Schedule of Investments
ACTIVE M EMERGING MARKETS EQUITY FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.4% (1)
Argentina – 1.1%
Grupo Financiero Galicia S.A. ADR* †
36,038
$1,803
Vista Energy S.A.B. de C.V. ADR*
2,270
145
YPF S.A. ADR*
13,767
626
 
2,574
Australia – 0.5%
Anglogold Ashanti PLC
14,239
1,152
Austria – 0.2%
Erste Group Bank A.G.
3,468
465
Brazil – 3.6%
Azzas 2154 S.A.
124,900
432
B3 S.A. - Brasil Bolsa Balcao*
102,100
287
Banco BTG Pactual S.A.*
53,100
559
Cia de Saneamento Basico do Estado
de Sao Paulo SABESP*
81,604
470
Embraer S.A.
63,700
1,011
MercadoLibre, Inc.*
1,287
2,185
NU Holdings Ltd., Class A*
11,025
147
Raia Drogasil S.A.
350,779
1,139
TOTVS S.A.*
199,913
1,110
Vale S.A. ADR
50,847
765
 
8,105
Chile – 0.4%
Antofagasta PLC
18,085
918
China – 14.1%
Alibaba Group Holding Ltd.
39,500
472
Aluminum Corp. of China Ltd., Class A
528,575
640
Baidu, Inc., Class A*
13,800
197
BYD Co. Ltd., Class H
104,872
971
China Construction Bank Corp.,
Class H
2,117,674
2,182
China Life Insurance Co. Ltd., Class H
494,558
1,692
China Merchants Bank Co. Ltd.,
Class H
58,500
336
China Petroleum & Chemical Corp.,
Class H
1,241,664
634
Contemporary Amperex Technology
Co. Ltd., Class A
44,119
2,565
Haier Smart Home Co. Ltd., Class A
394,021
1,188
Han's Laser Technology Industry Group
Co. Ltd., Class A
23,000
513
Hansoh Pharmaceutical Group Co. Ltd.
246,583
933
Innovent Biologics, Inc.*
44,000
448
Jiangsu Hengli Hydraulic Co. Ltd.,
Class A
43,500
694
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.4% (1)continued
China – 14.1%continued
Jiangsu Hengrui Pharmaceuticals Co.
Ltd., Class H
35,000
$259
Leader Harmonious Drive Systems Co.
Ltd., Class A
12,547
777
Li Ning Co. Ltd.
38,700
73
Luxshare Precision Industry Co. Ltd.,
Class A
184,416
1,946
PICC Property & Casualty Co. Ltd.,
Class H
304,678
559
Piotech, Inc., Class A
7,300
940
Remegen Co. Ltd., Class H*
9,400
89
Sany Heavy Industry Co. Ltd., Class A
308,367
788
Shangri-La Asia Ltd.
70,000
36
Shenzhen Inovance Technology Co.
Ltd., Class A
116,799
1,147
Sieyuan Electric Co. Ltd., Class A
11,900
305
Tencent Holdings Ltd.
85,193
4,695
Topsports International Holdings Ltd.
813,868
181
Weichai Power Co. Ltd., Class H
268,000
1,177
WuXi AppTec Co. Ltd., Class H
96,222
1,892
Yangtze Optical Fibre & Cable Joint
Stock Ltd. Co., Class H
18,500
613
Yum China Holdings, Inc.
44,641
1,824
Zijin Mining Group Co. Ltd., Class A
277,725
1,031
 
31,797
Egypt – 0.7%
Commercial International Bank - Egypt
(CIB)
632,607
1,642
Greece – 1.3%
Eurobank S.A.
254,144
1,215
National Bank of Greece S.A.
94,111
1,627
 
2,842
Guatemala – 0.3%
Millicom International Cellular S.A.
6,510
591
Hong Kong – 0.3%
AIA Group Ltd.
44,400
407
Hong Kong Exchanges & Clearing Ltd.
6,800
316
 
723
Hungary – 1.4%
OTP Bank Nyrt.
13,822
2,043
Richter Gedeon Nyrt.
30,687
1,188
 
3,231
India – 7.2%
Bajaj Finance Ltd.
29,895
319
NORTHERN FUNDS QUARTERLY REPORT 1 EQUITY FUNDS

Schedule of Investments
ACTIVE M EMERGING MARKETS EQUITY FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.4% (1)continued
India – 7.2%continued
Bharat Electronics Ltd.
112,629
$491
Bharat Forge Ltd.
28,750
655
BSE Ltd.*
12,841
529
HDFC Bank Ltd.
227,573
1,925
HDFC Bank Ltd. ADR
24,802
641
Hero MotoCorp Ltd.
39,781
2,026
Hitachi Energy India Ltd.
1,982
737
ICICI Bank Ltd.
83,348
1,214
Infosys Ltd.
2,826
30
JK Cement Ltd.
10,516
608
Larsen & Toubro Ltd.
41,309
1,820
Mahindra & Mahindra Ltd.
9,142
299
Radico Khaitan Ltd.
10,186
427
Siemens Energy India Ltd.
17,149
670
State Bank of India
107,806
1,179
Tata Consultancy Services Ltd.
91,636
1,976
TVS Motor Co. Ltd.
18,058
665
 
16,211
Indonesia – 2.1%
Astra International Tbk PT
3,774,554
954
Bank Central Asia Tbk PT
9,361,331
2,916
Telkom Indonesia Persero Tbk PT
6,132,100
813
 
4,683
Japan – 0.5%
Komatsu Ltd.
29,629
1,160
Malaysia – 0.3%
CIMB Group Holdings Bhd.
377,334
688
Mexico – 4.7%
America Movil S.A.B. de C.V. ADR
143,656
3,734
Fomento Economico Mexicano S.A.B.
de C.V. ADR
7,390
945
Grupo Financiero Banorte S.A.B. de
C.V., Class O
239,704
2,538
Southern Copper Corp.
4,450
775
Wal-Mart de Mexico S.A.B. de C.V.
859,567
2,520
 
10,512
Peru – 3.6%
Cia de Minas Buenaventura S.A.A.
ADR
68,882
2,017
Credicorp Ltd.
15,934
6,208
 
8,225
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.4% (1)continued
Philippines – 0.3%
International Container Terminal
Services, Inc.
41,620
$608
Saudi Arabia – 1.4%
Al Rajhi Bank
66,320
1,164
Saudi Arabian Oil Co.
219,605
1,525
Saudi Basic Industries Corp.
36,200
497
 
3,186
South Africa – 5.3%
Bid Corp. Ltd.
44,603
1,217
Bidvest Group Ltd.
128,448
1,881
Capitec Bank Holdings Ltd.
2,260
655
FirstRand Ltd.
214,682
1,273
Gold Fields Ltd.
22,052
740
Impala Platinum Holdings Ltd.
45,846
479
MTN Group Ltd.
132,414
1,843
Standard Bank Group Ltd.
88,569
1,745
Valterra Platinum Ltd.
30,584
2,051
 
11,884
South Korea – 19.8%
APR Corp.
2,805
702
Hanwha Aerospace Co. Ltd.
539
347
HD Hyundai Electric Co. Ltd.
1,649
1,045
HD Hyundai Heavy Industries Co. Ltd.
2,144
824
Hyosung Heavy Industries Corp.
94
211
Hyundai Mobis Co. Ltd.
1,522
495
Hyundai Motor Co.
13,325
4,290
Hyundai Rotem Co. Ltd.
5,800
648
KB Financial Group, Inc.
3,862
397
NC Corp.
6,696
1,121
Samsung Electronics Co. Ltd.
104,073
22,752
Samsung Life Insurance Co. Ltd.
1,842
481
Samsung Securities Co. Ltd.
3,616
255
Shinhan Financial Group Co. Ltd.
5,041
312
SK hynix, Inc.
6,086
10,738
 
44,618
Taiwan – 21.7%
Accton Technology Corp.
19,600
1,550
ASE Technology Holding Co. Ltd.
88,758
1,917
ASPEED Technology, Inc.
3,660
1,914
Cathay Financial Holding Co. Ltd.
239,000
743
Chroma ATE, Inc.
3,460
237
Delta Electronics, Inc.
57,308
3,547
Elite Material Co. Ltd.
10,350
1,771
EQUITY FUNDS 2 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.4% (1)continued
Taiwan – 21.7%continued
eMemory Technology, Inc.
6,697
$621
Fubon Financial Holding Co. Ltd.
189,000
771
Globalwafers Co. Ltd.
91,000
2,943
Hiwin Technologies Corp.
75,893
783
Hon Hai Precision Industry Co. Ltd.
444,296
3,562
Hon Precision, Inc.
3,280
678
MediaTek, Inc.
27,180
3,711
Taiwan Semiconductor Manufacturing
Co. Ltd.
266,392
20,456
Unimicron Technology Corp.
7,600
259
Wiwynn Corp.
2,570
377
Yageo Corp.
62,068
2,245
Yuanta Financial Holding Co. Ltd.
382,000
794
 
48,879
Thailand – 0.1%
Advanced Info Service PCL NVDR
24,800
275
Turkey – 1.1%
Aselsan Elektronik Sanayi Ve Ticaret
A.S.
114,788
849
Astor Transformator Enerji Turizm Insaat
Ve Petrol Sanayi Ticaret A.S.
175,095
1,039
Yapi ve Kredi Bankasi A.S.*
565,961
488
 
2,376
United Arab Emirates – 2.1%
Adnoc Gas PLC
876,362
821
Emaar Properties PJSC
1,171,500
3,837
 
4,658
United States – 0.3%
Tenaris S.A. ADR
11,092
615
Total Common Stocks
(Cost $134,733)
212,618
 
PREFERRED STOCKS – 2.1% (1)
Brazil – 2.1%
Banco Bradesco S.A.*
132,600
464
Itau Unibanco Holding S.A., 4.30%(2)
94,425
773
Itau Unibanco Holding S.A. ADR,
4.00%(2)
431,512
3,526
 
4,763
 
NUMBER
OF SHARES
VALUE
(000S)
PREFERRED STOCKS – 2.1% (1)continued
India – 0.0%
TVS Motor Co. Ltd.*
40,720
$4
Total Preferred Stocks
(Cost $2,946)
4,767
 
INVESTMENT COMPANIES – 4.0%
iShares Core S&P 500 ETF
3,000
2,247
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(3) (4) (5)
1,208,000
1,208
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(3) (4)
5,621,197
5,621
Total Investment Companies
(Cost $8,964)
9,076
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
3.60%, 10/15/26(6) (7)
$140
$138
Total Short-Term Investments
(Cost $139)
138
 
Total Investments – 100.6%
(Cost $146,782)
226,599
Liabilities less Other Assets – (0.6%)
(1,320
)
Net Assets – 100.0%
$225,279
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Current yield is disclosed. Dividends are calculated based on a percentage
of the issuer's net income.
(3)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(4)
7-day current yield as of June 30, 2026 is disclosed.
(5)
Investment of cash collateral received from securities lending activities.
(6)
Discount rate at the time of purchase.
(7)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
NORTHERN FUNDS QUARTERLY REPORT 3 EQUITY FUNDS

Schedule of Investments
ACTIVE M EMERGING MARKETS EQUITY FUNDcontinued
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
ETF – Exchange-Traded Fund
 
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI
Emerging
Markets Index
(United States
Dollar)
54
$4,745
Long
9/26
$13
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Information Technology
38.3
%
Financials
22.0
Industrials
10.1
Consumer Discretionary
6.9
Communication Services
6.0
Materials
5.2
Consumer Staples
3.1
Energy
2.0
Health Care
2.0
Real Estate
1.7
Utilities
0.2
Short-Term Investments
3.1
Total Investments
100.6
Liabilities less Other Assets
(0.6
)
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Argentina
$2,574
$
$
$2,574
Australia
1,152
1,152
Brazil
8,105
8,105
China
1,824
29,973
31,797
Egypt
1,642
1,642
Guatemala
591
591
India
641
15,570
16,211
Mexico
10,512
10,512
Peru
8,225
8,225
United States
615
615
All Other Countries(1)
131,194
131,194
Total Common Stocks
35,881
176,737
212,618
Preferred Stocks(1)
4,767
4,767
Investment Companies
9,076
9,076
Short-Term Investments
138
138
Total Investments
$49,724
$176,875
$
$226,599
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$13
$
$
$13
(1)
Classifications as defined in the Schedule of Investments.
EQUITY FUNDS 4 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$4,308
$5,736
$8,836
$1,208
1,208,000
$2
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
4,385
30,997
29,761
5,621
5,621,197
54
Total
$8,693
$36,733
$38,597
$6,829
6,829,197
$56
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
NORTHERN FUNDS QUARTERLY REPORT 5 EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)
Australia – 1.1%
Ansell Ltd.
16,481
$363
Aristocrat Leisure Ltd.
18,127
772
Bendigo & Adelaide Bank Ltd.
41,431
303
Charter Hall Group
26,606
423
Magellan Financial Group Ltd.
46,417
313
Medibank Pvt Ltd.
99,659
343
OceanaGold Corp.
33,826
848
Orica Ltd.
31,571
519
Paladin Energy Ltd.*
39,674
258
Ramelius Resources Ltd.
279,141
567
Rio Tinto Ltd.
3,952
471
Sandfire Resources Ltd.*
48,108
646
Suncorp Group Ltd.
53,176
710
Superloop Ltd.*
105,792
243
Ventia Services Group Pty. Ltd.
98,098
422
Whitehaven Coal Ltd.
47,885
252
 
7,453
Austria – 0.6%
ams-OSRAM A.G.*
13,450
291
BAWAG Group A.G.
5,242
1,051
DO & CO A.G.
992
246
Erste Group Bank A.G.
13,926
1,866
Mondi PLC
75,491
685
 
4,139
Belgium – 0.9%
Ageas S.A./N.V.
16,737
1,339
Anheuser-Busch InBev S.A./N.V.
11,260
928
Colruyt Group N.V
5,502
226
KBC Group N.V.
8,706
1,188
Proximus S.A.DP
37,001
248
Syensqo S.A.
18,977
1,401
Umicore S.A.
31,507
735
 
6,065
Brazil – 1.2%
Ambev S.A.
461,595
1,456
Lojas Renner S.A.*
245,678
703
Natura Cosmeticos S.A.*
397,944
668
NU Holdings Ltd., Class A*
212,466
2,838
Suzano S.A.
118,510
914
Telefonica Brasil S.A.*
129,166
850
Ultrapar Participacoes S.A.
94,076
475
 
7,904
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Canada – 3.9%
Aritzia, Inc.*
5,518
$608
Atco Ltd., Class I
9,282
485
Barrick Mining Corp.
25,117
924
Bird Construction, Inc.
9,494
433
Boardwalk Real Estate Investment Trust
6,754
308
Canadian Natural Resources Ltd.
69,542
2,752
Canadian Pacific Kansas City Ltd.
17,825
1,545
Canadian Pacific Kansas City Ltd. (New
York Exchange)
50,278
4,357
Canadian Tire Corp. Ltd., Class A
4,818
664
CES Energy Solutions Corp.
34,961
408
Colliers International Group, Inc.
1,765
166
DPM Metals, Inc.
33,595
1,091
Empire Co. Ltd., Class A
9,476
332
Enerflex Ltd.
26,123
642
Extendicare, Inc.
11,128
275
Finning International, Inc.
11,640
822
Gildan Activewear, Inc.
4,591
237
Headwater Exploration, Inc.
61,940
517
Hudbay Minerals, Inc.
30,754
726
Kinaxis, Inc.*
2,419
260
Maple Leaf Foods, Inc.
17,499
376
Methanex Corp.
10,074
465
Northland Power, Inc.
18,210
287
Nutrien Ltd.
16,344
1,029
Quebecor, Inc., Class B
11,397
544
Royal Bank of Canada
2,787
577
Stantec, Inc.
9,156
631
TC Energy Corp.
48,759
3,229
Toronto-Dominion Bank (The)
8,301
1,009
Vermilion Energy, Inc.
34,529
323
Whitecap Resources, Inc.
70,270
730
 
26,752
China – 1.8%
Alibaba Group Holding Ltd.
49,844
596
Baidu, Inc., Class A*
82,267
1,171
BOC Aviation Ltd.
86,500
900
China Mengniu Dairy Co. Ltd.
455,632
938
Contemporary Amperex Technology
Co. Ltd., Class A
62,374
3,624
DiDi Global, Inc. ADR*
219,248
734
JD.com, Inc., Class A
65,927
839
EQUITY FUNDS 6 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
China – 1.8%continued
Nexteer Automotive Group Ltd.
414,000
$202
Tencent Holdings Ltd.
58,430
3,220
 
12,224
Congo, The Democ. Rep. of – 0.0%
Helios Towers PLC*
84,762
225
Denmark – 0.9%
Demant A/S* †
7,204
295
FLSmidth & Co. A/S
5,333
390
ISS A/S
10,011
410
Jyske Bank A/S (Registered)
3,495
505
Netcompany Group A/S* †
5,258
240
Novo Nordisk A/S, Class B
64,756
3,107
Royal Unibrew A/S
3,965
262
Tryg A/S
50,429
1,148
 
6,357
Finland – 0.6%
Hiab OYJ
4,304
273
Konecranes OYJ
19,133
588
Nokia OYJ
92,151
1,220
Nordea Bank Abp
43,023
815
Orion OYJ, Class B
3,669
302
Stora Enso OYJ (Registered)
69,102
737
 
3,935
France – 9.3%
Alstom S.A.*
229,535
3,994
Arkema S.A.
11,414
720
AXA S.A.
52,811
2,647
Ayvens S.A.
23,507
310
BNP Paribas S.A.
48,286
5,644
Capgemini S.E.
2,104
212
Carrefour S.A.
71,530
1,329
Cie de Saint-Gobain S.A.
53,462
4,840
Covivio S.A./France
6,118
375
Danone S.A.
8,334
683
Eiffage S.A.
3,509
518
Elis S.A.
15,828
490
Engie S.A.
77,302
2,437
Exosens SAS
3,559
232
Gaztransport Et Technigaz S.A.
1,948
413
Ipsen S.A.
2,521
486
Kering S.A.
21,812
6,202
Klepierre S.A.
13,496
564
LVMH Moet Hennessy Louis Vuitton S.E.
4,598
2,546
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
France – 9.3%continued
Nexans S.A.
1,514
$252
Orange S.A.
133,044
2,510
Renault S.A.
31,901
915
Safran S.A.
18,571
7,342
SCOR S.E.
7,091
257
Societe Generale S.A.
117,565
10,410
Sodexo S.A.
10,522
609
Sopra Steria Group
1,703
272
SPIE S.A.
10,063
580
TotalEnergies S.E.
51,345
3,989
Valeo S.E.
45,842
673
Vallourec S.A.CA
9,872
230
Vinci S.A.
5,422
793
Virbac S.A.CA
632
240
 
63,714
Germany – 7.7%
Aumovio S.E.*
13,340
549
BASF S.E.
30,967
1,655
Bechtle A.G.
5,390
191
Beiersdorf A.G.
14,251
1,227
Bilfinger S.E.
3,076
282
Brenntag S.E.
10,947
665
Continental A.G.
10,162
838
Daimler Truck Holding A.G.
56,053
2,703
Deutsche Bank A.G. (Registered)
70,417
2,384
Deutsche Boerse A.G.
9,087
2,480
Deutsche Lufthansa A.G. (Registered)
169,869
1,944
Deutsche Telekom A.G. (Registered)
114,832
3,130
Deutz A.G.
23,337
233
E.ON S.E.
17,825
368
Evonik Industries A.G.
52,443
952
Freenet A.G.
7,923
204
Fresenius S.E. & Co. KGaA
33,265
1,519
GEA Group A.G.
5,460
374
Infineon Technologies A.G.
26,062
2,433
Mercedes-Benz Group A.G.
8,886
446
Nordex S.E.*
11,683
617
Rational A.G.
341
250
RTL Group S.A.
7,959
283
SAP S.E.
28,350
4,342
Scout24 S.E.
4,905
406
Siemens A.G. (Registered)
12,214
3,925
Siemens Energy A.G.
77,136
14,619
SUSS MicroTec S.E.
4,751
505
NORTHERN FUNDS QUARTERLY REPORT 7 EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Germany – 7.7%continued
TAG Immobilien A.G.
26,139
$421
TUI A.G.
32,047
265
Wacker Chemie A.G.*
5,263
547
Zalando S.E.*
58,019
1,681
 
52,438
Greece – 0.1%
Eurobank S.A.
169,400
810
National Bank of Greece S.A.
12,202
211
 
1,021
Guatemala – 0.0%
Millicom International Cellular S.A.
3,042
276
Hong Kong – 1.0%
AIA Group Ltd.
41,800
384
ASMPT Ltd.
10,600
327
CK Asset Holdings Ltd.
178,618
1,011
HKT Trust & HKT Ltd.
503,000
748
Prudential PLC
302,009
4,022
Yue Yuen Industrial Holdings Ltd.
254,611
398
 
6,890
India – 0.5%
Canara Bank
382,024
509
ICICI Bank Ltd. ADR
102,724
2,982
 
3,491
Indonesia – 0.2%
Bank Mandiri Persero Tbk PT
2,484,700
536
Bank Negara Indonesia Persero Tbk PT
3,733,792
663
 
1,199
Ireland – 1.1%
AIB Group PLC
134,808
1,608
AIB Group PLC (Irish Stock Exchange)
451
5
AIB Group PLC (London Exchange)
139,802
1,651
Bank of Ireland Group PLC
98,640
1,991
Cairn Homes PLC
143,728
406
Glanbia PLC
37,910
1,060
Kerry Group PLC, Class A
5,454
501
 
7,222
Israel – 0.7%
Bank Leumi Le-Israel B.M.
17,631
394
Nice Ltd.*
2,990
270
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Israel – 0.7%continued
Phoenix Financial Ltd.
10,137
$562
Teva Pharmaceutical Industries Ltd.
ADR*
108,210
3,666
 
4,892
Italy – 3.0%
Azimut Holding S.p.A.
11,272
457
Banca Generali S.p.A.
6,780
505
Banca Monte dei Paschi di Siena S.p.A.
73,567
914
BPER Banca S.p.A.
102,014
1,601
De' Longhi S.p.A.
7,753
329
Enel S.p.A.
190,105
2,184
Eni S.p.A.
70,710
1,654
Generali
16,752
816
Iren S.p.A.
112,946
320
Lottomatica Group S.p.A.
44,399
1,233
Maire S.p.A.
18,535
304
Prysmian S.p.A.
8,281
1,391
Reply S.p.A.
2,277
238
Ryanair Holdings PLC
22,841
715
UniCredit S.p.A.
90,964
8,138
 
20,799
Ivory Coast – 0.1%
Endeavour Mining PLC
12,942
649
Japan – 12.7%
Advantest Corp.
19,200
3,903
Alfresa Holdings Corp.
25,713
343
Amada Co. Ltd.
26,700
493
Anritsu Corp.
19,600
538
ARCHION Corp.* †
68,404
122
Asahi Intecc Co. Ltd.
8,800
207
Azbil Corp.
27,200
290
BayCurrent, Inc.
8,500
317
BIPROGY, Inc.
22,900
602
Chiba Bank (The) Ltd.
118,370
1,800
Chugai Pharmaceutical Co. Ltd.
12,400
574
CKD Corp.
11,300
531
Credit Saison Co. Ltd.
18,100
491
CyberAgent, Inc.
40,100
342
Daiichi Sankyo Co. Ltd.
61,330
984
Dentsu Group, Inc.*
43,130
828
Eisai Co. Ltd.
27,406
693
FANUC Corp.
18,700
855
Food & Life Cos. Ltd.
12,000
359
EQUITY FUNDS 8 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Japan – 12.7%continued
Fuji Corp.
12,700
$668
GLP J-REIT
382
323
GS Yuasa Corp.
14,500
581
H2O Retailing Corp.
8,600
151
Hakuhodo DY Holdings, Inc.
47,000
333
Hitachi Ltd.
28,200
784
Honda Motor Co. Ltd.
152,372
1,380
Horiba Ltd.
5,124
877
Ibiden Co. Ltd.
4,900
736
INFRONEER Holdings, Inc.
31,800
528
Isuzu Motors Ltd.
31,391
415
Japan Airlines Co. Ltd.
48,073
847
Japan Post Insurance Co. Ltd.
147,490
1,391
JGC Holdings Corp.
46,550
726
Kandenko Co. Ltd.
15,400
644
Kaneka Corp.
5,500
194
KDDI Corp.
134,700
2,272
Kinden Corp.
8,800
434
Koito Manufacturing Co. Ltd.
65,060
1,028
Kubota Corp.
104,040
1,742
Kuraray Co. Ltd.
50,550
519
Kyushu Electric Power Co., Inc.
27,600
279
Lion Corp.
8,000
84
Mebuki Financial Group, Inc.
90,400
795
Meidensha Corp.
6,000
366
Mitsubishi Estate Co. Ltd.
43,186
1,099
Mitsubishi Gas Chemical Co., Inc.
15,790
501
Mitsubishi Heavy Industries Ltd.
83,588
1,903
Mitsubishi UFJ Financial Group, Inc.
52,300
1,038
Mitsui E&S Co. Ltd.
8,500
217
Mitsui Fudosan Co. Ltd.
85,900
791
Mitsui Kinzoku Co. Ltd.
3,600
964
Morinaga Milk Industry Co. Ltd.
39,600
309
Nabtesco Corp.
9,200
296
Nexon Co. Ltd.
66,389
883
Nextage Co. Ltd.
11,500
290
NHK Spring Co. Ltd.
21,300
517
Nikon Corp.
34,266
481
Nintendo Co. Ltd.
23,527
988
Nippon Electric Glass Co. Ltd.
9,500
388
Nippon Shinyaku Co. Ltd.
7,300
181
Nippon Television Holdings, Inc.
18,392
316
Nissan Chemical Corp.
10,000
522
Nissan Motor Co. Ltd.*
232,518
432
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Japan – 12.7%continued
Nissui Corp.
47,500
$375
Nitto Boseki Co. Ltd.
14,500
393
Obic Co. Ltd.
20,000
469
Open House Group Co. Ltd.
20,800
1,084
Persol Holdings Co. Ltd.
399,010
608
Renesas Electronics Corp.
181,100
5,471
Resona Holdings, Inc.
157,547
2,055
Resorttrust, Inc.
22,800
244
Rinnai Corp.
22,398
491
Rohm Co. Ltd.
59,380
1,989
Sankyu, Inc.
4,300
229
Santen Pharmaceutical Co. Ltd.
23,000
300
Sega Sammy Holdings, Inc.
44,640
605
Seria Co. Ltd.
10,400
233
Shizuoka Financial Group, Inc.
38,800
724
SMC Corp.
8,000
3,560
Sompo Holdings, Inc.
65,700
2,506
Sony Group Corp.
40,600
814
Stanley Electric Co. Ltd.
26,379
573
Subaru Corp.
46,712
688
Sumitomo Bakelite Co. Ltd.
7,600
353
Sumitomo Heavy Industries Ltd.
15,883
501
Sumitomo Mitsui Financial Group, Inc.
58,600
2,291
Sumitomo Mitsui Trust Group, Inc.
55,148
2,059
SWCC Corp.
5,300
449
Sysmex Corp.
115,540
1,051
T&D Holdings, Inc.
91,941
2,724
Taiheiyo Cement Corp.
20,291
496
Taiyo Yuden Co. Ltd.
6,000
760
Takeda Pharmaceutical Co. Ltd.
53,592
1,692
THK Co. Ltd.
12,636
578
Tokyo Ohka Kogyo Co. Ltd.
12,500
889
Tokyo Seimitsu Co. Ltd.
5,300
670
Tokyo Tatemono Co. Ltd.
14,800
300
Tokyu Fudosan Holdings Corp.
43,200
344
Toyo Suisan Kaisha Ltd.
14,900
953
Toyoda Gosei Co. Ltd.
13,600
432
Tsumura & Co.
10,100
231
Tsuruha Holdings, Inc.
70,195
888
UACJ Corp.
23,400
367
Yamaguchi Financial Group, Inc.
31,000
545
Yamato Holdings Co. Ltd.
51,640
584
Yokohama Rubber (The) Co. Ltd.
5,800
262
 
87,315
NORTHERN FUNDS QUARTERLY REPORT 9 EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Mexico – 0.3%
America Movil S.A.B. de C.V., Class B
1,472,132
$1,913
Netherlands – 5.9%
ABN AMRO Bank N.V. - CVA
67,956
2,890
Adyen N.V.*
797
744
ASM International N.V.
3,199
3,662
ASML Holding N.V.
1,262
2,503
ASML Holding N.V. (Registered)
4,440
8,833
ASR Nederland N.V.
6,213
469
BE Semiconductor Industries N.V.
2,288
751
Euronext N.V.
9,829
1,573
Heineken N.V.
53,012
4,459
ING Groep N.V.
141,342
4,472
Koninklijke Heijmans N.V. - CVA
3,042
397
Koninklijke KPN N.V.
124,410
617
Koninklijke Philips N.V.
186,513
5,068
NN Group N.V.
34,459
3,019
Randstad N.V.
20,818
600
SBM Offshore N.V.
8,681
300
 
40,357
Norway – 0.1%
Kitron ASA
30,274
326
Salmar ASA
3,753
176
 
502
Pakistan – 0.0%
VEON Ltd. ADR*
4,877
255
Russia – 0.0%
Gazprom PJSC ADR(2) (3) *
54,380
LUKOIL PJSC ADR(2) (3) *
4,766
Sberbank of Russia PJSC(2) (3)
186,456
 
Singapore – 1.8%
iFAST Corp. Ltd.
42,900
294
Keppel DC REIT
170,900
297
Oversea-Chinese Banking Corp. Ltd.
65,300
1,256
SATS Ltd.
89,300
314
Sea Ltd. ADR*
77,913
7,466
Sheng Siong Group Ltd.
114,400
286
Singapore Exchange Ltd.
26,800
501
United Overseas Bank Ltd.
46,900
1,446
UOL Group Ltd.
52,800
390
 
12,250
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
South Africa – 0.6%
Anglo American PLC
30,288
$1,483
MTN Group Ltd.
96,777
1,347
Old Mutual Ltd.
997,851
817
Scatec ASA*
24,014
236
 
3,883
South Korea – 4.0%
Kolmar Korea Co. Ltd.*
797
51
Classys, Inc.
9,635
291
Coway Co. Ltd.
4,539
266
Daewoong Pharmaceutical Co. Ltd.
2,044
149
DL E&C Co. Ltd.
4,737
199
Han Kuk Carbon Co. Ltd.*
11,065
192
Hankook Tire & Technology Co. Ltd.
6,505
261
Hanwha Corp.
4,025
260
HD-Hyundai Marine Engine*
6,065
230
Hyundai Mobis Co. Ltd.
2,035
662
IsuPetasys Co. Ltd.
6,797
511
JB Financial Group Co. Ltd.
18,187
292
KB Financial Group, Inc.
12,820
1,318
KIWOOM Securities Co. Ltd.
1,507
337
KT Corp. ADR
64,126
1,108
LEENO Industrial, Inc.
8,028
439
LG H&H Co. Ltd.
2,712
403
LG Innotek Co. Ltd.
1,149
741
LG Uplus Corp.
26,680
242
NC Corp.
1,452
243
Poongsan Corp.
5,583
232
Samsung E&A Co. Ltd.
16,690
517
Samsung Electronics Co. Ltd.
24,513
5,359
Sanil Electric Co. Ltd.
1,921
298
Shinhan Financial Group Co. Ltd.
34,758
2,154
Shinsegae, Inc.
917
449
SK hynix, Inc.
4,977
8,781
SK Telecom Co. Ltd.
12,851
736
WONIK IPS Co. Ltd.
4,460
493
Youngone Corp.
4,529
213
 
27,427
Spain – 0.7%
Amadeus IT Group S.A.
6,302
362
ATALAYA MINING COPPER S.A.
33,851
367
Bankinter S.A.
47,054
789
Indra Sistemas S.A.
11,918
655
Industria de Diseno Textil S.A.
15,670
988
EQUITY FUNDS 10 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Spain – 0.7%continued
Logista Integral S.A.
6,950
$268
Mapfre S.A.
114,322
566
Melia Hotels International S.A.
20,819
289
Merlin Properties Socimi S.A.
32,442
569
 
4,853
Sweden – 1.0%
Asmodee Group AB, Class B*
21,051
308
Avanza Bank Holding AB
12,678
508
Bravida Holding AB
25,267
322
Hexagon AB, Class B
240,846
1,992
Loomis AB
1,351
66
NCC AB, Class B
9,729
191
SKF AB, Class B
53,192
1,366
Storskogen Group AB, Class B
127,013
112
Tele2 AB, Class B
34,075
593
Telefonaktiebolaget LM Ericsson,
Class B
122,490
1,367
Wihlborgs Fastigheter AB
29,351
228
 
7,053
Switzerland – 2.3%
ABB Ltd. (Registered)
11,188
1,214
Accelleron Industries A.G.
5,903
607
Adecco Group A.G. (Registered)
23,732
438
Avolta A.G.*
5,708
382
DKSH Holding A.G.
3,927
302
EFG International A.G.*
10,854
218
Galenica A.G.*
6,304
657
PSP Swiss Property A.G. (Registered)
3,038
542
Siegfried Holding A.G. (Registered)*
2,295
201
SIG Group A.G.*
20,136
337
Sika A.G. (Registered)
6,247
1,287
Sulzer A.G. (Registered)
2,762
458
Swatch Group (The) A.G. (Bearer)
5,224
1,278
Swissquote Group Holding S.A.
(Registered)
13,010
611
Temenos A.G. (Registered)
4,881
399
UBS Group A.G. (Registered)
127,670
6,325
Ypsomed Holding A.G. (Registered)
863
390
 
15,646
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
Taiwan – 2.3%
Taiwan Semiconductor Manufacturing
Co. Ltd.
180,984
$13,898
Taiwan Semiconductor Manufacturing
Co. Ltd. ADR
3,927
1,875
 
15,773
Thailand – 0.5%
Bangkok Bank PCL (Registered)
176,613
954
Kasikornbank PCL (Registered)
169,559
1,113
Kasikornbank PCL NVDR
158,177
1,043
 
3,110
Turkey – 0.0%
Coca-Cola Icecek A.S.
76,589
137
United Kingdom – 17.8%
3i Group PLC
89,531
2,955
AstraZeneca PLC
49,938
9,342
Autotrader Group PLC
48,304
320
Babcock International Group PLC
33,612
425
BAE Systems PLC
300,181
7,344
Balfour Beatty PLC
52,445
604
Barclays PLC
579,926
3,895
Barratt Redrow PLC
212,710
794
Berkeley Group Holdings PLC*
22,950
1,066
British American Tobacco PLC
180,738
11,148
British Land (The) Co. PLC
198,900
1,092
BT Group PLC
596,714
1,505
Bunzl PLC
15,827
552
Burberry Group PLC*
49,941
704
CK Hutchison Holdings Ltd.
144,510
1,228
Compass Group PLC
28,971
936
Computacenter PLC
8,083
458
Convatec Group PLC
100,160
286
Cranswick PLC
4,925
359
Currys PLC
239,345
507
DCC PLC
16,970
1,405
Diageo PLC
227,329
4,569
Drax Group PLC
32,942
332
easyJet PLC
268,904
1,994
Entain PLC
29,437
219
Games Workshop Group PLC
1,369
392
Genus PLC
6,744
192
GSK PLC
152,865
4,011
Harbour Energy PLC
115,218
325
Hikma Pharmaceuticals PLC
32,859
662
Howden Joinery Group PLC
26,660
296
NORTHERN FUNDS QUARTERLY REPORT 11 EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
United Kingdom – 17.8%continued
IG Group Holdings PLC
27,469
$659
IMI PLC
9,235
363
Inchcape PLC
30,008
307
Informa PLC
62,391
749
Investec PLC
38,129
304
J Sainsbury PLC
126,331
536
Kingfisher PLC
264,277
994
Lancashire Holdings Ltd.
40,373
346
Land Securities Group PLC
100,452
868
Lloyds Banking Group PLC
1,879,103
2,773
London Stock Exchange Group PLC
5,160
559
LondonMetric Property PLC
111,367
278
Marex Group PLC
9,375
571
Melrose Industries PLC
314,436
1,983
Mitie Group PLC
109,274
217
National Grid PLC
377,928
6,257
NatWest Group PLC
370,893
3,269
OSB Group PLC
42,890
295
Pearson PLC
52,873
840
Reckitt Benckiser Group PLC
99,299
6,474
RELX PLC
25,996
819
RELX PLC (Euronext Amsterdam)
67,960
2,142
Rolls-Royce Holdings PLC
741,245
14,232
Segro PLC
105,943
1,231
Serco Group PLC
72,099
210
Smith & Nephew PLC
132,174
1,900
Smiths Group PLC
34,214
1,163
Softcat PLC
13,561
329
SSE PLC
42,142
1,362
St. James's Place PLC
25,785
415
Standard Chartered PLC
185,224
5,020
Tate & Lyle PLC
48,254
355
Tesco PLC
228,166
1,393
TP ICAP Group PLC
78,466
352
Trainline PLC*
72,928
197
Tritax Big Box REIT PLC
139,014
298
UNITE Group (The) PLC
78,814
532
Watches of Switzerland Group PLC*
43,535
410
Weir Group (The) PLC
20,876
666
WPP PLC
155,725
484
 
122,069
United States – 10.4%
Aon PLC, Class A
6,107
2,026
Arch Capital Group Ltd.*
39,459
3,830
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.1% (1)continued
United States – 10.4%continued
BP PLC
385,940
$2,375
Buzzi S.p.A.
10,498
538
Carnival Corp. Ltd.
110,678
3,162
Ferguson Enterprises, Inc.
13,780
3,270
Haleon PLC
41,804
193
IMAX Corp.*
12,451
496
InterContinental Hotels Group PLC
3,986
688
Kiniksa Pharmaceuticals International
PLC*
6,308
403
Linde PLC
6,038
3,133
Medtronic PLC
35,553
2,781
Novartis A.G. (Registered)
41,288
6,465
Octave Intelligence PLC SDR*
21,068
340
Philip Morris International, Inc.
37,171
6,725
Roche Holding A.G.
11,766
4,843
Sanofi S.A.
48,364
4,133
Schneider Electric S.E.
4,564
1,497
Seagate Technology Holdings PLC
11,549
11,145
Shell PLC
129,809
5,028
Smurfit Westrock PLC (New York
Exchange)
42,317
1,958
Spotify Technology S.A.*
9,194
4,221
Waste Connections, Inc. (New York
Exchange)
12,359
2,060
 
71,310
Total Common Stocks
(Cost $467,293)
651,498
 
CONVERTIBLE PREFERRED STOCKS – 0.2% (1)
Germany – 0.2%
Volkswagen A.G., 7.51%(4)
14,238
1,141
Total Convertible Preferred Stocks
(Cost $1,656)
1,141
 
PREFERRED STOCKS – 0.4% (1)
Brazil – 0.2%
Banco Bradesco S.A. ADR*
508,414
1,764
Germany – 0.2%
Henkel A.G. & Co. KGaA, 2.82%(4)
14,340
1,205
Total Preferred Stocks
(Cost $2,355)
2,969
 
INVESTMENT COMPANIES – 3.6%
iShares Core MSCI EAFE ETF
9,535
921
EQUITY FUNDS 12 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 3.6%continued
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(5) (6) (7)
1,429,257
$1,429
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(5) (6)
20,327,850
20,328
Vanguard FTSE Developed Markets ETF
27,261
1,942
Total Investment Companies
(Cost $24,526)
24,620
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.0%
U.S. Treasury Bill,
3.59%, 10/15/26(8) (9)
$364
$360
Total Short-Term Investments
(Cost $360)
360
 
Total Investments – 99.3%
(Cost $496,190)
680,588
Other Assets less Liabilities – 0.7%
4,642
Net Assets – 100.0%
$685,230
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Restricted security. At June 30, 2026, the value of these restricted securities
amounted to $0 or 0.0% of net assets. Additional information on these
restricted securities are as follows:
SECURITY
ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Gazprom PJSC ADR
9/27/17-12/29/21
$242
LUKOIL PJSC ADR
9/27/17-2/9/22
254
Sberbank of Russia PJSC
1/3/19-11/25/20
625
 
 
(3)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(4)
Current yield is disclosed. Dividends are calculated based on a percentage
of the issuer's net income.
(5)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(6)
7-day current yield as of June 30, 2026 is disclosed.
(7)
Investment of cash collateral received from securities lending activities.
(8)
Discount rate at the time of purchase.
(9)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
EAFE – Europe, Australasia and the Far East
 
ETF – Exchange-Traded Fund
 
FTSE – Financial Times Stock Exchange
 
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
 
SDR – Swedish Depositary Receipt
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI EAFE
Index
(United States
Dollar)
67
$10,537
Long
9/26
$(25
)
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Financials
22.3
%
Industrials
19.2
Information Technology
13.4
Consumer Discretionary
8.5
Health Care
8.2
Consumer Staples
7.6
Communication Services
4.8
Materials
4.7
Energy
3.4
Utilities
2.2
Real Estate
1.8
Short-Term Investments
3.2
Total Investments
99.3
Other Assets less Liabilities
0.7
Net Assets
100.0
%
NORTHERN FUNDS QUARTERLY REPORT 13 EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUNDcontinued
June 30, 2026 (UNAUDITED)
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Australia
$848
$6,605
$
$7,453
Brazil
7,904
7,904
Canada
26,752
26,752
China
734
11,490
12,224
Guatemala
276
276
India
2,982
509
3,491
Ireland
1,608
5,614
7,222
Israel
3,666
1,226
4,892
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Ivory Coast
$649
$
$
$649
Mexico
1,913
1,913
Netherlands
8,833
31,524
40,357
Pakistan
255
255
Singapore
7,466
4,784
12,250
South Korea
1,159
26,268
27,427
Taiwan
1,875
13,898
15,773
United Kingdom
571
121,498
122,069
United States
45,550
25,760
71,310
All Other Countries(1)
289,281
289,281
Total Common Stocks
113,041
538,457
651,498
Convertible Preferred Stocks
1,141
1,141
Preferred Stocks:
Brazil
1,764
1,764
Germany
1,205
1,205
Total Preferred Stocks
1,764
1,205
2,969
Investment Companies
24,620
24,620
Short-Term Investments
360
360
Total Investments
$139,425
$541,163
$
$680,588
OTHER FINANCIAL
INSTRUMENTS
Liabilities
Futures Contracts
$(25
)
$
$
$(25
)
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$30
$3,384
$1,985
$1,429
1,429,257
$1
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
18,856
50,077
48,605
20,328
20,327,850
213
Total
$18,886
$53,461
$50,590
$21,757
21,757,107
$214
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
EQUITY FUNDS 14 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)
Australia – 0.3%
Anglogold Ashanti PLC
121,384
$9,815
Brazil – 2.6%
Ambev S.A.
1,054,660
3,326
Axia Energia S.A.
309,425
3,259
B3 S.A. - Brasil Bolsa Balcao*
1,220,395
3,433
Banco Bradesco S.A.*
333,377
1,016
Banco BTG Pactual S.A.*
286,900
3,021
Banco do Brasil S.A.*
403,188
1,558
BB Seguridade Participacoes S.A.
140,501
1,064
Caixa Seguridade Participacoes S/A
132,200
506
Cia de Saneamento Basico do Estado
de Sao Paulo S.A.B.ESP*
597,485
3,439
Cia Paranaense de Energia - Copel
472,500
1,377
CPFL Energia S.A.
50,400
436
Embraer S.A.
159,800
2,537
Energisa S/A
69,630
648
Eneva S.A.*
224,700
1,164
Engie Brasil Energia S.A.
68,945
462
Equatorial S.A.*
267,155
2,018
Itau Unibanco Holding S.A.
118,200
1,014
Klabin S.A.
205,711
668
Localiza Rent a Car S.A.*
198,984
1,605
MBRF Global Foods Co. S.A.
149,646
510
Motiva Infraestrutura de Mobilidade
S.A.
202,500
573
NU Holdings Ltd., Class A*
877,140
11,719
Petroleo Brasileiro S.A. - Petrobras
899,934
7,266
Porto Seguro S.A.*
48,400
496
PRIO S.A.*
202,000
2,045
Raia Drogasil S.A.
300,127
975
Rede D'Or Sao Luiz S.A.*
158,700
1,066
Rumo S.A.
275,394
715
StoneCo Ltd., Class A
40,610
440
Suzano S.A.
146,585
1,130
Telefonica Brasil S.A.*
173,280
1,141
TIM S.A.*
194,300
827
Ultrapar Participacoes S.A.
172,948
873
Vale S.A.
856,013
12,922
Vibra Energia S.A.*
255,565
1,477
WEG S.A.
357,848
3,252
XP, Inc., Class A
93,745
1,524
 
81,502
Chile – 0.4%
Banco de Chile
10,987,798
2,151
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Chile – 0.4%continued
Banco de Credito e Inversiones S.A.
18,976
$1,247
Banco Santander Chile
15,654,755
1,282
Cencosud S.A.
300,669
695
Empresas Copec S.A.
88,176
550
Enel Chile S.A.
5,094,720
448
Falabella S.A.
184,411
1,151
Latam Airlines Group S.A.
84,152,046
2,447
Plaza S.A.
182,002
750
 
10,721
China – 18.3%
360 Security Technology, Inc., Class A
89,800
116
37 Interactive Entertainment Network
Technology Group Co. Ltd., Class A
41,800
117
3SBio, Inc.*
453,000
981
AAC Technologies Holdings, Inc.
202,000
1,114
Accelink Technologies Co. Ltd.,
Class A*
11,600
448
ACM Research Shanghai, Inc., Class A
3,200
206
Advanced Fiber Resources Zhuhai Ltd.,
Class A
3,900
222
Advanced Micro-Fabrication
Equipment, Inc. China, Class A
14,599
1,024
AECC Aviation Power Co. Ltd., Class A
36,300
206
Agricultural Bank of China Ltd., Class A
1,232,100
1,101
Agricultural Bank of China Ltd., Class H
6,427,367
4,385
Aier Eye Hospital Group Co. Ltd.,
Class A
124,676
152
Air China Ltd., Class A*
201,200
181
Airtac International Group
33,765
1,424
Akeso, Inc.*
151,000
1,702
Alibaba Group Holding Ltd.
4,031,080
48,159
Alibaba Health Information Technology
Ltd.* †
1,154,000
455
Aluminum Corp. of China Ltd., Class A
170,300
206
Aluminum Corp. of China Ltd., Class H
923,435
882
Amlogic Shanghai Co. Ltd., Class A
6,175
94
Angel Yeast Co. Ltd., Class A
9,100
49
Anhui Conch Cement Co. Ltd., Class A
26,200
66
Anhui Conch Cement Co. Ltd., Class H
283,575
608
Anhui Gujing Distillery Co. Ltd., Class A
5,400
63
Anhui Jianghuai Automobile Group
Corp. Ltd., Class A*
31,500
120
Anji Microelectronics Technology
Shanghai Co. Ltd., Class A
3,487
177
NORTHERN FUNDS QUARTERLY REPORT 15 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Anker Innovations Technology Co. Ltd.,
Class A
10,130
$156
ANTA Sports Products Ltd.
302,032
2,744
APT Medical, Inc., Class A
2,900
78
Avary Holding Shenzhen Co. Ltd.,
Class A
27,900
437
BAIC BluePark New Energy Technology
Co. Ltd., Class A*
190,800
137
Baidu, Inc., Class A*
502,682
7,158
Baiyin Nonferrous Group Co. Ltd.,
Class A
115,400
86
Bank of Beijing Co. Ltd., Class A
267,900
193
Bank of Changsha Co. Ltd., Class A
50,200
64
Bank of Chengdu Co. Ltd., Class A
57,700
151
Bank of China Ltd., Class A
619,900
522
Bank of China Ltd., Class H
16,154,652
10,298
Bank of Communications Co. Ltd.,
Class A
777,900
737
Bank of Communications Co. Ltd.,
Class H
1,957,117
1,684
Bank of Hangzhou Co. Ltd., Class A
124,920
266
Bank of Jiangsu Co. Ltd., Class A
237,044
377
Bank of Nanjing Co. Ltd., Class A
178,096
260
Bank of Ningbo Co. Ltd., Class A
103,450
453
Bank of Shanghai Co. Ltd., Class A
215,871
276
Bank of Suzhou Co. Ltd., Class A
106,900
110
Baoshan Iron & Steel Co. Ltd., Class A
357,196
286
Beijing Compass Technology
Development Co. Ltd., Class A
7,400
100
Beijing Enlight Media Co. Ltd., Class A
36,500
60
Beijing Enterprises Holdings Ltd.
109,771
377
Beijing Kingsoft Office Software, Inc.,
Class A
4,589
146
Beijing New Building Materials PLC,
Class A
19,900
53
Beijing Tong Ren Tang Co. Ltd., Class A
17,800
61
Beijing Wantai Biological Pharmacy
Enterprise Co. Ltd., Class A*
11,158
44
Beijing-Shanghai High Speed Railway
Co. Ltd., Class A
756,700
505
Bilibili, Inc., Class Z*
58,811
999
Biwin Storage Technology Co. Ltd.,
Class A
7,202
541
Bluefocus Intelligent Communications
Group Co. Ltd., Class A
55,400
113
BOC Aviation Ltd.
45,000
468
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
BOC International China Co. Ltd.,
Class A
28,600
$53
BOE Technology Group Co. Ltd.,
Class A
456,200
587
Bosideng International Holdings Ltd.
1,256,000
687
BYD Co. Ltd., Class A
83,700
983
BYD Co. Ltd., Class H
883,596
8,183
BYD Electronic International Co. Ltd.
195,500
525
C&D International Investment Group
Ltd.
227,650
393
Caitong Securities Co. Ltd., Class A
58,910
75
Cambricon Technologies Corp. Ltd.,
Class A
9,039
2,141
Canmax Technologies Co. Ltd.,
Class A*
13,600
188
CCOOP Group Co. Ltd., Class A*
289,800
57
CGN Power Co. Ltd., Class H
2,623,000
897
Changchun High-Tech Industry Group
Co. Ltd., Class A
5,100
50
Changjiang Securities Co. Ltd., Class A
97,000
140
Changzhou Xingyu Automotive Lighting
Systems Co. Ltd., Class A
4,000
54
Chaozhou Three-Circle Group Co. Ltd.,
Class A
27,200
677
Chengtun Mining Group Co. Ltd.,
Class A
59,000
96
Chifeng Jilong Gold Mining Group Ltd.,
Class A
25,500
99
China CITIC Bank Corp. Ltd., Class A
141,900
145
China CITIC Bank Corp. Ltd., Class H
1,922,286
1,632
China Coal Energy Co. Ltd., Class H
474,000
593
China Construction Bank Corp., Class A
276,600
392
China Construction Bank Corp.,
Class H
20,330,693
20,948
China CSSC Holdings Ltd., Class A
116,300
581
China Eastern Airlines Corp. Ltd.,
Class A*
277,400
157
China Energy Engineering Corp. Ltd.,
Class A
430,300
170
China Everbright Bank Co. Ltd., Class A
665,900
284
China Feihe Ltd.
576,000
206
China Galaxy Securities Co. Ltd.,
Class A
101,300
188
China Galaxy Securities Co. Ltd.,
Class H
846,500
798
China Gas Holdings Ltd.
624,095
413
EQUITY FUNDS 16 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
China Gold International Resources
Corp. Ltd.
55,000
$862
China Great Wall Securities Co. Ltd.,
Class A
59,100
73
China Greatwall Technology Group
Co. Ltd., Class A*
51,600
148
China Hongqiao Group Ltd.
750,000
1,925
China Huishan Dairy Holdings Co.
Ltd.(2) *
1,922,380
China International Capital Corp. Ltd.,
Class A
49,000
262
China International Capital Corp. Ltd.,
Class H
435,200
1,170
China Jushi Co. Ltd., Class A
52,822
573
China Life Insurance Co. Ltd., Class A
35,600
185
China Life Insurance Co. Ltd., Class H
1,784,544
6,105
China Longyuan Power Group Corp.
Ltd., Class H
557,473
356
China Mengniu Dairy Co. Ltd.
676,870
1,393
China Merchants Bank Co. Ltd., Class A
309,179
1,617
China Merchants Bank Co. Ltd.,
Class H
913,433
5,243
China Merchants Energy Shipping Co.
Ltd., Class A
109,700
284
China Merchants Expressway Network
& Technology Holdings Co. Ltd.,
Class A
84,400
114
China Merchants Port Holdings Co. Ltd.
284,067
449
China Merchants Securities Co. Ltd.,
Class A
127,910
399
China Merchants Shekou Industrial
Zone Holdings Co. Ltd., Class A
152,700
145
China Minsheng Banking Corp. Ltd.,
Class A
466,840
222
China Minsheng Banking Corp. Ltd.,
Class H
1,573,654
631
China National Building Material Co.
Ltd., Class H
839,943
576
China National Chemical Engineering
Co. Ltd., Class A
73,800
80
China National Nuclear Power Co.
Ltd., Class A
271,098
361
China National Software & Service Co.
Ltd., Class A*
10,400
43
China Nonferrous Mining Corp. Ltd.
313,000
448
China Northern Rare Earth Group
High-Tech Co. Ltd., Class A
46,100
328
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
China Oilfield Services Ltd., Class H
416,757
$331
China Overseas Land & Investment Ltd.
960,195
1,484
China Pacific Insurance Group Co. Ltd.,
Class A
101,100
425
China Pacific Insurance Group Co. Ltd.,
Class H
639,337
2,198
China Petroleum & Chemical Corp.,
Class A
516,100
337
China Petroleum & Chemical Corp.,
Class H
5,392,628
2,753
China Power International Development
Ltd.
960,000
336
China Railway Group Ltd., Class A
257,500
159
China Railway Group Ltd., Class H
1,026,827
435
China Rare Earth Resources And
Technology Co. Ltd., Class A*
14,300
117
China Resources Beer Holdings Co. Ltd.
425,948
1,158
China Resources Gas Group Ltd.
231,058
432
China Resources Land Ltd.
719,432
2,762
China Resources Microelectronics Ltd.,
Class A
23,419
342
China Resources Mixc Lifestyle Services
Ltd.
178,800
839
China Resources Power Holdings Co.
Ltd.
511,735
1,107
China Resources Sanjiu Medical &
Pharmaceutical Co. Ltd., Class A
24,843
82
China Ruyi Holdings Ltd.* †
2,960,000
564
China Shenhua Energy Co. Ltd.,
Class A
89,300
512
China Shenhua Energy Co. Ltd.,
Class H
816,136
4,174
China Southern Airlines Co. Ltd.,
Class A*
149,900
115
China State Construction Engineering
Corp. Ltd., Class A
534,280
342
China Taiping Insurance Holdings Co.
Ltd.
350,704
810
China Three Gorges Renewables
Group Co. Ltd., Class A
426,400
233
China Tourism Group Duty Free Corp.
Ltd., Class A
29,400
233
China Tower Corp. Ltd., Class H
1,025,800
1,155
China Tungsten And Hightech Materials
Co. Ltd., Class A
34,400
488
China United Network Communications
Ltd., Class A
436,900
258
NORTHERN FUNDS QUARTERLY REPORT 17 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
China Vanke Co. Ltd., Class A*
202,600
$89
China XD Electric Co. Ltd., Class A
84,400
187
China Yangtze Power Co. Ltd., Class A
342,100
1,335
China Zheshang Bank Co. Ltd., Class A
252,330
98
Chongqing Afari Technology Co. Ltd.,
Class A*
65,200
79
Chongqing Changan Automobile Co.
Ltd., Class A
104,368
110
Chongqing Rural Commercial Bank Co.
Ltd., Class A
121,400
109
Chongqing Rural Commercial Bank Co.
Ltd., Class H
577,000
425
Chongqing Zhifei Biological Products
Co. Ltd., Class A*
51,050
88
Chow Tai Fook Jewellery Group Ltd.
377,600
527
CICT Mobile Communication
Technology Co. Ltd., Class A*
56,703
167
CITIC Ltd.
1,065,803
1,449
Citic Pacific Special Steel Group Co.
Ltd., Class A
70,300
131
CITIC Securities Co. Ltd., Class A
166,045
703
CITIC Securities Co. Ltd., Class H
384,900
1,344
CMOC Group Ltd., Class A
270,400
704
CMOC Group Ltd., Class H
885,000
1,728
CNGR Advanced Material Co. Ltd.,
Class A
10,502
68
CNPC Capital Co. Ltd., Class A
123,100
120
Contemporary Amperex Technology
Co. Ltd., Class A
64,540
3,752
Contemporary Amperex Technology
Co. Ltd., Class H
41,900
3,771
COSCO SHIPPING Energy
Transportation Co. Ltd., Class A
75,500
200
COSCO SHIPPING Energy
Transportation Co. Ltd., Class H
280,000
497
COSCO SHIPPING Holdings Co. Ltd.,
Class A
165,880
324
COSCO SHIPPING Holdings Co. Ltd.,
Class H
615,650
1,022
CRRC Corp. Ltd., Class A
358,200
275
CRRC Corp. Ltd., Class H
872,000
500
CSC Financial Co. Ltd., Class A
53,600
230
CSI Solar Co. Ltd., Class A
44,662
71
CSPC Innovation Pharmaceutical Co.
Ltd., Class A*
15,120
61
CSPC Pharmaceutical Group Ltd.
1,949,360
1,740
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Dajin Heavy Industry Co. Ltd., Class A
10,100
$87
Daqin Railway Co. Ltd., Class A
294,900
200
Datang International Power Generation
Co. Ltd., Class A
170,500
178
Dazhong Mining Co. Ltd., Class A
24,400
108
Delton Technology Guangzhou, Inc.,
Class A*
5,800
205
Dongfang Electric Corp. Ltd., Class A
51,700
221
Dongxing Securities Co. Ltd., Class A
50,400
101
Dosilicon Co. Ltd., Class A*
6,957
211
East Money Information Co. Ltd.,
Class A
238,724
719
Eastroc Beverage Group Co. Ltd.,
Class A
9,516
173
Ecovacs Robotics Co. Ltd., Class A
8,100
61
Empyrean Technology Co. Ltd., Class A
6,300
112
ENN Energy Holdings Ltd.
167,679
866
ENN Natural Gas Co. Ltd., Class A
31,600
73
Eoptolink Technology, Inc. Ltd., Class A
20,328
1,835
Eve Energy Co. Ltd., Class A
27,496
264
Everbright Securities Co. Ltd., Class A
49,998
107
EverProX Technologies Co. Ltd., Class A
4,300
178
Far East Horizon Ltd.
422,000
289
Fiberhome Telecommunication
Technologies Co. Ltd., Class A
21,200
232
Focus Media Information Technology
Co. Ltd., Class A
208,900
149
Foshan Haitian Flavouring & Food Co.
Ltd., Class A
61,158
299
Founder Securities Co. Ltd., Class A
131,800
140
Founder Technology Group Corp.,
Class A*
67,800
139
Foxconn Industrial Internet Co. Ltd.,
Class A
153,500
1,662
Full Truck Alliance Co. Ltd. ADR
182,584
1,483
Fuyao Glass Industry Group Co. Ltd.,
Class A
33,692
251
Fuyao Glass Industry Group Co. Ltd.,
Class H
138,800
909
Ganfeng Lithium Group Co. Ltd.,
Class A
22,240
215
Ganfeng Lithium Group Co. Ltd.,
Class H
118,800
766
GCL Technology Holdings Ltd.*
4,581,000
408
GD Power Development Co. Ltd.,
Class A
242,200
167
EQUITY FUNDS 18 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
GDS Holdings Ltd., Class A*
268,000
$988
Geely Automobile Holdings Ltd.
1,588,641
3,425
GEM Co. Ltd., Class A
61,100
60
Genscript Biotech Corp.*
304,000
477
Geovis Technology Co. Ltd., Class A
13,496
83
GF Securities Co. Ltd., Class A
96,993
335
GF Securities Co. Ltd., Class H
259,000
564
Giant Biogene Holding Co. Ltd.
86,800
294
Giant Network Group Co. Ltd., Class A
24,900
102
GigaDevice Semiconductor, Inc.,
Class A
8,880
1,093
GoerTek, Inc., Class A
41,300
139
Goldwind Science & Technology Co.
Ltd., Class A
42,100
149
Gotion High-tech Co. Ltd., Class A
24,200
98
Great Wall Motor Co. Ltd., Class H
567,796
639
Gree Electric Appliances, Inc. of
Zhuhai, Class A
38,800
215
Guangdong Haid Group Co. Ltd.,
Class A
22,400
147
Guangdong HEC Technology Holding
Co. Ltd., Class A*
41,100
205
Guangdong Investment Ltd.
638,514
633
Guangzhou Automobile Group Co.
Ltd., Class A*
68,100
51
Guangzhou Haige Communications
Group, Inc. Co., Class A
39,500
75
Guangzhou Tinci Materials Technology
Co. Ltd., Class A
27,780
211
Guobo Electronics Co. Ltd., Class A
6,383
99
Guocheng Mining Co. Ltd., Class A
20,100
102
Guolian Minsheng Securities Co. Ltd.,
Class A
87,500
114
Guosen Securities Co. Ltd., Class A
81,200
120
Guotai Haitong Securities Co. Ltd.
217,638
585
Guotai Haitong Securities Co. Ltd.,
Class H
547,348
1,039
Guoyuan Securities Co. Ltd., Class A
47,460
53
H World Group Ltd. ADR
46,376
1,935
Haidilao International Holding Ltd.
372,000
505
Haier Smart Home Co. Ltd., Class A
94,797
286
Haier Smart Home Co. Ltd., Class H
525,800
1,345
Hainan Airlines Holding Co. Ltd.,
Class A*
575,800
115
Hainan Airport Infrastructure Co. Ltd.,
Class A
122,100
49
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Haisco Pharmaceutical Group Co. Ltd.,
Class A
12,400
$121
Haitian International Holdings Ltd.
166,000
398
Hangzhou Chang Chuan Technology
Co. Ltd., Class A
8,800
447
Hangzhou First Applied Material Co.
Ltd., Class A
34,659
86
Hangzhou Silan Microelectronics Co.
Ltd., Class A
17,200
141
Hangzhou Tigermed Consulting Co.
Ltd., Class A
6,500
46
Hansoh Pharmaceutical Group Co. Ltd.
300,000
1,135
Hebei Changshan Biochemical
Pharmaceutical Co. Ltd., Class A*
14,600
50
Henan Shenhuo Coal Industry &
Electricity Power Co. Ltd., Class A
34,200
107
Henan Shijia Photons Technology Co.
Ltd., Class A
7,800
215
Henan Shuanghui Investment &
Development Co. Ltd., Class A
47,600
157
Hengan International Group Co. Ltd.
149,398
415
Hengli Petrochemical Co. Ltd., Class A
104,160
272
Hengtong Optic-electric Co. Ltd.,
Class A
37,800
615
Hesai Group* †
29,260
524
Hgtech Co. Ltd., Class A
16,000
442
Hithink RoyalFlush Information Network
Co. Ltd., Class A
10,920
389
Horizon Robotics*
1,084,800
568
Hoshine Silicon Industry Co. Ltd.,
Class A
10,900
78
Hua Hong Grace Semiconductor Ltd.*
176,000
4,905
Hua Hong Grace Semiconductor Ltd.,
Class A*
5,911
299
Huadian Power International Corp. Ltd.,
Class A
212,400
140
Huadong Medicine Co. Ltd., Class A
22,720
94
Huafon Chemical Co. Ltd., Class A
50,400
71
Huaneng Power International, Inc.,
Class A
164,000
183
Huaneng Power International, Inc.,
Class H
1,024,501
714
Huaqin Co. Ltd., Class A
15,400
171
Huatai Securities Co. Ltd., Class A
104,200
318
Huatai Securities Co. Ltd., Class H
293,000
626
Huaxia Bank Co. Ltd., Class A
156,390
147
NORTHERN FUNDS QUARTERLY REPORT 19 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Huayu Automotive Systems Co. Ltd.,
Class A
42,200
$96
Hubei Feilihua Quartz Glass Co. Ltd.,
Class A*
8,300
165
Huizhou Desay Sv Automotive Co. Ltd.,
Class A
9,400
113
Hunan Valin Steel Co. Ltd., Class A
101,900
52
Hunan Yuneng New Energy Battery
Material Co. Ltd., Class A
13,700
154
Hundsun Technologies, Inc., Class A
26,145
82
Hwatsing Technology Co. Ltd., Class A
5,300
254
Hygon Information Technology Co. Ltd.,
Class A
32,332
1,791
IEIT Systems Co. Ltd., Class A
17,856
187
Iflytek Co. Ltd., Class A
37,000
224
Imeik Technology Development Co.
Ltd., Class A
4,200
54
Industrial & Commercial Bank of China
Ltd., Class A
890,400
927
Industrial & Commercial Bank of China
Ltd., Class H
15,694,023
12,879
Industrial Bank Co. Ltd., Class A
307,100
749
Industrial Securities Co. Ltd., Class A
126,400
113
Ingenic Semiconductor Co. Ltd., Class A
8,100
300
Inner Mongolia BaoTou Steel Union
Co. Ltd., Class A*
580,400
191
Inner Mongolia Dian Tou Energy Corp.
Ltd., Class A
29,200
99
Inner Mongolia Junzheng Energy &
Chemical Industry Group Co. Ltd.,
Class A
159,200
105
Inner Mongolia Xingye Silver&Tin
Mining Co. Ltd., Class A
24,100
118
Inner Mongolia Yili Industrial Group
Co. Ltd., Class A
101,300
358
Inner Mongolia Yitai Coal Co. Ltd.,
Class B
206,900
546
Innovent Biologics, Inc.*
343,500
3,501
Isoftstone Information Technology
Group Co. Ltd., Class A
31,500
198
J&T Global Express Ltd.*
565,200
604
JA Solar Technology Co. Ltd., Class A*
41,916
50
JCET Group Co. Ltd., Class A
21,700
337
JD Health International, Inc.*
240,550
1,013
JD Logistics, Inc.*
428,100
643
JD.com, Inc., Class A
545,816
6,946
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Jiangsu Eastern Shenghong Co. Ltd.,
Class A*
89,900
$152
Jiangsu Etern Co. Ltd., Class A
21,400
215
Jiangsu Hengli Hydraulic Co. Ltd.,
Class A
16,468
263
Jiangsu Hengrui Pharmaceuticals Co.
Ltd., Class A
93,385
718
Jiangsu Yanghe Distillery Co. Ltd.,
Class A
24,500
138
Jiangsu Zhongtian Technology Co. Ltd.,
Class A
40,200
363
Jiangxi Copper Co. Ltd., Class A
33,099
213
Jiangxi Copper Co. Ltd., Class H
250,000
993
Jinduicheng Molybdenum Co. Ltd.,
Class A
33,100
138
Jinko Solar Co. Ltd., Class A*
139,783
98
JL Mag Rare-Earth Co. Ltd., Class A
19,100
87
Kangmei Pharmaceutical Co. Ltd.,
Class A(2) *
4,694
Kanzhun Ltd. ADR
86,453
1,113
KE Holdings, Inc., Class A
479,843
2,312
Kingdee International Software Group
Co. Ltd.*
708,000
538
Kingfa Sci & Tech Co. Ltd., Class A
38,300
87
Kingnet Network Co. Ltd., Class A
32,000
77
Kingsoft Corp. Ltd.
205,103
583
Kuaishou Technology
615,200
3,287
Kuang-Chi Technologies Co. Ltd.,
Class A
32,000
143
Kunlun Energy Co. Ltd.
929,230
762
Kunlun Tech Co. Ltd., Class A*
13,900
83
Kweichow Moutai Co. Ltd., Class A
18,295
3,193
Laopu Gold Co. Ltd., Class H
9,900
441
LB Group Co. Ltd., Class A
29,400
72
Lenovo Group Ltd.
1,810,000
5,407
Lens Technology Co. Ltd., Class A
80,900
644
Leo Group Co. Ltd., Class A
106,700
75
Li Auto, Inc., Class A*
286,630
1,684
Li Ning Co. Ltd.
603,000
1,137
Lingyi iTech Guangdong Co., Class A
107,200
276
Longfor Group Holdings Ltd.
510,345
391
LONGi Green Energy Technology Co.
Ltd., Class A*
97,669
189
Loongson Technology Corp. Ltd.,
Class A*
3,800
88
EQUITY FUNDS 20 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Luxshare Precision Industry Co. Ltd.,
Class A
111,605
$1,178
Luzhou Laojiao Co. Ltd., Class A
21,300
243
Mango Excellent Media Co. Ltd.,
Class A
22,070
48
Maxscend Microelectronics Co. Ltd.,
Class A*
6,780
110
Meituan, Class B*
1,212,818
10,697
Metallurgical Corp. of China Ltd.,
Class A
198,300
71
Midea Group Co. Ltd., Class A
54,300
604
Midea Group Co. Ltd., Class H
111,800
1,180
MINISO Group Holding Ltd.
92,436
278
MMG Ltd.*
1,036,000
925
Montage Technology Co. Ltd., Class A
16,865
791
Muyuan Foods Group Co. Ltd., Class A
73,978
382
NARI Technology Co. Ltd., Class A
127,406
430
National Silicon Industry Group Co.
Ltd., Class A*
54,787
326
NAURA Technology Group Co. Ltd.,
Class A
10,105
1,326
NetEase, Inc.
425,875
10,962
New China Life Insurance Co. Ltd.,
Class A
34,700
305
New China Life Insurance Co. Ltd.,
Class H
222,452
1,312
New Hope Liuhe Co. Ltd., Class A
63,200
58
New Oriental Education & Technology
Group, Inc.
305,920
1,404
Nexchip Semiconductor Corp., Class A
24,199
214
Ningbo Deye Technology Corp.,
Class A
15,587
244
Ningbo Orient Wires & Cables Co.
Ltd., Class A
11,040
68
Ningbo Sanxing Medical Electric Co.
Ltd., Class A
28,200
62
Ningbo Tuopu Group Co. Ltd., Class A
27,095
226
Ningxia Baofeng Energy Group Co.
Ltd., Class A
123,600
366
NIO, Inc., Class A*
419,366
2,128
Nongfu Spring Co. Ltd., Class H
435,400
2,210
OmniVision Integrated Circuits Group,
Inc.
18,135
255
Orient Securities Co. Ltd., Class A
102,839
143
PDD Holdings, Inc. ADR*
136,853
10,439
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
People's Insurance Co. Group of China
(The) Ltd., Class A
152,500
$152
People's Insurance Co. Group of China
(The) Ltd., Class H
2,050,535
1,230
PetroChina Co. Ltd., Class A
329,500
417
PetroChina Co. Ltd., Class H
5,053,438
5,441
Pharmaron Beijing Co. Ltd., Class A
19,125
82
PICC Property & Casualty Co. Ltd.,
Class H
1,653,359
3,034
Ping An Bank Co. Ltd., Class A
303,200
449
Ping An Insurance Group Co. of China
Ltd., Class A
156,735
1,105
Ping An Insurance Group Co. of China
Ltd., Class H
1,567,406
10,250
Piotech, Inc., Class A
4,201
541
Poly Developments and Holdings
Group Co. Ltd., Class A
158,200
108
Pony AI, Inc., Class A*
48,700
339
Pop Mart International Group Ltd.
118,800
2,358
Postal Savings Bank of China Co. Ltd.,
Class A
438,300
318
Postal Savings Bank of China Co. Ltd.,
Class H
2,122,000
1,239
Power Construction Corp. of China Ltd.,
Class A
233,100
161
Qinghai Salt Lake Industry Co. Ltd.,
Class A*
69,700
311
QuantumCTek Co. Ltd., Class A
1,629
122
Range Intelligent Computing
Technology Group Co. Ltd., Class A
20,700
255
Raytron Technology Co. Ltd., Class A
7,961
183
Remegen Co. Ltd., Class H*
44,000
419
RoboTechnik Intelligent Technology Co.
Ltd., Class A
2,600
240
Rockchip Electronics Co. Ltd., Class A
5,800
163
Rongsheng Petrochemical Co. Ltd.,
Class A
129,100
205
SAIC Motor Corp. Ltd., Class A
87,693
126
Sailun Group Co. Ltd., Class A
48,300
82
Sanan Optoelectronics Co. Ltd.,
Class A
97,100
306
Sangfor Technologies, Inc., Class A
6,500
93
Sany Heavy Industry Co. Ltd., Class A
116,800
299
Satellite Chemical Co. Ltd., Class A
43,761
151
SDIC Capital Co. Ltd., Class A
83,900
81
SDIC Power Holdings Co. Ltd., Class A
107,000
210
NORTHERN FUNDS QUARTERLY REPORT 21 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
SenseTime Group, Inc., Class B*
6,744,000
$1,160
Seres Group Co. Ltd., Class A
25,000
226
SF Holding Co. Ltd., Class A
67,800
313
SG Micro Corp., Class A
7,605
163
Shaanxi Coal Industry Co. Ltd., Class A
128,700
384
Shandong Gold Mining Co. Ltd.,
Class A
58,437
199
Shandong Gold Mining Co. Ltd.,
Class H
175,250
375
Shandong Himile Mechanical Science
& Technology Co. Ltd., Class A
17,110
118
Shandong Hongqiao Aluminum
Industry Holding Co. Ltd., Class A
50,900
111
Shandong Hualu Hengsheng Chemical
Co. Ltd., Class A
27,340
96
Shandong Nanshan Aluminum Co. Ltd.,
Class A
175,400
103
Shandong Sun Paper Industry JSC Ltd.,
Class A
32,500
60
Shanghai Allist Pharmaceuticals Co.
Ltd., Class A
6,400
103
Shanghai Baosight Software Co. Ltd.,
Class A
59,080
145
Shanghai BOCHU Electronic
Technology Corp. Ltd., Class A
5,930
94
Shanghai Electric Group Co. Ltd.,
Class A*
164,800
171
Shanghai Electric Power Co. Ltd.,
Class A
38,500
85
Shanghai Fosun Pharmaceutical Group
Co. Ltd., Class A
25,300
84
Shanghai International Airport Co. Ltd.,
Class A
17,200
59
Shanghai Pharmaceuticals Holding Co.
Ltd., Class A
37,200
84
Shanghai Pudong Development Bank
Co. Ltd., Class A
448,492
569
Shanghai Putailai New Energy
Technology Group Co. Ltd.
25,752
110
Shanghai RAAS Blood Products Co.
Ltd., Class A
94,600
61
Shanghai Rural Commercial Bank Co.
Ltd., Class A
113,200
125
Shanghai Stonehill Technology Co. Ltd.,
Class A
89,000
86
Shanghai United Imaging Healthcare
Co. Ltd., Class A
10,770
161
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Shanghai Zhangjiang High-Tech Park
Development Co. Ltd., Class A
16,400
$90
Shanjin International Gold Co. Ltd.,
Class A
38,800
97
Shannon Semiconductor Technology
Co. Ltd., Class A
7,100
322
Shanxi Coking Coal Energy Group Co.
Ltd., Class A
79,120
67
Shanxi Lu'an Environmental Energy
Development Co. Ltd., Class A
36,200
76
Shanxi Xinghuacun Fen Wine Factory
Co. Ltd., Class A
17,060
275
Sharetronic Data Technology Co. Ltd.,
Class A
6,720
340
Shenergy Co. Ltd., Class A
41,700
54
Shengyi Electronics Co. Ltd., Class A
9,600
190
Shengyi Technology Co. Ltd., Class A
34,000
876
Shennan Circuits Co. Ltd., Class A
9,724
663
Shenwan Hongyuan Group Co. Ltd.,
Class A
328,200
213
Shenzhen Envicool Technology Co. Ltd.,
Class A
17,810
210
Shenzhen Everwin Precision
Technology Co. Ltd., Class A*
20,500
85
Shenzhen Inovance Technology Co.
Ltd., Class A
18,900
186
Shenzhen Kedali Industry Co. Ltd.,
Class A
5,000
139
Shenzhen Kinwong Electronic Co. Ltd.,
Class A
11,500
124
Shenzhen Longsys Electronics Co. Ltd.,
Class A
6,300
671
Shenzhen Megmeet Electrical Co. Ltd.,
Class A
8,800
219
Shenzhen Mindray Bio-Medical
Electronics Co. Ltd., Class A
16,600
333
Shenzhen New Industries Biomedical
Engineering Co. Ltd., Class A
9,800
61
Shenzhen Salubris Pharmaceuticals Co.
Ltd., Class A
17,700
83
Shenzhen Sunway Communication Co.
Ltd., Class A
14,800
263
Shenzhen Techwinsemi Technology Co.
Ltd., Class A
3,500
501
Shenzhen Transsion Holdings Co. Ltd.,
Class A
14,547
127
EQUITY FUNDS 22 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Shenzhou International Group Holdings
Ltd.
203,100
$1,023
Sichuan Biokin Pharmaceutical Co. Ltd.,
Class A*
5,200
225
Sichuan Changhong Electric Co. Ltd.,
Class A
91,100
94
Sichuan Chuantou Energy Co. Ltd.,
Class A
56,000
117
Sichuan Huafeng Technology Co. Ltd.,
Class A*
8,821
247
Sichuan Kelun Pharmaceutical Co. Ltd.,
Class A
23,200
131
Sichuan Kelun-Biotech
Biopharmaceutical Co. Ltd., Class H*
14,000
781
Sichuan Road and Bridge Group Co.
Ltd., Class A
101,600
117
Sino Biopharmaceutical Ltd.
2,269,750
1,280
Sinoma Science & Technology Co. Ltd.,
Class A
23,800
319
Sinomine Resource Group Co. Ltd.,
Class A
12,600
110
Sinopharm Group Co. Ltd., Class H
301,114
612
Sinotruk Hong Kong Ltd.
208,000
1,026
Skyverse Technology Co. Ltd., Class A
5,946
379
Smoore International Holdings Ltd.
325,000
292
SooChow Securities Co. Ltd., Class A
72,343
85
Spring Airlines Co. Ltd., Class A
15,800
107
Sungrow Power Supply Co. Ltd.,
Class A
28,000
656
Sunny Optical Technology Group Co.
Ltd.
159,325
1,245
Sunwoda Electronic Co. Ltd., Class A
17,800
50
SUPCON Technology Co. Ltd., Class A
8,381
146
Suzhou Centec Communications Co.
Ltd., Class A*
4,525
263
Suzhou Centec Communications Co.
Ltd., Class A(3) *
4,525
260
Suzhou Dongshan Precision
Manufacturing Co. Ltd., Class A*
25,700
1,006
Suzhou Everbright Photonics Co. Ltd.,
Class A
3,200
243
Suzhou Maxwell Technologies Co. Ltd.,
Class A
4,200
176
Suzhou TFC Optical Communication
Co. Ltd., Class A
14,688
660
TAL Education Group ADR*
85,532
819
TBEA Co. Ltd., Class A
68,490
228
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
TCL Technology Group Corp., Class A
266,410
$230
TCL Zhonghuan Renewable Energy
Technology Co. Ltd., Class A*
52,750
94
Tencent Holdings Ltd.
1,483,389
81,748
Tencent Music Entertainment Group
ADR
123,505
1,031
Tianfeng Securities Co. Ltd., Class A*
117,500
59
Tianqi Lithium Corp., Class A*
19,000
172
Tianshan Aluminum Group Co. Ltd.,
Class A
78,700
124
Tianshui Huatian Technology Co. Ltd.,
Class A
46,700
156
Tingyi Cayman Islands Holding Corp.
486,435
608
Tongcheng Travel Holdings Ltd.
313,600
481
TongFu Microelectronics Co. Ltd.,
Class A
22,400
256
Tongling Nonferrous Metals Group Co.
Ltd., Class A
159,700
150
Tongwei Co. Ltd., Class A*
62,300
111
Trina Solar Co. Ltd., Class A*
28,251
59
Trip.com Group Ltd.*
141,873
5,635
Tsingtao Brewery Co. Ltd., Class A
8,300
64
Tsingtao Brewery Co. Ltd., Class H
151,767
834
UBTech Robotics Corp. Ltd., Class H*
52,700
696
Unigroup Guoxin Microelectronics Co.
Ltd., Class A
10,479
139
Unisplendour Corp. Ltd., Class A
32,948
142
United Nova Technology Co. Ltd.,
Class A*
116,477
183
Universal Scientific Industrial Shanghai
Co. Ltd., Class A
30,500
147
Verisilicon Microelectronics Shanghai
Co. Ltd., Class A*
9,356
518
Victory Giant Technology Huizhou Co.
Ltd., Class A
12,600
650
Vipshop Holdings Ltd. ADR
66,740
885
Wanhua Chemical Group Co. Ltd.,
Class A
49,500
499
Want Want China Holdings Ltd.
1,151,870
498
Wanxiang Qianchao Co. Ltd., Class A
51,200
98
Weichai Power Co. Ltd., Class A
107,100
434
Weichai Power Co. Ltd., Class H
473,812
2,081
Wens Foodstuff Group Co. Ltd., Class A
58,100
106
Western Mining Co. Ltd., Class A
37,500
151
Western Superconducting Technologies
Co. Ltd., Class A
8,653
81
NORTHERN FUNDS QUARTERLY REPORT 23 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Wintime Energy Group Co. Ltd.,
Class A*
307,400
$73
Wolong Electric Group Co. Ltd.,
Class A
22,200
109
Wuhan Guide Infrared Co. Ltd.,
Class A*
42,825
84
Wuliangye Yibin Co. Ltd., Class A
54,000
589
WUS Printed Circuit Kunshan Co. Ltd.,
Class A
28,180
641
WuXi AppTec Co. Ltd., Class A
38,492
709
WuXi AppTec Co. Ltd., Class H
100,611
1,978
Wuxi Biologics Cayman, Inc.*
846,000
3,749
WuXi XDC Cayman, Inc.*
91,500
669
XCMG Construction Machinery Co.
Ltd., Class A
159,500
191
Xiamen Tungsten Co. Ltd., Class A
21,200
268
Xiaomi Corp., Class B*
4,081,800
11,319
Xinjiang Daqo New Energy Co. Ltd.,
Class A*
4,309
11
Xinyi Solar Holdings Ltd.
1,135,136
299
XPeng, Inc., Class A*
296,458
1,944
XtalPi Holdings Ltd.*
401,000
394
Yadea Group Holdings Ltd.
324,000
368
Yangtze Optical Fibre & Cable Joint
Stock Ltd. Co., Class A
5,400
439
Yangtze Optical Fibre & Cable Joint
Stock Ltd. Co., Class H
96,500
3,197
Yankuang Energy Group Co. Ltd.,
Class A
72,215
188
Yankuang Energy Group Co. Ltd.,
Class H
814,919
1,143
Yantai Jereh Oilfield Services Group
Co. Ltd., Class A
15,500
351
Yealink Network Technology Corp. Ltd.,
Class A
18,440
92
Yonghui Superstores Co. Ltd., Class A*
154,400
65
Yonyou Network Technology Co. Ltd.,
Class A*
42,835
58
YTO Express Group Co. Ltd., Class A
41,800
97
Yuanjie Semiconductor Technology Co.
Ltd., Class A
1,947
552
Yum China Holdings, Inc.
83,278
3,390
Yunnan Aluminium Co. Ltd., Class A
61,400
200
Yunnan Baiyao Group Co. Ltd., Class A
30,900
216
Yunnan Energy New Material Group
Co. Ltd., Class A*
15,300
151
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
Yunnan Tin Co. Ltd., Class A
10,300
$66
Yunnan Yuntianhua Co. Ltd., Class A
22,300
100
Yutong Bus Co. Ltd., Class A
28,500
113
Zangge Mining Co. Ltd., Class A
27,000
275
Zhangzhou Pientzehuang
Pharmaceutical Co. Ltd., Class A
7,493
121
Zhaojin Mining Industry Co. Ltd.,
Class H
401,000
841
Zhejiang Century Huatong Group Co.
Ltd., Class A
116,300
243
Zhejiang China Commodities City
Group Co. Ltd., Class A
86,100
129
Zhejiang Chint Electrics Co. Ltd.,
Class A
28,994
107
Zhejiang Dahua Technology Co. Ltd.,
Class A
50,900
124
Zhejiang Huayou Cobalt Co. Ltd.,
Class A
31,615
226
Zhejiang Jingsheng Mechanical &
Electrical Co. Ltd., Class A
17,200
154
Zhejiang Juhua Co. Ltd., Class A
32,100
252
Zhejiang Leapmotor Technology Co.
Ltd., Class H*
121,200
534
Zhejiang Longsheng Group Co. Ltd.,
Class A
50,300
90
Zhejiang NHU Co. Ltd., Class A
42,448
178
Zhejiang Sanhua Intelligent Controls
Co. Ltd., Class A
32,800
213
Zhejiang Weiming Environment
Protection Co. Ltd., Class A
23,100
52
Zhejiang Zheneng Electric Power Co.
Ltd., Class A
180,800
140
Zheshang Securities Co. Ltd., Class A
60,800
85
Zhongji Innolight Co. Ltd., Class A
15,640
2,958
Zhongjin Gold Corp. Ltd., Class A
73,900
197
Zhongtai Securities Co. Ltd., Class A*
119,500
94
Zhuzhou CRRC Times Electric Co. Ltd.,
Class A
8,349
85
Zhuzhou CRRC Times Electric Co. Ltd.,
Class H
106,074
544
Zijin Mining Group Co. Ltd., Class A
282,700
1,050
Zijin Mining Group Co. Ltd., Class H
1,456,162
5,122
Zoomlion Heavy Industry Science and
Technology Co. Ltd., Class A
111,600
115
ZTE Corp., Class A*
59,300
318
EQUITY FUNDS 24 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
China – 18.3%continued
ZTE Corp., Class H
185,517
$543
ZTO Express Cayman, Inc.
96,584
2,135
 
562,008
Colombia – 0.1%
Grupo Cibest S.A.
59,986
1,369
Interconexion Electrica S.A. ESP
102,011
880
 
2,249
Czech Republic – 0.1%
CEZ A.S.
30,072
1,758
Komercni Banka A.S.
17,601
806
Moneta Money Bank A.S.
67,015
588
 
3,152
Egypt – 0.1%
Commercial International Bank - Egypt
(CIB)
600,364
1,558
Eastern Co. S.A.E.
373,069
285
Talaat Moustafa Group
175,869
338
 
2,181
Greece – 0.5%
Allwyn A.G.
35,345
563
Alpha Bank S.A.
400,480
1,815
Eurobank S.A.
606,175
2,897
FF Group(2) *
18,664
GEK TERNA S.A.
12,556
632
Hellenic Telecommunications
Organization S.A.
34,497
766
JUMBO S.A.
27,350
702
National Bank of Greece S.A.
201,797
3,490
Piraeus Bank S.A.*
265,229
2,764
Public Power Corp. S.A.
65,890
1,734
 
15,363
Hong Kong – 0.2%
Kingboard Laminates Holdings Ltd.
250,000
3,211
Orient Overseas International Ltd.
29,000
452
Zijin Gold International Co. Ltd.
85,800
973
 
4,636
Hungary – 0.3%
MOL Hungarian Oil & Gas PLC
87,707
1,042
OTP Bank Nyrt.
52,418
7,746
Richter Gedeon Nyrt.
33,207
1,286
 
10,074
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
India – 10.8%
ABB India Ltd.
11,749
$877
Adani Enterprises Ltd.
43,930
1,421
Adani Ports & Special Economic Zone
Ltd.
126,940
2,442
Adani Power Ltd.*
717,025
1,707
Aditya Birla Capital Ltd.*
176,698
736
Alkem Laboratories Ltd.
9,751
576
Ambuja Cements Ltd.
121,780
546
APL Apollo Tubes Ltd.
45,070
858
Apollo Hospitals Enterprise Ltd.
24,897
2,283
Ashok Leyland Ltd.
639,277
1,077
Asian Paints Ltd.
92,397
2,581
Astral Ltd.
20,232
286
AU Small Finance Bank Ltd.
137,084
1,514
Aurobindo Pharma Ltd.
65,546
1,094
Avenue Supermarts Ltd.*
35,508
1,652
Axis Bank Ltd.
557,251
7,975
Bajaj Auto Ltd.
15,761
1,629
Bajaj Finance Ltd.
610,119
6,515
Bajaj Finserv Ltd.
99,404
1,879
Bajaj Holdings & Investment Ltd.
6,268
706
Balkrishna Industries Ltd.
13,720
319
Bank of Baroda
252,882
734
Bharat Electronics Ltd.
823,739
3,591
Bharat Forge Ltd.
56,098
1,278
Bharat Heavy Electricals Ltd.
303,115
1,333
Bharat Petroleum Corp. Ltd.
407,011
1,310
Bharti Airtel Ltd.
660,816
12,951
Bosch Ltd.
1,685
715
Britannia Industries Ltd.
25,487
1,393
BSE Ltd.*
47,520
1,959
Canara Bank
424,305
565
CG Power & Industrial Solutions Ltd.
153,481
1,557
Cholamandalam Investment and
Finance Co. Ltd.
104,897
1,996
Cipla Ltd.
122,879
1,908
Coal India Ltd.
384,676
1,788
Colgate-Palmolive India Ltd.
28,118
595
Coromandel International Ltd.
28,538
606
Cummins India Ltd.
32,355
1,944
Dabur India Ltd.
91,080
407
Divi's Laboratories Ltd.
27,970
1,946
Dixon Technologies India Ltd.
8,790
1,114
DLF Ltd.
135,421
892
NORTHERN FUNDS QUARTERLY REPORT 25 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
India – 10.8%continued
Dr. Reddy's Laboratories Ltd.
123,507
$1,772
Eicher Motors Ltd.
32,205
2,419
Eternal Ltd.*
588,835
1,661
Federal Bank Ltd.
454,574
1,590
Fortis Healthcare Ltd.
113,944
1,161
FSN E-Commerce Ventures Ltd.*
322,595
1,062
GAIL India Ltd.
552,254
1,017
GE Vernova T&D India Ltd.
29,501
1,553
GMR Airports Ltd.*
669,820
797
Godrej Consumer Products Ltd.
84,862
908
Godrej Properties Ltd.*
27,705
550
Grasim Industries Ltd.
69,843
2,294
Havells India Ltd.
46,664
576
HCL Technologies Ltd.
207,991
2,364
HDFC Asset Management Co. Ltd.*
48,188
1,359
HDFC Bank Ltd.
2,738,484
23,164
HDFC Life Insurance Co. Ltd.
226,746
1,383
Hero MotoCorp Ltd.
29,627
1,509
Hindalco Industries Ltd.
322,381
3,282
Hindustan Aeronautics Ltd.
40,527
1,883
Hindustan Petroleum Corp. Ltd.
227,630
953
Hindustan Unilever Ltd.
169,060
3,790
Hitachi Energy India Ltd.
2,911
1,082
ICICI Bank Ltd.
1,276,493
18,591
ICICI Lombard General Insurance Co.
Ltd.
57,326
1,057
ICICI Prudential Life Insurance Co. Ltd.
81,811
423
IDFC First Bank Ltd.
962,873
815
Indian Bank
69,021
598
Indian Hotels (The) Co. Ltd.
203,742
1,543
Indian Oil Corp. Ltd.
694,102
1,026
Indus Towers Ltd.*
310,754
1,291
IndusInd Bank Ltd.
137,759
1,351
Info Edge India Ltd.
85,180
882
Infosys Ltd.
726,063
7,674
InterGlobe Aviation Ltd.
46,729
2,688
ITC Ltd.
705,815
2,148
Jindal Stainless Ltd.
73,500
540
Jindal Steel Ltd.
88,609
997
Jio Financial Services Ltd.
692,588
1,740
JSW Energy Ltd.
97,739
607
JSW Steel Ltd.
143,944
1,876
Kotak Mahindra Bank Ltd.
1,324,963
5,506
L&T Finance Ltd.
191,502
633
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
India – 10.8%continued
Larsen & Toubro Ltd.
164,148
$7,231
Lodha Developers Ltd.
56,487
573
LTM Ltd.
13,593
511
Lupin Ltd.
53,272
1,364
Mahindra & Mahindra Ltd.
210,254
6,877
Mankind Pharma Ltd.
26,164
708
Marico Ltd.
122,302
1,084
Maruti Suzuki India Ltd.
28,172
4,214
Max Healthcare Institute Ltd.
172,954
2,076
Mphasis Ltd.
24,900
571
MRF Ltd.
549
744
Multi Commodity Exchange of India
Ltd.
30,702
926
Muthoot Finance Ltd.
29,383
936
National Aluminium Co. Ltd.
208,388
752
Nestle India Ltd.
146,960
2,193
NHPC Ltd.
495,842
428
NMDC Ltd.
693,777
628
NTPC Ltd.
1,054,335
3,993
Oberoi Realty Ltd.
28,293
530
Oil & Natural Gas Corp. Ltd.
616,611
1,529
Oil India Ltd.
81,292
357
One 97 Communications Ltd.*
88,907
1,080
Oracle Financial Services Software Ltd.
4,865
557
Page Industries Ltd.
1,582
694
PB Fintech Ltd.*
89,693
1,547
Persistent Systems Ltd.
24,179
1,111
Petronet LNG Ltd.
169,720
506
Phoenix Mills (The) Ltd.
47,695
985
PI Industries Ltd.
16,151
438
Pidilite Industries Ltd.
72,190
1,219
Polycab India Ltd.
12,214
1,289
Power Finance Corp. Ltd.
323,677
1,461
Power Grid Corp. of India Ltd.
1,019,293
3,100
Prestige Estates Projects Ltd.
39,631
662
Punjab National Bank
565,874
640
REC Ltd.
289,236
1,120
Reliance Industries Ltd.
1,466,967
20,191
Samvardhana Motherson International
Ltd.
1,021,512
1,617
SBI Cards & Payment Services Ltd.
42,249
266
SBI Life Insurance Co. Ltd.
109,129
2,045
Shree Cement Ltd.
2,213
593
Shriram Finance Ltd.
338,342
3,770
EQUITY FUNDS 26 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
India – 10.8%continued
Siemens Energy India Ltd.
20,500
$801
Siemens Ltd.*
18,150
693
Solar Industries India Ltd.
5,697
1,127
SRF Ltd.
34,754
1,013
State Bank of India
443,289
4,850
Sun Pharmaceutical Industries Ltd.
218,091
4,295
Sundaram Finance Ltd.
16,046
767
Supreme Industries Ltd.
12,931
432
Suzlon Energy Ltd.*
2,446,624
1,532
Swiggy Ltd.*
326,202
827
Tata Communications Ltd.
25,549
534
Tata Consultancy Services Ltd.
195,381
4,213
Tata Consumer Products Ltd.
139,480
1,596
Tata Motors Ltd.
455,674
2,053
Tata Motors Passenger Vehicles Limited
424,810
1,596
Tata Power (The) Co. Ltd.
354,839
1,454
Tata Steel Ltd.
1,799,862
3,594
Tech Mahindra Ltd.
135,788
2,022
Titan Co. Ltd.
85,017
3,970
Torrent Pharmaceuticals Ltd.
26,232
1,284
Torrent Power Ltd.
46,511
699
Trent Ltd.
65,161
2,280
Tube Investments of India Ltd.
25,068
810
TVS Motor Co. Ltd.
57,471
2,118
UltraTech Cement Ltd.
25,137
3,002
Union Bank of India Ltd.
371,205
682
United Spirits Ltd.
69,778
998
UPL Ltd.
118,061
717
Varun Beverages Ltd.
317,679
1,716
Vedanta Aluminium Metal Ltd.*
321,576
1,524
Vedanta Ltd.*
321,576
961
Vishal Mega Mart Ltd.*
524,230
655
Vodafone Idea Ltd.*
6,020,213
925
Voltas Ltd.
42,194
571
WAAREE Energies Ltd.
21,044
660
Wipro Ltd.
567,058
1,028
Yes Bank Ltd.*
3,653,849
937
Zydus Lifesciences Ltd.
44,482
526
 
331,948
Indonesia – 0.4%
Astra International Tbk PT
3,793,760
959
Bank Central Asia Tbk PT
11,803,460
3,676
Bank Mandiri Persero Tbk PT
9,039,120
1,953
Bank Negara Indonesia Persero Tbk PT
2,967,318
527
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Indonesia – 0.4%continued
Bank Rakyat Indonesia Persero Tbk PT
14,297,365
$2,192
Barito Pacific Tbk PT*
4,564,015
333
Bumi Resources Minerals Tbk PT*
13,174,100
352
Charoen Pokphand Indonesia Tbk PT
1,721,835
327
GoTo Gojek Tokopedia Tbk PT*
223,238,232
626
Telkom Indonesia Persero Tbk PT
10,751,962
1,426
United Tractors Tbk PT
315,371
406
 
12,777
Kazakhstan – 0.0%
Solidcore Resources PLC*
97,434
789
Kuwait – 0.5%
Boubyan Bank K.S.C.P.
413,395
847
Gulf Bank K.S.C.P.
528,325
602
Kuwait Finance House K.S.C.P.
2,772,678
6,868
Mabanee Co. KPSC
191,943
573
Mobile Telecommunications Co.
K.S.C.P.
471,460
927
National Bank of Kuwait S.A.K.P.
2,048,901
5,338
Warba Bank K.S.C.P.*
573,359
517
 
15,672
Luxembourg – 0.0%
Reinet Investments S.C.A.
33,200
919
Malaysia – 0.9%
AMMB Holdings Bhd.
596,537
934
CELCOMDIGI Bhd.
710,200
466
CIMB Group Holdings Bhd.
1,888,817
3,443
Gamuda Bhd.
1,236,928
1,330
Hong Leong Bank Bhd.
154,498
813
IHH Healthcare Bhd.
464,400
956
IOI Corp. Bhd.
591,340
613
Kuala Lumpur Kepong Bhd.
124,229
645
Malayan Banking Bhd.
1,358,276
3,598
Maxis Bhd.
423,651
352
MISC Bhd.
320,060
612
Petronas Chemicals Group Bhd.
552,100
549
Petronas Gas Bhd.
189,800
814
Press Metal Aluminium Holdings Bhd.
931,200
1,754
Public Bank Bhd.
3,510,305
4,148
RHB Bank Bhd.
430,949
878
SD Guthrie Bhd.
526,465
772
Sunway Bhd.
626,800
792
Telekom Malaysia Bhd.
280,286
512
NORTHERN FUNDS QUARTERLY REPORT 27 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Malaysia – 0.9%continued
Tenaga Nasional Bhd.
648,250
$2,275
YTL Power International Bhd.
699,700
719
 
26,975
Mexico – 1.7%
America Movil S.A.B. de C.V., Class B
3,662,368
4,760
Arca Continental S.A.B. de C.V.
129,505
1,549
Cemex S.A.B. de C.V., Class CPO
3,643,645
4,376
Coca-Cola Femsa S.A.B. de C.V.
127,322
1,353
Fibra Uno Administracion S.A. de C.V.
703,801
1,209
Fomento Economico Mexicano S.A.B.
de C.V.
410,991
5,253
Gruma S.A.B. de C.V., Class B
35,660
575
Grupo Aeroportuario del Centro Norte
S.A.B. de C.V.
62,270
880
Grupo Aeroportuario del Pacifico
S.A.B. de C.V., Class B
92,352
2,334
Grupo Aeroportuario del Sureste S.A.B.
de C.V., Class B
42,821
1,313
Grupo Bimbo S.A.B. de C.V., Class A
290,054
947
Grupo Carso S.A.B. de C.V., Class A1
128,806
961
Grupo Financiero Banorte S.A.B. de
C.V., Class O
577,409
6,115
Grupo Financiero Inbursa S.A.B. de
C.V., Class O
343,141
818
Grupo Mexico S.A.B. de C.V., Class B
708,878
8,011
Industrias Penoles S.A.B. de C.V.
46,814
2,043
Kimberly-Clark de Mexico S.A.B. de
C.V., Class A
338,927
749
Prologis Property Mexico S.A. de C.V.
262,000
1,131
Promotora y Operadora de
Infraestructura S.A.B. de C.V.
42,835
680
Sigma Foods S.A.B. de C.V.
826,439
759
Southern Copper Corp.
21,981
3,830
Wal-Mart de Mexico S.A.B. de C.V.
1,246,721
3,654
 
53,300
Netherlands – 0.0%
Nebius Group N.V.(2) *
83,223
Peru – 0.2%
Cia de Minas Buenaventura S.A.A.
ADR
40,091
1,174
Credicorp Ltd.
16,282
6,343
 
7,517
Philippines – 0.3%
Ayala Corp.
43,107
295
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Philippines – 0.3%continued
Ayala Land, Inc.
1,012,060
$245
Bank of the Philippine Islands
417,595
655
BDO Unibank, Inc.
557,120
1,080
International Container Terminal
Services, Inc.
234,180
3,419
Manila Electric Co.
51,150
475
Metropolitan Bank & Trust Co.
467,109
496
PLDT, Inc.
19,380
357
SM Investments Corp.
43,842
423
SM Prime Holdings, Inc.
1,989,813
588
 
8,033
Poland – 1.0%
Allegro.eu S.A.*
219,459
2,208
Asseco Poland S.A.
13,695
610
Bank Millennium S.A.*
138,333
720
Bank Polska Kasa Opieki S.A.
43,020
2,619
Budimex S.A.
3,230
633
CD Projekt S.A.
16,785
1,002
Dino Polska S.A.*
118,202
894
Erste Bank Polska S.A.
9,661
1,660
KGHM Polska Miedz S.A.
33,522
2,959
LPP S.A.
283
1,376
mBank S.A.*
3,304
1,199
ORLEN S.A.
139,215
4,682
PGE Polska Grupa Energetyczna S.A.*
211,357
531
Powszechna Kasa Oszczednosci Bank
Polski S.A.
209,766
5,756
Powszechny Zaklad Ubezpieczen S.A.
135,035
2,357
Zabka Group S.A.*
92,852
672
 
29,878
Qatar – 0.5%
Al Rayan Bank
1,201,456
678
Commercial Bank PSQC (The)
668,917
745
Dukhan Bank
419,647
386
Industries Qatar QSC
361,601
1,096
Mesaieed Petrochemical Holding Co.
1,331,784
426
Nebras Energy
100,340
394
Ooredoo QPSC
222,848
812
Qatar Fuel QSC
160,054
620
Qatar Gas Transport Co. Ltd.
647,996
768
Qatar International Islamic Bank QSC
229,820
702
Qatar Islamic Bank QPSC
404,810
2,435
Qatar National Bank QPSC
1,054,550
4,997
 
14,059
EQUITY FUNDS 28 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Romania – 0.0%
NEPI Rockcastle N.V.*
146,452
$1,311
Russia – 0.0%
Alrosa PJSC(2) (4)
695,290
Gazprom PJSC ADR(2) *
134
Novatek PJSC GDR (Registered)(2) *
24,702
PhosAgro PJSC GDR(2) (4) *
224
Polyus PJSC(2) (4) *
93,590
Rosneft Oil Co. PJSC(2) (4)
318,005
Sberbank of Russia PJSC(2) (4)
2,882,082
Sberbank of Russia PJSC (Moscow
Exchange)(2) *
56,000
Severstal PAO(2) (4)
55,330
Severstal PAO GDR (Registered)(2) (4) *
1,839
Surgutneftegas PAO ADR(2) (4) *
4,629
VK CO Ltd. GDR(2) (4) *
30,900
VTB Bank PJSC(2) (4)
160,113
VTB Bank PJSC GDR(2) (5) *
11,036
VTB Bank PJSC GDR (Registered)(2) (4) *
43,343
X5 Retail Group N.V. GDR
(Registered)(2) (4) *
32,705
 
Saudi Arabia – 2.3%
ACWA Power Co.*
54,809
2,834
Ades Holding Co.
73,467
364
Al Rajhi Bank
711,749
12,495
Alinma Bank
358,279
2,331
Almarai Co. JSC
101,801
1,233
Arab National Bank
223,288
1,233
Arabian Internet & Communications
Services Co.
5,701
310
Bank AlBilad
174,504
1,134
Bank Al-Jazira
143,283
443
Banque Saudi Fransi
291,134
1,504
Bupa Arabia for Cooperative Insurance
Co.
18,772
876
Co for Cooperative Insurance (The)
18,696
733
Dar Al Arkan Real Estate Development
Co.*
134,710
647
Dr. Sulaiman Al Habib Medical
Services Group Co.
20,454
1,155
Elm Co.
5,630
1,035
Etihad Etisalat Co.
88,668
1,427
Jabal Omar Development Co.*
166,845
672
Jarir Marketing Co.
129,200
576
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Saudi Arabia – 2.3%continued
Makkah Construction & Development
Co.
28,296
$625
Mouwasat Medical Services Co.
23,031
391
Riyad Bank
482,954
2,561
SABIC Agri-Nutrients Co.
54,703
1,803
SAL Saudi Logistics Services
8,701
417
Saudi Arabian Mining Co.*
283,843
4,473
Saudi Arabian Oil Co.
1,440,365
10,003
Saudi Awwal Bank
247,453
2,131
Saudi Basic Industries Corp.
206,233
2,830
Saudi Energy Co.
184,186
873
Saudi Investment Bank (The)
122,515
438
Saudi National Bank (The)
711,809
7,330
Saudi Tadawul Group Holding Co.
11,247
397
Saudi Telecom Co.
488,077
5,619
Yanbu National Petrochemical Co.
63,280
495
 
71,388
South Africa – 2.4%
Absa Group Ltd.
199,618
2,775
Bid Corp. Ltd.
83,467
2,277
Bidvest Group Ltd.
77,396
1,134
Capitec Bank Holdings Ltd.
21,167
6,133
Clicks Group Ltd.
56,313
782
Discovery Ltd.
132,017
2,133
FirstRand Ltd.
1,229,057
7,290
Gold Fields Ltd.
213,704
7,168
Harmony Gold Mining Co. Ltd.
136,989
2,085
Impala Platinum Holdings Ltd.
216,148
2,261
MTN Group Ltd.
420,121
5,848
Naspers Ltd., Class N
185,596
9,309
Nedbank Group Ltd.
108,402
1,787
Northam Platinum Holdings Ltd.
86,530
1,253
OUTsurance Group Ltd.
209,973
1,007
Pepkor Holdings Ltd.
934,690
1,259
Remgro Ltd.
115,298
1,385
Sanlam Ltd.
430,652
2,324
Sasol Ltd.*
139,612
1,380
Shoprite Holdings Ltd.
112,851
2,032
Sibanye Stillwater Ltd.
677,057
1,435
Standard Bank Group Ltd.
313,711
6,181
Valterra Platinum Ltd.
64,021
4,293
Vodacom Group Ltd.
145,741
1,350
 
74,881
NORTHERN FUNDS QUARTERLY REPORT 29 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
South Korea – 22.4%
Alteogen, Inc.*
9,617
$2,253
Amorepacific Corp.
7,058
483
APR Corp.
5,567
1,393
Celltrion, Inc.*
36,684
4,121
DB Insurance Co. Ltd.
9,637
835
Doosan Co. Ltd.
1,795
1,746
Doosan Enerbility Co. Ltd.*
107,803
6,080
Ecopro B.M. Co. Ltd.
13,292
1,231
Ecopro Co. Ltd.*
24,367
1,693
Hana Financial Group, Inc.
66,815
4,952
Hankook Tire & Technology Co. Ltd.
16,769
673
Hanmi Semiconductor Co. Ltd.
9,614
1,616
Hanwha Aerospace Co. Ltd.
8,032
5,174
Hanwha Ocean Co. Ltd.*
31,503
2,049
Hanwha Systems Co. Ltd.
18,275
858
HD Hyundai Co. Ltd.
10,354
1,338
HD Hyundai Electric Co. Ltd.
5,664
3,591
HD Hyundai Heavy Industries Co. Ltd.
7,450
2,863
HD Korea Shipbuilding & Offshore
Engineering Co. Ltd.
10,220
2,320
HLB, Inc.*
28,125
947
HMM Co. Ltd.
48,228
580
HYBE Co. Ltd.*
5,799
725
Hyosung Heavy Industries Corp.
1,244
2,791
Hyundai Engineering & Construction
Co. Ltd.
17,503
1,301
Hyundai Glovis Co. Ltd.
9,032
1,073
Hyundai Mobis Co. Ltd.
14,203
4,620
Hyundai Motor Co.
31,990
10,300
Hyundai Rotem Co. Ltd.
17,185
1,919
Industrial Bank of Korea
49,855
642
Kakao Corp.
74,236
1,662
KakaoBank Corp.
32,728
443
KB Financial Group, Inc.
85,509
8,793
Kia Corp.
56,223
5,034
Korea Aerospace Industries Ltd.
17,385
1,648
Korea Electric Power Corp.
60,227
1,437
Korea Investment Holdings Co. Ltd.
10,236
1,479
Korean Air Lines Co. Ltd.
44,652
802
Krafton, Inc.*
6,425
981
KT&G Corp.
21,924
2,405
LG Chem Ltd.
11,115
2,019
LG Corp.
21,751
1,371
LG Display Co. Ltd.*
65,190
494
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
South Korea – 22.4%continued
LG Electronics, Inc.
25,495
$3,396
LG Energy Solution Ltd.*
11,360
2,665
LG Uplus Corp.
32,300
292
LIG Defense&Aerospace Co. Ltd.
3,097
1,429
LS Electric Co. Ltd.
18,145
2,816
Meritz Financial Group, Inc.*
16,575
1,134
Mirae Asset Securities Co. Ltd.
47,342
1,316
NAVER Corp.
34,070
4,393
NH Investment & Securities Co. Ltd.
31,852
609
POSCO Future M Co. Ltd.
7,569
862
POSCO Holdings, Inc.
17,480
3,590
Posco International Corp.
11,613
368
Samsung Biologics Co. Ltd.(5) *
2,802
2,525
Samsung C&T Corp.
19,572
5,988
Samsung Electro-Mechanics Co. Ltd.
13,494
19,509
Samsung Electronics Co. Ltd.
1,126,199
246,206
Samsung Episholdings Co. Ltd.*
1,387
388
Samsung Fire & Marine Insurance Co.
Ltd.
6,992
2,800
Samsung Heavy Industries Co. Ltd.*
156,135
2,360
Samsung Life Insurance Co. Ltd.
19,493
5,089
Samsung SDI Co. Ltd.*
14,426
4,563
Samsung SDS Co. Ltd.
9,047
1,123
Samyang Foods Co. Ltd.
933
675
Shinhan Financial Group Co. Ltd.
100,373
6,219
SK hynix, Inc.
133,007
234,666
SK Innovation Co. Ltd.*
15,998
981
SK Square Co. Ltd.*
22,253
24,786
SK Telecom Co. Ltd.
25,927
1,484
SK, Inc.
8,775
4,785
S-Oil Corp.
10,768
733
Woori Financial Group, Inc.
152,866
2,868
Yuhan Corp.
13,552
616
 
689,969
Taiwan – 26.8%
Accton Technology Corp.
121,000
9,568
Advantech Co. Ltd.
114,661
1,793
Alchip Technologies Ltd.
18,644
2,501
ASE Technology Holding Co. Ltd.
803,055
17,342
Asia Vital Components Co. Ltd.
77,250
6,195
ASPEED Technology, Inc.
7,300
3,817
Asustek Computer, Inc.
161,546
3,567
Bizlink Holding, Inc.
41,000
2,492
Caliway Biopharmaceuticals Co. Ltd.*
197,000
623
EQUITY FUNDS 30 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Taiwan – 26.8%continued
Cathay Financial Holding Co. Ltd.
2,292,850
$7,126
Chailease Holding Co. Ltd.
359,169
1,328
Chang Hwa Commercial Bank Ltd.
1,647,053
1,243
China Steel Corp.
3,057,800
1,812
Chroma ATE, Inc.
87,000
5,970
Chunghwa Telecom Co. Ltd.
914,260
4,062
CTBC Financial Holding Co. Ltd.
4,014,707
8,984
Delta Electronics, Inc.
468,313
28,986
E Ink Holdings, Inc.
201,000
1,374
E.Sun Financial Holding Co. Ltd.
3,390,721
3,676
Elite Material Co. Ltd.
69,266
11,853
eMemory Technology, Inc.
16,000
1,482
Eva Airways Corp.
670,996
949
Evergreen Marine Corp. Taiwan Ltd.
252,544
1,464
Far EasTone Telecommunications Co.
Ltd.
414,345
1,368
First Financial Holding Co. Ltd.
2,666,253
2,748
Formosa Chemicals & Fibre Corp.
808,499
1,388
Formosa Plastics Corp.
950,201
1,628
Fortune Electric Co. Ltd.
35,942
882
Fubon Financial Holding Co. Ltd.
2,022,668
8,253
Gigabyte Technology Co. Ltd.
126,994
1,393
Global Unichip Corp.
21,022
3,274
Globalwafers Co. Ltd.
62,709
2,028
Gold Circuit Electronics Ltd.
79,070
3,010
Hon Hai Precision Industry Co. Ltd.
2,946,248
23,618
Hon Precision, Inc.
19,512
4,033
Hotai Motor Co. Ltd.
62,361
915
Hua Nan Financial Holdings Co. Ltd.
2,142,305
2,571
Innolux Corp.
1,761,457
3,841
International Games System Co. Ltd.
55,187
1,371
Inventec Corp.
628,314
1,335
Jentech Precision Industrial Co. Ltd.
20,934
2,275
KGI Financial Holding Co. Ltd.
3,716,015
3,363
King Slide Works Co. Ltd.
14,000
3,272
King Yuan Electronics Co. Ltd.
267,000
2,881
Largan Precision Co. Ltd.
22,835
3,095
Lite-On Technology Corp.
475,964
3,346
Lotes Co. Ltd.
19,906
1,330
MediaTek, Inc.
348,091
47,532
Mega Financial Holding Co. Ltd.
2,755,700
3,998
MPI Corp.
21,000
4,058
Nan Ya Plastics Corp.
1,149,562
6,064
Novatek Microelectronics Corp.
141,988
2,408
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Taiwan – 26.8%continued
Pegatron Corp.
513,527
$1,355
PharmaEssentia Corp.
68,824
2,914
President Chain Store Corp.
134,220
940
Quanta Computer, Inc.
649,440
7,546
Realtek Semiconductor Corp.
119,832
3,062
Shanghai Commercial & Savings Bank
(The) Ltd.
846,798
1,137
SinoPac Financial Holdings Co. Ltd.
2,934,705
3,701
Taiwan Business Bank
1,719,053
960
Taiwan Cooperative Financial Holding
Co. Ltd.
2,511,032
1,963
Taiwan Mobile Co. Ltd.
408,076
1,494
Taiwan Semiconductor Manufacturing
Co. Ltd.
5,933,709
455,641
TCC Group Holdings Co. Ltd.
1,609,231
1,218
TS Financial Holding Co. Ltd.
5,085,905
5,329
Unimicron Technology Corp.
321,944
10,962
Uni-President Enterprises Corp.
1,157,150
2,711
United Microelectronics Corp.
2,722,175
14,603
Vanguard International Semiconductor
Corp.
301,033
2,083
Wan Hai Lines Ltd.
147,005
366
Wistron Corp.
729,925
3,653
Wiwynn Corp.
25,000
3,668
Ya Hsin Industrial Co. Ltd.(2) *
121,548
Yageo Corp.
374,500
13,548
Yang Ming Marine Transport Corp.
416,000
680
Yuanta Financial Holding Co. Ltd.
2,582,486
5,370
Zhen Ding Technology Holding Ltd.
179,850
3,596
 
823,985
Thailand – 0.9%
Advanced Info Service PCL (Registered)
194,000
2,148
Advanced Info Service PCL NVDR
47,499
527
Airports of Thailand PCL NVDR
962,900
1,884
Bangkok Dusit Medical Services PCL
NVDR
2,456,400
1,434
Bumrungrad Hospital PCL NVDR
134,787
770
Central Pattana PCL NVDR
544,100
1,107
Charoen Pokphand Foods PCL NVDR
858,957
510
CP ALL PCL (Registered)
905,200
1,274
CP ALL PCL NVDR
356,436
506
Delta Electronics Thailand PCL NVDR
749,000
7,456
Gulf Development PCL NVDR
(Registered)
901,686
1,684
Kasikornbank PCL NVDR
144,800
955
NORTHERN FUNDS QUARTERLY REPORT 31 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Thailand – 0.9%continued
Krung Thai Bank PCL (Registered)
515,250
$589
Krung Thai Bank PCL NVDR
277,393
319
Minor International PCL NVDR
640,930
480
PTT Exploration & Production PCL
(Registered)
242,500
978
PTT Exploration & Production PCL
NVDR
35,043
140
PTT PCL (Registered)
1,835,000
1,961
PTT PCL NVDR
577,000
618
SCB X PCL (Registered)
145,800
650
SCB X PCL NVDR
54,476
243
Siam Cement (The) PCL (Registered)
51,000
375
Siam Cement (The) PCL NVDR
111,498
827
TMBThanachart Bank PCL NVDR
6,009,400
446
True Corp. PCL NVDR (Registered)
2,548,423
997
 
28,878
Turkey – 0.4%
Akbank T.A.S.
683,144
1,131
Anadolu Efes Biracilik Ve Malt Sanayii
A.S.(6)
8
Aselsan Elektronik Sanayi Ve Ticaret
A.S.
275,259
2,035
BIM Birlesik Magazalar A.S.
214,704
1,684
Eregli Demir ve Celik Fabrikalari T.A.S.
863,320
750
Haci Omer Sabanci Holding A.S.
267,211
560
Is Gayrimenkul Yatirim Ortakligi A.S.
1
KOC Holding A.S.
191,856
797
Turk Hava Yollari A.O.
134,583
943
Turkcell Iletisim Hizmetleri A.S.
228,398
527
Turkiye Is Bankasi A.S., Class C
1,986,419
632
Turkiye Petrol Rafinerileri A.S.
239,325
1,166
Yapi ve Kredi Bankasi A.S.*
856,628
740
 
10,965
United Arab Emirates – 1.1%
Abu Dhabi Commercial Bank PJSC
757,877
2,997
Abu Dhabi Islamic Bank PJSC
337,932
1,900
Abu Dhabi National Oil Co. for
Distribution PJSC
633,978
678
ADNOC Drilling Co. PJSC
679,219
1,061
Adnoc Gas PLC
1,728,880
1,620
ADNOC Logistics & Services
428,315
703
Air Arabia PJSC
517,880
771
Aldar Properties PJSC
928,947
2,104
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
United Arab Emirates – 1.1%continued
Dubai Electricity & Water Authority
PJSC
1,431,094
$1,082
Dubai Islamic Bank PJSC
694,204
1,416
Emaar Development PJSC
212,322
806
Emaar Properties PJSC
1,484,365
4,861
Emirates NBD Bank PJSC
452,031
3,655
Emirates Telecommunications Group
Co. PJSC
813,015
4,257
First Abu Dhabi Bank PJSC
1,078,077
5,005
Salik Co. PJSC
451,438
726
 
33,642
United States – 0.2%
Aura Minerals, Inc.
8,176
515
BeOne Medicines Ltd., Class H*
193,534
4,222
JBS N.V. BDR
72,018
848
JBS N.V., Class A
10,930
130
Legend Biotech Corp. ADR*
16,311
471
 
6,186
Total Common Stocks
(Cost $1,316,897)
2,944,773
 
PREFERRED STOCKS – 2.0% (1)
Brazil – 0.9%
Axia Energia S.A.*
84
1
Axia Energia S.A., Class C*
88,897
918
Banco Bradesco S.A.*
1,283,894
4,492
Cia Energetica de Minas Gerais,
2.17%(7)
414,321
868
Gerdau S.A., 3.46%(7)
318,046
1,281
Itau Unibanco Holding S.A., 4.30%(7)
1,320,889
10,818
Itausa S.A., 5.68%(7)
1,422,528
3,693
Klabin S.A., 1.35%(6) (7)
3
Petroleo Brasileiro S.A. - Petrobras,
3.23%(7)
1,040,661
7,614
 
29,685
Chile – 0.1%
Sociedad Quimica y Minera de Chile
S.A., Class B, 1.35%(7)
33,925
2,519
Colombia – 0.1%
Grupo Cibest S.A., 6.67%(7)
105,067
2,078
South Korea – 0.9%
Hyundai Motor Co., 4.63%(7)
5,162
734
EQUITY FUNDS 32 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
PREFERRED STOCKS – 2.0% (1)continued
South Korea – 0.9%continued
Hyundai Motor Co. (2nd Preferred),
4.69%(7)
8,354
$1,181
Samsung Electronics Co. Ltd., 0.79%(7)
193,610
27,109
 
29,024
Total Preferred Stocks
(Cost $27,816)
63,306
 
INVESTMENT COMPANIES – 1.4%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(8) (9) (10)
2,444,785
2,445
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(8) (9)
40,740,021
40,740
Total Investment Companies
(Cost $43,185)
43,185
 
Total Investments – 99.1%
(Cost $1,387,898)
3,051,264
Other Assets less Liabilities – 0.9%
26,302
Net Assets – 100.0%
$3,077,566
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(3)
When-Issued Security. Coupon rate is not in effect at June 30, 2026.
(4)
Restricted security. At June 30, 2026, the value of these restricted securities
amounted to $0 or 0.0% of net assets. Additional information on these
restricted securities are as follows:
SECURITY
ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Alrosa PJSC
5/30/14-8/20/20
$775
PhosAgro PJSC GDR
7/12/16-1/17/19
3
Polyus PJSC
11/30/17-3/25/21
1,046
Rosneft Oil Co. PJSC
3/16/17-3/5/21
1,951
Sberbank of Russia PJSC
5/7/09-6/17/21
5,525
Severstal PAO
2/26/10-3/25/21
815
Severstal PAO GDR (Registered)
7/30/09
12
Surgutneftegas PAO ADR
4/21/16
25
VK CO Ltd. GDR
11/30/20-3/5/21
880
VTB Bank PJSC
4/21/16-8/20/20
818
VTB Bank PJSC GDR (Registered)
4/2/09-7/30/09
91
SECURITY
ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
X5 Retail Group N.V. GDR (Registered)
5/31/18-2/18/21
$953
 
 
(5)
Security exempt from registration pursuant to Rule 144A under the Securities
Act of 1933, as amended. These securities may be resold in transactions
exempt from registration to qualified institutional investors. At June 30,
2026, the value of these securities amounted to approximately $2,525,000
or 0.1% of net assets.
(6)
Value rounds to less than one thousand.
(7)
Current yield is disclosed. Dividends are calculated based on a percentage
of the issuer's net income.
(8)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(9)
7-day current yield as of June 30, 2026 is disclosed.
(10)
Investment of cash collateral received from securities lending activities.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
BDR – Brazilian Depositary Receipt
 
CPO – Certificado de Participación Ordinario
 
GDR – Global Depositary Receipt
 
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had outstanding forward foreign currency exchange contracts as follows: 
COUNTERPARTY
CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Bank of Montreal
Hong Kong
Dollar
2,576
United States
Dollar
330
9/16/26
$1
Goldman Sachs
Brazilian Real
5,762
United States
Dollar
1,120
9/16/26
24
Goldman Sachs
Korean Won
1,861,409
United States
Dollar
1,241
9/16/26
36
Goldman Sachs
Taiwan Dollar
35,797
United States
Dollar
1,135
9/16/26
14
Subtotal Appreciation
 
 
75
BNP Paribas
South African
Rand
4,908
United States
Dollar
297
9/16/26
(—
)*
NORTHERN FUNDS QUARTERLY REPORT 33 EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued
 
COUNTERPARTY
CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Goldman Sachs
Indian Rupee
11,276
United States
Dollar
116
9/16/26
$(2
)
Subtotal Depreciation
 
 
(2
)
Total
 
 
 
$73
*
Amount rounds to less than one thousand.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI
Emerging
Markets Index
(United States
Dollar)
959
$84,263
Long
9/26
$1,635
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Information Technology
44.4
%
Financials
18.7
Consumer Discretionary
7.2
Industrials
6.5
Communication Services
6.2
Materials
4.7
Energy
3.0
Consumer Staples
2.5
Health Care
2.2
Utilities
1.7
Real Estate
0.6
Short-Term Investments
1.4
Total Investments
99.1
Other Assets less Liabilities
0.9
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest
rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Brazil
$81,502
$
$
$81,502
Chile
10,721
10,721
China
17,965
544,043
562,008
Colombia
2,249
2,249
Egypt
1,558
623
2,181
India
1,524
330,424
331,948
Kazakhstan
789
789
Mexico
53,300
53,300
Peru
7,517
7,517
United States
1,964
4,222
6,186
All Other Countries(1)
1,886,372
1,886,372
Total Common Stocks
179,089
2,765,684
2,944,773
Preferred Stocks:
Brazil
29,684
1
29,685
South Korea
29,024
29,024
All Other Countries(1)
4,597
4,597
Total Preferred Stocks
34,281
29,025
63,306
Investment Companies
43,185
43,185
Total Investments
$256,555
$2,794,709
$
$3,051,264
OTHER FINANCIAL
INSTRUMENTS
Assets
Forward Foreign
Currency Exchange
Contracts
$
$75
$
$75
Futures Contracts
1,635
1,635
Liabilities
Forward Foreign
Currency Exchange
Contracts
(2
)
(2
)
Total Other Financial
Instruments
$1,635
$73
$
$1,708
(1)
Classifications as defined in the Schedule of Investments.
EQUITY FUNDS 34 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$3,727
$8,562
$9,844
$2,445
2,444,785
$9
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
40,735
141,296
141,291
40,740
40,740,021
573
Total
$44,462
$149,858
$151,135
$43,185
43,184,806
$582
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
NORTHERN FUNDS QUARTERLY REPORT 35 EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)
Australia – 4.6%
Abacus Group
150,237
$100
Abacus Storage King
163,252
152
Arena REIT
158,665
342
BWP Trust
231,517
609
Centuria Industrial REIT
208,909
441
Charter Hall Long Wale REIT
243,083
616
Charter Hall Retail REIT
197,928
539
Charter Hall Social Infrastructure REIT
116,719
217
Dexus
414,599
1,554
Dexus Industria REIT
87,871
148
Gemlife Communities Group
67,034
213
Goodman Group
775,812
16,818
GPT Group (The)
749,363
2,541
Growthpoint Properties Australia Ltd.
90,683
136
HomeCo Daily Needs REIT
678,171
600
Ingenia Communities Group
162,023
498
Mirvac Group
1,524,970
1,821
Region Group
450,194
724
Scentre Group
2,036,603
5,455
Stockland
947,123
2,683
Vicinity Ltd.
1,542,419
2,747
Waypoint REIT Ltd.
239,433
402
 
39,356
Austria – 0.1%
CA Immobilien Anlagen A.G.
10,049
262
CPI Europe A.G.*
13,257
233
 
495
Belgium – 0.8%
Aedifica S.A.
32,178
2,596
Cofinimmo S.A.
3,063
290
Montea N.V.
7,676
587
Retail Estates N.V.
4,154
326
Shurgard Self Storage Ltd.
11,015
322
Vastned N.V.
3,197
108
Warehouses De Pauw - C.V.A.
73,782
1,861
Xior Student Housing N.V.
15,745
474
 
6,564
Brazil – 0.3%
Allos S.A.
152,559
827
Iguatemi S.A.
87,600
426
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Brazil – 0.3%continued
JHSF Participacoes S.A.
112,900
$247
Multiplan Empreendimentos
Imobiliarios S.A.*
132,572
750
 
2,250
Canada – 1.0%
Allied Properties Real Estate Investment
Trust
33,613
233
Boardwalk Real Estate Investment Trust
9,191
420
BSR Real Estate Investment Trust
13,165
154
Canadian Apartment Properties REIT
29,852
734
Choice Properties Real Estate
Investment Trust
60,022
692
Crombie Real Estate Investment Trust
19,429
238
CT Real Estate Investment Trust
19,419
248
Dream Industrial Real Estate Investment
Trust
53,414
527
First Capital Real Estate Investment Trust
39,371
642
Granite Real Estate Investment Trust
11,614
785
H&R Real Estate Investment Trust
49,547
384
InterRent Real Estate Investment Trust
26,018
238
Killam Apartment Real Estate Investment
Trust
24,464
320
Mainstreet Equity Corp.
1,646
197
Primaris Real Estate Investment Trust
23,291
366
RioCan Real Estate Investment Trust
56,372
902
Slate Grocery REIT, Class U
10,998
135
SmartCentres Real Estate Investment
Trust
27,516
588
StorageVault Canada, Inc.
90,166
296
Vital Infrastructure Property Trust
48,991
190
 
8,289
Chile – 0.3%
Parque Arauco S.A.
289,954
1,216
Plaza S.A.
297,063
1,224
 
2,440
China – 1.3%
C&D International Investment Group
Ltd.
345,549
596
China Jinmao Holdings Group Ltd.
2,084,042
328
China Merchants Shekou Industrial
Zone Holdings Co. Ltd., Class A
200,300
190
China Overseas Grand Oceans Group
Ltd.
664,500
190
China Overseas Land & Investment Ltd.
1,498,542
2,315
EQUITY FUNDS 36 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
China – 1.3%continued
China Resources Land Ltd.
1,112,398
$4,271
China Vanke Co. Ltd., Class A*
219,340
96
Country Garden Holdings Co. Ltd.*
7,993,000
171
Greentown China Holdings Ltd.*
393,500
340
Hopson Development Holdings Ltd.(2) *
348,773
107
Logan Group Co. Ltd.*
536,000
99
Longfor Group Holdings Ltd.
816,357
626
Poly Developments and Holdings
Group Co. Ltd., Class A
257,400
176
Poly Property Group Co. Ltd.
783,000
157
Sasseur Real Estate Investment Trust
213,400
112
Seazen Group Ltd.*
913,904
155
Shanghai Jinqiao Export Processing
Zone Development Co. Ltd., Class B
108,216
81
Shanghai Zhangjiang High-Tech Park
Development Co. Ltd., Class A
34,200
189
Shenzhen Investment Ltd.*
871,191
68
Shui On Land Ltd.*
1,178,777
69
Sunac China Holdings Ltd.*
3,474,000
276
Yanlord Land Group Ltd.
227,600
111
Yuexiu Property Co. Ltd.
580,674
248
 
10,971
Egypt – 0.1%
Talaat Moustafa Group
274,486
528
Finland – 0.1%
Lumo Kodit OYJ
62,743
533
France – 1.5%
Altarea S.C.A.
1,567
175
ARGAN S.A.
5,165
357
Carmila S.A.
24,433
465
Covivio S.A./France
20,050
1,229
Gecina S.A.
17,360
1,460
ICADE
10,989
241
Klepierre S.A.
84,039
3,514
Mercialys S.A.
36,072
483
Nexity S.A.*
16,647
149
Unibail-Rodamco-Westfield*
42,168
4,932
 
13,005
Germany – 1.4%
Aroundtown S.A.* †
260,010
690
Grand City Properties S.A.* †
13,950
144
LEG Immobilien S.E.
29,191
1,843
Sirius Real Estate Ltd.
620,685
797
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Germany – 1.4%continued
TAG Immobilien A.G.
72,702
$1,172
Vonovia S.E.
281,052
6,935
 
11,581
Greece – 0.0%
LAMDA Development S.A.*
25,420
194
Hong Kong – 3.2%
Art Group Holdings Ltd.*
595,000
216
Champion REIT
679,000
179
CK Asset Holdings Ltd.
683,000
3,866
Fortune Real Estate Investment Trust
570,000
320
Hang Lung Group Ltd.
301,000
482
Hang Lung Properties Ltd.
692,674
611
Henderson Land Development Co. Ltd.
513,555
1,630
Hongkong Land Holdings Ltd.
378,518
2,708
Hysan Development Co. Ltd.
227,045
480
K Wah International Holdings Ltd.
435,000
107
Kerry Properties Ltd.
226,099
522
Link REIT
1,020,626
4,761
New World Development Co. Ltd.*
536,000
434
Sino Land Co. Ltd.
1,486,258
1,955
Sun Hung Kai Properties Ltd.
507,925
7,320
Wharf Real Estate Investment Co. Ltd.
595,317
1,631
 
27,222
India – 1.4%
Aditya Birla Real Estate Ltd.
19,198
270
Anant Raj Ltd.
46,308
258
Brigade Enterprises Ltd.
59,321
315
Brookfield India Real Estate Trust
206,401
723
DLF Ltd.
243,032
1,601
Embassy Office Parks REIT
330,019
1,525
Godrej Properties Ltd.*
51,012
1,012
Lodha Developers Ltd.
103,486
1,050
Mahindra Lifespace Developers Ltd.
32,040
124
Mindspace Business Parks REIT
75,144
376
NESCO Ltd.
7,499
86
Nexus Select Trust
314,401
542
Oberoi Realty Ltd.
47,336
887
Phoenix Mills (The) Ltd.
71,016
1,467
Prestige Estates Projects Ltd.
67,127
1,122
SignatureGlobal India Ltd.*
10,712
84
Sobha Ltd.
17,509
256
Valor Estate Ltd.*
68,000
80
 
11,778
NORTHERN FUNDS QUARTERLY REPORT 37 EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Indonesia – 0.0%
Ciputra Development Tbk PT
2,920,936
$91
Pakuwon Jati Tbk PT
6,240,640
84
Rimo International Lestari Tbk PT(2) *
42,545,100
 
175
Ireland – 0.0%
Irish Residential Properties REIT PLC
190,469
254
Israel – 1.2%
Africa Israel Residences Ltd.
2,162
158
Amot Investments Ltd.
93,603
583
Amram Avraham Construction Co. Ltd.*
11,054
149
Aura Investments Ltd.
61,036
378
Azrieli Group Ltd.
17,054
2,321
Blue Square Real Estate Ltd.
1,818
198
Electra Real Estate Ltd.*
12,960
195
Israel Canada T.R Ltd.
68,301
404
Isras Holdings Ltd.
1,371
162
Isras Investment Co. Ltd.
452
128
Mega Or Holdings Ltd.
9,493
1,916
Melisron Ltd.
9,245
1,299
Mivne Real Estate KD Ltd.
223,860
978
Prashkovsky Investments and
Construction Ltd.
2,607
133
REIT 1 Ltd.
76,174
553
Sella Capital Real Estate Ltd.
82,780
254
Summit Real Estate Holdings Ltd.
13,256
212
YH Dimri Construction & Development
Ltd.
3,753
453
 
10,474
Japan – 8.1%
Activia Properties, Inc.
761
643
Advance Residence Investment Corp.
1,076
997
AEON REIT Investment Corp.
618
468
Comforia Residential REIT, Inc.
765
485
CRE Logistics REIT, Inc.
238
206
Daiwa House Industry Co. Ltd.
218,500
5,915
Daiwa House REIT Investment Corp.
1,671
1,240
Daiwa Office Investment Corp.
208
419
Daiwa Securities Living Investments
Corp.
730
447
Fukuoka REIT Corp.
269
286
Global One Real Estate Investment
Corp.
422
283
GLP J-REIT
1,635
1,384
Goldcrest Co. Ltd.
5,600
112
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Japan – 8.1%continued
Hankyu Hanshin REIT, Inc.
209
$179
Heiwa Real Estate Co. Ltd.
13,500
200
Heiwa Real Estate REIT, Inc.
389
322
Hoshino Resorts REIT, Inc.
229
339
Hulic Co. Ltd.
177,940
1,856
Hulic REIT, Inc.
453
434
Ichigo Office REIT Investment Corp.
336
193
Ichigo, Inc.
70,600
191
Industrial & Infrastructure Fund
Investment Corp.
829
726
Invincible Investment Corp.
2,867
1,058
Japan Excellent, Inc.
438
370
Japan Hotel REIT Investment Corp.
2,310
1,130
Japan Logistics Fund, Inc.
1,079
631
Japan Metropolitan Fund Invest
2,775
1,917
Japan Prime Realty Investment Corp.
1,342
772
Japan Real Estate Investment Corp.
2,530
1,807
Katitas Co. Ltd.
19,800
406
KDX Realty Investment Corp.
1,532
1,464
Keihanshin Building Co. Ltd.
22,400
149
LaSalle Logiport REIT
615
552
Leopalace21 Corp.
89,200
357
Mirai Corp.
768
198
MIRARTH Real Estate Investment Corp.
412
210
Mitsubishi Estate Co. Ltd.
402,880
10,254
Mitsubishi Estate Logistics REIT
Investment Corp.
505
372
Mitsui Fudosan Accommodations Fund,
Inc.
893
669
Mitsui Fudosan Co. Ltd.
965,986
8,900
Mitsui Fudosan Logistics Park, Inc.
1,214
806
Mitsui Fudosan Retail Fund Investment
Corp.
988
489
Mori Hills REIT Investment Corp.
557
441
Mori Trust REIT, Inc.
1,005
460
Nippon Building Fund, Inc.
2,934
2,270
Nippon Prologis REIT, Inc.
2,591
1,386
NIPPON REIT Investment Corp.
704
363
Nomura Real Estate Holdings, Inc.
213,600
1,227
Nomura Real Estate Master Fund, Inc.*
1,527
1,429
NTT UD REIT Investment Corp.
556
466
Orix JREIT, Inc.
2,029
1,219
Samty Residential Investment Corp.
147
87
Sekisui House REIT, Inc.
1,520
715
SOSiLA Logistics REIT, Inc.
279
195
EQUITY FUNDS 38 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Japan – 8.1%continued
Star Asia Investment Corp.
932
$316
Sumitomo Realty & Development Co.
Ltd.
228,150
5,249
Sun Frontier Fudousan Co. Ltd.
9,700
145
Tokyo Tatemono Co. Ltd.
69,500
1,407
Tokyu REIT, Inc.
262
298
Tosei Corp.
23,400
244
United Urban Investment Corp.
1,136
1,135
 
68,888
Kuwait – 0.2%
Commercial Real Estate Co. K.S.C.
614,290
385
Kuwait Real Estate Co. K.S.C.*
343,207
388
Mabanee Co. KPSC
273,004
815
National Real Estate Co. KPSC*
442,182
173
Salhia Real Estate Co. K.S.C.P.
182,363
233
 
1,994
Malaysia – 0.4%
Axis Real Estate Investment Trust
568,062
284
Eco World Development Group Bhd.
449,400
243
IGB Real Estate Investment Trust
754,700
511
IOI Properties Group Bhd.
530,500
514
KLCCP Stapled Group
146,000
322
KSL Holdings Bhd.
143,900
105
Mah Sing Group Bhd.
525,300
126
Matrix Concepts Holdings Bhd.
390,050
113
Pavilion Real Estate Investment Trust
626,800
263
Sime Darby Property Bhd.
1,085,300
385
SP Setia Bhd. Group
920,869
220
Sunway Real Estate Investment Trust
696,200
378
 
3,464
Mauritius – 0.0%
Lighthouse Properties PLC
398,179
192
Mexico – 0.8%
Concentradora Fibra Danhos S.A. de
C.V.
109,153
179
Corp. Inmobiliaria Vesta S.A.B. de C.V.
330,600
1,137
FIBRA Macquarie Mexico
56,503
145
Fibra MTY S.A.P.I. de C.V.*
1,607,673
1,349
Fibra Uno Administracion S.A. de C.V.
1,083,633
1,862
Prologis Property Mexico S.A. de C.V.
418,861
1,808
 
6,480
Netherlands – 0.1%
Argo Properties N.V.*
7,725
347
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Netherlands – 0.1%continued
Eurocommercial Properties N.V.
16,683
$521
Wereldhave N.V.
12,815
291
 
1,159
New Zealand – 0.1%
Goodman Property Trust
424,027
489
Kiwi Property Group Ltd.
645,564
349
 
838
Norway – 0.0%
Entra ASA
15,922
170
Philippines – 0.3%
AREIT, Inc.
431,200
262
Ayala Land, Inc.
2,294,181
556
Megaworld Corp.
3,048,001
103
RL Commercial REIT, Inc.
2,763,100
324
Robinsons Land Corp.
563,396
151
SM Prime Holdings, Inc.
3,702,953
1,095
 
2,491
Qatar – 0.0%
United Development Co. QSC
594,673
142
Romania – 0.2%
NEPI Rockcastle N.V.*
233,844
2,094
Saudi Arabia – 0.4%
Al Rajhi REIT
106,463
232
Arabian Centres Co.
85,270
388
Arriyadh Development Co.
46,781
223
Dar Al Arkan Real Estate Development
Co.*
203,910
979
Emaar Economic City*
58,192
155
Jadwa REIT Saudi Fund
74,352
216
Knowledge Economic City Co.*
27,632
89
Makkah Construction & Development
Co.
36,658
809
Retal Urban Development Co.
92,577
296
 
3,387
Singapore – 2.6%
AIMS APAC REIT
210,982
261
CapitaLand Ascendas REIT*
1,608,945
3,104
CapitaLand Ascott Trust
1,054,814
723
CapitaLand China Trust
463,127
233
Capitaland India Trust
418,355
331
CapitaLand Integrated Commercial
Trust
2,380,514
4,376
CDL Hospitality Trusts
317,452
190
NORTHERN FUNDS QUARTERLY REPORT 39 EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Singapore – 2.6%continued
Centurion Accommodation REIT*
204,470
$168
Centurion Corp. Ltd.
95,600
108
City Developments Ltd.
179,200
1,080
Digital Core REIT Management Pte Ltd.
343,800
174
ESR-REIT
234,367
425
Far East Hospitality Trust*
382,303
169
Frasers Centrepoint Trust
444,709
778
Frasers Logistics & Commercial Trust
1,112,247
831
Keppel DC REIT
769,503
1,335
Keppel REIT
1,179,620
785
Lendlease Global Commercial REIT*
1,002,201
442
Mapletree Industrial Trust
815,255
1,213
Mapletree Logistics Trust
1,308,526
1,236
Mapletree Pan Asia Commercial Trust
837,761
837
NTT DC REIT*
252,400
238
Parkway Life Real Estate Investment
Trust
169,700
531
Starhill Global REIT
602,390
254
Stoneweg Europe Stapled Trust
149,271
262
Suntec Real Estate Investment Trust
704,091
791
UOL Group Ltd.
180,397
1,332
 
22,207
South Africa – 0.6%
Equites Property Fund Ltd.
292,450
315
Fortress Real Estate Investments Ltd.,
Class B
449,779
668
Growthpoint Properties Ltd.
1,260,539
1,326
Hyprop Investments Ltd.
150,167
552
Redefine Properties Ltd.
2,664,426
1,040
Resilient REIT Ltd.
111,906
569
Vukile Property Fund Ltd.
535,884
814
 
5,284
South Korea – 0.0%
ESR Kendall Square REIT Co. Ltd.
65,508
141
LOTTE REIT Co. Ltd.
51,915
115
SK REITs Co. Ltd.
66,749
233
 
489
Spain – 0.4%
Colonial SFL Socimi S.A.
106,447
691
Merlin Properties Socimi S.A.
161,269
2,828
 
3,519
Sweden – 1.3%
Altra Fastigheter AB
53,655
382
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Sweden – 1.3%continued
Atrium Ljungberg AB, Class B
90,983
$247
Castellum AB
125,757
1,652
Catena AB
18,456
793
Cibus Real Estate AB publ
31,647
482
Corem Property Group AB, Class B
185,562
45
Dios Fastigheter AB
36,293
240
Fabege AB
67,780
519
Fastighets AB Balder, Class B*
265,355
1,416
FastPartner AB, Class A
12,827
50
Hufvudstaden AB, Class A
34,795
429
Intea Fastigheter AB
71,673
545
Logistea AB, Class B
109,685
151
NP3 Fastigheter AB
11,829
325
Pandox AB
40,715
727
Platzer Fastigheter Holding AB, Class B
24,107
170
PPI Public Property Invest AB
93,878
180
Sagax AB, Class B
85,157
1,355
Samhallsbyggnadsbolaget i Norden
AB* †
435,745
159
Sveafastigheter AB* †
19,921
61
Wallenstam AB, Class B
136,225
553
Wihlborgs Fastigheter AB
102,843
798
 
11,279
Switzerland – 1.5%
Allreal Holding A.G. (Registered)
5,782
1,517
Hiag Immobilien Holding A.G.
1,839
309
International Workplace Group PLC
290,295
713
Intershop Holding A.G.
1,927
412
Mobimo Holding A.G. (Registered)
2,890
1,242
PSP Swiss Property A.G. (Registered)
17,922
3,195
Swiss Prime Site A.G. (Registered)
31,293
5,107
 
12,495
Taiwan – 0.3%
Chong Hong Development Co. Ltd.
72,745
179
Da-Li Development Co. Ltd.
110,613
157
Farglory Land Development Co. Ltd.
77,462
158
Highwealth Construction Corp.
552,118
748
Huaku Development Co. Ltd.
99,890
320
Kindom Development Co. Ltd.
151,190
162
Ruentex Development Co. Ltd.
625,955
528
Sakura Development Co. Ltd.
128,153
156
 
2,408
EQUITY FUNDS 40 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
Thailand – 0.4%
Amata Corp. PCL NVDR
293,435
$238
AP Thailand PCL (Registered)
441,405
100
AP Thailand PCL NVDR
372,504
85
Central Pattana PCL (Registered)
581,626
1,173
Central Pattana PCL NVDR
200,098
407
Land & Houses PCL NVDR
2,858,000
327
Sansiri PCL NVDR
5,157,466
226
Supalai PCL (Registered)
280,445
135
Supalai PCL NVDR
156,400
76
WHA Corp. PCL NVDR
3,024,700
473
 
3,240
Turkey – 0.1%
Peker Gayrimenkul Yatirim Ortakligi
A.S.*
1,432,355
429
Reysas Gayrimenkul Yatirim Ortakligi
A.S.*
235,462
151
Yeni Gimat Gayrimenkul Ortakligi A.S.
71,846
364
 
944
United Arab Emirates – 0.6%
Aldar Properties PJSC
1,504,547
3,409
Deyaar Development PJSC
386,459
85
Dubai Residential REIT
757,211
259
Emaar Development PJSC
325,963
1,237
RAK Properties PJSC*
578,285
171
 
5,161
United Kingdom – 2.7%
Big Yellow Group PLC
73,105
876
British Land (The) Co. PLC
391,790
2,152
Derwent London PLC
39,408
1,015
Grainger PLC
266,908
601
Great Portland Estates PLC
128,571
567
Hammerson PLC
210,254
1,032
Land Securities Group PLC
287,426
2,484
LondonMetric Property PLC
801,839
2,004
Primary Health Properties PLC
946,548
1,203
Safestore Holdings PLC
80,834
658
Segro PLC
475,328
5,523
Shaftesbury Capital PLC
570,409
1,045
Supermarket Income REIT PLC
485,058
566
Target Healthcare REIT PLC
249,053
358
Tritax Big Box REIT PLC
939,712
2,013
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
United Kingdom – 2.7%continued
UNITE Group (The) PLC
166,877
$1,126
Workspace Group PLC
47,896
220
 
23,443
United States – 58.1%
Acadia Realty Trust
50,722
1,061
Agree Realty Corp.
46,914
3,553
Alexander's, Inc.
906
250
Alexandria Real Estate Equities, Inc.
60,894
3,218
American Assets Trust, Inc.
19,194
474
American Healthcare REIT, Inc.
74,942
3,908
American Homes 4 Rent, Class A
124,049
4,158
Americold Realty Trust, Inc.
109,495
1,721
Apartment Investment and
Management Co., Class A
50,375
150
Apple Hospitality REIT, Inc.
86,377
1,452
AvalonBay Communities, Inc.
54,174
10,222
Brandywine Realty Trust
66,481
211
Brixmor Property Group, Inc.
113,849
3,590
Broadstone Net Lease, Inc.
73,661
1,523
BXP, Inc.
58,837
3,901
Camden Property Trust
37,810
4,329
CareTrust REIT, Inc.
87,226
3,520
CBL & Associates Properties, Inc.
5,957
316
Centerspace
6,519
366
COPT Defense Properties
43,625
1,588
Cousins Properties, Inc.
64,025
1,919
CubeSmart
88,686
3,527
Curbline Properties Corp.
35,098
1,067
DiamondRock Hospitality Co.
78,825
960
Digital Realty Trust, Inc.
133,673
24,005
Diversified Healthcare Trust
76,622
713
Douglas Emmett, Inc.
63,235
746
Eagle Hospitality Trust(2) *
496,400
Easterly Government Properties, Inc.
16,837
420
EastGroup Properties, Inc.
20,979
4,249
Empire State Realty Trust, Inc., Class A
50,842
275
Equinix, Inc.
38,357
39,983
Equity LifeStyle Properties, Inc.
71,884
4,633
Equity Residential
131,349
8,923
Essex Property Trust, Inc.
25,126
7,326
Extra Space Storage, Inc.
82,219
11,946
Federal Realty Investment Trust
30,325
3,743
First Industrial Realty Trust, Inc.
50,924
3,122
Four Corners Property Trust, Inc.
42,689
1,048
NORTHERN FUNDS QUARTERLY REPORT 41 EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
United States – 58.1%continued
Getty Realty Corp.
21,925
$731
Gladstone Commercial Corp.
19,406
239
Global Net Lease, Inc.
74,121
663
Healthcare Realty Trust, Inc.
127,074
2,563
Healthpeak Properties, Inc.
271,124
5,802
Highwoods Properties, Inc.
42,686
1,287
Host Hotels & Resorts, Inc.
268,045
6,355
Howard Hughes Holdings, Inc.*
12,071
863
Independence Realty Trust, Inc.
91,128
1,521
Innovative Industrial Properties, Inc.
10,625
659
InvenTrust Properties Corp.
29,124
1,031
Invitation Homes, Inc.
210,312
6,354
Iron Mountain, Inc.
115,777
14,624
JBG SMITH Properties
22,423
329
Kilroy Realty Corp.
41,904
1,570
Kimco Realty Corp.
262,722
6,660
Kite Realty Group Trust
79,522
2,257
LTC Properties, Inc.
19,094
734
LXP Industrial Trust
22,783
1,228
Macerich (The) Co.
100,472
2,531
Medical Properties Trust, Inc.
188,454
871
Mid-America Apartment Communities,
Inc.
45,355
6,302
National Health Investors, Inc.
17,549
1,338
National Storage Affiliates Trust
27,441
1,220
NETSTREIT Corp.
37,371
790
NexPoint Residential Trust, Inc.
7,498
209
NNN REIT, Inc.
74,326
3,458
Omega Healthcare Investors, Inc.
115,273
5,496
Park Hotels & Resorts, Inc.
75,380
1,074
Pebblebrook Hotel Trust
42,440
824
Phillips Edison & Co., Inc.
48,377
2,013
Piedmont Realty Trust, Inc.*
47,890
438
Prologis, Inc.
362,537
49,113
Public Storage
61,472
19,567
Realty Income Corp.
362,777
22,478
Regency Centers Corp.
64,270
5,125
Rexford Industrial Realty, Inc.
87,777
2,941
RLJ Lodging Trust
48,668
577
Ryman Hospitality Properties, Inc.
23,068
2,965
Sabra Health Care REIT, Inc.
96,608
1,885
Saul Centers, Inc.
5,039
188
Service Properties Trust
231,395
391
Sila Realty Trust, Inc.
20,857
633
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.5% (1)continued
United States – 58.1%continued
Simon Property Group, Inc.
126,364
$28,261
SL Green Realty Corp.
27,605
1,429
Smartstop Self Storage REIT, Inc.
21,170
688
St. Joe (The) Co.
14,424
903
STAG Industrial, Inc.
73,497
2,797
Sun Communities, Inc.
48,045
5,761
Sunstone Hotel Investors, Inc.
67,607
774
Tanger, Inc.
44,132
1,742
Terreno Realty Corp.
40,796
2,642
UDR, Inc.
114,460
4,569
UMH Properties, Inc.
30,759
466
Urban Edge Properties
48,648
1,113
Ventas, Inc.
185,044
16,432
Vornado Realty Trust
61,863
2,431
Welltower, Inc.
273,978
62,185
Whitestone REIT
16,407
311
WP Carey, Inc.
85,480
6,112
Xenia Hotels & Resorts, Inc.
36,673
747
 
495,376
Total Common Stocks
(Cost $535,821)
823,253
 
INVESTMENT COMPANIES – 2.9%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(3) (4) (5)
8,448,685
8,449
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(3) (4)
16,543,033
16,543
Total Investment Companies
(Cost $24,992)
24,992
 
Total Investments – 99.4%
(Cost $560,813)
848,245
Other Assets less Liabilities – 0.6%
4,921
Net Assets – 100.0%
$853,166
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(3)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(4)
7-day current yield as of June 30, 2026 is disclosed.
(5)
Investment of cash collateral received from securities lending activities.
Security is either wholly or partially on loan.
EQUITY FUNDS 42 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
EAFE – Europe, Australasia and the Far East
 
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
 
S&P – Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had outstanding forward foreign currency exchange contracts as follows: 
COUNTERPARTY
CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Bank of Montreal
Canadian
Dollar
361
United States
Dollar
262
9/16/26
$7
Bank of Montreal
United States
Dollar
410
Hong Kong
Dollar
3,210
9/16/26
—*
Barclays
United States
Dollar
948
Euro
830
9/16/26
3
Citibank
Euro
600
United States
Dollar
703
9/16/26
16
Goldman Sachs
Brazilian Real
205
United States
Dollar
40
9/16/26
1
Goldman Sachs
Korean Won
13,475
United States
Dollar
9
9/16/26
—*
Goldman Sachs
United States
Dollar
228
Indian Rupee
22,085
9/16/26
4
JPMorgan Chase
Australian
Dollar
500
United States
Dollar
346
9/16/26
—*
JPMorgan Chase
British Pound
370
United States
Dollar
491
9/16/26
—*
JPMorgan Chase
Euro
2,211
United States
Dollar
2,587
9/16/26
52
JPMorgan Chase
Swiss Franc
609
United States
Dollar
785
9/16/26
25
JPMorgan Chase
United States
Dollar
337
Australian
Dollar
490
9/16/26
1
Morgan Stanley
Australian
Dollar
1,278
United States
Dollar
910
9/16/26
26
Morgan Stanley
British Pound
885
United States
Dollar
1,189
9/16/26
16
Toronto-Dominion
Bank
Japanese Yen
358,703
United States
Dollar
2,247
9/16/26
26
Toronto-Dominion
Bank
Norwegian
Krone
860
United States
Dollar
93
9/16/26
6
Toronto-Dominion
Bank
United States
Dollar
449
British Pound
340
9/16/26
2
Subtotal Appreciation
 
 
185
Bank of Montreal
Swiss Franc
270
United States
Dollar
337
9/16/26
(—
)*
Bank of Montreal
United States
Dollar
1,177
Australian
Dollar
1,640
9/16/26
(44
)
COUNTERPARTY
CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Bank of Montreal
United States
Dollar
416
British Pound
310
9/16/26
$(5
)
Bank of Montreal
United States
Dollar
548
Hong Kong
Dollar
4,278
9/16/26
(1
)
Barclays
United States
Dollar
315
Euro
270
9/16/26
(5
)
Citibank
United States
Dollar
959
Japanese Yen
152,730
9/16/26
(13
)
Goldman Sachs
United States
Dollar
345
Singapore
Dollar
440
9/16/26
(3
)
Goldman Sachs
United States
Dollar
65
Taiwan Dollar
2,061
9/16/26
(1
)
JPMorgan Chase
Euro
1,300
United States
Dollar
1,490
9/16/26
(—
)*
JPMorgan Chase
Japanese Yen
109,490
United States
Dollar
678
9/16/26
(—
)*
Morgan Stanley
United States
Dollar
354
Singapore
Dollar
449
9/16/26
(5
)
Morgan Stanley
United States
Dollar
28
Swedish Krona
255
9/16/26
(1
)
Toronto-Dominion
Bank
Australian
Dollar
1,090
United States
Dollar
750
9/16/26
(3
)
Toronto-Dominion
Bank
British Pound
410
United States
Dollar
540
9/16/26
(4
)
Toronto-Dominion
Bank
Euro
300
United States
Dollar
342
9/16/26
(2
)
Toronto-Dominion
Bank
Hong Kong
Dollar
3,660
United States
Dollar
468
9/16/26
(—
)*
Toronto-Dominion
Bank
Singapore
Dollar
860
United States
Dollar
666
9/16/26
(2
)
UBS
United States
Dollar
734
Australian
Dollar
1,040
9/16/26
(15
)
UBS
United States
Dollar
871
Japanese Yen
139,990
9/16/26
(5
)
Subtotal Depreciation
 
 
(109
)
Total
 
 
 
$76
*
Amount rounds to less than one thousand.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P
MidCap 400
(United States
Dollar)
31
$12,044
Long
9/26
$154
NORTHERN FUNDS QUARTERLY REPORT 43 EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued
June 30, 2026 (UNAUDITED)
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI EAFE
Index
(United States
Dollar)
78
$12,267
Long
9/26
$12
S&P/TSX 60
Index
(Canadian
Dollar)
22
6,378
Long
9/26
1
Total
$167
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Real Estate
96.5
%
Short-Term Investments
2.9
Total Investments
99.4
Other Assets less Liabilities
0.6
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Brazil
$2,250
$
$
$2,250
Canada
8,289
8,289
Chile
2,440
2,440
China
10,864
107
10,971
Mexico
6,480
6,480
Sweden
180
11,099
11,279
United States
495,376
495,376
All Other Countries(1)
286,168
286,168
Total Common Stocks
515,015
308,131
107
823,253
Investment Companies
24,992
24,992
Total Investments
$540,007
$308,131
$107
$848,245
OTHER FINANCIAL
INSTRUMENTS
Assets
Forward Foreign
Currency Exchange
Contracts
$
$185
$
$185
Futures Contracts
167
167
Liabilities
Forward Foreign
Currency Exchange
Contracts
(109
)
(109
)
Total Other Financial
Instruments
$167
$76
$
$243
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$6,687
$13,948
$12,186
$8,449
8,448,685
$4
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
5,002
81,753
70,212
16,543
16,543,033
119
Total
$11,689
$95,701
$82,398
$24,992
24,991,718
$123
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
EQUITY FUNDS 44 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
GLOBAL TACTICAL ASSET ALLOCATION FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 100.0%
FlexShares® Developed Markets
ex-U.S. Quality Low Volatility Index
Fund(1)
154,506
$5,026
FlexShares® iBoxx 5-Year Target
Duration TIPS Index Fund(1)
64,503
1,533
FlexShares® Morningstar Developed
Markets ex-U.S. Factor Tilt Index
Fund(1)
31,908
3,130
FlexShares® Morningstar Emerging
Markets Factor Tilt Index Fund(1)
83,936
6,496
FlexShares® Morningstar Global
Upstream Natural Resources Index
Fund(1)
10,274
506
FlexShares® Morningstar U.S. Market
Factor Tilt Index Fund(1)
44,660
12,329
FlexShares® STOXX Global Broad
Infrastructure Index Fund(1)
25,042
1,606
FlexShares® U.S. Quality Low Volatility
Index Fund(1)
72,722
5,490
iShares 20+ Year Treasury Bond ETF
21,018
1,816
iShares 3-7 Year Treasury Bond ETF
62,330
7,321
iShares 7-10 Year Treasury Bond ETF
34,617
3,274
iShares Expanded Tech-Software Sector
ETF
16,023
1,452
iShares MBS ETF
29,363
2,775
Northern Funds - Fixed Income Fund(1)
888,752
7,919
Northern Funds - High Yield Fixed
Income Fund(1)
246,309
1,490
Northern Funds - International Equity
Index Fund(1)
189,338
3,665
Northern Funds - Small Cap Core
Fund(1)
85,945
2,558
Northern Funds - Stock Index Fund(1)
181,758
13,568
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(1) (2)
2,099,245
2,099
Total Investment Companies
(Cost $65,537)
84,053
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
3.59%, 10/15/26(3) (4)
$53
$53
Total Short-Term Investments
(Cost $53)
53
 
Total Investments – 100.1%
(Cost $65,590)
84,106
Liabilities less Other Assets – (0.1%)
(43
)
NET ASSETS – 100.0%
$84,063
(1)
Investment in affiliated fund. Northern Trust Investments, Inc. is the investment
adviser to the Fund and the investment adviser to other Northern Funds,
Northern Institutional Funds and FlexShares Trust.
(2)
7-day current yield as of June 30, 2026 is disclosed.
(3)
Discount rate at the time of purchase.
(4)
Security pledged as collateral to cover margin requirements for open futures
contracts.
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
ETF - Exchange-Traded Fund
 
MBS - Mortgage Backed Securities
 
TIPS - Treasury Inflation Protected Securities
Percentages shown are based on Net Assets.
NORTHERN FUNDS QUARTERLY REPORT 45 EQUITY FUNDS

Schedule of Investments
GLOBAL TACTICAL ASSET ALLOCATION FUNDcontinued
June 30, 2026 (UNAUDITED)
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
U.S. Treasury
Long Bond
12
$1,362
Long
9/26
$32
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Investment Companies
$84,053
$
$
$84,053
Short-Term Investments
53
53
Total Investments
$84,053
$53
$
$84,106
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$32
$
$
$32
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
NET
REALIZED
GAINS
(LOSSES)
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
FlexShares® Developed Markets ex-U.S. Quality Low Volatility Index Fund
$5,069
$
$
$(43
)
$
$5,026
154,506
$79
FlexShares® iBoxx 5-Year Target Duration TIPS Index Fund
1,555
(22
)
1,533
64,503
31
FlexShares® Morningstar Developed Markets ex-U.S. Factor Tilt Index Fund
2,999
131
3,130
31,908
45
FlexShares® Morningstar Emerging Markets Factor Tilt Index Fund
6,212
623
747
160
6,496
83,936
23
FlexShares® Morningstar Global Upstream Natural Resources Index Fund
567
(61
)
506
10,274
3
FlexShares® Morningstar U.S. Market Factor Tilt Index Fund
11,170
445
1,500
104
12,329
44,660
34
FlexShares® STOXX Global Broad Infrastructure Index Fund
1,601
5
1,606
25,042
15
FlexShares® U.S. Quality Low Volatility Index Fund
5,228
262
5,490
72,722
23
Northern Funds - Fixed Income Fund
7,503
450
(34
)
7,919
888,752
82
Northern Funds - High Yield Fixed Income Fund
1,480
10
1,490
246,309
25
Northern Funds - International Equity Index Fund
3,961
627
204
127
3,665
189,338
Northern Funds - Small Cap Core Fund
2,123
435
2,558
85,945
Northern Funds - Stock Index Fund
12,856
1,173
1,614
271
13,568
181,758
39
Northern Institutional Funds - U.S. Government Portfolio (Shares)
3,836
2,598
4,335
2,099
2,099,245
20
Total
$66,160
$3,048
$7,203
$4,748
$662
$67,415
4,178,898
$419
EQUITY FUNDS 46 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
INCOME EQUITY FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.2%
Aerospace & Defense – 1.4%
General Electric Co.
4,699
$1,756
Honeywell Aerospace, Inc.*
1,058
234
Lockheed Martin Corp.
4,946
2,520
 
4,510
Air Freight & Logistics – 0.6%
United Parcel Service, Inc., Class B
17,951
1,930
Automobiles – 0.9%
Tesla, Inc.(1) *
6,822
2,869
Banks – 4.0%
Bank of America Corp.
5,806
331
Citigroup, Inc.
35,167
4,922
Cullen/Frost Bankers, Inc.
6,360
983
Fifth Third Bancorp
18,714
1,055
First Hawaiian, Inc.
32,220
944
JPMorgan Chase & Co.
8,847
2,896
Truist Financial Corp.
30,360
1,512
 
12,643
Beverages – 0.1%
PepsiCo, Inc.
1,981
268
Biotechnology – 3.4%
AbbVie, Inc.
20,994
5,283
Amgen, Inc.
7,082
2,564
Gilead Sciences, Inc.
22,361
2,825
 
10,672
Broadline Retail – 3.1%
Amazon.com, Inc.(1) *
35,332
8,421
eBay, Inc.
11,768
1,315
 
9,736
Capital Markets – 2.9%
Franklin Resources, Inc.
56,222
1,870
Invesco Ltd.
61,246
1,616
Lazard, Inc.
12,245
514
Morgan Stanley
6,703
1,401
State Street Corp.
11,879
2,015
T. Rowe Price Group, Inc.
16,641
1,892
 
9,308
Chemicals – 0.6%
CF Industries Holdings, Inc.
9,133
989
Scotts Miracle-Gro (The) Co.
12,450
848
 
1,837
Communications Equipment – 2.1%
Cisco Systems, Inc.
56,173
6,598
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Consumer Finance – 0.3%
OneMain Holdings, Inc.
15,691
$957
Consumer Staples Distribution & Retail – 0.3%
Costco Wholesale Corp.
1,001
936
Diversified Consumer Services – 0.3%
H&R Block, Inc.
27,334
1,041
Diversified Telecommunication Services – 1.4%
AT&T, Inc.
80,204
1,660
Comcast Corp., Class A
34,484
847
Verizon Communications, Inc.
48,452
2,051
 
4,558
Electric Utilities – 2.2%
Duke Energy Corp.
18,891
2,391
Edison International
21,818
1,624
FirstEnergy Corp.
30,213
1,436
Southern (The) Co.
15,812
1,514
 
6,965
Electrical Equipment – 3.1%
Emerson Electric Co.
9,594
1,373
GE Vernova, Inc.
4,718
5,543
Rockwell Automation, Inc.
3,621
1,793
Vertiv Holdings Co., Class A
3,201
1,072
 
9,781
Financial Services – 1.4%
Berkshire Hathaway, Inc., Class B*
3,356
1,679
Equitable Holdings, Inc.
9,207
404
Fidelity National Information Services,
Inc.
19,414
755
MGIC Investment Corp.
10,707
302
UWM Holdings Corp.
217,621
499
Western Union (The) Co.
87,183
671
 
4,310
Food Products – 0.3%
General Mills, Inc.
26,713
930
Gas Utilities – 0.3%
MDU Resources Group, Inc.
9,940
211
UGI Corp.
22,405
774
 
985
Ground Transportation – 1.3%
Old Dominion Freight Line, Inc.
4,491
973
Union Pacific Corp.
11,602
3,155
 
4,128
NORTHERN FUNDS QUARTERLY REPORT 47 EQUITY FUNDS

Schedule of Investments
INCOME EQUITY FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Health Care Equipment & Supplies – 0.2%
ResMed, Inc.
2,905
$566
Health Care Providers & Services – 0.2%
McKesson Corp.
452
341
UnitedHealth Group, Inc.
743
309
 
650
Health Care Real Estate Investment Trusts – 0.1%
Omega Healthcare Investors, Inc.
4,420
211
Hotel & Resort Real Estate Investment Trusts – 0.2%
Host Hotels & Resorts, Inc.
20,614
489
Hotels, Restaurants & Leisure – 0.8%
Booking Holdings, Inc.
3,276
584
Las Vegas Sands Corp.
2,618
121
Vail Resorts, Inc.
6,320
860
Wendy's (The) Co.
48,322
401
Yum! Brands, Inc.
3,913
625
 
2,591
Household Products – 2.1%
Clorox (The) Co.
11,363
1,084
Kimberly-Clark Corp.
11,495
1,262
Procter & Gamble (The) Co.
28,332
4,155
 
6,501
Independent Power & Renewable Electricity Producers – 0.2%
Brookfield Renewable Corp.
8,788
326
Vistra Corp.
2,760
438
 
764
Industrial Conglomerates – 0.1%
Honeywell International, Inc.
1,058
237
Insurance – 2.1%
Aflac, Inc.
12,371
1,450
MetLife, Inc.
19,727
1,669
Old Republic International Corp.
16,973
695
Principal Financial Group, Inc.
10,751
1,159
Prudential Financial, Inc.
16,408
1,771
 
6,744
Interactive Media & Services – 6.9%
Alphabet, Inc., Class A(1)
50,535
18,060
Meta Platforms, Inc., Class A(1)
6,457
3,637
 
21,697
IT Services – 1.1%
Accenture PLC, Class A
10,804
1,344
Amdocs Ltd.
7,314
370
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
IT Services – 1.1%continued
Cognizant Technology Solutions Corp.,
Class A
10,031
$388
International Business Machines Corp.
5,336
1,501
 
3,603
Leisure Products – 0.4%
Hasbro, Inc.
15,379
1,270
Machinery – 1.2%
Caterpillar, Inc.
411
438
Illinois Tool Works, Inc.
6,186
1,673
Otis Worldwide Corp.
7,762
556
Snap-on, Inc.
2,857
1,149
 
3,816
Media – 0.0%
Nexstar Media Group, Inc.
799
143
Metals & Mining – 0.6%
Newmont Corp.
11,377
1,063
Southern Copper Corp.
4,485
781
 
1,844
Mortgage Real Estate Investment Trusts – 0.5%
Rithm Capital Corp.
86,032
808
Starwood Property Trust, Inc.
47,319
775
 
1,583
Multi-Utilities – 0.8%
Consolidated Edison, Inc.
14,374
1,590
Public Service Enterprise Group, Inc.
11,746
953
 
2,543
Office Real Estate Investment Trusts – 0.4%
Highwoods Properties, Inc.
38,550
1,163
Oil, Gas & Consumable Fuels – 1.6%
Antero Midstream Corp.
37,210
847
APA Corp.
29,190
951
Exxon Mobil Corp.
8,390
1,147
Valero Energy Corp.
8,015
2,087
 
5,032
Pharmaceuticals – 5.1%
Bristol-Myers Squibb Co.
49,451
2,849
Eli Lilly & Co.
2,459
2,949
Johnson & Johnson
15,283
3,882
Merck & Co., Inc.
36,154
4,646
Perrigo Co. PLC
17,388
181
Pfizer, Inc.
69,725
1,679
 
16,186
EQUITY FUNDS 48 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Professional Services – 1.3%
Automatic Data Processing, Inc.
9,769
$2,188
Broadridge Financial Solutions, Inc.
3,307
453
Paychex, Inc.
4,846
476
Robert Half, Inc.
35,068
1,077
 
4,194
Residential Real Estate Investment Trusts – 0.6%
Camden Property Trust
6,722
770
Equity Residential
15,714
1,067
 
1,837
Retail Real Estate Investment Trusts – 0.8%
Brixmor Property Group, Inc.
23,226
732
Simon Property Group, Inc.
7,952
1,779
 
2,511
Semiconductors & Semiconductor Equipment – 20.3%
Advanced Micro Devices, Inc.*
1,825
1,060
Analog Devices, Inc.
441
175
Applied Materials, Inc.
727
526
Broadcom, Inc.
31,104
11,749
KLA Corp.
24,990
7,540
Lam Research Corp.
19,467
8,436
Micron Technology, Inc.
1,940
2,239
NVIDIA Corp.(1)
138,497
27,712
QUALCOMM, Inc.
19,250
3,557
Skyworks Solutions, Inc.
18,377
1,246
 
64,240
Software – 5.1%
Bentley Systems, Inc., Class B
14,855
444
Gen Digital, Inc.
45,131
1,123
Intuit, Inc.
5,018
1,310
Microsoft Corp.
32,571
12,150
Pegasystems, Inc.
14,512
435
Salesforce, Inc.
5,333
835
 
16,297
Specialized Real Estate Investment Trusts – 1.8%
EPR Properties
14,647
850
Gaming and Leisure Properties, Inc.
17,295
770
Lamar Advertising Co., Class A
4,969
775
Millrose Properties, Inc.
28,228
848
Public Storage
4,351
1,385
VICI Properties, Inc.
43,455
1,154
 
5,782
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Specialty Retail – 1.7%
Best Buy Co., Inc.
22,340
$1,695
Home Depot (The), Inc.
7,050
2,486
Williams-Sonoma, Inc.
5,464
1,274
 
5,455
Technology Hardware, Storage & Peripherals – 9.4%
Apple, Inc.(1)
85,771
24,819
HP, Inc.
71,893
1,577
NetApp, Inc.
8,999
1,393
Western Digital Corp.
3,064
1,957
 
29,746
Textiles, Apparel & Luxury Goods – 0.5%
Tapestry, Inc.
10,691
1,565
Tobacco – 2.3%
Altria Group, Inc.
40,778
2,934
Philip Morris International, Inc.
23,850
4,315
 
7,249
Trading Companies & Distributors – 0.5%
Fastenal Co.
31,554
1,515
Wireless Telecommunication Services – 0.3%
Millicom International Cellular S.A.
12,064
1,095
Total Common Stocks
(Cost $192,082)
314,081
 
INVESTMENT COMPANIES – 1.9%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(2) (3) (4)
4,022,383
4,022
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(2) (3)
2,030,958
2,031
Total Investment Companies
(Cost $6,053)
6,053
NORTHERN FUNDS QUARTERLY REPORT 49 EQUITY FUNDS

Schedule of Investments
INCOME EQUITY FUNDcontinued
 
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
3.62%, 10/15/26(5) (6)
$146
$144
Total Short-Term Investments
(Cost $144)
144
 
Total Investments – 101.2%
(Cost $198,279)
320,278
Liabilities less Other Assets – (1.2%)
(3,676
)
NET ASSETS – 100.0%
$316,602
(1)
Security represents underlying investment on open written option contracts.
(2)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(3)
7-day current yield as of June 30, 2026 is disclosed.
(4)
Investment of cash collateral received from securities lending activities.
(5)
Discount rate at the time of purchase.
(6)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Micro E-Mini
S&P 500
Index
56
$2,114
Long
9/26
$15
At June 30, 2026, the Fund had open written call options as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000S)
VALUE
(000S)
Alphabet, Inc., Class A, Exp. Date 7/17/26,
Strike Price $420.00
(505
)
$(18,047
)
$(8
)
Amazon.com, Inc., Exp. Date 7/17/26,
Strike Price $280.00
(353
)
(8,413
)
(8
)
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000S)
VALUE
(000S)
Apple, Inc., Exp. Date 7/17/26, Strike Price
$340.00
(401
)
$(11,603
)
$(2
)
Apple, Inc., Exp. Date 7/17/26, Strike Price
$350.00
(27
)
(781
)
(—
)*
Meta Platforms, Inc., Class A, Exp. Date
7/17/26, Strike Price $750.00
(64
)
(3,605
)
(1
)
NVIDIA Corp., Exp. Date 7/17/26, Strike
Price $250.00
(1,384
)
(27,692
)
(12
)
Tesla, Inc., Exp. Date 7/17/26, Strike Price
$600.00
(68
)
(2,860
)
(2
)
Total Written Options Contracts
$(33
)
(Premiums Received (000s) $67)
*
Amount rounds to less than one thousand.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1)
$314,081
$
$
$314,081
Investment Companies
6,053
6,053
Short-Term Investments
144
144
Total Investments
$320,134
$144
$
$320,278
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$15
$
$
$15
Liabilities
Written Options
(33
)
(33
)
Total Other Financial
Instruments
$(18
)
$
$
$(18
)
(1)
Classifications as defined in the Schedule of Investments.
EQUITY FUNDS 50 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$2,749
$23,829
$22,556
$4,022
4,022,383
$4
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
2,285
9,213
9,467
2,031
2,030,958
19
Total
$5,034
$33,042
$32,023
$6,053
6,053,341
$23
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
NORTHERN FUNDS QUARTERLY REPORT 51 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.1% (1)
Australia – 4.5%
ANZ Group Holdings Ltd.
77,449
$1,898
Aristocrat Leisure Ltd.
3,412
145
ASX Ltd.
2,004
74
Computershare Ltd.
6,037
160
CSL Ltd.
7,409
590
Fortescue Ltd.
129,400
1,724
Origin Energy Ltd.
46,240
352
Pro Medicus Ltd.
3,186
451
QBE Insurance Group Ltd.
65,726
1,147
Rio Tinto PLC
12,148
1,149
Scentre Group
26,273
70
South32 Ltd.
123,201
331
Stockland
175,465
497
Telstra Group Ltd.
123,363
434
Wesfarmers Ltd.
15,508
973
WiseTech Global Ltd.
8,145
189
 
10,184
Austria – 0.1%
Verbund A.G.
3,974
252
Belgium – 1.3%
Anheuser-Busch InBev S.A./N.V.
23,261
1,918
D'ieteren Group
960
187
KBC Group N.V.
5,986
816
 
2,921
Brazil – 0.1%
Yara International ASA
6,753
297
Canada – 11.2%
Agnico Eagle Mines Ltd.
11,028
1,713
Barrick Mining Corp.
48,918
1,799
Bombardier, Inc., Class B*
1,519
350
Brookfield Renewable Corp.
7,295
271
Canadian Imperial Bank of Commerce
18,294
2,107
Canadian National Railway Co.
22,210
2,650
Canadian Natural Resources Ltd.
52,844
2,091
Canadian Utilities Ltd., Class A
7,837
291
Celestica, Inc.*
308
112
CGI, Inc.
14,878
962
Constellation Software, Inc.
136
256
Emera, Inc.
4,236
225
Empire Co. Ltd., Class A
13,309
466
Fairfax Financial Holdings Ltd.
1,165
1,916
Fortis, Inc.
122
7
IGM Financial, Inc.
32,582
1,819
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.1% (1)continued
Canada – 11.2%continued
Imperial Oil Ltd.
5,668
$636
Magna International, Inc.
3,067
202
Manulife Financial Corp.
35,954
1,458
Royal Bank of Canada
1,008
209
Shopify, Inc., Class A*
1,570
180
Suncor Energy, Inc.
33,440
1,799
Toronto-Dominion Bank (The)
29,248
3,556
 
25,075
Chile – 0.3%
Lundin Mining Corp.
26,210
639
China – 1.0%
BOC Hong Kong Holdings Ltd.
305,854
1,659
SITC International Holdings Co. Ltd.
35,702
143
Yangzijiang Shipbuilding Holdings Ltd.
183,200
487
 
2,289
Denmark – 1.1%
Novo Nordisk A/S, Class B
12,651
607
Pandora A/S
8,276
954
Vestas Wind Systems A/S
28,343
801
 
2,362
Finland – 1.3%
Fortum OYJ
4,332
100
Kone OYJ, Class B
5,627
320
Neste OYJ
20,323
661
Wartsila OYJ Abp
45,964
1,755
 
2,836
France – 6.8%
Amundi S.A.
4,242
407
AXA S.A.
30,408
1,524
BNP Paribas S.A.
16,154
1,888
Bureau Veritas S.A.
39,806
1,220
Capgemini S.E.
11,717
1,179
Cie Generale des Etablissements
Michelin S.C.A.
864
33
Eiffage S.A.
7,957
1,175
Engie S.A.
21,664
683
LVMH Moet Hennessy Louis Vuitton S.E.
3,117
1,726
Publicis Groupe S.A.
8,470
837
Safran S.A.
4,938
1,952
Societe Generale S.A.
28,267
2,503
 
15,127
EQUITY FUNDS 52 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.1% (1)continued
Germany – 4.9%
Bayerische Motoren Werke A.G.
5,792
$379
Deutsche Bank A.G. (Registered)
4,410
149
Deutsche Post A.G.
40,445
2,454
Deutsche Telekom A.G. (Registered)
94,820
2,584
E.ON S.E.
9,324
192
Evonik Industries A.G.
15,507
281
Fresenius Medical Care A.G.
19,316
874
Fresenius S.E. & Co. KGaA
6,818
311
Heidelberg Materials A.G.
3,633
693
HOCHTIEF A.G.
1,340
777
Mercedes-Benz Group A.G.
19,637
986
RWE A.G.
4,719
306
SAP S.E.
2,426
372
Siemens Energy A.G.
1,839
349
Siemens Healthineers A.G.
1,119
44
Zalando S.E.*
10,054
291
 
11,042
Hong Kong – 1.7%
CK Asset Holdings Ltd.
137,252
777
CK Infrastructure Holdings Ltd.
33,605
256
Futu Holdings Ltd. ADR
7,100
666
Prudential PLC
113,839
1,516
Sun Hung Kai Properties Ltd.
43,924
633
 
3,848
Indonesia – 0.0%
Jardine Matheson Holdings Ltd.
760
47
Ireland – 0.8%
AIB Group PLC (Irish Stock Exchange)
155,806
1,831
Israel – 1.5%
Bank Hapoalim B.M.
15,685
362
Bank Leumi Le-Israel B.M.
83,386
1,866
Check Point Software Technologies
Ltd.*
7,916
1,040
 
3,268
Italy – 3.0%
Banca Mediolanum S.p.A.
58,214
1,450
Enel S.p.A.
88,894
1,021
Ryanair Holdings PLC
37,073
1,160
UniCredit S.p.A.
33,540
3,001
 
6,632
Ivory Coast – 0.4%
Endeavour Mining PLC
15,983
791
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.1% (1)continued
Japan – 20.8%
Advantest Corp.
19,400
$3,944
Aisin Corp.
57,900
782
Asics Corp.
10,300
280
Astellas Pharma, Inc.
2,800
38
Chubu Electric Power Co., Inc.
400
7
Daito Trust Construction Co. Ltd.
22,500
429
Denso Corp.
105,600
1,220
Fujikura Ltd.
63,600
2,469
Hitachi Ltd.
8,400
233
Hoya Corp.
3,800
613
Japan Post Insurance Co. Ltd.
38,000
358
Kansai Electric Power (The) Co., Inc.
6,500
91
Kao Corp.
57,400
1,138
KDDI Corp.
4,900
83
Komatsu Ltd.
38,800
1,519
Lasertec Corp.
1,600
498
LY Corp.
446,000
1,193
Makita Corp.
52,100
1,865
Mitsubishi Chemical Group Corp.
106,900
743
Mitsubishi Corp.
92,700
2,494
Mitsui & Co. Ltd.
8,100
226
Mitsui Kinzoku Co. Ltd.
1,100
295
Mizuho Financial Group, Inc.
57,000
2,737
MS&AD Insurance Group Holdings,
Inc.
56,100
1,465
Murata Manufacturing Co. Ltd.
38,900
2,804
Nexon Co. Ltd.
19,800
263
Nippon Yusen K.K.
15,200
489
Nitto Denko Corp.
71,200
1,403
ORIX Corp.
32,500
1,232
Osaka Gas Co. Ltd.
1,200
40
Otsuka Holdings Co. Ltd.
9,100
603
Recruit Holdings Co. Ltd.
24,900
1,733
SBI Holdings, Inc.
104,100
1,693
Seibu Holdings, Inc.
2,100
41
Seven & i Holdings Co. Ltd.
18,760
226
Shionogi & Co. Ltd.
39,200
671
SoftBank Corp.
1,241,000
1,588
SoftBank Group Corp.
4,700
176
Sony Group Corp.
55,000
1,103
Subaru Corp.
79,000
1,164
Sumitomo Corp.
98,800
949
Sumitomo Electric Industries Ltd.
29,200
539
Suzuki Motor Corp.
87,600
1,054
NORTHERN FUNDS QUARTERLY REPORT 53 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.1% (1)continued
Japan – 20.8%continued
Tokyo Electron Ltd.
6,100
$2,950
Tokyo Gas Co. Ltd.
4,600
173
Yokogawa Electric Corp.
29,700
1,043
 
46,657
Luxembourg – 0.0%
ArcelorMittal S.A.
1,818
109
Mexico – 0.0%
Fresnillo PLC
2,297
84
Netherlands – 5.1%
ASML Holding N.V.
3,977
7,887
ING Groep N.V.
47,409
1,500
Koninklijke Ahold Delhaize N.V.
41,613
1,675
Wolters Kluwer N.V.
6,012
388
 
11,450
Norway – 1.2%
Equinor ASA
23,860
750
Norsk Hydro ASA
62,074
559
Orkla ASA
131,501
1,385
 
2,694
Portugal – 0.2%
Banco Comercial Portugues S.A.
(Registered)
30,626
36
EDP S.A.
72,834
381
 
417
Singapore – 1.3%
Oversea-Chinese Banking Corp. Ltd.
137,200
2,639
Singapore Technologies Engineering
Ltd.
39,300
317
 
2,956
Spain – 4.1%
Acciona S.A.
1,048
332
ACS Actividades de Construccion y
Servicios S.A.
7,700
1,137
Aena SME S.A.(2)
58,947
1,797
Banco Bilbao Vizcaya Argentaria S.A.
132,292
3,319
Endesa S.A.
8,477
386
Iberdrola S.A.
43,318
1,081
Naturgy Energy Group S.A.
10,792
339
Repsol S.A.
27,146
676
 
9,067
Sweden – 3.7%
Assa Abloy AB, Class B
771
27
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.1% (1)continued
Sweden – 3.7%continued
Evolution AB*
9,642
$664
H&M Hennes & Mauritz AB, Class B
103,059
1,773
Industrivarden AB, Class C
1,077
59
Investor AB, Class B
24,053
999
Sandvik AB
29,304
1,210
Securitas AB, Class B
2,160
36
Svenska Handelsbanken AB, Class A
10,171
150
Swedbank AB, Class A
57,410
2,144
Tele2 AB, Class B
17,596
306
Telefonaktiebolaget LM Ericsson,
Class B
78,540
877
 
8,245
Switzerland – 2.0%
ABB Ltd. (Registered)
15,384
1,669
Cie Financiere Richemont S.A., Class A
(Registered)
1,174
273
Logitech International S.A. (Registered)
15,630
1,466
Nestle S.A. (Registered)
10,092
1,036
 
4,444
United Kingdom – 10.2%
AstraZeneca PLC
1,177
220
Barclays PLC
463,996
3,116
British American Tobacco PLC
19,841
1,224
Centrica PLC
27,200
62
CK Hutchison Holdings Ltd.
131,002
1,113
GSK PLC
107,150
2,811
HSBC Holdings PLC
37,664
715
Imperial Brands PLC
48,112
1,779
International Consolidated Airlines
Group S.A. - CDI
142,966
907
J Sainsbury PLC
243,914
1,035
Kingfisher PLC
96,237
362
National Grid PLC
58,940
976
NatWest Group PLC
154,072
1,358
Next PLC
4,253
821
RELX PLC
18,819
593
Rolls-Royce Holdings PLC
136,457
2,620
Smith & Nephew PLC
20,299
292
Smiths Group PLC
30,904
1,050
SSE PLC
3,655
118
Standard Chartered PLC
27,693
751
Vodafone Group PLC
615,132
813
 
22,736
EQUITY FUNDS 54 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.1% (1)continued
United States – 7.5%
AP Moller - Maersk A/S, Class B
215
$510
Buzzi S.p.A.
1,616
83
Holcim A.G.*
14,313
1,296
Novartis A.G. (Registered)
29,135
4,562
Roche Holding A.G.
11,730
4,828
Roche Holding A.G. (Bearer)
2,237
939
Sanofi S.A.
14,715
1,258
Shell PLC
87,921
3,406
 
16,882
Total Common Stocks
(Cost $170,382)
215,182
 
PREFERRED STOCKS – 0.6% (1)
Germany – 0.6%
Henkel A.G. & Co. KGaA, 2.82%(3)
15,764
1,325
Total Preferred Stocks
(Cost $1,216)
1,325
 
RIGHTS – 0.0%
Spain – 0.0%
ACS Actividades de Construccion y
Servicios S.A.*
7,700
16
Total Rights
(Cost $16)
16
 
INVESTMENT COMPANIES – 0.9%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(4) (5) (6)
343,168
343
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(4) (5)
1,592,806
1,593
Total Investment Companies
(Cost $1,936)
1,936
 
Total Investments – 97.6%
(Cost $173,550)
218,459
Other Assets less Liabilities – 2.4%
5,316
Net Assets – 100.0%
$223,775
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Security exempt from registration pursuant to Rule 144A under the Securities
Act of 1933, as amended. These securities may be resold in transactions
exempt from registration to qualified institutional investors. At June 30, 2026,
the value of this security amounted to approximately $1,797,000 or 0.8% of
net assets.
(3)
Current yield is disclosed. Dividends are calculated based on a percentage
of the issuer's net income.
(4)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(5)
7-day current yield as of June 30, 2026 is disclosed.
(6)
Investment of cash collateral received from securities lending activities.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
CDI – CREST Depository Interest
 
FTSE – Financial Times Stock Exchange
 
S&P – Standard & Poor's
 
SPI – Standardized Precipitation Index
 
TSX – Toronto Stock Exchange
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Euro Stoxx 50
(Euro)
47
$3,413
Long
9/26
$15
FTSE 100
Index (British
Pound)
7
979
Long
9/26
(1
)
S&P/TSX 60
Index
(Canadian
Dollar)
3
870
Long
9/26
—*
SPI 200 Index
(Australian
Dollar)
2
304
Long
9/26
(4
)
Yen
Denominated
Nikkei 225
(Japanese
Yen)
6
1,315
Long
9/26
69
Total
$79
*
Amount rounds to less than one thousand.
NORTHERN FUNDS QUARTERLY REPORT 55 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY FUNDcontinued
June 30, 2026 (UNAUDITED)
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Financials
26.2
%
Industrials
18.4
Information Technology
11.6
Health Care
8.9
Consumer Discretionary
7.1
Materials
6.1
Consumer Staples
5.8
Energy
4.4
Communication Services
3.7
Utilities
3.5
Real Estate
1.0
Short-Term Investments
0.9
Total Investments
97.6
Other Assets less Liabilities
2.4
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the
fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Canada
$25,075
$
$
$25,075
Chile
639
639
Hong Kong
666
3,182
3,848
Israel
1,040
2,228
3,268
All Other Countries(1)
182,352
182,352
Total Common Stocks
27,420
187,762
215,182
Preferred Stocks
1,325
1,325
Rights
16
16
Investment Companies
1,936
1,936
Total Investments
$29,372
$189,087
$
$218,459
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$84
$
$
$84
Liabilities
Futures Contracts
(5
)
(5
)
Total Other Financial
Instruments
$79
$
$
$79
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$472
$709
$838
$343
343,168
$
(1),*
Northern Institutional Funds - U.S. Government Portfolio (Shares)
3,194
23,631
25,232
1,593
1,592,806
18
Total
$3,666
$24,340
$26,070
$1,936
1,935,974
$18
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
*
Amount rounds to less than one thousand.
EQUITY FUNDS 56 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)
Australia – 7.0%
ANZ Group Holdings Ltd.
910,180
$22,304
APA Group
399,164
2,805
Aristocrat Leisure Ltd.
163,774
6,977
ASX Ltd.
58,998
2,179
BHP Group Ltd.
1,534,050
64,029
Brambles Ltd.
408,156
5,510
CAR Group Ltd.
108,284
1,938
Cochlear Ltd.
19,624
1,658
Coles Group Ltd.
405,732
6,850
Commonwealth Bank of Australia
505,209
57,742
Computershare Ltd.
157,175
4,172
CSL Ltd.
146,499
11,668
Evolution Mining Ltd.
613,438
5,009
Fortescue Ltd.
487,896
6,499
Glencore PLC*
2,834,222
19,331
Goodman Group
601,836
13,047
Insurance Australia Group Ltd.
673,607
3,777
Lottery (The) Corp. Ltd.
673,798
2,688
Lynas Rare Earths Ltd.*
273,482
3,427
Macquarie Group Ltd.
109,312
19,024
Medibank Pvt Ltd.
832,339
2,863
National Australia Bank Ltd.
926,196
24,361
Northern Star Resources Ltd.
410,559
5,407
Origin Energy Ltd.
519,681
3,950
PLS Group Ltd.*
948,066
3,319
Pro Medicus Ltd.
17,064
2,416
Qantas Airways Ltd.
231,519
1,714
QBE Insurance Group Ltd.
453,420
7,914
REA Group Ltd.
15,575
1,505
Rio Tinto Ltd.
112,340
13,377
Rio Tinto PLC
321,899
30,446
Santos Ltd.
980,372
4,867
Scentre Group
1,580,372
4,233
SGH Ltd.
60,488
1,963
Sigma Healthcare Ltd.
1,567,427
2,987
Sonic Healthcare Ltd.
140,736
2,021
South32 Ltd.
1,355,201
3,644
Stockland
725,102
2,054
Suncorp Group Ltd.
326,826
4,361
Telstra Group Ltd.
1,191,935
4,192
Transurban Group
942,059
9,404
Vicinity Ltd.
1,196,722
2,131
Washington H Soul Pattinson & Co. Ltd.
102,945
3,295
Wesfarmers Ltd.
342,705
21,509
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Australia – 7.0%continued
Westpac Banking Corp.
1,032,805
$25,251
WiseTech Global Ltd.
57,262
1,326
Woodside Energy Group Ltd.
574,000
11,113
Woolworths Group Ltd.
368,870
10,220
 
472,477
Austria – 0.4%
BAWAG Group A.G.
22,729
4,557
Erste Group Bank A.G.
92,860
12,441
OMV A.G.
44,217
2,774
Raiffeisen Bank International A.G.
39,274
2,508
Verbund A.G.
20,668
1,313
 
23,593
Belgium – 0.9%
Ageas S.A./N.V.
45,053
3,604
Anheuser-Busch InBev S.A./N.V.
271,121
22,353
D'ieteren Group
6,316
1,231
Elia Group S.A./N.V.
13,148
2,091
Financiere de Tubize S.A.
6,018
1,589
Groupe Bruxelles Lambert N.V.
21,798
1,986
KBC Group N.V.
69,361
9,461
Lotus Bakeries N.V.
125
1,660
Sofina S.A.
4,907
1,249
Syensqo S.A.
21,117
1,559
UCB S.A.
36,545
10,943
 
57,726
Brazil – 0.0%
Yara International ASA
48,113
2,115
Chile – 0.1%
Antofagasta PLC
103,999
5,282
China – 0.4%
BOC Hong Kong Holdings Ltd.
1,113,608
6,040
Prosus N.V.*
394,644
17,153
SITC International Holdings Co. Ltd.
409,000
1,642
Wilmar International Ltd.
479,900
1,344
Yangzijiang Shipbuilding Holdings Ltd.
797,500
2,118
 
28,297
Czech Republic – 0.0%
CSG N.V.*
45,622
666
Denmark – 1.6%
Carlsberg A.S., Class B
28,321
3,716
Coloplast A/S, Class B
37,592
2,144
Danske Bank A/S
189,056
10,143
NORTHERN FUNDS QUARTERLY REPORT 57 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Denmark – 1.6%continued
Demant A/S* †
27,804
$1,138
DSV A/S
58,069
13,785
Genmab A/S*
18,408
5,043
Novo Nordisk A/S, Class B
972,139
46,638
Novonesis (Novozymes) B
106,178
6,710
Orsted A.S.(2) *
139,482
3,136
Pandora A/S
22,552
2,601
ROCKWOOL A/S, Class B
27,940
898
Tryg A/S
92,211
2,099
Vestas Wind Systems A/S
289,575
8,182
 
106,233
Finland – 1.2%
Elisa OYJ
42,999
1,805
Fortum OYJ
135,222
3,124
Kesko OYJ, Class B
80,549
1,801
Kone OYJ, Class B
99,173
5,644
Metso OYJ
194,812
3,387
Neste OYJ
127,660
4,150
Nokia OYJ
1,516,648
20,077
Nordea Bank Abp
924,360
17,555
Orion OYJ, Class B
33,074
2,721
Sampo OYJ, Class A
720,563
7,574
Stora Enso OYJ (Registered)
166,233
1,774
UPM-Kymmene OYJ
159,266
4,225
Wartsila OYJ Abp
147,217
5,620
 
79,457
France – 8.0%
Abivax S.A.* †
16,143
2,143
Accor S.A.
56,591
3,290
Aeroports de Paris S.A.
9,424
1,228
Air Liquide S.A.
192,303
38,083
Airbus S.E.
179,379
39,926
Alstom S.A.*
105,319
1,833
Amundi S.A.
18,676
1,792
AXA S.A.
473,169
23,714
Ayvens S.A.
100,173
1,321
BioMerieux
12,245
962
BNP Paribas S.A.
299,253
34,976
Bollore S.E.
185,919
862
Bouygues S.A.
66,867
3,731
Bureau Veritas S.A.
96,025
2,942
Capgemini S.E.
46,150
4,641
Carrefour S.A.
177,689
3,301
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
France – 8.0%continued
Cie de Saint-Gobain S.A.
134,200
$12,150
Cie Generale des Etablissements
Michelin S.C.A.
186,469
7,202
Covivio S.A./France
15,848
971
Credit Agricole S.A.
273,983
5,511
Danone S.A.
190,221
15,601
Dassault Aviation S.A.
5,197
1,706
Dassault Systemes S.E.
202,255
4,119
Eiffage S.A.
20,705
3,057
Engie S.A.
537,183
16,938
EssilorLuxottica S.A.
90,840
17,043
Gecina S.A.
13,737
1,156
Getlink S.E.
74,975
1,594
Hermes International S.C.A.
7,800
14,273
Ipsen S.A.
10,115
1,951
Kering S.A.
21,407
6,087
Klepierre S.A.
65,195
2,726
Legrand S.A.
77,158
13,024
L'Oreal S.A.
72,499
31,807
LVMH Moet Hennessy Louis Vuitton S.E.
75,094
41,585
Orange S.A.
562,547
10,611
Pernod Ricard S.A.
58,972
4,306
Publicis Groupe S.A.
69,083
6,828
Renault S.A.
56,432
1,619
Rexel S.A.
66,379
2,901
Safran S.A.
104,222
41,205
Sartorius Stedim Biotech
8,855
1,839
Societe Generale S.A.
192,898
17,081
Sodexo S.A.
23,259
1,346
Thales S.A.
28,013
7,197
TotalEnergies S.E.
594,564
46,186
Unibail-Rodamco-Westfield*
32,650
3,819
Veolia Environnement S.A.
180,490
7,517
Vinci S.A.
140,589
20,562
 
536,263
Germany – 8.2%
adidas A.G.
49,140
10,075
Allianz S.E. (Registered)
114,789
54,323
BASF S.E.
269,072
14,383
Bayer A.G. (Registered)
296,492
16,391
Bayerische Motoren Werke A.G.
84,804
5,550
Beiersdorf A.G.
27,346
2,354
Brenntag S.E.
35,492
2,157
Commerzbank A.G.
195,607
8,323
EQUITY FUNDS 58 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Germany – 8.2%continued
Continental A.G.
33,214
$2,739
CTS Eventim A.G. & Co. KGaA
18,278
1,066
Daimler Truck Holding A.G.
138,477
6,678
Deutsche Bank A.G. (Registered)
547,814
18,549
Deutsche Boerse A.G.
54,835
14,963
Deutsche Lufthansa A.G. (Registered)
179,851
2,058
Deutsche Post A.G.
277,583
16,844
Deutsche Telekom A.G. (Registered)
1,036,516
28,249
E.ON S.E.
677,285
13,974
Evonik Industries A.G.
77,675
1,410
Fresenius Medical Care A.G.
57,582
2,605
Fresenius S.E. & Co. KGaA
127,550
5,825
GEA Group A.G.
44,027
3,020
Hannover Rueck S.E.
18,202
5,042
Heidelberg Materials A.G.
39,913
7,614
Henkel A.G. & Co. KGaA
28,988
2,292
Hensoldt A.G.
18,876
1,462
HOCHTIEF A.G.
4,447
2,577
Infineon Technologies A.G.
394,084
36,790
Knorr-Bremse A.G.
19,332
2,245
Mercedes-Benz Group A.G.
217,509
10,917
Merck KGaA
39,067
6,556
MTU Aero Engines A.G.
16,286
6,774
Muenchener
Rueckversicherungs-Gesellschaft
A.G. in Muenchen (Registered)
39,429
22,011
Nemetschek S.E.
17,262
1,044
Rational A.G.
1,555
1,138
Rheinmetall A.G.
14,057
15,911
RWE A.G.
194,239
12,584
SAP S.E.
315,153
48,263
Scout24 S.E.
20,969
1,734
Siemens A.G. (Registered)
224,204
72,044
Siemens Energy A.G.
233,936
44,337
Siemens Healthineers A.G.
101,566
3,969
Symrise A.G.
39,874
4,002
Talanx A.G.
18,514
2,340
Vonovia S.E.
217,962
5,378
Zalando S.E.*
62,818
1,820
 
550,380
Guatemala – 0.0%
Millicom International Cellular S.A.
28,001
2,541
Hong Kong – 1.5%
AIA Group Ltd.
3,171,486
29,089
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Hong Kong – 1.5%continued
CK Asset Holdings Ltd.
526,638
$2,981
CK Infrastructure Holdings Ltd.
191,853
1,464
CLP Holdings Ltd.
494,514
4,622
Futu Holdings Ltd. ADR
14,779
1,385
Henderson Land Development Co. Ltd.
397,929
1,263
HKT Trust & HKT Ltd.
1,077,220
1,602
Hong Kong & China Gas Co. Ltd.
3,362,005
2,795
Hong Kong Exchanges & Clearing Ltd.
363,196
16,880
Hongkong Land Holdings Ltd.
291,500
2,086
Link REIT
787,578
3,674
MTR Corp. Ltd.
457,636
1,786
Power Assets Holdings Ltd.
417,317
3,045
Prudential PLC
761,263
10,137
Sino Land Co. Ltd.
1,135,502
1,494
Sun Hung Kai Properties Ltd.
393,258
5,667
Swire Pacific Ltd., Class A
106,051
1,109
Techtronic Industries Co. Ltd.
413,833
6,909
WH Group Ltd.(2)
2,387,213
2,531
Wharf Real Estate Investment Co. Ltd.
454,766
1,246
 
101,765
Indonesia – 0.0%
Jardine Matheson Holdings Ltd.
48,600
3,004
Ireland – 0.4%
AerCap Holdings N.V.
48,597
7,085
AIB Group PLC (Irish Stock Exchange)
640,471
7,527
Bank of Ireland Group PLC
286,772
5,716
Irish Bank Resolution Corp. Ltd.(3) *
99,788
Kerry Group PLC, Class A
48,133
4,420
Kingspan Group PLC
46,218
4,227
 
28,975
Israel – 1.1%
Azrieli Group Ltd.
13,152
1,790
Bank Hapoalim B.M.
395,397
9,119
Bank Leumi Le-Israel B.M.
445,976
9,977
Check Point Software Technologies
Ltd.*
23,611
3,103
Elbit Systems Ltd.
8,439
6,418
Enlight Renewable Energy Ltd.*
41,975
3,717
Harel Insurance Investments & Financial
Services Ltd.
35,700
1,882
ICL Group Ltd.
217,946
1,093
Israel Discount Bank Ltd., Class A
369,182
3,662
Mizrahi Tefahot Bank Ltd.
47,055
3,111
Nova Ltd.*
9,212
4,897
NORTHERN FUNDS QUARTERLY REPORT 59 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Israel – 1.1%continued
OPC Energy Ltd.*
51,397
$1,600
Phoenix Financial Ltd.
68,660
3,805
Teva Pharmaceutical Industries Ltd.
ADR*
351,448
11,907
Tower Semiconductor Ltd.*
33,732
8,684
 
74,765
Italy – 3.2%
Banca Mediolanum S.p.A.
61,772
1,538
Banca Monte dei Paschi di Siena S.p.A.
572,706
7,111
Banco BPM S.p.A.
342,734
5,920
BPER Banca S.p.A.
472,063
7,410
Coca-Cola HBC A.G. - CDI*
60,427
3,944
Davide Campari-Milano N.V.
181,076
1,127
Enel S.p.A.
2,301,149
26,439
Eni S.p.A.
548,620
12,833
Ferrari N.V.
36,578
13,556
FinecoBank Banca Fineco S.p.A.
186,685
4,684
Generali
246,898
12,023
Intesa Sanpaolo S.p.A.
4,203,976
28,797
Italgas S.p.A.
185,538
2,149
Leonardo S.p.A.
119,223
6,393
Moncler S.p.A.
66,187
3,840
Poste Italiane S.p.A.
137,740
4,505
Prysmian S.p.A.
84,969
14,274
Recordati Industria Chimica e
Farmaceutica S.p.A.
31,451
1,844
Ryanair Holdings PLC
126,280
3,954
Snam S.p.A.
609,061
4,384
Telecom Italia S.p.A./Milano*
517,902
4,720
Terna - Rete Elettrica Nazionale
423,694
4,957
UniCredit S.p.A.
409,625
36,648
Unipol Assicurazioni S.p.A.
109,139
3,046
 
216,096
Ivory Coast – 0.1%
Endeavour Mining PLC
64,519
3,192
Japan – 23.0%
Advantest Corp.
221,000
44,924
Aeon Co. Ltd.
652,400
5,384
AGC, Inc.
57,600
2,491
Aisin Corp.
142,300
1,923
Ajinomoto Co., Inc.
261,700
9,520
ANA Holdings, Inc.
45,600
835
Asahi Group Holdings Ltd.
424,200
4,036
Asahi Kasei Corp.
380,500
4,197
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Japan – 23.0%continued
Asics Corp.
204,900
$5,572
Astellas Pharma, Inc.
521,200
7,007
Bandai Namco Holdings, Inc.
151,900
3,550
Bridgestone Corp.
327,100
6,887
Canon, Inc.
241,400
6,169
Capcom Co. Ltd.
80,400
1,492
Central Japan Railway Co.
226,900
4,870
Chiba Bank (The) Ltd.
166,600
2,534
Chubu Electric Power Co., Inc.
201,000
3,780
Chugai Pharmaceutical Co. Ltd.
202,765
9,388
Dai Nippon Printing Co. Ltd.
112,300
2,056
Daifuku Co. Ltd.
94,500
4,204
Daiichi Life Group, Inc.
1,038,600
11,383
Daiichi Sankyo Co. Ltd.
514,500
8,257
Daikin Industries Ltd.
79,600
12,091
Daito Trust Construction Co. Ltd.
86,700
1,654
Daiwa House Industry Co. Ltd.
170,300
4,610
Daiwa Securities Group, Inc.
379,300
3,730
Denso Corp.
499,500
5,770
Disco Corp.
26,200
13,316
East Japan Railway Co.
291,136
6,102
Ebara Corp.
138,200
5,420
Eisai Co. Ltd.
75,800
1,916
ENEOS Holdings, Inc.
776,697
5,718
FANUC Corp.
281,600
12,876
Fast Retailing Co. Ltd.
57,700
29,509
Fuji Electric Co. Ltd.
41,700
3,529
FUJIFILM Holdings Corp.
337,800
7,266
Fujikura Ltd.
455,500
17,682
Fujitsu Ltd.
512,000
10,218
Furukawa Electric Co. Ltd.
197,000
5,859
Hankyu Hanshin Holdings, Inc.
68,400
1,799
Hikari Tsushin, Inc.
5,400
1,182
Hitachi Ltd.
1,334,900
37,096
Honda Motor Co. Ltd.
1,093,700
9,908
Hoya Corp.
102,200
16,482
Hulic Co. Ltd.
135,300
1,411
Ibiden Co. Ltd.
70,200
10,540
Idemitsu Kosan Co. Ltd.
229,840
1,688
IHI Corp.
293,500
4,959
Inpex Corp.
266,200
5,364
Isuzu Motors Ltd.
156,200
2,065
ITOCHU Corp.
1,674,700
19,257
Japan Exchange Group, Inc.
288,800
3,640
EQUITY FUNDS 60 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Japan – 23.0%continued
Japan Post Bank Co. Ltd.
539,600
$10,279
Japan Post Holdings Co. Ltd.
515,000
6,904
Japan Post Insurance Co. Ltd.
161,400
1,522
Japan Tobacco, Inc.
331,900
12,196
JFE Holdings, Inc.
167,900
1,617
JX Advanced Metals Corp.
161,100
4,456
Kajima Corp.
120,600
4,403
Kansai Electric Power (The) Co., Inc.
286,100
4,021
Kao Corp.
263,800
5,230
Kawasaki Heavy Industries Ltd.
223,400
4,069
Kawasaki Kisen Kaisha Ltd.
106,100
1,627
KDDI Corp.
885,100
14,931
Keyence Corp.
56,856
28,646
Kikkoman Corp.
201,800
2,070
Kioxia Holdings Corp.*
94,800
53,822
Kirin Holdings Co. Ltd.
233,900
4,008
Komatsu Ltd.
259,700
10,165
Konami Group Corp.
29,000
3,169
Kubota Corp.
292,100
4,890
Kyocera Corp.
352,900
7,824
Kyowa Kirin Co. Ltd.
73,200
1,169
Lasertec Corp.
23,500
7,312
LY Corp.
796,700
2,131
Makita Corp.
65,100
2,331
Marubeni Corp.
426,200
12,411
MINEBEA MITSUMI, Inc.
99,600
2,956
Mitsubishi Chemical Group Corp.
359,000
2,494
Mitsubishi Corp.
912,100
24,535
Mitsubishi Electric Corp.
574,100
21,053
Mitsubishi Estate Co. Ltd.
312,400
7,951
Mitsubishi HC Capital, Inc.
251,800
2,037
Mitsubishi Heavy Industries Ltd.
967,600
22,032
Mitsubishi UFJ Financial Group, Inc.
3,224,395
63,966
Mitsui & Co. Ltd.
713,400
19,869
Mitsui Fudosan Co. Ltd.
749,000
6,900
Mitsui Kinzoku Co. Ltd.
16,500
4,418
Mitsui OSK Lines Ltd.
101,700
3,256
Mizuho Financial Group, Inc.
714,018
34,286
MS&AD Insurance Group Holdings,
Inc.
360,429
9,413
Murata Manufacturing Co. Ltd.
488,673
35,219
NEC Corp.
370,600
8,997
Nexon Co. Ltd.
89,600
1,192
NIDEC CORP.*
251,900
4,138
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Japan – 23.0%continued
Nintendo Co. Ltd.
330,300
$13,871
Nippon Building Fund, Inc.
2,287
1,769
Nippon Paint Holdings Co. Ltd.
289,500
1,884
Nippon Sanso Holdings Corp.
52,300
1,930
Nippon Steel Corp.
1,462,605
4,844
Nippon Yusen K.K.
117,300
3,772
Nissan Motor Co. Ltd.*
708,500
1,315
Nitori Holdings Co. Ltd.
115,400
1,715
Nitto Denko Corp.
204,700
4,032
Nomura Holdings, Inc.
880,900
7,687
Nomura Research Institute Ltd.
114,022
3,231
NTT, Inc.
9,110,000
8,125
Obayashi Corp.
187,100
3,787
Obic Co. Ltd.
97,600
2,288
Olympus Corp.
329,000
3,458
Oriental Land Co. Ltd.
326,300
4,995
ORIX Corp.
330,600
12,530
Osaka Gas Co. Ltd.
102,100
3,434
Otsuka Corp.
70,300
1,204
Otsuka Holdings Co. Ltd.
125,815
8,334
Pan Pacific International Holdings Corp.
575,500
2,937
Panasonic Holdings Corp.
703,800
19,761
Rakuten Group, Inc.*
425,500
1,985
Recruit Holdings Co. Ltd.
400,000
27,844
Renesas Electronics Corp.
522,000
15,769
Resona Holdings, Inc.
626,610
8,173
Resonac Holdings Corp.
53,000
5,910
Ryohin Keikaku Co. Ltd.
153,600
3,356
Sanrio Co. Ltd.
289,100
1,954
SBI Holdings, Inc.
159,520
2,595
SCREEN Holdings Co. Ltd.
45,500
5,086
Secom Co. Ltd.
117,100
4,653
Seibu Holdings, Inc.
59,400
1,160
Sekisui House Ltd.
176,400
3,670
Seven & i Holdings Co. Ltd.
570,100
6,872
Shimano, Inc.
21,800
2,328
Shimizu Corp.
147,200
2,334
Shin-Etsu Chemical Co. Ltd.
494,200
21,551
Shionogi & Co. Ltd.
228,400
3,908
Shiseido Co. Ltd.
120,700
1,952
SMC Corp.
16,400
7,297
SoftBank Corp.
8,688,600
11,121
SoftBank Group Corp.
1,120,700
42,046
Sompo Holdings, Inc.
246,735
9,412
NORTHERN FUNDS QUARTERLY REPORT 61 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Japan – 23.0%continued
Sony Group Corp.
1,763,500
$35,363
Subaru Corp.
156,400
2,305
Sumitomo Corp.
1,226,000
11,779
Sumitomo Electric Industries Ltd.
862,400
15,919
Sumitomo Metal Mining Co. Ltd.
72,900
3,407
Sumitomo Mitsui Financial Group, Inc.
1,097,626
42,913
Sumitomo Mitsui Trust Group, Inc.
189,738
7,083
Sumitomo Realty & Development Co.
Ltd.
174,400
4,012
Suntory Beverage & Food Ltd.
41,500
1,148
Suzuki Motor Corp.
473,400
5,698
T&D Holdings, Inc.
132,100
3,913
Taisei Corp.
43,100
3,820
Takeda Pharmaceutical Co. Ltd.
480,766
15,178
TDK Corp.
571,900
12,774
Terumo Corp.
401,400
5,523
Toho Co. Ltd.
162,200
1,297
Tokio Marine Holdings, Inc.
540,000
23,912
Tokyo Electron Ltd.
135,200
65,382
Tokyo Gas Co. Ltd.
89,700
3,373
TOPPAN Holdings, Inc.
65,000
2,061
Toray Industries, Inc.
385,500
2,676
Toyota Motor Corp.
2,860,620
47,973
Toyota Tsusho Corp.
192,300
7,174
Unicharm Corp.
322,200
1,875
West Japan Railway Co.
122,900
2,061
Yamaha Motor Co. Ltd.
269,800
2,043
Yokogawa Electric Corp.
65,900
2,315
Yokohama Financial Group, Inc.
293,500
3,135
Zensho Holdings Co. Ltd.
28,500
1,414
 
1,544,436
Jersey – 0.0%
CVC Capital Partners PLC
65,291
949
Luxembourg – 0.2%
ArcelorMittal S.A.
128,557
7,730
Eurofins Scientific S.E.
35,066
2,749
 
10,479
Macau – 0.1%
Galaxy Entertainment Group Ltd.
592,148
2,230
Sands China Ltd.
729,099
1,218
 
3,448
Mexico – 0.0%
Fresnillo PLC
55,611
2,027
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Netherlands – 5.9%
ABN AMRO Bank N.V. - CVA
186,171
$7,918
Adyen N.V.*
8,083
7,549
Akzo Nobel N.V.
46,067
3,124
Argenx S.E.*
18,678
17,326
ASM International N.V.
14,136
16,182
ASML Holding N.V.
117,166
232,368
ASR Nederland N.V.
47,616
3,594
BE Semiconductor Industries N.V.
21,674
7,117
Euronext N.V.
23,499
3,759
EXOR N.V.
27,497
2,107
Heineken Holding N.V.
37,946
2,895
Heineken N.V.
86,620
7,286
ING Groep N.V.
881,007
27,873
Koninklijke Ahold Delhaize N.V.
266,868
10,740
Koninklijke KPN N.V.
1,153,860
5,724
Koninklijke Philips N.V.
240,200
6,527
Magnum Ice Cream (The) Co. N.V.* †
143,514
2,497
Nebius Group N.V.*
60,945
16,831
NN Group N.V.
78,943
6,917
Universal Music Group N.V.
305,002
6,389
Wolters Kluwer N.V.
68,366
4,419
 
399,142
New Zealand – 0.2%
Auckland International Airport Ltd.
508,975
2,416
Contact Energy Ltd.
277,158
1,469
Fisher & Paykel Healthcare Corp. Ltd.
177,365
3,923
Infratil Ltd.
273,923
2,403
Meridian Energy Ltd.
379,938
1,257
Xero Ltd.*
48,399
2,433
 
13,901
Nigeria – 0.0%
Airtel Africa PLC
231,497
1,006
Norway – 0.5%
Aker BP ASA
95,559
2,907
DNB Bank ASA
246,103
7,320
Equinor ASA
212,384
6,674
Gjensidige Forsikring ASA
58,644
1,588
Kongsberg Gruppen ASA
126,270
3,807
Mowi ASA
131,460
2,431
Norsk Hydro ASA
385,986
3,479
Orkla ASA
219,565
2,313
Salmar ASA
19,918
933
EQUITY FUNDS 62 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Norway – 0.5%continued
Telenor ASA
186,380
$2,679
Var Energi ASA
283,211
1,170
 
35,301
Poland – 0.0%
InPost S.A.*
76,530
1,348
Portugal – 0.2%
Banco Comercial Portugues S.A.
(Registered)
2,453,737
2,905
Banco Espirito Santo S.A.
(Registered)(3) *
882,815
EDP S.A.
882,149
4,618
Galp Energia SGPS S.A.
123,289
2,625
Jeronimo Martins SGPS S.A.
85,096
1,630
 
11,778
Singapore – 1.8%
CapitaLand Ascendas REIT*
1,183,733
2,284
CapitaLand Integrated Commercial
Trust
1,839,883
3,382
CapitaLand Investment Ltd.
722,962
1,396
DBS Group Holdings Ltd.
622,205
31,438
Grab Holdings Ltd., Class A*
723,522
2,728
Keppel Ltd.
428,650
3,652
Oversea-Chinese Banking Corp. Ltd.
987,351
18,993
Sea Ltd. ADR*
114,019
10,926
Sembcorp Industries Ltd.
270,500
1,332
Singapore Airlines Ltd.
462,135
2,755
Singapore Exchange Ltd.
242,300
4,533
Singapore Technologies Engineering
Ltd.
473,000
3,816
Singapore Telecommunications Ltd.
2,236,725
7,665
STMicroelectronics N.V.
190,682
14,238
United Overseas Bank Ltd.
364,049
11,224
 
120,362
South Africa – 0.2%
Anglo American PLC
319,933
15,669
South Korea – 0.0%
Delivery Hero S.E.*
50,363
2,072
Spain – 3.7%
Acciona S.A.
7,440
2,358
ACS Actividades de Construccion y
Servicios S.A.
53,287
7,869
Aena SME S.A.(2)
226,594
6,907
Amadeus IT Group S.A.
132,472
7,608
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Spain – 3.7%continued
Banco Bilbao Vizcaya Argentaria S.A.
1,700,832
$42,667
Banco de Sabadell S.A.
1,467,314
5,212
Banco Santander S.A.
4,323,450
59,811
Bankinter S.A.
189,992
3,188
CaixaBank S.A.
1,060,420
15,051
Cellnex Telecom S.A.*
144,131
4,316
EDP Renewables S.A.
98,043
1,588
Endesa S.A.
95,202
4,338
Iberdrola S.A.
1,835,925
45,822
Indra Sistemas S.A.
22,882
1,258
Industria de Diseno Textil S.A.
329,263
20,752
Mapfre S.A.
271,636
1,344
Naturgy Energy Group S.A.
124,383
3,903
Redeia Corp. S.A.
122,274
2,081
Repsol S.A.
333,664
8,306
Telefonica S.A.
1,112,666
4,472
 
248,851
Sweden – 3.0%
AddTech AB, Class B
78,476
2,766
Alfa Laval AB
87,220
5,193
Assa Abloy AB, Class B
293,516
10,368
Atlas Copco AB, Class A
759,419
15,415
Atlas Copco AB, Class B
447,045
7,923
Beijer Ref AB
121,854
1,786
Boliden AB
85,628
4,835
Epiroc AB, Class A
191,471
5,253
Epiroc AB, Class B
110,287
2,560
EQT AB
129,998
3,678
Essity AB, Class B
174,304
4,932
Evolution AB*
36,900
2,543
Fastighets AB Balder, Class B*
207,976
1,110
H&M Hennes & Mauritz AB, Class B
126,548
2,177
Hexagon AB, Class B
624,797
5,168
Industrivarden AB, Class A
32,358
1,814
Industrivarden AB, Class C
47,519
2,609
Indutrade AB
84,733
1,753
Investment AB Latour, Class B
43,691
868
Investor AB, Class B
526,190
21,858
L E Lundbergforetagen AB, Class B
22,433
1,293
Lifco AB, Class B
63,443
2,079
Nibe Industrier AB, Class B
437,307
1,626
Saab AB, Class B
96,709
5,017
Sagax AB, Class B
66,254
1,054
Sandvik AB
311,979
12,878
NORTHERN FUNDS QUARTERLY REPORT 63 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Sweden – 3.0%continued
Securitas AB, Class B
145,366
$2,387
Skandinaviska Enskilda Banken AB,
Class A
439,432
8,746
Skanska AB, Class B
100,421
2,688
SKF AB, Class B
103,084
2,647
Svenska Cellulosa AB S.C.A., Class B
173,363
1,773
Svenska Handelsbanken AB, Class A
417,482
6,143
Swedbank AB, Class A
246,682
9,213
Swedish Orphan Biovitrum AB*
53,736
2,562
Tele2 AB, Class B
165,289
2,875
Telefonaktiebolaget LM Ericsson,
Class B
796,983
8,896
Telia Co. AB
706,307
3,439
Trelleborg AB, Class B
60,361
2,514
Volvo AB, Class B
467,785
15,903
 
198,342
Switzerland – 6.1%
ABB Ltd. (Registered)
473,063
51,328
Avolta A.G.*
26,154
1,752
Banque Cantonale Vaudoise
(Registered)
9,107
1,334
Barry Callebaut A.G. (Registered)
1,069
1,482
Belimo Holding A.G. (Registered)
2,990
3,371
BKW A.G.
5,956
1,003
Chocoladefabriken Lindt & Spruengli
A.G. (Participation Certificate)
282
3,281
Chocoladefabriken Lindt & Spruengli
A.G. (Registered)
31
3,684
Cie Financiere Richemont S.A., Class A
(Registered)
162,191
37,636
DSM-Firmenich A.G.
50,669
4,807
EMS-Chemie Holding A.G. (Registered)
2,113
1,813
Galderma Group A.G.*
55,655
12,656
Geberit A.G. (Registered)
9,717
6,484
Givaudan S.A. (Registered)
2,783
11,793
Helvetia Baloise Holding A.G.
23,250
6,004
Julius Baer Group Ltd.
62,119
5,369
Kuehne + Nagel International A.G.
(Registered)
14,566
3,534
Logitech International S.A. (Registered)
43,791
4,107
Lonza Group A.G. (Registered)
21,194
14,303
Nestle S.A. (Registered)
777,708
79,866
Partners Group Holding A.G.
6,436
5,270
Sandoz Group A.G.
126,152
11,400
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
Switzerland – 6.1%continued
Schindler Holding A.G. (Participation
Certificate)
11,810
$3,915
Schindler Holding A.G. (Registered)
6,318
2,009
SGS S.A. (Registered)
49,974
5,792
Sika A.G. (Registered)
45,919
9,461
Sonova Holding A.G. (Registered)
14,782
3,511
Straumann Holding A.G. (Registered)
33,547
4,412
Swatch Group (The) A.G. (Bearer)
8,859
2,167
Swiss Life Holding A.G. (Registered)
8,396
9,237
Swiss Prime Site A.G. (Registered)
24,328
3,970
Swisscom A.G. (Registered)
7,824
6,038
UBS Group A.G. (Registered)
958,265
47,471
VAT Group A.G.
8,146
7,127
Zurich Insurance Group A.G.
45,153
33,348
 
410,735
United Kingdom – 10.7%
3i Group PLC
293,697
9,693
Admiral Group PLC
77,873
3,679
Associated British Foods PLC
85,175
2,245
AstraZeneca PLC
456,502
85,402
Aviva PLC
914,411
7,890
BAE Systems PLC
884,937
21,649
Barclays PLC
4,130,334
27,737
British American Tobacco PLC
606,143
37,386
BT Group PLC
1,719,708
4,337
Bunzl PLC
97,819
3,413
Centrica PLC
1,392,756
3,156
CK Hutchison Holdings Ltd.
807,638
6,865
Coca-Cola Europacific Partners PLC
60,487
6,053
Compass Group PLC
513,184
16,581
Diageo PLC
671,509
13,497
GSK PLC
1,224,717
32,135
Halma PLC
111,642
5,833
HSBC Holdings PLC
5,187,100
98,531
Imperial Brands PLC
223,416
8,261
Informa PLC
384,082
4,609
International Consolidated Airlines
Group S.A. - CDI
349,712
2,219
Intertek Group PLC
46,117
3,553
J Sainsbury PLC
526,150
2,233
Kingfisher PLC
511,284
1,923
Land Securities Group PLC
224,590
1,941
Legal & General Group PLC
1,579,951
6,000
Lloyds Banking Group PLC
17,677,757
26,085
EQUITY FUNDS 64 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
United Kingdom – 10.7%continued
London Stock Exchange Group PLC
134,566
$14,572
M&G PLC
675,766
3,015
Marks & Spencer Group PLC
623,070
3,076
Melrose Industries PLC
376,024
2,371
National Grid PLC
1,500,728
24,847
NatWest Group PLC
2,409,317
21,236
Next PLC
34,657
6,688
Pearson PLC
142,268
2,259
Reckitt Benckiser Group PLC
193,803
12,635
RELX PLC
539,079
16,980
Rentokil Initial PLC
762,628
4,318
Rolls-Royce Holdings PLC
2,536,010
48,692
Sage Group (The) PLC
281,271
3,046
Schroders PLC
243,105
1,895
Segro PLC
367,656
4,272
Severn Trent PLC
82,077
3,208
Smith & Nephew PLC
231,064
3,321
Smiths Group PLC
93,409
3,174
Spirax Group PLC
22,778
2,067
SSE PLC
365,895
11,825
Standard Chartered PLC
537,036
14,556
Standard Life PLC
212,127
2,345
Tesco PLC
1,927,675
11,770
Unilever PLC
659,469
39,583
United Utilities Group PLC
223,504
3,878
Verisure PLC* †
73,331
818
Vodafone Group PLC
5,573,524
7,364
Wise Group PLC, Class A*
216,756
2,601
 
719,318
United States – 7.1%
Aegon Ltd.
371,343
3,157
Alcon A.G.
150,679
10,189
AP Moller - Maersk A/S, Class A
756
1,744
AP Moller - Maersk A/S, Class B
991
2,351
BP PLC
4,739,927
29,171
Buzzi S.p.A.
23,220
1,189
Experian PLC
271,968
9,146
Ferrovial N.V.
144,603
9,920
Haleon PLC
2,688,439
12,405
Holcim A.G.*
153,978
13,941
InterContinental Hotels Group PLC
43,063
7,428
Novartis A.G. (Registered)
552,858
86,570
Octave Intelligence PLC SDR*
61,236
988
QIAGEN N.V.
62,394
2,418
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.8% (1)continued
United States – 7.1%continued
Roche Holding A.G.
211,664
$87,126
Roche Holding A.G. (Bearer)
9,261
3,889
Sanofi S.A.
329,280
28,138
Schneider Electric S.E.
165,497
54,297
Shell PLC
1,695,423
65,671
Spotify Technology S.A.*
44,286
20,333
Stellantis N.V.* †
611,901
3,482
Sunbelt Rentals Holdings, Inc.
123,861
9,040
Swiss Re A.G.
90,174
14,347
Tenaris S.A.
97,041
2,685
 
479,625
Total Common Stocks
(Cost $3,020,969)
6,511,616
 
CONVERTIBLE PREFERRED STOCKS – 0.1% (1)
Germany – 0.1%
Dr. Ing hc F Porsche A.G., 2.33%(4)
33,533
1,668
Porsche Automobil Holding S.E.,
5.58%(4)
45,648
1,406
Sartorius A.G., 0.32%(4)
7,623
2,000
Volkswagen A.G., 7.51%(4)
62,008
4,968
 
10,042
Total Convertible Preferred Stocks
(Cost $13,503)
10,042
 
PREFERRED STOCKS – 0.1% (1)
Germany – 0.1%
Bayerische Motoren Werke A.G.,
7.72%(4)
15,738
1,033
Henkel A.G. & Co. KGaA, 2.82%(4)
44,354
3,728
 
4,761
Total Preferred Stocks
(Cost $3,038)
4,761
 
RIGHTS – 0.0%
Spain – 0.0%
ACS Actividades de Construccion y
Servicios S.A.*
53,287
112
Total Rights
(Cost $113)
112
 
INVESTMENT COMPANIES – 2.1%
iShares Core MSCI EAFE ETF
534,000
51,574
NORTHERN FUNDS QUARTERLY REPORT 65 EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 2.1%continued
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(5) (6) (7)
5,932,991
$5,933
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(5) (6)
82,899,389
82,899
Total Investment Companies
(Cost $135,259)
140,406
 
Total Investments – 99.1%
(Cost $3,172,882)
6,666,937
Other Assets less Liabilities – 0.9%
60,909
Net Assets – 100.0%
$6,727,846
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Security exempt from registration pursuant to Rule 144A under the Securities
Act of 1933, as amended. These securities may be resold in transactions
exempt from registration to qualified institutional investors. At June 30, 2026,
the value of these securities amounted to approximately $12,574,000 or
0.2% of net assets.
(3)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(4)
Current yield is disclosed. Dividends are calculated based on a percentage
of the issuer's net income.
(5)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(6)
7-day current yield as of June 30, 2026 is disclosed.
(7)
Investment of cash collateral received from securities lending activities.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
CDI – CREST Depository Interest
 
EAFE – Europe, Australasia and the Far East
 
ETF – Exchange-Traded Fund
 
FTSE – Financial Times Stock Exchange
 
MSCI – Morgan Stanley Capital International
 
SDR – Swedish Depositary Receipt
 
SPI – Standardized Precipitation Index
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had outstanding forward foreign currency exchange contracts as follows: 
COUNTERPARTY
CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Citibank
British Pound
1,180
United States
Dollar
1,590
9/16/26
$25
Citibank
Euro
4,400
United States
Dollar
5,157
9/16/26
113
Citibank
Japanese Yen
500,000
United States
Dollar
3,168
9/16/26
73
JPMorgan Chase
Euro
5,200
United States
Dollar
6,084
9/16/26
123
JPMorgan Chase
Swiss Franc
7,150
United States
Dollar
9,215
9/16/26
288
Morgan Stanley
Australian
Dollar
1,692
United States
Dollar
1,204
9/16/26
35
Morgan Stanley
British Pound
3,100
United States
Dollar
4,166
9/16/26
54
Morgan Stanley
Swedish Krona
8,820
United States
Dollar
960
9/16/26
46
Toronto-Dominion
Bank
Japanese Yen
1,089,940
United States
Dollar
6,898
9/16/26
151
UBS
Swiss Franc
2,530
United States
Dollar
3,275
9/16/26
116
Subtotal Appreciation
 
 
1,024
Total
 
 
 
$1,024
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Euro Stoxx 50
(Euro)
64
$4,648
Long
9/26
$39
FTSE 100
Index (British
Pound)
19
2,657
Long
9/26
(13
)
Hang Seng
Index (Hong
Kong Dollar)
2
291
Long
7/26
(4
)
MSCI EAFE
Index
(United States
Dollar)
875
137,607
Long
9/26
(305
)
SPI 200 Index
(Australian
Dollar)
8
1,215
Long
9/26
(15
)
Topix Index
(Japanese
Yen)
12
2,954
Long
9/26
88
Total
$(210
)
EQUITY FUNDS 66 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Financials
25.2
%
Industrials
18.3
Information Technology
11.8
Health Care
10.2
Consumer Discretionary
7.5
Consumer Staples
6.5
Materials
5.9
Utilities
4.1
Communication Services
3.6
Energy
3.3
Real Estate
1.4
Short-Term Investments
1.3
Total Investments
99.1
Other Assets less Liabilities
0.9
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Guatemala
$2,541
$
$
$2,541
Hong Kong
1,385
100,380
101,765
Ireland
7,085
21,890
28,975
Israel
15,010
59,755
74,765
Netherlands
16,831
382,311
399,142
Singapore
13,654
106,708
120,362
United Kingdom
6,053
713,265
719,318
United States
21,321
458,304
479,625
All Other Countries(1)
4,585,123
4,585,123
Total Common Stocks
83,880
6,427,736
6,511,616
Convertible Preferred
Stocks
10,042
10,042
Preferred Stocks
4,761
4,761
Rights
112
112
Investment Companies
140,406
140,406
Total Investments
$224,398
$6,442,539
$
$6,666,937
OTHER FINANCIAL
INSTRUMENTS
Assets
Forward Foreign
Currency Exchange
Contracts
$
$1,024
$
$1,024
Futures Contracts
127
127
Liabilities
Futures Contracts
(337
)
(337
)
Total Other Financial
Instruments
$(210
)
$1,024
$
$814
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$6,102
$35,766
$35,935
$5,933
5,932,991
$9
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
93,066
134,818
144,985
82,899
82,899,389
805
Total
$99,168
$170,584
$180,920
$88,832
88,832,380
$814
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
NORTHERN FUNDS QUARTERLY REPORT 67 EQUITY FUNDS

Schedule of Investments
LARGE CAP CORE FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.4%
Aerospace & Defense – 2.6%
General Dynamics Corp.
7,578
$2,684
General Electric Co.
9,921
3,708
Lockheed Martin Corp.
5,679
2,893
 
9,285
Air Freight & Logistics – 1.1%
C.H. Robinson Worldwide, Inc.
10,167
1,915
Expeditors International of Washington,
Inc.
9,308
1,517
United Parcel Service, Inc., Class B
4,562
490
 
3,922
Automobile Components – 0.4%
BorgWarner, Inc.
19,867
1,319
Automobiles – 1.3%
General Motors Co.
4,415
340
Tesla, Inc.*
10,223
4,300
 
4,640
Banks – 3.6%
Bank of America Corp.
43,898
2,502
Citigroup, Inc.
21,001
2,939
JPMorgan Chase & Co.
18,669
6,111
U.S. Bancorp
21,953
1,326
 
12,878
Beverages – 0.6%
Brown-Forman Corp., Class B
3,679
98
Molson Coors Beverage Co., Class B
22,704
884
Monster Beverage Corp.*
9,640
927
PepsiCo, Inc.
2,982
404
 
2,313
Biotechnology – 1.3%
AbbVie, Inc.
4,973
1,252
Amgen, Inc.
9,260
3,353
 
4,605
Broadline Retail – 3.8%
Amazon.com, Inc.*
50,497
12,036
eBay, Inc.
14,079
1,573
 
13,609
Capital Markets – 3.2%
Affiliated Managers Group, Inc.
3,917
1,326
Bank of New York Mellon (The) Corp.
17,555
2,539
Franklin Resources, Inc.
28,117
935
Goldman Sachs Group (The), Inc.
3,764
3,807
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.4%continued
Capital Markets – 3.2%continued
Morgan Stanley
216
$45
State Street Corp.
16,299
2,764
 
11,416
Chemicals – 0.7%
CF Industries Holdings, Inc.
19,162
2,074
DuPont de Nemours, Inc.
3,575
485
 
2,559
Communications Equipment – 1.6%
Arista Networks, Inc.*
6,476
1,100
Cisco Systems, Inc.
40,573
4,766
 
5,866
Consumer Finance – 0.6%
Synchrony Financial
29,082
2,212
Consumer Staples Distribution & Retail – 1.1%
Costco Wholesale Corp.
554
518
Dollar General Corp.
3,705
426
Dollar Tree, Inc.*
10,891
1,317
Kroger (The) Co.
21,535
1,196
Walmart, Inc.
4,728
536
 
3,993
Containers & Packaging – 0.2%
Crown Holdings, Inc.
7,126
797
Diversified Consumer Services – 0.0%
H&R Block, Inc.
3,189
121
Diversified Telecommunication Services – 1.3%
AT&T, Inc.
76,874
1,591
Verizon Communications, Inc.
73,537
3,114
 
4,705
Electric Utilities – 1.6%
Constellation Energy Corp.
3,981
989
Edison International
119
9
Exelon Corp.
30,332
1,414
FirstEnergy Corp.
16,382
779
NRG Energy, Inc.
8,566
1,251
OGE Energy Corp.
1,677
82
PPL Corp.
39,017
1,418
 
5,942
Electrical Equipment – 0.6%
Emerson Electric Co.
2,809
402
GE Vernova, Inc.
1,644
1,932
 
2,334
EQUITY FUNDS 68 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.4%continued
Electronic Equipment, Instruments & Components – 0.8%
Amphenol Corp., Class A
12,328
$2,174
Jabil, Inc.
1,578
608
 
2,782
Entertainment – 0.3%
Netflix, Inc.*
15,439
1,102
Financial Services – 3.1%
Berkshire Hathaway, Inc., Class B*
9,690
4,849
Fiserv, Inc.*
12,518
614
Mastercard, Inc., Class A
205
105
MGIC Investment Corp.
80,041
2,257
PayPal Holdings, Inc.
39,783
1,718
Visa, Inc., Class A
2,920
1,002
WEX, Inc.*
4,508
636
 
11,181
Food Products – 0.4%
Archer-Daniels-Midland Co.
18,065
1,380
Ground Transportation – 0.4%
Union Pacific Corp.
4,773
1,298
Health Care Equipment & Supplies – 0.3%
Align Technology, Inc.*
3,163
534
Becton Dickinson & Co.
1,020
154
ResMed, Inc.
2,910
567
 
1,255
Health Care Providers & Services – 2.4%
Cardinal Health, Inc.
2,018
479
Cencora, Inc.
1,225
347
Cigna Group (The)
4,615
1,272
HCA Healthcare, Inc.
6,158
2,401
McKesson Corp.
3,217
2,431
UnitedHealth Group, Inc.
4,613
1,917
 
8,847
Hotel & Resort Real Estate Investment Trusts – 0.7%
Host Hotels & Resorts, Inc.
99,442
2,358
Hotels, Restaurants & Leisure – 2.4%
Booking Holdings, Inc.
16,240
2,895
Carnival Corp. Ltd.
33,988
971
Expedia Group, Inc.
5,463
1,398
Las Vegas Sands Corp.
44,802
2,069
Travel + Leisure Co.
17,308
1,323
 
8,656
Household Products – 1.1%
Procter & Gamble (The) Co.
26,617
3,903
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.4%continued
Industrial Conglomerates – 0.6%
3M Co.
14,502
$2,348
Insurance – 1.5%
Aflac, Inc.
9,100
1,067
Assured Guaranty Ltd.
98
8
Globe Life, Inc.
10,306
1,841
Reinsurance Group of America, Inc.
10,673
2,270
RenaissanceRe Holdings Ltd.
912
289
 
5,475
Interactive Media & Services – 8.2%
Alphabet, Inc., Class A
65,193
23,298
Meta Platforms, Inc., Class A
11,160
6,286
 
29,584
IT Services – 0.6%
Accenture PLC, Class A
8,153
1,014
International Business Machines Corp.
4,060
1,142
 
2,156
Life Sciences Tools & Services – 0.4%
Medpace Holdings, Inc.*
2,666
1,412
Machinery – 2.5%
Allison Transmission Holdings, Inc.
6,303
711
Caterpillar, Inc.
5,124
5,457
Illinois Tool Works, Inc.
9,999
2,704
 
8,872
Media – 0.1%
Fox Corp., Class A
7,017
366
Metals & Mining – 0.6%
Newmont Corp.
25,161
2,350
Multi-Utilities – 0.5%
Consolidated Edison, Inc.
7,034
778
Public Service Enterprise Group, Inc.
10,567
858
 
1,636
Oil, Gas & Consumable Fuels – 3.0%
APA Corp.
62,670
2,041
Devon Energy Corp.
28,254
1,167
EOG Resources, Inc.
726
94
Exxon Mobil Corp.
8,219
1,124
HF Sinclair Corp.
18,292
1,274
Marathon Petroleum Corp.
5,858
1,498
Occidental Petroleum Corp.
15,094
733
Ovintiv, Inc.
3,907
206
Valero Energy Corp.
10,609
2,763
 
10,900
NORTHERN FUNDS QUARTERLY REPORT 69 EQUITY FUNDS

Schedule of Investments
LARGE CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.4%continued
Pharmaceuticals – 4.2%
Bristol-Myers Squibb Co.
53,939
$3,108
Eli Lilly & Co.
4,278
5,131
Johnson & Johnson
22,472
5,707
Merck & Co., Inc.
5,765
741
Pfizer, Inc.
18,245
439
 
15,126
Professional Services – 1.2%
Automatic Data Processing, Inc.
12,473
2,793
Broadridge Financial Solutions, Inc.
1,676
230
Leidos Holdings, Inc.
9,419
970
Paycom Software, Inc.
4,114
517
 
4,510
Real Estate Management & Development – 0.8%
CBRE Group, Inc., Class A*
8,498
1,145
Jones Lang LaSalle, Inc.*
5,083
1,575
 
2,720
Retail Real Estate Investment Trusts – 0.5%
Simon Property Group, Inc.
8,629
1,930
Semiconductors & Semiconductor Equipment – 18.9%
Advanced Micro Devices, Inc.*
7,339
4,263
Analog Devices, Inc.
3,889
1,545
Applied Materials, Inc.
2,689
1,944
Broadcom, Inc.
31,478
11,891
Intel Corp.*
13,638
1,904
KLA Corp.
16,790
5,066
Lam Research Corp.
5,976
2,590
Micron Technology, Inc.
7,021
8,104
NVIDIA Corp.
147,289
29,471
QUALCOMM, Inc.
8,622
1,593
 
68,371
Software – 6.6%
Adobe, Inc.*
10,362
2,124
AppLovin Corp., Class A*
2,510
1,293
Autodesk, Inc.*
1,573
306
Fortinet, Inc.*
3,710
570
Gen Digital, Inc.
9,100
226
Intuit, Inc.
3,644
951
Microsoft Corp.
41,669
15,543
Oracle Corp.
3,443
505
Palantir Technologies, Inc., Class A*
10,429
1,217
PTC, Inc.*
2,230
253
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.4%continued
Software – 6.6%continued
Salesforce, Inc.
4,063
$637
Zoom Communications, Inc.*
3,440
297
 
23,922
Specialty Retail – 0.8%
Bath & Body Works, Inc.
39,728
919
Gap (The), Inc.
9,510
178
Home Depot (The), Inc.
3,137
1,106
Ross Stores, Inc.
977
208
Ulta Beauty, Inc.*
702
316
 
2,727
Technology Hardware, Storage & Peripherals – 8.8%
Apple, Inc.
89,939
26,025
Dell Technologies, Inc., Class C
1,715
740
Sandisk Corp.*
787
1,789
Western Digital Corp.
4,845
3,095
 
31,649
Textiles, Apparel & Luxury Goods – 0.7%
Deckers Outdoor Corp.*
8,120
806
Tapestry, Inc.
12,418
1,818
 
2,624
Tobacco – 1.4%
Altria Group, Inc.
42,685
3,071
Philip Morris International, Inc.
10,883
1,969
 
5,040
Total Common Stocks
(Cost $186,287)
358,996
 
INVESTMENT COMPANIES – 0.6%
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(1) (2)
2,002,866
2,003
Total Investment Companies
(Cost $2,003)
2,003
EQUITY FUNDS 70 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.0%
U.S. Treasury Bill,
3.59%, 10/15/26(3) (4)
$131
$130
Total Short-Term Investments
(Cost $130)
130
 
Total Investments – 100.0%
(Cost $188,420)
361,129
Other Assets less Liabilities – 0.0%
49
NET ASSETS – 100.0%
$361,178
(1)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(2)
7-day current yield as of June 30, 2026 is disclosed.
(3)
Discount rate at the time of purchase.
(4)
Security pledged as collateral to cover margin requirements for open futures
contracts.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P
500
5
$1,887
Long
9/26
$16
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1)
$358,996
$
$
$358,996
Investment Companies
2,003
2,003
Short-Term Investments
130
130
Total Investments
$360,999
$130
$
$361,129
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$16
$
$
$16
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$1,120
$8
$1,128
$
$
(1),*
Northern Institutional Funds - U.S. Government Portfolio (Shares)
2,418
4,110
4,525
2,003
2,002,866
22
Total
$3,538
$4,118
$5,653
$2,003
2,002,866
$22
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
*
Amount rounds to less than one thousand.
NORTHERN FUNDS QUARTERLY REPORT 71 EQUITY FUNDS

Schedule of Investments
LARGE CAP VALUE FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.2%
Aerospace & Defense – 0.9%
General Dynamics Corp.
1,304
$462
RTX Corp.
1,063
202
 
664
Air Freight & Logistics – 0.6%
United Parcel Service, Inc., Class B
3,949
425
Automobile Components – 0.4%
BorgWarner, Inc.
3,909
260
Gentex Corp.
2,299
58
 
318
Automobiles – 0.1%
Ford Motor Co.
2,778
39
General Motors Co.
897
69
 
108
Banks – 7.1%
Bank of America Corp.
19,892
1,133
Citigroup, Inc.
4,336
607
First Hawaiian, Inc.
5,215
153
JPMorgan Chase & Co.
7,657
2,506
PNC Financial Services Group (The),
Inc.
513
126
Truist Financial Corp.
1,924
96
U.S. Bancorp
2,180
132
Wells Fargo & Co.
5,372
444
 
5,197
Beverages – 0.8%
Brown-Forman Corp., Class B
5,903
157
Constellation Brands, Inc., Class A
580
81
Molson Coors Beverage Co., Class B
9,460
369
 
607
Biotechnology – 3.1%
Gilead Sciences, Inc.
8,289
1,047
Halozyme Therapeutics, Inc.*
670
52
Neurocrine Biosciences, Inc.*
2,076
350
Regeneron Pharmaceuticals, Inc.
142
89
United Therapeutics Corp.*
752
407
Vertex Pharmaceuticals, Inc.*
588
292
 
2,237
Broadline Retail – 6.0%
Amazon.com, Inc.*
16,604
3,957
eBay, Inc.
3,990
446
 
4,403
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Building Products – 1.2%
A.O. Smith Corp.
5,610
$352
Carlisle Cos., Inc.
335
122
Johnson Controls International PLC
2,919
426
 
900
Capital Markets – 5.8%
Bank of New York Mellon (The) Corp.
3,278
474
Charles Schwab (The) Corp.
2,637
243
Franklin Resources, Inc.
2,165
72
Goldman Sachs Group (The), Inc.
1,300
1,315
Invesco Ltd.
966
26
Morgan Stanley
3,815
797
Raymond James Financial, Inc.
2,799
426
State Street Corp.
2,726
462
T. Rowe Price Group, Inc.
3,608
410
 
4,225
Chemicals – 1.7%
CF Industries Holdings, Inc.
3,015
327
DuPont de Nemours, Inc.
2,656
360
Eastman Chemical Co.
4,938
331
Mosaic (The) Co.
2,883
61
NewMarket Corp.
253
200
 
1,279
Commercial Services & Supplies – 0.6%
Copart, Inc.*
14,739
415
Communications Equipment – 2.7%
Arista Networks, Inc.*
525
89
Cisco Systems, Inc.
12,687
1,490
F5, Inc.*
1,001
417
 
1,996
Construction & Engineering – 0.3%
Valmont Industries, Inc.
356
206
Consumer Finance – 0.9%
Ally Financial, Inc.
223
10
OneMain Holdings, Inc.
699
43
SLM Corp.
8,926
231
Synchrony Financial
4,982
379
 
663
Consumer Staples Distribution & Retail – 2.7%
Dollar General Corp.
1,831
211
Dollar Tree, Inc.*
1,946
235
Kroger (The) Co.
2,135
119
Target Corp.
4,625
604
EQUITY FUNDS 72 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Consumer Staples Distribution & Retail – 2.7%continued
U.S. Foods Holding Corp.*
2,222
$227
Walmart, Inc.
5,005
567
 
1,963
Diversified Telecommunication Services – 0.2%
Comcast Corp., Class A
4,576
113
Verizon Communications, Inc.
287
12
 
125
Electric Utilities – 2.8%
Duke Energy Corp.
2,916
369
Edison International
5,595
417
Evergy, Inc.
2,559
221
Exelon Corp.
8,875
414
OGE Energy Corp.
7,808
380
PPL Corp.
5,873
213
 
2,014
Electrical Equipment – 0.3%
Hubbell, Inc.
436
228
Electronic Equipment, Instruments & Components – 0.3%
Flex Ltd.*
1,335
216
Entertainment – 0.4%
Electronic Arts, Inc.
734
151
Roku, Inc.*
930
128
 
279
Financial Services – 2.5%
Berkshire Hathaway, Inc., Class B*
3,252
1,627
Euronet Worldwide, Inc.*
571
42
MGIC Investment Corp.
5,816
164
PayPal Holdings, Inc.
187
8
 
1,841
Food Products – 1.2%
Archer-Daniels-Midland Co.
3,166
242
Conagra Brands, Inc.
2,558
35
Ingredion, Inc.
264
25
J.M. Smucker (The) Co.
1,690
190
Kraft Heinz (The) Co.
16,776
396
 
888
Gas Utilities – 0.7%
MDU Resources Group, Inc.
8,893
189
UGI Corp.
8,626
298
 
487
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Ground Transportation – 0.8%
JB Hunt Transport Services, Inc.
1,416
$410
Landstar System, Inc.
688
142
 
552
Health Care Equipment & Supplies – 0.8%
Align Technology, Inc.*
1,968
332
Edwards Lifesciences Corp.*
2,585
234
 
566
Health Care Providers & Services – 1.8%
Cigna Group (The)
835
230
Elevance Health, Inc.
1,356
525
UnitedHealth Group, Inc.
1,362
566
 
1,321
Hotel & Resort Real Estate Investment Trusts – 0.5%
Host Hotels & Resorts, Inc.
15,976
379
Hotels, Restaurants & Leisure – 0.2%
Boyd Gaming Corp.
1,869
165
Household Durables – 0.8%
Garmin Ltd.
722
172
Mohawk Industries, Inc.*
304
37
NVR, Inc.*
48
327
PulteGroup, Inc.
525
72
 
608
Household Products – 1.2%
Procter & Gamble (The) Co.
5,995
879
Independent Power & Renewable Electricity Producers – 0.5%
AES (The) Corp.
23,696
347
Insurance – 4.1%
Aflac, Inc.
2,442
286
Allstate (The) Corp.
221
53
American International Group, Inc.
2,023
151
Assured Guaranty Ltd.
3,285
263
Brighthouse Financial, Inc.*
2,995
190
Loews Corp.
1,940
220
MetLife, Inc.
3,504
296
Prudential Financial, Inc.
4,039
436
Reinsurance Group of America, Inc.
1,826
388
Travelers (The) Cos., Inc.
2,160
713
 
2,996
Interactive Media & Services – 2.5%
Alphabet, Inc., Class A
4,112
1,469
Meta Platforms, Inc., Class A
685
386
 
1,855
NORTHERN FUNDS QUARTERLY REPORT 73 EQUITY FUNDS

Schedule of Investments
LARGE CAP VALUE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
IT Services – 1.0%
Accenture PLC, Class A
668
$83
EPAM Systems, Inc.*
819
65
International Business Machines Corp.
2,211
622
 
770
Machinery – 3.0%
Allison Transmission Holdings, Inc.
1,720
194
Cummins, Inc.
49
35
Donaldson Co., Inc.
3,836
344
Dover Corp.
936
210
Graco, Inc.
750
57
Mueller Industries, Inc.
3,148
387
Nordson Corp.
709
214
Snap-on, Inc.
922
371
Toro (The) Co.
3,682
358
 
2,170
Media – 1.0%
Charter Communications, Inc., Class A*
155
22
Fox Corp., Class A
2,399
125
New York Times (The) Co., Class A
2,326
163
Nexstar Media Group, Inc.
1,123
201
Trade Desk (The), Inc., Class A*
11,478
207
Versant Media Group, Inc.(1)
1
 
718
Metals & Mining – 1.5%
Alcoa Corp.
2,903
151
Newmont Corp.
9,871
922
Reliance, Inc.
158
59
 
1,132
Multi-Utilities – 1.5%
Consolidated Edison, Inc.
3,990
441
Dominion Energy, Inc.
3,096
211
Public Service Enterprise Group, Inc.
5,429
441
 
1,093
Office Real Estate Investment Trusts – 0.2%
Kilroy Realty Corp.
4,677
175
Oil, Gas & Consumable Fuels – 4.3%
APA Corp.
9,483
309
Chevron Corp.
1,623
269
Devon Energy Corp.
3,814
158
EOG Resources, Inc.
2,728
354
Exxon Mobil Corp.
7,985
1,092
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Oil, Gas & Consumable Fuels – 4.3%continued
Occidental Petroleum Corp.
8,886
$431
Valero Energy Corp.
1,901
495
 
3,108
Passenger Airlines – 0.0%
United Airlines Holdings, Inc.*
82
11
Personal Care Products – 0.0%
Estee Lauder (The) Cos., Inc., Class A
196
15
Pharmaceuticals – 5.4%
Bristol-Myers Squibb Co.
10,524
606
Jazz Pharmaceuticals PLC*
555
134
Johnson & Johnson
5,099
1,295
Merck & Co., Inc.
7,167
921
Pfizer, Inc.
41,449
998
 
3,954
Professional Services – 1.3%
Booz Allen Hamilton Holding Corp.
6,052
367
ExlService Holdings, Inc.*
9,451
244
Leidos Holdings, Inc.
738
76
Paycom Software, Inc.
1,628
205
Science Applications International
Corp.
58
6
SS&C Technologies Holdings, Inc.
1,365
85
 
983
Real Estate Management & Development – 0.5%
Jones Lang LaSalle, Inc.*
1,136
352
Residential Real Estate Investment Trusts – 1.6%
AvalonBay Communities, Inc.
2,026
382
Camden Property Trust
3,316
380
Equity Residential
5,881
399
 
1,161
Retail Real Estate Investment Trusts – 0.6%
Brixmor Property Group, Inc.
6,317
199
Regency Centers Corp.
2,608
208
 
407
Semiconductors & Semiconductor Equipment – 5.3%
Applied Materials, Inc.
1,113
805
Cirrus Logic, Inc.*
649
96
Intel Corp.*
6,177
862
Micron Technology, Inc.
1,270
1,466
QUALCOMM, Inc.
3,366
622
Texas Instruments, Inc.
43
13
 
3,864
EQUITY FUNDS 74 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Software – 5.0%
Adobe, Inc.*
446
$92
Docusign, Inc.*
3,454
154
Intuit, Inc.
105
27
Microsoft Corp.
8,102
3,022
Zoom Communications, Inc.*
3,767
325
 
3,620
Specialized Real Estate Investment Trusts – 1.6%
EPR Properties
6,314
366
Gaming and Leisure Properties, Inc.
8,475
378
VICI Properties, Inc.
15,592
414
 
1,158
Specialty Retail – 0.9%
Best Buy Co., Inc.
2,607
198
Ross Stores, Inc.
361
77
Ulta Beauty, Inc.*
861
388
 
663
Technology Hardware, Storage & Peripherals – 5.6%
Apple, Inc.
11,567
3,347
Western Digital Corp.
1,112
710
 
4,057
Textiles, Apparel & Luxury Goods – 0.8%
Deckers Outdoor Corp.*
2,774
276
Lululemon Athletica, Inc.*
1,799
205
Ralph Lauren Corp.
265
106
 
587
Trading Companies & Distributors – 1.3%
Ferguson Enterprises, Inc.
1,894
450
MSC Industrial Direct Co., Inc., Class A
602
71
Watsco, Inc.
957
399
 
920
Wireless Telecommunication Services – 0.3%
Millicom International Cellular S.A.
2,155
196
Total Common Stocks
(Cost $56,024)
72,466
 
 
NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 1.1%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(2) (3) (4)
334,275
$334
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(2) (3)
445,594
446
Total Investment Companies
(Cost $780)
780
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.0%
U.S. Treasury Bill,
3.59%, 10/15/26(5) (6)
$31
$31
Total Short-Term Investments
(Cost $31)
31
 
Total Investments – 100.3%
(Cost $56,835)
73,277
Liabilities less Other Assets – (0.3%)
(237
)
NET ASSETS – 100.0%
$73,040
(1)
Value rounds to less than one thousand.
(2)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(3)
7-day current yield as of June 30, 2026 is disclosed.
(4)
Investment of cash collateral received from securities lending activities.
(5)
Discount rate at the time of purchase.
(6)
Security pledged as collateral to cover margin requirements for open futures
contracts.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Micro E-Mini
S&P 500
Index
10
$377
Long
9/26
$2
NORTHERN FUNDS QUARTERLY REPORT 75 EQUITY FUNDS

Schedule of Investments
LARGE CAP VALUE FUNDcontinued
June 30, 2026 (UNAUDITED)
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1)
$72,466
$
$
$72,466
Investment Companies
780
780
Short-Term Investments
31
31
Total Investments
$73,246
$31
$
$73,277
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$2
$
$
$2
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$1,222
$1,882
$2,770
$334
334,275
$
(1),*
Northern Institutional Funds - U.S. Government Portfolio (Shares)
429
1,855
1,838
446
445,594
4
Total
$1,651
$3,737
$4,608
$780
779,869
$4
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
*
Amount rounds to less than one thousand.
EQUITY FUNDS 76 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
MID CAP INDEX FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.2%
Aerospace & Defense – 4.6%
AeroVironment, Inc.* †
20,963
$3,460
ATI, Inc.*
88,707
17,484
BWX Technologies, Inc.
59,555
11,592
Carpenter Technology Corp.
32,296
19,922
Curtiss-Wright Corp.
24,016
18,198
Hexcel Corp.
49,043
4,907
Kratos Defense & Security Solutions,
Inc.* †
121,898
6,078
Moog, Inc., Class A
18,488
7,836
StandardAero, Inc.* †
123,226
3,686
Woodward, Inc.
38,731
16,478
 
109,641
Air Freight & Logistics – 0.2%
GXO Logistics, Inc.*
74,789
3,792
Automobile Components – 1.0%
Autoliv, Inc.
44,787
5,203
BorgWarner, Inc.
133,348
8,854
Gentex Corp.
138,508
3,500
Goodyear Tire & Rubber (The) Co.*
187,059
1,235
Lear Corp.
32,584
4,368
Visteon Corp.
17,369
1,723
 
24,883
Automobiles – 0.2%
Harley-Davidson, Inc.
67,790
1,658
Thor Industries, Inc.
34,220
2,572
 
4,230
Banks – 5.9%
Associated Banc-Corp
106,456
3,276
Bank OZK
66,745
3,477
Columbia Banking System, Inc.
188,199
6,032
Commerce Bancshares, Inc.
88,084
5,087
Cullen/Frost Bankers, Inc.
40,812
6,306
East West Bancorp, Inc.
89,029
11,493
First Financial Bankshares, Inc.
84,816
2,934
First Horizon Corp.
308,456
7,909
Flagstar Bank N.A.
195,074
2,914
FNB Corp.
231,455
4,416
Glacier Bancorp, Inc.
83,751
4,320
Hancock Whitney Corp.
52,784
3,944
Home BancShares, Inc.
121,834
3,478
International Bancshares Corp.
35,183
2,672
Old National Bancorp
223,473
5,788
Pinnacle Financial Partners, Inc.
97,757
9,862
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Banks – 5.9%continued
Prosperity Bancshares, Inc.
65,550
$4,787
SouthState Bank Corp
63,472
6,341
Texas Capital Bancshares, Inc.
28,396
2,932
UMB Financial Corp.
46,405
6,625
United Bankshares, Inc.
89,349
4,095
Valley National Bancorp
309,775
4,538
Webster Financial Corp.
105,310
8,048
Western Alliance Bancorp
66,556
5,471
Wintrust Financial Corp.
43,815
7,042
Zions Bancorp N.A.
95,615
6,615
 
140,402
Beverages – 0.5%
Boston Beer (The) Co., Inc., Class A*
4,863
861
Celsius Holdings, Inc.*
103,023
3,017
Coca-Cola Consolidated, Inc.
36,735
7,013
 
10,891
Biotechnology – 3.1%
Arrowhead Pharmaceuticals, Inc.*
91,559
7,463
BioMarin Pharmaceutical, Inc.*
125,643
7,189
Cytokinetics, Inc.*
88,257
7,519
Exelixis, Inc.*
163,383
8,890
Halozyme Therapeutics, Inc.*
77,107
6,035
Neurocrine Biosciences, Inc.* †
65,358
11,015
Roivant Sciences Ltd.*
293,085
10,372
United Therapeutics Corp.*
27,591
14,950
 
73,433
Broadline Retail – 0.3%
Macy's, Inc.
171,458
4,038
Ollie's Bargain Outlet Holdings, Inc.* †
39,442
3,032
 
7,070
Building Products – 2.1%
AAON, Inc.
44,193
5,606
Advanced Drainage Systems, Inc.
46,586
7,312
Carlisle Cos., Inc.
26,244
9,520
Fortune Brands Innovations, Inc.
77,586
4,260
Louisiana-Pacific Corp.
41,352
3,253
Owens Corning
52,355
8,322
Simpson Manufacturing Co., Inc.
26,741
5,598
Trex Co., Inc.*
67,551
3,380
UFP Industries, Inc.
36,737
3,334
 
50,585
NORTHERN FUNDS QUARTERLY REPORT 77 EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Capital Markets – 2.3%
Affiliated Managers Group, Inc.
17,163
$5,808
Carlyle Group (The), Inc.
168,477
7,095
Evercore, Inc., Class A
25,143
8,585
Federated Hermes, Inc.
47,098
2,601
Hamilton Lane, Inc., Class A
26,576
2,095
Houlihan Lokey, Inc.
35,244
4,727
Janus Henderson Group PLC
80,105
4,161
Jefferies Financial Group, Inc.
106,316
5,314
Morningstar, Inc.
14,339
2,237
SEI Investments Co.
59,404
5,210
Stifel Financial Corp.
99,706
6,956
 
54,789
Chemicals – 1.6%
Ashland, Inc.
29,363
1,935
Avient Corp.
59,758
2,209
Axalta Coating Systems Ltd.*
139,172
4,762
Cabot Corp.
33,606
3,052
NewMarket Corp.
4,964
3,928
Olin Corp.
74,170
1,470
RPM International, Inc.
82,988
9,224
Scotts Miracle-Gro (The) Co.
28,828
1,963
Solstice Advanced Materials, Inc.
103,245
9,148
Westlake Corp.
21,675
1,582
 
39,273
Commercial Services & Supplies – 1.5%
Brink's (The) Co.
26,782
2,531
Clean Harbors, Inc.* †
32,286
9,645
MSA Safety, Inc.
23,586
4,118
RB Global, Inc.
121,083
14,100
Tetra Tech, Inc.
168,682
4,873
 
35,267
Communications Equipment – 0.3%
Viavi Solutions, Inc.*
152,036
7,260
Construction & Engineering – 3.2%
AECOM
83,555
5,832
API Group Corp.*
250,624
10,614
Dycom Industries, Inc.* †
19,513
9,866
Fluor Corp.*
90,791
4,756
IES Holdings, Inc.*
5,706
4,192
MasTec, Inc.*
40,051
16,664
Sterling Infrastructure, Inc.*
19,946
16,742
Valmont Industries, Inc.
12,620
7,289
 
75,955
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Construction Materials – 0.3%
Eagle Materials, Inc.
20,434
$4,598
Knife River Corp.*
36,896
3,086
 
7,684
Consumer Finance – 0.7%
Ally Financial, Inc.
181,338
8,332
FirstCash Holdings, Inc.
25,073
5,424
SLM Corp.
122,627
3,181
 
16,937
Consumer Staples Distribution & Retail – 2.0%
Albertsons Cos., Inc., Class A
231,563
3,133
BJ's Wholesale Club Holdings, Inc.*
83,003
7,240
Maplebear, Inc.* †
106,944
5,064
Performance Food Group Co.*
102,108
11,415
Sprouts Farmers Market, Inc.*
61,130
5,170
U.S. Foods Holding Corp.* †
143,144
14,636
 
46,658
Containers & Packaging – 0.9%
AptarGroup, Inc.
41,493
5,195
Crown Holdings, Inc.
71,829
8,032
Graphic Packaging Holding Co.
192,529
2,035
Greif, Inc., Class A
16,049
1,195
Silgan Holdings, Inc.
57,104
2,649
Sonoco Products Co.
64,313
3,624
 
22,730
Diversified Consumer Services – 0.7%
Duolingo, Inc.*
26,156
3,009
Graham Holdings Co., Class B
2,173
2,480
Grand Canyon Education, Inc.* †
17,046
2,440
H&R Block, Inc.
82,410
3,138
Service Corp. International
89,671
6,811
 
17,878
Diversified Real Estate Investment Trusts – 0.4%
Rayonier, Inc. - (Fractional Shares)(1)
50,000
WP Carey, Inc.
144,765
10,351
 
10,351
Electric Utilities – 0.8%
IDACORP, Inc.
35,981
5,444
OGE Energy Corp.
134,007
6,521
Portland General Electric Co.
75,258
3,901
TXNM Energy, Inc. (New York Stock
Exchange)
64,748
3,676
 
19,542
EQUITY FUNDS 78 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Electrical Equipment – 2.6%
Acuity, Inc.
19,575
$7,373
EnerSys
23,953
5,601
Nextpower, Inc., Class A*
96,509
11,498
nVent Electric PLC
105,118
17,829
Regal Rexnord Corp.
43,272
10,307
Sensata Technologies Holding PLC
94,538
4,513
Vicor Corp.*
15,188
5,768
 
62,889
Electronic Equipment, Instruments & Components – 4.1%
Advanced Energy Industries, Inc.
24,720
9,217
Arrow Electronics, Inc.*
33,235
7,093
Avnet, Inc.
53,317
4,736
Belden, Inc.
25,319
3,036
Cognex Corp.
108,173
7,834
Crane NXT Co.
32,186
1,647
Fabrinet*
23,289
13,090
IPG Photonics Corp.*
16,555
1,942
Littelfuse, Inc.
16,437
7,484
Novanta, Inc.* †
23,148
3,756
Sanmina Corp.* †
34,839
8,817
TD SYNNEX Corp.
48,598
12,992
TTM Technologies, Inc.*
67,503
12,624
Vontier Corp.
91,570
2,656
 
96,924
Energy Equipment & Services – 1.2%
NOV, Inc.
233,326
4,328
TechnipFMC PLC
259,134
17,181
Valaris Ltd.*
41,864
3,039
Weatherford International PLC
46,754
3,811
 
28,359
Entertainment – 0.6%
Roku, Inc.*
85,273
11,780
Warner Music Group Corp., Class A
95,061
2,573
 
14,353
Financial Services – 1.7%
Corebridge Financial, Inc.
157,387
4,506
Equitable Holdings, Inc.
183,023
8,031
Essent Group Ltd.
59,909
3,851
Euronet Worldwide, Inc.*
23,047
1,687
MGIC Investment Corp.
137,473
3,877
Shift4 Payments, Inc., Class A* †
38,177
1,857
Toast, Inc., Class A*
305,649
8,503
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Financial Services – 1.7%continued
Voya Financial, Inc.
58,932
$5,335
WEX, Inc.* †
22,542
3,180
 
40,827
Food Products – 0.6%
Darling Ingredients, Inc.*
103,303
5,643
Ingredion, Inc.
40,997
3,883
Marzetti (The) Co.
13,204
1,507
Pilgrim's Pride Corp.
27,820
782
Post Holdings, Inc.*
25,946
2,290
 
14,105
Gas Utilities – 1.0%
National Fuel Gas Co.
61,768
4,769
New Jersey Resources Corp.
65,604
3,676
ONE Gas, Inc.
40,839
3,147
Southwest Gas Holdings, Inc.
41,875
3,714
Spire, Inc.
38,453
3,003
UGI Corp.
139,364
4,814
 
23,123
Ground Transportation – 1.8%
Avis Budget Group, Inc.* †
11,023
1,630
Knight-Swift Transportation Holdings,
Inc.
105,615
8,224
Landstar System, Inc.
22,051
4,560
Ryder System, Inc.
25,150
6,634
Saia, Inc.*
17,336
7,301
XPO, Inc.* †
76,317
15,667
 
44,016
Health Care Equipment & Supplies – 1.2%
DENTSPLY SIRONA, Inc.
130,419
1,384
Envista Holdings Corp.*
105,795
2,788
Globus Medical, Inc., Class A*
73,650
5,819
Haemonetics Corp.*
30,210
2,266
Lantheus Holdings, Inc.*
42,317
4,694
LivaNova PLC*
35,710
2,936
Penumbra, Inc.* †
25,564
8,072
 
27,959
Health Care Providers & Services – 1.6%
Chemed Corp.
8,628
4,018
Encompass Health Corp.
64,479
6,518
Ensign Group (The), Inc.
37,670
6,038
HealthEquity, Inc.*
54,898
4,958
Hims & Hers Health, Inc.* †
137,755
4,776
NORTHERN FUNDS QUARTERLY REPORT 79 EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Health Care Providers & Services – 1.6%continued
Option Care Health, Inc.* †
102,094
$2,141
Tenet Healthcare Corp.*
55,991
10,475
 
38,924
Health Care Real Estate Investment Trusts – 1.2%
American Healthcare REIT, Inc.
125,240
6,531
CareTrust REIT, Inc.
153,520
6,195
Healthcare Realty Trust, Inc.
225,271
4,544
Omega Healthcare Investors, Inc.
193,566
9,229
Sabra Health Care REIT, Inc.
164,009
3,200
 
29,699
Health Care Technology – 0.1%
Doximity, Inc., Class A*
86,991
1,804
Hotel & Resort Real Estate Investment Trusts – 0.1%
Park Hotels & Resorts, Inc.
131,050
1,867
Hotels, Restaurants & Leisure – 2.5%
Aramark
170,933
9,726
Boyd Gaming Corp.
35,749
3,158
Cava Group, Inc.*
65,077
5,107
Choice Hotels International, Inc.
13,046
1,439
Churchill Downs, Inc.
43,050
3,859
Dutch Bros., Inc., Class A* †
82,936
5,956
Hilton Grand Vacations, Inc.*
38,566
2,020
Hyatt Hotels Corp., Class A
26,697
5,175
Planet Fitness, Inc., Class A*
51,486
2,686
Texas Roadhouse, Inc.
42,727
8,256
Travel + Leisure Co.
40,646
3,107
Vail Resorts, Inc.
23,199
3,158
Wingstop, Inc.
17,707
3,070
Wyndham Hotels & Resorts, Inc.
48,729
4,103
 
60,820
Household Durables – 1.8%
KB Home
40,162
2,514
SharkNinja, Inc.* †
45,996
7,004
Somnigroup International, Inc.
136,736
10,720
Taylor Morrison Home Corp.*
60,792
4,361
Toll Brothers, Inc.
61,680
10,162
TopBuild Corp.*
18,220
6,459
Whirlpool Corp.
41,756
1,646
 
42,866
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Independent Power & Renewable Electricity Producers – 0.7%
Ormat Technologies, Inc.
39,942
$4,350
Talen Energy Corp.*
29,507
11,338
 
15,688
Industrial Real Estate Investment Trusts – 0.9%
EastGroup Properties, Inc.
34,869
7,062
First Industrial Realty Trust, Inc.
86,152
5,282
Rexford Industrial Realty, Inc.
145,606
4,878
STAG Industrial, Inc.
124,249
4,729
 
21,951
Insurance – 3.4%
American Financial Group, Inc.
44,822
6,272
Brighthouse Financial, Inc.*
37,178
2,353
CNO Financial Group, Inc.
60,714
3,095
Fidelity National Financial, Inc.
164,444
7,755
First American Financial Corp.
66,243
4,544
Hanover Insurance Group (The), Inc.
22,741
4,869
Kinsale Capital Group, Inc.
14,240
4,697
Old Republic International Corp.
145,645
5,960
Primerica, Inc.
20,264
5,759
Reinsurance Group of America, Inc.
42,584
9,056
RenaissanceRe Holdings Ltd.
27,706
8,780
RLI Corp.
59,778
3,531
Ryan Specialty Holdings, Inc.
74,072
2,797
Selective Insurance Group, Inc.
38,923
3,776
Unum Group
95,540
8,541
 
81,785
Interactive Media & Services – 0.3%
Pinterest, Inc., Class A*
313,163
6,586
IT Services – 1.9%
DigitalOcean Holdings, Inc.*
52,912
8,309
Kyndryl Holdings, Inc.* †
146,717
1,660
Okta, Inc.*
108,980
14,870
Twilio, Inc., Class A*
98,653
20,355
 
45,194
Leisure Products – 0.5%
Brunswick Corp.
42,272
3,561
Mattel, Inc.* †
188,974
2,623
Polaris, Inc.
35,158
2,406
YETI Holdings, Inc.*
49,273
2,442
 
11,032
Life Sciences Tools & Services – 1.9%
Avantor, Inc.*
443,821
4,394
EQUITY FUNDS 80 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Life Sciences Tools & Services – 1.9%continued
Bio-Rad Laboratories, Inc., Class A*
11,708
$3,438
Bruker Corp.
72,230
4,347
Illumina, Inc.*
98,348
17,292
Medpace Holdings, Inc.*
14,666
7,767
Repligen Corp.*
34,464
4,702
Sotera Health Co.*
172,425
3,061
 
45,001
Machinery – 5.7%
AGCO Corp.
39,078
4,678
Chart Industries, Inc.*
29,221
6,106
CNH Industrial N.V.
572,445
6,429
Crane Co.
31,904
7,117
Donaldson Co., Inc.
75,291
6,759
Esab Corp.
37,208
3,670
Flowserve Corp.
83,078
6,161
Graco, Inc.
107,905
8,159
ITT, Inc.
58,111
11,492
Lincoln Electric Holdings, Inc.
35,616
9,456
Middleby (The) Corp.*
27,043
4,652
Mueller Industries, Inc.
71,871
8,835
Oshkosh Corp.
40,532
6,221
RBC Bearings, Inc.*
20,503
13,205
SPX Technologies, Inc.*
32,541
7,978
Terex Corp.
74,236
5,374
Timken (The) Co.
41,113
5,974
Toro (The) Co.
63,015
6,139
Watts Water Technologies, Inc., Class A
17,858
6,990
 
135,395
Marine Transportation – 0.2%
Kirby Corp.*
34,774
4,728
Media – 0.6%
New York Times (The) Co., Class A
104,691
7,326
Nexstar Media Group, Inc.
18,665
3,334
Sirius XM Holdings, Inc.
122,549
3,620
 
14,280
Metals & Mining – 2.6%
Alcoa Corp.
171,542
8,944
Cleveland-Cliffs, Inc.*
370,813
3,482
Coeur Mining, Inc.
672,462
10,975
Commercial Metals Co.
72,086
4,523
Hecla Mining Co.
435,998
6,728
MP Materials Corp.* †
87,950
4,926
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Metals & Mining – 2.6%continued
Reliance, Inc.
33,183
$12,397
Royal Gold, Inc.
52,965
10,572
 
62,547
Mortgage Real Estate Investment Trusts – 0.6%
Annaly Capital Management, Inc.
476,307
10,650
Starwood Property Trust, Inc.
226,635
3,712
 
14,362
Multi-Utilities – 0.3%
Black Hills Corp.
49,502
3,683
Northwestern Energy Group, Inc.
40,021
2,866
 
6,549
Office Real Estate Investment Trusts – 0.5%
COPT Defense Properties
73,470
2,674
Cousins Properties, Inc.
107,021
3,208
Kilroy Realty Corp.
69,579
2,607
Vornado Realty Trust
102,705
4,036
 
12,525
Oil, Gas & Consumable Fuels – 3.1%
Antero Midstream Corp.
216,124
4,917
Antero Resources Corp.*
191,313
6,723
Chord Energy Corp.
36,600
4,183
CNX Resources Corp.*
91,970
3,121
DT Midstream, Inc.
66,303
9,729
HF Sinclair Corp.
99,602
6,937
Matador Resources Co.
75,884
3,777
Murphy Oil Corp.
87,616
2,853
Ovintiv, Inc.
179,001
9,424
PBF Energy, Inc., Class A
54,610
2,486
Permian Resources Corp., Class A
511,564
9,418
Range Resources Corp.
153,138
5,695
Viper Energy, Inc., Class A
126,244
5,353
 
74,616
Passenger Airlines – 0.5%
Alaska Air Group, Inc.* †
72,469
3,783
American Airlines Group, Inc.*
430,026
7,770
 
11,553
Personal Care Products – 0.1%
elf Beauty, Inc.*
38,388
2,841
Pharmaceuticals – 0.7%
Elanco Animal Health, Inc.* †
324,663
7,990
Jazz Pharmaceuticals PLC*
40,786
9,828
 
17,818
NORTHERN FUNDS QUARTERLY REPORT 81 EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Professional Services – 2.0%
Booz Allen Hamilton Holding Corp.
78,400
$4,757
CACI International, Inc., Class A*
14,359
6,652
ExlService Holdings, Inc.*
99,345
2,569
Exponent, Inc.
31,559
1,855
FTI Consulting, Inc.* †
19,225
2,865
Genpact Ltd.
102,500
2,819
KBR, Inc.
82,454
2,847
Maximus, Inc.
34,175
1,837
Parsons Corp.*
34,380
1,801
Paylocity Holding Corp.*
28,187
2,946
Science Applications International
Corp.
28,026
3,094
TransUnion
125,324
9,041
UL Solutions, Inc., Class A
50,571
5,151
 
48,234
Real Estate Management & Development – 0.4%
Jones Lang LaSalle, Inc.*
30,155
9,347
Residential Real Estate Investment Trusts – 0.7%
American Homes 4 Rent, Class A
205,893
6,901
Equity LifeStyle Properties, Inc.
126,047
8,124
Independence Realty Trust, Inc.
153,309
2,559
 
17,584
Retail Real Estate Investment Trusts – 0.9%
Agree Realty Corp.
77,923
5,902
Brixmor Property Group, Inc.
199,392
6,287
Kite Realty Group Trust
132,021
3,747
NNN REIT, Inc.
123,656
5,753
 
21,689
Semiconductors & Semiconductor Equipment – 5.7%
Allegro MicroSystems, Inc.* †
80,694
5,618
Amkor Technology, Inc.
74,113
6,391
Cirrus Logic, Inc.*
33,149
4,924
Entegris, Inc.
99,127
17,829
Lattice Semiconductor Corp.*
89,055
13,622
MACOM Technology Solutions
Holdings, Inc.*
42,649
16,222
MKS, Inc.
43,904
19,528
Onto Innovation, Inc.*
32,334
12,237
Rambus, Inc.*
70,291
9,330
Semtech Corp.*
60,525
9,796
Silicon Laboratories, Inc.*
21,439
4,686
SiTime Corp.*
14,413
10,746
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Semiconductors & Semiconductor Equipment – 5.7%continued
Synaptics, Inc.*
25,118
$3,120
Universal Display Corp.
28,277
2,449
 
136,498
Software – 2.7%
Appfolio, Inc., Class A* †
15,617
2,504
Bentley Systems, Inc., Class B
96,864
2,895
BILL Holdings, Inc.*
57,627
2,084
Commvault Systems, Inc.*
26,814
3,800
Docusign, Inc.*
126,277
5,609
Dolby Laboratories, Inc., Class A
39,228
2,063
Dropbox, Inc., Class A*
97,307
2,673
Dynatrace, Inc.* †
191,479
8,408
Guidewire Software, Inc.* †
55,026
6,771
InterDigital, Inc.
16,799
4,756
Manhattan Associates, Inc.*
38,457
5,355
Nutanix, Inc., Class A*
172,384
8,785
Pegasystems, Inc.
58,661
1,758
Qualys, Inc.*
22,892
3,147
UiPath, Inc., Class A*
277,592
3,018
 
63,626
Specialized Real Estate Investment Trusts – 1.3%
CubeSmart
147,204
5,854
EPR Properties
49,777
2,888
Gaming and Leisure Properties, Inc.
184,106
8,198
Lamar Advertising Co., Class A
56,588
8,827
National Storage Affiliates Trust
46,195
2,054
Rayonier, Inc.
179,871
3,828
 
31,649
Specialty Retail – 3.0%
Abercrombie & Fitch Co., Class A*
29,086
2,618
AutoNation, Inc.* †
16,321
3,032
Bath & Body Works, Inc.
130,958
3,029
Burlington Stores, Inc.*
40,840
12,938
Chewy, Inc., Class A* †
156,159
3,069
Dick's Sporting Goods, Inc.
42,823
9,713
Five Below, Inc.*
35,943
6,462
Floor & Decor Holdings, Inc., Class A*
70,269
4,171
GameStop Corp., Class A* †
268,139
5,920
Gap (The), Inc.
144,896
2,707
Lithia Motors, Inc.
14,829
4,308
Murphy U.S.A., Inc.
10,926
5,888
Penske Automotive Group, Inc.
11,973
2,143
EQUITY FUNDS 82 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Specialty Retail – 3.0%continued
RH*
10,031
$1,652
Valvoline, Inc.* †
82,912
3,278
 
70,928
Technology Hardware, Storage & Peripherals – 0.7%
Everpure, Inc., Class A*
205,110
16,161
Textiles, Apparel & Luxury Goods – 0.5%
Capri Holdings Ltd.*
77,570
1,441
Columbia Sportswear Co.
15,662
968
Crocs, Inc.*
32,306
3,897
PVH Corp.
29,960
2,225
VF Corp.
213,735
3,565
 
12,096
Trading Companies & Distributors – 1.8%
Applied Industrial Technologies, Inc.
24,021
8,123
Core & Main, Inc., Class A* †
122,298
5,901
GATX Corp.
23,080
4,090
MSC Industrial Direct Co., Inc.,
Class A
29,762
3,540
Watsco, Inc.
22,754
9,482
WESCO International, Inc.
31,659
10,936
 
42,072
Water Utilities – 0.3%
Essential Utilities, Inc.
184,337
7,062
Total Common Stocks
(Cost $1,450,423)
2,369,183
 
INVESTMENT COMPANIES – 3.7%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(2) (3) (4)
60,552,092
60,552
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(2) (3)
27,456,473
27,456
Total Investment Companies
(Cost $88,008)
88,008
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
3.60%, 10/15/26(5) (6)
$1,949
$1,928
Total Short-Term Investments
(Cost $1,929)
1,928
 
Total Investments – 103.0%
(Cost $1,540,360)
2,459,119
Liabilities less Other Assets – (3.0%)
(71,543
)
NET ASSETS – 100.0%
$2,387,576
(1)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(2)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(3)
7-day current yield as of June 30, 2026 is disclosed.
(4)
Investment of cash collateral received from securities lending activities.
(5)
Discount rate at the time of purchase.
(6)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P
MidCap 400
77
$29,915
Long
9/26
$481
NORTHERN FUNDS QUARTERLY REPORT 83 EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUNDcontinued
June 30, 2026 (UNAUDITED)
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1)
$2,369,183
$
$
$2,369,183
Investment Companies
88,008
88,008
Short-Term Investments
1,928
1,928
Total Investments
$2,457,191
$1,928
$
$2,459,119
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$481
$
$
$481
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$38,366
$179,885
$157,699
$60,552
60,552,092
$57
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
38,753
31,922
43,219
27,456
27,456,473
304
Total
$77,119
$211,807
$200,918
$88,008
88,008,565
$361
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
EQUITY FUNDS 84 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
MULTI-MANAGER GLOBAL LISTED INFRASTRUCTURE FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.1% (1)
Australia – 4.7%
APA Group
903,802
$6,350
Atlas Arteria Ltd.
3,026,594
10,689
Cleanaway Waste Management Ltd.
1,744,400
2,846
Qube Holdings Ltd.
1,629,682
5,758
Transurban Group
2,026,897
20,233
 
45,876
Brazil – 1.1%
Cia Paranaense de Energia - Copel
1,126,547
3,284
Motiva Infraestrutura de Mobilidade
S.A.
1,426,640
4,035
Rumo S.A.
1,241,600
3,223
 
10,542
Canada – 5.4%
Ag Growth International, Inc.
13,778
196
Algonquin Power & Utilities Corp.
920,000
5,410
Canadian National Railway Co.
172,351
20,568
Enbridge, Inc.
65,876
3,572
Hydro One Ltd.
21,232
876
Keyera Corp.
112,863
4,534
Northland Power, Inc.
56,077
883
Rockpoint Gas Storage, Inc., Class A
42,283
876
TC Energy Corp.
239,505
15,861
 
52,776
China – 1.7%
Beijing Capital International Airport Co.
Ltd., Class H*
8,884,000
1,646
China Merchants Port Holdings Co. Ltd.
1,724,000
2,722
China Tower Corp. Ltd., Class H
4,026,749
4,532
China Water Affairs Group Ltd.
256,282
143
ENN Energy Holdings Ltd.
957,900
4,948
Guangdong Investment Ltd.
333,046
330
Zhejiang Expressway Co. Ltd., Class H
2,632,000
1,992
 
16,313
Denmark – 0.5%
Orsted A.S.(2) *
234,517
5,273
France – 5.9%
Aeroports de Paris S.A.
109,863
14,319
Eiffage S.A.
4,868
719
Engie S.A.
163,918
5,168
Getlink S.E.
535,203
11,382
Nexans S.A.
2,275
378
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.1% (1)continued
France – 5.9%continued
Veolia Environnement S.A.
37,017
$1,542
Vinci S.A.
170,915
24,997
 
58,505
Germany – 1.0%
E.ON S.E.
24,696
510
Fraport A.G. Frankfurt Airport Services
Worldwide
50,172
4,177
RWE A.G.
79,126
5,126
Siemens A.G. (Registered)
1,581
508
 
10,321
Hong Kong – 2.4%
CK Infrastructure Holdings Ltd.
802,800
6,127
CLP Holdings Ltd.
695,500
6,501
Power Assets Holdings Ltd.
1,458,320
10,641
 
23,269
India – 0.3%
GMR Airports Ltd.*
1,455,685
1,732
NTPC Ltd.
289,561
1,096
 
2,828
Italy – 6.1%
Enav S.p.A.
252,586
1,500
Enel S.p.A.
278,100
3,195
Hera S.p.A.
2,405,644
10,038
Infrastrutture Wireless Italiane S.p.A.
1,006,344
7,087
Italgas S.p.A.
603,474
6,989
Snam S.p.A.
2,472,193
17,794
Terna - Rete Elettrica Nazionale
1,182,726
13,838
 
60,441
Japan – 1.6%
East Japan Railway Co.
101,200
2,121
Japan Airport Terminal Co. Ltd.
139,500
4,344
Kansai Electric Power (The) Co., Inc.
193,000
2,712
Kurita Water Industries Ltd.
10,800
617
Osaka Gas Co. Ltd.
51,300
1,726
West Japan Railway Co.
231,700
3,886
 
15,406
Luxembourg – 0.4%
SES S.A.
480,924
3,938
Malaysia – 0.4%
Tenaga Nasional Bhd.
1,239,000
4,349
NORTHERN FUNDS QUARTERLY REPORT 85 EQUITY FUNDS

Schedule of Investments
MULTI-MANAGER GLOBAL LISTED INFRASTRUCTURE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.1% (1)continued
Mexico – 2.8%
Grupo Aeroportuario del Centro Norte
S.A.B. de C.V.
321,905
$4,550
Grupo Aeroportuario del Pacifico
S.A.B. de C.V., Class B
371,604
9,390
Grupo Aeroportuario del Sureste S.A.B.
de C.V., Class B
302,396
9,271
Promotora y Operadora de
Infraestructura S.A.B. de C.V.
251,791
3,999
 
27,210
Netherlands – 0.2%
Arcadis N.V.
15,616
600
Koninklijke Vopak N.V.
26,179
1,363
 
1,963
New Zealand – 0.9%
Auckland International Airport Ltd.
1,849,401
8,778
Philippines – 0.3%
International Container Terminal
Services, Inc.
203,610
2,973
Portugal – 0.2%
REN - Redes Energeticas Nacionais
SGPS S.A.
347,186
1,498
Spain – 6.0%
Aena SME S.A.(2)
868,416
26,472
Cellnex Telecom S.A.*
351,482
10,525
EDP Renewables S.A.
36,633
594
Iberdrola S.A.
854,636
21,330
 
58,921
Switzerland – 1.9%
Flughafen Zurich A.G. (Registered)
60,903
18,826
Landis+Gyr Group A.G.*
5,257
282
 
19,108
United Arab Emirates – 0.1%
Abu Dhabi Ports Co. PJSC*
1,153,537
1,483
United Kingdom – 8.3%
National Grid PLC
2,667,063
44,158
Pennon Group PLC
893,167
5,512
Severn Trent PLC
317,872
12,424
SSE PLC
41,377
1,337
United Utilities Group PLC
1,066,775
18,509
 
81,940
United States – 41.9%
Advanced Drainage Systems, Inc.
2,635
414
AECOM
6,387
446
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.1% (1)continued
United States – 41.9%continued
Alexandria Real Estate Equities, Inc.
3,942
$208
Alliant Energy Corp.
40,110
3,060
Ameren Corp.
16,316
1,844
American Electric Power Co., Inc.
156,604
21,425
American Tower Corp.
138,826
22,708
American Water Works Co., Inc.
5,300
697
Antero Midstream Corp.
64,600
1,470
Array Technologies, Inc.* †
42,833
317
Black Hills Corp.
38,041
2,830
Bunge Global S.A.
9,181
980
Cheniere Energy, Inc.
36,674
8,765
Clearway Energy, Inc., Class C
23,960
819
CMS Energy Corp.
33,876
2,591
Consolidated Edison, Inc.
87,399
9,669
Constellation Energy Corp.
18,563
4,610
Crown Castle, Inc.
306,955
23,246
CSX Corp.
219,324
10,424
Dominion Energy, Inc.
39,212
2,678
DT Midstream, Inc.
49,912
7,324
DTE Energy Co.
11,387
1,735
Duke Energy Corp.
112,345
14,221
Eaton Corp. PLC
890
379
Entergy Corp.
83,467
9,587
Equinix, Inc.
1,665
1,736
Essential Utilities, Inc.
26,117
1,001
Evergy, Inc.
138,011
11,928
Exelon Corp.
514,645
23,993
Ferrovial N.V.
183,964
12,620
First Solar, Inc.*
1,922
453
GFL Environmental, Inc.
167,288
6,155
HA Sustainable Infrastructure Capital,
Inc.
17,619
688
Hess Midstream L.P., Class A
39,011
1,467
Hubbell, Inc.
921
482
Kinder Morgan, Inc.
58,859
1,882
Kinetik Holdings, Inc.
55,678
2,691
Kodiak Gas Services, Inc.
37,800
2,840
NextEra Energy, Inc.
355,535
31,205
Norfolk Southern Corp.
4,896
1,540
ONEOK, Inc.
132,901
11,554
Ormat Technologies, Inc.
1,903
207
PG&E Corp.
629,679
10,591
PPL Corp.
51,405
1,869
Public Service Enterprise Group, Inc.
114,747
9,313
EQUITY FUNDS 86 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.1% (1)continued
United States – 41.9%continued
Republic Services, Inc.
27,525
$5,865
SBA Communications Corp.
56,352
9,944
Sempra
101,873
9,445
Shoals Technologies Group, Inc.,
Class A*
36,672
363
Southwest Gas Holdings, Inc.
17,566
1,558
Sunrun, Inc.*
21,150
283
Targa Resources Corp.
95,299
25,553
Tetra Tech, Inc.
17,282
499
UGI Corp.
167,397
5,782
Union Pacific Corp.
51,942
14,128
Venture Global, Inc., Class A
150,832
1,679
Vistra Corp.
30,850
4,894
Waste Connections, Inc.
23,504
3,918
Waste Connections, Inc. (New York
Exchange)
5,257
876
Waste Management, Inc.
5,705
1,272
Williams (The) Cos., Inc.
313,851
23,332
Xcel Energy, Inc.
204,581
16,428
Xylem, Inc.
4,515
534
 
413,015
Total Common Stocks
(Cost $787,961)
926,726
 
MASTER LIMITED PARTNERSHIPS – 2.0%
United States – 2.0%
Energy Transfer L.P.
246,423
4,712
Enterprise Products Partners L.P.
140,099
5,150
MPLX L.P.
84,825
4,778
Plains All American Pipeline L.P.
113,014
2,516
Western Midstream Partners L.P.
56,000
2,450
 
19,606
Total Master Limited Partnerships
(Cost $18,180)
19,606
 
INVESTMENT COMPANIES – 4.1%
Greencoat Renewables PLC
918,694
776
International Public Partnerships Ltd.
546,033
1,013
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(3) (4) (5)
9,130,004
9,130
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(3) (4)
28,000,238
28,000
 
NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 4.1%continued
Renewables Infrastructure Group (The)
Ltd.
844,026
$817
VH Global Sustainable Energy
Opportunities PLC
666,643
639
Total Investment Companies
(Cost $40,413)
40,375
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
3.63%, 10/15/26(6) (7)
$852
$843
Total Short-Term Investments
(Cost $843)
843
 
Total Investments – 100.3%
(Cost $847,397)
987,550
Liabilities less Other Assets – (0.3%)
(2,905
)
Net Assets – 100.0%
$984,645
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Security exempt from registration pursuant to Rule 144A under the Securities
Act of 1933, as amended. These securities may be resold in transactions
exempt from registration to qualified institutional investors. At June 30, 2026,
the value of these securities amounted to approximately $31,745,000 or
3.2% of net assets.
(3)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(4)
7-day current yield as of June 30, 2026 is disclosed.
(5)
Investment of cash collateral received from securities lending activities.
(6)
Discount rate at the time of purchase.
(7)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
EAFE – Europe, Australasia and the Far East
 
MSCI – Morgan Stanley Capital International
 
S&P – Standard & Poor's
Percentages shown are based on Net Assets.
NORTHERN FUNDS QUARTERLY REPORT 87 EQUITY FUNDS

Schedule of Investments
MULTI-MANAGER GLOBAL LISTED INFRASTRUCTURE FUNDcontinued
June 30, 2026 (UNAUDITED)
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P
500
(United States
Dollar)
24
$9,058
Long
9/26
$119
MSCI EAFE
Index
(United States
Dollar)
46
7,234
Long
9/26
31
Total
$150
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Utilities
44.5
%
Industrials
29.3
Energy
13.7
Real Estate
5.9
Communication Services
2.7
Financials
0.3
Consumer Staples
0.1
Short-Term Investments
3.8
Total Investments
100.3
Liabilities less Other Assets
(0.3
)
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Brazil
$10,542
$
$
$10,542
Canada
52,776
52,776
Mexico
27,210
27,210
United States
400,395
12,620
413,015
All Other Countries(1)
423,183
423,183
Total Common Stocks
490,923
435,803
926,726
Master Limited Partnerships
19,606
19,606
Investment Companies
37,130
3,245
40,375
Short-Term Investments
843
843
Total Investments
$547,659
$439,891
$
$987,550
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$150
$
$
$150
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$8,207
$44,954
$44,031
$9,130
9,130,004
$31
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
30,950
110,963
113,913
28,000
28,000,238
270
Total
$39,157
$155,917
$157,944
$37,130
37,130,242
$301
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
EQUITY FUNDS 88 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
MULTI-MANAGER GLOBAL REAL ESTATE FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)
Australia – 5.6%
Dexus
46,526
$175
Goodman Group
66,837
1,449
Ingenia Communities Group
85,664
263
NEXTDC Ltd.*
17,455
177
Scentre Group
242,183
649
Stockland
112,656
319
 
3,032
Belgium – 1.7%
Aedifica S.A.
5,279
426
Shurgard Self Storage Ltd.
2,502
73
VGP N.V.
2,464
237
Warehouses De Pauw - C.V.A.
3,846
97
Xior Student Housing N.V.
2,551
77
 
910
Canada – 1.1%
Chartwell Retirement Residences
10,314
163
Dream Industrial Real Estate Investment
Trust
10,846
107
RioCan Real Estate Investment Trust
18,650
298
 
568
China – 0.1%
GDS Holdings Ltd., Class A*
11,900
44
France – 2.2%
Accor S.A.
1,578
92
Klepierre S.A.
7,522
314
Mercialys S.A.
10,980
147
Unibail-Rodamco-Westfield*
5,194
608
 
1,161
Germany – 1.4%
Sirius Real Estate Ltd.
74,049
95
TAG Immobilien A.G.
18,997
306
Vonovia S.E.
14,266
352
 
753
Hong Kong – 2.7%
Henderson Land Development Co. Ltd.
28,000
89
Hongkong Land Holdings Ltd.
57,000
408
Link REIT
100,200
468
Sun Hung Kai Properties Ltd.
35,000
504
 
1,469
Israel – 0.2%
Melisron Ltd.
911
128
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
Japan – 7.3%
Comforia Residential REIT, Inc.
206
$131
GLP J-REIT
174
147
Japan Metropolitan Fund Invest
627
433
Japan Real Estate Investment Corp.
510
364
Mitsubishi Estate Co. Ltd.
32,600
830
Mitsui Fudosan Accommodations Fund,
Inc.
49
37
Mitsui Fudosan Co. Ltd.
85,000
783
Nippon Building Fund, Inc.
265
205
Nippon Prologis REIT, Inc.
218
116
Nomura Real Estate Master Fund, Inc.*
132
124
Sumitomo Realty & Development Co.
Ltd.
25,500
587
United Urban Investment Corp.
197
197
 
3,954
Netherlands – 0.3%
CTP N.V.
7,816
143
Singapore – 3.1%
CapitaLand Ascendas REIT*
21,100
41
CapitaLand Integrated Commercial
Trust
425,613
782
CapitaLand Investment Ltd.
182,400
352
Centurion Accommodation REIT*
318,213
262
Digital Core REIT Management Pte Ltd.
233,400
118
UOL Group Ltd.
12,200
90
 
1,645
Spain – 0.7%
Merlin Properties Socimi S.A.
23,111
405
Sweden – 1.0%
Atrium Ljungberg AB, Class B
15,088
41
Catena AB
6,085
261
Fastighets AB Balder, Class B*
22,808
122
Swedish Logistic Property AB, Class B*
15,287
59
Wihlborgs Fastigheter AB
6,745
52
 
535
Switzerland – 0.9%
PSP Swiss Property A.G. (Registered)
859
153
Swiss Prime Site A.G. (Registered)
1,895
309
 
462
United Kingdom – 2.9%
Big Yellow Group PLC
3,860
46
British Land (The) Co. PLC
22,383
123
Helical PLC
31,571
81
NORTHERN FUNDS QUARTERLY REPORT 89 EQUITY FUNDS

Schedule of Investments
MULTI-MANAGER GLOBAL REAL ESTATE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
United Kingdom – 2.9%continued
Land Securities Group PLC
21,006
$182
LondonMetric Property PLC
25,358
63
Safestore Holdings PLC
20,767
169
Segro PLC
31,312
364
Tritax Big Box REIT PLC
251,739
539
 
1,567
United States – 64.5%
Agree Realty Corp.
14,477
1,096
Blackstone Digital Infrastructure Trust,
Inc.*
4,793
104
Boyd Gaming Corp.
2,164
191
BXP, Inc.
10,101
670
CareTrust REIT, Inc.
2,173
88
CBRE Group, Inc., Class A*
3,271
441
Crown Castle, Inc.
6,165
467
Curbline Properties Corp.
16,045
488
D.R. Horton, Inc.
1,366
222
Digital Realty Trust, Inc.
15,735
2,826
Equinix, Inc.
2,374
2,475
Equity LifeStyle Properties, Inc.
5,415
349
Equity Residential
1,665
113
Essential Properties Realty Trust, Inc.
17,389
519
Essex Property Trust, Inc.
2,032
592
Extra Space Storage, Inc.
5,477
796
First Industrial Realty Trust, Inc.
6,024
369
Gaming and Leisure Properties, Inc.
4,286
191
Healthcare Realty Trust, Inc.
22,221
448
Highwoods Properties, Inc.
11,907
359
Hilton Worldwide Holdings, Inc.
1,147
379
Host Hotels & Resorts, Inc.
20,867
495
Hudson Pacific Properties, Inc.*
5,392
82
Invitation Homes, Inc.
19,030
575
Iron Mountain, Inc.
4,882
617
Janus Living, Inc., Class A-1
18,363
528
Kimco Realty Corp.
26,702
677
Kite Realty Group Trust
13,070
371
Lamar Advertising Co., Class A
2,775
433
Mid-America Apartment Communities,
Inc.
3,360
467
NETSTREIT Corp.
19,419
410
Omega Healthcare Investors, Inc.
24,320
1,160
Outfront Media, Inc.
9,082
297
PACS Group, Inc.*
2,930
125
Prologis, Inc.
22,459
3,042
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7% (1)continued
United States – 64.5%continued
Public Storage
5,355
$1,704
Rayonier, Inc.
9,204
196
SBA Communications Corp.
449
79
Simon Property Group, Inc.
7,579
1,695
Sun Communities, Inc.
6,949
833
Tanger, Inc.
8,726
344
Terreno Realty Corp.
7,406
480
UDR, Inc.
9,796
391
Ventas, Inc.
10,597
941
Welltower, Inc.
23,319
5,293
Wyndham Hotels & Resorts, Inc.
3,740
315
 
34,733
Total Common Stocks
(Cost $46,949)
51,509
 
INVESTMENT COMPANIES – 4.9%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(2) (3) (4)
626,520
627
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(2) (3)
2,026,396
2,026
Total Investment Companies
(Cost $2,653)
2,653
 
Total Investments – 100.6%
(Cost $49,602)
54,162
Liabilities less Other Assets – (0.6%)
(345
)
Net Assets – 100.0%
$53,817
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(3)
7-day current yield as of June 30, 2026 is disclosed.
(4)
Investment of cash collateral received from securities lending activities.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
Percentages shown are based on Net Assets.
EQUITY FUNDS 90 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Real Estate
92.5
%
Consumer Discretionary
2.3
Health Care
0.5
Information Technology
0.4
Short-Term Investments
4.9
Total Investments
100.6
Liabilities less Other Assets
(0.6
)
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on
June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Belgium
$73
$837
$
$910
Canada
568
568
United States
34,733
34,733
All Other Countries(1)
15,298
15,298
Total Common Stocks
35,374
16,135
51,509
Investment Companies
2,653
2,653
Total Investments
$38,027
$16,135
$
$54,162
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$723
$4,713
$4,809
$627
626,520
$1
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
2,623
5,110
5,707
2,026
2,026,396
17
Total
$3,346
$9,823
$10,516
$2,653
2,652,916
$18
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
NORTHERN FUNDS QUARTERLY REPORT 91 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.3%
Aerospace & Defense – 1.3%
AAR Corp.*
4,494
$642
Astronics Corp.* †
5,995
487
Astronics Corp., Class B* †
1,199
91
Cadre Holdings, Inc.
7,059
201
Ducommun, Inc.*
2,580
478
Mercury Systems, Inc.*
6,169
755
Moog, Inc., Class A
3,176
1,346
National Presto Industries, Inc.
787
98
Park Aerospace Corp.
2,929
112
V2X, Inc.*
2,738
204
VSE Corp.
2,948
674
 
5,088
Air Freight & Logistics – 0.0%
Forward Air Corp.*
4,238
57
Automobile Components – 1.0%
Adient PLC*
11,442
210
Cooper-Standard Holdings, Inc.*
1,351
37
Dana, Inc.
15,962
434
Dauch Corp.*
7,970
43
Dorman Products, Inc.*
4,384
598
Garrett Motion, Inc.
18,445
668
Gentherm, Inc.*
5,138
175
LCI Industries
4,542
481
Motorcar Parts of America, Inc.*
3,250
50
Patrick Industries, Inc.
4,194
377
Phinia, Inc.
3,585
295
Standard Motor Products, Inc.
2,709
106
Strattec Security Corp.*
974
79
Visteon Corp.
3,105
308
XPEL, Inc.*
1,893
94
 
3,955
Automobiles – 0.1%
Harley-Davidson, Inc.
9,737
238
Winnebago Industries, Inc.
5,441
170
 
408
Banks – 9.1%
1st Source Corp.
3,846
314
AGI, Inc., Class A*
14,930
106
Amalgamated Financial Corp.
3,676
169
Ameris Bancorp
6,488
586
Ames National Corp.
1,040
31
Arrow Financial Corp.
3,373
138
Associated Banc-Corp
13,948
429
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Banks – 9.1%continued
Atlantic Union Bankshares Corp.
12,808
$542
Axos Financial, Inc.*
8,230
801
Banc of California, Inc.
16,023
327
BancFirst Corp.
2,690
299
Bank First Corp.
1,975
293
Bank of Hawaii Corp.
4,094
334
Bank of Marin Bancorp
2,253
62
Bank of NT Butterfield & Son (The) Ltd.
5,360
319
Bank of South Carolina Corp.
4,031
68
Bank7 Corp.
5,363
262
BankUnited, Inc.
7,866
381
Bankwell Financial Group, Inc.
4,559
268
Banner Corp.
5,170
343
Bar Harbor Bankshares
1,207
46
Beacon Financial Corp.
7,789
237
Blue Ridge Bankshares, Inc.
25,810
91
Burke & Herbert Financial Services
Corp.
1,420
102
Business First Bancshares, Inc.
1,912
59
Byline Bancorp, Inc.
4,219
159
C&F Financial Corp.
977
78
California BanCorp
6,120
128
Camden National Corp.
2,371
129
Capital City Bank Group, Inc.
1,299
64
Capitol Federal Financial, Inc.
14,724
125
Cathay General Bancorp
9,590
594
Central Pacific Financial Corp.
3,063
117
Chain Bridge Bancorp, Inc., Class A*
3,782
159
Chemung Financial Corp.
1,732
129
Citizens & Northern Corp.
715
17
Citizens Financial Services, Inc.
195
14
City Holding Co.
2,319
308
Civista Bancshares, Inc.
4,787
135
CNB Financial Corp.
4,661
157
Colony Bankcorp, Inc.
920
18
Columbia Financial, Inc.* †
3,136
67
Community Financial System, Inc.
5,686
382
Community Trust Bancorp, Inc.
1,719
124
Community West Bancshares
4,726
127
ConnectOne Bancorp, Inc.
2,608
87
Customers Bancorp, Inc.*
3,415
270
CVB Financial Corp.
18,973
428
Dime Commercial Bancshares, Inc.
4,088
166
Eastern Bankshares, Inc.
20,323
452
EQUITY FUNDS 92 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Banks – 9.1%continued
Enterprise Financial Services Corp.
3,283
$216
Equity Bancshares, Inc., Class A
2,129
104
Esquire Financial Holdings, Inc.
790
94
Farmers National Banc Corp.
6,803
99
FB Financial Corp.
4,098
227
Financial Institutions, Inc.
2,755
107
First Bancorp
4,932
315
First BanCorp
18,758
489
First Bancorp (The), Inc.
570
20
First Busey Corp.
10,340
305
First Business Financial Services, Inc.
745
47
First Commonwealth Financial Corp.
17,605
358
First Community Bankshares, Inc.
1,965
87
First Community Corp.
3,782
124
First Financial Bancorp
9,867
334
First Financial Bankshares, Inc.
17,608
609
First Financial Corp.
1,617
125
First Hawaiian, Inc.
11,360
333
First Internet Bancorp
1,040
29
First Interstate BancSystem, Inc., Class A
8,804
339
First Merchants Corp.
12,238
535
First Mid Bancshares, Inc.
2,635
127
First U.S. Bancshares, Inc.
7,140
118
First United Corp.
4,717
208
Firstsun Capital Bancorp*
570
22
Five Star Bancorp
1,893
92
FS Bancorp, Inc.
1,473
64
Fulton Financial Corp.
20,594
498
German American Bancorp, Inc.
3,250
154
Glacier Bancorp, Inc.
13,137
678
Great Southern Bancorp, Inc.
1,043
82
Greene County Bancorp, Inc.
3,895
131
Hancock Whitney Corp.
10,112
756
Hanmi Financial Corp.
3,037
98
Hawthorn Bancshares, Inc.
688
27
HBT Financial, Inc.
2,834
91
Heritage Financial Corp.
4,945
146
Hilltop Holdings, Inc.
9,248
359
Home Bancorp, Inc.
1,920
132
Home BancShares, Inc.
21,721
620
HomeTrust Bancshares, Inc.
2,342
117
Hope Bancorp, Inc.
12,570
172
Horizon Bancorp, Inc.
4,972
99
Independent Bank Corp.
1,893
68
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Banks – 9.1%continued
Independent Bank Corp. (NASDAQ
Global Select)
7,097
$594
International Bancshares Corp.
7,480
568
Investar Holding Corp.
6,730
202
Jeffersonville Bancorp
514
14
Kearny Financial Corp.
14,860
141
Kentucky First Federal Bancorp*
942
5
Lakeland Financial Corp.
2,928
181
Magyar Bancorp, Inc.
973
17
Mechanics Bancorp, Class A
2,880
46
Mercantile Bank Corp.
3,547
204
Metrocity Bankshares, Inc.
2,365
85
Metropolitan Bank Holding Corp.
1,102
109
Mid Penn Bancorp, Inc.
654
23
NASB Financial, Inc.
664
27
National Bank Holdings Corp., Class A
4,049
180
National Bankshares, Inc.
544
20
NB Bancorp, Inc.
4,467
94
NBT Bancorp, Inc.
6,394
316
Nicolet Bankshares, Inc.
2,100
347
Northeast Bank
1,372
182
Northeast Community Bancorp, Inc.
1,637
45
Northfield Bancorp, Inc.
9,680
143
Northrim BanCorp, Inc.
4,093
113
Northwest Bancshares, Inc.
14,955
227
Norwood Financial Corp.
676
22
OceanFirst Financial Corp.
9,145
179
OFG Bancorp
6,478
318
Ohio Valley Banc Corp.
997
43
Old Second Bancorp, Inc.
1,627
38
Orrstown Financial Services, Inc.
1,732
71
Park National Corp.
1,791
328
Pathward Financial, Inc.
2,216
193
Peoples Bancorp of North Carolina,
Inc.
951
41
Peoples Bancorp, Inc.
3,962
152
Peoples Financial Corp.
201
4
Peoples Financial Services Corp.
2,584
171
Preferred Bank
2,329
247
Primis Financial Corp.
457
7
Provident Financial Services, Inc.
14,515
343
QCR Holdings, Inc.
1,491
145
Renasant Corp.
10,395
442
Republic Bancorp, Inc., Class A
1,942
176
NORTHERN FUNDS QUARTERLY REPORT 93 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Banks – 9.1%continued
S&T Bancorp, Inc.
4,397
$216
Seacoast Banking Corp. of Florida
9,738
324
ServisFirst Bancshares, Inc.
4,919
427
Shore Bancshares, Inc.
5,336
122
Sierra Bancorp
3,586
146
Simmons First National Corp., Class A
11,561
262
SmartFinancial, Inc.
1,574
74
South Plains Financial, Inc.
1,420
61
Southern First Bancshares, Inc.*
2,735
167
Southern Missouri Bancorp, Inc.
430
33
Southside Bancshares, Inc.
3,001
106
Stellar Bancorp, Inc.
5,663
223
Stock Yards Bancorp, Inc.
3,798
290
Texas Capital Bancshares, Inc.
5,344
552
Third Coast Bancshares, Inc.*
2,676
108
Timberland Bancorp, Inc.
1,118
50
Tompkins Financial Corp.
1,469
139
Towne Bank
7,837
284
TriCo Bancshares
3,025
163
TrustCo Bank Corp. NY
1,551
85
Trustmark Corp.
7,705
354
UMB Financial Corp.
7,386
1,054
United Bankshares, Inc.
15,246
699
United Community Banks, Inc.
13,787
484
Unity Bancorp, Inc.
1,453
85
Univest Financial Corp.
3,328
146
Virginia National Bankshares Corp.
98
4
WaFd, Inc.
6,942
266
Washington Trust Bancorp, Inc.
5,816
212
WesBanco, Inc.
8,627
337
West BanCorp, Inc.
797
21
Westamerica BanCorp
3,695
217
Western New England Bancorp, Inc.
5,310
76
WSFS Financial Corp.
10,395
798
 
36,184
Beverages – 0.2%
Boston Beer (The) Co., Inc., Class A*
966
171
MGP Ingredients, Inc.
2,027
36
National Beverage Corp.*
9,674
302
Vita Coco (The) Co., Inc.*
5,840
386
 
895
Biotechnology – 9.7%
4D Molecular Therapeutics, Inc.*
5,842
78
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Biotechnology – 9.7%continued
Abeona Therapeutics, Inc.* †
14,806
$92
ACADIA Pharmaceuticals, Inc.*
12,644
320
Achieve Life Sciences, Inc.* †
24,203
158
ADMA Biologics, Inc.*
26,602
223
Agios Pharmaceuticals, Inc.*
3,155
117
Aktis Oncology, Inc.*
5,193
167
Alkermes PLC*
17,472
915
Allogene Therapeutics, Inc.*
17,728
37
Altimmune, Inc.*
7,696
23
ALX Oncology Holdings, Inc.*
15,752
33
AnaptysBio, Inc.*
7,064
477
Anavex Life Sciences Corp.* †
14,396
37
Anbio Biotechnology Ltd.*
7,140
98
Annexon, Inc.*
4,014
23
Apogee Therapeutics, Inc.*
6,356
844
Aravive, Inc.(1) *
8,839
Arbutus Biopharma Corp.*
5,236
25
Arcus Biosciences, Inc.*
10,250
316
Arcutis Biotherapeutics, Inc.*
11,871
311
Ardelyx, Inc.*
23,294
119
ArriVent Biopharma, Inc.*
4,130
143
Assembly Biosciences, Inc.* †
4,808
132
Aura Biosciences, Inc.*
14,689
104
Aurinia Pharmaceuticals, Inc.*
13,246
225
Beam Therapeutics, Inc.*
9,737
334
Bicara Therapeutics, Inc.*
6,167
183
BioCryst Pharmaceuticals, Inc.*
28,705
287
BridgeBio Oncology Therapeutics, Inc.*
15,579
119
C4 Therapeutics, Inc.* †
4,313
20
Cabaletta Bio, Inc.* †
8,572
27
Capricor Therapeutics, Inc.* †
14,045
338
CareDx, Inc.*
5,041
144
Catalyst Pharmaceuticals, Inc.*
22,807
717
Celcuity, Inc.* †
11,046
1,156
Celldex Therapeutics, Inc.*
5,979
223
CG oncology, Inc.*
7,725
549
Climb Bio, Inc.*
9,738
127
Cogent Biosciences, Inc.*
20,785
804
Coherus Oncology, Inc.* †
9,355
13
CRISPR Therapeutics A.G.* †
7,857
429
Cullinan Therapeutics, Inc.*
7,121
130
Cytokinetics, Inc.*
16,196
1,380
CytomX Therapeutics, Inc.*
38,231
143
EQUITY FUNDS 94 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Biotechnology – 9.7%continued
Denali Therapeutics, Inc.*
13,153
$338
Design Therapeutics, Inc.* †
15,746
228
DiaMedica Therapeutics, Inc.* †
13,097
92
Dianthus Therapeutics, Inc.* †
4,193
409
Disc Medicine, Inc.*
1,453
106
Dyne Therapeutics, Inc.*
10,250
228
Editas Medicine, Inc.*
5,280
17
Elicio Therapeutics, Inc.* †
10,086
39
Emergent BioSolutions, Inc.* †
6,544
55
Enanta Pharmaceuticals, Inc.*
9,345
136
Entrada Therapeutics, Inc.*
9,380
69
Erasca, Inc.*
26,817
491
Foghorn Therapeutics, Inc.*
6,629
32
Geron Corp.*
16,912
22
GRAIL, Inc.*
3,895
266
Greenwich Lifesciences, Inc.*
4,500
106
Gyre Therapeutics, Inc.* †
6,593
43
Ideaya Biosciences, Inc.*
8,114
302
Immatics N.V.*
6,320
64
Immix Biopharma, Inc.* †
14,396
148
ImmunityBio, Inc.* †
101,687
890
Immunome, Inc.*
8,092
171
Immunovant, Inc.*
18,545
715
Inhibrx Biosciences, Inc.*
6,439
610
Intellia Therapeutics, Inc.* †
12,982
220
Iovance Biotherapeutics, Inc.* †
41,868
174
Ironwood Pharmaceuticals, Inc.*
27,227
115
Kiniksa Pharmaceuticals International
PLC*
7,140
457
Kodiak Sciences, Inc.*
5,518
215
Krystal Biotech, Inc.*
3,122
1,160
Kura Oncology, Inc.*
11,496
126
Kymera Therapeutics, Inc.*
7,280
835
Larimar Therapeutics, Inc.*
375
1
Lexeo Therapeutics, Inc.*
4,594
21
MacroGenics, Inc.* †
5,496
25
MannKind Corp.*
24,803
106
MapLight Therapeutics, Inc.* †
3,895
140
MediciNova, Inc.*
13,894
18
MeiraGTx Holdings PLC*
8,584
116
Merrimack Pharmaceuticals, Inc.(1) * †
7,504
MiMedx Group, Inc.*
9,020
35
Mineralys Therapeutics, Inc.*
6,075
164
Mirum Pharmaceuticals, Inc.*
8,530
999
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Biotechnology – 9.7%continued
Monte Rosa Therapeutics, Inc.*
8,102
$196
MoonLake Immunotherapeutics*
6,816
133
Neurogene, Inc.*
2,329
73
Newamsterdam Pharma Co. N.V.*
11,035
374
Novavax, Inc.* †
13,530
127
Nurix Therapeutics, Inc.*
3,880
94
Nuvalent, Inc., Class A*
7,090
876
Olema Pharmaceuticals, Inc.*
13,191
165
Organogenesis Holdings, Inc.* †
5,537
13
ORIC Pharmaceuticals, Inc.*
14,277
155
PDL BioPharma, Inc.(1) *
24,608
8
Perspective Therapeutics, Inc.*
5,998
20
Pieris Pharmaceuticals, Inc.*
1,298
198
Praxis Precision Medicines, Inc.*
2,590
867
Precigen, Inc.*
61,286
349
Prime Medicine, Inc.* †
11,401
42
ProKidney Corp.* †
5,668
12
Protagonist Therapeutics, Inc.*
7,556
926
Prothena Corp. PLC*
3,644
36
PTC Therapeutics, Inc.*
7,119
581
Recursion Pharmaceuticals, Inc.,
Class A* †
49,982
183
REGENXBIO, Inc.*
9,807
118
Relay Therapeutics, Inc.*
10,208
191
Replimune Group, Inc.*
10,880
120
Rezolute, Inc.*
21,589
112
Rhythm Pharmaceuticals, Inc.*
5,518
613
Sarepta Therapeutics, Inc.*
10,061
181
Savara, Inc.*
4,726
29
Scholar Rock Holding Corp.*
10,563
581
SELLAS Life Sciences Group, Inc.* †
17,526
259
Shattuck Labs, Inc.* †
3,786
26
Sionna Therapeutics, Inc.*
4,219
186
Solid Biosciences, Inc.*
372
4
Spyre Therapeutics, Inc.*
2,806
249
Stoke Therapeutics, Inc.* †
8,594
281
Sutro Biopharma, Inc.*
252
8
Syndax Pharmaceuticals, Inc.*
8,439
184
Tango Therapeutics, Inc.*
17,328
542
Taysha Gene Therapies, Inc.*
26,939
183
TG Therapeutics, Inc.*
14,482
796
Travere Therapeutics, Inc.*
8,867
504
Twist Bioscience Corp.*
5,842
601
Tyra Biosciences, Inc.*
4,207
134
NORTHERN FUNDS QUARTERLY REPORT 95 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Biotechnology – 9.7%continued
Ultragenyx Pharmaceutical, Inc.*
8,375
$280
uniQure N.V.*
5,842
269
UroGen Pharma Ltd.*
11,210
413
Vanda Pharmaceuticals, Inc.*
6,658
41
Vaxcyte, Inc.*
16,144
938
Vera Therapeutics, Inc.*
6,816
292
Veracyte, Inc.*
7,886
463
Vericel Corp.*
5,299
236
Viking Therapeutics, Inc.* †
11,035
430
Vir Biotechnology, Inc.*
15,903
162
Viridian Therapeutics, Inc.*
10,386
191
Xencor, Inc.*
3,460
56
Xenon Pharmaceuticals, Inc.*
8,913
538
XOMA Royalty Corp.*
6,092
259
Zenas Biopharma, Inc.* †
5,842
148
Zymeworks, Inc.*
4,478
117
 
38,807
Broadline Retail – 0.1%
Kohl's Corp.
10,710
190
Savers Value Village, Inc.*
14,348
145
 
335
Building Products – 1.2%
Apogee Enterprises, Inc.
3,978
182
AZZ, Inc.
2,732
424
CSW Industrials, Inc.
1,675
466
Gibraltar Industries, Inc.*
4,468
201
Griffon Corp.
6,456
630
Hayward Holdings, Inc.*
20,447
354
Insteel Industries, Inc.
4,800
145
Masterbrand, Inc.*
9,305
96
Quanex Building Products Corp.
3,782
70
Resideo Technologies, Inc.*
15,697
488
Tecnoglass, Inc.
4,587
215
UFP Industries, Inc.
8,015
727
Zurn Elkay Water Solutions Corp.
16,619
840
 
4,838
Capital Markets – 2.2%
Acadian Asset Management, Inc.
3,244
232
Artisan Partners Asset Management,
Inc., Class A
5,486
189
Associated Capital Group, Inc., Class A
1,656
59
BGC Group, Inc., Class A
44,916
480
BRC Group Holdings, Inc.* †
1,778
14
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Capital Markets – 2.2%continued
Bullish* †
13,956
$327
Capital Southwest Corp.
4,954
118
Cohen & Steers, Inc.
4,868
371
Coincheck Group N.V.* †
17,003
38
DigitalBridge Group, Inc.
17,563
277
Etoro Group Ltd., Class A*
7,731
305
Fidus Investment Corp.
6,167
118
FS K.K.R Capital Corp.
26,289
276
GAMCO Investors, Inc., Class A
5,044
120
Gemini Space Station, Inc., Class A* †
24,667
105
Golub Capital BDC, Inc.
24,342
313
Hamilton Lane, Inc., Class A
4,219
333
Lazard, Inc.
9,088
381
MarketAxess Holdings, Inc.
3,246
368
Miami International Holdings, Inc.*
7,731
287
Moelis & Co., Class A
6,987
457
Morgan Stanley Direct Lending Fund
8,079
122
Oaktree Specialty Lending Corp.
7,987
95
Piper Sandler Cos.
9,574
693
PJT Partners, Inc., Class A
2,612
394
SLR Investment Corp.
8,763
108
StepStone Group, Inc., Class A
5,531
229
StoneX Group, Inc.*
8,556
1,014
Victory Capital Holdings, Inc., Class A
7,644
643
Virtus Investment Partners, Inc.
722
104
WisdomTree, Inc.
10,434
177
 
8,747
Chemicals – 2.0%
AdvanSix, Inc.
2,959
59
Alto Ingredients, Inc.*
6,694
38
Ashland, Inc.
4,117
271
Aspen Aerogels, Inc.*
3,125
20
Avient Corp.
10,105
374
Balchem Corp.
3,927
663
Cabot Corp.
6,935
630
Chemours (The) Co.
13,662
280
Flotek Industries, Inc.*
4,868
115
H.B. Fuller Co.
7,860
458
Hawkins, Inc.
5,016
713
Huntsman Corp.
15,714
167
Ingevity Corp.*
5,051
377
Innospec, Inc.
2,941
239
Intrepid Potash, Inc.*
609
20
Koppers Holdings, Inc.
5,190
233
EQUITY FUNDS 96 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Chemicals – 2.0%continued
Kronos Worldwide, Inc.
3,212
$20
LSB Industries, Inc.*
4,054
44
Mativ Holdings, Inc.
9,292
70
Minerals Technologies, Inc.
4,671
346
Olin Corp.
10,710
212
Orion S.A.
5,113
34
Perimeter Solutions, Inc.*
13,323
475
Quaker Chemical Corp.
2,500
397
Rayonier Advanced Materials, Inc.*
14,281
112
Scotts Miracle-Gro (The) Co.
5,518
376
Sensient Technologies Corp.
5,460
673
Stepan Co.
5,258
293
Tronox Holdings PLC
27,877
176
 
7,885
Commercial Services & Supplies – 1.6%
ABM Industries, Inc.
8,118
359
ACCO Brands Corp.
12,913
54
ACV Auctions, Inc., Class A*
31,362
226
Brady Corp., Class A
4,544
416
Brink's (The) Co.
5,914
559
Casella Waste Systems, Inc., Class A*
5,331
517
Cimpress PLC*
3,254
331
Civeo Corp.*
239
8
CompX International, Inc.
1,837
46
CoreCivic, Inc.*
13,410
407
Deluxe Corp.
5,438
130
Ennis, Inc.
3,897
83
GEO Group (The), Inc.*
13,137
388
Healthcare Services Group, Inc.*
6,491
159
HNI Corp.
8,401
340
Interface, Inc.
5,689
204
Liquidity Services, Inc.*
3,047
119
Millerknoll, Inc.
17,841
365
NLI Holdings, Inc.
5,258
31
Onterris, Inc.*
6,816
138
OPENLANE, Inc.*
15,897
656
Perma-Fix Environmental Services, Inc.*
1,043
15
Pitney Bowes, Inc.
18,104
317
Quad/Graphics, Inc.
1,820
15
UniFirst Corp.
1,843
487
Vestis Corp.*
12,333
179
 
6,549
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Communications Equipment – 1.3%
ADTRAN Holdings, Inc.*
13,154
$183
Aviat Networks, Inc.*
1,856
41
BK Technologies Corp.*
264
23
Calix, Inc.*
10,535
393
Clearfield, Inc.*
3,024
120
Digi International, Inc.*
6,671
500
Extreme Networks, Inc.*
12,711
411
Gilat Satellite Networks Ltd.* †
7,409
99
Harmonic, Inc.*
11,735
192
Ituran Location and Control Ltd.
4,177
255
NETGEAR, Inc.*
8,536
199
NetScout Systems, Inc.*
9,065
395
Ondas, Inc.* †
78,219
644
Ribbon Communications, Inc.*
3,698
9
Viasat, Inc.*
17,030
1,529
Vistance Networks, Inc.*
22,140
283
 
5,276
Construction & Engineering – 2.0%
Arcosa, Inc.
6,787
986
Argan, Inc.
2,252
1,798
Bowman Consulting Group Ltd.*
3,570
104
Cardinal Infrastructure Group, Inc.,
Class A* †
1,623
153
Centuri Holdings, Inc.*
8,024
243
Construction Partners, Inc., Class A*
4,819
572
Fluor Corp.*
17,247
904
Granite Construction, Inc.
6,778
1,071
Limbach Holdings, Inc.*
1,020
79
Matrix Service Co.* †
6,675
91
MYR Group, Inc.*
1,952
977
NWPX Infrastructure, Inc.*
3,270
490
Orion Group Holdings, Inc.*
1,996
34
Tutor Perini Corp.
5,063
420
 
7,922
Construction Materials – 0.3%
Knife River Corp.*
5,612
469
Suncrete, Inc., Class A* †
5,842
132
Titan America S.A.*
16,107
301
United States Lime & Minerals, Inc.
4,120
431
 
1,333
Consumer Finance – 1.5%
Antalpha Platform Holding Co.,
Class A* †
7,823
37
NORTHERN FUNDS QUARTERLY REPORT 97 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Consumer Finance – 1.5%continued
Atlanticus Holdings Corp.*
823
$84
Bread Financial Holdings, Inc.
5,283
572
Dave, Inc.*
1,195
445
Encore Capital Group, Inc.*
4,213
393
Enova International, Inc.*
3,025
728
EZCORP, Inc., Class A*
4,510
156
FirstCash Holdings, Inc.
5,112
1,106
Green Dot Corp., Class A*
6,891
93
Happen, Inc.*
8,000
166
Medallion Financial Corp.
836
9
Navient Corp.
20,745
177
Nelnet, Inc., Class A
4,197
560
PRA Group, Inc.*
6,282
119
PROG Holdings, Inc.
8,888
414
SLM Corp.
17,851
463
Upstart Holdings, Inc.*
8,021
284
World Acceptance Corp.*
1,076
241
 
6,047
Consumer Staples Distribution & Retail – 0.5%
Andersons (The), Inc.
2,461
168
Chefs' Warehouse (The), Inc.*
3,908
375
Grocery Outlet Holding Corp.*
9,145
91
Ingles Markets, Inc., Class A
3,437
304
Natural Grocers by Vitamin Cottage,
Inc.
1,122
35
PriceSmart, Inc.
2,574
503
United Natural Foods, Inc.*
5,296
242
Village Super Market, Inc., Class A
1,158
49
Weis Markets, Inc.
2,906
228
 
1,995
Containers & Packaging – 0.5%
Ardagh Metal Packaging S.A.
58,918
279
Graphic Packaging Holding Co.
27,912
295
Greif, Inc., Class A
5,310
395
Myers Industries, Inc.
4,241
150
O-I Glass, Inc.*
27,179
262
Silgan Holdings, Inc.
10,061
467
TriMas Corp.
5,901
266
 
2,114
Distributors – 0.1%
Gold.com, Inc.
6,079
253
Weyco Group, Inc.
2,585
102
 
355
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Diversified Consumer Services – 1.3%
Afya Ltd., Class A
8,161
$121
American Public Education, Inc.*
3,550
191
Bright Horizons Family Solutions, Inc.*
4,868
345
Coursera, Inc.*
24,823
140
Covista, Inc.*
7,879
982
Driven Brands Holdings, Inc.*
15,665
218
Frontdoor, Inc.*
6,858
532
Graham Holdings Co., Class B
564
644
Laureate Education, Inc.*
12,966
471
Lincoln Educational Services Corp.*
2,921
146
Matthews International Corp., Class A
4,497
121
McGraw Hill, Inc.*
17,851
169
OneSpaWorld Holdings Ltd.
9,397
265
Perdoceo Education Corp.
6,233
200
Strategic Education, Inc.
2,709
208
Stride, Inc.*
4,130
356
Universal Technical Institute, Inc.*
5,287
226
 
5,335
Diversified Real Estate Investment Trusts – 0.4%
AH Realty Trust, Inc.
3,692
26
American Assets Trust, Inc.
5,350
132
Broadstone Net Lease, Inc.
24,186
500
CTO Realty Growth, Inc.
7,209
155
Essential Properties Realty Trust, Inc.
18,787
561
Gladstone Commercial Corp.
12,502
154
Global Net Lease, Inc.
18,477
165
 
1,693
Diversified Telecommunication Services – 0.4%
Anterix, Inc.*
5,005
515
ATN International, Inc.
1,460
39
Bandwidth, Inc., Class A*
1,863
118
IDT Corp., Class B
3,279
191
IHS Holding Ltd.*
30,603
252
Liberty Latin America Ltd., Class C*
10,217
80
LICT Corp.*
6
70
Shenandoah Telecommunications Co.
5,592
84
Uniti Group, Inc.*
22,719
260
 
1,609
Electric Utilities – 0.6%
Hawaiian Electric Industries, Inc.*
15,714
213
MGE Energy, Inc.
5,260
429
Otter Tail Corp.
6,404
576
EQUITY FUNDS 98 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Electric Utilities – 0.6%continued
Portland General Electric Co.
12,354
$640
TXNM Energy, Inc. (New York Stock
Exchange)
8,946
508
 
2,366
Electrical Equipment – 0.9%
Allient, Inc.
2,609
269
American Superconductor Corp.*
4,489
186
Array Technologies, Inc.* †
16,371
121
Atkore, Inc.
5,525
420
Babcock & Wilcox Enterprises, Inc.*
5,222
74
EnerSys
5,138
1,201
LSI Industries, Inc.
7,507
200
Plug Power, Inc.* †
65,393
177
Power Solutions International, Inc.*
2,255
88
Preformed Line Products Co.
1,163
478
Shoals Technologies Group, Inc.,
Class A*
18,516
183
 
3,397
Electronic Equipment, Instruments & Components – 3.3%
908 Devices, Inc.*
10,903
95
Arlo Technologies, Inc.*
7,268
98
Badger Meter, Inc.
3,405
505
Bel Fuse, Inc., Class B
3,263
1,087
Belden, Inc.
4,439
532
Benchmark Electronics, Inc.
5,773
570
Climb Global Solutions, Inc.
13,687
318
Crane NXT Co.
5,518
282
CTS Corp.
3,237
211
Daktronics, Inc.*
10,480
205
ePlus, Inc.
6,481
539
Frequency Electronics, Inc.*
4,226
280
Insight Enterprises, Inc.*
5,744
700
Itron, Inc.*
5,277
457
Kimball Electronics, Inc.*
3,185
82
Knowles Corp.*
8,920
370
Methode Electronics, Inc.(2)
5,035
95
Mirion Technologies, Inc.*
32,897
590
M-Tron Industries, Inc.*
2,214
220
Napco Security Technologies, Inc.
3,244
123
nLight, Inc.*
7,644
532
Novanta, Inc.*
4,404
714
OSI Systems, Inc.*
3,244
709
PC Connection, Inc.
4,104
300
Plexus Corp.*
3,721
1,119
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Electronic Equipment, Instruments & Components – 3.3%continued
Powerfleet, Inc. NJ*
1,546
$6
Rogers Corp.*
2,162
354
ScanSource, Inc.*
2,861
149
SmartRent, Inc.* †
72,438
86
Unusual Machines, Inc.* †
6,094
136
Vishay Intertechnology, Inc.
12,905
694
Vishay Precision Group, Inc.*
3,569
535
Vontier Corp.
13,307
386
 
13,079
Energy Equipment & Services – 2.0%
Archrock, Inc.
16,306
664
Atlas Energy Solutions, Inc.
11,271
187
Borr Drilling Ltd.*
24,667
102
Bristow Group, Inc.
4,223
174
Cactus, Inc., Class A
6,704
343
Core Laboratories, Inc.
8,763
102
Expro Group Holdings N.V.*
11,035
163
Forum Energy Technologies, Inc.*
416
21
Helix Energy Solutions Group, Inc.*
22,710
198
Helmerich & Payne, Inc.
10,775
353
Innovex International, Inc.*
3,913
97
Kodiak Gas Services, Inc.
9,271
697
Liberty Energy, Inc.
15,794
414
Nabors Industries Ltd.*
1,092
92
National Energy Services Reunited
Corp.*
9,412
282
Natural Gas Services Group, Inc.
2,322
100
Next Bridge Hydrocarbons, Inc.(1) (3) *
2,700
Noble Corp. PLC
17,050
636
Oceaneering International, Inc.*
11,091
449
Oil States International, Inc.*
3,818
31
Patterson-UTI Energy, Inc.
38,704
355
ProFrac Holding Corp., Class A*
14,451
84
ProPetro Holding Corp.*
6,566
94
RPC, Inc.
25,542
149
Seadrill Ltd.*
5,489
208
Solaris Energy Infrastructure, Inc.
5,631
453
TETRA Technologies, Inc.*
7,528
85
Tidewater, Inc.*
5,821
388
Transocean Ltd.* †
97,706
478
Valaris Ltd.*
6,710
487
 
7,886
Entertainment – 0.7%
Atlanta Braves Holdings, Inc., Class C*
12,831
666
NORTHERN FUNDS QUARTERLY REPORT 99 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Entertainment – 0.7%continued
Cinemark Holdings, Inc.
10,179
$323
IMAX Corp.*
4,149
165
Madison Square Garden Entertainment
Corp.*
2,667
216
Manchester United PLC, Class A*
16,228
372
Marcus (The) Corp.
3,227
76
Playtika Holding Corp.
59,992
223
Sphere Entertainment Co.*
2,667
462
Stubhub Holdings, Inc., Class A*
35,377
455
 
2,958
Financial Services – 2.3%
Acacia Research Corp.*
4,629
22
Bladex, Inc.
5,570
342
Burford Capital Ltd.
26,939
111
Cannae Holdings, Inc.
16,445
237
Cass Information Systems, Inc.
1,345
69
Dlocal Ltd.
27,588
359
Enact Holdings, Inc.
13,858
633
Essent Group Ltd.
12,180
783
Euronet Worldwide, Inc.*
3,570
261
EVERTEC, Inc.
6,971
194
Federal Agricultural Mortgage Corp.,
Class C
780
155
Flywire Corp.*
9,426
166
HA Sustainable Infrastructure Capital,
Inc.
15,933
622
Jackson Financial, Inc., Class A
7,277
745
Lesaka Technologies, Inc.*
4,087
20
Marqeta, Inc., Class A*
42,145
171
Merchants Bancorp
4,101
205
NCR Atleos Corp.*
6,343
275
NMI Holdings, Inc.*
7,676
315
Pagseguro Digital Ltd., Class A
27,629
250
Paymentus Holdings, Inc., Class A*
11,684
282
Payoneer Global, Inc.*
29,591
211
Priority Technology Holdings, Inc.* †
18,825
126
Radian Group, Inc.
12,115
456
Remitly Global, Inc.*
15,427
346
Security National Financial Corp.,
Class A* †
5,491
53
Sezzle, Inc.*
3,076
528
Shift4 Payments, Inc., Class A* †
7,465
363
StoneCo Ltd., Class A
26,624
289
Walker & Dunlop, Inc.
3,246
178
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Financial Services – 2.3%continued
Waterstone Financial, Inc.
3,044
$63
Western Union (The) Co.
30,045
231
 
9,061
Food Products – 0.8%
Alico, Inc.
3,821
158
B&G Foods, Inc.
8,223
33
Bridgford Foods Corp.*
4,018
26
Cal-Maine Foods, Inc.
4,603
371
Del Monte Corp.
3,698
103
Flowers Foods, Inc.
19,798
156
Freshpet, Inc.*
4,510
267
J&J Snack Foods Corp.
2,210
162
John B. Sanfilippo & Son, Inc.
836
72
Lifeway Foods, Inc.* †
1,440
43
Limoneira Co.
1,746
23
Marzetti (The) Co.
2,435
278
Mission Produce, Inc.*
1,828
22
Nomad Foods Ltd.
18,858
206
Post Holdings, Inc.*
4,219
372
Seneca Foods Corp., Class A*
3,208
558
Simply Good Foods (The) Co.*
10,170
135
Tootsie Roll Industries, Inc.
7,531
298
Vital Farms, Inc.* †
4,346
51
 
3,334
Gas Utilities – 1.0%
Brookfield Infrastructure Corp., Class A
12,333
475
Chesapeake Utilities Corp.
2,757
338
New Jersey Resources Corp.
12,460
698
Northwest Natural Holding Co.
4,771
234
ONE Gas, Inc.
14,596
1,125
RGC Resources, Inc.
1,057
25
Southwest Gas Holdings, Inc.
7,232
641
Spire, Inc.
7,058
551
 
4,087
Ground Transportation – 0.5%
ArcBest Corp.
3,205
460
Covenant Logistics Group, Inc.
8,406
371
FTAI Infrastructure, Inc.
24,017
111
Heartland Express, Inc.
9,506
145
Hertz Global Holdings, Inc.* †
30,603
69
Marten Transport Ltd.
6,629
115
PAMT CORP.*
4,766
67
RXO, Inc.*
15,579
430
EQUITY FUNDS 100 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Ground Transportation – 0.5%continued
Universal Logistics Holdings, Inc.
3,352
$50
Werner Enterprises, Inc.
5,724
250
 
2,068
Health Care Equipment & Supplies – 2.8%
Alphatec Holdings, Inc.*
11,067
96
AngioDynamics, Inc.*
6,406
83
Artivion, Inc.*
6,275
141
AtriCure, Inc.*
6,623
185
Avanos Medical, Inc.*
7,525
187
Axogen, Inc.*
6,169
285
Bioventus, Inc., Class A* †
17,776
168
Cerus Corp.*
29,179
85
CONMED Corp.
3,605
118
DENTSPLY SIRONA, Inc.
18,104
192
Electromed, Inc.*
8,961
379
Enovis Corp.*
10,613
220
Envista Holdings Corp.*
15,254
402
Establishment Labs Holdings, Inc.* †
3,247
279
Haemonetics Corp.*
5,112
383
ICU Medical, Inc.*
2,084
306
Inmode Ltd.*
16,273
238
Inspire Medical Systems, Inc.*
2,565
114
Integer Holdings Corp.*
4,877
456
Integra LifeSciences Holdings Corp.*
12,629
227
iRadimed Corp.
4,156
397
IRhythm Holdings, Inc.*
3,005
357
Kewaunee Scientific Corp.* †
3,496
124
Lantheus Holdings, Inc.*
8,321
923
LeMaitre Vascular, Inc.
6,391
613
LivaNova PLC*
6,282
517
Merit Medical Systems, Inc.*
7,886
547
Neogen Corp.*
22,781
205
NeuroPace, Inc.*
11,062
176
Omnicell, Inc.*
5,911
245
OraSure Technologies, Inc.*
11,732
52
Orchestra BioMed Holdings, Inc.* †
9,620
41
Orthofix Medical, Inc.*
8,826
81
OrthoPediatrics Corp.*
4,280
82
Pulse Biosciences, Inc.* †
5,819
161
QuidelOrtho Corp.*
5,199
91
Sanara Medtech, Inc.* †
2,404
57
SI-BONE, Inc.* †
16,851
275
Sight Sciences, Inc.*
11,168
61
STAAR Surgical Co.*
5,467
157
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Health Care Equipment & Supplies – 2.8%continued
Strive, Inc., Class A* †
2,909
$32
Tactile Systems Technology, Inc.*
1,719
51
Tandem Diabetes Care, Inc.*
5,953
90
TransMedics Group, Inc.*
3,344
222
Treace Medical Concepts, Inc.* †
11,922
47
UFP Technologies, Inc.*
2,319
615
Utah Medical Products, Inc.
1,850
128
Varex Imaging Corp.*
7,127
74
 
10,965
Health Care Providers & Services – 2.8%
Acadia Healthcare Co., Inc.*
8,066
238
AdaptHealth Corp.*
18,500
193
Addus HomeCare Corp.*
2,532
254
Alignment Healthcare, Inc.*
17,247
411
AMN Healthcare Services, Inc.*
6,378
206
Ardent Health, Inc.*
12,982
128
Astrana Health, Inc.*
6,146
285
Aveanna Healthcare Holdings, Inc.*
19,328
166
BrightSpring Health Services, Inc.*
20,197
1,409
Brookdale Senior Living, Inc.*
25,191
405
Castle Biosciences, Inc.*
4,942
118
Clover Health Investments Corp.*
49,333
259
Community Health Systems, Inc.*
12,844
43
Concentra Group Holdings Parent, Inc.
12,396
369
CorVel Corp.*
9,458
591
Cross Country Healthcare, Inc.*
8,347
110
Fulgent Genetics, Inc.*
3,693
76
Guardian Pharmacy Services, Inc.,
Class A*
5,663
237
HealthEquity, Inc.*
8,082
730
Hims & Hers Health, Inc.* †
19,888
690
LifeStance Health Group, Inc.*
33,234
356
National HealthCare Corp.
2,590
547
NeoGenomics, Inc.*
12,625
184
NRC Health
4,966
107
OPKO Health, Inc.*
55,749
84
Option Care Health, Inc.*
17,614
369
PACS Group, Inc.*
13,530
577
Pennant Group (The), Inc.*
3,326
123
Privia Health Group, Inc.*
10,189
262
Progyny, Inc.*
9,400
271
RadNet, Inc.*
6,481
400
Select Medical Holdings Corp.
15,362
254
Sonida Senior Living, Inc.* †
2,854
116
NORTHERN FUNDS QUARTERLY REPORT 101 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Health Care Providers & Services – 2.8%continued
Surgery Partners, Inc.*
7,583
$127
U.S. Physical Therapy, Inc.
3,719
255
 
10,950
Health Care Real Estate Investment Trusts – 0.7%
CareTrust REIT, Inc.
24,927
1,006
Chiron Real Estate, Inc.
1,214
46
Community Healthcare Trust, Inc.
2,404
44
Diversified Healthcare Trust
22,942
213
LTC Properties, Inc.
4,542
175
Medical Properties Trust, Inc.
54,634
252
National Health Investors, Inc.
5,264
401
National Healthcare Properties, Inc.* †
8,114
119
Sabra Health Care REIT, Inc.
23,963
468
Sila Realty Trust, Inc.
4,954
150
 
2,874
Health Care Technology – 0.5%
Certara, Inc.*
11,772
77
Doximity, Inc., Class A*
17,202
357
Evolent Health, Inc., Class A* †
13,651
74
GoodRx Holdings, Inc., Class A*
41,442
119
HealthStream, Inc.
3,677
100
LifeMD, Inc.* †
9,076
38
Phreesia, Inc.*
18,042
186
Schrodinger, Inc.*
14,355
233
Simulations Plus, Inc.*
2,903
53
Teladoc Health, Inc.*
15,813
134
TruBridge, Inc.*
5,396
142
Waystar Holding Corp.*
15,981
328
 
1,841
Hotel & Resort Real Estate Investment Trusts – 0.8%
Apple Hospitality REIT, Inc.
24,621
414
Chatham Lodging Trust
4,303
57
DiamondRock Hospitality Co.
26,969
329
Park Hotels & Resorts, Inc.
24,872
354
Pebblebrook Hotel Trust
15,085
293
RLJ Lodging Trust
21,544
255
Ryman Hospitality Properties, Inc.
5,750
739
Service Properties Trust
19,160
32
Summit Hotel Properties, Inc.
8,347
59
Sunstone Hotel Investors, Inc.
26,363
302
Xenia Hotels & Resorts, Inc.
13,117
267
 
3,101
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Hotels, Restaurants & Leisure – 1.6%
Arcos Dorados Holdings, Inc., Class A
23,264
$188
Biglari Holdings, Inc., Class B*
509
217
BJ's Restaurants, Inc.*
3,495
212
Bloomin' Brands, Inc.
8,748
80
Brightstar Lottery PLC
17,851
191
Canterbury Park Holding Corp.
889
14
Cheesecake Factory (The), Inc.
4,442
353
Cracker Barrel Old Country Store, Inc.
3,024
161
Dave & Buster's Entertainment, Inc.*
6,770
77
Dine Brands Global, Inc.
1,965
71
Genius Sports Ltd.*
21,589
131
Global Business Travel Group I*
41,478
389
Hilton Grand Vacations, Inc.*
8,714
456
Jack in the Box, Inc.* †
2,611
41
Kura Sushi U.S.A., Inc., Class A* †
1,191
69
Life Time Group Holdings, Inc.*
17,453
713
Lindblad Expeditions Holdings, Inc.*
6,167
174
Lucky Strike Entertainment Corp.
12,582
94
Marriott Vacations Worldwide Corp.
3,118
318
Monarch Casino & Resort, Inc.
963
127
Nathan's Famous, Inc.
981
100
Papa John's International, Inc.
3,145
116
Penn Entertainment, Inc.*
13,401
286
Pursuit Attractions and Hospitality, Inc.*
2,634
147
Red Rock Resorts, Inc., Class A
7,744
504
Rush Street Interactive, Inc.*
8,710
259
Shake Shack, Inc., Class A*
3,125
175
Six Flags Entertainment Corp.*
9,737
207
Town Sports International Holdings,
Inc.(1) *
1,105
United Parks & Resorts, Inc.* †
5,612
268
Wendy's (The) Co.
17,795
148
 
6,286
Household Durables – 1.6%
Beazer Homes U.S.A., Inc.*
3,211
90
Cavco Industries, Inc.*
1,192
732
Champion Homes, Inc.*
6,311
556
Cricut, Inc., Class A
19,043
84
Dream Finders Homes, Inc., Class A*
8,540
148
Ethan Allen Interiors, Inc.
3,303
74
Flexsteel Industries, Inc.
2,772
207
Green Brick Partners, Inc.*
3,975
318
Hamilton Beach Brands Holding Co.,
Class A
1,837
42
EQUITY FUNDS 102 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Household Durables – 1.6%continued
Hovnanian Enterprises, Inc., Class A*
216
$31
Installed Building Products, Inc.
2,954
679
KB Home
10,002
626
La-Z-Boy, Inc.
5,892
236
Leggett & Platt, Inc.
12,299
144
Lifetime Brands, Inc.
499
4
M/I Homes, Inc.*
2,674
430
Meritage Homes Corp.
6,167
517
Newell Brands, Inc.
39,921
245
Nobility Homes, Inc.
630
17
Sonos, Inc.*
10,447
141
Taylor Morrison Home Corp.*
14,728
1,057
 
6,378
Household Products – 0.4%
Central Garden & Pet Co.*
7,013
311
Energizer Holdings, Inc.
7,097
152
Oil-Dri Corp. of America
5,067
518
Spectrum Brands Holdings, Inc.
4,362
374
WD-40 Co.
1,624
396
 
1,751
Independent Power & Renewable Electricity Producers – 0.4%
Hallador Energy Co.*
7,744
135
Kenon Holdings Ltd.
4,868
325
Ormat Technologies, Inc.
7,566
824
ReNew Energy Global PLC, Class A*
32,938
206
 
1,490
Industrial Real Estate Investment Trusts – 0.5%
Americold Realty Trust, Inc.
26,939
424
Industrial Logistics Properties Trust
19,428
172
Innovative Industrial Properties, Inc.
3,034
188
LXP Industrial Trust
5,296
285
One Liberty Properties, Inc.
7,812
191
Terreno Realty Corp.
13,317
863
 
2,123
Insurance – 2.3%
American Coastal Insurance Corp.
2,959
33
AMERISAFE, Inc.
5,875
199
Assured Guaranty Ltd.
4,219
338
Ategrity Specialty Holdings LLC*
5,518
133
Atlantic American Corp.*
4,789
8
Bowhead Specialty Holdings, Inc.*
2,890
87
Citizens, Inc.* †
4,205
24
CNO Financial Group, Inc.
25,725
1,312
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Insurance – 2.3%continued
Donegal Group, Inc., Class A
3,359
$63
Employers Holdings, Inc.
5,724
289
F&G Annuities & Life, Inc.
10,756
286
Genworth Financial, Inc.*
44,058
417
Goosehead Insurance, Inc., Class A*
2,303
112
Greenlight Capital Re Ltd., Class A*
15,933
258
Hamilton Insurance Group Ltd., Class B
9,397
319
HCI Group, Inc.
1,024
179
Hippo Holdings, Inc.*
4,544
128
Horace Mann Educators Corp.
3,756
194
Investors Title Co.
433
119
Kansas City Life Insurance Co.
1,381
46
Kemper Corp.
5,518
149
Lemonade, Inc.*
5,396
351
MBIA, Inc.*
11,775
77
Mercury General Corp.
2,674
285
Octave Specialty Group, Inc.*
4,001
25
Oscar Health, Inc., Class A*
29,668
846
Palomar Holdings, Inc.*
2,622
331
Pelagos Insurance Capital Ltd.
9,906
241
Root, Inc., Class A*
1,528
85
Safety Insurance Group, Inc.
1,506
113
Selective Insurance Group, Inc.
6,787
658
SiriusPoint Ltd.*
8,324
200
Skyward Specialty Insurance Group,
Inc.*
3,640
212
Slide Insurance Holdings, Inc.*
10,710
207
Stewart Information Services Corp.
1,872
124
Tiptree, Inc.
6,491
116
Trupanion, Inc.*
3,913
97
United Fire Group, Inc.
4,963
260
Universal Insurance Holdings, Inc.
2,890
120
 
9,041
Interactive Media & Services – 0.7%
Angi, Inc.*
5,258
31
Bumble, Inc., Class A*
8,961
29
Cargurus, Inc.*
9,551
326
Cars.com, Inc.*
18,552
203
EverQuote, Inc., Class A*
8,695
207
fuboTV, Inc., Class A*
2,696
25
Grindr, Inc.*
16,553
238
People, Inc.*
7,140
329
QuinStreet, Inc.*
10,376
152
Shutterstock, Inc.
2,670
37
NORTHERN FUNDS QUARTERLY REPORT 103 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Interactive Media & Services – 0.7%continued
Taboola.com Ltd.*
29,533
$148
TripAdvisor, Inc.*
20,502
281
Webtoon Entertainment, Inc.* †
12,658
144
Yelp, Inc.*
14,531
356
Ziff Davis, Inc.*
5,360
281
ZipRecruiter, Inc., Class A*
8,324
31
 
2,818
IT Services – 0.5%
CI&T, Inc., Class A*
13,431
45
Crexendo, Inc.*
15,714
117
DXC Technology Co.*
16,567
147
Everforth, Inc.*
6,133
110
Fastly, Inc., Class A*
22,745
418
Globant S.A.*
3,866
112
Grid Dynamics Holdings, Inc.*
11,864
67
Hackett Group (The), Inc.
4,576
49
Kyndryl Holdings, Inc.*
20,919
237
Matrix I.T Ltd.
3,239
82
Rackspace Technology, Inc.* †
20,447
133
Unisys Corp.*
3,933
14
VTEX, Class A* †
13,769
55
Wix.com Ltd.* †
5,193
236
 
1,822
Leisure Products – 0.5%
Acushnet Holdings Corp.
3,978
472
Callaway Golf Co.*
10,028
188
Escalade, Inc.
3,241
61
JAKKS Pacific, Inc.
439
10
Johnson Outdoors, Inc., Class A
2,083
96
Malibu Boats, Inc., Class A*
2,375
65
MasterCraft Boat Holdings, Inc.*
5,992
155
Peloton Interactive, Inc., Class A*
40,570
240
Polaris, Inc.
5,125
351
Sturm Ruger & Co., Inc.
1,729
65
YETI Holdings, Inc.*
7,140
354
 
2,057
Life Sciences Tools & Services – 0.4%
10X Genomics, Inc., Class A*
11,271
432
AbCellera Biologics, Inc.* †
28,561
224
Alpha Teknova, Inc.* †
2,232
13
Azenta, Inc.*
7,776
199
BioLife Solutions, Inc.*
6,475
183
Champions Oncology, Inc.*
4,471
28
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Life Sciences Tools & Services – 0.4%continued
Codexis, Inc.*
6,196
$14
CryoPort, Inc.*
3,700
58
Fortrea Holdings, Inc.*
9,248
161
Lifecore Biomedical, Inc.*
2,775
15
Maravai LifeSciences Holdings, Inc.,
Class A*
10,965
68
Mesa Laboratories, Inc.
1,269
126
Omniab, Inc.(1) *
1,740
OmniAb, Inc.*
13,993
34
Omniab, Inc. (NASDAQ Exchange)(1) *
1,740
Personalis, Inc.*
12,333
165
 
1,720
Machinery – 3.4%
Aebi Schmidt Holding A.G.
2,268
28
Alamo Group, Inc.
1,385
228
Albany International Corp., Class A
3,849
287
Astec Industries, Inc.
3,437
210
Atmus Filtration Technologies, Inc.
9,477
483
Blue Bird Corp.*
2,899
229
CECO Environmental Corp.*
5,599
508
Columbus McKinnon Corp.
2,037
31
Douglas Dynamics, Inc.
2,709
146
Enerpac Tool Group Corp.
7,622
273
Enpro, Inc.
2,326
877
ESCO Technologies, Inc.
3,511
1,229
Federal Signal Corp.
9,593
1,233
Franklin Electric Co., Inc.
5,708
612
Gorman-Rupp (The) Co.
3,924
360
Graham Corp.*
2,748
340
Greenbrier (The) Cos., Inc.
3,047
149
Helios Technologies, Inc.
2,384
213
Hillman Solutions Corp.*
18,500
156
Hyster-Yale, Inc.
2,247
79
JBT Marel Corp.
4,868
706
Kadant, Inc.
1,195
376
Kennametal, Inc.
10,656
374
L.B. Foster Co., Class A*
1,273
58
Lindsay Corp.
1,301
161
Miller Industries, Inc.
4,232
216
Mueller Water Products, Inc., Class A
20,304
524
Omega Flex, Inc.
991
31
Park-Ohio Holdings Corp.
3,246
125
Proto Labs, Inc.*
3,231
263
Standex International Corp.
2,484
888
EQUITY FUNDS 104 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Machinery – 3.4%continued
Stratasys Ltd.*
5,592
$48
Tennant Co.
2,442
214
Terex Corp.
11,133
806
Titan International, Inc.*
7,373
57
Trinity Industries, Inc.
11,416
395
Twin Disc, Inc.
2,047
47
Wabash National Corp.
4,008
54
Worthington Enterprises, Inc.
7,625
410
 
13,424
Marine Transportation – 0.5%
Costamare, Inc.
11,360
159
Danaos Corp.
1,707
209
Matson, Inc.
6,262
1,204
Star Bulk Carriers Corp.
12,283
307
ZIM Integrated Shipping Services Ltd.
11,360
295
 
2,174
Media – 0.5%
AMC Global Media, Inc.* †
4,664
47
Cable One, Inc.*
618
33
DoubleVerify Holdings, Inc.*
15,427
167
Emerald Holding, Inc.
5,699
29
Entravision Communications Corp.,
Class A
39,426
514
EW Scripps (The) Co., Class A* †
4,695
13
Gray Media, Inc.
14,094
56
iHeartMedia, Inc., Class A*
11,326
49
John Wiley & Sons, Inc., Class A
5,744
279
Magnite, Inc.*
7,213
137
PubMatic, Inc., Class A*
10,061
132
Scholastic Corp.
4,271
196
Sinclair, Inc.
6,799
97
Stagwell, Inc.*
24,247
180
TechTarget, Inc.*
2,612
9
U.S.A. TODAY Co., Inc.*
14,412
123
 
2,061
Metals & Mining – 1.4%
Alpha Metallurgical Resources, Inc.*
1,305
215
American Battery Technology Co.*
69,640
197
Ampco-Pittsburgh Corp.*
1,957
17
Century Aluminum Co.*
8,375
385
Commercial Metals Co.
14,154
888
Constellium S.E.*
16,303
519
Contango Silver & Gold, Inc.*
231
4
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Metals & Mining – 1.4%continued
Dakota Gold Corp.*
24,667
$105
Ferroglobe PLC
29,535
94
Idaho Strategic Resources, Inc.* †
3,246
106
Kaiser Aluminum Corp.
1,888
369
Materion Corp.
4,226
1,257
Nexa Resources S.A.*
12,333
151
Ramaco Resources, Inc., Class A*
5,130
68
Ryerson Holding Corp.
3,414
84
SSR Mining, Inc.*
19,474
551
Tredegar Corp.*
4,110
33
Warrior Met Coal, Inc.
4,832
392
Worthington Steel, Inc.
7,612
256
 
5,691
Mortgage Real Estate Investment Trusts – 0.5%
Adamas Trust, Inc.
6,744
63
Apollo Commercial Real Estate Finance,
Inc.
20,426
218
Arbor Realty Trust, Inc.
37,938
206
ARMOUR Residential REIT, Inc.
11,652
203
Blackstone Mortgage Trust, Inc.,
Class A
16,042
272
BrightSpire Capital, Inc.
7,413
41
Dynex Capital, Inc.
27,558
361
Ellington Financial, Inc.
1,051
14
Franklin BSP Realty Trust, Inc.
5,235
43
Invesco Mortgage Capital, Inc.
1,517
12
Ladder Capital Corp.
17,247
172
Orchid Island Capital, Inc.
929
7
Ready Capital Corp.
3,044
5
Redwood Trust, Inc.
7,216
34
TPG Mortgage Investment Trust, Inc.
1,805
14
TPG RE Finance Trust, Inc.
13,307
111
Two Harbors Investment Corp.
5,291
66
 
1,842
Multi-Utilities – 0.4%
Avista Corp.
8,585
351
Black Hills Corp.
7,963
593
Northwestern Energy Group, Inc.
7,084
507
Unitil Corp.
2,243
118
 
1,569
Office Real Estate Investment Trusts – 0.4%
Brandywine Realty Trust
20,139
64
COPT Defense Properties
11,941
435
NORTHERN FUNDS QUARTERLY REPORT 105 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Office Real Estate Investment Trusts – 0.4%continued
Douglas Emmett, Inc.
18,014
$213
Easterly Government Properties, Inc.
3,828
95
Empire State Realty Trust, Inc., Class A
15,777
85
Highwoods Properties, Inc.
9,664
291
Hudson Pacific Properties, Inc.*
2,229
34
JBG SMITH Properties
14,680
215
Piedmont Realty Trust, Inc.*
14,486
133
 
1,565
Oil, Gas & Consumable Fuels – 3.4%
Ardmore Shipping Corp.
14,013
196
BKV Corp.*
7,683
210
California Resources Corp.
8,688
459
Calumet, Inc.*
7,857
283
Centrus Energy Corp., Class A* †
1,810
304
Clean Energy Fuels Corp.*
8,759
18
CNX Resources Corp.*
16,258
552
Comstock Resources, Inc.*
27,659
413
Core Natural Resources, Inc.
6,024
482
Crescent Energy Co., Class A
2,142
21
CVR Energy, Inc.
12,022
331
Delek U.S. Holdings, Inc.
7,293
371
DHT Holdings, Inc.
18,068
299
FLEX LNG Ltd.* †
6,391
179
Geopark Ltd.
10,386
94
Golar LNG Ltd.
14,422
719
Granite Ridge Resources, Inc.
23,693
104
Green Plains, Inc.*
10,054
155
Gulfport Energy Corp.*
2,178
370
HighPeak Energy, Inc.
11,395
80
International Seaways, Inc.
6,082
466
Kinetik Holdings, Inc.
7,093
343
Kosmos Energy Ltd.*
55,824
118
Magnolia Oil & Gas Corp., Class A
18,841
482
Murphy Oil Corp.
16,661
542
NACCO Industries, Inc., Class A
2,437
122
Navigator Holdings Ltd.
7,966
148
New Era Energy & Digital, Inc.* †
21,096
135
Nordic American Tankers Ltd.
29,986
166
Northern Oil & Gas, Inc.
8,872
161
Okeanis Eco Tankers Corp.
3,570
179
Par Pacific Holdings, Inc.*
6,598
370
PBF Energy, Inc., Class A
14,177
645
Peabody Energy Corp.
13,314
308
PrimeEnergy Resources Corp.* †
948
158
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Oil, Gas & Consumable Fuels – 3.4%continued
REX American Resources Corp.*
14,773
$667
SandRidge Energy, Inc.
2,867
39
Scorpio Tankers, Inc.
7,641
529
SFL Corp. Ltd.
12,499
127
SM Energy Co.
25,851
675
Talos Energy, Inc.*
16,229
210
Teekay Corp. Ltd.
9,245
92
Teekay Tankers Ltd., Class A
4,098
266
Uranium Energy Corp.*
43,040
459
VAALCO Energy, Inc.
31,687
161
W&T Offshore, Inc.
25,220
79
World Kinect Corp.
7,519
248
 
13,535
Paper & Forest Products – 0.0%
Clearwater Paper Corp.*
2,194
35
Magnera Corp.(4) *
32
Sylvamo Corp.
4,049
153
 
188
Passenger Airlines – 0.3%
Allegiant Travel Co.*
2,596
305
SkyWest, Inc.*
7,129
708
 
1,013
Personal Care Products – 0.4%
BellRing Brands, Inc.*
12,241
159
Coty, Inc., Class A*
82,763
179
Edgewell Personal Care Co.
6,600
177
elf Beauty, Inc.*
5,518
408
Interparfums, Inc.
2,313
259
Nature's Sunshine Products, Inc.*
2,250
49
Nu Skin Enterprises, Inc., Class A
8,170
43
Oddity Tech Ltd., Class A* †
5,894
89
USANA Health Sciences, Inc.*
1,388
30
 
1,393
Pharmaceuticals – 2.7%
Alto Neuroscience, Inc.*
6,468
171
Alumis, Inc.*
11,661
328
Amneal Pharmaceuticals, Inc.*
24,308
421
Amphastar Pharmaceuticals, Inc.*
6,755
136
Amylyx Pharmaceuticals, Inc.*
17,592
316
ANI Pharmaceuticals, Inc.*
2,242
186
AtaiBeckley, Inc.* †
34,728
183
Atea Pharmaceuticals, Inc.*
6,275
29
Collegium Pharmaceutical, Inc.* †
9,870
357
EQUITY FUNDS 106 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Pharmaceuticals – 2.7%continued
Contineum Therapeutics, Inc., Class A*
3,719
$61
Crinetics Pharmaceuticals, Inc.* †
9,210
345
Definium Therapeutics, Inc.*
10,386
489
Edgewise Therapeutics, Inc.*
9,397
382
Enliven Therapeutics, Inc.*
5,560
282
Esperion Therapeutics, Inc.*
82,968
262
Eton Pharmaceuticals, Inc.*
6,491
235
EyePoint, Inc.*
8,223
118
Fulcrum Therapeutics, Inc.*
14,333
52
GH Research PLC*
5,998
161
Harmony Biosciences Holdings, Inc.*
2,217
81
Harrow, Inc.*
10,067
428
Indivior Pharmaceuticals, Inc.*
11,271
462
Innoviva, Inc.*
16,306
370
LENZ Therapeutics, Inc.*
4,677
27
Lexicon Pharmaceuticals, Inc.* †
8,328
20
Ligand Pharmaceuticals, Inc.*
2,893
914
Liquidia Corp.*
5,766
460
Maze Therapeutics, Inc.*
8,024
239
Nektar Therapeutics* †
3,246
227
Nuvation Bio, Inc.*
32,781
186
Ocular Therapeutix, Inc.*
20,493
201
Oculis Holding A.G.* †
6,075
84
Omeros Corp.* †
9,825
93
Organon & Co.
23,564
319
Pacira BioSciences, Inc.*
6,858
174
Perrigo Co. PLC
12,241
127
Phathom Pharmaceuticals, Inc.* †
6,048
66
Phibro Animal Health Corp., Class A
5,177
163
Prestige Consumer Healthcare, Inc.*
7,380
349
Rapport Therapeutics, Inc.*
4,544
189
Septerna, Inc.*
4,219
141
SIGA Technologies, Inc.
4,210
15
Supernus Pharmaceuticals, Inc.*
6,642
309
Tarsus Pharmaceuticals, Inc.*
2,648
167
Theravance Biopharma, Inc.*
5,865
100
Third Harmonic Bio, Inc.(1) * †
6,789
Tilray Brands, Inc.* †
7,419
33
Trevi Therapeutics, Inc.*
13,307
248
WaVe Life Sciences Ltd.*
4,507
26
Xeris Biopharma Holdings, Inc.*
19,640
156
 
10,888
Professional Services – 1.3%
Andersen Group, Inc., Class A*
3,246
122
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Professional Services – 1.3%continued
Asure Software, Inc.*
900
$7
Barrett Business Services, Inc.
14,336
509
CBIZ, Inc.*
13,848
444
Concentrix Corp.
5,808
130
Conduent, Inc.*
17,592
26
CRA International, Inc.
2,329
331
Exponent, Inc.
7,193
423
First Advantage Corp.*
16,228
293
Franklin Covey Co.*
2,919
72
Huron Consulting Group, Inc.*
2,364
213
ICF International, Inc.
2,361
172
Innodata, Inc.*
2,577
195
Insperity, Inc.
4,900
202
Kelly Services, Inc., Class A
2,925
36
Korn Ferry
6,845
456
Legalzoom.com, Inc.*
16,354
100
ManpowerGroup, Inc.
5,244
177
Maximus, Inc.
6,169
332
Resolute Holdings Management, Inc.* †
974
141
Robert Half, Inc.
9,737
299
TIC Solutions, Inc.*
7,692
62
TriNet Group, Inc.
5,064
251
Upwork, Inc.*
11,954
100
Verra Mobility Corp.*
15,456
66
Willdan Group, Inc.*
1,823
144
 
5,303
Real Estate Management & Development – 0.9%
AGNT, Inc.
6,566
36
American Realty Investors, Inc.* †
1,076
24
Compass, Inc., Class A*
88,566
1,092
Cushman & Wakefield Ltd.*
30,204
404
Forestar Group, Inc.*
6,378
202
FRP Holdings, Inc.*
1,302
33
Howard Hughes Holdings, Inc.*
5,518
394
Marcus & Millichap, Inc.
3,569
111
Newmark Group, Inc., Class A
14,425
218
Opendoor Technologies, Inc.* †
120,087
555
RMR Group (The), Inc., Class A
81
2
St. Joe (The) Co.
3,927
246
Stratus Properties, Inc.* †
912
26
Tejon Ranch Co.*
4,828
90
Transcontinental Realty Investors, Inc.* †
292
13
 
3,446
NORTHERN FUNDS QUARTERLY REPORT 107 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Residential Real Estate Investment Trusts – 0.2%
BRT Apartments Corp.
1,913
$29
Centerspace
1,010
57
Independence Realty Trust, Inc.
24,244
405
NexPoint Residential Trust, Inc.
2,309
64
UMH Properties, Inc.
5,012
76
 
631
Retail Real Estate Investment Trusts – 1.1%
Acadia Realty Trust
10,569
221
Alexander's, Inc.
394
109
CBL & Associates Properties, Inc.
2,378
126
Curbline Properties Corp.
7,064
215
Getty Realty Corp.
4,571
152
InvenTrust Properties Corp.
7,754
274
Kite Realty Group Trust
25,197
715
Macerich (The) Co.
35,169
886
NETSTREIT Corp.
7,345
155
Phillips Edison & Co., Inc.
13,137
547
Saul Centers, Inc.
1,207
45
SITE Centers Corp.
3,531
14
Tanger, Inc.
14,281
564
Urban Edge Properties
13,275
304
Whitestone REIT
9,757
185
 
4,512
Semiconductors & Semiconductor Equipment – 3.1%
ACM Research, Inc., Class A*
6,623
840
Aeluma, Inc.* †
6,665
147
Alpha & Omega Semiconductor Ltd.*
3,286
156
Ambarella, Inc.*
4,014
344
Amtech Systems, Inc.*
597
14
Atomera, Inc.* †
17,686
154
Axcelis Technologies, Inc.*
6,871
1,302
Blaize Holdings, Inc.* †
32,596
45
Canadian Solar, Inc.* †
14,128
226
CEVA, Inc.*
5,173
244
Cohu, Inc.*
7,549
558
Diodes, Inc.*
5,441
595
Everspin Technologies, Inc.*
8,698
210
Ichor Holdings Ltd.*
5,780
649
Impinj, Inc.*
2,964
425
indie Semiconductor, Inc., Class A* †
23,403
105
Kopin Corp.*
280
1
Kulicke & Soffa Industries, Inc.
7,573
1,013
Magnachip Semiconductor Corp.*
2,490
12
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Semiconductors & Semiconductor Equipment – 3.1%continued
NVE Corp.
1,237
$129
PDF Solutions, Inc.*
9,055
641
Penguin Solutions, Inc.*
9,139
695
Photronics, Inc.*
10,519
342
POET Technologies, Inc.*
10,386
107
Power Integrations, Inc.
6,159
516
SEALSQ Corp.* †
36,026
114
Synaptics, Inc.*
4,323
537
Ultra Clean Holdings, Inc.*
7,644
1,090
Universal Display Corp.
4,544
393
Valens Semiconductor Ltd.*
52,561
119
Veeco Instruments, Inc.*
8,372
635
 
12,358
Software – 5.2%
8x8, Inc.*
48,393
83
A10 Networks, Inc.
6,491
242
ACI Worldwide, Inc.*
13,610
684
Adeia, Inc.
11,474
378
Agilysys, Inc.*
3,524
368
Alarm.com Holdings, Inc.*
8,465
395
Alkami Technology, Inc.* †
9,809
178
Allot Ltd.*
9,299
82
Amplitude, Inc., Class A*
11,900
91
Appian Corp., Class A*
6,665
153
Asana, Inc., Class A*
21,348
149
AvePoint, Inc.*
35,968
403
BILL Holdings, Inc.*
9,412
340
Bit Digital, Inc.*
28,526
51
Blackbaud, Inc.* †
5,918
175
BlackLine, Inc.*
5,789
162
Box, Inc., Class A*
16,451
437
Braze, Inc., Class A*
10,827
235
CCC Intelligent Solutions Holdings,
Inc.*
55,175
285
Cellebrite DI Ltd.*
23,368
341
Cleanspark, Inc.*
19,972
291
Clear Secure, Inc., Class A
13,596
758
Cognyte Software Ltd.*
22,907
201
Commvault Systems, Inc.*
4,520
641
Consensus Cloud Solutions, Inc.*
1,804
69
CS Disco, Inc.*
15,714
59
Daily Journal Corp.*
200
120
Digimarc Corp.* †
3,695
30
Digital Turbine, Inc.*
8,884
115
EQUITY FUNDS 108 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Software – 5.2%continued
EverCommerce, Inc.* †
16,567
$167
Five9, Inc.*
7,866
168
Freshworks, Inc., Class A*
38,227
387
Horizon Quantum Holdings Ltd.,
Class A* †
11,035
306
I3 Verticals, Inc., Class A*
8,202
175
Intapp, Inc.*
7,438
187
InterDigital, Inc.
4,687
1,327
JFrog Ltd.*
14,605
1,327
Karooooo Ltd.
2,735
135
Life360, Inc.* †
7,003
388
LiveRamp Holdings, Inc.*
6,514
245
Monday.com Ltd.*
4,868
352
N-able, Inc.*
17,003
62
nCino, Inc.* †
10,588
173
NCR Voyix Corp.* †
12,625
103
OneSpan, Inc.
15,420
221
Pagaya Technologies Ltd., Class A* †
14,446
264
PagerDuty, Inc.*
9,253
89
Porch Group, Inc.*
9,299
140
Progress Software Corp.*
5,148
173
Q2 Holdings, Inc.*
5,695
274
Qualys, Inc.*
3,927
540
Radware Ltd.*
3,913
121
Rapid7, Inc.* †
5,512
45
Red Violet, Inc.*
2,365
151
Rezolve AI PLC* †
63,086
199
Rimini Street, Inc.*
28,368
121
RingCentral, Inc., Class A
7,789
304
Riot Platforms, Inc.*
28,992
794
ServiceTitan, Inc., Class A*
11,360
803
Sprinklr, Inc., Class A*
23,396
121
Sprout Social, Inc., Class A*
6,048
46
SPS Commerce, Inc.*
5,228
299
Telos Corp.*
14,750
68
Tenable Holdings, Inc.*
10,959
404
Teradata Corp.*
10,489
363
Upland Software, Inc.(4) * †
5
Varonis Systems, Inc.*
16,062
674
Vertex, Inc., Class A*
16,371
188
Via Transportation, Inc., Class A*
7,789
141
Viant Technology, Inc., Class A*
7,249
92
Weave Communications, Inc.*
7,557
45
Workiva, Inc.*
7,991
388
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Software – 5.2%continued
Xperi, Inc.* †
4,587
$38
Yext, Inc.*
11,053
52
Zeta Global Holdings Corp., Class A*
23,519
463
 
20,639
Specialized Real Estate Investment Trusts – 0.3%
Four Corners Property Trust, Inc.
9,210
226
Gladstone Land Corp.
9,230
79
National Storage Affiliates Trust
6,623
294
Outfront Media, Inc.
17,137
561
Safehold, Inc.
2,542
40
Smartstop Self Storage REIT, Inc.
3,063
100
 
1,300
Specialty Retail – 2.1%
1-800-Flowers.com, Inc., Class A* †
5,138
18
Abercrombie & Fitch Co., Class A*
6,845
616
Academy Sports & Outdoors, Inc.
7,850
370
Advance Auto Parts, Inc.
5,518
343
American Eagle Outfitters, Inc.
19,292
332
Arhaus, Inc.
12,257
103
Asbury Automotive Group, Inc.*
2,068
416
Barnes & Noble Education, Inc.*
238
3
Bed Bath & Beyond, Inc.*
4,080
24
Boot Barn Holdings, Inc.*
3,196
525
Buckle (The), Inc.
3,556
150
Build-A-Bear Workshop, Inc.
3,237
99
Caleres, Inc.
5,730
71
Camping World Holdings, Inc., Class A
4,490
34
Citi Trends, Inc.*
3,759
217
Designer Brands, Inc., Class A
7,114
42
Genesco, Inc.*
2,867
97
Group 1 Automotive, Inc.
2,335
680
Haverty Furniture Cos., Inc.
2,709
69
Monro, Inc.
4,169
71
National Vision Holdings, Inc.*
7,680
146
Revolve Group, Inc.*
7,683
176
RH*
1,623
267
RideNow Group, Inc.* †
28,536
190
Sally Beauty Holdings, Inc.*
17,112
242
Shoe Station Group, Inc.
6,685
99
Signet Jewelers Ltd.
5,544
478
Sonic Automotive, Inc., Class A
5,930
503
ThredUp, Inc., Class A*
10,204
70
Upbound Group, Inc.
5,533
117
NORTHERN FUNDS QUARTERLY REPORT 109 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Specialty Retail – 2.1%continued
Urban Outfitters, Inc.*
7,267
$515
Victoria's Secret & Co.*
7,944
663
Warby Parker, Inc., Class A*
11,684
355
Winmark Corp.
644
273
Zumiez, Inc.*
4,267
76
 
8,450
Technology Hardware, Storage & Peripherals – 0.1%
Corvex, Inc.*
6,491
141
CPI Card Group, Inc.*
3,913
81
Diebold Nixdorf, Inc.*
3,418
291
Immersion Corp.
5,602
38
 
551
Textiles, Apparel & Luxury Goods – 0.7%
Capri Holdings Ltd.*
10,710
199
Carter's, Inc.
3,830
158
Columbia Sportswear Co.
4,832
299
Figs, Inc., Class A*
15,579
159
Fossil Group, Inc.*
5,042
21
G-III Apparel Group Ltd.
4,545
153
Kontoor Brands, Inc.
4,842
404
Movado Group, Inc.
2,388
94
Oxford Industries, Inc.
2,954
103
PVH Corp.
4,219
313
Rocky Brands, Inc.
2,660
110
Steven Madden Ltd.
9,893
416
Under Armour, Inc., Class A*
38,289
245
Wolverine World Wide, Inc.
7,345
121
 
2,795
Tobacco – 0.1%
Turning Point Brands, Inc.
180
15
Universal Corp.
3,437
180
 
195
Trading Companies & Distributors – 1.3%
BlueLinx Holdings, Inc.*
2,106
130
Boise Cascade Co.
5,196
403
Custom Truck One Source, Inc.*
21,421
253
Distribution Solutions Group, Inc.*
5,038
138
DNOW, Inc.*
20,768
269
DXP Enterprises, Inc.*
1,137
192
EVI Industries, Inc.
1,669
25
GATX Corp.
4,156
736
Global Industrial Co.
4,932
165
McGrath RentCorp
3,714
450
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 96.3%continued
Trading Companies & Distributors – 1.3%continued
NPK International, Inc.*
9,081
$144
Rush Enterprises, Inc., Class A
14,808
1,081
Titan Machinery, Inc.*
1,276
27
Transcat, Inc.*
2,497
232
Willis Lease Finance Corp.
1,511
346
Xometry, Inc., Class A*
4,832
466
 
5,057
Water Utilities – 0.4%
American States Water Co.
5,170
427
Artesian Resources Corp., Class A
2,585
88
Cadiz, Inc.*
9,194
39
California Water Service Group
6,504
317
Consolidated Water Co. Ltd.
6,182
182
H2O America
3,495
212
Middlesex Water Co.
3,885
218
York Water (The) Co.
2,713
83
 
1,566
Wireless Telecommunication Services – 0.2%
Array Digital Infrastructure, Inc.
8,114
294
Gogo, Inc.*
4,523
14
Spok Holdings, Inc.
8,689
89
Telephone and Data Systems, Inc.
11,194
415
 
812
Total Common Stocks
(Cost $232,483)
383,838
 
PREFERRED STOCKS – 0.0%
Diversified Telecommunication Services – 0.0%
Liberty Latin America Ltd.* †
1,021
22
Total Preferred Stocks
(Cost $45)
22
 
RIGHTS – 0.0%
Biotechnology – 0.0%
Akero Therapeutics, Inc. (Contingent
Value Rights)(1) * †
3,564
Albireo Pharma, Inc. (Contingent Value
Rights)(1) (3) *
7,485
69
Concert Pharmaceuticals, Inc.
(Contingent Value Rights)(1) (3) *
20,570
Flexion Therapeutics, Inc. (Contingent
Value Rights)(1) (3) *
9,753
3
Gilead Sciences, Inc. (Contingent Value
Rights)(1) (3) *
6,510
EQUITY FUNDS 110 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
RIGHTS - 0.0%continued
Biotechnology – 0.0%continued
Inhibrx, Inc. (Contingent Value
Rights)(1) *
7,862
$
Repare Therapeutics, Inc. (Contingent
Value Rights)(1) *
76,762
Sage Therapeutics, Inc. (Contingent
Value Rights)(1) *
8,772
Tobira Therapeutics, Inc. (Contingent
Value Rights)(1) (3) *
16,926
 
72
Financial Services – 0.0%
Gurnet Point Capital LLC (Contingent
Value Rights)(1) (3) *
13,493
Health Care Equipment & Supplies – 0.0%
American Medical Alert Corp.(1) (3) *
13,109
Paper & Forest Products – 0.0%
Resolute Forest Products, Inc., Class A
(Contingent Value Rights)(1) (3) *
11,874
Pharmaceuticals – 0.0%
Avadel Pharmaceuticals PLC
(Contingent Value Rights)(1) *
10,012
Harmony Biosciences Holdings, Inc.
(Contingent Value Rights)(1) *
16,116
Opiant Pharmaceuticals, Inc.
(Contingent Value Rights)(1) (3) *
9,938
Sun Pharmaceutical Industries Ltd.
(Contingent Value Rights)(1) *
44,767
 
Total Rights
(Cost $131)
72
 
OTHER – 0.0%
Escrow Bowl America Inc.,
Class A (1) (3) (4) *
492
Total Other
(Cost $—)
 
NUMBER
OF WARRANTS
VALUE
(000S)
WARRANTS – 0.0%
Pulse Biosciences, Inc., Exp. 6/27/29,
Strike $0.00*
1,625
$14
Total Warrants
(Cost $—)
14
 
NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 8.7%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(5) (6) (7)
20,683,767
$20,684
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(5) (6)
13,759,724
13,760
Total Investment Companies
(Cost $34,444)
34,444
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.2%
U.S. Treasury Bill,
3.60%, 10/15/26(8) (9)
$1,050
$1,038
Total Short-Term Investments
(Cost $1,039)
1,038
 
Total Investments – 105.2%
(Cost $268,142)
419,428
Liabilities less Other Assets – (5.2%)
(20,894
)
NET ASSETS – 100.0%
$398,534
(1)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(2)
Investment in affiliate.
(3)
Restricted security. At June 30, 2026, the value of these restricted securities
amounted to approximately $72,000 or 0.0% of net assets. Additional
information on these restricted securities are as follows:
SECURITY
ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Albireo Pharma, Inc. (Contingent Value
Rights)
3/3/23
$
American Medical Alert Corp.
1/3/12
Concert Pharmaceuticals, Inc. (Contingent
Value Rights)
3/7/23
Escrow Bowl America Inc., Class A
11/14/25
Flexion Therapeutics, Inc. (Contingent Value
Rights)
11/22/21
Gilead Sciences, Inc. (Contingent Value
Rights)
4/29/26
Gurnet Point Capital LLC (Contingent Value
Rights)
9/22/23
Next Bridge Hydrocarbons, Inc.
12/13/22
8
Opiant Pharmaceuticals, Inc. (Contingent
Value Rights)
3/3/23
Resolute Forest Products, Inc., Class A
(Contingent Value Rights)
3/1/23
NORTHERN FUNDS QUARTERLY REPORT 111 EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued
June 30, 2026 (UNAUDITED)
SECURITY
ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Tobira Therapeutics, Inc. (Contingent Value
Rights)
11/2/16
$131
 
 
(4)
Value rounds to less than one thousand.
(5)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(6)
7-day current yield as of June 30, 2026 is disclosed.
(7)
Investment of cash collateral received from securities lending activities.
(8)
Discount rate at the time of purchase.
(9)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini Russell
2000 Index
93
$14,162
Long
9/26
$386
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar
securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Banks
$36,170
$14
$
$36,184
Biotechnology
38,799
8
38,807
Household Durables
6,361
17
6,378
All Other Industries(1)
302,469
302,469
Total Common Stocks
383,799
31
8
383,838
Preferred Stocks
22
22
Rights(1)
72
72
Warrants
14
14
Investment Companies
34,444
34,444
Short-Term Investments
1,038
1,038
Total Investments
$418,265
$1,083
$80
$419,428
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$386
$
$
$386
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
NET
REALIZED
GAINS
(LOSSES)
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Methode Electronics, Inc.
$29
$
$2
$70
$(2
)
$95
5,035
$—*
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
16,256
34,088
29,660
20,684
20,683,767
70
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
3,430
20,761
10,431
13,760
13,759,724
97
Total
$19,715
$54,849
$40,093
$70
$(2
)
$34,539
34,448,526
$167
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
*
Amount rounds to less than one thousand.
EQUITY FUNDS 112 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
SMALL CAP INDEX FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.9%
Aerospace & Defense – 1.8%
AAR Corp.*
20,217
$2,890
AerSale Corp.*
19,486
123
Aevex Corp., Class A* †
9,311
194
AIRO Group Holdings, Inc.* †
11,715
87
Archer Aviation, Inc., Class A* †
340,812
1,612
Astronics Corp.* †
13,343
1,084
Astronics Corp., Class B* †
2,898
220
Beta Technologies, Inc., Class A* †
17,476
293
Cadre Holdings, Inc.
15,923
454
Ducommun, Inc.*
7,124
1,319
Eve Holding, Inc.* †
45,560
114
Firefly Aerospace, Inc.* †
40,331
1,186
Innovative Solutions and Support, Inc.*
7,663
138
Intuitive Machines, Inc.* †
64,691
1,384
Mercury Systems, Inc.*
28,509
3,487
Moog, Inc., Class A
14,486
6,140
National Presto Industries, Inc.
2,795
349
Park Aerospace Corp.
9,020
344
Red Cat Holdings, Inc.* †
56,242
599
Redwire Corp.* †
98,999
1,211
Satellogic, Inc., Class A*
49,223
282
Sidus Space, Inc., Class A* †
42,725
120
Starfighters Space, Inc.* †
15,928
85
Swarmer, Inc.*
1,780
79
TAT Technologies Ltd.*
6,154
297
V2X, Inc.*
14,844
1,107
Virgin Galactic Holdings, Inc.* †
50,494
146
Voyager Technologies, Inc., Class A* †
26,274
847
VSE Corp.
14,318
3,272
York Space Systems, Inc.* †
9,834
242
 
29,705
Air Freight & Logistics – 0.1%
Forward Air Corp.*
12,113
164
Hub Group, Inc., Class A
30,575
1,339
Radiant Logistics, Inc.*
18,002
170
 
1,673
Automobile Components – 1.2%
Adient PLC*
40,139
738
Cooper-Standard Holdings, Inc.*
8,888
240
Dana, Inc.
56,046
1,525
Dauch Corp.*
120,021
651
Dorman Products, Inc.* †
13,675
1,866
Fox Factory Holding Corp.*
21,675
367
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Automobile Components – 1.2%continued
Garrett Motion, Inc.
88,298
$3,199
Gentherm, Inc.*
15,610
532
Goodyear Tire & Rubber (The) Co.*
142,954
944
Holley, Inc.*
40,704
104
LCI Industries
12,178
1,289
Motorcar Parts of America, Inc.* †
6,656
102
Patrick Industries, Inc.
16,426
1,475
Phinia, Inc.
18,857
1,553
Solid Power, Inc.* †
104,765
271
Standard Motor Products, Inc.
10,914
425
Stoneridge, Inc.*
14,581
107
Strattec Security Corp.*
2,018
164
Versigent PLC*
36,530
1,535
Visteon Corp.
13,644
1,354
XPEL, Inc.*
12,959
643
 
19,084
Automobiles – 0.1%
Harley-Davidson, Inc.
53,279
1,303
Livewire Group, Inc.* †
8,870
10
Lucid Group, Inc.* †
64,594
432
Winnebago Industries, Inc.
14,154
442
 
2,187
Banks – 10.3%
1st Source Corp.
9,125
744
ACNB Corp.
5,294
314
Amalgamated Financial Corp.
9,362
430
Amerant Bancorp, Inc.
17,583
449
Ameris Bancorp
33,377
3,013
Ames National Corp.
4,453
132
Arrow Financial Corp.
8,463
347
Associated Banc-Corp
73,489
2,261
Atlantic Union Bankshares Corp.
72,971
3,087
Avidbank Holdings, Inc.* †
4,884
161
Avidia Bancorp, Inc.
9,719
204
Axos Financial, Inc.*
28,054
2,732
Banc of California, Inc.
78,076
1,595
BancFirst Corp.
10,964
1,218
Bancorp (The), Inc.*
20,340
1,274
Bank First Corp.
5,302
787
Bank of Hawaii Corp.
20,185
1,645
Bank of Marin Bancorp
7,602
211
Bank of NT Butterfield & Son (The) Ltd.
20,430
1,216
Bank7 Corp.
2,177
107
NORTHERN FUNDS QUARTERLY REPORT 113 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 10.3%continued
BankUnited, Inc.
37,772
$1,830
Bankwell Financial Group, Inc.
3,048
179
Banner Corp.
17,147
1,139
Bar Harbor Bankshares
8,595
325
BayCom Corp.
4,938
162
BCB Bancorp, Inc.
8,591
92
Beacon Financial Corp.
43,158
1,314
Blue Ridge Bankshares, Inc.
34,283
121
Bridgewater Bancshares, Inc.* †
11,319
238
Burke & Herbert Financial Services
Corp.
7,815
562
Business First Bancshares, Inc.
16,081
494
BV Financial, Inc.*
3,736
79
Byline Bancorp, Inc.
15,680
591
C&F Financial Corp.
1,525
122
California BanCorp
13,436
280
Camden National Corp.
8,582
465
Capital Bancorp, Inc.
5,880
206
Capital City Bank Group, Inc.
7,226
357
Capitol Federal Financial, Inc.
62,048
528
Carter Bankshares, Inc.
11,486
391
Cathay General Bancorp
33,173
2,056
CB Financial Services, Inc.
2,152
82
Central Pacific Financial Corp.
13,184
504
CF Bankshares, Inc.
2,689
88
Chain Bridge Bancorp, Inc., Class A*
1,128
47
Chemung Financial Corp.
2,093
156
ChoiceOne Financial Services, Inc.
7,249
246
Citizens & Northern Corp.
8,557
199
Citizens Community Bancorp, Inc.
4,870
114
Citizens Financial Services, Inc.
2,438
177
City Holding Co.
7,125
945
Civista Bancshares, Inc.
10,802
305
CNB Financial Corp.
14,945
504
Coastal Financial Corp.*
6,720
521
CoastalSouth Bancshares, Inc.
3,738
100
Colony Bankcorp, Inc.
10,845
218
Columbia Financial, Inc.* †
13,679
290
Commercial Bancgroup, Inc.
4,482
145
Community Bancorp
2,603
102
Community Financial System, Inc.
27,037
1,815
Community Trust Bancorp, Inc.
8,186
592
Community West Bancshares
12,487
335
ConnectOne Bancorp, Inc.
24,624
823
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 10.3%continued
Customers Bancorp, Inc.*
15,807
$1,250
CVB Financial Corp.
86,592
1,953
Dime Commercial Bancshares, Inc.
20,769
844
Eagle Bancorp Montana, Inc.
3,838
92
Eagle Bancorp, Inc.
14,541
413
Eagle Financial Services, Inc.
2,379
99
Eastern Bankshares, Inc.
111,364
2,477
ECB Bancorp, Inc.*
3,966
80
Enterprise Financial Services Corp.
18,646
1,228
Equity Bancshares, Inc., Class A
8,943
438
Esquire Financial Holdings, Inc.
3,698
440
Farmers & Merchants Bancorp, Inc.
7,150
219
Farmers National Banc Corp.
29,926
437
FB Bancorp, Inc.*
8,365
126
FB Financial Corp.
22,470
1,244
Fidelity D&D Bancorp, Inc.
2,519
130
Financial Institutions, Inc.
10,001
390
Finwise Bancorp*
4,204
61
First Bancorp
20,707
1,324
First BanCorp
78,961
2,059
First Bancorp (The), Inc.
5,447
190
First Bank
11,661
207
First Busey Corp.
41,457
1,223
First Business Financial Services, Inc.
4,176
264
First Capital, Inc.
1,505
97
First Commonwealth Financial Corp.
51,938
1,056
First Community Bankshares, Inc.
8,541
379
First Community Corp.
4,571
149
First Financial Bancorp
53,769
1,819
First Financial Bankshares, Inc.
67,824
2,347
First Financial Corp.
5,855
453
First Guaranty Bancshares, Inc.
3,264
33
First Internet Bancorp
4,192
117
First Interstate BancSystem, Inc.,
Class A
46,639
1,798
First Merchants Corp.
32,188
1,406
First Mid Bancshares, Inc.
12,439
598
First National Corp.
3,641
109
First Northern Community Bancorp*
7,656
137
First United Corp.
3,188
141
First Western Financial, Inc.*
4,599
148
Firstsun Capital Bancorp*
12,644
490
Five Star Bancorp
8,048
392
Flagstar Bank N.A.
157,168
2,348
EQUITY FUNDS 114 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 10.3%continued
Franklin Financial Services Corp.
2,188
$137
FS Bancorp, Inc.
3,426
149
Fulton Financial Corp.
98,856
2,391
FVCBankcorp, Inc.
8,156
143
GBank Financial Holdings, Inc.* †
4,971
151
German American Bancorp, Inc.
18,864
895
Glacier Bancorp, Inc.
67,071
3,460
Great Southern Bancorp, Inc.
3,996
313
Greene County Bancorp, Inc.
3,437
115
Hancock Whitney Corp.
41,856
3,127
Hanmi Financial Corp.
15,116
490
Hanover Bancorp, Inc.
1,733
40
Hawthorn Bancshares, Inc.
2,686
106
HBT Financial, Inc.
8,393
268
Heritage Financial Corp.
21,000
622
Hilltop Holdings, Inc.
20,508
795
Hingham Institution For Savings (The)
820
252
Home Bancorp, Inc.
3,630
249
Home BancShares, Inc.
95,318
2,721
HomeTrust Bancshares, Inc.
8,000
399
Hope Bancorp, Inc.
63,405
867
Horizon Bancorp, Inc.
25,523
510
Independent Bank Corp.
10,373
374
Independent Bank Corp. (NASDAQ
Global Select)
24,771
2,074
International Bancshares Corp.
28,063
2,131
Investar Holding Corp.
6,621
198
Isabella Bank Corp.
3,557
140
John Marshall Bancorp, Inc.
6,689
146
Kearny Financial Corp.
30,541
289
Lakeland Financial Corp.
12,555
775
Landmark Bancorp, Inc.
2,542
78
LCNB Corp.
7,030
124
Live Oak Bancshares, Inc.
18,509
756
MainStreet Bancshares, Inc.
3,265
81
Mechanics Bancorp, Class A
20,077
319
Mercantile Bank Corp.
8,699
499
Meridian Corp.
4,605
92
Metrocity Bankshares, Inc.
12,067
433
Metropolitan Bank Holding Corp.
5,650
558
Mid Penn Bancorp, Inc.
10,953
382
Midland States Bancorp, Inc.
9,927
309
MVB Financial Corp.
6,236
181
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 10.3%continued
National Bank Holdings Corp.,
Class A
22,077
$981
National Bankshares, Inc.
2,917
106
NB Bancorp, Inc.
20,575
435
NBT Bancorp, Inc.
26,163
1,292
Nicolet Bankshares, Inc.
10,099
1,670
Northeast Bank
3,897
516
Northeast Community Bancorp, Inc.
6,481
180
Northfield Bancorp, Inc.
19,651
289
Northpointe Bancshares, Inc.
10,752
206
Northrim BanCorp, Inc.
11,213
311
Northwest Bancshares, Inc.
75,081
1,138
Norwood Financial Corp.
5,222
168
Oak Valley Bancorp
3,410
115
OceanFirst Financial Corp.
42,813
836
OFG Bancorp
21,759
1,068
Ohio Valley Banc Corp.
1,637
71
Old National Bancorp
176,474
4,571
Old Second Bancorp, Inc.
25,986
606
OP Bancorp
6,255
94
Orange County Bancorp, Inc.
6,572
242
Origin Bancorp, Inc.
15,292
782
Orrstown Financial Services, Inc.
9,786
400
Park National Corp.
8,563
1,567
Parke Bancorp, Inc.
4,894
162
Pathward Financial, Inc.
10,930
952
PCB Bancorp
5,473
155
Peapack-Gladstone Financial Corp.
8,220
389
Peoples Bancorp of North Carolina,
Inc.
2,223
96
Peoples Bancorp, Inc.
17,908
688
Peoples Financial Services Corp.
4,677
310
Pioneer Bancorp, Inc.*
5,098
87
Plumas Bancorp
3,339
195
Ponce Financial Group, Inc.*
10,210
204
Preferred Bank
5,815
618
Primis Financial Corp.
11,040
181
Princeton Bancorp, Inc.
2,652
101
Provident Financial Services, Inc.
65,580
1,550
QCR Holdings, Inc.
8,502
828
RBB Bancorp
8,469
232
Red River Bancshares, Inc.
2,661
243
Renasant Corp.
47,823
2,034
Republic Bancorp, Inc., Class A
4,381
396
NORTHERN FUNDS QUARTERLY REPORT 115 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 10.3%continued
Rhinebeck Bancorp, Inc.*
2,453
$42
Richmond Mutual BanCorp, Inc.
3,521
56
S&T Bancorp, Inc.
18,723
919
Seacoast Banking Corp. of Florida
50,058
1,664
ServisFirst Bancshares, Inc.
26,545
2,303
Shore Bancshares, Inc.
16,126
370
Sierra Bancorp
5,952
243
Simmons First National Corp., Class A
74,340
1,684
SmartFinancial, Inc.
7,905
371
South Plains Financial, Inc.
8,086
348
Southern First Bancshares, Inc.*
4,764
291
Southern Missouri Bancorp, Inc.
5,001
381
Southside Bancshares, Inc.
14,724
518
SR Bancorp, Inc.
3,571
70
Sterling Bancorp, Inc.(1) *
9,809
Stock Yards Bancorp, Inc.
13,484
1,031
Texas Capital Bancshares, Inc.
22,140
2,286
Third Coast Bancshares, Inc.* †
8,037
325
Timberland Bancorp, Inc.
3,904
175
Tompkins Financial Corp.
6,967
659
Towne Bank
44,633
1,617
TriCo Bancshares
15,160
816
Triumph Financial, Inc.* †
11,710
894
TrustCo Bank Corp. NY
8,936
491
Trustmark Corp.
28,418
1,308
UMB Financial Corp.
37,323
5,328
United Bankshares, Inc.
70,699
3,240
United Community Banks, Inc.
61,885
2,172
Unity Bancorp, Inc.
3,815
224
Univest Financial Corp.
14,289
625
USCB Financial Holdings, Inc.
6,100
125
Valley National Bancorp
246,886
3,617
Virginia National Bankshares Corp.
2,534
112
WaFd, Inc.
37,653
1,445
Washington Trust Bancorp, Inc.
9,722
355
WesBanco, Inc.
48,782
1,904
West BanCorp, Inc.
7,544
200
Westamerica BanCorp
12,128
712
Western New England Bancorp, Inc.
8,569
123
WSFS Financial Corp.
26,830
2,059
 
169,278
Beverages – 0.2%
Boston Beer (The) Co., Inc., Class A*
3,926
695
MGP Ingredients, Inc.
7,858
138
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Beverages – 0.2%continued
National Beverage Corp.*
12,490
$390
Vita Coco (The) Co., Inc.*
24,845
1,643
 
2,866
Biotechnology – 10.5%
4D Molecular Therapeutics, Inc.* †
23,671
315
Abeona Therapeutics, Inc.* †
19,845
123
Absci Corp.* †
70,256
814
ACADIA Pharmaceuticals, Inc.*
65,207
1,650
Achieve Life Sciences, Inc.* †
40,160
262
Acumen Pharmaceuticals, Inc.*
24,917
67
ADC Therapeutics S.A.*
43,766
47
ADMA Biologics, Inc.*
116,730
977
Agenus, Inc.*
21,138
65
Agios Pharmaceuticals, Inc.*
29,901
1,110
Akebia Therapeutics, Inc.* †
135,289
154
Aktis Oncology, Inc.* †
10,724
346
Alector, Inc.* †
51,120
103
Alkermes PLC*
84,805
4,443
Allogene Therapeutics, Inc.*
137,154
285
Altimmune, Inc.*
102,890
313
ALX Oncology Holdings, Inc.*
56,054
116
AnaptysBio, Inc.*
9,980
674
Anavex Life Sciences Corp.* †
48,289
125
Anika Therapeutics, Inc.*
5,800
85
Annexon, Inc.* †
78,435
448
Apogee Therapeutics, Inc.*
22,804
3,027
Arbutus Biopharma Corp.*
82,796
397
ARCA biopharma, Inc.* †
25,464
2,423
Arcturus Therapeutics Holdings, Inc.* †
11,693
79
Arcus Biosciences, Inc.*
45,217
1,394
Arcutis Biotherapeutics, Inc.*
57,859
1,517
Ardelyx, Inc.*
123,440
630
Armata Pharmaceuticals, Inc.*
6,118
40
ArriVent Biopharma, Inc.* †
19,056
662
ARS Pharmaceuticals, Inc.* †
31,857
255
Artiva Biotherapeutics, Inc.*
1,739
17
Assembly Biosciences, Inc.* †
5,076
139
Atrium Therapeutics, Inc.*
7,436
100
Aura Biosciences, Inc.*
23,276
165
Aurinia Pharmaceuticals, Inc.*
60,381
1,025
Avalo Therapeutics, Inc.* †
21,095
390
Beam Therapeutics, Inc.* †
50,136
1,721
Benitec Biopharma, Inc.* †
11,064
148
Bicara Therapeutics, Inc.*
22,324
663
EQUITY FUNDS 116 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 10.5%continued
BioCryst Pharmaceuticals, Inc.*
117,787
$1,178
Biohaven Ltd.*
67,554
1,005
Black Diamond Therapeutics, Inc.*
21,836
40
Bright Minds Biosciences, Inc.* †
3,805
267
C4 Therapeutics, Inc.*
52,537
245
Cabaletta Bio, Inc.* †
55,350
172
CAMP4 Therapeutics Corp.*
16,489
72
Candel Therapeutics, Inc.* †
32,695
337
Canton Strategic Holdings, Inc.*
23,188
65
Capricor Therapeutics, Inc.* †
27,170
654
CareDx, Inc.*
25,929
739
Caribou Biosciences, Inc.*
48,145
85
Cartesian Therapeutics, Inc.* †
7,010
73
Catalyst Pharmaceuticals, Inc.*
59,473
1,869
Celcuity, Inc.* †
19,444
2,034
Celldex Therapeutics, Inc.*
39,489
1,469
Century Therapeutics, Inc.* †
63,739
156
CG oncology, Inc.*
37,303
2,650
Climb Bio, Inc.*
18,118
236
Cogent Biosciences, Inc.*
84,309
3,263
Coherus Oncology, Inc.* †
68,166
95
Compass Therapeutics, Inc.*
67,910
149
Connect Biopharma Holdings Ltd.*
8,207
20
Corbus Pharmaceuticals Holdings, Inc.*
8,618
81
Corvus Pharmaceuticals, Inc.*
34,169
510
Crescent Biopharma, Inc.* †
10,253
185
CRISPR Therapeutics A.G.* †
47,144
2,571
Cullinan Therapeutics, Inc.* †
30,582
557
Cytokinetics, Inc.*
66,878
5,697
CytomX Therapeutics, Inc.*
91,701
344
Damora Therapeutics, Inc.*
26,962
701
Denali Therapeutics, Inc.*
74,380
1,913
Design Therapeutics, Inc.* †
15,135
219
DiaMedica Therapeutics, Inc.* †
18,987
134
Dianthus Therapeutics, Inc.* †
23,921
2,332
Disc Medicine, Inc.*
14,276
1,044
Dyne Therapeutics, Inc.*
68,965
1,532
Editas Medicine, Inc.*
46,207
150
Eikon Therapeutics, Inc.*
11,243
147
Eledon Pharmaceuticals, Inc.*
39,749
157
Elicio Therapeutics, Inc.*
6,744
26
Emergent BioSolutions, Inc.*
27,020
226
Enanta Pharmaceuticals, Inc.*
14,650
214
Entrada Therapeutics, Inc.*
15,336
113
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 10.5%continued
Erasca, Inc.*
101,753
$1,864
Evommune, Inc.* †
6,535
87
Fennec Pharmaceuticals, Inc.* †
14,965
161
First Tracks Biotherapeutics, Inc.* †
12,040
242
Foghorn Therapeutics, Inc.*
19,208
94
Forte Biosciences, Inc.* †
9,997
212
Galectin Therapeutics, Inc.* †
24,971
116
Generate Biomedicines, Inc.*
12,605
213
Geron Corp.*
282,815
362
GRAIL, Inc.*
20,884
1,426
Greenwich Lifesciences, Inc.* †
3,278
77
Gyre Therapeutics, Inc.* †
8,984
59
Heron Therapeutics, Inc.* †
48,604
21
Hyperliquid Strategies, Inc.*
63,916
503
Ideaya Biosciences, Inc.*
42,372
1,579
Immix Biopharma, Inc.*
21,124
218
Immuneering Corp., Class A* †
27,783
139
ImmunityBio, Inc.* †
195,438
1,711
Immunome, Inc.* †
53,357
1,131
Immunovant, Inc.* †
43,098
1,661
Inhibikase Therapeutics, Inc.* †
56,309
114
Inhibrx Biosciences, Inc.*
4,799
455
Intellia Therapeutics, Inc.* †
68,353
1,157
Invivyd, Inc.*
110,309
96
Iovance Biotherapeutics, Inc.* †
201,148
837
Ironwood Pharmaceuticals, Inc.*
84,236
355
Jade Biosciences, Inc.* †
16,411
365
Janux Therapeutics, Inc.*
22,340
343
Kailera Therapeutics, Inc.*
23,283
513
Karyopharm Therapeutics, Inc.*
10,410
102
Keros Therapeutics, Inc.* †
8,164
87
Kiniksa Pharmaceuticals International
PLC*
21,277
1,361
Kodiak Sciences, Inc.*
19,883
775
Korro Bio, Inc.* †
5,888
78
Krystal Biotech, Inc.*
13,214
4,911
Kura Oncology, Inc.*
42,867
470
Kymera Therapeutics, Inc.*
31,673
3,632
Kyverna Therapeutics, Inc.*
21,684
193
Larimar Therapeutics, Inc.*
34,598
105
Lexeo Therapeutics, Inc.*
34,995
163
Lineage Cell Therapeutics, Inc.*
95,428
125
Lyell Immunopharma, Inc.*
4,943
69
MacroGenics, Inc.*
32,408
150
NORTHERN FUNDS QUARTERLY REPORT 117 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 10.5%continued
MannKind Corp.*
155,722
$663
MapLight Therapeutics, Inc.* †
5,082
182
MeiraGTx Holdings PLC*
30,333
410
MiMedx Group, Inc.*
63,025
243
Mineralys Therapeutics, Inc.*
28,989
782
Minerva Neurosciences, Inc.*
17,542
97
Mirum Pharmaceuticals, Inc.*
23,997
2,809
Monopar Therapeutics, Inc.* †
2,190
203
Monte Rosa Therapeutics, Inc.*
37,413
905
Myriad Genetics, Inc.* †
47,962
274
Neurogene, Inc.*
5,675
178
Nkarta, Inc.*
22,526
64
Novavax, Inc.* †
77,113
726
Nurix Therapeutics, Inc.*
48,523
1,177
Nuvalent, Inc., Class A*
27,161
3,354
Nuvectis Pharma, Inc.* †
8,820
162
Ocugen, Inc.* †
176,677
270
Olema Pharmaceuticals, Inc.*
40,282
504
OnKure Therapeutics, Inc., Class A*
7,218
33
Opus Genetics, Inc.*
24,866
102
Organogenesis Holdings, Inc.* †
36,282
88
ORIC Pharmaceuticals, Inc.*
37,756
409
Ovid therapeutics, Inc.*
78,781
212
Palisade Bio, Inc.* †
76,393
160
Perspective Therapeutics, Inc.*
53,460
182
Pieris Pharmaceuticals, Inc.* †
5,550
848
Praxis Precision Medicines, Inc.*
12,709
4,255
Precigen, Inc.*
97,979
558
Precision BioSciences, Inc.*
12,547
99
Prelude Therapeutics, Inc.* †
12,318
66
Prime Medicine, Inc.* †
46,004
170
ProKidney Corp.* †
34,479
70
Protagonist Therapeutics, Inc.*
31,112
3,814
Protalix BioTherapeutics, Inc.* †
32,575
76
Protara Therapeutics, Inc.*
25,444
97
Prothena Corp. PLC*
23,024
225
PTC Therapeutics, Inc.*
41,915
3,419
Puma Biotechnology, Inc.*
21,215
172
Recursion Pharmaceuticals, Inc.,
Class A* †
258,873
950
REGENXBIO, Inc.*
25,040
300
Relay Therapeutics, Inc.*
81,721
1,529
Replimune Group, Inc.*
40,090
444
Rezolute, Inc.* †
40,520
211
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 10.5%continued
Rhythm Pharmaceuticals, Inc.*
27,907
$3,098
Rigel Pharmaceuticals, Inc.* †
9,325
365
Rocket Pharmaceuticals, Inc.* †
45,351
155
SAB Biotherapeutics, Inc.*
22,551
88
Sagimet Biosciences, Inc., Class A* †
30,398
235
Sana Biotechnology, Inc.* †
94,975
331
Sarepta Therapeutics, Inc.*
52,651
946
Savara, Inc.*
78,682
485
Scholar Rock Holding Corp.*
56,535
3,109
SELLAS Life Sciences Group, Inc.* †
95,363
1,408
Shattuck Labs, Inc.* †
31,584
219
Sionna Therapeutics, Inc.* †
9,298
409
Solid Biosciences, Inc.* †
39,806
398
Spruce Biosciences, Inc.*
1,419
77
Spyre Therapeutics, Inc.*
37,656
3,343
Stoke Therapeutics, Inc.* †
27,828
911
Surrozen, Inc.*
3,790
98
Sutro Biopharma, Inc.*
8,229
273
Syndax Pharmaceuticals, Inc.* †
44,992
983
Tango Therapeutics, Inc.*
71,217
2,226
Taysha Gene Therapies, Inc.*
121,181
825
Tectonic Therapeutic, Inc.* †
5,470
188
Tenax Therapeutics, Inc.*
12,955
188
TG Therapeutics, Inc.*
73,646
4,046
Tonix Pharmaceuticals Holding Corp.* †
7,701
98
Travere Therapeutics, Inc.*
45,213
2,569
TriSalus Life Sciences, Inc.* †
24,964
114
Twist Bioscience Corp.*
31,407
3,231
Tyra Biosciences, Inc.* †
18,564
593
Ultragenyx Pharmaceutical, Inc.*
48,893
1,633
Unicycive Therapeutics, Inc.*
12,731
60
Upstream Bio, Inc.* †
18,296
127
UroGen Pharma Ltd.*
21,528
792
Vanda Pharmaceuticals, Inc.*
27,790
170
Vaxcyte, Inc.*
66,622
3,873
Vera Therapeutics, Inc.*
32,314
1,387
Veracyte, Inc.*
40,983
2,407
Verastem, Inc.*
41,412
158
Vericel Corp.*
26,072
1,160
Vir Biotechnology, Inc.*
62,141
633
Viridian Therapeutics, Inc.*
45,639
838
Vor BioPharma, Inc.* †
20,588
379
Voyager Therapeutics, Inc.*
27,829
97
Whitehawk Therapeutics, Inc.*
16,890
77
EQUITY FUNDS 118 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 10.5%continued
X4 Pharmaceuticals, Inc.*
41,980
$196
Xencor, Inc.*
35,219
567
Xenon Pharmaceuticals, Inc.* †
49,622
2,995
XOMA Royalty Corp.*
4,831
205
Z Squared, Inc.* †
22,691
240
Zenas Biopharma, Inc.* †
14,373
365
Zentalis Pharmaceuticals, Inc.* †
26,036
126
Zura Bio Ltd.*
30,476
180
Zymeworks, Inc.*
23,649
618
 
173,156
Broadline Retail – 0.1%
1stdibs.com, Inc.* †
12,637
62
Groupon, Inc.* †
11,403
274
Kohl's Corp.
55,929
991
Pattern Group, Inc., Class A* †
16,343
412
Savers Value Village, Inc.* †
19,510
197
 
1,936
Building Products – 1.2%
Apogee Enterprises, Inc.
10,755
492
AZZ, Inc.
15,240
2,363
CSW Industrials, Inc.
8,211
2,285
Gibraltar Industries, Inc.*
15,322
691
Griffon Corp.
19,659
1,917
Insteel Industries, Inc.
9,789
296
Janus International Group, Inc.* †
67,833
377
Masterbrand, Inc.* †
102,997
1,060
Quanex Building Products Corp.
23,600
439
Resideo Technologies, Inc.*
69,618
2,165
Tecnoglass, Inc.
12,990
608
UFP Industries, Inc.
28,991
2,631
Zurn Elkay Water Solutions Corp.
76,418
3,861
 
19,185
Capital Markets – 1.9%
Acadian Asset Management, Inc.
14,320
1,024
AlTi Global, Inc.* †
26,616
96
Artisan Partners Asset Management,
Inc., Class A
32,660
1,128
Bakkt, Inc.* †
15,366
120
BGC Group, Inc., Class A
190,897
2,041
BRC Group Holdings, Inc.*
12,017
97
Chaince Digital Holdings, Inc.* †
34,499
151
Cohen & Steers, Inc.
14,394
1,096
DigitalBridge Group, Inc.
90,590
1,429
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Capital Markets – 1.9%continued
Donnelley Financial Solutions, Inc.*
12,611
$529
GCM Grosvenor, Inc., Class A
30,660
377
Gemini Space Station, Inc., Class A* †
21,433
91
Innventure, Inc.*
28,976
147
Marex Group PLC
31,474
1,918
MarketWise, Inc.
1,041
18
Miami International Holdings, Inc.*
38,696
1,438
Moelis & Co., Class A
38,193
2,499
Open Lending Corp.*
52,922
165
Patria Investments Ltd., Class A
33,078
363
Perella Weinberg Partners
35,715
570
Piper Sandler Cos.
35,773
2,588
PJT Partners, Inc., Class A
12,448
1,879
Ridgepost Capital, Inc., Class A
30,823
243
Silvercrest Asset Management Group,
Inc., Class A
1,776
18
StepStone Group, Inc., Class A
39,271
1,624
StoneX Group, Inc.*
36,833
4,365
Value Line, Inc.
565
23
Victory Capital Holdings, Inc., Class A
21,758
1,829
Virtus Investment Partners, Inc.
3,270
469
Wealthfront Corp.* †
17,277
154
Webull Corp.*
170,053
1,109
Westwood Holdings Group, Inc.
3,564
68
WisdomTree, Inc.
68,924
1,168
 
30,834
Chemicals – 1.8%
AdvanSix, Inc.
13,602
270
Alto Ingredients, Inc.*
38,063
217
Ashland, Inc.
23,509
1,549
ASP Isotopes, Inc.* †
58,929
366
Aspen Aerogels, Inc.*
32,337
205
Avient Corp.
47,505
1,756
Balchem Corp.
16,572
2,800
Cabot Corp.
26,427
2,400
Chemours (The) Co.
77,745
1,595
Core Molding Technologies, Inc.*
4,308
102
Ecovyst, Inc.* †
55,782
694
Flotek Industries, Inc.* †
7,509
177
FMC Corp.
64,385
740
H.B. Fuller Co.
28,237
1,646
Hawkins, Inc.
9,957
1,415
Huntsman Corp.
84,961
902
Ingevity Corp.*
18,061
1,349
NORTHERN FUNDS QUARTERLY REPORT 119 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Chemicals – 1.8%continued
Innospec, Inc.
12,775
$1,040
Intrepid Potash, Inc.*
5,768
189
Koppers Holdings, Inc.
9,427
423
Kronos Worldwide, Inc.
11,688
74
LSB Industries, Inc.* †
30,361
328
Mativ Holdings, Inc.
28,488
216
Minerals Technologies, Inc.
15,907
1,177
Orion S.A.
29,262
194
Perimeter Solutions, Inc.*
76,907
2,742
PureCycle Technologies, Inc.* †
73,811
599
Quaker Chemical Corp.
7,095
1,127
Rayonier Advanced Materials, Inc.* †
30,644
241
Sensient Technologies Corp.
21,809
2,689
Stepan Co.
11,145
621
Tronox Holdings PLC
60,113
379
Valhi, Inc.
1,869
27
 
30,249
Commercial Services & Supplies – 1.5%
ABM Industries, Inc.
29,931
1,324
ACCO Brands Corp.
47,936
199
ACV Auctions, Inc., Class A*
86,766
624
BrightView Holdings, Inc.*
36,155
512
Brink's (The) Co.
21,144
1,998
Casella Waste Systems, Inc., Class A*
32,338
3,136
Cimpress PLC*
8,654
880
Civeo Corp.*
5,384
189
CompX International, Inc.
869
22
CoreCivic, Inc.*
49,768
1,512
Deluxe Corp.
22,730
543
Ennis, Inc.
12,797
272
Enviri Corp.*
13,560
298
GEO Group (The), Inc.*
64,818
1,915
Healthcare Services Group, Inc.*
35,193
864
HNI Corp.
36,630
1,480
Interface, Inc.
29,578
1,060
Liquidity Services, Inc.*
12,173
476
Millerknoll, Inc.
34,925
715
NLI Holdings, Inc.
4,247
25
Onterris, Inc.* †
17,386
351
OPENLANE, Inc.*
54,030
2,228
Perma-Fix Environmental Services, Inc.*
8,033
115
Pitney Bowes, Inc.
73,771
1,293
Quad/Graphics, Inc.
14,105
119
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Commercial Services & Supplies – 1.5%continued
UniFirst Corp.
7,477
$1,977
Vestis Corp.*
47,070
684
 
24,811
Communications Equipment – 1.1%
ADTRAN Holdings, Inc.*
38,878
540
Aviat Networks, Inc.*
6,203
138
BK Technologies Corp.* †
1,567
135
Calix, Inc.*
30,006
1,120
Clearfield, Inc.*
5,564
221
Digi International, Inc.*
19,013
1,425
Extreme Networks, Inc.*
65,727
2,128
Harmonic, Inc.*
56,133
917
Inseego Corp.* †
6,452
67
KVH Industries, Inc.*
6,412
63
Lantronix, Inc.*
18,436
108
NETGEAR, Inc.* †
13,001
304
NetScout Systems, Inc.*
36,079
1,571
Ondas, Inc.* †
246,872
2,034
Ribbon Communications, Inc.*
43,541
102
Viasat, Inc.*
64,259
5,771
Vistance Networks, Inc.*
112,635
1,439
 
18,083
Construction & Engineering – 2.0%
Ameresco, Inc., Class A* †
16,607
458
Arcosa, Inc.
25,048
3,639
Argan, Inc.
6,951
5,551
Bowman Consulting Group Ltd.*
7,517
220
Cardinal Infrastructure Group, Inc.,
Class A* †
8,673
817
Centuri Holdings, Inc.*
44,806
1,355
Concrete Pumping Holdings, Inc.* †
10,410
125
Construction Partners, Inc., Class A* †
24,467
2,906
Fluor Corp.*
72,672
3,807
Granite Construction, Inc.
22,563
3,567
INNOVATE Corp.*
2,944
55
Legence Corp., Class A*
29,706
2,532
Limbach Holdings, Inc.*
5,656
436
Matrix Service Co.*
14,173
194
MYR Group, Inc.*
7,920
3,963
NWPX Infrastructure, Inc.*
4,802
720
Orion Group Holdings, Inc.*
19,732
332
Tutor Perini Corp.
23,198
1,925
 
32,602
EQUITY FUNDS 120 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Construction Materials – 0.2%
Knife River Corp.*
29,367
$2,457
Smith-Midland Corp.* †
1,118
32
Titan America S.A.*
13,204
246
United States Lime & Minerals, Inc.
5,577
584
 
3,319
Consumer Finance – 1.2%
Atlanticus Holdings Corp.*
2,485
254
Bread Financial Holdings, Inc.
20,678
2,241
Consumer Portfolio Services, Inc.*
4,289
41
Dave, Inc.*
5,194
1,935
Encore Capital Group, Inc.*
10,728
1,001
Enova International, Inc.*
12,330
2,968
FirstCash Holdings, Inc.
20,829
4,506
Green Dot Corp., Class A*
28,478
385
Happen, Inc.*
58,111
1,205
Jefferson Capital, Inc.
11,731
228
LendingTree, Inc.*
5,876
260
Medallion Financial Corp.
8,953
91
Navient Corp.
32,860
280
Nelnet, Inc., Class A
7,565
1,009
NerdWallet, Inc., Class A*
15,320
142
Oportun Financial Corp.*
21,151
121
OppFi, Inc.*
11,674
116
PRA Group, Inc.*
19,513
371
PROG Holdings, Inc.
20,043
934
Regional Management Corp.
4,305
177
Upstart Holdings, Inc.* †
43,337
1,535
World Acceptance Corp.*
1,283
287
 
20,087
Consumer Staples Distribution & Retail – 0.6%
Andersons (The), Inc.
16,944
1,159
Chefs' Warehouse (The), Inc.*
18,823
1,809
Grocery Outlet Holding Corp.* †
47,965
479
Ingles Markets, Inc., Class A
7,506
665
Natural Grocers by Vitamin Cottage,
Inc.
6,794
211
PriceSmart, Inc.
13,316
2,601
United Natural Foods, Inc.*
30,876
1,410
Village Super Market, Inc., Class A
4,755
200
Weis Markets, Inc.
6,316
494
Yesway, Inc., Class A*
8,113
165
 
9,193
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Containers & Packaging – 0.2%
Ardagh Metal Packaging S.A.
72,763
$345
Greif, Inc., Class A
12,350
920
Greif, Inc., Class B
2,439
228
Myers Industries, Inc.
19,165
677
O-I Glass, Inc.*
78,939
760
Ranpak Holdings Corp.*
25,315
185
TriMas Corp.
13,932
627
 
3,742
Distributors – 0.1%
GigaCloud Technology, Inc., Class A*
12,955
409
Gold.com, Inc.
10,096
420
Weyco Group, Inc.
3,202
126
 
955
Diversified Consumer Services – 1.1%
American Public Education, Inc.* †
9,073
487
Carriage Services, Inc.
7,428
285
Coursera, Inc.*
111,753
630
Covista, Inc.*
17,422
2,172
Driven Brands Holdings, Inc.*
30,843
430
Frontdoor, Inc.*
36,248
2,812
Graham Holdings Co., Class B
1,613
1,841
KinderCare Learning Cos., Inc.*
12,398
53
Laureate Education, Inc.*
61,860
2,247
Lincoln Educational Services Corp.*
15,261
761
Matthews International Corp., Class A
15,312
412
McGraw Hill, Inc.* †
11,312
107
OneSpaWorld Holdings Ltd.
50,670
1,431
Perdoceo Education Corp.
32,362
1,036
Phoenix Education Partners, Inc.
2,695
89
Strategic Education, Inc.
11,290
865
Stride, Inc.*
21,401
1,846
Universal Technical Institute, Inc.*
24,257
1,037
 
18,541
Diversified Real Estate Investment Trusts – 0.5%
AH Realty Trust, Inc.
40,021
283
Alpine Income Property Trust, Inc.
8,078
168
American Assets Trust, Inc.
25,243
623
Broadstone Net Lease, Inc.
98,328
2,032
CTO Realty Growth, Inc.
16,764
361
Essential Properties Realty Trust, Inc.
111,368
3,324
Gladstone Commercial Corp.
25,349
312
Global Net Lease, Inc.
97,930
876
NORTHERN FUNDS QUARTERLY REPORT 121 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Diversified Real Estate Investment Trusts – 0.5%continued
Modiv Industrial, Inc.
4,928
$86
NexPoint Diversified Real Estate Trust
19,101
99
 
8,164
Diversified Telecommunication Services – 0.5%
Anterix, Inc.*
5,813
598
ATN International, Inc.
4,931
131
Bandwidth, Inc., Class A*
14,954
946
Cogent Communications Holdings, Inc.
25,444
353
IDT Corp., Class B
8,438
491
Liberty Capital Corp.*
1,037
23
Liberty Capital Corp., Class C*
17,430
376
Liberty Latin America Ltd., Class A*
14,191
111
Liberty Latin America Ltd., Class C* †
67,192
523
Lumen Technologies, Inc.*
492,165
3,780
Shenandoah Telecommunications Co.
25,589
386
Uniti Group, Inc.* †
86,549
993
 
8,711
Electric Utilities – 0.6%
Genie Energy Ltd., Class B
9,855
142
Hawaiian Electric Industries, Inc.* †
84,199
1,139
MGE Energy, Inc.
19,087
1,556
Otter Tail Corp.
19,780
1,780
Portland General Electric Co.
59,781
3,099
TXNM Energy, Inc. (New York Stock
Exchange)
52,677
2,991
 
10,707
Electrical Equipment – 1.3%
Allient, Inc.
7,545
777
American Superconductor Corp.*
23,838
990
Amprius Technologies, Inc.*
69,477
963
Array Technologies, Inc.* †
78,206
579
Atkore, Inc.
17,324
1,317
Babcock & Wilcox Enterprises, Inc.*
67,800
956
ChargePoint Holdings, Inc.*
12,848
76
Energous Corp.*
2,779
67
Energy Vault Holdings, Inc.* †
71,401
336
EnerSys
18,822
4,401
Enovix Corp.* †
100,444
610
Eos Energy Enterprises, Inc.* †
174,261
1,025
Espey Mfg. & Electronics Corp.
1,030
69
Fluence Energy, Inc.*
44,258
880
FuelCell Energy, Inc.*
27,448
988
GrafTech International Ltd.*
8,976
53
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Electrical Equipment – 1.3%continued
Hyliion Holdings Corp.*
65,777
$343
LSI Industries, Inc.
16,645
442
NANO Nuclear Energy, Inc.* †
22,028
466
Net Power, Inc.* †
23,388
39
NuScale Power Corp.*
164,778
1,653
Plug Power, Inc.* †
692,225
1,876
Power Solutions International, Inc.*
4,341
169
Preformed Line Products Co.
1,254
515
SES AI Corp.* †
131,564
126
Shoals Technologies Group, Inc.,
Class A*
86,303
854
Sunrun, Inc.*
118,246
1,582
Tigo Energy, Inc.*
19,989
47
 
22,199
Electronic Equipment, Instruments & Components – 2.8%
908 Devices, Inc.*
15,131
132
Aeva Technologies, Inc.*
13,670
393
Arlo Technologies, Inc.* †
54,972
741
Badger Meter, Inc.
15,080
2,237
Bel Fuse, Inc., Class A
865
252
Bel Fuse, Inc., Class B
6,174
2,056
Belden, Inc.
19,939
2,391
Benchmark Electronics, Inc.
18,232
1,799
Climb Global Solutions, Inc.
8,370
194
Crane NXT Co.
25,480
1,303
CTS Corp.
14,479
944
Daktronics, Inc.* †
20,494
401
ePlus, Inc.
13,401
1,115
Evolv Technologies Holdings, Inc.*
83,035
482
Forward Industries, Inc.* †
27,903
118
Frequency Electronics, Inc.*
3,487
231
Insight Enterprises, Inc.*
14,577
1,775
Itron, Inc.*
22,603
1,956
Kimball Electronics, Inc.*
12,391
317
Knowles Corp.*
43,484
1,804
LightPath Technologies, Inc., Class A*
27,925
457
Lightwave Logic, Inc.*
81,202
768
Methode Electronics, Inc.(2) †
17,685
336
Mirion Technologies, Inc.* †
122,555
2,197
M-Tron Industries, Inc.* †
2,147
213
Napco Security Technologies, Inc.
17,667
671
nLight, Inc.*
28,253
1,967
Novanta, Inc.*
18,353
2,978
OSI Systems, Inc.*
8,111
1,774
EQUITY FUNDS 122 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Electronic Equipment, Instruments & Components – 2.8%continued
Ouster, Inc.*
31,699
$1,982
PC Connection, Inc.
5,468
399
Plexus Corp.*
13,703
4,120
Powerfleet, Inc. NJ*
66,670
255
RF Industries Ltd.*
4,333
92
Richardson Electronics Ltd.
6,377
121
Rogers Corp.*
9,176
1,502
ScanSource, Inc.*
11,115
579
SmartRent, Inc.*
89,035
106
Syntec Optics Holdings, Inc.*
3,666
46
Unusual Machines, Inc.*
23,551
525
Vishay Intertechnology, Inc.
62,395
3,356
Vishay Precision Group, Inc.*
6,175
926
Vuzix Corp.* †
34,120
99
 
46,110
Energy Equipment & Services – 2.4%
Archrock, Inc.
88,412
3,599
Atlas Energy Solutions, Inc.
41,850
695
Borr Drilling Ltd.* †
119,296
493
Bristow Group, Inc.
13,417
554
Cactus, Inc., Class A
35,678
1,828
Core Laboratories, Inc.
24,001
280
Energy Services of America Corp.
7,220
140
Expro Group Holdings N.V.* †
42,150
622
Flowco Holdings, Inc., Class A
18,198
388
Forum Energy Technologies, Inc.*
5,513
277
Helix Energy Solutions Group, Inc.*
71,436
624
Helmerich & Payne, Inc.
49,778
1,630
HMH Holding, Inc., Class A*
5,352
100
Innovex International, Inc.*
23,013
571
Kodiak Gas Services, Inc.
51,113
3,840
Liberty Energy, Inc.
81,660
2,139
Nabors Industries Ltd.*
7,264
610
National Energy Services Reunited
Corp.*
31,110
931
Natural Gas Services Group, Inc.
6,112
264
Noble Corp. PLC
65,002
2,425
Oceaneering International, Inc.* †
50,984
2,066
Oil States International, Inc.*
28,981
232
Patterson-UTI Energy, Inc.
177,870
1,633
ProFrac Holding Corp., Class A* †
12,745
74
ProPetro Holding Corp.*
50,985
731
Ranger Energy Services, Inc., Class A
9,751
156
RPC, Inc.
51,725
301
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Energy Equipment & Services – 2.4%continued
SEACOR Marine Holdings, Inc.* †
11,620
$89
Seadrill Ltd.*
32,178
1,217
Select Water Solutions, Inc.
57,596
1,151
Smart Sand, Inc.
15,536
78
Solaris Energy Infrastructure, Inc.
27,020
2,174
TETRA Technologies, Inc.*
65,935
747
Tidewater, Inc.*
25,351
1,689
Transocean Ltd.* †
499,844
2,444
Valaris Ltd.*
29,104
2,113
 
38,905
Entertainment – 0.8%
AMC Entertainment Holdings, Inc.,
Class A*
315,849
600
Atlanta Braves Holdings, Inc., Class A*
3,337
188
Atlanta Braves Holdings, Inc., Class C*
25,322
1,314
Cinemark Holdings, Inc.
53,962
1,712
CuriosityStream, Inc.
15,688
42
IMAX Corp.*
23,349
931
Lionsgate Studios Corp.*
100,646
1,541
Madison Square Garden Entertainment
Corp.*
20,207
1,635
Marcus (The) Corp.
11,052
259
Playtika Holding Corp.
25,297
94
Reservoir Media, Inc.* †
10,489
104
Sphere Entertainment Co.*
14,018
2,425
Starz Entertainment Corp.*
6,003
173
Stubhub Holdings, Inc., Class A*
113,060
1,455
 
12,473
Financial Services – 2.1%
Acacia Research Corp.*
18,261
85
Alerus Financial Corp.
12,153
378
Better Home & Finance Holding Co.* †
4,169
115
Bladex, Inc.
14,963
920
Burford Capital Ltd.
102,843
422
Cannae Holdings, Inc.
19,476
280
Cass Information Systems, Inc.
5,988
307
Compass Diversified Holdings*
34,427
367
Dlocal Ltd.
46,793
608
Enact Holdings, Inc.
13,886
635
Essent Group Ltd.
46,182
2,969
EVERTEC, Inc.
31,614
878
Federal Agricultural Mortgage Corp.,
Class C
4,773
951
NORTHERN FUNDS QUARTERLY REPORT 123 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Financial Services – 2.1%continued
Finance of America Cos., Inc., Class A*
1,323
$36
Flywire Corp.*
60,715
1,067
HA Sustainable Infrastructure Capital,
Inc.
65,247
2,548
International Money Express, Inc.*
14,418
208
Jackson Financial, Inc., Class A
33,455
3,425
loanDepot, Inc., Class A* †
60,864
76
Marqeta, Inc., Class A*
177,321
720
Merchants Bancorp
12,801
640
NCR Atleos Corp.*
37,446
1,626
NewtekOne, Inc.
13,380
198
NMI Holdings, Inc.*
38,889
1,598
Onity Group, Inc.*
3,223
128
Pagseguro Digital Ltd., Class A
84,438
764
Paymentus Holdings, Inc., Class A*
30,268
731
Payoneer Global, Inc.*
133,894
953
Paysafe Ltd.* †
10,356
77
Paysign, Inc.*
22,206
182
PennyMac Financial Services, Inc.
15,189
1,323
Priority Technology Holdings, Inc.* †
17,236
115
Radian Group, Inc.
69,143
2,605
Remitly Global, Inc.*
96,105
2,154
Repay Holdings Corp.*
29,047
122
Security National Financial Corp.,
Class A* †
8,491
82
Sezzle, Inc.* †
8,301
1,425
StoneCo Ltd., Class A
117,517
1,274
Velocity Financial, Inc.* †
6,479
120
Walker & Dunlop, Inc.
17,135
937
Waterstone Financial, Inc.
7,567
157
 
34,206
Food Products – 0.5%
Alico, Inc.
2,677
111
B&G Foods, Inc.
40,658
162
BRC, Inc., Class A* †
30,280
34
Cal-Maine Foods, Inc.
22,143
1,784
Del Monte Corp.
16,787
468
Dole PLC
39,590
543
Flowers Foods, Inc.
96,914
766
Forafric Global PLC* †
3,264
33
J&J Snack Foods Corp.
7,711
566
John B. Sanfilippo & Son, Inc.
4,173
359
Lifeway Foods, Inc.* †
2,966
88
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Food Products – 0.5%continued
Limoneira Co.
8,369
$110
Mama's Creations, Inc.*
19,013
339
Marzetti (The) Co.
10,098
1,153
Mission Produce, Inc.*
29,531
348
Once Upon a Farm PBC* †
6,259
128
Seneca Foods Corp., Class A*
2,288
398
Simply Good Foods (The) Co.*
42,731
567
Utz Brands, Inc.
38,528
297
Vital Farms, Inc.* †
18,881
220
Westrock Coffee Co.* †
19,348
157
 
8,631
Gas Utilities – 1.0%
Brookfield Infrastructure Corp., Class A
63,898
2,460
Chesapeake Utilities Corp.
12,290
1,505
New Jersey Resources Corp.
51,996
2,914
Northwest Natural Holding Co.
21,700
1,065
ONE Gas, Inc.
32,244
2,485
RGC Resources, Inc.
3,935
94
Southwest Gas Holdings, Inc.
37,349
3,312
Spire, Inc.
29,952
2,339
 
16,174
Ground Transportation – 0.4%
ArcBest Corp.
11,323
1,625
Covenant Logistics Group, Inc.
8,049
356
FTAI Infrastructure, Inc.
57,122
265
Heartland Express, Inc.
19,413
295
Hertz Global Holdings, Inc.* †
66,469
151
Marten Transport Ltd.
29,959
520
PAMT CORP.*
2,369
33
Proficient Auto Logistics, Inc.* †
10,658
73
RXO, Inc.* †
84,838
2,341
Universal Logistics Holdings, Inc.
3,037
45
Werner Enterprises, Inc.
30,711
1,339
 
7,043
Health Care Equipment & Supplies – 2.7%
Acme United Corp.
1,548
74
Alphatec Holdings, Inc.*
62,808
543
AngioDynamics, Inc.*
19,201
250
Anteris Technologies Global Corp.* †
41,273
406
Artivion, Inc.*
23,149
520
AtriCure, Inc.*
25,258
707
Avanos Medical, Inc.*
23,107
575
Axogen, Inc.*
26,605
1,229
EQUITY FUNDS 124 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Equipment & Supplies – 2.7%continued
Beta Bionics, Inc.* †
20,634
$323
Bioventus, Inc., Class A* †
24,321
230
Butterfly Network, Inc.*
106,521
897
CapsoVision, Inc.*
18,030
137
Carlsmed, Inc.* †
4,439
46
Ceribell, Inc.*
14,183
276
Cerus Corp.*
102,403
299
ClearPoint Neuro, Inc.* †
14,071
251
CONMED Corp.
15,650
512
CVRx, Inc.* †
5,648
29
Delcath Systems, Inc.*
14,954
188
DENTSPLY SIRONA, Inc.
103,763
1,101
Electromed, Inc.*
3,464
146
Embecta Corp.
26,044
85
Enovis Corp.* †
29,500
611
Establishment Labs Holdings, Inc.* †
13,706
1,176
Glaukos Corp.*
29,171
4,077
Haemonetics Corp.*
23,866
1,790
Hyperfine, Inc.* †
40,754
55
ICU Medical, Inc.* †
12,506
1,833
Inogen, Inc.* †
12,467
80
Inspire Medical Systems, Inc.*
14,708
656
Integer Holdings Corp.*
17,361
1,622
Integra LifeSciences Holdings Corp.*
34,677
623
iRadimed Corp.
4,337
414
IRhythm Holdings, Inc.*
16,753
1,993
Kestra Medical Technologies Ltd.* †
13,524
344
KORU Medical Systems, Inc.* †
21,744
91
Lantheus Holdings, Inc.*
33,041
3,665
LeMaitre Vascular, Inc.
11,053
1,061
LivaNova PLC*
28,428
2,338
Lucid Diagnostics, Inc.* †
77,421
83
Merit Medical Systems, Inc.*
30,288
2,100
MiniMed Group, Inc.*
14,840
222
Neogen Corp.*
112,112
1,008
NeuroPace, Inc.*
13,639
217
Novocure Ltd.*
54,102
820
Omnicell, Inc.*
23,100
959
OraSure Technologies, Inc.*
32,916
147
Orchestra BioMed Holdings, Inc.*
18,442
80
Orthofix Medical, Inc.*
20,970
192
OrthoPediatrics Corp.* †
8,311
159
Procept Biorobotics Corp.*
28,511
644
Pro-Dex, Inc.* †
972
57
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Equipment & Supplies – 2.7%continued
Pulse Biosciences, Inc.* †
9,552
$265
QuidelOrtho Corp.*
34,964
612
RxSight, Inc.* †
20,746
100
Sanara Medtech, Inc.*
1,830
43
Senseonics Holdings, Inc.* †
20,553
117
Shoulder Innovations, Inc.*
5,469
111
SI-BONE, Inc.* †
22,265
363
Sight Sciences, Inc.* †
19,964
108
STAAR Surgical Co.* †
17,171
493
Stereotaxis, Inc.* †
26,120
45
Strive, Inc., Class A* †
32,820
358
Tactile Systems Technology, Inc.*
11,565
344
Tandem Diabetes Care, Inc.* †
35,361
534
TransMedics Group, Inc.*
17,370
1,154
UFP Technologies, Inc.* †
3,859
1,023
Utah Medical Products, Inc.
1,554
107
Varex Imaging Corp.*
21,985
229
 
43,947
Health Care Providers & Services – 2.9%
Acadia Healthcare Co., Inc.*
47,102
1,391
Accendra Health, Inc.*
32,481
111
AdaptHealth Corp.*
52,180
544
Addus HomeCare Corp.*
9,439
948
agilon health, Inc.* †
6,321
678
AirSculpt Technologies, Inc.* †
5,620
25
Alignment Healthcare, Inc.*
103,329
2,460
AMN Healthcare Services, Inc.*
20,085
650
Ardent Health, Inc.*
11,022
108
Astrana Health, Inc.*
23,077
1,071
Aveanna Healthcare Holdings, Inc.*
39,636
340
BrightSpring Health Services, Inc.*
82,517
5,755
Brookdale Senior Living, Inc.*
121,305
1,952
Castle Biosciences, Inc.*
15,156
362
Clover Health Investments Corp.*
212,901
1,116
Community Health Systems, Inc.*
67,345
225
Concentra Group Holdings Parent, Inc.
59,628
1,774
CorVel Corp.*
14,956
935
Cross Country Healthcare, Inc.*
14,771
195
Fulgent Genetics, Inc.*
9,177
188
GeneDx Holdings Corp.*
10,124
695
Guardian Pharmacy Services, Inc.,
Class A*
9,020
378
HealthEquity, Inc.*
42,815
3,867
Hims & Hers Health, Inc.* †
109,346
3,791
NORTHERN FUNDS QUARTERLY REPORT 125 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Providers & Services – 2.9%continued
Hinge Health, Inc., Class A*
21,192
$1,759
InfuSystem Holdings, Inc.*
9,963
96
Innovage Holding Corp.*
10,367
123
LifeStance Health Group, Inc.*
96,905
1,038
Lumexa Imaging Holdings, Inc.* †
8,290
94
National HealthCare Corp.
6,552
1,385
NeoGenomics, Inc.*
66,638
972
NRC Health
6,148
133
Nutex Health, Inc.* †
2,540
434
Omada Health, Inc.*
17,833
391
Oncology Institute (The), Inc.*
36,877
200
OPKO Health, Inc.* †
197,187
296
Option Care Health, Inc.*
80,777
1,694
PACS Group, Inc.*
23,585
1,006
Pediatrix Medical Group, Inc.*
42,142
1,067
Pennant Group (The), Inc.*
17,062
630
Privia Health Group, Inc.*
61,295
1,577
Progyny, Inc.*
34,548
996
RadNet, Inc.*
36,192
2,232
SBC Medical Group Holdings, Inc.* †
8,677
27
Sonida Senior Living, Inc.* †
14,543
593
Strata Critical Medical, Inc.* †
35,489
187
Surgery Partners, Inc.* †
40,594
682
Talkspace, Inc.*
73,877
384
U.S. Physical Therapy, Inc.
7,590
521
Viemed Healthcare, Inc.*
17,649
201
 
48,277
Health Care Real Estate Investment Trusts – 0.8%
CareTrust REIT, Inc.
114,845
4,634
Chiron Real Estate, Inc.
6,600
248
Community Healthcare Trust, Inc.
14,119
258
Diversified Healthcare Trust
112,907
1,050
LTC Properties, Inc.
25,089
965
National Health Investors, Inc.
24,560
1,873
National Healthcare Properties, Inc.*
23,554
345
Sabra Health Care REIT, Inc.
129,057
2,518
Sila Realty Trust, Inc.
25,505
774
Strawberry Fields REIT, Inc.
4,513
62
Universal Health Realty Income Trust
6,736
295
 
13,022
Health Care Technology – 0.3%
Certara, Inc.*
58,496
383
Claritev Corp.* †
5,089
173
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Technology – 0.3%continued
Evolent Health, Inc., Class A* †
58,232
$316
HealthStream, Inc.
11,844
323
HeartFlow, Inc.*
40,655
1,193
LifeMD, Inc.* †
19,914
82
Phreesia, Inc.*
24,027
247
Schrodinger, Inc.*
28,737
467
Simulations Plus, Inc.*
8,897
163
Teladoc Health, Inc.*
92,318
783
TruBridge, Inc.*
5,556
146
Waystar Holding Corp.*
56,378
1,157
 
5,433
Hotel & Resort Real Estate Investment Trusts – 0.8%
Apple Hospitality REIT, Inc.
111,254
1,870
Braemar Hotels & Resorts, Inc.
31,294
68
Chatham Lodging Trust
23,449
310
DiamondRock Hospitality Co.
104,775
1,276
Park Hotels & Resorts, Inc.
95,716
1,364
Pebblebrook Hotel Trust
57,619
1,118
RLJ Lodging Trust
63,451
752
Ryman Hospitality Properties, Inc.
31,759
4,083
Service Properties Trust
297,744
503
Summit Hotel Properties, Inc.
53,339
374
Sunstone Hotel Investors, Inc.
92,535
1,059
Xenia Hotels & Resorts, Inc.
47,583
969
 
13,746
Hotels, Restaurants & Leisure – 2.0%
Accel Entertainment, Inc.*
26,413
333
Bally's Corp.* †
4,801
66
Biglari Holdings, Inc., Class A*
28
59
Biglari Holdings, Inc., Class B*
360
153
BJ's Restaurants, Inc.*
9,778
594
Black Rock Coffee Bar, Inc., Class A*
9,453
78
Bloomin' Brands, Inc.
44,408
406
Brightstar Lottery PLC
49,348
529
Brinker International, Inc.*
22,002
3,696
Cheesecake Factory (The), Inc.
23,937
1,904
Cracker Barrel Old Country Store, Inc.
11,510
614
Dave & Buster's Entertainment, Inc.*
14,207
162
Dine Brands Global, Inc.
6,523
234
El Pollo Loco Holdings, Inc.* †
14,872
252
First Watch Restaurant Group, Inc.*
32,075
413
Genius Sports Ltd.*
120,789
732
Global Business Travel Group I*
64,050
601
EQUITY FUNDS 126 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Hotels, Restaurants & Leisure – 2.0%continued
Hilton Grand Vacations, Inc.*
28,689
$1,502
Inspired Entertainment, Inc.*
11,461
95
Jack in the Box, Inc.* †
8,102
128
Krispy Kreme, Inc.* †
41,723
147
Kura Sushi U.S.A., Inc., Class A* †
3,575
206
Life Time Group Holdings, Inc.* †
74,084
3,026
Lindblad Expeditions Holdings, Inc.*
25,291
714
Marriott Vacations Worldwide Corp.
14,256
1,452
Monarch Casino & Resort, Inc.
6,178
813
Nathan's Famous, Inc.
1,511
154
Navan, Inc., Class A*
52,656
1,204
Papa John's International, Inc.
16,965
624
Penn Entertainment, Inc.*
65,499
1,399
Portillo's, Inc., Class A* †
34,068
162
Pursuit Attractions and Hospitality, Inc.*
10,594
593
RCI Hospitality Holdings, Inc.
3,188
87
Red Rock Resorts, Inc., Class A
24,334
1,583
Rush Street Interactive, Inc.*
51,323
1,526
Sabre Corp.* †
167,357
350
Serve Robotics, Inc.* †
37,057
244
Shake Shack, Inc., Class A*
20,014
1,121
SHARPLINK, Inc.*
95,243
457
Six Flags Entertainment Corp.* †
49,079
1,045
Super Group SGHC Ltd.
82,961
1,124
Sweetgreen, Inc., Class A*
53,659
473
Target Hospitality Corp.*
20,865
425
United Parks & Resorts, Inc.* †
10,067
481
Venu Holding Corp.*
25,328
58
Wendy's (The) Co.
82,267
682
Xponential Fitness, Inc., Class A* †
18,610
129
 
32,830
Household Durables – 1.6%
Beazer Homes U.S.A., Inc.*
12,628
354
Cavco Industries, Inc.*
3,978
2,444
Century Communities, Inc.
12,943
927
Champion Homes, Inc.*
28,202
2,485
Cricut, Inc., Class A
26,318
116
Dream Finders Homes, Inc., Class A*
13,711
237
Ethan Allen Interiors, Inc.
12,293
275
Flexsteel Industries, Inc.
1,685
125
GoPro, Inc., Class A*
71,918
56
Green Brick Partners, Inc.*
15,604
1,249
Hamilton Beach Brands Holding Co.,
Class A
3,774
87
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Household Durables – 1.6%continued
Helen of Troy Ltd.*
11,851
$345
Hovnanian Enterprises, Inc., Class A*
2,435
347
Installed Building Products, Inc.
12,078
2,776
KB Home
31,081
1,945
La-Z-Boy, Inc.
20,614
827
Legacy Housing Corp.*
4,486
118
Leggett & Platt, Inc.
69,294
811
LGI Homes, Inc.*
10,581
674
Lifetime Brands, Inc.
6,355
54
Lovesac (The) Co.* †
7,422
124
M/I Homes, Inc.*
13,003
2,091
Meritage Homes Corp.
33,816
2,835
Newell Brands, Inc.
217,829
1,337
Sonos, Inc.*
61,535
833
Taylor Morrison Home Corp.*
48,202
3,458
XMAX, Inc.*
30,918
281
 
27,211
Household Products – 0.3%
Central Garden & Pet Co.*
4,017
178
Central Garden & Pet Co., Class A*
25,746
998
Energizer Holdings, Inc.
31,522
676
Oil-Dri Corp. of America
5,011
512
Spectrum Brands Holdings, Inc.
11,523
988
WD-40 Co.
6,936
1,690
 
5,042
Independent Power & Renewable Electricity Producers – 0.2%
Hallador Energy Co.*
18,209
317
Montauk Renewables, Inc.* †
36,783
57
Ormat Technologies, Inc.
31,792
3,462
 
3,836
Industrial Conglomerates – 0.1%
Brookfield Business Corp., Class A
35,338
1,055
Industrial Real Estate Investment Trusts – 0.4%
Industrial Logistics Properties Trust
29,311
260
Innovative Industrial Properties, Inc.
14,595
905
LXP Industrial Trust
29,865
1,609
One Liberty Properties, Inc.
8,450
206
Terreno Realty Corp.
54,052
3,501
 
6,481
Insurance – 2.1%
Abacus Global Management, Inc.
14,013
150
Accelerant Holdings, Class A*
30,959
363
American Coastal Insurance Corp.
13,500
150
NORTHERN FUNDS QUARTERLY REPORT 127 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Insurance – 2.1%continued
American Integrity Insurance Group,
Inc.
6,333
$119
AMERISAFE, Inc.
9,633
326
Ategrity Specialty Holdings LLC*
4,858
117
Baldwin Insurance Group (The), Inc.*
49,635
1,319
Bowhead Specialty Holdings, Inc.*
9,453
283
Citizens, Inc.* †
22,709
130
CNO Financial Group, Inc.
47,532
2,423
Crawford & Co., Class A
7,865
89
Donegal Group, Inc., Class A
8,973
169
Employers Holdings, Inc.
9,449
477
Exzeo Group, Inc.* †
3,219
54
F&G Annuities & Life, Inc.
18,027
479
Genworth Financial, Inc.*
195,382
1,850
Goosehead Insurance, Inc., Class A*
11,890
577
Greenlight Capital Re Ltd., Class A*
13,516
219
Hamilton Insurance Group Ltd., Class B
23,423
795
HCI Group, Inc.
5,709
1,000
Heritage Insurance Holdings, Inc.*
12,560
328
Hippo Holdings, Inc.*
9,659
273
Horace Mann Educators Corp.
20,590
1,063
Investors Title Co.
751
205
James River Group Holdings, Inc.
15,717
69
Kemper Corp.
30,255
816
Kingstone Cos., Inc.
6,099
116
Kingsway Corp.*
11,387
119
Lemonade, Inc.*
36,396
2,368
MBIA, Inc.*
24,342
159
Mercury General Corp.
13,779
1,469
Neptune Insurance Holdings, Inc.,
Class A*
19,332
609
NI Holdings, Inc.*
3,762
59
Octave Specialty Group, Inc.*
18,996
118
Oscar Health, Inc., Class A*
121,931
3,477
Palomar Holdings, Inc.*
13,447
1,700
Pelagos Insurance Capital Ltd.
22,167
540
Root, Inc., Class A*
6,566
367
Safety Insurance Group, Inc.
7,464
559
Selective Insurance Group, Inc.
30,815
2,989
SiriusPoint Ltd.*
53,661
1,288
Skyward Specialty Insurance Group,
Inc.*
21,244
1,240
Slide Insurance Holdings, Inc.*
33,452
648
Stewart Information Services Corp.
15,504
1,024
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Insurance – 2.1%continued
Tiptree, Inc.
12,063
$216
Trupanion, Inc.* †
16,825
417
United Fire Group, Inc.
11,149
585
Universal Insurance Holdings, Inc.
13,038
539
 
34,449
Interactive Media & Services – 0.5%
Angi, Inc.*
12,361
74
Bumble, Inc., Class A*
53,001
170
Cargurus, Inc.*
38,230
1,303
Cars.com, Inc.* †
21,962
240
EverQuote, Inc., Class A*
14,364
342
fuboTV, Inc., Class A* †
15,107
139
Grindr, Inc.*
12,392
178
MediaAlpha, Inc., Class A* †
14,496
182
Nextdoor Holdings, Inc.*
119,498
271
QuinStreet, Inc.* †
28,301
415
RUM Group, Inc.* †
57,272
363
Shutterstock, Inc.
13,492
188
Taboola.com Ltd.*
63,691
318
TripAdvisor, Inc.*
44,006
603
Trump Media & Technology Group
Corp.*
81,202
629
Webtoon Entertainment, Inc.* †
11,098
127
Yelp, Inc.*
27,297
669
Ziff Davis, Inc.* †
17,676
926
ZipRecruiter, Inc., Class A* †
29,368
110
ZoomInfo Technologies, Inc.*
124,806
366
 
7,613
IT Services – 0.4%
Backblaze, Inc., Class A*
30,075
477
BigBear.ai Holdings, Inc.* †
247,259
907
Brand Engagement Network, Inc.* †
2,351
40
Commerce.com, Inc.* †
33,565
99
Crexendo, Inc.*
7,620
57
DXC Technology Co.*
87,186
772
Everforth, Inc.*
20,975
375
Fastly, Inc., Class A*
77,481
1,423
Globant S.A.*
21,860
633
Grid Dynamics Holdings, Inc.*
31,392
178
Hackett Group (The), Inc.
10,159
109
Information Services Group, Inc.
18,623
76
Rackspace Technology, Inc.*
46,341
303
SharonAI Holdings, Inc.* †
2,216
188
TSS, Inc.*
12,625
155
EQUITY FUNDS 128 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
IT Services – 0.4%continued
Tucows, Inc., Class A* †
3,795
$51
Unisys Corp.*
29,602
108
Whitefiber, Inc.*
5,860
228
 
6,179
Leisure Products – 0.5%
Acushnet Holdings Corp.
14,139
1,676
Callaway Golf Co.*
71,416
1,342
Escalade, Inc.
4,274
80
Funko, Inc., Class A*
21,218
125
JAKKS Pacific, Inc.
4,297
100
Johnson Outdoors, Inc., Class A
3,358
155
Latham Group, Inc.* †
27,376
177
Malibu Boats, Inc., Class A*
10,170
279
MasterCraft Boat Holdings, Inc.* †
9,501
245
Peloton Interactive, Inc., Class A*
207,004
1,224
Polaris, Inc.
27,674
1,894
Smith & Wesson Brands, Inc.
22,624
340
Sturm Ruger & Co., Inc.
7,142
270
Tron, Inc.*
28,072
45
 
7,952
Life Sciences Tools & Services – 0.5%
10X Genomics, Inc., Class A*
60,308
2,312
Adaptive Biotechnologies Corp.*
77,934
1,672
Alamar Biosciences, Inc.*
6,895
187
Alpha Teknova, Inc.* †
5,808
33
Azenta, Inc.* †
21,295
543
BioLife Solutions, Inc.* †
21,608
610
Codexis, Inc.*
37,998
86
CryoPort, Inc.* †
25,091
394
Cytek Biosciences, Inc.* †
62,771
278
Fortrea Holdings, Inc.*
48,854
850
Ginkgo Bioworks Holdings, Inc.*
24,725
245
Lifecore Biomedical, Inc.* †
12,025
63
Maravai LifeSciences Holdings, Inc.,
Class A*
57,077
356
Mesa Laboratories, Inc.
2,698
269
Nautilus Biotechnology, Inc.*
25,986
49
Omniab, Inc.(1) *
3,016
OmniAb, Inc.*
54,779
135
Omniab, Inc. (NASDAQ Exchange)(1) *
3,016
Pacific Biosciences of California, Inc.* †
142,650
240
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Life Sciences Tools & Services – 0.5%continued
Personalis, Inc.*
34,279
$459
Quanterix Corp.*
18,085
78
 
8,859
Machinery – 3.4%
3D Systems Corp.* †
75,056
227
Aebi Schmidt Holding A.G.
19,526
245
AirJoule Technologies Corp.* †
16,902
94
Alamo Group, Inc.
5,361
882
Albany International Corp., Class A
14,640
1,091
Alliance Laundry Holdings, Inc.* †
21,946
582
Astec Industries, Inc.
11,778
721
Atmus Filtration Technologies, Inc.
42,203
2,152
Blue Bird Corp.*
16,158
1,276
CECO Environmental Corp.* †
26,686
2,421
Columbus McKinnon Corp.
14,950
226
Commercial Vehicle Group, Inc.*
16,167
75
Douglas Dynamics, Inc.
11,783
636
Elmet Group (The) Co.* †
5,262
104
Energy Recovery, Inc.*
27,078
244
Enerpac Tool Group Corp.
26,399
947
Enpro, Inc.
10,896
4,107
ESCO Technologies, Inc.
13,402
4,691
Federal Signal Corp.
30,873
3,967
Franklin Electric Co., Inc.
19,336
2,073
FreightCar America, Inc.*
7,818
76
Gencor Industries, Inc.*
5,658
84
Gorman-Rupp (The) Co.
10,786
990
Graham Corp.*
5,410
670
Greenbrier (The) Cos., Inc.
15,651
767
Helios Technologies, Inc.
16,880
1,507
Hillman Solutions Corp.*
101,080
853
Hyster-Yale, Inc.
5,914
207
JBT Marel Corp.
26,856
3,894
Kadant, Inc.
6,078
1,910
Kennametal, Inc.
39,233
1,375
L.B. Foster Co., Class A*
4,874
220
Lindsay Corp.
5,280
654
Luxfer Holdings PLC
13,973
252
Manitowoc (The) Co., Inc.*
18,466
256
Mayville Engineering Co., Inc.*
7,397
277
Microvast Holdings, Inc.* †
111,085
130
Miller Industries, Inc.
5,387
276
Mueller Water Products, Inc., Class A
79,440
2,052
Omega Flex, Inc.
1,384
43
NORTHERN FUNDS QUARTERLY REPORT 129 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Machinery – 3.4%continued
Palladyne AI Corp.* †
18,526
$113
Park-Ohio Holdings Corp.
4,847
186
Perma-Pipe International Holdings,
Inc.*
3,583
98
Proto Labs, Inc.*
12,176
992
Richtech Robotics, Inc., Class B* †
94,200
199
Standex International Corp.
6,156
2,202
Taylor Devices, Inc.*
1,667
98
Tennant Co.
9,087
795
Terex Corp.
58,257
4,217
Titan International, Inc.*
27,536
212
Trinity Industries, Inc.
41,016
1,418
Twin Disc, Inc.
6,030
140
Velo3D, Inc.*
8,545
150
Wabash National Corp.
20,540
277
Worthington Enterprises, Inc.
15,835
851
 
55,202
Marine Transportation – 0.3%
Costamare Bulkers Holdings Ltd.* †
4,299
76
Costamare, Inc.
23,187
325
Genco Shipping & Trading Ltd.
16,827
417
Himalaya Shipping Ltd.* †
15,208
203
Matson, Inc.
15,418
2,964
Pangaea Logistics Solutions Ltd.
18,532
120
Safe Bulkers, Inc.
27,900
176
 
4,281
Media – 0.5%
Advantage Solutions, Inc.* †
2,118
92
AMC Global Media, Inc.* †
16,667
166
Boston Omaha Corp., Class A*
11,766
160
Cable One, Inc.*
2,751
146
Clear Channel Outdoor Holdings, Inc.*
198,879
481
DoubleVerify Holdings, Inc.*
70,956
769
Emerald Holding, Inc.
3,573
18
Entravision Communications Corp.,
Class A
31,678
413
EW Scripps (The) Co., Class A* †
24,522
68
Gray Media, Inc.
46,089
183
Ibotta, Inc., Class A* †
4,646
159
iHeartMedia, Inc., Class A* †
63,701
273
John Wiley & Sons, Inc., Class A
20,021
971
Lee Enterprises, Inc.*
3,627
33
Magnite, Inc.*
73,169
1,389
MNTN, Inc., Class A*
24,419
225
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Media – 0.5%continued
National CineMedia, Inc.
35,955
$137
Newsmax, Inc.* †
22,627
187
Nexxen International Ltd.*
13,874
125
Optimum Communications, Inc.,
Class A* †
139,381
202
PubMatic, Inc., Class A* †
19,526
256
Scholastic Corp.
7,751
357
Sinclair, Inc.
21,564
307
Stagwell, Inc.* †
53,021
394
TechTarget, Inc.* †
16,278
59
U.S.A. TODAY Co., Inc.*
69,614
595
 
8,165
Metals & Mining – 1.9%
Alpha Metallurgical Resources, Inc.*
5,413
893
American Battery Technology Co.*
68,312
193
Ampco-Pittsburgh Corp.*
8,402
73
Caledonia Mining Corp. PLC
8,030
153
Century Aluminum Co.*
35,511
1,634
Commercial Metals Co.
57,014
3,578
Compass Minerals International, Inc.*
16,297
507
Constellium S.E.*
68,621
2,187
Contango Silver & Gold, Inc.* †
13,362
211
Critical Metals Corp.* †
34,369
352
Dakota Gold Corp.*
59,312
253
Elemental Royalty Corp.
18,186
317
Ferroglobe PLC
59,594
189
Friedman Industries, Inc.
3,549
114
Gold Resource Corp.*
88,363
111
Hycroft Mining Holding Corp.,
Class A* †
27,460
643
Idaho Strategic Resources, Inc.* †
7,788
255
Ivanhoe Electric, Inc.*
60,819
584
Kaiser Aluminum Corp.
8,373
1,638
Lifezone Metals Ltd.* †
21,250
82
Materion Corp.
10,625
3,160
McEwen, Inc.* †
25,926
470
Metallus, Inc.*
19,047
356
NioCorp. Developments Ltd.*
72,628
350
Novagold Resources, Inc.*
176,797
1,055
Perpetua Resources Corp.* †
43,345
900
Ramaco Resources, Inc., Class A* †
22,595
299
Ramaco Resources, Inc., Class B*
3,704
32
REalloys, Inc.* †
28,136
407
Ryerson Holding Corp.
22,919
564
EQUITY FUNDS 130 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Metals & Mining – 1.9%continued
Silver Bow Mining Corp.*
3,414
$23
SSR Mining, Inc.*
111,735
3,160
SunCoke Energy, Inc.
44,425
358
Tredegar Corp.*
15,210
121
U.S. Gold Corp.* †
6,362
98
U.S.A. Rare Earth, Inc., Class A*
98,282
2,121
United States Antimony Corp.* †
67,744
492
Vista Gold Corp.* †
73,167
140
Vox Royalty Corp.
31,857
151
Warrior Met Coal, Inc.
26,879
2,181
Worthington Steel, Inc.
16,883
567
 
30,972
Mortgage Real Estate Investment Trusts – 0.8%
ACRES Commercial Realty Corp.*
2,144
38
Adamas Trust, Inc.
44,042
413
Angel Oak Mortgage REIT, Inc.
9,117
83
Apollo Commercial Real Estate Finance,
Inc.
68,913
736
Arbor Realty Trust, Inc.
97,525
528
Ares Commercial Real Estate Corp.
28,157
127
ARMOUR Residential REIT, Inc.
64,440
1,124
Blackstone Mortgage Trust, Inc.,
Class A
81,873
1,388
BrightSpire Capital, Inc.
63,919
348
Chicago Atlantic Real Estate Finance,
Inc.
8,379
90
Chimera Investment Corp.
42,999
574
Claros Mortgage Trust, Inc.*
50,918
120
Dynex Capital, Inc.
110,804
1,453
Ellington Financial, Inc.
63,179
860
Franklin BSP Realty Trust, Inc.
38,150
310
Invesco Mortgage Capital, Inc.
46,931
371
KKR Real Estate Finance Trust, Inc.
25,738
176
Ladder Capital Corp.
58,757
585
MFA Financial, Inc.
52,470
508
Nexpoint Real Estate Finance, Inc.
3,924
61
Orchid Island Capital, Inc.
103,249
720
PennyMac Mortgage Investment Trust
44,728
504
Ready Capital Corp.
66,100
116
Redwood Trust, Inc.
65,435
310
Seven Hills Realty Trust
9,764
82
TPG Mortgage Investment Trust, Inc.
16,266
129
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Mortgage Real Estate Investment Trusts – 0.8%continued
TPG RE Finance Trust, Inc.
37,132
$311
Two Harbors Investment Corp.
53,945
669
 
12,734
Multi-Utilities – 0.4%
Avista Corp.
42,443
1,736
Black Hills Corp.
39,326
2,926
Northwestern Energy Group, Inc.
31,680
2,269
TXNM Energy, Inc.(1)
50,000
Unitil Corp.
9,246
487
 
7,418
Office Real Estate Investment Trusts – 0.6%
Brandywine Realty Trust
87,360
277
COPT Defense Properties
58,692
2,136
Douglas Emmett, Inc.
84,069
992
Easterly Government Properties, Inc.
22,692
565
Empire State Realty Trust, Inc., Class A
73,703
399
Highwoods Properties, Inc.
56,590
1,707
Hudson Pacific Properties, Inc.*
27,186
413
JBG SMITH Properties
30,627
449
NET Lease Office Properties
8,080
90
Orion Properties, Inc.
26,407
76
Piedmont Realty Trust, Inc.*
65,132
596
Postal Realty Trust, Inc., Class A
13,101
323
SL Green Realty Corp.
36,897
1,910
 
9,933
Oil, Gas & Consumable Fuels – 3.3%
Aemetis, Inc.* †
34,165
56
American Resources Corp.* †
46,282
100
Amplify Energy Corp.*
18,819
75
Ardmore Shipping Corp.
18,040
253
BKV Corp.*
16,412
449
California Resources Corp.
37,130
1,963
Calumet, Inc.*
34,987
1,260
Centrus Energy Corp., Class A* †
9,436
1,584
Clean Energy Fuels Corp.*
85,949
176
CNX Resources Corp.*
69,934
2,373
Comstock Resources, Inc.*
36,005
537
Comstock, Inc.*
39,125
163
Core Natural Resources, Inc.
25,721
2,058
Crescent Energy Co., Class A
131,476
1,291
CVR Energy, Inc.
15,168
418
Delek U.S. Holdings, Inc.
30,907
1,570
DHT Holdings, Inc.
74,545
1,232
NORTHERN FUNDS QUARTERLY REPORT 131 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Oil, Gas & Consumable Fuels – 3.3%continued
Diversified Energy Co.
35,929
$498
Dorian LPG Ltd.
18,974
660
Encore Energy Corp.* †
101,964
134
Energy Fuels, Inc.* †
127,273
1,845
Epsilon Energy Ltd.
11,260
61
Evolution Petroleum Corp.
17,790
65
Excelerate Energy, Inc., Class A
12,261
466
FLEX LNG Ltd.* †
15,770
443
FutureFuel Corp.
11,564
52
Gevo, Inc.* †
123,716
186
Golar LNG Ltd.
49,721
2,478
Granite Ridge Resources, Inc.
25,933
114
Green Plains, Inc.*
35,177
541
Gulfport Energy Corp.*
8,097
1,374
HighPeak Energy, Inc.
12,016
84
Infinity Natural Resources, Inc.,
Class A* †
7,734
98
International Seaways, Inc.
21,310
1,632
Kinetik Holdings, Inc.
26,073
1,260
Kolibri Global Energy, Inc.* †
11,936
59
Kosmos Energy Ltd.*
301,070
635
Lightbridge Corp.* †
17,780
156
Magnolia Oil & Gas Corp., Class A
93,869
2,401
Murphy Oil Corp.
70,145
2,284
NACCO Industries, Inc., Class A
2,009
101
Navigator Holdings Ltd.
18,681
348
New Era Energy & Digital, Inc.* †
41,583
265
NextDecade Corp.* †
85,237
643
Nordic American Tankers Ltd.
103,878
575
Northern Oil & Gas, Inc.
53,351
968
OPAL Fuels, Inc., Class A* †
9,784
22
Par Pacific Holdings, Inc.*
24,874
1,395
PBF Energy, Inc., Class A
50,011
2,277
Peabody Energy Corp.
62,718
1,450
PrimeEnergy Resources Corp.* †
306
51
REX American Resources Corp.*
14,845
670
Riley Exploration Permian, Inc.
7,875
260
Ring Energy, Inc.*
99,815
108
Sable Offshore Corp.* †
67,732
209
SandRidge Energy, Inc.
16,804
230
Scorpio Tankers, Inc.
23,540
1,630
SFL Corp. Ltd.
62,733
640
SM Energy Co.
123,348
3,219
Summit Midstream Corp.*
4,407
126
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Oil, Gas & Consumable Fuels – 3.3%continued
Talos Energy, Inc.*
64,727
$836
Teekay Corp. Ltd.
28,919
289
Teekay Tankers Ltd., Class A
12,430
806
Uranium Energy Corp.*
250,257
2,668
Ur-Energy, Inc.*
196,406
267
VAALCO Energy, Inc.
54,075
275
Vitesse Energy, Inc.
16,807
265
W&T Offshore, Inc.
48,612
153
World Kinect Corp.
25,578
843
 
54,673
Paper & Forest Products – 0.1%
Clearwater Paper Corp.*
7,269
114
Magnera Corp.*
17,128
201
Sylvamo Corp.
17,152
649
 
964
Passenger Airlines – 0.5%
Allegiant Travel Co.*
12,394
1,457
flyExclusive, Inc.* †
6,860
14
Frontier Group Holdings, Inc.* †
30,868
244
JetBlue Airways Corp.*
172,955
991
Joby Aviation, Inc.* †
342,770
3,057
Mesa Air Group, Inc.* †
6,519
137
SkyWest, Inc.*
20,335
2,020
Wheels Up Experience, Inc.*
3,187
29
 
7,949
Personal Care Products – 0.3%
BellRing Brands, Inc.*
60,157
778
Coty, Inc., Class A*
184,561
398
Edgewell Personal Care Co.
23,976
644
Herbalife Ltd.*
51,930
683
Honest (The) Co., Inc.* †
50,266
184
Interparfums, Inc.
9,391
1,050
Nature's Sunshine Products, Inc.*
7,466
163
Niagen Bioscience, Inc.* †
30,361
97
Nu Skin Enterprises, Inc., Class A
24,436
129
Oddity Tech Ltd., Class A* †
20,467
310
Olaplex Holdings, Inc.* †
72,127
148
USANA Health Sciences, Inc.*
5,988
128
 
4,712
Pharmaceuticals – 2.8%
Aclaris Therapeutics, Inc.* †
61,003
323
Alto Neuroscience, Inc.*
13,206
349
Alumis, Inc.* †
39,901
1,123
EQUITY FUNDS 132 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Pharmaceuticals – 2.8%continued
Amneal Pharmaceuticals, Inc.*
86,379
$1,495
Amphastar Pharmaceuticals, Inc.*
15,893
321
Amylyx Pharmaceuticals, Inc.*
46,462
834
AN2 Therapeutics, Inc.*
13,726
66
ANI Pharmaceuticals, Inc.*
10,379
859
Aquestive Therapeutics, Inc.* †
55,698
232
Arvinas, Inc.*
30,730
255
AtaiBeckley, Inc.*
161,905
853
Atea Pharmaceuticals, Inc.*
34,065
158
Avalyn Pharma, Inc.* †
8,816
290
BioAge Labs, Inc.* †
17,744
435
Collegium Pharmaceutical, Inc.* †
16,668
603
Context Therapeutics, Inc.*
48,835
27
Contineum Therapeutics, Inc., Class A*
13,854
227
CorMedix, Inc.* †
38,378
301
Crinetics Pharmaceuticals, Inc.* †
52,392
1,961
Definium Therapeutics, Inc.* †
65,803
3,095
Edgewise Therapeutics, Inc.*
36,152
1,469
Enliven Therapeutics, Inc.*
21,651
1,099
Esperion Therapeutics, Inc.*
128,047
405
Eton Pharmaceuticals, Inc.*
13,473
488
Evolus, Inc.*
30,735
213
EyePoint, Inc.*
39,117
559
Fulcrum Therapeutics, Inc.* †
26,616
97
Harmony Biosciences Holdings, Inc.*
22,856
832
Harrow, Inc.* †
16,384
696
Indivior Pharmaceuticals, Inc.*
60,668
2,489
Innoviva, Inc.*
38,226
868
LB Pharmaceuticals, Inc.* †
11,286
366
LENZ Therapeutics, Inc.*
10,887
62
Lexicon Pharmaceuticals, Inc.*
125,581
301
Ligand Pharmaceuticals, Inc.*
10,154
3,210
Liquidia Corp.*
35,687
2,845
Maze Therapeutics, Inc.*
17,713
529
MBX Biosciences, Inc.*
15,685
866
MediWound Ltd.* †
5,369
79
Nektar Therapeutics* †
17,422
1,216
Neumora Therapeutics, Inc.*
53,706
91
Nuvation Bio, Inc.*
127,403
724
Ocular Therapeutix, Inc.*
104,111
1,022
Omeros Corp.* †
36,250
345
Oramed Pharmaceuticals, Inc.
15,983
77
Pacira BioSciences, Inc.* †
20,211
513
Perrigo Co. PLC
71,307
741
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Pharmaceuticals – 2.8%continued
Phathom Pharmaceuticals, Inc.* †
24,543
$266
Phibro Animal Health Corp., Class A
10,606
333
Prestige Consumer Healthcare, Inc.*
24,266
1,147
Rapport Therapeutics, Inc.* †
15,468
645
Relmada Therapeutics, Inc.* †
47,624
330
Septerna, Inc.*
11,053
370
SIGA Technologies, Inc.
18,351
67
SpyGlass Pharma, Inc.*
5,217
116
Supernus Pharmaceuticals, Inc.* †
28,366
1,319
Tarsus Pharmaceuticals, Inc.*
21,157
1,332
Theravance Biopharma, Inc.* †
20,381
347
Third Harmonic Bio, Inc.(1) * †
11,686
Trevi Therapeutics, Inc.* †
54,135
1,010
VeraDermics, Inc.*
10,998
1,352
WaVe Life Sciences Ltd.*
69,698
405
Xeris Biopharma Holdings, Inc.*
86,750
687
Zevra Therapeutics, Inc.*
29,793
427
 
46,162
Professional Services – 1.1%
Asure Software, Inc.*
12,063
96
Barrett Business Services, Inc.
12,366
439
BlackSky Technology, Inc.*
16,896
472
CBIZ, Inc.*
24,941
800
Clarivate PLC* †
177,614
384
Concentrix Corp.
21,685
486
Conduent, Inc.*
66,529
97
CRA International, Inc.
3,216
458
Exponent, Inc.
24,987
1,468
Falcon's Beyond Global, Inc., Class A*
14,445
259
First Advantage Corp.* †
40,625
733
Franklin Covey Co.*
4,536
111
HireQuest, Inc.
2,847
36
Huron Consulting Group, Inc.*
8,391
756
IBEX Holdings Ltd.*
4,967
151
ICF International, Inc.
9,277
676
Innodata, Inc.*
16,103
1,217
Insperity, Inc.
18,692
772
Kelly Services, Inc., Class A
14,407
177
Kforce, Inc.
8,567
402
Korn Ferry
26,683
1,777
Legalzoom.com, Inc.*
61,492
377
ManpowerGroup, Inc.
23,739
802
Maximus, Inc.
27,867
1,498
NORTHERN FUNDS QUARTERLY REPORT 133 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Professional Services – 1.1%continued
Mistras Group, Inc.*
9,136
$160
Public Policy Holding Co., Inc.
366
3
RCM Technologies, Inc.*
2,350
66
Resolute Holdings Management, Inc.* †
2,007
290
Spire Global, Inc.* †
15,696
292
TIC Solutions, Inc.*
91,333
739
TriNet Group, Inc.
14,195
702
TrueBlue, Inc.* †
13,169
92
Upwork, Inc.*
61,146
511
Verra Mobility Corp.*
77,961
331
Willdan Group, Inc.*
7,414
586
 
18,216
Real Estate Management & Development – 0.8%
AGNT, Inc.
48,154
260
Compass, Inc., Class A*
363,738
4,485
Comstock Holding Cos., Inc.*
1,857
30
Cushman & Wakefield Ltd.*
121,000
1,620
Douglas Elliman, Inc.*
29,476
52
Forestar Group, Inc.*
10,270
325
FRP Holdings, Inc.* †
6,071
152
Marcus & Millichap, Inc.
11,353
354
Maui Land & Pineapple Co., Inc.*
3,439
61
Newmark Group, Inc., Class A
80,261
1,213
Opendoor Technologies, Inc.* †
476,548
2,202
RE/MAX Holdings, Inc., Class A*
9,681
95
Real Brokerage (The), Inc.* †
82,326
150
RMR Group (The), Inc., Class A
8,159
167
Seaport Entertainment Group, Inc.* †
3,858
103
St. Joe (The) Co.
19,670
1,232
Tejon Ranch Co.*
11,154
209
Transcontinental Realty Investors, Inc.* †
612
28
 
12,738
Residential Real Estate Investment Trusts – 0.2%
BRT Apartments Corp.
5,194
80
Centerspace
8,656
486
Independence Realty Trust, Inc.
121,392
2,026
NexPoint Residential Trust, Inc.
11,672
326
UMH Properties, Inc.
41,688
631
 
3,549
Retail Real Estate Investment Trusts – 1.3%
Acadia Realty Trust
69,026
1,443
Alexander's, Inc.
1,064
293
CBL & Associates Properties, Inc.
9,457
502
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Retail Real Estate Investment Trusts – 1.3%continued
Curbline Properties Corp.
49,965
$1,519
FrontView REIT, Inc.
10,295
208
Getty Realty Corp.
29,409
981
InvenTrust Properties Corp.
40,074
1,419
Kite Realty Group Trust
104,445
2,964
Macerich (The) Co.
144,566
3,642
NETSTREIT Corp.
50,025
1,057
Phillips Edison & Co., Inc.
64,886
2,701
Saul Centers, Inc.
6,922
259
SITE Centers Corp.
26,848
107
Tanger, Inc.
58,021
2,290
Urban Edge Properties
65,352
1,495
Whitestone REIT
23,801
451
 
21,331
Semiconductors & Semiconductor Equipment – 3.6%
ACM Research, Inc., Class A*
27,279
3,461
Aehr Test Systems*
15,479
1,487
Aeluma, Inc.* †
6,634
147
Alpha & Omega Semiconductor Ltd.* †
12,512
592
Ambarella, Inc.*
21,565
1,850
Ambiq Micro, Inc.*
9,397
830
Amtech Systems, Inc.*
5,994
138
Atomera, Inc.* †
19,789
172
Axcelis Technologies, Inc.*
15,869
3,006
AXT, Inc.*
31,575
2,276
Blaize Holdings, Inc.* †
33,975
47
Canadian Solar, Inc.*
23,828
382
CEVA, Inc.*
14,252
672
Cohu, Inc.*
23,629
1,746
Diodes, Inc.*
23,277
2,548
Everspin Technologies, Inc.*
9,989
242
GSI Technology, Inc.*
16,316
126
Ichor Holdings Ltd.*
17,753
1,993
Impinj, Inc.* †
14,802
2,120
indie Semiconductor, Inc., Class A* †
108,382
487
inTEST Corp.*
6,020
109
Kopin Corp.* †
88,491
397
Kulicke & Soffa Industries, Inc.
26,246
3,511
MaxLinear, Inc.*
43,818
5,610
Navitas Semiconductor Corp.* †
93,378
1,673
NVE Corp.
2,365
247
PDF Solutions, Inc.* †
16,726
1,184
Penguin Solutions, Inc.*
25,446
1,934
Photronics, Inc.*
29,394
956
EQUITY FUNDS 134 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Semiconductors & Semiconductor Equipment – 3.6%continued
Power Integrations, Inc.
28,370
$2,376
QuickLogic Corp.*
7,933
158
Rigetti Computing, Inc.* †
169,590
3,277
Silicon Laboratories, Inc.*
16,781
3,668
SkyWater Technology, Inc.*
18,891
658
Synaptics, Inc.* †
19,674
2,444
T1 Energy, Inc.*
90,350
857
Toyo Co. Ltd.*
4,011
28
Ultra Clean Holdings, Inc.*
22,755
3,245
Veeco Instruments, Inc.*
30,438
2,307
Wolfspeed, Inc.* †
14,594
704
 
59,665
Software – 5.9%
8x8, Inc.*
72,815
125
A10 Networks, Inc.
36,408
1,360
ACI Worldwide, Inc.*
51,999
2,615
Adeia, Inc.
56,418
1,858
Agilysys, Inc.* †
13,288
1,389
Alarm.com Holdings, Inc.*
24,019
1,122
Alkami Technology, Inc.* †
33,889
614
Amplitude, Inc., Class A*
48,273
369
Appian Corp., Class A* †
20,075
460
Arteris, Inc.*
17,610
856
Asana, Inc., Class A* †
49,947
350
AvePoint, Inc.*
84,919
952
Bit Digital, Inc.* †
170,017
306
Bitdeer Technologies Group, Class A* †
65,668
1,042
Blackbaud, Inc.* †
18,139
537
BlackLine, Inc.* †
25,002
702
Blend Labs, Inc., Class A*
86,093
147
Box, Inc., Class A*
69,099
1,834
Braze, Inc., Class A* †
48,278
1,047
C3.ai, Inc., Class A* †
68,878
626
Cerence, Inc.*
22,831
258
Cipher Digital, Inc.* †
171,789
4,209
Cleanspark, Inc.* †
128,046
1,863
Clear Secure, Inc., Class A
48,204
2,686
Commvault Systems, Inc.*
22,628
3,207
Consensus Cloud Solutions, Inc.*
9,021
344
Core Scientific, Inc.* †
158,797
4,064
CS Disco, Inc.*
11,330
43
Daily Journal Corp.*
687
413
Digimarc Corp.* †
5,338
44
Digital Turbine, Inc.* †
57,001
735
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Software – 5.9%continued
Domo, Inc., Class B* †
19,494
$61
Duos Technologies Group, Inc.*
13,413
161
D-Wave Quantum, Inc.* †
186,743
4,480
eGain Corp.*
8,337
53
EverCommerce, Inc.* †
5,743
58
Five9, Inc.*
38,579
823
Freshworks, Inc., Class A*
107,921
1,092
Hut 8 Corp.*
52,263
6,034
I3 Verticals, Inc., Class A* †
11,457
245
Intapp, Inc.*
28,295
713
Intellicheck, Inc.*
9,092
37
InterDigital, Inc.
13,221
3,743
JFrog Ltd.*
55,190
5,016
Kaltura, Inc.*
36,253
47
Keel Infrastructure Corp.*
298,630
1,714
Life360, Inc.* †
9,394
520
LiveRamp Holdings, Inc.*
31,488
1,185
MARA Holdings, Inc.*
196,182
2,725
Mitek Systems, Inc.*
22,610
455
N-able, Inc.*
32,221
118
nCino, Inc.*
54,029
883
NCR Voyix Corp.* †
71,472
584
NextNav, Inc.*
51,276
914
OneSpan, Inc.
18,366
264
Ooma, Inc.* †
12,534
241
PagerDuty, Inc.*
40,387
390
PAR Technology Corp.* †
21,276
371
Porch Group, Inc.* †
49,332
742
Progress Software Corp.* †
21,183
711
Q2 Holdings, Inc.*
32,038
1,541
Qualys, Inc.*
18,367
2,525
Rapid7, Inc.* †
32,506
263
Red Violet, Inc.*
5,682
362
ReposiTrak, Inc.
4,662
42
Rimini Street, Inc.*
25,934
111
Riot Platforms, Inc.*
180,621
4,945
Roadzen, Inc.* †
22,562
33
ServiceTitan, Inc., Class A* †
30,991
2,191
Silvaco Group, Inc.* †
5,105
70
Soluna Holdings, Inc.*
54,774
74
SoundHound AI, Inc., Class A* †
202,359
1,309
Sprinklr, Inc., Class A*
54,088
279
Sprout Social, Inc., Class A*
25,847
195
SPS Commerce, Inc.*
18,816
1,076
NORTHERN FUNDS QUARTERLY REPORT 135 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Software – 5.9%continued
Telos Corp.*
29,033
$134
Tenable Holdings, Inc.* †
57,953
2,137
Teradata Corp.*
48,411
1,677
Thryv Holdings, Inc.*
13,567
54
Varonis Systems, Inc.*
57,647
2,419
Veritone, Inc.* †
44,529
61
Vertex, Inc., Class A*
36,402
418
Via Transportation, Inc., Class A* †
26,594
482
Viant Technology, Inc., Class A* †
8,606
109
Weave Communications, Inc.*
33,205
199
Workiva, Inc.*
26,187
1,270
Xperi, Inc.* †
21,643
178
Yext, Inc.*
40,999
192
ZenaTech, Inc.* †
24,427
37
Zeta Global Holdings Corp., Class A*
114,732
2,258
 
97,198
Specialized Real Estate Investment Trusts – 0.4%
Farmland Partners, Inc.
21,454
208
Four Corners Property Trust, Inc.
56,127
1,378
Gladstone Land Corp.
21,033
180
Outfront Media, Inc.
81,574
2,672
Safehold, Inc.
28,996
455
Smartstop Self Storage REIT, Inc.
28,643
931
 
5,824
Specialty Retail – 2.0%
1-800-Flowers.com, Inc., Class A* †
8,316
29
Abercrombie & Fitch Co., Class A*
22,610
2,035
Academy Sports & Outdoors, Inc.
33,038
1,557
Advance Auto Parts, Inc.
31,127
1,937
American Eagle Outfitters, Inc.
80,450
1,384
Arhaus, Inc.
27,478
231
Arko Corp.
38,146
306
ARKO Petroleum Corp.
6,435
121
Asbury Automotive Group, Inc.*
9,973
2,005
Barnes & Noble Education, Inc.* †
8,839
111
Bed Bath & Beyond, Inc.*
38,013
220
Bob's Discount Furniture, Inc.* †
9,905
157
Boot Barn Holdings, Inc.*
15,739
2,585
Buckle (The), Inc.
16,460
695
Build-A-Bear Workshop, Inc.
6,263
192
Caleres, Inc.
17,248
213
Camping World Holdings, Inc., Class A
31,254
239
Citi Trends, Inc.* †
2,616
151
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Specialty Retail – 2.0%continued
Designer Brands, Inc., Class A
16,870
$98
Envela Corp.* †
3,499
101
EVgo, Inc.* †
69,337
132
Genesco, Inc.*
4,941
167
Group 1 Automotive, Inc.
5,965
1,737
Haverty Furniture Cos., Inc.
7,235
185
J Jill, Inc.
3,737
59
Lands' End, Inc.* †
5,192
54
MarineMax, Inc.*
10,191
373
Monro, Inc.
11,908
204
National Vision Holdings, Inc.* †
40,299
766
OneWater Marine, Inc., Class A* †
4,769
54
Outdoor Holding Co.*
51,018
116
Petco Health & Wellness Co., Inc.* †
48,068
131
RealReal (The), Inc.*
57,435
677
Rent the Runway, Inc., Class A* †
4,950
16
Revolve Group, Inc.*
21,601
494
RH*
7,971
1,313
RideNow Group, Inc.*
8,155
54
Sally Beauty Holdings, Inc.* †
49,352
698
Shoe Station Group, Inc.
9,618
143
Signet Jewelers Ltd.
20,110
1,734
Sonic Automotive, Inc., Class A
6,177
524
Stitch Fix, Inc., Class A*
61,000
251
ThredUp, Inc., Class A* †
53,499
367
Torrid Holdings, Inc.* †
17,888
33
Upbound Group, Inc.
28,118
597
Urban Outfitters, Inc.*
29,397
2,083
Victoria's Secret & Co.*
35,715
2,982
Warby Parker, Inc., Class A* †
52,408
1,590
Winmark Corp.
1,553
657
Zumiez, Inc.*
6,973
124
 
32,682
Technology Hardware, Storage & Peripherals – 0.3%
Corsair Gaming, Inc.*
24,601
238
CPI Card Group, Inc.*
4,193
87
Diebold Nixdorf, Inc.*
11,484
976
Eastman Kodak Co.*
32,610
302
GPGI, Inc.
91,585
1,452
Immersion Corp.
12,123
82
Infleqtion, Inc.* †
59,454
792
One Stop Systems, Inc.*
10,996
200
Quantum Computing, Inc.* †
104,445
1,013
EQUITY FUNDS 136 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Technology Hardware, Storage & Peripherals – 0.3%continued
Turtle Beach Corp.* †
6,483
$81
Xerox Holdings Corp.
63,284
198
 
5,421
Textiles, Apparel & Luxury Goods – 0.6%
Capri Holdings Ltd.*
60,828
1,129
Carter's, Inc.
18,293
753
Ermenegildo Zegna N.V.
23,101
301
Figs, Inc., Class A*
48,097
492
Fossil Group, Inc.*
28,202
117
G-III Apparel Group Ltd.
18,722
631
Kontoor Brands, Inc.
28,097
2,342
Movado Group, Inc.
7,745
304
Oxford Industries, Inc.
7,181
250
Playboy, Inc.*
27,662
34
Rocky Brands, Inc.
3,564
147
Steven Madden Ltd.
37,075
1,561
Superior Group of Cos., Inc.
4,552
60
Under Armour, Inc., Class A*
96,829
619
Under Armour, Inc., Class C*
95,636
595
Wolverine World Wide, Inc.
42,047
695
 
10,030
Tobacco – 0.1%
Turning Point Brands, Inc.
9,603
814
Universal Corp.
12,643
660
 
1,474
Trading Companies & Distributors – 1.1%
Alta Equipment Group, Inc.
8,243
53
BlueLinx Holdings, Inc.*
4,025
249
Boise Cascade Co.
18,419
1,430
Custom Truck One Source, Inc.*
31,575
373
Distribution Solutions Group, Inc.*
4,907
134
DNOW, Inc.*
95,069
1,233
DXP Enterprises, Inc.*
6,603
1,114
EVI Industries, Inc.
1,780
26
GATX Corp.
18,161
3,218
Global Industrial Co.
7,708
258
Herc Holdings, Inc.
16,969
2,432
Hudson Technologies, Inc.*
16,665
96
Karat Packaging, Inc.
4,224
141
McGrath RentCorp
12,569
1,521
NPK International, Inc.*
41,956
668
Rush Enterprises, Inc., Class A
31,178
2,276
Rush Enterprises, Inc., Class B
4,747
363
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Trading Companies & Distributors – 1.1%continued
Titan Machinery, Inc.* †
11,070
$234
Transcat, Inc.*
4,752
441
Willis Lease Finance Corp.
1,933
442
Xometry, Inc., Class A* †
23,402
2,259
 
18,961
Transportation Infrastructure – 0.0%
Sky Harbour Group Corp.* †
10,049
99
Water Utilities – 0.3%
American States Water Co.
20,197
1,669
Cadiz, Inc.*
25,781
108
California Water Service Group
30,813
1,499
Consolidated Water Co. Ltd.
8,054
237
Global Water Resources, Inc.
8,325
60
H2O America
17,934
1,090
Middlesex Water Co.
9,468
532
Pure Cycle Corp.*
8,952
96
York Water (The) Co.
8,416
258
 
5,549
Wireless Telecommunication Services – 0.1%
Gogo, Inc.*
42,063
130
KORE Group Holdings, Inc.*
3,141
29
Spok Holdings, Inc.
9,374
96
Telephone and Data Systems, Inc.
50,808
1,881
 
2,136
Total Common Stocks
(Cost $960,384)
1,628,779
 
RIGHTS – 0.0%
Biotechnology – 0.0%
Cartesian Therapeutics, Inc.(1) *
50,322
115
Chinook Therapeutics, Inc. (Contingent
Value Rights)(1) *
7,412
Chinook Therapeutics, Inc. (Contingent
Value Rights)(1) *
26,398
Inhibrx, Inc. (Contingent Value
Rights)(1) *
15,255
Oncternal Therapeutics, Inc.
(Contingent Value Rights)(1) (3) * †
398
Tobira Therapeutics, Inc. (Contingent
Value Rights)(1) (3) * †
5,175
 
115
Total Rights
(Cost $40)
115
NORTHERN FUNDS QUARTERLY REPORT 137 EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued
 
 
NUMBER
OF WARRANTS
VALUE
(000S)
WARRANTS – 0.0%
Pulse Biosciences, Inc., Exp. 6/27/29,
Strike $0.00* †
836
$7
Total Warrants
(Cost $—)
7
 
NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 9.9%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(4) (5) (6)
145,929,352
$145,929
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(4) (5)
16,885,026
16,885
Total Investment Companies
(Cost $162,814)
162,814
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
3.71%, 10/15/26(7) (8)
$1,180
$1,167
Total Short-Term Investments
(Cost $1,167)
1,167
 
Total Investments – 108.9%
(Cost $1,124,405)
1,792,882
Liabilities less Other Assets – (8.9%)
(146,941
)
NET ASSETS – 100.0%
$1,645,941
(1)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(2)
Investment in affiliate.
(3)
Restricted security. At June 30, 2026, the value of these restricted securities
amounted to $0 or 0.0% of net assets. Additional information on these
restricted securities are as follows:
SECURITY
ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Oncternal Therapeutics, Inc. (Contingent
Value Rights)
6/10/19
$
Tobira Therapeutics, Inc. (Contingent Value
Rights)
11/2/16
40
 
 
(4)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(5)
7-day current yield as of June 30, 2026 is disclosed.
(6)
Investment of cash collateral received from securities lending activities.
(7)
Discount rate at the time of purchase.
(8)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini Russell
2000 Index
106
$16,142
Long
9/26
$135
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1)
$1,628,779
$
$
$1,628,779
Rights
115
115
Warrants
7
7
Investment Companies
162,814
162,814
Short-Term Investments
1,167
1,167
Total Investments
$1,791,593
$1,174
$115
$1,792,882
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$135
$
$
$135
(1)
Classifications as defined in the Schedule of Investments.
EQUITY FUNDS 138 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
NET
REALIZED
GAINS
(LOSSES)
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Methode Electronics, Inc.
$74
$72
$9
$194
$5
$336
17,685
$1
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
105,633
190,252
149,956
145,929
145,929,352
290
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
18,417
64,723
66,255
16,885
16,885,026
295
Total
$124,124
$255,047
$216,220
$194
$5
$163,150
162,832,063
$586
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
NORTHERN FUNDS QUARTERLY REPORT 139 EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.5%
Aerospace & Defense – 0.5%
VSE Corp.
14,987
$3,424
Automobile Components – 1.1%
Adient PLC*
28,470
523
Dana, Inc.
21,217
577
Garrett Motion, Inc.
55,919
2,026
LCI Industries
6,458
684
Phinia, Inc.
13,179
1,086
Standard Motor Products, Inc.
62,538
2,437
Visteon Corp.
5,914
587
 
7,920
Automobiles – 0.1%
Winnebago Industries, Inc.
15,227
476
Banks – 17.5%
1st Source Corp.
9,378
765
ACNB Corp.
13,604
808
Amalgamated Financial Corp.
22,913
1,052
Ameris Bancorp
40,189
3,627
Axos Financial, Inc.*
73,666
7,174
Bank First Corp.
5,447
808
Bank of NT Butterfield & Son (The) Ltd.
40,549
2,413
Bank7 Corp.
13,967
684
Banner Corp.
28,369
1,885
Business First Bancshares, Inc.
23,226
714
Camden National Corp.
14,031
761
Cathay General Bancorp
89,522
5,549
Central Pacific Financial Corp.
34,519
1,319
Community Financial System, Inc.
52,162
3,501
Community Trust Bancorp, Inc.
63,067
4,564
Customers Bancorp, Inc.*
39,291
3,108
CVB Financial Corp.
94,945
2,141
Eastern Bankshares, Inc.
182,858
4,067
Enterprise Financial Services Corp.
21,371
1,408
Farmers National Banc Corp.
42,804
625
First Bancorp
22,610
1,445
First BanCorp
306,473
7,990
First Business Financial Services, Inc.
13,457
850
First Financial Bancorp
95,936
3,246
First Financial Corp.
15,977
1,237
First Hawaiian, Inc.
24,005
703
First Interstate BancSystem, Inc., Class A
17,960
693
First Merchants Corp.
29,975
1,310
First Mid Bancshares, Inc.
16,199
779
FS Bancorp, Inc.
14,594
633
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Banks – 17.5%continued
Fulton Financial Corp.
29,289
$708
Hancock Whitney Corp.
63,623
4,754
Hanmi Financial Corp.
24,918
807
HBT Financial, Inc.
24,741
791
Home BancShares, Inc.
66,396
1,896
Independent Bank Corp.
18,281
659
International Bancshares Corp.
42,195
3,205
Mercantile Bank Corp.
13,072
751
Metrocity Bankshares, Inc.
20,313
729
NBT Bancorp, Inc.
96,582
4,768
Nicolet Bankshares, Inc.
5,093
842
Northeast Community Bancorp, Inc.
23,938
664
Northrim BanCorp, Inc.
30,827
855
OFG Bancorp
56,701
2,782
PCB Bancorp
29,821
846
Preferred Bank
16,375
1,740
Provident Financial Services, Inc.
56,462
1,335
QCR Holdings, Inc.
15,300
1,489
S&T Bancorp, Inc.
15,039
738
Shore Bancshares, Inc.
41,878
961
Sierra Bancorp
52,912
2,157
SmartFinancial, Inc.
18,379
862
Southern Missouri Bancorp, Inc.
10,898
831
Southside Bancshares, Inc.
19,175
675
Stock Yards Bancorp, Inc.
9,070
694
Texas Capital Bancshares, Inc.
25,649
2,649
TriCo Bancshares
57,890
3,117
Trustmark Corp.
29,617
1,363
UMB Financial Corp.
28,926
4,129
United Community Banks, Inc.
59,003
2,070
Unity Bancorp, Inc.
13,305
781
Univest Financial Corp.
31,208
1,365
Westamerica BanCorp
30,459
1,787
WSFS Financial Corp.
10,357
795
 
120,454
Biotechnology – 4.7%
4D Molecular Therapeutics, Inc.* †
158,931
2,114
Abeona Therapeutics, Inc.* †
115,525
714
Allogene Therapeutics, Inc.*
631,204
1,313
Assembly Biosciences, Inc.* †
20,728
570
C4 Therapeutics, Inc.*
307,074
1,434
Century Therapeutics, Inc.* †
549,930
1,347
Cullinan Therapeutics, Inc.*
41,929
764
Emergent BioSolutions, Inc.*
146,094
1,224
EQUITY FUNDS 140 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Biotechnology – 4.7%continued
Entrada Therapeutics, Inc.*
45,727
$337
Iovance Biotherapeutics, Inc.* †
429,763
1,788
Lexeo Therapeutics, Inc.*
261,109
1,216
Lyell Immunopharma, Inc.*
28,350
398
MiMedx Group, Inc.*
245,789
946
Myriad Genetics, Inc.*
114,420
653
Nurix Therapeutics, Inc.*
11,395
276
PDL BioPharma, Inc.(1) * †
1,029,654
319
Protara Therapeutics, Inc.*
117,674
450
Prothena Corp. PLC*
60,985
597
PTC Therapeutics, Inc.*
7,935
647
Puma Biotechnology, Inc.*
267,945
2,173
Relay Therapeutics, Inc.*
396,435
7,417
Sarepta Therapeutics, Inc.*
69,917
1,256
Tectonic Therapeutic, Inc.* †
28,408
977
Vanda Pharmaceuticals, Inc.*
108,332
663
Veracyte, Inc.*
13,472
791
Vir Biotechnology, Inc.*
115,610
1,178
Xencor, Inc.*
45,021
725
 
32,287
Broadline Retail – 0.3%
Kohl's Corp.
122,257
2,166
Building Products – 0.7%
Hayward Holdings, Inc.*
38,405
665
Insteel Industries, Inc.
2,635
79
UFP Industries, Inc.
41,492
3,765
 
4,509
Capital Markets – 0.3%
Hercules Capital, Inc.
62,437
985
Victory Capital Holdings, Inc., Class A
9,555
803
Virtus Investment Partners, Inc.
3,059
439
 
2,227
Chemicals – 1.2%
Alto Ingredients, Inc.*
128,761
734
Avient Corp.
31,580
1,167
Ecovyst, Inc.*
15,855
197
H.B. Fuller Co.
18,595
1,084
Innospec, Inc.
23,995
1,953
Intrepid Potash, Inc.*
18,634
611
Koppers Holdings, Inc.
20,118
903
LSB Industries, Inc.*
40,330
436
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Chemicals – 1.2%continued
Mativ Holdings, Inc.
50,971
$386
Stepan Co.
9,956
555
 
8,026
Commercial Services & Supplies – 1.9%
CoreCivic, Inc.*
25,577
777
Deluxe Corp.
34,435
822
Ennis, Inc.
37,292
792
GEO Group (The), Inc.*
87,802
2,595
Healthcare Services Group, Inc.*
10,005
246
HNI Corp.
2,876
116
Interface, Inc.
27,719
993
Pitney Bowes, Inc.
43,018
754
UniFirst Corp.
21,848
5,778
 
12,873
Communications Equipment – 0.9%
Ceragon Networks Ltd.*
236,671
613
Clearfield, Inc.*
17,543
698
Digi International, Inc.*
62,663
4,696
Gilat Satellite Networks Ltd.* †
36,800
490
 
6,497
Construction & Engineering – 0.4%
Arcosa, Inc.
5,583
811
Bowman Consulting Group Ltd.*
17,533
512
Concrete Pumping Holdings, Inc.*
97,951
1,180
Granite Construction, Inc.
2,841
449
 
2,952
Consumer Finance – 2.5%
Atlanticus Holdings Corp.*
11,136
1,139
Bread Financial Holdings, Inc.
11,671
1,265
EZCORP, Inc., Class A*
22,115
764
Happen, Inc.*
135,880
2,818
Jefferson Capital, Inc.
61,896
1,205
LendingTree, Inc.*
14,756
653
Nelnet, Inc., Class A
35,869
4,782
NerdWallet, Inc., Class A*
57,819
535
PROG Holdings, Inc.
20,552
958
Regional Management Corp.
18,030
743
World Acceptance Corp.*
9,775
2,188
 
17,050
Consumer Staples Distribution & Retail – 0.9%
Andersons (The), Inc.
95,239
6,514
NORTHERN FUNDS QUARTERLY REPORT 141 EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Containers & Packaging – 0.4%
Myers Industries, Inc.
48,929
$1,727
Silgan Holdings, Inc.
15,884
737
 
2,464
Distributors – 0.1%
Gold.com, Inc.
16,766
698
Diversified Consumer Services – 0.3%
ADT, Inc.
95,068
618
Graham Holdings Co., Class B
553
631
Perdoceo Education Corp.
8,901
285
Strategic Education, Inc.
6,359
487
 
2,021
Diversified Real Estate Investment Trusts – 0.9%
AH Realty Trust, Inc.
75,583
535
Broadstone Net Lease, Inc.
89,889
1,858
Essential Properties Realty Trust, Inc.
127,794
3,815
 
6,208
Diversified Telecommunication Services – 0.7%
ATN International, Inc.
21,962
582
IDT Corp., Class B
4,775
278
Uniti Group, Inc.*
328,210
3,764
 
4,624
Electric Utilities – 1.5%
Hawaiian Electric Industries, Inc.*
212,702
2,878
Otter Tail Corp.
31,940
2,874
Portland General Electric Co.
82,841
4,293
 
10,045
Electrical Equipment – 1.8%
EnerSys
29,700
6,945
Shoals Technologies Group, Inc.,
Class A*
253,327
2,508
Sunrun, Inc.*
202,946
2,715
 
12,168
Electronic Equipment, Instruments & Components – 2.7%
Benchmark Electronics, Inc.
4,834
477
Crane NXT Co.
15,578
797
ePlus, Inc.
7,976
664
Insight Enterprises, Inc.*
18,462
2,249
IPG Photonics Corp.*
5,746
674
Itron, Inc.*
11,013
953
Kimball Electronics, Inc.*
19,616
502
PC Connection, Inc.
72,221
5,271
ScanSource, Inc.*
3,409
178
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Electronic Equipment, Instruments & Components – 2.7%continued
Vishay Intertechnology, Inc.
63,463
$3,413
Vishay Precision Group, Inc.*
20,642
3,094
 
18,272
Energy Equipment & Services – 1.9%
Borr Drilling Ltd.* †
153,731
635
Expro Group Holdings N.V.*
180,169
2,661
Helix Energy Solutions Group, Inc.*
69,369
606
Innovex International, Inc.*
32,631
809
Nabors Industries Ltd.*
10,456
879
Noble Corp. PLC
52,528
1,959
Oceaneering International, Inc.*
33,820
1,370
Valaris Ltd.*
59,859
4,346
 
13,265
Entertainment – 0.5%
Marcus (The) Corp.
38,624
906
Reservoir Media, Inc.*
62,248
616
Sphere Entertainment Co.*
12,616
2,183
 
3,705
Financial Services – 2.6%
Enact Holdings, Inc.
5,816
266
Essent Group Ltd.
50,667
3,257
Euronet Worldwide, Inc.*
16,077
1,177
HA Sustainable Infrastructure Capital,
Inc.
72,403
2,827
Merchants Bancorp
34,539
1,727
Pagseguro Digital Ltd., Class A
245,507
2,222
PennyMac Financial Services, Inc.
6,674
581
Radian Group, Inc.
154,522
5,821
 
17,878
Food Products – 0.9%
Cal-Maine Foods, Inc.
31,995
2,577
Freshpet, Inc.* †
25,150
1,487
Mission Produce, Inc.*
9,608
113
Seneca Foods Corp., Class A*
5,886
1,024
Village Farms International, Inc.* †
375,264
751
 
5,952
Gas Utilities – 2.5%
New Jersey Resources Corp.
68,780
3,854
Northwest Natural Holding Co.
32,280
1,584
ONE Gas, Inc.
45,370
3,497
EQUITY FUNDS 142 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Gas Utilities – 2.5%continued
Southwest Gas Holdings, Inc.
47,113
$4,178
Spire, Inc.
52,975
4,137
 
17,250
Ground Transportation – 0.8%
ArcBest Corp.
40,550
5,821
Health Care Equipment & Supplies – 1.4%
Artivion, Inc.*
31,012
697
Avanos Medical, Inc.*
12,973
323
CONMED Corp.
14,544
476
Embecta Corp.
7,802
25
ICU Medical, Inc.*
11,838
1,735
Inmode Ltd.*
11,465
168
Inspire Medical Systems, Inc.*
18,456
823
Integer Holdings Corp.*
5,765
539
Integra LifeSciences Holdings Corp.*
36,485
655
LivaNova PLC*
13,956
1,147
Neogen Corp.*
145,568
1,309
Omnicell, Inc.*
12,978
539
Tactile Systems Technology, Inc.*
20,216
602
Varex Imaging Corp.*
48,977
511
 
9,549
Health Care Providers & Services – 1.6%
Acadia Healthcare Co., Inc.*
25,097
741
AdaptHealth Corp.*
135,045
1,407
Addus HomeCare Corp.*
2,169
218
Astrana Health, Inc.*
22,230
1,032
Aveanna Healthcare Holdings, Inc.*
71,134
610
Community Health Systems, Inc.*
186,842
624
LifeStance Health Group, Inc.*
74,199
795
National HealthCare Corp.
5,606
1,185
NeoGenomics, Inc.*
108,194
1,578
Select Medical Holdings Corp.
106,494
1,758
Strata Critical Medical, Inc.* †
107,997
569
Surgery Partners, Inc.* †
32,524
546
 
11,063
Health Care Real Estate Investment Trusts – 2.0%
CareTrust REIT, Inc.
92,130
3,718
Diversified Healthcare Trust
363,379
3,380
LTC Properties, Inc.
42,085
1,618
National Health Investors, Inc.
26,634
2,031
Sabra Health Care REIT, Inc.
115,755
2,258
Sila Realty Trust, Inc.
23,323
708
 
13,713
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Health Care Technology – 0.4%
GoodRx Holdings, Inc., Class A* †
422,888
$1,218
HealthStream, Inc.
4,102
112
Phreesia, Inc.*
71,842
739
Waystar Holding Corp.*
45,098
926
 
2,995
Hotel & Resort Real Estate Investment Trusts – 1.1%
DiamondRock Hospitality Co.
239,110
2,912
RLJ Lodging Trust
87,371
1,035
Sunstone Hotel Investors, Inc.
260,061
2,978
Xenia Hotels & Resorts, Inc.
43,659
889
 
7,814
Hotels, Restaurants & Leisure – 1.3%
BJ's Restaurants, Inc.*
16,778
1,019
Bloomin' Brands, Inc.
281,920
2,577
Global Business Travel Group I*
108,150
1,015
Life Time Group Holdings, Inc.*
82,838
3,383
Pursuit Attractions and Hospitality, Inc.*
15,917
891
 
8,885
Household Durables – 3.5%
Ethan Allen Interiors, Inc.
80,538
1,799
Green Brick Partners, Inc.*
18,222
1,459
Hovnanian Enterprises, Inc., Class A*
8,145
1,160
KB Home
87,666
5,487
La-Z-Boy, Inc.
5,798
233
Leggett & Platt, Inc.
55,122
645
M/I Homes, Inc.*
23,906
3,844
Meritage Homes Corp.
35,731
2,996
Taylor Morrison Home Corp.*
90,884
6,520
 
24,143
Industrial Real Estate Investment Trusts – 1.0%
LXP Industrial Trust
24,570
1,324
One Liberty Properties, Inc.
67,059
1,637
Terreno Realty Corp.
59,748
3,870
 
6,831
Insurance – 2.8%
Abacus Global Management, Inc.
74,328
796
CNO Financial Group, Inc.
167,578
8,543
F&G Annuities & Life, Inc.
31,166
829
HCI Group, Inc.
3,928
688
Heritage Insurance Holdings, Inc.*
33,486
873
Hippo Holdings, Inc.*
19,912
563
Mercury General Corp.
9,504
1,013
NORTHERN FUNDS QUARTERLY REPORT 143 EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Insurance – 2.8%continued
Selective Insurance Group, Inc.
27,804
$2,697
SiriusPoint Ltd.*
27,098
650
Skyward Specialty Insurance Group,
Inc.*
13,688
799
Slide Insurance Holdings, Inc.*
37,713
731
Stewart Information Services Corp.
17,217
1,137
 
19,319
Interactive Media & Services – 0.9%
Angi, Inc.*
142,099
846
Cars.com, Inc.*
101,055
1,106
Taboola.com Ltd.* †
152,058
760
TripAdvisor, Inc.*
41,268
566
Yelp, Inc.*
27,752
680
Ziff Davis, Inc.*
30,663
1,606
ZoomInfo Technologies, Inc.*
103,496
303
 
5,867
IT Services – 0.5%
DXC Technology Co.*
37,642
333
EPAM Systems, Inc.*
13,749
1,091
Everforth, Inc.*
22,387
400
Grid Dynamics Holdings, Inc.*
223,571
1,270
Hackett Group (The), Inc.
3,744
40
 
3,134
Leisure Products – 0.5%
Callaway Golf Co.*
129,989
2,442
JAKKS Pacific, Inc.
24,487
570
Smith & Wesson Brands, Inc.
40,465
609
 
3,621
Life Sciences Tools & Services – 0.4%
AbCellera Biologics, Inc.* †
123,712
971
CryoPort, Inc.*
58,986
926
Fortrea Holdings, Inc.*
63,631
1,107
Omniab, Inc.(1) *
6,939
Omniab, Inc. (NASDAQ Exchange)(1) *
6,939
 
3,004
Machinery – 2.4%
3D Systems Corp.* †
600,574
1,814
Astec Industries, Inc.
13,764
842
Enpro, Inc.
4,720
1,779
Greenbrier (The) Cos., Inc.
11,105
544
Helios Technologies, Inc.
18,876
1,685
Hillman Solutions Corp.*
82,861
699
JBT Marel Corp.
14,385
2,086
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Machinery – 2.4%continued
Kennametal, Inc.
26,377
$925
Miller Industries, Inc.
1,554
79
Proto Labs, Inc.*
14,072
1,147
Terex Corp.
46,811
3,389
Trinity Industries, Inc.
21,144
731
Worthington Enterprises, Inc.
10,003
538
 
16,258
Marine Transportation – 1.0%
Matson, Inc.
31,341
6,025
Safe Bulkers, Inc.
72,275
456
Star Bulk Carriers Corp.
6,684
167
 
6,648
Media – 1.0%
AMC Global Media, Inc.*
63,379
633
DoubleVerify Holdings, Inc.*
167,120
1,812
Magnite, Inc.*
125,471
2,381
Nexxen International Ltd.*
113,773
1,027
Stagwell, Inc.*
111,064
825
 
6,678
Metals & Mining – 1.8%
Commercial Metals Co.
122,036
7,658
McEwen, Inc.* †
63,407
1,150
Nexa Resources S.A.*
66,861
818
SSR Mining, Inc.*
38,082
1,077
Warrior Met Coal, Inc.
12,674
1,029
Worthington Steel, Inc.
22,286
748
 
12,480
Mortgage Real Estate Investment Trusts – 1.5%
Adamas Trust, Inc.
70,127
658
Dynex Capital, Inc.
231,736
3,038
Ellington Financial, Inc.
91,634
1,247
Invesco Mortgage Capital, Inc.
307,163
2,427
Orchid Island Capital, Inc.
399,298
2,783
 
10,153
Multi-Utilities – 0.9%
Northwestern Energy Group, Inc.
60,363
4,323
Unitil Corp.
39,312
2,072
 
6,395
Office Real Estate Investment Trusts – 0.4%
COPT Defense Properties
22,077
804
EQUITY FUNDS 144 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Office Real Estate Investment Trusts – 0.4%continued
Highwoods Properties, Inc.
14,324
$432
Postal Realty Trust, Inc., Class A
67,704
1,668
 
2,904
Oil, Gas & Consumable Fuels – 4.3%
BKV Corp.*
21,763
595
CNX Resources Corp.*
140,068
4,752
DHT Holdings, Inc.
321,421
5,313
Dorian LPG Ltd.
18,867
656
International Seaways, Inc.
30,952
2,371
Murphy Oil Corp.
34,721
1,131
Par Pacific Holdings, Inc.*
17,822
999
PBF Energy, Inc., Class A
48,979
2,230
REX American Resources Corp.*
37,333
1,686
Riley Exploration Permian, Inc.
35,329
1,164
SandRidge Energy, Inc.
49,485
678
Scorpio Tankers, Inc.
39,303
2,722
SM Energy Co.
102,397
2,673
Teekay Tankers Ltd., Class A
43,481
2,821
 
29,791
Passenger Airlines – 0.5%
Allegiant Travel Co.*
19,763
2,324
SkyWest, Inc.*
14,645
1,455
 
3,779
Pharmaceuticals – 1.9%
Amneal Pharmaceuticals, Inc.*
100,542
1,740
Amphastar Pharmaceuticals, Inc.*
3,829
77
Arvinas, Inc.*
55,421
461
Atea Pharmaceuticals, Inc.*
104,395
486
BioAge Labs, Inc.*
60,676
1,487
Contineum Therapeutics, Inc., Class A*
44,741
733
CorMedix, Inc.* †
71,301
560
Indivior Pharmaceuticals, Inc.*
16,803
689
Omeros Corp.* †
62,756
597
Pacira BioSciences, Inc.*
42,768
1,085
Prestige Consumer Healthcare, Inc.*
48,247
2,281
Supernus Pharmaceuticals, Inc.*
45,025
2,094
Theravance Biopharma, Inc.*
9,060
154
Trulieve Cannabis Corp.*
55,312
544
 
12,988
Professional Services – 0.7%
Korn Ferry
41,794
2,782
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Professional Services – 0.7%continued
Mistras Group, Inc.*
52,305
$914
Willdan Group, Inc.*
12,954
1,025
 
4,721
Real Estate Management & Development – 0.8%
Cushman & Wakefield Ltd.*
231,401
3,098
Howard Hughes Holdings, Inc.* †
7,411
530
Newmark Group, Inc., Class A
132,930
2,009
 
5,637
Residential Real Estate Investment Trusts – 0.1%
Independence Realty Trust, Inc.
39,822
665
Retail Real Estate Investment Trusts – 1.7%
Acadia Realty Trust
28,141
589
Getty Realty Corp.
44,992
1,501
InvenTrust Properties Corp.
19,220
680
Kite Realty Group Trust
80,824
2,294
Phillips Edison & Co., Inc.
55,725
2,319
Tanger, Inc.
36,595
1,444
Urban Edge Properties
91,078
2,084
Whitestone REIT
46,718
886
 
11,797
Semiconductors & Semiconductor Equipment – 1.3%
Diodes, Inc.*
33,638
3,681
Photronics, Inc.*
154,769
5,035
 
8,716
Software – 2.0%
Adeia, Inc.
23,985
790
Alarm.com Holdings, Inc.*
13,765
643
Box, Inc., Class A*
15,601
414
Daily Journal Corp.*
1,375
826
Five9, Inc.*
98,960
2,110
I3 Verticals, Inc., Class A*
37,499
801
LiveRamp Holdings, Inc.*
21,040
792
Mitek Systems, Inc.*
66,800
1,345
NCR Voyix Corp.*
318,320
2,601
OneSpan, Inc.
39,514
567
Pagaya Technologies Ltd., Class A* †
51,089
932
SPS Commerce, Inc.*
38,026
2,174
 
13,995
Specialized Real Estate Investment Trusts – 0.3%
EPR Properties
10,712
621
NORTHERN FUNDS QUARTERLY REPORT 145 EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.5%continued
Specialized Real Estate Investment Trusts – 0.3%continued
Farmland Partners, Inc.
26,195
$254
Four Corners Property Trust, Inc.
35,500
871
 
1,746
Specialty Retail – 2.2%
Academy Sports & Outdoors, Inc.
13,343
629
Advance Auto Parts, Inc.
35,935
2,236
American Eagle Outfitters, Inc.
113,634
1,954
Arko Corp.
73,942
594
Asbury Automotive Group, Inc.*
2,790
561
Designer Brands, Inc., Class A
97,387
568
Group 1 Automotive, Inc.
1,405
409
National Vision Holdings, Inc.*
23,397
445
Sally Beauty Holdings, Inc.*
14,212
201
Signet Jewelers Ltd.
19,201
1,655
Sonic Automotive, Inc., Class A
51,174
4,339
Urban Outfitters, Inc.*
12,573
891
Zumiez, Inc.*
23,116
411
 
14,893
Technology Hardware, Storage & Peripherals – 0.3%
Corsair Gaming, Inc.*
158,498
1,533
Turtle Beach Corp.* †
40,003
498
 
2,031
Textiles, Apparel & Luxury Goods – 0.6%
Carter's, Inc.
34,231
1,409
PVH Corp.
19,075
1,416
Rocky Brands, Inc.
36,192
1,493
 
4,318
Trading Companies & Distributors – 1.6%
Boise Cascade Co.
11,989
931
GATX Corp.
32,184
5,703
Rush Enterprises, Inc., Class A
49,747
3,631
Willis Lease Finance Corp.
3,451
789
 
11,054
Wireless Telecommunication Services – 0.2%
Kyivstar Group Ltd.*
59,068
955
Telephone and Data Systems, Inc.
18,350
679
 
1,634
Total Common Stocks
(Cost $436,749)
656,965
 
 
NUMBER
OF SHARES
VALUE
(000S)
RIGHTS – 0.0%
Biotechnology – 0.0%
Chinook Therapeutics, Inc. (Contingent
Value Rights)(1) *
89,437
$
Pharmaceuticals – 0.0%
AstraZeneca PLC (Contingent Value
Rights)(1) *
28,202
Total Rights
(Cost $—)
 
INVESTMENT COMPANIES – 7.9%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(2) (3) (4)
23,004,534
23,005
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(2) (3)
31,766,209
31,766
Total Investment Companies
(Cost $54,771)
54,771
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.4%
U.S. Treasury Bill,
3.62%, 10/15/26(5) (6)
$2,389
$2,363
Total Short-Term Investments
(Cost $2,364)
2,363
 
Total Investments – 103.8%
(Cost $493,884)
714,099
Liabilities less Other Assets – (3.8%)
(25,882
)
NET ASSETS – 100.0%
$688,217
(1)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(2)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(3)
7-day current yield as of June 30, 2026 is disclosed.
(4)
Investment of cash collateral received from securities lending activities.
(5)
Discount rate at the time of purchase.
(6)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EQUITY FUNDS 146 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini Russell
2000 Index
163
$24,822
Long
9/26
$651
E-Mini S&P
500
16
6,039
Long
9/26
30
Total
$681
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Biotechnology
$31,968
$
$319
$32,287
All Other Industries(1)
624,678
624,678
Total Common Stocks
656,646
319
656,965
Investment Companies
54,771
54,771
Short-Term Investments
2,363
2,363
Total Investments
$711,417
$2,363
$319
$714,099
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$681
$
$
$681
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$12,621
$65,140
$54,756
$23,005
23,004,534
$61
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
19,151
31,669
19,054
31,766
31,766,209
182
Total
$31,772
$96,809
$73,810
$54,771
54,770,743
$243
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
NORTHERN FUNDS QUARTERLY REPORT 147 EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.9%
Aerospace & Defense – 2.2%
Axon Enterprise, Inc.*
24,750
$13,875
Boeing (The) Co.*
234,368
50,734
General Dynamics Corp.
75,382
26,703
General Electric Co.
310,377
115,997
Honeywell Aerospace, Inc.*
94,174
20,820
Howmet Aerospace, Inc.
118,880
31,962
Huntington Ingalls Industries, Inc.
11,526
3,226
L3Harris Technologies, Inc.
55,696
16,185
Lockheed Martin Corp.
60,274
30,707
Northrop Grumman Corp.
39,683
20,211
RTX Corp.
400,512
75,989
Textron, Inc.
51,102
4,688
TransDigm Group, Inc.
16,605
22,118
 
433,215
Air Freight & Logistics – 0.3%
C.H. Robinson Worldwide, Inc.
34,764
6,547
Expeditors International of Washington,
Inc.
41,582
6,777
FedEx Corp.
65,158
20,403
United Parcel Service, Inc., Class B
222,843
23,956
 
57,683
Automobile Components – 0.0%
Aptiv PLC*
62,051
3,809
Automobiles – 2.0%
Ford Motor Co.
1,107,891
15,400
General Motors Co.
270,054
20,816
Tesla, Inc.*
837,776
352,368
 
388,584
Banks – 3.4%
Bank of America Corp.
1,942,225
110,668
Citigroup, Inc.
507,242
70,993
Citizens Financial Group, Inc.
127,445
8,930
Fifth Third Bancorp
268,721
15,148
Huntington Bancshares, Inc.
600,128
10,640
JPMorgan Chase & Co.
797,341
260,994
KeyCorp
292,489
6,742
M&T Bank Corp.
45,177
10,752
PNC Financial Services Group (The),
Inc.
119,283
29,370
Regions Financial Corp.
265,651
8,023
Truist Financial Corp.
374,803
18,673
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 3.4%continued
U.S. Bancorp
462,249
$27,920
Wells Fargo & Co.
910,142
75,214
 
654,067
Beverages – 1.0%
Brown-Forman Corp., Class B
55,354
1,475
Coca-Cola (The) Co.
1,151,803
93,607
Constellation Brands, Inc., Class A
44,586
6,202
Keurig Dr. Pepper, Inc.
403,148
13,195
Molson Coors Beverage Co., Class B
46,356
1,806
Monster Beverage Corp.*
211,897
20,368
PepsiCo, Inc.
406,398
55,026
 
191,679
Biotechnology – 1.6%
AbbVie, Inc.
525,615
132,266
Amgen, Inc.
160,474
58,111
Biogen, Inc.*
45,274
9,782
Gilead Sciences, Inc.
366,040
46,245
Incyte Corp.*
51,522
5,841
Moderna, Inc.*
107,312
7,515
Regeneron Pharmaceuticals, Inc.
29,649
18,487
Vertex Pharmaceuticals, Inc.*
75,422
37,464
 
315,711
Broadline Retail – 3.7%
Amazon.com, Inc.*
2,913,276
694,350
eBay, Inc.
134,639
15,046
 
709,396
Building Products – 0.5%
A.O. Smith Corp.
32,386
2,031
Allegion PLC
25,913
3,641
Builders FirstSource, Inc.*
31,352
2,805
Carrier Global Corp.
231,613
16,989
Johnson Controls International PLC
181,967
26,587
Lennox International, Inc.
9,323
5,342
Masco Corp.
59,319
4,827
Trane Technologies PLC
65,676
32,257
 
94,479
Capital Markets – 2.9%
Ameriprise Financial, Inc.
27,445
12,591
Ares Management Corp., Class A
62,283
6,933
Bank of New York Mellon (The) Corp.
204,064
29,510
Blackrock, Inc.
42,911
41,262
Blackstone, Inc.
221,047
26,011
EQUITY FUNDS 148 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Capital Markets – 2.9%continued
Cboe Global Markets, Inc.
31,046
$7,534
Charles Schwab (The) Corp.
485,948
44,838
CME Group, Inc.
107,605
23,762
Coinbase Global, Inc., Class A*
65,825
9,623
FactSet Research Systems, Inc.
10,582
2,435
Franklin Resources, Inc.
104,845
3,488
Goldman Sachs Group (The), Inc.
86,545
87,529
Interactive Brokers Group, Inc., Class A
131,982
11,488
Intercontinental Exchange, Inc.
167,880
20,668
Invesco Ltd.
129,765
3,424
KKR & Co., Inc.
205,155
18,829
Moody's Corp.
45,017
20,389
Morgan Stanley
356,526
74,528
MSCI, Inc.
22,158
12,409
Nasdaq, Inc.(1)
132,284
10,427
Northern Trust Corp.(1)
57,170
9,938
Raymond James Financial, Inc.
54,113
8,227
Robinhood Markets, Inc., Class A*
234,901
23,556
S&P Global, Inc.
90,102
36,695
State Street Corp.
84,004
14,247
T. Rowe Price Group, Inc.
63,236
7,189
 
567,530
Chemicals – 1.0%
Air Products and Chemicals, Inc.
66,075
19,372
Albemarle Corp.
36,734
4,960
CF Industries Holdings, Inc.
45,177
4,891
Corteva, Inc.
202,115
17,117
Dow, Inc.
213,509
5,842
DuPont de Nemours, Inc.
40,260
5,461
Ecolab, Inc.
75,184
20,947
International Flavors & Fragrances,
Inc.
78,376
6,209
Linde PLC
137,500
71,354
LyondellBasell Industries N.V., Class A
76,057
4,004
Mosaic (The) Co.
91,894
1,947
PPG Industries, Inc.
60,321
7,316
Sherwin-Williams (The) Co.
68,099
23,448
 
192,868
Commercial Services & Supplies – 0.4%
Cintas Corp.
100,887
17,159
Copart, Inc.*
261,917
7,383
Republic Services, Inc.
59,257
12,626
Rollins, Inc.
86,145
3,596
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Commercial Services & Supplies – 0.4%continued
Veralto Corp.
72,444
$6,424
Waste Management, Inc.
109,707
24,452
 
71,640
Communications Equipment – 1.3%
Arista Networks, Inc.*
306,970
52,148
Ciena Corp.*
41,963
20,585
Cisco Systems, Inc.
1,175,145
138,033
F5, Inc.*
17,133
7,127
Lumentum Holdings, Inc.*
23,089
19,812
Motorola Solutions, Inc.
49,265
20,459
 
258,164
Construction & Engineering – 0.3%
Comfort Systems U.S.A., Inc.
10,431
20,674
EMCOR Group, Inc.
13,160
10,921
Quanta Services, Inc.
44,582
32,101
 
63,696
Construction Materials – 0.2%
CRH PLC
189,851
20,314
Martin Marietta Materials, Inc.
18,354
10,585
Vulcan Materials Co.
39,715
11,716
 
42,615
Consumer Finance – 0.5%
American Express Co.
158,239
53,525
Capital One Financial Corp.
184,933
37,101
Synchrony Financial
105,588
8,030
 
98,656
Consumer Staples Distribution & Retail – 1.7%
Casey's General Stores, Inc.
10,930
8,687
Costco Wholesale Corp.
130,699
122,265
Dollar General Corp.
65,938
7,590
Dollar Tree, Inc.*
57,212
6,920
Kroger (The) Co.
174,216
9,674
Sysco Corp.
141,622
11,837
Target Corp.
134,778
17,603
Walmart, Inc.
1,304,360
147,732
 
332,308
Containers & Packaging – 0.2%
Amcor PLC
136,255
5,907
Avery Dennison Corp.
22,420
3,640
Ball Corp.
85,705
5,348
International Paper Co.
156,127
5,948
NORTHERN FUNDS QUARTERLY REPORT 149 EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Containers & Packaging – 0.2%continued
Packaging Corp. of America
26,116
$6,223
Smurfit Westrock PLC (New York
Exchange)
154,885
7,165
 
34,231
Distributors – 0.0%
Genuine Parts Co.
40,452
4,773
Diversified Telecommunication Services – 0.6%
AT&T, Inc.
2,065,528
42,756
Comcast Corp., Class A
1,060,873
26,045
Verizon Communications, Inc.
1,241,546
52,567
 
121,368
Electric Utilities – 1.4%
Alliant Energy Corp.
79,608
6,073
American Electric Power Co., Inc.
161,525
22,098
Constellation Energy Corp.
94,936
23,579
Duke Energy Corp.
231,587
29,314
Edison International
113,766
8,470
Entergy Corp.
135,790
15,597
Evergy, Inc.
68,390
5,911
Eversource Energy
117,758
8,511
Exelon Corp.
303,336
14,142
FirstEnergy Corp.
161,434
7,675
NextEra Energy, Inc.
604,220
53,033
NRG Energy, Inc.
62,399
9,114
PG&E Corp.
652,155
10,969
Pinnacle West Capital Corp.
35,533
3,802
PPL Corp.
234,912
8,539
Southern (The) Co.
334,932
32,056
Xcel Energy, Inc.
185,110
14,864
 
273,747
Electrical Equipment – 1.3%
AMETEK, Inc.
68,210
16,503
Eaton Corp. PLC
115,431
49,187
Emerson Electric Co.
166,621
23,852
GE Vernova, Inc.
79,926
93,902
Generac Holdings, Inc.*
17,323
5,072
Hubbell, Inc.
15,926
8,333
Rockwell Automation, Inc.
33,467
16,569
Vertiv Holdings Co., Class A
114,145
38,218
 
251,636
Electronic Equipment, Instruments & Components – 1.2%
Amphenol Corp., Class A
365,811
64,500
CDW Corp.
37,590
5,287
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Electronic Equipment, Instruments & Components – 1.2%continued
Coherent Corp.*
58,085
$22,913
Corning, Inc.
232,826
59,471
Flex Ltd.*
109,057
17,675
Jabil, Inc.
32,011
12,339
Keysight Technologies, Inc.*
51,416
17,999
TE Connectivity PLC
87,888
17,719
Teledyne Technologies, Inc.*
13,821
9,217
Zebra Technologies Corp., Class A*
13,949
3,672
 
230,792
Energy Equipment & Services – 0.2%
Baker Hughes Co.
294,270
16,332
Halliburton Co.
251,886
8,551
SLB Ltd.
443,766
20,631
 
45,514
Entertainment – 1.0%
Electronic Arts, Inc.
67,766
13,895
Live Nation Entertainment, Inc.* †
46,769
8,564
Netflix, Inc.*
1,252,485
89,427
Take-Two Interactive Software, Inc.*
53,214
13,302
TKO Group Holdings, Inc.
19,868
4,000
Walt Disney (The) Co.
511,960
49,276
Warner Bros. Discovery, Inc.*
735,576
19,611
 
198,075
Financial Services – 3.3%
Apollo Global Management, Inc.
136,812
16,186
Berkshire Hathaway, Inc., Class B*
545,544
272,985
Block, Inc.*
148,509
11,287
Corpay, Inc.*
20,356
6,784
Fidelity National Information Services,
Inc.
152,379
5,924
Fiserv, Inc.*
157,542
7,727
Global Payments, Inc.
68,361
4,960
Jack Henry & Associates, Inc.
20,706
2,852
Mastercard, Inc., Class A
240,038
123,284
PayPal Holdings, Inc.
270,165
11,666
Visa, Inc., Class A
493,814
169,423
 
633,078
Food Products – 0.4%
Archer-Daniels-Midland Co.
142,694
10,902
Bunge Global S.A.
39,904
4,259
General Mills, Inc.
157,218
5,471
Hershey (The) Co.
46,319
8,127
Hormel Foods Corp.
86,969
2,158
EQUITY FUNDS 150 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Food Products – 0.4%continued
J.M. Smucker (The) Co.
31,236
$3,514
Kraft Heinz (The) Co.
225,245
5,320
McCormick & Co., Inc. (Non Voting)
74,408
3,752
Mondelez International, Inc., Class A
381,965
22,093
Tyson Foods, Inc., Class A
72,406
4,145
 
69,741
Gas Utilities – 0.0%
Atmos Energy Corp.
49,354
8,502
Ground Transportation – 0.8%
CSX Corp.
553,390
26,303
Fedex Freight Holding Co., Inc.*
32,168
4,857
JB Hunt Transport Services, Inc.
21,963
6,357
Norfolk Southern Corp.
67,060
21,096
Old Dominion Freight Line, Inc.
55,900
12,108
Uber Technologies, Inc.*
605,096
43,664
Union Pacific Corp.
176,491
48,005
 
162,390
Health Care Equipment & Supplies – 1.4%
Abbott Laboratories
517,796
46,985
Align Technology, Inc.*
22,567
3,806
Baxter International, Inc.
151,034
3,220
Becton Dickinson & Co.
81,628
12,353
Boston Scientific Corp.*
441,118
18,827
Cooper (The) Cos., Inc.*
57,252
4,105
Dexcom, Inc.*
120,241
8,098
Edwards Lifesciences Corp.*
174,283
15,766
GE HealthCare Technologies, Inc.
134,520
8,611
IDEXX Laboratories, Inc.*
23,791
12,524
Insulet Corp.*
20,236
3,081
Intuitive Surgical, Inc.*
105,270
41,864
Medtronic PLC
381,421
29,839
ResMed, Inc.
42,886
8,358
Solventum Corp.*
50,299
3,881
STERIS PLC
28,918
6,089
Stryker Corp.
102,511
32,274
Zimmer Biomet Holdings, Inc.
56,955
4,903
 
264,584
Health Care Providers & Services – 1.7%
Cardinal Health, Inc.
70,890
16,841
Cencora, Inc.
57,709
16,330
Centene Corp.*
138,725
8,905
Cigna Group (The)
78,531
21,649
CVS Health Corp.
379,203
39,229
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Providers & Services – 1.7%continued
DaVita, Inc.*
11,259
$2,505
Elevance Health, Inc.
64,487
24,939
HCA Healthcare, Inc.
46,735
18,222
Henry Schein, Inc.*
35,292
2,948
Humana, Inc.
35,578
14,132
Labcorp Holdings, Inc.
24,744
6,928
McKesson Corp.
35,772
27,029
Quest Diagnostics, Inc.
32,953
6,984
UnitedHealth Group, Inc.
270,154
112,284
Universal Health Services, Inc., Class B
15,472
2,301
 
321,226
Health Care Real Estate Investment Trusts – 0.4%
Alexandria Real Estate Equities, Inc.
56,644
2,994
Healthpeak Properties, Inc.
202,481
4,333
Ventas, Inc.
144,048
12,791
Welltower, Inc.
209,848
47,629
 
67,747
Health Care Technology – 0.0%
Veeva Systems, Inc., Class A*
44,337
7,868
Hotel & Resort Real Estate Investment Trusts – 0.0%
Host Hotels & Resorts, Inc.
208,257
4,938
Hotels, Restaurants & Leisure – 1.6%
Airbnb, Inc., Class A*
123,999
17,744
Booking Holdings, Inc.
230,317
41,052
Carnival Corp. Ltd.
380,936
10,883
Chipotle Mexican Grill, Inc.* †
380,001
12,920
Darden Restaurants, Inc.
33,737
6,950
Domino's Pizza, Inc.
8,912
2,638
DoorDash, Inc., Class A*
112,316
20,726
Expedia Group, Inc.
35,731
9,143
Hilton Worldwide Holdings, Inc.
67,997
22,470
Las Vegas Sands Corp.
87,563
4,045
Marriott International, Inc., Class A
65,237
24,176
McDonald's Corp.
211,264
57,107
MGM Resorts International*
67,658
3,235
Norwegian Cruise Line Holdings Ltd.* †
133,958
2,828
Royal Caribbean Cruises Ltd.
74,060
23,516
Starbucks Corp.
338,666
34,608
Wynn Resorts Ltd.
28,884
2,804
Yum! Brands, Inc.
83,970
13,424
 
310,269
Household Durables – 0.2%
D.R. Horton, Inc.
78,155
12,730
NORTHERN FUNDS QUARTERLY REPORT 151 EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Household Durables – 0.2%continued
Garmin Ltd.
50,206
$11,926
Lennar Corp., Class A
63,456
5,742
NVR, Inc.*
795
5,417
PulteGroup, Inc.
56,279
7,722
 
43,537
Household Products – 0.7%
Church & Dwight Co., Inc.
69,950
6,777
Clorox (The) Co.
35,398
3,378
Colgate-Palmolive Co.
237,548
21,778
Kimberly-Clark Corp.
98,267
10,787
Procter & Gamble (The) Co.
675,342
99,032
 
141,752
Independent Power & Renewable Electricity Producers – 0.1%
AES (The) Corp.
239,104
3,506
Vistra Corp.
95,986
15,226
 
18,732
Industrial Conglomerates – 0.2%
3M Co.
155,587
25,191
Honeywell International, Inc.
94,174
21,086
 
46,277
Industrial Real Estate Investment Trusts – 0.2%
Prologis, Inc.
277,093
37,538
Insurance – 1.6%
Aflac, Inc.
138,391
16,226
Allstate (The) Corp.
77,253
18,382
American International Group, Inc.
162,120
12,083
Aon PLC, Class A
63,411
21,033
Arch Capital Group Ltd.*
107,572
10,441
Arthur J. Gallagher & Co.
76,206
17,495
Assurant, Inc.
15,319
4,114
Brown & Brown, Inc.
85,845
5,507
Chubb Ltd.
107,191
36,524
Cincinnati Financial Corp.
46,387
8,588
Erie Indemnity Co., Class A
7,315
1,754
Everest Group Ltd.
11,615
4,149
Globe Life, Inc.
25,074
4,480
Hartford Insurance Group (The), Inc.
84,334
11,176
Loews Corp.
52,536
5,948
Marsh & McLennan Cos., Inc.
143,058
23,843
MetLife, Inc.
164,071
13,882
Principal Financial Group, Inc.
57,924
6,243
Progressive (The) Corp.
173,661
37,936
Prudential Financial, Inc.
102,747
11,089
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Insurance – 1.6%continued
Travelers (The) Cos., Inc.
63,845
$21,076
W R Berkley Corp.
89,081
6,283
Willis Towers Watson PLC
29,028
7,587
 
305,839
Interactive Media & Services – 7.7%
Alphabet, Inc., Class A
1,745,057
623,631
Alphabet, Inc., Class C
1,406,569
496,983
Meta Platforms, Inc., Class A
653,514
368,118
 
1,488,732
IT Services – 0.7%
Accenture PLC, Class A
182,291
22,684
Akamai Technologies, Inc.*
46,425
5,488
Cognizant Technology Solutions Corp.,
Class A
149,244
5,780
Gartner, Inc.*
19,494
2,527
GoDaddy, Inc., Class A*
38,715
3,286
International Business Machines Corp.
279,526
78,606
VeriSign, Inc.
25,944
6,526
 
124,897
Leisure Products – 0.0%
Hasbro, Inc.
45,842
3,786
Life Sciences Tools & Services – 0.8%
Agilent Technologies, Inc.
83,683
11,116
Bio-Techne Corp.
45,641
3,225
Charles River Laboratories
International, Inc.*
14,057
3,188
Danaher Corp.
187,185
35,655
IQVIA Holdings, Inc.* †
49,445
9,554
Mettler-Toledo International, Inc.*
5,968
7,624
Revvity, Inc.
33,910
3,773
Thermo Fisher Scientific, Inc.
110,492
55,396
Waters Corp.*
29,070
10,902
West Pharmaceutical Services, Inc.
20,861
7,489
 
147,922
Machinery – 2.0%
Caterpillar, Inc.
137,030
145,923
Cummins, Inc.
40,989
29,234
Deere & Co.
74,671
47,366
Dover Corp.
39,828
8,933
Fortive Corp.
89,801
5,486
IDEX Corp.
23,945
5,434
Illinois Tool Works, Inc.
77,708
21,018
Ingersoll Rand, Inc.
105,271
8,631
EQUITY FUNDS 152 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Machinery – 2.0%continued
Nordson Corp.
17,029
$5,137
Otis Worldwide Corp.
119,576
8,562
PACCAR, Inc.
156,157
18,758
Parker-Hannifin Corp.
37,469
36,649
Pentair PLC
47,344
3,629
Snap-on, Inc.
15,274
6,146
Stanley Black & Decker, Inc.
50,661
4,768
Westinghouse Air Brake Technologies
Corp.
50,577
13,636
Xylem, Inc.
70,241
8,303
 
377,613
Media – 0.1%
Charter Communications, Inc., Class A*
24,461
3,479
EchoStar Corp., Class A* †
39,996
4,060
Fox Corp., Class A
58,805
3,067
Fox Corp., Class B
40,139
1,880
News Corp., Class A
106,366
2,641
News Corp., Class B
54,243
1,522
Omnicom Group, Inc.
84,060
6,122
Paramount Skydance Corp., Class B
88,089
868
Trade Desk (The), Inc., Class A*
154,294
2,790
 
26,429
Metals & Mining – 0.4%
Freeport-McMoRan, Inc.
426,952
26,851
Newmont Corp.
317,138
29,621
Nucor Corp.
64,995
14,477
Steel Dynamics, Inc.
41,589
9,543
 
80,492
Multi-Utilities – 0.6%
Ameren Corp.
81,872
9,255
CenterPoint Energy, Inc.
193,272
8,512
CMS Energy Corp.
91,206
6,977
Consolidated Edison, Inc.
109,177
12,078
Dominion Energy, Inc.
260,939
17,820
DTE Energy Co.
61,542
9,377
NiSource, Inc.
141,511
6,729
Public Service Enterprise Group, Inc.
147,931
12,006
Sempra
193,946
17,981
WEC Energy Group, Inc.
96,458
11,263
 
111,998
Office Real Estate Investment Trusts – 0.0%
BXP, Inc.
43,263
2,869
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Oil, Gas & Consumable Fuels – 2.7%
APA Corp.
105,305
$3,430
Chevron Corp.
556,869
92,307
ConocoPhillips
362,076
37,641
Devon Energy Corp.
341,835
14,125
Diamondback Energy, Inc.
57,464
10,101
EOG Resources, Inc.
158,108
20,511
EQT Corp.
193,386
10,282
Expand Energy Corp.
70,565
6,435
Exxon Mobil Corp.
1,233,259
168,611
Kinder Morgan, Inc.
580,986
18,574
Marathon Petroleum Corp.
87,386
22,342
Occidental Petroleum Corp.
215,001
10,443
ONEOK, Inc.
186,872
16,247
Phillips 66
118,996
20,116
Targa Resources Corp.
64,469
17,287
Texas Pacific Land Corp.
17,095
7,481
Valero Energy Corp.
88,901
23,153
Williams (The) Cos., Inc.
363,260
27,005
 
526,091
Passenger Airlines – 0.2%
Delta Air Lines, Inc.
195,384
18,300
Southwest Airlines Co.
153,904
7,914
United Airlines Holdings, Inc.*
96,170
13,078
 
39,292
Personal Care Products – 0.1%
Estee Lauder (The) Cos., Inc., Class A
78,558
6,202
Kenvue, Inc.
568,453
10,863
 
17,065
Pharmaceuticals – 3.4%
Bristol-Myers Squibb Co.
606,760
34,962
Eli Lilly & Co.
235,395
282,340
Johnson & Johnson
716,232
181,902
Merck & Co., Inc.
734,632
94,400
Pfizer, Inc.
1,693,992
40,791
Viatris, Inc.
343,064
5,448
Zoetis, Inc.
129,368
9,296
 
649,139
Professional Services – 0.3%
Automatic Data Processing, Inc.
118,717
26,587
Broadridge Financial Solutions, Inc.
34,021
4,659
Equifax, Inc.
35,081
5,568
Jacobs Solutions, Inc.
35,283
4,445
Leidos Holdings, Inc.
36,896
3,799
NORTHERN FUNDS QUARTERLY REPORT 153 EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Professional Services – 0.3%continued
Paychex, Inc.
99,288
$9,763
Verisk Analytics, Inc.
38,683
6,945
 
61,766
Real Estate Management & Development – 0.1%
CBRE Group, Inc., Class A*
88,078
11,863
CoStar Group, Inc.* †
101,422
2,872
 
14,735
Residential Real Estate Investment Trusts – 0.2%
AvalonBay Communities, Inc.
43,567
8,221
Camden Property Trust
29,410
3,367
Equity Residential
100,625
6,835
Essex Property Trust, Inc.
18,926
5,519
Invitation Homes, Inc.
139,903
4,226
Mid-America Apartment Communities,
Inc.
34,220
4,755
UDR, Inc.
100,844
4,026
 
36,949
Retail Real Estate Investment Trusts – 0.3%
Federal Realty Investment Trust
22,945
2,832
Kimco Realty Corp.
201,921
5,119
Realty Income Corp.
281,006
17,411
Regency Centers Corp.
53,902
4,298
Simon Property Group, Inc.
97,260
21,752
 
51,412
Semiconductors & Semiconductor Equipment – 18.9%
Advanced Micro Devices, Inc.*
485,211
281,864
Analog Devices, Inc.
145,169
57,657
Applied Materials, Inc.
236,108
170,706
Broadcom, Inc.
1,409,044
532,266
First Solar, Inc.*
31,754
7,493
Intel Corp.*
1,372,875
191,695
KLA Corp.
388,557
117,231
Lam Research Corp.
372,060
161,225
Marvell Technology, Inc.
260,389
77,567
Microchip Technology, Inc.
160,449
14,633
Micron Technology, Inc.
335,597
387,376
Monolithic Power Systems, Inc.
14,583
20,159
NVIDIA Corp.
7,208,536
1,442,356
NXP Semiconductors N.V.
74,952
21,064
ON Semiconductor Corp.*
116,155
10,981
Qnity Electronics, Inc.
61,950
10,117
QUALCOMM, Inc.
313,419
57,917
Skyworks Solutions, Inc.
43,975
2,981
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Semiconductors & Semiconductor Equipment – 18.9%continued
Teradyne, Inc.
46,460
$22,479
Texas Instruments, Inc.
270,687
80,684
 
3,668,451
Software – 7.4%
Adobe, Inc.*
120,592
24,724
AppLovin Corp., Class A*
79,955
41,195
Autodesk, Inc.*
62,550
12,161
Cadence Design Systems, Inc.*
81,940
30,754
Crowdstrike Holdings, Inc., Class A*
75,675
57,751
Datadog, Inc., Class A*
98,211
25,570
Fair Isaac Corp.*
7,239
8,649
Fortinet, Inc.*
183,520
28,192
Gen Digital, Inc.
183,700
4,572
Intuit, Inc.
82,095
21,427
Microsoft Corp.
2,210,790
824,669
Oracle Corp.
504,685
73,962
Palantir Technologies, Inc., Class A*
682,888
79,672
Palo Alto Networks, Inc.*
241,182
82,248
PTC, Inc.*
33,878
3,849
Roper Technologies, Inc.
31,102
10,525
Salesforce, Inc.
243,110
38,086
ServiceNow, Inc.*
306,349
30,414
Synopsys, Inc.*
56,893
25,378
Trimble, Inc.*
68,255
3,493
Tyler Technologies, Inc.*
12,353
3,613
Workday, Inc., Class A*
60,153
7,364
 
1,438,268
Specialized Real Estate Investment Trusts – 0.7%
American Tower Corp.
138,341
22,628
Crown Castle, Inc.
129,215
9,785
Digital Realty Trust, Inc.
99,291
17,831
Equinix, Inc.
29,302
30,544
Extra Space Storage, Inc.
65,462
9,512
Iron Mountain, Inc.
88,121
11,130
Public Storage
47,654
15,169
SBA Communications Corp.
31,263
5,517
VICI Properties, Inc.
323,152
8,580
Weyerhaeuser Co.
212,374
5,084
 
135,780
Specialty Retail – 1.5%
AutoZone, Inc.*
4,985
15,932
Best Buy Co., Inc.
59,312
4,501
Carvana Co.*
212,359
13,977
EQUITY FUNDS 154 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Specialty Retail – 1.5%continued
Home Depot (The), Inc.
296,286
$104,494
Lowe's Cos., Inc.
166,438
36,698
O'Reilly Automotive, Inc.*
247,888
22,828
Ross Stores, Inc.
96,470
20,534
TJX (The) Cos., Inc.
328,784
49,811
Tractor Supply Co.
171,623
5,425
Ulta Beauty, Inc.* †
13,548
6,110
Williams-Sonoma, Inc.
36,913
8,604
 
288,914
Technology Hardware, Storage & Peripherals – 8.1%
Apple, Inc.
4,371,244
1,264,863
Dell Technologies, Inc., Class C
85,969
37,092
Hewlett Packard Enterprise Co.
393,757
17,762
HP, Inc.
279,380
6,130
NetApp, Inc.
58,369
9,033
Sandisk Corp.*
44,047
100,151
Seagate Technology Holdings PLC
66,681
64,347
Super Micro Computer, Inc.* †
167,496
4,913
Western Digital Corp.
102,501
65,470
 
1,569,761
Textiles, Apparel & Luxury Goods – 0.2%
Deckers Outdoor Corp.*
41,715
4,142
Lululemon Athletica, Inc.*
30,668
3,502
NIKE, Inc., Class B
355,660
14,600
Ralph Lauren Corp.
11,904
4,778
Tapestry, Inc.
61,520
9,005
 
36,027
Tobacco – 0.6%
Altria Group, Inc.
496,231
35,704
Philip Morris International, Inc.
463,560
83,862
 
119,566
Trading Companies & Distributors – 0.3%
Fastenal Co.
340,472
16,353
United Rentals, Inc.
18,796
21,293
W.W. Grainger, Inc.
13,010
17,699
 
55,345
Water Utilities – 0.0%
American Water Works Co., Inc.
57,686
7,590
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Wireless Telecommunication Services – 0.1%
T-Mobile U.S., Inc.
138,763
$23,275
Total Common Stocks
(Cost $4,232,079)
19,184,418
 
INVESTMENT COMPANIES – 1.1%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(2) (3) (4)
26,327,879
26,328
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(2) (3)
181,914,628
181,915
Total Investment Companies
(Cost $208,243)
208,243
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
3.58%, 10/15/26(5) (6)
$14,306
$14,150
Total Short-Term Investments
(Cost $14,155)
14,150
 
Total Investments – 100.1%
(Cost $4,454,477)
19,406,811
Liabilities less Other Assets – (0.1%)
(16,558
)
NET ASSETS – 100.0%
$19,390,253
(1)
Investment in affiliate.
(2)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(3)
7-day current yield as of June 30, 2026 is disclosed.
(4)
Investment of cash collateral received from securities lending activities.
(5)
Discount rate at the time of purchase.
(6)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
NORTHERN FUNDS QUARTERLY REPORT 155 EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued
June 30, 2026 (UNAUDITED)
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P
500
533
$201,161
Long
9/26
$1,461
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1)
$19,184,418
$
$
$19,184,418
Investment Companies
208,243
208,243
Short-Term Investments
14,150
14,150
Total Investments
$19,392,661
$14,150
$
$19,406,811
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$1,461
$
$
$1,461
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
NET
REALIZED
GAINS
(LOSSES)
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Nasdaq, Inc.
$10,645
$731
$194
$(786
)
$31
$10,427
132,284
$39
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
20,864
165,939
160,475
26,328
26,327,879
22
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
252,358
107,796
178,239
181,915
181,914,628
2,221
Northern Trust Corp.
8,116
162
1,909
75
9,938
57,170
46
Total
$291,983
$274,466
$339,070
$1,123
$106
$228,608
208,431,961
$2,328
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
EQUITY FUNDS 156 NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
U.S. QUALITY ESG FUND
June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.3%
Aerospace & Defense – 0.5%
ATI, Inc.*
4,637
$914
Howmet Aerospace, Inc.
4,030
1,083
 
1,997
Air Freight & Logistics – 0.7%
C.H. Robinson Worldwide, Inc.
5,365
1,010
Expeditors International of Washington,
Inc.
9,386
1,530
 
2,540
Automobile Components – 0.1%
BorgWarner, Inc.
7,008
465
Automobiles – 1.1%
Tesla, Inc.*
9,401
3,954
Banks – 3.7%
Bank of America Corp.
17,205
980
Citigroup, Inc.
29,414
4,117
Commerce Bancshares, Inc.
11,272
651
First Hawaiian, Inc.
26,951
790
JPMorgan Chase & Co.
22,190
7,263
 
13,801
Biotechnology – 3.6%
AbbVie, Inc.
21,812
5,489
Amgen, Inc.
8,870
3,212
Gilead Sciences, Inc.
24,949
3,152
Halozyme Therapeutics, Inc.*
5,348
419
Incyte Corp.*
10,193
1,155
 
13,427
Broadline Retail – 3.5%
Amazon.com, Inc.*
43,085
10,269
eBay, Inc.
15,375
1,718
Etsy, Inc.*
12,608
950
 
12,937
Building Products – 0.8%
Masco Corp.
8,058
655
Trane Technologies PLC
4,774
2,345
 
3,000
Capital Markets – 3.9%
Affiliated Managers Group, Inc.
835
283
Bank of New York Mellon (The) Corp.
14,802
2,140
FactSet Research Systems, Inc.
3,347
770
Franklin Resources, Inc.
54,175
1,802
Goldman Sachs Group (The), Inc.
765
774
Invesco Ltd.
57,662
1,522
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.3%continued
Capital Markets – 3.9%continued
Janus Henderson Group PLC
24,279
$1,261
Morgan Stanley
19,235
4,021
State Street Corp.
11,057
1,875
 
14,448
Chemicals – 1.2%
DuPont de Nemours, Inc.
10,320
1,400
Ecolab, Inc.
5,726
1,595
Sherwin-Williams (The) Co.
4,232
1,457
 
4,452
Commercial Services & Supplies – 0.4%
Cintas Corp.
1,128
192
Veralto Corp.
12,675
1,124
 
1,316
Communications Equipment – 0.8%
Cisco Systems, Inc.
21,832
2,564
F5, Inc.*
845
352
 
2,916
Construction & Engineering – 0.4%
EMCOR Group, Inc.
1,905
1,581
Consumer Finance – 0.8%
Ally Financial, Inc.
10,931
502
SLM Corp.
39,264
1,019
Synchrony Financial
20,210
1,537
 
3,058
Consumer Staples Distribution & Retail – 0.9%
Costco Wholesale Corp.
2,214
2,071
Dollar Tree, Inc.*
1,914
231
Walmart, Inc.
8,376
949
 
3,251
Containers & Packaging – 0.5%
Avery Dennison Corp.
4,619
750
Crown Holdings, Inc.
8,968
1,003
 
1,753
Diversified Telecommunication Services – 0.1%
Comcast Corp., Class A
19,422
477
Electric Utilities – 0.7%
Duke Energy Corp.
5,696
721
Evergy, Inc.
13,873
1,199
Exelon Corp.
13,987
652
 
2,572
NORTHERN FUNDS QUARTERLY REPORT 157 EQUITY FUNDS

Schedule of Investments
U.S. QUALITY ESG FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.3%continued
Electrical Equipment – 1.7%
Acuity, Inc.
2,928
$1,103
GE Vernova, Inc.
4,012
4,713
Rockwell Automation, Inc.
569
282
 
6,098
Electronic Equipment, Instruments & Components – 0.5%
Avnet, Inc.
18,857
1,675
Energy Equipment & Services – 0.6%
SLB Ltd.
15,379
715
TechnipFMC PLC
20,196
1,339
 
2,054
Entertainment – 1.2%
Electronic Arts, Inc.
8,034
1,647
Netflix, Inc.*
26,413
1,886
Spotify Technology S.A.*
1,663
764
 
4,297
Financial Services – 2.8%
Berkshire Hathaway, Inc., Class B*
5,683
2,844
Equitable Holdings, Inc.
22,751
998
Fidelity National Information Services,
Inc.
19,295
750
Mastercard, Inc., Class A
2,475
1,271
MGIC Investment Corp.
50,424
1,422
PayPal Holdings, Inc.
26,111
1,128
Visa, Inc., Class A
5,765
1,978
 
10,391
Food Products – 0.4%
Hershey (The) Co.
7,384
1,296
Gas Utilities – 0.3%
UGI Corp.
37,177
1,284
Ground Transportation – 0.9%
Landstar System, Inc.
4,637
959
Union Pacific Corp.
8,457
2,300
 
3,259
Health Care Equipment & Supplies – 0.5%
IDEXX Laboratories, Inc.*
2,785
1,466
ResMed, Inc.
2,668
520
 
1,986
Health Care Providers & Services – 1.6%
Cardinal Health, Inc.
7,603
1,806
Cencora, Inc.
883
250
Cigna Group (The)
5,520
1,522
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.3%continued
Health Care Providers & Services – 1.6%continued
DaVita, Inc.*
1,487
$331
McKesson Corp.
2,657
2,007
 
5,916
Health Care Technology – 0.1%
Doximity, Inc., Class A*
18,297
379
Hotel & Resort Real Estate Investment Trusts – 0.2%
Host Hotels & Resorts, Inc.
32,261
765
Hotels, Restaurants & Leisure – 2.0%
Airbnb, Inc., Class A*
3,313
474
Booking Holdings, Inc.
14,560
2,595
Chipotle Mexican Grill, Inc.*
7,073
241
Domino's Pizza, Inc.
690
204
Hilton Worldwide Holdings, Inc.
5,363
1,772
Las Vegas Sands Corp.
19,060
880
Travel + Leisure Co.
17,870
1,366
 
7,532
Household Products – 2.0%
Church & Dwight Co., Inc.
15,535
1,505
Clorox (The) Co.
5,272
503
Colgate-Palmolive Co.
20,439
1,874
Kimberly-Clark Corp.
6,646
729
Procter & Gamble (The) Co.
19,094
2,800
 
7,411
Independent Power & Renewable Electricity Producers – 0.6%
Brookfield Renewable Corp.
24,736
918
Clearway Energy, Inc., Class C
34,392
1,176
 
2,094
Industrial Conglomerates – 0.4%
3M Co.
9,256
1,499
Insurance – 2.1%
Aflac, Inc.
11,899
1,395
American International Group, Inc.
3,860
288
Hartford Insurance Group (The), Inc.
10,088
1,337
MetLife, Inc.
17,850
1,510
Prudential Financial, Inc.
9,619
1,038
Unum Group
14,711
1,315
Willis Towers Watson PLC
3,860
1,009
 
7,892
Interactive Media & Services – 6.8%
Alphabet, Inc., Class A
56,532
20,203
Meta Platforms, Inc., Class A
8,533
4,806
 
25,009
EQUITY FUNDS 158 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.3%continued
IT Services – 1.2%
Accenture PLC, Class A
6,102
$759
Cognizant Technology Solutions Corp.,
Class A
6,867
266
International Business Machines Corp.
11,917
3,351
 
4,376
Leisure Products – 0.6%
Hasbro, Inc.
15,386
1,271
YETI Holdings, Inc.*
18,928
938
 
2,209
Life Sciences Tools & Services – 0.7%
Mettler-Toledo International, Inc.*
1,029
1,314
Waters Corp.*
3,623
1,359
 
2,673
Machinery – 1.9%
Caterpillar, Inc.
4,632
4,933
Illinois Tool Works, Inc.
6,258
1,693
Otis Worldwide Corp.
2,717
194
Parker-Hannifin Corp.
321
314
 
7,134
Media – 0.6%
Fox Corp., Class A
23,508
1,226
Versant Media Group, Inc.
26,422
952
 
2,178
Metals & Mining – 0.6%
Newmont Corp.
23,615
2,206
Multi-Utilities – 0.4%
Consolidated Edison, Inc.
14,036
1,553
Oil, Gas & Consumable Fuels – 1.2%
Cheniere Energy, Inc.
4,546
1,087
Devon Energy Corp.
31,894
1,318
Exxon Mobil Corp.
9,399
1,285
Valero Energy Corp.
3,426
892
 
4,582
Pharmaceuticals – 3.5%
Bristol-Myers Squibb Co.
33,289
1,918
Eli Lilly & Co.
2,686
3,222
Johnson & Johnson
9,006
2,287
Merck & Co., Inc.
13,489
1,733
Pfizer, Inc.
108,457
2,612
Zoetis, Inc.
13,642
980
 
12,752
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.3%continued
Professional Services – 0.9%
Automatic Data Processing, Inc.
9,095
$2,037
Broadridge Financial Solutions, Inc.
9,228
1,264
 
3,301
Real Estate Management & Development – 0.7%
CBRE Group, Inc., Class A*
9,159
1,234
Jones Lang LaSalle, Inc.*
4,424
1,371
 
2,605
Residential Real Estate Investment Trusts – 0.3%
AvalonBay Communities, Inc.
5,586
1,054
Retail Real Estate Investment Trusts – 0.4%
Brixmor Property Group, Inc.
6,570
207
Regency Centers Corp.
18,252
1,456
 
1,663
Semiconductors & Semiconductor Equipment – 18.2%
Advanced Micro Devices, Inc.*
2,964
1,722
Analog Devices, Inc.
9,878
3,923
Applied Materials, Inc.
10,678
7,720
Broadcom, Inc.
31,502
11,900
Intel Corp.*
2,902
405
KLA Corp.
7,220
2,178
Lam Research Corp.
16,242
7,038
Micron Technology, Inc.
2,967
3,425
NVIDIA Corp.
138,135
27,640
QUALCOMM, Inc.
6,324
1,169
 
67,120
Software – 7.6%
Adobe, Inc.*
5,324
1,091
AppLovin Corp., Class A*
2,655
1,368
Autodesk, Inc.*
7,104
1,381
Cadence Design Systems, Inc.*
3,687
1,384
Dropbox, Inc., Class A*
37,905
1,041
Fortinet, Inc.*
20,516
3,152
Intuit, Inc.
3,803
993
Microsoft Corp.
40,329
15,043
Palantir Technologies, Inc., Class A*
1,612
188
Pegasystems, Inc.
4,069
122
PTC, Inc.*
10,719
1,218
Salesforce, Inc.
4,704
737
Teradata Corp.*
8,218
285
 
28,003
Specialty Retail – 1.6%
Home Depot (The), Inc.
8,787
3,099
NORTHERN FUNDS QUARTERLY REPORT 159 EQUITY FUNDS

Schedule of Investments
U.S. QUALITY ESG FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.3%continued
Specialty Retail – 1.6%continued
Lowe's Cos., Inc.
3,205
$707
Ulta Beauty, Inc.*
901
406
Williams-Sonoma, Inc.
6,966
1,624
 
5,836
Technology Hardware, Storage & Peripherals – 8.1%
Apple, Inc.
87,209
25,235
HP, Inc.
9,822
215
NetApp, Inc.
9,627
1,490
Western Digital Corp.
4,390
2,804
 
29,744
Textiles, Apparel & Luxury Goods – 1.1%
Crocs, Inc.*
9,942
1,200
Deckers Outdoor Corp.*
13,297
1,320
Tapestry, Inc.
10,125
1,482
 
4,002
Trading Companies & Distributors – 0.9%
Fastenal Co.
32,210
1,547
W.W. Grainger, Inc.
1,399
1,903
 
3,450
Wireless Telecommunication Services – 0.4%
Millicom International Cellular S.A.
16,824
1,527
Total Common Stocks
(Cost $206,633)
366,750
 
RIGHTS – 0.0%
Capital Markets – 0.0%
TPG, Inc. (Contingent Value Rights)(1) *
14,889
Total Rights
(Cost $—)
 
INVESTMENT COMPANIES – 1.1%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(2) (3) (4)
1,687,946
1,688
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(2) (3)
2,280,812
2,281
Total Investment Companies
(Cost $3,969)
3,969
 
PRINCIPAL
AMOUNT
(000S)
VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.0%
U.S. Treasury Bill,
3.64%, 10/15/26(5) (6)
$156
$154
Total Short-Term Investments
(Cost $154)
154
 
Total Investments – 100.4%
(Cost $210,756)
370,873
Liabilities less Other Assets – (0.4%)
(1,616
)
NET ASSETS – 100.0%
$369,257
(1)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(2)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(3)
7-day current yield as of June 30, 2026 is disclosed.
(4)
Investment of cash collateral received from securities lending activities.
(5)
Discount rate at the time of purchase.
(6)
Security pledged as collateral to cover margin requirements for open futures
contracts.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P
500
6
$2,264
Long
9/26
$14
EQUITY FUNDS 160 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1)
$366,750
$
$
$366,750
Investment Companies
3,969
3,969
Short-Term Investments
154
154
Total Investments
$370,719
$154
$
$370,873
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
OTHER FINANCIAL
INSTRUMENTS
Assets
Futures Contracts
$14
$
$
$14
(1)
Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
$1,801
$4,366
$4,479
$1,688
1,687,946
$
(1),*
Northern Institutional Funds - U.S. Government Portfolio (Shares)
6,766
23,149
27,634
2,281
2,280,812
36
Total
$8,567
$27,515
$32,113
$3,969
3,968,758
$36
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
*
Amount rounds to less than one thousand.
NORTHERN FUNDS QUARTERLY REPORT 161 EQUITY FUNDS

Schedule of Investments
WORLD SELECTION INDEX FUND
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)
Australia – 1.3%
APA Group
62,258
$437
Aristocrat Leisure Ltd.
25,304
1,078
ASX Ltd.
9,430
348
Brambles Ltd.
62,237
840
CAR Group Ltd.
16,832
301
Cochlear Ltd.
3,335
282
Coles Group Ltd.
61,787
1,043
Commonwealth Bank of Australia
77,982
8,913
Computershare Ltd.
24,226
643
CSL Ltd.
22,549
1,796
Evolution Mining Ltd.
93,800
766
Fortescue Ltd.
76,176
1,015
Lynas Rare Earths Ltd.*
41,663
522
Macquarie Group Ltd.
16,869
2,936
Northern Star Resources Ltd.
64,328
847
PLS Group Ltd.*
144,849
507
QBE Insurance Group Ltd.
68,625
1,198
REA Group Ltd.
2,606
252
Sigma Healthcare Ltd.
241,655
461
Sonic Healthcare Ltd.
21,714
312
South32 Ltd.
202,600
545
Stockland
119,319
338
Suncorp Group Ltd.
48,481
647
Transurban Group
143,895
1,436
Vicinity Ltd.
171,653
306
WiseTech Global Ltd.
9,245
214
Woodside Energy Group Ltd.
89,254
1,728
 
29,711
Austria – 0.1%
BAWAG Group A.G.
3,262
654
OMV A.G.
6,883
432
Verbund A.G.
3,266
207
 
1,293
Belgium – 0.2%
Ageas S.A./N.V.
6,749
540
D'ieteren Group
1,051
205
Elia Group S.A./N.V.
2,032
323
KBC Group N.V.
10,644
1,452
Lotus Bakeries N.V.
20
266
Syensqo S.A.
3,470
256
UCB S.A.
5,636
1,687
 
4,729
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
Brazil – 0.3%
MercadoLibre, Inc.*
2,123
$3,604
Wheaton Precious Metals Corp.
21,143
2,378
 
5,982
Canada – 3.2%
Agnico Eagle Mines Ltd.
23,768
3,693
AtkinsRealis Group, Inc.
7,605
472
Bank of Montreal
31,995
5,655
Bank of Nova Scotia (The)
57,058
4,959
BCE, Inc.
14,372
310
Brookfield Renewable Corp.
6,462
240
CAE, Inc.*
14,187
355
Cameco Corp.
20,371
2,076
Canadian Imperial Bank of Commerce
42,938
4,945
Canadian National Railway Co.
24,129
2,880
Canadian Tire Corp. Ltd., Class A
2,312
318
Celestica, Inc.*
5,307
1,936
CGI, Inc.
8,379
542
Descartes Systems Group (The), Inc.*
4,275
296
Dollarama, Inc.
12,505
1,654
Element Fleet Management Corp.
18,338
378
Enbridge, Inc.
100,983
5,476
FirstService Corp.
1,927
274
Fortis, Inc.
23,352
1,338
George Weston Ltd.
7,282
523
Gildan Activewear, Inc.
8,514
439
Hydro One Ltd.
15,248
629
Imperial Oil Ltd.
6,872
772
Intact Financial Corp.
8,403
1,734
Keyera Corp.
12,553
504
Kinross Gold Corp.
55,040
1,303
Loblaw Cos. Ltd.
26,098
1,184
Metro, Inc.
8,781
561
National Bank of Canada
17,995
2,841
Nutrien Ltd.
22,306
1,405
Pembina Pipeline Corp.
27,257
1,261
RB Global, Inc.
8,781
1,022
Shopify, Inc., Class A*
57,160
6,540
Sun Life Financial, Inc.
25,992
2,041
TELUS Corp.
18,800
199
TELUS Corp. (TSX)
6,214
66
Thomson Reuters Corp.
5,804
474
TMX Group Ltd.
12,481
409
EQUITY FUNDS 162 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
Canada – 3.2%continued
Toronto-Dominion Bank (The)
76,829
$9,341
WSP Global, Inc.
6,304
782
 
71,827
Chile – 0.1%
Antofagasta PLC
16,382
832
Lundin Mining Corp.
32,880
801
 
1,633
China – 0.2%
BOC Hong Kong Holdings Ltd.
175,500
952
Prosus N.V.*
61,030
2,653
 
3,605
Denmark – 0.6%
Coloplast A/S, Class B
5,780
330
Demant A/S*
4,111
168
DSV A/S
8,992
2,134
Genmab A/S*
2,824
774
Novo Nordisk A/S, Class B
150,103
7,201
Novonesis (Novozymes) B
16,664
1,053
Orsted A.S.(2) *
20,854
469
Pandora A/S
3,380
390
ROCKWOOL A/S, Class B
3,622
116
Vestas Wind Systems A/S
44,873
1,268
 
13,903
Finland – 0.4%
Elisa OYJ
6,431
270
Kesko OYJ, Class B
12,014
269
Kone OYJ, Class B
14,847
845
Metso OYJ
29,993
521
Neste OYJ
19,425
632
Nokia OYJ
234,056
3,098
Orion OYJ, Class B
5,164
425
Sampo OYJ, Class A
113,133
1,189
Stora Enso OYJ (Registered)
27,451
293
UPM-Kymmene OYJ
24,990
663
 
8,205
France – 2.4%
Aeroports de Paris S.A.
1,504
196
Air Liquide S.A.
29,740
5,890
AXA S.A.
73,008
3,659
Ayvens S.A.
15,490
204
BNP Paribas S.A.
46,043
5,381
Bouygues S.A.
10,751
600
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
France – 2.4%continued
Bureau Veritas S.A.
14,022
$429
Carrefour S.A.
27,239
506
Cie Generale des Etablissements
Michelin S.C.A.
28,295
1,093
Credit Agricole S.A.
43,078
866
Danone S.A.
29,423
2,413
Dassault Systemes S.E.
31,952
651
Eiffage S.A.
3,190
471
EssilorLuxottica S.A.
14,049
2,636
Getlink S.E.
12,442
265
Hermes International S.C.A.
1,207
2,209
Ipsen S.A.
1,600
309
Kering S.A.
3,358
955
Legrand S.A.
12,000
2,025
L'Oreal S.A.
11,166
4,899
LVMH Moet Hennessy Louis Vuitton S.E.
11,624
6,437
Publicis Groupe S.A.
10,370
1,025
Rexel S.A.
10,228
447
Societe Generale S.A.
29,831
2,641
TotalEnergies S.E.
91,985
7,145
 
53,352
Germany – 1.0%
adidas A.G.
7,565
1,551
Allianz S.E. (Registered)
17,769
8,409
Beiersdorf A.G.
4,420
380
Deutsche Boerse A.G.
8,476
2,313
Deutsche Lufthansa A.G. (Registered)
27,068
310
Evonik Industries A.G.
11,646
211
GEA Group A.G.
6,794
466
Heidelberg Materials A.G.
6,153
1,174
Henkel A.G. & Co. KGaA
4,674
370
HOCHTIEF A.G.
721
418
Knorr-Bremse A.G.
3,107
361
Merck KGaA
5,934
996
MTU Aero Engines A.G.
2,479
1,031
Muenchener
Rueckversicherungs-Gesellschaft
A.G. in Muenchen (Registered)
6,007
3,353
Scout24 S.E.
3,142
260
Symrise A.G.
6,387
641
Vonovia S.E.
32,550
803
Zalando S.E.*
9,628
279
 
23,326
NORTHERN FUNDS QUARTERLY REPORT 163 EQUITY FUNDS

Schedule of Investments
WORLD SELECTION INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
Hong Kong – 0.4%
AIA Group Ltd.
489,600
$4,491
CK Infrastructure Holdings Ltd.
29,500
225
Hong Kong & China Gas Co. Ltd.
513,463
427
Hong Kong Exchanges & Clearing Ltd.
55,800
2,593
MTR Corp. Ltd.
74,126
289
Sino Land Co. Ltd.
172,380
227
Sun Hung Kai Properties Ltd.
59,500
857
Swire Pacific Ltd., Class A
17,500
183
WH Group Ltd.(2)
372,500
395
 
9,687
Ireland – 0.2%
AerCap Holdings N.V.
7,609
1,109
AIB Group PLC (Irish Stock Exchange)
99,585
1,170
Bank of Ireland Group PLC
44,895
895
Kerry Group PLC, Class A
7,330
673
Kingspan Group PLC
7,342
672
 
4,519
Israel – 0.1%
Bank Hapoalim B.M.
60,267
1,390
Italy – 0.5%
Coca-Cola HBC A.G. - CDI*
9,650
630
Generali
38,137
1,857
Intesa Sanpaolo S.p.A.
651,739
4,465
Moncler S.p.A.
9,812
569
Prysmian S.p.A.
13,186
2,215
Terna - Rete Elettrica Nazionale
65,158
762
 
10,498
Ivory Coast – 0.0%
Endeavour Mining PLC
9,841
487
Japan – 5.9%
Aeon Co. Ltd.
102,600
847
Ajinomoto Co., Inc.
40,200
1,462
ANA Holdings, Inc.
6,800
125
Asahi Kasei Corp.
56,400
622
Asics Corp.
32,200
876
Astellas Pharma, Inc.
78,500
1,055
Bandai Namco Holdings, Inc.
24,100
563
Bridgestone Corp.
48,400
1,019
Dai Nippon Printing Co. Ltd.
16,300
299
Daifuku Co. Ltd.
14,800
658
Daiichi Life Group, Inc.
160,700
1,761
Daiichi Sankyo Co. Ltd.
80,200
1,287
Daikin Industries Ltd.
12,400
1,884
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
Japan – 5.9%continued
Daito Trust Construction Co. Ltd.
13,200
$252
Daiwa House Industry Co. Ltd.
25,200
682
Daiwa Securities Group, Inc.
57,500
565
Disco Corp.
4,000
2,033
East Japan Railway Co.
44,200
926
Ebara Corp.
21,200
831
Eisai Co. Ltd.
12,805
324
ENEOS Holdings, Inc.
121,500
894
FANUC Corp.
43,100
1,971
Fast Retailing Co. Ltd.
8,900
4,552
Fuji Electric Co. Ltd.
6,400
542
FUJIFILM Holdings Corp.
52,700
1,134
Fujitsu Ltd.
79,500
1,587
Hankyu Hanshin Holdings, Inc.
10,600
279
Hitachi Ltd.
205,300
5,705
Hoya Corp.
15,600
2,516
Hulic Co. Ltd.
21,200
221
Ibiden Co. Ltd.
10,900
1,637
Isuzu Motors Ltd.
24,700
327
ITOCHU Corp.
258,400
2,971
Japan Exchange Group, Inc.
43,500
548
JFE Holdings, Inc.
26,100
251
JX Advanced Metals Corp.
26,100
722
Kao Corp.
41,200
817
KDDI Corp.
137,500
2,319
Kikkoman Corp.
31,300
321
Komatsu Ltd.
40,300
1,577
Kubota Corp.
44,500
745
LY Corp.
120,700
323
Marubeni Corp.
66,100
1,925
Mitsubishi Chemical Group Corp.
56,800
395
Mitsubishi Estate Co. Ltd.
48,300
1,229
Mitsui Fudosan Co. Ltd.
117,800
1,085
Mitsui Kinzoku Co. Ltd.
2,500
669
Mitsui OSK Lines Ltd.
15,800
506
Mizuho Financial Group, Inc.
109,900
5,277
Murata Manufacturing Co. Ltd.
75,500
5,441
NEC Corp.
57,800
1,403
Nippon Paint Holdings Co. Ltd.
48,200
314
Nippon Steel Corp.
223,300
740
Nippon Yusen K.K.
18,000
579
Nitori Holdings Co. Ltd.
18,400
274
Nitto Denko Corp.
31,300
617
Nomura Research Institute Ltd.
18,176
515
EQUITY FUNDS 164 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
Japan – 5.9%continued
Obayashi Corp.
29,900
$605
Oriental Land Co. Ltd.
51,500
788
Osaka Gas Co. Ltd.
16,000
538
Pan Pacific International Holdings Corp.
89,800
458
Panasonic Holdings Corp.
107,900
3,030
Rakuten Group, Inc.*
66,100
308
Recruit Holdings Co. Ltd.
61,600
4,288
Renesas Electronics Corp.
81,000
2,447
Ryohin Keikaku Co. Ltd.
23,300
509
Sanrio Co. Ltd.
47,000
318
Secom Co. Ltd.
18,000
715
Seibu Holdings, Inc.
9,600
188
Sekisui House Ltd.
28,600
595
Shimizu Corp.
22,700
360
Shin-Etsu Chemical Co. Ltd.
76,200
3,323
Shiseido Co. Ltd.
17,900
289
SoftBank Corp.
1,327,900
1,700
SoftBank Group Corp.
173,000
6,491
Sompo Holdings, Inc.
38,300
1,461
Sony Group Corp.
271,200
5,438
Subaru Corp.
25,400
374
Sumitomo Metal Mining Co. Ltd.
11,000
514
Sumitomo Mitsui Financial Group, Inc.
169,300
6,619
Suntory Beverage & Food Ltd.
5,800
160
TDK Corp.
88,500
1,977
Tokio Marine Holdings, Inc.
83,200
3,684
Tokyo Electron Ltd.
20,900
10,107
Tokyo Gas Co. Ltd.
13,600
511
Toray Industries, Inc.
57,500
399
Unicharm Corp.
49,900
290
West Japan Railway Co.
18,200
305
Yamaha Motor Co. Ltd.
40,400
306
Yokogawa Electric Corp.
10,100
355
Yokohama Financial Group, Inc.
46,100
493
 
130,942
Luxembourg – 0.0%
Eurofins Scientific S.E.
5,178
406
Netherlands – 2.2%
Akzo Nobel N.V.
6,759
458
ASML Holding N.V.
18,090
35,877
ING Groep N.V.
136,332
4,313
Koninklijke Ahold Delhaize N.V.
40,721
1,639
Koninklijke KPN N.V.
177,901
883
Magnum Ice Cream (The) Co. N.V.*
23,397
407
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
Netherlands – 2.2%continued
NN Group N.V.
12,194
$1,069
NXP Semiconductors N.V.
11,686
3,284
Universal Music Group N.V.
47,793
1,001
Wolters Kluwer N.V.
10,550
682
 
49,613
New Zealand – 0.1%
Auckland International Airport Ltd.
74,100
352
Contact Energy Ltd.
42,872
227
Meridian Energy Ltd.
60,296
199
Xero Ltd.*
7,957
400
 
1,178
Nigeria – 0.0%
Airtel Africa PLC
34,897
152
Norway – 0.2%
Aker BP ASA
14,556
443
DNB Bank ASA
39,642
1,179
Equinor ASA
33,070
1,039
Gjensidige Forsikring ASA
9,500
257
Mowi ASA
20,184
373
Norsk Hydro ASA
58,847
530
Orkla ASA
31,952
337
Salmar ASA
3,073
144
Telenor ASA
27,251
392
 
4,694
Poland – 0.0%
InPost S.A.*
11,374
200
Portugal – 0.1%
Banco Espirito Santo S.A.
(Registered)(3) *
29,034
EDP S.A.
138,310
724
Galp Energia SGPS S.A.
18,769
400
Jeronimo Martins SGPS S.A.
12,141
232
 
1,356
Singapore – 0.1%
CapitaLand Ascendas REIT*
188,021
363
CapitaLand Investment Ltd.
105,058
203
Grab Holdings Ltd., Class A*
109,397
412
Keppel Ltd.
65,500
558
Sembcorp Industries Ltd.
44,000
217
Singapore Exchange Ltd.
38,400
718
 
2,471
NORTHERN FUNDS QUARTERLY REPORT 165 EQUITY FUNDS

Schedule of Investments
WORLD SELECTION INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
South Africa – 0.1%
Anglo American PLC
49,481
$2,424
Spain – 0.8%
Acciona S.A.
1,118
355
ACS Actividades de Construccion y
Servicios S.A.
8,169
1,206
Aena SME S.A.(2)
35,429
1,080
Amadeus IT Group S.A.
19,976
1,147
Banco de Sabadell S.A.
224,259
797
CaixaBank S.A.
164,301
2,332
Cellnex Telecom S.A.*
22,241
666
Endesa S.A.
14,396
656
Iberdrola S.A.
284,030
7,089
Naturgy Energy Group S.A.
19,065
598
Redeia Corp. S.A.
19,908
339
Repsol S.A.
51,186
1,274
 
17,539
Sweden – 0.8%
AddTech AB, Class B
11,420
402
Alfa Laval AB
13,264
790
Assa Abloy AB, Class B
44,731
1,580
Atlas Copco AB, Class A
117,660
2,388
Atlas Copco AB, Class B
67,329
1,193
Beijer Ref AB
20,436
299
Boliden AB
13,550
765
Epiroc AB, Class A
28,384
779
Epiroc AB, Class B
18,469
429
EQT AB
19,358
548
Essity AB, Class B
27,092
767
Evolution AB*
5,398
372
H&M Hennes & Mauritz AB, Class B
20,797
358
Indutrade AB
13,648
282
Nibe Industrier AB, Class B
65,208
242
Sandvik AB
48,423
1,999
Securitas AB, Class B
23,115
380
Skanska AB, Class B
14,490
388
SKF AB, Class B
16,504
424
Svenska Cellulosa AB S.C.A., Class B
29,467
301
Swedish Orphan Biovitrum AB*
8,373
399
Tele2 AB, Class B
24,663
429
Telia Co. AB
111,983
545
Volvo AB, Class B
72,034
2,449
 
18,508
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
Switzerland – 1.4%
ABB Ltd. (Registered)
73,166
$7,939
Barry Callebaut A.G. (Registered)
162
225
Belimo Holding A.G. (Registered)
461
520
Chocoladefabriken Lindt & Spruengli
A.G. (Participation Certificate)
45
523
Chocoladefabriken Lindt & Spruengli
A.G. (Registered)
5
594
DSM-Firmenich A.G.
7,796
740
Galderma Group A.G.*
8,484
1,929
Geberit A.G. (Registered)
1,458
973
Givaudan S.A. (Registered)
429
1,818
Helvetia Baloise Holding A.G.
3,643
941
Kuehne + Nagel International A.G.
(Registered)
2,237
543
Lonza Group A.G. (Registered)
3,250
2,193
SGS S.A. (Registered)
7,848
909
Sika A.G. (Registered)
7,174
1,478
Sonova Holding A.G. (Registered)
2,193
521
Straumann Holding A.G. (Registered)
5,355
704
Swiss Life Holding A.G. (Registered)
1,289
1,418
Swiss Prime Site A.G. (Registered)
3,709
605
Swisscom A.G. (Registered)
1,214
937
VAT Group A.G.
1,271
1,112
Zurich Insurance Group A.G.
6,974
5,151
 
31,773
United Kingdom – 3.1%
3i Group PLC
45,040
1,486
Admiral Group PLC
12,166
575
Associated British Foods PLC
12,211
322
AstraZeneca PLC
70,511
13,191
Aviva PLC
143,344
1,237
BT Group PLC
271,628
685
Bunzl PLC
15,486
540
Coca-Cola Europacific Partners PLC
9,476
948
Compass Group PLC
78,938
2,550
HSBC Holdings PLC
801,087
15,217
Informa PLC
60,798
730
Intertek Group PLC
7,391
569
J Sainsbury PLC
81,663
347
Kingfisher PLC
82,304
310
Land Securities Group PLC
34,434
298
Legal & General Group PLC
248,082
942
Lloyds Banking Group PLC
2,711,833
4,001
London Stock Exchange Group PLC
20,613
2,232
EQUITY FUNDS 166 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
United Kingdom – 3.1%continued
Melrose Industries PLC
60,635
$382
National Grid PLC
232,827
3,855
Pearson PLC
20,453
325
Reckitt Benckiser Group PLC
30,082
1,961
RELX PLC
83,273
2,623
Rentokil Initial PLC
114,562
649
Schroders PLC
36,611
285
Segro PLC
58,642
681
Smiths Group PLC
14,034
477
Spirax Group PLC
3,458
314
SSE PLC
56,856
1,838
Standard Life PLC
31,572
349
TechnipFMC PLC
18,240
1,209
Tesco PLC
298,315
1,822
Unilever PLC
101,833
6,112
Verisure PLC*
11,680
130
Vodafone Group PLC
868,649
1,148
 
70,340
United States – 71.9%
3M Co.
24,593
3,982
Accenture PLC, Class A
28,615
3,561
Adobe, Inc.*
18,839
3,862
Advanced Micro Devices, Inc.*
75,977
44,136
Aegon Ltd.
56,364
479
Aflac, Inc.
21,637
2,537
Agilent Technologies, Inc.
12,889
1,712
Alcon A.G.
23,438
1,585
Allegion PLC
4,107
577
Allstate (The) Corp.
12,026
2,861
Alnylam Pharmaceuticals, Inc.*
6,115
1,841
Alphabet, Inc., Class A
271,321
96,962
Alphabet, Inc., Class C
215,393
76,105
American Express Co.
24,806
8,391
American Tower Corp.
21,683
3,547
American Water Works Co., Inc.
9,077
1,194
Ameriprise Financial, Inc.
4,243
1,946
Amgen, Inc.
25,168
9,114
Analog Devices, Inc.
22,767
9,042
Annaly Capital Management, Inc.
33,585
751
AP Moller - Maersk A/S, Class A
114
263
AP Moller - Maersk A/S, Class B
163
387
Apollo Global Management, Inc.
19,429
2,299
Applied Materials, Inc.
36,986
26,741
Aptiv PLC*
9,836
604
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
United States – 71.9%continued
Arch Capital Group Ltd.*
16,294
$1,581
Ares Management Corp., Class A
9,792
1,090
AT&T, Inc.
325,738
6,743
Atlassian Corp., Class A*
8,004
623
Atmos Energy Corp.
7,699
1,326
Autodesk, Inc.*
9,880
1,921
Automatic Data Processing, Inc.
18,782
4,206
AutoZone, Inc.*
769
2,458
Avery Dennison Corp.
3,424
556
Axon Enterprise, Inc.*
3,551
1,991
Baker Hughes Co.
46,379
2,574
Ball Corp.
11,892
742
Bank of New York Mellon (The) Corp.
32,149
4,649
Best Buy Co., Inc.
9,473
719
Biogen, Inc.*
6,826
1,475
Blackrock, Inc.
6,886
6,621
Booking Holdings, Inc.
36,519
6,509
Bristol-Myers Squibb Co.
95,311
5,492
Broadridge Financial Solutions, Inc.
5,411
741
Bunge Global S.A.
6,007
641
Burlington Stores, Inc.*
2,888
915
C.H. Robinson Worldwide, Inc.
5,393
1,016
Cadence Design Systems, Inc.*
12,833
4,816
Capital One Financial Corp.
27,794
5,576
Carlisle Cos., Inc.
1,956
710
Carnival Corp. Ltd.
59,427
1,698
Carrier Global Corp.
35,117
2,576
Carvana Co.*
29,869
1,966
Caterpillar, Inc.
21,690
23,098
Cboe Global Markets, Inc.
4,863
1,180
CBRE Group, Inc., Class A*
13,797
1,858
Cencora, Inc.
8,620
2,439
Charles Schwab (The) Corp.
77,082
7,112
Cheniere Energy, Inc.
9,568
2,287
Chipotle Mexican Grill, Inc.*
60,913
2,071
Church & Dwight Co., Inc.
10,893
1,055
Cigna Group (The)
12,314
3,395
Citizens Financial Group, Inc.
19,628
1,375
Clorox (The) Co.
5,799
553
CMS Energy Corp.
14,325
1,096
CNH Industrial N.V.
39,957
449
Coca-Cola (The) Co.
180,709
14,686
Colgate-Palmolive Co.
35,602
3,264
Comcast Corp., Class A
167,499
4,112
NORTHERN FUNDS QUARTERLY REPORT 167 EQUITY FUNDS

Schedule of Investments
WORLD SELECTION INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
United States – 71.9%continued
Comfort Systems U.S.A., Inc.
1,643
$3,256
Consolidated Edison, Inc.
16,955
1,876
Cooper (The) Cos., Inc.*
9,246
663
Costco Wholesale Corp.
20,680
19,345
CRH PLC
31,123
3,330
Crown Castle, Inc.
20,213
1,531
CSX Corp.
86,961
4,133
Cummins, Inc.
6,402
4,566
D.R. Horton, Inc.
12,198
1,987
Danaher Corp.
29,597
5,638
Darden Restaurants, Inc.
5,278
1,087
Deckers Outdoor Corp.*
6,734
669
Deere & Co.
11,352
7,201
Delta Air Lines, Inc.
7,685
720
Dick's Sporting Goods, Inc.
2,705
613
Digital Realty Trust, Inc.
15,950
2,864
Dollar General Corp.
10,258
1,181
Domino's Pizza, Inc.
1,468
435
Dover Corp.
6,298
1,412
Eaton Corp. PLC
17,973
7,659
eBay, Inc.
19,873
2,221
Ecolab, Inc.
11,676
3,253
Edison International
18,091
1,347
Edwards Lifesciences Corp.*
26,849
2,429
Electronic Arts, Inc.
10,528
2,159
Elevance Health, Inc.
10,110
3,910
Eli Lilly & Co.
37,427
44,891
EMCOR Group, Inc.
2,065
1,714
Equinix, Inc.
4,604
4,799
Estee Lauder (The) Cos., Inc., Class A
11,344
896
Eversource Energy
17,459
1,262
Exelon Corp.
47,443
2,212
Expedia Group, Inc.
5,441
1,392
Expeditors International of Washington,
Inc.
6,151
1,002
F5, Inc.*
2,602
1,082
Fair Isaac Corp.*
1,092
1,305
Ferguson Enterprises, Inc.
9,078
2,154
Ferrovial N.V.
22,495
1,543
Fidelity National Information Services,
Inc.
23,649
919
Fifth Third Bancorp
41,692
2,350
First Solar, Inc.*
4,758
1,123
Fiserv, Inc.*
24,685
1,211
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
United States – 71.9%continued
Fortive Corp.
13,538
$827
Fox Corp., Class A
9,488
495
Fox Corp., Class B
6,431
301
Garmin Ltd.
7,577
1,800
GE Vernova, Inc.
12,562
14,759
General Electric Co.
48,697
18,200
General Mills, Inc.
25,329
881
Genuine Parts Co.
6,638
783
Gilead Sciences, Inc.
57,905
7,316
Graco, Inc.
7,388
559
Halliburton Co.
38,841
1,319
Hartford Insurance Group (The), Inc.
12,845
1,702
Hershey (The) Co.
6,851
1,202
Hewlett Packard Enterprise Co.
61,593
2,778
Hilton Worldwide Holdings, Inc.
10,653
3,520
Home Depot (The), Inc.
46,156
16,278
Hubbell, Inc.
2,484
1,300
Humana, Inc.
5,553
2,206
Huntington Bancshares, Inc.
94,105
1,668
Hyatt Hotels Corp., Class A
1,877
364
IDEX Corp.
3,453
784
IDEXX Laboratories, Inc.*
3,710
1,953
Incyte Corp.*
7,976
904
Ingersoll Rand, Inc.
18,114
1,485
Insulet Corp.*
3,218
490
Intercontinental Exchange, Inc.
26,432
3,254
InterContinental Hotels Group PLC
6,544
1,129
International Business Machines Corp.
43,716
12,293
International Flavors & Fragrances, Inc.
11,624
921
International Paper Co.
23,928
912
Intuit, Inc.
12,893
3,365
IQVIA Holdings, Inc.*
7,970
1,540
Iron Mountain, Inc.
13,792
1,742
Jacobs Solutions, Inc.
5,612
707
JB Hunt Transport Services, Inc.
3,537
1,024
Johnson & Johnson
112,345
28,532
Johnson Controls International PLC
28,573
4,175
Kenvue, Inc.
89,472
1,710
Keurig Dr. Pepper, Inc.
59,924
1,961
KeyCorp
42,626
983
Keysight Technologies, Inc.*
7,958
2,786
Kimberly-Clark Corp.
15,332
1,683
Kroger (The) Co.
25,821
1,434
Labcorp Holdings, Inc.
3,883
1,087
EQUITY FUNDS 168 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
United States – 71.9%continued
Lam Research Corp.
58,204
$25,222
Lennox International, Inc.
1,448
830
Linde PLC
21,615
11,217
Lowe's Cos., Inc.
26,125
5,760
LPL Financial Holdings, Inc.
3,779
1,064
Lululemon Athletica, Inc.*
4,431
506
Marathon Petroleum Corp.
13,709
3,505
Marsh & McLennan Cos., Inc.
22,555
3,759
Martin Marietta Materials, Inc.
2,828
1,631
Marvell Technology, Inc.
39,734
11,836
Mastercard, Inc., Class A
38,176
19,607
McCormick & Co., Inc. (Non Voting)
12,156
613
McDonald's Corp.
33,132
8,956
Merck & Co., Inc.
115,345
14,822
MetLife, Inc.
25,953
2,196
Mettler-Toledo International, Inc.*
940
1,201
Microsoft Corp.
328,741
122,627
Monster Beverage Corp.*
33,051
3,177
Moody's Corp.
7,021
3,180
Morgan Stanley
55,261
11,552
Nasdaq, Inc.(4)
20,858
1,644
NetApp, Inc.
9,213
1,426
Newmont Corp.
50,392
4,707
NiSource, Inc.
23,127
1,100
Northern Trust Corp.(4)
8,263
1,436
Novartis A.G. (Registered)
85,459
13,382
NRG Energy, Inc.
9,358
1,367
Nucor Corp.
10,339
2,303
NVIDIA Corp.
1,075,805
215,258
NVR, Inc.*
121
824
Old Dominion Freight Line, Inc.
8,665
1,877
ONEOK, Inc.
29,491
2,564
O'Reilly Automotive, Inc.*
38,776
3,571
Palo Alto Networks, Inc.*
37,796
12,889
Paychex, Inc.
14,696
1,445
PayPal Holdings, Inc.
39,970
1,726
Pentair PLC
7,713
591
PepsiCo, Inc.
63,207
8,558
Phillips 66
18,744
3,169
PNC Financial Services Group (The),
Inc.
18,791
4,627
PPG Industries, Inc.
10,374
1,258
Principal Financial Group, Inc.
10,126
1,091
Procter & Gamble (The) Co.
108,371
15,891
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
United States – 71.9%continued
Progressive (The) Corp.
27,305
$5,965
Prologis, Inc.
43,570
5,902
Prudential Financial, Inc.
16,139
1,742
PTC, Inc.*
5,456
620
PulteGroup, Inc.
9,019
1,237
QIAGEN N.V.
8,922
346
Quanta Services, Inc.
6,997
5,038
Quest Diagnostics, Inc.
5,236
1,110
Raymond James Financial, Inc.
8,340
1,268
Regions Financial Corp.
39,676
1,198
Rivian Automotive, Inc., Class A* †
38,394
666
Rockwell Automation, Inc.
5,227
2,588
Ross Stores, Inc.
14,773
3,144
Royal Caribbean Cruises Ltd.
11,821
3,753
Royalty Pharma PLC, Class A
18,674
1,047
S&P Global, Inc.
14,132
5,755
Salesforce, Inc.
37,175
5,824
SBA Communications Corp.
4,951
874
Schneider Electric S.E.
25,576
8,391
Seagate Technology Holdings PLC
10,181
9,825
Sempra
30,596
2,837
ServiceNow, Inc.*
48,607
4,826
SLB Ltd.
70,054
3,257
Smurfit Westrock PLC
23,745
1,100
Smurfit Westrock PLC (New York
Exchange)
1,088
50
Spotify Technology S.A.*
6,837
3,139
State Street Corp.
13,181
2,235
Steel Dynamics, Inc.
6,465
1,483
STERIS PLC
4,637
976
Stryker Corp.
16,136
5,080
Sunbelt Rentals Holdings, Inc.
19,219
1,403
Swiss Re A.G.
13,926
2,216
Synchrony Financial
16,158
1,229
Synopsys, Inc.*
8,483
3,784
Sysco Corp.
22,411
1,873
T. Rowe Price Group, Inc.
10,034
1,141
Targa Resources Corp.
9,691
2,599
Target Corp.
21,007
2,744
Tesla, Inc.*
131,155
55,164
TJX (The) Cos., Inc.
51,687
7,831
Tractor Supply Co.
24,948
789
Trane Technologies PLC
10,266
5,042
TransUnion
9,187
663
NORTHERN FUNDS QUARTERLY REPORT 169 EQUITY FUNDS

Schedule of Investments
WORLD SELECTION INDEX FUNDcontinued
 
 
NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.7% (1)continued
United States – 71.9%continued
Travelers (The) Cos., Inc.
9,909
$3,271
Trimble, Inc.*
10,721
549
Truist Financial Corp.
57,487
2,864
Twilio, Inc., Class A*
6,719
1,386
U.S. Bancorp
72,572
4,383
Ulta Beauty, Inc.*
1,993
899
Union Pacific Corp.
27,707
7,536
United Rentals, Inc.
2,942
3,333
Valero Energy Corp.
13,893
3,618
Veeva Systems, Inc., Class A*
6,906
1,226
Veralto Corp.
11,561
1,025
Verisk Analytics, Inc.
6,160
1,106
Verizon Communications, Inc.
195,017
8,257
Vertex Pharmaceuticals, Inc.*
11,816
5,869
Visa, Inc., Class A
78,377
26,890
W.W. Grainger, Inc.
2,043
2,779
Walt Disney (The) Co.
82,574
7,948
Waters Corp.*
4,592
1,722
Welltower, Inc.
32,870
7,460
West Pharmaceutical Services, Inc.
3,344
1,200
Western Digital Corp.
16,129
10,302
Weyerhaeuser Co.
33,015
790
Williams (The) Cos., Inc.
57,097
4,245
Williams-Sonoma, Inc.
5,575
1,300
Willis Towers Watson PLC
4,319
1,129
Workday, Inc., Class A*
9,895
1,211
XPO, Inc.*
5,274
1,083
Xylem, Inc.
11,321
1,338
Yum! Brands, Inc.
12,996
2,078
Zimmer Biomet Holdings, Inc.
8,994
774
Zoetis, Inc.
19,716
1,417
Zscaler, Inc.*
4,906
692
 
1,610,291
Total Common Stocks
(Cost $1,043,349)
2,186,034
 
CONVERTIBLE PREFERRED STOCKS – 0.0% (1)
Germany – 0.0%
Sartorius A.G., 0.32%(5)
1,200
315
Total Convertible Preferred Stocks
(Cost $303)
315
 
 
NUMBER
OF SHARES
VALUE
(000S)
PREFERRED STOCKS – 0.0% (1)
Germany – 0.0%
Henkel A.G. & Co. KGaA, 2.82%(5)
6,728
$565
Total Preferred Stocks
(Cost $462)
565
 
RIGHTS – 0.0%
Spain – 0.0%
ACS Actividades de Construccion y
Servicios S.A.*
8,169
17
United States – 0.0%
ABIOMED, Inc. (Contingent Value
Rights)(3) (6) (7) *
2,380
TPG, Inc. (Contingent Value Rights)(3) *
10,535
 
Total Rights
(Cost $17)
17
 
INVESTMENT COMPANIES – 1.4%
Northern Institutional Funds - Liquid
Assets Portfolio (Shares),
3.68%(8) (9) (10)
1,443,209
1,443
Northern Institutional Funds -
U.S. Government Portfolio (Shares),
3.46%(8) (9)
28,982,808
28,983
Total Investment Companies
(Cost $30,426)
30,426
 
Total Investments – 99.1%
(Cost $1,074,557)
2,217,357
Other Assets less Liabilities – 0.9%
21,178
Net Assets – 100.0%
$2,238,535
(1)
Adjustment factors obtained from an independent evaluation service were
used to determine the value of certain foreign securities.
(2)
Security exempt from registration pursuant to Rule 144A under the Securities
Act of 1933, as amended. These securities may be resold in transactions
exempt from registration to qualified institutional investors. At June 30, 2026,
the value of these securities amounted to approximately $1,944,000 or 0.1%
of net assets.
(3)
Security is valued using significant unobservable inputs and is classified as
Level 3 in the fair value hierarchy.
(4)
Investment in affiliate.
(5)
Current yield is disclosed. Dividends are calculated based on a percentage
of the issuer's net income.
EQUITY FUNDS 170 NORTHERN FUNDS QUARTERLY REPORT

June 30, 2026 (UNAUDITED)
(6)
Restricted security. At June 30, 2026, the value of this restricted security
amounted to $0 or 0.0% of net assets. Additional information on this
restricted security is as follows:
SECURITY
ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
ABIOMED, Inc. (Contingent Value Rights)
12/23/22
$
 
 
(7)
Value rounds to less than one thousand.
(8)
Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the
investment adviser to the Fund and the investment adviser to Northern
Institutional Funds.
(9)
7-day current yield as of June 30, 2026 is disclosed.
(10)
Investment of cash collateral received from securities lending activities.
Security is either wholly or partially on loan.
*
Non-Income Producing Security
 
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT
THE SCHEDULE OF INVESTMENTS:
 
CDI – CREST Depository Interest
 
FTSE – Financial Times Stock Exchange
 
S&P – Standard & Poor's
 
SPI – Standardized Precipitation Index
 
TSX – Toronto Stock Exchange
Percentages shown are based on Net Assets.
At June 30, 2026, the Fund had outstanding forward foreign currency exchange contracts as follows: 
COUNTERPARTY
CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Bank of Montreal
Hong Kong
Dollar
4,388
United States
Dollar
562
9/16/26
$1
Bank of Montreal
New Zealand
Dollar
124
United States
Dollar
73
9/16/26
3
JPMorgan Chase
Danish Krone
1,528
United States
Dollar
240
9/16/26
5
JPMorgan Chase
Swiss Franc
728
United States
Dollar
938
9/16/26
29
JPMorgan Chase
United States
Dollar
745
Euro
650
9/16/26
—*
JPMorgan Chase
United States
Dollar
597
Japanese Yen
96,450
9/16/26
—*
Toronto-Dominion
Bank
United States
Dollar
500
British Pound
380
9/16/26
4
Toronto-Dominion
Bank
United States
Dollar
367
Canadian
Dollar
520
9/16/26
1
Toronto-Dominion
Bank
United States
Dollar
968
Euro
850
9/16/26
6
COUNTERPARTY
CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Toronto-Dominion
Bank
United States
Dollar
434
Swiss Franc
350
9/16/26
$3
Subtotal Appreciation
 
 
52
Bank of Montreal
United States
Dollar
1,028
Canadian
Dollar
1,416
9/16/26
(26
)
Barclays
United States
Dollar
609
Euro
520
9/16/26
(13
)
Barclays
United States
Dollar
380
Japanese Yen
60,070
9/16/26
(9
)
JPMorgan Chase
Euro
360
United States
Dollar
412
9/16/26
(1
)
JPMorgan Chase
United States
Dollar
173
Euro
148
9/16/26
(3
)
Morgan Stanley
United States
Dollar
61
Australian
Dollar
85
9/16/26
(2
)
Morgan Stanley
United States
Dollar
293
British Pound
218
9/16/26
(4
)
Toronto-Dominion
Bank
United States
Dollar
1,330
Japanese Yen
212,586
9/16/26
(14
)
Subtotal Depreciation
 
 
(72
)
Total
 
 
 
$(20
)
*
Amounts round to less than a thousand.
At June 30, 2026, the Fund had open futures contracts as follows:
TYPE
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P
500
(United States
Dollar)
98
$36,986
Long
9/26
$325
Euro Stoxx 50
(Euro)
59
4,285
Long
9/26
38
FTSE 100
Index (British
Pound)
18
2,517
Long
9/26
(3
)
S&P/TSX 60
Index
(Canadian
Dollar)
5
1,449
Long
9/26
1
SPI 200 Index
(Australian
Dollar)
11
1,671
Long
9/26
(11
)
Topix Index
(Japanese
Yen)
6
1,477
Long
9/26
44
Total
$394
NORTHERN FUNDS QUARTERLY REPORT 171 EQUITY FUNDS

Schedule of Investments
WORLD SELECTION INDEX FUNDcontinued
June 30, 2026 (UNAUDITED)
At June 30, 2026, the industry sectors for the Fund were:
INDUSTRY SECTOR
% OF NET
ASSETS
Information Technology
28.7
%
Financials
15.5
Industrials
10.7
Communication Services
9.9
Health Care
9.9
Consumer Discretionary
8.7
Consumer Staples
5.2
Materials
3.1
Energy
2.6
Real Estate
1.7
Utilities
1.7
Short-Term Investments
1.4
Total Investments
99.1
Other Assets less Liabilities
0.9
Net Assets
100.0
%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2026 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2026:
INVESTMENTS
LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:
Brazil
$5,982
$
$
$5,982
Canada
71,827
71,827
Chile
801
832
1,633
Ireland
1,109
3,410
4,519
Netherlands
3,284
46,329
49,613
Singapore
412
2,059
2,471
United Kingdom
2,157
68,183
70,340
United States
1,578,067
32,224
1,610,291
All Other Countries(1)
369,358
369,358
Total Common Stocks
1,663,639
522,395
2,186,034
Convertible Preferred
Stocks
315
315
Preferred Stocks
565
565
Rights(1)
17
*
17
Investment Companies
30,426
30,426
Total Investments
$1,694,082
$523,275
$
$2,217,357
OTHER FINANCIAL
INSTRUMENTS
Assets
Forward Foreign
Currency Exchange
Contracts
$
$52
$
$52
Futures Contracts
408
408
Liabilities
Forward Foreign
Currency Exchange
Contracts
(72
)
(72
)
Futures Contracts
(14
)
(14
)
Total Other Financial
Instruments
$394
$(20
)
$
$374
(1)
Classifications as defined in the Schedule of Investments.
*
Amount rounds to less than one thousand.
Transactions in affiliated investments for the three months ended June 30, 2026, were as follows:
SECURITY
VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
NET
REALIZED
GAINS
(LOSSES)
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES/PAR,
END
OF PERIOD
DIVIDEND/
INTEREST
INCOME
(000S)
Nasdaq, Inc.
$1,771
$
$
$(127
)
$
$1,644
20,858
$6
Northern Institutional Funds - Liquid Assets Portfolio (Shares)
696
10,137
9,390
1,443
1,443,209
1
(1)
Northern Institutional Funds - U.S. Government Portfolio (Shares)
27,959
52,799
51,775
28,983
28,982,808
253
Northern Trust Corp.
1,210
67
260
33
1,436
8,263
7
Total
$31,636
$62,936
$61,232
$133
$33
$33,506
30,455,138
$267
(1)
Represents income from the investment of cash collateral and loan premiums or fees paid by borrowers, net of applicable taxes, rebate fees paid or accrued to the
Fund, and other related expenses.
EQUITY FUNDS 172 NORTHERN FUNDS QUARTERLY REPORT