Schedule of Investments Emerging Markets Equity Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 92.3%
Brazil 11.5%
1,076,434
Banco Bradesco SA
$3,776,924
809,927
Petroleo Brasileiro SA -
Petrobras
6,743,304
1,326,455
Sao Martinho SA
4,464,859
719,181
Telefonica Brasil SA
4,821,580
437,158
Vale SA ADR
7,103,818
 
26,910,485
Chile 2.3%
106,444,857
Cia Sud Americana de
Vapores SA
5,320,808
China 26.4%
1,899,000
Anhui Conch Cement Co.
Ltd. Class H
4,611,258
171,896
Autohome, Inc. ADR
3,001,304
377,950
Baidu, Inc. Class A *
6,269,507
5,128,000
China Construction Bank
Corp. Class H
5,555,350
1,874,000
China Resources Land Ltd.
8,445,901
853,300
Gree Electric Appliances,
Inc. of Zhuhai Class A
4,940,470
5,940,000
Kunlun Energy Co. Ltd.
5,426,942
88,835
PDD Holdings, Inc. ADR *
7,501,227
241,585
Qfin Holdings, Inc. ADR
3,884,687
92,300
Tencent Holdings Ltd.
5,031,397
2,716,000
Xinhua Winshare Publishing
& Media Co. Ltd. Class H
3,396,343
1,399,400
Yangzijiang Shipbuilding
Holdings Ltd.
3,991,237
 
62,055,623
Greece 2.1%
1,095,816
Alpha Bank SA
4,997,604
Hong Kong 4.8%
4,792,000
United Laboratories
International Holdings Ltd.
5,380,903
880,800
VTech Holdings Ltd.
5,760,058
 
11,140,961
Hungary 4.3%
238,623
Richter Gedeon Nyrt
10,097,492
Indonesia 5.2%
18,225,000
Bukit Asam Persero Tbk. PT
2,835,226
27,149,200
Perusahaan Gas Negara
Persero Tbk. PT
2,772,652
41,158,900
Semen Indonesia Persero
Tbk. PT
3,892,476
Number of Shares
Value
Indonesia – cont'd
16,395,300
Telkom Indonesia Persero
Tbk. PT
$2,779,953
 
12,280,307
Kazakhstan 2.1%
153,225
Halyk Savings Bank of
Kazakhstan JSC GDR (a)
4,903,200
Kenya 1.2%
4,952,654
Equity Group Holdings PLC
2,879,005
Korea 13.9%
10,077
Hyundai Mobis Co. Ltd.
5,135,458
314,236
iM Financial Group Co. Ltd.
3,615,695
28,358
KB Financial Group, Inc.
2,833,918
14,945
KCC Corp.
5,454,380
42,919
Kia Corp.
4,818,776
87,513
Orion Corp.
7,526,002
50,305
Shinhan Financial Group
Co. Ltd.
3,124,451
 
32,508,680
Mexico 6.6%
1,775,479
Becle SAB de CV (b)
1,459,340
518,241
El Puerto de Liverpool SAB
de CV Class C1 (b)
3,078,597
1,521,874
Megacable Holdings SAB
de CV (b)(c)
5,189,663
120,332
Ternium SA ADR
5,806,019
 
15,533,619
Philippines 1.8%
2,271,429
BDO Unibank, Inc.
4,207,477
Slovenia 1.2%
56,184
Nova Ljubljanska Banka DD
GDR (a)
2,883,452
Taiwan 2.0%
189,000
Asustek Computer, Inc.
4,591,435
Thailand 3.5%
1,346,900
Kasikornbank PCL
8,318,541
Turkey 2.0%
11,079,321
Anadolu Efes Biracilik Ve
Malt Sanayii AS
4,629,896
United States 1.4%
1,833,300
Samsonite Group SA (a)
3,387,332
Total Common Stocks
(Cost $213,381,108)
216,645,917
See Notes to Schedule of Investments

Schedule of Investments Emerging Markets Equity Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Preferred Stocks 1.1%
India 1.1%
217,973
Gupshup, Inc.,
Series F*#(d)(e)
(Cost$4,983,996)
$2,576,441
 
Short-Term Investments 4.9%
Investment Companies 4.9%
10,835,993
State Street Institutional
Treasury Money Market
Fund Premier Class,
3.63%(f)
10,835,993
Number of Shares
Value
Investment Companies – cont'd
514,988
State Street Navigator
Securities Lending
Government Money Market
Portfolio, 3.64%(f)(g)
$514,988
Total Short-Term Investments
(Cost $11,350,981)
11,350,981
Total Investments 98.3%
(Cost $229,716,085)
230,573,339
Other Assets Less Liabilities 1.7%
4,058,962
Net Assets 100.0%
$234,632,301
*
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 $11,173,984, which represents 4.8% of
net assets of the Fund.
(b)
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 $1,149,851, collateralized by cash collateral of $514,988 and non-cash
(U.S. Treasury Securities) collateral of $714,685 for the Fund.
(c)
Security represented in Units.
(d)
Value determined using significant unobservable inputs.
(e)
Security fair valued as of May 31, 2026 in accordance with procedures approved by the valuation
designee. Total value of all such securities at May 31, 2026 amounted to $2,576,441, which represents
1.1% of net assets of the Fund.
(f)
Represents 7-day effective yield as of May 31, 2026.
(g)
Represents investment of cash collateral received from securities lending.
#  This security is subject to restrictions on resale. Total value of all such securities at May 31, 2026 amounted to $2,576,441, which represents 1.1% of net assets of the Fund. Acquisition dates shown with a range, if any, represent securities that were acquired over the period shown in the table.
Restricted Security
Acquisition
Date(s)
Acquisition
Cost
Value as of
5/31/2026
Fair Value
Percentage
of Net Assets
as of
5/31/2026
Gupshup, Inc. (Series F Preferred Shares)
7/16/2021
$4,983,996
$2,576,441
1.1%
See Notes to Schedule of Investments

Schedule of Investments Emerging Markets Equity Fund^ (Unaudited)  (cont’d)
POSITIONS BY INDUSTRY
Industry
Investments at
Value
Percentage of
Net Assets
Banks
$47,095,617
20.1
%
Pharmaceuticals
15,478,395
6.6
%
Interactive Media & Services
14,302,208
6.1
%
Metals & Mining
12,909,837
5.5
%
Food Products
11,990,861
5.1
%
Broadline Retail
10,579,824
4.5
%
Oil, Gas & Consumable Fuels
9,578,530
4.1
%
Media
8,586,006
3.7
%
Construction Materials
8,503,734
3.6
%
Real Estate Management & Development
8,445,901
3.6
%
Gas Utilities
8,199,594
3.5
%
Diversified Telecommunication Services
7,601,533
3.2
%
Beverages
6,089,236
2.6
%
Communications Equipment
5,760,058
2.4
%
Chemicals
5,454,380
2.3
%
Marine Transportation
5,320,808
2.3
%
Automobile Components
5,135,458
2.2
%
Household Durables
4,940,470
2.1
%
Automobiles
4,818,776
2.0
%
Technology Hardware, Storage & Peripherals
4,591,435
2.0
%
Machinery
3,991,237
1.7
%
Consumer Finance
3,884,687
1.7
%
Textiles, Apparel & Luxury Goods
3,387,332
1.4
%
IT Services
2,576,441
1.1
%
Short-Term Investments and Other Assets—Net
15,409,943
6.6
%
 
$234,632,301
100.0
%
See Notes to Schedule of Investments

Schedule of Investments Emerging Markets Equity Fund^ (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(a)
Total
Investments:
 
 
 
 
Common Stocks#
$216,645,917
$
$
$216,645,917
Preferred Stocks#
2,576,441
2,576,441
Short-Term Investments
11,350,981
11,350,981
Total Investments
$216,645,917
$11,350,981
$2,576,441
$230,573,339
#
The Schedule of Investments provides a geographic categorization as well as a Positions by Industry
summary.
(a)
The following is a reconciliation between the beginning and ending balances of investments in which
significant unobservable inputs (Level 3) were used in determining value:
(000's
omitted)
Beginning
balance as
of 9/1/2025
Accrued
discounts/
(premiums)
Realized
gain/(loss)
Change
in unrealized
appreciation/
(depreciation)
Purchases
Sales/
Other
reductions
Transfers
into
Level 3
Transfers
out of
Level 3
Balance
as of
5/31/2026
Net change in
unrealized
appreciation/
(depreciation)
from
investments
still held as of
5/31/2026
Investments in Securities:
Common
Stocks
$2,656
$
$(4,138
)
$347
$6,997
$(5,862
)
$
$
$
$
Preferred
Stocks(1)
9,749
(175
)
(6,998
)
2,576
(983
)
Total
$12,405
$
$(4,138
)
$172
$6,997
$(12,860
)
$
$
$2,576
$(983
)
(1) Quantitative Information about Level 3 Fair Value Measurements:
Investment type
Fair value
at
5/31/2026
Valuation
approach
Significant unobservable
input(s)
Input value/
range
Weighted
average(a)
Impact to
valuation
from
increase
in input(b)
Preferred Stocks
$2,576,441
Market Approach
Enterprise value/
Revenue multiple(c) (EV/Revenue)
2.7x
2.7x
Increase
 
 
Discount Rate
3.5%
3.5%
Decrease
 
 
Term (Years)
1.1
1.1
Decrease
 
 
Expected Volatility
50.0%
50.0%
Decrease
(a) The weighted averages disclosed in the table above were weighted by relative fair value.
(b) Represents the expected directional change in the fair value of the Level 3 investments that
would result from an increase or decrease in the corresponding input. Significant changes
in these inputs could result in significantly higher or lower fair value measurements.
(c) Represents amounts used when the reporting entity has determined that market
participants would use such multiples when pricing the investments.
^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 Equity Income Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 97.3%
Aerospace & Defense 4.5%
921,640
BAE Systems PLC
$25,108,917
70,815
RTX Corp.
12,722,623
930,300
Singapore Technologies
Engineering Ltd.
8,295,251
 
46,126,791
Banks 6.9%
416,665
Bank of America Corp.
21,499,914
95,430
JPMorgan Chase & Co.(a)
28,563,153
266,146
Wells Fargo & Co.
20,636,961
 
70,700,028
Beverages 1.3%
170,605
Coca-Cola Co.
13,479,501
Capital Markets 6.5%
108,450
ARES Management Corp.
Class A
13,935,825
39,870
CME Group, Inc.
10,906,040
14,971
Goldman Sachs Group, Inc.
15,353,659
125,861
Morgan Stanley
26,179,088
 
66,374,612
Chemicals 2.5%
369,440
Nutrien Ltd.
25,325,112
Construction & Engineering 2.1%
311,700
Ferrovial NV
21,341,371
Construction Materials 2.6%
86,275
CRH PLC
9,385,857
80,540
Heidelberg Materials AG
17,924,103
 
27,309,960
Containers & Packaging 1.6%
77,300
Packaging Corp. of
America
16,921,743
Diversified Telecommunication Services 1.8%
31,345
Deutsche Telekom AG
1,055,145
5,197,600
Singapore
Telecommunications Ltd.
17,674,894
 
18,730,039
Electrical Equipment 2.1%
154,010
Emerson Electric Co.
22,149,718
Energy Equipment & Services 2.7%
593,535
Noble Corp. PLC
27,587,507
Food Products 2.9%
112,403
Hershey Co.
21,809,554
Number of Shares
Value
Food Products – cont'd
137,365
Mondelez International, Inc.
Class A
$8,402,617
 
30,212,171
Gas Utilities 5.1%
401,450
MDU Resources Group,
Inc.
8,462,566
300,901
Southwest Gas Holdings,
Inc.
25,940,675
503,131
UGI Corp.
17,569,335
 
51,972,576
Ground Transportation 1.2%
48,000
Union Pacific Corp.
12,606,720
Health Care Equipment & Supplies 0.7%
85,500
Abbott Laboratories
7,318,800
Health Care Providers & Services 0.9%
683,845
Sonic Healthcare Ltd.
9,594,348
Health Care REITs 1.8%
289,925
Healthpeak Properties, Inc.
5,552,064
153,735
Ventas, Inc.
12,978,308
 
18,530,372
Hotels, Restaurants & Leisure 3.3%
111,000
Darden Restaurants, Inc.
22,634,010
41,645
McDonald's Corp.
11,627,284
 
34,261,294
Household Products 1.3%
91,324
Procter & Gamble Co.
13,110,473
Industrial REITs 1.1%
169,700
Terreno Realty Corp.
11,147,593
Insurance 2.0%
138,680
American International
Group, Inc.
10,294,216
119,650
Unum Group
9,958,470
 
20,252,686
IT Services 1.0%
35,886
International Business
Machines Corp.
10,686,851
Media 0.9%
877,235
Informa PLC
9,583,291
Metals & Mining 5.2%
93,729
Agnico Eagle Mines Ltd.
17,166,466
63,907
Southern Copper Corp.
12,225,359
286,775
Valterra Platinum Ltd.
23,875,810
 
53,267,635
See Notes to Schedule of Investments

Schedule of Investments Equity Income Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Multi-Utilities 8.2%
3,427,221
Algonquin Power & Utilities
Corp.
$20,186,332
666,075
CenterPoint Energy, Inc.
28,148,329
258,775
CMS Energy Corp.
18,779,302
188,345
Sempra
16,787,190
 
83,901,153
Oil, Gas & Consumable Fuels 6.4%
72,278
Expand Energy Corp.
6,720,409
139,365
Exxon Mobil Corp.
20,244,160
359,915
Pembina Pipeline Corp.
16,754,043
28,820
Targa Resources Corp.
7,351,117
207,980
Williams Cos., Inc.
14,847,692
 
65,917,421
Pharmaceuticals 6.2%
130,450
AstraZeneca PLC
24,220,651
112,605
Merck & Co., Inc.
13,368,466
497,396
Roche Holding AG ADR
26,063,550
 
63,652,667
Residential REITs 2.1%
725,130
Invitation Homes, Inc.
21,210,053
Retail REITs 3.0%
1,013,816
Brixmor Property Group,
Inc.
30,982,217
Semiconductors & Semiconductor Equipment 5.2%
44,382
Analog Devices, Inc.
18,367,491
114,130
Texas Instruments, Inc.
34,887,258
 
53,254,749
Number of Shares
Value
Software 1.0%
22,250
Microsoft Corp.
$10,017,840
Specialty Retail 2.2%
19,770
Home Depot, Inc.
6,269,858
263,099
Industria de Diseno Textil
SA
16,356,630
 
22,626,488
Tobacco 1.0%
55,641
Philip Morris International,
Inc.
9,869,601
Total Common Stocks
(Cost $694,826,255)
1,000,023,381
 
Short-Term Investments 2.6%
Investment Companies 2.6%
26,499,211
State Street Institutional
Treasury Money Market
Fund Premier Class,
3.63%(b)
(Cost $26,499,211)
26,499,211
Total Investments 99.9%
(Cost $721,325,466)
1,026,522,592
Other Assets Less Liabilities 0.1%(c)
911,190
Net Assets 100.0%
$1,027,433,782
(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 Equity Income Fund^ (Unaudited)  (cont’d)
POSITIONS BY COUNTRY
Country
Investments at
Value
Percentage of
Net Assets
United States
$754,677,029
73.5%
Canada
79,431,953
7.7%
United Kingdom
58,912,859
5.7%
Singapore
25,970,145
2.5%
South Africa
23,875,810
2.3%
Germany
18,979,248
1.9%
Spain
16,356,630
1.6%
Mexico
12,225,359
1.2%
Australia
9,594,348
0.9%
Short-Term Investments and Other Assets—Net
27,410,401
2.7%
 
$1,027,433,782
100.0%
See Notes to Schedule of Investments

Schedule of Investments Equity Income Fund^ (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
Calls
Metals & Mining
Southern Copper Corp.
125
$(2,391,250)
$220
6/18/2026
$(29,375)
Southern Copper Corp.
125
(2,391,250)
230
6/18/2026
(16,563)
 
(45,938)
Oil, Gas & Consumable Fuels
Exxon Mobil Corp.
100
(1,452,600)
190
6/18/2026
(600)
Targa Resources Corp.
75
(1,913,025)
320
7/17/2026
(5,625)
 
(6,225)
Semiconductors & Semiconductor Equipment
Texas Instruments, Inc.
75
(2,292,600)
320
6/18/2026
(58,312)
Texas Instruments, Inc.
75
(2,292,600)
330
7/17/2026
(92,250)
 
(150,562)
Total calls
$(202,725)
Puts
Capital Markets
ARES Management Corp.
200
(2,570,000)
100
6/18/2026
(7,500)
ARES Management Corp.
200
(2,570,000)
105
6/18/2026
(12,500)
 
(20,000)
Electrical Equipment
Eaton Corp. PLC
75
(3,004,500)
340
7/17/2026
(29,625)
Eaton Corp. PLC
75
(3,004,500)
350
7/17/2026
(36,750)
 
(66,375)
Food Products
Hershey Co.
150
(2,910,450)
165
7/17/2026
(24,375)
Health Care Equipment & Supplies
Abbott Laboratories
300
(2,568,000)
80
6/18/2026
(19,500)
Abbott Laboratories
300
(2,568,000)
85
6/18/2026
(49,500)
 
(69,000)
IT Services
International Business Machines
Corp.
125
(3,722,500)
180
6/18/2026
(625)
See Notes to Schedule of Investments

Schedule of Investments Equity Income Fund^ (Unaudited)  (cont’d)
Description
Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
Puts (cont’d)
Textiles, Apparel & Luxury Goods
NIKE, Inc.
800
$(3,698,400)
$32.5
6/18/2026
$(800)
Total puts
$(181,175)
Total options written (premium received $403,482)
$(383,900)
At May 31, 2026, the Fund had securities pledged in the amount of $15,923,292 to cover collateral requirements for options written.
See Notes to Schedule of Investments

Schedule of Investments Equity Income Fund^ (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#
$1,000,023,381
$
$
$1,000,023,381
Short-Term Investments
26,499,211
26,499,211
Total Investments
$1,000,023,381
$26,499,211
$
$1,026,522,592
#
The Schedule of Investments provides information on the industry or sector categorization as well as a
Positions by Country summary.
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(a)
Total
Options Written
Liabilities
$(383,900
)
$
$
$(383,900
)
Total
$(383,900
)
$
$
$(383,900
)
(a)
The following is a reconciliation between the beginning and ending balances of derivative investments
in which significant unobservable inputs (Level 3) were used in determining value:
(000's
omitted)
Beginning
balance as
of 9/1/2025
Accrued
discounts/
(premiums)
Realized
gain/(loss)
Change
in unrealized
appreciation/
(depreciation)
Purchases/
Closing
of options
Sales/
Writing
of options
Transfers
into
Level 3
Transfers
out of
Level 3
Balance
as of
5/31/2026
Net change in
unrealized
appreciation/
(depreciation)
from
investments
still held as of
5/31/2026
Other Financial Instruments
Written Option
Contracts(1)
$(13
)
$
$42
$(29
)
$
$
$
$
$
$
Total
$(13
)
$
$42
$(29
)
$
$
$
$
$
$
(1) At May 31, 2026, these investments were valued in accordance with procedures approved by the
valuation designee. These investments did not have a material impact on the Fund’s net assets
and, therefore, disclosure of significant unobservable inputs used in formulating valuations is not
presented.
^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 Focus Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 92.9%
Aerospace & Defense 1.0%
15,677
Lockheed Martin Corp.
$8,315,865
Automobile Components 1.8%
180,908
Continental AG
15,057,748
Automobiles 1.0%
419,300
Toyota Motor Corp.
8,008,731
Banks 13.4%
2,023,962
Banco Bradesco SA
7,101,551
2,774,191
Barclays PLC
17,109,023
52,534
Citigroup, Inc.
6,614,031
918,535
Itau Unibanco Holding SA
7,290,668
1,522,200
Mitsubishi UFJ Financial
Group, Inc.
28,663,409
652,259
Standard Chartered PLC
17,510,845
314,159
UniCredit SpA
27,204,133
 
111,493,660
Broadline Retail 6.9%
209,927
Amazon.com, Inc.*
56,814,643
Commercial Services & Supplies 1.0%
55,076
HD Hyundai Marine Solution
Co. Ltd.
8,186,479
Construction Materials 1.8%
149,690
Holcim AG*
14,847,223
Electric Utilities 2.1%
139,540
American Electric Power Co.,
Inc.
17,675,532
Electrical Equipment 5.1%
244,200
Contemporary Amperex
Technology Co. Ltd. Class H
23,198,828
393,600
Fujikura Ltd.
11,790,824
39,097
Siemens Energy AG
7,444,190
 
42,433,842
Food Products 1.4%
164,152
Danone SA
11,667,990
Ground Transportation 0.7%
134,266
CSX Corp.
6,076,879
Health Care Providers & Services 2.9%
144,801
CVS Health Corp.
13,173,995
14,930
McKesson Corp.
11,084,629
 
24,258,624
Insurance 1.0%
25,209
Aon PLC Class A
7,967,556
Number of Shares
Value
Interactive Media & Services 3.4%
39,511
Alphabet, Inc. Class C
$14,873,126
20,408
Meta Platforms, Inc. Class A
12,908,264
 
27,781,390
IT Services 3.0%
96,755
Snowflake, Inc.*
24,725,740
Machinery 5.2%
30,688
Deere & Co.
16,638,420
509,600
Mitsubishi Heavy Industries
Ltd.
12,178,053
17,037
Parker-Hannifin Corp.
14,389,961
 
43,206,434
Media 1.5%
98,435
EchoStar Corp. Class A*(a)
12,716,818
Metals & Mining 1.3%
60,231
Agnico Eagle Mines Ltd.
11,031,308
Multi-Utilities 2.1%
407,073
CenterPoint Energy, Inc.
17,202,905
Oil, Gas & Consumable Fuels 6.6%
114,379
DT Midstream, Inc.
16,010,772
423,968
Eni SpA
11,141,449
150,337
Shell PLC ADR
12,646,349
172,814
TotalEnergies SE
15,154,048
 
54,952,618
Pharmaceuticals 4.0%
10,272
Eli Lilly & Co.
11,350,560
52,089
Roche Holding AG
21,975,412
 
33,325,972
Real Estate Management & Development 1.3%
37,628
Jones Lang LaSalle, Inc.*
10,622,761
Semiconductors & Semiconductor Equipment 14.7%
43,441
Analog Devices, Inc.
17,978,058
171,122
Intel Corp.*
19,624,271
41,900
Kioxia Holdings Corp.*
17,324,051
107,387
Lam Research Corp.
34,168,396
157,211
NVIDIA Corp.
33,193,530
 
122,288,306
Software 3.2%
90,909
Arctic Wolf Networks,
Inc.*#(b)(c)
1,050,908
7,426
Constellation Software, Inc.
15,204,973
20,526
Contra CyberArk Software
Ltd., CVR*(b)(c)
923,670
20,400
Microsoft Corp.
9,184,896
 
26,364,447
See Notes to Schedule of Investments

Schedule of Investments Focus Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Technology Hardware, Storage & Peripherals 5.7%
42,856
Apple, Inc.
$13,373,643
161,180
Samsung Electronics Co. Ltd.
33,904,486
 
47,278,129
Trading Companies & Distributors 0.8%
206,200
Mitsui & Co. Ltd.
6,848,950
Total Common Stocks
(Cost $595,873,944)
771,150,550
Preferred Stocks 0.6%
Aerospace & Defense 0.1%
10,877
Anduril Industries, Inc.,
Series H*#(b)(c)
749,998
IT Services 0.2%
106,691
Druva, Inc., Series 5*#(b)(c)
1,028,501
Software 0.1%
63,363
Videoamp, Inc.,
Series F1*#(b)(c)
999,995
Specialty Retail 0.2%
1,000
Fabletics LLC, Series G*#(b)(c)
1,722,360
Total Preferred Stocks (Cost $3,749,992)
4,500,854
Number of Shares
Value
Warrants 0.0%
Software 0.0%
10,268
Constellation Software, Inc.
Expires 3/31/2040*(b)(c)
(Cost $0)
$1
 
Short-Term Investments 6.4%
Investment Companies 6.4%
51,673,600
State Street Institutional
U.S. Government Money
Market Fund Premier Class,
3.63%(d)
51,673,600
1,701,835
State Street Navigator
Securities Lending
Government Money Market
Portfolio, 3.64%(d)(e)
1,701,835
Total Short-Term Investments
(Cost $53,375,435)
53,375,435
Total Investments 99.9%
(Cost $652,999,371)
829,026,840
Other Assets Less Liabilities 0.1%
761,178
Net Assets 100.0%
$829,788,018
Represents less than 0.05% of net assets of the Fund.
*
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 $12,876,644, collateralized by cash collateral of $1,701,835 and non-cash
(U.S. Treasury Securities) collateral of $11,457,602 for the Fund.
(b)
Value determined using significant unobservable inputs.
(c)
Security fair valued as of May 31, 2026 in accordance with procedures approved by the valuation
designee. Total value of all such securities at May 31, 2026 amounted to $6,475,433, which represents
0.8% of net assets of the Fund.
(d)
Represents 7-day effective yield as of May 31, 2026.
(e)
Represents investment of cash collateral received from securities lending.
See Notes to Schedule of Investments

Schedule of Investments Focus Fund^ (Unaudited)  (cont’d)
#This security is subject to restrictions on resale. Total value of all such securities at May 31, 2026 amounted to $5,551,762, which represents 0.7% of net assets of the Fund. Acquisition dates shown with a range, if any, represent securities that were acquired over the period shown in the table.
Restricted Security
Acquisition
Date(s)
Acquisition
Cost
Value as of
5/31/2026
Fair Value
Percentage
of Net Assets
as of
5/31/2026
Anduril Industries, Inc.
4/28/2026
$749,997
$749,998
0.1%
Arctic Wolf Networks, Inc.
12/31/2021
999,999
1,050,908
0.2%
Druva, Inc. (Series 5 Preferred Shares)
4/1/2021
1,000,000
1,028,501
0.1%
Fabletics LLC (Series G Preferred Shares)
1/10/2022
1,000,000
1,722,360
0.2%
Videoamp, Inc. (Series F1 Preferred Shares)
1/4/2022
999,995
999,995
0.1%
Total
$4,749,991
$5,551,762
0.7%
POSITIONS BY COUNTRY
Country
Investments at
Value
Percentage of
Net Assets
United States
$461,705,997
55.7%
Japan
84,814,018
10.2%
Korea
42,090,965
5.1%
Italy
38,345,582
4.6%
United Kingdom
34,619,868
4.2%
France
26,822,038
3.2%
Canada
26,236,282
3.2%
China
23,198,828
2.8%
Germany
22,501,938
2.7%
Brazil
14,392,219
1.7%
Israel
923,670
0.1%
Short-Term Investments and Other Assets—Net
54,136,613
6.5%
 
$829,788,018
100.0%
See Notes to Schedule of Investments

Schedule of Investments Focus Fund^ (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(a)
Total
Investments:
 
 
 
 
Common Stocks
Software
$24,389,869
$
$1,974,578
$26,364,447
Other Common Stocks#
744,786,103
744,786,103
Total Common Stocks
769,175,972
1,974,578
771,150,550
Preferred Stocks#
4,500,854
4,500,854
Warrants#
1
1
Short-Term Investments
53,375,435
53,375,435
Total Investments
$769,175,972
$53,375,435
$6,475,433
$829,026,840
#
The Schedule of Investments provides information on the industry or sector categorization as well as a
Positions by Country summary.
(a)
The following is a reconciliation between the beginning and ending balances of investments in which
significant unobservable inputs (Level 3) were used in determining value:
(000's
omitted)
Beginning
balance as
of 9/1/2025
Accrued
discounts/
(premiums)
Realized
gain/(loss)
Change
in unrealized
appreciation/
(depreciation)
Purchases
Sales/
Other
reductions
Transfers
into
Level 3
Transfers
out of
Level 3
Balance
as of
5/31/2026
Net change in
unrealized
appreciation/
(depreciation)
from
investments
still held as of
5/31/2026
Investments in Securities:
Common
Stocks(1)(2)
$1,051
$
$
$
$924
$
$
$
$1,975
$
Preferred
Stocks(2)
3,361
390
750
4,501
390
Warrants(3)
Total
$4,412
$
$
$390
$1,674
$
$
$
$6,476
$390
(1) Securities categorized as Level 3 were valued using a single quotation obtained from a dealer.
The Fund does not have access to significant unobservable inputs and therefore cannot disclose
such inputs used in formulating such quotation.
(2) Quantitative Information about Level 3 Fair Value Measurements:
Investment type
Fair value
at
5/31/2026
Valuation
approach
Significant unobservable
input(s)
Input value/
range
Weighted
average(a)
Impact to
valuation
from
increase
in input(b)
Common Stocks
$1,050,908
Market Approach
Enterprise value/
Revenue multiple(c) (EV/Revenue)
9.8x
9.8x
Increase
 
 
Discount Rate
3.6%
3.6%
Decrease
 
 
Term (Years)
0.7
0.7
Decrease
 
 
Expected Volatility
80.0%
80.0%
Decrease
Preferred Stocks
4,500,854
Market Approach
Enterprise value/
Revenue multiple(c) (EV/Revenue)
1.9x - 5.5x
3.6x
Increase
 
 
Discount Rate
3.7% - 15.0%
10.0%
Decrease
 
 
Term (Years)
0.7 - 2.2
1.2
Decrease
 
 
Expected Volatility
60.0%
60.0%
Decrease
 
 
Transaction Price
$68.95
$68.95
Increase
See Notes to Schedule of Investments

Schedule of Investments Focus Fund^ (Unaudited)  (cont’d)
(a) The weighted averages disclosed in the table above were weighted by relative fair value.
(b) Represents the expected directional change in the fair value of the Level 3 investments that
would result from an increase or decrease in the corresponding input. Significant changes
in these inputs could result in significantly higher or lower fair value measurements.
(c) Represents amounts used when the reporting entity has determined that market
participants would use such multiples when pricing the investments.
(3) At May 31, 2026, these investments were valued in accordance with procedures approved by the
valuation designee. These investments did not have a material impact on the Fund's net assets
and, therefore, disclosure of significant unobservable inputs used in formulating valuations is not
presented.
^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 Genesis Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 97.3%
Aerospace & Defense 0.9%
360,182
VSE Corp.
$66,687,697
Banks 10.3%
2,028,575
Community Financial
System, Inc.
129,098,513
2,529,438
First Financial
Bankshares, Inc.
82,662,034
2,247,218
Glacier Bancorp, Inc.
106,855,216
1,274,427
Lakeland Financial
Corp.(a)
77,268,509
1,712,091
Prosperity Bancshares,
Inc.
118,065,795
660,234
Stock Yards Bancorp, Inc.
47,365,187
944,855
UMB Financial Corp.
124,021,667
2,057,991
United Community Banks,
Inc.
67,810,804
 
753,147,725
Broadline Retail 0.4%
340,603
Ollie's Bargain Outlet
Holdings, Inc.*
27,803,423
Building Products 3.8%
504,436
Armstrong World
Industries, Inc.
79,650,444
216,847
CSW Industrials, Inc.
60,060,114
4,440,605
Hayward Holdings, Inc.*
62,656,936
404,528
Simpson Manufacturing
Co., Inc.
76,755,143
 
279,122,637
Capital Markets 2.2%
240,025
Hamilton Lane, Inc.
Class A
20,913,379
480,714
Houlihan Lokey, Inc.
68,097,945
582,350
MarketAxess Holdings,
Inc.
75,728,794
 
164,740,118
Chemicals 2.2%
1,983,269
Element Solutions, Inc.
84,150,103
737,222
HB Fuller Co.
47,241,186
835,250
Perimeter Solutions, Inc.*
26,961,870
 
158,353,159
Commercial Services & Supplies 2.1%
1,107,095
Brady Corp. Class A
95,298,737
685,658
Casella Waste Systems,
Inc. Class A*
56,340,518
 
151,639,255
Number of Shares
Value
Construction & Engineering 3.8%
947,249
Arcosa, Inc.
$120,063,811
306,622
Valmont Industries, Inc.
159,385,182
 
279,448,993
Construction Materials 1.9%
389,709
Eagle Materials, Inc.
86,195,837
687,736
Knife River Corp.*
53,994,153
 
140,189,990
Containers & Packaging 1.4%
842,514
AptarGroup, Inc.
97,605,247
154,363
Myers Industries, Inc.
3,519,476
 
101,124,723
Distributors 0.3%
135,440
Pool Corp.
24,568,816
Diversified Consumer Services 0.7%
805,065
Bright Horizons Family
Solutions, Inc.*
50,413,170
Electric Utilities 1.5%
786,140
IDACORP, Inc.
110,271,858
Electronic Equipment, Instruments & Components 4.7%
237,836
Advanced Energy
Industries, Inc.
71,869,283
233,056
Badger Meter, Inc.
28,875,638
2,709,348
Knowles Corp.*
101,356,709
309,167
Littelfuse, Inc.
144,340,797
 
346,442,427
Energy Equipment & Services 3.8%
2,107,269
Archrock, Inc.
70,572,439
1,935,475
Oceaneering
International, Inc.*
73,993,209
289,072
TerraVest Industries, Inc.
32,244,219
1,412,387
Tidewater, Inc.*
103,796,320
 
280,606,187
Financial Services 1.2%
632,605
Jack Henry & Associates,
Inc.
86,236,714
Gas Utilities 2.7%
658,742
Chesapeake Utilities Corp.
81,236,064
205,901
National Fuel Gas Co.
15,905,852
2,866,509
UGI Corp.
100,098,494
 
197,240,410
Ground Transportation 1.1%
177,528
Saia, Inc.*
83,858,901
Health Care Equipment & Supplies 3.6%
1,393,037
Envista Holdings Corp.*
32,806,021
See Notes to Schedule of Investments

Schedule of Investments Genesis Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Health Care Equipment & Supplies – cont'd
1,491,533
Haemonetics Corp.*
$101,140,853
7,131,362
Neogen Corp.*
63,968,317
306,278
UFP Technologies, Inc.*
67,411,788
 
265,326,979
Health Care Providers & Services 0.0%
57,957
U.S. Physical Therapy, Inc.
3,724,317
Hotels, Restaurants & Leisure 1.8%
289,880
Brinker International, Inc.*
41,273,114
498,682
Texas Roadhouse, Inc.
90,071,943
 
131,345,057
Insurance 5.3%
765,875
AMERISAFE, Inc.
23,474,069
5,019,483
Hagerty, Inc. Class A*
51,299,116
287,804
RLI Corp.
14,401,712
2,070,091
Ryan Specialty Holdings,
Inc.
65,932,398
1,420,277
Stewart Information
Services Corp.
92,289,600
68,184
White Mountains
Insurance Group Ltd.
140,787,687
 
388,184,582
Leisure Products 0.3%
270,082
Acushnet Holdings Corp.
23,977,880
Life Sciences Tools & Services 3.4%
1,852,945
Bio-Techne Corp.
95,760,198
973,279
Revvity, Inc.
101,756,320
2,973,087
Stevanato Group SpA(a)
55,477,803
 
252,994,321
Machinery 14.0%
1,009,629
Atmus Filtration
Technologies, Inc.
47,230,445
341,449
Crane Co.
62,485,167
2,631,241
Enerpac Tool Group
Corp.(a)
88,120,261
118,022
Enpro, Inc.
36,231,574
894,906
Esab Corp.
82,716,162
203,503
ESCO Technologies, Inc.
59,402,526
734,563
Federal Signal Corp.
78,377,872
4,236,876
Gates Industrial Corp.
PLC*
109,819,826
172,252
Kadant, Inc.
54,979,393
533,584
Lindsay Corp.(a)
58,315,395
684,341
Miller Industries, Inc.(a)
32,786,777
94,726
RBC Bearings, Inc.*
54,179,483
411,253
SPX Technologies, Inc.*
89,102,075
330,412
Standex International
Corp.
91,527,428
Number of Shares
Value
Machinery – cont'd
404,471
Toro Co.
$36,353,853
154,017
Watts Water Technologies,
Inc. Class A
47,588,173
 
1,029,216,410
Marine Transportation 1.6%
818,162
Kirby Corp.*
115,025,396
Media 2.0%
1,677,223
John Wiley & Sons, Inc.
Class A
70,577,544
442,741
Nexstar Media Group, Inc.
78,998,277
 
149,575,821
Oil, Gas & Consumable Fuels 2.6%
2,943,370
CNX Resources Corp.*
99,162,135
2,000,510
Viper Energy, Inc. Class A
91,023,205
 
190,185,340
Real Estate Management & Development 2.1%
699,564
Colliers International
Group, Inc.
66,010,859
661,000
FirstService Corp.
88,706,200
 
154,717,059
Semiconductors & Semiconductor Equipment 4.8%
788,936
Lattice Semiconductor
Corp.*
116,036,707
381,488
MKS, Inc.
123,701,299
1,389,273
Power Integrations, Inc.
116,698,932
 
356,436,938
Software 4.9%
210,601
Appfolio, Inc. Class A*
33,942,563
1,091,879
BlackLine, Inc.*
32,101,242
10,216,560
CCC Intelligent Solutions
Holdings, Inc.*
48,017,832
28,925
Fair Isaac Corp.*
36,173,316
547,498
Manhattan Associates,
Inc.*
82,152,075
1,016,285
SPS Commerce, Inc.*
57,674,174
220,680
Tyler Technologies, Inc.*
69,105,942
 
359,167,144
Specialty Retail 1.5%
1,311,111
Valvoline, Inc.*
44,249,996
168,630
Winmark Corp.
63,838,259
 
108,088,255
Trading Companies & Distributors 2.2%
1,144,082
Core & Main, Inc. Class A*
56,574,855
209,090
DXP Enterprises, Inc.*
30,330,595
See Notes to Schedule of Investments

Schedule of Investments Genesis Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Trading Companies & Distributors – cont'd
310,606
SiteOne Landscape
Supply, Inc.*
$33,731,812
446,200
Transcat, Inc.*
37,712,824
 
158,350,086
Water Utilities 2.2%
1,455,606
American States Water
Co.
112,474,676
961,793
Middlesex Water Co.(a)
50,522,986
 
162,997,662
Total Common Stocks
(Cost $5,473,632,236)
7,151,209,450
 
Short-Term Investments 2.8%
Investment Companies 2.8%
6,646,406
State Street Institutional
Treasury Money Market
Fund Premier Class,
3.63%(b)
6,646,406
Number of Shares
Value
Investment Companies – cont'd
198,306,929
State Street Institutional
Treasury Plus Money
Market Fund Premier
Class, 3.63%(b)
$198,306,929
Total Short-Term Investments
(Cost $204,953,335)
204,953,335
Total Investments 100.1%
(Cost $5,678,585,571)
7,356,162,785
Liabilities Less Other Assets (0.1)%
(10,866,182
)
Net Assets 100.0%
$7,345,296,603
Represents less than 0.05% of net assets of the Fund.
*
Non-income producing security.
(a)
Affiliated company (see Note § below).
(b)
Represents 7-day effective yield as of May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments Genesis Fund^ (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#
$7,151,209,450
$
$
$7,151,209,450
Short-Term Investments
204,953,335
204,953,335
Total Investments
$7,151,209,450
$204,953,335
$
$7,356,162,785
#
The Schedule of Investments provides information on the industry or sector categorization.
§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
Genesis
 
 
 
 
 
 
 
 
Enerpac Tool
Group Corp.
$95,895,697
$18,139,739
$(4,346,941
)
$(21,688,710
)
$120,476
$89,768
2,631,241
$88,120,261
Lakeland
Financial
Corp.
82,291,275
16,803,285
(12,170,173
)
(9,558,822
)
(97,056
)
1,821,557
1,274,427
77,268,509
Lindsay Corp.
86,717,558
477,332
(12,286,581
)
(17,570,398
)
977,484
635,952
533,584
58,315,395
Middlesex
Water Co.
18,528,427
33,093,807
(1,099,248
)
736,597
961,793
50,522,986
Miller
Industries, Inc.
28,609,920
180,144
3,996,713
415,604
684,341
32,786,777
Stevanato
Group SpA
49,046,206
22,142,744
(4,226,219
)
(10,856,114
)
(628,814
)
—*
2,973,087
55,477,803
Total for
affiliates held
as of
5/31/26(b)
$361,089,083
$90,837,051
$(33,029,914
)
$(56,776,579
)
$372,090
$3,699,478
$362,491,731
AMERISAFE,
Inc.
52,900,899
(11,856,647
)
(7,714,044
)
(9,856,139
)
2,506,034
765,875
23,474,069
CRA
International,
Inc.
75,683,043
347,517
(67,682,448
)
(32,758,445
)
24,410,333
470,369
Hagerty, Inc.
55,075,198
2,308,604
(6,084,686
)
—*
5,019,483
51,299,116
Transcat, Inc.
43,002,800
(4,575,926
)
(1,546,338
)
832,288
—*
446,200
37,712,824
Winmark Corp.
92,631,631
531,741
(13,834,782
)
(18,768,457
)
3,278,126
2,485,918
168,630
63,838,259
Total for
securities no
longer
affiliated as
of 5/31/26(c)
$319,293,571
$3,187,862
$(97,949,803
)
$(66,871,970
)
$18,664,608
$5,462,321
$176,324,268
Total
$680,382,654
$94,024,913
$(130,979,717
)
$(123,648,549
)
$19,036,698
$9,161,799
$538,815,999
*
Non-income producing security.
(a)
Affiliated persons, as defined in the Investment Company Act of 1940, as amended.
See Notes to Schedule of Investments

Schedule of Investments Genesis Fund^ (Unaudited)  (cont’d)
(b)
At May 31, 2026, these securities amounted to 4.94% of net assets of the Fund.
(c)
At May 31, 2026, the issuers of these securities were no longer affiliated with 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 International Equity Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 97.6%
Austria 2.6%
62,917
BAWAG Group AG (a)
$11,308,840
133,381
Erste Group Bank AG
16,024,283
 
27,333,123
Belgium 2.2%
289,722
Anheuser-Busch InBev SA
23,317,285
Canada 2.1%
263,808
Barrick Mining Corp.
11,225,030
97,759
Kinaxis, Inc. *
11,124,948
 
22,349,978
Congo 0.5%
620,686
Ivanhoe Mines Ltd. Class A
*
5,497,099
Czech Republic 0.6%
303,289
CSG NV *(b)
6,359,122
Denmark 1.5%
62,085
DSV AS
15,594,524
France 4.7%
54,552
Airbus SE
11,434,210
23,151
L'Oreal SA
10,330,120
98,360
Societe Generale SA
8,217,901
134,572
SPIE SA
7,675,576
43,796
Thales SA
12,234,533
 
49,892,340
Germany 10.9%
211,780
Bayer AG
9,023,646
306,726
Commerzbank AG
13,258,776
26,587
Deutsche Boerse AG
7,678,341
25,731
Heidelberg Materials AG
5,726,410
123,372
Hensoldt AG
12,723,733
293,990
RWE AG
18,709,162
39,166
SAP SE ADR
7,119,987
57,270
Siemens AG
18,022,563
73,661
Siemens Energy AG
14,025,282
86,829
Symrise AG
8,011,036
 
114,298,936
Hong Kong 1.2%
1,157,600
AIA Group Ltd.
12,149,268
Ireland 1.1%
545,144
Bank of Ireland Group PLC
11,086,146
Italy 5.3%
242,102
Avio SpA (a)(b)
12,162,439
1,111,301
Enel SpA
12,476,129
446,812
Intercos SpA (b)
6,379,016
Number of Shares
Value
Italy – cont'd
1,052,392
Saipem SpA
$5,057,340
224,903
UniCredit SpA
19,475,142
 
55,550,066
Japan 20.0%
73,300
Advantest Corp.
12,044,461
254,900
Daifuku Co. Ltd.
11,701,089
12,100
Disco Corp.
4,945,148
91,400
Ibiden Co. Ltd.
13,199,385
866,200
Japan Post Bank Co. Ltd.
16,691,475
16,000
Keyence Corp.
8,047,970
236,100
Kiyo Bank Ltd.
6,285,524
30,500
Meiko Electronics Co. Ltd.
7,392,082
459,800
Mitsubishi Heavy Industries
Ltd.
10,987,968
195,200
Murata Manufacturing Co.
Ltd.
11,796,691
37,100
Nitto Boseki Co. Ltd. (b)
5,280,865
2,167,300
Pan Pacific International
Holdings Corp.
11,950,666
395,800
Renesas Electronics Corp.
11,183,248
1,372,300
Resona Holdings, Inc.
17,573,264
611,000
Seven & i Holdings Co. Ltd.
7,133,736
77,400
Sinfonia Technology Co.
Ltd.
6,682,259
152,900
Sumitomo Electric
Industries Ltd.
12,082,043
262,200
Taiheiyo Cement Corp.
7,457,797
223,600
Tokio Marine Holdings, Inc.
9,983,484
37,800
Tokyo Electron Ltd.
12,441,378
47,000
Tokyo Seimitsu Co. Ltd.
5,130,412
 
209,990,945
Korea 1.9%
69,961
Kia Corp.
7,854,945
59,484
Samsung Electronics Co.
Ltd.
12,512,560
 
20,367,505
Luxembourg 0.9%
127,616
Eurofins Scientific SE
9,297,250
Netherlands 5.0%
18,226
ASM International NV
19,098,908
17,451
ASML Holding NV
28,187,385
52,147
IMCD NV (b)
5,373,214
 
52,659,507
Singapore 0.9%
137,979
STMicroelectronics NV
9,563,325
South Africa 1.2%
225,821
Anglo American PLC
12,128,030
See Notes to Schedule of Investments

Schedule of Investments International Equity Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Spain 3.5%
1,553,229
Banco Santander SA
$19,435,766
292,951
Cellnex Telecom SA (a)
9,847,736
353,921
Fluidra SA
7,777,404
 
37,060,906
Switzerland 3.3%
114,171
DSM-Firmenich AG (b)
9,609,477
58,770
Galderma Group AG *
12,540,060
2,471,681
International Workplace
Group PLC
6,297,734
30,125
Tecan Group AG
5,997,598
 
34,444,869
Taiwan 0.9%
23,015
Taiwan Semiconductor
Manufacturing Co. Ltd.
ADR
9,630,627
United Kingdom 16.8%
109,537
AstraZeneca PLC
20,359,807
551,974
BAE Systems PLC
15,037,834
1,324,134
Barclays PLC
8,166,215
476,845
British American Tobacco
PLC
29,481,890
492,748
Compass Group PLC
15,851,703
3,982,002
Convatec Group PLC (a)
10,843,099
248,120
Experian PLC
8,597,503
1,009,134
NatWest Group PLC
8,145,849
373,545
RELX PLC
12,324,798
1,590,733
Rentokil Initial PLC
9,614,372
927,839
Shawbrook Group PLC *(a)
3,967,228
5,721,698
SigmaRoc PLC *
9,608,646
422,260
St. James's Place PLC
6,880,755
397,347
Standard Chartered PLC
10,667,360
221,645
Subsea 7 SA
7,311,100
 
176,858,159
Number of Shares
Value
United States 10.5%
16,468
Aon PLC Class A
$5,204,876
2,152,968
BP PLC
15,129,077
1,899,861
Haleon PLC
8,614,612
480,104
JBS NV Class A
5,986,897
49,107
Roche Holding AG
20,717,360
44,633
Royal Gold, Inc.
10,019,216
645,937
Shell PLC
27,122,958
237,914
SLB Ltd.
12,978,209
66,078
Sunbelt Rentals Holdings,
Inc.
5,198,634
 
110,971,839
Total Common Stocks
(Cost $864,801,501)
1,026,400,849
 
Short-Term Investments 1.7%
Investment Companies 1.7%
14,635,069
State Street Institutional
Treasury Money Market
Fund Premier Class,
3.63%(c)
14,635,069
3,175,567
State Street Navigator
Securities Lending
Government Money Market
Portfolio, 3.64%(c)(d)
3,175,567
Total Short-Term Investments
(Cost $17,810,636)
17,810,636
Total Investments 99.3%
(Cost $882,612,137)
1,044,211,485
Other Assets Less Liabilities 0.7%
7,633,836
Net Assets 100.0%
$1,051,845,321
*
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 $48,129,342, which represents 4.6% of
net assets of the Fund.
(b)
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 $28,109,366, collateralized by cash collateral of $3,175,567 and non-cash
(U.S. Treasury Securities) collateral of $27,163,226 for the Fund.
(c)
Represents 7-day effective yield as of May 31, 2026.
(d)
Represents investment of cash collateral received from securities lending.
See Notes to Schedule of Investments

Schedule of Investments International Equity Fund^ (Unaudited)  (cont’d)
POSITIONS BY INDUSTRY
Industry
Investments at
Value
Percentage of
Net Assets
Banks
$170,303,769
16.2
%
Semiconductors & Semiconductor Equipment
112,224,892
10.7
%
Pharmaceuticals
71,255,485
6.8
%
Aerospace & Defense
69,951,871
6.7
%
Oil, Gas & Consumable Fuels
42,252,035
4.0
%
Electronic Equipment, Instruments & Components
40,436,128
3.8
%
Metals & Mining
38,869,375
3.7
%
Machinery
30,466,461
2.9
%
Tobacco
29,481,890
2.8
%
Insurance
27,337,628
2.6
%
Energy Equipment & Services
25,346,649
2.4
%
Beverages
23,317,285
2.2
%
Construction Materials
22,792,853
2.2
%
Professional Services
20,922,301
2.0
%
Electrical Equipment
20,707,541
2.0
%
Independent Power and Renewable Electricity Producers
18,709,162
1.8
%
Software
18,244,935
1.7
%
Industrial Conglomerates
18,022,563
1.7
%
Chemicals
17,620,513
1.7
%
Commercial Services & Supplies
17,289,948
1.6
%
Personal Care Products
16,709,136
1.6
%
Hotels, Restaurants & Leisure
15,851,703
1.5
%
Air Freight & Logistics
15,594,524
1.5
%
Life Sciences Tools & Services
15,294,848
1.5
%
Capital Markets
14,559,096
1.4
%
Technology Hardware, Storage & Peripherals
12,512,560
1.2
%
Electric Utilities
12,476,129
1.2
%
Automobile Components
12,082,043
1.1
%
Broadline Retail
11,950,666
1.1
%
Health Care Equipment & Supplies
10,843,099
1.0
%
Trading Companies & Distributors
10,571,848
1.0
%
Diversified Telecommunication Services
9,847,736
0.9
%
Automobiles
7,854,945
0.7
%
Consumer Staples Distribution & Retail
7,133,736
0.7
%
Real Estate Management & Development
6,297,734
0.6
%
Food Products
5,986,897
0.6
%
Building Products
5,280,865
0.5
%
Short-Term Investments and Other Assets—Net
25,444,472
2.4
%
 
$1,051,845,321
100.0
%
See Notes to Schedule of Investments

Schedule of Investments International Equity Fund^ (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#
$1,026,400,849
$
$
$1,026,400,849
Short-Term Investments
17,810,636
17,810,636
Total Investments
$1,026,400,849
$17,810,636
$
$1,044,211,485
#
The Schedule of Investments provides a geographic categorization as well as a Positions by Industry
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 International Select Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 96.2%
Austria 2.6%
15,467
BAWAG Group AG (a)
$2,780,073
34,155
Erste Group Bank AG
4,103,353
 
6,883,426
Belgium 2.3%
74,399
Anheuser-Busch InBev SA
5,987,749
Canada 2.1%
64,704
Barrick Mining Corp.
2,753,155
23,876
Kinaxis, Inc. *
2,717,083
 
5,470,238
Congo 0.5%
151,564
Ivanhoe Mines Ltd. Class A *
1,342,325
Czech Republic 0.6%
74,956
CSG NV *(b)
1,571,618
Denmark 1.5%
15,755
DSV AS
3,957,344
France 6.4%
15,988
Airbus SE
3,351,117
55,931
AXA SA
2,591,902
8,561
L'Oreal SA
3,819,971
24,297
Societe Generale SA
2,029,995
33,089
SPIE SA
1,887,296
10,760
Thales SA
3,005,836
 
16,686,117
Germany 11.8%
51,978
Bayer AG
2,214,709
75,404
Commerzbank AG
3,259,472
6,517
Deutsche Boerse AG
1,882,113
9,654
Heidelberg Materials AG
2,148,489
30,676
Hensoldt AG
3,163,710
71,790
RWE AG
4,568,627
9,594
SAP SE ADR
1,744,093
18,715
Siemens AG
5,889,511
18,184
Siemens Energy AG
3,462,290
28,999
Symrise AG
2,675,512
 
31,008,526
Hong Kong 1.2%
288,600
AIA Group Ltd.
3,028,921
Ireland 1.1%
135,542
Bank of Ireland Group PLC
2,756,406
Italy 3.5%
276,325
Enel SpA
3,102,190
260,079
Saipem SpA (b)
1,249,827
Number of Shares
Value
Italy – cont'd
55,308
UniCredit SpA
$4,789,314
 
9,141,331
Japan 19.4%
18,200
Advantest Corp.
2,990,575
47,000
Daifuku Co. Ltd.
2,157,517
2,900
Disco Corp.
1,185,201
22,700
Ibiden Co. Ltd.
3,278,184
270,100
Japan Post Bank Co. Ltd.
5,204,765
4,000
Keyence Corp.
2,011,993
7,600
Meiko Electronics Co. Ltd.
1,841,962
134,500
Mitsubishi Heavy Industries
Ltd.
3,214,184
48,200
Murata Manufacturing Co. Ltd.
2,912,912
9,100
Nitto Boseki Co. Ltd.
1,295,307
532,600
Pan Pacific International
Holdings Corp.
2,936,799
97,700
Renesas Electronics Corp.
2,760,494
398,800
Resona Holdings, Inc.
5,106,914
150,100
Seven & i Holdings Co. Ltd.
1,752,494
37,800
Sumitomo Electric Industries
Ltd.
2,986,927
65,400
Taiheiyo Cement Corp.
1,860,183
55,900
Tokio Marine Holdings, Inc.
2,495,871
9,500
Tokyo Electron Ltd.
3,126,801
16,300
Tokyo Seimitsu Co. Ltd.
1,779,270
 
50,898,353
Korea 2.5%
22,863
Kia Corp.
2,566,967
19,465
Samsung Electronics Co. Ltd.
4,094,496
 
6,661,463
Luxembourg 1.1%
38,958
Eurofins Scientific SE
2,838,220
Netherlands 5.1%
4,482
ASM International NV
4,696,659
4,292
ASML Holding NV
6,932,568
16,874
IMCD NV (b)
1,738,693
 
13,367,920
Singapore 0.9%
34,083
STMicroelectronics NV
2,362,293
South Africa 1.1%
55,747
Anglo American PLC
2,993,970
Spain 2.9%
414,125
Banco Santander SA
5,182,003
71,801
Cellnex Telecom SA (a)
2,413,636
 
7,595,639
See Notes to Schedule of Investments

Schedule of Investments International Select Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Switzerland 2.3%
30,496
DSM-Firmenich AG (b)
$2,566,769
16,566
Galderma Group AG *
3,534,773
 
6,101,542
Taiwan 0.9%
5,642
Taiwan Semiconductor
Manufacturing Co. Ltd. ADR
2,360,895
United Kingdom 15.6%
27,400
AstraZeneca PLC
5,092,879
147,166
BAE Systems PLC
4,009,352
440,088
Barclays PLC
2,714,116
118,567
British American Tobacco PLC
7,330,640
130,667
Compass Group PLC
4,203,557
975,499
Convatec Group PLC (a)
2,656,310
69,238
Experian PLC
2,399,137
335,395
NatWest Group PLC
2,707,348
92,310
RELX PLC
3,045,690
389,887
Rentokil Initial PLC
2,356,473
99,305
Standard Chartered PLC
2,665,988
54,715
Subsea 7 SA
1,804,809
 
40,986,299
United States 10.8%
4,105
Aon PLC Class A
1,297,426
537,268
BP PLC
3,775,425
581,872
Haleon PLC
2,638,404
117,670
JBS NV Class A
1,467,345
Number of Shares
Value
United States – cont'd
12,284
Roche Holding AG
$5,182,399
12,382
Royal Gold, Inc.
2,779,511
158,609
Shell PLC
6,660,008
59,260
SLB Ltd.
3,232,633
16,312
Sunbelt Rentals Holdings, Inc.
1,283,334
 
28,316,485
Total Common Stocks
(Cost $216,018,826)
252,317,080
 
Short-Term Investments 3.0%
Investment Companies 3.0%
6,488,831
State Street Institutional
Treasury Money Market Fund
Premier Class, 3.63%(c)
6,488,831
1,299,873
State Street Navigator
Securities Lending
Government Money Market
Portfolio, 3.64%(c)(d)
1,299,873
Total Short-Term Investments
(Cost $7,788,704)
7,788,704
Total Investments 99.2%
(Cost $223,807,530)
260,105,784
Other Assets Less Liabilities 0.8%
2,145,408
Net Assets 100.0%
$262,251,192
*
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 $7,850,019, which represents 3.0% of
net assets of the Fund.
(b)
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 $7,027,271, collateralized by cash collateral of $1,299,873 and non-cash
(U.S. Treasury Securities) collateral of $6,309,972 for the Fund.
(c)
Represents 7-day effective yield as of May 31, 2026.
(d)
Represents investment of cash collateral received from securities lending.
See Notes to Schedule of Investments

Schedule of Investments International Select Fund^ (Unaudited)  (cont’d)
POSITIONS BY INDUSTRY
Industry
Investments at
Value
Percentage of
Net Assets
Banks
$43,299,747
16.5
%
Semiconductors & Semiconductor Equipment
28,194,756
10.7
%
Pharmaceuticals
18,663,164
7.1
%
Aerospace & Defense
15,101,633
5.8
%
Oil, Gas & Consumable Fuels
10,435,433
4.0
%
Electronic Equipment, Instruments & Components
10,045,051
3.8
%
Metals & Mining
9,868,961
3.8
%
Insurance
9,414,120
3.6
%
Tobacco
7,330,640
2.8
%
Energy Equipment & Services
6,287,269
2.4
%
Beverages
5,987,749
2.3
%
Industrial Conglomerates
5,889,511
2.2
%
Professional Services
5,444,827
2.1
%
Machinery
5,371,701
2.0
%
Chemicals
5,242,281
2.0
%
Independent Power and Renewable Electricity Producers
4,568,627
1.7
%
Software
4,461,176
1.7
%
Commercial Services & Supplies
4,243,769
1.6
%
Hotels, Restaurants & Leisure
4,203,557
1.6
%
Technology Hardware, Storage & Peripherals
4,094,496
1.6
%
Construction Materials
4,008,672
1.5
%
Air Freight & Logistics
3,957,344
1.5
%
Personal Care Products
3,819,971
1.5
%
Electrical Equipment
3,462,290
1.3
%
Electric Utilities
3,102,190
1.2
%
Trading Companies & Distributors
3,022,027
1.2
%
Automobile Components
2,986,927
1.1
%
Broadline Retail
2,936,799
1.1
%
Life Sciences Tools & Services
2,838,220
1.1
%
Health Care Equipment & Supplies
2,656,310
1.0
%
Automobiles
2,566,967
1.0
%
Diversified Telecommunication Services
2,413,636
0.9
%
Capital Markets
1,882,113
0.7
%
Consumer Staples Distribution & Retail
1,752,494
0.7
%
Food Products
1,467,345
0.6
%
Building Products
1,295,307
0.5
%
Short-Term Investments and Other Assets—Net
9,934,112
3.8
%
 
$262,251,192
100.0
%
See Notes to Schedule of Investments

Schedule of Investments International Select Fund^ (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#
$252,317,080
$
$
$252,317,080
Short-Term Investments
7,788,704
7,788,704
Total Investments
$252,317,080
$7,788,704
$
$260,105,784
#
The Schedule of Investments provides a geographic categorization as well as a Positions by Industry
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 Intrinsic Value Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 96.8%
Aerospace & Defense 1.7%
232,895
Mercury Systems, Inc.*
$26,014,372
Automobile Components 1.0%
106,532
Lear Corp.
15,246,860
Banks 4.6%
740,575
Banc of California, Inc.
14,233,851
127,976
Glacier Bancorp, Inc.
6,085,259
1,600,185
Huntington Bancshares,
Inc.
26,179,027
231,739
Texas Capital Bancshares,
Inc.*
23,055,713
 
69,553,850
Beverages 0.3%
28,474
Boston Beer Co., Inc.
Class A*
5,047,871
Building Products 2.3%
1,116,379
Resideo Technologies, Inc.*
34,909,171
Chemicals 0.9%
205,532
HB Fuller Co.
13,170,491
Commercial Services & Supplies 5.3%
47,840
Clean Harbors, Inc.*
13,444,475
1,675,092
Enviri Corp.*
34,758,159
836,343
OPENLANE, Inc.*
31,864,669
 
80,067,303
Communications Equipment 6.1%
33,720
Ciena Corp.*
19,565,355
4,179,246
Ribbon Communications,
Inc.*(a)
12,872,078
739,100
Viasat, Inc.*
59,586,242
 
92,023,675
Construction & Engineering 2.2%
208,134
Arcosa, Inc.
26,380,984
222,135
Centuri Holdings, Inc.*
6,828,430
 
33,209,414
Consumer Finance 0.7%
115,096
Bread Financial Holdings,
Inc.
10,251,601
Containers & Packaging 1.5%
139,957
Avery Dennison Corp.
22,262,960
Electric Utilities 1.5%
439,216
Portland General Electric
Co.
22,013,506
Number of Shares
Value
Electrical Equipment 2.2%
761,525
Babcock & Wilcox
Enterprises, Inc.*
$14,050,136
68,820
Bloom Energy Corp.
Class A*
19,613,700
 
33,663,836
Electronic Equipment, Instruments & Components 7.6%
53,225
Coherent Corp.*
19,239,241
1,251,617
Innoviz Technologies Ltd.*
955,109
230,650
IPG Photonics Corp.*
26,414,038
130,911
Itron, Inc.*
10,797,539
213,859
nLight, Inc.*
15,851,229
66,446
OSI Systems, Inc.*
14,402,171
65,565
Rogers Corp.*
9,278,759
27,828
Teledyne Technologies,
Inc.*
17,248,629
 
114,186,715
Energy Equipment & Services 3.5%
213,964
Innovex International, Inc.*
5,714,979
661,532
Patterson-UTI Energy, Inc.
7,415,774
278,222
TechnipFMC PLC
19,035,949
2,022,544
TETRA Technologies, Inc.*
20,690,625
 
52,857,327
Entertainment 2.2%
2,145,822
Lionsgate Studios Corp.*
30,792,546
119,246
Starz Entertainment Corp.*
2,787,971
 
33,580,517
Food Products 0.9%
682,073
Hain Celestial Group, Inc.*
540,679
815,083
Magnum Ice Cream Co.
NV*
13,204,345
 
13,745,024
Gas Utilities 2.7%
119,958
Atmos Energy Corp.
20,288,497
360,946
New Jersey Resources
Corp.
19,942,266
 
40,230,763
Health Care Equipment & Supplies 5.2%
1,405,478
Accuray, Inc.*
531,833
244,152
AtriCure, Inc.*
6,755,686
80,899
CONMED Corp.
2,888,094
646,511
CytoSorbents Corp.*
317,372
748,863
Dentsply Sirona, Inc.
7,840,596
364,147
Haemonetics Corp.*
24,692,808
559,680
Integra LifeSciences
Holdings Corp.*
8,977,267
736,645
Neogen Corp.*
6,607,706
1,102,709
OraSure Technologies, Inc.*
4,741,649
See Notes to Schedule of Investments

Schedule of Investments Intrinsic Value Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Health Care Equipment & Supplies – cont'd
804,184
QuidelOrtho Corp.*
$10,470,476
508,372
Varex Imaging Corp.*
5,200,645
 
79,024,132
Health Care Providers & Services 0.8%
546,420
Acadia Healthcare Co.,
Inc.*
12,676,944
Hotels, Restaurants & Leisure 1.6%
1,728,263
Brightstar Lottery PLC
19,408,393
103,445
United Parks & Resorts,
Inc.*
4,151,248
 
23,559,641
Household Durables 1.7%
250,257
Somnigroup International,
Inc.
17,720,698
168,815
Whirlpool Corp.
7,329,947
 
25,050,645
Independent Power and Renewable
Electricity Producers 3.7%
324,043
Ormat Technologies, Inc.
44,468,421
70,140
Vistra Corp.
11,238,532
 
55,706,953
IT Services 1.5%
949,585
Kyndryl Holdings, Inc.*
11,841,325
1,515,058
Unisys Corp.*
6,954,116
67,196
Wix.com Ltd.*
3,767,008
 
22,562,449
Life Sciences Tools & Services 1.0%
264,246
Azenta, Inc.*
6,045,948
47,525
Charles River Laboratories
International, Inc.*
8,588,243
1,036,344
Standard BioTools, Inc.*
1,191,796
 
15,825,987
Machinery 2.6%
79,294
Albany International Corp.
Class A
5,129,529
169,989
Helios Technologies, Inc.
14,124,386
677,157
Hillman Solutions Corp.*
5,051,591
1,374,311
Stratasys Ltd.*
14,485,238
 
38,790,744
Media 1.1%
923,152
Criteo SA ADR*
16,847,524
Metals & Mining 1.1%
1,226,883
Cleveland-Cliffs, Inc.*
16,685,609
Number of Shares
Value
Multi-Utilities 1.5%
312,477
Northwestern Energy
Group, Inc.
$22,064,001
Oil, Gas & Consumable Fuels 2.3%
457,682
CNX Resources Corp.*
15,419,306
429,316
Devon Energy Corp.
19,100,269
 
34,519,575
Pharmaceuticals 0.8%
940,108
Amneal Pharmaceuticals,
Inc.*
12,381,222
Professional Services 2.9%
1,802,361
Alight, Inc. Class A
1,698,365
3,603,747
Conduent, Inc.*
6,234,482
1,020,868
KBR, Inc.
35,679,337
 
43,612,184
Semiconductors & Semiconductor Equipment 9.3%
279,359
CEVA, Inc.*
11,168,773
1,670,090
indie Semiconductor, Inc.
Class A*
8,333,749
49,520
MACOM Technology
Solutions Holdings, Inc.*
18,056,973
191,600
Rambus, Inc.*
27,870,136
123,000
Semtech Corp.*
18,762,420
972,173
Veeco Instruments, Inc.*
56,036,051
 
140,228,102
Software 9.7%
921,383
Adeia, Inc.
24,619,354
1,419,945
Cognyte Software Ltd.*
16,428,764
642,155
Gitlab, Inc. Class A*
19,938,913
335,895
LiveRamp Holdings, Inc.*
12,616,216
115,292
Monday.com Ltd.*
9,640,717
1,333,579
NCR Voyix Corp.*
9,588,433
416,566
OneSpan, Inc.
6,015,213
401,906
Radware Ltd.*
12,193,828
767,395
UiPath, Inc. Class A*
8,993,869
615,901
Varonis Systems, Inc.*
21,033,019
738,376
Xperi, Inc.*
5,870,089
 
146,938,415
Specialty Retail 0.3%
295,873
Caleres, Inc.
4,307,911
Textiles, Apparel & Luxury Goods 0.4%
1,016,736
Under Armour, Inc.
Class C*
5,825,897
Trading Companies & Distributors 2.1%
226,232
AerCap Holdings NV
31,534,478
Total Common Stocks
(Cost $907,300,502)
1,460,177,669
See Notes to Schedule of Investments

Schedule of Investments Intrinsic Value Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Rights 0.0%
Food Products 0.0%
169,122
Contra TreeHouse Foods,
Inc., CVR*(b)
(Cost $326,405)
$295,963
Warrants 0.1%
Communications Equipment 0.1%
1,511,444
Ribbon Communications,
Inc. Expires
3/31/2027*#(a)(c)
717,697
Health Care Equipment & Supplies 0.0%
131,579
CytoSorbents Corp.*(c)
0
Total Warrants (Cost $2,464,258)
717,697
Number of Shares
Value
 
Short-Term Investments 3.7%
Investment Companies 3.7%
55,255,789
State Street Institutional
Treasury Money Market
Fund Premier Class,
3.63%(d)
(Cost $55,255,789)
$55,255,789
Total Investments 100.6%
(Cost $965,346,954)
1,516,447,118
Liabilities Less Other Assets (0.6)%
(8,417,556
)
Net Assets 100.0%
$1,508,029,562
Represents less than 0.05% of net assets of the Fund.
*
Non-income producing security.
(a)
Security acquired via a PIPE transaction.
(b)
Value determined using significant unobservable inputs.
(c)
Security fair valued as of May 31, 2026 in accordance with procedures approved by the valuation
designee. Total value of all such securities at May 31, 2026 amounted to $717,697, which represents
0.0% of net assets of the Fund.
(d)
Represents 7-day effective yield as of May 31, 2026.
#This security is subject to restrictions on resale. Total value of all such securities at May 31, 2026 amounted to $717,697, which represents 0.0% of net assets of the Fund. Acquisition dates shown with a range, if any, represent securities that were acquired over the period shown in the table.
Restricted Security
Acquisition
Date(s)
Acquisition
Cost
Value as of
5/31/2026
Fair Value
Percentage
of Net Assets
as of
5/31/2026
Ribbon Communications, Inc. Expires 3/31/2027 (Warrants)
3/29/2023
$2,464,258
$717,697
0.0%
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(a)
Total
Investments:
 
 
 
 
Common Stocks#
$1,460,177,669
$
$
$1,460,177,669
Rights#
295,963
295,963
Warrants#
717,697
717,697
Short-Term Investments
55,255,789
55,255,789
Total Investments
$1,460,177,669
$55,973,486
$295,963
$1,516,447,118
#
The Schedule of Investments provides information on the industry or sector categorization.
See Notes to Schedule of Investments

Schedule of Investments Intrinsic Value Fund^ (Unaudited)  (cont’d)
(a)
The following is a reconciliation between the beginning and ending balances of investments in which
significant unobservable inputs (Level 3) were used in determining value:
(000's
omitted)
Beginning
balance as
of 9/1/2025
Accrued
discounts/
(premiums)
Realized
gain/(loss)
Change
in unrealized
appreciation/
(depreciation)
Purchases
Sales/
Other
reductions
Transfers
into
Level 3
Transfers
out of
Level 3
Balance
as of
5/31/2026
Net change in
unrealized
appreciation/
(depreciation)
from
investments
still held as of
5/31/2026
Investments in Securities:
Rights(1)
$
$
$
$(30
)
$326
$
$
$
$296
$(30
)
Total
$
$
$
$(30
)
$326
$
$
$
$296
$(30
)
(1) Securities categorized as Level 3 were valued using a single quotation obtained from a dealer.
The Fund does not have access to significant unobservable inputs and therefore cannot disclose
such inputs used in formulating such quotation.
^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 Large Cap Growth Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 98.8%
Aerospace & Defense 2.5%
36,173
Boeing Co.*
$8,361,389
178,427
General Electric Co.
57,767,526
 
66,128,915
Automobiles 1.4%
85,546
Tesla, Inc.*
37,280,091
Biotechnology 0.9%
110,026
AbbVie, Inc.
23,954,861
Broadline Retail 7.5%
736,162
Amazon.com, Inc.*
199,234,884
Capital Markets 2.6%
731,064
Brookfield Asset
Management Ltd. Class A
35,529,710
48,007
Morgan Stanley
9,985,456
57,935
S&P Global, Inc.
24,564,440
 
70,079,606
Commercial Services & Supplies 0.5%
63,178
Waste Management, Inc.
13,359,620
Consumer Staples Distribution & Retail 2.2%
40,985
Costco Wholesale Corp.
39,194,775
163,127
Walmart, Inc.
18,881,951
 
58,076,726
Electric Utilities 1.0%
293,428
NextEra Energy, Inc.
25,531,170
Electrical Equipment 2.2%
15,346
GE Vernova, Inc.
14,859,839
255,419
nVent Electric PLC
42,652,419
 
57,512,258
Electronic Equipment, Instruments & Components 2.0%
360,719
Amphenol Corp. Class A
53,660,558
Entertainment 2.5%
62,580
Live Nation Entertainment,
Inc.*
10,539,098
665,033
Netflix, Inc.*
57,206,139
 
67,745,237
Financial Services 4.7%
110,612
MasterCard, Inc. Class A
54,640,116
215,070
Visa, Inc. Class A
70,190,245
 
124,830,361
Ground Transportation 0.5%
54,468
Union Pacific Corp.
14,305,476
Number of Shares
Value
Health Care Equipment & Supplies 0.5%
298,843
Boston Scientific Corp.*
$14,437,105
Health Care Technology 0.5%
644,599
Waystar Holding Corp.*
12,833,966
Hotels, Restaurants & Leisure 0.8%
17,682
Marriott International, Inc.
Class A
6,641,359
54,020
McDonald's Corp.
15,082,384
 
21,723,743
Interactive Media & Services 13.6%
610,456
Alphabet, Inc. Class A
232,180,835
207,214
Meta Platforms, Inc. Class A
131,064,927
 
363,245,762
IT Services 1.4%
72,868
Cloudflare, Inc. Class A*
17,620,940
164,178
Shopify, Inc. Class A*
19,489,570
 
37,110,510
Machinery 3.1%
61,840
Caterpillar, Inc.
54,163,801
28,438
Deere & Co.
15,418,515
69,861
ITT, Inc.
13,622,895
 
83,205,211
Multi-Utilities 1.3%
811,518
CenterPoint Energy, Inc.
34,294,751
Oil, Gas & Consumable Fuels 0.6%
219,149
Williams Cos., Inc.
15,645,047
Pharmaceuticals 4.1%
72,998
Eli Lilly & Co.
80,662,790
106,671
Johnson & Johnson
24,036,176
50,997
Merck & Co., Inc.
6,054,364
 
110,753,330
Semiconductors & Semiconductor Equipment 17.4%
12,412
Advanced Micro Devices,
Inc.*
6,405,833
34,482
ASML Holding NV
55,611,190
299,833
Broadcom, Inc.
133,956,390
16,957
Micron Technology, Inc.
16,465,247
1,133,373
NVIDIA Corp.
239,300,375
28,240
Taiwan Semiconductor
Manufacturing Co. Ltd. ADR
11,817,028
 
463,556,063
Software 10.8%
90,909
Arctic Wolf Networks,
Inc.*#(a)(b)
1,050,908
4,688
Canva, Inc.*#(a)(b)
7,717,104
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Large Cap Growth Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Software – cont'd
67,624
Crowdstrike Holdings, Inc.
Class A*
$49,433,144
429,889
Microsoft Corp.
193,553,223
51,637
ServiceNow, Inc.*
6,422,094
106,995
Superhuman Platform,
Inc.*#(a)(b)
1,401,635
61,957
Synopsys, Inc.*
29,467,988
 
289,046,096
Specialty Retail 7.5%
1,297,807
Fanatics Holdings, Inc.
Class A*#(a)(b)
107,692,025
142,034
Home Depot, Inc.
45,044,663
176,894
O'Reilly Automotive, Inc.*
15,368,550
216,673
TJX Cos., Inc.
33,530,147
 
201,635,385
Technology Hardware, Storage & Peripherals 6.7%
515,599
Apple, Inc.
160,897,824
11,378
Sandisk Corp.*
19,285,482
 
180,183,306
Total Common Stocks
(Cost $1,299,517,756)
2,639,370,038
Preferred Stocks 1.2%
Entertainment 0.1%
8,256
A24 Films LLC#(a)(b)(c)
1,259,535
IT Services 0.2%
287,787
Druva, Inc., Series 4*#(a)(b)
2,146,891
461,441
Druva, Inc., Series 5*#(a)(b)
4,448,291
 
6,595,182
Software 0.4%
10
Databricks, Inc.,
Series B*#(a)(b)
1,900
801
Databricks, Inc.,
Series C*#(a)(b)
152,190
16,466
Databricks, Inc.,
Series D*#(a)(b)
3,128,540
6,358
Databricks, Inc.,
Series E*#(a)(b)
1,208,020
Number of Shares
Value
Software – cont'd
3,258
Databricks, Inc.,
Series F*#(a)(b)
$619,020
39
Databricks, Inc.,
Series G*#(a)(b)
7,410
95
Databricks, Inc.,
Series H*#(a)(b)
18,050
12,228
Databricks, Inc.,
Series K*#(a)(b)
2,323,320
90,310
Signifyd, Inc.,
Series Seed*#(a)(b)
160,752
39,343
Signifyd, Inc.,
Series A*#(a)(b)
71,998
33,179
Superhuman Platform, Inc.,
Series 3*#(a)(b)
849,382
82,373
Videoamp, Inc.,
Series F1*#(a)(b)
1,300,011
 
9,840,593
Specialty Retail 0.5%
7,000
Fabletics LLC,
Series G*#(a)(b)
12,056,520
5,623
Savage X Fenty,
Series C1*#(a)(b)
13,525
72,983
Savage X Fenty,
Series D*#(a)(b)
862,783
 
12,932,828
Total Preferred Stocks
(Cost $25,438,452)
30,628,138
 
Short-Term Investments 0.0%
Investment Companies 0.0%
774,227
State Street Institutional
Treasury Money Market Fund
Premier Class, 3.63%(d)
(Cost $774,227)
774,227
Total Investments 100.0%
(Cost $1,325,730,435)
2,670,772,403
Other Assets Less Liabilities 0.0%
1,056,495
Net Assets 100.0%
$2,671,828,898
Represents less than 0.05% of net assets of the Fund.
*
Non-income producing security.
(a)
Value determined using significant unobservable inputs.
(b)
Security fair valued as of May 31, 2026 in accordance with procedures approved by the valuation
designee. Total value of all such securities at May 31, 2026 amounted to $148,489,810, which
represents 5.6% of net assets of the Fund.
(c)
Security represented in Units.
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Large Cap Growth Fund^ (Unaudited)  (cont’d)
(d)
Represents 7-day effective yield as of May 31, 2026.
#This security is subject to restrictions on resale. Total value of all such securities at May 31, 2026 amounted to $148,489,810, which represents 5.6% of net assets of the Fund. Acquisition dates shown with a range, if any, represent securities that were acquired over the period shown in the table.
Restricted Security
Acquisition
Date(s)
Acquisition
Cost
Value as of
5/31/2026
Fair Value
Percentage
of Net Assets
as of
5/31/2026
A24 Films LLC
2/25/2022
$940,028
$1,259,535
0.1%
Arctic Wolf Networks, Inc.
12/31/2021
999,999
1,050,908
0.0%
Canva, Inc.
3/19/2024
5,000,507
7,717,104
0.3%
Databricks, Inc. (Series B Preferred Shares)
3/12/2025
925
1,900
0.0%
Databricks, Inc. (Series C Preferred Shares)
3/12/2025
74,092
152,190
0.0%
Databricks, Inc. (Series D Preferred Shares)
3/12/2025
1,523,105
3,128,540
0.1%
Databricks, Inc. (Series E Preferred Shares)
3/12/2025
588,115
1,208,020
0.0%
Databricks, Inc. (Series F Preferred Shares)
3/12/2025
301,365
619,020
0.0%
Databricks, Inc. (Series G Preferred Shares)
3/12/2025
3,608
7,410
0.0%
Databricks, Inc. (Series H Preferred Shares)
3/12/2025
8,787
18,050
0.0%
Databricks, Inc. (Series K Preferred Shares)
9/8/2025
1,834,200
2,323,320
0.1%
Druva, Inc. (Series 4 Preferred Shares)
6/14/2019
1,500,003
2,146,891
0.1%
Druva, Inc. (Series 5 Preferred Shares)
4/1/2021
4,325,000
4,448,291
0.2%
Fabletics LLC (Series G Preferred Shares)
1/10/2022
7,000,000
12,056,520
0.5%
Fanatics Holdings, Inc. Class A
8/13/2020-4/29/2021
23,018,872
107,692,025
4.0%
Savage X Fenty (Series C1 Preferred Shares)
3/5/2025
1,000,028
13,525
0.0%
Savage X Fenty (Series D Preferred Shares)
2/24/2025-3/5/2025
169,715
862,783
0.0%
Signifyd, Inc. (Series A Preferred Shares)
5/27/2021
1,213,732
71,998
0.0%
Signifyd, Inc. (Series Seed Preferred Shares)
5/27/2021
2,786,053
160,752
0.0%
Superhuman Platform, Inc. (Series 3 Preferred Shares)
12/23/2021-1/24/2022
869,685
849,382
0.0%
Superhuman Platform, Inc. Class A
12/23/2021-1/24/2022
2,804,542
1,401,635
0.1%
Videoamp, Inc. (Series F1 Preferred Shares)
1/4/2022
1,300,011
1,300,011
0.1%
Total
$57,262,372
$148,489,810
5.6%
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Large Cap Growth Fund^ (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(a)
Total
Investments:
 
 
 
 
Common Stocks
Software
$278,876,449
$
$10,169,647
$289,046,096
Specialty Retail
93,943,360
107,692,025
201,635,385
Other Common Stocks#
2,148,688,557
2,148,688,557
Total Common Stocks
2,521,508,366
117,861,672
2,639,370,038
Preferred Stocks#
30,628,138
30,628,138
Short-Term Investments
774,227
774,227
Total Investments
$2,521,508,366
$774,227
$148,489,810
$2,670,772,403
#
The Consolidated Schedule of Investments provides information on the industry or sector
categorization.
(a)
The following is a reconciliation between the beginning and ending balances of investments in which
significant unobservable inputs (Level 3) were used in determining value:
(000's
omitted)
Beginning
balance as
of 9/1/2025
Accrued
discounts/
(premiums)
Realized
gain/(loss)
Change
in unrealized
appreciation/
(depreciation)
Purchases
Sales/
Other
reductions
Transfers
into
Level 3
Transfers
out of
Level 3
Balance
as of
5/31/2026
Net change in
unrealized
appreciation/
(depreciation)
from
investments
still held as of
5/31/2026
Investments in Securities:
Common
Stocks(1)
$96,174
$
$
$21,688
$
$
$
$
$117,862
$21,688
Preferred
Stocks(1)
23,761
3,774
1,834
29,369
3,774
Preferred
Units(1)
1,209
50
1,259
50
Total
$121,144
$
$
$25,512
$1,834
$
$
$
$148,490
$25,512
(1) Quantitative Information about Level 3 Fair Value Measurements:
Investment
type
Fair value
at
5/31/2026
Valuation
approach
Significant unobservable
input(s)
Input value/
range
Weighted
average(a)
Impact to
valuation
from
increase
in input(b)
Common
Stocks
$117,861,672
Market Approach
Enterprise value/
Revenue multiple(c) (EV/Revenue)
2.8x -9.8x
2.8x
Increase
 
 
Enterprise value/
EBITDA multiple (EV/EBITDA)
20.0x
20.0x
Increase
 
 
Discount Rate
3.6%
3.6%
Decrease
 
 
Term (Years)
0.7
0.7
Decrease
 
 
Expected Volatility
80.0%
80.0%
Decrease
 
 
Transaction Price
$13.10 - $1,646.14
$1,395.10
Increase
Preferred
Stocks
29,368,603
Market Approach
Enterprise value/
Revenue multiple(c) (EV/Revenue)
0.9x - 5.5x
2.5x
Increase
 
 
Discount Rate
0.3% - 15.0%
10.0%
Decrease
 
 
Term (Years)
0.7 - 2.5
0.9
Decrease
 
 
Expected Volatility
25.0% -70.0%
60.0%
Decrease
See Notes to Consolidated Schedule of Investments

Consolidated Schedule of Investments Large Cap Growth Fund^ (Unaudited)  (cont’d)
 
 
Transaction Price
$4.55 - $190.00
$155.90
Increase
Preferred Units
$1,259,535
Market Approach
Enterprise value/
Revenue multiple (EV/Revenue)
3.3x
3.3x
Increase
 
 
Discount Rate
3.6%
3.6%
Decrease
 
 
Term (Years)
0.8
0.8
Decrease
 
 
Expected Volatility
30.0%
30.0%
Decrease
(a) The weighted averages disclosed in the table above were weighted by relative fair value.
(b) Represents the expected directional change in the fair value of the Level 3 investments that
would result from an increase or decrease in the corresponding input. Significant changes
in these inputs could result in significantly higher or lower fair value measurements.
(c) Represents amounts used when the reporting entity has determined that market
participants would use such multiples when pricing the investments.
^  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 Large Cap Value Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 95.7%
Aerospace & Defense 3.3%
1,258,203
Boeing Co.*
$290,833,623
56,563
Northrop Grumman Corp.
31,883,432
 
322,717,055
Air Freight & Logistics 1.1%
271,213
FedEx Corp.
111,671,953
Banks 10.9%
1,602,604
Bank of America Corp.
82,694,366
1,790,633
Citizens Financial Group,
Inc.
111,484,811
2,888,074
Fifth Third Bancorp
144,201,535
893,312
JPMorgan Chase & Co.
267,377,215
508,530
M&T Bank Corp.
109,898,418
698,528
PNC Financial Services
Group, Inc.
154,458,511
2,219,133
Truist Financial Corp.
106,984,402
1,339,084
Wells Fargo & Co.
103,832,573
 
1,080,931,831
Biotechnology 2.2%
365,843
Amgen, Inc.
123,212,264
719,983
Gilead Sciences, Inc.
96,787,315
 
219,999,579
Capital Markets 5.3%
1,748,232
Charles Schwab Corp.
152,708,065
618,316
CME Group, Inc.
169,134,159
534,359
Morgan Stanley
111,146,672
15,822
MSCI, Inc.
9,989,694
190,829
S&P Global, Inc.
80,911,496
 
523,890,086
Chemicals 2.8%
3,672,187
Dow, Inc.
123,936,311
312,457
Linde PLC
155,506,725
 
279,443,036
Communications Equipment 2.1%
1,691,773
Cisco Systems, Inc.
203,723,305
Consumer Finance 1.0%
542,375
Capital One Financial
Corp.
101,928,534
Consumer Staples Distribution & Retail 1.5%
1,261,685
Walmart, Inc.
146,040,039
Electric Utilities 1.8%
1,067,330
FirstEnergy Corp.
49,513,438
1,487,677
NextEra Energy, Inc.
129,442,776
 
178,956,214
Number of Shares
Value
Electrical Equipment 1.7%
168,478
AMETEK, Inc.
$38,050,756
298,734
Rockwell Automation, Inc.
134,746,958
 
172,797,714
Energy Equipment & Services 2.2%
2,836,077
Halliburton Co.
110,181,591
2,040,409
SLB Ltd.
111,304,311
 
221,485,902
Entertainment 1.7%
916,273
Walt Disney Co.
93,304,079
2,674,775
Warner Bros Discovery,
Inc.*
72,245,673
 
165,549,752
Ground Transportation 2.2%
2,636,506
CSX Corp.
119,328,261
358,970
Union Pacific Corp.
94,279,881
 
213,608,142
Health Care Equipment & Supplies 3.3%
1,174,281
Abbott Laboratories
100,518,454
1,206,350
Edwards Lifesciences
Corp.*
104,313,084
1,582,632
Medtronic PLC
116,814,068
 
321,645,606
Health Care Providers & Services 2.5%
204,544
Humana, Inc.
62,471,829
494,691
UnitedHealth Group, Inc.
188,135,934
 
250,607,763
Hotels, Restaurants & Leisure 2.5%
1,896,397
Carnival Corp. Ltd.
53,212,900
94,957
McDonald's Corp.
26,511,994
1,273,369
Wynn Resorts Ltd.
128,890,410
285,279
Yum! Brands, Inc.
42,207,028
 
250,822,332
Household Products 0.9%
643,539
Colgate-Palmolive Co.
58,002,170
232,678
Procter & Gamble Co.
33,403,254
 
91,405,424
Industrial Conglomerates 0.6%
239,388
Honeywell International,
Inc.
56,940,830
Industrial REITs 0.5%
311,003
Prologis, Inc.
44,619,600
Interactive Media & Services 2.1%
543,324
Alphabet, Inc. Class C
204,523,453
See Notes to Schedule of Investments

Schedule of Investments Large Cap Value Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Life Sciences Tools & Services 0.9%
472,080
Danaher Corp.
$86,234,854
Machinery 4.6%
127,921
Caterpillar, Inc.
112,042,166
271,904
Cummins, Inc.
175,821,284
31,724
Deere & Co.
17,200,118
351,465
Illinois Tool Works, Inc.
86,910,265
844,640
Ingersoll Rand, Inc.
60,510,010
 
452,483,843
Metals & Mining 10.3%
240,899
Agnico Eagle Mines Ltd.
44,120,652
1,686,939
BHP Group Ltd. ADR(a)
149,985,746
2,879,953
Freeport-McMoRan, Inc.
189,241,712
1,593,561
Rio Tinto PLC ADR
169,538,955
1,825,785
Southern Copper Corp.
349,272,686
294,690
Steel Dynamics, Inc.
76,663,603
327,124
Wheaton Precious Metals
Corp.
43,376,642
 
1,022,199,996
Oil, Gas & Consumable Fuels 9.2%
1,038,345
Chevron Corp.
189,456,429
905,418
ConocoPhillips
103,199,544
2,614,123
Exxon Mobil Corp.
379,727,507
883,383
Phillips 66
155,369,402
1,197,399
Williams Cos., Inc.
85,482,314
 
913,235,196
Pharmaceuticals 5.9%
1,229,879
Johnson & Johnson
277,128,635
1,215,862
Merck & Co., Inc.
144,347,137
6,055,271
Pfizer, Inc.
158,526,995
 
580,002,767
Professional Services 0.2%
109,874
Automatic Data
Processing, Inc.
24,374,448
Semiconductors & Semiconductor Equipment 8.1%
287,001
Advanced Micro Devices,
Inc.*
148,121,216
Number of Shares
Value
Semiconductors & Semiconductor Equipment – cont'd
32,685
First Solar, Inc.*
$10,027,431
3,498,059
Intel Corp.*
401,157,406
248,668
Micron Technology, Inc.
241,456,628
 
800,762,681
Software 0.5%
284,755
Salesforce, Inc.
54,416,681
Technology Hardware, Storage & Peripherals 2.1%
252,000
Dell Technologies, Inc.
Class C
106,069,320
57,873
Sandisk Corp.*
98,093,578
 
204,162,898
Tobacco 1.0%
561,433
Philip Morris International,
Inc.
99,586,986
Trading Companies & Distributors 0.7%
55,689
W.W. Grainger, Inc.
68,733,591
Total Common Stocks
(Cost $6,678,092,087)
9,469,502,091
 
Short-Term Investments 4.4%
Investment Companies 4.4%
370,877,639
State Street Institutional
U.S. Government Money
Market Fund Premier
Class, 3.63%(b)
370,877,639
67,782,521
State Street Navigator
Securities Lending
Government Money
Market Portfolio,
3.64%(b)(c)
67,782,521
Total Short-Term Investments
(Cost $438,660,160)
438,660,160
Total Investments 100.1%
(Cost $7,116,752,247)
9,908,162,251
Liabilities Less Other Assets (0.1)%
(12,254,582
)
Net Assets 100.0%
$9,895,907,669
*
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 $67,148,122 for the Fund.
(b)
Represents 7-day effective yield as of May 31, 2026.
(c)
Represents investment of cash collateral received from securities lending.
See Notes to Schedule of Investments

Schedule of Investments Large Cap Value Fund^ (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#
$9,469,502,091
$
$
$9,469,502,091
Short-Term Investments
438,660,160
438,660,160
Total Investments
$9,469,502,091
$438,660,160
$
$9,908,162,251
#
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 Mid Cap Growth Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 98.8%
Aerospace & Defense 9.8%
85,594
BWX Technologies, Inc.
$16,766,153
24,730
Curtiss-Wright Corp.
18,488,395
122,832
FTAI Aviation Ltd.
31,978,083
61,325
HEICO Corp.
21,352,138
317,239
Howmet Aerospace, Inc.
81,926,972
356,624
Rocket Lab Corp.*
51,168,412
 
221,680,153
Banks 0.9%
1,539,803
NU Holdings Ltd. Class A*
20,217,613
Biotechnology 6.0%
51,892
Alnylam Pharmaceuticals,
Inc.*
15,670,346
49,091
Ascendis Pharma AS*
11,001,784
249,129
Insmed, Inc.*
26,634,381
294,671
Ionis Pharmaceuticals, Inc.*
22,542,332
148,585
Natera, Inc.*
33,189,432
123,703
Nuvalent, Inc. Class A*
13,655,574
34,590
Praxis Precision Medicines,
Inc.*
12,105,462
 
134,799,311
Capital Markets 3.2%
155,890
Bank of New York Mellon
Corp.
21,735,743
82,207
Evercore, Inc. Class A
28,021,078
229,342
Tradeweb Markets, Inc.
Class A
22,991,535
 
72,748,356
Communications Equipment 1.6%
43,366
Lumentum Holdings, Inc.*
37,076,195
Construction & Engineering 7.1%
475,230
API Group Corp.*
19,484,430
30,917
Comfort Systems USA, Inc.
56,522,769
117,615
Quanta Services, Inc.
83,710,124
 
159,717,323
Consumer Staples Distribution & Retail 1.7%
23,949
Casey's General Stores,
Inc.
18,372,236
251,635
U.S. Foods Holding Corp.*
20,596,325
 
38,968,561
Diversified Telecommunication Services 2.3%
453,411
AST SpaceMobile, Inc.*(a)
51,421,342
Electrical Equipment 7.6%
83,191
AMETEK, Inc.
18,788,687
78,685
Generac Holdings, Inc.*
21,867,349
Number of Shares
Value
Electrical Equipment – cont'd
279,548
Nextpower, Inc. Class A*
$43,721,307
280,449
Vertiv Holdings Co. Class A
88,540,554
 
172,917,897
Electronic Equipment, Instruments & Components 3.3%
75,078
Celestica, Inc.*
28,934,310
40,752
Coherent Corp.*
14,730,625
169,866
Corning, Inc.
30,772,925
 
74,437,860
Energy Equipment & Services 1.3%
234,382
Baker Hughes Co.
14,972,322
213,563
TechnipFMC PLC
14,611,981
 
29,584,303
Entertainment 1.4%
184,409
Live Nation Entertainment,
Inc.*
31,056,320
Financial Services 0.7%
226,048
Affirm Holdings, Inc.*
16,648,435
Ground Transportation 0.8%
87,686
XPO, Inc.*
18,786,725
Health Care Equipment & Supplies 3.0%
469,301
Dexcom, Inc.*
34,606,255
59,858
IDEXX Laboratories, Inc.*
33,731,779
 
68,338,034
Health Care Providers & Services 1.7%
142,588
Cardinal Health, Inc.
28,061,319
200,980
RadNet, Inc.*
11,160,419
 
39,221,738
Hotels, Restaurants & Leisure 9.4%
135,584
Cava Group, Inc.*
10,529,454
108,853
Darden Restaurants, Inc.
22,196,215
85,518
Expedia Group, Inc.
19,309,109
241,505
Hilton Worldwide Holdings,
Inc.
79,131,528
189,573
Royal Caribbean Cruises
Ltd.
53,958,163
298,200
Viking Holdings Ltd.*
27,467,202
 
212,591,671
Interactive Media & Services 1.5%
189,116
Reddit, Inc. Class A*
33,284,416
IT Services 4.9%
458,840
Cloudflare, Inc. Class A*
110,956,689
Life Sciences Tools & Services 1.7%
102,822
Waters Corp.*
39,439,435
See Notes to Schedule of Investments

Schedule of Investments Mid Cap Growth Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Metals & Mining 0.2%
42,931
Anglogold Ashanti PLC
$4,157,438
Oil, Gas & Consumable Fuels 4.8%
136,398
Cameco Corp.
15,372,054
95,188
Cheniere Energy, Inc.
21,403,974
217,238
Targa Resources Corp.
55,410,897
41,647
Texas Pacific Land Corp.
16,367,271
 
108,554,196
Professional Services 1.0%
226,347
UL Solutions, Inc. Class A
22,521,526
Semiconductors & Semiconductor Equipment 6.0%
174,540
Lattice Semiconductor
Corp.*
25,671,343
40,776
Monolithic Power Systems,
Inc.
63,863,779
123,117
Teradyne, Inc.
46,083,924
 
135,619,046
Software 6.0%
353,358
Datadog, Inc. Class A*
87,403,101
131,960
Hut 8 Corp.*
16,472,567
333,488
IREN Ltd.*(a)
21,189,827
436,296
Terawulf, Inc.*
11,151,726
 
136,217,221
Specialty Retail 5.2%
101,868
Burlington Stores, Inc.*
32,987,915
687,855
Carvana Co.*
50,213,415
147,847
Ross Stores, Inc.
34,260,585
 
117,461,915
Technology Hardware, Storage & Peripherals 1.6%
10,551
Sandisk Corp.*
17,883,734
Number of Shares
Value
Technology Hardware, Storage & Peripherals – cont'd
19,839
Seagate Technology
Holdings PLC
$17,454,352
 
35,338,086
Textiles, Apparel & Luxury Goods 1.6%
248,436
Tapestry, Inc.
36,137,501
Trading Companies & Distributors 2.5%
897,610
Fastenal Co.
39,674,362
977,325
QXO, Inc.*
16,858,856
 
56,533,218
Total Common Stocks
(Cost $1,936,752,065)
2,236,432,524
 
Short-Term Investments 0.8%
Investment Companies 0.8%
3,109,113
State Street Institutional
U.S. Government Money
Market Fund Premier Class,
3.63%(b)
3,109,113
14,375,998
State Street Navigator
Securities Lending
Government Money Market
Portfolio, 3.64%(b)(c)
14,375,998
Total Short-Term Investments
(Cost $17,485,111)
17,485,111
Total Investments 99.6%
(Cost $1,954,237,176)
2,253,917,635
Other Assets Less Liabilities 0.4%
9,536,086
Net Assets 100.0%
$2,263,453,721
*
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 $14,698,679, collateralized by cash collateral of $14,375,998 and non-cash
(U.S. Treasury Securities) collateral of $1,347,426 for the Fund.
(b)
Represents 7-day effective yield as of May 31, 2026.
(c)
Represents investment of cash collateral received from securities lending.
See Notes to Schedule of Investments

Schedule of Investments Mid Cap Growth Fund^ (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#
$2,236,432,524
$
$
$2,236,432,524
Short-Term Investments
17,485,111
17,485,111
Total Investments
$2,236,432,524
$17,485,111
$
$2,253,917,635
#
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 Mid Cap Intrinsic Value Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 100.0%
Aerospace & Defense 2.4%
839
General Dynamics Corp.
$290,982
3,159
L3Harris Technologies, Inc.
995,654
 
1,286,636
Air Freight & Logistics 0.8%
459
FedEx Corp.
188,993
4,987
GXO Logistics, Inc.*
249,899
 
438,892
Automobile Components 1.7%
13,747
Aptiv PLC*
933,971
Automobiles 1.6%
10,380
General Motors Co.
864,031
Banks 3.8%
21,918
First Horizon Corp.
531,073
45,889
Huntington Bancshares, Inc.
750,744
15,542
Truist Financial Corp.
749,280
 
2,031,097
Building Products 3.8%
14,971
Fortune Brands Innovations, Inc.
582,971
20,235
Resideo Technologies, Inc.*
632,748
19,423
Trex Co., Inc.*
804,112
 
2,019,831
Chemicals 1.0%
9,301
Ashland, Inc.
538,528
Communications Equipment 2.3%
1,787
Ciena Corp.*
1,036,871
533
Motorola Solutions, Inc.
214,948
 
1,251,819
Construction & Engineering 2.2%
9,307
Arcosa, Inc.
1,179,662
Consumer Finance 2.1%
15,901
Ally Financial, Inc.
680,722
5,161
Bread Financial Holdings, Inc.
459,690
 
1,140,412
Consumer Staples Distribution & Retail 1.0%
4,565
Dollar Tree, Inc.*
531,549
Containers & Packaging 1.0%
3,434
Avery Dennison Corp.
546,246
Electric Utilities 2.3%
2,260
American Electric Power Co., Inc.
286,274
20,969
FirstEnergy Corp.
972,752
 
1,259,026
Number of Shares
Value
Electrical Equipment 0.5%
577
Rockwell Automation, Inc.
$260,262
Electronic Equipment, Instruments & Components 7.7%
3,297
Coherent Corp.*
1,191,767
11,168
IPG Photonics Corp.*
1,278,959
6,014
Itron, Inc.*
496,035
1,935
Teledyne Technologies, Inc.*
1,199,371
 
4,166,132
Energy Equipment & Services 1.7%
14,414
Baker Hughes Co.
920,766
Entertainment 2.5%
83,287
Lionsgate Studios Corp.*
1,195,169
5,253
Starz Entertainment Corp.*
122,815
 
1,317,984
Food Products 1.8%
60,584
Magnum Ice Cream Co. NV*
981,461
Health Care Equipment & Supplies 1.7%
9,610
Haemonetics Corp.*
651,654
3,243
Zimmer Biomet Holdings, Inc.
266,996
 
918,650
Health Care Providers & Services 1.1%
781
McKesson Corp.
579,846
Hotels, Restaurants & Leisure 5.0%
51,009
Brightstar Lottery PLC
572,831
19,483
MGM Resorts International*
850,823
11,171
Travel & Leisure Co.
759,628
12,465
United Parks & Resorts, Inc.*
500,220
 
2,683,502
Independent Power and Renewable
Electricity Producers 1.6%
2,658
Ormat Technologies, Inc.
364,757
3,086
Vistra Corp.
494,470
 
859,227
Industrial REITs 1.2%
17,518
STAG Industrial, Inc.
663,407
Insurance 3.2%
5,188
Globe Life, Inc.
795,009
28,439
Ryan Specialty Holdings, Inc.
905,782
 
1,700,791
IT Services 1.2%
17,105
Kyndryl Holdings, Inc.*
213,299
7,549
Wix.com Ltd.*
423,197
 
636,496
See Notes to Schedule of Investments

Schedule of Investments Mid Cap Intrinsic Value Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Life Sciences Tools & Services 3.0%
7,407
Bruker Corp.
$436,198
6,339
IQVIA Holdings, Inc.*
1,155,029
 
1,591,227
Machinery 2.8%
43,456
Gates Industrial Corp. PLC*
1,126,379
2,554
Middleby Corp.*
395,896
 
1,522,275
Media 0.5%
12,815
Trade Desk, Inc. Class A*
276,291
Multi-Utilities 2.8%
29,029
CenterPoint Energy, Inc.
1,226,766
6,410
NiSource, Inc.
296,270
 
1,523,036
Oil, Gas & Consumable Fuels 5.0%
12,629
Devon Energy Corp.
561,864
6,884
EOG Resources, Inc.
918,188
17,357
Williams Cos., Inc.
1,239,116
 
2,719,168
Professional Services 3.2%
284,147
Alight, Inc. Class A
267,752
11,334
Concentrix Corp.
320,639
135,381
Conduent, Inc.*
234,209
25,292
KBR, Inc.
883,955
 
1,706,555
Real Estate Management & Development 2.0%
38,933
Compass, Inc. Class A*
320,419
2,714
Jones Lang LaSalle, Inc.*
766,189
 
1,086,608
Retail REITs 1.7%
12,079
Regency Centers Corp.
934,311
Semiconductors & Semiconductor Equipment 8.4%
12,304
Enphase Energy, Inc.*
841,102
15,023
Intel Corp.*
1,722,838
3,027
MACOM Technology Solutions
Holdings, Inc.*
1,103,765
Number of Shares
Value
Semiconductors & Semiconductor Equipment – cont'd
11,346
Skyworks Solutions, Inc.
$883,286
 
4,550,991
Software 8.3%
1,575
Adobe, Inc.*
408,256
11,360
Docusign, Inc.*
596,627
24,211
Gitlab, Inc. Class A*
751,751
5,385
Monday.com Ltd.*
450,294
48,814
UiPath, Inc. Class A*
572,100
27,359
Varonis Systems, Inc.*
934,310
7,312
Zoom Communications, Inc.*
742,826
 
4,456,164
Specialty Retail 0.6%
4,000
Best Buy Co., Inc.
311,800
Technology Hardware, Storage & Peripherals 4.0%
7,373
Everpure, Inc. Class A*
586,227
36,854
Hewlett Packard Enterprise Co.
1,586,196
 
2,172,423
Textiles, Apparel & Luxury Goods 0.5%
42,602
Under Armour, Inc. Class C*
244,110
Trading Companies & Distributors 2.0%
7,824
AerCap Holdings NV
1,090,587
Total Common Stocks (Cost $38,990,070)
53,895,770
 
Short-Term Investments 0.1%
Investment Companies 0.1%
29,852
State Street Institutional
U.S. Government Money Market
Fund Premier Class, 3.63%(a)
(Cost $29,852)
29,852
Total Investments 100.1%
(Cost $39,019,922)
53,925,622
Liabilities Less Other Assets (0.1)%
(33,655
)
Net Assets 100.0%
$53,891,967
*
Non-income producing security.
(a)
Represents 7-day effective yield as of May 31, 2026.
See Notes to Schedule of Investments

Schedule of Investments Mid Cap Intrinsic Value Fund^ (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#
$53,895,770
$
$
$53,895,770
Short-Term Investments
29,852
29,852
Total Investments
$53,895,770
$29,852
$
$53,925,622
#
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 Multi-Cap Opportunities Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 98.9%
Aerospace & Defense 0.4%
5,000
RTX Corp.
$898,300
Automobiles 3.2%
96,000
General Motors Co.
7,991,040
Banks 2.6%
22,000
JPMorgan Chase & Co.
6,584,820
Broadline Retail 2.5%
23,000
Amazon.com, Inc.*
6,224,720
Building Products 1.2%
6,500
Trane Technologies PLC
2,933,450
Capital Markets 10.0%
197,000
Brookfield Corp.
8,981,230
25,000
Intercontinental Exchange, Inc.
3,696,250
35,000
Morgan Stanley
7,280,000
55,000
Nasdaq, Inc.
5,088,600
 
25,046,080
Chemicals 1.7%
8,500
Linde PLC
4,230,365
Commercial Services & Supplies 0.7%
20,000
Veralto Corp.
1,644,600
Communications Equipment 2.1%
13,000
Motorola Solutions, Inc.
5,242,640
Construction Materials 1.9%
22,000
Eagle Materials, Inc.
4,865,960
Consumer Staples Distribution & Retail 3.7%
29,000
BJ's Wholesale Club Holdings,
Inc.*
2,473,120
85,000
U.S. Foods Holding Corp.*
6,957,250
 
9,430,370
Electric Utilities 3.6%
74,000
Alliant Energy Corp.
5,299,140
44,000
NextEra Energy, Inc.
3,828,440
 
9,127,580
Electrical Equipment 3.6%
31,000
nVent Electric PLC
5,176,690
8,500
Rockwell Automation, Inc.
3,834,010
 
9,010,700
Financial Services 7.2%
36,000
Apollo Global Management,
Inc.
4,633,560
22,500
Berkshire Hathaway, Inc.
Class B*
10,675,800
Number of Shares
Value
Financial Services – cont'd
8,500
Visa, Inc. Class A
$2,774,060
 
18,083,420
Food Products 0.8%
49,000
Lamb Weston Holdings, Inc.
2,115,820
Ground Transportation 2.0%
19,500
Union Pacific Corp.
5,121,480
Health Care Providers & Services 2.0%
13,000
HCA Healthcare, Inc.
4,921,020
Hotels, Restaurants & Leisure 4.5%
129,000
Aramark
6,886,020
16,000
McDonald's Corp.
4,467,200
 
11,353,220
Insurance 2.0%
16,500
Chubb Ltd.
5,143,545
Interactive Media & Services 6.4%
43,000
Alphabet, Inc. Class C
16,186,490
Life Sciences Tools & Services 0.6%
8,000
Danaher Corp.
1,461,360
Machinery 6.0%
36,000
Allison Transmission Holdings,
Inc.
4,087,080
4,200
Caterpillar, Inc.
3,678,654
9,000
Nordson Corp.
2,585,970
18,500
Westinghouse Air Brake
Technologies Corp.
4,831,460
 
15,183,164
Oil, Gas & Consumable Fuels 1.9%
34,000
DT Midstream, Inc.
4,759,320
Pharmaceuticals 2.2%
5,100
Eli Lilly & Co.
5,635,500
Semiconductors & Semiconductor Equipment 10.6%
1,876
ASML Holding NV
3,025,538
19,500
Broadcom, Inc.
8,712,015
71,000
NVIDIA Corp.
14,990,940
 
26,728,493
Software 6.4%
23,000
Microsoft Corp.
10,355,520
25,500
Oracle Corp.
5,757,390
 
16,112,910
Specialty Retail 3.2%
19,500
Lowe's Cos., Inc.
4,180,020
See Notes to Schedule of Investments

Schedule of Investments Multi-Cap Opportunities Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Specialty Retail – cont'd
25,000
TJX Cos., Inc.
$3,868,750
 
8,048,770
Technology Hardware, Storage & Peripherals 4.8%
38,500
Apple, Inc.
12,014,310
Wireless Telecommunication Services 1.1%
14,500
T-Mobile U.S., Inc.
2,719,185
Total Common Stocks
(Cost $157,811,287)
248,818,632
 
Short-Term Investments 1.2%
Investment Companies 1.2%
3,028,243
State Street Institutional
Treasury Money Market Fund
Premier Class, 3.63%(a)
(Cost $3,028,243)
3,028,243
Total Investments 100.1%
(Cost $160,839,530)
251,846,875
Liabilities Less Other Assets (0.1)%
(330,310
)
Net Assets 100.0%
$251,516,565
*
Non-income producing security.
(a)
Represents 7-day effective yield as of May 31, 2026.
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#
$248,818,632
$
$
$248,818,632
Short-Term Investments
3,028,243
3,028,243
Total Investments
$248,818,632
$3,028,243
$
$251,846,875
#
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 Quality Equity Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 85.1%
Aerospace & Defense 3.3%
128,024
Space Exploration
Technologies Corp.
Class A*#(a)(b)
$67,416,158
137,408
Space Exploration
Technologies Corp.
Class C*#(a)(b)
72,357,679
 
139,773,837
Banks 1.5%
517,585
Bank of America Corp.
26,707,386
119,972
JPMorgan Chase & Co.
35,908,819
 
62,616,205
Broadline Retail 8.6%
1,345,725
Amazon.com, Inc.*
364,207,014
Building Products 1.1%
101,170
Trane Technologies PLC
45,658,021
Capital Markets 4.6%
2,258,620
Interactive Brokers Group,
Inc. Class A
196,432,181
Communications Equipment 2.3%
603,249
Arista Networks, Inc.*
96,200,118
Consumer Finance 1.3%
301,238
Capital One Financial Corp.
56,611,657
Financial Services 6.3%
147
Berkshire Hathaway, Inc.
Class A*
104,502,300
309,171
Berkshire Hathaway, Inc.
Class B*
146,695,456
34,416
MasterCard, Inc. Class A
17,000,816
 
268,198,572
Ground Transportation 0.8%
782,517
CSX Corp.
35,416,719
Health Care Equipment & Supplies 0.4%
112,062
Becton Dickinson & Co.
16,486,562
Health Care Providers & Services 7.0%
458,541
Cencora, Inc.
123,512,604
181,678
Cigna Group
50,397,477
631,690
DaVita, Inc.*
122,775,268
 
296,685,349
Hotels, Restaurants & Leisure 1.0%
1,343,194
Compass Group PLC
43,210,551
Household Products 0.7%
345,636
Colgate-Palmolive Co.
31,152,173
Number of Shares
Value
Insurance 1.4%
58,149
Chubb Ltd.
$18,126,788
10,222
Markel Group, Inc.*
18,558,961
122,479
Progressive Corp.
23,320,001
 
60,005,750
Interactive Media & Services 10.5%
1,168,881
Alphabet, Inc. Class A
444,572,200
IT Services 1.8%
436,624
GoDaddy, Inc. Class A*
37,475,438
3,211,950
Kyndryl Holdings, Inc.*
40,053,017
 
77,528,455
Life Sciences Tools & Services 2.7%
297,010
Waters Corp.*
113,924,126
Machinery 0.5%
277,124
Otis Worldwide Corp.
19,631,464
Materials 0.2%
29,261
Sherwin-Williams Co.
8,890,662
Oil, Gas & Consumable Fuels 0.8%
785,292
Devon Energy Corp.
34,937,641
Pharmaceuticals 0.7%
65,955
Roche Holding AG
27,825,228
Semiconductors & Semiconductor Equipment 16.5%
333,807
Applied Materials, Inc.
150,233,178
1,633,675
NVIDIA Corp.
344,934,140
2,502,000
Taiwan Semiconductor
Manufacturing Co. Ltd.
188,096,279
49,433
Texas Instruments, Inc.
15,110,680
 
698,374,277
Software 4.4%
15,592
Intuit, Inc.
5,169,216
397,510
Microsoft Corp.
178,974,902
 
184,144,118
Specialty Retail 1.4%
96,129
Home Depot, Inc.
30,486,351
184,696
TJX Cos., Inc.
28,581,706
 
59,068,057
Technology Hardware, Storage & Peripherals 2.7%
368,363
Apple, Inc.
114,951,358
Trading Companies & Distributors 2.6%
88,097
United Rentals, Inc.
87,715,540
17,787
W.W. Grainger, Inc.
21,953,427
 
109,668,967
Total Common Stocks
(Cost $2,334,237,423)
3,606,171,262
See Notes to Schedule of Investments

Schedule of Investments Quality Equity Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Preferred Stocks 2.6%
Aerospace & Defense 2.6%
21,111
Space Exploration
Technologies Corp.,
Series E*#(a)(b)
(Cost $17,099,910)
$111,168,415
Exchange-Traded Funds 9.6%
164,251
iShares Russell 1000 ETF
67,820,880
90,020
State Street SPDR S&P 500
ETF Trust
68,098,330
1,281,782
Vanguard Growth ETF
114,847,667
147,246
Vanguard Russell 1000
Growth ETF
19,379,046
27,742
Vanguard S&P 500 ETF
19,294,284
307,088
Vanguard Total Stock
Market ETF
114,402,563
Total Exchange-Traded Funds
(Cost $389,410,321)
403,842,770
Principal Amount
 
Short-Term Investments 2.0%
Certificates of Deposit 0.0%
$100,000
Carver Federal Savings
Bank, 3.92%, due
6/23/2026
100,000
Principal Amount
Value
Certificates of Deposit – cont'd
$250,000
Self Help Credit Union,
0.10%, due 8/16/2026
$250,000
250,000
Self Help Federal Credit
Union, 0.10%, due 6/1/2026
250,000
600,000
Number of Shares
Investment Companies 2.0%
85,040,391
State Street Institutional
Treasury Money Market
Fund Premier Class,
3.63%(c)
85,040,391
Total Short-Term Investments
(Cost $85,640,391)
85,640,391
Total Investments 99.3%
(Cost $2,826,388,045)
4,206,822,838
Other Assets Less Liabilities 0.7%
29,268,803
Net Assets 100.0%
$4,236,091,641
Represents less than 0.05% of net assets of the Fund.
*
Non-income producing security.
(a)
Value determined using significant unobservable inputs.
(b)
Security fair valued as of May 31, 2026 in accordance with procedures approved by the valuation
designee. Total value of all such securities at May 31, 2026 amounted to $250,942,252, which
represents 5.9% of net assets of the Fund.
(c)
Represents 7-day effective yield as of May 31, 2026.
#This security is subject to restrictions on resale. Total value of all such securities at May 31, 2026 amounted to $250,942,252, which represents 5.9% of net assets of the Fund. Acquisition dates shown with a range, if any, represent securities that were acquired over the period shown in the table.
Restricted Security
Acquisition
Date(s)
Acquisition
Cost
Value as of
5/31/2026
Fair Value
Percentage
of Net Assets
as of
5/31/2026
Space Exploration Technologies Corp. (Series E Preferred
Shares)
11/7/2023
$17,099,910
$111,168,415
2.6%
Space Exploration Technologies Corp. Class A
8/18/2023
10,369,944
67,416,158
1.6%
Space Exploration Technologies Corp. Class C
8/18/2023
11,130,048
72,357,679
1.7%
Total
$38,599,902
$250,942,252
5.9%
See Notes to Schedule of Investments

Schedule of Investments Quality Equity Fund^ (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(a)
Total
Investments:
 
 
 
 
Common Stocks
Aerospace & Defense
$
$
$139,773,837
$139,773,837
Other Common Stocks#
3,466,397,425
3,466,397,425
Total Common Stocks
3,466,397,425
139,773,837
3,606,171,262
Preferred Stocks#
111,168,415
111,168,415
Exchange-Traded Funds
403,842,770
403,842,770
Short-Term Investments
85,640,391
85,640,391
Total Investments
$3,870,240,195
$85,640,391
$250,942,252
$4,206,822,838
#
The Schedule of Investments provides information on the industry or sector categorization.
(a)
The following is a reconciliation between the beginning and ending balances of investments in which
significant unobservable inputs (Level 3) were used in determining value:
(000's
omitted)
Beginning
balance as
of 9/1/2025
Accrued
discounts/
(premiums)
Realized
gain/(loss)
Change
in unrealized
appreciation/
(depreciation)
Purchases
Sales/
Other
reductions
Transfers
into
Level 3
Transfers
out of
Level 3
Balance
as of
5/31/2026
Net change in
unrealized
appreciation/
(depreciation)
from
investments
still held as of
5/31/2026
Investments in Securities:
Common
Stocks(1)
$56,272
$
$
$83,502
$
$
$
$
$139,774
$83,502
Preferred
Stocks(1)
44,755
66,413
111,168
66,413
Total
$101,027
$
$
$149,915
$
$
$
$
$250,942
$149,915
(1) Quantitative Information about Level 3 Fair Value Measurements:
Investment type
Fair value
at
5/31/2026
Valuation
approach
Significant unobservable
input(s)
Input value/
range
Weighted
average(a)
Impact to
valuation
from
increase
in input(b)
Common Stocks
$139,773,837
Market Approach
Transaction Price
$526.59
$526.59
Increase
Preferred Stocks
111,168,415
Market Approach
Transaction Price
$526.59
$526.59
Increase
(a) The weighted averages disclosed in the table above were weighted by relative fair value.
(b) Represents the expected directional change in the fair value of the Level 3 investments that
would result from an increase or decrease in the corresponding input. Significant changes
in these inputs could result in significantly higher or lower fair value measurements.
Formerly known as Sustainable Equity Fund through July 28, 2025.
^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 Real Estate Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 98.5%
Apartments 8.5%
134,625
AvalonBay Communities, Inc.
$24,570,409
47,929
Essex Property Trust, Inc.
13,067,362
376,202
GO Residential Real Estate
Investment Trust(a)
3,743,210
287,999
UDR, Inc.
10,627,163
 
52,008,144
Capital Markets 1.8%
246,503
Brookfield Corp.
11,238,072
Data Centers 17.4%
169,831
Digital Realty Trust, Inc.
32,267,890
50,566
Equinix, Inc.
54,006,510
156,111
Iron Mountain, Inc.
20,021,236
 
106,295,636
Free Standing 6.0%
141,108
Agree Realty Corp.
10,463,158
289,778
Essential Properties Realty
Trust, Inc.
8,861,411
280,114
Realty Income Corp.
17,165,386
 
36,489,955
Gaming 1.3%
169,887
Gaming & Leisure Properties,
Inc.
7,979,592
Health Care 17.1%
228,462
American Healthcare REIT, Inc.
11,169,507
133,329
Janus Living, Inc. Class A-1*
3,569,217
193,982
Omega Healthcare Investors,
Inc.
9,070,598
294,844
Ventas, Inc.
24,890,731
273,698
Welltower, Inc.
56,198,411
 
104,898,464
Industrial 10.3%
33,258
EastGroup Properties, Inc.
6,715,123
393,716
Prologis, Inc.
56,486,434
 
63,201,557
Manufactured Homes 2.2%
220,605
Equity LifeStyle Properties,
Inc.
13,626,771
Office 1.7%
449,629
Hudson Pacific Properties,
Inc.*
5,386,556
Number of Shares
Value
Office – cont'd
110,113
SL Green Realty Corp.
$4,999,130
 
10,385,686
Regional Malls 6.2%
470,296
Macerich Co.
10,591,066
134,524
Simon Property Group, Inc.
27,565,313
 
38,156,379
Self Storage 4.9%
122,021
Extra Space Storage, Inc.
17,608,851
40,435
Public Storage
12,279,705
 
29,888,556
Shopping Centers 4.0%
227,981
InvenTrust Properties Corp.
7,553,011
265,756
Kimco Realty Corp.
6,399,404
134,479
Regency Centers Corp.
10,401,951
 
24,354,366
Single Family Homes 3.8%
205,596
American Homes 4 Rent
Class A
6,595,520
561,917
Invitation Homes, Inc.
16,436,072
 
23,031,592
Telecommunications 13.3%
228,798
American Tower Corp.
42,776,074
211,173
Crown Castle, Inc.
19,322,329
95,317
SBA Communications Corp.
19,364,602
 
81,463,005
Total Common Stocks
(Cost $562,507,368)
603,017,775
Short-Term Investments 1.4%
Investment Companies 1.4%
8,561,189
State Street Institutional
U.S. Government Money
Market Fund Premier Class,
3.63%(b) (Cost $8,561,189)
8,561,189
Total Investments 99.9%
(Cost $571,068,557)
611,578,964
Other Assets Less Liabilities 0.1%
474,699
Net Assets 100.0%
$612,053,663
*
Non-income producing security.
See Notes to Schedule of Investments

Schedule of Investments Real Estate Fund^ (Unaudited)  (cont’d)
(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 $3,743,210, which represents 0.6% 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 Real Estate Fund^ (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#
$603,017,775
$
$
$603,017,775
Short-Term Investments
8,561,189
8,561,189
Total Investments
$603,017,775
$8,561,189
$
$611,578,964
#
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 Small Cap Growth Fund^ (Unaudited)
May 31, 2026

Number of Shares
Value
Common Stocks 99.4%
Aerospace & Defense 1.6%
20,800
Moog, Inc. Class A
$7,487,376
19,061
VSE Corp.
3,529,144
 
11,016,520
Automobile Components 0.7%
137,110
Dana, Inc.
4,855,065
Banks 1.2%
57,818
Wintrust Financial Corp.
8,685,998
Biotechnology 13.8%
111,328
Alkermes PLC*
4,696,928
114,462
Arrowhead Pharmaceuticals,
Inc.*
8,917,734
14,715
Ascendis Pharma AS*
3,297,779
124,587
Bridgebio Pharma, Inc.*
8,255,135
35,599
Dianthus Therapeutics, Inc.*
3,311,063
22,688
Krystal Biotech, Inc.*
7,011,273
44,347
Kymera Therapeutics, Inc.*
3,610,733
7,251
Madrigal Pharmaceuticals,
Inc.*
3,605,705
73,805
Mirum Pharmaceuticals, Inc.*
7,491,207
25,313
Monopar Therapeutics,
Inc.*(a)
1,646,357
49,720
Nuvalent, Inc. Class A*
5,488,591
41,226
Palvella Therapeutics, Inc.*
4,883,632
11,877
Praxis Precision Medicines,
Inc.*
4,156,594
57,590
Protagonist Therapeutics,
Inc.*
5,733,660
42,323
Rhythm Pharmaceuticals,
Inc.*
3,737,967
97,120
Travere Therapeutics, Inc.*
4,582,122
106,148
Twist Bioscience Corp.*
7,098,117
87,156
Veracyte, Inc.*
4,038,809
75,086
Xenon Pharmaceuticals, Inc.*
4,109,457
 
95,672,863
Building Products 2.8%
38,065
Modine Manufacturing Co.*
10,616,709
181,034
Zurn Elkay Water Solutions
Corp.
8,508,598
 
19,125,307
Capital Markets 1.5%
129,457
Piper Sandler Cos.
10,150,723
Chemicals 1.4%
62,271
Chemours Co.
1,379,926
67,168
Element Solutions, Inc.
2,849,938
14,456
Hawkins, Inc.
2,237,355
Number of Shares
Value
Chemicals – cont'd
25,760
Sensient Technologies Corp.
$2,932,776
 
9,399,995
Commercial Services & Supplies 0.4%
10,011
Clean Harbors, Inc.*
2,813,391
Communications Equipment 1.6%
29,992
Applied Optoelectronics,
Inc.*
4,751,033
124,858
Viavi Solutions, Inc.*
6,063,104
 
10,814,137
Construction & Engineering 4.7%
168,088
API Group Corp.*
6,891,608
7,900
Argan, Inc.
5,269,458
9,900
MYR Group, Inc.*
4,604,094
18,640
Sterling Infrastructure, Inc.*
16,046,058
 
32,811,218
Construction Materials 0.4%
36,356
Knife River Corp.*
2,854,310
Consumer Finance 3.2%
24,653
Dave, Inc.*
6,965,952
68,161
FirstCash Holdings, Inc.
14,989,285
 
21,955,237
Consumer Staples Distribution & Retail 2.0%
83,864
Chefs' Warehouse, Inc.*
6,418,951
44,000
PriceSmart, Inc.
7,479,560
 
13,898,511
Diversified Consumer Services 0.6%
175,199
OneSpaWorld Holdings Ltd.
4,160,976
Diversified Telecommunication Services 1.1%
670,576
Lumen Technologies, Inc.*
7,369,630
Electrical Equipment 10.0%
72,443
Bloom Energy Corp. Class A*
20,646,255
24,077
Generac Holdings, Inc.*
6,691,239
128,988
Nextpower, Inc. Class A*
20,173,723
43,716
nVent Electric PLC
7,300,135
21,276
Powell Industries, Inc.
6,051,320
26,253
Vicor Corp.*
8,790,555
 
69,653,227
Electronic Equipment, Instruments & Components 7.0%
51,646
Advanced Energy Industries,
Inc.
15,606,388
23,690
Fabrinet*
15,497,050
207,540
nLight, Inc.*
15,382,865
11,376
TTM Technologies, Inc.*
1,976,239
 
48,462,542
See Notes to Schedule of Investments

Schedule of Investments Small Cap Growth Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
Energy Equipment & Services 1.8%
103,813
Solaris Energy Infrastructure,
Inc.
$7,219,156
30,982
TechnipFMC PLC
2,119,789
31,800
Weatherford International
PLC
3,295,752
 
12,634,697
Health Care Equipment & Supplies 1.3%
93,441
AtriCure, Inc.*
2,585,513
33,544
Glaukos Corp.*
3,466,772
25,881
IRhythm Holdings, Inc.*
2,947,846
 
9,000,131
Health Care Providers & Services 6.0%
588,593
AdaptHealth Corp.*
5,962,447
27,254
Billiontoone, Inc. Class A*(a)
2,697,873
124,762
BrightSpring Health Services,
Inc.*
7,695,320
264,488
Brookdale Senior Living, Inc.*
3,403,961
78,513
Guardant Health, Inc.*
10,182,351
40,696
HealthEquity, Inc.*
3,580,841
80,152
Hims & Hers Health, Inc.*(a)
2,095,975
103,926
RadNet, Inc.*
5,771,011
 
41,389,779
Hotels, Restaurants & Leisure 2.3%
18,900
Hyatt Hotels Corp. Class A
3,427,704
266,369
Life Time Group Holdings,
Inc.*
8,811,487
68,725
Red Rock Resorts, Inc.
Class A
4,012,165
 
16,251,356
Household Durables 0.6%
21,239
Installed Building Products,
Inc.
4,459,765
IT Services 1.6%
73,033
DigitalOcean Holdings, Inc.*
11,389,496
Machinery 3.5%
34,018
ESCO Technologies, Inc.
9,929,854
54,581
Mueller Industries, Inc.
7,019,116
24,869
Watts Water Technologies,
Inc. Class A
7,684,024
 
24,632,994
Metals & Mining 1.8%
50,003
Century Aluminum Co.*
3,298,698
311,313
Coeur Mining, Inc.
6,014,567
51,492
Constellium SE*
1,764,116
58,281
ERO Copper Corp.*
1,774,074
 
12,851,455
Number of Shares
Value
Oil, Gas & Consumable Fuels 2.0%
63,398
DT Midstream, Inc.
$8,874,452
370,820
Uranium Energy Corp.*
5,106,192
 
13,980,644
Pharmaceuticals 2.4%
33,406
Axsome Therapeutics, Inc.*
7,833,039
133,760
Definium Therapeutics, Inc.*
3,235,654
96,570
Edgewise Therapeutics, Inc.*
3,298,831
64,892
Enliven Therapeutics, Inc.*
2,567,777
 
16,935,301
Professional Services 2.4%
191,756
Planet Labs PBC*
9,806,402
69,496
UL Solutions, Inc. Class A
6,914,852
 
16,721,254
Semiconductors & Semiconductor Equipment 10.0%
27,215
Aehr Test Systems*
2,512,761
89,151
FormFactor, Inc.*
11,107,323
27,512
Lattice Semiconductor Corp.*
4,046,465
5,869
MACOM Technology
Solutions Holdings, Inc.*
2,140,072
161,971
Rambus, Inc.*
23,560,302
52,375
Semtech Corp.*
7,989,282
18,597
Silicon Motion Technology
Corp. ADR
5,148,951
13,513
SiTime Corp.*
9,596,933
25,161
Synaptics, Inc.*
3,454,102
 
69,556,191
Software 5.5%
92,181
Clear Secure, Inc. Class A
5,111,436
385,247
D-Wave Quantum, Inc.*(a)
11,611,345
32,328
Hut 8 Corp.*
4,035,504
166,123
IREN Ltd.*(a)
10,555,455
263,512
Terawulf, Inc.*
6,735,367
 
38,049,107
Technology Hardware, Storage & Peripherals 2.5%
244,873
IonQ, Inc.*(a)
17,647,997
Trading Companies & Distributors 1.7%
21,459
Applied Industrial
Technologies, Inc.
6,519,459
78,619
Rush Enterprises, Inc.
Class A
5,450,655
 
11,970,114
Total Common Stocks
(Cost $577,388,817)
691,169,931
See Notes to Schedule of Investments

Schedule of Investments Small Cap Growth Fund^ (Unaudited)  (cont’d)
Number of Shares
Value
 
Short-Term Investments 4.7%
Investment Companies 4.7%
5,514,038
State Street Institutional
U.S. Government Money
Market Fund Premier Class,
3.63%(b)
$5,514,038
26,906,076
State Street Navigator
Securities Lending
Government Money Market
Portfolio, 3.64%(b)(c)
26,906,076
Total Short-Term Investments
(Cost $32,420,114)
32,420,114
Total Investments 104.1%
(Cost $609,808,931)
723,590,045
Liabilities Less Other Assets (4.1)%
(28,538,535
)
Net Assets 100.0%
$695,051,510
*
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 $28,966,728, collateralized by cash collateral of $26,906,076 and non-cash
(U.S. Treasury Securities) collateral of $2,089,249 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#
$691,169,931
$
$
$691,169,931
Short-Term Investments
32,420,114
32,420,114
Total Investments
$691,169,931
$32,420,114
$
$723,590,045
#
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 Equity Fundsß (Unaudited)
In accordance with Accounting Standards Codification 820 "Fair Value Measurement" ("ASC 820"), all investments held by each of Neuberger Emerging Markets Equity Fund, Neuberger Equity Income Fund, Neuberger Focus Fund, Neuberger Genesis Fund, Neuberger International Equity Fund, Neuberger International Select Fund, Neuberger Intrinsic Value Fund, Neuberger Large Cap Growth Fund ("Large Cap Growth"), Neuberger Large Cap Value Fund, Neuberger Mid Cap Growth Fund, Neuberger Mid Cap Intrinsic Value Fund, Neuberger Multi-Cap Opportunities Fund, Neuberger Quality Equity Fund, Neuberger Real Estate Fund and Neuberger Small Cap Growth Fund (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 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, preferred stocks, warrants, rights, 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.
Management has developed a process to periodically review information provided by independent pricing services for all types of securities.
Certificates of deposit are valued at amortized cost (Level 2 inputs).
Publicly traded securities acquired via a private investment in public equity (PIPE) transaction are generally valued at the market price of the issuer's common stock. Discounts for contractual sale restrictions (such as lock-ups) are not applied, in accordance with Financial Accounting Standards Board Update No. ASU 2022-03, unless the restriction is regulatory or security-specific and impacts marketability for all holders (Level 1 or Level 2 inputs).
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.
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 Large Cap Growth

Notes to Schedule of Investments Neuberger Berman Equity Fundsß (Unaudited)  (cont’d)
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). 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.
To facilitate compliance with certain requirements necessary to maintain its status as a regulated investment company, Large Cap Growth formed NB A24 Guardian Blocker LLC (the "Blocker"), a Delaware limited liability company, to hold interests in certain private placements. The Blocker is a wholly owned subsidiary of Large Cap Growth and Large Cap Growth expects to remain its sole member.
As of May 31, 2026, the value of Large Cap Growth’s investment in the Blocker was as follows:
 
Investment in
Blocker
Percentage of
Net Assets
$1,205,653
0.0
%
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 Large Cap Growth

Notes to Schedule of Investments Neuberger Berman Equity Fundsß (Unaudited) (cont'd)
Legend
Investment Methods:
PIPE
= Private investment in public equity
Other Abbreviations:
ADR
= American Depositary Receipt
CVR
= Contingent Value Right
GDR
= Global Depositary Receipt
JSC
= Joint Stock Company
Management
= Neuberger Berman Investment Advisers LLC