|
Ticker
Symbol By Class | ||||||
Fund |
A |
C |
M |
R6 |
S |
Y |
|
Multifactor
U.S. Equity Fund |
RTDAX |
RTDCX |
RTDTX |
RTDRX |
RTDSX |
RTDYX |
|
Equity
Income Fund |
RSQAX |
REQSX |
RAAUX |
RUCRX |
RLISX |
REAYX |
|
Sustainable
Equity Fund(1)
|
REQAX |
REQCX |
RDFUX |
RUDRX |
REQTX |
REUYX |
|
U.S.
Strategic Equity Fund |
RSEAX |
RSECX |
RUSTX |
RESRX |
RSESX |
RUSPX |
|
U.S.
Small Cap Equity Fund |
RLACX |
RLECX |
RUNTX |
RSCRX |
RLESX |
REBYX |
|
Multifactor
International Equity Fund |
RTIAX |
RTICX |
RTITX |
RTIRX |
RTISX |
RTIYX |
|
International
Developed
Markets
Fund
|
RLNAX |
RLNCX |
RNTTX |
RIDRX |
RINTX |
RINYX |
|
Global
Equity Fund |
RGEAX |
RGECX |
RGDTX |
RGLRX |
RGESX |
RLGYX |
|
Emerging
Markets Fund |
REMAX |
REMCX |
RMMTX |
REGRX |
REMSX |
REMYX |
|
Tax-Managed
U.S. Large Cap Fund |
RTLAX |
RTLCX |
RTMTX |
— |
RETSX |
— |
|
Tax-Managed
U.S. Mid & Small Cap Fund |
RTSAX |
RTSCX |
RTOUX |
— |
RTSSX |
— |
|
Tax-Managed
International Equity Fund |
RTNAX |
RTNCX |
RTIUX |
— |
RTNSX |
— |
|
Tax-Managed
Real Assets Fund |
RTXAX |
RTXCX |
RTXMX |
— |
RTXSX |
— |
|
Opportunistic
Credit Fund |
RGCAX |
RGCCX |
RGOTX |
RGCRX |
RGCSX |
RGCYX |
|
Long
Duration Bond Fund(2)
|
RMHAX |
RMHCX |
RMHTX |
RMHRX |
RMHSX |
RMHYX |
|
Strategic
Bond Fund
|
RFDAX |
RFCCX |
RSYTX |
RSBRX |
RFCTX |
RFCYX |
|
Investment
Grade Bond Fund |
RFAAX |
RFACX |
RIWTX |
RIGRX |
RFATX |
RFAYX |
|
Short
Duration Bond Fund |
RSBTX |
RSBCX |
RSDTX |
RDBRX |
RFBSX |
RSBYX |
|
Tax-Exempt
High Yield Bond Fund |
RTHAX |
RTHCX |
RHYTX |
— |
RTHSX |
— |
|
Tax-Exempt
Bond Fund
|
RTEAX |
RTECX |
RBCUX |
— |
RLVSX |
— |
|
Global
Infrastructure Fund |
RGIAX |
RGCIX |
RGFTX |
RGIRX |
RGISX |
RGIYX |
|
Global
Real Estate Securities Fund |
RREAX |
RRSCX |
RETTX |
RRSRX |
RRESX |
RREYX |
|
Real
Assets Fund(3)
|
RAOAX |
RAOCX |
RAOMX |
RAORX |
RAOSX |
— |
|
Multi-Strategy
Income Fund |
RMYAX |
RMYCX |
RGYTX |
RMIRX |
RMYSX |
RMYYX |
|
Multi-Asset
Growth Strategy Fund(4)
|
RAZAX |
RAZCX |
RMATX |
RMGRX |
RMGSX |
RMGYX |
|
Structure
And Governance |
|
ORGANIZATION
AND BUSINESS HISTORY. |
|
SHAREHOLDER
MEETINGS. |
|
CONTROLLING
SHAREHOLDERS. |
|
TRUSTEES
AND OFFICERS. |
|
Operation
Of RIC |
|
SERVICE
PROVIDERS. |
|
ADVISER. |
|
ADMINISTRATOR. |
|
PORTFOLIO
MANAGERS. |
|
MONEY
MANAGERS. |
|
CUSTODIAN
AND PORTFOLIO ACCOUNTANT. |
|
DISTRIBUTOR. |
|
TRANSFER
AND DIVIDEND DISBURSING AGENT. |
|
ORDER
PLACEMENT DESIGNEES. |
|
INDEPENDENT
REGISTERED PUBLIC ACCOUNTING FIRM. |
|
CODES
OF ETHICS. |
|
PLAN
PURSUANT TO RULE 18f-3. |
|
DISTRIBUTION
PLANS. |
|
SHAREHOLDER
SERVICES PLAN. |
|
SECURITIES
LENDING. |
|
FUND
EXPENSES. |
|
PURCHASE,
EXCHANGE AND REDEMPTION OF FUND SHARES. |
|
VALUATION
OF FUND SHARES. |
|
VALUATION
OF PORTFOLIO SECURITIES. |
|
PORTFOLIO
TURNOVER RATES OF THE FUNDS. |
|
DISCLOSURE
OF PORTFOLIO HOLDINGS. |
|
PROXY
VOTING POLICIES AND PROCEDURES. |
|
FORUM
FOR ADJUDICATION OF DISPUTES. |
|
BROKERAGE
ALLOCATIONS. |
|
BROKERAGE
COMMISSIONS. |
|
FOREIGN
CURRENCY FEES. |
|
Investment
Restrictions, Policies And CERTAIN INVESTMENTS |
|
INVESTMENT
RESTRICTIONS. |
|
INVESTMENT
POLICIES. |
|
INVESTMENT
STRATEGIES AND PORTFOLIO INSTRUMENTS. |
|
Taxes |
|
Tax
Information for All Funds. |
|
Additional
Tax Information With Respect to the Tax-Exempt Bond and Tax-Exempt High
Yield
Bond Funds. |
|
Money
Manager Information |
|
credit
Rating definitions |
|
Financial
Statements |
|
Appendix |
116 |
Name,
Age, Address |
Position(s)
Held
With
Fund and
Length
of
Time
Served |
Term
of Office* |
Principal
Occupation(s)
During
the Past 5 Years |
No.
of
Portfolios
in
Russell
Investments
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustee
During
the Past 5
Years |
INTERESTED
TRUSTEE |
|
|
|
| |
Vernon
Barback#
Born
August 24, 1956
1301
Second Avenue,
18th
Floor,
Seattle,
WA 98101 |
●President
and
Chief
Executive
Officer
since
2022
●Trustee
since
2021 |
●Until
successor is
chosen
and
qualified
by
Trustees
●Until
successor is
duly
elected and
qualified |
●President
and CEO, RIC
and
RIF
●Vice
Chairman, Russell
Investments
●From
2022 to 2024,
Chief
Operating Officer,
Russell
Investments
●From
2021 to 2022,
Chief
Administrative
Officer,
Russell
Investments
●From
2019 to 2021,
Vice
Chairman, Russell
Investments
●Until
2020, Director,
NorthStar
Topco, LLC
(technology
and services
outsourcing
company)
●From
2016 to 2019,
President,
Russell
Investments |
39 |
●Until
2020,
Director
of
NorthStar
Topco,
LLC
(technology
and
services
outsourcing
company) |
Name,
Age, Address |
Position(s)
Held
With
Fund and
Length
of
Time
Served |
Term
of Office* |
Principal
Occupation(s)
During
the Past 5 Years |
No.
of Portfolios
in
Russell Investments
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustee
During
the Past 5
Years |
INDEPENDENT
TRUSTEES
|
|
|
|
| |
Michelle
L. Cahoon
Born
July 5, 1966
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2021
●Chairman
of the
Audit
Committee
since
2023 |
●Until
successor is
duly
elected and
qualified
●Until
successor is
duly
elected and
qualified |
●Retired
●From
January to April
2019,
Consulting Chief
Financial
Officer,
Driehaus
Capital
Management
LLC
(investment
adviser)
●Trustee
and Audit
Committee
Chair
Fairway
Private Equity
&
Venture Capital
Opportunities
Fund
(investment
company) |
39 |
●Trustee
and Audit
Committee
Chair
Fairway
Private
Equity
& Venture
Capital
Opportunities
Fund
(investment
company) |
Michael
Day
Born
October 23, 1957
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2021 |
●Until
successor is
duly
elected and
qualified |
●From
2019 to 2023,
President
and Chief
Executive
Officer, Topa
Insurance
Group
(insurance
company)
|
39 |
●From
2016 to
2023,
Director,
Topa
Insurance
Group
(insurance
company)
●From
2020 to
2022,
Director,
Puppet,
Inc.
(information
technology
company)
●Director,
Somos,
Inc.
(information
technology
company)
●Until
2019,
Director,
Recology
(waste
management
company) |
Julie
Dien Ledoux
Born
August 17, 1969
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2019
●Vice
Chairman
since
2023 |
●Until
successor is
duly
elected and
qualified
●Approved
Annually |
●Retired |
39 |
None |
Name,
Age, Address |
Position(s)
Held
With
Fund and
Length
of
Time
Served |
Term
of Office* |
Principal
Occupation(s)
During
the Past 5 Years |
No.
of Portfolios
in
Russell Investments
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustee
During
the Past 5
Years |
INDEPENDENT
TRUSTEES |
|
|
|
| |
Jeremy
May
Born
March 30, 1970
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2021 |
●Until
successor is
duly
elected and
qualified |
●Founder
and Chief
Executive
Officer,
Paralel
Technologies
LLC
(information
technology
company)
●Director,
TFIN.AI LLC
(financial
services
company)
●Until
March 2021, Chief
Operating
Officer of
Magnifi
LLC
(information
technology
company)
●Until
2019, President
ALPS
Portfolio
Solutions
and Executive
Vice
President of ALPS
Advisors
and ALPS
Holdings
(investment
company) |
39 |
●Director,
TFIN.AI
LLC
(financial
services
company)
●Trustee
and
Chairman
of Bow
River
Capital
Evergreen
Fund
(investment
company)
●Until
November
2022,
Trustee and
Chairman
of New
Age
Alpha ETF
Trust
(investment
company)
●Until
March
2021,
Interested
Director
of
Reaves
Utility
Income
Trust
(investment
company)
●Until
February
2021,
Interested
Director
of ALPS
Series
Trust
(investment
company)
●Until
2019,
Interested
Director
of
RiverNorth
Opportunities
Fund
(investment
company) |
Ellen
Needham
Born
January 4, 1967
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2024 |
●Until
successor is
duly
elected and
qualified |
●Retired
●Until
2023, Senior
Managing
Director,
State
Street Global
Advisors;
Chairman,
SSGA
Funds
Management,
Inc.;
President
and Director,
SSGA
Funds
Management,
Inc., and
Director,
State Street
Global
Advisors, Funds
Distributors,
LLC
(financial
services
companies) |
39 |
●Trustee
of The
2023
ETF Series
Trust
(investment
company)
●Trustee
of The
2023
ETF Series
Trust
II
(investment
company)
●Until
2023,
Interested
Trustee
of
State Street
Navigator
Securities
Lending
Trust,
State
Street
Institutional
Investment
Trust,
State
Street
Institutional
Funds,
State
Street
Master
Funds,
SSGA
Funds
and Elfun
Funds
(investment
companies)
●Until
2023,
Interested
Director
of State
Street
Variable
Insurance
Series
Funds,
Inc.
(investment
company) |
Name,
Age, Address |
Position(s)
Held
With
Fund and
Length
of
Time
Served |
Term
of Office* |
Principal
Occupation(s)
During
the Past 5 Years |
No.
of Portfolios
in
Russell Investments
Fund
Complex
Overseen
by
Trustee |
Other
Directorships
Held
by Trustee
During
the Past 5
Years |
INDEPENDENT
TRUSTEES |
|
|
|
| |
Jeannie
Shanahan
Born
February 15, 1964
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2021
●Chairman
of the
Regulatory
and
Investment
Compliance
Committee
since
2023 |
●Until
successor is
duly
elected and
qualified
●Until
successor is
duly
elected and
qualified |
●Until
2021, President of
Twin
Star Consulting,
LLC
(consulting
company) |
39 |
None |
Raymond
P. Tennison, Jr.
Born
December 21, 1955
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2000
●Chairman
since
2021 |
●Until
successor is
duly
elected and
qualified
●Approved
Annually |
●Retired |
39 |
None |
Jack
R. Thompson
Born
March 21, 1949
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Trustee
since
2005
●Chairman
of the
Nominating
and
Governance
Committee
since
2021 |
●Until
successor is
duly
elected and
qualified
●Until
successor is
duly
elected and
qualified |
●Retired |
39 |
None |
Name,
Age, Address |
Position(s)
Held
With
Fund
and
Length
of
Time Served |
Term
of Office |
Principal
Occupation(s)
During
the Past 5 Years |
OFFICERS |
|
| |
Vernon
Barback
Born
August 24, 1956
1301
Second Avenue,
18th
Floor,
Seattle,
WA 98101 |
●President
and Chief
Executive
Officer
since
2022 |
●Until
successor is
chosen
and qualified
by
Trustees |
●President
and CEO, RIC and RIF
●Vice
Chairman, Russell Investments
●From
2022 to 2024, Chief Operating Officer, Russell
Investments
●From
2021 to 2022, Chief Administrative Officer, Russell
Investments
●From
2019 to 2021, Vice Chairman, Russell Investments
●Until
2020, Director, NorthStar Topco, LLC (technology
and
services outsourcing company)
●From
2016 to 2019, President, Russell Investments |
Cheryl
Wichers
Born
December 16, 1966
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Chief
Compliance
Officer
since 2005 |
●Until
removed by
Independent
Trustees |
●Chief
Compliance Officer, RIC and RIF
●Chief
Compliance Officer, Russell Investments Fund
Services,
LLC (“RIFUS”)
●Chief
Compliance Officer, Venerable Variable Insurance
Trust |
Kari
Seabrands
Born
September 9, 1969
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Treasurer,
Chief
Accounting
Officer
and
Chief Financial
Officer
since 2023 |
●Until
successor is
chosen
and qualified
by
Trustees |
●Senior
Director, Head of Global Fund Services, Russell
Investments
●Until
2023, Director, Fund Administration, Russell
Investments
●Treasurer,
Chief Accounting Officer and Chief Financial
Officer,
RIC and RIF
●Director,
Russell Investments Financial Services, LLC
(“RIFIS”)
and RIFUS |
Kate
El-Hillow
Born
August 17, 1974
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Chief
Investment
Officer
since 2021 |
●Until
removed by
Trustees |
●Chief
Investment Officer and President, Russell
Investments
●Chief
Investment Officer, RIC and RIF
●President,
RIM
●Until
2021, Deputy Chief Investment Officer, Senior
Portfolio
Manager, Head of Strategy Selection and Head of
Portfolio
Management & Risk, Goldman Sachs
|
Mary
Beth Albaneze
Born
April 25, 1969
1301
Second Avenue,
18th
Floor
Seattle,
WA 98101 |
●Secretary
and Chief
Legal
Officer since
2010 |
●Until
successor is
chosen
and qualified
by
Trustees |
●Associate
General Counsel, Russell Investments
●Secretary,
RIM, RIFUS and RIFIS
●Secretary
and Chief Legal Officer, RIC and RIF
●Secretary,
U.S. One, LLC |
|
AGGREGATE
COMPENSATION
FROM
RIC |
PENSION
OR
RETIREMENT
BENEFITS
ACCRUED
AS
PART OF RIC
EXPENSES |
ESTIMATED
ANNUAL
BENEFITS
UPON
RETIREMENT |
TOTAL
COMPENSATION
FROM
RIC AND
RUSSELL
INVESTMENTS
FUND
COMPLEX
PAID
TO TRUSTEES |
INTERESTED
TRUSTEE |
|
|
|
|
Vernon
Barback |
N/A |
N/A |
N/A |
N/A |
INDEPENDENT
TRUSTEES |
|
|
|
|
Kristianne
Blake1
|
$43,427
|
$0
|
$0
|
$47,500
|
Michelle
L. Cahoon |
$221,391
|
$0
|
$0
|
$242,000
|
Michael
Day |
$209,954
|
$0
|
$0
|
$229,500
|
Katherine
W. Krysty2
|
$191,628
|
$0
|
$0
|
$209,500
|
Julie
Dien Ledoux |
$248,074
|
$0
|
$0
|
$271,167
|
Ellen
Needham3
|
N/A |
N/A |
N/A |
N/A |
Jeremy
May |
$213,156
|
$0
|
$0
|
$233,000
|
Jeannie
Shanahan |
$216,664
|
$0
|
$0
|
$236,833
|
Raymond
P. Tennison, Jr. |
$307,844
|
$0
|
$0
|
$336,500
|
Jack
R. Thompson |
$233,430
|
$0
|
$0
|
$255,167 |
|
DOLLAR
RANGE OF EQUITY
SECURITIES
IN EACH FUND |
AGGREGATE
DOLLAR
RANGE
OF
EQUITY
SECURITIES
IN
ALL REGISTERED
INVESTMENT
COMPANIES
OVERSEEN
BY
TRUSTEES IN
RUSSELL
INVESTMENTS
FUND
COMPLEX | |
INTERESTED
TRUSTEE | |||
Vernon
Barback |
Multifactor
U.S. Equity Fund
|
$1-$10,000 |
Over
$100,000 |
Equity
Income Fund |
$1-$10,000 | ||
Sustainable
Equity Fund
|
$1-$10,000 | ||
U.S.
Strategic Equity Fund
|
$1-$10,000 | ||
U.S.
Small Cap Equity Fund
|
$1-$10,000 | ||
Multifactor
International Equity Fund
|
$1-$10,000 | ||
International
Developed Markets Fund
|
$1-$10,000 | ||
Global
Equity Fund |
$1-$10,000 | ||
Emerging
Markets Fund
|
$1-$10,000 | ||
Tax-Managed
U.S. Large Cap Fund
|
$10,001-$50,000 | ||
Tax-Managed
U.S. Mid & Small Cap Fund
|
$10,001-$50,000 | ||
Tax-Managed
International Equity Fund
|
$10,001-$50,000 | ||
Tax-Managed
Real Assets Fund
|
$1-$10,000 | ||
Opportunistic
Credit Fund
|
$1-$10,000 | ||
Strategic
Bond Fund
|
$1-$10,000 | ||
Investment
Grade Bond Fund
|
$1-$10,000 | ||
Short
Duration Bond Fund
|
$1-$10,000 | ||
Tax-Exempt
High Yield Bond Fund
|
$1-$10,000 | ||
Tax-Exempt
Bond Fund
|
$1-$10,000 | ||
Global
Infrastructure Fund |
$1-$10,000 | ||
Global
Real Estate Securities Fund
|
$1-$10,000 | ||
Multi-Strategy
Income Fund
|
$1-$10,000 | ||
Multi-Asset
Growth Strategy Fund
|
$1-$10,000 | ||
INDEPENDENT
TRUSTEES | |||
Michelle
L. Cahoon |
Tax-Managed
U.S. Large Cap Fund |
$10,001-$50,000 |
Over
$100,000 |
Tax-Managed
U.S. Mid & Small Cap Fund |
$10,001-$50,000 | ||
Tax-Exempt
High Yield Bond Fund |
$10,001-$50,000 | ||
Michael
Day |
None |
None |
None |
Julie
Dien Ledoux |
U.S.
Strategic Equity Fund |
Over
$100,000 |
Over
$100,000 |
Tax-Managed
U.S. Large Cap Fund |
$50,001-$100,000 | ||
Jeremy
May |
None |
None |
None |
Ellen
Needham* |
None |
None |
None |
Jeannie
Shanahan |
None |
None |
None |
Raymond
P. Tennison, Jr. |
Sustainable
Equity Fund |
Over
$100,000 |
Over
$100,000 |
Tax-Exempt
Bond Fund |
$50,001-$100,000 | ||
Global
Real Estate Securities Fund |
$50,001-$100,000 | ||
Jack
R. Thompson |
Tax-Exempt
High Yield Bond Fund |
Over
$100,000 |
Over
$100,000 |
Adviser |
Russell
Investment Management, LLC (“RIM”) |
Administrator
and Transfer and Dividend
Disbursing
Agent |
Russell
Investments Fund Services, LLC
(“RIFUS”) |
Money
Managers |
Multiple
professional discretionary
and/or non-discretionary
investment
management
organizations |
Custodian
and Portfolio Accountant
|
State
Street Bank and Trust Company
|
Distributor
and Principal Underwriter |
Russell
Investments Financial Services, LLC
(“RIFIS”) |
Independent
Registered Public Accounting Firm |
PricewaterhouseCoopers
LLP |
Fund |
Asset
Level |
Fee |
Multifactor
U.S. Equity Fund |
All
assets |
0.30% |
Equity
Income Fund |
All
assets |
0.55% |
Sustainable
Equity Fund |
All
assets |
0.55% |
U.S.
Strategic Equity Fund |
First
$1.0 billion |
0.58% |
Next
$2.0 billion |
0.54% | |
Next
$3.0 billion |
0.51% | |
In
excess of $6.0 billion |
0.49% | |
U.S.
Small Cap Equity Fund |
All
assets |
0.70% |
Multifactor
International Equity Fund |
All
assets |
0.45% |
International
Developed Markets Fund |
All
assets |
0.70% |
Global
Equity Fund |
First
$1.0 billion |
0.73% |
Next
$2.0 billion |
0.69% | |
Next
$3.0 billion |
0.66% | |
In
excess of $6.0 billion |
0.64% | |
Emerging
Markets Fund |
First
$1.0 billion |
0.93% |
Next
$2.0 billion |
0.89% | |
Next
$3.0 billion |
0.86% | |
In
excess of $6.0 billion |
0.84% | |
Tax-Managed
U.S. Large Cap Fund |
First
$1.0 billion |
0.70% |
Next
$2.0 billion |
0.66% | |
Next
$3.0 billion |
0.63% | |
Next
$2.0 billion |
0.61% | |
In
excess of $8.0 billion |
0.59% | |
Tax-Managed
U.S. Mid & Small Cap Fund |
First
$1.0 billion |
0.98% |
Next
$2.0 billion |
0.94% | |
Next
$3.0 billion |
0.91% | |
In
excess of $6.0 billion |
0.89% | |
Tax-Managed
International Equity Fund |
First
$1.0 billion |
0.85% |
Next
$2.0 billion |
0.81% | |
Next
$3.0 billion |
0.78% | |
In
excess of $6.0 billion |
0.76% | |
Tax-Managed
Real Assets Fund |
First
$1.0 billion |
0.85% |
Next
$2.0 billion |
0.81% | |
Next
$3.0 billion |
0.78% | |
In
excess of $6.0 billion |
0.76% | |
Opportunistic
Credit Fund |
First
$1.0 billion |
0.58% |
Next
$2.0 billion |
0.54% | |
Next
$3.0 billion |
0.51% | |
In
excess of $6.0 billion |
0.49% | |
Long
Duration Bond Fund |
All
assets |
0.15% |
Fund |
Asset
Level |
Fee |
Strategic
Bond Fund |
First
$1.0 billion |
0.40% |
Next
$2.0 billion |
0.36% | |
Next
$3.0 billion |
0.33% | |
In
excess of $6.0 billion |
0.31% | |
Investment
Grade Bond Fund |
All
assets |
0.25% |
Short
Duration Bond Fund |
First
$1.0 billion |
0.35% |
Next
$2.0 billion |
0.31% | |
Next
$3.0 billion |
0.28% | |
In
excess of $6.0 billion |
0.26% | |
Tax-Exempt
High Yield Bond Fund |
All
assets |
0.47% |
Tax-Exempt
Bond Fund |
All
assets |
0.30% |
Global
Infrastructure Fund |
First
$1.0 billion |
0.85% |
Next
$2.0 billion |
0.81% | |
Next
$3.0 billion |
0.78% | |
In
excess of $6.0 billion |
0.76% | |
Global
Real Estate Securities Fund |
First
$1.0 billion |
0.80% |
Next
$2.0 billion |
0.76% | |
Next
$3.0 billion |
0.73% | |
In
excess of $6.0 billion |
0.71% | |
Real
Assets Fund |
First
$1.0 billion |
0.75% |
Next
$2.0 billion |
0.71% | |
Next
$3.0 billion |
0.68% | |
In
excess of $6.0 billion |
0.66% | |
Multi-Strategy
Income Fund |
First
$1.0 billion |
0.53% |
Next
$2.0 billion |
0.49% | |
Next
$3.0 billion |
0.46% | |
In
excess of $6.0 billion |
0.44% | |
Multi-Asset
Growth Strategy Fund |
First
$1.0 billion |
0.72% |
Next
$2.0 billion |
0.68% | |
Next
$3.0 billion |
0.65% | |
In
excess of $6.0 billion |
0.63% |
|
$
Amount Paid |
Annual
rate
(as
a % of average daily net assets) | ||||
Fund |
2023 |
2022 |
2021 |
2023 |
2022 |
2021 |
Multifactor
U.S. Equity Fund |
$1,672,647
|
$2,035,710
|
$2,005,341
|
0.30% |
0.30% |
0.30% |
Equity
Income Fund |
1,126,130 |
1,356,912 |
$1,359,618
|
0.55% |
0.55% |
0.55% |
Sustainable
Equity Fund |
1,053,543 |
1,367,885 |
1,582,943 |
0.55% |
0.55% |
0.55% |
U.S.
Strategic Equity Fund |
22,122,462 |
26,027,340 |
27,261,609 |
0.72% |
0.72% |
0.71% |
U.S.
Small Cap Equity Fund |
6,137,153 |
8,766,300 |
10,736,501 |
0.70% |
0.70% |
0.70% |
Multifactor
International Equity Fund |
1,152,759 |
1,384,791 |
1,917,913 |
0.45% |
0.45% |
0.45% |
International
Developed Markets Fund |
9,202,327 |
12,395,738 |
13,957,953 |
0.70% |
0.70% |
0.70% |
|
$
Amount Paid |
Annual
rate
(as
a % of average daily net assets) | ||||
Fund |
2023 |
2022 |
2021 |
2023 |
2022 |
2021 |
Global
Equity Fund |
14,189,911 |
10,767,545 |
9,552,543 |
0.94% |
0.94% |
0.94% |
Emerging
Markets Fund |
9,363,371 |
12,518,176 |
16,338,740 |
1.15% |
1.15% |
1.14% |
Tax-Managed
U.S. Large Cap Fund |
42,824,021 |
39,071,388 |
34,592,230 |
0.65% |
0.65% |
0.65% |
Tax-Managed
U.S. Mid & Small Cap
Fund |
13,395,218 |
12,791,220 |
11,833,788 |
0.97% |
0.97% |
0.97% |
Tax-Managed
International Equity
Fund |
25,773,294 |
22,871,222 |
20,729,139 |
0.82% |
0.82% |
0.83% |
Tax-Managed
Real Assets Fund |
7,202,508 |
7,102,903 |
5,491,562 |
0.85% |
0.85% |
0.85% |
Opportunistic
Credit Fund |
5,538,495 |
6,798,445 |
6,911,287 |
1.00% |
1.00% |
1.00% |
Long
Duration Bond Fund |
78,956 |
49,752 |
82,770 |
0.15% |
0.15% |
0.15% |
Strategic
Bond Fund |
11,649,216 |
16,392,533 |
17,130,690 |
0.48% |
0.47% |
0.47% |
Investment
Grade Bond Fund |
2,622,972 |
1,588,412 |
1,940,521 |
0.25% |
0.25% |
0.25% |
Short
Duration Bond Fund |
1,728,480 |
1,844,858 |
1,912,946 |
0.45% |
0.45% |
0.45% |
Tax-Exempt
High Yield Bond Fund |
8,376,249 |
8,209,684 |
6,914,605 |
0.50% |
0.50% |
0.50% |
Tax-Exempt
Bond Fund |
13,807,118 |
12,946,562 |
11,022,475 |
0.30% |
0.30% |
0.30% |
Global
Infrastructure Fund |
2,529,811 |
1,064,967 |
1,477,154 |
1.25% |
1.25% |
1.25% |
Global
Real Estate Securities Fund |
3,482,926 |
5,665,738 |
5,541,802 |
0.80% |
0.80% |
0.80% |
Real
Assets Fund(1)
|
N/A |
N/A |
N/A |
N/A |
N/A |
N/A |
Multi-Strategy
Income Fund |
2,816,548 |
3,814,110 |
5,459,819 |
0.75% |
0.75% |
0.75% |
Multi-Asset
Growth Strategy Fund |
5,304,885 |
7,262,711 |
10,312,408 |
0.85% |
0.85% |
0.84% |
|
$
Amount Retained |
Annual
rate
(as
a % of average daily net assets) | ||||
Fund |
2023 |
2022 |
2021 |
2023 |
2022 |
2021 |
Equity
Income Fund |
$978,328
|
$1,206,683
|
$1,211,521
|
0.48% |
0.49% |
0.49% |
Sustainable
Equity Fund |
787,686
|
1,023,617
|
1,183,746
|
0.41% |
0.41% |
0.41% |
U.S.
Strategic Equity Fund |
19,236,186
|
23,652,774
|
24,883,122
|
0.63% |
0.65% |
0.65% |
U.S.
Small Cap Equity Fund |
3,893,487
|
5,603,164
|
6,862,507
|
0.44% |
0.45% |
0.45% |
International
Developed Markets Fund |
7,570,424
|
10,069,398
|
11,260,540
|
0.58% |
0.57% |
0.56% |
Global
Equity Fund |
12,057,978
|
9,032,064
|
7,992,555
|
0.80% |
0.79% |
0.79% |
Emerging
Markets Fund |
7,303,482
|
9,628,388
|
12,660,113
|
0.90% |
0.88% |
0.88% |
Tax-Managed
U.S. Large Cap Fund |
37,737,605
|
33,994,452
|
29,778,467
|
0.57% |
0.57% |
0.56% |
Tax-Managed
U.S. Mid & Small Cap Fund |
11,172,949
|
10,704,170
|
9,887,672
|
0.81% |
0.81% |
0.81% |
Tax-Managed
International Equity Fund |
21,553,340
|
19,022,063
|
17,118,531
|
0.69% |
0.69% |
0.68% |
Tax-Managed
Real Assets Fund |
5,507,193
|
5,475,090
|
4,263,275
|
0.65% |
0.66% |
0.66% |
Opportunistic
Credit Fund |
4,607,331
|
5,679,543
|
5,788,601
|
0.83% |
0.84% |
0.84% |
Strategic
Bond Fund |
10,550,343
|
14,941,686
|
15,699,010
|
0.43% |
0.43% |
0.43% |
Investment
Grade Bond Fund |
2,315,461
|
1,386,016
|
1,690,333
|
0.22% |
0.22% |
0.22% |
Short
Duration Bond Fund |
1,615,180
|
1,720,974
|
1,802,785
|
0.42% |
0.42% |
0.42% |
Tax-Exempt
High Yield Bond Fund |
5,322,745
|
5,216,299
|
4,324,323
|
0.32% |
0.32% |
0.31% |
Tax-Exempt
Bond Fund |
9,877,934
|
9,265,105
|
7,791,782
|
0.21% |
0.21% |
0.21% |
Global
Infrastructure Fund |
2,077,425
|
861,836
|
1,213,204
|
1.03% |
1.01% |
1.03% |
Global
Real Estate Securities Fund |
2,830,661
|
4,623,074
|
4,540,025
|
0.65% |
0.65% |
0.66% |
Real
Assets Fund(1)
|
N/A |
N/A |
N/A |
N/A |
N/A |
N/A |
Multi-Strategy
Income Fund |
1,943,522
|
2,557,199
|
3,592,262
|
0.52% |
0.50% |
0.49% |
Multi-Asset
Growth Strategy Fund |
3,726,280
|
5,149,466
|
7,291,286
|
0.60% |
0.60% |
0.60% |
|
$
Amount Paid |
Annual
rate
(as
a % of average daily net assets) | ||||
Fund |
2023 |
2022 |
2021 |
2023 |
2022 |
2021 |
Multifactor
U.S. Equity Fund |
$269,794
|
$327,149
|
$322,180
|
0.05% |
0.05% |
0.05% |
Equity
Income Fund |
99,084 |
118,982 |
118,860 |
0.05% |
0.05% |
0.05% |
Sustainable
Equity Fund |
92,694 |
119,909 |
138,376 |
0.05% |
0.05% |
0.05% |
U.S.
Strategic Equity Fund |
1,482,069 |
1,753,181 |
1,840,502 |
0.05% |
0.05% |
0.05% |
U.S.
Small Cap Equity Fund |
424,254 |
603,721 |
737,570 |
0.05% |
0.05% |
0.05% |
Multifactor
International Equity Fund |
123,958 |
148,369 |
205,685 |
0.05% |
0.05% |
0.05% |
International
Developed Markets Fund |
636,128 |
853,770 |
961,584 |
0.05% |
0.05% |
0.05% |
Global
Equity Fund |
733,232 |
549,407 |
487,125 |
0.05% |
0.05% |
0.05% |
Emerging
Markets Fund |
394,006 |
525,043 |
692,722 |
0.05% |
0.05% |
0.05% |
Tax-Managed
U.S. Large Cap Fund |
3,198,775 |
2,893,735 |
2,546,954 |
0.05% |
0.05% |
0.05% |
Tax-Managed
U.S. Mid & Small Cap Fund |
668,941 |
635,774 |
586,305 |
0.05% |
0.05% |
0.05% |
Tax-Managed
International Equity Fund |
1,518,667 |
1,337,984 |
1,209,609 |
0.05% |
0.05% |
0.05% |
Tax-Managed
Real Assets Fund |
410,022 |
403,088 |
311,416 |
0.05% |
0.05% |
0.05% |
Opportunistic
Credit Fund |
268,008 |
327,872 |
333,205 |
0.05% |
0.05% |
0.05% |
Long
Duration Bond Fund |
25,487 |
15,991 |
26,640 |
0.05% |
0.05% |
0.05% |
Strategic
Bond Fund |
1,183,406 |
1,692,511 |
1,774,874 |
0.05% |
0.05% |
0.05% |
Investment
Grade Bond Fund |
507,668 |
306,265 |
374,370 |
0.05% |
0.05% |
0.05% |
Short
Duration Bond Fund |
185,888 |
197,817 |
205,044 |
0.05% |
0.05% |
0.05% |
Tax-Exempt
High Yield Bond Fund |
810,626 |
791,986 |
666,695 |
0.05% |
0.05% |
0.05% |
Tax-Exempt
Bond Fund |
2,226,936 |
2,081,599 |
1,766,568 |
0.05% |
0.05% |
0.05% |
Global
Infrastructure Fund |
97,914 |
41,087 |
57,011 |
0.05% |
0.05% |
0.05% |
Global
Real Estate Securities Fund |
210,685 |
341,406 |
333,006 |
0.05% |
0.05% |
0.05% |
Real
Assets Fund(1)
|
N/A |
N/A |
N/A |
N/A |
N/A |
N/A |
Multi-Strategy
Income Fund |
181,723 |
245,140 |
351,189 |
0.05% |
0.05% |
0.05% |
Multi-Asset
Growth Strategy Fund |
302,003 |
411,952 |
590,816 |
0.05% |
0.05% |
0.05% |
Each
Fund (other than those set forth below) |
Performance
is generally assessed 50% relative to the
Fund’s
primary or secondary benchmark index and 50%
relative
to the Fund’s relevant peer group. |
RIC
Tax-Managed U.S. Large Cap Fund and RIC
Tax-Managed
U.S. Mid & Small Cap Fund |
Performance
is generally assessed 75% relative to the
Fund’s
primary or secondary benchmark index and 25%
relative
to the Fund’s relevant peer group. |
Tax-Managed
Real Assets Fund, Global Infrastructure
Fund,
Global Real Estate Securities Fund and Real
Assets
Fund
|
Performance
is generally assessed relative to the Fund’s
primary
or secondary benchmark index. |
Multi-Strategy
Income Fund and Multi-Asset Growth
Strategy
Fund |
Performance
is generally assessed relative to the Fund’s
custom
composite index. |
Multifactor
U.S. Equity Fund |
Russell
1000®
Index |
Morningstar
Large Blend | |
Equity
Income Fund |
Equity
Income Linked Benchmark1
|
Morningstar
Large Value | |
Sustainable
Equity Fund |
Sustainable
Equity Linked Benchmark2
|
Morningstar
Large Blend | |
U.S.
Strategic Equity Fund |
Russell
1000®
Index |
Morningstar
Large Blend | |
U.S.
Small Cap Equity Fund |
Russell
2000®
Index |
Morningstar
Small Blend | |
Multifactor
International Equity Fund |
Multifactor
International Equity Linked
Benchmark3
|
Morningstar
Foreign Large Blend | |
International
Developed Markets Fund |
International
Developed Markets Linked
Benchmark4
|
Morningstar
Foreign Large Blend |
Global
Equity Fund |
Global
Equity Linked Benchmark5
|
Morningstar
Global Large Stock | |
Emerging
Markets Fund |
Emerging
Markets Linked Benchmark6
|
Morningstar
Diversified Emerging Markets | |
Tax-Managed
U.S. Large Cap Fund |
S&P
500®
Index |
Morningstar
Large Blend | |
Tax-Managed
U.S. Mid & Small Cap Fund |
Russell
2500®
Index |
Morningstar
Small Blend | |
Tax-Managed
International Equity Fund |
Tax-Managed
International Equity Linked
Benchmark7
|
Blend
of Morningstar Foreign Large Blend and
Diversified
Emerging Markets | |
Tax-Managed
Real Assets Fund |
Tax-Managed
Real Assets Blended Benchmark8
|
Opportunistic
Credit Fund |
Opportunistic
Credit Linked Benchmark9
|
Morningstar
Multisector Bond | |
Long
Duration Bond Fund |
Long
Duration Bond Linked Benchmark10
|
Morningstar
Long Government | |
Strategic
Bond Fund |
Bloomberg
U.S. Aggregate Bond Index |
Morningstar
Intermediate Core-Plus Bond | |
Investment
Grade Bond Fund |
Bloomberg
U.S. Aggregate Bond Index |
Morningstar
Intermediate Core Bond | |
Short
Duration Bond Fund |
ICE
BofA 1-3 Year US Treasury Index |
Morningstar
Short-Term Bond | |
Tax-Exempt
High Yield Bond Fund |
60%
Bloomberg Municipal High Yield Index/40%
Bloomberg
Municipal Bond Index |
Morningstar
High Yield Municipal Bond | |
Tax-Exempt
Bond Fund |
Bloomberg
Municipal 1-15 Yr Blend (1-17) Index
|
Morningstar
Muni National Interm | |
Global
Infrastructure Fund |
S&P
Global Infrastructure Index |
Global
Real Estate Securities Fund |
FTSE
EPRA Nareit Developed Index (net) |
Real
Assets Fund |
MSCI
World Net Dividend Index |
Multi-Strategy
Income Fund |
Multi-Strategy
Income Composite Index11
|
Multi-Asset
Growth Strategy Fund |
Multi-Asset
Growth Strategy Composite Index12
|
RIM
Managers Of The Funds |
Dollar
Range Of Equity Securities In The
Funds
Managed By The RIM Manager | |
Rob
Balkema |
$1-$10,000 |
Multi-Strategy
Income Fund |
$10,001-$50,000 |
Multi-Asset
Growth Strategy Fund | |
Jon
Eggins |
$100,001-$500,000 |
Global
Equity Fund |
$10,001-$50,000 |
International
Developed Markets Fund | |
$100,001-$500,000 |
Tax-Managed
International Equity Fund | |
Bruce
A. Eidelson |
$100,001-$500,000 |
Global
Real Estate Securities Fund |
Gerard
Fitzpatrick |
None |
Strategic
Bond Fund |
None |
Short
Duration Bond Fund | |
None |
Tax-Exempt
Bond Fund | |
None |
Tax-Exempt
High Yield Bond Fund | |
Nick
Haupt |
None |
Multifactor
U.S. Equity Fund |
None |
Equity
Income Fund | |
None |
Sustainable
Equity Fund | |
None |
U.S.
Strategic Equity Fund | |
None |
U.S.
Small Cap Equity Fund | |
None |
Tax-Managed
U.S. Large Cap Fund | |
None |
Tax-Managed
U.S. Mid & Small Cap Fund | |
Albert
Jalso |
None |
Long
Duration Bond Fund |
$1-$10,000 |
Strategic
Bond Fund | |
$1-$10,000 |
Investment
Grade Bond Fund | |
$1-$10,000 |
Opportunistic
Credit Fund | |
$10,001-$50,000 |
Tax-Exempt
Bond Fund | |
$50,001-$100,000 |
Tax-Exempt
High Yield Bond Fund | |
Jordan
McCall |
None |
Multifactor
International Equity Fund |
$10,001-$50,000 |
Global
Equity Fund | |
None |
International
Developed Markets Fund | |
$1-$10,000 |
Tax-Managed
International Equity Fund | |
Patrick
Nikodem |
None |
Tax-Managed
Real Assets Fund |
None |
Global
Infrastructure Fund | |
$1-$10,000 |
Global
Real Estate Securities Fund | |
None |
Real
Assets Fund*
| |
Megan
Roach |
None |
Equity
Income Fund |
$1-$10,000 |
Sustainable
Equity Fund | |
None |
U.S.
Strategic Equity Fund | |
$1-$10,000 |
U.S.
Small Cap Equity Fund | |
$50,001-$100,000 |
Tax-Managed
U.S. Large Cap Fund | |
$1-$10,000 |
Tax-Managed
U.S. Mid & Small Cap Fund | |
Riti
Samanta#
|
None |
Long
Duration Bond Fund |
None |
Short
Duration Bond Fund | |
Soeren
Soerensen |
None |
Emerging
Markets Fund |
Andrew
Zenonos |
None |
Multifactor
U.S. Equity Fund |
None |
Multifactor
International Equity Fund | |
Nick
Zylkowski |
$10,001-$50,000 |
Multifactor
U.S. Equity Fund |
$10,001-$50,000 |
Multifactor
International Equity Fund |
RIM
Manager |
Number
of
Registered
Investment
Companies |
Assets
Under
Management
(in
millions) |
Number
of
Pooled
Investment
Vehicles |
Assets
Under
Management
(in
millions) |
Other
Types
of
Accounts |
Assets
Under
Management
(in
millions) |
Asset
Total
(in
millions) |
Rob
Balkema |
- |
- |
32 |
$11,875.3 |
13 |
$11,172.3 |
$23,047.6 |
Jon
Eggins |
1 |
$305.9 |
- |
- |
5 |
$1,892.4 |
$2,198.3 |
Bruce
A. Eidelson |
1 |
$799.3 |
6 |
$2,675.6 |
1 |
$613.2 |
$4,088.1 |
Gerard
Fitzpatrick |
- |
- |
- |
$4,457.8 |
4 |
$3,126.9 |
$7,584.7 |
Nick
Haupt |
2 |
$686.0 |
10 |
$2,364.4 |
- |
- |
$3,050.4 |
Albert
Jalso |
1 |
$810.1 |
10 |
$7,632.5 |
9 |
$10,550.7 |
$18,993.3 |
Jordan
McCall |
1 |
$306.0 |
8 |
$2,174.1 |
- |
$2,480.1 |
$4,960.2 |
|
|
|
1* |
$316.9 |
|
|
|
Patrick
Nikodem |
1 |
$799.3 |
11 |
$2,862.7 |
2 |
$226.4 |
$3,888.4 |
|
|
|
1* |
$247.6 |
|
|
|
Megan
Roach |
2 |
$686.0 |
14 |
$3,026.2 |
5 |
$1,678.4 |
$5,390.6 |
Riti
Samanta#
|
- |
- |
4 |
$667.6 |
- |
- |
$667.6 |
Soeren
Soerensen |
- |
- |
- |
- |
- |
- |
- |
Andrew
Zenonos |
- |
- |
15 |
$4,998.6 |
- |
- |
$4,998.6 |
Nick
Zylkowski |
- |
- |
8 |
$3,583.9 |
- |
- |
$3,583.9 |
|
$
Amount Paid |
Annual
rate
(as
a % of average daily net assets) | ||||
Fund |
2023 |
2022 |
2021 |
2023 |
2022 |
2021 |
Equity
Income Fund |
$147,802 |
$150,229 |
$148,097 |
0.07% |
0.06% |
0.06% |
Sustainable
Equity Fund |
265,857
|
344,268
|
399,197
|
0.14% |
0.14% |
0.14% |
U.S.
Strategic Equity Fund |
2,886,276
|
2,374,567
|
2,378,487
|
0.09% |
0.07% |
0.06% |
U.S.
Small Cap Equity Fund |
2,243,666
|
3,163,137
|
3,873,994
|
0.26% |
0.25% |
0.25% |
International
Developed Markets Fund |
1,631,903
|
2,326,340
|
2,697,413
|
0.12% |
0.13% |
0.14% |
Global
Equity Fund |
2,131,933
|
1,735,481
|
1,559,988
|
0.14% |
0.15% |
0.15% |
Emerging
Markets Fund |
2,059,889
|
2,889,788
|
3,678,627
|
0.25% |
0.26% |
0.26% |
Tax-Managed
U.S. Large Cap Fund |
5,086,416
|
5,076,936
|
4,813,763
|
0.08% |
0.08% |
0.09% |
Tax-Managed
U.S. Mid & Small Cap Fund |
2,222,269
|
2,087,050
|
1,946,116
|
0.16% |
0.16% |
0.16% |
Tax-Managed
International Equity Fund |
4,219,954
|
3,849,159
|
3,610,608
|
0.13% |
0.14% |
0.14% |
Tax-Managed
Real Assets Fund |
1,695,315
|
1,627,813
|
1,228,287
|
0.20% |
0.19% |
0.19% |
Opportunistic
Credit Fund |
931,164
|
1,118,902
|
1,122,686
|
0.17% |
0.16% |
0.16% |
Strategic
Bond Fund |
1,098,873
|
1,450,846
|
1,431,680
|
0.04% |
0.04% |
0.04% |
Investment
Grade Bond Fund |
307,511
|
202,396
|
250,188
|
0.03% |
0.03% |
0.03% |
Short
Duration Bond Fund |
113,300
|
123,884
|
110,161
|
0.03% |
0.03% |
0.03% |
Tax-Exempt
High Yield Bond Fund |
3,053,504
|
2,993,385
|
2,590,282
|
0.18% |
0.18% |
0.19% |
Tax-Exempt
Bond Fund |
3,929,184
|
3,681,457
|
3,230,693
|
0.09% |
0.09% |
0.09% |
Global
Infrastructure Fund |
452,386
|
203,132
|
263,950
|
0.22% |
0.24% |
0.22% |
Global
Real Estate Securities Fund |
652,265
|
1,042,664
|
1,001,777
|
0.15% |
0.15% |
0.14% |
Real
Assets Fund(1)
|
N/A |
N/A |
N/A |
N/A |
N/A |
N/A |
Multi-Strategy
Income Fund |
873,026
|
1,256,911
|
1,867,557
|
0.23% |
0.25% |
0.26% |
Multi-Asset
Growth Strategy Fund |
1,578,605
|
2,113,245
|
3,021,122
|
0.25% |
0.25% |
0.25% |
Fund
and Class
|
Amount
Waived |
Multifactor
U.S. Equity Fund - Class M |
0.15% |
Multifactor
U.S. Equity Fund - Class R6 |
0.02% |
Equity
Income Fund – Class M |
0.10% |
Equity
Income Fund – Class R6 |
0.02% |
Equity
Income Fund – Class S |
0.04% |
Sustainable
Equity Fund – Class M |
0.10% |
Sustainable
Equity Fund – Class R6 |
0.02% |
Sustainable
Equity Fund – Class S |
0.04% |
U.S.
Strategic Equity Fund – Class A, C, R6 & S |
0.02% |
U.S.
Strategic Equity Fund – Class M |
0.12% |
U.S.
Small Cap Equity Fund – Class M |
0.14% |
U.S.
Small Cap Equity Fund – Class R6 |
0.02% |
U.S.
Small Cap Equity Fund – Class S |
0.04% |
Multifactor
International Equity Fund - Class M |
0.15% |
Multifactor
International Equity Fund - Class R6 |
0.02% |
International
Developed Markets Fund - Class M |
0.14% |
International
Developed Markets Fund - Class R6 |
0.02% |
International
Developed Markets Fund - Class S |
0.04% |
Global
Equity Fund - Class M |
0.10% |
Global
Equity Fund - Class R6 |
0.02% |
Emerging
Markets Fund - Class A, C, R6 & S |
0.02% |
Emerging
Markets Fund - Class M |
0.12% |
Tax-Managed
U.S. Large Cap Fund – Class M |
0.10% |
Tax-Managed
U.S. Mid & Small Cap Fund – Class A |
0.02% |
Tax-Managed
U.S. Mid & Small Cap Fund – Class C & S |
0.05% |
Tax-Managed
U.S. Mid & Small Cap Fund – Class M |
0.15% |
Tax-Managed
International Equity Fund – Class M |
0.10% |
Tax-Managed
Real Assets Fund - Class M |
0.10% |
Opportunistic
Credit Fund – Class A, C & S |
0.12% |
Opportunistic
Credit Fund – Class M |
0.17% |
Opportunistic
Credit Fund – Class R6 |
0.02% |
Long
Duration Bond Fund – Class M |
0.15% |
Long
Duration Bond Fund – Class R6 |
0.02% |
Strategic
Bond Fund – Class A & C |
0.04% |
Strategic
Bond Fund – Class M |
0.16% |
Strategic
Bond Fund – Class R6 |
0.02% |
Strategic
Bond Fund – Class S |
0.06% |
Investment
Grade Bond Fund – Class M |
0.14% |
Investment
Grade Bond Fund – Class R6 |
0.02% |
Fund
and Class |
Amount
Waived |
Investment
Grade Bond Fund – Class S |
0.04% |
Short
Duration Bond Fund – Class A, C & S |
0.12% |
Short
Duration Bond Fund – Class M |
0.17% |
Short
Duration Bond Fund – Class R6 |
0.02% |
Tax-Exempt
High Yield Bond Fund - Class M |
0.10% |
Tax-Exempt
High Yield Bond Fund - Class S |
0.03% |
Tax-Exempt
Bond Fund – Class A |
0.02% |
Tax-Exempt
Bond Fund – Class C & S |
0.06% |
Tax-Exempt
Bond Fund – Class M |
0.16% |
Global
Infrastructure Fund – Class A, C, R6 & S |
0.02% |
Global
Infrastructure Fund – Class M |
0.12% |
Global
Real Estate Securities Fund – Class M |
0.10% |
Global
Real Estate Securities Fund – Class R6 |
0.02% |
Real
Assets Fund - Class M |
0.10% |
Real
Assets Fund - Class R6 |
0.02% |
Multi-Strategy
Income Fund – Class M |
0.10% |
Multi-Strategy
Income Fund – Class R6 |
0.02% |
Multi-Asset
Growth Strategy Fund - Class M |
0.10% |
Multi-Asset
Growth Strategy Fund - Class R6 |
0.02% |
|
2023 |
2022 |
2021 |
Multifactor
U.S. Equity Fund |
$24,262
|
$20,590
|
$19,632
|
Equity
Income Fund |
142,114
|
161,418
|
166,783
|
Sustainable
Equity Fund |
158,217
|
195,302 |
223,609 |
U.S.
Strategic Equity Fund |
39,872
|
46,248 |
48,303 |
U.S.
Small Cap Equity Fund |
57,169
|
67,745 |
80,587 |
Multifactor
International Equity Fund* |
N/A |
N/A |
N/A |
International
Developed Markets Fund |
51,803
|
59,183 |
73,132 |
Global
Equity Fund |
21,872
|
26,768 |
30,582 |
Emerging
Markets Fund |
27,242
|
35,412 |
49,160 |
Tax-Managed
U.S. Large Cap Fund |
290,422
|
296,895 |
293,715 |
Tax-Managed
U.S. Mid & Small Cap Fund |
100,717
|
110,063 |
110,517 |
Tax-Managed
International Equity Fund |
65,930
|
62,402 |
62,455 |
Tax-Managed
Real Assets Fund |
7,382
|
4,740 |
3,595 |
Opportunistic
Credit Fund |
12,764
|
16,655 |
21,756 |
Long
Duration Bond Fund* |
N/A |
N/A |
N/A |
Strategic
Bond Fund |
75,058
|
97,326 |
123,006 |
Investment
Grade Bond Fund |
30,549
|
38,324 |
49,701 |
Short
Duration Bond Fund |
82,261
|
126,726 |
167,873 |
Tax-Exempt
High Yield Bond Fund |
44,228
|
47,315 |
40,095 |
Tax-Exempt
Bond Fund |
148,077
|
178,997 |
188,094 |
Global
Infrastructure Fund |
14,824
|
17,763 |
19,268 |
Global
Real Estate Securities Fund |
50,911
|
71,366 |
82,708 |
Multi-Strategy
Income Fund |
25,273
|
31,467 |
39,328 |
Multi-Asset
Growth Strategy Fund |
3,432
|
4,173 |
2,101 |
Fund |
2023 |
2022 |
2021 |
Multifactor
U.S. Equity Fund |
$21,184
|
$23,912
|
$24,590
|
Equity
Income Fund |
46,877
|
53,795
|
54,565
|
Sustainable
Equity Fund |
43,973
|
54,386
|
57,153
|
U.S.
Strategic Equity Fund |
30,138
|
29,904
|
27,533
|
U.S.
Small Cap Equity Fund |
35,498
|
42,430
|
46,477
|
Multifactor
International Equity Fund* |
N/A |
N/A |
N/A |
International
Developed Markets Fund |
44,295
|
49,309
|
56,993
|
Global
Equity Fund |
18,851
|
19,381
|
22,000
|
Emerging
Markets Fund |
19,892
|
26,743
|
34,859
|
Tax-Managed
U.S. Large Cap Fund |
240,716
|
231,198
|
220,370
|
Tax-Managed
U.S. Mid & Small Cap Fund |
64,924
|
66,926
|
65,401
|
Tax-Managed
International Equity Fund |
73,008
|
64,715
|
65,324
|
Fund |
2023 |
2022 |
2021 |
Tax-Managed
Real Assets Fund |
16,854
|
14,543
|
11,349
|
Opportunistic
Credit Fund |
7,273
|
7,304
|
7,336
|
Long
Duration Bond Fund* |
N/A |
N/A |
N/A |
Strategic
Bond Fund |
47,783
|
58,084
|
69,446
|
Investment
Grade Bond Fund |
28,445
|
31,086
|
19,979
|
Short
Duration Bond Fund |
22,876
|
28,221
|
39,786
|
Tax-Exempt
High Yield Bond Fund |
29,098
|
39,429
|
48,470
|
Tax-Exempt
Bond Fund |
79,274
|
87,092
|
94,114
|
Global
Infrastructure Fund |
9,837
|
11,127
|
11,717
|
Global
Real Estate Securities Fund |
25,989
|
34,668
|
37,738
|
Multi-Strategy
Income Fund |
8,624
|
11,160
|
12,640
|
Multi-Asset
Growth Strategy Fund |
3,952
|
4,604
|
4,911 |
Fund |
Class
C |
Multifactor
U.S. Equity Fund |
$8,087
|
Equity
Income Fund |
47,371
|
Sustainable
Equity Fund |
52,739
|
U.S.
Strategic Equity Fund |
13,291
|
U.S.
Small Cap Equity Fund |
19,056
|
Multifactor
International Equity Fund*
|
N/A |
International
Developed Markets Fund |
17,268
|
Global
Equity Fund |
7,291
|
Emerging
Markets Fund |
9,081
|
Tax-Managed
U.S. Large Cap Fund |
96,807
|
Tax-Managed
U.S. Mid & Small Cap Fund |
33,572
|
Tax-Managed
International Equity Fund |
21,977
|
Tax-Managed
Real Assets Fund |
2,461
|
Opportunistic
Credit Fund |
4,255
|
Long
Duration Bond Fund*
|
N/A |
Fund |
Class
C |
Strategic
Bond Fund |
25,019
|
Investment
Grade Bond Fund |
10,183
|
Short
Duration Bond Fund |
27,420
|
Tax-Exempt
High Yield Bond Fund |
14,743
|
Tax-Exempt
Bond Fund |
49,359
|
Global
Infrastructure Fund |
4,941
|
Global
Real Estate Securities Fund |
16,970
|
Multi-Strategy
Income Fund |
8,424
|
Multi-Asset
Growth Strategy Fund |
1,144 |
Fund |
Gross
Income1
|
Revenue
Split2
|
Cash
Collateral
Management
Fees3
|
Rebates
to
Borrowers |
Total
Costs
of
Securities
Lending
Activities |
Net
Income
from
Securities
Lending
Activities |
Multifactor
U.S. Equity Fund |
$49,207
|
$2,519
|
$925
|
$23,079
|
$26,523
|
$22,684
|
Sustainable
Equity Fund |
4,371
|
38
|
114
|
3,876
|
4,028
|
343
|
U.S.
Strategic Equity Fund |
165,000
|
1,637
|
4,311
|
144,309
|
150,257
|
14,743
|
U.S.
Small Cap Equity Fund |
662,460
|
18,569
|
14,828
|
461,871
|
495,268
|
167,192
|
Multifactor
International Equity Fund |
79,132
|
4,503
|
1,423
|
32,674
|
38,600
|
40,532
|
International
Developed Markets Fund |
494,238
|
15,177
|
11,293
|
331,164
|
357,634
|
136,604
|
Global
Equity Fund |
467,815
|
14,320
|
10,653
|
313,951
|
338,924
|
128,891
|
Emerging
Markets Fund |
112,641
|
1,877
|
2,724
|
91,146
|
95,747
|
16,894
|
Tax-Managed
U.S. Large Cap Fund |
15,456
|
346
|
339
|
11,661
|
12,346
|
3,110
|
Tax-Managed
U.S. Mid & Small Cap Fund |
1,021,669
|
18,890
|
24,142
|
808,521
|
851,553
|
170,116
|
Tax-Managed
International Equity Fund |
50,317
|
1,962
|
1,105
|
29,594
|
32,661
|
17,656
|
Opportunistic
Credit Fund |
52,469
|
1,521
|
1,161
|
36,094
|
38,776
|
13,693
|
Strategic
Bond Fund |
77,557
|
2,811
|
1,731
|
47,709
|
52,251
|
25,306
|
Global
Infrastructure Fund |
134,162
|
2,711
|
3,159
|
103,884
|
109,754
|
24,408
|
Global
Real Estate Securities Fund |
112,964
|
2,392
|
2,686
|
86,352
|
91,430
|
21,534
|
Multi-Strategy
Income Fund |
120,190
|
4,767
|
2,837
|
69,643
|
77,247
|
42,943
|
Multi-Asset
Growth Strategy Fund |
288,327
|
8,692
|
6,723
|
194,646
|
210,061
|
78,266 |
Amount
of
investment |
Front-end
sales
charge
as a %
of
offering price |
Front-end
sales
charge
as a % of
net
amount
invested |
Financial
Intermediary
commission
as
a % of
offering
price |
Less
than $500,000 |
2.50% |
2.56% |
2.00% |
$500,000
or more |
--0-- |
--0-- |
up
to 0.75% |
Amount
of
investment |
Front-end
sales
charge
as a %
of
offering price |
Front-end
sales
charge
as a % of
net
amount
invested |
Financial
Intermediary
commission
as
a % of
offering
price |
Less
than $50,000 |
3.75% |
3.90% |
3.00% |
$50,000
but less than $100,000 |
3.50% |
3.63% |
2.75% |
$100,000
but less than $250,000 |
2.50% |
2.56% |
2.00% |
$250,000
but less than $500,000 |
2.00% |
2.04% |
1.60% |
$500,000
but less than $1,000,000 |
1.50% |
1.52% |
1.20% |
$1,000,000
or more |
--0-- |
--0-- |
up
to 1.00% |
Amount
of
investment |
Front-end
sales
charge
as a %
of
offering price |
Front-end
sales
charge
as a % of
net
amount
invested |
Financial
Intermediary
commission
as
a % of
offering
price |
Less
than $50,000 |
5.75% |
6.10% |
5.00% |
$50,000
but less than $100,000 |
4.50% |
4.71% |
3.75% |
Amount
of
investment |
Front-end
sales
charge
as a %
of
offering price |
Front-end
sales
charge
as a % of
net
amount
invested |
Financial
Intermediary
commission
as
a % of
offering
price |
$100,000
but less than $250,000 |
3.50% |
3.63% |
2.75% |
$250,000
but less than $500,000 |
2.50% |
2.56% |
2.00% |
$500,000
but less than $1,000,000 |
2.00% |
2.04% |
1.60% |
$1,000,000
or more |
--0-- |
--0-- |
up
to 1.00% |
|
2023 |
2022 |
Multifactor
U.S. Equity Fund |
16% |
22% |
Equity
Income Fund |
31% |
39% |
Sustainable
Equity Fund |
68% |
129% |
U.S.
Strategic Equity Fund |
57% |
91% |
U.S.
Small Cap Equity Fund |
80% |
95% |
Multifactor
International Equity Fund |
16% |
36% |
International
Developed Markets Fund |
30% |
32% |
Global
Equity Fund |
43% |
41% |
Emerging
Markets Fund |
95% |
69% |
Tax-Managed
U.S. Large Cap Fund |
25% |
46% |
Tax-Managed
U.S. Mid & Small Cap Fund |
71% |
66% |
|
2023 |
2022 |
Tax-Managed
International Equity Fund |
56% |
68% |
Tax-Managed
Real Assets Fund |
50% |
43% |
Opportunistic
Credit Fund |
55% |
47% |
Long
Duration Bond Fund |
84% |
80% |
Strategic
Bond Fund |
72% |
54% |
Investment
Grade Bond Fund |
77% |
60% |
Short
Duration Bond Fund |
82% |
55% |
Tax-Exempt
High Yield Bond Fund |
35% |
43% |
Tax-Exempt
Bond Fund |
48% |
42% |
Global
Infrastructure Fund |
61% |
62% |
Global
Real Estate Securities Fund |
63% |
68% |
Real
Assets Fund(1)
|
N/A |
N/A |
Multi-Strategy
Income Fund |
79% |
189% |
Multi-Asset
Growth Strategy Fund |
73% |
157% |
Entity
Receiving Portfolio Holdings |
Disclosure
Purpose |
Acuity
Knowledge Partners |
Fund
reporting services |
Advent
Software, Inc. |
Recon,
accounting services |
Bloomberg
AIM |
Fund
positioning/holdings services |
Bloomberg
Portfolio |
Holdings
analysis |
Broadridge |
Fund
marketing report production |
Confluence
Technologies, Inc. (CTI) |
Fund
performance calculator, financial reporting software
provider |
Dynamo
Software |
Fair
value data analysis for Wellington Management
Company
LLP |
Electra
Information Systems |
Sub-advisor
middle office services |
Financial
Recovery Technologies, Inc. |
Securities
litigation monitoring and class action claims
recovery |
Glass
Lewis & Co., LLC |
Proxy
voting services |
Goldman
Sachs |
Securities
lending agent |
Hexaware |
Data
operations support services |
IHS
Markit |
Enterprise
data management |
Lipper
Analytical Services |
Fund
rating services |
Morningstar
Inc. |
Fund
rating services |
Planetrics |
Valuations
under different climate risk scenarios |
PricewaterhouseCoopers
LLP |
Audit
services |
Qontigo |
Holdings/portfolio
analysis, model optimization |
Risk
Metrics |
Risk
management services |
Entity
Receiving Portfolio Holdings |
Disclosure
Purpose |
SS&C |
Middle
office provider; benchmark performance, holdings,
performance,
reconciliation |
State
Street (Boston) |
Custody,
fund accounting, pricing/valuation, fund
compliance
testing, liquidity risk management |
State
Street (Sacramento) |
Pricing
services |
Vermillion |
Fund
marketing report production |
|
2023 |
2022 |
2021 |
Multifactor
U.S. Equity Fund |
$43,741
|
$67,790
|
$97,427
|
Equity
Income Fund |
39,347
|
46,369
|
34,426
|
Sustainable
Equity Fund |
25,172
|
50,297 |
62,285 |
U.S.
Strategic Equity Fund |
461,054
|
1,171,468 |
596,796 |
U.S.
Small Cap Equity Fund |
875,217
|
1,370,598 |
2,020,167 |
Multifactor
International Equity Fund |
60,004
|
130,132
|
343,269
|
International
Developed Markets Fund |
918,944
|
814,599 |
1,019,161 |
Global
Equity Fund |
673,538
|
436,473 |
546,466 |
Emerging
Markets Fund |
1,492,858
|
1,476,721 |
1,921,777 |
Tax-Managed
U.S. Large Cap Fund |
998,549
|
1,131,457 |
456,072 |
Tax-Managed
U.S. Mid & Small Cap Fund |
1,284,394
|
1,104,138 |
621,403 |
Tax-Managed
International Equity Fund |
2,865,327
|
2,986,238 |
2,150,960 |
Tax-Managed
Real Assets Fund |
424,439
|
387,783 |
340,377 |
Opportunistic
Credit Fund |
51,245
|
64,226 |
63,452 |
Long
Duration Bond Fund |
11,237
|
1,547
|
3,287
|
Strategic
Bond Fund |
493,842
|
571,615 |
466,121 |
Investment
Grade Bond Fund |
106,740
|
59,565 |
57,905 |
Short
Duration Bond Fund |
20,644
|
29,920 |
69,512 |
Tax-Exempt
High Yield Bond Fund |
8,908
|
9,871 |
5,267 |
Tax-Exempt
Bond Fund |
52,521
|
56,832 |
39,835 |
Global
Infrastructure Fund |
161,779
|
42,345 |
91,276 |
Global
Real Estate Securities Fund |
300,807
|
384,508 |
525,348 |
Real
Assets Fund(1)
|
N/A |
N/A |
N/A |
Multi-Strategy
Income Fund |
248,476
|
490,634 |
725,270 |
Multi-Asset
Growth Strategy Fund |
527,175
|
751,101 |
1,444,559 |
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2023
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2023
RIIS
Net
(USD) |
Multifactor
U.S. Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
8,038 |
18.375% |
4.845% |
7,543 |
Total: |
8,038 |
18.375% |
4.845% |
7,543 | ||
Equity
Income Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
7,444 |
18.920% |
9.011% |
6,896 |
Total: |
7,444 |
18.920% |
9.011% |
6,896 | ||
Sustainable
Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
3,152 |
12.521% |
3.586% |
2,809 |
Total: |
3,152 |
12.521% |
3.586% |
2,809 | ||
U.S.
Strategic Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
68,050 |
14.760% |
5.640% |
61,522 |
|
Jacobs
Levy Equity
Management
Inc |
|
|
|
|
|
|
|
Raymond
James & Associates Inc |
644 |
0.140% |
0.002% |
- |
Total: |
68,694 |
14.900% |
5.642% |
61,522 | ||
U.S.
Small Cap Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
159,171 |
18.186% |
8.138% |
138,969 |
Total: |
159,171 |
18.186% |
8.138% |
138,969 | ||
Multifactor
International Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
9,545 |
15.907% |
3.617% |
7,793 |
Total: |
9,545 |
15.907% |
3.617% |
7,793 | ||
International
Developed Markets Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
145,739 |
15.859% |
3.230% |
115,571 |
Total: |
145,739 |
15.859% |
3.230% |
115,571 | ||
Global
Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
95,245 |
14.141% |
3.489% |
79,008 |
Total: |
95,245 |
14.141% |
3.489% |
79,008 | ||
Emerging
Markets Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
289,537 |
19.395% |
6.892% |
190,999 |
Total: |
289,537 |
19.395% |
6.892% |
190,999 | ||
Tax-Managed
U.S. Large Cap Fund |
|
|
|
| ||
|
RIM |
|
|
|
|
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2023
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2023
RIIS
Net
(USD) |
|
|
Russell
Investments Implementation
Services,
LLC |
194,724 |
19.501% |
16.271% |
176,969 |
Total: |
194,724 |
19.501% |
16.271% |
176,969 | ||
Tax-Managed
U.S. Mid & Small Cap Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
253,395 |
19.730% |
12.846% |
209,147 |
Total: |
253,395 |
19.730% |
12.846% |
209,147 | ||
Tax-Managed
International Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
518,581 |
18.098% |
7.712% |
382,015 |
Total: |
518,581 |
18.098% |
7.712% |
382,015 | ||
Tax-Managed
Real Assets Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
84,531 |
19.916% |
10.162% |
69,833 |
Total: |
84,531 |
19.916% |
10.162% |
69,833 | ||
Strategic
Bond Fund |
|
|
|
|
|
|
|
Schroder
Investment
Management
North
America
Inc.(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.00% |
0.124% |
- |
Total: |
0 |
0.000% |
0.124% |
- | ||
Investment
Grade
Bond
Fund |
|
|
|
|
|
|
|
Schroder
Investment
Management
North
America
Inc.(1)
|
|
|
|
|
|
|
|
UBS
Financial Services Inc |
0 |
0.00% |
0.021% |
- |
Total: |
0 |
0.000% |
0.021% |
- | ||
Short
Duration Bond
Fund |
|
|
|
|
|
|
|
Scout
Investments,
Inc.(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.361% |
- |
Total: |
0 |
0.000% |
0.361% |
- | ||
Tax-Exempt
Bond
Fund |
|
|
|
|
|
|
|
MacKay
Shields LLC(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
1.551% |
- |
Total: |
0 |
0.000% |
1.551% |
- | ||
Global
Infrastructure Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
29,175 |
18.034% |
6.936% |
23,218 |
Total: |
29,175 |
18.034% |
6.936% |
23,218 | ||
Global
Real Estate Securities Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
51,860 |
17.240% |
7.353% |
45,080 |
Total: |
51,860 |
17.240% |
7.353% |
45,080 | ||
Multi-Strategy
Income Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
21,245 |
8.550% |
0.340% |
16,108 |
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2023
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2023
RIIS
Net
(USD) |
|
Putnam
Investment
Management,
LLC |
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
161 |
0.065% |
0.030% |
- |
Total: |
21,406 |
8.615% |
0.370% |
16,108 | ||
Multi-Asset
Growth Strategy Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
46,068 |
8.614% |
0.344% |
33,903 |
|
Hermes
Investment
Management
Limited(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.003% |
- |
|
Putnam
Investment
Management,
LLC(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.028% |
- |
Total: |
46,068 |
8.614% |
0.375% |
33,903 |
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2022
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2022
RIIS
Net
(USD) |
Multifactor
U.S. Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
8,443 |
12.455% |
5.381% |
7,601 |
Total: |
8,443 |
12.455% |
5.381% |
7,601 | ||
Equity
Income Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
8,802 |
18.982% |
10.862% |
8,163 |
Total: |
8,802 |
18.982% |
10.862% |
8,163 | ||
Sustainable
Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
5,690 |
11.312% |
4.527% |
5,311 |
|
Jacobs
Levy Equity
Management
Inc |
|
|
|
|
|
|
|
UBS
Financial Services Inc |
205 |
0.000% |
0.034% |
- |
Total: |
5,895 |
11.312% |
4.561% |
5,311 | ||
U.S.
Strategic Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
220,394 |
18.813% |
12.783% |
199,782 |
Total: |
220,394 |
18.813% |
12.783% |
199,782 | ||
U.S.
Small Cap Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
248,853 |
18.157% |
8.409% |
220,802 |
|
Jacobs
Levy Equity
Management
Inc |
|
|
|
|
|
|
|
Robert
W. Baird & Co. Inc. |
154 |
0.011% |
0.003% |
- |
|
|
UBS
Financial Services Inc |
392 |
0.029% |
0.040% |
- |
Total: |
249,399 |
18.197% |
8.452% |
220,802 | ||
Multifactor
International Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
|
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2022
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2022
RIIS
Net
(USD) |
|
|
Russell
Investments Implementation
Services,
LLC |
19,650 |
15.100% |
4.194% |
15,968 |
Total: |
19,650 |
15.100% |
4.194% |
15,968 | ||
International
Developed
Markets
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
127,572 |
15.661% |
4.010% |
102,799 |
Total: |
127,572 |
15.661% |
4.010% |
102,799 | ||
Global
Equity Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
63,471 |
14.542% |
5.002% |
51,529 |
Total: |
63,471 |
14.542% |
5.002% |
51,529 | ||
Emerging
Markets
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
250,580 |
16.969% |
7.817% |
170,851 |
Total: |
250,580 |
16.969% |
7.817% |
170,581 | ||
Tax-Managed
U.S.
Large
Cap Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
222,619 |
19.675% |
12.214% |
200,858 |
Total: |
222,619 |
19.675% |
12.214% |
200,858 | ||
Tax-Managed
U.S.
Mid
& Small Cap
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
215,148 |
19.486% |
10.453% |
192,276 |
Total: |
215,148 |
19.486% |
10.453% |
192,276 | ||
Tax-Managed
International
Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
535,500 |
17.932% |
8.433% |
416,493 |
Total: |
535,500 |
17.932% |
8.433% |
416,493 | ||
Tax-Managed
Real
Assets
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
76,676 |
19.773% |
10.257% |
63,847 |
Total: |
76,676 |
19.773% |
10.257% |
63,847 | ||
Investment
Grade
Bond
Fund |
|
|
|
|
|
|
|
Schroder
Investment
Management
North
America
Inc. |
|
|
|
|
|
|
|
UBS
Financial Services Inc |
6,345 |
10.652% |
0.000% |
- |
Total: |
6,345 |
10.652% |
0.000% |
- | ||
Short
Duration Bond
Fund |
|
|
|
|
|
|
|
Scout
Investments,
Inc.(1)
|
|
|
|
|
|
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2022
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2022
RIIS
Net
(USD) |
|
|
UBS
Financial Services Inc |
0 |
0.000% |
0.011% |
- |
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.362% |
- |
Total: |
0 |
0.000% |
0.373% |
- | ||
Tax-Exempt
High
Yield
Bond Fund |
|
|
|
|
|
|
|
MacKay
Shields LLC(1)
|
|
|
|
|
|
|
|
Raymond
James & Associates Inc |
0 |
0.000% |
0.851% |
- |
Total: |
0 |
0.000% |
0.851% |
- | ||
Tax-Exempt
Bond
Fund |
|
|
|
|
|
|
|
MacKay
Shields LLC(1)
|
|
|
|
|
|
|
|
Raymond
James & Associates Inc |
0 |
0.000% |
0.098% |
- |
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.201% |
- |
Total: |
0 |
0.000% |
0.299% |
- | ||
Global
Infrastructure
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
8,064 |
19.043% |
7.290% |
6,537 |
Total: |
8,064 |
19.043% |
7.290% |
6,537 | ||
Global
Real Estate
Securities
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
71,693 |
18.645% |
7.884% |
60,790 |
Total: |
71,693 |
18.645% |
7.884% |
60,790 | ||
Multi-Strategy
Income
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
65,890 |
13.430% |
0.288% |
51,039 |
|
Oaktree
Fund Advisors,
LLC(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.017% |
- |
|
Putnam
Investment
Management,
LLC(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.002% |
- |
Total: |
65,890 |
13.340% |
0.307% |
51,039 | ||
Multi-Asset
Growth
Strategy
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
81,136 |
10.802% |
0.315% |
64,361 |
|
Hermes
Investment
Management
Limited(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.001% |
- |
|
Oaktree
Fund Advisors,
LLC(1)
|
|
|
|
|
|
|
|
Raymond
James & Associates Inc |
0 |
0.000% |
0.002% |
- |
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.018% |
- |
|
Putnam
Investment
Management,
LLC(1)
|
|
|
|
|
|
|
|
Wells
Fargo Clearing Services, LLC |
0 |
0.000% |
0.000% |
- |
Total: |
81,136 |
10.802% |
0.336% |
64,361 |
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2021
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2021
RIIS
Net
(USD) |
Multifactor
U.S. Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
18,879 |
19.377% |
6.085% |
17,912 |
Total: |
18,879 |
19.377% |
6.085% |
17,912 | ||
Equity
Income Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
6,611 |
19.203% |
8.214% |
6,106 |
Total: |
6,611 |
19.203% |
8.214% |
6,106 | ||
Sustainable
Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
7,295 |
11.713% |
4.303% |
6,756 |
|
Jacobs
Levy Equity
Management
Inc |
|
|
|
|
|
|
|
UBS
Financial Services Inc |
101 |
0.162% |
0.079% |
- |
Total: |
7,396 |
11.875% |
4.382% |
6,756 | ||
U.S.
Strategic Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
115,113 |
19.288% |
8.261% |
107,109 |
Total: |
115,113 |
19.288% |
8.261% |
107,109 | ||
U.S.
Small Cap Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
375,534 |
18.589% |
7.087% |
326,686 |
|
Jacobs
Levy Equity
Management
Inc |
|
|
|
|
|
|
|
Raymond
James & Associates Inc |
104 |
0.005% |
0.003% |
- |
|
|
UBS
Financial Services Inc |
946 |
0.047% |
0.080% |
- |
|
|
Wells
Fargo Clearing Services, LLC |
31 |
0.002% |
0.003% |
- |
Total: |
376,615 |
18.643% |
7.173% |
326,686 | ||
Multifactor
International Equity Fund |
|
|
|
| ||
|
RIM |
|
|
|
| |
|
|
Russell
Investments Implementation
Services,
LLC |
60,361 |
17.584% |
3.997% |
48,604 |
Total: |
60,361 |
17.584% |
3.997% |
48,604 | ||
International
Developed
Markets
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
160,797 |
15.777% |
3.288% |
129,764 |
Total: |
160,797 |
15.777% |
3.288% |
129,764 | ||
Global
Equity Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
91,522 |
16.748% |
4.508% |
75,333 |
Total: |
91,522 |
16.748% |
4.508% |
75,333 | ||
Emerging
Markets
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2021
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2021
RIIS
Net
(USD) |
|
|
Russell
Investments Implementation
Services,
LLC |
351,176 |
18.274% |
6.165% |
249,051 |
Total: |
351,176 |
18.274% |
6.165% |
249,051 | ||
Tax-Managed
U.S.
Large
Cap Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
122,102 |
26.772% |
18.062% |
112,503 |
Total: |
122,102 |
26.772% |
18.062% |
112,503 | ||
Tax-Managed
U.S.
Mid
& Small Cap
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
122,653 |
19.738% |
8.120% |
111,668 |
Total: |
122,653 |
19.738% |
8.120% |
111,668 | ||
Tax-Managed
International
Equity
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
323,233 |
15.007% |
6.765% |
239,351 |
Total: |
323,233 |
15.007% |
6.765% |
239,351 | ||
Tax-Managed
Real
Assets
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
64,114 |
18.836% |
10.959% |
53,267 |
Total: |
64,114 |
18.836% |
10.959% |
53,267 | ||
Opportunistic
Credit
Fund |
|
|
|
|
|
|
|
DuPont
Capital
Management
Corporation |
|
|
|
|
|
|
|
UBS
Financial Services Inc |
6,500 |
10.244% |
0.024% |
- |
|
|
Wells
Fargo Clearing Services LLC |
20 |
0.031% |
0.008% |
- |
Total: |
6,520 |
10.275% |
0.032% |
- | ||
Investment
Grade
Bond
Fund |
|
|
|
|
|
|
|
Schroder
Investment
Management
North
America
Inc. |
|
|
|
|
|
|
|
UBS
Financial Services Inc |
2,785 |
4.810% |
0.000% |
- |
Total: |
2,785 |
4.810% |
0.000% |
- | ||
Short
Duration Bond
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
47,617 |
68.503% |
6.095% |
47,617 |
Total: |
47,617 |
68.503% |
6.095% |
47,617 | ||
Global
Infrastructure
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
15,483 |
16.963% |
4.886% |
12,110 |
Total: |
15,483 |
16.963% |
4.886% |
12,110 |
Fund
Name |
RIM/Money
Manager |
Affiliated
Broker |
2021
Total
(USD) |
Percent
of
Fund's
Commission |
Percent
of
Fund's
Principal |
2021
RIIS
Net
(USD) |
Global
Real Estate
Securities
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
94,776 |
18.041% |
6.382% |
76,937 |
Total: |
94,776 |
18.041% |
6.382% |
76,937 | ||
Multi-Strategy
Income
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
113,064 |
15.589% |
0.442% |
94,430 |
|
First
Eagle Alternative
Credit,
LLC |
|
|
|
|
|
|
|
UBS
Financial Services Inc |
1,946 |
0.268% |
0.000% |
- |
Total: |
115,010 |
15.857% |
0.442% |
94,430 | ||
Multi-Asset
Growth
Strategy
Fund |
|
|
|
|
|
|
|
RIM |
|
|
|
|
|
|
|
Russell
Investments Implementation
Services,
LLC |
219,190 |
15.173% |
0.851% |
188,019 |
|
First
Eagle Alternative
Credit,
LLC |
|
|
|
|
|
|
|
UBS
Financial Services Inc |
1,291 |
0.089% |
0.000% |
- |
Total: |
220,481 |
15.262% |
0.851% |
188,019 |
|
|
|
|
|
|
Broker |
Multifactor
U.S.
Equity
Fund |
Equity
Income
Fund |
Sustainable
Equity
Fund |
U.S.
Strategic
Equity
Fund |
U.S.
Small
Cap
Equity
Fund |
Avantax
Investment Services, Inc. |
|
|
|
|
643,392 |
Barclays
Capital, Inc |
|
|
|
|
|
BNY
Mellon Securities LLC |
602,098 |
|
525,343 |
8,517,595 |
|
Citigroup,
Inc |
597,089 |
2,151,968 |
|
15,546,186 |
|
Goldman,
Sachs & Co. |
954,853 |
|
|
4,198,926 |
|
J.P.
Morgan Securities, Inc |
5,023,682 |
3,509,457 |
219,576 |
19,165,945 |
|
Jefferies
Group, Inc. |
173,225 |
|
|
|
|
LPL
Financial LLC |
700,951 |
|
495,965 |
5,415,198 |
|
Macquarie
Group Limited |
|
|
|
|
|
Merrill
Lynch, Pierce, Fenner &
Smith,
Inc |
1,702,223 |
909,257 |
32,346 |
8,144,960 |
|
Morgan
Stanley & Co.
Incorporated |
857,418 |
|
|
13,310,194 |
|
Nomura
Bank |
|
|
|
|
|
Northwestern
Mutual Investment
Services,
LLC |
|
|
|
|
|
Pruco
Securities, LLC. |
305,318 |
225,217 |
|
|
|
Royal
Bank of Canada |
|
|
|
|
|
State
Street Global Markets, LLC |
261,687 |
|
984,315 |
|
|
U.S.
Bancorp Investments, Inc |
462,802 |
827,509 |
1,044,931 |
5,758,867 |
|
UBS
Securities LLC |
|
|
|
|
|
Valic
Financial Advisors, Inc
|
935,775 |
210,722 |
|
|
|
Wells
Fargo Advisors LLC |
|
2,550,251 |
|
15,102,140 |
|
|
|
|
|
|
|
Broker |
Multifactor
International
Equity
Fund |
International
Developed
Markets
Fund |
Global
Equity
Fund |
Tax-Managed
U.S.
Large
Cap
Fund |
Tax-Managed
International
Equity
Fund |
Avantax
Investment Services, Inc. |
|
|
|
|
|
Barclays
Capital, Inc |
206,431 |
1,743,392 |
|
|
3,476,176 |
BNY
Mellon Securities LLC |
|
|
|
|
|
Citigroup,
Inc |
|
|
2,074,647 |
50,175,323 |
|
Goldman,
Sachs & Co. |
|
|
165,467 |
3,664,876 |
|
J.P.
Morgan Securities, Inc |
|
|
5,167,331 |
51,362,506 |
|
Jefferies
Group, Inc. |
|
|
|
|
|
LPL
Financial LLC |
|
|
221,826 |
|
|
Macquarie
Group Limited |
|
|
|
|
|
Merrill
Lynch, Pierce, Fenner &
Smith,
Inc |
|
|
338,785 |
23,681,267 |
|
Morgan
Stanley & Co.
Incorporated |
|
|
|
20,153,177 |
|
Nomura
Bank |
342,046 |
826,030 |
989,230 |
|
2,303,908 |
Northwestern
Mutual Investment
Services,
LLC |
|
|
|
|
|
Pruco
Securities, LLC. |
51,035 |
|
|
6,148,974 |
|
Royal
Bank of Canada |
1,324,807 |
3,846,070 |
1,983,177 |
|
3,634,254 |
State
Street Global Markets, LLC |
|
|
|
2,774,243 |
|
U.S.
Bancorp Investments, Inc |
|
|
131,856 |
4,306,000 |
|
UBS
Securities LLC |
499,465 |
13,318,175 |
4,347,897 |
|
33,147,566 |
Valic
Financial Advisors, Inc
|
|
|
|
6,070,671 |
|
Wells
Fargo Advisors LLC |
|
|
3,929,833 |
41,697,374 |
|
|
|
|
|
|
Broker |
Opportunistic
Credit
Fund |
Strategic
Bond
Fund |
Investment
Grade
Bond
Fund |
Short
Duration
Bond
Fund |
Avantax
Investment Services, Inc. |
|
|
|
|
Barclays
Capital, Inc |
381,029 |
3,770,295 |
3,864,025 |
2,605,141 |
BNY
Mellon Securities LLC |
|
|
|
1,492,011 |
Citigroup,
Inc |
1,977,308 |
5,675,514 |
8,623,398 |
3,178,658 |
Goldman,
Sachs & Co. |
6,446,946 |
13,697,526 |
11,349,554 |
5,374,148 |
J.P.
Morgan Securities, Inc |
8,205,473 |
40,213,376 |
28,240,650 |
9,705,815 |
Jefferies
Group, Inc. |
|
|
|
|
LPL
Financial LLC |
211,237 |
|
|
|
Macquarie
Group Limited |
257,098 |
|
|
|
Merrill
Lynch, Pierce, Fenner &
Smith,
Inc |
152,772 |
7,704,957 |
9,515,667 |
5,407,339 |
Morgan
Stanley & Co.
Incorporated |
1,764,855 |
11,097,663 |
9,012,387 |
6,722,946 |
Nomura
Bank |
|
2,705,317 |
248,175 |
596,907 |
Northwestern
Mutual Investment
Services,
LLC |
|
355,207 |
|
511,768 |
Pruco
Securities, LLC. |
90,271 |
2,718,060 |
|
|
Royal
Bank of Canada |
|
|
|
376,341 |
State
Street Global Markets, LLC |
|
|
|
1,152,047 |
U.S.
Bancorp Investments, Inc |
103,036 |
259,622 |
746,065 |
445,911 |
UBS
Securities LLC |
2,245,110 |
5,961,532 |
2,119,053 |
3,570,186 |
Valic
Financial Advisors, Inc
|
|
|
|
160,440 |
|
|
|
|
|
Broker |
Opportunistic
Credit
Fund |
Strategic
Bond
Fund |
Investment
Grade
Bond
Fund |
Short
Duration
Bond
Fund |
Wells
Fargo Advisors LLC |
2,500,779 |
7,088,734 |
7,510,514 |
5,838,830 |
|
|
|
|
Broker |
Global
Real
Estate
Securities
Fund |
Multi-Strategy
Income
Fund |
Multi-Asset
Growth
Strategy
Fund |
Avantax
Investment Services, Inc. |
|
|
|
Barclays
Capital, Inc |
|
653,389 |
111,530 |
BNY
Mellon Securities LLC |
|
122,239 |
131,835 |
Citigroup,
Inc |
|
1,126,345 |
422,938 |
Goldman,
Sachs & Co. |
|
620,162 |
294,372 |
J.P.
Morgan Securities, Inc |
|
719,022 |
637,286 |
Jefferies
Group, Inc. |
|
|
|
LPL
Financial LLC |
|
|
|
Macquarie
Group Limited |
|
|
|
Merrill
Lynch, Pierce, Fenner &
Smith,
Inc |
|
1,500,021 |
689,924 |
Morgan
Stanley & Co.
Incorporated |
|
386,461 |
122,448 |
Nomura
Bank |
1,755,870 |
302,736 |
179,313 |
Northwestern
Mutual Investment
Services,
LLC |
|
|
|
Pruco
Securities, LLC. |
|
540,888 |
|
Royal
Bank of Canada |
|
263,572 |
|
State
Street Global Markets, LLC |
|
|
|
U.S.
Bancorp Investments, Inc |
|
212,441 |
107,531 |
UBS
Securities LLC |
|
932,048 |
166,815 |
Valic
Financial Advisors, Inc
|
|
5,152 |
|
Wells
Fargo Advisors LLC |
|
1,489,442 |
|
|
2023 |
2022 |
2021 |
U.S.
Small Cap Equity Fund |
$845 |
$545 |
$967 |
Multifactor
International Equity Fund |
8,817
|
11,546
|
56,936
|
International
Developed Markets Fund |
134,044
|
77,104 |
113,702 |
Global
Equity Fund |
79,313
|
35,336 |
66,864 |
Emerging
Markets Fund |
66,234
|
57,543 |
89,993 |
Tax-Managed
International Equity Fund |
161,376
|
168,743 |
128,574 |
Tax-Managed
Real Assets Fund |
26,612
|
25,986 |
22,263 |
Strategic
Bond Fund |
0 |
0 |
32 |
Global
Infrastructure Fund |
23,375
|
4,689 |
12,346 |
Global
Real Estate Securities Fund |
25,689
|
29,723 |
54,818 |
Multi-Strategy
Income Fund |
9,911
|
25,526 |
30,256 |
Multi-Asset
Growth Strategy Fund |
20,547
|
27,057 |
72,403 |
|
No
Expiration |
No
Expiration |
|
Fund |
Short
Term |
Long
Term |
TOTAL |
Multifactor
International
Equity
Fund |
$44,371,669
|
$16,252,073
|
$60,623,742
|
International
Developed
Markets
Fund |
0 |
22,072,299
|
22,072,299
|
Global
Equity Fund |
29,258,814
|
0 |
29,258,814
|
Emerging
Markets
Fund |
77,597,204
|
2,244,593
|
79,841,797
|
Tax-Managed
U.S.
Large
Cap Fund |
174,914,457
|
0 |
174,914,457
|
Tax-Managed
U.S. Mid
&
Small Cap Fund |
21,131,877
|
0 |
21,131,877
|
Tax-Managed
International
Equity
Fund |
440,571,690
|
0 |
440,571,690
|
Tax-Managed
Real
Assets
Fund |
61,566,342
|
2,619,202
|
64,185,544
|
Opportunistic
Credit
Fund |
32,949,793
|
81,252,404
|
114,202,197
|
Long
Duration Bond
Fund |
2,387,625
|
4,203,576
|
6,591,201
|
Strategic
Bond Fund |
251,318,571
|
328,465,353
|
579,783,924
|
Investment
Grade Bond
Fund |
33,984,230
|
46,235,259
|
80,219,489
|
Short
Duration Bond
Fund |
3,989,688
|
9,021,336
|
13,011,024
|
Tax-Exempt
High Yield
Bond
Fund |
44,912,454
|
34,754,463
|
79,666,917
|
Tax-Exempt
Bond Fund |
73,855,363
|
84,839,991
|
158,695,354
|
Global
Infrastructure
Fund |
154,411
|
0 |
154,411
|
Global
Real Estate
Securities
Fund |
46,070,992
|
21,673,374
|
67,744,366
|
Multi-Strategy
Income
Fund |
29,270,266
|
4,710,835
|
33,981,101
|
Multi-Asset
Growth
Strategy
Fund |
40,549,387
|
8,041,983
|
48,591,370 |
EMERGING
MARKETS FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
66.41% |
|
EMERGING
MARKETS FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 15.98% |
|
EMERGING
MARKETS FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
31.73% |
|
EMERGING
MARKETS FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 23.16% |
|
EMERGING
MARKETS FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 16.92% |
|
EMERGING
MARKETS FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
14.80% |
|
EMERGING
MARKETS FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
49.71% |
|
EMERGING
MARKETS FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
19.64% |
|
EMERGING
MARKETS FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
17.81% |
|
EMERGING
MARKETS FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO LAIDIG SYSTEMS, INC.
EMPLOYEES'
PLA 259360 P.O. BOX 10758 FARGO ND 58106-0758,
40.34% |
|
EMERGING
MARKETS FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO WARRICK & BOYN, LLP PROFIT
SHARING
259384 P.O. BOX 10758 FARGO ND 58106-0758, 10.31% |
|
EMERGING
MARKETS FUND CLASS R6
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
9.83% |
|
EMERGING
MARKETS FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO MIDLAND ENGINEERING CO.,
INC,
EMPLO 259365 P.O. BOX 10758 FARGO ND 58106-0758,
9.14% |
|
EMERGING
MARKETS FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO INDIANA TRUST 401K PLAN
259345
P.O. BOX 10758 FARGO ND 58106-0758, 8.01% |
|
EMERGING
MARKETS FUND CLASS R6
- MATRIX TRUST COMPANY CUST. FBO CREATIVE DIE MOLD CORP
401K
PSP 717 17TH STREET SUITE 1300 DENVER CO 80202-3304,
7.95% |
|
EMERGING
MARKETS FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 38.22% |
|
EMERGING
MARKETS FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
17.49% |
|
EMERGING
MARKETS FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
12.46% |
|
EMERGING
MARKETS FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
10.02% |
|
EMERGING
MARKETS FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
6.41% |
|
EMERGING
MARKETS FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV DIVISION
FUND
OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
26.39% |
|
EMERGING
MARKETS FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
18.94% |
|
EMERGING
MARKETS FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS DISCRETIONARY
INVESTMENT
MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS ANGELES CA
90040-1502,
16.75% |
|
EMERGING
MARKETS FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
16.73% |
|
EMERGING
MARKETS FUND CLASS Y
- RIF GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
7.24% |
|
EMERGING
MARKETS FUND CLASS Y
- RIF BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
5.85% |
|
EQUITY
INCOME FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
60.24% |
|
EQUITY
INCOME FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
9.48% |
|
EQUITY
INCOME FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
8.52% |
|
EQUITY
INCOME FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
5.11% |
|
EQUITY
INCOME FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
42.72% |
|
EQUITY
INCOME FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
25.05% |
|
EQUITY
INCOME FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
9.73% |
|
EQUITY
INCOME FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF
OUR
CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
8.71% |
|
EQUITY
INCOME FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
22.29% |
|
EQUITY
INCOME FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
15.73% |
|
EQUITY
INCOME FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
12.94% |
|
EQUITY
INCOME FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
10.12% |
|
EQUITY
INCOME FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
9.51% |
|
EQUITY
INCOME FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
5.46% |
|
EQUITY
INCOME FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR SPIRE ALABAMA INC
FBO
ALABAMA GAS CORP RET HOURLY EMPLOYEE BENEFIT PLANS TRUST 1301 2ND AVE FL
18 SEATTLE WA
98101-3814,
73.58% |
|
EQUITY
INCOME FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR AGFIRST FBO AGFIRST
FARM
CREDIT BANK SUPP EXEC TRUST 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
26.42% |
|
GLOBAL
EQUITY FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
52.94% |
|
GLOBAL
EQUITY FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
13.50% |
|
GLOBAL
EQUITY FUND CLASS A
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF
OUR
CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
8.56% |
|
GLOBAL
EQUITY FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
7.35% |
|
GLOBAL
EQUITY FUND CLASS A
- RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS PROCESSING
OMNIBUS
ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400 MINNEAPOLIS MN
55401-7554,
6.63% |
|
GLOBAL
EQUITY FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
5.22% |
|
GLOBAL
EQUITY FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
24.32% |
|
GLOBAL
EQUITY FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
23.84% |
|
GLOBAL
EQUITY FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF
OUR
CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
17.98% |
|
GLOBAL
EQUITY FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
17.95% |
|
GLOBAL
EQUITY FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
7.07% |
|
GLOBAL
EQUITY FUND CLASS C
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
5.27% |
|
GLOBAL
EQUITY FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
47.50% |
|
GLOBAL
EQUITY FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
22.75% |
|
GLOBAL
EQUITY FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
16.55% |
|
GLOBAL
EQUITY FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
25.65% |
|
GLOBAL
EQUITY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
18.59% |
|
GLOBAL
EQUITY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
13.82% |
|
GLOBAL
EQUITY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
13.31% |
|
GLOBAL
EQUITY FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
9.97% |
|
GLOBAL
EQUITY FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
7.42% |
|
GLOBAL
EQUITY FUND CLASS S
- CHARLES SCHWAB & CO., INC SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE
BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
6.04% |
|
GLOBAL
EQUITY FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV DIVISION
FUND
OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
28.91% |
|
GLOBAL
EQUITY FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV DIVISION
FUND
OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
25.88% |
|
GLOBAL
EQUITY FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
12.67% |
|
GLOBAL
EQUITY FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS DISCRETIONARY
INVESTMENT
MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS ANGELES CA
90040-1502,
9.16% |
|
GLOBAL
EQUITY FUND CLASS Y
- RIF BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
9.06% |
|
GLOBAL
EQUITY FUND CLASS Y
- RIF GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV DIVISION
FUND
OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
7.38% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
53.72% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
14.25% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 11.27% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 6.78% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS A
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
6.04% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
33.06% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
19.38% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 18.16% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS C
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 8.98% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
6.78% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
52.95% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
18.11% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
16.57% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 26.68% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS S
- SEI PRIVATE TRUST COMPANY C/O ROCKLAND TRUST
COMPANY
1 FREEDOM VALLEY DRIVE OAKS PA 19456-9989, 22.27% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
12.62% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
11.58% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
10.55% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 6.59% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
27.88% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
25.88% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS
DISCRETIONARY
INVESTMENT MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS
ANGELES
CA 90040-1502, 15.86% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 12.48% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS Y
- RIF BALANCED STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 8.71% |
|
GLOBAL
INFRASTRUCTURE FUND CLASS Y
- RIF GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
7.26% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
85.87% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
57.73% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
12.52% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY NJ 07310-1995, 10.88% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
9.78% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 47.16% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
18.30% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
17.53% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS R6
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 42.91% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO LAIDIG SYSTEMS,
INC.
EMPLOYEES' PLA 259360 P.O. BOX 10758 FARGO ND 58106-0758,
20.54% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS R6
- AUL AMERICAN UNIT INVESTMENT TRUST ATTN
SEPARATE
ACCOUNTS PO BOX 368 INDIANAPOLIS IN 46206-0368,
7.49% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO WARRICK &
BOYN,
LLP PROFIT SHARING 259384 P.O. BOX 10758 FARGO ND 58106-0758,
6.01% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
32.17% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 22.59% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
14.88% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR
SAN
DIEGO CA 92121-3091, 8.23% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
5.91% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS S
- CHARLES SCHWAB & CO., INC SPECIAL CUSTODY
ACCOUNT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET
SAN
FRANCISCO
CA 94105-1901, 5.36% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 32.99% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
25.56% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
20.59% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS
DISCRETIONARY
INVESTMENT MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS
ANGELES
CA 90040-1502, 11.89% |
|
GLOBAL
REAL ESTATE SECURITIES FUND CLASS Y
- MODERATE STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
6.51% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 65.38% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC
SPECIAL
CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT
LOUIS MO
63103-2523,
14.31% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS A
- RBC CAPITAL MARKETS LLC MUTUAL FUND
OMNIBUS
PROCESSING OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE
1400
MINNEAPOLIS
MN 55401-7554, 7.01% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 35.54% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC
SPECIAL
CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT
LOUIS MO
63103-2523,
27.16% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL
FUNDS
HOUSE ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST
PETERSBURG FL
33716-1102,
14.34% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY NJ 07310-1995, 10.32% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL
CUSTODY
ACCT FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA
94105-1901, 5.57% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 48.29% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL
CUSTODY
A/C FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
21.69% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 14.91% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC
SPECIAL
CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT
LOUIS MO
63103-2523,
29.62% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 15.52% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL
CUSTODY
A/C FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
14.65% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
12.05% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE
DR
SAN DIEGO CA 92121-3091, 9.07% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL
FUNDS
HOUSE ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST
PETERSBURG FL
33716-1102,
6.49% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS S
- CHARLES SCHWAB & CO., INC SPECIAL
CUSTODY
ACCOUNT FOR THE EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN
STREET
SAN FRANCISCO CA 94105-1901, 5.08% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS
DISCRETIONARY
INVESTMENT MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS
ANGELES
CA 90040-1502, 51.60% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR
SPIRE
ALABAMA INC FBO ALABAMA GAS CORP RET HOURLY EMPLOYEE BENEFIT PLANS TRUST
1301 2ND
AVE
FL 18 SEATTLE WA 98101-3814, 21.60% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR
SPIRE
ALABAMA INC FBO ALABAMA GAS CORP RET SALARIED EMPLOYEE BENEFIT PLANS TRUST
1301 2ND
AVE
FL 18 SEATTLE WA 98101-3814, 13.27% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR
AGFIRST
FBO AGFIRST FARM CREDIT BANK SUPP EXEC TRUST 1301 2ND AVE FL 18 SEATTLE WA
98101-3814,
5.21% |
|
INTERNATIONAL
DEVELOPED MARKETS FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR
SPIRE
ALABAMA INC FBO ALABAMA GAS CORP RET SALARIED EMP GRP LIFE INS PLAN TRUST
1301 2ND
AVE
FL 18 SEATTLE WA 98101-3814, 5.13% |
|
INVESTMENT
GRADE BOND FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
79.25% |
|
INVESTMENT
GRADE BOND FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 12.60% |
|
INVESTMENT
GRADE BOND FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
42.16% |
|
INVESTMENT
GRADE BOND FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
21.93% |
|
INVESTMENT
GRADE BOND FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 12.76% |
|
INVESTMENT
GRADE BOND FUND CLASS C
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 8.53% |
|
INVESTMENT
GRADE BOND FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
7.18% |
|
INVESTMENT
GRADE BOND FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
6.01% |
|
INVESTMENT
GRADE BOND FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
48.26% |
|
INVESTMENT
GRADE BOND FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
17.82% |
|
INVESTMENT
GRADE BOND FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
17.71% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO LAIDIG SYSTEMS, INC.
EMPLOYEES'
PLA 259360 P.O. BOX 10758 FARGO ND 58106-0758,
30.76% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO WARRICK & BOYN, LLP
PROFIT
SHARING 259384 P.O. BOX 10758 FARGO ND 58106-0758,
16.63% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO INDIANA TRUST 401K
PLAN
259345 P.O. BOX 10758 FARGO ND 58106-0758, 12.27% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- MATRIX TRUST COMPANY CUST. FBO CREATIVE DIE MOLD
CORP
401K PSP 717 17TH STREET SUITE 1300 DENVER CO 80202-3304,
10.51% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
8.00% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO MIDLAND ENGINEERING
CO.,
INC, EMPLO 259365 P.O. BOX 10758 FARGO ND 58106-0758,
7.28% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO BORKHOLDER BUILDINGS
&
SUPPLY LLC E 259351 P.O. BOX 10758 FARGO ND 58106-0758,
6.29% |
|
INVESTMENT
GRADE BOND FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO SPEEDGRIP CHUCK, CO.
PROFIT
SHARING 259378 P.O. BOX 10758 FARGO ND 58106-0758,
5.61% |
|
INVESTMENT
GRADE BOND FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 26.20% |
|
INVESTMENT
GRADE BOND FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
22.92% |
|
INVESTMENT
GRADE BOND FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
13.42% |
|
INVESTMENT
GRADE BOND FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
12.15% |
|
INVESTMENT
GRADE BOND FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 10.71% |
|
INVESTMENT
GRADE BOND FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
6.45% |
|
INVESTMENT
GRADE BOND FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
64.06% |
|
INVESTMENT
GRADE BOND FUND CLASS Y
- MODERATE STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
14.34% |
|
INVESTMENT
GRADE BOND FUND CLASS Y
- CONSERVATIVE STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 7.74% |
|
INVESTMENT
GRADE BOND FUND CLASS Y
- BERRIEN COUNTY HEALTHCARE TRUST BERRIEN COUNTY
ADMINISTRATION
CTR 701 MAIN ST SAINT JOSEPH MI 49085-1316, 6.56% |
|
LONG
DURATION BOND FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
46.10% |
|
LONG
DURATION BOND FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
22.88% |
|
LONG
DURATION BOND FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
16.11% |
|
LONG
DURATION BOND FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
25.83% |
|
LONG
DURATION BOND FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
19.10% |
|
LONG
DURATION BOND FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
19.02% |
|
LONG
DURATION BOND FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
17.16% |
|
LONG
DURATION BOND FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 10.36% |
|
LONG
DURATION BOND FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
30.10% |
|
LONG
DURATION BOND FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
24.31% |
|
LONG
DURATION BOND FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
8.41% |
|
LONG
DURATION BOND FUND CLASS Y
- CONSERVATIVE STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
8.21% |
|
LONG
DURATION BOND FUND CLASS Y
- RIF BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
8.20% |
|
LONG
DURATION BOND FUND CLASS Y
- MODERATE STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
8.00% |
|
LONG
DURATION BOND FUND CLASS Y
- RIF GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
6.80% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
52.89% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
34.32% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS A
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
5.03% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
33.42% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
28.61% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS C
- CETERA INVESTMENT SVCS (FBO) KEITH E MANUEL
KERNERSVILLE
NC 27284, 11.32% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS C
- CETERA INVESTMENT SVCS (FBO) ROXANNE C
HAMMACK
REIDSVILLE NC 27320, 7.91% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS C
- CETERA INVESTMENT SVCS (FBO) BRENDA C JOYCE
REIDSVILLE
NC 27320, 7.68% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS C
- CETERA INVESTMENT SVCS (FBO) DEANNA C WILES
REIDSVILLE
NC 27320, 7.68% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 46.86% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
22.74% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
15.80% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
33.06% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
12.64% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
12.48% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 12.31% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR
SAN
DIEGO CA 92121-3091, 10.86% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
7.59% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 54.34% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
26.44% |
|
MULTI-ASSET
GROWTH STRATEGY FUND CLASS Y
- RIF GROWTH STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
15.26% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 67.62% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 30.14% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO GERRITY
GROUP,
LLC 401K SAVINGS 42 286 P.O. BOX 10758 FARGO ND 58106-0758,
100.00% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
42.45% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 39.60% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL
CUSTODY
A/C FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
12.67% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS Y
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 32.86% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
27.89% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
18.12% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL
INVESTMENTS
- INV DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE
WA
98101-3814,
12.07% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND CLASS Y
- CHARLES SCHWAB & CO INC SPECIAL
CUSTODY
ACCOUNT FOR THE EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN
STREET
SAN FRANCISCO CA 94105-1901, 5.92% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
94.18% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
73.81% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS C
- RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS
PROCESSING
OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400
MINNEAPOLIS
MN
55401-7554, 19.03% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
66.62% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
29.91% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS R6
- RUSSELL INVESTMENT MANAGEMENT LLC ATTN KARI
SEABRANDS
1301 SECOND AVENUE 18TH FLOOR SEATTLE WA 98101-3814,
72.28% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS R6
- ASCENSUS TRUST COMPANY FBO GERRITY GROUP, LLC
401K
SAVINGS 42 286 P.O. BOX 10758 FARGO ND 58106-0758,
27.65% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
62.97% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
17.77% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
11.00% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS Y
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
27.85% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
23.85% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
23.45% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 13.14% |
|
MULTIFACTOR
U.S. EQUITY FUND CLASS Y
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN
FRANCISCO
CA
94105-1901, 5.09% |
|
MULTI-STRATEGY
INCOME FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 46.60% |
|
MULTI-STRATEGY
INCOME FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
14.75% |
|
MULTI-STRATEGY
INCOME FUND CLASS A
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
11.63% |
|
MULTI-STRATEGY
INCOME FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
10.63% |
|
MULTI-STRATEGY
INCOME FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO
CA
92121-3091, 7.57% |
|
MULTI-STRATEGY
INCOME FUND CLASS A
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
7.55% |
|
MULTI-STRATEGY
INCOME FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 47.64% |
|
MULTI-STRATEGY
INCOME FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
20.20% |
|
MULTI-STRATEGY
INCOME FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
12.78% |
|
MULTI-STRATEGY
INCOME FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
12.70% |
|
MULTI-STRATEGY
INCOME FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
45.96% |
|
MULTI-STRATEGY
INCOME FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
20.61% |
|
MULTI-STRATEGY
INCOME FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
13.94% |
|
MULTI-STRATEGY
INCOME FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 57.65% |
|
MULTI-STRATEGY
INCOME FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
10.28% |
|
MULTI-STRATEGY
INCOME FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO
CA
92121-3091, 8.51% |
|
MULTI-STRATEGY
INCOME FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
7.15% |
|
MULTI-STRATEGY
INCOME FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
6.84% |
|
MULTI-STRATEGY
INCOME FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
58.53% |
|
MULTI-STRATEGY
INCOME FUND CLASS Y
- RIF BALANCED STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 16.01% |
|
MULTI-STRATEGY
INCOME FUND CLASS Y
- MODERATE STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
12.37% |
|
MULTI-STRATEGY
INCOME FUND CLASS Y
- CONSERVATIVE STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 7.04% |
|
MULTI-STRATEGY
INCOME FUND CLASS Y
- RIF MODERATE STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 6.05% |
|
OPPORTUNISTIC
CREDIT FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
52.14% |
|
OPPORTUNISTIC
CREDIT FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 31.38% |
|
OPPORTUNISTIC
CREDIT FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
39.01% |
|
OPPORTUNISTIC
CREDIT FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
26.07% |
|
OPPORTUNISTIC
CREDIT FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 15.30% |
|
OPPORTUNISTIC
CREDIT FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 9.37% |
|
OPPORTUNISTIC
CREDIT FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
6.23% |
|
OPPORTUNISTIC
CREDIT FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
54.29% |
|
OPPORTUNISTIC
CREDIT FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
20.34% |
|
OPPORTUNISTIC
CREDIT FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
15.21% |
|
OPPORTUNISTIC
CREDIT FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 44.06% |
|
OPPORTUNISTIC
CREDIT FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
18.38% |
|
OPPORTUNISTIC
CREDIT FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
11.71% |
|
OPPORTUNISTIC
CREDIT FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
10.90% |
|
OPPORTUNISTIC
CREDIT FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS DISCRETIONARY
INVESTMENT
MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS ANGELES CA
90040-1502,
27.92% |
|
OPPORTUNISTIC
CREDIT FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
23.83% |
|
OPPORTUNISTIC
CREDIT FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
21.99% |
|
OPPORTUNISTIC
CREDIT FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 10.62% |
|
OPPORTUNISTIC
CREDIT FUND CLASS Y
- RIF GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
6.12% |
|
OPPORTUNISTIC
CREDIT FUND CLASS Y
- MODERATE STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
5.03% |
|
SHORT
DURATION BOND FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
47.58% |
|
SHORT
DURATION BOND FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 20.28% |
|
SHORT
DURATION BOND FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
9.72% |
|
SHORT
DURATION BOND FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO
CA
92121-3091, 7.93% |
|
SHORT
DURATION BOND FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 27.20% |
|
SHORT
DURATION BOND FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 26.30% |
|
SHORT
DURATION BOND FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
19.42% |
|
SHORT
DURATION BOND FUND CLASS C
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO
CA
92121-3091, 9.00% |
|
SHORT
DURATION BOND FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
8.46% |
|
SHORT
DURATION BOND FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
6.61% |
|
SHORT
DURATION BOND FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
48.74% |
|
SHORT
DURATION BOND FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
16.96% |
|
SHORT
DURATION BOND FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
15.15% |
|
SHORT
DURATION BOND FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN
FRANCISCO CA
94105-1901,
6.65% |
|
SHORT
DURATION BOND FUND CLASS R6
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN
FRANCISCO
CA
94105-1901, 44.28% |
|
SHORT
DURATION BOND FUND CLASS R6
- MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST,
INC.
MIDWEST ENGINEERING & AUTOMATION INCORPORATED SAFE HARBOR 401(K) PLA
717 17TH STREET,
SUITE
1300 DENVER CO 80202-3304, 26.52% |
|
SHORT
DURATION BOND FUND CLASS R6
- MATRIX TRUST COMPANY CUST. FBO CREATIVE DIE MOLD
CORP
401K PSP 717 17TH STREET SUITE 1300 DENVER CO 80202-3304,
16.22% |
|
SHORT
DURATION BOND FUND CLASS R6
- MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST,
INC.
DELTA MEDICAL SYSTEMS, INC. 401(K) 717 17TH STREET, SUITE 1300 DENVER CO
80202-3304, 5.73% |
|
SHORT
DURATION BOND FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
25.34% |
|
SHORT
DURATION BOND FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
22.89% |
|
SHORT
DURATION BOND FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 16.21% |
|
SHORT
DURATION BOND FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
12.27% |
|
SHORT
DURATION BOND FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO
CA
92121-3091, 8.56% |
|
SHORT
DURATION BOND FUND CLASS Y
- UBS WM USA 0O0 11011 6100 OMNI ACCOUNT M/F SPEC CDY A/C
EBOC
UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761,
46.56% |
|
SHORT
DURATION BOND FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR SPIRE ALABAMA
INC
FBO ALABAMA GAS CORP RET HOURLY EMPLOYEE BENEFIT PLANS TRUST 1301 2ND AVE
FL 18
SEATTLE
WA 98101-3814, 14.07% |
|
SHORT
DURATION BOND FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
9.17% |
|
SHORT
DURATION BOND FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR SPIRE ALABAMA
INC
FBO ALABAMA GAS CORP RET SALARIED EMPLOYEE BENEFIT PLANS TRUST 1301 2ND
AVE FL 18
SEATTLE
WA 98101-3814, 8.75% |
|
SHORT
DURATION BOND FUND CLASS Y
- CONSERVATIVE STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
5.60% |
|
STRATEGIC
BOND FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
61.01% |
|
STRATEGIC
BOND FUND CLASS A
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
11.99% |
|
STRATEGIC
BOND FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
11.89% |
|
STRATEGIC
BOND FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
35.61% |
|
STRATEGIC
BOND FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
20.44% |
|
STRATEGIC
BOND FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
17.20% |
|
STRATEGIC
BOND FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF
OUR
CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
16.22% |
|
STRATEGIC
BOND FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
48.48% |
|
STRATEGIC
BOND FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
21.61% |
|
STRATEGIC
BOND FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
14.73% |
|
STRATEGIC
BOND FUND CLASS R6
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
37.90% |
|
STRATEGIC
BOND FUND CLASS R6
- AUL GROUP RETIREMENT ANNUITY SEPARATE ACCOUNT II ATTN
SEPARATE
ACCOUNTS PO BOX 368 INDIANAPOLIS IN 46206-0368,
17.73% |
|
STRATEGIC
BOND FUND CLASS R6
- MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC.
WOODFIN
ORTHODONTICS, P.A. EMPLOYEE PROFIT SHARING PLAN 717 17TH STREET, SUITE
1300 DENVER
CO
80202-3304, 13.13% |
|
STRATEGIC
BOND FUND CLASS R6
- MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC.
DELTA
MEDICAL SYSTEMS, INC. 401(K) 717 17TH STREET, SUITE 1300 DENVER CO
80202-3304, 8.50% |
|
STRATEGIC
BOND FUND CLASS R6
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE
BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
8.45% |
|
STRATEGIC
BOND FUND CLASS R6
- MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC.
MIDWEST
ENGINEERING & AUTOMATION INCORPORATED SAFE HARBOR 401(K) PLA 717 17TH
STREET,
SUITE
1300 DENVER CO 80202-3304, 7.10% |
|
STRATEGIC
BOND FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
36.34% |
|
STRATEGIC
BOND FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
17.22% |
|
STRATEGIC
BOND FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
13.11% |
|
STRATEGIC
BOND FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS
ATTN
MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
12.07% |
|
STRATEGIC
BOND FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
8.74% |
|
STRATEGIC
BOND FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
6.02% |
|
STRATEGIC
BOND FUND CLASS Y
- LOAN COLLATERAL ACCOUNT PNC BANK, NATIONAL ASSOCIATION
EDUCATIONAL
TESTING SERVICE 600 CUTHBERT BLVD 5TH FLOOR HADDON TOWNSHIP NJ 08108-3642,
29.50% |
|
STRATEGIC
BOND FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS DISCRETIONARY
INVESTMENT
MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS ANGELES CA
90040-1502,
27.64% |
|
STRATEGIC
BOND FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV DIVISION
FUND
OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
14.27% |
|
STRATEGIC
BOND FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV DIVISION
FUND
OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
9.46% |
|
STRATEGIC
BOND FUND CLASS Y
- MODERATE STRATEGY FUND RUSSELL INVESTMENTS - INV DIVISION
FUND
OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
7.66% |
|
STRATEGIC
BOND FUND CLASS Y
- CONSERVATIVE STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
6.86% |
|
SUSTAINABLE
EQUITY FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
39.87% |
|
SUSTAINABLE
EQUITY FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
14.76% |
|
SUSTAINABLE
EQUITY FUND CLASS A
- RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS
PROCESSING
OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400
MINNEAPOLIS
MN
55401-7554, 14.04% |
|
SUSTAINABLE
EQUITY FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
9.30% |
|
SUSTAINABLE
EQUITY FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 8.03% |
|
SUSTAINABLE
EQUITY FUND CLASS A
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
7.00% |
|
SUSTAINABLE
EQUITY FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 39.01% |
|
SUSTAINABLE
EQUITY FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
20.97% |
|
SUSTAINABLE
EQUITY FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 15.95% |
|
SUSTAINABLE
EQUITY FUND CLASS C
- RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS
PROCESSING
OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400
MINNEAPOLIS
MN
55401-7554, 7.17% |
|
SUSTAINABLE
EQUITY FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
5.48% |
|
SUSTAINABLE
EQUITY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
26.71% |
|
SUSTAINABLE
EQUITY FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 16.11% |
|
SUSTAINABLE
EQUITY FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 9.78% |
|
SUSTAINABLE
EQUITY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
8.34% |
|
SUSTAINABLE
EQUITY FUND CLASS S
- CHARLES SCHWAB & CO., INC SPECIAL CUSTODY ACCOUNT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN
FRANCISCO CA
94105-1901,
7.86% |
|
SUSTAINABLE
EQUITY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
7.36% |
|
SUSTAINABLE
EQUITY FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR SPIRE ALABAMA
INC
FBO ALABAMA GAS CORP RET HOURLY EMPLOYEE BENEFIT PLANS TRUST 1301 2ND AVE
FL 18
SEATTLE
WA 98101-3814, 100.00% |
|
TAX-EXEMPT
BOND FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
57.25% |
|
TAX-EXEMPT
BOND FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 26.31% |
|
TAX-EXEMPT
BOND FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
6.30% |
|
TAX-EXEMPT
BOND FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
61.44% |
|
TAX-EXEMPT
BOND FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 11.09% |
|
TAX-EXEMPT
BOND FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
7.75% |
|
TAX-EXEMPT
BOND FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT
OF
OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
6.77% |
|
TAX-EXEMPT
BOND FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
5.21% |
|
TAX-EXEMPT
BOND FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
57.89% |
|
TAX-EXEMPT
BOND FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
18.34% |
|
TAX-EXEMPT
BOND FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
12.76% |
|
TAX-EXEMPT
BOND FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
22.73% |
|
TAX-EXEMPT
BOND FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO CA
92121-3091,
22.55% |
|
TAX-EXEMPT
BOND FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 14.58% |
|
TAX-EXEMPT
BOND FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
13.52% |
|
TAX-EXEMPT
BOND FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
13.40% |
|
TAX-EXEMPT
BOND FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM
92500015
ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL 33716-1102,
5.88% |
|
TAX-EXEMPT
BOND FUND CLASS S
- CHARLES SCHWAB & CO., INC SPECIAL CUSTODY ACCOUNT FOR THE
EXCLUSIVE
BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
5.08% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
61.99% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
23.88% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS A
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY NJ 07310-1995, 5.19% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
64.91% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
7.79% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
5.80% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY NJ 07310-1995, 5.06% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 56.59% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
18.67% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
13.62% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
22.62% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 22.44% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
13.82% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 13.51% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
13.29% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
5.76% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 83.12% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 75.56% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS C
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE
DR
SAN DIEGO CA 92121-3091, 6.09% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY NJ 07310-1995, 5.80% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 59.55% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL
CUSTODY
A/C FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
17.46% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 13.27% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY
NJ
07399-2052, 26.91% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE
DR
SAN DIEGO CA 92121-3091, 20.66% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL
CUSTODY
A/C FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901,
15.12% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 12.90% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC
SPECIAL
CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT
LOUIS MO
63103-2523,
10.37% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL
FUNDS
HOUSE ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST
PETERSBURG FL
33716-1102,
6.26% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
88.07% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
5.39% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
82.80% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
7.21% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
61.23% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
16.66% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
12.08% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 23.07% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
19.91% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
15.47% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
8.14% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
6.59% |
|
TAX-MANAGED
REAL ASSETS FUND CLASS S
- CHARLES SCHWAB & CO., INC SPECIAL CUSTODY ACCOUNT
FOR
THE EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET SAN
FRANCISCO
CA
94105-1901, 5.26% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
59.06% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
14.35% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
11.37% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
43.55% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
14.05% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
10.81% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS C
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 10.11% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
8.89% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS C
- RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS
PROCESSING
OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400
MINNEAPOLIS
MN
55401-7554, 6.14% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY NJ 07310-1995, 5.92% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 57.52% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C
FBO
CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
16.89% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
14.75% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
26.46% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN
DIEGO
CA 92121-3091, 19.05% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
13.89% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 13.66% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
9.78% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE
ACCT
FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102,
6.58% |
|
TAX-MANAGED
U.S. LARGE CAP FUND CLASS S
- CHARLES SCHWAB & CO., INC SPECIAL CUSTODY
ACCOUNT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN STREET
SAN
FRANCISCO
CA 94105-1901, 5.65% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
46.07% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY
A/C
FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901, 21.81% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
13.12% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS A
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
5.89% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS A
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR
SAN
DIEGO CA 92121-3091, 5.31% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
42.87% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
12.79% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
11.41% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS C
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE
DR
SAN DIEGO CA 92121-3091, 9.98% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS C
- RBC CAPITAL MARKETS LLC MUTUAL FUND
OMNIBUS
PROCESSING OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE
1400
MINNEAPOLIS
MN 55401-7554, 8.81% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY
ACCT
FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
7.32% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY NJ 07310-1995, 5.81% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 60.17% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY
A/C
FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901, 15.13% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
14.64% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL
CUSTODY
ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523,
23.67% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ
07399-2052,
23.27% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR
SAN
DIEGO CA 92121-3091, 15.16% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 13.43% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY
A/C
FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA
94105-1901, 10.86% |
|
TAX-MANAGED
U.S. MID & SMALL CAP FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS
HOUSE
ACCT FIRM 92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG
FL
33716-1102,
5.31% |
|
U.S.
SMALL CAP EQUITY FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
58.55% |
|
U.S.
SMALL CAP EQUITY FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 15.01% |
|
U.S.
SMALL CAP EQUITY FUND CLASS A
- RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS
PROCESSING
OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400
MINNEAPOLIS
MN
55401-7554, 13.08% |
|
U.S.
SMALL CAP EQUITY FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901,
5.03% |
|
U.S.
SMALL CAP EQUITY FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
40.93% |
|
U.S.
SMALL CAP EQUITY FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 30.05% |
|
U.S.
SMALL CAP EQUITY FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 9.76% |
|
U.S.
SMALL CAP EQUITY FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
7.18% |
|
U.S.
SMALL CAP EQUITY FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
47.08% |
|
U.S.
SMALL CAP EQUITY FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
20.06% |
|
U.S.
SMALL CAP EQUITY FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
19.20% |
|
U.S.
SMALL CAP EQUITY FUND CLASS R6
- MATRIX TRUST COMPANY CUST. FBO CREATIVE DIE MOLD
CORP
401K PSP 717 17TH STREET SUITE 1300 DENVER CO 80202-3304,
39.47% |
|
U.S.
SMALL CAP EQUITY FUND CLASS R6
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
36.75% |
|
U.S.
SMALL CAP EQUITY FUND CLASS R6
- MID ATLANTIC TRUST COMPANY FBO THE WEALTHY
CONTRACTOR
INC. 401(K) 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228,
11.37% |
|
U.S.
SMALL CAP EQUITY FUND CLASS R6
- AUL AMERICAN UNIT INVESTMENT TRUST ATTN SEPARATE
ACCOUNTS
PO BOX 368 INDIANAPOLIS IN 46206-0368, 10.97% |
|
U.S.
SMALL CAP EQUITY FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 44.54% |
|
U.S.
SMALL CAP EQUITY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
13.97% |
|
U.S.
SMALL CAP EQUITY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
10.43% |
|
U.S.
SMALL CAP EQUITY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
10.01% |
|
U.S.
SMALL CAP EQUITY FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO
CA
92121-3091, 5.28% |
|
U.S.
SMALL CAP EQUITY FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
32.16% |
|
U.S.
SMALL CAP EQUITY FUND CLASS Y
- BALANCED STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
26.93% |
|
U.S.
SMALL CAP EQUITY FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 19.10% |
|
U.S.
SMALL CAP EQUITY FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS DISCRETIONARY
INVESTMENT
MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS ANGELES CA
90040-1502,
10.46% |
|
U.S.
SMALL CAP EQUITY FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY FOR SPIRE ALABAMA
INC
FBO ALABAMA GAS CORP RET HOURLY EMPLOYEE BENEFIT PLANS TRUST 1301 2ND AVE
FL 18
SEATTLE
WA 98101-3814, 5.48% |
|
U.S.
STRATEGIC EQUITY FUND CLASS A
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
41.75% |
|
U.S.
STRATEGIC EQUITY FUND CLASS A
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 38.95% |
|
U.S.
STRATEGIC EQUITY FUND CLASS A
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
8.13% |
|
U.S.
STRATEGIC EQUITY FUND CLASS C
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 22.13% |
|
U.S.
STRATEGIC EQUITY FUND CLASS C
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 18.03% |
|
U.S.
STRATEGIC EQUITY FUND CLASS C
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
17.90% |
|
U.S.
STRATEGIC EQUITY FUND CLASS C
- RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS
PROCESSING
OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400
MINNEAPOLIS
MN
55401-7554, 15.15% |
|
U.S.
STRATEGIC EQUITY FUND CLASS C
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
11.48% |
|
U.S.
STRATEGIC EQUITY FUND CLASS C
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENEFIT
OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
11.22% |
|
U.S.
STRATEGIC EQUITY FUND CLASS M
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE
BENE
OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY
CITY NJ
07310-1995,
46.53% |
|
U.S.
STRATEGIC EQUITY FUND CLASS M
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
22.87% |
|
U.S.
STRATEGIC EQUITY FUND CLASS M
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
15.70% |
|
U.S.
STRATEGIC EQUITY FUND CLASS S
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY
ACCT
FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO
63103-2523, 41.05% |
|
U.S.
STRATEGIC EQUITY FUND CLASS S
- CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO
CUSTOMERS
ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901,
14.60% |
|
U.S.
STRATEGIC EQUITY FUND CLASS S
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
11.39% |
|
U.S.
STRATEGIC EQUITY FUND CLASS S
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
10.78% |
|
U.S.
STRATEGIC EQUITY FUND CLASS S
- LPL FINANCIAL A/C 1000-0005 4707 EXECUTIVE DR SAN DIEGO
CA
92121-3091, 9.08% |
|
U.S.
STRATEGIC EQUITY FUND CLASS S
- RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT
FIRM
92500015 ATTN COURTNEY WALLER 880 CARILLON PARKWAY ST PETERSBURG FL
33716-1102, 6.33% |
|
U.S.
STRATEGIC EQUITY FUND CLASS Y
- RUSSELL INVESTMENTS TRUST COMPANY AS DISCRETIONARY
INVESTMENT
MANAGER FBO ALTAMED HEALTH SERVICE CORP 2040 CAMFIELD AVE LOS ANGELES CA
90040-1502,
41.49% |
|
U.S.
STRATEGIC EQUITY FUND CLASS Y
- GROWTH STRATEGY FUND RUSSELL INVESTMENTS - INV
DIVISION
FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA 98101-3814,
37.22% |
|
U.S.
STRATEGIC EQUITY FUND CLASS Y
- EQUITY GROWTH STRATEGY FUND RUSSELL INVESTMENTS -
INV
DIVISION FUND OF FUNDS PORTFOLIO MANAGER 1301 2ND AVE FL 18 SEATTLE WA
98101-3814, 21.29% |
|
EMERGING
MARKETS FUND
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE
EXCLUSIVE
BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
26.69% |
|
GLOBAL
REAL ESTATE SECURITIES FUND
- PERSHING LLC 1 PERSHING PLZ JERSEY CITY NJ 07399-2052,
26.18% |
|
MULTIFACTOR
INTERNATIONAL EQUITY FUND
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 36.90% |
|
MULTIFACTOR
U.S. EQUITY FUND
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
26.84% |
|
MULTI-STRATEGY
INCOME FUND
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
35.30% |
|
OPPORTUNISTIC
CREDIT FUND
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
32.39% |
|
TAX-EXEMPT
BOND FUND
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF OUR
CUSTOMER
ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995, 26.20% |
|
TAX-EXEMPT
HIGH YIELD BOND FUND
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
25.61% |
|
TAX-MANAGED
INTERNATIONAL EQUITY FUND
- NATIONAL FINANCIAL SERVICES LLC FOR THE
EXCLUSIVE
BENE OF OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD
JERSEY
CITY
NJ 07310-1995, 26.35% |
|
TAX-MANAGED
REAL ASSETS FUND
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE OF
OUR
CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ
07310-1995,
29.92% |
|
TAX-MANAGED
U.S. LARGE CAP FUND
- NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENE
OF
OUR CUSTOMER ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY
NJ 07310-1995,
25.45% |
|
U.S.
SMALL CAP EQUITY FUND
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
34.08% |
|
U.S.
STRATEGIC EQUITY FUND
- WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR
THE
EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET ST SAINT LOUIS MO 63103-2523,
31.32% |
|