Schedule of Investments China Equity ETF^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 96.8%
Automobile Components 0.9%
34,000
Minth Group Ltd.
$163,994
Automobiles 0.8%
9,800
BYD Co. Ltd. Class A
139,323
Banks 7.7%
57,800
Bank of Hangzhou Co. Ltd.
Class A
136,783
149,000
Bank of Jiangsu Co. Ltd. Class A
248,653
27,800
Bank of Ningbo Co. Ltd. Class A
127,509
146,000
China CITIC Bank Corp. Ltd.
Class H
135,811
77,800
China Merchants Bank Co. Ltd.
Class A
437,110
305,400
Industrial & Commercial Bank of
China Ltd. Class A
325,925
 
1,411,791
Beverages 2.2%
2,098
Kweichow Moutai Co. Ltd.
Class A
411,208
Biotechnology 1.9%
3,364
BeOne Medicines Ltd. Class A*
121,278
3,750
Duality Biotherapeutics, Inc.*
107,951
12,000
Innovent Biologics, Inc.*(a)
127,627
 
356,856
Capital Markets 4.1%
80,000
China International Capital Corp.
Ltd. Class H(a)
200,283
84,600
East Money Information Co. Ltd.
Class A
239,595
35,900
GF Securities Co. Ltd. Class A
100,240
75,500
Huatai Securities Co. Ltd. Class A
202,887
 
743,005
Chemicals 5.4%
25,800
Ningxia Baofeng Energy Group
Co. Ltd. Class A
91,526
28,800
Shandong Sinocera Functional
Material Co. Ltd. Class A
216,171
4,800
Shida Shinghwa Advanced
Material Group Co. Ltd. Class A
62,216
13,600
Sunresin New Materials Co. Ltd.
Class A
120,596
30,800
Tianqi Lithium Corp. Class A*
286,270
42,300
Zhejiang Juhua Co. Ltd. Class A
206,458
 
983,237
Communications Equipment 5.5%
1,600
Suzhou TFC Optical
Communication Co. Ltd. Class A
107,655
Number of Shares
Value
Communications Equipment – cont'd
6,400
Yangtze Optical Fibre & Cable
Joint Stock Co. Ltd. Class H(a)
$185,543
4,120
Zhongji Innolight Co. Ltd. Class A
707,135
 
1,000,333
Construction Materials 0.9%
80,200
Beijing Oriental Yuhong
Waterproof Technology Co. Ltd.
Class A
161,578
Electrical Equipment 11.6%
12,920
Contemporary Amperex
Technology Co. Ltd. Class A
809,732
86,600
Jiangsu Zhongtian Technology
Co. Ltd. Class A
540,058
11,300
Sieyuan Electric Co. Ltd. Class A
337,649
16,700
Sungrow Power Supply Co. Ltd.
Class A
439,364
 
2,126,803
Electronic Equipment, Instruments & Components 10.4%
30,200
Chaozhou Three-Circle Group Co.
Ltd. Class A
574,868
68,500
Kingboard Laminates Holdings
Ltd.
477,242
44,300
Luxshare Precision Industry Co.
Ltd. Class A
479,912
32,800
Nantong Jianghai Capacitor Co.
Ltd. Class A
377,438
 
1,909,460
Energy Equipment & Services 1.9%
17,100
Yantai Jereh Oilfield Services
Group Co. Ltd. Class A
354,876
Entertainment 0.9%
25,200
37 Interactive Entertainment
Network Technology Group Co.
Ltd. Class A
71,518
35,900
Kingnet Network Co. Ltd. Class A
85,116
 
156,634
Food Products 2.5%
31,100
Foshan Haitian Flavouring & Food
Co. Ltd. Class A
165,124
26,200
Muyuan Foods Group Co. Ltd.
Class A
147,434
125,500
WH Group Ltd.(a)
144,926
 
457,484
Household Durables 1.7%
25,500
Midea Group Co. Ltd. Class A
304,743
See Notes to Schedule of Investments

Schedule of Investments China Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Independent Power and Renewable Electricity
Producers 1.5%
65,000
China Yangtze Power Co. Ltd.
Class A
$266,618
Insurance 2.8%
24,800
China Pacific Insurance Group
Co. Ltd. Class A
117,964
49,600
Ping An Insurance Group Co. of
China Ltd. Class A
392,237
 
510,201
IT Services 0.7%
166,000
Kingsoft Cloud Holdings Ltd.*
131,751
Life Sciences Tools & Services 0.9%
10,800
WuXi AppTec Co. Ltd. Class A
162,192
Machinery 8.9%
6,220
Guangdong Dtech Technology
Co. Ltd. Class A
322,451
88,000
Impro Precision Industries Ltd.(a)
110,493
20,300
Neway Valve Suzhou Co. Ltd.
Class A
172,385
101,900
Weichai Power Co. Ltd. Class A
532,297
109,500
XCMG Construction Machinery
Co. Ltd. Class A
157,809
31,300
Zhejiang Sanhua Intelligent
Controls Co. Ltd. Class H
125,489
41,500
Zhuzhou CRRC Times Electric
Co. Ltd. Class H
214,466
 
1,635,390
Metals & Mining 4.4%
41,700
Chifeng Jilong Gold Mining
Group Ltd. Class A
205,686
33,500
China Hongqiao Group Ltd.
119,776
10,800
China Rare Earth Resources &
Technology Co. Ltd. Class A*
77,904
39,500
Chuangxin Industries Holdings
Ltd.
93,799
56,000
CMOC Group Ltd. Class A
153,217
19,300
Xiamen Tungsten Co. Ltd. Class A
155,106
 
805,488
Number of Shares
Value
Oil, Gas & Consumable Fuels 1.4%
90,900
COSCO SHIPPING Energy
Transportation Co. Ltd. Class A
$261,737
Pharmaceuticals 0.9%
23,500
Jiangsu Hengrui Pharmaceuticals
Co. Ltd. Class A
174,340
Real Estate Management & Development 1.3%
54,500
China Resources Land Ltd.
245,625
Semiconductors & Semiconductor Equipment 15.6%
2,909
Cambricon Technologies Corp.
Ltd. Class A
563,285
81,042
Hangzhou First Applied Material
Co. Ltd. Class A
214,425
22,300
Hua Hong Semiconductor Ltd.
Class H*(a)
458,981
19,832
Montage Technology Co. Ltd.
Class A
741,652
3,265
NAURA Technology Group Co.
Ltd. Class A
303,982
78,917
Qingdao Gaoce Technology Co.
Ltd. Class A
139,163
17,600
SICC Co. Ltd. Class H*
243,892
32,257
Southchip Semiconductor
Technology Shanghai Co. Ltd.
Class A
200,256
 
2,865,636
Total Common Stocks (Cost $12,917,784)
17,740,303
 
Short-Term Investments 5.2%
Investment Companies 5.2%
957,846
State Street Institutional
U.S. Government Money Market
Fund Premier Class, 3.63%(b)
(Cost $957,846)
957,846
Total Investments 102.0%
(Cost $13,875,630)
18,698,149
Liabilities Less Other Assets (2.0)%
(357,842
)
Net Assets 100.0%
$18,340,307
*
Non-income producing security.
(a)
Security exempt from registration pursuant to Regulation S under the Securities Act of 1933, as
amended. Regulation S applies to securities offerings that are made outside of the United States and
do not involve directed selling efforts in the United States and as such may have restrictions on resale.
Total value of all such securities at May 31, 2026 amounted to $1,227,853, which represents 6.7% of
net assets of the Fund.
(b)
Represents 7-day effective yield as of May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments China Equity ETF^ (Unaudited)  (cont’d)
POSITIONS BY COUNTRY
Country
Investments at
Value
Percentage of
Net Assets
China
$16,886,364
92.1%
Hong Kong
622,168
3.4%
United States
231,771
1.3%
Short-Term Investments and Other Liabilities—Net
600,004
3.2%
 
$18,340,307
100.0%
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
Common Stocks#
$17,740,303
$
$
$17,740,303
Short-Term Investments
957,846
957,846
Total Investments
$17,740,303
$957,846
$
$18,698,149
#
The Schedule of Investments provides information on the industry or sector categorization as well as a
Positions by Country summary.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)
May 31, 2026

Principal Amount
Value
U.S. Treasury Obligations 11.7%
$50,000,000
U.S. Treasury Bills, 3.58%, due 7/7/2026 (Cost $49,820,775)
$49,818,700
(a)
Asset-Backed Securities 15.4%
Automobiles 13.0%
 
 
 
Ally Auto Receivables Trust
1,421,310
Series 2025-1, Class A2, 4.03%, due 7/17/2028
1,421,302
770,000
Series 2026-1, Class A2, 3.91%, due 11/15/2028
768,963
 
BMW Vehicle Lease Trust
341,494
Series 2025-1, Class A2A, 4.43%, due 9/27/2027
341,967
1,605,000
Series 2026-1, Class A2A, 4.03%, due 7/25/2028
1,603,255
841,000
BofA Auto Trust, Series 2026-1A, Class A2A, 4.10%, due 11/15/2028
840,620
(b)
 
CarMax Auto Owner Trust
36,102
Series 2024-4, Class A2A, 4.67%, due 12/15/2027
36,114
429,628
Series 2025-3, Class A2A, 4.42%, due 8/15/2028
430,182
964,000
Series 2026-2, Class A2A, 4.11%, due 8/15/2029
963,929
 
Ford Credit Auto Lease Trust
307,994
Series 2025-A, Class A2A, 4.57%, due 8/15/2027
308,177
283,000
Series 2026-A, Class A2A, 3.83%, due 8/15/2028
282,553
 
Ford Credit Auto Owner Trust
695,074
Series 2025-A, Class A2A, 4.47%, due 12/15/2027
695,933
1,487,696
Series 2025-B, Class A2A, 3.88%, due 6/15/2028
1,486,482
2,547,000
Series 2026-A, Class A2A, 4.02%, due 1/15/2029
2,546,023
1,622,000
Series 2024-C, Class A3, 4.07%, due 7/15/2029
1,621,875
2,689,000
GM Financial Automobile Leasing Trust, Series 2026-1, Class A2, 3.77%, due 4/20/2028
2,681,804
 
GM Financial Consumer Automobile Receivables Trust
537,709
Series 2025-3, Class A2A, 4.32%, due 6/16/2028
538,307
1,016,000
Series 2026-2, Class A2A, 4.05%, due 5/16/2029
1,015,471
 
Honda Auto Receivables Owner Trust
1,616,385
Series 2025-3, Class A2A, 4.19%, due 3/21/2028
1,617,437
1,506,000
Series 2026-2, Class A2A, 4.11%, due 12/15/2028
1,505,990
 
Hyundai Auto Lease Securitization Trust
617,515
Series 2025-C, Class A2A, 4.37%, due 1/18/2028
618,368
(b)
2,382,000
Series 2026-A, Class A2A, 3.85%, due 5/15/2028
2,377,366
(b)
 
Hyundai Auto Receivables Trust
44,730
Series 2024-C, Class A2A, 4.53%, due 9/15/2027
44,748
300,437
Series 2025-A, Class A2A, 4.33%, due 12/15/2027
300,632
1,705,000
Series 2025-D, Class A2A, 4.03%, due 11/15/2028
1,705,002
1,399,000
M&T Bank Auto Receivables Trust, Series 2026-1A, Class A2, 4.33%, due 7/16/2029
1,400,649
(b)
 
Mercedes-Benz Auto Lease Trust
1,943,000
Series 2025-B, Class A2A, 3.86%, due 3/15/2028
1,940,639
1,143,000
Series 2026-A, Class A2A, 3.83%, due 7/17/2028
1,140,226
1,539,000
Mercedes-Benz Auto Receivables Trust, Series 2026-1, Class A2A, 4.13%, due 1/16/2029
1,540,491
477,000
Nissan Auto Lease Trust, Series 2026-A, Class A2A, 3.90%, due 5/15/2028
476,155
 
Nissan Auto Receivables Owner Trust
907,136
Series 2025-A, Class A2A, 4.50%, due 2/15/2028
908,659
1,801,000
Series 2026-A, Class A2A, 4.19%, due 3/15/2029
1,801,352
383,304
PenFed Auto Receivables Owner Trust, Series 2025-A, Class A2, 4.12%, due 9/15/2028
383,339
(b)
 
SFS Auto Receivables Securitization Trust
214,541
Series 2025-2A, Class A2, 4.52%, due 11/20/2028
214,847
(b)
1,525,471
Series 2025-3A, Class A2, 4.11%, due 3/20/2029
1,525,853
(b)
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
Principal Amount
Value
Asset-Backed Securities – cont'd
Automobiles – cont'd
 
 
$665,000
Series 2026-1A, Class A2A, 3.91%, due 8/20/2029
$663,451
(b)
 
Stellantis Financial Underwritten Enhanced Lease Trust
251,306
Series 2025-BA, Class A2, 4.31%, due 5/22/2028
251,550
(b)
1,945,000
Series 2025-CA, Class A2, 4.06%, due 6/20/2028
1,943,859
(b)
 
Toyota Auto Receivables Owner Trust
11,342
Series 2024-D, Class A2A, 4.55%, due 8/16/2027
11,345
286,003
Series 2025-A, Class A2A, 4.48%, due 11/15/2027
286,169
1,302,439
Series 2025-C, Class A2A, 4.29%, due 6/15/2028
1,303,630
1,189,000
Series 2026-A, Class A2A, 3.80%, due 12/15/2028
1,187,006
1,585,000
Series 2026-B, Class A2A, 4.04%, due 2/15/2029
1,584,119
 
Toyota Lease Owner Trust
122,049
Series 2025-A, Class A2A, 4.58%, due 7/20/2027
122,135
(b)
1,142,650
Series 2025-B, Class A2A, 3.91%, due 5/22/2028
1,140,551
(b)
1,160,651
USAA Auto Owner Trust, Series 2025-A, Class A2, 3.98%, due 3/15/2028
1,160,899
(b)
371,002
USB Auto Owner Trust, Series 2025-1A, Class A2, 4.51%, due 6/15/2028
371,244
(b)
 
Volkswagen Auto Lease Trust
1,098,868
Series 2025-B, Class A2A, 3.97%, due 4/20/2028
1,097,821
1,612,000
Series 2026-A, Class A2A, 4.06%, due 8/21/2028
1,611,567
 
Volkswagen Auto Loan Enhanced Trust
304,188
Series 2024-1, Class A2A, 4.65%, due 11/22/2027
304,483
562,073
Series 2025-1, Class A2A, 4.51%, due 1/20/2028
562,825
 
World Omni Auto Receivables Trust
145,820
Series 2025-A, Class A2A, 4.49%, due 4/17/2028
145,910
1,310,000
Series 2026-A, Class A2A, 3.71%, due 4/16/2029
1,307,112
1,676,000
Series 2026-B, Class A2A, 4.11%, due 6/15/2029
1,675,647
 
World Omni Automobile Lease Securitization Trust
120,006
Series 2025-A, Class A2A, 4.35%, due 12/15/2027
120,126
1,612,000
Series 2026-A, Class A2A, 4.02%, due 12/15/2028
1,610,235
 
55,546,394
Other 2.2%
 
 
818
Amur Equipment Finance Receivables XI LLC, Series 2022-2A, Class A2, 5.30%, due 6/21/2028
819
(b)
102,345
Amur Equipment Finance Receivables XIII LLC, Series 2024-1A, Class A2, 5.38%, due
1/21/2031
103,017
(b)
57,031
CCG Receivables Trust, Series 2023-1, Class A2, 5.82%, due 9/16/2030
57,109
(b)
 
CNH Equipment Trust
391,324
Series 2025-A, Class A2A, 4.30%, due 8/15/2028
391,721
1,687,000
Series 2026-A, Class A2A, 3.82%, due 6/15/2029
1,684,070
126,479
DLLAA LLC, Series 2025-1A, Class A2, 4.70%, due 10/20/2027
126,742
(b)
 
DLLAD LLC
87,827
Series 2024-1A, Class A2, 5.50%, due 8/20/2027
87,975
(b)
438,323
Series 2025-1A, Class A2, 4.46%, due 11/20/2028
439,473
(b)
609,000
GreatAmerica Leasing Receivables Funding LLC, Series 2026-1, Class A2, 4.47%, due
1/16/2029
609,691
(b)
333,392
HPEFS Equipment Trust, Series 2025-1A, Class A2, 4.49%, due 9/20/2032
333,893
(b)
 
John Deere Owner Trust
690,061
Series 2025-B, Class A2A, 4.28%, due 7/17/2028
690,861
1,880,000
Series 2026-A, Class A2A, 3.85%, due 12/15/2028
1,876,023
 
Kubota Credit Owner Trust
663,460
Series 2025-2A, Class A2, 4.48%, due 4/17/2028
664,964
(b)
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
Principal Amount
Value
Asset-Backed Securities – cont'd
Other – cont'd
 
 
$683,000
Series 2026-1A, Class A2, 3.84%, due 1/16/2029
$680,083
(b)
1,113,000
Verizon Master Trust, Series 2024-3, Class A1B, (30 day USD SOFR Average + 0.58%), 4.22%,
due 4/22/2030
1,114,874
(c)
602,000
Volvo Financial Equipment LLC, Series 2025-2A, Class A2, 3.96%, due 6/15/2028
601,527
(b)
 
9,462,842
Total Credit Card 0.2%
 
 
553,000
Evergreen Credit Card Trust, Series 2025-1A, Class A, (Secured Overnight Financing Rate +
0.59%), 4.18%, due 10/15/2029
554,731
(b)(c)
Total Asset-Backed Securities (Cost $65,584,487)
65,563,967
Corporate Bonds 51.9%
Agriculture 0.7%
2,795,000
Philip Morris International, Inc., (Secured Overnight Financing Rate + 0.83%), 4.46%, due
4/28/2028
2,812,592
(c)
Banks 18.7%
 
Bank of America Corp.
3,020,000
(Secured Overnight Financing Rate + 1.05%), 4.68%, due 2/4/2028
3,030,811
(c)
5,910,000
(Secured Overnight Financing Rate + 0.83%), 4.46%, due 1/24/2029
5,926,724
(c)
5,815,000
Bank of New York Mellon Corp., (Secured Overnight Financing Rate Index + 0.68%), 4.32%,
due 6/9/2028
5,819,303
(c)
3,110,000
Citibank NA, (Secured Overnight Financing Rate + 0.71%), 4.34%, due 11/19/2027
3,113,751
(c)
4,685,000
Citigroup, Inc., (Secured Overnight Financing Rate + 1.14%), 4.77%, due 5/7/2028
4,705,327
(c)
2,120,000
Fifth Third Bank NA, (Secured Overnight Financing Rate + 0.81%), 4.44%, due 1/28/2028
2,120,989
(c)
 
Goldman Sachs Group, Inc.
4,005,000
(Secured Overnight Financing Rate + 1.85%), 5.49%, due 3/15/2028
4,044,014
(c)
3,405,000
(Secured Overnight Financing Rate + 1.29%), 4.92%, due 4/23/2028
3,428,487
(c)
6,495,000
JPMorgan Chase & Co., (Secured Overnight Financing Rate + 0.86%), 4.49%, due 10/22/2028
6,522,482
(c)
 
Morgan Stanley Bank NA
1,200,000
(Secured Overnight Financing Rate + 0.69%), 4.32%, due 10/15/2027
1,200,865
(c)
7,115,000
(Secured Overnight Financing Rate + 0.87%), 4.50%, due 5/26/2028
7,131,475
(c)
1,835,000
Nordea Bank Abp, (Secured Overnight Financing Rate + 0.74%), 4.37%, due 3/19/2027
1,840,831
(b)(c)
3,775,000
PNC Bank NA, (Secured Overnight Financing Rate + 0.73%), 4.36%, due 7/21/2028
3,778,389
(c)
945,000
PNC Financial Services Group, Inc., (Secured Overnight Financing Rate + 0.62%), 4.25%, due
1/26/2029
945,321
(c)
 
State Street Corp.
700,000
(Secured Overnight Financing Rate + 0.85%), 4.47%, due 8/3/2026
700,561
(c)
3,435,000
(Secured Overnight Financing Rate + 0.64%), 4.27%, due 10/22/2027
3,443,926
(c)
4,865,000
Truist Bank, (Secured Overnight Financing Rate + 0.77%), 4.40%, due 7/24/2028
4,868,874
(c)
8,165,000
U.S. Bank NA, (Secured Overnight Financing Rate + 0.69%), 4.32%, due 10/22/2027
8,169,817
(c)
 
Wells Fargo & Co.
1,660,000
4.10%, due 6/3/2026
1,659,992
2,945,000
(Secured Overnight Financing Rate + 0.78%), 4.41%, due 1/24/2028
2,949,312
(c)
4,595,000
(Secured Overnight Financing Rate + 1.07%), 4.70%, due 4/22/2028
4,614,092
(c)
 
80,015,343
Beverages 0.6%
2,775,000
Pepsico Singapore Financing I Pte. Ltd., (Secured Overnight Financing Rate Index + 0.56%),
4.19%, due 2/16/2027
2,779,981
(c)
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
Principal Amount
Value
Commercial Services 0.4%
$1,875,000
PayPal Holdings, Inc., (Secured Overnight Financing Rate + 0.67%), 4.31%, due 3/6/2028
$1,878,803
(c)
Diversified Financial Services 1.1%
3,830,000
American Express Co., (Secured Overnight Financing Rate Index + 1.00%), 4.63%, due
2/16/2028
3,842,920
(c)
755,000
Mastercard, Inc., (Secured Overnight Financing Rate Index + 0.44%), 4.08%, due 3/15/2028
755,129
(c)
 
4,598,049
Electric 4.8%
2,440,000
Consolidated Edison Co. of New York, Inc., (Secured Overnight Financing Rate Index + 0.52%),
4.15%, due 11/18/2027
2,444,191
(c)
735,000
Constellation Energy Generation LLC, (Secured Overnight Financing Rate + 0.60%), 4.23%, due
1/8/2028
734,633
(c)
3,520,000
Duke Energy Florida LLC, 3.20%, due 1/15/2027
3,501,124
2,955,000
Duke Energy Progress LLC, 4.35%, due 3/6/2027
2,961,735
 
Georgia Power Co.
2,235,000
(Secured Overnight Financing Rate Index + 0.28%), 3.92%, due 9/15/2026
2,235,063
(c)
1,935,000
(Secured Overnight Financing Rate Index + 0.42%), 4.05%, due 11/22/2027
1,939,422
(c)
770,000
NextEra Energy Capital Holdings, Inc., (Secured Overnight Financing Rate Index + 0.80%),
4.43%, due 2/4/2028
773,317
(c)
890,000
Southern Co., 3.25%, due 7/1/2026
889,355
5,050,000
Virginia Electric & Power Co., 3.50%, due 3/15/2027
5,024,665
 
20,503,505
Electronics 0.5%
2,000,000
Amphenol Corp., (Secured Overnight Financing Rate + 0.53%), 4.16%, due 11/15/2027
2,001,859
(c)
Healthcare - Products 1.2%
5,110,000
Abbott Laboratories, (Secured Overnight Financing Rate Index + 0.50%), 4.14%, due 3/9/2029
5,109,336
(c)
Healthcare - Services 0.8%
3,281,000
UnitedHealth Group, Inc., (Secured Overnight Financing Rate + 0.50%), 4.13%, due 7/15/2026
3,281,942
(c)
Insurance 2.8%
 
Athene Global Funding
1,540,000
(Secured Overnight Financing Rate Index + 0.83%), 4.50%, due 1/7/2027
1,541,287
(b)(c)
1,535,000
(Secured Overnight Financing Rate Index + 1.00%), 4.64%, due 9/18/2028
1,532,165
(b)(c)
2,190,000
Corebridge Global Funding, (Secured Overnight Financing Rate + 1.30%), 4.93%, due
9/25/2026
2,195,979
(b)(c)
730,000
Marsh & McLennan Cos., Inc., (Secured Overnight Financing Rate Index + 0.70%), 4.32%, due
11/8/2027
733,347
(c)
 
New York Life Global Funding
2,480,000
(Secured Overnight Financing Rate + 0.58%), 4.22%, due 8/28/2026
2,482,129
(b)(c)
1,605,000
(Secured Overnight Financing Rate + 0.41%), 4.04%, due 2/5/2027
1,605,822
(b)(c)
1,815,000
Principal Life Global Funding II, (Secured Overnight Financing Rate + 0.81%), 4.44%, due
8/18/2028
1,816,512
(b)(c)
 
11,907,241
Internet 2.1%
 
Alphabet, Inc.
1,850,000
2.00%, due 8/15/2026
1,842,915
2,810,000
(Secured Overnight Financing Rate + 0.52%), 4.15%, due 11/15/2028
2,821,394
(c)
4,290,000
Amazon.com, Inc., (Secured Overnight Financing Rate + 0.59%), 4.23%, due 3/13/2029
4,305,015
(c)
 
8,969,324
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
Principal Amount
Value
Machinery - Construction & Mining 1.3%
 
Caterpillar Financial Services Corp.
$2,915,000
(Secured Overnight Financing Rate + 0.52%), 4.15%, due 5/14/2027
$2,921,180
(c)
2,845,000
(Secured Overnight Financing Rate + 0.58%), 4.21%, due 11/14/2028
2,852,521
(c)
 
5,773,701
Machinery - Diversified 1.3%
 
John Deere Capital Corp.
1,620,000
(Secured Overnight Financing Rate + 0.40%), 4.03%, due 1/5/2027
1,620,477
(c)
845,000
(Secured Overnight Financing Rate + 0.60%), 4.24%, due 6/11/2027
847,410
(c)
1,190,000
(Secured Overnight Financing Rate + 0.68%), 4.31%, due 7/15/2027
1,194,713
(c)
1,910,000
(Secured Overnight Financing Rate + 0.55%), 4.19%, due 3/9/2029
1,911,216
(c)
 
5,573,816
Miscellaneous Manufacturer 0.5%
2,205,000
Siemens Funding BV, (Secured Overnight Financing Rate + 0.64%), 4.27%, due 5/26/2028
2,212,900
(b)(c)
Oil & Gas 1.8%
2,850,000
BP Capital Markets America, Inc., 3.02%, due 1/16/2027
2,831,153
 
Chevron USA, Inc.
2,350,000
(Secured Overnight Financing Rate Index + 0.36%), 3.99%, due 2/26/2027
2,352,217
(c)
2,325,000
(Secured Overnight Financing Rate + 0.57%), 4.20%, due 8/13/2028
2,333,946
(c)
 
7,517,316
Pharmaceuticals 6.6%
1,785,000
AbbVie, Inc., (Secured Overnight Financing Rate Index + 0.48%), 4.12%, due 3/3/2028
1,788,663
(c)
 
CVS Health Corp.
1,040,000
3.00%, due 8/15/2026
1,037,407
3,460,000
3.63%, due 4/1/2027
3,443,142
 
Eli Lilly & Co.
2,760,000
(Secured Overnight Financing Rate Index + 0.35%), 3.98%, due 5/20/2028
2,761,187
(c)
1,395,000
(Secured Overnight Financing Rate + 0.53%), 4.16%, due 10/15/2028
1,399,368
(c)
2,830,000
GlaxoSmithKline Capital PLC, (Secured Overnight Financing Rate + 0.50%), 4.14%, due
3/12/2027
2,835,096
(c)
6,760,000
Merck & Co., Inc., (Secured Overnight Financing Rate + 0.37%), 4.00%, due 5/22/2028
6,757,404
(c)
2,630,000
Novartis Capital Corp., (Secured Overnight Financing Rate + 0.52%), 4.15%, due 11/5/2028
2,634,452
(c)
2,285,000
Pfizer, Inc., (Secured Overnight Financing Rate + 0.50%), 4.13%, due 11/15/2027
2,290,939
(c)
3,110,000
Sanofi SA, (Secured Overnight Financing Rate + 0.46%), 4.09%, due 11/3/2027
3,117,280
(c)
 
28,064,938
Pipelines 1.8%
2,635,000
Enbridge, Inc., 5.90%, due 11/15/2026
2,651,203
5,175,000
Enterprise Products Operating LLC, 4.60%, due 1/11/2027
5,187,261
 
7,838,464
Real Estate Investment Trusts 0.6%
2,505,000
Simon Property Group LP, 1.38%, due 1/15/2027
2,463,941
Retail 0.5%
2,055,000
Walmart, Inc., (Secured Overnight Financing Rate Index + 0.40%), 4.03%, due 4/30/2029
2,056,741
(c)
Software 0.2%
1,070,000
Oracle Corp., (Secured Overnight Financing Rate + 0.76%), 4.39%, due 8/3/2028
1,061,616
(c)
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
Principal Amount
Value
Telecommunications 3.6%
 
AT&T, Inc.
$3,510,000
3.80%, due 2/15/2027
$3,500,534
1,815,000
4.25%, due 3/1/2027
1,815,146
4,700,000
T-Mobile USA, Inc., 3.75%, due 4/15/2027
4,681,512
5,250,000
Verizon Communications, Inc., 4.13%, due 3/16/2027
5,251,696
 
15,248,888
Total Corporate Bonds (Cost $221,585,068)
221,670,296
Number of Shares
Short-Term Investments 12.3%
Investment Companies 12.3%
52,722,585
State Street Institutional U.S. Government Money Market Fund Premier Class, 3.63%(d)
(Cost $52,722,585)
52,722,585
Total Investments 91.3% (Cost $389,712,915)
389,775,548
Other Assets Less Liabilities 8.7%
37,118,007
(e)
Net Assets 100.0%
$426,893,555
(a)
Rate shown was the discount rate at the date of purchase.
(b)
Securities were purchased under Rule 144A of the Securities Act of 1933, as amended, or are
otherwise restricted and, unless registered under the Securities Act of 1933 or exempted from
registration, may only be sold to qualified institutional investors or may have other restrictions on resale.
At May 31, 2026, these securities amounted to $32,502,380, which represents 7.6% of net assets of
the Fund.
(c)
Variable or floating rate security. The interest rate shown was the current rate as of May 31, 2026 and
changes periodically.
(d)
Represents 7-day effective yield as of May 31, 2026.
(e)
Includes the impact of the Fund’s open positions in derivatives at May 31, 2026.
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
Derivative Instruments
Futures contracts ("futures")
At May 31, 2026, open positions in futures for the Fund were as follows:
Long Futures:
Expiration
Date
Number of
Contracts
Open Contracts
Notional
Amount
Value and
Unrealized
Appreciation/
(Depreciation)
6/2026
17
Copper
$5,790,680
$302,791
6/2026
9
Tin
2,488,230
302,852
7/2026
445
Brent Crude
39,653,950
(3,118,490
)
7/2026
168
Canola
1,854,440
59,467
7/2026
44
Cocoa
1,762,830
305,935
7/2026
31
Coffee Robusta 10tn
1,077,560
65,724
7/2026
18
Copper
6,134,958
(167,028
)
7/2026
173
Iodex
1,820,652
41,773
7/2026
132
Lead
6,632,373
183,052
7/2026
83
Nickel
9,452,936
714,978
7/2026
22
Platinum
2,122,450
(244,243
)
7/2026
248
Primary Aluminum
22,939,876
1,717,425
7/2026
56
Rapeseed
1,712,158
86,858
7/2026
62
Red Wheat
2,057,625
57,200
7/2026
72
White Sugar
1,577,520
43,287
7/2026
153
Zinc
13,533,500
914,470
8/2026
16
Cattle Feeder
2,787,400
(188,578
)
8/2026
129
Gold 100 Oz
59,249,700
(1,687,974
)
8/2026
121
Lean Hogs
4,760,140
(29,043
)
8/2026
174
Live Cattle
16,637,880
(429,080
)
8/2026
127
New York Harbor ULSD
18,084,927
(330,122
)
8/2026
121
RBOB Gasoline
14,585,848
825,085
8/2026
357
WTI Crude
29,698,830
(971,594
)
9/2026
98
Cocoa
3,919,020
(18,549
)
9/2026
68
Coffee'c'
6,596,850
(25,295
)
9/2026
86
Lead
4,359,276
88,376
9/2026
208
Low Sulphur Gasoil
19,900,400
(671,085
)
9/2026
120
Nickel
13,758,912
(94,179
)
9/2026
6
Palladium
829,140
(73,426
)
9/2026
268
Primary Aluminum
24,494,798
736,448
9/2026
42
Silver
16,053,240
(32,153
)
9/2026
261
Sugar 11
4,250,333
(9,714
)
9/2026
9
Tin
2,496,645
7,605
9/2026
147
Wheat
1,778,905
18,324
9/2026
162
Zinc
14,332,383
457,179
10/2026
780
Natural Gas
27,627,600
385,645
11/2026
30
Natural Gas
1,161,170
54,657
11/2026
374
Soybean
22,253,000
661,485
12/2026
174
Copper
28,440,300
1,383,427
12/2026
914
Corn
21,707,500
(643,275
)
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
Expiration
Date
Number of
Contracts
Open Contracts
Notional
Amount
Value and
Unrealized
Appreciation/
(Depreciation)
12/2026
92
Cotton No.2
$3,661,140
$180,523
12/2026
33
ECX Emission
3,103,545
261,499
12/2026
1
Phelix DE Base
957,088
99,800
12/2026
558
Soybean Meal
17,872,740
436,663
12/2026
562
Soybean Oil
24,426,768
2,401,391
12/2026
53
Wheat
1,703,950
(5,655
)
12/2026
67
Wheat
2,267,950
(377
)
Total Long Positions
$534,369,116
$4,054,059
Short Futures:
Expiration
Date
Number of
Contracts
Open Contracts
Notional
Amount
Value and
Unrealized
Appreciation/
(Depreciation)
6/2026
17
Copper
$(5,790,680
)
$168,187
6/2026
9
Tin
(2,488,230
)
(8,730
)
7/2026
13
Copper
(4,430,803
)
6,157
7/2026
132
Lead
(6,632,373
)
(204,314
)
7/2026
83
Nickel
(9,452,936
)
6,821
7/2026
248
Primary Aluminum
(22,939,876
)
(683,283
)
7/2026
153
Zinc
(13,533,500
)
(619,621
)
9/2026
121
Lead
(6,133,399
)
(225,971
)
9/2026
39
Primary Aluminum
(3,564,541
)
4,479
9/2026
11
Zinc
(973,186
)
(51,421
)
Total Short Positions
$(75,939,524
)
$(1,607,696
)
Total Futures
$2,446,363
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Commodity Strategy ETF^ (Unaudited)  (cont’d)
The following is a summary, categorized by Level (see the Notes to Consolidated Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
U.S. Treasury Obligations
$
$49,818,700
$
$49,818,700
Asset-Backed Securities#
65,563,967
65,563,967
Corporate Bonds#
221,670,296
221,670,296
Short-Term Investments
52,722,585
52,722,585
Total Investments
$
$389,775,548
$
$389,775,548
#
The Consolidated Schedule of Investments provides information on the industry or sector
categorization.
The following is a summary, categorized by Level (see the Notes to Consolidated Schedule of Investments), of inputs used to value the Fund’s derivatives as of May 31, 2026:
Other Financial Instruments
Level 1
Level 2
Level 3
Total
Futures@
Assets
$12,979,563
$
$
$12,979,563
Liabilities
(10,533,200
)
(10,533,200
)
Total
$2,446,363
$
$
$2,446,363
@
Futures are reported at the cumulative unrealized appreciation/(depreciation) of the instrument.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Consolidated Schedule of Investments

Schedule of Investments Core Equity ETF^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 99.5%
Aerospace & Defense 2.8%
20,811
Boeing Co.*
$4,810,463
23,234
General Electric Co.
7,522,240
15,376
Howmet Aerospace, Inc.
3,970,852
5,337
Lockheed Martin Corp.
2,831,012
32,078
RTX Corp.
5,763,133
 
24,897,700
Automobile Components 0.2%
18,764
Aptiv PLC*
1,274,826
13,195
Mobileye Global, Inc. Class A*
136,436
 
1,411,262
Automobiles 1.9%
24,367
General Motors Co.
2,028,309
33,739
Tesla, Inc.*
14,703,119
 
16,731,428
Banks 3.6%
85,896
Bank of America Corp.
4,432,233
41,920
Citigroup, Inc.
5,277,728
7,223
Citizens Financial Group, Inc.
449,704
29,890
Fifth Third Bancorp
1,492,408
40,695
Huntington Bancshares, Inc.
665,770
36,751
JPMorgan Chase & Co.
10,999,942
30,265
KeyCorp
645,552
12,464
PNC Financial Services Group,
Inc.
2,756,040
34,348
U.S. Bancorp
1,883,988
40,000
Wells Fargo & Co.
3,101,600
 
31,704,965
Beverages 0.8%
68,486
Coca-Cola Co.
5,411,079
23,352
Monster Beverage Corp.*
2,056,844
 
7,467,923
Biotechnology 0.8%
12,090
Cytokinetics, Inc.*
928,028
6,735
Insmed, Inc.*
720,039
16,581
Ionis Pharmaceuticals, Inc.*
1,268,447
2,533
Neurocrine Biosciences, Inc.*
400,974
2,443
Regeneron Pharmaceuticals,
Inc.
1,501,908
5,512
Vertex Pharmaceuticals, Inc.*
2,466,840
 
7,286,236
Broadline Retail 4.0%
130,280
Amazon.com, Inc.*
35,258,979
Building Products 0.0%
4,816
Builders FirstSource, Inc.*
367,268
Number of Shares
Value
Capital Markets 3.7%
9,702
ARES Management Corp.
Class A
$1,246,707
10,026
Bank of New York Mellon
Corp.
1,397,925
3,523
Blackrock, Inc.
3,688,158
4,095
Goldman Sachs Group, Inc.
4,199,668
30,506
Intercontinental Exchange, Inc.
4,510,312
1,807
LPL Financial Holdings, Inc.
494,703
3,313
Moody's Corp.
1,501,617
21,192
Morgan Stanley
4,407,936
4,085
MSCI, Inc.
2,579,188
24,744
Nasdaq, Inc.
2,289,315
9,674
S&P Global, Inc.
4,101,776
5,411
State Street Corp.
842,168
12,309
Tradeweb Markets, Inc.
Class A
1,233,977
 
32,493,450
Chemicals 0.8%
4,515
Ecolab, Inc.
1,155,840
27,409
Element Solutions, Inc.
1,162,964
10,161
Linde PLC
5,057,028
 
7,375,832
Commercial Services & Supplies 0.3%
9,175
Republic Services, Inc.
1,839,037
7,210
Waste Connections, Inc.
1,074,434
 
2,913,471
Communications Equipment 0.1%
2,860
Motorola Solutions, Inc.
1,153,381
Construction Materials 0.2%
3,800
Martin Marietta Materials, Inc.
2,210,232
Consumer Staples Distribution & Retail 1.2%
9,467
Costco Wholesale Corp.
9,053,481
13,352
Dollar Tree, Inc.*
1,554,707
 
10,608,188
Containers & Packaging 0.4%
9,435
Avery Dennison Corp.
1,500,826
23,726
Ball Corp.
1,297,100
33,961
Graphic Packaging Holding
Co.
382,401
 
3,180,327
Electric Utilities 1.1%
7,465
Alliant Energy Corp.
534,569
10,234
American Electric Power Co.,
Inc.
1,296,341
6,685
Constellation Energy Corp.
1,923,609
11,058
Entergy Corp.
1,205,875
See Notes to Schedule of Investments

Schedule of Investments Core Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Electric Utilities – cont'd
19,084
FirstEnergy Corp.
$885,307
32,865
NextEra Energy, Inc.
2,859,583
70,051
PG&E Corp.
1,144,633
 
9,849,917
Electrical Equipment 1.6%
7,802
Eaton Corp. PLC
3,125,481
4,905
GE Vernova, Inc.
4,749,610
7,758
Nextpower, Inc. Class A*
1,213,351
29,342
nVent Electric PLC
4,899,821
 
13,988,263
Electronic Equipment, Instruments & Components 0.9%
49,649
Amphenol Corp. Class A
7,385,785
4,329
CDW Corp.
543,073
 
7,928,858
Energy Equipment & Services 0.3%
37,135
Baker Hughes Co.
2,372,184
Entertainment 2.1%
8,500
Electronic Arts, Inc.
1,714,620
441,997
Lionsgate Studios Corp.*
6,342,657
54,562
Netflix, Inc.*
4,693,423
13,578
Take-Two Interactive Software,
Inc.*
3,043,645
1,932
TKO Group Holdings, Inc.
396,408
22,929
Walt Disney Co.
2,334,860
 
18,525,613
Financial Services 2.3%
18,111
MasterCard, Inc. Class A
8,946,472
35,470
Visa, Inc. Class A
11,575,989
 
20,522,461
Food Products 0.5%
72,123
Mondelez International, Inc.
Class A
4,411,764
Gas Utilities 0.0%
6,626
UGI Corp.
231,380
Ground Transportation 1.2%
8,063
Canadian Pacific Kansas City
Ltd.
720,187
43,480
CSX Corp.
1,967,905
9,347
Old Dominion Freight Line, Inc.
2,104,477
43,643
Uber Technologies, Inc.*
3,072,467
10,986
Union Pacific Corp.
2,885,363
 
10,750,399
Health Care Equipment & Supplies 1.5%
37,211
Abbott Laboratories
3,185,261
2,245
Align Technology, Inc.*
392,763
Number of Shares
Value
Health Care Equipment & Supplies – cont'd
34,515
Boston Scientific Corp.*
$1,667,420
23,148
Cooper Cos., Inc.*
1,416,889
16,787
Dexcom, Inc.*
1,237,873
30,404
Edwards Lifesciences Corp.*
2,629,034
38,128
Medtronic PLC
2,814,228
 
13,343,468
Health Care Providers & Services 1.4%
3,676
Cigna Group
1,019,722
16,322
CVS Health Corp.
1,484,976
1,950
McKesson Corp.
1,447,758
3,965
Quest Diagnostics, Inc.
772,779
5,080
RadNet, Inc.*
282,092
7,831
Tenet Healthcare Corp.*
1,372,931
16,759
UnitedHealth Group, Inc.
6,373,615
 
12,753,873
Health Care REITs 0.5%
23,920
Ventas, Inc.
2,019,326
10,394
Welltower, Inc.
2,134,200
 
4,153,526
Health Care Technology 0.0%
11,706
Waystar Holding Corp.*
233,066
Hotels, Restaurants & Leisure 1.9%
11,962
Booking Holdings, Inc.
2,002,798
3,367
Brinker International, Inc.*
479,393
43,771
Carnival Corp. Ltd.
1,228,214
5,046
DoorDash, Inc. Class A*
803,777
165,636
DraftKings, Inc. Class A*
4,056,426
4,953
Marriott International, Inc.
Class A
1,860,347
9,506
McDonald's Corp.
2,654,075
20,648
Wynn Resorts Ltd.
2,089,991
8,577
Yum! Brands, Inc.
1,268,967
 
16,443,988
Household Durables 0.2%
5,610
Lennar Corp. Class A
503,666
7,113
Toll Brothers, Inc.
985,435
 
1,489,101
Household Products 1.1%
18,040
Church & Dwight Co., Inc.
1,725,165
17,077
Colgate-Palmolive Co.
1,539,150
42,829
Procter & Gamble Co.
6,148,531
 
9,412,846
Independent Power and Renewable Electricity
Producers 0.1%
6,497
Vistra Corp.
1,041,014
See Notes to Schedule of Investments

Schedule of Investments Core Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Industrial REITs 0.2%
13,361
Prologis, Inc.
$1,916,903
Insurance 2.9%
40,733
Aon PLC Class A
12,874,072
18,285
Brown & Brown, Inc.
1,028,531
11,331
Marsh & McLennan Cos., Inc.
1,812,620
9,947
MetLife, Inc.
822,518
170,784
Ryan Specialty Holdings, Inc.
5,439,470
40,242
Unum Group
3,349,342
 
25,326,553
Interactive Media & Services 9.5%
64,851
Alphabet, Inc. Class C
24,411,862
105,957
Alphabet, Inc. Class A
40,299,685
30,741
Meta Platforms, Inc. Class A
19,443,990
 
84,155,537
IT Services 0.4%
14,946
Snowflake, Inc.*
3,819,450
3,313
Wix.com Ltd.*
185,727
 
4,005,177
Life Sciences Tools & Services 0.8%
12,585
Danaher Corp.
2,298,902
7,192
Thermo Fisher Scientific, Inc.
3,542,132
3,881
Waters Corp.*
1,488,635
 
7,329,669
Machinery 2.0%
7,100
Caterpillar, Inc.
6,218,677
5,117
Deere & Co.
2,774,335
23,553
ITT, Inc.
4,592,835
4,468
Parker-Hannifin Corp.
3,773,807
 
17,359,654
Materials 0.3%
8,344
Sherwin-Williams Co.
2,535,241
Media 0.9%
60,940
EchoStar Corp. Class A*
7,872,839
Metals & Mining 0.9%
7,716
Agnico Eagle Mines Ltd.
1,413,185
8,129
Nucor Corp.
2,032,250
4,451
Royal Gold, Inc.
999,161
6,119
Southern Copper Corp.
1,170,473
8,393
Steel Dynamics, Inc.
2,183,439
 
7,798,508
Multi-Utilities 0.6%
19,174
CenterPoint Energy, Inc.
810,293
16,405
CMS Energy Corp.
1,190,511
16,296
Dominion Energy, Inc.
1,090,855
Number of Shares
Value
Multi-Utilities – cont'd
20,001
NiSource, Inc.
$924,446
13,877
Sempra
1,236,857
 
5,252,962
Oil, Gas & Consumable Fuels 3.1%
4,190
Cheniere Energy, Inc.
942,163
31,493
ConocoPhillips
3,589,572
40,798
Devon Energy Corp.
1,815,103
9,787
Diamondback Energy, Inc.
1,874,015
7,289
DT Midstream, Inc.
1,020,314
31,062
EQT Corp.
1,706,236
64,651
Exxon Mobil Corp.
9,391,204
15,830
Phillips 66
2,784,180
12,258
Shell PLC ADR
1,031,143
5,760
Targa Resources Corp.
1,469,203
26,978
Williams Cos., Inc.
1,925,960
 
27,549,093
Passenger Airlines 0.2%
16,953
Delta Air Lines, Inc.
1,398,283
Pharmaceuticals 3.9%
6,412
AstraZeneca PLC
1,190,516
32,569
Bristol-Myers Squibb Co.
1,862,296
11,908
Eli Lilly & Co.
13,158,340
39,406
Johnson & Johnson
8,879,354
49,136
Merck & Co., Inc.
5,833,426
117,796
Pfizer, Inc.
3,083,899
7,720
Roche Holding AG ADR
404,528
 
34,412,359
Professional Services 0.7%
3,800
CACI International, Inc.
Class A*
1,951,338
11,177
Jacobs Solutions, Inc.
1,339,675
20,375
TransUnion
1,458,035
7,790
Verisk Analytics, Inc.
1,363,172
 
6,112,220
Residential REITs 0.2%
7,712
Sun Communities, Inc.
953,666
15,876
UDR, Inc.
585,824
 
1,539,490
Retail REITs 0.2%
11,407
Realty Income Corp.
699,021
11,442
Regency Centers Corp.
885,039
 
1,584,060
Semiconductors & Semiconductor Equipment 16.3%
22,974
Advanced Micro Devices, Inc.*
11,856,881
23,575
Analog Devices, Inc.
9,756,514
See Notes to Schedule of Investments

Schedule of Investments Core Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Semiconductors & Semiconductor Equipment – cont'd
1,065
ASML Holding NV
$1,717,589
46,876
Broadcom, Inc.
20,942,791
51,248
Intel Corp.*
5,877,121
34,954
Lam Research Corp.
11,121,664
327,857
NVIDIA Corp.
69,223,727
17,462
QUALCOMM, Inc.
4,383,311
30,418
Texas Instruments, Inc.
9,298,174
 
144,177,772
Software 8.0%
7,037
Autodesk, Inc.*
1,627,728
6,898
Check Point Software
Technologies Ltd.*
931,575
5,314
Crowdstrike Holdings, Inc.
Class A*
3,884,534
1,483
Fair Isaac Corp.*
1,854,625
5,418
Intuit, Inc.
1,796,230
102,993
Microsoft Corp.
46,371,568
33,516
Oracle Corp.
7,567,243
16,583
Salesforce, Inc.
3,169,011
24,943
ServiceNow, Inc.*
3,102,161
14,648
Trimble, Inc.*
826,294
 
71,130,969
Specialized REITs 0.1%
2,576
Public Storage
782,305
Specialty Retail 2.2%
20,219
Floor & Decor Holdings, Inc.
Class A*
1,039,257
22,218
Home Depot, Inc.
7,046,216
40,161
O'Reilly Automotive, Inc.*
3,489,188
28,201
TJX Cos., Inc.
4,364,105
2,272
Ulta Beauty, Inc.*
1,156,107
42,139
Valvoline, Inc.*
1,422,191
40,422
Warby Parker, Inc. Class A*
991,147
 
19,508,211
Number of Shares
Value
Technology Hardware, Storage & Peripherals 7.9%
189,602
Apple, Inc.
$59,167,200
20,095
Western Digital Corp.
10,674,665
 
69,841,865
Textiles, Apparel & Luxury Goods 0.2%
34,289
NIKE, Inc. Class B
1,585,180
Tobacco 0.2%
34,788
British American Tobacco PLC
ADR
2,149,551
Trading Companies & Distributors 0.2%
2,189
United Rentals, Inc.
2,179,522
Wireless Telecommunication Services 0.1%
6,590
T-Mobile U.S., Inc.
1,235,823
Total Common Stocks
(Cost $759,415,741)
881,252,109
Exchange-Traded Funds 0.3%
6,451
iShares Russell 1000 ETF
(Cost $2,106,605)
2,663,682
 
Short-Term Investments 0.2%
Investment Companies 0.2%
1,771,995
State Street Institutional
U.S. Government Money
Market Fund Premier Class,
3.63%(a)
(Cost $1,771,995)
1,771,995
Total Investments 100.0%
(Cost $763,294,341)
885,687,786
Other Assets Less Liabilities 0.0%
269,907
Net Assets 100.0%
$885,957,693
Represents less than 0.05% of net assets of the Fund.
*
Non-income producing security.
(a)
Represents 7-day effective yield as of May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments Core Equity ETF^ (Unaudited)  (cont’d)
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
Common Stocks#
$881,252,109
$
$
$881,252,109
Exchange-Traded Funds
2,663,682
2,663,682
Short-Term Investments
1,771,995
1,771,995
Total Investments
$883,915,791
$1,771,995
$
$885,687,786
#
The Schedule of Investments provides information on the industry or sector categorization.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

Schedule of Investments Disrupters ETF^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 98.1%
Aerospace & Defense 7.8%
3,071
HEICO Corp.
$1,069,261
12,210
Rocket Lab Corp.*
1,751,891
 
2,821,152
Automobiles 1.8%
1,513
Tesla, Inc.*
659,350
Biotechnology 3.0%
10,761
Protagonist Therapeutics, Inc.*
1,071,365
Broadline Retail 2.8%
3,686
Amazon.com, Inc.*
997,579
Capital Markets 5.2%
12,249
Robinhood Markets, Inc. Class A*
1,155,080
7,243
Tradeweb Markets, Inc. Class A
726,111
 
1,881,191
Communications Equipment 5.5%
1,920
Ciena Corp.*
1,114,042
1,027
Lumentum Holdings, Inc.*
878,044
 
1,992,086
Electric Utilities 2.5%
3,201
Constellation Energy Corp.
921,088
Electrical Equipment 1.7%
2,117
Bloom Energy Corp. Class A*
603,345
Entertainment 2.1%
1,538
Spotify Technology SA*
765,432
Ground Transportation 1.3%
6,724
Uber Technologies, Inc.*
473,370
Health Care Equipment & Supplies 5.3%
8,161
Glaukos Corp.*
843,439
2,498
Intuitive Surgical, Inc.*
1,060,751
 
1,904,190
Interactive Media & Services 1.4%
2,810
Reddit, Inc. Class A*
494,560
Number of Shares
Value
IT Services 6.2%
7,811
Shopify, Inc. Class A*
$927,244
5,136
Snowflake, Inc.*
1,312,505
 
2,239,749
Semiconductors & Semiconductor Equipment 41.7%
6,236
Advanced Micro Devices, Inc.*
3,218,400
8,884
ARM Holdings PLC ADR*
3,138,628
854
ASML Holding NV
1,377,297
2,727
Broadcom, Inc.
1,218,342
1,015
Monolithic Power Systems, Inc.
1,589,703
3,962
Nova Ltd.*
1,990,231
12,028
NVIDIA Corp.
2,539,592
 
15,072,193
Software 5.2%
636
Intuit, Inc.
210,853
3,383
Palo Alto Networks, Inc.*
952,957
9,942
ServiceTitan, Inc. Class A*
719,403
 
1,883,213
Specialty Retail 1.1%
5,414
Carvana Co.*
395,222
Technology Hardware, Storage & Peripherals 3.5%
2,419
Western Digital Corp.
1,284,997
Total Common Stocks (Cost $22,711,537)
35,460,082
 
Short-Term Investments 1.9%
Investment Companies 1.9%
680,242
State Street Institutional
U.S. Government Money Market
Fund Premier Class, 3.63%(a)
(Cost $680,242)
680,242
Total Investments 100.0%
(Cost $23,391,779)
36,140,324
Liabilities Less Other Assets (0.0)%
(11,570
)
Net Assets 100.0%
$36,128,754
Represents less than 0.05% of net assets of the Fund.
*
Non-income producing security.
(a)
Represents 7-day effective yield as of May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments Disrupters ETF^ (Unaudited)  (cont’d)
POSITIONS BY COUNTRY
Country
Investments at
Value
Percentage of
Net Assets
United States
$31,165,310
86.2%
Israel
1,990,231
5.5%
Netherlands
1,377,297
3.8%
Canada
927,244
2.6%
Short-Term Investments and Other Liabilities—Net
668,672
1.9%
 
$36,128,754
100.0%
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
Common Stocks#
$35,460,082
$
$
$35,460,082
Short-Term Investments
680,242
680,242
Total Investments
$35,460,082
$680,242
$
$36,140,324
#
The Schedule of Investments provides information on the industry or sector categorization as well as a
Positions by Country summary.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

Schedule of Investments Growth ETF^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 99.0%
Aerospace & Defense 2.6%
214
Boeing Co.*
$49,466
1,037
General Electric Co.
335,739
 
385,205
Automobiles 1.5%
516
Tesla, Inc.*
224,868
Biotechnology 1.0%
669
AbbVie, Inc.
145,655
Broadline Retail 7.3%
4,041
Amazon.com, Inc.*
1,093,656
Capital Markets 2.7%
4,595
Brookfield Asset Management
Ltd. Class A(a)
223,317
270
Morgan Stanley
56,160
306
S&P Global, Inc.
129,744
 
409,221
Commercial Services & Supplies 0.6%
404
Waste Management, Inc.
85,430
Consumer Staples Distribution & Retail 2.5%
237
Costco Wholesale Corp.
226,648
1,257
Walmart, Inc.
145,498
 
372,146
Electric Utilities 1.0%
1,654
NextEra Energy, Inc.
143,914
Electrical Equipment 2.3%
92
GE Vernova, Inc.
89,085
1,522
nVent Electric PLC
254,159
 
343,244
Electronic Equipment, Instruments & Components 2.1%
2,136
Amphenol Corp. Class A
317,751
Entertainment 2.6%
369
Live Nation Entertainment, Inc.*
62,143
3,819
Netflix, Inc.*
328,511
 
390,654
Financial Services 4.7%
624
MasterCard, Inc. Class A
308,244
1,214
Visa, Inc. Class A
396,201
 
704,445
Ground Transportation 0.6%
326
Union Pacific Corp.
85,621
Number of Shares
Value
Health Care Equipment & Supplies 0.6%
1,844
Boston Scientific Corp.*
$89,084
Health Care Technology 0.4%
3,056
Waystar Holding Corp.*
60,845
Hotels, Restaurants & Leisure 0.9%
123
Marriott International, Inc. Class A
46,199
321
McDonald's Corp.
89,623
 
135,822
Interactive Media & Services 14.0%
3,568
Alphabet, Inc. Class A
1,357,053
1,164
Meta Platforms, Inc. Class A
736,242
 
2,093,295
IT Services 1.5%
456
Cloudflare, Inc. Class A*
110,270
994
Shopify, Inc. Class A*
117,998
 
228,268
Machinery 3.3%
366
Caterpillar, Inc.
320,568
167
Deere & Co.
90,544
419
ITT, Inc.
81,705
 
492,817
Multi-Utilities 1.5%
5,348
CenterPoint Energy, Inc.
226,006
Oil, Gas & Consumable Fuels 0.7%
1,380
Williams Cos., Inc.
98,518
Pharmaceuticals 4.0%
382
Eli Lilly & Co.
422,110
645
Johnson & Johnson
145,338
281
Merck & Co., Inc.
33,360
 
600,808
Semiconductors & Semiconductor Equipment 18.7%
70
Advanced Micro Devices, Inc.*
36,127
197
ASML Holding NV
317,714
1,615
Broadcom, Inc.
721,533
95
Micron Technology, Inc.
92,245
7,414
NVIDIA Corp.
1,565,392
159
Taiwan Semiconductor
Manufacturing Co. Ltd. ADR
66,534
 
2,799,545
Software 10.6%
380
Crowdstrike Holdings, Inc.
Class A*
277,780
2,418
Microsoft Corp.
1,088,681
333
ServiceNow, Inc.*
41,415
See Notes to Schedule of Investments

Schedule of Investments Growth ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Software – cont'd
376
Synopsys, Inc.*
$178,833
 
1,586,709
Specialty Retail 3.8%
806
Home Depot, Inc.
255,615
995
O'Reilly Automotive, Inc.*
86,445
1,429
TJX Cos., Inc.
221,138
 
563,198
Technology Hardware, Storage & Peripherals 7.5%
3,262
Apple, Inc.
1,017,939
64
Sandisk Corp.*
108,479
 
1,126,418
Total Common Stocks (Cost $11,849,178)
14,803,143
 
Short-Term Investments 1.8%
Investment Companies 1.8%
228,436
State Street Institutional
U.S. Government Money Market
Fund Premier Class, 3.63%(b)
228,436
Number of Shares
Value
Investment Companies – cont'd
45,050
State Street Navigator Securities
Lending Government Money
Market Portfolio, 3.64%(b)(c)
$45,050
Total Short-Term Investments
(Cost $273,486)
273,486
Total Investments 100.8%
(Cost $12,122,664)
15,076,629
Liabilities Less Other Assets (0.8)%
(117,287
)
Net Assets 100.0%
$14,959,342
*
Non-income producing security.
(a)
All or a portion of this security is on loan at May 31, 2026. Total value of all such securities at May 31,
2026 amounted to $224,783, collateralized by cash collateral of $45,050 and non-cash (U.S. Treasury
Securities) collateral of $184,634 for the Fund.
(b)
Represents 7-day effective yield as of May 31, 2026.
(c)
Represents investment of cash collateral received from securities lending.
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
Common Stocks#
$14,803,143
$
$
$14,803,143
Short-Term Investments
273,486
273,486
Total Investments
$14,803,143
$273,486
$
$15,076,629
#
The Schedule of Investments provides information on the industry or sector categorization.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

Schedule of Investments International Core Equity ETF^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 99.4%
Australia 6.1%
16,508
APA Group
$119,601
112,420
BHP Group Ltd.
5,034,766
55,115
Brambles Ltd.
656,403
22,821
Coles Group Ltd.
356,264
20,440
Computershare Ltd.
508,170
60,590
Evolution Mining Ltd.
528,686
166,805
Fortescue Ltd.
2,674,771
37,599
QBE Insurance Group Ltd.
611,830
8,760
Rio Tinto PLC
939,992
35,433
South32 Ltd.
122,499
364,635
Telstra Group Ltd.
1,365,444
27,848
Wesfarmers Ltd.
1,597,057
 
14,515,483
Belgium 0.2%
5,840
Groupe Bruxelles Lambert NV
551,073
Brazil 0.2%
3,650
Wheaton Precious Metals
Corp.
490,744
Canada 11.8%
6,406
Agnico Eagle Mines Ltd.
1,177,814
2,048
Alimentation Couche-Tard, Inc.
115,706
5,110
Bank of Montreal
830,002
9,855
Bank of Nova Scotia
790,745
24,455
Barrick Mining Corp.
1,044,790
1,221
Bombardier, Inc. Class B *
275,428
12,775
Brookfield Corp.
582,017
1,825
Cameco Corp.
205,063
12,045
Canadian Imperial Bank of
Commerce
1,314,802
7,665
Canadian National Railway Co.
907,635
26,280
Canadian Natural Resources
Ltd.
1,195,195
4,745
Canadian Pacific Kansas City
Ltd.
423,682
1,903
Canadian Tire Corp. Ltd.
Class A
244,181
9,125
Canadian Utilities Ltd. Class A
328,292
5,840
CCL Industries, Inc. Class B
377,176
1,106
Celestica, Inc. *
427,599
19,345
Cenovus Energy, Inc.
534,052
5,475
CGI, Inc.
382,354
4,015
Dollarama, Inc.
513,433
8,760
Empire Co. Ltd. Class A
310,649
14,600
Enbridge, Inc.
801,033
365
Fairfax Financial Holdings Ltd.
568,078
730
Franco-Nevada Corp.
169,102
6,205
George Weston Ltd.
434,685
5,840
Great-West Lifeco, Inc.
340,916
Number of Shares
Value
Canada – cont'd
7,300
IGM Financial, Inc.
$415,978
4,380
Imperial Oil Ltd.
519,665
22,630
Kinross Gold Corp.
687,444
7,300
Loblaw Cos. Ltd.
326,545
5,110
Lundin Gold, Inc.
341,186
7,665
Magna International, Inc.
496,767
22,995
Manulife Financial Corp.
879,503
1,460
National Bank of Canada
213,220
12,775
Open Text Corp.
303,750
4,069
Pan American Silver Corp.
232,367
10,950
Power Corp. of Canada
661,853
3,203
Restaurant Brands
International, Inc.
239,647
13,140
Royal Bank of Canada
2,520,394
11,315
Saputo, Inc.
346,677
10,891
Shopify, Inc. Class A *
1,298,799
17,155
Suncor Energy, Inc.
1,072,242
4,745
TC Energy Corp.
316,161
1,577
TFI International, Inc.
243,279
2,920
Toromont Industries Ltd.
481,615
18,980
Toronto-Dominion Bank
2,171,759
21,043
Whitecap Resources, Inc.
241,774
 
28,305,054
Chile 0.2%
16,121
Lundin Mining Corp.
481,531
China 0.6%
179,500
BOC Hong Kong Holdings Ltd.
1,098,040
50,000
SITC International Holdings
Co. Ltd.
220,878
37,900
Yangzijiang Shipbuilding
Holdings Ltd.
108,095
 
1,427,013
Cote D'Ivoire 0.3%
9,797
Endeavour Mining PLC
606,115
Denmark 0.6%
4,889
Danske Bank AS
257,430
6,570
Novo Nordisk AS Class B
300,368
3,485
Pandora AS
326,868
20,440
Tryg AS
481,035
 
1,365,701
Finland 1.1%
22,995
Fortum OYJ
537,768
5,475
Kone OYJ Class B
327,348
61,634
Nordea Bank Abp
1,184,027
13,505
Wartsila OYJ Abp
549,753
 
2,598,896
See Notes to Schedule of Investments

Schedule of Investments International Core Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
France 6.8%
4,745
Accor SA
$260,291
2,555
Amundi SA (a)
250,184
51,465
AXA SA
2,384,943
17,905
Ayvens SA (a)
241,841
4,015
Bouygues SA
236,309
6,935
Bureau Veritas SA
210,313
10,137
Capgemini SE *
1,205,436
1,460
Christian Dior SE
762,238
3,428
Cie de Saint-Gobain SA
312,916
37,849
Cie Generale des
Etablissements Michelin SCA
1,391,074
3,650
Eiffage SA
531,105
1,095
Ipsen SA
200,011
13,140
Klepierre SA
536,734
3,285
Rexel SA
141,042
5,475
Safran SA
1,952,212
1,078
Societe Generale SA
90,066
499
Thales SA
139,397
23,360
TotalEnergies SE
2,048,437
6,205
Unibail-Rodamco-Westfield *
718,974
19,165
Vinci SA
2,795,374
 
16,408,897
Germany 5.8%
5,475
Allianz SE
2,436,912
49,446
Deutsche Post AG
2,952,899
70,209
Deutsche Telekom AG
2,363,396
8,860
Fresenius Medical Care AG
384,333
7,665
GEA Group AG
495,748
2,400
Heidelberg Materials AG
534,118
46,352
Mercedes-Benz Group AG
2,821,650
5,086
SAP SE
921,050
1,570
Siemens AG
494,071
3,650
Talanx AG
438,508
 
13,842,685
Hong Kong 1.0%
49,000
AIA Group Ltd.
514,266
286,000
HKT Trust & HKT Ltd.
441,578
10,500
Swire Pacific Ltd. Class A
109,329
205,000
Swire Pacific Ltd. Class B
341,104
897,500
WH Group Ltd. (a)
1,036,427
 
2,442,704
Ireland 0.3%
68,255
AIB Group PLC
804,087
Israel 0.8%
16,892
Bank Hapoalim BM
434,357
31,173
Bank Leumi Le-Israel BM
790,630
156,577
Bezeq The Israeli
Telecommunication Corp. Ltd.
444,824
Number of Shares
Value
Israel – cont'd
3,511
Phoenix Financial Ltd.
$233,361
 
1,903,172
Italy 5.2%
4,900
Coca-Cola HBC AG Class DI *
281,374
290,905
Enel SpA
3,265,874
50,735
Generali
2,290,753
414,640
Intesa Sanpaolo SpA
2,808,474
25,185
Poste Italiane SpA (b)
744,970
76,411
Ryanair Holdings PLC
2,239,731
4,487
UniCredit SpA
388,545
16,208
Unipol Assicurazioni SpA
401,542
 
12,421,263
Japan 19.7%
10,000
Advantest Corp.
1,643,173
44,600
Aisin Corp.
675,868
36,500
Asahi Kasei Corp.
409,541
66,000
Astellas Pharma, Inc.
946,084
109,500
Bridgestone Corp.
2,367,177
77,200
Canon, Inc.
2,049,425
36,500
Dai Nippon Printing Co. Ltd.
634,937
5,200
Daito Trust Construction Co.
Ltd.
103,566
73,000
Daiwa Securities Group, Inc.
687,763
200
Fast Retailing Co. Ltd.
103,387
22,200
Fujikura Ltd.
665,031
36,500
Fujitsu Ltd.
771,871
41,100
Hitachi Ltd.
1,333,140
6,200
Hoya Corp.
1,054,193
36,500
Inpex Corp.
825,957
36,500
ITOCHU Corp.
443,574
73,000
KDDI Corp.
1,255,207
1,800
Kioxia Holdings Corp. *
744,231
56,800
Komatsu Ltd.
2,345,610
5,800
Kyocera Corp.
126,841
1,000
Lasertec Corp.
251,970
83,600
LY Corp.
219,045
3,400
Makita Corp.
118,140
6,900
MatsukiyoCocokara & Co.
98,367
6,400
Mitsubishi Electric Corp.
263,531
139,500
Mitsubishi UFJ Financial
Group, Inc.
2,626,820
29,700
Murata Manufacturing Co. Ltd.
1,794,886
17,800
Nexon Co. Ltd.
250,350
8,800
Nippon Yusen KK
293,564
25,800
Nitto Denko Corp.
484,444
21,300
Nomura Holdings, Inc.
171,855
65,400
ORIX Corp.
2,561,139
13,800
Osaka Gas Co. Ltd.
464,520
25,000
SBI Holdings, Inc.
456,786
See Notes to Schedule of Investments

Schedule of Investments International Core Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Japan – cont'd
3,600
SCREEN Holdings Co. Ltd.
$251,355
6,300
Sekisui Chemical Co. Ltd.
90,624
20,600
Shin-Etsu Chemical Co. Ltd.
1,003,452
31,500
Shionogi & Co. Ltd.
593,351
1,054,900
SoftBank Corp.
1,426,051
5,800
SoftBank Group Corp.
272,802
67,100
Sompo Holdings, Inc.
2,510,167
31,000
Sony Group Corp.
670,354
48,600
Sumitomo Corp.
2,166,273
7,500
Sumitomo Electric Industries
Ltd.
592,644
19,600
Sumitomo Mitsui Financial
Group, Inc.
716,117
26,200
Sumitomo Mitsui Trust Group,
Inc.
900,504
82,000
Suzuki Motor Corp.
1,016,086
5,400
Taisei Corp.
475,020
57,700
Takeda Pharmaceutical Co.
Ltd.
1,854,196
15,300
TIS, Inc.
324,800
5,400
Tokyo Electron Ltd.
1,777,340
12,300
Toyota Tsusho Corp.
535,202
23,800
Yokogawa Electric Corp.
747,332
 
47,165,663
Luxembourg 0.2%
5,840
Eurofins Scientific SE
425,463
Mexico 0.0%
2,860
Fresnillo PLC
126,562
Netherlands 6.0%
5,110
AerCap Holdings NV
712,283
5,296
ASML Holding NV
8,554,260
4,176
Heineken Holding NV
301,508
48,213
ING Groep NV
1,501,491
64,486
Koninklijke Ahold Delhaize NV
2,720,579
106,215
Koninklijke KPN NV
553,289
 
14,343,410
New Zealand 0.2%
17,155
Fisher & Paykel Healthcare
Corp. Ltd.
383,090
Nigeria 0.1%
65,599
Airtel Africa PLC (a)
311,494
Norway 0.6%
13,505
DNB Bank ASA
419,765
2,119
Equinor ASA
76,795
33,580
Norsk Hydro ASA
411,104
32,120
Orkla ASA
339,213
Number of Shares
Value
Norway – cont'd
18,980
Telenor ASA
$310,160
 
1,557,037
Singapore 1.6%
44,000
DBS Group Holdings Ltd.
2,166,472
36,500
Oversea-Chinese Banking
Corp. Ltd.
669,226
36,500
Singapore Exchange Ltd.
625,755
36,500
Singapore Technologies
Engineering Ltd.
325,462
 
3,786,915
Spain 4.7%
391
Acciona SA
112,556
4,651
ACS Actividades de
Construccion y Servicios SA
674,318
49,640
Aena SME SA (a)
1,441,712
8,482
Amadeus IT Group SA
541,565
128,022
Banco Bilbao Vizcaya
Argentaria SA
3,002,922
80,300
Banco de Sabadell SA
271,620
120,085
CaixaBank SA
1,624,779
29,565
Endesa SA
1,236,618
3,718
Indra Sistemas SA
246,670
34,622
Industria de Diseno Textil SA
2,152,419
 
11,305,179
Sweden 3.1%
6,570
Alfa Laval AB
369,590
12,960
H & M Hennes & Mauritz AB
Class B
230,408
4,015
Industrivarden AB Class A
228,296
20,470
Sandvik AB
834,709
13,140
Securitas AB Class B
219,448
33,580
Svenska Handelsbanken AB
Class A
496,257
21,900
Swedbank AB Class A
809,767
216,950
Telefonaktiebolaget LM
Ericsson Class B
2,821,988
72,635
Telia Co. AB
389,486
9,125
Trelleborg AB Class B
398,677
15,640
Volvo AB Class B
551,366
 
7,349,992
Switzerland 3.7%
40,174
ABB Ltd.
4,303,824
8,395
Avolta AG *
530,233
730
Geberit AG
480,151
8,395
Logitech International SA
1,020,672
1,095
Sonova Holding AG
291,233
46,797
UBS Group AG
2,220,692
 
8,846,805
See Notes to Schedule of Investments

Schedule of Investments International Core Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
United Kingdom 9.8%
10,713
Associated British Foods PLC
$262,864
5,110
AstraZeneca PLC
949,803
43,435
Aviva PLC
358,685
344,925
Barclays PLC
2,127,225
36,479
British American Tobacco PLC
2,255,387
14,842
Coca-Cola Europacific
Partners PLC
1,346,021
127,937
GSK PLC
3,241,688
10,220
Halma PLC
644,396
37,230
HSBC Holdings PLC
698,718
58,400
Imperial Brands PLC
2,120,330
43,924
International Consolidated
Airlines Group SA Class DI
254,064
5,400
Intertek Group PLC
386,880
137,605
Kingfisher PLC
532,774
275,575
Lloyds Banking Group PLC
378,168
364,635
NatWest Group PLC
2,943,377
4,745
Next PLC
844,450
18,980
Reckitt Benckiser Group PLC
1,173,476
39,785
RELX PLC
1,312,672
14,109
Rolls-Royce Holdings PLC
254,114
20,805
Sage Group PLC
236,024
10,220
Smiths Group PLC
339,127
57,066
Tesco PLC
330,612
5,770
Unilever PLC
326,787
159,146
Vodafone Group PLC
238,755
 
23,556,397
Number of Shares
Value
United States 8.7%
365
AP Moller - Maersk AS Class B
$900,574
4,797
Buzzi SpA
260,178
20,890
Holcim AG *
2,072,005
3,285
InterContinental Hotels Group
PLC
506,383
33,945
Novartis AG
5,123,823
10,950
Roche Holding AG
4,619,608
19,573
Sanofi SA
1,718,866
94,900
Shell PLC
3,984,860
17,360
Sunbelt Rentals Holdings, Inc.
1,365,784
13,140
Tenaris SA
399,868
 
20,951,949
Total Common Stocks
(Cost $224,111,619)
238,274,374
 
Short-Term Investments 0.6%
Investment Companies 0.6%
1,381,771
State Street Institutional
Treasury Plus Money Market
Fund Premier Class, 3.63%(c)
(Cost $1,381,771)
1,381,771
Total Investments 100.0%
(Cost $225,493,390)
239,656,145
Other Assets Less Liabilities 0.0%
60,735
Net Assets 100.0%
$239,716,880
Represents less than 0.05% of net assets of the Fund.
*
Non-income producing security.
(a)
Security exempt from registration pursuant to Regulation S under the Securities Act of 1933, as
amended. Regulation S applies to securities offerings that are made outside of the United States and
do not involve directed selling efforts in the United States and as such may have restrictions on resale.
Total value of all such securities at May 31, 2026 amounted to $3,281,658, which represents 1.4% of
net assets of the Fund.
(b)
Affiliated company as defined under the Investment Company Act of 1940, as amended (See Note §
below).
(c)
Represents 7-day effective yield as of May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments International Core Equity ETF^ (Unaudited)  (cont’d)
POSITIONS BY INDUSTRY
Industry
Investments at
Value
Percentage of
Net Assets
Banks
$37,049,806
15.5
%
Pharmaceuticals
19,547,798
8.2
%
Insurance
15,112,352
6.3
%
Metals & Mining
15,069,473
6.3
%
Semiconductors & Semiconductor Equipment
13,222,329
5.5
%
Oil, Gas & Consumable Fuels
11,821,234
4.9
%
Machinery
6,099,036
2.5
%
Diversified Telecommunication Services
5,868,177
2.4
%
Trading Companies & Distributors
5,845,773
2.4
%
Automobile Components
5,523,530
2.3
%
Capital Markets
5,411,030
2.3
%
Electrical Equipment
5,232,386
2.2
%
Electric Utilities
5,152,816
2.2
%
Construction & Engineering
4,712,126
2.0
%
Consumer Staples Distribution & Retail
4,693,407
2.0
%
Tobacco
4,375,717
1.8
%
IT Services
4,229,930
1.8
%
Financial Services
4,085,478
1.7
%
Automobiles
3,837,736
1.6
%
Electronic Equipment, Instruments & Components
3,741,054
1.6
%
Specialty Retail
3,549,221
1.5
%
Wireless Telecommunication Services
3,504,309
1.5
%
Broadline Retail
3,199,121
1.3
%
Technology Hardware, Storage & Peripherals
3,070,097
1.3
%
Air Freight & Logistics
2,952,899
1.2
%
Aerospace & Defense
2,946,613
1.2
%
Construction Materials
2,866,301
1.2
%
Communications Equipment
2,821,988
1.2
%
Industrial Conglomerates
2,707,395
1.1
%
Passenger Airlines
2,493,795
1.0
%
Professional Services
2,418,035
1.0
%
Food Products
1,985,181
0.8
%
Beverages
1,928,903
0.8
%
Chemicals
1,897,437
0.8
%
Ground Transportation
1,816,437
0.8
%
Health Care Equipment & Supplies
1,728,516
0.7
%
Hotels, Restaurants & Leisure
1,547,886
0.6
%
Commercial Services & Supplies
1,510,788
0.6
%
Software
1,460,824
0.6
%
Transportation Infrastructure
1,441,712
0.6
%
Marine Transportation
1,415,016
0.6
%
Retail REITs
1,255,708
0.5
%
Household Products
1,173,476
0.5
%
Textiles, Apparel & Luxury Goods
1,089,106
0.5
%
Building Products
793,067
0.3
%
Household Durables
670,354
0.3
%
Gas Utilities
584,121
0.2
%
See Notes to Schedule of Investments

Schedule of Investments International Core Equity ETF^ (Unaudited)  (cont’d)
POSITIONS BY INDUSTRY
Industry
Investments at
Value
Percentage of
Net Assets
Life Sciences Tools & Services
$425,463
0.2
%
Energy Equipment & Services
399,868
0.2
%
Health Care Providers & Services
384,333
0.2
%
Containers & Packaging
377,176
0.2
%
Multi-Utilities
328,292
0.1
%
Personal Care Products
326,787
0.1
%
Entertainment
250,350
0.1
%
Interactive Media & Services
219,045
0.1
%
Other industries representing less than 0.05% of net assets of the
Fund
103,566
0.0
%
Short-Term Investments and Other Assets—Net
1,442,506
0.6
%
 
$239,716,880
100.0
%
See Notes to Schedule of Investments

Schedule of Investments International Core Equity ETF^ (Unaudited)  (cont’d)
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
Common Stocks#
$238,274,374
$
$
$238,274,374
Short-Term Investments
1,381,771
1,381,771
Total Investments
$238,274,374
$1,381,771
$
$239,656,145
#
The Schedule of Investments provides a geographic categorization as well as a Positions by Industry
summary.
§Investments in Affiliates(a):
 
Value at
August 31,
2025
Purchases
Sales/
Other
Reductions
Change in
Net Unrealized
Appreciation/
(Depreciation)
from
Investments
in Affiliated
Persons
Net Realized
Gain/(Loss)
from
Investments
in Affiliated
Persons
Distributions
from
Investments
in Affiliated
Persons
Shares
Held at
May 31,
2026
Value at
May 31,
2026
International Core Equity ETF
 
 
 
 
 
 
 
 
Poste Italiane SpA
$
$611,540
$
$133,430
$
$
25,185
$744,970
Total for affiliates held as of
5/31/26(b)
$—
$611,540
$—
$133,430
$—
$—
$744,970
(a)
Affiliated persons, as defined in the Investment Company Act of 1940, as amended.
(b)
At May 31, 2026, these securities amounted to 0.31% of net assets of the Fund.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

Schedule of Investments Japan Equity ETF^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 98.1%
Automobile Components 7.9%
83,800
Niterra Co. Ltd.
$5,348,488
84,000
Sumitomo Electric Industries
Ltd.
6,637,617
 
11,986,105
Automobiles 1.4%
109,800
Toyota Motor Corp.
2,097,207
Banks 7.1%
130,500
Mizuho Financial Group, Inc.
5,895,504
297,200
Resona Holdings, Inc.
3,805,854
76,000
Shiga Bank Ltd.
955,339
 
10,656,697
Broadline Retail 1.0%
277,800
Pan Pacific International
Holdings Corp.
1,531,812
Building Products 2.1%
72,400
Nichias Corp.
1,605,151
65,700
Sanwa Holdings Corp.
1,503,636
 
3,108,787
Capital Markets 1.3%
247,400
Nomura Holdings, Inc.
1,996,101
Chemicals 1.8%
76,500
Mitsubishi Gas Chemical Co.,
Inc.
2,663,438
Commercial Services & Supplies 2.1%
130,000
Daiei Kankyo Co. Ltd.
3,211,942
Construction & Engineering 4.5%
83,400
Kinden Corp.
3,759,323
35,000
Taisei Corp.
3,078,831
 
6,838,154
Electrical Equipment 1.8%
27,800
Fuji Electric Co. Ltd.
2,695,081
Electronic Equipment, Instruments & Components 11.2%
106,800
Hochiki Corp.
1,323,055
38,800
Ibiden Co. Ltd.
5,603,240
5,000
Keyence Corp.
2,514,991
30,000
Murata Manufacturing Co. Ltd.
1,813,016
34,000
Oki Electric Industry Co. Ltd.
756,789
139,000
TDK Corp.
3,585,295
42,900
Yokogawa Electric Corp.
1,347,081
 
16,943,467
Financial Services 1.7%
43,200
ORIX Corp.
1,691,761
Number of Shares
Value
Financial Services – cont'd
63,600
Tokyo Century Corp.
$943,228
 
2,634,989
Ground Transportation 0.9%
65,600
East Japan Railway Co.
1,405,376
Health Care Equipment & Supplies 2.6%
15,200
Hoya Corp.
2,584,472
76,500
Sysmex Corp.
671,023
49,200
Terumo Corp.
741,715
 
3,997,210
Hotels, Restaurants & Leisure 0.7%
99,000
Resorttrust, Inc.
1,055,797
Household Durables 1.8%
11,400
Open House Group Co. Ltd.
618,871
99,400
Sony Group Corp.
2,149,459
 
2,768,330
Industrial Conglomerates 2.1%
96,000
Hitachi Ltd.
3,113,904
Insurance 4.2%
140,300
Tokio Marine Holdings, Inc.
6,264,234
IT Services 2.5%
83,400
NEC Corp.
2,148,559
53,800
Nomura Research Institute
Ltd.
1,696,440
 
3,844,999
Machinery 14.7%
261,400
Amada Co. Ltd.
4,946,847
34,300
Daifuku Co. Ltd.
1,574,529
120,300
Ebara Corp.
4,292,625
82,000
FANUC Corp.
4,063,316
20,100
MISUMI Group, Inc.
476,170
113,300
Mitsubishi Heavy Industries
Ltd.
2,707,562
13,700
Organo Corp.
1,372,882
19,700
Union Tool Co.
2,723,724
 
22,157,655
Metals & Mining 1.3%
93,200
UACJ Corp.
1,942,825
Professional Services 0.6%
14,400
Recruit Holdings Co. Ltd.
955,690
Real Estate Management & Development 5.9%
27,500
Mitsubishi Estate Co. Ltd.
700,342
164,000
Mitsui Fudosan Co. Ltd.
1,576,002
166,000
Sumitomo Realty &
Development Co. Ltd.
3,874,185
See Notes to Schedule of Investments

Schedule of Investments Japan Equity ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Real Estate Management & Development – cont'd
328,000
Tokyu Fudosan Holdings Corp.
$2,716,429
 
8,866,958
Semiconductors & Semiconductor Equipment 7.6%
4,000
Disco Corp.
1,634,760
7,300
Kioxia Holdings Corp.*
3,018,271
51,000
Rohm Co. Ltd.
1,747,766
15,500
Tokyo Electron Ltd.
5,101,623
 
11,502,420
Specialty Retail 1.9%
262,400
USS Co. Ltd.
2,895,602
Textiles, Apparel & Luxury Goods 2.1%
82,700
Asics Corp.
2,514,778
16,100
Seiko Group Corp.
714,702
 
3,229,480
Trading Companies & Distributors 5.3%
179,900
ITOCHU Corp.
2,186,271
Number of Shares
Value
Trading Companies & Distributors – cont'd
81,800
Mitsui & Co. Ltd.
$2,716,994
70,000
Toyota Tsusho Corp.
3,045,867
 
7,949,132
Total Common Stocks
(Cost $123,924,905)
148,313,392
 
Short-Term Investments 0.8%
Investment Companies 0.8%
1,164,827
State Street Institutional
U.S. Government Money
Market Fund Premier Class,
3.63%(a)
(Cost $1,164,827)
1,164,827
Total Investments 98.9%
(Cost $125,089,732)
149,478,219
Other Assets Less Liabilities 1.1%
1,646,909
Net Assets 100.0%
$151,125,128
*
Non-income producing security.
(a)
Represents 7-day effective yield as of May 31, 2026.
POSITIONS BY COUNTRY
Country
Investments at
Value
Percentage of
Net Assets
Japan
$148,313,392
98.1%
Short-Term Investments and Other Assets—Net
2,811,736
1.9%
 
$151,125,128
100.0%
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
Common Stocks#
$148,313,392
$
$
$148,313,392
Short-Term Investments
1,164,827
1,164,827
Total Investments
$148,313,392
$1,164,827
$
$149,478,219
#
The Schedule of Investments provides information on the industry or sector categorization as well as a
Positions by Country summary.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

Schedule of Investments Option Strategy ETF^ (Unaudited)
May 31, 2026

Principal Amount
Value
U.S. Treasury Obligations 92.7%
 
U.S. Treasury Notes
$38,500,000
4.13%, due 6/15/2026
$38,505,065
113,200,000
4.63%, due 9/15/2026 - 6/15/2027
113,724,118
(a)
60,300,000
4.38%, due 12/15/2026
60,493,737
55,200,000
4.25%, due 3/15/2027
55,385,276
(a)
53,400,000
3.38%, due 9/15/2027
53,022,446
52,100,000
4.00%, due 12/15/2027
52,116,281
42,100,000
3.88%, due 3/15/2028
42,011,195
Total U.S. Treasury Obligations (Cost $415,840,898)
415,258,118
Number of Shares
 
Short-Term Investments 6.5%
Investment Companies 6.5%
29,340,976
State Street Institutional U.S. Government Money Market Fund Premier Class, 3.63%(b)
(Cost $29,340,976)
29,340,976
Total Investments 99.2% (Cost $445,181,874)
444,599,094
Other Assets Less Liabilities 0.8%
3,576,018
(c)
Net Assets 100.0%
$448,175,112
(a)
All or a portion of this security is pledged as collateral for options written.
(b)
Represents 7-day effective yield as of May 31, 2026.
(c)
Includes the impact of the Fund’s open positions in derivatives at May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments Option Strategy ETF^ (Unaudited)  (cont’d)
Derivative Instruments
Written option contracts ("options written")
At May 31, 2026, the Fund had outstanding options written as follows:
Description
Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
Puts
Index
SPDR S&P 500 ETF Trust
123
$(9,304,704)
$732
6/5/2026
$(5,474)
SPDR S&P 500 ETF Trust
292
(22,089,216)
737
6/5/2026
(18,980)
SPDR S&P 500 ETF Trust
26
(1,966,848)
748
6/5/2026
(4,602)
SPDR S&P 500 ETF Trust
161
(12,179,328)
749
6/5/2026
(31,556)
SPDR S&P 500 ETF Trust
522
(39,488,256)
754
6/5/2026
(169,389)
SPDR S&P 500 ETF Trust
403
(30,486,144)
755
6/5/2026
(144,878)
SPDR S&P 500 ETF Trust
49
(3,706,752)
734
6/12/2026
(7,399)
SPDR S&P 500 ETF Trust
93
(7,035,264)
737
6/12/2026
(16,693)
SPDR S&P 500 ETF Trust
101
(7,640,448)
740
6/12/2026
(21,715)
SPDR S&P 500 ETF Trust
419
(31,696,512)
742
6/12/2026
(101,817)
SPDR S&P 500 ETF Trust
419
(31,696,512)
743
6/12/2026
(108,521)
SPDR S&P 500 ETF Trust
434
(32,831,232)
748
6/12/2026
(154,721)
SPDR S&P 500 ETF Trust
89
(6,732,672)
735
6/18/2026
(27,145)
SPDR S&P 500 ETF Trust
20
(1,512,960)
737
6/18/2026
(6,690)
SPDR S&P 500 ETF Trust
13
(983,424)
740
6/18/2026
(5,012)
SPDR S&P 500 ETF Trust
1,369
(103,562,112)
745
6/18/2026
(670,810)
SPDR S&P 500 ETF Trust
326
(24,661,248)
747
6/26/2026
(228,689)
SPDR S&P 500 ETF Trust
384
(29,048,832)
752
6/26/2026
(330,048)
SPDR S&P 500 ETF Trust
781
(59,081,088)
754
6/26/2026
(728,673)
Total options written (premium received $5,578,107)
$(2,782,812)
At May 31, 2026, the Fund had securities pledged in the amount of $100,531,443 to cover collateral requirements for options written.
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
U.S. Treasury Obligations
$
$415,258,118
$
$415,258,118
Short-Term Investments
29,340,976
29,340,976
Total Investments
$
$444,599,094
$
$444,599,094
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s derivatives as of May 31, 2026:
Other Financial Instruments
Level 1
Level 2
Level 3
Total
Options Written
Liabilities
$(2,782,812
)
$
$
$(2,782,812
)
Total
$(2,782,812
)
$
$
$(2,782,812
)
See Notes to Schedule of Investments

Schedule of Investments Option Strategy ETF^ (Unaudited)  (cont’d)
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

Schedule of Investments Small-Mid Cap ETF^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 97.2%
Aerospace & Defense 1.0%
12,025
VSE Corp.
$2,226,429
Banks 6.9%
72,644
Community Financial System,
Inc.
4,623,064
47,893
Glacier Bancorp, Inc.
2,277,312
57,023
Prosperity Bancshares, Inc.
3,932,306
33,612
UMB Financial Corp.
4,411,911
 
15,244,593
Building Products 3.8%
22,630
Armstrong World Industries,
Inc.
3,573,277
110,027
Hayward Holdings, Inc.*
1,552,481
16,913
Simpson Manufacturing Co.,
Inc.
3,209,073
 
8,334,831
Capital Markets 2.5%
18,275
Houlihan Lokey, Inc.
2,588,836
23,348
MarketAxess Holdings, Inc.
3,036,174
 
5,625,010
Chemicals 0.5%
17,833
HB Fuller Co.
1,142,739
Commercial Services & Supplies 2.0%
29,085
Brady Corp. Class A
2,503,637
24,526
Casella Waste Systems, Inc.
Class A*
2,015,301
 
4,518,938
Construction & Engineering 4.6%
34,575
Arcosa, Inc.
4,382,381
11,359
Valmont Industries, Inc.
5,904,522
 
10,286,903
Containers & Packaging 2.6%
39,875
AptarGroup, Inc.
4,619,519
48,121
Myers Industries, Inc.
1,097,159
 
5,716,678
Distributors 0.5%
6,158
Pool Corp.
1,117,061
Diversified Consumer Services 0.9%
31,039
Bright Horizons Family
Solutions, Inc.*
1,943,662
Electric Utilities 2.1%
50,508
Alliant Energy Corp.
3,616,878
Number of Shares
Value
Electric Utilities – cont'd
7,890
IDACORP, Inc.
$1,106,730
 
4,723,608
Electronic Equipment, Instruments & Components 4.0%
9,181
Badger Meter, Inc.
1,137,526
74,467
Knowles Corp.*
2,785,810
10,785
Littelfuse, Inc.
5,035,193
 
8,958,529
Energy Equipment & Services 2.8%
60,794
Archrock, Inc.
2,035,991
55,775
Tidewater, Inc.*
4,098,905
 
6,134,896
Financial Services 1.4%
23,334
Jack Henry & Associates, Inc.
3,180,891
Gas Utilities 1.9%
121,369
UGI Corp.
4,238,205
Ground Transportation 1.4%
6,360
Saia, Inc.*
3,004,273
Health Care Equipment & Supplies 4.0%
60,883
Haemonetics Corp.*
4,128,476
275,934
Neogen Corp.*
2,475,128
10,800
UFP Technologies, Inc.*
2,377,080
 
8,980,684
Hotels, Restaurants & Leisure 2.2%
16,089
Brinker International, Inc.*
2,290,752
14,253
Texas Roadhouse, Inc.
2,574,377
 
4,865,129
Insurance 7.0%
299,481
Hagerty, Inc. Class A*
3,060,696
22,013
RLI Corp.
1,101,531
83,544
Ryan Specialty Holdings, Inc.
2,660,876
63,479
Stewart Information Services
Corp.
4,124,865
2,237
White Mountains Insurance
Group Ltd.
4,619,002
 
15,566,970
Life Sciences Tools & Services 4.9%
69,525
Bio-Techne Corp.
3,593,052
47,206
Revvity, Inc.
4,935,387
120,802
Stevanato Group SpA
2,254,166
 
10,782,605
Machinery 12.9%
43,641
Atmus Filtration Technologies,
Inc.
2,041,526
19,334
Crane Co.
3,538,122
See Notes to Schedule of Investments

Schedule of Investments Small-Mid Cap ETF^ (Unaudited)  (cont’d)
Number of Shares
Value
Machinery – cont'd
95,969
Enerpac Tool Group Corp.
$3,214,002
29,347
Esab Corp.
2,712,543
186,036
Gates Industrial Corp. PLC*
4,822,053
15,083
ITT, Inc.
2,941,185
9,923
Lincoln Electric Holdings, Inc.
2,564,996
3,621
RBC Bearings, Inc.*
2,071,067
4,461
Standex International Corp.
1,235,742
11,177
Watts Water Technologies, Inc.
Class A
3,453,470
 
28,594,706
Marine Transportation 2.4%
37,524
Kirby Corp.*
5,275,499
Media 2.5%
69,513
John Wiley & Sons, Inc.
Class A
2,925,107
14,165
Nexstar Media Group, Inc.
2,527,461
 
5,452,568
Oil, Gas & Consumable Fuels 3.2%
114,068
CNX Resources Corp.*
3,842,951
1,222
Texas Pacific Land Corp.
480,246
63,528
Viper Energy, Inc. Class A
2,890,524
 
7,213,721
Professional Services 0.8%
17,058
UL Solutions, Inc. Class A
1,697,271
Real Estate Management & Development 2.4%
25,436
Colliers International Group,
Inc.
2,400,141
22,565
FirstService Corp.
3,028,223
 
5,428,364
Semiconductors & Semiconductor Equipment 7.6%
23,699
Entegris, Inc.
3,289,184
28,160
Lattice Semiconductor Corp.*
4,141,773
Number of Shares
Value
Semiconductors & Semiconductor Equipment – cont'd
15,160
MKS, Inc.
$4,915,782
52,803
Power Integrations, Inc.
4,435,452
 
16,782,191
Software 4.6%
6,365
Appfolio, Inc. Class A*
1,025,847
207,735
CCC Intelligent Solutions
Holdings, Inc.*
976,355
1,444
Fair Isaac Corp.*
1,805,852
16,501
Manhattan Associates, Inc.*
2,475,975
19,879
SPS Commerce, Inc.*
1,128,133
8,940
Tyler Technologies, Inc.*
2,799,561
 
10,211,723
Specialty Retail 0.5%
32,275
Valvoline, Inc.*
1,089,281
Trading Companies & Distributors 1.7%
74,971
Core & Main, Inc. Class A*
3,707,316
Water Utilities 1.6%
47,289
American States Water Co.
3,654,021
Total Common Stocks
(Cost $207,917,136)
215,699,295
 
Short-Term Investments 2.9%
Investment Companies 2.9%
6,505,461
State Street Institutional
Treasury Money Market Fund
Premier Class, 3.63%(a)
(Cost $6,505,461)
6,505,461
Total Investments 100.1%
(Cost $214,422,597)
222,204,756
Liabilities Less Other Assets (0.1)%
(143,934
)
Net Assets 100.0%
$222,060,822
*
Non-income producing security.
(a)
Represents 7-day effective yield as of May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments Small-Mid Cap ETF^ (Unaudited)  (cont’d)
The following is a summary, categorized by Level (see the Notes to Schedule of Investments), of inputs used to value the Fund’s investments as of May 31, 2026:
Asset Valuation Inputs
Level 1
Level 2
Level 3
Total
Investments:
 
 
 
 
Common Stocks#
$215,699,295
$
$
$215,699,295
Short-Term Investments
6,505,461
6,505,461
Total Investments
$215,699,295
$6,505,461
$
$222,204,756
#
The Schedule of Investments provides information on the industry or sector categorization.
^A balance indicated with a "—", reflects either a zero balance or an amount that rounds to less than 1.
See Notes to Schedule of Investments

May 31, 2026
Notes to Schedule of Investments Neuberger Berman ETF Trustß (Unaudited)
In accordance with Accounting Standards Codification 820 "Fair Value Measurement" ("ASC 820"), all investments held by each of Neuberger China Equity ETF, Neuberger Commodity Strategy ETF ("Commodity Strategy ETF"), Neuberger Core Equity ETF, Neuberger Disrupters ETF, Neuberger Growth ETF, Neuberger International Core Equity ETF ("International Core Equity ETF"), Neuberger Japan Equity ETF, Neuberger Option Strategy ETF and Neuberger Small-Mid Cap ETF (each individually a "Fund," and collectively, the "Funds") are carried at the value that Management believes a Fund would receive upon selling an investment in an orderly transaction to an independent buyer in the principal or most advantageous market for the investment under current market conditions. Various inputs, including the volume and level of activity for the asset or liability in the market, are considered in valuing the Funds' investments, some of which are discussed below. At times, Management may need to apply significant judgment to value investments in accordance with ASC 820. Prior to December 18, 2025, each Fund (except International Core Equity ETF) included "Neuberger Berman" in place of "Neuberger" in its name.
ASC 820 established a three-tier hierarchy of inputs to create a classification of value measurements for disclosure purposes. The three-tier hierarchy of inputs is summarized in the three broad Levels listed below.
Level 1 – unadjusted quoted prices in active markets for identical investments
Level 2 – other observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, amortized cost, etc.)
Level 3 – unobservable inputs (including a Fund's own assumptions in determining the fair value of investments)
The inputs or methodology used for valuing an investment are not necessarily an indication of the risk associated with investing in those securities.
The value of the Funds’ investments in equity securities, exchange-traded funds and exchange-traded options written, for which market quotations are readily available, is generally determined by Management by obtaining valuations from independent pricing services based on the latest sale price quoted on a principal exchange or market for that security (Level 1 inputs). Securities traded primarily on the NASDAQ Stock Market are normally valued at the NASDAQ Official Closing Price ("NOCP") provided by NASDAQ each business day. The NOCP is the most recently reported price as of 4:00:02 p.m., Eastern Time, unless that price is outside the range of the "inside" bid and asked prices (i.e., the bid and asked prices that dealers quote to each other when trading for their own accounts); in that case, NASDAQ will adjust the price to equal the inside bid or asked price, whichever is closer. Because of delays in reporting trades, the NOCP may not be based on the price of the last trade to occur before the market closes. If there is no sale of a security on a particular day, the independent pricing services may value the security based on market quotations.
The value of the Funds’ investments in debt securities is determined by Management primarily by obtaining valuations from independent pricing services based on bid quotations, or if quotations are not available, by methods that include various considerations based on security type (generally Level 2 inputs). In addition to the consideration of yields or prices of securities of comparable quality, coupon, maturity and type, indications as to values from dealers, and general market conditions, the following is a description of other Level 2 inputs and related valuation techniques used by independent pricing services to value certain types of debt securities held by the Funds:
Corporate Bonds. Inputs used to value corporate debt securities generally include relevant credit information, observed market movements, sector news, U.S. Treasury yield curve or relevant benchmark curve, and other market information, which may include benchmark yield curves, reported trades, broker-dealer quotes, issuer spreads, comparable securities, and reference data, such as market research publications, when available ("Other Market Information").
U.S. Treasury Obligations. Inputs used to value U.S. Treasury securities generally include quotes from several inter-dealer brokers and Other Market Information.
For information on the Funds' significant accounting policies, please refer to the Funds' most recent financial statements and other information.
ßNotes to Consolidated Schedule of Investments for Commodity Strategy ETF

Notes to Schedule of Investments Neuberger Berman ETF Trustß (Unaudited)  (cont’d)
Asset-Backed Securities. Inputs used to value asset-backed securities generally include models that consider several factors, which may include the following: prepayment speeds, cash flows, spread adjustments and Other Market Information.
The value of futures contracts is determined by Management by obtaining valuations from independent pricing services at the settlement price at the market close (Level 1 inputs).
Management has developed a process to periodically review information provided by independent pricing services for all types of securities.
Investments in non-exchange traded investment companies are valued using the respective fund’s daily calculated net asset value per share (Level 2 inputs), when available.
If a valuation is not available from an independent pricing service, or if Management has reason to believe that the valuation received does not represent the amount a Fund might reasonably expect to receive on a current sale in an orderly transaction, Management seeks to obtain quotations from brokers or dealers (generally considered Level 2 or Level 3 inputs depending on the number of quotes available). If such quotations are not available, the security is valued using methods Management has approved in the good-faith belief that the resulting valuation will reflect the fair value of the security. Pursuant to Rule 2a-5 under the Investment Company Act of 1940, the Funds' Board of Trustees designated Management as the Funds' valuation designee. As the Funds' valuation designee, Management is responsible for determining fair value in good faith for all Fund investments. Inputs and assumptions considered in determining fair value of a security based on Level 2 or Level 3 inputs may include, but are not limited to, the type of security; the initial cost of the security; the existence of any contractual restrictions on the security's disposition; the price and extent of public trading in similar securities of the issuer or of comparable companies; quotations or evaluated prices from broker-dealers or pricing services; information obtained from the issuer and analysts; an analysis of the company's or issuer's financial statements; an evaluation of the inputs that influence the issuer and the market(s) in which the security is purchased and sold.
The value of the Funds’ investments in foreign securities is generally determined using the same valuation methods and inputs as other Fund investments, as discussed above. Foreign security prices expressed in local currency values are normally translated from the local currency into U.S. dollars using the exchange rates as of 4:00 p.m., Eastern Time, on days the New York Stock Exchange is open for business. Management has approved the use of ICE Data Services ("ICE") to assist in determining the fair value of foreign equity securities when changes in the value of a certain index suggest that the closing prices on the foreign exchanges may no longer represent the amount that a Fund could expect to receive for those securities or when foreign markets are closed and U.S. markets are open. In each of these events, ICE will provide adjusted prices for certain foreign equity securities using a statistical analysis of historical correlations of multiple factors (Level 2 inputs). Management has also approved the use of ICE to evaluate the prices of foreign debt securities as of the time at which a Fund’s share price is calculated. ICE utilizes benchmark spread and yield curves and evaluates available market activity from the local close to the time as of which a Fund’s share price is calculated (Level 2 inputs) to assist in determining prices for certain foreign debt securities. In the case of both foreign equity and foreign debt securities, in the absence of precise information about the market values of these foreign securities as of the time at which a Fund’s share price is calculated, Management has determined on the basis of available data that prices adjusted or evaluated in this way are likely to be closer to the prices a Fund could realize on a current sale than the prices of those securities established at the close of the foreign markets in which the securities primarily trade.
Fair value prices are necessarily estimates, and there is no assurance that such a price will be at or close to the price at which the security is next quoted or traded.
For information on the Funds' significant accounting policies, please refer to the Funds' most recent financial statements and other information.
ßNotes to Consolidated Schedule of Investments for Commodity Strategy ETF

Notes to Schedule of Investments Neuberger Berman ETF Trustß (Unaudited)  (cont’d)
Commodity Strategy ETF invests in commodity-related instruments through Neuberger Berman Cayman Commodity Fund I Ltd. (the "CS Subsidiary"), which is organized under the laws of the Cayman Islands. Commodity Strategy ETF is and expects to remain the sole shareholder of the CS Subsidiary. The CS Subsidiary is governed by its own Board of Directors.
As of May 31, 2026, the value of Commodity Strategy ETF's investment in the CS Subsidiary was as follows:
 
Investment in
CS Subsidiary
Percentage of
Net Assets
$46,991,197
11.0
%
For information on the Funds' significant accounting policies, please refer to the Funds' most recent financial statements and other information.
ßNotes to Consolidated Schedule of Investments for Commodity Strategy ETF

Notes to Schedule of Investments Neuberger Berman ETF Trustß (Unaudited) (cont'd)
Legend
Other Abbreviations:
ADR
= American Depositary Receipt
Management
= Neuberger Berman Investment Advisers LLC
Reference Rate Benchmarks:
SOFR
= Secured Overnight Financing Rate
Currency Abbreviations:
USD
= United States Dollar
For information on the Funds' significant accounting policies, please refer to the Funds' most recent financial statements and other information.
ßNotes to Consolidated Schedule of Investments for Commodity Strategy ETF