (Australia)†(e)  4.248%
(SOFR + 0.59%
)#  12/8/2028   2,493,000    2,500,208 
Bank of Montreal (Canada)(e)  4.534%
(SOFR + 0.88%
)#  9/10/2027   1,000,000    1,001,475 
Bank of Nova Scotia (Canada)(e)  4.727%
(SOFR + 1.08%
)#  8/1/2029   1,570,000    1,584,763 
BPCE SA (France)†(e)  5.629%
(SOFR + 1.98%
)#  10/19/2027   250,000    251,673 
Canadian Imperial Bank of Commerce (Canada)(e)  4.583%
(SOFR + 0.93%
)#  9/11/2027   938,000    939,477 
Citibank NA  4.775%
(SOFR + 1.12%
)#  5/29/2030   6,481,000    6,538,259 
Citigroup, Inc.  4.481%
(3 mo. USD Term SOFR + 0.81%
)#  8/25/2036   10,696,000    9,827,045 
Citigroup, Inc.  4.824%
(SOFR + 1.17%
)#  9/11/2031   9,250,000    9,298,784 
Deutsche Bank AG(f)  4.967%
(SOFR + 1.30%
)#  8/4/2031   4,703,000    4,704,445 
Goldman Sachs Group, Inc.  4.728%
(SOFR + 1.08%
)#  1/28/2031   20,859,000    20,915,386 
Goldman Sachs Group, Inc.  4.938%
(SOFR + 1.29%
)#  4/23/2028   3,877,000    3,902,323 
Goldman Sachs Group, Inc.  5.503%
(SOFR + 1.85%
)#  3/15/2028   1,633,000    1,649,824 
HSBC Holdings PLC (United Kingdom)(e)  4.689%
(SOFR + 1.03%
)#  3/3/2029   5,000,000    5,016,030 
Huntington National Bank  4.369%
(SOFR + 0.72%
)#  4/12/2028   3,777,000    3,779,161 
JPMorgan Chase & Co.  4.448%
(SOFR + 0.80%
)#  1/24/2029   5,000,000    5,012,325 
JPMorgan Chase & Co.  4.578%
(SOFR + 0.93%
)#  7/22/2028   1,967,000    1,973,483 
Lloyds Banking Group PLC (United Kingdom)(e)  4.721%
(SOFR + 1.06%
)#  11/26/2028   5,000,000    5,026,150 

 

38 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Banks (continued)                
Lloyds Banking Group PLC (United Kingdom)(e)  4.769%
(SOFR + 1.10%
)#  11/4/2031  $17,660,000   $17,673,531 
Morgan Stanley  4.568%
(SOFR + 0.92%
)#  10/18/2029   10,000,000    10,011,442 
Morgan Stanley  4.619%
(SOFR + 0.97%
)#  4/10/2030   5,000,000    5,008,042 
Morgan Stanley  5.031%
(SOFR + 1.38%
)#  4/12/2029   6,000,000    6,068,187 
Morgan Stanley Bank NA  4.523%
(SOFR + 0.87%
)#  5/26/2028   800,000    801,404 
NatWest Group PLC (United Kingdom)(e)  4.965%
(SOFR + 1.30%
)#  11/15/2028   200,000    201,756 
NatWest Markets PLC (United Kingdom)†(e)  4.601%
(SOFR + 0.95%
)#  3/21/2028   3,959,000    3,978,943 
NatWest Markets PLC (United Kingdom)†(e)  4.804%
(SOFR + 1.14%
)#  5/17/2029   5,528,000    5,571,736 
Societe Generale SA (France)†(e)  4.763%
(SOFR + 1.10%
)#  2/19/2027   710,000    713,404 
Standard Chartered PLC (United Kingdom)†(e)  4.569%
(SOFR + 0.92%
)#  1/13/2030   10,000,000    10,006,604 
Swedbank AB (Sweden)†(e)  4.692%
(SOFR + 1.03%
)#  11/20/2029   1,824,000    1,844,287 
Toronto-Dominion Bank (Canada)(e)  4.467%
(SOFR + 0.82%
)#  1/31/2028   2,413,000    2,423,459 
Toronto-Dominion Bank (Canada)(e)  4.683%
(SOFR + 1.03%
)#  12/17/2029   4,000,000    4,020,489 
U.S. Bank NA  4.574%
(SOFR + 0.91%
)#  5/15/2028   7,007,000    7,034,634 
Wells Fargo & Co.  5.018%
(SOFR + 1.37%
)#  4/23/2029   5,000,000    5,061,446 
Total              171,713,554 
                 
Diversified Financial Services 0.72%                
American Express Co.(f)  4.666%
(SOFR + 1.02%
)#  1/30/2031   6,000,000    5,989,486 
American Express Co.  4.908%
(SOFR + 1.26%
)#  4/25/2029   6,000,000    6,067,434 
Bread Financial Holdings, Inc.  6.75%  5/15/2031   8,823,000    9,024,994 
ILFC E-Capital Trust I  6.38%#  12/21/2065   9,201,000    7,893,795 
Total              28,975,709 
     
  See Notes to Schedule of Investments. 39
   

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Health Care-Services 0.03%                
HCA, Inc.  4.528%
(SOFR + 0.87%
)#  3/1/2028  $1,134,000   $1,137,810 
                 
Insurance 0.36%                
Athene Global Funding  4.521%
(SOFR + 0.83%
)#  1/7/2027   3,000,000    3,001,395 
Corebridge Global Funding  4.399%
(SOFR + 0.75%
)#  1/7/2028   2,071,000    2,069,167 
F&G Global Funding  4.98%
(SOFR + 1.33%
)#  9/8/2028   7,355,000    7,377,447 
Jackson National Life Global Funding  4.62%
(SOFR + 0.97%
)#  1/14/2028   2,161,000    2,165,289 
Total              14,613,298 
                 
Mining 0.14%                
Glencore Funding LLC  4.401%
(SOFR + 0.75%
)#  10/1/2026   2,064,000    2,066,970 
Glencore Funding LLC  4.71%
(SOFR + 1.06%
)#  4/4/2027   1,737,000    1,743,814 
Rio Tinto Finance USA PLC (United Kingdom)(e)  4.493%
(SOFR + 0.84%
)#  3/14/2028   1,844,000    1,850,854 
Total              5,661,638 
                 
Oil & Gas 0.28%                
Chevron USA, Inc.  4.471%
(SOFR + 0.82%
)#  10/15/2030   11,156,000    11,282,908 
                 
Pipelines 0.19%                
Energy Transfer LP  6.943%
(3 mo. USD Term SOFR + 3.28%
)#  11/1/2066   1,323,000    1,313,003 
Plains All American Pipeline LP  8.024%
(3 mo. USD Term SOFR + 4.37%
)#  (g)   6,086,000    6,101,229 
Total              7,414,232 
                 
REITS 0.18%                
Brixmor Operating Partnership LP  5.375%  6/15/2036   3,016,000    3,009,890 
Vornado Realty LP  5.75%  2/1/2033   4,179,000    4,187,245 
Total              7,197,135 
                 
Semiconductors 0.13%                
Intel Corp.  5.00%  8/15/2033   5,200,000    5,181,250 
   
40 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Software 0.34%              
Oracle Corp.  4.429%
(SOFR + 0.76%
)#  8/3/2028  $5,177,000   $5,084,226 
Oracle Corp.  4.777%
(SOFR + 1.11%
)#  2/4/2029   8,642,000    8,584,100 
Total              13,668,326 
                 
Telecommunications 0.38%                
NTT Finance Corp. (Japan)†(e)  4.967%
(SOFR + 1.31%
)#  7/16/2030   6,000,000    6,103,351 
QTS Fayetteville I Dc1-2 LLC/QTS TRS Fayetteville I DC1-2 LLC  5.70%  4/15/2036   9,579,000    9,320,214 
Total              15,423,565 
Total Corporate Bonds (cost $308,687,544)              309,790,301 
                 
FLOATING RATE LOANS(h) 9.12%                
                 
Aerospace & Defense 0.26%                
TransDigm, Inc. 2025 Term Loan K  5.902%
(1 mo. USD Term SOFR + 2.25%
) 3/22/2030   7,651,550    7,672,018 
TransDigm, Inc. 2026 Term Loan N  (d)  2/13/2033   2,965,000    2,973,257 
Total              10,645,275 
                 
Airlines 0.28%                
OneSky Flight LLC 2026 Term Loan B  6.418%
(1 mo. USD Term SOFR + 2.75%
) 2/17/2033   8,160,000    8,190,641 
VistaJet Malta Finance PLC 2025 Term Loan B  7.442%
(3 mo. USD Term SOFR + 3.75%
) 4/1/2031   3,080,145    3,060,894 
Total              11,251,535 
                 
Auto Parts & Equipment 0.12%                
Clarios Global LP 2024 USD Term Loan B (Canada)(e)  6.152%
(1 mo. USD Term SOFR + 2.50%
) 5/6/2030   4,855,635    4,882,948 
                 
Beverages 0.20%                
Primo Brands Corp. 2026 Term Loan B  6.432%
(3 mo. USD Term SOFR + 2.75%
) 3/31/2031   7,983,000    8,042,553 
                 
Biotechnology 0.19%                
Grifols Worldwide Operations USA, Inc. 2026 USD Term Loan B  6.187%
(6 mo. USD Term SOFR + 2.50%
) 4/14/2033   7,792,316    7,819,434 
     
  See Notes to Schedule of Investments. 41
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Chemicals 0.45%                
Nouryon Finance BV 2024 USD Term Loan B1 (Netherlands)(e)  6.936%
(6 mo. USD Term SOFR + 3.25%
) 4/3/2028  $7,900,000   $7,865,438 
SCIH Salt Holdings, Inc. 2025 Repriced Term Loan B  6.35%
(6 mo. USD Term SOFR + 2.75%
) 1/31/2029   6,081,346    6,107,465 
Solstice Advanced Materials, Inc. Term Loan B  5.413%
(3 mo. USD Term SOFR + 1.75%
) 10/29/2032   4,000,000    4,033,140 
Total              18,006,043 
                 
Commercial Services 0.47%                
Albion Financing 3 SARL 2025 USD Term Loan (Luxembourg)(e)  6.664%
(3 mo. USD Term SOFR + 3.00%
) 5/21/2031   9,804,304    9,864,355 
Garda World Security Corp. 2026 Term Loan B (Canada)(e)  6.419%
(3 mo. USD Term SOFR + 2.75%
) 2/1/2029   8,950,000    8,955,594 
Total              18,819,949 
                 
Computers 0.10%                
Surf Holdings LLC 2025 Incremental Term Loan  7.267%
(1 mo. USD Term SOFR + 3.50%
) 3/5/2027   3,989,425    3,872,235 
                 
Consumer Cyclicals 0.25%                
Lowes Cos., Inc. Delayed Draw Term Loan  4.661%
(1 mo. USD Term SOFR + 1.00%
) 9/15/2028   10,000,000    9,962,500 
                 
Cosmetics/Personal Care 0.09%                
Olaplex, Inc. 2022 Term Loan  7.273%
(3 mo. USD Term SOFR + 3.50%
) 2/23/2029   3,742,482    3,752,811 
                 
Diversified Financial Services 1.05%                
Avolon TLB Borrower 1 U.S. LLC 2023 Term Loan B6  5.411%
(1 mo. USD Term SOFR + 1.75%
) 6/24/2030   7,605,725    7,644,514 
Citadel Securities LP 2024 First Lien Term Loan  5.70%
(3 mo. USD Term SOFR + 2.00%
) 10/31/2031   178,238    179,104 
Citadel Securities LP 2024 Term Loan B  5.668%
(1 mo. USD Term SOFR + 2.00%
) 7/29/2030   99,001    99,482 
DRW Holdings LLC 2024 Term Loan B  7.152%
(1 mo. USD Term SOFR + 3.50%
) 6/26/2031   6,921,440    6,878,181 
Guggenheim Partners LLC 2024 Term Loan B  6.20%
(3 mo. USD Term SOFR + 2.50%
) 11/26/2031   8,803,028    8,836,039 
   
42 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Diversified Financial Services (continued)               
Hudson River Trading LLC 2026 Repriced Term Loan B  6.161%
(1 mo. USD Term SOFR + 2.50%
) 3/18/2030  $10,659,363   $10,700,668 
Jane Street Group LLC 2024 Term Loan B1  5.673%
(3 mo. USD Term SOFR + 2.00%
) 12/15/2031   8,040,569    8,036,549 
Total              42,374,537 
                 
Electric 0.84%                
Astoria Energy LLC 2025 Term Loan B  5.902% - 5.95%
(1 mo. USD Term SOFR + 2.25%
(3 mo. USD Term SOFR + 2.25%
)
)
6/23/2032   3,933,103    3,951,844 
Cornerstone Generation LLC Term Loan B  5.913%
(3 mo. USD Term SOFR + 2.25%
) 8/11/2032   2,682,524    2,693,066 
CPV Three Rivers LLC Term Loan B  6.423%
(3 mo. USD Term SOFR + 2.75%
) 4/15/2033   6,450,000    6,482,283 
Indeck Niles LLC Term Loan B  6.419%
(3 mo. USD Term SOFR + 2.75%
) 3/9/2033   7,500,000    7,537,500 
NRG Energy, Inc. 2024 Term Loan  5.409% - 5.42%
(1 mo. USD Term SOFR + 1.75%
(3 mo. USD Term SOFR + 1.75%
)
)
4/16/2031   13,010,143    13,052,556 
Total              33,717,249 
                 
Electronics 0.22%                
Amphenol Corp. 3 Year Delayed Draw Term Loan  4.536%
(1 mo. USD Term SOFR + 0.88%
) 8/22/2028   6,779,000    6,762,053 
Honeywell International, Inc. Term Loan A1  4.527%
(1 mo. USD Term SOFR + 0.88%
) 5/7/2027   2,062,500    2,062,500 
Total              8,824,553 
                 
Entertainment 0.16%                
GVC Holdings Gibraltar Ltd. 2024 EUR Term Loan B4  5.635%
(3 mo. EURIBOR + 3.50%
) 6/30/2028  EUR 44,146    52,388 
                 
TKO Worldwide Holdings LLC 2025 Term Loan  5.664%
(3 mo. USD Term SOFR + 2.00%
) 11/21/2031  $6,184,422    6,208,046 
Total              6,260,434 
                 
Environmental Control 0.55%                
GFL Environmental, Inc. 2025 Term Loan B (Canada)(e)  6.166%
(3 mo. USD Term SOFR + 2.50%
) 3/3/2032   6,818,988    6,842,445 
Madison IAQ LLC 2025 Repriced Term Loan  6.378%
(6 mo. USD Term SOFR + 2.75%
) 11/8/2032   8,260,121    8,294,731 
     
  See Notes to Schedule of Investments. 43
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Environmental Control (continued)               
Reworld Holding Corp. 2025 1st Lien Term Loan B  5.904%
(1 mo. USD Term SOFR + 2.25%)
  1/15/2031  $6,882,750   $6,899,957 
Total              22,037,133 
                 
Food 0.17%                
Chobani LLC 2025 Term Loan B  5.902%
(1 mo. USD Term SOFR + 2.25%
) 10/28/2032   6,783,000    6,829,023 
                 
Health Care Services 0.10%                
Surgery Center Holdings, Inc. 2025 Term Loan B  6.152%
(1 mo. USD Term SOFR + 2.50%
) 12/19/2030   3,976,162    3,991,371 
                 
Home Furnishings 0.15%                
AI Aqua Merger Sub, Inc. 2026 Term Loan B  6.161%
(1 mo. USD Term SOFR + 2.50%
(3 mo. USD Term SOFR + 2.50%
)
)
7/31/2028   6,195,000    6,217,705 
                 
Household Equipment/Products 0.24%                
GC Ferry Acquisition I, Inc. Delayed Draw Term Loan(i)  (d)  8/16/2032   1,426,487    1,424,904 
GC Ferry Acquisition I, Inc. Term Loan  7.20%
(3 mo. USD Term SOFR + 3.50%
) 8/16/2032   8,334,251    8,325,000 
Total              9,749,904 
                 
Household Products 0.11%                
Reynolds Consumer Products LLC 2025 Term Loan B  5.402%
(1 mo. USD Term SOFR + 1.75%
) 3/4/2032   4,448,541    4,478,435 
                 
Insurance 0.33%                
Asurion LLC 2025 Term Loan B13  7.913%
(3 mo. USD Term SOFR + 4.25%
) 9/19/2030   4,738,065    4,746,523 
Asurion LLC 2026 Term Loan B14  7.413%
(3 mo. USD Term SOFR + 3.75%
) 2/23/2033   4,487,180    4,422,228 
Lockton, Inc. Term Loan B  (d)  4/22/2033   3,946,000    3,960,797 
Total              13,129,548 
                 
Internet 0.07%                
Arches Buyer, Inc. 2021 Term Loan B  (d)  12/6/2027   2,977,000    2,977,372 
                 
Leisure Time 0.20%                
Peloton Interactive, Inc. 2024 Term Loan B  9.152%
(1 mo. USD Term SOFR + 5.50%
) 5/30/2029   8,185,949    8,242,268 
   
44 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Machinery: Diversified 0.35%                
CPM Holdings, Inc. 2023 Term Loan  8.165%
(1 mo. USD Term SOFR + 4.50%
) 9/28/2028  $3,989,796   $3,998,374 
TK Elevator Midco GmbH 2026 USD Term Loan B (Germany)(e)  6.442%
(3 mo. USD Term SOFR + 2.75%
) 4/30/2030   9,844,000    9,932,202 
Total              13,930,576 
                 
Media 0.60%                
Charter Communications Operating LLC 2023 Term Loan B4  5.692%
(3 mo. USD Term SOFR + 2.00%
) 12/7/2030   6,539,104    6,540,216 
Charter Communications Operating LLC 2024 Term Loan B5  5.942%
(3 mo. USD Term SOFR + 2.25%
) 12/15/2031   8,761,607    8,766,645 
Telenet Financing USD LLC 2020 USD Term Loan AR  5.769%
(1 mo. USD Term SOFR + 2.00%
) 4/28/2028   5,125,000    5,107,549 
Virgin Media Bristol LLC 2023 USD Term Loan Y  (d)  3/31/2031   4,000,000    3,752,920 
Total              24,167,330 
                 
Oil & Gas 0.14%                
Hilcorp Energy I LP Term Loan B  5.411%
(1 mo. USD Term SOFR + 1.75%
) 2/11/2030   5,653,697    5,674,898 
                 
Pharmaceuticals 0.15%                
Organon & Co. 2024 USD Term Loan  5.902%
(1 mo. USD Term SOFR + 2.25%
) 5/19/2031   5,892,305    5,897,461 
                 
Pipelines 0.49%                
Colossus Acquireco LLC Term Loan B  5.38%
(3 mo. USD Term SOFR + 1.75%
) 7/30/2032   3,724,392    3,729,048 
Gray Oak Pipeline LLC Delayed Draw Term Loan  5.023%
(3 mo. USD Term SOFR + 1.35%
) 10/14/2026   3,500,000    3,489,248 
Oryx Midstream Services Permian Basin LLC 2025 Term Loan B  (d)  10/5/2028   3,989,900    4,007,915 
Rockpoint Gas Storage Partners LP 2025 Repriced Term Loan B  (d)  9/18/2031   3,989,899    4,005,958 
Traverse Midstream Partners LLC 2026 Term Loan B  (d)  4/21/2033   4,350,000    4,362,245 
Total              19,594,414 
                 
Real Estate Investment Trusts 0.36%                
Blackstone Mortgage Trust, Inc. 2025 Term Loan B  6.152%
(1 mo. USD Term SOFR + 2.50%
) 12/20/2032   3,790,500    3,801,189 
     
  See Notes to Schedule of Investments. 45
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Real Estate Investment Trusts (continued)               
Blackstone Mortgage Trust, Inc. 2026 Repriced Term Loan  6.152%
(1 mo. USD Term SOFR + 2.50%
) 12/10/2030  $5,391,251   $5,397,991 
Host Hotels & Resorts LP 2023 Term Loan A2  4.552%
(1 mo. USD Term SOFR + 0.90%
) 1/4/2028   917,000    910,122 
Invitation Homes Operating Partnership LP 2024 Term Loan  4.503%
(1 mo. USD Term SOFR + 0.85%
) 9/9/2028   4,632,000    4,562,520(j) 
Total              14,671,822 
                 
Retail 0.18%                
Murphy USA, Inc. Term Loan B  5.415%
(1 mo. USD Term SOFR + 1.75%
) 4/7/2032   3,188,975    3,216,879 
Peer Holding III BV 2025 USD Term Loan B (Netherlands)(e)  5.95%
(3 mo. USD Term SOFR + 2.25%
) 10/14/2032   3,900,000    3,908,287 
Total              7,125,166 
                 
Software 0.12%                
UKG, Inc. 2024 Term Loan B  6.163%
(3 mo. USD Term SOFR + 2.50%
) 2/10/2031   3,989,975    3,856,829 
VCI Asset Holdings 3 LLC Fixed Term Loan  6.875%  4/24/2031   891,000    882,090(j) 
Total              4,738,919 
                 
Transportation 0.13%                
Rand Parent LLC 2025 Term Loan B  6.70%
(3 mo. USD Term SOFR + 3.00%
) 3/18/2030   5,246,093    5,273,819 
Total Floating Rate Loans (cost $366,330,736)              366,959,220 
                 
FOREIGN GOVERNMENT OBLIGATIONS(e) 1.62%                
                 
Finland 0.87%                
Kuntarahoitus OYJ  4.649%
(SOFR + 1.00%
)#  7/15/2026   34,900,000    34,958,807 
                 
Japan 0.49%                
Japan Bank for International Cooperation  2.875%  6/1/2027   20,000,000    19,756,703 
                 
Norway 0.25%                
Kommunalbanken AS  4.653%
(SOFR + 1.00%
)#  6/17/2026   10,000,000    10,011,274 
                 
South Korea 0.01%                
Korea National Oil Corp.  4.557%
(SOFR + 0.90%
)#  9/30/2027   302,000    303,577 
Total Foreign Government Obligations (cost $65,113,409)              65,030,361 
   
46 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
GOVERNMENT SPONSORED ENTERPRISES COLLATERALIZED MORTGAGE OBLIGATIONS 4.95%       
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2022-DNA2 Class B2  12.145%
(30 day USD SOFR Average + 8.50%
)#  2/25/2042  $1,720,000   $1,813,768 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2022-DNA3 Class M2  7.995%
(30 day USD SOFR Average + 4.35%
)#  4/25/2042   9,500,000    9,802,404 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2022-HQA1 Class B2  14.645%
(30 day USD SOFR Average + 11.00%
)#  3/25/2042   3,200,000    3,460,232 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2022-HQA1 Class M2  8.895%
(30 day USD SOFR Average + 5.25%
)#  3/25/2042   7,250,000    7,508,516 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2022-HQA3 Class A1  5.495%
(30 day USD SOFR Average + 1.85%
)#  11/25/2043   772,528    777,322 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2023-HQA1 Class M1A  5.645%
(30 day USD SOFR Average + 2.00%
)#  5/25/2043   2,627,550    2,645,910 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2023-HQA3 Class M1  5.495%
(30 day USD SOFR Average + 1.85%
)#  11/25/2043   7,577,158    7,620,999 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2024-DNA1 Class A1  4.995%
(30 day USD SOFR Average + 1.35%
)#  2/25/2044   3,903,446    3,921,897 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2024-DNA2 Class A1  4.895%
(30 day USD SOFR Average + 1.25%
)#  5/25/2044   13,177,890    13,237,083 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2024-DNA2 Class M1  4.845%
(30 day USD SOFR Average + 1.20%
)#  5/25/2044   1,618,192    1,619,356 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2024-DNA3 Class A1  4.695%
(30 day USD SOFR Average + 1.05%
)#  10/25/2044   6,608,250    6,623,399 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2024-HQA1 Class A1  4.895%
(30 day USD SOFR Average + 1.25%
)#  3/25/2044   14,561,373    14,617,270 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2024-HQA1 Class M1  4.895%
(30 day USD SOFR Average + 1.25%
)#  3/25/2044   3,235,636    3,237,565 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2024-HQA2 Class A1  4.895%
(30 day USD SOFR Average + 1.25%
)#  8/25/2044   10,771,667    10,820,156 

 

  See Notes to Schedule of Investments. 47
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
GOVERNMENT SPONSORED ENTERPRISES COLLATERALIZED MORTGAGE OBLIGATIONS (continued)       
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2025-DNA1 Class A1  4.595%
(30 day USD SOFR Average + 0.95%
)#  1/25/2045  $1,910,020   $1,912,107 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2025-DNA2 Class A1  4.745%
(30 day USD SOFR Average + 1.10%
)#  5/25/2045   2,021,000    2,028,605 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2025-DNA4 Class A1  4.545%
(30 day USD SOFR Average + 0.90%
)#  10/25/2045   7,711,250    7,718,044 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2025-HQA1 Class A1  4.595%
(30 day USD SOFR Average + 0.95%
)#  2/25/2045   693,208    694,339 
Federal National Mortgage Association Connecticut Avenue Securities Series 2024-R05 Class 2A1  4.645%
(30 day USD SOFR Average + 1.00%
)#  7/25/2044   731,945    733,199 
Federal National Mortgage Association Connecticut Avenue Securities Series 2025-R02 Class 1A1  4.645%
(30 day USD SOFR Average + 1.00%
)#  2/25/2045   6,130,557    6,142,628 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2021-R01 Class 1B1  6.745%
(30 day USD SOFR Average + 3.10%
)#  10/25/2041   9,575,000    9,670,396 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2022-R02 Class 2B2  11.295%
(30 day USD SOFR Average + 7.65%
)#  1/25/2042   3,117,000    3,253,417 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2022-R06 Class 1B2  14.245%
(30 day USD SOFR Average + 10.60%
)#  5/25/2042   5,027,000    5,489,518 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2022-R07 Class 1B2  15.645%
(30 day USD SOFR Average + 12.00%
)#  6/25/2042   3,378,300    3,769,485 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2023-R01 Class 1M2  7.395%
(30 day USD SOFR Average + 3.75%
)#  12/25/2042   4,750,000    4,948,474 

 

48 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
GOVERNMENT SPONSORED ENTERPRISES COLLATERALIZED MORTGAGE OBLIGATIONS (continued)
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2023-R04 Class 1B2  11.895%
(30 day USD SOFR Average + 8.25%
)#  5/25/2043  $3,350,000   $3,760,249 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2024-R04 Class 1A1  4.645%
(30 day USD SOFR Average + 1.00%
)#  5/25/2044   9,520,565    9,533,333 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2024-R06 Class 1A1  4.795%
(30 day USD SOFR Average + 1.15%
)#  9/25/2044   1,635,064    1,640,794 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2025-R03 Class 2M1  5.245%
(30 day USD SOFR Average + 1.60%
)#  3/25/2045   2,155,389    2,160,187 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2025-R04 Class 1A1  4.645%
(30 day USD SOFR Average + 1.00%
)#  5/25/2045   3,498,134    3,504,054 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2025-R05 Class 2A1  4.645%
(30 day USD SOFR Average + 1.00%
)#  7/25/2045   12,879,027    12,911,028 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2025-R05 Class 2M1  4.845%
(30 day USD SOFR Average + 1.20%
)#  7/25/2045   11,666,279    11,678,964 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2026-R01 Class 2A1  4.495%
(30 day USD SOFR Average + 0.85%
)#  1/25/2046   856,905    857,180 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2026-R01 Class 2M1  4.645%
(30 day USD SOFR Average + 1.00%
)#  1/25/2046   9,709,036    9,715,129 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2026-R03 Class 2A1  4.74%
(30 day USD SOFR Average + 1.10%
)#  4/25/2046   9,405,000    9,410,812 
Total Government Sponsored Enterprises Collateralized Mortgage Obligations
(cost $199,723,900)
         199,237,819 

 

  See Notes to Schedule of Investments. 49
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
NON-AGENCY COMMERCIAL MORTGAGE-BACKED SECURITIES 7.37%     
1301 Trust Series 2025-1301 Class A  5.227%#(k)  8/11/2042  $6,700,000   $6,735,986 
1345 Trust Series 2025-AOA Class A  5.255%
(1 mo. USD Term SOFR + 1.60%
)#  6/15/2042   2,660,000    2,663,913 
ALA Trust Series 2025-OANA Class A  5.398%
(1 mo. USD Term SOFR + 1.74%
)#  6/15/2040   3,320,000    3,337,469 
Arbor Realty Commercial Real Estate Notes LLC Series 2025-FL1 Class A  5.015%
(1 mo. USD Term SOFR + 1.35%
)#  1/20/2043   4,235,235    4,234,639 
Arbor Realty Commercial Real Estate Notes LLC Series 2025-FL1 Class AS  5.494%
(1 mo. USD Term SOFR + 1.83%
)#  1/20/2043   4,120,000    4,124,029 
ARDN Mortgage Trust Series 2025-ARCP Class A  5.405%
(1 mo. USD Term SOFR + 1.75%
)#  6/15/2035   1,360,000    1,364,657 
ARES Commercial Mortgage Trust Series 2026-AZURE Class A  5.005%
(1 mo. USD Term SOFR + 1.35%
)#  3/15/2038   3,370,000    3,374,951 
BHMS Commercial Mortgage Trust Series 2025-ATLS Class A  5.505%
(1 mo. USD Term SOFR + 1.85%
)#  8/15/2042   4,100,000    4,112,594 
BSPDF Issuer LLC Series 2026-FL3 Class A  5.111%
(1 mo. USD Term SOFR + 1.45%
)#  9/18/2043   6,510,000    6,519,410 
BSPRT Issuer LLC Series 2025-FL12 Class A  5.054%
(1 mo. USD Term SOFR + 1.39%
)#  1/17/2043   12,850,000    12,887,735 
BX Commercial Mortgage Trust Series 2019-IMC Class A  4.701%
(1 mo. USD Term SOFR + 1.05%
)#  4/15/2034   9,426,264    9,383,305 
BX Commercial Mortgage Trust Series 2025-BCAT Class A  5.035%
(1 mo. USD Term SOFR + 1.38%
)#  8/15/2042   3,620,596    3,628,695 
BX Commercial Mortgage Trust Series 2026-CSMO Class A  5.055%
(1 mo. USD Term SOFR + 1.40%
)#  2/15/2043   8,190,000    8,207,096 
BX Trust Series 2025-ARIA Class A  5.199%#(k)  12/13/2042   4,440,000    4,474,257 
BX Trust Series 2025-LUNR Class A  5.155%
(1 mo. USD Term SOFR + 1.50%
)#  6/15/2040   11,051,293    11,086,794 
BX Trust Series 2025-ROIC Class A  4.799%
(1 mo. USD Term SOFR + 1.14%
)#  3/15/2030   6,285,541    6,284,169 
BX Trust Series 2025-TAIL Class A  5.055%
(1 mo. USD Term SOFR + 1.40%
)#  6/15/2035   2,400,000    2,404,566 
BX Trust Series 2025-VOLT Class A  5.355%
(1 mo. USD Term SOFR + 1.70%
)#  12/15/2044   14,800,000    14,816,492 

 

50 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
NON-AGENCY COMMERCIAL MORTGAGE-BACKED SECURITIES (continued)       
BX Trust Series 2025-VOLT Class D  6.405%
(1 mo. USD Term SOFR + 2.75%
)#  12/15/2044  $3,980,000   $3,974,762 
CONE Trust Series 2024-DFW1 Class A  5.296%
(1 mo. USD Term SOFR + 1.64%
)#  8/15/2041   5,613,000    5,615,140 
DBC Mortgage Trust Series 2025-DBC Class A  5.005%
(1 mo. USD Term SOFR + 1.35%
)#  11/15/2042   18,380,000    18,416,223 
DBC Mortgage Trust Series 2025-DBC Class D  6.255%
(1 mo. USD Term SOFR + 2.60%
)#  11/15/2042   2,670,000    2,676,676 
GS Mortgage Securities Trust Series 2018-GS10 Class AS  4.384%#(k)  7/10/2051   10,008,937    9,815,708 
LoanCore Issuer Ltd. Series 2025-CRE8 Class A  5.053%
(1 mo. USD Term SOFR + 1.39%
)#  8/17/2042   8,030,000    8,035,879 
MAD Commercial Mortgage Trust Series 2025-11MD Class C  5.818%#(k)  10/15/2042   5,925,000    5,975,687 
NRTH Commercial Mortgage Trust Series 2025-PARK Class A  5.048%
(1 mo. USD Term SOFR + 1.39%
)#  10/15/2040   2,540,000    2,541,957 
NYC Commercial Mortgage Trust Series 2026-1PARK Class A  4.914%
(1 mo. USD Term SOFR + 1.25%
)#  2/15/2043   8,300,000    8,303,381 
NYO Commercial Mortgage Trust Series 2021-1290 Class A  4.865%
(1 mo. USD Term SOFR + 1.21%
)#  11/15/2038   3,000,000    2,998,995 
PFP Ltd. Series 2025-12 Class A  5.15%
(1 mo. USD Term SOFR + 1.49%
)#  12/18/2042   11,790,000    11,822,410 
PFP Ltd. Series 2025-12 Class B  5.703%
(1 mo. USD Term SOFR + 2.04%
)#  12/18/2042   5,100,000    5,112,688 
PFP Ltd. Series 2026-13 Class A  5.161%
(1 mo. USD Term SOFR + 1.50%
)#  8/18/2043   11,620,000    11,648,493 
SCG Trust Series 2025-SNIP Class A  5.155%
(1 mo. USD Term SOFR + 1.50%
)#  9/15/2042   3,340,000    3,353,020 
SHRN Trust Series 2025-MF18 Class A  4.855%
(1 mo. USD Term SOFR + 1.20%
)#  10/15/2040   15,750,000    15,749,600 
SWCH Commercial Mortgage Trust Series 2025-DATA Class A  5.098%
(1 mo. USD Term SOFR + 1.44%
)#  2/15/2042   13,500,000    13,401,237 
TCO Commercial Mortgage Trust Series 2024-DPM Class A  4.898%
(1 mo. USD Term SOFR + 1.24%
)#  12/15/2039   9,340,000    9,349,562 
TEXAS Commercial Mortgage Trust Series 2025-TWR Class A  4.948%
(1 mo. USD Term SOFR + 1.29%
)#  4/15/2042   11,000,000    10,978,869 

 

  See Notes to Schedule of Investments. 51
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
NON-AGENCY COMMERCIAL MORTGAGE-BACKED SECURITIES (continued)       
U.S. Bank C&I Credit-Linked Notes Series 2025-SUP2 Class C  5.545%
(30 day USD SOFR Average + 1.90%
)#  9/25/2032  $5,057,658   $5,020,882 
U.S. Bank NA Series 2025-SUP1 Class B  5.582%  2/25/2032   2,298,721    2,300,437 
U.S. Bank NA Series 2025-SUP1 Class D  6.345%
(30 day USD SOFR Average + 2.70%
)#  2/25/2032   9,276,077    9,359,005 
Wells Fargo Commercial Mortgage Trust Series 2025-609M Class A  5.197%
(1 mo. USD Term SOFR + 1.54%
)#  8/15/2042   10,930,000    10,946,069 
Wells Fargo Commercial Mortgage Trust Series 2025-B33RP Class A  5.005%
(1 mo. USD Term SOFR + 1.35%
)#  8/15/2042   9,290,000    9,294,918 
Total Non-Agency Commercial Mortgage-Backed Securities (cost $295,799,900)          296,332,355 
                 
U.S. TREASURY OBLIGATIONS 3.57%                
U.S. Treasury Notes  3.375%  12/31/2027   140,400,000    139,264,734 
U.S. Treasury Notes  4.25%  8/15/2035   4,596,000    4,556,503 
Total U.S. Treasury Obligations (cost $144,752,301)          143,821,237 
Total Long-Term Investments (cost $4,075,213,558)          4,070,935,081 
                 
SHORT-TERM INVESTMENTS 0.78%                
                 
REPURCHASE AGREEMENTS 0.69%                
Repurchase Agreement dated 4/30/2026, 3.250% due 5/1/2026 with Fixed Income Clearing Corp. collateralized by $17,015,900 of U.S. Treasury Note at 3.750% due 6/30/2027; value: $17,208,867; proceeds: $16,872,855
(cost $16,871,332)
         16,871,332    16,871,332 
Repurchase Agreement dated 4/30/2026, 3.580% due 5/1/2026 with JPMorgan Securities LLC collateralized by $10,845,800 of U.S. Treasury Bond at 4.375% due 5/15/2034; value: $11,122,449; proceeds: $10,901,084
(cost $10,900,000)
         10,900,000    10,900,000 
Total Repurchase Agreements (cost $27,771,332)          27,771,332 
                 
TIME DEPOSITS 0.01%                
CitiBank N.A.(l) (cost $349,118)         349,118    349,118 

 

52 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Investments  Shares   Fair
Value
 
MONEY MARKET FUNDS 0.08%        
Fidelity Government Portfolio(l) (cost $3,142,062)   3,142,062   $3,142,062 
Total Short-Term Investments (cost $31,262,512)        31,262,512 
Total Investments in Securities 101.97% (cost $4,106,476,070)        4,102,197,593 
Less Unfunded Loan Commitments (0.04%) (cost $1,418,594)        (1,424,904)
Net Investments in Securities 101.93% (cost $4,105,057,476)        4,100,772,689 
Other Assets and Liabilities – Net (m) (1.93)%        (77,649,859)
Net Assets 100.00%       $4,023,122,830 

 

CAD   Canadian Dollar.
EUR   Euro.
EURIBOR   Euro Interbank Offered Rate.
REITS   Real Estate Investment Trusts.
REMICS   Real Estate Mortgage Investment Conduits.
SOFR   Secured Overnight Financing Rate.
STACR   Structured Agency Credit Risk.
  Principal Amount is denominated in U.S. dollars unless otherwise noted.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At April 30, 2026, the total value of Rule 144A securities was $3,200,888,008, which represents 79.56% of net assets.
#   Variable rate security. The interest rate represents the rate in effect at April 30, 2026.
(a)   Level 3 Investment as described in Note 2(a) in the Notes to Schedule of Investments. Security valued utilizing third party pricing information without adjustment. Such valuations are based on unobservable inputs. A significant change in third party information could result in a significantly lower or higher value of such Level 3 investments.
(b)   Variable Rate is Fixed to Float: Rate remains fixed or at Zero Coupon until designated future date.
(c)   Securities purchased on a when-issued basis.
(d)   Interest rate to be determined.
(e)   Foreign security traded in U.S. dollars.
(f)   All or a portion of this security is temporarily on loan to unaffiliated broker/dealers.
(g)   Security is perpetual in nature and has no stated maturity.
(h)   Floating Rate Loans in which the Fund invests generally pay interest at rates which are periodically re-determined at a margin above the SOFR or the prime rate offered by major U.S. banks. The rate(s) shown is the rate(s) in effect at April 30, 2026.
(i)   Security partially/fully unfunded.
(j)   Level 3 Investment as described in Note 2(a) in the Notes to Schedule of Investments. Floating Rate Loans categorized as Level 3 are valued based on a single quotation obtained from a dealer. Generally accepted accounting principles in the United States of America do not require the Fund to create quantitative unobservable inputs that were not developed by the Fund. Therefore, the Fund does not have access to unobservable inputs and cannot disclose such inputs in the valuation.
(k)   Interest rate is based on the weighted average interest rates of the underlying mortgages within the mortgage pool.
(l)   Security was purchased with the cash collateral from loaned securities.
(m)   Other Assets and Liabilities – Net include net unrealized appreciation/(depreciation) on forward foreign currency exchange contracts, futures contracts and swap contracts as follows:

 

  See Notes to Schedule of Investments. 53
 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Centrally Cleared Credit Default Swap Contracts on Indexes/Issuers – Sell Protection at April 30, 2026(1):

 

Referenced
Indexes/Issuers
  Central
Clearing
Party
  Fund
Receives
(Quarterly)
  Termination
Date
  Notional
Amount
 Payments
Upfront
(2)
   Unrealized
Appreciation/
(Depreciation)
(3)
   Value 
CDX.NA.HY.S45(4)  Bank of America  5.00%  12/20/2030  $102,602,610      $5,274,646    $2,208,297   $7,482,943 
CDX.NA.HY.S46(4)  Bank of America  5.00%  6/20/2031  18,440,000     1,266,719    47,402    1,314,121 
Total                $6,541,365    $2,255,699   $8,797,064 

 

(1)   If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap contracts agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap contracts and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap contracts less the recovery value of the referenced obligation or underlying securities.
(2)   Upfront payments paid (received) are presented net of amortization.
(3)   Total unrealized appreciation on Credit Default Swap Contracts on Indexes/Issuers amounted to $2,255,699. Total unrealized depreciation on Credit Default Swap Contracts on Indexes/Issuers amounted to $0.
(4)   Central Clearinghouse: Intercontinental Exchange (ICE).

 

Centrally Cleared Interest Rate Swap Contracts at April 30, 2026:

 

Central
Clearingparty
  Periodic
Payments
to be Made
By The Fund
(Quarterly)
  Periodic
Payments
to be Received
By The Fund
(Quarterly)
  Termination
Date
  Notional
Amount
 Payments
Upfront
(1)
   Unrealized
Appreciation/
(Depreciation)
   Value 
Bank of America(2)  3.946%  12-Month USD SOFR Index  6/15/2036  $  3,016,000    $   $3,877   $3,877 
Bank of America(2)  3.898%  12-Month USD SOFR Index  4/15/2036  9,579,000         44,168    44,168 
Bank of America(2)  3.764%  12-Month USD SOFR Index  8/15/2033  5,200,000     123    22,988    23,111 
Bank of America(2)  3.579%  12-Month USD SOFR Index  2/1/2033  4,179,000     (152)   58,291    58,139 
Bank of America(2)  3.387%  12-Month USD SOFR Index  6/1/2027  20,000,000         72,908    72,908 
Bank of America(2)  3.380%  12-Month USD SOFR Index  1/15/2029  9,000,000         74,964    74,964 
Bank of America(2)  3.293%  12-Month USD SOFR Index  12/31/2027  140,400,000     85,440    921,971    1,007,411 
Bank of America(2)  3.220%  12-Month USD SOFR Index  10/24/2027  164,000,000     76,590    1,187,166    1,263,756 
Total                $162,001   $2,386,333   $2,548,334 

 

54 See Notes to Schedule of Investments.

 

Schedule of Investments (unaudited)(continued)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

Central
Clearingparty
  Periodic
Payments
to be Made
By The Fund
(Quarterly)
  Periodic
Payments
to be Received
By The Fund
(Quarterly)
  Termination
Date
  Notional
Amount
 Payments
Upfront
(1)
   Unrealized
Appreciation/
(Depreciation)
   Value 
Bank of America(2)  12-Month USD SOFR Index  3.357%  2/18/2031  $83,200,000    $     $(1,343,037)  $(1,343,037)

 

SOFR   Secured Overnight Financing Rate.
(1)   Upfront payments paid (received) are presented net of amortization.
(2)   Central Clearinghouse: Chicago Mercantile Exchange (CME).

 

Forward Foreign Currency Exchange Contracts at April 30, 2026:

 

Forward
Foreign
Currency
Exchange
Contracts
  Transaction
Type
  Counterparty  Expiration
Date
  Foreign
Currency
  U.S. $
Cost on
Origination
Date
  U.S. $
Current
Value
  Unrealized
Depreciation
 
Canadian dollar  Sell  Goldman Sachs  7/17/2026  17,823,000  $13,056,621  $13,162,999   $(106,378)

 

Futures Contracts at April 30, 2026:

 

Type  Expiration  Contracts  Position  Notional
Amount
  Notional
Value
 Unrealized
Depreciation
 
U.S. 10-Year Treasury Note  June 2026  242  Long  $   27,315,931  $   26,763,688       $(552,243)
U.S. 2-Year Treasury Note  June 2026  1,204  Long  251,126,901  249,378,500     (1,748,401)
U.S. 5-Year Treasury Note  June 2026  182  Long  20,004,077  19,626,141     (377,936)
Total Unrealized Depreciation on Futures Contracts                   $(2,678,580)

 

  See Notes to Schedule of Investments. 55
 

Schedule of Investments (unaudited)(concluded)

INVESTMENT GRADE FLOATING RATE FUND April 30, 2026

 

The following is a summary of the inputs used as of April 30, 2026 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Asset-Backed Securities                    
Credit Card  $   $41,176,628   $4,614,720   $45,791,348 
Other       2,248,603,493    15,000,459    2,263,603,952 
Remaining Industries       380,368,488        380,368,488 
Corporate Bonds       309,790,301        309,790,301 
Floating Rate Loans                    
Real Estate Investment Trusts       10,109,302    4,562,520    14,671,822 
Software       3,856,829    882,090    4,738,919 
Remaining Industries       347,548,479        347,548,479 
Less Unfunded Loan Commitments       (1,424,904)       (1,424,904)
Foreign Government Obligations       65,030,361        65,030,361 
Government Sponsored Enterprises Collateralized Mortgage Obligations       199,237,819        199,237,819 
Non-Agency Commercial Mortgage- Backed Securities       296,332,355        296,332,355 
U.S. Treasury Obligations       143,821,237        143,821,237 
Short-Term Investments                    
Repurchase Agreements       27,771,332        27,771,332 
Time Deposits       349,118        349,118 
Money Market Funds   3,142,062            3,142,062 
Total  $3,142,062   $4,072,570,838   $25,059,789   $4,100,772,689 
Other Financial Instruments                    
Centrally Cleared Credit Default Swap Contracts                    
Assets  $   $8,797,064   $   $8,797,064 
Liabilities                
Centrally Cleared Interest Rate Swap Contracts                    
Assets       2,548,334        2,548,334 
Liabilities       (1,343,037)       (1,343,037)
Forward Foreign Currency Exchange Contracts                    
Assets                
Liabilities       (106,378)       (106,378)
Futures Contracts                    
Assets                
Liabilities   (2,678,580)           (2,678,580)
Total  $(2,678,580)  $9,895,983   $   $7,217,403 

 

(1)   Refer to Note 2(a) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. When applicable, each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets. Management has determined not to provide a reconciliation and a summary of unobservable inputs as the balance of Level 3 investments was not considered to be material to the Fund’s net assets at the beginning or end of the period.

 

56 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
LONG-TERM INVESTMENTS 98.17%                
                 
ASSET-BACKED SECURITIES 0.62%                
                 
Credit Card 0.18%                
Fortiva Retail Prime Masters Notes Business Trust Series 2025-A Class A  6.60%  9/17/2029  $18,200,000   $18,258,240(a) 
                 
Other 0.44%                
AMMC CLO 32 Ltd. Series 2025-32A Class E  9.43%
(3 mo. USD Term SOFR + 5.75%
)#  10/17/2038   2,520,000    2,534,556 
Arini U.S. CLO II Ltd. Series 2A Class E  9.323%
(3 mo. USD Term SOFR + 5.65%
)#  3/31/2038   2,520,000    2,536,831 
BDS LLC Series 2026-FL17 Class AS†(b)  5.20%
 (1 mo. USD Term SOFR + 1.55%
)#  5/19/2043   10,000,000    10,012,500 
Birch Grove CLO 3 Ltd. Series 2021-3A Class ER  8.825%
(3 mo. USD Term SOFR + 5.15%
)#  1/19/2038   2,750,000    2,660,289 
Brant Point CLO Ltd. Series 2023-1A Class ER  10.767%
 (3 mo. USD Term SOFR + 7.10%
)#  7/26/2038   3,200,000    3,216,298 
Brant Point CLO Ltd. Series 2025-7A Class E  10.167%
(3 mo. USD Term SOFR + 6.50%
)#  7/25/2038   2,000,000    2,019,900 
Kennedy Lewis CLO 8 Ltd. Series 8A Class ER2  10.025%
 (3 mo. USD Term SOFR + 6.35%
)#  1/20/2038   3,000,000    2,923,491 
MF1 LLC Series 2026-FL22 Class AS†(b)  5.26%
 (1 mo. USD Term SOFR + 1.60%
)#  11/18/2043   10,000,000    10,009,375 
Park Blue CLO Ltd. Series 2024-6A Class E  9.067%
 (3 mo. USD Term SOFR + 5.40%
)#  1/25/2038   2,500,000    2,427,445 
Steele Creek CLO Ltd. Series 2022-1A Class E1R  11.673%
 (3 mo. USD Term SOFR + 8.00%
)#  4/15/2038   2,000,000    1,971,624 
TCW CLO Ltd. Series 2021-2A Class ER  10.417%
(3 mo. USD Term SOFR + 6.75%
)#  10/24/2038   3,750,000    3,480,697 
Total              43,793,006 
Total Asset-Backed Securities (cost $62,339,967)              62,051,246 
                 
          Shares      
COMMON STOCKS 0.01%                
                 
Health Care Providers & Services 0.01%                
Recovery Solutions LLC*         65,196    847,545 
                 
Personal Care Products 0.00%                
Anastasia Parent LLC*         56,938    526,677 
Total Common Stocks (cost $1,953,708)              1,374,222 
     
  See Notes to Schedule of Investments. 57

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
CONVERTIBLE BONDS 2.99%                
                 
Commercial Services 0.05%                
Affirm Holdings, Inc.  0.75%  12/15/2029  $4,755,000   $5,028,413 
                 
Diversified Financial Services 0.26%                
Coinbase Global, Inc.  0.25%  4/1/2030   10,135,000    9,874,024 
Upstart Holdings, Inc.  2.00%  10/1/2029   3,800,000    4,133,640 
WisdomTree, Inc.  4.625%  8/15/2030   10,345,000    12,176,065 
Total              26,183,729 
                 
Electrical Components & Equipment 0.10%                
Schneider Electric SE  1.97%  11/27/2030  EUR 6,200,000    9,942,577 
                 
Electronics 0.10%                
Advanced Energy Industries, Inc.  2.50%  9/15/2028  $3,465,000    9,874,903 
                 
Engineering & Construction 0.10%                
Granite Construction, Inc.  3.75%  5/15/2028   3,525,000    10,553,850 
                 
Food 0.12%                
Chefs’ Warehouse, Inc.  2.375%  12/15/2028   6,320,000    11,660,400 
                 
Home Builders 0.12%                
Meritage Homes Corp.  1.75%  5/15/2028   11,988,000    11,814,174 
                 
Investment Companies 0.13%                
Terawulf, Inc.  1.00%  9/1/2031   6,600,000    12,833,700 
                 
Machinery: Construction & Mining 0.25%                
Bloom Energy Corp.  Zero Coupon  11/15/2030   6,090,000    10,616,088 
BWX Technologies, Inc.  Zero Coupon  11/1/2030   13,370,000    14,493,080 
Total              25,109,168 
                 
Media 0.16%                
AMC Global Media, Inc.  4.25%  2/15/2029   3,885,000    3,899,569 
Sphere Entertainment Co.  3.50%  12/1/2028   2,882,000    11,690,833 
Total              15,590,402 
                 
Mining 0.09%                
MP Materials Corp.  3.00%  3/1/2030   2,743,000    8,666,508 
                 
Oil & Gas 0.28%                
Nabors Industries, Inc.  1.75%  6/15/2029   8,085,000    7,777,770 
Transocean International Ltd.  4.625%  9/30/2029   9,521,000    19,876,040 
Total              27,653,810 
   
58 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Oil & Gas Services 0.05%                
Atlas Energy Solutions, Inc.  0.50%  4/15/2031  $3,805,000   $5,299,223 
                 
REITS 0.43%                
Blackstone Mortgage Trust, Inc.  5.50%  3/15/2027   4,307,000    4,307,000 
COPT Defense Properties LP  5.25%  9/15/2028   9,990,000    11,701,112 
Digital Realty Trust LP  1.875%  11/15/2029   9,010,000    10,131,745 
Kite Realty Group LP  0.75%  4/1/2027   3,590,000    4,092,133 
Pebblebrook Hotel Trust  1.625%  1/15/2030   4,560,000    4,977,240 
Welltower OP LLC  2.75%  5/15/2028   3,645,000    8,323,358 
Total              43,532,588 
                 
Retail 0.15%                
Freshpet, Inc.(c)  3.00%  4/1/2028   12,297,000    15,128,999 
                 
Semiconductors 0.10%                
Camtek Ltd. (Israel)†(d)  Zero Coupon  9/15/2030   2,635,000    5,028,107 
Veeco Instruments, Inc.  2.875%  6/1/2029   2,705,000    4,942,711 
Total              9,970,818 
                 
Software 0.36%                  
Akamai Technologies, Inc.  1.125%  2/15/2029   8,640,000    9,609,840 
Cloudflare, Inc.  Zero Coupon  6/15/2030   10,290,000    11,838,605 
Nebius Group NV (Netherlands)†(c)(d)  1.00%  9/15/2030   3,550,000    4,598,315 
Strategy, Inc.  0.625%  3/15/2030   7,280,000    9,984,520 
Total              36,031,280 
                 
Telecommunications 0.14%                
AST SpaceMobile, Inc.  2.375%  10/15/2032   3,669,000    5,106,331 
GDS Holdings Ltd. (China)(d)  4.50%  1/31/2030   5,010,000    9,333,630 
Total              14,439,961 
Total Convertible Bonds (cost $289,845,579)              299,314,503 
                 
     Dividend
Rate
      Shares      
                   
CONVERTIBLE PREFERRED STOCKS 0.69%                
                 
Aerospace & Defense 0.05%                  
VSE Corp.  5.75%      105,567    4,976,428 
                   
Capital Markets 0.17%                  
ARES Management Corp.  6.750%      128,815    4,978,700 
KKR & Co., Inc.(c)  6.250%      270,110    12,109,031 
Total                17,087,731 
     
  See Notes to Schedule of Investments. 59

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Dividend
Rate
     Shares   Fair
Value
 
Chemicals 0.11%                
Albemarle Corp.  7.25%      136,215   $10,708,595 
                   
Electric: Utilities 0.22%                  
NextEra Energy, Inc.7.375%      192,660    10,105,017 
PPL Corp.  7.000%      224,494    11,333,580 
Total                21,438,597 
                   
Financial Services 0.05%                  
Apollo Global Management, Inc.  6.75%      81,140    5,347,117 
                   
Software 0.09%                  
Oracle Corp.  6.50%      186,744    9,176,600 
Total Convertible Preferred Stocks (cost $68,066,359)                68,735,068 
                   
     Interest
Rate
  Maturity
Date
   Principal
Amount
      
                   
CORPORATE BONDS 89.02%                  
                   
Advertising 0.14%                  
CMG Media Corp.†(c)  8.875%  6/18/2029  $16,085,580    14,347,848 
                   
Aerospace/Defense 1.18%                  
Bombardier, Inc. (Canada)†(d)  7.25%  7/1/2031   9,165,000    9,654,769 
Bombardier, Inc. (Canada)†(d)  7.50%  2/1/2029   18,460,000    19,189,429 
Czechoslovak Group AS (Czech Republic)†(d)  6.50%  1/10/2031   23,628,000    24,321,654 
Efesto Bidco SpA Efesto U.S. LLC (Italy)†(d)  7.50%  2/15/2032   32,178,000    32,088,519 
Goat Holdco LLC  6.75%  2/1/2032   18,300,000    18,767,528 
TransDigm, Inc.  6.875%  12/15/2030   13,290,000    13,707,771 
Total                117,729,670 
                   
Agriculture 0.14%                  
MHP Lux SA (Luxembourg)†(c)(d)  10.50%  7/28/2029   9,922,000    10,187,052 
MHP Lux SA (Luxembourg)(d)  10.50%  7/28/2029   3,199,000    3,284,456 
MHP Lux SA (Luxembourg)(d)  10.50%  7/28/2029   800,000    821,371 
Total                14,292,879 
                   
Airlines 1.53%                  
American Airlines, Inc.  7.25%  2/15/2028   24,233,000    24,571,269 
American Airlines, Inc./AAdvantage Loyalty IP Ltd.  5.75%  4/20/2029   16,225,000    16,247,863 
JetBlue Airways Corp./JetBlue Loyalty LP  9.875%  9/20/2031   28,520,000    26,599,419 
United Airlines Holdings, Inc.(c)  5.375%  3/1/2031   18,275,000    18,034,937 
VistaJet Malta Finance PLC/Vista Management Holding, Inc. (Malta)†(d)  6.375%  2/1/2030   19,700,000    18,466,577 
   
60 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Airlines (continued)                
VistaJet Malta Finance PLC/Vista Management Holding, Inc. (Malta)†(b)(d)  8.75%  1/15/2032  $10,100,000   $9,791,455 
VistaJet Malta Finance PLC/Vista Management Holding, Inc. (Malta)†(c)(d)  9.50%  6/1/2028   39,121,000    39,581,325 
Total              153,292,845 
                 
Apparel 0.29%                
William Carter Co.  7.375%  2/15/2031   28,180,000    29,003,144 
                 
Auto Manufacturers 2.32%                
Aston Martin Capital Holdings Ltd. (United Kingdom)†(c)(d)  10.00%  3/31/2029   10,566,000    8,489,781 
Ford Motor Credit Co. LLC  7.20%  6/10/2030   32,800,000    34,711,843 
General Motors Co.  5.625%  4/15/2030   9,600,000    9,885,961 
JB Poindexter & Co., Inc.  8.75%  12/15/2031   31,611,000    32,796,191 
Nissan Motor Acceptance Co. LLC  6.125%  9/30/2030   13,772,000    13,571,135 
Nissan Motor Acceptance Co. LLC  7.05%  9/15/2028   5,820,000    5,971,874 
Nissan Motor Co. Ltd. (Japan)†(d)  4.81%  9/17/2030   15,170,000    14,181,209 
Nissan Motor Co. Ltd. (Japan)†(d)  7.50%  7/17/2030   57,035,001    58,983,826 
Rivian Holdings LLC/Rivian LLC/Rivian Automotive LLC  10.00%  1/15/2031   18,376,000    18,302,066 
Wabash National Corp.†(c)  4.50%  10/15/2028   39,498,000    34,908,672 
Total              231,802,558 
                 
Auto Parts & Equipment 1.95%                
American Axle & Manufacturing, Inc.(c)  5.00%  10/1/2029   5,075,000    4,934,378 
Cooper-Standard Automotive, Inc.  9.25%  3/1/2031   15,649,000    15,047,296 
Cyprium Corp./Cyprium Holdings Luxembourg SARL  6.125%  4/15/2031   24,789,000    25,022,116 
Dexko Global, Inc.†(c)  7.50%  4/15/2032   32,906,440    29,630,933 
Forvia SE (France)†(c)(d)  8.00%  6/15/2030   27,406,000    28,839,169 
Goodyear Tire & Rubber Co.  6.625%  7/15/2030   10,665,000    10,563,798 
IHO Verwaltungs GmbH (Germany)†(d)  6.375%  5/15/2029   4,700,000    4,723,824 
IHO Verwaltungs GmbH (Germany)†(d)  7.75%  11/15/2030   15,125,000    15,593,603 
Tenneco, Inc.  8.00%  11/17/2028   13,820,000    13,992,225 
ZF North America Capital, Inc.  6.75%  4/23/2030   7,680,000    7,632,945 
ZF North America Capital, Inc.  6.875%  4/14/2028   5,850,000    5,997,005 
ZF North America Capital, Inc.  7.125%  4/14/2030   23,306,000    23,382,001 
ZF North America Capital, Inc.  7.50%  3/24/2031   9,750,000    9,769,232 
Total              195,128,525 
                 
Banks 2.62%                
Armor Holdco, Inc.  8.50%  11/15/2029   5,000,000    4,965,174 
Bank of Nova Scotia (Canada)(d)  7.35%
(5 yr. CMT + 2.90%
)#  4/27/2085   10,450,000    10,823,358 
Citigroup, Inc.  6.95%
(5 yr. CMT + 2.73%
)#  (e)   34,027,000    34,651,327 
     
  See Notes to Schedule of Investments. 61

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Banks (continued)                
First Citizens BancShares, Inc.  7.00%
(5 yr. CMT + 3.30%
)#  (e)  $9,625,000   $9,710,037 
Flagstar Bank NA  6.707%
 (3 mo. USD Term SOFR + 3.04%
)#  11/6/2028   13,316,000    12,756,475 
Freedom Mortgage Corp.  12.25%  10/1/2030   15,725,000    17,074,048 
Goldman Sachs Group, Inc.  6.85%
 (5 yr. CMT + 2.46%
)#  (e)   30,680,000    31,627,736 
Huntington Bancshares, Inc.  6.25%
(5 yr. CMT + 2.65%
)#  (e)   18,790,000    18,828,519 
Popular, Inc.  7.25%  3/13/2028   8,530,000    8,868,436 
Societe Generale SA (France)†(d)  9.375%
 (5 yr. CMT + 5.39%
)#  (e)   5,308,000    5,601,044 
State Street Corp.  6.45%
 (5 yr. CMT + 2.14%
)#  (e)   21,864,000    22,362,412 
Toronto-Dominion Bank (Canada)(d)  6.35%
 (5 yr. CMT + 2.72%
)#  10/31/2085   8,648,000    8,711,589 
Toronto-Dominion Bank (Canada)(d)  7.25%
 (5 yr. CMT + 2.98%
)#  7/31/2084   8,350,000    8,679,341 
UBS Group AG (Switzerland)†(c)(d)  7.00%
 (5 yr. USD SOFR ICE Swap + 3.08%
)#  (e)   34,043,000    34,826,840 
Valley National Bancorp(c)  3.00%
 (3 mo. USD Term SOFR + 2.36%
)#  6/15/2031   22,885,000    22,138,676 
Western Alliance Bancorp  3.00%
 (3 mo. USD Term SOFR + 2.25%
)#  6/15/2031   10,260,000    9,900,900 
Total              261,525,912 
                 
Biotechnology 0.14%                
Emergent BioSolutions, Inc.  3.875%  8/15/2028   16,215,000    14,444,721 
                 
Building Materials 2.58%                
ACProducts Holdings, Inc.  6.375%  5/15/2029   5,165,000    2,427,550 
Builders FirstSource, Inc.  6.375%  6/15/2032   4,128,000    4,160,070 
Camelot Return Merger Sub, Inc.  8.75%  8/1/2028   25,050,000    16,219,408 
Cornerstone Building Brands, Inc.  9.50%  8/15/2029   14,650,000    9,390,105 
CP Atlas Buyer, Inc.†(c)  7.00%  12/1/2028   11,512,000    10,347,598 
CP Atlas Buyer, Inc.†(c)  9.75%  7/15/2030   12,450,000    11,584,681 
CP Atlas Buyer, Inc.†(c)  12.75%  1/15/2031   14,270,762    10,573,562 
EMRLD Borrower LP/Emerald Co-Issuer, Inc.  6.625%  12/15/2030   19,000,000    19,475,551 
Griffon Corp.  5.75%  3/1/2028   22,562,000    22,522,268 
JELD-WEN Holding, Inc.  7.00%  9/1/2032   12,554,000    6,414,918 
JELD-WEN, Inc.†(c)  4.875%  12/15/2027   24,000,000    17,894,822 
MIWD Holdco II LLC/MIWD Finance Corp.†(c)  5.50%  2/1/2030   39,475,000    36,448,448 
Smyrna Ready Mix Concrete LLC  6.00%  11/1/2028   35,678,000    35,674,001 
Smyrna Ready Mix Concrete LLC  8.875%  11/15/2031   6,000,000    6,285,852 
   
62 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Building Materials (continued)                
Standard Building Solutions, Inc.  6.50%  8/15/2032  $19,225,000   $19,430,227 
West China Cement Ltd. (China)(d)  9.90%  12/4/2028   10,150,000    9,591,574 
West China Cement Ltd. (China)(d)  9.90%  12/4/2028   2,300,000    2,173,460 
West China Cement Ltd. (China)(d)  10.50%  11/11/2029   7,100,000    6,637,073 
Wilsonart LLC†(c)  11.00%  8/15/2032   13,275,000    10,275,455 
Total              257,526,623 
                 
Chemicals 3.10%                
Advancion Sciences, Inc.  9.25%  11/1/2026   19,425,719    15,686,268 
ASP Unifrax Holdings, Inc.  7.10%  9/30/2029   13,437,946    167,974 
ASP Unifrax Holdings, Inc.  11.175%  9/30/2029   10,948,413    4,570,962 
Celanese U.S. Holdings LLC(c)  6.50%  4/15/2030   43,220,000    44,238,868 
Celanese U.S. Holdings LLC  6.85%  11/15/2028   5,347,000    5,596,165 
Celanese U.S. Holdings LLC(c)  7.00%  2/15/2031   18,910,000    19,688,771 
Celanese U.S. Holdings LLC  7.05%  11/15/2030   16,600,000    17,829,645 
Celanese U.S. Holdings LLC  7.379%  7/15/2032   5,775,000    6,124,255 
Cerdia Finanz GmbH (Germany)†(d)  9.375%  10/3/2031   32,612,000    31,389,050 
Chemours Co.  4.625%  11/15/2029   7,200,000    6,911,443 
Chemours Co.  5.75%  11/15/2028   14,662,000    14,639,357 
CVR Partners LP/CVR Nitrogen Finance Corp.  6.125%  6/15/2028   27,085,000    27,087,714 
FMC Corp.  8.45%
(5 yr. CMT + 4.37%
)#  11/1/2055   14,650,000    9,719,012 
INEOS Finance PLC (United Kingdom)†(d)  6.75%  5/15/2028   10,300,000    10,352,829 
INEOS Finance PLC  7.25%  3/31/2031  EUR 8,650,000    9,871,990 
INEOS Finance PLC (United Kingdom)†(d)  7.50%  4/15/2029  $10,550,000    10,428,028 
INEOS Quattro Finance 2 PLC (United Kingdom)†(c)(d)  9.625%  3/15/2029   5,525,000    5,366,156 
Mativ Holdings, Inc.†(c)  8.00%  10/1/2029   9,260,000    8,973,794 
Rain Carbon, Inc.†(c)  12.25%  9/1/2029   29,609,000    31,189,440 
Tronox, Inc.  4.625%  3/15/2029   30,147,000    25,254,296 
Tronox, Inc.†(c)  9.125%  9/30/2030   4,800,000    4,881,600 
Total              309,967,617 
                 
Coal 0.85%                
Alliance Resource Operating Partners LP/Alliance Resource Finance Corp.  8.625%  6/15/2029   18,686,000    19,549,312 
Coronado Finance Pty. Ltd. (Australia)†(d)  9.25%  10/1/2029   34,484,000    31,300,945 
Indika Energy Tbk. PT (Indonesia)†(c)(d)  8.75%  5/7/2029   7,750,000    7,903,334 
SunCoke Energy, Inc.  4.875%  6/30/2029   28,529,000    26,325,466 
Total              85,079,057 
                 
     
  See Notes to Schedule of Investments. 63

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Commercial Services 4.19%                
Albion Financing 1 SARL/Aggreko Holdings, Inc. (Luxembourg)†(d)  7.00%  5/21/2030  $36,097,000   $37,306,971 
Allied Universal Holdco LLC/Allied Universal Finance Corp.  6.875%  6/15/2030   35,513,000    36,562,814 
Alta Equipment Group, Inc.†(c)  9.00%  6/1/2029   33,291,000    31,778,450 
AMN Healthcare, Inc.  6.50%  1/15/2031   726,000    723,855 
BCP V Modular Services Finance II PLC  6.125%  11/30/2028  GBP 10,350,000    13,340,631 
BCP V Modular Services Finance PLC  6.75%  11/30/2029  EUR 16,950,000    14,030,347 
CoreCivic, Inc.  8.25%  4/15/2029  $14,612,000    15,230,847 
Dcli Bidco LLC  7.75%  11/15/2029   33,150,000    34,166,014 
EquipmentShare.com, Inc.  9.00%  5/15/2028   35,224,000    36,562,301 
GEO Group, Inc.  8.625%  4/15/2029   7,035,000    7,323,379 
GEO Group, Inc.  10.25%  4/15/2031   5,290,000    5,680,262 
Herc Holdings, Inc.  7.00%  6/15/2030   17,463,000    18,178,599 
Hertz Corp.*(f)  Zero Coupon  10/15/2022   2,000     
Hertz Corp.  Zero Coupon  10/15/2049   22,000     
Hertz Corp.†(c)  12.625%  7/15/2029   18,243,000    17,209,977 
ION Platform Finance U.S., Inc.  7.875%  9/30/2032   9,575,000    7,452,954 
NESCO Holdings II, Inc.  5.50%  4/15/2029   16,936,000    16,864,920 
Rekeep SpA  9.00%  9/15/2029  EUR 12,059,000    10,841,836 
RR Donnelley & Sons Co.  9.50%  8/1/2029  $40,102,000    41,425,767 
Sotheby’s  8.25%  4/15/2031   18,601,000    18,085,663 
Synergy Infrastructure Holdings LLC  7.875%  12/1/2030   14,298,000    15,047,272 
Veritiv Operating Co.  10.50%  11/30/2030   27,246,000    28,745,206 
Williams Scotsman, Inc.  6.625%  4/15/2030   11,828,000    12,190,363 
Total              418,748,428 
                 
Computers 0.14%                
PCC Global PLC  8.25%  11/15/2030  EUR 4,800,000    4,924,529 
Pitney Bowes, Inc.  6.875%  3/15/2027  $7,735,000    7,761,932 
Pitney Bowes, Inc.  7.25%  3/15/2029   1,391,000    1,402,374 
Total              14,088,835 
                 
Cosmetics/Personal Care 0.25%                
P&L Development LLC/PLD Finance Corp.  12.00%  5/15/2029   25,148,129    25,085,133 
                 
Distribution/Wholesale 0.31%                
Velocity Vehicle Group LLC  8.00%  6/1/2029   31,587,000    31,111,530 
                 
Diversified Financial Services 7.48%                
Ally Financial, Inc.  4.70%
(5 yr. CMT + 3.87%
)#  (e)   6,929,000    6,915,215 
Ally Financial, Inc.(b)  7.10%
(5 yr. CMT + 3.15%
)#  (e)   19,953,000    19,944,676 
Ally Financial, Inc.  8.00%  11/1/2031   11,520,000    12,871,923 
                 
   
64 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Diversified Financial Services (continued)                
Aretec Group, Inc.  10.00%  8/15/2030  $26,317,000   $27,905,389 
Atlanticus Holdings Corp.  9.75%  9/1/2030   19,893,000    19,708,329 
Avolon Holdings Funding Ltd. (Ireland)†(d)  5.375%  5/30/2030   9,600,000    9,725,577 
Avolon Holdings Funding Ltd. (Ireland)†(d)  5.75%  11/15/2029   9,620,000    9,860,715 
Azorra Finance Ltd. (Cayman Islands)†(d)  7.25%  1/15/2031   15,982,000    16,382,269 
Bread Financial Holdings, Inc.  6.75%  5/15/2031   8,276,000    8,465,471 
CrossCountry Intermediate HoldCo LLC  6.50%  10/1/2030   29,777,000    29,291,801 
Freedom Funding Center LLC†(c)  12.00%  10/1/2037   8,650,000    8,812,188 
Freedom Mortgage Holdings LLC  9.125%  5/15/2031   21,030,000    21,808,404 
Freedom Mortgage Holdings LLC  9.25%  2/1/2029   8,402,000    8,709,093 
GGAM Finance Ltd. (Ireland)†(d)  5.875%  3/15/2030   8,345,000    8,427,365 
GGAM Finance Ltd. (Ireland)†(d)  6.875%  4/15/2029   7,074,000    7,244,696 
GGAM Finance Ltd. (Ireland)†(d)  8.00%  6/15/2028   15,577,000    16,235,767 
ILFC E-Capital Trust I  6.38%#  12/21/2065   21,756,000    18,665,079 
ILFC E-Capital Trust II  6.63%#  12/21/2065   13,901,000    12,220,390 
Jefferies Finance LLC/JFIN Co-Issuer Corp.  5.00%  8/15/2028   10,239,000    9,828,715 
Jefferies Finance LLC/JFIN Co-Issuer Corp.  6.625%  10/15/2031   9,600,000    9,397,958 
Jefferson Capital Holdings LLC†(c)  8.25%  5/15/2030   7,655,000    8,015,099 
LFS Topco LLC†(c)  8.75%  7/15/2030   19,383,000    18,742,448 
Macquarie Airfinance Holdings Ltd. (United Kingdom)†(d)  6.50%  3/26/2031   31,595,000    33,036,511 
Midcap Financial Issuer Trust  6.50%  5/1/2028   11,695,000    11,609,874 
Navient Corp.  9.375%  7/25/2030   19,626,000    20,379,481 
OneMain Finance Corp.  6.125%  5/15/2030   13,888,000    13,889,417 
OneMain Finance Corp.  6.625%  1/15/2028   57,967,000    58,821,086 
OneMain Finance Corp.  6.625%  5/15/2029   9,650,000    9,828,381 
OneMain Finance Corp.  7.875%  3/15/2030   11,665,000    12,167,190 
PennyMac Financial Services, Inc.  4.25%  2/15/2029   15,375,000    14,699,639 
PennyMac Financial Services, Inc.  6.875%  5/15/2032   9,700,000    9,601,007 
PennyMac Financial Services, Inc.  7.125%  11/15/2030   23,775,000    24,101,169 
PHH Escrow Issuer LLC/PHH Corp.  9.875%  11/1/2029   26,369,000    26,650,726 
Phoenix Aviation Capital Ltd. (Ireland)†(c)(d)  9.25%  7/15/2030   9,404,000    9,605,227 
Planet Financial Group LLC  10.50%  12/15/2029   23,800,000    23,148,330 
PRA Group, Inc.  5.00%  10/1/2029   5,725,000    5,438,571 
Provident Funding Associates LP/PFG Finance Corp.  9.75%  9/15/2029   14,190,000    14,811,664 
Rfna LP  7.875%  2/15/2030   30,850,000    30,643,037 
Rocket Cos., Inc.  6.50%  8/1/2029   5,784,000    5,899,327 
Sammaan Capital Ltd. (India)†(d)  8.95%  8/28/2028   14,000,000    14,495,093 
Stonebriar ABF Issuer LLC  8.125%  12/15/2030   9,698,000    10,192,026 
     
  See Notes to Schedule of Investments. 65

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Diversified Financial Services (continued)                
Sumisho Air Lease Corp.  6.00%
 (5 yr. CMT + 2.56%
)#  (e)  $12,613,000   $12,292,848 
UWM Holdings LLC  6.25%  3/15/2031   36,728,000    34,085,483 
Velocity Commercial Capital LLC  9.375%  2/15/2031   28,423,000    29,426,417 
VFH Parent LLC/Valor Co-Issuer, Inc.  7.50%  6/15/2031   13,150,000    13,817,126 
Total              747,818,197 
                 
Electric 2.35%                
AES Corp.  7.60%
 (5 yr. CMT + 3.20%
)#  1/15/2055   19,443,000    19,817,978 
American Electric Power Co., Inc.  5.80%
(5 yr. CMT + 2.13%
)#  3/15/2056   20,644,000    20,541,983 
CenterPoint Energy, Inc.  5.95%
 (5 yr. CMT + 2.22%
)#  4/1/2056   14,098,000    14,048,888 
ContourGlobal Power Holdings SA (Luxembourg)†(d)  6.75%  2/28/2030   20,376,000    20,707,110 
Emera U.S. Finance LLC  6.65%
(5 yr. CMT + 2.87%
)#  10/1/2056   14,650,000    14,692,661 
NRG Energy, Inc.  4.734%  10/15/2030   14,400,000    14,253,810 
NRG Energy, Inc.  10.25%
(5 yr. CMT + 5.92%
)#  (e)   10,704,000    11,633,016 
PG&E Corp.  7.375%
 (5 yr. CMT + 3.88%
)#  3/15/2055   33,600,000    34,581,187 
Puget Energy, Inc.  7.00%
 (5 yr. CMT + 2.96%
)#  9/15/2056   11,183,000    11,256,495 
TXNM Energy, Inc.  7.00%
(5 yr. CMT + 3.25%
)#  7/31/2056   9,434,000    9,408,885 
Vistra Corp.  7.00%
 (5 yr. CMT + 5.74%
)#  (e)   18,308,000    18,408,621 
Vistra Corp.  8.875%
 (5 yr. CMT + 5.05%
)#  (e)   10,130,000    10,957,428 
XPLR Infrastructure Operating Partners LP†(c)  7.25%  1/15/2029   11,475,000    11,938,911 
XPLR Infrastructure Operating Partners LP†(c)  8.375%  1/15/2031   21,650,000    23,144,413 
Total              235,391,386 
                 
Electronics 0.20%                
Flex Ltd.  5.25%  1/15/2032   19,475,000    19,599,575 
                 
Engineering & Construction 0.33%                
Brand Industrial Services, Inc.  10.375%  8/1/2030   21,348,000    19,679,867 
Heathrow Finance PLC  6.625%  3/1/2031  GBP 9,600,000    13,033,487 
Total              32,713,354 
   
66 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Entertainment 2.28%                
888 Acquisitions Ltd.  10.75%  5/15/2030  GBP 17,504,000   $23,460,863 
Bracelet Holdings, Inc.  9.25%  7/2/2028  $13,450,000    12,838,025(a) 
Empire Resorts, Inc.  7.75%  11/1/2026   30,024,000    29,340,410 
Intralot Capital Luxembourg SA  6.75%  10/15/2031  EUR 12,775,000    14,634,657 
Mohegan Tribal Gaming Authority/MS Digital Entertainment Holdings LLC  11.875%  4/15/2031  $18,560,000    19,930,786 
Motion Bondco DAC (Ireland)†(c)(d)  6.625%  11/15/2027   15,850,000    15,224,982 
Ontario Gaming GTA LP/OTG Co-Issuer, Inc. (Canada)†(c)(d)  8.00%  8/1/2030   19,226,000    19,009,471 
Pinewood Finco PLC  6.00%  3/27/2030  GBP 7,000,000    9,443,454 
Resorts World Las Vegas LLC/RWLV Capital, Inc.  8.45%  7/27/2030  $19,500,000    19,337,364 
SeaWorld Parks & Entertainment, Inc.†(c)  5.25%  8/15/2029   14,900,000    14,414,288 
Six Flags Entertainment Corp.†(c)  7.25%  5/15/2031   24,828,000    24,504,943 
Six Flags Entertainment Corp./ Canada’s Wonderland Co./Millennium Operations LLC  8.625%  1/15/2032   10,100,000    10,273,882 
Starz Capital Holdings 1, Inc.  6.00%  4/15/2030   16,760,000    15,859,150 
Total              228,272,275 
                 
Environmental Control 0.20%                
Biffa Group Holdings Ltd.  7.375%  6/15/2031  GBP 7,445,000    10,162,510 
Biffa Group Holdings Ltd.  7.38%  6/15/2031  GBP 7,503,000    10,241,681 
Total              20,404,191 
                 
Food 1.37%                
Bellis Acquisition Co. PLC  8.00%  7/1/2031  EUR 4,250,000    4,770,080 
Bellis Acquisition Co. PLC  8.125%  5/14/2030  GBP 4,788,000    6,032,798 
Bellis Acquisition Co. PLC  8.125%  5/14/2030  GBP 16,825,000    21,199,211 
C&S Group Enterprises LLC†(c)  5.00%  12/15/2028  $23,427,000    21,953,563 
Flora Food Management BV  6.875%  7/2/2029  EUR 15,675,000    17,794,171 
Grupo Nutresa SA (Colombia)(c)(d)  8.00%  5/12/2030  $9,675,000    10,219,319 
Iceland Bondco PLC  4.375%  5/15/2028  GBP 17,481,000    23,094,221 
Iceland Bondco PLC  4.375%  5/15/2028  GBP 1,569,000    2,072,812 
Market Bidco Finco PLC  8.75%  1/31/2031  GBP 22,899,000    29,655,722 
Total              136,791,897 
                 
Forest Products & Paper 0.20%                
Magnera Corp.†(c)  4.75%  11/15/2029  $5,800,000    5,317,581 
Magnera Corp.  7.25%  11/15/2031   15,441,000    14,472,386 
Total              19,789,967 
                 
Gas 0.10%                
Spire, Inc.  6.25%
(5 yr. CMT + 2.56%
)#  6/1/2056   9,625,000    9,595,689 
     
  See Notes to Schedule of Investments. 67

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Health Care-Products 0.10%                
Embecta Corp.†(c)  5.00%  2/15/2030  $10,550,000   $9,918,016 
                 
Health Care-Services 2.41%                
Acadia Healthcare Co., Inc.†(c)  5.00%  4/15/2029   7,280,000    7,128,397 
Centene Corp.  3.375%  2/15/2030   10,500,000    9,762,041 
Charles River Laboratories International, Inc.  3.75%  3/15/2029   10,075,000    9,640,496 
CHS/Community Health Systems, Inc.  5.25%  5/15/2030   9,650,000    9,116,894 
DaVita, Inc.  4.625%  6/1/2030   9,875,000    9,563,963 
Fortrea Holdings, Inc.†(c)  7.50%  7/1/2030   29,943,000    29,173,101 
Heartland Dental LLC/Heartland Dental Finance Corp.  10.50%  4/30/2028   7,012,000    7,217,578 
Kedrion SpA (Italy)†(d)  6.50%  9/1/2029   43,476,000    42,605,865 
Molina Healthcare, Inc.  4.375%  6/15/2028   2,880,000    2,841,043 
Molina Healthcare, Inc.  6.50%  2/15/2031   26,700,000    27,199,284 
National Mentor Holdings, Inc.  10.50%  12/15/2030   10,103,000    10,574,955 
Star Parent, Inc.  9.00%  10/1/2030   24,100,000    25,276,176 
Team Health Holdings, Inc.  8.375%  6/30/2028   9,622,000    9,661,931 
Tenet Healthcare Corp.  6.125%  10/1/2028   10,148,000    10,179,043 
U.S. Acute Care Solutions LLC  9.75%  5/15/2029   32,807,000    31,044,844 
Total              240,985,611 
                 
Holding Companies-Diversified 0.14%                
Clue Opco LLC†(c)  9.50%  10/15/2031   9,319,000    9,546,430 
Stena International SA (Luxembourg)†(d)  7.25%  1/15/2031   4,800,000    4,883,703 
Total              14,430,133 
                 
Home Builders 1.44%                
Ashton Woods USA LLC/Ashton Woods Finance Co.  4.625%  4/1/2030   6,735,000    6,417,253 
Beazer Homes USA, Inc.  7.50%  3/15/2031   18,186,000    18,133,555 
Dream Finders Homes, Inc.  6.875%  9/15/2030   20,929,000    20,541,610 
Dream Finders Homes, Inc.  8.25%  8/15/2028   12,341,000    12,658,447 
K Hovnanian Enterprises, Inc.  8.00%  4/1/2031   22,582,000    22,791,109 
LGI Homes, Inc.  4.00%  7/15/2029   16,325,000    14,823,693 
LGI Homes, Inc.  8.75%  12/15/2028   28,263,000    29,119,740 
Maison Finco PLC  7.25%  4/30/2032  GBP 5,080,000    6,558,983 
Miller Homes Group Finco PLC  7.00%  5/15/2029  GBP 10,203,000    13,306,399 
Total              144,350,789 
                 
Home Furnishings 0.20%                
Whirlpool Corp.  6.125%  6/15/2030   20,200,000    19,823,452 
   
68 See Notes to Schedule of Investments.

 

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Insurance 0.83%                
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer  6.75%  4/15/2028  $13,761,000   $13,945,012 
AmWINS Group, Inc.  4.875%  6/30/2029   10,075,000    9,750,482 
Ardonagh Finco Ltd. (United Kingdom)†(d)  7.75%  2/15/2031   28,828,000    29,450,007 
HUB International Ltd.  5.625%  12/1/2029   5,300,000    5,237,040 
Jones Deslauriers Insurance Management, Inc. (Canada)†(d)  8.50%  3/15/2030   9,647,000    9,949,482 
Panther Escrow Issuer LLC  7.125%  6/1/2031   14,400,000    14,475,567 
Total              82,807,590 
                 
Internet 0.51%                
GrubHub Holdings, Inc.†(c)  13.00%  7/31/2030   7,301,624    6,017,559 
Rakuten Group, Inc. (Japan)†(d)  9.75%  4/15/2029   33,279,000    36,537,393 
Rakuten Group, Inc. (Japan)†(d)  11.25%  2/15/2027   8,274,000    8,610,057 
Total              51,165,009 
                 
Investment Companies 0.69%                
ARES Strategic Income Fund  5.70%  3/15/2028   6,600,000    6,607,472 
Blackstone Private Credit Fund  5.95%  7/16/2029   10,000,000    10,010,317 
Compass Group Diversified Holdings LLC  5.25%  4/15/2029   19,225,000    18,208,211 
HA Sustainable Infrastructure Capital, Inc.  6.15%  1/15/2031   19,200,000    19,775,731 
HA Sustainable Infrastructure Capital, Inc.  7.125%
(5 yr. CMT + 3.48%
)#  11/15/2056   9,800,000    9,896,285 
Sixth Street Lending Partners  6.50%  3/11/2029   4,733,000    4,843,141 
Total              69,341,157 
                 
Iron-Steel 1.18%                
Algoma Steel, Inc. (Canada)†(d)  9.125%  4/15/2029   32,859,000    30,542,457 
Cleveland-Cliffs, Inc.  6.875%  11/1/2029   13,921,000    14,196,422 
Cleveland-Cliffs, Inc.  7.50%  9/15/2031   13,009,000    13,293,273 
CSN Inova Ventures (Cayman Islands)(d)  6.75%  1/28/2028   20,611,000    17,589,982 
Mineral Resources Ltd. (Australia)†(d)  6.00%  5/1/2032   19,225,000    19,093,255 
Samarco Mineracao SA (Brazil)(d)  9.50%  6/30/2031   22,883,739    22,972,780 
Total              117,688,169 
                 
Leisure Time 1.57%                
Carnival Corp.  5.75%  3/15/2030   26,486,000    26,884,456 
Carnival Corp.  5.875%  6/15/2031   33,525,000    34,020,298 
Deuce Finco PLC  7.00%  11/20/2031  GBP 10,425,000    14,207,302 
Lindblad Expeditions LLC  7.00%  9/15/2030  $31,985,000    32,874,727 

 

  See Notes to Schedule of Investments. 69
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
   Principal
Amount
    Fair
Value
 
Leisure Time (continued)                
NCL Corp. Ltd.  7.75%  2/15/2029  $9,600,000   $10,025,971 
NCL Finance Ltd.  6.125%  3/15/2028   16,460,000    16,709,451 
Polaris, Inc.  5.60%  3/1/2031   9,600,000    9,581,110 
Royal Caribbean Cruises Ltd.  5.50%  4/1/2028   12,000,000    12,131,356 
Total              156,434,671 
                 
Lodging 0.96%                
Full House Resorts, Inc.  8.25%  2/15/2028   44,727,000    42,513,437 
Genting New York LLC/GENNY Capital, Inc.  7.25%  10/1/2029   14,543,000    14,776,421 
Hilton Grand Vacations Borrower LLC/Hilton Grand Vacations Borrower, Inc.  5.00%  6/1/2029   10,100,000    9,780,439 
Las Vegas Sands Corp.  5.625%  6/15/2028   9,628,000    9,770,017 
Las Vegas Sands Corp.  6.00%  8/15/2029   9,500,000    9,780,599 
Sands China Ltd. (Macau)(d)  5.40%  8/8/2028   9,350,000    9,462,995 
Total              96,083,908 
                 
Machinery-Diversified 0.62%                
GrafTech Global Enterprises, Inc.†(c)  9.875%  12/23/2029   36,640,000    27,571,600 
Maxim Crane Works Holdings Capital LLC  11.50%  9/1/2028   24,200,000    25,287,209 
Regal Rexnord Corp.  6.30%  2/15/2030   8,400,000    8,799,157 
Total              61,657,966 
                 
Media 5.34%                
AMC Global Media, Inc.  4.25%  2/15/2029   42,243,000    37,200,356 
Cable One, Inc.  4.00%  11/15/2030   42,173,000    29,440,710 
CCO Holdings LLC/CCO Holdings Capital Corp.  4.50%  8/15/2030   15,000,000    13,999,427 
CCO Holdings LLC/CCO Holdings Capital Corp.†(c)  4.50%  6/1/2033   33,475,000    28,792,204 
CCO Holdings LLC/CCO Holdings Capital Corp.  6.375%  9/1/2029   46,075,000    46,182,357 
CSC Holdings LLC  4.125%  12/1/2030   4,800,000    2,861,341 
CSC Holdings LLC  4.625%  12/1/2030   17,814,000    6,262,303 
CSC Holdings LLC  5.75%  1/15/2030   13,555,000    4,825,018 
CSC Holdings LLC  11.75%  1/31/2029   27,904,000    19,999,129 
Directv Financing LLC  8.875%  2/1/2030   9,524,000    9,711,832 
Directv Financing LLC/Directv Financing Co-Obligor, Inc.  10.00%  2/15/2031   56,175,000    58,491,657 
DISH DBS Corp.  7.375%  7/1/2028   45,525,000    44,495,839 
EchoStar Corp.  6.75%  11/30/2030   18,296,987    18,587,305 
EchoStar Corp.  10.75%  11/30/2029   17,575,000    19,093,171 
EW Scripps Co.  9.875%  8/15/2030   6,010,000    6,031,566 
Gray Media, Inc.†(c)  4.75%  10/15/2030   14,550,000    11,659,773 
Gray Media, Inc.  10.50%  7/15/2029   10,546,000    11,201,318 

 

70 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Media (continued)                
iHeartCommunications, Inc.†(c)  9.125%  5/1/2029  $4,830,000   $4,842,075 
McGraw-Hill Education, Inc.  5.75%  8/1/2028   21,692,000    21,542,625 
Paramount Global  7.875%  7/30/2030   38,440,000    40,916,854 
Scripps Escrow II, Inc.†(c)  5.375%  1/15/2031   6,250,000    4,836,720 
Sirius XM Radio LLC  4.125%  7/1/2030   10,850,000    10,101,775 
Telenet Finance Luxembourg Notes SARL (Luxembourg)†(d)  5.50%  3/1/2028   16,000,000    15,862,314 
Univision Communications, Inc.  7.375%  6/30/2030   13,565,000    13,560,707 
Univision Communications, Inc.  8.50%  7/31/2031   12,600,000    12,796,620 
Virgin Media Secured Finance PLC (United Kingdom)†(d)  5.50%  5/15/2029   16,400,000    15,833,715 
Ziggo Bond Co. BV (Netherlands)†(d)  5.125%  2/28/2030   22,375,000    19,646,575 
Ziggo Bond Co. BV  6.125%  11/15/2032  EUR 4,800,000    5,044,934 
Total              533,820,220 
                 
Metal Fabricate-Hardware 0.29%                
Park-Ohio Industries, Inc.†(c)  8.50%  8/1/2030  $27,513,000    28,658,669 
                 
Mining 3.17%                
Alumina Pty. Ltd. (Australia)†(d)  6.125%  3/15/2030   36,498,000    37,332,600 
Aris Mining Corp. (Canada)†(d)  8.00%  10/31/2029   15,222,000    15,763,305 
Arsenal AIC Parent LLC  8.00%  10/1/2030   15,400,000    16,119,072 
Coeur Mining, Inc.  6.875%  4/1/2032   14,405,000    14,856,381 
Compass Minerals International, Inc.  8.00%  7/1/2030   30,754,000    32,122,953 
Eldorado Gold Corp. (Canada)†(d)  6.25%  9/1/2029   17,477,000    17,453,095 
First Quantum Minerals Ltd. (Canada)†(d)  8.625%  6/1/2031   4,225,000    4,410,702 
Fortescue Treasury Pty. Ltd. (Australia)†(c)(d)  6.125%  4/15/2032   16,290,000    16,853,900 
Freeport Indonesia PT (Indonesia)(d)  5.315%  4/14/2032   10,600,000    10,628,546 
Hudbay Minerals, Inc. (Canada)†(d)  6.125%  4/1/2029   10,285,000    10,332,434 
Ivanhoe Mines Ltd. (Canada)†(d)  7.875%  1/23/2030   16,811,000    17,151,497 
JW Aluminum Continuous Cast Co.  10.25%  4/1/2030   22,434,000    23,285,146 
Novelis Corp.  6.875%  1/30/2030   56,426,000    57,886,361 
PLS Group Ltd. (Australia)†(d)  6.875%  5/1/2031   9,895,000    10,134,675 
Vedanta Resources Finance II PLC (United Kingdom)(c)(d)  9.475%  7/24/2030   9,100,000    9,591,428 
WE Soda Investments Holding PLC (United Kingdom)(d)  9.50%  10/6/2028   23,050,000    23,347,803 
Total              317,269,898 
                 
Miscellaneous Manufacturing 1.13%                
Axon Enterprise, Inc.  6.125%  3/15/2030   25,283,000    25,915,477 
Calderys Financing II LLC  11.75%  6/1/2028   17,815,937    18,096,449 
LSB Industries, Inc.  6.25%  10/15/2028   35,522,000    35,561,820 
Maxam Prill SARL (Luxembourg)†(d)  7.75%  7/15/2030   32,500,000    33,730,222 
Total              113,303,968 

 

  See Notes to Schedule of Investments. 71
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Oil & Gas 10.03%                
Azule Energy Finance PLC (United Kingdom)(d)  8.125%  1/23/2030  $12,225,000   $12,620,393 
Azule Energy Finance PLC (United Kingdom)(d)  8.25%  1/22/2031   4,600,000    4,754,778 
Azule Energy Finance PLC (United Kingdom)(d)  8.25%  1/22/2031   5,000,000    5,168,237 
BKV Upstream Midstream LLC  7.50%  10/15/2030   36,417,000    37,418,722 
Borr IHC Ltd./Borr Finance LLC  10.00%  11/15/2028   34,790,854    36,366,819 
Borr IHC Ltd./Borr Finance LLC  10.375%  11/15/2030   24,965,534    26,218,541 
California Resources Corp.  8.25%  6/15/2029   15,399,000    16,064,700 
Caturus Energy LLC  7.125%  5/15/2031   5,022,000    5,042,128 
Caturus Energy LLC  8.50%  2/15/2030   35,157,000    36,776,127 
CITGO Petroleum Corp.  8.375%  1/15/2029   18,613,000    19,163,070 
Comstock Resources, Inc.  5.875%  1/15/2030   5,175,000    5,015,626 
Comstock Resources, Inc.  6.75%  3/1/2029   18,852,000    18,854,673 
Crescent Energy Finance LLC  7.75%  7/31/2029   19,102,000    19,304,386 
Crescent Energy Finance LLC  7.875%  4/15/2032   25,025,000    25,957,682 
Global Marine, Inc.  7.00%  6/1/2028   29,526,000    29,721,314 
Gulfport Energy Operating Corp.  6.75%  9/1/2029   19,177,000    19,697,866 
Hilcorp Energy I LP/Hilcorp Finance Co.  6.00%  2/1/2031   9,700,000    9,591,772 
Hilcorp Energy I LP/Hilcorp Finance Co.  6.25%  11/1/2028   23,693,000    23,856,055 
Hilcorp Energy I LP/Hilcorp Finance Co.  6.25%  4/15/2032   20,100,000    19,981,080 
Infinity Natural Resources LLC  7.625%  4/1/2031   24,533,000    24,960,880 
Kraken Oil & Gas Partners LLC  7.625%  8/15/2029   37,534,000    38,264,957 
Moss Creek Resources Holdings, Inc.  8.25%  9/1/2031   29,215,000    29,592,662 
Nabors Industries, Inc.  7.625%  11/15/2032   9,625,000    10,048,048 
Nabors Industries, Inc.†(c)  8.875%  8/15/2031   19,725,000    20,837,332 
Noble Finance II LLC  8.00%  4/15/2030   42,973,000    44,711,945 
Occidental Petroleum Corp.  7.50%  5/1/2031   8,150,000    9,080,543 
Occidental Petroleum Corp.  8.875%  7/15/2030   8,405,000    9,575,216 
PBF Holding Co. LLC/PBF Finance Corp.  6.00%  2/15/2028   10,549,000    10,545,376 
PBF Holding Co. LLC/PBF Finance Corp.†(c)  7.875%  9/15/2030   9,330,000    9,568,681 
PBF Holding Co. LLC/PBF Finance Corp.†(c)  9.875%  3/15/2030   23,062,000    24,791,166 
Petroleos Mexicanos (Mexico)(d)  8.75%  6/2/2029   24,320,000    26,051,098 
Phillips 66 Co.  5.875%
(5 yr. CMT + 2.28%
)#  3/15/2056   19,200,000    19,151,265 
Precision Drilling Corp. (Canada)†(d)  6.875%  1/15/2029   6,592,000    6,655,072 
Saturn Oil & Gas, Inc. (Canada)†(c)(d)  9.625%  6/15/2029   35,761,000    37,516,937 
Seadrill Finance Ltd.  8.375%  8/1/2030   19,543,000    20,497,113 
SierraCol Energy Andina LLC†(c)  6.00%  6/15/2028   12,271,000    11,886,795 
SM Energy Co.  6.50%  7/15/2028   9,615,000    9,648,297 

 

72 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Oil & Gas (continued)                
SM Energy Co.  6.75%  8/1/2029  $17,304,000   $17,759,632 
SM Energy Co.  8.625%  11/1/2030   9,776,000    10,345,452 
SM Energy Co.  8.75%  7/1/2031   6,744,000    7,077,383 
Sunoco LP  7.875%
(5 yr. CMT + 4.23%
)#  (e)   18,449,000    19,115,858 
Talos Production, Inc.  9.00%  2/1/2029   13,729,000    14,329,451 
Talos Production, Inc.  9.375%  2/1/2031   20,338,000    21,647,645 
TGNR Intermediate Holdings LLC  5.50%  10/15/2029   26,220,000    25,878,550 
Transocean International Ltd.  8.25%  5/15/2029   24,134,000    25,070,906 
Transocean International Ltd.  8.50%  5/15/2031   10,000,000    10,580,280 
Valaris Ltd.  8.375%  4/30/2030   41,236,000    43,014,674 
Vermilion Energy, Inc. (Canada)†(d)  6.875%  5/1/2030   35,500,000    35,873,331 
Wildfire Intermediate Holdings LLC  7.50%  10/15/2029   36,432,000    37,516,581 
Total              1,003,167,095 
                 
Oil & Gas Services 1.03%                
CHC Group LLC  11.75%  9/1/2030   30,247,000    27,483,029 
Enerflex, Inc.  6.875%  1/15/2031   8,813,000    9,083,718 
Helix Energy Solutions Group, Inc.  9.75%  3/1/2029   12,414,000    13,044,830 
SESI LLC  7.875%  9/30/2030   28,576,000    29,522,094 
Star Holding LLC  8.75%  8/1/2031   6,250,000    6,384,894 
USA Compression Partners LP/USA Compression Finance Corp.  7.125%  3/15/2029   16,605,000    17,166,730 
Total              102,685,295 
                 
Packaging & Containers 1.83%                
Ardagh Group SA (Luxembourg)†(c)(d)  12.00%  12/1/2030   20,678,688    18,582,903 
Ardagh Group SA  12.00%  12/1/2030  EUR 8,550,000    9,015,338 
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC  6.25%  1/30/2031  $3,659,000    3,686,410 
Clydesdale Acquisition Holdings, Inc.  6.875%  1/15/2030   16,000,000    15,663,234 
Clydesdale Acquisition Holdings, Inc.  8.75%  4/15/2030   32,945,000    29,911,133 
LABL, Inc.  Zero Coupon  10/1/2031   9,201,000    4,002,435 
LABL, Inc.†(f)  9.50%  11/1/2028   9,998,000    4,349,130 
Mauser Packaging Solutions Holding Co.  7.875%  4/15/2030   9,600,000    9,714,000 
Mauser Packaging Solutions Holding Co.  9.25%  4/15/2030   31,727,000    30,259,499 
Sword Purchaser LLC  8.25%  4/15/2033   9,682,000    9,914,399 
Toucan FinCo Ltd./Toucan FinCo Can, Inc./Toucan FinCo U.S. LLC (Jersey)†(d)  9.50%  5/15/2030   21,572,000    18,921,187 
Trivium Packaging Finance BV (Netherlands)†(d)  12.25%  1/15/2031   26,589,000    29,009,769 
Total              183,029,437 

 

  See Notes to Schedule of Investments. 73
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Pharmaceuticals 1.46%              
Adapthealth LLC  5.125%  3/1/2030  $5,275,000   $5,133,108 
Adapthealth LLC  6.125%  8/1/2028   11,550,000    11,555,089 
Cheplapharm Arzneimittel GmbH  7.125%  6/15/2031  EUR 2,987,000    3,571,209 
Cheplapharm Arzneimittel GmbH  7.50%  5/15/2030  EUR 10,500,000    12,629,458 
Curaleaf Holdings, Inc.  11.50%  2/18/2029  $13,941,000    14,392,131 
CVS Health Corp.  7.00%
(5 yr. CMT + 2.89%
)#  3/10/2055   9,300,000    9,655,142 
HLF Financing SARL LLC/Herbalife International, Inc.  4.875%  6/1/2029   50,873,000    47,870,127 
HLF Financing SARL LLC/Herbalife International, Inc.  7.75%  5/1/2033   10,322,000    10,548,941 
Organon & Co./Organon Foreign Debt Co-Issuer BV  5.125%  4/30/2031   22,209,000    22,084,122 
Teva Pharmaceutical Finance Netherlands IV BV (Netherlands)(d)  5.75%  12/1/2030   8,170,000    8,390,500 
Total              145,829,827 
                 
Pipelines 2.72%                
Buckeye Partners LP  6.75%  2/1/2030   40,998,000    42,432,520 
Delek Logistics Partners LP/Delek Logistics Finance Corp.  7.125%  6/1/2028   18,241,000    18,259,706 
Delek Logistics Partners LP/Delek Logistics Finance Corp.  8.625%  3/15/2029   13,857,000    14,464,408 
Energy Transfer LP  6.50%
(5 yr. CMT + 5.69%
)#  (e)  26,924,000    27,036,650 
Energy Transfer LP  6.625%
(3 mo. USD Term SOFR + 4.42%
)#  (e)   9,550,000    9,664,504 
Golar LNG Ltd.  7.50%  10/2/2030   400,000    410,086 
Golar LNG Ltd.  7.75%  9/19/2029   3,200,000    3,265,928 
Harvest Midstream I LP  7.50%  9/1/2028   11,236,000    11,318,124 
Plains All American Pipeline LP(c)  8.024%
(3 mo. USD Term SOFR + 4.37%
)#  (e)   16,280,000    16,320,739 
Venture Global LNG, Inc.†(c)  7.00%  1/15/2030   9,600,000    9,879,197 
Venture Global LNG, Inc.  8.125%  6/1/2028   15,213,000    15,573,183 
Venture Global LNG, Inc.  9.00%
(5 yr. CMT + 5.44%
)#  (e)   36,845,000    36,466,517 
Venture Global LNG, Inc.  9.50%  2/1/2029   51,025,000    55,709,197 
Western Midstream Operating LP  7.25%  4/1/2030   10,161,000    10,716,349 
Total              271,517,108 
                 
Real Estate 0.95%                
CPI Property Group SA  7.50%
(5 yr. EURIBOR ICE Swap + 5.23%
)#  (e)  EUR 4,040,000    4,364,109 
Cushman & Wakefield U.S. Borrower LLC  6.75%  5/15/2028  $28,576,000    28,594,665 
Five Point Operating Co. LP  8.00%  10/1/2030   24,667,000    25,310,118 

 

74 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Real Estate (continued)                
Hunt Cos., Inc.  5.25%  4/15/2029  $21,166,000   $20,517,150 
Kennedy-Wilson, Inc.  4.75%  2/1/2030   3,729,000    3,682,127 
Kennedy-Wilson, Inc.(c)  5.00%  3/1/2031   5,609,000    5,589,901 
Newmark Group, Inc.  7.50%  1/12/2029   6,581,000    6,931,899 
Total              94,989,969 
                 
REITS 2.29%                
Arbor Realty SR, Inc.  7.875%  7/15/2030   1,927,000    1,821,370 
Arbor Realty SR, Inc.†(c)  8.50%  12/15/2028   13,013,000    12,898,398 
Blackstone Mortgage Trust, Inc.  7.75%  12/1/2029   15,055,000    16,021,365 
Brandywine Operating Partnership LP  6.125%  1/15/2031   4,895,000    4,560,356 
Brandywine Operating Partnership LP  8.875%  4/12/2029   27,561,000    28,867,226 
Diversified Healthcare Trust  7.25%  10/15/2030   17,702,000    18,084,399 
EF Holdco/EF Cayman Holdings/Ellington Financial REIT Cayman/TRS/ EF Cayman Non-MTM  7.375%  9/30/2030   16,667,000    16,581,020 
Iron Mountain, Inc.  5.25%  7/15/2030   9,519,000    9,425,635 
Millrose Properties, Inc.  6.375%  8/1/2030   22,348,000    22,649,787 
Piedmont Operating Partnership LP  6.875%  7/15/2029   13,913,000    14,596,190 
Piedmont Operating Partnership LP  9.25%  7/20/2028   7,830,000    8,533,348 
Starwood Property Trust, Inc.  6.50%  7/1/2030   16,525,000    16,940,125 
Starwood Property Trust, Inc.  6.50%  10/15/2030   8,568,000    8,817,157 
Starwood Property Trust, Inc.  7.25%  4/1/2029   37,805,000    39,222,990 
Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC†(c)  6.00%  1/15/2030   5,269,000    5,095,128 
XHR LP  4.875%  6/1/2029   5,100,000    5,009,109 
Total              229,123,603 
                 
Retail 3.67%                
Advance Auto Parts, Inc.  7.00%  8/1/2030   32,604,000    33,650,132 
Arko Corp.†(c)  5.125%  11/15/2029   14,750,000    13,306,507 
Bloomin’ Brands, Inc./OSI Restaurant Partners LLC†(c)  5.125%  4/15/2029   24,438,000    22,084,283 
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.†(c)  6.75%  1/15/2030   8,317,000    8,063,367 
Global Auto Holdings Ltd./AAG FH U.K. Ltd. (United Kingdom)†(d)  8.375%  1/15/2029   23,748,000    22,664,141 
Global Auto Holdings Ltd./AAG FH U.K. Ltd. (United Kingdom)†(c)(d)  11.50%  8/15/2029   19,760,000    20,078,334 
GPS Hospitality Holding Co. LLC/GPS Finco, Inc.  7.00%  8/15/2028   12,121,000    5,939,290 
Group 1 Automotive, Inc.  4.00%  8/15/2028   10,075,000    9,814,209 
LBM Acquisition LLC†(c)  6.25%  1/15/2029   17,250,000    11,970,479 
LBM Acquisition LLC  9.50%  6/15/2031   12,214,000    10,702,331 
LCM Investments Holdings II LLC  4.875%  5/1/2029   10,100,000    9,894,406 
Park River Holdings, Inc.  8.00%  3/15/2031   25,470,000    25,635,886 

 

  See Notes to Schedule of Investments. 75
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Retail (continued)                
Park River Holdings, Inc.†(c)  8.75%  12/31/2030  $14,161,152   $13,404,996 
Petco Health & Wellness Co., Inc.  8.25%  2/1/2031   14,574,000    14,727,046 
Punch Finance PLC  7.875%  12/30/2030  GBP7,468,000    10,334,627 
Punch Finance PLC  7.875%  12/30/2030  GBP6,470,000    8,953,540 
Specialty Building Products Holdings LLC/SBP Finance Corp.  7.75%  10/15/2029  $24,721,000    21,841,892 
Staples, Inc.  10.75%  9/1/2029   23,290,000    22,279,321 
Stonegate Pub Co. Financing PLC  10.75%  7/31/2029  GBP24,462,000    33,534,755 
Victra Holdings LLC/Victra Finance Corp.†(c)  8.75%  9/15/2029  $35,719,000    37,422,618 
Waga Bondco Ltd.  8.50%  6/15/2030  GBP4,800,000    5,646,811 
White Cap Supply Holdings LLC†(c)  7.375%  11/15/2030  $4,617,000    4,671,887 
Total              366,620,858 
                 
Semiconductors 0.80%                
ams-OSRAM AG  10.50%  3/30/2029  EUR3,065,000    3,800,692 
ams-OSRAM AG (Austria)†(d)  12.25%  3/30/2029  $23,235,000    24,868,304 
Kioxia Holdings Corp. (Japan)†(d)  6.25%  7/24/2030   31,200,000    32,162,066 
Microchip Technology, Inc.  5.05%  2/15/2030   19,200,000    19,405,970 
Total              80,237,032 
                 
Software 1.74%                
Central Parent LLC/CDK Global II LLC/CDK Financing Co., Inc.  8.00%  6/15/2029   13,482,000    8,089,200(a) 
Central Parent, Inc./CDK Global, Inc.  7.25%  6/15/2029   29,908,000    17,944,800(a) 
CoreWeave, Inc.†(c)  9.00%  2/1/2031   11,608,000    11,548,910 
CoreWeave, Inc.†(c)  9.25%  6/1/2030   49,579,000    50,239,065 
CoreWeave, Inc.  9.75%  10/1/2031   7,024,000    7,070,152 
Ellucian Holdings, Inc.  6.50%  12/1/2029   12,044,000    11,876,258 
Open Text Corp. (Canada)†(d)  3.875%  2/15/2028   12,505,000    12,107,802 
Oracle Corp.  6.15%  11/9/2029   18,250,000    18,808,097 
Pagaya U.S. Holdings Co. LLC†(c)  8.875%  8/1/2030   19,900,000    15,466,630 
Rocket Software, Inc.†(c)  6.50%  2/15/2029   5,775,000    5,161,347 
Rocket Software, Inc.  9.00%  11/28/2028   5,232,000    5,210,424 
Ubisoft Entertainment SA  0.878%  11/24/2027  EUR10,200,000    10,075,419 
Total              173,598,104 
                 
Telecommunications 4.19%                
APLD ComputeCo 2 LLC  6.75%  3/15/2031  $10,078,000    9,984,227 
APLD ComputeCo LLC  9.25%  12/15/2030   4,800,000    5,161,967 
Black Pearl Compute LLC  6.125%  2/15/2031   10,606,000    10,773,975 
Cipher Compute LLC  7.125%  11/15/2030   36,846,000    38,237,274 
Connect Finco SARL/Connect U.S. Finco LLC (Luxembourg)†(d)  9.00%  9/15/2029   23,325,000    24,629,731 
Core Scientific Finance I LLC†(b)  7.75%  5/15/2031   35,181,000    35,111,665 
Edged Compute LLC  7.50%  4/30/2031   10,575,000    10,374,543 

 

76 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Telecommunications (continued)                
Eutelsat Communications SACA  5.75%  3/15/2031  EUR5,967,000   $7,193,819 
Eutelsat Communications SACA  5.75%  3/15/2031  EUR2,786,000    3,357,710 
Flash Compute LLC  7.25%  12/31/2030  $ 43,483,000    44,410,061 
Hughes Satellite Systems Corp.  5.25%  8/1/2026   12,282,000    11,154,906 
Hughes Satellite Systems Corp.  6.625%  8/1/2026   16,778,000    11,969,845 
Iliad Holding SAS (France)†(d)  7.00%  10/15/2028   14,400,000    14,508,706 
Meridian Arc Holdco LLC  6.25%  4/30/2031   29,909,000    29,916,100 
PR RNO Property Owner 1 LLC  6.50%  5/1/2031   19,996,000    19,831,011 
SV RNO Property Owner 1 LLC  5.875%  3/1/2031   49,280,000    48,383,040 
Viasat, Inc.  7.50%  5/30/2031   10,210,000    10,245,245 
Vmed O2 U.K. Financing I PLC  4.50%  7/15/2031  GBP12,650,000    14,892,217 
Vmed O2 U.K. Financing I PLC (United Kingdom)†(d)  7.75%  4/15/2032  $14,600,000    14,211,856 
WULF Compute LLC  7.75%  10/15/2030   51,427,000    54,081,156 
Total              418,429,054 
                 
Transportation 1.46%                
Carriage Purchaser, Inc.  7.875%  10/15/2029   24,859,000    24,172,911 
Mobico Group PLC  3.625%  11/20/2028  GBP8,166,000    9,905,093 
Mobico Group PLC  7.853%
(5 yr. U.K. Government Bond + 4.14%
)#  (e)  GBP10,674,000    9,033,177 
Ocado Group PLC  10.50%  8/8/2029  GBP5,858,000    8,087,576 
Rand Parent LLC  8.50%  2/15/2030  $32,584,000    33,937,344 
Seaspan Corp. (Hong Kong)†(d)  5.50%  8/1/2029   25,987,000    24,860,917 
SGL Group ApS  6.274%
(3 mo. EURIBOR + 4.25%
)#  2/24/2031  EUR6,470,000    7,270,340 
Star Leasing Co. LLC  7.625%  2/15/2030  $29,785,000    28,847,967 
Total              146,115,325 
                 
Water 0.03%                
Aegea Finance SARL (Luxembourg)(d)  6.75%  5/20/2029   1,500,000    1,261,380 
Aegea Finance SARL (Luxembourg)(c)(d)  9.00%  1/20/2031   1,940,000    1,627,175 
Total              2,888,555 
Total Corporate Bonds (cost $8,937,443,400)        8,899,522,344 
                 
FLOATING RATE LOANS(g) 4.27%                
                 
Aerospace & Defense 0.15%                
Alloy Finco Ltd. 2026 USD PIK New Way Term Loan B 13.50% (Jersey)(d)  0.50%
(3 mo. USD Term SOFR + 0.50%
) 3/6/2028   645,880    15,435,094 
                 
Airlines 0.05%                
JetBlue Airways Corp. 2024 Term Loan B  8.435%
(3 mo. USD Term SOFR + 4.75%
) 8/27/2029   5,261,646    4,717,960 
     
  See Notes to Schedule of Investments. 77
   

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Auto Parts & Equipment 0.26%                
Autokiniton U.S. Holdings, Inc. 2024 Term Loan B  7.767%
(1 mo. USD Term SOFR + 4.00%
) 4/6/2028  $15,419,645   $15,283,104 
First Brands Group LLC 2021 Term Loan  10.779%
(3 mo. USD Term SOFR + 7.11%
) 3/30/2027   9,029,412    28,962 
First Brands Group LLC 2022 Incremental Term Loan  (h)  3/30/2027   7,550,114    24,217 
First Brands Group LLC 2025 DIP Term Loan  13.657%
(1 mo. USD Term SOFR + 10.00%
) 6/29/2026   32,377    8,003 
RealTruck Group, Inc. 2026 FLSO Tranche A Term Loan  8.517%
(3 mo. USD Term SOFR + 4.75%
) 1/31/2031   6,705,024    3,911,275 
RealTruck Group, Inc. 2026 FLSO Tranche B Term Loan B  9.767%
(3 mo. USD Term SOFR + 6.00%
) 1/31/2031   11,697,813    6,811,052 
Total              26,066,613 
                 
Building Materials 0.03%                
Oscar AcquisitionCo LLC Term Loan B  7.95%
(3 mo. USD Term SOFR + 4.25%
) 4/30/2029   3,830,078    2,707,865 
                 
Chemicals 0.12%                
INEOS Quattro Holdings U.K. Ltd. 2023 USD 1st Lien Term Loan B (United Kingdom)(d)  8.002%
(1 mo. USD Term SOFR + 4.25%
) 4/2/2029   12,787,379    11,812,405 
                 
Commercial Services 0.68%                
Crash Champions LLC 2024 Term Loan B  8.423%
(3 mo. USD Term SOFR + 4.75%
) 2/23/2029   17,940,160    17,168,733 
CRM Series Seller 2025 LLC Revolver(i)  7.48% - 7.52%
(1 day USD Term SOFR + 3.85%
(3 mo. USD Term SOFR + 3.85%

)

)

8/20/2030   16,500,000    16,478,550(j) 
Spin Holdco, Inc. 2026 First Lien First Out Term Loan  9.096%
(3 mo. USD Term SOFR + 5.43%
) 9/4/2030   4,384,234    4,480,425 
Spin Holdco, Inc. 2026 First Lien Second Out Term Loan  7.928%
(3 mo. USD Term SOFR + 4.00%
) 9/4/2030   20,909,888    14,793,746 
Stonepeak Taurus Lower Holdings LLC 2022 2nd Lien Term Loan  10.80%
(3 mo. USD Term SOFR + 7.00%
) 1/28/2030   9,795,000    8,483,743 
TruGreen LP 2020 Term Loan  (h)  11/2/2027   6,720,000    6,429,360 
Total              67,834,557 

 

78 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Computers 0.10%                
McAfee LLC 2024 USD 1st Lien Term Loan B  6.652%
(1 mo. USD Term SOFR + 3.00%
) 3/1/2029  $11,412,109   $10,085,451 
                 
Containers & Packaging 0.31%                
Iris Holding, Inc. Term Loan  8.513%
(3 mo. USD Term SOFR + 4.75%
) 6/28/2028    19,823,643    18,775,766 
LABL, Inc. 2026 Final Roll-Up DIP Term Loan A4  10.461%
(3 mo. USD Term SOFR + 6.75%
) 12/2/2026   700,105    595,089(j) 
LABL, Inc. 2026 USD Interim New Money DIP Term Loan  10.423%
(3 mo. USD Term SOFR + 6.75%
) 12/2/2026   1,176,706    1,180,631 
LABL, Inc. 2026 USD Interim Roll up DIP Term Loan  10.41%
(3 mo. USD Term SOFR + 6.75%
) 12/2/2026   450,690    383,086(j) 
Tosca Services LLC 2024 Second Out Superpriority PIK Term Loan B  8.05%
(3 mo. USD Term SOFR + 4.25%
) 11/30/2028   10,444,271    9,977,986 
Total              30,912,558 
                 
Cosmetics/Personal Care 0.19%                
Conair Holdings LLC Term Loan B  7.517%
(1 mo. USD Term SOFR + 3.75%
) 5/17/2028   26,286,019    18,613,787 
                 
Diversified Financial Services 0.07%                
BSFR II UTE I LLC Revolver(i)  7.665% - 7.67%
(1 mo. USD Term SOFR + 4.00%
(3 mo. USD Term SOFR + 4.00%

)

)

3/24/2028   7,425,000    7,396,785(j) 
                 
Gaming/Leisure 0.28%                
888 Acquisitions Ltd. USD Term Loan B (United Kingdom)(d)  9.019%
(6 mo. USD Term SOFR + 5.25%
) 7/1/2028   6,096,849    5,872,790 
United FP Holdings LLC 2019 1st Lien Term Loan  7.925%
(3 mo. USD Term SOFR + 4.00%
) 12/30/2026   23,159,815    22,407,121 
Total              28,279,911 
                 
Health Care Products 0.10%                
Hologic, Inc. 2026 USD 2nd Lien Term Loan  8.679%
(3 mo. USD Term SOFR + 5.00%
) 4/10/2034   9,800,000    9,702,000(j) 
     
  See Notes to Schedule of Investments. 79
   

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Health Care Services 0.26%                
ADMI Corp. 2023 Term Loan B5  9.402%
(1 mo. USD Term SOFR + 5.75%
) 12/23/2027  $10,457,964   $9,908,921 
Dermatology Intermediate Holdings III, Inc. 2022 Term Loan B  7.913%
(3 mo. USD Term SOFR + 4.25%
) 3/30/2029   9,041,464    8,644,001 
Dermatology Intermediate Holdings III, Inc. 2023 Incremental Term Loan B  9.163%
(3 mo. USD Term SOFR + 5.50%
) 3/30/2029   7,205,940    6,890,680 
New WPCC Parent LLC Term Loan  13.152%
(1 mo. USD Term SOFR + 9.50%
) 5/9/2030   641,873    637,329 
Total              26,080,931 
                 
Information Technology Services 0.01%                
Recovery Solutions Parent LLC Term Loan  11.20%
(3 mo. USD Term SOFR + 7.50%
) 1/28/2030   1,179,606    1,181,570 
                 
Machinery: Diversified 0.40%                
CPM Holdings, Inc. 2023 Term Loan  8.165%
(1 mo. USD Term SOFR + 4.50%
) 9/28/2028   30,332,812    30,398,027 
LSF12 Badger Bidco LLC Term Loan B  9.152%
(1 mo. USD Term SOFR + 5.50%
) 8/30/2030   9,346,354    9,369,720 
Total              39,767,747 
                 
Media 0.34%                
Sinclair Television Group, Inc. 2025 Term Loan B6  7.067%
(1 mo. USD Term SOFR + 3.30%
) 12/31/2029   19,187,027    17,508,258 
Sinclair Television Group, Inc. 2025 Term Loan B7  7.852%
(1 mo. USD Term SOFR + 4.10%
) 12/31/2030   18,648,132    16,905,744 
Total              34,414,002 
                 
Metal Fabricate/Hardware 0.30%                
Tank Holding Corp. 2022 Term Loan  9.502%
(1 mo. USD Term SOFR + 5.75%
) 3/31/2028   30,217,277    26,959,552 
Tank Holding Corp. 2023 Incremental Delayed Draw Term Loan  9.752%
(1 mo. USD Term SOFR + 6.00%
) 3/31/2028   1,141,535    1,013,112 
Tank Holding Corp. 2023 Incremental Term Loan  9.752%
(1 mo. USD Term SOFR + 6.00%
) 3/31/2028   2,691,898    2,389,060 
Total              30,361,724 
                 
Miscellaneous Manufacture 0.11%                
Rohm Holding GmbH 2024 EUR PIK Term Loan B  7.149%
(6 mo. EURIBOR + 4.75%
) 1/31/2029  EUR9,541,843    10,952,800 

 

80 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Pharmaceuticals 0.05%                
Gainwell Acquisition Corp. 2nd Lien Term Loan  11.774%
(3 mo. USD Term SOFR + 8.00%
) 10/2/2028  $4,812,000   $4,547,340 
                 
Real Estate 0.05%                
CoreLogic, Inc. 2nd Lien Term Loan  10.267%
(1 mo. USD Term SOFR + 6.50%
) 6/4/2029   5,290,000    5,029,917 
                 
Retail 0.26%                
LBM Acquisition LLC 2024 Incremental Term Loan B  7.502%
(1 mo. USD Term SOFR + 3.75%
) 6/6/2031   5,761,023    4,842,140 
RVR Dealership Holdings LLC 2026 Term Loan B  8.167%
(3 mo. USD Term SOFR + 4.50%
) 2/26/2033   16,923,000    16,362,510 
Specialty Building Products Holdings LLC 2021 Term Loan B  7.502%
(1 mo. USD Term SOFR + 3.75%
) 10/16/2028   5,485,714    4,806,885 
Total              26,011,535 
                 
Software 0.15%                
Boxer Parent Co., Inc. 2024 2nd Lien Term Loan  9.413%
(3 mo. USD Term SOFR + 5.75%
) 7/30/2032   10,315,000    8,793,537 
Central Parent, Inc. 2024 Term Loan B  6.95%
(3 mo. USD Term SOFR + 3.25%
) 7/6/2029   8,270,050    4,775,954(j) 
VCI Asset Holdings 3 LLC Fixed Term Loan  6.875%  4/24/2031   1,526,000    1,510,740(j) 
Total              15,080,231 
Total Floating Rate Loans (cost $439,687,265)          426,992,783 
                 
FOREIGN GOVERNMENT OBLIGATIONS(d) 0.10%
                 
Angola 0.10%                
Angola Government International Bonds
(cost $9,694,635)
9.244%  1/15/2031   9,600,000    10,253,434 
                 
GOVERNMENT SPONSORED ENTERPRISES COLLATERALIZED MORTGAGE OBLIGATIONS 0.30%
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2020-DNA5 Class B2  15.145%
(30 day USD SOFR Average + 11.50%
)#  10/25/2050   9,000,000    12,359,685 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2020-HQA1 Class B2  8.86%
(30 day USD SOFR Average + 5.21%
)#  1/25/2050   2,270,000    2,506,248 
     
  See Notes to Schedule of Investments. 81
   

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
GOVERNMENT SPONSORED ENTERPRISES COLLATERALIZED MORTGAGE OBLIGATIONS (continued)
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2021-HQA3 Class B2  9.895%
(30 day USD SOFR Average + 6.25%
)#  9/25/2041  $1,380,000   $1,404,665 
Federal Home Loan Mortgage Corp. STACR REMICS Trust Series 2021-HQA4 Class B2  10.645%
(30 day USD SOFR Average + 7.00%
)#  12/25/2041   1,845,000    1,905,388 
Federal Home Loan Mortgage Corp. STACR Trust Series 2019-HQA1 Class B2  16.01%
(30 day USD SOFR Average + 12.36%
)#  2/25/2049   2,280,000    2,723,475 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2021-R02 Class 2B2  9.845%
(30 day USD SOFR Average + 6.20%
)#  11/25/2041   883,000    905,488 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2022-R02 Class 2B2  11.295%
(30 day USD SOFR Average + 7.65%
)#  1/25/2042   1,890,000    1,972,717 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2022-R06 Class 1B2  14.245%
(30 day USD SOFR Average + 10.60%
)#  5/25/2042   5,255,000    5,738,496 
Federal National Mortgage Association Connecticut Avenue Securities Trust Series 2022-R07 Class 1B2  15.645%
(30 day USD SOFR Average + 12.00%
)#  6/25/2042   685,300    764,653 
Total Government Sponsored Enterprises Collateralized Mortgage Obligations
(cost $30,806,270)
      30,280,815 
                 
NON-AGENCY COMMERCIAL MORTGAGE-BACKED SECURITIES 0.17%
JP Morgan Mortgage Trust Series 2025-NQM4 Class B1  6.687%#(k)  3/25/2066   6,250,000    6,224,991 
ROCK Trust Series 2024-CNTR Class E  8.819%  11/13/2041   10,000,000    10,490,232 
Total Non-Agency Commercial Mortgage-Backed Securities (cost $16,756,077)       16,715,223 
Total Long-Term Investments (cost $9,856,593,260)        9,815,239,638 

 

82 See Notes to Schedule of Investments.
   

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 5.62%          
           
REPURCHASE AGREEMENTS 0.25%          
Repurchase Agreement dated 4/30/2026, 3.600% due 5/1/2026 with Barclays Capital, Inc. collateralized by $6,291,000 of U.S. Treasury Bond at 4.750% due 2/15/2056; value: $6,122,449; proceeds: $6,000,600
(cost $6,000,000)
  $6,000,000   $6,000,000 
Repurchase Agreement dated 4/30/2026, 3.250% due 5/1/2026 with Fixed Income Clearing Corp. collateralized by $19,054,200 of U.S. Treasury Note at 3.750% due 6/30/2027; value: $19,270,276; proceeds: $18,894,025
(cost $18,892,319)
   18,892,319    18,892,319 
Total Repurchase Agreements (cost $24,892,319)        24,892,319 
           
TIME DEPOSITS 0.54%          
CitiBank N.A.(l) (cost $53,652,867)   53,652,867    53,652,867 
           
    Shares      
           
MONEY MARKET FUNDS 4.83%          
Fidelity Government Portfolio(l) (cost $482,875,801)   482,875,801    482,875,801 
Total Short-Term Investments (cost $561,420,987)        561,420,987 
Total Investments in Securities 103.79% (cost $10,418,014,247)        10,376,660,625 
Less Unfunded Loan Commitments (0.14%) (cost $13,884,476)        (13,865,636)
Net Investments in Securities 103.65% (cost $10,404,129,771)        10,362,794,989 
Other Assets and Liabilities – Net(m) (3.65)%        (364,901,828)
Net Assets 100.00%       $9,997,893,161 

 

EUR   Euro.
GBP   British Pound.
CMT   Constant Maturity Rate.
EURIBOR   Euro Interbank Offered Rate.
ICE   Intercontinental Exchange.
PIK   Payment-in-kind.
REITS   Real Estate Investment Trusts.
REMICS   Real Estate Mortgage Investment Conduits.
SOFR   Secured Overnight Financing Rate.
STACR   Structured Agency Credit Risk.
  Principal Amount is denominated in U.S. dollars unless otherwise noted.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At April 30, 2026, the total value of Rule 144A securities was $7,230,555,157, which represents 72.32% of net assets.
#   Variable rate security. The interest rate represents the rate in effect at April 30, 2026.
*   Non-income producing security.
(a)  

Level 3 Investment as described in Note 2(a) in the Notes to Schedule of Investments. Security valued utilizing third party pricing information without adjustment. Such valuations are based on unobservable inputs. A significant change in third party information could result in a significantly lower or higher value of such Level 3 investments.

 

  See Notes to Schedule of Investments. 83

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

(b)   Securities purchased on a when-issued basis.
(c)   All or a portion of this security is temporarily on loan to unaffiliated broker/dealers.
(d)   Foreign security traded in U.S. dollars.
(e)   Security is perpetual in nature and has no stated maturity.
(f)   Defaulted.
(g)   Floating Rate Loans in which the Fund invests generally pay interest at rates which are periodically re-determined at a margin above the SOFR or the prime rate offered by major U.S. banks. The rate(s) shown is the rate(s) in effect at April 30, 2026.
(h)   Interest rate to be determined.
(i)   Security partially/fully unfunded.
(j)   Level 3 Investment as described in Note 2(a) in the Notes to Schedule of Investments. Floating Rate Loans categorized as Level 3 are valued based on a single quotation obtained from a dealer. Generally accepted accounting principles in the United States of America do not require the Fund to create quantitative unobservable inputs that were not developed by the Fund. Therefore, the Fund does not have access to unobservable inputs and cannot disclose such inputs in the valuation.
(k)   Interest rate is based on the weighted average interest rates of the underlying mortgages within the mortgage pool.
(l)   Security was purchased with the cash collateral from loaned securities.
(m)   Other Assets and Liabilities – Net include net unrealized appreciation/(depreciation) on forward foreign currency exchange contracts, futures contracts and swap contracts as follows:

 

Centrally Cleared Credit Default Swap Contracts on Indexes/Issuers – Sell Protection at April 30, 2026(1):

 

Referenced
Indexes/
Issuers
  Central
Clearing
Party
  Fund
Receives
(Quarterly)
  Termination
Date
  Notional
Amount
  Payments
Upfront(2)
  Unrealized
Appreciation/
(Depreciation)
(3)
  Value  
CDX.NA.HY.S46(4)   Bank of America   5.00%   6/20/2031   $ 279,675,000     $19,639,118     $291,845        $19,930,963  

 

(1)   If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap contracts agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap contracts and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap contracts less the recovery value of the referenced obligation or underlying securities.
(2)   Upfront payments paid (received) are presented net of amortization.
(3)   Total unrealized appreciation on Credit Default Swap Contracts on Indexes/Issuers amounted to $291,845. Total unrealized depreciation on Credit Default Swap Contracts on Indexes/Issuers amounted to $0.
(4)   Central Clearinghouse: Intercontinental Exchange (ICE).

 

Centrally Cleared Consumer Price Index (“CPI”) Swap Contracts at April 30, 2026:

 

Swap
Counterparty
  Payments to be
Made By
The Fund at
Termination Date
   Payments to be
Received By
The Fund at
Termination Date
  Termination
Date
  Notional
Amount
   Value/
Unrealized
Appreciation
 
Bank of America   2.600%   CPI Urban Consumer NSA  4/24/2031   $434,000,000    $2,947,212(1) 

 

CPI   Consumer Price Index: Rate fluctuates based on CPI.
NSA   Non-seasonally adjusted.

 

(1)   Unrealized appreciation on Centrally Cleared CPI Swap Contract is $2,126,565, which includes upfront payment of $820,647. Upfront payments paid (received) by Central Clearing Party are presented net of amortization.

 

84 See Notes to Schedule of Investments.

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Credit Default Swap Contracts on Indexes/Issuers – Sell Protection at April 30, 2026(1):

 

Referenced
Indexes/
Issuers*
  Swap
Counterparty
  Fund
Receives
(Quarterly)
   Termination
Date
  Notional
Amount
   Payments
Upfront
(2)
   Unrealized
Appreciation/
(Depreciation)
(3)
   Credit
Default Swap
Agreements
Payable at
Fair Value
(4)
 
CMBX. NA.BBB-.19  Citibank   3.000%   12/17/2058   $20,000,000    $(1,550,000)   $(16,666)   $(1,566,666)

 

*   The Referenced Index is for the Credit Default Swap Contracts on Indexes, which is comprised of a basket of commercial mortgage-backed securities.
(1)   If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap contracts agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap contracts and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap contracts less the recovery value of the referenced obligation or underlying securities.
(2)   Upfront payments paid (received) are presented net of amortization.
(3)   Total unrealized appreciation on Credit Default Swap Contracts on Indexes/Issuers amounted to $0. Total unrealized depreciation on Credit Default Swap Contracts on Indexes/Issuers amounted to $16,666.
(4)   Includes upfront payments paid (received).

 

Forward Foreign Currency Exchange Contracts at April 30, 2026:

 

Forward
Foreign
Currency
Exchange
Contracts
  Transaction
Type
  Counterparty  Expiration
Date
  Foreign
Currency
   U.S. $
Cost on
Origination
Date
   U.S. $
Current
Value
 Unrealized
Appreciation
 
British pound  Buy  Citibank  8/7/2026   3,023,000   $4,083,503   $4,111,933           $28,430 
British pound  Buy  Morgan Stanley  8/7/2026   1,462,000    1,975,101    1,988,636    13,535 
Euro  Buy  Bank of America  6/5/2026   3,635,000    4,269,875    4,272,432    2,557 
Euro  Buy  Morgan Stanley  6/5/2026   7,034,000    8,195,236    8,267,480    72,244 
Euro  Buy  Morgan Stanley  6/5/2026   2,101,000    2,456,790    2,469,431    12,641 
Euro  Buy  Morgan Stanley  6/5/2026   4,384,000    5,133,949    5,152,777    18,828 
Euro  Buy  State Street Bank and Trust  6/5/2026   855,000    996,250    1,004,933    8,683 
Euro  Buy  State Street Bank and Trust  6/5/2026   1,069,000    1,244,795    1,256,460    11,665 
Euro  Buy  State Street Bank and Trust  6/5/2026   5,040,000    5,823,060    5,923,813    100,753 
Euro  Buy  State Street Bank and Trust  6/5/2026   3,960,000    4,573,511    4,654,424    80,913 
Euro  Buy  State Street Bank and Trust  6/5/2026   3,880,000    4,488,483    4,560,396    71,913 
Euro  Buy  State Street Bank and Trust  6/5/2026   4,337,000    5,089,386    5,097,535    8,149 
Euro  Buy  Toronto Dominion Bank  6/5/2026   1,091,000    1,267,496    1,282,317    14,821 
Euro  Buy  Toronto Dominion Bank  6/5/2026   2,010,000    2,357,319    2,362,473    5,154 
Euro  Sell  State Street Bank and Trust  6/5/2026   3,958,000    4,675,069    4,652,074    22,995 
Euro  Sell  Toronto Dominion Bank  6/5/2026   3,981,000    4,705,334    4,679,107    26,227 
Total Unrealized Appreciation on Forward Foreign Currency Exchange Contracts            $499,508 

 

  See Notes to Schedule of Investments. 85

 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Forward
Foreign
Currency
Exchange
Contracts
  Transaction
Type
  Counterparty  Expiration
Date
  Foreign
Currency
   U.S. $
Cost on
Origination
Date
   U.S. $
Current
Value
 Unrealized
Depreciation
 
Euro  Buy  State Street Bank and Trust  6/5/2026   1,550,000   $1,831,511   $1,821,808       $(9,703)
British pound  Sell  State Street Bank and Trust  8/7/2026   228,822,000    308,768,974    311,247,335    (2,478,361)
Euro  Sell  Morgan Stanley  6/5/2026   175,103,000    204,225,710    205,809,007    (1,583,297)
Euro  Sell  Morgan Stanley  6/5/2026   4,136,000    4,793,561    4,861,288    (67,727)
Euro  Sell  State Street Bank and Trust  6/5/2026   4,250,000    4,980,590    4,995,279    (14,689)
Euro  Sell  State Street Bank and Trust  6/5/2026   4,364,000    5,123,134    5,129,270    (6,136)
Total Unrealized Depreciation on Forward Foreign Currency Exchange Contracts            $(4,159,913)

 

Futures Contracts at April 30, 2026:

 

Type  Expiration   Contracts   Position   Notional
Amount
   Notional
Value
   Unrealized
Appreciation
 
U.S. 5-Year Treasury Note   June 2026    3,614    Short   $(389,785,005)  $(389,719,080)   $65,925 

 

The following is a summary of the inputs used as of April 30, 2026 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Asset-Backed Securities                    
Credit Card  $   $   $18,258,240   $18,258,240 
Remaining Industries       43,793,006        43,793,006 
Common Stocks       1,374,222        1,374,222 
Convertible Bonds       299,314,503        299,314,503 
Convertible Preferred Stocks       68,735,068        68,735,068 
Corporate Bonds                    
Entertainment       215,434,250    12,838,025    228,272,275 
Software       147,564,104    26,034,000    173,598,104 
Remaining Industries       8,497,651,965        8,497,651,965 
Floating Rate Loans                    
Commercial Services       51,356,007    16,478,550    67,834,557 
Containers & Packaging       29,934,383    978,175    30,912,558 
Diversified Financial Services           7,396,785    7,396,785 
Health Care Products           9,702,000    9,702,000 
Software       8,793,537    6,286,694    15,080,231 
Remaining Industries       296,066,652        296,066,652 
Less Unfunded Loan Commitments       (13,865,636)       (13,865,636)
Foreign Government Obligations       10,253,434        10,253,434 
Government Sponsored Enterprises Collateralized Mortgage Obligations       30,280,815        30,280,815 
Non-Agency Commercial Mortgage-Backed Securities       16,715,223        16,715,223 

 

86 See Notes to Schedule of Investments.

 

Schedule of Investments (unaudited)(concluded)

SHORT DURATION HIGH YIELD FUND April 30, 2026

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Short-Term Investments                    
Repurchase Agreements  $   $24,892,319   $   $24,892,319 
Time Deposits       53,652,867        53,652,867 
Money Market Funds   482,875,801            482,875,801 
Total  $482,875,801   $9,781,946,719   $97,972,469   $10,362,794,989 
Other Financial Instruments                    
Centrally Cleared Credit Default Swap Contracts                    
Assets  $   $19,930,963   $   $19,930,963 
Liabilities                
Centrally Cleared CPI Swap Contracts       2,947,212        2,947,212 
Assets                
Liabilities                
Credit Default Swap Contracts                    
Assets                
Liabilities       (1,566,666)       (1,566,666)
Forward Foreign Currency Exchange Contracts                    
Assets       499,508        499,508 
Liabilities       (4,159,913)       (4,159,913)
Futures Contracts                    
Assets   65,925            65,925 
Liabilities                
Total  $65,925   $17,651,104   $   $17,717,029 

 

(1)   Refer to Note 2(a) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. When applicable, each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets. Management has determined not to provide a reconciliation and a summary of unobservable inputs as the balance of Level 3 investments was not considered to be material to the Fund’s net assets at the beginning or end of the period.

 

  See Notes to Schedule of Investments. 87

 

Notes to Schedule of Investments (unaudited)

 

1. ORGANIZATION  

 

Lord Abbett Trust I (the “Trust”) is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as a diversified, open-end management investment company and was organized as a Delaware statutory Trust on May 1, 2001. The Trust consists of eight funds as of April 30, 2026. This report covers the following four funds (separately, a “Fund” and collectively, the “Funds”). Lord Abbett Emerging Markets Equity Fund (“Emerging Markets Equity Fund”), Lord Abbett International Growth Fund (“International Growth Fund”), Lord Abbett Investment Grade Floating Rate Fund (“Investment Grade Floating Rate Fund”) and Lord Abbett Short Duration High Yield Fund (“Short Duration High Yield Fund”). Each Fund is diversified within the meaning of the 1940 Act.

 

2. SIGNIFICANT ACCOUNTING POLICIES  

 

(a)

Investment Valuation–Under procedures approved by the Funds’ Board of Trustees (the “Board”), the Board has designated the determination of fair value of the Funds’ portfolio investments to Lord, Abbett & Co. LLC (“Lord Abbett”) as its valuation designee. Accordingly, Lord Abbett is responsible for, among other things, assessing and managing valuation risks, establishing, applying and testing fair value methodologies, and evaluating pricing services. Lord Abbett has formed a pricing committee (the “Pricing Committee”) that performs these responsibilities on behalf of Lord Abbett, administers the pricing and valuation of portfolio investments and ensures that prices utilized reasonably reflect fair value. Among other things, these procedures allow Lord Abbett, subject to Board oversight, to utilize independent pricing services, quotations from securities and financial instrument dealers, and other market sources to determine fair value.

 

Securities actively traded on any recognized U.S. or non-U.S. exchange or on the NASDAQ Stock Market LLC are valued at the last sale price or official closing price on the exchange or system on which they are principally traded. Events occurring after the close of trading on non-U.S. exchanges may result in adjustments to the valuation of foreign securities to reflect their fair value as of the close of regular trading on the New York Stock Exchange. When valuing foreign equity securities that meet certain criteria, the Pricing Committee uses a third-party fair valuation service that values such securities to reflect market trading that occurs after the close of the applicable foreign markets of comparable securities or other instruments that correlate to the fair-valued securities. Unlisted equity securities are valued at the last quoted sale price or, if no sale price is available, at the mean between the most recently quoted bid and ask prices. Exchange traded options and futures contracts are valued at the last quoted sale price in the market where they are principally traded. If no sale has occurred, the mean between the most recently quoted bid and ask prices is used. Fixed income securities are valued based on evaluated prices supplied by independent pricing services, which reflect broker/dealer supplied valuations and the independent pricing services’ own electronic data processing techniques. Floating rate loans are valued at the average of bid and ask quotations obtained from dealers in loans on the basis of prices supplied by independent pricing services. Forward foreign currency exchange contracts are valued using daily forward exchange rates. Swaps, options and options on swaps (“swaptions”) are valued daily using independent pricing services or quotations from broker/dealers to the extent available.

 

88

 

Notes to Schedule of Investments (unaudited)(continued)

 

 

Securities for which prices are not readily available are valued at fair value as determined by the Pricing Committee. The Pricing Committee considers a number of factors, including observable and unobservable inputs, when arriving at fair value. The Pricing Committee may use observable inputs such as yield curves, broker quotes, observable trading activity, option adjusted spread models and other relevant information to determine fair value of portfolio investments. The Pricing Committee may also use related or comparable assets or liabilities, recent transactions, market multiples, book values, and other relevant information to determine the fair value of portfolio investments.. The Board or a designated committee thereof periodically reviews reports that may include fair value determinations made by the Pricing Committee, related market activity, inputs and assumptions, and retrospective comparison of prices of subsequent purchases and sales transactions to fair value determinations made by the Pricing Committee.

 

Short-term securities with 60 days or less remaining to maturity are valued using the amortized cost method, which approximates fair value. Investments in open-end money market mutual funds are valued at their net asset value as of the close of each business day.

 

Fair Value Measurements–Fair value is defined as the price that each Fund would receive upon selling an investment or transferring a liability in an orderly transaction to an independent buyer in the principal or most advantageous market of the investment. A three-tier hierarchy is used to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk – for example, the risk inherent in a particular valuation technique used to measure fair value (such as a pricing model) and/or the risk inherent in the inputs to the valuation technique. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability. Observable inputs are based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability. Unobservable inputs are based on the best information available in the circumstances. The three-tier hierarchy classification is determined based on the lowest level of inputs that is significant to the fair value measurement, and is summarized in the three broad Levels listed below:

 

  Level 1 – unadjusted quoted prices in active markets for identical investments;
       
  Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
       
  Level 3 – significant unobservable inputs (including each Fund’s own assumptions in determining the fair value of investments).

 

 

A summary of inputs used in valuing each Fund’s investments and other financial instruments as of April 30, 2026 and, if applicable, Level 3 rollforwards for the period then ended is included in each Fund’s Schedule of Investments.

 

Changes in valuation techniques may result in transfers into or out of an assigned level within the three-tier hierarchy. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

89

 

Notes to Schedule of Investments (unaudited)(concluded)

 

3. FEDERAL TAX INFORMATION  

 

It is the policy of each Fund to meet the requirements of Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies and to distribute substantially all taxable income and capital gains to its shareholders. Therefore, no income tax provision is required.

 

Each Fund files U.S. federal and various state and local tax returns. No income tax returns are currently under examination. The statute of limitations on each Fund’s filed U.S. federal tax returns remains open generally three years after the filing of the tax return. The statutes of limitations on each Fund’s state and local tax returns may remain open for an additional year depending upon the jurisdiction.

 

4. SECURITIES LENDING AGREEMENT  

 

The Funds have established a securities lending agreement with Citibank, N.A. for the lending of securities to qualified brokers in exchange for securities or cash collateral equal to at least the market value of securities loaned, plus interest, if applicable. Cash collateral is invested in an approved money market fund. In accordance with the Funds’ securities lending agreement, the market value of securities on loan is determined each day at the close of business and any additional collateral required to cover the value of securities on loan is delivered to the Funds on the next business day. As with other extensions of credit, the Funds may experience a delay in the recovery of their securities or incur a loss should the borrower of the securities breach its agreement with the Funds or the borrower becomes insolvent at a time when the collateral is insufficient to cover the cost of repurchasing securities on loan.

 

The initial collateral received by the Funds is required to have a value equal to at least 100% of the market value of the securities loaned. The collateral must be marked-to-market daily to cover increases in the market value of the securities loaned (or potentially a decline in the value of the collateral). In general, the risk of borrower default will be borne by Citibank, N.A.; the Funds will bear the risk of loss with respect to the investment of the cash collateral. The advantage of such loans is that the Funds continue to receive income on loaned securities while receiving a portion of any securities lending fees and earning returns on the cash amounts which may be reinvested for the purchase of investments in securities.

 

As of April 30, 2026, the market value of securities loaned and collateral received were as follows:

 

Funds  Market Value of
Securities Loaned
   Collateral
Received
 
Investment Grade Floating Rate Fund  $3,403,533   $3,491,180 
Short Duration High Yield Fund               513,465,203                  536,528,668 

 

90

 

 

QPHR-TRI-3Q
(06/26)