GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 94.2%

 

          Australia — 0.8%  
    320,055     Clean TeQ Water Ltd. * (a)     105,570  
    407,488     IGO Ltd. *         2,810,013  
    276,972     Paladin Energy Ltd. *     2,266,805  
     

 

 

 
    Total Australia     5,182,388  
     

 

 

 
          Brazil — 2.2%  
    2,769,880     Klabin SA     9,153,225  
    711,631     Suzano SA     5,912,213  
     

 

 

 
    Total Brazil     15,065,438  
     

 

 

 
          Canada — 4.2%  
    476,293     Anaergia, Inc. * (a)     1,008,795  
    360,083     Capstone Copper Corp. *     3,920,390  
    120,805     First Quantum Minerals Ltd. *     3,718,829  
     1,925,700     Greenlane Renewables, Inc. *     314,280  
    338,249     Ivanhoe Mines Ltd. – Class A * (a)     2,995,699  
    1,008,392     Largo, Inc. * (a)     950,865  
    1,085,613     NexGen Energy Ltd. * (a)     12,528,273  
    169,696     Northland Power, Inc. (a)     2,895,042  
     

 

 

 
    Total Canada     28,332,173  
     

 

 

 
          China — 5.2%  
    698,686     BYD Co. Ltd. – Class H     8,133,174  
    3,317,060     CECEP Solar Energy Co. Ltd. – Class A     2,974,897  
    786,566     CMOC Group Ltd. – Class H     1,835,789  
    275,100     Contemporary Amperex Technology Co. Ltd. – Class A     17,250,712  
    1,747,448     Goldwind Science & Technology Co. Ltd. – Class H     3,059,432  
    200     Xuji Electric Co. Ltd. – Class A     787  
    431,976     Yutong Bus Co. Ltd. – Class A     2,062,581  
     

 

 

 
    Total China     35,317,372  
     

 

 

 
          Denmark — 2.0%  
    58,018     Rockwool AS – B Shares     1,816,548  
    423,121     Vestas Wind Systems AS     11,871,864  
     

 

 

 
    Total Denmark     13,688,412  
     

 

 

 
          Finland — 2.3%  
    150,925     Kemira OYJ     3,136,175  
    388,934     Neste OYJ     12,788,153  
     

 

 

 
    Total Finland     15,924,328  
     

 

 

 
          France — 7.0%  
    103,218     Alstom SA *     2,060,172  
    51,162     Nexans SA     9,412,401  
    40,489     Schneider Electric SE     12,716,909  
    26,654     STMicroelectronics NV     1,828,388  
    807,416     Valeo SE (a)     12,434,212  
    
Shares
    Description   Value ($)  
          France — continued  
    229,668     Veolia Environnement SA (a)     9,266,123  
     

 

 

 
    Total France        47,718,205  
     

 

 

 
          Germany — 2.6%  
    113,331     E.ON SE     2,405,849  
    55,982     Infineon Technologies AG     5,307,960  
    55,017     Knorr-Bremse AG     6,646,239  
    11,482     Siemens AG (Registered)     3,600,067  
     

 

 

 
    Total Germany     17,960,115  
     

 

 

 
          Italy — 1.0%  
    205,173     Enel SpA     2,302,282  
    82,736     ERG SpA (a)     2,212,759  
    208,538     Terna – Rete Elettrica Nazionale     2,395,925  
     

 

 

 
    Total Italy     6,910,966  
     

 

 

 
          Japan — 2.6%  
    42,481     Daikin Industries Ltd.     6,115,806  
    105,006     GS Yuasa Corp.     4,319,072  
    132,309     Kansai Electric Power Co., Inc.     1,938,952  
    79,881     Renesas Electronics Corp.     2,223,703  
    100,039     Yokogawa Electric Corp.     3,140,093  
     

 

 

 
    Total Japan     17,737,626  
     

 

 

 
          Kazakhstan — 0.5%  
    46,577     NAC Kazatomprom JSC GDR     3,365,877  
     

 

 

 
          Mexico — 0.4%      
    2,160,597     Orbia Advance Corp. SAB de CV *     2,912,450  
     

 

 

 
          Netherlands — 0.2%      
    34,000     Arcadis NV     1,387,762  
     

 

 

 
          Norway — 2.1%      
    443,834     Austevoll Seafood ASA     4,259,511  
    107,070     Bakkafrost P     5,301,301  
    283,337     Cadeler AS *     1,826,026  
    121,613     Mowi ASA     2,679,550  
     

 

 

 
    Total Norway     14,066,388  
     

 

 

 
          Portugal — 0.4%  
    471,500     EDP SA     2,401,184  
     

 

 

 
          Russia — 0.0%      
     7,221,500     GMK Norilskiy Nickel PAO * (b) (c)      
    120,856     PhosAgro PJSC * (b) (c)      
    2,335     PhosAgro PJSC GDR * (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
          South Korea — 5.9%  
    68,624     CS Wind Corp.     2,164,211  
    112,964     LG Chem Ltd.     27,520,763  
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          South Korea — continued  
    23,273     Samsung SDI Co. Ltd. *     10,630,024  
     

 

 

 
    Total South Korea     40,314,998  
     

 

 

 
          Spain — 1.4%  
    8,631     Acciona SA (a)     2,475,955  
    59,594     Endesa SA     2,491,562  
    100,456     Iberdrola SA     2,280,535  
    113,085     Redeia Corp. SA     1,940,024  
     

 

 

 
    Total Spain     9,188,076  
     

 

 

 
          Switzerland — 1.7%  
    124,501     Landis & Gyr Group AG     8,041,421  
    16,830     Sika AG     3,284,935  
     

 

 

 
    Total Switzerland     11,326,356  
     

 

 

 
          Thailand — 0.4%  
    26,436,811     Energy Absolute PCL NVDR *     2,759,498  
     

 

 

 
          Ukraine — 0.2%      
    219,994     Kernel Holding SA *     1,169,384  
     

 

 

 
          United Kingdom — 1.5%      
    101,565     Anglo American PLC     5,435,489  
    460,000     Lifezone Metals Ltd. *     2,415,000  
    139,643     National Grid PLC     2,241,344  
     

 

 

 
    Total United Kingdom       10,091,833  
     

 

 

 
          United States — 49.6%  
    52,955     Advanced Drainage Systems, Inc.     7,369,218  
    166,973     Aemetis, Inc. *     425,781  
    54,398     AGCO Corp.     6,107,807  
    134,372     Albemarle Corp.     23,705,908  
    43,821     Alcoa Corp.     3,402,262  
    526,763     Ameresco, Inc. – Class A *     18,952,933  
    2,855,446     Array Technologies, Inc. *     25,927,450  
    19,355     Axcelis Technologies, Inc. *     2,911,186  
    111,332     BorgWarner, Inc.     7,995,864  
    155,252     Carrier Global Corp.     9,915,945  
    3,259,274     Clean Energy Fuels Corp. *     6,648,919  
    484,876     CNH Industrial NV     4,950,584  
    64,901     Corteva, Inc.     5,080,450  
    436,796     Darling Ingredients, Inc. *     25,814,644  
    9,276     Deere & Co.     5,029,262  
    36,826     Edison International     2,575,610  
    26,830     EnerSys     6,116,435  
    46,048     Exelon Corp.     2,101,631  
    17,041     Fervo Energy Co. – Class A *     624,723  
    41,124     First Solar, Inc. *     12,616,432  
    54,693     Freeport-McMoRan, Inc.     3,593,877  
    659,372     Gevo, Inc. *     1,226,432  
    877,298     Green Plains, Inc. *     13,747,260  
    199,021     Itron, Inc. *     16,415,252  
    6,120     MasTec, Inc. *     2,315,624  
    
Shares
    Description   Value ($)  
          United States — continued  
    6,080     MYR Group, Inc. *     2,827,565  
    82,753     Nextpower, Inc. – Class A *     12,942,569  
    18,477     ON Semiconductor Corp. *     2,228,696  
    52,482     Ormat Technologies, Inc.     7,202,105  
    38,290     Owens Corning     4,817,648  
    11,215     Pentair PLC     794,471  
    41,700     Primoris Services Corp.     5,245,026  
    1,416     Rayonier, Inc. – (REIT)     29,580  
    134,500     Sensata Technologies Holding PLC     6,642,955  
    341,946     SolarEdge Technologies, Inc. *     26,107,577  
     1,960,218     Sunrun, Inc. *     32,774,845  
    32,216     TE Connectivity PLC     6,875,217  
    10,864     Trane Technologies PLC     4,902,923  
    9,982     Valmont Industries, Inc.     5,188,743  
    126,292     Weyerhaeuser Co. – (REIT)     3,095,417  
     

 

 

 
    Total United States      337,246,826  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $613,225,861)
    640,067,655  
     

 

 

 
          PREFERRED STOCKS (d) — 3.1%  
          Chile — 3.1%  
    247,374     Sociedad Quimica y Minera de Chile SA Sponsored ADR     21,242,005  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $11,415,970)
    21,242,005  
     

 

 

 
          INVESTMENT FUNDS — 2.5%  
          United States — 2.5%  
    3,423,161     GMO U.S. Treasury Fund, Class VI (e)     17,150,037  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $17,150,036)
    17,150,037  
     

 

 

 
          RIGHTS/WARRANTS — 0.1%  
          France — 0.1%  
    114,522     Waga Energy SA Conditional Price Supplement Right * (b)     220,405  
    114,522     Waga Energy SA Price Adjustment Right * (b)      
     

 

 

 
    Total France     220,405  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    220,405  
     

 

 

 
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.5%  
          Money Market Funds — 0.5%  
     3,259,465     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (f)     3,259,465  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,259,465)
    3,259,465  
     

 

 

 
    TOTAL INVESTMENTS — 100.4%
(Cost $645,051,332)
    681,939,567  
    Other Assets and Liabilities (net) — (0.4)%     (2,639,786
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 679,299,781  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
GMK Norilskiy Nickel PAO    04/11/18    $ 21,636,323      0.0%   $  
PhosAgro PJSC    08/09/19      5,614,147      0.0%      
PhosAgro PJSC GDR    08/09/19      36,037      0.0%      
          

 

 

 
           $  
          

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

The security is restricted as to resale.

 

(d)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(e)

Affiliated company.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 94.5%

 

          Brazil — 2.8%  
    167,700     Banco Bradesco SA     515,279  
    23,462     Cia De Saneamento do Parana Sanepar     176,457  
    36,200     Guararapes Confeccoes SA     64,872  
    34,400     Pagseguro Digital Ltd. – Class A     321,640  
    120,200     Vale SA Sponsored ADR     1,953,250  
    27,400     Vibra Energia SA     161,590  
     

 

 

 
    Total Brazil        3,193,088  
     

 

 

 
          Czech Republic — 0.2%  
    220     Philip Morris CR AS     209,284  
     

 

 

 
          Egypt — 0.2%  
    16,879     Orascom Construction PLC     240,706  
     

 

 

 
          Greece — 0.1%  
    3,605     Motor Oil Hellas Corinth Refineries SA     155,584  
     

 

 

 
          Hungary — 2.8%  
    17,313     Magyar Telekom Telecommunications PLC     150,302  
    59,165     MOL Hungarian Oil & Gas PLC     751,525  
    9,984     OTP Bank Nyrt     1,370,857  
    22,083     Richter Gedeon Nyrt     934,809  
     

 

 

 
    Total Hungary     3,207,493  
     

 

 

 
          India — 6.7%  
    110,055     Ashapura Minechem Ltd.     858,234  
    259,727     Bharat Petroleum Corp. Ltd.     817,088  
    78,754     Brightcom Group Ltd. *     8,679  
    3,433     GHCL Ltd.     16,391  
    154,506     Hindalco Industries Ltd.     1,840,937  
    97,519     Hindustan Petroleum Corp. Ltd.     404,100  
    341,311     Indian Oil Corp. Ltd.     505,620  
    1,459     KRBL Ltd.     5,334  
    11,440     Muthoot Finance Ltd.     397,342  
    864,211     NMDC Ltd.     804,205  
    485,738     Oil & Natural Gas Corp. Ltd.     1,359,331  
    552     Pokarna Ltd.     4,619  
    16,453     Siyaram Silk Mills Ltd.     99,329  
    89,815     Tata Motors Ltd. *     360,919  
    862     Vadilal Industries Ltd.     43,899  
     

 

 

 
    Total India     7,526,027  
     

 

 

 
          Indonesia — 1.5%  
      1,084,200     Aneka Tambang Tbk. PT     176,484  
    4,404,600     Astra International Tbk. PT     1,233,792  
    132,400     Indofood Sukses Makmur Tbk. PT     51,320  
    1,514,500     Perusahaan Gas Negara Persero Tbk. PT     154,751  
    242,700     Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT     17,541  
    252,000     Salim Ivomas Pratama Tbk. PT     7,837  
     

 

 

 
    Total Indonesia     1,641,725  
     

 

 

 
    
Shares
    Description   Value ($)  
          Kuwait — 1.0%  
    560,674     A’ayan Leasing & Investment Co. KSCP     500,094  
    41,333     Combined Group Contracting Co. SAK     126,962  
    22,878     Mobile Telecommunications Co. KSCP     44,154  
    335,079     Noor Financial Investment Co. KSC     442,279  
     

 

 

 
    Total Kuwait     1,113,489  
     

 

 

 
          Mexico — 1.4%  
    66,410     Cemex SAB de CV Sponsored ADR     869,307  
    19,000     El Puerto de Liverpool SAB de CV – Class C1 (a)     112,869  
    250,035     Gentera SAB de CV     618,129  
     

 

 

 
    Total Mexico     1,600,305  
     

 

 

 
          Poland — 1.0%  
    23,471     ORLEN SA     917,367  
    10,099     Powszechny Zaklad Ubezpieczen SA     179,342  
     

 

 

 
    Total Poland        1,096,709  
     

 

 

 
          Russia — 0.0%  
    131,280     Evraz PLC * (b) (c)      
    236,860,000     Federal Grid Co-Rosseti PJSC * (b) (c)      
    897,812     Gazprom PJSC * (b) (c)      
    783,200     GMK Norilskiy Nickel PAO * (b) (c)      
    6,151,400     Inter RAO UES PJSC * (b) (c)      
    93,370     Novatek PJSC * (b) (c)      
    1,403,510     Novolipetsk Steel PJSC * (b) (c)      
    4,917     PhosAgro PJSC * (b) (c)      
    95     PhosAgro PJSC GDR * (b) (c)      
    1     Polyus PJSC GDR * (b) (c)      
    140,607     Severstal PAO GDR (Registered) * (b) (c)      
    657,084     Tatneft PJSC * (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
          Saudi Arabia — 2.2%  
    1,896     Al Babtain Power & Telecommunication Co.     33,094  
    7,769     Arab National Bank     43,656  
    14,441     Banque Saudi Fransi     73,946  
    41,562     Riyad Bank     223,454  
    7,739     SABIC Agri-Nutrients Co.     282,523  
    13,226     Saudi Awwal Bank     119,330  
    129,747     Saudi National Bank     1,380,400  
    24,988     Saudi Telecom Co.     292,211  
    3,068     Savola Group     23,179  
     

 

 

 
    Total Saudi Arabia     2,471,793  
     

 

 

 
          South Africa — 0.7%  
    56,222     Ninety One Ltd.     164,381  
    785,469     Old Mutual Ltd.     622,452  
    5,652     Omnia Holdings Ltd.     35,367  
     

 

 

 
    Total South Africa     822,200  
     

 

 

 
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          South Korea — 27.3%      
    838     Global Standard Technology Co. Ltd.     30,085  
    8,131     GS Holdings Corp.     391,401  
    7,420     Hana Financial Group, Inc.     567,787  
         11,330     Hyundai Glovis Co. Ltd.     1,825,257  
    7,130     Hyundai Mobis Co. Ltd.     3,630,867  
    28,801     Kia Corp.     3,230,901  
    2,319     KT&G Corp.     283,256  
    15,486     LG Electronics, Inc.     3,019,375  
    884     LX Holdings Corp.     5,051  
    1,644     ROKIT Healthcare, Inc. *     59,782  
    35,192     Samsung E&A Co. Ltd.     1,231,621  
    46,750     Samsung Electronics Co. Ltd.     9,807,852  
    9,339     Shinhan Financial Group Co. Ltd.     580,907  
    3,306     SK Hynix, Inc.     5,147,466  
    51,371     Woori Financial Group, Inc.     1,015,951  
    55     Youngone Corp.     2,892  
     

 

 

 
    Total South Korea       30,830,451  
     

 

 

 
          Taiwan — 35.3%  
    219,000     AcBel Polytech, Inc.     414,850  
    12,000     Central Reinsurance Co. Ltd.     13,414  
    410,600     Evergreen Marine Corp. Taiwan Ltd.     2,788,501  
    8,000     Genius Electronic Optical Co. Ltd.     153,365  
    3,000     Global Brands Manufacture Ltd.     9,247  
    75,000     Greatek Electronics, Inc.     336,380  
    311,000     Hannstar Board Corp.     840,138  
    291,000     Hon Hai Precision Industry Co. Ltd.     2,663,755  
    143,000     KGI Financial Holding Co. Ltd.     102,580  
    27,000     Kung Long Batteries Industrial Co. Ltd.     108,208  
    26,000     Lelon Electronics Corp.     303,155  
    53,000     Lite-On Technology Corp.     391,485  
    1,000     Lotes Co. Ltd.     83,624  
    33,528     Nantex Industry Co. Ltd.     28,850  
    28,000     Pegatron Corp.     78,995  
    1,488,000     Pou Chen Corp.     1,208,077  
    161,000     Powertech Technology, Inc.     1,922,758  
    54,000     Realtek Semiconductor Corp.     995,323  
    1,280     Taiwan Semiconductor Manufacturing Co. Ltd. Sponsored ADR     535,616  
    225,000     Taiwan Semiconductor Manufacturing Co. Ltd.     16,669,187  
    18,000     TCI Co. Ltd.     68,527  
    68,000     Tripod Technology Corp.     1,120,829  
    11,000     TTY Biopharm Co. Ltd.     25,784  
    722,000     United Microelectronics Corp.     3,250,407  
    14,000     Walsin Technology Corp.     173,359  
    7,000     Wan Hai Lines Ltd.     18,315  
    103,000     Wistron Corp.     515,634  
    133,000     WPG Holdings Ltd.     500,085  
    6,000     WT Microelectronics Co. Ltd.     55,095  
    103,000     Yageo Corp.     2,396,399  
    293,000     Yang Ming Marine Transport Corp.     492,686  
    256,000     Yuanta Financial Holding Co. Ltd.     486,610  
    63,000     YungShin Global Holding Corp.     112,324  
    
Shares
    Description   Value ($)  
          Taiwan — continued  
    59,000     Zhen Ding Technology Holding Ltd.     962,944  
     

 

 

 
    Total Taiwan       39,826,506  
     

 

 

 
          Thailand — 8.2%  
    652,000     3BB Internet Infrastructure Fund – Class F     128,958  
    388,600     AP Thailand PCL NVDR     87,139  
    33,000     Bangkok Life Assurance PCL NVDR     23,118  
    434,600     Digital Telecommunications Infrastructure Fund – Class F     132,911  
    250,200     Kasikornbank PCL NVDR     1,544,409  
    30,900     Kiatnakin Phatra Bank PCL NVDR     83,372  
      2,214,300     Krung Thai Bank PCL NVDR     2,362,976  
    148,900     Mega Lifesciences PCL NVDR     164,508  
    589,100     PTT Exploration & Production PCL NVDR     2,563,589  
    958,800     PTT PCL NVDR     1,068,170  
    238,900     Regional Container Lines PCL NVDR     231,196  
    105,600     SCB X PCL NVDR     436,196  
    103,200     Sri Trang Gloves Thailand PCL NVDR     36,500  
    34,600     Stecon Group PCL NVDR     16,622  
    226,900     Thai Oil PCL NVDR     322,307  
    45,500     TOA Paint Thailand PCL NVDR     17,083  
     

 

 

 
    Total Thailand     9,219,054  
     

 

 

 
          Turkey — 0.2%  
    53,914     Anadolu Anonim Turk Sigorta Sirketi     31,946  
    3,916     BIM Birlesik Magazalar AS     31,455  
    5,852     Migros Ticaret AS     83,026  
    144,465     Sekerbank Turk AS     40,912  
     

 

 

 
    Total Turkey     187,339  
     

 

 

 
          United Arab Emirates — 0.5%  
    70,051     Emirates NBD Bank PJSC     530,516  
     

 

 

 
          United Kingdom — 0.6%  
    18,200     Global Ship Lease, Inc. – Class A     663,026  
     

 

 

 
          Vietnam — 1.8%  
    94,380     An Binh CJSB *     55,956  
    8,100     Binh Minh Plastics JSC     42,297  
    17,700     Gelex Electric Equipment JSC     68,750  
    59,100     IDICO Corp. JSC     97,400  
    4,007     Masan Consumer Corp.     20,528  
    134,400     PetroVietNam Ca Mau Fertilizer JSC     203,579  
    40,200     Petrovietnam Fertilizer & Chemicals JSC     39,592  
    28,600     PetroVietnam Gas JSC     95,065  
    49,300     PetroVietnam Oil Corp.     28,292  
    48,750     Phu Nhuan Jewelry JSC     122,080  
    39,700     Quang Ngai Sugar JSC     71,820  
    284,220     Saigon - Hanoi Commercial Joint Stock Bank     149,165  
    99,700     Saigon Beer Alcohol Beverage Corp.     177,981  
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Vietnam — continued  
    389,900     Vietnam Dairy Products JSC     877,370  
     

 

 

 
    Total Vietnam     2,049,875  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $96,523,183)
     106,585,170  
     

 

 

 
          PREFERRED STOCKS (d) — 3.5%  
          Brazil — 3.0%  
    27,500     Banco Bradesco SA ADR     95,975  
        163,500     Bradespar SA     753,561  
    514,866     Cia Energetica de Minas Gerais     1,098,207  
    88,400     Petroleo Brasileiro SA - Petrobras Sponsored ADR     1,482,468  
     

 

 

 
    Total Brazil     3,430,211  
     

 

 

 
          Colombia — 0.0%  
    299     Grupo de Inversiones Suramericana SA     3,487  
     

 

 

 
          South Korea — 0.5%  
    3,881     Samsung Electronics Co. Ltd.     519,253  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $3,884,761)
    3,952,951  
     

 

 

 
    
Shares
    Description   Value ($)  
          INVESTMENT FUNDS — 2.0%  
          United States — 2.0%  
        448,072     GMO U.S. Treasury Fund, Class VI (e)     2,244,841  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $2,244,841)
    2,244,841  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    52,510     State Street Institutional Treasury Money  
    Market Fund – Premier Class, 3.57% (f)     52,510  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $52,510)
    52,510  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $102,705,295)
    112,835,472  
    Other Assets and Liabilities (net) — (0.1)%     (82,278
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 112,753,194  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Evraz PLC    10/18/21    $ 1,123,522      0.0%   $  
Federal Grid Co-Rosseti PJSC    10/18/21      599,930      0.0%      
Gazprom PJSC    10/18/21      4,325,759      0.0%      
GMK Norilskiy Nickel PAO    10/18/21      2,530,663      0.0%      
Inter RAO UES PJSC    10/18/21      435,323      0.0%      
Novatek PJSC    10/18/21      2,410,423      0.0%      
Novolipetsk Steel PJSC    10/18/21      4,328,348      0.0%      
PhosAgro PJSC    10/18/21      383,565      0.0%      
PhosAgro PJSC GDR    10/18/21      2,465      0.0%      
Polyus PJSC GDR    12/14/22      4      0.0%      
Severstal PAO GDR (Registered)    10/18/21      3,190,235      0.0%      
Tatneft PJSC    10/18/21      4,839,124      0.0%      
          

 

 

 
           $  
          

 

 

 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
20   MSCI Emerging Market     June 2026     $ 1,748,500     $ (5,841
     

 

 

   

 

 

 

 
+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

The security is restricted as to resale.

 

(d)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(e)

Affiliated company.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 93.8%

 

          Brazil — 1.8%  
    67,200     Banco Bradesco SA     206,480  
    166,100     Pagseguro Digital Ltd. – Class A     1,553,035  
    473,600     Vale SA Sponsored ADR     7,696,000  
    219,399     Vibra Energia SA     1,293,896  
     

 

 

 
    Total Brazil       10,749,411  
     

 

 

 
          China — 16.0%  
    3,832,000     361 Degrees International Ltd.     2,312,180  
    187,000     3SBio, Inc.     441,797  
    5,142,000     Bosideng International Holdings Ltd.     2,790,371  
    8,733,878     China Communications Services Corp. Ltd. – Class H     4,602,761  
    1,252,000     China Conch Venture Holdings Ltd.     1,694,701  
    940,000     China Feihe Ltd. (a)     367,322  
    550,000     China Foods Ltd.     248,620  
    676,500     China Hongqiao Group Ltd.     2,425,683  
    4,436,000     China Lesso Group Holdings Ltd.     2,614,938  
    430,000     China Medical System Holdings Ltd.     579,824  
    1,184,000     China Nonferrous Mining Corp. Ltd.     2,054,935  
    2,492,000     China Reinsurance Group Corp. – Class H     378,490  
    1,093,000     China Resources Pharmaceutical Group Ltd.     651,236  
    3,000     China Sanjiang Fine Chemicals Co. Ltd. (a)     1,297  
    118,000     China Shineway Pharmaceutical Group Ltd.     126,150  
    2,930,400     China Taiping Insurance Holdings Co. Ltd.     7,440,051  
    3,044,000     Consun Pharmaceutical Group Ltd.     5,518,933  
    6,414,000     CSPC Pharmaceutical Group Ltd.     6,140,730  
    829,500     ENN Energy Holdings Ltd.     5,815,864  
    325,000     Fufeng Group Ltd.     247,642  
    30,000     Hengan International Group Co. Ltd.     93,240  
      10,248,000     Hua Han Health Industry Holdings Ltd. * (b)     24  
    14,000     JNBY Design Ltd.     34,297  
    235,000     Kingboard Holdings Ltd.     1,974,981  
    4,180,000     Kunlun Energy Co. Ltd.     3,820,040  
    319,700     Legend Holdings Corp. – Class H *     669,531  
    916,000     Lenovo Group Ltd.     2,807,138  
    2,044,000     Lonking Holdings Ltd. *     761,795  
    799,500     Minth Group Ltd.     3,862,369  
    595,000     Orient Overseas International Ltd. (a)     10,339,593  
    1,162,000     PICC Property & Casualty Co. Ltd. – Class H     2,156,652  
    343,000     Sany Heavy Equipment International Holdings Co. Ltd.     337,176  
    2,334,000     Sino Biopharmaceutical Ltd.     1,487,446  
    3,359,000     Sinopec Engineering Group Co. Ltd. – Class H     2,367,330  
    734,000     Sinopharm Group Co. Ltd. – Class H     1,583,390  
    282,000     Sinotruk Hong Kong Ltd.     1,340,715  
    1,320,000     Skyworth Group Ltd. *     953,281  
    61,000     TCL Electronics Holdings Ltd.     107,786  
    121,300     Tencent Holdings Ltd.     6,590,420  
    
Shares
    Description   Value ($)  
          China — continued  
    428,415     Vipshop Holdings Ltd. ADR     6,092,061  
    7,450     ZTO Express Cayman, Inc.     164,065  
     

 

 

 
    Total China     93,996,855  
     

 

 

 
          Colombia — 0.0%  
    23,090     Almacenes Exito SA     28,027  
     

 

 

 
          Egypt — 0.1%  
    57,011     Orascom Construction PLC     813,017  
     

 

 

 
          Greece — 0.1%  
    216     Eurobank SA     1,006  
    8,659     Motor Oil Hellas Corinth Refineries SA     373,703  
     

 

 

 
    Total Greece     374,709  
     

 

 

 
          Hungary — 1.9%  
    71,665     Magyar Telekom Telecommunications PLC     622,139  
    163,285     MOL Hungarian Oil & Gas PLC     2,074,078  
    48,680     OTP Bank Nyrt     6,684,025  
    37,418     Richter Gedeon Nyrt     1,583,964  
     

 

 

 
    Total Hungary       10,964,206  
     

 

 

 
          India — 4.0%  
    209,555     Ashapura Minechem Ltd.     1,634,159  
    1,007,814     Bharat Petroleum Corp. Ltd.     3,170,532  
    649,259     Hindalco Industries Ltd.     7,735,912  
    349,087     Hindustan Petroleum Corp. Ltd.     1,446,549  
    911,942     Indian Oil Corp. Ltd.     1,350,956  
    2,588,383     NMDC Ltd.     2,408,660  
    1,573,684     Oil & Natural Gas Corp. Ltd.     4,403,931  
    39,747     Siyaram Silk Mills Ltd.     239,958  
    217,792     Tata Motors Ltd. *     875,192  
     

 

 

 
    Total India     23,265,849  
     

 

 

 
          Indonesia — 1.3%  
       17,956,400     Aneka Tambang Tbk. PT     2,922,918  
    16,209,800     Astra International Tbk. PT     4,540,599  
    80,200     Pabrik Kertas Tjiwi Kimia Tbk. PT     24,967  
    1,319,400     Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT     95,362  
    1,282,500     Salim Ivomas Pratama Tbk. PT     39,883  
     

 

 

 
    Total Indonesia     7,623,729  
     

 

 

 
          Kuwait — 0.7%  
    1,998,811     A’ayan Leasing & Investment Co. KSCP     1,782,843  
    104,107     Combined Group Contracting Co. SAK     319,783  
    19,223     Mobile Telecommunications Co. KSCP     37,099  
    17,300     National Mobile Telecommunications Co. KSCC     105,977  
    1,223,836     Noor Financial Investment Co. KSC     1,615,373  
     

 

 

 
    Total Kuwait     3,861,075  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Mexico — 1.3%  
    447,000     Cemex SAB de CV Sponsored ADR     5,851,230  
    656,763     Gentera SAB de CV (a)     1,623,629  
     

 

 

 
    Total Mexico     7,474,859  
     

 

 

 
          Philippines — 0.1%  
    10,820     GT Capital Holdings, Inc.     84,275  
    1,603,500     LT Group, Inc.     411,155  
    356,800     Megaworld Corp.     12,042  
    2,900     Robinsons Retail Holdings, Inc.     2,175  
     

 

 

 
    Total Philippines     509,647  
     

 

 

 
          Poland — 1.0%  
    138,461     ORLEN SA     5,411,763  
    27,082     Powszechny Zaklad Ubezpieczen SA     480,933  
     

 

 

 
    Total Poland     5,892,696  
     

 

 

 
          Russia — 0.0%  
    39,977     Evraz PLC * (b) (c)      
    1,432,600,000     Federal Grid Co-Rosseti PJSC * (b) (c)      
    1,250,860     Gazprom PJSC * (b) (c)      
    3,721,200     GMK Norilskiy Nickel PAO * (b) (c)      
    78,536,400     Inter RAO UES PJSC * (b) (c)      
    239,440     LSR Group PJSC * (b) (c)      
    3     LSR Group PJSC GDR * (b) (c)      
    10,015,560     Novolipetsk Steel PJSC * (b) (c)      
    11,924     PhosAgro PJSC * (b) (c)      
    230     PhosAgro PJSC GDR * (b) (c)      
    706,464     Severstal PAO GDR (Registered) * (b) (c)      
    68,353     SFI PJSC * (b) (c)      
    2,860,038     Tatneft PJSC * (b) (c)      
    8,118,000     Unipro PAO * (b) (c)      
    556,430     United Co. RUSAL International PJSC * (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
          Saudi Arabia — 2.4%  
    48,191     Banque Saudi Fransi     246,765  
    5,859     Etihad Etisalat Co.     99,932  
    285,753     Riyad Bank     1,536,322  
    58,018     SABIC Agri-Nutrients Co.     2,118,027  
    100,611     Saudi Awwal Bank     907,753  
    693,732     Saudi National Bank     7,380,730  
    161,452     Saudi Telecom Co.     1,888,031  
     

 

 

 
    Total Saudi Arabia       14,177,560  
     

 

 

 
          South Africa — 0.6%  
    4,173,112     Old Mutual Ltd.     3,307,020  
     

 

 

 
          South Korea — 22.2%  
    151     Global Standard Technology Co. Ltd.     5,421  
    19,216     GS Holdings Corp.     924,997  
    44,330     Hana Financial Group, Inc.     3,392,181  
    41,979     Hyundai Glovis Co. Ltd.     6,762,795  
    
Shares
    Description   Value ($)  
          South Korea — continued  
    36,741     Hyundai Mobis Co. Ltd.     18,709,914  
    154,885     Kia Corp.     17,375,024  
    13,564     KT&G Corp.     1,656,784  
    78,754     LG Electronics, Inc.     15,355,021  
    195     LX Holdings Corp.     1,114  
    10,150     ROKIT Healthcare, Inc. *     369,094  
    137,164     Samsung E&A Co. Ltd.     4,800,355  
    170,723     Samsung Electronics Co. Ltd.     35,816,598  
    50,489     Shinhan Financial Group Co. Ltd.     3,140,530  
    11,156     SK Hynix, Inc.     17,369,974  
    244,390     Woori Financial Group, Inc.     4,833,240  
     

 

 

 
    Total South Korea     130,513,042  
     

 

 

 
          Sri Lanka — 0.0%  
      103,983,101     Anilana Hotels & Properties Ltd. * (d) (e)     284,021  
     

 

 

 
          Taiwan — 28.7%  
    1,623,000     AcBel Polytech, Inc.     3,074,438  
    77,000     ASE Technology Holding Co. Ltd.     1,471,111  
    136,000     ChipMOS Technologies, Inc.     483,676  
    1,777,200     Evergreen Marine Corp. Taiwan Ltd.     12,069,469  
    9,000     Genius Electronic Optical Co. Ltd.     172,536  
    1,089,000     Hannstar Board Corp.     2,941,833  
    912,000     Hon Hai Precision Industry Co. Ltd.     8,348,262  
    424,000     KGI Financial Holding Co. Ltd.     304,152  
    341,000     Lite-On Technology Corp.     2,518,797  
    4,546,000     Pou Chen Corp.     3,690,806  
    881,000     Powertech Technology, Inc.     10,521,429  
    315,000     Realtek Semiconductor Corp.     5,806,052  
    1,109,000     Taiwan Semiconductor Manufacturing Co. Ltd.     82,160,571  
    26,000     TCI Co. Ltd.     98,983  
    220,000     Tripod Technology Corp.     3,626,211  
    3,990,000     United Microelectronics Corp.     17,962,774  
    47,000     Wan Hai Lines Ltd.     122,971  
    120,000     Wistron Corp.     600,738  
    555,000     WPG Holdings Ltd.     2,086,821  
    262,000     Yageo Corp.     6,095,694  
    908,000     Yang Ming Marine Transport Corp.     1,526,823  
    1,286,000     Yuanta Financial Holding Co. Ltd.     2,444,453  
    53,000     YungShin Global Holding Corp.     94,495  
    15,000     Zhen Ding Technology Holding Ltd.     244,816  
     

 

 

 
    Total Taiwan      168,467,911  
     

 

 

 
          Thailand — 8.3%  
    2,438,100     3BB Internet Infrastructure Fund – Class F     482,229  
    1,097,300     AP Thailand PCL     246,056  
    31,400     Bangkok Life Assurance PCL NVDR     21,997  
    1,242,300     Digital Telecommunications Infrastructure Fund – Class F     379,926  
    128,500     GFPT PCL     33,764  
    1,397,200     Kasikornbank PCL     8,624,494  
    10,696,500     Krung Thai Bank PCL     11,414,703  
    714,500     Mega Lifesciences PCL     789,396  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Thailand — continued  
    48,200     Pruksa Holding PCL (Foreign Registered)     5,062  
    2,872,100     PTT Exploration & Production PCL     12,498,530  
    6,796,000     PTT PCL     7,571,217  
    817,500     Regional Container Lines PCL     791,138  
    682,600     SCB X PCL     2,819,575  
    47,100     Sri Trang Gloves Thailand PCL     16,658  
        1,739,500     Thai Oil PCL     2,470,922  
    128,900     Thai Vegetable Oil PCL     98,849  
    534,700     TOA Paint Thailand PCL     200,754  
     

 

 

 
    Total Thailand     48,465,270  
     

 

 

 
          Turkey — 0.6%  
    172,764     BIM Birlesik Magazalar AS     1,387,697  
    140,301     Migros Ticaret AS     1,990,536  
     

 

 

 
    Total Turkey     3,378,233  
     

 

 

 
          United Arab Emirates — 0.5%  
    333,630     Emirates NBD Bank PJSC     2,526,674  
    116,332     First Abu Dhabi Bank PJSC     536,065  
     

 

 

 
    Total United Arab Emirates     3,062,739  
     

 

 

 
          United Kingdom — 0.3%  
    46,500     Global Ship Lease, Inc. – Class A     1,693,995  
     

 

 

 
          Vietnam — 1.9%  
    329,810     An Binh CJSB *     195,540  
    15,700     Binh Minh Plastics JSC     81,982  
    49,400     Gelex Electric Equipment JSC     191,878  
    41,035     Gelex Group JSC     50,085  
    164,300     IDICO Corp. JSC     270,775  
    4,664     Masan Consumer Corp.     23,894  
    489,800     PetroVietNam Ca Mau Fertilizer JSC     741,911  
    149,000     Petrovietnam Fertilizer & Chemicals JSC     146,745  
    231,800     PetroVietnam Oil Corp.     133,026  
    201,900     Phu Nhuan Jewelry JSC     505,601  
    317,300     Quang Ngai Sugar JSC     574,015  
    3,836,120     Saigon - Hanoi Commercial Joint Stock Bank     2,013,277  
    554,700     Saigon Beer Alcohol Beverage Corp.     990,231  
    2,088,300     Vietnam Dairy Products JSC     4,699,183  
    124,100     Vietnam Engine & Agricultural Machinery Corp.     164,134  
    325,200     Vietnam Prosperity JSC Bank     334,989  
     

 

 

 
    Total Vietnam     11,117,266  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $512,772,405)
     550,021,137  
     

 

 

 
    
Shares
    Description   Value ($)  
          PREFERRED STOCKS (f) — 4.8%  
          Brazil — 3.6%  
    1,128,200     Banco Bradesco SA ADR     3,937,418  
    750,400     Bradespar SA     3,458,544  
        2,441,280     Cia Energetica de Minas Gerais     5,207,238  
    59,900     Gerdau SA     270,376  
    103,800     Gerdau SA Sponsored ADR     467,100  
    202,100     Itausa SA     517,615  
    426,400     Petroleo Brasileiro SA – Petrobras Sponsored ADR     7,150,728  
     

 

 

 
    Total Brazil     21,009,019  
     

 

 

 
          Russia — 0.0%  
    194,570     Nizhnekamskneftekhim PJSC * (b) (c)      
     

 

 

 
          South Korea — 1.2%  
    55,473     Samsung Electronics Co. Ltd.     7,421,927  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $24,374,135)
    28,430,946  
     

 

 

 
          INVESTMENT FUNDS — 0.2%  
          United States — 0.2%  
    293,789     GMO U.S. Treasury Fund, Class VI (e)     1,471,885  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $1,471,885)
    1,471,885  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.6%  
          Money Market Funds — 0.6%  
    3,373,852     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (g)     3,373,852  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,373,852)
    3,373,852  
     

 

 

 
    TOTAL INVESTMENTS — 99.4%
(Cost $541,992,277)
    583,297,820  
    Other Assets and Liabilities (net) — 0.6%     3,377,733  
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 586,675,553  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Evraz PLC    10/20/21    $ 325,882      0.0%   $  
Federal Grid Co-Rosseti PJSC    01/16/20      3,566,461      0.0%      
Gazprom PJSC    02/15/22      5,498,440      0.0%      
GMK Norilskiy Nickel PAO    12/09/19      10,928,119      0.0%      
Inter RAO UES PJSC    04/04/18      5,427,962      0.0%      
LSR Group PJSC    03/01/19      2,449,446      0.0%      
LSR Group PJSC GDR    05/06/21      7      0.0%      
Nizhnekamskneftekhim PJSC    03/24/20      204,612      0.0%      
Novolipetsk Steel PJSC    10/11/17      26,618,404      0.0%      
PhosAgro PJSC    02/09/22      802,829      0.0%      
PhosAgro PJSC GDR    02/09/22      5,151      0.0%      
Severstal PAO GDR (Registered)    10/12/17      13,249,420      0.0%      
SFI PJSC    09/11/18      747,895      0.0%      
Tatneft PJSC    11/02/18      25,364,999      0.0%      
Unipro PAO    03/29/18      400,147      0.0%      
United Co. RUSAL International PJSC    11/12/21      569,611      0.0%      
          

 

 

 
           $  
          

 

 

 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
40   MSCI Emerging Market     June 2026       $3,497,000     $ 100,023  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

The security is restricted as to resale.

 

(d)

Investment valued using significant unobservable inputs.

 

(e)

Affiliated company.

 

(f)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(g)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ADR - American Depositary Receipt

Foreign Registered - Shares issued to foreign investors in markets that have foreign ownership limits.

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 93.4%

 

          Australia — 4.6%  
    655,928     BHP Group Ltd.     29,200,838  
     1,808,665     Fortescue Ltd.     29,048,716  
    548,429     Perseus Mining Ltd.     2,058,366  
    29,210     Rio Tinto Ltd.     3,906,676  
    135,546     Super Retail Group Ltd.     1,140,609  
     

 

 

 
    Total Australia         65,355,205  
     

 

 

 
          Belgium — 0.6%  
    26,040     Ageas SA     2,017,624  
    25,386     Bekaert SA     1,222,712  
    27,685     KBC Group NV     3,673,823  
    18,036     Melexis NV     1,704,195  
    29,381     Proximus SADP     228,776  
     

 

 

 
    Total Belgium     8,847,130  
     

 

 

 
          Canada — 1.9%  
    11,700     Bank of Nova Scotia     938,784  
    101,800     Magna International, Inc. (a)     6,597,635  
    36,600     Parex Resources, Inc.     638,472  
    160,800     Toronto-Dominion Bank     18,399,304  
     

 

 

 
    Total Canada     26,574,195  
     

 

 

 
          Finland — 3.0%  
    2,771,389     Nokia OYJ     40,705,547  
    43,068     Valmet OYJ     1,167,011  
     

 

 

 
    Total Finland     41,872,558  
     

 

 

 
          France — 7.9%  
    8,993     Amundi SA     876,765  
    8,794     ArcelorMittal SA     605,400  
    188,945     BNP Paribas SA     20,366,892  
    36,171     Cie de Saint-Gobain SA     3,277,849  
    101,591     Coface SA     1,767,002  
    94,864     Derichebourg SA     1,117,744  
    42,854     Eiffage SA     6,202,143  
    41,212     Ipsen SA     7,528,161  
    25,959     IPSOS SA     1,168,472  
    34,139     Metropole Television SA     459,443  
    101,973     Rubis SCA     4,211,972  
    309,791     Sanofi SA     27,156,003  
    14,681     Societe BIC SA *     996,127  
    63,687     Societe Generale SA     5,293,734  
    99,813     STMicroelectronics NV (b)     6,918,039  
    257,315     STMicroelectronics NV (b)     17,651,071  
    104,657     Television Francaise 1 SA     834,104  
    48,473     TotalEnergies SE     4,253,157  
    35,326     Valeo SE     544,021  
     

 

 

 
    Total France     111,228,099  
     

 

 

 
          Germany — 4.6%  
    845,354     Deutsche Bank AG (Registered)     27,393,784  
    
Shares
    Description   Value ($)  
          Germany — continued  
    530,480     Deutsche Post AG     31,593,982  
    56,279     Deutsche Telekom AG (Registered)     1,889,572  
    20,328     DWS Group GmbH & Co. KGaA     1,462,347  
    5,326     Indus Holding AG *     187,200  
    40,876     Kloeckner & Co. SE *     542,381  
    24,046     RTL Group SA     883,167  
    2,864     Siemens AG (Registered)     897,979  
     

 

 

 
    Total Germany     64,850,412  
     

 

 

 
          Hong Kong — 4.9%  
    2,156,500     BOC Hong Kong Holdings Ltd.     13,176,933  
    607,000     CK Asset Holdings Ltd.     3,664,840  
    2,604,500     CK Hutchison Holdings Ltd.     23,434,942  
    202,800     Dah Sing Banking Group Ltd.     348,209  
    26,869     Dah Sing Financial Holdings Ltd.     145,616  
    936,585     IGG, Inc.     396,415  
    122,901     Johnson Electric Holdings Ltd.     400,372  
    197,640     KLN Logistics Group Ltd.     154,757  
    144,326     Luk Fook Holdings International Ltd.     384,938  
    730,331     Pacific Textiles Holdings Ltd.     104,561  
    789,000     SITC International Holdings Co. Ltd.     3,491,114  
    182,500     Sun Hung Kai Properties Ltd.     3,065,038  
    103,500     Swire Pacific Ltd. – Class A     1,077,062  
    278,000     Techtronic Industries Co. Ltd.     4,127,073  
    730,000     VSTECS Holdings Ltd.     896,246  
    72,700     VTech Holdings Ltd.     475,200  
    11,240,015     WH Group Ltd.     12,971,380  
     

 

 

 
    Total Hong Kong     68,314,696  
     

 

 

 
          Israel — 0.6%  
    315,831     Bank Hapoalim BM     8,097,990  
     

 

 

 
          Italy — 2.3%      
    89,405     Anima Holding SpA     748,798  
    55,598     Banca IFIS SpA (a)     1,313,514  
    223,671     BPER Banca SpA     3,028,090  
    66,604     Esprinet SpA     540,140  
    83,547     Tenaris SA ADR     5,090,519  
    857,140     Unipol Assicurazioni SpA     21,191,325  
     

 

 

 
    Total Italy         31,912,386  
     

 

 

 
          Japan — 25.5%  
    38,420     AOKI Holdings, Inc.     395,812  
    168,796     Brother Industries Ltd.     3,971,396  
    27,600     Canon Marketing Japan, Inc.     616,325  
    52,300     Credit Saison Co. Ltd.     1,344,626  
    102,000     Daido Steel Co. Ltd.     1,332,522  
    66,290     Daiwabo Holdings Co. Ltd.     1,423,647  
    55,000     Ebara Corp.     1,955,705  
    25,700     Fuji Electric Co. Ltd.     2,494,149  
    29,118     Fuyo General Lease Co. Ltd.     766,389  
    30,906     Gunze Ltd.     722,509  
    27,800     Horiba Ltd.     4,576,159  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Japan — continued  
    862,300     Inpex Corp.     19,390,092  
    383,670     ITOCHU Corp.     4,638,461  
    41,000     Kaga Electronics Co. Ltd.     1,138,892  
    134,500     Kajima Corp.     4,967,287  
    124,088     Kanematsu Corp.     1,679,805  
    475,300     Komatsu Ltd.     19,410,155  
    23,193     Komeri Co. Ltd.     504,302  
    87,300     Kubota Corp.     1,551,101  
    285,900     Kyocera Corp.     6,251,213  
    705,800     Marubeni Corp.     23,071,466  
    270,000     Mitsubishi Electric Corp.     10,976,324  
    675,300     Mitsui & Co. Ltd.     22,444,074  
    471,900     Murata Manufacturing Co. Ltd.     29,722,461  
    61,500     NGK Corp.     2,435,816  
    148,278     Nichias Corp.     3,283,667  
    124,500     Niterra Co. Ltd.     7,938,873  
    48,300     Nitto Denko Corp.     905,133  
    41,200     Ono Pharmaceutical Co. Ltd.     618,214  
    56,800     ORIX Corp.     2,215,149  
    36,700     Osaka Gas Co. Ltd.     1,233,290  
     1,695,100     Panasonic Holdings Corp.     39,163,539  
    82,324     Press Kogyo Co. Ltd.     432,634  
    119,800     Renesas Electronics Corp.     3,334,956  
    54,600     Sanwa Holdings Corp.     1,245,149  
    33,000     SCREEN Holdings Co. Ltd.     2,301,978  
    72,100     Seiko Epson Corp.     1,326,138  
    75,390     Seiko Group Corp.     3,340,414  
    564,812     Sekisui Chemical Co. Ltd.     8,122,369  
    239,000     Sekisui House Ltd.     5,017,916  
    238,700     Shionogi & Co. Ltd.     4,489,427  
    169,300     Sojitz Corp.     5,731,285  
    336,000     Sumitomo Corp.     14,816,718  
    301,700     Sumitomo Electric Industries Ltd.     23,270,328  
    727,000     Sumitomo Forestry Co. Ltd.     5,957,989  
    6,800     Suzuki Motor Corp.     84,212  
    91,700     TDK Corp.     2,375,242  
    26,300     Tokyo Electron Ltd.     8,820,348  
    165,600     Tokyo Gas Co. Ltd.     6,620,579  
    5,900     Tokyo Seimitsu Co. Ltd.     642,825  
    101,975     Tokyu Construction Co. Ltd.     757,902  
    12,428     Towa Pharmaceutical Co. Ltd.     307,901  
    256,500     Toyo Tire Corp.     6,099,590  
    22,200     Toyoda Gosei Co. Ltd.     672,538  
    638,365     Toyota Tsusho Corp.     27,812,977  
    33,938     TPR Co. Ltd.     297,895  
    24,369     Valor Holdings Co. Ltd.     524,636  
    20,256     Warabeya Nichiyo Holdings Co. Ltd.     338,221  
    19,300     Yokogawa Electric Corp.     605,802  
     

 

 

 
    Total Japan        358,486,522  
     

 

 

 
          Netherlands — 8.7%  
    255,655     ABN AMRO Bank NV     10,160,068  
    4,155     ASM International NV     4,335,389  
    
Shares
    Description   Value ($)  
          Netherlands — continued  
    40,050     ASML Holding NV (Registered)     64,591,038  
    295,102     ING Groep NV     9,140,908  
    65,464     Koninklijke Ahold Delhaize NV     2,758,465  
    195,328     Koninklijke KPN NV     1,017,473  
    229,115     NN Group NV     19,125,665  
    183,589     SBM Offshore NV     6,997,368  
    173,314     Signify NV (a)     4,197,078  
     

 

 

 
    Total Netherlands     122,323,452  
     

 

 

 
          Norway — 3.5%  
    30,088     Aker BP ASA     1,082,434  
    50,418     DOF Group ASA     651,381  
    452,486     Elkem ASA *     1,576,677  
    484,217     Equinor ASA     17,504,255  
    35,331     Europris ASA     353,605  
    330,122     Hoegh Autoliners ASA     4,885,617  
    700,784     Norsk Hydro ASA     8,570,425  
    988,560     Orkla ASA     10,418,373  
    268,642     Wallenius Wilhelmsen ASA     3,456,796  
     

 

 

 
    Total Norway     48,499,563  
     

 

 

 
          Portugal — 0.3%  
    51,456     Galp Energia SGPS SA     1,121,357  
    253,973     Navigator Co. SA (a)     1,005,922  
    156,820     REN—Redes Energeticas Nacionais SGPS SA     647,460  
    757,857     Sonae SGPS SA     1,683,045  
     

 

 

 
    Total Portugal     4,457,784  
     

 

 

 
          Singapore — 2.4%  
    245,300     ComfortDelGro Corp. Ltd. (a)     247,762  
    381,100     First Resources Ltd.     789,669  
    937,000     Oversea-Chinese Banking Corp. Ltd.     17,198,091  
    377,000     Sheng Siong Group Ltd.     900,765  
    87,700     Venture Corp. Ltd.     1,236,891  
    259,500     Wilmar International Ltd.     730,068  
    882,722     Yangzijiang Financial Holding Ltd. *     165,865  
    882,722     Yangzijiang Maritime Development Ltd.     428,432  
     4,448,722     Yangzijiang Shipbuilding Holdings Ltd.     12,691,802  
     

 

 

 
    Total Singapore     34,389,345  
     

 

 

 
          Spain — 6.9%  
    1,483,394     Banco Bilbao Vizcaya Argentaria SA     34,647,123  
    1,886,326     Banco Santander SA     23,590,093  
    432,441     CaixaBank SA     5,838,631  
    170,820     Indra Sistemas SA (a)     11,358,838  
    2,112,101     Mapfre SA (a)     9,876,319  
    476,399     Repsol SA     12,300,756  
     

 

 

 
    Total Spain         97,611,760  
     

 

 

 
          Sweden — 0.6%  
    114,328     Boliden AB     7,118,938  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Sweden — continued  
    116,164     Telefonaktiebolaget LM Ericsson – B Shares     1,514,802  
     

 

 

 
    Total Sweden     8,633,740  
     

 

 

 
          Switzerland — 5.0%  
    334,602     ABB Ltd. (Registered)     35,778,097  
    100,883     Novartis AG (Registered)     15,173,817  
    10,479     Swisscom AG (Registered)     8,969,417  
    216,524     UBS Group AG (Registered)     10,225,529  
    3,995     Zehnder Group AG – Class RG     330,811  
     

 

 

 
    Total Switzerland     70,477,671  
     

 

 

 
          United Kingdom — 10.1%  
    231,696     3i Group PLC     7,036,561  
    45,147     British American Tobacco PLC Sponsored ADR     2,789,633  
    5,125,126     BT Group PLC     14,372,213  
    488,845     Ferrexpo PLC * (c)     191,448  
    49,060     Galliford Try Holdings PLC     343,071  
    243,568     GSK PLC     6,159,011  
    519,178     GSK PLC Sponsored ADR     26,239,256  
    103,137     Halfords Group PLC     241,194  
    131,843     HSBC Holdings PLC     2,475,778  
    273,796     Imperial Brands PLC     9,928,293  
    36,276     Kingfisher PLC     140,068  
    282,883     Man Group PLC     1,044,054  
    351,796     Rio Tinto PLC Sponsored ADR     37,427,577  
    43,532     Shell PLC     1,839,460  
    109,244     Vesuvius PLC     685,084  
     2,064,156     Vodafone Group PLC Sponsored ADR     30,879,774  
     

 

 

 
    Total United Kingdom     141,792,475  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,022,923,698)
     1,313,724,983  
     

 

 

 
          PREFERRED STOCKS (d) — 0.5%  
          Germany — 0.5%  
    3,755     Draegerwerk AG & Co. KGaA     401,404  
    66,382     Volkswagen AG *     7,082,930  
     

 

 

 
    Total Germany     7,484,334  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $8,087,959)
    7,484,334  
     

 

 

 
          INVESTMENT FUNDS — 5.2%  
          United States — 5.2%  
    13,487,541     GMO U.S. Treasury Fund, Class VI (e)     67,572,579  
    116,000     GMO Ultra-Short Income ETF (e)     5,805,220  
     

 

 

 
    Total United States     73,377,799  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $73,393,925)
    73,377,799  
     

 

 

 
    
Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%      
     1,508,594     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (f)     1,508,594  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,508,594)
    1,508,594  
     

 

 

 
    TOTAL INVESTMENTS — 99.2%
(Cost $1,105,914,176)
    1,396,095,710  
    Other Assets and Liabilities (net) — 0.8%     10,812,320  
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 1,406,908,030  
     

 

 

 
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
400   MSCI EAFE     June 2026       $62,226,000     $ 488,688  
     

 

 

   

 

 

 
 
+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

Investment valued using significant unobservable inputs.

 

(d)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(e)

Affiliated company.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ADR - American Depositary Receipt

ETF - Exchange-Traded Fund

 


GMO International Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares

    Description   Value ($)  
    COMMON STOCKS — 95.7%  
          Australia — 5.8%      
      150,794     Aurizon Holdings Ltd.     453,806  
    239,340     BHP Group Ltd.     10,655,024  
    293,466     Fortescue Ltd.     4,713,316  
    69,412     QBE Insurance Group Ltd.     1,127,983  
    5,580     Rio Tinto Ltd.     746,294  
    71,915     Santos Ltd.     403,566  
    18,838     Suncorp Group Ltd.     234,926  
    46,156     Woodside Energy Group Ltd.     1,009,683  
     

 

 

 
    Total Australia     19,344,598  
     

 

 

 
          Austria — 1.3%      
    32,412     OMV AG (a)     2,332,373  
    32,603     Raiffeisen Bank International AG     1,871,508  
     

 

 

 
    Total Austria     4,203,881  
     

 

 

 
          Belgium — 0.3%      
    13,810     Ageas SA     1,070,023  
    6,183     Proximus SADP     48,144  
     

 

 

 
    Total Belgium     1,118,167  
     

 

 

 
          Canada — 14.9%      
    9,000     Alimentation Couche-Tard, Inc.     508,476  
    22,400     Bank of Montreal     3,638,365  
    56,765     Bank of Nova Scotia (b)     4,544,038  
    77,800     Bank of Nova Scotia (b)     6,242,510  
    4,900     Canadian Imperial Bank of Commerce     534,872  
    5,900     Empire Co. Ltd. – Class A     209,227  
    1,000     Fairfax Financial Holdings Ltd.     1,556,378  
    10,700     IGM Financial, Inc.     609,721  
    6,490     Magna International, Inc. (b)     420,292  
    17,200     Magna International, Inc. (b)     1,114,728  
    60,874     Manulife Financial Corp. (b)     2,324,778  
    113,800     Manulife Financial Corp. (a) (b)     4,352,573  
    7,900     Nutrien Ltd.     540,992  
    21,200     Open Text Corp.     504,070  
    43,200     Parex Resources, Inc.     753,607  
    15,800     Power Corp. of Canada     955,002  
    7,300     Russel Metals, Inc.     330,622  
    37,630     Sun Life Financial, Inc. (a) (b)     2,701,834  
    62,300     Sun Life Financial, Inc. (b)     4,477,339  
    120,500     Toronto-Dominion Bank     13,788,035  
     

 

 

 
    Total Canada        50,107,459  
     

 

 

 
          Denmark — 0.8%      
    327     AP Moller – Maersk AS – Class A     796,195  
    684     AP Moller – Maersk AS – Class B     1,698,348  
    38,768     H Lundbeck AS     261,855  
     

 

 

 
    Total Denmark     2,756,398  
     

 

 

 
          Finland — 0.2%      
    27,383     Valmet OYJ     741,996  
     

 

 

 

Shares

    Description   Value ($)  
          France — 9.5%      
    15,275     AXA SA     704,381  
    93,531     BNP Paribas SA     10,081,959  
    4,511     Capgemini SE *     535,929  
    2,397     Carrefour SA     44,784  
    82,342     Sanofi SA     7,218,026  
    6,792     Teleperformance SE (a)     498,434  
    132,126     TotalEnergies SE     11,593,107  
    89,457     Valeo SE     1,377,638  
     

 

 

 
    Total France     32,054,258  
     

 

 

 
          Germany — 7.8%      
    4,436     Allianz SE (Registered)     1,965,839  
    26,765     Daimler Truck Holding AG     1,309,649  
    158,924     Deutsche Bank AG (Registered)     5,149,949  
    81,512     Deutsche Post AG     4,854,639  
    120,866     Deutsche Telekom AG (Registered)     4,058,085  
    6,512     DWS Group GmbH & Co. KGaA     468,457  
    18,315     Fresenius Medical Care AG     793,717  
    9,488     Henkel AG & Co. KGaA     688,152  
    92,665     Mercedes-Benz Group AG     5,626,435  
    7,702     Merck KGaA     1,172,969  
    6,145     Traton SE *     241,234  
     

 

 

 
    Total Germany     26,329,125  
     

 

 

 
          Hong Kong — 2.7%      
    212,000     CK Asset Holdings Ltd.     1,279,977  
    330,000     CK Hutchison Holdings Ltd.     2,969,296  
    59,000     Henderson Land Development Co. Ltd. (a)     232,937  
    49,500     Kerry Properties Ltd.     130,858  
    179,000     Sun Hung Kai Properties Ltd.     3,006,256  
    1,800     VTech Holdings Ltd.     11,766  
    1,288,500     WH Group Ltd.     1,486,975  
     

 

 

 
    Total Hong Kong     9,118,065  
     

 

 

 
          Ireland — 0.6%      
    97,060     AIB Group PLC     1,142,191  
    33,519     Bank of Ireland Group PLC     681,072  
     

 

 

 
    Total Ireland     1,823,263  
     

 

 

 
          Israel — 1.4%      
    61,244     Bank Hapoalim BM     1,570,312  
    3,378     Bank Leumi Le-Israel BM     85,467  
    59,366     ICL Group Ltd.     390,127  
    89,787     Israel Discount Bank Ltd. – Class A     994,062  
    13,038     Mizrahi Tefahot Bank Ltd.     999,016  
    20,354     ZIM Integrated Shipping Services Ltd.     478,116  
     

 

 

 
    Total Israel         4,517,100  
     

 

 

 
          Italy — 1.1%      
    17,499     Banco BPM SpA     274,929  
    3,256     Buzzi SpA     175,882  
    61,549     Intesa Sanpaolo SpA     415,952  
 


GMO International Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares

    Description   Value ($)  
          Italy — continued      
    51,439     MFE-MediaForEurope NV – Class A     181,255  
    71,889     Stellantis NV *     573,698  
    418,689     Telecom Italia SpA *     355,676  
    66,161     Unipol Assicurazioni SpA     1,635,718  
     

 

 

 
    Total Italy         3,613,110  
     

 

 

 
          Japan — 20.2%      
    198,500     Asahi Group Holdings Ltd.     1,894,210  
    78,200     Asahi Kasei Corp.     877,176  
    15,500     Astellas Pharma, Inc.     220,780  
    32,500     Brother Industries Ltd.     764,653  
    14,600     Canon, Inc.     388,278  
    4,300     Credit Saison Co. Ltd.     110,552  
    7,100     Daikin Industries Ltd.     1,022,156  
    38,900     Daito Trust Construction Co. Ltd.     772,709  
    81,900     Daiwa House Industry Co. Ltd.     2,227,216  
    166,500     Denso Corp.     1,980,918  
    7,500     Electric Power Development Co. Ltd.     189,085  
    64,900     FUJIFILM Holdings Corp.     1,349,235  
    24,900     Hitachi Construction Machinery Co. Ltd.     811,032  
    113,494     Honda Motor Co. Ltd. Sponsored ADR     3,063,203  
    367,600     Honda Motor Co. Ltd.     3,303,244  
    182,100     Inpex Corp.     4,094,788  
    31,800     Isuzu Motors Ltd.     467,192  
    179,900     Japan Post Holdings Co. Ltd.     2,333,161  
    66,300     Kirin Holdings Co. Ltd.     1,128,359  
    20,100     Kobe Steel Ltd.     250,065  
    98,600     Komatsu Ltd.     4,026,596  
    103,100     Kubota Corp.     1,831,827  
    28,900     Mazda Motor Corp.     206,468  
    154,300     Mitsui & Co. Ltd.     5,128,270  
    87,500     Nippon Yusen KK     2,915,532  
    2,700     Niterra Co. Ltd.     172,168  
    6,605,900     NTT, Inc.     6,197,841  
    67,800     Ono Pharmaceutical Co. Ltd.     1,017,352  
    57,400     ORIX Corp.     2,238,548  
    900     Otsuka Holdings Co. Ltd.     66,123  
    169,900     Panasonic Holdings Corp.     3,925,364  
    41,700     Ricoh Co. Ltd.     381,457  
    48,200     Seiko Epson Corp.     886,545  
    51,200     Sekisui Chemical Co. Ltd.     736,290  
    68,800     Sekisui House Ltd.     1,444,488  
    77,400     Shionogi & Co. Ltd.     1,455,726  
    22,000     Subaru Corp.     333,880  
    43,100     Sumitomo Corp.     1,900,597  
    105,200     Sumitomo Forestry Co. Ltd.     862,146  
    21,500     Suntory Beverage & Food Ltd.     580,756  
    32,600     Suzuki Motor Corp.     403,720  
    31,300     Tosoh Corp.     539,593  
    23,800     Toyo Tire Corp.     565,966  
    116,300     Toyota Motor Corp.     2,200,129  
    72,500     Yamaha Motor Co. Ltd. (a)     596,618  
     

 

 

 
    Total Japan     67,862,012  
     

 

 

 

Shares

    Description   Value ($)  
          Netherlands — 2.6%      
    45,162     ABN AMRO Bank NV     1,794,798  
    138,921     ING Groep NV     4,303,136  
    19,077     Koninklijke Ahold Delhaize NV     803,850  
    6,888     NN Group NV     574,984  
    47,871     Signify NV (a)     1,159,274  
     

 

 

 
    Total Netherlands         8,636,042  
     

 

 

 
          Norway — 2.2%      
    187,129     Equinor ASA     6,764,640  
    52,513     Orkla ASA     553,431  
    11,763     Wallenius Wilhelmsen ASA     151,363  
     

 

 

 
    Total Norway     7,469,434  
     

 

 

 
          Portugal — 0.0%      
    4,483     Sonae SGPS SA     9,956  
     

 

 

 
          Singapore — 0.8%      
    23,698     Hafnia Ltd.     182,940  
    74,200     Oversea-Chinese Banking Corp. Ltd.     1,361,898  
    30,200     United Overseas Bank Ltd.     889,755  
    72,100     Wilmar International Ltd.     202,844  
     

 

 

 
    Total Singapore     2,637,437  
     

 

 

 
          Spain — 5.5%      
    440,882     Banco Bilbao Vizcaya Argentaria SA     10,297,529  
    148,400     Banco de Sabadell SA     501,750  
    242,587     Banco Santander SA     3,033,754  
    10,726     Puig Brands SA – Class B     201,288  
    176,766     Repsol SA     4,564,148  
     

 

 

 
    Total Spain     18,598,469  
     

 

 

 
          Sweden — 2.4%      
    58,387     Essity AB – Class B     1,637,573  
    75,769     Husqvarna AB – Class B     355,623  
    53,484     Investor AB – B Shares     2,197,735  
    53,430     SSAB AB – B Shares     549,454  
    217,996     Telefonaktiebolaget LM Ericsson – B Shares     2,842,711  
    14,133     Volvo AB – B Shares     497,569  
     

 

 

 
    Total Sweden     8,080,665  
     

 

 

 
          Switzerland — 6.5%      
    69,405     Adecco Group AG (Registered)     1,468,775  
    63,164     Nestle SA (Registered)     6,408,871  
    16,207     Novartis AG (Registered)     2,437,696  
    17,538     Novartis AG Sponsored ADR     2,633,682  
    14,333     Roche Holding AG     6,030,611  
    1,909     Roche Holding AG – Class BR     821,034  
    12,024     Sandoz Group AG ADR     1,011,459  
    21,140     UBS Group AG (Registered)     998,354  
     

 

 

 
    Total Switzerland     21,810,482  
     

 

 

 
 


GMO International Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares

    Description   Value ($)  
          United Kingdom — 9.1%      
    104,909     3i Group PLC     3,186,065  
    168,270     Aberdeen Group PLC     560,811  
    55,709     Associated British Foods PLC     1,363,271  
    4,216     Berkeley Group Holdings PLC *     194,297  
    658,698     BT Group PLC     1,847,164  
    24,226     DCC PLC     1,954,446  
    67,060     GSK PLC     1,695,721  
    152,855     GSK PLC Sponsored ADR     7,725,292  
    436     HSBC Holdings PLC Sponsored ADR     40,871  
    97,882     HSBC Holdings PLC     1,838,051  
    567,693     ITV PLC     620,514  
    197,828     JD Sports Fashion PLC     223,966  
    266,336     Kingfisher PLC     1,028,366  
    55,273     Man Group PLC     203,999  
    90,422     NatWest Group PLC     727,240  
    70,582     Rio Tinto PLC Sponsored ADR     7,509,219  
     

 

 

 
    Total United Kingdom     30,719,293  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $236,490,581)
    321,551,210  
     

 

 

 
          PREFERRED STOCKS (c) — 1.3%  
          Germany — 1.3%  
    18,731     Henkel AG & Co. KGaA     1,453,890  
    29,528     Volkswagen AG *     3,150,624  
     

 

 

 
    Total Germany     4,604,514  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $4,353,093)
    4,604,514  
     

 

 

 
          INVESTMENT FUNDS — 1.9%  
          United States — 1.9%  
    1,277,583     GMO U.S. Treasury Fund, Class VI (d)     6,400,692  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $6,400,692)
    6,400,692  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
      244,146     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (e)     244,146  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $244,146)
    244,146  
     

 

 

 
    TOTAL INVESTMENTS — 99.0%
(Cost $247,488,512)
    332,800,562  
    Other Assets and Liabilities (net) — 1.0%     3,244,163  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $336,044,725  
     

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(d)

Affiliated company.

 

(e)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ADR - American Depositary Receipt

 


GMO-Usonian Japan Value Creation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    COMMON STOCKS — 95.3%

 

          Automobiles & Components — 7.5%  
      633,400     Isuzu Motors Ltd.     9,305,640  
    232,700     Musashi Seimitsu Industry Co. Ltd.     13,810,714  
     

 

 

 
    Total Automobiles & Components     23,116,354  
     

 

 

 
          Banks — 8.2%  
    374,500     Sumitomo Mitsui Financial Group, Inc.     13,659,090  
    340,500     Sumitomo Mitsui Trust Group, Inc.     11,729,296  
     

 

 

 
    Total Banks      25,388,386  
     

 

 

 
          Capital Goods — 25.2%  
    258,800     AGC, Inc.     11,272,054  
    249,800     EXEO Group, Inc.     4,454,204  
    163,600     Fuji Corp.     8,123,477  
    917,300     Kanematsu Corp.     12,417,677  
    78,400     Kraftia Corp.     4,571,697  
    381,400     Mitsubishi Electric Corp.     15,505,074  
    754,900     Penta-Ocean Construction Co. Ltd.     8,416,262  
    270,000     TOTO Ltd.     12,986,013  
     

 

 

 
    Total Capital Goods     77,746,458  
     

 

 

 
          Consumer Durables & Apparel — 8.1%  
    502,300     Mizuno Corp.     10,335,857  
    589,100     Sega Sammy Holdings, Inc.     8,542,599  
    836,200     Yamaha Corp.     6,065,706  
     

 

 

 
    Total Consumer Durables & Apparel     24,944,162  
     

 

 

 
          Financial Services — 3.2%  
    385,300     Credit Saison Co. Ltd.     9,906,012  
     

 

 

 
          Food, Beverage & Tobacco — 4.9%  
    365,100     Morinaga & Co. Ltd.     5,702,442  
    243,500     NH Foods Ltd.     9,314,458  
     

 

 

 
    Total Food, Beverage & Tobacco     15,016,900  
     

 

 

 
          Health Care Equipment & Services — 3.8%  
    598,200     H.U. Group Holdings, Inc.     11,701,986  
     

 

 

 
          Insurance — 3.1%  
    364,300     T&D Holdings, Inc.     9,582,404  
     

 

 

 
          Materials — 8.6%  
    314,400     Denka Co. Ltd.     8,826,733  
    917,600     Kobe Steel Ltd.     11,415,918  
    537,400     Maruichi Steel Tube Ltd.     6,090,290  
     

 

 

 
    Total Materials       26,332,941  
     

 

 

 

Shares
    Description   Value ($)  
          Real Estate Management & Development — 1.5%  
    454,000     Tosei Corp.     4,579,384  
     

 

 

 
          Semiconductors & Semiconductor
Equipment — 3.9%
 
    474,000     SUMCO Corp.     11,889,719  
     

 

 

 
          Software & Services — 1.4%  
    168,500     NEC Corp.     4,367,501  
     

 

 

 
          Technology Hardware & Equipment — 13.1%  
    449,200     Daiwabo Holdings Co. Ltd.     9,647,037  
    521,200     FUJIFILM Holdings Corp.     10,835,458  
    256,100     Jeol Ltd.     11,434,214  
    244,100     Macnica Holdings, Inc.     4,766,266  
    295,200     Maxell Ltd.     3,601,538  
     

 

 

 
    Total Technology Hardware & Equipment     40,284,513  
     

 

 

 
          Transportation — 2.8%  
    154,400     Sankyu, Inc.     8,700,039  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $218,581,309)
    293,556,759  
     

 

 

 
          INVESTMENT FUNDS — 3.3%  
          Japan — 0.1%  
    795,000     Carlyle ARE Partners II, L.P. (a) (b)     449,005  
     

 

 

 
          United States — 3.2%  
    1,946,418     GMO U.S. Treasury Fund, Class VI (c)     9,751,553  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $10,251,852)
    10,200,558  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.1%  
          Money Market Funds — 1.1%  
    3,510,497     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (d)     3,510,497  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,510,497)
    3,510,497  
     

 

 

 
    TOTAL INVESTMENTS — 99.7%
(Cost $232,343,658)
    307,267,814  
    Other Assets and Liabilities (net) — 0.3%     976,946  
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 308,244,760  
     

 

 

 
 


GMO-Usonian Japan Value Creation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Carlyle ARE Partners II, L.P.    03/24/26    $ 500,299      0.1%   $ 449,005  
          

 

 

 

 

Notes to Schedule of Investments:

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

Private placement security; restricted as to resale.

 

(c)

Affiliated company.

 

(d)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    COMMON STOCKS — 99.8%

 

          Banks — 2.4%  
     5,530,510     U.S. Bancorp     303,348,473  
     

 

 

 
          Capital Goods — 2.7%  
    449,203     Knorr-Bremse AG     54,265,237  
    822,201     Safran SA     292,417,450  
     

 

 

 
    Total Capital Goods        346,682,687  
     

 

 

 
          Commercial & Professional Services — 0.7%  
    2,476,599     Experian PLC     85,526,146  
     

 

 

 
          Consumer Discretionary Distribution &
Retail — 5.2%
 
    1,794,119     Amazon.com, Inc. *     485,560,366  
    1,114,336     TJX Cos., Inc.     172,443,496  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail     658,003,862  
     

 

 

 
          Consumer Durables & Apparel — 1.2%  
    265,729     LVMH Moet Hennessy Louis Vuitton SE     145,339,929  
     

 

 

 
          Consumer Services — 3.5%  
    1,457,650     Amadeus IT Group SA     92,986,258  
    7,288,028     Compass Group PLC     233,729,048  
    368,039     Hilton Worldwide Holdings, Inc.     120,591,659  
     

 

 

 
    Total Consumer Services     447,306,965  
     

 

 

 
          Financial Services — 5.0%  
    441,976     Mastercard, Inc. – Class A     218,327,305  
    781,093     Tradeweb Markets, Inc. – Class A     78,304,573  
    1,004,386     Visa, Inc. – Class A     327,791,415  
     

 

 

 
    Total Financial Services     624,423,293  
     

 

 

 
          Food, Beverage & Tobacco — 3.8%  
    2,431,329     Coca-Cola Co.     192,099,304  
    1,206,235     Constellation Brands, Inc. – Class A     167,449,543  
    5,561,834     Diageo PLC     114,009,515  
     

 

 

 
    Total Food, Beverage & Tobacco     473,558,362  
     

 

 

 
          Health Care Equipment & Services — 10.0%  
    2,618,724     Abbott Laboratories     224,162,774  
    736,049     Cigna Group     204,179,993  
    555,502     Elevance Health, Inc.     218,417,831  
    372,228     Intuitive Surgical, Inc. *     158,062,898  
    568,962     Quest Diagnostics, Inc.     110,890,694  
    926,239     UnitedHealth Group, Inc.     352,257,954  
     

 

 

 
    Total Health Care Equipment & Services       1,267,972,144  
     

 

 

 
          Household & Personal Products — 1.5%  
    3,367,245     Unilever PLC     189,749,459  
     

 

 

 

Shares
    Description   Value ($)  
          Media & Entertainment — 11.5%  
    1,836,083     Alphabet, Inc. – Class A     698,335,808  
    876,664     Meta Platforms, Inc. – Class A     554,498,747  
    2,277,230     Netflix, Inc. *     195,887,324  
     

 

 

 
    Total Media & Entertainment      1,448,721,879  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 12.0%
 
    220,220     Eli Lilly & Co.     243,343,100  
    42,985,766     Haleon PLC     194,055,937  
    2,119,707     Johnson & Johnson     477,633,578  
    1,926,143     Merck & Co., Inc.     228,671,697  
    762,123     Thermo Fisher Scientific, Inc.     375,353,199  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     1,519,057,511  
     

 

 

 
          Semiconductors & Semiconductor
Equipment — 19.0%
 
    948,984     Broadcom, Inc.     423,977,582  
    122,504     KLA Corp.     235,417,162  
    1,922,270     Lam Research Corp.     611,627,868  
    9,108,608     Taiwan Semiconductor Manufacturing Co. Ltd.     674,813,734  
    1,490,013     Texas Instruments, Inc.     455,467,174  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment       2,401,303,520  
     

 

 

 
          Software & Services — 15.0%  
    1,110,786     Accenture PLC – Class A     207,794,737  
    45,612     Constellation Software, Inc.     93,392,030  
    4,153,342     Dassault Systemes SE     91,121,879  
    1,973,648     Microsoft Corp.     888,615,275  
    1,291,136     Salesforce, Inc.     246,736,090  
    1,288,153     SAP SE     233,019,652  
    275,615     Synopsys, Inc. *     131,088,006  
     

 

 

 
    Total Software & Services     1,891,767,669  
     

 

 

 
          Technology Hardware & Equipment — 5.0%  
    2,027,865     Apple, Inc.     632,815,552  
     

 

 

 
          Transportation — 1.3%  
    2,243,194     Uber Technologies, Inc. *     157,920,858  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $6,880,582,476)
    12,593,498,309  
     

 

 

 
          INVESTMENT FUNDS — 0.5%  
          United States — 0.5%  
    14,130,928     GMO U.S. Treasury Fund, Class VI (a)     70,795,952  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $70,791,941)
    70,795,952  
     

 

 

 
 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
       911,356     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     911,356  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $911,356)
    911,356  
     

 

 

 
    TOTAL INVESTMENTS — 100.3%
(Cost $6,952,285,773)
    12,665,205,617  
    Other Assets and Liabilities (net) — (0.3)%     (44,119,729
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $12,621,085,888  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 


GMO Resource Transition Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    COMMON STOCKS — 88.0%

 

          Australia — 3.0%  
    100,941     BHP Group Ltd.     4,493,728  
    170,658     Paladin Energy Ltd. *     1,396,706  
     

 

 

 
    Total Australia        5,890,434  
     

 

 

 
          Brazil — 6.5%  
    1,448,976     Klabin SA     4,788,223  
    447,900     Sao Martinho SA     1,507,636  
    449,200     SLC Agricola SA     1,380,222  
    410,000     Suzano SA     3,406,270  
    96,300     Vale SA     1,581,026  
     

 

 

 
    Total Brazil     12,663,377  
     

 

 

 
          Canada — 11.8%  
    273,200     Anaergia, Inc. *     578,641  
    482,300     Capstone Copper Corp. *     5,251,023  
    35,600     Enerflex Ltd.     890,355  
    181,900     First Quantum Minerals Ltd. *     5,599,562  
    290,754     Greenlane Renewables, Inc. *     47,452  
    378,300     Ivanhoe Mines Ltd. – Class A * (a)     3,350,410  
    531,300     Largo, Inc. * (a)     500,990  
    520,000     NexGen Energy Ltd. * (a)     6,000,943  
    5,900     Precision Drilling Corp. *     527,155  
     

 

 

 
    Total Canada     22,746,531  
     

 

 

 
          China — 1.8%  
    344,900     Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. – Class A     1,482,830  
    864,000     MMG Ltd. *     973,925  
    236,869     Western Mining Co. Ltd. – Class A     1,071,004  
     

 

 

 
    Total China     3,527,759  
     

 

 

 
          Denmark — 1.5%  
    104,515     Vestas Wind Systems AS     2,932,466  
     

 

 

 
          Finland — 3.8%  
    50,059     Kemira OYJ     1,040,210  
    190,567     Neste OYJ     6,265,845  
     

 

 

 
    Total Finland     7,306,055  
     

 

 

 
          France — 1.4%  
    69,523     Veolia Environnement SA     2,804,956  
     

 

 

 
          Italy — 1.0%  
    213,079     Saipem SpA (a)     1,023,962  
    29,222     Tenaris SA     890,159  
     

 

 

 
    Total Italy     1,914,121  
     

 

 

 
          Japan — 0.5%  
    29,800     Mitsubishi Materials Corp.     965,281  
     

 

 

 

Shares
    Description   Value ($)  
          Netherlands — 0.4%  
    17,856     SBM Offshore NV     680,569  
     

 

 

 
          Norway — 3.4%  
      121,676     Aker Solutions ASA     560,936  
    132,389     Austevoll Seafood ASA     1,270,548  
    49,168     Bakkafrost P     2,434,429  
    88,780     Cadeler AS *     572,162  
    76,047     DOF Group ASA     982,499  
    42,050     TGS ASA     686,853  
     

 

 

 
    Total Norway         6,507,427  
     

 

 

 
          South Africa — 0.7%  
    190,919     Sibanye Stillwater Ltd.     570,920  
    9,055     Valterra Platinum Ltd.     747,706  
     

 

 

 
    Total South Africa     1,318,626  
     

 

 

 
          South Korea — 0.3%  
    21,370     CS Wind Corp.     673,951  
     

 

 

 
          United Kingdom — 9.3%  
    129,000     Anglo American PLC     6,903,737  
    879,693     Glencore PLC *     6,690,410  
    41,025     Rio Tinto PLC     4,357,322  
     

 

 

 
    Total United Kingdom     17,951,469  
     

 

 

 
          United States — 42.6%  
    11,700     Advanced Drainage Systems, Inc.     1,628,172  
    106,319     Aemetis, Inc. *     271,113  
    38,200     AGCO Corp.     4,289,096  
    60,700     Albemarle Corp.     10,708,694  
    23,600     Alcoa Corp.     1,832,304  
    122,290     Ameresco, Inc. – Class A *     4,399,994  
    776,545     Array Technologies, Inc. *     7,051,029  
    573,320     Clean Energy Fuels Corp. *     1,169,573  
    131,947     CNH Industrial NV     1,347,179  
    35,600     Corteva, Inc.     2,786,768  
    205,000     Darling Ingredients, Inc. *     12,115,500  
    2,480     Deere & Co.     1,344,606  
    5,900     First Solar, Inc. *     1,810,061  
    52,000     Freeport-McMoRan, Inc.     3,416,920  
    294,000     Green Plains, Inc. *     4,606,980  
    16,300     Halliburton Co.     633,255  
    15,900     Nextpower, Inc. – Class A *     2,486,760  
    16,800     Noble Corp. PLC     780,864  
    30,000     NOV, Inc.     598,800  
    94,603     SolarEdge Technologies, Inc. *     7,222,939  
    513,215     Sunrun, Inc. *     8,580,955  
    2,280     Valmont Industries, Inc.     1,185,167  
    10,000     Weatherford International PLC     1,036,400  
 


GMO Resource Transition Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          United States — continued  
    49,700     Weyerhaeuser Co. – (REIT)     1,218,147  
     

 

 

 
    Total United States     82,521,276  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $172,016,540)
    170,404,298  
     

 

 

 
          PREFERRED STOCKS (b) — 8.9%  
          Brazil — 4.1%  
    1,740,265     Bradespar SA     8,020,767  
     

 

 

 
          Chile — 4.8%  
    108,100     Sociedad Quimica y Minera de Chile SA Sponsored ADR     9,282,547  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $18,487,951)
    17,303,314  
     

 

 

 
          INVESTMENT FUNDS — 2.8%  
          United States — 2.8%  
    1,086,214     GMO U.S. Treasury Fund, Class VI (c) (d)     5,441,934  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $5,441,991)
    5,441,934  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.3%  
          Money Market Funds — 0.3%  
    535,710     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (e)     535,710  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $535,710)
    535,710  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $196,482,192)
    193,685,256  
    Other Assets and Liabilities (net) — (0.0)%     (78,643
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $193,606,613  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(c)

Affiliated company.

 

(d)

All or a portion of this security is purchased with collateral from securities loaned.

 

(e)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ADR - American Depositary Receipt

REIT - Real Estate Investment Trust

 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    COMMON STOCKS — 90.9%

 

          Argentina — 6.6%  
    689,108     Vista Energy SAB de CV ADR *     51,131,813  
    668,667     YPF SA Sponsored ADR * (a)     35,446,038  
     

 

 

 
    Total Argentina         86,577,851  
     

 

 

 
          Australia — 2.2%  
    426,292     BHP Group Ltd.     18,977,820  
    735,000     Clean TeQ Water Ltd. * (a)     242,438  
    720,722     Paladin Energy Ltd. *     5,898,562  
    519,793     Santos Ltd.     2,916,924  
     

 

 

 
    Total Australia     28,035,744  
     

 

 

 
          Brazil — 4.6%  
     6,123,609     Klabin SA     20,235,811  
    480,570     PRIO SA *     5,930,258  
    1,892,882     Sao Martinho SA     6,371,458  
    1,898,400     SLC Agricola SA     5,833,067  
    1,732,652     Suzano SA     14,394,831  
    397,980     Vale SA     6,533,924  
     

 

 

 
    Total Brazil     59,299,349  
     

 

 

 
          Canada — 10.8%  
    654,900     Anaergia, Inc. *     1,387,087  
    1,638,300     Baytex Energy Corp.     8,011,287  
    2,038,400     Capstone Copper Corp. *     22,193,003  
    269,100     Cenovus Energy, Inc.     7,419,087  
    155,700     Enerflex Ltd.     3,894,053  
    768,977     First Quantum Minerals Ltd. *     23,671,986  
    696,749     Greenlane Renewables, Inc. *     113,712  
    1,618,182     Ivanhoe Mines Ltd. – Class A * (a)     14,331,413  
    1,273,509     Largo, Inc. *     1,200,857  
    2,196,039     NexGen Energy Ltd. * (a)     25,342,894  
    406,600     Parex Resources, Inc.     7,092,975  
    23,900     Precision Drilling Corp. *     2,135,424  
    121,500     Suncor Energy, Inc. (a)     7,594,136  
    832,500     Tamarack Valley Energy Ltd.     7,705,146  
    760,145     Whitecap Resources, Inc.     8,733,686  
     

 

 

 
    Total Canada     140,826,746  
     

 

 

 
          China — 1.5%  
    1,475,400     Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. – Class A     6,343,193  
    3,708,000     MMG Ltd. *     4,179,761  
    993,445     Western Mining Co. Ltd. – Class A     4,491,867  
    2,670,000     Yankuang Energy Group Co. Ltd. – Class H     4,972,061  
     

 

 

 
    Total China     19,986,882  
     

 

 

 
          Denmark — 0.9%  
    437,380     Vestas Wind Systems AS     12,271,941  
     

 

 

 

Shares
    Description   Value ($)  
          Finland — 2.3%      
    214,150     Kemira OYJ     4,449,971  
    794,783     Neste OYJ     26,132,472  
     

 

 

 
    Total Finland         30,582,443  
     

 

 

 
          France — 0.9%  
    297,418     Veolia Environnement SA     11,999,546  
     

 

 

 
          Hong Kong — 0.2%  
    40,806,000     United Energy Group Ltd. (a)     2,400,904  
     

 

 

 
          Italy — 0.6%  
    851,683     Saipem SpA (a)     4,092,807  
    113,248     Tenaris SA     3,449,755  
     

 

 

 
    Total Italy     7,542,562  
     

 

 

 
          Japan — 0.6%  
    330,200     Japan Petroleum Exploration Co. Ltd.     3,710,994  
    125,700     Mitsubishi Materials Corp.     4,071,673  
     

 

 

 
    Total Japan     7,782,667  
     

 

 

 
          Netherlands — 0.2%  
    67,853     SBM Offshore NV     2,586,170  
     

 

 

 
          Norway — 3.2%  
    186,472     Aker BP ASA     6,708,442  
    520,773     Aker Solutions ASA     2,400,806  
    566,357     Austevoll Seafood ASA     5,435,375  
    210,340     Bakkafrost P     10,414,454  
    61,659     Bluenord ASA     3,489,001  
    375,198     Cadeler AS *     2,418,044  
    325,329     DOF Group ASA     4,203,129  
    158,684     TGS ASA     2,591,976  
    916,816     Var Energi ASA     4,513,727  
     

 

 

 
    Total Norway     42,174,954  
     

 

 

 
          Pakistan — 0.3%  
    2,955,862     Oil & Gas Development Co. Ltd.     3,510,378  
     

 

 

 
          Russia — 0.0%  
    3,574,704     Gazprom Neft PJSC * (b) (c)      
    14,145,410     Gazprom PJSC * (b) (c)      
    23,291,700     GMK Norilskiy Nickel PAO * (b) (c)      
    248,399     LUKOIL PJSC * (b) (c)      
    338,098     PhosAgro PJSC * (b) (c)      
    6,533     PhosAgro PJSC GDR * (b) (c)      
    3,476,399     Tatneft PJSC * (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
          Singapore — 0.0%  
    2,725,600     Ezra Holdings Ltd. * (a) (b)     3  
     

 

 

 
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          South Africa — 0.9%      
    412,642     Exxaro Resources Ltd.     5,511,991  
    817,132     Sibanye Stillwater Ltd.     2,443,532  
    40,666     Valterra Platinum Ltd.     3,357,949  
     

 

 

 
    Total South Africa         11,313,472  
     

 

 

 
          South Korea — 0.2%  
    91,462     CS Wind Corp.     2,884,458  
     

 

 

 
          Thailand — 0.3%  
    21,432,900     Banpu PCL (Registered)     3,762,475  
     

 

 

 
          Ukraine — 0.2%  
    501,341     Kernel Holding SA *     2,664,892  
     

 

 

 
          United Kingdom — 15.0%  
    512,624     Anglo American PLC     27,434,273  
    6,378,926     BP PLC     45,057,318  
    3,483,651     Glencore PLC *     26,494,529  
    10,789,900     Harbour Energy PLC     38,206,051  
    1,221,000     Lifezone Metals Ltd. *     6,410,250  
    170,157     Rio Tinto PLC     18,072,610  
    789,002     Shell PLC     33,339,556  
     

 

 

 
    Total United Kingdom     195,014,587  
     

 

 

 
          United States — 39.4%  
    50,187     Advanced Drainage Systems, Inc.     6,984,023  
    454,920     Aemetis, Inc. *     1,160,046  
    161,296     AGCO Corp.     18,110,315  
    251,699     Albemarle Corp.     44,404,738  
    99,500     Alcoa Corp.     7,725,180  
    555,885     Ameresco, Inc. – Class A *     20,000,742  
    181,500     APA Corp.     6,612,045  
    3,279,540     Array Technologies, Inc. *     29,778,223  
    571,560     California Resources Corp.     33,887,792  
    18,600     Chord Energy Corp.     2,452,782  
    2,452,688     Clean Energy Fuels Corp. *     5,003,484  
    564,740     CNH Industrial NV     5,765,995  
    285,891     ConocoPhillips     32,585,856  
    152,507     Corteva, Inc.     11,938,248  
    234,433     Crescent Energy Co. – Class A     2,710,046  
    838,378     Darling Ingredients, Inc. *     49,548,140  
    10,640     Deere & Co.     5,768,795  
    48,100     Devon Energy Corp.     2,139,969  
    241,300     EQT Corp.     13,254,609  
    139,600     Expand Energy Corp.     12,980,008  
    25,400     First Solar, Inc. *     7,792,466  
    221,508     Freeport-McMoRan, Inc.     14,555,291  
    1,241,485     Green Plains, Inc. *     19,454,070  
    74,650     Gulfport Energy Corp. *     12,585,244  
    71,900     Halliburton Co.     2,793,315  
    8,604,569     Kosmos Energy Ltd. *     24,092,793  
    40,700     Matador Resources Co.     2,181,520  
    68,665     Nextpower, Inc. – Class A *     10,739,206  
    58,800     Noble Corp. PLC     2,733,024  

Shares
    Description   Value ($)  
          United States — continued  
    131,800     NOV, Inc.     2,630,728  
    70,600     Ovintiv, Inc.     3,956,424  
    142,200     Peabody Energy Corp.     3,846,510  
    333,700     Permian Resources Corp. – Class A     6,417,051  
    417,705     SM Energy Co.     12,827,721  
    312,741     SolarEdge Technologies, Inc. *     23,877,775  
    2,167,588     Sunrun, Inc. *     36,242,071  
    9,600     Valmont Industries, Inc.     4,990,176  
    42,900     Weatherford International PLC     4,446,156  
    212,700     Weyerhaeuser Co. – (REIT)     5,213,277  
     

 

 

 
    Total United States     514,185,854  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,130,895,561)
     1,185,403,878  
     

 

 

 
          PREFERRED STOCKS (d) — 8.3%  
          Brazil — 5.4%  
     7,227,772     Bradespar SA     33,312,327  
    4,416,847     Petroleo Brasileiro SA - Petrobras     36,773,860  
     

 

 

 
    Total Brazil     70,086,187  
     

 

 

 
          Chile — 2.9%  
    447,222     Sociedad Quimica y Minera de Chile SA Sponsored ADR     38,402,953  
     

 

 

 
          Russia — 0.0%  
    20,237,584     Surgutneftegas PAO * (b) (c)      
    7,494,797     Tatneft PJSC * (b) (c)      
     

 

 

 
    Total Russia      
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $132,633,975)
    108,489,140  
     

 

 

 
          INVESTMENT FUNDS — 0.4%  
          United States — 0.4%  
    1,013,159     GMO U.S. Treasury Fund, Class VI (e)     5,075,930  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $5,075,930)
    5,075,930  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    833,764     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (f)     833,764  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $833,764)
    833,764  
     

 

 

 
    TOTAL INVESTMENTS — 99.7%
(Cost $1,269,439,230)
    1,299,802,712  
    Other Assets and Liabilities (net) — 0.3%     3,701,977  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,303,504,689  
     

 

 

 
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Gazprom Neft PJSC    09/18/15    $ 17,308,985      0.0%   $  
Gazprom PJSC    09/21/21      65,108,289      0.0%      
GMK Norilskiy Nickel PAO    04/11/18      66,379,494      0.0%      
LUKOIL PJSC    10/15/14      14,600,074      0.0%      
PhosAgro PJSC    08/26/16      14,566,965      0.0%      
PhosAgro PJSC GDR    08/26/16      93,496      0.0%      
Surgutneftegas PAO    08/11/16      10,546,926      0.0%      
Tatneft PJSC    08/12/20      24,585,036      0.0%      
Tatneft PJSC    09/28/15      47,831,491      0.0%      
          

 

 

 
           $  
          

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

The security is restricted as to resale.

 

(d)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(e)

Affiliated company.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

 


GMO Small Cap Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    COMMON STOCKS — 97.2%

 

          Automobiles & Components — 1.1%  
      172,243     XPEL, Inc. *     7,874,950  
     

 

 

 
          Capital Goods — 14.3%  
    191,522     AAON, Inc.     26,851,384  
    94,633     Allegion PLC     12,308,914  
    7,463     Arxis, Inc. – Class A *     335,313  
    87,923     Builders FirstSource, Inc. *     6,705,008  
    59,017     Kadant, Inc.     18,837,046  
    8,766     Preformed Line Products Co.     3,241,842  
    18,980     RBC Bearings, Inc. *     10,855,801  
    513,828     Trex Co., Inc. *     21,272,479  
     

 

 

 
    Total Capital Goods      100,407,787  
     

 

 

 
          Commercial & Professional Services — 9.2%  
    779,012     ACV Auctions, Inc. – Class A *     5,118,109  
    191,774     Booz Allen Hamilton Holding Corp.     15,184,665  
    85,887     Clean Harbors, Inc. *     24,136,824  
    130,712     FTI Consulting, Inc. *     20,022,464  
     

 

 

 
    Total Commercial & Professional Services      64,462,062  
     

 

 

 
          Consumer Discretionary Distribution &
Retail — 3.2%
 
    279,524     Ollie’s Bargain Outlet Holdings, Inc. *     22,817,544  
     

 

 

 
          Consumer Durables & Apparel — 2.6%  
    143,092     Acushnet Holdings Corp.     12,703,708  
    200,559     Malibu Boats, Inc. – Class A *     5,507,350  
     

 

 

 
    Total Consumer Durables & Apparel     18,211,058  
     

 

 

 
          Consumer Services — 4.8%  
    632,376     Aramark     33,756,231  
     

 

 

 
          Consumer Staples Distribution & Retail — 4.7%  
    195,228     PriceSmart, Inc.     33,186,808  
     

 

 

 
          Energy — 2.3%  
    283,241     Cactus, Inc. – Class A     16,439,308  
     

 

 

 
          Financial Services — 9.7%  
    270,135     Cohen & Steers, Inc.     18,855,423  
    126,010     Houlihan Lokey, Inc.     17,850,577  
    143,590     Jack Henry & Associates, Inc.     19,574,189  
    236,201     StepStone Group, Inc. – Class A     11,647,071  
     

 

 

 
    Total Financial Services     67,927,260  
     

 

 

 
          Food, Beverage & Tobacco — 5.8%  
    272,799     Celsius Holdings, Inc. *     9,076,023  
    89,588     Coca-Cola Consolidated, Inc.     15,522,017  
    146,564     Marzetti Co.     16,406,374  
     

 

 

 
    Total Food, Beverage & Tobacco     41,004,414  
     

 

 

 

Shares
    Description   Value ($)  
          Health Care Equipment & Services — 4.0%  
    49,594     CorVel Corp. *     3,062,430  
      303,757     Globus Medical, Inc. – Class A *     24,871,623  
     

 

 

 
    Total Health Care Equipment & Services     27,934,053  
     

 

 

 
          Materials — 7.5%  
    193,958     AptarGroup, Inc.     22,470,034  
    160,982     Balchem Corp.     25,230,709  
    42,099     U.S. Lime & Minerals, Inc.     4,798,865  
     

 

 

 
    Total Materials     52,499,608  
     

 

 

 
          Media & Entertainment — 3.2%  
    300,616     New York Times Co. – Class A     22,609,329  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 3.4%
 
    212,708     Bruker Corp.     12,526,374  
    25,258     Medpace Holdings, Inc. *     11,293,104  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences       23,819,478  
     

 

 

 
          Semiconductors & Semiconductor
Equipment — 14.4%
 
    90,085     Axcelis Technologies, Inc. *     13,549,685  
    180,237     Cirrus Logic, Inc. *     30,631,278  
    51,820     Entegris, Inc.     7,192,098  
    86,918     Onto Innovation, Inc. *     22,445,704  
    114,615     Universal Display Corp.     10,558,334  
    287,284     Veeco Instruments, Inc. *     16,559,050  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     100,936,149  
     

 

 

 
          Software & Services — 2.4%  
    304,915     Dolby Laboratories, Inc. – Class A     17,017,306  
     

 

 

 
          Technology Hardware & Equipment — 3.6%  
    153,935     Badger Meter, Inc.     19,072,546  
    71,148     Itron, Inc. *     5,868,287  
     

 

 

 
    Total Technology Hardware & Equipment     24,940,833  
     

 

 

 
          Transportation — 1.0%  
    33,388     Landstar System, Inc.     6,907,977  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $649,030,810)
    682,752,155  
     

 

 

 
          INVESTMENT FUNDS — 2.6%  
          United States — 2.6%  
    3,583,965     GMO U.S. Treasury Fund, Class VI (a)     17,955,663  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $17,955,663)
    17,955,663  
     

 

 

 
 


GMO Small Cap Quality Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.3%  
          Money Market Funds — 0.3%      
    1,773,724     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     1,773,724  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,773,724)
    1,773,724  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $668,760,197)
    702,481,542  
    Other Assets and Liabilities (net) — (0.1)%     (450,192
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $702,031,350  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 99.8%

 

          Automobiles & Components — 6.6%  
    40,035     BorgWarner, Inc.     2,875,314  
    346,905     Ford Motor Co.     6,050,023  
    8,509     Garrett Motion, Inc.     278,755  
    57,092     General Motors Co.     4,752,338  
    3,053     Gentex Corp.     73,761  
    3,077     Lear Corp.     440,380  
    2,059     Phinia, Inc.     159,078  
     

 

 

 
    Total Automobiles & Components       14,629,649  
     

 

 

 
          Banks — 4.6%  
    36,564     Bank of America Corp.     1,886,702  
    1,900     Capital City Bank Group, Inc.     86,716  
    36,926     Citigroup, Inc.     4,648,983  
    1,500     First Financial Corp.     103,770  
    5,176     JPMorgan Chase & Co.     1,549,229  
    5,128     Truist Financial Corp.     247,221  
    28,713     U.S. Bancorp     1,574,908  
     

 

 

 
    Total Banks     10,097,529  
     

 

 

 
          Capital Goods — 4.4%  
    216     Allison Transmission Holdings, Inc.     24,522  
    2,651     AMETEK, Inc.     598,728  
    2,726     Carrier Global Corp.     174,110  
    2,451     Caterpillar, Inc.     2,146,757  
    2,963     Cummins, Inc.     1,915,965  
    611     Dover Corp.     129,141  
    219     EMCOR Group, Inc.     181,074  
    1,112     EnerSys     253,503  
    2,622     Ferguson Enterprises, Inc.     592,493  
    4,994     Honeywell International, Inc.     1,187,873  
    11,786     Innovative Solutions & Support, Inc. * (a)     203,191  
    8,707     Kennametal, Inc.     285,590  
    8,420     Mueller Industries, Inc.     1,082,812  
    122     Northrop Grumman Corp.     68,769  
    196     Parker-Hannifin Corp.     165,547  
    2,413     Terex Corp.     140,388  
    2,456     Toro Co.     220,745  
    882     Westinghouse Air Brake Technologies Corp.     230,343  
     

 

 

 
    Total Capital Goods     9,601,551  
     

 

 

 
          Commercial & Professional Services — 0.5%  
    1,470     Cimpress PLC *     144,883  
    8,288     Deluxe Corp.     201,316  
    4,481     IBEX Holdings Ltd. *     141,779  
    1,799     ICF International, Inc.     123,843  
    1,239     Leidos Holdings, Inc.     158,344  
    42,682     Resources Connection, Inc. (a)     192,923  
    3,000     TrueBlue, Inc. *     18,630  
    5,559     Upwork, Inc. *     49,030  
     

 

 

 
    Total Commercial & Professional Services     1,030,748  
     

 

 

 
    
Shares
    Description   Value ($)  
          Consumer Discretionary Distribution & Retail — 4.0%  
    21,396     Amazon.com, Inc. *     5,790,614  
     21,252     eBay, Inc.     2,322,206  
    16,783     Macy’s, Inc.     365,198  
    4,554     Urban Outfitters, Inc. *     330,848  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail        8,808,866  
     

 

 

 
          Consumer Durables & Apparel — 3.1%  
    3,033     Carter’s, Inc.     117,043  
    3,190     Crocs, Inc. * (a)     378,557  
    7,939     DR Horton, Inc.     1,167,748  
    4,998     Ethan Allen Interiors, Inc.     103,059  
    3,894     Garmin Ltd.     910,885  
    4,381     G-III Apparel Group Ltd. (a)     141,638  
    4,262     KB Home     208,241  
    7,265     Lennar Corp. – Class A     652,252  
    7,624     Levi Strauss & Co. – Class A (a)     176,877  
    7,184     Lululemon Athletica, Inc. *     942,397  
    1,084     M/I Homes, Inc. *     142,676  
    13,007     Mattel, Inc. *     194,325  
    3,704     PulteGroup, Inc.     437,739  
    1,858     Ralph Lauren Corp.     676,126  
    878     SharkNinja, Inc. * (a)     107,019  
    3,423     Toll Brothers, Inc.     474,222  
     

 

 

 
    Total Consumer Durables & Apparel     6,830,804  
     

 

 

 
          Consumer Services — 0.9%  
    1,275     Booking Holdings, Inc.     213,473  
    2,508     Covista, Inc. *     295,443  
    16,153     El Pollo Loco Holdings, Inc. *     240,195  
    7,390     H&R Block, Inc.     284,441  
    19,707     Perdoceo Education Corp.     638,113  
    3,898     Stride, Inc. *     360,097  
     

 

 

 
    Total Consumer Services     2,031,762  
     

 

 

 
          Consumer Staples Distribution & Retail — 1.8%  
    4,021     Dollar General Corp.     444,763  
    6,718     Kroger Co.     417,523  
    22,084     Target Corp.     2,806,214  
    5,685     United Natural Foods, Inc. *     291,925  
     

 

 

 
    Total Consumer Staples Distribution & Retail     3,960,425  
     

 

 

 
          Energy — 2.0%  
    1,151     ConocoPhillips     131,191  
    14,106     EOG Resources, Inc.     1,881,458  
    4,325     Halliburton Co.     168,026  
    11,992     Kinder Morgan, Inc.     372,711  
    2,059     Marathon Petroleum Corp.     512,218  
    5,339     Phillips 66     939,023  
    3,956     SM Energy Co.     121,489  
    990     Valaris Ltd. *     91,704  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Energy — continued  
    9,885     Venture Global, Inc. – Class A     119,016  
     

 

 

 
    Total Energy     4,336,836  
     

 

 

 
          Equity Real Estate Investment Trusts (REITs) — 0.1%  
      6,016     Alpine Income Property Trust, Inc. – (REIT)     115,928  
     

 

 

 
          Financial Services — 5.5%      
    1,474     American Express Co.     466,477  
    4,043     Bank of New York Mellon Corp.     563,715  
    1,850     Bread Financial Holdings, Inc.     164,779  
    9,260     Capital One Financial Corp.     1,740,232  
    2,793     Enova International, Inc. *     451,097  
    1,641     Goldman Sachs Group, Inc.     1,682,944  
    3,675     Invesco Ltd.     104,590  
    5,292     Jackson Financial, Inc. – Class A     545,658  
    16,440     MGIC Investment Corp.     414,617  
    3,541     Morgan Stanley     736,528  
    5,867     PROG Holdings, Inc.     215,730  
    14,758     Radian Group, Inc.     503,986  
    18,870     State Street Corp.     2,936,927  
    21,852     Synchrony Financial     1,561,107  
     

 

 

 
    Total Financial Services       12,088,387  
     

 

 

 
          Food, Beverage & Tobacco — 5.1%  
    28,277     Altria Group, Inc.     1,967,514  
    6,884     Archer-Daniels-Midland Co.     549,206  
    5,229     Bunge Global SA     644,736  
    3,329     Cal-Maine Foods, Inc.     248,743  
    16,678     Coca-Cola Co.     1,317,729  
    2,532     Coca-Cola Consolidated, Inc.     438,694  
    40,305     General Mills, Inc.     1,362,712  
    35,077     Keurig Dr. Pepper, Inc.     1,053,362  
    20,145     Monster Beverage Corp. *     1,774,372  
    10,523     PepsiCo, Inc.     1,517,311  
    25     Seaboard Corp.     127,048  
    5,597     Smithfield Foods, Inc.     144,570  
    3,307     Universal Corp.     171,534  
     

 

 

 
    Total Food, Beverage & Tobacco     11,317,531  
     

 

 

 
          Health Care Equipment & Services — 1.1%  
    1,182     Cigna Group     327,887  
    19,469     CVS Health Corp.     1,771,289  
    567     Elevance Health, Inc.     222,939  
     

 

 

 
    Total Health Care Equipment & Services     2,322,115  
     

 

 

 
          Household & Personal Products — 1.2%  
    97     Colgate-Palmolive Co.     8,743  
    10,898     Kimberly-Clark Corp.     1,063,645  
    11,215     Procter & Gamble Co.     1,610,025  
     

 

 

 
    Total Household & Personal Products     2,682,413  
     

 

 

 
    
Shares
    Description   Value ($)  
          Insurance — 2.0%  
    8,593     Allstate Corp.     1,770,932  
    8,840     Hartford Insurance Group, Inc.     1,123,829  
      5,454     Heritage Insurance Holdings, Inc. *     118,243  
    4,462     Travelers Cos., Inc.     1,302,413  
     

 

 

 
    Total Insurance     4,315,417  
     

 

 

 
          Materials — 2.0%  
    3,318     CF Industries Holdings, Inc.     372,777  
    694     NewMarket Corp.     536,865  
    13,612     Nucor Corp.     3,403,000  
    581     Steel Dynamics, Inc.     151,147  
     

 

 

 
    Total Materials     4,463,789  
     

 

 

 
          Media & Entertainment — 6.9%  
    5,514     Alphabet, Inc. – Class A     2,097,195  
    24,906     Alphabet, Inc. – Class C     9,375,365  
    5,708     Meta Platforms, Inc. – Class A     3,610,367  
    3,317     Yelp, Inc. *     75,628  
     

 

 

 
    Total Media & Entertainment       15,158,555  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 4.8%
 
    35,659     Altimmune, Inc. * (a)     108,760  
    12,033     Bristol-Myers Squibb Co.     688,047  
    13,380     Johnson & Johnson     3,014,915  
    27,238     Merck & Co., Inc.     3,233,695  
    70,394     Pfizer, Inc.     1,842,915  
    2,625     Regeneron Pharmaceuticals, Inc.     1,613,798  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     10,502,130  
     

 

 

 
          Semiconductors & Semiconductor
Equipment — 20.8%
 
    5,019     ACM Research, Inc. – Class A *     434,445  
    10,771     Applied Materials, Inc.     4,847,596  
    6,873     Axcelis Technologies, Inc. *     1,033,768  
    8,011     Broadcom, Inc.     3,579,074  
    3,851     Cirrus Logic, Inc. *     654,477  
    6,856     Everspin Technologies, Inc. *     180,861  
    998     KLA Corp.     1,917,867  
    14,570     Lam Research Corp.     4,635,883  
    85,720     NVIDIA Corp.     18,098,921  
    1,548     NXP Semiconductors NV     497,450  
    3,872     Photronics, Inc. *     125,259  
    18,944     Qnity Electronics, Inc.     2,955,264  
    22,797     QUALCOMM, Inc.     5,722,503  
    14,845     Skyworks Solutions, Inc.     1,155,683  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     45,839,051  
     

 

 

 
          Software & Services — 4.7%  
    7,977     Accenture PLC – Class A     1,492,257  
    3,209     Adobe, Inc. *     831,805  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    

Shares /

Par Value†

    Description   Value ($)  
          Software & Services — continued  
     20,379     Cognizant Technology Solutions Corp. – Class A     1,136,231  
    15,470     Microsoft Corp.     6,965,213  
     

 

 

 
    Total Software & Services     10,425,506  
     

 

 

 
          Technology Hardware & Equipment — 13.3%  
    48,208     Apple, Inc.     15,043,788  
    1,698     Avnet, Inc.     147,607  
    61,354     Cisco Systems, Inc.     7,388,249  
    9,259     Dell Technologies, Inc. – Class C     3,897,206  
    38,826     Hewlett Packard Enterprise Co.     1,671,071  
    544     Keysight Technologies, Inc. *     184,052  
    11,684     Methode Electronics, Inc.     134,833  
    3,094     Ralliant Corp.     191,426  
    3,361     TE Connectivity PLC     717,271  
     

 

 

 
    Total Technology Hardware & Equipment     29,375,503  
     

 

 

 
          Telecommunication Services — 1.7%  
    76,174     Verizon Communications, Inc.     3,641,879  
     

 

 

 
          Transportation — 2.2%  
    3,743     FedEx Corp.     1,541,180  
    1,494     Matson, Inc.     270,862  
    28,982     United Parcel Service, Inc. – Class B     3,092,090  
     

 

 

 
    Total Transportation     4,904,132  
     

 

 

 
          Utilities — 0.5%  
    937     American Electric Power Co., Inc.     118,690  
    8,231     Edison International     575,676  
    7,024     Exelon Corp.     320,575  
    4,154     UGI Corp.     145,058  
     

 

 

 
    Total Utilities     1,159,999  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $172,344,351)
     219,640,505  
     

 

 

 
          DEBT OBLIGATIONS — 0.0%  
          U.S. Government — 0.0%  
    56,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 04/30/27 (b)     56,053  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $56,012)
    56,053  
     

 

 

 
          INVESTMENT FUNDS — 0.5%  
          United States — 0.5%  
    210,299     GMO U.S. Treasury Fund, Class VI (c) (d)     1,053,596  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $1,053,596)
    1,053,596  
     

 

 

 
    
Shares
    Description   Value ($)  
      SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%      
     98,750     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (e)     98,750  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $98,750)
    98,750  
     

 

 

 
    TOTAL INVESTMENTS — 100.3%
(Cost $173,552,709)
    220,848,904  
    Other Assets and Liabilities (net) — (0.3)%     (691,713
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 220,157,191  
     

 

 

 
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

   Expiration
Date
   Notional
Amount ($)
     Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys           
1   S&P 500 E-Mini    June 2026    $ 379,788      $ 43,433  
       

 

 

    

 

 

 
 
+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

Affiliated company.

 

(d)

All or a portion of this security is purchased with collateral from securities loaned.

 

(e)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

REIT - Real Estate Investment Trust

 


GMO U.S. Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 99.1%

 

          Automobiles & Components — 2.2%  
    5,701     Autoliv, Inc.     724,711  
    2,885     BorgWarner, Inc.     207,201  
    173,804     Ford Motor Co.     3,031,142  
    37,893     General Motors Co.     3,154,213  
     

 

 

 
    Total Automobiles & Components     7,117,267  
     

 

 

 
          Banks — 9.3%      
    134,922     Bank of America Corp.     6,961,975  
    32,999     Citigroup, Inc.     4,154,574  
    13,405     Fifth Third Bancorp     669,312  
    73,185     Huntington Bancshares, Inc.     1,197,307  
    18,347     JPMorgan Chase & Co.     5,491,441  
    7,270     M&T Bank Corp.     1,571,120  
    13,803     PNC Financial Services Group, Inc.     3,052,119  
    34,634     Truist Financial Corp.     1,669,705  
    65,160     U.S. Bancorp     3,574,026  
    23,995     Wells Fargo & Co.     1,860,572  
     

 

 

 
    Total Banks       30,202,151  
     

 

 

 
          Capital Goods — 1.5%      
    5,220     A.O. Smith Corp.     296,079  
    8,467     Carrier Global Corp.     540,787  
    19,035     Fortune Brands Innovations, Inc.     741,223  
    3,688     Northrop Grumman Corp.     2,078,852  
    1,579     Oshkosh Corp.     205,270  
    497     Snap-on, Inc.     184,491  
    3,385     Terex Corp.     196,939  
    2,158     Textron, Inc.     198,018  
    3,828     Timken Co.     489,908  
     

 

 

 
    Total Capital Goods     4,931,567  
     

 

 

 
          Commercial & Professional Services — 0.6%  
    3,050     Booz Allen Hamilton Holding Corp.     241,499  
    11,109     Genpact Ltd.     366,042  
    3,004     Leidos Holdings, Inc.     383,911  
    5,644     Paycom Software, Inc.     788,297  
     

 

 

 
    Total Commercial & Professional Services       1,779,749  
     

 

 

 
          Consumer Discretionary Distribution & Retail — 3.0%  
    4,679     Abercrombie & Fitch Co. – Class A *     361,312  
    19,075     Academy Sports & Outdoors, Inc.     1,007,160  
    2,799     AutoNation, Inc. *     525,428  
    16,758     Bath & Body Works, Inc.     335,495  
    7,633     Best Buy Co., Inc.     594,992  
    26,058     eBay, Inc.     2,847,358  
    19,171     Gap, Inc.     405,467  
    1,662     Group 1 Automotive, Inc.     525,757  
    27,540     LKQ Corp.     746,885  
    81,947     Macy’s, Inc.     1,783,167  
    
Shares
    Description   Value ($)  
          Consumer Discretionary Distribution &
Retail — continued
 
    7,535     Signet Jewelers Ltd.     658,484  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail     9,791,505  
     

 

 

 
          Consumer Durables & Apparel — 3.1%  
    11,455     Crocs, Inc. *     1,359,365  
    15,293     DR Horton, Inc.     2,249,447  
     21,077     KB Home     1,029,822  
    6,984     Lennar Corp. – Class A     627,024  
    1,714     M/I Homes, Inc. *     225,597  
    47,531     Mattel, Inc. *     710,113  
    11,615     Meritage Homes Corp.     757,763  
    11,918     NIKE, Inc. – Class B     550,969  
    8,934     PulteGroup, Inc.     1,055,820  
    9,379     PVH Corp.     874,873  
    1,402     Toll Brothers, Inc.     194,233  
    9,856     YETI Holdings, Inc. *     472,792  
     

 

 

 
    Total Consumer Durables & Apparel       10,107,818  
     

 

 

 
          Consumer Services — 1.0%      
    3,981     Covista, Inc. *     468,962  
    61,008     H&R Block, Inc.     2,348,198  
    15,461     Perdoceo Education Corp.     500,627  
     

 

 

 
    Total Consumer Services     3,317,787  
     

 

 

 
          Consumer Staples Distribution & Retail — 2.5%  
    51,846     Albertsons Cos., Inc. – Class A     809,316  
    5,377     Dollar General Corp.     594,750  
    30,095     Kroger Co.     1,870,404  
    2,825     Sysco Corp.     214,163  
    37,178     Target Corp.     4,724,209  
     

 

 

 
    Total Consumer Staples Distribution & Retail     8,212,842  
     

 

 

 
          Energy — 7.3%      
    57,110     APA Corp.     2,080,517  
    13,255     Chevron Corp.     2,418,507  
    24,678     ConocoPhillips     2,812,798  
    25,299     Devon Energy Corp.     1,125,553  
    30,980     EOG Resources, Inc.     4,132,112  
    3,114     Expand Energy Corp.     289,540  
    57,442     Exxon Mobil Corp.     8,344,025  
    28,186     Halliburton Co.     1,095,026  
    11,549     Kinder Morgan, Inc.     358,943  
    3,563     Marathon Petroleum Corp.     886,368  
    1,498     Phillips 66     263,468  
     

 

 

 
    Total Energy      23,806,857  
     

 

 

 
          Equity Real Estate Investment Trusts (REITs) — 0.3%  
    31,048     VICI Properties, Inc. – (REIT)     876,174  
     

 

 

 
 


GMO U.S. Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Financial Services — 6.6%      
    8,285     American Express Co.     2,621,954  
    1,356     Ameriprise Financial, Inc.     604,383  
    1,890     Berkshire Hathaway, Inc. – Class B *     896,767  
     22,925     Blue Owl Capital Corp.     258,135  
    7,040     Bread Financial Holdings, Inc.     627,053  
    18,174     Capital One Financial Corp.     3,415,440  
    7,173     Enova International, Inc. *     1,158,511  
    4,716     Federated Hermes, Inc.     264,379  
    21,189     Franklin Resources, Inc.     657,283  
    16,927     Janus Henderson Group PLC     875,295  
    39,245     MGIC Investment Corp.     989,759  
    52,272     PayPal Holdings, Inc.     2,339,172  
    43,384     Radian Group, Inc.     1,481,563  
    26,065     SLM Corp.     576,558  
    12,858     State Street Corp.     2,001,219  
    11,402     Synchrony Financial     814,559  
    10,223     T. Rowe Price Group, Inc.     1,068,610  
    107,028     Western Union Co.     870,138  
     

 

 

 
    Total Financial Services       21,520,778  
     

 

 

 
          Food, Beverage & Tobacco — 2.9%      
    22,059     Archer-Daniels-Midland Co.     1,759,867  
    16,495     Brown-Forman Corp. – Class B     424,251  
    29,597     General Mills, Inc.     1,000,675  
    4,650     Ingredion, Inc.     471,696  
    36,116     Keurig Dr. Pepper, Inc.     1,084,563  
    30,463     Mondelez International, Inc. – Class A     1,863,422  
    20,228     PepsiCo, Inc.     2,916,675  
     

 

 

 
    Total Food, Beverage & Tobacco     9,521,149  
     

 

 

 
          Health Care Equipment & Services — 6.3%  
    1,519     Becton Dickinson & Co.     223,475  
    17,850     Cigna Group     4,951,590  
    43,059     CVS Health Corp.     3,917,508  
    7,646     Elevance Health, Inc.     3,006,331  
    3,632     Humana, Inc.     1,109,285  
    3,408     ResMed, Inc.     649,463  
    17,190     UnitedHealth Group, Inc.     6,537,529  
     

 

 

 
    Total Health Care Equipment & Services     20,395,181  
     

 

 

 
          Household & Personal Products — 2.8%  
    12,384     Colgate-Palmolive Co.     1,116,170  
    78,012     Kenvue, Inc.     1,348,047  
    15,323     Kimberly-Clark Corp.     1,495,525  
    34,575     Procter & Gamble Co.     4,963,587  
     

 

 

 
    Total Household & Personal Products     8,923,329  
     

 

 

 
          Insurance — 6.9%      
    14,733     Aflac, Inc.     1,656,284  
    18,167     Allstate Corp.     3,744,037  
    18,801     American International Group, Inc.     1,395,598  
    
Shares
    Description   Value ($)  
          Insurance — continued      
    15,142     Arch Capital Group Ltd.*     1,352,786  
    7,102     Chubb Ltd.     2,213,907  
    20,913     Hartford Insurance Group, Inc.     2,658,670  
     20,469     MetLife, Inc.     1,692,582  
    22,086     Progressive Corp.     4,205,174  
    7,172     Prudential Financial, Inc.     721,790  
    8,156     Travelers Cos., Inc.     2,380,655  
    2,892     Unum Group     240,701  
     

 

 

 
    Total Insurance     22,262,184  
     

 

 

 
          Materials — 1.4%      
    6,894     Commercial Metals Co.     524,289  
    5,736     CRH PLC     624,019  
    4,247     Eastman Chemical Co.     322,220  
    8,984     Mosaic Co.     214,718  
    443     NewMarket Corp.     342,696  
    7,584     Nucor Corp.     1,896,000  
    6,685     PPG Industries, Inc.     755,271  
     

 

 

 
    Total Materials     4,679,213  
     

 

 

 
          Media & Entertainment — 7.2%      
    617     Alphabet, Inc. – Class A     234,670  
    11,623     Fox Corp. – Class A     742,942  
    43,277     Fox Corp. – Class B     2,483,667  
    78,858     Match Group, Inc.     2,849,140  
    26,452     Meta Platforms, Inc. – Class A     16,731,154  
    41,099     ZoomInfo Technologies, Inc. *     136,860  
     

 

 

 
    Total Media & Entertainment       23,178,433  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 9.7%
 
    91,651     Bristol-Myers Squibb Co.     5,240,604  
    3,506     Gilead Sciences, Inc.     471,312  
    28,411     Johnson & Johnson     6,401,851  
    73,018     Merck & Co., Inc.     8,668,697  
    259,291     Pfizer, Inc.     6,788,238  
    6,250     Regeneron Pharmaceuticals, Inc.     3,842,375  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     31,413,077  
     

 

 

 
          Real Estate Management & Development — 0.1%  
    3,408     CBRE Group, Inc. – Class A *     426,136  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 3.4%  
    1,984     NXP Semiconductors NV     637,558  
    38,036     QUALCOMM, Inc.     9,547,797  
    11,605     Skyworks Solutions, Inc.     903,449  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     11,088,804  
     

 

 

 
 


GMO U.S. Opportunistic Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Software & Services — 9.7%      
    31,883     Cognizant Technology Solutions Corp. – Class A     1,777,637  
     23,026     Dropbox, Inc. – Class A *     618,939  
    18,977     DXC Technology Co. *     188,062  
    17,260     International Business Machines Corp.     5,140,028  
    1,684     Intuit, Inc.     558,297  
    48,197     Microsoft Corp.     21,700,217  
    13,338     Zoom Communications, Inc. *     1,355,007  
     

 

 

 
    Total Software & Services       31,338,187  
     

 

 

 
          Technology Hardware & Equipment — 3.4%  
    1,023     Arrow Electronics, Inc. *     219,567  
    22,865     Avnet, Inc.     1,987,654  
    18,165     Cisco Systems, Inc.     2,187,429  
    1,260     Dell Technologies, Inc. – Class C     530,347  
    78,137     Hewlett Packard Enterprise Co.     3,363,017  
    39,709     HP, Inc.     1,073,731  
    7,811     NetApp, Inc.     1,361,379  
    7,413     Vontier Corp.     210,381  
     

 

 

 
    Total Technology Hardware & Equipment     10,933,505  
     

 

 

 
          Telecommunication Services — 5.0%      
    212,537     AT&T, Inc.     5,270,918  
    136,143     Comcast Corp. – Class A     3,385,876  
    160,144     Verizon Communications, Inc.     7,656,485  
     

 

 

 
    Total Telecommunication Services     16,313,279  
     

 

 

 
          Transportation — 2.7%      
    28,414     Delta Air Lines, Inc.     2,343,587  
    3,932     FedEx Corp.     1,619,001  
    44,472     United Parcel Service, Inc. – Class B     4,744,717  
     

 

 

 
    Total Transportation     8,707,305  
     

 

 

 
          Utilities — 0.2%      
    6,889     Edison International     481,817  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $288,691,751)
    321,326,094  
     

 

 

 
          INVESTMENT FUNDS — 1.0%      
          United States — 1.0%      
    667,920     GMO U.S. Treasury Fund, Class VI (a)     3,346,281  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $3,346,281)
    3,346,281  
     

 

 

 
    
Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%      
    519,489     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     519,489  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $519,489)
    519,489  
     

 

 

 
    TOTAL INVESTMENTS — 100.3%
(Cost $292,557,521)
    325,191,864  
    Other Assets and Liabilities (net) — (0.3)%     (859,736
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 324,332,128  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

REIT - Real Estate Investment Trust

 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 98.6%

 

          Automobiles & Components — 6.5%  
     15,394     BorgWarner, Inc.     1,105,597  
    15,777     Dauch Corp. *     104,759  
    8,325     Garrett Motion, Inc.     272,727  
    4,291     Gentex Corp.     103,670  
    1,704     Harley-Davidson, Inc.     41,203  
    13,457     Holley, Inc. *     36,738  
    5,433     Lear Corp.     777,571  
    1,749     Motorcar Parts of America, Inc. *     19,344  
    4,370     Phinia, Inc.     337,626  
    279     Strattec Security Corp. *     22,309  
    4,091     Winnebago Industries, Inc.     121,462  
     

 

 

 
    Total Automobiles & Components       2,943,006  
     

 

 

 
          Banks — 8.0%  
    4,458     Amalgamated Financial Corp.     184,918  
    1,073     Associated Banc-Corp.     29,840  
    397     BankUnited, Inc.     18,417  
    600     Capital City Bank Group, Inc.     27,384  
    3,623     Central Pacific Financial Corp.     124,486  
    778     ChoiceOne Financial Services, Inc.     24,429  
    2,069     Community Trust Bancorp, Inc.     138,333  
    2,782     Customers Bancorp, Inc. *     209,039  
    884     East West Bancorp, Inc.     108,325  
    4,926     First Commonwealth Financial Corp.     93,298  
    1,441     First Community Bankshares, Inc.     62,122  
    2,252     First Financial Corp.     155,793  
    20,652     FNB Corp.     360,997  
    21,541     Fulton Financial Corp.     467,224  
    4,357     Hanmi Financial Corp.     131,233  
    8,743     Hope Bancorp, Inc.     109,637  
    4,294     Horizon Bancorp, Inc.     79,654  
    3,074     Independent Bank Corp.     105,500  
    1,008     Investar Holding Corp.     28,486  
    2,407     Northwest Bancshares, Inc.     34,059  
    301     OceanFirst Financial Corp.     5,656  
    1,076     OFG Bancorp     49,023  
    1,879     Popular, Inc.     279,088  
    452     Preferred Bank     43,311  
    1,766     Provident Financial Services, Inc.     39,188  
    758     Stellar Bancorp, Inc.     28,304  
    49,246     Valley National Bancorp     678,117  
     

 

 

 
    Total Banks     3,615,861  
     

 

 

 
          Capital Goods — 9.4%  
    3,735     Apogee Enterprises, Inc.     143,461  
    6,352     Atkore, Inc.     526,009  
    511     BlueLinx Holdings, Inc. *     26,567  
    3,090     EnerSys     704,427  
    105     Gates Industrial Corp. PLC *     2,722  
    7,080     Hudson Technologies, Inc. *     37,666  
    
Shares
    Description   Value ($)  
          Capital Goods — continued  
    1,159     Hyster-Yale, Inc.     42,095  
    2,810     Innovative Solutions & Support, Inc. *     48,444  
     21,899     Kennametal, Inc.     718,287  
    6,650     Matrix Service Co. *     87,315  
    40     Miller Industries, Inc.     1,916  
    3,025     Mueller Industries, Inc.     389,015  
    1,777     Oshkosh Corp.     231,010  
    1,152     Park-Ohio Holdings Corp.     37,509  
    2,008     Perma-Pipe International Holdings, Inc. *     61,626  
    610     Preformed Line Products Co.     225,590  
    300     Rush Enterprises, Inc. – Class B     19,470  
    519     Tennant Co.     44,691  
    11,667     Terex Corp.     678,786  
    1,471     Toro Co.     132,213  
    749     Trinity Industries, Inc.     24,298  
    2,219     Wabash National Corp.     17,597  
    670     Worthington Enterprises, Inc.     38,036  
     

 

 

 
    Total Capital Goods        4,238,750  
     

 

 

 
          Commercial & Professional Services — 2.7%  
    2,194     Amentum Holdings, Inc. *     50,967  
    2,886     Brady Corp. – Class A     248,427  
    1,923     Cimpress PLC *     189,531  
    10,708     Deluxe Corp.     260,097  
    1,281     Interface, Inc.     37,918  
    6,354     Kelly Services, Inc. – Class A     73,833  
    5,482     ManpowerGroup, Inc.     173,396  
    1,381     Millerknoll, Inc.     22,344  
    1,300     Mistras Group, Inc. *     22,854  
    139     Pitney Bowes, Inc.     2,238  
    10,690     Resources Connection, Inc.     48,319  
    2,176     Robert Half, Inc.     64,061  
    5,005     TrueBlue, Inc. *     31,081  
     

 

 

 
    Total Commercial & Professional Services     1,225,066  
     

 

 

 
          Consumer Discretionary Distribution & Retail — 3.2%  
    4,104     Buckle, Inc.     188,250  
    2,190     Cato Corp. – Class A *     7,096  
    8,206     Kohl’s Corp.     117,838  
    34,194     Macy’s, Inc.     744,061  
    25,884     Sally Beauty Holdings, Inc. *     343,740  
    1,831     Shoe Carnival, Inc.     32,409  
    901     Upbound Group, Inc.     17,308  
    494     Weyco Group, Inc.     17,433  
     

 

 

 
    Total Consumer Discretionary Distribution & Retail     1,468,135  
     

 

 

 
          Consumer Durables & Apparel — 8.4%  
    13,624     Carter’s, Inc.     525,750  
    5,102     Century Communities, Inc.     269,488  
    1,284     Columbia Sportswear Co.     84,975  
    2,272     Dream Finders Homes, Inc. – Class A *     35,125  
    7,269     Ethan Allen Interiors, Inc.     149,887  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Consumer Durables & Apparel — continued  
    9,500     G-III Apparel Group Ltd.     307,135  
    1,368     Hooker Furnishings Corp.     16,375  
    634     Johnson Outdoors, Inc. – Class A     28,378  
    5,118     KB Home     250,065  
    6,128     La-Z-Boy, Inc.     230,290  
    6,337     Leggett & Platt, Inc.     65,081  
    4,503     Levi Strauss & Co. – Class A     104,470  
    1,878     M/I Homes, Inc. *     247,182  
     11,405     Mattel, Inc. *     170,391  
    2,354     Meritage Homes Corp.     153,575  
    1,977     Movado Group, Inc.     75,679  
    2,669     Oxford Industries, Inc.     119,091  
    5,670     Polaris, Inc.     400,132  
    3,752     Steven Madden Ltd.     162,987  
    2,896     Toll Brothers, Inc.     401,212  
    1,681     Universal Electronics, Inc. *     6,993  
     

 

 

 
    Total Consumer Durables & Apparel       3,804,261  
     

 

 

 
          Consumer Services — 2.9%  
    4,035     Bloomin’ Brands, Inc.     34,056  
    4,448     El Pollo Loco Holdings, Inc. *     66,142  
    173     Graham Holdings Co. – Class B     189,831  
    3,010     H&R Block, Inc.     115,855  
    16,422     Perdoceo Education Corp.     531,744  
    1,713     Stride, Inc. *     158,247  
    30,683     Wendy’s Co.     236,259  
     

 

 

 
    Total Consumer Services     1,332,134  
     

 

 

 
          Consumer Staples Distribution & Retail — 1.1%  
    1,615     Ingles Markets, Inc. – Class A     142,863  
    5,421     United Natural Foods, Inc. *     278,368  
    1,140     Village Super Market, Inc. – Class A     52,965  
     

 

 

 
    Total Consumer Staples Distribution & Retail     474,196  
     

 

 

 
          Energy — 8.5%  
    789     Cactus, Inc. – Class A     45,794  
    2,049     Chord Energy Corp.     270,202  
    2,936     Core Laboratories, Inc.     40,135  
    5,966     Dorian LPG Ltd.     239,953  
    130     Expro Group Holdings NV *     1,920  
    3,973     Flowco Holdings, Inc. – Class A     92,928  
    9,097     FutureFuel Corp.     37,662  
    5,023     Helix Energy Solutions Group, Inc. *     46,965  
    2,782     Innovex International, Inc. *     74,307  
    3,523     International Seaways, Inc.     271,940  
    3,850     Liberty Energy, Inc.     112,651  
    2,514     Matador Resources Co.     134,750  
    227     Natural Gas Services Group, Inc.     8,921  
    8,296     Noble Corp. PLC     385,598  
    7,612     NOV, Inc.     151,936  
    7,224     Oceaneering International, Inc. *     276,174  
    1,843     Oil States International, Inc. *     15,665  
    
Shares
    Description   Value ($)  
          Energy — continued  
    6,927     PBF Energy, Inc. – Class A     281,929  
    760     Riley Exploration Permian, Inc.     25,278  
    21,502     SM Energy Co.     660,326  
    7,262     Valaris Ltd. *     672,679  
     

 

 

 
    Total Energy     3,847,713  
     

 

 

 
          Equity Real Estate Investment Trusts (REITs) — 4.8%  
    2,874     Alpine Income Property Trust, Inc. – (REIT)     55,382  
    4,094     American Assets Trust, Inc. – (REIT)     95,390  
    10,334     Apple Hospitality REIT, Inc.     151,806  
    665     CBL & Associates Properties, Inc. – (REIT)     31,980  
    8,409     DiamondRock Hospitality Co. – (REIT)     92,415  
    366     Empire State Realty Trust, Inc. – Class A, (REIT)     2,097  
    1,487     EPR Properties – (REIT)     84,833  
     21,676     Host Hotels & Resorts, Inc. – (REIT)         498,114  
    13,716     Industrial Logistics Properties Trust – (REIT)     123,033  
    3,612     Innovative Industrial Properties, Inc. – (REIT)     209,460  
    4,836     LTC Properties, Inc. – (REIT)     180,915  
    9,236     Outfront Media, Inc. – (REIT)     297,769  
    4,198     Postal Realty Trust, Inc. – Class A, (REIT)     96,722  
    19,165     SITE Centers Corp. – (REIT)     96,783  
    2,686     Sunstone Hotel Investors, Inc. – (REIT)     29,063  
    2,995     Whitestone REIT – (REIT)     57,145  
    4,828     Xenia Hotels & Resorts, Inc. – (REIT)     83,862  
     

 

 

 
    Total Equity Real Estate Investment Trusts (REITs)     2,186,769  
     

 

 

 
          Financial Services — 10.3%  
    7,279     Bread Financial Holdings, Inc.     648,341  
    5,201     Enova International, Inc. *     840,014  
    9,161     EZCORP, Inc. – Class A *     286,190  
    13,151     Invesco Ltd.     374,278  
    7,361     Jackson Financial, Inc. – Class A     758,993  
    639     Merchants Bancorp     30,122  
    14,158     MGIC Investment Corp.     357,065  
    6,415     Oportun Financial Corp. *     34,769  
    6,781     PROG Holdings, Inc.     249,337  
    19,036     Radian Group, Inc.     650,079  
    2,039     Waterstone Financial, Inc.     37,742  
    49,441     Western Union Co.     401,955  
    294     Westwood Holdings Group, Inc.     4,839  
     

 

 

 
    Total Financial Services     4,673,724  
     

 

 

 
          Food, Beverage & Tobacco — 4.5%  
    7,041     Cal-Maine Foods, Inc.     526,104  
    1,804     Campbell’s Co.     38,082  
    20,028     Conagra Brands, Inc.     265,972  
    1,436     Flowers Foods, Inc.     10,971  
    5,645     Fresh Del Monte Produce, Inc.     181,430  
    112     Seaboard Corp.     569,176  
    1,258     Seneca Foods Corp. – Class A *     180,888  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Food, Beverage & Tobacco — continued  
    5,213     Universal Corp.     270,398  
     

 

 

 
    Total Food, Beverage & Tobacco     2,043,021  
     

 

 

 
          Health Care Equipment & Services — 1.6%  
    6,951     Ardent Health, Inc. *     64,158  
    1,075     Molina Healthcare, Inc. *     186,620  
    294     National HealthCare Corp.     54,220  
    2,765     NeuroPace, Inc. *     45,733  
    12,331     OraSure Technologies, Inc. *     53,023  
    10,995     Pediatrix Medical Group, Inc. *     236,832  
    3,923     RxSight, Inc. *     20,910  
    6,071     Varex Imaging Corp. *     62,106  
     

 

 

 
    Total Health Care Equipment & Services     723,602  
     

 

 

 
          Household & Personal Products — 0.9%  
    2,125     Edgewell Personal Care Co.     37,230  
     15,113     Herbalife Ltd. *     180,751  
    4,404     Nu Skin Enterprises, Inc. – Class A     25,499  
    2,140     Spectrum Brands Holdings, Inc.     168,397  
     

 

 

 
    Total Household & Personal Products         411,877  
     

 

 

 
          Insurance — 2.1%      
    2,623     Hamilton Insurance Group Ltd. – Class B     77,667  
    310     Heritage Insurance Holdings, Inc. *     6,721  
    21,531     Lincoln National Corp.     759,829  
    2,723     Universal Insurance Holdings, Inc.     100,805  
     

 

 

 
    Total Insurance     945,022  
     

 

 

 
          Materials — 4.2%      
    3,132     AdvanSix, Inc.     70,282  
    566     Alpha Metallurgical Resources, Inc. *     112,617  
    615     Cabot Corp.     53,819  
    9,336     Commercial Metals Co.     710,003  
    2,533     Eastman Chemical Co.     192,179  
    10,625     FMC Corp.     145,137  
    238     Kaiser Aluminum Corp.     43,325  
    3,519     Koppers Holdings, Inc.     143,575  
    13,440     Orion SA     102,682  
    562     Ryerson Holding Corp.     16,073  
    26,866     SunCoke Energy, Inc.     242,063  
    223     Sylvamo Corp.     8,757  
    29     Warrior Met Coal, Inc.     2,742  
    1,065     Worthington Steel, Inc.     44,932  
     

 

 

 
    Total Materials     1,888,186  
     

 

 

 
          Media & Entertainment — 0.6%      
    6,121     Gray Media, Inc.     24,545  
    5,832     Shutterstock, Inc.     86,839  
    7,720     Yelp, Inc. *     176,016  
     

 

 

 
    Total Media & Entertainment     287,400  
     

 

 

 
    
Shares
    Description   Value ($)  
          Pharmaceuticals, Biotechnology & Life
Sciences — 1.6%
 
    12,031     Altimmune, Inc. *     36,695  
    1,569     Amphastar Pharmaceuticals, Inc. *     29,576  
    593     Avalo Therapeutics, Inc. *     9,458  
    4,937     Enanta Pharmaceuticals, Inc. *     64,971  
    5,678     Exagen, Inc. *     28,276  
    10,891     Harmony Biosciences Holdings, Inc. *     344,047  
    13,065     Larimar Therapeutics, Inc. *     45,466  
    166     Phibro Animal Health Corp. – Class A     5,111  
    1,843     Tenax Therapeutics, Inc. *     21,876  
    20,178     Vanda Pharmaceuticals, Inc. *     130,148  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     715,624  
     

 

 

 
          Real Estate Management & Development — 0.3%  
     12,743     Douglas Elliman, Inc. *     22,938  
    8,663     Newmark Group, Inc. – Class A     121,022  
     

 

 

 
    Total Real Estate Management & Development     143,960  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 8.8%  
    6,822     Axcelis Technologies, Inc. *     1,026,097  
    4,910     Cirrus Logic, Inc. *     834,455  
    2,448     Diodes, Inc. *     257,823  
    7,974     Everspin Technologies, Inc. *     210,354  
    396     Kulicke & Soffa Industries, Inc.     40,348  
    19,351     Photronics, Inc. *     626,005  
    11,121     Skyworks Solutions, Inc.     865,770  
    2,154     Veeco Instruments, Inc. *     124,157  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment       3,985,009  
     

 

 

 
          Software & Services — 0.1%      
    2,360     Viant Technology, Inc. – Class A *     30,019  
     

 

 

 
          Technology Hardware & Equipment — 3.2%  
    8,309     Avnet, Inc.     722,301  
    1,810     Eastman Kodak Co. *     17,955  
    2,139     Kimball Electronics, Inc. *     55,464  
    3,330     Lantronix, Inc. *     25,142  
    6,720     Methode Electronics, Inc.     77,549  
    3,578     One Stop Systems, Inc. *     65,048  
    9,148     Vishay Intertechnology, Inc.     476,154  
     

 

 

 
    Total Technology Hardware & Equipment     1,439,613  
     

 

 

 
          Telecommunication Services — 0.1%      
    3,787     Spok Holdings, Inc.     40,104  
     

 

 

 
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Transportation — 3.0%      
    6,246     ArcBest Corp.     853,766  
    1,506     Genco Shipping & Trading Ltd.     36,234  
    2,421     Matson, Inc.     438,927  
    3,164     Pangaea Logistics Solutions Ltd.     23,952  
     

 

 

 
    Total Transportation     1,352,879  
     

 

 

 
          Utilities — 1.8%      
    1,690     Northwest Natural Holding Co.     81,948  
    1,103     Portland General Electric Co.     55,282  
     19,463     UGI Corp.     679,648  
     

 

 

 
    Total Utilities     816,878  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $37,378,015)
    44,632,809  
     

 

 

 
          INVESTMENT FUNDS — 1.1%      
          United States — 1.1%      
    102,075     GMO U.S. Treasury Fund, Class VI (a)     511,397  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $511,397)
    511,397  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.4%  
          Money Market Funds — 0.4%      
    185,373     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     185,373  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $185,373)
    185,373  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $38,074,785)
    45,329,579  
    Other Assets and Liabilities (net) — (0.1)%     (36,773
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 45,292,806  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

REIT - Real Estate Investment Trust

 


Organization

Each of Climate Change Fund, Emerging Markets ex-China Fund, Emerging Markets Fund, International Equity Fund, International Opportunistic Value Fund, Japan Value Creation Fund, Quality Fund, Resource Transition Fund, Resources Fund, Small Cap Quality Fund, U.S. Equity Fund, U.S. Opportunistic Value Fund and U.S. Small Cap Value Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO. The Funds may also invest in other GMO Funds (“underlying funds”). The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Portfolio valuation

Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the closing price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are valued at the price generally determined by an industry standard model. Unlisted non-fixed income securities for which market quotations are readily available are generally valued at the most recent quoted price. Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, prices will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect changes in valuation through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below).

Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.


In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2026, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain securities that are valued at the local price; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price; certain equity securities that are valued based on the last traded exchange price adjusted for the movement in a relevant index and/or a security type conversion discount; certain equity securities valued off the last traded price with a discount for liquidity; certain securities that are valued using a price from a comparable security related to the same issuer; investment funds whose valuations are based on quarterly net asset value statements; and certain recently acquired equity securities that have yet to begin trading that are valued at cost.

The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2026:

 

         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 5,182,388     $     $ 5,182,388  

Brazil

           15,065,438              15,065,438  

Canada

     28,332,173                   28,332,173  

China

          35,317,372             35,317,372  

Denmark

          13,688,412             13,688,412  

Finland

          15,924,328             15,924,328  

France

          47,718,205             47,718,205  

Germany

          17,960,115             17,960,115  

Italy

          6,910,966             6,910,966  

Japan

          17,737,626             17,737,626  

Kazakhstan

          3,365,877             3,365,877  
                               


         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Mexico

  $ 2,912,450     $     $     $ 2,912,450  

Netherlands

          1,387,762             1,387,762  

Norway

          14,066,388             14,066,388  

Portugal

          2,401,184             2,401,184  

Russia

                0 §      0 § 

South Korea

          40,314,998             40,314,998  

Spain

          9,188,076             9,188,076  

Switzerland

          11,326,356             11,326,356  

Thailand

          2,759,498             2,759,498  

Ukraine

          1,169,384             1,169,384  

United Kingdom

    2,415,000       7,676,833             10,091,833  

United States

    337,246,826                   337,246,826  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    370,906,449       269,161,206       0 §      640,067,655  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Chile

    21,242,005                   21,242,005  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    21,242,005                   21,242,005  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

France

                220,405       220,405  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                220,405       220,405  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    17,150,037                   17,150,037  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    17,150,037                   17,150,037  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    3,259,465                   3,259,465  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    412,557,956       269,161,206       220,405       681,939,567  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 412,557,956     $ 269,161,206     $ 220,405     $ 681,939,567  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Emerging Markets ex-China Fund  
Asset Valuation Inputs  

Common Stocks

         

Brazil

  $ 2,274,890     $ 918,198     $     $ 3,193,088  

Czech Republic

          209,284             209,284  

Egypt

          240,706             240,706  

Greece

          155,584             155,584  

Hungary

          3,207,493             3,207,493  

India

          7,526,027             7,526,027  

Indonesia

          1,641,725             1,641,725  

Kuwait

          1,113,489             1,113,489  

Mexico

    1,600,305                   1,600,305  

Poland

          1,096,709             1,096,709  

Russia

                0 §      0 § 

Saudi Arabia

          2,471,793             2,471,793  

South Africa

          822,200             822,200  

South Korea

          30,830,451             30,830,451  

Taiwan

    535,616       39,290,890             39,826,506  

Thailand

          9,219,054             9,219,054  

Turkey

          187,339             187,339  

United Arab Emirates

          530,516             530,516  

United Kingdom

    663,026                   663,026  

Vietnam

          2,049,875             2,049,875  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    5,073,837       101,511,333       0 §      106,585,170  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    1,578,443       1,851,768             3,430,211  
                               


         
Description   Level 1     Level 2     Level 3     Total  
Emerging Markets ex-China Fund (continued)  
Asset Valuation Inputs (continued)  

Preferred Stocks (continued)

         

Colombia

  $ 3,487     $     $     $ 3,487  

South Korea

          519,253             519,253  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    1,581,930       2,371,021             3,952,951  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    2,244,841                   2,244,841  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    2,244,841                   2,244,841  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    52,510                   52,510  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    8,953,118       103,882,354       0 §      112,835,472  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 8,953,118     $ 103,882,354     $ 0 §    $ 112,835,472  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs                        

Derivatives^

         

Futures Contracts

         

Equity Risk

  $ (5,841   $     $     $ (5,841
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (5,841   $     $     $ (5,841
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Emerging Markets Fund  
Asset Valuation Inputs  

Common Stocks

         

Brazil

  $ 9,249,035     $ 1,500,376     $     $ 10,749,411  

China

    6,092,061       87,904,770       24       93,996,855  

Colombia

    28,027                   28,027  

Egypt

          813,017             813,017  

Greece

          374,709             374,709  

Hungary

          10,964,206             10,964,206  

India

          23,265,849             23,265,849  

Indonesia

          7,623,729             7,623,729  

Kuwait

          3,861,075             3,861,075  

Mexico

    7,474,859                   7,474,859  

Philippines

          509,647             509,647  

Poland

          5,892,696             5,892,696  

Russia

                0 §      0 § 

Saudi Arabia

          14,177,560             14,177,560  

South Africa

          3,307,020             3,307,020  

South Korea

          130,513,042             130,513,042  

Sri Lanka

                284,021       284,021  

Taiwan

          168,467,911             168,467,911  

Thailand

          48,465,270             48,465,270  

Turkey

          3,378,233             3,378,233  

United Arab Emirates

          3,062,739             3,062,739  

United Kingdom

    1,693,995                   1,693,995  

Vietnam

          11,117,266             11,117,266  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    24,537,977       525,199,115       284,045       550,021,137  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    11,555,246       9,453,773             21,009,019  

Russia

                0 §      0 § 

South Korea

          7,421,927             7,421,927  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    11,555,246       16,875,700       0 §      28,430,946  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    1,471,885                   1,471,885  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    1,471,885                   1,471,885  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Emerging Markets Fund (continued)  
Asset Valuation Inputs (continued)  

Short-Term Investments

  $ 3,373,852     $     $     $ 3,373,852  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    40,938,960       542,074,815       284,045       583,297,820  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    100,023                   100,023  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 41,038,983     $ 542,074,815     $ 284,045     $ 583,397,843  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
International Equity Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 65,355,205     $     $ 65,355,205  

Belgium

          8,847,130             8,847,130  

Canada

    26,574,195                   26,574,195  

Finland

          41,872,558             41,872,558  

France

    6,918,039       104,310,060             111,228,099  

Germany

          64,850,412             64,850,412  

Hong Kong

          68,314,696             68,314,696  

Israel

          8,097,990             8,097,990  

Italy

    5,090,519       26,821,867             31,912,386  

Japan

          358,486,522             358,486,522  

Netherlands

    64,591,038       57,732,414             122,323,452  

Norway

          48,499,563             48,499,563  

Portugal

          4,457,784             4,457,784  

Singapore

          34,389,345             34,389,345  

Spain

          97,611,760             97,611,760  

Sweden

          8,633,740             8,633,740  

Switzerland

          70,477,671             70,477,671  

United Kingdom

    97,336,240       44,264,787       191,448       141,792,475  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    200,510,031       1,113,023,504       191,448       1,313,724,983  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          7,484,334             7,484,334  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          7,484,334             7,484,334  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    73,377,799                   73,377,799  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    73,377,799                   73,377,799  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    1,508,594                   1,508,594  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    275,396,424       1,120,507,838       191,448       1,396,095,710  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    488,688                   488,688  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 275,885,112     $ 1,120,507,838     $ 191,448     $ 1,396,584,398  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
International Opportunistic Value Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 19,344,598     $     $ 19,344,598  

Austria

          4,203,881             4,203,881  

Belgium

          1,118,167             1,118,167  

Canada

    50,107,459                   50,107,459  

Denmark

          2,756,398             2,756,398  

Finland

          741,996             741,996  

France

          32,054,258             32,054,258  
                               


         
Description   Level 1     Level 2     Level 3     Total  
International Opportunistic Value Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Germany

  $     $ 26,329,125     $     $ 26,329,125  

Hong Kong

          9,118,065             9,118,065  

Ireland

          1,823,263             1,823,263  

Israel

    478,116       4,038,984             4,517,100  

Italy

          3,613,110             3,613,110  

Japan

    3,063,203       64,798,809             67,862,012  

Netherlands

          8,636,042             8,636,042  

Norway

          7,469,434             7,469,434  

Portugal

          9,956             9,956  

Singapore

          2,637,437             2,637,437  

Spain

          18,598,469             18,598,469  

Sweden

          8,080,665             8,080,665  

Switzerland

    3,645,141       18,165,341             21,810,482  

United Kingdom

    15,275,382       15,443,911             30,719,293  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    72,569,301       248,981,909             321,551,210  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          4,604,514             4,604,514  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          4,604,514             4,604,514  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    6,400,692                   6,400,692  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    6,400,692                   6,400,692  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    244,146                   244,146  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    79,214,139       253,586,423             332,800,562  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 79,214,139     $ 253,586,423     $     $ 332,800,562  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Japan Value Creation Fund  
Asset Valuation Inputs  

Common Stocks

  $     $ 293,556,759     $     $ 293,556,759  

Investment Funds

    9,751,553             449,005       10,200,558  

Short-Term Investments

    3,510,497                   3,510,497  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    13,262,050       293,556,759       449,005       307,267,814  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 13,262,050     $ 293,556,759     $ 449,005     $ 307,267,814  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Quality Fund  
Asset Valuation Inputs  

Common Stocks

         

Canada

  $ 93,392,030     $     $     $ 93,392,030  

France

          528,879,258             528,879,258  

Germany

          287,284,889             287,284,889  

Spain

          92,986,258             92,986,258  

Taiwan

          674,813,734             674,813,734  

United Kingdom

          817,070,105             817,070,105  

United States

    10,099,072,035                   10,099,072,035  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    10,192,464,065       2,401,034,244             12,593,498,309  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    70,795,952                   70,795,952  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    70,795,952                   70,795,952  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    911,356                   911,356  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    10,264,171,373       2,401,034,244             12,665,205,617  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 10,264,171,373     $ 2,401,034,244     $     $ 12,665,205,617  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
Resource Transition Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 5,890,434     $     $ 5,890,434  

Brazil

          12,663,377             12,663,377  

Canada

    22,746,531                   22,746,531  

China

          3,527,759             3,527,759  

Denmark

          2,932,466             2,932,466  

Finland

          7,306,055             7,306,055  

France

          2,804,956             2,804,956  

Italy

          1,914,121             1,914,121  

Japan

          965,281             965,281  

Netherlands

          680,569             680,569  

Norway

          6,507,427             6,507,427  

South Africa

          1,318,626             1,318,626  

South Korea

          673,951             673,951  

United Kingdom

          17,951,469             17,951,469  

United States

    82,521,276                   82,521,276  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    105,267,807       65,136,491             170,404,298  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          8,020,767             8,020,767  

Chile

    9,282,547                   9,282,547  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    9,282,547       8,020,767             17,303,314  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    5,441,934                   5,441,934  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    5,441,934                   5,441,934  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    535,710                   535,710  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    120,527,998       73,157,258             193,685,256  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 120,527,998     $ 73,157,258     $     $ 193,685,256  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Resources Fund  
Asset Valuation Inputs  

Common Stocks

         

Argentina

  $ 86,577,851     $     $     $ 86,577,851  

Australia

          28,035,744             28,035,744  

Brazil

          59,299,349             59,299,349  

Canada

    140,826,746                   140,826,746  

China

          19,986,882             19,986,882  

Denmark

          12,271,941             12,271,941  

Finland

          30,582,443             30,582,443  

France

          11,999,546             11,999,546  

Hong Kong

          2,400,904             2,400,904  

Italy

          7,542,562             7,542,562  

Japan

          7,782,667             7,782,667  

Netherlands

          2,586,170             2,586,170  

Norway

          42,174,954             42,174,954  

Pakistan

          3,510,378             3,510,378  

Russia

                0 §      0 § 

Singapore

                3       3  

South Africa

          11,313,472             11,313,472  

South Korea

          2,884,458             2,884,458  

Thailand

          3,762,475             3,762,475  

Ukraine

          2,664,892             2,664,892  

United Kingdom

    6,410,250       188,604,337             195,014,587  
                               


         
Description   Level 1     Level 2     Level 3     Total  
Resources Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

United States

  $ 514,185,854     $     $     $ 514,185,854  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    748,000,701       437,403,174       3       1,185,403,878  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          70,086,187             70,086,187  

Chile

    38,402,953                   38,402,953  

Russia

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    38,402,953       70,086,187       0 §      108,489,140  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    5,075,930                   5,075,930  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    5,075,930                   5,075,930  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    833,764                   833,764  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    792,313,348       507,489,361       3       1,299,802,712  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 792,313,348     $ 507,489,361     $ 3     $ 1,299,802,712  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Small Cap Quality Fund  
Asset Valuation Inputs  

Common Stocks

  $ 682,752,155     $     $     $ 682,752,155  

Investment Funds

    17,955,663                   17,955,663  

Short-Term Investments

    1,773,724                   1,773,724  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    702,481,542                   702,481,542  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 702,481,542     $     $     $ 702,481,542  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
U.S. Equity Fund  
Asset Valuation Inputs  

Common Stocks

  $ 219,640,505     $     $     $ 219,640,505  

Debt Obligations

    56,053                   56,053  

Investment Funds

    1,053,596                   1,053,596  

Short-Term Investments

    98,750                   98,750  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    220,848,904                   220,848,904  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    43,433                   43,433  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 220,892,337     $     $     $ 220,892,337  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
U.S. Opportunistic Value Fund  
Asset Valuation Inputs  

Common Stocks

  $ 321,326,094     $     $     $ 321,326,094  

Investment Funds

    3,346,281                   3,346,281  

Short-Term Investments

    519,489                   519,489  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    325,191,864                   325,191,864  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 325,191,864     $     $     $ 325,191,864  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               


         
Description   Level 1     Level 2     Level 3     Total  
U.S. Small Cap Value Fund  
Asset Valuation Inputs  

Common Stocks

  $ 44,632,809     $     $     $ 44,632,809  

Investment Funds

    511,397                   511,397  

Short-Term Investments

    185,373                   185,373  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    45,329,579                   45,329,579  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 45,329,579     $     $     $ 45,329,579  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  §

Represents the interest in securities that were determined to have a value of zero at May 31, 2026.

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for forward currency contracts which are based on unrealized appreciation/(depreciation). Excludes purchased options, if any, which are included in investments.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ financial statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2026 is set forth below:

 

                 
Affiliate   Value,
beginning of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Distributions
of Realized
Gains*
    Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value,
end of
period
 
Climate Change Fund  

GMO U.S. Treasury Fund, Class VI

  $ 16,963,453     $ 40,780,608     $ 40,600,000     $ 75,505     $     $ 5,976     $     $ 17,150,037  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Emerging Markets ex-China Fund  

GMO U.S. Treasury Fund, Class VI

  $ 506,163     $ 8,907,178     $ 7,168,500     $ 6,958     $     $     $     $ 2,244,841  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Emerging Markets Fund  

Anilana Hotels & Properties Ltd.

  $ 302,374     $     $     $     $     $     $ (18,353   $ 284,021  

GMO U.S. Treasury Fund, Class VI

    2,002,959       63,053,926       63,585,000       54,076                         1,471,885  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 2,305,333     $ 63,053,926     $ 63,585,000     $ 54,076     $     $     $ (18,353   $ 1,755,906  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
International Equity Fund  

GMO U.S. Treasury Fund, Class VI

  $ 10,318,555     $ 181,160,000     $ 123,900,000     $ 276,809     $     $     $ (5,976   $ 67,572,579  

GMO Ultra-Short Income ETF

          5,815,370             34,359                   (10,150     5,805,220  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 10,318,555     $ 186,975,370     $ 123,900,000     $ 311,168     $     $     $ (16,126   $ 73,377,799  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
International Opportunistic Value Fund  

GMO U.S. Treasury Fund, Class VI

  $ 9,692     $ 11,800,000     $ 5,409,000     $ 18,085     $     $ 18     $ (18   $ 6,400,692  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               


                 
Affiliate   Value,
beginning of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Distributions
of Realized
Gains*
    Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value,
end of
period
 
Japan Value Creation Fund  

GMO U.S. Treasury Fund, Class VI

  $ 5,349,561     $ 16,200,000     $ 11,800,000     $ 55,203     $     $ 1,992     $     $ 9,751,553  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Quality Fund  

GMO U.S. Treasury Fund, Class VI

  $ 180,906,709     $ 380,000,000     $ 490,300,000     $ 1,483,375     $     $ 189,243     $     $ 70,795,952  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Resource Transition Fund  

GMO U.S. Treasury Fund, Class VI

  $ 3,886,166     $ 44,545,356     $ 42,989,531     $ 32,375 **    $     $     $ (57   $ 5,441,934  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Resources Fund  

GMO U.S. Treasury Fund, Class VI

  $ 6,785,891     $ 85,800,000     $ 87,500,000     $ 144,177     $     $ (9,961   $     $ 5,075,930  

Kosmos Energy Ltd.

    56,201,103             43,737,185                   (17,432,108     29,060,983      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 62,986,994     $ 85,800,000     $ 131,237,185     $ 144,177     $     $ (17,442,069   $ 29,060,983     $ 5,075,930  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Small Cap Quality Fund  

GMO U.S. Treasury Fund, Class VI

  $ 19,993,081     $ 10,062,582     $ 12,100,000     $ 161,432     $     $     $     $ 17,955,663  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
U.S. Equity Fund  

GMO U.S. Treasury Fund, Class VI

  $ 1,100,608     $ 8,782,422     $ 8,828,500     $ 5,803 **    $     $ (934   $     $ 1,053,596  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
U.S. Opportunistic Value Fund  

GMO U.S. Treasury Fund, Class VI

  $ 1,129,113     $ 7,917,168     $ 5,700,000     $ 17,294     $     $     $     $ 3,346,281  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
U.S. Small Cap Value Fund  

GMO U.S. Treasury Fund, Class VI

  $ 91,397     $ 1,200,000     $ 780,000     $ 1,665     $     $     $     $ 511,397  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2026 through May 31, 2026. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2027.

  **

Excludes income from investment of cash collateral from securities lending in GMO U.S. Treasury Fund. Income (net of fee rebates paid to the borrower and fees paid to the lending agent) from investment of cash collateral from securities lending in GMO U.S. Treasury Fund was $5,503 and $582 in Resource Transition Fund and U.S. Equity Fund, respectively, during the period.

  #

Security is no longer an affiliate at period end.


Subsequent events

With respect to GMO International Opportunistic Value Fund, effective June 30, 2026, GMO has contractually agreed to waive its fees with respect to and/or reimburse the Fund to the extent that the Fund’s total annual fund operating expenses (after applying all other contractual and voluntary expense limitation arrangements in effect at the time) exceed the following amounts for each class of shares, in each case representing the average daily net assets for the indicated class of shares: 0.67% for Class III shares; 0.62% for Class IV shares; 0.67% for Class R6 shares; and 0.67% for Class I shares (each, an “Expense Cap”). Fees and expenses of the “non-interested” Trustees and legal counsel to the “non-interested” Trustees, investment-related costs (such as brokerage commissions, interest, and acquired fund fees and expenses), payments out of assets attributable to Class I shares for sub-transfer agency, recordkeeping and other administrative services provided by financial intermediaries, borrowing and borrowing-related costs (such as expenses incurred in establishing and maintaining a credit facility), taxes, litigation and indemnification expenses, judgments, and other extraordinary or non-recurring expenses not incurred in the ordinary course of the Fund’s business (collectively, “Excluded Expenses”), are excluded from the Expense Cap. GMO is permitted to recover from the Fund, on a class-by-class basis, expenses it has borne or reimbursed pursuant to an Expense Cap (whether through reduction of its fees or otherwise) to the extent that the Fund’s total annual fund operating expenses (excluding Excluded Expenses) later fall below that Expense Cap or any lower expense limit in effect when GMO seeks to recover the expenses. The Fund, however, is not obligated to pay any such amount more than three years after GMO bore or reimbursed an expense. Any such recovery will not cause the Fund to exceed the Expense Caps set forth above or any lower expense limits as is in effect at the time GMO seeks to recover expenses. These reimbursements and waivers will continue through at least June 30, 2027 and may not be terminated prior to this date without the action or consent of the Trust’s Board of Trustees.

***

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.


GMO Asset Allocation Bond Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value† /
Shares
    Description   Value ($)  

    DEBT OBLIGATIONS — 7.9%

 

          U.S. Government — 7.9%  
    4,855,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (a)     4,859,716  
    4,425,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (a)     4,425,705  
     

 

 

 
    Total U.S. Government     9,285,421  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $9,280,817)
    9,285,421  
     

 

 

 
          SHORT-TERM INVESTMENTS — 92.2%  
          Money Market Funds — 2.2%  
    2,543,089     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     2,543,089  
     

 

 

 
          Repurchase Agreements — 90.0%  
    106,000,000     Nomura Securities International, Inc. Repurchase Agreement, dated 05/29/2026 maturing on 06/01/26 with a maturity value of $106,031,888 and an effective yield of 3.61%, collateralized by a U.S. Treasury Note with maturity date 10/31/27 and a market value of $108,208,763.     106,000,000  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $108,543,089)
    108,543,089  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $117,823,906)
    117,828,510  
     

 

 

 
    Other Assets and Liabilities (net) — (0.1)%     (101,537
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $117,726,973  
     

 

 

 
 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

 

Forward Currency Contracts

 

Settlement

Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/31/2026   JPM   USD     2,794,901       EUR       2,393,000     $ 6,741  
           

 

 

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
249   U.S. Long Bond (CBT)     September 2026       27,942,469       365,373  
325   U.S. Treasury Note 10 Yr. (CBT)     September 2026       35,694,141       74,451  
706   U.S. Treasury Note 2 Yr. (CBT)     September 2026       145,833,125       328,457  
732   U.S. Treasury Note 5 Yr. (CBT)     September 2026       78,478,406       94,933  
273   U.S. Treasury Ultra 10 Yr. (CBT)     September 2026       30,597,328       119,077  
183   U.S. Ultra Bond (CBT)     September 2026       20,936,344       337,137  
     

 

 

   

 

 

 
      $ 339,481,813     $ 1,319,428  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 


GMO Asset Allocation Bond Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  

Notional

Amount

     Annual
Premium
     Implied
Credit
Spread (1)
     Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                          

ITRAXX.EUR.45

   EUR     154,700,000        1.00%        0.53%        N/A        06/20/2031        Quarterly      $ (2,748,215   $ (4,018,083   $ (1,269,868
                      

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1) 

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Counterparty Abbreviations:

JPM - JPMorgan Chase Bank, N.A.

Currency Abbreviations:

EUR - Euro

USD - United States Dollar

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 92.9%

 

          Albania — 0.9%  
          Corporate Debt — 0.8%  

EUR

        15,900,000     Delphos Securities SARL - Compartment Bernina, 7.63%, due 04/08/35        18,237,811  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.1%  

EUR

    2,410,000     Albania Government International Bonds, Reg S, 4.75%, due 02/14/35     2,812,373  
     

 

 

 
    Total Albania     21,050,184  
     

 

 

 
          Angola — 0.6%  
          Sovereign and Sovereign Agency Issuers — 0.6%  
    1,670,000     Angola Government International Bonds, 144A, 9.88%, due 03/31/37     1,750,369  
    4,680,000     Angola Government International Bonds, Reg S, 9.38%, due 05/08/48     4,586,400  
    7,720,000     Angola Government International Bonds, Reg S, 9.13%, due 11/26/49     7,358,125  
     

 

 

 
    Total Angola     13,694,894  
     

 

 

 
          Argentina — 3.2%  
          Sovereign and Sovereign Agency Issuers — 3.2%  

EUR

    2,456,273     Argentina Government International Bonds, Step Up, 4.00%, due 07/09/46     1,991,172  
    353,739     Argentina Republic Government International Bonds, 1.00%, due 07/09/29     309,590  
    8,412,115     Argentina Republic Government International Bonds, Step Up, 0.75%, due 07/09/30     7,335,364  

JPY

    218,057,108     Argentina Republic Government International Bonds, 4.33%, due 12/31/33 (a)     232,755  

EUR

    7,100,000     Argentina Republic Government International Bonds, Step Up, 3.88%, due 07/09/35     6,103,420  

EUR

    11,260,000     Argentina Republic Government International Bonds, Step Up, 4.25%, due 01/09/38     10,112,919  

JPY

    223,573,000     Argentina Republic Government International Bonds, 0.67%, due 12/31/38 (a)     238,643  

EUR

    10,268,000     Argentina Republic Government International Bonds, Step Up, 3.00%, due 07/09/41     8,299,779  
    622,000     Argentina Republic Government International Bonds, Step Up, 3.50%, due 07/09/41     446,285  
    50,837,204     Argentina Republic Government International Bonds, Step Up, 4.13%, due 07/09/46     37,416,183  
     

 

 

 
    Total Argentina     72,486,110  
     

 

 

 

Par Value†

    Description   Value ($)  
          Armenia — 0.4%  
          Corporate Debt — 0.1%  

  

    2,990,000     Ardshinbank CJSC Via Dilijan Finance BV, 144A, 6.60%, due 01/22/31          2,992,796  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.3%  

  

    6,000,000     Republic of Armenia International Bonds, Reg S, 6.75%, due 03/12/35          6,266,280  
     

 

 

 
    Total Armenia     9,259,076  
     

 

 

 
          Bahamas — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  
         1,310,000     Bahamas Government International Bonds, Reg S, 8.25%, due 06/24/36     1,462,615  
     

 

 

 
          Bahrain — 2.0%  
          Sovereign and Sovereign Agency Issuers — 2.0%  
    3,700,000     Bahrain Government International Bonds, Reg S, 7.10%, due 02/03/38     3,662,445  
    46,296,000     Bahrain Government International Bonds, Reg S, 6.00%, due 09/19/44     39,081,463  
    3,350,000     Bahrain Government International Bonds, Reg S, 6.25%, due 01/25/51     2,881,971  
     

 

 

 
    Total Bahrain     45,625,879  
     

 

 

 
          Barbados — 0.6%  
          Sovereign and Sovereign Agency Issuers — 0.6%  
    12,220,000     Barbados Government International Bonds, Reg S, 8.00%, due 06/26/35     12,940,980  
     

 

 

 
          Belarus — 0.6%  
          Sovereign and Sovereign Agency Issuers — 0.6%  
    6,804,000     Development Bank of the Republic of Belarus JSC, Reg S, 6.75%, due 05/02/24 (b)     3,878,280  
    12,200,000     Republic of Belarus International Bonds, Reg S, 6.20%, due 02/28/30 (a) (b)     9,394,000  
     

 

 

 
    Total Belarus     13,272,280  
     

 

 

 
          Bolivia — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  
    4,600,230     Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28 (c)     4,270,164  
     

 

 

 
          Brazil — 4.4%  
          Corporate Debt — 1.8%  
    1,457,000     Braskem America Finance Co., Reg S, 7.13%, due 07/22/41 (c)     786,780  
    10,010,000     Braskem Netherlands Finance BV, Reg S, 8.50%, due 01/12/31     6,275,269  
    30,812,000     Braskem Netherlands Finance BV, Reg S, 8.00%, due 10/15/34     17,763,118  
    12,125,000     Kinetics LNG Holdings Ltd., Reg S, 9.88%, due 11/13/29     12,447,805  
    3,840,182     Yinson Boronia Production BV, Reg S, 8.95%, due 07/31/42     4,225,543  
     

 

 

 
        41,498,515  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Brazil — continued  
          Sovereign and Sovereign Agency Issuers — 2.6%  
    23,100,000     Brazil Government International Bonds, 6.25%, due 05/22/36         22,909,425  
    5,950,000     Brazil Government International Bonds, 4.75%, due 01/14/50     4,413,413  
    24,100,000     Brazil Government International Bonds, 7.25%, due 01/12/56     24,045,775  

BRL

        35,675,533     Rio Smart Lighting SARL, Reg S, 12.25%, due 09/20/32 (d)     6,555,535  
     

 

 

 
        57,924,148  
     

 

 

 
    Total Brazil     99,422,663  
     

 

 

 
          Bulgaria — 0.1%  
          Corporate Debt — 0.1%  

EUR

    2,300,000     Eastern European Electric Co. BV, 144A, 6.50%, due 05/15/30     2,773,261  
     

 

 

 
          Cameroon — 0.9%  
          Sovereign and Sovereign Agency Issuers — 0.9%  

EUR

    18,650,000     Republic of Cameroon International Bonds, Reg S, 5.95%, due 07/07/32     19,671,994  
     

 

 

 
          Chile — 1.2%  
          Corporate Debt — 0.9%  
    14,451,000     Enel Generacion Chile SA, 8.13%, due 02/01/97 (e)     13,660,531  
    7,890,000     EnfraGen Energia Sur SAU/EnfraGen Chile SpA/EnfraGen Spain SAU, Reg S, 8.50%, due 06/30/32     8,112,892  
     

 

 

 
        21,773,423  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.3%  
    2,200,000     Chile Government International Bonds, 3.10%, due 05/07/41     1,669,800  
    4,496,523     Chile Electricity Lux MPC II SARL, Reg S, 5.58%, due 10/20/35     4,567,568  
     

 

 

 
        6,237,368  
     

 

 

 
    Total Chile     28,010,791  
     

 

 

 
          China — 0.0%  
          Corporate Debt — 0.0%  
    9,300,000     China Evergrande Group, Reg S, 11.50%, due 01/22/23 (b)     176,700  
    11,800,000     China Evergrande Group, Reg S, 12.00%, due 01/22/24 (b)     221,840  
    6,200,000     China Evergrande Group, Reg S, 10.50%, due 04/11/24 (b)     117,025  
    5,000,000     Scenery Journey Ltd., Reg S, 11.50%, due 10/24/22 (b)     31,250  
    1,700,000     Scenery Journey Ltd., Reg S, 13.00%, due 11/06/22 (b)     17,000  
    3,000,000     Scenery Journey Ltd., Reg S, 12.00%, due 10/24/23 (b)     30,000  

Par Value†

    Description   Value ($)  
          China — continued  
          Corporate Debt — continued  
    3,400,000     Scenery Journey Ltd., Reg S, 13.75%, due 11/06/23 (b)             34,000  
     

 

 

 
    Total China     627,815  
     

 

 

 
          Colombia — 3.2%  
          Corporate Debt — 0.2%  

COP

    26,099,790,781     PA Autopista Rio Magdalena, Reg S, 6.05%, due 06/15/36     5,911,256  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 3.0%  
    892,000     Colombia Government International Bonds, 8.38%, due 02/15/27 (e)     905,994  
    2,500,000     Colombia Government International Bonds, 11.85%, due 03/09/28 (e)     2,735,380  
    31,260,000     Colombia Government International Bonds, 5.63%, due 02/26/44     25,523,790  
    18,890,000     Colombia Government International Bonds, 5.00%, due 06/15/45     14,205,280  
    27,140,000     Ecopetrol SA, 5.88%, due 05/28/45     20,413,351  

COP

    16,553,000,000     Empresas Publicas de Medellin ESP, Reg S, 8.38%, due 11/08/27     4,099,693  
     

 

 

 
        67,883,488  
     

 

 

 
    Total Colombia     73,794,744  
     

 

 

 
          Congo Republic (Brazzaville) — 0.9%  
          Sovereign and Sovereign Agency Issuers — 0.9%  
    20,003,998     Congolese International Bonds, Reg S, Step Up, 6.00%, due 06/30/29 (a) (c)     19,566,511  
     

 

 

 
          Costa Rica — 2.2%  
          Sovereign and Sovereign Agency Issuers — 2.2%  

EUR

    4,790,000     Costa Rica Government International Bonds, 144A, 5.95%, due 04/27/33     5,922,278  

EUR

    17,000,000     Costa Rica Government International Bonds, Reg S, 6.00%, due 01/16/36     20,833,521  
    3,860,000     Costa Rica Government International Bonds, Reg S, 7.00%, due 04/04/44     4,157,220  
    17,231,000     Costa Rica Government International Bonds, Reg S, 7.16%, due 03/12/45     18,790,406  
     

 

 

 
    Total Costa Rica     49,703,425  
     

 

 

 
          Cote D’Ivoire — 0.6%  
          Sovereign and Sovereign Agency Issuers — 0.6%  

EUR

    13,150,000     Ivory Coast Government International Bonds, Reg S, 6.63%, due 03/22/48     14,580,835  
     

 

 

 
          Czech Republic — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  
    3,658,000     CEZ AS, Reg S, 5.63%, due 04/03/42     3,351,057  
     

 

 

 
          Democratic Republic of the Congo — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  
    1,700,000     DRC International Bonds, 144A, 9.50%, due 04/16/37     1,733,762  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Dominican Republic — 2.4%  
          Corporate Debt — 0.1%  
         3,125,000     Polaris Renewable Energy, Inc., 9.50%, due 12/03/29          3,275,391  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 2.3%  

DOP

    60,500,000     Dominican Republic International Bonds, Reg S, 13.63%, due 02/03/33     1,218,036  
    2,490,000     Dominican Republic International Bonds, Reg S, 5.88%, due 10/28/35     2,447,670  

DOP

    203,800,000     Dominican Republic International Bonds, Reg S, 10.75%, due 06/01/36     3,697,651  
    17,620,000     Dominican Republic International Bonds, Reg S, 6.15%, due 05/17/38     17,338,080  
    700,000     Dominican Republic International Bonds, Reg S, 5.30%, due 01/21/41     623,000  
    29,554,000     Dominican Republic International Bonds, Reg S, 5.88%, due 01/30/60     25,800,642  
     

 

 

 
        51,125,079  
     

 

 

 
    Total Dominican Republic     54,400,470  
     

 

 

 
          Ecuador — 2.6%  
          Sovereign and Sovereign Agency Issuers — 2.6%  
    2,922,203     Ecuador Government International Bonds, Reg S, Zero Coupon, due 07/31/30     2,518,358  
    5,350,000     Ecuador Government International Bonds, Reg S, 8.75%, due 01/29/34     5,415,805  
    37,385,988     Ecuador Government International Bonds, Reg S, Step Up, 6.90%, due 07/31/35     34,314,452  
    1,040,000     Ecuador Government International Bonds, Reg S, 9.25%, due 01/29/39     1,068,309  
    18,381,750     Ecuador Government International Bonds, Reg S, Step Up, 5.00%, due 07/31/40     15,358,687  
    1,734,536     Ecuador Social Bonds SARL, Reg S, Zero Coupon, due 01/30/35     1,298,509  
     

 

 

 
    Total Ecuador     59,974,120  
     

 

 

 
          Egypt — 2.4%  
          Sovereign and Sovereign Agency Issuers — 2.4%  
    17,170,000     Egypt Government International Bonds, Reg S, 8.50%, due 01/31/47     16,322,145  
    17,430,000     Egypt Government International Bonds, Reg S, 8.70%, due 03/01/49     16,691,622  
    24,064,000     Egypt Government International Bonds, Reg S, 8.15%, due 11/20/59     21,656,517  
     

 

 

 
    Total Egypt     54,670,284  
     

 

 

 
          El Salvador — 0.7%  
          Sovereign and Sovereign Agency Issuers — 0.7%  
    16,720,000     El Salvador Government International Bonds, Reg S, 7.12%, due 01/20/50     15,220,885  
     

 

 

 

Par Value†

    Description   Value ($)  
          Ethiopia — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  

  

         2,490,000     Ethiopia International Bonds, Reg S, 6.63%, due 12/11/24 (b)          2,614,500  
     

 

 

 
          Gabon — 0.6%  
          Sovereign and Sovereign Agency Issuers — 0.6%  
    1,700,000     Gabon Blue Bond Master Trust, Reg S, 6.10%, due 08/01/38     1,686,604  
    5,300,000     Gabon Government International Bonds, Reg S, 6.63%, due 02/06/31     4,665,113  
    8,700,000     Gabon Government International Bonds, Reg S, 7.00%, due 11/24/31     7,601,364  
     

 

 

 
    Total Gabon     13,953,081  
     

 

 

 
          Georgia — 0.1%  
          Corporate Debt — 0.1%  
    3,240,000     Bank of Georgia JSC, 144A, 6.50%, due 06/03/31     3,235,950  
     

 

 

 
          Ghana — 1.4%  
          Sovereign and Sovereign Agency Issuers — 1.4%  
    572,000     Ghana Government International Bonds, Reg S, Zero Coupon, due 07/03/26     569,140  
    3,283,826     Ghana Government International Bonds, Reg S, Zero Coupon, due 01/03/30     2,930,815  
    24,582,000     Ghana Government International Bonds, Step Up, Reg S, 5.00%, due 07/03/35     23,006,785  
    5,865,211     Saderea DAC, Reg S, 12.50%, due 11/30/26 (b)     6,129,145  
     

 

 

 
    Total Ghana     32,635,885  
     

 

 

 
          Grenada — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  
    2,622,999     Grenada Government International Bonds, Reg S, 7.00%, due 05/12/30     2,525,660  
     

 

 

 
          Guatemala — 1.3%  
          Corporate Debt — 0.3%  
    7,410,000     Threelands Energy Ltd. SARL, Reg S, 7.45%, due 10/20/35     7,552,842  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 1.0%  
    1,890,000     Guatemala Government Bonds, Reg S, 6.60%, due 06/13/36     2,006,235  
    3,300,000     Guatemala Government Bonds, Reg S, 6.25%, due 08/15/36     3,423,750  
    16,240,000     Guatemala Government Bonds, Reg S, 6.13%, due 06/01/50     16,128,594  
     

 

 

 
        21,558,579  
     

 

 

 
    Total Guatemala     29,111,421  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Hungary — 2.2%  
          Sovereign and Sovereign Agency Issuers — 2.2%  

  

        30,630,000     Hungary Government International Bonds, Reg S, 5.50%, due 03/26/36         30,692,485  
    17,200,000     Hungary Government International Bonds, Reg S, 3.13%, due 09/21/51     10,750,000  
    7,450,000     Hungary Government International Bonds, 144A, 6.75%, due 09/23/55     7,970,979  
     

 

 

 
    Total Hungary     49,413,464  
     

 

 

 
          India — 0.9%  
          Corporate Debt — 0.9%  
    14,541,828     Adani Green Energy UP Ltd./Prayatna Developers Pvt Ltd./Parampujya Solar Energy, Reg S, 6.70%, due 03/12/42     14,338,242  
    7,752,000     Adani Renewable Energy RJ Ltd./Kodangal Solar Parks Pvt Ltd./Wardha Solar Maharashtra, Reg S, 4.63%, due 10/15/39     6,569,820  
     

 

 

 
    Total India     20,908,062  
     

 

 

 
          Indonesia — 0.8%  
          Corporate Debt — 0.6%  
    9,920,000     Delphos Securities SARL - Compartment Verdant Rock, Reg S, Variable Rate, 11.00%, due 04/29/56 (a)     9,448,800  
    3,876,371     LLPL Capital Pte. Ltd., Reg S, 6.88%, due 02/04/39     3,944,208  
     

 

 

 
        13,393,008  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.2%  
    4,080,000     Indonesia Government International Bonds, 5.69%, due 05/29/36     4,153,542  
     

 

 

 
    Total Indonesia     17,546,550  
     

 

 

 
          Iraq — 0.5%  
          Corporate Debt — 0.5%  
    10,440,000     Pearl Petroleum Co. Ltd., Reg S, 13.00%, due 05/15/28     11,182,910  
     

 

 

 
          Israel — 0.9%  
          Sovereign and Sovereign Agency Issuers — 0.9%  
    12,683,000     Israel Electric Corp. Ltd., Reg S, 8.10%, due 12/15/96     16,513,076  
    7,350,000     State of Israel, Reg S, 3.80%, due 05/13/60     4,922,662  
     

 

 

 
    Total Israel     21,435,738  
     

 

 

 
          Jamaica — 0.9%  
          Corporate Debt — 0.9%  
    19,200,000     NCB Financial Group Ltd., Reg S, 11.00%, due 07/31/30     20,225,280  
     

 

 

 

Par Value†

    Description   Value ($)  
          Jamaica — continued  
          Sovereign and Sovereign Agency Issuers — 0.0%  

  

           505,000     Jamaica Government International Bonds, 7.88%, due 07/28/45            599,154  
     

 

 

 
    Total Jamaica     20,824,434  
     

 

 

 
          Jordan — 0.8%  
          Sovereign and Sovereign Agency Issuers — 0.8%  
    19,455,000     Jordan Government International Bonds, Reg S, 7.38%, due 10/10/47     19,056,756  
     

 

 

 
          Kazakhstan — 0.5%  
          Sovereign and Sovereign Agency Issuers — 0.5%  

KZT

    1,742,000,000     Development Bank of Kazakhstan JSC, 144A, 18.40%, due 10/16/28     3,586,685  
    4,500,000     Kazakhstan Government International Bonds, Reg S, 5.50%, due 07/01/37     4,627,350  
    2,310,000     KazMunayGas National Co. JSC, Reg S, 6.38%, due 10/24/48     2,329,150  
    1,580,000     QazaqGaz NC JSC, 144A, 5.63%, due 05/08/36     1,546,425  
     

 

 

 
    Total Kazakhstan     12,089,610  
     

 

 

 
          Kenya — 1.4%  
          Sovereign and Sovereign Agency Issuers — 1.4%  
    9,200,000     Republic of Kenya Government International Bonds, Reg S, 8.70%, due 02/26/39     9,004,178  
    24,574,000     Republic of Kenya Government International Bonds, Reg S, 8.25%, due 02/28/48 (c)     23,130,032  
     

 

 

 
    Total Kenya     32,134,210  
     

 

 

 
          Kyrgyzstan — 0.4%  
          Sovereign and Sovereign Agency Issuers — 0.4%  
    5,720,000     Eldik Bank OAO, 144A, 8.50%, due 04/23/31     5,709,990  
    3,460,000     Kyrgyz Republic International Bonds, 144A, 7.75%, due 06/03/30     3,520,550  
     

 

 

 
    Total Kyrgyzstan     9,230,540  
     

 

 

 
          Lao Peoples Democratic Republic — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  
    5,300,000     Laos Government International Bonds, 144A, 11.25%, due 11/12/30     5,593,408  
     

 

 

 
          Latvia — 0.3%  
          Sovereign and Sovereign Agency Issuers — 0.3%  
    6,250,000     Latvia Government International Bonds, Reg S, 5.13%, due 07/30/34     6,258,250  
     

 

 

 
          Lebanon — 1.2%  
          Sovereign and Sovereign Agency Issuers — 1.2%  
    4,547,000     Lebanon Government International Bonds, Reg S, 7.00%, due 03/20/28 (b) (c)     1,168,579  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Lebanon — continued  
          Sovereign and Sovereign Agency
Issuers — continued
 

  

        40,805,000     Lebanon Government International Bonds, Reg S, 7.15%, due 11/20/31 (b)         10,650,105  
    12,100,000     Lebanon Government International Bonds, Reg S, 8.20%, due 05/17/33 (b) (c)     3,248,850  
    46,914,000     Lebanon Government International Bonds, Reg S, 8.25%, due 05/17/34 (b) (c)     12,596,409  
     

 

 

 
    Total Lebanon     27,663,943  
     

 

 

 
          Mexico — 6.6%  
          Corporate Debt — 1.1%  
    25,000,000     Newco Holding Eur 31 SARL, 13.50%, due 04/24/30 (e)     24,859,767  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 5.5%  
    4,320,000     Comision Federal de Electricidad, Reg S, 5.00%, due 07/30/49     3,654,979  
    3,600,000     Mexico Government International Bonds, 6.75%, due 02/09/56     3,506,400  

GBP

    32,506,000     Mexico Government International Bonds, 5.63%, due 03/19/2114     31,879,743  
    7,190,000     Petroleos Mexicanos, Reg S, 6.63% (f)     5,464,400  
    87,500,000     Petroleos Mexicanos, 7.69%, due 01/23/50     80,356,500  
     

 

 

 
        124,862,022  
     

 

 

 
    Total Mexico     149,721,789  
     

 

 

 
          Mongolia — 1.0%  
          Corporate Debt — 1.0%  
    21,280,000     Tsetsens Mining & Energy LLC, Reg S, 11.38%, due 02/05/31     22,035,866  
     

 

 

 
          Montenegro — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  
    1,200,000     Montenegro Government International Bonds, Reg S, 7.25%, due 03/12/31     1,266,000  
     

 

 

 
          Morocco — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  
    5,200,000     Morocco Government International Bonds, Reg S, 4.00%, due 12/15/50     3,672,864  
     

 

 

 
          Mozambique — 0.3%  
          Sovereign and Sovereign Agency Issuers — 0.3%  
    8,276,000     Mozambique International Bonds, Reg S, Step Up, 9.00%, due 09/15/31     7,194,244  
     

 

 

 
          Nigeria — 1.1%  
          Sovereign and Sovereign Agency Issuers — 1.1%  
    4,000,000     Nigeria Government International Bonds, 144A, 9.13%, due 01/13/46     4,470,000  

Par Value†

    Description   Value ($)  
          Nigeria — continued  
          Sovereign and Sovereign Agency
Issuers — continued
 

  

        20,150,000     Nigeria Government International Bonds, Reg S, 8.25%, due 09/28/51         20,682,061  
     

 

 

 
    Total Nigeria     25,152,061  
     

 

 

 
          Oman — 0.9%  
          Sovereign and Sovereign Agency Issuers — 0.9%  
    18,810,000     Oman Government International Bonds, Reg S, 6.75%, due 01/17/48     20,487,100  
     

 

 

 
          Pakistan — 0.4%  
          Sovereign and Sovereign Agency Issuers — 0.4%  
    2,710,000     Pakistan Government International Bonds, Reg S, 7.88%, due 03/31/36 (c)     2,636,153  
    5,530,000     Pakistan Government International Bonds, Reg S, 8.88%, due 04/08/51     5,358,215  
    1,746,000     Pakistan Water & Power Development Authority, Reg S, 7.50%, due 06/04/31     1,655,103  
     

 

 

 
    Total Pakistan     9,649,471  
     

 

 

 
          Panama — 0.5%  
          Corporate Debt — 0.2%  
    4,270,000     Generadora de Gatun SA, 144A, 6.87%, due 09/30/44     4,354,205  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.3%  
    1,470,000     Empresa de Transmision Electrica SA, Reg S, 5.13%, due 05/02/49     1,164,225  
    2,479,000     Panama Government International Bonds, 8.13%, due 04/28/34     2,865,781  
    4,200,000     Panama Government International Bonds, 4.50%, due 04/16/50     3,332,700  
     

 

 

 
        7,362,706  
     

 

 

 
    Total Panama     11,716,911  
     

 

 

 
          Paraguay — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  

PYG

    26,341,000,000     Paraguay Government International Bonds, 144A, 8.50%, due 04/04/38     4,118,865  
     

 

 

 
          Peru — 2.2%  
          Corporate Debt — 0.3%  
    6,898,713     Peru LNG SRL, Reg S, 5.38%, due 03/22/30     6,691,751  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 1.9%  
    2,000,000     Peru Government International Bonds, 3.60%, due 01/15/72     1,257,000  
    2,710,000     Peru Government International Bonds, 3.23%, due 07/28/2121     1,470,175  
    57,345,000     Petroleos del Peru SA, Reg S, 5.63%, due 06/19/47     41,575,125  
     

 

 

 
        44,302,300  
     

 

 

 
    Total Peru     50,994,051  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Philippines — 0.8%  
          Sovereign and Sovereign Agency Issuers — 0.8%  

  

         3,200,000     Bangko Sentral ng Pilipinas International Bonds, 8.60%, due 06/15/97 (e)         4,335,970  
    8,500,000     Philippines Government International Bonds, 3.20%, due 07/06/46     5,869,250  
    3,090,000     Philippines Government International Bonds, 4.20%, due 03/29/47     2,473,545  
    4,800,000     Philippines Government International Bonds, 5.75%, due 01/27/51     4,758,000  
     

 

 

 
    Total Philippines     17,436,765  
     

 

 

 
          Poland — 3.4%  
          Sovereign and Sovereign Agency Issuers — 3.4%  
    24,930,000     Republic of Poland Government International Bonds, 5.13%, due 09/18/34     25,086,311  
    23,300,000     Republic of Poland Government International Bonds, 5.38%, due 02/12/35     23,662,781  
    15,640,000     Republic of Poland Government International Bonds, 5.38%, due 04/14/36     15,710,536  
    10,600,000     Republic of Poland Government International Bonds, 5.50%, due 03/18/54     9,819,734  
    3,550,000     Republic of Poland Government International Bonds, 6.13%, due 04/14/56     3,538,392  
     

 

 

 
    Total Poland     77,817,754  
     

 

 

 
          Republic of North Macedonia — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  

EUR

    2,900,000     North Macedonia Government International Bonds, 144A, 4.75%, due 01/21/34     3,324,413  
     

 

 

 
          Romania — 3.3%  
          Sovereign and Sovereign Agency Issuers — 3.3%  
    31,250,000     Romania Government International Bonds, Reg S, 5.75%, due 03/24/35     30,195,312  
    5,910,000     Romania Government International Bonds, Reg S, 6.63%, due 05/16/36     6,033,815  

EUR

    2,900,000     Romania Government International Bonds, Reg S, 2.75%, due 04/14/41     2,272,674  

EUR

    35,280,000     Romania Government International Bonds, Reg S, 2.88%, due 04/13/42     27,493,939  

EUR

    1,800,000     Romania Government International Bonds, Reg S, 3.38%, due 01/28/50     1,352,091  
    11,260,000     Romania Government International Bonds, Reg S, 4.00%, due 02/14/51     7,659,277  
     

 

 

 
    Total Romania     75,007,108  
     

 

 

 

Par Value†

    Description   Value ($)  
          Russia — 0.0%  
          Sovereign and Sovereign Agency Issuers — 0.0%  

  

         6,870,000     GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27 (b) (e) (g)              3,435  
    5,200,000     GTLK Europe Capital DAC, Reg S, 4.80%, due 02/26/28 (b) (e) (g)     2,600  
    6,800,000     GTLK Europe Capital DAC, Reg S, 4.35%, due 02/27/29 (b) (e) (g)     3,400  
    20,000,000     Russia Foreign Bonds - Eurobond, 144A, 5.10%, due 03/28/35 (b) (e) (g)     10,000  
    6,400,000     Russia Foreign Bonds - Eurobond, Reg S, 5.10%, due 03/28/35 (b) (e) (g)     3,200  
     

 

 

 
    Total Russia     22,635  
     

 

 

 
          Rwanda — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  
    2,240,000     Rwanda International Government Bonds, Reg S, 5.50%, due 08/09/31     2,112,970  
     

 

 

 
          Saudi Arabia — 1.8%  
          Corporate Debt — 0.1%  
    2,069,959     Acwa Power Management & Investments One Ltd., Reg S, 5.95%, due 12/15/39     2,076,438  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 1.7%  
    8,100,000     Saudi Government International Bonds, Reg S, 4.63%, due 10/04/47     6,864,750  
    7,600,000     Saudi Government International Bonds, Reg S, 5.00%, due 01/18/53     6,621,500  
    11,540,000     Saudi Government International Bonds, Reg S, 3.75%, due 01/21/55     8,078,000  
    26,000,000     Saudi Government International Bonds, Reg S, 3.45%, due 02/02/61     16,614,000  
     

 

 

 
        38,178,250  
     

 

 

 
    Total Saudi Arabia     40,254,688  
     

 

 

 
          Senegal — 0.4%  
          Sovereign and Sovereign Agency Issuers — 0.4%  

EUR

    1,333,333     Senegal Government International Bonds, Reg S, 4.75%, due 03/13/28     884,520  
    15,850,000     Senegal Government International Bonds, Reg S, 6.75%, due 03/13/48 (c)     8,043,875  
     

 

 

 
    Total Senegal     8,928,395  
     

 

 

 
          Serbia — 1.0%  
          Sovereign and Sovereign Agency Issuers — 1.0%  
    6,820,000     Serbia International Bonds, Reg S, 6.00%, due 06/12/34     6,988,795  
    14,530,000     Serbia International Bonds, 144A, 5.50%, due 05/06/36     14,198,571  

EUR

    860,000     Telecommunications Co. Telekom Srbija AD Belgrade, 144A, 7.13%, due 05/18/36     1,019,013  
     

 

 

 
    Total Serbia     22,206,379  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          South Africa — 1.9%  
          Sovereign and Sovereign Agency
Issuers — 1.9%
 

ZAR

       136,450,000     Eskom Holdings, Zero Coupon, due 12/31/32          3,400,100  
    44,820,000     Republic of South Africa Government International Bonds, 5.75%, due 09/30/49     37,751,886  

ZAR

    18,300,000     Transnet, Reg S, 13.50%, due 04/18/28     1,184,168  
     

 

 

 
    Total South Africa     42,336,154  
     

 

 

 
          Sri Lanka — 1.3%  
          Sovereign and Sovereign Agency
Issuers — 1.3%
 
    1,622,885     Sri Lanka Government International Bonds, Step Up, Reg S, 3.10%, due 01/15/30     1,587,425  
    9,401,276     Sri Lanka Government International Bonds, Step Up, Reg S, 3.35%, due 03/15/33     8,602,167  
    7,435,292     Sri Lanka Government International Bonds, Step Up, Reg S, 3.60%, due 06/15/35     5,903,622  
    2,415,484     Sri Lanka Government International Bonds, Step Up, 144A, 3.60%, due 05/15/36 (c)     2,340,000  
    10,335,771     Sri Lanka Government International Bonds, Step Up, Reg S, 3.60%, due 02/15/38     10,028,282  
     

 

 

 
    Total Sri Lanka     28,461,496  
     

 

 

 
          SupraNational — 0.2%  
          Sovereign and Sovereign Agency
Issuers — 0.2%
 

NGN

    3,125,000,000     European Bank for Reconstruction & Development, 21.00%, due 07/21/26     2,283,628  

NGN

    3,925,000,000     European Bank for Reconstruction & Development, 22.50%, due 07/31/26     2,865,917  
     

 

 

 
    Total SupraNational     5,149,545  
     

 

 

 
          Tajikistan — 0.1%  
          Sovereign and Sovereign Agency
Issuers — 0.1%
 
    1,287,000     Republic of Tajikistan International Bonds, Reg S, 7.13%, due 09/14/27     1,289,819  
     

 

 

 
          Trinidad And Tobago — 1.2%  
          Sovereign and Sovereign Agency
Issuers — 1.2%
 
    17,854,667     Port of Spain Waterfront Development, Reg S, 7.88%, due 02/19/40     18,401,020  
    5,322,000     Telecommunications Services of Trinidad & Tobago Ltd., Reg S, 8.88%, due 10/18/29     5,416,199  

Par Value†

    Description   Value ($)  
          Trinidad And Tobago — continued  
          Sovereign and Sovereign Agency
Issuers — continued
 
         3,960,000     Trinidad & Tobago Government International Bonds, Reg S, 6.50%, due 01/28/36          4,075,122  
     

 

 

 
    Total Trinidad And Tobago     27,892,341  
     

 

 

 
          Tunisia — 1.4%  
          Sovereign and Sovereign Agency Issuers — 1.4%  

JPY

    4,711,700,000     Tunisian Republic, 4.30%, due 08/02/30 (a)     26,403,744  

JPY

    190,000,000     Tunisian Republic, 4.20%, due 03/17/31 (a)     1,052,805  

JPY

    630,000,000     Tunisian Republic, 3.50%, due 02/03/33     3,278,263  
     

 

 

 
    Total Tunisia     30,734,812  
     

 

 

 
          Turkey — 4.4%  
          Corporate Debt — 1.4%  
    40,330,000     Zorlu Enerji Elektrik Uretim AS, Reg S, 11.00%, due 04/23/30     31,870,782  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 3.0%  
    2,500,000     Turkiye Government International Bonds, 6.38%, due 05/22/31     2,480,000  
    9,969,000     Turkiye Government International Bonds, 6.88%, due 01/14/38     9,645,506  
    27,277,000     Turkiye Government International Bonds, 4.88%, due 04/16/43     20,019,136  
    46,013,000     Turkiye Government International Bonds, 5.75%, due 05/11/47     36,120,205  
     

 

 

 
        68,264,847  
     

 

 

 
    Total Turkey     100,135,629  
     

 

 

 
          Ukraine — 2.3%  
          Sovereign and Sovereign Agency Issuers — 2.3%  
    4,500,000     NPC Ukrenergo, Reg S, 6.88%, due 11/09/28 (b)     4,342,500  
    2,011,014     Ukraine Government International Bonds, Step Up, Reg S, Zero Coupon, due 02/01/30     1,407,710  
    12,965,640     Ukraine Government International Bonds, Reg S, Step Up, 4.00%, due 02/01/32     10,631,825  
    16,726,157     Ukraine Government International Bonds, Step Up, Reg S, 3.00%, due 02/01/34     8,889,952  
    3,622,412     Ukraine Government International Bonds, Step Up, Reg S, 4.50%, due 02/01/34     2,481,352  
    7,282,158     Ukraine Government International Bonds, Step Up, Reg S, 3.00%, due 02/01/35     4,209,087  
    12,255,124     Ukraine Government International Bonds, Step Up, Reg S, 4.50%, due 02/01/35     8,272,209  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Ukraine — continued  
          Sovereign and Sovereign Agency
Issuers — continued
 

  

         5,318,464     Ukraine Government International Bonds, Step Up, Reg S, 3.00%, due 02/01/36          3,068,754  
    13,553,917     Ukraine Government International Bonds, Step Up, Reg S, 4.50%, due 02/01/36     9,013,355  
    211,141     Ukraine Railways Via Rail Capital Markets PLC, Reg S, 7.88%, due 07/15/28 (b)     158,527  
     

 

 

 
    Total Ukraine     52,475,271  
     

 

 

 
          United Arab Emirates — 0.6%  
          Sovereign and Sovereign Agency Issuers — 0.6%  
    7,500,000     Finance Department Government of Sharjah, Reg S, 4.00%, due 07/28/50     4,865,519  
    11,300,000     Finance Department Government of Sharjah, Reg S, 4.38%, due 03/10/51 (c)     7,746,150  
     

 

 

 
    Total United Arab Emirates     12,611,669  
     

 

 

 
          United States — 2.3%  
          Asset-Backed Securities — 0.2%  
    253,014     CWHEQ Revolving Home Equity Loan Trust, Series 05-F, Class 2A, AMBAC, Variable Rate, 1 mo. USD Term SOFR + 0.35%, 3.98%, due 12/15/35     247,199  
    259,569     CWHEQ Revolving Home Equity Loan Trust, Series 06-D, Class 2A, XLCA, Variable Rate, 1 mo. USD Term SOFR + 0.31%, 3.94%, due 05/15/36     252,302  
    4,993,618     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A3, Variable Rate, 1 mo. USD Term SOFR + 0.26%, 3.85%, due 11/25/36     1,601,711  
    5,043,060     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.33%, 3.92%, due 11/25/36     1,617,525  
    2,575,369     WaMu Asset-Backed Certificates Trust, Series 07-HE2, Class 2A4, Variable Rate, 1 mo. USD Term SOFR + 0.83%, 4.42%, due 04/25/37     911,940  
     

 

 

 
        4,630,677  
     

 

 

 
          U.S. Government — 2.1%  
    13,600,000     U.S. Treasury Bonds, 4.25%, due 08/15/54 (h)     12,046,094  
    28,820,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (h)     28,847,994  

Par Value†

    Description   Value ($)  
          United States — continued  
          U.S. Government — continued  

  

         7,500,000     U.S. Treasury Notes, 3.88%, due 11/30/27          7,487,988  
     

 

 

 
        48,382,076  
     

 

 

 
    Total United States     53,012,753  
     

 

 

 
          Uruguay — 0.4%  
          Sovereign and Sovereign Agency
Issuers — 0.4%
 
    1,700,000     Oriental Republic of Uruguay, 5.25%, due 09/10/60     1,551,250  

UYU

    77,400,000     Uruguay Government International Bonds, 9.75%, due 07/20/33     2,139,128  

UYU

    132,500,000     Uruguay Government International Bonds, 8.00%, due 10/29/35     3,370,837  
    1,518,000     Uruguay Government International Bonds, 4.98%, due 04/20/55     1,352,538  
     

 

 

 
    Total Uruguay     8,413,753  
     

 

 

 
          Uzbekistan — 1.5%  
          Sovereign and Sovereign Agency
Issuers — 1.5%
 
    4,520,000     Aloqabank JSC, 144A, 7.70%, due 05/18/31     4,468,020  
    3,000,000     Jscb Agrobank, Reg S, 9.25%, due 10/02/29     3,257,250  
    4,700,000     Republic of Uzbekistan International Bonds, Reg S, 3.70%, due 11/25/30     4,382,750  
    600,000     Republic of Uzbekistan International Bonds, Reg S, 6.95%, due 05/25/32     644,268  
    4,600,000     Uzbek Industrial & Construction Bank ATB, Reg S, 8.95%, due 07/24/29     4,942,244  
    5,400,000     Uzbekneftegaz JSC, Reg S, 4.75%, due 11/16/28     5,251,500  
    9,590,000     Uzbekneftegaz JSC, Reg S, 8.75%, due 05/07/30     10,335,047  
     

 

 

 
    Total Uzbekistan     33,281,079  
     

 

 

 
          Venezuela — 5.4%  
          Sovereign and Sovereign Agency
Issuers — 5.4%
 
    91,865,000     C.A. La Electricidad de Caracas, Reg S, 8.50%, due 04/10/18 (a) (b)     34,944,527  
    8,900,000     Petroleos de Venezuela SA, Reg S, 9.00%, due 11/17/21 (b)     4,108,240  
    690,000     Petroleos de Venezuela SA, Reg S, 12.75%, due 02/17/22 (b)     363,078  
    8,400,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 10/28/22 (b)     3,169,320  
    34,420,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 05/16/24 (b) (c)     13,602,784  
    65,070,000     Petroleos de Venezuela SA, Reg S, 9.75%, due 05/17/35 (b)     30,713,040  
    24,850,000     Venezuela Government International Bonds, Reg S, 12.75%, due 08/23/22 (b)     14,065,100  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Venezuela — continued  
          Sovereign and Sovereign Agency
Issuers — continued
 

  

        41,593,000     Venezuela Government International Bonds, Reg S, 9.00%, due 05/07/23 (b)         20,630,128  
     

 

 

 
    Total Venezuela     121,596,217  
     

 

 

 
          Vietnam — 0.3%  
          Sovereign and Sovereign Agency Issuers — 0.3%  
    6,618,000     Vietnam Government International Bonds, Variable Rate, 6 mo. USD LIBOR + 0.81%, 5.49%, due 03/13/28 (a)     6,684,180  
     

 

 

 
          Zambia — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  
    4,115,983     Zambia Government International Bonds, Reg S, Step Up, 5.75%, due 06/30/33     4,076,922  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $2,181,763,879)
    2,110,251,140  
     

 

 

 
          LOAN ASSIGNMENTS — 0.6%  
          Serbia — 0.6%  
    12,400,000     Telekom Srbija AD Beograd, Variable Rate, 8.42%, due 06/13/29 (a)     14,174,090  
     

 

 

 
    TOTAL LOAN ASSIGNMENT
(COST $13,393,243)
    14,174,090  
     

 

 

 
          LOAN PARTICIPATIONS — 0.1%  
          Angola — 0.1%  
    1,600,000     Angola Government International Bonds Loan Agreement (Participation via Avenir Issuer II Ireland DAC), Reg S, 6.93%, due 02/19/27 (a)     1,588,720  
     

 

 

 
          Iraq — 0.0%  

EUR

    224,413     Republic of Iraq Paris Club Loan Agreement (Participation with Credit Suisse), 4.50%, due 12/30/27 (e)     247,647  
     

 

 

 
          Russia — 0.0%  

EUR

    76,893,500     Russian Foreign Trade Obligations, (Participation with GML International Ltd.) (a) (b) (g)     3  
     

 

 

 
          Sudan — 0.0%  

CHF

    11,833,578     Republic of Sudan, Loan Agreement, Tranche A (Participation via Abu Dhabi Investment Company) (a) (b)     379,014  

CHF

    5,155,077     Republic of Sudan, Loan Agreement, Tranche B (Participation via Abu Dhabi Investment Company) (a) (b)     148,599  
     

 

 

 
    Total Sudan     527,613  
     

 

 

 
    TOTAL LOAN PARTICIPATIONS
(COST $22,474,233)
    2,363,983  
     

 

 

 

Shares /

Par Value†

    Description   Value ($)  
          INVESTMENT FUNDS — 0.7%  
          Colombia — 0.7%  
         9,300,000     Bona Fide Investment Holdings II LLC (e) (i) (j)         16,751,922  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $9,300,000)
    16,751,922  
     

 

 

 
          RIGHTS/WARRANTS — 1.1%  
          Argentina — 1.1%  

EUR

    179,789,676     Argentina Republic GDP Linked Warrants, Variable Rate, Expires 12/15/35 (k)     24,011,410  

JPY

    1,656,571,000     Argentina Republic GDP Linked Warrants, Variable Rate, Expires 12/15/35 (e) (k)     234,030  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $26,587,765)
    24,245,440  
     

 

 

 
    SHORT-TERM INVESTMENTS — 4.2%

 

          Money Market Funds — 0.1%  
    2,365,732     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (l)     2,365,732  
     

 

 

 
          Repurchase Agreements — 4.1%  
    90,000,000     Nomura Securities International, Inc. Repurchase Agreement, dated 05/29/2026, maturing on 06/01/26 with a maturity value of $90,027,075 and an effective yield of 3.61%, collateralized by a U.S. Treasury Note with maturity date 10/31/27 and a market value of $91,875,196.     90,000,000  
    3,214,362     Nomura International PLC Repurchase Agreement, dated 10/10/2025, to be returned on demand at face value plus an effective yield of 3.80%, collateralized by a Suzano Austria GmbH, 3.75%, due 01/15/31 and a market value of $3,229,496. (m)     3,214,362  
     

 

 

 
    Total Repurchase Agreements     93,214,362  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $95,580,094)
    95,580,094  
     

 

 

 
    TOTAL INVESTMENTS — 99.6%
(Cost $2,349,099,214)
    2,263,366,669  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          SECURITIES SOLD SHORT — (0.1)%  
          Corporate Debt — (0.1)%  
          Brazil — (0.1)%  

  

        (3,400,000   Suzano Austria GmbH, 3.75%, due 01/15/31     (3,194,232
     

 

 

 
  TOTAL CORPORATE DEBT
(PROCEEDS $3,162,000)
    (3,194,232
     

 

 

 
  TOTAL SECURITIES SOLD SHORT — (0.1)%
(PROCEEDS $3,162,000)
    (3,194,232
     

 

 

 
  Other Assets and Liabilities (net) — 0.5%     11,490,144  
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $2,271,662,581  
     

 

 

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Bona Fide Investment Holdings II LLC    06/07/23    $ 9,300,000      0.7%   $ 16,751,922  
GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27    04/30/20      6,830,433      0.0%     3,435  
GTLK Europe Capital DAC, Reg S, 4.80%, due 02/26/28    03/12/21      5,248,738      0.0%     2,600  
GTLK Europe Capital DAC, Reg S, 4.35%, due 02/27/29    01/26/22      5,890,814      0.0%     3,400  
Russia Foreign Bonds - Eurobond, 144A, 5.10%, due 03/28/35    03/21/19      20,000,000      0.0%     10,000  
Russia Foreign Bonds - Eurobond, Reg S, 5.10%, due 03/28/35    10/11/19      6,748,719      0.0%     3,200  
Russian Foreign Trade Obligations, (Participation with GML International Ltd.)    07/12/07      17,524,276      0.0%     3  
          

 

 

 
           $ 16,774,560  
          

 

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/14/2026   DB   EUR     4,300,000       USD       5,046,426       21,873  
07/14/2026   JPM   EUR     1,900,000       USD       2,235,737       15,586  
07/14/2026   MSCI   EUR     168,070,000       USD       197,450,460       1,060,554  
07/14/2026   SSB   EUR     2,200,000       USD       2,606,416       35,714  
07/14/2026   BCLY   JPY     4,290,620,000       USD       27,314,416       281,513  
07/15/2026   SSB   USD     3,630,254       GBP       2,700,000       5,542  
06/30/2026   MSCI   USD     4,811,203       PEN       17,000,000       162,434  
06/30/2026   MSCI   USD     1,799,295       ZAR           30,000,000       46,584  
08/10/2026   MSCI   COP     98,825,000,000       USD       25,991,736       (369,858

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/15/2026   JPM   GBP     37,800,000       USD       50,813,035       (88,121
07/14/2026   SSB   USD     20,245,139       EUR       17,200,000       (146,928
07/15/2026   DB   USD     3,928,902       GBP       2,900,000       (23,786
07/15/2026   JPM   USD     2,579,166       GBP       1,900,000       (20,642
07/15/2026   MSCI   USD     7,582,672       GBP       5,620,000       (14,828
07/14/2026   SSB   USD     2,916,415       JPY       461,600,000       (8,120
07/16/2026   JPM   USD         11,821,252       KRW       17,430,200,000       (252,052
           

 

 

 
            $ 705,465  
           

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Reverse Repurchase Agreements(n)

 

Face Value

   

Description

   Value ($)  
USD     (926,716   JP Morgan Securities PLC, 3.30%, dated 04/29/26, (Collateral: Finance Department Government of Sharjah, Reg S, 4.38%, due 03/10/51), to be repurchased on demand at face value plus accrued interest.      (926,716
USD     (2,269,577   JP Morgan Securities PLC, 3.30%, dated 04/29/26, (Collateral: Petroleos de Venezuela SA, Reg S, 6.00%, due 05/16/24), to be repurchased on demand at face value plus accrued interest.      (2,269,577
USD     (4,772,910   JP Morgan Securities PLC, 3.25%, dated 05/18/26, (Collateral: Finance Department Government of Sharjah, Reg S, 4.38%, due 03/10/51), to be repurchased on demand at face value plus accrued interest.      (4,772,910
USD     (2,137,415   JP Morgan Securities PLC, 3.25%, dated 05/18/26, (Collateral: Pakistan Government International Bonds, Reg S, 7.88%, due 03/31/36), to be repurchased on demand at face value plus accrued interest.      (2,137,415
USD     (8,099,327   JP Morgan Securities PLC, 3.30%, dated 05/28/26, (Collateral: Republic of Kenya Government International Bonds, Reg S, 8.25%, due 02/28/48), to be repurchased on demand at face value plus accrued interest.      (8,099,327
USD     (1,497,194   Morgan Stanley & Co. International PLC, 2.75%, dated 01/13/26, (Collateral: Sri Lanka Government International Bonds, Step Up, 144A, 3.60%, due 05/15/36), to be repurchased on demand at face value plus accrued interest.      (1,497,194
USD     (8,045,951   Morgan Stanley & Co. International PLC, 3.25%, dated 02/25/26, (Collateral: Senegal Government International Bonds, Reg S, 6.75%, due 03/13/48), to be repurchased on demand at face value plus accrued interest.      (8,045,951
USD     (412,091   Morgan Stanley & Co. International PLC, 2.75%, dated 02/26/26, (Collateral: Congolese International Bonds, Reg S, Step Up, 6.00%, due 06/30/29), to be repurchased on demand at face value plus accrued interest.      (412,091
USD     (714,698   Morgan Stanley & Co. International PLC, 2.75%, dated 03/20/26, (Collateral: Lebanon Government International Bonds, Reg S, 7.00%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (714,698
USD     (760,779   Morgan Stanley & Co. International PLC, 3.10%, dated 03/20/26, (Collateral: Lebanon Government International Bonds, Reg S, 8.25%, due 05/17/34), to be repurchased on demand at face value plus accrued interest.      (760,779
USD     (783,807   Morgan Stanley & Co. International PLC, 2.75%, dated 04/23/26, (Collateral: Lebanon Government International Bonds, Reg S, 8.20%, due 05/17/33), to be repurchased on demand at face value plus accrued interest.      (783,807
USD     (750,271   Morgan Stanley & Co. International PLC, 2.75%, dated 04/30/26, (Collateral: Braskem America Finance Co., Reg S, 7.13%, due 07/22/41), to be repurchased on demand at face value plus accrued interest.      (750,271
USD     (1,600,426   Morgan Stanley & Co. International PLC, 2.75%, dated 05/07/26, (Collateral: Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (1,600,426
USD     (227,163   Morgan Stanley & Co. International PLC, 2.75%, dated 05/18/26, (Collateral: Lebanon Government International Bonds, Reg S, 7.00%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (227,163
USD     (1,464,780   Nomura International PLC, 3.10%, dated 05/05/26, (Collateral: Bolivia Government International Bonds, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.      (1,464,780
      

 

 

 
       $ (34,463,105
      

 

 

 
    Average balance outstanding    $ (30,360,444
    Average interest rate (net)      (3.26 )% 
    Maximum balance outstanding    $ (48,556,227

Average balance outstanding was calculated based on daily face value balances outstanding during the period that the Fund had entered into reverse repurchase agreements. Average interest rate was calculated based on interest received and/or paid during the period that the Fund had entered into the reverse repurchase agreements.

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  Notional
Amount
     Annual
Premium
   Implied
Credit
Spread (1)
   Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
   Expiration
Date
   Periodic
Payment
Frequency
   Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CDX.EM.S45

    USD        73,200,000      1.00%    1.50%    N/A    06/20/2031    Quarterly    $ 1,820,740      $ 1,625,406      $ (195,334
  

 

 

    

 

 

    

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — (Continued)

OTC Credit Default Swaps

 

Reference Entity

 

Counter-

party

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by

the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

Republic of Brazil

  MSBNA   USD     12,700,000       1.00%       44.40%       N/A       12/20/2026       Quarterly       (63,507     (39,519     23,988  

Republic of Colombia

  MSCI   USD     45,300,000       1.00%       0.73%       N/A       12/20/2026       Quarterly       (125,808     (68,978     56,830  

Republic of South Africa Government International Bonds

  JPM   USD     34,300,000       1.00%       0.23%       N/A       12/20/2026       Quarterly       (234,412     (148,668     85,744  

Republic of Egypt

  CITI   USD     2,300,000       1.00%       2.23%       N/A       12/20/2027       Quarterly       655,500       42,292       (613,208

Republic of Egypt

  JPM   USD     2,500,000       1.00%       2.23%       N/A       12/20/2027       Quarterly       690,000       45,970       (644,030

Republic of Egypt

  JPM   USD     2,500,000       1.00%       2.23%       N/A       12/20/2027       Quarterly       725,000       45,970       (679,030

Israel Government International Bonds

  GS   USD     10,000,000       1.00%       23.92%       N/A       06/20/2028       Quarterly       (98,649     (151,868     (53,219

Kingdom of Bahrain

  MSBNA   USD     5,400,000       1.00%       190.60%       N/A       06/20/2028       Quarterly       401,901       95,531       (306,370

Republic of Turkey

  MSBNA   USD     1,600,000       1.00%       136.93%       N/A       06/20/2028       Quarterly       350,660       11,643       (339,017

Panama Government International Bonds

  DB   USD     113,000,000       1.00%       0.53%       N/A       03/20/2029       Quarterly       (1,429,530     (1,405,467     24,063  

Israel Government International Bonds

  BOA   USD     9,500,000       1.00%       0.39%       N/A       12/20/2029       Quarterly       211,213       (193,783     (404,996

Israel Government International Bonds

  JPM   USD     3,800,000       1.00%       0.39%       N/A       12/20/2029       Quarterly       76,240       (77,513     (153,753

United States of Mexico

  MSBNA   USD     29,400,000       1.00%       62.10%       N/A       12/20/2029       Quarterly       273,879       (370,567     (644,446

Republic of South Africa Government International Bonds

  MSBNA   USD     15,000,000       1.00%       130.56%       N/A       06/20/2031       Quarterly       306,291       206,782       (99,509

United States of Mexico

  GS   USD     14,700,000       1.00%       89.94%       N/A       09/20/2031       Quarterly       1,940,882       (70,214     (2,011,096

Sell Protection^:

                     

Panama Government International Bonds

  DB   USD     113,000,000       1.00%       0.53%       113,000,000 USD       03/20/2029       Quarterly       (123,129     (100,061     23,068  
                 

 

 

   

 

 

   

 

 

 
                  $ 3,556,531     $ (2,178,450   $ (5,734,981
 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1) 

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

Centrally Cleared Interest Rate Swaps

 

Fund Pays

 

Fund Receives

 

Notional

Amount

    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

USD-SOFR-OIS COMPOUND

  4.01%   USD     162,500,000       12/21/2027       Annually       155,081       335,939       180,858  

BRL-CDI

  13.30%   BRL     266,263,658       01/02/2031       At Maturity       (10,266     (1,280,079     (1,269,813

1.10%

  JPY-TONA-OIS-COMPOUND   JPY     7,694,000,000       09/18/2034       Annually       (96,110     4,304,340       4,400,450  

USD-SOFR-OIS COMPOUND

  4.00%   USD     87,800,000       09/17/2035       Annually       2,412,828       (97,779     (2,510,607

1.40%

  THB-THOR   THB     835,000,000       12/17/2035       Quarterly       173,060       1,786,312       1,613,252  

3.10%

  EURIBOR   EUR     32,300,000       06/17/2036       Semi-Annually       106,206       (388,816     (495,022

4.60%

  GBP-SONIA-COMPOUND   GBP     16,200,000       09/17/2055       Annually       (81,607     755,045       836,652  

3.20%

  EURIBOR   EUR     30,900,000       06/17/2056       Semi-Annually       120,949       (363,263     (484,212
           

 

 

   

 

 

   

 

 

 
            $ 2,780,141     $ 5,051,699     $ 2,271,558  
 

 

 

   

 

 

   

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — (Continued)

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

 

Notional

Amount

    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

J.P. Morgan EMBIG Div Ex CCC Total Return USD

  USD-SOFR-OIS COMPOUND   JPM   USD     57,100,000       06/09/2026     At Maturity   $     $ 211,523     $ 211,523  
             

 

 

   

 

 

   

 

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Investment valued using significant unobservable inputs.

 

(b)

Security is in default.

 

(c)

All or a portion of this security has been pledged to cover collateral requirements on reverse repurchase agreements.

 

(d)

Security is backed by the United States International Development Finance Corporation.

 

(e)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(f)

Perpetual security with not stated maturity date.

 

(g)

The security is restricted as to resale.

 

(h)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(i)

Affiliated company.

 

(j)

Private placement security; restricted as to resale. Represents investment in a pool of constitutional obligations of the Colombian government owed to individuals. Share amount represents the Fund’s invested capital.

 

(k)

Indexed security in which price and/or coupon is linked to the price of a specific instrument or financial statistic.

 

(l)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 

(m)

The repurchase agreement has an open maturity date and can be closed by either party on demand.

 

(n)

Reverse repurchase agreements have an open maturity date and can be closed by either party on demand.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

AMBAC - Insured as to the payment of principal and interest by AMBAC Assurance Corporation.

BRL CDI - Brazilian Interbank Offered Rate denominated in Brazilian Real.

CDI - Certificado de Deposito Interbancario

CJSC - Closed Joint-Stock Company

EURIBOR - Euro Interbank Offered Rate

GDP - Gross Domestic Product

JSC - Joint-Stock Company

LIBOR - London Interbank Offered Rate

OIS - Overnight Indexed Swaps

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

SOFR - Secured Overnight Financing Rate

STEP - Coupon increases periodically based upon a predetermined schedule. Stated interest rate in effect at May 31, 2026.

THOR - Thai Overnight Repurchase Rate

TONA - Tokyo Overnight Average Rate

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

XLCA - Insured as to the payment of principal and interest by XL Capital Assurance.

 

 

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

 

JPM - JPMorgan Chase Bank, N.A.

MSBNA - Morgan Stanley Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

Currency Abbreviations:

 

BRL - Brazilian Real

CHF - Swiss Franc

COP - Colombian Peso

DOP - Dominican Republic Peso

EUR - Euro

GBP - British Pound

JPY - Japanese Yen

KRW - South Korean Won

 

KZT - Kazakhstani Tenge

NGN - Nigerian Naira

PEN - Peruvian Sol

PYG - Paraguayan Guarani

THB - Thai Baht

USD - United States Dollar

UYU - Uruguay Peso

ZAR - South African Rand

 


GMO Emerging Country Debt Shares Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares

    Description   Value ($)  

    

    INVESTMENT FUNDS — 100.1%

 

          United States — 100.1%  
    2,539,012     GMO Emerging Country Debt Fund, Class III (a)     62,002,681  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $60,428,083)
    62,002,681  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    19,455     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     19,455  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $19,455)
    19,455  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $60,447,538)
    62,022,136  
    Other Assets and Liabilities (net) — (0.1%)     (56,451
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $61,965,685  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 85.2%

 

          Corporate Debt — 29.9%  
          Australia — 1.0%  

  

         470,000     Fortescue Treasury Pty. Ltd., 144A, 4.50%, due 09/15/27          467,601  
    450,000     Mineral Resources Ltd., 144A, 7.00%, due 04/01/31     467,804  
    395,000     PLS Group Ltd., 144A, 6.88%, due 05/01/31     405,233  
     

 

 

 
    Total Australia     1,340,638  
     

 

 

 
          Canada — 1.4%  
    445,000     Bombardier, Inc., 144A, 7.45%, due 05/01/34     489,490  
    475,000     Enerflex, Inc., 144A, 6.88%, due 01/15/31     488,571  
    460,000     Precision Drilling Corp., 144A, 6.88%, due 01/15/29     464,517  
    385,000     RB Global Holdings, Inc., 144A, 6.75%, due 03/15/28     390,993  
     

 

 

 
    Total Canada     1,833,571  
     

 

 

 
          Denmark — 0.3%  
    465,000     Genmab AS/Genmab Finance LLC, 144A, 6.25%, due 12/15/32     473,665  
     

 

 

 
          Italy — 0.3%  
    430,000     Telecom Italia Capital SA, 7.20%, due 07/18/36     468,518  
     

 

 

 
          Japan — 0.9%  
    370,000     Kioxia Holdings Corp., 144A, 6.25%, due 07/24/30     380,949  
    435,000     Nissan Motor Co. Ltd., 144A, 8.13%, due 07/17/35     461,916  
    300,000     Rakuten Group, Inc., 144A, 9.75%, due 04/15/29     327,805  
     

 

 

 
    Total Japan     1,170,670  
     

 

 

 
          Luxembourg — 0.1%  
    235,000     SES AMERICOM, Inc., 144A, 5.30%, due 03/25/44     181,109  
     

 

 

 
          Macau — 0.3%  
    350,000     Wynn Macau Ltd., 144A, 5.13%, due 12/15/29     342,989  
     

 

 

 
          Norway — 0.8%  
    485,000     Seadrill Finance Ltd., 144A, 8.38%, due 08/01/30     506,912  
    480,000     TGS ASA, 144A, 8.50%, due 01/15/30     504,716  
     

 

 

 
    Total Norway     1,011,628  
     

 

 

 
          United Kingdom — 0.3%  
    395,000     Belron U.K. Finance PLC, 144A, 5.75%, due 10/15/29     398,353  
     

 

 

 

Par Value†

    Description   Value ($)  
          Corporate Debt — continued  
          United States — 24.5%  
    460,000     Allegiant Travel Co., 144A, 7.25%, due 08/15/27     461,853  
    360,000     Alliance Resource Operating Partners LP/Alliance Resource Finance Corp., 144A, 8.63%, due 06/15/29     376,167  
    245,000     Allison Transmission, Inc., 144A, 3.75%, due 01/30/31     229,484  
    475,000     AMN Healthcare, Inc., 144A, 6.50%, due 01/15/31     477,431  

  

          495,000     Antero Midstream Partners LP/Antero Midstream Finance Corp., 144A, 5.75%, due 10/15/33          489,800  
    265,000     Arbor Realty SR, Inc., 144A, 7.88%, due 07/15/30     248,870  
    535,000     Ball Corp., 2.88%, due 08/15/30     486,688  
    495,000     Boyd Gaming Corp., 144A, 4.75%, due 06/15/31     477,232  
    360,000     Brandywine Operating Partnership LP, 8.88%, due 04/12/29     379,724  
    350,000     BWX Technologies, Inc., 144A, 4.13%, due 06/30/28     343,565  
    485,000     California Resources Corp., 144A, 7.00%, due 01/15/34     488,914  
    505,000     Carpenter Technology Corp., 144A, 5.63%, due 03/01/34     501,722  
    450,000     Celanese U.S. Holdings LLC, 7.70%, due 11/15/33     483,259  
    525,000     Centene Corp., 4.63%, due 12/15/29     511,333  
    490,000     Charles River Laboratories International, Inc., 144A, 3.75%, due 03/15/29     469,411  
    505,000     Chord Energy Corp., 144A, 6.00%, due 10/01/30     511,288  
    495,000     Clean Harbors, Inc., 144A, 5.75%, due 10/15/33     497,486  
    525,000     Clearway Energy Operating LLC, 144A, 3.75%, due 02/15/31     489,249  
    365,000     CNX Resources Corp., 144A, 7.38%, due 01/15/31     374,643  
    490,000     Constellium SE, 144A, 3.75%, due 04/15/29     472,276  
    500,000     Credit Acceptance Corp., 144A, 6.63%, due 03/15/30     503,500  
    475,000     DaVita, Inc., 144A, 4.63%, due 06/01/30     461,550  
    440,000     Deluxe Corp., 144A, 8.13%, due 09/15/29     459,405  
    418,000     Diamond Foreign Asset Co./Diamond Finance LLC, 144A, 8.50%, due 10/01/30     439,709  
    475,000     Encore Capital Group, Inc., 144A, 6.63%, due 04/15/31     478,935  
    470,000     Enpro, Inc., 144A, 6.13%, due 06/01/33     478,507  
    195,000     Excelerate Energy LP, 144A, 8.00%, due 05/15/30     206,471  
    505,000     FirstCash, Inc., 144A, 4.63%, due 09/01/28     497,831  
    750,000     FMC Corp., 5.65%, due 05/18/33     673,950  
    525,000     FS KKR Capital Corp., 6.13%, due 01/15/30     513,890  
    470,000     FTAI Aviation Investors LLC, 144A, 5.50%, due 05/01/28     469,459  
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Corporate Debt — continued  
          United States — continued  
    250,000     Genting New York LLC/GENNY Capital, Inc., 144A, 7.25%, due 10/01/29     255,998  
    475,000     GFL Environmental, Inc., 144A, 4.00%, due 08/01/28     464,509  

  

          490,000     Hilton Domestic Operating Co., Inc., 144A, 3.75%, due 05/01/29          473,154  
    300,000     HNI Corp., 144A, 5.13%, due 01/18/29     293,267  
    490,000     Huntsman International LLC, 4.50%, due 05/01/29     474,524  
    490,000     Ingevity Corp., 144A, 3.88%, due 11/01/28     473,245  
    350,000     Iron Mountain, Inc., 144A, 4.50%, due 02/15/31     334,252  
    475,000     Jazz Securities DAC, 144A, 4.38%, due 01/15/29     466,273  
    475,000     Kodiak Gas Services LLC, 144A, 6.75%, due 10/01/35     488,178  
    515,000     Lamar Media Corp., 3.75%, due 02/15/28     505,043  
    275,000     Level 3 Financing, Inc., 144A, 7.00%, due 03/31/34     285,034  
    270,000     Match Group Holdings II LLC, 144A, 6.13%, due 09/15/33     265,495  
    505,000     MGM Resorts International, 6.13%, due 09/15/29     512,479  
    520,000     Mueller Water Products, Inc., 144A, 4.00%, due 06/15/29     502,326  
    475,000     Murphy Oil Corp., 6.00%, due 10/01/32     477,893  
    545,000     Murphy Oil USA, Inc., 144A, 3.75%, due 02/15/31     507,826  
    470,000     Nabors Industries, Inc., 144A, 7.63%, due 11/15/32     489,950  
    375,000     NRG Energy, Inc., 144A, 3.63%, due 02/15/31     347,792  
    520,000     Olin Corp., 144A, 6.63%, due 04/01/33     516,184  
    510,000     ON Semiconductor Corp., 144A, 3.88%, due 09/01/28     497,584  
    505,000     Organon & Co./Organon Foreign Debt Co-Issuer BV, 144A, 4.13%, due 04/30/28     498,837  
    105,000     Outfront Media Capital LLC/Outfront Media Capital Corp., 144A, 7.38%, due 02/15/31     109,507  
    525,000     Paramount Global, 6.88%, due 04/30/36     485,631  
    460,000     Patrick Industries, Inc., 144A, 6.38%, due 11/01/32     459,449  
    470,000     PBF Holding Co. LLC/PBF Finance Corp., 6.00%, due 02/15/28     470,180  
    180,000     Phinia, Inc., 144A, 6.63%, due 10/15/32     184,689  
    495,000     PRA Group, Inc., 144A, 8.88%, due 01/31/30     508,852  
    210,000     Range Resources Corp., 144A, 4.75%, due 02/15/30     205,509  
    455,000     Resideo Funding, Inc., 144A, 6.50%, due 07/15/32     457,440  
    400,000     Resorts World Las Vegas LLC/RWLV Capital, Inc., Reg S, 4.63%, due 04/16/29     364,113  
    350,000     Seagate Data Storage Technology Pte. Ltd., 144A, 5.75%, due 12/01/34     355,992  
    355,000     Sealed Air Corp., 144A, 6.88%, due 07/15/33     348,820  

Par Value† /

Shares

    Description   Value ($)  
          Corporate Debt — continued  
          United States — continued  
    530,000     Sensata Technologies, Inc., 144A, 3.75%, due 02/15/31     497,074  

  

          470,000     TerraForm Power Operating LLC, 144A, 5.00%, due 01/31/28          467,331  
    430,000     Tidewater, Inc., 144A, 9.13%, due 07/15/30     462,990  
    245,000     TransDigm, Inc., 144A, 6.00%, due 01/15/33     247,801  
    465,000     Travel & Leisure Co., 6.00%, due 04/01/27     465,477  
    485,000     TTM Technologies, Inc., 144A, 4.00%, due 03/01/29     469,762  
    490,000     Twilio, Inc., 3.63%, due 03/15/29     471,858  
    380,000     U.S. Foods, Inc., 144A, 4.63%, due 06/01/30     369,378  
    390,000     Vertiv Group Corp., 144A, 4.13%, due 11/15/28     385,271  
    530,000     VF Corp., 2.95%, due 04/23/30     479,774  
    420,000     Viasat, Inc., 144A, 5.63%, due 04/15/27     419,444  
    50,000     Weatherford International Ltd., 144A, 6.75%, due 10/15/33     51,450  
    205,000     WESCO Distribution, Inc., 144A, 6.38%, due 03/15/29     209,597  
    345,000     Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp., 144A, 5.25%, due 05/15/27     345,273  
    475,000     XPLR Infrastructure Operating Partners LP, 144A, 7.75%, due 04/15/34     501,577  
     

 

 

 
    Total United States     32,877,684  
     

 

 

 
    Total Corporate Debt     40,098,825  
     

 

 

 
          U.S. Government — 55.3%  
    955,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (a)     955,927  
    160,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.19%, 3.82%, due 10/31/27 (a)     160,275  
    72,995,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (a)     73,006,631  
     

 

 

 
    Total U.S. Government     74,122,833  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $114,161,207)
    114,221,658  
     

 

 

 
          SHORT-TERM INVESTMENTS — 13.8%  
          Money Market Funds — 0.7%  
    961,347     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     961,347  
     

 

 

 
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Sovereign and Sovereign Agency Issuers — 12.6%  

JPY

    2,695,000,000     Japan Treasury Discount Bills, Zero Coupon, due 07/10/26     16,906,851  
     

 

 

 
          U.S. Government — 0.5%      

  

          700,000     U.S. Treasury Notes, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 04/30/28     700,162  
     

 

 

 
   

TOTAL SHORT-TERM INVESTMENTS

(COST $18,535,725)

      18,568,360  
     

 

 

 
   

TOTAL INVESTMENTS — 99.0%

(Cost $132,696,932)

    132,790,018  
    Other Assets and Liabilities (net) — 1.0%     1,325,204  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $134,115,222  
     

 

 

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

 

Forward Currency Contracts

 

Settlement

Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net Unrealized
Appreciation
(Depreciation) ($)
 
07/10/2026   JPM   JPY     2,695,000,000       USD       16,998,003     $ 23,666  
           

 

 

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
40   U.S. Treasury Note 10 Yr. (CBT)     September 2026       4,393,125       13,347  
51   U.S. Treasury Note 2 Yr. (CBT)     September 2026       10,534,687       23,361  
87   U.S. Treasury Note 5 Yr. (CBT)     September 2026       9,327,352       17,540  
     

 

 

   

 

 

 
      $ 24,255,164     $ 54,248  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  

Notional

Amount

     Annual
Premium
     Implied
Credit
Spread (1)
     Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

Sell Protection^:

                            

CDX.NA.HY.46

   USD     34,188,660        5.00%        3.02%        34,188,660 USD        06/20/2031        Quarterly      $ 1,569,338      $ 2,851,368      $ 1,282,030  
                      

 

 

    

 

 

    

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Credit Default Swaps — continued

 

(1) 

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

  Notional
Amount
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

SOFR

  Total Return on iBoxx USD Liquid High Yield Index   BNP     USD       29,591,000       06/20/2026       Quarterly             505,005       505,005  

SOFR

  Total Return on iBoxx USD Liquid High Yield Index   BOA     USD       24,170,000       06/20/2026       Quarterly             440,983       440,983  
             

 

 

   

 

 

   

 

 

 
              $     $ 945,988     $ 945,988  
             

 

 

   

 

 

   

 

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

SOFR - Secured Overnight Financing Rate

Counterparty Abbreviations:

BNP - BNP Paribas

BOA - Bank of America, N.A.

JPM - JPMorgan Chase Bank, N.A.

Currency Abbreviations:

JPY - Japanese Yen

USD - United States Dollar

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 89.1%  
          Asset-Backed Securities — 73.3%      
          Auto Retail Prime — 0.4%      

  

      5,253,144     Chase Auto Owner Trust, Series 24-4A, Class A3, 144A, 4.94%, due 07/25/29          5,281,667  
     

 

 

 
          Auto Retail Subprime — 2.2%      
    6,655,000     Ford Credit Auto Owner Trust, Series 22-1, Class A, 144A, 3.88%, due 11/15/34     6,638,442  
    3,624,134     GM Financial Consumer Automobile Receivables Trust, Series 24-1, Class A3, 4.85%, due 12/18/28     3,637,137  
    7,549,537     Hyundai Auto Receivables Trust, Series 24-A, Class A3, 4.99%, due 02/15/29     7,587,987  
    943,906     Volkswagen Auto Loan Enhanced Trust, Series 23-1, Class A3, 5.02%, due 06/20/28     947,284  
    3,621,000     Volkswagen Auto Loan Enhanced Trust, Series 24-1, Class A3, 4.63%, due 07/20/29     3,639,115  
    5,692,492     World Omni Auto Receivables Trust, Series 24-C, Class A3, 4.43%, due 12/17/29     5,706,898  
     

 

 

 
    Total Auto Retail Subprime     28,156,863  
     

 

 

 
          CMBS CDO — 0.0%      
    8,586,000     ARCap Resecuritization Trust, Series 05-1A, Class B, 144A, 5.55%, due 12/21/42     9  
     

 

 

 
          Collateralized Loan Obligations — 10.0%  
    5,050,833     AGL CLO 12 Ltd., Series 21-12A, Class XR, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.80%, 4.48%, due 10/20/38     5,047,267  
    2,000,000     Allegro CLO X Ltd., Series 19-1A, Class BRR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.60%, 5.28%, due 04/20/32     2,000,702  
    2,454,000     Battalion CLO VIII Ltd., Series 15-8A, Class BR3, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.25%, 4.93%, due 07/18/30     2,455,031  
    3,259,675     Battalion CLO XV Ltd., Series 20-15A, Class A1RR, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.98%, 4.66%, due 01/17/33     3,256,184  
    6,924,369     BlueMountain CLO Ltd., Series 15-4A, Class A1R2, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.95%, 4.63%, due 04/20/30     6,928,116  
    6,818,721     Canyon Capital CLO Ltd., Series 16-1A, Class AR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.33%, 5.00%, due 07/15/31     6,823,808  
    9,260,000     Carlyle U.S. CLO Ltd., Series 19-1A, A2R2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.40%, 5.08%, due 04/20/31     9,273,890  
    2,593,222     Dryden 64 CLO Ltd., Series 18-64A, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.23%, 4.91%, due 04/18/31     2,595,330  

    9,078,004     Dryden 80 CLO Ltd., Series 19-80A, Class ARR, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.95%, 4.63%, due 01/17/33     9,072,729  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued      
          Collateralized Loan Obligations — continued  
    2,199,034     Eaton Vance CLO Ltd., Series 14-1RA, Class BR, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.90%, 4.57%, due 07/15/30     2,199,047  

  

     10,000,000     Galaxy XXII CLO Ltd., Series 16-22A, Class AR4, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.02%, 4.70%, due 04/16/34         10,005,550  
    4,783,772     Gallatin CLO VIII Ltd., Series 17-1A, Class A1R, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.35%, 5.02%, due 07/15/31     4,789,336  
    534,022     Jefferson Mill CLO Ltd., Series 15-1A, Class ARR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.23%, 4.91%, due 10/20/31     534,164  
    3,308,248     LCM 37 Ltd., Series 37A, Class A1R, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.06%, 4.73%, due 04/15/34     3,308,903  
    298,770     LCM XVIII LP, Series 18A, Class CR, 144A, Variable Rate, 3 mo. USD Term SOFR + 2.11%, 5.79%, due 04/20/31     298,697  
    2,473,434     Madison Park Funding XLII Ltd., Series 13A, Class AR2, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.92%, 4.59%, due 11/21/30     2,473,753  
    4,047,920     Mountain View CLO LLC, Series 16-1A, Class AR3, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.88%, 4.55%, due 04/14/33     4,047,786  
    3,641,584     Mountain View CLO Ltd., Series 13-1A, Class BRR , 144A, Variable Rate, 3 mo. USD Term SOFR + 1.93%, 5.60%, due 10/12/30     3,650,892  
    1,645,965     Northwoods Capital XVII Ltd., Series 18-17A, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.32%, 4.99%, due 04/22/31     1,650,023  
    1,083,456     OZLM VII Ltd., Series 14-7A, Class SUB, 144A, Variable Rate, 0.00, due 07/17/26     108  
    4,050,800     OZLM XV Ltd., Series 16-15A, Class A1R3, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.05%, 4.73%, due 04/20/33     4,050,800  
    9,793,487     Riserva CLO Ltd., Series 16-3A, Class AR3, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.05%, 4.73%, due 01/18/34     9,798,374  
    6,000,000     Rockford Tower CLO Ltd., Series 18-1A, Class B, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.98%, 5.62%, due 05/20/31     6,016,674  
    4,156,702     Rockford Tower CLO Ltd., Series 19-2A, Class AR2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.13%, 4.77%, due 08/20/32     4,159,146  

    454,048     Sounds Point CLO IV-R Ltd., Series 13-3RA, Class A, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.41%, 5.09%, due 04/18/31     454,048  
    900,000     THL Credit Wind River CLO Ltd., Series 17-3A, Class AR2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.20%, 4.87%, due 04/15/35     900,264  
    4,353,035     Trinitas CLO XII Ltd., Series 20-12A, Class A1R2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.05%, 4.72%, due 04/25/33     4,350,623  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Collateralized Loan Obligations — continued  

  

      1,230,175     Venture 32 CLO Ltd., Series 18-32A, Class A1, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.36%, 5.04%, due 07/18/31          1,231,999  
    1,114,492     Venture 38 CLO Ltd., Series 19-38A, Class ARR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.00%, 4.66%, due 07/30/32     1,115,105  
    799,791     Voya CLO Ltd., Series 19-2A, Class AR, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.20%, 4.88%, due 07/20/32     800,409  
    1,552,500     Voya CLO Ltd., Series 25-1A, Class X, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.90%, 4.58%, due 04/20/38     1,552,475  
    7,112,945     Wellfleet CLO Ltd., Series 20-1A, Class A1RR, 144A, Variable Rate, 3 mo. USD Term SOFR + 0.99%, 4.66%, due 04/15/33     7,116,501  
    5,368,000     Zais CLO 16 Ltd., Series 20-16A, Class A1R2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.13%, 4.81%, due 10/20/34     5,355,922  
     

 

 

 
    Total Collateralized Loan Obligations     127,313,656  
     

 

 

 
          Commercial Mortgage-Backed Securities — 20.1%  
    15,387,600     BBCMS Mortgage Trust, Series 18-TALL, Class A, 144A, Variable Rate, 1 mo. USD  
    Term SOFR + 0.92%, 4.55%, due 03/15/37     14,588,696  
    4,931,125     Bear Stearns Mortgage Funding Trust, Series 06-AR1, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.53%, 4.12%, due 07/25/36     4,642,164  
    4,825,120     Benchmark Mortgage Trust, Series 18-B8, Class A5, 4.23%, due 01/15/52     4,743,924  
    18,847,000     Benchmark Mortgage Trust, Series 20-B20, Class A5, 2.03%, due 10/15/53     16,681,759  
    11,556,000     Benchmark Mortgage Trust, Series 22-B32, Class A5, Variable Rate, 3.00%, due 01/15/55     10,273,291  
    16,535,000     Benchmark Mortgage Trust, Series 22-B34, Class A5, Variable Rate, 3.79%, due 04/15/55     15,280,753  
    11,790,000     Benchmark Mortgage Trust, Series 19-B15, Class A5, 2.93%, due 12/15/72     10,996,295  
    8,000,000     BX Commercial Mortgage Trust, Series 20-VIV4, Class A, 144A, 2.84%, due 03/09/44     7,420,014  
    8,000,000     BX Commercial Mortgage Trust, Series 20-VIVA, Class D, 144A, Variable Rate, 3.55%, due 03/11/44     7,412,179  
    13,000,000     BX Trust, Series 19-OC11, Class A, 144A, 3.20%, due 12/09/41     12,300,493  
    4,570,000     BX Trust, Series 19-OC11, Class D, 144A, Variable Rate, 3.94%, due 12/09/41     4,321,002  
    9,000,000     BX Trust, Series 19-OC11, Class E, 144A, Variable Rate, 3.94%, due 12/09/41     8,329,581  
    15,516,000     COMM Mortgage Trust, Series 24-277P, Class A, 144A, 6.34%, due 08/10/44     16,110,998  
    26,327,712     COMM Mortgage Trust, Series 18-COR3, Class A3, 4.23%, due 05/10/51     25,882,874  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Commercial Mortgage-Backed
Securities — continued
 

  

      7,865,000     ESTN Trust, Series 26-TOWN, Class A, 144A, Variable Rate, 5.54%, due 05/12/46          7,918,495  
    8,625,000     Grace Trust, Series 20-GRCE, Class A, 144A, 2.35%, due 12/10/40     7,695,590  
    2,566,279     GSMS Trust, Series 26-DAWN, Class A, 144A, Variable Rate, 5.63%, due 04/10/43     2,553,721  
    4,636,000     Houston Galleria Mall Trust, Series 25-HGLR, Class A, 144A, Variable Rate, 5.46%, due 02/05/45     4,742,874  
    11,393,000     JP Morgan Chase Commercial Mortgage Securities Trust, Series 24-OMNI, Class A, 144A, Variable Rate, 5.80%, due 10/05/39     11,489,381  
    14,600,000     MKT Mortgage Trust, Series 20-525M, Class A, 144A, 2.69%, due 02/12/40     13,147,929  
    4,000,000     MTN Commercial Mortgage Trust, Series 26-LPFX, Class A, 144A, Variable Rate, 5.15%, due 05/15/43     4,001,486  
    2,754,000     NYC Commercial Mortgage Trust, Series 26-1PARK, Class A, 144A, Variable Rate, 1 mo. USD Term SOFR + 1.25%, 4.88%, due 02/15/43     2,751,418  
    5,708,086     OBX Trust, Series 25-NQM8, Class A1, 144A, Step Up, 5.47%, due 03/25/65     5,729,258  
    4,000,000     ROCK Trust, Series 24-CNTR, Class A, 144A, 5.39%, due 11/13/41     4,056,313  
    4,000,000     ROCK Trust, Series 24-CNTR, Class E, 144A, 8.82%, due 11/13/41     4,168,919  
    2,265,688     Velocity Commercial Capital Loan Trust, Series 22-1, Class A, 144A, Variable Rate, 3.38%, due 02/25/52     2,006,729  
    3,231,240     WaMu Commercial Mortgage Securities Trust, Series 06-SL1, Class E, 144A, Variable Rate, 5.38%, due 11/23/43     3,206,243  
    11,594,960     WaMu Commercial Mortgage Securities Trust, Series 07-SL3, Class J, 144A, Variable Rate, 6.09%, due 03/23/45     10,709,942  
    2,413,437     WFRBS Commercial Mortgage Trust, Series 14-C21, Class B, Variable Rate, 4.21%, due 08/15/47     2,371,177  
    9,814,966     WFRBS Commercial Mortgage Trust, Series 14-C21, Class C, Variable Rate, 4.23%, due 08/15/47     9,446,807  
     

 

 

 
    Total Commercial Mortgage-Backed Securities     254,980,305  
     

 

 

 
          Credit Cards — 1.1%  
     13,695,000     American Express Credit Account Master Trust, Series 24-3, Class A, 4.65%, due 07/15/29     13,785,051  
     

 

 

 
          Residential Mortgage-Backed Securities —
Other — 10.2%
 
    732,465     ACE Securities Corp. Home Equity Loan Trust, Series 06-ASL1, Class A, Variable Rate, 1 mo. USD Term SOFR + 0.39%, 3.98%, due 02/25/36     46,410  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Residential Mortgage-Backed Securities —
Other — continued
 

  

      1,902,838     ACE Securities Corp. Home Equity Loan Trust, Series 05-SD3, Class M2, Variable Rate, 1 mo. USD Term SOFR + 2.36%, 5.95%, due 08/25/45          1,712,544  
    864,610     American Home Mortgage Assets Trust, Series 06-2, Class 2A1, Variable Rate, 1 mo. USD Term SOFR + 0.49%, 4.08%, due 09/25/46     852,767  
    17,663,707     American Home Mortgage Investment Trust, Series 06-2, Class 4A, Variable Rate, 1 mo. USD Term SOFR + 0.47%, 4.06%, due 02/25/36     499,939  
    6,918,871     Angel Oak Mortgage Trust, Series 25-5, Class A1, 144A, Step Up, 5.57%, due 04/25/70     6,949,007  
    1,577,479     Atlas Senior Loan Fund XV Ltd., Series 19-15A, Class A1R, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.22%, 4.89%, due 10/23/32     1,578,407  
    13,743,281     BankAmerica Manufactured Housing Contract Trust, Series 98-1, Class B2, Variable Rate, 8.00%, due 08/10/25     744,087  
    8,834,023     BCMSC Trust, Series 99-B, Class A4, Variable Rate, 7.30%, due 12/15/16     430,890  
    1,541,843     BCMSC Trust, Series 99-A, Class M1, Variable Rate, 6.79%, due 03/15/29     1,513,251  
    2,928,137     BCMSC Trust, Series 00-A, Class A4, Variable Rate, 8.29%, due 06/15/30     155,583  
    4,287,280     Bear Stearns Mortgage Funding Trust, Series 07-AR1, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.27%, 3.86%, due 01/25/37     3,841,087  
    58,367     Bear Stearns Mortgage Funding Trust, Series 07-SL2, Class 1A, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.02%, due 02/25/37     83,184  
    3,190,404     CHL Mortgage Pass-Through Trust, Series 07-4, Class 1A71, 6.00%, due 05/25/37     1,296,542  
    850,000     COLT Mortgage Loan Trust, Series 26-3, Class A1, 144A, Variable Rate, 5.12%, due 05/25/71     847,564  
    712,211     Conseco Finance Corp., Series 97-6, Class M1, Variable Rate, 7.21%, due 01/15/29     720,469  
    752,772     Conseco Finance Corp., Series 98-6, Class M1, Variable Rate, 6.63%, due 06/01/30     761,142  
    3,835,576     Conseco Finance Securitizations Corp., Series 02-2, Class M2, Variable Rate, 9.16%, due 03/01/33     3,947,433  
    4,206,049     Conseco Finance Securitizations Corp., Series 01-3, Class M1, Variable Rate, 7.15%, due 05/01/33     4,317,309  
    3,377,083     Conseco Finance Securitizations Corp., Series 02-1, Class M2, Variable Rate, 9.55%, due 12/01/33     3,435,229  
    180,938     CoreVest American Finance Trust, Series 21-1, Class A, 144A, 1.57%, due 04/15/53     177,873  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Residential Mortgage-Backed Securities —
Other — continued
 

  

      6,173,234     Cross Mortgage Trust, Series 26-NQM6, Class A1, 144A, Variable Rate, 5.27%, due 05/25/71          6,166,633  
    5,162,711     Dryden 40 Senior Loan Fund, Series 15-40A, Class AR2, 144A, Variable Rate, 3 mo. USD Term SOFR + 1.15%, 4.80%, due 08/15/31     5,167,678  
    6,096,308     FirstKey Homes Trust, Series 21-SFR3, Class A, 144A, 2.14%, due 12/17/38     6,013,012  
    1,779,743     GMACM Home Equity Loan Trust, Series 04-HE3, Class A3, FSA, Variable Rate, 1 mo. USD Term SOFR + 0.61%, 4.20%, due 10/25/34     1,761,669  
    963,821     GMACM Home Equity Loan Trust, Series 07-HE3, Class 2A1, Variable Rate, 7.00%, due 09/25/37     950,323  
    4,328,989     Home Equity Loan Trust, Series 05-HS1, Class AI4, Step Up, 5.36%, due 09/25/35     37,788  
    7,572,884     Home Loan Trust, Series 06-HI4, Class A4, Step Up, 6.22%, due 09/25/36     1,160,963  
    8,236,190     Home Loan Trust, Series 07-HI1, Class A4, Step Up, 6.43%, due 03/25/37     660,847  
    8,472,722     Invitation Homes Trust, Series 24-SFR1, Class A, 144A, 4.00%, due 09/17/41     8,245,494  
    3,325,064     Lehman ABS Manufactured Housing Contract Trust, Series 01-B, Class M2, Variable Rate, 7.17%, due 04/15/40     3,177,950  
    3,445,353     MASTR Second Lien Trust, Series 06-1, Class A, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.02%, due 03/25/36     176,534  
    69,748     Mellon Re-REMICS Pass-Through Trust, Series 04-TBC1, Class A, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.36%, 3.95%, due 02/26/34     65,793  
    620,505     New Century Home Equity Loan Trust, Series 03-B, Class M1, Variable Rate, 1 mo. USD Term SOFR + 1.09%, 4.67%, due 10/25/33     617,724  
     13,443,273     New Century Home Equity Loan Trust, Series 06-S1, Class A2A, Variable Rate, 1 mo. USD Term SOFR + 0.31%, 3.90%, due 03/25/36     260,943  
    7,668,319     New Century Home Equity Loan Trust, Series 06-S1, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.45%, 4.04%, due 03/25/36     148,761  
    20,444,582     New Century Home Equity Loan Trust, Series 06-S1, Class A2B, Variable Rate, 1 mo. USD Term SOFR + 0.51%, 4.10%, due 03/25/36     396,502  
    10,725     Nomura Asset Acceptance Corp. Alternative Loan Trust, Series 05-S3, Class M1, Variable Rate, 1 mo. USD Term SOFR + 1.01%, 4.67%, due 08/25/35 (a)     197,615  
    1,122,385     Oakwood Mortgage Investors, Inc., Series 01-E, Class A2, 5.05%, due 11/15/19     1,088,605  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Residential Mortgage-Backed Securities —
Other — continued
 

  

      356,051     Oakwood Mortgage Investors, Inc., Series 98-A, Class B1, Variable Rate, 7.50%, due 05/15/28            357,483  
    1,476,282     Oakwood Mortgage Investors, Inc., Series 98-D, Class M1, 144A, 7.42%, due 01/15/29     1,487,402  
    5,462,979     Oakwood Mortgage Investors, Inc., Series 99-E, Class A1, Variable Rate, 7.61%, due 03/15/30     1,861,636  
    11,752,084     Oakwood Mortgage Investors, Inc., Series 00-D, Class A4, Variable Rate, 7.40%, due 07/15/30     1,170,502  
    2,751,397     Oakwood Mortgage Investors, Inc., Series 01-B, Class M1, 144A, Variable Rate, 7.92%, due 03/15/31     2,694,952  
    2,376,755     Oakwood Mortgage Investors, Inc., Series 01-D, Class A4, Variable Rate, 6.93%, due 09/15/31     835,265  
    231,814     Oakwood Mortgage Investors, Inc., Series 01-E, Class A3, 5.69%, due 12/15/31     227,501  
    1,658,815     Oakwood Mortgage Investors, Inc., Series 02-C, Class M1, Variable Rate, 6.89%, due 11/15/32     1,666,624  
    1,269,543     Progress Residential Trust, Series 21-SFR10, Class A, 144A, 2.39%, due 12/17/40     1,199,424  
    3,250,041     RALI Trust, Series 05-QS11, Class A1, 5.50%, due 07/25/35     2,742,516  
    9,260,000     RCKT Mortgage Trust, Series 26-CES5, Class A1A, 144A, Step Up, 5.25%, due 05/25/56     9,252,671  
    12,698,411     Tricon American Homes Trust, Series 20-SFR1, Class A, 144A, 1.50%, due 07/17/38     12,643,637  
    9,102,949     Tricon American Homes Trust, Series 20-SFR2, Class A, 144A, 1.48%, due 11/17/39     8,696,542  
    9,839,504     Tricon Residential Trust, Series 24-SFR4, Class A, 144A, 4.30%, due 11/17/41     9,632,885  
    968,906     UCFC Manufactured Housing Contract, Series 98-2, Class M1, 6.73%, due 10/15/29     947,995  
    4,333,099     Verus Securitization Trust, Series 22-5, Class A1, 144A, Step Up, 4.80%, due 04/25/67     4,228,180  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Other     129,850,766  
     

 

 

 
          Residential Mortgage-Backed Securities —
Performing Loans — 0.6%
 
    1,751,568     Ajax Mortgage Loan Trust, Series 21-A, Class A1, 144A, Variable Rate, 1.07%, due 09/25/65     1,585,251  
    3,017,747     COLT Trust, Series 21-RPL1, Class A1, 144A, Variable Rate, 1.67%, due 09/25/61     2,780,204  
    3,512,623     CSMC Trust, Series 21-RPL2, Class A1A, 144A, Variable Rate, 1.11%, due 01/25/60     2,959,303  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Performing Loans     7,324,758  
     

 

 

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Residential Mortgage-Backed
Securities — Prime —2.4%
 

  

      7,232,145     American Home Mortgage Assets Trust, Series 06-4, Class 1A12, Variable Rate, 1 mo. USD Term SOFR + 0.32%, 3.91%, due 10/25/46          3,598,499  
    314,484     Bear Stearns ARM Trust, Series 05-9, Class A1, Variable Rate, 1 yr. CMT + 2.30%, 6.42%, due 10/25/35     304,911  
    3,585,594     CSMC Mortgage-Backed Trust, Series 07-4, Class 2A1, 6.00%, due 06/25/37     1,774,624  
    1,661,619     IndyMac INDA Mortgage Loan Trust, Series 06-AR3, Class 1A1, Variable Rate, 3.82%, due 12/25/36     1,262,349  
    767,301     IndyMac INDA Mortgage Loan Trust, Series 07-AR1, Class 1A1, Variable Rate, 3.88%, due 03/25/37     558,565  
    6,047,470     IndyMac INDX Mortgage Loan Trust, Series 06-AR2, Class 1A1A, Variable Rate, 1 mo. USD Term SOFR + 0.55%, 4.14%, due 04/25/46     5,572,201  
    1,597,079     Morgan Stanley Mortgage Loan Trust, Series 06-2, Class 6A, 6.50%, due 02/25/36     618,453  
    50,789,310     RFMSI Trust, Series 05-SA4, Class 2A2, Variable Rate, 6.23%, due 09/25/35 (a)     1  
    3,576,497     Structured Adjustable Rate Mortgage Loan Trust, Series 05-9, Class 2A2A, Variable Rate, 1 yr. MTA + 1.40%, 5.17%, due 05/25/35     2,863,660  
    2,872,499     Structured Asset Mortgage Investments II Trust, Series 07-AR1, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.02%, due 01/25/37     2,636,281  
    576,393     WaMu Mortgage Pass-Through Certificates Trust, Series 05-AR10, Class 1A3, Variable Rate, 4.47%, due 09/25/35     550,214  
    745,019     WaMu Mortgage Pass-Through Certificates Trust, Series 06-AR19, Class 2A, Variable Rate, 1 yr. MTA + 1.25%, 5.02%, due 01/25/47     678,168  
    1,435,879     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 05-4, Class CB3, Variable Rate, 1 mo. USD Term SOFR + 0.56%, 4.15%, due 06/25/35     1,264,192  
    1,553,919     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 05-10, Class 4CB3, Variable Rate, 1 mo. USD Term SOFR + 0.71%, 4.30%, due 12/25/35     1,392,839  
    3,760,243     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 06-8, Class A5, Step Up, 4.06%, due 10/25/36     1,300,610  
    7,008,715     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 07-5, Class A6, 6.00%, due 06/25/37     6,469,362  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Prime     30,844,929  
     

 

 

 
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Residential Mortgage-Backed
Securities — Subprime — 2.2%
 

  

    609,847     ABFC Trust, Series 05-AQ1, Class A5, Step Up, 4.06%, due 06/25/35     589,322  
    403,041     BCAP LLC Trust, Series 14-RR2, Class 11A3, 144A, Variable Rate, 3.15%, due 05/26/37     396,914  
     13,756,370     Bravo Mortgage Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.71%, 4.30%, due 07/25/36         12,544,553  
    5,583,561     Carrington Mortgage Loan Trust, Series 06-FRE2, Class A2, Variable Rate, 1 mo. USD Term SOFR + 0.23%, 3.82%, due 10/25/36     4,738,403  
    265,862     Carrington Mortgage Loan Trust, Series 07-RFC1, Class A3, Variable Rate, 1 mo. USD Term SOFR + 0.39%, 3.98%, due 12/25/36     261,429  
    619,965     CHL Mortgage Pass-Through Trust, Series 04-HYB6, Class A2, Variable Rate, 5.23%, due 11/20/34     601,516  
    1,765,120     First Franklin Mortgage Loan Trust, Series 06-FF12, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.22%, 3.80%, due 09/25/36     1,669,452  
    1,724,941     Home Equity Asset Trust, Series 06-2, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.68%, 4.27%, due 05/25/36     1,712,158  
    630,583     Lehman XS Trust, Series 07-15N, Class 2A1, Variable Rate, 1 mo. USD Term SOFR + 0.61%, 4.20%, due 08/25/37     625,418  
    2,153,245     Residential Asset Mortgage Products Trust, Series 05-RS1, Class MII2, Variable Rate, 1 mo. USD Term SOFR + 1.31%, 4.90%, due 01/25/35     2,089,280  
    831,205     Saxon Asset Securities Trust, Series 04-3, Class M1, Variable Rate, 1 mo. USD Term SOFR + 1.01%, 4.60%, due 12/26/34     813,637  
    1,404,604     Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 06-AR9, Class 2A, Variable Rate, 1 yr. MTA + 0.84%, 4.61%, due 11/25/46     1,230,086  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Subprime     27,272,168  
     

 

 

 
          Residential Mortgage-Backed Securities —
Alt-A — 3.2%
 
    462,448     Bear Stearns ALT-A Trust, Series 04-11, Class 1M1, Variable Rate, 1 mo. USD Term SOFR + 1.01%, 4.60%, due 11/25/34     463,453  
    1,540,456     Bear Stearns ALT-A Trust, Series 07-1, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.02%, due 01/25/47     1,458,041  
    1,113,520     Bear Stearns Asset-Backed Securities I Trust, Series 04-AC5, Class A1, Step Up, 5.75%, due 10/25/34     1,072,604  
    3,128,849     Citigroup Mortgage Loan Trust, Inc., Series 06-AR5, Class 2A2A, Variable Rate, 4.69%, due 07/25/36     1,685,647  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Residential Mortgage-Backed Securities —
Alt-A — continued
 
    85,489     Countrywide Alternative Loan Trust, Series 04-J11, Class 1CB1, 5.50%, due 11/25/34     85,397  
      1,921,733     Countrywide Alternative Loan Trust, Series 05-18CB, Class A8, 5.50%, due 05/25/35           1,401,395  

  

    1,470,622     Countrywide Alternative Loan Trust, Series 06-7CB, Class 1A1, Variable Rate, 1 mo. USD Term SOFR + 0.81%, 4.40%, due 05/25/36     574,675  
    1,518,127     Countrywide Alternative Loan Trust, Series 06-28CB, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.81%, 4.40%, due 10/25/36     511,849  
    2,026,932     Deutsche Alt-A Securities, Inc. Mortgage Loan Trust, Series 06-AF1, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.71%, 4.30%, due 04/25/36     1,941,041  
    7,046,642     Deutsche Alt-A Securities, Inc. Mortgage Loan Trust, Series 07-AR2, Class A1, Variable Rate, 1 mo. USD Term SOFR + 0.41%, 4.00%, due 03/25/37     6,791,138  
    3,937,197     Fieldstone Mortgage Investment Trust, Series 04-4, Class M4, Variable Rate, 1 mo. USD Term SOFR + 2.66%, 6.25%, due 10/25/35     2,510,641  
    10,122,666     GSAA Home Equity Trust, Series 06-9, Class A3, Variable Rate, 1 mo. USD Term SOFR + 0.43%, 4.02%, due 06/25/36     1,769,873  
    9,975,307     GSR Mortgage Loan Trust, Series 07-OA2, Class 1A1, Variable Rate, 3.17%, due 06/25/47     5,667,202  
    4,993,307     HarborView Mortgage Loan Trust, Series 07-4, Class 2A1, Variable Rate, 1 mo. USD Term SOFR + 0.55%, 3.95%, due 07/19/37     4,918,945  
    26,996     JP Morgan Resecuritization Trust, Series 09-10, Class 7A1, 144A, Variable Rate, 6.05%, due 02/26/37     21,772  
    911,630     Merrill Lynch First Franklin Mortgage Loan Trust, Series 07-H1, Class 2A1, Variable Rate, 1 mo. USD Term SOFR + 3.11%, 6.70%, due 10/25/37     875,227  
    3,453,560     Residential Asset Securitization Trust, Series 25-A8CB, Class A6, 5.00%, due 07/25/35     1,572,334  
    15,320,011     Residential Asset Securitization Trust, Series 06-A7CB, Class 3A1, 6.50%, due 07/25/36     3,442,947  
    7,509,182     Terwin Mortgage Trust, Series 06-7, Class 2A3, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.65%, 4.24%, due 08/25/37     3,229,874  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Alt-A     39,994,055  
     

 

 

 
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Small Balance Commercial Mortgages — 4.1%  

  

      1,741,041     Bayview Commercial Asset Trust, Series 05-2A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.58%, 4.16%, due 08/25/35          1,703,831  
    905,864     Bayview Commercial Asset Trust, Series 05-4A, Class A2, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.70%, 4.35%, due 01/25/36     868,619  
    1,161,772     Bayview Commercial Asset Trust, Series 06-1A, Class A2, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.65%, 4.24%, due 04/25/36     1,104,429  
    467,007     Bayview Commercial Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.68%, 4.27%, due 04/25/36     439,550  
    644,695     Bayview Commercial Asset Trust, Series 06-2A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.46%, 4.04%, due 07/25/36     627,003  
    1,318,733     Bayview Commercial Asset Trust, Series 06-2A, Class A2, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.53%, 4.12%, due 07/25/36     1,285,009  
    2,568,525     Bayview Commercial Asset Trust, Series 06-3A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.49%, 4.07%, due 10/25/36     2,495,835  
    5,175,460     Bayview Commercial Asset Trust, Series 06-SP2, Class A, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.53%, 4.12%, due 01/25/37     4,946,983  
    812,647     Bayview Commercial Asset Trust, Series 07-1, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.44%, 4.03%, due 03/25/37     780,777  
    1,486,038     Bayview Commercial Asset Trust, Series 07-3, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.47%, 4.06%, due 07/25/37     1,430,197  
    4,185,861     Bayview Commercial Asset Trust, Series 07-2A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.52%, 4.10%, due 07/25/37     3,931,137  
    5,376,096     Bayview Commercial Asset Trust, Series 07-4A, Class A1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.79%, 4.37%, due 09/25/37     5,120,097  
    595,664     Bayview Commercial Asset Trust, Series 08-1, Class A4, 144A, Variable Rate, 1 mo. USD Term SOFR + 2.36%, 5.95%, due 01/25/38     593,376  
    69,184,182     FRESB Mortgage Trust, Series 20-SB76, Class X1, IO, Variable Rate, 0.00, due 05/25/30     1,598,826  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Small Balance Commercial Mortgages — continued  
    82,131,039     FRESB Mortgage Trust, Series 19-SB63, Class X1, Variable Rate, 1.56%, due 04/25/39          2,063,624  
    30,778,946     FRESB Mortgage Trust, Series 20-SB74, Class X1, Variable Rate, 0.00, due 03/25/40     810,308  

  

    189,488,596     FRESB Mortgage Trust, Series 20-SB77, Class X1, IO, Variable Rate, 0.18%, due 06/25/40     6,586,264  
    1,295,000     Harvest Commercial Capital Loan Trust, Series 19-1, Class M4, 144A, Variable Rate, 4.64%, due 09/25/46     1,256,725  
    3,500,000     Harvest Commercial Capital Loan Trust, Series 19-1, Class M5, 144A, Variable Rate, 5.73%, due 09/25/46     3,386,658  
    3,230,000     Harvest Commercial Capital Loan Trust, Series 20-1, Class M4, 144A, Variable Rate, 5.96%, due 04/25/52     3,156,462  
    1,532,289     Harvest Commercial Capital Loan Trust, Series 24-1, Class A, 6.16%, due 10/25/56     1,551,439  
    1,877,652     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-1A, Class M1, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.61%, 4.20%, due 03/25/37     1,734,488  
    606,569     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-3A, Class M1, 144A, Variable Rate, 5.30%, due 10/25/37     615,748  
    3,391,461     Velocity Commercial Capital Loan Trust, Series 21-4, Class A, 144A, Variable Rate, 2.52%, due 12/26/51     3,054,377  
    1,196,482     Velocity Commercial Capital Loan Trust, Series 21-4, Class M3, 144A, Variable Rate, 3.81%, due 12/26/51     991,169  
     

 

 

 
    Total Small Balance Commercial Mortgages     52,132,931  
     

 

 

 
          Student Loans — Federal Family Education Loan
Program — 3.7%
 
    6,493,782     AccessLex Institute, Series 04-2, Class A4, Variable Rate, 90 day USD SOFR Average + 0.60%, 4.27%, due 04/26/32     6,442,115  
    2,872,714     AccessLex Institute, Series 04-2, Class B, Variable Rate, 90 day USD SOFR Average + 0.96%, 4.63%, due 01/25/43     2,650,930  
    8,922,866     SLC Student Loan Trust, Series 08-2, Class A4, Variable Rate, 90 day USD SOFR Average + 1.16%, 4.85%, due 06/15/40     8,850,990  
    3,324,957     SLM Student Loan Trust, Series 07-7, Class A4, Variable Rate, 90 day USD SOFR Average + 0.59%, 4.26%, due 01/25/22     3,288,372  
    6,204,406     SLM Student Loan Trust, Series 08-4, Class A4, Variable Rate, 90 day USD SOFR Average + 1.91%, 5.58%, due 07/25/22     6,197,678  
    13,674,624     SLM Student Loan Trust, Series 08-6, Class A4, Variable Rate, 90 day USD SOFR Average + 1.36%, 5.03%, due 07/25/23     13,530,048  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Student Loans — Federal Family Education Loan
Program — continued
 
    5,843,932     SLM Student Loan Trust, Series 08-5, Class A4, Variable Rate, 90 day USD SOFR Average + 1.96%, 5.63%, due 07/25/23     5,866,822  
     

 

 

 
    Total Student Loans — Federal Family Education Loan Program         46,826,955  
     

 

 

 
          Student Loans — Private — 13.1%  

  

      2,383,071     Commonbond Student Loan Trust, Series 21-AGS, Class A, 144A, 1.20%, due 03/25/52     2,060,230  
    3,861,166     KeyCorp Student Loan Trust, Series 05-A, Class 2C, Variable Rate, 3 mo. USD Term SOFR + 1.56%, 5.27%, due 12/27/38     3,795,978  
    10,482,945     KeyCorp Student Loan Trust, Series 06-A, Class 2C, Variable Rate, 3 mo. USD Term SOFR + 1.41%, 5.12%, due 03/27/42     8,446,168  
    3,165,822     KeyCorp Student Loan Trust, Series 04-A, Class 2D, Variable Rate, 3 mo. USD Term SOFR + 1.51%, 5.18%, due 07/28/42     3,074,284  
    8,758,011     National Collegiate Commutation Trust, Series 07-3, Class A3R4, 144A, Variable Rate, 8.64%, due 03/31/38 (a)     996,224  
    7,625,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R7, Variable Rate, 28 day ARS + 0.00%, 8.07%, due 03/25/38 (a)     867,344  
    423,652     National Collegiate Student Loan Trust, Series 06-4, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.42%, 4.01%, due 05/25/32     422,503  
    5,440,000     National Collegiate Student Loan Trust, Series 06-4, Class B, Variable Rate, 1 mo. USD Term SOFR + 0.45%, 4.04%, due 05/25/32     3,082,365  
    2,128,138     National Collegiate Student Loan Trust, Series 07-2, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.40%, 3.99%, due 01/25/33     2,093,956  
    2,152,242     National Collegiate Student Loan Trust, Series 06-1, Class A5, Variable Rate, 1 mo. USD Term SOFR + 0.46%, 4.05%, due 03/25/33     2,134,113  
    564,137     National Collegiate Student Loan Trust, Series 05-2, Class A51, Variable Rate, 1 mo. USD Term SOFR + 0.48%, 4.07%, due 06/25/33     560,818  
    5,351,968     National Collegiate Student Loan Trust, Series 07-1, Class A4, Variable Rate, 1 mo. USD Term SOFR + 0.42%, 4.00%, due 10/25/33     5,301,675  
    24,944     National Collegiate Student Loan Trust, Series 07-3, Class A3A4, Variable Rate, 7.26%, due 03/25/38 (b)     19,442  
    75,000     National Collegiate Student Loan Trust, Series 07-4, Class A3A7, Variable Rate, 7.75%, due 03/25/38 (b)     58,455  

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Student Loans — Private — continued  

  

    2,714,389     Navient Private Education Refi Loan Trust, Series 21-DA, Class A, 144A, Variable Rate, U.S. (Fed) Prime Rate - 1.99%, 4.76%, due 04/15/60     2,652,101  
    3,309,652     Navient Private Education Refi Loan Trust, Series 22-A, Class A, 144A, 2.23%, due 07/15/70          3,013,346  
    1,095,811     Navient Student Loan Trust, Series 23-BA, Class A1B, 144A, Variable Rate, 30 day USD SOFR Average + 1.70%, 5.34%, due 03/15/72     1,101,449  
    798,086     Navient Student Loan Trust, Series 23-BA, Class A1A, 144A, 6.48%, due 03/15/72     813,413  
    1,662,215     Nelnet Student Loan Trust, Series 21-A, Class APT1, 144A, 1.36%, due 04/20/62     1,584,853  
    2,515,898     Nelnet Student Loan Trust, Series 21-DA, Class AFL, 144A, Variable Rate, 1 mo. USD Term SOFR + 0.80%, 4.41%, due 04/20/62     2,506,267  
    1,939,289     SLM Private Credit Student Loan Trust, Series 03-A, Class C, Variable Rate, 3 mo. USD Term SOFR + 1.86%, 5.54%, due 06/15/32     789,575  
    1,621,000     SLM Private Credit Student Loan Trust, Series 03-A, Class A3, Variable Rate, 6.94%, due 06/15/32 (b)     1,617,434  
    11,085,731     SLM Private Credit Student Loan Trust, Series 03-C, Class C, Variable Rate, 3 mo. USD Term SOFR + 1.86%, 5.54%, due 09/15/32     2,336,504  
    750,000     SLM Private Credit Student Loan Trust, Series 03-C, Class A3, Variable Rate, 8.07%, due 09/15/32 (b)     748,350  
    7,367,782     SLM Private Credit Student Loan Trust, Series 03-B, Class C, Variable Rate, 3 mo. USD Term SOFR + 1.86%, 5.54%, due 03/15/33     1,974,514  
    1,400,100     SLM Private Credit Student Loan Trust, Series 04-A, Class A3, Variable Rate, 3 mo. USD Term SOFR + 0.66%, 4.34%, due 06/15/33     1,398,621  
    4,386,933     SLM Private Credit Student Loan Trust, Series 04-B, Class A4, Variable Rate, 3 mo. USD Term SOFR + 0.69%, 4.37%, due 09/15/33     4,340,285  
    13,539,786     SLM Private Credit Student Loan Trust, Series 05-A, Class A4, Variable Rate, 3 mo. USD Term SOFR + 0.57%, 4.25%, due 12/15/38     13,461,235  
    13,704,817     SLM Private Credit Student Loan Trust, Series 06-A, Class A5, Variable Rate, 3 mo. USD Term SOFR + 0.55%, 4.23%, due 06/15/39     13,412,952  
    16,796,589     SLM Private Credit Student Loan Trust, Series 05-B, Class A4, Variable Rate, 3 mo. USD Term SOFR + 0.59%, 4.27%, due 06/15/39     16,596,953  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description   Value ($)  
          Asset-Backed Securities — continued  
          Student Loans - Private — continued  

  

      3,958,578     SLM Private Credit Student Loan Trust, Series 06-BW, Class A5, Variable Rate, 3 mo. USD Term SOFR + 0.46%, 4.14%, due 12/15/39          3,885,445  
    6,652,576     SLM Private Credit Student Loan Trust, Series 06-B, Class A5, Variable Rate, 3 mo. USD Term SOFR + 0.53%, 4.21%, due 12/15/39     6,528,467  
    2,672,291     SLM Private Credit Student Loan Trust, Series 06-C, Class C, Variable Rate, 3 mo. USD Term SOFR + 0.65%, 4.33%, due 12/15/39     2,540,890  
    7,590,201     SLM Private Credit Student Loan Trust, Series 07-A, Class A4A, Variable Rate, 3 mo. USD Term SOFR + 0.50%, 4.18%, due 12/16/41     7,503,177  
    3,101,867     SLM Private Education Loan Trust, Series 10-C, Class A5, 144A, Variable Rate, 1 mo. USD Term SOFR + 4.86%, 8.49%, due 10/15/41     3,242,361  
    938,929     SLM Student Loan Trust, Series 08-2, Class A3, Variable Rate, 90 day USD SOFR Average + 1.01%, 4.68%, due 04/25/23     938,907  
    1,150,000     SMB Private Education Loan Trust, Series 14-A, Class C, 144A, 4.50%, due 09/15/45     1,033,903  
    6,897,863     SMB Private Education Loan Trust, Series 21-A, Class B, 144A, 2.31%, due 01/15/53     6,715,839  
    1,000     SMB Private Education Loan Trust, Series 23-B, Class R, 144A, 0.00, due 10/16/56 (b)     295,535  
    448,117     Towd Point Asset Trust, Series 18-SL1, Class B, 144A, Variable Rate, 1 mo. USD Term SOFR + 1.16%, 4.75%, due 01/25/46     448,100  
    6,897,850     Towd Point Asset Trust, Series 21-SL1, Class A1, 144A, 1.05%, due 11/20/61     6,724,579  
    6,900,000     Towd Point Asset Trust, Series 21-SL1, Class B, 144A, Variable Rate, 1 mo. USD Term SOFR + 1.16%, 4.77%, due 11/20/61     6,854,758  
    17,741,000     Towd Point Asset Trust, Series 21-SL1, Class C, 144A, Variable Rate, 1 mo. USD Term SOFR + 1.51%, 5.12%, due 11/20/61     17,547,644  
     

 

 

 
    Total Student Loans — Private     165,521,012  
     

 

 

 
    Total Asset-Backed Securities     929,285,125  
     

 

 

 

Par Value† /

Shares

    Description   Value ($)  
          U.S. Government — 13.1%      
    13,200,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (c)         13,212,822  

  

    153,150,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (c)     153,174,403  
     

 

 

 
    Total U.S. Government     166,387,225  
     

 

 

 
          U.S. Government Agency — 2.7%      
    13,800,000     Uniform Mortgage-Backed Security, TBA, 5.50%, due 06/01/39     14,042,579  
    7,000,000     Uniform Mortgage-Backed Security, TBA, 2.50%, due 06/01/56     5,856,216  
    14,500,000     Uniform Mortgage-Backed Security, TBA, 6.00%, due 06/01/56     14,805,517  
     

 

 

 
    Total U.S. Government Agency     34,704,312  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $1,214,720,689)
    1,130,376,662  
     

 

 

 
          INVESTMENT FUNDS — 1.7%      
          United States — 1.7%      
    2,323,242     GMO U.S. Treasury Fund, Class VI (d)     11,639,444  
    199,600     GMO Ultra-Short Income ETF (d)     9,988,982  
     

 

 

 
    Total United States     21,628,426  
     

 

 

 
    TOTAL INVESTMENT FUNDS (COST $21,710,407)     21,628,426  
     

 

 

 
          SHORT-TERM INVESTMENTS — 9.8%  
          Money Market Funds — 0.2%  
    2,474,436     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (e)     2,474,436  
     

 

 

 
          Repurchase Agreements — 9.6%      
    122,000,950     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/29/2026 maturing on 06/01/26 with a maturity value of $122,037,753 and an effective yield of 3.62%, collateralized by a U.S. Treasury Note with maturity date 06/15/28 and a market value of $124,509,192.        122,000,950  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $124,475,386)     124,475,386  
     

 

 

 
 

 

   


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

PURCHASED OPTIONS — 0.0%

 

Description   Exercise
Price
  Expiration
Date
    Number of
Contracts
   

Notional

Amount

   

Value

($)

 
Equity Options – Calls — 0.0%          

iShares 20+ Year Treasury Bond ETF (f)

  86.00     09/18/26       82,000     USD  7,032,320       143,500  

iShares 7-10 Year Treasury Bond ETF (f)

  95.00     09/18/26       41,000     USD 3,880,650       45,100  
         

 

 

 
          Total Equity Options – Calls       188,600  
         

 

 

 

          TOTAL PURCHASED OPTIONS

          (COST $175,877)

 

 

        188,600  
         

 

 

 

          TOTAL INVESTMENTS — 100.6%

          (Cost $1,361,082,359)

 

 

        1,276,669,074  
         

 

 

 
    

Par
Value†

    Description   Value ($)  

    SECURITIES SOLD SHORT — (0.8)%

 

          DEBT OBLIGATIONS — (0.8)%  
          U.S. Government Agency — (0.8)%  
    (10,500,000   Uniform Mortgage-Backed Security, TBA, 6.00%, due 06/01/56     (10,724,518
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(PROCEEDS $10,714,102)
    (10,724,518
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $10,714,102)
    (10,724,518
     

 

 

 
    Other Assets and Liabilities (net) — 0.2%     2,650,225  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,268,594,781  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

 

 

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net Unrealized
Appreciation
(Depreciation) ($)
 
08/31/2026   JPM   USD     2,622,044       EUR       2,245,000       6,324  
08/31/2026   MSCI   EUR     1,745,000       USD       2,037,712       (5,273
08/31/2026   JPM   EUR     4,598,000       USD       5,370,227       (12,952
           

 

 

 
            $ (11,901
           

 

 

 
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
770   U.S. Treasury Note 10 Yr. (CBT)     September 2026       84,567,656       176,392  
1,455   U.S. Treasury Note 2 Yr. (CBT)     September 2026       300,548,438       676,918  
265   U.S. Treasury Ultra 10 Yr. (CBT)     September 2026       29,700,703       115,588  
     

 

 

   

 

 

 
      $ 414,816,797     $ 968,898  
     

 

 

   

 

 

 
Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
25   BBG U.S. Corporate Investment Grade Duration-Hedged Index Futures     June 2026       2,812,500       (1,920
306   U.S. Treasury Note 5 Yr. (CBT)     September 2026       32,806,547       (40,999
6   U.S. Ultra Bond (CBT)     September 2026       686,438       (11,259
     

 

 

   

 

 

 
      $ 36,305,485     $ (54,178
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Written Options

 

Description

    

Exercise
Price

     Expiration
Date
       Number of
Contracts
       Notional
Amount
    Value ($)  

Equity Options — Calls

                       

iShares iBoxx USD Investment Grade Corporate Bond ETF (f)

     109.00        09/18/26          (1,261        USD       (13,790,296     (308,945
                       

 

 

 
                
TOTAL WRITTEN OPTIONS
(Premiums $172,346)

 
    $(308,945)  
                       

 

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional

Amount

 

Annual
Premium

  Implied
Credit
Spread (1)
  Maximum
Potential

Amount of
Future
Payments by
the Fund
Under  the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/

(Received) ($)
    Value ($)     Net Unrealized
Appreciation/

(Depreciation) ($)
 

Buy Protection^:

 

ITRAXX.EUR.42

  EUR   47,150,000   1.00%   0.36%     N/A       12/20/2029       Quarterly       (881,120     (1,201,547     (320,427

CDX.NA.IG.S45

  USD   39,820,000   1.00%   0.47%     N/A       12/20/2030       Quarterly       (781,419     (887,707     (106,288

ITRAXX.FINSR.44

  EUR   104,424,000   1.00%   0.48%     N/A       12/20/2030       Quarterly       (2,290,098     (2,689,956     (399,858

ITRAXX.XO.44

  EUR   10,290,000   5.00%   2.23%     N/A       12/20/2030       Quarterly       (1,331,030     (1,338,395     (7,365

CDX.NA.IG.46.V1

  USD   117,930,000   1.00%   0.51%     N/A       06/20/2031       Quarterly       (1,990,395     (2,654,133     (663,738

Sell Protection^:

 

CDX.NA.IG.46.V1

  USD   2,387,000   1.00%   0.90%     2,387,000 USD       06/20/2036       Quarterly       16,887       18,418       1,531  
               

 

 

   

 

 

   

 

 

 
                $ (7,257,175   $ (8,753,320   $ (1,496,145
 

 

 

   

 

 

   

 

 

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — continued

OTC Credit Default Swaps

 

Reference Entity

 

Counter-
party

 

Notional

Amount

    Annual
Premium
  Implied
Credit
Spread (1)
  Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
  Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CDX.NA.HY.43

  GS   USD     11,900,000     5.00%   1.89%   N/A     12/20/2029     Quarterly     (896,533     (1,221,585     (325,052

ITRAXX.EUR.44

  BOA   EUR     1,690,000     1.00%   5.97%   N/A     12/20/2030     Quarterly     403,818       385,600       (18,218

ITRAXX.EUR.44

  BOA   EUR     3,705,000     1.00%   1.44%   N/A     12/20/2030     Quarterly     96,206       82,144       (14,062

CMBX.NA.A.7

  CGMI   USD     240,243     2.00%   83.55%   N/A     01/17/2047     Monthly     15,087       38,831       23,744  

CMBX.NA.A.7

  CGMI   USD     1,691,852     2.00%   83.55%   N/A     01/17/2047     Monthly     100,453       273,457       173,004  

CMBX.NA.A.7

  GS   USD     480,486     2.00%   83.55%   N/A     01/17/2047     Monthly     26,454       77,662       51,208  

CMBX.NA.AS.7

  BOA   USD     192,546     1.00%   1.74%   N/A     01/17/2047     Monthly     2,024       120       (1,904

CMBX.NA.AS.7

  DB   USD     325,170     1.00%   1.74%   N/A     01/17/2047     Monthly     (5,125     203       5,328  

CMBX.NA.AS.7

  DB   USD     712,819     1.00%   1.74%   N/A     01/17/2047     Monthly     8,435       446       (7,989

CMBX.NA.AS.7

  GS   USD     188,059     1.00%   1.74%   N/A     01/17/2047     Monthly     4,822       118       (4,704

CMBX.NA.AS.7

  MORD   USD     567,167     1.00%   1.74%   N/A     01/17/2047     Monthly     8,795       354       (8,441

CMBX.NA.AA.11

  CGMI   USD     4,000,000     1.50%   1.74%   N/A     11/18/2054     Monthly     (6,041     12,444       18,485  

CMBX.NA.AA.11

  CGMI   USD     4,626,000     1.50%   1.74%   N/A     11/18/2054     Monthly     (63,740     14,392       78,132  

CMBX.NA.AA.11

  MORD   USD     4,624,500     1.50%   1.74%   N/A     11/18/2054     Monthly     (67,279     14,387       81,666  

CMBX.NA.AA.11

  MORD   USD     4,624,500     1.50%   1.74%   N/A     11/18/2054     Monthly     (61,372     14,386       75,758  

CMBX.NA.BBB-.11

  CGMI   USD     2,167,000     3.00%   12.16%   N/A     11/18/2054     Monthly     331,822       247,851       (83,971

CMBX.NA.BBB-.11

  GS   USD     9,940,000     3.00%   12.16%   N/A     11/18/2054     Monthly     1,289,094       1,136,888       (152,206

CMBX.NA.A.8

  CGMI   USD     2,484,076     2.00%   32.18%   N/A     10/17/2057     Monthly     130,414       148,427       18,013  

CMBX.NA.A.8

  GS   USD     908,675     2.00%   32.18%   N/A     10/17/2057     Monthly     15,348       54,295       38,947  

CMBX.NA.A.8

  MORD   USD     993,631     2.00%   32.18%   N/A     10/17/2057     Monthly     53,408       59,371       5,963  

CMBX.NA.BBB-.18

  GS   USD     5,156,000     3.00%   5.93%   N/A     12/17/2057     Monthly     331,917       415,638       83,721  

CMBX.NA.BBB-.18

  GS   USD     8,160,000     3.00%   5.93%   N/A     12/17/2057     Monthly     633,175       657,798       24,623  

CMBX.NA.BBB-.18

  MSCI   USD     5,156,000     3.00%   5.93%   N/A     12/17/2057     Monthly     360,920       415,638       54,718  

CMBX.NA.BBB-.9

  MORD   USD     2,692,009     3.00%   185.49%   N/A     09/17/2058     Monthly     307,632       882,474       574,842  

CMBX.NA.AA.12

  GS   USD     6,974,000     1.50%   1.71%   N/A     08/17/2061     Monthly     (61,731     30,476       92,207  

CMBX.NA.AA.6

  GS   USD     487,718     1.50%   64.34%   N/A     05/11/2063     Monthly     3,617       57,135       53,518  

CMBX.NA.BBB-.6

  CGMI   USD     1,203,681     3.00%   59.59%   N/A     05/11/2063     Monthly     382,269       304,682       (77,587

CMBX.NA.BBB-.6

  GS   USD     1,149,045     3.00%   59.59%   N/A     05/11/2063     Monthly     162,303       290,852       128,549  

CMBX.NA.A.15

  CGMI   USD     5,000,000     2.00%   2.95%   N/A     11/18/2064     Monthly     600,000       202,648       (397,352

CMBX.NA.A.15

  MORD   USD     3,000,000     2.00%   2.95%   N/A     11/18/2064     Monthly     287,104       121,589       (165,515


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — continued

OTC Credit Default Swaps — continued

 

Reference Entity

 

Counter-
party

 

Notional

Amount

    Annual
Premium
  Implied
Credit
Spread (1)
  Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
  Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

CMBX.NA.A.15

  MSCI   USD     4,560,000     2.00%   2.95%   N/A     11/18/2064     Monthly     275,394       184,815       (90,579

CMBX.NA.BBB-.15

  CGMI   USD     5,000,000     3.00%   6.76%   N/A     11/18/2064     Monthly     796,876       729,688       (67,188

CMBX.NA.BBB-.15

  GS   USD     5,000,000     3.00%   6.76%   N/A     11/18/2064     Monthly     787,500       729,688       (57,812

CMBX.NA.BBB-.15

  MSCI   USD     5,000,000     3.00%   6.76%   N/A     11/18/2064     Monthly     718,500       729,688       11,188  

CMBX.NA.A.14

  GS   USD     2,682,000     2.00%   3.38%   N/A     12/16/2072     Monthly     349,769       129,901       (219,868

CMBX.NA.AA.13

  CGMI   USD     2,000,000     1.50%   1.86%   N/A     12/16/2072     Monthly     147,238       21,611       (125,627

CMBX.NA.AA.13

  CGMI   USD     3,000,000     1.50%   1.86%   N/A     12/16/2072     Monthly     138,948       32,416       (106,532

CMBX.NA.BBB-.14

  CGMI   USD     3,933,500     3.00%   8.08%   N/A     12/16/2072     Monthly     1,111,213       642,881       (468,332

CMBX.NA.BBB-.14

  GS   USD     1,360,000     3.00%   8.08%   N/A     12/16/2072     Monthly     340,000       222,275       (117,725

Sell Protection^:

 

CDX.NA.HY.43

  GS   USD     18,250,000     5.00%   0.75%   18,250,000 USD     12/20/2029     Quarterly     2,749,160       2,591,261       (157,899

CDX.NA.HY.43

  MSCI   USD     3,967,000     5.00%   0.75%   3,967,000 USD     12/20/2029     Quarterly     595,601       563,262       (32,339

CDX.NA.HY.43

  GS   USD     3,060,000     5.00%   0.75%   3,060,000 USD     12/20/2029     Quarterly     288,677       434,480       145,803  

CDX.NA.HY.43

  GS   USD     3,060,000     5.00%   1.89%   3,060,000 USD     12/20/2029     Quarterly     (161,755     314,122       475,877  

ITRAXX.EUR.42

  BOA   EUR     78,580,000     1.00%   0.17%   78,580,000 EUR     12/20/2029     Quarterly     2,735,206       2,603,719       (131,487

CDX.NA.HY.45

  JPM   USD     14,884,332     5.00%   0.46%   14,884,332 USD     12/20/2030     Quarterly     2,798,999       2,743,153       (55,846

ITRAXX.EUR.44

  BOA   EUR     39,500,000     1.00%   0.25%   39,500,000 EUR     12/20/2030     Quarterly     1,589,343       1,494,298       (95,045

ITRAXX.XO.44

  BNP   EUR     23,390,000     5.00%   0.54%   23,390,000 EUR     12/20/2030     Quarterly     5,444,057       5,081,401       (362,656

CMBX.NA.AA.7

  CITI   USD     714,003     1.50%   20.14%   714,003 USD     01/17/2047     Monthly     (22,138     (38,549     (16,411

CMBX.NA.BBB-.17

  MSCI   USD     3,747,000     3.00%   5.88%   3,747,000 USD     12/15/2056     Monthly     (497,649     (533,854     (36,205

CMBX.NA.AAA.10

  GS   USD     6,209,219     0.50%   0.17%   6,209,219 USD     11/17/2059     Monthly     56,789       6,201       (50,588

CMBX.NA.AAA.15

  CGMI   USD     9,984,762     0.50%   0.46%   9,984,762 USD     11/18/2064     Monthly     (372,539     18,220       390,759  

CMBX.NA.AAA.15

  GS   USD     2,820,695     0.50%   0.46%   2,820,695 USD     11/18/2064     Monthly     (43,398     5,147       48,545  

CMBX.NA.AAA.15

  MSCI   USD     9,106,103     0.50%   0.46%   9,106,103 USD     11/18/2064     Monthly     (131,541     16,616       148,157  
                 

 

 

   

 

 

   

 

 

 
                  $ 24,087,546     $ 23,441,161     $ (646,385
 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1)

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps

 

Fund Pays

  

Fund Receives

   Notional Amount      Expiration
Date
  

Periodic
Payment
Frequency

   Premiums
Paid/
(Received) ($)
     Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

3.89%

   USD-SOFR-OIS COMPOUND      USD 26,000,000      11/30/2030    Annually      10,200        (22,131     (32,331
              

 

 

    

 

 

   

 

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

Investment valued using significant unobservable inputs.

 

(c)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(d)

Affiliated company.

 

(e)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 

(f)

All or a portion of this investment is held in connection with one or more holdings within the Fund.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

CDO - Collateralized Debt Obligation

CLO - Collateralized Loan Obligation

CMBS - Commercial Mortgage Backed Security

CMT - Constant Maturity Treasury

ETF - Exchange-Traded Fund

FSA - Insured as to the payment of principal and interest by Financial Security Assurance.

IO - Interest Only

MTA - Monthly Treasury Average Index

MTN - Medium Term Note

OIS - Overnight Indexed Swaps

SOFR - Secured Overnight Financing Rate

STEP - Coupon increases periodically based upon a predetermined schedule. Stated interest rate in effect at May 31, 2026.

TBA - To Be Announced - Delayed Delivery Security

Counterparty Abbreviations:

 

BNP - BNP Paribas

BOA - Bank of America, N.A.

CGMI - Citigroup Global Markets Inc.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

 

EUR - Euro

USD - United States Dollar

 


GMO U.S. Treasury Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares /

Par Value

    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 99.5%

 

          Money Market Funds — 0.0%  

  

       111,089     State Street Institutional Treasury Plus Money Market Fund – Premier Class, 3.57% (a)         111,089  
     

 

 

 
          Repurchase Agreements — 24.1%  
    6,300,189     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/29/2026 maturing on 06/01/26 with a maturity value of $6,302,079 and an effective yield of 3.60%, collateralized by a U.S. Treasury Note with maturity date 12/31/28 and a market value of $6,427,293.     6,300,188  
    95,000,813     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/29/2026 maturing on 06/01/26 with a maturity value of $95,029,471 and an effective yield of 3.62%, collateralized by a U.S. Treasury Note with maturity date 06/15/28 and a market value of $96,953,954.     95,000,813  
     

 

 

 
    Total Repurchase Agreements      101,301,001  
     

 

 

 
          U.S. Government Agency — 2.7%  
    2,900,000     Federal Home Loan Bank Discount Notes, Zero Coupon, , due 09/23/26     2,866,117  
    8,700,000     Federal Home Loan Bank Discount Notes, Zero Coupon, , due 09/30/26     8,592,270  
     

 

 

 
    Total U.S. Government Agency     11,458,387  
     

 

 

 
          U.S. Government — 72.7%  
    16,610,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27     16,626,134  
    50,148,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28     50,155,991  
    17,036,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 04/30/28     17,039,933  
    7,546,727     U.S. Treasury Inflation-Indexed Notes, 0.13%, due 07/15/26     7,598,316  
    7,574,348     U.S. Treasury Inflation-Indexed Notes, 0.13%, due 10/15/26     7,594,467  
    10,749,000     U.S. Treasury Notes, 4.38%, due 07/31/26     10,760,337  
    5,350,000     U.S. Treasury Notes, 3.75%, due 08/31/26     5,349,948  
    19,011,000     U.S. Treasury Notes, 4.63%, due 09/15/26     19,057,537  
    18,797,000     U.S. Treasury Notes, 4.25%, due 11/30/26     18,841,202  
    18,855,000     U.S. Treasury Notes, 4.25%, due 12/31/26     18,902,138  
    18,941,000     U.S. Treasury Notes, 4.13%, due 01/31/27     18,978,734  
    19,424,000     U.S. Treasury Notes, 1.88%, due 02/28/27     19,147,056  
    18,874,000     U.S. Treasury Notes, 3.88%, due 05/31/27     18,868,249  
    19,005,000     U.S. Treasury Notes, 3.88%, due 07/31/27     18,990,895  
    19,137,000     U.S. Treasury Notes, 3.63%, due 08/31/27     19,062,246  

Shares /

Par Value

    Description   Value ($)  
          U.S. Government — continued  
    19,078,000     U.S. Treasury Notes, 3.38%, due 11/30/27     18,913,303  
    19,142,000     U.S. Treasury Notes, 3.38%, due 12/31/27     18,962,544  
     

 

 

 

  

                   Total U.S. Government     304,849,030  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $417,849,858)     417,719,507  
     

 

 

 
    TOTAL INVESTMENTS — 99.5% (Cost $417,849,858)     417,719,507  
    Other Assets and Liabilities (net) — 0.5%     1,961,168  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $419,680,675  
     

 

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

 


Organization

Each of Asset Allocation Bond Fund, Emerging Country Debt Fund, Emerging Country Debt Shares Fund, High Yield Fund, Opportunistic Income Fund and U.S. Treasury Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO.

Some of the Funds may invest in other GMO Funds (“underlying funds”). Emerging Country Debt Shares Fund invests substantially all its assets in shares of Emerging Country Debt Fund. The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Portfolio valuation

Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the closing price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are valued at the price generally determined by an industry standard model. Unlisted non-fixed income securities for which market quotations are readily available are generally valued at the most recent quoted price. Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, prices will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that

 

   


are intended to reflect changes in valuation through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below).

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.

In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2026, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds and exchange-traded funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include certain U.S. government agency securities, mortgage-backed securities, asset-backed securities, certain sovereign debt obligations, and corporate bonds valued using vendor prices or broker quotes; cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain debt obligations, such as collateralized loan obligations, that have yet to begin trading that are valued at cost; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, certain debt securities (such as asset-backed, mortgage-backed, loans and sovereign debt) and derivatives even though they may be valued using broker quotes; certain debt securities and derivatives adjusted by a specified discount for liquidity or other considerations; certain sovereign debt securities valued using comparable securities issued by the sovereign adjusted by a specified spread; securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or

 

   


quoted price; certain loan assignments valued using a vendor price of a comparable loan; certain investment funds whose valuations are based on monthly net asset value statements; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price and potential litigation recoveries and interests related to bankruptcy proceedings.

The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2026:

 

         
Description   Level 1     Level 2     Level 3     Total  
Asset Allocation Bond Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

U.S. Government

  $ 9,285,421     $     $     $ 9,285,421  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    9,285,421                   9,285,421  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    2,543,089       106,000,000             108,543,089  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    11,828,510       106,000,000             117,828,510  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          6,741             6,741  

Futures Contracts

         

Interest Rate Risk

    1,319,428                   1,319,428  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 13,147,938     $ 106,006,741     $     $ 119,154,679  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs                        

Derivatives^

         

Swap Contracts

         

Credit Risk

  $     $ (4,018,083   $     $ (4,018,083
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (4,018,083   $     $ (4,018,083
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Emerging Country Debt Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

Asset-Backed Securities

  $     $ 4,630,677     $     $ 4,630,677  

Corporate Debt

          217,508,031       47,969,098       265,477,129  

Sovereign and Sovereign Agency Issuers

          1,685,244,114       106,517,144       1,791,761,258  

U.S. Government

    48,382,076                   48,382,076  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    48,382,076       1,907,382,822       154,486,242       2,110,251,140  
   

 

 

   

 

 

   

 

 

   

 

 

 

Loan Assignments

                14,174,090       14,174,090  

Loan Participations

                2,363,983       2,363,983  

Investment Funds

                16,751,922       16,751,922  

Rights/Warrants

          24,011,410       234,030       24,245,440  

Short-Term Investments

    2,365,732       93,214,362             95,580,094  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    50,747,808       2,024,608,594       188,010,267       2,263,366,669  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          1,629,800             1,629,800  

Swap Contracts

         

Credit Risk

          2,073,594             2,073,594  

Interest Rate Risk

          7,393,159             7,393,159  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 50,747,808     $ 2,035,705,147     $ 188,010,267     $ 2,274,463,222  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

 

   


         
Description   Level 1     Level 2     Level 3     Total  
Emerging Country Debt Fund (continued)                        

Liability Valuation Inputs

         

Debt Obligations

         

Corporate Debt

  $     $ (3,194,232   $     $ (3,194,232
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (3,194,232           (3,194,232
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (924,335           (924,335

Swap Contracts

         

Credit Risk

          (2,626,638           (2,626,638

Interest Rate Risk

          (2,129,937           (2,129,937
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (8,875,142   $     $ (8,875,142
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Emerging Country Debt Shares Fund                        
Asset Valuation Inputs                        

Investment Funds

  $ 62,002,681     $     $     $ 62,002,681  

Short-Term Investments

    19,455                   19,455  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    62,022,136                   62,022,136  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 62,022,136     $     $     $ 62,022,136  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
High Yield Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

Corporate Debt

  $     $ 40,098,825     $     $ 40,098,825  

U.S. Government

    74,122,833                   74,122,833  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    74,122,833       40,098,825             114,221,658  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    1,661,509       16,906,851             18,568,360  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    75,784,342       57,005,676             132,790,018  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          23,666             23,666  

Futures Contracts

         

Interest Rate Risk

    54,248                   54,248  

Swap Contracts

         

Credit Risk

          2,851,368             2,851,368  

Interest Rate Risk

          945,988             945,988  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 75,838,590     $ 60,826,698     $     $ 136,665,288  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
Opportunistic Income Fund                        
Asset Valuation Inputs                        

Debt Obligations

         

Asset-Backed Securities

  $     $ 924,484,725     $ 4,800,400     $ 929,285,125  

U.S. Government

    166,387,225                   166,387,225  

U.S. Government Agency

          34,704,312             34,704,312  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    166,387,225       959,189,037       4,800,400       1,130,376,662  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

    21,628,426                   21,628,426  

Short-Term Investments

    2,474,436       122,000,950             124,475,386  

Purchased Options

    188,600                   188,600  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    190,678,687       1,081,189,987       4,800,400       1,276,669,074  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

 

   


         
Description   Level 1     Level 2     Level 3     Total  
Opportunistic Income Fund (continued)                        
Asset Valuation Inputs (continued)                        

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ 6,324     $     $ 6,324  

Futures Contracts

         

Interest Rate Risk

    968,898                   968,898  

Swap Contracts

         

Credit Risk

          25,253,567             25,253,567  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 191,647,585     $ 1,106,449,878     $ 4,800,400     $ 1,302,897,863  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs                        

Debt Obligations

         

U.S. Government Agency

  $     $ (10,724,518   $     $ (10,724,518
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (10,724,518           (10,724,518
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (18,225           (18,225

Futures Contracts

         

Interest Rate Risk

    (54,178                 (54,178

Written Options

         

Interest Rate Risk

    (308,945                 (308,945

Swap Contracts

         

Credit Risk

          (10,565,726           (10,565,726

Interest Rate Risk

          (22,131           (22,131
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (363,123   $ (21,330,600   $     $ (21,693,723
   

 

 

   

 

 

   

 

 

   

 

 

 
                               
U.S. Treasury Fund                        
Asset Valuation Inputs                        

Short-Term Investments

  $ 301,225,723     $ 116,493,784     $     —     $ 417,719,507  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    301,225,723       116,493,784             417,719,507  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 301,225,723     $ 116,493,784     $     $ 417,719,507  
   

 

 

   

 

 

   

 

 

   

 

 

 
                               

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for bond forward contracts and forward currency contracts which are based on unrealized appreciation/(depreciation). Excludes purchased options, if any, which are included in investments.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ financial statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

As of May 31, 2026, under U.S. GAAP the following Funds require additional disclosures about fair value measurements for Level 3 securities and derivatives, if any (determined by each category of asset or liability as compared to a Fund’s total net assets). Level 3 holdings include investments valued using unadjusted prices supplied by a third-party pricing source (e.g., broker quotes, vendor). Emerging Country Debt Fund’s Level 3 holdings also include Newco Holding Eur 31 SARL, 13.50%, due 04/24/30, which is valued by applying a spread of 860 basis points over the spread of Mexico Government International Bonds, 6.00%, due 05/13/30, and an investment fund valued based on a monthly net asset value statement.

 

   


The following is a reconciliation of securities and derivatives, if any, for Funds in which significant unobservable inputs (Level 3) were used in determining value:

 

                     
    

Balances

as of

February 28,

2026

    Purchases     Sales    

Accrued

Discounts/

Premiums

   

Total

Realized

Gain/

(Loss)

   

Change in

Unrealized

Appreciation

(Depreciation)

   

Transfer

into

Level 3

   

Transfer

out of

Level 3

   

Balances

as of

May 31,

2026

   

Net Change in

Unrealized

Appreciation

(Depreciation)

from

Investments

Still Held as

of May 31,

2026

 
Emerging Country Debt Fund                                      
Debt Obligations:

 

             

Corporate Debt

  $ 15,394,310     $ 36,924,000     $ (3,923,193   $ 973     $ (74,601   $ (352,391   $     $     $ 47,969,098     $ (352,391

Sovereign and Sovereign Agency Issuers

    107,417,033             (11,567,699     335,953       (8,595,051     18,926,908                   106,517,144       18,926,908  

Investment Funds

    15,843,071                               908,851                   16,751,922       908,851  

Loan Assignments

    23,139,275             (8,507,335     8,449       (346,643     (119,656                 14,174,090       (404,492

Loan Participations

    2,521,866             (154,960     24,224       (187     (26,960                 2,363,983       (26,960

Rights/Warrants

    195,890       9,537       (18,486           11,874       35,215                   234,030       35,215  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    164,511,445       36,933,537       (24,171,673     369,599       (9,004,608     19,371,967                   188,010,267       19,087,131  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 164,511,445     $ 36,933,537     $ (24,171,673 )#    $ 369,599     $ (9,004,608   $ 19,371,967     $     $     $ 188,010,267     $ 19,087,131  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                               

 

  #

Includes $8,507,335 of proceeds received from partial calls and/or principal paydowns as applicable.

The following table summarizes the quantitative inputs used in the valuation of investments classified within Level 3 of the fair value hierarchy for the period ended May 31, 2026.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type  

Total Fair

Value ($)

   

Valuation

Methodology

  Unobservable Inputs  

Range (Weighted

Average)

Emerging Country Debt Fund                    

Sovereign and Sovereign Agency Issuers

    7,977,344      Market comparable    Discount for lack of liquidity/marketability   0.50% - 1.60% (0.99%)

Sovereign and Sovereign Agency Issuers

    22,635     Recovery value   Discount for lack of liquidity/marketability   99% (N/A)

Corporate Debt

    13,660,531     Market comparable   Discount for lack of liquidity/marketability   2.70% (N/A)

Corporate Debt

    24,859,767     Market comparable   Discount for lack of liquidity/marketability   8.60% (N/A)

Loan Participations

    247,647     Market comparable   Discount for lack of liquidity/marketability   5.00% (N/A)

Warrants

    234,030     Market comparable   Discount for lack of liquidity/marketability   50% (N/A)

Investment Funds

    16,751,922     NAV   Net asset value statement   (N/A)

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of May 31, 2026, the value of these securities and/or derivatives for Emerging Country Debt Fund was $124,256,391. The inputs for these investments are not readily available or cannot be reasonably estimated.

 

   


Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2026 is set forth below:

 

                 
Affiliate   Value,
beginning of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Distributions
of Realized
Gains*
    Net
Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Emerging Country Debt Fund  

Bona Fide Investment Holdings II LLC

  $ 15,843,071     $     $     $     $     $     $ 908,851     $ 16,751,922  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Emerging Country Debt Shares Fund  

GMO Emerging Country Debt Fund, Class III

  $ 26,566,548     $ 34,390,170     $ 43,000     $     $     $ 677     $ 1,088,286     $ 62,002,681  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               
Opportunistic Income Fund  

GMO U.S. Treasury Fund, Class VI

  $ 11,639,444     $     $     $ 110,233     $     $     $     $ 11,639,444  

GMO Ultra-Short Income ETF

    301,417       9,706,476             61,202                   (18,911     9,988,982  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 11,940,861     $ 9,706,476     $     $ 171,435     $     $     $ (18,911   $ 21,628,426  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                               

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2026 through May 31, 2026. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2027.

Subsequent events

Subsequent to May 31, 2026, GMO Emerging Country Debt Shares Fund received redemption requests in the amount of $25,852,748.

***

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.

 

   


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares

    Description   Value ($)  
    COMMON STOCKS — 148.4%

 

        Australia — 3.3%  
    4,887     Aristocrat Leisure Ltd. (a)     175,592  
    22,922     ASX Ltd. (a)     761,384  
    75,917     BHP Group Ltd. (a)       3,379,700  
    76,203     Brambles Ltd. (a)     907,826  
    7,078     CSL Ltd.     491,575  
    200,818     Fortescue Ltd. (a)     3,225,310  
    4,436,538     Qube Holdings Ltd.     15,963,733  
    27,518     Santos Ltd. (a)     154,423  
    406,058     Stockland – (REIT) (a)     1,193,392  
    328,834     Vicinity Ltd. – (REIT) (a)     596,925  
     

 

 

 
    Total Australia     26,849,860  
     

 

 

 
          Austria — 0.4%      
    8,799     Erste Group Bank AG (a)     1,048,817  
    1,883     OMV AG (a)     135,501  
    30,186     Raiffeisen Bank International AG (a)     1,732,765  
    2,620     Verbund AG (a)     175,883  
     

 

 

 
    Total Austria     3,092,966  
     

 

 

 
          Belgium — 0.4%      
    45,595     Ageas SA (a)     3,532,779  
     

 

 

 
          Canada — 6.9%      
    10,600     Alimentation Couche-Tard, Inc. (a)     598,871  
    571,058     Allied Gold Corp. *     14,456,116  
    906,535     ARC Resources Ltd. (a)     20,522,219  
    17,900     Brookfield Asset Management Ltd. – Class A (b) (c)     869,940  
    13,200     Canadian Tire Corp. Ltd. – Class A (a)     1,693,744  
    17,700     CCL Industries, Inc. – Class B (a)     1,143,153  
    31,900     CGI, Inc. (a)     2,227,782  
    612     Constellation Software, Inc. (a)     1,253,090  
    6,000     Empire Co. Ltd. – Class A (a)     212,773  
    600     Fairfax Financial Holdings Ltd. (a)     933,827  
    3,700     FirstService Corp. (a)     496,017  
    7,800     iA Financial Corp., Inc. (a)     972,447  
    20,169     IGM Financial, Inc. (a)     1,149,296  
    25,700     Kinross Gold Corp. (a)     780,703  
    38,097     Magna International, Inc. (a) (d)     2,467,162  
    11,300     Magna International, Inc. (a) (d)     732,350  
    22,008     Manulife Financial Corp. (a) (c)     840,485  
    11,965     Nutrien Ltd. (a)     820,201  
    63,500     Open Text Corp. (a) (d)     1,509,832  
    48,300     Open Text Corp. (a) (c) (d)     1,151,472  
    6,900     TFI International, Inc. (a) (b)     1,063,428  
     

 

 

 
    Total Canada     55,894,908  
     

 

 

 
          China — 0.7%      
    1,279,000     AviChina Industry & Technology Co. Ltd. – Class H     511,544  


Shares

    Description   Value ($)  
          China — continued      
    45,000     Bank of Communications Co. Ltd. – Class H     41,949  
    61,000     Beijing Enterprises Holdings Ltd.     240,040  
    410,000     China Communications Services Corp. Ltd. – Class H     216,070  
    250,000     China National Building Material Co. Ltd. – Class H     169,225  
    695,000     China Overseas Land & Investment Ltd.       1,382,410  
    1,414,000     China Railway Group Ltd. – Class H     632,546  
    58,800     China Taiping Insurance Holdings Co. Ltd.     149,288  
    791,000     CITIC Ltd.     1,326,695  
    2,293     JD.com, Inc. ADR (c)     66,107  
    152,000     Longfor Group Holdings Ltd.     152,031  
    42,456     Qfin Holdings, Inc. ADR (a)     682,692  
     

 

 

 
    Total China     5,570,597  
     

 

 

 
          Denmark — 1.1%      
    697     AP Moller – Maersk AS – Class A (a)     1,697,089  
    881     AP Moller – Maersk AS – Class B (a)     2,187,492  
    11,402     Genmab AS *     2,988,734  
    5,206     Pandora AS (a)     487,222  
    49,248     Rockwool AS – B Shares (a)     1,541,959  
     

 

 

 
    Total Denmark     8,902,496  
     

 

 

 
          Finland — 0.9%      
    3,025     Elisa OYJ (a)     145,252  
    38,775     Neste OYJ (a)     1,274,922  
    216,204     Nokia OYJ (a)     3,175,557  
    15,128     Orion OYJ – Class B     1,263,594  
    32,140     Wartsila OYJ Abp (a)     1,304,357  
     

 

 

 
    Total Finland     7,163,682  
     

 

 

 
          France — 2.3%      
    13,071     Amundi SA (a)     1,274,347  
    36,131     ArcelorMittal SA (a)     2,487,344  
    9,602     BioMerieux (a)     830,435  
    10,683     Capgemini SE * (a)     1,269,192  
    20,683     Carrefour SA (a)     386,427  
    28,610     Cie Generale des Etablissements Michelin SCA (a)     1,044,298  
    55,685     Dassault Systemes SE (a)     1,221,696  
    7,817     Ipsen SA     1,427,925  
    7,526     Legrand SA (a)     1,293,566  
    282     L’Oreal SA (a)     124,432  
    3,563     LVMH Moet Hennessy Louis Vuitton SE (a)     1,948,775  
    1,168     Publicis Groupe SA (a)     113,633  
    11,022     Safran SA (a)     3,919,997  
    2,275     Schneider Electric SE (a)     714,539  
    2,524     TotalEnergies SE (a)     221,463  
     

 

 

 
    Total France     18,278,069  
     

 

 

 
          Germany — 2.4%      
    44,587     Bayer AG (Registered)     1,896,139  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares

    Description   Value ($)  
          Germany — continued      
    64,404     Deutsche Bank AG (Registered) (a)     2,087,018  

  

    21,379     Deutsche Post AG (a)     1,273,277  
    33,807     Deutsche Telekom AG (Registered) (a)       1,135,073  
    84,808     E.ON SE (a)     1,800,348  
    4,262     GEA Group AG (a)     274,740  
    18,915     Infineon Technologies AG (a)     1,793,435  
    5,915     Knorr-Bremse AG (a)     714,552  
    25,462     Mercedes-Benz Group AG (a)     1,546,002  
    28,600     Qiagen NV (b) (c)     1,046,474  
    1,653     Rational AG (a)     1,264,791  
    17,269     SAP SE (a)     3,123,865  
    1,832     Siemens AG (Registered) (a)     574,405  
    2,777     Symrise AG (a)     255,254  
    8,553     Talanx AG (a)     1,023,078  
     

 

 

 
    Total Germany     19,808,451  
     

 

 

 
          Hong Kong — 1.4%      
    369,268     CK Asset Holdings Ltd. (a)     2,229,502  
    292,500     CK Hutchison Holdings Ltd. (a)     2,631,876  
    766,279     HKT Trust & HKT Ltd. (a)     1,183,838  
    300,000     SITC International Holdings Co. Ltd.     1,327,420  
    87,500     Sun Hung Kai Properties Ltd. (a)     1,469,539  
    73,500     Techtronic Industries Co. Ltd. (a)     1,091,151  
    1,094,500     WH Group Ltd. (a)     1,263,092  
     

 

 

 
    Total Hong Kong     11,196,418  
     

 

 

 
          Indonesia — 0.0%      
    888,600     Astra International Tbk. PT     248,910  
    168,600     Indofood Sukses Makmur Tbk. PT     65,351  
     

 

 

 
    Total Indonesia     314,261  
     

 

 

 
          Ireland — 0.1%      
    3,852     Kingspan Group PLC     352,111  
     

 

 

 
          Israel — 0.3%      
    54,899     ICL Group Ltd.     360,772  
    32,276     Israel Discount Bank Ltd. – Class A     357,338  
    19,442     Nice Ltd. Sponsored ADR * (a) (c)     1,801,496  
    2,253     Nice Ltd. *     203,432  
     

 

 

 
    Total Israel     2,723,038  
     

 

 

 
          Italy — 1.8%      
    17,622     Buzzi SpA (a)     951,901  
    18,207     Leonardo SpA (a)     1,156,236  
    14,406     Moncler SpA (a)     933,840  
    8,197     Prysmian SpA (a)     1,412,072  
    21,804     Recordati Industria Chimica e Farmaceutica SpA     1,309,404  
    33,819     Snam SpA (a)     247,166  
    294,965     Stellantis NV * (a)     2,353,917  
    4,313,726     Telecom Italia SpA * (a)     3,664,508  
    42,254     Tenaris SA (a)     1,287,139  


Shares

    Description   Value ($)  
          Italy — continued      
    47,598     Unipol Assicurazioni SpA (a)     1,176,779  
     

 

 

 
    Total Italy      14,492,962  
     

 

 

 
          Japan — 6.0%      

  

    2,300     Canon, Inc. (a)     61,167  
    36,200     Chubu Electric Power Co., Inc. (a)     664,639  
    18,200     Dai Nippon Printing Co. Ltd. (a)     316,458  
    64,900     Daito Trust Construction Co. Ltd. (a)     1,289,172  
    29,100     Daiwa House Industry Co. Ltd. (a)     791,355  
    20,400     Fuji Electric Co. Ltd. (a)     1,979,791  
    12,500     FUJIFILM Holdings Corp. (a)     259,868  
    114,200     Honda Motor Co. Ltd. (a)     1,026,198  
    4,000     Hoya Corp. (a)     679,308  
    70,500     Inpex Corp. (a)     1,585,297  
    5,400     Japan Post Insurance Co. Ltd. (a)     48,430  
    76,400     Kirin Holdings Co. Ltd. (a)     1,300,251  
    6,400     Komatsu Ltd. (a)     261,361  
    81,000     Kyowa Kirin Co. Ltd.     1,272,868  
    3,100     Makita Corp. (a)     107,591  
    34,800     Mitsubishi Electric Corp. (a)     1,414,726  
    7,700     Mitsui Fudosan Co. Ltd. (a)     73,707  
    5,400     Mitsui OSK Lines Ltd. (a)     185,608  
    54,700     Nippon Yusen KK (a)     1,822,624  
    967,600     Nissan Motor Co. Ltd. * (a)     2,407,921  
    70,400     Nitto Denko Corp. (a)     1,319,283  
    19,300     Olympus Corp. (a)     216,232  
    29,400     Osaka Gas Co. Ltd. (a)     987,976  
    172,426     Panasonic Holdings Corp. (a)     3,983,725  
    24,600     Recruit Holdings Co. Ltd. (a)     1,645,018  
    91,800     Renesas Electronics Corp. (a)     2,555,501  
    32,400     SBI Holdings, Inc. (a)     592,755  
    4,900     Shin-Etsu Chemical Co. Ltd. (a)     237,859  
    144,500     Shionogi & Co. Ltd.     2,717,731  
    14,000     SoftBank Group Corp. (a)     658,589  
    198,900     Subaru Corp. (a)     3,018,580  
    21,200     Sumitomo Electric Industries Ltd. (a)     1,635,171  
    16,500     Sumitomo Metal Mining Co. Ltd. (a)     935,411  
    18,500     Sumitomo Mitsui Financial Group, Inc. (a)     674,748  
    113,400     Suzuki Motor Corp. (a)     1,404,353  
    68,102     TDK Corp. (a)     1,763,999  
    700     Tokyo Electron Ltd. (a)     234,762  
    40,000     Tokyo Gas Co. Ltd. (a)     1,599,174  
    13,500     TOPPAN Holdings, Inc. (a)     386,852  
    81,200     Toyota Tsusho Corp. (a)     3,537,809  
    38,500     Yamaha Motor Co. Ltd. (a)     316,825  
    18,500     Yokogawa Electric Corp. (a)     580,691  
     

 

 

 
    Total Japan     48,551,384  
     

 

 

 
          Mexico — 0.1%      
    65,583     Cemex SAB de CV Sponsored ADR     858,481  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares

    Description   Value ($)  
          Netherlands — 2.1%      
    32,749     ABN AMRO Bank NV (a)     1,301,489  
    261,269     Aegon Ltd. (a)     2,216,107  

  

    48,240     Akzo Nobel NV (a)       3,661,179  
    974     ASM International NV (a)     1,016,286  
    18,290     DSM-Firmenich AG (a)     1,536,932  
    31,815     EXOR NV (a)     2,477,643  
    15,702     ING Groep NV (a)     486,376  
    19,465     Koninklijke Ahold Delhaize NV (a)     820,199  
    123,484     Koninklijke KPN NV (a)     643,234  
    14,456     NN Group NV (a)     1,206,733  
    17,898     Randstad NV (a)     548,730  
    15,947     Wolters Kluwer NV (a)     1,133,778  
     

 

 

 
    Total Netherlands     17,048,686  
     

 

 

 
          New Zealand — 0.0%      
    65,902     Meridian Energy Ltd. (a)     231,338  
     

 

 

 
          Norway — 0.5%      
    47,287     Equinor ASA (a)     1,709,407  
    114,523     Norsk Hydro ASA (a)     1,400,590  
    22,163     Orkla ASA (a)     233,574  
    11,162     Yara International ASA     605,969  
     

 

 

 
    Total Norway     3,949,540  
     

 

 

 
          Poland — 0.4%      
    80,643     ORLEN SA     3,151,940  
    143,893     PGE Polska Grupa Energetyczna SA *     419,287  
     

 

 

 
    Total Poland     3,571,227  
     

 

 

 
          Portugal — 0.2%      
    54,211     Galp Energia SGPS SA     1,181,396  
    17,783     Jeronimo Martins SGPS SA     376,490  
     

 

 

 
    Total Portugal     1,557,886  
     

 

 

 
          Singapore — 0.6%      
    278,400     CapitaLand Integrated Commercial Trust – (REIT)     495,539  
    80,600     Singapore Exchange Ltd.     1,381,778  
    16,400     Wilmar International Ltd.     46,139  
    1,102,700     Yangzijiang Shipbuilding Holdings Ltd.     3,145,904  
     

 

 

 
    Total Singapore     5,069,360  
     

 

 

 
          South Korea — 2.6%      
    12,475     Doosan Bobcat, Inc.     533,686  
    17,151     Hankook Tire & Technology Co. Ltd.     760,141  
    38,235     HMM Co. Ltd.     496,032  
    2,995     Hyundai Glovis Co. Ltd.     482,493  
    7,199     Hyundai Mobis Co. Ltd.     3,666,005  
    20,400     Kia Corp.     2,288,475  
    2,838     Korea Electric Power Corp.     73,724  
    870     Krafton, Inc.     148,637  


Shares

    Description   Value ($)  
          South Korea — continued      
    11,716     LG Corp.     1,140,559  
    21,578     LG Electronics, Inc.       4,207,159  
    1,179     POSCO Holdings, Inc. Sponsored ADR (c)     83,591  

  

    1,150     POSCO Holdings, Inc.     323,929  
    11,653     Samsung Electronics Co. Ltd.     2,444,725  
    854     Samsung SDS Co. Ltd.     169,936  
    4,901     Shinhan Financial Group Co. Ltd. ADR (a)     309,204  
    3,769     Shinhan Financial Group Co. Ltd.     234,440  
    4,286     SK Square Co. Ltd.     3,554,030  
     

 

 

 
    Total South Korea     20,916,766  
     

 

 

 
          Spain — 1.5%      
    40,565     Amadeus IT Group SA (a)     2,587,718  
    93,546     Banco Bilbao Vizcaya Argentaria SA (a)     2,184,922  
    341,752     Banco Santander SA (a)     4,273,896  
    256,389     Mapfre SA (a)     1,198,891  
    67,824     Repsol SA (a)     1,751,235  
     

 

 

 
    Total Spain     11,996,662  
     

 

 

 
          Sweden — 1.4%      
    25,969     Boliden AB (a)     1,617,029  
    9,996     Industrivarden AB – A Shares (a)     566,912  
    34,621     Industrivarden AB – C Shares (a)     1,893,081  
    59,120     Investor AB – B Shares (a)     2,429,326  
    30,927     Sandvik AB (a)     1,257,808  
    27,675     Skanska AB – B Shares (a)     748,746  
    87,050     SKF AB – B Shares (a)     2,283,273  
    26,103     Svenska Cellulosa AB SCA – Class B (a)     287,135  
    44,650     Telefonaktiebolaget LM Ericsson – B Shares (a)     582,245  
     

 

 

 
    Total Sweden     11,665,555  
     

 

 

 
          Switzerland — 0.9%      
    12,101     ABB Ltd. (Registered) (a)     1,293,927  
    6,330     BKW AG (a)     1,197,728  
    17,391     Logitech International SA (Registered) (a)     2,113,439  
    1,672     Novartis AG (Registered) (a)     251,486  
    1,200     Schindler Holding AG (Registered) (a)     392,762  
    1,044     Swatch Group AG – Class BR (a)     289,016  
    30,650     UBS Group AG (Registered) (a)     1,447,472  
    882     VAT Group AG (a)     688,654  
     

 

 

 
    Total Switzerland     7,674,484  
     

 

 

 
          Taiwan — 1.9%      
    80,000     Asustek Computer, Inc.     1,929,965  
    699,000     Compal Electronics, Inc.     813,143  
    356,000     Evergreen Marine Corp. Taiwan Ltd.     2,417,697  
    135,000     Pegatron Corp.     380,868  
    19,000     Realtek Semiconductor Corp.     350,206  
    122,110     Taiwan Semiconductor Manufacturing Co. Ltd.     9,046,553  
    238,000     Wan Hai Lines Ltd.     622,703  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares

    Description   Value ($)  
          Taiwan — continued      
    109,000     Yang Ming Marine Transport Corp.     183,286  
     

 

 

 
    Total Taiwan      15,744,421  
     

 

 

 
          Thailand — 0.5%      
    236,800     Kasikornbank PCL NVDR     1,461,695  

  

    2,114,100     Krung Thai Bank PCL NVDR     2,256,049  
    155,000     PTT Exploration & Production PCL NVDR     674,514  
     

 

 

 
    Total Thailand     4,392,258  
     

 

 

 
          Turkey — 0.1%      
    129,508     Turk Hava Yollari AO     831,231  
     

 

 

 
          United Kingdom — 8.1%      
    88,473     3i Group PLC (a)     2,686,907  
    25,205     Antofagasta PLC     1,388,479  
    25,910     Barratt Redrow PLC (a)     91,286  
    601,515     Beazley PLC (a)     10,347,306  
    826,966     BT Group PLC (a)     2,319,032  
    18,441     Coca-Cola HBC AG – Class DI (a)     1,057,858  
    121,364     Compass Group PLC (a)     3,892,177  
    74,559     Diageo PLC (a)     1,528,351  
    55,918     Experian PLC (a)     1,931,056  
    12,791     Fresnillo PLC     562,028  
    41,910     GSK PLC Sponsored ADR (a)     2,118,131  
    16,582     GSK PLC (a)     419,303  
    576,285     Haleon PLC     2,601,594  
    39,342     HSBC Holdings PLC (a)     738,773  
    912,128     JD Sports Fashion PLC (a)     1,032,644  
    450,496     Kingfisher PLC (a)     1,739,438  
    6,596     Next PLC (a)     1,169,881  
    73,801     Pearson PLC (a)     1,097,008  
    92,997     Sage Group PLC (a)     1,052,009  
    2,500,846     Schroders PLC     19,592,077  
    8,302     Shell PLC ADR (a)     698,364  
    12,187     Smiths Group PLC (a)     402,350  
    31,617     Standard Chartered PLC (a)     846,695  
    45,145     Unilever PLC (a)     2,543,991  
    3,431     Unilever PLC Sponsored ADR (a)     193,680  
    1,068,107     Vodafone Group PLC (a)     1,605,070  
    148,695     Vodafone Group PLC Sponsored ADR (a)     2,224,477  
     

 

 

 
    Total United Kingdom     65,879,965  
     

 

 

 
          United States — 99.5%      
    18,634     AAON, Inc. (c)     2,612,487  
    35,106     Abbott Laboratories (c)     3,005,074  
    22,717     Accenture PLC – Class A (a) (c)     4,249,669  
    13,871     Acushnet Holdings Corp. (c)     1,231,467  
    74,918     ACV Auctions, Inc. – Class A * (c)     492,211  
    13,729     Adobe, Inc. * (a) (c)     3,558,694  
    1,356,632     AES Corp. (a)     19,901,791  
    3,100     Air Products & Chemicals, Inc. (a) (b)     863,722  
    67,300     Albertsons Cos., Inc. – Class A (b) (c)     1,050,553  


Shares

    Description   Value ($)  
          United States — continued      
    8,943     Allegion PLC (a) (c)     1,163,216  
    14,641     Allstate Corp. (c)       3,017,364  
    24,615     Alphabet, Inc. – Class A (a) (c)     9,362,069  
    31,337     Amazon.com, Inc. * (c)     8,481,046  

  

    8,018     American Electric Power Co., Inc. (a) (c)     1,015,640  
    9,387     Amphenol Corp. – Class A (c)     1,396,410  
    31,733     Apple, Inc. (a)     9,902,600  
    18,597     AptarGroup, Inc. (c)     2,154,462  
    60,876     Aramark (a)     3,249,561  
    6,359     Arch Capital Group Ltd. * (a) (c)     568,113  
    719     Arxis, Inc. – Class A * (a)     32,305  
    3,232     Atlassian Corp. – Class A * (c)     347,796  
    106,700     Avantor, Inc. * (b) (c)     973,104  
    449,930     Axalta Coating Systems Ltd. * (a)     13,844,346  
    8,674     Axcelis Technologies, Inc. *     1,304,656  
    14,793     Badger Meter, Inc. (c)     1,832,853  
    15,293     Balchem Corp. (a)     2,396,872  
    44,586     Bank of America Corp. (a) (c)     2,300,638  
    4,572     Bank of New York Mellon Corp. (a)     637,474  
    4,000     Becton Dickinson & Co. (a) (b)     588,480  
    58,556     Best Buy Co., Inc. (a)     4,564,440  
    7,000     Blackstone, Inc. (a) (b)     818,790  
    8,589     Block, Inc. * (a)     650,359  
    18,488     Booz Allen Hamilton Holding Corp. (c)     1,463,880  
    15,000     Boston Scientific Corp. * (a) (b)     724,650  
    12,722     Broadcom, Inc. (a)     5,683,808  
    20,320     Bruker Corp. (c)     1,196,645  
    37,121     Builders FirstSource, Inc. * (c)     2,830,847  
    27,215     Cactus, Inc. – Class A (c)     1,579,559  
    3,440     Cadence Design Systems, Inc. * (a)     1,289,759  
    228,101     Caesars Entertainment, Inc. * (a)     6,626,334  
    16,099     Capital One Financial Corp. (a) (c)     3,025,485  
    1,479     Caterpillar, Inc. (a)     1,295,412  
    1,226     Cboe Global Markets, Inc. (c)     408,945  
    8,598     CBRE Group, Inc. – Class A * (a)     1,075,094  
    2,957     CDW Corp. (a)     370,956  
    26,089     Celsius Holdings, Inc. * (c)     867,981  
    399,386     Centessa Pharmaceuticals PLC ADR *     15,879,587  
    10,170     CF Industries Holdings, Inc. (a)     1,142,599  
    99,324     Chart Industries, Inc. * (a) (c)     20,641,514  
    5,800     Charter Communications, Inc. – Class A * (a) (b)     835,490  
    3,612     Chubb Ltd. (a) (c)     1,125,969  
    18,959     Cigna Group (a) (c)     5,259,227  
    17,283     Cirrus Logic, Inc. * (a) (c)     2,937,246  
    14,190     Cisco Systems, Inc. (c)     1,708,760  
    30,863     Citigroup, Inc. (a) (c)     3,885,652  
    8,131     Citizens Financial Group, Inc. (a) (c)     506,236  
    8,190     Clean Harbors, Inc. * (c)     2,301,636  
    181,275     CNH Industrial NV (a) (c)     1,850,818  
    32,596     Coca-Cola Co. (c)     2,575,410  
    8,615     Coca-Cola Consolidated, Inc. (a)     1,492,635  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares

    Description   Value ($)  
          United States — continued      
    293,511     Coeur Mining, Inc.     5,670,632  
    15,400     Cognex Corp. (b) (c)       1,014,090  
    77,514     Cognizant Technology Solutions Corp. – Class A (a) (b) (c)     4,321,793  
    25,969     Cohen & Steers, Inc. (a) (c)     1,812,636  

  

    166,185     Comcast Corp. – Class A (a) (b) (c)     4,133,021  
    496     Comfort Systems USA, Inc. (a)     906,792  
    10,410     Consolidated Edison, Inc. (a)     1,099,608  
    16,171     Constellation Brands, Inc. – Class A (c)     2,244,858  
    17,500     Cooper Cos., Inc. * (a) (b)     1,071,175  
    50,601     Corebridge Financial, Inc. (c)     1,366,227  
    11,781     Corteva, Inc. (c)     922,217  
    4,922     CorVel Corp. * (a) (c)     303,933  
    19,522     CoStar Group, Inc. * (a)     628,608  
    1,983     Cummins, Inc. (c)     1,282,267  
    1,729     Curtiss-Wright Corp. (a) (c)     1,292,618  
    46,438     CVS Health Corp. (c)     4,224,929  
    2,200     Darden Restaurants, Inc. (c)     448,602  
    23,186     Deckers Outdoor Corp. * (a)     2,639,726  
    12,816     Dell Technologies, Inc. – Class C (a)     5,394,383  
    35,626     Delta Air Lines, Inc. (c)     2,938,432  
    316,417     Devon Energy Corp. (c)     14,077,392  
    29,001     Dolby Laboratories, Inc. – Class A (a) (c)     1,618,546  
    3,930     Dollar General Corp. (a)     434,697  
    5,920     Dover Corp. (c)     1,251,251  
    14,970     DR Horton, Inc. (a) (c)     2,201,937  
    8,891     Duke Energy Corp. (c)     1,091,192  
    3,500     Eagle Materials, Inc. (a) (b) (c)     774,130  
    35,195     eBay, Inc. (a)     3,845,758  
    26,732     Edison International (a) (c)     1,869,636  
    13,346     Edwards Lifesciences Corp. * (a)     1,154,029  
    54,675     Electronic Arts, Inc. (a) (c)     11,029,041  
    12,423     Elevance Health, Inc. (a) (c)     4,884,599  
    2,952     Eli Lilly & Co. (c)     3,261,960  
    1,434     EMCOR Group, Inc. (a)     1,185,660  
    4,990     Entegris, Inc. (c)     692,562  
    7,207     EOG Resources, Inc. (a) (c)     961,270  
    511,958     Essential Utilities, Inc. (a)     18,886,131  
    6,779     Everest Group Ltd. (a)     2,196,599  
    14,454     Evergy, Inc. (c)     1,185,806  
    25,217     Exelon Corp. (c)     1,150,904  
    568     Expedia Group, Inc. (c)     128,249  
    8,299     Expeditors International of Washington, Inc. (c)     1,311,159  
    2,900     FedEx Corp. (a) (c)     1,194,075  
    955     First Solar, Inc. * (a)     292,984  
    4,745     Fiserv, Inc. * (a)     268,377  
    32,700     Fluor Corp. * (a) (b) (c)     1,496,352  
    211,493     Ford Motor Co. (a) (c)     3,688,438  
    20,862     Fox Corp. – Class A (c)     1,333,499  
    12,414     FTI Consulting, Inc. * (a) (c)     1,901,576  
    27,050     Gaming & Leisure Properties, Inc. – (REIT) (a) (c)     1,270,538  


Shares

    Description   Value ($)  
          United States — continued      
    1,127     Gartner, Inc. * (a)     182,799  
    54,939     GE HealthCare Technologies, Inc. (c)       3,424,897  
    9,492     Gen Digital, Inc. (c)     244,799  
    59,800     General Mills, Inc. (c)     2,021,838  
    34,338     General Motors Co. (a)     2,858,295  

  

    37,700     Gitlab, Inc. – Class A * (b) (c)     1,170,585  
    24,413     Global Payments, Inc. (c)     1,843,426  
    29,185     Globus Medical, Inc. – Class A * (a) (c)     2,389,668  
    1,279     Goldman Sachs Group, Inc. (a)     1,311,691  
    32,073     Halliburton Co. (a)     1,246,036  
    12,146     Hartford Insurance Group, Inc. (c)     1,544,121  
    89,997     Hewlett Packard Enterprise Co. (a) (c)     3,873,471  
    4,934     Hilton Worldwide Holdings, Inc. (b) (c)     1,616,674  
    12,132     Houlihan Lokey, Inc. (c)     1,718,619  
    168,159     HP, Inc. (c)     4,547,019  
    2,683     Humana, Inc. (c)     819,442  
    6,724     Huntington Bancshares, Inc. (c)     110,005  
    43,432     Incyte Corp. * (c)     4,201,612  
    14,497     Interactive Brokers Group, Inc. – Class A (a) (c)     1,260,804  
    664     International Business Machines Corp. (c)     197,739  
    28,500     International Paper Co. (a) (b)     953,895  
    7,648     Intuitive Surgical, Inc. * (a) (c)     3,247,647  
    6,858     Itron, Inc. * (a)     565,648  
    3,607     Jabil, Inc. (a)     1,314,968  
    13,666     Jack Henry & Associates, Inc. (a)     1,862,949  
    15,786     Jacobs Solutions, Inc. (a) (b)     1,892,110  
    28,417     Johnson & Johnson (a) (c)     6,403,203  
    5,630     Kadant, Inc. (c)     1,796,983  
    901,579     Kenvue, Inc. (a)     15,579,285  
    39,500     Keurig Dr. Pepper, Inc. (b) (c)     1,186,185  
    22,671     Kimberly-Clark Corp. (a) (b)     2,212,690  
    55,007     Kimco Realty Corp. – (REIT) (a)     1,324,569  
    8,600     KKR & Co., Inc. (a) (b)     825,084  
    1,642     KLA Corp. (a)     3,155,448  
    115,978     Kraft Heinz Co. (a) (b)     2,784,632  
    11,401     Kroger Co. (a)     708,572  
    30,622     Lam Research Corp. (a)     9,743,308  
    19,400     Lamb Weston Holdings, Inc. (b) (c)     837,692  
    3,171     Landstar System, Inc. (a)     656,080  
    23,277     Las Vegas Sands Corp. (a)     1,177,118  
    7,566     Leidos Holdings, Inc. (c)     966,935  
    24,791     Lennar Corp. – Class A (c)     2,225,736  
    317,311     Liberty Broadband Corp. – Class C * (a)     10,712,419  
    43,900     LKQ Corp. (b) (c)     1,190,568  
    25,754     Lululemon Athletica, Inc. * (a) (c)     3,378,410  
    12,414     LyondellBasell Industries NV – Class A (a)     827,393  
    1,037     M&T Bank Corp. (c)     224,106  
    19,539     Malibu Boats, Inc. – Class A * (a) (c)     536,541  
    14,056     Marzetti Co. (a)     1,573,429  
    3,534     Masco Corp. (a) (c)     248,263  
    5,930     Mastercard, Inc. – Class A (a)     2,929,301  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares

    Description   Value ($)  
          United States — continued      
    2,432     Medpace Holdings, Inc. * (c)     1,087,372  
    48,657     Merck & Co., Inc. (c)       5,776,559  
    19,777     Meta Platforms, Inc. – Class A (a) (b)     12,509,150  
    29,452     Microsoft Corp. (a)     13,260,468  
    6,800     Middleby Corp. * (a) (b) (c)     1,054,068  

  

    757     Monolithic Power Systems, Inc. (c)     1,185,621  
    16,032     Monster Beverage Corp. * (a)     1,412,099  
    6,488     Morgan Stanley (c)     1,349,504  
    73,407     National Storage Affiliates Trust – (REIT) REIT (c)     3,130,809  
    309,330     NCR Atleos Corp. *     13,796,118  
    1,560     NetApp, Inc. (a)     271,892  
    46,658     Netflix, Inc. * (a) (b) (c)     4,013,521  
    13,201     Neurocrine Biosciences, Inc. *     2,089,718  
    28,573     New York Times Co. – Class A (a) (c)     2,148,975  
    2,593     Nordson Corp. (a)     745,047  
    71,696     Norfolk Southern Corp. (a)     21,864,412  
    1,761     Northrop Grumman Corp. (c)     992,640  
    364,065     Northwestern Energy Group, Inc. (c)     25,706,630  
    19,682     Nucor Corp. (a) (c)     4,920,500  
    2,331     NVIDIA Corp. (a)     492,167  
    26,914     Ollie’s Bargain Outlet Holdings, Inc. * (a) (c)     2,196,990  
    26,041     Omnicom Group, Inc. (c)     1,893,441  
    8,369     Onto Innovation, Inc. * (a) (c)     2,161,211  
    69,497     PayPal Holdings, Inc. (a)     3,109,991  
    93,500     Penn Entertainment, Inc. * (a) (b)     1,760,605  
    10,592     Pentair PLC (a) (c)     750,337  
    5,427     Penumbra, Inc. * (a)     1,727,414  
    80,794     Pfizer, Inc. (a)     2,115,187  
    2,022     Phillips 66 (a)     355,629  
    175,157     Pinterest, Inc. – Class A * (a) (c)     3,511,898  
    423     PPG Industries, Inc. (c)     47,791  
    844     Preformed Line Products Co. (a) (c)     312,128  
    18,580     PriceSmart, Inc. (a) (c)     3,158,414  
    13,092     Principal Financial Group, Inc. (c)     1,356,593  
    18,377     PulteGroup, Inc. (c)     2,171,794  
    6,546     Qnity Electronics, Inc. (c)     1,021,176  
    173,502     Qorvo, Inc. * (a)     17,967,867  
    13,747     QUALCOMM, Inc. (c)     3,450,772  
    7,628     Quest Diagnostics, Inc. (c)     1,486,697  
    1,772     Raymond James Financial, Inc. (c)     254,123  
    1,752     RBC Bearings, Inc. * (c)     1,002,074  
    4,281     Regeneron Pharmaceuticals, Inc.     2,631,873  
    67,694     Regions Financial Corp. (c)     1,895,432  
    66,900     Rocket Cos., Inc. – Class A * (a) (b)     970,719  
    780     Roper Technologies, Inc. (c)     253,913  
    6,008     Ross Stores, Inc. (a) (c)     1,392,234  
    17,310     Salesforce, Inc. (a) (c)     3,307,941  
    594,270     Select Medical Holdings Corp.     9,805,455  
    60,771     Silicon Laboratories, Inc. * (a) (c)     13,223,770  
    47,967     Solventum Corp. * (a) (b) (c)     3,595,127  
    18,138     State Street Corp. (a)     2,822,998  


Shares

    Description   Value ($)  
          United States — continued      
    10,864     Steel Dynamics, Inc. (a) (c)     2,826,270  
    22,537     StepStone Group, Inc. – Class A (a)     1,111,299  
    63,438     Super Micro Computer, Inc. * (a)       2,923,857  
    52,147     Synchrony Financial (a)     3,725,382  
    5,595     Synopsys, Inc. * (b) (c)     2,661,094  
    35,813     T. Rowe Price Group, Inc. (c)     3,743,533  

  

    35,951     Target Corp. (a) (b) (c)     4,568,294  
    4,856     TE Connectivity PLC (a)     1,036,319  
    19,976     Texas Instruments, Inc. (a)     6,106,264  
    24,083     Textron, Inc. (a) (c)     2,209,856  
    10,217     Thermo Fisher Scientific, Inc. (c)     5,031,975  
    14,939     TJX Cos., Inc. (a)     2,311,810  
    36,382     Trade Desk, Inc. – Class A * (c)     784,396  
    11,349     Tradeweb Markets, Inc. – Class A (a)     1,137,737  
    1,964     Trane Technologies PLC (a)     886,353  
    3,686     Travelers Cos., Inc. (a) (c)     1,075,907  
    49,368     Trex Co., Inc. * (a)     2,043,835  
    18,153     Trimble, Inc. * (c)     1,024,011  
    379,313     TXNM Energy, Inc. (a)     22,459,123  
    134,493     U.S. Bancorp (a) (c)     7,376,941  
    4,129     U.S. Lime & Minerals, Inc. (a)     470,665  
    30,072     Uber Technologies, Inc. * (a) (c)     2,117,069  
    2,236     Ulta Beauty, Inc. * (a)     1,137,789  
    4,000     Union Pacific Corp. (a) (b)     1,050,560  
    22,173     United Airlines Holdings, Inc. * (a) (c)     2,545,460  
    23,209     United Parcel Service, Inc. – Class B (a) (c)     2,476,168  
    2,340     United Therapeutics Corp. * (c)     1,302,959  
    12,418     UnitedHealth Group, Inc. (a) (c)     4,722,690  
    11,042     Universal Display Corp. (c)     1,017,189  
    15,119     Universal Health Services, Inc. – Class B (a) (c)     2,209,037  
    5,415     Valero Energy Corp. (a)     1,325,700  
    27,552     Veeco Instruments, Inc. *     1,588,097  
    72,648     Verizon Communications, Inc. (a) (c)     3,473,301  
    3,734     Vertiv Holdings Co. – Class A (a)     1,178,861  
    41,752     VICI Properties, Inc. – (REIT) (a)     1,178,241  
    13,477     Visa, Inc. – Class A (a) (c)     4,398,354  
    372,494     Warner Bros Discovery, Inc. * (a)     10,061,063  
    542     Waters Corp. *     207,877  
    318,352     Webster Financial Corp. (a)     23,150,557  
    6,748     Williams-Sonoma, Inc. (c)     1,373,690  
    16,734     WP Carey, Inc. – (REIT) (a)     1,245,344  
    1,080     WW Grainger, Inc. (c)     1,332,979  
    16,464     XPEL, Inc. * (c)     752,734  
    2,943     Yum! Brands, Inc. (c)     435,417  
    6,874     Zebra Technologies Corp. – Class A * (a)     1,674,713  
    7,223     Zoetis, Inc. (c)     561,155  
    35,770     Zoom Communications, Inc. * (a) (c)     3,633,874  
     

 

 

 
    Total United States     809,314,660  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,101,479,759)
    1,207,426,502  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares /

Par Value†

    Description   Value ($)  
    PREFERRED STOCKS (e) — 0.4%

 

          Brazil — 0.1%  
    122,200     Cia Energetica de Minas Gerais     260,652  

  

    51,873     Gerdau SA Sponsored ADR (a)     233,429  
     

 

 

 
    Total Brazil     494,081  
     

 

 

 
          Germany — 0.3%      
    5,162     Bayerische Motoren Werke AG (a)     448,687  
    21,740     Volkswagen AG * (a)       2,319,648  
     

 

 

 
    Total Germany     2,768,335  
     

 

 

 
          South Korea — 0.0%      
    2,532     Samsung Electronics Co. Ltd.     338,765  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $3,251,934)
    3,601,181  
     

 

 

 
          RIGHTS/WARRANTS — 0.1%  
          Canada — 0.0%  
    176,256     Resolute Forest Products, Inc. * (f)     264,384  
     

 

 

 
          United States — 0.1%      
    13,635     ABIOMED, Inc. CVR * (f)     21,816  
    117,606     Akero Therapeutics, Inc. CVR * (f)     58,803  
    195,149     Bristol-Myers Squibb Co. * (f)     585,447  
    192,737     Hologic, Inc. * (f)     1,927  
    38,486     Pershing Square Holdings Ltd. * (f)     11,546  
    121,981     Walgreens Boots Alliance, Inc. CVR * (f)     60,991  
     

 

 

 
    Total United States     740,530  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $691,641)
    1,004,914  
     

 

 

 
          INVESTMENT FUNDS — 1.7%  
          Japan — 0.2%  
    3,259,500     Carlyle ARE Partners II, L.P. (g) (h)     1,840,921  
     

 

 

 
          United States — 1.5%      
    9,856,086     Altaba, Inc.* (f)     12,320,107  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $14,141,689)
    14,161,028  
     

 

 

 
          DEBT OBLIGATIONS — 24.3%  
          Dominican Republic — 0.3%  
          Sovereign and Sovereign Agency Issuers — 0.3%  

DOP

    100,000,000     Dominican Republic International Bonds, Reg S, 13.63%, due 02/03/33     2,013,282  
     

 

 

 


Par Value†

    Description   Value ($)  
          Kazakhstan — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  

KZT

    183,000,000     Development Bank of Kazakhstan JSC, 144A, 18.40%, due 10/16/28     376,787  
     

 

 

 
          Malaysia — 0.3%      
          Sovereign and Sovereign Agency Issuers — 0.3%  

MYR

    10,200,000     Malaysia Government Bonds, 3.90%, due 11/30/26       2,584,176  
     

 

 

 
          Paraguay — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

PYG

    1,660,000,000     Paraguay Government International Bonds, 144A, 8.50%, due 04/04/38     259,569  
     

 

 

 
          Uganda — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

UGX

    1,010,000,000     Republic of Uganda Government Bonds, 15.80%, due 06/23/39     268,424  
     

 

 

 
          United States — 23.5%      
          U.S. Government — 21.1%  
    305,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/27 (a) (i)     305,095  
    58,669,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (a) (i)     58,725,987  
    1,150,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.19%, 3.82%, due 10/31/27 (a) (i)     1,151,977  
    111,456,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (a) (i)     111,473,759  
     

 

 

 
    Total U.S. Government     171,656,818  
     

 

 

 
          U.S. Government Agency — 2.4%  
    15,000,000     Uniform Mortgage-Backed Security, TBA, 5.50%, due 06/01/39     15,263,673  
    1,500,000     Uniform Mortgage-Backed Security, TBA, 2.50%, due 06/01/56     1,254,903  
    3,100,000     Uniform Mortgage-Backed Security, TBA, 6.00%, due 06/01/56     3,165,318  
     

 

 

 
    Total U.S. Government Agency     19,683,894  
     

 

 

 
    Total United States     191,340,712  
     

 

 

 
          Uruguay — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  

UYU

    13,000,000     Uruguay Government International Bonds, 8.25%, due 05/21/31     338,075  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value† /

Shares

    Description   Value ($)  
          Sovereign and Sovereign Agency Issuers —
continued
 

UYU

    14,000,000     Uruguay Government International Bonds, 8.00%, due 10/29/35     356,164  
     

 

 

 
    Total Uruguay     694,239  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $197,239,739)
    197,537,189  
     

 

 

 
          SHORT-TERM INVESTMENTS — 20.7%  
          Money Market Funds — 1.3%  
    10,281,701     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (j)     10,281,701  
     

 

 

 
          Repurchase Agreements — 18.5%  
    150,000,760     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/29/26, maturing on 06/01/26 with a maturity value of $150,046,010 and an effective yield of 3.62%, collateralized by a U.S. Treasury Note with maturity date 06/15/28 and a market value of $153,084,656.     150,000,760  
     

 

 

 


Par Value†

    Description   Value ($)  
          Sovereign and Sovereign Agency Issuers — 0.5%  

EGP

    58,000,000     Egypt Treasury Bills, Zero Coupon, due 09/01/26     1,050,675  

EGP

    34,000,000     Egypt Treasury Bills, Zero Coupon, due 10/06/26     602,364  

EGP

    22,000,000     Egypt Treasury Bills, Zero Coupon, due 10/20/26     386,437  

NGN

    1,500,000,000     Nigeria OMO Bills, Zero Coupon, due 08/04/26     1,055,777  

NGN

    1,699,999,999     Nigeria OMO Bills, Zero Coupon, due 08/11/26     1,191,813  
     

 

 

 
    Total Sovereign and Sovereign Agency Issuers     4,287,066  
     

 

 

 
          U.S. Government — 0.4%  
    3,475,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 04/30/28 (i)     3,475,802  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $168,184,171)
    168,045,329  
     

 

 

 
 

 

PURCHASED OPTIONS — 0.0%

 

Description

   Exercise
Price
    

Expiration
Date

   Number of
Contracts
     Notional
Amount
    Value ($)  

Equity Options – Calls — 0.0%

                

iShares 20+ Year Treasury Bond ETF (b)

     86.00      09/18/26      371        USD        3,181,696       64,925  

iShares 7-10 Year Treasury Bond ETF (b)

     95.00      09/18/26      186        USD        1,760,490       20,460  
                

 

 

 
Total Equity Options – Calls                    85,385  
                

 

 

 

TOTAL PURCHASED OPTIONS (COST $79,624)

                   85,385  
                

 

 

 

TOTAL INVESTMENTS — 195.6%
(Cost $1,485,068,557)

                   1,591,861,528  
                

 

 

 

 

     Shares     Description   Value ($)  
    SECURITIES SOLD SHORT — (96.4)%

 

          Common Stocks — (94.6)%  
          Australia — (2.4)%  
    (123,399   APA Group     (892,902

  

    (12,940   Commonwealth Bank of Australia     (1,533,588
    (38,376   GPT Group – (REIT)     (133,645
    (27,325   Insurance Australia Group Ltd.     (150,188
    (193,788   Lottery Corp. Ltd.     (752,780
    (134,945   Lynas Rare Earths Ltd. *     (1,855,289
    (7,850   Macquarie Group Ltd.     (1,346,111
    (5,328   National Australia Bank Ltd.     (143,007
    (14,577   NEXTDC Ltd. *     (159,460
    (18,954   Pro Medicus Ltd.     (1,801,857
    (74,097   Scentre Group – (REIT)     (203,567
     Shares     Description   Value ($)  
          Australia — continued  
    (27,121   SGH Ltd.     (800,916
    (1,055,205   Sigma Healthcare Ltd.     (2,225,979
    (344,906   South32 Ltd.     (1,196,520

  

    (148,477   Transurban Group     (1,596,904
    (45,170   Vicinity Ltd. – (REIT)     (81,996
    (27,193   Washington H Soul Pattinson & Co. Ltd.     (849,853
    (5,183   Westpac Banking Corp.     (134,010
    (27,115   WiseTech Global Ltd.     (704,920
    (49,723   Xero Ltd. *     (2,701,877
     

 

 

 
    Total Australia     (19,265,369
     

 

 

 
          Belgium — (0.4)%      
    (16,883   Anheuser-Busch InBev SA     (1,351,781
    (8,596   Elia Group SA     (1,336,217
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

     Shares     Description   Value ($)  
          Belgium — continued      

  

    (2,388   Groupe Bruxelles Lambert NV     (224,847
    (51   Lotus Bakeries NV     (653,608
     

 

 

 
    Total Belgium     (3,566,453
     

 

 

 
          Brazil — (0.2)%      
    (143,894   NU Holdings Ltd. – Class A *     (1,889,328
     

 

 

 
          Canada — (2.4)%      
    (39,100   AltaGas Ltd.     (1,521,572
    (19,300   AtkinsRealis Group, Inc.     (1,158,574
    (400   Bombardier, Inc. – Class B *     (90,230
    (1,200   Brookfield Corp. (b)     (54,671
    (27,106   Brookfield Renewable Corp.     (1,083,698
    (11,694   Cameco Corp.     (1,317,914
    (1,900   Dollarama, Inc.     (242,970
    (7,500   Element Fleet Management Corp.     (149,440
    (23,014   Enbridge, Inc.     (1,259,786
    (3,900   Equinox Gold Corp.     (53,182
    (4,400   First Majestic Silver Corp.     (92,937
    (5,367   Franco-Nevada Corp.     (1,238,167
    (23,167   GFL Environmental, Inc.     (777,021
    (3,500   IAMGOLD Corp. *     (63,316
    (93,500   Keyera Corp.     (3,878,624
    (1,300   Loblaw Cos. Ltd.     (58,152
    (1,500   OR Royalties, Inc.     (55,902
    (23,227   Pan American Silver Corp.     (1,323,707
    (29,639   Pembina Pipeline Corp.     (1,379,695
    (9,550   RB Global, Inc.     (1,015,642
    (17,118   Restaurant Brands International, Inc.     (1,278,715
    (3,919   TC Energy Corp.     (261,084
    (7,204   Wheaton Precious Metals Corp.     (955,250
     

 

 

 
    Total Canada     (19,310,249
     

 

 

 
          Chile — (0.1)%      
    (20,275   Latam Airlines Group SA ADR     (1,088,362
     

 

 

 
          China — (0.3)%      
    (10,000   Akeso, Inc. *     (151,038
    (7,200   BeOne Medicines Ltd. – Class H *     (161,995
    (28,000   Genscript Biotech Corp. *     (48,786
    (14,000   Innovent Biologics, Inc. *     (148,657
    (1,300   Legend Biotech Corp. ADR *     (35,308
    (214,241   NIO, Inc. ADR *     (1,199,750
    (25,630   NIO, Inc. – Class A *     (144,416
    (31,105   XPeng, Inc. ADR *     (511,677
    (13,000   XPeng, Inc. – Class A *     (105,741
     

 

 

 
    Total China     (2,507,368
     

 

 

 
          Denmark — (1.1)%      
    (40,150   Coloplast AS – Class B     (2,464,779
    (25,287   Novonesis Novozymes B – Class B     (1,469,126
    (78,351   Orsted AS *     (1,996,817
     Shares     Description   Value ($)  
          Denmark — continued      

  

    (127,195   Tryg AS     (2,989,705
     

 

 

 
    Total Denmark     (8,920,427
     

 

 

 
          Finland — (0.4)%      
    (10,616   Kesko OYJ – Class B     (257,224
    (65,104   Nordea Bank Abp     (1,247,385
    (51,238   Sampo OYJ – Class A     (540,794
    (96,200   Stora Enso OYJ – Class R     (1,125,796
     

 

 

 
    Total Finland     (3,171,199
     

 

 

 
          France — (0.7)%      
    (14,738   Aeroports de Paris SA     (1,974,731
    (216   Dassault Aviation SA     (76,739
    (919   Gecina SA – (REIT)     (78,556
    (73,117   Getlink SE     (1,597,634
    (773   Hermes International SCA     (1,444,527
    (12,760   Renault SA     (436,425
    (1,504   Unibail-Rodamco-Westfield – (REIT) *     (173,861
     

 

 

 
    Total France     (5,782,473
     

 

 

 
          Germany — (2.6)%      
    (21,757   BASF SE     (1,288,292
    (27,895   Bayer AG (Registered)     (1,186,283
    (60,752   Delivery Hero SE *     (2,602,499
    (1,238   Deutsche Boerse AG     (356,682
    (113,708   Deutsche Lufthansa AG (Registered)     (1,130,545
    (63,607   Evonik Industries AG *     (1,245,661
    (2,556   Fresenius Medical Care AG     (110,769
    (4,331   Fresenius SE & Co. KGaA     (182,881
    (31,684   Hensoldt AG     (3,289,428
    (2,258   HOCHTIEF AG     (1,276,589
    (8,955   LEG Immobilien SE     (581,403
    (3,143   MTU Aero Engines AG     (1,146,681
    (20,203   Qiagen NV (b)     (744,971
    (121   Rational AG     (92,583
    (149   Rheinmetall AG     (224,329
    (13,843   Siemens Energy AG     (2,620,674
    (12,669   Talanx AG     (1,515,418
    (51,662   Vonovia SE     (1,287,606
     

 

 

 
    Total Germany     (20,883,294
     

 

 

 
          Hong Kong — (0.7)%      
    (96,200   AIA Group Ltd.     (1,009,116
    (65,500   CK Infrastructure Holdings Ltd.     (495,779
    (28,000   Galaxy Entertainment Group Ltd.     (111,523
    (18,000   Henderson Land Development Co. Ltd.     (71,066
    (21,700   Hongkong Land Holdings Ltd.     (165,417
    (218,800   Link REIT     (1,127,872
    (288,000   MTR Corp. Ltd.     (1,158,834
    (422,400   Sands China Ltd.     (825,213
    (114,000   Wharf Holdings Ltd.     (322,529
     

 

 

 
    Total Hong Kong     (5,287,349
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

     Shares     Description   Value ($)  
          Israel — (0.2)%      

  

    (2,781   Monday.com Ltd. *     (232,547
    (37,316   Teva Pharmaceutical Industries Ltd. Sponsored ADR *     (1,318,001
    (3,434   Wix.com Ltd. *     (192,510
     

 

 

 
    Total Israel     (1,743,058
     

 

 

 
          Italy — (1.3)%      
    (124,124   Banca Monte dei Paschi di Siena SpA     (1,334,968
    (12,468   Ferrari NV     (4,284,140
    (86,464   FinecoBank Banca Fineco SpA     (2,109,649
    (30,721   Generali     (1,383,527
    (162,428   Intesa Sanpaolo SpA     (1,097,699
    (522   Prysmian SpA     (89,923
     

 

 

 
    Total Italy     (10,299,906
     

 

 

 
          Japan — (6.2)%      
    (5,200   Advantest Corp.     (850,176
    (304,500   Aeon Co. Ltd.     (2,665,195
    (46,800   ANA Holdings, Inc.     (876,531
    (2,900   Asics Corp.     (88,096
    (45,200   Chiba Bank Ltd.     (660,843
    (5,000   Disco Corp.     (2,040,174
    (31,200   East Japan Railway Co.     (664,538
    (23,300   Eisai Co. Ltd.     (579,306
    (2,400   Fast Retailing Co. Ltd.     (1,243,767
    (24,100   Fujikura Ltd.     (718,192
    (18,400   Fujitsu Ltd.     (391,921
    (5,000   Hikari Tsushin, Inc.     (1,146,716
    (20,800   Ibiden Co. Ltd.     (2,990,378
    (139,600   IHI Corp.     (2,425,740
    (131,500   Japan Exchange Group, Inc.     (1,606,437
    (70,900   Japan Post Bank Co. Ltd.     (1,366,328
    (2,800   JX Advanced Metals Corp.     (69,111
    (61,000   Kawasaki Heavy Industries Ltd.     (1,193,010
    (30,900   KDDI Corp.     (531,184
    (4,200   Kioxia Holdings Corp. *     (1,729,510
    (100   Kobe Bussan Co. Ltd.     (1,701
    (3,100   Mitsubishi Estate Co. Ltd.     (78,330
    (37,400   Mitsubishi Heavy Industries Ltd.     (884,090
    (16,500   Mizuho Financial Group, Inc.     (741,609
    (161,000   MonotaRO Co. Ltd.     (1,902,864
    (481,000   Nissan Motor Co. Ltd. *     (1,196,993
    (49,200   Nitori Holdings Co. Ltd.     (807,993
    (15,800   Oracle Corp. Japan     (856,924
    (247,100   Oriental Land Co. Ltd.     (3,553,456
    (632,200   Rakuten Group, Inc. *     (2,955,223
    (50,600   Resona Holdings, Inc.     (645,927
    (6,100   Ryohin Keikaku Co. Ltd.     (148,986
    (245,000   Sanrio Co. Ltd.     (1,317,412
    (15,400   Seibu Holdings, Inc.     (272,883
    (11,524   Shimano, Inc.     (1,192,717
    (117,100   Shiseido Co. Ltd.     (2,064,605
     Shares     Description   Value ($)  
          Japan — continued      
    (2,978,400   SoftBank Corp.     (4,024,010

  

    (39,600   SoftBank Group Corp.     (1,862,866
    (13,800   Tokyo Metro Co. Ltd.     (126,686
    (43,800   Tokyu Corp.     (439,163
    (55,400   Toyota Motor Corp.     (1,048,041
    (16,100   West Japan Railway Co.     (265,550
    (8,600   Zensho Holdings Co. Ltd.     (434,951
     

 

 

 
    Total Japan     (50,660,133
     

 

 

 
          Mexico — (0.0)%      
    (933   Grupo Aeroportuario del Pacifico SAB de CV ADR     (220,468
     

 

 

 
          Netherlands — (3.2)%      
    (1,070   Adyen NV *     (1,172,043
    (56,031   Aegon Ltd.     (475,260
    (185,851   Akzo Nobel NV     (14,105,176
    (8,611   BE Semiconductor Industries NV     (2,851,152
    (198,338   CVC Capital Partners PLC     (3,170,306
    (14,299   Heineken NV     (1,116,677
    (32,788   Koninklijke Philips NV     (870,520
    (9,111   Nebius Group NV *     (2,105,461
     

 

 

 
    Total Netherlands     (25,866,595
     

 

 

 
          New Zealand — (0.2)%      
    (80,074   Auckland International Airport Ltd.     (396,505
    (101,157   Contact Energy Ltd.     (577,711
    (33,483   Infratil Ltd.     (315,102
    (92,443   Meridian Energy Ltd.     (324,506
     

 

 

 
    Total New Zealand     (1,613,824
     

 

 

 
          Norway — (0.7)%      
    (63,116   Kongsberg Gruppen ASA     (2,260,886
    (43,308   Salmar ASA     (2,690,547
    (18,348   Telenor ASA     (299,678
     

 

 

 
    Total Norway     (5,251,111
     

 

 

 
          Peru — (0.3)%      
    (12,363   Southern Copper Corp.     (2,365,120
     

 

 

 
          Portugal — (0.2)%      
    (92,020   EDP Renewables SA     (1,521,526
     

 

 

 
          Singapore — (0.8)%      
    (89,383   CapitaLand Integrated Commercial Trust – (REIT)     (159,097
    (628,600   CapitaLand Investment Ltd.     (1,250,597
    (225,355   Grab Holdings Ltd. – Class A *     (797,757
    (158,300   Keppel Ltd.     (1,334,946
    (20,463   Sea Ltd. ADR *     (1,852,515
    (225,200   Singapore Airlines Ltd.     (1,196,342
     

 

 

 
    Total Singapore     (6,591,254
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

     Shares     Description   Value ($)  
          Spain — (1.8)%      

  

    (295,497   Banco Santander SA Sponsored ADR     (3,687,803
    (358,654   Banco Santander SA     (4,485,270
    (80,689   Cellnex Telecom SA *     (2,700,068
    (54,450   Ferrovial NV     (3,724,306
    (33,931   Grifols SA     (367,318
     

 

 

 
    Total Spain     (14,964,765
     

 

 

 
          Sweden — (1.4)%      
    (4,116   AddTech AB – B Shares     (146,704
    (83,281   Beijer Ref AB – Class B     (1,157,141
    (90,324   EQT AB     (3,106,628
    (160,785   Fastighets AB Balder – B Shares *     (920,967
    (111,167   Hexagon AB – B Shares     (1,019,901
    (32,021   Holmen AB – Class B     (1,063,927
    (118,534   Nibe Industrier AB – B Shares     (463,284
    (12,364   Norion Bank AB *     (77,591
    (11,116   Octave Intelligence PLC SDR *     (189,498
    (17,331   Skandinaviska Enskilda Banken AB – Class A     (346,356
    (2,712   Spotify Technology SA *     (1,349,708
    (122,759   Svenska Cellulosa AB SCA – Class B     (1,350,358
     

 

 

 
    Total Sweden     (11,192,063
     

 

 

 
          Switzerland — (1.5)%      
    (3,044   Alcon AG     (202,540
    (44,512   Avolta AG     (2,797,066
    (6,881   Banque Cantonale Vaudoise (Registered)     (1,035,419
    (293   Barry Callebaut AG (Registered)     (451,732
    (35   Chocoladefabriken Lindt & Spruengli AG     (417,004
    (5,765   Cie Financiere Richemont SA – Class A (Registered)     (1,237,854
    (2,503   Helvetia Baloise Holding AG     (649,514
    (877   Lonza Group AG (Registered)     (560,150
    (63   Partners Group Holding AG     (66,469
    (1,396   Sika AG (Registered)     (272,476
    (3,188   Swatch Group AG – Class BR     (882,551
    (127   Swiss Life Holding AG (Registered)     (137,880
    (7,559   Swiss Prime Site AG (Registered)     (1,267,097
    (7,636   Swiss Re AG     (1,144,151
    (714   VAT Group AG     (557,481
    (1,060   Zurich Insurance Group AG     (752,747
     

 

 

 
    Total Switzerland     (12,432,131
     

 

 

 
          United Kingdom — (4.2)%      
    (11,843   Antofagasta PLC     (652,400
    (52,326   Entain PLC     (374,432
    (211,702   Informa PLC     (2,300,033
    (16,949   InterContinental Hotels Group PLC     (2,599,150
    (25,022   Land Securities Group PLC – (REIT)     (211,250
    (16,514   London Stock Exchange Group PLC     (1,998,182
    (101,318   Melrose Industries PLC     (639,411
    (9,456   Reckitt Benckiser Group PLC     (581,934
     Shares     Description   Value ($)  
          United Kingdom — continued      
    (142,485   Rentokil Initial PLC     (856,173

  

    (60,304   Rolls-Royce Holdings PLC     (1,084,979
    (23,253   Segro PLC – (REIT)     (225,410
    (65,320   Severn Trent PLC     (2,604,564
    (176,140   Shell PLC ADR     (14,816,897
    (5,448   St. James’s Place PLC     (88,070
    (216,957   Standard Life PLC     (2,257,280
    (52,203   United Utilities Group PLC     (943,510
    (16,816   Whitbread PLC     (528,048
    (132,567   Wise Group PLC – Class A *     (1,660,745
     

 

 

 
    Total United Kingdom     (34,422,468
     

 

 

 
          United States — (61.3)%      
    (8,294   3M Co.     (1,270,060
    (15,565   AbbVie, Inc.     (3,388,812
    (2,120   AeroVironment, Inc. *     (439,349
    (87,944   Affirm Holdings, Inc. *     (6,477,076
    (4,404   Agilent Technologies, Inc.     (596,874
    (4,955   Air Products & Chemicals, Inc. (b)     (1,380,562
    (3,200   Alexandria Real Estate Equities, Inc. – (REIT)     (158,976
    (9,238   Alnylam Pharmaceuticals, Inc. *     (2,789,691
    (10,096   American International Group, Inc.     (749,426
    (156,148   American Water Works Co., Inc.     (19,248,364
    (17,037   Amrize Ltd. *     (909,843
    (2,360   Analog Devices, Inc.     (976,686
    (9,100   Annaly Capital Management, Inc. – (REIT)     (198,835
    (9,500   Apollo Global Management, Inc.     (1,222,745
    (17,600   Applied Digital Corp. *     (832,128
    (200   Applied Optoelectronics, Inc. *     (31,682
    (5,789   AppLovin Corp. – Class A *     (3,549,178
    (10,883   ARES Management Corp. – Class A     (1,398,466
    (2,500   Arrowhead Pharmaceuticals, Inc. *     (194,775
    (8,817   Arthur J Gallagher & Co.     (1,773,187
    (36,381   AST SpaceMobile, Inc. *     (4,125,969
    (45,775   AT&T, Inc.     (1,135,220
    (600   ATI, Inc. *     (105,096
    (24,600   Aurora Innovation, Inc. *     (180,564
    (9,349   Axon Enterprise, Inc. *     (4,195,083
    (1,500   Baker Hughes Co.     (95,820
    (8,000   Bank of New York Mellon Corp.     (1,115,440
    (6,446   Becton Dickinson & Co. (b)     (948,336
    (4,852   Biogen, Inc. *     (950,992
    (356,628   Black Hills Corp.     (25,969,651
    (9,913   Blackstone, Inc. (b)     (1,159,524
    (11,029   Block, Inc. *     (835,116
    (14,644   Bloom Energy Corp. – Class A *     (4,173,540
    (77,300   Blue Owl Capital, Inc.     (794,644
    (27,393   Boeing Co. *     (6,331,892
    (5,619   Boston Scientific Corp. * (b)     (271,454
    (7,400   Bridgebio Pharma, Inc. *     (490,324
    (2,400   Bright Horizons Family Solutions, Inc. *     (150,288
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

     Shares     Description   Value ($)  
          United States — continued      
    (48,687   Brink’s Co.     (5,064,422
    (19,196   Brown & Brown, Inc.     (1,079,775

  

    (10,437   Burlington Stores, Inc. *     (3,379,814
    (900   BXP, Inc. – (REIT)     (54,009
    (3,800   Camden Property Trust – (REIT)     (404,928
    (7,800   Carlyle Group, Inc.     (354,354
    (1,060   Carpenter Technology Corp.     (497,119
    (77,160   Carvana Co. *     (5,632,680
    (3,000   Casella Waste Systems, Inc. – Class A *     (246,510
    (3,700   Cava Group, Inc. *     (287,342
    (3,977   Cencora, Inc.     (1,071,245
    (74,895   Charter Communications, Inc. – Class A * (b)     (10,788,625
    (5,000   Chewy, Inc. – Class A *     (112,700
    (2,444   Ciena Corp. *     (1,418,082
    (9,923   Cintas Corp.     (1,699,413
    (9,400   Cleveland-Cliffs, Inc. *     (127,840
    (27,644   Cloudflare, Inc. – Class A *     (6,684,872
    (663   CME Group, Inc.     (181,357
    (348,011   Coeur Mining, Inc.     (6,723,573
    (7,286   Coherent Corp. *     (2,633,670
    (15,581   Coinbase Global, Inc. – Class A *     (2,945,276
    (5,610   Constellation Energy Corp.     (1,614,278
    (6,272   Cooper Cos., Inc. * (b)     (383,909
    (12,400   CoreWeave, Inc. – Class A *     (1,358,172
    (7,857   Corning, Inc.     (1,423,374
    (2,260   Corpay, Inc. *     (817,668
    (324   Costco Wholesale Corp.     (309,848
    (13,211   Credo Technology Group Holding Ltd. *     (3,118,192
    (14,133   Crown Castle, Inc. – (REIT)     (1,293,170
    (4,100   Cytokinetics, Inc. *     (314,716
    (4,898   Danaher Corp.     (894,718
    (316,009   Devon Energy Corp.     (14,059,240
    (15,662   Dexcom, Inc. *     (1,154,916
    (6,490   Diamondback Energy, Inc.     (1,242,705
    (18,295   Digital Realty Trust, Inc. – (REIT)     (3,476,050
    (7,985   Dollar Tree, Inc. *     (929,773
    (18,213   Dominion Energy, Inc.     (1,219,178
    (14,198   DoorDash, Inc. – Class A *     (2,261,599
    (31,837   Dow, Inc.     (1,074,499
    (166,116   DraftKings, Inc. – Class A *     (4,068,181
    (3,600   DT Midstream, Inc.     (503,928
    (20,060   DuPont de Nemours, Inc.     (971,305
    (9,600   Dutch Bros, Inc. – Class A *     (556,800
    (41,300   D-Wave Quantum, Inc. *     (1,244,782
    (2,961   Eaton Corp. PLC     (1,186,177
    (16,543   EchoStar Corp. – Class A *     (2,137,190
    (7,498   Ecolab, Inc.     (1,919,488
    (6,161   Equifax, Inc.     (1,021,432
    (4,802   Erie Indemnity Co. – Class A     (1,023,162
    (14,552   Estee Lauder Cos., Inc. – Class A     (1,294,400
    (5,377   Everpure, Inc. – Class A *     (427,525
    (2,399   Fair Isaac Corp. *     (3,000,165
    (102,883   Fidelity National Information Services, Inc.     (4,422,940
     Shares     Description   Value ($)  
          United States — continued      
    (608   First Citizens BancShares, Inc. – Class A     (1,210,230
    (24,238   Fiserv, Inc. *     (1,370,901

  

    (1,360   Flutter Entertainment PLC *     (131,893
    (9,852   FTAI Aviation Ltd.     (2,564,870
    (25,200   GameStop Corp. – Class A *     (533,736
    (3,625   Gartner, Inc. *     (587,975
    (1,481   GE Vernova, Inc.     (1,434,082
    (520   Goldman Sachs Group, Inc.     (533,291
    (6,500   Guardant Health, Inc. *     (842,985
    (13,700   Guidewire Software, Inc. *     (2,091,579
    (1,900   HealthEquity, Inc. *     (167,181
    (91,011   Healthpeak Properties, Inc. – (REIT)     (1,742,861
    (42,700   Hecla Mining Co.     (758,779
    (3,290   Home Depot, Inc.     (1,043,391
    (400   Hut 8 Corp. *     (49,932
    (23,882   Hyatt Hotels Corp. – Class A     (4,331,240
    (9,622   Illumina, Inc. *     (1,568,001
    (16,045   Ingersoll Rand, Inc.     (1,149,464
    (29,613   Insmed, Inc. *     (3,165,926
    (2,712   Insulet Corp. *     (393,077
    (36,973   Intel Corp. *     (4,240,064
    (7,834   Intercontinental Exchange, Inc.     (1,158,257
    (25,407   International Flavors & Fragrances, Inc.     (1,932,202
    (38,183   International Paper Co. (b)     (1,277,985
    (201   Intuit, Inc.     (66,638
    (3,800   Ionis Pharmaceuticals, Inc. *     (290,700
    (126,518   IonQ, Inc. *     (9,118,152
    (6,428   IQVIA Holdings, Inc. *     (1,171,246
    (49,117   IREN Ltd. *     (3,120,894
    (1,962   Johnson Controls International PLC     (263,026
    (10,300   KeyCorp     (219,699
    (131,858   Kimberly-Clark Corp. (b)     (12,869,341
    (23,400   Kimco Realty Corp. – (REIT)     (563,472
    (34,726   KKR & Co., Inc. (b)     (3,331,612
    (52,576   Kraft Heinz Co. (b)     (1,262,350
    (9,600   Kratos Defense & Security Solutions, Inc. *     (615,648
    (1,108   Labcorp Holdings, Inc.     (288,147
    (2,330   Lennox International, Inc.     (1,170,033
    (53,842   Liberty Media Corp.-Liberty Formula One – Class C *     (4,888,315
    (7,605   Linde PLC     (3,784,932
    (26,132   Live Nation Entertainment, Inc. *     (4,400,890
    (4,043   Lumentum Holdings, Inc. *     (3,456,603
    (520   Madrigal Pharmaceuticals, Inc. NULL *     (258,580
    (324   Marriott International, Inc. – Class A     (121,694
    (26,733   Marvell Technology, Inc.     (5,480,265
    (10,700   McCormick & Co., Inc.     (506,859
    (2,652   McKesson Corp.     (1,968,951
    (686   MercadoLibre, Inc. *     (1,163,216
    (8,939   MongoDB, Inc. *     (2,999,481
    (288   Motorola Solutions, Inc.     (116,145
    (25,900   MP Materials Corp. *     (1,675,730
    (4,422   MSCI, Inc.     (2,791,962
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

     Shares     Description   Value ($)  
          United States — continued      
    (14,614   Natera, Inc. *     (3,264,329
    (15,822   NextEra Energy, Inc.     (1,376,672

  

    (13,771   NIKE, Inc. – Class B     (636,633
    (664   NiSource, Inc.     (30,690
    (29,200   Nutanix, Inc. – Class A *     (1,520,444
    (9,570   Occidental Petroleum Corp.     (541,949
    (50,409   Oklo, Inc. *     (3,371,354
    (66,656   Okta, Inc. *     (8,216,685
    (43,411   ONEOK, Inc.     (3,643,919
    (2,780   O’Reilly Automotive, Inc. *     (241,526
    (53,005   Otis Worldwide Corp.     (3,754,874
    (21,874   Palantir Technologies, Inc. – Class A *     (3,424,156
    (7,321   Palo Alto Networks, Inc. *     (2,062,253
    (6,476   Paychex, Inc.     (628,043
    (4,900   Planet Fitness, Inc. – Class A *     (262,199
    (600   Planet Labs PBC *     (30,684
    (440   Praxis Precision Medicines, Inc. *     (153,987
    (1,600   Public Service Enterprise Group, Inc.     (125,840
    (10,276   Public Storage – (REIT)     (3,120,718
    (161   Quanta Services, Inc.     (114,589
    (30,500   QXO, Inc. *     (526,125
    (26,311   Realty Income Corp. – (REIT)     (1,612,338
    (5,800   Reinsurance Group of America, Inc.     (1,164,292
    (4,391   Republic Services, Inc.     (880,132
    (13,690   Revolution Medicines, Inc. *     (2,155,901
    (33,500   Rigetti Computing, Inc. *     (855,590
    (10,000   Riot Platforms, Inc. *     (271,100
    (280,870   Rivian Automotive, Inc. – Class A *     (4,578,181
    (43,967   Robinhood Markets, Inc. – Class A *     (4,146,088
    (96,246   ROBLOX Corp. – Class A *     (4,537,999
    (178,330   Rocket Cos., Inc. – Class A * (b)     (2,587,568
    (30,205   Rocket Lab Corp. *     (4,333,813
    (4,900   Roku, Inc. *     (637,882
    (42,122   Rollins, Inc.     (2,005,007
    (1,100   Royal Caribbean Cruises Ltd.     (313,093
    (7,507   RTX Corp.     (1,348,708
    (28,200   Rubrik, Inc. – Class A *     (2,217,366
    (9,700   Ryan Specialty Holdings, Inc.     (308,945
    (2,870   S&P Global, Inc.     (1,216,880
    (86,849   Samsara, Inc. – Class A *     (3,038,847
    (3,579   Seagate Technology Holdings PLC     (3,148,804
    (1,300   Semtech Corp. *     (198,302
    (6,690   ServiceNow, Inc. *     (832,035
    (1,360   SiTime Corp. *     (965,872
    (166,564   Skyworks Solutions, Inc.     (12,967,007
    (169,531   Snap, Inc. – Class A *     (968,022
    (27,497   Snowflake, Inc. *     (7,026,858
    (214,080   SoFi Technologies, Inc. *     (3,900,538
    (9,400   Southern Co.     (865,270
    (33,156   Starbucks Corp.     (3,287,749
    (3,400   Starwood Property Trust, Inc. – (REIT)     (58,072
    (2,151   STERIS PLC     (457,582
    (14,440   Strategy, Inc. *     (2,297,260
     Shares     Description   Value ($)  
          United States — continued      
    (21,076   Sun Communities, Inc. – (REIT)     (2,606,258
    (12,141   Super Micro Computer, Inc. *     (559,579
    (11,611   Take-Two Interactive Software, Inc. *     (2,602,722

  

    (12,452   Targa Resources Corp.     (3,176,132
    (2,400   TechnipFMC PLC     (164,208
    (3,400   Tempus AI, Inc. – Class A *     (171,598
    (1,400   Terawulf, Inc. *     (35,784
    (8,551   Tesla, Inc. *     (3,726,440
    (5,563   Texas Pacific Land Corp.     (2,186,259
    (6,151   T-Mobile U.S., Inc.     (1,153,497
    (27,344   Tractor Supply Co.     (862,156
    (1,491   TransDigm Group, Inc.     (1,876,155
    (13,428   TransUnion     (960,908
    (7,053   Twilio, Inc. – Class A *     (1,344,584
    (890   Tyler Technologies, Inc. *     (278,704
    (45,399   UDR, Inc. – (REIT)     (1,675,223
    (71,697   Union Pacific Corp. (b)     (18,830,500
    (19,700   Unity Software, Inc. *     (600,259
    (1,200   Upstart Holdings, Inc. *     (40,548
    (29,200   Uranium Energy Corp. *     (402,084
    (2,400   Varonis Systems, Inc. *     (81,960
    (2,100   Vaxcyte, Inc. *     (107,940
    (37,404   Ventas, Inc. – (REIT)     (3,157,646
    (571   Verisk Analytics, Inc.     (99,919
    (573   Vertex Pharmaceuticals, Inc. *     (256,440
    (12,815   Vistra Corp.     (2,053,347
    (7,400   Vornado Realty Trust – (REIT)     (249,750
    (7,123   Waste Connections, Inc.     (1,061,470
    (196   Waste Management, Inc.     (41,446
    (1   Waters Corp. *     (365
    (10,238   Watsco, Inc.     (3,758,370
    (1,413   Wells Fargo & Co.     (109,564
    (10,900   Welltower, Inc. – (REIT)     (2,238,097
    (5,930   Western Digital Corp.     (3,150,075
    (50,574   Williams Cos., Inc.     (3,610,478
    (4,688   Willis Towers Watson PLC     (1,170,453
    (2,415   Workday, Inc. – Class A *     (353,049
    (41,375   Zillow Group, Inc. – Class C *     (1,448,125
    (9,982   Zimmer Biomet Holdings, Inc.     (821,818
    (31,356   Zscaler, Inc. *     (4,381,374
     

 

 

 
    Total United States     (498,607,291
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $723,124,990)
    (769,423,584
     

 

 

 
          PREFERRED STOCKS (e) — (0.4)%  
          Germany — (0.4)%  
    (7,007   Sartorius AG     (1,997,260
    (18,101   Dr. Ing hc F Porsche AG *     (985,258
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $2,972,908)
    (2,982,518
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

     Shares     Description   Value ($)  
          RIGHTS/WARRANTS — (0.0)%  
          Portugal — (0.0)%  

  

    (92,020   EDP Renewables SA *     (13,620
     

 

 

 
          United States — (0.0)%      
    (1,710   GameStop Corp. *     (5,558
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(PROCEEDS $13,391)
        (19,178
     

 

 

 
     Par Value†     Description   Value ($)  
          DEBT OBLIGATIONS — (1.4)%  
          United States — (1.4)%  
          U.S. Government Agency — (1.4)%  

  

    (11,500,000   Uniform Mortgage-Backed Security, TBA, 6.00%, due 06/01/56     (11,745,901
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(PROCEEDS $11,734,492)
    (11,745,901
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $737,845,781)
    (784,171,181
     

 

 

 
    Other Assets and Liabilities (net) — 0.8%     6,119,262  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $ 813,809,609  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Carlyle ARE Partners II, L.P.    03/24/26    $ 2,051,226      0.2%   $ 1,840,921  
          

 

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Forward Currency Contracts

 

Settlement

Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/13/2026   SSB     AUD       1,400,000       USD       1,012,435       7,644  
08/13/2026   MSCI     AUD       6,410,000       USD       4,636,336       35,832  
06/23/2026   SSB     CAD       1,957,763       USD       1,435,701       14,318  
06/26/2026   SSB     CAD       4,590,795       USD       3,350,499       17,048  
06/26/2026   CITI     CAD       12,702,952       USD       9,259,237       35,418  
06/26/2026   DB     CAD       877,925       USD       643,122       5,647  
06/26/2026   JPM     CAD       20,795       USD       15,344       244  
06/26/2026   MSCI     CAD       14,109,971       USD       10,357,324       111,845  
07/08/2026   BCLY     CAD       5,400,000       USD       3,932,947       9,930  
08/10/2026   MSCI     COP       720,000,000       USD       194,708       2,648  
06/30/2026   UBSA     EUR       23,457,229       USD       27,503,390       109,391  
06/18/2026   DB     EUR       19,290,000       USD       22,590,394       74,587  
06/05/2026   SSB     GBP       21,217,426       USD       28,659,289       85,996  
06/05/2026   MSCI     GBP       1,417,412       USD       1,927,293       18,479  
06/16/2026   GS     INR       225,000,000       USD       2,416,030       51,018  
06/16/2026   SSB     INR       30,000,000       USD       317,756       2,421  
06/17/2026   BCLY     JPY       157,000,000       USD       1,005,269       18,264  
06/30/2026   SSB     JPY       535,429,786       USD       3,427,600       57,926  
07/15/2026   SSB     MXN       42,300,000       USD       2,440,916       9,893  
07/15/2026   CITI     MXN       5,600,000       USD       322,850       1,013  
06/30/2026   SSB     NOK       17,313,366       USD       1,876,906       5,322  
06/30/2026   UBSA     NOK       23,907,969       USD       2,596,130       11,665  
07/01/2026   CITI     PHP       34,500,000       USD       565,157       5,274  
07/01/2026   MSCI     PHP       37,600,000       USD       628,353       18,161  
07/01/2026   BCLY     PHP       50,500,000       USD       844,453       24,914  
07/01/2026   SSB     PHP       21,000,000       USD       344,647       3,849  
06/17/2026   MSCI     SEK       42,000,000       USD       4,600,538       48,138  

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/20/2026   CITI     SGD       6,160,000       USD       4,873,877       31,117  
07/21/2026   CITI     THB       94,552,251       USD       2,972,612       56,494  
06/30/2026   SSB     USD       12,358,536       AUD       17,253,417       35,534  
06/05/2026   SSB     USD       1,296,126       CHF       1,023,996       16,184  
08/10/2026   MSCI     USD       14,316,245       COP       54,432,800,000       203,718  
08/10/2026   GS     USD       298,978       COP       1,160,000,000       10,452  
07/15/2026   DB     USD       1,964,151       CZK       40,900,000       1,170  
07/15/2026   CITI     USD       364,787       CZK       7,600,000       407  
06/30/2026   SSB     USD       2,234,278       EUR       1,916,445       3,800  
07/15/2026   JPM     USD       2,137,374       GBP       1,590,000       3,707  
08/19/2026   DB     USD       3,997,750       HUF       1,243,020,539       84,753  
08/19/2026   SSB     USD       386,182       HUF       120,000,000       7,939  
06/16/2026   CITI     USD       312,688       INR       30,000,000       2,647  
06/16/2026   GS     USD       230,959       INR       22,000,000       287  
06/16/2026   MSCI     USD       270,265       INR       26,000,000       3,026  
06/17/2026   JPM     USD       1,482,731       JPY       236,000,000       920  
07/15/2026   SSB     USD       10,360,137       MXN       182,318,725       117,896  
07/02/2026   MSCI     USD       5,950,815       MXN       104,687,031       72,189  
07/15/2026   CITI     USD       20,476,586       NOK       195,027,768       600,652  
06/30/2026   SSB     USD       46,119,387       NOK       429,297,703       287,933  
06/17/2026   JPM     USD       4,687,984       NZD       7,980,000       93,048  
06/17/2026   SSB     USD       4,125,188       NZD       7,020,000       80,683  
06/17/2026   BCLY     USD       2,837,293       NZD       4,800,000       38,516  
06/17/2026   MSCI     USD       2,773,716       NZD       4,660,000       18,215  
06/30/2026   BCLY     USD       882,400       NZD       1,505,232       19,811  
06/30/2026   MSCI     USD       11,767,636       PEN       41,580,000       397,296  
06/30/2026   CITI     USD       1,558,801       PEN       5,400,000       21,060  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/01/2026   GS     USD       437,835       PHP       27,000,000       334  
07/27/2026   BCLY     USD       991,313       SEK       9,174,215       5,155  
07/29/2026   BCLY     USD       1,211,180       TRY       59,300,000       11,301  
07/27/2026   GS     USD       795,065       TWD       25,156,651       2,075  
06/30/2026   MSCI     USD       12,721,014       ZAR       212,100,000       329,352  
06/30/2026   CITI     USD       158,972       ZAR       2,600,000       1,004  
06/30/2026   UBSA     AUD       1,266,042       USD       902,112       (7,355
07/27/2026   MSCI     AUD       23,069,997       USD       16,408,978       (154,484
08/13/2026   CITI     AUD       2,220,000       USD       1,580,951       (12,360
06/30/2026   SSB     AUD       2,791,900       USD       1,994,248       (11,326
07/08/2026   JPM     CAD       3,690,000       USD       2,661,461       (19,267
07/08/2026   BCLY     CAD       4,100,000       USD       2,973,627       (4,960
06/05/2026   BCLY     CHF       56,957,628       USD       71,764,993       (1,229,478
07/15/2026   MSCI     CHF       17,937,275       USD       23,019,576       (66,926
07/15/2026   JPM     CHF       1,780,000       USD       2,288,708       (2,274
08/10/2026   MSCI     CLP       525,903,500       USD       585,547       (5,547
08/10/2026   GS     COP       1,059,500,000       USD       280,644       (1,977
07/15/2026   DB     CZK       29,000,000       USD       1,392,674       (830
08/31/2026   MSCI     EUR       2,527,000       USD       2,950,888       (7,636
08/31/2026   JPM     EUR       8,841,266       USD       10,326,143       (24,904
07/15/2026   MSCI     GBP       1,090,000       USD       1,462,757       (5,028
08/12/2026   MSCI     ILS       10,017,605       USD       3,448,992       (106,155
06/16/2026   SSB     INR       62,000,000       USD       646,367       (5,325
07/15/2026   SSB     MXN       33,000,000       USD       1,887,233       (9,308
07/15/2026   CITI     MXN       12,600,000       USD       718,572       (5,563
06/30/2026   SSB     NOK       38,201,516       USD       4,117,181       (12,424
06/30/2026   UBSA     NOK       6,525,413       USD       701,302       (4,099
06/17/2026   JPM     NZD       2,540,000       USD       1,457,390       (64,393
06/17/2026   MSCI     NZD       6,360,000       USD       3,732,699       (77,749
06/17/2026   SSB     NZD       11,770,000       USD       6,980,486       (71,238
06/30/2026   JPM     NZD       5,586,575       USD       3,294,621       (53,877
06/17/2026   BCLY     NZD       2,490,000       USD       1,471,492       (20,334
08/19/2026   SSB     PLN       5,550,000       USD       1,518,167       (11,855
08/19/2026   CITI     PLN       1,250,000       USD       342,859       (1,740
08/26/2026   DB     RON       22,291,896       USD       4,902,815       (26,212
06/17/2026   GS     SEK       12,800,000       USD       1,378,291       (9,106
06/17/2026   CITI     SEK       23,400,000       USD       2,495,019       (41,318
07/27/2026   MSCI     SEK       57,698,760       USD       6,190,329       (76,686
07/21/2026   CITI     THB       54,000,000       USD       1,660,344       (5,087

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
06/30/2026   SSB     USD       2,968,699       AUD       4,127,688       (3,556
07/02/2026   BCLY     USD       9,993,963       BRL       50,660,798       (24,603
07/02/2026   JPM     USD       24,750,802       BRL       125,649,917       (24,596
07/08/2026   BCLY     USD       11,742,722       CAD       16,010,000       (111,703
06/23/2026   BOA     USD       14,344,249       CAD       19,526,892       (167,262
07/08/2026   JPM     USD       4,485,685       CAD       6,090,000       (61,393
06/05/2026   SSB     USD       1,604,127       CHF       1,251,430       (347
07/15/2026   SSB     USD       3,561,404       CHF       2,750,000       (21,965
07/15/2026   CITI     USD       936,049       CZK       19,400,000       (3,843
07/15/2026   MSCI     USD       620,545       CZK       12,800,000       (5,482
07/15/2026   DB     USD       727,408       CZK       15,000,000       (6,631
06/30/2026   BCLY     USD       1,753,984       EUR       1,496,142       (6,749
06/30/2026   SSB     USD       3,523,890       EUR       2,996,430       (24,577
07/15/2026   BCLY     USD       5,360,346       GBP       3,970,000       (14,377
07/15/2026   SSB     USD       1,733,575       GBP       1,280,000       (9,938
06/30/2026   JPM     USD       3,272,766       GBP       2,423,444       (9,281
06/30/2026   SSB     USD       514,744       GBP       378,856       (4,565
08/05/2026   CITI     USD       3,348,184       IDR       58,336,743,000       (90,710
08/05/2026   GS     USD       190,812       IDR       3,307,000,000       (6,152
06/16/2026   BCLY     USD       537,230       INR       51,000,000       (1,160
06/16/2026   CITI     USD       930,766       INR       88,000,000       (5,784
06/16/2026   SSB     USD       1,510,065       INR       142,000,000       (17,480
06/17/2026   JPM     USD       27,212,970       JPY       4,300,915,155       (174,576
06/17/2026   SSB     USD       1,257,391       JPY       199,000,000       (6,346
06/30/2026   SSB     USD       39,755,830       JPY       6,299,192,030       (112,492
06/30/2026   UBSA     USD       1,426,247       JPY       225,998,626       (3,947
07/16/2026   JPM     USD       1,443,784       KRW       2,128,830,175       (30,784
07/16/2026   SSB     USD       3,039,373       KRW       4,460,000,000       (79,071
07/16/2026   GS     USD       419,827       KRW       620,000,000       (8,305
07/07/2026   JPM     USD       5,113,106       KRW       7,540,962,740       (108,787
07/01/2026   CITI     USD       2,548,939       PHP       155,600,000       (23,785
07/01/2026   MSCI     USD       373,866       PHP       22,500,000       (8,725
07/01/2026   SSB     USD       268,365       PHP       16,500,000       (595
07/21/2026   CITI     USD       2,752,095       THB       87,600,000       (50,395
06/30/2026   SSB     ZAR       15,600,000       USD       939,639       (20,218
07/27/2026   GS     ZAR       34,592,060       USD       2,089,450       (34,295
           

 

 

 
            $ (95,736
           

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
23   Australia Government Bond 10 Yr.   June 2026     1,802,363       23,578  
56   Canada Government Bond 10 Yr.   September 2026     4,883,676       30,377  
14   Cocoa(i)   July 2026     549,220       (23,699
268   Corn(i)   July 2026     5,986,450       (91,833
193   Cotton(i)   July 2026     7,348,475       66,281  
136   Euro Bund   June 2026     20,065,155       (322,048
185   FTSE 100 Index   June 2026     25,958,027       211,979  
66   Health Care Select Sector Futures   June 2026     9,972,600       (64,516
966   IODEX Futures(i)   July 2026     10,166,184       (123,172
48   KOSPI 200 Index   June 2026     10,749,834       1,119,633  
317   Lean Hogs(i)   July 2026     12,616,600       (529,946
7   Natural Gas(i)   June 2026     230,300       11,395  
15   RBOB Gasoline(i)   June 2026     1,911,672       40,624  
27   S&P 500 E-Mini   June 2026     10,254,263       34,667  
264   Soybean(i)   July 2026     15,665,100       (90,033
165   Soybean Meal(i)   July 2026     5,441,700       142,547  
568   Sugar(i)   June 2026     8,944,410       (57,385
77   TOPIX Index   June 2026     19,122,153       1,363,373  
142   UK Gilt Long Bond   September 2026     16,969,872       280,002  
97   WTI Crude(i)   June 2026     8,473,920       (370,911
     

 

 

   

 

 

 
  $ 197,111,974     $ 1,650,913  
 

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
25   BBG U.S. Corporate Investment Grade Duration-Hedged Index Futures   June 2026     2,812,500       (1,921
31   CAC40 10 Euro   June 2026     2,945,396       (73,142
316   CBOE Volatility Index(i)   June 2026     5,557,903       1,025,195  
156   Coffee(i)   July 2026     15,537,600       1,400,354  
48   Copper(i)   July 2026     7,666,800       (531,763
4   DAX Index Futures   June 2026     2,936,878       (131,097
543   E-mini Russell 2000 Index   June 2026     79,394,745       (5,737,349
52   E-mini Technology Select Sector Futures   June 2026     20,048,080       (3,735,666
20   FTSE 100 Index   June 2026     5,843,546       (348,331
170   FTSE Taiwan Index   June 2026     26,505,272       (633,849
92   Hang Seng Index   June 2026     14,663,943       241,887  
262   IFSC NIFTY 50 Index   June 2026     12,429,683       61,205  
106   Live Cattle Futures(i)   August 2026     10,135,720       236,476  
303   MSCI Singapore   June 2026     10,945,357       (90,326
11   NY Harbor ULSD Futures(i)   June 2026     1,611,733       128  
392   OMX Stockholm 30 Index   June 2026     13,316,408       (357,231
3   S&P/TSX 60 Index Futures   June 2026     880,383       (23,237
15   Silver(i)   July 2026     5,690,625       127,716  
679   Soybean Oil(i)   July 2026     31,663,128       (4,108,179
88   SPI 200 Futures   June 2026     13,835,941       (65,239
21   Swiss Market New Index Futures   June 2026     3,639,929       (197,044
11   U.S. Treasury Note 2 Yr. (CBT)   September 2026     2,272,187       (2,681
4   U.S. Treasury Note 5 Yr. (CBT)   September 2026     428,844       (531
4   U.S. Treasury Ultra 10 Yr. (CBT)   September 2026     448,313       (1,523
206   WCE Canola Futures(i)   July 2026     2,273,897       (121,715
237   Wheat(i)   July 2026     7,234,425       45,262  
     

 

 

   

 

 

 
  $ 300,719,236     $ (13,022,601
 

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Written Options

 

Description

    

Exercise
Price

     Expiration
Date
       Number of
Contracts
       Notional
Amount
       Value ($)  

Equity Options – Calls

                             

International Paper Co.(b)

     42.50        06/18/26          (285        USD          (953,895        (21,375

Lamb Weston Holdings, Inc.(b)

     62.50        06/18/26          (92        USD          (397,256        (2,760

Lamb Weston Holdings, Inc.(b)

     55.00        06/18/26          (102        USD          (440,436        (1,020

Meta Platforms, Inc.(b)

     620.00        06/18/26          (16        USD          (1,012,016        (41,216

Netflix, Inc.(b)

     95.00        06/18/26          (77        USD          (662,354        (3,234

TFI International, Inc.(b)

     85.00        07/17/26          (69        USD          (1,467,492        (496,110

Avantor, Inc.(b)

     9.00        08/21/26          (510        USD          (465,120        (66,300

Avantor, Inc.(b)

     8.00        08/21/26          (557        USD          (507,984        (114,185

Cognex Corp.(b)

     35.00        08/21/26          (154        USD          (1,014,090        (502,040

Gitlab, Inc.(b)

     25.00        08/21/26          (212        USD          (658,260        (162,392

LKQ Corp.(b)

     32.50        08/21/26          (439        USD          (1,190,568        (21,950

Air Products & Chemicals, Inc.(b)

     280.00        09/18/26          (31        USD          (863,722        (56,420

Becton Dickinson & Co.(b)

     200.00        09/18/26          (40        USD          (588,480        (54,000

Blackstone, Inc.(b)

     115.00        09/18/26          (70        USD          (818,790        (81,550

Charter Communications, Inc.(b)

     220.00        09/18/26          (14        USD          (201,670        (5,880

Cognizant Technology Solutions Corp.(b)

     62.50        09/18/26          (176        USD          (981,288        (58,080

Comcast Corp.(b)

     29.00        09/18/26          (330        USD          (820,710        (21,450

Comcast Corp.(b)

     31.00        09/18/26          (94        USD          (233,778        (3,478

Fluor Corp.(b)

     42.50        09/18/26          (265        USD          (1,212,640        (214,650

Fluor Corp.(b)

     47.50        09/18/26          (62        USD          (283,712        (30,504

iShares iBoxx USD Investment Grade Corporate Bond ETF(b)

     109.00        09/18/26          (571        USD          (6,244,456        (139,895

Keurig Dr. Pepper, Inc.(b)

     28.00        09/18/26          (395        USD          (1,186,185        (138,250

Kimberly-Clark Corp.(b)

     100.00        09/18/26          (57        USD          (556,320        (27,930

Kimberly-Clark Corp.(b)

     105.00        09/18/26          (55        USD          (536,800        (17,600

KKR & Co., Inc.(b)

     95.00        09/18/26          (86        USD          (825,084        (85,570

Kraft Heinz Co.(b)

     25.00        09/18/26          (204        USD          (489,804        (17,952

Meta Platforms, Inc.(b)

     630.00        09/18/26          (8        USD          (506,008        (44,520

Netflix, Inc.(b)

     89.00        09/18/26          (48        USD          (412,896        (30,000

Netflix, Inc.(b)

     84.00        09/18/26          (36        USD          (309,672        (32,580

Penn Entertainment, Inc.(b)

     15.00        09/18/26          (531        USD          (999,873        (292,050

Penn Entertainment, Inc.(b)

     12.00        09/18/26          (404        USD          (760,732        (327,240

Target Corp.(b)

     105.00        09/18/26          (104        USD          (1,321,528        (270,920

Brookfield Asset Management Ltd.(b)

     45.00        10/16/26          (179        USD          (1,193,572        (125,300

Jacobs Solutions, Inc.(b)

     135.00        10/16/26          (64        USD          (767,104        (38,400

Solventum Corp.(b)

     70.00        10/16/26          (52        USD          (389,740        (53,040

Eagle Materials, Inc.(b)

     180.00        11/20/26          (35        USD          (774,130        (184,450

Cooper Cos., Inc.(b)

     60.00        12/18/26          (175        USD          (1,071,175        (176,750

Gitlab, Inc.(b)

     22.50        12/18/26          (165        USD          (512,325        (183,150

Middleby Corp.(b)

     145.00        12/18/26          (68        USD          (1,054,068        (178,840

Qiagen NV(b)

     40.00        12/18/26          (286        USD          (905,047        (108,680

Union Pacific Corp.(b)

     230.00        12/18/26          (40        USD          (1,050,560        (184,000

Albertsons Cos., Inc.(b)

     17.00        01/15/27          (673        USD          (1,050,553        (80,760

Boston Scientific Corp.(b)

     65.00        01/15/27          (150        USD          (724,650        (38,400

Charter Communications, Inc.(b)

     150.00        01/15/27          (44        USD          (633,820        (134,200

Rocket Cos., Inc.(b)

     14.20        01/15/27          (669        USD          (970,719        (216,087

Synopsys, Inc.(b)

     400.00        01/15/27          (19        USD          (903,678        (227,886
                             

 

 

 
     Total Equity Options – Calls

 

       (5,313,044
                             

 

 

 

Index Options – Puts

 

S&P 500 Index

     7,165.00        06/03/26          (22        USD          (16,676,132        (1,210

S&P 500 Index

     7,190.00        06/03/26          (19        USD          (14,402,114        (1,330

S&P 500 Index

     7,160.00        06/03/26          (22        USD          (16,676,132        (1,430

S&P 500 Index

     7,170.00        06/03/26          (21        USD          (15,918,126        (1,260

S&P 500 Index

     7,185.00        06/03/26          (19        USD          (14,402,114        (1,330

S&P 500 Index

     7,175.00        06/03/26          (20        USD          (15,160,120        (1,200

S&P 500 Index

     7,180.00        06/03/26          (20        USD          (15,160,120        (1,400

E-mini Russell 2000 Index

     2,790.00        06/05/26          (62        USD          (18,130,660        (18,290

E-mini Russell 2000 Index

     2,795.00        06/05/26          (59        USD          (44,722,354        (18,408

S&P 500 Index

     7,125.00        06/05/26          (10        USD          (7,580,060        (1,350

S&P 500 Index

     7,305.00        06/05/26          (6        USD          (4,548,036        (2,148

S&P 500 Index

     7,290.00        06/05/26          (6        USD          (4,548,036        (2,040


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Written Options — continued

 

Description

    

Exercise
Price

     Expiration
Date
       Number of
Contracts
       Notional
Amount
       Value ($)  

S&P 500 Index

     7,300.00        06/05/26          (6        USD          (4,548,036        (2,100

S&P 500 Index

     7,310.00        06/05/26          (6        USD          (4,548,036        (2,262

S&P 500 Index

     7,295.00        06/05/26          (6        USD          (4,548,036        (2,070

S&P 500 Index

     7,320.00        06/05/26          (5        USD          (3,790,030        (2,000

S&P 500 Index

     7,315.00        06/05/26          (5        USD          (3,790,030        (1,910

S&P 500 Index

     7,285.00        06/05/26          (6        USD          (4,548,036        (1,842

S&P 500 Index

     7,175.00        06/12/26          (10        USD          (7,580,060        (6,080

S&P 500 Index

     7,235.00        06/18/26          (10        USD          (7,580,060        (16,500

S&P 500 Index

     7,400.00        06/26/26          (9        USD          (6,822,054        (42,300

S&P 500 Index

     7,410.00        06/30/26          (10        USD          (7,580,060        (54,700

S&P 500 Index

     7,475.00        07/10/26          (10        USD          (7,580,060        (86,500

S&P 500 Index

     7,585.00        07/17/26          (9        USD          (6,822,054        (121,230
                             

 

 

 
            Total Index Options – Puts          (390,890
                             

 

 

 
                
TOTAL WRITTEN OPTIONS
(Premiums $5,480,667)

 
     $ (5,703,934
                             

 

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

ITRAXX.EUR.42

  EUR     60,000,000       1.00%       0.36%       N/A       12/20/2029       Quarterly       (1,121,255     (1,529,010     (407,755

ITRAXX.XO.44

  EUR     8,800,000       5.00%       2.23%       N/A       12/20/2030       Quarterly       (832,757     (1,144,595     (311,838

CDX.NA.IG.46

  USD     88,562,000       1.00%       0.90%       N/A       06/20/2036       Quarterly       141,001       (683,345     (824,346

ITRAXX.EUR.45

  EUR     75,532,000       1.00%       0.94%       N/A       06/20/2036       Quarterly       590,938       (465,259     (1,056,197

Sell Protection^:

 

CDX.NA.HY.46

  USD     10,144,530       5.00%       3.02%       10,144,530 USD       06/20/2031       Quarterly       757,201       846,064       88,863  

CDX.NA.IG.46

  USD     214,622,000       1.00%       0.51%       214,622,000 USD       06/20/2031       Quarterly       4,083,981       4,830,283       746,302  

ITRAXX.EUR.45

  EUR     178,417,000       1.00%       0.53%       178,417,000 EUR       06/20/2031       Quarterly       3,672,752       4,634,094       961,342  

ITRAXX.XO.45

  EUR     11,846,000       5.00%       2.59%       11,846,000 EUR       06/20/2031       Quarterly       1,335,258       1,441,767       106,509  
               

 

 

   

 

 

   

 

 

 
                $ 8,627,119     $ 7,929,999     $ (697,120
               

 

 

   

 

 

   

 

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counter-
party

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by

the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

ITRAXX.EUR.44

  BOA   EUR     2,150,000       1.00%       5.97%       N/A       12/20/2030     Quarterly     513,733       490,556       (23,177

ITRAXX.EUR.44

  BOA   EUR     4,690,000       1.00%       1.44%       N/A       12/20/2030     Quarterly     121,782       103,982       (17,800

CMBX.NA.BBB-.18

  CGMI   USD     13,000,000       3.00%       5.93%       N/A       12/17/2057     Monthly     1,145,626       1,047,963       (97,663

CMBX.NA.BBB-.18

  GS   USD     6,500,000       3.00%       5.93%       N/A       12/17/2057     Monthly     418,437       523,981       105,544  

CMBX.NA.BBB-.18

  GS   USD     10,000,000       3.00%       5.93%       N/A       12/17/2057     Monthly     775,950       806,125       30,175  

CMBX.NA.BBB-.18

  MSCI   USD     6,500,000       3.00%       5.93%       N/A       12/17/2057     Monthly     455,000       523,981       68,981  

CMBX.NA.A.15

  CGMI   USD     2,222,000       2.00%       2.95%       N/A       11/18/2064     Monthly     266,640       90,057       (176,583

CMBX.NA.A.15

  MSCI   USD     2,222,500       2.00%       2.95%       N/A       11/18/2064     Monthly     134,224       90,077       (44,147


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — continued

OTC Credit Default Swaps — continued

 

Reference Entity

 

Counter-
party

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by

the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Sell Protection^:

 

CDX.NA.HY.43

  GS   USD     3,750,000       5.00%       0.75%       3,750,000 USD       12/20/2029       Quarterly       353,771       532,451       178,680  

CDX.NA.HY.43

  GS   USD     3,750,000       5.00%       1.89%       3,750,000 USD       12/20/2029       Quarterly       (198,229     384,953       583,182  

ITRAXX.EUR.42

  BOA   EUR     100,000,000       1.00%       0.17%       100,000,000 EUR       12/20/2029       Quarterly       3,480,791       3,313,463       (167,328

CDX.NA.HY.45

  JPM   USD     37,131,235       5.00%       0.46%       37,131,235 USD       12/20/2030       Quarterly       6,982,530       6,843,213       (139,317

ITRAXX.EUR.44

  BOA   EUR     50,000,000       1.00%       0.25%       50,000,000 EUR       12/20/2030       Quarterly       2,011,827       1,891,517       (120,310

ITRAXX.XO.44

  BNP   EUR     20,000,000       5.00%       0.54%       20,000,000 EUR       12/20/2030       Quarterly       4,655,030       4,344,935       (310,095

CMBX.NA.BBB-.17

  GS   USD     5,000,000       3.00%       5.88%       5,000,000 USD       12/15/2056       Monthly       (639,062     (712,375     (73,313

CMBX.NA.BBB-.17

  MSCI   USD     4,560,000       3.00%       5.88%       4,560,000 USD       12/15/2056       Monthly       (605,625     (649,686     (44,061

CMBX.NA.AAA.10

  GS   USD     3,796,353       0.50%       0.17%       3,796,353 USD       11/17/2059       Monthly       34,721       3,791       (30,930

CMBX.NA.AAA.15

  CGMI   USD     4,438,227       0.50%       0.46%       4,438,227 USD       11/18/2064       Monthly       (165,593     8,099       173,692  

CMBX.NA.AAA.15

  GS   USD     1,727,364       0.50%       0.46%       1,727,364 USD       11/18/2064       Monthly       (26,581     3,010       29,591  

CMBX.NA.AAA.15

  MSCI   USD     4,438,227       0.50%       0.46%       4,438,227 USD       11/18/2064       Monthly       (64,111     8,099       72,210  
                 

 

 

   

 

 

   

 

 

 
                  $ 19,650,861     $ 19,648,192     $ (2,669
                 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1)

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

Centrally Cleared Interest Rate Swaps

 

Fund Pays

  Fund Receives  

Notional
Amount

    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

4.57%

  3 Month AUD BBSW   AUD     247,600,000       06/17/2028     Quarterly     336,027       (191,108     (527,135

CAD-CORRA-OIS-COMPOUND

  3.07%   CAD     74,000,000       06/17/2028     Annually     183,225       409,475       226,250  

CHF-SARON-OIS-COMPOUND

  0.21%   CHF     115,500,000       06/17/2028     Annually     50,185       227,005       176,820  

2.34%

  EUR-EuroSTR-COMPOUND   EUR     56,900,000       06/17/2028     Annually     339,616       121,027       (218,589

3.97%

  GBP-SONIA-COMPOUND   GBP     54,777,000       06/17/2028     Annually     33,951       166,661       132,710  

NZD Bank Bill Rate

  3.60%   NZD     53,400,000       06/17/2028     Quarterly     (4,865     39,875       44,740  

SEK STIBOR

  2.77%   SEK     407,200,000       06/17/2028     Quarterly     25,346       323,071       297,725  

3.32%

  USD-SOFR-OIS COMPOUND   USD     38,400,000       06/17/2028     Annually     276,403       405,307       128,904  

BRL-CDI

  13.00%   BRL     35,811,804       01/02/2031     At Maturity     (39,112     (276,458     (237,346

MXN-TIIE ON-OIS  COMPOUND

  8.26%   MXN     227,000,000       06/11/2031     Monthly     105,939       226,349       120,410  

5.10%

  CL-CLICP-BLOOMBERG   CLP     3,200,000,000       06/17/2031     Semi-Annually     (13,692     (25,601     (11,909

1.62%

  CNY-CNREPOFIX=CFXS-Reuters   CNY     69,000,000       06/17/2031     Quarterly     7,153       (53,217     (60,370

COP-IBR-OIS-COMPOUND

  11.50%   COP     25,100,000,000       06/17/2031     Quarterly     (45,002     (43,232     1,770  

CZK-PRIBOR-PRBO

  4.44%   CZK     234,500,000       06/17/2031     Semi-Annually     54,131       94,668       40,537  

7.09%

  HUF-BUBOR-REUTERS   HUF     3,321,800,000       06/17/2031     Semi-Annually     (450,107     (971,178     (521,071

3.74%

  ILS-SHIR-OIS COMPOUND   ILS     30,100,000       06/17/2031     Annually     (9,417     (216,503     (207,086

6.52%

  INR-FBIL-MIBOR-OIS-COMPOUND   INR     249,600,000       06/17/2031     Semi-Annually     18,032       10,821       (7,211

KRW-CD-KSDA-BLOOMBERG

  3.62%   KRW     15,900,000,000       06/17/2031     Quarterly     (8,548     (142,555     (134,007

MYR-KLIBOR-BNM

  3.57%   MYR     9,500,000       06/17/2031     Quarterly     1,450       (1,492     (2,942


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

  Fund Receives  

Notional
Amount

    Expiration
Date
    Periodic
Payment
Frequency
  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

4.61%

  PLN-WIBOR-WIBO   PLN     4,100,000       06/17/2031     Semi-Annually     (4,939     (9,708     (4,769

1.92%

  SGD-SORA-COMPOUND   SGD     11,400,000       06/17/2031     Semi-Annually     (10,908     (16,130     (5,222

1.63%

  THB-THOR   THB     170,900,000       06/17/2031     Quarterly     8,914       41,937       33,023  

TWD-REUTERS-6165

  4.52%   TWD     195,100,000       06/17/2031     Quarterly     639,103       630,256       (8,847

ZAR-JIBAR-SAFEX

  7.67%   ZAR     7,900,000       06/17/2031     Quarterly     (1,206     4,114       5,320  

6 Month AUD BBSW

  5.04%   AUD     59,300,000       06/17/2036     Semi-Annually     (153,783     341,000       494,783  

6 Month AUD BBSW

  5.09%   AUD     8,800,000       06/17/2036     Semi-Annually     28,728       75,784       47,056  

3.35%

  CAD-CORRA-OIS-COMPOUND   CAD     17,100,000       06/17/2036     Annually     (11,060     (166,166     (155,106

3.15%

  CAD-CORRA-OIS-COMPOUND   CAD     15,000,000       06/17/2036     Annually     75,488       39,079       (36,409

0.65%

  CHF-SARON-OIS-COMPOUND   CHF     14,900,000       06/17/2036     Annually     (49,523     (25,772     23,751  

0.64%

  CHF-SARON-OIS-COMPOUND   CHF     24,100,000       06/17/2036     Annually     (39,506     (23,358     16,148  

EUR-EuroSTR-COMPOUND

  2.74%   EUR     12,800,000       06/17/2036     Annually     (205,084     (23,353     181,731  

2.70%

  EUR-EuroSTR-COMPOUND   EUR     12,500,000       06/17/2036     Annually     233,481       77,982       (155,499

GBP-SONIA-COMPOUND

  4.34%   GBP     13,045,000       06/17/2036     Annually     (3,755     (86,767     (83,012

GBP-SONIA-COMPOUND

  4.35%   GBP     14,600,000       06/17/2036     Annually     (71,191     (82,956     (11,765

4.45%

  3 Month NZD Bank Bill Rate   NZD     12,700,000       06/17/2036     Quarterly     (16,365     (151,300     (134,935

NZD Bank Bill Rate

  4.45%   NZD     20,800,000       06/17/2036     Quarterly     (14,642     244,710       259,352  

3.09%

  3 Month SEK STIBOR   SEK     90,700,000       06/17/2036     Quarterly     11,130       (167,528     (178,658

3.00%

  3 Month SEK STIBOR   SEK     56,800,000       06/17/2036     Quarterly     4,599       (57,514     (62,113

USD-SOFR-OIS COMPOUND

  3.70%   USD     9,200,000       06/17/2036     Annually     (163,425     (259,438     (96,013

3.70%

  USD-SOFR-OIS COMPOUND   USD     13,200,000       06/17/2036     Annually     30,017       377,657       347,640  
           

 

 

   

 

 

   

 

 

 
  $ 1,146,788     $ 865,444     $ (281,344
 

 

 

   

 

 

   

 

 

 

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

 

Notional
Amount

    Expiration
Date
   

Periodic
Payment
Frequency

  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

0.15%

  SG US Strong Balance Sheet Hedged Index   SOCG   USD     33,926,094       09/17/2026     Quarterly           (4,024,117     (4,024,117

0.20% (i)

  BNP Paribas Cross Asset Trend Allocator Index   BNP   USD     20,269,382       01/07/2027     Quarterly           1,071,025       1,071,025  

0.20% (i)

  SGI CTA MF (Excess Return)   SOCG   USD     19,561,077       01/07/2027     Quarterly           221,090       221,090  

1 Day Overnight Federal Funds Effective Rate plus 0.33%

  MSCI Daily Total Return Net Value EAFE Index   UBSA   USD     14,366,108       02/01/2027     Monthly           251,170       251,170  

MSCI Daily Trust Net Growth EAFE Index

  1 Day Overnight Federal Funds Effective Rate plus 0.34%   UBSA   USD     14,073,219       02/01/2027     Monthly           (533,910     (533,910

0.20% (i)

  BNP Paribas Cross Asset Trend Allocator Index   BNP   USD     20,998,969       04/02/2027     Quarterly     116       908,062       907,946  

0.20% (i)

  SGI CTA Index (Excess Return)   SOCG   USD     20,999,517       04/02/2027     Quarterly     117       373,824       373,707  

Total Return on Equity Basket (k)

  1 Month Federal Funds Rate minus 0.40%   GS   USD     6,903,241       06/26/2028     Monthly           163,626       163,626  

Total Return on Equity Basket (k)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     5,322,134       06/18/2027     Monthly           2,025       2,025  

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   GS   USD     18,994,500       06/24/2028     Monthly           288,015       288,015  

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     17,380,769       06/18/2027     Monthly           163,368       163,368  

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     12,306,039       06/18/2027     Monthly           (478,919     (478,919
             

 

 

   

 

 

   

 

 

 
  $ 233     $ (1,594,741   $ (1,594,974
 

 

 

   

 

 

   

 

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(b)

All or a portion of this investment is held in connection with one or more holdings within the Fund.

 

(c)

All or a portion of this security is out on loan.

 

(d)

Securities are traded on separate exchanges for the same entity.

 

(e)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(f)

Investment valued using significant unobservable inputs.

 

(g)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(h)

Private placement security; restricted as to resale.

 

(i)

All or a portion of this security or derivative is owned by GMO Alternative Allocation SPC Ltd., which is a 100% owned subsidiary of GMO Alternative Allocation Fund.

 

(j)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 

(k)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

 

(l)

Periodic payments made/received are based on the total return of the referenced entity. The following table represents the individual long and/or short positions with in the custom equity basket swap as of May 31, 2026.

 

Shares      Description    % of
Equity
Basket
     Value ($)  
   Custom equity basket swap with
GS as the counterparty:
     
  (1,480)      Aeroports de Paris SA      1.1      (198,304
  (39,151)      Allefro.eu.SA      2.0      (374,855
  (7,133)      Antofagasta PLC      2.1      (392,939
  (1,000)      Asia Vital Components Co., Ltd.      0.5      (84,326
  (9,800)      AXIA Energia SA      0.5      (101,855
  (2,231)      Budimex SA      2.3      (429,673
  (8,645)      Capitec Bank Holdings Ltd.      12.8      (2,383,120
  (13,759)      CD Projekt SA      4.7      (881,388
  (40,686)      Cellnex Telecom SA      7.3      (1,361,462
  (39,132)      Clicks Group Ltd.      3.0      (566,019
  (80,900)      Delta Electronics (Thailand) Public Co. Ltd. NVDR      4.7      (872,447
  (4,000)      Delta Electronics, Inc.      1.6      (306,905
  (488)      Doosan Co. Ltd.      3.4      (640,325
  (3,529)      Ecopro Co. Ltd.      1.7      (326,128
  (186)      eMemory Technology, Inc.      0.1      (20,079
  (40,300)      Eneva SA      1.1      (204,753
  (88)      Entain PLC      0.0      (630
  (827)      Euronext NV      0.7      (134,395
  (11,444)      Fresnillo PLC      2.7          (502,842
  (12,641)      Getlink SE      1.5      (276,211
  (5,000)      Global Unichip Corp.      3.9      (737,735
  (3,085)      Grupo Aeroportuario del Pacífico      0.4      (72,483
  (90)      HD Hyundai Electric Co. Ltd.      0.3      (63,030
  (515)      Hermes International SCA      5.1      (962,395
  (3,522)      HLB, Inc.      0.6      (118,612
Shares      Description    % of
Equity
Basket
     Value ($)  
  (12,000)      Hong Kong Exchange and Clearing Ltd.      3.3      (612,720
  (2,302)      HYBE Co. Ltd.      1.8      (335,088
  (10,354)      Hyundai Rotem Co.      7.4      (1,378,190
  (14,000)      Kingdee International Software Group Co. Ltd.      0.1      (13,072
  (87)      LIG Defense & Aerospace Co., Ltd.      0.2      (46,222
  (1,796)      London Stock Exchange Group PLC      1.2      (217,315
  (119)      LPP SA      4.0      (739,136
  (832)      Phoenix Group Holdings PLC      0.0      (8,656
  (13,733)      Public Power Corp.      1.8      (345,311
  (1,596)      Samsung Biologics Co. Ltd.      7.7      (1,444,165
  (9,704)      Samsung Heavy Industries Co. Ltd.      1.0      (180,163
  107,247      Turk Hava Yollari AO      (3.7 %)       688,351  
  (55,000)      Unimicron Technology Corp.      9.8      (1,825,057
  (4,258)      Yuhan Corp.      1.3      (240,096
        

 

 

 
   TOTAL COMMON STOCKS       $ (18,709,751
        

 

 

 
   Custom equity basket swap with MORD as the counterparty (Notional Amount of USD 17,380,769):      
  (42,163)      Aselsan Elektronik Sanayi ve Ticaret AS      2.0      (347,574
  940,300      Astra International Tbk PT      (1.5 %)       263,392  
  (1,618)      Celltrion, Inc.      1.2      (206,923
  (29,447)      Doosan Enerbility Co. Ltd.      12.0      (2,065,369
  (1,511)      Ecopro Co. Ltd.      0.8      (139,637
  (2,000)      eMemory Technology, Inc.      1.3      (215,902
  (51,027)      Entain PLC      2.1      (365,136
  (2,677)      Fresnillo PLC      0.7      (117,626
  (396,441)      Haci Ömer Sabanci Holding AS      4.5      (781,488
  (8,530)      HLB, Inc.      1.7      (287,268
  (40,500)      Hong Kong Exchange and Clearing Ltd.      12.0      (2,067,929
  (4,903)      HYBE Co. Ltd.      4.2      (713,700
  (705)      Hyundai Rotem Co.      0.5      (93,840
  137,900      Indofood Sukses Makmur Tbk      (0.3 %)       53,451  
  (53,653)      Informa PLC      3.4      (582,912
  (163,500)      Innovent Biologics, Inc.      10.1      (1,736,099
  (4,053)      InterContinental Hotels Group PLC      3.6      (621,532
  (862,000)      Kingdee International Software Group Co. Ltd.      4.7      (804,876
  (19,271)      Korea Aerospace Industries Ltd.      12.5      (2,154,851
  (1,300)      London Stock Exchange Group PLC      0.9      (157,299
  (159,438)      Salik Co. PJSC      1.4      (233,203
  (1,207)      Samsung Biologics Co. Ltd.      6.3      (1,092,173
  (136)      Samsung Electro-Mechanics      1.1      (192,248
  (106,439)      Samsung Heavy Industries Co. Ltd.      11.5      (1,976,132
  (2,336)      Severn Trent PLC      0.5      (93,145
  85,890      Turk Hava Yollari AO      (3.2 %)       551,274  
  (112,700)      Xpeng, Inc., Class A      5.3      (916,696
  (25,500)      Zhejiang Leapmotor Technology Co., Ltd.      0.7      (128,072
        

 

 

 
   TOTAL COMMON STOCKS       $ (17,223,513
        

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Shares      Description    % of
Equity
Basket
     Value ($)  
   Custom equity basket swap with MORD as the counterparty (Notional Amount of USD 12,306,039):      
  (4,726)      Aeroports de Paris SA      5.0      (633,232
  (18,903)      Associated British Foods PLC      3.6      (462,581
  (5,525)      Azrieli Group Ltd.      7.2      (912,899
  (66,297)      Barratt Redrow PLC      1.8      (233,577
  (39,267)      Bollore SE      2.0      (248,799
  (19,165)      Cellnex Telecom SA      5.1      (641,312
  (1,141)      Danone      0.6      (81,125
  (3,021)      Dassault Aviation SA      8.5      (1,073,285
  (6,065)      EssilorLuxottica SA      9.7      (1,225,855
  (5,106)      Ferrovial SE      2.8      (349,244
  (6,740)      Grifols SA      0.5      (72,963
  (210)      Hermes International SCA      3.1      (392,433
  (11,246)      Informa PLC      1.0      (122,182
  (1,655)      InterContinental Hotels Group PLC      2.0      (253,796
  12,578      Israel Discount Bank Ltd.      (1.1 %)       139,255  
  (52,763)      Land Securities Group PLC      3.5      (445,456
  (1,076)      London Stock Exchange Group PLC      1.0      (130,195
  (50,646)      Marks + Spencer Group PLC      1.9      (241,861
  2,460      NICE Ltd.      (1.8 %)       222,123  
  (2,873)      Pernod Ricard SA      1.7      (211,647
  (43,640)      Phoenix Group Holdings PLC      3.6      (454,042
  (10,014)      Reckitt Benckiser Group PLC      4.9      (616,274
  (21,744)      Renault SA      5.9      (743,700
  (28,341)      Rentokil Initial PLC      1.3      (170,297
  (53,970)      Rolls-Royce Holdings PLC      7.7      (971,018
  (6,849)      Severn Trent PLC      2.2      (273,096
  (297,722)      Telefonica SA      10.7      (1,362,046
  (8,639)      United Utilities Group PLC      1.2      (156,140
  (3,345)      Whitbread PLC      0.8      (105,038
  (36,642)      Wise Group PLC      3.6      (459,036
        

 

 

 
   TOTAL COMMON STOCKS       $ (12,681,751
        

 

 

 

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

ADR - American Depositary Receipt

AUD BBSW - Bank Bill Swap Reference Rate denominated in Australian Dollar.

BNM - Bank Negara Malaysia

CD - Certificate of Deposit

CDI - Certificado de Deposito Interbancario

CVR - Contingent Value Right

ETF - Exchange-Traded Fund

EuroSTR - Euro Short-Term Rate

FBIL - Financial Benchmarks India PVT. LTD.

IBR - Indicador Bancario de Referencia

JSC - Joint-Stock Company

KLIBOR - Kuala Lumpur Interbank Offered Rate

KSDA - Korean Securities Dealers Association

MIBOR - Mumbai Interbank Offer Rate

NVDR - Non-Voting Depositary Receipt

NZD Bank Bill Rate - Bank Bill Rate denominated in New Zealand Dollar.

OIS - Overnight Indexed Swaps

OMO - Open Market Operations

PJSC - Private Joint-Stock Company

PRIBOR - Prague Interbank Offered Rate

RBOB - Reformulated Blendstock for Oxygenate Blending

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

REIT - Real Estate Investment Trust

SAFEX - South African Futures Exchange

SARON - Swiss Average Rate Overnight

SDR - Swedish Depository Receipt

SEK STIBOR - Stockholm Interbank Offered Rate denominated in Swedish Krona.

SHIR - Shekel Overnight Interest Rate

SOFR - Secured Overnight Financing Rate

SONIA - Sterling Overnight Interbank Average Rate

SORA - Singapore Overnight Rate Average

TBA - To Be Announced - Delayed Delivery Security

THOR - Thai Overnight Repurchase Rate

TIIE - The Interbank Equilibrium Interest Rate denominated in Mexican Peso

WIBOR - Warsaw Interbank Offered Rate

ZAR JIBAR - Johannesburg Interbank Average Rate denominated in South African Rand.

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

BNP - BNP Paribas

BOA - Bank of America, N.A.

CGMI - Citigroup Global Markets Inc.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital

Services LLC

MSCI - Morgan Stanley & Co. International PLC

SOCG - Société Générale

SSB - State Street Bank and Trust Company

UBSA - UBS AG

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazilian Real

CAD - Canadian Dollar

CHF - Swiss Franc

CLP - Chilean Peso

CNY - China Yuan Renminbi

COP - Colombian Peso

CZK - Czech Republic Koruna

DOP - Dominican Republic Peso

EGP - Egyptian Pound

EUR - Euro

GBP - British Pound

HUF - Hungarian Forint

IDR - Indonesian Rupiah

ILS - Israeli Shekel

INR - Indian Rupee

JPY - Japanese Yen

KRW - South Korean Won

KZT - Kazakhstani Tenge

MXN - Mexican Peso

MYR - Malaysian Ringgit

NGN - Nigerian Naira

NOK - Norwegian Krone

NZD - New Zealand Dollar

PEN - Peruvian Sol

PHP - Philippines Peso

PLN - Polish Zloty

PYG - Paraguayan Guarani

RON - Romanian New Leu

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TRY - Turkish Lira

TWD - Taiwan New Dollar

UGX - Ugandan Shilling

USD - United States Dollar

UYU - Uruguay Peso

ZAR - South African Rand

 
 


GMO Benchmark-Free Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
    INVESTMENT FUNDS — 100.0%

 

          United States — 100.0%  
    17,221,150     GMO Alternative Allocation Fund,  
    Class VI (a)     318,763,478  
    894,423     GMO Climate Change Fund, Class III (a)     28,755,713  
    1,464,482     GMO High Yield Fund, Class VI (a)     25,687,014  
    125,161,151     GMO Implementation Fund (a)     2,175,300,808  
    2,022,857     GMO Opportunistic Income Fund, Class VI (a)     49,054,290  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $2,097,971,267)
    2,597,561,303  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    3,327,753     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     3,327,753  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,327,753)
    3,327,753  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $2,101,299,020)
    2,600,889,056  
    Other Assets and Liabilities (net) — (0.1%)     (1,980,414
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,598,908,642  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
    COMMON STOCKS — 58.7%

 

          Australia — 1.3%  
    47,594     Accent Group Ltd. (a)     19,857  
    3,176     Aristocrat Leisure Ltd. (b)     114,115  

  

    182,608     Aurizon Holdings Ltd.     549,548  
    175,867     BHP Group Ltd. (a) (b)     7,829,310  
    30,252     BlueScope Steel Ltd. (a)     690,394  
    4,066     Credit Corp. Group Ltd.     32,923  
    4,600     CSL Ltd. (a)     319,475  
    292,819     Fortescue Ltd. (a)     4,702,925  
    95,164     Grange Resources Ltd. *     10,958  
    70,335     Harvey Norman Holdings Ltd. (a) (b)     232,826  
    88,743     Helia Group Ltd. (a)     307,809  
    2,164     Monadelphous Group Ltd. (a)     48,130  
    19,250     NRW Holdings Ltd.     105,360  
    66,852     Perenti Ltd.     101,458  
    51,623     Perseus Mining Ltd.     193,752  
    26,383     QBE Insurance Group Ltd.     428,738  
    82,659     Ramelius Resources Ltd.     192,931  
    3,379     Rio Tinto Ltd.     451,923  
    32,277     Santos Ltd. (a)     181,129  
    10,215     Suncorp Group Ltd. (a)     127,390  
    3,297     Super Retail Group Ltd. (a)     27,744  
    15,216     Woodside Energy Group Ltd.     332,857  
     

 

 

 
    Total Australia         17,001,552  
     

 

 

 
          Austria — 0.3%  
    2,930     EVN AG     96,394  
    11,268     OMV AG (a)     810,847  
    28,024     Raiffeisen Bank International AG     1,608,660  
    8,843     UNIQA Insurance Group AG     176,719  
    4,853     Vienna Insurance Group AG Wiener Versicherung Gruppe     357,916  
    7,263     voestalpine AG (a)     409,881  
     

 

 

 
    Total Austria     3,460,417  
     

 

 

 
          Belgium — 0.3%  
    37,489     Ageas SA     2,904,713  
    6,644     Barco NV     71,159  
    4,449     Bekaert SA     214,285  
    422     Melexis NV     39,874  
    72,425     Proximus SADP     563,941  
    16,875     Umicore SA     495,918  
     

 

 

 
    Total Belgium     4,289,890  
     

 

 

 
          Brazil — 0.2%  
    217,100     Banco Bradesco SA     667,067  
    3,100     Guararapes Confeccoes SA     5,555  
    26,300     Pagseguro Digital Ltd. – Class A     245,905  
    116,800     Vale SA Sponsored ADR     1,898,000  
    47,126     Vibra Energia SA     277,923  
     

 

 

 
    Total Brazil     3,094,450  
     

 

 

 
Shares     Description  

Value ($)

 
          Canada — 3.2%  

  

    10,500     Alimentation Couche-Tard, Inc. (b)     593,222  
    8,400     Bank of Montreal (b)     1,364,387  
    36,000     Bank of Nova Scotia (b) (c)     2,888,565  
    18,342     Bank of Nova Scotia (c)     1,468,277  
    2,700     Barrick Mining Corp. (c)     115,352  
    991     Barrick Mining Corp. (a) (c)     42,167  
    3,400     Canadian Imperial Bank of Commerce (a) (b)     371,136  
    13,265     Canadian Tire Corp. Ltd. – Class A (a) (b)     1,702,084  
    2,185     Cenovus Energy, Inc.     60,240  
    34,106     Centerra Gold, Inc. (c)     602,653  
    12,000     Centerra Gold, Inc. (c)     211,859  
    20,600     CGI, Inc. (a) (b)     1,438,631  
    7,600     Cogeco Communications, Inc. (a)     370,560  
    2,356     Cogeco, Inc.     113,284  
    44,200     DPM Metals, Inc. (a)     1,484,394  
    2,900     DREAM Unlimited Corp. – Class A (a)     38,641  
    7,400     Empire Co. Ltd. – Class A (b)     262,421  
    500     Fairfax Financial Holdings Ltd. (b)     778,189  
    3,800     Finning International, Inc. (a)     287,016  
    5,200     iA Financial Corp., Inc.     648,298  
    33,367     IGM Financial, Inc. (a)     1,901,361  
    5,783     Interfor Corp. * (a)     45,974  
    2,207     International Petroleum Corp. *     56,060  
    5,000     Linamar Corp.     369,927  
    54,257     Magna International, Inc. (a) (c)     3,513,683  
    14,100     Magna International, Inc. (c)     913,818  
    40,400     Manulife Financial Corp. (a) (b) (c)     1,545,202  
    36,613     Manulife Financial Corp. (b) (c)     1,398,250  
    2,500     Mullen Group Ltd. (a)     39,531  
    7,775     Nutrien Ltd. (c)     532,976  
    3,300     Nutrien Ltd. (c)     225,984  
    42,600     Open Text Corp. (a) (b) (c)     1,012,895  
    42,210     Open Text Corp. (c)     1,006,286  
    49,900     Parex Resources, Inc. (a)     870,486  
    47,824     Power Corp. of Canada (a) (b)     2,890,635  
    2,600     Precision Drilling Corp. * (a)     232,306  
    1,600     Quebecor, Inc. – Class B (a)     77,641  
    1,700     Rogers Communications, Inc. – Class B     65,600  
    3,100     Russel Metals, Inc.     140,401  
    2,145     Spin Master Corp.     29,064  
    30,700     Sun Life Financial, Inc. (a) (b) (c)     2,206,329  
    4,900     Sun Life Financial, Inc. (a) (c)     351,820  
    235     Teekay Tankers Ltd. – Class A (a)     16,532  
    4,116     Torex Gold Resources, Inc.     188,745  
    56,300     Toronto-Dominion Bank (c)     6,442,045  
    5,044     Toronto-Dominion Bank (b) (c)     572,898  
    1,119     Wajax Corp.     24,106  
     

 

 

 
    Total Canada         41,511,931  
     

 

 

 
          China — 1.5%  
    649,000     361 Degrees International Ltd.     391,598  
    7,000     3SBio, Inc.     16,538  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          China — continued  

  

    831,000     AviChina Industry & Technology Co. Ltd. – Class H     332,364  
    52,091     Bank of Communications Co. Ltd. – Class H     48,559  
    44,500     Beijing Enterprises Holdings Ltd.     175,111  
    746,000     Bosideng International Holdings Ltd.     404,826  
    1,710,000     China Communications Services Corp. Ltd. – Class H     901,171  
    179,500     China Conch Venture Holdings Ltd.     242,970  
    50,000     China Feihe Ltd.     19,538  
    106,000     China Foods Ltd.     47,916  
    1,058,000     China Greenfresh Group Co. Ltd. * (d)      
    107,000     China Hongqiao Group Ltd.     383,663  
    806,000     China Lesso Group Holdings Ltd.     475,122  
    20,000     China Medical System Holdings Ltd. (a)     26,969  
    166,000     China National Building Material Co. Ltd. – Class H     112,365  
    285,000     China Nonferrous Mining Corp. Ltd.     494,642  
    470,000     China Overseas Land & Investment Ltd.     934,867  
    962,000     China Railway Group Ltd. – Class H     430,346  
    786,000     China Reinsurance Group Corp. – Class H     119,379  
    124,500     China Resources Pharmaceutical Group Ltd.     74,180  
    22,000     China Shineway Pharmaceutical Group Ltd.     23,520  
    677,000     China Taiping Insurance Holdings Co. Ltd.     1,718,849  
    510,000     CITIC Ltd.     855,391  
    798,000     Consun Pharmaceutical Group Ltd.     1,446,816  
    1,314,000     CSPC Pharmaceutical Group Ltd.     1,258,017  
    148,200     ENN Energy Holdings Ltd.     1,039,073  
    102,000     Fufeng Group Ltd. (a)     77,721  
    2,500     Hengan International Group Co. Ltd. (a)     7,770  
    1,490     JD.com, Inc. ADR (a)     42,957  
    43,500     Kingboard Holdings Ltd.     365,582  
    714,000     Kunlun Energy Co. Ltd.     652,514  
    90,000     Lenovo Group Ltd.     275,810  
    106,000     Longfor Group Holdings Ltd. (a)     106,022  
    359,000     Lonking Holdings Ltd. *     133,799  
    155,200     Minth Group Ltd.     749,768  
    122,500     Orient Overseas International Ltd. (a)     2,128,740  
    116,000     PICC Property & Casualty Co. Ltd. – Class H     215,294  
    29,407     Qfin Holdings, Inc. ADR     472,865  
    21,000     Sany Heavy Equipment International Holdings Co. Ltd.     20,643  
    292,000     Sino Biopharmaceutical Ltd.     186,090  
    567,000     Sinopec Engineering Group Co. Ltd. – Class H     399,606  
    99,600     Sinopharm Group Co. Ltd. – Class H     214,858  
    32,000     Sinotruk Hong Kong Ltd.     152,138  
    130,000     Skyworth Group Ltd. *     93,884  
    81,000     Vipshop Holdings Ltd. ADR (b)     1,151,820  
    600     ZTO Express Cayman, Inc.     13,213  
     

 

 

 
    Total China         19,434,884  
     

 

 

 
Shares     Description  

Value ($)

 
          Colombia — 0.0%  

  

    3,121     Corp. Financiera Colombiana SA *     12,817  
     

 

 

 
          Denmark — 0.4%      
    240     AP Moller – Maersk AS – Class A (b)     584,364  
    829     AP Moller – Maersk AS – Class B (b)     2,058,378  
    4,411     Genmab AS *     1,156,227  
    8,541     H Lundbeck AS     57,689  
    3,672     Pandora AS (b)     343,657  
    13,121     Rockwool AS – B Shares     410,820  
    6,891     Scandinavian Tobacco Group AS     75,899  
     

 

 

 
    Total Denmark     4,687,034  
     

 

 

 
          Egypt — 0.0%  
    33,728     Orascom Construction PLC     480,985  
     

 

 

 
          Finland — 0.3%  
    210,393     Nokia OYJ (b)     3,090,206  
    11,010     Valmet OYJ     298,337  
     

 

 

 
    Total Finland     3,388,543  
     

 

 

 
          France — 1.8%  
    641     Amundi SA (a)     62,494  
    7,778     Aperam SA     462,564  
    8,401     ArcelorMittal SA     578,345  
    6,261     AXA SA (b)     288,716  
    40,931     BNP Paribas SA     4,412,063  
    8,959     Capgemini SE * (b)     1,064,372  
    14,326     Carrefour SA (b)     267,657  
    242     Cie de Saint-Gobain SA (b)     21,930  
    5,524     Coface SA     96,081  
    13,087     Derichebourg SA (b)     154,199  
    4,765     Eiffage SA     689,626  
    22,387     Etablissements Maurel et Prom SA     235,707  
    8,295     Ipsen SA     1,515,241  
    1,802     IPSOS SA     81,112  
    2,602     Metropole Television SA     35,018  
    790     Publicis Groupe SA     76,858  
    6,239     Quadient SA     88,789  
    16,907     Rubis SCA     698,340  
    48,903     Sanofi SA     4,286,793  
    703     Societe BIC SA * (b)     47,700  
    1,971     Societe Generale SA     163,832  
    21,156     STMicroelectronics NV (c)     1,466,322  
    15,188     STMicroelectronics NV (a) (c)     1,041,853  
    2,778     Teleperformance SE (b)     203,865  
    4,042     Television Francaise 1 SA     32,214  
    49,667     TotalEnergies SE (b)     4,357,922  
    51,262     Valeo SE     789,435  
     

 

 

 
    Total France         23,219,048  
     

 

 

 
          Germany — 1.2%  
    1,533     Allianz SE (Registered) (b)     679,358  
    28,974     Bayer AG (Registered)     1,232,170  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          Germany — continued  

  

    10,172     Daimler Truck Holding AG     497,730  
    124,834     Deutsche Bank AG (Registered)     4,045,259  
    53,967     Deutsche Post AG (b)     3,214,131  
    42,784     Deutsche Telekom AG (Registered)     1,436,476  
    141     Draegerwerk AG & Co. KGaA     11,985  
    2,682     DWS Group GmbH & Co. KGaA     192,937  
    19,136     E.ON SE (b)     406,229  
    7,484     Fresenius Medical Care AG     324,334  
    3,369     Henkel AG & Co. KGaA (b)     244,349  
    2,247     Kloeckner & Co. SE *     29,815  
    48,443     Mercedes-Benz Group AG     2,941,363  
    2,662     Merck KGaA     405,407  
    904     RTL Group SA     33,202  
    2,121     Traton SE *     83,264  
     

 

 

 
    Total Germany         15,778,009  
     

 

 

 
          Greece — 0.0%  
    47     Eurobank SA     219  
    1,173     Motor Oil Hellas Corinth Refineries SA     50,624  
    501     National Bank of Greece SA     8,667  
     

 

 

 
    Total Greece     59,510  
     

 

 

 
          Hong Kong — 1.1%  
    98,500     BOC Hong Kong Holdings Ltd.     601,868  
    50,000     Chow Sang Sang Holdings International  
    Ltd.     69,748  
    234,000     CITIC Telecom International Holdings Ltd.     80,029  
    352,500     CK Asset Holdings Ltd. (b)     2,128,264  
    608,500     CK Hutchison Holdings Ltd.     5,475,201  
    18,000     Dah Sing Financial Holdings Ltd.     97,551  
    66,000     E-Commodities Holdings Ltd.     5,305  
    110,000     First Pacific Co. Ltd.     71,782  
    104,000     Giordano International Ltd.     20,047  
    24,000     Henderson Land Development Co. Ltd. (a) (b)     94,754  
    178,000     IGG, Inc.     75,339  
    13,000     Johnson Electric Holdings Ltd.     42,350  
    9,000     KLN Logistics Group Ltd.     7,047  
    47,800     Luk Fook Holdings International Ltd.     127,489  
    201,000     PAX Global Technology Ltd.     89,170  
    58,000     Shun Tak Holdings Ltd. *     4,297  
    136,000     SITC International Holdings Co. Ltd.     601,764  
    32,500     SmarTone Telecommunications Holdings  
    Ltd.     19,704  
    83,500     Sun Hung Kai Properties Ltd. (b)     1,402,360  
    17,000     Techtronic Industries Co. Ltd. (b)     252,375  
    22,500     Texhong International Group Ltd.     18,119  
    34,000     VSTECS Holdings Ltd.     41,743  
    28,600     VTech Holdings Ltd.     186,943  
    2,196,500     WH Group Ltd.     2,534,840  
     

 

 

 
    Total Hong Kong     14,048,089  
     

 

 

 
Shares     Description  

Value ($)

 
          Hungary — 0.2%  
    2,412     Magyar Telekom Telecommunications PLC     20,939  

  

    34,226     MOL Hungarian Oil & Gas PLC     434,745  
    13,223     OTP Bank Nyrt     1,815,589  
    14,141     Richter Gedeon Nyrt     598,612  
     

 

 

 
    Total Hungary     2,869,885  
     

 

 

 
          India — 0.5%  
    72,123     Ashapura Minechem Ltd.     562,432  
    246,540     Bharat Petroleum Corp. Ltd.     775,602  
    5,692     Dhampur Bio Organics Ltd.     6,407  
    154,854     Hindalco Industries Ltd.     1,845,083  
    89,755     Hindustan Petroleum Corp. Ltd.     371,927  
    316,063     Indian Oil Corp. Ltd.     468,218  
    2,573     Muthoot Finance Ltd.     89,367  
    794,207     NMDC Ltd.     739,062  
    475,583     Oil & Natural Gas Corp. Ltd.     1,330,912  
    31,270     Power Finance Corp. Ltd.     141,786  
    15,077     Siyaram Silk Mills Ltd.     91,022  
    90,529     Tata Motors Ltd. *     363,789  
     

 

 

 
    Total India     6,785,607  
     

 

 

 
          Indonesia — 0.2%  
    1,760,600     Aneka Tambang Tbk. PT     286,588  
    6,529,800     Astra International Tbk. PT     1,829,091  
    213,600     Indofood Sukses Makmur Tbk. PT     82,793  
    303,600     Perusahaan Gas Negara Persero Tbk. PT     31,022  
    193,600     Perusahaan Perkebunan London Sumatra  
    Indonesia Tbk. PT     13,993  
     

 

 

 
    Total Indonesia     2,243,487  
     

 

 

 
          Ireland — 0.0%  
    40,437     AIB Group PLC     475,858  
    10,390     Bank of Ireland Group PLC     211,114  
    7,850     Origin Enterprises PLC     41,451  
     

 

 

 
    Total Ireland     728,423  
     

 

 

 
          Israel — 0.4%  
    58,297     Bank Hapoalim BM     1,494,750  
    13,091     Bank Leumi Le-Israel BM     331,216  
    12,307     Bezeq The Israeli Telecommunication Corp. Ltd.     34,904  
    523     Delek Group Ltd.     160,797  
    56,514     ICL Group Ltd.     371,385  
    64,403     Israel Discount Bank Ltd. – Class A     713,027  
    5,558     Mizrahi Tefahot Bank Ltd.     425,873  
    12,779     Nice Ltd. Sponsored ADR * (b)     1,184,102  
    252     Nice Ltd. *     22,754  
    81,196     Oil Refineries Ltd.     46,569  
    19,189     ZIM Integrated Shipping Services Ltd.     450,750  
     

 

 

 
    Total Israel          5,236,127  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          Italy — 0.8%  

  

    10,516     Banca IFIS SpA (a)     248,443  
    8,423     Banco BPM SpA     132,335  
    64,652     BPER Banca SpA (a)     875,268  
    11,322     Buzzi SpA     611,589  
    9,917     Credito Emiliano SpA     178,008  
    13,211     d’Amico International Shipping SA     108,120  
    4,144     Esprinet SpA     33,607  
    18,309     Intesa Sanpaolo SpA (b)     123,733  
    48,085     Iren SpA     150,220  
    10,284     Italgas SpA (b)     120,646  
    1,819     Leonardo SpA (b)     115,516  
    17,891     MFE-MediaForEurope NV – Class A     63,042  
    225,754     Stellantis NV * (a)     1,801,590  
    2,983,420     Telecom Italia SpA * (a)     2,534,414  
    5,365     Tenaris SA ADR     326,889  
    2,869     Tenaris SA     87,395  
    128,229     Unipol Assicurazioni SpA     3,170,243  
     

 

 

 
    Total Italy         10,681,058  
     

 

 

 
          Japan — 15.2%  
    4,400     ADEKA Corp.     118,304  
    65,300     AGC, Inc.     2,844,147  
    3,600     Ai Holdings Corp.     63,493  
    2,800     Aica Kogyo Co. Ltd.     60,607  
    5,100     Aichi Corp.     44,720  
    7,200     Air Water, Inc.     117,313  
    2,600     AOKI Holdings, Inc. (a)     26,786  
    1,600     Arata Corp.     25,978  
    152,700     Asahi Group Holdings Ltd. (b)     1,457,158  
    75,500     Asahi Kasei Corp.     846,890  
    2,700     Asahi Yukizai Corp. (a)     112,924  
    8,100     Astellas Pharma, Inc.     115,375  
    8,800     Axial Retailing, Inc.     57,605  
    3,600     Bando Chemical Industries Ltd.     50,622  
    84,300     Brother Industries Ltd.     1,983,392  
    1,800     Buffalo, Inc.     26,268  
    12,100     Bunka Shutter Co. Ltd.     142,303  
    20,300     Canon Marketing Japan, Inc. (a)     453,312  
    6,500     Canon, Inc.     172,864  
    1,400     Central Glass Co. Ltd.     36,023  
    1,300     Chiyoda Integre Co. Ltd.     25,797  
    75,400     Chubu Electric Power Co., Inc. (b)     1,384,358  
    7,700     Citizen Watch Co. Ltd.     111,953  
    3,900     Cosmo Energy Holdings Co. Ltd.     91,555  
    2,700     Create SD Holdings Co. Ltd. (a)     54,361  
    146,100     Credit Saison Co. Ltd.     3,756,212  
    12,400     Dai Nippon Printing Co. Ltd. (b)     215,609  
    1,100     Dai Nippon Toryo Co. Ltd.     8,893  
    102,000     Daicel Corp.     852,922  
    2,300     Daido Steel Co. Ltd.     30,047  
    2,400     Daiichi Jitsugyo Co. Ltd.     46,921  
    2,300     Daikin Industries Ltd.     331,121  
Shares     Description  

Value ($)

 
          Japan — continued  
    53,900     Daito Trust Construction Co. Ltd.     1,070,668  

  

    57,100     Daiwa House Industry Co. Ltd. (b)     1,552,796  
    128,610     Daiwabo Holdings Co. Ltd.     2,762,033  
    73,200     Denka Co. Ltd.     2,055,079  
    57,500     Denso Corp.     684,101  
    4,400     Dowa Holdings Co. Ltd.     284,684  
    6,000     DTS Corp.     37,610  
    4,500     Ebara Corp. (a)     160,012  
    700     Elecom Co. Ltd.     7,474  
    6,000     Electric Power Development Co. Ltd.     151,268  
    52,000     EXEO Group, Inc.     927,216  
    700     Ferrotec Corp. (a)     38,105  
    39,100     Fuji Corp.     1,941,491  
    6,200     Fuji Electric Co. Ltd.     601,701  
    17,500     Fuji Seal International, Inc.     290,288  
    163,200     FUJIFILM Holdings Corp.     3,392,837  
    2,800     Fujikura Ltd.     83,441  
    17,200     Glory Ltd.     440,477  
    149,600     H.U. Group Holdings, Inc.     2,926,475  
    4,000     Hakuhodo DY Holdings, Inc.     28,082  
    3,600     Hakuto Co. Ltd. (a)     102,720  
    18,600     Hanwa Co. Ltd.     221,097  
    5,700     Haseko Corp.     97,002  
    33,600     Hitachi Construction Machinery Co. Ltd.     1,094,405  
    204,600     Honda Motor Co. Ltd.     1,838,530  
    40,859     Honda Motor Co. Ltd. Sponsored ADR     1,102,784  
    1,700     Horiba Ltd.     279,837  
    16,100     Hosiden Corp.     274,626  
    23,000     IDOM, Inc.     195,005  
    3,900     Inaba Denki Sangyo Co. Ltd.     68,035  
    36,800     Inabata & Co. Ltd.     883,790  
    230,500     Inpex Corp.     5,183,134  
    228,400     Isuzu Motors Ltd. (a)     3,355,554  
    15,000     Itochu Enex Co. Ltd.     184,020  
    52,700     Iwatani Corp.     666,888  
    3,500     Japan Lifeline Co. Ltd.     29,158  
    4,300     Japan Petroleum Exploration Co. Ltd.     48,326  
    65,000     Japan Post Holdings Co. Ltd. (b)     842,999  
    155,600     Japan Post Insurance Co. Ltd.     1,395,507  
    64,800     Jeol Ltd. (a)     2,893,155  
    39,600     Kaga Electronics Co. Ltd.     1,100,003  
    11,100     Kajima Corp.     409,940  
    2,700     Kamei Corp.     61,084  
    25,500     Kaneka Corp.     882,977  
    310,300     Kanematsu Corp.          4,200,594  
    6,800     Kansai Electric Power Co., Inc. (b)     99,652  
    7,100     Kansai Paint Co. Ltd. (a)     109,224  
    31,500     Kirin Holdings Co. Ltd. (b)     536,098  
    5,900     Kitz Corp.     82,789  
    315,500     Kobe Steel Ltd.     3,925,155  
    13,900     Kohnan Shoji Co. Ltd.     355,320  
    67,000     Komatsu Ltd.     2,736,125  
    7,400     Komeri Co. Ltd.     160,903  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          Japan — continued  
    20,200     Kraftia Corp.     1,177,912  

  

    96,100     Kubota Corp. (a)     1,707,454  
    118,300     Kumiai Chemical Industry Co. Ltd.     568,564  
    78,400     Kyocera Corp.     1,714,219  
    57,300     Macnica Holdings, Inc.     1,118,833  
    29,400     Marubeni Corp.     961,039  
    141,900     Maruichi Steel Tube Ltd.     1,608,136  
    1,000     Maruzen Showa Unyu Co. Ltd.     48,143  
    151,000     Maxell Ltd.     1,842,250  
    46,300     Mazda Motor Corp. (a)     330,777  
    1,000     Medipal Holdings Corp.     17,246  
    13,800     Megmilk Snow Brand Co. Ltd.     302,332  
    121,000     Mitsubishi Electric Corp. (b)     4,919,019  
    2,200     Mitsubishi Research Institute, Inc.     62,606  
    91,900     Mitsui & Co. Ltd. (b)     3,054,362  
    2,400     Mitsui DM Sugar Co. Ltd.     48,920  
    3,500     Mitsui OSK Lines Ltd. (a) (b)     120,301  
    124,900     Mizuno Corp.     2,570,075  
    96,100     Morinaga & Co. Ltd.     1,500,971  
    2,700     Morita Holdings Corp.     41,705  
    3,100     Muninova Holdings, Inc.     8,412  
    30,900     Murata Manufacturing Co. Ltd.     1,946,226  
    65,400     Musashi Seimitsu Industry Co. Ltd. (a)     3,881,481  
    20,400     Nagase & Co. Ltd.     143,977  
    42,200     NEC Corp. (b)     1,093,819  
    33,100     NGK Corp.     1,310,984  
    61,900     NH Foods Ltd.     2,367,823  
    7,500     Nichias Corp.     166,090  
    2,200     Nichiha Corp.     41,063  
    2,400     Nichireki Group Co. Ltd.     30,250  
    7,900     Nippn Corp.     131,951  
    13,100     Nippon Kayaku Co. Ltd.     175,158  
    8,100     Nippon Light Metal Holdings Co. Ltd.     161,156  
    28,500     Nippon Shinyaku Co. Ltd.     750,984  
    2,700     Nippon Soda Co. Ltd.     61,710  
    90,800     Nippon Yusen KK (a) (b)     3,025,489  
    654,600     Nissan Motor Co. Ltd. *     1,629,005  
    5,900     Nisshin Oillio Group Ltd.     64,865  
    19,100     Niterra Co. Ltd.     1,217,931  
    9,800     Nitto Denko Corp.     183,650  
    122,600     Nojima Corp.     1,104,613  
    4,600     Noritake Co. Ltd.     113,452  
    200     Noritsu Koki Co. Ltd.     2,667  
    6,700     NS United Kaiun Kaisha Ltd.     328,765  
    2,351,300     NTT, Inc.     2,206,056  
    169,800     Oisix ra daichi, Inc. (a)     1,574,030  
    50,600     Okamura Corp. (b)     734,181  
    18,400     Oki Electric Industry Co. Ltd.     410,342  
    88,200     Olympus Corp.     988,169  
    90,600     Ono Pharmaceutical Co. Ltd.     1,359,470  
    2,000     Open House Group Co. Ltd.     108,451  
    79,300     Optex Group Co. Ltd.     2,118,992  
    23,000     ORIX Corp.     896,979  
Shares     Description  

Value ($)

 
          Japan — continued  

  

    29,600     Osaka Gas Co. Ltd. (b)     994,697  
    300     Otsuka Holdings Co. Ltd.     22,041  
    237,500     Panasonic Holdings Corp. (b)     5,487,193  
    206,100     Penta-Ocean Construction Co. Ltd.     2,297,777  
    357,700     Persol Holdings Co. Ltd. (b)     544,223  
    1,800     Prima Meat Packers Ltd.     27,241  
    3,900     Raito Kogyo Co. Ltd.     99,250  
    71,700     Renesas Electronics Corp.     1,995,963  
    19,100     Ricoh Co. Ltd.     174,720  
    50,300     Rohto Pharmaceutical Co. Ltd.     751,159  
    5,700     Sakai Moving Service Co. Ltd.     102,356  
    30,700     Sakata INX Corp.     452,040  
    20,700     San-Ai Obbli Co. Ltd.     275,962  
    45,200     Sankyo Co. Ltd.     457,846  
    41,400     Sankyu, Inc.     2,332,783  
    3,000     Sanwa Holdings Corp.     68,415  
    18,600     SBI Holdings, Inc.     340,285  
    3,800     SCREEN Holdings Co. Ltd. (a)     265,076  
    163,300     Sega Sammy Holdings, Inc.     2,368,030  
    48,500     Seiko Epson Corp.     892,062  
    126,000     Sekisui Chemical Co. Ltd.     1,811,963  
    79,400     Sekisui House Ltd. (b)     1,667,040  
    2,900     Sekisui Jushi Corp.     38,650  
    8,000     Shinagawa Refra Co. Ltd.     96,348  
    9,300     Shinnihon Corp.     132,010  
    150,900     Shionogi & Co. Ltd.     2,838,101  
    135,700     Ship Healthcare Holdings, Inc.     1,777,631  
    700     Sinanen Holdings Co. Ltd.     33,379  
    5,000     Sinko Industries Ltd.     38,493  
    7,700     SMS Co. Ltd. (b)     96,605  
    13,900     Socionext, Inc. (a)     229,647  
    9,100     SoftBank Group Corp.     428,083  
    34,600     Sojitz Corp.     1,171,308  
    22,200     Starts Corp., Inc.     632,333  
    151,300     Subaru Corp.     2,296,185  
    98,800     SUMCO Corp.     2,478,279  
    29,000     Sumitomo Corp.     1,278,824  
    18,900     Sumitomo Electric Industries Ltd.     1,457,770  
    183,000     Sumitomo Forestry Co. Ltd. (a)     1,499,741  
    91,900     Sumitomo Mitsui Financial Group, Inc. (a)     3,351,857  
    71,800     Sumitomo Mitsui Trust Group, Inc.     2,473,314  
    4,000     Sun Frontier Fudousan Co. Ltd.     59,583  
    2,300     Sundrug Co. Ltd.     52,355  
    36,300     Suntory Beverage & Food Ltd.     980,532  
    17,200     Suzuki Motor Corp.     213,006  
    46,500     Sysmex Corp.     406,609  
    88,000     T&D Holdings, Inc.     2,314,717  
    19,700     TDK Corp.     510,276  
    1,200     Tokai Rika Co. Ltd.     22,062  
    900     Tokyo Electron Ltd.     301,837  
    24,800     Tokyo Gas Co. Ltd. (b)     991,488  
    48,700     Tokyo Steel Manufacturing Co. Ltd.     536,533  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          Japan — continued  
    172,400     Tosei Corp.     1,738,955  

  

    40,200     Tosoh Corp.     693,023  
    77,200     TOTO Ltd.     3,713,038  
    83,000     Toyo Tire Corp.     1,973,746  
    40,000     Toyoda Gosei Co. Ltd.     1,211,781  
    8,700     Toyota Boshoku Corp.     124,919  
    40,400     Toyota Motor Corp.     764,275  
    70,900     Toyota Tsusho Corp.     3,089,048  
    2,100     TRE Holdings Corp. (a) (b)     21,762  
    7,200     Tsubakimoto Chain Co.     121,851  
    5,300     Tsugami Corp.     209,827  
    4,900     Tsumura & Co.     117,137  
    86,000     Umios Corp.     682,894  
    69,100     Valqua Ltd. (a)     3,553,524  
    1,700     WingArc1st, Inc.     27,061  
    36,500     YAMABIKO Corp.     894,769  
    223,100     Yamaha Corp.     1,618,344  
    55,600     Yamaha Motor Co. Ltd. (a)     457,545  
    5,300     Yamazen Corp.     57,822  
    4,600     Yellow Hat Ltd.     47,776  
    1,300     Yokogawa Electric Corp.     40,805  
    10,000     Yokohama Rubber Co. Ltd.     450,787  
    8,600     Yuasa Co. Ltd.     305,998  
     

 

 

 
    Total Japan        198,653,527  
     

 

 

 
          Kuwait — 0.1%  
    451,495     A’ayan Leasing & Investment Co. KSCP     402,712  
    32,068     Combined Group Contracting Co. SAK     98,503  
    10,173     Mobile Telecommunications Co. KSCP     19,633  
    147     National Bank of Kuwait SAKP     404  
    3,200     National Mobile Telecommunications Co. KSCC     19,602  
    386,720     Noor Financial Investment Co. KSC     510,442  
     

 

 

 
    Total Kuwait     1,051,296  
     

 

 

 
          Mexico — 0.2%  
    156,872     Cemex SAB de CV Sponsored ADR (a)     2,053,454  
    197,200     Gentera SAB de CV     487,512  
    815     Unifin Financiera SAB de CV * (d)      
     

 

 

 
    Total Mexico     2,540,966  
     

 

 

 
          Netherlands — 1.6%  
    28,975     ABN AMRO Bank NV     1,151,505  
    163,976     Aegon Ltd. (a)     1,390,859  
    23,630     Akzo Nobel NV     1,793,401  
    99     ASM International NV     103,298  
    2,348     ASML Holding NV (Registered) (a) (b)     3,786,760  
    2,456     ASR Nederland NV (a)     183,852  
    12,025     DSM-Firmenich AG     1,010,476  
    12,034     EXOR NV     937,167  
    81,927     ING Groep NV     2,537,723  
    2,012     JDE Peet’s NV (e)     74,722  
Shares     Description  

Value ($)

 
          Netherlands — continued  
    6,772     Koninklijke Ahold Delhaize NV (b)     285,353  

  

    18,651     Koninklijke BAM Groep NV     241,577  
    126,939     Koninklijke KPN NV     661,231  
    43,452     NN Group NV     3,627,211  
    7,039     Randstad NV (b)     215,807  
    32,165     SBM Offshore NV (a)     1,225,947  
    52,694     Signify NV (a)     1,276,070  
     

 

 

 
    Total Netherlands         20,502,959  
     

 

 

 
          New Zealand — 0.0%  
    42,555     Meridian Energy Ltd. (b)     149,382  
     

 

 

 
          Norway — 0.7%  
    93,792     Aker Solutions ASA     432,389  
    3,644     BW LPG Ltd.     71,720  
    20,804     DOF Group ASA     268,780  
    43,392     Elkem ASA *     151,198  
    108,138     Equinor ASA     3,909,146  
    5,416     Europris ASA     54,205  
    43,815     Hoegh Autoliners ASA     648,437  
    19,029     MPC Container Ships ASA     49,854  
    124,029     Norsk Hydro ASA     1,516,846  
    21,440     Odfjell Drilling Ltd.     203,767  
    57,360     Orkla ASA     604,514  
    1,648     Selvaag Bolig ASA     6,198  
    4,613     Stolt-Nielsen Ltd.     146,539  
    40,191     Wallenius Wilhelmsen ASA     517,165  
    13,790     Yara International ASA     748,640  
     

 

 

 
    Total Norway     9,329,398  
     

 

 

 
          Philippines — 0.0%  
    2,790     GT Capital Holdings, Inc.     21,731  
    467,900     LT Group, Inc.     119,975  
    583,080     Megaworld Corp.     19,680  
    19,200     Synergy Grid & Development Phils, Inc.     9,300  
     

 

 

 
    Total Philippines     170,686  
     

 

 

 
          Poland — 0.3%  
    86,140     ORLEN SA     3,366,791  
    93,044     PGE Polska Grupa Energetyczna SA *     271,119  
    6,587     Powszechny Zaklad Ubezpieczen SA     116,975  
     

 

 

 
    Total Poland     3,754,885  
     

 

 

 
          Portugal — 0.1%  
    35,664     EDP SA     181,624  
    27,609     Navigator Co. SA (a)     109,352  
    42,197     NOS SGPS SA     259,211  
    46,672     REN – Redes Energeticas Nacionais SGPS SA     192,694  
    195,457     Sonae SGPS SA     434,070  
     

 

 

 
    Total Portugal     1,176,951  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          Russia — 0.0%  
    160,792,062     Federal Grid Co-Rosseti PJSC * (d) (f)      

  

    2,050,858     Gazprom PJSC * (d) (f)      
        455,400     GMK Norilskiy Nickel PAO * (d) (f)      
    6,310,100     Inter RAO UES PJSC * (d) (f)      
    19,776     LSR Group PJSC * (d) (f)      
    1     LSR Group PJSC GDR * (d) (f)      
    3,294,000     Mosenergo PJSC * (d) (f)      
    7,890     Novatek PJSC * (d) (f)      
    1,212,010     Novolipetsk Steel PJSC * (d) (f)      
    3,466     PhosAgro PJSC * (d) (f)      
    67     PhosAgro PJSC GDR * (d) (f)      
    1     Polyus PJSC GDR * (d) (f)      
    91,185     Severstal PAO GDR (Registered) * (d) (f)      
    11,580     SFI PJSC * (d) (f)      
    332,388     Tatneft PJSC * (d) (f)      
    1,300,440     Unipro PAO * (d) (f)      
    50,950     United Co. RUSAL International PJSC * (d) (f)      
     

 

 

 
    Total Russia      
     

 

 

 
          Saudi Arabia — 0.3%  
    3,317     Banque Saudi Fransi     16,985  
    5,854     Etihad Etisalat Co.     99,847  
    89,423     Riyad Bank     480,774  
    14,070     SABIC Agri-Nutrients Co.     513,645  
    26,709     Saudi Awwal Bank     240,979  
    182,592     Saudi National Bank     1,942,626  
    53,085     Saudi Telecom Co.     620,780  
     

 

 

 
    Total Saudi Arabia     3,915,636  
     

 

 

 
          Singapore — 0.5%  
    58,600     Bumitama Agri Ltd.     71,053  
    46,900     ComfortDelGro Corp. Ltd. (a)     47,371  
    35,500     First Real Estate Investment Trust – (REIT) (a)     6,401  
    84,500     First Resources Ltd.     175,091  
    320,400     Golden Agri-Resources Ltd.     69,017  
    8,180     Hafnia Ltd.     63,147  
    69,700     Oversea-Chinese Banking Corp. Ltd.     1,279,303  
    7,800     Sheng Siong Group Ltd.     18,636  
    74,700     StarHub Ltd. (a)     60,275  
    11,300     United Overseas Bank Ltd.     332,921  
    21,100     UOL Group Ltd.     167,835  
    22,800     Venture Corp. Ltd.     321,564  
    38,900     Wilmar International Ltd.     109,440  
    219,000     Yangzijiang Financial Holding Ltd. *     41,150  
    1,110,099     Yangzijiang Shipbuilding Holdings Ltd.     3,167,012  
    98,000     Yanlord Land Group Ltd.     53,775  
     

 

 

 
    Total Singapore          5,983,991  
     

 

 

 
          South Africa — 0.1%  
    942,798     Old Mutual Ltd.     747,129  
     

 

 

 
Shares     Description  

Value ($)

 
          South Korea — 3.3%  
    10,584     Doosan Bobcat, Inc.     452,788  

  

    4,172     GS Holdings Corp.     200,827  
    9,486     Hana Financial Group, Inc.     725,879  
    10,859     Hankook Tire & Technology Co. Ltd.     481,276  
    25,725     HMM Co. Ltd.     333,737  
    13,499     Hyundai Glovis Co. Ltd.     2,174,682  
    13,546     Hyundai Mobis Co. Ltd.     6,898,138  
    48,336     Kia Corp.     5,422,340  
    2,301     Korea Electric Power Corp.     59,774  
    549     Krafton, Inc.     93,795  
    4,491     KT&G Corp.     548,556  
    7,599     LG Corp.     739,767  
    32,927     LG Electronics, Inc.     6,419,925  
    3,552     POSCO Holdings, Inc. Sponsored ADR (a)     251,837  
    2,349     ROKIT Healthcare, Inc. *     85,419  
    34,745     Samsung E&A Co. Ltd.     1,215,978  
    41,015     Samsung Electronics Co. Ltd.     8,604,686  
    26     Samsung Electronics Co. Ltd. GDR (Registered) (b)     137,927  
    578     Samsung SDS Co. Ltd.     115,015  
    18,923     Shinhan Financial Group Co. Ltd.     1,177,053  
    2,559     SK Hynix, Inc.     3,984,382  
    2,712     SK Square Co. Ltd.     2,248,840  
    55,604     Woori Financial Group, Inc.     1,099,667  
     

 

 

 
    Total South Korea     43,472,288  
     

 

 

 
          Spain — 1.6%  
    31,946     Acerinox SA (a)     590,059  
    16,744     Atresmedia Corp. de Medios de Comunicacion SA (a)     100,716  
    309,223     Banco Bilbao Vizcaya Argentaria SA     7,222,415  
    62,584     Banco de Sabadell SA (a)     211,601  
    366,569     Banco Santander SA     4,584,254  
    23,982     CaixaBank SA (b)     323,795  
    3,561     CIE Automotive SA     122,175  
    5,683     Indra Sistemas SA (b)     377,896  
    373,474     Mapfre SA (a)     1,746,388  
    29,927     Prosegur Cia de Seguridad SA (b)     92,115  
    5,832     Puig Brands SA – Class B (b)     109,445  
    162,363     Repsol SA     4,192,258  
    271,857     Unicaja Banco SA     908,388  
     

 

 

 
    Total Spain         20,581,505  
     

 

 

 
          Sweden — 0.7%  
    11,030     AcadeMedia AB (b)     122,519  
    25,035     Boliden AB     1,558,871  
    22,148     Essity AB – Class B (a) (b)     621,182  
    24,565     Husqvarna AB – Class B (a)     115,296  
    6,434     Industrivarden AB – A Shares     364,897  
    6,693     Industrivarden AB – C Shares (a)     365,974  
    57,273     Investor AB – B Shares (b)     2,353,430  
    17,313     Skanska AB – B Shares     468,402  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          Sweden — continued  

  

    27,349     SKF AB – B Shares (a)     717,349  
    8,383     SSAB AB – A Shares     86,336  
    20,650     SSAB AB – B Shares     212,357  
    21,671     Svenska Cellulosa AB SCA – Class B     238,383  
    112,414     Telefonaktiebolaget LM Ericsson – B Shares     1,465,901  
    6,113     Volvo AB – B Shares (b)     215,216  
     

 

 

 
    Total Sweden     8,906,113  
     

 

 

 
          Switzerland — 0.9%  
    20,629     ABB Ltd. (Registered) (b)     2,205,804  
    27,971     Adecco Group AG (Registered) (a) (b)     591,933  
    393     Bobst Group SA (Registered)     21,423  
    707     Implenia AG (Registered)     54,963  
    3,507     Logitech International SA (Registered)     426,188  
    4,632     Mobilezone Holding AG (Registered) (a)     88,501  
    22,572     Nestle SA (Registered) (b)     2,290,245  
    7,847     Novartis AG (Registered)     1,180,268  
    5,695     Novartis AG Sponsored ADR (a)     855,218  
    5,185     Roche Holding AG     2,181,589  
    634     Roche Holding AG – Class BR     272,674  
    2,051     Sandoz Group AG ADR     172,530  
    65     Sandoz Group AG     5,466  
    439     Swatch Group AG – Class BR (b)     121,531  
    432     Swisscom AG (Registered)     369,767  
    16,005     UBS Group AG (Registered) (b)     755,850  
     

 

 

 
    Total Switzerland         11,593,950  
     

 

 

 
          Taiwan — 3.4%  
    319,000     AcBel Polytech, Inc.     604,280  
    29,000     ASE Technology Holding Co. Ltd.     554,055  
    54,000     Asustek Computer, Inc.     1,302,727  
    19     Bizlink Holding, Inc.     1,234  
    23,000     ChipMOS Technologies, Inc.     81,798  
    473,000     Compal Electronics, Inc.     550,238  
    687,200     Evergreen Marine Corp. Taiwan Ltd.     4,666,970  
    305,000     Hannstar Board Corp.     823,929  
    224,318     Hon Hai Precision Industry Co. Ltd.     2,053,361  
    84,000     KGI Financial Holding Co. Ltd.     60,257  
    67,000     Lite-On Technology Corp.     494,896  
    12,000     Longwell Co.     131,699  
    93,000     Pegatron Corp.     262,375  
    1,614,000     Pou Chen Corp.     1,310,374  
    212,000     Powertech Technology, Inc.     2,531,831  
    92,000     Realtek Semiconductor Corp.     1,695,736  
    260,000     Taiwan Semiconductor Manufacturing Co. Ltd.     19,262,172  
    4,000     TCI Co. Ltd.     15,228  
    76,000     Tripod Technology Corp.     1,252,691  
    892,000     United Microelectronics Corp.     4,015,738  
    148,000     Wan Hai Lines Ltd.     387,227  
    5,000     Wistron Corp.     25,031  
    67,000     WPG Holdings Ltd.     251,922  
Shares     Description  

Value ($)

 
          Taiwan — continued  

  

    60,000     Yageo Corp.     1,395,960  
    265,000     Yang Ming Marine Transport Corp.     445,604  
    142,000     Yuanta Financial Holding Co. Ltd.     269,916  
    68,000     YungShin Global Holding Corp.     121,239  
    3,000     Zhen Ding Technology Holding Ltd.     48,963  
     

 

 

 
    Total Taiwan     44,617,451  
     

 

 

 
          Thailand — 1.0%  
    719,200     3BB Internet Infrastructure Fund – Class F     142,250  
    314,700     AP Thailand PCL NVDR     70,568  
    374,300     Digital Telecommunications Infrastructure Fund – Class F     114,470  
    29,200     GFPT PCL NVDR     7,673  
    460,500     Kasikornbank PCL NVDR     2,842,527  
    3,856,400     Krung Thai Bank PCL NVDR     4,115,333  
    168,700     Mega Lifesciences PCL NVDR     186,383  
    756,800     PTT Exploration & Production PCL NVDR     3,293,370  
    1,319,300     PTT PCL NVDR     1,469,792  
    207,200     Regional Container Lines PCL NVDR     200,518  
    181,200     SCB X PCL NVDR     748,472  
    406,900     Thai Oil PCL NVDR     577,993  
    89,300     TOA Paint Thailand PCL NVDR     33,528  
     

 

 

 
    Total Thailand         13,802,877  
     

 

 

 
          Turkey — 0.1%  
    94,418     Anadolu Efes Biracilik Ve Malt Sanayii AS     39,456  
    45,274     BIM Birlesik Magazalar AS     363,655  
    25,561     Migros Ticaret AS     362,650  
    25,275     Sekerbank Turk AS     7,158  
    110,617     Turk Hava Yollari AO     709,981  
     

 

 

 
    Total Turkey     1,482,900  
     

 

 

 
          United Arab Emirates — 0.1%  
    1,436     Emaar Development PJSC     5,691  
    104,700     Emirates NBD Bank PJSC     792,923  
    58,851     First Abu Dhabi Bank PJSC     271,189  
     

 

 

 
    Total United Arab Emirates     1,069,803  
     

 

 

 
          United Kingdom — 2.5%  
    93,651     3i Group PLC     2,844,162  
    54,388     Aberdeen Group PLC     181,265  
    19,229     Associated British Foods PLC (a) (b)     470,558  
    16,837     Barratt Redrow PLC (a)     59,320  
    1,775     Berkeley Group Holdings PLC *     81,802  
    14,194     British American Tobacco PLC Sponsored ADR (a)     877,047  
    1,694,201     BT Group PLC     4,750,989  
    8,362     DCC PLC     674,609  
    25,504     Drax Group PLC     270,989  
    23,265     Evraz PLC * (d) (f)      
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          United Kingdom — continued  
    21,033     Ferrexpo PLC * (e)     8,237  

  

    1,604     Galliford Try Holdings PLC     11,217  
    9,600     Global Ship Lease, Inc. – Class A     349,728  
    121,061     GSK PLC Sponsored ADR (a)     6,118,423  
    19,945     GSK PLC     504,342  
    35,910     HSBC Holdings PLC (b)     674,326  
    16,556     Imperial Brands PLC (b)     600,348  
    17,373     International Personal Finance PLC     58,055  
    202,384     ITV PLC     221,215  
    678,691     JD Sports Fashion PLC (b)     768,364  
    54,830     Jupiter Fund Management PLC     118,080  
    6,333     Keller Group PLC     202,561  
    277,623     Kingfisher PLC (b)     1,071,947  
    4,859     Lion Finance Group PLC     725,024  
    110,435     Man Group PLC     407,589  
    6,754     Morgan Advanced Materials PLC     20,796  
    4,300     Morgan Sindall Group PLC     263,656  
    38,215     NatWest Group PLC     307,353  
    47,422     OSB Group PLC     328,791  
    20,286     Paragon Banking Group PLC     208,425  
    5,458     Plus500 Ltd.     324,138  
    41,696     Rio Tinto PLC Sponsored ADR (a)     4,436,037  
    2,887     Rio Tinto PLC (b)     306,632  
    5,395     Shell PLC ADR (b)     453,827  
    2,147     TBC Bank Group PLC     129,895  
    2,230     Unilever PLC Sponsored ADR (b)     125,883  
    14,605     Vesuvius PLC     91,590  
    228,681     Vodafone Group PLC Sponsored ADR     3,421,068  
    129,011     Vodafone Group PLC     193,868  
    35,451     Zigup PLC     223,955  
     

 

 

 
    Total United Kingdom         32,886,111  
     

 

 

 
          United States — 12.1%  
    1,300     A.O. Smith Corp. (a)     73,736  
    1,127     Abercrombie & Fitch Co. – Class A *     87,027  
    2,837     Academy Sports & Outdoors, Inc.     149,794  
    5,085     Accenture PLC – Class A (a) (b)     951,251  
    6,068     Adobe, Inc. * (a) (b)     1,572,886  
    3,156     Aflac, Inc. (a)     354,798  
    11,372     Albertsons Cos., Inc. – Class A (a)     177,517  
    10,637     Allstate Corp. (a)     2,192,179  
    76     Alphabet, Inc. – Class A (a)     28,906  
    1,555     Amazon.com, Inc. * (a)     420,845  
    1,724     American Express Co. (a)     545,594  
    3,881     American International Group, Inc. (a)     288,087  
    273     Ameriprise Financial, Inc.     121,679  
    12,474     APA Corp. (a)     454,428  
    7,101     Arch Capital Group Ltd. * (a)     634,403  
    4,472     Archer-Daniels-Midland Co. (b)     356,776  
    203     Arrow Electronics, Inc. * (a)     43,570  
    43,926     AT&T, Inc. (a)     1,089,365  
    2,100     Atlassian Corp. – Class A * (a)     225,981  
Shares     Description  

Value ($)

 
          United States — continued  
    1,336     Autoliv, Inc. (a)     169,832  
    465     AutoNation, Inc. * (a)     87,290  
    4,458     Avnet, Inc. (a)     387,534  
    56,682     Bank of America Corp. (a) (b)     2,924,791  
    3,980     Bath & Body Works, Inc. (a)     79,680  
    448     Becton Dickinson & Co.     65,910  
    428     Berkshire Hathaway, Inc. – Class B *     203,077  
    25,995     Best Buy Co., Inc. (b)     2,026,310  
    5,478     Block, Inc. *     414,794  
    5,472     Blue Owl Capital Corp. (a)     61,615  
    846     Booz Allen Hamilton Holding Corp. (a)     66,986  
    868     BorgWarner, Inc. (a)     62,340  
    1,555     Bread Financial Holdings, Inc.     138,504  
    19,208     Bristol-Myers Squibb Co.     1,098,313  
    3,560     Brown-Forman Corp. – Class B (a)     91,563  
    17,833     Builders FirstSource, Inc. * (a)     1,359,945  
    11,533     Capital One Financial Corp. (b)     2,167,397  
    1,430     Carrier Global Corp. (a)     91,334  
    584     CBRE Group, Inc. – Class A * (b)     73,023  
    1,645     CDW Corp.     206,365  
    2,682     Chevron Corp.     489,358  
    1,434     Chubb Ltd. (a) (b)     447,021  
    8,786     Cigna Group (a)     2,437,236  
    3,620     Cisco Systems, Inc. (a)     435,920  
    23,246     Citigroup, Inc. (a) (b)     2,926,671  
    107,034     CNH Industrial NV (a)     1,092,817  
    33,418     Cognizant Technology Solutions Corp. – Class A (a) (b)     1,863,221  
    2,531     Colgate-Palmolive Co. (a)     228,119  
    81,150     Comcast Corp. – Class A (a)     2,018,201  
    1,640     Commercial Metals Co. (a)     124,722  
    4,767     ConocoPhillips (a)     543,343  
    28,979     Corebridge Financial, Inc. (a)     782,433  
    680     Covista, Inc. * (a)     80,104  
    1,063     CRH PLC (a)     115,644  
    2,185     Crocs, Inc. * (a)     259,294  
    29,955     CVS Health Corp. (a)     2,725,306  
    6,004     Deckers Outdoor Corp. * (a) (b)     683,555  
    5,800     Dell Technologies, Inc. – Class C (a)     2,441,278  
    28,882     Delta Air Lines, Inc. (a)     2,382,187  
    6,600     Devon Energy Corp. (a)     293,634  
    1,104     Dollar General Corp. (b)     122,113  
    13,103     DR Horton, Inc. (a)     1,927,320  
    5,288     Dropbox, Inc. – Class A * (a)     142,141  
    4,055     DXC Technology Co. * (a)     40,185  
    937     Eastman Chemical Co. (a)     71,090  
    20,042     eBay, Inc. (a)          2,189,989  
    7,722     Edison International (b)     540,077  
    4,862     Elevance Health, Inc. (a)     1,911,690  
    1,304     Enova International, Inc. * (a)     210,609  
    9,153     EOG Resources, Inc. (a)     1,220,827  
    3,708     Everest Group Ltd.     1,201,503  
    707     Expand Energy Corp. (a)     65,737  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          United States — continued  

  

    369     Expedia Group, Inc. (a)     83,317  
    11,698     Exxon Mobil Corp. (a)     1,699,252  
    783     Federated Hermes, Inc. (a)     43,895  
    815     FedEx Corp. (b)     335,576  
    3,140     Fifth Third Bancorp (a)     156,780  
    621     First Solar, Inc. *     190,517  
    1,087     Fiserv, Inc. *     61,481  
    171,547     Ford Motor Co. (a)     2,991,780  
    4,145     Fortune Brands Innovations, Inc. (a)     161,406  
    2,774     Fox Corp. – Class A (a)     177,314  
    9,029     Fox Corp. – Class B (a)     518,174  
    4,740     Franklin Resources, Inc. (a)     147,035  
    4,745     Gap, Inc. (b)     100,357  
    955     Gartner, Inc. * (b)     154,901  
    22,751     GE HealthCare Technologies, Inc. (a)     1,418,297  
    6,395     Gen Digital, Inc. (a)     164,927  
    42,830     General Mills, Inc. (a)     1,448,082  
    30,121     General Motors Co. (a)     2,507,272  
    2,552     Genpact Ltd. (b)     84,088  
    850     Gilead Sciences, Inc. (a)     114,266  
    3,292     Global Payments, Inc. (a)     248,579  
    293     Group 1 Automotive, Inc. (a)     92,688  
    11,270     H&R Block, Inc. (a) (b)     433,782  
    5,852     Halliburton Co. (a)     227,350  
    6,355     Hartford Insurance Group, Inc. (a)     807,911  
    74,221     Hewlett Packard Enterprise Co. (a)     3,194,472  
    83,107     HP, Inc. (a)     2,247,213  
    2,467     Humana, Inc. (a)     753,471  
    14,768     Huntington Bancshares, Inc. (a)     241,605  
    21,043     Incyte Corp. * (a)     2,035,700  
    1,065     Ingredion, Inc. (a)     108,034  
    3,890     International Business Machines Corp. (a)     1,158,442  
    297     Intuit, Inc. (b)     98,464  
    4,202     Janus Henderson Group PLC     217,285  
    5,942     Johnson & Johnson (a)     1,338,911  
    3,743     JPMorgan Chase & Co. (b)     1,120,317  
    4,561     KB Home (a)     222,850  
    13,118     Kenvue, Inc. (b)     226,679  
    6,050     Keurig Dr. Pepper, Inc. (a)     181,682  
    2,965     Kimberly-Clark Corp. (b)     289,384  
    1,840     Kinder Morgan, Inc. (a)     57,187  
    64,660     Kraft Heinz Co. (a)     1,552,487  
    6,123     Kroger Co. (b)     380,544  
    531     Lear Corp. (a)     75,997  
    766     Leidos Holdings, Inc. (a)     97,895  
    17,359     Lennar Corp. – Class A (a)     1,558,491  
    6,353     LKQ Corp. (a)     172,293  
    10,665     Lululemon Athletica, Inc. * (a)     1,399,035  
    7,288     LyondellBasell Industries NV – Class A     485,745  
    1,408     M&T Bank Corp. (a)     304,283  
    346     M/I Homes, Inc. * (a)     45,541  
    17,742     Macy’s, Inc. (a)     386,066  
    640     Marathon Petroleum Corp. (a)     159,213  
Shares     Description  

Value ($)

 
          United States — continued  

  

    16,764     Match Group, Inc.     605,683  
    10,643     Mattel, Inc. * (a)     159,006  
    22,896     Merck & Co., Inc. (a)     2,718,213  
    1,950     Meritage Homes Corp.     127,218  
    7,762     Meta Platforms, Inc. – Class A (b)     4,909,543  
    3,958     MetLife, Inc. (a) (b)     327,287  
    10,068     MGIC Investment Corp. (a)     253,915  
    9,913     Microsoft Corp. (b)     4,463,229  
    5,567     Mondelez International, Inc. – Class A (b)     340,533  
    3,064     Mosaic Co.     73,230  
    2,614     NetApp, Inc.     455,594  
    2,597     Neurocrine Biosciences, Inc. *     411,105  
    50     NewMarket Corp. (a)     38,679  
    2,051     NIKE, Inc. – Class B (a)     94,818  
    1,658     Northrop Grumman Corp. (a)     934,581  
    10,692     Nucor Corp. (a)     2,673,000  
    408     NXP Semiconductors NV (a)     131,111  
    16,923     Omnicom Group, Inc. (a)     1,230,471  
    347     Oshkosh Corp.     45,110  
    1,244     Paycom Software, Inc. (a)     173,749  
    46,559     PayPal Holdings, Inc. (a)     2,083,515  
    4,222     PepsiCo, Inc. (a) (b)     608,770  
    2,808     Perdoceo Education Corp. (b)     90,923  
    106,366     Pfizer, Inc.     2,784,662  
    422     Phillips 66     74,221  
    74,796     Pinterest, Inc. – Class A * (a)     1,499,660  
    2,888     PNC Financial Services Group, Inc. (a)     638,595  
    1,499     PPG Industries, Inc. (a)     169,357  
    7,072     Procter & Gamble Co. (a)     1,015,256  
    4,573     Progressive Corp. (a) (b)     870,699  
    1,494     Prudential Financial, Inc. (a)     150,356  
    14,096     PulteGroup, Inc. (a)     1,665,865  
    2,112     PVH Corp. (a)     197,007  
    16,640     QUALCOMM, Inc. (a)     4,176,973  
    9,356     Radian Group, Inc.     319,507  
    3,872     Regeneron Pharmaceuticals, Inc. (a)     2,380,428  
    19,312     Regions Financial Corp. (a)     540,736  
    603     ResMed, Inc. (a)     114,914  
    639     Roper Technologies, Inc. (a)     208,014  
    1,528     Signet Jewelers Ltd. (a)     133,532  
    2,442     Skyworks Solutions, Inc.     190,110  
    5,315     SLM Corp. (a)     117,568  
    155     Snap-on, Inc. (a)     57,538  
    20,355     Solventum Corp. * (a)     1,525,607  
    8,415     State Street Corp. (a)     1,309,711  
    3,398     Steel Dynamics, Inc. (a)     883,990  
    38,237     Super Micro Computer, Inc. * (a)     1,762,343  
    25,399     Synchrony Financial     1,814,505  
    427     Sysco Corp. (b)     32,371  
    18,535     T. Rowe Price Group, Inc. (a)     1,937,464  
    17,501     Target Corp. (a) (b)     2,223,852  
    1,026     Terex Corp. (a)     59,693  
    17,202     Textron, Inc. (a)     1,578,456  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
          United States — continued  

  

    807     Timken Co. (a)     103,280  
    334     Toll Brothers, Inc. (a)     46,272  
    22,799     Trade Desk, Inc. – Class A * (a)     491,546  
    1,721     Travelers Cos., Inc. (b)     502,343  
    7,293     Truist Financial Corp. (a)     351,596  
    37,929     U.S. Bancorp (a)     2,080,406  
    14,469     United Airlines Holdings, Inc. * (a) (b)     1,661,041  
    23,077     United Parcel Service, Inc. – Class B (a)     2,462,085  
    3,596     UnitedHealth Group, Inc. (a)     1,367,595  
    5,406     Universal Health Services, Inc. – Class B (a)     789,871  
    660     Unum Group     54,932  
    63,527     Verizon Communications, Inc. (a)     3,037,226  
    6,449     VICI Properties, Inc. – (REIT) (a) (b)     181,991  
    1,794     Vontier Corp. (a)     50,914  
    5,173     Wells Fargo & Co. (a)     401,114  
    23,716     Western Union Co. (a)     192,811  
    2,322     YETI Holdings, Inc. * (a)     111,386  
    3,276     Zebra Technologies Corp. – Class A *     798,132  
    18,085     Zoom Communications, Inc. * (a) (b)     1,837,255  
    9,443     ZoomInfo Technologies, Inc. *     31,445  
     

 

 

 
    Total United States        157,972,597  
     

 

 

 
          Vietnam — 0.2%  
    60,060     An Binh CJSB *     35,609  
    4,700     Binh Minh Plastics JSC     24,542  
    5,800     Gelex Electric Equipment JSC     22,528  
    34,100     IDICO Corp. JSC     56,199  
    112,100     PetroVietNam Ca Mau Fertilizer JSC     169,800  
    37,700     Petrovietnam Fertilizer & Chemicals JSC     37,130  
    10,100     PetroVietnam Gas JSC     33,572  
    34,800     PetroVietnam Oil Corp.     19,971  
    48,300     Phu Nhuan Jewelry JSC     120,954  
    134,700     Quang Ngai Sugar JSC     243,680  
    901,000     Saigon – Hanoi Commercial Joint Stock Bank     472,864  
    116,200     Saigon Beer Alcohol Beverage Corp.     207,436  
    408,400     Vietnam Dairy Products JSC     918,999  
    94,400     Vietnam Engine & Agricultural Machinery Corp.     124,853  
    42,000     Vietnam Prosperity JSC Bank     43,264  
     

 

 

 
    Total Vietnam     2,531,401  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $651,807,781)
    765,905,548  
     

 

 

 
          PREFERRED STOCKS (g) — 0.9%  
          Brazil — 0.4%  
    8,900     Banco Bradesco SA ADR     31,061  
    213,300     Bradespar SA     983,086  
    742,403     Cia Energetica de Minas Gerais     1,583,542  
    1,763     Cyrela Brazil Realty SA Empreendimentos e Participacoes *     7,161  
Shares     Description  

Value ($)

 
          Brazil — continued  

  

    43,600     Gerdau SA     196,801  
    50,695     Gerdau SA Sponsored ADR     228,127  
    9,700     Itausa SA     24,843  
    97,600     Petroleo Brasileiro SA – Petrobras  
    Sponsored ADR (b)     1,636,752  
     

 

 

 
    Total Brazil     4,691,373  
     

 

 

 
          Germany — 0.3%  
    3,099     Bayerische Motoren Werke AG     269,369  
    205     Draegerwerk AG & Co. KGaA     21,914  
    7,249     Henkel AG & Co. KGaA (b)     562,663  
    25,522     Volkswagen AG *     2,723,186  
     

 

 

 
    Total Germany          3,577,132  
     

 

 

 
          Italy — 0.0%  
    1,049     Danieli & C Officine Meccaniche SpA     61,087  
     

 

 

 
          Russia — 0.0%  
    56,000     Nizhnekamskneftekhim PJSC * (d) (f)      
     

 

 

 
          South Korea — 0.2%  
    22,872     Samsung Electronics Co. Ltd.     3,060,125  
    51     Samsung Electronics Co. Ltd. GDR (Registered)     174,010  
     

 

 

 
    Total South Korea     3,234,135  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $10,000,282)
    11,563,727  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%  
          Canada — 0.0%  
    7,900     Resolute Forest Products, Inc. * (e)     11,850  
     

 

 

 
          United States — 0.0%  
    90,581     Walgreens Boots Alliance, Inc. CVR * (e)     45,293  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $56,698)
    57,143  
     

 

 

 
          INVESTMENT FUNDS — 21.8%  
          Japan — 0.0%  
    1,510,500     Carlyle ARE Partners II, L.P. (d) (h)     853,110  
     

 

 

 
          United States — 21.8%  
    8,906,094     GMO Alternative Allocation Fund, Class VI (i)     164,851,797  
    418,696     GMO Climate Change Fund, Class III (i)     13,461,074  
    714,036     GMO High Yield Fund, Class VI (i)     12,524,192  
    956,814     GMO Opportunistic Income Fund, Class VI (i)     23,202,730  
    1,377,111     GMO Resources Fund, Class VI (i)     39,275,201  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares /
Par Value†
    Description  

Value ($)

 
          United States — continued  

  

    6,192,033     GMO U.S. Treasury Fund, Class VI (i) (j)     31,022,088  
     

 

 

 
    Total United States     284,337,082  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $271,784,689)
    285,190,192  
     

 

 

 
          DEBT OBLIGATIONS — 17.3%  
          Dominican Republic — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  

DOP

    37,000,000     Dominican Republic International Bonds, Reg S, 13.63%, due 02/03/33     744,914  
     

 

 

 
          Malaysia — 0.1%  
          Sovereign and Sovereign Agency Issuers — 0.1%  

MYR

    3,900,000     Malaysia Government Bonds,
3.90%, due 11/30/26
    988,067  
     

 

 

 
          Paraguay — 0.0%  
          Sovereign and Sovereign Agency Issuers — 0.0%  

PYG

    860,000,000     Paraguay Government International Bonds, 144A, 8.50%, due 04/04/38     134,476  
     

 

 

 
          Uganda — 0.0%  
          Sovereign and Sovereign Agency Issuers — 0.0%  

UGX

    520,000,000     Republic of Uganda Government Bonds, 15.80%, due 06/23/39     138,199  
     

 

 

 
          United States — 17.1%  
          U.S. Government — 17.1%  
    55,000,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (b)     55,053,423  
    53,800,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.19%, 3.82%, due 10/31/27     53,892,473  
    114,825,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (b)     114,843,296  
     

 

 

 
    Total U.S. Government     223,789,192  
     

 

 

 
    Total United States     223,789,192  
     

 

 

 
          Uruguay — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

UYU

    9,000,000     Uruguay Government International Bonds, 9.75%, due 07/20/33     248,736  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $225,880,929)
       226,043,584  
     

 

 

 
Shares /
Par Value†
    Description  

Value ($)

 
           SHORT-TERM INVESTMENTS — 16.1%  
          Money Market Funds — 0.7%      
    8,713,550     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (k)     8,713,550  
     

 

 

 
          Repurchase Agreements — 15.3%  
    200,000,000     Nomura Securities International, Inc. Repurchase Agreement, dated 05/29/26, maturing on 06/01/26 with a maturity value of $200,060,167 and an effective yield of 3.61%, collateralized by a U.S. Treasury Note with maturity date 10/31/27 and a market value of $204,167,102.     200,000,000  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.1%  

EGP

    44,000,000     Egypt Treasury Bills, Zero Coupon, due 10/20/26     772,873  

NGN

    1,099,999,999     Nigeria OMO Bills, Zero Coupon, due 07/07/26     786,071  
     

 

 

 
    Total Sovereign and Sovereign Agency Issuers     1,558,944  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $210,301,992)
    210,272,494  
     

 

 

 
    TOTAL INVESTMENTS — 114.8%
(Cost $1,369,832,371)
     1,499,032,688  
     

 

 

 
          SECURITIES SOLD SHORT — (12.7)%  
          Common Stocks — (12.6)%      
          Australia — (0.4)%      
    (123,123   Lottery Corp. Ltd.     (478,278
    (89,191   Lynas Rare Earths Ltd. *     (1,226,241
    (12,862   Pro Medicus Ltd.     (1,222,723
    (247,845   Sigma Healthcare Ltd.     (522,835
    (12,727   WiseTech Global Ltd.     (330,869
    (24,176   Xero Ltd. *     (1,313,689
     

 

 

 
    Total Australia     (5,094,635
     

 

 

 
          Belgium — (0.0)%      
    (35   Lotus Bakeries NV     (448,555
     

 

 

 
          Brazil — (0.1)%      
    (91,318   NU Holdings Ltd. – Class A *     (1,199,005
     

 

 

 
          Canada — (0.8)%      
    (25,600   AltaGas Ltd.     (996,221
    (17,723   Brookfield Renewable Corp.     (708,566
    (7,926   Cameco Corp.     (893,260
    (1,600   Dollarama, Inc.     (204,606
    (2,600   Element Fleet Management Corp.     (51,806
    (15,045   Enbridge, Inc.     (823,563
    (3,453   Franco-Nevada Corp.     (796,607
    (15,087   GFL Environmental, Inc.     (506,018
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares

    Description  

Value ($)

 
          Canada — continued      

  

    (38,700   Keyera Corp.     (1,605,377
    (15,409   Pan American Silver Corp.     (878,159
    (20,068   Pembina Pipeline Corp.     (934,165
    (6,741   RB Global, Inc.     (716,905
    (11,403   Restaurant Brands International, Inc.     (851,804
    (1,588   TC Energy Corp.     (105,793
    (4,680   Wheaton Precious Metals Corp.     (620,568
     

 

 

 
    Total Canada     (10,693,418
     

 

 

 
          Chile — (0.1)%      
    (12,416   Latam Airlines Group SA ADR     (666,491
     

 

 

 
          China — (0.1)%      
    (147,601   NIO, Inc. ADR*     (826,566
    (18,647   XPeng, Inc. ADR*     (306,743
     

 

 

 
    Total China     (1,133,309
     

 

 

 
          Denmark — (0.2)%      
    (21,070   Coloplast AS – Class B         (1,293,471
    (2,863   Novonesis Novozymes B – Class B     (166,335
    (7,033   Orsted AS *     (179,240
    (50,038   Tryg AS     (1,176,138
     

 

 

 
    Total Denmark     (2,815,184
     

 

 

 
          France — (0.2)%      
    (6,145   Aeroports de Paris SA     (823,363
    (46,810   Getlink SE     (1,022,815
    (562   Hermes International SCA     (1,050,225
     

 

 

 
    Total France     (2,896,403
     

 

 

 
          Germany — (0.5)%      
    (33,111   Delivery Hero SE *     (1,418,412
    (11,821   Hensoldt AG     (1,227,254
    (1,532   HOCHTIEF AG     (866,136
    (1,000   MTU Aero Engines AG     (364,836
    (211   Rational AG     (161,447
    (11   Rheinmetall AG     (16,561
    (790   RWE AG     (50,205
    (5,007   Siemens Energy AG     (947,895
    (8,597   Talanx AG     (1,028,341
     

 

 

 
    Total Germany     (6,081,087
     

 

 

 
          Israel — (0.0)%      
    (665   Wix.com Ltd. *     (37,280
     

 

 

 
          Italy — (0.3)%      
    (5,555   Ferrari NV (c)     (1,908,759
    (280   Ferrari NV (c)     (95,264
    (56,536   FinecoBank Banca Fineco SpA     (1,379,431
    (341   Prysmian SpA     (58,743
     

 

 

 
    Total Italy     (3,442,197
     

 

 

 
Shares     Description  

Value ($)

 
           Japan — (1.1)%      
    (3,700   Advantest Corp.     (604,933
    (141,800   Aeon Co. Ltd.     (1,241,132
    (1,900   Asics Corp.     (57,718
    (3,200   Disco Corp.     (1,305,711
    (1,500   Fast Retailing Co. Ltd.     (777,354
    (15,800   Fujikura Ltd.     (470,848
    (3,700   Ibiden Co. Ltd.     (531,942
    (42,500   IHI Corp.     (738,495
    (86,500   Japan Exchange Group, Inc.     (1,056,706
    (22,000   Mitsubishi Heavy Industries Ltd.     (520,053
    (27,300   MonotaRO Co. Ltd.     (322,660
    (115,900   Oriental Land Co. Ltd.     (1,666,716
    (229,300   Rakuten Group, Inc. *     (1,071,865
    (4,000   Ryohin Keikaku Co. Ltd.     (97,696
    (131,300   Sanrio Co. Ltd.     (706,025
    (2,200   Seibu Holdings, Inc.     (38,983
    (32,700   Shiseido Co. Ltd.     (576,538
    (1,420,100   SoftBank Corp.     (1,918,647
    (5,800   Zensho Holdings Co. Ltd.     (293,339
     

 

 

 
    Total Japan     (13,997,361
     

 

 

 
          Mexico — (0.0)%      
    (601   Grupo Aeroportuario del Pacifico SAB de CV ADR     (142,016
     

 

 

 
          Netherlands — (0.3)%      
    (5,630   BE Semiconductor Industries NV     (1,864,125
    (84,250   CVC Capital Partners PLC     (1,346,682
    (3,696   Nebius Group NV *     (854,109
     

 

 

 
    Total Netherlands     (4,064,916
     

 

 

 
          Norway — (0.2)%      
    (41,268   Kongsberg Gruppen ASA     (1,478,267
    (14,979   Salmar ASA     (930,583
     

 

 

 
    Total Norway     (2,408,850
     

 

 

 
          Peru — (0.1)%      
    (8,380   Southern Copper Corp.     (1,603,088
     

 

 

 
          Singapore — (0.0)%      
    (147,347   Grab Holdings Ltd. – Class A *     (521,608
     

 

 

 
          Spain — (0.2)%                   
    (36,934   Cellnex Telecom SA *     (1,235,910
    (23,680   Ferrovial NV     (1,619,680
     

 

 

 
    Total Spain     (2,855,590
     

 

 

 
          Sweden — (0.2)%      
    (45,650   EQT AB     (1,570,098
    (1,709   Spotify Technology SA *     (850,535
     

 

 

 
    Total Sweden     (2,420,633
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
           Switzerland — (0.1)%      
    (17,063   Avolta AG     (1,072,213
    (20   Chocoladefabriken Lindt & Spruengli AG     (238,288
    (41   Partners Group Holding AG     (43,258
    (467   VAT Group AG     (364,627
     

 

 

 
    Total Switzerland     (1,718,386
     

 

 

 
          United Kingdom — (0.6)%                   
    (10,402   Antofagasta PLC     (573,019
    (37,884   Entain PLC     (271,088
    (105,568   Informa PLC     (1,146,942
    (11,355   InterContinental Hotels Group PLC     (1,741,303
    (8,755   London Stock Exchange Group PLC     (1,059,349
    (9,638   Rolls-Royce Holdings PLC     (173,405
    (28,844   Severn Trent PLC     (1,150,123
    (95,687   Standard Life PLC     (995,554
    (79,530   Wise Group PLC – Class A *     (996,319
     

 

 

 
    Total United Kingdom     (8,107,102
     

 

 

 
          United States — (7.1)%      
    (6,561   AbbVie, Inc.     (1,428,461
    (31,980   Affirm Holdings, Inc. *     (2,355,327
    (374   Air Products & Chemicals, Inc.     (104,204
    (4,628   Alnylam Pharmaceuticals, Inc. *     (1,397,563
    (1,543   Analog Devices, Inc.     (638,571
    (3,497   AppLovin Corp. – Class A *     (2,143,976
    (2,023   Arthur J Gallagher & Co.     (406,846
    (13,320   AST SpaceMobile, Inc. *     (1,510,621
    (4,093   Axon Enterprise, Inc. *     (1,836,611
    (3,146   Bloom Energy Corp. – Class A *     (896,610
    (7,490   Boeing Co. *     (1,731,313
    (4,928   Burlington Stores, Inc. *     (1,595,834
    (22,055   Carvana Co. *     (1,610,015
    (1,658   Ciena Corp. *     (962,021
    (6,488   Cintas Corp.     (1,111,135
    (6,841   Cloudflare, Inc. – Class A *     (1,654,291
    (1,144   Coherent Corp. *     (413,522
    (6,537   CoreWeave, Inc. – Class A *     (715,998
    (5,331   Corning, Inc.     (965,764
    (55   Costco Wholesale Corp.     (52,598
    (8,638   Credo Technology Group Holding Ltd. *     (2,038,827
    (9,110   DoorDash, Inc. – Class A *     (1,451,132
    (87,980   DraftKings, Inc. – Class A *     (2,154,630
    (4,770   Ecolab, Inc.     (1,221,120
    (1,209   Fair Isaac Corp. *     (1,511,963
    (40,579   Fidelity National Information Services, Inc.     (1,744,491
    (4,008   FTAI Aviation Ltd.     (1,043,443
    (170   GE Vernova, Inc.     (164,614
    (10,028   Hyatt Hotels Corp. – Class A     (1,818,678
    (9,650   Insmed, Inc. *     (1,031,682
    (70   Insulet Corp. *     (10,146
Shares     Description  

Value ($)

 
          United States — continued      
    (35,224   IonQ, Inc. *     (2,538,594

  

    (16,131   IREN Ltd. *     (1,024,964
    (668   Johnson Controls International PLC     (89,552
    (22,281   Liberty Media Corp.-Liberty Formula One – Class C *     (2,022,892
    (3,294   Linde PLC     (1,639,391
    (10,078   Live Nation Entertainment, Inc. *     (1,697,236
    (652   Lumentum Holdings, Inc. *     (557,434
    (129   Marriott International, Inc. – Class A     (48,452
    (3,191   Marvell Technology, Inc.     (654,155
    (1,740   McKesson Corp.     (1,291,846
    (6,059   MongoDB, Inc. *     (2,033,097
    (124   Motorola Solutions, Inc.     (50,007
    (2,879   MSCI, Inc.     (1,817,743
    (7,813   Natera, Inc. *     (1,745,190
    (665   NiSource, Inc.     (30,736
    (24,453   Oklo, Inc. *     (1,635,417
    (26,009   Okta, Inc. *     (3,206,129
    (18,575   ONEOK, Inc.     (1,559,185
    (1,623   O’Reilly Automotive, Inc. *     (141,006
    (25,052   Otis Worldwide Corp.     (1,774,684
    (9,975   Palantir Technologies, Inc. – Class A *     (1,561,486
    (2,019   Palo Alto Networks, Inc. *     (568,732
    (94,670   Rivian Automotive, Inc. – Class A *     (1,543,121
    (42,186   ROBLOX Corp. – Class A *     (1,989,070
    (60,148   Rocket Cos., Inc. – Class A *     (872,747
    (13,662   Rocket Lab Corp. *     (1,960,224
    (27,203   Rollins, Inc.     (1,294,863
    (41,071   Samsara, Inc. – Class A *     (1,437,074
    (1,205   Seagate Technology Holdings PLC     (1,060,159
    (7,590   Snowflake, Inc. *     (1,939,624
    (93,700   SoFi Technologies, Inc. *     (1,707,214
    (13,278   Starbucks Corp.     (1,316,646
    (791   STERIS PLC     (168,269
    (343   Take-Two Interactive Software, Inc. *     (76,887
    (3,944   Tesla, Inc. *     (1,718,756
    (3,677   Texas Pacific Land Corp.     (1,445,061
    (597   TransDigm Group, Inc.     (751,217
    (715   Twilio, Inc. – Class A *     (136,308
    (424   Tyler Technologies, Inc. *     (132,776
    (3,044   Vistra Corp.     (487,740
    (4,579   Watsco, Inc.     (1,680,951
    (1,997   Western Digital Corp.     (1,060,826
    (22,289   Williams Cos., Inc.     (1,591,212
    (20,645   Zillow Group, Inc. – Class C *     (722,575
    (12,361   Zscaler, Inc. *     (1,727,203
     

 

 

 
    Total United States        (92,230,458
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $127,874,961)
    (164,577,572
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares     Description  

Value ($)

 
           PREFERRED STOCKS (g) — (0.1)%  
          Germany — (0.1)%      
    (4,171   Sartorius AG     (1,188,893
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $1,323,273)
    (1,188,893
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $129,198,234)
    (165,766,465
     

 

 

 
    Other Assets and Liabilities (net) — (2.1)%     (27,413,106
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $ 1,305,853,117  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Carlyle ARE Partners II, L.P.    03/24/26    $ 950,568      0.0%   $ 853,110  
Evraz PLC    10/25/21      197,469      0.0%      
Federal Grid Co-Rosseti PJSC    08/12/19      462,175      0.0%      
Gazprom PJSC    08/10/20      7,398,324      0.0%      
GMK Norilskiy Nickel PAO    06/11/20      1,319,027      0.0%      
Inter RAO UES PJSC    06/05/20      453,917      0.0%      
LSR Group PJSC    08/12/19      175,128      0.0%      
LSR Group PJSC GDR    05/06/21      2      0.0%      
Mosenergo PJSC    11/22/21      96,796      0.0%      
Nizhnekamskneftekhim PJSC    03/24/20      55,853      0.0%      
Novatek PJSC    10/21/21      198,983      0.0%      
Novolipetsk Steel PJSC    11/07/19      3,077,372      0.0%      
PhosAgro PJSC    12/03/20      212,444      0.0%      
PhosAgro PJSC GDR    12/03/20      1,365      0.0%      
Polyus PJSC GDR    02/24/23      0      0.0%      
Severstal PAO GDR (Registered)    03/16/20      1,679,360      0.0%      
SFI PJSC    03/16/20      68,731      0.0%      
Tatneft PJSC    03/16/20      2,263,701      0.0%      
Unipro PAO    01/13/21      50,836      0.0%      
United Co. RUSAL International PJSC    11/12/21      51,608      0.0%      
          

 

 

 
           $ 853,110  
          

 

 

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/15/2026   SSB     MXN       8,300,000       USD       479,425       2,416  
07/01/2026   MSCI     PHP       14,400,000       USD       240,646       6,955  
08/10/2026   MSCI     USD       3,668,695       COP       13,949,000,000       52,205  
07/15/2026   DB     USD       749,163       CZK       15,600,000       446  
08/31/2026   JPM     USD       4,729,023       EUR       4,049,000       11,405  
08/19/2026   DB     USD       773,164       HUF       240,400,000       16,391  
07/15/2026   SSB     USD       2,477,540       MXN       43,600,000       28,194  
06/30/2026   CITI     USD       577,334       PEN       2,000,000       7,800  
06/30/2026   MSCI     USD       2,688,613       PEN       9,500,000       90,772  
07/29/2026   BCLY     USD       463,639       TRY       22,700,000       4,326  

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
06/30/2026   CITI     USD       61,143       ZAR       1,000,000       386  
06/30/2026   MSCI     USD       3,436,653       ZAR       57,300,000       88,976  
08/10/2026   GS     COP       406,900,000       USD       107,781       (759
07/02/2026   JPM     USD       3,801,757       BRL       19,300,000       (3,778
08/05/2026   CITI     USD       1,206,389       IDR       21,019,400,000       (32,684
08/05/2026   GS     USD       71,992       IDR       1,247,700,000       (2,321
07/01/2026   CITI     USD       974,691       PHP       59,500,000       (9,095
07/21/2026   CITI     USD       756,382       THB       24,000,000       (16,190
           

 

 

 
            $ 245,445  
           

 

 

 
 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
742   U.S. Treasury Note 10 Yr. (CBT)   September 2026     81,492,469       169,977  
1,718   U.S. Treasury Note 2 Yr. (CBT)   September 2026     354,874,375       799,275  
1,325   U.S. Treasury Note 5 Yr. (CBT)   September 2026     142,054,493       171,839  
482   U.S. Treasury Ultra 10 Yr. (CBT)   September 2026     54,021,656       210,239  
47   U.S. Ultra Bond (CBT)   September 2026     5,377,094       86,587  
     

 

 

   

 

 

 
  $ 637,820,087     $ 1,437,917  
 

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
23   MSCI Emerging Market   June 2026     2,010,775       (21,739
217   TOPIX Index   June 2026     53,889,704       (5,321,336
     

 

 

   

 

 

 
  $ 55,900,479     $ (5,343,075
 

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/

(Received) ($)
    Value ($)     Net Unrealized
Appreciation/

(Depreciation) ($)
 

Buy Protection^:

                   

CDX.NA.HY.S46

  USD     11,385,000       5.00%       3.02%       N/A       06/20/2031       Quarterly       (455,400     (949,521     (494,121

ITRAXX.EUR.45

  EUR     261,700,000       1.00%       0.53%       N/A       06/20/2031       Quarterly       (4,649,050     (6,797,236     (2,148,186
               

 

 

   

 

 

   

 

 

 
                $ (5,104,450   $ (7,746,757   $ (2,642,307
               

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1)

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — Continued

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

 

Notional
Amount

    Expiration
Date
   

Periodic
Payment
Frequency

  Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   GS   USD     12,023,587       06/24/2026     Monthly           162,786       162,786  

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     10,333,514       06/18/2027     Monthly           306,843       306,843  
             

 

 

   

 

 

   

 

 

 
  $     $ 469,629     $ 469,629  
 

 

 

   

 

 

   

 

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

Securities are traded on separate exchanges for the same entity.

 

(d)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

(e)

Investment valued using significant unobservable inputs.

 

(f)

The security is restricted as to resale.

 

(g)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(h)

Private placement security; restricted as to resale.

 

(i)

Affiliated company.

 

(j)

All or a portion of this security is purchased with collateral from securities loaned.

 

(k)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 

(l)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

ADR - American Depositary Receipt

CVR - Contingent Value Right

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

OMO - Open Market Operations

PJSC - Private Joint-Stock Company

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

REIT - Real Estate Investment Trust

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

 

 

Currency Abbreviations:

 

BRL - Brazilian Real

COP - Colombian Peso

CZK - Czech Republic Koruna

DOP - Dominican Republic Peso

EGP - Egyptian Pound

EUR - Euro

HUF - Hungarian Forint

IDR - Indonesian Rupiah

MXN - Mexican Peso

MYR - Malaysian Ringgit

NGN - Nigerian Naira

PEN - Peruvian Sol

PHP - Philippines Peso

PYG - Paraguayan Guarani

THB - Thai Baht

TRY - Turkish Lira

UGX - Ugandan Shilling

USD - United States Dollar

UYU - Uruguay Peso

ZAR - South African Rand

 
 


GMO Global Asset Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    INVESTMENT FUNDS — 99.9%

 

          United States — 99.9%  
    5,531,168     GMO Alternative Allocation Fund, Class VI (a)     102,381,921  
    4,969,172     GMO Asset Allocation Bond Fund, Class VI (a)     88,948,177  
    209,977     GMO Climate Change Fund, Class III (a)     6,750,749  
    407,285     GMO Domestic Resilience ETF (a)     12,318,457  
    261,493     GMO Emerging Country Debt Fund, Class VI (a)     6,367,354  
    1,020,446     GMO Emerging Markets ex-China Fund, Class VI (a)     21,592,644  
    1,213,222     GMO Emerging Markets Fund, Class VI (a)     48,977,780  
    2,501,516     GMO International Equity Fund, Class IV (a)     100,260,773  
    2,401,766     GMO International Opportunistic Value Fund, Class IV (a)     44,913,019  
    1,336,816     GMO-Usonian Japan Value Creation Fund, Class VI (a)     41,227,401  
    791,629     GMO Opportunistic Income Fund, Class VI (a)     19,197,011  
    539,242     GMO Quality Fund, Class VI (a)     20,027,424  
    216,925     GMO Resources Fund, Class VI (a)     6,186,711  
    485,115     GMO Small Cap Quality Fund, Class VI (a)     12,569,336  
    2,919,422     GMO U.S. Equity Fund, Class VI (a)     48,199,656  
    1,858,026     GMO U.S. Opportunistic Value Fund, Class VI (a)     44,592,625  
    488,305     GMO U.S. Small Cap Value Fund, Class VI (a)     13,042,619  
    3,478,081     GMO U.S. Treasury Fund, Class VI (a)     17,425,187  
     

 

 

 
   

TOTAL INVESTMENT FUNDS

(COST $553,115,858)

    654,978,844  
     

 

 

 
Par Value† /
Shares
    Description   Value ($)  
          DEBT OBLIGATIONS — 0.2%      
          U.S. Government — 0.2%      
    1,100,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (b)     1,100,175  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(COST $1,099,782)

    1,100,175  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.3%  
          Money Market Funds — 0.3%  
    1,858,723     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (c)     1,858,723  
     

 

 

 
   

TOTAL SHORT-TERM INVESTMENTS

(COST $1,858,723)

    1,858,723  
     

 

 

 
    TOTAL INVESTMENTS — 100.4%
(Cost $556,074,363)
    657,937,742  
  Other Assets and Liabilities (net) — (0.4%)     (2,630,087
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $655,307,655  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
83   TOPIX Index   June 2026   $ 20,612,191     $ (1,980,878
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Affiliated company.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ETF - Exchange-Traded Fund

 


GMO Global Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    INVESTMENT FUNDS — 99.4%

 

          United States — 99.4%  
    34,007     GMO Climate Change Fund, Class III (a)     1,093,311  
    73,066     GMO Domestic Resilience ETF (a)     2,209,903  
    114,191     GMO Emerging Markets ex-China Fund, Class VI (a)     2,416,291  
    709,243     GMO International Equity Fund, Class IV (a)     28,426,461  
    600,961     GMO International Opportunistic Value Fund, Class IV (a)     11,237,975  
    211,712     GMO-Usonian Japan Value Creation Fund, Class VI (a)     6,529,186  
    420,928     GMO Quality Fund, Class VI (a)     15,633,249  
    70,744     GMO Resources Fund, Class VI (a)     2,017,611  
    151,427     GMO Small Cap Quality Fund, Class VI (a)     3,923,483  
    796,672     GMO U.S. Equity Fund, Class VI (a)     13,153,054  
    633,992     GMO U.S. Opportunistic Value Fund, Class VI (a)     15,215,801  
    111,997     GMO U.S. Small Cap Value Fund, Class VI (a)     2,991,453  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $75,678,483)
    104,847,778  
     

 

 

 
Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 0.4%

 

          U.S. Government — 0.4%  
    450,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (b)     450,072  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $449,987)
    450,072  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.3%  
          Money Market Funds — 0.3%  
    290,635     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (c)     290,635  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $290,635)
    290,635  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $76,419,105)
    105,588,485  
    Other Assets and Liabilities (net) — (0.1%)     (92,472
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $105,496,013  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
8   S&P 500 E-Mini   June 2026   $ 3,038,300     $ 369,799  
     

 

 

   

 

 

 
Sales        
12   TOPIX Index   June 2026   $ 2,980,076     $ (237,284
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Affiliated company.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ETF - Exchange-Traded Fund

 


GMO Global Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    INVESTMENT FUNDS — 99.3%

 

          United States — 99.3%  
    199,576     GMO Climate Change Fund, Class III (a)     6,416,362  
    389,195     GMO Domestic Resilience ETF (a)     11,771,320  
    934,520     GMO Emerging Markets ex-China Fund, Class VI (a)     19,774,458  
    1,734,181     GMO Emerging Markets Fund, Class VI (a)     70,008,894  
    3,741,268     GMO International Equity Fund, Class IV (a)     149,950,011  
    3,689,934     GMO International Opportunistic Value Fund, Class IV (a)     69,001,767  
    1,241,283     GMO-Usonian Japan Value Creation Fund, Class VI (a)     38,281,162  
    2,046,243     GMO Quality Fund, Class VI (a)     75,997,490  
    431,720     GMO Resources Fund, Class VI (a)     12,312,651  
    966,311     GMO Small Cap Quality Fund, Class VI (a)     25,037,124  
    3,113,581     GMO U.S. Equity Fund, Class VI (a)     51,405,219  
    3,408,757     GMO U.S. Opportunistic Value Fund, Class VI (a)     81,810,166  
    695,996     GMO U.S. Small Cap Value Fund, Class VI (a)     18,590,047  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $458,377,201)
    630,356,671  
     

 

 

 
Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 0.4%

 

          U.S. Government — 0.4%  
    2,700,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (b)     2,700,430  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $2,699,926)
    2,700,430  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.3%  
          Money Market Funds — 0.3%  
    2,013,410     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (c)     2,013,410  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $2,013,410)
    2,013,410  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $463,090,537)
    635,070,511  
    Other Assets and Liabilities (net) — (0.0%)     (11,201
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $635,059,310  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
50   S&P 500 E-Mini   June 2026   $ 18,989,375     $ 1,628,374  
     

 

 

   

 

 

 
Sales        
76   TOPIX Index   June 2026   $ 18,873,813     $ (1,504,944
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Affiliated company.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ETF - Exchange-Traded Fund

 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
    COMMON STOCKS — 73.3%  
          Argentina — 0.2%      
    42,700     Vista Energy SAB de CV ADR *     3,168,340  
    40,866     YPF SA Sponsored ADR *     2,166,307  
     

 

 

 
    Total Argentina     5,334,647  
     

 

 

 
          Australia — 1.6%      
    105,406     Accent Group Ltd. (a)     43,977  
    6,784     Aristocrat Leisure Ltd. (b)     243,752  
    393,726     Aurizon Holdings Ltd.     1,184,896  
    401,150     BHP Group Ltd. (a)     17,858,539  
    65,447     BlueScope Steel Ltd.     1,493,595  
    6,592     Credit Corp. Group Ltd.     53,377  
    9,827     CSL Ltd. (a)     682,496  
    618,197     Fortescue Ltd.     9,928,776  
    350,881     Grange Resources Ltd. *     40,402  
    152,178     Harvey Norman Holdings Ltd. (b)     503,746  
    192,023     Helia Group Ltd.     666,039  
    9,606     Monadelphous Group Ltd.     213,651  
    47,744     NRW Holdings Ltd.     261,316  
    44,026     Paladin Energy Ltd. * (a)     360,319  
    122,235     Perenti Ltd.     185,510  
    99,294     Perseus Mining Ltd.     372,671  
    56,189     QBE Insurance Group Ltd.     913,102  
    195,527     Ramelius Resources Ltd.     456,371  
    6,418     Rio Tinto Ltd.     858,372  
    103,181     Santos Ltd. (a)     579,021  
    69,907     Southern Cross Media Group Ltd. (a)     30,960  
    21,542     Suncorp Group Ltd. (a)     268,647  
    21,896     Super Retail Group Ltd. (a)     184,253  
    32,593     Woodside Energy Group Ltd. (a)     712,986  
     

 

 

 
    Total Australia     38,096,774  
     

 

 

 
          Austria — 0.3%      
    6,194     EVN AG     203,776  
    24,136     OMV AG (a)     1,736,831  
    59,318     Raiffeisen Bank International AG     3,405,027  
    18,603     UNIQA Insurance Group AG     371,763  
    10,534     Vienna Insurance Group AG Wiener Versicherung Gruppe (a)     776,898  
    14,941     voestalpine AG (a)     843,183  
     

 

 

 
    Total Austria     7,337,478  
     

 

 

 
          Belgium — 0.4%      
    79,170     Ageas SA     6,134,228  
    8,313     Barco NV     89,035  
    10,272     Bekaert SA (a)     494,749  
    7,054     Econocom Group SA NV     12,692  
    1,487     Melexis NV (a)     140,504  
    152,692     Proximus SADP     1,188,944  
    35,177     Umicore SA     1,033,773  
     

 

 

 
    Total Belgium     9,093,925  
     

 

 

 

Shares
    Description   Value ($)  
          Brazil — 0.4%      
    222,200     Banco Bradesco SA     682,737  
    378,869     Klabin SA     1,251,994  
    56,900     Pagseguro Digital Ltd. – Class A     532,015  
    29,400     PRIO SA *     362,798  
    117,126     Sao Martinho SA     394,247  
    117,500     SLC Agricola SA     361,033  
    107,200     Suzano SA     890,615  
    240,600     Vale SA Sponsored ADR     3,909,750  
    24,100     Vale SA     395,667  
    92,833     Vibra Energia SA     547,478  
     

 

 

 
    Total Brazil     9,328,334  
     

 

 

 
          Canada — 4.1%      
    23,100     Alimentation Couche-Tard, Inc. (b)     1,305,088  
    58,000     Anaergia, Inc. * (a)     122,845  
    17,900     Bank of Montreal (a) (b)     2,907,443  
    78,300     Bank of Nova Scotia (c)     6,282,629  
    37,167     Bank of Nova Scotia (a) (b) (c)     2,975,218  
    6,320     Barrick Mining Corp.     268,916  
    101,400     Baytex Energy Corp.     495,846  
    6,600     Canadian Imperial Bank of Commerce (b)     720,440  
    26,900     Canadian Tire Corp. Ltd. – Class A (b)     3,451,645  
    126,100     Capstone Copper Corp. *     1,372,909  
    19,612     Cenovus Energy, Inc. (a)     540,703  
    78,473     Centerra Gold, Inc. (c)     1,386,618  
    19,200     Centerra Gold, Inc. (c)     338,975  
    44,000     CGI, Inc. (a) (b)     3,072,803  
    15,800     Cogeco Communications, Inc.     770,374  
    4,787     Cogeco, Inc.     230,175  
    94,780     DPM Metals, Inc.     3,183,052  
    13,000     Empire Co. Ltd. – Class A     461,009  
    9,500     Enerflex Ltd.     237,595  
    1,000     Fairfax Financial Holdings Ltd. (b)     1,556,378  
    7,800     Finning International, Inc.     589,137  
    47,600     First Quantum Minerals Ltd. * (a)     1,465,306  
    11,100     iA Financial Corp., Inc.     1,383,867  
    69,942     IGM Financial, Inc.     3,985,525  
    10,963     Interfor Corp. *     87,154  
    4,500     International Petroleum Corp. *     114,304  
    98,800     Ivanhoe Mines Ltd. – Class A * (a)     875,021  
    110,972     Largo, Inc. * (a)     104,641  
    11,800     Linamar Corp.     873,028  
    116,566     Magna International, Inc. (a) (c)     7,548,814  
    30,000     Magna International, Inc. (c)     1,944,293  
    111,500     Manulife Financial Corp. (a) (b) (c)     4,264,603  
    56,708     Manulife Financial Corp. (b) (c)     2,165,679  
    5,200     Mullen Group Ltd. (a)     82,225  
    134,100     NexGen Energy Ltd. * (a)     1,547,551  
    16,610     Nutrien Ltd. (c)     1,138,615  
    7,200     Nutrien Ltd. (c)     493,056  
    90,500     Open Text Corp. (a) (c)     2,151,808  
    89,236     Open Text Corp. (a) (c)     2,127,386  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          Canada — continued      
    132,100     Parex Resources, Inc. (a)     2,304,432  
    99,356     Power Corp. of Canada (a) (b)     6,005,393  
    6,700     Precision Drilling Corp. *     598,633  
    2,300     Quebecor, Inc. – Class B (a)     111,609  
    3,000     Rogers Communications, Inc. – Class B     115,765  
    14,100     Rogers Sugar, Inc.     68,626  
    7,100     Russel Metals, Inc.     321,564  
    64,900     Sun Life Financial, Inc. (b) (c)     4,664,195  
    9,308     Sun Life Financial, Inc. (a) (c)     668,314  
    7,500     Suncor Energy, Inc. (a)     468,774  
    50,900     Tamarack Valley Energy Ltd.     471,101  
    584     Teekay Tankers Ltd. – Class A     41,084  
    8,588     Torex Gold Resources, Inc.     393,815  
    118,800     Toronto-Dominion Bank (c)     13,593,515  
    12,431     Toronto-Dominion Bank (b) (c)     1,411,913  
    2,643     Wajax Corp.     56,938  
    46,400     Whitecap Resources, Inc. (a)     533,113  
     

 

 

 
    Total Canada     96,451,458  
     

 

 

 
          China — 1.8%      
    1,380,000     361 Degrees International Ltd. (a)     832,674  
    1,776,000     AviChina Industry & Technology Co. Ltd. – Class H     710,322  
    108,871     Bank of Communications Co. Ltd. – Class H     101,489  
    91,000     Beijing Enterprises Holdings Ltd.     358,093  
    1,556,000     Bosideng International Holdings Ltd.     844,383  
    3,772,000     China Communications Services Corp. Ltd. – Class H     1,987,847  
    353,000     China Conch Venture Holdings Ltd.     477,819  
    119,000     China Feihe Ltd. (a)     46,501  
    178,000     China Foods Ltd.     80,462  
    3,659,000     China Greenfresh Group Co. Ltd. * (d)      
    238,500     China Hongqiao Group Ltd.     855,174  
    1,800,000     China Lesso Group Holdings Ltd.     1,061,066  
    79,000     China Medical System Holdings Ltd.     106,526  
    348,000     China National Building Material Co. Ltd. – Class H     235,561  
    595,000     China Nonferrous Mining Corp. Ltd.     1,032,675  
    996,000     China Overseas Land & Investment Ltd.     1,981,123  
    1,923,000     China Railway Group Ltd. – Class H     860,244  
    1,264,000     China Reinsurance Group Corp. – Class H     191,979  
    213,500     China Resources Pharmaceutical Group Ltd.     127,208  
    44,000     China Shineway Pharmaceutical Group Ltd.     47,039  
    1,456,800     China Taiping Insurance Holdings Co. Ltd.     3,698,698  
    1,080,158     CITIC Ltd.     1,811,681  
    1,612,000     Consun Pharmaceutical Group Ltd.     2,922,641  
    2,822,000     CSPC Pharmaceutical Group Ltd.     2,701,768  
    327,700     ENN Energy Holdings Ltd.     2,297,600  

Shares
    Description   Value ($)  
          China — continued      
    212,000     Fufeng Group Ltd. (a)     161,539  
    90,100     Henan Shenhuo Coal Industry & Electricity Power Co. Ltd. – Class A     387,367  
    3,184     JD.com, Inc. ADR (a)     91,795  
    91,000     Kingboard Holdings Ltd.     764,780  
    1,498,000     Kunlun Energy Co. Ltd.     1,369,000  
    178,000     Lenovo Group Ltd.     545,492  
    239,000     Longfor Group Holdings Ltd. (a)     239,049  
    747,000     Lonking Holdings Ltd. *     278,405  
    316,000     Minth Group Ltd.     1,526,590  
    212,000     MMG Ltd. *     238,972  
    263,000     Orient Overseas International Ltd. (a) (b)     4,570,274  
    252,000     PICC Property & Casualty Co. Ltd. – Class H     467,708  
    62,796     Qfin Holdings, Inc. ADR     1,009,760  
    28,000     Sany Heavy Equipment International Holdings Co. Ltd.     27,525  
    522,000     Sino Biopharmaceutical Ltd.     332,668  
    1,178,500     Sinopec Engineering Group Co. Ltd. – Class H     830,574  
    218,400     Sinopharm Group Co. Ltd. – Class H     471,134  
    55,500     Sinotruk Hong Kong Ltd.     263,864  
    772,000     Skyworth Group Ltd. *     557,525  
    167,900     Vipshop Holdings Ltd. ADR (b)     2,387,538  
    60,500     Western Mining Co. Ltd. – Class A     273,551  
    164,000     Yankuang Energy Group Co. Ltd. – Class H (a)     305,400  
     

 

 

 
    Total China     42,471,083  
     

 

 

 
          Colombia — 0.0%      
    1,197     Corp. Financiera Colombiana SA *     4,916  
     

 

 

 
          Denmark — 0.5%      
    464     AP Moller - Maersk AS – Class A (b)     1,129,770  
    1,812     AP Moller - Maersk AS – Class B (b)     4,499,133  
    9,433     Genmab AS *     2,472,612  
    35,952     H Lundbeck AS     242,834  
    7,844     Pandora AS     734,109  
    28,030     Rockwool AS – B Shares     877,622  
    7,847     Scandinavian Tobacco Group AS     86,428  
    26,648     Vestas Wind Systems AS (b)     747,685  
     

 

 

 
    Total Denmark     10,790,193  
     

 

 

 
          Egypt — 0.0%      
    64,353     Orascom Construction PLC     917,719  
     

 

 

 
          Finland — 0.5%      
    13,082     Kemira OYJ     271,840  
    49,409     Neste OYJ     1,624,568  
    533,226     Nokia OYJ     7,831,905  
    2,141     Sanoma OYJ     23,130  
    26,781     Valmet OYJ     725,684  
     

 

 

 
    Total Finland     10,477,127  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          France — 2.1%      
    120     Amundi SA (a)     11,699  
    16,096     Aperam SA     957,243  
    17,948     ArcelorMittal SA     1,235,583  
    13,411     AXA SA (b)     618,426  
    85,614     BNP Paribas SA     9,228,564  
    19,151     Capgemini SE * (b)     2,275,231  
    30,592     Carrefour SA     571,560  
    57     Cie de Saint-Gobain SA (b)     5,165  
    12,940     Coface SA     225,069  
    28,318     Derichebourg SA (b)     333,660  
    9,472     Eiffage SA     1,370,857  
    48,005     Etablissements Maurel et Prom SA     505,433  
    17,929     Ipsen SA     3,275,075  
    2,021     IPSOS SA     90,970  
    1,650     Mersen SA     80,148  
    4,694     Metropole Television SA     63,172  
    1,685     Publicis Groupe SA     163,932  
    14,281     Quadient SA     203,237  
    35,514     Rubis SCA     1,466,898  
    105,160     Sanofi SA     9,218,232  
    1,026     Societe BIC SA * (b)     69,616  
    4,009     Societe Generale SA     333,233  
    45,765     STMicroelectronics NV (c)     3,171,972  
    31,351     STMicroelectronics NV (c)     2,150,589  
    3,931     Teleperformance SE (b)     288,478  
    14,160     Television Francaise 1 SA     112,853  
    102,729     TotalEnergies SE (c)     9,013,731  
    1,951     TotalEnergies SE (c)     171,571  
    113,526     Valeo SE     1,748,301  
    18,168     Veolia Environnement SA (b)     733,001  
     

 

 

 
    Total France     49,693,499  
     

 

 

 
          Germany — 1.5%      
    3,285     Allianz SE (Registered) (b)     1,455,767  
    61,898     Bayer AG (Registered)     2,632,320  
    21,781     Daimler Truck Holding AG     1,065,775  
    267,726     Deutsche Bank AG (Registered)     8,675,689  
    113,093     Deutsche Post AG (b)     6,735,519  
    91,644     Deutsche Telekom AG (Registered) (b)     3,076,954  
    278     Draegerwerk AG & Co. KGaA     23,630  
    5,560     DWS Group GmbH & Co. KGaA     399,973  
    41,512     E.ON SE (b)     881,238  
    16,031     Fresenius Medical Care AG     694,736  
    5,589     Henkel AG & Co. KGaA (b)     405,362  
    5,952     Kloeckner & Co. SE *     78,977  
    103,646     Mercedes-Benz Group AG     6,293,179  
    5,944     Merck KGaA     905,236  
    2,366     RTL Group SA     86,899  
    4,542     Traton SE *     178,305  
    792     Wuestenrot & Wuerttembergische AG     13,595  
     

 

 

 
    Total Germany     33,603,154  
     

 

 

 

Shares
    Description   Value ($)  
          Greece — 0.0%      
    103     Eurobank SA     480  
    2,045     Motor Oil Hellas Corinth Refineries SA     88,257  
     

 

 

 
    Total Greece     88,737  
     

 

 

 
          Hong Kong — 1.3%      
    197,000     BOC Hong Kong Holdings Ltd.     1,203,736  
    114,000     Chow Sang Sang Holdings International Ltd.     159,025  
    833,000     CITIC Telecom International Holdings Ltd.     284,891  
    774,500     CK Asset Holdings Ltd.     4,676,142  
    1,328,000     CK Hutchison Holdings Ltd.     11,949,166  
    74,000     Dah Sing Banking Group Ltd.     127,058  
    44,000     Dah Sing Financial Holdings Ltd.     238,458  
    382,000     E-Commodities Holdings Ltd.     30,703  
    284,000     First Pacific Co. Ltd.     185,328  
    200,000     Giordano International Ltd.     38,552  
    47,000     Henderson Land Development Co. Ltd. (a)     185,560  
    458,000     IGG, Inc.     193,851  
    24,500     Johnson Electric Holdings Ltd.     79,813  
    24,000     KLN Logistics Group Ltd.     18,793  
    79,000     Luk Fook Holdings International Ltd.     210,704  
    443,000     Pacific Basin Shipping Ltd.     178,137  
    428,000     PAX Global Technology Ltd.     189,875  
    306,000     SITC International Holdings Co. Ltd.     1,353,968  
    39,500     SmarTone Telecommunications Holdings Ltd.     23,948  
    166,000     Sun Hung Kai Properties Ltd. (b)     2,787,925  
    40,000     Techtronic Industries Co. Ltd. (b)     593,823  
    105,500     Texhong International Group Ltd.     84,957  
    2,772,000     United Energy Group Ltd.     163,096  
    86,000     VSTECS Holdings Ltd.     105,585  
    74,200     VTech Holdings Ltd.     485,005  
    4,669,000     WH Group Ltd.     5,388,193  
     

 

 

 
    Total Hong Kong     30,936,292  
     

 

 

 
          Hungary — 0.3%      
    36,561     Magyar Telekom Telecommunications PLC     317,394  
    69,119     MOL Hungarian Oil & Gas PLC     877,963  
    28,118     OTP Bank Nyrt     3,860,752  
    28,474     Richter Gedeon Nyrt     1,205,350  
     

 

 

 
    Total Hungary     6,261,459  
     

 

 

 
          India — 0.6%      
    165,606     Ashapura Minechem Ltd.     1,291,434  
    522,267     Bharat Petroleum Corp. Ltd.     1,643,026  
    13,297     Dhampur Bio Organics Ltd.     14,968  
    330,612     Hindalco Industries Ltd.     3,939,238  
    195,073     Hindustan Petroleum Corp. Ltd.     808,345  
    681,765     Indian Oil Corp. Ltd.     1,009,971  
    4,789     Muthoot Finance Ltd.     166,335  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          India — continued      
    1,669,074     NMDC Ltd.     1,553,182  
    1,018,265     Oil & Natural Gas Corp. Ltd.     2,849,599  
    70,055     Power Finance Corp. Ltd.     317,646  
    28,227     Siyaram Silk Mills Ltd.     170,410  
    195,684     Tata Motors Ltd. *     786,351  
     

 

 

 
    Total India     14,550,505  
     

 

 

 
          Indonesia — 0.2%      
    3,632,000     Aneka Tambang Tbk. PT     591,212  
    14,186,600     Astra International Tbk. PT     3,973,871  
    450,400     Indofood Sukses Makmur Tbk. PT     174,580  
    174,400     Perusahaan Gas Negara Persero Tbk. PT     17,820  
    341,200     Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT     24,661  
     

 

 

 
    Total Indonesia     4,782,144  
     

 

 

 
          Ireland — 0.1%      
    74,484     AIB Group PLC     876,520  
    22,257     Bank of Ireland Group PLC     452,239  
    16,726     Origin Enterprises PLC     88,319  
     

 

 

 
    Total Ireland     1,417,078  
     

 

 

 
          Israel — 0.5%      
    122,925     Bank Hapoalim BM     3,151,829  
    26,622     Bank Leumi Le-Israel BM     673,564  
    19,335     Bezeq The Israeli Telecommunication Corp. Ltd.     54,836  
    1,139     Delek Group Ltd.     350,188  
    120,792     ICL Group Ltd.     793,791  
    134,527     Israel Discount Bank Ltd. – Class A     1,489,394  
    11,706     Mizrahi Tefahot Bank Ltd.     896,954  
    26,933     Nice Ltd. Sponsored ADR * (a)     2,495,612  
    577     Nice Ltd. *     52,099  
    272,772     Oil Refineries Ltd.     156,445  
    39,600     ZIM Integrated Shipping Services Ltd.     930,204  
     

 

 

 
    Total Israel     11,044,916  
     

 

 

 
          Italy — 1.0%      
    13,609     Arnoldo Mondadori Editore SpA     33,094  
    24,781     Banca IFIS SpA (a)     585,456  
    23,435     Banco BPM SpA (a)     368,191  
    136,886     BPER Banca SpA (a)     1,853,182  
    23,686     Buzzi SpA (a)     1,279,465  
    25,026     Credito Emiliano SpA     449,211  
    24,190     d’Amico International Shipping SA     197,973  
    10,553     Esprinet SpA (a)     85,582  
    37,413     Intesa Sanpaolo SpA (b)     252,839  
    91,568     Iren SpA     286,062  
    18,969     Italgas SpA (b)     222,534  
    3,893     Leonardo SpA (b)     247,225  
    38,506     MFE-MediaForEurope NV – Class A     135,683  
    24,676     OVS SpA     161,042  

Shares
    Description   Value ($)  
          Italy — continued      
    54,011     Saipem SpA (a)     259,553  
    482,643     Stellantis NV * (a)     3,851,648  
    6,360,914     Telecom Italia SpA*     5,403,593  
    11,935     Tenaris SA     363,563  
    10,602     Tenaris SA ADR     645,980  
    271,811     Unipol Assicurazioni SpA     6,720,064  
     

 

 

 
    Total Italy     23,401,940  
     

 

 

 
          Japan — 18.2%      
    8,400     ADEKA Corp.     225,853  
    140,500     AGC, Inc.     6,119,489  
    7,600     Ai Holdings Corp.     134,042  
    5,600     Aica Kogyo Co. Ltd.     121,214  
    12,000     Aichi Corp.     105,224  
    1,500     Alfresa Holdings Corp.     21,035  
    4,300     AOKI Holdings, Inc.     44,300  
    5,700     Aoyama Trading Co. Ltd.     24,837  
    8,100     Arata Corp.     131,516  
    2,400     Artience Co. Ltd.     62,981  
    306,700     Asahi Group Holdings Ltd.     2,926,722  
    158,100     Asahi Kasei Corp.     1,773,421  
    8,700     Asahi Yukizai Corp. (a)     363,867  
    17,400     Astellas Pharma, Inc.     247,843  
    21,400     Axial Retailing, Inc.     140,084  
    8,000     Bando Chemical Industries Ltd.     112,493  
    181,400     Brother Industries Ltd.     4,267,940  
    3,200     Buffalo, Inc.     46,699  
    35,100     Bunka Shutter Co. Ltd.     412,797  
    32,400     Canon Marketing Japan, Inc.     723,512  
    14,300     Canon, Inc.     380,300  
    3,700     Central Glass Co. Ltd.     95,203  
    2,900     Chiyoda Integre Co. Ltd.     57,548  
    152,900     Chubu Electric Power Co., Inc. (b)     2,807,272  
    16,200     Citizen Watch Co. Ltd.     235,537  
    7,800     Cosmo Energy Holdings Co. Ltd.     183,109  
    6,800     Create SD Holdings Co. Ltd. (a)     136,910  
    303,400     Credit Saison Co. Ltd.     7,800,374  
    25,900     Dai Nippon Printing Co. Ltd. (b)     450,344  
    12,300     Dai Nippon Toryo Co. Ltd.     99,439  
    216,100     Daicel Corp.     1,807,024  
    14,300     Daido Steel Co. Ltd.     186,814  
    5,300     Daiichi Jitsugyo Co. Ltd.     103,617  
    5,100     Daikin Industries Ltd.     734,225  
    112,800     Daito Trust Construction Co. Ltd.     2,240,656  
    125,700     Daiwa House Industry Co. Ltd.     3,418,327  
    274,000     Daiwabo Holdings Co. Ltd.     5,884,435  
    168,700     Denka Co. Ltd.     4,736,227  
    123,200     Denso Corp.     1,465,761  
    8,800     Dowa Holdings Co. Ltd.     569,369  
    8,400     Ebara Corp. (a)     298,690  
    2,000     Elecom Co. Ltd.     21,353  
    13,900     Electric Power Development Co. Ltd.     350,437  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          Japan — continued      
    110,800     EXEO Group, Inc.     1,975,684  
    400     Ferrotec Corp. (a)     21,774  
    84,500     Fuji Corp.     4,195,806  
    12,200     Fuji Electric Co. Ltd.     1,183,993  
    38,100     Fuji Seal International, Inc.     632,000  
    343,100     FUJIFILM Holdings Corp. (a)     7,132,858  
    6,000     Fujikura Ltd.     178,803  
    1,900     G-7 Holdings, Inc.     16,434  
    33,100     Glory Ltd.     847,661  
    315,300     H.U. Group Holdings, Inc.     6,167,897  
    6,300     Hakuhodo DY Holdings, Inc.     44,229  
    9,300     Hakuto Co. Ltd. (a)     265,359  
    1,800     Halows Co. Ltd.     43,220  
    37,400     Hanwa Co. Ltd.     444,572  
    10,100     Haseko Corp.     171,881  
    71,900     Hitachi Construction Machinery Co. Ltd.     2,341,895  
    452,300     Honda Motor Co. Ltd.     4,064,356  
    82,587     Honda Motor Co. Ltd. Sponsored ADR     2,229,023  
    3,000     Horiba Ltd.     493,830  
    34,900     Hosiden Corp.     595,307  
    23,300     IDOM, Inc.     197,548  
    9,900     Inaba Denki Sangyo Co. Ltd.     172,705  
    77,000     Inabata & Co. Ltd.     1,849,235  
    496,300     Inpex Corp. (a)     11,160,040  
    523,700     Isuzu Motors Ltd. (a)     7,693,975  
    31,800     Itochu Enex Co. Ltd.     390,122  
    114,300     Iwatani Corp.     1,446,400  
    13,200     Japan Lifeline Co. Ltd.     109,969  
    26,700     Japan Petroleum Exploration Co. Ltd.     300,071  
    130,600     Japan Post Holdings Co. Ltd.     1,693,779  
    334,800     Japan Post Insurance Co. Ltd.     3,002,671  
    136,600     Jeol Ltd.     6,098,843  
    85,000     Kaga Electronics Co. Ltd.     2,361,118  
    22,800     Kajima Corp.     842,038  
    7,600     Kamei Corp.     171,939  
    53,900     Kaneka Corp.     1,866,370  
    647,700     Kanematsu Corp.     8,768,047  
    12,000     Kansai Electric Power Co., Inc. (b)     175,857  
    9,800     Kansai Paint Co. Ltd. (a)     150,760  
    3,000     KH Neochem Co. Ltd.     52,242  
    77,500     Kirin Holdings Co. Ltd. (b)     1,318,972  
    20,100     Kitz Corp.     282,043  
    657,900     Kobe Steel Ltd.     8,184,974  
    39,900     Kohnan Shoji Co. Ltd.     1,019,948  
    143,100     Komatsu Ltd. (a)     5,843,874  
    7,345     Komeri Co. Ltd.     159,708  
    5,000     Konishi Co. Ltd.     43,113  
    42,600     Kraftia Corp.     2,484,111  
    198,800     Kubota Corp. (a)     3,532,174  
    271,000     Kumiai Chemical Industry Co. Ltd. (a)     1,302,459  
    1,000     KYB Corp.     25,391  
    165,900     Kyocera Corp.     3,627,409  

Shares
    Description   Value ($)  
          Japan — continued      
    100     Life Corp.     1,547  
    121,900     Macnica Holdings, Inc.     2,380,204  
    62,100     Marubeni Corp.     2,029,949  
    298,300     Maruichi Steel Tube Ltd.     3,380,598  
    4,900     Maruzen Showa Unyu Co. Ltd.     235,899  
    307,900     Maxell Ltd.     3,756,482  
    27,100     Mazda Motor Corp. (a)     193,608  
    2,500     Medipal Holdings Corp.     43,115  
    26,600     Megmilk Snow Brand Co. Ltd.     582,756  
    255,500     Mitsubishi Electric Corp. (b)     10,386,855  
    7,700     Mitsubishi Materials Corp.     249,418  
    3,500     Mitsubishi Research Institute, Inc.     99,601  
    193,000     Mitsui & Co. Ltd. (b)     6,414,492  
    7,500     Mitsui OSK Lines Ltd. (a) (b)     257,789  
    263,500     Mizuno Corp.     5,422,055  
    203,600     Morinaga & Co. Ltd.     3,179,998  
    11,000     Morita Holdings Corp.     169,909  
    62,500     Murata Manufacturing Co. Ltd.     3,936,541  
    137,800     Musashi Seimitsu Industry Co. Ltd. (a)     8,178,411  
    41,000     Nagase & Co. Ltd.     289,365  
    88,900     NEC Corp. (b)     2,304,278  
    68,700     NGK Corp.     2,720,985  
    130,500     NH Foods Ltd.     4,991,937  
    12,000     Nichias Corp.     265,744  
    6,600     Nichiha Corp.     123,189  
    6,100     Nichireki Group Co. Ltd.     76,885  
    22,400     Nippn Corp.     374,141  
    29,500     Nippon Kayaku Co. Ltd.     394,441  
    15,300     Nippon Light Metal Holdings Co. Ltd.     304,405  
    60,900     Nippon Shinyaku Co. Ltd.     1,604,735  
    195,400     Nippon Yusen KK (a) (b)     6,510,799  
    700     Nishio Holdings Co. Ltd.     16,868  
    1,401,000     Nissan Motor Co. Ltd. *     3,486,459  
    26,200     Nisshin Oillio Group Ltd.     288,043  
    40,400     Niterra Co. Ltd. (a)     2,576,148  
    1,600     Nitta Corp.     58,897  
    18,800     Nitto Denko Corp. (a)     352,309  
    326,100     Nojima Corp.     2,938,126  
    8,200     Noritake Co. Ltd.     202,240  
    900     Noritsu Koki Co. Ltd.     12,003  
    16,100     NS United Kaiun Kaisha Ltd. (a)     790,017  
    5,095,700     NTT, Inc. (b)     4,780,929  
    356,600     Oisix ra daichi, Inc.     3,305,649  
    109,900     Okamura Corp. (b)     1,594,596  
    35,300     Oki Electric Industry Co. Ltd.     787,233  
    189,300     Olympus Corp. (a)     2,120,867  
    197,400     Ono Pharmaceutical Co. Ltd.     2,962,024  
    3,100     Open House Group Co. Ltd.     168,098  
    167,100     Optex Group Co. Ltd.     4,465,113  
    47,600     ORIX Corp.     1,856,357  
    61,700     Osaka Gas Co. Ltd. (b)     2,073,406  
    1,100     Otsuka Holdings Co. Ltd.     80,817  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          Japan — continued      
    500     PALTAC Corp.     20,802  
    509,600     Panasonic Holdings Corp. (b)     11,773,783  
    439,900     Penta-Ocean Construction Co. Ltd.     4,904,376  
    705,100     Persol Holdings Co. Ltd. (b)     1,072,774  
    7,600     Raito Kogyo Co. Ltd.     193,410  
    159,600     Renesas Electronics Corp.     4,442,897  
    40,200     Ricoh Co. Ltd.     367,736  
    109,800     Rohto Pharmaceutical Co. Ltd.     1,639,706  
    400     RS Technologies Co. Ltd.     18,666  
    20,700     Sakai Moving Service Co. Ltd.     371,715  
    80,700     Sakata INX Corp.     1,188,263  
    52,200     San-Ai Obbli Co. Ltd.     695,904  
    97,000     Sankyo Co. Ltd.     982,545  
    91,200     Sankyu, Inc.     5,138,883  
    5,200     Sanwa Holdings Corp.     118,586  
    30,600     SBI Holdings, Inc.     559,824  
    7,400     SCREEN Holdings Co. Ltd. (a)     516,201  
    344,100     Sega Sammy Holdings, Inc.     4,989,829  
    101,400     Seiko Epson Corp. (a)     1,865,054  
    262,200     Sekisui Chemical Co. Ltd.     3,770,609  
    166,700     Sekisui House Ltd.     3,499,944  
    5,000     Sekisui Jushi Corp.     66,638  
    4,000     Shibuya Corp.     97,447  
    42,700     Shinagawa Refra Co. Ltd.     514,257  
    5,900     Shin-Etsu Polymer Co. Ltd.     83,965  
    45,600     Shinnihon Corp.     647,273  
    316,500     Shionogi & Co. Ltd. (a)     5,952,676  
    285,900     Ship Healthcare Holdings, Inc.     3,745,208  
    4,000     Showa Sangyo Co. Ltd.     79,866  
    1,600     Sinanen Holdings Co. Ltd.     76,295  
    13,800     SMS Co. Ltd. (b)     173,136  
    21,200     Socionext, Inc. (a)     350,253  
    19,500     SoftBank Group Corp. (b)     917,320  
    72,900     Sojitz Corp.     2,467,872  
    48,100     Starts Corp., Inc.     1,370,054  
    314,600     Subaru Corp.     4,774,486  
    221,700     SUMCO Corp.     5,561,077  
    61,400     Sumitomo Corp.     2,707,579  
    39,900     Sumitomo Electric Industries Ltd.     3,077,514  
    372,000     Sumitomo Forestry Co. Ltd. (a)     3,048,655  
    194,800     Sumitomo Mitsui Financial Group, Inc. (a)     7,104,915  
    148,500     Sumitomo Mitsui Trust Group, Inc.     5,115,420  
    4,000     Sundrug Co. Ltd.     91,052  
    77,800     Suntory Beverage & Food Ltd. (a)     2,101,527  
    30,400     Suzuki Motor Corp.     376,475  
    99,900     Sysmex Corp.     873,554  
    181,000     T&D Holdings, Inc. (a)     4,760,953  
    3,400     Takasago International Corp.     23,954  
    39,200     TDK Corp.     1,015,371  
    4,300     Tokai Rika Co. Ltd.     79,054  
    1,000     Token Corp.     80,293  
    1,600     Tokyo Electron Ltd.     536,599  

Shares
    Description   Value ($)  
          Japan — continued      
    52,700     Tokyo Gas Co. Ltd. (b)     2,106,911  
    106,800     Tokyo Steel Manufacturing Co. Ltd.     1,176,627  
    354,600     Tosei Corp.     3,576,761  
    70,600     Tosoh Corp.     1,217,100  
    162,600     TOTO Ltd. (a)     7,820,466  
    4,600     Towa Pharmaceutical Co. Ltd.     113,964  
    178,600     Toyo Tire Corp.     4,247,122  
    82,500     Toyoda Gosei Co. Ltd.     2,499,298  
    15,800     Toyota Boshoku Corp.     226,864  
    86,500     Toyota Motor Corp.     1,636,381  
    153,000     Toyota Tsusho Corp. (a) (b)     6,666,069  
    1,200     Transcosmos, Inc. (b)     29,316  
    6,500     TRE Holdings Corp. (a) (b)     67,358  
    15,100     Tsubakimoto Chain Co.     255,549  
    3,800     Tsuburaya Fields Holdings, Inc.     33,008  
    10,300     Tsugami Corp.     407,776  
    10,400     Tsumura & Co.     248,617  
    176,400     Umios Corp.     1,400,726  
    5,500     Unipres Corp.     44,741  
    142,400     Valqua Ltd. (a)     7,323,036  
    3,000     Warabeya Nichiyo Holdings Co. Ltd.     50,092  
    4,700     WingArc1st, Inc.     74,816  
    80,200     YAMABIKO Corp.     1,966,040  
    470,200     Yamaha Corp.     3,410,781  
    122,300     Yamaha Motor Co. Ltd. (a)     1,006,433  
    23,300     Yamazen Corp.     254,199  
    9,900     Yellow Hat Ltd.     102,821  
    1,600     Yokogawa Bridge Holdings Corp.     28,239  
    2,500     Yokogawa Electric Corp.     78,472  
    20,700     Yokohama Rubber Co. Ltd.     933,130  
    19,800     Yuasa Co. Ltd.     704,507  
     

 

 

 
    Total Japan     422,929,122  
     

 

 

 
          Kuwait — 0.1%      
    946,737     A’ayan Leasing & Investment Co. KSCP     844,444  
    64,027     Combined Group Contracting Co. SAK     196,670  
    11,971     Mobile Telecommunications Co. KSCP     23,104  
    9,435     National Mobile Telecommunications Co. KSCC     57,797  
    832,579     Noor Financial Investment Co. KSC     1,098,942  
     

 

 

 
    Total Kuwait     2,220,957  
     

 

 

 
          Mexico — 0.2%      
    329,721     Cemex SAB de CV Sponsored ADR     4,316,048  
    369,087     Gentera SAB de CV     912,445  
    19,685     Unifin Financiera SAB de CV * (d)      
     

 

 

 
    Total Mexico     5,228,493  
     

 

 

 
          Netherlands — 1.9%      
    59,379     ABN AMRO Bank NV     2,359,800  
    347,824     Aegon Ltd. (a)     2,950,274  
    49,751     Akzo Nobel NV     3,775,856  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          Netherlands — continued      
    254     ASM International NV     265,027  
    4,867     ASML Holding NV (Registered) (a)     7,849,303  
    4,763     ASR Nederland NV (a)     356,550  
    9,661     Brunel International NV (a)     80,651  
    26,249     DSM-Firmenich AG     2,205,738  
    24,974     EXOR NV     1,944,889  
    171,595     ING Groep NV     5,315,227  
    4,378     JDE Peet’s NV (e)     162,591  
    16,502     Koninklijke Ahold Delhaize NV (b)     695,347  
    36,491     Koninklijke BAM Groep NV     472,649  
    258,122     Koninklijke KPN NV (a)     1,344,570  
    93,906     NN Group NV     7,838,923  
    15,038     Randstad NV (b)     461,046  
    72,837     SBM Offshore NV     2,776,132  
    115,103     Signify NV (a)     2,787,405  
     

 

 

 
    Total Netherlands     43,641,978  
     

 

 

 
          New Zealand — 0.0%      
    106,452     Meridian Energy Ltd. (a)     373,683  
     

 

 

 
          Norway — 1.0%      
    11,391     Aker BP ASA     409,798  
    232,169     Aker Solutions ASA     1,070,318  
    34,597     Austevoll Seafood ASA     332,030  
    12,849     Bakkafrost P     636,186  
    3,767     Bluenord ASA     213,157  
    4,703     BW LPG Ltd.     92,563  
    23,216     Cadeler AS *     149,621  
    64,581     DOF Group ASA     834,362  
    166,743     Elkem ASA *     581,012  
    228,251     Equinor ASA     8,251,184  
    12,809     Europris ASA     128,197  
    90,051     Hoegh Autoliners ASA     1,332,703  
    55,164     MPC Container Ships ASA     144,523  
    259,972     Norsk Hydro ASA     3,179,397  
    46,539     Odfjell Drilling Ltd.     442,310  
    128,899     Orkla ASA     1,358,459  
    10,505     Stolt-Nielsen Ltd.     333,708  
    10,230     TGS ASA     167,099  
    56,005     Var Energi ASA     275,727  
    90,140     Wallenius Wilhelmsen ASA     1,159,892  
    28,909     Yara International ASA     1,569,430  
     

 

 

 
    Total Norway     22,661,676  
     

 

 

 
          Pakistan — 0.0%      
    192,017     Oil & Gas Development Co. Ltd.     228,039  
     

 

 

 
          Philippines — 0.0%      
    6,620     GT Capital Holdings, Inc.     51,562  
    1,379,100     LT Group, Inc.     353,616  
    1,469,024     Megaworld Corp.     49,582  
    32,700     Robinsons Retail Holdings, Inc.     24,524  
     

 

 

 
    Total Philippines     479,284  
     

 

 

 

Shares
    Description   Value ($)  
          Poland — 0.3%      
    182,717     ORLEN SA     7,141,514  
    184,913     PGE Polska Grupa Energetyczna SA *     538,814  
    13,993     Powszechny Zaklad Ubezpieczen SA     248,493  
     

 

 

 
    Total Poland     7,928,821  
     

 

 

 
          Portugal — 0.1%      
    69,960     EDP SA     356,282  
    72,074     Navigator Co. SA (a)     285,466  
    91,650     NOS SGPS SA     562,996  
    118,455     REN - Redes Energeticas Nacionais SGPS SA     489,063  
    441,351     Sonae SGPS SA     980,150  
     

 

 

 
    Total Portugal     2,673,957  
     

 

 

 
          Russia — 0.0%      
    376,870,000     Federal Grid Co-Rosseti PJSC * (d) (f)      
    4,924,596     Gazprom PJSC * (d) (f)      
    1,279,700     GMK Norilskiy Nickel PAO * (d) (f)      
    18,204,300     Inter RAO UES PJSC * (d) (f)      
    88,304     LSR Group PJSC * (d) (f)      
    4     LSR Group PJSC GDR * (d) (f)      
    7,545,000     Mosenergo PJSC * (d) (f)      
    31,180     Novatek PJSC * (d) (f)      
    3,493,400     Novolipetsk Steel PJSC * (d) (f)      
    6,115     PhosAgro PJSC * (d) (f)      
    118     PhosAgro PJSC GDR * (d) (f)      
    1     Polyus PJSC GDR * (d) (f)      
    261,549     Severstal PAO GDR (Registered) * (d) (f)      
    29,090     SFI PJSC * (d) (f)      
    986,916     Tatneft PJSC * (d) (f)      
    725,480     Unipro PAO * (d) (f)      
    55,470     United Co. RUSAL International PJSC * (d) (f)      
    1     VTB Bank PJSC * (d) (f)      
     

 

 

 
    Total Russia      
     

 

 

 
          Saudi Arabia — 0.4%      
    3,821     Banque Saudi Fransi     19,566  
    12,324     Etihad Etisalat Co.     210,200  
    183,650     Riyad Bank     987,375  
    33,295     SABIC Agri-Nutrients Co.     1,215,480  
    57,938     Saudi Awwal Bank     522,740  
    386,025     Saudi National Bank     4,106,984  
    112,910     Saudi Telecom Co.     1,320,378  
     

 

 

 
    Total Saudi Arabia     8,382,723  
     

 

 

 
          Singapore — 0.6%      
    92,400     Bumitama Agri Ltd.     112,036  
    74,000     ComfortDelGro Corp. Ltd. (a)     74,743  
    122,400     First Real Estate Investment Trust – (REIT) (a)     22,070  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          Singapore — continued      
    188,800     First Resources Ltd.     391,208  
    767,400     Golden Agri-Resources Ltd.     165,304  
    17,514     Hafnia Ltd.     135,202  
    158,100     Oversea-Chinese Banking Corp. Ltd.     2,901,834  
    55,900     Sheng Siong Group Ltd.     133,562  
    106,800     StarHub Ltd. (a)     86,177  
    24,800     United Overseas Bank Ltd.     730,660  
    37,400     UOL Group Ltd.     297,489  
    48,700     Venture Corp. Ltd.     686,848  
    75,500     Wilmar International Ltd.     212,409  
    431,700     Yangzijiang Financial Holding Ltd. *     81,117  
    2,434,177     Yangzijiang Shipbuilding Holdings Ltd.     6,944,487  
     

 

 

 
    Total Singapore     12,975,146  
     

 

 

 
          South Africa — 0.1%      
    25,533     Exxaro Resources Ltd.     341,065  
    2,056,021     Old Mutual Ltd.     1,629,312  
    46,776     Sibanye Stillwater Ltd.     139,878  
    2,594     Valterra Platinum Ltd.     214,197  
     

 

 

 
    Total South Africa     2,324,452  
     

 

 

 
          South Korea — 4.0%      
    5,533     CS Wind Corp.     174,495  
    19,992     Doosan Bobcat, Inc.     855,266  
    8,469     GS Holdings Corp.     407,671  
    19,861     Hana Financial Group, Inc.     1,519,786  
    23,202     Hankook Tire & Technology Co. Ltd.     1,028,324  
    53,911     HMM Co. Ltd.     699,401  
    28,918     Hyundai Glovis Co. Ltd.     4,658,675  
    28,846     Hyundai Mobis Co. Ltd.     14,689,480  
    102,889     Kia Corp.     11,542,105  
    3,826     Korea Electric Power Corp.     99,390  
    812     Krafton, Inc.     138,728  
    9,673     KT&G Corp.     1,181,515  
    15,315     LG Corp.     1,490,924  
    70,141     LG Electronics, Inc.     13,675,705  
    7,908     POSCO Holdings, Inc. Sponsored ADR (a)     560,677  
    5,302     ROKIT Healthcare, Inc. *     192,802  
    75,115     Samsung E&A Co. Ltd.     2,628,814  
    88,309     Samsung Electronics Co. Ltd.     18,526,666  
    246     Samsung Electronics Co. Ltd. GDR (Registered)     1,305,000  
    1,277     Samsung SDS Co. Ltd.     254,108  
    40,424     Shinhan Financial Group Co. Ltd.     2,514,464  
    5,440     SK Hynix, Inc.     8,470,120  
    5,836     SK Square Co. Ltd.     4,839,318  
    117,687     Woori Financial Group, Inc.     2,327,466  
     

 

 

 
    Total South Korea     93,780,900  
     

 

 

 
          Spain — 1.9%      
    71,359     Acerinox SA     1,318,038  

Shares
    Description   Value ($)  
          Spain — continued      
    32,149     Atresmedia Corp. de Medios de Comunicacion SA (a)     193,378  
    663,706     Banco Bilbao Vizcaya Argentaria SA     15,501,953  
    134,691     Banco de Sabadell SA (a)     455,399  
    776,379     Banco Santander SA     9,709,272  
    58,685     CaixaBank SA     792,339  
    8,599     CIE Automotive SA     295,026  
    1,514     Faes Farma SA     8,215  
    9,668     Iberdrola SA (b)     219,481  
    10,966     Indra Sistemas SA (b)     729,195  
    815,397     Mapfre SA (a)     3,812,848  
    47,480     Prosegur Cia de Seguridad SA (b)     146,143  
    12,298     Puig Brands SA – Class B     230,788  
    346,247     Repsol SA     8,940,194  
    579,860     Unicaja Banco SA     1,937,555  
     

 

 

 
    Total Spain     44,289,824  
     

 

 

 
          Sweden — 0.8%      
    31,547     AcadeMedia AB (b)     350,419  
    52,927     Boliden AB     3,295,641  
    47,422     Essity AB – Class B (a)     1,330,039  
    54,347     Husqvarna AB – Class B (a)     255,079  
    13,518     Industrivarden AB – A Shares     766,658  
    13,934     Industrivarden AB – C Shares (a)     761,913  
    123,285     Investor AB – B Shares (b)     5,065,958  
    15,590     Peab AB – Class B     153,222  
    35,323     Skanska AB – B Shares     955,662  
    59,467     SKF AB – B Shares (a)     1,559,786  
    57,257     SSAB AB – B Shares     588,809  
    45,353     Svenska Cellulosa AB SCA – Class B     498,886  
    229,322     Telefonaktiebolaget LM Ericsson – B Shares     2,990,404  
    13,092     Volvo AB – B Shares (b)     460,920  
     

 

 

 
    Total Sweden     19,033,396  
     

 

 

 
          Switzerland — 1.1%      
    43,046     ABB Ltd. (Registered) (b)     4,602,794  
    58,681     Adecco Group AG (Registered) (b)     1,241,830  
    1,156     Implenia AG (Registered)     89,869  
    7,492     Logitech International SA (Registered)     910,465  
    9,446     Mobilezone Holding AG (Registered)     180,479  
    48,349     Nestle SA (Registered) (b)     4,905,682  
    15,993     Novartis AG (Registered)     2,405,508  
    12,525     Novartis AG Sponsored ADR (a)     1,880,879  
    10,520     Roche Holding AG     4,426,291  
    1,655     Roche Holding AG – Class BR     711,792  
    5,505     Sandoz Group AG ADR     463,081  
    938     Swatch Group AG – Class BR     259,671  
    947     Swisscom AG (Registered) (b)     810,577  
    34,276     UBS Group AG (Registered) (b)     1,618,713  
     

 

 

 
    Total Switzerland     24,507,631  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          Taiwan — 4.1%      
    664,000     AcBel Polytech, Inc.     1,257,811  
    59,000     ASE Technology Holding Co. Ltd.     1,127,215  
    115,000     Asustek Computer, Inc.     2,774,325  
    48,000     ChipMOS Technologies, Inc.     170,709  
    1,018,000     Compal Electronics, Inc.     1,184,234  
    1,500,000     Evergreen Marine Corp. Taiwan Ltd.     10,186,925  
    654,000     Hannstar Board Corp.     1,766,720  
    513,406     Hon Hai Precision Industry Co. Ltd.     4,699,614  
    175,000     KGI Financial Holding Co. Ltd.     125,535  
    142,000     Lite-On Technology Corp.     1,048,883  
    20,000     Longwell Co.     219,499  
    214,000     Pegatron Corp.     603,746  
    3,468,566     Pou Chen Corp.     2,816,059  
    446,000     Powertech Technology, Inc.     5,326,399  
    195,000     Realtek Semiconductor Corp.     3,594,223  
    553,000     Taiwan Semiconductor Manufacturing Co. Ltd.     40,969,157  
    1,000     TCI Co. Ltd.     3,807  
    147,000     Tripod Technology Corp.     2,422,969  
    1,920,000     United Microelectronics Corp.     8,643,741  
    308,000     Wan Hai Lines Ltd.     805,851  
    7,000     Wistron Corp.     35,043  
    135,000     WPG Holdings Ltd.     507,605  
    128,000     Yageo Corp.     2,978,049  
    618,000     Yang Ming Marine Transport Corp.     1,039,181  
    305,000     Yuanta Financial Holding Co. Ltd.     579,750  
    112,000     YungShin Global Holding Corp.     199,687  
    4,000     Zhen Ding Technology Holding Ltd.     65,284  
     

 

 

 
    Total Taiwan     95,152,021  
     

 

 

 
          Thailand — 1.3%      
    1,527,100     3BB Internet Infrastructure Fund – Class F     302,043  
    674,600     AP Thailand PCL NVDR     151,271  
    1,226,900     Banpu PCL NVDR     215,378  
    830,500     Digital Telecommunications Infrastructure Fund – Class F     253,987  
    59,400     GFPT PCL NVDR     15,608  
    966,500     Kasikornbank PCL NVDR     5,965,913  
    8,194,000     Krung Thai Bank PCL NVDR     8,744,176  
    382,600     Mega Lifesciences PCL NVDR     422,705  
    1,582,400     PTT Exploration & Production PCL NVDR     6,886,137  
    2,748,800     PTT PCL NVDR     3,062,354  
    438,600     Regional Container Lines PCL NVDR     424,457  
    374,000     SCB X PCL NVDR     1,544,859  
    850,600     Thai Oil PCL NVDR     1,208,259  
    46,900     Thai Vegetable Oil PCL NVDR     35,966  
    240,900     TOA Paint Thailand PCL NVDR     90,446  
     

 

 

 
    Total Thailand     29,323,559  
     

 

 

 

Shares
    Description   Value ($)  
          Turkey — 0.1%      
    182,181     Anadolu Efes Biracilik Ve Malt Sanayii AS     76,131  
    93,060     BIM Birlesik Magazalar AS     747,488  
    53,317     Migros Ticaret AS     756,441  
    236,741     Turk Hava Yollari AO     1,519,492  
     

 

 

 
    Total Turkey     3,099,552  
     

 

 

 
          Ukraine — 0.0%      
    36,516     Kernel Holding SA *     194,102  
     

 

 

 
          United Arab Emirates — 0.1%      
    230,415     Emirates NBD Bank PJSC     1,744,998  
    120,444     First Abu Dhabi Bank PJSC     555,013  
     

 

 

 
    Total United Arab Emirates     2,300,011  
     

 

 

 
          United Kingdom — 3.6%      
    200,530     3i Group PLC     6,090,056  
    141,026     Aberdeen Group PLC     470,012  
    32,447     Anglo American PLC     1,736,477  
    41,172     Associated British Foods PLC (a) (b)     1,007,532  
    35,970     Barratt Redrow PLC (a)     126,729  
    3,391     Berkeley Group Holdings PLC *     156,277  
    396,138     BP PLC (b)     2,798,107  
    30,213     British American Tobacco PLC Sponsored ADR (a)     1,866,861  
    3,698,773     BT Group PLC     10,372,341  
    17,905     DCC PLC     1,444,496  
    51,704     Drax Group PLC     549,372  
    30,601     Evraz PLC * (d) (f)      
    45,792     Ferrexpo PLC * (e)     17,934  
    219,925     Glencore PLC *     1,672,616  
    18,700     Global Ship Lease, Inc. – Class A     681,241  
    227,316     GSK PLC Sponsored ADR     11,488,551  
    104,467     GSK PLC     2,641,617  
    12,278     Halfords Group PLC     28,713  
    667,655     Harbour Energy PLC     2,364,105  
    72,327     HSBC Holdings PLC (b)     1,358,173  
    32,988     Imperial Brands PLC (b)     1,196,199  
    27,836     International Personal Finance PLC     93,019  
    413,488     ITV PLC     451,961  
    1,375,708     JD Sports Fashion PLC (a) (b)     1,557,475  
    119,004     Jupiter Fund Management PLC     256,284  
    14,213     Keller Group PLC     454,602  
    587,918     Kingfisher PLC     2,270,046  
    68,000     Lifezone Metals Ltd. *     357,000  
    12,776     Lion Finance Group PLC     1,906,340  
    230,478     Man Group PLC     850,640  
    14,277     Morgan Sindall Group PLC     875,400  
    81,718     NatWest Group PLC     657,236  
    102,347     OSB Group PLC     709,602  
    34,541     Paragon Banking Group PLC     354,885  
    11,664     Plus500 Ltd.     692,698  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          United Kingdom — continued      
    91,618     Rio Tinto PLC Sponsored ADR (a)     9,747,239  
    15,526     Rio Tinto PLC     1,649,038  
    49,103     Shell PLC (b)     2,074,864  
    11,525     Shell PLC ADR (b)     969,483  
    5,359     TBC Bank Group PLC     324,224  
    4,763     Unilever PLC Sponsored ADR (b)     268,871  
    42,219     Vesuvius PLC     264,761  
    494,243     Vodafone Group PLC Sponsored ADR (b)     7,393,875  
    287,560     Vodafone Group PLC (b)     432,123  
    80,576     Zigup PLC     509,024  
     

 

 

 
    Total United Kingdom     83,188,099  
     

 

 

 
          United States — 15.8%      
    2,407     A.O. Smith Corp. (a)     136,525  
    2,225     Abercrombie & Fitch Co. – Class A * (a)     171,815  
    7,780     Academy Sports & Outdoors, Inc.     410,783  
    10,863     Accenture PLC – Class A (a) (b)     2,032,141  
    12,988     Adobe, Inc. * (b)     3,366,620  
    3,100     Advanced Drainage Systems, Inc. (a)     431,396  
    23,298     Aemetis, Inc. *     59,410  
    5,946     Aflac, Inc. (a)     668,449  
    10,000     AGCO Corp. (a)     1,122,800  
    15,800     Albemarle Corp. (a)     2,787,436  
    23,880     Albertsons Cos., Inc. – Class A (a)     372,767  
    6,200     Alcoa Corp. (a)     481,368  
    22,942     Allstate Corp. (a)     4,728,117  
    159     Alphabet, Inc. – Class A (a)     60,474  
    3,323     Amazon.com, Inc. * (a)     899,337  
    33,993     Ameresco, Inc. – Class A *     1,223,068  
    3,570     American Express Co. (a)     1,129,798  
    8,056     American International Group, Inc. (a)     597,997  
    571     Ameriprise Financial, Inc.     254,500  
    38,140     APA Corp. (a)     1,389,440  
    14,633     Arch Capital Group Ltd. * (a)     1,307,312  
    9,658     Archer-Daniels-Midland Co. (b)     770,515  
    203,090     Array Technologies, Inc. * (a)     1,844,057  
    417     Arrow Electronics, Inc. * (a)     89,501  
    91,649     AT&T, Inc. (a)     2,272,895  
    4,448     Atlassian Corp. – Class A * (a)     478,649  
    2,817     Autoliv, Inc. (a)     358,097  
    1,005     AutoNation, Inc. *     188,659  
    9,312     Avnet, Inc. (a)     809,492  
    120,228     Bank of America Corp. (a) (b)     6,203,765  
    7,962     Bath & Body Works, Inc. (a)     159,399  
    884     Becton Dickinson & Co.     130,054  
    894     Berkshire Hathaway, Inc. – Class B *     424,185  
    55,633     Best Buy Co., Inc. (b)     4,336,592  
    11,385     Block, Inc. *     862,072  
    12,458     Blue Owl Capital Corp. (a)     140,277  
    1,828     Booz Allen Hamilton Holding Corp. (a)     144,741  
    1,814     BorgWarner, Inc. (a)     130,281  
    3,358     Bread Financial Holdings, Inc.     299,097  

Shares
    Description   Value ($)  
          United States — continued      
    40,556     Bristol-Myers Squibb Co.     2,318,992  
    7,389     Brown-Forman Corp. – Class B (a)     190,045  
    38,096     Builders FirstSource, Inc. * (a)     2,905,201  
    35,400     California Resources Corp. (a)     2,098,866  
    24,286     Capital One Financial Corp. (a) (b)     4,564,068  
    2,986     Carrier Global Corp. (a)     190,716  
    1,210     CBRE Group, Inc. – Class A * (b)     151,298  
    3,376     CDW Corp.     423,519  
    5,672     Chevron Corp.     1,034,913  
    1,300     Chord Energy Corp. (a)     171,431  
    2,980     Chubb Ltd. (b)     928,955  
    18,970     Cigna Group (a)     5,262,278  
    7,824     Cisco Systems, Inc. (a)     942,166  
    49,843     Citigroup, Inc. (a) (b)     6,275,234  
    149,841     Clean Energy Fuels Corp. * (a)     305,676  
    262,046     CNH Industrial NV (a)     2,675,490  
    70,985     Cognizant Technology Solutions Corp. – Class A (a) (b)     3,957,769  
    5,411     Colgate-Palmolive Co. (a)     487,693  
    172,001     Comcast Corp. – Class A (a) (b)     4,277,665  
    3,506     Commercial Metals Co. (a)     266,631  
    28,065     ConocoPhillips (a)     3,198,849  
    61,908     Corebridge Financial, Inc. (a)     1,671,516  
    9,300     Corteva, Inc. (a)     728,004  
    1,368     Covista, Inc. * (a)     161,150  
    14,700     Crescent Energy Co. – Class A (a)     169,932  
    2,295     CRH PLC (a)     249,673  
    5,132     Crocs, Inc. * (a)     609,014  
    63,306     CVS Health Corp. (a)     5,759,580  
    52,900     Darling Ingredients, Inc. * (a)     3,126,390  
    12,756     Deckers Outdoor Corp. * (a)     1,452,271  
    640     Deere & Co. (a)     346,995  
    13,166     Dell Technologies, Inc. – Class C (a)     5,541,701  
    61,956     Delta Air Lines, Inc. (a)     5,110,131  
    15,658     Devon Energy Corp. (a)     696,624  
    2,446     Dollar General Corp.     270,552  
    28,103     DR Horton, Inc. (a)     4,133,670  
    11,319     Dropbox, Inc. – Class A * (a)     304,255  
    8,208     DXC Technology Co. * (a)     81,341  
    2,047     Eastman Chemical Co. (a)     155,306  
    42,447     eBay, Inc. (a) (b)     4,638,184  
    15,999     Edison International (b)     1,118,970  
    10,340     Elevance Health, Inc.     4,065,585  
    2,873     Enova International, Inc. * (a)     464,018  
    19,355     EOG Resources, Inc. (a)     2,581,570  
    14,900     EQT Corp. (a)     818,457  
    7,845     Everest Group Ltd. (a)     2,542,015  
    9,922     Expand Energy Corp. (a)     922,455  
    789     Expedia Group, Inc. (a)     178,148  
    24,775     Exxon Mobil Corp. (a)     3,598,817  
    1,590     Federated Hermes, Inc. (a)     89,135  
    1,731     FedEx Corp. (a) (b)     712,739  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          United States — continued      
    6,558     Fifth Third Bancorp (a)     327,441  
    2,926     First Solar, Inc. *     897,668  
    2,321     Fiserv, Inc. *     131,276  
    366,526     Ford Motor Co. (a)     6,392,213  
    8,887     Fortune Brands Innovations, Inc. (a)     346,060  
    5,213     Fox Corp. – Class A (a)     333,215  
    17,740     Fox Corp. – Class B     1,018,099  
    10,236     Franklin Resources, Inc. (a)     317,521  
    13,500     Freeport-McMoRan, Inc. (a)     887,085  
    9,534     Gap, Inc. (b)     201,644  
    2,206     Gartner, Inc. *     357,813  
    48,603     GE HealthCare Technologies, Inc. (a)     3,029,911  
    10,566     Gen Digital, Inc. (a)     272,497  
    91,610     General Mills, Inc. (a)     3,097,334  
    65,460     General Motors Co. (a)     5,448,890  
    5,423     Genpact Ltd. (b)     178,688  
    1,837     Gilead Sciences, Inc. (a)     246,948  
    6,886     Global Payments, Inc. (a)     519,962  
    75,814     Green Plains, Inc. * (a)     1,188,005  
    626     Group 1 Automotive, Inc. (a)     198,029  
    4,600     Gulfport Energy Corp. *     775,514  
    24,534     H&R Block, Inc. (b)     944,314  
    17,347     Halliburton Co. (a)     673,931  
    14,128     Hartford Insurance Group, Inc. (a)     1,796,093  
    156,973     Hewlett Packard Enterprise Co. (a)     6,756,118  
    178,858     HP, Inc. (a)     4,836,320  
    5,239     Humana, Inc. (a)     1,600,095  
    31,631     Huntington Bancshares, Inc. (a)     517,483  
    45,037     Incyte Corp. * (a)     4,356,879  
    2,214     Ingredion, Inc. (a)     224,588  
    8,146     International Business Machines Corp. (a)     2,425,879  
    636     Intuit, Inc. (b)     210,853  
    7,896     Janus Henderson Group PLC     408,302  
    12,530     Johnson & Johnson (a)     2,823,385  
    7,958     JPMorgan Chase & Co. (b)     2,381,909  
    9,098     KB Home (a)     444,528  
    30,917     Kenvue, Inc. (b)     534,246  
    12,905     Keurig Dr. Pepper, Inc. (a)     387,537  
    5,769     Kimberly-Clark Corp. (b)     563,054  
    3,695     Kinder Morgan, Inc. (a)     114,841  
    528,058     Kosmos Energy Ltd. * (a)     1,478,562  
    138,392     Kraft Heinz Co. (a)     3,322,792  
    12,884     Kroger Co. (a) (b)     800,741  
    1,127     Lear Corp.     161,296  
    1,600     Leidos Holdings, Inc. (a)     204,480  
    37,087     Lennar Corp. – Class A (a)     3,329,671  
    12,825     LKQ Corp. (a)     347,814  
    22,784     Lululemon Athletica, Inc. * (a)     2,988,805  
    15,568     LyondellBasell Industries NV – Class A     1,037,607  
    2,970     M&T Bank Corp. (a)     641,847  
    805     M/I Homes, Inc. * (a)     105,954  
    36,928     Macy’s, Inc. (a)     803,553  

Shares
    Description   Value ($)  
          United States — continued      
    1,383     Marathon Petroleum Corp.     344,049  
    2,800     Matador Resources Co. (a)     150,080  
    34,877     Match Group, Inc.     1,260,106  
    21,262     Mattel, Inc. * (a)     317,654  
    48,705     Merck & Co., Inc. (a)     5,782,258  
    4,199     Meritage Homes Corp.     273,943  
    16,443     Meta Platforms, Inc. – Class A (b)     10,400,362  
    8,578     MetLife, Inc. (a) (b)     709,315  
    18,613     MGIC Investment Corp.     469,420  
    20,707     Microsoft Corp. (b)     9,323,120  
    11,654     Mondelez International, Inc. – Class A (b)     712,875  
    6,617     Mosaic Co.     158,146  
    5,514     NetApp, Inc.     961,035  
    5,517     Neurocrine Biosciences, Inc. *     873,341  
    190     NewMarket Corp. (a)     146,980  
    4,200     Nextpower, Inc. – Class A * (a)     656,880  
    4,389     NIKE, Inc. – Class B (a)     202,903  
    3,900     Noble Corp. PLC (a)     181,272  
    3,395     Northrop Grumman Corp. (a)     1,913,694  
    9,000     NOV, Inc. (a)     179,640  
    22,605     Nucor Corp. (a)     5,651,250  
    870     NXP Semiconductors NV (a)     279,575  
    36,152     Omnicom Group, Inc. (a)     2,628,612  
    807     Oshkosh Corp.     104,910  
    4,300     Ovintiv, Inc. (a)     240,972  
    2,451     Paycom Software, Inc. (a)     342,331  
    100,277     PayPal Holdings, Inc. (a)     4,487,396  
    8,600     Peabody Energy Corp. (a)     232,630  
    8,849     PepsiCo, Inc. (a) (b)     1,275,937  
    6,714     Perdoceo Education Corp. (b)     217,399  
    20,600     Permian Resources Corp. – Class A (a)     396,138  
    224,403     Pfizer, Inc.     5,874,871  
    891     Phillips 66     156,709  
    159,788     Pinterest, Inc. – Class A * (a)     3,203,749  
    6,130     PNC Financial Services Group, Inc. (a) (b)     1,355,466  
    3,213     PPG Industries, Inc. (a)     363,005  
    15,191     Procter & Gamble Co. (a)     2,180,820  
    9,578     Progressive Corp. (a) (b)     1,823,651  
    3,075     Prudential Financial, Inc. (a)     309,468  
    30,469     PulteGroup, Inc. (a)     3,600,826  
    4,149     PVH Corp. (a)     387,019  
    35,183     QUALCOMM, Inc. (a)     8,831,637  
    19,999     Radian Group, Inc.     682,966  
    8,236     Regeneron Pharmaceuticals, Inc. (a)     5,063,328  
    41,379     Regions Financial Corp. (a)     1,158,612  
    1,259     ResMed, Inc. (a)     239,928  
    1,416     Roper Technologies, Inc. (a)     460,951  
    3,790     Signet Jewelers Ltd. (a)     331,208  
    5,125     Skyworks Solutions, Inc.     398,981  
    13,204     SLM Corp. (a)     292,072  
    25,500     SM Energy Co. (a)     783,105  
    323     Snap-on, Inc. (a)     119,901  
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          United States — continued      
    18,843     SolarEdge Technologies, Inc. * (a)     1,438,663  
    43,456     Solventum Corp. * (a)     3,257,027  
    17,979     State Street Corp. (a)     2,798,252  
    7,259     Steel Dynamics, Inc. (a)     1,888,429  
    134,201     Sunrun, Inc. * (a)     2,243,841  
    79,526     Super Micro Computer, Inc. * (a)     3,665,353  
    54,049     Synchrony Financial (a)     3,861,261  
    1,161     Sysco Corp. (b)     88,015  
    39,006     T. Rowe Price Group, Inc. (a)     4,077,297  
    37,419     Target Corp. (b)     4,754,832  
    2,143     Terex Corp. (a)     124,680  
    36,090     Textron, Inc. (a)     3,311,618  
    1,803     Timken Co. (a)     230,748  
    633     Toll Brothers, Inc. (a)     87,696  
    48,560     Trade Desk, Inc. – Class A * (a)     1,046,954  
    3,627     Travelers Cos., Inc. (b)     1,058,685  
    160,204     TRU Taj LLC/TRU Taj Finance, Inc. * (d)      
    15,337     Truist Financial Corp. (a)     739,397  
    80,695     U.S. Bancorp (a)     4,426,121  
    30,901     United Airlines Holdings, Inc. * (a) (b)     3,547,435  
    49,362     United Parcel Service, Inc. – Class B (a)     5,266,432  
    7,583     UnitedHealth Group, Inc. (a)     2,883,891  
    11,549     Universal Health Services, Inc. – Class B (a)     1,687,424  
    1,331     Unum Group     110,779  
    580     Valmont Industries, Inc. (a)     301,490  
    134,027     Verizon Communications, Inc. (a) (b)     6,407,831  
    13,380     VICI Properties, Inc. – (REIT) (b)     377,584  
    3,811     Vontier Corp. (a)     108,156  
    2,600     Weatherford International PLC (a)     269,464  
    10,806     Wells Fargo & Co. (a)     837,897  
    50,697     Western Union Co. (a)     412,167  
    13,000     Weyerhaeuser Co. – (REIT) (a)     318,630  
    4,932     YETI Holdings, Inc. * (a)     236,588  
    6,893     Zebra Technologies Corp. – Class A *     1,679,342  
    38,385     Zoom Communications, Inc. * (a) (b)     3,899,532  
    18,038     ZoomInfo Technologies, Inc. *     60,067  
     

 

 

 
    Total United States     367,584,898  
     

 

 

 
          Vietnam — 0.2%      
    171,860     An Binh CJSB *     101,893  
    8,800     Binh Minh Plastics JSC     45,952  
    12,400     Gelex Electric Equipment JSC     48,164  
    3,045     Gelex Group JSC     3,717  
    73,600     IDICO Corp. JSC     121,297  
    1,062     Masan Consumer Corp.     5,441  
    229,800     PetroVietNam Ca Mau Fertilizer JSC     348,083  
    77,400     Petrovietnam Fertilizer & Chemicals JSC     76,229  
    19,700     PetroVietnam Gas JSC     65,482  
    82,200     PetroVietnam Oil Corp.     47,173  
    102,000     Phu Nhuan Jewelry JSC     255,430  
    263,700     Quang Ngai Sugar JSC     477,049  

Shares
    Description   Value ($)  
          Vietnam — continued      
    1,993,840     Saigon - Hanoi Commercial Joint Stock Bank     1,046,409  
    251,300     Saigon Beer Alcohol Beverage Corp.     448,612  
    868,100     Vietnam Dairy Products JSC     1,953,436  
    181,000     Vietnam Engine & Agricultural Machinery Corp.     239,389  
    105,100     Vietnam Prosperity JSC Bank     108,264  
     

 

 

 
    Total Vietnam     5,392,020  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,499,913,215)
    1,705,977,722  
     

 

 

 
          PREFERRED STOCKS (g) — 1.3%  
          Brazil — 0.6%      
    216,000     Banco Bradesco SA ADR     753,840  
    918,300     Bradespar SA     4,232,384  
    1,562,750     Cia Energetica de Minas Gerais     3,333,338  
    95,400     Gerdau SA     430,615  
    101,898     Gerdau SA Sponsored ADR     458,541  
    22,000     Itausa SA     56,346  
    280,600     Petroleo Brasileiro SA - Petrobras     2,336,224  
    202,200     Petroleo Brasileiro SA - Petrobras Sponsored ADR     3,390,894  
     

 

 

 
    Total Brazil     14,992,182  
     

 

 

 
          Chile — 0.1%      
    28,200     Sociedad Quimica y Minera de Chile SA Sponsored ADR     2,421,534  
     

 

 

 
          Germany — 0.3%      
    7,468     Bayerische Motoren Werke AG     649,127  
    15,503     Henkel AG & Co. KGaA (b)     1,203,334  
    54,066     Volkswagen AG *     5,768,819  
     

 

 

 
    Total Germany     7,621,280  
     

 

 

 
          Italy — 0.0%      
    2,006     Danieli & C Officine Meccaniche SpA     116,816  
     

 

 

 
          Russia — 0.0%      
    79,750     Nizhnekamskneftekhim PJSC * (d) (f)      
    12,313     Tatneft PJSC * (d) (f)      
     

 

 

 
    Total Russia      
     

 

 

 
          South Korea — 0.3%      
    42,039     Samsung Electronics Co. Ltd.     5,624,545  
    114     Samsung Electronics Co. Ltd. GDR (Registered)     388,964  
     

 

 

 
    Total South Korea     6,013,509  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $29,993,215)
    31,165,321  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares /
Par Value†
    Description   Value ($)  
    RIGHTS/WARRANTS — 0.0%

 

          Canada — 0.0%  
    724,783     Resolute Forest Products, Inc. * (e)     1,087,174  
     

 

 

 
          United States — 0.0%      
    197,320     Walgreens Boots Alliance, Inc. CVR * (e)     98,660  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $1,127,212)
    1,185,834  
     

 

 

 
          INVESTMENT FUNDS — 3.8%  
          Japan — 0.1%      
    2,544,000     Carlyle ARE Partners II, L.P. (d) (h)     1,436,823  
     

 

 

 
          United States — 3.7%      
    17,211,076     GMO U.S. Treasury Fund, Class VI (i) (j)     86,227,493  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $87,830,312)
    87,664,316  
     

 

 

 
          DEBT OBLIGATIONS — 21.7%  
          Dominican Republic — 0.1%      
          Sovereign and Sovereign Agency Issuers — 0.1%  

DOP

    80,000,000     Dominican Republic International Bonds, Reg S, 13.63%, due 02/03/33     1,610,626  
     

 

 

 
          Kazakhstan — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

KZT

    147,000,000     Development Bank of Kazakhstan JSC, 144A, 16.95%, due 05/08/29     295,715  
     

 

 

 
          Malaysia — 0.1%      
          Sovereign and Sovereign Agency Issuers — 0.1%  

MYR

    8,300,000     Malaysia Government Bonds, 3.90%, due 11/30/26     2,102,810  
     

 

 

 
          Paraguay — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

PYG

    1,930,000,000     Paraguay Government International Bonds, 144A, 8.50%, due 04/04/38     301,788  
     

 

 

 
          Uganda — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

UGX

    1,180,000,000     Republic of Uganda Government Bonds, 15.80%, due 06/23/39     313,605  
     

 

 

 
          United States — 21.5%      
          U.S. Government — 21.5%      
    100,000,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (b)     100,097,133  
Par Value† /
Shares
    Description   Value ($)  
          United States — continued      
          U.S. Government — continued      
    152,900,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.19%, 3.82%, due 10/31/27     153,162,809  
    246,995,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (b)     247,034,356  
     

 

 

 
    Total U.S. Government     500,294,298  
     

 

 

 
    Total United States     500,294,298  
     

 

 

 
          Uruguay — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

UYU

    19,000,000     Uruguay Government International Bonds, 9.75%, due 07/20/33     525,109  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $505,117,949)
    505,443,951  
     

 

 

 
          SHORT-TERM INVESTMENTS — 18.5%  
          Money Market Funds — 0.7%      
    16,764,312     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (k)     16,764,312  
     

 

 

 
          Repurchase Agreements — 17.6%      
    210,000,000     Nomura Securities International, Inc. Repurchase Agreement, dated 05/29/26, maturing on 06/01/26 with a maturity value of $210,063,175 and an effective yield of 3.61%, collateralized by a U.S. Treasury Note with maturity date 10/31/27 and a market value of $214,375,457.     210,000,000  
    200,004,329     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 05/29/26, maturing on 06/01/26 with a maturity value of $200,064,664 and an effective yield of 3.62%, collateralized by a U.S. Treasury Note with maturity date 06/15/28 and a market value of $204,116,259.     200,004,329  
     

 

 

 
    Total Repurchase Agreements     410,004,329  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.2%  

EGP

    94,000,000     Egypt Treasury Bills, Zero Coupon, due 10/20/26     1,651,138  

NGN

    2,359,999,999     Nigeria OMO Bills, Zero Coupon, due 07/07/26     1,686,480  
     

 

 

 
    Total Sovereign and Sovereign Agency Issuers     3,337,618  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $430,168,893)
    430,106,259  
     

 

 

 
    TOTAL INVESTMENTS — 118.6%
(Cost $2,554,150,796)
    2,761,543,403  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          SECURITIES SOLD SHORT — (15.2)%  
          Common Stocks — (15.1)%      
          Australia — (0.5)%      
    (258,589   Lottery Corp. Ltd.     (1,004,503
    (190,411   Lynas Rare Earths Ltd. *     (2,617,863
    (27,502   Pro Medicus Ltd.     (2,614,471
    (328   REA Group Ltd.     (35,088
    (546,641   Sigma Healthcare Ltd.     (1,153,151
    (28,175   WiseTech Global Ltd.     (732,477
    (51,948   Xero Ltd. *     (2,822,780
     

 

 

 
    Total Australia     (10,980,333
     

 

 

 
          Belgium — (0.0)%      
    (71   Lotus Bakeries NV     (909,925
     

 

 

 
          Brazil — (0.1)%      
    (194,951   NU Holdings Ltd. – Class A *     (2,559,707
     

 

 

 
          Canada — (1.0)%      
    (54,100   AltaGas Ltd.     (2,105,295
    (37,832   Brookfield Renewable Corp.     (1,512,523
    (16,941   Cameco Corp.     (1,909,251
    (2,600   Dollarama, Inc.     (332,485
    (6,000   Element Fleet Management Corp.     (119,552
    (34,251   Enbridge, Inc.     (1,874,900
    (7,373   Franco-Nevada Corp.     (1,700,951
    (33,633   GFL Environmental, Inc.     (1,128,051
    (82,500   Keyera Corp.     (3,422,315
    (32,935   Pan American Silver Corp.     (1,876,966
    (44,258   Pembina Pipeline Corp.     (2,060,210
    (13,820   RB Global, Inc.     (1,469,757
    (25,228   Restaurant Brands International, Inc.     (1,884,531
    (1,666   TC Energy Corp.     (110,989
    (9,775   Wheaton Precious Metals Corp.     (1,296,165
     

 

 

 
    Total Canada     (22,803,941
     

 

 

 
          Chile — (0.1)%      
    (27,471   Latam Airlines Group SA ADR     (1,474,643
     

 

 

 
          China — (0.1)%      
    (306,427   NIO, Inc. ADR *     (1,715,991
    (48,194   XPeng, Inc. ADR *     (792,791
     

 

 

 
    Total China     (2,508,782
     

 

 

 
          Denmark — (0.3)%      
    (44,978   Coloplast AS – Class B     (2,761,166
    (6,111   Novonesis Novozymes B – Class B     (355,038
    (15,014   Orsted AS *     (382,640
    (106,812   Tryg AS     (2,510,604
     

 

 

 
    Total Denmark     (6,009,448
     

 

 

 

Shares
    Description   Value ($)  
          France — (0.3)%      
    (13,120   Aeroports de Paris SA     (1,757,937
    (100,458   Getlink SE     (2,195,044
    (1,080   Hermes International SCA     (2,018,226
     

 

 

 
    Total France     (5,971,207
     

 

 

 
          Germany — (0.5)%      
    (68,547   Delivery Hero SE *     (2,936,422
    (25,236   Hensoldt AG     (2,619,997
    (3,276   HOCHTIEF AG     (1,852,129
    (2,134   MTU Aero Engines AG     (778,561
    (454   Rational AG     (347,377
    (531   RWE AG     (33,746
    (10,877   Siemens Energy AG     (2,059,168
    (18,382   Talanx AG     (2,198,785
     

 

 

 
    Total Germany     (12,826,185
     

 

 

 
          Israel — (0.0)%      
    (1,422   Wix.com Ltd. *     (79,717
     

 

 

 
          Italy — (0.3)%      
    (12,003   Ferrari NV (c)     (4,124,361
    (689   Ferrari NV (c)     (234,419
    (120,682   FinecoBank Banca Fineco SpA     (2,944,540
    (728   Prysmian SpA     (125,410
     

 

 

 
    Total Italy     (7,428,730
     

 

 

 
          Japan — (1.3)%      
    (8,400   Advantest Corp.     (1,373,361
    (302,600   Aeon Co. Ltd.     (2,648,565
    (7,100   Asics Corp.     (215,684
    (6,700   Disco Corp.     (2,733,833
    (3,300   Fast Retailing Co. Ltd.     (1,710,180
    (33,700   Fujikura Ltd.     (1,004,277
    (8,100   Ibiden Co. Ltd.     (1,164,522
    (90,800   IHI Corp.     (1,577,774
    (184,600   Japan Exchange Group, Inc.     (2,255,120
    (100   Kobe Bussan Co. Ltd.     (1,701
    (400   Lasertec Corp.     (101,138
    (46,700   Mitsubishi Heavy Industries Ltd.     (1,103,930
    (58,900   MonotaRO Co. Ltd.     (696,141
    (249,500   Oriental Land Co. Ltd.     (3,587,970
    (498,500   Rakuten Group, Inc. *     (2,330,242
    (7,100   Ryohin Keikaku Co. Ltd.     (173,409
    (289,700   Sanrio Co. Ltd.     (1,557,773
    (5,100   Seibu Holdings, Inc.     (90,370
    (69,700   Shiseido Co. Ltd.     (1,228,889
    (2,973,800   SoftBank Corp.     (4,017,795
    (11,900   Zensho Holdings Co. Ltd.     (601,851
     

 

 

 
    Total Japan     (30,174,525
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          Mexico — (0.0)%      
    (1,320   Grupo Aeroportuario del Pacifico SAB de CV ADR     (311,916
     

 

 

 
          Netherlands — (0.4)%      
    (12,018   BE Semiconductor Industries NV     (3,979,229
    (179,843   CVC Capital Partners PLC     (2,874,675
    (7,890   Nebius Group NV *     (1,823,300
     

 

 

 
    Total Netherlands     (8,677,204
     

 

 

 
          Norway — (0.2)%      
    (88,093   Kongsberg Gruppen ASA     (3,155,590
    (31,977   Salmar ASA     (1,986,599
     

 

 

 
    Total Norway     (5,142,189
     

 

 

 
          Peru — (0.1)%      
    (17,910   Southern Copper Corp.     (3,426,246
     

 

 

 
          Singapore — (0.0)%      
    (314,531   Grab Holdings Ltd. – Class A *     (1,113,440
     

 

 

 
          Spain — (0.3)%      
    (73,741   Cellnex Telecom SA *     (2,467,570
    (51,653   Ferrovial NV     (3,532,995
     

 

 

 
    Total Spain     (6,000,565
     

 

 

 
          Sweden — (0.2)%      
    (94,520   EQT AB     (3,250,947
    (3,652   Spotify Technology SA *     (1,817,527
     

 

 

 
    Total Sweden     (5,068,474
     

 

 

 
          Switzerland — (0.2)%      
    (34,117   Avolta AG     (2,143,860
    (46   Chocoladefabriken Lindt & Spruengli AG     (548,062
    (87   Partners Group Holding AG     (91,791
    (996   VAT Group AG     (777,664
     

 

 

 
    Total Switzerland     (3,561,377
     

 

 

 
          United Kingdom — (0.7)%      
    (21,826   Antofagasta PLC     (1,202,338
    (83,212   Entain PLC     (595,444
    (236,054   Informa PLC     (2,564,605
    (24,767   InterContinental Hotels Group PLC     (3,798,049
    (18,443   London Stock Exchange Group PLC     (2,231,590
    (20,728   Rolls-Royce Holdings PLC     (372,934
    (59,494   Severn Trent PLC     (2,372,259
    (204,525   Standard Life PLC     (2,127,934
    (174,363   Wise Group PLC – Class A *     (2,184,347
     

 

 

 
    Total United Kingdom     (17,449,500
     

 

 

 
          United States — (8.5)%      
    (14,431   AbbVie, Inc.     (3,141,917

Shares
    Description   Value ($)  
          United States — continued      
    (68,265   Affirm Holdings, Inc. *     (5,027,717
    (671   Air Products & Chemicals, Inc.     (186,954
    (9,878   Alnylam Pharmaceuticals, Inc. *     (2,982,958
    (3,294   Analog Devices, Inc.     (1,363,222
    (7,465   AppLovin Corp. – Class A *     (4,576,717
    (4,319   Arthur J Gallagher & Co.     (868,594
    (28,434   AST SpaceMobile, Inc. *     (3,224,700
    (8,737   Axon Enterprise, Inc. *     (3,920,467
    (6,716   Bloom Energy Corp. – Class A *     (1,914,060
    (16,015   Boeing Co. *     (3,701,867
    (10,521   Burlington Stores, Inc. *     (3,407,015
    (47,075   Carvana Co. *     (3,436,475
    (3,546   Ciena Corp. *     (2,057,496
    (13,849   Cintas Corp.     (2,371,780
    (14,603   Cloudflare, Inc. – Class A *     (3,531,298
    (2,443   Coherent Corp. *     (883,071
    (13,955   CoreWeave, Inc. – Class A *     (1,528,491
    (10,578   Corning, Inc.     (1,916,311
    (117   Costco Wholesale Corp.     (111,889
    (18,439   Credo Technology Group Holding Ltd. *     (4,352,157
    (19,678   DoorDash, Inc. – Class A *     (3,134,509
    (187,824   DraftKings, Inc. – Class A *     (4,599,810
    (10,182   Ecolab, Inc.     (2,606,592
    (2,580   Fair Isaac Corp. *     (3,226,522
    (86,764   Fidelity National Information Services, Inc.     (3,729,984
    (8,556   FTAI Aviation Ltd.     (2,227,469
    (362   GE Vernova, Inc.     (350,532
    (20,900   Hyatt Hotels Corp. – Class A     (3,790,424
    (20,599   Insmed, Inc. *     (2,202,239
    (668   Insulet Corp. *     (96,820
    (75,321   IonQ, Inc. *     (5,428,385
    (34,434   IREN Ltd. *     (2,187,936
    (1,783   Johnson Controls International PLC     (239,029
    (47,567   Liberty Media Corp.-Liberty Formula One – Class C *     (4,318,608
    (7,031   Linde PLC     (3,499,258
    (21,515   Live Nation Entertainment, Inc. *     (3,623,341
    (1,396   Lumentum Holdings, Inc. *     (1,193,524
    (432   Marriott International, Inc. – Class A     (162,259
    (6,811   Marvell Technology, Inc.     (1,396,255
    (3,713   McKesson Corp.     (2,756,680
    (12,956   MongoDB, Inc. *     (4,347,386
    (626   Motorola Solutions, Inc.     (252,453
    (6,189   MSCI, Inc.     (3,907,611
    (16,706   Natera, Inc. *     (3,731,619
    (1,917   NiSource, Inc.     (88,604
    (52,198   Oklo, Inc. *     (3,491,002
    (54,690   Okta, Inc. *     (6,741,636
    (39,650   ONEOK, Inc.     (3,328,221
    (3,514   O’Reilly Automotive, Inc. *     (305,296
    (51,988   Otis Worldwide Corp.     (3,682,830
 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description   Value ($)  
          United States — continued      
    (21,329   Palantir Technologies, Inc. – Class A *     (3,338,842
    (4,310   Palo Alto Networks, Inc. *     (1,214,084
    (210,743   Rivian Automotive, Inc. – Class A *     (3,435,111
    (90,052   ROBLOX Corp. – Class A *     (4,245,952
    (128,394   Rocket Cos., Inc. – Class A *     (1,862,997
    (29,202   Rocket Lab Corp. *     (4,189,903
    (58,164   Rollins, Inc.     (2,768,606
    (84,612   Samsara, Inc. – Class A *     (2,960,574
    (2,572   Seagate Technology Holdings PLC     (2,262,846
    (16,183   Snowflake, Inc. *     (4,135,566
    (200,346   SoFi Technologies, Inc. *     (3,650,304
    (28,344   Starbucks Corp.     (2,810,591
    (1,688   STERIS PLC     (359,088
    (782   Take-Two Interactive Software, Inc. *     (175,293
    (8,433   Tesla, Inc. *     (3,675,017
    (7,850   Texas Pacific Land Corp.     (3,085,050
    (1,337   TransDigm Group, Inc.     (1,682,374
    (1,925   Twilio, Inc. – Class A *     (366,982
    (1,034   Tyler Technologies, Inc. *     (323,797
    (6,349   Vistra Corp.     (1,017,300
    (9,795   Watsco, Inc.     (3,595,745
    (4,262   Western Digital Corp.     (2,264,017

Shares
    Description   Value ($)  
          United States — continued      
    (46,891   Williams Cos., Inc.     (3,347,549
    (44,070   Zillow Group, Inc. – Class C *     (1,542,450
    (26,429   Zscaler, Inc. *     (3,692,924
     

 

 

 
    Total United States     (197,154,952
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $271,248,998)
    (351,633,006
     

 

 

 
          PREFERRED STOCKS (g) — (0.1)%  
          Germany — (0.1)%      
    (8,816   Sartorius AG     (2,512,893
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $2,553,424)
    (2,512,893
     

 

 

 
    TOTAL SECURITIES SOLD SHORT (PROCEEDS $273,802,422)     (354,145,899
    Other Assets and Liabilities (net) — (3.4)%     (78,861,625
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,328,535,879  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition
Date
   Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
May 31, 2026
 
Carlyle ARE Partners II, L.P.    03/24/26    $ 1,600,957      0.1%   $ 1,436,823  
Evraz PLC    10/21/21      259,269      0.0%      
Federal Grid Co-Rosseti PJSC    10/08/19      1,057,715      0.0%      
Gazprom PJSC    08/10/20      17,682,067      0.0%      
GMK Norilskiy Nickel PAO    02/11/20      4,352,696      0.0%      
Inter RAO UES PJSC    01/13/20      1,798,790      0.0%      
LSR Group PJSC    11/30/18      882,290      0.0%      
LSR Group PJSC GDR    09/07/20      8      0.0%      
Mosenergo PJSC    11/19/21      224,074      0.0%      
Nizhnekamskneftekhim PJSC    03/24/20      79,541      0.0%      
Novatek PJSC    10/21/21      776,536      0.0%      
Novolipetsk Steel PJSC    02/13/18      9,617,214      0.0%      
PhosAgro PJSC    08/15/22      434,931      0.0%      
PhosAgro PJSC GDR    10/15/21      2,792      0.0%      
Polyus PJSC GDR    02/24/23      0      0.0%      
Severstal PAO GDR (Registered)    10/23/17      5,003,828      0.0%      
SFI PJSC    09/11/18      318,293      0.0%      
Tatneft PJSC    11/02/18      8,698,468      0.0%      
Tatneft PJSC    12/15/21      71,966      0.0%      
Unipro PAO    12/18/19      32,903      0.0%      
United Co. RUSAL International PJSC    11/12/21      56,186      0.0%      
VTB Bank PJSC    01/09/20      1      0.0%      
          

 

 

 
           $ 1,436,823  
          

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

 

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/15/2026   SSB     MXN       17,500,000       USD       1,010,835       5,093  
07/01/2026   MSCI     PHP       30,600,000       USD       511,372       14,780  
08/10/2026   MSCI     USD       7,807,647       COP       29,686,000,000       111,101  
07/15/2026   DB     USD       1,599,174       CZK       33,300,000       953  
08/31/2026   JPM     USD       10,081,731       EUR       8,632,000       24,314  
08/19/2026   DB     USD       1,645,065       HUF       511,500,000       34,876  
07/15/2026   SSB     USD       5,267,614       MXN       92,700,000       59,944  
06/30/2026   CITI     USD       1,270,134       PEN       4,400,000       17,160  
06/30/2026   MSCI     USD       5,688,540       PEN       20,100,000       192,055  
07/29/2026   BCLY     USD       986,510       TRY       48,300,000       9,204  
06/30/2026   CITI     USD       134,515       ZAR       2,200,000       850  
06/30/2026   MSCI     USD       7,317,132       ZAR       122,000,000       189,443  
08/10/2026   GS     COP       864,700,000       USD       229,045       (1,614
07/02/2026   JPM     USD       8,076,271       BRL       41,000,000       (8,026
08/05/2026   CITI     USD       2,567,472       IDR       44,734,100,000       (69,558
08/05/2026   GS     USD       153,267       IDR       2,656,300,000       (4,941
07/01/2026   CITI     USD       2,075,518       PHP       126,700,000       (19,367
07/21/2026   CITI     USD       1,607,312       THB       51,000,000       (34,404
           

 

 

 
            $ 521,863  
           

 

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
1,705   U.S. Treasury Note 10 Yr. (CBT)   September 2026     187,256,953       390,581  
3,755   U.S. Treasury Note 2 Yr. (CBT)   September 2026     775,642,188       1,746,961  
3,061   U.S. Treasury Note 5 Yr. (CBT)   September 2026     328,172,681       396,981  
1,097   U.S. Treasury Ultra 10 Yr. (CBT)   September 2026     122,949,703       478,490  
108   U.S. Ultra Bond (CBT)   September 2026     12,355,875       198,966  
     

 

 

   

 

 

 
  $ 1,426,377,400     $ 3,211,979  
 

 

 

   

 

 

 
Sales        
472   TOPIX Index   June 2026   $ 117,216,314     $ (11,330,892
 

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

   Notional
Amount
     Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received)
($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                      

CDX.NA.HY.S46

   USD  24,750,000        5.00%       3.02     N/A        06/20/2031        Quarterly        (990,000     (2,064,175     (1,074,175

ITRAXX.EUR.45

   EUR  558,000,000        1.00%       0.53     N/A        06/20/2031        Quarterly        (9,912,763     (14,493,151     (4,580,388
                  

 

 

   

 

 

   

 

 

 
                   $ (10,902,763   $ (16,557,326   $ (5,654,563
                  

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1)

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts — Continued

OTC Total Return Swaps

 

Fund Pays

  Fund Receives  

Counterparty

  Notional
Amount
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate
minus 0.40%
  MORD     USD       22,803,277       06/18/2027       Monthly             469,176       469,176  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate
minus 0.40%
  GS     USD       26,677,180       06/24/2026       Monthly             336,223       336,223  
             

 

 

   

 

 

   

 

 

 
  $  —     $ 805,399     $ 805,399  
 

 

 

   

 

 

   

 

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

Securities are traded on separate exchanges for the same entity.

 

(d)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(e)

Investment valued using significant unobservable inputs.

 

(f)

The security is restricted as to resale.

 

(g)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(h)

Private placement security; restricted as to resale.

 

(i)

Affiliated company.

 

(j)

All or a portion of this security is purchased with collateral from securities loaned.

 

(k)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 

(l)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

 

(m)

Periodic payments made/received are based on the total return of the referenced entity. The following table represents the individual long and/or short positions with in the custom equity basket swap as of May 31, 2026.

 

 

Shares      Description    % of
Equity
Basket
     Value ($)  
   Custom equity basket swap with GS as the counterparty:      
  (1,901)      Aeroports de Paris SA      1.0      (254,713
  (54,644)      Allefro.eu.SA      2.0      (523,194
  (4,278)      Antofagasta PLC      0.9      (235,664
  (2,000)      Asia Vital Components Co., Ltd.      0.6      (168,653
  (13,600)      AXIA Energia SA      0.6      (141,350
  (3,336)      Budimex SA      2.4      (642,487
  (12,067)      Capitec Bank Holdings Ltd.      12.6      (3,326,444
  (19,964)      CD Projekt SA      4.9      (1,278,874
  (58,137)      Cellnex Telecom SA      7.4      (1,945,418
  (325)      Celltrion, Inc.      0.2      (41,564
Shares      Description    % of
Equity
Basket
     Value ($)  
  (52,321)      Clicks Group Ltd.      2.9      (756,790
  (112,900)      Delta Electronics (Thailand) Public Co. Ltd. NVDR      4.6      (1,217,543
  (6,000)      Delta Electronics, Inc.      1.7      (460,358
  (681)      Doosan Co. Ltd.      3.4      (893,568
  (4,826)      Ecopro Co. Ltd.      1.7      (445,988
  (3,778)      eMemory Technology, Inc.      1.5      (407,840
  (56,400)      Eneva SA      1.1      (286,553
  (45,847)      Entain PLC      1.2      (328,069
  (1,198)      Euronext NV      0.7      (194,687
  (15,108)      Fresnillo PLC      2.5      (663,835
  (16,232)      Getlink SE      1.3      (354,675
  (7,000)      Global Unichip Corp.      3.9      (1,032,829
  (4,130)      Grupo Aeroportuario del Pacífico      0.4      (97,036
  (177)      HD Hyundai Electric Co. Ltd.      0.5      (123,959
  (718)      Hermes International SCA      5.1      (1,341,746
  (2,015)      HLB, Inc.      0.3      (67,860
  (16,100)      Hong Kong Exchange and Clearing Ltd.      3.1      (822,065
  (3,318)      HYBE Co. Ltd.      1.8      (482,981
  (11,419)      Hyundai Rotem Co.      5.8      (1,519,949
  (10,140)      Informa PLC      0.4      (110,166
  (5,659)      InterContinental Hotels Group PLC      3.3      (867,814
  (130,000)      Kingdee International Software Group Co. Ltd.      0.5      (121,385
  (2,331)      London Stock Exchange Group PLC      1.1      (282,049
  (161)      LPP SA      3.8      (1,000,007
  (20,761)      Public Power Corp.      2.0      (522,027
  (1,343)      Samsung Biologics Co. Ltd.      4.6      (1,215,234
  (1,375)      Sunbelt Rentals Holdings, Inc.      0.4      (107,766
  78,537      Turk Hava Yollari AO      (1.9 %)       504,080  
  (77,000)      Unimicron Technology Corp.      9.7      (2,555,079
        

 

 

 
   TOTAL COMMON STOCKS       $ (26,334,139
        

 

 

 

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

 


GMO Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

ADR - American Depositary Receipt

CVR - Contingent Value Right

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

OMO - Open Market Operations

PJSC - Private Joint-Stock Company

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

REIT - Real Estate Investment Trust

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

 

 

Currency Abbreviations:

 

BRL - Brazilian Real

COP - Colombian Peso

CZK - Czech Republic Koruna

DOP - Dominican Republic Peso

EGP - Egyptian Pound

EUR - Euro

HUF - Hungarian Forint

IDR - Indonesian Rupiah

KZT - Kazakhstani Tenge

MXN - Mexican Peso

MYR - Malaysian Ringgit

NGN - Nigerian Naira

PEN - Peruvian Sol

PHP - Philippines Peso

PYG - Paraguayan Guarani

THB - Thai Baht

TRY - Turkish Lira

UGX - Ugandan Shilling

USD - United States Dollar

UYU - Uruguay Peso

ZAR - South African Rand

 
 


GMO International Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares

    Description  

Value ($)

 
    INVESTMENT FUNDS — 99.9%

 

          United States — 99.9%  
    3,895,675     GMO International Equity Fund, Class IV (a)     156,138,658  
    2,703,221     GMO International Opportunistic Value Fund, Class IV (a)     50,550,239  
    521,521     GMO-Usonian Japan Value Creation Fund, Class VI (a)     16,083,692  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $151,034,000)
    222,772,589  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.1%

 

    Money Market Funds — 0.1%

 

    237,263     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     237,263  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $237,263)
    237,263  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $151,271,263)
    223,009,852  
    Other Assets and Liabilities (net) — (0.0%)     (20,525
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $222,989,327  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

 


GMO International Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares /

Par Value†

    Description  

Value ($)

 
    INVESTMENT FUNDS — 99.5%

 

          United States — 99.5%  
    2,894,942     GMO Emerging Markets Fund, Class VI (a)     116,868,792  
    4,274,243     GMO International Equity Fund, Class IV (a)     171,311,656  
    3,609,302     GMO International Opportunistic Value Fund, Class IV (a)     67,493,948  
    892,863     GMO-Usonian Japan Value Creation Fund, Class VI (a)     27,535,888  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $263,508,197)
    383,210,284  
     

 

 

 
    DEBT OBLIGATIONS — 0.2%

 

    U.S. Government — 0.2%

 

    900,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.10%, 3.73%, due 01/31/28 (b)     900,143  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $899,976)
    900,143  
     

 

 

 

Shares
    Description  

Value ($)

 
    SHORT-TERM INVESTMENTS — 0.3%

 

    Money Market Funds — 0.3%

 

    963,343     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (c)     963,343  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $963,343)
    963,343  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $265,371,516)
    385,073,770  
    Other Assets and Liabilities (net) — 0.0%     152,547  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $385,226,317  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
26   S&P/TSX 60 Index Futures   June 2026   $ 7,629,986     $ 490,491  
     

 

 

   

 

 

 
Sales        
32   TOPIX Index   June 2026   $ 7,946,869     $ (625,148
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Affiliated company.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

 


GMO MAC Implementation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Par Value†

    Description  

Value ($)

 

    DEBT OBLIGATIONS — 117.0%

 

          United States — 117.0%  
          U.S. Government — 90.1%      
    75,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 04/30/27     75,071  
    13,972,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (a)     13,985,572  
    5,903,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.19%, 3.82%, due 10/31/27 (a)     5,913,146  
     

 

 

 
    Total U.S. Government     19,973,789  
     

 

 

 
          U.S. Government Agency — 26.9%  
    2,000,000     Uniform Mortgage-Backed Security, TBA, 2.50%, due 06/01/56     1,673,204  
    4,200,000     Uniform Mortgage-Backed Security, TBA, 6.00%, due 06/01/56     4,288,495  
     

 

 

 
    Total U.S. Government Agency     5,961,699  
     

 

 

 
    Total United States     25,935,488  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $25,918,086)
    25,935,488  
     

 

 

 

Shares

    Description  

Value ($)

 
    SHORT-TERM INVESTMENTS — 3.1%

 

    Money Market Funds — 3.1%

 

       687,065     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     687,065  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $687,065)
    687,065  
     

 

 

 
    TOTAL INVESTMENTS — 120.1%
(Cost $26,605,151)
    26,622,553  
    Other Assets and Liabilities (net) — (20.1)%     (4,455,280
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $22,167,273  
     

 

 

 
 

 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Forward Currency Contracts

 

Settlement

Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/31/2026   JPM     EUR       404,650       USD       472,610     $ (1,734

 

 

 

Futures Contracts

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
147   U.S. Treasury Note 10 Yr. (CBT)   September 2026     16,144,734       33,675  
218   U.S. Treasury Note 2 Yr. (CBT)   September 2026     45,030,625       101,421  
181   U.S. Treasury Note 5 Yr. (CBT)   September 2026     19,405,180       23,474  
93   U.S. Treasury Ultra 10 Yr. (CBT)   September 2026     10,423,266       40,565  
     

 

 

   

 

 

 
      $ 91,003,805     $ 199,135  
     

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
2   U.S. Ultra Bond (CBT)   September 2026   $ 228,813     $ (3,753
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

 


GMO MAC Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional
Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CDX.EM.S45

  USD     9,602,000       1.00%       1.50%       N/A       06/20/2031       Quarterly       415,766       213,212       (202,554

Sell Protection^:

 

CDX.NA.HY.46

  USD     4,485,690       5.00%       3.02%       4,485,690 USD       06/20/2031       Quarterly       338,583       374,111       35,528  

ITRAXX.XO.45

  EUR     4,374,000       5.00%       2.59%       4,374,000 EUR       06/20/2031       Quarterly       494,146       532,356       38,210  
               

 

 

   

 

 

   

 

 

 
                $ 1,248,495     $ 1,119,679     $ (128,816
               

 

 

   

 

 

   

 

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counter-

party

 

Notional

Amount

    Annual
Premium
    Implied
Credit

Spread (1)
    Maximum
Potential
Amount of
Future

Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/

(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CMBX.NA.BBB-.18

  CGMI   USD     1,000,000       3.00%       5.93%       N/A       12/17/2057       Monthly       88,438       80,613       (7,825

CMBX.NA.BBB-.18

  CGMI   USD     1,500,000       3.00%       5.93%       N/A       12/17/2057       Monthly       128,907       120,919       (7,988

Sell Protection^:

 

CDX.NA.HY.45

  JPM   USD     6,845,201       5.00%       0.46%       1,293,784 USD       12/20/2030       Quarterly       1,287,240       1,261,536       (25,704
                 

 

 

   

 

 

   

 

 

 
                  $ 1,504,585     $ 1,463,068     $ (41,517
                 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(1)

As of May 31, 2026, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO MAC Implementation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2026 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

TBA - To Be Announced - Delayed Delivery Security

Counterparty Abbreviations:

CGMI - Citigroup Global Markets Inc.

JPM - JPMorgan Chase Bank, N.A.

Currency Abbreviations:

EUR - Euro

USD - United States Dollar

 


GMO Multi-Asset Credit Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 

Shares

    Description  

Value ($)

 
    INVESTMENT FUNDS — 99.0%

 

          United States — 99.0%  
    1,014,040     GMO Emerging Country Debt Fund, Class VI (a)     24,691,881  
    1,449,024     GMO High Yield Fund, Class VI (a)     25,415,876  
    2,146,314     GMO MAC Implementation Fund (a)     22,171,428  
    3,768,805     GMO Opportunistic Income Fund, Class VI (a)     91,393,517  
    750,879     GMO Systematic Investment Grade Credit ETF (a)     19,092,826  
    864,294     GMO U.S. Treasury Fund, Class VI (a)     4,330,111  
    289,384     GMO Ultra-Short Income ETF (a)     14,482,222  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $201,794,725)
    201,577,861  
     

 

 

 
    SHORT-TERM INVESTMENTS — 1.0%

 

    Money Market Funds — 1.0%

 

    1,980,578     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (b)     1,980,578  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,980,578)
    1,980,578  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $203,775,303)
    203,558,439  
    Other Assets and Liabilities (net) — (0.0%)     (3,618
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $203,554,821  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

Affiliated company.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2026.

Portfolio Abbreviations:

ETF - Exchange-Traded Fund

 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2026 (Unaudited)

 


Shares
    Description  

Value ($)

 
    INVESTMENT FUNDS — 99.8%

 

           United States — 99.8%  
    727,363     GMO Alternative Allocation Fund, Class VI (a)     13,463,495  
    373,904     GMO Asset Allocation Bond Fund, Class VI (a)     6,692,879  
    29,213     GMO Climate Change Fund, Class III (a)     939,181  
    57,490     GMO Domestic Resilience ETF (a)     1,738,802  
    32,491     GMO Emerging Country Debt Fund, Class VI (a)     791,146  
    93,119     GMO Emerging Markets ex-China Fund, Class VI (a)     1,970,404  
    132,954     GMO Emerging Markets Fund, Class VI (a)     5,367,357  
    330,140     GMO International Equity Fund, Class IV (a)     13,232,001  
    318,580     GMO International Opportunistic Value Fund, Class IV (a)     5,957,452  
    175,801     GMO-Usonian Japan Value Creation Fund, Class VI (a)     5,421,690  
    71,819     GMO Quality Fund, Class VI (a)     2,667,359  
    33,574     GMO Resources Fund, Class VI (a)     957,539  
    61,761     GMO Small Cap Quality Fund, Class VI (a)     1,600,231  
    328,994     GMO U.S. Equity Fund, Class VI (a)     5,431,692  
    247,218     GMO U.S. Opportunistic Value Fund, Class VI (a)     5,933,221  
    425,895     GMO U.S. Treasury Fund, Class VI (a)     2,133,734  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $57,814,037)
    74,298,183  
     

 

 

 

Par Value† /

Shares

    Description  

Value ($)

 
          DEBT OBLIGATIONS — 0.1%  
          United States — 0.1%  
          U.S. Government — 0.1%  
    100,000     U.S. Treasury Floating Rate Notes, Variable Rate, 3 mo. Treasury money market yield + 0.16%, 3.79%, due 07/31/27 (b)     100,097  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $100,000)
    100,097  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.1%

 

    Money Market Funds — 0.1%

 

    93,568     State Street Institutional Treasury Money Market Fund – Premier Class, 3.57% (c)     93,568  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $93,568)
    93,568  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $58,007,605)
    74,491,848  
    Other Assets and Liabilities (net) — 0.0%     (6,726
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $74,485,122  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2026 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales        
11   TOPIX Index   June 2026   $ 2,731,736     $ (267,880
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

Sales - Fund is short the futures contract.

 

 

As of May 31, 2026, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Affiliated company.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, written options, repurchase agreements and/or reverse repurchase agreements, if any.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2026.

The rates shown on variable rate notes are the current interest rates at May 31, 2026, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ETF - Exchange-Traded Fund

 


Organization

Each of Alternative Allocation Fund, Benchmark-Free Allocation Fund, Benchmark-Free Fund, Global Asset Allocation Fund, Global Developed Equity Allocation Fund, Global Equity Allocation Fund, Implementation Fund, International Developed Equity Allocation Fund, International Equity Allocation Fund, MAC Implementation Fund, Multi-Asset Credit Fund and Strategic Opportunities Allocation Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO.

Many of the Funds may invest primarily in other GMO Funds. Alternative Allocation Fund may also invest in GMO Alternative Allocation SPC Ltd. (each a “wholly-owned subsidiary”). As a result, the Funds are exposed to all of the risks of the underlying funds in which they invest. Several of the underlying funds themselves invest a substantial portion of their assets in other GMO Funds. The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Basis of presentation and principles of consolidation: Alternative Allocation Fund

Alternative Allocation Fund includes the accounts of its wholly-owned subsidiary and the accompanying Schedule of Investments has been consolidated for those accounts. The Consolidated Schedule of Investments include all of the assets and liabilities of the wholly-owned subsidiary. Alternative Allocation Fund is herein referred to as “Consolidated Alternative Allocation Fund”.

Portfolio valuation

Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value. Direct investments held by the Funds and underlying funds are valued as follows: Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the closing price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are valued at the price generally determined by an industry standard model. Unlisted non-fixed income securities for which market quotations are readily available are generally valued at the most recent quoted price.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, prices will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect changes in valuation through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below) and are described in the disclosures of the underlying funds.

Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO


monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.

In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2026, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds and exchange-traded funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include certain U.S. government agency securities, mortgage-backed securities, asset-backed securities, certain sovereign debt obligations, and corporate bonds valued using vendor prices or broker quotes; cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain securities that are valued at the local price; certain debt obligations, such as collateralized loan obligations, that have yet to begin trading that are valued at cost; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, certain debt securities (such as asset-backed, mortgage-backed, loans and sovereign debt) and derivatives even though they may be valued using broker quotes; certain debt securities and derivatives adjusted by a specified discount for liquidity or other considerations; securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price; potential litigation recoveries and interests related to bankruptcy proceedings; certain equity securities valued off the last traded price with a discount for liquidity; certain equity securities that are valued based on the last traded exchange price adjusted for the movement in a relevant index; certain securities that are valued using a price from a comparable security related to the same issuer; investment funds whose valuations are based on quarterly net asset value statements; and certain recently acquired equity securities that have yet to begin trading that are valued at cost.


The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2026:

 

         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 26,849,860     $     $ 26,849,860  

Austria

          3,092,966             3,092,966  

Belgium

          3,532,779             3,532,779  

Canada

    55,894,908                   55,894,908  

China

    748,799       4,821,798             5,570,597  

Denmark

          8,902,496             8,902,496  

Finland

          7,163,682             7,163,682  

France

          18,278,069             18,278,069  

Germany

    1,046,474       18,761,977             19,808,451  

Hong Kong

          11,196,418             11,196,418  

Indonesia

          314,261             314,261  

Ireland

          352,111             352,111  

Israel

    1,801,496       921,542             2,723,038  

Italy

          14,492,962             14,492,962  

Japan

          48,551,384             48,551,384  

Mexico

    858,481                   858,481  

Netherlands

          17,048,686             17,048,686  

New Zealand

          231,338             231,338  

Norway

          3,949,540             3,949,540  

Poland

          3,571,227             3,571,227  

Portugal

          1,557,886             1,557,886  

Singapore

          5,069,360             5,069,360  

South Korea

    392,795       20,523,971             20,916,766  

Spain

          11,996,662             11,996,662  

Sweden

          11,665,555             11,665,555  

Switzerland

          7,674,484             7,674,484  

Taiwan

          15,744,421             15,744,421  

Thailand

          4,392,258             4,392,258  

Turkey

          831,231             831,231  

United Kingdom

    5,234,652       60,645,313             65,879,965  

United States

    809,314,660                   809,314,660  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    875,292,265       332,134,237             1,207,426,502  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    233,429       260,652             494,081  

Germany

          2,768,335             2,768,335  

South Korea

          338,765             338,765  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    233,429       3,367,752             3,601,181  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Canada

                264,384       264,384  

United States

                740,530       740,530  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                1,004,914       1,004,914  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

Japan

                1,840,921       1,840,921  

United States

                12,320,107       12,320,107  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

                14,161,028       14,161,028  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Dominican Republic

          2,013,282             2,013,282  

Kazakhstan

          376,787             376,787  

Malaysia

          2,584,176             2,584,176  

Paraguay

          259,569             259,569  

Uganda

          268,424             268,424  

United States

    171,656,818       19,683,894             191,340,712  

Uruguay

          694,239             694,239  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    171,656,818       25,880,371             197,537,189  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund (continued)  
Asset Valuation Inputs (continued)  

Short-Term Investments

  $ 13,757,503     $ 154,287,826     $     $ 168,045,329  

Purchased Options

    85,385                   85,385  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,061,025,400       515,670,186       15,165,942       1,591,861,528  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          3,345,560             3,345,560  

Futures Contracts

         

Equity Risk

    1,059,862       2,998,077             4,057,939  

Interest Rate Risk

    333,957                   333,957  

Physical Commodity Contract Risk

    2,070,783                   2,070,783  

Swap Contracts

         

Credit Risk

          32,762,461             32,762,461  

Equity Risk

          3,442,205             3,442,205  

Interest Rate Risk

          3,856,778             3,856,778  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,064,490,002     $ 562,075,267     $ 15,165,942     $ 1,641,731,211  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Australia

  $     $ (19,265,369   $     $ (19,265,369

Belgium

          (3,566,453           (3,566,453

Brazil

    (1,889,328                 (1,889,328

Canada

    (19,310,249                 (19,310,249

Chile

    (1,088,362                 (1,088,362

China

    (1,746,735     (760,633           (2,507,368

Denmark

          (8,920,427           (8,920,427

Finland

          (3,171,199           (3,171,199

France

          (5,782,473           (5,782,473

Germany

          (20,883,294           (20,883,294

Hong Kong

          (5,287,349           (5,287,349

Israel

    (1,743,058                 (1,743,058

Italy

          (10,299,906           (10,299,906

Japan

          (50,660,133           (50,660,133

Mexico

    (220,468                 (220,468

Netherlands

    (2,105,461     (23,761,134           (25,866,595

New Zealand

          (1,613,824           (1,613,824

Norway

          (5,251,111           (5,251,111

Peru

    (2,365,120                 (2,365,120

Portugal

          (1,521,526           (1,521,526

Singapore

    (2,650,272     (3,940,982           (6,591,254

Spain

    (3,687,803     (11,276,962           (14,964,765

Sweden

    (1,349,708     (9,842,355           (11,192,063

Switzerland

          (12,432,131           (12,432,131

United Kingdom

    (14,816,897     (19,605,571           (34,422,468

United States

    (497,697,448     (909,843           (498,607,291
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (550,670,909     (218,752,675           (769,423,584
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (2,982,518           (2,982,518
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (2,982,518           (2,982,518
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Portugal

          (13,620           (13,620

United States

    (5,558                 (5,558
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    (5,558     (13,620           (19,178
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

          (11,745,901           (11,745,901
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (11,745,901           (11,745,901
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (3,441,296           (3,441,296
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund (continued)  
Liability Valuation Inputs (continued)  

Derivatives^ (continued)

         

Futures Contracts

         

Equity Risk

  $ (9,562,689   $ (1,896,259   $     $ (11,458,948

Interest Rate Risk

    (326,783                 (326,783

Physical Commodity Contract Risk

    (6,048,636                 (6,048,636

Written Options

         

Equity Risk

    (5,564,039                 (5,564,039

Interest Rate Risk

    (139,895                 (139,895

Swap Contacts

         

Credit Risk

          (5,184,270           (5,184,270

Equity Risk

          (5,036,946           (5,036,946

Interest Rate Risk

          (2,991,334           (2,991,334
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (572,318,509   $ (252,044,819   $     $ (824,363,328
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Benchmark-Free Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 2,597,561,303     $     $     $ 2,597,561,303  

Short-Term Investments

    3,327,753                   3,327,753  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    2,600,889,056                   2,600,889,056  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 2,600,889,056     $     $     $ 2,600,889,056  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Benchmark-Free Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 17,001,552     $     $ 17,001,552  

Austria

          3,460,417             3,460,417  

Belgium

          4,289,890             4,289,890  

Brazil

    2,143,905       950,545             3,094,450  

Canada

    41,455,871       56,060             41,511,931  

China

    1,667,642       17,767,242       0 §      19,434,884  

Colombia

    12,817                   12,817  

Denmark

          4,687,034             4,687,034  

Egypt

          480,985             480,985  

Finland

          3,388,543             3,388,543  

France

    1,466,322       21,752,726             23,219,048  

Germany

          15,778,009             15,778,009  

Greece

          59,510             59,510  

Hong Kong

          14,048,089             14,048,089  

Hungary

          2,869,885             2,869,885  

India

          6,785,607             6,785,607  

Indonesia

          2,243,487             2,243,487  

Ireland

          728,423             728,423  

Israel

    1,634,852       3,601,275             5,236,127  

Italy

    326,889       10,354,169             10,681,058  

Japan

    1,102,784       197,550,743             198,653,527  

Kuwait

          1,051,296             1,051,296  

Mexico

    2,540,966             0 §      2,540,966  

Netherlands

    3,786,760       16,641,477       74,722       20,502,959  

New Zealand

          149,382             149,382  

Norway

          9,329,398             9,329,398  

Philippines

          170,686             170,686  

Poland

          3,754,885             3,754,885  

Portugal

          1,176,951             1,176,951  

Russia

                0 §      0 § 

Saudi Arabia

          3,915,636             3,915,636  

Singapore

          5,983,991             5,983,991  

South Africa

          747,129             747,129  

South Korea

    251,837       43,220,451             43,472,288  

Spain

          20,581,505             20,581,505  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Sweden

  $     $ 8,906,113     $     $ 8,906,113  

Switzerland

    1,027,748       10,566,202             11,593,950  

Taiwan

          44,617,451             44,617,451  

Thailand

          13,802,877             13,802,877  

Turkey

          1,482,900             1,482,900  

United Arab Emirates

          1,069,803             1,069,803  

United Kingdom

    15,782,013       17,095,861       8,237       32,886,111  

United States

    157,972,597                   157,972,597  

Vietnam

          2,531,401             2,531,401  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    231,173,003       534,649,586       82,959       765,905,548  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    1,895,940       2,795,433             4,691,373  

Germany

          3,577,132             3,577,132  

Italy

          61,087             61,087  

Russia

                0 §      0 § 

South Korea

          3,234,135             3,234,135  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    1,895,940       9,667,787       0 §      11,563,727  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Canada

                11,850       11,850  

United States

                45,293       45,293  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                57,143       57,143  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

Japan

                853,110       853,110  

United States

    284,337,082                   284,337,082  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    284,337,082             853,110       285,190,192  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Dominican Republic

          744,914             744,914  

Malaysia

          988,067             988,067  

Paraguay

          134,476             134,476  

Uganda

          138,199             138,199  

United States

    223,789,192                   223,789,192  

Uruguay

          248,736             248,736  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    223,789,192       2,254,392             226,043,584  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    8,713,550       201,558,944             210,272,494  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    749,908,767       748,130,709       993,212       1,499,032,688  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

          310,272             310,272  

Futures Contracts

         

Interest Rate Risk

    1,437,917                   1,437,917  

Swap Contracts

         

Equity Risk

          469,629             469,629  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 751,346,684     $ 748,910,610     $ 993,212     $ 1,501,250,506  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Australia

  $     $ (5,094,635   $     $ (5,094,635

Belgium

          (448,555           (448,555

Brazil

    (1,199,005                 (1,199,005

Canada

    (10,693,418                 (10,693,418

Chile

    (666,491                 (666,491

China

    (1,133,309                 (1,133,309

Denmark

          (2,815,184           (2,815,184

France

          (2,896,403           (2,896,403

Germany

          (6,081,087           (6,081,087

Israel

    (37,280                 (37,280
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Liability Valuation Inputs (continued)  

Common Stocks (continued)

         

Italy

  $ (95,264   $ (3,346,933   $     $ (3,442,197

Japan

          (13,997,361           (13,997,361

Mexico

    (142,016                 (142,016

Netherlands

    (854,109     (3,210,807           (4,064,916

Norway

          (2,408,850           (2,408,850

Peru

    (1,603,088                 (1,603,088

Singapore

    (521,608                 (521,608

Spain

          (2,855,590           (2,855,590

Sweden

    (850,535     (1,570,098           (2,420,633

Switzerland

          (1,718,386           (1,718,386

United Kingdom

          (8,107,102           (8,107,102

United States

    (92,230,458                 (92,230,458
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (110,026,581     (54,550,991           (164,577,572
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (1,188,893           (1,188,893
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (1,188,893           (1,188,893
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

          (64,827           (64,827

Futures Contracts

         

Equity Risk

    (21,739     (5,321,336           (5,343,075

Swap Contacts

         

Credit Risk

          (7,746,757           (7,746,757
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (110,048,320   $ (68,872,804   $     $ (178,921,124
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Asset Allocation Fund  
Asset Valuation Inputs  

Debt Obligations

  $ 1,100,175     $     $     $ 1,100,175  

Investment Funds

    654,978,844                   654,978,844  

Short-Term Investments

    1,858,723                   1,858,723  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    657,937,742                   657,937,742  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 657,937,742     $     $     $ 657,937,742  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

 

Futures Contracts

         

Equity Risk

  $     $ (1,980,878   $     $ (1,980,878
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (1,980,878   $     $ (1,980,878
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Developed Equity Allocation Fund  
Asset Valuation Inputs  

Debt Obligations

  $ 450,072     $     $     $ 450,072  

Investment Funds

    104,847,778                   104,847,778  

Short-Term Investments

    290,635                   290,635  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    105,588,485                   105,588,485  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

 

Futures Contracts

         

Equity Risk

    369,799                   369,799  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 105,958,284     $     $     $ 105,958,284  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Global Developed Equity Allocation Fund (continued)  
Liability Valuation Inputs  

Derivatives^

 

Futures Contracts

         

Equity Risk

  $     $ (237,284   $     $ (237,284
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (237,284   $     $ (237,284
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Equity Allocation Fund  
Asset Valuation Inputs  

Debt Obligations

  $ 2,700,430     $     $     $ 2,700,430  

Investment Funds

    630,356,671                   630,356,671  

Short-Term Investments

    2,013,410                   2,013,410  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    635,070,511                   635,070,511  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

 

Futures Contracts

         

Equity Risk

    1,628,374                   1,628,374  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 636,698,885     $     $     $ 636,698,885  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

 

Futures Contracts

         

Equity Risk

  $     $ (1,504,944   $     $ (1,504,944
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (1,504,944   $     $ (1,504,944
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Implementation Fund  
Asset Valuation Inputs  

Common Stocks

         

Argentina

  $ 5,334,647     $     $     $ 5,334,647  

Australia

          38,096,774             38,096,774  

Austria

          7,337,478             7,337,478  

Belgium

          9,093,925             9,093,925  

Brazil

    4,441,765       4,886,569             9,328,334  

Canada

    96,337,154       114,304             96,451,458  

China

    3,489,093       38,981,990       0 §      42,471,083  

Colombia

    4,916                   4,916  

Denmark

          10,790,193             10,790,193  

Egypt

          917,719             917,719  

Finland

          10,477,127             10,477,127  

France

    3,171,972       46,521,527             49,693,499  

Germany

          33,603,154             33,603,154  

Greece

          88,737             88,737  

Hong Kong

          30,936,292             30,936,292  

Hungary

          6,261,459             6,261,459  

India

          14,550,505             14,550,505  

Indonesia

          4,782,144             4,782,144  

Ireland

          1,417,078             1,417,078  

Israel

    3,425,816       7,619,100             11,044,916  

Italy

    645,980       22,755,960             23,401,940  

Japan

    2,229,023       420,700,099             422,929,122  

Kuwait

          2,220,957             2,220,957  

Mexico

    5,228,493             0 §      5,228,493  

Netherlands

    7,849,303       35,630,084       162,591       43,641,978  

New Zealand

          373,683             373,683  

Norway

          22,661,676             22,661,676  

Pakistan

          228,039             228,039  

Philippines

          479,284             479,284  

Poland

          7,928,821             7,928,821  

Portugal

          2,673,957             2,673,957  

Russia

                0 §      0 § 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Implementation Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Saudi Arabia

  $     $ 8,382,723     $     $ 8,382,723  

Singapore

          12,975,146             12,975,146  

South Africa

          2,324,452             2,324,452  

South Korea

    560,677       93,220,223             93,780,900  

Spain

          44,289,824             44,289,824  

Sweden

          19,033,396             19,033,396  

Switzerland

    2,343,960       22,163,671             24,507,631  

Taiwan

          95,152,021             95,152,021  

Thailand

          29,323,559             29,323,559  

Turkey

          3,099,552             3,099,552  

Ukraine

          194,102             194,102  

United Arab Emirates

          2,300,011             2,300,011  

United Kingdom

    32,773,121       50,397,044       17,934       83,188,099  

United States

    367,584,898             0 §      367,584,898  

Vietnam

          5,392,020             5,392,020  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    535,420,818       1,170,376,379       180,525       1,705,977,722  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    4,603,275       10,388,907             14,992,182  

Chile

    2,421,534                   2,421,534  

Germany

          7,621,280             7,621,280  

Italy

          116,816             116,816  

Russia

                0 §      0 § 

South Korea

          6,013,509             6,013,509  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    7,024,809       24,140,512       0 §      31,165,321  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Canada

                1,087,174       1,087,174  

United States

                98,660       98,660  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                1,185,834       1,185,834  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

Japan

                1,436,823       1,436,823  

United States

    86,227,493                   86,227,493  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    86,227,493             1,436,823       87,664,316  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Dominican Republic

          1,610,626             1,610,626  

Kazakhstan

          295,715             295,715  

Malaysia

          2,102,810             2,102,810  

Paraguay

          301,788             301,788  

Uganda

          313,605             313,605  

United States

    500,294,298                   500,294,298  

Uruguay

          525,109             525,109  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    500,294,298       5,149,653             505,443,951  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    16,764,312       413,341,947             430,106,259  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,145,731,730       1,613,008,491       2,803,182       2,761,543,403  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          659,773             659,773  

Futures Contracts

         

Interest Rate Risk

    3,211,979                   3,211,979  

Swap Contracts

         

Equity Risk

          805,399             805,399  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,148,943,709     $ 1,614,473,663     $ 2,803,182     $ 2,766,220,554  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Australia

  $     $ (10,980,333   $     $ (10,980,333

Belgium

          (909,925           (909,925

Brazil

    (2,559,707                 (2,559,707
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Implementation Fund (continued)  
Liability Valuation Inputs (continued)  

Common Stocks (continued)

         

Canada

  $ (22,803,941   $     $     $ (22,803,941

Chile

    (1,474,643                 (1,474,643

China

    (2,508,782                 (2,508,782

Denmark

          (6,009,448           (6,009,448

France

          (5,971,207           (5,971,207

Germany

          (12,826,185           (12,826,185

Israel

    (79,717                 (79,717

Italy

    (234,419     (7,194,311           (7,428,730

Japan

          (30,174,525           (30,174,525

Mexico

    (311,916                 (311,916

Netherlands

    (1,823,300     (6,853,904           (8,677,204

Norway

          (5,142,189           (5,142,189

Peru

    (3,426,246                 (3,426,246

Singapore

    (1,113,440                 (1,113,440

Spain

          (6,000,565           (6,000,565

Sweden

    (1,817,527     (3,250,947           (5,068,474

Switzerland

          (3,561,377           (3,561,377

United Kingdom

          (17,449,500           (17,449,500

United States

    (197,154,952                 (197,154,952
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (235,308,590     (116,324,416           (351,633,006
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (2,512,893           (2,512,893
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (2,512,893           (2,512,893
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (137,910           (137,910

Futures Contracts

         

Equity Risk

          (11,330,892           (11,330,892

Swap Contacts

         

Credit Risk

          (16,557,326           (16,557,326
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (235,308,590   $ (146,863,437   $     $ (382,172,027
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
International Developed Equity Allocation Fund  
Asset Valuation Inputs  

Investment Funds

  $ 222,772,589     $     $     $ 222,772,589  

Short-Term Investments

    237,263                   237,263  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    223,009,852                   223,009,852  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 223,009,852     $     $     $ 223,009,852  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
International Equity Allocation Fund  
Asset Valuation Inputs  

Debt Obligations

  $ 900,143     $     $     $ 900,143  

Investment Funds

    383,210,284                   383,210,284  

Short-Term Investments

    963,343                   963,343  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    385,073,770                   385,073,770  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    490,491                   490,491  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 385,564,261     $     $     $ 385,564,261  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

         

Futures Contracts

         

Equity Risk

  $     $ (625,148   $     $ (625,148
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (625,148   $     $ (625,148
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
MAC Implementation Fund  
Asset Valuation Inputs  

Debt Obligations

         

U.S. Government

  $ 19,973,789     $     $     $ 19,973,789  

U.S. Government Agency

          5,961,699             5,961,699  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    19,973,789       5,961,699             25,935,488  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    687,065                   687,065  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    20,660,854       5,961,699             26,622,553  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Interest Rate Risk

    199,135                   199,135  

Swap Contracts

         

Credit Risk

          2,582,747             2,582,747  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 20,859,989     $ 8,544,446     $     $ 29,404,435  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (1,734   $     $ (1,734

Futures Contracts

         

Interest Rate Risk

    (3,753                 (3,753
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (3,753   $ (1,734   $     $ (5,487
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Multi-Asset Credit Fund  
Asset Valuation Inputs  

Investment Funds

  $ 201,577,861     $     $     $ 201,577,861  

Short-Term Investments

    1,980,578                   1,980,578  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    203,558,439                   203,558,439  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 203,558,439     $     $     $ 203,558,439  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Strategic Opportunities Allocation Fund  
Asset Valuation Inputs  

Investment Funds

         

United States

  $ 74,298,183     $     $     $ 74,298,183  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    74,298,183                   74,298,183  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    100,097                   100,097  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    100,097                   100,097  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    93,568                   93,568  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    74,491,848                   74,491,848  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 74,491,848     $     $     $ 74,491,848  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

         

Futures Contracts

         

Equity Risk

  $     $ (267,880   $     $ (267,880
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (267,880   $     $ (267,880
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for forward currency contracts which are based on unrealized appreciation/(depreciation). Excludes purchased options, if any, which are included in investments.

  §

Represents the interest in securities that were determined to have a value of zero at May 31, 2026.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct


securities and derivatives, if any, please refer to the underlying funds’ financial statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

As of May 31, 2026, Alternative Allocation Fund’s Level 3 holdings include investments valued using unadjusted prices supplied by a third-party pricing source (e.g., broker quotes, vendors).

The following is a reconciliation of securities and derivatives, if any, for Funds in which significant unobservable inputs (Level 3) were used in determining value:

 

                     
     Balances
as of
February 28,
2026
    Purchases     Sales     Accrued
Discounts/
Premiums
    Total
Realized
Gain/
(Loss)
    Change in
Unrealized
Appreciation
(Depreciation)
    Transfer
into
Level 3
    Transfer
out of
Level 3
    Balances
as of
May 31,
2026
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as
of May 31,
2026
 
Consolidated Alternative Allocation Fund                                
Common Stocks                      

Israel

  $ 1,658,925     $     $ (1,658,925   $     $     $     $     $     $     $  
Rights/Warrants                      

Canada

    264,384                                                 264,384        

United States

    738,602       1,928                                           740,530        
Investment Funds                      

Japan

          2,051,226                         (210,305                 1,840,921       (210,305

United States

    12,812,912                               (492,805                 12,320,107       (492,805
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 15,474,823     $ 2,053,154     $ (1,658,925   $     $     $ (703,110   $     $     $ 15,165,942     $ (703,110
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

The following table summarizes the quantitative inputs used in the valuation of investments classified within Level 3 of the fair value hierarchy for the period ended May 31, 2026.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total Fair
Value ($)
    Valuation
Methodology
  Unobservable Inputs   Range (Weighted
Average)
Consolidated Alternative Allocation Fund                    

Investment Funds

    1,840,921     Fair Value   Net asset value statement   (N/A)

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of May 31, 2026, the value of these securities and/or derivatives for Consolidated Alternative Allocation Fund was $13,325,021. The inputs for these investments are not readily available or cannot be reasonably estimated.


Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2026 is set forth below:

 

                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
    Distributions
of Realized
Gains*
     Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Benchmark-Free Allocation Fund                     

GMO Alternative Allocation Fund, Class VI

   $ 335,180,576      $ 6,050,000      $ 12,865,000      $     $      $ 986,614     $ (10,588,712   $ 318,763,478  

GMO Climate Change Fund, Class III

     25,401,625                                         3,354,088       28,755,713  

GMO High Yield Fund, Class VI

     25,394,118                                         292,896       25,687,014  

GMO Implementation Fund

     2,146,596,608        4,515,000        24,145,000                     5,242,080       43,092,120       2,175,300,808  

GMO Opportunistic Income Fund, Class VI

     51,709,256        804,350        2,700,000        804,350              798       (760,114     49,054,290  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 2,584,282,183      $ 11,369,350      $ 39,710,000      $ 804,350     $      $ 6,229,492     $ 35,390,278     $ 2,597,561,303  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
Benchmark-Free Fund                                  

GMO Alternative Allocation Fund, Class VI

   $ 163,831,085      $ 5,770,000      $      $     $      $     $ (4,749,288   $ 164,851,797  

GMO Climate Change Fund, Class III

     13,348,240               1,550,001                     417,020       1,245,815       13,461,074  

GMO High Yield Fund, Class VI

     12,381,385                                         142,807       12,524,192  

GMO Opportunistic Income Fund, Class VI

     23,556,751                      379,090                    (354,021     23,202,730  

GMO Resources Fund, Class VI

     39,653,495               3,785,000                     474,646       2,932,060       39,275,201  

GMO U.S. Treasury Fund, Class VI

     135,562        66,879,105        35,979,659        **             (12,273     (647     31,022,088  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 252,906,518      $ 72,649,105      $ 41,314,660      $ 379,090     $      $ 879,393     $ (783,274   $ 284,337,082  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
Global Asset Allocation Fund                                  

GMO Alternative Allocation Fund, Class VI

   $ 89,432,129      $ 15,705,000      $      $     $      $     $ (2,755,208   $ 102,381,921  

GMO Asset Allocation Bond Fund, Class VI

     81,219,648        13,965,000                                  (6,236,471     88,948,177  

GMO Climate Change Fund, Class III

     4,822,362        1,055,000                                  873,387       6,750,749  

GMO Domestic Resilience ETF

     11,616,304        462,409               14,866                    239,744       12,318,457  

GMO Emerging Country Debt Fund, Class VI

     4,899,224        1,320,000                                  148,130       6,367,354  

GMO Emerging Markets ex-China Fund, Class VI

     18,907,370               1,835,000                     604,482       3,915,792       21,592,644  

GMO Emerging Markets Fund, Class VI

     36,055,458        8,360,000        4,400,000                     616,180       8,346,142       48,977,780  

GMO International Equity Fund, Class IV

     87,697,483        8,040,000                                  4,523,290       100,260,773  

GMO International Opportunistic Value Fund, Class IV

     41,435,931        3,015,000                                  462,088       44,913,019  

GMO-Usonian Japan Value Creation Fund, Class VI

     37,234,732        2,105,000                                  1,887,669       41,227,401  

GMO Opportunistic Income Fund, Class VI

     16,957,442        2,511,135               296,134                    (271,566     19,197,011  

GMO Quality Fund, Class VI

     16,239,777        2,560,000                                  1,227,647       20,027,424  

GMO Resources Fund, Class VI

     5,687,782                                         498,929       6,186,711  

GMO Small Cap Quality Fund, Class VI

     11,142,652        1,300,000                                  126,684       12,569,336  
                                                                      


                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
     Distributions
of Realized
Gains*
     Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Global Asset Allocation Fund (continued)                                   

GMO U.S. Equity Fund, Class VI

   $ 43,599,310      $ 1,840,000      $ 2,600,000      $      $      $ (150,905   $ 5,511,251     $ 48,199,656  

GMO U.S. Opportunistic Value Fund, Class VI

     39,725,801        2,995,000                                   1,871,824       44,592,625  

GMO U.S. Small Cap Value Fund, Class VI

     11,098,794        1,025,000                                   918,825       13,042,619  

GMO U.S. Treasury Fund, Class VI

     15,256,448        21,968,739        19,800,000        169,529                           17,425,187  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 573,028,647      $ 88,227,283      $ 28,635,000      $ 480,529      $      $ 1,069,757     $ 21,288,157     $ 654,978,844  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       
Global Developed Equity Allocation Fund                                   

GMO Climate Change Fund, Class III

   $ 965,786      $      $      $      $      $     $ 127,525     $ 1,093,311  

GMO Domestic Resilience ETF

     2,173,713                      2,667                     36,190       2,209,903  

GMO Emerging Markets ex-China Fund, Class VI

     2,115,502               205,000                      67,531       438,258       2,416,291  

GMO International Equity Fund, Class IV

     27,557,087               230,000                      103,082       996,292       28,426,461  

GMO International Opportunistic Value Fund, Class IV

     11,371,140        100,000        320,000                      79,548       7,287       11,237,975  

GMO-Usonian Japan Value Creation Fund, Class VI

     6,258,195                                          270,991       6,529,186  

GMO Quality Fund, Class VI

     14,607,773        190,000                                   835,476       15,633,249  

GMO Resources Fund, Class VI

     2,176,060               335,000                      50,342       126,209       2,017,611  

GMO Small Cap Quality Fund, Class VI

     3,820,928        85,000                                   17,555       3,923,483  

GMO U.S. Equity Fund, Class VI

     11,412,243        275,000                                   1,465,811       13,153,054  

GMO U.S. Opportunistic Value Fund, Class VI

     14,662,261        105,000        140,000                      14,157       574,383       15,215,801  

GMO U.S. Small Cap Value Fund, Class VI

     2,788,737                                          202,716       2,991,453  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 99,909,425      $ 755,000      $ 1,230,000      $ 2,667      $      $ 314,660     $ 5,098,693     $ 104,847,778  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       
Global Equity Allocation Fund                                   

GMO Climate Change Fund, Class III

   $ 6,988,718      $      $ 1,359,000      $      $      $ 332,151     $ 454,493     $ 6,416,362  

GMO Domestic Resilience ETF

     14,250,815               2,702,007        17,484               405,208       (182,696     11,771,320  

GMO Emerging Markets ex-China Fund, Class VI

     16,137,376        3,075,000        4,063,000                      858,981       3,766,101       19,774,458  

GMO Emerging Markets Fund, Class VI

     73,905,644        2,600,000        18,460,000                      520,087       11,443,163       70,008,894  

GMO International Equity Fund, Class IV

     167,427,492               22,692,000                      8,420,523       (3,206,004     149,950,011  

GMO International Opportunistic Value Fund, Class IV

     76,322,592               7,629,000                      1,924,202       (1,616,027     69,001,767  

GMO-Usonian Japan Value Creation Fund, Class VI

     44,018,733               7,103,001                      1,835,501       (470,071     38,281,162  

GMO Quality Fund, Class VI

     74,870,936        5,500,000        8,445,000                      2,405,643       1,665,911       75,997,490  

GMO Resources Fund, Class VI

     15,227,924               4,119,000                      668,039       535,688       12,312,651  

GMO Small Cap Quality Fund, Class VI

     26,526,390               1,558,000                      337,060       (268,326     25,037,124  

GMO U.S. Equity Fund, Class VI

     63,384,019               17,557,000                      1,707,855       3,870,345       51,405,219  
                                                                       


                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
    Distributions
of Realized
Gains*
     Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Global Equity Allocation Fund (continued)                                  

GMO U.S. Opportunistic Value Fund, Class VI

   $ 83,152,507      $ 3,500,000      $ 8,063,001      $     $      $ 975,092     $ 2,245,568     $ 81,810,166  

GMO U.S. Small Cap Value Fund, Class VI

     19,342,372               2,108,000                     515,307       840,368       18,590,047  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 681,555,518      $ 14,675,000      $ 105,858,009      $ 17,484     $      $ 20,905,649     $ 19,078,513     $ 630,356,671  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
Implementation Fund                                  

GMO U.S. Treasury Fund, Class VI

   $ 437,452      $ 179,595,295      $ 93,802,452      $ **     $      $ (978   $ (1,824   $ 86,227,493  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
International Developed Equity Allocation Fund                           

GMO International Equity Fund, Class IV

   $ 148,819,968      $ 1,465,000      $ 345,000      $     $      $ 136,308     $ 6,062,382     $ 156,138,658  

GMO International Opportunistic Value Fund, Class IV

     48,842,884        1,460,000        205,000                     39,200       413,155       50,550,239  

GMO-Usonian Japan Value Creation Fund, Class VI

     15,337,975        355,000        310,000                     101,823       598,894       16,083,692  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 213,000,827      $ 3,280,000      $ 860,000      $     $      $ 277,331     $ 7,074,431     $ 222,772,589  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
International Equity Allocation Fund                           

GMO Emerging Markets Fund, Class VI

   $ 110,662,187      $ 135,000      $ 13,390,000      $     $      $ 1,699,978     $ 17,761,627     $ 116,868,792  

GMO International Equity Fund, Class IV

     166,481,847        4,920,000        6,465,000                     1,978,337       4,396,472       171,311,656  

GMO International Opportunistic Value Fund, Class IV

     66,269,736        4,460,000        3,705,000                     784,063       (314,851     67,493,948  

GMO-Usonian Japan Value Creation Fund, Class VI

     26,294,916        1,435,000        1,300,000                     400,612       705,360       27,535,888  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 369,708,686      $ 10,950,000      $ 24,860,000      $     $      $ 4,862,990     $ 22,548,608     $ 383,210,284  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
Multi-Asset Credit Fund                           

GMO Emerging Country Debt Fund, Class VI

   $ 24,022,615      $      $      $     $      $     $ 669,266     $ 24,691,881  

GMO High Yield Fund, Class VI

     29,292,320        438,215        4,640,003                     (119,849     445,193       25,415,876  

GMO MAC Implementation Fund

     23,416,290                                         (1,244,862     22,171,428  

GMO Opportunistic Income Fund, Class VI

     87,828,875        4,904,585               1,440,326                    (1,339,943     91,393,517  

GMO Systematic Investment Grade Credit ETF

     19,496,573                      291,191                    (403,747     19,092,826  

GMO U.S. Treasury Fund, Class VI

     6,993,723        9,736,388        12,400,000        35,763 **                         4,330,111  

GMO Ultra-Short Income ETF

     9,582,003        4,951,979               151,864                    (51,760     14,482,222  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 200,632,399      $ 20,031,167      $ 17,040,003      $ 1,919,144     $      $ (119,849   $ (1,925,853   $ 201,577,861  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
Strategic Opportunities Allocation Fund                           

GMO Alternative Allocation Fund, Class VI

   $ 12,928,190      $ 913,000      $      $     $      $     $ (377,695   $ 13,463,495  

GMO Asset Allocation Bond Fund, Class VI

     6,765,416        425,000                                  (497,537     6,692,879  

GMO Climate Change Fund, Class III

     829,634                                         109,547       939,181  

GMO Domestic Resilience ETF

     1,710,328                      2,098                    28,474       1,738,802  
                                                                      


                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
     Distributions
of Realized
Gains*
     Net Realized
Gain (Loss)
     Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
     Value, end of
period
 
Strategic Opportunities Allocation Fund (continued)                              

GMO Emerging Country Debt Fund, Class VI

   $ 769,702      $      $      $      $      $      $ 21,444      $ 791,146  

GMO Emerging Markets ex-China Fund, Class VI

     1,725,840               168,000                      66,153        346,411        1,970,404  

GMO Emerging Markets Fund, Class VI

     4,233,253        930,000        805,000                      342,271        666,833        5,367,357  

GMO International Equity Fund, Class IV

     12,625,200        315,000        260,000                      108,745        443,056        13,232,001  

GMO International Opportunistic Value Fund, Class IV

     5,903,294                                           54,158        5,957,452  

GMO-Usonian Japan Value Creation Fund, Class VI

     5,393,878               180,000                      69,051        138,761        5,421,690  

GMO Quality Fund, Class VI

     2,352,997        160,000                                    154,362        2,667,359  

GMO Resources Fund, Class VI

     880,319                                           77,220        957,539  

GMO Small Cap Quality Fund, Class VI

     1,594,672                                           5,559        1,600,231  

GMO U.S. Equity Fund, Class VI

     5,485,709               650,000                      99,843        496,140        5,431,692  

GMO U.S. Opportunistic Value Fund, Class VI

     5,597,428        100,000                                    235,793        5,933,221  

GMO U.S. Treasury Fund, Class VI

     1,514,131        619,603               19,603                             2,133,734  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Totals

   $ 70,309,991      $ 3,462,603      $ 2,063,000      $ 21,701      $      $ 686,063      $ 1,902,526      $ 74,298,183  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 
                                                                         

 

*

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2026 through May 31, 2026. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2027.

**

Excludes income from investment of cash collateral from securities lending in GMO U.S. Treasury Fund. Income (net of fee rebates paid to the borrower and fees paid to the lending agent) from investment of cash collateral from securities lending in GMO U.S. Treasury Fund was $12,520, $41,348 and $324 Benchmark-Free Fund, Implementation Fund and Multi-Asset Credit Fund, respectively, during the period.

***

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.