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1 | |
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3 | |
|
5 | |
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7 | |
|
9 | |
|
11 | |
|
13 | |
|
16 | |
|
18 | |
|
20 | |
|
22 | |
|
24 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.7% | |||
|
DIVERSIFIED TELECOMMUNICATION SERVICES — 13.2% | |||
|
AT&T, Inc. |
47,115,353 |
$975,287,807 | |
|
Comcast Corp. Class A |
42,511,734 |
1,043,663,070 | |
|
Verizon Communications, Inc. |
23,311,610 |
987,013,567 | |
|
|
|
|
3,005,964,444 |
|
ENTERTAINMENT — 29.2% | |||
|
Electronic Arts, Inc. |
5,021,228 |
1,029,552,589 | |
|
Live Nation Entertainment, Inc.
(a) (b) |
5,609,101 |
1,027,082,484 | |
|
Netflix, Inc. (a) |
13,979,243 |
998,117,950 | |
|
Take-Two Interactive Software, Inc.
(a) |
4,176,865 |
1,044,132,713 | |
|
TKO Group Holdings, Inc. (b) |
2,643,898 |
532,243,106 | |
|
Walt Disney Co. |
10,437,076 |
1,004,568,565 | |
|
Warner Bros Discovery, Inc. (a) |
37,971,662 |
1,012,324,509 | |
|
|
|
|
6,648,021,916 |
|
INTERACTIVE MEDIA & SERVICES — 36.9% | |||
|
Alphabet, Inc. Class A |
7,083,951 |
2,531,591,569 | |
|
Alphabet, Inc. Class C |
5,710,021 |
2,017,521,720 | |
|
Meta Platforms, Inc. Class A |
6,838,735 |
3,852,191,038 | |
|
|
|
|
8,401,304,327 |
|
MEDIA — 16.0% | |||
|
Charter Communications, Inc.
Class A (a) (b) |
3,511,162 |
499,322,348 | |
|
EchoStar Corp. Class A (a) (b) |
5,721,598 |
580,742,197 | |
|
Fox Corp. Class A |
8,375,063 |
436,843,286 | |
|
Fox Corp. Class B |
5,837,736 |
273,439,554 | |
|
News Corp. Class A |
15,320,010 |
380,395,848 | |
|
News Corp. Class B (b) |
5,058,467 |
141,940,584 | |
|
Omnicom Group, Inc. (b) |
11,965,848 |
871,472,710 | |
|
Paramount Skydance Corp. Class B
(b) |
13,243,073 |
130,576,700 | |
|
Trade Desk, Inc. Class A (a) |
17,927,454 |
324,128,369 | |
|
|
|
|
3,638,861,596 |
|
Security Description |
|
Shares |
Value |
|
WIRELESS TELECOMMUNICATION SERVICES — 4.4% | |||
|
T-Mobile U.S., Inc. |
5,909,037 |
$991,122,776 | |
|
TOTAL COMMON STOCKS
(Cost $21,540,805,434) |
|
|
22,685,275,059 |
|
SHORT-TERM INVESTMENTS — 0.9% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (c) (d) |
18,323,895 |
18,323,895 | |
|
State Street Navigator Securities
Lending Portfolio II (e) (f) |
184,670,280 |
184,670,280 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $202,994,175) |
202,994,175 | ||
|
TOTAL INVESTMENTS — 100.6%
(Cost $21,743,799,609) |
22,888,269,234 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.6)% |
(138,383,617) | ||
|
NET ASSETS — 100.0% |
$22,749,885,617 | ||
|
(a) |
Non-income producing security. |
|
(b) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(c) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(d) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(e) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(f) |
Investment of cash collateral for securities loaned. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P Communication Services Select Sector Index (long) |
257 |
09/18/2026 |
$37,982,236 |
$36,323,738 |
$(1,658,498
) |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$22,685,275,059 |
$— |
$— |
$22,685,275,059 |
|
Short-Term Investments |
202,994,175 |
— |
— |
202,994,175 |
|
TOTAL INVESTMENTS |
$22,888,269,234 |
$— |
$— |
$22,888,269,234 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Depreciation |
$(1,658,498
) |
$— |
$— |
$(1,658,498
) |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$(1,658,498
) |
$— |
$— |
$(1,658,498
) |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation(a) |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
EchoStar Corp. |
— |
$— |
$1,326,289,460 |
$678,147,056 |
$(36,075,780
) |
$—
* |
— |
$—
* |
$— |
|
News Corp. |
17,366,229 |
533,316,893 |
585,315,947 |
647,795,559 |
(51,390,200
) |
—
* |
— |
—
* |
1,260,601 |
|
State Street Institutional
U.S. Government Money Market
Fund, Class G Shares |
8,039,952 |
8,039,952 |
615,040,530 |
604,756,587 |
— |
— |
18,323,895 |
18,323,895 |
1,243,267 |
|
State Street Navigator Securities
Lending Portfolio II |
421,406,591 |
421,406,591 |
6,227,899,823 |
6,464,636,134 |
— |
— |
184,670,280 |
184,670,280 |
971,491 |
|
TKO Group Holdings, Inc. |
3,182,905 |
642,819,494 |
834,523,816 |
946,704,518 |
93,758,639 |
—
* |
— |
—
* |
7,607,909 |
|
Trade Desk, Inc. |
20,559,686 |
1,007,630,211 |
649,102,791 |
747,136,962 |
(547,888,143
) |
—
* |
— |
—
* |
— |
|
Total |
|
$2,613,213,141 |
$10,238,172,367 |
$10,089,176,816 |
$(541,595,484
) |
$— |
|
$202,994,175 |
$11,083,268 |
|
(a) |
Does not include change in unrealized appreciation and depreciation from investments that are no longer affiliates at period ended June 30, 2026. |
|
* |
As of June 30, 2026, no longer an affiliate. |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.9% | |||
|
AUTO COMPONENTS — 0.3% | |||
|
Aptiv PLC (a) |
1,192,495 |
$73,195,343 | |
|
AUTOMOBILES — 22.7% | |||
|
Ford Motor Co. |
22,059,534 |
306,627,523 | |
|
General Motors Co. |
5,082,002 |
391,720,714 | |
|
Tesla, Inc. (a) |
10,577,584 |
4,448,931,830 | |
|
|
|
|
5,147,280,067 |
|
BROADLINE RETAIL — 23.5% | |||
|
Amazon.com, Inc. (a) |
21,119,610 |
5,033,647,847 | |
|
eBay, Inc. |
2,502,546 |
279,659,516 | |
|
|
|
|
5,313,307,363 |
|
DISTRIBUTORS — 0.4% | |||
|
Genuine Parts Co. (b) |
775,526 |
91,496,557 | |
|
HOTELS, RESTAURANTS & LEISURE — 25.2% | |||
|
Airbnb, Inc. Class A (a) |
2,355,590 |
337,084,929 | |
|
Booking Holdings, Inc. |
4,367,348 |
778,436,108 | |
|
Carnival Corp. Ltd. |
7,250,910 |
207,158,499 | |
|
Chipotle Mexican Grill, Inc. (a) |
7,229,946 |
245,818,164 | |
|
Darden Restaurants, Inc. |
645,402 |
132,959,266 | |
|
Domino's Pizza, Inc. (b) |
172,451 |
51,052,394 | |
|
DoorDash, Inc. Class A (a) |
2,132,936 |
393,590,680 | |
|
Expedia Group, Inc. |
645,357 |
165,133,949 | |
|
Hilton Worldwide Holdings, Inc. |
1,283,099 |
424,012,896 | |
|
Las Vegas Sands Corp. |
1,680,237 |
77,610,147 | |
|
Marriott International, Inc. Class A |
1,233,568 |
457,147,965 | |
|
McDonald's Corp. |
3,480,977 |
940,942,893 | |
|
MGM Resorts International (a) |
1,081,293 |
51,696,618 | |
|
Norwegian Cruise Line Holdings
Ltd. (a) |
2,587,133 |
54,614,378 | |
|
Royal Caribbean Cruises Ltd. (b) |
1,405,780 |
446,377,323 | |
|
Starbucks Corp. |
6,423,567 |
656,424,312 | |
|
Wynn Resorts Ltd. (b) |
472,603 |
45,885,025 | |
|
Yum! Brands, Inc. |
1,553,513 |
248,344,588 | |
|
|
|
|
5,714,290,134 |
|
HOUSEHOLD DURABLES — 3.6% | |||
|
Dr. Horton, Inc. |
1,486,458 |
242,114,279 | |
|
Garmin Ltd. |
923,937 |
219,471,995 | |
|
Lennar Corp. Class A |
1,212,900 |
109,755,321 | |
|
NVR, Inc. (a) |
15,211 |
103,638,627 | |
|
PulteGroup, Inc. |
1,073,393 |
147,280,254 | |
|
|
|
|
822,260,476 |
|
LEISURE PRODUCTS — 0.3% | |||
|
Hasbro, Inc. |
757,433 |
62,556,391 | |
|
Security Description |
|
Shares |
Value |
|
SPECIALTY RETAIL — 20.9% | |||
|
AutoZone, Inc. (a) |
92,866 |
$296,794,165 | |
|
Best Buy Co., Inc. |
1,104,164 |
83,783,964 | |
|
Carvana Co. (a) (b) |
4,037,226 |
265,730,215 | |
|
Home Depot, Inc. |
3,742,268 |
1,319,823,078 | |
|
Lowe's Cos., Inc. |
3,156,610 |
696,000,939 | |
|
O'Reilly Automotive, Inc. (a) |
4,670,857 |
430,139,221 | |
|
Ross Stores, Inc. |
1,815,726 |
386,477,279 | |
|
TJX Cos., Inc. |
5,865,718 |
888,656,277 | |
|
Tractor Supply Co. |
2,955,311 |
93,417,381 | |
|
Ulta Beauty, Inc. (a) |
245,478 |
110,705,669 | |
|
Williams-Sonoma, Inc. |
663,656 |
154,698,214 | |
|
|
|
|
4,726,226,402 |
|
TEXTILES, APPAREL & LUXURY GOODS — 3.0% | |||
|
Deckers Outdoor Corp. (a) |
799,885 |
79,420,582 | |
|
Lululemon Athletica, Inc. (a) (b) |
590,086 |
67,376,020 | |
|
NIKE, Inc. Class B |
6,760,747 |
277,528,664 | |
|
Ralph Lauren Corp. |
217,806 |
87,429,506 | |
|
Tapestry, Inc. |
1,138,813 |
166,699,447 | |
|
|
|
|
678,454,219 |
|
TOTAL COMMON STOCKS
(Cost $22,641,176,914) |
|
|
22,629,066,952 |
|
SHORT-TERM INVESTMENT — 0.1% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (c) (d)
(Cost $17,504,034) |
17,504,034 |
17,504,034 | |
|
TOTAL INVESTMENTS — 100.0%
(Cost $22,658,680,948) |
22,646,570,986 | ||
|
OTHER ASSETS IN EXCESS OF
LIABILITIES — 0.0% * |
5,518,509 | ||
|
NET ASSETS — 100.0% |
$22,652,089,495 | ||
|
(a) |
Non-income producing security. |
|
(b) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(c) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(d) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
* |
Amount is less than 0.05% of net assets. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Consumer Discretionary Select Sector Index (long) |
96 |
09/18/2026 |
$23,232,317 |
$22,968,000 |
$(264,317
) |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$22,629,066,952 |
$— |
$— |
$22,629,066,952 |
|
Short-Term Investment |
17,504,034 |
— |
— |
17,504,034 |
|
TOTAL INVESTMENTS |
$22,646,570,986 |
$— |
$— |
$22,646,570,986 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Depreciation |
$(264,317
) |
$— |
$— |
$(264,317
) |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$(264,317
) |
$— |
$— |
$(264,317
) |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government Money
Market Fund, Class G Shares |
17,811,377 |
$17,811,377 |
$254,543,176 |
$254,850,519 |
$— |
$— |
17,504,034 |
$17,504,034 |
$537,093 |
|
State Street Navigator Securities Lending
Portfolio II |
525,683 |
525,683 |
772,804,783 |
773,330,466 |
— |
— |
— |
— |
152,441 |
|
Total |
|
$18,337,060 |
$1,027,347,959 |
$1,028,180,985 |
$— |
$— |
|
$17,504,034 |
$689,534 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.6% | |||
|
BEVERAGES — 20.5% | |||
|
Brown-Forman Corp. Class B (a) |
1,489,155 |
$39,685,981 | |
|
Coca-Cola Co. |
11,481,817 |
933,127,267 | |
|
Constellation Brands, Inc. Class A |
1,233,598 |
171,581,146 | |
|
Keurig Dr. Pepper, Inc. (a) |
12,034,858 |
393,900,902 | |
|
Molson Coors Beverage Co.
Class B (a) |
1,419,113 |
55,288,642 | |
|
Monster Beverage Corp. (b) |
6,315,230 |
607,019,908 | |
|
PepsiCo, Inc. |
4,351,789 |
589,232,231 | |
|
|
|
|
2,789,836,077 |
|
CONSUMER STAPLES DISTRIBUTION & RETAIL — 33.3% | |||
|
Casey's General Stores, Inc. |
326,915 |
259,828,773 | |
|
Costco Wholesale Corp. |
1,315,503 |
1,230,613,591 | |
|
Dollar General Corp. |
1,948,024 |
224,237,043 | |
|
Dollar Tree, Inc. (b) |
1,601,876 |
193,746,902 | |
|
Kroger Co. |
5,017,498 |
278,621,664 | |
|
Sysco Corp. |
4,229,776 |
353,524,678 | |
|
Target Corp. |
4,017,427 |
524,716,141 | |
|
Walgreens Boots Alliance, Inc. (b) |
16,497 |
8,743 | |
|
Walmart, Inc. |
12,999,430 |
1,472,315,442 | |
|
|
|
|
4,537,612,977 |
|
FOOD PRODUCTS — 14.8% | |||
|
Archer-Daniels-Midland Co. |
4,263,164 |
325,705,730 | |
|
Bunge Global SA |
1,201,332 |
128,218,164 | |
|
General Mills, Inc. |
4,720,697 |
164,280,256 | |
|
Hershey Co. |
1,311,182 |
230,046,882 | |
|
Hormel Foods Corp. |
2,579,804 |
64,030,735 | |
|
J.M. Smucker Co. |
943,363 |
106,128,337 | |
|
Kraft Heinz Co. (a) |
7,551,955 |
178,377,177 | |
|
McCormick & Co., Inc. |
2,246,660 |
113,276,597 | |
|
Mondelez International, Inc.
Class A |
9,785,771 |
566,008,995 | |
|
Tyson Foods, Inc. Class A |
2,495,504 |
142,867,604 | |
|
|
|
|
2,018,940,477 |
|
HOUSEHOLD PRODUCTS — 16.7% | |||
|
Church & Dwight Co., Inc. |
2,095,888 |
203,049,629 | |
|
Clorox Co. |
1,069,609 |
102,083,483 | |
|
Colgate-Palmolive Co. |
6,982,221 |
640,130,021 | |
|
Kimberly-Clark Corp. (a) |
2,936,179 |
322,304,369 | |
|
Security Description |
|
Shares |
Value |
|
Procter & Gamble Co. |
6,904,673 |
$1,012,501,249 | |
|
|
|
|
2,280,068,751 |
|
PERSONAL CARE PRODUCTS — 3.6% | |||
|
Estee Lauder Cos., Inc. Class A |
2,187,402 |
172,695,388 | |
|
Kenvue, Inc. |
16,983,502 |
324,554,723 | |
|
|
|
|
497,250,111 |
|
TOBACCO — 10.7% | |||
|
Altria Group, Inc. |
8,588,142 |
617,916,817 | |
|
Philip Morris International, Inc. |
4,621,385 |
836,054,760 | |
|
|
|
|
1,453,971,577 |
|
TOTAL COMMON STOCKS
(Cost $15,849,293,378) |
|
|
13,577,679,970 |
|
SHORT-TERM INVESTMENTS — 0.7% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (c) (d) |
15,897,561 |
15,897,561 | |
|
State Street Navigator Securities
Lending Portfolio II (e) (f) |
76,539,033 |
76,539,033 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $92,436,594) |
92,436,594 | ||
|
TOTAL INVESTMENTS — 100.3%
(Cost $15,941,729,972) |
13,670,116,564 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.3)% |
(41,602,879) | ||
|
NET ASSETS — 100.0% |
$13,628,513,685 | ||
|
(a) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(b) |
Non-income producing security. |
|
(c) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(d) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(e) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(f) |
Investment of cash collateral for securities loaned. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Consumer Staples Select Sector Index (long) |
627 |
09/18/2026 |
$54,290,169 |
$52,968,960 |
$(1,321,209
) |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$13,577,671,227 |
$8,743 |
$— |
$13,577,679,970 |
|
Short-Term Investments |
92,436,594 |
— |
— |
92,436,594 |
|
TOTAL INVESTMENTS |
$13,670,107,821 |
$8,743 |
$— |
$13,670,116,564 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Depreciation |
$(1,321,209
) |
$— |
$— |
$(1,321,209
) |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$(1,321,209
) |
$— |
$— |
$(1,321,209
) |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government
Money Market Fund, Class G Shares |
33,628,189 |
$33,628,189 |
$702,558,980 |
$720,289,608 |
$— |
$— |
15,897,561 |
$15,897,561 |
$787,451 |
|
State Street Navigator Securities Lending
Portfolio II |
112,045,716 |
112,045,716 |
3,255,108,645 |
3,290,615,328 |
— |
— |
76,539,033 |
76,539,033 |
280,247 |
|
Total |
|
$145,673,905 |
$3,957,667,625 |
$4,010,904,936 |
$— |
$— |
|
$92,436,594 |
$1,067,698 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.8% | |||
|
ENERGY EQUIPMENT & SERVICES — 10.3% | |||
|
Baker Hughes Co. |
24,618,395 |
$1,366,320,923 | |
|
Halliburton Co. |
20,730,558 |
703,802,444 | |
|
SLB Ltd. |
34,834,088 |
1,619,436,751 | |
|
|
|
|
3,689,560,118 |
|
OIL, GAS & CONSUMABLE FUELS — 89.5% | |||
|
APA Corp. (a) |
8,771,425 |
285,685,312 | |
|
Chevron Corp. |
31,004,908 |
5,139,373,550 | |
|
ConocoPhillips |
20,176,859 |
2,097,586,262 | |
|
Devon Energy Corp. |
28,610,696 |
1,182,193,959 | |
|
Diamondback Energy, Inc. |
4,816,822 |
846,700,971 | |
|
EOG Resources, Inc. |
12,245,705 |
1,588,635,310 | |
|
EQT Corp. |
15,521,352 |
825,270,286 | |
|
Expand Energy Corp. |
5,936,551 |
541,354,086 | |
|
Exxon Mobil Corp. |
52,965,823 |
7,241,487,320 | |
|
Kinder Morgan, Inc. |
48,584,350 |
1,553,241,669 | |
|
Marathon Petroleum Corp. |
6,232,175 |
1,593,380,182 | |
|
Occidental Petroleum Corp. |
18,017,847 |
875,126,829 | |
|
ONEOK, Inc. (a) |
15,634,435 |
1,359,257,779 | |
|
Phillips 66 Co. |
9,282,232 |
1,569,161,320 | |
|
Targa Resources Corp. |
5,326,383 |
1,428,216,338 | |
|
Texas Pacific Land Corp. (a) |
1,437,744 |
629,214,284 | |
|
Valero Energy Corp. |
6,065,810 |
1,579,779,556 | |
|
Williams Cos., Inc. |
21,600,601 |
1,605,788,678 | |
|
|
|
|
31,941,453,691 |
|
TOTAL COMMON STOCKS
(Cost $34,598,423,933) |
|
|
35,631,013,809 |
|
Security Description |
|
Shares |
Value |
|
SHORT-TERM INVESTMENTS — 0.2% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (b) (c) |
48,227,166 |
$48,227,166 | |
|
State Street Navigator Securities
Lending Portfolio II (d) (e) |
30,448,968 |
30,448,968 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $78,676,134) |
78,676,134 | ||
|
TOTAL INVESTMENTS — 100.0%
(Cost $34,677,100,067) |
35,709,689,943 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.0)% * |
(12,433,553) | ||
|
NET ASSETS — 100.0% |
$35,697,256,390 | ||
|
(a) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(b) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(c) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(d) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(e) |
Investment of cash collateral for securities loaned. |
|
* |
Amount is less than 0.05% of net assets. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Energy Select Sector Index (long) |
585 |
09/18/2026 |
$70,749,900 |
$65,683,800 |
$(5,066,100
) |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$35,631,013,809 |
$— |
$— |
$35,631,013,809 |
|
Short-Term Investments |
78,676,134 |
— |
— |
78,676,134 |
|
TOTAL INVESTMENTS |
$35,709,689,943 |
$— |
$— |
$35,709,689,943 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Depreciation |
$(5,066,100
) |
$— |
$— |
$(5,066,100
) |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$(5,066,100
) |
$— |
$— |
$(5,066,100
) |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government
Money Market Fund, Class G Shares |
35,465,791 |
$35,465,791 |
$1,097,071,253 |
$1,084,309,878 |
$— |
$— |
48,227,166 |
$48,227,166 |
$1,643,641 |
|
State Street Navigator Securities Lending
Portfolio II |
98,112,218 |
98,112,218 |
1,953,688,137 |
2,021,351,387 |
— |
— |
30,448,968 |
30,448,968 |
63,463 |
|
Total |
|
$133,578,009 |
$3,050,759,390 |
$3,105,661,265 |
$— |
$— |
|
$78,676,134 |
$1,707,104 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.8% | |||
|
BANKS — 28.9% | |||
|
Bank of America Corp. |
44,448,584 |
$2,532,680,316 | |
|
Citigroup, Inc. |
11,611,646 |
1,625,165,974 | |
|
Citizens Financial Group, Inc. |
2,879,134 |
201,740,919 | |
|
Fifth Third Bancorp |
6,170,212 |
347,814,850 | |
|
Huntington Bancshares, Inc. |
13,800,589 |
244,684,443 | |
|
JPMorgan Chase & Co. |
18,242,250 |
5,971,235,693 | |
|
KeyCorp |
6,274,230 |
144,621,002 | |
|
M&T Bank Corp. |
997,091 |
237,317,629 | |
|
PNC Financial Services Group,
Inc. |
2,733,702 |
673,092,107 | |
|
Regions Financial Corp. |
5,809,884 |
175,458,497 | |
|
Truist Financial Corp. |
8,482,192 |
422,582,805 | |
|
U.S. Bancorp |
10,568,030 |
638,309,012 | |
|
Wells Fargo & Co. |
20,833,735 |
1,721,699,860 | |
|
|
|
|
14,936,403,107 |
|
CAPITAL MARKETS — 25.1% | |||
|
Ameriprise Financial, Inc. |
612,082 |
280,798,738 | |
|
ARES Management Corp. Class A
(a) |
1,436,054 |
159,847,171 | |
|
Bank of New York Mellon Corp. |
4,672,870 |
675,743,731 | |
|
Blackrock, Inc. |
982,912 |
945,128,863 | |
|
Blackstone, Inc. |
5,057,554 |
595,122,379 | |
|
Cboe Global Markets, Inc. |
712,513 |
172,905,530 | |
|
Charles Schwab Corp. |
11,129,650 |
1,026,932,806 | |
|
CME Group, Inc. |
2,466,724 |
544,726,661 | |
|
Coinbase Global, Inc. Class A
(a) (b) |
1,514,347 |
221,382,388 | |
|
FactSet Research Systems, Inc. (a) |
248,030 |
57,066,742 | |
|
Franklin Resources, Inc. |
2,086,967 |
69,433,392 | |
|
Goldman Sachs Group, Inc. |
2,008,167 |
2,030,999,859 | |
|
Interactive Brokers Group, Inc.
Class A |
3,033,066 |
263,998,065 | |
|
Intercontinental Exchange, Inc. |
3,849,938 |
473,965,867 | |
|
Invesco Ltd. |
3,018,136 |
79,648,609 | |
|
KKR & Co., Inc. |
4,707,104 |
432,018,005 | |
|
Moody's Corp. |
1,022,910 |
463,296,397 | |
|
Morgan Stanley |
8,161,197 |
1,706,016,621 | |
|
MSCI, Inc. |
495,659 |
277,588,866 | |
|
Nasdaq, Inc. |
3,041,551 |
239,735,050 | |
|
Northern Trust Corp. |
1,259,503 |
218,952,002 | |
|
Raymond James Financial, Inc. |
1,180,580 |
179,483,577 | |
|
Robinhood Markets, Inc. Class A
(b) |
5,386,347 |
540,142,877 | |
|
S&P Global, Inc. |
2,063,971 |
840,572,829 | |
|
State Street Corp. (c) |
1,884,403 |
319,594,749 | |
|
T. Rowe Price Group, Inc. (a) |
1,458,796 |
165,850,517 | |
|
|
|
|
12,980,952,291 |
|
CONSUMER FINANCE — 4.4% | |||
|
American Express Co. |
3,623,180 |
1,225,540,635 | |
|
Capital One Financial Corp. |
4,236,493 |
849,925,225 | |
|
Synchrony Financial |
2,290,194 |
174,169,254 | |
|
|
|
|
2,249,635,114 |
|
Security Description |
|
Shares |
Value |
|
FINANCIAL SERVICES — 28.0% | |||
|
Apollo Global Management, Inc.
(a) |
3,139,799 |
$371,469,620 | |
|
Berkshire Hathaway, Inc. Class B
(b) |
12,481,436 |
6,245,585,760 | |
|
Block, Inc. (b) |
3,643,440 |
276,901,440 | |
|
Corpay, Inc. (b) |
444,995 |
148,303,484 | |
|
Fidelity National Information
Services, Inc. |
3,519,121 |
136,823,424 | |
|
Fiserv, Inc. (b) |
3,630,593 |
178,080,587 | |
|
Global Payments, Inc. (a) |
1,582,684 |
114,839,551 | |
|
Jack Henry & Associates, Inc. |
483,771 |
66,634,617 | |
|
Mastercard, Inc. Class A |
5,493,193 |
2,821,303,925 | |
|
PayPal Holdings, Inc. |
6,005,434 |
259,314,640 | |
|
Visa, Inc. Class A |
11,299,318 |
3,876,683,013 | |
|
|
|
|
14,495,940,061 |
|
INSURANCE — 13.4% | |||
|
Aflac, Inc. |
3,118,495 |
365,643,539 | |
|
Allstate Corp. |
1,752,627 |
417,020,068 | |
|
American International Group, Inc. |
3,609,933 |
269,048,306 | |
|
Aon PLC Class A |
1,454,126 |
482,319,053 | |
|
Arch Capital Group Ltd. (b) |
2,368,850 |
229,920,581 | |
|
Arthur J Gallagher & Co. |
1,749,057 |
401,531,016 | |
|
Assurant, Inc. |
337,390 |
90,599,337 | |
|
Brown & Brown, Inc. (a) |
1,984,603 |
127,312,282 | |
|
Chubb Ltd. |
2,455,870 |
836,813,144 | |
|
Cincinnati Financial Corp. |
1,053,162 |
194,982,413 | |
|
Erie Indemnity Co. Class A (a) |
172,994 |
41,475,312 | |
|
Everest Group Ltd. |
269,414 |
96,242,763 | |
|
Globe Life, Inc. |
528,233 |
94,384,672 | |
|
Hartford Insurance Group, Inc. |
1,866,439 |
247,340,496 | |
|
Loews Corp. |
1,148,760 |
130,051,120 | |
|
Marsh & McLennan Cos., Inc. |
3,279,936 |
546,666,933 | |
|
MetLife, Inc. |
3,679,477 |
311,320,549 | |
|
Principal Financial Group, Inc. |
1,338,130 |
144,223,651 | |
|
Progressive Corp. |
3,978,466 |
869,095,898 | |
|
Prudential Financial, Inc. |
2,362,547 |
254,989,698 | |
|
Travelers Cos., Inc. |
1,447,752 |
477,931,890 | |
|
W.R. Berkley Corp. |
2,002,377 |
141,227,650 | |
|
Willis Towers Watson PLC |
642,946 |
168,046,796 | |
|
|
|
|
6,938,187,167 |
|
TOTAL COMMON STOCKS
(Cost $53,746,741,182) |
|
|
51,601,117,740 |
|
SHORT-TERM INVESTMENTS — 0.3% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (d) (e) |
69,221,246 |
69,221,246 | |
|
Security Description |
|
Shares |
Value |
|
State Street Navigator Securities
Lending Portfolio II (c) (f) |
57,870,881 |
$57,870,881 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $127,092,127) |
127,092,127 | ||
|
TOTAL INVESTMENTS — 100.1%
(Cost $53,873,833,309) |
51,728,209,867 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.1)% |
(39,190,392) | ||
|
NET ASSETS — 100.0% |
$51,689,019,475 | ||
|
(a) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(b) |
Non-income producing security. |
|
(c) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(d) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(e) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(f) |
Investment of cash collateral for securities loaned. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Financial Select Sector Index (long) |
410 |
09/18/2026 |
$67,845,746 |
$68,304,975 |
$459,229 |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$51,601,117,740 |
$— |
$— |
$51,601,117,740 |
|
Short-Term Investments |
127,092,127 |
— |
— |
127,092,127 |
|
TOTAL INVESTMENTS |
$51,728,209,867 |
$— |
$— |
$51,728,209,867 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Appreciation |
$459,229 |
$— |
$— |
$459,229 |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$459,229 |
$— |
$— |
$459,229 |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Corp. |
1,985,828 |
$230,375,906 |
$225,979,703 |
$238,763,149 |
$61,077,493 |
$40,924,796 |
1,884,403 |
$319,594,749 |
$4,860,043 |
|
State Street Institutional U.S. Government
Money Market Fund, Class G Shares |
53,803,360 |
53,803,360 |
1,123,277,868 |
1,107,859,982 |
— |
— |
69,221,246 |
69,221,246 |
1,434,859 |
|
State Street Navigator Securities Lending
Portfolio II |
57,778,429 |
57,778,429 |
1,450,240,069 |
1,450,147,617 |
— |
— |
57,870,881 |
57,870,881 |
57,440 |
|
Total |
|
$341,957,695 |
$2,799,497,640 |
$2,796,770,748 |
$61,077,493 |
$40,924,796 |
|
$446,686,876 |
$6,352,342 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.8% | |||
|
BIOTECHNOLOGY — 18.5% | |||
|
AbbVie, Inc. |
12,526,178 |
$3,152,087,432 | |
|
Amgen, Inc. |
3,826,389 |
1,385,611,985 | |
|
Biogen, Inc. (a) |
1,046,763 |
226,163,614 | |
|
Gilead Sciences, Inc. |
8,802,472 |
1,112,104,312 | |
|
Incyte Corp. (a) |
1,189,754 |
134,870,513 | |
|
Moderna, Inc. (a) (b) |
2,503,646 |
175,330,329 | |
|
Regeneron Pharmaceuticals, Inc. |
708,403 |
441,717,607 | |
|
Vertex Pharmaceuticals, Inc. (a) |
1,799,427 |
893,829,374 | |
|
|
|
|
7,521,715,166 |
|
HEALTH CARE EQUIPMENT & SUPPLIES — 15.4% | |||
|
Abbott Laboratories |
12,348,978 |
1,120,546,264 | |
|
Align Technology, Inc. (a) |
472,209 |
79,642,770 | |
|
Baxter International, Inc. (b) |
3,661,624 |
78,065,824 | |
|
Becton Dickinson & Co. |
1,953,475 |
295,619,372 | |
|
Boston Scientific Corp. (a) |
10,537,914 |
449,758,169 | |
|
Cooper Cos., Inc. (a) |
1,383,290 |
99,195,726 | |
|
Dexcom, Inc. (a) |
2,735,707 |
184,249,866 | |
|
Edwards Lifesciences Corp. (a) |
4,082,251 |
369,280,425 | |
|
GE HealthCare Technologies, Inc. |
3,225,097 |
206,438,459 | |
|
Hologic, Inc. (a) |
1,617,201 |
16,172 | |
|
IDEXX Laboratories, Inc. (a) |
559,257 |
294,415,255 | |
|
Insulet Corp. (a) |
491,081 |
74,767,082 | |
|
Intuitive Surgical, Inc. (a) |
2,510,946 |
998,553,005 | |
|
Medtronic PLC |
9,102,464 |
712,085,759 | |
|
ResMed, Inc. (b) |
1,028,385 |
200,411,669 | |
|
Solventum Corp. (a) |
1,043,604 |
80,514,048 | |
|
STERIS PLC |
695,359 |
146,421,745 | |
|
Stryker Corp. |
2,446,139 |
770,142,403 | |
|
Zimmer Biomet Holdings, Inc. |
1,371,629 |
118,083,541 | |
|
|
|
|
6,278,207,554 |
|
HEALTH CARE PROVIDERS & SERVICES — 18.7% | |||
|
Cardinal Health, Inc. |
1,660,452 |
394,456,977 | |
|
Cencora, Inc. |
1,379,397 |
390,341,763 | |
|
Centene Corp. (a) |
3,325,888 |
213,488,751 | |
|
Cigna Group |
1,875,470 |
517,029,570 | |
|
CVS Health Corp. |
9,045,982 |
935,806,838 | |
|
DaVita, Inc. (a) |
227,580 |
50,631,998 | |
|
Elevance Health, Inc. |
1,539,617 |
595,416,082 | |
|
HCA Healthcare, Inc. |
1,100,940 |
429,245,497 | |
|
Henry Schein, Inc. (a) (b) |
686,509 |
57,337,232 | |
|
Humana, Inc. |
851,186 |
338,108,103 | |
|
Labcorp Holdings, Inc. |
581,366 |
162,782,480 | |
|
McKesson Corp. |
852,212 |
643,931,387 | |
|
Quest Diagnostics, Inc. |
784,788 |
166,335,817 | |
|
UnitedHealth Group, Inc. |
6,438,512 |
2,676,038,742 | |
|
Universal Health Services, Inc.
Class B |
377,815 |
56,177,312 | |
|
|
|
|
7,627,128,549 |
|
HEALTH CARE TECHNOLOGY — 0.5% | |||
|
Veeva Systems, Inc. Class A (a) |
1,064,522 |
188,920,720 | |
|
LIFE SCIENCES TOOLS & SERVICES — 8.7% | |||
|
Agilent Technologies, Inc. |
2,003,593 |
266,137,258 | |
|
Security Description |
|
Shares |
Value |
|
Bio-Techne Corp. (b) |
1,110,060 |
$78,425,739 | |
|
Charles River Laboratories
International, Inc. (a) |
341,481 |
77,444,476 | |
|
Danaher Corp. |
4,465,957 |
850,675,489 | |
|
IQVIA Holdings, Inc. (a) |
1,183,268 |
228,631,043 | |
|
Mettler-Toledo International, Inc.
(a) |
143,270 |
183,028,858 | |
|
Revvity, Inc. (b) |
790,963 |
88,002,543 | |
|
Thermo Fisher Scientific, Inc. |
2,634,693 |
1,320,929,683 | |
|
Waters Corp. (a) |
696,100 |
261,065,344 | |
|
West Pharmaceutical Services, Inc. |
500,837 |
179,800,483 | |
|
|
|
|
3,534,140,916 |
|
PHARMACEUTICALS — 38.0% | |||
|
Bristol-Myers Squibb Co. |
14,477,766 |
834,208,877 | |
|
Eli Lilly & Co. |
5,608,441 |
6,726,932,389 | |
|
Johnson & Johnson |
17,066,625 |
4,334,410,751 | |
|
Merck & Co., Inc. |
17,510,463 |
2,250,094,495 | |
|
Pfizer, Inc. |
40,407,651 |
973,016,236 | |
|
Viatris, Inc. |
8,256,417 |
131,111,902 | |
|
Zoetis, Inc. |
2,972,182 |
213,580,999 | |
|
|
|
|
15,463,355,649 |
|
TOTAL COMMON STOCKS
(Cost $44,126,315,302) |
|
|
40,613,468,554 |
|
SHORT-TERM INVESTMENTS — 0.2% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (c) (d) |
101,803,911 |
101,803,911 | |
|
State Street Navigator Securities
Lending Portfolio II (e) (f) |
5,091,344 |
5,091,344 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $106,895,255) |
106,895,255 | ||
|
TOTAL INVESTMENTS — 100.0%
(Cost $44,233,210,557) |
40,720,363,809 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.0)% * |
(18,695,113) | ||
|
NET ASSETS — 100.0% |
$40,701,668,696 | ||
|
(a) |
Non-income producing security. |
|
(b) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(c) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(d) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(e) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(f) |
Investment of cash collateral for securities loaned. |
|
* |
Amount is less than 0.05% of net assets. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Health Care Select Sector Index (long) |
575 |
09/18/2026 |
$89,540,898 |
$92,902,750 |
$3,361,852 |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$40,613,452,382 |
$16,172 |
$— |
$40,613,468,554 |
|
Short-Term Investments |
106,895,255 |
— |
— |
106,895,255 |
|
TOTAL INVESTMENTS |
$40,720,347,637 |
$16,172 |
$— |
$40,720,363,809 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Appreciation |
$3,361,852 |
$— |
$— |
$3,361,852 |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$3,361,852 |
$— |
$— |
$3,361,852 |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government
Money Market Fund, Class G Shares |
25,290,125 |
$25,290,125 |
$956,126,374 |
$879,612,588 |
$— |
$— |
101,803,911 |
$101,803,911 |
$1,573,977 |
|
State Street Navigator Securities Lending
Portfolio II |
33,104,718 |
33,104,718 |
1,579,981,741 |
1,607,995,115 |
— |
— |
5,091,344 |
5,091,344 |
140,116 |
|
Total |
|
$58,394,843 |
$2,536,108,115 |
$2,487,607,703 |
$— |
$— |
|
$106,895,255 |
$1,714,093 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.9% | |||
|
AEROSPACE & DEFENSE — 25.3% | |||
|
Axon Enterprise, Inc. (a) (b) |
473,266 |
$265,317,652 | |
|
Boeing Co. (a) |
4,628,378 |
1,001,904,986 | |
|
General Dynamics Corp. |
1,490,286 |
527,918,913 | |
|
General Electric Co. |
6,125,838 |
2,289,409,436 | |
|
Honeywell Aerospace, Inc. (a) |
1,859,559 |
411,111,304 | |
|
Howmet Aerospace, Inc. |
2,349,398 |
631,659,146 | |
|
Huntington Ingalls Industries, Inc. |
231,324 |
64,745,274 | |
|
L3Harris Technologies, Inc. |
1,093,722 |
317,824,676 | |
|
Lockheed Martin Corp. |
1,191,292 |
606,915,622 | |
|
Northrop Grumman Corp. |
783,909 |
399,252,693 | |
|
RTX Corp. |
7,906,857 |
1,500,167,979 | |
|
Textron, Inc. |
1,021,695 |
93,720,082 | |
|
TransDigm Group, Inc. |
328,421 |
437,469,909 | |
|
|
|
|
8,547,417,672 |
|
AIR FREIGHT & LOGISTICS — 3.3% | |||
|
CH Robinson Worldwide, Inc. |
692,096 |
130,349,361 | |
|
Expeditors International of
Washington, Inc. |
767,872 |
125,147,778 | |
|
FedEx Corp. |
1,288,905 |
403,594,823 | |
|
United Parcel Service, Inc. Class B |
4,383,565 |
471,233,237 | |
|
|
|
|
1,130,325,199 |
|
AIRLINES — 2.3% | |||
|
Delta Air Lines, Inc. |
3,836,624 |
359,338,204 | |
|
Southwest Airlines Co. |
2,869,752 |
147,562,648 | |
|
United Airlines Holdings, Inc. (a) |
1,905,684 |
259,153,967 | |
|
|
|
|
766,054,819 |
|
BUILDING PRODUCTS — 5.5% | |||
|
A.O. Smith Corp. (b) |
657,487 |
41,237,584 | |
|
Allegion PLC |
503,073 |
70,676,726 | |
|
Builders FirstSource, Inc. (a) |
631,531 |
56,509,394 | |
|
Carrier Global Corp. |
4,584,054 |
336,240,361 | |
|
Johnson Controls International
PLC |
3,582,186 |
523,393,196 | |
|
Lennox International, Inc. |
185,943 |
106,536,042 | |
|
Masco Corp. |
1,190,532 |
96,873,589 | |
|
Trane Technologies PLC |
1,297,836 |
637,445,130 | |
|
|
|
|
1,868,912,022 |
|
COMMERCIAL SERVICES & SUPPLIES — 4.2% | |||
|
Cintas Corp. |
1,996,740 |
339,605,539 | |
|
Copart, Inc. (a) |
5,215,371 |
147,021,309 | |
|
Republic Services, Inc. |
1,174,230 |
250,204,928 | |
|
Rollins, Inc. |
1,716,068 |
71,628,678 | |
|
Veralto Corp. |
1,442,026 |
127,878,866 | |
|
Waste Management, Inc. |
2,169,117 |
483,452,797 | |
|
|
|
|
1,419,792,117 |
|
CONSTRUCTION & ENGINEERING — 3.7% | |||
|
Comfort Systems USA, Inc. |
206,357 |
408,989,256 | |
|
EMCOR Group, Inc. |
260,885 |
216,503,244 | |
|
Quanta Services, Inc. |
881,074 |
634,408,523 | |
|
|
|
|
1,259,901,023 |
|
Security Description |
|
Shares |
Value |
|
ELECTRICAL EQUIPMENT — 14.7% | |||
|
AMETEK, Inc. |
1,345,700 |
$325,578,658 | |
|
Eaton Corp. PLC |
2,279,836 |
971,483,716 | |
|
Emerson Electric Co. (b) |
3,288,563 |
470,757,794 | |
|
GE Vernova, Inc. |
1,577,783 |
1,853,674,135 | |
|
Generac Holdings, Inc. (a) |
345,636 |
101,205,677 | |
|
Hubbell, Inc. |
310,265 |
162,330,648 | |
|
Rockwell Automation, Inc. |
653,330 |
323,450,616 | |
|
Vertiv Holdings Co. Class A |
2,255,268 |
755,108,832 | |
|
|
|
|
4,963,590,076 |
|
GROUND TRANSPORTATION — 9.4% | |||
|
CSX Corp. |
10,909,677 |
518,536,948 | |
|
Fedex Freight Holding Co., Inc. (a) |
638,293 |
96,382,243 | |
|
JB Hunt Transport Services, Inc. |
438,407 |
126,888,138 | |
|
Norfolk Southern Corp. |
1,318,672 |
414,841,025 | |
|
Old Dominion Freight Line, Inc. |
1,074,524 |
232,741,898 | |
|
Uber Technologies, Inc. (a) |
11,951,724 |
862,436,404 | |
|
Union Pacific Corp. |
3,485,896 |
948,163,712 | |
|
|
|
|
3,199,990,368 |
|
INDUSTRIAL CONGLOMERATES — 2.7% | |||
|
3M Co. |
3,062,373 |
495,828,812 | |
|
Honeywell International, Inc. |
1,859,559 |
416,355,260 | |
|
|
|
|
912,184,072 |
|
MACHINERY — 22.0% | |||
|
Caterpillar, Inc. |
2,704,353 |
2,879,865,510 | |
|
Cummins, Inc. |
810,138 |
577,798,523 | |
|
Deere & Co. |
1,474,910 |
935,579,660 | |
|
Dover Corp. |
789,912 |
177,161,463 | |
|
Fortive Corp. |
1,789,962 |
109,348,779 | |
|
IDEX Corp. |
434,598 |
98,632,016 | |
|
Illinois Tool Works, Inc. (b) |
1,535,831 |
415,396,211 | |
|
Ingersoll Rand, Inc. (b) |
2,090,846 |
171,428,463 | |
|
Nordson Corp. |
311,157 |
93,872,955 | |
|
Otis Worldwide Corp. |
2,252,983 |
161,313,583 | |
|
PACCAR, Inc. |
3,090,033 |
371,174,764 | |
|
Parker-Hannifin Corp. |
740,330 |
724,131,580 | |
|
Pentair PLC |
948,849 |
72,738,764 | |
|
Snap-on, Inc. |
304,399 |
122,490,158 | |
|
Stanley Black & Decker, Inc. (b) |
912,709 |
85,904,171 | |
|
Westinghouse Air Brake
Technologies Corp. |
996,236 |
268,585,226 | |
|
Xylem, Inc. (b) |
1,395,554 |
164,968,438 | |
|
|
|
|
7,430,390,264 |
|
PROFESSIONAL SERVICES — 3.6% | |||
|
Automatic Data Processing, Inc. |
2,346,981 |
525,606,395 | |
|
Broadridge Financial Solutions,
Inc. |
679,021 |
92,991,926 | |
|
Equifax, Inc. |
699,052 |
110,953,534 | |
|
Jacobs Solutions, Inc. |
693,320 |
87,358,320 | |
|
Leidos Holdings, Inc. |
738,527 |
76,046,125 | |
|
Paychex, Inc. |
1,891,992 |
186,039,573 | |
|
Verisk Analytics, Inc. |
769,281 |
138,109,018 | |
|
|
|
|
1,217,104,891 |
|
Security Description |
|
Shares |
Value |
|
TRADING COMPANIES & DISTRIBUTORS — 3.2% | |||
|
Fastenal Co. |
6,740,561 |
$323,749,145 | |
|
United Rentals, Inc. |
367,819 |
416,698,467 | |
|
WW Grainger, Inc. |
255,034 |
346,948,253 | |
|
|
|
|
1,087,395,865 |
|
TOTAL COMMON STOCKS
(Cost $30,166,466,636) |
|
|
33,803,058,388 |
|
SHORT-TERM INVESTMENTS — 0.1% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (c) (d) |
18,850,829 |
18,850,829 | |
|
State Street Navigator Securities
Lending Portfolio II (e) (f) |
4,248,136 |
4,248,136 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $23,098,965) |
23,098,965 | ||
|
TOTAL INVESTMENTS — 100.0%
(Cost $30,189,565,601) |
33,826,157,353 | ||
|
OTHER ASSETS IN EXCESS OF
LIABILITIES — 0.0% * |
8,013,704 | ||
|
NET ASSETS — 100.0% |
$33,834,171,057 | ||
|
(a) |
Non-income producing security. |
|
(b) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(c) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(d) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(e) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(f) |
Investment of cash collateral for securities loaned. |
|
* |
Amount is less than 0.05% of net assets. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Industrial Select Sector Index (long) |
125 |
09/18/2026 |
$22,360,000 |
$23,523,750 |
$1,163,750 |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$33,803,058,388 |
$— |
$— |
$33,803,058,388 |
|
Short-Term Investments |
23,098,965 |
— |
— |
23,098,965 |
|
TOTAL INVESTMENTS |
$33,826,157,353 |
$— |
$— |
$33,826,157,353 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Appreciation |
$1,163,750 |
$— |
$— |
$1,163,750 |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$1,163,750 |
$— |
$— |
$1,163,750 |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government Money
Market Fund, Class G Shares |
16,080,176 |
$16,080,176 |
$463,268,700 |
$460,498,047 |
$— |
$— |
18,850,829 |
$18,850,829 |
$481,082 |
|
State Street Navigator Securities Lending
Portfolio II |
31,150,393 |
31,150,393 |
2,823,475,504 |
2,850,377,761 |
— |
— |
4,248,136 |
4,248,136 |
129,277 |
|
Total |
|
$47,230,569 |
$3,286,744,204 |
$3,310,875,808 |
$— |
$— |
|
$23,098,965 |
$610,359 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.8% | |||
|
CHEMICALS — 51.8% | |||
|
Air Products & Chemicals, Inc. |
1,288,774 |
$377,842,761 | |
|
Albemarle Corp. |
1,290,208 |
174,216,786 | |
|
CF Industries Holdings, Inc. |
1,680,678 |
181,950,200 | |
|
Corteva, Inc. |
4,785,821 |
405,311,181 | |
|
Dow, Inc. |
7,884,694 |
215,725,228 | |
|
DuPont de Nemours, Inc. |
1,494,841 |
202,760,233 | |
|
Ecolab, Inc. |
1,386,655 |
386,335,950 | |
|
International Flavors & Fragrances,
Inc. (a) |
2,792,996 |
221,261,143 | |
|
Linde PLC |
2,214,760 |
1,149,327,554 | |
|
LyondellBasell Industries NV
Class A (a) |
2,824,905 |
148,731,248 | |
|
Mosaic Co. |
3,477,189 |
73,681,635 | |
|
PPG Industries, Inc. |
2,438,420 |
295,755,962 | |
|
Sherwin-Williams Co. |
1,172,574 |
403,740,680 | |
|
|
|
|
4,236,640,561 |
|
CONSTRUCTION MATERIALS — 13.9% | |||
|
CRH PLC |
3,564,216 |
381,371,112 | |
|
Martin Marietta Materials, Inc. |
644,541 |
371,706,795 | |
|
Vulcan Materials Co. |
1,306,929 |
385,557,124 | |
|
|
|
|
1,138,635,031 |
|
CONTAINERS & PACKAGING — 15.3% | |||
|
Amcor PLC (a) |
5,057,902 |
219,260,052 | |
|
Avery Dennison Corp. |
836,785 |
135,852,045 | |
|
Ball Corp. |
2,912,690 |
181,751,856 | |
|
International Paper Co. |
5,792,765 |
220,704,346 | |
|
Packaging Corp. of America |
968,615 |
230,801,582 | |
|
Smurfit Westrock PLC (a) |
5,737,528 |
265,418,045 | |
|
|
|
|
1,253,787,926 |
|
METALS & MINING — 18.8% | |||
|
Freeport-McMoRan, Inc. |
6,886,278 |
433,078,024 | |
|
Security Description |
|
Shares |
Value |
|
Newmont Corp. |
5,113,837 |
$477,632,376 | |
|
Nucor Corp. |
1,422,651 |
316,895,510 | |
|
Steel Dynamics, Inc. |
1,327,996 |
304,721,962 | |
|
|
|
|
1,532,327,872 |
|
TOTAL COMMON STOCKS
(Cost $8,590,994,021) |
|
|
8,161,391,390 |
|
SHORT-TERM INVESTMENTS — 0.3% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (b) (c) |
8,064,210 |
8,064,210 | |
|
State Street Navigator Securities
Lending Portfolio II (d) (e) |
15,323,547 |
15,323,547 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $23,387,757) |
23,387,757 | ||
|
TOTAL INVESTMENTS — 100.1%
(Cost $8,614,381,778) |
8,184,779,147 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.1)% |
(11,140,647) | ||
|
NET ASSETS — 100.0% |
$8,173,638,500 | ||
|
(a) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(b) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(c) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(d) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(e) |
Investment of cash collateral for securities loaned. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Material Select Sector Index (long) |
116 |
09/18/2026 |
$13,050,383 |
$12,610,360 |
$(440,023
) |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$8,161,391,390 |
$— |
$— |
$8,161,391,390 |
|
Short-Term Investments |
23,387,757 |
— |
— |
23,387,757 |
|
TOTAL INVESTMENTS |
$8,184,779,147 |
$— |
$— |
$8,184,779,147 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Depreciation |
$(440,023
) |
$— |
$— |
$(440,023
) |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$(440,023
) |
$— |
$— |
$(440,023
) |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government Money
Market Fund, Class G Shares |
5,981,756 |
$5,981,756 |
$161,498,859 |
$159,416,405 |
$— |
$— |
8,064,210 |
$8,064,210 |
$223,057 |
|
State Street Navigator Securities Lending
Portfolio II |
4,064,245 |
4,064,245 |
1,099,695,408 |
1,088,436,106 |
— |
— |
15,323,547 |
15,323,547 |
57,908 |
|
Total |
|
$10,046,001 |
$1,261,194,267 |
$1,247,852,511 |
$— |
$— |
|
$23,387,757 |
$280,965 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.6% | |||
|
HEALTH CARE REITs — 17.9% | |||
|
Alexandria Real Estate Equities,
Inc. REIT |
1,328,120 |
$70,191,141 | |
|
Healthpeak Properties, Inc. REIT |
5,838,705 |
124,948,287 | |
|
Ventas, Inc. REIT |
4,117,397 |
365,624,854 | |
|
Welltower, Inc. REIT |
3,965,199 |
899,981,217 | |
|
|
|
|
1,460,745,499 |
|
HOTEL & RESORT REITs — 1.5% | |||
|
Host Hotels & Resorts, Inc. REIT |
5,387,246 |
127,731,603 | |
|
INDUSTRIAL REITs — 8.7% | |||
|
Prologis, Inc. REIT |
5,237,712 |
709,552,845 | |
|
OFFICE REITs — 1.0% | |||
|
BXP, Inc. REIT |
1,252,629 |
83,061,829 | |
|
REAL ESTATE MANAGEMENT & DEVELOPMENT — 5.3% | |||
|
CBRE Group, Inc. Class A (a) |
2,479,863 |
334,012,747 | |
|
CoStar Group, Inc. (a) |
3,456,425 |
97,885,956 | |
|
|
|
|
431,898,703 |
|
RESIDENTIAL REITs — 12.9% | |||
|
AvalonBay Communities, Inc.
REIT |
1,176,718 |
222,034,919 | |
|
Camden Property Trust REIT |
851,209 |
97,454,918 | |
|
Equity Residential REIT |
2,888,092 |
196,188,090 | |
|
Essex Property Trust, Inc. REIT |
544,237 |
158,694,067 | |
|
Invitation Homes, Inc. REIT |
4,622,483 |
139,645,211 | |
|
Mid-America Apartment
Communities, Inc. REIT |
984,362 |
136,767,256 | |
|
UDR, Inc. REIT |
2,504,493 |
99,979,361 | |
|
|
|
|
1,050,763,822 |
|
RETAIL REITs — 13.7% | |||
|
Federal Realty Investment Trust
REIT |
665,715 |
82,175,860 | |
|
Kimco Realty Corp. REIT |
5,711,496 |
144,786,423 | |
|
Realty Income Corp. REIT |
6,003,621 |
371,984,357 | |
|
Regency Centers Corp. REIT |
1,393,731 |
111,136,110 | |
|
Simon Property Group, Inc. REIT |
1,821,515 |
407,381,830 | |
|
|
|
|
1,117,464,580 |
|
Security Description |
|
Shares |
Value |
|
SPECIALIZED REITs — 38.6% | |||
|
American Tower Corp. REIT |
2,617,430 |
$428,133,025 | |
|
Crown Castle, Inc. REIT |
3,696,353 |
279,924,813 | |
|
Digital Realty Trust, Inc. REIT |
2,081,443 |
373,785,534 | |
|
Equinix, Inc. REIT |
553,287 |
576,740,836 | |
|
Extra Space Storage, Inc. REIT |
1,789,089 |
259,954,632 | |
|
Iron Mountain, Inc. REIT |
2,519,789 |
318,274,549 | |
|
Public Storage REIT |
1,151,371 |
366,492,903 | |
|
SBA Communications Corp. REIT |
897,050 |
158,293,443 | |
|
VICI Properties, Inc. REIT |
9,254,570 |
245,708,833 | |
|
Weyerhaeuser Co. REIT |
6,098,611 |
146,000,747 | |
|
|
|
|
3,153,309,315 |
|
TOTAL COMMON STOCKS
(Cost $8,652,356,657) |
|
|
8,134,528,196 |
|
SHORT-TERM INVESTMENT — 0.2% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (b) (c)
(Cost $13,566,266) |
13,566,266 |
13,566,266 | |
|
TOTAL INVESTMENTS — 99.8%
(Cost $8,665,922,923) |
8,148,094,462 | ||
|
OTHER ASSETS IN EXCESS OF
LIABILITIES — 0.2% |
17,955,782 | ||
|
NET ASSETS — 100.0% |
$8,166,050,244 | ||
|
(a) |
Non-income producing security. |
|
(b) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(c) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
Abbreviations: |
|
|
REIT |
Real Estate Investment Trust |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Real Estate Select Sector Index (long) |
600 |
09/18/2026 |
$33,070,900 |
$32,580,000 |
$(490,900
) |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$8,134,528,196 |
$— |
$— |
$8,134,528,196 |
|
Short-Term Investment |
13,566,266 |
— |
— |
13,566,266 |
|
TOTAL INVESTMENTS |
$8,148,094,462 |
$— |
$— |
$8,148,094,462 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Depreciation |
$(490,900
) |
$— |
$— |
$(490,900
) |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$(490,900
) |
$— |
$— |
$(490,900
) |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government Money
Market Fund, Class G Shares |
17,493,518 |
$17,493,518 |
$322,966,212 |
$326,893,464 |
$— |
$— |
13,566,266 |
$13,566,266 |
$287,313 |
|
State Street Navigator Securities Lending Portfolio II |
40,613,881 |
40,613,881 |
49,604,038 |
90,217,919 |
— |
— |
— |
— |
5,078 |
|
Total |
|
$58,107,399 |
$372,570,250 |
$417,111,383 |
$— |
$— |
|
$13,566,266 |
$292,391 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.9% | |||
|
COMMUNICATIONS EQUIPMENT — 5.5% | |||
|
Arista Networks, Inc. (a) |
8,147,709 |
$1,384,132,805 | |
|
Ciena Corp. (a) |
1,115,756 |
547,345,263 | |
|
Cisco Systems, Inc. |
31,168,052 |
3,660,999,388 | |
|
F5, Inc. (a) |
445,195 |
185,183,312 | |
|
Lumentum Holdings, Inc. (a) |
613,908 |
526,769,899 | |
|
Motorola Solutions, Inc. |
1,309,853 |
543,968,852 | |
|
|
|
|
6,848,399,519 |
|
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS
— 4.9% | |||
|
Amphenol Corp. Class A |
9,707,579 |
1,711,640,329 | |
|
CDW Corp. |
1,008,069 |
141,774,824 | |
|
Coherent Corp. (a) |
1,543,742 |
608,959,907 | |
|
Corning, Inc. |
6,179,975 |
1,578,551,014 | |
|
Flex Ltd. (a) |
2,901,260 |
470,207,208 | |
|
Jabil, Inc. |
832,517 |
320,918,653 | |
|
Keysight Technologies, Inc. (a) |
1,353,282 |
473,743,430 | |
|
TE Connectivity PLC |
2,303,284 |
464,365,087 | |
|
Teledyne Technologies, Inc. (a) |
365,564 |
243,794,632 | |
|
Zebra Technologies Corp. Class A
(a) |
375,912 |
98,962,593 | |
|
|
|
|
6,112,917,677 |
|
IT SERVICES — 2.7% | |||
|
Accenture PLC Class A |
4,844,485 |
602,847,713 | |
|
Akamai Technologies, Inc. (a) |
1,147,252 |
135,616,659 | |
|
Cognizant Technology Solutions
Corp. Class A |
3,739,230 |
144,820,378 | |
|
Gartner, Inc. (a) |
528,251 |
68,471,895 | |
|
GoDaddy, Inc. Class A (a) |
1,044,833 |
88,685,425 | |
|
International Business Machines
Corp. |
7,416,461 |
2,085,582,998 | |
|
VeriSign, Inc. |
646,267 |
162,574,926 | |
|
|
|
|
3,288,599,994 |
|
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT —
48.8% | |||
|
Advanced Micro Devices, Inc. (a) |
10,036,791 |
5,830,472,260 | |
|
Analog Devices, Inc. |
3,852,372 |
1,530,046,587 | |
|
Applied Materials, Inc. |
6,262,264 |
4,527,616,872 | |
|
Broadcom, Inc. |
15,294,416 |
5,777,465,644 | |
|
First Solar, Inc. (a) |
847,943 |
200,080,630 | |
|
Intel Corp. (a) |
37,279,821 |
5,205,381,406 | |
|
KLA Corp. |
10,307,656 |
3,109,922,892 | |
|
Lam Research Corp. |
9,868,085 |
4,276,137,273 | |
|
Marvell Technology, Inc. |
6,908,820 |
2,058,068,390 | |
|
Microchip Technology, Inc. |
4,270,020 |
389,425,824 | |
|
Micron Technology, Inc. |
5,016,452 |
5,790,440,379 | |
|
Monolithic Power Systems, Inc. |
387,677 |
535,909,178 | |
|
NVIDIA Corp. |
78,239,499 |
15,654,941,355 | |
|
NXP Semiconductors NV |
1,992,197 |
559,867,123 | |
|
ON Semiconductor Corp. (a) |
3,092,409 |
292,356,347 | |
|
Qnity Electronics, Inc. |
1,651,843 |
269,762,480 | |
|
QUALCOMM, Inc. |
8,316,978 |
1,536,894,365 | |
|
Skyworks Solutions, Inc. |
1,186,863 |
80,469,311 | |
|
Security Description |
|
Shares |
Value |
|
Teradyne, Inc. |
1,235,251 |
$597,663,844 | |
|
Texas Instruments, Inc. |
7,181,454 |
2,140,575,994 | |
|
|
|
|
60,363,498,154 |
|
SOFTWARE — 20.4% | |||
|
Adobe, Inc. (a) |
3,189,489 |
653,909,035 | |
|
AppLovin Corp. Class A (a) |
2,122,973 |
1,093,819,379 | |
|
Autodesk, Inc. (a) |
1,666,120 |
323,927,050 | |
|
Cadence Design Systems, Inc. (a) |
2,176,449 |
816,864,839 | |
|
Crowdstrike Holdings, Inc. Class A
(a) |
2,008,500 |
1,532,766,690 | |
|
Datadog, Inc. Class A (a) |
2,610,517 |
679,674,206 | |
|
Fair Isaac Corp. (a) (b) |
183,004 |
218,649,519 | |
|
Fortinet, Inc. (a) |
4,914,052 |
754,896,668 | |
|
Gen Digital, Inc. |
4,349,066 |
108,248,253 | |
|
Intuit, Inc. |
2,182,213 |
569,557,593 | |
|
Microsoft Corp. |
23,996,062 |
8,951,011,047 | |
|
Oracle Corp. |
13,389,765 |
1,962,270,061 | |
|
Palantir Technologies, Inc. Class A
(a) |
18,117,954 |
2,113,821,693 | |
|
Palo Alto Networks, Inc. (a) |
6,399,499 |
2,182,357,149 | |
|
PTC, Inc. (a) |
911,409 |
103,545,177 | |
|
Roper Technologies, Inc. |
796,311 |
269,463,679 | |
|
Salesforce, Inc. |
6,455,184 |
1,011,269,125 | |
|
ServiceNow, Inc. (a) |
8,137,881 |
807,928,826 | |
|
Synopsys, Inc. (a) |
1,511,567 |
674,264,692 | |
|
Trimble, Inc. (a) |
1,839,399 |
94,140,441 | |
|
Tyler Technologies, Inc. (a) |
332,737 |
97,312,263 | |
|
Workday, Inc. Class A (a) |
1,607,493 |
196,789,293 | |
|
|
|
|
25,216,486,678 |
|
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS —
17.6% | |||
|
Apple, Inc. |
47,444,510 |
13,728,543,414 | |
|
Dell Technologies, Inc. Class C |
2,282,665 |
984,878,641 | |
|
Hewlett Packard Enterprise Co. |
10,470,037 |
472,303,369 | |
|
HP, Inc. (b) |
7,216,581 |
158,331,787 | |
|
NetApp, Inc. |
1,557,056 |
240,969,986 | |
|
Sandisk Corp. (a) |
1,168,549 |
2,656,964,918 | |
|
Seagate Technology Holdings PLC
(b) |
1,769,346 |
1,707,418,890 | |
|
Super Micro Computer, Inc. (a) (b) |
4,440,768 |
130,247,725 | |
|
Western Digital Corp. (b) |
2,719,855 |
1,737,225,786 | |
|
|
|
|
21,816,884,516 |
|
TOTAL COMMON STOCKS
(Cost $82,745,076,309) |
|
|
123,646,786,538 |
|
SHORT-TERM INVESTMENTS — 0.2% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (c) (d) |
63,063,933 |
63,063,933 | |
|
Security Description |
|
Shares |
Value |
|
State Street Navigator Securities
Lending Portfolio II (e) (f) |
175,176,690 |
$175,176,690 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $238,240,623) |
238,240,623 | ||
|
TOTAL INVESTMENTS — 100.1%
(Cost $82,983,316,932) |
123,885,027,161 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.1)% |
(172,842,754) | ||
|
NET ASSETS — 100.0% |
$123,712,184,407 | ||
|
(a) |
Non-income producing security. |
|
(b) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(c) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(d) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(e) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(f) |
Investment of cash collateral for securities loaned. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Technology Select Sector Index (long) |
285 |
09/18/2026 |
$111,164,250 |
$110,411,850 |
$(752,400
) |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$123,646,786,538 |
$— |
$— |
$123,646,786,538 |
|
Short-Term Investments |
238,240,623 |
— |
— |
238,240,623 |
|
TOTAL INVESTMENTS |
$123,885,027,161 |
$— |
$— |
$123,885,027,161 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Depreciation |
$(752,400
) |
$— |
$— |
$(752,400
) |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$(752,400
) |
$— |
$— |
$(752,400
) |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government
Money Market Fund, Class G Shares |
76,163,808 |
$76,163,808 |
$1,099,422,625 |
$1,112,522,500 |
$— |
$— |
63,063,933 |
$63,063,933 |
$1,778,084 |
|
State Street Navigator Securities Lending
Portfolio II |
169,137,084 |
169,137,084 |
6,529,158,492 |
6,523,118,886 |
— |
— |
175,176,690 |
175,176,690 |
250,110 |
|
Total |
|
$245,300,892 |
$7,628,581,117 |
$7,635,641,386 |
$— |
$— |
|
$238,240,623 |
$2,028,194 |
|
Security Description |
|
Shares |
Value |
|
COMMON STOCKS — 99.6% | |||
|
ELECTRIC UTILITIES — 64.9% | |||
|
Alliant Energy Corp. (a) |
4,219,648 |
$321,916,946 | |
|
American Electric Power Co., Inc.
(a) |
8,889,413 |
1,216,160,593 | |
|
Constellation Energy Corp. (a) |
5,222,837 |
1,297,196,026 | |
|
Duke Energy Corp. |
12,736,797 |
1,612,223,764 | |
|
Edison International |
6,286,706 |
468,045,262 | |
|
Entergy Corp. (a) |
7,480,833 |
859,248,478 | |
|
Evergy, Inc. (a) |
3,766,055 |
325,500,134 | |
|
Eversource Energy |
6,144,327 |
444,050,512 | |
|
Exelon Corp. (a) |
16,716,883 |
779,341,085 | |
|
FirstEnergy Corp. (a) |
8,505,210 |
404,337,683 | |
|
NextEra Energy, Inc. (a) |
34,069,753 |
2,990,302,221 | |
|
NRG Energy, Inc. |
3,447,059 |
503,477,438 | |
|
PG&E Corp. |
35,979,284 |
605,171,557 | |
|
Pinnacle West Capital Corp. |
1,979,879 |
211,847,053 | |
|
PPL Corp. |
12,291,738 |
446,804,676 | |
|
Southern Co. (a) |
18,417,534 |
1,762,742,179 | |
|
Xcel Energy, Inc. (a) |
10,199,095 |
818,987,328 | |
|
|
|
|
15,067,352,935 |
|
GAS UTILITIES — 2.0% | |||
|
Atmos Energy Corp. |
2,727,055 |
469,789,765 | |
|
INDEPENDENT POWER AND RENEWABLE ELECTRICITY
PRODUCERS — 4.3% | |||
|
AES Corp. |
11,651,466 |
170,810,492 | |
|
Vistra Corp. |
5,178,246 |
821,425,163 | |
|
|
|
|
992,235,655 |
|
MULTI-UTILITIES — 26.6% | |||
|
Ameren Corp. (a) |
4,521,541 |
511,114,995 | |
|
CenterPoint Energy, Inc. (a) |
10,687,594 |
470,681,640 | |
|
CMS Energy Corp. (a) |
5,047,076 |
386,101,314 | |
|
Consolidated Edison, Inc. (a) |
6,020,917 |
666,094,048 | |
|
Dominion Energy, Inc. |
14,368,362 |
981,215,441 | |
|
DTE Energy Co. |
3,398,661 |
517,853,976 | |
|
NiSource, Inc. |
7,832,972 |
372,457,819 | |
|
Security Description |
|
Shares |
Value |
|
Public Service Enterprise Group,
Inc. (a) |
8,141,502 |
$660,764,302 | |
|
Sempra (a) |
10,679,771 |
990,121,569 | |
|
WEC Energy Group, Inc. (a) |
5,321,521 |
621,394,007 | |
|
|
|
|
6,177,799,111 |
|
WATER UTILITIES — 1.8% | |||
|
American Water Works Co., Inc. (a) |
3,190,522 |
419,808,885 | |
|
TOTAL COMMON STOCKS
(Cost $22,416,294,541) |
|
|
23,126,986,351 |
|
SHORT-TERM INVESTMENTS — 0.5% |
| ||
|
State Street Institutional
U.S. Government Money
Market Fund, Class G Shares
3.62% (b) (c) |
53,959,204 |
53,959,204 | |
|
State Street Navigator Securities
Lending Portfolio II (d) (e) |
56,168,990 |
56,168,990 | |
|
TOTAL SHORT-TERM INVESTMENTS
(Cost $110,128,194) |
110,128,194 | ||
|
TOTAL INVESTMENTS — 100.1%
(Cost $22,526,422,735) |
23,237,114,545 | ||
|
LIABILITIES IN EXCESS OF OTHER
ASSETS — (0.1)% |
(32,740,396) | ||
|
NET ASSETS — 100.0% |
$23,204,374,149 | ||
|
(a) |
All or a portion of the shares of the security are on loan at
June 30, 2026. |
|
(b) |
The Fund invested in certain money market funds managed by
SSGA Funds Management, Inc. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(c) |
The rate shown is the annualized seven-day yield at June 30,
2026. |
|
(d) |
The Fund invested in an affiliated entity. Amounts related to these
investments during the period ended June 30, 2026 are shown in
the Affiliate Table below. |
|
(e) |
Investment of cash collateral for securities loaned. |
|
Description |
Number of
Contracts |
Expiration
Date |
Notional
Amount |
Value |
Unrealized
Appreciation
(Depreciation) |
|
E-mini S&P 500 Utilities Select Sector Index (long) |
692 |
09/18/2026 |
$62,891,244 |
$63,788,560 |
$897,316 |
|
Description |
Level 1 –
Quoted Prices |
Level 2 –
Other Significant
Observable Inputs |
Level 3 –
Significant
Unobservable Inputs |
Total |
|
ASSETS: |
|
|
|
|
|
INVESTMENTS: |
|
|
|
|
|
Common Stocks |
$23,126,986,351 |
$— |
$— |
$23,126,986,351 |
|
Short-Term Investments |
110,128,194 |
— |
— |
110,128,194 |
|
TOTAL INVESTMENTS |
$23,237,114,545 |
$— |
$— |
$23,237,114,545 |
|
OTHER FINANCIAL INSTRUMENTS: |
|
|
|
|
|
Futures Contracts - Unrealized Appreciation |
$897,316 |
$— |
$— |
$897,316 |
|
TOTAL OTHER FINANCIAL INSTRUMENTS: |
$897,316 |
$— |
$— |
$897,316 |
|
|
Number of
Shares Held
at
9/30/25 |
Value at
9/30/25 |
Cost of
Purchases |
Proceeds
from
Shares Sold |
Realized
Gain (Loss) |
Change in
Unrealized
Appreciation/
Depreciation |
Number of
Shares Held
at
6/30/26 |
Value at
6/30/26 |
Dividend
Income |
|
State Street Institutional U.S. Government
Money Market Fund, Class G Shares |
24,116,046 |
$24,116,046 |
$759,386,122 |
$729,542,964 |
$— |
$— |
53,959,204 |
$53,959,204 |
$1,058,803 |
|
State Street Navigator Securities Lending
Portfolio II |
191,357,269 |
191,357,269 |
2,877,006,548 |
3,012,194,827 |
— |
— |
56,168,990 |
56,168,990 |
187,273 |
|
Total |
|
$215,473,315 |
$3,636,392,670 |
$3,741,737,791 |
$— |
$— |
|
$110,128,194 |
$1,246,076 |