REGION|CLASS|CATEGORY|SECTOR|CODE|No|NAME|TYPE|AUM|USDWEIGHT|STOCK|WEIGHT% North America|Equity|Large Cap Growth Equities||SPY|6|1.ASSET|Equity|396459|27672.84|AAPL| Apple Inc.| 6.98%| North America|Equity|Large Cap Growth Equities||SPY|6|2.ASSET|Equity|396459|24025.42|MSFT| Microsoft Corporation| 6.06%| North America|Equity|Large Cap Growth Equities||SPY|6|3.ASSET|Equity|396459|14153.59|AMZN| Amazon.com, Inc.| 3.57%| North America|Equity|Large Cap Growth Equities||SPY|6|4.ASSET|Equity|396459|8642.81|GOOGL| Alphabet Inc. Class A| 2.18%| North America|Equity|Large Cap Growth Equities||SPY|6|5.ASSET|Equity|396459|8048.12|GOOG| Alphabet Inc. Class C| 2.03%| North America|Equity|Large Cap Growth Equities||SPY|6|6.ASSET|Equity|396459|7612.01|TSLA| Tesla Inc| 1.92%| North America|Equity|Large Cap Growth Equities||SPY|6|7.ASSET|Equity|396459|6462.28|NVDA| NVIDIA Corporation| 1.63%| North America|Equity|Large Cap Growth Equities||SPY|6|8.ASSET|Equity|396459|6303.7|BRK.B| Berkshire Hathaway Inc. Class B| 1.59%| North America|Equity|Large Cap Growth Equities||SPY|6|9.ASSET|Equity|396459|5233.26|FB| Meta Platforms Inc. Class A| 1.32%| North America|Equity|Large Cap Growth Equities||SPY|6|10.ASSET|Equity|396459|4876.45|UNH| UnitedHealth Group Incorporated| 1.23%| North America|Equity|Large Cap Growth Equities||SPY|6|11.ASSET|Equity|396459|4678.22|JNJ| Johnson & Johnson| 1.18%| North America|Equity|Large Cap Growth Equities||SPY|6|12.ASSET|Equity|396459|4400.69|JPM| JPMorgan Chase & Co.| 1.11%| North America|Equity|Large Cap Growth Equities||SPY|6|13.ASSET|Equity|396459|3964.59|PG| Procter & Gamble Company| 1.00%| North America|Equity|Large Cap Growth Equities||SPY|6|14.ASSET|Equity|396459|3726.71|V| Visa Inc. Class A| 0.94%| North America|Equity|Large Cap Growth Equities||SPY|6|15.ASSET|Equity|396459|3687.07|HD| Home Depot, Inc.| 0.93%| North America|Equity|Large Cap Growth Equities||IVV|6|1.ASSET|Equity|318061|22073.43|AAPL| Apple Inc.| 6.94%| North America|Equity|Large Cap Growth Equities||IVV|6|2.ASSET|Equity|318061|19242.69|MSFT| Microsoft Corporation| 6.05%| North America|Equity|Large Cap Growth Equities||IVV|6|3.ASSET|Equity|318061|11482|AMZN| Amazon.com, Inc.| 3.61%| North America|Equity|Large Cap Growth Equities||IVV|6|4.ASSET|Equity|318061|6965.54|GOOGL| Alphabet Inc. Class A| 2.19%| North America|Equity|Large Cap Growth Equities||IVV|6|5.ASSET|Equity|318061|6456.64|GOOG| Alphabet Inc. Class C| 2.03%| North America|Equity|Large Cap Growth Equities||IVV|6|6.ASSET|Equity|318061|6074.97|TSLA| Tesla Inc| 1.91%| North America|Equity|Large Cap Growth Equities||IVV|6|7.ASSET|Equity|318061|5216.2|NVDA| NVIDIA Corporation| 1.64%| North America|Equity|Large Cap Growth Equities||IVV|6|8.ASSET|Equity|318061|5057.17|BRK.B| Berkshire Hathaway Inc. Class B| 1.59%| North America|Equity|Large Cap Growth Equities||IVV|6|9.ASSET|Equity|318061|4293.82|FB| Meta Platforms Inc. Class A| 1.35%| North America|Equity|Large Cap Growth Equities||IVV|6|10.ASSET|Equity|318061|3848.54|UNH| UnitedHealth Group Incorporated| 1.21%| North America|Equity|Large Cap Growth Equities||IVV|6|11.ASSET|Equity|318061|3721.31|JNJ| Johnson & Johnson| 1.17%| North America|Equity|Large Cap Growth Equities||IVV|6|12.ASSET|Equity|318061|3594.09|JPM| JPMorgan Chase & Co.| 1.13%| North America|Equity|Large Cap Growth Equities||IVV|6|13.ASSET|Equity|318061|3244.22|PG| Procter & Gamble Company| 1.02%| North America|Equity|Large Cap Growth Equities||IVV|6|14.ASSET|Equity|318061|3117|V| Visa Inc. Class A| 0.98%| North America|Equity|Large Cap Growth Equities||IVV|6|15.ASSET|Equity|318061|2862.55|HD| Home Depot, Inc.| 0.90%| North America|Equity|Large Cap Growth Equities||VTI|6|1.ASSET|Equity|275002|16417.62|AAPL| Apple Inc.| 5.97%| North America|Equity|Large Cap Growth Equities||VTI|6|2.ASSET|Equity|275002|14080.1|MSFT| Microsoft Corporation| 5.12%| North America|Equity|Large Cap Growth Equities||VTI|6|3.ASSET|Equity|275002|7782.56|AMZN| Amazon.com, Inc.| 2.83%| North America|Equity|Large Cap Growth Equities||VTI|6|4.ASSET|Equity|275002|4922.54|GOOGL| Alphabet Inc. Class A| 1.79%| North America|Equity|Large Cap Growth Equities||VTI|6|5.ASSET|Equity|275002|4537.53|TSLA| Tesla Inc| 1.65%| North America|Equity|Large Cap Growth Equities||VTI|6|6.ASSET|Equity|275002|4482.53|FB| Meta Platforms Inc. Class A| 1.63%| North America|Equity|Large Cap Growth Equities||VTI|6|7.ASSET|Equity|275002|4400.03|GOOG| Alphabet Inc. Class C| 1.60%| North America|Equity|Large Cap Growth Equities||VTI|6|8.ASSET|Equity|275002|3520.03|NVDA| NVIDIA Corporation| 1.28%| North America|Equity|Large Cap Growth Equities||VTI|6|9.ASSET|Equity|275002|3190.02|BRK.B| Berkshire Hathaway Inc. Class B| 1.16%| North America|Equity|Large Cap Growth Equities||VTI|6|10.ASSET|Equity|275002|2722.52|JNJ| Johnson & Johnson| 0.99%| North America|Equity|Large Cap Growth Equities||VTI|6|11.ASSET|Equity|275002|2695.02|UNH| UnitedHealth Group Incorporated| 0.98%| North America|Equity|Large Cap Growth Equities||VTI|6|12.ASSET|Equity|275002|2640.02|JPM| JPMorgan Chase & Co.| 0.96%| North America|Equity|Large Cap Growth Equities||VTI|6|13.ASSET|Equity|275002|2420.02|N/A| U.S. Dollar| 0.88%| North America|Equity|Large Cap Growth Equities||VTI|6|14.ASSET|Equity|275002|2337.52|PG| Procter & Gamble Company| 0.85%| North America|Equity|Large Cap Growth Equities||VTI|6|15.ASSET|Equity|275002|2310.02|HD| Home Depot, Inc.| 0.84%| North America|Equity|Large Cap Growth Equities||VOO|6|1.ASSET|Equity|273205|19397.56|AAPL| Apple Inc.| 7.10%| North America|Equity|Large Cap Growth Equities||VOO|6|2.ASSET|Equity|273205|16610.86|MSFT| Microsoft Corporation| 6.08%| North America|Equity|Large Cap Growth Equities||VOO|6|3.ASSET|Equity|273205|9288.97|AMZN| Amazon.com, Inc.| 3.40%| North America|Equity|Large Cap Growth Equities||VOO|6|4.ASSET|Equity|273205|5791.95|GOOGL| Alphabet Inc. Class A| 2.12%| North America|Equity|Large Cap Growth Equities||VOO|6|5.ASSET|Equity|273205|5409.46|TSLA| Tesla Inc| 1.98%| North America|Equity|Large Cap Growth Equities||VOO|6|6.ASSET|Equity|273205|5409.46|GOOG| Alphabet Inc. Class C| 1.98%| North America|Equity|Large Cap Growth Equities||VOO|6|7.ASSET|Equity|273205|5272.86|FB| Meta Platforms Inc. Class A| 1.93%| North America|Equity|Large Cap Growth Equities||VOO|6|8.ASSET|Equity|273205|4343.96|NVDA| NVIDIA Corporation| 1.59%| North America|Equity|Large Cap Growth Equities||VOO|6|9.ASSET|Equity|273205|4070.75|BRK.B| Berkshire Hathaway Inc. Class B| 1.49%| North America|Equity|Large Cap Growth Equities||VOO|6|10.ASSET|Equity|273205|3223.82|JNJ| Johnson & Johnson| 1.18%| North America|Equity|Large Cap Growth Equities||VOO|6|11.ASSET|Equity|273205|3169.18|UNH| UnitedHealth Group Incorporated| 1.16%| North America|Equity|Large Cap Growth Equities||VOO|6|12.ASSET|Equity|273205|3114.54|JPM| JPMorgan Chase & Co.| 1.14%| North America|Equity|Large Cap Growth Equities||VOO|6|13.ASSET|Equity|273205|2759.37|HD| Home Depot, Inc.| 1.01%| North America|Equity|Large Cap Growth Equities||VOO|6|14.ASSET|Equity|273205|2759.37|PG| Procter & Gamble Company| 1.01%| North America|Equity|Large Cap Growth Equities||VOO|6|15.ASSET|Equity|273205|2677.41|V| Visa Inc. Class A| 0.98%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|1.ASSET|Equity|182969|22779.64|AAPL| Apple Inc.| 12.45%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|2.ASSET|Equity|182969|18772.62|MSFT| Microsoft Corporation| 10.26%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|3.ASSET|Equity|182969|12844.42|AMZN| Amazon.com, Inc.| 7.02%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|4.ASSET|Equity|182969|7355.35|TSLA| Tesla Inc| 4.02%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|5.ASSET|Equity|182969|7135.79|GOOG| Alphabet Inc. Class C| 3.90%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|6.ASSET|Equity|182969|7099.2|NVDA| NVIDIA Corporation| 3.88%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|7.ASSET|Equity|182969|6751.56|GOOGL| Alphabet Inc. Class A| 3.69%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|8.ASSET|Equity|182969|6147.76|FB| Meta Platforms Inc. Class A| 3.36%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|9.ASSET|Equity|182969|3330.04|AVGO| Broadcom Inc.| 1.82%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|10.ASSET|Equity|182969|3275.15|CSCO| Cisco Systems, Inc.| 1.79%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|11.ASSET|Equity|182969|3220.25|COST| Costco Wholesale Corporation| 1.76%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|12.ASSET|Equity|182969|3147.07|PEP| PepsiCo, Inc.| 1.72%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|13.ASSET|Equity|182969|3092.18|ADBE| Adobe Inc.| 1.69%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|14.ASSET|Equity|182969|2927.5|CMCSA| Comcast Corporation Class A| 1.60%| North America|Equity|Large Cap Growth Equities|Technology|QQQ|6|15.ASSET|Equity|182969|2744.54|INTC| Intel Corporation| 1.50%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|1.ASSET|Equity|104973|2708.3|N/A| U.S. Dollar| 2.58%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|2.ASSET|Equity|104973|1595.59|NESN| Nestle S.A.| 1.52%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|3.ASSET|Equity|104973|1291.17|005930| Samsung Electronics Co., Ltd.| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|4.ASSET|Equity|104973|1186.19|ASML| ASML Holding NV| 1.13%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|5.ASSET|Equity|104973|1175.7|ROG| Roche Holding Ltd| 1.12%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|6.ASSET|Equity|104973|1091.72|7203| Toyota Motor Corp.| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|7.ASSET|Equity|104973|923.76|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|8.ASSET|Equity|104973|892.27|SHEL| Shell PLC| 0.85%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|9.ASSET|Equity|104973|808.29|AZN| AstraZeneca PLC| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|10.ASSET|Equity|104973|808.29|NOVN| Novartis AG| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|11.ASSET|Equity|104973|724.31|RY| Royal Bank of Canada| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|12.ASSET|Equity|104973|713.82|NOVO.B| Novo Nordisk A/S Class B| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|13.ASSET|Equity|104973|650.83|TD| Toronto-Dominion Bank| 0.62%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|14.ASSET|Equity|104973|650.83|HSBA| HSBC Holdings Plc| 0.62%| Developed Markets|Equity|Foreign Large Cap Equities||VEA|6|15.ASSET|Equity|104973|629.84|SAP| SAP SE| 0.60%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|1.ASSET|Equity|98530.9|1921.35|NESN| Nestle S.A.| 1.95%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|2.ASSET|Equity|98530.9|1418.84|ASML| ASML Holding NV| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|3.ASSET|Equity|98530.9|1389.29|ROG| Roche Holding Ltd| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|4.ASSET|Equity|98530.9|1113.4|SHEL| Shell PLC| 1.13%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|5.ASSET|Equity|98530.9|1034.57|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.05%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|6.ASSET|Equity|98530.9|1014.87|AZN| AstraZeneca PLC| 1.03%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|7.ASSET|Equity|98530.9|1014.87|NOVN| Novartis AG| 1.03%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|8.ASSET|Equity|98530.9|995.16|7203| Toyota Motor Corp.| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|9.ASSET|Equity|98530.9|945.9|BHP| BHP Group Ltd| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|10.ASSET|Equity|98530.9|926.19|NOVO.B| Novo Nordisk A/S Class B| 0.94%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|11.ASSET|Equity|98530.9|729.13|HSBA| HSBC Holdings Plc| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|12.ASSET|Equity|98530.9|699.57|TTE| TotalEnergies SE| 0.71%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|13.ASSET|Equity|98530.9|670.01|6758| Sony Group Corporation| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|14.ASSET|Equity|98530.9|660.16|ULVR| Unilever PLC| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||IEFA|6|15.ASSET|Equity|98530.9|650.3|1299| AIA Group Limited| 0.66%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|1.ASSET|Bond|87179.6|6460.01|Other| BlackRock Funds III Instl Money Mkt Fund| 7.41%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|2.ASSET|Bond|87179.6|767.18|N/A| GNMA II TBA 30yr 2% February Delivery 2.000% 01-AUG-2051| 0.88%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|3.ASSET|Bond|87179.6|688.72|N/A| United States Treasury Notes 0.375% 31-JAN-2026| 0.79%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|4.ASSET|Bond|87179.6|636.41|N/A| United States Treasury Notes 0.125% 31-JUL-2023| 0.73%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|5.ASSET|Bond|87179.6|566.67|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 0.65%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|6.ASSET|Bond|87179.6|549.23|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-OCT-2051| 0.63%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|7.ASSET|Bond|87179.6|514.36|N/A| United States Treasury Notes 0.25% 30-SEP-2023| 0.59%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|8.ASSET|Bond|87179.6|505.64|N/A| UMBS TBA 15yr 1.5% February Delivery 1.500% 01-NOV-2036| 0.58%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|9.ASSET|Bond|87179.6|479.49|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 0.55%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|10.ASSET|Bond|87179.6|453.33|N/A| UMBS TBA 30yr 2.5% February Delivery 2.500% 01-OCT-2051| 0.52%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|11.ASSET|Bond|87179.6|453.33|N/A| United States Treasury Notes 1.5% 15-AUG-2026| 0.52%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|12.ASSET|Bond|87179.6|444.62|N/A| FNMA 30yr Pool#MA4437 2.000% 01-Oct-2051 2.0% 01-OCT-2051| 0.51%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|13.ASSET|Bond|87179.6|435.9|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 0.50%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|14.ASSET|Bond|87179.6|435.9|N/A| United States Treasury Notes 0.75% 31-JAN-2028| 0.50%| North America|Bond|Total Bond Market|Total Bond Market|AGG|6|15.ASSET|Bond|87179.6|409.74|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-OCT-2051| 0.47%| North America|Equity|Large Cap Blend Equities||VTV|6|1.ASSET|Equity|99473.8|2994.16|BRK.B| Berkshire Hathaway Inc. Class B| 3.01%| North America|Equity|Large Cap Blend Equities||VTV|6|2.ASSET|Equity|99473.8|2486.85|JNJ| Johnson & Johnson| 2.50%| North America|Equity|Large Cap Blend Equities||VTV|6|3.ASSET|Equity|99473.8|2437.11|UNH| UnitedHealth Group Incorporated| 2.45%| North America|Equity|Large Cap Blend Equities||VTV|6|4.ASSET|Equity|99473.8|2407.27|JPM| JPMorgan Chase & Co.| 2.42%| North America|Equity|Large Cap Blend Equities||VTV|6|5.ASSET|Equity|99473.8|2128.74|PG| Procter & Gamble Company| 2.14%| North America|Equity|Large Cap Blend Equities||VTV|6|6.ASSET|Equity|99473.8|1760.69|BAC| Bank of America Corp| 1.77%| North America|Equity|Large Cap Blend Equities||VTV|6|7.ASSET|Equity|99473.8|1760.69|XOM| Exxon Mobil Corporation| 1.77%| North America|Equity|Large Cap Blend Equities||VTV|6|8.ASSET|Equity|99473.8|1621.42|PFE| Pfizer Inc.| 1.63%| North America|Equity|Large Cap Blend Equities||VTV|6|9.ASSET|Equity|99473.8|1392.63|CVX| Chevron Corporation| 1.40%| North America|Equity|Large Cap Blend Equities||VTV|6|10.ASSET|Equity|99473.8|1323|ABBV| AbbVie, Inc.| 1.33%| North America|Equity|Large Cap Blend Equities||VTV|6|11.ASSET|Equity|99473.8|1313.05|PEP| PepsiCo, Inc.| 1.32%| North America|Equity|Large Cap Blend Equities||VTV|6|12.ASSET|Equity|99473.8|1303.11|KO| Coca-Cola Company| 1.31%| North America|Equity|Large Cap Blend Equities||VTV|6|13.ASSET|Equity|99473.8|1253.37|AVGO| Broadcom Inc.| 1.26%| North America|Equity|Large Cap Blend Equities||VTV|6|14.ASSET|Equity|99473.8|1253.37|CMCSA| Comcast Corporation Class A| 1.26%| North America|Equity|Large Cap Blend Equities||VTV|6|15.ASSET|Equity|99473.8|1233.48|ABT| Abbott Laboratories| 1.24%| North America|Equity|Large Cap Growth Equities||VUG|6|1.ASSET|Equity|79142.1|10066.88|AAPL| Apple Inc.| 12.72%| North America|Equity|Large Cap Growth Equities||VUG|6|2.ASSET|Equity|79142.1|8626.49|MSFT| Microsoft Corporation| 10.90%| North America|Equity|Large Cap Growth Equities||VUG|6|3.ASSET|Equity|79142.1|4764.35|AMZN| Amazon.com, Inc.| 6.02%| North America|Equity|Large Cap Growth Equities||VUG|6|4.ASSET|Equity|79142.1|3007.4|GOOGL| Alphabet Inc. Class A| 3.80%| North America|Equity|Large Cap Growth Equities||VUG|6|5.ASSET|Equity|79142.1|2777.89|TSLA| Tesla Inc| 3.51%| North America|Equity|Large Cap Growth Equities||VUG|6|6.ASSET|Equity|79142.1|2738.32|FB| Meta Platforms Inc. Class A| 3.46%| North America|Equity|Large Cap Growth Equities||VUG|6|7.ASSET|Equity|79142.1|2706.66|GOOG| Alphabet Inc. Class C| 3.42%| North America|Equity|Large Cap Growth Equities||VUG|6|8.ASSET|Equity|79142.1|2152.67|NVDA| NVIDIA Corporation| 2.72%| North America|Equity|Large Cap Growth Equities||VUG|6|9.ASSET|Equity|79142.1|1416.64|HD| Home Depot, Inc.| 1.79%| North America|Equity|Large Cap Growth Equities||VUG|6|10.ASSET|Equity|79142.1|1345.42|V| Visa Inc. Class A| 1.70%| North America|Equity|Large Cap Growth Equities||VUG|6|11.ASSET|Equity|79142.1|1250.45|MA| Mastercard Incorporated Class A| 1.58%| North America|Equity|Large Cap Growth Equities||VUG|6|12.ASSET|Equity|79142.1|957.62|DIS| Walt Disney Company| 1.21%| North America|Equity|Large Cap Growth Equities||VUG|6|13.ASSET|Equity|79142.1|941.79|ADBE| Adobe Inc.| 1.19%| North America|Equity|Large Cap Growth Equities||VUG|6|14.ASSET|Equity|79142.1|854.73|ACN| Accenture Plc Class A| 1.08%| North America|Equity|Large Cap Growth Equities||VUG|6|15.ASSET|Equity|79142.1|846.82|TMO| Thermo Fisher Scientific Inc.| 1.07%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|1.ASSET|Equity|78716.7|4258.57|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 5.41%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|2.ASSET|Equity|78716.7|3644.58|700| Tencent Holdings Ltd.| 4.63%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|3.ASSET|Equity|78716.7|2164.71|9988| Alibaba Group Holding Ltd.| 2.75%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|4.ASSET|Equity|78716.7|1920.69|N/A| U.S. Dollar| 2.44%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|5.ASSET|Equity|78716.7|1196.49|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 1.52%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|6.ASSET|Equity|78716.7|1125.65|3690| Meituan Class B| 1.43%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|7.ASSET|Equity|78716.7|1023.32|500325| Reliance Industries Limited| 1.30%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|8.ASSET|Equity|78716.7|810.78|500209| Infosys Limited| 1.03%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|9.ASSET|Equity|78716.7|692.71|939| China Construction Bank Corporation Class H| 0.88%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|10.ASSET|Equity|78716.7|574.63|500010| Housing Development Finance Corporation Limited| 0.73%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|11.ASSET|Equity|78716.7|574.63|2454| MediaTek Inc| 0.73%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|12.ASSET|Equity|78716.7|551.02|VALE3| Vale S.A.| 0.70%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|13.ASSET|Equity|78716.7|503.79|532540| Tata Consultancy Services Limited| 0.64%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|14.ASSET|Equity|78716.7|472.3|1120| Al Rajhi Bank| 0.60%| Emerging Markets|Equity|Emerging Markets Equities||VWO|6|15.ASSET|Equity|78716.7|464.43|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.59%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|1.ASSET|Bond|83056.1|7857.11|N/A| AGENCY BOND| 9.46%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|2.ASSET|Bond|83056.1|1802.32|N/A| U.S. Dollar| 2.17%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|3.ASSET|Bond|83056.1|838.87|N/A| FNMA 30yr Pool#FM7556 3.500% 01-May-2051 3.5% 01-MAY-2051| 1.01%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|4.ASSET|Bond|83056.1|631.23|N/A| FNMA 30yr Pool#FM8302 4.000% 01-Mar-2051 4.0% 01-MAR-2051| 0.76%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|5.ASSET|Bond|83056.1|606.31|N/A| Ginnie Mae REMIC Trust 2019-052 SK 5.94612% 20-APR-2049| 0.73%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|6.ASSET|Bond|83056.1|589.7|N/A| FNMA 30yr Pool#MA4412 1.500% 01-Sep-2051 1.5% 01-SEP-2051| 0.71%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|7.ASSET|Bond|83056.1|548.17|N/A| United States Treasury Notes 0.25% 15-JUN-2023| 0.66%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|8.ASSET|Bond|83056.1|440.2|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 0.53%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|9.ASSET|Bond|83056.1|431.89|N/A| United States Treasury Notes 2.0% 15-AUG-2025| 0.52%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|10.ASSET|Bond|83056.1|423.59|N/A| United States Treasury Notes 2.0% 31-MAY-2024| 0.51%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|11.ASSET|Bond|83056.1|390.36|N/A| United States Treasury Notes 0.75% 30-APR-2026| 0.47%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|12.ASSET|Bond|83056.1|382.06|N/A| FHLMC 30yr Pool#G08823 3.500% 01-Jul-2048 3.5% 01-JUL-2048| 0.46%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|13.ASSET|Bond|83056.1|382.06|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 0.46%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|14.ASSET|Bond|83056.1|365.45|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 0.44%| North America|Bond|Total Bond Market|Total Bond Market|BND|6|15.ASSET|Bond|83056.1|357.14|N/A| United States Treasury Notes 1.75% 15-MAY-2023| 0.43%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|1.ASSET|Equity|72431.6|4440.06|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.13%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|2.ASSET|Equity|72431.6|2694.46|700| Tencent Holdings Ltd.| 3.72%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|3.ASSET|Equity|72431.6|2433.7|005930| Samsung Electronics Co., Ltd.| 3.36%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|4.ASSET|Equity|72431.6|1731.12|9988| Alibaba Group Holding Ltd.| 2.39%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|5.ASSET|Equity|72431.6|760.53|3690| Meituan Class B| 1.05%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|6.ASSET|Equity|72431.6|760.53|500325| Reliance Industries Limited| 1.05%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|7.ASSET|Equity|72431.6|651.88|500209| Infosys Limited| 0.90%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|8.ASSET|Equity|72431.6|644.64|VALE3| Vale S.A.| 0.89%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|9.ASSET|Equity|72431.6|630.15|9618| JD.com, Inc. Class A| 0.87%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|10.ASSET|Equity|72431.6|608.43|939| China Construction Bank Corporation Class H| 0.84%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|11.ASSET|Equity|72431.6|499.78|2454| MediaTek Inc| 0.69%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|12.ASSET|Equity|72431.6|478.05|000660| SK hynix Inc| 0.66%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|13.ASSET|Equity|72431.6|456.32|500010| Housing Development Finance Corporation Limited| 0.63%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|14.ASSET|Equity|72431.6|449.08|1120| Al Rajhi Bank| 0.62%| Broad Asia|Equity|Emerging Markets Equities||IEMG|6|15.ASSET|Equity|72431.6|420.1|532174| ICICI Bank Limited| 0.58%| North America|Equity|Large Cap Growth Equities||IWF|6|1.ASSET|Equity|68389.4|8411.9|AAPL| Apple Inc.| 12.30%| North America|Equity|Large Cap Growth Equities||IWF|6|2.ASSET|Equity|68389.4|7420.25|MSFT| Microsoft Corporation| 10.85%| North America|Equity|Large Cap Growth Equities||IWF|6|3.ASSET|Equity|68389.4|4383.76|AMZN| Amazon.com, Inc.| 6.41%| North America|Equity|Large Cap Growth Equities||IWF|6|4.ASSET|Equity|68389.4|2332.08|TSLA| Tesla Inc| 3.41%| North America|Equity|Large Cap Growth Equities||IWF|6|5.ASSET|Equity|68389.4|2318.4|GOOGL| Alphabet Inc. Class A| 3.39%| North America|Equity|Large Cap Growth Equities||IWF|6|6.ASSET|Equity|68389.4|2167.94|GOOG| Alphabet Inc. Class C| 3.17%| North America|Equity|Large Cap Growth Equities||IWF|6|7.ASSET|Equity|68389.4|1873.87|NVDA| NVIDIA Corporation| 2.74%| North America|Equity|Large Cap Growth Equities||IWF|6|8.ASSET|Equity|68389.4|1607.15|FB| Meta Platforms Inc. Class A| 2.35%| North America|Equity|Large Cap Growth Equities||IWF|6|9.ASSET|Equity|68389.4|1183.14|V| Visa Inc. Class A| 1.73%| North America|Equity|Large Cap Growth Equities||IWF|6|10.ASSET|Equity|68389.4|1135.26|HD| Home Depot, Inc.| 1.66%| North America|Equity|Large Cap Growth Equities||IWF|6|11.ASSET|Equity|68389.4|1005.32|MA| Mastercard Incorporated Class A| 1.47%| North America|Equity|Large Cap Growth Equities||IWF|6|12.ASSET|Equity|68389.4|868.55|ABBV| AbbVie, Inc.| 1.27%| North America|Equity|Large Cap Growth Equities||IWF|6|13.ASSET|Equity|68389.4|759.12|AVGO| Broadcom Inc.| 1.11%| North America|Equity|Large Cap Growth Equities||IWF|6|14.ASSET|Equity|68389.4|745.44|ADBE| Adobe Inc.| 1.09%| North America|Equity|Large Cap Growth Equities||IWF|6|15.ASSET|Equity|68389.4|724.93|COST| Costco Wholesale Corporation| 1.06%| North America|Equity|Small Cap Blend Equities||IJR|6|1.ASSET|Equity|71828.7|1077.43|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.50%| North America|Equity|Small Cap Blend Equities||IJR|6|2.ASSET|Equity|71828.7|430.97|RRC| Range Resources Corporation| 0.60%| North America|Equity|Small Cap Blend Equities||IJR|6|3.ASSET|Equity|71828.7|423.79|OMCL| Omnicell, Inc.| 0.59%| North America|Equity|Small Cap Blend Equities||IJR|6|4.ASSET|Equity|71828.7|409.42|MTDR| Matador Resources Company| 0.57%| North America|Equity|Small Cap Blend Equities||IJR|6|5.ASSET|Equity|71828.7|380.69|SWN| Southwestern Energy Company| 0.53%| North America|Equity|Small Cap Blend Equities||IJR|6|6.ASSET|Equity|71828.7|373.51|ROG| Rogers Corporation| 0.52%| North America|Equity|Small Cap Blend Equities||IJR|6|7.ASSET|Equity|71828.7|373.51|UFPI| UFP Industries, Inc.| 0.52%| North America|Equity|Small Cap Blend Equities||IJR|6|8.ASSET|Equity|71828.7|366.33|GTLS| Chart Industries, Inc.| 0.51%| North America|Equity|Small Cap Blend Equities||IJR|6|9.ASSET|Equity|71828.7|359.14|AMN| AMN Healthcare Services, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||IJR|6|10.ASSET|Equity|71828.7|359.14|EXPO| Exponent, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||IJR|6|11.ASSET|Equity|71828.7|330.41|SPSC| SPS Commerce, Inc.| 0.46%| North America|Equity|Small Cap Blend Equities||IJR|6|12.ASSET|Equity|71828.7|330.41|SM| SM Energy Company| 0.46%| North America|Equity|Small Cap Blend Equities||IJR|6|13.ASSET|Equity|71828.7|323.23|ADC| Agree Realty Corporation| 0.45%| North America|Equity|Small Cap Blend Equities||IJR|6|14.ASSET|Equity|71828.7|323.23|BCPC| Balchem Corporation| 0.45%| North America|Equity|Small Cap Blend Equities||IJR|6|15.ASSET|Equity|71828.7|323.23|MATX| Matson, Inc.| 0.45%| North America|Equity|Small Cap Growth Equities||IWM|6|1.ASSET|Equity|60445.8|284.1|OVV| Ovintiv Inc| 0.47%| North America|Equity|Small Cap Growth Equities||IWM|6|2.ASSET|Equity|60445.8|217.6|AMC| AMC Entertainment Holdings, Inc. Class A| 0.36%| North America|Equity|Small Cap Growth Equities||IWM|6|3.ASSET|Equity|60445.8|211.56|THC| Tenet Healthcare Corporation| 0.35%| North America|Equity|Small Cap Growth Equities||IWM|6|4.ASSET|Equity|60445.8|199.47|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.33%| North America|Equity|Small Cap Growth Equities||IWM|6|5.ASSET|Equity|60445.8|199.47|SYNA| Synaptics Incorporated| 0.33%| North America|Equity|Small Cap Growth Equities||IWM|6|6.ASSET|Equity|60445.8|193.43|TTEK| Tetra Tech, Inc.| 0.32%| North America|Equity|Small Cap Growth Equities||IWM|6|7.ASSET|Equity|60445.8|193.43|PFGC| Performance Food Group Company| 0.32%| North America|Equity|Small Cap Growth Equities||IWM|6|8.ASSET|Equity|60445.8|187.38|LSCC| Lattice Semiconductor Corporation| 0.31%| North America|Equity|Small Cap Growth Equities||IWM|6|9.ASSET|Equity|60445.8|187.38|CHK| Chesapeake Energy Corporation| 0.31%| North America|Equity|Small Cap Growth Equities||IWM|6|10.ASSET|Equity|60445.8|181.34|N/A| U.S. Dollar| 0.30%| North America|Equity|Small Cap Growth Equities||IWM|6|11.ASSET|Equity|60445.8|175.29|M| Macy\'s Inc| 0.29%| North America|Equity|Small Cap Growth Equities||IWM|6|12.ASSET|Equity|60445.8|175.29|EGP| EastGroup Properties, Inc.| 0.29%| North America|Equity|Small Cap Growth Equities||IWM|6|13.ASSET|Equity|60445.8|169.25|SAIA| Saia, Inc.| 0.28%| North America|Equity|Small Cap Growth Equities||IWM|6|14.ASSET|Equity|60445.8|169.25|CAR| Avis Budget Group, Inc.| 0.28%| North America|Equity|Small Cap Growth Equities||IWM|6|15.ASSET|Equity|60445.8|163.2|IIVI| II-VI Incorporated| 0.27%| North America|Equity|Mid Cap Growth Equities||IJH|6|1.ASSET|Equity|65174.7|521.4|MOH| Molina Healthcare, Inc.| 0.80%| North America|Equity|Mid Cap Growth Equities||IJH|6|2.ASSET|Equity|65174.7|482.29|CPT| Camden Property Trust| 0.74%| North America|Equity|Mid Cap Growth Equities||IJH|6|3.ASSET|Equity|65174.7|430.15|AA| Alcoa Corporation| 0.66%| North America|Equity|Mid Cap Growth Equities||IJH|6|4.ASSET|Equity|65174.7|430.15|TRGP| Targa Resources Corp.| 0.66%| North America|Equity|Mid Cap Growth Equities||IJH|6|5.ASSET|Equity|65174.7|397.57|BLDR| Builders FirstSource, Inc.| 0.61%| North America|Equity|Mid Cap Growth Equities||IJH|6|6.ASSET|Equity|65174.7|391.05|STLD| Steel Dynamics, Inc.| 0.60%| North America|Equity|Mid Cap Growth Equities||IJH|6|7.ASSET|Equity|65174.7|371.5|FICO| Fair Isaac Corporation| 0.57%| North America|Equity|Mid Cap Growth Equities||IJH|6|8.ASSET|Equity|65174.7|364.98|FHN| First Horizon Corporation| 0.56%| North America|Equity|Mid Cap Growth Equities||IJH|6|9.ASSET|Equity|65174.7|358.46|DAR| Darling Ingredients Inc.| 0.55%| North America|Equity|Mid Cap Growth Equities||IJH|6|10.ASSET|Equity|65174.7|351.94|JLL| Jones Lang LaSalle Incorporated| 0.54%| North America|Equity|Mid Cap Growth Equities||IJH|6|11.ASSET|Equity|65174.7|345.43|MPW| Medical Properties Trust, Inc.| 0.53%| North America|Equity|Mid Cap Growth Equities||IJH|6|12.ASSET|Equity|65174.7|345.43|GGG| Graco Inc.| 0.53%| North America|Equity|Mid Cap Growth Equities||IJH|6|13.ASSET|Equity|65174.7|345.43|CSL| Carlisle Companies Incorporated| 0.53%| North America|Equity|Mid Cap Growth Equities||IJH|6|14.ASSET|Equity|65174.7|338.91|CGNX| Cognex Corporation| 0.52%| North America|Equity|Mid Cap Growth Equities||IJH|6|15.ASSET|Equity|65174.7|338.91|RS| Reliance Steel & Aluminum Co.| 0.52%| North America|Equity|Large Cap Growth Equities||VIG|6|1.ASSET|Equity|63165.8|2981.43|MSFT| Microsoft Corporation| 4.72%| North America|Equity|Large Cap Growth Equities||VIG|6|2.ASSET|Equity|63165.8|2406.62|JNJ| Johnson & Johnson| 3.81%| North America|Equity|Large Cap Growth Equities||VIG|6|3.ASSET|Equity|63165.8|2368.72|UNH| UnitedHealth Group Incorporated| 3.75%| North America|Equity|Large Cap Growth Equities||VIG|6|4.ASSET|Equity|63165.8|2078.15|JPM| JPMorgan Chase & Co.| 3.29%| North America|Equity|Large Cap Growth Equities||VIG|6|5.ASSET|Equity|63165.8|2071.84|PG| Procter & Gamble Company| 3.28%| North America|Equity|Large Cap Growth Equities||VIG|6|6.ASSET|Equity|63165.8|2052.89|HD| Home Depot, Inc.| 3.25%| North America|Equity|Large Cap Growth Equities||VIG|6|7.ASSET|Equity|63165.8|1926.56|V| Visa Inc. Class A| 3.05%| North America|Equity|Large Cap Growth Equities||VIG|6|8.ASSET|Equity|63165.8|1275.95|PEP| PepsiCo, Inc.| 2.02%| North America|Equity|Large Cap Growth Equities||VIG|6|9.ASSET|Equity|63165.8|1269.63|AVGO| Broadcom Inc.| 2.01%| North America|Equity|Large Cap Growth Equities||VIG|6|10.ASSET|Equity|63165.8|1250.68|KO| Coca-Cola Company| 1.98%| North America|Equity|Large Cap Growth Equities||VIG|6|11.ASSET|Equity|63165.8|1206.47|CMCSA| Comcast Corporation Class A| 1.91%| North America|Equity|Large Cap Growth Equities||VIG|6|12.ASSET|Equity|63165.8|1193.83|ABT| Abbott Laboratories| 1.89%| North America|Equity|Large Cap Growth Equities||VIG|6|13.ASSET|Equity|63165.8|1181.2|COST| Costco Wholesale Corporation| 1.87%| North America|Equity|Large Cap Growth Equities||VIG|6|14.ASSET|Equity|63165.8|1181.2|ACN| Accenture Plc Class A| 1.87%| North America|Equity|Large Cap Growth Equities||VIG|6|15.ASSET|Equity|63165.8|1054.87|WMT| Walmart Inc.| 1.67%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|1.ASSET|Equity|52637.1|1200.13|NESN| Nestle S.A.| 2.28%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|2.ASSET|Equity|52637.1|905.36|ASML| ASML Holding NV| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|3.ASSET|Equity|52637.1|868.51|ROG| Roche Holding Ltd| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|4.ASSET|Equity|52637.1|668.49|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.27%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|5.ASSET|Equity|52637.1|663.23|SHEL| Shell PLC| 1.26%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|6.ASSET|Equity|52637.1|631.65|NOVN| Novartis AG| 1.20%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|7.ASSET|Equity|52637.1|631.65|7203| Toyota Motor Corp.| 1.20%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|8.ASSET|Equity|52637.1|615.85|AZN| AstraZeneca PLC| 1.17%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|9.ASSET|Equity|52637.1|568.48|NOVO.B| Novo Nordisk A/S Class B| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|10.ASSET|Equity|52637.1|563.22|BHP| BHP Group Ltd| 1.07%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|11.ASSET|Equity|52637.1|463.21|HSBA| HSBC Holdings Plc| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|12.ASSET|Equity|52637.1|426.36|ULVR| Unilever PLC| 0.81%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|13.ASSET|Equity|52637.1|421.1|6758| Sony Group Corporation| 0.80%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|14.ASSET|Equity|52637.1|415.83|TTE| TotalEnergies SE| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||EFA|6|15.ASSET|Equity|52637.1|410.57|1299| AIA Group Limited| 0.78%| North America|Equity|Large Cap Blend Equities||IWD|6|1.ASSET|Equity|56846.4|1648.55|BRK.B| Berkshire Hathaway Inc. Class B| 2.90%| North America|Equity|Large Cap Blend Equities||IWD|6|2.ASSET|Equity|56846.4|1210.83|JNJ| Johnson & Johnson| 2.13%| North America|Equity|Large Cap Blend Equities||IWD|6|3.ASSET|Equity|56846.4|1165.35|UNH| UnitedHealth Group Incorporated| 2.05%| North America|Equity|Large Cap Blend Equities||IWD|6|4.ASSET|Equity|56846.4|1165.35|JPM| JPMorgan Chase & Co.| 2.05%| North America|Equity|Large Cap Blend Equities||IWD|6|5.ASSET|Equity|56846.4|1045.97|PG| Procter & Gamble Company| 1.84%| North America|Equity|Large Cap Blend Equities||IWD|6|6.ASSET|Equity|56846.4|926.6|XOM| Exxon Mobil Corporation| 1.63%| North America|Equity|Large Cap Blend Equities||IWD|6|7.ASSET|Equity|56846.4|886.8|BAC| Bank of America Corp| 1.56%| North America|Equity|Large Cap Blend Equities||IWD|6|8.ASSET|Equity|56846.4|778.8|CVX| Chevron Corporation| 1.37%| North America|Equity|Large Cap Blend Equities||IWD|6|9.ASSET|Equity|56846.4|733.32|PFE| Pfizer Inc.| 1.29%| North America|Equity|Large Cap Blend Equities||IWD|6|10.ASSET|Equity|56846.4|716.26|DIS| Walt Disney Company| 1.26%| North America|Equity|Large Cap Blend Equities||IWD|6|11.ASSET|Equity|56846.4|659.42|CSCO| Cisco Systems, Inc.| 1.16%| North America|Equity|Large Cap Blend Equities||IWD|6|12.ASSET|Equity|56846.4|619.63|VZ| Verizon Communications Inc.| 1.09%| North America|Equity|Large Cap Blend Equities||IWD|6|13.ASSET|Equity|56846.4|596.89|CMCSA| Comcast Corporation Class A| 1.05%| North America|Equity|Large Cap Blend Equities||IWD|6|14.ASSET|Equity|56846.4|596.89|WFC| Wells Fargo & Company| 1.05%| North America|Equity|Large Cap Blend Equities||IWD|6|15.ASSET|Equity|56846.4|545.73|TMO| Thermo Fisher Scientific Inc.| 0.96%| |Commodity|Precious Metals||GLD|6|1.ASSET|Commodity|64878.3|64878.3|N/A| Gold| 100.00%| North America|Equity|Mid Cap Growth Equities||VO|6|1.ASSET|Equity|53401.9|384.49|N/A| U.S. Dollar| 0.72%| North America|Equity|Mid Cap Growth Equities||VO|6|2.ASSET|Equity|53401.9|373.81|PXD| Pioneer Natural Resources Company| 0.70%| North America|Equity|Mid Cap Growth Equities||VO|6|3.ASSET|Equity|53401.9|368.47|XLNX| Xilinx, Inc.| 0.69%| North America|Equity|Mid Cap Growth Equities||VO|6|4.ASSET|Equity|53401.9|368.47|APH| Amphenol Corporation Class A| 0.69%| North America|Equity|Mid Cap Growth Equities||VO|6|5.ASSET|Equity|53401.9|368.47|PANW| Palo Alto Networks, Inc.| 0.69%| North America|Equity|Mid Cap Growth Equities||VO|6|6.ASSET|Equity|53401.9|363.13|SNPS| Synopsys, Inc.| 0.68%| North America|Equity|Mid Cap Growth Equities||VO|6|7.ASSET|Equity|53401.9|363.13|IQV| IQVIA Holdings Inc| 0.68%| North America|Equity|Mid Cap Growth Equities||VO|6|8.ASSET|Equity|53401.9|352.45|CNC| Centene Corporation| 0.66%| North America|Equity|Mid Cap Growth Equities||VO|6|9.ASSET|Equity|53401.9|331.09|MCHP| Microchip Technology Incorporated| 0.62%| North America|Equity|Mid Cap Growth Equities||VO|6|10.ASSET|Equity|53401.9|325.75|INFO| IHS Markit Ltd.| 0.61%| North America|Equity|Mid Cap Growth Equities||VO|6|11.ASSET|Equity|53401.9|325.75|MSCI| MSCI Inc. Class A| 0.61%| North America|Equity|Mid Cap Growth Equities||VO|6|12.ASSET|Equity|53401.9|325.75|DLR| Digital Realty Trust, Inc.| 0.61%| North America|Equity|Mid Cap Growth Equities||VO|6|13.ASSET|Equity|53401.9|325.75|CDNS| Cadence Design Systems, Inc.| 0.61%| North America|Equity|Mid Cap Growth Equities||VO|6|14.ASSET|Equity|53401.9|320.41|DXCM| DexCom, Inc.| 0.60%| North America|Equity|Mid Cap Growth Equities||VO|6|15.ASSET|Equity|53401.9|320.41|FTNT| Fortinet, Inc.| 0.60%| North America|Equity|Technology Equities|Technology|VGT|6|1.ASSET|Equity|48711.8|11203.71|AAPL| Apple Inc.| 23.00%| North America|Equity|Technology Equities|Technology|VGT|6|2.ASSET|Equity|48711.8|8607.38|MSFT| Microsoft Corporation| 17.67%| North America|Equity|Technology Equities|Technology|VGT|6|3.ASSET|Equity|48711.8|2372.26|NVDA| NVIDIA Corporation| 4.87%| North America|Equity|Technology Equities|Technology|VGT|6|4.ASSET|Equity|48711.8|1383.42|V| Visa Inc. Class A| 2.84%| North America|Equity|Technology Equities|Technology|VGT|6|5.ASSET|Equity|48711.8|1320.09|MA| Mastercard Incorporated Class A| 2.71%| North America|Equity|Technology Equities|Technology|VGT|6|6.ASSET|Equity|48711.8|988.85|ADBE| Adobe Inc.| 2.03%| North America|Equity|Technology Equities|Technology|VGT|6|7.ASSET|Equity|48711.8|930.4|AVGO| Broadcom Inc.| 1.91%| North America|Equity|Technology Equities|Technology|VGT|6|8.ASSET|Equity|48711.8|910.91|CSCO| Cisco Systems, Inc.| 1.87%| North America|Equity|Technology Equities|Technology|VGT|6|9.ASSET|Equity|48711.8|881.68|CRM| salesforce.com, inc.| 1.81%| North America|Equity|Technology Equities|Technology|VGT|6|10.ASSET|Equity|48711.8|867.07|ACN| Accenture Plc Class A| 1.78%| North America|Equity|Technology Equities|Technology|VGT|6|11.ASSET|Equity|48711.8|769.65|QCOM| Qualcomm Inc| 1.58%| North America|Equity|Technology Equities|Technology|VGT|6|12.ASSET|Equity|48711.8|769.65|INTC| Intel Corporation| 1.58%| North America|Equity|Technology Equities|Technology|VGT|6|13.ASSET|Equity|48711.8|745.29|PYPL| PayPal Holdings, Inc.| 1.53%| North America|Equity|Technology Equities|Technology|VGT|6|14.ASSET|Equity|48711.8|643|TXN| Texas Instruments Incorporated| 1.32%| North America|Equity|Technology Equities|Technology|VGT|6|15.ASSET|Equity|48711.8|589.41|INTU| Intuit Inc.| 1.21%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|1.ASSET|Equity|51330.8|1088.21|N/A| U.S. Dollar| 2.12%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|2.ASSET|Equity|51330.8|913.69|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.78%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|3.ASSET|Equity|51330.8|615.97|700| Tencent Holdings Ltd.| 1.20%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|4.ASSET|Equity|51330.8|580.04|NESN| Nestle S.A.| 1.13%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|5.ASSET|Equity|51330.8|477.38|005930| Samsung Electronics Co., Ltd.| 0.93%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|6.ASSET|Equity|51330.8|436.31|ROG| Roche Holding Ltd| 0.85%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|7.ASSET|Equity|51330.8|431.18|ASML| ASML Holding NV| 0.84%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|8.ASSET|Equity|51330.8|400.38|7203| Toyota Motor Corp.| 0.78%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|9.ASSET|Equity|51330.8|364.45|9988| Alibaba Group Holding Ltd.| 0.71%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|10.ASSET|Equity|51330.8|333.65|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.65%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|11.ASSET|Equity|51330.8|323.38|SHEL| Shell PLC| 0.63%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|12.ASSET|Equity|51330.8|292.59|AZN| AstraZeneca PLC| 0.57%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|13.ASSET|Equity|51330.8|292.59|NOVN| Novartis AG| 0.57%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|14.ASSET|Equity|51330.8|266.92|RY| Royal Bank of Canada| 0.52%| Broad Asia|Equity|Foreign Large Cap Equities||VXUS|6|15.ASSET|Equity|51330.8|256.65|NOVO.B| Novo Nordisk A/S Class B| 0.50%| North America|Equity|Small Cap Growth Equities||VB|6|1.ASSET|Equity|47374.6|753.26|N/A| U.S. Dollar| 1.59%| North America|Equity|Small Cap Growth Equities||VB|6|2.ASSET|Equity|47374.6|208.45|FANG| Diamondback Energy, Inc.| 0.44%| North America|Equity|Small Cap Growth Equities||VB|6|3.ASSET|Equity|47374.6|165.81|VICI| VICI Properties Inc| 0.35%| North America|Equity|Small Cap Growth Equities||VB|6|4.ASSET|Equity|47374.6|161.07|NUAN| Nuance Communications Incorporated| 0.34%| North America|Equity|Small Cap Growth Equities||VB|6|5.ASSET|Equity|47374.6|161.07|CTRA| Coterra Energy Inc.| 0.34%| North America|Equity|Small Cap Growth Equities||VB|6|6.ASSET|Equity|47374.6|156.34|MOH| Molina Healthcare, Inc.| 0.33%| North America|Equity|Small Cap Growth Equities||VB|6|7.ASSET|Equity|47374.6|151.6|IEX| IDEX Corporation| 0.32%| North America|Equity|Small Cap Growth Equities||VB|6|8.ASSET|Equity|47374.6|146.86|ENTG| Entegris, Inc.| 0.31%| North America|Equity|Small Cap Growth Equities||VB|6|9.ASSET|Equity|47374.6|146.86|BRO| Brown & Brown, Inc.| 0.31%| North America|Equity|Small Cap Growth Equities||VB|6|10.ASSET|Equity|47374.6|142.12|SBNY| Signature Bank| 0.30%| North America|Equity|Small Cap Growth Equities||VB|6|11.ASSET|Equity|47374.6|137.39|MRO| Marathon Oil Corporation| 0.29%| North America|Equity|Small Cap Growth Equities||VB|6|12.ASSET|Equity|47374.6|137.39|KIM| Kimco Realty Corporation| 0.29%| North America|Equity|Small Cap Growth Equities||VB|6|13.ASSET|Equity|47374.6|137.39|MOS| Mosaic Company| 0.29%| North America|Equity|Small Cap Growth Equities||VB|6|14.ASSET|Equity|47374.6|137.39|TECH| Bio-Techne Corporation| 0.29%| North America|Equity|Small Cap Growth Equities||VB|6|15.ASSET|Equity|47374.6|132.65|PWR| Quanta Services, Inc.| 0.28%| North America|Equity|Technology Equities|Technology|XLK|6|1.ASSET|Equity|44674.2|11106.01|AAPL| Apple Inc.| 24.86%| North America|Equity|Technology Equities|Technology|XLK|6|2.ASSET|Equity|44674.2|9667.5|MSFT| Microsoft Corporation| 21.64%| North America|Equity|Technology Equities|Technology|XLK|6|3.ASSET|Equity|44674.2|1804.84|NVDA| NVIDIA Corporation| 4.04%| North America|Equity|Technology Equities|Technology|XLK|6|4.ASSET|Equity|44674.2|1590.4|V| Visa Inc. Class A| 3.56%| North America|Equity|Technology Equities|Technology|XLK|6|5.ASSET|Equity|44674.2|1353.63|MA| Mastercard Incorporated Class A| 3.03%| North America|Equity|Technology Equities|Technology|XLK|6|6.ASSET|Equity|44674.2|1063.25|AVGO| Broadcom Inc.| 2.38%| North America|Equity|Technology Equities|Technology|XLK|6|7.ASSET|Equity|44674.2|1045.38|CSCO| Cisco Systems, Inc.| 2.34%| North America|Equity|Technology Equities|Technology|XLK|6|8.ASSET|Equity|44674.2|1005.17|ADBE| Adobe Inc.| 2.25%| North America|Equity|Technology Equities|Technology|XLK|6|9.ASSET|Equity|44674.2|929.22|CRM| salesforce.com, inc.| 2.08%| North America|Equity|Technology Equities|Technology|XLK|6|10.ASSET|Equity|44674.2|893.48|ACN| Accenture Plc Class A| 2.00%| North America|Equity|Technology Equities|Technology|XLK|6|11.ASSET|Equity|44674.2|862.21|INTC| Intel Corporation| 1.93%| North America|Equity|Technology Equities|Technology|XLK|6|12.ASSET|Equity|44674.2|844.34|AMD| Advanced Micro Devices, Inc.| 1.89%| North America|Equity|Technology Equities|Technology|XLK|6|13.ASSET|Equity|44674.2|830.94|QCOM| Qualcomm Inc| 1.86%| North America|Equity|Technology Equities|Technology|XLK|6|14.ASSET|Equity|44674.2|701.38|TXN| Texas Instruments Incorporated| 1.57%| North America|Equity|Technology Equities|Technology|XLK|6|15.ASSET|Equity|44674.2|603.1|INTU| Intuit Inc.| 1.35%| North America|Equity|Financials Equities|Financials|XLF|6|1.ASSET|Equity|44280.8|6274.59|BRK.B| Berkshire Hathaway Inc. Class B| 14.17%| North America|Equity|Financials Equities|Financials|XLF|6|2.ASSET|Equity|44280.8|4361.66|JPM| JPMorgan Chase & Co.| 9.85%| North America|Equity|Financials Equities|Financials|XLF|6|3.ASSET|Equity|44280.8|3307.78|BAC| Bank of America Corp| 7.47%| North America|Equity|Financials Equities|Financials|XLF|6|4.ASSET|Equity|44280.8|2169.76|WFC| Wells Fargo & Company| 4.90%| North America|Equity|Financials Equities|Financials|XLF|6|5.ASSET|Equity|44280.8|1359.42|MS| Morgan Stanley| 3.07%| North America|Equity|Financials Equities|Financials|XLF|6|6.ASSET|Equity|44280.8|1266.43|SCHW| Charles Schwab Corporation| 2.86%| North America|Equity|Financials Equities|Financials|XLF|6|7.ASSET|Equity|44280.8|1257.57|C| Citigroup Inc.| 2.84%| North America|Equity|Financials Equities|Financials|XLF|6|8.ASSET|Equity|44280.8|1208.87|AXP| American Express Company| 2.73%| North America|Equity|Financials Equities|Financials|XLF|6|9.ASSET|Equity|44280.8|1204.44|GS| Goldman Sachs Group, Inc.| 2.72%| North America|Equity|Financials Equities|Financials|XLF|6|10.ASSET|Equity|44280.8|1102.59|BLK| BlackRock, Inc.| 2.49%| North America|Equity|Financials Equities|Financials|XLF|6|11.ASSET|Equity|44280.8|1018.46|SPGI| S&P Global, Inc.| 2.30%| North America|Equity|Financials Equities|Financials|XLF|6|12.ASSET|Equity|44280.8|929.9|CB| Chubb Limited| 2.10%| North America|Equity|Financials Equities|Financials|XLF|6|13.ASSET|Equity|44280.8|907.76|CME| CME Group Inc. Class A| 2.05%| North America|Equity|Financials Equities|Financials|XLF|6|14.ASSET|Equity|44280.8|854.62|PNC| PNC Financial Services Group, Inc.| 1.93%| North America|Equity|Financials Equities|Financials|XLF|6|15.ASSET|Equity|44280.8|841.34|TFC| Truist Financial Corporation| 1.90%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|1.ASSET|Bond|46660.2|181.97|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 0.39%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|2.ASSET|Bond|46660.2|153.98|N/A| Bank of America Corporation 3.419% 20-DEC-2028| 0.33%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|3.ASSET|Bond|46660.2|149.31|N/A| Bank of America Corporation 2.687% 22-APR-2032| 0.32%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|4.ASSET|Bond|46660.2|149.31|N/A| AbbVie Inc. 3.2% 21-NOV-2029| 0.32%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|5.ASSET|Bond|46660.2|130.65|N/A| Deutsche Telekom International Finance BV 8.75% 15-JUN-2030| 0.28%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|6.ASSET|Bond|46660.2|125.98|N/A| Boeing Company 5.15% 01-MAY-2030| 0.27%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|7.ASSET|Bond|46660.2|121.32|N/A| Verizon Communications Inc. 4.329% 21-SEP-2028| 0.26%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|8.ASSET|Bond|46660.2|116.65|N/A| Citigroup Inc. 4.412% 31-MAR-2031| 0.25%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|9.ASSET|Bond|46660.2|111.98|N/A| Verizon Communications Inc. 2.55% 21-MAR-2031| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|10.ASSET|Bond|46660.2|111.98|N/A| JPMorgan Chase & Co. 2.739% 15-OCT-2030| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|11.ASSET|Bond|46660.2|111.98|N/A| Goldman Sachs Group, Inc. 2.615% 22-APR-2032| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|12.ASSET|Bond|46660.2|107.32|N/A| Microsoft Corporation 3.3% 06-FEB-2027| 0.23%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|13.ASSET|Bond|46660.2|107.32|N/A| Comcast Corporation 4.15% 15-OCT-2028| 0.23%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|14.ASSET|Bond|46660.2|107.32|N/A| T-Mobile USA, Inc. 3.75% 15-APR-2027| 0.23%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCIT|6|15.ASSET|Bond|46660.2|107.32|N/A| Verizon Communications Inc. 4.016% 03-DEC-2029| 0.23%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|1.ASSET|Bond|46775.3|392.91|N/A| France 0.0% 25-FEB-2024| 0.84%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|2.ASSET|Bond|46775.3|392.91|N/A| France 0.0% 25-FEB-2027| 0.84%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|3.ASSET|Bond|46775.3|294.68|N/A| Treasury Gilt 0.125% 31-JAN-2024| 0.63%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|4.ASSET|Bond|46775.3|285.33|N/A| Italy 1.85% 01-JUL-2025| 0.61%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|5.ASSET|Bond|46775.3|266.62|N/A| Italy 0.0% 30-JAN-2024| 0.57%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|6.ASSET|Bond|46775.3|261.94|N/A| U.S. Dollar| 0.56%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|7.ASSET|Bond|46775.3|261.94|N/A| Spain 0.0% 31-MAY-2024| 0.56%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|8.ASSET|Bond|46775.3|243.23|N/A| Italy 0.25% 15-MAR-2028| 0.52%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|9.ASSET|Bond|46775.3|238.55|N/A| Germany 0.0% 15-AUG-2031| 0.51%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|10.ASSET|Bond|46775.3|238.55|N/A| Italy 1.65% 01-DEC-2030| 0.51%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|11.ASSET|Bond|46775.3|196.46|N/A| Spain 0.0% 31-JAN-2026| 0.42%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|12.ASSET|Bond|46775.3|187.1|N/A| Italy 3.0% 01-AUG-2029| 0.40%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|13.ASSET|Bond|46775.3|182.42|N/A| Italy 0.3% 15-AUG-2023| 0.39%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|14.ASSET|Bond|46775.3|177.75|N/A| France 1.75% 25-MAY-2023| 0.38%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDX|6|15.ASSET|Bond|46775.3|173.07|N/A| Italy 2.1% 15-JUL-2026| 0.37%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|1.ASSET|Real Estate|44559.2|5017.37|VRTPX| Vanguard Real Estate II Index Fund Institutional Plus Shares| 11.26%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|2.ASSET|Real Estate|44559.2|2909.72|PLD| Prologis, Inc.| 6.53%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|3.ASSET|Real Estate|44559.2|2874.07|AMT| American Tower Corporation| 6.45%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|4.ASSET|Real Estate|44559.2|1978.43|CCI| Crown Castle International Corp| 4.44%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|5.ASSET|Real Estate|44559.2|1635.32|EQIX| Equinix, Inc.| 3.67%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|6.ASSET|Real Estate|44559.2|1421.44|PSA| Public Storage| 3.19%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|7.ASSET|Real Estate|44559.2|1185.27|SPG| Simon Property Group, Inc.| 2.66%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|8.ASSET|Real Estate|44559.2|1038.23|DLR| Digital Realty Trust, Inc.| 2.33%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|9.ASSET|Real Estate|44559.2|958.02|O| Realty Income Corporation| 2.15%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|10.ASSET|Real Estate|44559.2|917.92|WELL| Welltower, Inc.| 2.06%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|11.ASSET|Real Estate|44559.2|895.64|SBAC| SBA Communications Corp. Class A| 2.01%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|12.ASSET|Real Estate|44559.2|855.54|AVB| AvalonBay Communities, Inc.| 1.92%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|13.ASSET|Real Estate|44559.2|855.54|CBRE| CBRE Group, Inc. Class A| 1.92%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|14.ASSET|Real Estate|44559.2|793.15|EQR| Equity Residential| 1.78%| North America|Real Estate|Real Estate|Real Estate|VNQ|6|15.ASSET|Real Estate|44559.2|761.96|WY| Weyerhaeuser Company| 1.71%| North America|Equity|Large Cap Growth Equities||ITOT|6|1.ASSET|Equity|43256.3|2500.21|AAPL| Apple Inc.| 5.78%| North America|Equity|Large Cap Growth Equities||ITOT|6|2.ASSET|Equity|43256.3|2175.79|MSFT| Microsoft Corporation| 5.03%| North America|Equity|Large Cap Growth Equities||ITOT|6|3.ASSET|Equity|43256.3|1302.01|AMZN| Amazon.com, Inc.| 3.01%| North America|Equity|Large Cap Growth Equities||ITOT|6|4.ASSET|Equity|43256.3|787.26|GOOGL| Alphabet Inc. Class A| 1.82%| North America|Equity|Large Cap Growth Equities||ITOT|6|5.ASSET|Equity|43256.3|735.36|GOOG| Alphabet Inc. Class C| 1.70%| North America|Equity|Large Cap Growth Equities||ITOT|6|6.ASSET|Equity|43256.3|687.78|TSLA| Tesla Inc| 1.59%| North America|Equity|Large Cap Growth Equities||ITOT|6|7.ASSET|Equity|43256.3|592.61|NVDA| NVIDIA Corporation| 1.37%| North America|Equity|Large Cap Growth Equities||ITOT|6|8.ASSET|Equity|43256.3|570.98|BRK.B| Berkshire Hathaway Inc. Class B| 1.32%| North America|Equity|Large Cap Growth Equities||ITOT|6|9.ASSET|Equity|43256.3|484.47|FB| Meta Platforms Inc. Class A| 1.12%| North America|Equity|Large Cap Growth Equities||ITOT|6|10.ASSET|Equity|43256.3|432.56|UNH| UnitedHealth Group Incorporated| 1.00%| North America|Equity|Large Cap Growth Equities||ITOT|6|11.ASSET|Equity|43256.3|419.59|JNJ| Johnson & Johnson| 0.97%| North America|Equity|Large Cap Growth Equities||ITOT|6|12.ASSET|Equity|43256.3|406.61|JPM| JPMorgan Chase & Co.| 0.94%| North America|Equity|Large Cap Growth Equities||ITOT|6|13.ASSET|Equity|43256.3|367.68|PG| Procter & Gamble Company| 0.85%| North America|Equity|Large Cap Growth Equities||ITOT|6|14.ASSET|Equity|43256.3|350.38|V| Visa Inc. Class A| 0.81%| North America|Equity|Large Cap Growth Equities||ITOT|6|15.ASSET|Equity|43256.3|324.42|HD| Home Depot, Inc.| 0.75%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|1.ASSET|Bond|38993.2|1333.57|N/A| United States Treasury Notes 2.125% 31-MAR-2024| 3.42%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|2.ASSET|Bond|38993.2|799.36|N/A| United States Treasury Notes 0.5% 28-FEB-2026| 2.05%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|3.ASSET|Bond|38993.2|694.08|N/A| United States Treasury Notes 0.125% 15-JUL-2023| 1.78%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|4.ASSET|Bond|38993.2|662.88|N/A| United States Treasury Notes 0.25% 15-APR-2023| 1.70%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|5.ASSET|Bond|38993.2|662.88|N/A| United States Treasury Notes 2.0% 15-AUG-2025| 1.70%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|6.ASSET|Bond|38993.2|475.72|N/A| United States Treasury Notes 2.625% 28-FEB-2023| 1.22%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|7.ASSET|Bond|38993.2|456.22|N/A| United States Treasury Notes 2.375% 15-AUG-2024| 1.17%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|8.ASSET|Bond|38993.2|421.13|N/A| United States Treasury Notes 1.625% 15-FEB-2026| 1.08%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|9.ASSET|Bond|38993.2|413.33|N/A| United States Treasury Notes 2.125% 15-MAY-2025| 1.06%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|10.ASSET|Bond|38993.2|393.83|N/A| United States Treasury Notes 2.125% 30-NOV-2023| 1.01%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|11.ASSET|Bond|38993.2|358.74|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 0.92%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|12.ASSET|Bond|38993.2|335.34|N/A| United States Treasury Notes 0.75% 15-NOV-2024| 0.86%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|13.ASSET|Bond|38993.2|288.55|N/A| United States Treasury Notes 1.5% 15-AUG-2026| 0.74%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|14.ASSET|Bond|38993.2|288.55|N/A| United States Treasury Notes 2.25% 15-NOV-2024| 0.74%| North America|Bond|Total Bond Market|Total Bond Market|BSV|6|15.ASSET|Bond|38993.2|284.65|N/A| United States Treasury Notes 0.625% 31-JUL-2026| 0.73%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|1.ASSET|Bond|42127.9|198|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 0.47%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|2.ASSET|Bond|42127.9|109.53|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 0.26%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|3.ASSET|Bond|42127.9|101.11|N/A| Boeing Company 2.196% 04-FEB-2026| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|4.ASSET|Bond|42127.9|101.11|N/A| Apple Inc. 2.4% 03-MAY-2023| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|5.ASSET|Bond|42127.9|101.11|N/A| Bank of America Corporation 1.734% 22-JUL-2027| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|6.ASSET|Bond|42127.9|96.89|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 0.23%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|7.ASSET|Bond|42127.9|92.68|N/A| AbbVie Inc. 2.95% 21-NOV-2026| 0.22%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|8.ASSET|Bond|42127.9|88.47|N/A| AerCap Ireland Capital DAC 2.45% 29-OCT-2026| 0.21%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|9.ASSET|Bond|42127.9|88.47|N/A| EMC Corporation 6.02% 15-JUN-2026| 0.21%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|10.ASSET|Bond|42127.9|88.47|N/A| JPMorgan Chase & Co. 1.578% 22-APR-2027| 0.21%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|11.ASSET|Bond|42127.9|84.26|N/A| JPMorgan Chase & Co. 2.083% 22-APR-2026| 0.20%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|12.ASSET|Bond|42127.9|80.04|N/A| Bank of America Corporation 3.5% 19-APR-2026| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|13.ASSET|Bond|42127.9|80.04|N/A| AbbVie Inc. 3.6% 14-MAY-2025| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|14.ASSET|Bond|42127.9|80.04|N/A| Microsoft Corporation 2.4% 08-AUG-2026| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VCSH|6|15.ASSET|Bond|42127.9|80.04|N/A| Boeing Company 4.875% 01-MAY-2025| 0.19%| North America|Equity|Large Cap Blend Equities||VYM|6|1.ASSET|Equity|43416.5|1406.69|JNJ| Johnson & Johnson| 3.24%| North America|Equity|Large Cap Blend Equities||VYM|6|2.ASSET|Equity|43416.5|1350.25|JPM| JPMorgan Chase & Co.| 3.11%| North America|Equity|Large Cap Blend Equities||VYM|6|3.ASSET|Equity|43416.5|1206.98|HD| Home Depot, Inc.| 2.78%| North America|Equity|Large Cap Blend Equities||VYM|6|4.ASSET|Equity|43416.5|1193.95|PG| Procter & Gamble Company| 2.75%| North America|Equity|Large Cap Blend Equities||VYM|6|5.ASSET|Equity|43416.5|1028.97|BAC| Bank of America Corp| 2.37%| North America|Equity|Large Cap Blend Equities||VYM|6|6.ASSET|Equity|43416.5|998.58|XOM| Exxon Mobil Corporation| 2.30%| North America|Equity|Large Cap Blend Equities||VYM|6|7.ASSET|Equity|43416.5|911.75|PFE| Pfizer Inc.| 2.10%| North America|Equity|Large Cap Blend Equities||VYM|6|8.ASSET|Equity|43416.5|785.84|CVX| Chevron Corporation| 1.81%| North America|Equity|Large Cap Blend Equities||VYM|6|9.ASSET|Equity|43416.5|751.11|ABBV| AbbVie, Inc.| 1.73%| North America|Equity|Large Cap Blend Equities||VYM|6|10.ASSET|Equity|43416.5|742.42|PEP| PepsiCo, Inc.| 1.71%| North America|Equity|Large Cap Blend Equities||VYM|6|11.ASSET|Equity|43416.5|733.74|KO| Coca-Cola Company| 1.69%| North America|Equity|Large Cap Blend Equities||VYM|6|12.ASSET|Equity|43416.5|729.4|CSCO| Cisco Systems, Inc.| 1.68%| North America|Equity|Large Cap Blend Equities||VYM|6|13.ASSET|Equity|43416.5|725.06|AVGO| Broadcom Inc.| 1.67%| North America|Equity|Large Cap Blend Equities||VYM|6|14.ASSET|Equity|43416.5|707.69|CMCSA| Comcast Corporation Class A| 1.63%| North America|Equity|Large Cap Blend Equities||VYM|6|15.ASSET|Equity|43416.5|681.64|VZ| Verizon Communications Inc.| 1.57%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|1.ASSET|Bond|34864.5|219.65|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.63%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|2.ASSET|Bond|34864.5|97.62|N/A| Anheuser-Busch Cos. LLC 4.9% 01-FEB-2046| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|3.ASSET|Bond|34864.5|87.16|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|4.ASSET|Bond|34864.5|76.7|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|5.ASSET|Bond|34864.5|69.73|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 0.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|6.ASSET|Bond|34864.5|69.73|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 0.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|7.ASSET|Bond|34864.5|69.73|N/A| AT&T Inc. 3.5% 15-SEP-2053| 0.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|8.ASSET|Bond|34864.5|66.24|N/A| AT&T Inc. 3.55% 15-SEP-2055| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|9.ASSET|Bond|34864.5|62.76|N/A| Boeing Company 5.805% 01-MAY-2050| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|10.ASSET|Bond|34864.5|59.27|N/A| AT&T Inc. 3.65% 15-SEP-2059| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|11.ASSET|Bond|34864.5|59.27|N/A| Wells Fargo & Company 5.013% 04-APR-2051| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|12.ASSET|Bond|34864.5|59.27|N/A| Anheuser-Busch Cos. LLC 4.7% 01-FEB-2036| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|13.ASSET|Bond|34864.5|55.78|N/A| Microsoft Corporation 2.525% 01-JUN-2050| 0.16%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|14.ASSET|Bond|34864.5|55.78|N/A| Bank of America Corporation 3.419% 20-DEC-2028| 0.16%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQD|6|15.ASSET|Bond|34864.5|55.78|N/A| AbbVie Inc. 4.25% 21-NOV-2049| 0.16%| North America|Equity|Large Cap Growth Equities||IVW|6|1.ASSET|Equity|34167.8|4745.91|AAPL| Apple Inc.| 13.89%| North America|Equity|Large Cap Growth Equities||IVW|6|2.ASSET|Equity|34167.8|4130.89|MSFT| Microsoft Corporation| 12.09%| North America|Equity|Large Cap Growth Equities||IVW|6|3.ASSET|Equity|34167.8|2460.08|AMZN| Amazon.com, Inc.| 7.20%| North America|Equity|Large Cap Growth Equities||IVW|6|4.ASSET|Equity|34167.8|1503.38|GOOGL| Alphabet Inc. Class A| 4.40%| North America|Equity|Large Cap Growth Equities||IVW|6|5.ASSET|Equity|34167.8|1400.88|GOOG| Alphabet Inc. Class C| 4.10%| North America|Equity|Large Cap Growth Equities||IVW|6|6.ASSET|Equity|34167.8|1312.04|TSLA| Tesla Inc| 3.84%| North America|Equity|Large Cap Growth Equities||IVW|6|7.ASSET|Equity|34167.8|1093.37|NVDA| NVIDIA Corporation| 3.20%| North America|Equity|Large Cap Growth Equities||IVW|6|8.ASSET|Equity|34167.8|898.61|FB| Meta Platforms Inc. Class A| 2.63%| North America|Equity|Large Cap Growth Equities||IVW|6|9.ASSET|Equity|34167.8|478.35|HD| Home Depot, Inc.| 1.40%| North America|Equity|Large Cap Growth Equities||IVW|6|10.ASSET|Equity|34167.8|413.43|ADBE| Adobe Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||IVW|6|11.ASSET|Equity|34167.8|399.76|TMO| Thermo Fisher Scientific Inc.| 1.17%| North America|Equity|Large Cap Growth Equities||IVW|6|12.ASSET|Equity|34167.8|369.01|LLY| Eli Lilly and Company| 1.08%| North America|Equity|Large Cap Growth Equities||IVW|6|13.ASSET|Equity|34167.8|351.93|UNH| UnitedHealth Group Incorporated| 1.03%| North America|Equity|Large Cap Growth Equities||IVW|6|14.ASSET|Equity|34167.8|348.51|AMD| Advanced Micro Devices, Inc.| 1.02%| North America|Equity|Large Cap Growth Equities||IVW|6|15.ASSET|Equity|34167.8|345.09|JPM| JPMorgan Chase & Co.| 1.01%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|1.ASSET|Equity|34305.6|463.13|700| Tencent Holdings Ltd.| 1.35%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|2.ASSET|Equity|34305.6|435.68|NESN| Nestle S.A.| 1.27%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|3.ASSET|Equity|34305.6|408.24|N/A| U.S. Dollar| 1.19%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|4.ASSET|Equity|34305.6|401.38|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.17%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|5.ASSET|Equity|34305.6|329.33|ROG| Roche Holding Ltd| 0.96%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|6.ASSET|Equity|34305.6|325.9|ASML| ASML Holding NV| 0.95%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|7.ASSET|Equity|34305.6|298.46|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 0.87%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|8.ASSET|Equity|34305.6|298.46|7203| Toyota Motor Corp.| 0.87%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|9.ASSET|Equity|34305.6|274.44|9988| Alibaba Group Holding Ltd.| 0.80%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|10.ASSET|Equity|34305.6|250.43|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.73%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|11.ASSET|Equity|34305.6|243.57|SHEL| Shell PLC| 0.71%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|12.ASSET|Equity|34305.6|219.56|AZN| AstraZeneca PLC| 0.64%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|13.ASSET|Equity|34305.6|219.56|NOVN| Novartis AG| 0.64%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|14.ASSET|Equity|34305.6|198.97|RY| Royal Bank of Canada| 0.58%| Broad Asia|Equity|Foreign Large Cap Equities||VEU|6|15.ASSET|Equity|34305.6|195.54|NOVO.B| Novo Nordisk A/S Class B| 0.57%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|1.ASSET|Bond|35172.8|2743.48|N/A| United States Treasury Notes 0.5% 15-APR-2024| 7.80%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|2.ASSET|Bond|35172.8|2511.34|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 7.14%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|3.ASSET|Bond|35172.8|2282.71|N/A| Government of the United States of America 0.125% 15-JAN-2030| 6.49%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|4.ASSET|Bond|35172.8|2131.47|N/A| Government of the United States of America 0.125% 15-APR-2025| 6.06%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|5.ASSET|Bond|35172.8|1350.64|N/A| United States Treasury Notes 0.625% 15-APR-2023| 3.84%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|6.ASSET|Bond|35172.8|1301.39|N/A| Government of the United States of America 0.125% 15-JAN-2031| 3.70%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|7.ASSET|Bond|35172.8|1188.84|N/A| United States Treasury Bond 0.75% 15-FEB-2045| 3.38%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|8.ASSET|Bond|35172.8|1174.77|N/A| Government of the United States of America 0.125% 15-JUL-2030| 3.34%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|9.ASSET|Bond|35172.8|1160.7|N/A| United States Treasury Notes 0.375% 15-JUL-2027| 3.30%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|10.ASSET|Bond|35172.8|1153.67|N/A| Government of the United States of America 0.125% 15-OCT-2024| 3.28%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|11.ASSET|Bond|35172.8|1139.6|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 3.24%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|12.ASSET|Bond|35172.8|1034.08|N/A| Government of the United States of America 0.125% 15-OCT-2026| 2.94%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|13.ASSET|Bond|35172.8|991.87|N/A| Government of the United States of America 0.125% 15-APR-2026| 2.82%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|14.ASSET|Bond|35172.8|970.77|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 2.76%| North America|Bond|Inflation-Protected Bonds|TIPS|TIP|6|15.ASSET|Bond|35172.8|946.15|N/A| United States Treasury Bond 1.375% 15-FEB-2044| 2.69%| North America|Equity|Large Cap Growth Equities||SCHX|6|1.ASSET|Equity|32875.8|2110.63|AAPL| Apple Inc.| 6.42%| North America|Equity|Large Cap Growth Equities||SCHX|6|2.ASSET|Equity|32875.8|1837.76|MSFT| Microsoft Corporation| 5.59%| North America|Equity|Large Cap Growth Equities||SCHX|6|3.ASSET|Equity|32875.8|1094.76|AMZN| Amazon.com, Inc.| 3.33%| North America|Equity|Large Cap Growth Equities||SCHX|6|4.ASSET|Equity|32875.8|667.38|GOOGL| Alphabet Inc. Class A| 2.03%| North America|Equity|Large Cap Growth Equities||SCHX|6|5.ASSET|Equity|32875.8|621.35|GOOG| Alphabet Inc. Class C| 1.89%| North America|Equity|Large Cap Growth Equities||SCHX|6|6.ASSET|Equity|32875.8|581.9|TSLA| Tesla Inc| 1.77%| North America|Equity|Large Cap Growth Equities||SCHX|6|7.ASSET|Equity|32875.8|486.56|NVDA| NVIDIA Corporation| 1.48%| North America|Equity|Large Cap Growth Equities||SCHX|6|8.ASSET|Equity|32875.8|479.99|BRK.B| Berkshire Hathaway Inc. Class B| 1.46%| North America|Equity|Large Cap Growth Equities||SCHX|6|9.ASSET|Equity|32875.8|401.08|FB| Meta Platforms Inc. Class A| 1.22%| North America|Equity|Large Cap Growth Equities||SCHX|6|10.ASSET|Equity|32875.8|371.5|UNH| UnitedHealth Group Incorporated| 1.13%| North America|Equity|Large Cap Growth Equities||SCHX|6|11.ASSET|Equity|32875.8|358.35|JNJ| Johnson & Johnson| 1.09%| North America|Equity|Large Cap Growth Equities||SCHX|6|12.ASSET|Equity|32875.8|335.33|JPM| JPMorgan Chase & Co.| 1.02%| North America|Equity|Large Cap Growth Equities||SCHX|6|13.ASSET|Equity|32875.8|309.03|PG| Procter & Gamble Company| 0.94%| North America|Equity|Large Cap Growth Equities||SCHX|6|14.ASSET|Equity|32875.8|289.31|V| Visa Inc. Class A| 0.88%| North America|Equity|Large Cap Growth Equities||SCHX|6|15.ASSET|Equity|32875.8|279.44|HD| Home Depot, Inc.| 0.85%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|1.ASSET|Equity|30614.6|541.88|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.77%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|2.ASSET|Equity|30614.6|379.62|NESN| Nestle S.A.| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|3.ASSET|Equity|30614.6|327.58|700| Tencent Holdings Ltd.| 1.07%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|4.ASSET|Equity|30614.6|293.9|005930| Samsung Electronics Co., Ltd.| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|5.ASSET|Equity|30614.6|275.53|ROG| Roche Holding Ltd| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|6.ASSET|Equity|30614.6|275.53|ASML| ASML Holding NV| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|7.ASSET|Equity|30614.6|211.24|9988| Alibaba Group Holding Ltd.| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|8.ASSET|Equity|30614.6|208.18|SHEL| Shell PLC| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|9.ASSET|Equity|30614.6|202.06|7203| Toyota Motor Corp.| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|10.ASSET|Equity|30614.6|198.99|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|11.ASSET|Equity|30614.6|198.99|AZN| AstraZeneca PLC| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|12.ASSET|Equity|30614.6|195.93|NOVN| Novartis AG| 0.64%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|13.ASSET|Equity|30614.6|183.69|NOVO.B| Novo Nordisk A/S Class B| 0.60%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|14.ASSET|Equity|30614.6|177.56|BHP| BHP Group Ltd| 0.58%| Developed Markets|Equity|Foreign Large Cap Equities||IXUS|6|15.ASSET|Equity|30614.6|156.13|RY| Royal Bank of Canada| 0.51%| North America|Equity|Large Cap Growth Equities||IWB|6|1.ASSET|Equity|29266.3|1820.36|AAPL| Apple Inc.| 6.22%| North America|Equity|Large Cap Growth Equities||IWB|6|2.ASSET|Equity|29266.3|1606.72|MSFT| Microsoft Corporation| 5.49%| North America|Equity|Large Cap Growth Equities||IWB|6|3.ASSET|Equity|29266.3|948.23|AMZN| Amazon.com, Inc.| 3.24%| North America|Equity|Large Cap Growth Equities||IWB|6|4.ASSET|Equity|29266.3|582.4|GOOGL| Alphabet Inc. Class A| 1.99%| North America|Equity|Large Cap Growth Equities||IWB|6|5.ASSET|Equity|29266.3|544.35|GOOG| Alphabet Inc. Class C| 1.86%| North America|Equity|Large Cap Growth Equities||IWB|6|6.ASSET|Equity|29266.3|503.38|TSLA| Tesla Inc| 1.72%| North America|Equity|Large Cap Growth Equities||IWB|6|7.ASSET|Equity|29266.3|418.51|BRK.B| Berkshire Hathaway Inc. Class B| 1.43%| North America|Equity|Large Cap Growth Equities||IWB|6|8.ASSET|Equity|29266.3|406.8|NVDA| NVIDIA Corporation| 1.39%| North America|Equity|Large Cap Growth Equities||IWB|6|9.ASSET|Equity|29266.3|348.27|FB| Meta Platforms Inc. Class A| 1.19%| North America|Equity|Large Cap Growth Equities||IWB|6|10.ASSET|Equity|29266.3|321.93|UNH| UnitedHealth Group Incorporated| 1.10%| North America|Equity|Large Cap Growth Equities||IWB|6|11.ASSET|Equity|29266.3|313.15|JNJ| Johnson & Johnson| 1.07%| North America|Equity|Large Cap Growth Equities||IWB|6|12.ASSET|Equity|29266.3|289.74|JPM| JPMorgan Chase & Co.| 0.99%| North America|Equity|Large Cap Growth Equities||IWB|6|13.ASSET|Equity|29266.3|266.32|PG| Procter & Gamble Company| 0.91%| North America|Equity|Large Cap Growth Equities||IWB|6|14.ASSET|Equity|29266.3|254.62|V| Visa Inc. Class A| 0.87%| North America|Equity|Large Cap Growth Equities||IWB|6|15.ASSET|Equity|29266.3|245.84|HD| Home Depot, Inc.| 0.84%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|1.ASSET|Equity|27269.7|1930.69|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.08%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|2.ASSET|Equity|27269.7|1139.87|700| Tencent Holdings Ltd.| 4.18%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|3.ASSET|Equity|27269.7|1052.61|005930| Samsung Electronics Co., Ltd.| 3.86%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|4.ASSET|Equity|27269.7|730.83|9988| Alibaba Group Holding Ltd.| 2.68%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|5.ASSET|Equity|27269.7|332.69|3690| Meituan Class B| 1.22%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|6.ASSET|Equity|27269.7|329.96|500325| Reliance Industries Limited| 1.21%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|7.ASSET|Equity|27269.7|283.6|500209| Infosys Limited| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|8.ASSET|Equity|27269.7|278.15|VALE3| Vale S.A.| 1.02%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|9.ASSET|Equity|27269.7|264.52|9618| JD.com, Inc. Class A| 0.97%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|10.ASSET|Equity|27269.7|261.79|939| China Construction Bank Corporation Class H| 0.96%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|11.ASSET|Equity|27269.7|218.16|2454| MediaTek Inc| 0.80%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|12.ASSET|Equity|27269.7|207.25|000660| SK hynix Inc| 0.76%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|13.ASSET|Equity|27269.7|199.07|500010| Housing Development Finance Corporation Limited| 0.73%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|14.ASSET|Equity|27269.7|193.61|1120| Al Rajhi Bank| 0.71%| Emerging Markets|Equity|Emerging Markets Equities||EEM|6|15.ASSET|Equity|27269.7|185.43|532174| ICICI Bank Limited| 0.68%| North America|Equity|Mid Cap Blend Equities||IWR|6|1.ASSET|Equity|29400|155.82|PANW| Palo Alto Networks, Inc.| 0.53%| North America|Equity|Mid Cap Blend Equities||IWR|6|2.ASSET|Equity|29400|149.94|MRVL| Marvell Technology, Inc.| 0.51%| North America|Equity|Mid Cap Blend Equities||IWR|6|3.ASSET|Equity|29400|147|PXD| Pioneer Natural Resources Company| 0.50%| North America|Equity|Mid Cap Blend Equities||IWR|6|4.ASSET|Equity|29400|132.3|SNPS| Synopsys, Inc.| 0.45%| North America|Equity|Mid Cap Blend Equities||IWR|6|5.ASSET|Equity|29400|129.36|FTNT| Fortinet, Inc.| 0.44%| North America|Equity|Mid Cap Blend Equities||IWR|6|6.ASSET|Equity|29400|129.36|MPC| Marathon Petroleum Corporation| 0.44%| North America|Equity|Mid Cap Blend Equities||IWR|6|7.ASSET|Equity|29400|129.36|IDXX| IDEXX Laboratories, Inc.| 0.44%| North America|Equity|Mid Cap Blend Equities||IWR|6|8.ASSET|Equity|29400|123.48|SPG| Simon Property Group, Inc.| 0.42%| North America|Equity|Mid Cap Blend Equities||IWR|6|9.ASSET|Equity|29400|123.48|ADM| Archer-Daniels-Midland Company| 0.42%| North America|Equity|Mid Cap Blend Equities||IWR|6|10.ASSET|Equity|29400|123.48|ORLY| O\'Reilly Automotive, Inc.| 0.42%| North America|Equity|Mid Cap Blend Equities||IWR|6|11.ASSET|Equity|29400|123.48|APH| Amphenol Corporation Class A| 0.42%| North America|Equity|Mid Cap Blend Equities||IWR|6|12.ASSET|Equity|29400|123.48|IQV| IQVIA Holdings Inc| 0.42%| North America|Equity|Mid Cap Blend Equities||IWR|6|13.ASSET|Equity|29400|117.6|CMG| Chipotle Mexican Grill, Inc.| 0.40%| North America|Equity|Mid Cap Blend Equities||IWR|6|14.ASSET|Equity|29400|117.6|MCK| McKesson Corporation| 0.40%| North America|Equity|Mid Cap Blend Equities||IWR|6|15.ASSET|Equity|29400|117.6|CDNS| Cadence Design Systems, Inc.| 0.40%| North America|Equity|Large Cap Blend Equities||RSP|6|1.ASSET|Equity|32704.2|104.65|OXY| Occidental Petroleum Corporation| 0.32%| North America|Equity|Large Cap Blend Equities||RSP|6|2.ASSET|Equity|32704.2|98.11|MOS| Mosaic Company| 0.30%| North America|Equity|Large Cap Blend Equities||RSP|6|3.ASSET|Equity|32704.2|94.84|CF| CF Industries Holdings, Inc.| 0.29%| North America|Equity|Large Cap Blend Equities||RSP|6|4.ASSET|Equity|32704.2|94.84|APA| APA Corp.| 0.29%| North America|Equity|Large Cap Blend Equities||RSP|6|5.ASSET|Equity|32704.2|94.84|ATVI| Activision Blizzard, Inc.| 0.29%| North America|Equity|Large Cap Blend Equities||RSP|6|6.ASSET|Equity|32704.2|94.84|MRO| Marathon Oil Corporation| 0.29%| North America|Equity|Large Cap Blend Equities||RSP|6|7.ASSET|Equity|32704.2|91.57|OGN| Organon & Co.| 0.28%| North America|Equity|Large Cap Blend Equities||RSP|6|8.ASSET|Equity|32704.2|91.57|DVN| Devon Energy Corporation| 0.28%| North America|Equity|Large Cap Blend Equities||RSP|6|9.ASSET|Equity|32704.2|91.57|HAL| Halliburton Company| 0.28%| North America|Equity|Large Cap Blend Equities||RSP|6|10.ASSET|Equity|32704.2|88.3|LMT| Lockheed Martin Corporation| 0.27%| North America|Equity|Large Cap Blend Equities||RSP|6|11.ASSET|Equity|32704.2|88.3|EOG| EOG Resources, Inc.| 0.27%| North America|Equity|Large Cap Blend Equities||RSP|6|12.ASSET|Equity|32704.2|88.3|PXD| Pioneer Natural Resources Company| 0.27%| North America|Equity|Large Cap Blend Equities||RSP|6|13.ASSET|Equity|32704.2|88.3|COP| ConocoPhillips| 0.27%| North America|Equity|Large Cap Blend Equities||RSP|6|14.ASSET|Equity|32704.2|88.3|CVX| Chevron Corporation| 0.27%| North America|Equity|Large Cap Blend Equities||RSP|6|15.ASSET|Equity|32704.2|85.03|FCX| Freeport-McMoRan, Inc.| 0.26%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|1.ASSET|Equity|34108.3|3117.5|UNH| UnitedHealth Group Incorporated| 9.14%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|2.ASSET|Equity|34108.3|2981.07|JNJ| Johnson & Johnson| 8.74%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|3.ASSET|Equity|34108.3|1824.79|PFE| Pfizer Inc.| 5.35%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|4.ASSET|Equity|34108.3|1804.33|ABBV| AbbVie, Inc.| 5.29%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|5.ASSET|Equity|34108.3|1493.94|TMO| Thermo Fisher Scientific Inc.| 4.38%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|6.ASSET|Equity|34108.3|1449.6|ABT| Abbott Laboratories| 4.25%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|7.ASSET|Equity|34108.3|1374.56|LLY| Eli Lilly and Company| 4.03%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|8.ASSET|Equity|34108.3|1319.99|MRK| Merck & Co., Inc.| 3.87%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|9.ASSET|Equity|34108.3|1190.38|DHR| Danaher Corporation| 3.49%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|10.ASSET|Equity|34108.3|1040.3|BMY| Bristol-Myers Squibb Company| 3.05%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|11.ASSET|Equity|34108.3|975.5|MDT| Medtronic Plc| 2.86%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|12.ASSET|Equity|34108.3|941.39|CVS| CVS Health Corporation| 2.76%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|13.ASSET|Equity|34108.3|876.58|AMGN| Amgen Inc.| 2.57%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|14.ASSET|Equity|34108.3|767.44|ANTM| Anthem, Inc.| 2.25%| North America|Equity|Health & Biotech Equities|Healthcare|XLV|6|15.ASSET|Equity|34108.3|726.51|ISRG| Intuitive Surgical, Inc.| 2.13%| North America|Equity|Large Cap Growth Equities||DIA|6|1.ASSET|Equity|29388.6|2768.41|UNH| UnitedHealth Group Incorporated| 9.42%| North America|Equity|Large Cap Growth Equities||DIA|6|2.ASSET|Equity|29388.6|1907.32|GS| Goldman Sachs Group, Inc.| 6.49%| North America|Equity|Large Cap Growth Equities||DIA|6|3.ASSET|Equity|29388.6|1860.3|HD| Home Depot, Inc.| 6.33%| North America|Equity|Large Cap Growth Equities||DIA|6|4.ASSET|Equity|29388.6|1713.36|MSFT| Microsoft Corporation| 5.83%| North America|Equity|Large Cap Growth Equities||DIA|6|5.ASSET|Equity|29388.6|1393.02|MCD| McDonald\'s Corporation| 4.74%| North America|Equity|Large Cap Growth Equities||DIA|6|6.ASSET|Equity|29388.6|1307.79|AMGN| Amgen Inc.| 4.45%| North America|Equity|Large Cap Growth Equities||DIA|6|7.ASSET|Equity|29388.6|1213.75|CRM| salesforce.com, inc.| 4.13%| North America|Equity|Large Cap Growth Equities||DIA|6|8.ASSET|Equity|29388.6|1213.75|V| Visa Inc. Class A| 4.13%| North America|Equity|Large Cap Growth Equities||DIA|6|9.ASSET|Equity|29388.6|1131.46|BA| Boeing Company| 3.85%| North America|Equity|Large Cap Growth Equities||DIA|6|10.ASSET|Equity|29388.6|1066.81|HON| Honeywell International Inc.| 3.63%| North America|Equity|Large Cap Growth Equities||DIA|6|11.ASSET|Equity|29388.6|1063.87|CAT| Caterpillar Inc.| 3.62%| North America|Equity|Large Cap Growth Equities||DIA|6|12.ASSET|Equity|29388.6|1034.48|AXP| American Express Company| 3.52%| North America|Equity|Large Cap Growth Equities||DIA|6|13.ASSET|Equity|29388.6|975.7|TRV| Travelers Companies, Inc.| 3.32%| North America|Equity|Large Cap Growth Equities||DIA|6|14.ASSET|Equity|29388.6|952.19|JNJ| Johnson & Johnson| 3.24%| North America|Equity|Large Cap Growth Equities||DIA|6|15.ASSET|Equity|29388.6|949.25|AAPL| Apple Inc.| 3.23%| North America|Equity|Large Cap Blend Equities||SCHD|6|1.ASSET|Equity|33651.3|1561.42|KO| Coca-Cola Company| 4.64%| North America|Equity|Large Cap Blend Equities||SCHD|6|2.ASSET|Equity|33651.3|1473.93|VZ| Verizon Communications Inc.| 4.38%| North America|Equity|Large Cap Blend Equities||SCHD|6|3.ASSET|Equity|33651.3|1463.83|AMGN| Amgen Inc.| 4.35%| North America|Equity|Large Cap Blend Equities||SCHD|6|4.ASSET|Equity|33651.3|1447.01|MRK| Merck & Co., Inc.| 4.30%| North America|Equity|Large Cap Blend Equities||SCHD|6|5.ASSET|Equity|33651.3|1352.78|PEP| PepsiCo, Inc.| 4.02%| North America|Equity|Large Cap Blend Equities||SCHD|6|6.ASSET|Equity|33651.3|1342.69|AVGO| Broadcom Inc.| 3.99%| North America|Equity|Large Cap Blend Equities||SCHD|6|7.ASSET|Equity|33651.3|1329.23|CSCO| Cisco Systems, Inc.| 3.95%| North America|Equity|Large Cap Blend Equities||SCHD|6|8.ASSET|Equity|33651.3|1315.77|LMT| Lockheed Martin Corporation| 3.91%| North America|Equity|Large Cap Blend Equities||SCHD|6|9.ASSET|Equity|33651.3|1272.02|IBM| International Business Machines Corporation| 3.78%| North America|Equity|Large Cap Blend Equities||SCHD|6|10.ASSET|Equity|33651.3|1235|PFE| Pfizer Inc.| 3.67%| North America|Equity|Large Cap Blend Equities||SCHD|6|11.ASSET|Equity|33651.3|1181.16|TXN| Texas Instruments Incorporated| 3.51%| North America|Equity|Large Cap Blend Equities||SCHD|6|12.ASSET|Equity|33651.3|1113.86|MO| Altria Group Inc| 3.31%| North America|Equity|Large Cap Blend Equities||SCHD|6|13.ASSET|Equity|33651.3|1080.21|HD| Home Depot, Inc.| 3.21%| North America|Equity|Large Cap Blend Equities||SCHD|6|14.ASSET|Equity|33651.3|1073.48|BLK| BlackRock, Inc.| 3.19%| North America|Equity|Large Cap Blend Equities||SCHD|6|15.ASSET|Equity|33651.3|1002.81|ADP| Automatic Data Processing, Inc.| 2.98%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|1.ASSET|Equity|27682.5|506.59|NESN| Nestle S.A.| 1.83%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|2.ASSET|Equity|27682.5|395.86|005930| Samsung Electronics Co., Ltd.| 1.43%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|3.ASSET|Equity|27682.5|373.71|ROG| Roche Holding Ltd| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|4.ASSET|Equity|27682.5|354.34|ASML| ASML Holding NV| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|5.ASSET|Equity|27682.5|321.12|7203| Toyota Motor Corp.| 1.16%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|6.ASSET|Equity|27682.5|285.13|SHEL| Shell PLC| 1.03%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|7.ASSET|Equity|27682.5|268.52|AZN| AstraZeneca PLC| 0.97%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|8.ASSET|Equity|27682.5|254.68|NOVN| Novartis AG| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|9.ASSET|Equity|27682.5|243.61|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|10.ASSET|Equity|27682.5|238.07|BHP| BHP Group Ltd| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|11.ASSET|Equity|27682.5|232.53|NOVO.B| Novo Nordisk A/S Class B| 0.84%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|12.ASSET|Equity|27682.5|215.92|RY| Royal Bank of Canada| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|13.ASSET|Equity|27682.5|199.31|TD| Toronto-Dominion Bank| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|14.ASSET|Equity|27682.5|191.01|HSBA| HSBC Holdings Plc| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||SCHF|6|15.ASSET|Equity|27682.5|179.94|6758| Sony Group Corporation| 0.65%| |Commodity|Precious Metals||IAU|6|1.ASSET|Commodity|31038.9|31038.9|N/A| Gold| 100.00%| North America|Equity|Energy Equities|Energy|XLE|6|1.ASSET|Equity|36231.1|8365.76|XOM| Exxon Mobil Corporation| 23.09%| North America|Equity|Energy Equities|Energy|XLE|6|2.ASSET|Equity|36231.1|7738.96|CVX| Chevron Corporation| 21.36%| North America|Equity|Energy Equities|Energy|XLE|6|3.ASSET|Equity|36231.1|1826.05|EOG| EOG Resources, Inc.| 5.04%| North America|Equity|Energy Equities|Energy|XLE|6|4.ASSET|Equity|36231.1|1717.35|COP| ConocoPhillips| 4.74%| North America|Equity|Energy Equities|Energy|XLE|6|5.ASSET|Equity|36231.1|1619.53|PXD| Pioneer Natural Resources Company| 4.47%| North America|Equity|Energy Equities|Energy|XLE|6|6.ASSET|Equity|36231.1|1568.81|SLB| Schlumberger NV| 4.33%| North America|Equity|Energy Equities|Energy|XLE|6|7.ASSET|Equity|36231.1|1369.54|MPC| Marathon Petroleum Corporation| 3.78%| North America|Equity|Energy Equities|Energy|XLE|6|8.ASSET|Equity|36231.1|1231.86|OXY| Occidental Petroleum Corporation| 3.40%| North America|Equity|Energy Equities|Energy|XLE|6|9.ASSET|Equity|36231.1|1141.28|WMB| Williams Companies, Inc.| 3.15%| North America|Equity|Energy Equities|Energy|XLE|6|10.ASSET|Equity|36231.1|1105.05|DVN| Devon Energy Corporation| 3.05%| North America|Equity|Energy Equities|Energy|XLE|6|11.ASSET|Equity|36231.1|1068.82|PSX| Phillips 66| 2.95%| North America|Equity|Energy Equities|Energy|XLE|6|12.ASSET|Equity|36231.1|1018.09|KMI| Kinder Morgan Inc Class P| 2.81%| North America|Equity|Energy Equities|Energy|XLE|6|13.ASSET|Equity|36231.1|978.24|VLO| Valero Energy Corporation| 2.70%| North America|Equity|Energy Equities|Energy|XLE|6|14.ASSET|Equity|36231.1|851.43|HAL| Halliburton Company| 2.35%| North America|Equity|Energy Equities|Energy|XLE|6|15.ASSET|Equity|36231.1|844.18|OKE| ONEOK, Inc.| 2.33%| North America|Equity|Large Cap Growth Equities||USMV|6|1.ASSET|Equity|27192.9|462.28|KR| Kroger Co.| 1.70%| North America|Equity|Large Cap Growth Equities||USMV|6|2.ASSET|Equity|27192.9|454.12|VZ| Verizon Communications Inc.| 1.67%| North America|Equity|Large Cap Growth Equities||USMV|6|3.ASSET|Equity|27192.9|437.81|JNJ| Johnson & Johnson| 1.61%| North America|Equity|Large Cap Growth Equities||USMV|6|4.ASSET|Equity|27192.9|416.05|BRK.B| Berkshire Hathaway Inc. Class B| 1.53%| North America|Equity|Large Cap Growth Equities||USMV|6|5.ASSET|Equity|27192.9|405.17|PEP| PepsiCo, Inc.| 1.49%| North America|Equity|Large Cap Growth Equities||USMV|6|6.ASSET|Equity|27192.9|399.74|REGN| Regeneron Pharmaceuticals, Inc.| 1.47%| North America|Equity|Large Cap Growth Equities||USMV|6|7.ASSET|Equity|27192.9|394.3|NEM| Newmont Corporation| 1.45%| North America|Equity|Large Cap Growth Equities||USMV|6|8.ASSET|Equity|27192.9|394.3|VRTX| Vertex Pharmaceuticals Incorporated| 1.45%| North America|Equity|Large Cap Growth Equities||USMV|6|9.ASSET|Equity|27192.9|394.3|CSCO| Cisco Systems, Inc.| 1.45%| North America|Equity|Large Cap Growth Equities||USMV|6|10.ASSET|Equity|27192.9|394.3|TMUS| T-Mobile US, Inc.| 1.45%| North America|Equity|Large Cap Growth Equities||USMV|6|11.ASSET|Equity|27192.9|386.14|WM| Waste Management, Inc.| 1.42%| North America|Equity|Large Cap Growth Equities||USMV|6|12.ASSET|Equity|27192.9|377.98|NEE| NextEra Energy, Inc.| 1.39%| North America|Equity|Large Cap Growth Equities||USMV|6|13.ASSET|Equity|27192.9|375.26|MSFT| Microsoft Corporation| 1.38%| North America|Equity|Large Cap Growth Equities||USMV|6|14.ASSET|Equity|27192.9|369.82|WMT| Walmart Inc.| 1.36%| North America|Equity|Large Cap Growth Equities||USMV|6|15.ASSET|Equity|27192.9|369.82|PAYX| Paychex, Inc.| 1.36%| North America|Equity|Large Cap Growth Equities||VV|6|1.ASSET|Equity|26432.9|1815.94|AAPL| Apple Inc.| 6.87%| North America|Equity|Large Cap Growth Equities||VV|6|2.ASSET|Equity|26432.9|1556.9|MSFT| Microsoft Corporation| 5.89%| North America|Equity|Large Cap Growth Equities||VV|6|3.ASSET|Equity|26432.9|859.07|AMZN| Amazon.com, Inc.| 3.25%| North America|Equity|Large Cap Growth Equities||VV|6|4.ASSET|Equity|26432.9|541.87|GOOGL| Alphabet Inc. Class A| 2.05%| North America|Equity|Large Cap Growth Equities||VV|6|5.ASSET|Equity|26432.9|502.23|TSLA| Tesla Inc| 1.90%| North America|Equity|Large Cap Growth Equities||VV|6|6.ASSET|Equity|26432.9|494.3|FB| Meta Platforms Inc. Class A| 1.87%| North America|Equity|Large Cap Growth Equities||VV|6|7.ASSET|Equity|26432.9|489.01|GOOG| Alphabet Inc. Class C| 1.85%| North America|Equity|Large Cap Growth Equities||VV|6|8.ASSET|Equity|26432.9|388.56|NVDA| NVIDIA Corporation| 1.47%| North America|Equity|Large Cap Growth Equities||VV|6|9.ASSET|Equity|26432.9|364.77|BRK.B| Berkshire Hathaway Inc. Class B| 1.38%| North America|Equity|Large Cap Growth Equities||VV|6|10.ASSET|Equity|26432.9|301.34|JNJ| Johnson & Johnson| 1.14%| North America|Equity|Large Cap Growth Equities||VV|6|11.ASSET|Equity|26432.9|296.05|UNH| UnitedHealth Group Incorporated| 1.12%| North America|Equity|Large Cap Growth Equities||VV|6|12.ASSET|Equity|26432.9|293.41|JPM| JPMorgan Chase & Co.| 1.11%| North America|Equity|Large Cap Growth Equities||VV|6|13.ASSET|Equity|26432.9|259.04|PG| Procter & Gamble Company| 0.98%| North America|Equity|Large Cap Growth Equities||VV|6|14.ASSET|Equity|26432.9|256.4|HD| Home Depot, Inc.| 0.97%| North America|Equity|Large Cap Growth Equities||VV|6|15.ASSET|Equity|26432.9|251.11|V| Visa Inc. Class A| 0.95%| North America|Equity|Small Cap Value Equities||VBR|6|1.ASSET|Equity|26950.8|202.13|FANG| Diamondback Energy, Inc.| 0.75%| North America|Equity|Small Cap Value Equities||VBR|6|2.ASSET|Equity|26950.8|175.18|N/A| U.S. Dollar| 0.65%| North America|Equity|Small Cap Value Equities||VBR|6|3.ASSET|Equity|26950.8|161.7|SBNY| Signature Bank| 0.60%| North America|Equity|Small Cap Value Equities||VBR|6|4.ASSET|Equity|26950.8|159.01|VICI| VICI Properties Inc| 0.59%| North America|Equity|Small Cap Value Equities||VBR|6|5.ASSET|Equity|26950.8|156.31|NUAN| Nuance Communications Incorporated| 0.58%| North America|Equity|Small Cap Value Equities||VBR|6|6.ASSET|Equity|26950.8|148.23|MOH| Molina Healthcare, Inc.| 0.55%| North America|Equity|Small Cap Value Equities||VBR|6|7.ASSET|Equity|26950.8|145.53|IEX| IDEX Corporation| 0.54%| North America|Equity|Small Cap Value Equities||VBR|6|8.ASSET|Equity|26950.8|140.14|BRO| Brown & Brown, Inc.| 0.52%| North America|Equity|Small Cap Value Equities||VBR|6|9.ASSET|Equity|26950.8|134.75|MRO| Marathon Oil Corporation| 0.50%| North America|Equity|Small Cap Value Equities||VBR|6|10.ASSET|Equity|26950.8|132.06|KIM| Kimco Realty Corporation| 0.49%| North America|Equity|Small Cap Value Equities||VBR|6|11.ASSET|Equity|26950.8|129.36|PWR| Quanta Services, Inc.| 0.48%| North America|Equity|Small Cap Value Equities||VBR|6|12.ASSET|Equity|26950.8|129.36|MOS| Mosaic Company| 0.48%| North America|Equity|Small Cap Value Equities||VBR|6|13.ASSET|Equity|26950.8|123.97|ATO| Atmos Energy Corporation| 0.46%| North America|Equity|Small Cap Value Equities||VBR|6|14.ASSET|Equity|26950.8|118.58|MPW| Medical Properties Trust, Inc.| 0.44%| North America|Equity|Small Cap Value Equities||VBR|6|15.ASSET|Equity|26950.8|118.58|TRGP| Targa Resources Corp.| 0.44%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|1.ASSET|Bond|23838.4|3196.73|N/A| U.S. Dollar| 13.41%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|2.ASSET|Bond|23838.4|681.78|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 2.86%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|3.ASSET|Bond|23838.4|443.39|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-NOV-2051| 1.86%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|4.ASSET|Bond|23838.4|388.57|N/A| FHLMC 30yr Pool#SD8146 2.000% 01-May-2051 2.0% 01-MAY-2051| 1.63%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|5.ASSET|Bond|23838.4|376.65|N/A| GNMA II TBA 30yr 2% March Delivery 2.000% 01-OCT-2051| 1.58%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|6.ASSET|Bond|23838.4|355.19|N/A| UMBS TBA 15yr 1.5% March Delivery 1.500% 01-DEC-2036| 1.49%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|7.ASSET|Bond|23838.4|348.04|N/A| MORTGAGE-BACKED SECURITIES| 1.46%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|8.ASSET|Bond|23838.4|274.14|N/A| GNMA II 30yr Pool#MA7648 2.000% 20-Oct-2051 2.0% 20-OCT-2051| 1.15%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|9.ASSET|Bond|23838.4|269.37|N/A| GNMA II 30yr Pool#MA7766 2.000% 20-Dec-2051 2.0% 20-DEC-2051| 1.13%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|10.ASSET|Bond|23838.4|264.61|N/A| UMBS TBA 30yr 2.5% April Delivery 2.500% 01-JAN-2052| 1.11%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|11.ASSET|Bond|23838.4|202.63|N/A| GNMA II 30yr Pool#MA7367 2.500% 20-May-2051 2.5% 20-MAY-2051| 0.85%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|12.ASSET|Bond|23838.4|193.09|N/A| GNMA II 30yr Pool#MA7472 2.500% 20-Jul-2051 2.5% 20-JUL-2051| 0.81%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|13.ASSET|Bond|23838.4|185.94|N/A| UMBS TBA 30yr 1.5% March Delivery 1.500% 01-NOV-2051| 0.78%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|14.ASSET|Bond|23838.4|176.4|N/A| FHLMC 30yr Pool#SD8140 2.000% 01-Apr-2051 2.0% 01-APR-2051| 0.74%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBB|6|15.ASSET|Bond|23838.4|169.25|N/A| FNMA 30yr Pool#MA4492 2.000% 01-Dec-2051 2.0% 01-DEC-2051| 0.71%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|1.ASSET|Equity|25126.6|891.99|AAPL| Apple Inc.| 3.55%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|2.ASSET|Equity|25126.6|773.9|MSFT| Microsoft Corporation| 3.08%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|3.ASSET|Equity|25126.6|429.66|AMZN| Amazon.com, Inc.| 1.71%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|4.ASSET|Equity|25126.6|276.39|N/A| U.S. Dollar| 1.10%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|5.ASSET|Equity|25126.6|266.34|GOOGL| Alphabet Inc. Class A| 1.06%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|6.ASSET|Equity|25126.6|253.78|GOOG| Alphabet Inc. Class C| 1.01%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|7.ASSET|Equity|25126.6|251.27|TSLA| Tesla Inc| 1.00%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|8.ASSET|Equity|25126.6|243.73|FB| Meta Platforms Inc. Class A| 0.97%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|9.ASSET|Equity|25126.6|193.47|NVDA| NVIDIA Corporation| 0.77%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|10.ASSET|Equity|25126.6|153.27|BRK.B| Berkshire Hathaway Inc. Class B| 0.61%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|11.ASSET|Equity|25126.6|150.76|JNJ| Johnson & Johnson| 0.60%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|12.ASSET|Equity|25126.6|145.73|UNH| UnitedHealth Group Incorporated| 0.58%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|13.ASSET|Equity|25126.6|143.22|JPM| JPMorgan Chase & Co.| 0.57%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|14.ASSET|Equity|25126.6|140.71|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 0.56%| Developed Markets|Equity|Large Cap Growth Equities||VT|6|15.ASSET|Equity|25126.6|128.15|HD| Home Depot, Inc.| 0.51%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|1.ASSET|Bond|22393.1|268.72|N/A| MUTUAL FUND (OTHER)| 1.20%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|2.ASSET|Bond|22393.1|188.1|N/A| CORPORATE BOND| 0.84%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|3.ASSET|Bond|22393.1|51.5|N/A| Bank of America Corporation 1.734% 22-JUL-2027| 0.23%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|4.ASSET|Bond|22393.1|40.31|N/A| Boeing Company 2.196% 04-FEB-2026| 0.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|5.ASSET|Bond|22393.1|40.31|N/A| Bank of America Corporation 3.004% 20-DEC-2023| 0.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|6.ASSET|Bond|22393.1|38.07|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 0.17%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|7.ASSET|Bond|22393.1|35.83|N/A| Wells Fargo & Company 2.164% 11-FEB-2026| 0.16%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|8.ASSET|Bond|22393.1|35.83|N/A| Honeywell International Inc. 1.1% 01-MAR-2027| 0.16%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|9.ASSET|Bond|22393.1|33.59|N/A| Citigroup Inc. 3.106% 08-APR-2026| 0.15%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|10.ASSET|Bond|22393.1|33.59|N/A| Goldman Sachs Group, Inc. 3.5% 01-APR-2025| 0.15%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|11.ASSET|Bond|22393.1|31.35|N/A| AbbVie Inc. 3.6% 14-MAY-2025| 0.14%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|12.ASSET|Bond|22393.1|31.35|N/A| Apple Inc. 2.4% 03-MAY-2023| 0.14%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|13.ASSET|Bond|22393.1|31.35|N/A| JPMorgan Chase & Co. 2.083% 22-APR-2026| 0.14%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|14.ASSET|Bond|22393.1|31.35|N/A| Boeing Company 4.875% 01-MAY-2025| 0.14%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGSB|6|15.ASSET|Bond|22393.1|31.35|N/A| AbbVie Inc. 2.6% 21-NOV-2024| 0.14%| North America|Equity|Large Cap Growth Equities||QUAL|6|1.ASSET|Equity|22135.1|951.81|JNJ| Johnson & Johnson| 4.30%| North America|Equity|Large Cap Growth Equities||QUAL|6|2.ASSET|Equity|22135.1|847.77|NKE| NIKE, Inc. Class B| 3.83%| North America|Equity|Large Cap Growth Equities||QUAL|6|3.ASSET|Equity|22135.1|834.49|AAPL| Apple Inc.| 3.77%| North America|Equity|Large Cap Growth Equities||QUAL|6|4.ASSET|Equity|22135.1|695.04|MSFT| Microsoft Corporation| 3.14%| North America|Equity|Large Cap Growth Equities||QUAL|6|5.ASSET|Equity|22135.1|695.04|FB| Meta Platforms Inc. Class A| 3.14%| North America|Equity|Large Cap Growth Equities||QUAL|6|6.ASSET|Equity|22135.1|681.76|COST| Costco Wholesale Corporation| 3.08%| North America|Equity|Large Cap Growth Equities||QUAL|6|7.ASSET|Equity|22135.1|604.29|NVDA| NVIDIA Corporation| 2.73%| North America|Equity|Large Cap Growth Equities||QUAL|6|8.ASSET|Equity|22135.1|593.22|MA| Mastercard Incorporated Class A| 2.68%| North America|Equity|Large Cap Growth Equities||QUAL|6|9.ASSET|Equity|22135.1|573.3|LLY| Eli Lilly and Company| 2.59%| North America|Equity|Large Cap Growth Equities||QUAL|6|10.ASSET|Equity|22135.1|573.3|TGT| Target Corporation| 2.59%| North America|Equity|Large Cap Growth Equities||QUAL|6|11.ASSET|Equity|22135.1|517.96|GOOGL| Alphabet Inc. Class A| 2.34%| North America|Equity|Large Cap Growth Equities||QUAL|6|12.ASSET|Equity|22135.1|513.53|BX| Blackstone Inc.| 2.32%| North America|Equity|Large Cap Growth Equities||QUAL|6|13.ASSET|Equity|22135.1|506.89|LMT| Lockheed Martin Corporation| 2.29%| North America|Equity|Large Cap Growth Equities||QUAL|6|14.ASSET|Equity|22135.1|495.83|GOOG| Alphabet Inc. Class C| 2.24%| North America|Equity|Large Cap Growth Equities||QUAL|6|15.ASSET|Equity|22135.1|489.19|V| Visa Inc. Class A| 2.21%| North America|Bond|National Munis|Municipal Bond|MUB|6|1.ASSET|Bond|24189.9|304.79|N/A| MUNICIPAL BONDS| 1.26%| North America|Bond|National Munis|Municipal Bond|MUB|6|2.ASSET|Bond|24189.9|220.13|N/A| U.S. Dollar| 0.91%| North America|Bond|National Munis|Municipal Bond|MUB|6|3.ASSET|Bond|24189.9|43.54|N/A| Massachusetts St Sch Bldg Auth Dedicated Sales Tax Rev 5.0% 15-FEB-2049| 0.18%| North America|Bond|National Munis|Municipal Bond|MUB|6|4.ASSET|Bond|24189.9|38.7|N/A| Sacramento Calif Mun Util Dist Elec Rev 5.0% 15-AUG-2050| 0.16%| North America|Bond|National Munis|Municipal Bond|MUB|6|5.ASSET|Bond|24189.9|36.28|N/A| Washington St 5.0% 01-AUG-2037| 0.15%| North America|Bond|National Munis|Municipal Bond|MUB|6|6.ASSET|Bond|24189.9|36.28|N/A| Massachusetts St Sch Bldg Auth Dedicated Sales Tax Rev 5.0% 15-AUG-2030| 0.15%| North America|Bond|National Munis|Municipal Bond|MUB|6|7.ASSET|Bond|24189.9|36.28|N/A| Multnomah Cnty Ore 5.0% 15-JUN-2027| 0.15%| North America|Bond|National Munis|Municipal Bond|MUB|6|8.ASSET|Bond|24189.9|36.28|N/A| Pennsylvania St 5.0% 01-JAN-2025| 0.15%| North America|Bond|National Munis|Municipal Bond|MUB|6|9.ASSET|Bond|24189.9|33.87|N/A| Foothill / Eastern Transn Corridor Agy Calif Toll Rd Rev 4.0% 15-JAN-2046| 0.14%| North America|Bond|National Munis|Municipal Bond|MUB|6|10.ASSET|Bond|24189.9|33.87|N/A| Texas St 5.0% 01-OCT-2036| 0.14%| North America|Bond|National Munis|Municipal Bond|MUB|6|11.ASSET|Bond|24189.9|31.45|N/A| Metropolitan Council Minn Minneapolis-St Paul Met Area 5.0% 01-DEC-2022| 0.13%| North America|Bond|National Munis|Municipal Bond|MUB|6|12.ASSET|Bond|24189.9|31.45|N/A| Denver Colo City & Cnty 5.0% 01-AUG-2030| 0.13%| North America|Bond|National Munis|Municipal Bond|MUB|6|13.ASSET|Bond|24189.9|31.45|N/A| North Tex Twy Auth Rev 5.0% 01-JAN-2043| 0.13%| North America|Bond|National Munis|Municipal Bond|MUB|6|14.ASSET|Bond|24189.9|31.45|N/A| Grand Parkway Transn Corp Tex Sys Toll Rev 4.0% 01-OCT-2045| 0.13%| North America|Bond|National Munis|Municipal Bond|MUB|6|15.ASSET|Bond|24189.9|29.03|N/A| Connecticut St 4.0% 15-JUN-2033| 0.12%| North America|Equity|Large Cap Growth Equities||ESGU|6|1.ASSET|Equity|23809.7|1635.73|AAPL| Apple Inc.| 6.87%| North America|Equity|Large Cap Growth Equities||ESGU|6|2.ASSET|Equity|23809.7|1352.39|MSFT| Microsoft Corporation| 5.68%| North America|Equity|Large Cap Growth Equities||ESGU|6|3.ASSET|Equity|23809.7|828.58|AMZN| Amazon.com, Inc.| 3.48%| North America|Equity|Large Cap Growth Equities||ESGU|6|4.ASSET|Equity|23809.7|466.67|GOOGL| Alphabet Inc. Class A| 1.96%| North America|Equity|Large Cap Growth Equities||ESGU|6|5.ASSET|Equity|23809.7|461.91|GOOG| Alphabet Inc. Class C| 1.94%| North America|Equity|Large Cap Growth Equities||ESGU|6|6.ASSET|Equity|23809.7|457.15|TSLA| Tesla Inc| 1.92%| North America|Equity|Large Cap Growth Equities||ESGU|6|7.ASSET|Equity|23809.7|392.86|NVDA| NVIDIA Corporation| 1.65%| North America|Equity|Large Cap Growth Equities||ESGU|6|8.ASSET|Equity|23809.7|288.1|JPM| JPMorgan Chase & Co.| 1.21%| North America|Equity|Large Cap Growth Equities||ESGU|6|9.ASSET|Equity|23809.7|252.38|FB| Meta Platforms Inc. Class A| 1.06%| North America|Equity|Large Cap Growth Equities||ESGU|6|10.ASSET|Equity|23809.7|245.24|HD| Home Depot, Inc.| 1.03%| North America|Equity|Large Cap Growth Equities||ESGU|6|11.ASSET|Equity|23809.7|219.05|V| Visa Inc. Class A| 0.92%| North America|Equity|Large Cap Growth Equities||ESGU|6|12.ASSET|Equity|23809.7|211.91|JNJ| Johnson & Johnson| 0.89%| North America|Equity|Large Cap Growth Equities||ESGU|6|13.ASSET|Equity|23809.7|209.53|PG| Procter & Gamble Company| 0.88%| North America|Equity|Large Cap Growth Equities||ESGU|6|14.ASSET|Equity|23809.7|207.14|UNH| UnitedHealth Group Incorporated| 0.87%| North America|Equity|Large Cap Growth Equities||ESGU|6|15.ASSET|Equity|23809.7|204.76|PEP| PepsiCo, Inc.| 0.86%| North America|Equity|Large Cap Blend Equities||IVE|6|1.ASSET|Equity|24750.8|787.08|BRK.B| Berkshire Hathaway Inc. Class B| 3.18%| North America|Equity|Large Cap Blend Equities||IVE|6|2.ASSET|Equity|24750.8|579.17|JNJ| Johnson & Johnson| 2.34%| North America|Equity|Large Cap Blend Equities||IVE|6|3.ASSET|Equity|24750.8|504.92|PG| Procter & Gamble Company| 2.04%| North America|Equity|Large Cap Blend Equities||IVE|6|4.ASSET|Equity|24750.8|445.51|XOM| Exxon Mobil Corporation| 1.80%| North America|Equity|Large Cap Blend Equities||IVE|6|5.ASSET|Equity|24750.8|371.26|CVX| Chevron Corporation| 1.50%| North America|Equity|Large Cap Blend Equities||IVE|6|6.ASSET|Equity|24750.8|361.36|DIS| Walt Disney Company| 1.46%| North America|Equity|Large Cap Blend Equities||IVE|6|7.ASSET|Equity|24750.8|348.99|UNH| UnitedHealth Group Incorporated| 1.41%| North America|Equity|Large Cap Blend Equities||IVE|6|8.ASSET|Equity|24750.8|324.24|KO| Coca-Cola Company| 1.31%| North America|Equity|Large Cap Blend Equities||IVE|6|9.ASSET|Equity|24750.8|301.96|JPM| JPMorgan Chase & Co.| 1.22%| North America|Equity|Large Cap Blend Equities||IVE|6|10.ASSET|Equity|24750.8|297.01|VZ| Verizon Communications Inc.| 1.20%| North America|Equity|Large Cap Blend Equities||IVE|6|11.ASSET|Equity|24750.8|284.63|CMCSA| Comcast Corporation Class A| 1.15%| North America|Equity|Large Cap Blend Equities||IVE|6|12.ASSET|Equity|24750.8|284.63|WFC| Wells Fargo & Company| 1.15%| North America|Equity|Large Cap Blend Equities||IVE|6|13.ASSET|Equity|24750.8|277.21|V| Visa Inc. Class A| 1.12%| North America|Equity|Large Cap Blend Equities||IVE|6|14.ASSET|Equity|24750.8|259.88|INTC| Intel Corporation| 1.05%| North America|Equity|Large Cap Blend Equities||IVE|6|15.ASSET|Equity|24750.8|259.88|MRK| Merck & Co., Inc.| 1.05%| North America|Equity|Large Cap Growth Equities||SCHB|6|1.ASSET|Equity|22238.6|1303.18|AAPL| Apple Inc.| 5.86%| North America|Equity|Large Cap Growth Equities||SCHB|6|2.ASSET|Equity|22238.6|1131.94|MSFT| Microsoft Corporation| 5.09%| North America|Equity|Large Cap Growth Equities||SCHB|6|3.ASSET|Equity|22238.6|664.93|AMZN| Amazon.com, Inc.| 2.99%| North America|Equity|Large Cap Growth Equities||SCHB|6|4.ASSET|Equity|22238.6|406.97|GOOGL| Alphabet Inc. Class A| 1.83%| North America|Equity|Large Cap Growth Equities||SCHB|6|5.ASSET|Equity|22238.6|378.06|GOOG| Alphabet Inc. Class C| 1.70%| North America|Equity|Large Cap Growth Equities||SCHB|6|6.ASSET|Equity|22238.6|360.27|TSLA| Tesla Inc| 1.62%| North America|Equity|Large Cap Growth Equities||SCHB|6|7.ASSET|Equity|22238.6|304.67|NVDA| NVIDIA Corporation| 1.37%| North America|Equity|Large Cap Growth Equities||SCHB|6|8.ASSET|Equity|22238.6|298|BRK.B| Berkshire Hathaway Inc. Class B| 1.34%| North America|Equity|Large Cap Growth Equities||SCHB|6|9.ASSET|Equity|22238.6|246.85|FB| Meta Platforms Inc. Class A| 1.11%| North America|Equity|Large Cap Growth Equities||SCHB|6|10.ASSET|Equity|22238.6|229.06|UNH| UnitedHealth Group Incorporated| 1.03%| North America|Equity|Large Cap Growth Equities||SCHB|6|11.ASSET|Equity|22238.6|220.16|JNJ| Johnson & Johnson| 0.99%| North America|Equity|Large Cap Growth Equities||SCHB|6|12.ASSET|Equity|22238.6|206.82|JPM| JPMorgan Chase & Co.| 0.93%| North America|Equity|Large Cap Growth Equities||SCHB|6|13.ASSET|Equity|22238.6|186.8|PG| Procter & Gamble Company| 0.84%| North America|Equity|Large Cap Growth Equities||SCHB|6|14.ASSET|Equity|22238.6|175.68|V| Visa Inc. Class A| 0.79%| North America|Equity|Large Cap Growth Equities||SCHB|6|15.ASSET|Equity|22238.6|173.46|HD| Home Depot, Inc.| 0.78%| North America|Equity|Small Cap Growth Equities||MDY|6|1.ASSET|Equity|20032.2|146.24|CPT| Camden Property Trust| 0.73%| North America|Equity|Small Cap Growth Equities||MDY|6|2.ASSET|Equity|20032.2|134.22|TRGP| Targa Resources Corp.| 0.67%| North America|Equity|Small Cap Growth Equities||MDY|6|3.ASSET|Equity|20032.2|132.21|AA| Alcoa Corporation| 0.66%| North America|Equity|Small Cap Growth Equities||MDY|6|4.ASSET|Equity|20032.2|128.21|BLDR| Builders FirstSource, Inc.| 0.64%| North America|Equity|Small Cap Growth Equities||MDY|6|5.ASSET|Equity|20032.2|122.2|STLD| Steel Dynamics, Inc.| 0.61%| North America|Equity|Small Cap Growth Equities||MDY|6|6.ASSET|Equity|20032.2|116.19|FICO| Fair Isaac Corporation| 0.58%| North America|Equity|Small Cap Growth Equities||MDY|6|7.ASSET|Equity|20032.2|110.18|FHN| First Horizon Corporation| 0.55%| North America|Equity|Small Cap Growth Equities||MDY|6|8.ASSET|Equity|20032.2|110.18|DAR| Darling Ingredients Inc.| 0.55%| North America|Equity|Small Cap Growth Equities||MDY|6|9.ASSET|Equity|20032.2|108.17|JLL| Jones Lang LaSalle Incorporated| 0.54%| North America|Equity|Small Cap Growth Equities||MDY|6|10.ASSET|Equity|20032.2|106.17|CSL| Carlisle Companies Incorporated| 0.53%| North America|Equity|Small Cap Growth Equities||MDY|6|11.ASSET|Equity|20032.2|104.17|MPW| Medical Properties Trust, Inc.| 0.52%| North America|Equity|Small Cap Growth Equities||MDY|6|12.ASSET|Equity|20032.2|104.17|GGG| Graco Inc.| 0.52%| North America|Equity|Small Cap Growth Equities||MDY|6|13.ASSET|Equity|20032.2|104.17|CGNX| Cognex Corporation| 0.52%| North America|Equity|Small Cap Growth Equities||MDY|6|14.ASSET|Equity|20032.2|104.17|EWBC| East West Bancorp, Inc.| 0.52%| North America|Equity|Small Cap Growth Equities||MDY|6|15.ASSET|Equity|20032.2|102.16|RS| Reliance Steel & Aluminum Co.| 0.51%| North America|Equity|All Cap Equities|Technology|ARKK|6|1.ASSET|Equity|12122.1|1109.17|TSLA| Tesla Inc| 9.15%| North America|Equity|All Cap Equities|Technology|ARKK|6|2.ASSET|Equity|12122.1|835.21|TDOC| Teladoc Health, Inc.| 6.89%| North America|Equity|All Cap Equities|Technology|ARKK|6|3.ASSET|Equity|12122.1|777.03|ROKU| Roku, Inc. Class A| 6.41%| North America|Equity|All Cap Equities|Technology|ARKK|6|4.ASSET|Equity|12122.1|729.75|ZM| Zoom Video Communications, Inc. Class A| 6.02%| North America|Equity|All Cap Equities|Technology|ARKK|6|5.ASSET|Equity|12122.1|715.2|COIN| Coinbase Global, Inc. Class A| 5.90%| North America|Equity|All Cap Equities|Technology|ARKK|6|6.ASSET|Equity|12122.1|629.14|EXAS| Exact Sciences Corporation| 5.19%| North America|Equity|All Cap Equities|Technology|ARKK|6|7.ASSET|Equity|12122.1|623.08|SQ| Block Inc Class A| 5.14%| North America|Equity|All Cap Equities|Technology|ARKK|6|8.ASSET|Equity|12122.1|587.92|U| Unity Software, Inc.| 4.85%| North America|Equity|All Cap Equities|Technology|ARKK|6|9.ASSET|Equity|12122.1|523.67|PATH| UiPath Inc Class A| 4.32%| North America|Equity|All Cap Equities|Technology|ARKK|6|10.ASSET|Equity|12122.1|512.76|NTLA| Intellia Therapeutics, Inc.| 4.23%| North America|Equity|All Cap Equities|Technology|ARKK|6|11.ASSET|Equity|12122.1|510.34|TWLO| Twilio, Inc. Class A| 4.21%| North America|Equity|All Cap Equities|Technology|ARKK|6|12.ASSET|Equity|12122.1|471.55|SPOT| Spotify Technology SA| 3.89%| North America|Equity|All Cap Equities|Technology|ARKK|6|13.ASSET|Equity|12122.1|467.91|BEAM| Beam Therapeutics, Inc.| 3.86%| North America|Equity|All Cap Equities|Technology|ARKK|6|14.ASSET|Equity|12122.1|380.63|CRSP| CRISPR Therapeutics AG| 3.14%| North America|Equity|All Cap Equities|Technology|ARKK|6|15.ASSET|Equity|12122.1|336.99|DKNG| DraftKings Inc Class A| 2.78%| Developed Europe|Equity|Europe Equities||VGK|6|1.ASSET|Equity|20622.4|713.54|NESN| Nestle SA| 3.46%| Developed Europe|Equity|Europe Equities||VGK|6|2.ASSET|Equity|20622.4|525.87|ROG| Roche Holding AG| 2.55%| Developed Europe|Equity|Europe Equities||VGK|6|3.ASSET|Equity|20622.4|404.2|NOVN| Novartis AG| 1.96%| Developed Europe|Equity|Europe Equities||VGK|6|4.ASSET|Equity|20622.4|377.39|SAP| SAP SE| 1.83%| Developed Europe|Equity|Europe Equities||VGK|6|5.ASSET|Equity|20622.4|319.65|ASML| ASML Holding NV| 1.55%| Developed Europe|Equity|Europe Equities||VGK|6|6.ASSET|Equity|20622.4|309.34|AZN| AstraZeneca PLC| 1.50%| Developed Europe|Equity|Europe Equities||VGK|6|7.ASSET|Equity|20622.4|255.72|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.24%| Developed Europe|Equity|Europe Equities||VGK|6|8.ASSET|Equity|20622.4|243.34|NOVO.B| Novo Nordisk A/S| 1.18%| Developed Europe|Equity|Europe Equities||VGK|6|9.ASSET|Equity|20622.4|237.16|SAN| Sanofi SA| 1.15%| Developed Europe|Equity|Europe Equities||VGK|6|10.ASSET|Equity|20622.4|210.35|SIE| Siemens AG| 1.02%| Developed Europe|Equity|Europe Equities||VGK|6|11.ASSET|Equity|20622.4|197.98|GSK| GlaxoSmithKline PLC| 0.96%| Developed Europe|Equity|Europe Equities||VGK|6|12.ASSET|Equity|20622.4|189.73|UNA| Unilever NV| 0.92%| Developed Europe|Equity|Europe Equities||VGK|6|13.ASSET|Equity|20622.4|175.29|BATS| British American Tobacco PLC| 0.85%| Developed Europe|Equity|Europe Equities||VGK|6|14.ASSET|Equity|20622.4|173.23|FP| Total SE| 0.84%| Developed Europe|Equity|Europe Equities||VGK|6|15.ASSET|Equity|20622.4|171.17|ALV| Allianz SE| 0.83%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|1.ASSET|Equity|19164.2|4526.58|AMZN| Amazon.com, Inc.| 23.62%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|2.ASSET|Equity|19164.2|3399.73|TSLA| Tesla Inc| 17.74%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|3.ASSET|Equity|19164.2|960.13|MCD| McDonald\'s Corporation| 5.01%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|4.ASSET|Equity|19164.2|822.14|LOW| Lowe\'s Companies, Inc.| 4.29%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|5.ASSET|Equity|19164.2|816.39|NKE| NIKE, Inc. Class B| 4.26%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|6.ASSET|Equity|19164.2|778.07|HD| Home Depot, Inc.| 4.06%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|7.ASSET|Equity|19164.2|574.93|TGT| Target Corporation| 3.00%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|8.ASSET|Equity|19164.2|571.09|SBUX| Starbucks Corporation| 2.98%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|9.ASSET|Equity|19164.2|456.11|BKNG| Booking Holdings Inc.| 2.38%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|10.ASSET|Equity|19164.2|412.03|TJX| TJX Companies Inc| 2.15%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|11.ASSET|Equity|19164.2|352.62|F| Ford Motor Company| 1.84%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|12.ASSET|Equity|19164.2|346.87|GM| General Motors Company| 1.81%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|13.ASSET|Equity|19164.2|251.05|DG| Dollar General Corporation| 1.31%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|14.ASSET|Equity|19164.2|241.47|MAR| Marriott International, Inc. Class A| 1.26%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XLY|6|15.ASSET|Equity|19164.2|237.64|ORLY| O\'Reilly Automotive, Inc.| 1.24%| North America|Equity|Large Cap Blend Equities||DGRO|6|1.ASSET|Equity|22798.2|661.15|JNJ| Johnson & Johnson| 2.90%| North America|Equity|Large Cap Blend Equities||DGRO|6|2.ASSET|Equity|22798.2|636.07|AAPL| Apple Inc.| 2.79%| North America|Equity|Large Cap Blend Equities||DGRO|6|3.ASSET|Equity|22798.2|631.51|MSFT| Microsoft Corporation| 2.77%| North America|Equity|Large Cap Blend Equities||DGRO|6|4.ASSET|Equity|22798.2|624.67|PG| Procter & Gamble Company| 2.74%| North America|Equity|Large Cap Blend Equities||DGRO|6|5.ASSET|Equity|22798.2|572.23|PFE| Pfizer Inc.| 2.51%| North America|Equity|Large Cap Blend Equities||DGRO|6|6.ASSET|Equity|22798.2|567.68|JPM| JPMorgan Chase & Co.| 2.49%| North America|Equity|Large Cap Blend Equities||DGRO|6|7.ASSET|Equity|22798.2|540.32|KO| Coca-Cola Company| 2.37%| North America|Equity|Large Cap Blend Equities||DGRO|6|8.ASSET|Equity|22798.2|503.84|MRK| Merck & Co., Inc.| 2.21%| North America|Equity|Large Cap Blend Equities||DGRO|6|9.ASSET|Equity|22798.2|440.01|BAC| Bank of America Corp| 1.93%| North America|Equity|Large Cap Blend Equities||DGRO|6|10.ASSET|Equity|22798.2|440.01|CSCO| Cisco Systems, Inc.| 1.93%| North America|Equity|Large Cap Blend Equities||DGRO|6|11.ASSET|Equity|22798.2|426.33|PEP| PepsiCo, Inc.| 1.87%| North America|Equity|Large Cap Blend Equities||DGRO|6|12.ASSET|Equity|22798.2|421.77|AVGO| Broadcom Inc.| 1.85%| North America|Equity|Large Cap Blend Equities||DGRO|6|13.ASSET|Equity|22798.2|408.09|UNH| UnitedHealth Group Incorporated| 1.79%| North America|Equity|Large Cap Blend Equities||DGRO|6|14.ASSET|Equity|22798.2|401.25|HD| Home Depot, Inc.| 1.76%| North America|Equity|Large Cap Blend Equities||DGRO|6|15.ASSET|Equity|22798.2|380.73|BMY| Bristol-Myers Squibb Company| 1.67%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|1.ASSET|Bond|20703.7|768.11|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 3.71%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|2.ASSET|Bond|20703.7|734.98|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 3.55%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|3.ASSET|Bond|20703.7|710.14|N/A| Government of the United States of America 0.125% 15-JUL-2031| 3.43%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|4.ASSET|Bond|20703.7|691.5|N/A| Government of the United States of America 0.125% 15-JAN-2031| 3.34%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|5.ASSET|Bond|20703.7|683.22|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 3.30%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|6.ASSET|Bond|20703.7|679.08|N/A| United States Treasury Notes 0.625% 15-APR-2023| 3.28%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|7.ASSET|Bond|20703.7|668.73|N/A| Government of the United States of America 0.125% 15-JUL-2030| 3.23%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|8.ASSET|Bond|20703.7|668.73|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 3.23%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|9.ASSET|Bond|20703.7|643.89|N/A| TREASURY ISSUES (LONG-TERM)| 3.11%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|10.ASSET|Bond|20703.7|612.83|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 2.96%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|11.ASSET|Bond|20703.7|610.76|N/A| United States Treasury Notes 0.5% 15-JAN-2028| 2.95%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|12.ASSET|Bond|20703.7|600.41|N/A| Government of the United States of America 0.125% 15-JAN-2030| 2.90%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|13.ASSET|Bond|20703.7|598.34|N/A| Government of the United States of America 0.125% 15-OCT-2025| 2.89%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|14.ASSET|Bond|20703.7|596.27|N/A| Government of the United States of America 0.125% 15-OCT-2024| 2.88%| North America|Bond|Inflation-Protected Bonds|TIPS|SCHP|6|15.ASSET|Bond|20703.7|594.2|N/A| United States Treasury Notes 0.375% 15-JUL-2027| 2.87%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|1.ASSET|Preferred Stock|17943.7|588.55|AVGOP| Broadcom Inc 8.00 % Cum Conv Pfd Registered Shs 2019-30.09.22 Series A| 3.28%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|2.ASSET|Preferred Stock|17943.7|330.16|WFC.PRL| Wells Fargo & Company 7.5 % Non Cum Perp Conv Pfd Registered Shs A Series L| 1.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|3.ASSET|Preferred Stock|17943.7|240.45|DHR.PRA| Danaher Corporation Cum Conv Red Pfd Registered Shs Series A| 1.34%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|4.ASSET|Preferred Stock|17943.7|233.27|BAC.PRL| Bank of America Corp 7.25 % Non Cum Perp Conv Pfd Registered Shs Series L| 1.30%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|5.ASSET|Preferred Stock|17943.7|208.15|DHR.PRB| Danaher Corporation 5 % Cum Conv Pfd Registered Shs 2020-15.05.23 Class B| 1.16%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|6.ASSET|Preferred Stock|17943.7|197.38|NEE.PRP| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.03.25 + 1 PC 01.03.23| 1.10%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|7.ASSET|Preferred Stock|17943.7|192|C.PRN| Citigroup Capital XIII Tr Pfd Secs 2010-30.10.40 Global Fltg Rt| 1.07%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|8.ASSET|Preferred Stock|17943.7|177.64|AVTR.PRA| Avantor, Inc. Cum Conv Pfd Registered Shs Series A| 0.99%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|9.ASSET|Preferred Stock|17943.7|159.7|NEE.PRQ| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.09.25 + 1 PC 01.09.23| 0.89%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|10.ASSET|Preferred Stock|17943.7|156.11|JPM.PRC| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Perp Red Pfd Registered ShsSeries -EE-| 0.87%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|11.ASSET|Preferred Stock|17943.7|150.73|MTCN| ArcelorMittal Luxembourg S.A. 5.5 % Mandatory Convertible Notes 2020-18.05.23| 0.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|12.ASSET|Preferred Stock|17943.7|141.76|JPM.PRD| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Pfd Registered Shs Series -DD-| 0.79%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|13.ASSET|Preferred Stock|17943.7|141.76|SOLN| Southern Co Corporate Unit Cons of 1/40 Nts 01.08.24 + 1/40 Nts 01.08.27 + 1 PC| 0.79%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|14.ASSET|Preferred Stock|17943.7|139.96|KKR.PRC| KKR & Co. Inc. 6 % Conv Cum Red Pfd Registered Shs 2020-15.09.23 Series C| 0.78%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFF|6|15.ASSET|Preferred Stock|17943.7|139.96|PCGU| PG&E Corporation Corporate Units Cons of 0 US Tr STRIP + 1 PC 16.08.23| 0.78%| North America|Bond|Government Bonds|Treasuries|SHY|6|1.ASSET|Bond|21459.1|1974.24|N/A| United States Treasury Notes 0.125% 31-AUG-2023| 9.20%| North America|Bond|Government Bonds|Treasuries|SHY|6|2.ASSET|Bond|21459.1|1974.24|N/A| United States Treasury Notes 0.125% 31-AUG-2023| 9.20%| North America|Bond|Government Bonds|Treasuries|SHY|6|3.ASSET|Bond|21459.1|1937.76|N/A| United States Treasury Notes 0.375% 31-OCT-2023| 9.03%| North America|Bond|Government Bonds|Treasuries|SHY|6|4.ASSET|Bond|21459.1|1937.76|N/A| United States Treasury Notes 0.375% 31-OCT-2023| 9.03%| North America|Bond|Government Bonds|Treasuries|SHY|6|5.ASSET|Bond|21459.1|1472.09|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 6.86%| North America|Bond|Government Bonds|Treasuries|SHY|6|6.ASSET|Bond|21459.1|1472.09|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 6.86%| North America|Bond|Government Bonds|Treasuries|SHY|6|7.ASSET|Bond|21459.1|1437.76|N/A| United States Treasury Notes 1.5% 30-NOV-2024| 6.70%| North America|Bond|Government Bonds|Treasuries|SHY|6|8.ASSET|Bond|21459.1|1437.76|N/A| United States Treasury Notes 1.5% 30-NOV-2024| 6.70%| North America|Bond|Government Bonds|Treasuries|SHY|6|9.ASSET|Bond|21459.1|1002.14|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 4.67%| North America|Bond|Government Bonds|Treasuries|SHY|6|10.ASSET|Bond|21459.1|1002.14|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 4.67%| North America|Bond|Government Bonds|Treasuries|SHY|6|11.ASSET|Bond|21459.1|817.59|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 3.81%| North America|Bond|Government Bonds|Treasuries|SHY|6|12.ASSET|Bond|21459.1|817.59|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 3.81%| North America|Bond|Government Bonds|Treasuries|SHY|6|13.ASSET|Bond|21459.1|753.21|N/A| United States Treasury Notes 0.125% 30-APR-2023| 3.51%| North America|Bond|Government Bonds|Treasuries|SHY|6|14.ASSET|Bond|21459.1|751.07|N/A| United States Treasury Notes 0.125% 30-APR-2023| 3.50%| North America|Bond|Government Bonds|Treasuries|SHY|6|15.ASSET|Bond|21459.1|708.15|N/A| United States Treasury Notes 0.25% 15-APR-2023| 3.30%| North America|Bond|High Yield Bonds|Junk|HYG|6|1.ASSET|Bond|16542.6|79.4|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.48%| North America|Bond|High Yield Bonds|Junk|HYG|6|2.ASSET|Bond|16542.6|67.82|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.41%| North America|Bond|High Yield Bonds|Junk|HYG|6|3.ASSET|Bond|16542.6|66.17|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.40%| North America|Bond|High Yield Bonds|Junk|HYG|6|4.ASSET|Bond|16542.6|62.86|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.38%| North America|Bond|High Yield Bonds|Junk|HYG|6|5.ASSET|Bond|16542.6|59.55|N/A| CORPORATE BOND| 0.36%| North America|Bond|High Yield Bonds|Junk|HYG|6|6.ASSET|Bond|16542.6|54.59|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.33%| North America|Bond|High Yield Bonds|Junk|HYG|6|7.ASSET|Bond|16542.6|52.94|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.32%| North America|Bond|High Yield Bonds|Junk|HYG|6|8.ASSET|Bond|16542.6|52.94|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.32%| North America|Bond|High Yield Bonds|Junk|HYG|6|9.ASSET|Bond|16542.6|52.94|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.32%| North America|Bond|High Yield Bonds|Junk|HYG|6|10.ASSET|Bond|16542.6|49.63|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.30%| North America|Bond|High Yield Bonds|Junk|HYG|6|11.ASSET|Bond|16542.6|46.32|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.28%| North America|Bond|High Yield Bonds|Junk|HYG|6|12.ASSET|Bond|16542.6|46.32|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.28%| North America|Bond|High Yield Bonds|Junk|HYG|6|13.ASSET|Bond|16542.6|44.67|N/A| American Airlines, Inc. 5.75% 20-APR-2029| 0.27%| North America|Bond|High Yield Bonds|Junk|HYG|6|14.ASSET|Bond|16542.6|44.67|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 0.27%| North America|Bond|High Yield Bonds|Junk|HYG|6|15.ASSET|Bond|16542.6|43.01|N/A| CCO Holdings LLC 4.25% 01-FEB-2031| 0.26%| North America|Equity|All Cap Equities||SDY|6|1.ASSET|Equity|20488.5|540.9|XOM| Exxon Mobil Corporation| 2.64%| North America|Equity|All Cap Equities||SDY|6|2.ASSET|Equity|20488.5|465.09|CVX| Chevron Corporation| 2.27%| North America|Equity|All Cap Equities||SDY|6|3.ASSET|Equity|20488.5|403.62|SJI| South Jersey Industries, Inc.| 1.97%| North America|Equity|All Cap Equities||SDY|6|4.ASSET|Equity|20488.5|401.57|ABBV| AbbVie, Inc.| 1.96%| North America|Equity|All Cap Equities||SDY|6|5.ASSET|Equity|20488.5|399.53|IBM| International Business Machines Corporation| 1.95%| North America|Equity|All Cap Equities||SDY|6|6.ASSET|Equity|20488.5|368.79|NNN| National Retail Properties, Inc.| 1.80%| North America|Equity|All Cap Equities||SDY|6|7.ASSET|Equity|20488.5|358.55|PBCT| People\'s United Financial, Inc.| 1.75%| North America|Equity|All Cap Equities||SDY|6|8.ASSET|Equity|20488.5|344.21|O| Realty Income Corporation| 1.68%| North America|Equity|All Cap Equities||SDY|6|9.ASSET|Equity|20488.5|342.16|CAH| Cardinal Health, Inc.| 1.67%| North America|Equity|All Cap Equities||SDY|6|10.ASSET|Equity|20488.5|327.82|ED| Consolidated Edison, Inc.| 1.60%| North America|Equity|All Cap Equities||SDY|6|11.ASSET|Equity|20488.5|325.77|AMCR| Amcor PLC| 1.59%| North America|Equity|All Cap Equities||SDY|6|12.ASSET|Equity|20488.5|323.72|ORI| Old Republic International Corporation| 1.58%| North America|Equity|All Cap Equities||SDY|6|13.ASSET|Equity|20488.5|321.67|LEG| Leggett & Platt, Incorporated| 1.57%| North America|Equity|All Cap Equities||SDY|6|14.ASSET|Equity|20488.5|315.52|SO| Southern Company| 1.54%| North America|Equity|All Cap Equities||SDY|6|15.ASSET|Equity|20488.5|272.5|WBA| Walgreens Boots Alliance Inc| 1.33%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|1.ASSET|Bond|16397.1|236.12|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.44%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|2.ASSET|Bond|16397.1|150.85|N/A| Government of Ecuador 1.0% 31-JUL-2035| 0.92%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|3.ASSET|Bond|16397.1|124.62|N/A| Government of Uruguay 5.1% 18-JUN-2050| 0.76%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|4.ASSET|Bond|16397.1|119.7|N/A| Government of Kuwait 3.5% 20-MAR-2027| 0.73%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|5.ASSET|Bond|16397.1|96.74|N/A| Government of Qatar 5.103% 23-APR-2048| 0.59%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|6.ASSET|Bond|16397.1|93.46|N/A| Government of Qatar 4.817% 14-MAR-2049| 0.57%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|7.ASSET|Bond|16397.1|83.63|N/A| Government of Ecuador 5.0% 31-JUL-2030| 0.51%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|8.ASSET|Bond|16397.1|81.99|N/A| Government of Uruguay 4.975% 20-APR-2055| 0.50%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|9.ASSET|Bond|16397.1|80.35|N/A| Petronas Capital Ltd. 4.55% 21-APR-2050| 0.49%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|10.ASSET|Bond|16397.1|78.71|N/A| Government of Saudi Arabia 4.5% 26-OCT-2046| 0.48%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|11.ASSET|Bond|16397.1|73.79|N/A| Government of Brazil 4.25% 07-JAN-2025| 0.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|12.ASSET|Bond|16397.1|73.79|N/A| Government of Qatar 4.4% 16-APR-2050| 0.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|13.ASSET|Bond|16397.1|72.15|N/A| Government of Peru 2.783% 23-JAN-2031| 0.44%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|14.ASSET|Bond|16397.1|72.15|N/A| Government of Uruguay 4.375% 23-JAN-2031| 0.44%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMB|6|15.ASSET|Bond|16397.1|68.87|N/A| Government of Argentina 1.125% 09-JUL-2035| 0.42%| North America|Equity|All Cap Equities||DVY|6|1.ASSET|Equity|20672.3|585.03|OKE| ONEOK, Inc.| 2.83%| North America|Equity|All Cap Equities||DVY|6|2.ASSET|Equity|20672.3|496.14|MO| Altria Group Inc| 2.40%| North America|Equity|All Cap Equities||DVY|6|3.ASSET|Equity|20672.3|477.53|XOM| Exxon Mobil Corporation| 2.31%| North America|Equity|All Cap Equities||DVY|6|4.ASSET|Equity|20672.3|409.31|CVX| Chevron Corporation| 1.98%| North America|Equity|All Cap Equities||DVY|6|5.ASSET|Equity|20672.3|386.57|PM| Philip Morris International Inc.| 1.87%| North America|Equity|All Cap Equities||DVY|6|6.ASSET|Equity|20672.3|363.83|PFE| Pfizer Inc.| 1.76%| North America|Equity|All Cap Equities||DVY|6|7.ASSET|Equity|20672.3|357.63|PRU| Prudential Financial, Inc.| 1.73%| North America|Equity|All Cap Equities||DVY|6|8.ASSET|Equity|20672.3|341.09|PPL| PPL Corporation| 1.65%| North America|Equity|All Cap Equities||DVY|6|9.ASSET|Equity|20672.3|339.03|T| AT&T Inc.| 1.64%| North America|Equity|All Cap Equities||DVY|6|10.ASSET|Equity|20672.3|324.56|FE| FirstEnergy Corp.| 1.57%| North America|Equity|All Cap Equities||DVY|6|11.ASSET|Equity|20672.3|322.49|MPC| Marathon Petroleum Corporation| 1.56%| North America|Equity|All Cap Equities||DVY|6|12.ASSET|Equity|20672.3|312.15|EIX| Edison International| 1.51%| North America|Equity|All Cap Equities||DVY|6|13.ASSET|Equity|20672.3|303.88|IBM| International Business Machines Corporation| 1.47%| North America|Equity|All Cap Equities||DVY|6|14.ASSET|Equity|20672.3|299.75|VLO| Valero Energy Corporation| 1.45%| North America|Equity|All Cap Equities||DVY|6|15.ASSET|Equity|20672.3|295.61|STX| Seagate Technology Holdings PLC| 1.43%| North America|Bond|Money Market|International Corporate|JPST|6|1.ASSET|Bond|18778.2|5802.46|N/A| U.S. Dollar| 30.90%| North America|Bond|Money Market|International Corporate|JPST|6|2.ASSET|Bond|18778.2|779.3|N/A| CORPORATE BOND| 4.15%| North America|Bond|Money Market|International Corporate|JPST|6|3.ASSET|Bond|18778.2|555.83|N/A| FIXED INCOME (UNCLASSFIED)| 2.96%| North America|Bond|Money Market|International Corporate|JPST|6|4.ASSET|Bond|18778.2|165.25|N/A| BNP Paribas S.A. 3.5% 01-MAR-2023| 0.88%| North America|Bond|Money Market|International Corporate|JPST|6|5.ASSET|Bond|18778.2|137.08|N/A| Thermo Fisher Scientific Inc. FRN 18-APR-2023| 0.73%| North America|Bond|Money Market|International Corporate|JPST|6|6.ASSET|Bond|18778.2|118.3|N/A| Credit Agricole SA (London Branch) 3.75% 24-APR-2023| 0.63%| North America|Bond|Money Market|International Corporate|JPST|6|7.ASSET|Bond|18778.2|108.91|N/A| Mizuho Financial Group, Inc. FRN 13-SEP-2023| 0.58%| North America|Bond|Money Market|International Corporate|JPST|6|8.ASSET|Bond|18778.2|105.16|N/A| AstraZeneca PLC 0.3% 26-MAY-2023| 0.56%| North America|Bond|Money Market|International Corporate|JPST|6|9.ASSET|Bond|18778.2|92.01|N/A| Intesa Sanpaolo S.p.A. 3.125% 14-JUL-2022| 0.49%| North America|Bond|Money Market|International Corporate|JPST|6|10.ASSET|Bond|18778.2|90.14|N/A| Bank of Montreal FRN 14-APR-2023| 0.48%| North America|Bond|Money Market|International Corporate|JPST|6|11.ASSET|Bond|18778.2|90.14|N/A| AbbVie Inc. 2.3% 21-NOV-2022| 0.48%| North America|Bond|Money Market|International Corporate|JPST|6|12.ASSET|Bond|18778.2|88.26|N/A| HSBC Holdings Plc 3.262% 13-MAR-2023| 0.47%| North America|Bond|Money Market|International Corporate|JPST|6|13.ASSET|Bond|18778.2|86.38|N/A| Macquarie Bank Ltd. 0.441% 16-DEC-2022| 0.46%| North America|Bond|Money Market|International Corporate|JPST|6|14.ASSET|Bond|18778.2|84.5|N/A| NatWest Group Plc FRN 15-MAY-2023| 0.45%| North America|Bond|Money Market|International Corporate|JPST|6|15.ASSET|Bond|18778.2|84.5|N/A| Toronto-Dominion Bank FRN 02-JUN-2023| 0.45%| North America|Equity|Industrials Equities|Industrials|XLI|6|1.ASSET|Equity|16408.3|904.1|UNP| Union Pacific Corporation| 5.51%| North America|Equity|Industrials Equities|Industrials|XLI|6|2.ASSET|Equity|16408.3|859.79|UPS| United Parcel Service, Inc. Class B| 5.24%| North America|Equity|Industrials Equities|Industrials|XLI|6|3.ASSET|Equity|16408.3|840.1|RTX| Raytheon Technologies Corporation| 5.12%| North America|Equity|Industrials Equities|Industrials|XLI|6|4.ASSET|Equity|16408.3|715.4|HON| Honeywell International Inc.| 4.36%| North America|Equity|Industrials Equities|Industrials|XLI|6|5.ASSET|Equity|16408.3|615.31|LMT| Lockheed Martin Corporation| 3.75%| North America|Equity|Industrials Equities|Industrials|XLI|6|6.ASSET|Equity|16408.3|608.75|BA| Boeing Company| 3.71%| North America|Equity|Industrials Equities|Industrials|XLI|6|7.ASSET|Equity|16408.3|590.7|DE| Deere & Company| 3.60%| North America|Equity|Industrials Equities|Industrials|XLI|6|8.ASSET|Equity|16408.3|580.85|CAT| Caterpillar Inc.| 3.54%| North America|Equity|Industrials Equities|Industrials|XLI|6|9.ASSET|Equity|16408.3|575.93|GE| General Electric Company| 3.51%| North America|Equity|Industrials Equities|Industrials|XLI|6|10.ASSET|Equity|16408.3|472.56|MMM| 3M Company| 2.88%| North America|Equity|Industrials Equities|Industrials|XLI|6|11.ASSET|Equity|16408.3|428.26|CSX| CSX Corporation| 2.61%| North America|Equity|Industrials Equities|Industrials|XLI|6|12.ASSET|Equity|16408.3|375.75|NOC| Northrop Grumman Corporation| 2.29%| North America|Equity|Industrials Equities|Industrials|XLI|6|13.ASSET|Equity|16408.3|364.26|NSC| Norfolk Southern Corporation| 2.22%| North America|Equity|Industrials Equities|Industrials|XLI|6|14.ASSET|Equity|16408.3|341.29|ITW| Illinois Tool Works Inc.| 2.08%| North America|Equity|Industrials Equities|Industrials|XLI|6|15.ASSET|Equity|16408.3|338.01|ETN| Eaton Corp. Plc| 2.06%| North America|Equity|All Cap Equities||VXF|6|1.ASSET|Equity|15715.6|378.75|N/A| U.S. Dollar| 2.41%| North America|Equity|All Cap Equities||VXF|6|2.ASSET|Equity|15715.6|190.16|BX| Blackstone Inc.| 1.21%| North America|Equity|All Cap Equities||VXF|6|3.ASSET|Equity|15715.6|130.44|UBER| Uber Technologies, Inc.| 0.83%| North America|Equity|All Cap Equities||VXF|6|4.ASSET|Equity|15715.6|127.3|SNOW| Snowflake, Inc. Class A| 0.81%| North America|Equity|All Cap Equities||VXF|6|5.ASSET|Equity|15715.6|125.72|SQ| Block Inc Class A| 0.80%| North America|Equity|All Cap Equities||VXF|6|6.ASSET|Equity|15715.6|122.58|MRVL| Marvell Technology, Inc.| 0.78%| North America|Equity|All Cap Equities||VXF|6|7.ASSET|Equity|15715.6|111.58|ABNB| Airbnb, Inc. Class A| 0.71%| North America|Equity|All Cap Equities||VXF|6|8.ASSET|Equity|15715.6|106.87|PANW| Palo Alto Networks, Inc.| 0.68%| North America|Equity|All Cap Equities||VXF|6|9.ASSET|Equity|15715.6|100.58|WDAY| Workday, Inc. Class A| 0.64%| North America|Equity|All Cap Equities||VXF|6|10.ASSET|Equity|15715.6|86.44|KKR| KKR & Co. Inc.| 0.55%| North America|Equity|All Cap Equities||VXF|6|11.ASSET|Equity|15715.6|81.72|LULU| Lululemon Athletica Inc| 0.52%| North America|Equity|All Cap Equities||VXF|6|12.ASSET|Equity|15715.6|78.58|DDOG| Datadog Inc Class A| 0.50%| North America|Equity|All Cap Equities||VXF|6|13.ASSET|Equity|15715.6|78.58|CRWD| CrowdStrike Holdings, Inc. Class A| 0.50%| North America|Equity|All Cap Equities||VXF|6|14.ASSET|Equity|15715.6|72.29|SNAP| Snap, Inc. Class A| 0.46%| North America|Equity|All Cap Equities||VXF|6|15.ASSET|Equity|15715.6|72.29|TWLO| Twilio, Inc. Class A| 0.46%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|1.ASSET|Bond|19149.9|1181.55|N/A| United States Treasury Notes 0.125% 15-JAN-2023| 6.17%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|2.ASSET|Bond|19149.9|1154.74|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 6.03%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|3.ASSET|Bond|19149.9|1118.35|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 5.84%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|4.ASSET|Bond|19149.9|1037.92|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 5.42%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|5.ASSET|Bond|19149.9|1018.77|N/A| United States Treasury Notes 0.625% 15-APR-2023| 5.32%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|6.ASSET|Bond|19149.9|1014.94|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 5.30%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|7.ASSET|Bond|19149.9|986.22|N/A| United States Treasury Notes 0.125% 15-APR-2022| 5.15%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|8.ASSET|Bond|19149.9|968.98|N/A| Government of the United States of America 0.125% 15-OCT-2026| 5.06%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|9.ASSET|Bond|19149.9|961.32|N/A| United States Treasury Notes 0.125% 15-JUL-2022| 5.02%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|10.ASSET|Bond|19149.9|928.77|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 4.85%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|11.ASSET|Bond|19149.9|896.22|N/A| Government of the United States of America 0.125% 15-OCT-2024| 4.68%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|12.ASSET|Bond|19149.9|896.22|N/A| Government of the United States of America 0.125% 15-OCT-2025| 4.68%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|13.ASSET|Bond|19149.9|871.32|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 4.55%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|14.ASSET|Bond|19149.9|859.83|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 4.49%| North America|Bond|Inflation-Protected Bonds|TIPS|VTIP|6|15.ASSET|Bond|19149.9|823.45|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 4.30%| North America|Equity|Leveraged Equities||TQQQ|6|1.ASSET|Equity|17016.1|1732.24|AAPL| Apple Inc.| 10.18%| North America|Equity|Leveraged Equities||TQQQ|6|2.ASSET|Equity|17016.1|1432.76|MSFT| Microsoft Corporation| 8.42%| North America|Equity|Leveraged Equities||TQQQ|6|3.ASSET|Equity|17016.1|992.04|AMZN| Amazon.com, Inc.| 5.83%| North America|Equity|Leveraged Equities||TQQQ|6|4.ASSET|Equity|17016.1|878.03|N/A| United States Treasury Bills 0.0% 22-MAR-2022| 5.16%| North America|Equity|Leveraged Equities||TQQQ|6|5.ASSET|Equity|17016.1|658.52|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 3.87%| North America|Equity|Leveraged Equities||TQQQ|6|6.ASSET|Equity|17016.1|561.53|TSLA| Tesla Inc| 3.30%| North America|Equity|Leveraged Equities||TQQQ|6|7.ASSET|Equity|17016.1|551.32|GOOG| Alphabet Inc. Class C| 3.24%| North America|Equity|Leveraged Equities||TQQQ|6|8.ASSET|Equity|17016.1|534.31|NVDA| NVIDIA Corporation| 3.14%| North America|Equity|Leveraged Equities||TQQQ|6|9.ASSET|Equity|17016.1|522.39|GOOGL| Alphabet Inc. Class A| 3.07%| North America|Equity|Leveraged Equities||TQQQ|6|10.ASSET|Equity|17016.1|466.24|FB| Meta Platforms Inc. Class A| 2.74%| North America|Equity|Leveraged Equities||TQQQ|6|11.ASSET|Equity|17016.1|439.02|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 2.58%| North America|Equity|Leveraged Equities||TQQQ|6|12.ASSET|Equity|17016.1|294.38|N/A| U.S. Dollar| 1.73%| North America|Equity|Leveraged Equities||TQQQ|6|13.ASSET|Equity|17016.1|251.84|AVGO| Broadcom Inc.| 1.48%| North America|Equity|Leveraged Equities||TQQQ|6|14.ASSET|Equity|17016.1|248.44|COST| Costco Wholesale Corporation| 1.46%| North America|Equity|Leveraged Equities||TQQQ|6|15.ASSET|Equity|17016.1|246.73|CSCO| Cisco Systems, Inc.| 1.45%| North America|Equity|Small Cap Blend Equities||SCHA|6|1.ASSET|Equity|16158.2|67.86|ZI| ZoomInfo Technologies Inc| 0.42%| North America|Equity|Small Cap Blend Equities||SCHA|6|2.ASSET|Equity|16158.2|63.02|AA| Alcoa Corporation| 0.39%| North America|Equity|Small Cap Blend Equities||SCHA|6|3.ASSET|Equity|16158.2|61.4|BLDR| Builders FirstSource, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||SCHA|6|4.ASSET|Equity|16158.2|56.55|LPLA| LPL Financial Holdings Inc.| 0.35%| North America|Equity|Small Cap Blend Equities||SCHA|6|5.ASSET|Equity|16158.2|53.32|FHN| First Horizon Corporation| 0.33%| North America|Equity|Small Cap Blend Equities||SCHA|6|6.ASSET|Equity|16158.2|50.09|OVV| Ovintiv Inc| 0.31%| North America|Equity|Small Cap Blend Equities||SCHA|6|7.ASSET|Equity|16158.2|48.47|WOLF| Wolfspeed Inc| 0.30%| North America|Equity|Small Cap Blend Equities||SCHA|6|8.ASSET|Equity|16158.2|45.24|RRX| Regal Rexnord Corporation| 0.28%| North America|Equity|Small Cap Blend Equities||SCHA|6|9.ASSET|Equity|16158.2|43.63|LSI| Life Storage, Inc.| 0.27%| North America|Equity|Small Cap Blend Equities||SCHA|6|10.ASSET|Equity|16158.2|43.63|WBS| Webster Financial Corporation| 0.27%| North America|Equity|Small Cap Blend Equities||SCHA|6|11.ASSET|Equity|16158.2|43.63|REXR| Rexford Industrial Realty, Inc.| 0.27%| North America|Equity|Small Cap Blend Equities||SCHA|6|12.ASSET|Equity|16158.2|43.63|LAD| Lithia Motors, Inc.| 0.27%| North America|Equity|Small Cap Blend Equities||SCHA|6|13.ASSET|Equity|16158.2|43.63|CPRI| Capri Holdings Limited| 0.27%| North America|Equity|Small Cap Blend Equities||SCHA|6|14.ASSET|Equity|16158.2|42.01|FCNCA| First Citizens BancShares, Inc. Class A| 0.26%| North America|Equity|Small Cap Blend Equities||SCHA|6|15.ASSET|Equity|16158.2|42.01|ACM| AECOM| 0.26%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|1.ASSET|Equity|18666.5|783.99|AAPL| Apple Inc.| 4.20%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|2.ASSET|Equity|18666.5|612.26|MSFT| Microsoft Corporation| 3.28%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|3.ASSET|Equity|18666.5|401.33|AMZN| Amazon.com, Inc.| 2.15%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|4.ASSET|Equity|18666.5|231.46|GOOGL| Alphabet Inc. Class A| 1.24%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|5.ASSET|Equity|18666.5|224|GOOG| Alphabet Inc. Class C| 1.20%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|6.ASSET|Equity|18666.5|210.93|TSLA| Tesla Inc| 1.13%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|7.ASSET|Equity|18666.5|175.47|NVDA| NVIDIA Corporation| 0.94%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|8.ASSET|Equity|18666.5|151.2|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 0.81%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|9.ASSET|Equity|18666.5|143.73|FB| Meta Platforms Inc. Class A| 0.77%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|10.ASSET|Equity|18666.5|128.8|UNH| UnitedHealth Group Incorporated| 0.69%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|11.ASSET|Equity|18666.5|123.2|BRK.B| Berkshire Hathaway Inc. Class B| 0.66%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|12.ASSET|Equity|18666.5|123.2|JNJ| Johnson & Johnson| 0.66%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|13.ASSET|Equity|18666.5|121.33|JPM| JPMorgan Chase & Co.| 0.65%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|14.ASSET|Equity|18666.5|108.27|PG| Procter & Gamble Company| 0.58%| Developed Markets|Equity|Large Cap Growth Equities||ACWI|6|15.ASSET|Equity|18666.5|106.4|NESN| Nestle S.A.| 0.57%| North America|Equity|Large Cap Growth Equities||SCHG|6|1.ASSET|Equity|15614.4|2207.88|AAPL| Apple Inc.| 14.14%| North America|Equity|Large Cap Growth Equities||SCHG|6|2.ASSET|Equity|15614.4|1922.13|MSFT| Microsoft Corporation| 12.31%| North America|Equity|Large Cap Growth Equities||SCHG|6|3.ASSET|Equity|15614.4|1144.54|AMZN| Amazon.com, Inc.| 7.33%| North America|Equity|Large Cap Growth Equities||SCHG|6|4.ASSET|Equity|15614.4|699.53|GOOGL| Alphabet Inc. Class A| 4.48%| North America|Equity|Large Cap Growth Equities||SCHG|6|5.ASSET|Equity|15614.4|651.12|GOOG| Alphabet Inc. Class C| 4.17%| North America|Equity|Large Cap Growth Equities||SCHG|6|6.ASSET|Equity|15614.4|610.52|TSLA| Tesla Inc| 3.91%| North America|Equity|Large Cap Growth Equities||SCHG|6|7.ASSET|Equity|15614.4|509.03|NVDA| NVIDIA Corporation| 3.26%| North America|Equity|Large Cap Growth Equities||SCHG|6|8.ASSET|Equity|15614.4|418.47|FB| Meta Platforms Inc. Class A| 2.68%| North America|Equity|Large Cap Growth Equities||SCHG|6|9.ASSET|Equity|15614.4|388.8|UNH| UnitedHealth Group Incorporated| 2.49%| North America|Equity|Large Cap Growth Equities||SCHG|6|10.ASSET|Equity|15614.4|304.48|V| Visa Inc. Class A| 1.95%| North America|Equity|Large Cap Growth Equities||SCHG|6|11.ASSET|Equity|15614.4|259.2|MA| Mastercard Incorporated Class A| 1.66%| North America|Equity|Large Cap Growth Equities||SCHG|6|12.ASSET|Equity|15614.4|202.99|AVGO| Broadcom Inc.| 1.30%| North America|Equity|Large Cap Growth Equities||SCHG|6|13.ASSET|Equity|15614.4|199.86|COST| Costco Wholesale Corporation| 1.28%| North America|Equity|Large Cap Growth Equities||SCHG|6|14.ASSET|Equity|15614.4|192.06|ADBE| Adobe Inc.| 1.23%| North America|Equity|Large Cap Growth Equities||SCHG|6|15.ASSET|Equity|15614.4|185.81|TMO| Thermo Fisher Scientific Inc.| 1.19%| North America|Equity|Small Cap Growth Equities||VBK|6|1.ASSET|Equity|14284.9|239.99|N/A| U.S. Dollar| 1.68%| North America|Equity|Small Cap Growth Equities||VBK|6|2.ASSET|Equity|14284.9|121.42|CTRA| Coterra Energy Inc.| 0.85%| North America|Equity|Small Cap Growth Equities||VBK|6|3.ASSET|Equity|14284.9|111.42|ENTG| Entegris, Inc.| 0.78%| North America|Equity|Small Cap Growth Equities||VBK|6|4.ASSET|Equity|14284.9|101.42|TECH| Bio-Techne Corporation| 0.71%| North America|Equity|Small Cap Growth Equities||VBK|6|5.ASSET|Equity|14284.9|88.57|FICO| Fair Isaac Corporation| 0.62%| North America|Equity|Small Cap Growth Equities||VBK|6|6.ASSET|Equity|14284.9|88.57|ELS| Equity LifeStyle Properties, Inc.| 0.62%| North America|Equity|Small Cap Growth Equities||VBK|6|7.ASSET|Equity|14284.9|84.28|PTC| PTC Inc.| 0.59%| North America|Equity|Small Cap Growth Equities||VBK|6|8.ASSET|Equity|14284.9|84.28|GGG| Graco Inc.| 0.59%| North America|Equity|Small Cap Growth Equities||VBK|6|9.ASSET|Equity|14284.9|82.85|NDSN| Nordson Corporation| 0.58%| North America|Equity|Small Cap Growth Equities||VBK|6|10.ASSET|Equity|14284.9|80|FWONK| Liberty Media Corp. Series C Liberty Formula One| 0.56%| North America|Equity|Small Cap Growth Equities||VBK|6|11.ASSET|Equity|14284.9|78.57|CONE| CyrusOne Inc.| 0.55%| North America|Equity|Small Cap Growth Equities||VBK|6|12.ASSET|Equity|14284.9|75.71|CUBE| CubeSmart| 0.53%| North America|Equity|Small Cap Growth Equities||VBK|6|13.ASSET|Equity|14284.9|75.71|REXR| Rexford Industrial Realty, Inc.| 0.53%| North America|Equity|Small Cap Growth Equities||VBK|6|14.ASSET|Equity|14284.9|74.28|FND| Floor & Decor Holdings, Inc. Class A| 0.52%| North America|Equity|Small Cap Growth Equities||VBK|6|15.ASSET|Equity|14284.9|74.28|WOLF| Wolfspeed Inc| 0.52%| North America|Equity|Large Cap Growth Equities||MTUM|6|1.ASSET|Equity|12042|618.96|MSFT| Microsoft Corporation| 5.14%| North America|Equity|Large Cap Growth Equities||MTUM|6|2.ASSET|Equity|12042|564.77|TSLA| Tesla Inc| 4.69%| North America|Equity|Large Cap Growth Equities||MTUM|6|3.ASSET|Equity|12042|531.05|NVDA| NVIDIA Corporation| 4.41%| North America|Equity|Large Cap Growth Equities||MTUM|6|4.ASSET|Equity|12042|469.64|JPM| JPMorgan Chase & Co.| 3.90%| North America|Equity|Large Cap Growth Equities||MTUM|6|5.ASSET|Equity|12042|449.17|BAC| Bank of America Corp| 3.73%| North America|Equity|Large Cap Growth Equities||MTUM|6|6.ASSET|Equity|12042|416.65|LLY| Eli Lilly and Company| 3.46%| North America|Equity|Large Cap Growth Equities||MTUM|6|7.ASSET|Equity|12042|399.79|COST| Costco Wholesale Corporation| 3.32%| North America|Equity|Large Cap Growth Equities||MTUM|6|8.ASSET|Equity|12042|333.56|GOOGL| Alphabet Inc. Class A| 2.77%| North America|Equity|Large Cap Growth Equities||MTUM|6|9.ASSET|Equity|12042|322.73|ACN| Accenture Plc Class A| 2.68%| North America|Equity|Large Cap Growth Equities||MTUM|6|10.ASSET|Equity|12042|315.5|TMO| Thermo Fisher Scientific Inc.| 2.62%| North America|Equity|Large Cap Growth Equities||MTUM|6|11.ASSET|Equity|12042|315.5|ADBE| Adobe Inc.| 2.62%| North America|Equity|Large Cap Growth Equities||MTUM|6|12.ASSET|Equity|12042|305.87|GOOG| Alphabet Inc. Class C| 2.54%| North America|Equity|Large Cap Growth Equities||MTUM|6|13.ASSET|Equity|12042|304.66|WFC| Wells Fargo & Company| 2.53%| North America|Equity|Large Cap Growth Equities||MTUM|6|14.ASSET|Equity|12042|290.21|INTU| Intuit Inc.| 2.41%| North America|Equity|Large Cap Growth Equities||MTUM|6|15.ASSET|Equity|12042|263.72|COP| ConocoPhillips| 2.19%| North America|Equity|All Cap Equities||IWP|6|1.ASSET|Equity|13617.1|212.43|PANW| Palo Alto Networks, Inc.| 1.56%| North America|Equity|All Cap Equities||IWP|6|2.ASSET|Equity|13617.1|177.02|FTNT| Fortinet, Inc.| 1.30%| North America|Equity|All Cap Equities||IWP|6|3.ASSET|Equity|13617.1|174.3|IDXX| IDEXX Laboratories, Inc.| 1.28%| North America|Equity|All Cap Equities||IWP|6|4.ASSET|Equity|13617.1|166.13|CDNS| Cadence Design Systems, Inc.| 1.22%| North America|Equity|All Cap Equities||IWP|6|5.ASSET|Equity|13617.1|160.68|CMG| Chipotle Mexican Grill, Inc.| 1.18%| North America|Equity|All Cap Equities||IWP|6|6.ASSET|Equity|13617.1|160.68|DDOG| Datadog Inc Class A| 1.18%| North America|Equity|All Cap Equities||IWP|6|7.ASSET|Equity|13617.1|155.23|DXCM| DexCom, Inc.| 1.14%| North America|Equity|All Cap Equities||IWP|6|8.ASSET|Equity|13617.1|152.51|CRWD| CrowdStrike Holdings, Inc. Class A| 1.12%| North America|Equity|All Cap Equities||IWP|6|9.ASSET|Equity|13617.1|151.15|SPG| Simon Property Group, Inc.| 1.11%| North America|Equity|All Cap Equities||IWP|6|10.ASSET|Equity|13617.1|144.34|LULU| Lululemon Athletica Inc| 1.06%| North America|Equity|All Cap Equities||IWP|6|11.ASSET|Equity|13617.1|138.89|A| Agilent Technologies, Inc.| 1.02%| North America|Equity|All Cap Equities||IWP|6|12.ASSET|Equity|13617.1|136.17|TTD| Trade Desk, Inc. Class A| 1.00%| North America|Equity|All Cap Equities||IWP|6|13.ASSET|Equity|13617.1|129.36|PAYX| Paychex, Inc.| 0.95%| North America|Equity|All Cap Equities||IWP|6|14.ASSET|Equity|13617.1|123.92|RMD| ResMed Inc.| 0.91%| North America|Equity|All Cap Equities||IWP|6|15.ASSET|Equity|13617.1|122.55|MCHP| Microchip Technology Incorporated| 0.90%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|1.ASSET|Equity|16475.6|1280.15|JNJ| Johnson & Johnson| 7.77%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|2.ASSET|Equity|16475.6|1257.09|UNH| UnitedHealth Group Incorporated| 7.63%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|3.ASSET|Equity|16475.6|833.67|PFE| Pfizer Inc.| 5.06%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|4.ASSET|Equity|16475.6|682.09|ABBV| AbbVie, Inc.| 4.14%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|5.ASSET|Equity|16475.6|645.84|TMO| Thermo Fisher Scientific Inc.| 3.92%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|6.ASSET|Equity|16475.6|637.61|ABT| Abbott Laboratories| 3.87%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|7.ASSET|Equity|16475.6|581.59|MRK| Merck & Co., Inc.| 3.53%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|8.ASSET|Equity|16475.6|563.47|LLY| Eli Lilly and Company| 3.42%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|9.ASSET|Equity|16475.6|518.98|DHR| Danaher Corporation| 3.15%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|10.ASSET|Equity|16475.6|406.95|BMY| Bristol-Myers Squibb Company| 2.47%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|11.ASSET|Equity|16475.6|397.06|CVS| CVS Health Corporation| 2.41%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|12.ASSET|Equity|16475.6|392.12|MDT| Medtronic Plc| 2.38%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|13.ASSET|Equity|16475.6|364.11|AMGN| Amgen Inc.| 2.21%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|14.ASSET|Equity|16475.6|303.15|ANTM| Anthem, Inc.| 1.84%| North America|Equity|Health & Biotech Equities|Healthcare|VHT|6|15.ASSET|Equity|16475.6|286.68|ISRG| Intuitive Surgical, Inc.| 1.74%| North America|Equity|Large Cap Value Equities||VLUE|6|1.ASSET|Equity|12834.1|915.07|T| AT&T Inc.| 7.13%| North America|Equity|Large Cap Value Equities||VLUE|6|2.ASSET|Equity|12834.1|780.31|INTC| Intel Corporation| 6.08%| North America|Equity|Large Cap Value Equities||VLUE|6|3.ASSET|Equity|12834.1|527.48|MU| Micron Technology, Inc.| 4.11%| North America|Equity|Large Cap Value Equities||VLUE|6|4.ASSET|Equity|12834.1|460.74|CSCO| Cisco Systems, Inc.| 3.59%| North America|Equity|Large Cap Value Equities||VLUE|6|5.ASSET|Equity|12834.1|388.87|F| Ford Motor Company| 3.03%| North America|Equity|Large Cap Value Equities||VLUE|6|6.ASSET|Equity|12834.1|359.35|GM| General Motors Company| 2.80%| North America|Equity|Large Cap Value Equities||VLUE|6|7.ASSET|Equity|12834.1|336.25|IBM| International Business Machines Corporation| 2.62%| North America|Equity|Large Cap Value Equities||VLUE|6|8.ASSET|Equity|12834.1|304.17|ABBV| AbbVie, Inc.| 2.37%| North America|Equity|Large Cap Value Equities||VLUE|6|9.ASSET|Equity|12834.1|295.18|PFE| Pfizer Inc.| 2.30%| North America|Equity|Large Cap Value Equities||VLUE|6|10.ASSET|Equity|12834.1|254.12|RTX| Raytheon Technologies Corporation| 1.98%| North America|Equity|Large Cap Value Equities||VLUE|6|11.ASSET|Equity|12834.1|245.13|C| Citigroup Inc.| 1.91%| North America|Equity|Large Cap Value Equities||VLUE|6|12.ASSET|Equity|12834.1|241.28|CVS| CVS Health Corporation| 1.88%| North America|Equity|Large Cap Value Equities||VLUE|6|13.ASSET|Equity|12834.1|232.3|BMY| Bristol-Myers Squibb Company| 1.81%| North America|Equity|Large Cap Value Equities||VLUE|6|14.ASSET|Equity|12834.1|224.6|AMAT| Applied Materials, Inc.| 1.75%| North America|Equity|Large Cap Value Equities||VLUE|6|15.ASSET|Equity|12834.1|224.6|WFC| Wells Fargo & Company| 1.75%| North America|Equity|Small Cap Blend Equities||IWN|6|1.ASSET|Equity|14873.2|124.93|OVV| Ovintiv Inc| 0.84%| North America|Equity|Small Cap Blend Equities||IWN|6|2.ASSET|Equity|14873.2|101.14|AMC| AMC Entertainment Holdings, Inc. Class A| 0.68%| North America|Equity|Small Cap Blend Equities||IWN|6|3.ASSET|Equity|14873.2|89.24|THC| Tenet Healthcare Corporation| 0.60%| North America|Equity|Small Cap Blend Equities||IWN|6|4.ASSET|Equity|14873.2|84.78|CHK| Chesapeake Energy Corporation| 0.57%| North America|Equity|Small Cap Blend Equities||IWN|6|5.ASSET|Equity|14873.2|83.29|M| Macy\'s Inc| 0.56%| North America|Equity|Small Cap Blend Equities||IWN|6|6.ASSET|Equity|14873.2|80.32|CAR| Avis Budget Group, Inc.| 0.54%| North America|Equity|Small Cap Blend Equities||IWN|6|7.ASSET|Equity|14873.2|72.88|STAG| STAG Industrial, Inc.| 0.49%| North America|Equity|Small Cap Blend Equities||IWN|6|8.ASSET|Equity|14873.2|71.39|SSB| SouthState Corporation| 0.48%| North America|Equity|Small Cap Blend Equities||IWN|6|9.ASSET|Equity|14873.2|69.9|PDCE| PDC Energy, Inc.| 0.47%| North America|Equity|Small Cap Blend Equities||IWN|6|10.ASSET|Equity|14873.2|65.44|AR| Antero Resources Corporation| 0.44%| North America|Equity|Small Cap Blend Equities||IWN|6|11.ASSET|Equity|14873.2|60.98|RRC| Range Resources Corporation| 0.41%| North America|Equity|Small Cap Blend Equities||IWN|6|12.ASSET|Equity|14873.2|58.01|EME| EMCOR Group, Inc.| 0.39%| North America|Equity|Small Cap Blend Equities||IWN|6|13.ASSET|Equity|14873.2|56.52|ARNA| Arena Pharmaceuticals, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||IWN|6|14.ASSET|Equity|14873.2|56.52|VLY| Valley National Bancorp| 0.38%| North America|Equity|Small Cap Blend Equities||IWN|6|15.ASSET|Equity|14873.2|55.03|ONB| Old National Bancorp| 0.37%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|1.ASSET|Bond|18226.5|1880.97|Other| BlackRock Funds III Instl Money Mkt Fund| 10.32%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|2.ASSET|Bond|18226.5|289.8|N/A| UMBS TBA 30yr 2% August Delivery 2.000% 01-DEC-2049| 1.59%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|3.ASSET|Bond|18226.5|185.91|N/A| UMBS TBA 30yr 2.5% August Delivery 2.500% 01-JUN-2049| 1.02%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|4.ASSET|Bond|18226.5|165.86|N/A| United States Treasury Notes 0.125% 15-JAN-2024| 0.91%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|5.ASSET|Bond|18226.5|151.28|N/A| United States Treasury Notes 0.75% 31-JAN-2028| 0.83%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|6.ASSET|Bond|18226.5|145.81|N/A| United States Treasury Notes 0.375% 31-JAN-2026| 0.80%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|7.ASSET|Bond|18226.5|136.7|N/A| United States Treasury Notes 0.375% 31-DEC-2025| 0.75%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|8.ASSET|Bond|18226.5|125.76|N/A| UMBS TBA 30yr 3.5% August Delivery 3.500% 01-APR-2048| 0.69%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|9.ASSET|Bond|18226.5|114.83|N/A| UMBS TBA 30yr 3% August Delivery 3.000% 01-JUL-2048| 0.63%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|10.ASSET|Bond|18226.5|98.42|N/A| United States Treasury Notes 0.5% 28-FEB-2026| 0.54%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|11.ASSET|Bond|18226.5|94.78|N/A| UMBS TBA 30yr 1.5% August Delivery 1.500% 01-MAR-2051| 0.52%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|12.ASSET|Bond|18226.5|92.96|N/A| UMBS TBA 15yr 1.5% August Delivery 1.500% 01-JUN-2035| 0.51%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|13.ASSET|Bond|18226.5|91.13|N/A| United States Treasury Notes 0.375% 15-APR-2024| 0.50%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|14.ASSET|Bond|18226.5|87.49|N/A| United States Treasury Notes 0.125% 15-DEC-2023| 0.48%| North America|Bond|Total Bond Market|Total Bond Market|IUSB|6|15.ASSET|Bond|18226.5|82.02|N/A| United States Treasury Notes 1.125% 29-FEB-2028| 0.45%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|1.ASSET|Equity|16378.5|398|SHEL| Shell PLC| 2.43%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|2.ASSET|Equity|16378.5|384.89|7203| Toyota Motor Corp.| 2.35%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|3.ASSET|Equity|16378.5|383.26|NOVN| Novartis AG| 2.34%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|4.ASSET|Equity|16378.5|342.31|BHP| BHP Group Ltd| 2.09%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|5.ASSET|Equity|16378.5|266.97|HSBA| HSBC Holdings Plc| 1.63%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|6.ASSET|Equity|16378.5|257.14|NESN| Nestle S.A.| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|7.ASSET|Equity|16378.5|247.32|TTE| TotalEnergies SE| 1.51%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|8.ASSET|Equity|16378.5|230.94|SAN| Sanofi| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|9.ASSET|Equity|16378.5|206.37|GSK| GlaxoSmithKline plc| 1.26%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|10.ASSET|Equity|16378.5|203.09|SIE| Siemens AG| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|11.ASSET|Equity|16378.5|186.71|BATS| British American Tobacco p.l.c.| 1.14%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|12.ASSET|Equity|16378.5|186.71|BP| BP p.l.c.| 1.14%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|13.ASSET|Equity|16378.5|176.89|RIO| Rio Tinto plc| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|14.ASSET|Equity|16378.5|175.25|ALV| Allianz SE| 1.07%| Developed Markets|Equity|Foreign Large Cap Equities||EFV|6|15.ASSET|Equity|16378.5|150.68|CBA| Commonwealth Bank of Australia| 0.92%| North America|Bond|Government Bonds|Treasuries|GOVT|6|1.ASSET|Bond|16775.6|1040.09|N/A| United States Treasury Notes 0.25% 15-MAY-2024| 6.20%| North America|Bond|Government Bonds|Treasuries|GOVT|6|2.ASSET|Bond|16775.6|998.15|N/A| United States Treasury Bond 3.75% 15-NOV-2043| 5.95%| North America|Bond|Government Bonds|Treasuries|GOVT|6|3.ASSET|Bond|16775.6|890.78|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 5.31%| North America|Bond|Government Bonds|Treasuries|GOVT|6|4.ASSET|Bond|16775.6|805.23|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 4.80%| North America|Bond|Government Bonds|Treasuries|GOVT|6|5.ASSET|Bond|16775.6|654.25|N/A| United States Treasury Notes 0.375% 15-APR-2024| 3.90%| North America|Bond|Government Bonds|Treasuries|GOVT|6|6.ASSET|Bond|16775.6|563.66|N/A| United States Treasury Notes 2.375% 15-AUG-2024| 3.36%| North America|Bond|Government Bonds|Treasuries|GOVT|6|7.ASSET|Bond|16775.6|530.11|N/A| United States Treasury Notes 0.125% 15-AUG-2023| 3.16%| North America|Bond|Government Bonds|Treasuries|GOVT|6|8.ASSET|Bond|16775.6|471.39|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.81%| North America|Bond|Government Bonds|Treasuries|GOVT|6|9.ASSET|Bond|16775.6|464.68|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 2.77%| North America|Bond|Government Bonds|Treasuries|GOVT|6|10.ASSET|Bond|16775.6|419.39|N/A| United States Treasury Notes 2.75% 15-FEB-2028| 2.50%| North America|Bond|Government Bonds|Treasuries|GOVT|6|11.ASSET|Bond|16775.6|417.71|N/A| United States Treasury Bond 2.75% 15-NOV-2042| 2.49%| North America|Bond|Government Bonds|Treasuries|GOVT|6|12.ASSET|Bond|16775.6|392.55|N/A| United States Treasury Notes 1.625% 15-MAY-2026| 2.34%| North America|Bond|Government Bonds|Treasuries|GOVT|6|13.ASSET|Bond|16775.6|375.77|N/A| United States Treasury Notes 2.25% 15-AUG-2027| 2.24%| North America|Bond|Government Bonds|Treasuries|GOVT|6|14.ASSET|Bond|16775.6|365.71|N/A| United States Treasury Notes 2.375% 29-FEB-2024| 2.18%| North America|Bond|Government Bonds|Treasuries|GOVT|6|15.ASSET|Bond|16775.6|362.35|N/A| United States Treasury Notes 2.25% 15-FEB-2027| 2.16%| North America|Equity|Mid Cap Value Equities||VOE|6|1.ASSET|Equity|16397.4|191.85|CARR| Carrier Global Corp.| 1.17%| North America|Equity|Mid Cap Value Equities||VOE|6|2.ASSET|Equity|16397.4|182.01|MSI| Motorola Solutions, Inc.| 1.11%| North America|Equity|Mid Cap Value Equities||VOE|6|3.ASSET|Equity|16397.4|173.81|WELL| Welltower, Inc.| 1.06%| North America|Equity|Mid Cap Value Equities||VOE|6|4.ASSET|Equity|16397.4|162.33|CTVA| Corteva Inc| 0.99%| North America|Equity|Mid Cap Value Equities||VOE|6|5.ASSET|Equity|16397.4|157.42|VLO| Valero Energy Corporation| 0.96%| North America|Equity|Mid Cap Value Equities||VOE|6|6.ASSET|Equity|16397.4|157.42|AVB| AvalonBay Communities, Inc.| 0.96%| North America|Equity|Mid Cap Value Equities||VOE|6|7.ASSET|Equity|16397.4|157.42|DFS| Discover Financial Services| 0.96%| North America|Equity|Mid Cap Value Equities||VOE|6|8.ASSET|Equity|16397.4|157.42|AMP| Ameriprise Financial, Inc.| 0.96%| North America|Equity|Mid Cap Value Equities||VOE|6|9.ASSET|Equity|16397.4|155.78|IFF| International Flavors & Fragrances Inc.| 0.95%| North America|Equity|Mid Cap Value Equities||VOE|6|10.ASSET|Equity|16397.4|154.14|OXY| Occidental Petroleum Corporation| 0.94%| North America|Equity|Mid Cap Value Equities||VOE|6|11.ASSET|Equity|16397.4|150.86|AJG| Arthur J. Gallagher & Co.| 0.92%| North America|Equity|Mid Cap Value Equities||VOE|6|12.ASSET|Equity|16397.4|149.22|GLW| Corning Inc| 0.91%| North America|Equity|Mid Cap Value Equities||VOE|6|13.ASSET|Equity|16397.4|149.22|CBRE| CBRE Group, Inc. Class A| 0.91%| North America|Equity|Mid Cap Value Equities||VOE|6|14.ASSET|Equity|16397.4|145.94|EQR| Equity Residential| 0.89%| North America|Equity|Mid Cap Value Equities||VOE|6|15.ASSET|Equity|16397.4|142.66|KEYS| Keysight Technologies Inc| 0.87%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|1.ASSET|Equity|13785.9|41.36|9104| Mitsui O.S.K.Lines,Ltd.| 0.30%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|2.ASSET|Equity|13785.9|39.98|N/A| U.S. Dollar| 0.29%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|3.ASSET|Equity|13785.9|37.22|MGGT| Meggitt PLC| 0.27%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|4.ASSET|Equity|13785.9|35.84|RMV| Rightmove plc| 0.26%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|5.ASSET|Equity|13785.9|34.46|BME| B&M European Value Retail SA| 0.25%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|6.ASSET|Equity|13785.9|34.46|SIGN| SIG Combibloc Group Ltd| 0.25%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|7.ASSET|Equity|13785.9|34.46|AER| AerCap Holdings NV| 0.25%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|8.ASSET|Equity|13785.9|31.71|LYC| Lynas Rare Earths Limited| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|9.ASSET|Equity|13785.9|31.71|HWDN| Howden Joinery Group PLC| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|10.ASSET|Equity|13785.9|31.71|LIGHT| Signify NV| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|11.ASSET|Equity|13785.9|31.71|ICP| Intermediate Capital Group plc| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|12.ASSET|Equity|13785.9|30.33|BIRG| Bank of Ireland Group Plc| 0.22%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|13.ASSET|Equity|13785.9|30.33|RHM| Rheinmetall AG| 0.22%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|14.ASSET|Equity|13785.9|30.33|SMDS| DS Smith Plc| 0.22%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCZ|6|15.ASSET|Equity|13785.9|28.95|OZL| OZ Minerals Limited| 0.21%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|1.ASSET|Equity|11794.1|1895.31|FB| Meta Platforms Inc. Class A| 16.07%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|2.ASSET|Equity|11794.1|1438.88|GOOGL| Alphabet Inc. Class A| 12.20%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|3.ASSET|Equity|11794.1|1338.63|GOOG| Alphabet Inc. Class C| 11.35%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|4.ASSET|Equity|11794.1|645.14|TMUS| T-Mobile US, Inc.| 5.47%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|5.ASSET|Equity|11794.1|641.6|VZ| Verizon Communications Inc.| 5.44%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|6.ASSET|Equity|11794.1|640.42|ATVI| Activision Blizzard, Inc.| 5.43%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|7.ASSET|Equity|11794.1|619.19|T| AT&T Inc.| 5.25%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|8.ASSET|Equity|11794.1|584.99|CHTR| Charter Communications, Inc. Class A| 4.96%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|9.ASSET|Equity|11794.1|575.55|CMCSA| Comcast Corporation Class A| 4.88%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|10.ASSET|Equity|11794.1|573.19|DIS| Walt Disney Company| 4.86%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|11.ASSET|Equity|11794.1|379.77|NFLX| Netflix, Inc.| 3.22%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|12.ASSET|Equity|11794.1|367.98|EA| Electronic Arts Inc.| 3.12%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|13.ASSET|Equity|11794.1|317.26|MTCH| Match Group, Inc.| 2.69%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|14.ASSET|Equity|11794.1|288.96|TWTR| Twitter, Inc.| 2.45%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|XLC|6|15.ASSET|Equity|11794.1|199.32|PARA| Paramount Global Class B| 1.69%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|1.ASSET|Bond|14380.7|1958.65|N/A| U.S. Dollar| 13.62%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|2.ASSET|Bond|14380.7|661.51|N/A| UMBS TBA 30yr 2% November Delivery 2.000% 01-MAR-2051| 4.60%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|3.ASSET|Bond|14380.7|514.83|N/A| UMBS TBA 30yr 2% October Delivery 2.000% 01-DEC-2049| 3.58%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|4.ASSET|Bond|14380.7|497.57|N/A| UMBS TBA 30yr 2.5% October Delivery 2.500% 01-JUN-2049| 3.46%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|5.ASSET|Bond|14380.7|425.67|N/A| UMBS TBA 30yr 2.5% November Delivery 2.500% 01-JUN-2049| 2.96%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|6.ASSET|Bond|14380.7|207.08|N/A| UMBS TBA 30yr 3% October Delivery 3.000% 01-AUG-2048| 1.44%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|7.ASSET|Bond|14380.7|189.83|N/A| UMBS TBA 15yr 2% November Delivery 2.000% 01-OCT-2034| 1.32%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|8.ASSET|Bond|14380.7|176.88|N/A| UMBS TBA 30yr 4% October Delivery 4.000% 01-APR-2048| 1.23%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|9.ASSET|Bond|14380.7|158.19|N/A| UMBS TBA 15yr 2% October Delivery 2.000% 01-OCT-2034| 1.10%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|10.ASSET|Bond|14380.7|146.68|N/A| UMBS TBA 30yr 3.5% October Delivery 3.500% 01-MAY-2048| 1.02%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|11.ASSET|Bond|14380.7|130.86|N/A| UMBS TBA 30yr 3% November Delivery 3.000% 01-AUG-2048| 0.91%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|12.ASSET|Bond|14380.7|129.43|N/A| UMBS TBA 30yr 3.5% November Delivery 3.500% 01-MAY-2048| 0.90%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|13.ASSET|Bond|14380.7|125.11|N/A| UMBS TBA 30yr 4% November Delivery 4.000% 01-APR-2048| 0.87%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|14.ASSET|Bond|14380.7|103.54|N/A| FNMA 30yr Pool#MA4055 2.500% 01-Jun-2050 2.5% 01-JUN-2050| 0.72%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|VMBS|6|15.ASSET|Bond|14380.7|86.28|N/A| GNMA II TBA 30yr 2.5% November Delivery 2.500% 01-OCT-2049| 0.60%| North America|Bond|Government Bonds|Treasuries|TLT|6|1.ASSET|Bond|15625.7|1892.27|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 12.11%| North America|Bond|Government Bonds|Treasuries|TLT|6|2.ASSET|Bond|15625.7|1362.56|N/A| United States Treasury Bond 3.0% 15-FEB-2049| 8.72%| North America|Bond|Government Bonds|Treasuries|TLT|6|3.ASSET|Bond|15625.7|956.29|N/A| United States Treasury Bond 3.0% 15-AUG-2048| 6.12%| North America|Bond|Government Bonds|Treasuries|TLT|6|4.ASSET|Bond|15625.7|900.04|N/A| United States Treasury Bond 2.875% 15-MAY-2043| 5.76%| North America|Bond|Government Bonds|Treasuries|TLT|6|5.ASSET|Bond|15625.7|893.79|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 5.72%| North America|Bond|Government Bonds|Treasuries|TLT|6|6.ASSET|Bond|15625.7|837.54|N/A| United States Treasury Bond 3.0% 15-FEB-2048| 5.36%| North America|Bond|Government Bonds|Treasuries|TLT|6|7.ASSET|Bond|15625.7|768.78|N/A| United States Treasury Bond 1.625% 15-NOV-2050| 4.92%| North America|Bond|Government Bonds|Treasuries|TLT|6|8.ASSET|Bond|15625.7|729.72|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 4.67%| North America|Bond|Government Bonds|Treasuries|TLT|6|9.ASSET|Bond|15625.7|726.6|N/A| United States Treasury Bond 3.125% 15-MAY-2048| 4.65%| North America|Bond|Government Bonds|Treasuries|TLT|6|10.ASSET|Bond|15625.7|684.41|N/A| United States Treasury Bond 2.5% 15-FEB-2046| 4.38%| North America|Bond|Government Bonds|Treasuries|TLT|6|11.ASSET|Bond|15625.7|681.28|N/A| United States Treasury Bond 3.125% 15-AUG-2044| 4.36%| North America|Bond|Government Bonds|Treasuries|TLT|6|12.ASSET|Bond|15625.7|648.47|N/A| United States Treasury Bond 2.5% 15-MAY-2046| 4.15%| North America|Bond|Government Bonds|Treasuries|TLT|6|13.ASSET|Bond|15625.7|603.15|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 3.86%| North America|Bond|Government Bonds|Treasuries|TLT|6|14.ASSET|Bond|15625.7|534.4|N/A| United States Treasury Bond 2.25% 15-AUG-2049| 3.42%| North America|Bond|Government Bonds|Treasuries|TLT|6|15.ASSET|Bond|15625.7|373.45|N/A| United States Treasury Bond 3.125% 15-FEB-2043| 2.39%| North America|Equity|Mid Cap Value Equities||IWS|6|1.ASSET|Equity|14764.1|113.68|MRVL| Marvell Technology, Inc.| 0.77%| North America|Equity|Mid Cap Value Equities||IWS|6|2.ASSET|Equity|14764.1|98.92|MPC| Marathon Petroleum Corporation| 0.67%| North America|Equity|Mid Cap Value Equities||IWS|6|3.ASSET|Equity|14764.1|93.01|ADM| Archer-Daniels-Midland Company| 0.63%| North America|Equity|Mid Cap Value Equities||IWS|6|4.ASSET|Equity|14764.1|85.63|DVN| Devon Energy Corporation| 0.58%| North America|Equity|Mid Cap Value Equities||IWS|6|5.ASSET|Equity|14764.1|85.63|PRU| Prudential Financial, Inc.| 0.58%| North America|Equity|Mid Cap Value Equities||IWS|6|6.ASSET|Equity|14764.1|82.68|WMB| Williams Companies, Inc.| 0.56%| North America|Equity|Mid Cap Value Equities||IWS|6|7.ASSET|Equity|14764.1|81.2|AFL| Aflac Incorporated| 0.55%| North America|Equity|Mid Cap Value Equities||IWS|6|8.ASSET|Equity|14764.1|79.73|O| Realty Income Corporation| 0.54%| North America|Equity|Mid Cap Value Equities||IWS|6|9.ASSET|Equity|14764.1|79.73|NUE| Nucor Corporation| 0.54%| North America|Equity|Mid Cap Value Equities||IWS|6|10.ASSET|Equity|14764.1|78.25|CTVA| Corteva Inc| 0.53%| North America|Equity|Mid Cap Value Equities||IWS|6|11.ASSET|Equity|14764.1|76.77|WELL| Welltower, Inc.| 0.52%| North America|Equity|Mid Cap Value Equities||IWS|6|12.ASSET|Equity|14764.1|76.77|XEL| Xcel Energy Inc.| 0.52%| North America|Equity|Mid Cap Value Equities||IWS|6|13.ASSET|Equity|14764.1|76.77|MSI| Motorola Solutions, Inc.| 0.52%| North America|Equity|Mid Cap Value Equities||IWS|6|14.ASSET|Equity|14764.1|76.77|KR| Kroger Co.| 0.52%| North America|Equity|Mid Cap Value Equities||IWS|6|15.ASSET|Equity|14764.1|76.77|PSX| Phillips 66| 0.52%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|1.ASSET|Bond|14085.9|345.1|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 2.45%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|2.ASSET|Bond|14085.9|338.06|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 2.40%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|3.ASSET|Bond|14085.9|329.61|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.34%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|4.ASSET|Bond|14085.9|329.61|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 2.34%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|5.ASSET|Bond|14085.9|316.93|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 2.25%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|6.ASSET|Bond|14085.9|281.72|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 2.00%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|7.ASSET|Bond|14085.9|269.04|N/A| United States Treasury Notes 2.375% 15-MAY-2027| 1.91%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|8.ASSET|Bond|14085.9|250.73|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 1.78%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|9.ASSET|Bond|14085.9|249.32|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 1.77%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|10.ASSET|Bond|14085.9|245.09|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 1.74%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|11.ASSET|Bond|14085.9|232.42|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 1.65%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|12.ASSET|Bond|14085.9|226.78|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 1.61%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|13.ASSET|Bond|14085.9|223.97|N/A| United States Treasury Notes 2.25% 15-AUG-2027| 1.59%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|14.ASSET|Bond|14085.9|223.97|N/A| United States Treasury Notes 1.125% 29-FEB-2028| 1.59%| North America|Bond|Total Bond Market|Total Bond Market|BIV|6|15.ASSET|Bond|14085.9|223.97|N/A| United States Treasury Notes 2.875% 15-MAY-2028| 1.59%| North America|Equity|n/a||DFAC|6|1.ASSET|Equity|14828.4|760.7|AAPL| Apple Inc.| 5.13%| North America|Equity|n/a||DFAC|6|2.ASSET|Equity|14828.4|596.1|MSFT| Microsoft Corporation| 4.02%| North America|Equity|n/a||DFAC|6|3.ASSET|Equity|14828.4|369.23|AMZN| Amazon.com, Inc.| 2.49%| North America|Equity|n/a||DFAC|6|4.ASSET|Equity|14828.4|149.77|JNJ| Johnson & Johnson| 1.01%| North America|Equity|n/a||DFAC|6|5.ASSET|Equity|14828.4|134.94|JPM| JPMorgan Chase & Co.| 0.91%| North America|Equity|n/a||DFAC|6|6.ASSET|Equity|14828.4|133.46|GOOGL| Alphabet Inc. Class A| 0.90%| North America|Equity|n/a||DFAC|6|7.ASSET|Equity|14828.4|130.49|BRK.B| Berkshire Hathaway Inc. Class B| 0.88%| North America|Equity|n/a||DFAC|6|8.ASSET|Equity|14828.4|130.49|GOOG| Alphabet Inc. Class C| 0.88%| North America|Equity|n/a||DFAC|6|9.ASSET|Equity|14828.4|124.56|UNH| UnitedHealth Group Incorporated| 0.84%| North America|Equity|n/a||DFAC|6|10.ASSET|Equity|14828.4|102.32|PG| Procter & Gamble Company| 0.69%| North America|Equity|n/a||DFAC|6|11.ASSET|Equity|14828.4|94.9|V| Visa Inc. Class A| 0.64%| North America|Equity|n/a||DFAC|6|12.ASSET|Equity|14828.4|94.9|FB| Meta Platforms Inc. Class A| 0.64%| North America|Equity|n/a||DFAC|6|13.ASSET|Equity|14828.4|93.42|INTC| Intel Corporation| 0.63%| North America|Equity|n/a||DFAC|6|14.ASSET|Equity|14828.4|86|VZ| Verizon Communications Inc.| 0.58%| North America|Equity|n/a||DFAC|6|15.ASSET|Equity|14828.4|83.04|CMCSA| Comcast Corporation Class A| 0.56%| North America|Bond|Government Bonds|Treasuries|IEF|6|1.ASSET|Bond|18590.6|4801.95|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 25.83%| North America|Bond|Government Bonds|Treasuries|IEF|6|2.ASSET|Bond|18590.6|4482.19|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 24.11%| North America|Bond|Government Bonds|Treasuries|IEF|6|3.ASSET|Bond|18590.6|4402.25|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 23.68%| North America|Bond|Government Bonds|Treasuries|IEF|6|4.ASSET|Bond|18590.6|3881.72|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 20.88%| North America|Bond|Government Bonds|Treasuries|IEF|6|5.ASSET|Bond|18590.6|3853.83|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 20.73%| North America|Bond|Government Bonds|Treasuries|IEF|6|6.ASSET|Bond|18590.6|3706.97|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 19.94%| North America|Bond|Government Bonds|Treasuries|IEF|6|7.ASSET|Bond|18590.6|2292.22|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 12.33%| North America|Bond|Government Bonds|Treasuries|IEF|6|8.ASSET|Bond|18590.6|1816.3|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 9.77%| North America|Bond|Government Bonds|Treasuries|IEF|6|9.ASSET|Bond|18590.6|1635.97|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 8.80%| North America|Bond|Government Bonds|Treasuries|IEF|6|10.ASSET|Bond|18590.6|1613.66|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 8.68%| North America|Bond|Government Bonds|Treasuries|IEF|6|11.ASSET|Bond|18590.6|987.16|N/A| United States Treasury Notes 1.5% 15-FEB-2030| 5.31%| North America|Bond|Government Bonds|Treasuries|IEF|6|12.ASSET|Bond|18590.6|983.44|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 5.29%| North America|Bond|Government Bonds|Treasuries|IEF|6|13.ASSET|Bond|18590.6|983.44|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 5.29%| North America|Bond|Government Bonds|Treasuries|IEF|6|14.ASSET|Bond|18590.6|871.9|N/A| United States Treasury Notes 1.5% 15-FEB-2030| 4.69%| North America|Bond|Government Bonds|Treasuries|IEF|6|15.ASSET|Bond|18590.6|474.06|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 2.55%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|1.ASSET|Bond|14037.1|1973.62|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 14.06%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|2.ASSET|Bond|14037.1|276.53|N/A| ASSET-BACKED SECURITIES| 1.97%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|3.ASSET|Bond|14037.1|275.13|N/A| CORPORATE BOND| 1.96%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|4.ASSET|Bond|14037.1|234.42|N/A| MORTGAGE-BACKED SECURITIES| 1.67%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|5.ASSET|Bond|14037.1|176.87|N/A| NatWest Group Plc FRN 15-MAY-2023| 1.26%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|6.ASSET|Bond|14037.1|172.66|N/A| HSBC Holdings Plc FRN 18-MAY-2024| 1.23%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|7.ASSET|Bond|14037.1|169.85|N/A| B.A.T. Capital Corp. FRN 15-AUG-2022| 1.21%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|8.ASSET|Bond|14037.1|167.04|N/A| Wells Fargo & Company FRN 31-OCT-2023| 1.19%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|9.ASSET|Bond|14037.1|162.83|N/A| American Electric Power Company, Inc. FRN 01-NOV-2023| 1.16%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|10.ASSET|Bond|14037.1|161.43|N/A| Federal Home Loan Bank System 0.96% 05-MAR-2026| 1.15%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|11.ASSET|Bond|14037.1|133.35|N/A| Ginnie Mae REMIC Trust 2021-122 FA 0.44833% 20-JUL-2051| 0.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|12.ASSET|Bond|14037.1|133.35|N/A| Athene Global Funding FRN 01-JUL-2022| 0.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|13.ASSET|Bond|14037.1|129.14|N/A| Ginnie Mae REMIC Trust 2021-097 FA 0.44833% 20-JUN-2051| 0.92%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|14.ASSET|Bond|14037.1|127.74|N/A| FIXED INCOME (UNCLASSFIED)| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|MINT|6|15.ASSET|Bond|14037.1|124.93|N/A| Federal Home Loan Bank System 1.05% 13-AUG-2026| 0.89%| North America|Bond|National Munis|Municipal Bond|VTEB|6|1.ASSET|Bond|14537.6|324.19|N/A| MUTUAL FUND (OTHER)| 2.23%| North America|Bond|National Munis|Municipal Bond|VTEB|6|2.ASSET|Bond|14537.6|63.97|N/A| New York St Dorm Auth St Pers Income Tax Rev 5.0% 15-MAR-2025| 0.44%| North America|Bond|National Munis|Municipal Bond|VTEB|6|3.ASSET|Bond|14537.6|49.43|N/A| Texas St 5.0% 01-OCT-2044| 0.34%| North America|Bond|National Munis|Municipal Bond|VTEB|6|4.ASSET|Bond|14537.6|37.8|N/A| Florida St Brd Ed Pub Ed 5.0% 01-JUN-2033| 0.26%| North America|Bond|National Munis|Municipal Bond|VTEB|6|5.ASSET|Bond|14537.6|36.34|N/A| San Diego Calif Uni Sch Dist 5.0% 01-JUL-2023| 0.25%| North America|Bond|National Munis|Municipal Bond|VTEB|6|6.ASSET|Bond|14537.6|31.98|N/A| New York St Twy Auth St Pers Income Tax Rev 4.0% 15-MAR-2054| 0.22%| North America|Bond|National Munis|Municipal Bond|VTEB|6|7.ASSET|Bond|14537.6|30.53|N/A| Grand Parkway Transn Corp Tex Sys Toll Rev 5.0% 01-APR-2053| 0.21%| North America|Bond|National Munis|Municipal Bond|VTEB|6|8.ASSET|Bond|14537.6|30.53|N/A| Minnesota St 5.0% 01-SEP-2028| 0.21%| North America|Bond|National Munis|Municipal Bond|VTEB|6|9.ASSET|Bond|14537.6|30.53|N/A| New York St Dorm Auth St Pers Income Tax Rev 5.0% 15-MAR-2036| 0.21%| North America|Bond|National Munis|Municipal Bond|VTEB|6|10.ASSET|Bond|14537.6|30.53|N/A| Central Puget Sound Wash Regl Tran Auth Sales &Use Tax Rev 5.0% 01-NOV-2050| 0.21%| North America|Bond|National Munis|Municipal Bond|VTEB|6|11.ASSET|Bond|14537.6|30.53|N/A| California St 5.0% 01-NOV-2028| 0.21%| North America|Bond|National Munis|Municipal Bond|VTEB|6|12.ASSET|Bond|14537.6|30.53|N/A| San Diego Calif Uni Sch Dist 5.0% 01-JUL-2023| 0.21%| North America|Bond|National Munis|Municipal Bond|VTEB|6|13.ASSET|Bond|14537.6|29.08|N/A| Atlanta Ga Arpt Passenger Fac Charge Rev 5.0% 01-JUL-2037| 0.20%| North America|Bond|National Munis|Municipal Bond|VTEB|6|14.ASSET|Bond|14537.6|27.62|N/A| Maryland St Dept Transn Cons Transn 3.0% 01-OCT-2035| 0.19%| North America|Bond|National Munis|Municipal Bond|VTEB|6|15.ASSET|Bond|14537.6|27.62|N/A| Metropolitan Council Minn Minneapolis-St Paul Met Area 5.0% 01-DEC-2025| 0.19%| North America|Equity|Large Cap Growth Equities||SPYG|6|1.ASSET|Equity|13331.7|1853.11|AAPL| Apple Inc.| 13.90%| North America|Equity|Large Cap Growth Equities||SPYG|6|2.ASSET|Equity|13331.7|1613.14|MSFT| Microsoft Corporation| 12.10%| North America|Equity|Large Cap Growth Equities||SPYG|6|3.ASSET|Equity|13331.7|959.88|AMZN| Amazon.com, Inc.| 7.20%| North America|Equity|Large Cap Growth Equities||SPYG|6|4.ASSET|Equity|13331.7|587.93|GOOGL| Alphabet Inc. Class A| 4.41%| North America|Equity|Large Cap Growth Equities||SPYG|6|5.ASSET|Equity|13331.7|546.6|GOOG| Alphabet Inc. Class C| 4.10%| North America|Equity|Large Cap Growth Equities||SPYG|6|6.ASSET|Equity|13331.7|511.94|TSLA| Tesla Inc| 3.84%| North America|Equity|Large Cap Growth Equities||SPYG|6|7.ASSET|Equity|13331.7|427.95|NVDA| NVIDIA Corporation| 3.21%| North America|Equity|Large Cap Growth Equities||SPYG|6|8.ASSET|Equity|13331.7|350.62|FB| Meta Platforms Inc. Class A| 2.63%| North America|Equity|Large Cap Growth Equities||SPYG|6|9.ASSET|Equity|13331.7|186.64|HD| Home Depot, Inc.| 1.40%| North America|Equity|Large Cap Growth Equities||SPYG|6|10.ASSET|Equity|13331.7|161.31|ADBE| Adobe Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||SPYG|6|11.ASSET|Equity|13331.7|155.98|TMO| Thermo Fisher Scientific Inc.| 1.17%| North America|Equity|Large Cap Growth Equities||SPYG|6|12.ASSET|Equity|13331.7|143.98|LLY| Eli Lilly and Company| 1.08%| North America|Equity|Large Cap Growth Equities||SPYG|6|13.ASSET|Equity|13331.7|137.32|UNH| UnitedHealth Group Incorporated| 1.03%| North America|Equity|Large Cap Growth Equities||SPYG|6|14.ASSET|Equity|13331.7|135.98|AMD| Advanced Micro Devices, Inc.| 1.02%| North America|Equity|Large Cap Growth Equities||SPYG|6|15.ASSET|Equity|13331.7|134.65|JPM| JPMorgan Chase & Co.| 1.01%| North America|Equity|Large Cap Growth Equities||GSLC|6|1.ASSET|Equity|13517.5|809.7|AAPL| Apple Inc.| 5.99%| North America|Equity|Large Cap Growth Equities||GSLC|6|2.ASSET|Equity|13517.5|712.37|MSFT| Microsoft Corporation| 5.27%| North America|Equity|Large Cap Growth Equities||GSLC|6|3.ASSET|Equity|13517.5|408.23|AMZN| Amazon.com, Inc.| 3.02%| North America|Equity|Large Cap Growth Equities||GSLC|6|4.ASSET|Equity|13517.5|252.78|GOOGL| Alphabet Inc. Class A| 1.87%| North America|Equity|Large Cap Growth Equities||GSLC|6|5.ASSET|Equity|13517.5|246.02|GOOG| Alphabet Inc. Class C| 1.82%| North America|Equity|Large Cap Growth Equities||GSLC|6|6.ASSET|Equity|13517.5|166.27|NVDA| NVIDIA Corporation| 1.23%| North America|Equity|Large Cap Growth Equities||GSLC|6|7.ASSET|Equity|13517.5|164.91|FB| Meta Platforms Inc. Class A| 1.22%| North America|Equity|Large Cap Growth Equities||GSLC|6|8.ASSET|Equity|13517.5|145.99|BRK.B| Berkshire Hathaway Inc. Class B| 1.08%| North America|Equity|Large Cap Growth Equities||GSLC|6|9.ASSET|Equity|13517.5|143.29|JNJ| Johnson & Johnson| 1.06%| North America|Equity|Large Cap Growth Equities||GSLC|6|10.ASSET|Equity|13517.5|137.88|HD| Home Depot, Inc.| 1.02%| North America|Equity|Large Cap Growth Equities||GSLC|6|11.ASSET|Equity|13517.5|133.82|UNH| UnitedHealth Group Incorporated| 0.99%| North America|Equity|Large Cap Growth Equities||GSLC|6|12.ASSET|Equity|13517.5|125.71|TSLA| Tesla Inc| 0.93%| North America|Equity|Large Cap Growth Equities||GSLC|6|13.ASSET|Equity|13517.5|102.73|JPM| JPMorgan Chase & Co.| 0.76%| North America|Equity|Large Cap Growth Equities||GSLC|6|14.ASSET|Equity|13517.5|100.03|WMT| Walmart Inc.| 0.74%| North America|Equity|Large Cap Growth Equities||GSLC|6|15.ASSET|Equity|13517.5|98.68|ACN| Accenture Plc Class A| 0.73%| Developed Markets|Equity|Materials|Materials|GDX|6|1.ASSET|Equity|14473.2|2412.68|NEM| Newmont Corporation| 16.67%| Developed Markets|Equity|Materials|Materials|GDX|6|2.ASSET|Equity|14473.2|1829.41|GOLD| Barrick Gold Corporation| 12.64%| Developed Markets|Equity|Materials|Materials|GDX|6|3.ASSET|Equity|14473.2|1257.72|FNV| Franco-Nevada Corporation| 8.69%| Developed Markets|Equity|Materials|Materials|GDX|6|4.ASSET|Equity|14473.2|1052.2|AEM| Agnico Eagle Mines Limited| 7.27%| Developed Markets|Equity|Materials|Materials|GDX|6|5.ASSET|Equity|14473.2|904.58|WPM| Wheaton Precious Metals Corp| 6.25%| Developed Markets|Equity|Materials|Materials|GDX|6|6.ASSET|Equity|14473.2|671.56|NCM| Newcrest Mining Limited| 4.64%| Developed Markets|Equity|Materials|Materials|GDX|6|7.ASSET|Equity|14473.2|564.45|GFI| Gold Fields Limited Sponsored ADR| 3.90%| Developed Markets|Equity|Materials|Materials|GDX|6|8.ASSET|Equity|14473.2|453.01|AU| AngloGold Ashanti Limited Sponsored ADR| 3.13%| Developed Markets|Equity|Materials|Materials|GDX|6|9.ASSET|Equity|14473.2|371.96|NST| Northern Star Resources Ltd| 2.57%| Developed Markets|Equity|Materials|Materials|GDX|6|10.ASSET|Equity|14473.2|364.72|RGLD| Royal Gold, Inc.| 2.52%| Developed Markets|Equity|Materials|Materials|GDX|6|11.ASSET|Equity|14473.2|356.04|2899| Zijin Mining Group Co., Ltd. Class H| 2.46%| Developed Markets|Equity|Materials|Materials|GDX|6|12.ASSET|Equity|14473.2|302.49|EDV| Endeavour Mining PLC| 2.09%| Developed Markets|Equity|Materials|Materials|GDX|6|13.ASSET|Equity|14473.2|285.12|KGC| Kinross Gold Corporation| 1.97%| Developed Markets|Equity|Materials|Materials|GDX|6|14.ASSET|Equity|14473.2|238.81|EVN| Evolution Mining Limited| 1.65%| Developed Markets|Equity|Materials|Materials|GDX|6|15.ASSET|Equity|14473.2|237.36|PAAS| Pan American Silver Corp.| 1.64%| North America|Bond|Government Bonds|Treasuries|SHV|6|1.ASSET|Bond|15803.4|1400.18|N/A| United States Treasury Bills 0.0% 14-APR-2022| 8.86%| North America|Bond|Government Bonds|Treasuries|SHV|6|2.ASSET|Bond|15803.4|1360.67|N/A| United States Treasury Notes 2.125% 15-MAY-2022| 8.61%| North America|Bond|Government Bonds|Treasuries|SHV|6|3.ASSET|Bond|15803.4|954.53|N/A| Government of the United States of America 0.0% 14-JUN-2022| 6.04%| North America|Bond|Government Bonds|Treasuries|SHV|6|4.ASSET|Bond|15803.4|798.07|N/A| United States Treasury Notes 1.75% 15-JUL-2022| 5.05%| North America|Bond|Government Bonds|Treasuries|SHV|6|5.ASSET|Bond|15803.4|750.66|N/A| United States Treasury Notes 2.125% 31-DEC-2022| 4.75%| North America|Bond|Government Bonds|Treasuries|SHV|6|6.ASSET|Bond|15803.4|682.71|N/A| United States Treasury Notes 1.875% 30-APR-2022| 4.32%| North America|Bond|Government Bonds|Treasuries|SHV|6|7.ASSET|Bond|15803.4|665.32|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 4.21%| North America|Bond|Government Bonds|Treasuries|SHV|6|8.ASSET|Bond|15803.4|606.85|N/A| United States Treasury Notes 2.25% 15-APR-2022| 3.84%| North America|Bond|Government Bonds|Treasuries|SHV|6|9.ASSET|Bond|15803.4|592.63|N/A| United States Treasury Notes 2.125% 30-JUN-2022| 3.75%| North America|Bond|Government Bonds|Treasuries|SHV|6|10.ASSET|Bond|15803.4|545.22|N/A| MUTUAL FUND (OTHER)| 3.45%| North America|Bond|Government Bonds|Treasuries|SHV|6|11.ASSET|Bond|15803.4|461.46|N/A| United States Treasury Bills 0.0% 28-APR-2022| 2.92%| North America|Bond|Government Bonds|Treasuries|SHV|6|12.ASSET|Bond|15803.4|442.5|N/A| United States Treasury Bills 0.0% 19-APR-2022| 2.80%| North America|Bond|Government Bonds|Treasuries|SHV|6|13.ASSET|Bond|15803.4|440.91|N/A| United States Treasury Notes 1.875% 31-JUL-2022| 2.79%| North America|Bond|Government Bonds|Treasuries|SHV|6|14.ASSET|Bond|15803.4|418.79|N/A| United States Treasury Bills 0.0% 12-APR-2022| 2.65%| North America|Bond|Government Bonds|Treasuries|SHV|6|15.ASSET|Bond|15803.4|418.79|N/A| United States Treasury Notes 1.75% 31-MAY-2022| 2.65%| North America|Bond|Government Bonds|Treasuries|VGSH|6|1.ASSET|Bond|13589.4|390.02|N/A| United States Treasury Notes 0.75% 15-NOV-2024| 2.87%| North America|Bond|Government Bonds|Treasuries|VGSH|6|2.ASSET|Bond|13589.4|368.27|N/A| United States Treasury Notes 0.375% 15-AUG-2024| 2.71%| North America|Bond|Government Bonds|Treasuries|VGSH|6|3.ASSET|Bond|13589.4|305.76|N/A| United States Treasury Notes 0.125% 15-FEB-2024| 2.25%| North America|Bond|Government Bonds|Treasuries|VGSH|6|4.ASSET|Bond|13589.4|292.17|N/A| United States Treasury Notes 0.375% 15-APR-2024| 2.15%| North America|Bond|Government Bonds|Treasuries|VGSH|6|5.ASSET|Bond|13589.4|286.74|N/A| United States Treasury Notes 0.25% 15-MAY-2024| 2.11%| North America|Bond|Government Bonds|Treasuries|VGSH|6|6.ASSET|Bond|13589.4|275.86|N/A| United States Treasury Notes 2.75% 15-FEB-2024| 2.03%| North America|Bond|Government Bonds|Treasuries|VGSH|6|7.ASSET|Bond|13589.4|274.51|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 2.02%| North America|Bond|Government Bonds|Treasuries|VGSH|6|8.ASSET|Bond|13589.4|269.07|N/A| United States Treasury Notes 0.125% 15-JAN-2024| 1.98%| North America|Bond|Government Bonds|Treasuries|VGSH|6|9.ASSET|Bond|13589.4|267.71|N/A| United States Treasury Notes 0.25% 15-NOV-2023| 1.97%| North America|Bond|Government Bonds|Treasuries|VGSH|6|10.ASSET|Bond|13589.4|259.56|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 1.91%| North America|Bond|Government Bonds|Treasuries|VGSH|6|11.ASSET|Bond|13589.4|254.12|N/A| United States Treasury Notes 0.375% 15-JUL-2024| 1.87%| North America|Bond|Government Bonds|Treasuries|VGSH|6|12.ASSET|Bond|13589.4|252.76|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 1.86%| North America|Bond|Government Bonds|Treasuries|VGSH|6|13.ASSET|Bond|13589.4|243.25|N/A| United States Treasury Notes 0.125% 15-DEC-2023| 1.79%| North America|Bond|Government Bonds|Treasuries|VGSH|6|14.ASSET|Bond|13589.4|239.17|N/A| United States Treasury Notes 2.5% 15-MAY-2024| 1.76%| North America|Bond|Government Bonds|Treasuries|VGSH|6|15.ASSET|Bond|13589.4|236.46|N/A| United States Treasury Notes 0.25% 15-APR-2023| 1.74%| North America|Equity|Large Cap Blend Equities||SPYV|6|1.ASSET|Equity|14263.3|455|BRK.B| Berkshire Hathaway Inc. Class B| 3.19%| North America|Equity|Large Cap Blend Equities||SPYV|6|2.ASSET|Equity|14263.3|338.04|JNJ| Johnson & Johnson| 2.37%| North America|Equity|Large Cap Blend Equities||SPYV|6|3.ASSET|Equity|14263.3|290.97|PG| Procter & Gamble Company| 2.04%| North America|Equity|Large Cap Blend Equities||SPYV|6|4.ASSET|Equity|14263.3|262.44|XOM| Exxon Mobil Corporation| 1.84%| North America|Equity|Large Cap Blend Equities||SPYV|6|5.ASSET|Equity|14263.3|226.79|CVX| Chevron Corporation| 1.59%| North America|Equity|Large Cap Blend Equities||SPYV|6|6.ASSET|Equity|14263.3|208.24|DIS| Walt Disney Company| 1.46%| North America|Equity|Large Cap Blend Equities||SPYV|6|7.ASSET|Equity|14263.3|203.97|UNH| UnitedHealth Group Incorporated| 1.43%| North America|Equity|Large Cap Blend Equities||SPYV|6|8.ASSET|Equity|14263.3|188.28|KO| Coca-Cola Company| 1.32%| North America|Equity|Large Cap Blend Equities||SPYV|6|9.ASSET|Equity|14263.3|174.01|VZ| Verizon Communications Inc.| 1.22%| North America|Equity|Large Cap Blend Equities||SPYV|6|10.ASSET|Equity|14263.3|171.16|JPM| JPMorgan Chase & Co.| 1.20%| North America|Equity|Large Cap Blend Equities||SPYV|6|11.ASSET|Equity|14263.3|165.45|CMCSA| Comcast Corporation Class A| 1.16%| North America|Equity|Large Cap Blend Equities||SPYV|6|12.ASSET|Equity|14263.3|156.9|V| Visa Inc. Class A| 1.10%| North America|Equity|Large Cap Blend Equities||SPYV|6|13.ASSET|Equity|14263.3|156.9|WFC| Wells Fargo & Company| 1.10%| North America|Equity|Large Cap Blend Equities||SPYV|6|14.ASSET|Equity|14263.3|151.19|WMT| Walmart Inc.| 1.06%| North America|Equity|Large Cap Blend Equities||SPYV|6|15.ASSET|Equity|14263.3|151.19|MRK| Merck & Co., Inc.| 1.06%| |Commodity|Precious Metals||SLV|6|1.ASSET|Commodity|13687.7|13687.7|N/A| Silver| 100.00%| North America|Bond|Government Bonds|Treasuries|BIL|6|1.ASSET|Bond|14341.7|1894.54|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 13.21%| North America|Bond|Government Bonds|Treasuries|BIL|6|2.ASSET|Bond|14341.7|1817.09|N/A| United States Treasury Bills 0.0% 21-APR-2022| 12.67%| North America|Bond|Government Bonds|Treasuries|BIL|6|3.ASSET|Bond|14341.7|1449.95|N/A| United States Treasury Bills 0.0% 26-MAY-2022| 10.11%| North America|Bond|Government Bonds|Treasuries|BIL|6|4.ASSET|Bond|14341.7|1411.22|N/A| United States Treasury Bills 0.0% 28-APR-2022| 9.84%| North America|Bond|Government Bonds|Treasuries|BIL|6|5.ASSET|Bond|14341.7|1411.22|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 9.84%| North America|Bond|Government Bonds|Treasuries|BIL|6|6.ASSET|Bond|14341.7|1411.22|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 9.84%| North America|Bond|Government Bonds|Treasuries|BIL|6|7.ASSET|Bond|14341.7|1333.78|N/A| United States Treasury Bills 0.0% 14-APR-2022| 9.30%| North America|Bond|Government Bonds|Treasuries|BIL|6|8.ASSET|Bond|14341.7|1333.78|N/A| United States Treasury Bills 0.0% 07-APR-2022| 9.30%| North America|Bond|Government Bonds|Treasuries|BIL|6|9.ASSET|Bond|14341.7|1045.51|N/A| United States Treasury Bills 0.0% 05-APR-2022| 7.29%| North America|Bond|Government Bonds|Treasuries|BIL|6|10.ASSET|Bond|14341.7|980.97|N/A| United States Treasury Bills 0.0% 26-APR-2022| 6.84%| North America|Bond|Government Bonds|Treasuries|BIL|6|11.ASSET|Bond|14341.7|980.97|N/A| United States Treasury Bills 0.0% 12-APR-2022| 6.84%| North America|Bond|Government Bonds|Treasuries|BIL|6|12.ASSET|Bond|14341.7|980.97|N/A| United States Treasury Bills 0.0% 19-APR-2022| 6.84%| North America|Bond|Government Bonds|Treasuries|BIL|6|13.ASSET|Bond|14341.7|28.68|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 0.20%| North America|Bond|Government Bonds|Treasuries|BIL|6|14.ASSET|Bond|14341.7|-1738.21|N/A| U.S. Dollar| -12.12%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|1.ASSET|Equity|10567.2|561.12|7203| Toyota Motor Corp.| 5.31%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|2.ASSET|Equity|10567.2|365.63|6758| Sony Group Corporation| 3.46%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|3.ASSET|Equity|10567.2|262.07|6861| Keyence Corporation| 2.48%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|4.ASSET|Equity|10567.2|213.46|8035| Tokyo Electron Ltd.| 2.02%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|5.ASSET|Equity|10567.2|206.06|8306| Mitsubishi UFJ Financial Group, Inc.| 1.95%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|6.ASSET|Equity|10567.2|163.79|6098| Recruit Holdings Co., Ltd.| 1.55%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|7.ASSET|Equity|10567.2|161.68|7974| Nintendo Co., Ltd.| 1.53%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|8.ASSET|Equity|10567.2|158.51|4063| Shin-Etsu Chemical Co Ltd| 1.50%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|9.ASSET|Equity|10567.2|157.45|9984| SoftBank Group Corp.| 1.49%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|10.ASSET|Equity|10567.2|153.22|9433| KDDI Corporation| 1.45%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|11.ASSET|Equity|10567.2|141.6|7267| Honda Motor Co., Ltd.| 1.34%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|12.ASSET|Equity|10567.2|139.49|4502| Takeda Pharmaceutical Co. Ltd.| 1.32%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|13.ASSET|Equity|10567.2|137.37|7741| HOYA CORPORATION| 1.30%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|14.ASSET|Equity|10567.2|135.26|6501| Hitachi,Ltd.| 1.28%| Developed Asia Pacific|Equity|Japan Equities||EWJ|6|15.ASSET|Equity|10567.2|133.15|6367| DAIKIN INDUSTRIES, LTD.| 1.26%| North America|Equity|Large Cap Blend Equities||SPLG|6|1.ASSET|Equity|13876.1|968.55|AAPL| Apple Inc.| 6.98%| North America|Equity|Large Cap Blend Equities||SPLG|6|2.ASSET|Equity|13876.1|840.89|MSFT| Microsoft Corporation| 6.06%| North America|Equity|Large Cap Blend Equities||SPLG|6|3.ASSET|Equity|13876.1|493.99|AMZN| Amazon.com, Inc.| 3.56%| North America|Equity|Large Cap Blend Equities||SPLG|6|4.ASSET|Equity|13876.1|302.5|GOOGL| Alphabet Inc. Class A| 2.18%| North America|Equity|Large Cap Blend Equities||SPLG|6|5.ASSET|Equity|13876.1|280.3|GOOG| Alphabet Inc. Class C| 2.02%| North America|Equity|Large Cap Blend Equities||SPLG|6|6.ASSET|Equity|13876.1|266.42|TSLA| Tesla Inc| 1.92%| North America|Equity|Large Cap Blend Equities||SPLG|6|7.ASSET|Equity|13876.1|226.18|NVDA| NVIDIA Corporation| 1.63%| North America|Equity|Large Cap Blend Equities||SPLG|6|8.ASSET|Equity|13876.1|220.63|BRK.B| Berkshire Hathaway Inc. Class B| 1.59%| North America|Equity|Large Cap Blend Equities||SPLG|6|9.ASSET|Equity|13876.1|183.16|FB| Meta Platforms Inc. Class A| 1.32%| North America|Equity|Large Cap Blend Equities||SPLG|6|10.ASSET|Equity|13876.1|170.68|UNH| UnitedHealth Group Incorporated| 1.23%| North America|Equity|Large Cap Blend Equities||SPLG|6|11.ASSET|Equity|13876.1|163.74|JNJ| Johnson & Johnson| 1.18%| North America|Equity|Large Cap Blend Equities||SPLG|6|12.ASSET|Equity|13876.1|154.02|JPM| JPMorgan Chase & Co.| 1.11%| North America|Equity|Large Cap Blend Equities||SPLG|6|13.ASSET|Equity|13876.1|138.76|PG| Procter & Gamble Company| 1.00%| North America|Equity|Large Cap Blend Equities||SPLG|6|14.ASSET|Equity|13876.1|130.44|V| Visa Inc. Class A| 0.94%| North America|Equity|Large Cap Blend Equities||SPLG|6|15.ASSET|Equity|13876.1|129.05|HD| Home Depot, Inc.| 0.93%| North America|Equity|Large Cap Growth Equities||MGK|6|1.ASSET|Equity|12439.3|1890.77|AAPL| Apple Inc.| 15.20%| North America|Equity|Large Cap Growth Equities||MGK|6|2.ASSET|Equity|12439.3|1619.6|MSFT| Microsoft Corporation| 13.02%| North America|Equity|Large Cap Growth Equities||MGK|6|3.ASSET|Equity|12439.3|894.39|AMZN| Amazon.com, Inc.| 7.19%| North America|Equity|Large Cap Growth Equities||MGK|6|4.ASSET|Equity|12439.3|563.5|GOOGL| Alphabet Inc. Class A| 4.53%| North America|Equity|Large Cap Growth Equities||MGK|6|5.ASSET|Equity|12439.3|522.45|TSLA| Tesla Inc| 4.20%| North America|Equity|Large Cap Growth Equities||MGK|6|6.ASSET|Equity|12439.3|513.74|FB| Meta Platforms Inc. Class A| 4.13%| North America|Equity|Large Cap Growth Equities||MGK|6|7.ASSET|Equity|12439.3|510.01|GOOG| Alphabet Inc. Class C| 4.10%| North America|Equity|Large Cap Growth Equities||MGK|6|8.ASSET|Equity|12439.3|403.03|NVDA| NVIDIA Corporation| 3.24%| North America|Equity|Large Cap Growth Equities||MGK|6|9.ASSET|Equity|12439.3|266.2|HD| Home Depot, Inc.| 2.14%| North America|Equity|Large Cap Growth Equities||MGK|6|10.ASSET|Equity|12439.3|262.47|V| Visa Inc. Class A| 2.11%| North America|Equity|Large Cap Growth Equities||MGK|6|11.ASSET|Equity|12439.3|235.1|MA| Mastercard Incorporated Class A| 1.89%| North America|Equity|Large Cap Growth Equities||MGK|6|12.ASSET|Equity|12439.3|180.37|DIS| Walt Disney Company| 1.45%| North America|Equity|Large Cap Growth Equities||MGK|6|13.ASSET|Equity|12439.3|176.64|ADBE| Adobe Inc.| 1.42%| North America|Equity|Large Cap Growth Equities||MGK|6|14.ASSET|Equity|12439.3|161.71|ACN| Accenture Plc Class A| 1.30%| North America|Equity|Large Cap Growth Equities||MGK|6|15.ASSET|Equity|12439.3|159.22|TMO| Thermo Fisher Scientific Inc.| 1.28%| North America|Equity|Large Cap Growth Equities||IUSG|6|1.ASSET|Equity|12165.9|1592.52|AAPL| Apple Inc.| 13.09%| North America|Equity|Large Cap Growth Equities||IUSG|6|2.ASSET|Equity|12165.9|1385.7|MSFT| Microsoft Corporation| 11.39%| North America|Equity|Large Cap Growth Equities||IUSG|6|3.ASSET|Equity|12165.9|824.85|AMZN| Amazon.com, Inc.| 6.78%| North America|Equity|Large Cap Growth Equities||IUSG|6|4.ASSET|Equity|12165.9|504.88|GOOGL| Alphabet Inc. Class A| 4.15%| North America|Equity|Large Cap Growth Equities||IUSG|6|5.ASSET|Equity|12165.9|469.6|GOOG| Alphabet Inc. Class C| 3.86%| North America|Equity|Large Cap Growth Equities||IUSG|6|6.ASSET|Equity|12165.9|440.41|TSLA| Tesla Inc| 3.62%| North America|Equity|Large Cap Growth Equities||IUSG|6|7.ASSET|Equity|12165.9|367.41|NVDA| NVIDIA Corporation| 3.02%| North America|Equity|Large Cap Growth Equities||IUSG|6|8.ASSET|Equity|12165.9|301.71|FB| Meta Platforms Inc. Class A| 2.48%| North America|Equity|Large Cap Growth Equities||IUSG|6|9.ASSET|Equity|12165.9|160.59|HD| Home Depot, Inc.| 1.32%| North America|Equity|Large Cap Growth Equities||IUSG|6|10.ASSET|Equity|12165.9|138.69|ADBE| Adobe Inc.| 1.14%| North America|Equity|Large Cap Growth Equities||IUSG|6|11.ASSET|Equity|12165.9|133.82|TMO| Thermo Fisher Scientific Inc.| 1.10%| North America|Equity|Large Cap Growth Equities||IUSG|6|12.ASSET|Equity|12165.9|124.09|LLY| Eli Lilly and Company| 1.02%| North America|Equity|Large Cap Growth Equities||IUSG|6|13.ASSET|Equity|12165.9|118.01|UNH| UnitedHealth Group Incorporated| 0.97%| North America|Equity|Large Cap Growth Equities||IUSG|6|14.ASSET|Equity|12165.9|116.79|AMD| Advanced Micro Devices, Inc.| 0.96%| North America|Equity|Large Cap Growth Equities||IUSG|6|15.ASSET|Equity|12165.9|115.58|JPM| JPMorgan Chase & Co.| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|1.ASSET|Equity|10771.6|383.47|ASML| ASML Holding NV| 3.56%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|2.ASSET|Equity|10771.6|374.85|ROG| Roche Holding Ltd| 3.48%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|3.ASSET|Equity|10771.6|337.15|NESN| Nestle S.A.| 3.13%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|4.ASSET|Equity|10771.6|278.98|MC| LVMH Moet Hennessy Louis Vuitton SE| 2.59%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|5.ASSET|Equity|10771.6|249.9|NOVO.B| Novo Nordisk A/S Class B| 2.32%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|6.ASSET|Equity|10771.6|180.96|6758| Sony Group Corporation| 1.68%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|7.ASSET|Equity|10771.6|177.73|ULVR| Unilever PLC| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|8.ASSET|Equity|10771.6|177.73|AZN| AstraZeneca PLC| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|9.ASSET|Equity|10771.6|175.58|1299| AIA Group Limited| 1.63%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|10.ASSET|Equity|10771.6|160.5|DGE| Diageo plc| 1.49%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|11.ASSET|Equity|10771.6|137.88|OR| L\'Oreal SA| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|12.ASSET|Equity|10771.6|130.34|CSL| CSL Limited| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|13.ASSET|Equity|10771.6|128.18|6861| Keyence Corporation| 1.19%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|14.ASSET|Equity|10771.6|117.41|SU| Schneider Electric SE| 1.09%| Developed Markets|Equity|Foreign Large Cap Equities||EFG|6|15.ASSET|Equity|10771.6|105.56|8035| Tokyo Electron Ltd.| 0.98%| North America|Equity|Large Cap Blend Equities||FVD|6|1.ASSET|Equity|12510.4|71.31|LMT| Lockheed Martin Corporation| 0.57%| North America|Equity|Large Cap Blend Equities||FVD|6|2.ASSET|Equity|12510.4|70.06|TGT| Target Corporation| 0.56%| North America|Equity|Large Cap Blend Equities||FVD|6|3.ASSET|Equity|12510.4|70.06|LHX| L3Harris Technologies Inc| 0.56%| North America|Equity|Large Cap Blend Equities||FVD|6|4.ASSET|Equity|12510.4|70.06|NOC| Northrop Grumman Corporation| 0.56%| North America|Equity|Large Cap Blend Equities||FVD|6|5.ASSET|Equity|12510.4|67.56|CHRW| C.H. Robinson Worldwide, Inc.| 0.54%| North America|Equity|Large Cap Blend Equities||FVD|6|6.ASSET|Equity|12510.4|66.31|OGS| ONE Gas, Inc.| 0.53%| North America|Equity|Large Cap Blend Equities||FVD|6|7.ASSET|Equity|12510.4|66.31|INTC| Intel Corporation| 0.53%| North America|Equity|Large Cap Blend Equities||FVD|6|8.ASSET|Equity|12510.4|66.31|GD| General Dynamics Corporation| 0.53%| North America|Equity|Large Cap Blend Equities||FVD|6|9.ASSET|Equity|12510.4|66.31|SRE| Sempra Energy| 0.53%| North America|Equity|Large Cap Blend Equities||FVD|6|10.ASSET|Equity|12510.4|65.05|LLY| Eli Lilly and Company| 0.52%| North America|Equity|Large Cap Blend Equities||FVD|6|11.ASSET|Equity|12510.4|65.05|PSA| Public Storage| 0.52%| North America|Equity|Large Cap Blend Equities||FVD|6|12.ASSET|Equity|12510.4|65.05|CCI| Crown Castle International Corp| 0.52%| North America|Equity|Large Cap Blend Equities||FVD|6|13.ASSET|Equity|12510.4|65.05|LOW| Lowe\'s Companies, Inc.| 0.52%| North America|Equity|Large Cap Blend Equities||FVD|6|14.ASSET|Equity|12510.4|65.05|HRL| Hormel Foods Corporation| 0.52%| North America|Equity|Large Cap Blend Equities||FVD|6|15.ASSET|Equity|12510.4|65.05|AEP| American Electric Power Company, Inc.| 0.52%| North America|Equity|Large Cap Growth Equities||IWV|6|1.ASSET|Equity|11672.9|681.7|AAPL| Apple Inc.| 5.84%| North America|Equity|Large Cap Growth Equities||IWV|6|2.ASSET|Equity|11672.9|601.15|MSFT| Microsoft Corporation| 5.15%| North America|Equity|Large Cap Growth Equities||IWV|6|3.ASSET|Equity|11672.9|354.86|AMZN| Amazon.com, Inc.| 3.04%| North America|Equity|Large Cap Growth Equities||IWV|6|4.ASSET|Equity|11672.9|218.28|GOOGL| Alphabet Inc. Class A| 1.87%| North America|Equity|Large Cap Growth Equities||IWV|6|5.ASSET|Equity|11672.9|203.11|GOOG| Alphabet Inc. Class C| 1.74%| North America|Equity|Large Cap Growth Equities||IWV|6|6.ASSET|Equity|11672.9|189.1|TSLA| Tesla Inc| 1.62%| North America|Equity|Large Cap Growth Equities||IWV|6|7.ASSET|Equity|11672.9|157.58|BRK.B| Berkshire Hathaway Inc. Class B| 1.35%| North America|Equity|Large Cap Growth Equities||IWV|6|8.ASSET|Equity|11672.9|151.75|NVDA| NVIDIA Corporation| 1.30%| North America|Equity|Large Cap Growth Equities||IWV|6|9.ASSET|Equity|11672.9|129.57|FB| Meta Platforms Inc. Class A| 1.11%| North America|Equity|Large Cap Growth Equities||IWV|6|10.ASSET|Equity|11672.9|121.4|UNH| UnitedHealth Group Incorporated| 1.04%| North America|Equity|Large Cap Growth Equities||IWV|6|11.ASSET|Equity|11672.9|116.73|JNJ| Johnson & Johnson| 1.00%| North America|Equity|Large Cap Growth Equities||IWV|6|12.ASSET|Equity|11672.9|108.56|JPM| JPMorgan Chase & Co.| 0.93%| North America|Equity|Large Cap Growth Equities||IWV|6|13.ASSET|Equity|11672.9|100.39|PG| Procter & Gamble Company| 0.86%| North America|Equity|Large Cap Growth Equities||IWV|6|14.ASSET|Equity|11672.9|95.72|V| Visa Inc. Class A| 0.82%| North America|Equity|Large Cap Growth Equities||IWV|6|15.ASSET|Equity|11672.9|92.22|HD| Home Depot, Inc.| 0.79%| North America|Equity|Utilities Equities|Utilities|XLU|6|1.ASSET|Equity|13191.6|2097.46|NEE| NextEra Energy, Inc.| 15.90%| North America|Equity|Utilities Equities|Utilities|XLU|6|2.ASSET|Equity|13191.6|1068.52|DUK| Duke Energy Corporation| 8.10%| North America|Equity|Utilities Equities|Utilities|XLU|6|3.ASSET|Equity|13191.6|943.2|SO| Southern Company| 7.15%| North America|Equity|Utilities Equities|Utilities|XLU|6|4.ASSET|Equity|13191.6|895.71|D| Dominion Energy Inc| 6.79%| North America|Equity|Utilities Equities|Utilities|XLU|6|5.ASSET|Equity|13191.6|652.98|SRE| Sempra Energy| 4.95%| North America|Equity|Utilities Equities|Utilities|XLU|6|6.ASSET|Equity|13191.6|633.2|AEP| American Electric Power Company, Inc.| 4.80%| North America|Equity|Utilities Equities|Utilities|XLU|6|7.ASSET|Equity|13191.6|576.47|EXC| Exelon Corporation| 4.37%| North America|Equity|Utilities Equities|Utilities|XLU|6|8.ASSET|Equity|13191.6|501.28|XEL| Xcel Energy Inc.| 3.80%| North America|Equity|Utilities Equities|Utilities|XLU|6|9.ASSET|Equity|13191.6|456.43|PEG| Public Service Enterprise Group Inc| 3.46%| North America|Equity|Utilities Equities|Utilities|XLU|6|10.ASSET|Equity|13191.6|423.45|ED| Consolidated Edison, Inc.| 3.21%| North America|Equity|Utilities Equities|Utilities|XLU|6|11.ASSET|Equity|13191.6|394.43|WEC| WEC Energy Group Inc| 2.99%| North America|Equity|Utilities Equities|Utilities|XLU|6|12.ASSET|Equity|13191.6|382.56|ES| Eversource Energy| 2.90%| North America|Equity|Utilities Equities|Utilities|XLU|6|13.ASSET|Equity|13191.6|381.24|AWK| American Water Works Company, Inc.| 2.89%| North America|Equity|Utilities Equities|Utilities|XLU|6|14.ASSET|Equity|13191.6|337.7|EIX| Edison International| 2.56%| North America|Equity|Utilities Equities|Utilities|XLU|6|15.ASSET|Equity|13191.6|327.15|DTE| DTE Energy Company| 2.48%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|1.ASSET|Equity|12454.2|190.55|NESN| Nestle S.A.| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|2.ASSET|Equity|12454.2|165.64|SMSN| Samsung Electronics Co., Ltd. Sponsored GDR| 1.33%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|3.ASSET|Equity|12454.2|154.43|ASML| ASML Holding NV| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|4.ASSET|Equity|12454.2|149.45|ROG| Roche Holding Ltd| 1.20%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|5.ASSET|Equity|12454.2|118.31|7203| Toyota Motor Corp.| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|6.ASSET|Equity|12454.2|114.58|NOVN| Novartis AG| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|7.ASSET|Equity|12454.2|112.09|SHEL| Shell PLC| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|8.ASSET|Equity|12454.2|102.12|AZN| AstraZeneca PLC| 0.82%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|9.ASSET|Equity|12454.2|98.39|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|10.ASSET|Equity|12454.2|98.39|NOVO.B| Novo Nordisk A/S Class B| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|11.ASSET|Equity|12454.2|85.93|RY| Royal Bank of Canada| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|12.ASSET|Equity|12454.2|84.69|TD| Toronto-Dominion Bank| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|13.ASSET|Equity|12454.2|74.73|6758| Sony Group Corporation| 0.60%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|14.ASSET|Equity|12454.2|70.99|HSBA| HSBC Holdings Plc| 0.57%| Developed Markets|Equity|Foreign Large Cap Equities||SPDW|6|15.ASSET|Equity|12454.2|68.5|ULVR| Unilever PLC| 0.55%| North America|Equity|Mid Cap Growth Equities||VOT|6|1.ASSET|Equity|10931.4|157.41|PANW| Palo Alto Networks, Inc.| 1.44%| North America|Equity|Mid Cap Growth Equities||VOT|6|2.ASSET|Equity|10931.4|156.32|PXD| Pioneer Natural Resources Company| 1.43%| North America|Equity|Mid Cap Growth Equities||VOT|6|3.ASSET|Equity|10931.4|155.23|XLNX| Xilinx, Inc.| 1.42%| North America|Equity|Mid Cap Growth Equities||VOT|6|4.ASSET|Equity|10931.4|154.13|SNPS| Synopsys, Inc.| 1.41%| North America|Equity|Mid Cap Growth Equities||VOT|6|5.ASSET|Equity|10931.4|154.13|APH| Amphenol Corporation Class A| 1.41%| North America|Equity|Mid Cap Growth Equities||VOT|6|6.ASSET|Equity|10931.4|151.95|IQV| IQVIA Holdings Inc| 1.39%| North America|Equity|Mid Cap Growth Equities||VOT|6|7.ASSET|Equity|10931.4|147.57|CNC| Centene Corporation| 1.35%| North America|Equity|Mid Cap Growth Equities||VOT|6|8.ASSET|Equity|10931.4|139.92|MCHP| Microchip Technology Incorporated| 1.28%| North America|Equity|Mid Cap Growth Equities||VOT|6|9.ASSET|Equity|10931.4|137.74|DLR| Digital Realty Trust, Inc.| 1.26%| North America|Equity|Mid Cap Growth Equities||VOT|6|10.ASSET|Equity|10931.4|136.64|MSCI| MSCI Inc. Class A| 1.25%| North America|Equity|Mid Cap Growth Equities||VOT|6|11.ASSET|Equity|10931.4|136.64|CDNS| Cadence Design Systems, Inc.| 1.25%| North America|Equity|Mid Cap Growth Equities||VOT|6|12.ASSET|Equity|10931.4|135.55|DXCM| DexCom, Inc.| 1.24%| North America|Equity|Mid Cap Growth Equities||VOT|6|13.ASSET|Equity|10931.4|135.55|INFO| IHS Markit Ltd.| 1.24%| North America|Equity|Mid Cap Growth Equities||VOT|6|14.ASSET|Equity|10931.4|134.46|FTNT| Fortinet, Inc.| 1.23%| North America|Equity|Mid Cap Growth Equities||VOT|6|15.ASSET|Equity|10931.4|120.25|APTV| Aptiv PLC| 1.10%| North America|Equity|Small Cap Growth Equities||IWO|6|1.ASSET|Equity|10629.4|72.28|SYNA| Synaptics Incorporated| 0.68%| North America|Equity|Small Cap Growth Equities||IWO|6|2.ASSET|Equity|10629.4|70.15|TTEK| Tetra Tech, Inc.| 0.66%| North America|Equity|Small Cap Growth Equities||IWO|6|3.ASSET|Equity|10629.4|68.03|LSCC| Lattice Semiconductor Corporation| 0.64%| North America|Equity|Small Cap Growth Equities||IWO|6|4.ASSET|Equity|10629.4|64.84|PFGC| Performance Food Group Company| 0.61%| North America|Equity|Small Cap Growth Equities||IWO|6|5.ASSET|Equity|10629.4|63.78|EGP| EastGroup Properties, Inc.| 0.60%| North America|Equity|Small Cap Growth Equities||IWO|6|6.ASSET|Equity|10629.4|62.71|SAIA| Saia, Inc.| 0.59%| North America|Equity|Small Cap Growth Equities||IWO|6|7.ASSET|Equity|10629.4|60.59|WSC| WillScot Mobile Mini Holdings Corp. Class A| 0.57%| North America|Equity|Small Cap Growth Equities||IWO|6|8.ASSET|Equity|10629.4|56.34|IIVI| II-VI Incorporated| 0.53%| North America|Equity|Small Cap Growth Equities||IWO|6|9.ASSET|Equity|10629.4|54.21|INSP| Inspire Medical Systems, Inc.| 0.51%| North America|Equity|Small Cap Growth Equities||IWO|6|10.ASSET|Equity|10629.4|54.21|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.51%| North America|Equity|Small Cap Growth Equities||IWO|6|11.ASSET|Equity|10629.4|53.15|TXRH| Texas Roadhouse, Inc.| 0.50%| North America|Equity|Small Cap Growth Equities||IWO|6|12.ASSET|Equity|10629.4|51.02|SWAV| Shockwave Medical, Inc.| 0.48%| North America|Equity|Small Cap Growth Equities||IWO|6|13.ASSET|Equity|10629.4|51.02|KBR| KBR, Inc.| 0.48%| North America|Equity|Small Cap Growth Equities||IWO|6|14.ASSET|Equity|10629.4|49.96|SLAB| Silicon Laboratories Inc.| 0.47%| North America|Equity|Small Cap Growth Equities||IWO|6|15.ASSET|Equity|10629.4|48.9|RPD| Rapid7 Inc.| 0.46%| North America|Equity|Financials Equities|Financials|VFH|6|1.ASSET|Equity|11789.9|989.17|JPM| JPMorgan Chase & Co.| 8.39%| North America|Equity|Financials Equities|Financials|VFH|6|2.ASSET|Equity|11789.9|923.15|BRK.B| Berkshire Hathaway Inc. Class B| 7.83%| North America|Equity|Financials Equities|Financials|VFH|6|3.ASSET|Equity|11789.9|778.13|BAC| Bank of America Corp| 6.60%| North America|Equity|Financials Equities|Financials|VFH|6|4.ASSET|Equity|11789.9|491.64|WFC| Wells Fargo & Company| 4.17%| North America|Equity|Financials Equities|Financials|VFH|6|5.ASSET|Equity|11789.9|312.43|MS| Morgan Stanley| 2.65%| North America|Equity|Financials Equities|Financials|VFH|6|6.ASSET|Equity|11789.9|293.57|C| Citigroup Inc.| 2.49%| North America|Equity|Financials Equities|Financials|VFH|6|7.ASSET|Equity|11789.9|282.96|SCHW| Charles Schwab Corporation| 2.40%| North America|Equity|Financials Equities|Financials|VFH|6|8.ASSET|Equity|11789.9|279.42|BLK| BlackRock, Inc.| 2.37%| North America|Equity|Financials Equities|Financials|VFH|6|9.ASSET|Equity|11789.9|269.99|AXP| American Express Company| 2.29%| North America|Equity|Financials Equities|Financials|VFH|6|10.ASSET|Equity|11789.9|267.63|GS| Goldman Sachs Group, Inc.| 2.27%| North America|Equity|Financials Equities|Financials|VFH|6|11.ASSET|Equity|11789.9|222.83|SPGI| S&P Global, Inc.| 1.89%| North America|Equity|Financials Equities|Financials|VFH|6|12.ASSET|Equity|11789.9|201.61|BX| Blackstone Inc.| 1.71%| North America|Equity|Financials Equities|Financials|VFH|6|13.ASSET|Equity|11789.9|194.53|PNC| PNC Financial Services Group, Inc.| 1.65%| North America|Equity|Financials Equities|Financials|VFH|6|14.ASSET|Equity|11789.9|192.18|CB| Chubb Limited| 1.63%| North America|Equity|Financials Equities|Financials|VFH|6|15.ASSET|Equity|11789.9|187.46|TFC| Truist Financial Corporation| 1.59%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|1.ASSET|Bond|11191|105.2|N/A| CORPORATE BOND| 0.94%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|2.ASSET|Bond|11191|96.24|N/A| MUTUAL FUND (OTHER)| 0.86%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|3.ASSET|Bond|11191|34.69|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 0.31%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|4.ASSET|Bond|11191|33.57|N/A| Bank of America Corporation 2.972% 04-FEB-2033| 0.30%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|5.ASSET|Bond|11191|29.1|N/A| Bank of America Corporation 3.419% 20-DEC-2028| 0.26%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|6.ASSET|Bond|11191|29.1|N/A| Deutsche Telekom International Finance BV 8.75% 15-JUN-2030| 0.26%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|7.ASSET|Bond|11191|26.86|N/A| AbbVie Inc. 3.2% 21-NOV-2029| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|8.ASSET|Bond|11191|22.38|N/A| Anheuser-Busch Inbev Worldwide, Inc. 4.75% 23-JAN-2029| 0.20%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|9.ASSET|Bond|11191|22.38|N/A| Comcast Corporation 4.15% 15-OCT-2028| 0.20%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|10.ASSET|Bond|11191|21.26|N/A| Verizon Communications Inc. 4.329% 21-SEP-2028| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|11.ASSET|Bond|11191|21.26|N/A| CVS Health Corporation 4.3% 25-MAR-2028| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|12.ASSET|Bond|11191|21.26|N/A| Verizon Communications Inc. 4.016% 03-DEC-2029| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|13.ASSET|Bond|11191|21.26|N/A| Citigroup Inc. 4.412% 31-MAR-2031| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|14.ASSET|Bond|11191|21.26|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGIB|6|15.ASSET|Bond|11191|20.14|N/A| British Telecommunications Plc 9.625% 15-DEC-2030| 0.18%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|1.ASSET|Equity|15322|2483.7|PG| Procter & Gamble Company| 16.21%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|2.ASSET|Equity|15322|1611.87|KO| Coca-Cola Company| 10.52%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|3.ASSET|Equity|15322|1545.99|COST| Costco Wholesale Corporation| 10.09%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|4.ASSET|Equity|15322|1501.56|PEP| PepsiCo, Inc.| 9.80%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|5.ASSET|Equity|15322|772.23|PM| Philip Morris International Inc.| 5.04%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|6.ASSET|Equity|15322|735.46|MO| Altria Group Inc| 4.80%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|7.ASSET|Equity|15322|695.62|MDLZ| Mondelez International, Inc. Class A| 4.54%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|8.ASSET|Equity|15322|660.38|WMT| Walmart Inc.| 4.31%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|9.ASSET|Equity|15322|513.29|EL| Estee Lauder Companies Inc. Class A| 3.35%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|10.ASSET|Equity|15322|496.43|CL| Colgate-Palmolive Company| 3.24%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|11.ASSET|Equity|15322|343.21|SYY| Sysco Corporation| 2.24%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|12.ASSET|Equity|15322|338.62|ADM| Archer-Daniels-Midland Company| 2.21%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|13.ASSET|Equity|15322|335.55|KMB| Kimberly-Clark Corporation| 2.19%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|14.ASSET|Equity|15322|314.1|GIS| General Mills, Inc.| 2.05%| North America|Equity|Consumer Staples Equities|Consumer Staples|XLP|6|15.ASSET|Equity|15322|272.73|STZ| Constellation Brands, Inc. Class A| 1.78%| North America|Equity|Large Cap Blend Equities||IUSV|6|1.ASSET|Equity|11776.3|352.11|BRK.B| Berkshire Hathaway Inc. Class B| 2.99%| North America|Equity|Large Cap Blend Equities||IUSV|6|2.ASSET|Equity|11776.3|259.08|JNJ| Johnson & Johnson| 2.20%| North America|Equity|Large Cap Blend Equities||IUSV|6|3.ASSET|Equity|11776.3|226.1|PG| Procter & Gamble Company| 1.92%| North America|Equity|Large Cap Blend Equities||IUSV|6|4.ASSET|Equity|11776.3|199.02|XOM| Exxon Mobil Corporation| 1.69%| North America|Equity|Large Cap Blend Equities||IUSV|6|5.ASSET|Equity|11776.3|166.05|CVX| Chevron Corporation| 1.41%| North America|Equity|Large Cap Blend Equities||IUSV|6|6.ASSET|Equity|11776.3|161.34|DIS| Walt Disney Company| 1.37%| North America|Equity|Large Cap Blend Equities||IUSV|6|7.ASSET|Equity|11776.3|155.45|UNH| UnitedHealth Group Incorporated| 1.32%| North America|Equity|Large Cap Blend Equities||IUSV|6|8.ASSET|Equity|11776.3|144.85|KO| Coca-Cola Company| 1.23%| North America|Equity|Large Cap Blend Equities||IUSV|6|9.ASSET|Equity|11776.3|135.43|JPM| JPMorgan Chase & Co.| 1.15%| North America|Equity|Large Cap Blend Equities||IUSV|6|10.ASSET|Equity|11776.3|133.07|VZ| Verizon Communications Inc.| 1.13%| North America|Equity|Large Cap Blend Equities||IUSV|6|11.ASSET|Equity|11776.3|127.18|CMCSA| Comcast Corporation Class A| 1.08%| North America|Equity|Large Cap Blend Equities||IUSV|6|12.ASSET|Equity|11776.3|127.18|WFC| Wells Fargo & Company| 1.08%| North America|Equity|Large Cap Blend Equities||IUSV|6|13.ASSET|Equity|11776.3|123.65|V| Visa Inc. Class A| 1.05%| North America|Equity|Large Cap Blend Equities||IUSV|6|14.ASSET|Equity|11776.3|116.59|INTC| Intel Corporation| 0.99%| North America|Equity|Large Cap Blend Equities||IUSV|6|15.ASSET|Equity|11776.3|115.41|WMT| Walmart Inc.| 0.98%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|1.ASSET|Equity|7236.3|733.04|AMZN| Amazon.com, Inc.| 10.13%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|2.ASSET|Equity|7236.3|421.88|GOOGL| Alphabet Inc. Class A| 5.83%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|3.ASSET|Equity|7236.3|405.23|FB| Meta Platforms Inc. Class A| 5.60%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|4.ASSET|Equity|7236.3|403.06|CSCO| Cisco Systems, Inc.| 5.57%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|5.ASSET|Equity|7236.3|392.21|GOOG| Alphabet Inc. Class C| 5.42%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|6.ASSET|Equity|7236.3|336.49|CRM| salesforce.com, inc.| 4.65%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|7.ASSET|Equity|7236.3|266.3|NFLX| Netflix, Inc.| 3.68%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|8.ASSET|Equity|7236.3|217.09|PYPL| PayPal Holdings, Inc.| 3.00%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|9.ASSET|Equity|7236.3|206.23|ABNB| Airbnb, Inc. Class A| 2.85%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|10.ASSET|Equity|7236.3|198.27|SNOW| Snowflake, Inc. Class A| 2.74%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|11.ASSET|Equity|7236.3|196.83|WDAY| Workday, Inc. Class A| 2.72%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|12.ASSET|Equity|7236.3|188.14|DDOG| Datadog Inc Class A| 2.60%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|13.ASSET|Equity|7236.3|172.95|EXPE| Expedia Group, Inc.| 2.39%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|14.ASSET|Equity|7236.3|162.82|EBAY| eBay Inc.| 2.25%| North America|Equity|Large Cap Growth Equities|Technology|FDN|6|15.ASSET|Equity|7236.3|160.65|SNAP| Snap, Inc. Class A| 2.22%| North America|Bond|Government Bonds|Treasuries|IEI|6|1.ASSET|Bond|10785.4|858.52|N/A| United States Treasury Notes 0.25% 31-AUG-2025| 7.96%| North America|Bond|Government Bonds|Treasuries|IEI|6|2.ASSET|Bond|10785.4|797.04|N/A| United States Treasury Notes 2.375% 15-MAY-2027| 7.39%| North America|Bond|Government Bonds|Treasuries|IEI|6|3.ASSET|Bond|10785.4|793.81|N/A| United States Treasury Notes 2.25% 15-NOV-2025| 7.36%| North America|Bond|Government Bonds|Treasuries|IEI|6|4.ASSET|Bond|10785.4|758.21|N/A| United States Treasury Notes 2.25% 15-FEB-2027| 7.03%| North America|Bond|Government Bonds|Treasuries|IEI|6|5.ASSET|Bond|10785.4|682.72|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 6.33%| North America|Bond|Government Bonds|Treasuries|IEI|6|6.ASSET|Bond|10785.4|516.62|N/A| United States Treasury Notes 0.75% 31-AUG-2026| 4.79%| North America|Bond|Government Bonds|Treasuries|IEI|6|7.ASSET|Bond|10785.4|382.88|N/A| United States Treasury Notes 1.375% 31-OCT-2028| 3.55%| North America|Bond|Government Bonds|Treasuries|IEI|6|8.ASSET|Bond|10785.4|364.55|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 3.38%| North America|Bond|Government Bonds|Treasuries|IEI|6|9.ASSET|Bond|10785.4|361.31|N/A| United States Treasury Notes 1.625% 15-MAY-2026| 3.35%| North America|Bond|Government Bonds|Treasuries|IEI|6|10.ASSET|Bond|10785.4|345.13|N/A| United States Treasury Notes 1.125% 31-AUG-2028| 3.20%| North America|Bond|Government Bonds|Treasuries|IEI|6|11.ASSET|Bond|10785.4|335.43|N/A| United States Treasury Notes 1.625% 15-FEB-2026| 3.11%| North America|Bond|Government Bonds|Treasuries|IEI|6|12.ASSET|Bond|10785.4|320.33|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 2.97%| North America|Bond|Government Bonds|Treasuries|IEI|6|13.ASSET|Bond|10785.4|310.62|N/A| United States Treasury Notes 1.0% 31-JUL-2028| 2.88%| North America|Bond|Government Bonds|Treasuries|IEI|6|14.ASSET|Bond|10785.4|272.87|N/A| United States Treasury Notes 2.75% 15-FEB-2028| 2.53%| North America|Bond|Government Bonds|Treasuries|IEI|6|15.ASSET|Bond|10785.4|270.71|N/A| United States Treasury Notes 0.5% 28-FEB-2026| 2.51%| North America|Equity|Mid Cap Growth Equities||SCHM|6|1.ASSET|Equity|9846.6|88.62|DVN| Devon Energy Corporation| 0.90%| North America|Equity|Mid Cap Growth Equities||SCHM|6|2.ASSET|Equity|9846.6|64.99|ON| ON Semiconductor Corporation| 0.66%| North America|Equity|Mid Cap Growth Equities||SCHM|6|3.ASSET|Equity|9846.6|57.11|APO| Apollo Global Management Inc.| 0.58%| North America|Equity|Mid Cap Growth Equities||SCHM|6|4.ASSET|Equity|9846.6|55.14|FANG| Diamondback Energy, Inc.| 0.56%| North America|Equity|Mid Cap Growth Equities||SCHM|6|5.ASSET|Equity|9846.6|53.17|PKI| PerkinElmer, Inc.| 0.54%| North America|Equity|Mid Cap Growth Equities||SCHM|6|6.ASSET|Equity|9846.6|51.2|BILL| Bill.com Holdings, Inc.| 0.52%| North America|Equity|Mid Cap Growth Equities||SCHM|6|7.ASSET|Equity|9846.6|50.22|CTRA| Coterra Energy Inc.| 0.51%| North America|Equity|Mid Cap Growth Equities||SCHM|6|8.ASSET|Equity|9846.6|49.23|SBNY| Signature Bank| 0.50%| North America|Equity|Mid Cap Growth Equities||SCHM|6|9.ASSET|Equity|9846.6|47.26|RJF| Raymond James Financial, Inc.| 0.48%| North America|Equity|Mid Cap Growth Equities||SCHM|6|10.ASSET|Equity|9846.6|47.26|MOS| Mosaic Company| 0.48%| North America|Equity|Mid Cap Growth Equities||SCHM|6|11.ASSET|Equity|9846.6|45.29|POOL| Pool Corporation| 0.46%| North America|Equity|Mid Cap Growth Equities||SCHM|6|12.ASSET|Equity|9846.6|44.31|CZR| Caesars Entertainment Inc| 0.45%| North America|Equity|Mid Cap Growth Equities||SCHM|6|13.ASSET|Equity|9846.6|44.31|PODD| Insulet Corporation| 0.45%| North America|Equity|Mid Cap Growth Equities||SCHM|6|14.ASSET|Equity|9846.6|43.33|CF| CF Industries Holdings, Inc.| 0.44%| North America|Equity|Mid Cap Growth Equities||SCHM|6|15.ASSET|Equity|9846.6|43.33|NTAP| NetApp, Inc.| 0.44%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|1.ASSET|Equity|8124|902.58|AMGN| Amgen Inc.| 11.11%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|2.ASSET|Equity|8124|584.12|GILD| Gilead Sciences, Inc.| 7.19%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|3.ASSET|Equity|8124|481.75|REGN| Regeneron Pharmaceuticals, Inc.| 5.93%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|4.ASSET|Equity|8124|450.88|VRTX| Vertex Pharmaceuticals Incorporated| 5.55%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|5.ASSET|Equity|8124|360.71|ILMN| Illumina, Inc.| 4.44%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|6.ASSET|Equity|8124|337.96|MRNA| Moderna, Inc.| 4.16%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|7.ASSET|Equity|8124|333.08|IQV| IQVIA Holdings Inc| 4.10%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|8.ASSET|Equity|8124|243.72|MTD| Mettler-Toledo International Inc.| 3.00%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|9.ASSET|Equity|8124|238.03|BIIB| Biogen Inc.| 2.93%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|10.ASSET|Equity|8124|181.17|SGEN| Seagen, Inc.| 2.23%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|11.ASSET|Equity|8124|175.48|BNTX| BioNTech SE Sponsored ADR| 2.16%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|12.ASSET|Equity|8124|148.67|ALNY| Alnylam Pharmaceuticals, Inc| 1.83%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|13.ASSET|Equity|8124|147.04|WAT| Waters Corporation| 1.81%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|14.ASSET|Equity|8124|125.92|TECH| Bio-Techne Corporation| 1.55%| North America|Equity|Health & Biotech Equities|Healthcare|IBB|6|15.ASSET|Equity|8124|116.17|INCY| Incyte Corporation| 1.43%| North America|Equity|Large Cap Blend Equities||SCHV|6|1.ASSET|Equity|10195.1|273.23|BRK.B| Berkshire Hathaway Inc. Class B| 2.68%| North America|Equity|Large Cap Blend Equities||SCHV|6|2.ASSET|Equity|10195.1|202.88|JNJ| Johnson & Johnson| 1.99%| North America|Equity|Large Cap Blend Equities||SCHV|6|3.ASSET|Equity|10195.1|189.63|JPM| JPMorgan Chase & Co.| 1.86%| North America|Equity|Large Cap Blend Equities||SCHV|6|4.ASSET|Equity|10195.1|174.34|PG| Procter & Gamble Company| 1.71%| North America|Equity|Large Cap Blend Equities||SCHV|6|5.ASSET|Equity|10195.1|159.04|HD| Home Depot, Inc.| 1.56%| North America|Equity|Large Cap Blend Equities||SCHV|6|6.ASSET|Equity|10195.1|158.02|XOM| Exxon Mobil Corporation| 1.55%| North America|Equity|Large Cap Blend Equities||SCHV|6|7.ASSET|Equity|10195.1|143.75|BAC| Bank of America Corp| 1.41%| North America|Equity|Large Cap Blend Equities||SCHV|6|8.ASSET|Equity|10195.1|135.59|CVX| Chevron Corporation| 1.33%| North America|Equity|Large Cap Blend Equities||SCHV|6|9.ASSET|Equity|10195.1|124.38|DIS| Walt Disney Company| 1.22%| North America|Equity|Large Cap Blend Equities||SCHV|6|10.ASSET|Equity|10195.1|123.36|ABBV| AbbVie, Inc.| 1.21%| North America|Equity|Large Cap Blend Equities||SCHV|6|11.ASSET|Equity|10195.1|121.32|PFE| Pfizer Inc.| 1.19%| North America|Equity|Large Cap Blend Equities||SCHV|6|12.ASSET|Equity|10195.1|113.17|KO| Coca-Cola Company| 1.11%| North America|Equity|Large Cap Blend Equities||SCHV|6|13.ASSET|Equity|10195.1|108.07|CSCO| Cisco Systems, Inc.| 1.06%| North America|Equity|Large Cap Blend Equities||SCHV|6|14.ASSET|Equity|10195.1|106.03|PEP| PepsiCo, Inc.| 1.04%| North America|Equity|Large Cap Blend Equities||SCHV|6|15.ASSET|Equity|10195.1|103.99|VZ| Verizon Communications Inc.| 1.02%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|1.ASSET|Equity|9180.9|384.68|N/A| U.S. Dollar| 4.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|2.ASSET|Equity|9180.9|44.07|WSP| WSP Global Inc.| 0.48%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|3.ASSET|Equity|9180.9|39.48|FM| First Quantum Minerals Ltd.| 0.43%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|4.ASSET|Equity|9180.9|36.72|OTEX| Open Text Corporation| 0.40%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|5.ASSET|Equity|9180.9|34.89|N/A| Vanguard Cash Management Market Liquidity Fund| 0.38%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|6.ASSET|Equity|9180.9|33.97|EMA| Emera Incorporated| 0.37%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|7.ASSET|Equity|9180.9|28.46|TOU| Tourmaline Oil Corp.| 0.31%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|8.ASSET|Equity|9180.9|28.46|KL| Kirkland Lake Gold Ltd.| 0.31%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|9.ASSET|Equity|9180.9|27.54|AQN| Algonquin Power & Utilities Corp.| 0.30%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|10.ASSET|Equity|9180.9|26.62|WFG| West Fraser Timber Co. Ltd.| 0.29%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|11.ASSET|Equity|9180.9|24.79|TFII| TFI International Inc.| 0.27%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|12.ASSET|Equity|9180.9|22.03|CCO| Cameco Corporation| 0.24%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|13.ASSET|Equity|9180.9|22.03|CCL.B| CCL Industries Inc. Class B| 0.24%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|14.ASSET|Equity|9180.9|22.03|ARX| ARC Resources Ltd.| 0.24%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||VSS|6|15.ASSET|Equity|9180.9|22.03|GIL| Gildan Activewear Inc.| 0.24%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|1.ASSET|Equity|9027.7|685.2|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.59%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|2.ASSET|Equity|9027.7|432.43|700| Tencent Holdings Ltd.| 4.79%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|3.ASSET|Equity|9027.7|251.87|9988| Alibaba Group Holding Ltd.| 2.79%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|4.ASSET|Equity|9027.7|138.12|500325| Reliance Industries Limited| 1.53%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|5.ASSET|Equity|9027.7|117.36|3690| Meituan Class B| 1.30%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|6.ASSET|Equity|9027.7|106.53|500209| Infosys Limited| 1.18%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|7.ASSET|Equity|9027.7|104.72|VALE3| Vale S.A.| 1.16%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|8.ASSET|Equity|9027.7|92.08|939| China Construction Bank Corporation Class H| 1.02%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|9.ASSET|Equity|9027.7|75.83|2454| MediaTek Inc| 0.84%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|10.ASSET|Equity|9027.7|74.93|9618| JD.com, Inc. Class A| 0.83%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|11.ASSET|Equity|9027.7|69.51|500010| Housing Development Finance Corporation Limited| 0.77%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|12.ASSET|Equity|9027.7|68.61|1120| Al Rajhi Bank| 0.76%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|13.ASSET|Equity|9027.7|64.1|532540| Tata Consultancy Services Limited| 0.71%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|14.ASSET|Equity|9027.7|61.39|1398| Industrial and Commercial Bank of China Limited Class H| 0.68%| Emerging Markets|Equity|Emerging Markets Equities||SCHE|6|15.ASSET|Equity|9027.7|59.58|BIDU| Baidu Inc Sponsored ADR Class A| 0.66%| North America|Equity|Small Cap Value Equities||IJS|6|1.ASSET|Equity|8957.8|139.74|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.56%| North America|Equity|Small Cap Value Equities||IJS|6|2.ASSET|Equity|8957.8|68.98|HP| Helmerich & Payne, Inc.| 0.77%| North America|Equity|Small Cap Value Equities||IJS|6|3.ASSET|Equity|8957.8|67.18|SJI| South Jersey Industries, Inc.| 0.75%| North America|Equity|Small Cap Value Equities||IJS|6|4.ASSET|Equity|8957.8|65.39|COOP| Mr. Cooper Group, Inc.| 0.73%| North America|Equity|Small Cap Value Equities||IJS|6|5.ASSET|Equity|8957.8|64.5|REZI| Resideo Technologies, Inc.| 0.72%| North America|Equity|Small Cap Value Equities||IJS|6|6.ASSET|Equity|8957.8|62.7|NSIT| Insight Enterprises, Inc.| 0.70%| North America|Equity|Small Cap Value Equities||IJS|6|7.ASSET|Equity|8957.8|61.81|FHB| First Hawaiian, Inc.| 0.69%| North America|Equity|Small Cap Value Equities||IJS|6|8.ASSET|Equity|8957.8|60.02|BKU| BankUnited, Inc.| 0.67%| North America|Equity|Small Cap Value Equities||IJS|6|9.ASSET|Equity|8957.8|57.33|OMI| Owens & Minor, Inc.| 0.64%| North America|Equity|Small Cap Value Equities||IJS|6|10.ASSET|Equity|8957.8|57.33|GPI| Group 1 Automotive, Inc.| 0.64%| North America|Equity|Small Cap Value Equities||IJS|6|11.ASSET|Equity|8957.8|54.64|AVA| Avista Corporation| 0.61%| North America|Equity|Small Cap Value Equities||IJS|6|12.ASSET|Equity|8957.8|53.75|TWNK| Hostess Brands, Inc. Class A| 0.60%| North America|Equity|Small Cap Value Equities||IJS|6|13.ASSET|Equity|8957.8|53.75|REGI| Renewable Energy Group, Inc.| 0.60%| North America|Equity|Small Cap Value Equities||IJS|6|14.ASSET|Equity|8957.8|53.75|PTEN| Patterson-UTI Energy, Inc.| 0.60%| North America|Equity|Small Cap Value Equities||IJS|6|15.ASSET|Equity|8957.8|52.85|ABM| ABM Industries Incorporated| 0.59%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|1.ASSET|Equity|7485.3|420.67|7203| Toyota Motor Corp.| 5.62%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|2.ASSET|Equity|7485.3|233.54|6758| Sony Group Corporation| 3.12%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|3.ASSET|Equity|7485.3|163.18|6861| Keyence Corporation| 2.18%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|4.ASSET|Equity|7485.3|142.97|8035| Tokyo Electron Ltd.| 1.91%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|5.ASSET|Equity|7485.3|140.72|8306| Mitsubishi UFJ Financial Group, Inc.| 1.88%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|6.ASSET|Equity|7485.3|130.99|6098| Recruit Holdings Co., Ltd.| 1.75%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|7.ASSET|Equity|7485.3|113.03|4063| Shin-Etsu Chemical Co Ltd| 1.51%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|8.ASSET|Equity|7485.3|107.79|7974| Nintendo Co., Ltd.| 1.44%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|9.ASSET|Equity|7485.3|104.79|9984| SoftBank Group Corp.| 1.40%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|10.ASSET|Equity|7485.3|99.55|9433| KDDI Corporation| 1.33%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|11.ASSET|Equity|7485.3|97.31|6367| DAIKIN INDUSTRIES, LTD.| 1.30%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|12.ASSET|Equity|7485.3|92.82|7267| Honda Motor Co., Ltd.| 1.24%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|13.ASSET|Equity|7485.3|92.07|8058| Mitsubishi Corporation| 1.23%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|14.ASSET|Equity|7485.3|89.82|8001| Itochu Corporation| 1.20%| Developed Asia Pacific|Equity|Japan Equities||BBJP|6|15.ASSET|Equity|7485.3|88.33|6594| Nidec Corporation| 1.18%| North America|Equity|Mid Cap Value Equities||IJJ|6|1.ASSET|Equity|7839.3|85.45|FHN| First Horizon Corporation| 1.09%| North America|Equity|Mid Cap Value Equities||IJJ|6|2.ASSET|Equity|7839.3|80.74|MPW| Medical Properties Trust, Inc.| 1.03%| North America|Equity|Mid Cap Value Equities||IJJ|6|3.ASSET|Equity|7839.3|78.39|RS| Reliance Steel & Aluminum Co.| 1.00%| North America|Equity|Mid Cap Value Equities||IJJ|6|4.ASSET|Equity|7839.3|68.99|LAD| Lithia Motors, Inc.| 0.88%| North America|Equity|Mid Cap Value Equities||IJJ|6|5.ASSET|Equity|7839.3|67.42|ACM| AECOM| 0.86%| North America|Equity|Mid Cap Value Equities||IJJ|6|6.ASSET|Equity|7839.3|61.93|JAZZ| Jazz Pharmaceuticals Public Limited Company| 0.79%| North America|Equity|Mid Cap Value Equities||IJJ|6|7.ASSET|Equity|7839.3|61.15|AA| Alcoa Corporation| 0.78%| North America|Equity|Mid Cap Value Equities||IJJ|6|8.ASSET|Equity|7839.3|61.15|OC| Owens Corning| 0.78%| North America|Equity|Mid Cap Value Equities||IJJ|6|9.ASSET|Equity|7839.3|60.36|LEA| Lear Corporation| 0.77%| North America|Equity|Mid Cap Value Equities||IJJ|6|10.ASSET|Equity|7839.3|60.36|Y| Alleghany Corporation| 0.77%| North America|Equity|Mid Cap Value Equities||IJJ|6|11.ASSET|Equity|7839.3|59.58|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.76%| North America|Equity|Mid Cap Value Equities||IJJ|6|12.ASSET|Equity|7839.3|59.58|KNX| Knight-Swift Transportation Holdings Inc. Class A| 0.76%| North America|Equity|Mid Cap Value Equities||IJJ|6|13.ASSET|Equity|7839.3|58.79|KSS| Kohl\'s Corporation| 0.75%| North America|Equity|Mid Cap Value Equities||IJJ|6|14.ASSET|Equity|7839.3|58.79|PFGC| Performance Food Group Company| 0.75%| North America|Equity|Mid Cap Value Equities||IJJ|6|15.ASSET|Equity|7839.3|56.44|ARW| Arrow Electronics, Inc.| 0.72%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|1.ASSET|Bond|8363.4|79.45|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 0.95%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|2.ASSET|Bond|8363.4|44.33|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 0.53%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|3.ASSET|Bond|8363.4|39.31|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 0.47%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|4.ASSET|Bond|8363.4|39.31|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 0.47%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|5.ASSET|Bond|8363.4|38.47|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 0.46%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|6.ASSET|Bond|8363.4|35.13|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 0.42%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|7.ASSET|Bond|8363.4|35.13|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 0.42%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|8.ASSET|Bond|8363.4|32.62|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 0.39%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|9.ASSET|Bond|8363.4|31.78|N/A| TREASURY ISSUES (LONG-TERM)| 0.38%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|10.ASSET|Bond|8363.4|28.44|N/A| UMBS TBA 10yr 11.5% December Delivery 2.000% 01-NOV-2051| 0.34%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|11.ASSET|Bond|8363.4|25.93|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 0.31%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|12.ASSET|Bond|8363.4|25.09|N/A| United States Treasury Bond 2.375% 15-MAY-2051| 0.30%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|13.ASSET|Bond|8363.4|24.25|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 0.29%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|14.ASSET|Bond|8363.4|23.42|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 0.28%| North America|Bond|Total Bond Market|Total Bond Market|SCHZ|6|15.ASSET|Bond|8363.4|22.58|N/A| United States Treasury Notes 0.125% 30-JUN-2023| 0.27%| North America|Equity|Large Cap Blend Equities||NOBL|6|1.ASSET|Equity|9798.9|214.6|NUE| Nucor Corporation| 2.19%| North America|Equity|Large Cap Blend Equities||NOBL|6|2.ASSET|Equity|9798.9|184.22|CVX| Chevron Corporation| 1.88%| North America|Equity|Large Cap Blend Equities||NOBL|6|3.ASSET|Equity|9798.9|177.36|ADM| Archer-Daniels-Midland Company| 1.81%| North America|Equity|Large Cap Blend Equities||NOBL|6|4.ASSET|Equity|9798.9|176.38|GD| General Dynamics Corporation| 1.80%| North America|Equity|Large Cap Blend Equities||NOBL|6|5.ASSET|Equity|9798.9|174.42|ABBV| AbbVie, Inc.| 1.78%| North America|Equity|Large Cap Blend Equities||NOBL|6|6.ASSET|Equity|9798.9|174.42|SYY| Sysco Corporation| 1.78%| North America|Equity|Large Cap Blend Equities||NOBL|6|7.ASSET|Equity|9798.9|170.5|XOM| Exxon Mobil Corporation| 1.74%| North America|Equity|Large Cap Blend Equities||NOBL|6|8.ASSET|Equity|9798.9|167.56|ATO| Atmos Energy Corporation| 1.71%| North America|Equity|Large Cap Blend Equities||NOBL|6|9.ASSET|Equity|9798.9|163.64|BDX| Becton, Dickinson and Company| 1.67%| North America|Equity|Large Cap Blend Equities||NOBL|6|10.ASSET|Equity|9798.9|162.66|CAH| Cardinal Health, Inc.| 1.66%| North America|Equity|Large Cap Blend Equities||NOBL|6|11.ASSET|Equity|9798.9|162.66|ED| Consolidated Edison, Inc.| 1.66%| North America|Equity|Large Cap Blend Equities||NOBL|6|12.ASSET|Equity|9798.9|161.68|KO| Coca-Cola Company| 1.65%| North America|Equity|Large Cap Blend Equities||NOBL|6|13.ASSET|Equity|9798.9|161.68|BRO| Brown & Brown, Inc.| 1.65%| North America|Equity|Large Cap Blend Equities||NOBL|6|14.ASSET|Equity|9798.9|160.7|ROP| Roper Technologies, Inc.| 1.64%| North America|Equity|Large Cap Blend Equities||NOBL|6|15.ASSET|Equity|9798.9|160.7|CINF| Cincinnati Financial Corporation| 1.64%| North America|Bond|Government Bonds|Treasuries|SCHO|6|1.ASSET|Bond|8264.7|149.59|N/A| United States Treasury Notes 2.25% 15-NOV-2024| 1.81%| North America|Bond|Government Bonds|Treasuries|SCHO|6|2.ASSET|Bond|8264.7|149.59|N/A| United States Treasury Notes 2.375% 15-AUG-2024| 1.81%| North America|Bond|Government Bonds|Treasuries|SCHO|6|3.ASSET|Bond|8264.7|147.11|N/A| United States Treasury Notes 2.5% 15-MAY-2024| 1.78%| North America|Bond|Government Bonds|Treasuries|SCHO|6|4.ASSET|Bond|8264.7|144.63|N/A| United States Treasury Notes 0.125% 30-JUN-2023| 1.75%| North America|Bond|Government Bonds|Treasuries|SCHO|6|5.ASSET|Bond|8264.7|143.81|N/A| United States Treasury Notes 0.125% 31-AUG-2023| 1.74%| North America|Bond|Government Bonds|Treasuries|SCHO|6|6.ASSET|Bond|8264.7|142.98|N/A| United States Treasury Notes 0.25% 30-SEP-2023| 1.73%| North America|Bond|Government Bonds|Treasuries|SCHO|6|7.ASSET|Bond|8264.7|138.85|N/A| United States Treasury Notes 0.5% 30-NOV-2023| 1.68%| North America|Bond|Government Bonds|Treasuries|SCHO|6|8.ASSET|Bond|8264.7|138.02|N/A| United States Treasury Notes 2.75% 15-NOV-2023| 1.67%| North America|Bond|Government Bonds|Treasuries|SCHO|6|9.ASSET|Bond|8264.7|136.37|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 1.65%| North America|Bond|Government Bonds|Treasuries|SCHO|6|10.ASSET|Bond|8264.7|136.37|N/A| United States Treasury Notes 0.125% 31-JUL-2023| 1.65%| North America|Bond|Government Bonds|Treasuries|SCHO|6|11.ASSET|Bond|8264.7|135.54|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 1.64%| North America|Bond|Government Bonds|Treasuries|SCHO|6|12.ASSET|Bond|8264.7|135.54|N/A| United States Treasury Notes 0.375% 31-OCT-2023| 1.64%| North America|Bond|Government Bonds|Treasuries|SCHO|6|13.ASSET|Bond|8264.7|133.89|N/A| United States Treasury Notes 0.25% 15-MAR-2024| 1.62%| North America|Bond|Government Bonds|Treasuries|SCHO|6|14.ASSET|Bond|8264.7|133.89|N/A| United States Treasury Notes 0.125% 15-FEB-2024| 1.62%| North America|Bond|Government Bonds|Treasuries|SCHO|6|15.ASSET|Bond|8264.7|133.06|N/A| United States Treasury Notes 0.75% 31-DEC-2023| 1.61%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|1.ASSET|Equity|6727|698.26|700| Tencent Holdings Ltd.| 10.38%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|2.ASSET|Equity|6727|459.45|BIDU| Baidu Inc Sponsored ADR Class A| 6.83%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|3.ASSET|Equity|6727|444.65|3690| Meituan Class B| 6.61%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|4.ASSET|Equity|6727|413.04|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 6.14%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|5.ASSET|Equity|6727|353.84|JD| JD.com, Inc. Sponsored ADR Class A| 5.26%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|6.ASSET|Equity|6727|341.73|1024| Kuaishou Technology Class B| 5.08%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|7.ASSET|Equity|6727|318.86|BZ| Kanzhun Ltd. Sponsored ADR| 4.74%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|8.ASSET|Equity|6727|285.22|BEKE| KE Holdings, Inc. Sponsored ADR Class A| 4.24%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|9.ASSET|Equity|6727|282.53|TCOM| Trip.com Group Ltd. Sponsored ADR| 4.20%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|10.ASSET|Equity|6727|270.43|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 4.02%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|11.ASSET|Equity|6727|238.81|YMM| Full Truck Alliance Co. Ltd. Sponsored ADR| 3.55%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|12.ASSET|Equity|6727|238.14|6618| JD Health International, Inc.| 3.54%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|13.ASSET|Equity|6727|207.86|9618| JD.com, Inc. Class A| 3.09%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|14.ASSET|Equity|6727|201.14|9988| Alibaba Group Holding Ltd.| 2.99%| Emerging Asia Pacific|Equity|China Equities|Technology|KWEB|6|15.ASSET|Equity|6727|189.03|NTES| NetEase, Inc. Sponsored ADR| 2.81%| North America|Equity|Technology Equities|Technology|IYW|6|1.ASSET|Equity|8154.4|1550.15|AAPL| Apple Inc.| 19.01%| North America|Equity|Technology Equities|Technology|IYW|6|2.ASSET|Equity|8154.4|1371.57|MSFT| Microsoft Corporation| 16.82%| North America|Equity|Technology Equities|Technology|IYW|6|3.ASSET|Equity|8154.4|508.02|GOOGL| Alphabet Inc. Class A| 6.23%| North America|Equity|Technology Equities|Technology|IYW|6|4.ASSET|Equity|8154.4|474.59|GOOG| Alphabet Inc. Class C| 5.82%| North America|Equity|Technology Equities|Technology|IYW|6|5.ASSET|Equity|8154.4|312.31|NVDA| NVIDIA Corporation| 3.83%| North America|Equity|Technology Equities|Technology|IYW|6|6.ASSET|Equity|8154.4|265.02|FB| Meta Platforms Inc. Class A| 3.25%| North America|Equity|Technology Equities|Technology|IYW|6|7.ASSET|Equity|8154.4|197.34|AVGO| Broadcom Inc.| 2.42%| North America|Equity|Technology Equities|Technology|IYW|6|8.ASSET|Equity|8154.4|186.74|ADBE| Adobe Inc.| 2.29%| North America|Equity|Technology Equities|Technology|IYW|6|9.ASSET|Equity|8154.4|168.8|CRM| salesforce.com, inc.| 2.07%| North America|Equity|Technology Equities|Technology|IYW|6|10.ASSET|Equity|8154.4|163.9|INTC| Intel Corporation| 2.01%| North America|Equity|Technology Equities|Technology|IYW|6|11.ASSET|Equity|8154.4|160.64|AMD| Advanced Micro Devices, Inc.| 1.97%| North America|Equity|Technology Equities|Technology|IYW|6|12.ASSET|Equity|8154.4|159.83|QCOM| Qualcomm Inc| 1.96%| North America|Equity|Technology Equities|Technology|IYW|6|13.ASSET|Equity|8154.4|133.73|TXN| Texas Instruments Incorporated| 1.64%| North America|Equity|Technology Equities|Technology|IYW|6|14.ASSET|Equity|8154.4|108.45|ORCL| Oracle Corporation| 1.33%| North America|Equity|Technology Equities|Technology|IYW|6|15.ASSET|Equity|8154.4|107.64|INTU| Intuit Inc.| 1.32%| Developed Markets|Equity|Europe Equities||BBEU|6|1.ASSET|Equity|9215.7|325.31|NESN| Nestle S.A.| 3.53%| Developed Markets|Equity|Europe Equities||BBEU|6|2.ASSET|Equity|9215.7|235.92|ROG| Roche Holding Ltd| 2.56%| Developed Markets|Equity|Europe Equities||BBEU|6|3.ASSET|Equity|9215.7|233.16|ASML| ASML Holding NV| 2.53%| Developed Markets|Equity|Europe Equities||BBEU|6|4.ASSET|Equity|9215.7|188.92|NOVN| Novartis AG| 2.05%| Developed Markets|Equity|Europe Equities||BBEU|6|5.ASSET|Equity|9215.7|176.94|SHEL| Shell PLC| 1.92%| Developed Markets|Equity|Europe Equities||BBEU|6|6.ASSET|Equity|9215.7|167.73|AZN| AstraZeneca PLC| 1.82%| Developed Markets|Equity|Europe Equities||BBEU|6|7.ASSET|Equity|9215.7|164.04|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.78%| Developed Markets|Equity|Europe Equities||BBEU|6|8.ASSET|Equity|9215.7|152.06|NOVO.B| Novo Nordisk A/S Class B| 1.65%| Developed Markets|Equity|Europe Equities||BBEU|6|9.ASSET|Equity|9215.7|120.73|HSBA| HSBC Holdings Plc| 1.31%| Developed Markets|Equity|Europe Equities||BBEU|6|10.ASSET|Equity|9215.7|113.35|ULVR| Unilever PLC| 1.23%| Developed Markets|Equity|Europe Equities||BBEU|6|11.ASSET|Equity|9215.7|108.75|TTE| TotalEnergies SE| 1.18%| Developed Markets|Equity|Europe Equities||BBEU|6|12.ASSET|Equity|9215.7|105.98|SAP| SAP SE| 1.15%| Developed Markets|Equity|Europe Equities||BBEU|6|13.ASSET|Equity|9215.7|104.14|SAN| Sanofi| 1.13%| Developed Markets|Equity|Europe Equities||BBEU|6|14.ASSET|Equity|9215.7|100.45|DGE| Diageo plc| 1.09%| Developed Markets|Equity|Europe Equities||BBEU|6|15.ASSET|Equity|9215.7|94|SIE| Siemens AG| 1.02%| North America|Bond|Government Bonds|Treasuries|VGIT|6|1.ASSET|Bond|8855.1|205.44|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 2.32%| North America|Bond|Government Bonds|Treasuries|VGIT|6|2.ASSET|Bond|8855.1|202.78|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 2.29%| North America|Bond|Government Bonds|Treasuries|VGIT|6|3.ASSET|Bond|8855.1|197.47|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 2.23%| North America|Bond|Government Bonds|Treasuries|VGIT|6|4.ASSET|Bond|8855.1|187.73|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 2.12%| North America|Bond|Government Bonds|Treasuries|VGIT|6|5.ASSET|Bond|8855.1|179.76|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.03%| North America|Bond|Government Bonds|Treasuries|VGIT|6|6.ASSET|Bond|8855.1|172.67|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 1.95%| North America|Bond|Government Bonds|Treasuries|VGIT|6|7.ASSET|Bond|8855.1|160.28|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 1.81%| North America|Bond|Government Bonds|Treasuries|VGIT|6|8.ASSET|Bond|8855.1|139.91|N/A| United States Treasury Notes 2.375% 15-MAY-2027| 1.58%| North America|Bond|Government Bonds|Treasuries|VGIT|6|9.ASSET|Bond|8855.1|139.03|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 1.57%| North America|Bond|Government Bonds|Treasuries|VGIT|6|10.ASSET|Bond|8855.1|138.14|N/A| United States Treasury Notes 1.5% 15-AUG-2026| 1.56%| North America|Bond|Government Bonds|Treasuries|VGIT|6|11.ASSET|Bond|8855.1|135.48|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 1.53%| North America|Bond|Government Bonds|Treasuries|VGIT|6|12.ASSET|Bond|8855.1|131.94|N/A| United States Treasury Notes 1.625% 15-FEB-2026| 1.49%| North America|Bond|Government Bonds|Treasuries|VGIT|6|13.ASSET|Bond|8855.1|131.06|N/A| United States Treasury Notes 2.25% 15-AUG-2027| 1.48%| North America|Bond|Government Bonds|Treasuries|VGIT|6|14.ASSET|Bond|8855.1|131.06|N/A| United States Treasury Notes 1.125% 29-FEB-2028| 1.48%| North America|Bond|Government Bonds|Treasuries|VGIT|6|15.ASSET|Bond|8855.1|129.28|N/A| United States Treasury Notes 0.5% 28-FEB-2026| 1.46%| North America|Bond|High Yield Bonds|Junk|JNK|6|1.ASSET|Bond|7554|189.61|N/A| CORPORATE BOND| 2.51%| North America|Bond|High Yield Bonds|Junk|JNK|6|2.ASSET|Bond|7554|121.62|SSIXX| State Street Institutional Liquid Reserves Fund| 1.61%| North America|Bond|High Yield Bonds|Junk|JNK|6|3.ASSET|Bond|7554|32.48|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.43%| North America|Bond|High Yield Bonds|Junk|JNK|6|4.ASSET|Bond|7554|28.71|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.38%| North America|Bond|High Yield Bonds|Junk|JNK|6|5.ASSET|Bond|7554|25.68|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.34%| North America|Bond|High Yield Bonds|Junk|JNK|6|6.ASSET|Bond|7554|24.93|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.33%| North America|Bond|High Yield Bonds|Junk|JNK|6|7.ASSET|Bond|7554|24.93|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.33%| North America|Bond|High Yield Bonds|Junk|JNK|6|8.ASSET|Bond|7554|24.17|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.32%| North America|Bond|High Yield Bonds|Junk|JNK|6|9.ASSET|Bond|7554|22.66|N/A| Ford Motor Credit Company LLC 3.375% 13-NOV-2025| 0.30%| North America|Bond|High Yield Bonds|Junk|JNK|6|10.ASSET|Bond|7554|21.91|N/A| American Airlines, Inc. 5.75% 20-APR-2029| 0.29%| North America|Bond|High Yield Bonds|Junk|JNK|6|11.ASSET|Bond|7554|21.91|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.29%| North America|Bond|High Yield Bonds|Junk|JNK|6|12.ASSET|Bond|7554|21.15|N/A| FIXED INCOME (UNCLASSFIED)| 0.28%| North America|Bond|High Yield Bonds|Junk|JNK|6|13.ASSET|Bond|7554|21.15|N/A| CCO Holdings LLC 5.0% 01-FEB-2028| 0.28%| North America|Bond|High Yield Bonds|Junk|JNK|6|14.ASSET|Bond|7554|20.4|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 0.27%| North America|Bond|High Yield Bonds|Junk|JNK|6|15.ASSET|Bond|7554|18.89|N/A| TransDigm, Inc. 5.5% 15-NOV-2027| 0.25%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|1.ASSET|Equity|7986.4|1215.53|TMO| Thermo Fisher Scientific Inc.| 15.22%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|2.ASSET|Equity|7986.4|1209.14|ABT| Abbott Laboratories| 15.14%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|3.ASSET|Equity|7986.4|801.04|MDT| Medtronic Plc| 10.03%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|4.ASSET|Equity|7986.4|432.86|BDX| Becton, Dickinson and Company| 5.42%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|5.ASSET|Equity|7986.4|407.31|BSX| Boston Scientific Corporation| 5.10%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|6.ASSET|Equity|7986.4|396.13|SYK| Stryker Corporation| 4.96%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|7.ASSET|Equity|7986.4|369.77|EW| Edwards Lifesciences Corporation| 4.63%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|8.ASSET|Equity|7986.4|334.63|ISRG| Intuitive Surgical, Inc.| 4.19%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|9.ASSET|Equity|7986.4|292.3|IDXX| IDEXX Laboratories, Inc.| 3.66%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|10.ASSET|Equity|7986.4|275.53|BAX| Baxter International Inc.| 3.45%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|11.ASSET|Equity|7986.4|259.56|DXCM| DexCom, Inc.| 3.25%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|12.ASSET|Equity|7986.4|232.4|RMD| ResMed Inc.| 2.91%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|13.ASSET|Equity|7986.4|171.71|ZBH| Zimmer Biomet Holdings, Inc.| 2.15%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|14.ASSET|Equity|7986.4|154.94|STE| STERIS Plc| 1.94%| North America|Equity|Health & Biotech Equities|Healthcare|IHI|6|15.ASSET|Equity|7986.4|125.39|WAT| Waters Corporation| 1.57%| North America|Equity|Large Cap Growth Equities||FTCS|6|1.ASSET|Equity|8510.6|202.55|HUM| Humana Inc.| 2.38%| North America|Equity|Large Cap Growth Equities||FTCS|6|2.ASSET|Equity|8510.6|199.15|GD| General Dynamics Corporation| 2.34%| North America|Equity|Large Cap Growth Equities||FTCS|6|3.ASSET|Equity|8510.6|198.3|NOC| Northrop Grumman Corporation| 2.33%| North America|Equity|Large Cap Growth Equities||FTCS|6|4.ASSET|Equity|8510.6|190.64|COST| Costco Wholesale Corporation| 2.24%| North America|Equity|Large Cap Growth Equities||FTCS|6|5.ASSET|Equity|8510.6|184.68|BRK.B| Berkshire Hathaway Inc. Class B| 2.17%| North America|Equity|Large Cap Growth Equities||FTCS|6|6.ASSET|Equity|8510.6|182.98|UNH| UnitedHealth Group Incorporated| 2.15%| North America|Equity|Large Cap Growth Equities||FTCS|6|7.ASSET|Equity|8510.6|182.13|CTSH| Cognizant Technology Solutions Corporation Class A| 2.14%| North America|Equity|Large Cap Growth Equities||FTCS|6|8.ASSET|Equity|8510.6|179.57|KO| Coca-Cola Company| 2.11%| North America|Equity|Large Cap Growth Equities||FTCS|6|9.ASSET|Equity|8510.6|179.57|MKL| Markel Corporation| 2.11%| North America|Equity|Large Cap Growth Equities||FTCS|6|10.ASSET|Equity|8510.6|178.72|UNP| Union Pacific Corporation| 2.10%| North America|Equity|Large Cap Growth Equities||FTCS|6|11.ASSET|Equity|8510.6|177.02|LOW| Lowe\'s Companies, Inc.| 2.08%| North America|Equity|Large Cap Growth Equities||FTCS|6|12.ASSET|Equity|8510.6|177.02|PAYX| Paychex, Inc.| 2.08%| North America|Equity|Large Cap Growth Equities||FTCS|6|13.ASSET|Equity|8510.6|177.02|CSX| CSX Corporation| 2.08%| North America|Equity|Large Cap Growth Equities||FTCS|6|14.ASSET|Equity|8510.6|177.02|MSFT| Microsoft Corporation| 2.08%| North America|Equity|Large Cap Growth Equities||FTCS|6|15.ASSET|Equity|8510.6|175.32|JNJ| Johnson & Johnson| 2.06%| North America|Equity|Large Cap Growth Equities||OEF|6|1.ASSET|Equity|8624.5|904.71|AAPL| Apple Inc.| 10.49%| North America|Equity|Large Cap Growth Equities||OEF|6|2.ASSET|Equity|8624.5|785.69|MSFT| Microsoft Corporation| 9.11%| North America|Equity|Large Cap Growth Equities||OEF|6|3.ASSET|Equity|8624.5|462.27|AMZN| Amazon.com, Inc.| 5.36%| North America|Equity|Large Cap Growth Equities||OEF|6|4.ASSET|Equity|8624.5|282.02|GOOGL| Alphabet Inc. Class A| 3.27%| North America|Equity|Large Cap Growth Equities||OEF|6|5.ASSET|Equity|8624.5|262.18|GOOG| Alphabet Inc. Class C| 3.04%| North America|Equity|Large Cap Growth Equities||OEF|6|6.ASSET|Equity|8624.5|249.25|TSLA| Tesla Inc| 2.89%| North America|Equity|Large Cap Growth Equities||OEF|6|7.ASSET|Equity|8624.5|211.3|NVDA| NVIDIA Corporation| 2.45%| North America|Equity|Large Cap Growth Equities||OEF|6|8.ASSET|Equity|8624.5|206.13|BRK.B| Berkshire Hathaway Inc. Class B| 2.39%| North America|Equity|Large Cap Growth Equities||OEF|6|9.ASSET|Equity|8624.5|171.63|FB| Meta Platforms Inc. Class A| 1.99%| North America|Equity|Large Cap Growth Equities||OEF|6|10.ASSET|Equity|8624.5|159.55|UNH| UnitedHealth Group Incorporated| 1.85%| North America|Equity|Large Cap Growth Equities||OEF|6|11.ASSET|Equity|8624.5|152.65|JNJ| Johnson & Johnson| 1.77%| North America|Equity|Large Cap Growth Equities||OEF|6|12.ASSET|Equity|8624.5|143.17|JPM| JPMorgan Chase & Co.| 1.66%| North America|Equity|Large Cap Growth Equities||OEF|6|13.ASSET|Equity|8624.5|129.37|PG| Procter & Gamble Company| 1.50%| North America|Equity|Large Cap Growth Equities||OEF|6|14.ASSET|Equity|8624.5|121.61|V| Visa Inc. Class A| 1.41%| North America|Equity|Large Cap Growth Equities||OEF|6|15.ASSET|Equity|8624.5|120.74|HD| Home Depot, Inc.| 1.40%| North America|Equity|Small Cap Growth Equities||IJK|6|1.ASSET|Equity|7566.1|113.49|CPT| Camden Property Trust| 1.50%| North America|Equity|Small Cap Growth Equities||IJK|6|2.ASSET|Equity|7566.1|102.14|TRGP| Targa Resources Corp.| 1.35%| North America|Equity|Small Cap Growth Equities||IJK|6|3.ASSET|Equity|7566.1|95.33|BLDR| Builders FirstSource, Inc.| 1.26%| North America|Equity|Small Cap Growth Equities||IJK|6|4.ASSET|Equity|7566.1|92.31|STLD| Steel Dynamics, Inc.| 1.22%| North America|Equity|Small Cap Growth Equities||IJK|6|5.ASSET|Equity|7566.1|84.74|DAR| Darling Ingredients Inc.| 1.12%| North America|Equity|Small Cap Growth Equities||IJK|6|6.ASSET|Equity|7566.1|82.47|CSL| Carlisle Companies Incorporated| 1.09%| North America|Equity|Small Cap Growth Equities||IJK|6|7.ASSET|Equity|7566.1|78.69|EWBC| East West Bancorp, Inc.| 1.04%| North America|Equity|Small Cap Growth Equities||IJK|6|8.ASSET|Equity|7566.1|74.15|WSM| Williams-Sonoma, Inc.| 0.98%| North America|Equity|Small Cap Growth Equities||IJK|6|9.ASSET|Equity|7566.1|71.88|CLF| Cleveland-Cliffs Inc| 0.95%| North America|Equity|Small Cap Growth Equities||IJK|6|10.ASSET|Equity|7566.1|71.12|LSI| Life Storage, Inc.| 0.94%| North America|Equity|Small Cap Growth Equities||IJK|6|11.ASSET|Equity|7566.1|71.12|REXR| Rexford Industrial Realty, Inc.| 0.94%| North America|Equity|Small Cap Growth Equities||IJK|6|12.ASSET|Equity|7566.1|68.09|SCI| Service Corporation International| 0.90%| North America|Equity|Small Cap Growth Equities||IJK|6|13.ASSET|Equity|7566.1|68.09|RGEN| Repligen Corporation| 0.90%| North America|Equity|Small Cap Growth Equities||IJK|6|14.ASSET|Equity|7566.1|68.09|TTC| Toro Company| 0.90%| North America|Equity|Small Cap Growth Equities||IJK|6|15.ASSET|Equity|7566.1|67.34|AZPN| Aspen Technology, Inc.| 0.89%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|1.ASSET|Equity|7339.6|127.71|SCMN| Swisscom AG| 1.74%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|2.ASSET|Equity|7339.6|116.7|NESN| Nestle S.A.| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|3.ASSET|Equity|7339.6|112.3|ROG| Roche Holding Ltd| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|4.ASSET|Equity|7339.6|108.63|NOVN| Novartis AG| 1.48%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|5.ASSET|Equity|7339.6|108.63|NOVO.B| Novo Nordisk A/S Class B| 1.48%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|6.ASSET|Equity|7339.6|101.29|COLO.B| Coloplast A/S Class B| 1.38%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|7.ASSET|Equity|7339.6|99.08|GIVN| Givaudan SA| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|8.ASSET|Equity|7339.6|95.41|3| Hong Kong & China Gas Co. Ltd.| 1.30%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|9.ASSET|Equity|7339.6|94.68|NG| National Grid plc| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|10.ASSET|Equity|7339.6|89.54|9434| SoftBank Corp.| 1.22%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|11.ASSET|Equity|7339.6|86.61|2| CLP Holdings Limited| 1.18%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|12.ASSET|Equity|7339.6|78.53|6| Power Assets Holdings Limited| 1.07%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|13.ASSET|Equity|7339.6|77.8|SAN| Sanofi| 1.06%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|14.ASSET|Equity|7339.6|77.07|4661| Oriental Land Co., Ltd.| 1.05%| Developed Markets|Equity|Foreign Large Cap Equities||EFAV|6|15.ASSET|Equity|7339.6|76.33|CRDA| Croda International Plc| 1.04%| North America|Bond|High Yield Bonds|Junk|USHY|6|1.ASSET|Bond|7435.4|67.66|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.91%| North America|Bond|High Yield Bonds|Junk|USHY|6|2.ASSET|Bond|7435.4|34.95|N/A| CORPORATE BOND| 0.47%| North America|Bond|High Yield Bonds|Junk|USHY|6|3.ASSET|Bond|7435.4|23.05|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.31%| North America|Bond|High Yield Bonds|Junk|USHY|6|4.ASSET|Bond|7435.4|21.56|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.29%| North America|Bond|High Yield Bonds|Junk|USHY|6|5.ASSET|Bond|7435.4|21.56|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.29%| North America|Bond|High Yield Bonds|Junk|USHY|6|6.ASSET|Bond|7435.4|18.59|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.25%| North America|Bond|High Yield Bonds|Junk|USHY|6|7.ASSET|Bond|7435.4|17.84|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.24%| North America|Bond|High Yield Bonds|Junk|USHY|6|8.ASSET|Bond|7435.4|17.84|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.24%| North America|Bond|High Yield Bonds|Junk|USHY|6|9.ASSET|Bond|7435.4|17.1|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.23%| North America|Bond|High Yield Bonds|Junk|USHY|6|10.ASSET|Bond|7435.4|17.1|N/A| Carnival Corporation 5.75% 01-MAR-2027| 0.23%| North America|Bond|High Yield Bonds|Junk|USHY|6|11.ASSET|Bond|7435.4|16.36|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.22%| North America|Bond|High Yield Bonds|Junk|USHY|6|12.ASSET|Bond|7435.4|15.61|N/A| Kraft Heinz Foods Co. 4.375% 01-JUN-2046| 0.21%| North America|Bond|High Yield Bonds|Junk|USHY|6|13.ASSET|Bond|7435.4|14.87|N/A| American Airlines, Inc. 5.75% 20-APR-2029| 0.20%| North America|Bond|High Yield Bonds|Junk|USHY|6|14.ASSET|Bond|7435.4|14.87|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 0.20%| North America|Bond|High Yield Bonds|Junk|USHY|6|15.ASSET|Bond|7435.4|14.87|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.20%| North America|Equity|Large Cap Blend Equities||FNDX|6|1.ASSET|Equity|9951.4|445.82|AAPL| Apple Inc.| 4.48%| North America|Equity|Large Cap Blend Equities||FNDX|6|2.ASSET|Equity|9951.4|281.62|XOM| Exxon Mobil Corporation| 2.83%| North America|Equity|Large Cap Blend Equities||FNDX|6|3.ASSET|Equity|9951.4|201.02|MSFT| Microsoft Corporation| 2.02%| North America|Equity|Large Cap Blend Equities||FNDX|6|4.ASSET|Equity|9951.4|194.05|CVX| Chevron Corporation| 1.95%| North America|Equity|Large Cap Blend Equities||FNDX|6|5.ASSET|Equity|9951.4|184.1|BRK.B| Berkshire Hathaway Inc. Class B| 1.85%| North America|Equity|Large Cap Blend Equities||FNDX|6|6.ASSET|Equity|9951.4|156.24|T| AT&T Inc.| 1.57%| North America|Equity|Large Cap Blend Equities||FNDX|6|7.ASSET|Equity|9951.4|148.28|JPM| JPMorgan Chase & Co.| 1.49%| North America|Equity|Large Cap Blend Equities||FNDX|6|8.ASSET|Equity|9951.4|147.28|WFC| Wells Fargo & Company| 1.48%| North America|Equity|Large Cap Blend Equities||FNDX|6|9.ASSET|Equity|9951.4|139.32|VZ| Verizon Communications Inc.| 1.40%| North America|Equity|Large Cap Blend Equities||FNDX|6|10.ASSET|Equity|9951.4|121.41|UNH| UnitedHealth Group Incorporated| 1.22%| North America|Equity|Large Cap Blend Equities||FNDX|6|11.ASSET|Equity|9951.4|116.43|BAC| Bank of America Corp| 1.17%| North America|Equity|Large Cap Blend Equities||FNDX|6|12.ASSET|Equity|9951.4|112.45|JNJ| Johnson & Johnson| 1.13%| North America|Equity|Large Cap Blend Equities||FNDX|6|13.ASSET|Equity|9951.4|106.48|WMT| Walmart Inc.| 1.07%| North America|Equity|Large Cap Blend Equities||FNDX|6|14.ASSET|Equity|9951.4|105.48|PFE| Pfizer Inc.| 1.06%| North America|Equity|Large Cap Blend Equities||FNDX|6|15.ASSET|Equity|9951.4|100.51|INTC| Intel Corporation| 1.01%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|1.ASSET|Bond|7633.9|181.69|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 2.38%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|2.ASSET|Bond|7633.9|107.64|N/A| CORPORATE BOND| 1.41%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|3.ASSET|Bond|7633.9|42.75|N/A| Boeing Company 4.508% 01-MAY-2023| 0.56%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|4.ASSET|Bond|7633.9|40.46|N/A| Morgan Stanley 3.737% 24-APR-2024| 0.53%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|5.ASSET|Bond|7633.9|40.46|N/A| HSBC Holdings Plc 3.95% 18-MAY-2024| 0.53%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|6.ASSET|Bond|7633.9|38.17|N/A| Wells Fargo & Company 1.654% 02-JUN-2024| 0.50%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|7.ASSET|Bond|7633.9|37.41|N/A| Bristol-Myers Squibb Company 2.9% 26-JUL-2024| 0.49%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|8.ASSET|Bond|7633.9|33.59|N/A| JPMorgan Chase & Co. 1.514% 01-JUN-2024| 0.44%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|9.ASSET|Bond|7633.9|32.83|N/A| NatWest Group Plc 4.269% 22-MAR-2025| 0.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|10.ASSET|Bond|7633.9|32.83|N/A| Credit Suisse (New York Securities Branch) 3.625% 09-SEP-2024| 0.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|11.ASSET|Bond|7633.9|31.3|N/A| Apple Inc. 2.4% 03-MAY-2023| 0.41%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|12.ASSET|Bond|7633.9|31.3|N/A| Toronto-Dominion Bank 2.65% 12-JUN-2024| 0.41%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|13.ASSET|Bond|7633.9|30.54|N/A| Wells Fargo & Company 3.75% 24-JAN-2024| 0.40%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|14.ASSET|Bond|7633.9|28.25|N/A| AbbVie Inc. 2.6% 21-NOV-2024| 0.37%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPSB|6|15.ASSET|Bond|7633.9|27.48|N/A| Barclays Plc 3.932% 07-MAY-2025| 0.36%| Developed Markets|Equity|Europe Equities||EZU|6|1.ASSET|Equity|6642|353.35|ASML| ASML Holding NV| 5.32%| Developed Markets|Equity|Europe Equities||EZU|6|2.ASSET|Equity|6642|257.71|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.88%| Developed Markets|Equity|Europe Equities||EZU|6|3.ASSET|Equity|6642|166.05|TTE| TotalEnergies SE| 2.50%| Developed Markets|Equity|Europe Equities||EZU|6|4.ASSET|Equity|6642|155.42|SAN| Sanofi| 2.34%| Developed Markets|Equity|Europe Equities||EZU|6|5.ASSET|Equity|6642|153.43|SAP| SAP SE| 2.31%| Developed Markets|Equity|Europe Equities||EZU|6|6.ASSET|Equity|6642|136.83|SIE| Siemens AG| 2.06%| Developed Markets|Equity|Europe Equities||EZU|6|7.ASSET|Equity|6642|128.19|OR| L\'Oreal SA| 1.93%| Developed Markets|Equity|Europe Equities||EZU|6|8.ASSET|Equity|6642|118.23|ALV| Allianz SE| 1.78%| Developed Markets|Equity|Europe Equities||EZU|6|9.ASSET|Equity|6642|106.94|SU| Schneider Electric SE| 1.61%| Developed Markets|Equity|Europe Equities||EZU|6|10.ASSET|Equity|6642|104.28|AI| Air Liquide SA| 1.57%| Developed Markets|Equity|Europe Equities||EZU|6|11.ASSET|Equity|6642|91|AIR| Airbus SE| 1.37%| Developed Markets|Equity|Europe Equities||EZU|6|12.ASSET|Equity|6642|84.35|IBE| Iberdrola SA| 1.27%| Developed Markets|Equity|Europe Equities||EZU|6|13.ASSET|Equity|6642|84.35|MBG| Mercedes-Benz Group AG| 1.27%| Developed Markets|Equity|Europe Equities||EZU|6|14.ASSET|Equity|6642|81.7|BNP| BNP Paribas SA Class A| 1.23%| Developed Markets|Equity|Europe Equities||EZU|6|15.ASSET|Equity|6642|76.38|BAYN| Bayer AG| 1.15%| North America|Equity|Volatility Hedged Equity||SPLV|6|1.ASSET|Equity|8636.6|116.59|KO| Coca-Cola Company| 1.35%| North America|Equity|Volatility Hedged Equity||SPLV|6|2.ASSET|Equity|8636.6|113.14|HSY| Hershey Company| 1.31%| North America|Equity|Volatility Hedged Equity||SPLV|6|3.ASSET|Equity|8636.6|109.68|VZ| Verizon Communications Inc.| 1.27%| North America|Equity|Volatility Hedged Equity||SPLV|6|4.ASSET|Equity|8636.6|109.68|JNJ| Johnson & Johnson| 1.27%| North America|Equity|Volatility Hedged Equity||SPLV|6|5.ASSET|Equity|8636.6|108.82|PEP| PepsiCo, Inc.| 1.26%| North America|Equity|Volatility Hedged Equity||SPLV|6|6.ASSET|Equity|8636.6|107.96|PG| Procter & Gamble Company| 1.25%| North America|Equity|Volatility Hedged Equity||SPLV|6|7.ASSET|Equity|8636.6|102.78|CL| Colgate-Palmolive Company| 1.19%| North America|Equity|Volatility Hedged Equity||SPLV|6|8.ASSET|Equity|8636.6|102.78|GD| General Dynamics Corporation| 1.19%| North America|Equity|Volatility Hedged Equity||SPLV|6|9.ASSET|Equity|8636.6|102.78|SO| Southern Company| 1.19%| North America|Equity|Volatility Hedged Equity||SPLV|6|10.ASSET|Equity|8636.6|101.05|AEP| American Electric Power Company, Inc.| 1.17%| North America|Equity|Volatility Hedged Equity||SPLV|6|11.ASSET|Equity|8636.6|100.18|BRK.B| Berkshire Hathaway Inc. Class B| 1.16%| North America|Equity|Volatility Hedged Equity||SPLV|6|12.ASSET|Equity|8636.6|99.32|DUK| Duke Energy Corporation| 1.15%| North America|Equity|Volatility Hedged Equity||SPLV|6|13.ASSET|Equity|8636.6|99.32|MDLZ| Mondelez International, Inc. Class A| 1.15%| North America|Equity|Volatility Hedged Equity||SPLV|6|14.ASSET|Equity|8636.6|99.32|WM| Waste Management, Inc.| 1.15%| North America|Equity|Volatility Hedged Equity||SPLV|6|15.ASSET|Equity|8636.6|99.32|MCD| McDonald\'s Corporation| 1.15%| Developed Markets|Bond|High Yield Bonds|Bank Loans|SRLN|6|1.ASSET|Bond|9844.7|9844.7|N/A| Advantage Sales & Marketing Inc| 100.00%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|1.ASSET|Preferred Stock|7670.9|530.06|N/A| CORPORATE BOND| 6.91%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|2.ASSET|Preferred Stock|7670.9|240.1|N/A| U.S. Dollar| 3.13%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|3.ASSET|Preferred Stock|7670.9|154.19|N/A| Barclays Plc 8.0% PERP| 2.01%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|4.ASSET|Preferred Stock|7670.9|144.21|N/A| AerCap Holdings NV 5.875% 10-OCT-2079| 1.88%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|5.ASSET|Preferred Stock|7670.9|112|N/A| Emera Incorporated 6.75% 15-JUN-2076| 1.46%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|6.ASSET|Preferred Stock|7670.9|105.86|WFC.PRL| Wells Fargo & Company 7.5 % Non Cum Perp Conv Pfd Registered Shs A Series L| 1.38%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|7.ASSET|Preferred Stock|7670.9|95.89|N/A| Highlands Holdings Bond Issuer Ltd. 7.625% 15-OCT-2025| 1.25%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|8.ASSET|Preferred Stock|7670.9|84.38|CMCF| JPMorgan Chase & Co Deposit Shs Repr 1/10th Non-Cum Perp Pfd Shs Ser-V| 1.10%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|9.ASSET|Preferred Stock|7670.9|77.48|N/A| Credit Suisse Group AG 7.5% PERP| 1.01%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|10.ASSET|Preferred Stock|7670.9|73.64|N/A| Societe Generale S.A. 5.375% PERP| 0.96%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|11.ASSET|Preferred Stock|7670.9|70.57|N/A| BNP Paribas S.A. 4.625% PERP| 0.92%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|12.ASSET|Preferred Stock|7670.9|69.81|N/A| Global Atlantic Financial Co. 4.7% 15-OCT-2051| 0.91%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|13.ASSET|Preferred Stock|7670.9|68.27|N/A| Charles Schwab Corp Depositary Shs Repr 1/100th Non-Cum Red Perp Pfd Registered ShsSeries G| 0.89%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|14.ASSET|Preferred Stock|7670.9|67.5|N/A| Enbridge Inc. 6.0% 15-JAN-2077| 0.88%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||FPE|6|15.ASSET|Preferred Stock|7670.9|67.5|BAC.PRL| Bank of America Corp 7.25 % Non Cum Perp Conv Pfd Registered Shs Series L| 0.88%| North America|Equity|Technology Equities|Technology|SOXX|6|1.ASSET|Equity|8624.8|816.77|AVGO| Broadcom Inc.| 9.47%| North America|Equity|Technology Equities|Technology|SOXX|6|2.ASSET|Equity|8624.8|748.63|AMD| Advanced Micro Devices, Inc.| 8.68%| North America|Equity|Technology Equities|Technology|SOXX|6|3.ASSET|Equity|8624.8|719.31|QCOM| Qualcomm Inc| 8.34%| North America|Equity|Technology Equities|Technology|SOXX|6|4.ASSET|Equity|8624.8|570.1|NVDA| NVIDIA Corporation| 6.61%| North America|Equity|Technology Equities|Technology|SOXX|6|5.ASSET|Equity|8624.8|541.64|INTC| Intel Corporation| 6.28%| North America|Equity|Technology Equities|Technology|SOXX|6|6.ASSET|Equity|8624.8|407.09|MU| Micron Technology, Inc.| 4.72%| North America|Equity|Technology Equities|Technology|SOXX|6|7.ASSET|Equity|8624.8|362.24|MRVL| Marvell Technology, Inc.| 4.20%| North America|Equity|Technology Equities|Technology|SOXX|6|8.ASSET|Equity|8624.8|349.3|AMAT| Applied Materials, Inc.| 4.05%| North America|Equity|Technology Equities|Technology|SOXX|6|9.ASSET|Equity|8624.8|345.85|ADI| Analog Devices, Inc.| 4.01%| North America|Equity|Technology Equities|Technology|SOXX|6|10.ASSET|Equity|8624.8|344.99|TXN| Texas Instruments Incorporated| 4.00%| North America|Equity|Technology Equities|Technology|SOXX|6|11.ASSET|Equity|8624.8|344.13|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 3.99%| North America|Equity|Technology Equities|Technology|SOXX|6|12.ASSET|Equity|8624.8|327.74|KLAC| KLA Corporation| 3.80%| North America|Equity|Technology Equities|Technology|SOXX|6|13.ASSET|Equity|8624.8|321.71|NXPI| NXP Semiconductors NV| 3.73%| North America|Equity|Technology Equities|Technology|SOXX|6|14.ASSET|Equity|8624.8|315.67|LRCX| Lam Research Corporation| 3.66%| North America|Equity|Technology Equities|Technology|SOXX|6|15.ASSET|Equity|8624.8|308.77|MCHP| Microchip Technology Incorporated| 3.58%| North America|Equity|Materials|Materials|XLB|6|1.ASSET|Equity|7135.2|1113.09|LIN| Linde plc| 15.60%| North America|Equity|Materials|Materials|XLB|6|2.ASSET|Equity|7135.2|540.85|FCX| Freeport-McMoRan, Inc.| 7.58%| North America|Equity|Materials|Materials|XLB|6|3.ASSET|Equity|7135.2|473.78|SHW| Sherwin-Williams Company| 6.64%| North America|Equity|Materials|Materials|XLB|6|4.ASSET|Equity|7135.2|423.12|NEM| Newmont Corporation| 5.93%| North America|Equity|Materials|Materials|XLB|6|5.ASSET|Equity|7135.2|392.44|APD| Air Products and Chemicals, Inc.| 5.50%| North America|Equity|Materials|Materials|XLB|6|6.ASSET|Equity|7135.2|326.79|ECL| Ecolab Inc.| 4.58%| North America|Equity|Materials|Materials|XLB|6|7.ASSET|Equity|7135.2|324.65|DOW| Dow, Inc.| 4.55%| North America|Equity|Materials|Materials|XLB|6|8.ASSET|Equity|7135.2|301.11|DD| DuPont de Nemours, Inc.| 4.22%| North America|Equity|Materials|Materials|XLB|6|9.ASSET|Equity|7135.2|287.55|NUE| Nucor Corporation| 4.03%| North America|Equity|Materials|Materials|XLB|6|10.ASSET|Equity|7135.2|281.84|CTVA| Corteva Inc| 3.95%| North America|Equity|Materials|Materials|XLB|6|11.ASSET|Equity|7135.2|251.16|IFF| International Flavors & Fragrances Inc.| 3.52%| North America|Equity|Materials|Materials|XLB|6|12.ASSET|Equity|7135.2|230.47|PPG| PPG Industries, Inc.| 3.23%| North America|Equity|Materials|Materials|XLB|6|13.ASSET|Equity|7135.2|216.2|BLL| Ball Corporation| 3.03%| North America|Equity|Materials|Materials|XLB|6|14.ASSET|Equity|7135.2|189.08|LYB| LyondellBasell Industries NV| 2.65%| North America|Equity|Materials|Materials|XLB|6|15.ASSET|Equity|7135.2|177.67|VMC| Vulcan Materials Company| 2.49%| North America|Equity|Large Cap Growth Equities||VONG|6|1.ASSET|Equity|7377.8|917.06|AAPL| Apple Inc.| 12.43%| North America|Equity|Large Cap Growth Equities||VONG|6|2.ASSET|Equity|7377.8|796.8|MSFT| Microsoft Corporation| 10.80%| North America|Equity|Large Cap Growth Equities||VONG|6|3.ASSET|Equity|7377.8|441.19|AMZN| Amazon.com, Inc.| 5.98%| North America|Equity|Large Cap Growth Equities||VONG|6|4.ASSET|Equity|7377.8|257.49|TSLA| Tesla Inc| 3.49%| North America|Equity|Large Cap Growth Equities||VONG|6|5.ASSET|Equity|7377.8|251.58|FB| Meta Platforms Inc. Class A| 3.41%| North America|Equity|Large Cap Growth Equities||VONG|6|6.ASSET|Equity|7377.8|238.3|GOOGL| Alphabet Inc. Class A| 3.23%| North America|Equity|Large Cap Growth Equities||VONG|6|7.ASSET|Equity|7377.8|222.81|GOOG| Alphabet Inc. Class C| 3.02%| North America|Equity|Large Cap Growth Equities||VONG|6|8.ASSET|Equity|7377.8|199.2|NVDA| NVIDIA Corporation| 2.70%| North America|Equity|Large Cap Growth Equities||VONG|6|9.ASSET|Equity|7377.8|132.8|HD| Home Depot, Inc.| 1.80%| North America|Equity|Large Cap Growth Equities||VONG|6|10.ASSET|Equity|7377.8|129.85|V| Visa Inc. Class A| 1.76%| North America|Equity|Large Cap Growth Equities||VONG|6|11.ASSET|Equity|7377.8|115.09|MA| Mastercard Incorporated Class A| 1.56%| North America|Equity|Large Cap Growth Equities||VONG|6|12.ASSET|Equity|7377.8|87.06|ADBE| Adobe Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||VONG|6|13.ASSET|Equity|7377.8|81.89|ABBV| AbbVie, Inc.| 1.11%| North America|Equity|Large Cap Growth Equities||VONG|6|14.ASSET|Equity|7377.8|79.68|AVGO| Broadcom Inc.| 1.08%| North America|Equity|Large Cap Growth Equities||VONG|6|15.ASSET|Equity|7377.8|70.83|COST| Costco Wholesale Corporation| 0.96%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|1.ASSET|Preferred Stock|6745.5|186.85|N/A| EQUITY OTHER| 2.77%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|2.ASSET|Preferred Stock|6745.5|112.65|C.PRK| Citigroup Inc. Deposit Shs Repr 1/1000th Non-Cum Perp Pfd Shs Series K| 1.67%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|3.ASSET|Preferred Stock|6745.5|97.81|WFC.PRZ| Wells Fargo & Co Depositary Shs Repr 1/1000th 4.75% Non-Cum Red Perp Pfd Shs A Series Z| 1.45%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|4.ASSET|Preferred Stock|6745.5|96.46|JPM.PRM| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Perp Pfd Rg Shs Series -MM-| 1.43%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|5.ASSET|Preferred Stock|6745.5|95.11|JPM.PRL| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Perp Pfd Rg Shs Series -LL-| 1.41%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|6.ASSET|Preferred Stock|6745.5|88.37|WFC.PRQ| Wells Fargo & Company Deposit Shs Repr 1/1000th 5.85 % Non-Cum Perp Pfd Shs A Series Q| 1.31%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|7.ASSET|Preferred Stock|6745.5|88.37|JPM.PRD| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Pfd Registered Shs Series -DD-| 1.31%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|8.ASSET|Preferred Stock|6745.5|85.67|BAC.PRM| Bank of America Corp Depositary Shs Repr 1/1000th Perp Non-Cum Pfd Registered Shs Series -KK-| 1.27%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|9.ASSET|Preferred Stock|6745.5|81.62|T.PRC| AT&T Inc Depositary Shs Repr 1/1000th 4.75 % Red Perp Pfd Shs Series C| 1.21%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|10.ASSET|Preferred Stock|6745.5|78.92|JPM.PRC| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Perp Red Pfd Registered ShsSeries -EE-| 1.17%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|11.ASSET|Preferred Stock|6745.5|77.57|BAC.PRB| Bank of America Corp Deposit Shs Repr 1/1000th Non-Cum Red Perp Pfd Shs Series GG| 1.15%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|12.ASSET|Preferred Stock|6745.5|76.9|JPM.PRK| JPMorgan Chase & Co Depositary Shs Repr 1/400th 4.55% Non-Cum Red Perp Pfd Rg Shs Series JJ| 1.14%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|13.ASSET|Preferred Stock|6745.5|73.53|BAC.PRN| Bank of America Corp Depositary Shs Repr 1/1000th Perp Non-Cum Red Pfd Rg Shs Series -LL-| 1.09%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|14.ASSET|Preferred Stock|6745.5|72.85|COF.PRI| Capital One Financial Corporation Depositary Shs Repr 1/40th 5% Non-Cum Red Perp Pfd Registered Shs Ser I| 1.08%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGX|6|15.ASSET|Preferred Stock|6745.5|66.11|N/A| AT&T Inc 5.35 % Notes 2017-01.11.66 Global| 0.98%| North America|Equity|Large Cap Value Equities||HDV|6|1.ASSET|Equity|8528.1|857.93|XOM| Exxon Mobil Corporation| 10.06%| North America|Equity|Large Cap Value Equities||HDV|6|2.ASSET|Equity|8528.1|595.26|CVX| Chevron Corporation| 6.98%| North America|Equity|Large Cap Value Equities||HDV|6|3.ASSET|Equity|8528.1|511.69|VZ| Verizon Communications Inc.| 6.00%| North America|Equity|Large Cap Value Equities||HDV|6|4.ASSET|Equity|8528.1|505.72|ABBV| AbbVie, Inc.| 5.93%| North America|Equity|Large Cap Value Equities||HDV|6|5.ASSET|Equity|8528.1|505.72|JNJ| Johnson & Johnson| 5.93%| North America|Equity|Large Cap Value Equities||HDV|6|6.ASSET|Equity|8528.1|399.97|PM| Philip Morris International Inc.| 4.69%| North America|Equity|Large Cap Value Equities||HDV|6|7.ASSET|Equity|8528.1|386.32|PG| Procter & Gamble Company| 4.53%| North America|Equity|Large Cap Value Equities||HDV|6|8.ASSET|Equity|8528.1|353.92|PFE| Pfizer Inc.| 4.15%| North America|Equity|Large Cap Value Equities||HDV|6|9.ASSET|Equity|8528.1|334.3|KO| Coca-Cola Company| 3.92%| North America|Equity|Large Cap Value Equities||HDV|6|10.ASSET|Equity|8528.1|312.13|MRK| Merck & Co., Inc.| 3.66%| North America|Equity|Large Cap Value Equities||HDV|6|11.ASSET|Equity|8528.1|271.19|CSCO| Cisco Systems, Inc.| 3.18%| North America|Equity|Large Cap Value Equities||HDV|6|12.ASSET|Equity|8528.1|263.52|PEP| PepsiCo, Inc.| 3.09%| North America|Equity|Large Cap Value Equities||HDV|6|13.ASSET|Equity|8528.1|260.11|AVGO| Broadcom Inc.| 3.05%| North America|Equity|Large Cap Value Equities||HDV|6|14.ASSET|Equity|8528.1|235.38|BMY| Bristol-Myers Squibb Company| 2.76%| North America|Equity|Large Cap Value Equities||HDV|6|15.ASSET|Equity|8528.1|173.12|MCD| McDonald\'s Corporation| 2.03%| North America|Real Estate|Real Estate|Real Estate|IYR|6|1.ASSET|Real Estate|6008.8|457.87|PLD| Prologis, Inc.| 7.62%| North America|Real Estate|Real Estate|Real Estate|IYR|6|2.ASSET|Real Estate|6008.8|442.25|AMT| American Tower Corporation| 7.36%| North America|Real Estate|Real Estate|Real Estate|IYR|6|3.ASSET|Real Estate|6008.8|308.25|CCI| Crown Castle International Corp| 5.13%| North America|Real Estate|Real Estate|Real Estate|IYR|6|4.ASSET|Real Estate|6008.8|261.38|EQIX| Equinix, Inc.| 4.35%| North America|Real Estate|Real Estate|Real Estate|IYR|6|5.ASSET|Real Estate|6008.8|233.14|PSA| Public Storage| 3.88%| North America|Real Estate|Real Estate|Real Estate|IYR|6|6.ASSET|Real Estate|6008.8|188.68|SPG| Simon Property Group, Inc.| 3.14%| North America|Real Estate|Real Estate|Real Estate|IYR|6|7.ASSET|Real Estate|6008.8|162.24|DLR| Digital Realty Trust, Inc.| 2.70%| North America|Real Estate|Real Estate|Real Estate|IYR|6|8.ASSET|Real Estate|6008.8|158.63|O| Realty Income Corporation| 2.64%| North America|Real Estate|Real Estate|Real Estate|IYR|6|9.ASSET|Real Estate|6008.8|152.62|WELL| Welltower, Inc.| 2.54%| North America|Real Estate|Real Estate|Real Estate|IYR|6|10.ASSET|Real Estate|6008.8|146.61|SBAC| SBA Communications Corp. Class A| 2.44%| North America|Real Estate|Real Estate|Real Estate|IYR|6|11.ASSET|Real Estate|6008.8|139.4|AVB| AvalonBay Communities, Inc.| 2.32%| North America|Real Estate|Real Estate|Real Estate|IYR|6|12.ASSET|Real Estate|6008.8|136.4|CBRE| CBRE Group, Inc. Class A| 2.27%| North America|Real Estate|Real Estate|Real Estate|IYR|6|13.ASSET|Real Estate|6008.8|123.18|WY| Weyerhaeuser Company| 2.05%| North America|Real Estate|Real Estate|Real Estate|IYR|6|14.ASSET|Real Estate|6008.8|121.38|EQR| Equity Residential| 2.02%| North America|Real Estate|Real Estate|Real Estate|IYR|6|15.ASSET|Real Estate|6008.8|112.97|ARE| Alexandria Real Estate Equities, Inc.| 1.88%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|1.ASSET|Bond|5018.4|409|N/A| EQUITY OTHER| 8.15%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|2.ASSET|Bond|5018.4|141.52|N/A| FIXED INCOME (UNCLASSFIED)| 2.82%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|3.ASSET|Bond|5018.4|122.45|AVGOP| Broadcom Inc 8.00 % Cum Conv Pfd Registered Shs 2019-30.09.22 Series A| 2.44%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|4.ASSET|Bond|5018.4|95.35|WFC.PRL| Wells Fargo & Company 7.5 % Non Cum Perp Conv Pfd Registered Shs A Series L| 1.90%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|5.ASSET|Bond|5018.4|74.27|BAC.PRL| Bank of America Corp 7.25 % Non Cum Perp Conv Pfd Registered Shs Series L| 1.48%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|6.ASSET|Bond|5018.4|69.76|N/A| Palo Alto Networks, Inc. 0.375% 01-JUN-2025| 1.39%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|7.ASSET|Bond|5018.4|67.25|N/A| Palo Alto Networks, Inc. 0.75% 01-JUL-2023| 1.34%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|8.ASSET|Bond|5018.4|53.7|DHR.PRA| Danaher Corporation Cum Conv Red Pfd Registered Shs Series A| 1.07%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|9.ASSET|Bond|5018.4|53.2|N/A| Pioneer Natural Resources Company 0.25% 15-MAY-2025| 1.06%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|10.ASSET|Bond|5018.4|51.19|N/A| Ford Motor Company 0.0% 15-MAR-2026| 1.02%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|11.ASSET|Bond|5018.4|50.69|N/A| DISH Network Corporation 3.375% 15-AUG-2026| 1.01%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|12.ASSET|Bond|5018.4|49.68|N/A| Southwest Airlines Co. 1.25% 01-MAY-2025| 0.99%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|13.ASSET|Bond|5018.4|45.67|DHR.PRB| Danaher Corporation 5 % Cum Conv Pfd Registered Shs 2020-15.05.23 Class B| 0.91%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|14.ASSET|Bond|5018.4|45.17|NEE.PRP| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.03.25 + 1 PC 01.03.23| 0.90%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|CWB|6|15.ASSET|Bond|5018.4|41.65|N/A| Sea Ltd. (Singapore) 0.25% 15-SEP-2026| 0.83%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|1.ASSET|Equity|3918.2|356.56|EXAS| Exact Sciences Corporation| 9.10%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|2.ASSET|Equity|3918.2|308.75|TDOC| Teladoc Health, Inc.| 7.88%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|3.ASSET|Equity|3918.2|214.72|IONS| Ionis Pharmaceuticals, Inc.| 5.48%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|4.ASSET|Equity|3918.2|170.44|BEAM| Beam Therapeutics, Inc.| 4.35%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|5.ASSET|Equity|3918.2|168.09|NTLA| Intellia Therapeutics, Inc.| 4.29%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|6.ASSET|Equity|3918.2|163.39|FATE| Fate Therapeutics, Inc.| 4.17%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|7.ASSET|Equity|3918.2|155.55|PACB| Pacific Biosciences of California, Inc.| 3.97%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|8.ASSET|Equity|3918.2|142.23|VRTX| Vertex Pharmaceuticals Incorporated| 3.63%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|9.ASSET|Equity|3918.2|136.75|CDNA| CareDx, Inc.| 3.49%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|10.ASSET|Equity|3918.2|125.77|CRSP| CRISPR Therapeutics AG| 3.21%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|11.ASSET|Equity|3918.2|120.29|SGFY| Signify Health, Inc. Class A| 3.07%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|12.ASSET|Equity|3918.2|119.51|TWST| Twist Bioscience Corp.| 3.05%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|13.ASSET|Equity|3918.2|115.98|INCY| Incyte Corporation| 2.96%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|14.ASSET|Equity|3918.2|105.79|SDGR| Schrodinger, Inc.| 2.70%| North America|Equity|Health & Biotech Equities|Healthcare|ARKG|6|15.ASSET|Equity|3918.2|94.82|PATH| UiPath Inc Class A| 2.42%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|1.ASSET|Bond|9763.6|1336.64|N/A| Government of the United States of America 0.125% 15-APR-2025| 13.69%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|2.ASSET|Bond|9763.6|924.61|N/A| United States Treasury Notes 0.625% 15-APR-2023| 9.47%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|3.ASSET|Bond|9763.6|826|N/A| Government of the United States of America 0.125% 15-OCT-2024| 8.46%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|4.ASSET|Bond|9763.6|772.3|N/A| United States Treasury Notes 0.125% 15-JAN-2023| 7.91%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|5.ASSET|Bond|9763.6|703.96|N/A| Government of the United States of America 0.125% 15-APR-2026| 7.21%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|6.ASSET|Bond|9763.6|659.04|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 6.75%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|7.ASSET|Bond|9763.6|656.11|N/A| Government of the United States of America 0.125% 15-OCT-2026| 6.72%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|8.ASSET|Bond|9763.6|573.12|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 5.87%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|9.ASSET|Bond|9763.6|555.55|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 5.69%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|10.ASSET|Bond|9763.6|549.69|N/A| United States Treasury Notes 0.125% 15-JUL-2022| 5.63%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|11.ASSET|Bond|9763.6|486.23|N/A| TREASURY ISSUES (LONG-TERM)| 4.98%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|12.ASSET|Bond|9763.6|452.05|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 4.63%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|13.ASSET|Bond|9763.6|440.34|N/A| United States Treasury Notes 0.125% 15-APR-2022| 4.51%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|14.ASSET|Bond|9763.6|297.79|N/A| United States Treasury Notes 0.5% 15-APR-2024| 3.05%| North America|Bond|Inflation-Protected Bonds|TIPS|STIP|6|15.ASSET|Bond|9763.6|288.03|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 2.95%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|1.ASSET|Equity|7242.4|263.62|SHEL| Shell PLC| 3.64%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|2.ASSET|Equity|7242.4|125.29|7203| Toyota Motor Corp.| 1.73%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|3.ASSET|Equity|7242.4|122.4|005930| Samsung Electronics Co., Ltd.| 1.69%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|4.ASSET|Equity|7242.4|119.5|BP| BP p.l.c.| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|5.ASSET|Equity|7242.4|100.67|TTE| TotalEnergies SE| 1.39%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|6.ASSET|Equity|7242.4|83.29|NESN| Nestle S.A.| 1.15%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|7.ASSET|Equity|7242.4|70.25|HSBA| HSBC Holdings Plc| 0.97%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|8.ASSET|Equity|7242.4|67.35|GLEN| Glencore plc| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|9.ASSET|Equity|7242.4|63.73|BHP| BHP Group Ltd| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|10.ASSET|Equity|7242.4|62.28|7267| Honda Motor Co., Ltd.| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|11.ASSET|Equity|7242.4|56.49|ROG| Roche Holding Ltd| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|12.ASSET|Equity|7242.4|50.7|VOD| Vodafone Group Plc| 0.70%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|13.ASSET|Equity|7242.4|49.25|SAN| Banco Santander, S.A.| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|14.ASSET|Equity|7242.4|47.08|BATS| British American Tobacco p.l.c.| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||FNDF|6|15.ASSET|Equity|7242.4|47.08|ENI| Eni S.p.A.| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|1.ASSET|Equity|7201.5|164.91|NESN| Nestle S.A.| 2.29%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|2.ASSET|Equity|7201.5|138.99|ASML| ASML Holding NV| 1.93%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|3.ASSET|Equity|7201.5|115.94|ROG| Roche Holding Ltd| 1.61%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|4.ASSET|Equity|7201.5|89.3|AZN| AstraZeneca PLC| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|5.ASSET|Equity|7201.5|89.3|NOVO.B| Novo Nordisk A/S Class B| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|6.ASSET|Equity|7201.5|87.86|7203| Toyota Motor Corp.| 1.22%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|7.ASSET|Equity|7201.5|86.42|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.20%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|8.ASSET|Equity|7201.5|74.18|NOVN| Novartis AG| 1.03%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|9.ASSET|Equity|7201.5|69.13|6758| Sony Group Corporation| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|10.ASSET|Equity|7201.5|69.13|DGE| Diageo plc| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|11.ASSET|Equity|7201.5|67.69|SAP| SAP SE| 0.94%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|12.ASSET|Equity|7201.5|66.97|HSBA| HSBC Holdings Plc| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|13.ASSET|Equity|7201.5|65.53|1299| AIA Group Limited| 0.91%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|14.ASSET|Equity|7201.5|64.81|TTE| TotalEnergies SE| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||ESGD|6|15.ASSET|Equity|7201.5|62.65|BP| BP p.l.c.| 0.87%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|1.ASSET|Equity|6461.2|497.51|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.70%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|2.ASSET|Equity|6461.2|273.95|700| Tencent Holdings Ltd.| 4.24%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|3.ASSET|Equity|6461.2|261.03|005930| Samsung Electronics Co., Ltd.| 4.04%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|4.ASSET|Equity|6461.2|175.74|9988| Alibaba Group Holding Ltd.| 2.72%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|5.ASSET|Equity|6461.2|88.52|3690| Meituan Class B| 1.37%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|6.ASSET|Equity|6461.2|72.37|N/A| U.S. Dollar| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|7.ASSET|Equity|6461.2|71.07|500209| Infosys Limited| 1.10%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|8.ASSET|Equity|6461.2|69.13|939| China Construction Bank Corporation Class H| 1.07%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|9.ASSET|Equity|6461.2|69.13|2891| CTBC Financial Holding Company Ltd.| 1.07%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|10.ASSET|Equity|6461.2|64.61|2882| Cathay Financial Holdings Co., Ltd.| 1.00%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|11.ASSET|Equity|6461.2|64.61|500325| Reliance Industries Limited| 1.00%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|12.ASSET|Equity|6461.2|60.74|035420| NAVER Corp.| 0.94%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|13.ASSET|Equity|6461.2|57.5|500010| Housing Development Finance Corporation Limited| 0.89%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|14.ASSET|Equity|6461.2|57.5|532540| Tata Consultancy Services Limited| 0.89%| Emerging Markets|Equity|Emerging Markets Equities||ESGE|6|15.ASSET|Equity|6461.2|57.5|2010| Saudi Basic Industries Corp.| 0.89%| North America|Equity|All Cap Equities||MOAT|6|1.ASSET|Equity|7097.4|255.51|LNG| Cheniere Energy, Inc.| 3.60%| North America|Equity|All Cap Equities||MOAT|6|2.ASSET|Equity|7097.4|238.47|LMT| Lockheed Martin Corporation| 3.36%| North America|Equity|All Cap Equities||MOAT|6|3.ASSET|Equity|7097.4|210.08|BRK.B| Berkshire Hathaway Inc. Class B| 2.96%| North America|Equity|All Cap Equities||MOAT|6|4.ASSET|Equity|7097.4|209.37|BMY| Bristol-Myers Squibb Company| 2.95%| North America|Equity|All Cap Equities||MOAT|6|5.ASSET|Equity|7097.4|207.24|CTVA| Corteva Inc| 2.92%| North America|Equity|All Cap Equities||MOAT|6|6.ASSET|Equity|7097.4|205.82|MO| Altria Group Inc| 2.90%| North America|Equity|All Cap Equities||MOAT|6|7.ASSET|Equity|7097.4|199.44|WFC| Wells Fargo & Company| 2.81%| North America|Equity|All Cap Equities||MOAT|6|8.ASSET|Equity|7097.4|195.18|PM| Philip Morris International Inc.| 2.75%| North America|Equity|All Cap Equities||MOAT|6|9.ASSET|Equity|7097.4|195.18|D| Dominion Energy Inc| 2.75%| North America|Equity|All Cap Equities||MOAT|6|10.ASSET|Equity|7097.4|193.76|AZPN| Aspen Technology, Inc.| 2.73%| North America|Equity|All Cap Equities||MOAT|6|11.ASSET|Equity|7097.4|190.92|CPB| Campbell Soup Company| 2.69%| North America|Equity|All Cap Equities||MOAT|6|12.ASSET|Equity|7097.4|190.92|MRK| Merck & Co., Inc.| 2.69%| North America|Equity|All Cap Equities||MOAT|6|13.ASSET|Equity|7097.4|190.21|PII| Polaris Inc.| 2.68%| North America|Equity|All Cap Equities||MOAT|6|14.ASSET|Equity|7097.4|185.95|CMP| Compass Minerals International, Inc.| 2.62%| North America|Equity|All Cap Equities||MOAT|6|15.ASSET|Equity|7097.4|185.24|K| Kellogg Company| 2.61%| North America|Equity|Large Cap Growth Equities||VOOG|6|1.ASSET|Equity|7295.8|1020.68|AAPL| Apple Inc.| 13.99%| North America|Equity|Large Cap Growth Equities||VOOG|6|2.ASSET|Equity|7295.8|874.77|MSFT| Microsoft Corporation| 11.99%| North America|Equity|Large Cap Growth Equities||VOOG|6|3.ASSET|Equity|7295.8|488.82|AMZN| Amazon.com, Inc.| 6.70%| North America|Equity|Large Cap Growth Equities||VOOG|6|4.ASSET|Equity|7295.8|304.23|GOOGL| Alphabet Inc. Class A| 4.17%| North America|Equity|Large Cap Growth Equities||VOOG|6|5.ASSET|Equity|7295.8|285.27|TSLA| Tesla Inc| 3.91%| North America|Equity|Large Cap Growth Equities||VOOG|6|6.ASSET|Equity|7295.8|285.27|GOOG| Alphabet Inc. Class C| 3.91%| North America|Equity|Large Cap Growth Equities||VOOG|6|7.ASSET|Equity|7295.8|277.97|FB| Meta Platforms Inc. Class A| 3.81%| North America|Equity|Large Cap Growth Equities||VOOG|6|8.ASSET|Equity|7295.8|229.09|NVDA| NVIDIA Corporation| 3.14%| North America|Equity|Large Cap Growth Equities||VOOG|6|9.ASSET|Equity|7295.8|110.17|HD| Home Depot, Inc.| 1.51%| North America|Equity|Large Cap Growth Equities||VOOG|6|10.ASSET|Equity|7295.8|94.85|ADBE| Adobe Inc.| 1.30%| North America|Equity|Large Cap Growth Equities||VOOG|6|11.ASSET|Equity|7295.8|86.09|TMO| Thermo Fisher Scientific Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||VOOG|6|12.ASSET|Equity|7295.8|75.15|JPM| JPMorgan Chase & Co.| 1.03%| North America|Equity|Large Cap Growth Equities||VOOG|6|13.ASSET|Equity|7295.8|73.69|QCOM| Qualcomm Inc| 1.01%| North America|Equity|Large Cap Growth Equities||VOOG|6|14.ASSET|Equity|7295.8|72.96|LLY| Eli Lilly and Company| 1.00%| North America|Equity|Large Cap Growth Equities||VOOG|6|15.ASSET|Equity|7295.8|70.77|NFLX| Netflix, Inc.| 0.97%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|1.ASSET|Equity|6961.5|1482.1|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 21.29%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|2.ASSET|Equity|6961.5|361.3|2454| MediaTek Inc| 5.19%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|3.ASSET|Equity|6961.5|282.64|2317| Hon Hai Precision Industry Co., Ltd.| 4.06%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|4.ASSET|Equity|6961.5|148.98|2303| United Microelectronics Corp.| 2.14%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|5.ASSET|Equity|6961.5|139.23|2881| Fubon Financial Holding Co., Ltd.| 2.00%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|6.ASSET|Equity|6961.5|123.91|2882| Cathay Financial Holdings Co., Ltd.| 1.78%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|7.ASSET|Equity|6961.5|120.43|2308| Delta Electronics, Inc.| 1.73%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|8.ASSET|Equity|6961.5|120.43|2891| CTBC Financial Holding Company Ltd.| 1.73%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|9.ASSET|Equity|6961.5|113.47|2002| China Steel Corporation| 1.63%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|10.ASSET|Equity|6961.5|111.38|1303| Nan Ya Plastics Corporation| 1.60%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|11.ASSET|Equity|6961.5|108.6|2412| Chunghwa Telecom Co., Ltd| 1.56%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|12.ASSET|Equity|6961.5|105.12|2603| Evergreen Marine Corp. (Taiwan) Ltd.| 1.51%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|13.ASSET|Equity|6961.5|104.42|1301| Formosa Plastics Corporation| 1.50%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|14.ASSET|Equity|6961.5|103.03|2886| Mega Financial Holding Co., Ltd.| 1.48%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWT|6|15.ASSET|Equity|6961.5|101.64|3037| Unimicron Technology Corp.| 1.46%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|1.ASSET|Bond|8830.3|386.77|N/A| MUTUAL FUND (OTHER)| 4.38%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|2.ASSET|Bond|8830.3|83|N/A| Goldman Sachs Group, Inc. FRN 23-FEB-2023| 0.94%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|3.ASSET|Bond|8830.3|74.17|N/A| Morgan Stanley FRN 24-OCT-2023| 0.84%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|4.ASSET|Bond|8830.3|71.53|N/A| Inter-American Development Bank FRN 10-FEB-2026| 0.81%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|5.ASSET|Bond|8830.3|66.23|N/A| JPMorgan Chase & Co. FRN 24-OCT-2023| 0.75%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|6.ASSET|Bond|8830.3|66.23|N/A| International Bank for Reconstruction & Development FRN 13-JAN-2023| 0.75%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|7.ASSET|Bond|8830.3|61.81|N/A| HSBC Holdings Plc FRN 18-MAY-2024| 0.70%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|8.ASSET|Bond|8830.3|59.16|N/A| World Bank Group FRN 18-SEP-2025| 0.67%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|9.ASSET|Bond|8830.3|58.28|N/A| Wells Fargo & Company FRN 31-OCT-2023| 0.66%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|10.ASSET|Bond|8830.3|58.28|N/A| Mitsubishi UFJ Financial Group, Inc. FRN 26-JUL-2023| 0.66%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|11.ASSET|Bond|8830.3|57.4|N/A| Goldman Sachs Group, Inc. FRN 29-NOV-2023| 0.65%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|12.ASSET|Bond|8830.3|56.51|N/A| European Bank for Reconstruction & Development FRN 15-OCT-2024| 0.64%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|13.ASSET|Bond|8830.3|55.63|N/A| Morgan Stanley FRN 08-MAY-2024| 0.63%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|14.ASSET|Bond|8830.3|54.75|N/A| Citigroup Inc. FRN 01-SEP-2023| 0.62%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLOT|6|15.ASSET|Bond|8830.3|53.86|N/A| European Investment Bank FRN 21-JAN-2026| 0.61%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|1.ASSET|Equity|5905.5|1239.56|AMZN| Amazon.com, Inc.| 20.99%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|2.ASSET|Equity|5905.5|802.56|TSLA| Tesla Inc| 13.59%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|3.ASSET|Equity|5905.5|416.34|HD| Home Depot, Inc.| 7.05%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|4.ASSET|Equity|5905.5|212.01|MCD| McDonald\'s Corporation| 3.59%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|5.ASSET|Equity|5905.5|203.74|NKE| NIKE, Inc. Class B| 3.45%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|6.ASSET|Equity|5905.5|180.12|LOW| Lowe\'s Companies, Inc.| 3.05%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|7.ASSET|Equity|5905.5|127.56|SBUX| Starbucks Corporation| 2.16%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|8.ASSET|Equity|5905.5|119.29|TGT| Target Corporation| 2.02%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|9.ASSET|Equity|5905.5|111.61|BKNG| Booking Holdings Inc.| 1.89%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|10.ASSET|Equity|5905.5|96.26|TJX| TJX Companies Inc| 1.63%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|11.ASSET|Equity|5905.5|89.17|F| Ford Motor Company| 1.51%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|12.ASSET|Equity|5905.5|76.18|GM| General Motors Company| 1.29%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|13.ASSET|Equity|5905.5|56.1|MELI| MercadoLibre, Inc.| 0.95%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|14.ASSET|Equity|5905.5|54.92|DG| Dollar General Corporation| 0.93%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCR|6|15.ASSET|Equity|5905.5|51.38|ORLY| O\'Reilly Automotive, Inc.| 0.87%| |Commodity|Commodities||PDBC|6|1.ASSET|Commodity|7630.8|5342.32|N/A| MUTUAL FUND (OTHER)| 70.01%| |Commodity|Commodities||PDBC|6|2.ASSET|Commodity|7630.8|837.1|X7NX36.F| Invesco Liquidity Funds PLC - Invesco US Dollar Liquidity Portfolio Institutional Class - USD| 10.97%| |Commodity|Commodities||PDBC|6|3.ASSET|Commodity|7630.8|320.49|N/A| United States Treasury Bills 0.0% 18-AUG-2022| 4.20%| |Commodity|Commodities||PDBC|6|4.ASSET|Commodity|7630.8|267.84|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.51%| |Commodity|Commodities||PDBC|6|5.ASSET|Commodity|7630.8|267.84|N/A| United States Treasury Bills 0.0% 28-APR-2022| 3.51%| |Commodity|Commodities||PDBC|6|6.ASSET|Commodity|7630.8|267.08|N/A| TREASURY ISSUES (LONG-TERM)| 3.50%| |Commodity|Commodities||PDBC|6|7.ASSET|Commodity|7630.8|111.41|N/A| United States Treasury Bills 0.0% 21-APR-2022| 1.46%| |Commodity|Commodities||PDBC|6|8.ASSET|Commodity|7630.8|111.41|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 1.46%| |Commodity|Commodities||PDBC|6|9.ASSET|Commodity|7630.8|106.83|N/A| U.S. Dollar| 1.40%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|1.ASSET|Bond|5387.6|369.05|AGPXX| Short Term Investments Trust Government & Agency Portfolio Institutional| 6.85%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|2.ASSET|Bond|5387.6|327.57|N/A| CORPORATE BOND| 6.08%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|3.ASSET|Bond|5387.6|302.24|N/A| FIXED INCOME (UNCLASSFIED)| 5.61%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|4.ASSET|Bond|5387.6|96.44|N/A| Peraton Inc Term Loan B 01-Feb-2028| 1.79%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|5.ASSET|Bond|5387.6|91.05|N/A| Charter Communications Holdings Llc Term Loan B-2 01-Feb-2027| 1.69%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|6.ASSET|Bond|5387.6|88.36|N/A| Mozart Borrower Lp Term Loan B 15-Sep-2028| 1.64%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|7.ASSET|Bond|5387.6|78.66|N/A| Lumen Technologies Inc /La/ Term Loan B 15-Mar-2027| 1.46%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|8.ASSET|Bond|5387.6|75.43|N/A| United Airlines Inc Term Loan B 21-Apr-2028| 1.40%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|9.ASSET|Bond|5387.6|73.27|N/A| Great Outdoors Group Llc /Mo/ Term Loan B 05-Mar-2028| 1.36%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|10.ASSET|Bond|5387.6|70.58|N/A| Caesars Resort Collection Llc Term Loan B 22-Dec-2024| 1.31%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|11.ASSET|Bond|5387.6|68.96|N/A| Allied Universal Holdco Llc Term Loan B 12-May-2028| 1.28%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|12.ASSET|Bond|5387.6|67.88|N/A| Gainwell Acquisition Corp Term Loan B 01-Oct-2027| 1.26%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|13.ASSET|Bond|5387.6|65.73|N/A| 1011778 Bc Ulc Term Loan B-4 19-Nov-2026| 1.22%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|14.ASSET|Bond|5387.6|65.19|N/A| Elanco Animal Health Inc Term Loan 01-Aug-2027| 1.21%| Developed Markets|Bond|High Yield Bonds|Bank Loans|BKLN|6|15.ASSET|Bond|5387.6|64.65|N/A| Zayo Group Holdings Inc Term Loan B 09-Mar-2027| 1.20%| North America|Equity|Technology Equities|Technology|SKYY|6|1.ASSET|Equity|5229.1|225.37|VMW| VMware, Inc. Class A| 4.31%| North America|Equity|Technology Equities|Technology|SKYY|6|2.ASSET|Equity|5229.1|218.05|ANET| Arista Networks, Inc.| 4.17%| North America|Equity|Technology Equities|Technology|SKYY|6|3.ASSET|Equity|5229.1|208.64|GOOGL| Alphabet Inc. Class A| 3.99%| North America|Equity|Technology Equities|Technology|SKYY|6|4.ASSET|Equity|5229.1|199.75|MSFT| Microsoft Corporation| 3.82%| North America|Equity|Technology Equities|Technology|SKYY|6|5.ASSET|Equity|5229.1|190.34|AMZN| Amazon.com, Inc.| 3.64%| North America|Equity|Technology Equities|Technology|SKYY|6|6.ASSET|Equity|5229.1|189.82|ORCL| Oracle Corporation| 3.63%| North America|Equity|Technology Equities|Technology|SKYY|6|7.ASSET|Equity|5229.1|188.25|PSTG| Pure Storage, Inc. Class A| 3.60%| North America|Equity|Technology Equities|Technology|SKYY|6|8.ASSET|Equity|5229.1|186.16|CTXS| Citrix Systems, Inc.| 3.56%| North America|Equity|Technology Equities|Technology|SKYY|6|9.ASSET|Equity|5229.1|181.45|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 3.47%| North America|Equity|Technology Equities|Technology|SKYY|6|10.ASSET|Equity|5229.1|161.06|RXT| Rackspace Technology, Inc.| 3.08%| North America|Equity|Technology Equities|Technology|SKYY|6|11.ASSET|Equity|5229.1|153.21|LUMN| Lumen Technologies, Inc.| 2.93%| North America|Equity|Technology Equities|Technology|SKYY|6|12.ASSET|Equity|5229.1|150.08|CSCO| Cisco Systems, Inc.| 2.87%| North America|Equity|Technology Equities|Technology|SKYY|6|13.ASSET|Equity|5229.1|143.8|AKAM| Akamai Technologies, Inc.| 2.75%| North America|Equity|Technology Equities|Technology|SKYY|6|14.ASSET|Equity|5229.1|140.14|MDB| MongoDB, Inc. Class A| 2.68%| North America|Equity|Technology Equities|Technology|SKYY|6|15.ASSET|Equity|5229.1|138.05|DOCN| DigitalOcean Holdings, Inc.| 2.64%| North America|Bond|High Yield Bonds|Junk|HYLB|6|1.ASSET|Bond|4747.9|46.53|N/A| U.S. Dollar| 0.98%| North America|Bond|High Yield Bonds|Junk|HYLB|6|2.ASSET|Bond|4747.9|19.47|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.41%| North America|Bond|High Yield Bonds|Junk|HYLB|6|3.ASSET|Bond|4747.9|19.47|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.41%| North America|Bond|High Yield Bonds|Junk|HYLB|6|4.ASSET|Bond|4747.9|18.04|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.38%| North America|Bond|High Yield Bonds|Junk|HYLB|6|5.ASSET|Bond|4747.9|15.67|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.33%| North America|Bond|High Yield Bonds|Junk|HYLB|6|6.ASSET|Bond|4747.9|15.19|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.32%| North America|Bond|High Yield Bonds|Junk|HYLB|6|7.ASSET|Bond|4747.9|14.72|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.31%| North America|Bond|High Yield Bonds|Junk|HYLB|6|8.ASSET|Bond|4747.9|14.72|N/A| Carnival Corporation 5.75% 01-MAR-2027| 0.31%| North America|Bond|High Yield Bonds|Junk|HYLB|6|9.ASSET|Bond|4747.9|14.24|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.30%| North America|Bond|High Yield Bonds|Junk|HYLB|6|10.ASSET|Bond|4747.9|13.29|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.28%| North America|Bond|High Yield Bonds|Junk|HYLB|6|11.ASSET|Bond|4747.9|12.82|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 0.27%| North America|Bond|High Yield Bonds|Junk|HYLB|6|12.ASSET|Bond|4747.9|12.82|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.27%| North America|Bond|High Yield Bonds|Junk|HYLB|6|13.ASSET|Bond|4747.9|12.34|N/A| Sprint Corp. 7.125% 15-JUN-2024| 0.26%| North America|Bond|High Yield Bonds|Junk|HYLB|6|14.ASSET|Bond|4747.9|11.87|N/A| CORPORATE BOND| 0.25%| North America|Bond|High Yield Bonds|Junk|HYLB|6|15.ASSET|Bond|4747.9|11.87|N/A| HCA, Inc. 5.375% 01-FEB-2025| 0.25%| North America|Equity|Large Cap Blend Equities||VONV|6|1.ASSET|Equity|7279.2|201.63|BRK.B| Berkshire Hathaway Inc. Class B| 2.77%| North America|Equity|Large Cap Blend Equities||VONV|6|2.ASSET|Equity|7279.2|159.41|JNJ| Johnson & Johnson| 2.19%| North America|Equity|Large Cap Blend Equities||VONV|6|3.ASSET|Equity|7279.2|152.86|JPM| JPMorgan Chase & Co.| 2.10%| North America|Equity|Large Cap Blend Equities||VONV|6|4.ASSET|Equity|7279.2|144.86|UNH| UnitedHealth Group Incorporated| 1.99%| North America|Equity|Large Cap Blend Equities||VONV|6|5.ASSET|Equity|7279.2|135.39|PG| Procter & Gamble Company| 1.86%| North America|Equity|Large Cap Blend Equities||VONV|6|6.ASSET|Equity|7279.2|116.47|BAC| Bank of America Corp| 1.60%| North America|Equity|Large Cap Blend Equities||VONV|6|7.ASSET|Equity|7279.2|112.83|XOM| Exxon Mobil Corporation| 1.55%| North America|Equity|Large Cap Blend Equities||VONV|6|8.ASSET|Equity|7279.2|103.36|PFE| Pfizer Inc.| 1.42%| North America|Equity|Large Cap Blend Equities||VONV|6|9.ASSET|Equity|7279.2|88.81|CVX| Chevron Corporation| 1.22%| North America|Equity|Large Cap Blend Equities||VONV|6|10.ASSET|Equity|7279.2|86.62|DIS| Walt Disney Company| 1.19%| North America|Equity|Large Cap Blend Equities||VONV|6|11.ASSET|Equity|7279.2|82.25|CSCO| Cisco Systems, Inc.| 1.13%| North America|Equity|Large Cap Blend Equities||VONV|6|12.ASSET|Equity|7279.2|80.07|CMCSA| Comcast Corporation Class A| 1.10%| North America|Equity|Large Cap Blend Equities||VONV|6|13.ASSET|Equity|7279.2|77.16|VZ| Verizon Communications Inc.| 1.06%| North America|Equity|Large Cap Blend Equities||VONV|6|14.ASSET|Equity|7279.2|75.7|WFC| Wells Fargo & Company| 1.04%| North America|Equity|Large Cap Blend Equities||VONV|6|15.ASSET|Equity|7279.2|72.79|TMO| Thermo Fisher Scientific Inc.| 1.00%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|1.ASSET|Bond|5812.1|518.44|N/A| U.S. Dollar| 8.92%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|2.ASSET|Bond|5812.1|395.22|MSUXX| Morgan Stanley Institutional Liquidity Funds Treasury Securities Portfolio Institutional| 6.80%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|3.ASSET|Bond|5812.1|276.07|N/A| TREASURY ISSUES (LONG-TERM)| 4.75%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|4.ASSET|Bond|5812.1|223.77|N/A| UMBS TBA 30yr 3.5% May Delivery 3.500% 01-DEC-2051| 3.85%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|5.ASSET|Bond|5812.1|211.56|N/A| UMBS TBA 30yr 3% April Delivery 3.000% 01-OCT-2048| 3.64%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|6.ASSET|Bond|5812.1|144.72|N/A| UMBS TBA 30yr 3% May Delivery 3.000% 01-OCT-2048| 2.49%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|7.ASSET|Bond|5812.1|109.27|N/A| UMBS TBA 30yr 3.5% April Delivery 3.500% 01-DEC-2051| 1.88%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|8.ASSET|Bond|5812.1|90.67|N/A| FNMA 30yr Pool#CB0860 3.000% 01-Jun-2051 3.0% 01-JUN-2051| 1.56%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|9.ASSET|Bond|5812.1|90.09|N/A| FHLMC 15yr Pool#SB0380 3.500% 01-Feb-2034 3.5% 01-FEB-2034| 1.55%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|10.ASSET|Bond|5812.1|82.53|N/A| FNMA 30yr Pool#FM7827 3.000% 01-Dec-2050 3.0% 01-DEC-2050| 1.42%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|11.ASSET|Bond|5812.1|79.63|N/A| FNMA 15yr Pool#FM2500 2.500% 01-Mar-2035 2.5% 01-MAR-2035| 1.37%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|12.ASSET|Bond|5812.1|73.23|N/A| ASSET-BACKED SECURITIES| 1.26%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|13.ASSET|Bond|5812.1|67.42|N/A| FNMA 20yr Pool#FM1194 4.500% 01-May-2039 4.5% 01-MAY-2039| 1.16%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|14.ASSET|Bond|5812.1|54.63|N/A| FNMA 30yr Pool#CA7038 2.500% 01-Sep-2050 2.5% 01-SEP-2050| 0.94%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LMBS|6|15.ASSET|Bond|5812.1|54.63|N/A| FHLMC 30yr Pool#SD8044 3.000% 01-Feb-2050 3.0% 01-FEB-2050| 0.94%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|1.ASSET|Equity|6706.5|123.4|ARNA| Arena Pharmaceuticals, Inc.| 1.84%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|2.ASSET|Equity|6706.5|93.89|BCRX| BioCryst Pharmaceuticals, Inc.| 1.40%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|3.ASSET|Equity|6706.5|81.82|EXEL| Exelixis, Inc.| 1.22%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|4.ASSET|Equity|6706.5|76.45|ABBV| AbbVie, Inc.| 1.14%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|5.ASSET|Equity|6706.5|75.11|IONS| Ionis Pharmaceuticals, Inc.| 1.12%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|6.ASSET|Equity|6706.5|75.11|NBIX| Neurocrine Biosciences, Inc.| 1.12%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|7.ASSET|Equity|6706.5|74.44|BHVN| Biohaven Pharmaceutical Holding Company Ltd.| 1.11%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|8.ASSET|Equity|6706.5|73.1|ACAD| ACADIA Pharmaceuticals Inc.| 1.09%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|9.ASSET|Equity|6706.5|72.43|VRTX| Vertex Pharmaceuticals Incorporated| 1.08%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|10.ASSET|Equity|6706.5|71.76|ISEE| IVERIC bio, Inc.| 1.07%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|11.ASSET|Equity|6706.5|71.76|ALKS| Alkermes Plc| 1.07%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|12.ASSET|Equity|6706.5|71.09|AGIO| Agios Pharmaceuticals, Inc.| 1.06%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|13.ASSET|Equity|6706.5|70.42|GBT| Global Blood Therapeutics Inc| 1.05%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|14.ASSET|Equity|6706.5|69.75|APLS| Apellis Pharmaceuticals, Inc.| 1.04%| North America|Equity|Health & Biotech Equities|Healthcare|XBI|6|15.ASSET|Equity|6706.5|69.75|AMGN| Amgen Inc.| 1.04%| North America|Equity|Small Cap Growth Equities||VTWO|6|1.ASSET|Equity|6862.7|112.55|N/A| U.S. Dollar| 1.64%| North America|Equity|Small Cap Growth Equities||VTWO|6|2.ASSET|Equity|6862.7|25.39|OVV| Ovintiv Inc| 0.37%| North America|Equity|Small Cap Growth Equities||VTWO|6|3.ASSET|Equity|6862.7|21.96|N/A| Vanguard Cash Management Market Liquidity Fund| 0.32%| North America|Equity|Small Cap Growth Equities||VTWO|6|4.ASSET|Equity|6862.7|21.27|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.31%| North America|Equity|Small Cap Growth Equities||VTWO|6|5.ASSET|Equity|6862.7|20.59|AMC| AMC Entertainment Holdings, Inc. Class A| 0.30%| North America|Equity|Small Cap Growth Equities||VTWO|6|6.ASSET|Equity|6862.7|20.59|EGP| EastGroup Properties, Inc.| 0.30%| North America|Equity|Small Cap Growth Equities||VTWO|6|7.ASSET|Equity|6862.7|20.59|SYNA| Synaptics Incorporated| 0.30%| North America|Equity|Small Cap Growth Equities||VTWO|6|8.ASSET|Equity|6862.7|19.9|M| Macy\'s Inc| 0.29%| North America|Equity|Small Cap Growth Equities||VTWO|6|9.ASSET|Equity|6862.7|19.9|THC| Tenet Healthcare Corporation| 0.29%| North America|Equity|Small Cap Growth Equities||VTWO|6|10.ASSET|Equity|6862.7|19.9|WSC| WillScot Mobile Mini Holdings Corp. Class A| 0.29%| North America|Equity|Small Cap Growth Equities||VTWO|6|11.ASSET|Equity|6862.7|19.22|STAG| STAG Industrial, Inc.| 0.28%| North America|Equity|Small Cap Growth Equities||VTWO|6|12.ASSET|Equity|6862.7|19.22|SAIA| Saia, Inc.| 0.28%| North America|Equity|Small Cap Growth Equities||VTWO|6|13.ASSET|Equity|6862.7|18.53|LSCC| Lattice Semiconductor Corporation| 0.27%| North America|Equity|Small Cap Growth Equities||VTWO|6|14.ASSET|Equity|6862.7|18.53|BHVN| Biohaven Pharmaceutical Holding Company Ltd.| 0.27%| North America|Equity|Small Cap Growth Equities||VTWO|6|15.ASSET|Equity|6862.7|18.53|TTEK| Tetra Tech, Inc.| 0.27%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|1.ASSET|Bond|6542.6|79.82|N/A| MUTUAL FUND (OTHER)| 1.22%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|2.ASSET|Bond|6542.6|43.84|N/A| CORPORATE BOND| 0.67%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|3.ASSET|Bond|6542.6|6.54|N/A| Microsoft Corporation 2.921% 17-MAR-2052| 0.10%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|4.ASSET|Bond|6542.6|5.89|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 0.09%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|5.ASSET|Bond|6542.6|5.89|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 0.09%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|6.ASSET|Bond|6542.6|5.89|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 0.09%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|7.ASSET|Bond|6542.6|5.89|N/A| Wells Fargo & Company 5.013% 04-APR-2051| 0.09%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|8.ASSET|Bond|6542.6|5.89|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 0.09%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|9.ASSET|Bond|6542.6|5.89|N/A| Anheuser-Busch Cos. LLC 4.9% 01-FEB-2046| 0.09%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|10.ASSET|Bond|6542.6|5.23|N/A| AbbVie Inc. 4.25% 21-NOV-2049| 0.08%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|11.ASSET|Bond|6542.6|5.23|N/A| AT&T Inc. 3.5% 15-SEP-2053| 0.08%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|12.ASSET|Bond|6542.6|5.23|N/A| Boeing Company 5.805% 01-MAY-2050| 0.08%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|13.ASSET|Bond|6542.6|5.23|N/A| AT&T Inc. 3.55% 15-SEP-2055| 0.08%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|14.ASSET|Bond|6542.6|4.58|N/A| AT&T Inc. 3.8% 01-DEC-2057| 0.07%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|USIG|6|15.ASSET|Bond|6542.6|4.58|N/A| Microsoft Corporation 2.525% 01-JUN-2050| 0.07%| North America|Equity|Large Cap Growth Equities||DGRW|6|1.ASSET|Equity|6814.6|346.18|AAPL| Apple Inc.| 5.08%| North America|Equity|Large Cap Growth Equities||DGRW|6|2.ASSET|Equity|6814.6|321.65|JNJ| Johnson & Johnson| 4.72%| North America|Equity|Large Cap Growth Equities||DGRW|6|3.ASSET|Equity|6814.6|316.88|MSFT| Microsoft Corporation| 4.65%| North America|Equity|Large Cap Growth Equities||DGRW|6|4.ASSET|Equity|6814.6|247.37|PM| Philip Morris International Inc.| 3.63%| North America|Equity|Large Cap Growth Equities||DGRW|6|5.ASSET|Equity|6814.6|242.6|PG| Procter & Gamble Company| 3.56%| North America|Equity|Large Cap Growth Equities||DGRW|6|6.ASSET|Equity|6814.6|235.1|KO| Coca-Cola Company| 3.45%| North America|Equity|Large Cap Growth Equities||DGRW|6|7.ASSET|Equity|6814.6|218.75|MO| Altria Group Inc| 3.21%| North America|Equity|Large Cap Growth Equities||DGRW|6|8.ASSET|Equity|6814.6|208.53|MRK| Merck & Co., Inc.| 3.06%| North America|Equity|Large Cap Growth Equities||DGRW|6|9.ASSET|Equity|6814.6|171.05|CSCO| Cisco Systems, Inc.| 2.51%| North America|Equity|Large Cap Growth Equities||DGRW|6|10.ASSET|Equity|6814.6|166.28|PEP| PepsiCo, Inc.| 2.44%| North America|Equity|Large Cap Growth Equities||DGRW|6|11.ASSET|Equity|6814.6|162.19|UNH| UnitedHealth Group Incorporated| 2.38%| North America|Equity|Large Cap Growth Equities||DGRW|6|12.ASSET|Equity|6814.6|150.6|HD| Home Depot, Inc.| 2.21%| North America|Equity|Large Cap Growth Equities||DGRW|6|13.ASSET|Equity|6814.6|121.3|AMGN| Amgen Inc.| 1.78%| North America|Equity|Large Cap Growth Equities||DGRW|6|14.ASSET|Equity|6814.6|118.57|LMT| Lockheed Martin Corporation| 1.74%| North America|Equity|Large Cap Growth Equities||DGRW|6|15.ASSET|Equity|6814.6|116.53|CMCSA| Comcast Corporation Class A| 1.71%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|1.ASSET|Real Estate|6763.9|513.38|PLD| Prologis, Inc.| 7.59%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|2.ASSET|Real Estate|6763.9|495.79|AMT| American Tower Corporation| 7.33%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|3.ASSET|Real Estate|6763.9|345.64|CCI| Crown Castle International Corp| 5.11%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|4.ASSET|Real Estate|6763.9|291.52|EQIX| Equinix, Inc.| 4.31%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|5.ASSET|Real Estate|6763.9|261.76|PSA| Public Storage| 3.87%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|6.ASSET|Real Estate|6763.9|211.03|SPG| Simon Property Group, Inc.| 3.12%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|7.ASSET|Real Estate|6763.9|181.95|DLR| Digital Realty Trust, Inc.| 2.69%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|8.ASSET|Real Estate|6763.9|177.89|O| Realty Income Corporation| 2.63%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|9.ASSET|Real Estate|6763.9|171.13|WELL| Welltower, Inc.| 2.53%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|10.ASSET|Real Estate|6763.9|164.36|SBAC| SBA Communications Corp. Class A| 2.43%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|11.ASSET|Real Estate|6763.9|156.25|AVB| AvalonBay Communities, Inc.| 2.31%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|12.ASSET|Real Estate|6763.9|137.98|WY| Weyerhaeuser Company| 2.04%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|13.ASSET|Real Estate|6763.9|136.63|EQR| Equity Residential| 2.02%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|14.ASSET|Real Estate|6763.9|126.48|ARE| Alexandria Real Estate Equities, Inc.| 1.87%| North America|Real Estate|Real Estate|Real Estate|SCHH|6|15.ASSET|Real Estate|6763.9|122.43|EXR| Extra Space Storage Inc.| 1.81%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|1.ASSET|Equity|6388.4|844.55|700| Tencent Holdings Ltd.| 13.22%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|2.ASSET|Equity|6388.4|541.74|9988| Alibaba Group Holding Ltd.| 8.48%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|3.ASSET|Equity|6388.4|238.29|3690| Meituan Class B| 3.73%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|4.ASSET|Equity|6388.4|196.76|9618| JD.com, Inc. Class A| 3.08%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|5.ASSET|Equity|6388.4|189.74|939| China Construction Bank Corporation Class H| 2.97%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|6.ASSET|Equity|6388.4|129.68|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 2.03%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|7.ASSET|Equity|6388.4|121.38|BIDU| Baidu Inc Sponsored ADR Class A| 1.90%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|8.ASSET|Equity|6388.4|102.21|9999| NetEase, Inc| 1.60%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|9.ASSET|Equity|6388.4|88.16|1398| Industrial and Commercial Bank of China Limited Class H| 1.38%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|10.ASSET|Equity|6388.4|85.6|3968| China Merchants Bank Co., Ltd. Class H| 1.34%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|11.ASSET|Equity|6388.4|80.49|3988| Bank of China Limited Class H| 1.26%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|12.ASSET|Equity|6388.4|80.49|2269| Wuxi Biologics (Cayman) Inc.| 1.26%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|13.ASSET|Equity|6388.4|77.3|NIO| NIO Inc. Sponsored ADR Class A| 1.21%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|14.ASSET|Equity|6388.4|70.91|1810| Xiaomi Corp. Class B| 1.11%| Emerging Asia Pacific|Equity|China Equities||MCHI|6|15.ASSET|Equity|6388.4|65.8|1211| BYD Company Limited Class H| 1.03%| North America|Equity|Technology Equities|Technology|FTEC|6|1.ASSET|Equity|6421.4|1433.9|AAPL| Apple Inc.| 22.33%| North America|Equity|Technology Equities|Technology|FTEC|6|2.ASSET|Equity|6421.4|1139.16|MSFT| Microsoft Corporation| 17.74%| North America|Equity|Technology Equities|Technology|FTEC|6|3.ASSET|Equity|6421.4|318.5|NVDA| NVIDIA Corporation| 4.96%| North America|Equity|Technology Equities|Technology|FTEC|6|4.ASSET|Equity|6421.4|187.5|V| Visa Inc. Class A| 2.92%| North America|Equity|Technology Equities|Technology|FTEC|6|5.ASSET|Equity|6421.4|161.82|MA| Mastercard Incorporated Class A| 2.52%| North America|Equity|Technology Equities|Technology|FTEC|6|6.ASSET|Equity|6421.4|129.07|AVGO| Broadcom Inc.| 2.01%| North America|Equity|Technology Equities|Technology|FTEC|6|7.ASSET|Equity|6421.4|126.5|CSCO| Cisco Systems, Inc.| 1.97%| North America|Equity|Technology Equities|Technology|FTEC|6|8.ASSET|Equity|6421.4|120.08|ADBE| Adobe Inc.| 1.87%| North America|Equity|Technology Equities|Technology|FTEC|6|9.ASSET|Equity|6421.4|110.45|CRM| salesforce.com, inc.| 1.72%| North America|Equity|Technology Equities|Technology|FTEC|6|10.ASSET|Equity|6421.4|107.88|ACN| Accenture Plc Class A| 1.68%| North America|Equity|Technology Equities|Technology|FTEC|6|11.ASSET|Equity|6421.4|106.6|INTC| Intel Corporation| 1.66%| North America|Equity|Technology Equities|Technology|FTEC|6|12.ASSET|Equity|6421.4|103.38|AMD| Advanced Micro Devices, Inc.| 1.61%| North America|Equity|Technology Equities|Technology|FTEC|6|13.ASSET|Equity|6421.4|102.1|QCOM| Qualcomm Inc| 1.59%| North America|Equity|Technology Equities|Technology|FTEC|6|14.ASSET|Equity|6421.4|84.12|TXN| Texas Instruments Incorporated| 1.31%| North America|Equity|Technology Equities|Technology|FTEC|6|15.ASSET|Equity|6421.4|70.64|INTU| Intuit Inc.| 1.10%| North America|Equity|Large Cap Blend Equities||RDVY|6|1.ASSET|Equity|9356.8|253.57|ATVI| Activision Blizzard, Inc.| 2.71%| North America|Equity|Large Cap Blend Equities||RDVY|6|2.ASSET|Equity|9356.8|234.86|ADM| Archer-Daniels-Midland Company| 2.51%| North America|Equity|Large Cap Blend Equities||RDVY|6|3.ASSET|Equity|9356.8|226.43|BPOP| Popular, Inc.| 2.42%| North America|Equity|Large Cap Blend Equities||RDVY|6|4.ASSET|Equity|9356.8|224.56|NEM| Newmont Corporation| 2.40%| North America|Equity|Large Cap Blend Equities||RDVY|6|5.ASSET|Equity|9356.8|222.69|FOXA| Fox Corporation Class A| 2.38%| North America|Equity|Large Cap Blend Equities||RDVY|6|6.ASSET|Equity|9356.8|215.21|AXP| American Express Company| 2.30%| North America|Equity|Large Cap Blend Equities||RDVY|6|7.ASSET|Equity|9356.8|210.53|MET| MetLife, Inc.| 2.25%| North America|Equity|Large Cap Blend Equities||RDVY|6|8.ASSET|Equity|9356.8|207.72|ALL| Allstate Corporation| 2.22%| North America|Equity|Large Cap Blend Equities||RDVY|6|9.ASSET|Equity|9356.8|202.11|AFL| Aflac Incorporated| 2.16%| North America|Equity|Large Cap Blend Equities||RDVY|6|10.ASSET|Equity|9356.8|199.3|ANTM| Anthem, Inc.| 2.13%| North America|Equity|Large Cap Blend Equities||RDVY|6|11.ASSET|Equity|9356.8|198.36|CTSH| Cognizant Technology Solutions Corporation Class A| 2.12%| North America|Equity|Large Cap Blend Equities||RDVY|6|12.ASSET|Equity|9356.8|196.49|BC| Brunswick Corporation| 2.10%| North America|Equity|Large Cap Blend Equities||RDVY|6|13.ASSET|Equity|9356.8|195.56|HIG| Hartford Financial Services Group, Inc.| 2.09%| North America|Equity|Large Cap Blend Equities||RDVY|6|14.ASSET|Equity|9356.8|194.62|ALLY| Ally Financial Inc| 2.08%| North America|Equity|Large Cap Blend Equities||RDVY|6|15.ASSET|Equity|9356.8|192.75|BBY| Best Buy Co., Inc.| 2.06%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|1.ASSET|Equity|6857.6|117.95|NESN| Nestle S.A.| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|2.ASSET|Equity|6857.6|89.15|ASML| ASML Holding NV| 1.30%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|3.ASSET|Equity|6857.6|85.72|ROG| Roche Holding Ltd| 1.25%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|4.ASSET|Equity|6857.6|65.83|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|5.ASSET|Equity|6857.6|65.15|SHEL| Shell PLC| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|6.ASSET|Equity|6857.6|61.72|NOVN| Novartis AG| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|7.ASSET|Equity|6857.6|61.72|7203| Toyota Motor Corp.| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|8.ASSET|Equity|6857.6|60.35|AZN| AstraZeneca PLC| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|9.ASSET|Equity|6857.6|56.23|NOVO.B| Novo Nordisk A/S Class B| 0.82%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|10.ASSET|Equity|6857.6|54.86|BHP| BHP Group Ltd| 0.80%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|11.ASSET|Equity|6857.6|50.06|RY| Royal Bank of Canada| 0.73%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|12.ASSET|Equity|6857.6|46.63|TD| Toronto-Dominion Bank| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|13.ASSET|Equity|6857.6|45.26|HSBA| HSBC Holdings Plc| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|14.ASSET|Equity|6857.6|41.83|6758| Sony Group Corporation| 0.61%| Developed Markets|Equity|Foreign Large Cap Equities||IDEV|6|15.ASSET|Equity|6857.6|41.15|ULVR| Unilever PLC| 0.60%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|1.ASSET|Bond|6656.4|305.53|SSIXX| State Street Institutional Liquid Reserves Fund| 4.59%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|2.ASSET|Bond|6656.4|97.18|N/A| United States Treasury Notes 0.75% 31-DEC-2023| 1.46%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|3.ASSET|Bond|6656.4|91.19|N/A| United States Treasury Notes 1.125% 31-AUG-2028| 1.37%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|4.ASSET|Bond|6656.4|69.89|N/A| UMBS TBA 10yr 11.5% December Delivery 2.000% 01-NOV-2051| 1.05%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|5.ASSET|Bond|6656.4|67.9|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 1.02%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|6.ASSET|Bond|6656.4|64.57|N/A| United States Treasury Bond 4.625% 15-FEB-2040| 0.97%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|7.ASSET|Bond|6656.4|53.92|N/A| United States Treasury Notes 0.75% 31-AUG-2026| 0.81%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|8.ASSET|Bond|6656.4|44.6|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 0.67%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|9.ASSET|Bond|6656.4|41.27|N/A| United States Treasury Notes 1.5% 30-NOV-2028| 0.62%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|10.ASSET|Bond|6656.4|36.61|N/A| United States Treasury Notes 0.75% 30-APR-2026| 0.55%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|11.ASSET|Bond|6656.4|35.94|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 0.54%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|12.ASSET|Bond|6656.4|34.61|N/A| United States Treasury Bond 2.25% 15-MAY-2041| 0.52%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|13.ASSET|Bond|6656.4|33.28|N/A| United States Treasury Notes 0.0% 28-FEB-2029| 0.50%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|14.ASSET|Bond|6656.4|33.28|N/A| United States Treasury Notes 0.125% 31-JUL-2023| 0.50%| Developed Markets|Bond|Total Bond Market|Total Bond Market|SPAB|6|15.ASSET|Bond|6656.4|32.62|N/A| GNMA TBA 30yr 10.5% January Delivery 2.500% 01-SEP-2051| 0.49%| North America|Equity|n/a||DFAT|6|1.ASSET|Equity|7062.6|64.98|PWR| Quanta Services, Inc.| 0.92%| North America|Equity|n/a||DFAT|6|2.ASSET|Equity|7062.6|62.86|RS| Reliance Steel & Aluminum Co.| 0.89%| North America|Equity|n/a||DFAT|6|3.ASSET|Equity|7062.6|55.79|BG| Bunge Limited| 0.79%| North America|Equity|n/a||DFAT|6|4.ASSET|Equity|7062.6|53.68|DVN| Devon Energy Corporation| 0.76%| North America|Equity|n/a||DFAT|6|5.ASSET|Equity|7062.6|53.68|DAR| Darling Ingredients Inc.| 0.76%| North America|Equity|n/a||DFAT|6|6.ASSET|Equity|7062.6|52.26|ARW| Arrow Electronics, Inc.| 0.74%| North America|Equity|n/a||DFAT|6|7.ASSET|Equity|7062.6|48.73|APO| Apollo Global Management Inc.| 0.69%| North America|Equity|n/a||DFAT|6|8.ASSET|Equity|7062.6|45.91|FHN| First Horizon Corporation| 0.65%| North America|Equity|n/a||DFAT|6|9.ASSET|Equity|7062.6|44.49|STLD| Steel Dynamics, Inc.| 0.63%| North America|Equity|n/a||DFAT|6|10.ASSET|Equity|7062.6|44.49|AN| AutoNation, Inc.| 0.63%| North America|Equity|n/a||DFAT|6|11.ASSET|Equity|7062.6|43.79|CNXC| Concentrix Corporation| 0.62%| North America|Equity|n/a||DFAT|6|12.ASSET|Equity|7062.6|43.79|DDS| Dillard\'s, Inc. Class A| 0.62%| North America|Equity|n/a||DFAT|6|13.ASSET|Equity|7062.6|43.08|KNX| Knight-Swift Transportation Holdings Inc. Class A| 0.61%| North America|Equity|n/a||DFAT|6|14.ASSET|Equity|7062.6|40.96|AGCO| AGCO Corporation| 0.58%| North America|Equity|n/a||DFAT|6|15.ASSET|Equity|7062.6|38.84|ZION| Zions Bancorporation, N.A.| 0.55%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|1.ASSET|Equity|5078.8|428.65|VWS| Vestas Wind Systems A/S| 8.44%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|2.ASSET|Equity|5078.8|402.75|ENPH| Enphase Energy, Inc.| 7.93%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|3.ASSET|Equity|5078.8|311.84|ED| Consolidated Edison, Inc.| 6.14%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|4.ASSET|Equity|5078.8|308.79|ORSTED| Orsted| 6.08%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|5.ASSET|Equity|5078.8|300.66|SEDG| SolarEdge Technologies, Inc.| 5.92%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|6.ASSET|Equity|5078.8|238.7|PLUG| Plug Power Inc.| 4.70%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|7.ASSET|Equity|5078.8|196.04|SSE| SSE plc| 3.86%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|8.ASSET|Equity|5078.8|185.88|IBE| Iberdrola SA| 3.66%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|9.ASSET|Equity|5078.8|184.36|EDP| EDP-Energias de Portugal SA| 3.63%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|10.ASSET|Equity|5078.8|138.65|968| Xinyi Solar Holdings Ltd.| 2.73%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|11.ASSET|Equity|5078.8|125.45|FSLR| First Solar, Inc.| 2.47%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|12.ASSET|Equity|5078.8|104.12|EDPR| EDP Renovaveis SA| 2.05%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|13.ASSET|Equity|5078.8|101.07|NPI| Northland Power Inc.| 1.99%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|14.ASSET|Equity|5078.8|100.56|RUN| Sunrun Inc.| 1.98%| Developed Markets|Equity|Alternative Energy Equities|Energy|ICLN|6|15.ASSET|Equity|5078.8|90.4|VER| VERBUND AG Class A| 1.78%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|1.ASSET|Equity|5530.6|516|500325| Reliance Industries Limited| 9.33%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|2.ASSET|Equity|5530.6|441.34|500209| Infosys Limited| 7.98%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|3.ASSET|Equity|5530.6|309.16|500010| Housing Development Finance Corporation Limited| 5.59%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|4.ASSET|Equity|5530.6|290.36|532174| ICICI Bank Limited| 5.25%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|5.ASSET|Equity|5530.6|251.64|532540| Tata Consultancy Services Limited| 4.55%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|6.ASSET|Equity|5530.6|144.9|500034| Bajaj Finance Limited| 2.62%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|7.ASSET|Equity|5530.6|136.61|500696| Hindustan Unilever Limited| 2.47%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|8.ASSET|Equity|5530.6|130.52|532454| Bharti Airtel Limited| 2.36%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|9.ASSET|Equity|5530.6|129.42|532215| Axis Bank Limited| 2.34%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|10.ASSET|Equity|5530.6|95.68|500510| Larsen & Toubro Ltd.| 1.73%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|11.ASSET|Equity|5530.6|93.47|500820| Asian Paints Ltd.| 1.69%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|12.ASSET|Equity|5530.6|93.47|532281| HCL Technologies Limited| 1.69%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|13.ASSET|Equity|5530.6|86.83|532500| Maruti Suzuki India Limited| 1.57%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|14.ASSET|Equity|5530.6|78.53|500247| Kotak Mahindra Bank Limited| 1.42%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDA|6|15.ASSET|Equity|5530.6|69.13|500114| Titan Company Limited| 1.25%| North America|Equity|Technology Equities|Technology|IGV|6|1.ASSET|Equity|5181.8|459.63|MSFT| Microsoft Corporation| 8.87%| North America|Equity|Technology Equities|Technology|IGV|6|2.ASSET|Equity|5181.8|410.4|CRM| salesforce.com, inc.| 7.92%| North America|Equity|Technology Equities|Technology|IGV|6|3.ASSET|Equity|5181.8|382.94|ADBE| Adobe Inc.| 7.39%| North America|Equity|Technology Equities|Technology|IGV|6|4.ASSET|Equity|5181.8|315.57|INTU| Intuit Inc.| 6.09%| North America|Equity|Technology Equities|Technology|IGV|6|5.ASSET|Equity|5181.8|291.22|ORCL| Oracle Corporation| 5.62%| North America|Equity|Technology Equities|Technology|IGV|6|6.ASSET|Equity|5181.8|269.97|NOW| ServiceNow, Inc.| 5.21%| North America|Equity|Technology Equities|Technology|IGV|6|7.ASSET|Equity|5181.8|149.75|ATVI| Activision Blizzard, Inc.| 2.89%| North America|Equity|Technology Equities|Technology|IGV|6|8.ASSET|Equity|5181.8|134.21|PANW| Palo Alto Networks, Inc.| 2.59%| North America|Equity|Technology Equities|Technology|IGV|6|9.ASSET|Equity|5181.8|111.93|ADSK| Autodesk, Inc.| 2.16%| North America|Equity|Technology Equities|Technology|IGV|6|10.ASSET|Equity|5181.8|111.41|SNPS| Synopsys, Inc.| 2.15%| North America|Equity|Technology Equities|Technology|IGV|6|11.ASSET|Equity|5181.8|109.34|WDAY| Workday, Inc. Class A| 2.11%| North America|Equity|Technology Equities|Technology|IGV|6|12.ASSET|Equity|5181.8|108.82|FTNT| Fortinet, Inc.| 2.10%| North America|Equity|Technology Equities|Technology|IGV|6|13.ASSET|Equity|5181.8|98.97|CDNS| Cadence Design Systems, Inc.| 1.91%| North America|Equity|Technology Equities|Technology|IGV|6|14.ASSET|Equity|5181.8|97.94|DDOG| Datadog Inc Class A| 1.89%| North America|Equity|Technology Equities|Technology|IGV|6|15.ASSET|Equity|5181.8|96.9|CRWD| CrowdStrike Holdings, Inc. Class A| 1.87%| North America|Bond|National Munis|Municipal Bond|SUB|6|1.ASSET|Bond|7669.2|181.76|N/A| U.S. Dollar| 2.37%| North America|Bond|National Munis|Municipal Bond|SUB|6|2.ASSET|Bond|7669.2|67.49|N/A| MUNICIPAL BONDS| 0.88%| North America|Bond|National Munis|Municipal Bond|SUB|6|3.ASSET|Bond|7669.2|32.98|N/A| Arkansas St 5.0% 15-JUN-2022| 0.43%| North America|Bond|National Munis|Municipal Bond|SUB|6|4.ASSET|Bond|7669.2|29.14|N/A| Detroit Mich Wtr & Sew Dept Sew Disp Sys Rev 5.25% 01-JUL-2039| 0.38%| North America|Bond|National Munis|Municipal Bond|SUB|6|5.ASSET|Bond|7669.2|28.38|N/A| Los Angeles Calif Uni Sch Dist 5.0% 01-JUL-2024| 0.37%| North America|Bond|National Munis|Municipal Bond|SUB|6|6.ASSET|Bond|7669.2|26.08|N/A| Regional Transn Dist Colo Sales Tax Rev 3.5% 01-NOV-2037| 0.34%| North America|Bond|National Munis|Municipal Bond|SUB|6|7.ASSET|Bond|7669.2|26.08|N/A| California St 5.0% 01-APR-2025| 0.34%| North America|Bond|National Munis|Municipal Bond|SUB|6|8.ASSET|Bond|7669.2|26.08|N/A| Texas Transn Commn Cent Tex Tpk Sys Rev 5.0% 15-AUG-2041| 0.34%| North America|Bond|National Munis|Municipal Bond|SUB|6|9.ASSET|Bond|7669.2|25.31|N/A| Maryland St 5.0% 01-AUG-2024| 0.33%| North America|Bond|National Munis|Municipal Bond|SUB|6|10.ASSET|Bond|7669.2|25.31|N/A| Los Angeles Calif 4.0% 23-JUN-2022| 0.33%| North America|Bond|National Munis|Municipal Bond|SUB|6|11.ASSET|Bond|7669.2|23.01|N/A| New Jersey St 5.0% 01-JUN-2025| 0.30%| North America|Bond|National Munis|Municipal Bond|SUB|6|12.ASSET|Bond|7669.2|23.01|N/A| California St 5.0% 01-APR-2024| 0.30%| North America|Bond|National Munis|Municipal Bond|SUB|6|13.ASSET|Bond|7669.2|22.24|N/A| Pennsylvania St 5.0% 01-JAN-2025| 0.29%| North America|Bond|National Munis|Municipal Bond|SUB|6|14.ASSET|Bond|7669.2|22.24|N/A| Washington St 5.0% 01-FEB-2027| 0.29%| North America|Bond|National Munis|Municipal Bond|SUB|6|15.ASSET|Bond|7669.2|21.47|N/A| Williamson Cnty Tex 5.0% 15-FEB-2024| 0.28%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|1.ASSET|Bond|6200.7|278.41|N/A| United States Treasury Notes 0.875% 30-SEP-2026| 4.49%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|2.ASSET|Bond|6200.7|254.85|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 4.11%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|3.ASSET|Bond|6200.7|205.86|Other| BlackRock Funds III Instl Money Mkt Fund| 3.32%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|4.ASSET|Bond|6200.7|95.49|N/A| United States Treasury Notes 0.25% 15-MAR-2024| 1.54%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|5.ASSET|Bond|6200.7|93.01|N/A| UMBS TBA 15yr 1.5% January Delivery 1.500% 01-SEP-2036| 1.50%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|6.ASSET|Bond|6200.7|76.27|N/A| United States Treasury Notes 0.125% 15-SEP-2023| 1.23%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|7.ASSET|Bond|6200.7|68.21|N/A| United States Treasury Notes 0.75% 15-NOV-2024| 1.10%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|8.ASSET|Bond|6200.7|66.97|N/A| United States Treasury Notes 1.25% 30-NOV-2026| 1.08%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|9.ASSET|Bond|6200.7|56.43|N/A| United States Treasury Notes 0.125% 15-JAN-2024| 0.91%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|10.ASSET|Bond|6200.7|53.33|N/A| United States Treasury Notes 0.125% 28-FEB-2023| 0.86%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|11.ASSET|Bond|6200.7|50.85|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 0.82%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|12.ASSET|Bond|6200.7|47.75|N/A| United States Treasury Notes 0.125% 31-MAR-2023| 0.77%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|13.ASSET|Bond|6200.7|45.89|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 0.74%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|14.ASSET|Bond|6200.7|44.65|N/A| United States Treasury Notes 0.75% 31-AUG-2026| 0.72%| North America|Bond|Total Bond Market|Total Bond Market|ISTB|6|15.ASSET|Bond|6200.7|43.4|N/A| United States Treasury Notes 1.5% 28-FEB-2023| 0.70%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|1.ASSET|Equity|8716.6|889.96|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 10.21%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|2.ASSET|Equity|8716.6|786.24|NVDA| NVIDIA Corporation| 9.02%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|3.ASSET|Equity|8716.6|733.07|AMD| Advanced Micro Devices, Inc.| 8.41%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|4.ASSET|Equity|8716.6|502.95|AVGO| Broadcom Inc.| 5.77%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|5.ASSET|Equity|8716.6|493.36|MU| Micron Technology, Inc.| 5.66%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|6.ASSET|Equity|8716.6|477.67|INTC| Intel Corporation| 5.48%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|7.ASSET|Equity|8716.6|468.95|QCOM| Qualcomm Inc| 5.38%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|8.ASSET|Equity|8716.6|437.57|TXN| Texas Instruments Incorporated| 5.02%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|9.ASSET|Equity|8716.6|412.3|ASML| ASML Holding NV ADR| 4.73%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|10.ASSET|Equity|8716.6|390.5|ADI| Analog Devices, Inc.| 4.48%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|11.ASSET|Equity|8716.6|385.27|AMAT| Applied Materials, Inc.| 4.42%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|12.ASSET|Equity|8716.6|353.02|LRCX| Lam Research Corporation| 4.05%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|13.ASSET|Equity|8716.6|319.03|NXPI| NXP Semiconductors NV| 3.66%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|14.ASSET|Equity|8716.6|296.36|MRVL| Marvell Technology, Inc.| 3.40%| Developed Markets|Equity|Technology Equities|Technology|SMH|6|15.ASSET|Equity|8716.6|292.88|KLAC| KLA Corporation| 3.36%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|1.ASSET|Equity|7654.7|426.37|XOM| Exxon Mobil Corporation| 5.57%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|2.ASSET|Equity|7654.7|383.5|CVX| Chevron Corporation| 5.01%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|3.ASSET|Equity|7654.7|316.9|NTR| Nutrien Ltd.| 4.14%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|4.ASSET|Equity|7654.7|296.24|ADM| Archer-Daniels-Midland Company| 3.87%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|5.ASSET|Equity|7654.7|286.29|BHP| BHP Group Ltd| 3.74%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|6.ASSET|Equity|7654.7|245.72|RIO| Rio Tinto plc| 3.21%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|7.ASSET|Equity|7654.7|239.59|CTVA| Corteva Inc| 3.13%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|8.ASSET|Equity|7654.7|200.55|VALE3| Vale S.A.| 2.62%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|9.ASSET|Equity|7654.7|195.96|FCX| Freeport-McMoRan, Inc.| 2.56%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|10.ASSET|Equity|7654.7|191.37|AAL| Anglo American plc| 2.50%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|11.ASSET|Equity|7654.7|184.48|GLEN| Glencore plc| 2.41%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|12.ASSET|Equity|7654.7|179.89|TSN| Tyson Foods, Inc. Class A| 2.35%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|13.ASSET|Equity|7654.7|167.64|COP| ConocoPhillips| 2.19%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|14.ASSET|Equity|7654.7|164.58|IHC| International Holdings Company PJSC| 2.15%| Developed Markets|Equity|Commodity Producers Equities|Materials|GUNR|6|15.ASSET|Equity|7654.7|162.28|TTE| TotalEnergies SE| 2.12%| North America|Equity|Foreign Large Cap Equities||BBCA|6|1.ASSET|Equity|6415.1|487.55|RY| Royal Bank of Canada| 7.60%| North America|Equity|Foreign Large Cap Equities||BBCA|6|2.ASSET|Equity|6415.1|459.96|TD| Toronto-Dominion Bank| 7.17%| North America|Equity|Foreign Large Cap Equities||BBCA|6|3.ASSET|Equity|6415.1|282.26|ENB| Enbridge Inc.| 4.40%| North America|Equity|Foreign Large Cap Equities||BBCA|6|4.ASSET|Equity|6415.1|281.62|BNS| Bank of Nova Scotia| 4.39%| North America|Equity|Foreign Large Cap Equities||BBCA|6|5.ASSET|Equity|6415.1|250.83|BAM.A| Brookfield Asset Management Inc. Class A| 3.91%| North America|Equity|Foreign Large Cap Equities||BBCA|6|6.ASSET|Equity|6415.1|238.64|CNR| Canadian National Railway Company| 3.72%| North America|Equity|Foreign Large Cap Equities||BBCA|6|7.ASSET|Equity|6415.1|238|BMO| Bank of Montreal| 3.71%| North America|Equity|Foreign Large Cap Equities||BBCA|6|8.ASSET|Equity|6415.1|235.43|SHOP| Shopify, Inc. Class A| 3.67%| North America|Equity|Foreign Large Cap Equities||BBCA|6|9.ASSET|Equity|6415.1|213.62|CNQ| Canadian Natural Resources Limited| 3.33%| North America|Equity|Foreign Large Cap Equities||BBCA|6|10.ASSET|Equity|6415.1|212.34|CP| Canadian Pacific Kansas City Limited| 3.31%| North America|Equity|Foreign Large Cap Equities||BBCA|6|11.ASSET|Equity|6415.1|179.62|CM| Canadian Imperial Bank of Commerce| 2.80%| North America|Equity|Foreign Large Cap Equities||BBCA|6|12.ASSET|Equity|6415.1|169.36|TRP| TC Energy Corporation| 2.64%| North America|Equity|Foreign Large Cap Equities||BBCA|6|13.ASSET|Equity|6415.1|157.81|NTR| Nutrien Ltd.| 2.46%| North America|Equity|Foreign Large Cap Equities||BBCA|6|14.ASSET|Equity|6415.1|143.06|SU| Suncor Energy Inc.| 2.23%| North America|Equity|Foreign Large Cap Equities||BBCA|6|15.ASSET|Equity|6415.1|129.59|ABX| Barrick Gold Corporation| 2.02%| North America|Equity|Small Cap Growth Equities||IJT|6|1.ASSET|Equity|5722.1|69.81|OMCL| Omnicell, Inc.| 1.22%| North America|Equity|Small Cap Growth Equities||IJT|6|2.ASSET|Equity|5722.1|67.52|MTDR| Matador Resources Company| 1.18%| North America|Equity|Small Cap Growth Equities||IJT|6|3.ASSET|Equity|5722.1|61.8|VG| Vonage Holdings Corp.| 1.08%| North America|Equity|Small Cap Growth Equities||IJT|6|4.ASSET|Equity|5722.1|61.8|UFPI| UFP Industries, Inc.| 1.08%| North America|Equity|Small Cap Growth Equities||IJT|6|5.ASSET|Equity|5722.1|61.23|GTLS| Chart Industries, Inc.| 1.07%| North America|Equity|Small Cap Growth Equities||IJT|6|6.ASSET|Equity|5722.1|61.23|ROG| Rogers Corporation| 1.07%| North America|Equity|Small Cap Growth Equities||IJT|6|7.ASSET|Equity|5722.1|59.51|AMN| AMN Healthcare Services, Inc.| 1.04%| North America|Equity|Small Cap Growth Equities||IJT|6|8.ASSET|Equity|5722.1|58.94|EXPO| Exponent, Inc.| 1.03%| North America|Equity|Small Cap Growth Equities||IJT|6|9.ASSET|Equity|5722.1|54.93|SM| SM Energy Company| 0.96%| North America|Equity|Small Cap Growth Equities||IJT|6|10.ASSET|Equity|5722.1|54.36|SPSC| SPS Commerce, Inc.| 0.95%| North America|Equity|Small Cap Growth Equities||IJT|6|11.ASSET|Equity|5722.1|53.22|BCPC| Balchem Corporation| 0.93%| North America|Equity|Small Cap Growth Equities||IJT|6|12.ASSET|Equity|5722.1|53.22|MATX| Matson, Inc.| 0.93%| North America|Equity|Small Cap Growth Equities||IJT|6|13.ASSET|Equity|5722.1|53.22|IIPR| Innovative Industrial Properties Inc| 0.93%| North America|Equity|Small Cap Growth Equities||IJT|6|14.ASSET|Equity|5722.1|49.78|MXL| MaxLinear, Inc.| 0.87%| North America|Equity|Small Cap Growth Equities||IJT|6|15.ASSET|Equity|5722.1|49.78|SFBS| ServisFirst Bancshares Inc| 0.87%| North America|Equity|Technology Equities|Technology|IXN|6|1.ASSET|Equity|4889.1|987.6|AAPL| Apple Inc.| 20.20%| North America|Equity|Technology Equities|Technology|IXN|6|2.ASSET|Equity|4889.1|857.06|MSFT| Microsoft Corporation| 17.53%| North America|Equity|Technology Equities|Technology|IXN|6|3.ASSET|Equity|4889.1|230.28|NVDA| NVIDIA Corporation| 4.71%| North America|Equity|Technology Equities|Technology|IXN|6|4.ASSET|Equity|4889.1|153.52|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.14%| North America|Equity|Technology Equities|Technology|IXN|6|5.ASSET|Equity|4889.1|132.98|V| Visa Inc. Class A| 2.72%| North America|Equity|Technology Equities|Technology|IXN|6|6.ASSET|Equity|4889.1|116.85|005930| Samsung Electronics Co., Ltd.| 2.39%| North America|Equity|Technology Equities|Technology|IXN|6|7.ASSET|Equity|4889.1|113.43|MA| Mastercard Incorporated Class A| 2.32%| North America|Equity|Technology Equities|Technology|IXN|6|8.ASSET|Equity|4889.1|103.16|ASML| ASML Holding NV| 2.11%| North America|Equity|Technology Equities|Technology|IXN|6|9.ASSET|Equity|4889.1|91.43|AVGO| Broadcom Inc.| 1.87%| North America|Equity|Technology Equities|Technology|IXN|6|10.ASSET|Equity|4889.1|89.96|CSCO| Cisco Systems, Inc.| 1.84%| North America|Equity|Technology Equities|Technology|IXN|6|11.ASSET|Equity|4889.1|85.07|ADBE| Adobe Inc.| 1.74%| North America|Equity|Technology Equities|Technology|IXN|6|12.ASSET|Equity|4889.1|78.23|CRM| salesforce.com, inc.| 1.60%| North America|Equity|Technology Equities|Technology|IXN|6|13.ASSET|Equity|4889.1|76.27|ACN| Accenture Plc Class A| 1.56%| North America|Equity|Technology Equities|Technology|IXN|6|14.ASSET|Equity|4889.1|75.29|INTC| Intel Corporation| 1.54%| North America|Equity|Technology Equities|Technology|IXN|6|15.ASSET|Equity|4889.1|73.34|AMD| Advanced Micro Devices, Inc.| 1.50%| North America|Equity|Energy Equities|Energy|VDE|6|1.ASSET|Equity|7999.8|1707.96|XOM| Exxon Mobil Corporation| 21.35%| North America|Equity|Energy Equities|Energy|VDE|6|2.ASSET|Equity|7999.8|1348.77|CVX| Chevron Corporation| 16.86%| North America|Equity|Energy Equities|Energy|VDE|6|3.ASSET|Equity|7999.8|630.38|COP| ConocoPhillips| 7.88%| North America|Equity|Energy Equities|Energy|VDE|6|4.ASSET|Equity|7999.8|345.59|EOG| EOG Resources, Inc.| 4.32%| North America|Equity|Energy Equities|Energy|VDE|6|5.ASSET|Equity|7999.8|290.39|SLB| Schlumberger NV| 3.63%| North America|Equity|Energy Equities|Energy|VDE|6|6.ASSET|Equity|7999.8|269.59|PXD| Pioneer Natural Resources Company| 3.37%| North America|Equity|Energy Equities|Energy|VDE|6|7.ASSET|Equity|7999.8|243.19|MPC| Marathon Petroleum Corporation| 3.04%| North America|Equity|Energy Equities|Energy|VDE|6|8.ASSET|Equity|7999.8|197.6|PSX| Phillips 66| 2.47%| North America|Equity|Energy Equities|Energy|VDE|6|9.ASSET|Equity|7999.8|193.6|WMB| Williams Companies, Inc.| 2.42%| North America|Equity|Energy Equities|Energy|VDE|6|10.ASSET|Equity|7999.8|188|KMI| Kinder Morgan Inc Class P| 2.35%| North America|Equity|Energy Equities|Energy|VDE|6|11.ASSET|Equity|7999.8|187.2|OXY| Occidental Petroleum Corporation| 2.34%| North America|Equity|Energy Equities|Energy|VDE|6|12.ASSET|Equity|7999.8|180|VLO| Valero Energy Corporation| 2.25%| North America|Equity|Energy Equities|Energy|VDE|6|13.ASSET|Equity|7999.8|172.8|DVN| Devon Energy Corporation| 2.16%| North America|Equity|Energy Equities|Energy|VDE|6|14.ASSET|Equity|7999.8|145.6|HAL| Halliburton Company| 1.82%| North America|Equity|Energy Equities|Energy|VDE|6|15.ASSET|Equity|7999.8|144|OKE| ONEOK, Inc.| 1.80%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|1.ASSET|Bond|5270.2|83.8|N/A| United States Treasury Bond 2.375% 15-MAY-2051| 1.59%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|2.ASSET|Bond|5270.2|83.8|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 1.59%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|3.ASSET|Bond|5270.2|76.94|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 1.46%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|4.ASSET|Bond|5270.2|71.67|N/A| United States Treasury Bond 2.0% 15-NOV-2041| 1.36%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|5.ASSET|Bond|5270.2|69.57|N/A| United States Treasury Bond 2.25% 15-MAY-2041| 1.32%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|6.ASSET|Bond|5270.2|68.51|N/A| United States Treasury Bond 1.625% 15-NOV-2050| 1.30%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|7.ASSET|Bond|5270.2|64.82|N/A| United States Treasury Bond 1.875% 15-FEB-2041| 1.23%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|8.ASSET|Bond|5270.2|64.82|N/A| United States Treasury Bond 3.375% 15-NOV-2048| 1.23%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|9.ASSET|Bond|5270.2|62.72|N/A| United States Treasury Bond 2.875% 15-MAY-2049| 1.19%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|10.ASSET|Bond|5270.2|60.61|N/A| United States Treasury Bond 3.0% 15-AUG-2048| 1.15%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|11.ASSET|Bond|5270.2|58.5|N/A| United States Treasury Bond 3.125% 15-MAY-2048| 1.11%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|12.ASSET|Bond|5270.2|56.39|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 1.07%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|13.ASSET|Bond|5270.2|54.81|N/A| United States Treasury Bond 1.25% 15-MAY-2050| 1.04%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|14.ASSET|Bond|5270.2|52.17|N/A| United States Treasury Bond 1.375% 15-AUG-2050| 0.99%| North America|Bond|Total Bond Market|Total Bond Market|BLV|6|15.ASSET|Bond|5270.2|50.07|N/A| United States Treasury Bond 2.375% 15-NOV-2049| 0.95%| North America|Equity|n/a||DFUS|6|1.ASSET|Equity|5854.7|405.15|AAPL| Apple Inc.| 6.92%| North America|Equity|n/a||DFUS|6|2.ASSET|Equity|5854.7|304.44|MSFT| Microsoft Corporation| 5.20%| North America|Equity|n/a||DFUS|6|3.ASSET|Equity|5854.7|194.96|AMZN| Amazon.com, Inc.| 3.33%| North America|Equity|n/a||DFUS|6|4.ASSET|Equity|5854.7|117.09|GOOGL| Alphabet Inc. Class A| 2.00%| North America|Equity|n/a||DFUS|6|5.ASSET|Equity|5854.7|117.09|GOOG| Alphabet Inc. Class C| 2.00%| North America|Equity|n/a||DFUS|6|6.ASSET|Equity|5854.7|105.38|TSLA| Tesla Inc| 1.80%| North America|Equity|n/a||DFUS|6|7.ASSET|Equity|5854.7|89.58|BRK.B| Berkshire Hathaway Inc. Class B| 1.53%| North America|Equity|n/a||DFUS|6|8.ASSET|Equity|5854.7|83.14|NVDA| NVIDIA Corporation| 1.42%| North America|Equity|n/a||DFUS|6|9.ASSET|Equity|5854.7|71.43|FB| Meta Platforms Inc. Class A| 1.22%| North America|Equity|n/a||DFUS|6|10.ASSET|Equity|5854.7|66.16|UNH| UnitedHealth Group Incorporated| 1.13%| North America|Equity|n/a||DFUS|6|11.ASSET|Equity|5854.7|62.65|JNJ| Johnson & Johnson| 1.07%| North America|Equity|n/a||DFUS|6|12.ASSET|Equity|5854.7|60.89|JPM| JPMorgan Chase & Co.| 1.04%| North America|Equity|n/a||DFUS|6|13.ASSET|Equity|5854.7|55.62|PG| Procter & Gamble Company| 0.95%| North America|Equity|n/a||DFUS|6|14.ASSET|Equity|5854.7|50.94|V| Visa Inc. Class A| 0.87%| North America|Equity|n/a||DFUS|6|15.ASSET|Equity|5854.7|50.35|HD| Home Depot, Inc.| 0.86%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|1.ASSET|Equity|6049.6|304.9|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 5.04%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|2.ASSET|Equity|6049.6|251.06|700| Tencent Holdings Ltd.| 4.15%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|3.ASSET|Equity|6049.6|148.82|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 2.46%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|4.ASSET|Equity|6049.6|77.43|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.28%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|5.ASSET|Equity|6049.6|67.76|3690| Meituan Class B| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|6.ASSET|Equity|6049.6|65.34|INFY| Infosys Limited Sponsored ADR| 1.08%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|7.ASSET|Equity|6049.6|58.68|939| China Construction Bank Corporation Class H| 0.97%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|8.ASSET|Equity|6049.6|52.63|VALE| Vale S.A. Sponsored ADR| 0.87%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|9.ASSET|Equity|6049.6|51.42|JD| JD.com, Inc. Sponsored ADR Class A| 0.85%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|10.ASSET|Equity|6049.6|51.42|2454| MediaTek Inc| 0.85%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|11.ASSET|Equity|6049.6|46.58|500010| Housing Development Finance Corporation Limited| 0.77%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|12.ASSET|Equity|6049.6|40.53|532540| Tata Consultancy Services Limited| 0.67%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|13.ASSET|Equity|6049.6|38.72|2317| Hon Hai Precision Industry Co., Ltd.| 0.64%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|14.ASSET|Equity|6049.6|35.69|IBN| ICICI Bank Limited Sponsored ADR| 0.59%| Emerging Markets|Equity|Emerging Markets Equities||SPEM|6|15.ASSET|Equity|6049.6|35.69|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 0.59%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|1.ASSET|Bond|5329.2|63.42|N/A| CORPORATE BOND| 1.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|2.ASSET|Bond|5329.2|15.45|SSIXX| State Street Institutional Liquid Reserves Fund| 0.29%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|3.ASSET|Bond|5329.2|9.06|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 0.17%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|4.ASSET|Bond|5329.2|7.99|N/A| Bank of America Corporation 3.419% 20-DEC-2028| 0.15%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|5.ASSET|Bond|5329.2|7.99|N/A| Mitsubishi UFJ Financial Group, Inc. 1.64% 13-OCT-2027| 0.15%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|6.ASSET|Bond|5329.2|7.46|N/A| CVS Health Corporation 4.3% 25-MAR-2028| 0.14%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|7.ASSET|Bond|5329.2|6.93|N/A| Wells Fargo & Company 3.0% 23-OCT-2026| 0.13%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|8.ASSET|Bond|5329.2|6.93|N/A| Boeing Company 2.196% 04-FEB-2026| 0.13%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|9.ASSET|Bond|5329.2|6.93|N/A| Bank of America Corporation 2.687% 22-APR-2032| 0.13%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|10.ASSET|Bond|5329.2|6.93|N/A| AbbVie Inc. 3.2% 21-NOV-2029| 0.13%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|11.ASSET|Bond|5329.2|6.4|N/A| Apple Inc. 2.4% 03-MAY-2023| 0.12%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|12.ASSET|Bond|5329.2|6.4|N/A| Oracle Corporation 3.25% 15-NOV-2027| 0.12%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|13.ASSET|Bond|5329.2|6.4|N/A| Bank of America Corporation 1.734% 22-JUL-2027| 0.12%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|14.ASSET|Bond|5329.2|6.4|N/A| Boeing Company 5.15% 01-MAY-2030| 0.12%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPIB|6|15.ASSET|Bond|5329.2|6.4|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 0.12%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|1.ASSET|Equity|6770.5|939.07|PG| Procter & Gamble Company| 13.87%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|2.ASSET|Equity|6770.5|571.43|KO| Coca-Cola Company| 8.44%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|3.ASSET|Equity|6770.5|546.38|PEP| PepsiCo, Inc.| 8.07%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|4.ASSET|Equity|6770.5|509.14|COST| Costco Wholesale Corporation| 7.52%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|5.ASSET|Equity|6770.5|489.51|WMT| Walmart Inc.| 7.23%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|6.ASSET|Equity|6770.5|329.05|PM| Philip Morris International Inc.| 4.86%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|7.ASSET|Equity|6770.5|261.34|MDLZ| Mondelez International, Inc. Class A| 3.86%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|8.ASSET|Equity|6770.5|251.86|MO| Altria Group Inc| 3.72%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|9.ASSET|Equity|6770.5|194.31|EL| Estee Lauder Companies Inc. Class A| 2.87%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|10.ASSET|Equity|6770.5|186.19|CL| Colgate-Palmolive Company| 2.75%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|11.ASSET|Equity|6770.5|133.38|KMB| Kimberly-Clark Corporation| 1.97%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|12.ASSET|Equity|6770.5|120.51|ADM| Archer-Daniels-Midland Company| 1.78%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|13.ASSET|Equity|6770.5|115.1|GIS| General Mills, Inc.| 1.70%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|14.ASSET|Equity|6770.5|111.04|STZ| Constellation Brands, Inc. Class A| 1.64%| North America|Equity|Consumer Staples Equities|Consumer Staples|VDC|6|15.ASSET|Equity|6770.5|110.36|SYY| Sysco Corporation| 1.63%| North America|Equity|MLPs|Energy|AMLP|6|1.ASSET|Equity|6456.8|696.69|WES| Western Midstream Partners, LP| 10.79%| North America|Equity|MLPs|Energy|AMLP|6|2.ASSET|Equity|6456.8|656.01|ET| Energy Transfer, L.P.| 10.16%| North America|Equity|MLPs|Energy|AMLP|6|3.ASSET|Equity|6456.8|634.7|EPD| Enterprise Products Partners L.P.| 9.83%| North America|Equity|MLPs|Energy|AMLP|6|4.ASSET|Equity|6456.8|628.25|PAA| Plains All American Pipeline, L.P.| 9.73%| North America|Equity|MLPs|Energy|AMLP|6|5.ASSET|Equity|6456.8|608.88|MPLX| MPLX LP| 9.43%| North America|Equity|MLPs|Energy|AMLP|6|6.ASSET|Equity|6456.8|585.63|MMP| Magellan Midstream Partners, L.P.| 9.07%| North America|Equity|MLPs|Energy|AMLP|6|7.ASSET|Equity|6456.8|441|ENLC| EnLink Midstream LLC| 6.83%| North America|Equity|MLPs|Energy|AMLP|6|8.ASSET|Equity|6456.8|429.38|DCP| DCP Midstream LP| 6.65%| North America|Equity|MLPs|Energy|AMLP|6|9.ASSET|Equity|6456.8|428.09|PSXP| Phillips 66 Partners LP| 6.63%| North America|Equity|MLPs|Energy|AMLP|6|10.ASSET|Equity|6456.8|320.26|CQP| Cheniere Energy Partners, L.P.| 4.96%| North America|Equity|MLPs|Energy|AMLP|6|11.ASSET|Equity|6456.8|255.69|CEQP| Crestwood Equity Partners LP| 3.96%| North America|Equity|MLPs|Energy|AMLP|6|12.ASSET|Equity|6456.8|244.71|SHLX| Shell Midstream Partners LP| 3.79%| North America|Equity|MLPs|Energy|AMLP|6|13.ASSET|Equity|6456.8|234.38|NS| NuStar Energy L.P.| 3.63%| North America|Equity|MLPs|Energy|AMLP|6|14.ASSET|Equity|6456.8|184.66|GEL| Genesis Energy, L.P.| 2.86%| North America|Equity|MLPs|Energy|AMLP|6|15.ASSET|Equity|6456.8|109.77|HEP| Holly Energy Partners, L.P.| 1.70%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|1.ASSET|Bond|6354.8|2901.6|N/A| U.S. Dollar| 45.66%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|2.ASSET|Bond|6354.8|324.09|N/A| CORPORATE BOND| 5.10%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|3.ASSET|Bond|6354.8|91.51|N/A| MUTUAL FUND (OTHER)| 1.44%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|4.ASSET|Bond|6354.8|51.47|N/A| Coca-Cola Europacific Partners Plc 0.5% 05-MAY-2023| 0.81%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|5.ASSET|Bond|6354.8|51.47|N/A| Deutsche Bk Spears/Lifers Tr Var Sts VAR 01-APR-2031| 0.81%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|6.ASSET|Bond|6354.8|45.12|N/A| Truist Bank FRN 17-JAN-2024| 0.71%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|7.ASSET|Bond|6354.8|45.12|N/A| NextEra Energy Capital Holdings, Inc. FRN 22-FEB-2023| 0.71%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|8.ASSET|Bond|6354.8|39.4|N/A| FIXED INCOME (UNCLASSFIED)| 0.62%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|9.ASSET|Bond|6354.8|38.76|N/A| Enterprise Fleet Financing Series 2021-1 A1 0.16793% 20-MAR-2022| 0.61%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|10.ASSET|Bond|6354.8|37.49|N/A| Chevron U.S.A., Inc. FRN 11-AUG-2023| 0.59%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|11.ASSET|Bond|6354.8|36.22|N/A| Mitsubishi UFJ Financial Group, Inc. 2.665% 25-JUL-2022| 0.57%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|12.ASSET|Bond|6354.8|33.68|N/A| Nestle Holdings, Inc. 0.606% 14-SEP-2024| 0.53%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|13.ASSET|Bond|6354.8|30.5|N/A| Dominion Energy, Inc. FRN 15-SEP-2023| 0.48%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|14.ASSET|Bond|6354.8|29.87|N/A| NextEra Energy Capital Holdings, Inc. FRN 03-NOV-2023| 0.47%| Developed Markets|Bond|Corporate Bonds|International Corporate|ICSH|6|15.ASSET|Bond|6354.8|29.87|N/A| Morgan Stanley 0.731% 05-APR-2024| 0.47%| North America|Equity|All Cap Equities||SPTM|6|1.ASSET|Equity|5854.1|374.66|AAPL| Apple Inc.| 6.40%| North America|Equity|All Cap Equities||SPTM|6|2.ASSET|Equity|5854.1|326.07|MSFT| Microsoft Corporation| 5.57%| North America|Equity|All Cap Equities||SPTM|6|3.ASSET|Equity|5854.1|194.36|AMZN| Amazon.com, Inc.| 3.32%| North America|Equity|All Cap Equities||SPTM|6|4.ASSET|Equity|5854.1|118.84|GOOGL| Alphabet Inc. Class A| 2.03%| North America|Equity|All Cap Equities||SPTM|6|5.ASSET|Equity|5854.1|111.23|GOOG| Alphabet Inc. Class C| 1.90%| North America|Equity|All Cap Equities||SPTM|6|6.ASSET|Equity|5854.1|103.62|TSLA| Tesla Inc| 1.77%| North America|Equity|All Cap Equities||SPTM|6|7.ASSET|Equity|5854.1|86.64|NVDA| NVIDIA Corporation| 1.48%| North America|Equity|All Cap Equities||SPTM|6|8.ASSET|Equity|5854.1|86.06|BRK.B| Berkshire Hathaway Inc. Class B| 1.47%| North America|Equity|All Cap Equities||SPTM|6|9.ASSET|Equity|5854.1|70.83|FB| Meta Platforms Inc. Class A| 1.21%| North America|Equity|All Cap Equities||SPTM|6|10.ASSET|Equity|5854.1|65.57|UNH| UnitedHealth Group Incorporated| 1.12%| North America|Equity|All Cap Equities||SPTM|6|11.ASSET|Equity|5854.1|63.22|JNJ| Johnson & Johnson| 1.08%| North America|Equity|All Cap Equities||SPTM|6|12.ASSET|Equity|5854.1|59.13|JPM| JPMorgan Chase & Co.| 1.01%| North America|Equity|All Cap Equities||SPTM|6|13.ASSET|Equity|5854.1|55.03|PG| Procter & Gamble Company| 0.94%| North America|Equity|All Cap Equities||SPTM|6|14.ASSET|Equity|5854.1|51.52|V| Visa Inc. Class A| 0.88%| North America|Equity|All Cap Equities||SPTM|6|15.ASSET|Equity|5854.1|49.76|HD| Home Depot, Inc.| 0.85%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|1.ASSET|Equity|4642.7|1011.18|005930| Samsung Electronics Co., Ltd.| 21.78%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|2.ASSET|Equity|4642.7|304.56|000660| SK hynix Inc| 6.56%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|3.ASSET|Equity|4642.7|177.35|035420| NAVER Corp.| 3.82%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|4.ASSET|Equity|4642.7|138.82|006400| Samsung SDI Co., Ltd| 2.99%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|5.ASSET|Equity|4642.7|123.5|035720| Kakao Corp.| 2.66%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|6.ASSET|Equity|4642.7|120.71|051910| LG Chem Ltd.| 2.60%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|7.ASSET|Equity|4642.7|116.07|005380| Hyundai Motor Company| 2.50%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|8.ASSET|Equity|4642.7|112.35|105560| KB Financial Group Inc.| 2.42%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|9.ASSET|Equity|4642.7|103.53|005490| POSCO Holdings Inc.| 2.23%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|10.ASSET|Equity|4642.7|95.64|000270| Kia Corporation| 2.06%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|11.ASSET|Equity|4642.7|84.96|055550| Shinhan Financial Group Co., Ltd.| 1.83%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|12.ASSET|Equity|4642.7|74.75|068270| Celltrion, Inc.| 1.61%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|13.ASSET|Equity|4642.7|74.28|012330| Hyundai Mobis Co., Ltd| 1.60%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|14.ASSET|Equity|4642.7|71.5|086790| Hana Financial Group Inc.| 1.54%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWY|6|15.ASSET|Equity|4642.7|67.78|066570| LG Electronics Inc.| 1.46%| North America|Equity|Leveraged Equities||QLD|6|1.ASSET|Equity|4611.8|497.61|AAPL| Apple Inc.| 10.79%| North America|Equity|Leveraged Equities||QLD|6|2.ASSET|Equity|4611.8|410.45|MSFT| Microsoft Corporation| 8.90%| North America|Equity|Leveraged Equities||QLD|6|3.ASSET|Equity|4611.8|362.03|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 7.85%| North America|Equity|Leveraged Equities||QLD|6|4.ASSET|Equity|4611.8|280.86|AMZN| Amazon.com, Inc.| 6.09%| North America|Equity|Leveraged Equities||QLD|6|5.ASSET|Equity|4611.8|187.24|N/A| U.S. Dollar| 4.06%| North America|Equity|Leveraged Equities||QLD|6|6.ASSET|Equity|4611.8|160.95|TSLA| Tesla Inc| 3.49%| North America|Equity|Leveraged Equities||QLD|6|7.ASSET|Equity|4611.8|155.88|GOOG| Alphabet Inc. Class C| 3.38%| North America|Equity|Leveraged Equities||QLD|6|8.ASSET|Equity|4611.8|155.42|NVDA| NVIDIA Corporation| 3.37%| North America|Equity|Leveraged Equities||QLD|6|9.ASSET|Equity|4611.8|147.58|GOOGL| Alphabet Inc. Class A| 3.20%| North America|Equity|Leveraged Equities||QLD|6|10.ASSET|Equity|4611.8|134.2|FB| Meta Platforms Inc. Class A| 2.91%| North America|Equity|Leveraged Equities||QLD|6|11.ASSET|Equity|4611.8|72.87|AVGO| Broadcom Inc.| 1.58%| North America|Equity|Leveraged Equities||QLD|6|12.ASSET|Equity|4611.8|71.48|CSCO| Cisco Systems, Inc.| 1.55%| North America|Equity|Leveraged Equities||QLD|6|13.ASSET|Equity|4611.8|70.56|COST| Costco Wholesale Corporation| 1.53%| North America|Equity|Leveraged Equities||QLD|6|14.ASSET|Equity|4611.8|68.72|PEP| PepsiCo, Inc.| 1.49%| North America|Equity|Leveraged Equities||QLD|6|15.ASSET|Equity|4611.8|67.79|ADBE| Adobe Inc.| 1.47%| North America|Equity|Financials Equities|Financials|KRE|6|1.ASSET|Equity|5498.5|156.71|FHN| First Horizon Corporation| 2.85%| North America|Equity|Financials Equities|Financials|KRE|6|2.ASSET|Equity|5498.5|122.07|MTB| M&T Bank Corporation| 2.22%| North America|Equity|Financials Equities|Financials|KRE|6|3.ASSET|Equity|5498.5|120.42|PBCT| People\'s United Financial, Inc.| 2.19%| North America|Equity|Financials Equities|Financials|KRE|6|4.ASSET|Equity|5498.5|114.92|EWBC| East West Bancorp, Inc.| 2.09%| North America|Equity|Financials Equities|Financials|KRE|6|5.ASSET|Equity|5498.5|113.27|SNV| Synovus Financial Corp.| 2.06%| North America|Equity|Financials Equities|Financials|KRE|6|6.ASSET|Equity|5498.5|113.27|CMA| Comerica Incorporated| 2.06%| North America|Equity|Financials Equities|Financials|KRE|6|7.ASSET|Equity|5498.5|113.27|SBNY| Signature Bank| 2.06%| North America|Equity|Financials Equities|Financials|KRE|6|8.ASSET|Equity|5498.5|112.17|ZION| Zions Bancorporation, N.A.| 2.04%| North America|Equity|Financials Equities|Financials|KRE|6|9.ASSET|Equity|5498.5|112.17|CFG| Citizens Financial Group, Inc.| 2.04%| North America|Equity|Financials Equities|Financials|KRE|6|10.ASSET|Equity|5498.5|111.07|FITB| Fifth Third Bancorp| 2.02%| North America|Equity|Financials Equities|Financials|KRE|6|11.ASSET|Equity|5498.5|109.42|KEY| KeyCorp| 1.99%| North America|Equity|Financials Equities|Financials|KRE|6|12.ASSET|Equity|5498.5|108.87|RF| Regions Financial Corporation| 1.98%| North America|Equity|Financials Equities|Financials|KRE|6|13.ASSET|Equity|5498.5|107.22|TFC| Truist Financial Corporation| 1.95%| North America|Equity|Financials Equities|Financials|KRE|6|14.ASSET|Equity|5498.5|102.82|HBAN| Huntington Bancshares Incorporated| 1.87%| North America|Equity|Financials Equities|Financials|KRE|6|15.ASSET|Equity|5498.5|102.27|FCNCA| First Citizens BancShares, Inc. Class A| 1.86%| North America|Equity|Large Cap Growth Equities||ESGV|6|1.ASSET|Equity|6136.8|432.64|AAPL| Apple Inc.| 7.05%| North America|Equity|Large Cap Growth Equities||ESGV|6|2.ASSET|Equity|6136.8|382.32|MSFT| Microsoft Corporation| 6.23%| North America|Equity|Large Cap Growth Equities||ESGV|6|3.ASSET|Equity|6136.8|227.06|AMZN| Amazon.com, Inc.| 3.70%| North America|Equity|Large Cap Growth Equities||ESGV|6|4.ASSET|Equity|6136.8|146.67|GOOG| Alphabet Inc. Class C| 2.39%| North America|Equity|Large Cap Growth Equities||ESGV|6|5.ASSET|Equity|6136.8|119.67|GOOGL| Alphabet Inc. Class A| 1.95%| North America|Equity|Large Cap Growth Equities||ESGV|6|6.ASSET|Equity|6136.8|119.67|TSLA| Tesla Inc| 1.95%| North America|Equity|Large Cap Growth Equities||ESGV|6|7.ASSET|Equity|6136.8|98.8|NVDA| NVIDIA Corporation| 1.61%| North America|Equity|Large Cap Growth Equities||ESGV|6|8.ASSET|Equity|6136.8|84.69|FB| Meta Platforms Inc. Class A| 1.38%| North America|Equity|Large Cap Growth Equities||ESGV|6|9.ASSET|Equity|6136.8|76.1|UNH| UnitedHealth Group Incorporated| 1.24%| North America|Equity|Large Cap Growth Equities||ESGV|6|10.ASSET|Equity|6136.8|70.57|JPM| JPMorgan Chase & Co.| 1.15%| North America|Equity|Large Cap Growth Equities||ESGV|6|11.ASSET|Equity|6136.8|63.21|PG| Procter & Gamble Company| 1.03%| North America|Equity|Large Cap Growth Equities||ESGV|6|12.ASSET|Equity|6136.8|61.98|V| Visa Inc. Class A| 1.01%| North America|Equity|Large Cap Growth Equities||ESGV|6|13.ASSET|Equity|6136.8|57.07|HD| Home Depot, Inc.| 0.93%| North America|Equity|Large Cap Growth Equities||ESGV|6|14.ASSET|Equity|6136.8|54|BAC| Bank of America Corp| 0.88%| North America|Equity|Large Cap Growth Equities||ESGV|6|15.ASSET|Equity|6136.8|53.39|MA| Mastercard Incorporated Class A| 0.87%| North America|Equity|Large Cap Blend Equities||PRF|6|1.ASSET|Equity|5868.3|153.75|AAPL| Apple Inc.| 2.62%| North America|Equity|Large Cap Blend Equities||PRF|6|2.ASSET|Equity|5868.3|133.21|XOM| Exxon Mobil Corporation| 2.27%| North America|Equity|Large Cap Blend Equities||PRF|6|3.ASSET|Equity|5868.3|115.61|BRK.B| Berkshire Hathaway Inc. Class B| 1.97%| North America|Equity|Large Cap Blend Equities||PRF|6|4.ASSET|Equity|5868.3|109.15|MSFT| Microsoft Corporation| 1.86%| North America|Equity|Large Cap Blend Equities||PRF|6|5.ASSET|Equity|5868.3|99.76|WFC| Wells Fargo & Company| 1.70%| North America|Equity|Large Cap Blend Equities||PRF|6|6.ASSET|Equity|5868.3|96.24|CVX| Chevron Corporation| 1.64%| North America|Equity|Large Cap Blend Equities||PRF|6|7.ASSET|Equity|5868.3|91.55|JPM| JPMorgan Chase & Co.| 1.56%| North America|Equity|Large Cap Blend Equities||PRF|6|8.ASSET|Equity|5868.3|83.33|BAC| Bank of America Corp| 1.42%| North America|Equity|Large Cap Blend Equities||PRF|6|9.ASSET|Equity|5868.3|74.53|T| AT&T Inc.| 1.27%| North America|Equity|Large Cap Blend Equities||PRF|6|10.ASSET|Equity|5868.3|71.01|UNH| UnitedHealth Group Incorporated| 1.21%| North America|Equity|Large Cap Blend Equities||PRF|6|11.ASSET|Equity|5868.3|67.49|VZ| Verizon Communications Inc.| 1.15%| North America|Equity|Large Cap Blend Equities||PRF|6|12.ASSET|Equity|5868.3|65.14|PFE| Pfizer Inc.| 1.11%| North America|Equity|Large Cap Blend Equities||PRF|6|13.ASSET|Equity|5868.3|61.62|JNJ| Johnson & Johnson| 1.05%| North America|Equity|Large Cap Blend Equities||PRF|6|14.ASSET|Equity|5868.3|56.34|C| Citigroup Inc.| 0.96%| North America|Equity|Large Cap Blend Equities||PRF|6|15.ASSET|Equity|5868.3|54.58|PG| Procter & Gamble Company| 0.93%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|1.ASSET|Equity|5644.2|198.11|005930| Samsung Electronics Co., Ltd.| 3.51%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|2.ASSET|Equity|5644.2|165.94|7203| Toyota Motor Corp.| 2.94%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|3.ASSET|Equity|5644.2|109.5|BHP| BHP Group Ltd| 1.94%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|4.ASSET|Equity|5644.2|101.03|N/A| U.S. Dollar| 1.79%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|5.ASSET|Equity|5644.2|94.26|6758| Sony Group Corporation| 1.67%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|6.ASSET|Equity|5644.2|86.36|1299| AIA Group Limited| 1.53%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|7.ASSET|Equity|5644.2|77.33|CBA| Commonwealth Bank of Australia| 1.37%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|8.ASSET|Equity|5644.2|63.22|6861| Keyence Corporation| 1.12%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|9.ASSET|Equity|5644.2|60.39|CSL| CSL Limited| 1.07%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|10.ASSET|Equity|5644.2|51.36|8306| Mitsubishi UFJ Financial Group, Inc.| 0.91%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|11.ASSET|Equity|5644.2|49.1|8035| Tokyo Electron Ltd.| 0.87%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|12.ASSET|Equity|5644.2|49.1|388| Hong Kong Exchanges & Clearing Ltd.| 0.87%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|13.ASSET|Equity|5644.2|45.15|6098| Recruit Holdings Co., Ltd.| 0.80%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|14.ASSET|Equity|5644.2|45.15|4063| Shin-Etsu Chemical Co Ltd| 0.80%| Developed Asia Pacific|Equity|Asia Pacific Equities||VPL|6|15.ASSET|Equity|5644.2|43.46|NAB| National Australia Bank Limited| 0.77%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|1.ASSET|Equity|2410.4|218.14|COIN| Coinbase Global, Inc. Class A| 9.05%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|2.ASSET|Equity|2410.4|201.99|TSLA| Tesla Inc| 8.38%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|3.ASSET|Equity|2410.4|188.49|GBTC| Grayscale Bitcoin Trust| 7.82%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|4.ASSET|Equity|2410.4|138.36|ROKU| Roku, Inc. Class A| 5.74%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|5.ASSET|Equity|2410.4|137.39|SQ| Block Inc Class A| 5.70%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|6.ASSET|Equity|2410.4|135.71|TDOC| Teladoc Health, Inc.| 5.63%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|7.ASSET|Equity|2410.4|122.21|ZM| Zoom Video Communications, Inc. Class A| 5.07%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|8.ASSET|Equity|2410.4|115.46|TWLO| Twilio, Inc. Class A| 4.79%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|9.ASSET|Equity|2410.4|106.78|SPOT| Spotify Technology SA| 4.43%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|10.ASSET|Equity|2410.4|90.15|DKNG| DraftKings Inc Class A| 3.74%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|11.ASSET|Equity|2410.4|89.43|U| Unity Software, Inc.| 3.71%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|12.ASSET|Equity|2410.4|84.61|PATH| UiPath Inc Class A| 3.51%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|13.ASSET|Equity|2410.4|78.1|SHOP| Shopify, Inc. Class A| 3.24%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|14.ASSET|Equity|2410.4|64.36|RBLX| Roblox Corp. Class A| 2.67%| North America|Equity|Large Cap Growth Equities|Technology|ARKW|6|15.ASSET|Equity|2410.4|64.12|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 2.66%| North America|Bond|High Yield Bonds|Junk|SHYG|6|1.ASSET|Bond|4801.3|115.23|N/A| MUTUAL FUND (OTHER)| 2.40%| North America|Bond|High Yield Bonds|Junk|SHYG|6|2.ASSET|Bond|4801.3|77.78|N/A| CORPORATE BOND| 1.62%| North America|Bond|High Yield Bonds|Junk|SHYG|6|3.ASSET|Bond|4801.3|46.09|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.96%| North America|Bond|High Yield Bonds|Junk|SHYG|6|4.ASSET|Bond|4801.3|43.21|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.90%| North America|Bond|High Yield Bonds|Junk|SHYG|6|5.ASSET|Bond|4801.3|34.09|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.71%| North America|Bond|High Yield Bonds|Junk|SHYG|6|6.ASSET|Bond|4801.3|33.61|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.70%| North America|Bond|High Yield Bonds|Junk|SHYG|6|7.ASSET|Bond|4801.3|30.25|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.63%| North America|Bond|High Yield Bonds|Junk|SHYG|6|8.ASSET|Bond|4801.3|28.81|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.60%| North America|Bond|High Yield Bonds|Junk|SHYG|6|9.ASSET|Bond|4801.3|26.41|N/A| HCA, Inc. 5.375% 01-FEB-2025| 0.55%| North America|Bond|High Yield Bonds|Junk|SHYG|6|10.ASSET|Bond|4801.3|25.93|N/A| Sprint Corp. 7.125% 15-JUN-2024| 0.54%| North America|Bond|High Yield Bonds|Junk|SHYG|6|11.ASSET|Bond|4801.3|25.45|N/A| DISH DBS Corporation 5.25% 01-DEC-2026| 0.53%| North America|Bond|High Yield Bonds|Junk|SHYG|6|12.ASSET|Bond|4801.3|24.97|N/A| VRX Escrow Corp. 6.125% 15-APR-2025| 0.52%| North America|Bond|High Yield Bonds|Junk|SHYG|6|13.ASSET|Bond|4801.3|24.01|N/A| Occidental Petroleum Corporation 2.9% 15-AUG-2024| 0.50%| North America|Bond|High Yield Bonds|Junk|SHYG|6|14.ASSET|Bond|4801.3|23.05|N/A| Sprint Communications, Inc. 6.0% 15-NOV-2022| 0.48%| North America|Bond|High Yield Bonds|Junk|SHYG|6|15.ASSET|Bond|4801.3|23.05|N/A| Teva Pharmaceutical Finance Netherlands III BV 2.8% 21-JUL-2023| 0.48%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|1.ASSET|Equity|4420.2|354.06|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 8.01%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|2.ASSET|Equity|4420.2|209.08|700| Tencent Holdings Ltd.| 4.73%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|3.ASSET|Equity|4420.2|193.16|005930| Samsung Electronics Co., Ltd.| 4.37%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|4.ASSET|Equity|4420.2|134.37|9988| Alibaba Group Holding Ltd.| 3.04%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|5.ASSET|Equity|4420.2|84.43|1299| AIA Group Limited| 1.91%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|6.ASSET|Equity|4420.2|61|3690| Meituan Class B| 1.38%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|7.ASSET|Equity|4420.2|60.56|500325| Reliance Industries Limited| 1.37%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|8.ASSET|Equity|4420.2|52.16|500209| Infosys Limited| 1.18%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|9.ASSET|Equity|4420.2|48.62|939| China Construction Bank Corporation Class H| 1.10%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|10.ASSET|Equity|4420.2|48.62|9618| JD.com, Inc. Class A| 1.10%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|11.ASSET|Equity|4420.2|40.22|2454| MediaTek Inc| 0.91%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|12.ASSET|Equity|4420.2|38.01|000660| SK hynix Inc| 0.86%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|13.ASSET|Equity|4420.2|37.57|388| Hong Kong Exchanges & Clearing Ltd.| 0.85%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|14.ASSET|Equity|4420.2|36.69|500010| Housing Development Finance Corporation Limited| 0.83%| Broad Asia|Equity|Asia Pacific Equities||AAXJ|6|15.ASSET|Equity|4420.2|33.59|532174| ICICI Bank Limited| 0.76%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|1.ASSET|Bond|4646.3|22.77|N/A| Anheuser-Busch Cos. LLC 4.9% 01-FEB-2046| 0.49%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|2.ASSET|Bond|4646.3|20.44|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 0.44%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|3.ASSET|Bond|4646.3|18.59|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 0.40%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|4.ASSET|Bond|4646.3|16.26|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 0.35%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|5.ASSET|Bond|4646.3|15.8|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 0.34%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|6.ASSET|Bond|4646.3|15.33|N/A| AT&T Inc. 3.55% 15-SEP-2055| 0.33%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|7.ASSET|Bond|4646.3|13.94|N/A| AT&T Inc. 3.65% 15-SEP-2059| 0.30%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|8.ASSET|Bond|4646.3|13.47|N/A| AT&T Inc. 3.5% 15-SEP-2053| 0.29%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|9.ASSET|Bond|4646.3|13.01|N/A| AT&T Inc. 3.8% 01-DEC-2057| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|10.ASSET|Bond|4646.3|13.01|N/A| Microsoft Corporation 2.921% 17-MAR-2052| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|11.ASSET|Bond|4646.3|12.55|N/A| Bank of America Corporation 4.083% 20-MAR-2051| 0.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|12.ASSET|Bond|4646.3|12.08|N/A| Boeing Company 5.805% 01-MAY-2050| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|13.ASSET|Bond|4646.3|11.62|N/A| Verizon Communications Inc. 3.55% 22-MAR-2051| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|14.ASSET|Bond|4646.3|11.62|N/A| Microsoft Corporation 2.525% 01-JUN-2050| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCLT|6|15.ASSET|Bond|4646.3|11.62|N/A| Verizon Communications Inc. 3.4% 22-MAR-2041| 0.25%| Emerging Asia Pacific|Equity|China Equities||FXI|6|1.ASSET|Equity|5511.7|498.26|700| Tencent Holdings Ltd.| 9.04%| Emerging Asia Pacific|Equity|China Equities||FXI|6|2.ASSET|Equity|5511.7|464.64|9988| Alibaba Group Holding Ltd.| 8.43%| Emerging Asia Pacific|Equity|China Equities||FXI|6|3.ASSET|Equity|5511.7|406.21|939| China Construction Bank Corporation Class H| 7.37%| Emerging Asia Pacific|Equity|China Equities||FXI|6|4.ASSET|Equity|5511.7|396.29|3690| Meituan Class B| 7.19%| Emerging Asia Pacific|Equity|China Equities||FXI|6|5.ASSET|Equity|5511.7|284.95|1398| Industrial and Commercial Bank of China Limited Class H| 5.17%| Emerging Asia Pacific|Equity|China Equities||FXI|6|6.ASSET|Equity|5511.7|281.65|9618| JD.com, Inc. Class A| 5.11%| Emerging Asia Pacific|Equity|China Equities||FXI|6|7.ASSET|Equity|5511.7|279.44|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 5.07%| Emerging Asia Pacific|Equity|China Equities||FXI|6|8.ASSET|Equity|5511.7|264.56|9888| Baidu, Inc. Class A| 4.80%| Emerging Asia Pacific|Equity|China Equities||FXI|6|9.ASSET|Equity|5511.7|177.48|3968| China Merchants Bank Co., Ltd. Class H| 3.22%| Emerging Asia Pacific|Equity|China Equities||FXI|6|10.ASSET|Equity|5511.7|168.66|2269| Wuxi Biologics (Cayman) Inc.| 3.06%| Emerging Asia Pacific|Equity|China Equities||FXI|6|11.ASSET|Equity|5511.7|164.25|3988| Bank of China Limited Class H| 2.98%| Emerging Asia Pacific|Equity|China Equities||FXI|6|12.ASSET|Equity|5511.7|159.84|9999| NetEase, Inc| 2.90%| Emerging Asia Pacific|Equity|China Equities||FXI|6|13.ASSET|Equity|5511.7|143.3|1211| BYD Company Limited Class H| 2.60%| Emerging Asia Pacific|Equity|China Equities||FXI|6|14.ASSET|Equity|5511.7|142.75|1810| Xiaomi Corp. Class B| 2.59%| Emerging Asia Pacific|Equity|China Equities||FXI|6|15.ASSET|Equity|5511.7|125.12|2331| Li Ning Company Limited| 2.27%| Developed Europe|Equity|Europe Equities||IEUR|6|1.ASSET|Equity|5334.2|162.69|NESN| Nestle S.A.| 3.05%| Developed Europe|Equity|Europe Equities||IEUR|6|2.ASSET|Equity|5334.2|123.22|ASML| ASML Holding NV| 2.31%| Developed Europe|Equity|Europe Equities||IEUR|6|3.ASSET|Equity|5334.2|117.89|ROG| Roche Holding Ltd| 2.21%| Developed Europe|Equity|Europe Equities||IEUR|6|4.ASSET|Equity|5334.2|90.68|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.70%| Developed Europe|Equity|Europe Equities||IEUR|6|5.ASSET|Equity|5334.2|90.68|SHEL| Shell PLC| 1.70%| Developed Europe|Equity|Europe Equities||IEUR|6|6.ASSET|Equity|5334.2|85.35|NOVN| Novartis AG| 1.60%| Developed Europe|Equity|Europe Equities||IEUR|6|7.ASSET|Equity|5334.2|83.75|AZN| AstraZeneca PLC| 1.57%| Developed Europe|Equity|Europe Equities||IEUR|6|8.ASSET|Equity|5334.2|77.88|NOVO.B| Novo Nordisk A/S Class B| 1.46%| Developed Europe|Equity|Europe Equities||IEUR|6|9.ASSET|Equity|5334.2|62.94|HSBA| HSBC Holdings Plc| 1.18%| Developed Europe|Equity|Europe Equities||IEUR|6|10.ASSET|Equity|5334.2|57.61|ULVR| Unilever PLC| 1.08%| Developed Europe|Equity|Europe Equities||IEUR|6|11.ASSET|Equity|5334.2|57.08|TTE| TotalEnergies SE| 1.07%| Developed Europe|Equity|Europe Equities||IEUR|6|12.ASSET|Equity|5334.2|52.81|SAN| Sanofi| 0.99%| Developed Europe|Equity|Europe Equities||IEUR|6|13.ASSET|Equity|5334.2|52.28|SAP| SAP SE| 0.98%| Developed Europe|Equity|Europe Equities||IEUR|6|14.ASSET|Equity|5334.2|51.74|DGE| Diageo plc| 0.97%| Developed Europe|Equity|Europe Equities||IEUR|6|15.ASSET|Equity|5334.2|48.01|SIE| Siemens AG| 0.90%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|1.ASSET|Bond|4951.5|290.16|N/A| UMBS TBA 30yr 2% April Delivery 2.000% 01-NOV-2051| 5.86%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|2.ASSET|Bond|4951.5|258.96|N/A| UMBS TBA 30yr 2.5% April Delivery 2.500% 01-JAN-2052| 5.23%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|3.ASSET|Bond|4951.5|248.07|JTSXX| JPMorgan Trust I 100% US Treasury Securities Money Market Fund Institutional| 5.01%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|4.ASSET|Bond|4951.5|174.79|N/A| United States Treasury Notes 0.75% 31-DEC-2023| 3.53%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|5.ASSET|Bond|4951.5|172.81|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 3.49%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|6.ASSET|Bond|4951.5|156.96|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 3.17%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|7.ASSET|Bond|4951.5|146.56|N/A| United States Treasury Bond 2.0% 15-NOV-2041| 2.96%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|8.ASSET|Bond|4951.5|134.68|N/A| United States Treasury Notes 1.5% 29-FEB-2024| 2.72%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|9.ASSET|Bond|4951.5|89.62|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 1.81%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|10.ASSET|Bond|4951.5|87.64|N/A| U.S. Dollar| 1.77%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|11.ASSET|Bond|4951.5|87.64|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 1.77%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|12.ASSET|Bond|4951.5|82.19|N/A| United States Treasury Bills 0.0% 09-JUN-2022| 1.66%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|13.ASSET|Bond|4951.5|79.72|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 1.61%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|14.ASSET|Bond|4951.5|64.86|N/A| UMBS TBA 30yr 3% April Delivery 3.000% 01-OCT-2048| 1.31%| North America|Bond|Total Bond Market|Total Bond Market|FIXD|6|15.ASSET|Bond|4951.5|60.41|N/A| United States Treasury Notes 1.875% 28-FEB-2027| 1.22%| North America|Equity|Industrials Equities|Industrials|VIS|6|1.ASSET|Equity|4625.6|184.1|UNP| Union Pacific Corporation| 3.98%| North America|Equity|Industrials Equities|Industrials|VIS|6|2.ASSET|Equity|4625.6|170.22|UPS| United Parcel Service, Inc. Class B| 3.68%| North America|Equity|Industrials Equities|Industrials|VIS|6|3.ASSET|Equity|4625.6|163.28|HON| Honeywell International Inc.| 3.53%| North America|Equity|Industrials Equities|Industrials|VIS|6|4.ASSET|Equity|4625.6|157.27|RTX| Raytheon Technologies Corporation| 3.40%| North America|Equity|Industrials Equities|Industrials|VIS|6|5.ASSET|Equity|4625.6|128.59|BA| Boeing Company| 2.78%| North America|Equity|Industrials Equities|Industrials|VIS|6|6.ASSET|Equity|4625.6|128.13|DE| Deere & Company| 2.77%| North America|Equity|Industrials Equities|Industrials|VIS|6|7.ASSET|Equity|4625.6|127.67|CAT| Caterpillar Inc.| 2.76%| North America|Equity|Industrials Equities|Industrials|VIS|6|8.ASSET|Equity|4625.6|119.8|GE| General Electric Company| 2.59%| North America|Equity|Industrials Equities|Industrials|VIS|6|9.ASSET|Equity|4625.6|111.94|LMT| Lockheed Martin Corporation| 2.42%| North America|Equity|Industrials Equities|Industrials|VIS|6|10.ASSET|Equity|4625.6|111.01|MMM| 3M Company| 2.40%| North America|Equity|Industrials Equities|Industrials|VIS|6|11.ASSET|Equity|4625.6|89.27|CSX| CSX Corporation| 1.93%| North America|Equity|Industrials Equities|Industrials|VIS|6|12.ASSET|Equity|4625.6|85.11|ITW| Illinois Tool Works Inc.| 1.84%| North America|Equity|Industrials Equities|Industrials|VIS|6|13.ASSET|Equity|4625.6|77.71|NSC| Norfolk Southern Corporation| 1.68%| North America|Equity|Industrials Equities|Industrials|VIS|6|14.ASSET|Equity|4625.6|73.08|ETN| Eaton Corp. Plc| 1.58%| North America|Equity|Industrials Equities|Industrials|VIS|6|15.ASSET|Equity|4625.6|73.08|WM| Waste Management, Inc.| 1.58%| North America|Equity|Technology Equities|Technology|CIBR|6|1.ASSET|Equity|5959.2|387.35|PANW| Palo Alto Networks, Inc.| 6.50%| North America|Equity|Technology Equities|Technology|CIBR|6|2.ASSET|Equity|5959.2|372.45|CSCO| Cisco Systems, Inc.| 6.25%| North America|Equity|Technology Equities|Technology|CIBR|6|3.ASSET|Equity|5959.2|337.89|CRWD| CrowdStrike Holdings, Inc. Class A| 5.67%| North America|Equity|Technology Equities|Technology|CIBR|6|4.ASSET|Equity|5959.2|324.18|ACN| Accenture Plc Class A| 5.44%| North America|Equity|Technology Equities|Technology|CIBR|6|5.ASSET|Equity|5959.2|243.73|CHKP| Check Point Software Technologies Ltd.| 4.09%| North America|Equity|Technology Equities|Technology|CIBR|6|6.ASSET|Equity|5959.2|231.22|NET| Cloudflare Inc Class A| 3.88%| North America|Equity|Technology Equities|Technology|CIBR|6|7.ASSET|Equity|5959.2|219.3|MNDT| Mandiant, Inc.| 3.68%| North America|Equity|Technology Equities|Technology|CIBR|6|8.ASSET|Equity|5959.2|215.13|LDOS| Leidos Holdings, Inc.| 3.61%| North America|Equity|Technology Equities|Technology|CIBR|6|9.ASSET|Equity|5959.2|210.96|TENB| Tenable Holdings, Inc.| 3.54%| North America|Equity|Technology Equities|Technology|CIBR|6|10.ASSET|Equity|5959.2|199.63|JNPR| Juniper Networks, Inc.| 3.35%| North America|Equity|Technology Equities|Technology|CIBR|6|11.ASSET|Equity|5959.2|194.87|HO| Thales SA| 3.27%| North America|Equity|Technology Equities|Technology|CIBR|6|12.ASSET|Equity|5959.2|188.91|FTNT| Fortinet, Inc.| 3.17%| North America|Equity|Technology Equities|Technology|CIBR|6|13.ASSET|Equity|5959.2|186.52|VMW| VMware, Inc. Class A| 3.13%| North America|Equity|Technology Equities|Technology|CIBR|6|14.ASSET|Equity|5959.2|178.78|MIME| Mimecast Limited| 3.00%| North America|Equity|Technology Equities|Technology|CIBR|6|15.ASSET|Equity|5959.2|178.18|AKAM| Akamai Technologies, Inc.| 2.99%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|1.ASSET|Equity|5208.1|85.41|VZ| Verizon Communications Inc.| 1.64%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|2.ASSET|Equity|5208.1|78.12|ROG| Roche Holding Ltd| 1.50%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|3.ASSET|Equity|5208.1|70.83|NESN| Nestle S.A.| 1.36%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|4.ASSET|Equity|5208.1|70.83|WM| Waste Management, Inc.| 1.36%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|5.ASSET|Equity|5208.1|69.27|NEM| Newmont Corporation| 1.33%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|6.ASSET|Equity|5208.1|63.02|REGN| Regeneron Pharmaceuticals, Inc.| 1.21%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|7.ASSET|Equity|5208.1|58.33|PEP| PepsiCo, Inc.| 1.12%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|8.ASSET|Equity|5208.1|54.16|WMT| Walmart Inc.| 1.04%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|9.ASSET|Equity|5208.1|53.12|MRK| Merck & Co., Inc.| 1.02%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|10.ASSET|Equity|5208.1|53.12|NOVO.B| Novo Nordisk A/S Class B| 1.02%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|11.ASSET|Equity|5208.1|53.12|KR| Kroger Co.| 1.02%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|12.ASSET|Equity|5208.1|52.08|NEE| NextEra Energy, Inc.| 1.00%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|13.ASSET|Equity|5208.1|51.56|PSA| Public Storage| 0.99%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|14.ASSET|Equity|5208.1|50.52|JNJ| Johnson & Johnson| 0.97%| Developed Markets|Equity|Large Cap Blend Equities||ACWV|6|15.ASSET|Equity|5208.1|50.52|V| Visa Inc. Class A| 0.97%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|1.ASSET|Bond|4356.6|82.78|N/A| Kraft Heinz Foods Co. 4.375% 01-JUN-2046| 1.90%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|2.ASSET|Bond|4356.6|80.16|N/A| Sprint Capital Corp. 6.875% 15-NOV-2028| 1.84%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|3.ASSET|Bond|4356.6|75.37|N/A| Sprint Capital Corp. 8.75% 15-MAR-2032| 1.73%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|4.ASSET|Bond|4356.6|60.12|N/A| Vodafone Group PLC Notes 2019-04.04.79 Global Fixed/Floating Rate| 1.38%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|5.ASSET|Bond|4356.6|55.76|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 1.28%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|6.ASSET|Bond|4356.6|55.33|N/A| Kraft Heinz Foods Co. 5.2% 15-JUL-2045| 1.27%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|7.ASSET|Bond|4356.6|55.33|N/A| Newell Brands Inc 4.7% 01-APR-2026| 1.27%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|8.ASSET|Bond|4356.6|51.41|N/A| FirstEnergy Corp. 7.375% 15-NOV-2031| 1.18%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|9.ASSET|Bond|4356.6|50.1|N/A| Kraft Heinz Foods Co. 3.0% 01-JUN-2026| 1.15%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|10.ASSET|Bond|4356.6|47.05|N/A| Occidental Petroleum Corporation 6.45% 15-SEP-2036| 1.08%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|11.ASSET|Bond|4356.6|45.31|N/A| Kraft Foods Group, Inc. 5.0% 04-JUN-2042| 1.04%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|12.ASSET|Bond|4356.6|44.87|N/A| Kraft Heinz Foods Co. 4.875% 01-OCT-2049| 1.03%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|13.ASSET|Bond|4356.6|41.82|N/A| Royal Caribbean Group 11.5% 01-JUN-2025| 0.96%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|14.ASSET|Bond|4356.6|41.82|N/A| FirstEnergy Corp. 4.4% 15-JUL-2027| 0.96%| Developed Markets|Bond|High Yield Bonds|Junk|ANGL|6|15.ASSET|Bond|4356.6|41.39|N/A| Deutsche Bank Aktiengesellschaft 4.5% 01-APR-2025| 0.95%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|1.ASSET|Equity|4620.8|172.82|939| China Construction Bank Corporation Class H| 3.74%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|2.ASSET|Equity|4620.8|169.58|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.67%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|3.ASSET|Equity|4620.8|133.08|2317| Hon Hai Precision Industry Co., Ltd.| 2.88%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|4.ASSET|Equity|4620.8|100.27|1398| Industrial and Commercial Bank of China Limited Class H| 2.17%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|5.ASSET|Equity|4620.8|89.64|PETR4| Petroleo Brasileiro SA Pfd| 1.94%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|6.ASSET|Equity|4620.8|85.02|386| China Petroleum & Chemical Corporation Class H| 1.84%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|7.ASSET|Equity|4620.8|79.02|PETR3| Petroleo Brasileiro SA| 1.71%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|8.ASSET|Equity|4620.8|71.16|3988| Bank of China Limited Class H| 1.54%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|9.ASSET|Equity|4620.8|64.69|ITUB4| Itau Unibanco Holding SA Pfd| 1.40%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|10.ASSET|Equity|4620.8|60.99|VALE3| Vale S.A.| 1.32%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|11.ASSET|Equity|4620.8|59.61|MTN| MTN Group Limited| 1.29%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|12.ASSET|Equity|4620.8|57.3|500325| Reliance Industries Limited| 1.24%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|13.ASSET|Equity|4620.8|56.84|AMXL| America Movil SAB de CV Class L| 1.23%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|14.ASSET|Equity|4620.8|56.37|700| Tencent Holdings Ltd.| 1.22%| Emerging Markets|Equity|Emerging Markets Equities||FNDE|6|15.ASSET|Equity|4620.8|51.75|PTT.R| PTT Public Co., Ltd. NVDR| 1.12%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|1.ASSET|Equity|4823.2|461.58|ALB| Albemarle Corporation| 9.57%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|2.ASSET|Equity|4823.2|308.68|6762| TDK Corporation| 6.40%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|3.ASSET|Equity|4823.2|262.38|TSLA| Tesla Inc| 5.44%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|4.ASSET|Equity|4823.2|245.5|300750| Contemporary Amperex Technology Co., Ltd. Class A| 5.09%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|5.ASSET|Equity|4823.2|236.34|002812| Yunnan Energy New Material Co., Ltd. Class A| 4.90%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|6.ASSET|Equity|4823.2|233.93|002460| Ganfeng Lithium Co., Ltd. Class A| 4.85%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|7.ASSET|Equity|4823.2|224.76|1211| BYD Company Limited Class H| 4.66%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|8.ASSET|Equity|4823.2|215.11|6752| Panasonic Corporation| 4.46%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|9.ASSET|Equity|4823.2|209.33|300014| EVE Energy Co. Ltd. Class A| 4.34%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|10.ASSET|Equity|4823.2|206.43|300450| Wuxi Lead Intelligent Equipment Co. Ltd. Class A| 4.28%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|11.ASSET|Equity|4823.2|193.89|006400| Samsung SDI Co., Ltd| 4.02%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|12.ASSET|Equity|4823.2|193.41|SQM| Sociedad Quimica Y Minera De Chile S.A. Sponsored ADR Pfd Class B| 4.01%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|13.ASSET|Equity|4823.2|183.76|002371| NAURA Technology Group Co Ltd Class A| 3.81%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|14.ASSET|Equity|4823.2|170.26|051910| LG Chem Ltd.| 3.53%| Developed Markets|Equity|Commodity Producers Equities|Materials|LIT|6|15.ASSET|Equity|4823.2|162.06|002709| Guangzhou Tinci Materials Technology Co., Ltd| 3.36%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|1.ASSET|Real Estate|4652.8|176.81|N/A| U.S. Dollar| 3.80%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|2.ASSET|Real Estate|4652.8|174.01|VNA| Vonovia SE| 3.74%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|3.ASSET|Real Estate|4652.8|110.27|GMG| Goodman Group| 2.37%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|4.ASSET|Real Estate|4652.8|83.29|SGRO| SEGRO plc| 1.79%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|5.ASSET|Real Estate|4652.8|81.42|8801| Mitsui Fudosan Co., Ltd.| 1.75%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|6.ASSET|Real Estate|4652.8|79.1|8802| Mitsubishi Estate Company, Limited| 1.70%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|7.ASSET|Real Estate|4652.8|76.77|1925| Daiwa House Industry Co., Ltd.| 1.65%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|8.ASSET|Real Estate|4652.8|73.98|16| Sun Hung Kai Properties Limited| 1.59%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|9.ASSET|Real Estate|4652.8|70.72|823| Link Real Estate Investment Trust| 1.52%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|10.ASSET|Real Estate|4652.8|58.16|8830| Sumitomo Realty & Development Co., Ltd.| 1.25%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|11.ASSET|Real Estate|4652.8|54.44|1109| China Resources Land Limited| 1.17%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|12.ASSET|Real Estate|4652.8|51.65|1113| CK Asset Holdings Limited| 1.11%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|13.ASSET|Real Estate|4652.8|43.27|688| China Overseas Land & Investment Limited| 0.93%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|14.ASSET|Real Estate|4652.8|42.34|SCG| Scentre Group| 0.91%| Developed Markets|Real Estate|Global Real Estate|Real Estate|VNQI|6|15.ASSET|Real Estate|4652.8|38.15|LEG| LEG Immobilien SE| 0.82%| North America|Equity|Large Cap Blend Equities||SPYD|6|1.ASSET|Equity|6133.4|97.52|OGN| Organon & Co.| 1.59%| North America|Equity|Large Cap Blend Equities||SPYD|6|2.ASSET|Equity|6133.4|91.39|CVX| Chevron Corporation| 1.49%| North America|Equity|Large Cap Blend Equities||SPYD|6|3.ASSET|Equity|6133.4|87.09|WMB| Williams Companies, Inc.| 1.42%| North America|Equity|Large Cap Blend Equities||SPYD|6|4.ASSET|Equity|6133.4|86.48|OKE| ONEOK, Inc.| 1.41%| North America|Equity|Large Cap Blend Equities||SPYD|6|5.ASSET|Equity|6133.4|86.48|EOG| EOG Resources, Inc.| 1.41%| North America|Equity|Large Cap Blend Equities||SPYD|6|6.ASSET|Equity|6133.4|85.87|IRM| Iron Mountain, Inc.| 1.40%| North America|Equity|Large Cap Blend Equities||SPYD|6|7.ASSET|Equity|6133.4|85.25|ABBV| AbbVie, Inc.| 1.39%| North America|Equity|Large Cap Blend Equities||SPYD|6|8.ASSET|Equity|6133.4|85.25|SRE| Sempra Energy| 1.39%| North America|Equity|Large Cap Blend Equities||SPYD|6|9.ASSET|Equity|6133.4|84.64|BKR| Baker Hughes Company Class A| 1.38%| North America|Equity|Large Cap Blend Equities||SPYD|6|10.ASSET|Equity|6133.4|84.03|OMC| Omnicom Group Inc| 1.37%| North America|Equity|Large Cap Blend Equities||SPYD|6|11.ASSET|Equity|6133.4|83.41|NEM| Newmont Corporation| 1.36%| North America|Equity|Large Cap Blend Equities||SPYD|6|12.ASSET|Equity|6133.4|83.41|BMY| Bristol-Myers Squibb Company| 1.36%| North America|Equity|Large Cap Blend Equities||SPYD|6|13.ASSET|Equity|6133.4|83.41|XOM| Exxon Mobil Corporation| 1.36%| North America|Equity|Large Cap Blend Equities||SPYD|6|14.ASSET|Equity|6133.4|82.8|MPC| Marathon Petroleum Corporation| 1.35%| North America|Equity|Large Cap Blend Equities||SPYD|6|15.ASSET|Equity|6133.4|82.19|VTR| Ventas, Inc.| 1.34%| North America|Bond|National Munis|Municipal Bond|SHM|6|1.ASSET|Bond|4936|103.66|N/A| MUNICIPAL BONDS| 2.10%| North America|Bond|National Munis|Municipal Bond|SHM|6|2.ASSET|Bond|4936|85.89|N/A| Orange Cnty Calif Transn Auth Rev 5.0% 15-OCT-2024| 1.74%| North America|Bond|National Munis|Municipal Bond|SHM|6|3.ASSET|Bond|4936|54.3|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2026| 1.10%| North America|Bond|National Munis|Municipal Bond|SHM|6|4.ASSET|Bond|4936|50.84|N/A| California St 5.0% 01-OCT-2026| 1.03%| North America|Bond|National Munis|Municipal Bond|SHM|6|5.ASSET|Bond|4936|39.98|N/A| Chino Basin Calif Regl Fing Auth Rev 4.0% 01-NOV-2025| 0.81%| North America|Bond|National Munis|Municipal Bond|SHM|6|6.ASSET|Bond|4936|39.98|N/A| California St 4.0% 01-OCT-2024| 0.81%| North America|Bond|National Munis|Municipal Bond|SHM|6|7.ASSET|Bond|4936|38.5|N/A| New York St Dorm Auth St Pers Income Tax Rev 5.0% 15-MAR-2027| 0.78%| North America|Bond|National Munis|Municipal Bond|SHM|6|8.ASSET|Bond|4936|35.54|N/A| Connecticut St Health & Edl Facs Auth Rev VAR 01-JUL-2057| 0.72%| North America|Bond|National Munis|Municipal Bond|SHM|6|9.ASSET|Bond|4936|34.06|N/A| New York St Urban Dev Corp Rev 5.0% 15-MAR-2026| 0.69%| North America|Bond|National Munis|Municipal Bond|SHM|6|10.ASSET|Bond|4936|33.56|N/A| San Antonio Tex Wtr Rev VAR 01-MAY-2049| 0.68%| North America|Bond|National Munis|Municipal Bond|SHM|6|11.ASSET|Bond|4936|30.6|N/A| Massachusetts St 5.0% 01-SEP-2026| 0.62%| North America|Bond|National Munis|Municipal Bond|SHM|6|12.ASSET|Bond|4936|28.14|N/A| California St Pub Wks Brd Lease Rev 5.0% 01-FEB-2026| 0.57%| North America|Bond|National Munis|Municipal Bond|SHM|6|13.ASSET|Bond|4936|28.14|N/A| New York St Urban Dev Corp Rev 5.0% 15-MAR-2025| 0.57%| North America|Bond|National Munis|Municipal Bond|SHM|6|14.ASSET|Bond|4936|23.2|N/A| Pennsylvania St 5.0% 01-MAR-2024| 0.47%| North America|Bond|National Munis|Municipal Bond|SHM|6|15.ASSET|Bond|4936|22.71|N/A| Los Angeles Calif Uni Sch Dist 5.0% 01-JUL-2023| 0.46%| North America|Equity|Utilities Equities|Utilities|VPU|6|1.ASSET|Equity|5540.8|751.33|NEE| NextEra Energy, Inc.| 13.56%| North America|Equity|Utilities Equities|Utilities|VPU|6|2.ASSET|Equity|5540.8|396.17|DUK| Duke Energy Corporation| 7.15%| North America|Equity|Utilities Equities|Utilities|VPU|6|3.ASSET|Equity|5540.8|360.71|SO| Southern Company| 6.51%| North America|Equity|Utilities Equities|Utilities|VPU|6|4.ASSET|Equity|5540.8|319.7|D| Dominion Energy Inc| 5.77%| North America|Equity|Utilities Equities|Utilities|VPU|6|5.ASSET|Equity|5540.8|277.59|EXC| Exelon Corporation| 5.01%| North America|Equity|Utilities Equities|Utilities|VPU|6|6.ASSET|Equity|5540.8|221.63|AEP| American Electric Power Company, Inc.| 4.00%| North America|Equity|Utilities Equities|Utilities|VPU|6|7.ASSET|Equity|5540.8|207.78|SRE| Sempra Energy| 3.75%| North America|Equity|Utilities Equities|Utilities|VPU|6|8.ASSET|Equity|5540.8|183.95|XEL| Xcel Energy Inc.| 3.32%| North America|Equity|Utilities Equities|Utilities|VPU|6|9.ASSET|Equity|5540.8|165.12|PEG| Public Service Enterprise Group Inc| 2.98%| North America|Equity|Utilities Equities|Utilities|VPU|6|10.ASSET|Equity|5540.8|150.71|ES| Eversource Energy| 2.72%| North America|Equity|Utilities Equities|Utilities|VPU|6|11.ASSET|Equity|5540.8|150.16|WEC| WEC Energy Group Inc| 2.71%| North America|Equity|Utilities Equities|Utilities|VPU|6|12.ASSET|Equity|5540.8|149.6|ED| Consolidated Edison, Inc.| 2.70%| North America|Equity|Utilities Equities|Utilities|VPU|6|13.ASSET|Equity|5540.8|142.95|AWK| American Water Works Company, Inc.| 2.58%| North America|Equity|Utilities Equities|Utilities|VPU|6|14.ASSET|Equity|5540.8|116.91|EIX| Edison International| 2.11%| North America|Equity|Utilities Equities|Utilities|VPU|6|15.ASSET|Equity|5540.8|114.14|DTE| DTE Energy Company| 2.06%| Latin America|Equity|Latin America Equities||EWZ|6|1.ASSET|Equity|5730.8|1164.5|VALE3| Vale S.A.| 20.32%| Latin America|Equity|Latin America Equities||EWZ|6|2.ASSET|Equity|5730.8|479.09|PETR4| Petroleo Brasileiro SA Pfd| 8.36%| Latin America|Equity|Latin America Equities||EWZ|6|3.ASSET|Equity|5730.8|400.58|PETR3| Petroleo Brasileiro SA| 6.99%| Latin America|Equity|Latin America Equities||EWZ|6|4.ASSET|Equity|5730.8|344.99|ITUB4| Itau Unibanco Holding SA Pfd| 6.02%| Latin America|Equity|Latin America Equities||EWZ|6|5.ASSET|Equity|5730.8|251.01|B3SA3| B3 SA - Brasil, Bolsa, Balcao| 4.38%| Latin America|Equity|Latin America Equities||EWZ|6|6.ASSET|Equity|5730.8|227.51|BBDC4| Banco Bradesco SA Pfd| 3.97%| Latin America|Equity|Latin America Equities||EWZ|6|7.ASSET|Equity|5730.8|193.7|ABEV3| Ambev SA| 3.38%| Latin America|Equity|Latin America Equities||EWZ|6|8.ASSET|Equity|5730.8|151.29|WEGE3| WEG S.A.| 2.64%| Latin America|Equity|Latin America Equities||EWZ|6|9.ASSET|Equity|5730.8|138.69|HAPV3| Hapvida Participacoes e Investimentos SA| 2.42%| Latin America|Equity|Latin America Equities||EWZ|6|10.ASSET|Equity|5730.8|132.38|SUZB3| Suzano S.A.| 2.31%| Latin America|Equity|Latin America Equities||EWZ|6|11.ASSET|Equity|5730.8|126.65|ITSA4| Itausa - Investimentos Itau SA Pfd| 2.21%| Latin America|Equity|Latin America Equities||EWZ|6|12.ASSET|Equity|5730.8|111.75|RENT3| Localiza Rent A Car S.A.| 1.95%| Latin America|Equity|Latin America Equities||EWZ|6|13.ASSET|Equity|5730.8|103.15|JBSS3| JBS S.A.| 1.80%| Latin America|Equity|Latin America Equities||EWZ|6|14.ASSET|Equity|5730.8|100.29|BBAS3| Banco do Brasil S.A.| 1.75%| Latin America|Equity|Latin America Equities||EWZ|6|15.ASSET|Equity|5730.8|96.85|GGBR4| Gerdau SA Pfd| 1.69%| North America|Equity|Large Cap Growth Equities||QYLD|6|1.ASSET|Equity|6578.1|847.26|AAPL| Apple Inc.| 12.88%| North America|Equity|Large Cap Growth Equities||QYLD|6|2.ASSET|Equity|6578.1|699.25|MSFT| Microsoft Corporation| 10.63%| North America|Equity|Large Cap Growth Equities||QYLD|6|3.ASSET|Equity|6578.1|478.89|AMZN| Amazon.com, Inc.| 7.28%| North America|Equity|Large Cap Growth Equities||QYLD|6|4.ASSET|Equity|6578.1|274.96|TSLA| Tesla Inc| 4.18%| North America|Equity|Large Cap Growth Equities||QYLD|6|5.ASSET|Equity|6578.1|265.76|GOOG| Alphabet Inc. Class C| 4.04%| North America|Equity|Large Cap Growth Equities||QYLD|6|6.ASSET|Equity|6578.1|264.44|NVDA| NVIDIA Corporation| 4.02%| North America|Equity|Large Cap Growth Equities||QYLD|6|7.ASSET|Equity|6578.1|251.94|GOOGL| Alphabet Inc. Class A| 3.83%| North America|Equity|Large Cap Growth Equities||QYLD|6|8.ASSET|Equity|6578.1|228.92|FB| Meta Platforms Inc. Class A| 3.48%| North America|Equity|Large Cap Growth Equities||QYLD|6|9.ASSET|Equity|6578.1|124.33|AVGO| Broadcom Inc.| 1.89%| North America|Equity|Large Cap Growth Equities||QYLD|6|10.ASSET|Equity|6578.1|122.35|CSCO| Cisco Systems, Inc.| 1.86%| North America|Equity|Large Cap Growth Equities||QYLD|6|11.ASSET|Equity|6578.1|120.38|COST| Costco Wholesale Corporation| 1.83%| North America|Equity|Large Cap Growth Equities||QYLD|6|12.ASSET|Equity|6578.1|117.75|PEP| PepsiCo, Inc.| 1.79%| North America|Equity|Large Cap Growth Equities||QYLD|6|13.ASSET|Equity|6578.1|115.77|ADBE| Adobe Inc.| 1.76%| North America|Equity|Large Cap Growth Equities||QYLD|6|14.ASSET|Equity|6578.1|109.2|CMCSA| Comcast Corporation Class A| 1.66%| North America|Equity|Large Cap Growth Equities||QYLD|6|15.ASSET|Equity|6578.1|102.62|INTC| Intel Corporation| 1.56%| North America|Equity|Mid Cap Blend Equities||SPMD|6|1.ASSET|Equity|5237.4|38.76|CPT| Camden Property Trust| 0.74%| North America|Equity|Mid Cap Blend Equities||SPMD|6|2.ASSET|Equity|5237.4|35.09|AA| Alcoa Corporation| 0.67%| North America|Equity|Mid Cap Blend Equities||SPMD|6|3.ASSET|Equity|5237.4|35.09|TRGP| Targa Resources Corp.| 0.67%| North America|Equity|Mid Cap Blend Equities||SPMD|6|4.ASSET|Equity|5237.4|33.52|BLDR| Builders FirstSource, Inc.| 0.64%| North America|Equity|Mid Cap Blend Equities||SPMD|6|5.ASSET|Equity|5237.4|31.95|STLD| Steel Dynamics, Inc.| 0.61%| North America|Equity|Mid Cap Blend Equities||SPMD|6|6.ASSET|Equity|5237.4|30.38|FICO| Fair Isaac Corporation| 0.58%| North America|Equity|Mid Cap Blend Equities||SPMD|6|7.ASSET|Equity|5237.4|29.33|FHN| First Horizon Corporation| 0.56%| North America|Equity|Mid Cap Blend Equities||SPMD|6|8.ASSET|Equity|5237.4|28.81|DAR| Darling Ingredients Inc.| 0.55%| North America|Equity|Mid Cap Blend Equities||SPMD|6|9.ASSET|Equity|5237.4|28.28|JLL| Jones Lang LaSalle Incorporated| 0.54%| North America|Equity|Mid Cap Blend Equities||SPMD|6|10.ASSET|Equity|5237.4|27.76|MPW| Medical Properties Trust, Inc.| 0.53%| North America|Equity|Mid Cap Blend Equities||SPMD|6|11.ASSET|Equity|5237.4|27.76|GGG| Graco Inc.| 0.53%| North America|Equity|Mid Cap Blend Equities||SPMD|6|12.ASSET|Equity|5237.4|27.76|CSL| Carlisle Companies Incorporated| 0.53%| North America|Equity|Mid Cap Blend Equities||SPMD|6|13.ASSET|Equity|5237.4|27.23|CGNX| Cognex Corporation| 0.52%| North America|Equity|Mid Cap Blend Equities||SPMD|6|14.ASSET|Equity|5237.4|27.23|EWBC| East West Bancorp, Inc.| 0.52%| North America|Equity|Mid Cap Blend Equities||SPMD|6|15.ASSET|Equity|5237.4|26.71|RS| Reliance Steel & Aluminum Co.| 0.51%| North America|Equity|Small Cap Blend Equities||FNDA|6|1.ASSET|Equity|4897.5|27.43|FCNCA| First Citizens BancShares, Inc. Class A| 0.56%| North America|Equity|Small Cap Blend Equities||FNDA|6|2.ASSET|Equity|4897.5|22.53|APO| Apollo Global Management Inc.| 0.46%| North America|Equity|Small Cap Blend Equities||FNDA|6|3.ASSET|Equity|4897.5|21.06|ARCH| Arch Resources, Inc. Class A| 0.43%| North America|Equity|Small Cap Blend Equities||FNDA|6|4.ASSET|Equity|4897.5|20.08|HCC| Warrior Met Coal, Inc.| 0.41%| North America|Equity|Small Cap Blend Equities||FNDA|6|5.ASSET|Equity|4897.5|19.59|SM| SM Energy Company| 0.40%| North America|Equity|Small Cap Blend Equities||FNDA|6|6.ASSET|Equity|4897.5|17.63|VMW| VMware, Inc. Class A| 0.36%| North America|Equity|Small Cap Blend Equities||FNDA|6|7.ASSET|Equity|4897.5|16.65|BLDR| Builders FirstSource, Inc.| 0.34%| North America|Equity|Small Cap Blend Equities||FNDA|6|8.ASSET|Equity|4897.5|15.18|DDS| Dillard\'s, Inc. Class A| 0.31%| North America|Equity|Small Cap Blend Equities||FNDA|6|9.ASSET|Equity|4897.5|15.18|BCC| Boise Cascade Co.| 0.31%| North America|Equity|Small Cap Blend Equities||FNDA|6|10.ASSET|Equity|4897.5|15.18|WBS| Webster Financial Corporation| 0.31%| North America|Equity|Small Cap Blend Equities||FNDA|6|11.ASSET|Equity|4897.5|15.18|TEN| Tenneco Inc. Class A| 0.31%| North America|Equity|Small Cap Blend Equities||FNDA|6|12.ASSET|Equity|4897.5|14.2|CIEN| Ciena Corporation| 0.29%| North America|Equity|Small Cap Blend Equities||FNDA|6|13.ASSET|Equity|4897.5|14.2|LPX| Louisiana-Pacific Corporation| 0.29%| North America|Equity|Small Cap Blend Equities||FNDA|6|14.ASSET|Equity|4897.5|13.71|NXST| Nexstar Media Group, Inc. Class A| 0.28%| North America|Equity|Small Cap Blend Equities||FNDA|6|15.ASSET|Equity|4897.5|13.71|TGNA| TEGNA, Inc.| 0.28%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|1.ASSET|Bond|4570.3|296.61|N/A| U.S. Dollar| 6.49%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|2.ASSET|Bond|4570.3|244.97|N/A| MUTUAL FUND (OTHER)| 5.36%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|3.ASSET|Bond|4570.3|140.31|N/A| CORPORATE BOND| 3.07%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|4.ASSET|Bond|4570.3|73.12|N/A| Charter Communications Operating LLC 4.464% 23-JUL-2022| 1.60%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|5.ASSET|Bond|4570.3|58.5|N/A| Ford Credit Floorplan Master Owner Trust A, Series 2019-3 A2 0.79114% 15-SEP-2024| 1.28%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|6.ASSET|Bond|4570.3|58.5|N/A| Bank of America Corporation 3.004% 20-DEC-2023| 1.28%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|7.ASSET|Bond|4570.3|49.36|N/A| AbbVie Inc. 2.9% 06-NOV-2022| 1.08%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|8.ASSET|Bond|4570.3|43.42|N/A| Volkswagen Group of America Finance LLC 0.75% 23-NOV-2022| 0.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|9.ASSET|Bond|4570.3|41.59|N/A| Humana Inc. 0.65% 03-AUG-2023| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|10.ASSET|Bond|4570.3|40.22|N/A| ASSET-BACKED SECURITIES| 0.88%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|11.ASSET|Bond|4570.3|40.22|N/A| Citibank Credit Card Issuance Trust Class 2017-A5 Notes 2017-A5 0.79071% 22-APR-2026| 0.88%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|12.ASSET|Bond|4570.3|39.76|N/A| Morgan Stanley 0.529% 25-JAN-2024| 0.87%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|13.ASSET|Bond|4570.3|39.3|N/A| PFS Financing Corp, Series 2019-A A1 0.65329% 15-APR-2024| 0.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|14.ASSET|Bond|4570.3|34.73|N/A| Volkswagen Group of America Finance LLC 2.9% 13-MAY-2022| 0.76%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NEAR|6|15.ASSET|Bond|4570.3|34.28|N/A| JPMorgan Chase & Co. 1.514% 01-JUN-2024| 0.75%| Developed Markets|Equity|Materials|Materials|GDXJ|6|1.ASSET|Equity|4757|254.02|PAAS| Pan American Silver Corp.| 5.34%| Developed Markets|Equity|Materials|Materials|GDXJ|6|2.ASSET|Equity|4757|231.19|AUY| Yamana Gold Inc.| 4.86%| Developed Markets|Equity|Materials|Materials|GDXJ|6|3.ASSET|Equity|4757|201.22|EVN| Evolution Mining Limited| 4.23%| Developed Markets|Equity|Materials|Materials|GDXJ|6|4.ASSET|Equity|4757|185.05|EDV| Endeavour Mining PLC| 3.89%| Developed Markets|Equity|Materials|Materials|GDXJ|6|5.ASSET|Equity|4757|180.29|SSRM| SSR Mining Inc| 3.79%| Developed Markets|Equity|Materials|Materials|GDXJ|6|6.ASSET|Equity|4757|172.68|MDKA| PT Merdeka Copper Gold Tbk| 3.63%| Developed Markets|Equity|Materials|Materials|GDXJ|6|7.ASSET|Equity|4757|163.17|BTG| B2Gold Corp.| 3.43%| Developed Markets|Equity|Materials|Materials|GDXJ|6|8.ASSET|Equity|4757|128.44|AG| First Majestic Silver Corp.| 2.70%| Developed Markets|Equity|Materials|Materials|GDXJ|6|9.ASSET|Equity|4757|125.11|HL| Hecla Mining Company| 2.63%| Developed Markets|Equity|Materials|Materials|GDXJ|6|10.ASSET|Equity|4757|124.63|PVG| Pretium Resources Inc.| 2.62%| Developed Markets|Equity|Materials|Materials|GDXJ|6|11.ASSET|Equity|4757|123.21|AGI| Alamos Gold Inc.| 2.59%| Developed Markets|Equity|Materials|Materials|GDXJ|6|12.ASSET|Equity|4757|98.47|HMY| Harmony Gold Mining Co. Ltd. Sponsored ADR| 2.07%| Developed Markets|Equity|Materials|Materials|GDXJ|6|13.ASSET|Equity|4757|97.99|BVN| Compania de Minas Buenaventura SAA Sponsored ADR| 2.06%| Developed Markets|Equity|Materials|Materials|GDXJ|6|14.ASSET|Equity|4757|94.66|EQX| Equinox Gold Corp.| 1.99%| Developed Markets|Equity|Materials|Materials|GDXJ|6|15.ASSET|Equity|4757|87.53|PE&OLES| Industrias Penoles SAB de CV| 1.84%| North America|Bond|High Yield Bonds|Junk|SJNK|6|1.ASSET|Bond|3753.9|94.6|N/A| CORPORATE BOND| 2.52%| North America|Bond|High Yield Bonds|Junk|SJNK|6|2.ASSET|Bond|3753.9|33.79|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.90%| North America|Bond|High Yield Bonds|Junk|SJNK|6|3.ASSET|Bond|3753.9|27.4|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.73%| North America|Bond|High Yield Bonds|Junk|SJNK|6|4.ASSET|Bond|3753.9|26.65|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.71%| North America|Bond|High Yield Bonds|Junk|SJNK|6|5.ASSET|Bond|3753.9|26.28|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.70%| North America|Bond|High Yield Bonds|Junk|SJNK|6|6.ASSET|Bond|3753.9|25.15|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.67%| North America|Bond|High Yield Bonds|Junk|SJNK|6|7.ASSET|Bond|3753.9|24.78|N/A| DISH DBS Corporation 5.25% 01-DEC-2026| 0.66%| North America|Bond|High Yield Bonds|Junk|SJNK|6|8.ASSET|Bond|3753.9|22.15|SSIXX| State Street Institutional Liquid Reserves Fund| 0.59%| North America|Bond|High Yield Bonds|Junk|SJNK|6|9.ASSET|Bond|3753.9|20.65|N/A| HCA, Inc. 5.375% 01-FEB-2025| 0.55%| North America|Bond|High Yield Bonds|Junk|SJNK|6|10.ASSET|Bond|3753.9|20.27|N/A| DISH DBS Corporation 5.875% 15-JUL-2022| 0.54%| North America|Bond|High Yield Bonds|Junk|SJNK|6|11.ASSET|Bond|3753.9|19.14|N/A| Bausch Health Companies Inc. 5.5% 01-NOV-2025| 0.51%| North America|Bond|High Yield Bonds|Junk|SJNK|6|12.ASSET|Bond|3753.9|17.27|N/A| Connect Finco SARL 6.75% 01-OCT-2026| 0.46%| North America|Bond|High Yield Bonds|Junk|SJNK|6|13.ASSET|Bond|3753.9|16.52|N/A| Community Health Systems, Inc. 8.0% 15-MAR-2026| 0.44%| North America|Bond|High Yield Bonds|Junk|SJNK|6|14.ASSET|Bond|3753.9|16.52|N/A| Newell Brands Inc 4.7% 01-APR-2026| 0.44%| North America|Bond|High Yield Bonds|Junk|SJNK|6|15.ASSET|Bond|3753.9|16.14|N/A| Sprint Corp. 7.125% 15-JUN-2024| 0.43%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|1.ASSET|Equity|3748.8|644.79|FB| Meta Platforms Inc. Class A| 17.20%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|2.ASSET|Equity|3748.8|432.61|GOOGL| Alphabet Inc. Class A| 11.54%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|3.ASSET|Equity|3748.8|403.75|GOOG| Alphabet Inc. Class C| 10.77%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|4.ASSET|Equity|3748.8|211.43|DIS| Walt Disney Company| 5.64%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|5.ASSET|Equity|3748.8|192.69|VZ| Verizon Communications Inc.| 5.14%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|6.ASSET|Equity|3748.8|176.57|T| AT&T Inc.| 4.71%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|7.ASSET|Equity|3748.8|175.44|CMCSA| Comcast Corporation Class A| 4.68%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|8.ASSET|Equity|3748.8|116.21|NFLX| Netflix, Inc.| 3.10%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|9.ASSET|Equity|3748.8|81.72|CHTR| Charter Communications, Inc. Class A| 2.18%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|10.ASSET|Equity|3748.8|72.35|TMUS| T-Mobile US, Inc.| 1.93%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|11.ASSET|Equity|3748.8|71.6|ATVI| Activision Blizzard, Inc.| 1.91%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|12.ASSET|Equity|3748.8|46.86|EA| Electronic Arts Inc.| 1.25%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|13.ASSET|Equity|3748.8|38.99|SNAP| Snap, Inc. Class A| 1.04%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|14.ASSET|Equity|3748.8|37.11|MTCH| Match Group, Inc.| 0.99%| North America|Equity|Large Cap Growth Equities|Telecom|VOX|6|15.ASSET|Equity|3748.8|37.11|TWTR| Twitter, Inc.| 0.99%| North America|Equity|Utilities Equities|Utilities|PAVE|6|1.ASSET|Equity|4961.3|213.34|NUE| Nucor Corporation| 4.30%| North America|Equity|Utilities Equities|Utilities|PAVE|6|2.ASSET|Equity|4961.3|158.27|SRE| Sempra Energy| 3.19%| North America|Equity|Utilities Equities|Utilities|PAVE|6|3.ASSET|Equity|4961.3|148.34|DE| Deere & Company| 2.99%| North America|Equity|Utilities Equities|Utilities|PAVE|6|4.ASSET|Equity|4961.3|147.35|UNP| Union Pacific Corporation| 2.97%| North America|Equity|Utilities Equities|Utilities|PAVE|6|5.ASSET|Equity|4961.3|145.86|CSX| CSX Corporation| 2.94%| North America|Equity|Utilities Equities|Utilities|PAVE|6|6.ASSET|Equity|4961.3|143.88|EMR| Emerson Electric Co.| 2.90%| North America|Equity|Utilities Equities|Utilities|PAVE|6|7.ASSET|Equity|4961.3|140.9|MLM| Martin Marietta Materials, Inc.| 2.84%| North America|Equity|Utilities Equities|Utilities|PAVE|6|8.ASSET|Equity|4961.3|139.91|NSC| Norfolk Southern Corporation| 2.82%| North America|Equity|Utilities Equities|Utilities|PAVE|6|9.ASSET|Equity|4961.3|136.93|VMC| Vulcan Materials Company| 2.76%| North America|Equity|Utilities Equities|Utilities|PAVE|6|10.ASSET|Equity|4961.3|136.44|ETN| Eaton Corp. Plc| 2.75%| North America|Equity|Utilities Equities|Utilities|PAVE|6|11.ASSET|Equity|4961.3|135.94|PH| Parker-Hannifin Corporation| 2.74%| North America|Equity|Utilities Equities|Utilities|PAVE|6|12.ASSET|Equity|4961.3|132.96|FAST| Fastenal Company| 2.68%| North America|Equity|Utilities Equities|Utilities|PAVE|6|13.ASSET|Equity|4961.3|128|FTV| Fortive Corp.| 2.58%| North America|Equity|Utilities Equities|Utilities|PAVE|6|14.ASSET|Equity|4961.3|127.51|TT| Trane Technologies plc| 2.57%| North America|Equity|Utilities Equities|Utilities|PAVE|6|15.ASSET|Equity|4961.3|126.51|URI| United Rentals, Inc.| 2.55%| North America|Equity|Large Cap Blend Equities||MGV|6|1.ASSET|Equity|5156.5|191.31|BRK.B| Berkshire Hathaway Inc. Class B| 3.71%| North America|Equity|Large Cap Blend Equities||MGV|6|2.ASSET|Equity|5156.5|158.82|JNJ| Johnson & Johnson| 3.08%| North America|Equity|Large Cap Blend Equities||MGV|6|3.ASSET|Equity|5156.5|155.73|UNH| UnitedHealth Group Incorporated| 3.02%| North America|Equity|Large Cap Blend Equities||MGV|6|4.ASSET|Equity|5156.5|153.66|JPM| JPMorgan Chase & Co.| 2.98%| North America|Equity|Large Cap Blend Equities||MGV|6|5.ASSET|Equity|5156.5|136.13|PG| Procter & Gamble Company| 2.64%| North America|Equity|Large Cap Blend Equities||MGV|6|6.ASSET|Equity|5156.5|112.41|BAC| Bank of America Corp| 2.18%| North America|Equity|Large Cap Blend Equities||MGV|6|7.ASSET|Equity|5156.5|112.41|XOM| Exxon Mobil Corporation| 2.18%| North America|Equity|Large Cap Blend Equities||MGV|6|8.ASSET|Equity|5156.5|103.65|PFE| Pfizer Inc.| 2.01%| North America|Equity|Large Cap Blend Equities||MGV|6|9.ASSET|Equity|5156.5|88.69|CVX| Chevron Corporation| 1.72%| North America|Equity|Large Cap Blend Equities||MGV|6|10.ASSET|Equity|5156.5|84.57|ABBV| AbbVie, Inc.| 1.64%| North America|Equity|Large Cap Blend Equities||MGV|6|11.ASSET|Equity|5156.5|84.05|PEP| PepsiCo, Inc.| 1.63%| North America|Equity|Large Cap Blend Equities||MGV|6|12.ASSET|Equity|5156.5|83.02|KO| Coca-Cola Company| 1.61%| North America|Equity|Large Cap Blend Equities||MGV|6|13.ASSET|Equity|5156.5|80.44|AVGO| Broadcom Inc.| 1.56%| North America|Equity|Large Cap Blend Equities||MGV|6|14.ASSET|Equity|5156.5|79.93|CMCSA| Comcast Corporation Class A| 1.55%| North America|Equity|Large Cap Blend Equities||MGV|6|15.ASSET|Equity|5156.5|78.89|ABT| Abbott Laboratories| 1.53%| North America|Equity|Leveraged Equities||SSO|6|1.ASSET|Equity|3985.7|238.74|AAPL| Apple Inc.| 5.99%| North America|Equity|Leveraged Equities||SSO|6|2.ASSET|Equity|3985.7|231.57|N/A| U.S. Dollar| 5.81%| North America|Equity|Leveraged Equities||SSO|6|3.ASSET|Equity|3985.7|207.26|MSFT| Microsoft Corporation| 5.20%| North America|Equity|Leveraged Equities||SSO|6|4.ASSET|Equity|3985.7|121.96|AMZN| Amazon.com, Inc.| 3.06%| North America|Equity|Leveraged Equities||SSO|6|5.ASSET|Equity|3985.7|91.67|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 2.30%| North America|Equity|Leveraged Equities||SSO|6|6.ASSET|Equity|3985.7|91.27|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 2.29%| North America|Equity|Leveraged Equities||SSO|6|7.ASSET|Equity|3985.7|74.53|GOOGL| Alphabet Inc. Class A| 1.87%| North America|Equity|Leveraged Equities||SSO|6|8.ASSET|Equity|3985.7|69.35|GOOG| Alphabet Inc. Class C| 1.74%| North America|Equity|Leveraged Equities||SSO|6|9.ASSET|Equity|3985.7|68.55|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 1.72%| North America|Equity|Leveraged Equities||SSO|6|10.ASSET|Equity|3985.7|65.76|TSLA| Tesla Inc| 1.65%| North America|Equity|Leveraged Equities||SSO|6|11.ASSET|Equity|3985.7|55.8|NVDA| NVIDIA Corporation| 1.40%| North America|Equity|Leveraged Equities||SSO|6|12.ASSET|Equity|3985.7|54.6|BRK.B| Berkshire Hathaway Inc. Class B| 1.37%| North America|Equity|Leveraged Equities||SSO|6|13.ASSET|Equity|3985.7|45.84|N/A| United States Treasury Bills 0.0% 05-APR-2022| 1.15%| North America|Equity|Leveraged Equities||SSO|6|14.ASSET|Equity|3985.7|45.44|FB| Meta Platforms Inc. Class A| 1.14%| North America|Equity|Leveraged Equities||SSO|6|15.ASSET|Equity|3985.7|41.85|UNH| UnitedHealth Group Incorporated| 1.05%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|1.ASSET|Equity|4288.6|88.35|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 2.06%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|2.ASSET|Equity|4288.6|61.33|NESN| Nestle S.A.| 1.43%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|3.ASSET|Equity|4288.6|52.32|700| Tencent Holdings Ltd.| 1.22%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|4.ASSET|Equity|4288.6|48.03|005930| Samsung Electronics Co., Ltd.| 1.12%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|5.ASSET|Equity|4288.6|46.32|ASML| ASML Holding NV| 1.08%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|6.ASSET|Equity|4288.6|44.6|ROG| Roche Holding Ltd| 1.04%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|7.ASSET|Equity|4288.6|34.31|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.80%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|8.ASSET|Equity|4288.6|34.31|SHEL| Shell PLC| 0.80%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|9.ASSET|Equity|4288.6|33.45|9988| Alibaba Group Holding Ltd.| 0.78%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|10.ASSET|Equity|4288.6|32.59|7203| Toyota Motor Corp.| 0.76%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|11.ASSET|Equity|4288.6|32.16|NOVN| Novartis AG| 0.75%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|12.ASSET|Equity|4288.6|31.74|AZN| AstraZeneca PLC| 0.74%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|13.ASSET|Equity|4288.6|29.59|BHP| BHP Group Ltd| 0.69%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|14.ASSET|Equity|4288.6|29.16|NOVO.B| Novo Nordisk A/S Class B| 0.68%| Broad Asia|Equity|Foreign Large Cap Equities||ACWX|6|15.ASSET|Equity|4288.6|26.16|RY| Royal Bank of Canada| 0.61%| North America|Equity|Large Cap Growth Equities||ONEQ|6|1.ASSET|Equity|4326.6|490.64|AAPL| Apple Inc.| 11.34%| North America|Equity|Large Cap Growth Equities||ONEQ|6|2.ASSET|Equity|4326.6|425.3|MSFT| Microsoft Corporation| 9.83%| North America|Equity|Large Cap Growth Equities||ONEQ|6|3.ASSET|Equity|4326.6|284.69|AMZN| Amazon.com, Inc.| 6.58%| North America|Equity|Large Cap Growth Equities||ONEQ|6|4.ASSET|Equity|4326.6|178.69|TSLA| Tesla Inc| 4.13%| North America|Equity|Large Cap Growth Equities||ONEQ|6|5.ASSET|Equity|4326.6|155.32|GOOG| Alphabet Inc. Class C| 3.59%| North America|Equity|Large Cap Growth Equities||ONEQ|6|6.ASSET|Equity|4326.6|146.67|GOOGL| Alphabet Inc. Class A| 3.39%| North America|Equity|Large Cap Growth Equities||ONEQ|6|7.ASSET|Equity|4326.6|134.99|FB| Meta Platforms Inc. Class A| 3.12%| North America|Equity|Large Cap Growth Equities||ONEQ|6|8.ASSET|Equity|4326.6|123.31|NVDA| NVIDIA Corporation| 2.85%| North America|Equity|Large Cap Growth Equities||ONEQ|6|9.ASSET|Equity|4326.6|45.86|AVGO| Broadcom Inc.| 1.06%| North America|Equity|Large Cap Growth Equities||ONEQ|6|10.ASSET|Equity|4326.6|44.13|ADBE| Adobe Inc.| 1.02%| North America|Equity|Large Cap Growth Equities||ONEQ|6|11.ASSET|Equity|4326.6|43.7|NFLX| Netflix, Inc.| 1.01%| North America|Equity|Large Cap Growth Equities||ONEQ|6|12.ASSET|Equity|4326.6|43.7|CSCO| Cisco Systems, Inc.| 1.01%| North America|Equity|Large Cap Growth Equities||ONEQ|6|13.ASSET|Equity|4326.6|41.1|COST| Costco Wholesale Corporation| 0.95%| North America|Equity|Large Cap Growth Equities||ONEQ|6|14.ASSET|Equity|4326.6|40.24|CMCSA| Comcast Corporation Class A| 0.93%| North America|Equity|Large Cap Growth Equities||ONEQ|6|15.ASSET|Equity|4326.6|39.37|PEP| PepsiCo, Inc.| 0.91%| North America|Equity|Energy Equities|Energy|XOP|6|1.ASSET|Equity|4899.7|146.01|OXY| Occidental Petroleum Corporation| 2.98%| North America|Equity|Energy Equities|Energy|XOP|6|2.ASSET|Equity|4899.7|131.8|APA| APA Corp.| 2.69%| North America|Equity|Energy Equities|Energy|XOP|6|3.ASSET|Equity|4899.7|131.8|MRO| Marathon Oil Corporation| 2.69%| North America|Equity|Energy Equities|Energy|XOP|6|4.ASSET|Equity|4899.7|129.84|AR| Antero Resources Corporation| 2.65%| North America|Equity|Energy Equities|Energy|XOP|6|5.ASSET|Equity|4899.7|126.9|OVV| Ovintiv Inc| 2.59%| North America|Equity|Energy Equities|Energy|XOP|6|6.ASSET|Equity|4899.7|125.43|DVN| Devon Energy Corporation| 2.56%| North America|Equity|Energy Equities|Energy|XOP|6|7.ASSET|Equity|4899.7|123.96|PBF| PBF Energy, Inc. Class A| 2.53%| North America|Equity|Energy Equities|Energy|XOP|6|8.ASSET|Equity|4899.7|123.96|COP| ConocoPhillips| 2.53%| North America|Equity|Energy Equities|Energy|XOP|6|9.ASSET|Equity|4899.7|122|PXD| Pioneer Natural Resources Company| 2.49%| North America|Equity|Energy Equities|Energy|XOP|6|10.ASSET|Equity|4899.7|121.51|RRC| Range Resources Corporation| 2.48%| North America|Equity|Energy Equities|Energy|XOP|6|11.ASSET|Equity|4899.7|121.02|EOG| EOG Resources, Inc.| 2.47%| North America|Equity|Energy Equities|Energy|XOP|6|12.ASSET|Equity|4899.7|121.02|CVX| Chevron Corporation| 2.47%| North America|Equity|Energy Equities|Energy|XOP|6|13.ASSET|Equity|4899.7|120.53|MTDR| Matador Resources Company| 2.46%| North America|Equity|Energy Equities|Energy|XOP|6|14.ASSET|Equity|4899.7|120.04|CLR| Continental Resources, Inc.| 2.45%| North America|Equity|Energy Equities|Energy|XOP|6|15.ASSET|Equity|4899.7|119.55|HES| Hess Corporation| 2.44%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|1.ASSET|Real Estate|5334|593.67|PLD| Prologis, Inc.| 11.13%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|2.ASSET|Real Estate|5334|573.41|AMT| American Tower Corporation| 10.75%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|3.ASSET|Real Estate|5334|400.05|CCI| Crown Castle International Corp| 7.50%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|4.ASSET|Real Estate|5334|352.58|EQIX| Equinix, Inc.| 6.61%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|5.ASSET|Real Estate|5334|301.9|PSA| Public Storage| 5.66%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|6.ASSET|Real Estate|5334|243.76|SPG| Simon Property Group, Inc.| 4.57%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|7.ASSET|Real Estate|5334|209.63|DLR| Digital Realty Trust, Inc.| 3.93%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|8.ASSET|Real Estate|5334|205.36|O| Realty Income Corporation| 3.85%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|9.ASSET|Real Estate|5334|197.36|WELL| Welltower, Inc.| 3.70%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|10.ASSET|Real Estate|5334|189.89|SBAC| SBA Communications Corp. Class A| 3.56%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|11.ASSET|Real Estate|5334|180.29|AVB| AvalonBay Communities, Inc.| 3.38%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|12.ASSET|Real Estate|5334|176.02|CBRE| CBRE Group, Inc. Class A| 3.30%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|13.ASSET|Real Estate|5334|159.49|WY| Weyerhaeuser Company| 2.99%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|14.ASSET|Real Estate|5334|157.35|EQR| Equity Residential| 2.95%| North America|Real Estate|Real Estate|Real Estate|XLRE|6|15.ASSET|Real Estate|5334|146.15|ARE| Alexandria Real Estate Equities, Inc.| 2.74%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|1.ASSET|Bond|4168.2|644.82|N/A| U.S. Dollar| 15.47%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|2.ASSET|Bond|4168.2|484.76|N/A| CORPORATE BOND| 11.63%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|3.ASSET|Bond|4168.2|45.85|N/A| ASSET-BACKED SECURITIES| 1.10%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|4.ASSET|Bond|4168.2|25.84|N/A| AbbVie Inc. 2.9% 06-NOV-2022| 0.62%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|5.ASSET|Bond|4168.2|25.01|N/A| Bank of Nova Scotia FRN 15-APR-2024| 0.60%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|6.ASSET|Bond|4168.2|25.01|N/A| BPCE SA FRN 31-MAY-2022| 0.60%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|7.ASSET|Bond|4168.2|25.01|N/A| New York Life Global Funding FRN 10-JAN-2023| 0.60%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|8.ASSET|Bond|4168.2|25.01|N/A| Met Tower Global Funding FRN 17-JAN-2023| 0.60%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|9.ASSET|Bond|4168.2|24.59|N/A| Skyworks Solutions, Inc. 0.9% 01-JUN-2023| 0.59%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|10.ASSET|Bond|4168.2|24.18|N/A| Constellation Energy Generation LLC 3.4% 15-MAR-2022| 0.58%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|11.ASSET|Bond|4168.2|23.76|N/A| Nasdaq, Inc. 0.445% 21-DEC-2022| 0.57%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|12.ASSET|Bond|4168.2|23.76|N/A| Viatris Inc. 1.125% 22-JUN-2022| 0.57%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|13.ASSET|Bond|4168.2|23.76|N/A| Zimmer Biomet Holdings, Inc. 3.15% 01-APR-2022| 0.57%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|14.ASSET|Bond|4168.2|22.09|N/A| Bank of America Corporation 2.816% 21-JUL-2023| 0.53%| North America|Bond|Total Bond Market|Total Bond Market|FTSM|6|15.ASSET|Bond|4168.2|22.09|N/A| Charter Communications Operating LLC 4.464% 23-JUL-2022| 0.53%| Developed Markets|Equity|Global Equities||IDV|6|1.ASSET|Equity|4724.9|369.49|RIO| Rio Tinto plc| 7.82%| Developed Markets|Equity|Global Equities||IDV|6|2.ASSET|Equity|4724.9|273.1|BATS| British American Tobacco p.l.c.| 5.78%| Developed Markets|Equity|Global Equities||IDV|6|3.ASSET|Equity|4724.9|125.21|SCMN| Swisscom AG| 2.65%| Developed Markets|Equity|Global Equities||IDV|6|4.ASSET|Equity|4724.9|123.79|NTGY| Naturgy Energy Group, S.A.| 2.62%| Developed Markets|Equity|Global Equities||IDV|6|5.ASSET|Equity|4724.9|113.87|CM| Canadian Imperial Bank of Commerce| 2.41%| Developed Markets|Equity|Global Equities||IDV|6|6.ASSET|Equity|4724.9|100.64|GSK| GlaxoSmithKline plc| 2.13%| Developed Markets|Equity|Global Equities||IDV|6|7.ASSET|Equity|4724.9|99.7|ENI| Eni S.p.A.| 2.11%| Developed Markets|Equity|Global Equities||IDV|6|8.ASSET|Equity|4724.9|99.7|FMG| Fortescue Metals Group Ltd| 2.11%| Developed Markets|Equity|Global Equities||IDV|6|9.ASSET|Equity|4724.9|99.7|SSE| SSE plc| 2.11%| Developed Markets|Equity|Global Equities||IDV|6|10.ASSET|Equity|4724.9|99.22|11| Hang Seng Bank, Limited| 2.10%| Developed Markets|Equity|Global Equities||IDV|6|11.ASSET|Equity|4724.9|87.88|ACS| Actividades de Construccion y Servicios SA| 1.86%| Developed Markets|Equity|Global Equities||IDV|6|12.ASSET|Equity|4724.9|87.41|BMO| Bank of Montreal| 1.85%| Developed Markets|Equity|Global Equities||IDV|6|13.ASSET|Equity|4724.9|83.63|REE| Red Electrica Corp. SA| 1.77%| Developed Markets|Equity|Global Equities||IDV|6|14.ASSET|Equity|4724.9|83.63|TTE| TotalEnergies SE| 1.77%| Developed Markets|Equity|Global Equities||IDV|6|15.ASSET|Equity|4724.9|76.07|086790| Hana Financial Group Inc.| 1.61%| North America|Equity|Small Cap Blend Equities||SPSM|6|1.ASSET|Equity|4404.1|25.98|OMCL| Omnicell, Inc.| 0.59%| North America|Equity|Small Cap Blend Equities||SPSM|6|2.ASSET|Equity|4404.1|24.66|MTDR| Matador Resources Company| 0.56%| North America|Equity|Small Cap Blend Equities||SPSM|6|3.ASSET|Equity|4404.1|23.78|UFPI| UFP Industries, Inc.| 0.54%| North America|Equity|Small Cap Blend Equities||SPSM|6|4.ASSET|Equity|4404.1|23.34|GTLS| Chart Industries, Inc.| 0.53%| North America|Equity|Small Cap Blend Equities||SPSM|6|5.ASSET|Equity|4404.1|23.34|SWN| Southwestern Energy Company| 0.53%| North America|Equity|Small Cap Blend Equities||SPSM|6|6.ASSET|Equity|4404.1|22.46|ROG| Rogers Corporation| 0.51%| North America|Equity|Small Cap Blend Equities||SPSM|6|7.ASSET|Equity|4404.1|22.46|AMN| AMN Healthcare Services, Inc.| 0.51%| North America|Equity|Small Cap Blend Equities||SPSM|6|8.ASSET|Equity|4404.1|22.02|VG| Vonage Holdings Corp.| 0.50%| North America|Equity|Small Cap Blend Equities||SPSM|6|9.ASSET|Equity|4404.1|22.02|EXPO| Exponent, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||SPSM|6|10.ASSET|Equity|4404.1|20.7|SPSC| SPS Commerce, Inc.| 0.47%| North America|Equity|Small Cap Blend Equities||SPSM|6|11.ASSET|Equity|4404.1|20.26|SM| SM Energy Company| 0.46%| North America|Equity|Small Cap Blend Equities||SPSM|6|12.ASSET|Equity|4404.1|20.26|ABG| Asbury Automotive Group, Inc.| 0.46%| North America|Equity|Small Cap Blend Equities||SPSM|6|13.ASSET|Equity|4404.1|19.82|ADC| Agree Realty Corporation| 0.45%| North America|Equity|Small Cap Blend Equities||SPSM|6|14.ASSET|Equity|4404.1|19.82|MATX| Matson, Inc.| 0.45%| North America|Equity|Small Cap Blend Equities||SPSM|6|15.ASSET|Equity|4404.1|19.82|IIPR| Innovative Industrial Properties Inc| 0.45%| North America|Equity|Large Cap Growth Equities||IWY|6|1.ASSET|Equity|4426.7|659.14|AAPL| Apple Inc.| 14.89%| North America|Equity|Large Cap Growth Equities||IWY|6|2.ASSET|Equity|4426.7|579.9|MSFT| Microsoft Corporation| 13.10%| North America|Equity|Large Cap Growth Equities||IWY|6|3.ASSET|Equity|4426.7|338.64|AMZN| Amazon.com, Inc.| 7.65%| North America|Equity|Large Cap Growth Equities||IWY|6|4.ASSET|Equity|4426.7|182.38|TSLA| Tesla Inc| 4.12%| North America|Equity|Large Cap Growth Equities||IWY|6|5.ASSET|Equity|4426.7|178.84|GOOGL| Alphabet Inc. Class A| 4.04%| North America|Equity|Large Cap Growth Equities||IWY|6|6.ASSET|Equity|4426.7|166.89|GOOG| Alphabet Inc. Class C| 3.77%| North America|Equity|Large Cap Growth Equities||IWY|6|7.ASSET|Equity|4426.7|148.74|NVDA| NVIDIA Corporation| 3.36%| North America|Equity|Large Cap Growth Equities||IWY|6|8.ASSET|Equity|4426.7|126.16|FB| Meta Platforms Inc. Class A| 2.85%| North America|Equity|Large Cap Growth Equities||IWY|6|9.ASSET|Equity|4426.7|90.3|V| Visa Inc. Class A| 2.04%| North America|Equity|Large Cap Growth Equities||IWY|6|10.ASSET|Equity|4426.7|89.42|HD| Home Depot, Inc.| 2.02%| North America|Equity|Large Cap Growth Equities||IWY|6|11.ASSET|Equity|4426.7|77.02|MA| Mastercard Incorporated Class A| 1.74%| North America|Equity|Large Cap Growth Equities||IWY|6|12.ASSET|Equity|4426.7|67.73|ABBV| AbbVie, Inc.| 1.53%| North America|Equity|Large Cap Growth Equities||IWY|6|13.ASSET|Equity|4426.7|59.76|AVGO| Broadcom Inc.| 1.35%| North America|Equity|Large Cap Growth Equities||IWY|6|14.ASSET|Equity|4426.7|57.55|ADBE| Adobe Inc.| 1.30%| North America|Equity|Large Cap Growth Equities||IWY|6|15.ASSET|Equity|4426.7|55.78|COST| Costco Wholesale Corporation| 1.26%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|1.ASSET|Equity|5045.8|589.85|DGCXX| Dreyfus Government Cash Management Funds Institutional| 11.69%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|2.ASSET|Equity|5045.8|285.59|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 5.66%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|3.ASSET|Equity|5045.8|280.04|AVGO| Broadcom Inc.| 5.55%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|4.ASSET|Equity|5045.8|259.86|AMD| Advanced Micro Devices, Inc.| 5.15%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|5.ASSET|Equity|5045.8|247.75|QCOM| Qualcomm Inc| 4.91%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|6.ASSET|Equity|5045.8|195.78|NVDA| NVIDIA Corporation| 3.88%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|7.ASSET|Equity|5045.8|188.71|INTC| Intel Corporation| 3.74%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|8.ASSET|Equity|5045.8|179.63|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 3.56%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|9.ASSET|Equity|5045.8|146.83|MU| Micron Technology, Inc.| 2.91%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|10.ASSET|Equity|5045.8|125.64|MRVL| Marvell Technology, Inc.| 2.49%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|11.ASSET|Equity|5045.8|119.59|AMAT| Applied Materials, Inc.| 2.37%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|12.ASSET|Equity|5045.8|117.06|ADI| Analog Devices, Inc.| 2.32%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|13.ASSET|Equity|5045.8|117.06|TXN| Texas Instruments Incorporated| 2.32%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|14.ASSET|Equity|5045.8|116.56|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 2.31%| Developed Markets|Equity|Leveraged Equities|Technology|SOXL|6|15.ASSET|Equity|5045.8|112.02|KLAC| KLA Corporation| 2.22%| North America|Equity|Large Cap Growth Equities||MGC|6|1.ASSET|Equity|4099.6|341.5|AAPL| Apple Inc.| 8.33%| North America|Equity|Large Cap Growth Equities||MGC|6|2.ASSET|Equity|4099.6|292.71|MSFT| Microsoft Corporation| 7.14%| North America|Equity|Large Cap Growth Equities||MGC|6|3.ASSET|Equity|4099.6|161.52|AMZN| Amazon.com, Inc.| 3.94%| North America|Equity|Large Cap Growth Equities||MGC|6|4.ASSET|Equity|4099.6|102.08|GOOGL| Alphabet Inc. Class A| 2.49%| North America|Equity|Large Cap Growth Equities||MGC|6|5.ASSET|Equity|4099.6|94.29|TSLA| Tesla Inc| 2.30%| North America|Equity|Large Cap Growth Equities||MGC|6|6.ASSET|Equity|4099.6|93.06|FB| Meta Platforms Inc. Class A| 2.27%| North America|Equity|Large Cap Growth Equities||MGC|6|7.ASSET|Equity|4099.6|91.83|GOOG| Alphabet Inc. Class C| 2.24%| North America|Equity|Large Cap Growth Equities||MGC|6|8.ASSET|Equity|4099.6|72.97|NVDA| NVIDIA Corporation| 1.78%| North America|Equity|Large Cap Growth Equities||MGC|6|9.ASSET|Equity|4099.6|66.41|BRK.B| Berkshire Hathaway Inc. Class B| 1.62%| North America|Equity|Large Cap Growth Equities||MGC|6|10.ASSET|Equity|4099.6|56.98|JNJ| Johnson & Johnson| 1.39%| North America|Equity|Large Cap Growth Equities||MGC|6|11.ASSET|Equity|4099.6|55.75|UNH| UnitedHealth Group Incorporated| 1.36%| North America|Equity|Large Cap Growth Equities||MGC|6|12.ASSET|Equity|4099.6|54.93|JPM| JPMorgan Chase & Co.| 1.34%| North America|Equity|Large Cap Growth Equities||MGC|6|13.ASSET|Equity|4099.6|48.79|PG| Procter & Gamble Company| 1.19%| North America|Equity|Large Cap Growth Equities||MGC|6|14.ASSET|Equity|4099.6|47.97|HD| Home Depot, Inc.| 1.17%| North America|Equity|Large Cap Growth Equities||MGC|6|15.ASSET|Equity|4099.6|47.15|V| Visa Inc. Class A| 1.15%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|1.ASSET|Equity|3396.6|227.91|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.71%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|2.ASSET|Equity|3396.6|177.3|005930| Samsung Electronics Co., Ltd.| 5.22%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|3.ASSET|Equity|3396.6|164.4|700| Tencent Holdings Ltd.| 4.84%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|4.ASSET|Equity|3396.6|89.33|9988| Alibaba Group Holding Ltd.| 2.63%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|5.ASSET|Equity|3396.6|56.72|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.67%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|6.ASSET|Equity|3396.6|48.57|INFY| Infosys Limited Sponsored ADR| 1.43%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|7.ASSET|Equity|3396.6|42.8|3690| Meituan Class B| 1.26%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|8.ASSET|Equity|3396.6|37.36|9618| JD.com, Inc. Class A| 1.10%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|9.ASSET|Equity|3396.6|37.02|500010| Housing Development Finance Corporation Limited| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|10.ASSET|Equity|3396.6|36.34|2454| MediaTek Inc| 1.07%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|11.ASSET|Equity|3396.6|31.59|000660| SK hynix Inc| 0.93%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|12.ASSET|Equity|3396.6|28.87|BBCA| PT Bank Central Asia Tbk| 0.85%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|13.ASSET|Equity|3396.6|26.15|2317| Hon Hai Precision Industry Co., Ltd.| 0.77%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|14.ASSET|Equity|3396.6|22.42|IBN| ICICI Bank Limited Sponsored ADR| 0.66%| Emerging Markets|Equity|Emerging Markets Equities||XSOE|6|15.ASSET|Equity|3396.6|22.08|035420| NAVER Corp.| 0.65%| North America|Equity|Large Cap Blend Equities||JEPI|6|1.ASSET|Equity|6947.7|239.7|N/A| DERIVATIVE SECURITIES (OTHER)| 3.45%| North America|Equity|Large Cap Blend Equities||JEPI|6|2.ASSET|Equity|6947.7|133.4|ABBV| AbbVie, Inc.| 1.92%| North America|Equity|Large Cap Blend Equities||JEPI|6|3.ASSET|Equity|6947.7|133.4|DTE| DTE Energy Company| 1.92%| North America|Equity|Large Cap Blend Equities||JEPI|6|4.ASSET|Equity|6947.7|120.2|BMY| Bristol-Myers Squibb Company| 1.73%| North America|Equity|Large Cap Blend Equities||JEPI|6|5.ASSET|Equity|6947.7|120.2|ODFL| Old Dominion Freight Line, Inc.| 1.73%| North America|Equity|Large Cap Blend Equities||JEPI|6|6.ASSET|Equity|6947.7|119.5|MSFT| Microsoft Corporation| 1.72%| North America|Equity|Large Cap Blend Equities||JEPI|6|7.ASSET|Equity|6947.7|118.11|LLY| Eli Lilly and Company| 1.70%| North America|Equity|Large Cap Blend Equities||JEPI|6|8.ASSET|Equity|6947.7|116.72|PGR| Progressive Corporation| 1.68%| North America|Equity|Large Cap Blend Equities||JEPI|6|9.ASSET|Equity|6947.7|116.03|KO| Coca-Cola Company| 1.67%| North America|Equity|Large Cap Blend Equities||JEPI|6|10.ASSET|Equity|6947.7|113.25|UNH| UnitedHealth Group Incorporated| 1.63%| North America|Equity|Large Cap Blend Equities||JEPI|6|11.ASSET|Equity|6947.7|112.55|GOOGL| Alphabet Inc. Class A| 1.62%| North America|Equity|Large Cap Blend Equities||JEPI|6|12.ASSET|Equity|6947.7|111.86|HSY| Hershey Company| 1.61%| North America|Equity|Large Cap Blend Equities||JEPI|6|13.ASSET|Equity|6947.7|111.16|N/A| U.S. Dollar| 1.60%| North America|Equity|Large Cap Blend Equities||JEPI|6|14.ASSET|Equity|6947.7|110.47|ORLY| O\'Reilly Automotive, Inc.| 1.59%| North America|Equity|Large Cap Blend Equities||JEPI|6|15.ASSET|Equity|6947.7|109.08|ACN| Accenture Plc Class A| 1.57%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|1.ASSET|Bond|4097.1|273.69|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 6.68%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|2.ASSET|Bond|4097.1|220.83|N/A| UMBS TBA 30yr 3% April Delivery 3.000% 01-AUG-2048| 5.39%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|3.ASSET|Bond|4097.1|206.49|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 5.04%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|4.ASSET|Bond|4097.1|183.55|N/A| United States Treasury Bond 1.875% 15-FEB-2041| 4.48%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|5.ASSET|Bond|4097.1|158.97|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 3.88%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|6.ASSET|Bond|4097.1|156.51|N/A| UMBS TBA 30yr 2.5% April Delivery 2.500% 01-OCT-2051| 3.82%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|7.ASSET|Bond|4097.1|91.37|N/A| United States Treasury Bond 2.25% 15-AUG-2049| 2.23%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|8.ASSET|Bond|4097.1|63.51|N/A| GNMA II TBA 30yr 2.5% March Delivery 2.500% 01-FEB-2051| 1.55%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|9.ASSET|Bond|4097.1|59|N/A| FIXED INCOME (UNCLASSFIED)| 1.44%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|10.ASSET|Bond|4097.1|43.84|N/A| UMBS TBA 30yr 3.5% March Delivery 3.500% 01-AUG-2048| 1.07%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|11.ASSET|Bond|4097.1|30.73|N/A| CORPORATE BOND| 0.75%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|12.ASSET|Bond|4097.1|29.91|N/A| FHLMC 30yr Pool#V83421 4.000% 01-Sep-2047 4.0% 01-SEP-2047| 0.73%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|13.ASSET|Bond|4097.1|25.81|N/A| EQUITY OTHER| 0.63%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|14.ASSET|Bond|4097.1|24.99|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-OCT-2051| 0.61%| North America|Bond|Total Bond Market|Total Bond Market|BOND|6|15.ASSET|Bond|4097.1|22.94|N/A| Lloyds Banking Group Plc 3.574% 07-NOV-2028| 0.56%| North America|Equity|n/a||DFAS|6|1.ASSET|Equity|4402|24.21|BLDR| Builders FirstSource, Inc.| 0.55%| North America|Equity|n/a||DFAS|6|2.ASSET|Equity|4402|22.45|DAR| Darling Ingredients Inc.| 0.51%| North America|Equity|n/a||DFAS|6|3.ASSET|Equity|4402|19.81|RRX| Regal Rexnord Corporation| 0.45%| North America|Equity|n/a||DFAS|6|4.ASSET|Equity|4402|18.05|SAIA| Saia, Inc.| 0.41%| North America|Equity|n/a||DFAS|6|5.ASSET|Equity|4402|18.05|LPX| Louisiana-Pacific Corporation| 0.41%| North America|Equity|n/a||DFAS|6|6.ASSET|Equity|4402|16.29|THC| Tenet Healthcare Corporation| 0.37%| North America|Equity|n/a||DFAS|6|7.ASSET|Equity|4402|16.29|LAD| Lithia Motors, Inc.| 0.37%| North America|Equity|n/a||DFAS|6|8.ASSET|Equity|4402|15.41|LSCC| Lattice Semiconductor Corporation| 0.35%| North America|Equity|n/a||DFAS|6|9.ASSET|Equity|4402|15.41|SYNA| Synaptics Incorporated| 0.35%| North America|Equity|n/a||DFAS|6|10.ASSET|Equity|4402|14.97|NXST| Nexstar Media Group, Inc. Class A| 0.34%| North America|Equity|n/a||DFAS|6|11.ASSET|Equity|4402|13.21|CAR| Avis Budget Group, Inc.| 0.30%| North America|Equity|n/a||DFAS|6|12.ASSET|Equity|4402|13.21|KBR| KBR, Inc.| 0.30%| North America|Equity|n/a||DFAS|6|13.ASSET|Equity|4402|12.77|WBS| Webster Financial Corporation| 0.29%| North America|Equity|n/a||DFAS|6|14.ASSET|Equity|4402|12.77|FCN| FTI Consulting, Inc.| 0.29%| North America|Equity|n/a||DFAS|6|15.ASSET|Equity|4402|12.77|CRUS| Cirrus Logic, Inc.| 0.29%| |Commodity|Precious Metals||GLDM|6|1.ASSET|Commodity|4688.1|4688.1|N/A| Gold| 100.00%| North America|Bond|Government Bonds|Treasuries|SPTL|6|1.ASSET|Bond|5694.1|206.7|N/A| United States Treasury Bond 2.375% 15-MAY-2051| 3.63%| North America|Bond|Government Bonds|Treasuries|SPTL|6|2.ASSET|Bond|5694.1|198.72|N/A| United States Treasury Bond 3.0% 15-AUG-2048| 3.49%| North America|Bond|Government Bonds|Treasuries|SPTL|6|3.ASSET|Bond|5694.1|183.92|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 3.23%| North America|Bond|Government Bonds|Treasuries|SPTL|6|4.ASSET|Bond|5694.1|171.96|N/A| United States Treasury Bond 1.75% 15-AUG-2041| 3.02%| North America|Bond|Government Bonds|Treasuries|SPTL|6|5.ASSET|Bond|5694.1|170.25|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 2.99%| North America|Bond|Government Bonds|Treasuries|SPTL|6|6.ASSET|Bond|5694.1|166.27|N/A| United States Treasury Bond 1.875% 15-FEB-2041| 2.92%| North America|Bond|Government Bonds|Treasuries|SPTL|6|7.ASSET|Bond|5694.1|164.56|N/A| United States Treasury Bond 1.625% 15-NOV-2050| 2.89%| North America|Bond|Government Bonds|Treasuries|SPTL|6|8.ASSET|Bond|5694.1|158.3|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 2.78%| North America|Bond|Government Bonds|Treasuries|SPTL|6|9.ASSET|Bond|5694.1|154.31|N/A| United States Treasury Bond 2.0% 15-NOV-2041| 2.71%| North America|Bond|Government Bonds|Treasuries|SPTL|6|10.ASSET|Bond|5694.1|148.05|N/A| United States Treasury Bond 2.25% 15-MAY-2041| 2.60%| North America|Bond|Government Bonds|Treasuries|SPTL|6|11.ASSET|Bond|5694.1|144.63|N/A| United States Treasury Bond 3.0% 15-FEB-2049| 2.54%| North America|Bond|Government Bonds|Treasuries|SPTL|6|12.ASSET|Bond|5694.1|142.35|N/A| United States Treasury Bond 1.375% 15-AUG-2050| 2.50%| North America|Bond|Government Bonds|Treasuries|SPTL|6|13.ASSET|Bond|5694.1|128.69|N/A| United States Treasury Bond 1.375% 15-NOV-2040| 2.26%| North America|Bond|Government Bonds|Treasuries|SPTL|6|14.ASSET|Bond|5694.1|127.55|N/A| United States Treasury Bond 3.0% 15-FEB-2047| 2.24%| North America|Bond|Government Bonds|Treasuries|SPTL|6|15.ASSET|Bond|5694.1|126.98|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 2.23%| North America|Equity|Global Equities||EWC|6|1.ASSET|Equity|4390.1|334.09|RY| Royal Bank of Canada| 7.61%| North America|Equity|Global Equities||EWC|6|2.ASSET|Equity|4390.1|314.77|TD| Toronto-Dominion Bank| 7.17%| North America|Equity|Global Equities||EWC|6|3.ASSET|Equity|4390.1|193.6|ENB| Enbridge Inc.| 4.41%| North America|Equity|Global Equities||EWC|6|4.ASSET|Equity|4390.1|192.73|BNS| Bank of Nova Scotia| 4.39%| North America|Equity|Global Equities||EWC|6|5.ASSET|Equity|4390.1|190.09|CNR| Canadian National Railway Company| 4.33%| North America|Equity|Global Equities||EWC|6|6.ASSET|Equity|4390.1|165.95|BAM.A| Brookfield Asset Management Inc. Class A| 3.78%| North America|Equity|Global Equities||EWC|6|7.ASSET|Equity|4390.1|162.87|BMO| Bank of Montreal| 3.71%| North America|Equity|Global Equities||EWC|6|8.ASSET|Equity|4390.1|161.12|SHOP| Shopify, Inc. Class A| 3.67%| North America|Equity|Global Equities||EWC|6|9.ASSET|Equity|4390.1|145.75|CNQ| Canadian Natural Resources Limited| 3.32%| North America|Equity|Global Equities||EWC|6|10.ASSET|Equity|4390.1|145.31|CP| Canadian Pacific Kansas City Limited| 3.31%| North America|Equity|Global Equities||EWC|6|11.ASSET|Equity|4390.1|122.92|CM| Canadian Imperial Bank of Commerce| 2.80%| North America|Equity|Global Equities||EWC|6|12.ASSET|Equity|4390.1|115.9|TRP| TC Energy Corporation| 2.64%| North America|Equity|Global Equities||EWC|6|13.ASSET|Equity|4390.1|108|NTR| Nutrien Ltd.| 2.46%| North America|Equity|Global Equities||EWC|6|14.ASSET|Equity|4390.1|97.9|SU| Suncor Energy Inc.| 2.23%| North America|Equity|Global Equities||EWC|6|15.ASSET|Equity|4390.1|88.68|ABX| Barrick Gold Corporation| 2.02%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|1.ASSET|Equity|4223.5|391.94|BHP| BHP Group Ltd| 9.28%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|2.ASSET|Equity|4223.5|269.46|1299| AIA Group Limited| 6.38%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|3.ASSET|Equity|4223.5|259.75|CBA| Commonwealth Bank of Australia| 6.15%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|4.ASSET|Equity|4223.5|199.77|CSL| CSL Limited| 4.73%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|5.ASSET|Equity|4223.5|153.31|NAB| National Australia Bank Limited| 3.63%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|6.ASSET|Equity|4223.5|127.13|WBC| Westpac Banking Corporation| 3.01%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|7.ASSET|Equity|4223.5|121.21|388| Hong Kong Exchanges & Clearing Ltd.| 2.87%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|8.ASSET|Equity|4223.5|116.15|ANZ| Australia and New Zealand Banking Group Limited| 2.75%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|9.ASSET|Equity|4223.5|102.63|MQG| Macquarie Group Limited| 2.43%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|10.ASSET|Equity|4223.5|96.72|D05| DBS Group Holdings Ltd| 2.29%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|11.ASSET|Equity|4223.5|88.27|WES| Wesfarmers Limited| 2.09%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|12.ASSET|Equity|4223.5|74.76|O39| Oversea-Chinese Banking Corporation Limited| 1.77%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|13.ASSET|Equity|4223.5|74.33|U11| United Overseas Bank Ltd. (Singapore)| 1.76%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|14.ASSET|Equity|4223.5|73.91|RIO| Rio Tinto Limited| 1.75%| Developed Asia Pacific|Equity|Asia Pacific Equities||BBAX|6|15.ASSET|Equity|4223.5|68|WOW| Woolworths Group Ltd| 1.61%| Developed Markets|Equity|Hedge Fund||DBEF|6|1.ASSET|Equity|4133.7|92.18|NESN| Nestle S.A.| 2.23%| Developed Markets|Equity|Hedge Fund||DBEF|6|2.ASSET|Equity|4133.7|84.74|N/A| FUTURES| 2.05%| Developed Markets|Equity|Hedge Fund||DBEF|6|3.ASSET|Equity|4133.7|82.26|N/A| U.S. Dollar| 1.99%| Developed Markets|Equity|Hedge Fund||DBEF|6|4.ASSET|Equity|4133.7|66.97|ROG| Roche Holding Ltd| 1.62%| Developed Markets|Equity|Hedge Fund||DBEF|6|5.ASSET|Equity|4133.7|66.55|ASML| ASML Holding NV| 1.61%| Developed Markets|Equity|Hedge Fund||DBEF|6|6.ASSET|Equity|4133.7|50.02|SHEL| Shell PLC| 1.21%| Developed Markets|Equity|Hedge Fund||DBEF|6|7.ASSET|Equity|4133.7|49.19|7203| Toyota Motor Corp.| 1.19%| Developed Markets|Equity|Hedge Fund||DBEF|6|8.ASSET|Equity|4133.7|48.36|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.17%| Developed Markets|Equity|Hedge Fund||DBEF|6|9.ASSET|Equity|4133.7|47.95|NOVN| Novartis AG| 1.16%| Developed Markets|Equity|Hedge Fund||DBEF|6|10.ASSET|Equity|4133.7|47.54|AZN| AstraZeneca PLC| 1.15%| Developed Markets|Equity|Hedge Fund||DBEF|6|11.ASSET|Equity|4133.7|44.23|NOVO.B| Novo Nordisk A/S Class B| 1.07%| Developed Markets|Equity|Hedge Fund||DBEF|6|12.ASSET|Equity|4133.7|42.99|BHP| BHP Group Ltd| 1.04%| Developed Markets|Equity|Hedge Fund||DBEF|6|13.ASSET|Equity|4133.7|33.48|HSBA| HSBC Holdings Plc| 0.81%| Developed Markets|Equity|Hedge Fund||DBEF|6|14.ASSET|Equity|4133.7|32.24|6758| Sony Group Corporation| 0.78%| Developed Markets|Equity|Hedge Fund||DBEF|6|15.ASSET|Equity|4133.7|31.42|ULVR| Unilever PLC| 0.76%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|1.ASSET|Bond|4487.1|303.78|SSIXX| State Street Institutional Liquid Reserves Fund| 6.77%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|2.ASSET|Bond|4487.1|72.69|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 1.62%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|3.ASSET|Bond|4487.1|48.46|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-NOV-2051| 1.08%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|4.ASSET|Bond|4487.1|44.87|N/A| FHLMC 30yr Pool#SD8177 2.000% 01-Nov-2051 2.0% 01-NOV-2051| 1.00%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|5.ASSET|Bond|4487.1|43.52|N/A| FHLMC 30yr Pool#SD8167 2.500% 01-Sep-2051 2.5% 01-SEP-2051| 0.97%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|6.ASSET|Bond|4487.1|38.59|N/A| MORTGAGE-BACKED SECURITIES| 0.86%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|7.ASSET|Bond|4487.1|37.69|N/A| FNMA 30yr Pool#MA4378 2.000% 01-Jul-2051 2.0% 01-JUL-2051| 0.84%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|8.ASSET|Bond|4487.1|37.69|N/A| FNMA 15yr Pool#MA4515 1.500% 01-Jan-2037 1.5% 01-JAN-2037| 0.84%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|9.ASSET|Bond|4487.1|37.69|N/A| FNMA 30yr Pool#MA4512 2.500% 01-Jan-2052 2.5% 01-JAN-2052| 0.84%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|10.ASSET|Bond|4487.1|37.69|N/A| FNMA 30yr Pool#FS0672 2.000% 01-Jan-2051 2.0% 01-JAN-2051| 0.84%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|11.ASSET|Bond|4487.1|36.79|N/A| FHLMC 30yr Pool#SD8178 2.500% 01-Nov-2051 2.5% 01-NOV-2051| 0.82%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|12.ASSET|Bond|4487.1|36.79|N/A| FNMA 30yr Pool#FS0177 2.000% 01-Jul-2051 2.0% 01-JUL-2051| 0.82%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|13.ASSET|Bond|4487.1|32.76|N/A| GNMA II 30yr Pool#MA7417 2.000% 20-Jun-2051 2.0% 20-JUN-2051| 0.73%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|14.ASSET|Bond|4487.1|31.41|N/A| FHLMC 30yr Pool#SD8140 2.000% 01-Apr-2051 2.0% 01-APR-2051| 0.70%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|SPMB|6|15.ASSET|Bond|4487.1|30.96|N/A| FNMA 30yr Pool#FM9813 2.000% 01-Nov-2051 2.0% 01-NOV-2051| 0.69%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|1.ASSET|Equity|3954|177.93|NESN| Nestle S.A.| 4.50%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|2.ASSET|Equity|3954|174.37|ROG| Roche Holding Ltd| 4.41%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|3.ASSET|Equity|3954|155.39|NOVN| Novartis AG| 3.93%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|4.ASSET|Equity|3954|147.48|NOVO.B| Novo Nordisk A/S Class B| 3.73%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|5.ASSET|Equity|3954|124.95|TD| Toronto-Dominion Bank| 3.16%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|6.ASSET|Equity|3954|122.18|SAP| SAP SE| 3.09%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|7.ASSET|Equity|3954|117.83|700| Tencent Holdings Ltd.| 2.98%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|8.ASSET|Equity|3954|110.32|1299| AIA Group Limited| 2.79%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|9.ASSET|Equity|3954|103.99|SAN| Sanofi| 2.63%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|10.ASSET|Equity|3954|100.04|DGE| Diageo plc| 2.53%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|11.ASSET|Equity|3954|94.9|500325| Reliance Industries Limited| 2.40%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|12.ASSET|Equity|3954|93.71|6861| Keyence Corporation| 2.37%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|13.ASSET|Equity|3954|83.82|CSL| CSL Limited| 2.12%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|14.ASSET|Equity|3954|69.2|BAM.A| Brookfield Asset Management Inc. Class A| 1.75%| Broad Asia|Equity|Foreign Large Cap Equities||VIGI|6|15.ASSET|Equity|3954|68.4|INFY| Infosys Limited Sponsored ADR| 1.73%| North America|Equity|Large Cap Growth Equities||SUSL|6|1.ASSET|Equity|3735.8|409.44|MSFT| Microsoft Corporation| 10.96%| North America|Equity|Large Cap Growth Equities||SUSL|6|2.ASSET|Equity|3735.8|155.04|GOOGL| Alphabet Inc. Class A| 4.15%| North America|Equity|Large Cap Growth Equities||SUSL|6|3.ASSET|Equity|3735.8|147.56|GOOG| Alphabet Inc. Class C| 3.95%| North America|Equity|Large Cap Growth Equities||SUSL|6|4.ASSET|Equity|3735.8|143.83|TSLA| Tesla Inc| 3.85%| North America|Equity|Large Cap Growth Equities||SUSL|6|5.ASSET|Equity|3735.8|115.81|NVDA| NVIDIA Corporation| 3.10%| North America|Equity|Large Cap Growth Equities||SUSL|6|6.ASSET|Equity|3735.8|83.68|JNJ| Johnson & Johnson| 2.24%| North America|Equity|Large Cap Growth Equities||SUSL|6|7.ASSET|Equity|3735.8|71.35|PG| Procter & Gamble Company| 1.91%| North America|Equity|Large Cap Growth Equities||SUSL|6|8.ASSET|Equity|3735.8|66.5|V| Visa Inc. Class A| 1.78%| North America|Equity|Large Cap Growth Equities||SUSL|6|9.ASSET|Equity|3735.8|65.38|HD| Home Depot, Inc.| 1.75%| North America|Equity|Large Cap Growth Equities||SUSL|6|10.ASSET|Equity|3735.8|57.9|MA| Mastercard Incorporated Class A| 1.55%| North America|Equity|Large Cap Growth Equities||SUSL|6|11.ASSET|Equity|3735.8|51.18|DIS| Walt Disney Company| 1.37%| North America|Equity|Large Cap Growth Equities||SUSL|6|12.ASSET|Equity|3735.8|48.94|KO| Coca-Cola Company| 1.31%| North America|Equity|Large Cap Growth Equities||SUSL|6|13.ASSET|Equity|3735.8|45.2|CSCO| Cisco Systems, Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||SUSL|6|14.ASSET|Equity|3735.8|43.34|PEP| PepsiCo, Inc.| 1.16%| North America|Equity|Large Cap Growth Equities||SUSL|6|15.ASSET|Equity|3735.8|42.96|ADBE| Adobe Inc.| 1.15%| North America|Equity|Small Cap Value Equities||SLYV|6|1.ASSET|Equity|4197.5|32.74|HP| Helmerich & Payne, Inc.| 0.78%| North America|Equity|Small Cap Value Equities||SLYV|6|2.ASSET|Equity|4197.5|31.9|SJI| South Jersey Industries, Inc.| 0.76%| North America|Equity|Small Cap Value Equities||SLYV|6|3.ASSET|Equity|4197.5|31.06|COOP| Mr. Cooper Group, Inc.| 0.74%| North America|Equity|Small Cap Value Equities||SLYV|6|4.ASSET|Equity|4197.5|31.06|BKU| BankUnited, Inc.| 0.74%| North America|Equity|Small Cap Value Equities||SLYV|6|5.ASSET|Equity|4197.5|30.64|REZI| Resideo Technologies, Inc.| 0.73%| North America|Equity|Small Cap Value Equities||SLYV|6|6.ASSET|Equity|4197.5|29.8|NSIT| Insight Enterprises, Inc.| 0.71%| North America|Equity|Small Cap Value Equities||SLYV|6|7.ASSET|Equity|4197.5|29.38|FHB| First Hawaiian, Inc.| 0.70%| North America|Equity|Small Cap Value Equities||SLYV|6|8.ASSET|Equity|4197.5|27.28|GPI| Group 1 Automotive, Inc.| 0.65%| North America|Equity|Small Cap Value Equities||SLYV|6|9.ASSET|Equity|4197.5|26.86|OMI| Owens & Minor, Inc.| 0.64%| North America|Equity|Small Cap Value Equities||SLYV|6|10.ASSET|Equity|4197.5|26.44|SFNC| Simmons First National Corporation Class A| 0.63%| North America|Equity|Small Cap Value Equities||SLYV|6|11.ASSET|Equity|4197.5|26.02|AVA| Avista Corporation| 0.62%| North America|Equity|Small Cap Value Equities||SLYV|6|12.ASSET|Equity|4197.5|25.19|TWNK| Hostess Brands, Inc. Class A| 0.60%| North America|Equity|Small Cap Value Equities||SLYV|6|13.ASSET|Equity|4197.5|25.19|PTEN| Patterson-UTI Energy, Inc.| 0.60%| North America|Equity|Small Cap Value Equities||SLYV|6|14.ASSET|Equity|4197.5|25.19|ABM| ABM Industries Incorporated| 0.60%| North America|Equity|Small Cap Value Equities||SLYV|6|15.ASSET|Equity|4197.5|24.77|REGI| Renewable Energy Group, Inc.| 0.59%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|1.ASSET|Equity|3741.6|30.31|CF| CF Industries Holdings, Inc.| 0.81%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|2.ASSET|Equity|3741.6|26.94|CTXS| Citrix Systems, Inc.| 0.72%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|3.ASSET|Equity|3741.6|26.57|688180| Shanghai Junshi Biosciences Co., Ltd. Class A| 0.71%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|4.ASSET|Equity|3741.6|26.57|EXEL| Exelixis, Inc.| 0.71%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|5.ASSET|Equity|3741.6|26.19|JAZZ| Jazz Pharmaceuticals Public Limited Company| 0.70%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|6.ASSET|Equity|3741.6|26.19|MNDT| Mandiant, Inc.| 0.70%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|7.ASSET|Equity|3741.6|26.19|NLOK| NortonLifeLock Inc.| 0.70%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|8.ASSET|Equity|3741.6|26.19|BMY| Bristol-Myers Squibb Company| 0.70%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|9.ASSET|Equity|3741.6|25.82|ABBV| AbbVie, Inc.| 0.69%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|10.ASSET|Equity|3741.6|25.44|ZEN| Zendesk, Inc.| 0.68%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|11.ASSET|Equity|3741.6|24.69|AZN| AstraZeneca PLC| 0.66%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|12.ASSET|Equity|3741.6|23.95|SQM.B| Sociedad Quimica y Minera de Chile SA Pfd Series B| 0.64%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|13.ASSET|Equity|3741.6|23.57|MU| Micron Technology, Inc.| 0.63%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|14.ASSET|Equity|3741.6|23.57|4502| Takeda Pharmaceutical Co. Ltd.| 0.63%| Developed Markets|Equity|Large Cap Growth Equities|Technology|XT|6|15.ASSET|Equity|3741.6|23.2|SABR| Sabre Corp.| 0.62%| North America|Equity|Leveraged Equities|Financials|FAS|6|1.ASSET|Equity|3011|2031.22|N/A| MUTUAL FUND (OTHER)| 67.46%| North America|Equity|Leveraged Equities|Financials|FAS|6|2.ASSET|Equity|3011|261.35|N/A| U.S. Dollar| 8.68%| North America|Equity|Leveraged Equities|Financials|FAS|6|3.ASSET|Equity|3011|63.23|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 2.10%| North America|Equity|Leveraged Equities|Financials|FAS|6|4.ASSET|Equity|3011|62.03|BRK.B| Berkshire Hathaway Inc. Class B| 2.06%| North America|Equity|Leveraged Equities|Financials|FAS|6|5.ASSET|Equity|3011|45.17|JPM| JPMorgan Chase & Co.| 1.50%| North America|Equity|Leveraged Equities|Financials|FAS|6|6.ASSET|Equity|3011|36.73|BAC| Bank of America Corp| 1.22%| North America|Equity|Leveraged Equities|Financials|FAS|6|7.ASSET|Equity|3011|27.4|WFC| Wells Fargo & Company| 0.91%| North America|Equity|Leveraged Equities|Financials|FAS|6|8.ASSET|Equity|3011|21.08|SPGI| S&P Global, Inc.| 0.70%| North America|Equity|Leveraged Equities|Financials|FAS|6|9.ASSET|Equity|3011|18.67|SCHW| Charles Schwab Corporation| 0.62%| North America|Equity|Leveraged Equities|Financials|FAS|6|10.ASSET|Equity|3011|18.07|MS| Morgan Stanley| 0.60%| North America|Equity|Leveraged Equities|Financials|FAS|6|11.ASSET|Equity|3011|18.07|C| Citigroup Inc.| 0.60%| North America|Equity|Leveraged Equities|Financials|FAS|6|12.ASSET|Equity|3011|16.86|GS| Goldman Sachs Group, Inc.| 0.56%| North America|Equity|Leveraged Equities|Financials|FAS|6|13.ASSET|Equity|3011|15.96|BLK| BlackRock, Inc.| 0.53%| North America|Equity|Leveraged Equities|Financials|FAS|6|14.ASSET|Equity|3011|13.55|BX| Blackstone Inc.| 0.45%| North America|Equity|Leveraged Equities|Financials|FAS|6|15.ASSET|Equity|3011|13.25|CB| Chubb Limited| 0.44%| North America|Equity|Large Cap Growth Equities||SUSA|6|1.ASSET|Equity|3983.7|204.36|MSFT| Microsoft Corporation| 5.13%| North America|Equity|Large Cap Growth Equities||SUSA|6|2.ASSET|Equity|3983.7|196.79|AAPL| Apple Inc.| 4.94%| North America|Equity|Large Cap Growth Equities||SUSA|6|3.ASSET|Equity|3983.7|93.62|GOOGL| Alphabet Inc. Class A| 2.35%| North America|Equity|Large Cap Growth Equities||SUSA|6|4.ASSET|Equity|3983.7|88.44|NVDA| NVIDIA Corporation| 2.22%| North America|Equity|Large Cap Growth Equities||SUSA|6|5.ASSET|Equity|3983.7|77.28|TSLA| Tesla Inc| 1.94%| North America|Equity|Large Cap Growth Equities||SUSA|6|6.ASSET|Equity|3983.7|75.29|HD| Home Depot, Inc.| 1.89%| North America|Equity|Large Cap Growth Equities||SUSA|6|7.ASSET|Equity|3983.7|60.55|ADBE| Adobe Inc.| 1.52%| North America|Equity|Large Cap Growth Equities||SUSA|6|8.ASSET|Equity|3983.7|56.97|BLK| BlackRock, Inc.| 1.43%| North America|Equity|Large Cap Growth Equities||SUSA|6|9.ASSET|Equity|3983.7|56.57|JCI| Johnson Controls International plc| 1.42%| North America|Equity|Large Cap Growth Equities||SUSA|6|10.ASSET|Equity|3983.7|55.37|TXN| Texas Instruments Incorporated| 1.39%| North America|Equity|Large Cap Growth Equities||SUSA|6|11.ASSET|Equity|3983.7|55.37|PEP| PepsiCo, Inc.| 1.39%| North America|Equity|Large Cap Growth Equities||SUSA|6|12.ASSET|Equity|3983.7|52.58|K| Kellogg Company| 1.32%| North America|Equity|Large Cap Growth Equities||SUSA|6|13.ASSET|Equity|3983.7|52.19|GOOG| Alphabet Inc. Class C| 1.31%| North America|Equity|Large Cap Growth Equities||SUSA|6|14.ASSET|Equity|3983.7|50.59|MMM| 3M Company| 1.27%| North America|Equity|Large Cap Growth Equities||SUSA|6|15.ASSET|Equity|3983.7|47.41|CSCO| Cisco Systems, Inc.| 1.19%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|1.ASSET|Equity|4219.3|172.15|ROG| Roche Holding Ltd| 4.08%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|2.ASSET|Equity|4219.3|168.77|ASML| ASML Holding NV| 4.00%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|3.ASSET|Equity|4219.3|153.16|NESN| Nestle S.A.| 3.63%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|4.ASSET|Equity|4219.3|127.84|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.03%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|5.ASSET|Equity|4219.3|119.41|NOVO.B| Novo Nordisk A/S Class B| 2.83%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|6.ASSET|Equity|4219.3|113.08|BHP| BHP Group Ltd| 2.68%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|7.ASSET|Equity|4219.3|97.47|TTE| TotalEnergies SE| 2.31%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|8.ASSET|Equity|4219.3|86.5|1299| AIA Group Limited| 2.05%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|9.ASSET|Equity|4219.3|70.88|ALV| Allianz SE| 1.68%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|10.ASSET|Equity|4219.3|68.77|RIO| Rio Tinto plc| 1.63%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|11.ASSET|Equity|4219.3|67.93|ULVR| Unilever PLC| 1.61%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|12.ASSET|Equity|4219.3|61.6|7974| Nintendo Co., Ltd.| 1.46%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|13.ASSET|Equity|4219.3|56.12|388| Hong Kong Exchanges & Clearing Ltd.| 1.33%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|14.ASSET|Equity|4219.3|54.43|ZURN| Zurich Insurance Group Ltd| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||IQLT|6|15.ASSET|Equity|4219.3|53.59|DGE| Diageo plc| 1.27%| North America|Bond|National Munis|Municipal Bond|TFI|6|1.ASSET|Bond|4988.3|30.43|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 0.61%| North America|Bond|National Munis|Municipal Bond|TFI|6|2.ASSET|Bond|4988.3|27.44|N/A| MUNICIPAL BONDS| 0.55%| North America|Bond|National Munis|Municipal Bond|TFI|6|3.ASSET|Bond|4988.3|24.94|N/A| Massachusetts St 5.0% 01-JAN-2025| 0.50%| North America|Bond|National Munis|Municipal Bond|TFI|6|4.ASSET|Bond|4988.3|19.45|N/A| New York St Dorm Auth St Pers Income Tax Rev 4.0% 15-MAR-2037| 0.39%| North America|Bond|National Munis|Municipal Bond|TFI|6|5.ASSET|Bond|4988.3|16.96|N/A| Illinois St Toll Hwy Auth Toll Highway Rev 5.0% 01-JAN-2045| 0.34%| North America|Bond|National Munis|Municipal Bond|TFI|6|6.ASSET|Bond|4988.3|15.96|N/A| Washington D C Met Area Tran Auth Dedicated Rev 3.0% 15-JUL-2043| 0.32%| North America|Bond|National Munis|Municipal Bond|TFI|6|7.ASSET|Bond|4988.3|14.47|N/A| California St 5.0% 01-APR-2024| 0.29%| North America|Bond|National Munis|Municipal Bond|TFI|6|8.ASSET|Bond|4988.3|13.97|N/A| New York N Y 4.0% 01-AUG-2039| 0.28%| North America|Bond|National Munis|Municipal Bond|TFI|6|9.ASSET|Bond|4988.3|13.97|N/A| Maryland St 5.0% 01-AUG-2028| 0.28%| North America|Bond|National Munis|Municipal Bond|TFI|6|10.ASSET|Bond|4988.3|13.97|N/A| California St 3.0% 01-OCT-2037| 0.28%| North America|Bond|National Munis|Municipal Bond|TFI|6|11.ASSET|Bond|4988.3|13.97|N/A| Maryland St 5.0% 01-AUG-2034| 0.28%| North America|Bond|National Munis|Municipal Bond|TFI|6|12.ASSET|Bond|4988.3|13.47|N/A| Los Angeles Cnty Calif Met Transn Auth Sales Taxrev 5.0% 01-JUN-2024| 0.27%| North America|Bond|National Munis|Municipal Bond|TFI|6|13.ASSET|Bond|4988.3|13.47|N/A| New York St Dorm Auth St Pers Income Tax Rev 5.0% 15-MAR-2033| 0.27%| North America|Bond|National Munis|Municipal Bond|TFI|6|14.ASSET|Bond|4988.3|13.47|N/A| Illinois St Toll Hwy Auth Toll Highway Rev 5.0% 01-JAN-2043| 0.27%| North America|Bond|National Munis|Municipal Bond|TFI|6|15.ASSET|Bond|4988.3|13.47|N/A| New York St Urban Dev Corp Rev 5.0% 15-MAR-2035| 0.27%| North America|Equity|Large Cap Growth Equities||USSG|6|1.ASSET|Equity|3185.6|349.14|MSFT| Microsoft Corporation| 10.96%| North America|Equity|Large Cap Growth Equities||USSG|6|2.ASSET|Equity|3185.6|131.88|GOOGL| Alphabet Inc. Class A| 4.14%| North America|Equity|Large Cap Growth Equities||USSG|6|3.ASSET|Equity|3185.6|125.51|GOOG| Alphabet Inc. Class C| 3.94%| North America|Equity|Large Cap Growth Equities||USSG|6|4.ASSET|Equity|3185.6|122.33|TSLA| Tesla Inc| 3.84%| North America|Equity|Large Cap Growth Equities||USSG|6|5.ASSET|Equity|3185.6|98.75|NVDA| NVIDIA Corporation| 3.10%| North America|Equity|Large Cap Growth Equities||USSG|6|6.ASSET|Equity|3185.6|71.36|JNJ| Johnson & Johnson| 2.24%| North America|Equity|Large Cap Growth Equities||USSG|6|7.ASSET|Equity|3185.6|60.53|PG| Procter & Gamble Company| 1.90%| North America|Equity|Large Cap Growth Equities||USSG|6|8.ASSET|Equity|3185.6|56.7|V| Visa Inc. Class A| 1.78%| North America|Equity|Large Cap Growth Equities||USSG|6|9.ASSET|Equity|3185.6|55.75|HD| Home Depot, Inc.| 1.75%| North America|Equity|Large Cap Growth Equities||USSG|6|10.ASSET|Equity|3185.6|49.38|MA| Mastercard Incorporated Class A| 1.55%| North America|Equity|Large Cap Growth Equities||USSG|6|11.ASSET|Equity|3185.6|43.64|DIS| Walt Disney Company| 1.37%| North America|Equity|Large Cap Growth Equities||USSG|6|12.ASSET|Equity|3185.6|41.73|KO| Coca-Cola Company| 1.31%| North America|Equity|Large Cap Growth Equities||USSG|6|13.ASSET|Equity|3185.6|38.55|CSCO| Cisco Systems, Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||USSG|6|14.ASSET|Equity|3185.6|36.95|PEP| PepsiCo, Inc.| 1.16%| North America|Equity|Large Cap Growth Equities||USSG|6|15.ASSET|Equity|3185.6|36.63|ADBE| Adobe Inc.| 1.15%| North America|Bond|Government Bonds|Treasuries|SCHR|6|1.ASSET|Bond|3781.8|88.87|N/A| TREASURY ISSUES (LONG-TERM)| 2.35%| North America|Bond|Government Bonds|Treasuries|SCHR|6|2.ASSET|Bond|3781.8|85.47|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 2.26%| North America|Bond|Government Bonds|Treasuries|SCHR|6|3.ASSET|Bond|3781.8|83.58|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.21%| North America|Bond|Government Bonds|Treasuries|SCHR|6|4.ASSET|Bond|3781.8|81.69|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 2.16%| North America|Bond|Government Bonds|Treasuries|SCHR|6|5.ASSET|Bond|3781.8|79.04|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 2.09%| North America|Bond|Government Bonds|Treasuries|SCHR|6|6.ASSET|Bond|3781.8|77.53|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 2.05%| North America|Bond|Government Bonds|Treasuries|SCHR|6|7.ASSET|Bond|3781.8|74.5|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 1.97%| North America|Bond|Government Bonds|Treasuries|SCHR|6|8.ASSET|Bond|3781.8|59.37|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 1.57%| North America|Bond|Government Bonds|Treasuries|SCHR|6|9.ASSET|Bond|3781.8|56.73|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 1.50%| North America|Bond|Government Bonds|Treasuries|SCHR|6|10.ASSET|Bond|3781.8|55.97|N/A| United States Treasury Notes 0.375% 30-APR-2025| 1.48%| North America|Bond|Government Bonds|Treasuries|SCHR|6|11.ASSET|Bond|3781.8|54.46|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 1.44%| North America|Bond|Government Bonds|Treasuries|SCHR|6|12.ASSET|Bond|3781.8|52.57|N/A| United States Treasury Notes 2.875% 15-MAY-2028| 1.39%| North America|Bond|Government Bonds|Treasuries|SCHR|6|13.ASSET|Bond|3781.8|50.3|N/A| United States Treasury Notes 0.25% 31-MAY-2025| 1.33%| North America|Bond|Government Bonds|Treasuries|SCHR|6|14.ASSET|Bond|3781.8|49.92|N/A| United States Treasury Notes 2.25% 15-NOV-2025| 1.32%| North America|Bond|Government Bonds|Treasuries|SCHR|6|15.ASSET|Bond|3781.8|49.92|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 1.32%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|1.ASSET|Bond|3865.4|50.64|N/A| Government of China 1.99% 09-APR-2025| 1.31%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|2.ASSET|Bond|3865.4|47.93|N/A| TREASURY ISSUES (LONG-TERM)| 1.24%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|3.ASSET|Bond|3865.4|40.97|N/A| AGENCY BOND| 1.06%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|4.ASSET|Bond|3865.4|36.33|N/A| Government of China 2.36% 02-JUL-2023| 0.94%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|5.ASSET|Bond|3865.4|33.24|N/A| Government of China 2.68% 21-MAY-2030| 0.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|6.ASSET|Bond|3865.4|29.38|N/A| U.S. Dollar| 0.76%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|7.ASSET|Bond|3865.4|27.83|N/A| China Development Bank 3.48% 08-JAN-2029| 0.72%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|8.ASSET|Bond|3865.4|23.19|N/A| Government of China 3.39% 16-MAR-2050| 0.60%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|9.ASSET|Bond|3865.4|16.23|N/A| Japan 0.005% 01-APR-2023| 0.42%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|10.ASSET|Bond|3865.4|14.69|N/A| China Development Bank 3.23% 10-JAN-2025| 0.38%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|11.ASSET|Bond|3865.4|14.3|N/A| Japan 0.1% 20-JUN-2026| 0.37%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|12.ASSET|Bond|3865.4|13.92|N/A| China Development Bank 4.88% 09-FEB-2028| 0.36%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|13.ASSET|Bond|3865.4|13.14|N/A| Japan 0.1% 20-DEC-2024| 0.34%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|14.ASSET|Bond|3865.4|12.76|N/A| France 0.75% 25-NOV-2028| 0.33%| Developed Markets|Bond|Total Bond Market|Total Bond Market|IAGG|6|15.ASSET|Bond|3865.4|11.98|N/A| France 2.75% 25-OCT-2027| 0.31%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|1.ASSET|Equity|3567.2|26.4|FM| First Quantum Minerals Ltd.| 0.74%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|2.ASSET|Equity|3567.2|23.54|WSP| WSP Global Inc.| 0.66%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|3.ASSET|Equity|3567.2|19.62|EMA| Emera Incorporated| 0.55%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|4.ASSET|Equity|3567.2|18.91|OTEX| Open Text Corporation| 0.53%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|5.ASSET|Equity|3567.2|18.91|TOU| Tourmaline Oil Corp.| 0.53%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|6.ASSET|Equity|3567.2|16.05|CCO| Cameco Corporation| 0.45%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|7.ASSET|Equity|3567.2|16.05|WFG| West Fraser Timber Co. Ltd.| 0.45%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|8.ASSET|Equity|3567.2|16.05|AQN| Algonquin Power & Utilities Corp.| 0.45%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|9.ASSET|Equity|3567.2|14.98|TFII| TFI International Inc.| 0.42%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|10.ASSET|Equity|3567.2|13.2|CAE| CAE Inc.| 0.37%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|11.ASSET|Equity|3567.2|13.2|ARX| ARC Resources Ltd.| 0.37%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|12.ASSET|Equity|3567.2|11.77|NPI| Northland Power Inc.| 0.33%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|13.ASSET|Equity|3567.2|11.77|GIL| Gildan Activewear Inc.| 0.33%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|14.ASSET|Equity|3567.2|11.42|LYC| Lynas Rare Earths Limited| 0.32%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||SCHC|6|15.ASSET|Equity|3567.2|11.42|CAR.UT| Canadian Apartment Properties Real Estate Investment Trust| 0.32%| North America|Equity|Technology Equities|Technology|IGM|6|1.ASSET|Equity|3239.6|304.52|AAPL| Apple Inc.| 9.40%| North America|Equity|Technology Equities|Technology|IGM|6|2.ASSET|Equity|3239.6|287.68|MSFT| Microsoft Corporation| 8.88%| North America|Equity|Technology Equities|Technology|IGM|6|3.ASSET|Equity|3239.6|278.61|AMZN| Amazon.com, Inc.| 8.60%| North America|Equity|Technology Equities|Technology|IGM|6|4.ASSET|Equity|3239.6|150.97|NVDA| NVIDIA Corporation| 4.66%| North America|Equity|Technology Equities|Technology|IGM|6|5.ASSET|Equity|3239.6|150.64|GOOGL| Alphabet Inc. Class A| 4.65%| North America|Equity|Technology Equities|Technology|IGM|6|6.ASSET|Equity|3239.6|140.27|GOOG| Alphabet Inc. Class C| 4.33%| North America|Equity|Technology Equities|Technology|IGM|6|7.ASSET|Equity|3239.6|122.78|FB| Meta Platforms Inc. Class A| 3.79%| North America|Equity|Technology Equities|Technology|IGM|6|8.ASSET|Equity|3239.6|87.15|V| Visa Inc. Class A| 2.69%| North America|Equity|Technology Equities|Technology|IGM|6|9.ASSET|Equity|3239.6|74.51|MA| Mastercard Incorporated Class A| 2.30%| North America|Equity|Technology Equities|Technology|IGM|6|10.ASSET|Equity|3239.6|60.26|AVGO| Broadcom Inc.| 1.86%| North America|Equity|Technology Equities|Technology|IGM|6|11.ASSET|Equity|3239.6|58.96|CSCO| Cisco Systems, Inc.| 1.82%| North America|Equity|Technology Equities|Technology|IGM|6|12.ASSET|Equity|3239.6|56.05|ADBE| Adobe Inc.| 1.73%| North America|Equity|Technology Equities|Technology|IGM|6|13.ASSET|Equity|3239.6|51.51|CRM| salesforce.com, inc.| 1.59%| North America|Equity|Technology Equities|Technology|IGM|6|14.ASSET|Equity|3239.6|50.21|ACN| Accenture Plc Class A| 1.55%| North America|Equity|Technology Equities|Technology|IGM|6|15.ASSET|Equity|3239.6|49.57|INTC| Intel Corporation| 1.53%| North America|Equity|Technology Equities|Technology|QTEC|6|1.ASSET|Equity|3319.4|164.64|AMD| Advanced Micro Devices, Inc.| 4.96%| North America|Equity|Technology Equities|Technology|QTEC|6|2.ASSET|Equity|3319.4|99.25|BIDU| Baidu Inc Sponsored ADR Class A| 2.99%| North America|Equity|Technology Equities|Technology|QTEC|6|3.ASSET|Equity|3319.4|98.59|MU| Micron Technology, Inc.| 2.97%| North America|Equity|Technology Equities|Technology|QTEC|6|4.ASSET|Equity|3319.4|96.26|PANW| Palo Alto Networks, Inc.| 2.90%| North America|Equity|Technology Equities|Technology|QTEC|6|5.ASSET|Equity|3319.4|91.28|CTSH| Cognizant Technology Solutions Corporation Class A| 2.75%| North America|Equity|Technology Equities|Technology|QTEC|6|6.ASSET|Equity|3319.4|90.62|SPLK| Splunk Inc.| 2.73%| North America|Equity|Technology Equities|Technology|QTEC|6|7.ASSET|Equity|3319.4|90.62|FTNT| Fortinet, Inc.| 2.73%| North America|Equity|Technology Equities|Technology|QTEC|6|8.ASSET|Equity|3319.4|86.3|CRWD| CrowdStrike Holdings, Inc. Class A| 2.60%| North America|Equity|Technology Equities|Technology|QTEC|6|9.ASSET|Equity|3319.4|85.31|AAPL| Apple Inc.| 2.57%| North America|Equity|Technology Equities|Technology|QTEC|6|10.ASSET|Equity|3319.4|84.98|DDOG| Datadog Inc Class A| 2.56%| North America|Equity|Technology Equities|Technology|QTEC|6|11.ASSET|Equity|3319.4|84.64|INTC| Intel Corporation| 2.55%| North America|Equity|Technology Equities|Technology|QTEC|6|12.ASSET|Equity|3319.4|83.98|QCOM| Qualcomm Inc| 2.53%| North America|Equity|Technology Equities|Technology|QTEC|6|13.ASSET|Equity|3319.4|82.32|ADI| Analog Devices, Inc.| 2.48%| North America|Equity|Technology Equities|Technology|QTEC|6|14.ASSET|Equity|3319.4|81.33|MSFT| Microsoft Corporation| 2.45%| North America|Equity|Technology Equities|Technology|QTEC|6|15.ASSET|Equity|3319.4|80.99|AVGO| Broadcom Inc.| 2.44%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|1.ASSET|Equity|3733|71.67|ETISALAT| Emirates Telecommunications Group Company PJSC| 1.92%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|2.ASSET|Equity|3733|63.09|5880| Taiwan Cooperative Financial Holding Co., Ltd.| 1.69%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|3.ASSET|Equity|3733|61.97|1120| Al Rajhi Bank| 1.66%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|4.ASSET|Equity|3733|61.59|2412| Chunghwa Telecom Co., Ltd| 1.65%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|5.ASSET|Equity|3733|60.85|2892| First Financial Holding Co. Ltd.| 1.63%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|6.ASSET|Equity|3733|58.61|3045| Taiwan Mobile Co., Ltd.| 1.57%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|7.ASSET|Equity|3733|54.88|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.47%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|8.ASSET|Equity|3733|51.14|ADVANC.R| Advanced Info Service Public Co., Ltd. NVDR| 1.37%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|9.ASSET|Equity|3733|50.02|2912| President Chain Store Corporation| 1.34%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|10.ASSET|Equity|3733|48.9|3988| Bank of China Limited Class H| 1.31%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|11.ASSET|Equity|3733|48.16|600900| China Yangtze Power Co., Ltd. Class A| 1.29%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|12.ASSET|Equity|3733|47.78|7010| Saudi Telecom Co.| 1.28%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|13.ASSET|Equity|3733|47.41|500209| Infosys Limited| 1.27%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|14.ASSET|Equity|3733|44.05|2880| Hua Nan Financial Holdings Co., Ltd.| 1.18%| Emerging Markets|Equity|Asia Pacific Equities||EEMV|6|15.ASSET|Equity|3733|43.68|532540| Tata Consultancy Services Limited| 1.17%| North America|Equity|Materials|Materials|VAW|6|1.ASSET|Equity|3887.6|510.83|LIN| Linde plc| 13.14%| North America|Equity|Materials|Materials|VAW|6|2.ASSET|Equity|3887.6|222.37|SHW| Sherwin-Williams Company| 5.72%| North America|Equity|Materials|Materials|VAW|6|3.ASSET|Equity|3887.6|193.99|APD| Air Products and Chemicals, Inc.| 4.99%| North America|Equity|Materials|Materials|VAW|6|4.ASSET|Equity|3887.6|169.5|FCX| Freeport-McMoRan, Inc.| 4.36%| North America|Equity|Materials|Materials|VAW|6|5.ASSET|Equity|3887.6|151.62|NEM| Newmont Corporation| 3.90%| North America|Equity|Materials|Materials|VAW|6|6.ASSET|Equity|3887.6|151.62|ECL| Ecolab Inc.| 3.90%| North America|Equity|Materials|Materials|VAW|6|7.ASSET|Equity|3887.6|138.4|DOW| Dow, Inc.| 3.56%| North America|Equity|Materials|Materials|VAW|6|8.ASSET|Equity|3887.6|124.4|DD| DuPont de Nemours, Inc.| 3.20%| North America|Equity|Materials|Materials|VAW|6|9.ASSET|Equity|3887.6|115.07|PPG| PPG Industries, Inc.| 2.96%| North America|Equity|Materials|Materials|VAW|6|10.ASSET|Equity|3887.6|109.63|CTVA| Corteva Inc| 2.82%| North America|Equity|Materials|Materials|VAW|6|11.ASSET|Equity|3887.6|101.86|IFF| International Flavors & Fragrances Inc.| 2.62%| North America|Equity|Materials|Materials|VAW|6|12.ASSET|Equity|3887.6|98.36|BLL| Ball Corporation| 2.53%| North America|Equity|Materials|Materials|VAW|6|13.ASSET|Equity|3887.6|92.52|NUE| Nucor Corporation| 2.38%| North America|Equity|Materials|Materials|VAW|6|14.ASSET|Equity|3887.6|80.47|LYB| LyondellBasell Industries NV| 2.07%| North America|Equity|Materials|Materials|VAW|6|15.ASSET|Equity|3887.6|80.08|ALB| Albemarle Corporation| 2.06%| North America|Equity|Large Cap Growth Equities||DSI|6|1.ASSET|Equity|3771.9|391.15|MSFT| Microsoft Corporation| 10.37%| North America|Equity|Large Cap Growth Equities||DSI|6|2.ASSET|Equity|3771.9|148.99|GOOGL| Alphabet Inc. Class A| 3.95%| North America|Equity|Large Cap Growth Equities||DSI|6|3.ASSET|Equity|3771.9|142.58|GOOG| Alphabet Inc. Class C| 3.78%| North America|Equity|Large Cap Growth Equities||DSI|6|4.ASSET|Equity|3771.9|134.28|TSLA| Tesla Inc| 3.56%| North America|Equity|Large Cap Growth Equities||DSI|6|5.ASSET|Equity|3771.9|111.65|NVDA| NVIDIA Corporation| 2.96%| North America|Equity|Large Cap Growth Equities||DSI|6|6.ASSET|Equity|3771.9|69.4|PG| Procter & Gamble Company| 1.84%| North America|Equity|Large Cap Growth Equities||DSI|6|7.ASSET|Equity|3771.9|66.76|V| Visa Inc. Class A| 1.77%| North America|Equity|Large Cap Growth Equities||DSI|6|8.ASSET|Equity|3771.9|61.1|HD| Home Depot, Inc.| 1.62%| North America|Equity|Large Cap Growth Equities||DSI|6|9.ASSET|Equity|3771.9|58.09|MA| Mastercard Incorporated Class A| 1.54%| North America|Equity|Large Cap Growth Equities||DSI|6|10.ASSET|Equity|3771.9|49.41|DIS| Walt Disney Company| 1.31%| North America|Equity|Large Cap Growth Equities||DSI|6|11.ASSET|Equity|3771.9|47.9|ABBV| AbbVie, Inc.| 1.27%| North America|Equity|Large Cap Growth Equities||DSI|6|12.ASSET|Equity|3771.9|46.77|KO| Coca-Cola Company| 1.24%| North America|Equity|Large Cap Growth Equities||DSI|6|13.ASSET|Equity|3771.9|43|CSCO| Cisco Systems, Inc.| 1.14%| North America|Equity|Large Cap Growth Equities||DSI|6|14.ASSET|Equity|3771.9|41.49|PEP| PepsiCo, Inc.| 1.10%| North America|Equity|Large Cap Growth Equities||DSI|6|15.ASSET|Equity|3771.9|40.74|ADBE| Adobe Inc.| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|1.ASSET|Equity|3121.7|69.3|NESN| Nestle S.A.| 2.22%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|2.ASSET|Equity|3121.7|50.26|ROG| Roche Holding Ltd| 1.61%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|3.ASSET|Equity|3121.7|49.64|ASML| ASML Holding NV| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|4.ASSET|Equity|3121.7|44.33|7203| Toyota Motor Corp.| 1.42%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|5.ASSET|Equity|3121.7|40.27|NOVN| Novartis AG| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|6.ASSET|Equity|3121.7|37.77|SHEL| Shell PLC| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|7.ASSET|Equity|3121.7|35.9|AZN| AstraZeneca PLC| 1.15%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|8.ASSET|Equity|3121.7|34.96|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.12%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|9.ASSET|Equity|3121.7|32.47|NOVO.B| Novo Nordisk A/S Class B| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|10.ASSET|Equity|3121.7|25.91|HSBA| HSBC Holdings Plc| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|11.ASSET|Equity|3121.7|24.35|ULVR| Unilever PLC| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|12.ASSET|Equity|3121.7|23.72|6758| Sony Group Corporation| 0.76%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|13.ASSET|Equity|3121.7|23.41|1299| AIA Group Limited| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|14.ASSET|Equity|3121.7|23.1|TTE| TotalEnergies SE| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||BBIN|6|15.ASSET|Equity|3121.7|22.48|SAP| SAP SE| 0.72%| North America|Bond|Inflation-Protected Bonds|TIPS|IVOL|6|1.ASSET|Bond|2044.1|1702.53|SCHP| Schwab US TIPS ETF| 83.29%| North America|Bond|Inflation-Protected Bonds|TIPS|IVOL|6|2.ASSET|Bond|2044.1|187.44|N/A| OPTIONS| 9.17%| North America|Bond|Inflation-Protected Bonds|TIPS|IVOL|6|3.ASSET|Bond|2044.1|154.13|N/A| U.S. Dollar| 7.54%| North America|Equity|Financials Equities|Financials|KBWB|6|1.ASSET|Equity|3161.5|275.37|WFC| Wells Fargo & Company| 8.71%| North America|Equity|Financials Equities|Financials|KBWB|6|2.ASSET|Equity|3161.5|249.76|BAC| Bank of America Corp| 7.90%| North America|Equity|Financials Equities|Financials|KBWB|6|3.ASSET|Equity|3161.5|248.49|PNC| PNC Financial Services Group, Inc.| 7.86%| North America|Equity|Financials Equities|Financials|KBWB|6|4.ASSET|Equity|3161.5|240.59|C| Citigroup Inc.| 7.61%| North America|Equity|Financials Equities|Financials|KBWB|6|5.ASSET|Equity|3161.5|224.78|JPM| JPMorgan Chase & Co.| 7.11%| North America|Equity|Financials Equities|Financials|KBWB|6|6.ASSET|Equity|3161.5|137.84|FITB| Fifth Third Bancorp| 4.36%| North America|Equity|Financials Equities|Financials|KBWB|6|7.ASSET|Equity|3161.5|130.89|COF| Capital One Financial Corporation| 4.14%| North America|Equity|Financials Equities|Financials|KBWB|6|8.ASSET|Equity|3161.5|128.04|TFC| Truist Financial Corporation| 4.05%| North America|Equity|Financials Equities|Financials|KBWB|6|9.ASSET|Equity|3161.5|127.09|USB| U.S. Bancorp| 4.02%| North America|Equity|Financials Equities|Financials|KBWB|6|10.ASSET|Equity|3161.5|120.77|BK| Bank of New York Mellon Corporation| 3.82%| North America|Equity|Financials Equities|Financials|KBWB|6|11.ASSET|Equity|3161.5|118.87|STT| State Street Corporation| 3.76%| North America|Equity|Financials Equities|Financials|KBWB|6|12.ASSET|Equity|3161.5|111.92|NTRS| Northern Trust Corporation| 3.54%| North America|Equity|Financials Equities|Financials|KBWB|6|13.ASSET|Equity|3161.5|110.97|MTB| M&T Bank Corporation| 3.51%| North America|Equity|Financials Equities|Financials|KBWB|6|14.ASSET|Equity|3161.5|108.44|KEY| KeyCorp| 3.43%| North America|Equity|Financials Equities|Financials|KBWB|6|15.ASSET|Equity|3161.5|106.86|RF| Regions Financial Corporation| 3.38%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|1.ASSET|Equity|3872.1|534.35|AAPL| Apple Inc.| 13.80%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|2.ASSET|Equity|3872.1|465.04|MSFT| Microsoft Corporation| 12.01%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|3.ASSET|Equity|3872.1|276.86|AMZN| Amazon.com, Inc.| 7.15%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|4.ASSET|Equity|3872.1|169.21|GOOGL| Alphabet Inc. Class A| 4.37%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|5.ASSET|Equity|3872.1|157.59|GOOG| Alphabet Inc. Class C| 4.07%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|6.ASSET|Equity|3872.1|90.61|JNJ| Johnson & Johnson| 2.34%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|7.ASSET|Equity|3872.1|84.8|JPM| JPMorgan Chase & Co.| 2.19%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|8.ASSET|Equity|3872.1|77.83|PG| Procter & Gamble Company| 2.01%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|9.ASSET|Equity|3872.1|77.44|NESN| Nestle S.A.| 2.00%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|10.ASSET|Equity|3872.1|70.47|XOM| Exxon Mobil Corporation| 1.82%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|11.ASSET|Equity|3872.1|64.28|005930| Samsung Electronics Co., Ltd.| 1.66%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|12.ASSET|Equity|3872.1|60.79|CVX| Chevron Corporation| 1.57%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|13.ASSET|Equity|3872.1|56.15|ROG| Roche Holding Ltd| 1.45%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|14.ASSET|Equity|3872.1|53.82|PFE| Pfizer Inc.| 1.39%| Developed Markets|Equity|Large Cap Growth Equities||IOO|6|15.ASSET|Equity|3872.1|50.72|KO| Coca-Cola Company| 1.31%| North America|Equity|Financials Equities|Financials|KBE|6|1.ASSET|Equity|3700.1|74|FHN| First Horizon Corporation| 2.00%| North America|Equity|Financials Equities|Financials|KBE|6|2.ASSET|Equity|3700.1|62.16|COOP| Mr. Cooper Group, Inc.| 1.68%| North America|Equity|Financials Equities|Financials|KBE|6|3.ASSET|Equity|3700.1|59.57|MTB| M&T Bank Corporation| 1.61%| North America|Equity|Financials Equities|Financials|KBE|6|4.ASSET|Equity|3700.1|59.2|PBCT| People\'s United Financial, Inc.| 1.60%| North America|Equity|Financials Equities|Financials|KBE|6|5.ASSET|Equity|3700.1|58.09|BPOP| Popular, Inc.| 1.57%| North America|Equity|Financials Equities|Financials|KBE|6|6.ASSET|Equity|3700.1|56.24|CMA| Comerica Incorporated| 1.52%| North America|Equity|Financials Equities|Financials|KBE|6|7.ASSET|Equity|3700.1|56.24|SBNY| Signature Bank| 1.52%| North America|Equity|Financials Equities|Financials|KBE|6|8.ASSET|Equity|3700.1|55.87|SNV| Synovus Financial Corp.| 1.51%| North America|Equity|Financials Equities|Financials|KBE|6|9.ASSET|Equity|3700.1|55.87|CFR| Cullen/Frost Bankers, Inc.| 1.51%| North America|Equity|Financials Equities|Financials|KBE|6|10.ASSET|Equity|3700.1|55.5|EWBC| East West Bancorp, Inc.| 1.50%| North America|Equity|Financials Equities|Financials|KBE|6|11.ASSET|Equity|3700.1|54.76|ZION| Zions Bancorporation, N.A.| 1.48%| North America|Equity|Financials Equities|Financials|KBE|6|12.ASSET|Equity|3700.1|54.76|WBS| Webster Financial Corporation| 1.48%| North America|Equity|Financials Equities|Financials|KBE|6|13.ASSET|Equity|3700.1|54.39|RDN| Radian Group Inc.| 1.47%| North America|Equity|Financials Equities|Financials|KBE|6|14.ASSET|Equity|3700.1|54.39|CFG| Citizens Financial Group, Inc.| 1.47%| North America|Equity|Financials Equities|Financials|KBE|6|15.ASSET|Equity|3700.1|54.02|MTG| MGIC Investment Corporation| 1.46%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|1.ASSET|Equity|3702.1|377.98|DAL| Delta Air Lines, Inc.| 10.21%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|2.ASSET|Equity|3702.1|368.73|UAL| United Airlines Holdings, Inc.| 9.96%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|3.ASSET|Equity|3702.1|353.92|LUV| Southwest Airlines Co.| 9.56%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|4.ASSET|Equity|3702.1|347.26|AAL| American Airlines Group, Inc.| 9.38%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|5.ASSET|Equity|3702.1|121.06|SAVE| Spirit Airlines, Inc.| 3.27%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|6.ASSET|Equity|3702.1|119.58|AC| Air Canada| 3.23%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|7.ASSET|Equity|3702.1|119.21|ALK| Alaska Air Group, Inc.| 3.22%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|8.ASSET|Equity|3702.1|117.36|JBLU| JetBlue Airways Corporation| 3.17%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|9.ASSET|Equity|3702.1|112.54|SNCY| Sun Country Airlines Holdings, Inc.| 3.04%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|10.ASSET|Equity|3702.1|103.66|ALGT| Allegiant Travel Company| 2.80%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|11.ASSET|Equity|3702.1|97.74|HA| Hawaiian Holdings, Inc.| 2.64%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|12.ASSET|Equity|3702.1|89.22|GD| General Dynamics Corporation| 2.41%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|13.ASSET|Equity|3702.1|86.26|EXPE| Expedia Group, Inc.| 2.33%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|14.ASSET|Equity|3702.1|84.78|SABR| Sabre Corp.| 2.29%| Developed Markets|Equity|Industrials Equities|Industrials|JETS|6|15.ASSET|Equity|3702.1|81.82|CJT| Cargojet Inc.| 2.21%| North America|Bond|National Munis|High Yield Munis|HYD|6|1.ASSET|Bond|3319.8|88.31|N/A| Buckeye Ohio Tob Settlement Fing Auth 5.0% 01-JUN-2055| 2.66%| North America|Bond|National Munis|High Yield Munis|HYD|6|2.ASSET|Bond|3319.8|45.81|N/A| U.S. Dollar| 1.38%| North America|Bond|National Munis|High Yield Munis|HYD|6|3.ASSET|Bond|3319.8|28.22|N/A| Florida Dev Fin Corp Surface Transn Fac Rev VAR 01-JAN-2049| 0.85%| North America|Bond|National Munis|High Yield Munis|HYD|6|4.ASSET|Bond|3319.8|24.23|N/A| Florida Dev Fin Corp Surface Transn Fac Rev 7.375% 01-JAN-2049| 0.73%| North America|Bond|National Munis|High Yield Munis|HYD|6|5.ASSET|Bond|3319.8|23.9|N/A| New York Liberty Dev Corp Liberty Rev 5.0% 15-NOV-2044| 0.72%| North America|Bond|National Munis|High Yield Munis|HYD|6|6.ASSET|Bond|3319.8|23.57|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 4.75% 01-JUL-2053| 0.71%| North America|Bond|National Munis|High Yield Munis|HYD|6|7.ASSET|Bond|3319.8|23.24|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 5.0% 01-JUL-2058| 0.70%| North America|Bond|National Munis|High Yield Munis|HYD|6|8.ASSET|Bond|3319.8|18.59|N/A| Tsasc Inc N Y 5.0% 01-JUN-2045| 0.56%| North America|Bond|National Munis|High Yield Munis|HYD|6|9.ASSET|Bond|3319.8|16.6|N/A| Chicago Ill Brd Ed 7.0% 01-DEC-2044| 0.50%| North America|Bond|National Munis|High Yield Munis|HYD|6|10.ASSET|Bond|3319.8|16.6|N/A| Metropolitan Pier & Exposition Auth Ill Rev 4.0% 15-JUN-2050| 0.50%| North America|Bond|National Munis|High Yield Munis|HYD|6|11.ASSET|Bond|3319.8|15.27|N/A| Florida Dev Fin Corp Surface Transn Fac Rev VAR 01-JAN-2049| 0.46%| North America|Bond|National Munis|High Yield Munis|HYD|6|12.ASSET|Bond|3319.8|14.94|N/A| Cscda Cmnty Impt Auth Calif Essential Hsg Rev 4.0% 01-JUL-2056| 0.45%| North America|Bond|National Munis|High Yield Munis|HYD|6|13.ASSET|Bond|3319.8|14.28|N/A| Illinois St 5.0% 01-NOV-2026| 0.43%| North America|Bond|National Munis|High Yield Munis|HYD|6|14.ASSET|Bond|3319.8|13.94|N/A| Tobacco Settlement Fing Corp N J 5.0% 01-JUN-2046| 0.42%| North America|Bond|National Munis|High Yield Munis|HYD|6|15.ASSET|Bond|3319.8|13.94|N/A| California Cmnty Hsg Agy Essential Hsg Rev 5.0% 01-FEB-2050| 0.42%| North America|Bond|Government Bonds|Treasuries|SPTS|6|1.ASSET|Bond|3949.6|75.83|N/A| United States Treasury Notes 2.375% 15-AUG-2024| 1.92%| North America|Bond|Government Bonds|Treasuries|SPTS|6|2.ASSET|Bond|3949.6|72.67|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 1.84%| North America|Bond|Government Bonds|Treasuries|SPTS|6|3.ASSET|Bond|3949.6|71.09|N/A| United States Treasury Notes 0.25% 15-MAR-2024| 1.80%| North America|Bond|Government Bonds|Treasuries|SPTS|6|4.ASSET|Bond|3949.6|68.72|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 1.74%| North America|Bond|Government Bonds|Treasuries|SPTS|6|5.ASSET|Bond|3949.6|67.93|N/A| United States Treasury Notes 0.25% 15-MAY-2024| 1.72%| North America|Bond|Government Bonds|Treasuries|SPTS|6|6.ASSET|Bond|3949.6|67.14|N/A| United States Treasury Notes 0.125% 15-FEB-2024| 1.70%| North America|Bond|Government Bonds|Treasuries|SPTS|6|7.ASSET|Bond|3949.6|66.75|N/A| United States Treasury Notes 2.125% 31-MAR-2024| 1.69%| North America|Bond|Government Bonds|Treasuries|SPTS|6|8.ASSET|Bond|3949.6|65.56|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 1.66%| North America|Bond|Government Bonds|Treasuries|SPTS|6|9.ASSET|Bond|3949.6|63.59|N/A| United States Treasury Notes 2.75% 15-NOV-2023| 1.61%| North America|Bond|Government Bonds|Treasuries|SPTS|6|10.ASSET|Bond|3949.6|62.01|N/A| United States Treasury Notes 0.75% 15-NOV-2024| 1.57%| North America|Bond|Government Bonds|Treasuries|SPTS|6|11.ASSET|Bond|3949.6|61.61|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 1.56%| North America|Bond|Government Bonds|Treasuries|SPTS|6|12.ASSET|Bond|3949.6|61.61|N/A| United States Treasury Notes 2.5% 15-MAY-2024| 1.56%| North America|Bond|Government Bonds|Treasuries|SPTS|6|13.ASSET|Bond|3949.6|60.82|N/A| United States Treasury Notes 2.0% 15-FEB-2025| 1.54%| North America|Bond|Government Bonds|Treasuries|SPTS|6|14.ASSET|Bond|3949.6|59.64|N/A| United States Treasury Notes 1.0% 15-DEC-2024| 1.51%| North America|Bond|Government Bonds|Treasuries|SPTS|6|15.ASSET|Bond|3949.6|59.24|N/A| United States Treasury Notes 0.25% 15-NOV-2023| 1.50%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|1.ASSET|Bond|3346.3|160.96|N/A| TREASURY ISSUES (LONG-TERM)| 4.81%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|2.ASSET|Bond|3346.3|70.61|N/A| Government of Brazil 0.0% 01-JAN-2024| 2.11%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|3.ASSET|Bond|3346.3|54.88|N/A| U.S. Dollar| 1.64%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|4.ASSET|Bond|3346.3|52.54|N/A| Government of Brazil 0.0% 01-JUL-2023| 1.57%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|5.ASSET|Bond|3346.3|40.16|N/A| Government of the Philippines 6.25% 14-JAN-2036| 1.20%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|6.ASSET|Bond|3346.3|38.82|N/A| Government of Brazil 10.0% 01-JAN-2023| 1.16%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|7.ASSET|Bond|3346.3|37.48|N/A| Government of Uruguay 8.25% 21-MAY-2031| 1.12%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|8.ASSET|Bond|3346.3|33.46|N/A| Government of Brazil 10.0% 01-JAN-2027| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|9.ASSET|Bond|3346.3|33.46|N/A| Government of Brazil 10.0% 01-JAN-2025| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|10.ASSET|Bond|3346.3|32.79|N/A| DERIVATIVE SECURITIES (OTHER)| 0.98%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|11.ASSET|Bond|3346.3|32.12|N/A| Government of South Africa 8.0% 31-JAN-2030| 0.96%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|12.ASSET|Bond|3346.3|31.79|N/A| Government of Mexico 5.75% 05-MAR-2026| 0.95%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|13.ASSET|Bond|3346.3|30.45|N/A| Government of South Africa 8.75% 28-FEB-2049| 0.91%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|14.ASSET|Bond|3346.3|24.76|N/A| Government of South Africa 10.5% 21-DEC-2027| 0.74%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMLC|6|15.ASSET|Bond|3346.3|24.09|N/A| Government of Mexico 8.0% 05-SEP-2024| 0.72%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|1.ASSET|Equity|2271.2|274.82|SEDG| SolarEdge Technologies, Inc.| 12.10%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|2.ASSET|Equity|2271.2|207.59|ENPH| Enphase Energy, Inc.| 9.14%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|3.ASSET|Equity|2271.2|165.34|968| Xinyi Solar Holdings Ltd.| 7.28%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|4.ASSET|Equity|2271.2|154.21|FSLR| First Solar, Inc.| 6.79%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|5.ASSET|Equity|2271.2|119.69|RUN| Sunrun Inc.| 5.27%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|6.ASSET|Equity|2271.2|113.11|DQ| Daqo New Energy Corp Sponsored ADR| 4.98%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|7.ASSET|Equity|2271.2|77.68|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 3.42%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|8.ASSET|Equity|2271.2|68.36|AY| Atlantica Sustainable Infrastructure plc| 3.01%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|9.ASSET|Equity|2271.2|61.32|ECV| Encavis AG| 2.70%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|10.ASSET|Equity|2271.2|61.1|HASI| Hannon Armstrong Sustainable Infrastructure Capital, Inc.| 2.69%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|11.ASSET|Equity|2271.2|59.05|CSIQ| Canadian Solar Inc.| 2.60%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|12.ASSET|Equity|2271.2|59.05|NOVA| Sunnova Energy International Inc| 2.60%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|13.ASSET|Equity|2271.2|55.64|SPWR| SunPower Corporation| 2.45%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|14.ASSET|Equity|2271.2|55.42|6865| Flat Glass Group Co., Ltd. Class H| 2.44%| Developed Markets|Equity|Alternative Energy Equities|Energy|TAN|6|15.ASSET|Equity|2271.2|54.74|009830| HANWHA SOLUTIONS CORPORATION| 2.41%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|1.ASSET|Bond|3626|57.29|N/A| Vodafone Group PLC Notes 2019-04.04.79 Global Fixed/Floating Rate| 1.58%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|2.ASSET|Bond|3626|56.93|N/A| Sprint Capital Corp. 6.875% 15-NOV-2028| 1.57%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|3.ASSET|Bond|3626|53.3|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 1.47%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|4.ASSET|Bond|3626|52.58|N/A| Sprint Capital Corp. 8.75% 15-MAR-2032| 1.45%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|5.ASSET|Bond|3626|48.23|N/A| Newell Brands Inc 4.7% 01-APR-2026| 1.33%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|6.ASSET|Bond|3626|40.61|N/A| Deutsche Bank Aktiengesellschaft 4.5% 01-APR-2025| 1.12%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|7.ASSET|Bond|3626|39.89|N/A| Royal Caribbean Group 11.5% 01-JUN-2025| 1.10%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|8.ASSET|Bond|3626|39.16|N/A| Deutsche Bank Aktiengesellschaft 4.296% 24-MAY-2028| 1.08%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|9.ASSET|Bond|3626|36.62|N/A| Embarq Corp. 7.995% 01-JUN-2036| 1.01%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|10.ASSET|Bond|3626|35.17|N/A| UniCredit S.p.A. 7.296% 02-APR-2034| 0.97%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|11.ASSET|Bond|3626|34.45|N/A| Dresdner Funding Trust I 8.151 % 1999-30.6.31 -144A- Silent Partnership CTF| 0.95%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|12.ASSET|Bond|3626|33|N/A| EQT Corporation 3.9% 01-OCT-2027| 0.91%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|13.ASSET|Bond|3626|31.55|N/A| Alcoa Inc. 5.125% 01-OCT-2024| 0.87%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|14.ASSET|Bond|3626|30.46|N/A| Apache Corporation 5.1% 01-SEP-2040| 0.84%| Developed Markets|Bond|High Yield Bonds|Junk|FALN|6|15.ASSET|Bond|3626|29.01|N/A| MUTUAL FUND (OTHER)| 0.80%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|1.ASSET|Equity|1537.4|192.33|SQ| Block Inc Class A| 12.51%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|2.ASSET|Equity|1537.4|166.81|COIN| Coinbase Global, Inc. Class A| 10.85%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|3.ASSET|Equity|1537.4|106.54|SHOP| Shopify, Inc. Class A| 6.93%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|4.ASSET|Equity|1537.4|103.93|TWLO| Twilio, Inc. Class A| 6.76%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|5.ASSET|Equity|1537.4|89.94|PATH| UiPath Inc Class A| 5.85%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|6.ASSET|Equity|1537.4|72.41|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 4.71%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|7.ASSET|Equity|1537.4|69.64|MELI| MercadoLibre, Inc.| 4.53%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|8.ASSET|Equity|1537.4|64.72|TDOC| Teladoc Health, Inc.| 4.21%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|9.ASSET|Equity|1537.4|63.65|SI| Silvergate Capital Corp. Class A| 4.14%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|10.ASSET|Equity|1537.4|62.57|DSY| Discovery Limited| 4.07%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|11.ASSET|Equity|1537.4|59.5|ADYEN| Adyen NV| 3.87%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|12.ASSET|Equity|1537.4|58.57|Z| Zillow Group, Inc. Class C| 3.81%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|13.ASSET|Equity|1537.4|55.5|HOOD| Robinhood Markets, Inc. Class A| 3.61%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|14.ASSET|Equity|1537.4|54.12|DKNG| DraftKings Inc Class A| 3.52%| Developed Markets|Equity|Large Cap Growth Equities||ARKF|6|15.ASSET|Equity|1537.4|36.9|BILL| Bill.com Holdings, Inc.| 2.40%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|1.ASSET|Equity|3367.6|216.2|UNH| UnitedHealth Group Incorporated| 6.42%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|2.ASSET|Equity|3367.6|208.79|JNJ| Johnson & Johnson| 6.20%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|3.ASSET|Equity|3367.6|128.31|ROG| Roche Holding Ltd| 3.81%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|4.ASSET|Equity|3367.6|126.96|PFE| Pfizer Inc.| 3.77%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|5.ASSET|Equity|3367.6|125.95|ABBV| AbbVie, Inc.| 3.74%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|6.ASSET|Equity|3367.6|103.39|TMO| Thermo Fisher Scientific Inc.| 3.07%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|7.ASSET|Equity|3367.6|103.05|NOVN| Novartis AG| 3.06%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|8.ASSET|Equity|3367.6|103.05|ABT| Abbott Laboratories| 3.06%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|9.ASSET|Equity|3367.6|95.64|LLY| Eli Lilly and Company| 2.84%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|10.ASSET|Equity|3367.6|93.28|MRK| Merck & Co., Inc.| 2.77%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|11.ASSET|Equity|3367.6|90.93|AZN| AstraZeneca PLC| 2.70%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|12.ASSET|Equity|3367.6|84.19|DHR| Danaher Corporation| 2.50%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|13.ASSET|Equity|3367.6|82.17|NOVO.B| Novo Nordisk A/S Class B| 2.44%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|14.ASSET|Equity|3367.6|73.41|BMY| Bristol-Myers Squibb Company| 2.18%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|IXJ|6|15.ASSET|Equity|3367.6|68.03|MDT| Medtronic Plc| 2.02%| North America|Equity|Large Cap Growth Equities||RPG|6|1.ASSET|Equity|2635.2|90.12|FTNT| Fortinet, Inc.| 3.42%| North America|Equity|Large Cap Growth Equities||RPG|6|2.ASSET|Equity|2635.2|82.75|NRG| NRG Energy, Inc.| 3.14%| North America|Equity|Large Cap Growth Equities||RPG|6|3.ASSET|Equity|2635.2|75.37|FANG| Diamondback Energy, Inc.| 2.86%| North America|Equity|Large Cap Growth Equities||RPG|6|4.ASSET|Equity|2635.2|72.73|SIVB| SVB Financial Group| 2.76%| North America|Equity|Large Cap Growth Equities||RPG|6|5.ASSET|Equity|2635.2|69.04|TSLA| Tesla Inc| 2.62%| North America|Equity|Large Cap Growth Equities||RPG|6|6.ASSET|Equity|2635.2|68.25|GS| Goldman Sachs Group, Inc.| 2.59%| North America|Equity|Large Cap Growth Equities||RPG|6|7.ASSET|Equity|2635.2|68.25|SBNY| Signature Bank| 2.59%| North America|Equity|Large Cap Growth Equities||RPG|6|8.ASSET|Equity|2635.2|64.56|GNRC| Generac Holdings Inc.| 2.45%| North America|Equity|Large Cap Growth Equities||RPG|6|9.ASSET|Equity|2635.2|63.77|NVDA| NVIDIA Corporation| 2.42%| North America|Equity|Large Cap Growth Equities||RPG|6|10.ASSET|Equity|2635.2|62.98|DVN| Devon Energy Corporation| 2.39%| North America|Equity|Large Cap Growth Equities||RPG|6|11.ASSET|Equity|2635.2|60.08|DFS| Discover Financial Services| 2.28%| North America|Equity|Large Cap Growth Equities||RPG|6|12.ASSET|Equity|2635.2|60.08|AMD| Advanced Micro Devices, Inc.| 2.28%| North America|Equity|Large Cap Growth Equities||RPG|6|13.ASSET|Equity|2635.2|59.29|MPWR| Monolithic Power Systems, Inc.| 2.25%| North America|Equity|Large Cap Growth Equities||RPG|6|14.ASSET|Equity|2635.2|58.76|ENPH| Enphase Energy, Inc.| 2.23%| North America|Equity|Large Cap Growth Equities||RPG|6|15.ASSET|Equity|2635.2|57.18|DXCM| DexCom, Inc.| 2.17%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|1.ASSET|Real Estate|3463.5|230.32|PLD| Prologis, Inc.| 6.65%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|2.ASSET|Real Estate|3463.5|136.12|EQIX| Equinix, Inc.| 3.93%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|3.ASSET|Real Estate|3463.5|116.03|PSA| Public Storage| 3.35%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|4.ASSET|Real Estate|3463.5|94.21|SPG| Simon Property Group, Inc.| 2.72%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|5.ASSET|Real Estate|3463.5|80.7|DLR| Digital Realty Trust, Inc.| 2.33%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|6.ASSET|Real Estate|3463.5|79.66|O| Realty Income Corporation| 2.30%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|7.ASSET|Real Estate|3463.5|76.89|WELL| Welltower, Inc.| 2.22%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|8.ASSET|Real Estate|3463.5|69.96|AVB| AvalonBay Communities, Inc.| 2.02%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|9.ASSET|Real Estate|3463.5|66.15|EQR| Equity Residential| 1.91%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|10.ASSET|Real Estate|3463.5|62|ARE| Alexandria Real Estate Equities, Inc.| 1.79%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|11.ASSET|Real Estate|3463.5|53.68|EXR| Extra Space Storage Inc.| 1.55%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|12.ASSET|Real Estate|3463.5|50.22|MAA| Mid-America Apartment Communities, Inc.| 1.45%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|13.ASSET|Real Estate|3463.5|47.8|INVH| Invitation Homes, Inc.| 1.38%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|14.ASSET|Real Estate|3463.5|45.72|VTR| Ventas, Inc.| 1.32%| Developed Markets|Real Estate|Global Real Estate|Real Estate|REET|6|15.ASSET|Real Estate|3463.5|43.99|SGRO| SEGRO plc| 1.27%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|1.ASSET|Equity|2255.7|166.92|BRK.B| Berkshire Hathaway Inc. Class B| 7.40%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|2.ASSET|Equity|2255.7|116.17|JPM| JPMorgan Chase & Co.| 5.15%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|3.ASSET|Equity|2255.7|87.97|BAC| Bank of America Corp| 3.90%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|4.ASSET|Equity|2255.7|57.75|WFC| Wells Fargo & Company| 2.56%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|5.ASSET|Equity|2255.7|44.21|RY| Royal Bank of Canada| 1.96%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|6.ASSET|Equity|2255.7|40.83|TD| Toronto-Dominion Bank| 1.81%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|7.ASSET|Equity|2255.7|39.47|HSBA| HSBC Holdings Plc| 1.75%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|8.ASSET|Equity|2255.7|36.32|MS| Morgan Stanley| 1.61%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|9.ASSET|Equity|2255.7|35.64|1299| AIA Group Limited| 1.58%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|10.ASSET|Equity|2255.7|33.61|SCHW| Charles Schwab Corporation| 1.49%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|11.ASSET|Equity|2255.7|33.38|C| Citigroup Inc.| 1.48%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|12.ASSET|Equity|2255.7|33.38|CBA| Commonwealth Bank of Australia| 1.48%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|13.ASSET|Equity|2255.7|32.26|AXP| American Express Company| 1.43%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|14.ASSET|Equity|2255.7|32.03|GS| Goldman Sachs Group, Inc.| 1.42%| Developed Markets|Equity|Financials Equities|Financials|IXG|6|15.ASSET|Equity|2255.7|29.32|BLK| BlackRock, Inc.| 1.30%| North America|Equity|Europe Equities||EWU|6|1.ASSET|Equity|3476.3|296.53|SHEL| Shell PLC| 8.53%| North America|Equity|Europe Equities||EWU|6|2.ASSET|Equity|3476.3|270.11|AZN| AstraZeneca PLC| 7.77%| North America|Equity|Europe Equities||EWU|6|3.ASSET|Equity|3476.3|194.67|HSBA| HSBC Holdings Plc| 5.60%| North America|Equity|Europe Equities||EWU|6|4.ASSET|Equity|3476.3|175.55|ULVR| Unilever PLC| 5.05%| North America|Equity|Europe Equities||EWU|6|5.ASSET|Equity|3476.3|158.52|DGE| Diageo plc| 4.56%| North America|Equity|Europe Equities||EWU|6|6.ASSET|Equity|3476.3|147.74|GSK| GlaxoSmithKline plc| 4.25%| North America|Equity|Europe Equities||EWU|6|7.ASSET|Equity|3476.3|139.75|BP| BP p.l.c.| 4.02%| North America|Equity|Europe Equities||EWU|6|8.ASSET|Equity|3476.3|133.84|BATS| British American Tobacco p.l.c.| 3.85%| North America|Equity|Europe Equities||EWU|6|9.ASSET|Equity|3476.3|131.06|RIO| Rio Tinto plc| 3.77%| North America|Equity|Europe Equities||EWU|6|10.ASSET|Equity|3476.3|94.9|AAL| Anglo American plc| 2.73%| North America|Equity|Europe Equities||EWU|6|11.ASSET|Equity|3476.3|84.82|GLEN| Glencore plc| 2.44%| North America|Equity|Europe Equities||EWU|6|12.ASSET|Equity|3476.3|84.82|REL| RELX PLC| 2.44%| North America|Equity|Europe Equities||EWU|6|13.ASSET|Equity|3476.3|82.39|RKT| Reckitt Benckiser Group plc| 2.37%| North America|Equity|Europe Equities||EWU|6|14.ASSET|Equity|3476.3|76.48|NG| National Grid plc| 2.20%| North America|Equity|Europe Equities||EWU|6|15.ASSET|Equity|3476.3|66.74|VOD| Vodafone Group Plc| 1.92%| North America|Equity|Leveraged Equities||SPXL|6|1.ASSET|Equity|3218.9|2068.47|IVV| iShares Core S&P 500 ETF| 64.26%| North America|Equity|Leveraged Equities||SPXL|6|2.ASSET|Equity|3218.9|600.97|DGCXX| Dreyfus Government Cash Management Funds Institutional| 18.67%| North America|Equity|Leveraged Equities||SPXL|6|3.ASSET|Equity|3218.9|208.91|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 6.49%| North America|Equity|Leveraged Equities||SPXL|6|4.ASSET|Equity|3218.9|46.67|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 1.45%| North America|Equity|Large Cap Growth Equities||SPHQ|6|1.ASSET|Equity|3913.9|198.83|AAPL| Apple Inc.| 5.08%| North America|Equity|Large Cap Growth Equities||SPHQ|6|2.ASSET|Equity|3913.9|187.08|MSFT| Microsoft Corporation| 4.78%| North America|Equity|Large Cap Growth Equities||SPHQ|6|3.ASSET|Equity|3913.9|183.95|V| Visa Inc. Class A| 4.70%| North America|Equity|Large Cap Growth Equities||SPHQ|6|4.ASSET|Equity|3913.9|181.21|JPM| JPMorgan Chase & Co.| 4.63%| North America|Equity|Large Cap Growth Equities||SPHQ|6|5.ASSET|Equity|3913.9|178.47|BAC| Bank of America Corp| 4.56%| North America|Equity|Large Cap Growth Equities||SPHQ|6|6.ASSET|Equity|3913.9|171.82|MA| Mastercard Incorporated Class A| 4.39%| North America|Equity|Large Cap Growth Equities||SPHQ|6|7.ASSET|Equity|3913.9|162.43|PFE| Pfizer Inc.| 4.15%| North America|Equity|Large Cap Growth Equities||SPHQ|6|8.ASSET|Equity|3913.9|141.68|WFC| Wells Fargo & Company| 3.62%| North America|Equity|Large Cap Growth Equities||SPHQ|6|9.ASSET|Equity|3913.9|117.42|ADBE| Adobe Inc.| 3.00%| North America|Equity|Large Cap Growth Equities||SPHQ|6|10.ASSET|Equity|3913.9|102.54|QCOM| Qualcomm Inc| 2.62%| North America|Equity|Large Cap Growth Equities||SPHQ|6|11.ASSET|Equity|3913.9|101.37|ABT| Abbott Laboratories| 2.59%| North America|Equity|Large Cap Growth Equities||SPHQ|6|12.ASSET|Equity|3913.9|99.02|WMT| Walmart Inc.| 2.53%| North America|Equity|Large Cap Growth Equities||SPHQ|6|13.ASSET|Equity|3913.9|91.98|TXN| Texas Instruments Incorporated| 2.35%| North America|Equity|Large Cap Growth Equities||SPHQ|6|14.ASSET|Equity|3913.9|87.28|UPS| United Parcel Service, Inc. Class B| 2.23%| North America|Equity|Large Cap Growth Equities||SPHQ|6|15.ASSET|Equity|3913.9|77.89|AXP| American Express Company| 1.99%| North America|Equity|Leveraged Equities||UPRO|6|1.ASSET|Equity|3012|260.54|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 8.65%| North America|Equity|Leveraged Equities||UPRO|6|2.ASSET|Equity|3012|188.55|N/A| U.S. Dollar| 6.26%| North America|Equity|Leveraged Equities||UPRO|6|3.ASSET|Equity|3012|169.88|AAPL| Apple Inc.| 5.64%| North America|Equity|Leveraged Equities||UPRO|6|4.ASSET|Equity|3012|147.59|MSFT| Microsoft Corporation| 4.90%| North America|Equity|Leveraged Equities||UPRO|6|5.ASSET|Equity|3012|87.05|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 2.89%| North America|Equity|Leveraged Equities||UPRO|6|6.ASSET|Equity|3012|86.75|AMZN| Amazon.com, Inc.| 2.88%| North America|Equity|Leveraged Equities||UPRO|6|7.ASSET|Equity|3012|53.01|GOOGL| Alphabet Inc. Class A| 1.76%| North America|Equity|Leveraged Equities||UPRO|6|8.ASSET|Equity|3012|49.4|GOOG| Alphabet Inc. Class C| 1.64%| North America|Equity|Leveraged Equities||UPRO|6|9.ASSET|Equity|3012|46.99|TSLA| Tesla Inc| 1.56%| North America|Equity|Leveraged Equities||UPRO|6|10.ASSET|Equity|3012|43.37|N/A| United States Treasury Bills 0.0% 05-APR-2022| 1.44%| North America|Equity|Leveraged Equities||UPRO|6|11.ASSET|Equity|3012|39.76|NVDA| NVIDIA Corporation| 1.32%| North America|Equity|Leveraged Equities||UPRO|6|12.ASSET|Equity|3012|38.85|BRK.B| Berkshire Hathaway Inc. Class B| 1.29%| North America|Equity|Leveraged Equities||UPRO|6|13.ASSET|Equity|3012|32.23|FB| Meta Platforms Inc. Class A| 1.07%| North America|Equity|Leveraged Equities||UPRO|6|14.ASSET|Equity|3012|29.82|UNH| UnitedHealth Group Incorporated| 0.99%| North America|Equity|Leveraged Equities||UPRO|6|15.ASSET|Equity|3012|28.61|JNJ| Johnson & Johnson| 0.95%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|1.ASSET|Equity|3318.8|183.2|ENB| Enbridge Inc.| 5.52%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|2.ASSET|Equity|3318.8|156.32|NEE| NextEra Energy, Inc.| 4.71%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|3.ASSET|Equity|3318.8|150.34|AENA| Aena SME SA| 4.53%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|4.ASSET|Equity|3318.8|148.35|TCL| Transurban Group Ltd.| 4.47%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|5.ASSET|Equity|3318.8|127.77|TRP| TC Energy Corporation| 3.85%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|6.ASSET|Equity|3318.8|114.83|ATL| Atlantia S.p.A| 3.46%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|7.ASSET|Equity|3318.8|105.87|DUK| Duke Energy Corporation| 3.19%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|8.ASSET|Equity|3318.8|93.92|WMB| Williams Companies, Inc.| 2.83%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|9.ASSET|Equity|3318.8|93.59|SO| Southern Company| 2.82%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|10.ASSET|Equity|3318.8|88.28|D| Dominion Energy Inc| 2.66%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|11.ASSET|Equity|3318.8|87.95|GET| Getlink SE| 2.65%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|12.ASSET|Equity|3318.8|84.63|IBE| Iberdrola SA| 2.55%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|13.ASSET|Equity|3318.8|83.63|KMI| Kinder Morgan Inc Class P| 2.52%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|14.ASSET|Equity|3318.8|80.98|NG| National Grid plc| 2.44%| Developed Markets|Equity|Utilities Equities|Utilities|IGF|6|15.ASSET|Equity|3318.8|77.33|AIA| Auckland International Airport Limited| 2.33%| North America|Equity|Large Cap Blend Equities||DLN|6|1.ASSET|Equity|3307.2|148.16|MSFT| Microsoft Corporation| 4.48%| North America|Equity|Large Cap Blend Equities||DLN|6|2.ASSET|Equity|3307.2|126.34|AAPL| Apple Inc.| 3.82%| North America|Equity|Large Cap Blend Equities||DLN|6|3.ASSET|Equity|3307.2|113.44|XOM| Exxon Mobil Corporation| 3.43%| North America|Equity|Large Cap Blend Equities||DLN|6|4.ASSET|Equity|3307.2|98.55|JNJ| Johnson & Johnson| 2.98%| North America|Equity|Large Cap Blend Equities||DLN|6|5.ASSET|Equity|3307.2|87.97|JPM| JPMorgan Chase & Co.| 2.66%| North America|Equity|Large Cap Blend Equities||DLN|6|6.ASSET|Equity|3307.2|78.05|CVX| Chevron Corporation| 2.36%| North America|Equity|Large Cap Blend Equities||DLN|6|7.ASSET|Equity|3307.2|75.4|PM| Philip Morris International Inc.| 2.28%| North America|Equity|Large Cap Blend Equities||DLN|6|8.ASSET|Equity|3307.2|73.75|PG| Procter & Gamble Company| 2.23%| North America|Equity|Large Cap Blend Equities||DLN|6|9.ASSET|Equity|3307.2|71.44|KO| Coca-Cola Company| 2.16%| North America|Equity|Large Cap Blend Equities||DLN|6|10.ASSET|Equity|3307.2|70.77|ABBV| AbbVie, Inc.| 2.14%| North America|Equity|Large Cap Blend Equities||DLN|6|11.ASSET|Equity|3307.2|70.11|PFE| Pfizer Inc.| 2.12%| North America|Equity|Large Cap Blend Equities||DLN|6|12.ASSET|Equity|3307.2|68.13|MO| Altria Group Inc| 2.06%| North America|Equity|Large Cap Blend Equities||DLN|6|13.ASSET|Equity|3307.2|66.47|VZ| Verizon Communications Inc.| 2.01%| North America|Equity|Large Cap Blend Equities||DLN|6|14.ASSET|Equity|3307.2|51.59|PEP| PepsiCo, Inc.| 1.56%| North America|Equity|Large Cap Blend Equities||DLN|6|15.ASSET|Equity|3307.2|47.62|HD| Home Depot, Inc.| 1.44%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|1.ASSET|Bond|3569.5|122.79|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 3.44%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|2.ASSET|Bond|3569.5|122.43|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 3.43%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|3.ASSET|Bond|3569.5|118.51|N/A| United States Treasury Notes 0.625% 15-APR-2023| 3.32%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|4.ASSET|Bond|3569.5|117.79|N/A| United States Treasury Notes 0.625% 15-APR-2023| 3.30%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|5.ASSET|Bond|3569.5|115.65|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 3.24%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|6.ASSET|Bond|3569.5|115.29|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 3.23%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|7.ASSET|Bond|3569.5|106.73|N/A| Government of the United States of America 0.125% 15-JUL-2030| 2.99%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|8.ASSET|Bond|3569.5|106.73|N/A| Government of the United States of America 0.125% 15-JUL-2030| 2.99%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|9.ASSET|Bond|3569.5|106.37|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 2.98%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|10.ASSET|Bond|3569.5|106.01|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 2.97%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|11.ASSET|Bond|3569.5|105.66|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 2.96%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|12.ASSET|Bond|3569.5|105.3|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 2.95%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|13.ASSET|Bond|3569.5|101.73|N/A| United States Treasury Notes 0.25% 15-JUL-2029| 2.85%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|14.ASSET|Bond|3569.5|101.73|N/A| United States Treasury Notes 0.25% 15-JUL-2029| 2.85%| North America|Bond|Inflation-Protected Bonds|TIPS|SPIP|6|15.ASSET|Bond|3569.5|101.37|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 2.84%| Developed Markets|Equity|Foreign Large Cap Equities||HEFA|6|1.ASSET|Equity|3241.7|3227.76|EFA| iShares MSCI EAFE ETF| 99.57%| Developed Markets|Equity|Foreign Large Cap Equities||HEFA|6|2.ASSET|Equity|3241.7|9.4|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.29%| Developed Markets|Equity|Foreign Large Cap Equities||HEFA|6|3.ASSET|Equity|3241.7|4.54|N/A| U.S. Dollar| 0.14%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|1.ASSET|Equity|3079.6|55.74|NESN| Nestle S.A.| 1.81%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|2.ASSET|Equity|3079.6|43.11|ROG| Roche Holding Ltd| 1.40%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|3.ASSET|Equity|3079.6|32.03|ASML| ASML Holding NV| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|4.ASSET|Equity|3079.6|31.41|SHEL| Shell PLC| 1.02%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|5.ASSET|Equity|3079.6|31.1|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|6.ASSET|Equity|3079.6|29.87|NOVO.B| Novo Nordisk A/S Class B| 0.97%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|7.ASSET|Equity|3079.6|27.1|NOVN| Novartis AG| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|8.ASSET|Equity|3079.6|26.48|BHP| BHP Group Ltd| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|9.ASSET|Equity|3079.6|22.48|RY| Royal Bank of Canada| 0.73%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|10.ASSET|Equity|3079.6|21.25|AZN| AstraZeneca PLC| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|11.ASSET|Equity|3079.6|20.94|OR| L\'Oreal SA| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|12.ASSET|Equity|3079.6|19.09|TD| Toronto-Dominion Bank| 0.62%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|13.ASSET|Equity|3079.6|19.09|CSU| Constellation Software Inc.| 0.62%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|14.ASSET|Equity|3079.6|16.94|FERG| Ferguson Plc| 0.55%| Developed Markets|Equity|Foreign Large Cap Equities||GSIE|6|15.ASSET|Equity|3079.6|16.94|CBA| Commonwealth Bank of Australia| 0.55%| Developed Markets|Multi-Asset|Commodities||COMT|6|1.ASSET|Multi-Asset|3419.2|1922.96|N/A| FUTURES| 56.24%| Developed Markets|Multi-Asset|Commodities||COMT|6|2.ASSET|Multi-Asset|3419.2|442.44|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 12.94%| Developed Markets|Multi-Asset|Commodities||COMT|6|3.ASSET|Multi-Asset|3419.2|244.47|N/A| U.S. Dollar| 7.15%| Developed Markets|Multi-Asset|Commodities||COMT|6|4.ASSET|Multi-Asset|3419.2|45.13|XOM| Exxon Mobil Corporation| 1.32%| Developed Markets|Multi-Asset|Commodities||COMT|6|5.ASSET|Multi-Asset|3419.2|34.88|CVX| Chevron Corporation| 1.02%| Developed Markets|Multi-Asset|Commodities||COMT|6|6.ASSET|Multi-Asset|3419.2|31.46|BHP| BHP Group Limited Sponsored ADR| 0.92%| Developed Markets|Multi-Asset|Commodities||COMT|6|7.ASSET|Multi-Asset|3419.2|30.77|DE| Deere & Company| 0.90%| Developed Markets|Multi-Asset|Commodities||COMT|6|8.ASSET|Multi-Asset|3419.2|30.09|ECL| Ecolab Inc.| 0.88%| Developed Markets|Multi-Asset|Commodities||COMT|6|9.ASSET|Multi-Asset|3419.2|28.04|SHW| Sherwin-Williams Company| 0.82%| Developed Markets|Multi-Asset|Commodities||COMT|6|10.ASSET|Multi-Asset|3419.2|23.25|DD| DuPont de Nemours, Inc.| 0.68%| Developed Markets|Multi-Asset|Commodities||COMT|6|11.ASSET|Multi-Asset|3419.2|22.22|RIO| Rio Tinto plc Sponsored ADR| 0.65%| Developed Markets|Multi-Asset|Commodities||COMT|6|12.ASSET|Multi-Asset|3419.2|21.2|TTE| TotalEnergies SE Sponsored ADR| 0.62%| Developed Markets|Multi-Asset|Commodities||COMT|6|13.ASSET|Multi-Asset|3419.2|20.86|BP| BP p.l.c. Sponsored ADR| 0.61%| Developed Markets|Multi-Asset|Commodities||COMT|6|14.ASSET|Multi-Asset|3419.2|19.15|BBL| BHP Group Plc Sponsored ADR| 0.56%| Developed Markets|Multi-Asset|Commodities||COMT|6|15.ASSET|Multi-Asset|3419.2|18.81|RDS.A| Royal Dutch Shell Plc Sponsored ADR Class A| 0.55%| North America|Equity|Mid Cap Blend Equities||DON|6|1.ASSET|Equity|3146.2|39.96|EVRG| Evergy, Inc.| 1.27%| North America|Equity|Mid Cap Blend Equities||DON|6|2.ASSET|Equity|3146.2|39.33|OMC| Omnicom Group Inc| 1.25%| North America|Equity|Mid Cap Blend Equities||DON|6|3.ASSET|Equity|3146.2|39.01|FNF| Fidelity National Financial, Inc. - FNF Group| 1.24%| North America|Equity|Mid Cap Blend Equities||DON|6|4.ASSET|Equity|3146.2|36.81|CAG| Conagra Brands, Inc.| 1.17%| North America|Equity|Mid Cap Blend Equities||DON|6|5.ASSET|Equity|3146.2|33.98|CAH| Cardinal Health, Inc.| 1.08%| North America|Equity|Mid Cap Blend Equities||DON|6|6.ASSET|Equity|3146.2|32.41|CLR| Continental Resources, Inc.| 1.03%| North America|Equity|Mid Cap Blend Equities||DON|6|7.ASSET|Equity|3146.2|31.15|OGN| Organon & Co.| 0.99%| North America|Equity|Mid Cap Blend Equities||DON|6|8.ASSET|Equity|3146.2|30.83|CTRA| Coterra Energy Inc.| 0.98%| North America|Equity|Mid Cap Blend Equities||DON|6|9.ASSET|Equity|3146.2|28.95|BEN| Franklin Resources, Inc.| 0.92%| North America|Equity|Mid Cap Blend Equities||DON|6|10.ASSET|Equity|3146.2|28|OGE| OGE Energy Corp.| 0.89%| North America|Equity|Mid Cap Blend Equities||DON|6|11.ASSET|Equity|3146.2|27.69|OMF| OneMain Holdings, Inc.| 0.88%| North America|Equity|Mid Cap Blend Equities||DON|6|12.ASSET|Equity|3146.2|26.74|CPB| Campbell Soup Company| 0.85%| North America|Equity|Mid Cap Blend Equities||DON|6|13.ASSET|Equity|3146.2|26.43|AM| Antero Midstream Corp.| 0.84%| North America|Equity|Mid Cap Blend Equities||DON|6|14.ASSET|Equity|3146.2|25.8|IPG| Interpublic Group of Companies, Inc.| 0.82%| North America|Equity|Mid Cap Blend Equities||DON|6|15.ASSET|Equity|3146.2|25.17|FHN| First Horizon Corporation| 0.80%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|1.ASSET|Equity|3009.5|582.64|SLB| Schlumberger NV| 19.36%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|2.ASSET|Equity|3009.5|368.66|HAL| Halliburton Company| 12.25%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|3.ASSET|Equity|3009.5|235.94|BKR| Baker Hughes Company Class A| 7.84%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|4.ASSET|Equity|3009.5|180.57|PTEN| Patterson-UTI Energy, Inc.| 6.00%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|5.ASSET|Equity|3009.5|161.61|HP| Helmerich & Payne, Inc.| 5.37%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|6.ASSET|Equity|3009.5|146.86|TS| Tenaris S.A. Sponsored ADR| 4.88%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|7.ASSET|Equity|3009.5|136.93|WHD| Cactus, Inc. Class A| 4.55%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|8.ASSET|Equity|3009.5|131.52|NOV| NOV Inc.| 4.37%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|9.ASSET|Equity|3009.5|126.4|RIG| Transocean Ltd.| 4.20%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|10.ASSET|Equity|3009.5|108.34|CHX| ChampionX Corporation| 3.60%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|11.ASSET|Equity|3009.5|106.24|FTI| TechnipFMC Plc| 3.53%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|12.ASSET|Equity|3009.5|79.75|RES| RPC, Inc.| 2.65%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|13.ASSET|Equity|3009.5|76.74|XPRO| Expro Group Holdings N.V.| 2.55%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|14.ASSET|Equity|3009.5|72.53|LBRT| Liberty Oilfield Services Inc. Class A| 2.41%| Developed Markets|Equity|Energy Equities|Energy|OIH|6|15.ASSET|Equity|3009.5|70.42|OII| Oceaneering International, Inc.| 2.34%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|1.ASSET|Bond|2587.2|186.8|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 7.22%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|2.ASSET|Bond|2587.2|166.87|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 6.45%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|3.ASSET|Bond|2587.2|65.2|N/A| United States Treasury Notes 0.5% 30-NOV-2023| 2.52%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|4.ASSET|Bond|2587.2|60.54|N/A| United States Treasury Notes 1.875% 28-FEB-2029| 2.34%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|5.ASSET|Bond|2587.2|45.53|N/A| United States Treasury Notes 1.5% 15-FEB-2025| 1.76%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|6.ASSET|Bond|2587.2|41.91|N/A| FIXED INCOME (UNCLASSFIED)| 1.62%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|7.ASSET|Bond|2587.2|39.33|N/A| FNMA 30yr Pool#CB0514 2.500% 01-May-2051 2.5% 01-MAY-2051| 1.52%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|8.ASSET|Bond|2587.2|38.55|N/A| United States Treasury Notes 1.875% 28-FEB-2027| 1.49%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|9.ASSET|Bond|2587.2|34.41|N/A| Freddie Mac Multiclass Certificates, Series 4364 ZX 4.0% 15-JUL-2044| 1.33%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|10.ASSET|Bond|2587.2|34.15|N/A| United States Treasury Notes 0.125% 30-NOV-2022| 1.32%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|11.ASSET|Bond|2587.2|30.53|N/A| United States Treasury Notes 0.625% 31-JUL-2026| 1.18%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|12.ASSET|Bond|2587.2|24.32|N/A| MORTGAGE-BACKED SECURITIES| 0.94%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|13.ASSET|Bond|2587.2|24.06|N/A| United States Treasury Notes 1.875% 15-FEB-2032| 0.93%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|14.ASSET|Bond|2587.2|21.22|N/A| FNMA 20yr Pool#CA7430 2.500% 01-Oct-2040 2.5% 01-OCT-2040| 0.82%| North America|Bond|Total Bond Market|Total Bond Market|TOTL|6|15.ASSET|Bond|2587.2|20.7|N/A| FHLMC 30yr Pool#SD8152 3.000% 01-Jun-2051 3.0% 01-JUN-2051| 0.80%| North America|Bond|Government Bonds|Treasuries|SPTI|6|1.ASSET|Bond|3771|82.96|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 2.20%| North America|Bond|Government Bonds|Treasuries|SPTI|6|2.ASSET|Bond|3771|82.58|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.19%| North America|Bond|Government Bonds|Treasuries|SPTI|6|3.ASSET|Bond|3771|80.32|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 2.13%| North America|Bond|Government Bonds|Treasuries|SPTI|6|4.ASSET|Bond|3771|78.06|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 2.07%| North America|Bond|Government Bonds|Treasuries|SPTI|6|5.ASSET|Bond|3771|77.68|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 2.06%| North America|Bond|Government Bonds|Treasuries|SPTI|6|6.ASSET|Bond|3771|68.63|N/A| United States Treasury Notes 1.25% 30-NOV-2026| 1.82%| North America|Bond|Government Bonds|Treasuries|SPTI|6|7.ASSET|Bond|3771|65.99|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 1.75%| North America|Bond|Government Bonds|Treasuries|SPTI|6|8.ASSET|Bond|3771|64.86|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 1.72%| North America|Bond|Government Bonds|Treasuries|SPTI|6|9.ASSET|Bond|3771|55.81|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 1.48%| North America|Bond|Government Bonds|Treasuries|SPTI|6|10.ASSET|Bond|3771|55.06|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 1.46%| North America|Bond|Government Bonds|Treasuries|SPTI|6|11.ASSET|Bond|3771|55.06|N/A| United States Treasury Notes 1.5% 30-NOV-2028| 1.46%| North America|Bond|Government Bonds|Treasuries|SPTI|6|12.ASSET|Bond|3771|53.93|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 1.43%| North America|Bond|Government Bonds|Treasuries|SPTI|6|13.ASSET|Bond|3771|52.42|N/A| United States Treasury Notes 1.25% 30-APR-2028| 1.39%| North America|Bond|Government Bonds|Treasuries|SPTI|6|14.ASSET|Bond|3771|52.42|N/A| United States Treasury Notes 1.5% 15-AUG-2026| 1.39%| North America|Bond|Government Bonds|Treasuries|SPTI|6|15.ASSET|Bond|3771|51.29|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|1.ASSET|Equity|3661.3|103.61|NESN| Nestle S.A.| 2.83%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|2.ASSET|Equity|3661.3|71.03|7203| Toyota Motor Corp.| 1.94%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|3.ASSET|Equity|3661.3|65.9|ROG| Roche Holding Ltd| 1.80%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|4.ASSET|Equity|3661.3|57.85|SHEL| Shell PLC| 1.58%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|5.ASSET|Equity|3661.3|54.19|N/A| U.S. Dollar| 1.48%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|6.ASSET|Equity|3661.3|52.36|AZN| AstraZeneca PLC| 1.43%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|7.ASSET|Equity|3661.3|52.36|NOVN| Novartis AG| 1.43%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|8.ASSET|Equity|3661.3|47.23|RY| Royal Bank of Canada| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|9.ASSET|Equity|3661.3|42.47|TD| Toronto-Dominion Bank| 1.16%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|10.ASSET|Equity|3661.3|42.47|HSBA| HSBC Holdings Plc| 1.16%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|11.ASSET|Equity|3661.3|40.27|TTE| TotalEnergies SE| 1.10%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|12.ASSET|Equity|3661.3|34.78|SIE| Siemens AG| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|13.ASSET|Equity|3661.3|33.32|CBA| Commonwealth Bank of Australia| 0.91%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|14.ASSET|Equity|3661.3|32.95|SAN| Sanofi| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||VYMI|6|15.ASSET|Equity|3661.3|32.22|GSK| GlaxoSmithKline plc| 0.88%| North America|Equity|Volatility Hedged Equity||SPHD|6|1.ASSET|Equity|3192.3|108.54|WMB| Williams Companies, Inc.| 3.40%| North America|Equity|Volatility Hedged Equity||SPHD|6|2.ASSET|Equity|3192.3|99.92|MO| Altria Group Inc| 3.13%| North America|Equity|Volatility Hedged Equity||SPHD|6|3.ASSET|Equity|3192.3|98.32|KMI| Kinder Morgan Inc Class P| 3.08%| North America|Equity|Volatility Hedged Equity||SPHD|6|4.ASSET|Equity|3192.3|89.07|CVX| Chevron Corporation| 2.79%| North America|Equity|Volatility Hedged Equity||SPHD|6|5.ASSET|Equity|3192.3|87.15|PM| Philip Morris International Inc.| 2.73%| North America|Equity|Volatility Hedged Equity||SPHD|6|6.ASSET|Equity|3192.3|86.51|T| AT&T Inc.| 2.71%| North America|Equity|Volatility Hedged Equity||SPHD|6|7.ASSET|Equity|3192.3|82.36|VZ| Verizon Communications Inc.| 2.58%| North America|Equity|Volatility Hedged Equity||SPHD|6|8.ASSET|Equity|3192.3|79.49|PPL| PPL Corporation| 2.49%| North America|Equity|Volatility Hedged Equity||SPHD|6|9.ASSET|Equity|3192.3|79.17|KHC| Kraft Heinz Company| 2.48%| North America|Equity|Volatility Hedged Equity||SPHD|6|10.ASSET|Equity|3192.3|78.21|PNW| Pinnacle West Capital Corporation| 2.45%| North America|Equity|Volatility Hedged Equity||SPHD|6|11.ASSET|Equity|3192.3|77.25|IBM| International Business Machines Corporation| 2.42%| North America|Equity|Volatility Hedged Equity||SPHD|6|12.ASSET|Equity|3192.3|71.83|ABBV| AbbVie, Inc.| 2.25%| North America|Equity|Volatility Hedged Equity||SPHD|6|13.ASSET|Equity|3192.3|68.95|PRU| Prudential Financial, Inc.| 2.16%| North America|Equity|Volatility Hedged Equity||SPHD|6|14.ASSET|Equity|3192.3|68.95|OMC| Omnicom Group Inc| 2.16%| North America|Equity|Volatility Hedged Equity||SPHD|6|15.ASSET|Equity|3192.3|67.36|EIX| Edison International| 2.11%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|1.ASSET|Bond|2969.6|20.49|N/A| Petroleos Mexicanos SA 7.69% 23-JAN-2050| 0.69%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|2.ASSET|Bond|2969.6|19.6|N/A| Government of Qatar 5.103% 23-APR-2048| 0.66%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|3.ASSET|Bond|2969.6|19.6|N/A| Government of Russia 5.25% 23-JUN-2047| 0.66%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|4.ASSET|Bond|2969.6|19.3|N/A| Government of Qatar 4.817% 14-MAR-2049| 0.65%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|5.ASSET|Bond|2969.6|18.71|N/A| Government of Saudi Arabia 4.5% 26-OCT-2046| 0.63%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|6.ASSET|Bond|2969.6|17.52|N/A| Petroleos Mexicanos SA 6.7% 16-FEB-2032| 0.59%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|7.ASSET|Bond|2969.6|16.33|N/A| Government of Argentina 1.125% 09-JUL-2035| 0.55%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|8.ASSET|Bond|2969.6|16.04|N/A| Industrial and Commercial Bank of China Limited 3.2% PERP| 0.54%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|9.ASSET|Bond|2969.6|15.74|N/A| Government of Qatar 4.4% 16-APR-2050| 0.53%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|10.ASSET|Bond|2969.6|14.55|N/A| Government of Saudi Arabia 3.25% 26-OCT-2026| 0.49%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|11.ASSET|Bond|2969.6|13.96|N/A| Government of Argentina 0.5% 09-JUL-2030| 0.47%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|12.ASSET|Bond|2969.6|13.66|N/A| Government of Saudi Arabia 3.625% 04-MAR-2028| 0.46%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|13.ASSET|Bond|2969.6|13.36|N/A| Government of Saudi Arabia 4.625% 04-OCT-2047| 0.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|14.ASSET|Bond|2969.6|13.07|N/A| Government of Saudi Arabia 4.0% 17-APR-2025| 0.44%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|VWOB|6|15.ASSET|Bond|2969.6|12.47|N/A| KSA Sukuk Ltd. 3.628% 20-APR-2027| 0.42%| North America|Equity|Leveraged Equities|Technology|TECL|6|1.ASSET|Equity|2512.5|434.41|AAPL| Apple Inc.| 17.29%| North America|Equity|Leveraged Equities|Technology|TECL|6|2.ASSET|Equity|2512.5|377.13|MSFT| Microsoft Corporation| 15.01%| North America|Equity|Leveraged Equities|Technology|TECL|6|3.ASSET|Equity|2512.5|71.36|NVDA| NVIDIA Corporation| 2.84%| North America|Equity|Leveraged Equities|Technology|TECL|6|4.ASSET|Equity|2512.5|60.8|V| Visa Inc. Class A| 2.42%| North America|Equity|Leveraged Equities|Technology|TECL|6|5.ASSET|Equity|2512.5|52.01|MA| Mastercard Incorporated Class A| 2.07%| North America|Equity|Leveraged Equities|Technology|TECL|6|6.ASSET|Equity|2512.5|41.96|AVGO| Broadcom Inc.| 1.67%| North America|Equity|Leveraged Equities|Technology|TECL|6|7.ASSET|Equity|2512.5|41.21|CSCO| Cisco Systems, Inc.| 1.64%| North America|Equity|Leveraged Equities|Technology|TECL|6|8.ASSET|Equity|2512.5|38.94|ADBE| Adobe Inc.| 1.55%| North America|Equity|Leveraged Equities|Technology|TECL|6|9.ASSET|Equity|2512.5|38.44|DGCXX| Dreyfus Government Cash Management Funds Institutional| 1.53%| North America|Equity|Leveraged Equities|Technology|TECL|6|10.ASSET|Equity|2512.5|35.93|CRM| salesforce.com, inc.| 1.43%| North America|Equity|Leveraged Equities|Technology|TECL|6|11.ASSET|Equity|2512.5|34.92|ACN| Accenture Plc Class A| 1.39%| North America|Equity|Leveraged Equities|Technology|TECL|6|12.ASSET|Equity|2512.5|34.67|INTC| Intel Corporation| 1.38%| North America|Equity|Leveraged Equities|Technology|TECL|6|13.ASSET|Equity|2512.5|33.67|AMD| Advanced Micro Devices, Inc.| 1.34%| North America|Equity|Leveraged Equities|Technology|TECL|6|14.ASSET|Equity|2512.5|32.91|QCOM| Qualcomm Inc| 1.31%| North America|Equity|Leveraged Equities|Technology|TECL|6|15.ASSET|Equity|2512.5|27.39|TXN| Texas Instruments Incorporated| 1.09%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|1.ASSET|Bond|2615.8|1008.39|N/A| U.S. Dollar| 38.55%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|2.ASSET|Bond|2615.8|272.3|N/A| CORPORATE BOND| 10.41%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|3.ASSET|Bond|2615.8|38.98|N/A| Energy Transfer Operating, L.P. 0.0% 02-MAR-2018| 1.49%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|4.ASSET|Bond|2615.8|29.04|N/A| Public Service Enterprise Group Incorporated 0.0% 20-APR-2018| 1.11%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|5.ASSET|Bond|2615.8|24.59|N/A| Discover Bank 3.35% 06-FEB-2023| 0.94%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|6.ASSET|Bond|2615.8|24.33|N/A| National Bank of Canada 2.1% 01-FEB-2023| 0.93%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|7.ASSET|Bond|2615.8|24.33|N/A| Bank of Nova Scotia 1.95% 01-FEB-2023| 0.93%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|8.ASSET|Bond|2615.8|22.76|N/A| NXP Semiconductors NV 4.625% 01-JUN-2023| 0.87%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|9.ASSET|Bond|2615.8|21.97|N/A| Plains All American Pipeline, L.P. 2.85% 31-JAN-2023| 0.84%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|10.ASSET|Bond|2615.8|21.19|N/A| Daimler Finance North America LLC 3.35% 22-FEB-2023| 0.81%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|11.ASSET|Bond|2615.8|20.4|N/A| Goldman Sachs Group, Inc. 0.627% 17-NOV-2023| 0.78%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|12.ASSET|Bond|2615.8|20.4|N/A| Canadian Natural Resources Limited 2.95% 15-JAN-2023| 0.78%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|13.ASSET|Bond|2615.8|19.1|N/A| STAR 2021-SFR1 Trust A 0.792% 17-APR-2038| 0.73%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|14.ASSET|Bond|2615.8|17.26|N/A| Athene Global Funding 2.8% 26-MAY-2023| 0.66%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|GSY|6|15.ASSET|Bond|2615.8|16.48|N/A| Canadian Imperial Bank of Commerce 0.95% 23-JUN-2023| 0.63%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|1.ASSET|Equity|2853.4|249.39|UNH| UnitedHealth Group Incorporated| 8.74%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|2.ASSET|Equity|2853.4|241.68|JNJ| Johnson & Johnson| 8.47%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|3.ASSET|Equity|2853.4|146.09|PFE| Pfizer Inc.| 5.12%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|4.ASSET|Equity|2853.4|145.52|ABBV| AbbVie, Inc.| 5.10%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|5.ASSET|Equity|2853.4|118.99|TMO| Thermo Fisher Scientific Inc.| 4.17%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|6.ASSET|Equity|2853.4|118.13|LLY| Eli Lilly and Company| 4.14%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|7.ASSET|Equity|2853.4|116.7|ABT| Abbott Laboratories| 4.09%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|8.ASSET|Equity|2853.4|108.14|MRK| Merck & Co., Inc.| 3.79%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|9.ASSET|Equity|2853.4|97.02|DHR| Danaher Corporation| 3.40%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|10.ASSET|Equity|2853.4|85.6|BMY| Bristol-Myers Squibb Company| 3.00%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|11.ASSET|Equity|2853.4|78.47|MDT| Medtronic Plc| 2.75%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|12.ASSET|Equity|2853.4|71.62|AMGN| Amgen Inc.| 2.51%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|13.ASSET|Equity|2853.4|61.63|ANTM| Anthem, Inc.| 2.16%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|14.ASSET|Equity|2853.4|57.35|ISRG| Intuitive Surgical, Inc.| 2.01%| North America|Equity|Health & Biotech Equities|Healthcare|IYH|6|15.ASSET|Equity|2853.4|51.36|ZTS| Zoetis, Inc. Class A| 1.80%| |Commodity|Commodities||DBC|6|1.ASSET|Commodity|4066.1|3007.69|N/A| MUTUAL FUND (OTHER)| 73.97%| |Commodity|Commodities||DBC|6|2.ASSET|Commodity|4066.1|205.34|CLTL| Invesco Treasury Collateral ETF| 5.05%| |Commodity|Commodities||DBC|6|3.ASSET|Commodity|4066.1|138.25|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 3.40%| |Commodity|Commodities||DBC|6|4.ASSET|Commodity|4066.1|138.25|N/A| United States Treasury Bills 0.0% 18-AUG-2022| 3.40%| |Commodity|Commodities||DBC|6|5.ASSET|Commodity|4066.1|129.3|N/A| U.S. Dollar| 3.18%| |Commodity|Commodities||DBC|6|6.ASSET|Commodity|4066.1|106.53|N/A| United States Treasury Bills 0.0% 28-APR-2022| 2.62%| |Commodity|Commodities||DBC|6|7.ASSET|Commodity|4066.1|106.53|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 2.62%| |Commodity|Commodities||DBC|6|8.ASSET|Commodity|4066.1|106.13|N/A| TREASURY ISSUES (LONG-TERM)| 2.61%| |Commodity|Commodities||DBC|6|9.ASSET|Commodity|4066.1|63.84|N/A| United States Treasury Bills 0.0% 21-APR-2022| 1.57%| |Commodity|Commodities||DBC|6|10.ASSET|Commodity|4066.1|63.84|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 1.57%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|1.ASSET|Equity|2794.9|218.84|UNH| UnitedHealth Group Incorporated| 7.83%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|2.ASSET|Equity|2794.9|209.34|JNJ| Johnson & Johnson| 7.49%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|3.ASSET|Equity|2794.9|128.29|PFE| Pfizer Inc.| 4.59%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|4.ASSET|Equity|2794.9|126.61|ABBV| AbbVie, Inc.| 4.53%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|5.ASSET|Equity|2794.9|105.09|TMO| Thermo Fisher Scientific Inc.| 3.76%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|6.ASSET|Equity|2794.9|102.01|ABT| Abbott Laboratories| 3.65%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|7.ASSET|Equity|2794.9|98.94|LLY| Eli Lilly and Company| 3.54%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|8.ASSET|Equity|2794.9|92.79|MRK| Merck & Co., Inc.| 3.32%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|9.ASSET|Equity|2794.9|84.69|DHR| Danaher Corporation| 3.03%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|10.ASSET|Equity|2794.9|73.23|BMY| Bristol-Myers Squibb Company| 2.62%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|11.ASSET|Equity|2794.9|68.48|MDT| Medtronic Plc| 2.45%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|12.ASSET|Equity|2794.9|65.96|CVS| CVS Health Corporation| 2.36%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|13.ASSET|Equity|2794.9|61.77|AMGN| Amgen Inc.| 2.21%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|14.ASSET|Equity|2794.9|53.94|ANTM| Anthem, Inc.| 1.93%| North America|Equity|Health & Biotech Equities|Healthcare|FHLC|6|15.ASSET|Equity|2794.9|51.15|ISRG| Intuitive Surgical, Inc.| 1.83%| |Commodity|Oil & Gas||USO|6|1.ASSET|Commodity|2961|2961|N/A| Sweet Light Crude Oil (WTI)| 100.00%| Developed Markets|Equity|Global Equities||FV|6|1.ASSET|Equity|2795|706.02|FTXN| First Trust Nasdaq Oil & Gas ETF| 25.26%| Developed Markets|Equity|Global Equities||FV|6|2.ASSET|Equity|2795|534.4|FXR| First Trust Industrials/Producer Durables AlphaDEX Fund| 19.12%| Developed Markets|Equity|Global Equities||FV|6|3.ASSET|Equity|2795|529.09|FTXR| First Trust Nasdaq Transportation ETF| 18.93%| Developed Markets|Equity|Global Equities||FV|6|4.ASSET|Equity|2795|527.7|FXD| First Trust Consumer Discretionary AlphaDEX Fund| 18.88%| Developed Markets|Equity|Global Equities||FV|6|5.ASSET|Equity|2795|496.95|QTEC| First Trust NASDAQ-100 Technology Sector Index Fund| 17.78%| Developed Markets|Equity|Global Equities||FV|6|6.ASSET|Equity|2795|0.56|N/A| U.S. Dollar| 0.02%| North America|Equity|Technology Equities|Technology|RYT|6|1.ASSET|Equity|2473.1|46.25|CTXS| Citrix Systems, Inc.| 1.87%| North America|Equity|Technology Equities|Technology|RYT|6|2.ASSET|Equity|2473.1|45.01|NLOK| NortonLifeLock Inc.| 1.82%| North America|Equity|Technology Equities|Technology|RYT|6|3.ASSET|Equity|2473.1|42.04|JKHY| Jack Henry & Associates, Inc.| 1.70%| North America|Equity|Technology Equities|Technology|RYT|6|4.ASSET|Equity|2473.1|41.3|HPE| Hewlett Packard Enterprise Co.| 1.67%| North America|Equity|Technology Equities|Technology|RYT|6|5.ASSET|Equity|2473.1|40.31|MU| Micron Technology, Inc.| 1.63%| North America|Equity|Technology Equities|Technology|RYT|6|6.ASSET|Equity|2473.1|39.82|GPN| Global Payments Inc.| 1.61%| North America|Equity|Technology Equities|Technology|RYT|6|7.ASSET|Equity|2473.1|39.57|CTSH| Cognizant Technology Solutions Corporation Class A| 1.60%| North America|Equity|Technology Equities|Technology|RYT|6|8.ASSET|Equity|2473.1|39.07|GLW| Corning Inc| 1.58%| North America|Equity|Technology Equities|Technology|RYT|6|9.ASSET|Equity|2473.1|39.07|FLT| FLEETCOR Technologies, Inc.| 1.58%| North America|Equity|Technology Equities|Technology|RYT|6|10.ASSET|Equity|2473.1|38.33|FTNT| Fortinet, Inc.| 1.55%| North America|Equity|Technology Equities|Technology|RYT|6|11.ASSET|Equity|2473.1|37.84|DXC| DXC Technology Co.| 1.53%| North America|Equity|Technology Equities|Technology|RYT|6|12.ASSET|Equity|2473.1|37.59|SEDG| SolarEdge Technologies, Inc.| 1.52%| North America|Equity|Technology Equities|Technology|RYT|6|13.ASSET|Equity|2473.1|37.59|STX| Seagate Technology Holdings PLC| 1.52%| North America|Equity|Technology Equities|Technology|RYT|6|14.ASSET|Equity|2473.1|37.34|TDY| Teledyne Technologies Incorporated| 1.51%| North America|Equity|Technology Equities|Technology|RYT|6|15.ASSET|Equity|2473.1|37.1|JNPR| Juniper Networks, Inc.| 1.50%| North America|Equity|Technology Equities|Technology|FXL|6|1.ASSET|Equity|1429.9|39.75|AMD| Advanced Micro Devices, Inc.| 2.78%| North America|Equity|Technology Equities|Technology|FXL|6|2.ASSET|Equity|1429.9|27.6|HPE| Hewlett Packard Enterprise Co.| 1.93%| North America|Equity|Technology Equities|Technology|FXL|6|3.ASSET|Equity|1429.9|27.45|DOX| Amdocs Limited| 1.92%| North America|Equity|Technology Equities|Technology|FXL|6|4.ASSET|Equity|1429.9|26.45|AVT| Avnet, Inc.| 1.85%| North America|Equity|Technology Equities|Technology|FXL|6|5.ASSET|Equity|1429.9|25.6|MU| Micron Technology, Inc.| 1.79%| North America|Equity|Technology Equities|Technology|FXL|6|6.ASSET|Equity|1429.9|24.59|FTNT| Fortinet, Inc.| 1.72%| North America|Equity|Technology Equities|Technology|FXL|6|7.ASSET|Equity|1429.9|24.59|HPQ| HP Inc.| 1.72%| North America|Equity|Technology Equities|Technology|FXL|6|8.ASSET|Equity|1429.9|24.31|INTC| Intel Corporation| 1.70%| North America|Equity|Technology Equities|Technology|FXL|6|9.ASSET|Equity|1429.9|23.74|ON| ON Semiconductor Corporation| 1.66%| North America|Equity|Technology Equities|Technology|FXL|6|10.ASSET|Equity|1429.9|23.74|QCOM| Qualcomm Inc| 1.66%| North America|Equity|Technology Equities|Technology|FXL|6|11.ASSET|Equity|1429.9|23.59|DDOG| Datadog Inc Class A| 1.65%| North America|Equity|Technology Equities|Technology|FXL|6|12.ASSET|Equity|1429.9|23.31|ARW| Arrow Electronics, Inc.| 1.63%| North America|Equity|Technology Equities|Technology|FXL|6|13.ASSET|Equity|1429.9|22.59|IAC| IAC/InteractiveCorp.| 1.58%| North America|Equity|Technology Equities|Technology|FXL|6|14.ASSET|Equity|1429.9|22.16|XRX| Xerox Holdings Corporation| 1.55%| North America|Equity|Technology Equities|Technology|FXL|6|15.ASSET|Equity|1429.9|21.16|CACI| CACI International Inc Class A| 1.48%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|1.ASSET|Equity|3149.2|70.86|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 2.25%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|2.ASSET|Equity|3149.2|50.7|NESN| Nestle S.A.| 1.61%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|3.ASSET|Equity|3149.2|46.29|700| Tencent Holdings Ltd.| 1.47%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|4.ASSET|Equity|3149.2|37.48|ASML| ASML Holding NV| 1.19%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|5.ASSET|Equity|3149.2|34.96|005930| Samsung Electronics Co., Ltd.| 1.11%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|6.ASSET|Equity|3149.2|33.07|7203| Toyota Motor Corp.| 1.05%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|7.ASSET|Equity|3149.2|32.44|ROG| Roche Holding Ltd| 1.03%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|8.ASSET|Equity|3149.2|27.08|9988| Alibaba Group Holding Ltd.| 0.86%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|9.ASSET|Equity|3149.2|26.45|AZN| AstraZeneca PLC| 0.84%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|10.ASSET|Equity|3149.2|24.88|NOVN| Novartis AG| 0.79%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|11.ASSET|Equity|3149.2|23.62|NOVO.B| Novo Nordisk A/S Class B| 0.75%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|12.ASSET|Equity|3149.2|21.73|RY| Royal Bank of Canada| 0.69%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|13.ASSET|Equity|3149.2|20.15|TD| Toronto-Dominion Bank| 0.64%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|14.ASSET|Equity|3149.2|18.58|6758| Sony Group Corporation| 0.59%| Broad Asia|Equity|Foreign Large Cap Equities||VSGX|6|15.ASSET|Equity|3149.2|17.95|ULVR| Unilever PLC| 0.57%| North America|Equity|Europe Equities||EWG|6|1.ASSET|Equity|1995.6|174.42|SAP| SAP SE| 8.74%| North America|Equity|Europe Equities||EWG|6|2.ASSET|Equity|1995.6|155.66|SIE| Siemens AG| 7.80%| North America|Equity|Europe Equities||EWG|6|3.ASSET|Equity|1995.6|134.9|ALV| Allianz SE| 6.76%| North America|Equity|Europe Equities||EWG|6|4.ASSET|Equity|1995.6|95.99|MBG| Mercedes-Benz Group AG| 4.81%| North America|Equity|Europe Equities||EWG|6|5.ASSET|Equity|1995.6|86.81|BAYN| Bayer AG| 4.35%| North America|Equity|Europe Equities||EWG|6|6.ASSET|Equity|1995.6|86.21|BAS| BASF SE| 4.32%| North America|Equity|Europe Equities||EWG|6|7.ASSET|Equity|1995.6|85.61|DTE| Deutsche Telekom AG| 4.29%| North America|Equity|Europe Equities||EWG|6|8.ASSET|Equity|1995.6|73.04|DPW| Deutsche Post AG| 3.66%| North America|Equity|Europe Equities||EWG|6|9.ASSET|Equity|1995.6|65.85|ADS| adidas AG| 3.30%| North America|Equity|Europe Equities||EWG|6|10.ASSET|Equity|1995.6|64.66|IFX| Infineon Technologies AG| 3.24%| North America|Equity|Europe Equities||EWG|6|11.ASSET|Equity|1995.6|58.07|VNA| Vonovia SE| 2.91%| North America|Equity|Europe Equities||EWG|6|12.ASSET|Equity|1995.6|55.48|MUV2| Munich Reinsurance Company| 2.78%| North America|Equity|Europe Equities||EWG|6|13.ASSET|Equity|1995.6|51.49|VOW3| Volkswagen AG Pref| 2.58%| North America|Equity|Europe Equities||EWG|6|14.ASSET|Equity|1995.6|47.5|DB1| Deutsche Boerse AG| 2.38%| North America|Equity|Europe Equities||EWG|6|15.ASSET|Equity|1995.6|46.1|EOAN| E.ON SE| 2.31%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|1.ASSET|Bond|3676|340.4|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 9.26%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|2.ASSET|Bond|3676|162.85|N/A| FIXED INCOME (UNCLASSFIED)| 4.43%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|3.ASSET|Bond|3676|64.7|N/A| Pg&E Corp Term Loan 23-Jun-2025| 1.76%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|4.ASSET|Bond|3676|62.49|N/A| Applied Systems Inc Term Loan B 19-Sep-2024| 1.70%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|5.ASSET|Bond|3676|58.45|N/A| Vcvh Holding Corp Term Loan B 27-Aug-2025| 1.59%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|6.ASSET|Bond|3676|58.08|N/A| Change Healthcare Holdings Llc Term Loan B 01-Mar-2024| 1.58%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|7.ASSET|Bond|3676|54.4|N/A| Golden Nugget Llc Term Loan 12-Jan-2029| 1.48%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|8.ASSET|Bond|3676|53.3|N/A| Irb Holding Corp Term Loan B 05-Feb-2025| 1.45%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|9.ASSET|Bond|3676|53.3|N/A| Solarwinds Holdings Inc Term Loan 05-Feb-2024| 1.45%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|10.ASSET|Bond|3676|52.57|N/A| Sunshine Luxembourg Vii Sarl Term Loan B-3 01-Oct-2026| 1.43%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|11.ASSET|Bond|3676|52.57|N/A| Hyland Software Inc Term Loan 01-Jul-2024| 1.43%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|12.ASSET|Bond|3676|49.99|N/A| Greeneden Us Holdings Ii Llc Term Loan B 29-Sep-2027| 1.36%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|13.ASSET|Bond|3676|48.89|N/A| Iheartcommunications Inc Term Loan 01-May-2026| 1.33%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|14.ASSET|Bond|3676|48.52|N/A| Mh Sub I Llc Term Loan 13-Sep-2024| 1.32%| Developed Markets|Bond|High Yield Bonds|Bank Loans|FTSL|6|15.ASSET|Bond|3676|48.52|N/A| CSC Holdings, LLC 7.5% 01-APR-2028| 1.32%| North America|Equity|All Cap Equities||RPV|6|1.ASSET|Equity|3810.5|85.74|BRK.B| Berkshire Hathaway Inc. Class B| 2.25%| North America|Equity|All Cap Equities||RPV|6|2.ASSET|Equity|3810.5|73.54|PRU| Prudential Financial, Inc.| 1.93%| North America|Equity|All Cap Equities||RPV|6|3.ASSET|Equity|3810.5|71.26|CI| Cigna Corporation| 1.87%| North America|Equity|All Cap Equities||RPV|6|4.ASSET|Equity|3810.5|68.21|PARA| Paramount Global Class B| 1.79%| North America|Equity|All Cap Equities||RPV|6|5.ASSET|Equity|3810.5|66.68|MET| MetLife, Inc.| 1.75%| North America|Equity|All Cap Equities||RPV|6|6.ASSET|Equity|3810.5|66.3|ADM| Archer-Daniels-Midland Company| 1.74%| North America|Equity|All Cap Equities||RPV|6|7.ASSET|Equity|3810.5|62.87|ALL| Allstate Corporation| 1.65%| North America|Equity|All Cap Equities||RPV|6|8.ASSET|Equity|3810.5|62.49|MPC| Marathon Petroleum Corporation| 1.64%| North America|Equity|All Cap Equities||RPV|6|9.ASSET|Equity|3810.5|61.35|WRK| WestRock Company| 1.61%| North America|Equity|All Cap Equities||RPV|6|10.ASSET|Equity|3810.5|60.59|LNC| Lincoln National Corporation| 1.59%| North America|Equity|All Cap Equities||RPV|6|11.ASSET|Equity|3810.5|60.59|AIG| American International Group, Inc.| 1.59%| North America|Equity|All Cap Equities||RPV|6|12.ASSET|Equity|3810.5|58.68|L| Loews Corporation| 1.54%| North America|Equity|All Cap Equities||RPV|6|13.ASSET|Equity|3810.5|58.3|CVS| CVS Health Corporation| 1.53%| North America|Equity|All Cap Equities||RPV|6|14.ASSET|Equity|3810.5|57.92|MOS| Mosaic Company| 1.52%| North America|Equity|All Cap Equities||RPV|6|15.ASSET|Equity|3810.5|57.16|HPE| Hewlett Packard Enterprise Co.| 1.50%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|1.ASSET|Bond|2655.2|950.3|N/A| DERIVATIVE SECURITIES (OTHER)| 35.79%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|2.ASSET|Bond|2655.2|219.59|N/A| U.S. Dollar| 8.27%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|3.ASSET|Bond|2655.2|79.92|N/A| CORPORATE BOND| 3.01%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|4.ASSET|Bond|2655.2|32.39|N/A| New Zealand 0.5% 15-MAY-2024| 1.22%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|5.ASSET|Bond|2655.2|18.85|N/A| Ausgrid Finance Pty Ltd. 3.75% 30-OCT-2024| 0.71%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|6.ASSET|Bond|2655.2|17.79|N/A| Georgia-Pacific LLC 0.625% 15-MAY-2024| 0.67%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|7.ASSET|Bond|2655.2|16.99|N/A| Broadcom Inc. 1.95% 15-FEB-2028| 0.64%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|8.ASSET|Bond|2655.2|16.73|N/A| Morgan Stanley 1.512% 20-JUL-2027| 0.63%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|9.ASSET|Bond|2655.2|15.93|N/A| AT&T Inc. 0.9% 25-MAR-2024| 0.60%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|10.ASSET|Bond|2655.2|15.13|N/A| Australia and New Zealand Banking Group Limited 2.95% 22-JUL-2030| 0.57%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|11.ASSET|Bond|2655.2|14.6|N/A| PerkinElmer, Inc. 0.85% 15-SEP-2024| 0.55%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|12.ASSET|Bond|2655.2|14.6|N/A| Fiserv, Inc. 3.8% 01-OCT-2023| 0.55%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|13.ASSET|Bond|2655.2|14.34|N/A| Citigroup Inc. 1.122% 28-JAN-2027| 0.54%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|14.ASSET|Bond|2655.2|14.34|N/A| Johnson & Johnson 0.55% 01-SEP-2025| 0.54%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|VNLA|6|15.ASSET|Bond|2655.2|14.07|N/A| Athene Global Funding 1.608% 29-JUN-2026| 0.53%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|1.ASSET|Equity|2633.5|6.58|MEG| MEG Energy Corp.| 0.25%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|2.ASSET|Equity|2633.5|6.58|034020| Doosan Heavy Industries & Construction Co., Ltd.| 0.25%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|3.ASSET|Equity|2633.5|6.32|WHC| Whitehaven Coal Limited| 0.24%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|4.ASSET|Equity|2633.5|6.06|9107| Kawasaki Kisen Kaisha, Ltd.| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|5.ASSET|Equity|2633.5|6.06|TOU| Tourmaline Oil Corp.| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|6.ASSET|Equity|2633.5|5.53|BEZQ| Bezeq The Israel Telecommunication Corp. Ltd.| 0.21%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|7.ASSET|Equity|2633.5|5.27|011070| LG Innotek Co., Ltd| 0.20%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|8.ASSET|Equity|2633.5|5.27|E5H| Golden Agri-Resources Ltd| 0.20%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|9.ASSET|Equity|2633.5|5.27|WCP| Whitecap Resources Inc.| 0.20%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|10.ASSET|Equity|2633.5|5|6460| Sega Sammy Holdings Inc.| 0.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|11.ASSET|Equity|2633.5|5|DSCT| Israel Discount Bank Limited Class A| 0.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|12.ASSET|Equity|2633.5|5|151| Want Want China Holdings Limited| 0.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|13.ASSET|Equity|2633.5|5|000060| Meritz Fire & Marine Insurance Co., Ltd| 0.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|14.ASSET|Equity|2633.5|5|BIPC| Brookfield Infrastructure Corporation Class A| 0.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FNDC|6|15.ASSET|Equity|2633.5|5|ILCO| Israel Corporation Ltd.| 0.19%| Developed Markets|Equity|Global Equities||BOTZ|6|1.ASSET|Equity|2125.5|235.51|NVDA| NVIDIA Corporation| 11.08%| Developed Markets|Equity|Global Equities||BOTZ|6|2.ASSET|Equity|2125.5|182.58|ISRG| Intuitive Surgical, Inc.| 8.59%| Developed Markets|Equity|Global Equities||BOTZ|6|3.ASSET|Equity|2125.5|180.67|ABBN| ABB Ltd.| 8.50%| Developed Markets|Equity|Global Equities||BOTZ|6|4.ASSET|Equity|2125.5|163.88|6861| Keyence Corporation| 7.71%| Developed Markets|Equity|Global Equities||BOTZ|6|5.ASSET|Equity|2125.5|136.46|6954| Fanuc Corporation| 6.42%| Developed Markets|Equity|Global Equities||BOTZ|6|6.ASSET|Equity|2125.5|135.61|UPST| Upstart Holdings, Inc.| 6.38%| Developed Markets|Equity|Global Equities||BOTZ|6|7.ASSET|Equity|2125.5|122.43|AUTO| AutoStore Holdings Ltd.| 5.76%| Developed Markets|Equity|Global Equities||BOTZ|6|8.ASSET|Equity|2125.5|104.79|6273| SMC Corporation| 4.93%| Developed Markets|Equity|Global Equities||BOTZ|6|9.ASSET|Equity|2125.5|87.78|6645| OMRON Corporation| 4.13%| Developed Markets|Equity|Global Equities||BOTZ|6|10.ASSET|Equity|2125.5|86.93|6506| Yaskawa Electric Corporation| 4.09%| Developed Markets|Equity|Global Equities||BOTZ|6|11.ASSET|Equity|2125.5|85.02|AZTA| Azenta, Inc.| 4.00%| Developed Markets|Equity|Global Equities||BOTZ|6|12.ASSET|Equity|2125.5|83.53|6383| Daifuku Co., Ltd.| 3.93%| Developed Markets|Equity|Global Equities||BOTZ|6|13.ASSET|Equity|2125.5|68.02|TECN| Tecan Group AG| 3.20%| Developed Markets|Equity|Global Equities||BOTZ|6|14.ASSET|Equity|2125.5|58.24|RSW| Renishaw plc| 2.74%| Developed Markets|Equity|Global Equities||BOTZ|6|15.ASSET|Equity|2125.5|47.61|JBT| John Bean Technologies Corporation| 2.24%| North America|Equity|Large Cap Growth Equities||VONE|6|1.ASSET|Equity|2783.4|177.3|AAPL| Apple Inc.| 6.37%| North America|Equity|Large Cap Growth Equities||VONE|6|2.ASSET|Equity|2783.4|153.92|MSFT| Microsoft Corporation| 5.53%| North America|Equity|Large Cap Growth Equities||VONE|6|3.ASSET|Equity|2783.4|85.45|AMZN| Amazon.com, Inc.| 3.07%| North America|Equity|Large Cap Growth Equities||VONE|6|4.ASSET|Equity|2783.4|53.44|GOOGL| Alphabet Inc. Class A| 1.92%| North America|Equity|Large Cap Growth Equities||VONE|6|5.ASSET|Equity|2783.4|50.1|GOOG| Alphabet Inc. Class C| 1.80%| North America|Equity|Large Cap Growth Equities||VONE|6|6.ASSET|Equity|2783.4|49.82|TSLA| Tesla Inc| 1.79%| North America|Equity|Large Cap Growth Equities||VONE|6|7.ASSET|Equity|2783.4|48.71|FB| Meta Platforms Inc. Class A| 1.75%| North America|Equity|Large Cap Growth Equities||VONE|6|8.ASSET|Equity|2783.4|38.41|NVDA| NVIDIA Corporation| 1.38%| North America|Equity|Large Cap Growth Equities||VONE|6|9.ASSET|Equity|2783.4|37.85|BRK.B| Berkshire Hathaway Inc. Class B| 1.36%| North America|Equity|Large Cap Growth Equities||VONE|6|10.ASSET|Equity|2783.4|29.78|JNJ| Johnson & Johnson| 1.07%| North America|Equity|Large Cap Growth Equities||VONE|6|11.ASSET|Equity|2783.4|29.23|UNH| UnitedHealth Group Incorporated| 1.05%| North America|Equity|Large Cap Growth Equities||VONE|6|12.ASSET|Equity|2783.4|28.67|JPM| JPMorgan Chase & Co.| 1.03%| North America|Equity|Large Cap Growth Equities||VONE|6|13.ASSET|Equity|2783.4|25.61|HD| Home Depot, Inc.| 0.92%| North America|Equity|Large Cap Growth Equities||VONE|6|14.ASSET|Equity|2783.4|25.33|PG| Procter & Gamble Company| 0.91%| North America|Equity|Large Cap Growth Equities||VONE|6|15.ASSET|Equity|2783.4|25.05|V| Visa Inc. Class A| 0.90%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|1.ASSET|Equity|2194.8|190.95|ON| ON Semiconductor Corporation| 8.70%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|2.ASSET|Equity|2194.8|175.58|TSLA| Tesla Inc| 8.00%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|3.ASSET|Equity|2194.8|157.59|ALB| Albemarle Corporation| 7.18%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|4.ASSET|Equity|2194.8|149.69|ENPH| Enphase Energy, Inc.| 6.82%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|5.ASSET|Equity|2194.8|127.08|NIO| NIO Inc. Sponsored ADR Class A| 5.79%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|6.ASSET|Equity|2194.8|109.52|SEDG| SolarEdge Technologies, Inc.| 4.99%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|7.ASSET|Equity|2194.8|88.45|WOLF| Wolfspeed Inc| 4.03%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|8.ASSET|Equity|2194.8|76.38|BEP.UT| Brookfield Renewable Partners LP| 3.48%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|9.ASSET|Equity|2194.8|72.43|PLUG| Plug Power Inc.| 3.30%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|10.ASSET|Equity|2194.8|71.55|XPEV| XPeng, Inc. ADR Sponsored Class A| 3.26%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|11.ASSET|Equity|2194.8|56.85|OLED| Universal Display Corporation| 2.59%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|12.ASSET|Equity|2194.8|56.63|MP| MP Materials Corp Class A| 2.58%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|13.ASSET|Equity|2194.8|55.97|FSLR| First Solar, Inc.| 2.55%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|14.ASSET|Equity|2194.8|50.26|AYI| Acuity Brands, Inc.| 2.29%| North America|Equity|Alternative Energy Equities|Energy|QCLN|6|15.ASSET|Equity|2194.8|50.04|NEP| NextEra Energy Partners LP| 2.28%| North America|Equity|Financials Equities|Financials|IYG|6|1.ASSET|Equity|2465.8|249.29|JPM| JPMorgan Chase & Co.| 10.11%| North America|Equity|Financials Equities|Financials|IYG|6|2.ASSET|Equity|2465.8|211.81|V| Visa Inc. Class A| 8.59%| North America|Equity|Financials Equities|Financials|IYG|6|3.ASSET|Equity|2465.8|188.14|BAC| Bank of America Corp| 7.63%| North America|Equity|Financials Equities|Financials|IYG|6|4.ASSET|Equity|2465.8|180.74|MA| Mastercard Incorporated Class A| 7.33%| North America|Equity|Financials Equities|Financials|IYG|6|5.ASSET|Equity|2465.8|126|WFC| Wells Fargo & Company| 5.11%| North America|Equity|Financials Equities|Financials|IYG|6|6.ASSET|Equity|2465.8|85.81|SPGI| S&P Global, Inc.| 3.48%| North America|Equity|Financials Equities|Financials|IYG|6|7.ASSET|Equity|2465.8|76.93|MS| Morgan Stanley| 3.12%| North America|Equity|Financials Equities|Financials|IYG|6|8.ASSET|Equity|2465.8|74.47|SCHW| Charles Schwab Corporation| 3.02%| North America|Equity|Financials Equities|Financials|IYG|6|9.ASSET|Equity|2465.8|71.51|C| Citigroup Inc.| 2.90%| North America|Equity|Financials Equities|Financials|IYG|6|10.ASSET|Equity|2465.8|69.04|GS| Goldman Sachs Group, Inc.| 2.80%| North America|Equity|Financials Equities|Financials|IYG|6|11.ASSET|Equity|2465.8|68.55|AXP| American Express Company| 2.78%| North America|Equity|Financials Equities|Financials|IYG|6|12.ASSET|Equity|2465.8|63.86|BLK| BlackRock, Inc.| 2.59%| North America|Equity|Financials Equities|Financials|IYG|6|13.ASSET|Equity|2465.8|54.25|BX| Blackstone Inc.| 2.20%| North America|Equity|Financials Equities|Financials|IYG|6|14.ASSET|Equity|2465.8|51.54|CME| CME Group Inc. Class A| 2.09%| North America|Equity|Financials Equities|Financials|IYG|6|15.ASSET|Equity|2465.8|49.56|PNC| PNC Financial Services Group, Inc.| 2.01%| North America|Equity|Industrials Equities|Industrials|ITA|6|1.ASSET|Equity|3060.9|689.93|RTX| Raytheon Technologies Corporation| 22.54%| North America|Equity|Industrials Equities|Industrials|ITA|6|2.ASSET|Equity|3060.9|500.15|BA| Boeing Company| 16.34%| North America|Equity|Industrials Equities|Industrials|ITA|6|3.ASSET|Equity|3060.9|191.61|LMT| Lockheed Martin Corporation| 6.26%| North America|Equity|Industrials Equities|Industrials|ITA|6|4.ASSET|Equity|3060.9|158.25|NOC| Northrop Grumman Corporation| 5.17%| North America|Equity|Industrials Equities|Industrials|ITA|6|5.ASSET|Equity|3060.9|149.07|GD| General Dynamics Corporation| 4.87%| North America|Equity|Industrials Equities|Industrials|ITA|6|6.ASSET|Equity|3060.9|148.76|LHX| L3Harris Technologies Inc| 4.86%| North America|Equity|Industrials Equities|Industrials|ITA|6|7.ASSET|Equity|3060.9|140.19|TDG| TransDigm Group Incorporated| 4.58%| North America|Equity|Industrials Equities|Industrials|ITA|6|8.ASSET|Equity|3060.9|134.37|HWM| Howmet Aerospace Inc.| 4.39%| North America|Equity|Industrials Equities|Industrials|ITA|6|9.ASSET|Equity|3060.9|124.27|TXT| Textron Inc.| 4.06%| North America|Equity|Industrials Equities|Industrials|ITA|6|10.ASSET|Equity|3060.9|94.58|AXON| Axon Enterprise Inc| 3.09%| North America|Equity|Industrials Equities|Industrials|ITA|6|11.ASSET|Equity|3060.9|82.95|HII| Huntington Ingalls Industries, Inc.| 2.71%| North America|Equity|Industrials Equities|Industrials|ITA|6|12.ASSET|Equity|3060.9|74.69|HEI.A| HEICO Corporation Class A| 2.44%| North America|Equity|Industrials Equities|Industrials|ITA|6|13.ASSET|Equity|3060.9|59.99|CW| Curtiss-Wright Corporation| 1.96%| North America|Equity|Industrials Equities|Industrials|ITA|6|14.ASSET|Equity|3060.9|56.32|ROLL| RBC Bearings Incorporated| 1.84%| North America|Equity|Industrials Equities|Industrials|ITA|6|15.ASSET|Equity|3060.9|50.81|HEI| HEICO Corporation| 1.66%| North America|Equity|Building & Construction |Materials|ITB|6|1.ASSET|Equity|2071|294.5|DHI| D.R. Horton, Inc.| 14.22%| North America|Equity|Building & Construction |Materials|ITB|6|2.ASSET|Equity|2071|258.25|LEN| Lennar Corporation Class A| 12.47%| North America|Equity|Building & Construction |Materials|ITB|6|3.ASSET|Equity|2071|169.2|NVR| NVR, Inc.| 8.17%| North America|Equity|Building & Construction |Materials|ITB|6|4.ASSET|Equity|2071|130.68|PHM| PulteGroup, Inc.| 6.31%| North America|Equity|Building & Construction |Materials|ITB|6|5.ASSET|Equity|2071|100.03|LOW| Lowe\'s Companies, Inc.| 4.83%| North America|Equity|Building & Construction |Materials|ITB|6|6.ASSET|Equity|2071|89.47|HD| Home Depot, Inc.| 4.32%| North America|Equity|Building & Construction |Materials|ITB|6|7.ASSET|Equity|2071|85.53|SHW| Sherwin-Williams Company| 4.13%| North America|Equity|Building & Construction |Materials|ITB|6|8.ASSET|Equity|2071|73.73|BLD| TopBuild Corp.| 3.56%| North America|Equity|Building & Construction |Materials|ITB|6|9.ASSET|Equity|2071|64.82|TOL| Toll Brothers, Inc.| 3.13%| North America|Equity|Building & Construction |Materials|ITB|6|10.ASSET|Equity|2071|48.25|BLDR| Builders FirstSource, Inc.| 2.33%| North America|Equity|Building & Construction |Materials|ITB|6|11.ASSET|Equity|2071|44.73|MAS| Masco Corporation| 2.16%| North America|Equity|Building & Construction |Materials|ITB|6|12.ASSET|Equity|2071|41.83|TMHC| Taylor Morrison Home Corporation| 2.02%| North America|Equity|Building & Construction |Materials|ITB|6|13.ASSET|Equity|2071|38.93|MTH| Meritage Homes Corporation| 1.88%| North America|Equity|Building & Construction |Materials|ITB|6|14.ASSET|Equity|2071|38.11|FBHS| Fortune Brands Home & Security, Inc.| 1.84%| North America|Equity|Building & Construction |Materials|ITB|6|15.ASSET|Equity|2071|37.9|SKY| Skyline Champion Corp.| 1.83%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|1.ASSET|Equity|2553.8|115.43|CNR| Canadian National Railway Company| 4.52%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|2.ASSET|Equity|2553.8|91.17|VZ| Verizon Communications Inc.| 3.57%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|3.ASSET|Equity|2553.8|88.62|ENB| Enbridge Inc.| 3.47%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|4.ASSET|Equity|2553.8|86.06|CMCSA| Comcast Corporation Class A| 3.37%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|5.ASSET|Equity|2553.8|80.44|CP| Canadian Pacific Kansas City Limited| 3.15%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|6.ASSET|Equity|2553.8|69.21|T| AT&T Inc.| 2.71%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|7.ASSET|Equity|2553.8|65.89|UNP| Union Pacific Corporation| 2.58%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|8.ASSET|Equity|2553.8|62.82|DPW| Deutsche Post AG| 2.46%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|9.ASSET|Equity|2553.8|61.8|NEE| NextEra Energy, Inc.| 2.42%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|10.ASSET|Equity|2553.8|61.04|IBE| Iberdrola SA| 2.39%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|11.ASSET|Equity|2553.8|53.63|NG| National Grid plc| 2.10%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|12.ASSET|Equity|2553.8|53.12|TRP| TC Energy Corporation| 2.08%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|13.ASSET|Equity|2553.8|52.61|ENEL| Enel SpA| 2.06%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|14.ASSET|Equity|2553.8|45.71|9432| Nippon Telegraph and Telephone Corporation| 1.79%| Developed Markets|Equity|Utilities Equities|Utilities|NFRA|6|15.ASSET|Equity|2553.8|43.67|WCN| Waste Connections, Inc.| 1.71%| North America|Real Estate|Real Estate|Real Estate|ICF|6|1.ASSET|Real Estate|2676.1|211.41|PLD| Prologis, Inc.| 7.90%| North America|Real Estate|Real Estate|Real Estate|ICF|6|2.ASSET|Real Estate|2676.1|207.4|CCI| Crown Castle International Corp| 7.75%| North America|Real Estate|Real Estate|Real Estate|ICF|6|3.ASSET|Real Estate|2676.1|206.33|AMT| American Tower Corporation| 7.71%| North America|Real Estate|Real Estate|Real Estate|ICF|6|4.ASSET|Real Estate|2676.1|194.28|EQIX| Equinix, Inc.| 7.26%| North America|Real Estate|Real Estate|Real Estate|ICF|6|5.ASSET|Real Estate|2676.1|166.45|PSA| Public Storage| 6.22%| North America|Real Estate|Real Estate|Real Estate|ICF|6|6.ASSET|Real Estate|2676.1|134.34|SPG| Simon Property Group, Inc.| 5.02%| North America|Real Estate|Real Estate|Real Estate|ICF|6|7.ASSET|Real Estate|2676.1|115.61|DLR| Digital Realty Trust, Inc.| 4.32%| North America|Real Estate|Real Estate|Real Estate|ICF|6|8.ASSET|Real Estate|2676.1|113.2|O| Realty Income Corporation| 4.23%| North America|Real Estate|Real Estate|Real Estate|ICF|6|9.ASSET|Real Estate|2676.1|108.92|WELL| Welltower, Inc.| 4.07%| North America|Real Estate|Real Estate|Real Estate|ICF|6|10.ASSET|Real Estate|2676.1|104.64|SBAC| SBA Communications Corp. Class A| 3.91%| North America|Real Estate|Real Estate|Real Estate|ICF|6|11.ASSET|Real Estate|2676.1|99.28|AVB| AvalonBay Communities, Inc.| 3.71%| North America|Real Estate|Real Estate|Real Estate|ICF|6|12.ASSET|Real Estate|2676.1|86.71|EQR| Equity Residential| 3.24%| North America|Real Estate|Real Estate|Real Estate|ICF|6|13.ASSET|Real Estate|2676.1|80.55|ARE| Alexandria Real Estate Equities, Inc.| 3.01%| North America|Real Estate|Real Estate|Real Estate|ICF|6|14.ASSET|Real Estate|2676.1|77.87|EXR| Extra Space Storage Inc.| 2.91%| North America|Real Estate|Real Estate|Real Estate|ICF|6|15.ASSET|Real Estate|2676.1|71.18|MAA| Mid-America Apartment Communities, Inc.| 2.66%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|1.ASSET|Bond|2180.9|31.62|N/A| Government of Kuwait 3.5% 20-MAR-2027| 1.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|2.ASSET|Bond|2180.9|31.62|N/A| Government of Kuwait 3.5% 20-MAR-2027| 1.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|3.ASSET|Bond|2180.9|31.4|N/A| Government of Poland 3.25% 06-APR-2026| 1.44%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|4.ASSET|Bond|2180.9|31.19|N/A| Government of Poland 3.25% 06-APR-2026| 1.43%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|5.ASSET|Bond|2180.9|30.1|N/A| Government of Kenya 7.25% 28-FEB-2028| 1.38%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|6.ASSET|Bond|2180.9|29.88|N/A| Government of Kenya 7.25% 28-FEB-2028| 1.37%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|7.ASSET|Bond|2180.9|28.79|N/A| Government of Kenya 8.25% 28-FEB-2048| 1.32%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|8.ASSET|Bond|2180.9|28.79|N/A| Government of Kenya 8.25% 28-FEB-2048| 1.32%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|9.ASSET|Bond|2180.9|24.21|N/A| Government of China 2.5% 26-OCT-2051| 1.11%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|10.ASSET|Bond|2180.9|23.55|N/A| Government of China 2.5% 26-OCT-2051| 1.08%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|11.ASSET|Bond|2180.9|22.25|N/A| Government of China 2.25% 21-OCT-2050| 1.02%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|12.ASSET|Bond|2180.9|21.81|N/A| Government of the Philippines 3.95% 20-JAN-2040| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|13.ASSET|Bond|2180.9|21.81|N/A| Government of China 2.25% 21-OCT-2050| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|14.ASSET|Bond|2180.9|21.81|N/A| Government of Colombia 6.125% 18-JAN-2041| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|PCY|6|15.ASSET|Bond|2180.9|21.81|N/A| Government of Qatar 4.625% 02-JUN-2046| 1.00%| Developed Europe|Equity|Europe Equities||FEZ|6|1.ASSET|Equity|2095.5|175.81|ASML| ASML Holding NV| 8.39%| Developed Europe|Equity|Europe Equities||FEZ|6|2.ASSET|Equity|2095.5|121.54|MC| LVMH Moet Hennessy Louis Vuitton SE| 5.80%| Developed Europe|Equity|Europe Equities||FEZ|6|3.ASSET|Equity|2095.5|95.76|LIN| Linde plc| 4.57%| Developed Europe|Equity|Europe Equities||FEZ|6|4.ASSET|Equity|2095.5|86.33|TTE| TotalEnergies SE| 4.12%| Developed Europe|Equity|Europe Equities||FEZ|6|5.ASSET|Equity|2095.5|79.63|SAP| SAP SE| 3.80%| Developed Europe|Equity|Europe Equities||FEZ|6|6.ASSET|Equity|2095.5|77.53|SAN| Sanofi| 3.70%| Developed Europe|Equity|Europe Equities||FEZ|6|7.ASSET|Equity|2095.5|66.64|SIE| Siemens AG| 3.18%| Developed Europe|Equity|Europe Equities||FEZ|6|8.ASSET|Equity|2095.5|61.4|OR| L\'Oreal SA| 2.93%| Developed Europe|Equity|Europe Equities||FEZ|6|9.ASSET|Equity|2095.5|58.88|ALV| Allianz SE| 2.81%| Developed Europe|Equity|Europe Equities||FEZ|6|10.ASSET|Equity|2095.5|55.74|SU| Schneider Electric SE| 2.66%| Developed Europe|Equity|Europe Equities||FEZ|6|11.ASSET|Equity|2095.5|51.55|AI| Air Liquide SA| 2.46%| Developed Europe|Equity|Europe Equities||FEZ|6|12.ASSET|Equity|2095.5|44.63|AIR| Airbus SE| 2.13%| Developed Europe|Equity|Europe Equities||FEZ|6|13.ASSET|Equity|2095.5|41.49|BNP| BNP Paribas SA Class A| 1.98%| Developed Europe|Equity|Europe Equities||FEZ|6|14.ASSET|Equity|2095.5|41.07|MBG| Mercedes-Benz Group AG| 1.96%| Developed Europe|Equity|Europe Equities||FEZ|6|15.ASSET|Equity|2095.5|40.86|IBE| Iberdrola SA| 1.95%| Developed Markets|Equity|All Cap Equities||ARKQ|6|1.ASSET|Equity|1583.8|167.09|TSLA| Tesla Inc| 10.55%| Developed Markets|Equity|All Cap Equities||ARKQ|6|2.ASSET|Equity|1583.8|132.41|KTOS| Kratos Defense & Security Solutions, Inc.| 8.36%| Developed Markets|Equity|All Cap Equities||ARKQ|6|3.ASSET|Equity|1583.8|120.53|PATH| UiPath Inc Class A| 7.61%| Developed Markets|Equity|All Cap Equities||ARKQ|6|4.ASSET|Equity|1583.8|110.71|TRMB| Trimble Inc.| 6.99%| Developed Markets|Equity|All Cap Equities||ARKQ|6|5.ASSET|Equity|1583.8|71.27|IRDM| Iridium Communications Inc.| 4.50%| Developed Markets|Equity|All Cap Equities||ARKQ|6|6.ASSET|Equity|1583.8|66.36|KMTUY| Komatsu Ltd. Sponsored ADR| 4.19%| Developed Markets|Equity|All Cap Equities||ARKQ|6|7.ASSET|Equity|1583.8|66.36|DE| Deere & Company| 4.19%| Developed Markets|Equity|All Cap Equities||ARKQ|6|8.ASSET|Equity|1583.8|63.35|AVAV| AeroVironment, Inc.| 4.00%| Developed Markets|Equity|All Cap Equities||ARKQ|6|9.ASSET|Equity|1583.8|54.17|DDD| 3D Systems Corporation| 3.42%| Developed Markets|Equity|All Cap Equities||ARKQ|6|10.ASSET|Equity|1583.8|50.52|U| Unity Software, Inc.| 3.19%| Developed Markets|Equity|All Cap Equities||ARKQ|6|11.ASSET|Equity|1583.8|45.61|BLDE| Blade Air Mobility, Inc. Class A| 2.88%| Developed Markets|Equity|All Cap Equities||ARKQ|6|12.ASSET|Equity|1583.8|44.82|VLD| Velo3D, Inc.| 2.83%| Developed Markets|Equity|All Cap Equities||ARKQ|6|13.ASSET|Equity|1583.8|43.24|TSP| TuSimple Holdings, Inc. Class A| 2.73%| Developed Markets|Equity|All Cap Equities||ARKQ|6|14.ASSET|Equity|1583.8|38.33|MKFG| Markforged Holding Corporation| 2.42%| Developed Markets|Equity|All Cap Equities||ARKQ|6|15.ASSET|Equity|1583.8|38.01|ESLT| Elbit Systems Ltd| 2.40%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|1.ASSET|Bond|1915.7|7.47|N/A| CORPORATE BOND| 0.39%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|2.ASSET|Bond|1915.7|6.9|N/A| Anheuser-Busch Cos. LLC 4.9% 01-FEB-2046| 0.36%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|3.ASSET|Bond|1915.7|6.13|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 0.32%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|4.ASSET|Bond|1915.7|5.94|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 0.31%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|5.ASSET|Bond|1915.7|5.75|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 0.30%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|6.ASSET|Bond|1915.7|4.98|N/A| AT&T Inc. 3.5% 15-SEP-2053| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|7.ASSET|Bond|1915.7|4.41|N/A| AT&T Inc. 3.55% 15-SEP-2055| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|8.ASSET|Bond|1915.7|4.21|N/A| Microsoft Corporation 2.921% 17-MAR-2052| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|9.ASSET|Bond|1915.7|4.02|N/A| AT&T Inc. 3.65% 15-SEP-2059| 0.21%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|10.ASSET|Bond|1915.7|3.83|N/A| Wells Fargo & Company 5.013% 04-APR-2051| 0.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|11.ASSET|Bond|1915.7|3.83|N/A| Boeing Company 5.805% 01-MAY-2050| 0.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|12.ASSET|Bond|1915.7|3.83|N/A| Anheuser-Busch Cos. LLC 4.7% 01-FEB-2036| 0.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|13.ASSET|Bond|1915.7|3.64|N/A| AT&T Inc. 3.8% 01-DEC-2057| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|14.ASSET|Bond|1915.7|3.64|N/A| Microsoft Corporation 2.525% 01-JUN-2050| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGLB|6|15.ASSET|Bond|1915.7|3.64|N/A| Bank of America Corporation 4.083% 20-MAR-2051| 0.19%| North America|Equity|Energy Equities|Energy|IYE|6|1.ASSET|Equity|3154.6|653.32|XOM| Exxon Mobil Corporation| 20.71%| North America|Equity|Energy Equities|Energy|IYE|6|2.ASSET|Equity|3154.6|572.88|CVX| Chevron Corporation| 18.16%| North America|Equity|Energy Equities|Energy|IYE|6|3.ASSET|Equity|3154.6|255.84|COP| ConocoPhillips| 8.11%| North America|Equity|Energy Equities|Energy|IYE|6|4.ASSET|Equity|3154.6|151.11|EOG| EOG Resources, Inc.| 4.79%| North America|Equity|Energy Equities|Energy|IYE|6|5.ASSET|Equity|3154.6|120.82|SLB| Schlumberger NV| 3.83%| North America|Equity|Energy Equities|Energy|IYE|6|6.ASSET|Equity|3154.6|114.51|PXD| Pioneer Natural Resources Company| 3.63%| North America|Equity|Energy Equities|Energy|IYE|6|7.ASSET|Equity|3154.6|103.47|MPC| Marathon Petroleum Corporation| 3.28%| North America|Equity|Energy Equities|Energy|IYE|6|8.ASSET|Equity|3154.6|87.7|OXY| Occidental Petroleum Corporation| 2.78%| North America|Equity|Energy Equities|Energy|IYE|6|9.ASSET|Equity|3154.6|85.81|WMB| Williams Companies, Inc.| 2.72%| North America|Equity|Energy Equities|Energy|IYE|6|10.ASSET|Equity|3154.6|84.86|DVN| Devon Energy Corporation| 2.69%| North America|Equity|Energy Equities|Energy|IYE|6|11.ASSET|Equity|3154.6|79.5|PSX| Phillips 66| 2.52%| North America|Equity|Energy Equities|Energy|IYE|6|12.ASSET|Equity|3154.6|76.03|KMI| Kinder Morgan Inc Class P| 2.41%| North America|Equity|Energy Equities|Energy|IYE|6|13.ASSET|Equity|3154.6|73.19|VLO| Valero Energy Corporation| 2.32%| North America|Equity|Energy Equities|Energy|IYE|6|14.ASSET|Equity|3154.6|66.88|LNG| Cheniere Energy, Inc.| 2.12%| North America|Equity|Energy Equities|Energy|IYE|6|15.ASSET|Equity|3154.6|63.72|OKE| ONEOK, Inc.| 2.02%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|1.ASSET|Bond|2321.2|9.98|N/A| CORPORATE BOND| 0.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|2.ASSET|Bond|2321.2|6.5|N/A| Bank of America Corporation 1.734% 22-JUL-2027| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|3.ASSET|Bond|2321.2|6.04|N/A| Morgan Stanley 2.63% 18-FEB-2026| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|4.ASSET|Bond|2321.2|6.04|N/A| Boeing Company 2.196% 04-FEB-2026| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|5.ASSET|Bond|2321.2|5.8|N/A| Morgan Stanley 2.188% 28-APR-2026| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|6.ASSET|Bond|2321.2|5.57|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|7.ASSET|Bond|2321.2|5.57|N/A| Anheuser-Busch Cos. LLC 3.65% 01-FEB-2026| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|8.ASSET|Bond|2321.2|5.57|N/A| Wells Fargo & Company 0.805% 19-MAY-2025| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|9.ASSET|Bond|2321.2|5.34|N/A| AerCap Ireland Capital DAC 2.45% 29-OCT-2026| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|10.ASSET|Bond|2321.2|5.34|N/A| Boeing Company 4.875% 01-MAY-2025| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|11.ASSET|Bond|2321.2|5.11|N/A| Pacific Gas and Electric Company 3.25% 16-FEB-2024| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|12.ASSET|Bond|2321.2|5.11|N/A| Entergy Louisiana LLC 0.95% 01-OCT-2024| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|13.ASSET|Bond|2321.2|5.11|N/A| JPMorgan Chase & Co. 3.9% 15-JUL-2025| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|14.ASSET|Bond|2321.2|4.87|N/A| Morgan Stanley 0.864% 21-OCT-2025| 0.21%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SLQD|6|15.ASSET|Bond|2321.2|4.87|N/A| Apple Inc. 2.4% 03-MAY-2023| 0.21%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|1.ASSET|Equity|1966.2|284.12|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 14.45%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|2.ASSET|Equity|1966.2|234.96|700| Tencent Holdings Ltd.| 11.95%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|3.ASSET|Equity|1966.2|217.66|005930| Samsung Electronics Co., Ltd.| 11.07%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|4.ASSET|Equity|1966.2|139.8|9988| Alibaba Group Holding Ltd.| 7.11%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|5.ASSET|Equity|1966.2|87.69|1299| AIA Group Limited| 4.46%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|6.ASSET|Equity|1966.2|62.33|3690| Meituan Class B| 3.17%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|7.ASSET|Equity|1966.2|54.27|939| China Construction Bank Corporation Class H| 2.76%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|8.ASSET|Equity|1966.2|54.07|9618| JD.com, Inc. Class A| 2.75%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|9.ASSET|Equity|1966.2|43.85|2454| MediaTek Inc| 2.23%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|10.ASSET|Equity|1966.2|39.52|388| Hong Kong Exchanges & Clearing Ltd.| 2.01%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|11.ASSET|Equity|1966.2|39.13|000660| SK hynix Inc| 1.99%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|12.ASSET|Equity|1966.2|32.84|2317| Hon Hai Precision Industry Co., Ltd.| 1.67%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|13.ASSET|Equity|1966.2|32.44|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.65%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|14.ASSET|Equity|1966.2|31.85|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 1.62%| Broad Asia|Equity|Asia Pacific Equities||AIA|6|15.ASSET|Equity|1966.2|31.66|D05| DBS Group Holdings Ltd| 1.61%| North America|Real Estate|Real Estate|Real Estate|USRT|6|1.ASSET|Real Estate|2326.2|213.55|PLD| Prologis, Inc.| 9.18%| North America|Real Estate|Real Estate|Real Estate|USRT|6|2.ASSET|Real Estate|2326.2|126.31|EQIX| Equinix, Inc.| 5.43%| North America|Real Estate|Real Estate|Real Estate|USRT|6|3.ASSET|Real Estate|2326.2|107.47|PSA| Public Storage| 4.62%| North America|Real Estate|Real Estate|Real Estate|USRT|6|4.ASSET|Real Estate|2326.2|87.23|SPG| Simon Property Group, Inc.| 3.75%| North America|Real Estate|Real Estate|Real Estate|USRT|6|5.ASSET|Real Estate|2326.2|74.67|DLR| Digital Realty Trust, Inc.| 3.21%| North America|Real Estate|Real Estate|Real Estate|USRT|6|6.ASSET|Real Estate|2326.2|73.97|O| Realty Income Corporation| 3.18%| North America|Real Estate|Real Estate|Real Estate|USRT|6|7.ASSET|Real Estate|2326.2|71.18|WELL| Welltower, Inc.| 3.06%| North America|Real Estate|Real Estate|Real Estate|USRT|6|8.ASSET|Real Estate|2326.2|64.9|AVB| AvalonBay Communities, Inc.| 2.79%| North America|Real Estate|Real Estate|Real Estate|USRT|6|9.ASSET|Real Estate|2326.2|61.18|EQR| Equity Residential| 2.63%| North America|Real Estate|Real Estate|Real Estate|USRT|6|10.ASSET|Real Estate|2326.2|57.46|ARE| Alexandria Real Estate Equities, Inc.| 2.47%| North America|Real Estate|Real Estate|Real Estate|USRT|6|11.ASSET|Real Estate|2326.2|49.78|EXR| Extra Space Storage Inc.| 2.14%| North America|Real Estate|Real Estate|Real Estate|USRT|6|12.ASSET|Real Estate|2326.2|46.76|MAA| Mid-America Apartment Communities, Inc.| 2.01%| North America|Real Estate|Real Estate|Real Estate|USRT|6|13.ASSET|Real Estate|2326.2|44.43|INVH| Invitation Homes, Inc.| 1.91%| North America|Real Estate|Real Estate|Real Estate|USRT|6|14.ASSET|Real Estate|2326.2|42.34|VTR| Ventas, Inc.| 1.82%| North America|Real Estate|Real Estate|Real Estate|USRT|6|15.ASSET|Real Estate|2326.2|40.71|SUI| Sun Communities, Inc.| 1.75%| North America|Equity|Mid Cap Growth Equities||JHMM|6|1.ASSET|Equity|2534.1|12.16|NUE| Nucor Corporation| 0.48%| North America|Equity|Mid Cap Growth Equities||JHMM|6|2.ASSET|Equity|2534.1|11.4|ON| ON Semiconductor Corporation| 0.45%| North America|Equity|Mid Cap Growth Equities||JHMM|6|3.ASSET|Equity|2534.1|11.15|OXY| Occidental Petroleum Corporation| 0.44%| North America|Equity|Mid Cap Growth Equities||JHMM|6|4.ASSET|Equity|2534.1|11.15|PH| Parker-Hannifin Corporation| 0.44%| North America|Equity|Mid Cap Growth Equities||JHMM|6|5.ASSET|Equity|2534.1|11.15|MOH| Molina Healthcare, Inc.| 0.44%| North America|Equity|Mid Cap Growth Equities||JHMM|6|6.ASSET|Equity|2534.1|10.9|FITB| Fifth Third Bancorp| 0.43%| North America|Equity|Mid Cap Growth Equities||JHMM|6|7.ASSET|Equity|2534.1|10.39|LH| Laboratory Corporation of America Holdings| 0.41%| North America|Equity|Mid Cap Growth Equities||JHMM|6|8.ASSET|Equity|2534.1|10.39|RMD| ResMed Inc.| 0.41%| North America|Equity|Mid Cap Growth Equities||JHMM|6|9.ASSET|Equity|2534.1|10.39|DLTR| Dollar Tree, Inc.| 0.41%| North America|Equity|Mid Cap Growth Equities||JHMM|6|10.ASSET|Equity|2534.1|10.14|AMP| Ameriprise Financial, Inc.| 0.40%| North America|Equity|Mid Cap Growth Equities||JHMM|6|11.ASSET|Equity|2534.1|9.88|MTD| Mettler-Toledo International Inc.| 0.39%| North America|Equity|Mid Cap Growth Equities||JHMM|6|12.ASSET|Equity|2534.1|9.88|URI| United Rentals, Inc.| 0.39%| North America|Equity|Mid Cap Growth Equities||JHMM|6|13.ASSET|Equity|2534.1|9.63|CERN| Cerner Corporation| 0.38%| North America|Equity|Mid Cap Growth Equities||JHMM|6|14.ASSET|Equity|2534.1|9.38|KEYS| Keysight Technologies Inc| 0.37%| North America|Equity|Mid Cap Growth Equities||JHMM|6|15.ASSET|Equity|2534.1|9.38|ROK| Rockwell Automation, Inc.| 0.37%| North America|Bond|National Munis|Municipal Bond|PZA|6|1.ASSET|Bond|2388.3|32|N/A| MUNICIPAL BONDS| 1.34%| North America|Bond|National Munis|Municipal Bond|PZA|6|2.ASSET|Bond|2388.3|24.6|N/A| Chicago Ill Wastewater Transmission Rev 5.0% 01-JAN-2037| 1.03%| North America|Bond|National Munis|Municipal Bond|PZA|6|3.ASSET|Bond|2388.3|23.88|N/A| Los Angeles Cnty Calif Met Transn Auth Sales Taxrev 5.0% 01-JUN-2037| 1.00%| North America|Bond|National Munis|Municipal Bond|PZA|6|4.ASSET|Bond|2388.3|22.45|N/A| Colorado Health Facs Auth Rev 4.0% 15-NOV-2050| 0.94%| North America|Bond|National Munis|Municipal Bond|PZA|6|5.ASSET|Bond|2388.3|17.67|N/A| U.S. Dollar| 0.74%| North America|Bond|National Munis|Municipal Bond|PZA|6|6.ASSET|Bond|2388.3|16.24|N/A| San Diego Calif Uni Sch Dist 4.0% 01-JUL-2050| 0.68%| North America|Bond|National Munis|Municipal Bond|PZA|6|7.ASSET|Bond|2388.3|14.81|N/A| Colorado Health Facs Auth Rev 3.0% 15-NOV-2051| 0.62%| North America|Bond|National Munis|Municipal Bond|PZA|6|8.ASSET|Bond|2388.3|13.85|N/A| Metropolitan Transn Auth N Y Rev 5.0% 15-NOV-2040| 0.58%| North America|Bond|National Munis|Municipal Bond|PZA|6|9.ASSET|Bond|2388.3|13.14|N/A| California St Univ Rev 5.0% 01-NOV-2047| 0.55%| North America|Bond|National Munis|Municipal Bond|PZA|6|10.ASSET|Bond|2388.3|13.14|N/A| Massachusetts St 5.25% 01-JAN-2044| 0.55%| North America|Bond|National Munis|Municipal Bond|PZA|6|11.ASSET|Bond|2388.3|12.9|N/A| Los Angeles Cnty Calif Pub Wks Fing Auth Lease Rev 5.0% 01-DEC-2045| 0.54%| North America|Bond|National Munis|Municipal Bond|PZA|6|12.ASSET|Bond|2388.3|12.42|N/A| Ohio St Wtr Dev Auth Wtr Pollutn Ctl Rev 5.0% 01-DEC-2044| 0.52%| North America|Bond|National Munis|Municipal Bond|PZA|6|13.ASSET|Bond|2388.3|12.18|N/A| Pennsylvania Economic Dev Fing Auth Upmc Rev 3.0% 15-OCT-2046| 0.51%| North America|Bond|National Munis|Municipal Bond|PZA|6|14.ASSET|Bond|2388.3|12.18|N/A| Ohio St Univ Gen Rcpts 5.0% 01-DEC-2039| 0.51%| North America|Bond|National Munis|Municipal Bond|PZA|6|15.ASSET|Bond|2388.3|11.94|N/A| Pennsylvania Economic Dev Fing Auth Upmc Rev 4.0% 15-OCT-2051| 0.50%| North America|Equity|Technology Equities|Technology|HACK|6|1.ASSET|Equity|2086.8|87.85|VALT| ETFMG Sit Ultra Short ETF| 4.21%| North America|Equity|Technology Equities|Technology|HACK|6|2.ASSET|Equity|2086.8|63.86|CSCO| Cisco Systems, Inc.| 3.06%| North America|Equity|Technology Equities|Technology|HACK|6|3.ASSET|Equity|2086.8|60.73|CHKP| Check Point Software Technologies Ltd.| 2.91%| North America|Equity|Technology Equities|Technology|HACK|6|4.ASSET|Equity|2086.8|60.31|PANW| Palo Alto Networks, Inc.| 2.89%| North America|Equity|Technology Equities|Technology|HACK|6|5.ASSET|Equity|2086.8|55.3|NLOK| NortonLifeLock Inc.| 2.65%| North America|Equity|Technology Equities|Technology|HACK|6|6.ASSET|Equity|2086.8|55.09|MNDT| Mandiant, Inc.| 2.64%| North America|Equity|Technology Equities|Technology|HACK|6|7.ASSET|Equity|2086.8|53.84|FTNT| Fortinet, Inc.| 2.58%| North America|Equity|Technology Equities|Technology|HACK|6|8.ASSET|Equity|2086.8|51.75|TENB| Tenable Holdings, Inc.| 2.48%| North America|Equity|Technology Equities|Technology|HACK|6|9.ASSET|Equity|2086.8|49.04|JNPR| Juniper Networks, Inc.| 2.35%| North America|Equity|Technology Equities|Technology|HACK|6|10.ASSET|Equity|2086.8|48|CACI| CACI International Inc Class A| 2.30%| North America|Equity|Technology Equities|Technology|HACK|6|11.ASSET|Equity|2086.8|47.58|SPLK| Splunk Inc.| 2.28%| North America|Equity|Technology Equities|Technology|HACK|6|12.ASSET|Equity|2086.8|46.74|DARK| Darktrace PLC| 2.24%| North America|Equity|Technology Equities|Technology|HACK|6|13.ASSET|Equity|2086.8|46.12|AVST| Avast Plc| 2.21%| North America|Equity|Technology Equities|Technology|HACK|6|14.ASSET|Equity|2086.8|45.7|AKAM| Akamai Technologies, Inc.| 2.19%| North America|Equity|Technology Equities|Technology|HACK|6|15.ASSET|Equity|2086.8|45.28|SAIC| Science Applications International Corp.| 2.17%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|1.ASSET|Equity|2254.2|204.01|BHP| BHP Group Ltd| 9.05%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|2.ASSET|Equity|2254.2|148.55|1299| AIA Group Limited| 6.59%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|3.ASSET|Equity|2254.2|142.01|CBA| Commonwealth Bank of Australia| 6.30%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|4.ASSET|Equity|2254.2|107.3|CSL| CSL Limited| 4.76%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|5.ASSET|Equity|2254.2|81.6|NAB| National Australia Bank Limited| 3.62%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|6.ASSET|Equity|2254.2|71.46|WBC| Westpac Banking Corporation| 3.17%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|7.ASSET|Equity|2254.2|67.4|388| Hong Kong Exchanges & Clearing Ltd.| 2.99%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|8.ASSET|Equity|2254.2|63.57|ANZ| Australia and New Zealand Banking Group Limited| 2.82%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|9.ASSET|Equity|2254.2|54.78|MQG| Macquarie Group Limited| 2.43%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|10.ASSET|Equity|2254.2|53.88|D05| DBS Group Holdings Ltd| 2.39%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|11.ASSET|Equity|2254.2|46.89|WES| Wesfarmers Limited| 2.08%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|12.ASSET|Equity|2254.2|38.55|WOW| Woolworths Group Ltd| 1.71%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|13.ASSET|Equity|2254.2|37.65|RIO| Rio Tinto Limited| 1.67%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|14.ASSET|Equity|2254.2|34.71|O39| Oversea-Chinese Banking Corporation Limited| 1.54%| Developed Asia Pacific|Equity|Asia Pacific Equities||EPP|6|15.ASSET|Equity|2254.2|33.14|TCL| Transurban Group Ltd.| 1.47%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|1.ASSET|Bond|2557.4|44.5|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 1.74%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|2.ASSET|Bond|2557.4|41.94|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 1.64%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|3.ASSET|Bond|2557.4|37.08|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 1.45%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|4.ASSET|Bond|2557.4|36.83|N/A| United States Treasury Notes 1.5% 30-NOV-2028| 1.44%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|5.ASSET|Bond|2557.4|35.55|N/A| United States Treasury Notes 0.875% 30-SEP-2026| 1.39%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|6.ASSET|Bond|2557.4|31.46|N/A| United States Treasury Notes 0.375% 31-DEC-2025| 1.23%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|7.ASSET|Bond|2557.4|28.64|N/A| United States Treasury Notes 0.5% 30-NOV-2023| 1.12%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|8.ASSET|Bond|2557.4|27.11|N/A| United States Treasury Notes 1.125% 31-AUG-2028| 1.06%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|9.ASSET|Bond|2557.4|26.85|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 1.05%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|10.ASSET|Bond|2557.4|25.06|N/A| United States Treasury Notes 1.25% 30-NOV-2026| 0.98%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|11.ASSET|Bond|2557.4|25.06|N/A| United States Treasury Notes 2.125% 29-FEB-2024| 0.98%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|12.ASSET|Bond|2557.4|24.81|N/A| United States Treasury Notes 0.25% 15-NOV-2023| 0.97%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|13.ASSET|Bond|2557.4|24.55|N/A| United States Treasury Notes 0.125% 31-JUL-2023| 0.96%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|14.ASSET|Bond|2557.4|23.78|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 0.93%| North America|Bond|Total Bond Market|Total Bond Market|GVI|6|15.ASSET|Bond|2557.4|23.02|N/A| United States Treasury Notes 0.75% 31-DEC-2023| 0.90%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|1.ASSET|Preferred Stock|2294.6|79.16|WFC.PRL| Wells Fargo & Company 7.5 % Non Cum Perp Conv Pfd Registered Shs A Series L| 3.45%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|2.ASSET|Preferred Stock|2294.6|60.58|BAC.PRL| Bank of America Corp 7.25 % Non Cum Perp Conv Pfd Registered Shs Series L| 2.64%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|3.ASSET|Preferred Stock|2294.6|37.86|DHR.PRB| Danaher Corporation 5 % Cum Conv Pfd Registered Shs 2020-15.05.23 Class B| 1.65%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|4.ASSET|Preferred Stock|2294.6|36.25|NEE.PRP| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.03.25 + 1 PC 01.03.23| 1.58%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|5.ASSET|Preferred Stock|2294.6|35.34|C.PRN| Citigroup Capital XIII Tr Pfd Secs 2010-30.10.40 Global Fltg Rt| 1.54%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|6.ASSET|Preferred Stock|2294.6|29.37|NEE.PRQ| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.09.25 + 1 PC 01.09.23| 1.28%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|7.ASSET|Preferred Stock|2294.6|28.91|JPM.PRC| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Perp Red Pfd Registered ShsSeries -EE-| 1.26%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|8.ASSET|Preferred Stock|2294.6|27.31|WFC.PRZ| Wells Fargo & Co Depositary Shs Repr 1/1000th 4.75% Non-Cum Red Perp Pfd Shs A Series Z| 1.19%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|9.ASSET|Preferred Stock|2294.6|25.93|WFC.PRQ| Wells Fargo & Company Deposit Shs Repr 1/1000th 5.85 % Non-Cum Perp Pfd Shs A Series Q| 1.13%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|10.ASSET|Preferred Stock|2294.6|25.93|JPM.PRD| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Pfd Registered Shs Series -DD-| 1.13%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|11.ASSET|Preferred Stock|2294.6|25.7|KKR.PRC| KKR & Co. Inc. 6 % Conv Cum Red Pfd Registered Shs 2020-15.09.23 Series C| 1.12%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|12.ASSET|Preferred Stock|2294.6|25.7|PCGU| PG&E Corporation Corporate Units Cons of 0 US Tr STRIP + 1 PC 16.08.23| 1.12%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|13.ASSET|Preferred Stock|2294.6|25.24|JPM.PRL| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Perp Pfd Rg Shs Series -LL-| 1.10%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|14.ASSET|Preferred Stock|2294.6|25.24|JPM.PRM| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Perp Pfd Rg Shs Series -MM-| 1.10%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFD|6|15.ASSET|Preferred Stock|2294.6|24.32|BDXB| Becton, Dickinson and Company Depositary Shs Repr 1/20th Cum Conv Pfd Rg Shs 2020-01.06.23 Ser B| 1.06%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|1.ASSET|Bond|2749.1|114.36|N/A| CORPORATE BOND| 4.16%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|2.ASSET|Bond|2749.1|69.28|SSIXX| State Street Institutional Liquid Reserves Fund| 2.52%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|3.ASSET|Bond|2749.1|26.39|N/A| International Bank for Reconstruction & Development FRN 13-JAN-2023| 0.96%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|4.ASSET|Bond|2749.1|24.19|N/A| Morgan Stanley FRN 24-JAN-2025| 0.88%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|5.ASSET|Bond|2749.1|23.92|N/A| Bank of America Corporation FRN 24-OCT-2024| 0.87%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|6.ASSET|Bond|2749.1|22.82|N/A| Goldman Sachs Group, Inc. FRN 23-FEB-2023| 0.83%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|7.ASSET|Bond|2749.1|22.82|N/A| Commonwealth Bank of Australia FRN 07-JUL-2025| 0.83%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|8.ASSET|Bond|2749.1|22.27|N/A| Citigroup Inc. FRN 25-APR-2022| 0.81%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|9.ASSET|Bond|2749.1|21.72|N/A| European Investment Bank FRN 21-JAN-2026| 0.79%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|10.ASSET|Bond|2749.1|19.24|N/A| HSBC Holdings Plc FRN 18-MAY-2024| 0.70%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|11.ASSET|Bond|2749.1|19.24|N/A| Morgan Stanley FRN 24-OCT-2023| 0.70%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|12.ASSET|Bond|2749.1|18.14|N/A| NatWest Group Plc FRN 15-MAY-2023| 0.66%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|13.ASSET|Bond|2749.1|18.14|N/A| Bank of America Corporation FRN 24-APR-2023| 0.66%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|14.ASSET|Bond|2749.1|18.14|N/A| European Bank for Reconstruction & Development FRN 19-AUG-2022| 0.66%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLRN|6|15.ASSET|Bond|2749.1|17.59|N/A| Athene Global Funding FRN 24-MAY-2024| 0.64%| North America|Equity|Financials Equities|Financials|IYF|6|1.ASSET|Equity|2383.1|228.54|BRK.B| Berkshire Hathaway Inc. Class B| 9.59%| North America|Equity|Financials Equities|Financials|IYF|6|2.ASSET|Equity|2383.1|166.58|JPM| JPMorgan Chase & Co.| 6.99%| North America|Equity|Financials Equities|Financials|IYF|6|3.ASSET|Equity|2383.1|136.08|BAC| Bank of America Corp| 5.71%| North America|Equity|Financials Equities|Financials|IYF|6|4.ASSET|Equity|2383.1|99.38|WFC| Wells Fargo & Company| 4.17%| North America|Equity|Financials Equities|Financials|IYF|6|5.ASSET|Equity|2383.1|77.69|SPGI| S&P Global, Inc.| 3.26%| North America|Equity|Financials Equities|Financials|IYF|6|6.ASSET|Equity|2383.1|67.44|MS| Morgan Stanley| 2.83%| North America|Equity|Financials Equities|Financials|IYF|6|7.ASSET|Equity|2383.1|67.2|SCHW| Charles Schwab Corporation| 2.82%| North America|Equity|Financials Equities|Financials|IYF|6|8.ASSET|Equity|2383.1|66.73|C| Citigroup Inc.| 2.80%| North America|Equity|Financials Equities|Financials|IYF|6|9.ASSET|Equity|2383.1|61.72|GS| Goldman Sachs Group, Inc.| 2.59%| North America|Equity|Financials Equities|Financials|IYF|6|10.ASSET|Equity|2383.1|58.62|BLK| BlackRock, Inc.| 2.46%| North America|Equity|Financials Equities|Financials|IYF|6|11.ASSET|Equity|2383.1|49.09|CB| Chubb Limited| 2.06%| North America|Equity|Financials Equities|Financials|IYF|6|12.ASSET|Equity|2383.1|48.38|BX| Blackstone Inc.| 2.03%| North America|Equity|Financials Equities|Financials|IYF|6|13.ASSET|Equity|2383.1|48.14|CME| CME Group Inc. Class A| 2.02%| North America|Equity|Financials Equities|Financials|IYF|6|14.ASSET|Equity|2383.1|45.52|PNC| PNC Financial Services Group, Inc.| 1.91%| North America|Equity|Financials Equities|Financials|IYF|6|15.ASSET|Equity|2383.1|44.8|TFC| Truist Financial Corporation| 1.88%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|1.ASSET|Equity|3170.7|182|600519| Kweichow Moutai Co., Ltd. Class A| 5.74%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|2.ASSET|Equity|3170.7|111.93|300750| Contemporary Amperex Technology Co., Ltd. Class A| 3.53%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|3.ASSET|Equity|3170.7|95.44|600036| China Merchants Bank Co., Ltd. Class A| 3.01%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|4.ASSET|Equity|3170.7|85.29|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 2.69%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|5.ASSET|Equity|3170.7|57.07|000858| Wuliangye Yibin Co., Ltd. Class A| 1.80%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|6.ASSET|Equity|3170.7|54.54|601012| LONGi Green Energy Technology Co Ltd Class A| 1.72%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|7.ASSET|Equity|3170.7|51.05|000333| Midea Group Co. Ltd. Class A| 1.61%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|8.ASSET|Equity|3170.7|50.1|601166| Industrial Bank Co., Ltd. Class A| 1.58%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|9.ASSET|Equity|3170.7|42.17|600900| China Yangtze Power Co., Ltd. Class A| 1.33%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|10.ASSET|Equity|3170.7|35.51|300059| East Money Information Co., Ltd Class A| 1.12%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|11.ASSET|Equity|3170.7|35.51|600030| CITIC Securities Co. Ltd. Class A| 1.12%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|12.ASSET|Equity|3170.7|35.19|002594| BYD Company Limited Class A| 1.11%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|13.ASSET|Equity|3170.7|33.29|603259| WuXi AppTec Co., Ltd. Class A| 1.05%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|14.ASSET|Equity|3170.7|32.02|600887| Inner Mongolia Yili Industrial Group Co., Ltd. Class A| 1.01%| Emerging Asia Pacific|Equity|China Equities||ASHR|6|15.ASSET|Equity|3170.7|31.71|002475| Luxshare Precision Industry Co. Ltd. Class A| 1.00%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|1.ASSET|Equity|2766.1|141.35|BHP| BHP Group Ltd| 5.11%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|2.ASSET|Equity|2766.1|127.24|SHEL| Shell PLC| 4.60%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|3.ASSET|Equity|2766.1|115.9|XOM| Exxon Mobil Corporation| 4.19%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|4.ASSET|Equity|2766.1|108.43|NTR| Nutrien Ltd.| 3.92%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|5.ASSET|Equity|2766.1|100.96|CVX| Chevron Corporation| 3.65%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|6.ASSET|Equity|2766.1|91.83|VALE| Vale S.A. Sponsored ADR| 3.32%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|7.ASSET|Equity|2766.1|81.05|FCX| Freeport-McMoRan, Inc.| 2.93%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|8.ASSET|Equity|2766.1|80.77|AAL| Anglo American plc| 2.92%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|9.ASSET|Equity|2766.1|79.66|TTE| TotalEnergies SE| 2.88%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|10.ASSET|Equity|2766.1|75.51|GLEN| Glencore plc| 2.73%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|11.ASSET|Equity|2766.1|61.13|BP| BP p.l.c.| 2.21%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|12.ASSET|Equity|2766.1|58.64|UPM| UPM-Kymmene Oyj| 2.12%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|13.ASSET|Equity|2766.1|54.22|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.96%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|14.ASSET|Equity|2766.1|52.83|ADM| Archer-Daniels-Midland Company| 1.91%| Developed Markets|Equity|Commodity Producers Equities|Materials|GNR|6|15.ASSET|Equity|2766.1|48.41|CTVA| Corteva Inc| 1.75%| North America|Equity|Large Cap Blend Equities||VOOV|6|1.ASSET|Equity|2839.2|86.6|BRK.B| Berkshire Hathaway Inc. Class B| 3.05%| North America|Equity|Large Cap Blend Equities||VOOV|6|2.ASSET|Equity|2839.2|68.42|JNJ| Johnson & Johnson| 2.41%| North America|Equity|Large Cap Blend Equities||VOOV|6|3.ASSET|Equity|2839.2|58.77|PG| Procter & Gamble Company| 2.07%| North America|Equity|Large Cap Blend Equities||VOOV|6|4.ASSET|Equity|2839.2|48.55|XOM| Exxon Mobil Corporation| 1.71%| North America|Equity|Large Cap Blend Equities||VOOV|6|5.ASSET|Equity|2839.2|39.18|DIS| Walt Disney Company| 1.38%| North America|Equity|Large Cap Blend Equities||VOOV|6|6.ASSET|Equity|2839.2|38.9|UNH| UnitedHealth Group Incorporated| 1.37%| North America|Equity|Large Cap Blend Equities||VOOV|6|7.ASSET|Equity|2839.2|38.33|CVX| Chevron Corporation| 1.35%| North America|Equity|Large Cap Blend Equities||VOOV|6|8.ASSET|Equity|2839.2|35.77|KO| Coca-Cola Company| 1.26%| North America|Equity|Large Cap Blend Equities||VOOV|6|9.ASSET|Equity|2839.2|35.77|JPM| JPMorgan Chase & Co.| 1.26%| North America|Equity|Large Cap Blend Equities||VOOV|6|10.ASSET|Equity|2839.2|34.35|CMCSA| Comcast Corporation Class A| 1.21%| North America|Equity|Large Cap Blend Equities||VOOV|6|11.ASSET|Equity|2839.2|33.22|VZ| Verizon Communications Inc.| 1.17%| North America|Equity|Large Cap Blend Equities||VOOV|6|12.ASSET|Equity|2839.2|32.65|V| Visa Inc. Class A| 1.15%| North America|Equity|Large Cap Blend Equities||VOOV|6|13.ASSET|Equity|2839.2|32.37|WFC| Wells Fargo & Company| 1.14%| North America|Equity|Large Cap Blend Equities||VOOV|6|14.ASSET|Equity|2839.2|30.95|MRK| Merck & Co., Inc.| 1.09%| North America|Equity|Large Cap Blend Equities||VOOV|6|15.ASSET|Equity|2839.2|30.1|WMT| Walmart Inc.| 1.06%| North America|Equity|MLPs|Energy|AMJ|6|1.ASSET|Equity|2477.2|249.21|MMP| Magellan Midstream Partners LP| 10.06%| North America|Equity|MLPs|Energy|AMJ|6|2.ASSET|Equity|2477.2|248.22|EPD| Enterprise Products Partners LP| 10.02%| North America|Equity|MLPs|Energy|AMJ|6|3.ASSET|Equity|2477.2|237.56|ETP| Energy Transfer LP| 9.59%| North America|Equity|MLPs|Energy|AMJ|6|4.ASSET|Equity|2477.2|201.15|PAA| Plains All American Pipeline LP| 8.12%| North America|Equity|MLPs|Energy|AMJ|6|5.ASSET|Equity|2477.2|191.24|MPLX| MPLX LP| 7.72%| North America|Equity|MLPs|Energy|AMJ|6|6.ASSET|Equity|2477.2|76.79|ANDX| Andeavor Logistics LP| 3.10%| North America|Equity|MLPs|Energy|AMJ|6|7.ASSET|Equity|2477.2|71.34|DCP| DCP Midstream LP| 2.88%| North America|Equity|MLPs|Energy|AMJ|6|8.ASSET|Equity|2477.2|63.66|TEP| Tallgrass Energy Partners LP| 2.57%| North America|Equity|MLPs|Energy|AMJ|6|9.ASSET|Equity|2477.2|54.25|SEP| Spectra Energy Partners LP| 2.19%| North America|Equity|MLPs|Energy|AMJ|6|10.ASSET|Equity|2477.2|49.3|PSXP| Phillips 66 Partners LP| 1.99%| North America|Equity|MLPs|Energy|AMJ|6|11.ASSET|Equity|2477.2|49.3|AM| Antero Midstream Partners LP| 1.99%| North America|Equity|MLPs|Energy|AMJ|6|12.ASSET|Equity|2477.2|48.8|SHLX| Shell Midstream Partners LP| 1.97%| North America|Equity|MLPs|Energy|AMJ|6|13.ASSET|Equity|2477.2|44.59|GEL| Genesis Energy LP| 1.80%| North America|Equity|MLPs|Energy|AMJ|6|14.ASSET|Equity|2477.2|43.35|EEP| Enbridge Energy Partners LP| 1.75%| North America|Equity|MLPs|Energy|AMJ|6|15.ASSET|Equity|2477.2|39.64|NS| NuStar Energy LP| 1.60%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|1.ASSET|Bond|2262.1|107.9|AGPXX| Short Term Investments Trust Government & Agency Portfolio Institutional| 4.77%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|2.ASSET|Bond|2262.1|31.44|N/A| AbbVie Inc. 2.9% 06-NOV-2022| 1.39%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|3.ASSET|Bond|2262.1|30.99|N/A| JPMorgan Chase & Co. 3.25% 23-SEP-2022| 1.37%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|4.ASSET|Bond|2262.1|30.76|N/A| Morgan Stanley 2.75% 19-MAY-2022| 1.36%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|5.ASSET|Bond|2262.1|30.76|N/A| Charter Communications Operating LLC 4.464% 23-JUL-2022| 1.36%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|6.ASSET|Bond|2262.1|28.95|N/A| AbbVie Inc. 2.3% 21-NOV-2022| 1.28%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|7.ASSET|Bond|2262.1|25.56|N/A| Oracle Corporation 2.5% 15-OCT-2022| 1.13%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|8.ASSET|Bond|2262.1|24.43|N/A| Centene Corporation 4.25% 15-DEC-2027| 1.08%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|9.ASSET|Bond|2262.1|23.75|N/A| Pacific Gas and Electric Company 1.75% 16-JUN-2022| 1.05%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|10.ASSET|Bond|2262.1|23.75|N/A| Oracle Corporation 2.5% 15-MAY-2022| 1.05%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|11.ASSET|Bond|2262.1|23.07|N/A| Mitsubishi UFJ Financial Group, Inc. 2.623% 18-JUL-2022| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|12.ASSET|Bond|2262.1|21.26|N/A| Morgan Stanley 4.875% 01-NOV-2022| 0.94%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|13.ASSET|Bond|2262.1|21.26|N/A| UBS AG (Connecticut Branch) 7.625% 17-AUG-2022| 0.94%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|14.ASSET|Bond|2262.1|21.26|N/A| Visa Inc. 2.8% 14-DEC-2022| 0.94%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCM|6|15.ASSET|Bond|2262.1|21.04|N/A| Mitsubishi UFJ Financial Group, Inc. 2.665% 25-JUL-2022| 0.93%| North America|Bond|National Munis|Municipal Bond|FMB|6|1.ASSET|Bond|2484.2|79.99|N/A| U.S. Dollar| 3.22%| North America|Bond|National Munis|Municipal Bond|FMB|6|2.ASSET|Bond|2484.2|30.56|N/A| MUNICIPAL BONDS| 1.23%| North America|Bond|National Munis|Municipal Bond|FMB|6|3.ASSET|Bond|2484.2|14.41|N/A| Southeast Energy Auth Commodity Supply Rev Ala VAR 01-NOV-2051| 0.58%| North America|Bond|National Munis|Municipal Bond|FMB|6|4.ASSET|Bond|2484.2|14.16|N/A| Michigan St Univ Revs 4.0% 15-FEB-2044| 0.57%| North America|Bond|National Munis|Municipal Bond|FMB|6|5.ASSET|Bond|2484.2|12.92|N/A| Buckeye Ohio Tob Settlement Fing Auth 5.0% 01-JUN-2055| 0.52%| North America|Bond|National Munis|Municipal Bond|FMB|6|6.ASSET|Bond|2484.2|12.17|N/A| Colorado Health Facs Auth Rev 4.0% 01-JAN-2040| 0.49%| North America|Bond|National Munis|Municipal Bond|FMB|6|7.ASSET|Bond|2484.2|12.17|N/A| New York N Y City Transitional Fin Auth Rev 4.0% 01-MAY-2041| 0.49%| North America|Bond|National Munis|Municipal Bond|FMB|6|8.ASSET|Bond|2484.2|11.68|N/A| Kentucky Inc Ky Pub Energy Auth Gas Suplly Rev VAR 01-FEB-2050| 0.47%| North America|Bond|National Munis|Municipal Bond|FMB|6|9.ASSET|Bond|2484.2|11.43|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev 5.0% 01-MAY-2049| 0.46%| North America|Bond|National Munis|Municipal Bond|FMB|6|10.ASSET|Bond|2484.2|10.68|N/A| Black Belt Energy Gas Dist Ala Gas Proj Rev VAR 01-OCT-2052| 0.43%| North America|Bond|National Munis|Municipal Bond|FMB|6|11.ASSET|Bond|2484.2|10.43|N/A| Washington St Health Care Facs Auth Rev 5.0% 01-AUG-2044| 0.42%| North America|Bond|National Munis|Municipal Bond|FMB|6|12.ASSET|Bond|2484.2|10.43|N/A| New York N Y VAR 01-OCT-2046| 0.42%| North America|Bond|National Munis|Municipal Bond|FMB|6|13.ASSET|Bond|2484.2|9.94|N/A| Atlanta Ga Arpt Passenger Fac Charge Rev 4.0% 01-JUL-2038| 0.40%| North America|Bond|National Munis|Municipal Bond|FMB|6|14.ASSET|Bond|2484.2|9.69|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 4.5% 01-JUL-2034| 0.39%| North America|Bond|National Munis|Municipal Bond|FMB|6|15.ASSET|Bond|2484.2|9.69|N/A| California Infrastructure & Economic Dev Bk Lease Rev 5.0% 01-AUG-2044| 0.39%| North America|Equity|Small Cap Growth Equities||SLYG|6|1.ASSET|Equity|2246.8|27.41|OMCL| Omnicell, Inc.| 1.22%| North America|Equity|Small Cap Growth Equities||SLYG|6|2.ASSET|Equity|2246.8|26.29|MTDR| Matador Resources Company| 1.17%| North America|Equity|Small Cap Growth Equities||SLYG|6|3.ASSET|Equity|2246.8|24.27|VG| Vonage Holdings Corp.| 1.08%| North America|Equity|Small Cap Growth Equities||SLYG|6|4.ASSET|Equity|2246.8|24.27|UFPI| UFP Industries, Inc.| 1.08%| North America|Equity|Small Cap Growth Equities||SLYG|6|5.ASSET|Equity|2246.8|24.04|GTLS| Chart Industries, Inc.| 1.07%| North America|Equity|Small Cap Growth Equities||SLYG|6|6.ASSET|Equity|2246.8|24.04|ROG| Rogers Corporation| 1.07%| North America|Equity|Small Cap Growth Equities||SLYG|6|7.ASSET|Equity|2246.8|23.37|AMN| AMN Healthcare Services, Inc.| 1.04%| North America|Equity|Small Cap Growth Equities||SLYG|6|8.ASSET|Equity|2246.8|23.14|EXPO| Exponent, Inc.| 1.03%| North America|Equity|Small Cap Growth Equities||SLYG|6|9.ASSET|Equity|2246.8|21.57|SM| SM Energy Company| 0.96%| North America|Equity|Small Cap Growth Equities||SLYG|6|10.ASSET|Equity|2246.8|21.34|SPSC| SPS Commerce, Inc.| 0.95%| North America|Equity|Small Cap Growth Equities||SLYG|6|11.ASSET|Equity|2246.8|20.9|BCPC| Balchem Corporation| 0.93%| North America|Equity|Small Cap Growth Equities||SLYG|6|12.ASSET|Equity|2246.8|20.9|MATX| Matson, Inc.| 0.93%| North America|Equity|Small Cap Growth Equities||SLYG|6|13.ASSET|Equity|2246.8|20.9|IIPR| Innovative Industrial Properties Inc| 0.93%| North America|Equity|Small Cap Growth Equities||SLYG|6|14.ASSET|Equity|2246.8|19.55|SFBS| ServisFirst Bancshares Inc| 0.87%| North America|Equity|Small Cap Growth Equities||SLYG|6|15.ASSET|Equity|2246.8|19.55|RRC| Range Resources Corporation| 0.87%| North America|Bond|Government Bonds|Treasuries|VGLT|6|1.ASSET|Bond|4257.4|156.67|N/A| United States Treasury Bond 2.375% 15-MAY-2051| 3.68%| North America|Bond|Government Bonds|Treasuries|VGLT|6|2.ASSET|Bond|4257.4|152.41|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 3.58%| North America|Bond|Government Bonds|Treasuries|VGLT|6|3.ASSET|Bond|4257.4|138.37|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 3.25%| North America|Bond|Government Bonds|Treasuries|VGLT|6|4.ASSET|Bond|4257.4|129.85|N/A| United States Treasury Bond 1.75% 15-AUG-2041| 3.05%| North America|Bond|Government Bonds|Treasuries|VGLT|6|5.ASSET|Bond|4257.4|129.85|N/A| United States Treasury Bond 1.875% 15-FEB-2041| 3.05%| North America|Bond|Government Bonds|Treasuries|VGLT|6|6.ASSET|Bond|4257.4|125.17|N/A| United States Treasury Bond 2.25% 15-MAY-2041| 2.94%| North America|Bond|Government Bonds|Treasuries|VGLT|6|7.ASSET|Bond|4257.4|120.48|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 2.83%| North America|Bond|Government Bonds|Treasuries|VGLT|6|8.ASSET|Bond|4257.4|116.23|N/A| United States Treasury Bond 1.625% 15-NOV-2050| 2.73%| North America|Bond|Government Bonds|Treasuries|VGLT|6|9.ASSET|Bond|4257.4|109.84|N/A| United States Treasury Bond 1.375% 15-AUG-2050| 2.58%| North America|Bond|Government Bonds|Treasuries|VGLT|6|10.ASSET|Bond|4257.4|106.86|N/A| United States Treasury Bond 3.375% 15-NOV-2048| 2.51%| North America|Bond|Government Bonds|Treasuries|VGLT|6|11.ASSET|Bond|4257.4|105.16|N/A| United States Treasury Bond 3.0% 15-AUG-2048| 2.47%| North America|Bond|Government Bonds|Treasuries|VGLT|6|12.ASSET|Bond|4257.4|104.31|N/A| United States Treasury Bond 3.0% 15-FEB-2049| 2.45%| North America|Bond|Government Bonds|Treasuries|VGLT|6|13.ASSET|Bond|4257.4|102.6|N/A| United States Treasury Bond 2.875% 15-MAY-2049| 2.41%| North America|Bond|Government Bonds|Treasuries|VGLT|6|14.ASSET|Bond|4257.4|102.18|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 2.40%| North America|Bond|Government Bonds|Treasuries|VGLT|6|15.ASSET|Bond|4257.4|101.33|N/A| United States Treasury Bond 1.375% 15-NOV-2040| 2.38%| North America|Equity|Large Cap Growth Equities||QQQM|6|1.ASSET|Equity|3764.5|467.17|AAPL| Apple Inc.| 12.41%| North America|Equity|Large Cap Growth Equities||QQQM|6|2.ASSET|Equity|3764.5|386.61|MSFT| Microsoft Corporation| 10.27%| North America|Equity|Large Cap Growth Equities||QQQM|6|3.ASSET|Equity|3764.5|267.66|AMZN| Amazon.com, Inc.| 7.11%| North America|Equity|Large Cap Growth Equities||QQQM|6|4.ASSET|Equity|3764.5|151.33|TSLA| Tesla Inc| 4.02%| North America|Equity|Large Cap Growth Equities||QQQM|6|5.ASSET|Equity|3764.5|148.7|GOOG| Alphabet Inc. Class C| 3.95%| North America|Equity|Large Cap Growth Equities||QQQM|6|6.ASSET|Equity|3764.5|144.18|NVDA| NVIDIA Corporation| 3.83%| North America|Equity|Large Cap Growth Equities||QQQM|6|7.ASSET|Equity|3764.5|140.79|GOOGL| Alphabet Inc. Class A| 3.74%| North America|Equity|Large Cap Growth Equities||QQQM|6|8.ASSET|Equity|3764.5|125.73|FB| Meta Platforms Inc. Class A| 3.34%| North America|Equity|Large Cap Growth Equities||QQQM|6|9.ASSET|Equity|3764.5|67.76|AVGO| Broadcom Inc.| 1.80%| North America|Equity|Large Cap Growth Equities||QQQM|6|10.ASSET|Equity|3764.5|67.01|COST| Costco Wholesale Corporation| 1.78%| North America|Equity|Large Cap Growth Equities||QQQM|6|11.ASSET|Equity|3764.5|66.63|CSCO| Cisco Systems, Inc.| 1.77%| North America|Equity|Large Cap Growth Equities||QQQM|6|12.ASSET|Equity|3764.5|65.13|PEP| PepsiCo, Inc.| 1.73%| North America|Equity|Large Cap Growth Equities||QQQM|6|13.ASSET|Equity|3764.5|64.37|ADBE| Adobe Inc.| 1.71%| North America|Equity|Large Cap Growth Equities||QQQM|6|14.ASSET|Equity|3764.5|61.36|CMCSA| Comcast Corporation Class A| 1.63%| North America|Equity|Large Cap Growth Equities||QQQM|6|15.ASSET|Equity|3764.5|54.96|INTC| Intel Corporation| 1.46%| |Commodity|Precious Metals||SGOL|6|1.ASSET|Commodity|2695.3|2695.3|N/A| Gold| 100.00%| North America|Bond|High Yield Bonds|Junk|HYLS|6|1.ASSET|Bond|2037.1|280.71|N/A| FIXED INCOME (UNCLASSFIED)| 13.78%| North America|Bond|High Yield Bonds|Junk|HYLS|6|2.ASSET|Bond|2037.1|50.32|N/A| VRX Escrow Corp. 6.125% 15-APR-2025| 2.47%| North America|Bond|High Yield Bonds|Junk|HYLS|6|3.ASSET|Bond|2037.1|42.58|N/A| Solarwinds Holdings Inc Term Loan 05-Feb-2024| 2.09%| North America|Bond|High Yield Bonds|Junk|HYLS|6|4.ASSET|Bond|2037.1|41.96|N/A| AmWINS Group, Inc. 4.875% 30-JUN-2029| 2.06%| North America|Bond|High Yield Bonds|Junk|HYLS|6|5.ASSET|Bond|2037.1|38.5|N/A| HUB International Ltd. 7.0% 01-MAY-2026| 1.89%| North America|Bond|High Yield Bonds|Junk|HYLS|6|6.ASSET|Bond|2037.1|37.89|N/A| Alliant Holdings Intermediate LLC 6.75% 15-OCT-2027| 1.86%| North America|Bond|High Yield Bonds|Junk|HYLS|6|7.ASSET|Bond|2037.1|35.24|N/A| CSC Holdings, LLC 5.75% 15-JAN-2030| 1.73%| North America|Bond|High Yield Bonds|Junk|HYLS|6|8.ASSET|Bond|2037.1|32.8|N/A| Change Healthcare Holdings LLC 5.75% 01-MAR-2025| 1.61%| North America|Bond|High Yield Bonds|Junk|HYLS|6|9.ASSET|Bond|2037.1|31.78|N/A| AssuredPartners, Inc. 5.625% 15-JAN-2029| 1.56%| North America|Bond|High Yield Bonds|Junk|HYLS|6|10.ASSET|Bond|2037.1|29.74|N/A| MPH Acquisition Holdings LLC 5.75% 01-NOV-2028| 1.46%| North America|Bond|High Yield Bonds|Junk|HYLS|6|11.ASSET|Bond|2037.1|29.33|N/A| Gray Television, Inc. 5.875% 15-JUL-2026| 1.44%| North America|Bond|High Yield Bonds|Junk|HYLS|6|12.ASSET|Bond|2037.1|29.13|N/A| Fertitta Entertainment LLC 6.75% 15-JAN-2030| 1.43%| North America|Bond|High Yield Bonds|Junk|HYLS|6|13.ASSET|Bond|2037.1|28.93|N/A| CORPORATE BOND| 1.42%| North America|Bond|High Yield Bonds|Junk|HYLS|6|14.ASSET|Bond|2037.1|28.52|N/A| Vcvh Holding Corp Term Loan B 27-Aug-2025| 1.40%| North America|Bond|High Yield Bonds|Junk|HYLS|6|15.ASSET|Bond|2037.1|28.52|N/A| Select Medical Corp. 6.25% 15-AUG-2026| 1.40%| North America|Bond|National Munis|Build America|BAB|6|1.ASSET|Bond|2251.7|47.29|N/A| MUNICIPAL BONDS| 2.10%| North America|Bond|National Munis|Build America|BAB|6|2.ASSET|Bond|2251.7|29.27|N/A| California St 7.55% 01-APR-2039| 1.30%| North America|Bond|National Munis|Build America|BAB|6|3.ASSET|Bond|2251.7|26.8|AGPXX| Short Term Investments Trust Government & Agency Portfolio Institutional| 1.19%| North America|Bond|National Munis|Build America|BAB|6|4.ASSET|Bond|2251.7|24.09|N/A| Port Auth N Y & N J 1.086% 01-JUL-2023| 1.07%| North America|Bond|National Munis|Build America|BAB|6|5.ASSET|Bond|2251.7|22.29|N/A| Fort Lauderdale Fla Spl Oblig 0.75% 01-JAN-2024| 0.99%| North America|Bond|National Munis|Build America|BAB|6|6.ASSET|Bond|2251.7|20.72|N/A| California St 7.3% 01-OCT-2039| 0.92%| North America|Bond|National Munis|Build America|BAB|6|7.ASSET|Bond|2251.7|17.34|N/A| American Mun Pwr Ohio Inc Rev 8.084% 15-FEB-2050| 0.77%| North America|Bond|National Munis|Build America|BAB|6|8.ASSET|Bond|2251.7|17.11|N/A| Allegheny Cnty Pa 2.086% 01-NOV-2033| 0.76%| North America|Bond|National Munis|Build America|BAB|6|9.ASSET|Bond|2251.7|16.66|N/A| California St 7.5% 01-APR-2034| 0.74%| North America|Bond|National Munis|Build America|BAB|6|10.ASSET|Bond|2251.7|15.99|N/A| University Calif Revs 3.349% 01-JUL-2029| 0.71%| North America|Bond|National Munis|Build America|BAB|6|11.ASSET|Bond|2251.7|15.54|N/A| University Calif Revs 1.316% 15-MAY-2027| 0.69%| North America|Bond|National Munis|Build America|BAB|6|12.ASSET|Bond|2251.7|15.31|N/A| New York N Y 2.13% 01-AUG-2024| 0.68%| North America|Bond|National Munis|Build America|BAB|6|13.ASSET|Bond|2251.7|15.31|N/A| King Cnty Wash Swr Rev 1.3% 01-JAN-2028| 0.68%| North America|Bond|National Munis|Build America|BAB|6|14.ASSET|Bond|2251.7|14.19|N/A| Dallas Fort Worth Tex Intl Arpt Rev 2.741% 01-NOV-2035| 0.63%| North America|Bond|National Munis|Build America|BAB|6|15.ASSET|Bond|2251.7|14.19|N/A| Missouri Jt Mun Elec Util Commn Pwr Proj Rev 6.89% 01-JAN-2042| 0.63%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|1.ASSET|Equity|2432.9|35.52|TAEE11| Transmissora Alianca De Energia Eletrica S.A. Unit| 1.46%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|2.ASSET|Equity|2432.9|26.52|2347| Synnex Technology International Corp.| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|3.ASSET|Equity|2432.9|25.3|ARI| African Rainbow Minerals Limited| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|4.ASSET|Equity|2432.9|24.09|RBP| Royal Bafokeng Platinum Limited| 0.99%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|5.ASSET|Equity|2432.9|18.73|TRU| Truworths International Limited| 0.77%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|6.ASSET|Equity|2432.9|18.73|008560| MERITZ SECURITIES CO LTD| 0.77%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|7.ASSET|Equity|2432.9|18.49|SPP| Spar Group Limited| 0.76%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|8.ASSET|Equity|2432.9|17.27|2385| Chicony Electronics Co. Ltd.| 0.71%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|9.ASSET|Equity|2432.9|16.54|BBAJIOO| Banco del Bajio SA| 0.68%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|10.ASSET|Equity|2432.9|15.57|2353| Acer Incorporated| 0.64%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|11.ASSET|Equity|2432.9|14.84|TISCO.R| TISCO Financial Group Public Co. Ltd. NVDR| 0.61%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|12.ASSET|Equity|2432.9|14.84|000060| Meritz Fire & Marine Insurance Co., Ltd| 0.61%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|13.ASSET|Equity|2432.9|14.84|6239| Powertech Technology Inc.| 0.61%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|14.ASSET|Equity|2432.9|14.6|AVI| AVI Limited Class Y| 0.60%| Emerging Markets|Equity|Emerging Markets Equities||DGS|6|15.ASSET|Equity|2432.9|14.11|CAP| CAP S.A.| 0.58%| |Bond|Total Bond Market|Total Bond Market|JMST|6|1.ASSET|Bond|3116.1|263.31|N/A| U.S. Dollar| 8.45%| |Bond|Total Bond Market|Total Bond Market|JMST|6|2.ASSET|Bond|3116.1|45.81|N/A| Ridgewood N J 1.5% 25-JAN-2023| 1.47%| |Bond|Total Bond Market|Total Bond Market|JMST|6|3.ASSET|Bond|3116.1|27.42|N/A| St Lucie Cnty Fla Pollutn Ctl Rev VAR 01-SEP-2028| 0.88%| |Bond|Total Bond Market|Total Bond Market|JMST|6|4.ASSET|Bond|3116.1|26.49|N/A| Metropolitan Wash D C Arpts Auth Arpt Sys Rev VAR 01-OCT-2039| 0.85%| |Bond|Total Bond Market|Total Bond Market|JMST|6|5.ASSET|Bond|3116.1|26.49|N/A| New York St Hsg Fin Agy Rev VAR 01-NOV-2046| 0.85%| |Bond|Total Bond Market|Total Bond Market|JMST|6|6.ASSET|Bond|3116.1|23.68|N/A| Texas St VAR 01-JUN-2045| 0.76%| |Bond|Total Bond Market|Total Bond Market|JMST|6|7.ASSET|Bond|3116.1|23.68|N/A| Hampton Rds Va Transn Accountability Commn Rev 5.0% 01-JUL-2026| 0.76%| |Bond|Total Bond Market|Total Bond Market|JMST|6|8.ASSET|Bond|3116.1|21.19|N/A| Lower Neches Valley Auth Tex Indl Dev Corp Rev VAR 01-MAY-2046| 0.68%| |Bond|Total Bond Market|Total Bond Market|JMST|6|9.ASSET|Bond|3116.1|19.94|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev VAR 15-JUN-2051| 0.64%| |Bond|Total Bond Market|Total Bond Market|JMST|6|10.ASSET|Bond|3116.1|19.94|N/A| Florida Hsg Fin Corp Multifamily Rev VAR 01-MAR-2023| 0.64%| |Bond|Total Bond Market|Total Bond Market|JMST|6|11.ASSET|Bond|3116.1|19.63|N/A| Dallas Tex Hsg Fin Corp Multi- Family Hsg Rev VAR 01-APR-2023| 0.63%| |Bond|Total Bond Market|Total Bond Market|JMST|6|12.ASSET|Bond|3116.1|19.32|N/A| Paramus N J 1.5% 14-OCT-2022| 0.62%| |Bond|Total Bond Market|Total Bond Market|JMST|6|13.ASSET|Bond|3116.1|18.7|N/A| Pennsylvania St Tpk Commn Tpk Rev VAR 01-DEC-2038| 0.60%| |Bond|Total Bond Market|Total Bond Market|JMST|6|14.ASSET|Bond|3116.1|18.7|N/A| Jea Fla Wtr & Swr Sys Rev VAR 01-OCT-2038| 0.60%| |Bond|Total Bond Market|Total Bond Market|JMST|6|15.ASSET|Bond|3116.1|18.07|N/A| Missouri St Health & Edl Facs Auth Health Facs Rev VAR 15-MAY-2038| 0.58%| North America|Equity|Large Cap Growth Equities||XLG|6|1.ASSET|Equity|2330.7|301.59|AAPL| Apple Inc.| 12.94%| North America|Equity|Large Cap Growth Equities||XLG|6|2.ASSET|Equity|2330.7|261.74|MSFT| Microsoft Corporation| 11.23%| North America|Equity|Large Cap Growth Equities||XLG|6|3.ASSET|Equity|2330.7|154.06|AMZN| Amazon.com, Inc.| 6.61%| North America|Equity|Large Cap Growth Equities||XLG|6|4.ASSET|Equity|2330.7|94.16|GOOGL| Alphabet Inc. Class A| 4.04%| North America|Equity|Large Cap Growth Equities||XLG|6|5.ASSET|Equity|2330.7|87.4|GOOG| Alphabet Inc. Class C| 3.75%| North America|Equity|Large Cap Growth Equities||XLG|6|6.ASSET|Equity|2330.7|83.21|TSLA| Tesla Inc| 3.57%| North America|Equity|Large Cap Growth Equities||XLG|6|7.ASSET|Equity|2330.7|70.39|NVDA| NVIDIA Corporation| 3.02%| North America|Equity|Large Cap Growth Equities||XLG|6|8.ASSET|Equity|2330.7|68.76|BRK.B| Berkshire Hathaway Inc. Class B| 2.95%| North America|Equity|Large Cap Growth Equities||XLG|6|9.ASSET|Equity|2330.7|57.1|FB| Meta Platforms Inc. Class A| 2.45%| North America|Equity|Large Cap Growth Equities||XLG|6|10.ASSET|Equity|2330.7|53.14|UNH| UnitedHealth Group Incorporated| 2.28%| North America|Equity|Large Cap Growth Equities||XLG|6|11.ASSET|Equity|2330.7|50.81|JNJ| Johnson & Johnson| 2.18%| North America|Equity|Large Cap Growth Equities||XLG|6|12.ASSET|Equity|2330.7|47.78|JPM| JPMorgan Chase & Co.| 2.05%| North America|Equity|Large Cap Growth Equities||XLG|6|13.ASSET|Equity|2330.7|43.12|PG| Procter & Gamble Company| 1.85%| North America|Equity|Large Cap Growth Equities||XLG|6|14.ASSET|Equity|2330.7|40.55|V| Visa Inc. Class A| 1.74%| North America|Equity|Large Cap Growth Equities||XLG|6|15.ASSET|Equity|2330.7|40.09|HD| Home Depot, Inc.| 1.72%| North America|Equity|Large Cap Growth Equities||PBUS|6|1.ASSET|Equity|2414.8|167.1|AAPL| Apple Inc.| 6.92%| North America|Equity|Large Cap Growth Equities||PBUS|6|2.ASSET|Equity|2414.8|131.37|MSFT| Microsoft Corporation| 5.44%| North America|Equity|Large Cap Growth Equities||PBUS|6|3.ASSET|Equity|2414.8|86.21|AMZN| Amazon.com, Inc.| 3.57%| North America|Equity|Large Cap Growth Equities||PBUS|6|4.ASSET|Equity|2414.8|50.23|GOOGL| Alphabet Inc. Class A| 2.08%| North America|Equity|Large Cap Growth Equities||PBUS|6|5.ASSET|Equity|2414.8|47.81|GOOG| Alphabet Inc. Class C| 1.98%| North America|Equity|Large Cap Growth Equities||PBUS|6|6.ASSET|Equity|2414.8|46.12|TSLA| Tesla Inc| 1.91%| North America|Equity|Large Cap Growth Equities||PBUS|6|7.ASSET|Equity|2414.8|36.7|NVDA| NVIDIA Corporation| 1.52%| North America|Equity|Large Cap Growth Equities||PBUS|6|8.ASSET|Equity|2414.8|29.94|FB| Meta Platforms Inc. Class A| 1.24%| North America|Equity|Large Cap Growth Equities||PBUS|6|9.ASSET|Equity|2414.8|28.01|UNH| UnitedHealth Group Incorporated| 1.16%| North America|Equity|Large Cap Growth Equities||PBUS|6|10.ASSET|Equity|2414.8|27.05|JNJ| Johnson & Johnson| 1.12%| North America|Equity|Large Cap Growth Equities||PBUS|6|11.ASSET|Equity|2414.8|25.84|BRK.B| Berkshire Hathaway Inc. Class B| 1.07%| North America|Equity|Large Cap Growth Equities||PBUS|6|12.ASSET|Equity|2414.8|25.11|JPM| JPMorgan Chase & Co.| 1.04%| North America|Equity|Large Cap Growth Equities||PBUS|6|13.ASSET|Equity|2414.8|23.18|PG| Procter & Gamble Company| 0.96%| North America|Equity|Large Cap Growth Equities||PBUS|6|14.ASSET|Equity|2414.8|21.73|V| Visa Inc. Class A| 0.90%| North America|Equity|Large Cap Growth Equities||PBUS|6|15.ASSET|Equity|2414.8|21.01|XOM| Exxon Mobil Corporation| 0.87%| North America|Equity|Large Cap Growth Equities||ILCG|6|1.ASSET|Equity|1920.1|225.04|MSFT| Microsoft Corporation| 11.72%| North America|Equity|Large Cap Growth Equities||ILCG|6|2.ASSET|Equity|1920.1|155.72|AAPL| Apple Inc.| 8.11%| North America|Equity|Large Cap Growth Equities||ILCG|6|3.ASSET|Equity|1920.1|134.41|AMZN| Amazon.com, Inc.| 7.00%| North America|Equity|Large Cap Growth Equities||ILCG|6|4.ASSET|Equity|1920.1|81.41|GOOGL| Alphabet Inc. Class A| 4.24%| North America|Equity|Large Cap Growth Equities||ILCG|6|5.ASSET|Equity|1920.1|75.65|GOOG| Alphabet Inc. Class C| 3.94%| North America|Equity|Large Cap Growth Equities||ILCG|6|6.ASSET|Equity|1920.1|71.04|TSLA| Tesla Inc| 3.70%| North America|Equity|Large Cap Growth Equities||ILCG|6|7.ASSET|Equity|1920.1|61.06|NVDA| NVIDIA Corporation| 3.18%| North America|Equity|Large Cap Growth Equities||ILCG|6|8.ASSET|Equity|1920.1|32.64|FB| Meta Platforms Inc. Class A| 1.70%| North America|Equity|Large Cap Growth Equities||ILCG|6|9.ASSET|Equity|1920.1|31.3|MA| Mastercard Incorporated Class A| 1.63%| North America|Equity|Large Cap Growth Equities||ILCG|6|10.ASSET|Equity|1920.1|27.07|DIS| Walt Disney Company| 1.41%| North America|Equity|Large Cap Growth Equities||ILCG|6|11.ASSET|Equity|1920.1|22.47|BRK.B| Berkshire Hathaway Inc. Class B| 1.17%| North America|Equity|Large Cap Growth Equities||ILCG|6|12.ASSET|Equity|1920.1|22.27|ADBE| Adobe Inc.| 1.16%| North America|Equity|Large Cap Growth Equities||ILCG|6|13.ASSET|Equity|1920.1|20.93|V| Visa Inc. Class A| 1.09%| North America|Equity|Large Cap Growth Equities||ILCG|6|14.ASSET|Equity|1920.1|20.74|CRM| salesforce.com, inc.| 1.08%| North America|Equity|Large Cap Growth Equities||ILCG|6|15.ASSET|Equity|1920.1|20.16|AMD| Advanced Micro Devices, Inc.| 1.05%| North America|Equity|Large Cap Growth Equities||SCHK|6|1.ASSET|Equity|2243.8|139.56|AAPL| Apple Inc.| 6.22%| North America|Equity|Large Cap Growth Equities||SCHK|6|2.ASSET|Equity|2243.8|121.39|MSFT| Microsoft Corporation| 5.41%| North America|Equity|Large Cap Growth Equities||SCHK|6|3.ASSET|Equity|2243.8|72.25|AMZN| Amazon.com, Inc.| 3.22%| North America|Equity|Large Cap Growth Equities||SCHK|6|4.ASSET|Equity|2243.8|44.2|GOOGL| Alphabet Inc. Class A| 1.97%| North America|Equity|Large Cap Growth Equities||SCHK|6|5.ASSET|Equity|2243.8|41.06|GOOG| Alphabet Inc. Class C| 1.83%| North America|Equity|Large Cap Growth Equities||SCHK|6|6.ASSET|Equity|2243.8|38.59|TSLA| Tesla Inc| 1.72%| North America|Equity|Large Cap Growth Equities||SCHK|6|7.ASSET|Equity|2243.8|32.31|NVDA| NVIDIA Corporation| 1.44%| North America|Equity|Large Cap Growth Equities||SCHK|6|8.ASSET|Equity|2243.8|31.86|BRK.B| Berkshire Hathaway Inc. Class B| 1.42%| North America|Equity|Large Cap Growth Equities||SCHK|6|9.ASSET|Equity|2243.8|26.48|FB| Meta Platforms Inc. Class A| 1.18%| North America|Equity|Large Cap Growth Equities||SCHK|6|10.ASSET|Equity|2243.8|24.68|UNH| UnitedHealth Group Incorporated| 1.10%| North America|Equity|Large Cap Growth Equities||SCHK|6|11.ASSET|Equity|2243.8|23.78|JNJ| Johnson & Johnson| 1.06%| North America|Equity|Large Cap Growth Equities||SCHK|6|12.ASSET|Equity|2243.8|22.21|JPM| JPMorgan Chase & Co.| 0.99%| North America|Equity|Large Cap Growth Equities||SCHK|6|13.ASSET|Equity|2243.8|20.42|PG| Procter & Gamble Company| 0.91%| North America|Equity|Large Cap Growth Equities||SCHK|6|14.ASSET|Equity|2243.8|19.3|V| Visa Inc. Class A| 0.86%| North America|Equity|Large Cap Growth Equities||SCHK|6|15.ASSET|Equity|2243.8|18.62|HD| Home Depot, Inc.| 0.83%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|1.ASSET|Bond|2278.6|36.91|N/A| Apple Inc. 2.4% 03-MAY-2023| 1.62%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|2.ASSET|Bond|2278.6|36.91|N/A| Apple Inc. 2.4% 03-MAY-2023| 1.62%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|3.ASSET|Bond|2278.6|28.71|N/A| Bank of America Corporation 3.3% 11-JAN-2023| 1.26%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|4.ASSET|Bond|2278.6|28.71|N/A| Bank of America Corporation 3.3% 11-JAN-2023| 1.26%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|5.ASSET|Bond|2278.6|21.19|N/A| CORPORATE BOND| 0.93%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|6.ASSET|Bond|2278.6|21.19|N/A| CORPORATE BOND| 0.93%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|7.ASSET|Bond|2278.6|20.74|N/A| Boeing Company 4.508% 01-MAY-2023| 0.91%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|8.ASSET|Bond|2278.6|20.74|N/A| Boeing Company 4.508% 01-MAY-2023| 0.91%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|9.ASSET|Bond|2278.6|18.68|N/A| JPMorgan Chase & Co. 3.2% 25-JAN-2023| 0.82%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|10.ASSET|Bond|2278.6|18.68|N/A| JPMorgan Chase & Co. 3.2% 25-JAN-2023| 0.82%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|11.ASSET|Bond|2278.6|18.46|N/A| Exxon Mobil Corporation 1.571% 15-APR-2023| 0.81%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|12.ASSET|Bond|2278.6|18.46|N/A| Exxon Mobil Corporation 1.571% 15-APR-2023| 0.81%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|13.ASSET|Bond|2278.6|18|N/A| NatWest Group Plc 3.875% 12-SEP-2023| 0.79%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|14.ASSET|Bond|2278.6|18|N/A| NatWest Group Plc 3.875% 12-SEP-2023| 0.79%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCN|6|15.ASSET|Bond|2278.6|17.32|N/A| Oracle Corporation 2.4% 15-SEP-2023| 0.76%| North America|Equity|Leveraged Equities||FNGU|6|1.ASSET|Equity|1099.1|141.56|TWTR| Twitter Inc| 12.88%| North America|Equity|Leveraged Equities||FNGU|6|2.ASSET|Equity|1099.1|133.76|TSLA| Tesla Inc| 12.17%| North America|Equity|Leveraged Equities||FNGU|6|3.ASSET|Equity|1099.1|109.8|AAPL| Apple Inc| 9.99%| North America|Equity|Leveraged Equities||FNGU|6|4.ASSET|Equity|1099.1|107.93|FB| Facebook Inc| 9.82%| North America|Equity|Leveraged Equities||FNGU|6|5.ASSET|Equity|1099.1|107.05|GOOGL| Alphabet Inc| 9.74%| North America|Equity|Leveraged Equities||FNGU|6|6.ASSET|Equity|1099.1|104.96|BABA| Alibaba Group Holding Ltd| 9.55%| North America|Equity|Leveraged Equities||FNGU|6|7.ASSET|Equity|1099.1|100.9|NFLX| Netflix Inc| 9.18%| North America|Equity|Leveraged Equities||FNGU|6|8.ASSET|Equity|1099.1|100.57|AMZN| Amazon.com Inc| 9.15%| North America|Equity|Leveraged Equities||FNGU|6|9.ASSET|Equity|1099.1|98.59|BIDU| Baidu Inc| 8.97%| North America|Equity|Leveraged Equities||FNGU|6|10.ASSET|Equity|1099.1|93.97|NVDA| NVIDIA Corp| 8.55%| North America|Equity|MLPs|Energy|EMLP|6|1.ASSET|Equity|2304.2|154.84|EPD| Enterprise Products Partners L.P.| 6.72%| North America|Equity|MLPs|Energy|EMLP|6|2.ASSET|Equity|2304.2|140.56|MMP| Magellan Midstream Partners, L.P.| 6.10%| North America|Equity|MLPs|Energy|EMLP|6|3.ASSET|Equity|2304.2|121.2|TRP| TC Energy Corporation| 5.26%| North America|Equity|MLPs|Energy|EMLP|6|4.ASSET|Equity|2304.2|118.67|NEP| NextEra Energy Partners LP| 5.15%| North America|Equity|MLPs|Energy|EMLP|6|5.ASSET|Equity|2304.2|104.15|SRE| Sempra Energy| 4.52%| North America|Equity|MLPs|Energy|EMLP|6|6.ASSET|Equity|2304.2|82.03|LNG| Cheniere Energy, Inc.| 3.56%| North America|Equity|MLPs|Energy|EMLP|6|7.ASSET|Equity|2304.2|81.57|ET| Energy Transfer, L.P.| 3.54%| North America|Equity|MLPs|Energy|EMLP|6|8.ASSET|Equity|2304.2|75.12|PWR| Quanta Services, Inc.| 3.26%| North America|Equity|MLPs|Energy|EMLP|6|9.ASSET|Equity|2304.2|75.12|PEG| Public Service Enterprise Group Inc| 3.26%| North America|Equity|MLPs|Energy|EMLP|6|10.ASSET|Equity|2304.2|74.2|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 3.22%| North America|Equity|MLPs|Energy|EMLP|6|11.ASSET|Equity|2304.2|71.43|PAGP| Plains GP Holdings LP Class A| 3.10%| North America|Equity|MLPs|Energy|EMLP|6|12.ASSET|Equity|2304.2|60.14|CNP| CenterPoint Energy, Inc.| 2.61%| North America|Equity|MLPs|Energy|EMLP|6|13.ASSET|Equity|2304.2|59.22|NEE| NextEra Energy, Inc.| 2.57%| North America|Equity|MLPs|Energy|EMLP|6|14.ASSET|Equity|2304.2|58.99|ALA| AltaGas Ltd.| 2.56%| North America|Equity|MLPs|Energy|EMLP|6|15.ASSET|Equity|2304.2|58.3|AEP| American Electric Power Company, Inc.| 2.53%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|1.ASSET|Equity|1953.2|72.46|NESN| Nestle S.A.| 3.71%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|2.ASSET|Equity|1953.2|52.74|ROG| Roche Holding Ltd| 2.70%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|3.ASSET|Equity|1953.2|51.96|ASML| ASML Holding NV| 2.66%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|4.ASSET|Equity|1953.2|41.99|NOVN| Novartis AG| 2.15%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|5.ASSET|Equity|1953.2|39.45|SHEL| Shell PLC| 2.02%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|6.ASSET|Equity|1953.2|37.5|AZN| AstraZeneca PLC| 1.92%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|7.ASSET|Equity|1953.2|36.52|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.87%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|8.ASSET|Equity|1953.2|33.79|NOVO.B| Novo Nordisk A/S Class B| 1.73%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|9.ASSET|Equity|1953.2|26.95|HSBA| HSBC Holdings Plc| 1.38%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|10.ASSET|Equity|1953.2|25.39|ULVR| Unilever PLC| 1.30%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|11.ASSET|Equity|1953.2|24.22|TTE| TotalEnergies SE| 1.24%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|12.ASSET|Equity|1953.2|23.63|SAP| SAP SE| 1.21%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|13.ASSET|Equity|1953.2|23.05|SAN| Sanofi| 1.18%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|14.ASSET|Equity|1953.2|22.27|DGE| Diageo plc| 1.14%| Developed Europe|Equity|Europe Equities|Consumer Staples|IEV|6|15.ASSET|Equity|1953.2|20.9|SIE| Siemens AG| 1.07%| North America|Equity|Large Cap Growth Equities||USMC|6|1.ASSET|Equity|1549.5|104.13|AAPL| Apple Inc.| 6.72%| North America|Equity|Large Cap Growth Equities||USMC|6|2.ASSET|Equity|1549.5|59.35|KO| Coca-Cola Company| 3.83%| North America|Equity|Large Cap Growth Equities||USMC|6|3.ASSET|Equity|1549.5|58.26|BRK.B| Berkshire Hathaway Inc. Class B| 3.76%| North America|Equity|Large Cap Growth Equities||USMC|6|4.ASSET|Equity|1549.5|55.01|PG| Procter & Gamble Company| 3.55%| North America|Equity|Large Cap Growth Equities||USMC|6|5.ASSET|Equity|1549.5|54.08|PEP| PepsiCo, Inc.| 3.49%| North America|Equity|Large Cap Growth Equities||USMC|6|6.ASSET|Equity|1549.5|50.98|JNJ| Johnson & Johnson| 3.29%| North America|Equity|Large Cap Growth Equities||USMC|6|7.ASSET|Equity|1549.5|49.74|VZ| Verizon Communications Inc.| 3.21%| North America|Equity|Large Cap Growth Equities||USMC|6|8.ASSET|Equity|1549.5|48.96|WMT| Walmart Inc.| 3.16%| North America|Equity|Large Cap Growth Equities||USMC|6|9.ASSET|Equity|1549.5|47.72|ABBV| AbbVie, Inc.| 3.08%| North America|Equity|Large Cap Growth Equities||USMC|6|10.ASSET|Equity|1549.5|43.7|T| AT&T Inc.| 2.82%| North America|Equity|Large Cap Growth Equities||USMC|6|11.ASSET|Equity|1549.5|42.46|UNH| UnitedHealth Group Incorporated| 2.74%| North America|Equity|Large Cap Growth Equities||USMC|6|12.ASSET|Equity|1549.5|40.91|AVGO| Broadcom Inc.| 2.64%| North America|Equity|Large Cap Growth Equities||USMC|6|13.ASSET|Equity|1549.5|40.6|COST| Costco Wholesale Corporation| 2.62%| North America|Equity|Large Cap Growth Equities||USMC|6|14.ASSET|Equity|1549.5|37.65|LLY| Eli Lilly and Company| 2.43%| North America|Equity|Large Cap Growth Equities||USMC|6|15.ASSET|Equity|1549.5|36.41|MSFT| Microsoft Corporation| 2.35%| Developed Markets|Equity|All Cap Equities||KOMP|6|1.ASSET|Equity|1842|19.89|TDY| Teledyne Technologies Incorporated| 1.08%| Developed Markets|Equity|All Cap Equities||KOMP|6|2.ASSET|Equity|1842|19.53|ESLT| Elbit Systems Ltd| 1.06%| Developed Markets|Equity|All Cap Equities||KOMP|6|3.ASSET|Equity|1842|17.87|BRKR| Bruker Corporation| 0.97%| Developed Markets|Equity|All Cap Equities||KOMP|6|4.ASSET|Equity|1842|17.68|VG| Vonage Holdings Corp.| 0.96%| Developed Markets|Equity|All Cap Equities||KOMP|6|5.ASSET|Equity|1842|15.84|TM| Toyota Motor Corp Sponsored ADR| 0.86%| Developed Markets|Equity|All Cap Equities||KOMP|6|6.ASSET|Equity|1842|15.66|LMT| Lockheed Martin Corporation| 0.85%| Developed Markets|Equity|All Cap Equities||KOMP|6|7.ASSET|Equity|1842|15.47|LDOS| Leidos Holdings, Inc.| 0.84%| Developed Markets|Equity|All Cap Equities||KOMP|6|8.ASSET|Equity|1842|15.29|VC| Visteon Corporation| 0.83%| Developed Markets|Equity|All Cap Equities||KOMP|6|9.ASSET|Equity|1842|14.92|ABB| ABB Ltd. Sponsored ADR| 0.81%| Developed Markets|Equity|All Cap Equities||KOMP|6|10.ASSET|Equity|1842|14.74|PTC| PTC Inc.| 0.80%| Developed Markets|Equity|All Cap Equities||KOMP|6|11.ASSET|Equity|1842|14.55|CSCO| Cisco Systems, Inc.| 0.79%| Developed Markets|Equity|All Cap Equities||KOMP|6|12.ASSET|Equity|1842|13.82|IRTC| iRhythm Technologies, Inc.| 0.75%| Developed Markets|Equity|All Cap Equities||KOMP|6|13.ASSET|Equity|1842|13.63|MSFT| Microsoft Corporation| 0.74%| Developed Markets|Equity|All Cap Equities||KOMP|6|14.ASSET|Equity|1842|13.45|BOX| Box, Inc. Class A| 0.73%| Developed Markets|Equity|All Cap Equities||KOMP|6|15.ASSET|Equity|1842|12.53|F| Ford Motor Company| 0.68%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|1.ASSET|Bond|2441.5|199.71|FIGXX| Fidelity Institutional Cash Portfolios Fund Money Market Government Fund I| 8.18%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|2.ASSET|Bond|2441.5|113.53|N/A| United States Treasury Notes 0.75% 30-APR-2026| 4.65%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|3.ASSET|Bond|2441.5|92.53|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 3.79%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|4.ASSET|Bond|2441.5|73.25|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 3.00%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|5.ASSET|Bond|2441.5|72.02|N/A| United States Treasury Notes 1.25% 31-MAY-2028| 2.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|6.ASSET|Bond|2441.5|69.83|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|7.ASSET|Bond|2441.5|68.61|N/A| United States Treasury Notes 0.375% 15-AUG-2024| 2.81%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|8.ASSET|Bond|2441.5|42.48|N/A| FIXED INCOME (UNCLASSFIED)| 1.74%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|9.ASSET|Bond|2441.5|41.02|N/A| United States Treasury Notes 1.125% 31-AUG-2028| 1.68%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|10.ASSET|Bond|2441.5|40.04|N/A| United States Treasury Bond 2.875% 15-MAY-2049| 1.64%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|11.ASSET|Bond|2441.5|36.13|N/A| U.S. Dollar| 1.48%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|12.ASSET|Bond|2441.5|32.23|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 1.32%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|13.ASSET|Bond|2441.5|31.25|N/A| United States Treasury Notes 0.75% 31-MAR-2026| 1.28%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|14.ASSET|Bond|2441.5|23.19|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 0.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FBND|6|15.ASSET|Bond|2441.5|20.75|N/A| United States Treasury Bond 3.0% 15-FEB-2047| 0.85%| |Commodity|Commodities||FTGC|6|1.ASSET|Commodity|3555.5|5.69|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 0.16%| Developed Europe|Equity|Europe Equities||HEDJ|6|1.ASSET|Equity|1926.5|96.9|LIN| Linde plc| 5.03%| Developed Europe|Equity|Europe Equities||HEDJ|6|2.ASSET|Equity|1926.5|82.65|ASML| ASML Holding NV| 4.29%| Developed Europe|Equity|Europe Equities||HEDJ|6|3.ASSET|Equity|1926.5|80.53|SAN| Sanofi| 4.18%| Developed Europe|Equity|Europe Equities||HEDJ|6|4.ASSET|Equity|1926.5|71.28|BBVA| Banco Bilbao Vizcaya Argentaria, S.A.| 3.70%| Developed Europe|Equity|Europe Equities||HEDJ|6|5.ASSET|Equity|1926.5|69.74|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.62%| Developed Europe|Equity|Europe Equities||HEDJ|6|6.ASSET|Equity|1926.5|65.5|OR| L\'Oreal SA| 3.40%| Developed Europe|Equity|Europe Equities||HEDJ|6|7.ASSET|Equity|1926.5|62.03|DTE| Deutsche Telekom AG| 3.22%| Developed Europe|Equity|Europe Equities||HEDJ|6|8.ASSET|Equity|1926.5|57.6|BAS| BASF SE| 2.99%| Developed Europe|Equity|Europe Equities||HEDJ|6|9.ASSET|Equity|1926.5|55.29|SIE| Siemens AG| 2.87%| Developed Europe|Equity|Europe Equities||HEDJ|6|10.ASSET|Equity|1926.5|52.21|ABI| Anheuser-Busch InBev SA/NV| 2.71%| Developed Europe|Equity|Europe Equities||HEDJ|6|11.ASSET|Equity|1926.5|48.16|AD| Koninklijke Ahold Delhaize N.V.| 2.50%| Developed Europe|Equity|Europe Equities||HEDJ|6|12.ASSET|Equity|1926.5|47.2|SU| Schneider Electric SE| 2.45%| Developed Europe|Equity|Europe Equities||HEDJ|6|13.ASSET|Equity|1926.5|45.85|AI| Air Liquide SA| 2.38%| Developed Europe|Equity|Europe Equities||HEDJ|6|14.ASSET|Equity|1926.5|45.27|BAYN| Bayer AG| 2.35%| Developed Europe|Equity|Europe Equities||HEDJ|6|15.ASSET|Equity|1926.5|42.38|CRG| CRH Plc| 2.20%| North America|Equity|Large Cap Growth Equities||FPX|6|1.ASSET|Equity|1439.2|129.53|MRVL| Marvell Technology, Inc.| 9.00%| North America|Equity|Large Cap Growth Equities||FPX|6|2.ASSET|Equity|1439.2|64.91|ABNB| Airbnb, Inc. Class A| 4.51%| North America|Equity|Large Cap Growth Equities||FPX|6|3.ASSET|Equity|1439.2|42.6|GD| General Dynamics Corporation| 2.96%| North America|Equity|Large Cap Growth Equities||FPX|6|4.ASSET|Equity|1439.2|40.01|TW| Tradeweb Markets, Inc. Class A| 2.78%| North America|Equity|Large Cap Growth Equities||FPX|6|5.ASSET|Equity|1439.2|38.57|AVTR| Avantor, Inc.| 2.68%| North America|Equity|Large Cap Growth Equities||FPX|6|6.ASSET|Equity|1439.2|38.28|PXD| Pioneer Natural Resources Company| 2.66%| North America|Equity|Large Cap Growth Equities||FPX|6|7.ASSET|Equity|1439.2|36.41|UBER| Uber Technologies, Inc.| 2.53%| North America|Equity|Large Cap Growth Equities||FPX|6|8.ASSET|Equity|1439.2|35.98|ALC| Alcon AG| 2.50%| North America|Equity|Large Cap Growth Equities||FPX|6|9.ASSET|Equity|1439.2|35.4|KDP| Keurig Dr Pepper Inc.| 2.46%| North America|Equity|Large Cap Growth Equities||FPX|6|10.ASSET|Equity|1439.2|35.26|CTVA| Corteva Inc| 2.45%| North America|Equity|Large Cap Growth Equities||FPX|6|11.ASSET|Equity|1439.2|33.25|DDOG| Datadog Inc Class A| 2.31%| North America|Equity|Large Cap Growth Equities||FPX|6|12.ASSET|Equity|1439.2|29.94|CRWD| CrowdStrike Holdings, Inc. Class A| 2.08%| North America|Equity|Large Cap Growth Equities||FPX|6|13.ASSET|Equity|1439.2|29.79|KEYS| Keysight Technologies Inc| 2.07%| North America|Equity|Large Cap Growth Equities||FPX|6|14.ASSET|Equity|1439.2|29.22|J| Jacobs Engineering Group Inc.| 2.03%| North America|Equity|Large Cap Growth Equities||FPX|6|15.ASSET|Equity|1439.2|26.48|DELL| Dell Technologies Inc Class C| 1.84%| North America|Real Estate|Real Estate|Real Estate|FREL|6|1.ASSET|Real Estate|1950.7|138.3|PLD| Prologis, Inc.| 7.09%| North America|Real Estate|Real Estate|Real Estate|FREL|6|2.ASSET|Real Estate|1950.7|133.62|AMT| American Tower Corporation| 6.85%| North America|Real Estate|Real Estate|Real Estate|FREL|6|3.ASSET|Real Estate|1950.7|93.24|CCI| Crown Castle International Corp| 4.78%| North America|Real Estate|Real Estate|Real Estate|FREL|6|4.ASSET|Real Estate|1950.7|82.12|EQIX| Equinix, Inc.| 4.21%| North America|Real Estate|Real Estate|Real Estate|FREL|6|5.ASSET|Real Estate|1950.7|72.76|PSA| Public Storage| 3.73%| North America|Real Estate|Real Estate|Real Estate|FREL|6|6.ASSET|Real Estate|1950.7|56.77|SPG| Simon Property Group, Inc.| 2.91%| North America|Real Estate|Real Estate|Real Estate|FREL|6|7.ASSET|Real Estate|1950.7|48.96|DLR| Digital Realty Trust, Inc.| 2.51%| North America|Real Estate|Real Estate|Real Estate|FREL|6|8.ASSET|Real Estate|1950.7|48.18|O| Realty Income Corporation| 2.47%| North America|Real Estate|Real Estate|Real Estate|FREL|6|9.ASSET|Real Estate|1950.7|45.84|WELL| Welltower, Inc.| 2.35%| North America|Real Estate|Real Estate|Real Estate|FREL|6|10.ASSET|Real Estate|1950.7|44.28|SBAC| SBA Communications Corp. Class A| 2.27%| North America|Real Estate|Real Estate|Real Estate|FREL|6|11.ASSET|Real Estate|1950.7|41.74|AVB| AvalonBay Communities, Inc.| 2.14%| North America|Real Estate|Real Estate|Real Estate|FREL|6|12.ASSET|Real Estate|1950.7|41.16|CBRE| CBRE Group, Inc. Class A| 2.11%| North America|Real Estate|Real Estate|Real Estate|FREL|6|13.ASSET|Real Estate|1950.7|38.04|EQR| Equity Residential| 1.95%| North America|Real Estate|Real Estate|Real Estate|FREL|6|14.ASSET|Real Estate|1950.7|37.06|WY| Weyerhaeuser Company| 1.90%| North America|Real Estate|Real Estate|Real Estate|FREL|6|15.ASSET|Real Estate|1950.7|35.7|ARE| Alexandria Real Estate Equities, Inc.| 1.83%| North America|Equity|Small Cap Blend Equities||PRFZ|6|1.ASSET|Equity|1926.3|9.63|CLR| Continental Resources, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||PRFZ|6|2.ASSET|Equity|1926.3|8.67|CDEV| Centennial Resource Development, Inc. Class A| 0.45%| North America|Equity|Small Cap Blend Equities||PRFZ|6|3.ASSET|Equity|1926.3|7.9|DDS| Dillard\'s, Inc. Class A| 0.41%| North America|Equity|Small Cap Blend Equities||PRFZ|6|4.ASSET|Equity|1926.3|7.9|MTDR| Matador Resources Company| 0.41%| North America|Equity|Small Cap Blend Equities||PRFZ|6|5.ASSET|Equity|1926.3|7.71|RRC| Range Resources Corporation| 0.40%| North America|Equity|Small Cap Blend Equities||PRFZ|6|6.ASSET|Equity|1926.3|6.93|HRI| Herc Holdings, Inc.| 0.36%| North America|Equity|Small Cap Blend Equities||PRFZ|6|7.ASSET|Equity|1926.3|6.16|FIBK| First Interstate BancSystem, Inc. Class A| 0.32%| North America|Equity|Small Cap Blend Equities||PRFZ|6|8.ASSET|Equity|1926.3|6.16|HMHC| Houghton Mifflin Harcourt Company| 0.32%| North America|Equity|Small Cap Blend Equities||PRFZ|6|9.ASSET|Equity|1926.3|5.97|FTNT| Fortinet, Inc.| 0.31%| North America|Equity|Small Cap Blend Equities||PRFZ|6|10.ASSET|Equity|1926.3|5.97|ARCH| Arch Resources, Inc. Class A| 0.31%| North America|Equity|Small Cap Blend Equities||PRFZ|6|11.ASSET|Equity|1926.3|5.59|ECPG| Encore Capital Group, Inc.| 0.29%| North America|Equity|Small Cap Blend Equities||PRFZ|6|12.ASSET|Equity|1926.3|5.59|GMS| GMS Inc.| 0.29%| North America|Equity|Small Cap Blend Equities||PRFZ|6|13.ASSET|Equity|1926.3|5.39|EXPR| Express, Inc.| 0.28%| North America|Equity|Small Cap Blend Equities||PRFZ|6|14.ASSET|Equity|1926.3|5.2|CACC| Credit Acceptance Corporation| 0.27%| North America|Equity|Small Cap Blend Equities||PRFZ|6|15.ASSET|Equity|1926.3|5.2|SPTN| SpartanNash Company| 0.27%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|1.ASSET|Multi-Asset|1946.7|668.11|IUSB| iShares Core Total USD Bond Market ETF| 34.32%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|2.ASSET|Multi-Asset|1946.7|621.39|IVV| iShares Core S&P 500 ETF| 31.92%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|3.ASSET|Multi-Asset|1946.7|356.44|IDEV| iShares Core MSCI International Developed Markets ETF| 18.31%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|4.ASSET|Multi-Asset|1946.7|121.28|IEMG| iShares Core MSCI Emerging Markets ETF| 6.23%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|5.ASSET|Multi-Asset|1946.7|119.14|IAGG| iShares Core International Aggregate Bond ETF| 6.12%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|6.ASSET|Multi-Asset|1946.7|38.93|IJH| iShares Core S&P Mid-Cap ETF| 2.00%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|7.ASSET|Multi-Asset|1946.7|17.33|IJR| iShares Core S&P Small Cap ETF| 0.89%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|8.ASSET|Multi-Asset|1946.7|4.09|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.21%| Developed Markets|Multi-Asset|Diversified Portfolio||AOR|6|9.ASSET|Multi-Asset|1946.7|0|N/A| U.S. Dollar| 0.00%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|1.ASSET|Bond|1702.3|26.9|N/A| United States Treasury Bills 0.0% 01-MAR-2022| 1.58%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|2.ASSET|Bond|1702.3|21.62|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 1.27%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|3.ASSET|Bond|1702.3|21.11|N/A| United States Treasury Bills 0.0% 28-APR-2022| 1.24%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|4.ASSET|Bond|1702.3|19.58|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 1.15%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|5.ASSET|Bond|1702.3|18.73|N/A| United States Treasury Bills 0.0% 15-MAR-2022| 1.10%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|6.ASSET|Bond|1702.3|13.96|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.82%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|7.ASSET|Bond|1702.3|13.96|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.82%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|8.ASSET|Bond|1702.3|13.62|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.80%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|9.ASSET|Bond|1702.3|13.45|N/A| United States Treasury Bills 0.0% 29-MAR-2022| 0.79%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|10.ASSET|Bond|1702.3|11.41|N/A| BWAY Holding Co., Inc. 5.5% 15-APR-2024| 0.67%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|11.ASSET|Bond|1702.3|11.06|N/A| OneMain Finance Corporation 6.125% 15-MAR-2024| 0.65%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|12.ASSET|Bond|1702.3|10.38|N/A| VRX Escrow Corp. 6.125% 15-APR-2025| 0.61%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|13.ASSET|Bond|1702.3|10.04|N/A| US Foods, Inc. 6.25% 15-APR-2025| 0.59%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|14.ASSET|Bond|1702.3|9.87|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 0.58%| Developed Markets|Bond|High Yield Bonds|Junk|HYS|6|15.ASSET|Bond|1702.3|9.87|N/A| United Airlines, Inc. 4.375% 15-APR-2026| 0.58%| North America|Equity|Water Equities |Industrials|PHO|6|1.ASSET|Equity|1809.5|154.53|ROP| Roper Technologies, Inc.| 8.54%| North America|Equity|Water Equities |Industrials|PHO|6|2.ASSET|Equity|1809.5|153.81|WAT| Waters Corporation| 8.50%| North America|Equity|Water Equities |Industrials|PHO|6|3.ASSET|Equity|1809.5|144.22|AWK| American Water Works Company, Inc.| 7.97%| North America|Equity|Water Equities |Industrials|PHO|6|4.ASSET|Equity|1809.5|136.26|DHR| Danaher Corporation| 7.53%| North America|Equity|Water Equities |Industrials|PHO|6|5.ASSET|Equity|1809.5|124.67|ECL| Ecolab Inc.| 6.89%| North America|Equity|Water Equities |Industrials|PHO|6|6.ASSET|Equity|1809.5|81.25|WMS| Advanced Drainage Systems, Inc.| 4.49%| North America|Equity|Water Equities |Industrials|PHO|6|7.ASSET|Equity|1809.5|79.8|WTRG| Essential Utilities, Inc.| 4.41%| North America|Equity|Water Equities |Industrials|PHO|6|8.ASSET|Equity|1809.5|76.9|TTC| Toro Company| 4.25%| North America|Equity|Water Equities |Industrials|PHO|6|9.ASSET|Equity|1809.5|75.64|ZWS| Zurn Water Solutions Corporation| 4.18%| North America|Equity|Water Equities |Industrials|PHO|6|10.ASSET|Equity|1809.5|70.03|AOS| A. O. Smith Corporation| 3.87%| North America|Equity|Water Equities |Industrials|PHO|6|11.ASSET|Equity|1809.5|68.76|IEX| IDEX Corporation| 3.80%| North America|Equity|Water Equities |Industrials|PHO|6|12.ASSET|Equity|1809.5|67.31|AQUA| Evoqua Water Technologies Corp| 3.72%| North America|Equity|Water Equities |Industrials|PHO|6|13.ASSET|Equity|1809.5|62.25|PNR| Pentair plc| 3.44%| North America|Equity|Water Equities |Industrials|PHO|6|14.ASSET|Equity|1809.5|61.7|TTEK| Tetra Tech, Inc.| 3.41%| North America|Equity|Water Equities |Industrials|PHO|6|15.ASSET|Equity|1809.5|58.08|XYL| Xylem Inc.| 3.21%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|1.ASSET|Multi-Asset|1902.5|858.22|N/A| United States Treasury Bills 0.0% 02-JUN-2022| 45.11%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|2.ASSET|Multi-Asset|1902.5|93.79|N/A| U.S. Dollar| 4.93%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|3.ASSET|Multi-Asset|1902.5|66.4|AAPL| Apple Inc.| 3.49%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|4.ASSET|Multi-Asset|1902.5|57.65|MSFT| Microsoft Corporation| 3.03%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|5.ASSET|Multi-Asset|1902.5|33.86|AMZN| Amazon.com, Inc.| 1.78%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|6.ASSET|Multi-Asset|1902.5|20.74|GOOGL| Alphabet Inc. Class A| 1.09%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|7.ASSET|Multi-Asset|1902.5|19.22|GOOG| Alphabet Inc. Class C| 1.01%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|8.ASSET|Multi-Asset|1902.5|18.26|TSLA| Tesla Inc| 0.96%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|9.ASSET|Multi-Asset|1902.5|15.41|NVDA| NVIDIA Corporation| 0.81%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|10.ASSET|Multi-Asset|1902.5|15.22|BRK.B| Berkshire Hathaway Inc. Class B| 0.80%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|11.ASSET|Multi-Asset|1902.5|12.56|FB| Meta Platforms Inc. Class A| 0.66%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|12.ASSET|Multi-Asset|1902.5|11.61|UNH| UnitedHealth Group Incorporated| 0.61%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|13.ASSET|Multi-Asset|1902.5|11.22|JNJ| Johnson & Johnson| 0.59%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|14.ASSET|Multi-Asset|1902.5|10.46|JPM| JPMorgan Chase & Co.| 0.55%| North America|Multi-Asset|Large Cap Blend Equities||PTLC|6|15.ASSET|Multi-Asset|1902.5|9.51|PG| Procter & Gamble Company| 0.50%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|1.ASSET|Equity|2045.7|212.75|VALE3| Vale S.A.| 10.40%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|2.ASSET|Equity|2045.7|83.67|PETR3| Petroleo Brasileiro SA| 4.09%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|3.ASSET|Equity|2045.7|69.76|939| China Construction Bank Corporation Class H| 3.41%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|4.ASSET|Equity|2045.7|44.6|2317| Hon Hai Precision Industry Co., Ltd.| 2.18%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|5.ASSET|Equity|2045.7|41.53|1398| Industrial and Commercial Bank of China Limited Class H| 2.03%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|6.ASSET|Equity|2045.7|38.87|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 1.90%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|7.ASSET|Equity|2045.7|37.23|3988| Bank of China Limited Class H| 1.82%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|8.ASSET|Equity|2045.7|36|IMP| Impala Platinum Holdings Limited| 1.76%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|9.ASSET|Equity|2045.7|32.94|SSW| Sibanye Stillwater Limited| 1.61%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|10.ASSET|Equity|2045.7|26.8|2357| Asustek Computer Inc.| 1.31%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|11.ASSET|Equity|2045.7|23.93|TLKM| PT Telkom Indonesia (Persero) Tbk Class B| 1.17%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|12.ASSET|Equity|2045.7|23.53|2382| Quanta Computer Inc.| 1.15%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|13.ASSET|Equity|2045.7|22.5|857| PetroChina Company Limited Class H| 1.10%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|14.ASSET|Equity|2045.7|22.3|1155| Malayan Banking Bhd.| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||DEM|6|15.ASSET|Equity|2045.7|21.48|386| China Petroleum & Chemical Corporation Class H| 1.05%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|1.ASSET|Equity|1684.1|13.81|BA| BAE Systems plc| 0.82%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|2.ASSET|Equity|1684.1|13.81|NOVO.B| Novo Nordisk A/S Class B| 0.82%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|3.ASSET|Equity|1684.1|13.3|L| Loblaw Companies Limited| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|4.ASSET|Equity|1684.1|13.14|SAN| Sanofi| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|5.ASSET|Equity|1684.1|12.97|SCMN| Swisscom AG| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|6.ASSET|Equity|1684.1|12.63|ROG| Roche Holding Ltd| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|7.ASSET|Equity|1684.1|12.46|GSK| GlaxoSmithKline plc Sponsored ADR| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|8.ASSET|Equity|1684.1|11.79|AD| Koninklijke Ahold Delhaize N.V.| 0.70%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|9.ASSET|Equity|1684.1|11.62|ORA| Orange SA| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|10.ASSET|Equity|1684.1|11.45|RIO| Rio Tinto plc| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|11.ASSET|Equity|1684.1|11.28|INVE.B| Investor AB Class B| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|12.ASSET|Equity|1684.1|11.12|MRK| Merck KGaA| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|13.ASSET|Equity|1684.1|10.95|KNIN| Kuehne & Nagel International AG| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|14.ASSET|Equity|1684.1|10.78|HSBA| HSBC Holdings Plc| 0.64%| Developed Markets|Equity|Foreign Large Cap Equities||RODM|6|15.ASSET|Equity|1684.1|10.61|EN| Bouygues SA| 0.63%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|1.ASSET|Multi-Asset|2024.9|45.76|GEC2| General Electric Co Non-Cum Perp Pfd Shs Series D| 2.26%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|2.ASSET|Multi-Asset|2024.9|38.47|N/A| CORPORATE BOND| 1.90%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|3.ASSET|Multi-Asset|2024.9|28.75|A28712| Wells Fargo & Company Depositary Shs A Repr 1/25th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs A Ser -BB-| 1.42%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|4.ASSET|Multi-Asset|2024.9|24.91|JPM4937668| JPMorgan Chase & Co Depositary Shs Repr 1/10 Fix/Fltg Non-Cum Red Perp Pfd Shs Ser -HH-| 1.23%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|5.ASSET|Multi-Asset|2024.9|24.7|JPM4135538| JPMorgan Chase & Co Depositary Shs Repr 1/10th Non Cum Pfd Shs Series I| 1.22%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|6.ASSET|Multi-Asset|2024.9|22.27|N/A| EQUITY OTHER| 1.10%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|7.ASSET|Multi-Asset|2024.9|22.27|N/A| Charles Schwab Corp Depositary Shs Repr 1/100th Non-Cum Red Perp Pfd Registered ShsSeries G| 1.10%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|8.ASSET|Multi-Asset|2024.9|21.26|N/A| BP Capital Markets PLC 4.375% PERP| 1.05%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|9.ASSET|Multi-Asset|2024.9|20.86|JPM4132024| JPMorgan Chase & Co Deposit Shs Repr 1/10th Non-Cum Perp Pfd Shs Ser-V| 1.03%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|10.ASSET|Multi-Asset|2024.9|20.45|BA0AJZ| Bank of America Corp Depositary Shs Repr 1/25th Non-Cum Perp Red Pfd Registered Shs Series -FF-| 1.01%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|11.ASSET|Multi-Asset|2024.9|20.25|C.PRN| Citigroup Capital XIII Tr Pfd Secs 2010-30.10.40 Global Fltg Rt| 1.00%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|12.ASSET|Multi-Asset|2024.9|19.84|AGPXX| Short Term Investments Trust Government & Agency Portfolio Institutional| 0.98%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|13.ASSET|Multi-Asset|2024.9|19.64|A286PF| Charles Schwab Corp Depositary Shs Repr 1/100th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs Ser H| 0.97%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|14.ASSET|Multi-Asset|2024.9|19.03|A2R5YV| JPMorgan Chase & Co. Depositary Shs Repr 1/10th Non-Cum Red Perp Pfd Rg Shs Ser -FF-| 0.94%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||VRP|6|15.ASSET|Multi-Asset|2024.9|18.63|N/A| Vodafone Group PLC Notes 2019-04.04.79 Global Fixed/Floating Rate| 0.92%| North America|Equity|Financials Equities|Financials|FNCL|6|1.ASSET|Equity|1886.1|154.28|BRK.B| Berkshire Hathaway Inc. Class B| 8.18%| North America|Equity|Financials Equities|Financials|FNCL|6|2.ASSET|Equity|1886.1|150.7|JPM| JPMorgan Chase & Co.| 7.99%| North America|Equity|Financials Equities|Financials|FNCL|6|3.ASSET|Equity|1886.1|116.37|BAC| Bank of America Corp| 6.17%| North America|Equity|Financials Equities|Financials|FNCL|6|4.ASSET|Equity|1886.1|76.2|WFC| Wells Fargo & Company| 4.04%| North America|Equity|Financials Equities|Financials|FNCL|6|5.ASSET|Equity|1886.1|51.87|SPGI| S&P Global, Inc.| 2.75%| North America|Equity|Financials Equities|Financials|FNCL|6|6.ASSET|Equity|1886.1|43.57|MS| Morgan Stanley| 2.31%| North America|Equity|Financials Equities|Financials|FNCL|6|7.ASSET|Equity|1886.1|43.38|SCHW| Charles Schwab Corporation| 2.30%| North America|Equity|Financials Equities|Financials|FNCL|6|8.ASSET|Equity|1886.1|43.38|AXP| American Express Company| 2.30%| North America|Equity|Financials Equities|Financials|FNCL|6|9.ASSET|Equity|1886.1|43.19|C| Citigroup Inc.| 2.29%| North America|Equity|Financials Equities|Financials|FNCL|6|10.ASSET|Equity|1886.1|41.49|GS| Goldman Sachs Group, Inc.| 2.20%| North America|Equity|Financials Equities|Financials|FNCL|6|11.ASSET|Equity|1886.1|40.93|BLK| BlackRock, Inc.| 2.17%| North America|Equity|Financials Equities|Financials|FNCL|6|12.ASSET|Equity|1886.1|32.82|BX| Blackstone Inc.| 1.74%| North America|Equity|Financials Equities|Financials|FNCL|6|13.ASSET|Equity|1886.1|32.25|CB| Chubb Limited| 1.71%| North America|Equity|Financials Equities|Financials|FNCL|6|14.ASSET|Equity|1886.1|31.12|CME| CME Group Inc. Class A| 1.65%| North America|Equity|Financials Equities|Financials|FNCL|6|15.ASSET|Equity|1886.1|29.99|PNC| PNC Financial Services Group, Inc.| 1.59%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|1.ASSET|Equity|1616.2|30.55|NXST| Nexstar Media Group, Inc. Class A| 1.89%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|2.ASSET|Equity|1616.2|29.09|KSS| Kohl\'s Corporation| 1.80%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|3.ASSET|Equity|1616.2|28.45|PARA| Paramount Global Class B| 1.76%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|4.ASSET|Equity|1616.2|28.28|LAD| Lithia Motors, Inc.| 1.75%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|5.ASSET|Equity|1616.2|24.89|AN| AutoNation, Inc.| 1.54%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|6.ASSET|Equity|1616.2|23.43|PAG| Penske Automotive Group, Inc.| 1.45%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|7.ASSET|Equity|1616.2|23.43|DKS| Dick\'s Sporting Goods, Inc.| 1.45%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|8.ASSET|Equity|1616.2|23.11|DISCA| Discovery, Inc. Class A| 1.43%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|9.ASSET|Equity|1616.2|22.79|ATVI| Activision Blizzard, Inc.| 1.41%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|10.ASSET|Equity|1616.2|22.63|COST| Costco Wholesale Corporation| 1.40%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|11.ASSET|Equity|1616.2|21.82|AZO| AutoZone, Inc.| 1.35%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|12.ASSET|Equity|1616.2|21.82|FOXA| Fox Corporation Class A| 1.35%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|13.ASSET|Equity|1616.2|21.66|THO| Thor Industries, Inc.| 1.34%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|14.ASSET|Equity|1616.2|21.5|LOW| Lowe\'s Companies, Inc.| 1.33%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FXD|6|15.ASSET|Equity|1616.2|21.33|WHR| Whirlpool Corporation| 1.32%| North America|Equity|Materials|Materials|XME|6|1.ASSET|Equity|2966.9|224|BTU| Peabody Energy Corporation| 7.55%| North America|Equity|Materials|Materials|XME|6|2.ASSET|Equity|2966.9|170.6|AA| Alcoa Corporation| 5.75%| North America|Equity|Materials|Materials|XME|6|3.ASSET|Equity|2966.9|162.88|ARCH| Arch Resources, Inc. Class A| 5.49%| North America|Equity|Materials|Materials|XME|6|4.ASSET|Equity|2966.9|149.53|CENX| Century Aluminum Company| 5.04%| North America|Equity|Materials|Materials|XME|6|5.ASSET|Equity|2966.9|148.35|ATI| Allegheny Technologies Incorporated| 5.00%| North America|Equity|Materials|Materials|XME|6|6.ASSET|Equity|2966.9|129.36|RGLD| Royal Gold, Inc.| 4.36%| North America|Equity|Materials|Materials|XME|6|7.ASSET|Equity|2966.9|128.76|HL| Hecla Mining Company| 4.34%| North America|Equity|Materials|Materials|XME|6|8.ASSET|Equity|2966.9|127.87|X| United States Steel Corporation| 4.31%| North America|Equity|Materials|Materials|XME|6|9.ASSET|Equity|2966.9|126.39|FCX| Freeport-McMoRan, Inc.| 4.26%| North America|Equity|Materials|Materials|XME|6|10.ASSET|Equity|2966.9|126.09|STLD| Steel Dynamics, Inc.| 4.25%| North America|Equity|Materials|Materials|XME|6|11.ASSET|Equity|2966.9|125.2|NEM| Newmont Corporation| 4.22%| North America|Equity|Materials|Materials|XME|6|12.ASSET|Equity|2966.9|122.83|NUE| Nucor Corporation| 4.14%| North America|Equity|Materials|Materials|XME|6|13.ASSET|Equity|2966.9|121.64|UEC| Uranium Energy Corp.| 4.10%| North America|Equity|Materials|Materials|XME|6|14.ASSET|Equity|2966.9|120.46|RS| Reliance Steel & Aluminum Co.| 4.06%| North America|Equity|Materials|Materials|XME|6|15.ASSET|Equity|2966.9|117.49|CLF| Cleveland-Cliffs Inc| 3.96%| North America|Real Estate|Real Estate|Real Estate|RWR|6|1.ASSET|Real Estate|1984.5|210.16|PLD| Prologis, Inc.| 10.59%| North America|Real Estate|Real Estate|Real Estate|RWR|6|2.ASSET|Real Estate|1984.5|106.77|PSA| Public Storage| 5.38%| North America|Real Estate|Real Estate|Real Estate|RWR|6|3.ASSET|Real Estate|1984.5|86.33|SPG| Simon Property Group, Inc.| 4.35%| North America|Real Estate|Real Estate|Real Estate|RWR|6|4.ASSET|Real Estate|1984.5|74.22|DLR| Digital Realty Trust, Inc.| 3.74%| North America|Real Estate|Real Estate|Real Estate|RWR|6|5.ASSET|Real Estate|1984.5|72.63|O| Realty Income Corporation| 3.66%| North America|Real Estate|Real Estate|Real Estate|RWR|6|6.ASSET|Real Estate|1984.5|69.85|WELL| Welltower, Inc.| 3.52%| North America|Real Estate|Real Estate|Real Estate|RWR|6|7.ASSET|Real Estate|1984.5|63.9|AVB| AvalonBay Communities, Inc.| 3.22%| North America|Real Estate|Real Estate|Real Estate|RWR|6|8.ASSET|Real Estate|1984.5|55.76|EQR| Equity Residential| 2.81%| North America|Real Estate|Real Estate|Real Estate|RWR|6|9.ASSET|Real Estate|1984.5|51.6|ARE| Alexandria Real Estate Equities, Inc.| 2.60%| North America|Real Estate|Real Estate|Real Estate|RWR|6|10.ASSET|Real Estate|1984.5|50.01|EXR| Extra Space Storage Inc.| 2.52%| North America|Real Estate|Real Estate|Real Estate|RWR|6|11.ASSET|Real Estate|1984.5|45.64|MAA| Mid-America Apartment Communities, Inc.| 2.30%| North America|Real Estate|Real Estate|Real Estate|RWR|6|12.ASSET|Real Estate|1984.5|43.46|INVH| Invitation Homes, Inc.| 2.19%| North America|Real Estate|Real Estate|Real Estate|RWR|6|13.ASSET|Real Estate|1984.5|41.48|VTR| Ventas, Inc.| 2.09%| North America|Real Estate|Real Estate|Real Estate|RWR|6|14.ASSET|Real Estate|1984.5|40.29|SUI| Sun Communities, Inc.| 2.03%| North America|Real Estate|Real Estate|Real Estate|RWR|6|15.ASSET|Real Estate|1984.5|40.09|ESS| Essex Property Trust, Inc.| 2.02%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|1.ASSET|Bond|1930.7|360.85|N/A| U.S. Dollar| 18.69%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|2.ASSET|Bond|1930.7|28|N/A| CORPORATE BOND| 1.45%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|3.ASSET|Bond|1930.7|19.5|N/A| Wellfleet CLO X A1R 1.424% 20-JUL-2032| 1.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|4.ASSET|Bond|1930.7|19.5|N/A| Deutsche Bank AG FRN 08-NOV-2023| 1.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|5.ASSET|Bond|1930.7|19.5|N/A| Baxter International Inc. FRN 01-DEC-2023| 1.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|6.ASSET|Bond|1930.7|19.5|N/A| Air Lease Corporation FRN 15-DEC-2022| 1.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|7.ASSET|Bond|1930.7|19.5|N/A| Banque Federative du Credit Mutuel SA FRN 04-FEB-2025| 1.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|8.ASSET|Bond|1930.7|18.53|N/A| One New York Plaza Trust 2020-1NYP A 1.142% 16-JAN-2036| 0.96%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|9.ASSET|Bond|1930.7|17.57|N/A| KKR CLO 18 AR 1.18129% 18-JUL-2030| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|10.ASSET|Bond|1930.7|17.57|N/A| Carlyle Global Market Strategies CLO 2015-5 A1RR 1.334% 20-JAN-2032| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|11.ASSET|Bond|1930.7|17.57|N/A| Benefit Street Partners CLO XII D 6.65129% 15-OCT-2030| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|12.ASSET|Bond|1930.7|17.57|N/A| Wells Fargo Commercial Mortgage Trust 2013-LC12 A4 4.218% 15-JUL-2046| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|13.ASSET|Bond|1930.7|17.57|N/A| OZLM IX A1AR3 1.354% 20-OCT-2031| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|14.ASSET|Bond|1930.7|16.99|N/A| CSAIL 2015-C3 Commercial Mortgage Trust A4 3.7182% 15-AUG-2048| 0.88%| Developed Markets|Bond|Total Bond Market|Total Bond Market|PULS|6|15.ASSET|Bond|1930.7|16.8|N/A| AbbVie Inc. 3.25% 01-OCT-2022| 0.87%| North America|Bond|National Munis|Municipal Bond|ITM|6|1.ASSET|Bond|1782.7|11.05|N/A| California St 4.0% 01-MAR-2036| 0.62%| North America|Bond|National Munis|Municipal Bond|ITM|6|2.ASSET|Bond|1782.7|11.05|N/A| California St 4.0% 01-MAR-2036| 0.62%| North America|Bond|National Munis|Municipal Bond|ITM|6|3.ASSET|Bond|1782.7|7.31|N/A| Denver Colo City & Cnty Brd Wtr Commrs Wtr Rev 5.0% 15-DEC-2029| 0.41%| North America|Bond|National Munis|Municipal Bond|ITM|6|4.ASSET|Bond|1782.7|7.13|N/A| New York N Y City Transitional Fin Auth Rev 4.0% 01-NOV-2030| 0.40%| North America|Bond|National Munis|Municipal Bond|ITM|6|5.ASSET|Bond|1782.7|7.13|N/A| New York N Y City Transitional Fin Auth Rev 4.0% 01-NOV-2030| 0.40%| North America|Bond|National Munis|Municipal Bond|ITM|6|6.ASSET|Bond|1782.7|7.13|N/A| Denver Colo City & Cnty Brd Wtr Commrs Wtr Rev 5.0% 15-DEC-2029| 0.40%| North America|Bond|National Munis|Municipal Bond|ITM|6|7.ASSET|Bond|1782.7|6.95|N/A| Maryland St 5.0% 15-MAR-2031| 0.39%| North America|Bond|National Munis|Municipal Bond|ITM|6|8.ASSET|Bond|1782.7|6.95|N/A| Maryland St 5.0% 15-MAR-2031| 0.39%| North America|Bond|National Munis|Municipal Bond|ITM|6|9.ASSET|Bond|1782.7|6.24|N/A| U.S. Dollar| 0.35%| North America|Bond|National Munis|Municipal Bond|ITM|6|10.ASSET|Bond|1782.7|6.06|N/A| New Jersey St 5.0% 01-JUN-2038| 0.34%| North America|Bond|National Munis|Municipal Bond|ITM|6|11.ASSET|Bond|1782.7|6.06|N/A| New Jersey St 5.0% 01-JUN-2038| 0.34%| North America|Bond|National Munis|Municipal Bond|ITM|6|12.ASSET|Bond|1782.7|5.7|N/A| Houston Tex Util Sys Rev 5.0% 15-NOV-2033| 0.32%| North America|Bond|National Munis|Municipal Bond|ITM|6|13.ASSET|Bond|1782.7|5.7|N/A| Houston Tex Util Sys Rev 5.0% 15-NOV-2033| 0.32%| North America|Bond|National Munis|Municipal Bond|ITM|6|14.ASSET|Bond|1782.7|5.7|N/A| California St 5.0% 01-OCT-2029| 0.32%| North America|Bond|National Munis|Municipal Bond|ITM|6|15.ASSET|Bond|1782.7|5.7|N/A| New York St Urban Dev Corp St Sales Tax Rev 5.0% 15-MAR-2036| 0.32%| North America|Bond|California Munis|California Munis|CMF|6|1.ASSET|Bond|1840.2|13.43|MUCXX| BlackRock Liquidity Funds California Money Fund Portfolio Institutional| 0.73%| North America|Bond|California Munis|California Munis|CMF|6|2.ASSET|Bond|1840.2|10.67|N/A| California Edl Facs Auth Rev 5.0% 01-MAY-2049| 0.58%| North America|Bond|California Munis|California Munis|CMF|6|3.ASSET|Bond|1840.2|10.49|N/A| San Diego Calif Cmnty College Dist 5.0% 01-AUG-2043| 0.57%| North America|Bond|California Munis|California Munis|CMF|6|4.ASSET|Bond|1840.2|9.39|N/A| California St 5.0% 01-AUG-2028| 0.51%| North America|Bond|California Munis|California Munis|CMF|6|5.ASSET|Bond|1840.2|9.39|N/A| Foothill / Eastern Transn Corridor Agy Calif Toll Rd Rev 4.0% 15-JAN-2046| 0.51%| North America|Bond|California Munis|California Munis|CMF|6|6.ASSET|Bond|1840.2|9.02|N/A| Chino Basin Calif Regl Fing Auth Rev 4.0% 01-NOV-2025| 0.49%| North America|Bond|California Munis|California Munis|CMF|6|7.ASSET|Bond|1840.2|8.83|N/A| San Joaquin Hills Calif Transn Corridor Agy Tollrd Rev 5.0% 15-JAN-2044| 0.48%| North America|Bond|California Munis|California Munis|CMF|6|8.ASSET|Bond|1840.2|8.83|N/A| Bay Area Toll Auth Calif Toll Brdg Rev 5.0% 01-APR-2054| 0.48%| North America|Bond|California Munis|California Munis|CMF|6|9.ASSET|Bond|1840.2|8.46|N/A| MUNICIPAL BONDS| 0.46%| North America|Bond|California Munis|California Munis|CMF|6|10.ASSET|Bond|1840.2|8.46|N/A| Los Angeles Calif Dept Wtr & Pwr Wtrwks Rev 5.0% 01-JUL-2030| 0.46%| North America|Bond|California Munis|California Munis|CMF|6|11.ASSET|Bond|1840.2|7.91|N/A| University Calif Revs 5.0% 15-MAY-2046| 0.43%| North America|Bond|California Munis|California Munis|CMF|6|12.ASSET|Bond|1840.2|7.54|N/A| San Jose Calif 5.0% 01-SEP-2042| 0.41%| North America|Bond|California Munis|California Munis|CMF|6|13.ASSET|Bond|1840.2|7.36|N/A| U.S. Dollar| 0.40%| North America|Bond|California Munis|California Munis|CMF|6|14.ASSET|Bond|1840.2|7.36|N/A| Orange Cnty Calif Wtr Dist Rev Ctfs Partn 2.0% 15-AUG-2023| 0.40%| North America|Bond|California Munis|California Munis|CMF|6|15.ASSET|Bond|1840.2|7.36|N/A| North Orange Cnty Calif Cmnty College Dist 4.0% 01-AUG-2044| 0.40%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|1.ASSET|Bond|1532.9|129.22|N/A| EQUITY OTHER| 8.43%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|2.ASSET|Bond|1532.9|24.83|N/A| Palo Alto Networks, Inc. 0.375% 01-JUN-2025| 1.62%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|3.ASSET|Bond|1532.9|23.15|N/A| Palo Alto Networks, Inc. 0.75% 01-JUL-2023| 1.51%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|4.ASSET|Bond|1532.9|19.16|N/A| Pioneer Natural Resources Company 0.25% 15-MAY-2025| 1.25%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|5.ASSET|Bond|1532.9|18.09|N/A| FIXED INCOME (UNCLASSFIED)| 1.18%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|6.ASSET|Bond|1532.9|17.78|N/A| Ford Motor Company 0.0% 15-MAR-2026| 1.16%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|7.ASSET|Bond|1532.9|17.17|N/A| Southwest Airlines Co. 1.25% 01-MAY-2025| 1.12%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|8.ASSET|Bond|1532.9|17.02|N/A| DISH Network Corporation 3.375% 15-AUG-2026| 1.11%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|9.ASSET|Bond|1532.9|14.56|N/A| Sea Ltd. (Singapore) 0.25% 15-SEP-2026| 0.95%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|10.ASSET|Bond|1532.9|13.64|N/A| MongoDB, Inc. 0.25% 15-JAN-2026| 0.89%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|11.ASSET|Bond|1532.9|12.88|N/A| Zscaler, Inc. 0.125% 01-JUL-2025| 0.84%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|12.ASSET|Bond|1532.9|12.42|N/A| Dick\'s Sporting Goods, Inc. 3.25% 15-APR-2025| 0.81%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|13.ASSET|Bond|1532.9|12.26|N/A| DexCom, Inc. 0.75% 01-DEC-2023| 0.80%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|14.ASSET|Bond|1532.9|11.96|N/A| Workday, Inc. 0.25% 01-OCT-2022| 0.78%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|ICVT|6|15.ASSET|Bond|1532.9|11.8|N/A| Airbnb, Inc. 0.0% 15-MAR-2026| 0.77%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|1.ASSET|Equity|1979.3|104.31|7203| Toyota Motor Corp.| 5.27%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|2.ASSET|Equity|1979.3|88.47|2914| Japan Tobacco Inc.| 4.47%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|3.ASSET|Equity|1979.3|82.34|8306| Mitsubishi UFJ Financial Group, Inc.| 4.16%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|4.ASSET|Equity|1979.3|67.69|4502| Takeda Pharmaceutical Co. Ltd.| 3.42%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|5.ASSET|Equity|1979.3|62.35|7974| Nintendo Co., Ltd.| 3.15%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|6.ASSET|Equity|1979.3|61.36|8316| Sumitomo Mitsui Financial Group, Inc.| 3.10%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|7.ASSET|Equity|1979.3|56.01|8035| Tokyo Electron Ltd.| 2.83%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|8.ASSET|Equity|1979.3|55.62|8001| Itochu Corporation| 2.81%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|9.ASSET|Equity|1979.3|46.91|8058| Mitsubishi Corporation| 2.37%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|10.ASSET|Equity|1979.3|42.36|7267| Honda Motor Co., Ltd.| 2.14%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|11.ASSET|Equity|1979.3|40.58|8411| Mizuho Financial Group, Inc.| 2.05%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|12.ASSET|Equity|1979.3|33.05|8766| Tokio Marine Holdings, Inc.| 1.67%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|13.ASSET|Equity|1979.3|29.1|9101| Nippon Yusen Kabushiki Kaisha| 1.47%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|14.ASSET|Equity|1979.3|24.94|9104| Mitsui O.S.K.Lines,Ltd.| 1.26%| Developed Asia Pacific|Equity|Japan Equities||DXJ|6|15.ASSET|Equity|1979.3|24.15|4063| Shin-Etsu Chemical Co Ltd| 1.22%| North America|Equity|Small Cap Blend Equities||VIOO|6|1.ASSET|Equity|2040.2|13.47|OMCL| Omnicell, Inc.| 0.66%| North America|Equity|Small Cap Blend Equities||VIOO|6|2.ASSET|Equity|2040.2|11.83|PDCE| PDC Energy, Inc.| 0.58%| North America|Equity|Small Cap Blend Equities||VIOO|6|3.ASSET|Equity|2040.2|10.81|VG| Vonage Holdings Corp.| 0.53%| North America|Equity|Small Cap Blend Equities||VIOO|6|4.ASSET|Equity|2040.2|10.41|ROG| Rogers Corporation| 0.51%| North America|Equity|Small Cap Blend Equities||VIOO|6|5.ASSET|Equity|2040.2|10|UFPI| UFP Industries, Inc.| 0.49%| North America|Equity|Small Cap Blend Equities||VIOO|6|6.ASSET|Equity|2040.2|10|MTDR| Matador Resources Company| 0.49%| North America|Equity|Small Cap Blend Equities||VIOO|6|7.ASSET|Equity|2040.2|10|EXPO| Exponent, Inc.| 0.49%| North America|Equity|Small Cap Blend Equities||VIOO|6|8.ASSET|Equity|2040.2|9.79|BCPC| Balchem Corporation| 0.48%| North America|Equity|Small Cap Blend Equities||VIOO|6|9.ASSET|Equity|2040.2|9.79|AMN| AMN Healthcare Services, Inc.| 0.48%| North America|Equity|Small Cap Blend Equities||VIOO|6|10.ASSET|Equity|2040.2|9.79|RRC| Range Resources Corporation| 0.48%| North America|Equity|Small Cap Blend Equities||VIOO|6|11.ASSET|Equity|2040.2|9.59|IIPR| Innovative Industrial Properties Inc| 0.47%| North America|Equity|Small Cap Blend Equities||VIOO|6|12.ASSET|Equity|2040.2|9.38|ADC| Agree Realty Corporation| 0.46%| North America|Equity|Small Cap Blend Equities||VIOO|6|13.ASSET|Equity|2040.2|9.38|SIG| Signet Jewelers Limited| 0.46%| North America|Equity|Small Cap Blend Equities||VIOO|6|14.ASSET|Equity|2040.2|9.18|N/A| U.S. Dollar| 0.45%| North America|Equity|Small Cap Blend Equities||VIOO|6|15.ASSET|Equity|2040.2|9.18|SPSC| SPS Commerce, Inc.| 0.45%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|1.ASSET|Equity|1641.8|38.25|IRTC| iRhythm Technologies, Inc.| 2.33%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|2.ASSET|Equity|1641.8|32.51|6324| Harmonic Drive Systems Inc.| 1.98%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|3.ASSET|Equity|1641.8|31.52|1590| Airtac International Group| 1.92%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|4.ASSET|Equity|1641.8|30.87|ISRG| Intuitive Surgical, Inc.| 1.88%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|5.ASSET|Equity|1641.8|28.9|NOW| ServiceNow, Inc.| 1.76%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|6.ASSET|Equity|1641.8|28.73|IRBT| iRobot Corporation| 1.75%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|7.ASSET|Equity|1641.8|28.4|ILMN| Illumina, Inc.| 1.73%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|8.ASSET|Equity|1641.8|28.07|CGNX| Cognex Corporation| 1.71%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|9.ASSET|Equity|1641.8|27.58|SSYS| Stratasys Ltd.| 1.68%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|10.ASSET|Equity|1641.8|27.42|6954| Fanuc Corporation| 1.67%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|11.ASSET|Equity|1641.8|26.27|AZTA| Azenta, Inc.| 1.60%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|12.ASSET|Equity|1641.8|26.27|ATA| ATS Automation Tooling Systems Inc.| 1.60%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|13.ASSET|Equity|1641.8|26.1|KARN| Kardex Holding AG| 1.59%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|14.ASSET|Equity|1641.8|25.94|HEXA.B| Hexagon AB Class B| 1.58%| Developed Markets|Equity|Global Equities|Technology|ROBO|6|15.ASSET|Equity|1641.8|25.61|LAZR| Luminar Technologies, Inc. Class A| 1.56%| North America|Equity|Small Cap Blend Equities||DES|6|1.ASSET|Equity|1881.3|22.95|CCOI| Cogent Communications Holdings Inc| 1.22%| North America|Equity|Small Cap Blend Equities||DES|6|2.ASSET|Equity|1881.3|22.39|SJI| South Jersey Industries, Inc.| 1.19%| North America|Equity|Small Cap Blend Equities||DES|6|3.ASSET|Equity|1881.3|20.13|XRX| Xerox Holdings Corporation| 1.07%| North America|Equity|Small Cap Blend Equities||DES|6|4.ASSET|Equity|1881.3|17.87|NJR| New Jersey Resources Corporation| 0.95%| North America|Equity|Small Cap Blend Equities||DES|6|5.ASSET|Equity|1881.3|17.68|OGS| ONE Gas, Inc.| 0.94%| North America|Equity|Small Cap Blend Equities||DES|6|6.ASSET|Equity|1881.3|17.5|SR| Spire Inc.| 0.93%| North America|Equity|Small Cap Blend Equities||DES|6|7.ASSET|Equity|1881.3|16.56|VGR| Vector Group Ltd.| 0.88%| North America|Equity|Small Cap Blend Equities||DES|6|8.ASSET|Equity|1881.3|16.18|NWE| NorthWestern Corporation| 0.86%| North America|Equity|Small Cap Blend Equities||DES|6|9.ASSET|Equity|1881.3|15.99|AVA| Avista Corporation| 0.85%| North America|Equity|Small Cap Blend Equities||DES|6|10.ASSET|Equity|1881.3|15.61|MSM| MSC Industrial Direct Co., Inc. Class A| 0.83%| North America|Equity|Small Cap Blend Equities||DES|6|11.ASSET|Equity|1881.3|15.24|ALE| ALLETE, Inc.| 0.81%| North America|Equity|Small Cap Blend Equities||DES|6|12.ASSET|Equity|1881.3|14.86|UVV| Universal Corp| 0.79%| North America|Equity|Small Cap Blend Equities||DES|6|13.ASSET|Equity|1881.3|14.49|GEF| Greif Class A| 0.77%| North America|Equity|Small Cap Blend Equities||DES|6|14.ASSET|Equity|1881.3|14.3|CBRL| Cracker Barrel Old Country Store, Inc.| 0.76%| North America|Equity|Small Cap Blend Equities||DES|6|15.ASSET|Equity|1881.3|14.11|MDC| M.D.C. Holdings, Inc.| 0.75%| North America|Equity|Small Cap Value Equities||AVUV|6|1.ASSET|Equity|2704.3|28.4|PDCE| PDC Energy, Inc.| 1.05%| North America|Equity|Small Cap Value Equities||AVUV|6|2.ASSET|Equity|2704.3|25.96|AA| Alcoa Corporation| 0.96%| North America|Equity|Small Cap Value Equities||AVUV|6|3.ASSET|Equity|2704.3|24.88|MTDR| Matador Resources Company| 0.92%| North America|Equity|Small Cap Value Equities||AVUV|6|4.ASSET|Equity|2704.3|24.88|MUR| Murphy Oil Corporation| 0.92%| North America|Equity|Small Cap Value Equities||AVUV|6|5.ASSET|Equity|2704.3|23.53|SM| SM Energy Company| 0.87%| North America|Equity|Small Cap Value Equities||AVUV|6|6.ASSET|Equity|2704.3|20.82|MATX| Matson, Inc.| 0.77%| North America|Equity|Small Cap Value Equities||AVUV|6|7.ASSET|Equity|2704.3|20.82|LPX| Louisiana-Pacific Corporation| 0.77%| North America|Equity|Small Cap Value Equities||AVUV|6|8.ASSET|Equity|2704.3|20.55|TRTN| Triton International Ltd. Class A| 0.76%| North America|Equity|Small Cap Value Equities||AVUV|6|9.ASSET|Equity|2704.3|20.28|R| Ryder System, Inc.| 0.75%| North America|Equity|Small Cap Value Equities||AVUV|6|10.ASSET|Equity|2704.3|19.74|RRC| Range Resources Corporation| 0.73%| North America|Equity|Small Cap Value Equities||AVUV|6|11.ASSET|Equity|2704.3|19.47|M| Macy\'s Inc| 0.72%| North America|Equity|Small Cap Value Equities||AVUV|6|12.ASSET|Equity|2704.3|18.93|FLO| Flowers Foods, Inc.| 0.70%| North America|Equity|Small Cap Value Equities||AVUV|6|13.ASSET|Equity|2704.3|18.39|ATKR| Atkore Inc| 0.68%| North America|Equity|Small Cap Value Equities||AVUV|6|14.ASSET|Equity|2704.3|18.39|CMC| Commercial Metals Company| 0.68%| North America|Equity|Small Cap Value Equities||AVUV|6|15.ASSET|Equity|2704.3|18.12|SAIA| Saia, Inc.| 0.67%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|1.ASSET|Equity|1124.8|24.3|SQM| Sociedad Quimica Y Minera De Chile S.A. Sponsored ADR Pfd Class B| 2.16%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|2.ASSET|Equity|1124.8|23.96|DQ| Daqo New Energy Corp Sponsored ADR| 2.13%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|3.ASSET|Equity|1124.8|23.28|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 2.07%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|4.ASSET|Equity|1124.8|21.03|IEA| Infrastructure & Energy Alternatives, Inc.| 1.87%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|5.ASSET|Equity|1124.8|20.92|WWD| Woodward, Inc.| 1.86%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|6.ASSET|Equity|1124.8|20.25|SUNL| Sunlight Financial Holdings Inc Class A| 1.80%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|7.ASSET|Equity|1124.8|19.91|SEDG| SolarEdge Technologies, Inc.| 1.77%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|8.ASSET|Equity|1124.8|19.57|REGI| Renewable Energy Group, Inc.| 1.74%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|9.ASSET|Equity|1124.8|19.23|SOL| ReneSola Ltd. Sponsored ADR| 1.71%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|10.ASSET|Equity|1124.8|18.9|PLL| Piedmont Lithium Inc| 1.68%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|11.ASSET|Equity|1124.8|18.67|CSIQ| Canadian Solar Inc.| 1.66%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|12.ASSET|Equity|1124.8|18.56|BE| Bloom Energy Corporation Class A| 1.65%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|13.ASSET|Equity|1124.8|18.56|EVGO| EVgo, Inc. Class A| 1.65%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|14.ASSET|Equity|1124.8|18.22|THRM| Gentherm Incorporated| 1.62%| North America|Equity|Small Cap Growth Equities|Energy|PBW|6|15.ASSET|Equity|1124.8|18|AEIS| Advanced Energy Industries, Inc.| 1.60%| North America|Equity|Building & Construction |Materials|XHB|6|1.ASSET|Equity|1774.9|82.18|OC| Owens Corning| 4.63%| North America|Equity|Building & Construction |Materials|XHB|6|2.ASSET|Equity|1774.9|80.76|BLDR| Builders FirstSource, Inc.| 4.55%| North America|Equity|Building & Construction |Materials|XHB|6|3.ASSET|Equity|1774.9|74.72|WHR| Whirlpool Corporation| 4.21%| North America|Equity|Building & Construction |Materials|XHB|6|4.ASSET|Equity|1774.9|74.55|ALLE| Allegion PLC| 4.20%| North America|Equity|Building & Construction |Materials|XHB|6|5.ASSET|Equity|1774.9|74.01|PHM| PulteGroup, Inc.| 4.17%| North America|Equity|Building & Construction |Materials|XHB|6|6.ASSET|Equity|1774.9|72.77|LOW| Lowe\'s Companies, Inc.| 4.10%| North America|Equity|Building & Construction |Materials|XHB|6|7.ASSET|Equity|1774.9|71|WSM| Williams-Sonoma, Inc.| 4.00%| North America|Equity|Building & Construction |Materials|XHB|6|8.ASSET|Equity|1774.9|70.29|NVR| NVR, Inc.| 3.96%| North America|Equity|Building & Construction |Materials|XHB|6|9.ASSET|Equity|1774.9|68.16|MAS| Masco Corporation| 3.84%| North America|Equity|Building & Construction |Materials|XHB|6|10.ASSET|Equity|1774.9|67.98|LII| Lennox International Inc.| 3.83%| North America|Equity|Building & Construction |Materials|XHB|6|11.ASSET|Equity|1774.9|67.8|JCI| Johnson Controls International plc| 3.82%| North America|Equity|Building & Construction |Materials|XHB|6|12.ASSET|Equity|1774.9|67.62|FBHS| Fortune Brands Home & Security, Inc.| 3.81%| North America|Equity|Building & Construction |Materials|XHB|6|13.ASSET|Equity|1774.9|67.27|CARR| Carrier Global Corp.| 3.79%| North America|Equity|Building & Construction |Materials|XHB|6|14.ASSET|Equity|1774.9|66.74|MHK| Mohawk Industries, Inc.| 3.76%| North America|Equity|Building & Construction |Materials|XHB|6|15.ASSET|Equity|1774.9|66.56|DHI| D.R. Horton, Inc.| 3.75%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|1.ASSET|Multi-Asset|1705.8|883.26|IUSB| iShares Core Total USD Bond Market ETF| 51.78%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|2.ASSET|Multi-Asset|1705.8|354.64|IVV| iShares Core S&P 500 ETF| 20.79%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|3.ASSET|Multi-Asset|1705.8|204.53|IDEV| iShares Core MSCI International Developed Markets ETF| 11.99%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|4.ASSET|Multi-Asset|1705.8|157.45|IAGG| iShares Core International Aggregate Bond ETF| 9.23%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|5.ASSET|Multi-Asset|1705.8|70.28|IEMG| iShares Core MSCI Emerging Markets ETF| 4.12%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|6.ASSET|Multi-Asset|1705.8|22|IJH| iShares Core S&P Mid-Cap ETF| 1.29%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|7.ASSET|Multi-Asset|1705.8|9.89|IJR| iShares Core S&P Small Cap ETF| 0.58%| Developed Markets|Multi-Asset|Diversified Portfolio||AOM|6|8.ASSET|Multi-Asset|1705.8|3.75|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.22%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|1.ASSET|Equity|1777.6|35.2|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 1.98%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|2.ASSET|Equity|1777.6|29.15|NESN| Nestle S.A.| 1.64%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|3.ASSET|Equity|1777.6|22.58|700| Tencent Holdings Ltd.| 1.27%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|4.ASSET|Equity|1777.6|21.51|SMSN| Samsung Electronics Co., Ltd. Sponsored GDR| 1.21%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|5.ASSET|Equity|1777.6|20.8|ASML| ASML Holding NV| 1.17%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|6.ASSET|Equity|1777.6|20.09|ROG| Roche Holding Ltd| 1.13%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|7.ASSET|Equity|1777.6|15.47|SHEL| Shell PLC| 0.87%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|8.ASSET|Equity|1777.6|14.75|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.83%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|9.ASSET|Equity|1777.6|14.75|NOVN| Novartis AG| 0.83%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|10.ASSET|Equity|1777.6|14.4|NOVO.B| Novo Nordisk A/S Class B| 0.81%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|11.ASSET|Equity|1777.6|13.33|9988| Alibaba Group Holding Ltd.| 0.75%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|12.ASSET|Equity|1777.6|13.33|7203| Toyota Motor Corp.| 0.75%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|13.ASSET|Equity|1777.6|12.62|RY| Royal Bank of Canada| 0.71%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|14.ASSET|Equity|1777.6|11.91|TD| Toronto-Dominion Bank| 0.67%| Broad Asia|Equity|Foreign Large Cap Equities||CWI|6|15.ASSET|Equity|1777.6|11.91|AZN| AstraZeneca PLC| 0.67%| North America|Equity|Industrials Equities|Industrials|FXR|6|1.ASSET|Equity|1709.2|26.49|AGCO| AGCO Corporation| 1.55%| North America|Equity|Industrials Equities|Industrials|FXR|6|2.ASSET|Equity|1709.2|25.13|RHI| Robert Half International Inc.| 1.47%| North America|Equity|Industrials Equities|Industrials|FXR|6|3.ASSET|Equity|1709.2|24.44|OC| Owens Corning| 1.43%| North America|Equity|Industrials Equities|Industrials|FXR|6|4.ASSET|Equity|1709.2|23.59|JBHT| J.B. Hunt Transport Services, Inc.| 1.38%| North America|Equity|Industrials Equities|Industrials|FXR|6|5.ASSET|Equity|1709.2|23.59|WRK| WestRock Company| 1.38%| North America|Equity|Industrials Equities|Industrials|FXR|6|6.ASSET|Equity|1709.2|23.59|SNDR| Schneider National, Inc. Class B| 1.38%| North America|Equity|Industrials Equities|Industrials|FXR|6|7.ASSET|Equity|1709.2|23.25|R| Ryder System, Inc.| 1.36%| North America|Equity|Industrials Equities|Industrials|FXR|6|8.ASSET|Equity|1709.2|23.25|COF| Capital One Financial Corporation| 1.36%| North America|Equity|Industrials Equities|Industrials|FXR|6|9.ASSET|Equity|1709.2|23.07|SNA| Snap-on Incorporated| 1.35%| North America|Equity|Industrials Equities|Industrials|FXR|6|10.ASSET|Equity|1709.2|23.07|ADS| Alliance Data Systems Corporation| 1.35%| North America|Equity|Industrials Equities|Industrials|FXR|6|11.ASSET|Equity|1709.2|22.73|CHRW| C.H. Robinson Worldwide, Inc.| 1.33%| North America|Equity|Industrials Equities|Industrials|FXR|6|12.ASSET|Equity|1709.2|22.73|RRX| Regal Rexnord Corporation| 1.33%| North America|Equity|Industrials Equities|Industrials|FXR|6|13.ASSET|Equity|1709.2|22.73|CSL| Carlisle Companies Incorporated| 1.33%| North America|Equity|Industrials Equities|Industrials|FXR|6|14.ASSET|Equity|1709.2|22.22|LPX| Louisiana-Pacific Corporation| 1.30%| North America|Equity|Industrials Equities|Industrials|FXR|6|15.ASSET|Equity|1709.2|22.05|WMS| Advanced Drainage Systems, Inc.| 1.29%| North America|Equity|Large Cap Blend Equities||OMFL|6|1.ASSET|Equity|1830.4|115.13|AAPL| Apple Inc.| 6.29%| North America|Equity|Large Cap Blend Equities||OMFL|6|2.ASSET|Equity|1830.4|103.97|MSFT| Microsoft Corporation| 5.68%| North America|Equity|Large Cap Blend Equities||OMFL|6|3.ASSET|Equity|1830.4|81.45|AMZN| Amazon.com, Inc.| 4.45%| North America|Equity|Large Cap Blend Equities||OMFL|6|4.ASSET|Equity|1830.4|75.41|PG| Procter & Gamble Company| 4.12%| North America|Equity|Large Cap Blend Equities||OMFL|6|5.ASSET|Equity|1830.4|74.68|BRK.B| Berkshire Hathaway Inc. Class B| 4.08%| North America|Equity|Large Cap Blend Equities||OMFL|6|6.ASSET|Equity|1830.4|67.36|JNJ| Johnson & Johnson| 3.68%| North America|Equity|Large Cap Blend Equities||OMFL|6|7.ASSET|Equity|1830.4|50.89|V| Visa Inc. Class A| 2.78%| North America|Equity|Large Cap Blend Equities||OMFL|6|8.ASSET|Equity|1830.4|49.6|GOOGL| Alphabet Inc. Class A| 2.71%| North America|Equity|Large Cap Blend Equities||OMFL|6|9.ASSET|Equity|1830.4|48.69|CSCO| Cisco Systems, Inc.| 2.66%| North America|Equity|Large Cap Blend Equities||OMFL|6|10.ASSET|Equity|1830.4|47.04|GOOG| Alphabet Inc. Class C| 2.57%| North America|Equity|Large Cap Blend Equities||OMFL|6|11.ASSET|Equity|1830.4|42.47|FB| Meta Platforms Inc. Class A| 2.32%| North America|Equity|Large Cap Blend Equities||OMFL|6|12.ASSET|Equity|1830.4|42.28|UNH| UnitedHealth Group Incorporated| 2.31%| North America|Equity|Large Cap Blend Equities||OMFL|6|13.ASSET|Equity|1830.4|41.37|MA| Mastercard Incorporated Class A| 2.26%| North America|Equity|Large Cap Blend Equities||OMFL|6|14.ASSET|Equity|1830.4|36.61|WMT| Walmart Inc.| 2.00%| North America|Equity|Large Cap Blend Equities||OMFL|6|15.ASSET|Equity|1830.4|36.42|HD| Home Depot, Inc.| 1.99%| North America|Bond|Government Bonds|Treasuries|GBIL|6|1.ASSET|Bond|2162.4|248.24|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 11.48%| North America|Bond|Government Bonds|Treasuries|GBIL|6|2.ASSET|Bond|2162.4|226.19|N/A| United States Treasury Bills 0.0% 26-MAY-2022| 10.46%| North America|Bond|Government Bonds|Treasuries|GBIL|6|3.ASSET|Bond|2162.4|217.97|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 10.08%| North America|Bond|Government Bonds|Treasuries|GBIL|6|4.ASSET|Bond|2162.4|188.13|N/A| United States Treasury Bills 0.0% 26-APR-2022| 8.70%| North America|Bond|Government Bonds|Treasuries|GBIL|6|5.ASSET|Bond|2162.4|153.53|N/A| United States Treasury Bills 0.0% 07-APR-2022| 7.10%| North America|Bond|Government Bonds|Treasuries|GBIL|6|6.ASSET|Bond|2162.4|151.58|N/A| United States Treasury Bills 0.0% 12-APR-2022| 7.01%| North America|Bond|Government Bonds|Treasuries|GBIL|6|7.ASSET|Bond|2162.4|126.72|N/A| United States Treasury Notes 1.5% 15-JAN-2023| 5.86%| North America|Bond|Government Bonds|Treasuries|GBIL|6|8.ASSET|Bond|2162.4|120.88|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 5.59%| North America|Bond|Government Bonds|Treasuries|GBIL|6|9.ASSET|Bond|2162.4|109.85|N/A| United States Treasury Bills 0.0% 21-APR-2022| 5.08%| North America|Bond|Government Bonds|Treasuries|GBIL|6|10.ASSET|Bond|2162.4|97.96|N/A| United States Treasury Notes 2.0% 31-OCT-2022| 4.53%| North America|Bond|Government Bonds|Treasuries|GBIL|6|11.ASSET|Bond|2162.4|96.01|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 4.44%| North America|Bond|Government Bonds|Treasuries|GBIL|6|12.ASSET|Bond|2162.4|87.58|N/A| United States Treasury Notes 0.125% 30-SEP-2022| 4.05%| North America|Bond|Government Bonds|Treasuries|GBIL|6|13.ASSET|Bond|2162.4|64.87|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 3.00%| North America|Bond|Government Bonds|Treasuries|GBIL|6|14.ASSET|Bond|2162.4|58.82|N/A| United States Treasury Notes 1.5% 15-AUG-2022| 2.72%| North America|Bond|Government Bonds|Treasuries|GBIL|6|15.ASSET|Bond|2162.4|54.71|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 2.53%| North America|Equity|Large Cap Growth Equities||PDP|6|1.ASSET|Equity|1367.6|45.13|AAPL| Apple Inc.| 3.30%| North America|Equity|Large Cap Growth Equities||PDP|6|2.ASSET|Equity|1367.6|41.99|ORLY| O\'Reilly Automotive, Inc.| 3.07%| North America|Equity|Large Cap Growth Equities||PDP|6|3.ASSET|Equity|1367.6|36.93|AMT| American Tower Corporation| 2.70%| North America|Equity|Large Cap Growth Equities||PDP|6|4.ASSET|Equity|1367.6|33.64|DPZ| Domino\'s Pizza, Inc.| 2.46%| North America|Equity|Large Cap Growth Equities||PDP|6|5.ASSET|Equity|1367.6|33.64|NVDA| NVIDIA Corporation| 2.46%| North America|Equity|Large Cap Growth Equities||PDP|6|6.ASSET|Equity|1367.6|33.1|WST| West Pharmaceutical Services, Inc.| 2.42%| North America|Equity|Large Cap Growth Equities||PDP|6|7.ASSET|Equity|1367.6|27.9|SHW| Sherwin-Williams Company| 2.04%| North America|Equity|Large Cap Growth Equities||PDP|6|8.ASSET|Equity|1367.6|27.49|CPRT| Copart, Inc.| 2.01%| North America|Equity|Large Cap Growth Equities||PDP|6|9.ASSET|Equity|1367.6|26.67|NKE| NIKE, Inc. Class B| 1.95%| North America|Equity|Large Cap Growth Equities||PDP|6|10.ASSET|Equity|1367.6|26.26|DHR| Danaher Corporation| 1.92%| North America|Equity|Large Cap Growth Equities||PDP|6|11.ASSET|Equity|1367.6|26.12|MPWR| Monolithic Power Systems, Inc.| 1.91%| North America|Equity|Large Cap Growth Equities||PDP|6|12.ASSET|Equity|1367.6|25.57|CDNS| Cadence Design Systems, Inc.| 1.87%| North America|Equity|Large Cap Growth Equities||PDP|6|13.ASSET|Equity|1367.6|24.62|ODFL| Old Dominion Freight Line, Inc.| 1.80%| North America|Equity|Large Cap Growth Equities||PDP|6|14.ASSET|Equity|1367.6|24.07|MTD| Mettler-Toledo International Inc.| 1.76%| North America|Equity|Large Cap Growth Equities||PDP|6|15.ASSET|Equity|1367.6|23.66|APH| Amphenol Corporation Class A| 1.73%| North America|Bond|National Munis|High Yield Munis|HYMB|6|1.ASSET|Bond|1756.8|30.22|N/A| Buckeye Ohio Tob Settlement Fing Auth 5.0% 01-JUN-2055| 1.72%| North America|Bond|National Munis|High Yield Munis|HYMB|6|2.ASSET|Bond|1756.8|29.34|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 5.0% 01-JUL-2058| 1.67%| North America|Bond|National Munis|High Yield Munis|HYMB|6|3.ASSET|Bond|1756.8|27.05|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 4.75% 01-JUL-2053| 1.54%| North America|Bond|National Munis|High Yield Munis|HYMB|6|4.ASSET|Bond|1756.8|21.26|N/A| Florida Dev Fin Corp Surface Transn Fac Rev 7.375% 01-JAN-2049| 1.21%| North America|Bond|National Munis|High Yield Munis|HYMB|6|5.ASSET|Bond|1756.8|13.88|N/A| Puerto Rico Comwlth Aqueduct & Swr Auth Rev 5.0% 01-JUL-2033| 0.79%| North America|Bond|National Munis|High Yield Munis|HYMB|6|6.ASSET|Bond|1756.8|13.7|N/A| MUNICIPAL BONDS| 0.78%| North America|Bond|National Munis|High Yield Munis|HYMB|6|7.ASSET|Bond|1756.8|11.77|N/A| Puerto Rico Comwlth Aqueduct & Swr Auth Rev 5.0% 01-JUL-2037| 0.67%| North America|Bond|National Munis|High Yield Munis|HYMB|6|8.ASSET|Bond|1756.8|11.07|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 4.329% 01-JUL-2040| 0.63%| North America|Bond|National Munis|High Yield Munis|HYMB|6|9.ASSET|Bond|1756.8|10.37|N/A| Florida Dev Fin Corp Surface Transn Fac Rev VAR 01-JAN-2049| 0.59%| North America|Bond|National Munis|High Yield Munis|HYMB|6|10.ASSET|Bond|1756.8|10.01|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 4.784% 01-JUL-2058| 0.57%| North America|Bond|National Munis|High Yield Munis|HYMB|6|11.ASSET|Bond|1756.8|9.14|N/A| Chicago Ill Brd Ed 5.0% 01-DEC-2029| 0.52%| North America|Bond|National Munis|High Yield Munis|HYMB|6|12.ASSET|Bond|1756.8|8.96|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 4.329% 01-JUL-2040| 0.51%| North America|Bond|National Munis|High Yield Munis|HYMB|6|13.ASSET|Bond|1756.8|8.96|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 0.51%| North America|Bond|National Munis|High Yield Munis|HYMB|6|14.ASSET|Bond|1756.8|8.26|N/A| Childrens Tr Fd P R Tob Settlement Rev 0.0% 15-MAY-2057| 0.47%| North America|Bond|National Munis|High Yield Munis|HYMB|6|15.ASSET|Bond|1756.8|8.08|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 0.0% 01-JUL-2031| 0.46%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|1.ASSET|Preferred Stock|1551.8|39.11|JPM.PRC| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Perp Red Pfd Registered ShsSeries -EE-| 2.52%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|2.ASSET|Preferred Stock|1551.8|37.86|WFC.PRZ| Wells Fargo & Co Depositary Shs Repr 1/1000th 4.75% Non-Cum Red Perp Pfd Shs A Series Z| 2.44%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|3.ASSET|Preferred Stock|1551.8|35.54|C.PRK| Citigroup Inc. Deposit Shs Repr 1/1000th Non-Cum Perp Pfd Shs Series K| 2.29%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|4.ASSET|Preferred Stock|1551.8|35.38|JPM.PRD| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Pfd Registered Shs Series -DD-| 2.28%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|5.ASSET|Preferred Stock|1551.8|35.07|JPM.PRM| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Perp Pfd Rg Shs Series -MM-| 2.26%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|6.ASSET|Preferred Stock|1551.8|34.92|WFC.PRQ| Wells Fargo & Company Deposit Shs Repr 1/1000th 5.85 % Non-Cum Perp Pfd Shs A Series Q| 2.25%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|7.ASSET|Preferred Stock|1551.8|33.98|N/A| EQUITY OTHER| 2.19%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|8.ASSET|Preferred Stock|1551.8|33.98|JPM.PRL| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Perp Pfd Rg Shs Series -LL-| 2.19%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|9.ASSET|Preferred Stock|1551.8|32.59|PNC.PRP| PNC Financial Services Group, Inc. Deposit Shs Repr 1/4000th Non-Cum Perp Pfd Shs Series P| 2.10%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|10.ASSET|Preferred Stock|1551.8|29.02|BAC.PRM| Bank of America Corp Depositary Shs Repr 1/1000th Perp Non-Cum Pfd Registered Shs Series -KK-| 1.87%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|11.ASSET|Preferred Stock|1551.8|28.55|BAC.PRB| Bank of America Corp Deposit Shs Repr 1/1000th Non-Cum Red Perp Pfd Shs Series GG| 1.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|12.ASSET|Preferred Stock|1551.8|28.55|COF.PRI| Capital One Financial Corporation Depositary Shs Repr 1/40th 5% Non-Cum Red Perp Pfd Registered Shs Ser I| 1.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|13.ASSET|Preferred Stock|1551.8|27.62|BAC.PRN| Bank of America Corp Depositary Shs Repr 1/1000th Perp Non-Cum Red Pfd Rg Shs Series -LL-| 1.78%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|14.ASSET|Preferred Stock|1551.8|27.47|JPM.PRK| JPMorgan Chase & Co Depositary Shs Repr 1/400th 4.55% Non-Cum Red Perp Pfd Rg Shs Series JJ| 1.77%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PGF|6|15.ASSET|Preferred Stock|1551.8|24.98|ALL.PRH| Allstate Corporation Depositary Shs Repr 1/1000th 5.1% Non-Cum Red Perp Pfd Series H| 1.61%| Emerging Asia Pacific|Equity|China Equities||GXC|6|1.ASSET|Equity|1534.8|178.5|700| Tencent Holdings Ltd.| 11.63%| Emerging Asia Pacific|Equity|China Equities||GXC|6|2.ASSET|Equity|1534.8|105.59|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 6.88%| Emerging Asia Pacific|Equity|China Equities||GXC|6|3.ASSET|Equity|1534.8|48.19|3690| Meituan Class B| 3.14%| Emerging Asia Pacific|Equity|China Equities||GXC|6|4.ASSET|Equity|1534.8|40.67|939| China Construction Bank Corporation Class H| 2.65%| Emerging Asia Pacific|Equity|China Equities||GXC|6|5.ASSET|Equity|1534.8|35.76|JD| JD.com, Inc. Sponsored ADR Class A| 2.33%| Emerging Asia Pacific|Equity|China Equities||GXC|6|6.ASSET|Equity|1534.8|25.17|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.64%| Emerging Asia Pacific|Equity|China Equities||GXC|6|7.ASSET|Equity|1534.8|24.4|BIDU| Baidu Inc Sponsored ADR Class A| 1.59%| Emerging Asia Pacific|Equity|China Equities||GXC|6|8.ASSET|Equity|1534.8|21.33|1398| Industrial and Commercial Bank of China Limited Class H| 1.39%| Emerging Asia Pacific|Equity|China Equities||GXC|6|9.ASSET|Equity|1534.8|18.42|NTES| NetEase, Inc. Sponsored ADR| 1.20%| Emerging Asia Pacific|Equity|China Equities||GXC|6|10.ASSET|Equity|1534.8|17.34|3968| China Merchants Bank Co., Ltd. Class H| 1.13%| Emerging Asia Pacific|Equity|China Equities||GXC|6|11.ASSET|Equity|1534.8|16.42|1810| Xiaomi Corp. Class B| 1.07%| Emerging Asia Pacific|Equity|China Equities||GXC|6|12.ASSET|Equity|1534.8|16.27|600519| Kweichow Moutai Co., Ltd. Class A| 1.06%| Emerging Asia Pacific|Equity|China Equities||GXC|6|13.ASSET|Equity|1534.8|16.12|NIO| NIO Inc. Sponsored ADR Class A| 1.05%| Emerging Asia Pacific|Equity|China Equities||GXC|6|14.ASSET|Equity|1534.8|15.81|3988| Bank of China Limited Class H| 1.03%| Emerging Asia Pacific|Equity|China Equities||GXC|6|15.ASSET|Equity|1534.8|15.35|2269| Wuxi Biologics (Cayman) Inc.| 1.00%| North America|Equity|Large Cap Blend Equities||PKW|6|1.ASSET|Equity|1482|75.58|BAC| Bank of America Corp| 5.10%| North America|Equity|Large Cap Blend Equities||PKW|6|2.ASSET|Equity|1482|72.17|CHTR| Charter Communications, Inc. Class A| 4.87%| North America|Equity|Large Cap Blend Equities||PKW|6|3.ASSET|Equity|1482|69.06|ORCL| Oracle Corporation| 4.66%| North America|Equity|Large Cap Blend Equities||PKW|6|4.ASSET|Equity|1482|67.88|LOW| Lowe\'s Companies, Inc.| 4.58%| North America|Equity|Large Cap Blend Equities||PKW|6|5.ASSET|Equity|1482|60.76|CI| Cigna Corporation| 4.10%| North America|Equity|Large Cap Blend Equities||PKW|6|6.ASSET|Equity|1482|60.61|HCA| HCA Healthcare Inc| 4.09%| North America|Equity|Large Cap Blend Equities||PKW|6|7.ASSET|Equity|1482|46.24|COF| Capital One Financial Corporation| 3.12%| North America|Equity|Large Cap Blend Equities||PKW|6|8.ASSET|Equity|1482|41.94|MET| MetLife, Inc.| 2.83%| North America|Equity|Large Cap Blend Equities||PKW|6|9.ASSET|Equity|1482|38.68|LHX| L3Harris Technologies Inc| 2.61%| North America|Equity|Large Cap Blend Equities||PKW|6|10.ASSET|Equity|1482|36.01|DG| Dollar General Corporation| 2.43%| North America|Equity|Large Cap Blend Equities||PKW|6|11.ASSET|Equity|1482|35.72|MPC| Marathon Petroleum Corporation| 2.41%| North America|Equity|Large Cap Blend Equities||PKW|6|12.ASSET|Equity|1482|34.23|ORLY| O\'Reilly Automotive, Inc.| 2.31%| North America|Equity|Large Cap Blend Equities||PKW|6|13.ASSET|Equity|1482|32.31|BK| Bank of New York Mellon Corporation| 2.18%| North America|Equity|Large Cap Blend Equities||PKW|6|14.ASSET|Equity|1482|30.23|DD| DuPont de Nemours, Inc.| 2.04%| North America|Equity|Large Cap Blend Equities||PKW|6|15.ASSET|Equity|1482|29.94|AFL| Aflac Incorporated| 2.02%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|1.ASSET|Equity|1497.5|61.25|SRPT| Sarepta Therapeutics, Inc.| 4.09%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|2.ASSET|Equity|1497.5|59.75|NBIX| Neurocrine Biosciences, Inc.| 3.99%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|3.ASSET|Equity|1497.5|59.15|EXEL| Exelixis, Inc.| 3.95%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|4.ASSET|Equity|1497.5|58.4|ALNY| Alnylam Pharmaceuticals, Inc| 3.90%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|5.ASSET|Equity|1497.5|56.91|ACAD| ACADIA Pharmaceuticals Inc.| 3.80%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|6.ASSET|Equity|1497.5|56.46|TECH| Bio-Techne Corporation| 3.77%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|7.ASSET|Equity|1497.5|54.21|IONS| Ionis Pharmaceuticals, Inc.| 3.62%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|8.ASSET|Equity|1497.5|52.86|AGIO| Agios Pharmaceuticals, Inc.| 3.53%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|9.ASSET|Equity|1497.5|50.47|GRFS| Grifols, S.A. Sponsored ADR Class B| 3.37%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|10.ASSET|Equity|1497.5|50.17|VRTX| Vertex Pharmaceuticals Incorporated| 3.35%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|11.ASSET|Equity|1497.5|49.72|EXAS| Exact Sciences Corporation| 3.32%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|12.ASSET|Equity|1497.5|49.12|RARE| Ultragenyx Pharmaceutical, Inc.| 3.28%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|13.ASSET|Equity|1497.5|49.12|AMGN| Amgen Inc.| 3.28%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|14.ASSET|Equity|1497.5|48.97|QGEN| QIAGEN NV| 3.27%| North America|Equity|Health & Biotech Equities|Healthcare|FBT|6|15.ASSET|Equity|1497.5|48.67|BNTX| BioNTech SE Sponsored ADR| 3.25%| North America|Equity|Small Cap Blend Equities||SLY|6|1.ASSET|Equity|1836.6|11.02|RRC| Range Resources Corporation| 0.60%| North America|Equity|Small Cap Blend Equities||SLY|6|2.ASSET|Equity|1836.6|10.84|OMCL| Omnicell, Inc.| 0.59%| North America|Equity|Small Cap Blend Equities||SLY|6|3.ASSET|Equity|1836.6|10.47|MTDR| Matador Resources Company| 0.57%| North America|Equity|Small Cap Blend Equities||SLY|6|4.ASSET|Equity|1836.6|9.73|SWN| Southwestern Energy Company| 0.53%| North America|Equity|Small Cap Blend Equities||SLY|6|5.ASSET|Equity|1836.6|9.55|GTLS| Chart Industries, Inc.| 0.52%| North America|Equity|Small Cap Blend Equities||SLY|6|6.ASSET|Equity|1836.6|9.55|ROG| Rogers Corporation| 0.52%| North America|Equity|Small Cap Blend Equities||SLY|6|7.ASSET|Equity|1836.6|9.55|VG| Vonage Holdings Corp.| 0.52%| North America|Equity|Small Cap Blend Equities||SLY|6|8.ASSET|Equity|1836.6|9.55|UFPI| UFP Industries, Inc.| 0.52%| North America|Equity|Small Cap Blend Equities||SLY|6|9.ASSET|Equity|1836.6|9.18|AMN| AMN Healthcare Services, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||SLY|6|10.ASSET|Equity|1836.6|9.18|EXPO| Exponent, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||SLY|6|11.ASSET|Equity|1836.6|8.45|SPSC| SPS Commerce, Inc.| 0.46%| North America|Equity|Small Cap Blend Equities||SLY|6|12.ASSET|Equity|1836.6|8.45|SM| SM Energy Company| 0.46%| North America|Equity|Small Cap Blend Equities||SLY|6|13.ASSET|Equity|1836.6|8.26|LXP| LXP Industrial Trust| 0.45%| North America|Equity|Small Cap Blend Equities||SLY|6|14.ASSET|Equity|1836.6|8.26|ADC| Agree Realty Corporation| 0.45%| North America|Equity|Small Cap Blend Equities||SLY|6|15.ASSET|Equity|1836.6|8.26|BCPC| Balchem Corporation| 0.45%| North America|Bond|Government Bonds|Treasuries|VUSB|6|1.ASSET|Bond|2339.1|244.44|N/A| U.S. Dollar| 10.45%| North America|Bond|Government Bonds|Treasuries|VUSB|6|2.ASSET|Bond|2339.1|131.46|N/A| United States Treasury Notes 2.625% 31-DEC-2023| 5.62%| North America|Bond|Government Bonds|Treasuries|VUSB|6|3.ASSET|Bond|2339.1|35.79|N/A| ASSET-BACKED SECURITIES| 1.53%| North America|Bond|Government Bonds|Treasuries|VUSB|6|4.ASSET|Bond|2339.1|18.01|N/A| Macquarie Group Limited 3.189% 28-NOV-2023| 0.77%| North America|Bond|Government Bonds|Treasuries|VUSB|6|5.ASSET|Bond|2339.1|17.31|N/A| Ralph Lauren Corporation 1.7% 15-JUN-2022| 0.74%| North America|Bond|Government Bonds|Treasuries|VUSB|6|6.ASSET|Bond|2339.1|16.61|N/A| Bank of Korea 0.88% 09-JUL-2022| 0.71%| North America|Bond|Government Bonds|Treasuries|VUSB|6|7.ASSET|Bond|2339.1|16.37|N/A| SSM Health Care Corporation 3.688% 01-JUN-2023| 0.70%| North America|Bond|Government Bonds|Treasuries|VUSB|6|8.ASSET|Bond|2339.1|15.67|N/A| Sky Limited 3.125% 26-NOV-2022| 0.67%| North America|Bond|Government Bonds|Treasuries|VUSB|6|9.ASSET|Bond|2339.1|14.97|N/A| HSBC Holdings Plc 3.262% 13-MAR-2023| 0.64%| North America|Bond|Government Bonds|Treasuries|VUSB|6|10.ASSET|Bond|2339.1|14.27|N/A| 7-Eleven, Inc. 0.625% 10-FEB-2023| 0.61%| North America|Bond|Government Bonds|Treasuries|VUSB|6|11.ASSET|Bond|2339.1|14.03|N/A| Credit Suisse AG (New York Branch) 1.0% 05-MAY-2023| 0.60%| North America|Bond|Government Bonds|Treasuries|VUSB|6|12.ASSET|Bond|2339.1|12.87|N/A| Bank of Montreal 0.4% 15-SEP-2023| 0.55%| North America|Bond|Government Bonds|Treasuries|VUSB|6|13.ASSET|Bond|2339.1|12.87|N/A| National Bank of Canada 2.15% 07-OCT-2022| 0.55%| North America|Bond|Government Bonds|Treasuries|VUSB|6|14.ASSET|Bond|2339.1|12.63|N/A| Banque Federative du Credit Mutuel SA 2.125% 21-NOV-2022| 0.54%| North America|Bond|Government Bonds|Treasuries|VUSB|6|15.ASSET|Bond|2339.1|12.16|N/A| Huntington Ingalls Industries, Inc. 0.67% 16-AUG-2023| 0.52%| North America|Equity|Large Cap Growth Equities||IYY|6|1.ASSET|Equity|1683.6|102.87|AAPL| Apple Inc.| 6.11%| North America|Equity|Large Cap Growth Equities||IYY|6|2.ASSET|Equity|1683.6|89.74|MSFT| Microsoft Corporation| 5.33%| North America|Equity|Large Cap Growth Equities||IYY|6|3.ASSET|Equity|1683.6|53.54|AMZN| Amazon.com, Inc.| 3.18%| North America|Equity|Large Cap Growth Equities||IYY|6|4.ASSET|Equity|1683.6|32.49|GOOGL| Alphabet Inc. Class A| 1.93%| North America|Equity|Large Cap Growth Equities||IYY|6|5.ASSET|Equity|1683.6|30.14|GOOG| Alphabet Inc. Class C| 1.79%| North America|Equity|Large Cap Growth Equities||IYY|6|6.ASSET|Equity|1683.6|28.28|TSLA| Tesla Inc| 1.68%| North America|Equity|Large Cap Growth Equities||IYY|6|7.ASSET|Equity|1683.6|24.41|NVDA| NVIDIA Corporation| 1.45%| North America|Equity|Large Cap Growth Equities||IYY|6|8.ASSET|Equity|1683.6|23.57|BRK.B| Berkshire Hathaway Inc. Class B| 1.40%| North America|Equity|Large Cap Growth Equities||IYY|6|9.ASSET|Equity|1683.6|20.03|FB| Meta Platforms Inc. Class A| 1.19%| North America|Equity|Large Cap Growth Equities||IYY|6|10.ASSET|Equity|1683.6|17.85|UNH| UnitedHealth Group Incorporated| 1.06%| North America|Equity|Large Cap Growth Equities||IYY|6|11.ASSET|Equity|1683.6|17.34|JNJ| Johnson & Johnson| 1.03%| North America|Equity|Large Cap Growth Equities||IYY|6|12.ASSET|Equity|1683.6|16.84|JPM| JPMorgan Chase & Co.| 1.00%| North America|Equity|Large Cap Growth Equities||IYY|6|13.ASSET|Equity|1683.6|15.15|PG| Procter & Gamble Company| 0.90%| North America|Equity|Large Cap Growth Equities||IYY|6|14.ASSET|Equity|1683.6|14.48|V| Visa Inc. Class A| 0.86%| North America|Equity|Large Cap Growth Equities||IYY|6|15.ASSET|Equity|1683.6|13.3|HD| Home Depot, Inc.| 0.79%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|1.ASSET|Equity|2173.4|307.75|XOM| Exxon Mobil Corporation| 14.16%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|2.ASSET|Equity|2173.4|264.94|CVX| Chevron Corporation| 12.19%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|3.ASSET|Equity|2173.4|184.3|SHEL| Shell PLC| 8.48%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|4.ASSET|Equity|2173.4|117.36|COP| ConocoPhillips| 5.40%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|5.ASSET|Equity|2173.4|112.58|TTE| TotalEnergies SE| 5.18%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|6.ASSET|Equity|2173.4|88.67|BP| BP p.l.c.| 4.08%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|7.ASSET|Equity|2173.4|80.63|ENB| Enbridge Inc.| 3.71%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|8.ASSET|Equity|2173.4|62.38|EOG| EOG Resources, Inc.| 2.87%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|9.ASSET|Equity|2173.4|60.64|CNQ| Canadian Natural Resources Limited| 2.79%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|10.ASSET|Equity|2173.4|49.99|PXD| Pioneer Natural Resources Company| 2.30%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|11.ASSET|Equity|2173.4|48.47|SLB| Schlumberger NV| 2.23%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|12.ASSET|Equity|2173.4|48.03|TRP| TC Energy Corporation| 2.21%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|13.ASSET|Equity|2173.4|42.38|MPC| Marathon Petroleum Corporation| 1.95%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|14.ASSET|Equity|2173.4|41.08|SU| Suncor Energy Inc.| 1.89%| Developed Markets|Equity|Energy Equities|Energy|IXC|6|15.ASSET|Equity|2173.4|38.03|OXY| Occidental Petroleum Corporation| 1.75%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|1.ASSET|Bond|2482.6|699.35|N/A| Government of the United States of America FRN 30-APR-2023| 28.17%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|2.ASSET|Bond|2482.6|699.35|N/A| Government of the United States of America FRN 31-JUL-2023| 28.17%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|3.ASSET|Bond|2482.6|698.11|N/A| Government of the United States of America FRN 31-JUL-2023| 28.12%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|4.ASSET|Bond|2482.6|698.11|N/A| Government of the United States of America FRN 30-APR-2023| 28.12%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|5.ASSET|Bond|2482.6|664.59|N/A| Government of the United States of America FRN 31-OCT-2023| 26.77%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|6.ASSET|Bond|2482.6|663.35|N/A| Government of the United States of America FRN 31-OCT-2023| 26.72%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|7.ASSET|Bond|2482.6|419.31|N/A| Government of the United States of America FRN 31-JAN-2024| 16.89%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|8.ASSET|Bond|2482.6|416.33|N/A| Government of the United States of America FRN 31-JAN-2024| 16.77%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|9.ASSET|Bond|2482.6|6.7|N/A| U.S. Dollar| 0.27%| North America|Bond|Government Bonds|Floating Rate Treasury|USFR|6|10.ASSET|Bond|2482.6|0|N/A| U.S. Dollar| 0.00%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|1.ASSET|Equity|1736.8|147.11|HSBA| HSBC Holdings Plc| 8.47%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|2.ASSET|Equity|1736.8|96.57|ALV| Allianz SE| 5.56%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|3.ASSET|Equity|1736.8|73.12|ZURN| Zurich Insurance Group Ltd| 4.21%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|4.ASSET|Equity|1736.8|66.69|UBSG| UBS Group AG| 3.84%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|5.ASSET|Equity|1736.8|66.35|BNP| BNP Paribas SA Class A| 3.82%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|6.ASSET|Equity|1736.8|59.57|SAN| Banco Santander, S.A.| 3.43%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|7.ASSET|Equity|1736.8|54.71|CS| AXA SA| 3.15%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|8.ASSET|Equity|1736.8|46.89|LLOY| Lloyds Banking Group plc| 2.70%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|9.ASSET|Equity|1736.8|44.11|INGA| ING Groep NV| 2.54%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|10.ASSET|Equity|1736.8|42.55|ISP| Intesa Sanpaolo S.p.A.| 2.45%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|11.ASSET|Equity|1736.8|42.2|PRU| Prudential plc| 2.43%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|12.ASSET|Equity|1736.8|41.68|BARC| Barclays PLC| 2.40%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|13.ASSET|Equity|1736.8|40.99|BBVA| Banco Bilbao Vizcaya Argentaria, S.A.| 2.36%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|14.ASSET|Equity|1736.8|39.77|MUV2| Munich Reinsurance Company| 2.29%| Developed Europe|Equity|Financials Equities|Financials|EUFN|6|15.ASSET|Equity|1736.8|38.9|INVE.B| Investor AB Class B| 2.24%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|1.ASSET|Real Estate|1652.8|115.86|PLD| Prologis, Inc.| 7.01%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|2.ASSET|Real Estate|1652.8|58.84|PSA| Public Storage| 3.56%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|3.ASSET|Real Estate|1652.8|47.6|SPG| Simon Property Group, Inc.| 2.88%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|4.ASSET|Real Estate|1652.8|40.82|DLR| Digital Realty Trust, Inc.| 2.47%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|5.ASSET|Real Estate|1652.8|40|O| Realty Income Corporation| 2.42%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|6.ASSET|Real Estate|1652.8|38.51|WELL| Welltower, Inc.| 2.33%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|7.ASSET|Real Estate|1652.8|35.2|AVB| AvalonBay Communities, Inc.| 2.13%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|8.ASSET|Real Estate|1652.8|30.74|EQR| Equity Residential| 1.86%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|9.ASSET|Real Estate|1652.8|29.59|GMG| Goodman Group| 1.79%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|10.ASSET|Real Estate|1652.8|28.43|ARE| Alexandria Real Estate Equities, Inc.| 1.72%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|11.ASSET|Real Estate|1652.8|27.6|EXR| Extra Space Storage Inc.| 1.67%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|12.ASSET|Real Estate|1652.8|25.29|MAA| Mid-America Apartment Communities, Inc.| 1.53%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|13.ASSET|Real Estate|1652.8|23.97|INVH| Invitation Homes, Inc.| 1.45%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|14.ASSET|Real Estate|1652.8|22.97|8801| Mitsui Fudosan Co., Ltd.| 1.39%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWO|6|15.ASSET|Real Estate|1652.8|22.97|VTR| Ventas, Inc.| 1.39%| North America|Equity|All Cap Equities||TILT|6|1.ASSET|Equity|1594.5|68.88|AAPL| Apple Inc.| 4.32%| North America|Equity|All Cap Equities||TILT|6|2.ASSET|Equity|1594.5|59.95|MSFT| Microsoft Corporation| 3.76%| North America|Equity|All Cap Equities||TILT|6|3.ASSET|Equity|1594.5|35.24|AMZN| Amazon.com, Inc.| 2.21%| North America|Equity|All Cap Equities||TILT|6|4.ASSET|Equity|1594.5|21.53|GOOGL| Alphabet Inc. Class A| 1.35%| North America|Equity|All Cap Equities||TILT|6|5.ASSET|Equity|1594.5|19.93|GOOG| Alphabet Inc. Class C| 1.25%| North America|Equity|All Cap Equities||TILT|6|6.ASSET|Equity|1594.5|19.45|BRK.B| Berkshire Hathaway Inc. Class B| 1.22%| North America|Equity|All Cap Equities||TILT|6|7.ASSET|Equity|1594.5|19.13|TSLA| Tesla Inc| 1.20%| North America|Equity|All Cap Equities||TILT|6|8.ASSET|Equity|1594.5|16.1|NVDA| NVIDIA Corporation| 1.01%| North America|Equity|All Cap Equities||TILT|6|9.ASSET|Equity|1594.5|15.15|UNH| UnitedHealth Group Incorporated| 0.95%| North America|Equity|All Cap Equities||TILT|6|10.ASSET|Equity|1594.5|14.35|JNJ| Johnson & Johnson| 0.90%| North America|Equity|All Cap Equities||TILT|6|11.ASSET|Equity|1594.5|13.55|JPM| JPMorgan Chase & Co.| 0.85%| North America|Equity|All Cap Equities||TILT|6|12.ASSET|Equity|1594.5|13.07|FB| Meta Platforms Inc. Class A| 0.82%| North America|Equity|All Cap Equities||TILT|6|13.ASSET|Equity|1594.5|11|XOM| Exxon Mobil Corporation| 0.69%| North America|Equity|All Cap Equities||TILT|6|14.ASSET|Equity|1594.5|10.2|BAC| Bank of America Corp| 0.64%| North America|Equity|All Cap Equities||TILT|6|15.ASSET|Equity|1594.5|9.89|PG| Procter & Gamble Company| 0.62%| North America|Equity|Transportation Equities|Industrials|IYT|6|1.ASSET|Equity|1612.8|306.75|UNP| Union Pacific Corporation| 19.02%| North America|Equity|Transportation Equities|Industrials|IYT|6|2.ASSET|Equity|1612.8|294.98|UPS| United Parcel Service, Inc. Class B| 18.29%| North America|Equity|Transportation Equities|Industrials|IYT|6|3.ASSET|Equity|1612.8|145.47|CSX| CSX Corporation| 9.02%| North America|Equity|Transportation Equities|Industrials|IYT|6|4.ASSET|Equity|1612.8|69.03|NSC| Norfolk Southern Corporation| 4.28%| North America|Equity|Transportation Equities|Industrials|IYT|6|5.ASSET|Equity|1612.8|68.06|FDX| FedEx Corporation| 4.22%| North America|Equity|Transportation Equities|Industrials|IYT|6|6.ASSET|Equity|1612.8|67.74|UBER| Uber Technologies, Inc.| 4.20%| North America|Equity|Transportation Equities|Industrials|IYT|6|7.ASSET|Equity|1612.8|67.42|ODFL| Old Dominion Freight Line, Inc.| 4.18%| North America|Equity|Transportation Equities|Industrials|IYT|6|8.ASSET|Equity|1612.8|62.09|LUV| Southwest Airlines Co.| 3.85%| North America|Equity|Transportation Equities|Industrials|IYT|6|9.ASSET|Equity|1612.8|60.32|DAL| Delta Air Lines, Inc.| 3.74%| North America|Equity|Transportation Equities|Industrials|IYT|6|10.ASSET|Equity|1612.8|43.06|EXPD| Expeditors International of Washington, Inc.| 2.67%| North America|Equity|Transportation Equities|Industrials|IYT|6|11.ASSET|Equity|1612.8|42.09|JBHT| J.B. Hunt Transport Services, Inc.| 2.61%| North America|Equity|Transportation Equities|Industrials|IYT|6|12.ASSET|Equity|1612.8|34.03|CHRW| C.H. Robinson Worldwide, Inc.| 2.11%| North America|Equity|Transportation Equities|Industrials|IYT|6|13.ASSET|Equity|1612.8|33.87|UAL| United Airlines Holdings, Inc.| 2.10%| North America|Equity|Transportation Equities|Industrials|IYT|6|14.ASSET|Equity|1612.8|27.9|LYFT| Lyft, Inc. Class A| 1.73%| North America|Equity|Transportation Equities|Industrials|IYT|6|15.ASSET|Equity|1612.8|26.45|AAL| American Airlines Group, Inc.| 1.64%| North America|Equity|Mid Cap Growth Equities||MDYG|6|1.ASSET|Equity|1640.3|24.6|CPT| Camden Property Trust| 1.50%| North America|Equity|Mid Cap Growth Equities||MDYG|6|2.ASSET|Equity|1640.3|22.14|TRGP| Targa Resources Corp.| 1.35%| North America|Equity|Mid Cap Growth Equities||MDYG|6|3.ASSET|Equity|1640.3|20.67|BLDR| Builders FirstSource, Inc.| 1.26%| North America|Equity|Mid Cap Growth Equities||MDYG|6|4.ASSET|Equity|1640.3|20.01|STLD| Steel Dynamics, Inc.| 1.22%| North America|Equity|Mid Cap Growth Equities||MDYG|6|5.ASSET|Equity|1640.3|18.37|DAR| Darling Ingredients Inc.| 1.12%| North America|Equity|Mid Cap Growth Equities||MDYG|6|6.ASSET|Equity|1640.3|17.88|CSL| Carlisle Companies Incorporated| 1.09%| North America|Equity|Mid Cap Growth Equities||MDYG|6|7.ASSET|Equity|1640.3|17.22|EWBC| East West Bancorp, Inc.| 1.05%| North America|Equity|Mid Cap Growth Equities||MDYG|6|8.ASSET|Equity|1640.3|16.07|WSM| Williams-Sonoma, Inc.| 0.98%| North America|Equity|Mid Cap Growth Equities||MDYG|6|9.ASSET|Equity|1640.3|15.58|CLF| Cleveland-Cliffs Inc| 0.95%| North America|Equity|Mid Cap Growth Equities||MDYG|6|10.ASSET|Equity|1640.3|15.42|LSI| Life Storage, Inc.| 0.94%| North America|Equity|Mid Cap Growth Equities||MDYG|6|11.ASSET|Equity|1640.3|15.42|REXR| Rexford Industrial Realty, Inc.| 0.94%| North America|Equity|Mid Cap Growth Equities||MDYG|6|12.ASSET|Equity|1640.3|14.76|SCI| Service Corporation International| 0.90%| North America|Equity|Mid Cap Growth Equities||MDYG|6|13.ASSET|Equity|1640.3|14.76|RGEN| Repligen Corporation| 0.90%| North America|Equity|Mid Cap Growth Equities||MDYG|6|14.ASSET|Equity|1640.3|14.76|TTC| Toro Company| 0.90%| North America|Equity|Mid Cap Growth Equities||MDYG|6|15.ASSET|Equity|1640.3|14.6|AZPN| Aspen Technology, Inc.| 0.89%| North America|Equity|Small Cap Growth Equities||BBMC|6|1.ASSET|Equity|1566.8|9.4|N/A| U.S. Dollar| 0.60%| North America|Equity|Small Cap Growth Equities||BBMC|6|2.ASSET|Equity|1566.8|8.93|MRO| Marathon Oil Corporation| 0.57%| North America|Equity|Small Cap Growth Equities||BBMC|6|3.ASSET|Equity|1566.8|8.3|ZI| ZoomInfo Technologies Inc| 0.53%| North America|Equity|Small Cap Growth Equities||BBMC|6|4.ASSET|Equity|1566.8|7.83|NUAN| Nuance Communications Incorporated| 0.50%| North America|Equity|Small Cap Growth Equities||BBMC|6|5.ASSET|Equity|1566.8|7.52|TRGP| Targa Resources Corp.| 0.48%| North America|Equity|Small Cap Growth Equities||BBMC|6|6.ASSET|Equity|1566.8|7.36|AA| Alcoa Corporation| 0.47%| North America|Equity|Small Cap Growth Equities||BBMC|6|7.ASSET|Equity|1566.8|7.05|ZEN| Zendesk, Inc.| 0.45%| North America|Equity|Small Cap Growth Equities||BBMC|6|8.ASSET|Equity|1566.8|6.89|BLDR| Builders FirstSource, Inc.| 0.44%| North America|Equity|Small Cap Growth Equities||BBMC|6|9.ASSET|Equity|1566.8|6.74|APA| APA Corp.| 0.43%| North America|Equity|Small Cap Growth Equities||BBMC|6|10.ASSET|Equity|1566.8|6.58|LPLA| LPL Financial Holdings Inc.| 0.42%| North America|Equity|Small Cap Growth Equities||BBMC|6|11.ASSET|Equity|1566.8|6.58|ARES| Ares Management Corporation| 0.42%| North America|Equity|Small Cap Growth Equities||BBMC|6|12.ASSET|Equity|1566.8|6.42|FICO| Fair Isaac Corporation| 0.41%| North America|Equity|Small Cap Growth Equities||BBMC|6|13.ASSET|Equity|1566.8|6.27|RHI| Robert Half International Inc.| 0.40%| North America|Equity|Small Cap Growth Equities||BBMC|6|14.ASSET|Equity|1566.8|6.27|FHN| First Horizon Corporation| 0.40%| North America|Equity|Small Cap Growth Equities||BBMC|6|15.ASSET|Equity|1566.8|6.27|DAR| Darling Ingredients Inc.| 0.40%| North America|Equity|Large Cap Value Equities||FDL|6|1.ASSET|Equity|1922.8|183.44|T| AT&T Inc.| 9.54%| North America|Equity|Large Cap Value Equities||FDL|6|2.ASSET|Equity|1922.8|162.09|CVX| Chevron Corporation| 8.43%| North America|Equity|Large Cap Value Equities||FDL|6|3.ASSET|Equity|1922.8|136.52|VZ| Verizon Communications Inc.| 7.10%| North America|Equity|Large Cap Value Equities||FDL|6|4.ASSET|Equity|1922.8|135.56|ABBV| AbbVie, Inc.| 7.05%| North America|Equity|Large Cap Value Equities||FDL|6|5.ASSET|Equity|1922.8|106.91|PM| Philip Morris International Inc.| 5.56%| North America|Equity|Large Cap Value Equities||FDL|6|6.ASSET|Equity|1922.8|97.49|PFE| Pfizer Inc.| 5.07%| North America|Equity|Large Cap Value Equities||FDL|6|7.ASSET|Equity|1922.8|94.6|MO| Altria Group Inc| 4.92%| North America|Equity|Large Cap Value Equities||FDL|6|8.ASSET|Equity|1922.8|89.03|KO| Coca-Cola Company| 4.63%| North America|Equity|Large Cap Value Equities||FDL|6|9.ASSET|Equity|1922.8|82.87|MRK| Merck & Co., Inc.| 4.31%| North America|Equity|Large Cap Value Equities||FDL|6|10.ASSET|Equity|1922.8|71.14|IBM| International Business Machines Corporation| 3.70%| North America|Equity|Large Cap Value Equities||FDL|6|11.ASSET|Equity|1922.8|70.76|AVGO| Broadcom Inc.| 3.68%| North America|Equity|Large Cap Value Equities||FDL|6|12.ASSET|Equity|1922.8|39.23|COP| ConocoPhillips| 2.04%| North America|Equity|Large Cap Value Equities||FDL|6|13.ASSET|Equity|1922.8|37.69|GILD| Gilead Sciences, Inc.| 1.96%| North America|Equity|Large Cap Value Equities||FDL|6|14.ASSET|Equity|1922.8|36.34|DUK| Duke Energy Corporation| 1.89%| North America|Equity|Large Cap Value Equities||FDL|6|15.ASSET|Equity|1922.8|34.61|BX| Blackstone Inc.| 1.80%| North America|Equity|Technology Equities|Technology|TDIV|6|1.ASSET|Equity|1787.5|154.26|AVGO| Broadcom Inc.| 8.63%| North America|Equity|Technology Equities|Technology|TDIV|6|2.ASSET|Equity|1787.5|154.26|IBM| International Business Machines Corporation| 8.63%| North America|Equity|Technology Equities|Technology|TDIV|6|3.ASSET|Equity|1787.5|146.93|AAPL| Apple Inc.| 8.22%| North America|Equity|Technology Equities|Technology|TDIV|6|4.ASSET|Equity|1787.5|144.79|INTC| Intel Corporation| 8.10%| North America|Equity|Technology Equities|Technology|TDIV|6|5.ASSET|Equity|1787.5|132.45|MSFT| Microsoft Corporation| 7.41%| North America|Equity|Technology Equities|Technology|TDIV|6|6.ASSET|Equity|1787.5|68.28|QCOM| Qualcomm Inc| 3.82%| North America|Equity|Technology Equities|Technology|TDIV|6|7.ASSET|Equity|1787.5|64.53|TXN| Texas Instruments Incorporated| 3.61%| North America|Equity|Technology Equities|Technology|TDIV|6|8.ASSET|Equity|1787.5|62.92|ORCL| Oracle Corporation| 3.52%| North America|Equity|Technology Equities|Technology|TDIV|6|9.ASSET|Equity|1787.5|60.95|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 3.41%| North America|Equity|Technology Equities|Technology|TDIV|6|10.ASSET|Equity|1787.5|42.9|ADI| Analog Devices, Inc.| 2.40%| North America|Equity|Technology Equities|Technology|TDIV|6|11.ASSET|Equity|1787.5|40.93|TU| TELUS Corporation| 2.29%| North America|Equity|Technology Equities|Technology|TDIV|6|12.ASSET|Equity|1787.5|39.33|VZ| Verizon Communications Inc.| 2.20%| North America|Equity|Technology Equities|Technology|TDIV|6|13.ASSET|Equity|1787.5|38.97|BCE| BCE Inc.| 2.18%| North America|Equity|Technology Equities|Technology|TDIV|6|14.ASSET|Equity|1787.5|38.07|T| AT&T Inc.| 2.13%| North America|Equity|Technology Equities|Technology|TDIV|6|15.ASSET|Equity|1787.5|37.36|CSCO| Cisco Systems, Inc.| 2.09%| North America|Equity|Industrials Equities|Industrials|IYJ|6|1.ASSET|Equity|1380.4|95.39|V| Visa Inc. Class A| 6.91%| North America|Equity|Industrials Equities|Industrials|IYJ|6|2.ASSET|Equity|1380.4|81.31|MA| Mastercard Incorporated Class A| 5.89%| North America|Equity|Industrials Equities|Industrials|IYJ|6|3.ASSET|Equity|1380.4|53.42|ACN| Accenture Plc Class A| 3.87%| North America|Equity|Industrials Equities|Industrials|IYJ|6|4.ASSET|Equity|1380.4|42.1|UNP| Union Pacific Corporation| 3.05%| North America|Equity|Industrials Equities|Industrials|IYJ|6|5.ASSET|Equity|1380.4|41.55|RTX| Raytheon Technologies Corporation| 3.01%| North America|Equity|Industrials Equities|Industrials|IYJ|6|6.ASSET|Equity|1380.4|40.17|UPS| United Parcel Service, Inc. Class B| 2.91%| North America|Equity|Industrials Equities|Industrials|IYJ|6|7.ASSET|Equity|1380.4|34.37|HON| Honeywell International Inc.| 2.49%| North America|Equity|Industrials Equities|Industrials|IYJ|6|8.ASSET|Equity|1380.4|33.82|PYPL| PayPal Holdings, Inc.| 2.45%| North America|Equity|Industrials Equities|Industrials|IYJ|6|9.ASSET|Equity|1380.4|30.51|LMT| Lockheed Martin Corporation| 2.21%| North America|Equity|Industrials Equities|Industrials|IYJ|6|10.ASSET|Equity|1380.4|30.23|AXP| American Express Company| 2.19%| North America|Equity|Industrials Equities|Industrials|IYJ|6|11.ASSET|Equity|1380.4|28.16|BA| Boeing Company| 2.04%| North America|Equity|Industrials Equities|Industrials|IYJ|6|12.ASSET|Equity|1380.4|27.19|GE| General Electric Company| 1.97%| North America|Equity|Industrials Equities|Industrials|IYJ|6|13.ASSET|Equity|1380.4|26.92|DE| Deere & Company| 1.95%| North America|Equity|Industrials Equities|Industrials|IYJ|6|14.ASSET|Equity|1380.4|26.64|CAT| Caterpillar Inc.| 1.93%| North America|Equity|Industrials Equities|Industrials|IYJ|6|15.ASSET|Equity|1380.4|23.19|ADP| Automatic Data Processing, Inc.| 1.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|1.ASSET|Bond|1695.4|22.72|TBBYL4.F| BlackRock Cash Funds Prime SL Agency Shares| 1.34%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|2.ASSET|Bond|1695.4|21.02|N/A| Apple Inc. 2.4% 03-MAY-2023| 1.24%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|3.ASSET|Bond|1695.4|15.77|N/A| Bank of America Corporation 3.3% 11-JAN-2023| 0.93%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|4.ASSET|Bond|1695.4|11.7|N/A| AerCap Ireland Capital DAC 1.15% 29-OCT-2023| 0.69%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|5.ASSET|Bond|1695.4|11.7|N/A| Boeing Company 4.508% 01-MAY-2023| 0.69%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|6.ASSET|Bond|1695.4|11.36|N/A| NatWest Group Plc 3.875% 12-SEP-2023| 0.67%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|7.ASSET|Bond|1695.4|11.02|N/A| JPMorgan Chase & Co. 3.2% 25-JAN-2023| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|8.ASSET|Bond|1695.4|10.85|N/A| Exxon Mobil Corporation 1.571% 15-APR-2023| 0.64%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|9.ASSET|Bond|1695.4|10|N/A| DuPont de Nemours, Inc. 4.205% 15-NOV-2023| 0.59%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|10.ASSET|Bond|1695.4|9.66|N/A| Shire Acquisitions Investments Ireland DAC 2.875% 23-SEP-2023| 0.57%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|11.ASSET|Bond|1695.4|9.32|N/A| Oracle Corporation 2.4% 15-SEP-2023| 0.55%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|12.ASSET|Bond|1695.4|9.16|N/A| Morgan Stanley 3.125% 23-JAN-2023| 0.54%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|13.ASSET|Bond|1695.4|9.16|N/A| Morgan Stanley 3.75% 25-FEB-2023| 0.54%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|14.ASSET|Bond|1695.4|8.48|N/A| Mitsubishi UFJ Financial Group, Inc. 3.761% 26-JUL-2023| 0.50%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDO|6|15.ASSET|Bond|1695.4|8.48|N/A| Apple Inc. 2.85% 23-FEB-2023| 0.50%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|1.ASSET|Equity|2376.6|245.98|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 10.35%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|2.ASSET|Equity|2376.6|134.99|005930| Samsung Electronics Co., Ltd.| 5.68%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|3.ASSET|Equity|2376.6|42.07|500325| Reliance Industries Limited| 1.77%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|4.ASSET|Equity|2376.6|36.36|VALE3| Vale S.A.| 1.53%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|5.ASSET|Equity|2376.6|35.89|500209| Infosys Limited| 1.51%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|6.ASSET|Equity|2376.6|27.57|2454| MediaTek Inc| 1.16%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|7.ASSET|Equity|2376.6|26.38|000660| SK hynix Inc| 1.11%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|8.ASSET|Equity|2376.6|25.19|500010| Housing Development Finance Corporation Limited| 1.06%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|9.ASSET|Equity|2376.6|24.72|1120| Al Rajhi Bank| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|10.ASSET|Equity|2376.6|23.29|532174| ICICI Bank Limited| 0.98%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|11.ASSET|Equity|2376.6|21.86|2317| Hon Hai Precision Industry Co., Ltd.| 0.92%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|12.ASSET|Equity|2376.6|21.15|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 0.89%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|13.ASSET|Equity|2376.6|20.44|532540| Tata Consultancy Services Limited| 0.86%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|14.ASSET|Equity|2376.6|18.78|1180| Saudi National Bank| 0.79%| Emerging Markets|Equity|Emerging Markets Equities||EMXC|6|15.ASSET|Equity|2376.6|15.69|ETISALAT| Emirates Telecommunications Group Company PJSC| 0.66%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|1.ASSET|Bond|1471.7|101.69|N/A| United States Treasury Notes 2.125% 29-FEB-2024| 6.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|2.ASSET|Bond|1471.7|87.27|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 5.93%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|3.ASSET|Bond|1471.7|56.22|N/A| United States Treasury Notes 0.375% 31-JAN-2026| 3.82%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|4.ASSET|Bond|1471.7|50.04|N/A| United States Treasury Notes 0.5% 31-MAR-2025| 3.40%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|5.ASSET|Bond|1471.7|47.24|INFXX| Institutional Fiduciary Trust Money Market Portfolio| 3.21%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|6.ASSET|Bond|1471.7|30.32|N/A| United States Treasury Notes 1.5% 31-MAR-2023| 2.06%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|7.ASSET|Bond|1471.7|25.17|N/A| United States Treasury Bond 2.25% 15-AUG-2046| 1.71%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|8.ASSET|Bond|1471.7|23.69|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 1.61%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|9.ASSET|Bond|1471.7|23.4|N/A| United States Treasury Notes 0.25% 30-JUN-2025| 1.59%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|10.ASSET|Bond|1471.7|22.81|N/A| FNMA 30yr Pool#MA4378 2.000% 01-Jul-2051 2.0% 01-JUL-2051| 1.55%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|11.ASSET|Bond|1471.7|22.22|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 1.51%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|12.ASSET|Bond|1471.7|19.87|N/A| United States Treasury Notes 1.375% 31-AUG-2023| 1.35%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|13.ASSET|Bond|1471.7|19.57|N/A| CORPORATE BOND| 1.33%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|14.ASSET|Bond|1471.7|17.66|N/A| FHLMC 30yr Pool#QA8043 3.000% 01-Mar-2050 3.0% 01-MAR-2050| 1.20%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FLCB|6|15.ASSET|Bond|1471.7|17.22|N/A| FNMA 30yr Pool#MA4493 2.500% 01-Dec-2051 2.5% 01-DEC-2051| 1.17%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|1.ASSET|Bond|2058.8|25.53|N/A| AbbVie Inc. 2.6% 21-NOV-2024| 1.24%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|2.ASSET|Bond|2058.8|25.53|N/A| AbbVie Inc. 2.6% 21-NOV-2024| 1.24%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|3.ASSET|Bond|2058.8|24.5|N/A| Centene Corporation 4.625% 15-DEC-2029| 1.19%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|4.ASSET|Bond|2058.8|24.5|N/A| Centene Corporation 4.625% 15-DEC-2029| 1.19%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|5.ASSET|Bond|2058.8|21.21|N/A| AerCap Ireland Capital DAC 1.65% 29-OCT-2024| 1.03%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|6.ASSET|Bond|2058.8|21.21|N/A| AerCap Ireland Capital DAC 1.65% 29-OCT-2024| 1.03%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|7.ASSET|Bond|2058.8|21|N/A| Bank of America Corporation 4.2% 26-AUG-2024| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|8.ASSET|Bond|2058.8|21|N/A| Bank of America Corporation 4.2% 26-AUG-2024| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|9.ASSET|Bond|2058.8|21|N/A| Morgan Stanley 3.7% 23-OCT-2024| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|10.ASSET|Bond|2058.8|21|N/A| Morgan Stanley 3.7% 23-OCT-2024| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|11.ASSET|Bond|2058.8|21|N/A| JPMorgan Chase & Co. 3.875% 10-SEP-2024| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|12.ASSET|Bond|2058.8|21|N/A| Morgan Stanley 3.875% 29-APR-2024| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|13.ASSET|Bond|2058.8|21|N/A| Morgan Stanley 3.875% 29-APR-2024| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|14.ASSET|Bond|2058.8|20.79|N/A| Credit Suisse (New York Securities Branch) 3.625% 09-SEP-2024| 1.01%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCO|6|15.ASSET|Bond|2058.8|20.79|N/A| Credit Suisse (New York Securities Branch) 3.625% 09-SEP-2024| 1.01%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|1.ASSET|Equity|124.1|19.5|ROSN| Rosneft Oil Co. Sponsored GDR RegS| 15.71%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|2.ASSET|Equity|124.1|9.37|LKOD| Oil company LUKOIL PJSC Sponsored ADR| 7.55%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|3.ASSET|Equity|124.1|8.4|POLY| Polymetal International Plc| 6.77%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|4.ASSET|Equity|124.1|7.41|OGZD| Gazprom PJSC Sponsored ADR| 5.97%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|5.ASSET|Equity|124.1|7.21|MNOD| MMC Norilsk Nickel PJSC ADR| 5.81%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|6.ASSET|Equity|124.1|6.86|ATAD| TATNEFT PJSC Sponsored ADR| 5.53%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|7.ASSET|Equity|124.1|5.63|SGGD| Surgutneftegas PJSC Sponsored ADR| 4.54%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|8.ASSET|Equity|124.1|5.58|EVR| Evraz PLC| 4.50%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|9.ASSET|Equity|124.1|5.15|NVTK| NOVATEK JSC Sponsored GDR RegS| 4.15%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|10.ASSET|Equity|124.1|4.91|PLZL| Polyus PJSC Sponsored GDR Class S| 3.96%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|11.ASSET|Equity|124.1|3.9|TRNFP| Transneft PJSC Pref.| 3.14%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|12.ASSET|Equity|124.1|3.74|NLMK| Novolipetsk Steel Sponsored GDR RegS| 3.01%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|13.ASSET|Equity|124.1|3.65|ALRS| ALROSA PJSC| 2.94%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|14.ASSET|Equity|124.1|3.23|MBT| Mobile TeleSystems Public Joint Stock Company Sponsored ADR| 2.60%| Emerging Europe|Equity|Emerging Markets Equities||RSX|6|15.ASSET|Equity|124.1|3.21|VTBR| VTB Bank PJSC Sponsored GDR RegS| 2.59%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|1.ASSET|Equity|1479.8|332.81|AMZN| Amazon.com, Inc.| 22.49%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|2.ASSET|Equity|1479.8|197.55|TSLA| Tesla Inc| 13.35%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|3.ASSET|Equity|1479.8|94.56|HD| Home Depot, Inc.| 6.39%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|4.ASSET|Equity|1479.8|50.02|MCD| McDonald\'s Corporation| 3.38%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|5.ASSET|Equity|1479.8|48.24|NKE| NIKE, Inc. Class B| 3.26%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|6.ASSET|Equity|1479.8|42.91|LOW| Lowe\'s Companies, Inc.| 2.90%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|7.ASSET|Equity|1479.8|30.48|SBUX| Starbucks Corporation| 2.06%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|8.ASSET|Equity|1479.8|30.19|TGT| Target Corporation| 2.04%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|9.ASSET|Equity|1479.8|24.86|BKNG| Booking Holdings Inc.| 1.68%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|10.ASSET|Equity|1479.8|22.34|TJX| TJX Companies Inc| 1.51%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|11.ASSET|Equity|1479.8|20.13|F| Ford Motor Company| 1.36%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|12.ASSET|Equity|1479.8|17.17|GM| General Motors Company| 1.16%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|13.ASSET|Equity|1479.8|14.65|MELI| MercadoLibre, Inc.| 0.99%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|14.ASSET|Equity|1479.8|13.76|DG| Dollar General Corporation| 0.93%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FDIS|6|15.ASSET|Equity|1479.8|13.32|MAR| Marriott International, Inc. Class A| 0.90%| North America|Equity|All Cap Equities||QDF|6|1.ASSET|Equity|1648.3|146.53|AAPL| Apple Inc.| 8.89%| North America|Equity|All Cap Equities||QDF|6|2.ASSET|Equity|1648.3|74.34|MSFT| Microsoft Corporation| 4.51%| North America|Equity|All Cap Equities||QDF|6|3.ASSET|Equity|1648.3|58.68|JNJ| Johnson & Johnson| 3.56%| North America|Equity|All Cap Equities||QDF|6|4.ASSET|Equity|1648.3|55.22|PG| Procter & Gamble Company| 3.35%| North America|Equity|All Cap Equities||QDF|6|5.ASSET|Equity|1648.3|51.1|JPM| JPMorgan Chase & Co.| 3.10%| North America|Equity|All Cap Equities||QDF|6|6.ASSET|Equity|1648.3|45.66|CSCO| Cisco Systems, Inc.| 2.77%| North America|Equity|All Cap Equities||QDF|6|7.ASSET|Equity|1648.3|43.84|AVGO| Broadcom Inc.| 2.66%| North America|Equity|All Cap Equities||QDF|6|8.ASSET|Equity|1648.3|29.17|PM| Philip Morris International Inc.| 1.77%| North America|Equity|All Cap Equities||QDF|6|9.ASSET|Equity|1648.3|29.01|HD| Home Depot, Inc.| 1.76%| North America|Equity|All Cap Equities||QDF|6|10.ASSET|Equity|1648.3|28.85|TXN| Texas Instruments Incorporated| 1.75%| North America|Equity|All Cap Equities||QDF|6|11.ASSET|Equity|1648.3|28.02|LLY| Eli Lilly and Company| 1.70%| North America|Equity|All Cap Equities||QDF|6|12.ASSET|Equity|1648.3|27.53|UNP| Union Pacific Corporation| 1.67%| North America|Equity|All Cap Equities||QDF|6|13.ASSET|Equity|1648.3|25.22|AMGN| Amgen Inc.| 1.53%| North America|Equity|All Cap Equities||QDF|6|14.ASSET|Equity|1648.3|24.56|ABT| Abbott Laboratories| 1.49%| North America|Equity|All Cap Equities||QDF|6|15.ASSET|Equity|1648.3|22.91|NKE| NIKE, Inc. Class B| 1.39%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|1.ASSET|Bond|1314.8|777.97|N/A| U.S. Dollar| 59.17%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|2.ASSET|Bond|1314.8|756.54|N/A| U.S. Dollar| 57.54%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|3.ASSET|Bond|1314.8|101.24|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 7.70%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|4.ASSET|Bond|1314.8|97.3|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 7.40%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|5.ASSET|Bond|1314.8|76.92|N/A| United States Treasury Bills 0.0% 21-APR-2022| 5.85%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|6.ASSET|Bond|1314.8|76.92|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 5.85%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|7.ASSET|Bond|1314.8|73.89|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 5.62%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|8.ASSET|Bond|1314.8|73.89|N/A| United States Treasury Bills 0.0% 21-APR-2022| 5.62%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|9.ASSET|Bond|1314.8|61.4|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 4.67%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|10.ASSET|Bond|1314.8|61.4|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 4.67%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|11.ASSET|Bond|1314.8|59.03|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 4.49%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|12.ASSET|Bond|1314.8|59.03|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 4.49%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|13.ASSET|Bond|1314.8|46.15|N/A| United States Treasury Bills 0.0% 28-APR-2022| 3.51%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|14.ASSET|Bond|1314.8|46.02|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 3.50%| North America|Bond|Leveraged Bonds|Treasuries|TBT|6|15.ASSET|Bond|1314.8|44.31|N/A| United States Treasury Bills 0.0% 28-APR-2022| 3.37%| North America|Equity|Small Cap Blend Equities||PSC|6|1.ASSET|Equity|756|6.96|MIME| Mimecast Limited| 0.92%| North America|Equity|Small Cap Blend Equities||PSC|6|2.ASSET|Equity|756|6.73|COOP| Mr. Cooper Group, Inc.| 0.89%| North America|Equity|Small Cap Blend Equities||PSC|6|3.ASSET|Equity|756|6.2|NSA| National Storage Affiliates Trust| 0.82%| North America|Equity|Small Cap Blend Equities||PSC|6|4.ASSET|Equity|756|6.05|HLI| Houlihan Lokey, Inc. Class A| 0.80%| North America|Equity|Small Cap Blend Equities||PSC|6|5.ASSET|Equity|756|5.75|RDN| Radian Group Inc.| 0.76%| North America|Equity|Small Cap Blend Equities||PSC|6|6.ASSET|Equity|756|5.29|MSM| MSC Industrial Direct Co., Inc. Class A| 0.70%| North America|Equity|Small Cap Blend Equities||PSC|6|7.ASSET|Equity|756|5.22|XRX| Xerox Holdings Corporation| 0.69%| North America|Equity|Small Cap Blend Equities||PSC|6|8.ASSET|Equity|756|4.99|HR| Healthcare Realty Trust Incorporated| 0.66%| North America|Equity|Small Cap Blend Equities||PSC|6|9.ASSET|Equity|756|4.84|NAVI| Navient Corp| 0.64%| North America|Equity|Small Cap Blend Equities||PSC|6|10.ASSET|Equity|756|4.76|AVT| Avnet, Inc.| 0.63%| North America|Equity|Small Cap Blend Equities||PSC|6|11.ASSET|Equity|756|4.76|HRB| H&R Block, Inc.| 0.63%| North America|Equity|Small Cap Blend Equities||PSC|6|12.ASSET|Equity|756|4.76|MTDR| Matador Resources Company| 0.63%| North America|Equity|Small Cap Blend Equities||PSC|6|13.ASSET|Equity|756|4.69|PRFT| Perficient, Inc.| 0.62%| North America|Equity|Small Cap Blend Equities||PSC|6|14.ASSET|Equity|756|4.61|SONO| Sonos, Inc.| 0.61%| North America|Equity|Small Cap Blend Equities||PSC|6|15.ASSET|Equity|756|4.61|R| Ryder System, Inc.| 0.61%| North America|Equity|Europe Equities||EWL|6|1.ASSET|Equity|1667.3|350.13|NESN| Nestle S.A.| 21.00%| North America|Equity|Europe Equities||EWL|6|2.ASSET|Equity|1667.3|247.26|ROG| Roche Holding Ltd| 14.83%| North America|Equity|Europe Equities||EWL|6|3.ASSET|Equity|1667.3|173.73|NOVN| Novartis AG| 10.42%| North America|Equity|Europe Equities||EWL|6|4.ASSET|Equity|1667.3|71.03|ZURN| Zurich Insurance Group Ltd| 4.26%| North America|Equity|Europe Equities||EWL|6|5.ASSET|Equity|1667.3|67.86|CFR| Compagnie Financiere Richemont SA| 4.07%| North America|Equity|Europe Equities||EWL|6|6.ASSET|Equity|1667.3|65.36|UBSG| UBS Group AG| 3.92%| North America|Equity|Europe Equities||EWL|6|7.ASSET|Equity|1667.3|58.52|ABBN| ABB Ltd.| 3.51%| North America|Equity|Europe Equities||EWL|6|8.ASSET|Equity|1667.3|55.69|LONN| Lonza Group AG| 3.34%| North America|Equity|Europe Equities||EWL|6|9.ASSET|Equity|1667.3|50.35|SIKA| Sika AG| 3.02%| North America|Equity|Europe Equities||EWL|6|10.ASSET|Equity|1667.3|41.18|ALC| Alcon AG| 2.47%| North America|Equity|Europe Equities||EWL|6|11.ASSET|Equity|1667.3|41.02|GIVN| Givaudan SA| 2.46%| North America|Equity|Europe Equities||EWL|6|12.ASSET|Equity|1667.3|30.18|PGHN| Partners Group Holding AG| 1.81%| North America|Equity|Europe Equities||EWL|6|13.ASSET|Equity|1667.3|28.84|HOLN| Holcim Ltd| 1.73%| North America|Equity|Europe Equities||EWL|6|14.ASSET|Equity|1667.3|28.01|SREN| Swiss Re AG| 1.68%| North America|Equity|Europe Equities||EWL|6|15.ASSET|Equity|1667.3|26.51|GEBN| Geberit AG| 1.59%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|1.ASSET|Equity|1881.8|89.01|AAPL| Apple Inc.| 4.73%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|2.ASSET|Equity|1881.8|69.81|MSFT| Microsoft Corporation| 3.71%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|3.ASSET|Equity|1881.8|45.92|AMZN| Amazon.com, Inc.| 2.44%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|4.ASSET|Equity|1881.8|26.72|GOOGL| Alphabet Inc. Class A| 1.42%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|5.ASSET|Equity|1881.8|25.59|GOOG| Alphabet Inc. Class C| 1.36%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|6.ASSET|Equity|1881.8|24.46|TSLA| Tesla Inc| 1.30%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|7.ASSET|Equity|1881.8|19.57|NVDA| NVIDIA Corporation| 1.04%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|8.ASSET|Equity|1881.8|16.18|FB| Meta Platforms Inc. Class A| 0.86%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|9.ASSET|Equity|1881.8|14.87|UNH| UnitedHealth Group Incorporated| 0.79%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|10.ASSET|Equity|1881.8|14.3|JNJ| Johnson & Johnson| 0.76%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|11.ASSET|Equity|1881.8|13.74|BRK.B| Berkshire Hathaway Inc. Class B| 0.73%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|12.ASSET|Equity|1881.8|13.36|JPM| JPMorgan Chase & Co.| 0.71%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|13.ASSET|Equity|1881.8|12.42|PG| Procter & Gamble Company| 0.66%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|14.ASSET|Equity|1881.8|12.23|NESN| Nestle S.A.| 0.65%| Developed Markets|Equity|Large Cap Growth Equities||URTH|6|15.ASSET|Equity|1881.8|11.67|V| Visa Inc. Class A| 0.62%| North America|Equity|All Cap Equities||AVUS|6|1.ASSET|Equity|1908.3|88.35|AAPL| Apple Inc.| 4.63%| North America|Equity|All Cap Equities||AVUS|6|2.ASSET|Equity|1908.3|72.71|MSFT| Microsoft Corporation| 3.81%| North America|Equity|All Cap Equities||AVUS|6|3.ASSET|Equity|1908.3|44.27|AMZN| Amazon.com, Inc.| 2.32%| North America|Equity|All Cap Equities||AVUS|6|4.ASSET|Equity|1908.3|24.24|GOOGL| Alphabet Inc. Class A| 1.27%| North America|Equity|All Cap Equities||AVUS|6|5.ASSET|Equity|1908.3|23.09|GOOG| Alphabet Inc. Class C| 1.21%| North America|Equity|All Cap Equities||AVUS|6|6.ASSET|Equity|1908.3|18.89|JNJ| Johnson & Johnson| 0.99%| North America|Equity|All Cap Equities||AVUS|6|7.ASSET|Equity|1908.3|17.75|FB| Meta Platforms Inc. Class A| 0.93%| North America|Equity|All Cap Equities||AVUS|6|8.ASSET|Equity|1908.3|17.17|XOM| Exxon Mobil Corporation| 0.90%| North America|Equity|All Cap Equities||AVUS|6|9.ASSET|Equity|1908.3|15.27|JPM| JPMorgan Chase & Co.| 0.80%| North America|Equity|All Cap Equities||AVUS|6|10.ASSET|Equity|1908.3|14.5|CVX| Chevron Corporation| 0.76%| North America|Equity|All Cap Equities||AVUS|6|11.ASSET|Equity|1908.3|13.74|PFE| Pfizer Inc.| 0.72%| North America|Equity|All Cap Equities||AVUS|6|12.ASSET|Equity|1908.3|13.36|TSLA| Tesla Inc| 0.70%| North America|Equity|All Cap Equities||AVUS|6|13.ASSET|Equity|1908.3|12.59|NVDA| NVIDIA Corporation| 0.66%| North America|Equity|All Cap Equities||AVUS|6|14.ASSET|Equity|1908.3|12.21|COST| Costco Wholesale Corporation| 0.64%| North America|Equity|All Cap Equities||AVUS|6|15.ASSET|Equity|1908.3|11.45|BRK.B| Berkshire Hathaway Inc. Class B| 0.60%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|1.ASSET|Bond|1971.2|206.19|Other| BlackRock Funds III Instl Money Mkt Fund| 10.46%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|2.ASSET|Bond|1971.2|17.35|N/A| UMBS TBA 30yr 2.5% February Delivery 2.500% 01-OCT-2051| 0.88%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|3.ASSET|Bond|1971.2|17.15|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-OCT-2051| 0.87%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|4.ASSET|Bond|1971.2|15.77|N/A| GNMA II TBA 30yr 2% February Delivery 2.000% 01-AUG-2051| 0.80%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|5.ASSET|Bond|1971.2|14|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 0.71%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|6.ASSET|Bond|1971.2|13.8|N/A| UMBS TBA 30yr 2% February Delivery 2.000% 01-OCT-2051| 0.70%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|7.ASSET|Bond|1971.2|13.6|N/A| United States Treasury Notes 2.125% 31-DEC-2022| 0.69%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|8.ASSET|Bond|1971.2|12.62|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-OCT-2051| 0.64%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|9.ASSET|Bond|1971.2|12.42|N/A| UMBS TBA 15yr 1.5% February Delivery 1.500% 01-NOV-2036| 0.63%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|10.ASSET|Bond|1971.2|12.42|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 0.63%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|11.ASSET|Bond|1971.2|12.02|N/A| GNMA II TBA 30yr 2.5% February Delivery 2.500% 01-FEB-2051| 0.61%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|12.ASSET|Bond|1971.2|11.24|N/A| United States Treasury Notes 0.125% 15-JAN-2024| 0.57%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|13.ASSET|Bond|1971.2|11.04|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 0.56%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|14.ASSET|Bond|1971.2|11.04|N/A| United States Treasury Notes 0.125% 31-DEC-2022| 0.56%| North America|Bond|Total Bond Market|Total Bond Market|EAGG|6|15.ASSET|Bond|1971.2|10.84|N/A| UMBS TBA 30yr 3.5% March Delivery 3.500% 01-AUG-2048| 0.55%| North America|Equity|Leveraged Equities||TNA|6|1.ASSET|Equity|1703.5|1014.09|IWM| iShares Russell 2000 ETF| 59.53%| North America|Equity|Leveraged Equities||TNA|6|2.ASSET|Equity|1703.5|466.42|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 27.38%| North America|Equity|Leveraged Equities||TNA|6|3.ASSET|Equity|1703.5|129.64|N/A| Dreyfus Government Cash Management Funds Institutional| 7.61%| North America|Equity|Leveraged Equities||TNA|6|4.ASSET|Equity|1703.5|66.27|DGCXX| Dreyfus Government Cash Management Funds Institutional| 3.89%| North America|Equity|Leveraged Equities||TNA|6|5.ASSET|Equity|1703.5|58.77|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 3.45%| North America|Equity|Leveraged Equities||TNA|6|6.ASSET|Equity|1703.5|21.63|N/A| MUTUAL FUND (OTHER)| 1.27%| North America|Equity|Leveraged Equities||TNA|6|7.ASSET|Equity|1703.5|-53.15|N/A| U.S. Dollar| -3.12%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|1.ASSET|Equity|1251.2|134.75|700| Tencent Holdings Ltd.| 10.77%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|2.ASSET|Equity|1251.2|126.75|BIDU| Baidu Inc Sponsored ADR Class A| 10.13%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|3.ASSET|Equity|1251.2|93.09|3690| Meituan Class B| 7.44%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|4.ASSET|Equity|1251.2|89.34|1024| Kuaishou Technology Class B| 7.14%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|5.ASSET|Equity|1251.2|75.45|2382| Sunny Optical Technology (Group) Co., Ltd.| 6.03%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|6.ASSET|Equity|1251.2|49.67|268| Kingdee International Software Group Co., Ltd.| 3.97%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|7.ASSET|Equity|1251.2|43.92|GDS| GDS Holdings Ltd. Sponsored ADR Class A| 3.51%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|8.ASSET|Equity|1251.2|40.91|601012| LONGi Green Energy Technology Co Ltd Class A| 3.27%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|9.ASSET|Equity|1251.2|30.53|BILI| Bilibili, Inc. Sponsored ADR Class Z| 2.44%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|10.ASSET|Equity|1251.2|26.15|TME| Tencent Music Entertainment Group Sponsored ADR Class A| 2.09%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|11.ASSET|Equity|1251.2|21.27|1347| Hua Hong Semiconductor Ltd.| 1.70%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|12.ASSET|Equity|1251.2|20.14|YY| JOYY, Inc. Sponsored ADR Class A| 1.61%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|13.ASSET|Equity|1251.2|18.27|772| China Literature Ltd.| 1.46%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|14.ASSET|Equity|1251.2|16.64|000725| BOE Technology Group Co., Ltd. Class A| 1.33%| Emerging Asia Pacific|Equity|China Equities|Technology|CQQQ|6|15.ASSET|Equity|1251.2|16.39|ATHM| Autohome, Inc. Sponsored ADR Class A| 1.31%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|1.ASSET|Bond|1545.6|30.29|N/A| Wells Fargo & Company 3.5% 08-MAR-2022| 1.96%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|2.ASSET|Bond|1545.6|15.92|N/A| Oracle Corporation 2.5% 15-OCT-2022| 1.03%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|3.ASSET|Bond|1545.6|14.99|N/A| AbbVie Inc. 2.3% 21-NOV-2022| 0.97%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|4.ASSET|Bond|1545.6|14.37|N/A| AbbVie Inc. 3.25% 01-OCT-2022| 0.93%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|5.ASSET|Bond|1545.6|13.6|N/A| International Business Machines Corporation 2.85% 13-MAY-2022| 0.88%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|6.ASSET|Bond|1545.6|13.6|N/A| JPMorgan Chase & Co. 3.25% 23-SEP-2022| 0.88%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|7.ASSET|Bond|1545.6|13.45|N/A| AbbVie Inc. 2.9% 06-NOV-2022| 0.87%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|8.ASSET|Bond|1545.6|13.14|N/A| Morgan Stanley 2.75% 19-MAY-2022| 0.85%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|9.ASSET|Bond|1545.6|12.98|N/A| Mitsubishi UFJ Financial Group, Inc. 2.665% 25-JUL-2022| 0.84%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|10.ASSET|Bond|1545.6|12.98|N/A| Mitsubishi UFJ Financial Group, Inc. 2.623% 18-JUL-2022| 0.84%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|11.ASSET|Bond|1545.6|12.52|N/A| Sumitomo Mitsui Financial Group, Inc. 2.784% 12-JUL-2022| 0.81%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|12.ASSET|Bond|1545.6|12.36|N/A| Charter Communications Operating LLC 4.464% 23-JUL-2022| 0.80%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|13.ASSET|Bond|1545.6|11.28|N/A| Credit Suisse Group Funding (Guernsey) Ltd. 3.8% 15-SEP-2022| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|14.ASSET|Bond|1545.6|10.66|N/A| Visa Inc. 2.8% 14-DEC-2022| 0.69%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDN|6|15.ASSET|Bond|1545.6|10.36|N/A| Chevron Corporation 2.355% 05-DEC-2022| 0.67%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|1.ASSET|Bond|1419.5|34.64|N/A| U.S. Dollar| 2.44%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|2.ASSET|Bond|1419.5|22.43|N/A| U.S. Dollar| 1.58%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|3.ASSET|Bond|1419.5|18.17|N/A| Ford Motor Credit Company LLC 4.125% 17-AUG-2027| 1.28%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|4.ASSET|Bond|1419.5|18.03|N/A| Ford Motor Credit Company LLC 4.125% 17-AUG-2027| 1.27%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|5.ASSET|Bond|1419.5|14.48|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 1.02%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|6.ASSET|Bond|1419.5|14.05|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 0.99%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|7.ASSET|Bond|1419.5|10.93|N/A| Tenet Healthcare Corporation 5.125% 01-NOV-2027| 0.77%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|8.ASSET|Bond|1419.5|10.93|N/A| OneMain Finance Corporation 7.125% 15-MAR-2026| 0.77%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|9.ASSET|Bond|1419.5|10.79|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.76%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|10.ASSET|Bond|1419.5|10.79|N/A| Tenet Healthcare Corporation 5.125% 01-NOV-2027| 0.76%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|11.ASSET|Bond|1419.5|10.65|N/A| OneMain Finance Corporation 7.125% 15-MAR-2026| 0.75%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|12.ASSET|Bond|1419.5|10.5|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.74%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|13.ASSET|Bond|1419.5|10.36|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.73%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|14.ASSET|Bond|1419.5|10.22|N/A| Occidental Petroleum Corporation 6.45% 15-SEP-2036| 0.72%| Developed Markets|Bond|High Yield Bonds|Junk|JPHY|6|15.ASSET|Bond|1419.5|10.22|N/A| Occidental Petroleum Corporation 6.45% 15-SEP-2036| 0.72%| North America|Equity|Mid Cap Value Equities||MDYV|6|1.ASSET|Equity|2197|23.95|FHN| First Horizon Corporation| 1.09%| North America|Equity|Mid Cap Value Equities||MDYV|6|2.ASSET|Equity|2197|22.85|MPW| Medical Properties Trust, Inc.| 1.04%| North America|Equity|Mid Cap Value Equities||MDYV|6|3.ASSET|Equity|2197|22.19|RS| Reliance Steel & Aluminum Co.| 1.01%| North America|Equity|Mid Cap Value Equities||MDYV|6|4.ASSET|Equity|2197|19.55|LAD| Lithia Motors, Inc.| 0.89%| North America|Equity|Mid Cap Value Equities||MDYV|6|5.ASSET|Equity|2197|18.89|ACM| AECOM| 0.86%| North America|Equity|Mid Cap Value Equities||MDYV|6|6.ASSET|Equity|2197|17.58|MOH| Molina Healthcare, Inc.| 0.80%| North America|Equity|Mid Cap Value Equities||MDYV|6|7.ASSET|Equity|2197|16.92|AA| Alcoa Corporation| 0.77%| North America|Equity|Mid Cap Value Equities||MDYV|6|8.ASSET|Equity|2197|16.92|OC| Owens Corning| 0.77%| North America|Equity|Mid Cap Value Equities||MDYV|6|9.ASSET|Equity|2197|16.92|KNX| Knight-Swift Transportation Holdings Inc. Class A| 0.77%| North America|Equity|Mid Cap Value Equities||MDYV|6|10.ASSET|Equity|2197|16.7|Y| Alleghany Corporation| 0.76%| North America|Equity|Mid Cap Value Equities||MDYV|6|11.ASSET|Equity|2197|16.48|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.75%| North America|Equity|Mid Cap Value Equities||MDYV|6|12.ASSET|Equity|2197|16.26|KSS| Kohl\'s Corporation| 0.74%| North America|Equity|Mid Cap Value Equities||MDYV|6|13.ASSET|Equity|2197|16.26|LEA| Lear Corporation| 0.74%| North America|Equity|Mid Cap Value Equities||MDYV|6|14.ASSET|Equity|2197|16.26|PFGC| Performance Food Group Company| 0.74%| North America|Equity|Mid Cap Value Equities||MDYV|6|15.ASSET|Equity|2197|15.82|JAZZ| Jazz Pharmaceuticals Public Limited Company| 0.72%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|1.ASSET|Real Estate|1373|213.64|CCI| Crown Castle International Corp| 15.56%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|2.ASSET|Real Estate|1373|197.16|AMT| American Tower Corporation| 14.36%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|3.ASSET|Real Estate|1373|195.79|EQIX| Equinix, Inc.| 14.26%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|4.ASSET|Real Estate|1373|74.69|IRM| Iron Mountain, Inc.| 5.44%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|5.ASSET|Real Estate|1373|68.24|CONE| CyrusOne Inc.| 4.97%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|6.ASSET|Real Estate|1373|67.28|LAMR| Lamar Advertising Company Class A| 4.90%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|7.ASSET|Real Estate|1373|62.75|SBAC| SBA Communications Corp. Class A| 4.57%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|8.ASSET|Real Estate|1373|54.23|DLR| Digital Realty Trust, Inc.| 3.95%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|9.ASSET|Real Estate|1373|51.62|CLNX| Cellnex Telecom S.A.| 3.76%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|10.ASSET|Real Estate|1373|47.92|GDS| GDS Holdings Ltd. Sponsored ADR Class A| 3.49%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|11.ASSET|Real Estate|1373|41.33|SWCH| Switch, Inc. Class A| 3.01%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|12.ASSET|Real Estate|1373|40.64|NXT| Nextdc Limited| 2.96%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|13.ASSET|Real Estate|1373|39.95|OUT| OUTFRONT Media Inc.| 2.91%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|14.ASSET|Real Estate|1373|39.13|INW| Infrastrutture Wireless Italiane S.p.A.| 2.85%| North America|Real Estate|Real Estate|Real Estate|SRVR|6|15.ASSET|Real Estate|1373|38.86|DBRG| DigitalBridge Group, Inc. Class A| 2.83%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|1.ASSET|Equity|1443.2|35.5|UHS| Universal Health Services, Inc. Class B| 2.46%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|2.ASSET|Equity|1443.2|34.06|ABBV| AbbVie, Inc.| 2.36%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|3.ASSET|Equity|1443.2|32.33|CI| Cigna Corporation| 2.24%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|4.ASSET|Equity|1443.2|31.89|OGN| Organon & Co.| 2.21%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|5.ASSET|Equity|1443.2|31.32|HCA| HCA Healthcare Inc| 2.17%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|6.ASSET|Equity|1443.2|30.6|COO| Cooper Companies, Inc.| 2.12%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|7.ASSET|Equity|1443.2|30.16|REGN| Regeneron Pharmaceuticals, Inc.| 2.09%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|8.ASSET|Equity|1443.2|29.87|MOH| Molina Healthcare, Inc.| 2.07%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|9.ASSET|Equity|1443.2|29.73|UNH| UnitedHealth Group Incorporated| 2.06%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|10.ASSET|Equity|1443.2|28.58|HOLX| Hologic, Inc.| 1.98%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|11.ASSET|Equity|1443.2|27.28|HSIC| Henry Schein, Inc.| 1.89%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|12.ASSET|Equity|1443.2|26.55|LH| Laboratory Corporation of America Holdings| 1.84%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|13.ASSET|Equity|1443.2|26.12|SAGE| SAGE Therapeutics, Inc.| 1.81%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|14.ASSET|Equity|1443.2|26.12|NVST| Envista Holdings Corp.| 1.81%| North America|Equity|Health & Biotech Equities|Healthcare|FXH|6|15.ASSET|Equity|1443.2|25.69|TMO| Thermo Fisher Scientific Inc.| 1.78%| North America|Equity|Small Cap Growth Equities||IVOO|6|1.ASSET|Equity|1528.7|11.31|MOH| Molina Healthcare, Inc.| 0.74%| North America|Equity|Small Cap Growth Equities||IVOO|6|2.ASSET|Equity|1528.7|10.85|CPT| Camden Property Trust| 0.71%| North America|Equity|Small Cap Growth Equities||IVOO|6|3.ASSET|Equity|1528.7|9.02|MPW| Medical Properties Trust, Inc.| 0.59%| North America|Equity|Small Cap Growth Equities||IVOO|6|4.ASSET|Equity|1528.7|9.02|TRGP| Targa Resources Corp.| 0.59%| North America|Equity|Small Cap Growth Equities||IVOO|6|5.ASSET|Equity|1528.7|9.02|FICO| Fair Isaac Corporation| 0.59%| North America|Equity|Small Cap Growth Equities||IVOO|6|6.ASSET|Equity|1528.7|8.56|BLDR| Builders FirstSource, Inc.| 0.56%| North America|Equity|Small Cap Growth Equities||IVOO|6|7.ASSET|Equity|1528.7|8.41|NDSN| Nordson Corporation| 0.55%| North America|Equity|Small Cap Growth Equities||IVOO|6|8.ASSET|Equity|1528.7|8.41|JLL| Jones Lang LaSalle Incorporated| 0.55%| North America|Equity|Small Cap Growth Equities||IVOO|6|9.ASSET|Equity|1528.7|8.25|GGG| Graco Inc.| 0.54%| North America|Equity|Small Cap Growth Equities||IVOO|6|10.ASSET|Equity|1528.7|8.1|EWBC| East West Bancorp, Inc.| 0.53%| North America|Equity|Small Cap Growth Equities||IVOO|6|11.ASSET|Equity|1528.7|7.95|WSM| Williams-Sonoma, Inc.| 0.52%| North America|Equity|Small Cap Growth Equities||IVOO|6|12.ASSET|Equity|1528.7|7.8|CGNX| Cognex Corporation| 0.51%| North America|Equity|Small Cap Growth Equities||IVOO|6|13.ASSET|Equity|1528.7|7.8|CSL| Carlisle Companies Incorporated| 0.51%| North America|Equity|Small Cap Growth Equities||IVOO|6|14.ASSET|Equity|1528.7|7.64|RPM| RPM International Inc.| 0.50%| North America|Equity|Small Cap Growth Equities||IVOO|6|15.ASSET|Equity|1528.7|7.49|CONE| CyrusOne Inc.| 0.49%| North America|Equity|Leveraged Equities||SQQQ|6|1.ASSET|Equity|2493.2|1499.41|N/A| U.S. Dollar| 60.14%| North America|Equity|Leveraged Equities||SQQQ|6|2.ASSET|Equity|2493.2|239.85|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 9.62%| North America|Equity|Leveraged Equities||SQQQ|6|3.ASSET|Equity|2493.2|90.25|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 3.62%| North America|Equity|Leveraged Equities||SQQQ|6|4.ASSET|Equity|2493.2|60.09|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 2.41%| North America|Equity|Leveraged Equities||SQQQ|6|5.ASSET|Equity|2493.2|60.09|N/A| United States Treasury Bills 0.0% 21-APR-2022| 2.41%| North America|Equity|Leveraged Equities||SQQQ|6|6.ASSET|Equity|2493.2|60.09|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 2.41%| North America|Equity|Leveraged Equities||SQQQ|6|7.ASSET|Equity|2493.2|60.09|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 2.41%| North America|Equity|Leveraged Equities||SQQQ|6|8.ASSET|Equity|2493.2|51.11|N/A| United States Treasury Bills 0.0% 05-APR-2022| 2.05%| North America|Equity|Leveraged Equities||SQQQ|6|9.ASSET|Equity|2493.2|45.13|N/A| United States Treasury Bills 0.0% 14-APR-2022| 1.81%| North America|Equity|Leveraged Equities||SQQQ|6|10.ASSET|Equity|2493.2|35.9|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 1.44%| North America|Equity|Leveraged Equities||SQQQ|6|11.ASSET|Equity|2493.2|33.16|N/A| United States Treasury Bills 0.0% 28-APR-2022| 1.33%| North America|Equity|Leveraged Equities||SQQQ|6|12.ASSET|Equity|2493.2|33.16|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.33%| North America|Equity|Leveraged Equities||SQQQ|6|13.ASSET|Equity|2493.2|30.17|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 1.21%| North America|Equity|Leveraged Equities||SQQQ|6|14.ASSET|Equity|2493.2|30.17|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 1.21%| North America|Equity|Leveraged Equities||SQQQ|6|15.ASSET|Equity|2493.2|30.17|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 1.21%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|1.ASSET|Multi-Asset|1530|648.57|IVV| iShares Core S&P 500 ETF| 42.39%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|2.ASSET|Multi-Asset|1530|373.93|IDEV| iShares Core MSCI International Developed Markets ETF| 24.44%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|3.ASSET|Multi-Asset|1530|269.28|IUSB| iShares Core Total USD Bond Market ETF| 17.60%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|4.ASSET|Multi-Asset|1530|128.52|IEMG| iShares Core MSCI Emerging Markets ETF| 8.40%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|5.ASSET|Multi-Asset|1530|48.04|IAGG| iShares Core International Aggregate Bond ETF| 3.14%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|6.ASSET|Multi-Asset|1530|40.39|IJH| iShares Core S&P Mid-Cap ETF| 2.64%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|7.ASSET|Multi-Asset|1530|17.9|IJR| iShares Core S&P Small Cap ETF| 1.17%| Developed Markets|Multi-Asset|Diversified Portfolio||AOA|6|8.ASSET|Multi-Asset|1530|3.06|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.20%| North America|Real Estate|Real Estate|Real Estate|REM|6|1.ASSET|Real Estate|985.5|133.44|NLY| Annaly Capital Management, Inc.| 13.54%| North America|Real Estate|Real Estate|Real Estate|REM|6|2.ASSET|Real Estate|985.5|93.33|AGNC| AGNC Investment Corp.| 9.47%| North America|Real Estate|Real Estate|Real Estate|REM|6|3.ASSET|Real Estate|985.5|92.24|STWD| Starwood Property Trust, Inc.| 9.36%| North America|Real Estate|Real Estate|Real Estate|REM|6|4.ASSET|Real Estate|985.5|67.01|BXMT| Blackstone Mortgage Trust, Inc. Class A| 6.80%| North America|Real Estate|Real Estate|Real Estate|REM|6|5.ASSET|Real Estate|985.5|60.02|NRZ| New Residential Investment Corp.| 6.09%| North America|Real Estate|Real Estate|Real Estate|REM|6|6.ASSET|Real Estate|985.5|47.3|ABR| Arbor Realty Trust, Inc.| 4.80%| North America|Real Estate|Real Estate|Real Estate|REM|6|7.ASSET|Real Estate|985.5|42.18|HASI| Hannon Armstrong Sustainable Infrastructure Capital, Inc.| 4.28%| North America|Real Estate|Real Estate|Real Estate|REM|6|8.ASSET|Real Estate|985.5|37.15|CIM| Chimera Investment Corporation| 3.77%| North America|Real Estate|Real Estate|Real Estate|REM|6|9.ASSET|Real Estate|985.5|33.8|ARI| Apollo Commercial Real Estate Finance, Inc.| 3.43%| North America|Real Estate|Real Estate|Real Estate|REM|6|10.ASSET|Real Estate|985.5|32.32|MFA| MFA Financial, Inc.| 3.28%| North America|Real Estate|Real Estate|Real Estate|REM|6|11.ASSET|Real Estate|985.5|32.13|TWO| Two Harbors Investment Corp.| 3.26%| North America|Real Estate|Real Estate|Real Estate|REM|6|12.ASSET|Real Estate|985.5|31.14|STAR| iStar Inc.| 3.16%| North America|Real Estate|Real Estate|Real Estate|REM|6|13.ASSET|Real Estate|985.5|28.38|PMT| PennyMac Mortgage Investment Trust| 2.88%| North America|Real Estate|Real Estate|Real Estate|REM|6|14.ASSET|Real Estate|985.5|24.54|NYMT| New York Mortgage Trust, Inc.| 2.49%| North America|Real Estate|Real Estate|Real Estate|REM|6|15.ASSET|Real Estate|985.5|23.65|LADR| Ladder Capital Corp. Class A| 2.40%| North America|Equity|Large Cap Blend Equities||SPHB|6|1.ASSET|Equity|1035.3|18.22|SEDG| SolarEdge Technologies, Inc.| 1.76%| North America|Equity|Large Cap Blend Equities||SPHB|6|2.ASSET|Equity|1035.3|15.43|ENPH| Enphase Energy, Inc.| 1.49%| North America|Equity|Large Cap Blend Equities||SPHB|6|3.ASSET|Equity|1035.3|15.01|TER| Teradyne, Inc.| 1.45%| North America|Equity|Large Cap Blend Equities||SPHB|6|4.ASSET|Equity|1035.3|14.39|AMAT| Applied Materials, Inc.| 1.39%| North America|Equity|Large Cap Blend Equities||SPHB|6|5.ASSET|Equity|1035.3|14.39|MPWR| Monolithic Power Systems, Inc.| 1.39%| North America|Equity|Large Cap Blend Equities||SPHB|6|6.ASSET|Equity|1035.3|14.29|PENN| Penn National Gaming, Inc.| 1.38%| North America|Equity|Large Cap Blend Equities||SPHB|6|7.ASSET|Equity|1035.3|14.18|NVDA| NVIDIA Corporation| 1.37%| North America|Equity|Large Cap Blend Equities||SPHB|6|8.ASSET|Equity|1035.3|13.67|APA| APA Corp.| 1.32%| North America|Equity|Large Cap Blend Equities||SPHB|6|9.ASSET|Equity|1035.3|13.67|ETSY| Etsy, Inc.| 1.32%| North America|Equity|Large Cap Blend Equities||SPHB|6|10.ASSET|Equity|1035.3|13.67|TSLA| Tesla Inc| 1.32%| North America|Equity|Large Cap Blend Equities||SPHB|6|11.ASSET|Equity|1035.3|13.25|FCX| Freeport-McMoRan, Inc.| 1.28%| North America|Equity|Large Cap Blend Equities||SPHB|6|12.ASSET|Equity|1035.3|13.25|LRCX| Lam Research Corporation| 1.28%| North America|Equity|Large Cap Blend Equities||SPHB|6|13.ASSET|Equity|1035.3|13.04|FTNT| Fortinet, Inc.| 1.26%| North America|Equity|Large Cap Blend Equities||SPHB|6|14.ASSET|Equity|1035.3|12.84|DVN| Devon Energy Corporation| 1.24%| North America|Equity|Large Cap Blend Equities||SPHB|6|15.ASSET|Equity|1035.3|12.53|KLAC| KLA Corporation| 1.21%| North America|Equity|Financials Equities|Financials|FXO|6|1.ASSET|Equity|1521.6|27.85|ORI| Old Republic International Corporation| 1.83%| North America|Equity|Financials Equities|Financials|FXO|6|2.ASSET|Equity|1521.6|27.69|BRK.B| Berkshire Hathaway Inc. Class B| 1.82%| North America|Equity|Financials Equities|Financials|FXO|6|3.ASSET|Equity|1521.6|27.69|CINF| Cincinnati Financial Corporation| 1.82%| North America|Equity|Financials Equities|Financials|FXO|6|4.ASSET|Equity|1521.6|27.08|MTG| MGIC Investment Corporation| 1.78%| North America|Equity|Financials Equities|Financials|FXO|6|5.ASSET|Equity|1521.6|26.93|ALL| Allstate Corporation| 1.77%| North America|Equity|Financials Equities|Financials|FXO|6|6.ASSET|Equity|1521.6|26.17|MKL| Markel Corporation| 1.72%| North America|Equity|Financials Equities|Financials|FXO|6|7.ASSET|Equity|1521.6|26.02|MCY| Mercury General Corporation| 1.71%| North America|Equity|Financials Equities|Financials|FXO|6|8.ASSET|Equity|1521.6|25.87|ARES| Ares Management Corporation| 1.70%| North America|Equity|Financials Equities|Financials|FXO|6|9.ASSET|Equity|1521.6|25.87|BX| Blackstone Inc.| 1.70%| North America|Equity|Financials Equities|Financials|FXO|6|10.ASSET|Equity|1521.6|24.8|OMF| OneMain Holdings, Inc.| 1.63%| North America|Equity|Financials Equities|Financials|FXO|6|11.ASSET|Equity|1521.6|24.5|VIRT| Virtu Financial, Inc. Class A| 1.61%| North America|Equity|Financials Equities|Financials|FXO|6|12.ASSET|Equity|1521.6|23.43|FNF| Fidelity National Financial, Inc. - FNF Group| 1.54%| North America|Equity|Financials Equities|Financials|FXO|6|13.ASSET|Equity|1521.6|23.43|EVR| Evercore Inc Class A| 1.54%| North America|Equity|Financials Equities|Financials|FXO|6|14.ASSET|Equity|1521.6|23.28|NLY| Annaly Capital Management, Inc.| 1.53%| North America|Equity|Financials Equities|Financials|FXO|6|15.ASSET|Equity|1521.6|22.98|JEF| Jefferies Financial Group Inc.| 1.51%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|1.ASSET|Preferred Stock|1208.6|36.38|C.PRN| Citigroup Capital XIII Tr Pfd Secs 2010-30.10.40 Global Fltg Rt| 3.01%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|2.ASSET|Preferred Stock|1208.6|22.96|PNC.PRP| PNC Financial Services Group, Inc. Deposit Shs Repr 1/4000th Non-Cum Perp Pfd Shs Series P| 1.90%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|3.ASSET|Preferred Stock|1208.6|21.88|COF.PRI| Capital One Financial Corporation Depositary Shs Repr 1/40th 5% Non-Cum Red Perp Pfd Registered Shs Ser I| 1.81%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|4.ASSET|Preferred Stock|1208.6|20.18|TBB| AT&T Inc 5.35 % Notes 2017-01.11.66 Global| 1.67%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|5.ASSET|Preferred Stock|1208.6|17.77|ALL.PRH| Allstate Corporation Depositary Shs Repr 1/1000th 5.1% Non-Cum Red Perp Pfd Series H| 1.47%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|6.ASSET|Preferred Stock|1208.6|17.52|COF.PRJ| Capital One Financial Corporation Depositary Shs Repr 1/40th 4.8% Non-Cum Red Perp Pfd RegisteredShs Ser J| 1.45%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|7.ASSET|Preferred Stock|1208.6|15.95|DUK.PRA| Duke Energy Corp Depositary Shs Repr 1/1000th Cum Red Perp Pfd Registered Sh Series A| 1.32%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|8.ASSET|Preferred Stock|1208.6|14.99|SOJD| Southern Co 4.95 % Notes 2020-30.01.80 Global Series 2020A| 1.24%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|9.ASSET|Preferred Stock|1208.6|14.74|ATH.PRA| Athene Holding Ltd Depositary Shs Repr 1/1000th Non-Cum Red Perp Pfd Registered Shs Ser A| 1.22%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|10.ASSET|Preferred Stock|1208.6|14.62|MET.PRF| Metlife Inc Depositary Shs Repr 1/1000th 4.75 % Non-Cum Perp Red Pfd Shs Series F| 1.21%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|11.ASSET|Preferred Stock|1208.6|14.5|CTBB| Qwest Corp 6 1/2 % Notes 2016-01.09.56| 1.20%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|12.ASSET|Preferred Stock|1208.6|13.78|AEFC| AEGON Funding Company LLC 5.1 % Notes 2019-15.12.49 Gtd Global| 1.14%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|13.ASSET|Preferred Stock|1208.6|13.42|WFC.PRZ| Wells Fargo & Co Depositary Shs Repr 1/1000th 4.75% Non-Cum Red Perp Pfd Shs A Series Z| 1.11%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|14.ASSET|Preferred Stock|1208.6|13.17|TFC.PRR| Truist Financial Corporation Depositary Shs Repr 1/1000th Non-Cum Red Perp Pfd Rg Sh Series R| 1.09%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PSK|6|15.ASSET|Preferred Stock|1208.6|13.05|USB.PRH| U.S. Bancorp Deposit Shs Repr 1/1000th Non-Cum Perpetual Pfd Shs Series B| 1.08%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|1.ASSET|Multi-Asset|1588.6|194.44|VTI| Vanguard Total Stock Market ETF| 12.24%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|2.ASSET|Multi-Asset|1588.6|194.13|N/A| United States Treasury Bills 0.0% 09-JUN-2022| 12.22%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|3.ASSET|Multi-Asset|1588.6|159.65|GLDM| SPDR Gold MiniShares Trust| 10.05%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|4.ASSET|Multi-Asset|1588.6|116.29|VWO| Vanguard FTSE Emerging Markets ETF| 7.32%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|5.ASSET|Multi-Asset|1588.6|76.89|VEA| Vanguard FTSE Developed Markets ETF| 4.84%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|6.ASSET|Multi-Asset|1588.6|66.4|N/A| United States Treasury Bond 2.125% 15-FEB-2041| 4.18%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|7.ASSET|Multi-Asset|1588.6|65.61|N/A| United States Treasury Bond 1.375% 15-FEB-2044| 4.13%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|8.ASSET|Multi-Asset|1588.6|59.41|N/A| United States Treasury Bond 0.75% 15-FEB-2045| 3.74%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|9.ASSET|Multi-Asset|1588.6|58.94|N/A| United States Treasury Bond 0.75% 15-FEB-2042| 3.71%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|10.ASSET|Multi-Asset|1588.6|56.4|N/A| United States Treasury Bond 0.625% 15-FEB-2043| 3.55%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|11.ASSET|Multi-Asset|1588.6|55.44|N/A| United States Treasury Bond 1.0% 15-FEB-2046| 3.49%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|12.ASSET|Multi-Asset|1588.6|51.15|N/A| United States Treasury Bond 0.875% 15-FEB-2047| 3.22%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|13.ASSET|Multi-Asset|1588.6|50.36|N/A| United States Treasury Bond 1.0% 15-FEB-2048| 3.17%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|14.ASSET|Multi-Asset|1588.6|44.8|N/A| United States Treasury Bond 1.0% 15-FEB-2049| 2.82%| Developed Markets|Multi-Asset|Hedge Fund||RPAR|6|15.ASSET|Multi-Asset|1588.6|34.31|N/A| U.S. Dollar| 2.16%| North America|Equity|Inverse Equities||SH|6|1.ASSET|Equity|1968.6|1106.55|N/A| U.S. Dollar| 56.21%| North America|Equity|Inverse Equities||SH|6|2.ASSET|Equity|1968.6|98.43|N/A| United States Treasury Bills 0.0% 21-APR-2022| 5.00%| North America|Equity|Inverse Equities||SH|6|3.ASSET|Equity|1968.6|89.97|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 4.57%| North America|Equity|Inverse Equities||SH|6|4.ASSET|Equity|1968.6|70.28|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 3.57%| North America|Equity|Inverse Equities||SH|6|5.ASSET|Equity|1968.6|70.28|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.57%| North America|Equity|Inverse Equities||SH|6|6.ASSET|Equity|1968.6|70.28|N/A| United States Treasury Bills 0.0% 12-APR-2022| 3.57%| North America|Equity|Inverse Equities||SH|6|7.ASSET|Equity|1968.6|56.11|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 2.85%| North America|Equity|Inverse Equities||SH|6|8.ASSET|Equity|1968.6|56.11|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 2.85%| North America|Equity|Inverse Equities||SH|6|9.ASSET|Equity|1968.6|47.64|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 2.42%| North America|Equity|Inverse Equities||SH|6|10.ASSET|Equity|1968.6|44.88|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 2.28%| North America|Equity|Inverse Equities||SH|6|11.ASSET|Equity|1968.6|41.93|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 2.13%| North America|Equity|Inverse Equities||SH|6|12.ASSET|Equity|1968.6|37.6|N/A| United States Treasury Bills 0.0% 05-APR-2022| 1.91%| North America|Equity|Inverse Equities||SH|6|13.ASSET|Equity|1968.6|28.15|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 1.43%| North America|Equity|Inverse Equities||SH|6|14.ASSET|Equity|1968.6|28.15|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 1.43%| North America|Equity|Inverse Equities||SH|6|15.ASSET|Equity|1968.6|28.15|N/A| United States Treasury Bills 0.0% 07-APR-2022| 1.43%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|1.ASSET|Equity|1303.8|12.52|PNL| PostNL NV| 0.96%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|2.ASSET|Equity|1303.8|9.78|LOG| Compania de Distribucion Integral Logista Holdings S.A.| 0.75%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|3.ASSET|Equity|1303.8|9.65|FXPO| Ferrexpo plc| 0.74%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|4.ASSET|Equity|1303.8|9.13|CJLU| NetLink NBN Trust| 0.70%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|5.ASSET|Equity|1303.8|8.08|MMT| Metropole Television SA| 0.62%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|6.ASSET|Equity|1303.8|8.08|DEC| Diversified Energy Company PLC| 0.62%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|7.ASSET|Equity|1303.8|7.95|DRX| Drax Group plc| 0.61%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|8.ASSET|Equity|1303.8|7.56|NS8U| Hutchison Port Holdings Trust| 0.58%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|9.ASSET|Equity|1303.8|7.43|POST| Osterreichische Post AG| 0.57%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|10.ASSET|Equity|1303.8|7.04|NXI| Nexity SA Class A| 0.54%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|11.ASSET|Equity|1303.8|6.78|BFF| BFF Bank SpA| 0.52%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|12.ASSET|Equity|1303.8|6.65|GOZ| Growthpoint Properties Australia| 0.51%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|13.ASSET|Equity|1303.8|6.65|PEAB.B| Peab AB Class B| 0.51%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|14.ASSET|Equity|1303.8|6.65|MTS| Metcash Limited| 0.51%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DLS|6|15.ASSET|Equity|1303.8|6.52|LMP| LondonMetric Property Plc| 0.50%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCL|6|1.ASSET|Bond|1217.4|1190.25|N/A| MUTUAL FUND (OTHER)| 97.77%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCL|6|2.ASSET|Bond|1217.4|12.17|N/A| Pfizer Inc. 2.2% 15-DEC-2021| 1.00%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCL|6|3.ASSET|Bond|1217.4|8.77|N/A| UnitedHealth Group Incorporated 2.875% 15-DEC-2021| 0.72%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCL|6|4.ASSET|Bond|1217.4|6.21|N/A| Total Capital SA 4.25% 15-DEC-2021| 0.51%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCL|6|5.ASSET|Bond|1217.4|0|N/A| U.S. Dollar| 0.00%| North America|Bond|Government Bonds|Treasuries|TLH|6|1.ASSET|Bond|2282.6|574.3|N/A| United States Treasury Bond 1.875% 15-FEB-2041| 25.16%| North America|Bond|Government Bonds|Treasuries|TLH|6|2.ASSET|Bond|2282.6|438.94|N/A| United States Treasury Bond 2.25% 15-MAY-2041| 19.23%| North America|Bond|Government Bonds|Treasuries|TLH|6|3.ASSET|Bond|2282.6|424.56|N/A| United States Treasury Bond 4.375% 15-NOV-2039| 18.60%| North America|Bond|Government Bonds|Treasuries|TLH|6|4.ASSET|Bond|2282.6|313.4|N/A| United States Treasury Bond 1.375% 15-NOV-2040| 13.73%| North America|Bond|Government Bonds|Treasuries|TLH|6|5.ASSET|Bond|2282.6|265.69|N/A| United States Treasury Bond 1.125% 15-AUG-2040| 11.64%| North America|Bond|Government Bonds|Treasuries|TLH|6|6.ASSET|Bond|2282.6|77.61|N/A| United States Treasury Bond 3.875% 15-AUG-2040| 3.40%| North America|Bond|Government Bonds|Treasuries|TLH|6|7.ASSET|Bond|2282.6|40.86|N/A| United States Treasury Bond 4.5% 15-MAY-2038| 1.79%| North America|Bond|Government Bonds|Treasuries|TLH|6|8.ASSET|Bond|2282.6|40.4|N/A| United States Treasury Bond 4.25% 15-MAY-2039| 1.77%| North America|Bond|Government Bonds|Treasuries|TLH|6|9.ASSET|Bond|2282.6|34.01|N/A| United States Treasury Bond 4.625% 15-FEB-2040| 1.49%| North America|Bond|Government Bonds|Treasuries|TLH|6|10.ASSET|Bond|2282.6|27.16|N/A| United States Treasury Bond 5.0% 15-MAY-2037| 1.19%| North America|Bond|Government Bonds|Treasuries|TLH|6|11.ASSET|Bond|2282.6|23.97|N/A| MUTUAL FUND (OTHER)| 1.05%| North America|Bond|Government Bonds|Treasuries|TLH|6|12.ASSET|Bond|2282.6|9.82|N/A| United States Treasury Notes 0.0% 28-FEB-2029| 0.43%| North America|Bond|Government Bonds|Treasuries|TLH|6|13.ASSET|Bond|2282.6|4.11|N/A| United States Treasury Bond 2.375% 15-FEB-2042| 0.18%| North America|Bond|Government Bonds|Treasuries|TLH|6|14.ASSET|Bond|2282.6|2.97|N/A| United States Treasury Bond 4.375% 15-FEB-2038| 0.13%| North America|Bond|Government Bonds|Treasuries|TLH|6|15.ASSET|Bond|2282.6|2.28|N/A| Government of the United States of America 0.0% 15-AUG-2035| 0.10%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|1.ASSET|Bond|1612.2|12.41|N/A| AbbVie Inc. 2.6% 21-NOV-2024| 0.77%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|2.ASSET|Bond|1612.2|12.41|N/A| AbbVie Inc. 2.6% 21-NOV-2024| 0.77%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|3.ASSET|Bond|1612.2|10.96|N/A| Morgan Stanley 3.7% 23-OCT-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|4.ASSET|Bond|1612.2|10.96|N/A| Morgan Stanley 3.7% 23-OCT-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|5.ASSET|Bond|1612.2|10.96|N/A| Credit Suisse (New York Securities Branch) 3.625% 09-SEP-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|6.ASSET|Bond|1612.2|10.96|N/A| Credit Suisse (New York Securities Branch) 3.625% 09-SEP-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|7.ASSET|Bond|1612.2|10.96|N/A| Wells Fargo & Company 3.75% 24-JAN-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|8.ASSET|Bond|1612.2|10.96|N/A| Wells Fargo & Company 3.75% 24-JAN-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|9.ASSET|Bond|1612.2|10.96|N/A| Morgan Stanley 3.875% 29-APR-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|10.ASSET|Bond|1612.2|10.96|N/A| Morgan Stanley 3.875% 29-APR-2024| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|11.ASSET|Bond|1612.2|10.48|N/A| Bank of America Corporation 4.2% 26-AUG-2024| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|12.ASSET|Bond|1612.2|10.48|N/A| Bank of America Corporation 4.2% 26-AUG-2024| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|13.ASSET|Bond|1612.2|10.48|N/A| JPMorgan Chase & Co. 3.875% 10-SEP-2024| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|14.ASSET|Bond|1612.2|10.48|N/A| JPMorgan Chase & Co. 3.875% 10-SEP-2024| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDP|6|15.ASSET|Bond|1612.2|10.32|N/A| CORPORATE BOND| 0.64%| North America|Equity|Technology Equities|Technology|CLOU|6|1.ASSET|Equity|880.7|52.84|AKAM| Akamai Technologies, Inc.| 6.00%| North America|Equity|Technology Equities|Technology|CLOU|6|2.ASSET|Equity|880.7|46.41|MIME| Mimecast Limited| 5.27%| North America|Equity|Technology Equities|Technology|CLOU|6|3.ASSET|Equity|880.7|44.92|WDAY| Workday, Inc. Class A| 5.10%| North America|Equity|Technology Equities|Technology|CLOU|6|4.ASSET|Equity|880.7|44.74|QLYS| Qualys, Inc.| 5.08%| North America|Equity|Technology Equities|Technology|CLOU|6|5.ASSET|Equity|880.7|41.3|SPSC| SPS Commerce, Inc.| 4.69%| North America|Equity|Technology Equities|Technology|CLOU|6|6.ASSET|Equity|880.7|40.25|ZS| Zscaler, Inc.| 4.57%| North America|Equity|Technology Equities|Technology|CLOU|6|7.ASSET|Equity|880.7|38.66|DLR| Digital Realty Trust, Inc.| 4.39%| North America|Equity|Technology Equities|Technology|CLOU|6|8.ASSET|Equity|880.7|38.49|DBX| Dropbox, Inc. Class A| 4.37%| North America|Equity|Technology Equities|Technology|CLOU|6|9.ASSET|Equity|880.7|37.61|PLAN| Anaplan, Inc.| 4.27%| North America|Equity|Technology Equities|Technology|CLOU|6|10.ASSET|Equity|880.7|37.34|N/A| Five9, Inc.| 4.24%| North America|Equity|Technology Equities|Technology|CLOU|6|11.ASSET|Equity|880.7|35.84|CRM| salesforce.com, inc.| 4.07%| North America|Equity|Technology Equities|Technology|CLOU|6|12.ASSET|Equity|880.7|35.4|WK| Workiva Inc. Class A| 4.02%| North America|Equity|Technology Equities|Technology|CLOU|6|13.ASSET|Equity|880.7|34.61|BOX| Box, Inc. Class A| 3.93%| North America|Equity|Technology Equities|Technology|CLOU|6|14.ASSET|Equity|880.7|34.61|PAYC| Paycom Software, Inc.| 3.93%| North America|Equity|Technology Equities|Technology|CLOU|6|15.ASSET|Equity|880.7|29.77|NFLX| Netflix, Inc.| 3.38%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|1.ASSET|Equity|1402.9|82.35|SYY| Sysco Corporation| 5.87%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|2.ASSET|Equity|1402.9|78.14|EXPE| Expedia Group, Inc.| 5.57%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|3.ASSET|Equity|1402.9|75.9|MAR| Marriott International, Inc. Class A| 5.41%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|4.ASSET|Equity|1402.9|74.91|LYV| Live Nation Entertainment, Inc.| 5.34%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|5.ASSET|Equity|1402.9|68.04|MCD| McDonald\'s Corporation| 4.85%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|6.ASSET|Equity|1402.9|68.04|DIS| Walt Disney Company| 4.85%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|7.ASSET|Equity|1402.9|65.38|BKNG| Booking Holdings Inc.| 4.66%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|8.ASSET|Equity|1402.9|62.29|CMG| Chipotle Mexican Grill, Inc.| 4.44%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|9.ASSET|Equity|1402.9|45.59|WWE| World Wrestling Entertainment, Inc. Class A| 3.25%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|10.ASSET|Equity|1402.9|44.33|BYD| Boyd Gaming Corporation| 3.16%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|11.ASSET|Equity|1402.9|43.35|USFD| US Foods Holding Corp.| 3.09%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|12.ASSET|Equity|1402.9|43.07|H| Hyatt Hotels Corporation Class A| 3.07%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|13.ASSET|Equity|1402.9|43.07|GDEN| Golden Entertainment, Inc.| 3.07%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|14.ASSET|Equity|1402.9|42.93|DISCA| Discovery, Inc. Class A| 3.06%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEJ|6|15.ASSET|Equity|1402.9|41.81|FOXA| Fox Corporation Class A| 2.98%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|1.ASSET|Equity|1459.8|214.88|BHP| BHP Group Ltd| 14.72%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|2.ASSET|Equity|1459.8|142.33|CBA| Commonwealth Bank of Australia| 9.75%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|3.ASSET|Equity|1459.8|109.63|CSL| CSL Limited| 7.51%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|4.ASSET|Equity|1459.8|83.79|NAB| National Australia Bank Limited| 5.74%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|5.ASSET|Equity|1459.8|72.84|WBC| Westpac Banking Corporation| 4.99%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|6.ASSET|Equity|1459.8|63.65|ANZ| Australia and New Zealand Banking Group Limited| 4.36%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|7.ASSET|Equity|1459.8|53.72|MQG| Macquarie Group Limited| 3.68%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|8.ASSET|Equity|1459.8|48.47|WES| Wesfarmers Limited| 3.32%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|9.ASSET|Equity|1459.8|40.44|RIO| Rio Tinto Limited| 2.77%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|10.ASSET|Equity|1459.8|37.37|WOW| Woolworths Group Ltd| 2.56%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|11.ASSET|Equity|1459.8|34.01|TCL| Transurban Group Ltd.| 2.33%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|12.ASSET|Equity|1459.8|32.99|GMG| Goodman Group| 2.26%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|13.ASSET|Equity|1459.8|27.88|FMG| Fortescue Metals Group Ltd| 1.91%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|14.ASSET|Equity|1459.8|25.98|WPL| Woodside Petroleum Ltd| 1.78%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWA|6|15.ASSET|Equity|1459.8|21.75|STO| Santos Limited| 1.49%| North America|Equity|n/a||LCTU|6|1.ASSET|Equity|1498|90.48|MSFT| Microsoft Corporation| 6.04%| North America|Equity|n/a||LCTU|6|2.ASSET|Equity|1498|86.88|AAPL| Apple Inc.| 5.80%| North America|Equity|n/a||LCTU|6|3.ASSET|Equity|1498|34.45|AMZN| Amazon.com, Inc.| 2.30%| North America|Equity|n/a||LCTU|6|4.ASSET|Equity|1498|32.81|GOOGL| Alphabet Inc. Class A| 2.19%| North America|Equity|n/a||LCTU|6|5.ASSET|Equity|1498|26.66|UNH| UnitedHealth Group Incorporated| 1.78%| North America|Equity|n/a||LCTU|6|6.ASSET|Equity|1498|26.22|TSLA| Tesla Inc| 1.75%| North America|Equity|n/a||LCTU|6|7.ASSET|Equity|1498|26.22|GOOG| Alphabet Inc. Class C| 1.75%| North America|Equity|n/a||LCTU|6|8.ASSET|Equity|1498|21.72|NVDA| NVIDIA Corporation| 1.45%| North America|Equity|n/a||LCTU|6|9.ASSET|Equity|1498|21.12|PEP| PepsiCo, Inc.| 1.41%| North America|Equity|n/a||LCTU|6|10.ASSET|Equity|1498|20.82|V| Visa Inc. Class A| 1.39%| North America|Equity|n/a||LCTU|6|11.ASSET|Equity|1498|20.82|FB| Meta Platforms Inc. Class A| 1.39%| North America|Equity|n/a||LCTU|6|12.ASSET|Equity|1498|19.32|KO| Coca-Cola Company| 1.29%| North America|Equity|n/a||LCTU|6|13.ASSET|Equity|1498|19.02|JPM| JPMorgan Chase & Co.| 1.27%| North America|Equity|n/a||LCTU|6|14.ASSET|Equity|1498|18.43|JNJ| Johnson & Johnson| 1.23%| North America|Equity|n/a||LCTU|6|15.ASSET|Equity|1498|18.43|MA| Mastercard Incorporated Class A| 1.23%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|1.ASSET|Real Estate|1371.5|125.36|PLD| Prologis, Inc.| 9.14%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|2.ASSET|Real Estate|1371.5|74.47|EQIX| Equinix, Inc.| 5.43%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|3.ASSET|Real Estate|1371.5|65.83|PSA| Public Storage| 4.80%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|4.ASSET|Real Estate|1371.5|51.43|SPG| Simon Property Group, Inc.| 3.75%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|5.ASSET|Real Estate|1371.5|44.3|DLR| Digital Realty Trust, Inc.| 3.23%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|6.ASSET|Real Estate|1371.5|43.34|O| Realty Income Corporation| 3.16%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|7.ASSET|Real Estate|1371.5|41.69|WELL| Welltower, Inc.| 3.04%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|8.ASSET|Real Estate|1371.5|37.99|AVB| AvalonBay Communities, Inc.| 2.77%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|9.ASSET|Real Estate|1371.5|34.7|EQR| Equity Residential| 2.53%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|10.ASSET|Real Estate|1371.5|32.09|ARE| Alexandria Real Estate Equities, Inc.| 2.34%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|11.ASSET|Real Estate|1371.5|29.76|EXR| Extra Space Storage Inc.| 2.17%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|12.ASSET|Real Estate|1371.5|27.29|MAA| Mid-America Apartment Communities, Inc.| 1.99%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|13.ASSET|Real Estate|1371.5|25.92|INVH| Invitation Homes, Inc.| 1.89%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|14.ASSET|Real Estate|1371.5|24.82|VTR| Ventas, Inc.| 1.81%| North America|Real Estate|Real Estate|Real Estate|BBRE|6|15.ASSET|Real Estate|1371.5|24|SUI| Sun Communities, Inc.| 1.75%| |Commodity|Commodities||GSG|6|1.ASSET|Commodity|2116|0|N/A| Cash Component| 0.00%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|1.ASSET|Equity|866.1|64.61|INTU| Intuit Inc.| 7.46%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|2.ASSET|Equity|866.1|61.23|SQ| Block Inc Class A| 7.07%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|3.ASSET|Equity|866.1|58.98|FISV| Fiserv, Inc.| 6.81%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|4.ASSET|Equity|866.1|56.56|ADYEN| Adyen NV| 6.53%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|5.ASSET|Equity|866.1|45.9|BILL| Bill.com Holdings, Inc.| 5.30%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|6.ASSET|Equity|866.1|45.56|SSNC| SS&C Technologies Holdings, Inc.| 5.26%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|7.ASSET|Equity|866.1|43.48|COIN| Coinbase Global, Inc. Class A| 5.02%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|8.ASSET|Equity|866.1|42.27|FIS| Fidelity National Information Services, Inc.| 4.88%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|9.ASSET|Equity|866.1|28.84|377300| kakaopay Corp.| 3.33%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|10.ASSET|Equity|866.1|26.85|UPST| Upstart Holdings, Inc.| 3.10%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|11.ASSET|Equity|866.1|25.9|XRO| Xero Limited| 2.99%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|12.ASSET|Equity|866.1|25.03|LU| Lufax Holding Limited Sponsored ADR Class A| 2.89%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|13.ASSET|Equity|866.1|24.42|PYPL| PayPal Holdings, Inc.| 2.82%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|14.ASSET|Equity|866.1|21.65|BKI| Black Knight, Inc.| 2.50%| Developed Markets|Equity|Technology Equities|Financials|FINX|6|15.ASSET|Equity|866.1|19.49|NEXI| Nexi S.p.A.| 2.25%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|1.ASSET|Equity|1394.3|55.63|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.99%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|2.ASSET|Equity|1394.3|42.39|939| China Construction Bank Corporation Class H| 3.04%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|3.ASSET|Equity|1394.3|41.41|2317| Hon Hai Precision Industry Co., Ltd.| 2.97%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|4.ASSET|Equity|1394.3|39.18|1398| Industrial and Commercial Bank of China Limited Class H| 2.81%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|5.ASSET|Equity|1394.3|35.69|PETR4| Petroleo Brasileiro SA Pfd| 2.56%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|6.ASSET|Equity|1394.3|31.93|PETR3| Petroleo Brasileiro SA| 2.29%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|7.ASSET|Equity|1394.3|28.44|ITUB4| Itau Unibanco Holding SA Pfd| 2.04%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|8.ASSET|Equity|1394.3|22.03|VALE3| Vale S.A.| 1.58%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|9.ASSET|Equity|1394.3|20.91|500325| Reliance Industries Limited| 1.50%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|10.ASSET|Equity|1394.3|19.8|BBDC4| Banco Bradesco SA Pfd| 1.42%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|11.ASSET|Equity|1394.3|17.85|N/A| MUTUAL FUND (OTHER)| 1.28%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|12.ASSET|Equity|1394.3|17.71|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.27%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|13.ASSET|Equity|1394.3|15.48|3988| Bank of China Limited Class H| 1.11%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|14.ASSET|Equity|1394.3|15.34|PTT.R| PTT Public Co., Ltd. NVDR| 1.10%| Emerging Markets|Equity|Emerging Markets Equities||PXH|6|15.ASSET|Equity|1394.3|15.34|9988| Alibaba Group Holding Ltd.| 1.10%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|1.ASSET|Bond|1689.1|204.21|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 12.09%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|2.ASSET|Bond|1689.1|202.02|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 11.96%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|3.ASSET|Bond|1689.1|183.77|N/A| United States Treasury Bond 2.375% 15-JAN-2025| 10.88%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|4.ASSET|Bond|1689.1|160.3|N/A| Government of the United States of America 0.125% 15-APR-2025| 9.49%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|5.ASSET|Bond|1689.1|159.62|N/A| Government of the United States of America 0.125% 15-OCT-2024| 9.45%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|6.ASSET|Bond|1689.1|66.89|N/A| United States Treasury Notes 0.625% 15-APR-2023| 3.96%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|7.ASSET|Bond|1689.1|65.37|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 3.87%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|8.ASSET|Bond|1689.1|62.83|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 3.72%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|9.ASSET|Bond|1689.1|62.67|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 3.71%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|10.ASSET|Bond|1689.1|61.82|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 3.66%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|11.ASSET|Bond|1689.1|58.27|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 3.45%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|12.ASSET|Bond|1689.1|55.74|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 3.30%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|13.ASSET|Bond|1689.1|54.73|N/A| Government of the United States of America 0.125% 15-APR-2026| 3.24%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|14.ASSET|Bond|1689.1|50.84|N/A| Government of the United States of America 0.125% 15-OCT-2026| 3.01%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTT|6|15.ASSET|Bond|1689.1|47.63|N/A| Government of the United States of America 0.125% 15-OCT-2025| 2.82%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|1.ASSET|Equity|1010.1|46.16|SI| Silvergate Capital Corp. Class A| 4.57%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|2.ASSET|Equity|1010.1|44.24|COIN| Coinbase Global, Inc. Class A| 4.38%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|3.ASSET|Equity|1010.1|43.03|NVDA| NVIDIA Corporation| 4.26%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|4.ASSET|Equity|1010.1|42.42|8473| SBI Holdings, Inc.| 4.20%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|5.ASSET|Equity|1010.1|41.62|CME| CME Group Inc. Class A| 4.12%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|6.ASSET|Equity|1010.1|40.91|GLXY| Galaxy Digital Holdings Ltd.| 4.05%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|7.ASSET|Equity|1010.1|40.4|9449| GMO Internet Inc.| 4.00%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|8.ASSET|Equity|1010.1|38.69|MSTR| MicroStrategy Incorporated Class A| 3.83%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|9.ASSET|Equity|1010.1|34.95|HIVE| HIVE Blockchain Technologies Ltd| 3.46%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|10.ASSET|Equity|1010.1|33.94|OSTK| Overstock.com, Inc.| 3.36%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|11.ASSET|Equity|1010.1|33.33|HUT| Hut 8 Mining Corp.| 3.30%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|12.ASSET|Equity|1010.1|33.13|RIOT| Riot Blockchain Inc| 3.28%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|13.ASSET|Equity|1010.1|31.52|BITF| Bitfarms Ltd.| 3.12%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|14.ASSET|Equity|1010.1|31.11|4819| Digital Garage, Inc.| 3.08%| Developed Markets|Equity|Technology Equities|Technology|BLOK|6|15.ASSET|Equity|1010.1|29.6|MARA| Marathon Digital Holdings Inc| 2.93%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|1.ASSET|Equity|1497|347.15|CCO| Cameco Corporation| 23.19%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|2.ASSET|Equity|1497|93.56|PHYS| Sprott Physical Gold Trust Units| 6.25%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|3.ASSET|Equity|1497|86.23|NXE| NexGen Energy Ltd.| 5.76%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|4.ASSET|Equity|1497|76.35|KAP| National Atomic Company Kazatomprom JSC Sponsored GDR RegS| 5.10%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|5.ASSET|Equity|1497|65.42|PDN| Paladin Energy Ltd| 4.37%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|6.ASSET|Equity|1497|54.94|EFR| Energy Fuels Inc.| 3.67%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|7.ASSET|Equity|1497|52.1|DML| Denison Mines Corp.| 3.48%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|8.ASSET|Equity|1497|45.51|UEC| Uranium Energy Corp.| 3.04%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|9.ASSET|Equity|1497|37.72|SSW| Sibanye Stillwater Limited| 2.52%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|10.ASSET|Equity|1497|37.72|YCA| Yellow Cake Plc| 2.52%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|11.ASSET|Equity|1497|31.59|7011| Mitsubishi Heavy Industries, Ltd.| 2.11%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|12.ASSET|Equity|1497|30.69|8053| Sumitomo Corporation| 2.05%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|13.ASSET|Equity|1497|30.39|8001| Itochu Corporation| 2.03%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|14.ASSET|Equity|1497|30.24|RIO| Rio Tinto plc| 2.02%| Developed Markets|Equity|Commodity Producers Equities|Materials|URA|6|15.ASSET|Equity|1497|29.34|047040| Daewoo Engineering & Construction Co., Ltd| 1.96%| North America|Equity|Volatility Hedged Equity||XMLV|6|1.ASSET|Equity|1212.3|18.91|FR| First Industrial Realty Trust, Inc.| 1.56%| North America|Equity|Volatility Hedged Equity||XMLV|6|2.ASSET|Equity|1212.3|18.67|FLO| Flowers Foods, Inc.| 1.54%| North America|Equity|Volatility Hedged Equity||XMLV|6|3.ASSET|Equity|1212.3|18.43|OGE| OGE Energy Corp.| 1.52%| North America|Equity|Volatility Hedged Equity||XMLV|6|4.ASSET|Equity|1212.3|18.06|LANC| Lancaster Colony Corporation| 1.49%| North America|Equity|Volatility Hedged Equity||XMLV|6|5.ASSET|Equity|1212.3|17.58|SON| Sonoco Products Company| 1.45%| North America|Equity|Volatility Hedged Equity||XMLV|6|6.ASSET|Equity|1212.3|17.58|DOC| Physicians Realty Trust| 1.45%| North America|Equity|Volatility Hedged Equity||XMLV|6|7.ASSET|Equity|1212.3|17.58|CACI| CACI International Inc Class A| 1.45%| North America|Equity|Volatility Hedged Equity||XMLV|6|8.ASSET|Equity|1212.3|17.46|WTRG| Essential Utilities, Inc.| 1.44%| North America|Equity|Volatility Hedged Equity||XMLV|6|9.ASSET|Equity|1212.3|17.09|IDA| IDACORP, Inc.| 1.41%| North America|Equity|Volatility Hedged Equity||XMLV|6|10.ASSET|Equity|1212.3|17.09|BKH| Black Hills Corporation| 1.41%| North America|Equity|Volatility Hedged Equity||XMLV|6|11.ASSET|Equity|1212.3|16.97|FCN| FTI Consulting, Inc.| 1.40%| North America|Equity|Volatility Hedged Equity||XMLV|6|12.ASSET|Equity|1212.3|16.97|CPT| Camden Property Trust| 1.40%| North America|Equity|Volatility Hedged Equity||XMLV|6|13.ASSET|Equity|1212.3|16.85|NWE| NorthWestern Corporation| 1.39%| North America|Equity|Volatility Hedged Equity||XMLV|6|14.ASSET|Equity|1212.3|16.37|NFG| National Fuel Gas Company| 1.35%| North America|Equity|Volatility Hedged Equity||XMLV|6|15.ASSET|Equity|1212.3|16.24|ATR| Aptargroup, Inc.| 1.34%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|1.ASSET|Equity|1256.7|79.8|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.35%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|2.ASSET|Equity|1256.7|43.86|700| Tencent Holdings Ltd.| 3.49%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|3.ASSET|Equity|1256.7|42.98|005930| Samsung Electronics Co., Ltd.| 3.42%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|4.ASSET|Equity|1256.7|26.64|9988| Alibaba Group Holding Ltd.| 2.12%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|5.ASSET|Equity|1256.7|13.57|500209| Infosys Limited| 1.08%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|6.ASSET|Equity|1256.7|12.94|VALE3| Vale S.A.| 1.03%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|7.ASSET|Equity|1256.7|9.93|2454| MediaTek Inc| 0.79%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|8.ASSET|Equity|1256.7|9.8|939| China Construction Bank Corporation Class H| 0.78%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|9.ASSET|Equity|1256.7|9.68|3690| Meituan Class B| 0.77%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|10.ASSET|Equity|1256.7|9.17|532540| Tata Consultancy Services Limited| 0.73%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|11.ASSET|Equity|1256.7|8.92|000660| SK hynix Inc| 0.71%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|12.ASSET|Equity|1256.7|8.67|500325| Reliance Industries Limited| 0.69%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|13.ASSET|Equity|1256.7|7.79|1120| Al Rajhi Bank| 0.62%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|14.ASSET|Equity|1256.7|7.41|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 0.59%| Emerging Markets|Equity|Emerging Markets Equities||GEM|6|15.ASSET|Equity|1256.7|6.79|9618| JD.com, Inc. Class A| 0.54%| North America|Equity|Financials Equities|Financials|IAT|6|1.ASSET|Equity|1472|181.64|PNC| PNC Financial Services Group, Inc.| 12.34%| North America|Equity|Financials Equities|Financials|IAT|6|2.ASSET|Equity|1472|179.73|TFC| Truist Financial Corporation| 12.21%| North America|Equity|Financials Equities|Financials|IAT|6|3.ASSET|Equity|1472|168.4|USB| U.S. Bancorp| 11.44%| North America|Equity|Financials Equities|Financials|IAT|6|4.ASSET|Equity|1472|77.43|SIVB| SVB Financial Group| 5.26%| North America|Equity|Financials Equities|Financials|IAT|6|5.ASSET|Equity|1472|68.01|FITB| Fifth Third Bancorp| 4.62%| North America|Equity|Financials Equities|Financials|IAT|6|6.ASSET|Equity|1472|52.7|MTB| M&T Bank Corporation| 3.58%| North America|Equity|Financials Equities|Financials|IAT|6|7.ASSET|Equity|1472|51.81|FRC| First Republic Bank| 3.52%| North America|Equity|Financials Equities|Financials|IAT|6|8.ASSET|Equity|1472|51.52|KEY| KeyCorp| 3.50%| North America|Equity|Financials Equities|Financials|IAT|6|9.ASSET|Equity|1472|51.08|RF| Regions Financial Corporation| 3.47%| North America|Equity|Financials Equities|Financials|IAT|6|10.ASSET|Equity|1472|50.05|HBAN| Huntington Bancshares Incorporated| 3.40%| North America|Equity|Financials Equities|Financials|IAT|6|11.ASSET|Equity|1472|49.46|CFG| Citizens Financial Group, Inc.| 3.36%| North America|Equity|Financials Equities|Financials|IAT|6|12.ASSET|Equity|1472|46.81|SBNY| Signature Bank| 3.18%| North America|Equity|Financials Equities|Financials|IAT|6|13.ASSET|Equity|1472|29.59|FHN| First Horizon Corporation| 2.01%| North America|Equity|Financials Equities|Financials|IAT|6|14.ASSET|Equity|1472|28.12|CMA| Comerica Incorporated| 1.91%| North America|Equity|Financials Equities|Financials|IAT|6|15.ASSET|Equity|1472|27.67|EWBC| East West Bancorp, Inc.| 1.88%| North America|Equity|Water Equities |Industrials|FIW|6|1.ASSET|Equity|1328|56.71|TTEK| Tetra Tech, Inc.| 4.27%| North America|Equity|Water Equities |Industrials|FIW|6|2.ASSET|Equity|1328|56.57|WMS| Advanced Drainage Systems, Inc.| 4.26%| North America|Equity|Water Equities |Industrials|FIW|6|3.ASSET|Equity|1328|55.78|WTRG| Essential Utilities, Inc.| 4.20%| North America|Equity|Water Equities |Industrials|FIW|6|4.ASSET|Equity|1328|55.38|ACM| AECOM| 4.17%| North America|Equity|Water Equities |Industrials|FIW|6|5.ASSET|Equity|1328|54.45|ROP| Roper Technologies, Inc.| 4.10%| North America|Equity|Water Equities |Industrials|FIW|6|6.ASSET|Equity|1328|50.46|IEX| IDEX Corporation| 3.80%| North America|Equity|Water Equities |Industrials|FIW|6|7.ASSET|Equity|1328|50.07|ZWS| Zurn Water Solutions Corporation| 3.77%| North America|Equity|Water Equities |Industrials|FIW|6|8.ASSET|Equity|1328|49.53|DHR| Danaher Corporation| 3.73%| North America|Equity|Water Equities |Industrials|FIW|6|9.ASSET|Equity|1328|48.87|AWK| American Water Works Company, Inc.| 3.68%| North America|Equity|Water Equities |Industrials|FIW|6|10.ASSET|Equity|1328|48.87|AOS| A. O. Smith Corporation| 3.68%| North America|Equity|Water Equities |Industrials|FIW|6|11.ASSET|Equity|1328|48.07|AQN| Algonquin Power & Utilities Corp.| 3.62%| North America|Equity|Water Equities |Industrials|FIW|6|12.ASSET|Equity|1328|46.88|IDXX| IDEXX Laboratories, Inc.| 3.53%| North America|Equity|Water Equities |Industrials|FIW|6|13.ASSET|Equity|1328|45.15|STN| Stantec Inc| 3.40%| North America|Equity|Water Equities |Industrials|FIW|6|14.ASSET|Equity|1328|44.89|ECL| Ecolab Inc.| 3.38%| North America|Equity|Water Equities |Industrials|FIW|6|15.ASSET|Equity|1328|44.49|A| Agilent Technologies, Inc.| 3.35%| North America|Equity|Technology Equities|Technology|WCLD|6|1.ASSET|Equity|866.6|14.04|SPT| Sprout Social Inc Class A| 1.62%| North America|Equity|Technology Equities|Technology|WCLD|6|2.ASSET|Equity|866.6|13.95|SQ| Block Inc Class A| 1.61%| North America|Equity|Technology Equities|Technology|WCLD|6|3.ASSET|Equity|866.6|13.87|API| Agora, Inc. Sponsored ADR Class A| 1.60%| North America|Equity|Technology Equities|Technology|WCLD|6|4.ASSET|Equity|866.6|13.61|TENB| Tenable Holdings, Inc.| 1.57%| North America|Equity|Technology Equities|Technology|WCLD|6|5.ASSET|Equity|866.6|12.91|CRWD| CrowdStrike Holdings, Inc. Class A| 1.49%| North America|Equity|Technology Equities|Technology|WCLD|6|6.ASSET|Equity|866.6|12.74|NET| Cloudflare Inc Class A| 1.47%| North America|Equity|Technology Equities|Technology|WCLD|6|7.ASSET|Equity|866.6|12.74|WDAY| Workday, Inc. Class A| 1.47%| North America|Equity|Technology Equities|Technology|WCLD|6|8.ASSET|Equity|866.6|12.57|TWOU| 2U, Inc.| 1.45%| North America|Equity|Technology Equities|Technology|WCLD|6|9.ASSET|Equity|866.6|12.48|QLYS| Qualys, Inc.| 1.44%| North America|Equity|Technology Equities|Technology|WCLD|6|10.ASSET|Equity|866.6|12.39|AVLR| Avalara Inc| 1.43%| North America|Equity|Technology Equities|Technology|WCLD|6|11.ASSET|Equity|866.6|12.31|SQSP| Squarespace, Inc. Class A| 1.42%| North America|Equity|Technology Equities|Technology|WCLD|6|12.ASSET|Equity|866.6|12.22|NCNO| nCino Inc| 1.41%| North America|Equity|Technology Equities|Technology|WCLD|6|13.ASSET|Equity|866.6|12.22|DOCN| DigitalOcean Holdings, Inc.| 1.41%| North America|Equity|Technology Equities|Technology|WCLD|6|14.ASSET|Equity|866.6|12.13|VEEV| Veeva Systems Inc Class A| 1.40%| North America|Equity|Technology Equities|Technology|WCLD|6|15.ASSET|Equity|866.6|12.05|PCTY| Paylocity Holding Corp.| 1.39%| North America|Equity|Large Cap Growth Equities||QQEW|6|1.ASSET|Equity|1189|17.24|ATVI| Activision Blizzard, Inc.| 1.45%| North America|Equity|Large Cap Growth Equities||QQEW|6|2.ASSET|Equity|1189|14.74|BIDU| Baidu Inc Sponsored ADR Class A| 1.24%| North America|Equity|Large Cap Growth Equities||QQEW|6|3.ASSET|Equity|1189|14.62|MU| Micron Technology, Inc.| 1.23%| North America|Equity|Large Cap Growth Equities||QQEW|6|4.ASSET|Equity|1189|14.62|MAR| Marriott International, Inc. Class A| 1.23%| North America|Equity|Large Cap Growth Equities||QQEW|6|5.ASSET|Equity|1189|14.27|PCAR| PACCAR Inc| 1.20%| North America|Equity|Large Cap Growth Equities||QQEW|6|6.ASSET|Equity|1189|14.27|KHC| Kraft Heinz Company| 1.20%| North America|Equity|Large Cap Growth Equities||QQEW|6|7.ASSET|Equity|1189|14.27|PANW| Palo Alto Networks, Inc.| 1.20%| North America|Equity|Large Cap Growth Equities||QQEW|6|8.ASSET|Equity|1189|14.15|VRTX| Vertex Pharmaceuticals Incorporated| 1.19%| North America|Equity|Large Cap Growth Equities||QQEW|6|9.ASSET|Equity|1189|14.03|KDP| Keurig Dr Pepper Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||QQEW|6|10.ASSET|Equity|1189|13.67|AEP| American Electric Power Company, Inc.| 1.15%| North America|Equity|Large Cap Growth Equities||QQEW|6|11.ASSET|Equity|1189|13.67|TMUS| T-Mobile US, Inc.| 1.15%| North America|Equity|Large Cap Growth Equities||QQEW|6|12.ASSET|Equity|1189|13.55|CTSH| Cognizant Technology Solutions Corporation Class A| 1.14%| North America|Equity|Large Cap Growth Equities||QQEW|6|13.ASSET|Equity|1189|13.44|FTNT| Fortinet, Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||QQEW|6|14.ASSET|Equity|1189|13.44|SPLK| Splunk Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||QQEW|6|15.ASSET|Equity|1189|13.32|AMGN| Amgen Inc.| 1.12%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|1.ASSET|Equity|1059.8|144.24|AMZN| Amazon.com, Inc.| 13.61%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|2.ASSET|Equity|1059.8|86.27|TSLA| Tesla Inc| 8.14%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|3.ASSET|Equity|1059.8|46|DIS| Walt Disney Company| 4.34%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|4.ASSET|Equity|1059.8|45.89|COST| Costco Wholesale Corporation| 4.33%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|5.ASSET|Equity|1059.8|43.24|HD| Home Depot, Inc.| 4.08%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|6.ASSET|Equity|1059.8|39.53|WMT| Walmart Inc.| 3.73%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|7.ASSET|Equity|1059.8|36.46|MCD| McDonald\'s Corporation| 3.44%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|8.ASSET|Equity|1059.8|34.02|NKE| NIKE, Inc. Class B| 3.21%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|9.ASSET|Equity|1059.8|32.11|LOW| Lowe\'s Companies, Inc.| 3.03%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|10.ASSET|Equity|1059.8|28.72|NFLX| Netflix, Inc.| 2.71%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|11.ASSET|Equity|1059.8|22.26|TGT| Target Corporation| 2.10%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|12.ASSET|Equity|1059.8|22.15|SBUX| Starbucks Corporation| 2.09%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|13.ASSET|Equity|1059.8|17.91|BKNG| Booking Holdings Inc.| 1.69%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|14.ASSET|Equity|1059.8|16.11|TJX| TJX Companies Inc| 1.52%| North America|Equity|Large Cap Growth Equities|Consumer Discretionary|IYC|6|15.ASSET|Equity|1059.8|14.31|F| Ford Motor Company| 1.35%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|1.ASSET|Equity|798.3|76.72|700| Tencent Holdings Ltd.| 9.61%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|2.ASSET|Equity|798.3|72.01|500325| Reliance Industries Limited| 9.02%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|3.ASSET|Equity|798.3|68.97|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 8.64%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|4.ASSET|Equity|798.3|61.71|3690| Meituan Class B| 7.73%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|5.ASSET|Equity|798.3|48.14|JD| JD.com, Inc. Sponsored ADR Class A| 6.03%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|6.ASSET|Equity|798.3|39.36|MELI| MercadoLibre, Inc.| 4.93%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|7.ASSET|Equity|798.3|36.8|PRX| Prosus N.V. Class N| 4.61%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|8.ASSET|Equity|798.3|35.36|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 4.43%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|9.ASSET|Equity|798.3|31.85|BIDU| Baidu Inc Sponsored ADR Class A| 3.99%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|10.ASSET|Equity|798.3|25.71|NTES| NetEase, Inc. Sponsored ADR| 3.22%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|11.ASSET|Equity|798.3|24.03|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 3.01%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|12.ASSET|Equity|798.3|23.31|035420| NAVER Corp.| 2.92%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|13.ASSET|Equity|798.3|19.24|NU| Nu Holdings Ltd. Class A| 2.41%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|14.ASSET|Equity|798.3|15.09|035720| Kakao Corp.| 1.89%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EMQQ|6|15.ASSET|Equity|798.3|14.29|GRAB| Grab Holdings Ltd. (Singapore) Class A| 1.79%| North America|Equity|Mid Cap Growth Equities||IMCG|6|1.ASSET|Equity|1201.2|12.49|HLT| Hilton Worldwide Holdings Inc| 1.04%| North America|Equity|Mid Cap Growth Equities||IMCG|6|2.ASSET|Equity|1201.2|12.49|DDOG| Datadog Inc Class A| 1.04%| North America|Equity|Mid Cap Growth Equities||IMCG|6|3.ASSET|Equity|1201.2|11.17|TTD| Trade Desk, Inc. Class A| 0.93%| North America|Equity|Mid Cap Growth Equities||IMCG|6|4.ASSET|Equity|1201.2|10.81|RMD| ResMed Inc.| 0.90%| North America|Equity|Mid Cap Growth Equities||IMCG|6|5.ASSET|Equity|1201.2|10.45|TDG| TransDigm Group Incorporated| 0.87%| North America|Equity|Mid Cap Growth Equities||IMCG|6|6.ASSET|Equity|1201.2|9.97|SBAC| SBA Communications Corp. Class A| 0.83%| North America|Equity|Mid Cap Growth Equities||IMCG|6|7.ASSET|Equity|1201.2|9.73|MTD| Mettler-Toledo International Inc.| 0.81%| North America|Equity|Mid Cap Growth Equities||IMCG|6|8.ASSET|Equity|1201.2|9.37|LNG| Cheniere Energy, Inc.| 0.78%| North America|Equity|Mid Cap Growth Equities||IMCG|6|9.ASSET|Equity|1201.2|8.77|KEYS| Keysight Technologies Inc| 0.73%| North America|Equity|Mid Cap Growth Equities||IMCG|6|10.ASSET|Equity|1201.2|8.77|ODFL| Old Dominion Freight Line, Inc.| 0.73%| North America|Equity|Mid Cap Growth Equities||IMCG|6|11.ASSET|Equity|1201.2|8.65|VRSK| Verisk Analytics Inc| 0.72%| North America|Equity|Mid Cap Growth Equities||IMCG|6|12.ASSET|Equity|1201.2|8.65|WST| West Pharmaceutical Services, Inc.| 0.72%| North America|Equity|Mid Cap Growth Equities||IMCG|6|13.ASSET|Equity|1201.2|8.53|ANSS| ANSYS, Inc.| 0.71%| North America|Equity|Mid Cap Growth Equities||IMCG|6|14.ASSET|Equity|1201.2|8.29|ANET| Arista Networks, Inc.| 0.69%| North America|Equity|Mid Cap Growth Equities||IMCG|6|15.ASSET|Equity|1201.2|8.17|OKTA| Okta, Inc. Class A| 0.68%| North America|Equity|Small Cap Value Equities||VIOV|6|1.ASSET|Equity|1306.7|15.03|N/A| U.S. Dollar| 1.15%| North America|Equity|Small Cap Value Equities||VIOV|6|2.ASSET|Equity|1306.7|9.41|BKU| BankUnited, Inc.| 0.72%| North America|Equity|Small Cap Value Equities||VIOV|6|3.ASSET|Equity|1306.7|9.28|FHB| First Hawaiian, Inc.| 0.71%| North America|Equity|Small Cap Value Equities||VIOV|6|4.ASSET|Equity|1306.7|9.02|REZI| Resideo Technologies, Inc.| 0.69%| North America|Equity|Small Cap Value Equities||VIOV|6|5.ASSET|Equity|1306.7|8.62|AEL| American Equity Investment Life Holding Company| 0.66%| North America|Equity|Small Cap Value Equities||VIOV|6|6.ASSET|Equity|1306.7|8.36|SFNC| Simmons First National Corporation Class A| 0.64%| North America|Equity|Small Cap Value Equities||VIOV|6|7.ASSET|Equity|1306.7|8.36|NSIT| Insight Enterprises, Inc.| 0.64%| North America|Equity|Small Cap Value Equities||VIOV|6|8.ASSET|Equity|1306.7|8.36|ARNC| Arconic Corp.| 0.64%| North America|Equity|Small Cap Value Equities||VIOV|6|9.ASSET|Equity|1306.7|7.97|OMI| Owens & Minor, Inc.| 0.61%| North America|Equity|Small Cap Value Equities||VIOV|6|10.ASSET|Equity|1306.7|7.97|AVA| Avista Corporation| 0.61%| North America|Equity|Small Cap Value Equities||VIOV|6|11.ASSET|Equity|1306.7|7.84|HP| Helmerich & Payne, Inc.| 0.60%| North America|Equity|Small Cap Value Equities||VIOV|6|12.ASSET|Equity|1306.7|7.71|ONB| Old National Bancorp| 0.59%| North America|Equity|Small Cap Value Equities||VIOV|6|13.ASSET|Equity|1306.7|7.71|GPI| Group 1 Automotive, Inc.| 0.59%| North America|Equity|Small Cap Value Equities||VIOV|6|14.ASSET|Equity|1306.7|7.58|COOP| Mr. Cooper Group, Inc.| 0.58%| North America|Equity|Small Cap Value Equities||VIOV|6|15.ASSET|Equity|1306.7|7.32|UNF| UniFirst Corporation| 0.56%| North America|Bond|High Yield Bonds|Junk|PTBD|6|1.ASSET|Bond|1245.9|58.06|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 4.66%| North America|Bond|High Yield Bonds|Junk|PTBD|6|2.ASSET|Bond|1245.9|56.94|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 4.57%| North America|Bond|High Yield Bonds|Junk|PTBD|6|3.ASSET|Bond|1245.9|55.69|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 4.47%| North America|Bond|High Yield Bonds|Junk|PTBD|6|4.ASSET|Bond|1245.9|53.82|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 4.32%| North America|Bond|High Yield Bonds|Junk|PTBD|6|5.ASSET|Bond|1245.9|53.2|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 4.27%| North America|Bond|High Yield Bonds|Junk|PTBD|6|6.ASSET|Bond|1245.9|50.96|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 4.09%| North America|Bond|High Yield Bonds|Junk|PTBD|6|7.ASSET|Bond|1245.9|39|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 3.13%| North America|Bond|High Yield Bonds|Junk|PTBD|6|8.ASSET|Bond|1245.9|30.65|N/A| United States Treasury Notes 1.5% 15-FEB-2030| 2.46%| North America|Bond|High Yield Bonds|Junk|PTBD|6|9.ASSET|Bond|1245.9|29.28|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 2.35%| North America|Bond|High Yield Bonds|Junk|PTBD|6|10.ASSET|Bond|1245.9|28.66|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.30%| North America|Bond|High Yield Bonds|Junk|PTBD|6|11.ASSET|Bond|1245.9|28.03|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 2.25%| North America|Bond|High Yield Bonds|Junk|PTBD|6|12.ASSET|Bond|1245.9|27.41|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 2.20%| North America|Bond|High Yield Bonds|Junk|PTBD|6|13.ASSET|Bond|1245.9|27.04|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 2.17%| North America|Bond|High Yield Bonds|Junk|PTBD|6|14.ASSET|Bond|1245.9|26.66|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 2.14%| North America|Bond|High Yield Bonds|Junk|PTBD|6|15.ASSET|Bond|1245.9|25.54|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 2.05%| North America|Equity|All Cap Equities||DFAU|6|1.ASSET|Equity|1849.1|106.51|AAPL| Apple Inc.| 5.76%| North America|Equity|All Cap Equities||DFAU|6|2.ASSET|Equity|1849.1|88.39|MSFT| Microsoft Corporation| 4.78%| North America|Equity|All Cap Equities||DFAU|6|3.ASSET|Equity|1849.1|53.44|AMZN| Amazon.com, Inc.| 2.89%| North America|Equity|All Cap Equities||DFAU|6|4.ASSET|Equity|1849.1|31.99|GOOGL| Alphabet Inc. Class A| 1.73%| North America|Equity|All Cap Equities||DFAU|6|5.ASSET|Equity|1849.1|31.06|GOOG| Alphabet Inc. Class C| 1.68%| North America|Equity|All Cap Equities||DFAU|6|6.ASSET|Equity|1849.1|27.55|TSLA| Tesla Inc| 1.49%| North America|Equity|All Cap Equities||DFAU|6|7.ASSET|Equity|1849.1|22|NVDA| NVIDIA Corporation| 1.19%| North America|Equity|All Cap Equities||DFAU|6|8.ASSET|Equity|1849.1|20.71|BRK.B| Berkshire Hathaway Inc. Class B| 1.12%| North America|Equity|All Cap Equities||DFAU|6|9.ASSET|Equity|1849.1|20.16|JNJ| Johnson & Johnson| 1.09%| North America|Equity|All Cap Equities||DFAU|6|10.ASSET|Equity|1849.1|19.42|UNH| UnitedHealth Group Incorporated| 1.05%| North America|Equity|All Cap Equities||DFAU|6|11.ASSET|Equity|1849.1|19.05|FB| Meta Platforms Inc. Class A| 1.03%| North America|Equity|All Cap Equities||DFAU|6|12.ASSET|Equity|1849.1|18.12|JPM| JPMorgan Chase & Co.| 0.98%| North America|Equity|All Cap Equities||DFAU|6|13.ASSET|Equity|1849.1|17.01|PG| Procter & Gamble Company| 0.92%| North America|Equity|All Cap Equities||DFAU|6|14.ASSET|Equity|1849.1|15.16|V| Visa Inc. Class A| 0.82%| North America|Equity|All Cap Equities||DFAU|6|15.ASSET|Equity|1849.1|14.05|HD| Home Depot, Inc.| 0.76%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|1.ASSET|Equity|1163.3|86.78|AMD| Advanced Micro Devices, Inc.| 7.46%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|2.ASSET|Equity|1163.3|58.05|QCOM| Qualcomm Inc| 4.99%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|3.ASSET|Equity|1163.3|54.56|ADI| Analog Devices, Inc.| 4.69%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|4.ASSET|Equity|1163.3|41.3|VZ| Verizon Communications Inc.| 3.55%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|5.ASSET|Equity|1163.3|39.44|T| AT&T Inc.| 3.39%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|6.ASSET|Equity|1163.3|35.71|NXPI| NXP Semiconductors NV| 3.07%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|7.ASSET|Equity|1163.3|34.32|AKAM| Akamai Technologies, Inc.| 2.95%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|8.ASSET|Equity|1163.3|33.04|MRVL| Marvell Technology, Inc.| 2.84%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|9.ASSET|Equity|1163.3|32.22|AMT| American Tower Corporation| 2.77%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|10.ASSET|Equity|1163.3|31.76|TMUS| T-Mobile US, Inc.| 2.73%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|11.ASSET|Equity|1163.3|29.43|KEYS| Keysight Technologies Inc| 2.53%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|12.ASSET|Equity|1163.3|25.24|NOK| Nokia Oyj Sponsored ADR| 2.17%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|13.ASSET|Equity|1163.3|24.89|ERIC| Telefonaktiebolaget LM Ericsson Sponsored ADR Class B| 2.14%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|14.ASSET|Equity|1163.3|21.64|CHTR| Charter Communications, Inc. Class A| 1.86%| Developed Markets|Equity|Technology Equities|Technology|FIVG|6|15.ASSET|Equity|1163.3|19.19|CCI| Crown Castle International Corp| 1.65%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|1.ASSET|Bond|1190.5|13.45|N/A| Industrial and Commercial Bank of China Limited 3.2% PERP| 1.13%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|2.ASSET|Bond|1190.5|9.05|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.76%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|3.ASSET|Bond|1190.5|7.02|N/A| U.S. Dollar| 0.59%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|4.ASSET|Bond|1190.5|6.79|N/A| Ecopetrol SA 6.875% 29-APR-2030| 0.57%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|5.ASSET|Bond|1190.5|6.55|N/A| Southern Gas Corridor CJSC 6.875% 24-MAR-2026| 0.55%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|6.ASSET|Bond|1190.5|6.19|N/A| Bank of Communications Co., Ltd. 3.8% PERP| 0.52%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|7.ASSET|Bond|1190.5|6.07|N/A| Ecopetrol SA 5.875% 18-SEP-2023| 0.51%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|8.ASSET|Bond|1190.5|6.07|N/A| Tullow Oil Plc 10.25% 15-MAY-2026| 0.51%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|9.ASSET|Bond|1190.5|5.48|N/A| Ecopetrol SA 5.875% 28-MAY-2045| 0.46%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|10.ASSET|Bond|1190.5|5.48|N/A| CEMEX SAB de CV 3.875% 11-JUL-2031| 0.46%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|11.ASSET|Bond|1190.5|5.36|N/A| DP World Limited 6.0% PERP| 0.45%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|12.ASSET|Bond|1190.5|5.12|N/A| First Quantum Minerals Ltd. 6.875% 15-OCT-2027| 0.43%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|13.ASSET|Bond|1190.5|5.12|N/A| Sasol Financing USA LLC 5.875% 27-MAR-2024| 0.43%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|14.ASSET|Bond|1190.5|5.12|N/A| Ecopetrol SA 5.375% 26-JUN-2026| 0.43%| Global|Bond|High Yield Bonds|International Corporate|HYEM|6|15.ASSET|Bond|1190.5|5|N/A| Petroleos Mexicanos SA 7.69% 23-JAN-2050| 0.42%| North America|Equity|Large Cap Growth Equities||FTC|6|1.ASSET|Equity|1035.8|13.98|LNG| Cheniere Energy, Inc.| 1.35%| North America|Equity|Large Cap Growth Equities||FTC|6|2.ASSET|Equity|1035.8|12.84|NUE| Nucor Corporation| 1.24%| North America|Equity|Large Cap Growth Equities||FTC|6|3.ASSET|Equity|1035.8|12.22|FCX| Freeport-McMoRan, Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||FTC|6|4.ASSET|Equity|1035.8|11.7|ABBV| AbbVie, Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||FTC|6|5.ASSET|Equity|1035.8|10.77|HCA| HCA Healthcare Inc| 1.04%| North America|Equity|Large Cap Growth Equities||FTC|6|6.ASSET|Equity|1035.8|10.67|BX| Blackstone Inc.| 1.03%| North America|Equity|Large Cap Growth Equities||FTC|6|7.ASSET|Equity|1035.8|10.36|OXY| Occidental Petroleum Corporation| 1.00%| North America|Equity|Large Cap Growth Equities||FTC|6|8.ASSET|Equity|1035.8|10.15|FTNT| Fortinet, Inc.| 0.98%| North America|Equity|Large Cap Growth Equities||FTC|6|9.ASSET|Equity|1035.8|10.15|ORLY| O\'Reilly Automotive, Inc.| 0.98%| North America|Equity|Large Cap Growth Equities||FTC|6|10.ASSET|Equity|1035.8|9.94|AAPL| Apple Inc.| 0.96%| North America|Equity|Large Cap Growth Equities||FTC|6|11.ASSET|Equity|1035.8|9.84|ON| ON Semiconductor Corporation| 0.95%| North America|Equity|Large Cap Growth Equities||FTC|6|12.ASSET|Equity|1035.8|9.84|QCOM| Qualcomm Inc| 0.95%| North America|Equity|Large Cap Growth Equities||FTC|6|13.ASSET|Equity|1035.8|9.84|DDOG| Datadog Inc Class A| 0.95%| North America|Equity|Large Cap Growth Equities||FTC|6|14.ASSET|Equity|1035.8|9.74|OKE| ONEOK, Inc.| 0.94%| North America|Equity|Large Cap Growth Equities||FTC|6|15.ASSET|Equity|1035.8|9.53|AZO| AutoZone, Inc.| 0.92%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|1.ASSET|Bond|1123.3|45.49|N/A| DERIVATIVE SECURITIES (OTHER)| 4.05%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|2.ASSET|Bond|1123.3|40.44|N/A| TREASURY ISSUES (LONG-TERM)| 3.60%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|3.ASSET|Bond|1123.3|19.99|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 1.78%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|4.ASSET|Bond|1123.3|18.87|N/A| U.S. Dollar| 1.68%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|5.ASSET|Bond|1123.3|14.6|N/A| Government of Brazil 0.0% 01-JAN-2024| 1.30%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|6.ASSET|Bond|1123.3|9.1|N/A| Government of South Korea 1.875% 10-MAR-2051| 0.81%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|7.ASSET|Bond|1123.3|8.42|N/A| Government of Poland 0.25% 25-OCT-2026| 0.75%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|8.ASSET|Bond|1123.3|7.98|N/A| Government of Brazil 0.0% 01-JUL-2023| 0.71%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|9.ASSET|Bond|1123.3|7.75|N/A| Government of South Korea 1.5% 10-MAR-2050| 0.69%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|10.ASSET|Bond|1123.3|7.64|N/A| Government of South Africa 10.5% 21-DEC-2027| 0.68%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|11.ASSET|Bond|1123.3|7.3|N/A| Government of South Africa 8.0% 31-JAN-2030| 0.65%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|12.ASSET|Bond|1123.3|7.3|N/A| Government of South Korea 1.375% 10-JUN-2030| 0.65%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|13.ASSET|Bond|1123.3|7.19|N/A| Government of South Korea 1.125% 10-JUN-2024| 0.64%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|14.ASSET|Bond|1123.3|6.85|N/A| Government of Colombia 6.25% 26-NOV-2025| 0.61%| Broad Asia|Bond|Emerging Markets Bonds|Emerging Markets|EBND|6|15.ASSET|Bond|1123.3|6.29|N/A| Government of Poland 4.0% 25-OCT-2023| 0.56%| North America|Equity|Small Cap Blend Equities||IWC|6|1.ASSET|Equity|1114.3|8.02|LNTH| Lantheus Holdings Inc| 0.72%| North America|Equity|Small Cap Blend Equities||IWC|6|2.ASSET|Equity|1114.3|6.46|HMHC| Houghton Mifflin Harcourt Company| 0.58%| North America|Equity|Small Cap Blend Equities||IWC|6|3.ASSET|Equity|1114.3|5.79|CIVI| Civitas Resources, Inc.| 0.52%| North America|Equity|Small Cap Blend Equities||IWC|6|4.ASSET|Equity|1114.3|4.57|EVRI| Everi Holdings, Inc.| 0.41%| North America|Equity|Small Cap Blend Equities||IWC|6|5.ASSET|Equity|1114.3|4.57|ARCH| Arch Resources, Inc. Class A| 0.41%| North America|Equity|Small Cap Blend Equities||IWC|6|6.ASSET|Equity|1114.3|4.57|ISEE| IVERIC bio, Inc.| 0.41%| North America|Equity|Small Cap Blend Equities||IWC|6|7.ASSET|Equity|1114.3|4.57|NXRT| NexPoint Residential Trust, Inc.| 0.41%| North America|Equity|Small Cap Blend Equities||IWC|6|8.ASSET|Equity|1114.3|4.35|VRTV| Veritiv Corp| 0.39%| North America|Equity|Small Cap Blend Equities||IWC|6|9.ASSET|Equity|1114.3|4.23|AMEH| Apollo Medical Holdings, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||IWC|6|10.ASSET|Equity|1114.3|4.23|HCC| Warrior Met Coal, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||IWC|6|11.ASSET|Equity|1114.3|4.12|CUBI| Customers Bancorp, Inc.| 0.37%| North America|Equity|Small Cap Blend Equities||IWC|6|12.ASSET|Equity|1114.3|4.12|AMR| Alpha Metallurgical Resources, Inc.| 0.37%| North America|Equity|Small Cap Blend Equities||IWC|6|13.ASSET|Equity|1114.3|4.12|BTU| Peabody Energy Corporation| 0.37%| North America|Equity|Small Cap Blend Equities||IWC|6|14.ASSET|Equity|1114.3|4.01|SKIN| Beauty Health Company Class A| 0.36%| North America|Equity|Small Cap Blend Equities||IWC|6|15.ASSET|Equity|1114.3|3.9|NVEE| NV5 Global Inc| 0.35%| |Commodity|Precious Metals||PPLT|6|1.ASSET|Commodity|1209.2|1209.2|N/A| Platinum| 100.00%| Latin America|Equity|Latin America Equities||ILF|6|1.ASSET|Equity|1355.7|247.01|VALE| Vale S.A. Sponsored ADR| 18.22%| Latin America|Equity|Latin America Equities||ILF|6|2.ASSET|Equity|1355.7|95.85|PBR.A| Petroleo Brasileiro SA Sponsored ADR Pfd| 7.07%| Latin America|Equity|Latin America Equities||ILF|6|3.ASSET|Equity|1355.7|84.05|PBR| Petroleo Brasileiro SA Sponsored ADR| 6.20%| Latin America|Equity|Latin America Equities||ILF|6|4.ASSET|Equity|1355.7|72.53|ITUB| Itau Unibanco Holding S.A. Sponsored ADR Pfd| 5.35%| Latin America|Equity|Latin America Equities||ILF|6|5.ASSET|Equity|1355.7|65.48|AMXL| America Movil SAB de CV Class L| 4.83%| Latin America|Equity|Latin America Equities||ILF|6|6.ASSET|Equity|1355.7|58.16|BBD| Banco Bradesco S.A. Sponsored ADR Pfd| 4.29%| Latin America|Equity|Latin America Equities||ILF|6|7.ASSET|Equity|1355.7|56.26|WALMEX| Wal-Mart de Mexico SAB de CV| 4.15%| Latin America|Equity|Latin America Equities||ILF|6|8.ASSET|Equity|1355.7|52.87|B3SA3| B3 SA - Brasil, Bolsa, Balcao| 3.90%| Latin America|Equity|Latin America Equities||ILF|6|9.ASSET|Equity|1355.7|50.84|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 3.75%| Latin America|Equity|Latin America Equities||ILF|6|10.ASSET|Equity|1355.7|47.72|GFNORTEO| Grupo Financiero Banorte SAB de CV Class O| 3.52%| Latin America|Equity|Latin America Equities||ILF|6|11.ASSET|Equity|1355.7|44.74|FEMSAUBD| Fomento Economico Mexicano SAB de CV Units Cons. Of 1 ShsB And 4 ShsD| 3.30%| Latin America|Equity|Latin America Equities||ILF|6|12.ASSET|Equity|1355.7|38.64|ABEV| Ambev SA Sponsored ADR| 2.85%| Latin America|Equity|Latin America Equities||ILF|6|13.ASSET|Equity|1355.7|30.77|BBAS3| Banco do Brasil S.A.| 2.27%| Latin America|Equity|Latin America Equities||ILF|6|14.ASSET|Equity|1355.7|29.69|BAP| Credicorp Ltd.| 2.19%| Latin America|Equity|Latin America Equities||ILF|6|15.ASSET|Equity|1355.7|29.01|SQM| Sociedad Quimica Y Minera De Chile S.A. Sponsored ADR Pfd Class B| 2.14%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDM|6|1.ASSET|Bond|1110.4|1090.52|N/A| MUTUAL FUND (OTHER)| 98.21%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDM|6|2.ASSET|Bond|1110.4|13.99|N/A| Pfizer Inc. 2.2% 15-DEC-2021| 1.26%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDM|6|3.ASSET|Bond|1110.4|2.55|N/A| UnitedHealth Group Incorporated 2.875% 15-DEC-2021| 0.23%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDM|6|4.ASSET|Bond|1110.4|1.44|N/A| U.S. Dollar| 0.13%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDM|6|5.ASSET|Bond|1110.4|1.22|N/A| Total Capital SA 4.25% 15-DEC-2021| 0.11%| Developed Markets|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDM|6|6.ASSET|Bond|1110.4|0.56|N/A| First Niagara Financial Group, Inc. 7.25% 15-DEC-2021| 0.05%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|1.ASSET|Bond|1297.8|11.81|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 0.91%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|2.ASSET|Bond|1297.8|10.12|N/A| AbbVie Inc. 3.6% 14-MAY-2025| 0.78%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|3.ASSET|Bond|1297.8|9.73|N/A| MUTUAL FUND (OTHER)| 0.75%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|4.ASSET|Bond|1297.8|9.6|N/A| Boeing Company 4.875% 01-MAY-2025| 0.74%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|5.ASSET|Bond|1297.8|9.6|N/A| Oracle Corporation 2.95% 15-MAY-2025| 0.74%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|6.ASSET|Bond|1297.8|9.47|N/A| Goldman Sachs Group, Inc. 3.5% 01-APR-2025| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|7.ASSET|Bond|1297.8|9.47|N/A| Visa Inc. 3.15% 14-DEC-2025| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|8.ASSET|Bond|1297.8|8.31|N/A| Exxon Mobil Corporation 2.709% 06-MAR-2025| 0.64%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|9.ASSET|Bond|1297.8|8.18|N/A| Microsoft Corporation 3.125% 03-NOV-2025| 0.63%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|10.ASSET|Bond|1297.8|8.05|N/A| AbbVie Inc. 3.8% 15-MAR-2025| 0.62%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|11.ASSET|Bond|1297.8|7.79|N/A| CVS Health Corporation 3.875% 20-JUL-2025| 0.60%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|12.ASSET|Bond|1297.8|7.79|N/A| Comcast Corporation 3.95% 15-OCT-2025| 0.60%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|13.ASSET|Bond|1297.8|7.79|N/A| T-Mobile USA, Inc. 3.5% 15-APR-2025| 0.60%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|14.ASSET|Bond|1297.8|7.4|N/A| Morgan Stanley 4.0% 23-JUL-2025| 0.57%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDQ|6|15.ASSET|Bond|1297.8|7.01|N/A| Reynolds American Inc. 4.45% 12-JUN-2025| 0.54%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|1.ASSET|Multi-Asset|1617.2|179.83|N/A| U.S. Dollar| 11.12%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|2.ASSET|Multi-Asset|1617.2|167.87|SPAB| SPDR Portfolio Aggregate Bond ETF| 10.38%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|3.ASSET|Multi-Asset|1617.2|167.7|BND| Vanguard Total Bond Market ETF| 10.37%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|4.ASSET|Multi-Asset|1617.2|167.7|AGG| iShares Core U.S. Aggregate Bond ETF| 10.37%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|5.ASSET|Multi-Asset|1617.2|109.81|VIG| Vanguard Dividend Appreciation ETF| 6.79%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|6.ASSET|Multi-Asset|1617.2|108.84|AMLP| Alerian MLP ETF| 6.73%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|7.ASSET|Multi-Asset|1617.2|105.28|QQQ| Invesco QQQ Trust| 6.51%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|8.ASSET|Multi-Asset|1617.2|90.89|NTSX| WisdomTree U.S. Efficient Core Fund| 5.62%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|9.ASSET|Multi-Asset|1617.2|82.48|SCHH| Schwab U.S. REIT ETF| 5.10%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|10.ASSET|Multi-Asset|1617.2|74.07|XLU| Utilities Select Sector SPDR Fund| 4.58%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|11.ASSET|Multi-Asset|1617.2|64.69|JEPI| JPMorgan Equity Premium Income ETF| 4.00%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|12.ASSET|Multi-Asset|1617.2|54.01|PFFD| Global X U.S. Preferred ETF| 3.34%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|13.ASSET|Multi-Asset|1617.2|45.77|BAB| Invesco Taxable Municipal Bond ETF| 2.83%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|14.ASSET|Multi-Asset|1617.2|36.87|FBND| Fidelity Total Bond ETF| 2.28%| North America|Multi-Asset|Diversified Portfolio||HNDL|6|15.ASSET|Multi-Asset|1617.2|35.58|VOO| Vanguard S&P 500 ETF| 2.20%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|1.ASSET|Equity|1124.9|25.54|SHEL| Shell PLC| 2.27%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|2.ASSET|Equity|1124.9|15.19|005930| Samsung Electronics Co., Ltd.| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|3.ASSET|Equity|1124.9|15.07|NESN| Nestle S.A.| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|4.ASSET|Equity|1124.9|14.62|BP| BP p.l.c.| 1.30%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|5.ASSET|Equity|1124.9|14.29|TTE| TotalEnergies SE| 1.27%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|6.ASSET|Equity|1124.9|11.14|ROG| Roche Holding Ltd| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|7.ASSET|Equity|1124.9|10.8|RY| Royal Bank of Canada| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|8.ASSET|Equity|1124.9|10.35|TD| Toronto-Dominion Bank| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|9.ASSET|Equity|1124.9|10.24|BHP| BHP Group Ltd| 0.91%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|10.ASSET|Equity|1124.9|9.22|HSBA| HSBC Holdings Plc| 0.82%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|11.ASSET|Equity|1124.9|9.11|GSK| GlaxoSmithKline plc| 0.81%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|12.ASSET|Equity|1124.9|8.89|7203| Toyota Motor Corp.| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|13.ASSET|Equity|1124.9|8.44|SAN| Sanofi| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|14.ASSET|Equity|1124.9|8.32|NOVN| Novartis AG| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||PXF|6|15.ASSET|Equity|1124.9|8.32|BNS| Bank of Nova Scotia| 0.74%| North America|Equity|Large Cap Growth Equities||SPYX|6|1.ASSET|Equity|1335.3|96.01|AAPL| Apple Inc.| 7.19%| North America|Equity|Large Cap Growth Equities||SPYX|6|2.ASSET|Equity|1335.3|83.59|MSFT| Microsoft Corporation| 6.26%| North America|Equity|Large Cap Growth Equities||SPYX|6|3.ASSET|Equity|1335.3|49.81|AMZN| Amazon.com, Inc.| 3.73%| North America|Equity|Large Cap Growth Equities||SPYX|6|4.ASSET|Equity|1335.3|30.44|GOOGL| Alphabet Inc. Class A| 2.28%| North America|Equity|Large Cap Growth Equities||SPYX|6|5.ASSET|Equity|1335.3|28.31|GOOG| Alphabet Inc. Class C| 2.12%| North America|Equity|Large Cap Growth Equities||SPYX|6|6.ASSET|Equity|1335.3|26.57|TSLA| Tesla Inc| 1.99%| North America|Equity|Large Cap Growth Equities||SPYX|6|7.ASSET|Equity|1335.3|22.17|NVDA| NVIDIA Corporation| 1.66%| North America|Equity|Large Cap Growth Equities||SPYX|6|8.ASSET|Equity|1335.3|21.9|BRK.B| Berkshire Hathaway Inc. Class B| 1.64%| North America|Equity|Large Cap Growth Equities||SPYX|6|9.ASSET|Equity|1335.3|18.16|FB| Meta Platforms Inc. Class A| 1.36%| North America|Equity|Large Cap Growth Equities||SPYX|6|10.ASSET|Equity|1335.3|16.96|UNH| UnitedHealth Group Incorporated| 1.27%| North America|Equity|Large Cap Growth Equities||SPYX|6|11.ASSET|Equity|1335.3|16.29|JNJ| Johnson & Johnson| 1.22%| North America|Equity|Large Cap Growth Equities||SPYX|6|12.ASSET|Equity|1335.3|15.22|JPM| JPMorgan Chase & Co.| 1.14%| North America|Equity|Large Cap Growth Equities||SPYX|6|13.ASSET|Equity|1335.3|14.02|PG| Procter & Gamble Company| 1.05%| North America|Equity|Large Cap Growth Equities||SPYX|6|14.ASSET|Equity|1335.3|13.22|V| Visa Inc. Class A| 0.99%| North America|Equity|Large Cap Growth Equities||SPYX|6|15.ASSET|Equity|1335.3|12.69|HD| Home Depot, Inc.| 0.95%| North America|Equity|Industrials Equities|Industrials|XAR|6|1.ASSET|Equity|1455.2|76.69|MRCY| Mercury Systems, Inc.| 5.27%| North America|Equity|Industrials Equities|Industrials|XAR|6|2.ASSET|Equity|1455.2|72.03|LMT| Lockheed Martin Corporation| 4.95%| North America|Equity|Industrials Equities|Industrials|XAR|6|3.ASSET|Equity|1455.2|67.38|NOC| Northrop Grumman Corporation| 4.63%| North America|Equity|Industrials Equities|Industrials|XAR|6|4.ASSET|Equity|1455.2|65.92|MAXR| Maxar Technologies, Inc.| 4.53%| North America|Equity|Industrials Equities|Industrials|XAR|6|5.ASSET|Equity|1455.2|64.47|RTX| Raytheon Technologies Corporation| 4.43%| North America|Equity|Industrials Equities|Industrials|XAR|6|6.ASSET|Equity|1455.2|64.47|LHX| L3Harris Technologies Inc| 4.43%| North America|Equity|Industrials Equities|Industrials|XAR|6|7.ASSET|Equity|1455.2|63.88|SPR| Spirit AeroSystems Holdings, Inc. Class A| 4.39%| North America|Equity|Industrials Equities|Industrials|XAR|6|8.ASSET|Equity|1455.2|63.45|GD| General Dynamics Corporation| 4.36%| North America|Equity|Industrials Equities|Industrials|XAR|6|9.ASSET|Equity|1455.2|63.3|CW| Curtiss-Wright Corporation| 4.35%| North America|Equity|Industrials Equities|Industrials|XAR|6|10.ASSET|Equity|1455.2|62.86|HWM| Howmet Aerospace Inc.| 4.32%| North America|Equity|Industrials Equities|Industrials|XAR|6|11.ASSET|Equity|1455.2|61.85|HII| Huntington Ingalls Industries, Inc.| 4.25%| North America|Equity|Industrials Equities|Industrials|XAR|6|12.ASSET|Equity|1455.2|61.55|TDG| TransDigm Group Incorporated| 4.23%| North America|Equity|Industrials Equities|Industrials|XAR|6|13.ASSET|Equity|1455.2|61.12|BWXT| BWX Technologies, Inc.| 4.20%| North America|Equity|Industrials Equities|Industrials|XAR|6|14.ASSET|Equity|1455.2|60.83|HXL| Hexcel Corporation| 4.18%| North America|Equity|Industrials Equities|Industrials|XAR|6|15.ASSET|Equity|1455.2|57.63|HEI| HEICO Corporation| 3.96%| |Commodity|Leveraged Commodities||UCO|6|1.ASSET|Commodity|1406.7|1406.7|N/A| Sweet Light Crude Oil (WTI)| 100.00%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|1.ASSET|Equity|866.9|68.31|AXP| American Express Company| 7.88%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|2.ASSET|Equity|866.9|63.8|MA| Mastercard Incorporated Class A| 7.36%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|3.ASSET|Equity|866.9|62.5|V| Visa Inc. Class A| 7.21%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|4.ASSET|Equity|866.9|53.66|SQ| Block Inc Class A| 6.19%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|5.ASSET|Equity|866.9|47.68|FISV| Fiserv, Inc.| 5.50%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|6.ASSET|Equity|866.9|44.39|VALT| ETFMG Sit Ultra Short ETF| 5.12%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|7.ASSET|Equity|866.9|42.65|FIS| Fidelity National Information Services, Inc.| 4.92%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|8.ASSET|Equity|866.9|42.22|ADYEN| Adyen NV| 4.87%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|9.ASSET|Equity|866.9|33.98|GPN| Global Payments Inc.| 3.92%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|10.ASSET|Equity|866.9|33.98|PYPL| PayPal Holdings, Inc.| 3.92%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|11.ASSET|Equity|866.9|30.25|DFS| Discover Financial Services| 3.49%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|12.ASSET|Equity|866.9|22.45|FLT| FLEETCOR Technologies, Inc.| 2.59%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|13.ASSET|Equity|866.9|19.77|JKHY| Jack Henry & Associates, Inc.| 2.28%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|14.ASSET|Equity|866.9|18.2|EWY| iShares MSCI South Korea ETF| 2.10%| Developed Markets|Equity|Technology Equities|Technology|IPAY|6|15.ASSET|Equity|866.9|17.42|WEX| WEX Inc.| 2.01%| North America|Equity|Large Cap Blend Equities||LRGF|6|1.ASSET|Equity|1207.6|53.98|AAPL| Apple Inc.| 4.47%| North America|Equity|Large Cap Blend Equities||LRGF|6|2.ASSET|Equity|1207.6|40.58|MSFT| Microsoft Corporation| 3.36%| North America|Equity|Large Cap Blend Equities||LRGF|6|3.ASSET|Equity|1207.6|33.09|CSCO| Cisco Systems, Inc.| 2.74%| North America|Equity|Large Cap Blend Equities||LRGF|6|4.ASSET|Equity|1207.6|30.67|MU| Micron Technology, Inc.| 2.54%| North America|Equity|Large Cap Blend Equities||LRGF|6|5.ASSET|Equity|1207.6|30.43|INTC| Intel Corporation| 2.52%| North America|Equity|Large Cap Blend Equities||LRGF|6|6.ASSET|Equity|1207.6|28.02|ANTM| Anthem, Inc.| 2.32%| North America|Equity|Large Cap Blend Equities||LRGF|6|7.ASSET|Equity|1207.6|25.48|TGT| Target Corporation| 2.11%| North America|Equity|Large Cap Blend Equities||LRGF|6|8.ASSET|Equity|1207.6|24.64|GOOG| Alphabet Inc. Class C| 2.04%| North America|Equity|Large Cap Blend Equities||LRGF|6|9.ASSET|Equity|1207.6|24.51|ORCL| Oracle Corporation| 2.03%| North America|Equity|Large Cap Blend Equities||LRGF|6|10.ASSET|Equity|1207.6|22.46|GILD| Gilead Sciences, Inc.| 1.86%| North America|Equity|Large Cap Blend Equities||LRGF|6|11.ASSET|Equity|1207.6|19.93|AMZN| Amazon.com, Inc.| 1.65%| North America|Equity|Large Cap Blend Equities||LRGF|6|12.ASSET|Equity|1207.6|19.93|EOG| EOG Resources, Inc.| 1.65%| North America|Equity|Large Cap Blend Equities||LRGF|6|13.ASSET|Equity|1207.6|17.63|GM| General Motors Company| 1.46%| North America|Equity|Large Cap Blend Equities||LRGF|6|14.ASSET|Equity|1207.6|16.79|PSA| Public Storage| 1.39%| North America|Equity|Large Cap Blend Equities||LRGF|6|15.ASSET|Equity|1207.6|16.42|PXD| Pioneer Natural Resources Company| 1.36%| North America|Equity|Large Cap Growth Equities||QQQJ|6|1.ASSET|Equity|1001.1|24.23|TTD| Trade Desk, Inc. Class A| 2.42%| North America|Equity|Large Cap Growth Equities||QQQJ|6|2.ASSET|Equity|1001.1|18.62|EXPE| Expedia Group, Inc.| 1.86%| North America|Equity|Large Cap Growth Equities||QQQJ|6|3.ASSET|Equity|1001.1|18.62|CERN| Cerner Corporation| 1.86%| North America|Equity|Large Cap Growth Equities||QQQJ|6|4.ASSET|Equity|1001.1|17.42|ON| ON Semiconductor Corporation| 1.74%| North America|Equity|Large Cap Growth Equities||QQQJ|6|5.ASSET|Equity|1001.1|17.12|MDB| MongoDB, Inc. Class A| 1.71%| North America|Equity|Large Cap Growth Equities||QQQJ|6|6.ASSET|Equity|1001.1|16.82|FANG| Diamondback Energy, Inc.| 1.68%| North America|Equity|Large Cap Growth Equities||QQQJ|6|7.ASSET|Equity|1001.1|16.02|CSGP| CoStar Group, Inc.| 1.60%| North America|Equity|Large Cap Growth Equities||QQQJ|6|8.ASSET|Equity|1001.1|15.82|TSCO| Tractor Supply Company| 1.58%| North America|Equity|Large Cap Growth Equities||QQQJ|6|9.ASSET|Equity|1001.1|15.62|CDW| CDW Corp.| 1.56%| North America|Equity|Large Cap Growth Equities||QQQJ|6|10.ASSET|Equity|1001.1|15.62|ENPH| Enphase Energy, Inc.| 1.56%| North America|Equity|Large Cap Growth Equities||QQQJ|6|11.ASSET|Equity|1001.1|15.22|STX| Seagate Technology Holdings PLC| 1.52%| North America|Equity|Large Cap Growth Equities||QQQJ|6|12.ASSET|Equity|1001.1|15.22|ZI| ZoomInfo Technologies Inc| 1.52%| North America|Equity|Large Cap Growth Equities||QQQJ|6|13.ASSET|Equity|1001.1|15.02|CCEP| Coca-Cola Europacific Partners plc| 1.50%| North America|Equity|Large Cap Growth Equities||QQQJ|6|14.ASSET|Equity|1001.1|14.92|HZNP| Horizon Therapeutics Public Limited Company| 1.49%| North America|Equity|Large Cap Growth Equities||QQQJ|6|15.ASSET|Equity|1001.1|14.72|ZBRA| Zebra Technologies Corporation Class A| 1.47%| North America|Bond|Government Bonds|Treasuries|EDV|6|1.ASSET|Bond|1348.8|32.51|N/A| TREASURY ISSUES (LONG-TERM)| 2.41%| North America|Bond|Government Bonds|Treasuries|EDV|6|2.ASSET|Bond|1348.8|29.13|N/A| Government of the United States of America 0.0% 15-AUG-2051| 2.16%| North America|Bond|Government Bonds|Treasuries|EDV|6|3.ASSET|Bond|1348.8|27.25|N/A| Government of the United States of America 0.0% 15-MAY-2043| 2.02%| North America|Bond|Government Bonds|Treasuries|EDV|6|4.ASSET|Bond|1348.8|26.03|N/A| Government of the United States of America 0.0% 15-MAY-2051| 1.93%| North America|Bond|Government Bonds|Treasuries|EDV|6|5.ASSET|Bond|1348.8|25.09|N/A| Government of the United States of America 0.0% 15-AUG-2042| 1.86%| North America|Bond|Government Bonds|Treasuries|EDV|6|6.ASSET|Bond|1348.8|23.33|N/A| Government of the United States of America 0.0% 15-NOV-2051| 1.73%| North America|Bond|Government Bonds|Treasuries|EDV|6|7.ASSET|Bond|1348.8|22.39|N/A| Government of the United States of America 0.0% 15-AUG-2050| 1.66%| North America|Bond|Government Bonds|Treasuries|EDV|6|8.ASSET|Bond|1348.8|21.85|N/A| United States Treasury Trust 0.0% 15-FEB-2051| 1.62%| North America|Bond|Government Bonds|Treasuries|EDV|6|9.ASSET|Bond|1348.8|21.72|N/A| Government of the United States of America 0.0% 15-FEB-2044| 1.61%| North America|Bond|Government Bonds|Treasuries|EDV|6|10.ASSET|Bond|1348.8|20.77|N/A| Government of the United States of America 0.0% 15-MAY-2050| 1.54%| North America|Bond|Government Bonds|Treasuries|EDV|6|11.ASSET|Bond|1348.8|19.69|N/A| Government of the United States of America 0.0% 15-FEB-2043| 1.46%| North America|Bond|Government Bonds|Treasuries|EDV|6|12.ASSET|Bond|1348.8|19.56|N/A| Government of the United States of America 0.0% 15-AUG-2043| 1.45%| North America|Bond|Government Bonds|Treasuries|EDV|6|13.ASSET|Bond|1348.8|19.29|N/A| Government of the United States of America 0.0% 15-NOV-2042| 1.43%| North America|Bond|Government Bonds|Treasuries|EDV|6|14.ASSET|Bond|1348.8|19.15|N/A| Government of the United States of America 0.0% 15-AUG-2044| 1.42%| North America|Bond|Government Bonds|Treasuries|EDV|6|15.ASSET|Bond|1348.8|18.88|N/A| Government of the United States of America 0.0% 15-NOV-2043| 1.40%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|1.ASSET|Equity|1276|292.97|UNH| UnitedHealth Group Incorporated| 22.96%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|2.ASSET|Equity|1276|190.89|CVS| CVS Health Corporation| 14.96%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|3.ASSET|Equity|1276|124.03|ANTM| Anthem, Inc.| 9.72%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|4.ASSET|Equity|1276|65.71|CI| Cigna Corporation| 5.15%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|5.ASSET|Equity|1276|64.95|CNC| Centene Corporation| 5.09%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|6.ASSET|Equity|1276|60.48|HCA| HCA Healthcare Inc| 4.74%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|7.ASSET|Equity|1276|56.53|HUM| Humana Inc.| 4.43%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|8.ASSET|Equity|1276|48.62|LH| Laboratory Corporation of America Holdings| 3.81%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|9.ASSET|Equity|1276|34.45|MOH| Molina Healthcare, Inc.| 2.70%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|10.ASSET|Equity|1276|30.62|DGX| Quest Diagnostics Incorporated| 2.40%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|11.ASSET|Equity|1276|22.46|TDOC| Teladoc Health, Inc.| 1.76%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|12.ASSET|Equity|1276|20.03|UHS| Universal Health Services, Inc. Class B| 1.57%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|13.ASSET|Equity|1276|17.86|THC| Tenet Healthcare Corporation| 1.40%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|14.ASSET|Equity|1276|14.04|CHE| Chemed Corporation| 1.10%| North America|Equity|Health & Biotech Equities|Healthcare|IHF|6|15.ASSET|Equity|1276|13.65|DVA| DaVita Inc.| 1.07%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|1.ASSET|Bond|1085.9|67.22|N/A| UMBS TBA 10yr 11.5% December Delivery 2.000% 01-NOV-2051| 6.19%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|2.ASSET|Bond|1085.9|43.11|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 3.97%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|3.ASSET|Bond|1085.9|20.41|N/A| United States Treasury Notes 1.875% 15-FEB-2032| 1.88%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|4.ASSET|Bond|1085.9|17.59|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 1.62%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|5.ASSET|Bond|1085.9|17.37|N/A| United States Treasury Bills 0.0% 21-APR-2022| 1.60%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|6.ASSET|Bond|1085.9|17.37|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 1.60%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|7.ASSET|Bond|1085.9|16.29|N/A| United States Treasury Bond 2.25% 15-FEB-2052| 1.50%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|8.ASSET|Bond|1085.9|16.07|N/A| United States Treasury Bond 1.875% 15-FEB-2041| 1.48%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|9.ASSET|Bond|1085.9|15.75|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 1.45%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|10.ASSET|Bond|1085.9|13.36|DIRXX| Dreyfus Treasury Securities Cash Management Institutional| 1.23%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|11.ASSET|Bond|1085.9|13.03|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 1.20%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|12.ASSET|Bond|1085.9|13.03|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 1.20%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|13.ASSET|Bond|1085.9|13.03|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 1.20%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|14.ASSET|Bond|1085.9|13.03|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 1.20%| North America|Bond|Total Bond Market|Total Bond Market|DIAL|6|15.ASSET|Bond|1085.9|12.92|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 1.19%| North America|Equity|Large Cap Blend Equities||IWX|6|1.ASSET|Equity|1227.6|54.63|BRK.B| Berkshire Hathaway Inc. Class B| 4.45%| North America|Equity|Large Cap Blend Equities||IWX|6|2.ASSET|Equity|1227.6|40.27|JNJ| Johnson & Johnson| 3.28%| North America|Equity|Large Cap Blend Equities||IWX|6|3.ASSET|Equity|1227.6|39.16|UNH| UnitedHealth Group Incorporated| 3.19%| North America|Equity|Large Cap Blend Equities||IWX|6|4.ASSET|Equity|1227.6|37.56|JPM| JPMorgan Chase & Co.| 3.06%| North America|Equity|Large Cap Blend Equities||IWX|6|5.ASSET|Equity|1227.6|34|PG| Procter & Gamble Company| 2.77%| North America|Equity|Large Cap Blend Equities||IWX|6|6.ASSET|Equity|1227.6|31.43|XOM| Exxon Mobil Corporation| 2.56%| North America|Equity|Large Cap Blend Equities||IWX|6|7.ASSET|Equity|1227.6|28.6|BAC| Bank of America Corp| 2.33%| North America|Equity|Large Cap Blend Equities||IWX|6|8.ASSET|Equity|1227.6|27.38|CVX| Chevron Corporation| 2.23%| North America|Equity|Large Cap Blend Equities||IWX|6|9.ASSET|Equity|1227.6|24.55|PFE| Pfizer Inc.| 2.00%| North America|Equity|Large Cap Blend Equities||IWX|6|10.ASSET|Equity|1227.6|23.32|DIS| Walt Disney Company| 1.90%| North America|Equity|Large Cap Blend Equities||IWX|6|11.ASSET|Equity|1227.6|21.85|CSCO| Cisco Systems, Inc.| 1.78%| North America|Equity|Large Cap Blend Equities||IWX|6|12.ASSET|Equity|1227.6|20.62|VZ| Verizon Communications Inc.| 1.68%| North America|Equity|Large Cap Blend Equities||IWX|6|13.ASSET|Equity|1227.6|19.52|CMCSA| Comcast Corporation Class A| 1.59%| North America|Equity|Large Cap Blend Equities||IWX|6|14.ASSET|Equity|1227.6|19.27|WFC| Wells Fargo & Company| 1.57%| North America|Equity|Large Cap Blend Equities||IWX|6|15.ASSET|Equity|1227.6|18.29|TMO| Thermo Fisher Scientific Inc.| 1.49%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|1.ASSET|Bond|1181|752.18|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 63.69%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|2.ASSET|Bond|1181|236.32|N/A| United States Treasury Notes 1.0% 15-DEC-2024| 20.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|3.ASSET|Bond|1181|86.09|N/A| United States Treasury Notes 0.125% 31-DEC-2022| 7.29%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|4.ASSET|Bond|1181|75.47|N/A| United States Treasury Notes 0.75% 15-NOV-2024| 6.39%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|5.ASSET|Bond|1181|15.94|N/A| Boeing Company 4.508% 01-MAY-2023| 1.35%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|6.ASSET|Bond|1181|14.76|N/A| Federal Home Loan Bank System 0.92% 26-FEB-2027| 1.25%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|7.ASSET|Bond|1181|14.29|N/A| Freddie Mac Multiclass Certificates, Series 5115 Groups 1-23,25 EM 1.0% 15-SEP-2044| 1.21%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|8.ASSET|Bond|1181|12.99|N/A| Federal Home Loan Bank System 1.02% 24-FEB-2027| 1.10%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|9.ASSET|Bond|1181|9.8|N/A| FIXED INCOME (UNCLASSFIED)| 0.83%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|10.ASSET|Bond|1181|9.8|N/A| MGM Resorts International 7.75% 15-MAR-2022| 0.83%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|11.ASSET|Bond|1181|9.8|N/A| Thermo Fisher Scientific Inc. 1.215% 18-OCT-2024| 0.83%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|12.ASSET|Bond|1181|9.68|N/A| Federal Home Loan Bank System 1.05% 13-AUG-2026| 0.82%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|13.ASSET|Bond|1181|9.68|N/A| Federal Home Loan Bank System 1.1% 20-AUG-2026| 0.82%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|14.ASSET|Bond|1181|9.45|N/A| B.A.T. Capital Corp. 3.222% 15-AUG-2024| 0.80%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LDUR|6|15.ASSET|Bond|1181|9.33|N/A| HSBC Holdings Plc FRN 11-MAR-2025| 0.79%| North America|Equity|Large Cap Value Equities||SDOG|6|1.ASSET|Equity|1242.4|31.06|LMT| Lockheed Martin Corporation| 2.50%| North America|Equity|Large Cap Value Equities||SDOG|6|2.ASSET|Equity|1242.4|30.44|XOM| Exxon Mobil Corporation| 2.45%| North America|Equity|Large Cap Value Equities||SDOG|6|3.ASSET|Equity|1242.4|29.69|NEM| Newmont Corporation| 2.39%| North America|Equity|Large Cap Value Equities||SDOG|6|4.ASSET|Equity|1242.4|29.2|WMB| Williams Companies, Inc.| 2.35%| North America|Equity|Large Cap Value Equities||SDOG|6|5.ASSET|Equity|1242.4|29.07|BMY| Bristol-Myers Squibb Company| 2.34%| North America|Equity|Large Cap Value Equities||SDOG|6|6.ASSET|Equity|1242.4|28.33|ABBV| AbbVie, Inc.| 2.28%| North America|Equity|Large Cap Value Equities||SDOG|6|7.ASSET|Equity|1242.4|28.08|OMC| Omnicom Group Inc| 2.26%| North America|Equity|Large Cap Value Equities||SDOG|6|8.ASSET|Equity|1242.4|28.08|VLO| Valero Energy Corporation| 2.26%| North America|Equity|Large Cap Value Equities||SDOG|6|9.ASSET|Equity|1242.4|27.95|MO| Altria Group Inc| 2.25%| North America|Equity|Large Cap Value Equities||SDOG|6|10.ASSET|Equity|1242.4|27.71|PBCT| People\'s United Financial, Inc.| 2.23%| North America|Equity|Large Cap Value Equities||SDOG|6|11.ASSET|Equity|1242.4|27.21|KHC| Kraft Heinz Company| 2.19%| North America|Equity|Large Cap Value Equities||SDOG|6|12.ASSET|Equity|1242.4|27.08|PM| Philip Morris International Inc.| 2.18%| North America|Equity|Large Cap Value Equities||SDOG|6|13.ASSET|Equity|1242.4|26.59|KMI| Kinder Morgan Inc Class P| 2.14%| North America|Equity|Large Cap Value Equities||SDOG|6|14.ASSET|Equity|1242.4|26.59|HII| Huntington Ingalls Industries, Inc.| 2.14%| North America|Equity|Large Cap Value Equities||SDOG|6|15.ASSET|Equity|1242.4|26.59|HPE| Hewlett Packard Enterprise Co.| 2.14%| North America|Equity|Large Cap Blend Equities||FEX|6|1.ASSET|Equity|1169.3|7.48|COP| ConocoPhillips| 0.64%| North America|Equity|Large Cap Blend Equities||FEX|6|2.ASSET|Equity|1169.3|7.25|EOG| EOG Resources, Inc.| 0.62%| North America|Equity|Large Cap Blend Equities||FEX|6|3.ASSET|Equity|1169.3|7.25|CVX| Chevron Corporation| 0.62%| North America|Equity|Large Cap Blend Equities||FEX|6|4.ASSET|Equity|1169.3|7.25|LNG| Cheniere Energy, Inc.| 0.62%| North America|Equity|Large Cap Blend Equities||FEX|6|5.ASSET|Equity|1169.3|6.67|NUE| Nucor Corporation| 0.57%| North America|Equity|Large Cap Blend Equities||FEX|6|6.ASSET|Equity|1169.3|6.55|ADM| Archer-Daniels-Midland Company| 0.56%| North America|Equity|Large Cap Blend Equities||FEX|6|7.ASSET|Equity|1169.3|6.43|PARA| Paramount Global Class B| 0.55%| North America|Equity|Large Cap Blend Equities||FEX|6|8.ASSET|Equity|1169.3|6.43|FOXA| Fox Corporation Class A| 0.55%| North America|Equity|Large Cap Blend Equities||FEX|6|9.ASSET|Equity|1169.3|6.31|FCX| Freeport-McMoRan, Inc.| 0.54%| North America|Equity|Large Cap Blend Equities||FEX|6|10.ASSET|Equity|1169.3|6.08|TRV| Travelers Companies, Inc.| 0.52%| North America|Equity|Large Cap Blend Equities||FEX|6|11.ASSET|Equity|1169.3|5.96|TSN| Tyson Foods, Inc. Class A| 0.51%| North America|Equity|Large Cap Blend Equities||FEX|6|12.ASSET|Equity|1169.3|5.96|BRK.B| Berkshire Hathaway Inc. Class B| 0.51%| North America|Equity|Large Cap Blend Equities||FEX|6|13.ASSET|Equity|1169.3|5.96|HPE| Hewlett Packard Enterprise Co.| 0.51%| North America|Equity|Large Cap Blend Equities||FEX|6|14.ASSET|Equity|1169.3|5.96|CINF| Cincinnati Financial Corporation| 0.51%| North America|Equity|Large Cap Blend Equities||FEX|6|15.ASSET|Equity|1169.3|5.85|DVN| Devon Energy Corporation| 0.50%| North America|Equity|Volatility Hedged Equity||XSLV|6|1.ASSET|Equity|1049.4|13.64|DEA| Easterly Government Properties Inc| 1.30%| North America|Equity|Volatility Hedged Equity||XSLV|6|2.ASSET|Equity|1049.4|12.38|TTMI| TTM Technologies, Inc.| 1.18%| North America|Equity|Volatility Hedged Equity||XSLV|6|3.ASSET|Equity|1049.4|12.17|ADC| Agree Realty Corporation| 1.16%| North America|Equity|Volatility Hedged Equity||XSLV|6|4.ASSET|Equity|1049.4|11.75|CSGS| CSG Systems International, Inc.| 1.12%| North America|Equity|Volatility Hedged Equity||XSLV|6|5.ASSET|Equity|1049.4|11.65|JJSF| J & J Snack Foods Corp.| 1.11%| North America|Equity|Volatility Hedged Equity||XSLV|6|6.ASSET|Equity|1049.4|11.44|AWR| American States Water Company| 1.09%| North America|Equity|Volatility Hedged Equity||XSLV|6|7.ASSET|Equity|1049.4|11.33|KN| Knowles Corp.| 1.08%| North America|Equity|Volatility Hedged Equity||XSLV|6|8.ASSET|Equity|1049.4|11.23|LXP| LXP Industrial Trust| 1.07%| North America|Equity|Volatility Hedged Equity||XSLV|6|9.ASSET|Equity|1049.4|10.91|OSIS| OSI Systems, Inc.| 1.04%| North America|Equity|Volatility Hedged Equity||XSLV|6|10.ASSET|Equity|1049.4|10.81|GTY| Getty Realty Corp.| 1.03%| North America|Equity|Volatility Hedged Equity||XSLV|6|11.ASSET|Equity|1049.4|10.7|KREF| KKR Real Estate Finance Trust Inc.| 1.02%| North America|Equity|Volatility Hedged Equity||XSLV|6|12.ASSET|Equity|1049.4|10.7|EFC| Ellington Financial Inc.| 1.02%| North America|Equity|Volatility Hedged Equity||XSLV|6|13.ASSET|Equity|1049.4|10.6|TWNK| Hostess Brands, Inc. Class A| 1.01%| North America|Equity|Volatility Hedged Equity||XSLV|6|14.ASSET|Equity|1049.4|10.49|UVV| Universal Corp| 1.00%| North America|Equity|Volatility Hedged Equity||XSLV|6|15.ASSET|Equity|1049.4|10.49|JBSS| John B. Sanfilippo & Son, Inc.| 1.00%| North America|Equity|Small Cap Growth Equities||ESML|6|1.ASSET|Equity|1538.9|7.39|CMA| Comerica Incorporated| 0.48%| North America|Equity|Small Cap Growth Equities||ESML|6|2.ASSET|Equity|1538.9|6.77|PWR| Quanta Services, Inc.| 0.44%| North America|Equity|Small Cap Growth Equities||ESML|6|3.ASSET|Equity|1538.9|6.62|MRO| Marathon Oil Corporation| 0.43%| North America|Equity|Small Cap Growth Equities||ESML|6|4.ASSET|Equity|1538.9|5.69|LPLA| LPL Financial Holdings Inc.| 0.37%| North America|Equity|Small Cap Growth Equities||ESML|6|5.ASSET|Equity|1538.9|5.39|AA| Alcoa Corporation| 0.35%| North America|Equity|Small Cap Growth Equities||ESML|6|6.ASSET|Equity|1538.9|5.39|BLDR| Builders FirstSource, Inc.| 0.35%| North America|Equity|Small Cap Growth Equities||ESML|6|7.ASSET|Equity|1538.9|5.23|INGR| Ingredion Incorporated| 0.34%| North America|Equity|Small Cap Growth Equities||ESML|6|8.ASSET|Equity|1538.9|5.23|RS| Reliance Steel & Aluminum Co.| 0.34%| North America|Equity|Small Cap Growth Equities||ESML|6|9.ASSET|Equity|1538.9|5.23|OVV| Ovintiv Inc| 0.34%| North America|Equity|Small Cap Growth Equities||ESML|6|10.ASSET|Equity|1538.9|5.08|APA| APA Corp.| 0.33%| North America|Equity|Small Cap Growth Equities||ESML|6|11.ASSET|Equity|1538.9|5.08|TTC| Toro Company| 0.33%| North America|Equity|Small Cap Growth Equities||ESML|6|12.ASSET|Equity|1538.9|4.92|JLL| Jones Lang LaSalle Incorporated| 0.32%| North America|Equity|Small Cap Growth Equities||ESML|6|13.ASSET|Equity|1538.9|4.77|SNV| Synovus Financial Corp.| 0.31%| North America|Equity|Small Cap Growth Equities||ESML|6|14.ASSET|Equity|1538.9|4.77|WOLF| Wolfspeed Inc| 0.31%| North America|Equity|Small Cap Growth Equities||ESML|6|15.ASSET|Equity|1538.9|4.77|DAR| Darling Ingredients Inc.| 0.31%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|1.ASSET|Bond|1112.4|30.03|N/A| TREASURY ISSUES (LONG-TERM)| 2.70%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|2.ASSET|Bond|1112.4|16.24|N/A| Denmark 4.5% 15-NOV-2039| 1.46%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|3.ASSET|Bond|1112.4|7.9|N/A| Denmark 0.5% 15-NOV-2029| 0.71%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|4.ASSET|Bond|1112.4|7.68|N/A| Sweden 1.5% 13-NOV-2023| 0.69%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|5.ASSET|Bond|1112.4|6.34|N/A| Sweden 2.5% 12-MAY-2025| 0.57%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|6.ASSET|Bond|1112.4|6.34|N/A| Sweden 1.0% 12-NOV-2026| 0.57%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|7.ASSET|Bond|1112.4|6.23|N/A| Denmark 0.5% 15-NOV-2027| 0.56%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|8.ASSET|Bond|1112.4|5.9|N/A| Norway 2.0% 24-MAY-2023| 0.53%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|9.ASSET|Bond|1112.4|5.67|N/A| Norway 3.0% 14-MAR-2024| 0.51%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|10.ASSET|Bond|1112.4|5.34|N/A| Government of Israel 3.75% 31-MAR-2047| 0.48%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|11.ASSET|Bond|1112.4|5.12|N/A| Norway 1.5% 19-FEB-2026| 0.46%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|12.ASSET|Bond|1112.4|5.01|N/A| Sweden 0.75% 12-NOV-2029| 0.45%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|13.ASSET|Bond|1112.4|5.01|N/A| Denmark 1.75% 15-NOV-2025| 0.45%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|14.ASSET|Bond|1112.4|4.89|N/A| Government of Israel 5.5% 31-JAN-2042| 0.44%| Developed Markets|Bond|International Government Bonds|International Treasury|IGOV|6|15.ASSET|Bond|1112.4|4.89|N/A| Sweden 0.75% 12-MAY-2028| 0.44%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|1.ASSET|Equity|627.2|66.67|2222| Saudi Arabian Oil Company (Saudi Aramco)| 10.63%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|2.ASSET|Equity|627.2|50.87|ADYEN| Adyen NV| 8.11%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|3.ASSET|Equity|627.2|41.83|3968| China Merchants Bank Co., Ltd. Class H| 6.67%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|4.ASSET|Equity|627.2|39.51|9434| SoftBank Corp.| 6.30%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|5.ASSET|Equity|627.2|34.31|SHL| Siemens Healthineers AG| 5.47%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|6.ASSET|Equity|627.2|23.65|DSY| Dassault Systemes SA| 3.77%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|7.ASSET|Equity|627.2|18.25|MQG| Macquarie Group Limited| 2.91%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|8.ASSET|Equity|627.2|17.06|PRX| Prosus N.V. Class N| 2.72%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|9.ASSET|Equity|627.2|15.12|CPRI| Capri Holdings Limited| 2.41%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|10.ASSET|Equity|627.2|14.11|6098| Country Garden Services Holdings Co. Ltd.| 2.25%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|11.ASSET|Equity|627.2|13.42|4385| Mercari, Inc.| 2.14%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|12.ASSET|Equity|627.2|13.11|RI| Pernod Ricard SA| 2.09%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|13.ASSET|Equity|627.2|11.79|SAVE| Nordnet AB| 1.88%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|14.ASSET|Equity|627.2|11.79|EQT| EQT AB| 1.88%| Broad Asia|Equity|Foreign Large Cap Equities||FPXI|6|15.ASSET|Equity|627.2|11.73|9633| Nongfu Spring Co., Ltd. Class H| 1.87%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|1.ASSET|Bond|1399.7|174.54|N/A| Government of the United States of America 0.125% 15-APR-2026| 12.47%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|2.ASSET|Bond|1399.7|161.39|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 11.53%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|3.ASSET|Bond|1399.7|138.01|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 9.86%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|4.ASSET|Bond|1399.7|122.75|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 8.77%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|5.ASSET|Bond|1399.7|120.23|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 8.59%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|6.ASSET|Bond|1399.7|101.2|N/A| Government of the United States of America 0.125% 15-APR-2025| 7.23%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|7.ASSET|Bond|1399.7|99.94|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 7.14%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|8.ASSET|Bond|1399.7|97|N/A| United States Treasury Notes 0.5% 15-APR-2024| 6.93%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|9.ASSET|Bond|1399.7|90.56|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 6.47%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|10.ASSET|Bond|1399.7|86.78|N/A| United States Treasury Bond 2.375% 15-JAN-2025| 6.20%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|11.ASSET|Bond|1399.7|47.59|N/A| Government of the United States of America 0.125% 15-OCT-2024| 3.40%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|12.ASSET|Bond|1399.7|42.69|N/A| United States Treasury Notes 0.375% 15-JUL-2027| 3.05%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|13.ASSET|Bond|1399.7|42.55|N/A| United States Treasury Notes 0.5% 15-JAN-2028| 3.04%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|14.ASSET|Bond|1399.7|17.64|N/A| Government of the United States of America 0.125% 15-OCT-2025| 1.26%| North America|Bond|Inflation-Protected Bonds|TIPS|STPZ|6|15.ASSET|Bond|1399.7|17.22|N/A| United States Treasury Notes 0.625% 15-APR-2023| 1.23%| North America|Equity|Large Cap Blend Equities||NULV|6|1.ASSET|Equity|1359.3|42|PG| Procter & Gamble Company| 3.09%| North America|Equity|Large Cap Blend Equities||NULV|6|2.ASSET|Equity|1359.3|33.71|KO| Coca-Cola Company| 2.48%| North America|Equity|Large Cap Blend Equities||NULV|6|3.ASSET|Equity|1359.3|33.17|PEP| PepsiCo, Inc.| 2.44%| North America|Equity|Large Cap Blend Equities||NULV|6|4.ASSET|Equity|1359.3|32.08|HD| Home Depot, Inc.| 2.36%| North America|Equity|Large Cap Blend Equities||NULV|6|5.ASSET|Equity|1359.3|29.5|MS| Morgan Stanley| 2.17%| North America|Equity|Large Cap Blend Equities||NULV|6|6.ASSET|Equity|1359.3|28.95|T| AT&T Inc.| 2.13%| North America|Equity|Large Cap Blend Equities||NULV|6|7.ASSET|Equity|1359.3|28.82|VZ| Verizon Communications Inc.| 2.12%| North America|Equity|Large Cap Blend Equities||NULV|6|8.ASSET|Equity|1359.3|28.68|INTC| Intel Corporation| 2.11%| North America|Equity|Large Cap Blend Equities||NULV|6|9.ASSET|Equity|1359.3|28.27|BMY| Bristol-Myers Squibb Company| 2.08%| North America|Equity|Large Cap Blend Equities||NULV|6|10.ASSET|Equity|1359.3|26.91|TXN| Texas Instruments Incorporated| 1.98%| North America|Equity|Large Cap Blend Equities||NULV|6|11.ASSET|Equity|1359.3|25.96|C| Citigroup Inc.| 1.91%| North America|Equity|Large Cap Blend Equities||NULV|6|12.ASSET|Equity|1359.3|25.83|BLK| BlackRock, Inc.| 1.90%| North America|Equity|Large Cap Blend Equities||NULV|6|13.ASSET|Equity|1359.3|25.69|TMO| Thermo Fisher Scientific Inc.| 1.89%| North America|Equity|Large Cap Blend Equities||NULV|6|14.ASSET|Equity|1359.3|25.28|PLD| Prologis, Inc.| 1.86%| North America|Equity|Large Cap Blend Equities||NULV|6|15.ASSET|Equity|1359.3|25.28|AXP| American Express Company| 1.86%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|1.ASSET|Equity|1079.8|105.28|AWK| American Water Works Company, Inc.| 9.75%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|2.ASSET|Equity|1079.8|76.23|XYL| Xylem Inc.| 7.06%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|3.ASSET|Equity|1079.8|65.76|VIE| Veolia Environnement SA| 6.09%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|4.ASSET|Equity|1079.8|55.83|UU| United Utilities Group PLC| 5.17%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|5.ASSET|Equity|1079.8|55.61|SVT| Severn Trent Plc| 5.15%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|6.ASSET|Equity|1079.8|54.42|GEBN| Geberit AG| 5.04%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|7.ASSET|Equity|1079.8|54.42|WTRG| Essential Utilities, Inc.| 5.04%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|8.ASSET|Equity|1079.8|51.61|HLMA| Halma plc| 4.78%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|9.ASSET|Equity|1079.8|44.27|PNR| Pentair plc| 4.10%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|10.ASSET|Equity|1079.8|42.11|TTEK| Tetra Tech, Inc.| 3.90%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|11.ASSET|Equity|1079.8|31.85|OLN| Olin Corporation| 2.95%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|12.ASSET|Equity|1079.8|31.31|ZWS| Zurn Water Solutions Corporation| 2.90%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|13.ASSET|Equity|1079.8|30.23|STN| Stantec Inc| 2.80%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|14.ASSET|Equity|1079.8|29.26|WMS| Advanced Drainage Systems, Inc.| 2.71%| Developed Markets|Equity|Water Equities |Industrials|CGW|6|15.ASSET|Equity|1079.8|24.84|AALB| Aalberts N.V.| 2.30%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|1.ASSET|Equity|1207.3|51.07|AAPL| Apple Inc.| 4.23%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|2.ASSET|Equity|1207.3|39.72|MSFT| Microsoft Corporation| 3.29%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|3.ASSET|Equity|1207.3|26.44|AMZN| Amazon.com, Inc.| 2.19%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|4.ASSET|Equity|1207.3|15.45|GOOGL| Alphabet Inc. Class A| 1.28%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|5.ASSET|Equity|1207.3|13.88|TSLA| Tesla Inc| 1.15%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|6.ASSET|Equity|1207.3|13.88|GOOG| Alphabet Inc. Class C| 1.15%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|7.ASSET|Equity|1207.3|11.47|NVDA| NVIDIA Corporation| 0.95%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|8.ASSET|Equity|1207.3|10.14|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 0.84%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|9.ASSET|Equity|1207.3|9.42|FB| Meta Platforms Inc. Class A| 0.78%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|10.ASSET|Equity|1207.3|8.45|JNJ| Johnson & Johnson| 0.70%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|11.ASSET|Equity|1207.3|8.21|UNH| UnitedHealth Group Incorporated| 0.68%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|12.ASSET|Equity|1207.3|7.49|PG| Procter & Gamble Company| 0.62%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|13.ASSET|Equity|1207.3|7.36|JPM| JPMorgan Chase & Co.| 0.61%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|14.ASSET|Equity|1207.3|6.88|V| Visa Inc. Class A| 0.57%| Developed Markets|Equity|Large Cap Growth Equities||CRBN|6|15.ASSET|Equity|1207.3|6.76|NESN| Nestle S.A.| 0.56%| North America|Equity|Large Cap Growth Equities||VTHR|6|1.ASSET|Equity|1170.9|70.14|AAPL| Apple Inc.| 5.99%| North America|Equity|Large Cap Growth Equities||VTHR|6|2.ASSET|Equity|1170.9|61|MSFT| Microsoft Corporation| 5.21%| North America|Equity|Large Cap Growth Equities||VTHR|6|3.ASSET|Equity|1170.9|33.72|AMZN| Amazon.com, Inc.| 2.88%| North America|Equity|Large Cap Growth Equities||VTHR|6|4.ASSET|Equity|1170.9|21.19|GOOGL| Alphabet Inc. Class A| 1.81%| North America|Equity|Large Cap Growth Equities||VTHR|6|5.ASSET|Equity|1170.9|19.79|GOOG| Alphabet Inc. Class C| 1.69%| North America|Equity|Large Cap Growth Equities||VTHR|6|6.ASSET|Equity|1170.9|19.67|TSLA| Tesla Inc| 1.68%| North America|Equity|Large Cap Growth Equities||VTHR|6|7.ASSET|Equity|1170.9|19.2|FB| Meta Platforms Inc. Class A| 1.64%| North America|Equity|Large Cap Growth Equities||VTHR|6|8.ASSET|Equity|1170.9|15.22|NVDA| NVIDIA Corporation| 1.30%| North America|Equity|Large Cap Growth Equities||VTHR|6|9.ASSET|Equity|1170.9|14.99|BRK.B| Berkshire Hathaway Inc. Class B| 1.28%| North America|Equity|Large Cap Growth Equities||VTHR|6|10.ASSET|Equity|1170.9|11.83|JNJ| Johnson & Johnson| 1.01%| North America|Equity|Large Cap Growth Equities||VTHR|6|11.ASSET|Equity|1170.9|11.59|UNH| UnitedHealth Group Incorporated| 0.99%| North America|Equity|Large Cap Growth Equities||VTHR|6|12.ASSET|Equity|1170.9|11.36|JPM| JPMorgan Chase & Co.| 0.97%| North America|Equity|Large Cap Growth Equities||VTHR|6|13.ASSET|Equity|1170.9|10.19|HD| Home Depot, Inc.| 0.87%| North America|Equity|Large Cap Growth Equities||VTHR|6|14.ASSET|Equity|1170.9|10.07|PG| Procter & Gamble Company| 0.86%| North America|Equity|Large Cap Growth Equities||VTHR|6|15.ASSET|Equity|1170.9|9.95|V| Visa Inc. Class A| 0.85%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|1.ASSET|Equity|1227.6|98.33|DE| Deere & Company| 8.01%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|2.ASSET|Equity|1227.6|95.63|BAYN| Bayer AG| 7.79%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|3.ASSET|Equity|1227.6|87.77|NTR| Nutrien Ltd.| 7.15%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|4.ASSET|Equity|1227.6|80.16|ZTS| Zoetis, Inc. Class A| 6.53%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|5.ASSET|Equity|1227.6|68.99|CTVA| Corteva Inc| 5.62%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|6.ASSET|Equity|1227.6|68.01|ADM| Archer-Daniels-Midland Company| 5.54%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|7.ASSET|Equity|1227.6|67.03|IDXX| IDEXX Laboratories, Inc.| 5.46%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|8.ASSET|Equity|1227.6|55.73|TSN| Tyson Foods, Inc. Class A| 4.54%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|9.ASSET|Equity|1227.6|46.4|TSCO| Tractor Supply Company| 3.78%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|10.ASSET|Equity|1227.6|33.76|6326| Kubota Corporation| 2.75%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|11.ASSET|Equity|1227.6|33.27|2319| China Mengniu Dairy Co., Ltd.| 2.71%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|12.ASSET|Equity|1227.6|32.53|MOS| Mosaic Company| 2.65%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|13.ASSET|Equity|1227.6|30.81|CF| CF Industries Holdings, Inc.| 2.51%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|14.ASSET|Equity|1227.6|30.08|CNHI| CNH Industrial NV| 2.45%| Developed Markets|Equity|Large Cap Blend Equities|Materials|MOO|6|15.ASSET|Equity|1227.6|26.27|FMC| FMC Corporation| 2.14%| North America|Real Estate|Real Estate|Real Estate|REZ|6|1.ASSET|Real Estate|1321.2|146.12|PSA| Public Storage| 11.06%| North America|Real Estate|Real Estate|Real Estate|REZ|6|2.ASSET|Real Estate|1321.2|96.84|WELL| Welltower, Inc.| 7.33%| North America|Real Estate|Real Estate|Real Estate|REZ|6|3.ASSET|Real Estate|1321.2|88.12|AVB| AvalonBay Communities, Inc.| 6.67%| North America|Real Estate|Real Estate|Real Estate|REZ|6|4.ASSET|Real Estate|1321.2|83.24|EQR| Equity Residential| 6.30%| North America|Real Estate|Real Estate|Real Estate|REZ|6|5.ASSET|Real Estate|1321.2|67.78|EXR| Extra Space Storage Inc.| 5.13%| North America|Real Estate|Real Estate|Real Estate|REZ|6|6.ASSET|Real Estate|1321.2|66.85|VTR| Ventas, Inc.| 5.06%| North America|Real Estate|Real Estate|Real Estate|REZ|6|7.ASSET|Real Estate|1321.2|63.42|MAA| Mid-America Apartment Communities, Inc.| 4.80%| North America|Real Estate|Real Estate|Real Estate|REZ|6|8.ASSET|Real Estate|1321.2|60.38|INVH| Invitation Homes, Inc.| 4.57%| North America|Real Estate|Real Estate|Real Estate|REZ|6|9.ASSET|Real Estate|1321.2|57.08|ESS| Essex Property Trust, Inc.| 4.32%| North America|Real Estate|Real Estate|Real Estate|REZ|6|10.ASSET|Real Estate|1321.2|55.09|SUI| Sun Communities, Inc.| 4.17%| North America|Real Estate|Real Estate|Real Estate|REZ|6|11.ASSET|Real Estate|1321.2|52.45|UDR| UDR, Inc.| 3.97%| North America|Real Estate|Real Estate|Real Estate|REZ|6|12.ASSET|Real Estate|1321.2|52.06|PEAK| Healthpeak Properties, Inc.| 3.94%| North America|Real Estate|Real Estate|Real Estate|REZ|6|13.ASSET|Real Estate|1321.2|50.73|CPT| Camden Property Trust| 3.84%| North America|Real Estate|Real Estate|Real Estate|REZ|6|14.ASSET|Real Estate|1321.2|40.69|ELS| Equity LifeStyle Properties, Inc.| 3.08%| North America|Real Estate|Real Estate|Real Estate|REZ|6|15.ASSET|Real Estate|1321.2|37.52|MPW| Medical Properties Trust, Inc.| 2.84%| North America|Equity|Industrials Equities|Industrials|FTXR|6|1.ASSET|Equity|1097.5|86.48|F| Ford Motor Company| 7.88%| North America|Equity|Industrials Equities|Industrials|FTXR|6|2.ASSET|Equity|1097.5|78.03|UNP| Union Pacific Corporation| 7.11%| North America|Equity|Industrials Equities|Industrials|FTXR|6|3.ASSET|Equity|1097.5|74.85|ODFL| Old Dominion Freight Line, Inc.| 6.82%| North America|Equity|Industrials Equities|Industrials|FTXR|6|4.ASSET|Equity|1097.5|67.5|CSX| CSX Corporation| 6.15%| North America|Equity|Industrials Equities|Industrials|FTXR|6|5.ASSET|Equity|1097.5|57.07|EXPD| Expeditors International of Washington, Inc.| 5.20%| North America|Equity|Industrials Equities|Industrials|FTXR|6|6.ASSET|Equity|1097.5|50.38|PCAR| PACCAR Inc| 4.59%| North America|Equity|Industrials Equities|Industrials|FTXR|6|7.ASSET|Equity|1097.5|49.61|CHRW| C.H. Robinson Worldwide, Inc.| 4.52%| North America|Equity|Industrials Equities|Industrials|FTXR|6|8.ASSET|Equity|1097.5|48.95|UPS| United Parcel Service, Inc. Class B| 4.46%| North America|Equity|Industrials Equities|Industrials|FTXR|6|9.ASSET|Equity|1097.5|48.62|JBHT| J.B. Hunt Transport Services, Inc.| 4.43%| North America|Equity|Industrials Equities|Industrials|FTXR|6|10.ASSET|Equity|1097.5|46.53|NSC| Norfolk Southern Corporation| 4.24%| North America|Equity|Industrials Equities|Industrials|FTXR|6|11.ASSET|Equity|1097.5|46.53|WAB| Westinghouse Air Brake Technologies Corporation| 4.24%| North America|Equity|Industrials Equities|Industrials|FTXR|6|12.ASSET|Equity|1097.5|39.51|FDX| FedEx Corporation| 3.60%| North America|Equity|Industrials Equities|Industrials|FTXR|6|13.ASSET|Equity|1097.5|38.41|URI| United Rentals, Inc.| 3.50%| North America|Equity|Industrials Equities|Industrials|FTXR|6|14.ASSET|Equity|1097.5|36.77|GM| General Motors Company| 3.35%| North America|Equity|Industrials Equities|Industrials|FTXR|6|15.ASSET|Equity|1097.5|34.9|TSLA| Tesla Inc| 3.18%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|1.ASSET|Equity|1490|16.54|RHM| Rheinmetall AG| 1.11%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|2.ASSET|Equity|1490|10.58|HWDN| Howden Joinery Group PLC| 0.71%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|3.ASSET|Equity|1490|10.13|SDF| K+S AG| 0.68%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|4.ASSET|Equity|1490|9.09|MKS| Marks and Spencer Group plc| 0.61%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|5.ASSET|Equity|1490|8.94|MNG| M&G Plc| 0.60%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|6.ASSET|Equity|1490|8.64|DLG| Direct Line Insurance Group Plc| 0.58%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|7.ASSET|Equity|1490|8.64|AER| AerCap Holdings NV| 0.58%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|8.ASSET|Equity|1490|8.49|WCP| Whitecap Resources Inc.| 0.57%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|9.ASSET|Equity|1490|8.34|CPG| Crescent Point Energy Corp.| 0.56%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|10.ASSET|Equity|1490|8.2|TATE| Tate & Lyle PLC| 0.55%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|11.ASSET|Equity|1490|7.75|ILU| Iluka Resources Limited| 0.52%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|12.ASSET|Equity|1490|7.75|ASRNL| ASR Nederland NV| 0.52%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|13.ASSET|Equity|1490|7.45|TPK| Travis Perkins plc| 0.50%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|14.ASSET|Equity|1490|7.15|BEKB| Bekaert SA| 0.48%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||AVDV|6|15.ASSET|Equity|1490|7|BTO| B2Gold Corp.| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|1.ASSET|Equity|1333.5|46.41|BATS| British American Tobacco p.l.c.| 3.48%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|2.ASSET|Equity|1333.5|33.74|7203| Toyota Motor Corp.| 2.53%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|3.ASSET|Equity|1333.5|31.6|NOVN| Novartis AG| 2.37%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|4.ASSET|Equity|1333.5|27.6|SHEL| Shell PLC| 2.07%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|5.ASSET|Equity|1333.5|23.87|SAN| Sanofi| 1.79%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|6.ASSET|Equity|1333.5|21.87|ROG| Roche Holding Ltd| 1.64%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|7.ASSET|Equity|1333.5|18.94|8306| Mitsubishi UFJ Financial Group, Inc.| 1.42%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|8.ASSET|Equity|1333.5|18.4|HSBA| HSBC Holdings Plc| 1.38%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|9.ASSET|Equity|1333.5|18|BAYN| Bayer AG| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|10.ASSET|Equity|1333.5|17.47|RIO| Rio Tinto plc| 1.31%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|11.ASSET|Equity|1333.5|16.27|BHP| BHP Group Ltd| 1.22%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|12.ASSET|Equity|1333.5|15.07|8058| Mitsubishi Corporation| 1.13%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|13.ASSET|Equity|1333.5|14.8|8031| Mitsui & Co.,Ltd| 1.11%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|14.ASSET|Equity|1333.5|14.14|6501| Hitachi,Ltd.| 1.06%| Developed Markets|Equity|Foreign Large Cap Equities||IVLU|6|15.ASSET|Equity|1333.5|13.87|GSK| GlaxoSmithKline plc| 1.04%| North America|Equity|Utilities Equities|Utilities|FUTY|6|1.ASSET|Equity|1201.2|167.21|NEE| NextEra Energy, Inc.| 13.92%| North America|Equity|Utilities Equities|Utilities|FUTY|6|2.ASSET|Equity|1201.2|84.56|DUK| Duke Energy Corporation| 7.04%| North America|Equity|Utilities Equities|Utilities|FUTY|6|3.ASSET|Equity|1201.2|74.71|SO| Southern Company| 6.22%| North America|Equity|Utilities Equities|Utilities|FUTY|6|4.ASSET|Equity|1201.2|70.63|D| Dominion Energy Inc| 5.88%| North America|Equity|Utilities Equities|Utilities|FUTY|6|5.ASSET|Equity|1201.2|51.05|SRE| Sempra Energy| 4.25%| North America|Equity|Utilities Equities|Utilities|FUTY|6|6.ASSET|Equity|1201.2|49.97|AEP| American Electric Power Company, Inc.| 4.16%| North America|Equity|Utilities Equities|Utilities|FUTY|6|7.ASSET|Equity|1201.2|45.53|EXC| Exelon Corporation| 3.79%| North America|Equity|Utilities Equities|Utilities|FUTY|6|8.ASSET|Equity|1201.2|39.4|XEL| Xcel Energy Inc.| 3.28%| North America|Equity|Utilities Equities|Utilities|FUTY|6|9.ASSET|Equity|1201.2|35.92|PEG| Public Service Enterprise Group Inc| 2.99%| North America|Equity|Utilities Equities|Utilities|FUTY|6|10.ASSET|Equity|1201.2|33.27|ED| Consolidated Edison, Inc.| 2.77%| North America|Equity|Utilities Equities|Utilities|FUTY|6|11.ASSET|Equity|1201.2|30.99|WEC| WEC Energy Group Inc| 2.58%| North America|Equity|Utilities Equities|Utilities|FUTY|6|12.ASSET|Equity|1201.2|30.39|ES| Eversource Energy| 2.53%| North America|Equity|Utilities Equities|Utilities|FUTY|6|13.ASSET|Equity|1201.2|30.15|AWK| American Water Works Company, Inc.| 2.51%| North America|Equity|Utilities Equities|Utilities|FUTY|6|14.ASSET|Equity|1201.2|26.67|EIX| Edison International| 2.22%| North America|Equity|Utilities Equities|Utilities|FUTY|6|15.ASSET|Equity|1201.2|25.59|DTE| DTE Energy Company| 2.13%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|1.ASSET|Bond|1078.1|13.26|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|2.ASSET|Bond|1078.1|4.85|N/A| CORPORATE BOND| 0.45%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|3.ASSET|Bond|1078.1|4.31|N/A| Microsoft Corporation 2.921% 17-MAR-2052| 0.40%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|4.ASSET|Bond|1078.1|2.48|N/A| Microsoft Corporation 2.525% 01-JUN-2050| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|5.ASSET|Bond|1078.1|2.37|N/A| Wells Fargo & Company 5.013% 04-APR-2051| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|6.ASSET|Bond|1078.1|2.26|N/A| Amazon.com, Inc. 1.2% 03-JUN-2027| 0.21%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|7.ASSET|Bond|1078.1|2.05|N/A| Comcast Corporation 2.937% 01-NOV-2056| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|8.ASSET|Bond|1078.1|2.05|N/A| HSBC Holdings Plc 4.041% 13-MAR-2028| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|9.ASSET|Bond|1078.1|2.05|N/A| Bristol-Myers Squibb Company 3.4% 26-JUL-2029| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|10.ASSET|Bond|1078.1|1.94|N/A| Apple Inc. 4.65% 23-FEB-2046| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|11.ASSET|Bond|1078.1|1.94|N/A| Abbott Laboratories 4.9% 30-NOV-2046| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|12.ASSET|Bond|1078.1|1.94|N/A| Citigroup Inc. 4.412% 31-MAR-2031| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|13.ASSET|Bond|1078.1|1.83|N/A| Comcast Corporation 2.887% 01-NOV-2051| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|14.ASSET|Bond|1078.1|1.83|N/A| HSBC Holdings Plc 1.645% 18-APR-2026| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|QLTA|6|15.ASSET|Bond|1078.1|1.72|N/A| Bristol-Myers Squibb Company 4.25% 26-OCT-2049| 0.16%| North America|Equity|Technology Equities|Technology|XSD|6|1.ASSET|Equity|1297.1|45.14|MU| Micron Technology, Inc.| 3.48%| North America|Equity|Technology Equities|Technology|XSD|6|2.ASSET|Equity|1297.1|42.42|POWI| Power Integrations, Inc.| 3.27%| North America|Equity|Technology Equities|Technology|XSD|6|3.ASSET|Equity|1297.1|41.77|OLED| Universal Display Corporation| 3.22%| North America|Equity|Technology Equities|Technology|XSD|6|4.ASSET|Equity|1297.1|40.21|RMBS| Rambus Inc.| 3.10%| North America|Equity|Technology Equities|Technology|XSD|6|5.ASSET|Equity|1297.1|40.21|CRUS| Cirrus Logic, Inc.| 3.10%| North America|Equity|Technology Equities|Technology|XSD|6|6.ASSET|Equity|1297.1|39.95|INTC| Intel Corporation| 3.08%| North America|Equity|Technology Equities|Technology|XSD|6|7.ASSET|Equity|1297.1|39.95|ON| ON Semiconductor Corporation| 3.08%| North America|Equity|Technology Equities|Technology|XSD|6|8.ASSET|Equity|1297.1|38.39|AVGO| Broadcom Inc.| 2.96%| North America|Equity|Technology Equities|Technology|XSD|6|9.ASSET|Equity|1297.1|38.13|QCOM| Qualcomm Inc| 2.94%| North America|Equity|Technology Equities|Technology|XSD|6|10.ASSET|Equity|1297.1|38.01|SGH| SMART Global Holdings, Inc.| 2.93%| North America|Equity|Technology Equities|Technology|XSD|6|11.ASSET|Equity|1297.1|37.36|MPWR| Monolithic Power Systems, Inc.| 2.88%| North America|Equity|Technology Equities|Technology|XSD|6|12.ASSET|Equity|1297.1|36.06|ADI| Analog Devices, Inc.| 2.78%| North America|Equity|Technology Equities|Technology|XSD|6|13.ASSET|Equity|1297.1|36.06|WOLF| Wolfspeed Inc| 2.78%| North America|Equity|Technology Equities|Technology|XSD|6|14.ASSET|Equity|1297.1|35.93|TXN| Texas Instruments Incorporated| 2.77%| North America|Equity|Technology Equities|Technology|XSD|6|15.ASSET|Equity|1297.1|35.67|QRVO| Qorvo, Inc.| 2.75%| Developed Markets|Equity|Materials|Materials|SIL|6|1.ASSET|Equity|1039|280.22|WPM| Wheaton Precious Metals Corp| 26.97%| Developed Markets|Equity|Materials|Materials|SIL|6|2.ASSET|Equity|1039|105.87|PAAS| Pan American Silver Corp.| 10.19%| Developed Markets|Equity|Materials|Materials|SIL|6|3.ASSET|Equity|1039|68.68|SSRM| SSR Mining Inc| 6.61%| Developed Markets|Equity|Materials|Materials|SIL|6|4.ASSET|Equity|1039|61.51|HL| Hecla Mining Company| 5.92%| Developed Markets|Equity|Materials|Materials|SIL|6|5.ASSET|Equity|1039|54.13|010130| Korea Zinc Co., Ltd.| 5.21%| Developed Markets|Equity|Materials|Materials|SIL|6|6.ASSET|Equity|1039|52.68|FR| First Majestic Silver Corp.| 5.07%| Developed Markets|Equity|Materials|Materials|SIL|6|7.ASSET|Equity|1039|52.57|BVN| Compania de Minas Buenaventura SAA Sponsored ADR| 5.06%| Developed Markets|Equity|Materials|Materials|SIL|6|8.ASSET|Equity|1039|39.17|FRES| Fresnillo PLC| 3.77%| Developed Markets|Equity|Materials|Materials|SIL|6|9.ASSET|Equity|1039|36.57|PE&OLES| Industrias Penoles SAB de CV| 3.52%| Developed Markets|Equity|Materials|Materials|SIL|6|10.ASSET|Equity|1039|32.42|MAG| MAG Silver Corp.| 3.12%| Developed Markets|Equity|Materials|Materials|SIL|6|11.ASSET|Equity|1039|28.68|SIL| SilverCrest Metals, Inc.| 2.76%| Developed Markets|Equity|Materials|Materials|SIL|6|12.ASSET|Equity|1039|25.87|FVI| Fortuna Silver Mines Inc.| 2.49%| Developed Markets|Equity|Materials|Materials|SIL|6|13.ASSET|Equity|1039|23.27|CDE| Coeur Mining, Inc.| 2.24%| Developed Markets|Equity|Materials|Materials|SIL|6|14.ASSET|Equity|1039|22.96|POLY| Polymetal International Plc| 2.21%| Developed Markets|Equity|Materials|Materials|SIL|6|15.ASSET|Equity|1039|17.35|EDR| Endeavour Silver Corp.| 1.67%| North America|Equity|MLPs|Energy|MLPA|6|1.ASSET|Equity|1140.8|114.99|EPD| Enterprise Products Partners L.P.| 10.08%| North America|Equity|MLPs|Energy|MLPA|6|2.ASSET|Equity|1140.8|104.95|ET| Energy Transfer, L.P.| 9.20%| North America|Equity|MLPs|Energy|MLPA|6|3.ASSET|Equity|1140.8|93.77|MMP| Magellan Midstream Partners, L.P.| 8.22%| North America|Equity|MLPs|Energy|MLPA|6|4.ASSET|Equity|1140.8|78.72|MPLX| MPLX LP| 6.90%| North America|Equity|MLPs|Energy|MLPA|6|5.ASSET|Equity|1140.8|66.17|WES| Western Midstream Partners, LP| 5.80%| North America|Equity|MLPs|Energy|MLPA|6|6.ASSET|Equity|1140.8|61.72|CQP| Cheniere Energy Partners, L.P.| 5.41%| North America|Equity|MLPs|Energy|MLPA|6|7.ASSET|Equity|1140.8|60.69|CEQP| Crestwood Equity Partners LP| 5.32%| North America|Equity|MLPs|Energy|MLPA|6|8.ASSET|Equity|1140.8|57.38|DCP| DCP Midstream LP| 5.03%| North America|Equity|MLPs|Energy|MLPA|6|9.ASSET|Equity|1140.8|56.58|PAA| Plains All American Pipeline, L.P.| 4.96%| North America|Equity|MLPs|Energy|MLPA|6|10.ASSET|Equity|1140.8|55.67|SHLX| Shell Midstream Partners LP| 4.88%| North America|Equity|MLPs|Energy|MLPA|6|11.ASSET|Equity|1140.8|53.85|GEL| Genesis Energy, L.P.| 4.72%| North America|Equity|MLPs|Energy|MLPA|6|12.ASSET|Equity|1140.8|52.59|NS| NuStar Energy L.P.| 4.61%| North America|Equity|MLPs|Energy|MLPA|6|13.ASSET|Equity|1140.8|48.71|PSXP| Phillips 66 Partners LP| 4.27%| North America|Equity|MLPs|Energy|MLPA|6|14.ASSET|Equity|1140.8|47.46|HEP| Holly Energy Partners, L.P.| 4.16%| North America|Equity|MLPs|Energy|MLPA|6|15.ASSET|Equity|1140.8|47.12|BPMP| BP Midstream Partners LP| 4.13%| Developed Markets|Equity|Materials|Materials|PICK|6|1.ASSET|Equity|1494.5|205.79|BHP| BHP Group Ltd| 13.77%| Developed Markets|Equity|Materials|Materials|PICK|6|2.ASSET|Equity|1494.5|104.62|RIO| Rio Tinto plc| 7.00%| Developed Markets|Equity|Materials|Materials|PICK|6|3.ASSET|Equity|1494.5|90.72|VALE3| Vale S.A.| 6.07%| Developed Markets|Equity|Materials|Materials|PICK|6|4.ASSET|Equity|1494.5|82.2|FCX| Freeport-McMoRan, Inc.| 5.50%| Developed Markets|Equity|Materials|Materials|PICK|6|5.ASSET|Equity|1494.5|78.16|AAL| Anglo American plc| 5.23%| Developed Markets|Equity|Materials|Materials|PICK|6|6.ASSET|Equity|1494.5|69.94|GLEN| Glencore plc| 4.68%| Developed Markets|Equity|Materials|Materials|PICK|6|7.ASSET|Equity|1494.5|46.18|NUE| Nucor Corporation| 3.09%| Developed Markets|Equity|Materials|Materials|PICK|6|8.ASSET|Equity|1494.5|38.11|RIO| Rio Tinto Limited| 2.55%| Developed Markets|Equity|Materials|Materials|PICK|6|9.ASSET|Equity|1494.5|26.9|FMG| Fortescue Metals Group Ltd| 1.80%| Developed Markets|Equity|Materials|Materials|PICK|6|10.ASSET|Equity|1494.5|24.96|MT| ArcelorMittal SA| 1.67%| Developed Markets|Equity|Materials|Materials|PICK|6|11.ASSET|Equity|1494.5|20.92|005490| POSCO Holdings Inc.| 1.40%| Developed Markets|Equity|Materials|Materials|PICK|6|12.ASSET|Equity|1494.5|20.47|FM| First Quantum Minerals Ltd.| 1.37%| Developed Markets|Equity|Materials|Materials|PICK|6|13.ASSET|Equity|1494.5|20.33|TECK.B| Teck Resources Limited Class B| 1.36%| Developed Markets|Equity|Materials|Materials|PICK|6|14.ASSET|Equity|1494.5|19.58|S32| South32 Ltd.| 1.31%| Developed Markets|Equity|Materials|Materials|PICK|6|15.ASSET|Equity|1494.5|18.83|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 1.26%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|1.ASSET|Equity|1020.6|28.99|7203| Toyota Motor Corp.| 2.84%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|2.ASSET|Equity|1020.6|25.82|BHP| BHP Group Ltd| 2.53%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|3.ASSET|Equity|1020.6|19.29|6758| Sony Group Corporation| 1.89%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|4.ASSET|Equity|1020.6|18.78|1299| AIA Group Limited| 1.84%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|5.ASSET|Equity|1020.6|17.96|CBA| Commonwealth Bank of Australia| 1.76%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|6.ASSET|Equity|1020.6|13.78|6861| Keyence Corporation| 1.35%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|7.ASSET|Equity|1020.6|13.57|CSL| CSL Limited| 1.33%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|8.ASSET|Equity|1020.6|11.23|8306| Mitsubishi UFJ Financial Group, Inc.| 1.10%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|9.ASSET|Equity|1020.6|10.92|8035| Tokyo Electron Ltd.| 1.07%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|10.ASSET|Equity|1020.6|10.31|NAB| National Australia Bank Limited| 1.01%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|11.ASSET|Equity|1020.6|9.08|WBC| Westpac Banking Corporation| 0.89%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|12.ASSET|Equity|1020.6|8.68|388| Hong Kong Exchanges & Clearing Ltd.| 0.85%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|13.ASSET|Equity|1020.6|8.57|6098| Recruit Holdings Co., Ltd.| 0.84%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|14.ASSET|Equity|1020.6|8.47|7974| Nintendo Co., Ltd.| 0.83%| Developed Asia Pacific|Equity|Asia Pacific Equities||IPAC|6|15.ASSET|Equity|1020.6|8.27|4063| Shin-Etsu Chemical Co Ltd| 0.81%| North America|Equity|Large Cap Value Equities||FTA|6|1.ASSET|Equity|1206|14.71|COP| ConocoPhillips| 1.22%| North America|Equity|Large Cap Value Equities||FTA|6|2.ASSET|Equity|1206|14.23|EOG| EOG Resources, Inc.| 1.18%| North America|Equity|Large Cap Value Equities||FTA|6|3.ASSET|Equity|1206|12.66|PARA| Paramount Global Class B| 1.05%| North America|Equity|Large Cap Value Equities||FTA|6|4.ASSET|Equity|1206|12.66|FOXA| Fox Corporation Class A| 1.05%| North America|Equity|Large Cap Value Equities||FTA|6|5.ASSET|Equity|1206|12.06|TRV| Travelers Companies, Inc.| 1.00%| North America|Equity|Large Cap Value Equities||FTA|6|6.ASSET|Equity|1206|11.82|TSN| Tyson Foods, Inc. Class A| 0.98%| North America|Equity|Large Cap Value Equities||FTA|6|7.ASSET|Equity|1206|11.7|BRK.B| Berkshire Hathaway Inc. Class B| 0.97%| North America|Equity|Large Cap Value Equities||FTA|6|8.ASSET|Equity|1206|11.7|HPE| Hewlett Packard Enterprise Co.| 0.97%| North America|Equity|Large Cap Value Equities||FTA|6|9.ASSET|Equity|1206|11.7|CINF| Cincinnati Financial Corporation| 0.97%| North America|Equity|Large Cap Value Equities||FTA|6|10.ASSET|Equity|1206|11.7|AIG| American International Group, Inc.| 0.97%| North America|Equity|Large Cap Value Equities||FTA|6|11.ASSET|Equity|1206|11.58|DVN| Devon Energy Corporation| 0.96%| North America|Equity|Large Cap Value Equities||FTA|6|12.ASSET|Equity|1206|11.58|PXD| Pioneer Natural Resources Company| 0.96%| North America|Equity|Large Cap Value Equities||FTA|6|13.ASSET|Equity|1206|11.46|ALL| Allstate Corporation| 0.95%| North America|Equity|Large Cap Value Equities||FTA|6|14.ASSET|Equity|1206|11.46|LYB| LyondellBasell Industries NV| 0.95%| North America|Equity|Large Cap Value Equities||FTA|6|15.ASSET|Equity|1206|11.46|CB| Chubb Limited| 0.95%| North America|Volatility|Volatility||VXX|6|1.ASSET|Volatility|823.9|823.9|N/A| CBOE Volatility Index (VIX) Futures| 100.00%| North America|Equity|Small Cap Growth Equities||NUSC|6|1.ASSET|Equity|1136.7|11.82|DAR| Darling Ingredients Inc.| 1.04%| North America|Equity|Small Cap Growth Equities||NUSC|6|2.ASSET|Equity|1136.7|8.53|AXON| Axon Enterprise Inc| 0.75%| North America|Equity|Small Cap Growth Equities||NUSC|6|3.ASSET|Equity|1136.7|8.18|FHN| First Horizon Corporation| 0.72%| North America|Equity|Small Cap Growth Equities||NUSC|6|4.ASSET|Equity|1136.7|8.18|TTC| Toro Company| 0.72%| North America|Equity|Small Cap Growth Equities||NUSC|6|5.ASSET|Equity|1136.7|8.18|RS| Reliance Steel & Aluminum Co.| 0.72%| North America|Equity|Small Cap Growth Equities||NUSC|6|6.ASSET|Equity|1136.7|8.18|WEX| WEX Inc.| 0.72%| North America|Equity|Small Cap Growth Equities||NUSC|6|7.ASSET|Equity|1136.7|7.73|SITE| SiteOne Landscape Supply, Inc.| 0.68%| North America|Equity|Small Cap Growth Equities||NUSC|6|8.ASSET|Equity|1136.7|7.5|FSLR| First Solar, Inc.| 0.66%| North America|Equity|Small Cap Growth Equities||NUSC|6|9.ASSET|Equity|1136.7|7.39|BPOP| Popular, Inc.| 0.65%| North America|Equity|Small Cap Growth Equities||NUSC|6|10.ASSET|Equity|1136.7|6.93|NEP| NextEra Energy Partners LP| 0.61%| North America|Equity|Small Cap Growth Equities||NUSC|6|11.ASSET|Equity|1136.7|6.71|CONE| CyrusOne Inc.| 0.59%| North America|Equity|Small Cap Growth Equities||NUSC|6|12.ASSET|Equity|1136.7|6.59|BFAM| Bright Horizons Family Solutions, Inc.| 0.58%| North America|Equity|Small Cap Growth Equities||NUSC|6|13.ASSET|Equity|1136.7|6.48|COR| CoreSite Realty Corporation| 0.57%| North America|Equity|Small Cap Growth Equities||NUSC|6|14.ASSET|Equity|1136.7|6.48|TREX| Trex Company, Inc.| 0.57%| North America|Equity|Small Cap Growth Equities||NUSC|6|15.ASSET|Equity|1136.7|6.37|VVV| Valvoline, Inc.| 0.56%| North America|Equity|Small Cap Blend Equities||MJ|6|1.ASSET|Equity|660|85.07|VALT| ETFMG Sit Ultra Short ETF| 12.89%| North America|Equity|Small Cap Blend Equities||MJ|6|2.ASSET|Equity|660|54.45|TLRY| Tilray Brands, Inc.| 8.25%| North America|Equity|Small Cap Blend Equities||MJ|6|3.ASSET|Equity|660|49.63|WEED| Canopy Growth Corporation| 7.52%| North America|Equity|Small Cap Blend Equities||MJ|6|4.ASSET|Equity|660|39.53|SNDL| Sundial Growers Inc.| 5.99%| North America|Equity|Small Cap Blend Equities||MJ|6|5.ASSET|Equity|660|39.07|CRON| Cronos Group Inc| 5.92%| North America|Equity|Small Cap Blend Equities||MJ|6|6.ASSET|Equity|660|37.36|GRWG| GrowGeneration Corp.| 5.66%| North America|Equity|Small Cap Blend Equities||MJ|6|7.ASSET|Equity|660|35.51|ACB| Aurora Cannabis Inc.| 5.38%| North America|Equity|Small Cap Blend Equities||MJ|6|8.ASSET|Equity|660|27.32|OGI| OrganiGram Holdings Inc| 4.14%| North America|Equity|Small Cap Blend Equities||MJ|6|9.ASSET|Equity|660|20.13|HITI| High Tide, Inc.| 3.05%| North America|Equity|Small Cap Blend Equities||MJ|6|10.ASSET|Equity|660|19.6|XXII| 22nd Century Group, Inc.| 2.97%| North America|Equity|Small Cap Blend Equities||MJ|6|11.ASSET|Equity|660|19.54|VFF| Village Farms International, Inc.| 2.96%| North America|Equity|Small Cap Blend Equities||MJ|6|12.ASSET|Equity|660|19.34|JAZZ| Jazz Pharmaceuticals Public Limited Company| 2.93%| North America|Equity|Small Cap Blend Equities||MJ|6|13.ASSET|Equity|660|17.89|ARNA| Arena Pharmaceuticals, Inc.| 2.71%| North America|Equity|Small Cap Blend Equities||MJ|6|14.ASSET|Equity|660|17.89|MO| Altria Group Inc| 2.71%| North America|Equity|Small Cap Blend Equities||MJ|6|15.ASSET|Equity|660|17.82|VGR| Vector Group Ltd.| 2.70%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|1.ASSET|Bond|1181.8|14.54|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 1.23%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|2.ASSET|Bond|1181.8|12.65|N/A| Visa Inc. 3.15% 14-DEC-2025| 1.07%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|3.ASSET|Bond|1181.8|11.7|N/A| AbbVie Inc. 3.6% 14-MAY-2025| 0.99%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|4.ASSET|Bond|1181.8|11.35|N/A| Boeing Company 4.875% 01-MAY-2025| 0.96%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|5.ASSET|Bond|1181.8|10.99|N/A| Goldman Sachs Group, Inc. 3.5% 01-APR-2025| 0.93%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|6.ASSET|Bond|1181.8|10.64|N/A| Oracle Corporation 2.5% 01-APR-2025| 0.90%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|7.ASSET|Bond|1181.8|9.57|N/A| Microsoft Corporation 3.125% 03-NOV-2025| 0.81%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|8.ASSET|Bond|1181.8|9.45|N/A| Morgan Stanley 4.0% 23-JUL-2025| 0.80%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|9.ASSET|Bond|1181.8|8.98|N/A| CVS Health Corporation 3.875% 20-JUL-2025| 0.76%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|10.ASSET|Bond|1181.8|8.86|N/A| Shell International Finance BV 3.25% 11-MAY-2025| 0.75%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|11.ASSET|Bond|1181.8|8.51|N/A| Exxon Mobil Corporation 2.992% 19-MAR-2025| 0.72%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|12.ASSET|Bond|1181.8|8.27|N/A| MUTUAL FUND (OTHER)| 0.70%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|13.ASSET|Bond|1181.8|8.15|N/A| HCA, Inc. 5.375% 01-FEB-2025| 0.69%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|14.ASSET|Bond|1181.8|8.04|N/A| Hewlett Packard Enterprise Company 4.9% 15-OCT-2025| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCP|6|15.ASSET|Bond|1181.8|8.04|N/A| JPMorgan Chase & Co. 3.9% 15-JUL-2025| 0.68%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|1.ASSET|Bond|1041.3|165.05|N/A| U.S. Dollar| 15.85%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|2.ASSET|Bond|1041.3|52.9|N/A| UMBS TBA 10yr 11.5% December Delivery 2.000% 01-NOV-2051| 5.08%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|3.ASSET|Bond|1041.3|33.74|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 3.24%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|4.ASSET|Bond|1041.3|20.31|N/A| GNMA TBA 30yr 10.5% January Delivery 2.500% 01-SEP-2051| 1.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|5.ASSET|Bond|1041.3|19.37|N/A| GNMA TBA 30yr 10% January Delivery 2.000% 01-OCT-2051| 1.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|6.ASSET|Bond|1041.3|15.93|N/A| Federal Home Loan Mortgage Corporation 6.25% 15-JUL-2032| 1.53%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|7.ASSET|Bond|1041.3|15.41|N/A| GNMA TBA 30yr 11% January Delivery 3.000% 01-DEC-2048| 1.48%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|8.ASSET|Bond|1041.3|9.48|N/A| Tennessee Valley Authority 5.25% 15-SEP-2039| 0.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|9.ASSET|Bond|1041.3|7.6|N/A| Federal Home Loan Bank System 5.5% 15-JUL-2036| 0.73%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|10.ASSET|Bond|1041.3|6.98|N/A| GNMA TBA 30yr 11.5% February Delivery 3.500% 01-MAR-2051| 0.67%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|11.ASSET|Bond|1041.3|6.35|N/A| Federal Home Loan Mortgage Corporation 6.75% 15-MAR-2031| 0.61%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|12.ASSET|Bond|1041.3|5.21|N/A| Tennessee Valley Authority 3.5% 15-DEC-2042| 0.50%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|13.ASSET|Bond|1041.3|5.1|N/A| Tennessee Valley Authority 5.88% 01-APR-2036| 0.49%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|14.ASSET|Bond|1041.3|5|N/A| Tennessee Valley Authority 5.375% 01-APR-2056| 0.48%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AGGY|6|15.ASSET|Bond|1041.3|4.17|N/A| Federal National Mortgage Association 5.625% 15-JUL-2037| 0.40%| Developed Markets|Equity|Global Equities||DRIV|6|1.ASSET|Equity|1270.7|42.31|GOOGL| Alphabet Inc. Class A| 3.33%| Developed Markets|Equity|Global Equities||DRIV|6|2.ASSET|Equity|1270.7|41.42|AAPL| Apple Inc.| 3.26%| Developed Markets|Equity|Global Equities||DRIV|6|3.ASSET|Equity|1270.7|40.54|7203| Toyota Motor Corp.| 3.19%| Developed Markets|Equity|Global Equities||DRIV|6|4.ASSET|Equity|1270.7|39.14|QCOM| Qualcomm Inc| 3.08%| Developed Markets|Equity|Global Equities||DRIV|6|5.ASSET|Equity|1270.7|37.49|INTC| Intel Corporation| 2.95%| Developed Markets|Equity|Global Equities||DRIV|6|6.ASSET|Equity|1270.7|37.36|NVDA| NVIDIA Corporation| 2.94%| Developed Markets|Equity|Global Equities||DRIV|6|7.ASSET|Equity|1270.7|34.82|TSLA| Tesla Inc| 2.74%| Developed Markets|Equity|Global Equities||DRIV|6|8.ASSET|Equity|1270.7|32.15|HON| Honeywell International Inc.| 2.53%| Developed Markets|Equity|Global Equities||DRIV|6|9.ASSET|Equity|1270.7|27.7|MSFT| Microsoft Corporation| 2.18%| Developed Markets|Equity|Global Equities||DRIV|6|10.ASSET|Equity|1270.7|22.24|BIDU| Baidu Inc Sponsored ADR Class A| 1.75%| Developed Markets|Equity|Global Equities||DRIV|6|11.ASSET|Equity|1270.7|21.47|7267| Honda Motor Co., Ltd.| 1.69%| Developed Markets|Equity|Global Equities||DRIV|6|12.ASSET|Equity|1270.7|20.33|GM| General Motors Company| 1.60%| Developed Markets|Equity|Global Equities||DRIV|6|13.ASSET|Equity|1270.7|20.33|F| Ford Motor Company| 1.60%| Developed Markets|Equity|Global Equities||DRIV|6|14.ASSET|Equity|1270.7|19.7|ATI| Allegheny Technologies Incorporated| 1.55%| Developed Markets|Equity|Global Equities||DRIV|6|15.ASSET|Equity|1270.7|19.19|NXPI| NXP Semiconductors NV| 1.51%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|1.ASSET|Equity|661.1|67.37|GOOG| Alphabet Inc. Class C| 10.19%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|2.ASSET|Equity|661.1|61.61|AMZN| Amazon.com, Inc.| 9.32%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|3.ASSET|Equity|661.1|49.78|ADBE| Adobe Inc.| 7.53%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|4.ASSET|Equity|661.1|44.82|FB| Meta Platforms Inc. Class A| 6.78%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|5.ASSET|Equity|661.1|43.04|NFLX| Netflix, Inc.| 6.51%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|6.ASSET|Equity|661.1|30.01|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 4.54%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|7.ASSET|Equity|661.1|27.37|BKNG| Booking Holdings Inc.| 4.14%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|8.ASSET|Equity|661.1|26.18|CRM| salesforce.com, inc.| 3.96%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|9.ASSET|Equity|661.1|21.09|UBER| Uber Technologies, Inc.| 3.19%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|10.ASSET|Equity|661.1|20.56|PYPL| PayPal Holdings, Inc.| 3.11%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|11.ASSET|Equity|661.1|18.18|MELI| MercadoLibre, Inc.| 2.75%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|12.ASSET|Equity|661.1|17.45|JD| JD.com, Inc. Sponsored ADR Class A| 2.64%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|13.ASSET|Equity|661.1|16.46|SNAP| Snap, Inc. Class A| 2.49%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|14.ASSET|Equity|661.1|15.8|SHOP| Shopify, Inc. Class A| 2.39%| Developed Markets|Equity|Large Cap Growth Equities|Technology|PNQI|6|15.ASSET|Equity|661.1|14.21|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 2.15%| North America|Equity|Small Cap Blend Equities||SMLF|6|1.ASSET|Equity|1024.9|18.96|MRO| Marathon Oil Corporation| 1.85%| North America|Equity|Small Cap Blend Equities||SMLF|6|2.ASSET|Equity|1024.9|16.19|AA| Alcoa Corporation| 1.58%| North America|Equity|Small Cap Blend Equities||SMLF|6|3.ASSET|Equity|1024.9|13.12|JLL| Jones Lang LaSalle Incorporated| 1.28%| North America|Equity|Small Cap Blend Equities||SMLF|6|4.ASSET|Equity|1024.9|13.02|OVV| Ovintiv Inc| 1.27%| North America|Equity|Small Cap Blend Equities||SMLF|6|5.ASSET|Equity|1024.9|12.61|RS| Reliance Steel & Aluminum Co.| 1.23%| North America|Equity|Small Cap Blend Equities||SMLF|6|6.ASSET|Equity|1024.9|11.38|CIEN| Ciena Corporation| 1.11%| North America|Equity|Small Cap Blend Equities||SMLF|6|7.ASSET|Equity|1024.9|10.45|OGN| Organon & Co.| 1.02%| North America|Equity|Small Cap Blend Equities||SMLF|6|8.ASSET|Equity|1024.9|10.04|WSM| Williams-Sonoma, Inc.| 0.98%| North America|Equity|Small Cap Blend Equities||SMLF|6|9.ASSET|Equity|1024.9|9.53|CNXC| Concentrix Corporation| 0.93%| North America|Equity|Small Cap Blend Equities||SMLF|6|10.ASSET|Equity|1024.9|8.51|THC| Tenet Healthcare Corporation| 0.83%| North America|Equity|Small Cap Blend Equities||SMLF|6|11.ASSET|Equity|1024.9|8.4|JBL| Jabil Inc.| 0.82%| North America|Equity|Small Cap Blend Equities||SMLF|6|12.ASSET|Equity|1024.9|8.4|SYNA| Synaptics Incorporated| 0.82%| North America|Equity|Small Cap Blend Equities||SMLF|6|13.ASSET|Equity|1024.9|8.2|UTHR| United Therapeutics Corporation| 0.80%| North America|Equity|Small Cap Blend Equities||SMLF|6|14.ASSET|Equity|1024.9|8.1|NVST| Envista Holdings Corp.| 0.79%| North America|Equity|Small Cap Blend Equities||SMLF|6|15.ASSET|Equity|1024.9|7.99|CHE| Chemed Corporation| 0.78%| North America|Equity|Large Cap Blend Equities||RWL|6|1.ASSET|Equity|1219.3|50.24|WMT| Walmart Inc.| 4.12%| North America|Equity|Large Cap Blend Equities||RWL|6|2.ASSET|Equity|1219.3|36.58|AMZN| Amazon.com, Inc.| 3.00%| North America|Equity|Large Cap Blend Equities||RWL|6|3.ASSET|Equity|1219.3|30.36|AAPL| Apple Inc.| 2.49%| North America|Equity|Large Cap Blend Equities||RWL|6|4.ASSET|Equity|1219.3|28.04|XOM| Exxon Mobil Corporation| 2.30%| North America|Equity|Large Cap Blend Equities||RWL|6|5.ASSET|Equity|1219.3|26.95|BRK.B| Berkshire Hathaway Inc. Class B| 2.21%| North America|Equity|Large Cap Blend Equities||RWL|6|6.ASSET|Equity|1219.3|26.82|CVS| CVS Health Corporation| 2.20%| North America|Equity|Large Cap Blend Equities||RWL|6|7.ASSET|Equity|1219.3|26.7|MCK| McKesson Corporation| 2.19%| North America|Equity|Large Cap Blend Equities||RWL|6|8.ASSET|Equity|1219.3|25.36|UNH| UnitedHealth Group Incorporated| 2.08%| North America|Equity|Large Cap Blend Equities||RWL|6|9.ASSET|Equity|1219.3|22.44|ABC| AmerisourceBergen Corporation| 1.84%| North America|Equity|Large Cap Blend Equities||RWL|6|10.ASSET|Equity|1219.3|17.07|CI| Cigna Corporation| 1.40%| North America|Equity|Large Cap Blend Equities||RWL|6|11.ASSET|Equity|1219.3|16.7|COST| Costco Wholesale Corporation| 1.37%| North America|Equity|Large Cap Blend Equities||RWL|6|12.ASSET|Equity|1219.3|16.58|CAH| Cardinal Health, Inc.| 1.36%| North America|Equity|Large Cap Blend Equities||RWL|6|13.ASSET|Equity|1219.3|16.34|T| AT&T Inc.| 1.34%| North America|Equity|Large Cap Blend Equities||RWL|6|14.ASSET|Equity|1219.3|15.61|CVX| Chevron Corporation| 1.28%| North America|Equity|Large Cap Blend Equities||RWL|6|15.ASSET|Equity|1219.3|13.78|MSFT| Microsoft Corporation| 1.13%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|1.ASSET|Equity|1119.4|64.48|AAL| Anglo American plc| 5.76%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|2.ASSET|Equity|1119.4|57.87|RIO| Rio Tinto plc| 5.17%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|3.ASSET|Equity|1119.4|56.98|BHP| BHP Group Ltd| 5.09%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|4.ASSET|Equity|1119.4|54.4|MC| LVMH Moet Hennessy Louis Vuitton SE| 4.86%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|5.ASSET|Equity|1119.4|54.18|ROG| Roche Holding Ltd| 4.84%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|6.ASSET|Equity|1119.4|52.84|NOVO.B| Novo Nordisk A/S Class B| 4.72%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|7.ASSET|Equity|1119.4|33.25|ITX| Industria de Diseno Textil, S.A.| 2.97%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|8.ASSET|Equity|1119.4|32.35|8035| Tokyo Electron Ltd.| 2.89%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|9.ASSET|Equity|1119.4|31.23|DGE| Diageo plc| 2.79%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|10.ASSET|Equity|1119.4|28.21|DPW| Deutsche Post AG| 2.52%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|11.ASSET|Equity|1119.4|23.51|ASML| ASML Holding NV| 2.10%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|12.ASSET|Equity|1119.4|19.48|KER| Kering SA| 1.74%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|13.ASSET|Equity|1119.4|18.58|HLAG| Hapag-Lloyd AG| 1.66%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|14.ASSET|Equity|1119.4|18.13|CSL| CSL Limited| 1.62%| Broad Asia|Equity|Foreign Large Cap Equities||IHDG|6|15.ASSET|Equity|1119.4|17.01|REL| RELX PLC| 1.52%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|1.ASSET|Equity|1275.9|15.31|ROG| Roche Holding Ltd| 1.20%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|2.ASSET|Equity|1275.9|11.74|SHEL| Shell PLC Sponsored ADR| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|3.ASSET|Equity|1275.9|9.95|NESN| Nestle S.A.| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|4.ASSET|Equity|1275.9|9.7|BHP| BHP Group Limited Sponsored ADR| 0.76%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|5.ASSET|Equity|1275.9|9.06|ASML| ASML Holding NV ADR| 0.71%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|6.ASSET|Equity|1275.9|8.68|NVO| Novo Nordisk A/S Sponsored ADR Class B| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|7.ASSET|Equity|1275.9|8.42|TM| Toyota Motor Corp Sponsored ADR| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|8.ASSET|Equity|1275.9|7.78|NVS| Novartis AG Sponsored ADR| 0.61%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|9.ASSET|Equity|1275.9|7.4|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.58%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|10.ASSET|Equity|1275.9|7.15|TTE| TotalEnergies SE Sponsored ADR| 0.56%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|11.ASSET|Equity|1275.9|6.38|GSK| GlaxoSmithKline plc Sponsored ADR| 0.50%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|12.ASSET|Equity|1275.9|6.25|SONY| Sony Group Corporation Sponsored ADR| 0.49%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|13.ASSET|Equity|1275.9|5.87|HSBC| HSBC Holdings PLC Sponsored ADR| 0.46%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|14.ASSET|Equity|1275.9|5.87|RY| Royal Bank of Canada| 0.46%| Developed Markets|Equity|Foreign Large Cap Equities||AVDE|6|15.ASSET|Equity|1275.9|5.74|ZURN| Zurich Insurance Group Ltd| 0.45%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|1.ASSET|Bond|1065.8|29.31|N/A| U.S. Dollar| 2.75%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|2.ASSET|Bond|1065.8|27.6|N/A| United States Treasury Notes 0.25% 15-NOV-2023| 2.59%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|3.ASSET|Bond|1065.8|26.33|N/A| United States Treasury Notes 0.25% 15-NOV-2023| 2.47%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|4.ASSET|Bond|1065.8|22.91|N/A| United States Treasury Notes 0.5% 28-FEB-2026| 2.15%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|5.ASSET|Bond|1065.8|21.74|N/A| United States Treasury Notes 0.5% 28-FEB-2026| 2.04%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|6.ASSET|Bond|1065.8|20.04|N/A| U.S. Dollar| 1.88%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|7.ASSET|Bond|1065.8|17.48|N/A| United States Treasury Bond 1.25% 15-MAY-2050| 1.64%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|8.ASSET|Bond|1065.8|16.2|N/A| United States Treasury Notes 1.375% 30-SEP-2023| 1.52%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|9.ASSET|Bond|1065.8|15.99|N/A| United States Treasury Bond 1.25% 15-MAY-2050| 1.50%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|10.ASSET|Bond|1065.8|15.35|N/A| United States Treasury Notes 1.375% 30-SEP-2023| 1.44%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|11.ASSET|Bond|1065.8|13.75|N/A| United States Treasury Notes 0.25% 31-OCT-2025| 1.29%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|12.ASSET|Bond|1065.8|13.43|N/A| United States Treasury Notes 1.75% 15-NOV-2029| 1.26%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|13.ASSET|Bond|1065.8|13|N/A| United States Treasury Notes 0.25% 31-OCT-2025| 1.22%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|14.ASSET|Bond|1065.8|12.68|N/A| United States Treasury Notes 1.75% 15-NOV-2029| 1.19%| Developed Markets|Bond|Total Bond Market|Total Bond Market|JAGG|6|15.ASSET|Bond|1065.8|11.4|N/A| United States Treasury Bond 2.5% 15-MAY-2046| 1.07%| North America|Equity|Energy Equities|Energy|FENY|6|1.ASSET|Equity|1409.2|285.64|XOM| Exxon Mobil Corporation| 20.27%| North America|Equity|Energy Equities|Energy|FENY|6|2.ASSET|Equity|1409.2|248.16|CVX| Chevron Corporation| 17.61%| North America|Equity|Energy Equities|Energy|FENY|6|3.ASSET|Equity|1409.2|106.11|COP| ConocoPhillips| 7.53%| North America|Equity|Energy Equities|Energy|FENY|6|4.ASSET|Equity|1409.2|58.06|EOG| EOG Resources, Inc.| 4.12%| North America|Equity|Energy Equities|Energy|FENY|6|5.ASSET|Equity|1409.2|47.77|PXD| Pioneer Natural Resources Company| 3.39%| North America|Equity|Energy Equities|Energy|FENY|6|6.ASSET|Equity|1409.2|46.79|SLB| Schlumberger NV| 3.32%| North America|Equity|Energy Equities|Energy|FENY|6|7.ASSET|Equity|1409.2|41.57|MPC| Marathon Petroleum Corporation| 2.95%| North America|Equity|Energy Equities|Energy|FENY|6|8.ASSET|Equity|1409.2|38.47|OXY| Occidental Petroleum Corporation| 2.73%| North America|Equity|Energy Equities|Energy|FENY|6|9.ASSET|Equity|1409.2|33.82|WMB| Williams Companies, Inc.| 2.40%| North America|Equity|Energy Equities|Energy|FENY|6|10.ASSET|Equity|1409.2|32.13|DVN| Devon Energy Corporation| 2.28%| North America|Equity|Energy Equities|Energy|FENY|6|11.ASSET|Equity|1409.2|31.43|PSX| Phillips 66| 2.23%| North America|Equity|Energy Equities|Energy|FENY|6|12.ASSET|Equity|1409.2|31.43|KMI| Kinder Morgan Inc Class P| 2.23%| North America|Equity|Energy Equities|Energy|FENY|6|13.ASSET|Equity|1409.2|29.03|VLO| Valero Energy Corporation| 2.06%| North America|Equity|Energy Equities|Energy|FENY|6|14.ASSET|Equity|1409.2|27.34|LNG| Cheniere Energy, Inc.| 1.94%| North America|Equity|Energy Equities|Energy|FENY|6|15.ASSET|Equity|1409.2|25.51|OKE| ONEOK, Inc.| 1.81%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|1.ASSET|Preferred Stock|1043.2|85.44|AVGOP| Broadcom Inc 8.00 % Cum Conv Pfd Registered Shs 2019-30.09.22 Series A| 8.19%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|2.ASSET|Preferred Stock|1043.2|29.63|DHR.PRB| Danaher Corporation 5 % Cum Conv Pfd Registered Shs 2020-15.05.23 Class B| 2.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|3.ASSET|Preferred Stock|1043.2|29.42|NEE.PRP| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.03.25 + 1 PC 01.03.23| 2.82%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|4.ASSET|Preferred Stock|1043.2|25.98|AVTR.PRA| Avantor, Inc. Cum Conv Pfd Registered Shs Series A| 2.49%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|5.ASSET|Preferred Stock|1043.2|23.78|NEE.PRQ| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.09.25 + 1 PC 01.09.23| 2.28%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|6.ASSET|Preferred Stock|1043.2|21.49|MTCN| ArcelorMittal Luxembourg S.A. 5.5 % Mandatory Convertible Notes 2020-18.05.23| 2.06%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|7.ASSET|Preferred Stock|1043.2|20.97|SOLN| Southern Co Corporate Unit Cons of 1/40 Nts 01.08.24 + 1/40 Nts 01.08.27 + 1 PC| 2.01%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|8.ASSET|Preferred Stock|1043.2|20.55|PCGU| PG&E Corporation Corporate Units Cons of 0 US Tr STRIP + 1 PC 16.08.23| 1.97%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|9.ASSET|Preferred Stock|1043.2|20.34|NEE.PRO| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.09.24 + 1 PC 01.09.22| 1.95%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|10.ASSET|Preferred Stock|1043.2|19.3|BDXB| Becton, Dickinson and Company Depositary Shs Repr 1/20th Cum Conv Pfd Rg Shs 2020-01.06.23 Ser B| 1.85%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|11.ASSET|Preferred Stock|1043.2|19.19|DCUE| Dominion Energy Inc Corporate Units Cons of 1/10 CCRP Pfd Rg-A + 1 PC Series A| 1.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|12.ASSET|Preferred Stock|1043.2|18.57|APTV.PRA| Aptiv PLC 5.5% Conv Pfd Registered Shs Series A| 1.78%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|13.ASSET|Preferred Stock|1043.2|18.46|T.PRC| AT&T Inc Depositary Shs Repr 1/1000th 4.75 % Red Perp Pfd Shs Series C| 1.77%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|14.ASSET|Preferred Stock|1043.2|15.86|TBB| AT&T Inc 5.35 % Notes 2017-01.11.66 Global| 1.52%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFXF|6|15.ASSET|Preferred Stock|1043.2|15.75|DTP| DTE Energy Co Corporate Units Cons of 1 PC + 1/20 Notes| 1.51%| North America|Equity|Mid Cap Blend Equities||FNX|6|1.ASSET|Equity|1013|5.47|AA| Alcoa Corporation| 0.54%| North America|Equity|Mid Cap Blend Equities||FNX|6|2.ASSET|Equity|1013|5.47|APA| APA Corp.| 0.54%| North America|Equity|Mid Cap Blend Equities||FNX|6|3.ASSET|Equity|1013|5.47|AR| Antero Resources Corporation| 0.54%| North America|Equity|Mid Cap Blend Equities||FNX|6|4.ASSET|Equity|1013|5.47|OVV| Ovintiv Inc| 0.54%| North America|Equity|Mid Cap Blend Equities||FNX|6|5.ASSET|Equity|1013|5.37|MOS| Mosaic Company| 0.53%| North America|Equity|Mid Cap Blend Equities||FNX|6|6.ASSET|Equity|1013|5.17|CLR| Continental Resources, Inc.| 0.51%| North America|Equity|Mid Cap Blend Equities||FNX|6|7.ASSET|Equity|1013|5.07|TRGP| Targa Resources Corp.| 0.50%| North America|Equity|Mid Cap Blend Equities||FNX|6|8.ASSET|Equity|1013|4.96|FANG| Diamondback Energy, Inc.| 0.49%| North America|Equity|Mid Cap Blend Equities||FNX|6|9.ASSET|Equity|1013|4.86|DISCA| Discovery, Inc. Class A| 0.48%| North America|Equity|Mid Cap Blend Equities||FNX|6|10.ASSET|Equity|1013|4.76|X| United States Steel Corporation| 0.47%| North America|Equity|Mid Cap Blend Equities||FNX|6|11.ASSET|Equity|1013|4.76|STLD| Steel Dynamics, Inc.| 0.47%| North America|Equity|Mid Cap Blend Equities||FNX|6|12.ASSET|Equity|1013|4.66|KSS| Kohl\'s Corporation| 0.46%| North America|Equity|Mid Cap Blend Equities||FNX|6|13.ASSET|Equity|1013|4.56|BG| Bunge Limited| 0.45%| North America|Equity|Mid Cap Blend Equities||FNX|6|14.ASSET|Equity|1013|4.56|RDN| Radian Group Inc.| 0.45%| North America|Equity|Mid Cap Blend Equities||FNX|6|15.ASSET|Equity|1013|4.56|UNM| Unum Group| 0.45%| Global|Equity|Materials|Materials|COPX|6|1.ASSET|Equity|1929.2|113.05|5713| Sumitomo Metal Mining Co., Ltd.| 5.86%| Global|Equity|Materials|Materials|COPX|6|2.ASSET|Equity|1929.2|111.89|TECK.B| Teck Resources Limited Class B| 5.80%| Global|Equity|Materials|Materials|COPX|6|3.ASSET|Equity|1929.2|106.11|FCX| Freeport-McMoRan, Inc.| 5.50%| Global|Equity|Materials|Materials|COPX|6|4.ASSET|Equity|1929.2|105.91|BOL| Boliden AB| 5.49%| Global|Equity|Materials|Materials|COPX|6|5.ASSET|Equity|1929.2|103.41|BHP| BHP Group Ltd| 5.36%| Global|Equity|Materials|Materials|COPX|6|6.ASSET|Equity|1929.2|101.67|FM| First Quantum Minerals Ltd.| 5.27%| Global|Equity|Materials|Materials|COPX|6|7.ASSET|Equity|1929.2|97.81|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 5.07%| Global|Equity|Materials|Materials|COPX|6|8.ASSET|Equity|1929.2|97.62|IVN| Ivanhoe Mines Ltd. Class A| 5.06%| Global|Equity|Materials|Materials|COPX|6|9.ASSET|Equity|1929.2|95.3|GLEN| Glencore plc| 4.94%| Global|Equity|Materials|Materials|COPX|6|10.ASSET|Equity|1929.2|94.92|LUN| Lundin Mining Corporation| 4.92%| Global|Equity|Materials|Materials|COPX|6|11.ASSET|Equity|1929.2|93.76|SCCO| Southern Copper Corporation| 4.86%| Global|Equity|Materials|Materials|COPX|6|12.ASSET|Equity|1929.2|90.87|2899| Zijin Mining Group Co., Ltd. Class H| 4.71%| Global|Equity|Materials|Materials|COPX|6|13.ASSET|Equity|1929.2|86.04|ANTO| Antofagasta plc| 4.46%| Global|Equity|Materials|Materials|COPX|6|14.ASSET|Equity|1929.2|85.66|OZL| OZ Minerals Limited| 4.44%| Global|Equity|Materials|Materials|COPX|6|15.ASSET|Equity|1929.2|81.61|KGH| KGHM Polska Miedz S.A.| 4.23%| North America|Volatility|Leveraged Volatility||UVXY|6|1.ASSET|Volatility|867.7|867.7|N/A| CBOE Volatility Index (VIX) Futures| 100.00%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|1.ASSET|Bond|1028.9|10.8|N/A| Molson Coors Beverage Company 3.0% 15-JUL-2026| 1.05%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|2.ASSET|Bond|1028.9|9.16|N/A| Kellogg Company 3.25% 01-APR-2026| 0.89%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|3.ASSET|Bond|1028.9|8.03|N/A| Automatic Data Processing, Inc. 3.375% 15-SEP-2025| 0.78%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|4.ASSET|Bond|1028.9|7.92|N/A| Banco Bilbao Vizcaya Argentaria Sociedad Anonima 1.125% 18-SEP-2025| 0.77%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|5.ASSET|Bond|1028.9|7.92|N/A| Avangrid, Inc. 3.2% 15-APR-2025| 0.77%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|6.ASSET|Bond|1028.9|7.82|N/A| Bank of Nova Scotia 1.05% 02-MAR-2026| 0.76%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|7.ASSET|Bond|1028.9|7.61|N/A| Trane Technologies Global Holding Co. Ltd. 4.25% 15-JUN-2023| 0.74%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|8.ASSET|Bond|1028.9|7.51|N/A| RELX Capital, Inc. 3.5% 16-MAR-2023| 0.73%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|9.ASSET|Bond|1028.9|7.41|N/A| Intesa Sanpaolo S.p.A. 5.25% 12-JAN-2024| 0.72%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|10.ASSET|Bond|1028.9|7.2|N/A| Target Corporation 2.5% 15-APR-2026| 0.70%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|11.ASSET|Bond|1028.9|6.48|N/A| Target Corporation 2.25% 15-APR-2025| 0.63%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|12.ASSET|Bond|1028.9|5.66|N/A| Trane Technologies Luxembourg Finance SA 3.55% 01-NOV-2024| 0.55%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|13.ASSET|Bond|1028.9|5.45|N/A| International Business Machines Corporation 3.45% 19-FEB-2026| 0.53%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|14.ASSET|Bond|1028.9|5.25|N/A| International Business Machines Corporation 3.0% 15-MAY-2024| 0.51%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSB|6|15.ASSET|Bond|1028.9|5.14|N/A| Diageo Capital Plc 1.375% 29-SEP-2025| 0.50%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|1.ASSET|Bond|1276.4|49.01|N/A| CORPORATE BOND| 3.84%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|2.ASSET|Bond|1276.4|29.61|N/A| United States Treasury Notes 1.0% 15-DEC-2024| 2.32%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|3.ASSET|Bond|1276.4|24.89|N/A| United States Treasury Notes 2.0% 30-APR-2024| 1.95%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|4.ASSET|Bond|1276.4|21.7|N/A| United States Treasury Notes 0.25% 15-NOV-2023| 1.70%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|5.ASSET|Bond|1276.4|20.93|N/A| United States Treasury Notes 1.0% 31-JUL-2028| 1.64%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|6.ASSET|Bond|1276.4|19.66|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 1.54%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|7.ASSET|Bond|1276.4|19.53|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 1.53%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|8.ASSET|Bond|1276.4|15.7|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 1.23%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|9.ASSET|Bond|1276.4|15.19|N/A| U.S. Dollar| 1.19%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|10.ASSET|Bond|1276.4|14.55|N/A| United States Treasury Notes 1.25% 30-JUN-2028| 1.14%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|11.ASSET|Bond|1276.4|12.51|N/A| United States Treasury Notes 0.125% 31-JUL-2022| 0.98%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|12.ASSET|Bond|1276.4|12.38|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 0.97%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|13.ASSET|Bond|1276.4|12.25|N/A| United States Treasury Notes 0.625% 30-NOV-2027| 0.96%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|14.ASSET|Bond|1276.4|11.36|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 0.89%| North America|Bond|Total Bond Market|Total Bond Market|UITB|6|15.ASSET|Bond|1276.4|10.08|N/A| United States Treasury Notes 0.125% 30-JUN-2022| 0.79%| Broad Asia|Equity|Materials|Materials|REMX|6|1.ASSET|Equity|1008.7|75.75|PLS| Pilbara Minerals Limited| 7.51%| Broad Asia|Equity|Materials|Materials|REMX|6|2.ASSET|Equity|1008.7|73.53|603799| Zhejiang Huayou Cobalt Co. Ltd. Class A| 7.29%| Broad Asia|Equity|Materials|Materials|REMX|6|3.ASSET|Equity|1008.7|72.12|LYC| Lynas Rare Earths Limited| 7.15%| Broad Asia|Equity|Materials|Materials|REMX|6|4.ASSET|Equity|1008.7|71.82|600111| China Northern Rare Earth (Group) High-Tech Co., Ltd. Class A| 7.12%| Broad Asia|Equity|Materials|Materials|REMX|6|5.ASSET|Equity|1008.7|67.38|1772| Ganfeng Lithium Co., Ltd. Class H| 6.68%| Broad Asia|Equity|Materials|Materials|REMX|6|6.ASSET|Equity|1008.7|62.24|AVZ| AVZ Minerals Ltd.| 6.17%| Broad Asia|Equity|Materials|Materials|REMX|6|7.ASSET|Equity|1008.7|57.9|ILU| Iluka Resources Limited| 5.74%| Broad Asia|Equity|Materials|Materials|REMX|6|8.ASSET|Equity|1008.7|56.39|AKE| Allkem Limited| 5.59%| Broad Asia|Equity|Materials|Materials|REMX|6|9.ASSET|Equity|1008.7|50.74|AMG| AMG Advanced Metallurgical Group N.V.| 5.03%| Broad Asia|Equity|Materials|Materials|REMX|6|10.ASSET|Equity|1008.7|48.62|600392| Shenghe Resources Holding Co., Ltd. Class A| 4.82%| Broad Asia|Equity|Materials|Materials|REMX|6|11.ASSET|Equity|1008.7|45.9|LTR| Liontown Resources Limited| 4.55%| Broad Asia|Equity|Materials|Materials|REMX|6|12.ASSET|Equity|1008.7|45.09|ERA| Eramet SA| 4.47%| Broad Asia|Equity|Materials|Materials|REMX|6|13.ASSET|Equity|1008.7|42.57|MP| MP Materials Corp Class A| 4.22%| Broad Asia|Equity|Materials|Materials|REMX|6|14.ASSET|Equity|1008.7|39.74|600549| Xiamen Tungsten Co. Ltd. Class A| 3.94%| Broad Asia|Equity|Materials|Materials|REMX|6|15.ASSET|Equity|1008.7|38.63|LAC| Lithium Americas Corp.| 3.83%| North America|Equity|Leveraged Equities|Technology|ROM|6|1.ASSET|Equity|794.1|156.6|AAPL| Apple Inc.| 19.72%| North America|Equity|Leveraged Equities|Technology|ROM|6|2.ASSET|Equity|794.1|136.35|MSFT| Microsoft Corporation| 17.17%| North America|Equity|Leveraged Equities|Technology|ROM|6|3.ASSET|Equity|794.1|49.63|GOOGL| Alphabet Inc. Class A| 6.25%| North America|Equity|Leveraged Equities|Technology|ROM|6|4.ASSET|Equity|794.1|46.22|GOOG| Alphabet Inc. Class C| 5.82%| North America|Equity|Leveraged Equities|Technology|ROM|6|5.ASSET|Equity|794.1|45.74|N/A| U.S. Dollar| 5.76%| North America|Equity|Leveraged Equities|Technology|ROM|6|6.ASSET|Equity|794.1|36.13|NVDA| NVIDIA Corporation| 4.55%| North America|Equity|Leveraged Equities|Technology|ROM|6|7.ASSET|Equity|794.1|29.62|FB| Meta Platforms Inc. Class A| 3.73%| North America|Equity|Leveraged Equities|Technology|ROM|6|8.ASSET|Equity|794.1|14.45|AVGO| Broadcom Inc.| 1.82%| North America|Equity|Leveraged Equities|Technology|ROM|6|9.ASSET|Equity|794.1|14.21|CSCO| Cisco Systems, Inc.| 1.79%| North America|Equity|Leveraged Equities|Technology|ROM|6|10.ASSET|Equity|794.1|13.66|ADBE| Adobe Inc.| 1.72%| North America|Equity|Leveraged Equities|Technology|ROM|6|11.ASSET|Equity|794.1|12.55|CRM| salesforce.com, inc.| 1.58%| North America|Equity|Leveraged Equities|Technology|ROM|6|12.ASSET|Equity|794.1|11.75|INTC| Intel Corporation| 1.48%| North America|Equity|Leveraged Equities|Technology|ROM|6|13.ASSET|Equity|794.1|11.44|AMD| Advanced Micro Devices, Inc.| 1.44%| North America|Equity|Leveraged Equities|Technology|ROM|6|14.ASSET|Equity|794.1|11.28|QCOM| Qualcomm Inc| 1.42%| North America|Equity|Leveraged Equities|Technology|ROM|6|15.ASSET|Equity|794.1|9.53|TXN| Texas Instruments Incorporated| 1.20%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|1.ASSET|Equity|913.4|114.91|700| Tencent Holdings Ltd.| 12.58%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|2.ASSET|Equity|913.4|73.07|9988| Alibaba Group Holding Ltd.| 8.00%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|3.ASSET|Equity|913.4|34.89|3690| Meituan Class B| 3.82%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|4.ASSET|Equity|913.4|29.32|9618| JD.com, Inc. Class A| 3.21%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|5.ASSET|Equity|913.4|22.01|300750| Contemporary Amperex Technology Co., Ltd. Class A| 2.41%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|6.ASSET|Equity|913.4|18.72|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 2.05%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|7.ASSET|Equity|913.4|18.36|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 2.01%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|8.ASSET|Equity|913.4|15.89|9888| Baidu, Inc. Class A| 1.74%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|9.ASSET|Equity|913.4|14.25|601012| LONGi Green Energy Technology Co Ltd Class A| 1.56%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|10.ASSET|Equity|913.4|13.88|2269| Wuxi Biologics (Cayman) Inc.| 1.52%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|11.ASSET|Equity|913.4|13.61|9999| NetEase, Inc| 1.49%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|12.ASSET|Equity|913.4|12.7|NIO| NIO Inc. Sponsored ADR Class A| 1.39%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|13.ASSET|Equity|913.4|10.41|2331| Li Ning Company Limited| 1.14%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|14.ASSET|Equity|913.4|9.96|YUMC| Yum China Holdings, Inc.| 1.09%| Emerging Asia Pacific|Equity|China Equities||CXSE|6|15.ASSET|Equity|913.4|9.86|300059| East Money Information Co., Ltd Class A| 1.08%| North America|Equity|Small Cap Blend Equities||REGL|6|1.ASSET|Equity|1071.5|28.07|RGLD| Royal Gold, Inc.| 2.62%| North America|Equity|Small Cap Blend Equities||REGL|6|2.ASSET|Equity|1071.5|24.86|OGS| ONE Gas, Inc.| 2.32%| North America|Equity|Small Cap Blend Equities||REGL|6|3.ASSET|Equity|1071.5|24.86|NJR| New Jersey Resources Corporation| 2.32%| North America|Equity|Small Cap Blend Equities||REGL|6|4.ASSET|Equity|1071.5|24.32|SWX| Southwest Gas Holdings, Inc.| 2.27%| North America|Equity|Small Cap Blend Equities||REGL|6|5.ASSET|Equity|1071.5|24|PII| Polaris Inc.| 2.24%| North America|Equity|Small Cap Blend Equities||REGL|6|6.ASSET|Equity|1071.5|23.68|NFG| National Fuel Gas Company| 2.21%| North America|Equity|Small Cap Blend Equities||REGL|6|7.ASSET|Equity|1071.5|23.68|ORI| Old Republic International Corporation| 2.21%| North America|Equity|Small Cap Blend Equities||REGL|6|8.ASSET|Equity|1071.5|23.68|SR| Spire Inc.| 2.21%| North America|Equity|Small Cap Blend Equities||REGL|6|9.ASSET|Equity|1071.5|23.47|NWE| NorthWestern Corporation| 2.19%| North America|Equity|Small Cap Blend Equities||REGL|6|10.ASSET|Equity|1071.5|23.25|BKH| Black Hills Corporation| 2.17%| North America|Equity|Small Cap Blend Equities||REGL|6|11.ASSET|Equity|1071.5|23.25|R| Ryder System, Inc.| 2.17%| North America|Equity|Small Cap Blend Equities||REGL|6|12.ASSET|Equity|1071.5|23.14|CFR| Cullen/Frost Bankers, Inc.| 2.16%| North America|Equity|Small Cap Blend Equities||REGL|6|13.ASSET|Equity|1071.5|23.04|LANC| Lancaster Colony Corporation| 2.15%| North America|Equity|Small Cap Blend Equities||REGL|6|14.ASSET|Equity|1071.5|23.04|AFG| American Financial Group, Inc.| 2.15%| North America|Equity|Small Cap Blend Equities||REGL|6|15.ASSET|Equity|1071.5|23.04|ATR| Aptargroup, Inc.| 2.15%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|1.ASSET|Bond|908.4|33.25|N/A| U.S. Dollar| 3.66%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|2.ASSET|Bond|908.4|15.17|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 1.67%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|3.ASSET|Bond|908.4|12.9|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 1.42%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|4.ASSET|Bond|908.4|10.72|N/A| Bank of America Corporation 5.875% 07-FEB-2042| 1.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|5.ASSET|Bond|908.4|9.99|N/A| AstraZeneca PLC 6.45% 15-SEP-2037| 1.10%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|6.ASSET|Bond|908.4|9.81|N/A| GlaxoSmithKline Capital, Inc. 6.375% 15-MAY-2038| 1.08%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|7.ASSET|Bond|908.4|9.27|N/A| International Business Machines Corporation 3.5% 15-MAY-2029| 1.02%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|8.ASSET|Bond|908.4|8.36|N/A| Home Depot, Inc. 5.875% 16-DEC-2036| 0.92%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|9.ASSET|Bond|908.4|7.81|N/A| Pfizer Inc. 7.2% 15-MAR-2039| 0.86%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|10.ASSET|Bond|908.4|7.81|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 0.86%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|11.ASSET|Bond|908.4|7.63|N/A| United Technologies Corporation 4.5% 01-JUN-2042| 0.84%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|12.ASSET|Bond|908.4|7.54|N/A| Vodafone Group Plc 4.375% 30-MAY-2028| 0.83%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|13.ASSET|Bond|908.4|7.45|N/A| General Electric Capital Corporation 6.75% 15-MAR-2032| 0.82%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|14.ASSET|Bond|908.4|7.45|N/A| Oracle Corporation 6.5% 15-APR-2038| 0.82%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGHG|6|15.ASSET|Bond|908.4|7.36|N/A| HSBC Holdings Plc 4.95% 31-MAR-2030| 0.81%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|1.ASSET|Equity|948.6|22.39|AMD| Advanced Micro Devices, Inc.| 2.36%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|2.ASSET|Equity|948.6|13.85|DOX| Amdocs Limited| 1.46%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|3.ASSET|Equity|948.6|13.66|HPE| Hewlett Packard Enterprise Co.| 1.44%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|4.ASSET|Equity|948.6|13.56|MU| Micron Technology, Inc.| 1.43%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|5.ASSET|Equity|948.6|13.09|VMW| VMware, Inc. Class A| 1.38%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|6.ASSET|Equity|948.6|13.09|BT.A| BT Group plc| 1.38%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|7.ASSET|Equity|948.6|13.09|9432| Nippon Telegraph and Telephone Corporation| 1.38%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|8.ASSET|Equity|948.6|13.09|3045| Taiwan Mobile Co., Ltd.| 1.38%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|9.ASSET|Equity|948.6|12.9|LITE| Lumentum Holdings, Inc.| 1.36%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|10.ASSET|Equity|948.6|12.9|JNPR| Juniper Networks, Inc.| 1.36%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|11.ASSET|Equity|948.6|12.52|CONE| CyrusOne Inc.| 1.32%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|12.ASSET|Equity|948.6|12.43|AVGO| Broadcom Inc.| 1.31%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|13.ASSET|Equity|948.6|12.43|IBM| International Business Machines Corporation| 1.31%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|14.ASSET|Equity|948.6|12.33|992| Lenovo Group Limited| 1.30%| Developed Markets|Equity|Large Cap Blend Equities|Telecom|NXTG|6|15.ASSET|Equity|948.6|12.24|788| China Tower Corp. Ltd. Class H| 1.29%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|1.ASSET|Bond|1178.4|58.21|N/A| UMBS TBA 30yr 2.5% April Delivery 2.500% 01-JAN-2052| 4.94%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|2.ASSET|Bond|1178.4|58.1|N/A| UMBS TBA 10yr 11.5% March Delivery 2.500% 01-JAN-2052| 4.93%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|3.ASSET|Bond|1178.4|52.79|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-NOV-2051| 4.48%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|4.ASSET|Bond|1178.4|49.61|N/A| UMBS TBA 10yr 11.5% December Delivery 2.000% 01-NOV-2051| 4.21%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|5.ASSET|Bond|1178.4|40.07|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 3.40%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|6.ASSET|Bond|1178.4|34.88|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.96%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|7.ASSET|Bond|1178.4|34.88|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.96%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|8.ASSET|Bond|1178.4|32.29|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 2.74%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|9.ASSET|Bond|1178.4|30.87|N/A| U.S. Dollar| 2.62%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|10.ASSET|Bond|1178.4|27.81|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 2.36%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|11.ASSET|Bond|1178.4|27.69|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 2.35%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|12.ASSET|Bond|1178.4|26.04|N/A| U.S. Dollar| 2.21%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|13.ASSET|Bond|1178.4|24.63|N/A| GNMA TBA 30yr 11% January Delivery 3.000% 01-DEC-2048| 2.09%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|14.ASSET|Bond|1178.4|23.45|N/A| GNMA II TBA 30yr 3% March Delivery 3.000% 01-DEC-2048| 1.99%| North America|Bond|Total Bond Market|Total Bond Market|HTRB|6|15.ASSET|Bond|1178.4|23.1|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 1.96%| Latin America|Equity|Latin America Equities||EWW|6|1.ASSET|Equity|725.4|118.24|AMXL| America Movil SAB de CV Class L| 16.30%| Latin America|Equity|Latin America Equities||EWW|6|2.ASSET|Equity|725.4|77.26|WALMEX| Wal-Mart de Mexico SAB de CV| 10.65%| Latin America|Equity|Latin America Equities||EWW|6|3.ASSET|Equity|725.4|68.04|GFNORTEO| Grupo Financiero Banorte SAB de CV Class O| 9.38%| Latin America|Equity|Latin America Equities||EWW|6|4.ASSET|Equity|725.4|58.25|FEMSAUBD| Fomento Economico Mexicano SAB de CV Units Cons. Of 1 ShsB And 4 ShsD| 8.03%| Latin America|Equity|Latin America Equities||EWW|6|5.ASSET|Equity|725.4|33.8|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 4.66%| Latin America|Equity|Latin America Equities||EWW|6|6.ASSET|Equity|725.4|28.87|CEMEXCPO| Cemex SAB de CV Cert Part Ord Repr 2 ShsA & 1 ShsB| 3.98%| Latin America|Equity|Latin America Equities||EWW|6|7.ASSET|Equity|725.4|23|GAPB| Grupo Aeroportuario del Pacifico SAB de CV Class B| 3.17%| Latin America|Equity|Latin America Equities||EWW|6|8.ASSET|Equity|725.4|21.91|TLEVISACPO| Grupo Televisa, S.A.B.| 3.02%| Latin America|Equity|Latin America Equities||EWW|6|9.ASSET|Equity|725.4|21.11|BIMBOA| Grupo Bimbo SAB de CV Class A| 2.91%| Latin America|Equity|Latin America Equities||EWW|6|10.ASSET|Equity|725.4|19.59|ASURB| Grupo Aeroportuario del Sureste SA de CV Class B| 2.70%| Latin America|Equity|Latin America Equities||EWW|6|11.ASSET|Equity|725.4|16.83|GFINBURO| Grupo Financiero Inbursa SAB de CV Class O| 2.32%| Latin America|Equity|Latin America Equities||EWW|6|12.ASSET|Equity|725.4|16.1|FUNO11| Fibra Uno Administracion SA de CV| 2.22%| Latin America|Equity|Latin America Equities||EWW|6|13.ASSET|Equity|725.4|13.27|AC| Arca Continental SAB de CV| 1.83%| Latin America|Equity|Latin America Equities||EWW|6|14.ASSET|Equity|725.4|12.98|GRUMAB| Gruma SAB de CV Class B| 1.79%| Latin America|Equity|Latin America Equities||EWW|6|15.ASSET|Equity|725.4|12.69|ORBIA| Orbia Advance Corp. SAB de CV| 1.75%| North America|Equity|Large Cap Blend Equities||CFO|6|1.ASSET|Equity|1004.2|4.42|HSY| Hershey Company| 0.44%| North America|Equity|Large Cap Blend Equities||CFO|6|2.ASSET|Equity|1004.2|4.22|N/A| U.S. Dollar| 0.42%| North America|Equity|Large Cap Blend Equities||CFO|6|3.ASSET|Equity|1004.2|3.92|KO| Coca-Cola Company| 0.39%| North America|Equity|Large Cap Blend Equities||CFO|6|4.ASSET|Equity|1004.2|3.92|LMT| Lockheed Martin Corporation| 0.39%| North America|Equity|Large Cap Blend Equities||CFO|6|5.ASSET|Equity|1004.2|3.92|CERN| Cerner Corporation| 0.39%| North America|Equity|Large Cap Blend Equities||CFO|6|6.ASSET|Equity|1004.2|3.92|PG| Procter & Gamble Company| 0.39%| North America|Equity|Large Cap Blend Equities||CFO|6|7.ASSET|Equity|1004.2|3.82|PEP| PepsiCo, Inc.| 0.38%| North America|Equity|Large Cap Blend Equities||CFO|6|8.ASSET|Equity|1004.2|3.72|COST| Costco Wholesale Corporation| 0.37%| North America|Equity|Large Cap Blend Equities||CFO|6|9.ASSET|Equity|1004.2|3.72|BRK.B| Berkshire Hathaway Inc. Class B| 0.37%| North America|Equity|Large Cap Blend Equities||CFO|6|10.ASSET|Equity|1004.2|3.72|MKC| McCormick & Company, Incorporated| 0.37%| North America|Equity|Large Cap Blend Equities||CFO|6|11.ASSET|Equity|1004.2|3.72|CHD| Church & Dwight Co., Inc.| 0.37%| North America|Equity|Large Cap Blend Equities||CFO|6|12.ASSET|Equity|1004.2|3.62|VZ| Verizon Communications Inc.| 0.36%| North America|Equity|Large Cap Blend Equities||CFO|6|13.ASSET|Equity|1004.2|3.62|MDLZ| Mondelez International, Inc. Class A| 0.36%| North America|Equity|Large Cap Blend Equities||CFO|6|14.ASSET|Equity|1004.2|3.62|NOC| Northrop Grumman Corporation| 0.36%| North America|Equity|Large Cap Blend Equities||CFO|6|15.ASSET|Equity|1004.2|3.62|ED| Consolidated Edison, Inc.| 0.36%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|1.ASSET|Bond|955.6|27.62|N/A| CORPORATE BOND| 2.89%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|2.ASSET|Bond|955.6|24.18|N/A| Federal Home Loan Bank System 0.0% 03-MAR-2022| 2.53%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|3.ASSET|Bond|955.6|15.39|N/A| Verizon Communications Inc. 3.4% 22-MAR-2041| 1.61%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|4.ASSET|Bond|955.6|14.33|N/A| Delta Airlines, Inc. Retirement Plan 4.5% 20-OCT-2025| 1.50%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|5.ASSET|Bond|955.6|12.9|N/A| Bank of America Corporation 4.183% 25-NOV-2027| 1.35%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|6.ASSET|Bond|955.6|12.61|N/A| Vistra Operations Co. LLC 3.55% 15-JUL-2024| 1.32%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|7.ASSET|Bond|955.6|12.52|N/A| Credit Agricole 4.375% 17-MAR-2025| 1.31%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|8.ASSET|Bond|955.6|12.33|N/A| Imperial Brands Finance Plc 4.25% 21-JUL-2025| 1.29%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|9.ASSET|Bond|955.6|12.23|N/A| Tencent Holdings Ltd. 3.595% 19-JAN-2028| 1.28%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|10.ASSET|Bond|955.6|12.23|N/A| BNP Paribas S.A. 4.705% 10-JAN-2025| 1.28%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|11.ASSET|Bond|955.6|11.95|N/A| BPCE SA 5.7% 22-OCT-2023| 1.25%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|12.ASSET|Bond|955.6|11.85|N/A| Las Vegas Sands Corp. 3.2% 08-AUG-2024| 1.24%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|13.ASSET|Bond|955.6|11.66|N/A| AT&T Inc. 3.5% 01-JUN-2041| 1.22%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|14.ASSET|Bond|955.6|11.08|N/A| HSBC Holdings Plc 1.645% 18-APR-2026| 1.16%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|FLCO|6|15.ASSET|Bond|955.6|10.89|N/A| National Australia Bank Limited 2.332% 21-AUG-2030| 1.14%| North America|Equity|Large Cap Growth Equities||QUS|6|1.ASSET|Equity|940|28.48|AAPL| Apple Inc.| 3.03%| North America|Equity|Large Cap Growth Equities||QUS|6|2.ASSET|Equity|940|26.13|MSFT| Microsoft Corporation| 2.78%| North America|Equity|Large Cap Growth Equities||QUS|6|3.ASSET|Equity|940|21.43|JNJ| Johnson & Johnson| 2.28%| North America|Equity|Large Cap Growth Equities||QUS|6|4.ASSET|Equity|940|19.18|UNH| UnitedHealth Group Incorporated| 2.04%| North America|Equity|Large Cap Growth Equities||QUS|6|5.ASSET|Equity|940|15.98|V| Visa Inc. Class A| 1.70%| North America|Equity|Large Cap Growth Equities||QUS|6|6.ASSET|Equity|940|14.85|GOOG| Alphabet Inc. Class C| 1.58%| North America|Equity|Large Cap Growth Equities||QUS|6|7.ASSET|Equity|940|14.57|MA| Mastercard Incorporated Class A| 1.55%| North America|Equity|Large Cap Growth Equities||QUS|6|8.ASSET|Equity|940|13.82|CSCO| Cisco Systems, Inc.| 1.47%| North America|Equity|Large Cap Growth Equities||QUS|6|9.ASSET|Equity|940|13.16|NVDA| NVIDIA Corporation| 1.40%| North America|Equity|Large Cap Growth Equities||QUS|6|10.ASSET|Equity|940|12.78|FB| Meta Platforms Inc. Class A| 1.36%| North America|Equity|Large Cap Growth Equities||QUS|6|11.ASSET|Equity|940|12.6|BRK.B| Berkshire Hathaway Inc. Class B| 1.34%| North America|Equity|Large Cap Growth Equities||QUS|6|12.ASSET|Equity|940|11.56|ACN| Accenture Plc Class A| 1.23%| North America|Equity|Large Cap Growth Equities||QUS|6|13.ASSET|Equity|940|11.37|ADBE| Adobe Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||QUS|6|14.ASSET|Equity|940|11.09|MRK| Merck & Co., Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||QUS|6|15.ASSET|Equity|940|10.81|GOOGL| Alphabet Inc. Class A| 1.15%| Global|Commodity|Commodities||KRBN|6|1.ASSET|Commodity|1448.8|825.53|N/A| U.S. Dollar| 56.98%| Global|Commodity|Commodities||KRBN|6|2.ASSET|Commodity|1448.8|545.47|N/A| EQUITY OTHER| 37.65%| Global|Commodity|Commodities||KRBN|6|3.ASSET|Commodity|1448.8|77.8|SCHO| Schwab Short-Term US Treasury ETF| 5.37%| |Commodity|Precious Metals||SIVR|6|1.ASSET|Commodity|1094.9|1094.9|N/A| Silver| 100.00%| North America|Equity|Mid Cap Growth Equities||XMMO|6|1.ASSET|Equity|925|31.36|CLF| Cleveland-Cliffs Inc| 3.39%| North America|Equity|Mid Cap Growth Equities||XMMO|6|2.ASSET|Equity|925|29.42|CPRI| Capri Holdings Limited| 3.18%| North America|Equity|Mid Cap Growth Equities||XMMO|6|3.ASSET|Equity|925|27.2|STLD| Steel Dynamics, Inc.| 2.94%| North America|Equity|Mid Cap Growth Equities||XMMO|6|4.ASSET|Equity|925|27.01|CPT| Camden Property Trust| 2.92%| North America|Equity|Mid Cap Growth Equities||XMMO|6|5.ASSET|Equity|925|22.48|DAR| Darling Ingredients Inc.| 2.43%| North America|Equity|Mid Cap Growth Equities||XMMO|6|6.ASSET|Equity|925|22.11|GME| GameStop Corp. Class A| 2.39%| North America|Equity|Mid Cap Growth Equities||XMMO|6|7.ASSET|Equity|925|22.02|TRGP| Targa Resources Corp.| 2.38%| North America|Equity|Mid Cap Growth Equities||XMMO|6|8.ASSET|Equity|925|21.28|OLN| Olin Corporation| 2.30%| North America|Equity|Mid Cap Growth Equities||XMMO|6|9.ASSET|Equity|925|20.44|AFG| American Financial Group, Inc.| 2.21%| North America|Equity|Mid Cap Growth Equities||XMMO|6|10.ASSET|Equity|925|20.35|JLL| Jones Lang LaSalle Incorporated| 2.20%| North America|Equity|Mid Cap Growth Equities||XMMO|6|11.ASSET|Equity|925|19.89|LSI| Life Storage, Inc.| 2.15%| North America|Equity|Mid Cap Growth Equities||XMMO|6|12.ASSET|Equity|925|18.13|CSL| Carlisle Companies Incorporated| 1.96%| North America|Equity|Mid Cap Growth Equities||XMMO|6|13.ASSET|Equity|925|17.3|MIDD| Middleby Corporation| 1.87%| North America|Equity|Mid Cap Growth Equities||XMMO|6|14.ASSET|Equity|925|16.65|X| United States Steel Corporation| 1.80%| North America|Equity|Mid Cap Growth Equities||XMMO|6|15.ASSET|Equity|925|16.47|SLM| SLM Corp| 1.78%| North America|Equity|Financials Equities|Financials|IAI|6|1.ASSET|Equity|760.9|150.35|MS| Morgan Stanley| 19.76%| North America|Equity|Financials Equities|Financials|IAI|6|2.ASSET|Equity|760.9|135.29|GS| Goldman Sachs Group, Inc.| 17.78%| North America|Equity|Financials Equities|Financials|IAI|6|3.ASSET|Equity|760.9|41.39|SCHW| Charles Schwab Corporation| 5.44%| North America|Equity|Financials Equities|Financials|IAI|6|4.ASSET|Equity|760.9|39.95|RJF| Raymond James Financial, Inc.| 5.25%| North America|Equity|Financials Equities|Financials|IAI|6|5.ASSET|Equity|760.9|39.03|LPLA| LPL Financial Holdings Inc.| 5.13%| North America|Equity|Financials Equities|Financials|IAI|6|6.ASSET|Equity|760.9|38.05|CME| CME Group Inc. Class A| 5.00%| North America|Equity|Financials Equities|Financials|IAI|6|7.ASSET|Equity|760.9|36.68|MKTX| MarketAxess Holdings Inc.| 4.82%| North America|Equity|Financials Equities|Financials|IAI|6|8.ASSET|Equity|760.9|35.76|ICE| Intercontinental Exchange, Inc.| 4.70%| North America|Equity|Financials Equities|Financials|IAI|6|9.ASSET|Equity|760.9|33.71|CBOE| Cboe Global Markets Inc| 4.43%| North America|Equity|Financials Equities|Financials|IAI|6|10.ASSET|Equity|760.9|30.97|NDAQ| Nasdaq, Inc.| 4.07%| North America|Equity|Financials Equities|Financials|IAI|6|11.ASSET|Equity|760.9|27.32|SF| Stifel Financial Corp.| 3.59%| North America|Equity|Financials Equities|Financials|IAI|6|12.ASSET|Equity|760.9|25.03|JEF| Jefferies Financial Group Inc.| 3.29%| North America|Equity|Financials Equities|Financials|IAI|6|13.ASSET|Equity|760.9|20.39|IBKR| Interactive Brokers Group, Inc. Class A| 2.68%| North America|Equity|Financials Equities|Financials|IAI|6|14.ASSET|Equity|760.9|19.1|HLI| Houlihan Lokey, Inc. Class A| 2.51%| North America|Equity|Financials Equities|Financials|IAI|6|15.ASSET|Equity|760.9|17.73|EVR| Evercore Inc Class A| 2.33%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|1.ASSET|Equity|1293|21.21|KO| Coca-Cola Company| 1.64%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|2.ASSET|Equity|1293|21.08|LMT| Lockheed Martin Corporation| 1.63%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|3.ASSET|Equity|1293|20.56|PEP| PepsiCo, Inc.| 1.59%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|4.ASSET|Equity|1293|20.3|COST| Costco Wholesale Corporation| 1.57%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|5.ASSET|Equity|1293|19.65|VZ| Verizon Communications Inc.| 1.52%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|6.ASSET|Equity|1293|19.52|ED| Consolidated Edison, Inc.| 1.51%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|7.ASSET|Equity|1293|18.62|ADM| Archer-Daniels-Midland Company| 1.44%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|8.ASSET|Equity|1293|18.49|ABBV| AbbVie, Inc.| 1.43%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|9.ASSET|Equity|1293|18.49|JNJ| Johnson & Johnson| 1.43%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|10.ASSET|Equity|1293|17.71|GIS| General Mills, Inc.| 1.37%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|11.ASSET|Equity|1293|17.33|CVX| Chevron Corporation| 1.34%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|12.ASSET|Equity|1293|17.2|PM| Philip Morris International Inc.| 1.33%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|13.ASSET|Equity|1293|17.07|AEP| American Electric Power Company, Inc.| 1.32%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|14.ASSET|Equity|1293|16.94|DUK| Duke Energy Corporation| 1.31%| Developed Markets|Equity|Large Cap Value Equities||CDC|6|15.ASSET|Equity|1293|16.94|D| Dominion Energy Inc| 1.31%| |Commodity|Precious Metals||GLTR|6|1.ASSET|Commodity|1110.8|1110.8|N/A| EQUITY OTHER| 100.00%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|1.ASSET|Equity|947.7|19.9|OGN| Organon & Co.| 2.10%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|2.ASSET|Equity|947.7|19.14|CERN| Cerner Corporation| 2.02%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|3.ASSET|Equity|947.7|18.57|BMY| Bristol-Myers Squibb Company| 1.96%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|4.ASSET|Equity|947.7|17.91|ABBV| AbbVie, Inc.| 1.89%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|5.ASSET|Equity|947.7|17.82|MCK| McKesson Corporation| 1.88%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|6.ASSET|Equity|947.7|17.63|ABC| AmerisourceBergen Corporation| 1.86%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|7.ASSET|Equity|947.7|17.44|HSIC| Henry Schein, Inc.| 1.84%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|8.ASSET|Equity|947.7|17.25|UHS| Universal Health Services, Inc. Class B| 1.82%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|9.ASSET|Equity|947.7|16.87|VRTX| Vertex Pharmaceuticals Incorporated| 1.78%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|10.ASSET|Equity|947.7|16.87|CI| Cigna Corporation| 1.78%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|11.ASSET|Equity|947.7|16.87|BDX| Becton, Dickinson and Company| 1.78%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|12.ASSET|Equity|947.7|16.58|CAH| Cardinal Health, Inc.| 1.75%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|13.ASSET|Equity|947.7|16.3|AMGN| Amgen Inc.| 1.72%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|14.ASSET|Equity|947.7|16.21|CNC| Centene Corporation| 1.71%| North America|Equity|Health & Biotech Equities|Healthcare|RYH|6|15.ASSET|Equity|947.7|16.11|BSX| Boston Scientific Corporation| 1.70%| North America|Equity|Large Cap Blend Equities||SECT|6|1.ASSET|Equity|1022.4|125.35|XLF| Financial Select Sector SPDR Fund| 12.26%| North America|Equity|Large Cap Blend Equities||SECT|6|2.ASSET|Equity|1022.4|111.95|XLV| Health Care Select Sector SPDR Fund| 10.95%| North America|Equity|Large Cap Blend Equities||SECT|6|3.ASSET|Equity|1022.4|94.88|QQQ| Invesco QQQ Trust| 9.28%| North America|Equity|Large Cap Blend Equities||SECT|6|4.ASSET|Equity|1022.4|94.78|XLK| Technology Select Sector SPDR Fund| 9.27%| North America|Equity|Large Cap Blend Equities||SECT|6|5.ASSET|Equity|1022.4|81.08|VDE| Vanguard Energy ETF| 7.93%| North America|Equity|Large Cap Blend Equities||SECT|6|6.ASSET|Equity|1022.4|78.21|VLUE| iShares MSCI USA Value Factor ETF| 7.65%| North America|Equity|Large Cap Blend Equities||SECT|6|7.ASSET|Equity|1022.4|62.98|PSCT| Invesco S&P SmallCap Information Technology ETF| 6.16%| North America|Equity|Large Cap Blend Equities||SECT|6|8.ASSET|Equity|1022.4|60.94|SCHV| Schwab U.S. Large-Cap Value ETF| 5.96%| North America|Equity|Large Cap Blend Equities||SECT|6|9.ASSET|Equity|1022.4|57.77|IWM| iShares Russell 2000 ETF| 5.65%| North America|Equity|Large Cap Blend Equities||SECT|6|10.ASSET|Equity|1022.4|55.72|XLY| Consumer Discretionary Select Sector SPDR Fund| 5.45%| North America|Equity|Large Cap Blend Equities||SECT|6|11.ASSET|Equity|1022.4|45.09|XHB| SPDR S&P Homebuilders ETF| 4.41%| North America|Equity|Large Cap Blend Equities||SECT|6|12.ASSET|Equity|1022.4|44.58|ITB| iShares U.S. Home Construction ETF| 4.36%| North America|Equity|Large Cap Blend Equities||SECT|6|13.ASSET|Equity|1022.4|37.93|SMH| VanEck Semiconductor ETF| 3.71%| North America|Equity|Large Cap Blend Equities||SECT|6|14.ASSET|Equity|1022.4|26.38|XBI| SPDR S&P BIOTECH ETF| 2.58%| North America|Equity|Large Cap Blend Equities||SECT|6|15.ASSET|Equity|1022.4|22.19|IBB| iShares Biotechnology ETF| 2.17%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|1.ASSET|Equity|740.6|49.92|NPI| Northland Power Inc.| 6.74%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|2.ASSET|Equity|740.6|47.62|BEP.UT| Brookfield Renewable Partners LP| 6.43%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|3.ASSET|Equity|740.6|41.33|NEP| NextEra Energy Partners LP| 5.58%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|4.ASSET|Equity|740.6|38.59|TSLA| Tesla Inc| 5.21%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|5.ASSET|Equity|740.6|34.81|HASI| Hannon Armstrong Sustainable Infrastructure Capital, Inc.| 4.70%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|6.ASSET|Equity|740.6|33.62|ENPH| Enphase Energy, Inc.| 4.54%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|7.ASSET|Equity|740.6|33.62|PLUG| Plug Power Inc.| 4.54%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|8.ASSET|Equity|740.6|31.48|FSLR| First Solar, Inc.| 4.25%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|9.ASSET|Equity|740.6|29.62|RUN| Sunrun Inc.| 4.00%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|10.ASSET|Equity|740.6|28.36|ORA| Ormat Technologies, Inc.| 3.83%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|11.ASSET|Equity|740.6|27.4|CHPT| ChargePoint Holdings, Inc. Class A| 3.70%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|12.ASSET|Equity|740.6|26.88|BLX| Boralex Inc. Class A| 3.63%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|13.ASSET|Equity|740.6|26.22|REGI| Renewable Energy Group, Inc.| 3.54%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|14.ASSET|Equity|740.6|24.22|CWEN| Clearway Energy, Inc. Class C| 3.27%| North America|Equity|Alternative Energy Equities|Energy|ACES|6|15.ASSET|Equity|740.6|22.74|BLDP| Ballard Power Systems Inc.| 3.07%| North America|Equity|Small Cap Value Equities||VTWV|6|1.ASSET|Equity|1005.6|6.94|OVV| Ovintiv Inc| 0.69%| North America|Equity|Small Cap Value Equities||VTWV|6|2.ASSET|Equity|1005.6|6.44|N/A| U.S. Dollar| 0.64%| North America|Equity|Small Cap Value Equities||VTWV|6|3.ASSET|Equity|1005.6|5.93|AMC| AMC Entertainment Holdings, Inc. Class A| 0.59%| North America|Equity|Small Cap Value Equities||VTWV|6|4.ASSET|Equity|1005.6|5.73|M| Macy\'s Inc| 0.57%| North America|Equity|Small Cap Value Equities||VTWV|6|5.ASSET|Equity|1005.6|5.43|STAG| STAG Industrial, Inc.| 0.54%| North America|Equity|Small Cap Value Equities||VTWV|6|6.ASSET|Equity|1005.6|5.23|CAR| Avis Budget Group, Inc.| 0.52%| North America|Equity|Small Cap Value Equities||VTWV|6|7.ASSET|Equity|1005.6|5.03|THC| Tenet Healthcare Corporation| 0.50%| North America|Equity|Small Cap Value Equities||VTWV|6|8.ASSET|Equity|1005.6|4.83|CHK| Chesapeake Energy Corporation| 0.48%| North America|Equity|Small Cap Value Equities||VTWV|6|9.ASSET|Equity|1005.6|4.22|SSB| SouthState Corporation| 0.42%| North America|Equity|Small Cap Value Equities||VTWV|6|10.ASSET|Equity|1005.6|4.12|GT| Goodyear Tire & Rubber Company| 0.41%| North America|Equity|Small Cap Value Equities||VTWV|6|11.ASSET|Equity|1005.6|4.12|PDCE| PDC Energy, Inc.| 0.41%| North America|Equity|Small Cap Value Equities||VTWV|6|12.ASSET|Equity|1005.6|4.12|EME| EMCOR Group, Inc.| 0.41%| North America|Equity|Small Cap Value Equities||VTWV|6|13.ASSET|Equity|1005.6|4.02|VLY| Valley National Bancorp| 0.40%| North America|Equity|Small Cap Value Equities||VTWV|6|14.ASSET|Equity|1005.6|3.92|TRNO| Terreno Realty Corporation| 0.39%| North America|Equity|Small Cap Value Equities||VTWV|6|15.ASSET|Equity|1005.6|3.72|ARNA| Arena Pharmaceuticals, Inc.| 0.37%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|1.ASSET|Equity|875.5|70.74|500325| Reliance Industries Limited| 8.08%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|2.ASSET|Equity|875.5|48.5|500209| Infosys Limited| 5.54%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|3.ASSET|Equity|875.5|40.01|500010| Housing Development Finance Corporation Limited| 4.57%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|4.ASSET|Equity|875.5|32.92|532174| ICICI Bank Limited| 3.76%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|5.ASSET|Equity|875.5|26.18|532540| Tata Consultancy Services Limited| 2.99%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|6.ASSET|Equity|875.5|22.94|532555| NTPC Limited| 2.62%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|7.ASSET|Equity|875.5|19.79|532898| Power Grid Corporation of India Limited| 2.26%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|8.ASSET|Equity|875.5|17.86|500510| Larsen & Toubro Ltd.| 2.04%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|9.ASSET|Equity|875.5|17.77|500312| Oil & Natural Gas Corp. Ltd.| 2.03%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|10.ASSET|Equity|875.5|16.46|530965| Indian Oil Corp. Ltd.| 1.88%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|11.ASSET|Equity|875.5|15.06|500104| Hindustan Petroleum Corporation Limited| 1.72%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|12.ASSET|Equity|875.5|14.36|533278| Coal India Ltd.| 1.64%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|13.ASSET|Equity|875.5|14.01|500112| State Bank of India| 1.60%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|14.ASSET|Equity|875.5|13.83|500295| Vedanta Limited| 1.58%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPI|6|15.ASSET|Equity|875.5|13.57|532281| HCL Technologies Limited| 1.55%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|1.ASSET|Equity|836.5|186.04|1299| AIA Group Limited| 22.24%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|2.ASSET|Equity|836.5|103.98|388| Hong Kong Exchanges & Clearing Ltd.| 12.43%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|3.ASSET|Equity|836.5|38.31|669| Techtronic Industries Co., Ltd.| 4.58%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|4.ASSET|Equity|836.5|34.13|1| CK Hutchison Holdings Ltd| 4.08%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|5.ASSET|Equity|836.5|32.04|3| Hong Kong & China Gas Co. Ltd.| 3.83%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|6.ASSET|Equity|836.5|31.03|2| CLP Holdings Limited| 3.71%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|7.ASSET|Equity|836.5|30.87|823| Link Real Estate Investment Trust| 3.69%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|8.ASSET|Equity|836.5|28.36|16| Sun Hung Kai Properties Limited| 3.39%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|9.ASSET|Equity|836.5|26.68|11| Hang Seng Bank, Limited| 3.19%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|10.ASSET|Equity|836.5|25.35|2388| BOC Hong Kong (Holdings) Limited| 3.03%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|11.ASSET|Equity|836.5|24.84|J36| Jardine Matheson Holdings Limited| 2.97%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|12.ASSET|Equity|836.5|24.43|1113| CK Asset Holdings Limited| 2.92%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|13.ASSET|Equity|836.5|23.09|27| Galaxy Entertainment Group Limited| 2.76%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|14.ASSET|Equity|836.5|17.32|6| Power Assets Holdings Limited| 2.07%| Developed Asia Pacific|Equity|Asia Pacific Equities||EWH|6|15.ASSET|Equity|836.5|15.73|66| MTR Corporation Limited| 1.88%| North America|Equity|All Cap Equities||PEY|6|1.ASSET|Equity|1081.2|45.09|MO| Altria Group Inc| 4.17%| North America|Equity|All Cap Equities||PEY|6|2.ASSET|Equity|1081.2|41.52|T| AT&T Inc.| 3.84%| North America|Equity|All Cap Equities||PEY|6|3.ASSET|Equity|1081.2|35.68|UVV| Universal Corp| 3.30%| North America|Equity|All Cap Equities||PEY|6|4.ASSET|Equity|1081.2|35.03|XOM| Exxon Mobil Corporation| 3.24%| North America|Equity|All Cap Equities||PEY|6|5.ASSET|Equity|1081.2|33.41|SJI| South Jersey Industries, Inc.| 3.09%| North America|Equity|All Cap Equities||PEY|6|6.ASSET|Equity|1081.2|32.65|VLO| Valero Energy Corporation| 3.02%| North America|Equity|All Cap Equities||PEY|6|7.ASSET|Equity|1081.2|31.25|OKE| ONEOK, Inc.| 2.89%| North America|Equity|All Cap Equities||PEY|6|8.ASSET|Equity|1081.2|30.06|PM| Philip Morris International Inc.| 2.78%| North America|Equity|All Cap Equities||PEY|6|9.ASSET|Equity|1081.2|28.65|CVX| Chevron Corporation| 2.65%| North America|Equity|All Cap Equities||PEY|6|10.ASSET|Equity|1081.2|27.79|NWBI| Northwest Bancshares, Inc.| 2.57%| North America|Equity|All Cap Equities||PEY|6|11.ASSET|Equity|1081.2|27.68|UNM| Unum Group| 2.56%| North America|Equity|All Cap Equities||PEY|6|12.ASSET|Equity|1081.2|25.52|IBM| International Business Machines Corporation| 2.36%| North America|Equity|All Cap Equities||PEY|6|13.ASSET|Equity|1081.2|24.76|NWN| Northwest Natural Holding Co.| 2.29%| North America|Equity|All Cap Equities||PEY|6|14.ASSET|Equity|1081.2|24.54|PPL| PPL Corporation| 2.27%| North America|Equity|All Cap Equities||PEY|6|15.ASSET|Equity|1081.2|24.11|VZ| Verizon Communications Inc.| 2.23%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|1.ASSET|Bond|1096.8|87.85|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 8.01%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|2.ASSET|Bond|1096.8|74.91|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 6.83%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|3.ASSET|Bond|1096.8|40.03|N/A| U.S. Dollar| 3.65%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|4.ASSET|Bond|1096.8|37.29|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 3.40%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|5.ASSET|Bond|1096.8|32.36|N/A| United States Treasury Bond 2.0% 15-NOV-2041| 2.95%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|6.ASSET|Bond|1096.8|29.61|N/A| United States Treasury Notes 1.75% 31-JAN-2029| 2.70%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|7.ASSET|Bond|1096.8|22.81|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-OCT-2051| 2.08%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|8.ASSET|Bond|1096.8|18.43|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 1.68%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|9.ASSET|Bond|1096.8|15.79|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-OCT-2051| 1.44%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|10.ASSET|Bond|1096.8|9.43|N/A| BAMLL Commercial Mortgage Securities Trust 2015-200P A 3.218% 15-APR-2025| 0.86%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|11.ASSET|Bond|1096.8|8.99|N/A| BX Trust 2021-LGCY B 0.961% 15-OCT-2036| 0.82%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|12.ASSET|Bond|1096.8|8.88|N/A| Algonquin Power & Utilities Corp. 4.75% 18-JAN-2082| 0.81%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|13.ASSET|Bond|1096.8|8.66|N/A| FIXED INCOME (UNCLASSFIED)| 0.79%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|14.ASSET|Bond|1096.8|8.01|N/A| BX Commercial Mortgage Trust 2021-VOLT D 1.756% 15-SEP-2038| 0.73%| North America|Bond|Total Bond Market|Total Bond Market|GTO|6|15.ASSET|Bond|1096.8|7.9|N/A| UMBS TBA 15yr 1.5% February Delivery 1.500% 01-NOV-2036| 0.72%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|1.ASSET|Bond|1485.1|59.4|N/A| United States Treasury Notes 0.625% 15-APR-2023| 4.00%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|2.ASSET|Bond|1485.1|59.26|N/A| United States Treasury Notes 0.625% 15-APR-2023| 3.99%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|3.ASSET|Bond|1485.1|58.51|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 3.94%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|4.ASSET|Bond|1485.1|58.51|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 3.94%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|5.ASSET|Bond|1485.1|58.36|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 3.93%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|6.ASSET|Bond|1485.1|58.36|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 3.93%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|7.ASSET|Bond|1485.1|54.5|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 3.67%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|8.ASSET|Bond|1485.1|54.35|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 3.66%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|9.ASSET|Bond|1485.1|54.06|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 3.64%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|10.ASSET|Bond|1485.1|54.06|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 3.64%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|11.ASSET|Bond|1485.1|54.06|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 3.64%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|12.ASSET|Bond|1485.1|53.91|N/A| United States Treasury Bond 3.875% 15-APR-2029| 3.63%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|13.ASSET|Bond|1485.1|53.91|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 3.63%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|14.ASSET|Bond|1485.1|53.76|N/A| United States Treasury Bond 3.875% 15-APR-2029| 3.62%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPX|6|15.ASSET|Bond|1485.1|53.17|N/A| Government of the United States of America 0.125% 15-JUL-2030| 3.58%| North America|Equity|Large Cap Blend Equities||DTD|6|1.ASSET|Equity|1050|42.21|MSFT| Microsoft Corporation| 4.02%| North America|Equity|Large Cap Blend Equities||DTD|6|2.ASSET|Equity|1050|35.49|AAPL| Apple Inc.| 3.38%| North America|Equity|Large Cap Blend Equities||DTD|6|3.ASSET|Equity|1050|31.82|XOM| Exxon Mobil Corporation| 3.03%| North America|Equity|Large Cap Blend Equities||DTD|6|4.ASSET|Equity|1050|28.04|JNJ| Johnson & Johnson| 2.67%| North America|Equity|Large Cap Blend Equities||DTD|6|5.ASSET|Equity|1050|25.2|JPM| JPMorgan Chase & Co.| 2.40%| North America|Equity|Large Cap Blend Equities||DTD|6|6.ASSET|Equity|1050|22.37|CVX| Chevron Corporation| 2.13%| North America|Equity|Large Cap Blend Equities||DTD|6|7.ASSET|Equity|1050|21.53|PM| Philip Morris International Inc.| 2.05%| North America|Equity|Large Cap Blend Equities||DTD|6|8.ASSET|Equity|1050|21|PG| Procter & Gamble Company| 2.00%| North America|Equity|Large Cap Blend Equities||DTD|6|9.ASSET|Equity|1050|20.27|KO| Coca-Cola Company| 1.93%| North America|Equity|Large Cap Blend Equities||DTD|6|10.ASSET|Equity|1050|19.95|ABBV| AbbVie, Inc.| 1.90%| North America|Equity|Large Cap Blend Equities||DTD|6|11.ASSET|Equity|1050|19.32|PFE| Pfizer Inc.| 1.84%| North America|Equity|Large Cap Blend Equities||DTD|6|12.ASSET|Equity|1050|19.01|MO| Altria Group Inc| 1.81%| North America|Equity|Large Cap Blend Equities||DTD|6|13.ASSET|Equity|1050|18.69|VZ| Verizon Communications Inc.| 1.78%| North America|Equity|Large Cap Blend Equities||DTD|6|14.ASSET|Equity|1050|14.49|PEP| PepsiCo, Inc.| 1.38%| North America|Equity|Large Cap Blend Equities||DTD|6|15.ASSET|Equity|1050|13.34|HD| Home Depot, Inc.| 1.27%| North America|Equity|Emerging Markets Equities||KSA|6|1.ASSET|Equity|1276.6|199.53|1120| Al Rajhi Bank| 15.63%| North America|Equity|Emerging Markets Equities||KSA|6|2.ASSET|Equity|1276.6|149.62|1180| Saudi National Bank| 11.72%| North America|Equity|Emerging Markets Equities||KSA|6|3.ASSET|Equity|1276.6|115.79|2010| Saudi Basic Industries Corp.| 9.07%| North America|Equity|Emerging Markets Equities||KSA|6|4.ASSET|Equity|1276.6|62.3|2222| Saudi Arabian Oil Company (Saudi Aramco)| 4.88%| North America|Equity|Emerging Markets Equities||KSA|6|5.ASSET|Equity|1276.6|55.02|7010| Saudi Telecom Co.| 4.31%| North America|Equity|Emerging Markets Equities||KSA|6|6.ASSET|Equity|1276.6|53.62|1010| Riyad Bank| 4.20%| North America|Equity|Emerging Markets Equities||KSA|6|7.ASSET|Equity|1276.6|51.06|1211| Saudi Arabian Mining Co.| 4.00%| North America|Equity|Emerging Markets Equities||KSA|6|8.ASSET|Equity|1276.6|39.19|1150| Alinma Bank| 3.07%| North America|Equity|Emerging Markets Equities||KSA|6|9.ASSET|Equity|1276.6|35.36|1060| Saudi British Bank| 2.77%| North America|Equity|Emerging Markets Equities||KSA|6|10.ASSET|Equity|1276.6|35.11|1050| Banque Saudi Fransi| 2.75%| North America|Equity|Emerging Markets Equities||KSA|6|11.ASSET|Equity|1276.6|33.19|2020| SABIC Agri-Nutrients Co.| 2.60%| North America|Equity|Emerging Markets Equities||KSA|6|12.ASSET|Equity|1276.6|26.43|5110| Saudi Electricity Co.| 2.07%| North America|Equity|Emerging Markets Equities||KSA|6|13.ASSET|Equity|1276.6|25.4|1140| Bank Albilad| 1.99%| North America|Equity|Emerging Markets Equities||KSA|6|14.ASSET|Equity|1276.6|20.68|2310| Sahara International Petrochemical Company| 1.62%| North America|Equity|Emerging Markets Equities||KSA|6|15.ASSET|Equity|1276.6|19.02|1080| Arab National Bank| 1.49%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|1.ASSET|Equity|1192.8|100.55|CHKP| Check Point Software Technologies Ltd.| 8.43%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|2.ASSET|Equity|1192.8|94.59|PANW| Palo Alto Networks, Inc.| 7.93%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|3.ASSET|Equity|1192.8|80.75|FTNT| Fortinet, Inc.| 6.77%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|4.ASSET|Equity|1192.8|70.14|NLOK| NortonLifeLock Inc.| 5.88%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|5.ASSET|Equity|1192.8|67.27|AVST| Avast Plc| 5.64%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|6.ASSET|Equity|1192.8|62.14|4704| Trend Micro Incorporated| 5.21%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|7.ASSET|Equity|1192.8|60.47|TENB| Tenable Holdings, Inc.| 5.07%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|8.ASSET|Equity|1192.8|60.47|ZS| Zscaler, Inc.| 5.07%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|9.ASSET|Equity|1192.8|58.33|OKTA| Okta, Inc. Class A| 4.89%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|10.ASSET|Equity|1192.8|57.14|CRWD| CrowdStrike Holdings, Inc. Class A| 4.79%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|11.ASSET|Equity|1192.8|52.96|MIME| Mimecast Limited| 4.44%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|12.ASSET|Equity|1192.8|52.01|CYBR| CyberArk Software Ltd.| 4.36%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|13.ASSET|Equity|1192.8|49.02|QLYS| Qualys, Inc.| 4.11%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|14.ASSET|Equity|1192.8|48.67|MNDT| Mandiant, Inc.| 4.08%| Developed Markets|Equity|Technology Equities|Technology|BUG|6|15.ASSET|Equity|1192.8|46.4|RPD| Rapid7 Inc.| 3.89%| Developed Markets|Equity|Global Equities||SDIV|6|1.ASSET|Equity|858|15.62|TAEE11| Transmissora Alianca De Energia Eletrica S.A. Unit| 1.82%| Developed Markets|Equity|Global Equities||SDIV|6|2.ASSET|Equity|858|14.76|WMB| Williams Companies, Inc.| 1.72%| Developed Markets|Equity|Global Equities||SDIV|6|3.ASSET|Equity|858|14.07|NOS| NOS SGPS SA| 1.64%| Developed Markets|Equity|Global Equities||SDIV|6|4.ASSET|Equity|858|14.07|1171| Yankuang Energy Group Company Limited Class H| 1.64%| Developed Markets|Equity|Global Equities||SDIV|6|5.ASSET|Equity|858|13.99|2380| China Power International Development Ltd| 1.63%| Developed Markets|Equity|Global Equities||SDIV|6|6.ASSET|Equity|858|13.73|IRM| Iron Mountain, Inc.| 1.60%| Developed Markets|Equity|Global Equities||SDIV|6|7.ASSET|Equity|858|13.38|BATS| British American Tobacco p.l.c.| 1.56%| Developed Markets|Equity|Global Equities||SDIV|6|8.ASSET|Equity|858|13.13|1088| China Shenhua Energy Co. Ltd. Class H| 1.53%| Developed Markets|Equity|Global Equities||SDIV|6|9.ASSET|Equity|858|12.53|IMB| Imperial Brands PLC| 1.46%| Developed Markets|Equity|Global Equities||SDIV|6|10.ASSET|Equity|858|12.36|DTAC.R| Total Access Communication Public Co., Ltd. NVDR| 1.44%| Developed Markets|Equity|Global Equities||SDIV|6|11.ASSET|Equity|858|12.36|PAGP| Plains GP Holdings LP Class A| 1.44%| Developed Markets|Equity|Global Equities||SDIV|6|12.ASSET|Equity|858|12.18|SFL| SFL Corporation Limited| 1.42%| Developed Markets|Equity|Global Equities||SDIV|6|13.ASSET|Equity|858|12.18|RES| Resilient REIT Limited| 1.42%| Developed Markets|Equity|Global Equities||SDIV|6|14.ASSET|Equity|858|12.1|LH.R| Land & Houses Public Co., Ltd. NVDR| 1.41%| Developed Markets|Equity|Global Equities||SDIV|6|15.ASSET|Equity|858|12.1|BXMT| Blackstone Mortgage Trust, Inc. Class A| 1.41%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|1.ASSET|Multi-Asset|1056.5|635.8|IUSB| iShares Core Total USD Bond Market ETF| 60.18%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|2.ASSET|Multi-Asset|1056.5|164.07|IVV| iShares Core S&P 500 ETF| 15.53%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|3.ASSET|Multi-Asset|1056.5|113.36|IAGG| iShares Core International Aggregate Bond ETF| 10.73%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|4.ASSET|Multi-Asset|1056.5|94.56|IDEV| iShares Core MSCI International Developed Markets ETF| 8.95%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|5.ASSET|Multi-Asset|1056.5|32.54|IEMG| iShares Core MSCI Emerging Markets ETF| 3.08%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|6.ASSET|Multi-Asset|1056.5|10.25|IJH| iShares Core S&P Mid-Cap ETF| 0.97%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|7.ASSET|Multi-Asset|1056.5|4.54|IJR| iShares Core S&P Small Cap ETF| 0.43%| Developed Markets|Multi-Asset|Diversified Portfolio||AOK|6|8.ASSET|Multi-Asset|1056.5|1.48|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.14%| North America|Equity|Large Cap Growth Equities||FLQL|6|1.ASSET|Equity|955.1|13.28|LMT| Lockheed Martin Corporation| 1.39%| North America|Equity|Large Cap Growth Equities||FLQL|6|2.ASSET|Equity|955.1|12.7|ABBV| AbbVie, Inc.| 1.33%| North America|Equity|Large Cap Growth Equities||FLQL|6|3.ASSET|Equity|955.1|12.32|BMY| Bristol-Myers Squibb Company| 1.29%| North America|Equity|Large Cap Growth Equities||FLQL|6|4.ASSET|Equity|955.1|11.94|MO| Altria Group Inc| 1.25%| North America|Equity|Large Cap Growth Equities||FLQL|6|5.ASSET|Equity|955.1|11.75|KO| Coca-Cola Company| 1.23%| North America|Equity|Large Cap Growth Equities||FLQL|6|6.ASSET|Equity|955.1|11.75|PM| Philip Morris International Inc.| 1.23%| North America|Equity|Large Cap Growth Equities||FLQL|6|7.ASSET|Equity|955.1|11.27|AMGN| Amgen Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||FLQL|6|8.ASSET|Equity|955.1|10.89|MA| Mastercard Incorporated Class A| 1.14%| North America|Equity|Large Cap Growth Equities||FLQL|6|9.ASSET|Equity|955.1|10.7|UNH| UnitedHealth Group Incorporated| 1.12%| North America|Equity|Large Cap Growth Equities||FLQL|6|10.ASSET|Equity|955.1|10.6|VZ| Verizon Communications Inc.| 1.11%| North America|Equity|Large Cap Growth Equities||FLQL|6|11.ASSET|Equity|955.1|10.6|PG| Procter & Gamble Company| 1.11%| North America|Equity|Large Cap Growth Equities||FLQL|6|12.ASSET|Equity|955.1|10.51|JNJ| Johnson & Johnson| 1.10%| North America|Equity|Large Cap Growth Equities||FLQL|6|13.ASSET|Equity|955.1|10.32|PSA| Public Storage| 1.08%| North America|Equity|Large Cap Growth Equities||FLQL|6|14.ASSET|Equity|955.1|10.32|UPS| United Parcel Service, Inc. Class B| 1.08%| North America|Equity|Large Cap Growth Equities||FLQL|6|15.ASSET|Equity|955.1|10.32|UNP| Union Pacific Corporation| 1.08%| North America|Multi-Asset|Total Bond Market||PCEF|6|1.ASSET|Multi-Asset|855.9|40.83|PDI| PIMCO Dynamic Income Fund| 4.77%| North America|Multi-Asset|Total Bond Market||PCEF|6|2.ASSET|Multi-Asset|855.9|28.24|EXG| Eaton Vance Tax-Managed Global Diversified Equity Income Fund| 3.30%| North America|Multi-Asset|Total Bond Market||PCEF|6|3.ASSET|Multi-Asset|855.9|23.11|BDJ| BlackRock Enhanced Equity Dividend Trust| 2.70%| North America|Multi-Asset|Total Bond Market||PCEF|6|4.ASSET|Multi-Asset|855.9|22|JPS| Nuveen Preferred & Income Securities Fund of Benef.Interest| 2.57%| North America|Multi-Asset|Total Bond Market||PCEF|6|5.ASSET|Multi-Asset|855.9|21.48|NFJ| Virtus Dividend. Interest & Premium Strategy Fund of Beneficial Interest| 2.51%| North America|Multi-Asset|Total Bond Market||PCEF|6|6.ASSET|Multi-Asset|855.9|20.46|ETY| Eaton Vance Tax-Managed Diversified Equity Income Fund| 2.39%| North America|Multi-Asset|Total Bond Market||PCEF|6|7.ASSET|Multi-Asset|855.9|19.69|DSL| DoubleLine Income Solutions Fund| 2.30%| North America|Multi-Asset|Total Bond Market||PCEF|6|8.ASSET|Multi-Asset|855.9|19.69|BST| BlackRock Science & Technology Trust| 2.30%| North America|Multi-Asset|Total Bond Market||PCEF|6|9.ASSET|Multi-Asset|855.9|18.06|BXMX| Nuveen S&P 500 Buy-Write Income Fund of Benef Interest| 2.11%| North America|Multi-Asset|Total Bond Market||PCEF|6|10.ASSET|Multi-Asset|855.9|17.03|EVV| Eaton Vance Limited Duration Income Fund| 1.99%| North America|Multi-Asset|Total Bond Market||PCEF|6|11.ASSET|Multi-Asset|855.9|17.03|PDO| PIMCO Dynamic Income Opportunities Fund| 1.99%| North America|Multi-Asset|Total Bond Market||PCEF|6|12.ASSET|Multi-Asset|855.9|15.06|HFRO| Highland Income Fund| 1.76%| North America|Multi-Asset|Total Bond Market||PCEF|6|13.ASSET|Multi-Asset|855.9|14.89|BTZ| BlackRock Credit Allocation Income Trust| 1.74%| North America|Multi-Asset|Total Bond Market||PCEF|6|14.ASSET|Multi-Asset|855.9|14.04|FAX| Aberdeen Asia-Pacific Income Fund Inc| 1.64%| North America|Multi-Asset|Total Bond Market||PCEF|6|15.ASSET|Multi-Asset|855.9|13.95|ETV| Eaton Vance Tax-Managed Buy-Write Opportunities Fund| 1.63%| North America|Equity|Leveraged Equities|Financials|UYG|6|1.ASSET|Equity|777.8|168.32|N/A| U.S. Dollar| 21.64%| North America|Equity|Leveraged Equities|Financials|UYG|6|2.ASSET|Equity|777.8|51.72|BRK.B| Berkshire Hathaway Inc. Class B| 6.65%| North America|Equity|Leveraged Equities|Financials|UYG|6|3.ASSET|Equity|777.8|35.93|JPM| JPMorgan Chase & Co.| 4.62%| North America|Equity|Leveraged Equities|Financials|UYG|6|4.ASSET|Equity|777.8|31.27|V| Visa Inc. Class A| 4.02%| North America|Equity|Leveraged Equities|Financials|UYG|6|5.ASSET|Equity|777.8|28.08|BAC| Bank of America Corp| 3.61%| North America|Equity|Leveraged Equities|Financials|UYG|6|6.ASSET|Equity|777.8|26.6|MA| Mastercard Incorporated Class A| 3.42%| North America|Equity|Leveraged Equities|Financials|UYG|6|7.ASSET|Equity|777.8|17.89|WFC| Wells Fargo & Company| 2.30%| North America|Equity|Leveraged Equities|Financials|UYG|6|8.ASSET|Equity|777.8|12.29|SPGI| S&P Global, Inc.| 1.58%| North America|Equity|Leveraged Equities|Financials|UYG|6|9.ASSET|Equity|777.8|11.2|MS| Morgan Stanley| 1.44%| North America|Equity|Leveraged Equities|Financials|UYG|6|10.ASSET|Equity|777.8|10.42|SCHW| Charles Schwab Corporation| 1.34%| North America|Equity|Leveraged Equities|Financials|UYG|6|11.ASSET|Equity|777.8|10.19|C| Citigroup Inc.| 1.31%| North America|Equity|Leveraged Equities|Financials|UYG|6|12.ASSET|Equity|777.8|9.96|GS| Goldman Sachs Group, Inc.| 1.28%| North America|Equity|Leveraged Equities|Financials|UYG|6|13.ASSET|Equity|777.8|9.96|AXP| American Express Company| 1.28%| North America|Equity|Leveraged Equities|Financials|UYG|6|14.ASSET|Equity|777.8|9.57|PLD| Prologis, Inc.| 1.23%| North America|Equity|Leveraged Equities|Financials|UYG|6|15.ASSET|Equity|777.8|9.26|AMT| American Tower Corporation| 1.19%| North America|Equity|Large Cap Blend Equities||FDVV|6|1.ASSET|Equity|1132.4|61.83|AAPL| Apple Inc.| 5.46%| North America|Equity|Large Cap Blend Equities||FDVV|6|2.ASSET|Equity|1132.4|55.03|MSFT| Microsoft Corporation| 4.86%| North America|Equity|Large Cap Blend Equities||FDVV|6|3.ASSET|Equity|1132.4|33.41|CVX| Chevron Corporation| 2.95%| North America|Equity|Large Cap Blend Equities||FDVV|6|4.ASSET|Equity|1132.4|31.59|XOM| Exxon Mobil Corporation| 2.79%| North America|Equity|Large Cap Blend Equities||FDVV|6|5.ASSET|Equity|1132.4|25.48|JPM| JPMorgan Chase & Co.| 2.25%| North America|Equity|Large Cap Blend Equities||FDVV|6|6.ASSET|Equity|1132.4|24.91|WMB| Williams Companies, Inc.| 2.20%| North America|Equity|Large Cap Blend Equities||FDVV|6|7.ASSET|Equity|1132.4|24.69|OKE| ONEOK, Inc.| 2.18%| North America|Equity|Large Cap Blend Equities||FDVV|6|8.ASSET|Equity|1132.4|24.23|KMI| Kinder Morgan Inc Class P| 2.14%| North America|Equity|Large Cap Blend Equities||FDVV|6|9.ASSET|Equity|1132.4|22.65|BAC| Bank of America Corp| 2.00%| North America|Equity|Large Cap Blend Equities||FDVV|6|10.ASSET|Equity|1132.4|21.06|NVDA| NVIDIA Corporation| 1.86%| North America|Equity|Large Cap Blend Equities||FDVV|6|11.ASSET|Equity|1132.4|20.16|WFC| Wells Fargo & Company| 1.78%| North America|Equity|Large Cap Blend Equities||FDVV|6|12.ASSET|Equity|1132.4|18.34|SRE| Sempra Energy| 1.62%| North America|Equity|Large Cap Blend Equities||FDVV|6|13.ASSET|Equity|1132.4|17.44|GS| Goldman Sachs Group, Inc.| 1.54%| North America|Equity|Large Cap Blend Equities||FDVV|6|14.ASSET|Equity|1132.4|17.33|BX| Blackstone Inc.| 1.53%| North America|Equity|Large Cap Blend Equities||FDVV|6|15.ASSET|Equity|1132.4|17.21|DUK| Duke Energy Corporation| 1.52%| North America|Equity|Leveraged Equities||UDOW|6|1.ASSET|Equity|804.5|71.52|N/A| U.S. Dollar| 8.89%| North America|Equity|Leveraged Equities||UDOW|6|2.ASSET|Equity|804.5|69.19|UNH| UnitedHealth Group Incorporated| 8.60%| North America|Equity|Leveraged Equities||UDOW|6|3.ASSET|Equity|804.5|47.95|GS| Goldman Sachs Group, Inc.| 5.96%| North America|Equity|Leveraged Equities||UDOW|6|4.ASSET|Equity|804.5|46.66|HD| Home Depot, Inc.| 5.80%| North America|Equity|Leveraged Equities||UDOW|6|5.ASSET|Equity|804.5|42.8|MSFT| Microsoft Corporation| 5.32%| North America|Equity|Leveraged Equities||UDOW|6|6.ASSET|Equity|804.5|34.35|MCD| McDonald\'s Corporation| 4.27%| North America|Equity|Leveraged Equities||UDOW|6|7.ASSET|Equity|804.5|32.58|AMGN| Amgen Inc.| 4.05%| North America|Equity|Leveraged Equities||UDOW|6|8.ASSET|Equity|804.5|30.01|CRM| salesforce.com, inc.| 3.73%| North America|Equity|Leveraged Equities||UDOW|6|9.ASSET|Equity|804.5|29.69|V| Visa Inc. Class A| 3.69%| North America|Equity|Leveraged Equities||UDOW|6|10.ASSET|Equity|804.5|28.16|BA| Boeing Company| 3.50%| North America|Equity|Leveraged Equities||UDOW|6|11.ASSET|Equity|804.5|27.43|CAT| Caterpillar Inc.| 3.41%| North America|Equity|Leveraged Equities||UDOW|6|12.ASSET|Equity|804.5|26.63|HON| Honeywell International Inc.| 3.31%| North America|Equity|Leveraged Equities||UDOW|6|13.ASSET|Equity|804.5|25.66|AXP| American Express Company| 3.19%| North America|Equity|Leveraged Equities||UDOW|6|14.ASSET|Equity|804.5|24.78|TRV| Travelers Companies, Inc.| 3.08%| North America|Equity|Leveraged Equities||UDOW|6|15.ASSET|Equity|804.5|23.73|AAPL| Apple Inc.| 2.95%| North America|Equity|Small Cap Blend Equities||FYX|6|1.ASSET|Equity|906.4|4.35|REGI| Renewable Energy Group, Inc.| 0.48%| North America|Equity|Small Cap Blend Equities||FYX|6|2.ASSET|Equity|906.4|4.35|LNTH| Lantheus Holdings Inc| 0.48%| North America|Equity|Small Cap Blend Equities||FYX|6|3.ASSET|Equity|906.4|4.17|PDCE| PDC Energy, Inc.| 0.46%| North America|Equity|Small Cap Blend Equities||FYX|6|4.ASSET|Equity|906.4|3.9|SM| SM Energy Company| 0.43%| North America|Equity|Small Cap Blend Equities||FYX|6|5.ASSET|Equity|906.4|3.81|AMCX| AMC Networks Inc. Class A| 0.42%| North America|Equity|Small Cap Blend Equities||FYX|6|6.ASSET|Equity|906.4|3.72|TGNA| TEGNA, Inc.| 0.41%| North America|Equity|Small Cap Blend Equities||FYX|6|7.ASSET|Equity|906.4|3.72|COOP| Mr. Cooper Group, Inc.| 0.41%| North America|Equity|Small Cap Blend Equities||FYX|6|8.ASSET|Equity|906.4|3.72|WLL| Whiting Petroleum Corporation| 0.41%| North America|Equity|Small Cap Blend Equities||FYX|6|9.ASSET|Equity|906.4|3.63|CNR| Cornerstone Building Brands Inc| 0.40%| North America|Equity|Small Cap Blend Equities||FYX|6|10.ASSET|Equity|906.4|3.63|MATX| Matson, Inc.| 0.40%| North America|Equity|Small Cap Blend Equities||FYX|6|11.ASSET|Equity|906.4|3.63|GTN| Gray Television, Inc.| 0.40%| North America|Equity|Small Cap Blend Equities||FYX|6|12.ASSET|Equity|906.4|3.53|BCC| Boise Cascade Co.| 0.39%| North America|Equity|Small Cap Blend Equities||FYX|6|13.ASSET|Equity|906.4|3.44|MTOR| Meritor, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||FYX|6|14.ASSET|Equity|906.4|3.44|RRC| Range Resources Corporation| 0.38%| North America|Equity|Small Cap Blend Equities||FYX|6|15.ASSET|Equity|906.4|3.35|RLGY| Realogy Holdings Corp.| 0.37%| North America|Equity|Large Cap Growth Equities||IWL|6|1.ASSET|Equity|990.2|83.18|AAPL| Apple Inc.| 8.40%| North America|Equity|Large Cap Growth Equities||IWL|6|2.ASSET|Equity|990.2|73.18|MSFT| Microsoft Corporation| 7.39%| North America|Equity|Large Cap Growth Equities||IWL|6|3.ASSET|Equity|990.2|42.68|AMZN| Amazon.com, Inc.| 4.31%| North America|Equity|Large Cap Growth Equities||IWL|6|4.ASSET|Equity|990.2|26.24|GOOGL| Alphabet Inc. Class A| 2.65%| North America|Equity|Large Cap Growth Equities||IWL|6|5.ASSET|Equity|990.2|24.46|GOOG| Alphabet Inc. Class C| 2.47%| North America|Equity|Large Cap Growth Equities||IWL|6|6.ASSET|Equity|990.2|23.07|TSLA| Tesla Inc| 2.33%| North America|Equity|Large Cap Growth Equities||IWL|6|7.ASSET|Equity|990.2|19.21|BRK.B| Berkshire Hathaway Inc. Class B| 1.94%| North America|Equity|Large Cap Growth Equities||IWL|6|8.ASSET|Equity|990.2|18.71|NVDA| NVIDIA Corporation| 1.89%| North America|Equity|Large Cap Growth Equities||IWL|6|9.ASSET|Equity|990.2|15.94|FB| Meta Platforms Inc. Class A| 1.61%| North America|Equity|Large Cap Growth Equities||IWL|6|10.ASSET|Equity|990.2|14.75|UNH| UnitedHealth Group Incorporated| 1.49%| North America|Equity|Large Cap Growth Equities||IWL|6|11.ASSET|Equity|990.2|14.16|JNJ| Johnson & Johnson| 1.43%| North America|Equity|Large Cap Growth Equities||IWL|6|12.ASSET|Equity|990.2|13.27|JPM| JPMorgan Chase & Co.| 1.34%| North America|Equity|Large Cap Growth Equities||IWL|6|13.ASSET|Equity|990.2|11.98|PG| Procter & Gamble Company| 1.21%| North America|Equity|Large Cap Growth Equities||IWL|6|14.ASSET|Equity|990.2|11.39|V| Visa Inc. Class A| 1.15%| North America|Equity|Large Cap Growth Equities||IWL|6|15.ASSET|Equity|990.2|11.29|HD| Home Depot, Inc.| 1.14%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|1.ASSET|Equity|744.8|94.89|FB| Meta Platforms Inc. Class A| 12.74%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|2.ASSET|Equity|744.8|88.11|GOOGL| Alphabet Inc. Class A| 11.83%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|3.ASSET|Equity|744.8|80.36|GOOG| Alphabet Inc. Class C| 10.79%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|4.ASSET|Equity|744.8|51.69|DIS| Walt Disney Company| 6.94%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|5.ASSET|Equity|744.8|34.93|VZ| Verizon Communications Inc.| 4.69%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|6.ASSET|Equity|744.8|34.26|T| AT&T Inc.| 4.60%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|7.ASSET|Equity|744.8|33.22|CMCSA| Comcast Corporation Class A| 4.46%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|8.ASSET|Equity|744.8|32.55|NFLX| Netflix, Inc.| 4.37%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|9.ASSET|Equity|744.8|18.17|TMUS| T-Mobile US, Inc.| 2.44%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|10.ASSET|Equity|744.8|16.98|CHTR| Charter Communications, Inc. Class A| 2.28%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|11.ASSET|Equity|744.8|15.86|ATVI| Activision Blizzard, Inc.| 2.13%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|12.ASSET|Equity|744.8|9.98|EA| Electronic Arts Inc.| 1.34%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|13.ASSET|Equity|744.8|9.61|SNAP| Snap, Inc. Class A| 1.29%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|14.ASSET|Equity|744.8|7.67|MTCH| Match Group, Inc.| 1.03%| North America|Equity|Large Cap Growth Equities|Telecom|FCOM|6|15.ASSET|Equity|744.8|7.3|LYV| Live Nation Entertainment, Inc.| 0.98%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|1.ASSET|Bond|866|13.68|N/A| TREASURY ISSUES (LONG-TERM)| 1.58%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|2.ASSET|Bond|866|12.38|N/A| Government of China 3.25% 22-NOV-2028| 1.43%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|3.ASSET|Bond|866|10.05|N/A| Government of China 3.29% 18-OCT-2023| 1.16%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|4.ASSET|Bond|866|9.53|N/A| Government of China 4.08% 22-OCT-2048| 1.10%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|5.ASSET|Bond|866|5.37|N/A| Government of South Korea 2.0% 10-MAR-2049| 0.62%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|6.ASSET|Bond|866|4.5|N/A| Government of Indonesia 6.125% 15-MAY-2028| 0.52%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|7.ASSET|Bond|866|4.24|N/A| Government of Indonesia 6.625% 15-MAY-2033| 0.49%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|8.ASSET|Bond|866|4.24|N/A| Japan 0.1% 20-DEC-2023| 0.49%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|9.ASSET|Bond|866|4.16|N/A| Government of South Korea 5.5% 10-MAR-2028| 0.48%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|10.ASSET|Bond|866|4.16|N/A| Government of Indonesia 7.5% 15-MAY-2038| 0.48%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|11.ASSET|Bond|866|3.98|N/A| Government of Indonesia 8.375% 15-MAR-2024| 0.46%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|12.ASSET|Bond|866|3.46|N/A| Japan 0.1% 20-MAR-2025| 0.40%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|13.ASSET|Bond|866|3.29|N/A| Government of China 3.25% 06-JUN-2026| 0.38%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|14.ASSET|Bond|866|3.29|N/A| Japan 0.1% 20-MAR-2027| 0.38%| Developed Markets|Bond|International Government Bonds|International Treasury|BWX|6|15.ASSET|Bond|866|3.2|N/A| Belgium 4.25% 28-MAR-2041| 0.37%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|1.ASSET|Equity|403|12.94|EXPE| Expedia Group, Inc.| 3.21%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|2.ASSET|Equity|403|10.28|CHGG| Chegg, Inc.| 2.55%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|3.ASSET|Equity|403|10.08|AMZN| Amazon.com, Inc.| 2.50%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|4.ASSET|Equity|403|9.95|SEAT| Vivid Seats Inc. Class A| 2.47%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|5.ASSET|Equity|403|9.79|ABNB| Airbnb, Inc. Class A| 2.43%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|6.ASSET|Equity|403|9.55|BKNG| Booking Holdings Inc.| 2.37%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|7.ASSET|Equity|403|9.55|GRPN| Groupon, Inc.| 2.37%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|8.ASSET|Equity|403|9.31|PETS| PetMed Express, Inc.| 2.31%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|9.ASSET|Equity|403|8.66|CPRT| Copart, Inc.| 2.15%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|10.ASSET|Equity|403|8.58|LQDT| Liquidity Services, Inc.| 2.13%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|11.ASSET|Equity|403|8.58|LYFT| Lyft, Inc. Class A| 2.13%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|12.ASSET|Equity|403|8.42|IAC| IAC/InteractiveCorp.| 2.09%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|13.ASSET|Equity|403|8.3|SSTK| Shutterstock, Inc.| 2.06%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|14.ASSET|Equity|403|8.3|UBER| Uber Technologies, Inc.| 2.06%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|IBUY|6|15.ASSET|Equity|403|8.06|TRIP| TripAdvisor, Inc.| 2.00%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|1.ASSET|Equity|440.6|6.21|LAD| Lithia Motors, Inc.| 1.41%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|2.ASSET|Equity|440.6|5.86|ABG| Asbury Automotive Group, Inc.| 1.33%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|3.ASSET|Equity|440.6|5.82|ODP| ODP Corporation| 1.32%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|4.ASSET|Equity|440.6|5.77|KSS| Kohl\'s Corporation| 1.31%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|5.ASSET|Equity|440.6|5.73|KR| Kroger Co.| 1.30%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|6.ASSET|Equity|440.6|5.6|SFM| Sprouts Farmers Markets, Inc.| 1.27%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|7.ASSET|Equity|440.6|5.42|SAH| Sonic Automotive, Inc. Class A| 1.23%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|8.ASSET|Equity|440.6|5.38|ACI| Albertsons Companies, Inc. Class A| 1.22%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|9.ASSET|Equity|440.6|5.33|VSCO| Victoria\'s Secret & Company| 1.21%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|10.ASSET|Equity|440.6|5.33|ANF| Abercrombie & Fitch Co. Class A| 1.21%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|11.ASSET|Equity|440.6|5.33|GO| Grocery Outlet Holding Corp.| 1.21%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|12.ASSET|Equity|440.6|5.24|LESL| Leslie\'s, Inc.| 1.19%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|13.ASSET|Equity|440.6|5.2|DLTR| Dollar Tree, Inc.| 1.18%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|14.ASSET|Equity|440.6|5.2|CASY| Casey\'s General Stores, Inc.| 1.18%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|XRT|6|15.ASSET|Equity|440.6|5.11|WMT| Walmart Inc.| 1.16%| North America|Equity|Large Cap Growth Equities||ILCB|6|1.ASSET|Equity|860.2|54.54|AAPL| Apple Inc.| 6.34%| North America|Equity|Large Cap Growth Equities||ILCB|6|2.ASSET|Equity|860.2|47.48|MSFT| Microsoft Corporation| 5.52%| North America|Equity|Large Cap Growth Equities||ILCB|6|3.ASSET|Equity|860.2|28.39|AMZN| Amazon.com, Inc.| 3.30%| North America|Equity|Large Cap Growth Equities||ILCB|6|4.ASSET|Equity|860.2|17.2|GOOGL| Alphabet Inc. Class A| 2.00%| North America|Equity|Large Cap Growth Equities||ILCB|6|5.ASSET|Equity|860.2|16|GOOG| Alphabet Inc. Class C| 1.86%| North America|Equity|Large Cap Growth Equities||ILCB|6|6.ASSET|Equity|860.2|14.97|TSLA| Tesla Inc| 1.74%| North America|Equity|Large Cap Growth Equities||ILCB|6|7.ASSET|Equity|860.2|12.9|NVDA| NVIDIA Corporation| 1.50%| North America|Equity|Large Cap Growth Equities||ILCB|6|8.ASSET|Equity|860.2|12.47|BRK.B| Berkshire Hathaway Inc. Class B| 1.45%| North America|Equity|Large Cap Growth Equities||ILCB|6|9.ASSET|Equity|860.2|10.58|FB| Meta Platforms Inc. Class A| 1.23%| North America|Equity|Large Cap Growth Equities||ILCB|6|10.ASSET|Equity|860.2|9.46|UNH| UnitedHealth Group Incorporated| 1.10%| North America|Equity|Large Cap Growth Equities||ILCB|6|11.ASSET|Equity|860.2|9.2|JNJ| Johnson & Johnson| 1.07%| North America|Equity|Large Cap Growth Equities||ILCB|6|12.ASSET|Equity|860.2|8.86|JPM| JPMorgan Chase & Co.| 1.03%| North America|Equity|Large Cap Growth Equities||ILCB|6|13.ASSET|Equity|860.2|8|PG| Procter & Gamble Company| 0.93%| North America|Equity|Large Cap Growth Equities||ILCB|6|14.ASSET|Equity|860.2|7.66|V| Visa Inc. Class A| 0.89%| North America|Equity|Large Cap Growth Equities||ILCB|6|15.ASSET|Equity|860.2|7.05|HD| Home Depot, Inc.| 0.82%| North America|Equity|Mid Cap Growth Equities||IVOG|6|1.ASSET|Equity|803.6|11.65|CPT| Camden Property Trust| 1.45%| North America|Equity|Mid Cap Growth Equities||IVOG|6|2.ASSET|Equity|803.6|9.64|TRGP| Targa Resources Corp.| 1.20%| North America|Equity|Mid Cap Growth Equities||IVOG|6|3.ASSET|Equity|803.6|9.24|BLDR| Builders FirstSource, Inc.| 1.15%| North America|Equity|Mid Cap Growth Equities||IVOG|6|4.ASSET|Equity|803.6|8.76|EWBC| East West Bancorp, Inc.| 1.09%| North America|Equity|Mid Cap Growth Equities||IVOG|6|5.ASSET|Equity|803.6|8.52|WSM| Williams-Sonoma, Inc.| 1.06%| North America|Equity|Mid Cap Growth Equities||IVOG|6|6.ASSET|Equity|803.6|8.36|CSL| Carlisle Companies Incorporated| 1.04%| North America|Equity|Mid Cap Growth Equities||IVOG|6|7.ASSET|Equity|803.6|7.96|MASI| Masimo Corporation| 0.99%| North America|Equity|Mid Cap Growth Equities||IVOG|6|8.ASSET|Equity|803.6|7.88|LSI| Life Storage, Inc.| 0.98%| North America|Equity|Mid Cap Growth Equities||IVOG|6|9.ASSET|Equity|803.6|7.88|REXR| Rexford Industrial Realty, Inc.| 0.98%| North America|Equity|Mid Cap Growth Equities||IVOG|6|10.ASSET|Equity|803.6|7.47|TREX| Trex Company, Inc.| 0.93%| North America|Equity|Mid Cap Growth Equities||IVOG|6|11.ASSET|Equity|803.6|7.47|STLD| Steel Dynamics, Inc.| 0.93%| North America|Equity|Mid Cap Growth Equities||IVOG|6|12.ASSET|Equity|803.6|7.31|DAR| Darling Ingredients Inc.| 0.91%| North America|Equity|Mid Cap Growth Equities||IVOG|6|13.ASSET|Equity|803.6|7.31|TTC| Toro Company| 0.91%| North America|Equity|Mid Cap Growth Equities||IVOG|6|14.ASSET|Equity|803.6|7.23|SCI| Service Corporation International| 0.90%| North America|Equity|Mid Cap Growth Equities||IVOG|6|15.ASSET|Equity|803.6|7.23|RGEN| Repligen Corporation| 0.90%| |Commodity|Commodities||DJP|6|1.ASSET|Commodity|1240.7|157.82|N/A| Sweet Light Crude Oil (WTI)| 12.72%| |Commodity|Commodities||DJP|6|2.ASSET|Commodity|1240.7|155.71|N/A| Natural Gas| 12.55%| |Commodity|Commodities||DJP|6|3.ASSET|Commodity|1240.7|96.15|N/A| Soybean| 7.75%| |Commodity|Commodities||DJP|6|4.ASSET|Commodity|1240.7|84.74|N/A| Gold| 6.83%| |Commodity|Commodities||DJP|6|5.ASSET|Commodity|1240.7|84.37|N/A| Aluminum| 6.80%| |Commodity|Commodities||DJP|6|6.ASSET|Commodity|1240.7|76.8|N/A| Copper| 6.19%| |Commodity|Commodities||DJP|6|7.ASSET|Commodity|1240.7|76.18|N/A| Live Cattle| 6.14%| |Commodity|Commodities||DJP|6|8.ASSET|Commodity|1240.7|69.85|N/A| Corn| 5.63%| |Commodity|Commodities||DJP|6|9.ASSET|Commodity|1240.7|58.56|N/A| Wheat| 4.72%| |Commodity|Commodities||DJP|6|10.ASSET|Commodity|1240.7|48.88|N/A| Gasoline RBOB| 3.94%| |Commodity|Commodities||DJP|6|11.ASSET|Commodity|1240.7|47.02|N/A| NY Harbor ULSD (Heating Oil)| 3.79%| |Commodity|Commodities||DJP|6|12.ASSET|Commodity|1240.7|39.08|N/A| Cotton| 3.15%| |Commodity|Commodities||DJP|6|13.ASSET|Commodity|1240.7|38.71|N/A| Sugar| 3.12%| |Commodity|Commodities||DJP|6|14.ASSET|Commodity|1240.7|37.47|N/A| Coffee| 3.02%| |Commodity|Commodities||DJP|6|15.ASSET|Commodity|1240.7|37.35|N/A| Lean Hogs| 3.01%| |Commodity|Agricultural Commodities||DBA|6|1.ASSET|Commodity|1425.1|1045.17|N/A| MUTUAL FUND (OTHER)| 73.34%| |Commodity|Agricultural Commodities||DBA|6|2.ASSET|Commodity|1425.1|93.34|CLTL| Invesco Treasury Collateral ETF| 6.55%| |Commodity|Agricultural Commodities||DBA|6|3.ASSET|Commodity|1425.1|41.9|N/A| United States Treasury Bills 0.0% 28-APR-2022| 2.94%| |Commodity|Agricultural Commodities||DBA|6|4.ASSET|Commodity|1425.1|41.76|N/A| United States Treasury Bills 0.0% 04-AUG-2022| 2.93%| |Commodity|Agricultural Commodities||DBA|6|5.ASSET|Commodity|1425.1|41.76|N/A| TREASURY ISSUES (LONG-TERM)| 2.93%| |Commodity|Agricultural Commodities||DBA|6|6.ASSET|Commodity|1425.1|31.35|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 2.20%| |Commodity|Agricultural Commodities||DBA|6|7.ASSET|Commodity|1425.1|31.35|N/A| United States Treasury Bills 0.0% 07-APR-2022| 2.20%| |Commodity|Agricultural Commodities||DBA|6|8.ASSET|Commodity|1425.1|26.22|N/A| United States Treasury Bills 0.0% 02-JUN-2022| 1.84%| |Commodity|Agricultural Commodities||DBA|6|9.ASSET|Commodity|1425.1|26.08|N/A| United States Treasury Bills 0.0% 01-SEP-2022| 1.83%| |Commodity|Agricultural Commodities||DBA|6|10.ASSET|Commodity|1425.1|18.81|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 1.32%| |Commodity|Agricultural Commodities||DBA|6|11.ASSET|Commodity|1425.1|13.68|N/A| United States Treasury Bills 0.0% 21-APR-2022| 0.96%| |Commodity|Agricultural Commodities||DBA|6|12.ASSET|Commodity|1425.1|13.54|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 0.95%| |Commodity|Agricultural Commodities||DBA|6|13.ASSET|Commodity|1425.1|0|N/A| U.S. Dollar| 0.00%| North America|Equity|All Cap Equities||COWZ|6|1.ASSET|Equity|2724|82.81|OXY| Occidental Petroleum Corporation| 3.04%| North America|Equity|All Cap Equities||COWZ|6|2.ASSET|Equity|2724|70.28|COP| ConocoPhillips| 2.58%| North America|Equity|All Cap Equities||COWZ|6|3.ASSET|Equity|2724|67.83|FCX| Freeport-McMoRan, Inc.| 2.49%| North America|Equity|All Cap Equities||COWZ|6|4.ASSET|Equity|2724|67.01|XOM| Exxon Mobil Corporation| 2.46%| North America|Equity|All Cap Equities||COWZ|6|5.ASSET|Equity|2724|64.01|ADM| Archer-Daniels-Midland Company| 2.35%| North America|Equity|All Cap Equities||COWZ|6|6.ASSET|Equity|2724|63.74|ABBV| AbbVie, Inc.| 2.34%| North America|Equity|All Cap Equities||COWZ|6|7.ASSET|Equity|2724|63.74|MCK| McKesson Corporation| 2.34%| North America|Equity|All Cap Equities||COWZ|6|8.ASSET|Equity|2724|62.65|BMY| Bristol-Myers Squibb Company| 2.30%| North America|Equity|All Cap Equities||COWZ|6|9.ASSET|Equity|2724|60.2|MO| Altria Group Inc| 2.21%| North America|Equity|All Cap Equities||COWZ|6|10.ASSET|Equity|2724|58.02|CVS| CVS Health Corporation| 2.13%| North America|Equity|All Cap Equities||COWZ|6|11.ASSET|Equity|2724|55.3|DOW| Dow, Inc.| 2.03%| North America|Equity|All Cap Equities||COWZ|6|12.ASSET|Equity|2724|53.94|LYB| LyondellBasell Industries NV| 1.98%| North America|Equity|All Cap Equities||COWZ|6|13.ASSET|Equity|2724|53.12|ATVI| Activision Blizzard, Inc.| 1.95%| North America|Equity|All Cap Equities||COWZ|6|14.ASSET|Equity|2724|52.57|IBM| International Business Machines Corporation| 1.93%| North America|Equity|All Cap Equities||COWZ|6|15.ASSET|Equity|2724|50.39|VMW| VMware, Inc. Class A| 1.85%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|1.ASSET|Equity|878.2|21.34|RIO| Rio Tinto plc| 2.43%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|2.ASSET|Equity|878.2|18.44|9432| Nippon Telegraph and Telephone Corporation| 2.10%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|3.ASSET|Equity|878.2|17.3|INVE.B| Investor AB Class B| 1.97%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|4.ASSET|Equity|878.2|16.95|MBG| Mercedes-Benz Group AG| 1.93%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|5.ASSET|Equity|878.2|16.77|CSU| Constellation Software Inc.| 1.91%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|6.ASSET|Equity|878.2|15.63|RIO| Rio Tinto Limited| 1.78%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|7.ASSET|Equity|878.2|15.63|AD| Koninklijke Ahold Delhaize N.V.| 1.78%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|8.ASSET|Equity|878.2|15.19|SGO| Compagnie de Saint-Gobain SA| 1.73%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|9.ASSET|Equity|878.2|14.93|PHIA| Koninklijke Philips N.V.| 1.70%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|10.ASSET|Equity|878.2|14.31|O39| Oversea-Chinese Banking Corporation Limited| 1.63%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|11.ASSET|Equity|878.2|14.14|6702| Fujitsu Limited| 1.61%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|12.ASSET|Equity|878.2|13.79|WKL| Wolters Kluwer NV| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|13.ASSET|Equity|878.2|11.94|ORA| Orange SA| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|14.ASSET|Equity|878.2|11.94|8591| ORIX Corporation| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||INTF|6|15.ASSET|Equity|878.2|11.59|7751| Canon Inc.| 1.32%| North America|Equity|Mid Cap Blend Equities||IMCB|6|1.ASSET|Equity|841|4.79|CNC| Centene Corporation| 0.57%| North America|Equity|Mid Cap Blend Equities||IMCB|6|2.ASSET|Equity|841|4.37|SYY| Sysco Corporation| 0.52%| North America|Equity|Mid Cap Blend Equities||IMCB|6|3.ASSET|Equity|841|4.29|ADM| Archer-Daniels-Midland Company| 0.51%| North America|Equity|Mid Cap Blend Equities||IMCB|6|4.ASSET|Equity|841|4.12|MCK| McKesson Corporation| 0.49%| North America|Equity|Mid Cap Blend Equities||IMCB|6|5.ASSET|Equity|841|4.12|OXY| Occidental Petroleum Corporation| 0.49%| North America|Equity|Mid Cap Blend Equities||IMCB|6|6.ASSET|Equity|841|4.12|BAX| Baxter International Inc.| 0.49%| North America|Equity|Mid Cap Blend Equities||IMCB|6|7.ASSET|Equity|841|4.04|DDOG| Datadog Inc Class A| 0.48%| North America|Equity|Mid Cap Blend Equities||IMCB|6|8.ASSET|Equity|841|3.95|GIS| General Mills, Inc.| 0.47%| North America|Equity|Mid Cap Blend Equities||IMCB|6|9.ASSET|Equity|841|3.87|HLT| Hilton Worldwide Holdings Inc| 0.46%| North America|Equity|Mid Cap Blend Equities||IMCB|6|10.ASSET|Equity|841|3.87|HPQ| HP Inc.| 0.46%| North America|Equity|Mid Cap Blend Equities||IMCB|6|11.ASSET|Equity|841|3.87|DD| DuPont de Nemours, Inc.| 0.46%| North America|Equity|Mid Cap Blend Equities||IMCB|6|12.ASSET|Equity|841|3.78|AZO| AutoZone, Inc.| 0.45%| North America|Equity|Mid Cap Blend Equities||IMCB|6|13.ASSET|Equity|841|3.78|WMB| Williams Companies, Inc.| 0.45%| North America|Equity|Mid Cap Blend Equities||IMCB|6|14.ASSET|Equity|841|3.7|O| Realty Income Corporation| 0.44%| North America|Equity|Mid Cap Blend Equities||IMCB|6|15.ASSET|Equity|841|3.7|DVN| Devon Energy Corporation| 0.44%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|1.ASSET|Equity|875.6|150.08|CCO| Cameco Corporation| 17.14%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|2.ASSET|Equity|875.6|99.03|KAP| National Atomic Company Kazatomprom JSC Sponsored GDR RegS| 11.31%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|3.ASSET|Equity|875.6|79.15|PSLV| Sprott Physical Silver Trust| 9.04%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|4.ASSET|Equity|875.6|56.56|YCA| Yellow Cake Plc| 6.46%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|5.ASSET|Equity|875.6|44.22|EFR| Energy Fuels Inc.| 5.05%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|6.ASSET|Equity|875.6|44.13|DML| Denison Mines Corp.| 5.04%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|7.ASSET|Equity|875.6|42.9|NXE| NexGen Energy Ltd.| 4.90%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|8.ASSET|Equity|875.6|42.12|UEC| Uranium Energy Corp.| 4.81%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|9.ASSET|Equity|875.6|39.14|PDN| Paladin Energy Ltd| 4.47%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|10.ASSET|Equity|875.6|28.81|URC| Uranium Royalty Corp| 3.29%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|11.ASSET|Equity|875.6|28.54|1164| CGN Mining Co. Ltd.| 3.26%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|12.ASSET|Equity|875.6|25.57|GLO| Global Atomic Corporation| 2.92%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|13.ASSET|Equity|875.6|22.85|BOE| Boss Energy Limited| 2.61%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|14.ASSET|Equity|875.6|21.28|FCU| Fission Uranium Corp.| 2.43%| Developed Markets|Equity|Commodity Producers Equities|Materials|URNM|6|15.ASSET|Equity|875.6|16.72|N/A| U.S. Dollar| 1.91%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|1.ASSET|Bond|901.9|4.24|SSIXX| State Street Institutional Liquid Reserves Fund| 0.47%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|2.ASSET|Bond|901.9|3.88|N/A| Anheuser-Busch Cos. LLC 4.9% 01-FEB-2046| 0.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|3.ASSET|Bond|901.9|3.25|N/A| Verizon Communications Inc. 2.355% 15-MAR-2032| 0.36%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|4.ASSET|Bond|901.9|3.07|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 0.34%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|5.ASSET|Bond|901.9|2.98|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 0.33%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|6.ASSET|Bond|901.9|2.62|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 0.29%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|7.ASSET|Bond|901.9|2.44|N/A| CORPORATE BOND| 0.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|8.ASSET|Bond|901.9|2.34|N/A| AT&T Inc. 3.5% 15-SEP-2053| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|9.ASSET|Bond|901.9|2.34|N/A| Anheuser-Busch Cos. LLC 4.7% 01-FEB-2036| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|10.ASSET|Bond|901.9|2.25|N/A| AbbVie Inc. 4.25% 21-NOV-2049| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|11.ASSET|Bond|901.9|2.25|N/A| Wells Fargo & Company 5.013% 04-APR-2051| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|12.ASSET|Bond|901.9|2.16|N/A| Bank of America Corporation 4.083% 20-MAR-2051| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|13.ASSET|Bond|901.9|2.07|N/A| CVS Health Corporation 4.78% 25-MAR-2038| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|14.ASSET|Bond|901.9|2.07|N/A| Microsoft Corporation 2.921% 17-MAR-2052| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPLB|6|15.ASSET|Bond|901.9|2.07|N/A| Boeing Company 5.805% 01-MAY-2050| 0.23%| Global|Equity|Emerging Markets Equities||AVEM|6|1.ASSET|Equity|1073.2|33.59|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 3.13%| Global|Equity|Emerging Markets Equities||AVEM|6|2.ASSET|Equity|1073.2|29.94|SMSN| Samsung Electronics Co., Ltd. Sponsored GDR| 2.79%| Global|Equity|Emerging Markets Equities||AVEM|6|3.ASSET|Equity|1073.2|27.15|700| Tencent Holdings Ltd.| 2.53%| Global|Equity|Emerging Markets Equities||AVEM|6|4.ASSET|Equity|1073.2|10.73|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.00%| Global|Equity|Emerging Markets Equities||AVEM|6|5.ASSET|Equity|1073.2|10.2|939| China Construction Bank Corporation Class H| 0.95%| Global|Equity|Emerging Markets Equities||AVEM|6|6.ASSET|Equity|1073.2|10.09|000660| SK hynix Inc| 0.94%| Global|Equity|Emerging Markets Equities||AVEM|6|7.ASSET|Equity|1073.2|8.37|INFY| Infosys Limited Sponsored ADR| 0.78%| Global|Equity|Emerging Markets Equities||AVEM|6|8.ASSET|Equity|1073.2|8.05|VALE| Vale S.A. Sponsored ADR| 0.75%| Global|Equity|Emerging Markets Equities||AVEM|6|9.ASSET|Equity|1073.2|7.08|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.66%| Global|Equity|Emerging Markets Equities||AVEM|6|10.ASSET|Equity|1073.2|6.87|N/A| MUTUAL FUND (OTHER)| 0.64%| Global|Equity|Emerging Markets Equities||AVEM|6|11.ASSET|Equity|1073.2|6.87|NTES| NetEase, Inc. Sponsored ADR| 0.64%| Global|Equity|Emerging Markets Equities||AVEM|6|12.ASSET|Equity|1073.2|5.9|BIDU| Baidu Inc Sponsored ADR Class A| 0.55%| Global|Equity|Emerging Markets Equities||AVEM|6|13.ASSET|Equity|1073.2|5.8|RIGD| Reliance Industries Limited Sponsored GDR 144A| 0.54%| Global|Equity|Emerging Markets Equities||AVEM|6|14.ASSET|Equity|1073.2|5.69|YUMC| Yum China Holdings, Inc.| 0.53%| Global|Equity|Emerging Markets Equities||AVEM|6|15.ASSET|Equity|1073.2|5.15|3988| Bank of China Limited Class H| 0.48%| North America|Equity|Leveraged Equities|Energy|GUSH|6|1.ASSET|Equity|938.4|409.42|DGCXX| Dreyfus Government Cash Management Funds Institutional| 43.63%| North America|Equity|Leveraged Equities|Energy|GUSH|6|2.ASSET|Equity|938.4|150.05|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 15.99%| North America|Equity|Leveraged Equities|Energy|GUSH|6|3.ASSET|Equity|938.4|19.52|OXY| Occidental Petroleum Corporation| 2.08%| North America|Equity|Leveraged Equities|Energy|GUSH|6|4.ASSET|Equity|938.4|17.64|MRO| Marathon Oil Corporation| 1.88%| North America|Equity|Leveraged Equities|Energy|GUSH|6|5.ASSET|Equity|938.4|17.64|APA| APA Corp.| 1.88%| North America|Equity|Leveraged Equities|Energy|GUSH|6|6.ASSET|Equity|938.4|17.36|AR| Antero Resources Corporation| 1.85%| North America|Equity|Leveraged Equities|Energy|GUSH|6|7.ASSET|Equity|938.4|16.99|OVV| Ovintiv Inc| 1.81%| North America|Equity|Leveraged Equities|Energy|GUSH|6|8.ASSET|Equity|938.4|16.8|DVN| Devon Energy Corporation| 1.79%| North America|Equity|Leveraged Equities|Energy|GUSH|6|9.ASSET|Equity|938.4|16.61|PBF| PBF Energy, Inc. Class A| 1.77%| North America|Equity|Leveraged Equities|Energy|GUSH|6|10.ASSET|Equity|938.4|16.61|COP| ConocoPhillips| 1.77%| North America|Equity|Leveraged Equities|Energy|GUSH|6|11.ASSET|Equity|938.4|16.33|PXD| Pioneer Natural Resources Company| 1.74%| North America|Equity|Leveraged Equities|Energy|GUSH|6|12.ASSET|Equity|938.4|16.23|CVX| Chevron Corporation| 1.73%| North America|Equity|Leveraged Equities|Energy|GUSH|6|13.ASSET|Equity|938.4|16.23|RRC| Range Resources Corporation| 1.73%| North America|Equity|Leveraged Equities|Energy|GUSH|6|14.ASSET|Equity|938.4|16.14|MTDR| Matador Resources Company| 1.72%| North America|Equity|Leveraged Equities|Energy|GUSH|6|15.ASSET|Equity|938.4|16.14|EOG| EOG Resources, Inc.| 1.72%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|1.ASSET|Bond|807.3|29.87|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 3.70%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|2.ASSET|Bond|807.3|21.39|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 2.65%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|3.ASSET|Bond|807.3|20.91|N/A| United States Treasury Bills 0.0% 21-APR-2022| 2.59%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|4.ASSET|Bond|807.3|20.51|N/A| Sprint Communications, Inc. 6.0% 15-NOV-2022| 2.54%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|5.ASSET|Bond|807.3|18.65|N/A| Uniti Group LP 7.875% 15-FEB-2025| 2.31%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|6.ASSET|Bond|807.3|18.08|N/A| DISH DBS Corporation 5.875% 15-JUL-2022| 2.24%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|7.ASSET|Bond|807.3|17.36|N/A| Allied Universal Holdco LLC 6.625% 15-JUL-2026| 2.15%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|8.ASSET|Bond|807.3|16.95|N/A| CCO Holdings LLC 5.0% 01-FEB-2028| 2.10%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|9.ASSET|Bond|807.3|15.42|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 1.91%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|10.ASSET|Bond|807.3|14.61|N/A| Altice France SA 8.125% 01-FEB-2027| 1.81%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|11.ASSET|Bond|807.3|14.45|N/A| Aramark Services, Inc. 6.375% 01-MAY-2025| 1.79%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|12.ASSET|Bond|807.3|14.37|N/A| Bausch Health Americas, Inc. 9.25% 01-APR-2026| 1.78%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|13.ASSET|Bond|807.3|14.05|N/A| Altice France Holding SA 10.5% 15-MAY-2027| 1.74%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|14.ASSET|Bond|807.3|13.08|N/A| Lumen Technologies, Inc. 5.8% 15-MAR-2022| 1.62%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJM|6|15.ASSET|Bond|807.3|12.35|N/A| WESCO Distribution, Inc. 7.125% 15-JUN-2025| 1.53%| North America|Equity|Large Cap Growth Equities||NULG|6|1.ASSET|Equity|841.9|96.73|MSFT| Microsoft Corporation| 11.49%| North America|Equity|Large Cap Growth Equities||NULG|6|2.ASSET|Equity|841.9|44.54|GOOGL| Alphabet Inc. Class A| 5.29%| North America|Equity|Large Cap Growth Equities||NULG|6|3.ASSET|Equity|841.9|33.17|GOOG| Alphabet Inc. Class C| 3.94%| North America|Equity|Large Cap Growth Equities||NULG|6|4.ASSET|Equity|841.9|32.83|TSLA| Tesla Inc| 3.90%| North America|Equity|Large Cap Growth Equities||NULG|6|5.ASSET|Equity|841.9|31.91|NVDA| NVIDIA Corporation| 3.79%| North America|Equity|Large Cap Growth Equities||NULG|6|6.ASSET|Equity|841.9|25.68|V| Visa Inc. Class A| 3.05%| North America|Equity|Large Cap Growth Equities||NULG|6|7.ASSET|Equity|841.9|24.42|ADBE| Adobe Inc.| 2.90%| North America|Equity|Large Cap Growth Equities||NULG|6|8.ASSET|Equity|841.9|22.56|DIS| Walt Disney Company| 2.68%| North America|Equity|Large Cap Growth Equities||NULG|6|9.ASSET|Equity|841.9|20.29|NKE| NIKE, Inc. Class B| 2.41%| North America|Equity|Large Cap Growth Equities||NULG|6|10.ASSET|Equity|841.9|20.12|PYPL| PayPal Holdings Inc| 2.39%| North America|Equity|Large Cap Growth Equities||NULG|6|11.ASSET|Equity|841.9|19.78|LLY| Eli Lilly and Company| 2.35%| North America|Equity|Large Cap Growth Equities||NULG|6|12.ASSET|Equity|841.9|18.1|CRM| salesforce.com, inc.| 2.15%| North America|Equity|Large Cap Growth Equities||NULG|6|13.ASSET|Equity|841.9|16.84|TMO| Thermo Fisher Scientific Inc.| 2.00%| North America|Equity|Large Cap Growth Equities||NULG|6|14.ASSET|Equity|841.9|16.08|COST| Costco Wholesale Corporation| 1.91%| North America|Equity|Large Cap Growth Equities||NULG|6|15.ASSET|Equity|841.9|16.08|NOW| ServiceNow, Inc.| 1.91%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|1.ASSET|Equity|501.4|120.44|AMZN| Amazon.com, Inc.| 24.02%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|2.ASSET|Equity|501.4|54.35|N/A| Alibaba Group Holding Ltd. 3.125% 28-NOV-2021| 10.84%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|3.ASSET|Equity|501.4|24.02|EBAY| eBay Inc.| 4.79%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|4.ASSET|Equity|501.4|18.2|JD| JD.com, Inc. Sponsored ADR Class A| 3.63%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|5.ASSET|Equity|501.4|16.4|ETSY| Etsy, Inc.| 3.27%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|6.ASSET|Equity|501.4|14.04|CHWY| Chewy, Inc. Class A| 2.80%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|7.ASSET|Equity|501.4|12.38|W| Wayfair, Inc. Class A| 2.47%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|8.ASSET|Equity|501.4|12.28|OSTK| Overstock.com, Inc.| 2.45%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|9.ASSET|Equity|501.4|11.33|REAL| RealReal, Inc.| 2.26%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|10.ASSET|Equity|501.4|11.18|DASH| DoorDash, Inc. Class A| 2.23%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|11.ASSET|Equity|501.4|10.78|PRTS| CarParts.com Inc| 2.15%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|12.ASSET|Equity|501.4|10.73|SFIX| Stitch Fix, Inc. Class A| 2.14%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|13.ASSET|Equity|501.4|10.73|FLWS| 1-800-FLOWERS.COM, Inc. Class A| 2.14%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|14.ASSET|Equity|501.4|10.53|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 2.10%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|ONLN|6|15.ASSET|Equity|501.4|10.48|POSH| Poshmark, Inc. Class A| 2.09%| North America|Bond|High Yield Bonds|Junk|HYDW|6|1.ASSET|Bond|1546.4|13.92|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.90%| North America|Bond|High Yield Bonds|Junk|HYDW|6|2.ASSET|Bond|1546.4|13.76|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.89%| North America|Bond|High Yield Bonds|Junk|HYDW|6|3.ASSET|Bond|1546.4|10.98|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.71%| North America|Bond|High Yield Bonds|Junk|HYDW|6|4.ASSET|Bond|1546.4|10.67|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.69%| North America|Bond|High Yield Bonds|Junk|HYDW|6|5.ASSET|Bond|1546.4|9.9|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.64%| North America|Bond|High Yield Bonds|Junk|HYDW|6|6.ASSET|Bond|1546.4|8.97|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 0.58%| North America|Bond|High Yield Bonds|Junk|HYDW|6|7.ASSET|Bond|1546.4|8.35|N/A| HCA, Inc. 5.375% 01-FEB-2025| 0.54%| North America|Bond|High Yield Bonds|Junk|HYDW|6|8.ASSET|Bond|1546.4|8.2|N/A| Sprint Corp. 7.125% 15-JUN-2024| 0.53%| North America|Bond|High Yield Bonds|Junk|HYDW|6|9.ASSET|Bond|1546.4|8.04|N/A| HCA, Inc. 3.5% 01-SEP-2030| 0.52%| North America|Bond|High Yield Bonds|Junk|HYDW|6|10.ASSET|Bond|1546.4|7.73|N/A| Centene Corporation 4.25% 15-DEC-2027| 0.50%| North America|Bond|High Yield Bonds|Junk|HYDW|6|11.ASSET|Bond|1546.4|7.58|N/A| CCO Holdings LLC 5.0% 01-FEB-2028| 0.49%| North America|Bond|High Yield Bonds|Junk|HYDW|6|12.ASSET|Bond|1546.4|7.11|N/A| Ford Motor Company 3.25% 12-FEB-2032| 0.46%| North America|Bond|High Yield Bonds|Junk|HYDW|6|13.ASSET|Bond|1546.4|6.96|N/A| Uniti Group LP 7.875% 15-FEB-2025| 0.45%| North America|Bond|High Yield Bonds|Junk|HYDW|6|14.ASSET|Bond|1546.4|6.49|N/A| Centene Corporation 2.45% 15-JUL-2028| 0.42%| North America|Bond|High Yield Bonds|Junk|HYDW|6|15.ASSET|Bond|1546.4|6.34|N/A| Organon Finance 1 LLC 4.125% 30-APR-2028| 0.41%| North America|Equity|Large Cap Growth Equities||GSEW|6|1.ASSET|Equity|814.5|3.26|AMD| Advanced Micro Devices, Inc.| 0.40%| North America|Equity|Large Cap Growth Equities||GSEW|6|2.ASSET|Equity|814.5|3.18|SPGI| S&P Global, Inc.| 0.39%| North America|Equity|Large Cap Growth Equities||GSEW|6|3.ASSET|Equity|814.5|2.44|UPST| Upstart Holdings, Inc.| 0.30%| North America|Equity|Large Cap Growth Equities||GSEW|6|4.ASSET|Equity|814.5|2.12|ZEN| Zendesk, Inc.| 0.26%| North America|Equity|Large Cap Growth Equities||GSEW|6|5.ASSET|Equity|814.5|2.12|NUE| Nucor Corporation| 0.26%| North America|Equity|Large Cap Growth Equities||GSEW|6|6.ASSET|Equity|814.5|2.12|OXY| Occidental Petroleum Corporation| 0.26%| North America|Equity|Large Cap Growth Equities||GSEW|6|7.ASSET|Equity|814.5|2.04|FCX| Freeport-McMoRan, Inc.| 0.25%| North America|Equity|Large Cap Growth Equities||GSEW|6|8.ASSET|Equity|814.5|2.04|NET| Cloudflare Inc Class A| 0.25%| North America|Equity|Large Cap Growth Equities||GSEW|6|9.ASSET|Equity|814.5|2.04|BILL| Bill.com Holdings, Inc.| 0.25%| North America|Equity|Large Cap Growth Equities||GSEW|6|10.ASSET|Equity|814.5|2.04|LHX| L3Harris Technologies Inc| 0.25%| North America|Equity|Large Cap Growth Equities||GSEW|6|11.ASSET|Equity|814.5|2.04|NOC| Northrop Grumman Corporation| 0.25%| North America|Equity|Large Cap Growth Equities||GSEW|6|12.ASSET|Equity|814.5|1.95|PLUG| Plug Power Inc.| 0.24%| North America|Equity|Large Cap Growth Equities||GSEW|6|13.ASSET|Equity|814.5|1.95|AMC| AMC Entertainment Holdings, Inc. Class A| 0.24%| North America|Equity|Large Cap Growth Equities||GSEW|6|14.ASSET|Equity|814.5|1.95|LMT| Lockheed Martin Corporation| 0.24%| North America|Equity|Large Cap Growth Equities||GSEW|6|15.ASSET|Equity|814.5|1.95|LDOS| Leidos Holdings, Inc.| 0.24%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|1.ASSET|Equity|802.3|34.98|NOVO.B| Novo Nordisk A/S Class B| 4.36%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|2.ASSET|Equity|802.3|33.05|ASML| ASML Holding NV| 4.12%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|3.ASSET|Equity|802.3|22.87|ROG| Roche Holding Ltd| 2.85%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|4.ASSET|Equity|802.3|20.46|7203| Toyota Motor Corp.| 2.55%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|5.ASSET|Equity|802.3|20.06|SHEL| Shell PLC| 2.50%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|6.ASSET|Equity|802.3|18.29|MC| LVMH Moet Hennessy Louis Vuitton SE| 2.28%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|7.ASSET|Equity|802.3|13.96|RY| Royal Bank of Canada| 1.74%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|8.ASSET|Equity|802.3|13.24|TD| Toronto-Dominion Bank| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|9.ASSET|Equity|802.3|13.24|CBA| Commonwealth Bank of Australia| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|10.ASSET|Equity|802.3|10.83|DGE| Diageo plc| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|11.ASSET|Equity|802.3|10.75|BAM.A| Brookfield Asset Management Inc. Class A| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|12.ASSET|Equity|802.3|10.51|6758| Sony Group Corporation| 1.31%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|13.ASSET|Equity|802.3|10.51|TTE| TotalEnergies SE| 1.31%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|14.ASSET|Equity|802.3|9.71|6861| Keyence Corporation| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||IMTM|6|15.ASSET|Equity|802.3|9.55|OR| L\'Oreal SA| 1.19%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|1.ASSET|Equity|71|3.55|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 5.00%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|2.ASSET|Equity|71|3.32|700| Tencent Holdings Ltd.| 4.67%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|3.ASSET|Equity|71|2.58|9988| Alibaba Group Holding Ltd.| 3.63%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|4.ASSET|Equity|71|1.86|3690| Meituan Class B| 2.62%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|5.ASSET|Equity|71|1.84|500325| Reliance Industries Limited| 2.59%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|6.ASSET|Equity|71|1.59|500209| Infosys Limited| 2.24%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|7.ASSET|Equity|71|1.48|939| China Construction Bank Corporation Class H| 2.09%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|8.ASSET|Equity|71|1.22|2454| MediaTek Inc| 1.72%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|9.ASSET|Equity|71|1.11|500010| Housing Development Finance Corporation Limited| 1.57%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|10.ASSET|Equity|71|1.01|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.42%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|11.ASSET|Equity|71|0.9|532540| Tata Consultancy Services Limited| 1.27%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|12.ASSET|Equity|71|0.67|3968| China Merchants Bank Co., Ltd. Class H| 0.95%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|13.ASSET|Equity|71|0.67|035420| NAVER Corp.| 0.95%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|14.ASSET|Equity|71|0.67|ETISALAT| Emirates Telecommunications Group Company PJSC| 0.95%| Emerging Markets|Equity|Emerging Markets Equities||LDEM|6|15.ASSET|Equity|71|0.64|NIO| NIO Inc. Sponsored ADR Class A| 0.90%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|1.ASSET|Real Estate|620.9|32.6|GMG| Goodman Group| 5.25%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|2.ASSET|Real Estate|620.9|24.77|SGRO| SEGRO plc| 3.99%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|3.ASSET|Real Estate|620.9|24.59|8801| Mitsui Fudosan Co., Ltd.| 3.96%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|4.ASSET|Real Estate|620.9|19.62|823| Link Real Estate Investment Trust| 3.16%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|5.ASSET|Real Estate|620.9|13.35|SCG| Scentre Group| 2.15%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|6.ASSET|Real Estate|620.9|11.18|8951| Nippon Building Fund, Inc.| 1.80%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|7.ASSET|Real Estate|620.9|11.11|LEG| LEG Immobilien SE| 1.79%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|8.ASSET|Real Estate|620.9|9.87|URW| Unibail-Rodamco-Westfield SE Stapled Secs Cons of 1 Sh Unibail Rodamco + 1 Sh WFD Unib Rod| 1.59%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|9.ASSET|Real Estate|620.9|9.81|DXS| Dexus| 1.58%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|10.ASSET|Real Estate|620.9|9.25|C38U| CapitaLand Integrated Commercial Trust| 1.49%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|11.ASSET|Real Estate|620.9|9.19|LAND| Land Securities Group PLC| 1.48%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|12.ASSET|Real Estate|620.9|9.13|3283| Nippon Prologis REIT, Inc.| 1.47%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|13.ASSET|Real Estate|620.9|8.94|SPSN| Swiss Prime Site AG| 1.44%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|14.ASSET|Real Estate|620.9|8.69|8952| Japan Real Estate Investment Corp.| 1.40%| Developed Markets|Real Estate|Global Real Estate|Real Estate|RWX|6|15.ASSET|Real Estate|620.9|8.32|A17U| Ascendas Real Estate Investment Trust| 1.34%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|1.ASSET|Equity|774.4|68.92|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 8.90%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|2.ASSET|Equity|774.4|41.66|700| Tencent Holdings Ltd.| 5.38%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|3.ASSET|Equity|774.4|37.48|005930| Samsung Electronics Co., Ltd.| 4.84%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|4.ASSET|Equity|774.4|26.72|9988| Alibaba Group Holding Ltd.| 3.45%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|5.ASSET|Equity|774.4|11.77|3690| Meituan Class B| 1.52%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|6.ASSET|Equity|774.4|11.69|500325| Reliance Industries Limited| 1.51%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|7.ASSET|Equity|774.4|9.91|500209| Infosys Limited| 1.28%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|8.ASSET|Equity|774.4|9.68|9618| JD.com, Inc. Class A| 1.25%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|9.ASSET|Equity|774.4|9.29|939| China Construction Bank Corporation Class H| 1.20%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|10.ASSET|Equity|774.4|7.9|2454| MediaTek Inc| 1.02%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|11.ASSET|Equity|774.4|7.43|000660| SK hynix Inc| 0.96%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|12.ASSET|Equity|774.4|7.05|500010| Housing Development Finance Corporation Limited| 0.91%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|13.ASSET|Equity|774.4|6.5|532174| ICICI Bank Limited| 0.84%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|14.ASSET|Equity|774.4|6.35|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.82%| Broad Asia|Equity|Asia Pacific Equities||EEMA|6|15.ASSET|Equity|774.4|6.2|2317| Hon Hai Precision Industry Co., Ltd.| 0.80%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|1.ASSET|Multi-Asset|711.5|132.41|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 18.61%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|2.ASSET|Multi-Asset|711.5|121.38|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 17.06%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|3.ASSET|Multi-Asset|711.5|120.67|N/A| United States Treasury Notes 1.125% 31-OCT-2026| 16.96%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|4.ASSET|Multi-Asset|711.5|120.17|N/A| United States Treasury Notes 1.375% 31-OCT-2028| 16.89%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|5.ASSET|Multi-Asset|711.5|119.75|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 16.83%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|6.ASSET|Multi-Asset|711.5|68.45|N/A| OPTIONS| 9.62%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|7.ASSET|Multi-Asset|711.5|20.85|N/A| United States Treasury Notes 0.375% 31-OCT-2023| 2.93%| North America|Multi-Asset|Diversified Portfolio||SWAN|6|8.ASSET|Multi-Asset|711.5|7.9|N/A| U.S. Dollar| 1.11%| Global|Commodity|Precious Metals||BAR|6|1.ASSET|Commodity|990.9|990.9|N/A| Gold| 100.00%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|1.ASSET|Bond|752.9|88.84|N/A| United States Treasury Bond 2.125% 15-FEB-2041| 11.80%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|2.ASSET|Bond|752.9|88.54|N/A| United States Treasury Bond 2.125% 15-FEB-2041| 11.76%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|3.ASSET|Bond|752.9|87.86|N/A| United States Treasury Bond 1.375% 15-FEB-2044| 11.67%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|4.ASSET|Bond|752.9|87.79|N/A| United States Treasury Bond 1.375% 15-FEB-2044| 11.66%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|5.ASSET|Bond|752.9|79.66|N/A| United States Treasury Bond 0.75% 15-FEB-2045| 10.58%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|6.ASSET|Bond|752.9|79.66|N/A| United States Treasury Bond 0.75% 15-FEB-2045| 10.58%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|7.ASSET|Bond|752.9|78.98|N/A| United States Treasury Bond 0.75% 15-FEB-2042| 10.49%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|8.ASSET|Bond|752.9|78.83|N/A| United States Treasury Bond 0.75% 15-FEB-2042| 10.47%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|9.ASSET|Bond|752.9|75.59|N/A| United States Treasury Bond 0.625% 15-FEB-2043| 10.04%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|10.ASSET|Bond|752.9|75.59|N/A| United States Treasury Bond 0.625% 15-FEB-2043| 10.04%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|11.ASSET|Bond|752.9|74.39|N/A| United States Treasury Bond 1.0% 15-FEB-2046| 9.88%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|12.ASSET|Bond|752.9|74.31|N/A| United States Treasury Bond 1.0% 15-FEB-2046| 9.87%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|13.ASSET|Bond|752.9|68.89|N/A| United States Treasury Bond 0.875% 15-FEB-2047| 9.15%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|14.ASSET|Bond|752.9|68.74|N/A| United States Treasury Bond 0.875% 15-FEB-2047| 9.13%| North America|Bond|Inflation-Protected Bonds|TIPS|LTPZ|6|15.ASSET|Bond|752.9|67.76|N/A| United States Treasury Bond 1.0% 15-FEB-2048| 9.00%| North America|Equity|Small Cap Growth Equities||SMMV|6|1.ASSET|Equity|779.4|13.17|RGLD| Royal Gold, Inc.| 1.69%| North America|Equity|Small Cap Growth Equities||SMMV|6|2.ASSET|Equity|779.4|10.83|SCI| Service Corporation International| 1.39%| North America|Equity|Small Cap Growth Equities||SMMV|6|3.ASSET|Equity|779.4|9.9|ATR| Aptargroup, Inc.| 1.27%| North America|Equity|Small Cap Growth Equities||SMMV|6|4.ASSET|Equity|779.4|9.9|ZNGA| Zynga Inc. Class A| 1.27%| North America|Equity|Small Cap Growth Equities||SMMV|6|5.ASSET|Equity|779.4|9.74|BJ| BJ\'s Wholesale Club Holdings, Inc.| 1.25%| North America|Equity|Small Cap Growth Equities||SMMV|6|6.ASSET|Equity|779.4|9.43|LSTR| Landstar System, Inc.| 1.21%| North America|Equity|Small Cap Growth Equities||SMMV|6|7.ASSET|Equity|779.4|9.27|AMH| American Homes 4 Rent Class A| 1.19%| North America|Equity|Small Cap Growth Equities||SMMV|6|8.ASSET|Equity|779.4|8.96|CDK| CDK Global, Inc.| 1.15%| North America|Equity|Small Cap Growth Equities||SMMV|6|9.ASSET|Equity|779.4|8.81|FLO| Flowers Foods, Inc.| 1.13%| North America|Equity|Small Cap Growth Equities||SMMV|6|10.ASSET|Equity|779.4|8.5|IDA| IDACORP, Inc.| 1.09%| North America|Equity|Small Cap Growth Equities||SMMV|6|11.ASSET|Equity|779.4|8.18|CUBE| CubeSmart| 1.05%| North America|Equity|Small Cap Growth Equities||SMMV|6|12.ASSET|Equity|779.4|8.18|FCN| FTI Consulting, Inc.| 1.05%| North America|Equity|Small Cap Growth Equities||SMMV|6|13.ASSET|Equity|779.4|8.11|UTHR| United Therapeutics Corporation| 1.04%| North America|Equity|Small Cap Growth Equities||SMMV|6|14.ASSET|Equity|779.4|8.03|THG| Hanover Insurance Group, Inc.| 1.03%| North America|Equity|Small Cap Growth Equities||SMMV|6|15.ASSET|Equity|779.4|7.72|MMS| MAXIMUS, Inc.| 0.99%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|1.ASSET|Bond|1044|9.71|N/A| EMC Corporation 6.02% 15-JUN-2026| 0.93%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|2.ASSET|Bond|1044|7.83|N/A| Microsoft Corporation 2.4% 08-AUG-2026| 0.75%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|3.ASSET|Bond|1044|7.52|N/A| AbbVie Inc. 2.95% 21-NOV-2026| 0.72%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|4.ASSET|Bond|1044|6.79|N/A| Boeing Company 2.196% 04-FEB-2026| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|5.ASSET|Bond|1044|6.58|N/A| International Business Machines Corporation 3.3% 15-MAY-2026| 0.63%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|6.ASSET|Bond|1044|6.58|N/A| AerCap Ireland Capital DAC 2.45% 29-OCT-2026| 0.63%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|7.ASSET|Bond|1044|6.58|N/A| Morgan Stanley & Co. LLC 3.875% 27-JAN-2026| 0.63%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|8.ASSET|Bond|1044|6.26|N/A| Wells Fargo & Company 3.0% 23-OCT-2026| 0.60%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|9.ASSET|Bond|1044|6.26|N/A| Anheuser-Busch Cos. LLC 3.65% 01-FEB-2026| 0.60%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|10.ASSET|Bond|1044|6.26|N/A| Goldman Sachs Group, Inc. 3.5% 16-NOV-2026| 0.60%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|11.ASSET|Bond|1044|6.16|N/A| Wells Fargo & Company 3.0% 22-APR-2026| 0.59%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|12.ASSET|Bond|1044|6.16|N/A| Berkshire Hathaway Inc. 3.125% 15-MAR-2026| 0.59%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|13.ASSET|Bond|1044|6.06|N/A| Citigroup Inc. 3.2% 21-OCT-2026| 0.58%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|14.ASSET|Bond|1044|5.95|N/A| Barclays Plc 4.375% 12-JAN-2026| 0.57%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDR|6|15.ASSET|Bond|1044|5.95|N/A| Gilead Sciences, Inc. 3.65% 01-MAR-2026| 0.57%| North America|Equity|Industrials Equities|Industrials|FIDU|6|1.ASSET|Equity|806.2|32.65|UNP| Union Pacific Corporation| 4.05%| North America|Equity|Industrials Equities|Industrials|FIDU|6|2.ASSET|Equity|806.2|32.25|RTX| Raytheon Technologies Corporation| 4.00%| North America|Equity|Industrials Equities|Industrials|FIDU|6|3.ASSET|Equity|806.2|31.44|UPS| United Parcel Service, Inc. Class B| 3.90%| North America|Equity|Industrials Equities|Industrials|FIDU|6|4.ASSET|Equity|806.2|26.52|HON| Honeywell International Inc.| 3.29%| North America|Equity|Industrials Equities|Industrials|FIDU|6|5.ASSET|Equity|806.2|23.78|LMT| Lockheed Martin Corporation| 2.95%| North America|Equity|Industrials Equities|Industrials|FIDU|6|6.ASSET|Equity|806.2|22.82|BA| Boeing Company| 2.83%| North America|Equity|Industrials Equities|Industrials|FIDU|6|7.ASSET|Equity|806.2|22.17|DE| Deere & Company| 2.75%| North America|Equity|Industrials Equities|Industrials|FIDU|6|8.ASSET|Equity|806.2|21.28|GE| General Electric Company| 2.64%| North America|Equity|Industrials Equities|Industrials|FIDU|6|9.ASSET|Equity|806.2|20.72|CAT| Caterpillar Inc.| 2.57%| North America|Equity|Industrials Equities|Industrials|FIDU|6|10.ASSET|Equity|806.2|17.49|MMM| 3M Company| 2.17%| North America|Equity|Industrials Equities|Industrials|FIDU|6|11.ASSET|Equity|806.2|15.48|CSX| CSX Corporation| 1.92%| North America|Equity|Industrials Equities|Industrials|FIDU|6|12.ASSET|Equity|806.2|14.43|NOC| Northrop Grumman Corporation| 1.79%| North America|Equity|Industrials Equities|Industrials|FIDU|6|13.ASSET|Equity|806.2|13.87|ITW| Illinois Tool Works Inc.| 1.72%| North America|Equity|Industrials Equities|Industrials|FIDU|6|14.ASSET|Equity|806.2|12.98|NSC| Norfolk Southern Corporation| 1.61%| North America|Equity|Industrials Equities|Industrials|FIDU|6|15.ASSET|Equity|806.2|12.82|WM| Waste Management, Inc.| 1.59%| Global|Commodity|Commodities||BCI|6|1.ASSET|Commodity|977.3|246.87|N/A| EQUITY OTHER| 25.26%| Global|Commodity|Commodities||BCI|6|2.ASSET|Commodity|977.3|88.84|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 9.09%| Global|Commodity|Commodities||BCI|6|3.ASSET|Commodity|977.3|68.8|N/A| United States Treasury Bills 0.0% 28-APR-2022| 7.04%| Global|Commodity|Commodities||BCI|6|4.ASSET|Commodity|977.3|64.89|N/A| MUTUAL FUND (OTHER)| 6.64%| Global|Commodity|Commodities||BCI|6|5.ASSET|Commodity|977.3|59.62|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 6.10%| Global|Commodity|Commodities||BCI|6|6.ASSET|Commodity|977.3|49.06|N/A| United States Treasury Bills 0.0% 30-JUN-2022| 5.02%| Global|Commodity|Commodities||BCI|6|7.ASSET|Commodity|977.3|41.73|N/A| United States Treasury Bills 0.0% 01-SEP-2022| 4.27%| Global|Commodity|Commodities||BCI|6|8.ASSET|Commodity|977.3|37.92|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 3.88%| Global|Commodity|Commodities||BCI|6|9.ASSET|Commodity|977.3|36.84|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 3.77%| Global|Commodity|Commodities||BCI|6|10.ASSET|Commodity|977.3|34.5|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 3.53%| Global|Commodity|Commodities||BCI|6|11.ASSET|Commodity|977.3|34.4|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 3.52%| Global|Commodity|Commodities||BCI|6|12.ASSET|Commodity|977.3|27.17|N/A| United States Treasury Bills 0.0% 04-AUG-2022| 2.78%| Global|Commodity|Commodities||BCI|6|13.ASSET|Commodity|977.3|26.68|N/A| United States Treasury Bills 0.0% 21-APR-2022| 2.73%| Global|Commodity|Commodities||BCI|6|14.ASSET|Commodity|977.3|22.18|N/A| United States Treasury Bills 0.0% 07-APR-2022| 2.27%| Global|Commodity|Commodities||BCI|6|15.ASSET|Commodity|977.3|20.03|N/A| United States Treasury Bills 0.0% 14-APR-2022| 2.05%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|1.ASSET|Equity|815.2|4.81|N/A| U.S. Dollar| 0.59%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|2.ASSET|Equity|815.2|4.73|AAL| Anglo American plc| 0.58%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|3.ASSET|Equity|815.2|4.24|BATS| British American Tobacco p.l.c.| 0.52%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|4.ASSET|Equity|815.2|4.24|BHP| BHP Group Ltd| 0.52%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|5.ASSET|Equity|815.2|4.24|1605| INPEX CORPORATION| 0.52%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|6.ASSET|Equity|815.2|3.99|AZN| AstraZeneca PLC| 0.49%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|7.ASSET|Equity|815.2|3.99|BOL| Boliden AB| 0.49%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|8.ASSET|Equity|815.2|3.91|8002| Marubeni Corporation| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|9.ASSET|Equity|815.2|3.91|STO| Santos Limited| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|10.ASSET|Equity|815.2|3.83|KPN| Royal KPN NV| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|11.ASSET|Equity|815.2|3.75|BHP| BHP Group Ltd| 0.46%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|12.ASSET|Equity|815.2|3.75|9433| KDDI Corporation| 0.46%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|13.ASSET|Equity|815.2|3.59|9432| Nippon Telegraph and Telephone Corporation| 0.44%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|14.ASSET|Equity|815.2|3.59|SOON| Sonova Holding AG| 0.44%| Developed Markets|Equity|Foreign Large Cap Equities||JPIN|6|15.ASSET|Equity|815.2|3.59|RIO| Rio Tinto plc| 0.44%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|1.ASSET|Bond|889.4|123.89|N/A| U.S. Dollar| 13.93%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|2.ASSET|Bond|889.4|87.61|N/A| DERIVATIVE SECURITIES (OTHER)| 9.85%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|3.ASSET|Bond|889.4|74.53|N/A| GNMA II TBA 30yr 3.5% March Delivery 3.500% 01-MAR-2051| 8.38%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|4.ASSET|Bond|889.4|62.26|N/A| UMBS TBA 15yr 2.5% March Delivery 2.500% 01-AUG-2034| 7.00%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|5.ASSET|Bond|889.4|44.65|N/A| UMBS TBA 15yr 2% March Delivery 2.000% 01-NOV-2036| 5.02%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|6.ASSET|Bond|889.4|33.89|N/A| FIXED INCOME (UNCLASSFIED)| 3.81%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|7.ASSET|Bond|889.4|29.79|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-NOV-2051| 3.35%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|8.ASSET|Bond|889.4|27.13|N/A| GNMA II TBA 30yr 3% March Delivery 3.000% 01-DEC-2048| 3.05%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|9.ASSET|Bond|889.4|20.72|N/A| FNMA 30yr Pool#FS0662 2.500% 01-Feb-2052 2.5% 01-FEB-2052| 2.33%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|10.ASSET|Bond|889.4|19.83|N/A| FNMA 30yr Pool#FM2847 3.000% 01-Apr-2048 3.0% 01-APR-2048| 2.23%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|11.ASSET|Bond|889.4|16.28|N/A| FNMA 30yr Pool#BT9511 2.500% 01-Dec-2051 2.5% 01-DEC-2051| 1.83%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|12.ASSET|Bond|889.4|13.07|N/A| GNMA II TBA 30yr 2.5% March Delivery 2.500% 01-SEP-2049| 1.47%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|13.ASSET|Bond|889.4|11.65|N/A| GNMA II TBA 30yr 4% March Delivery 4.000% 01-MAR-2051| 1.31%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|14.ASSET|Bond|889.4|9.69|N/A| UMBS TBA 15yr 3% March Delivery 3.000% 01-SEP-2033| 1.09%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|JMBS|6|15.ASSET|Bond|889.4|9.34|N/A| FNMA 30yr Pool#FS0863 3.000% 01-Mar-2052 3.0% 01-MAR-2052| 1.05%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|1.ASSET|Equity|788.9|2.13|SSIXX| State Street Institutional Liquid Reserves Fund| 0.27%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|2.ASSET|Equity|788.9|2.05|CPG| Crescent Point Energy Corp.| 0.26%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|3.ASSET|Equity|788.9|1.89|BTE| Baytex Energy Corp.| 0.24%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|4.ASSET|Equity|788.9|1.89|8956| NTT UD REIT Investment Corporation| 0.24%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|5.ASSET|Equity|788.9|1.81|MEG| MEG Energy Corp.| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|6.ASSET|Equity|788.9|1.81|9601| Shochiku Co., Ltd.| 0.23%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|7.ASSET|Equity|788.9|1.74|N/A| U.S. Dollar| 0.22%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|8.ASSET|Equity|788.9|1.66|PTEC| Playtech plc| 0.21%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|9.ASSET|Equity|788.9|1.66|9682| DTS Corporation| 0.21%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|10.ASSET|Equity|788.9|1.66|VET| Vermilion Energy Inc.| 0.21%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|11.ASSET|Equity|788.9|1.66|NSR| National Storage REIT| 0.21%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|12.ASSET|Equity|788.9|1.58|6323| Rorze Corporation| 0.20%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|13.ASSET|Equity|788.9|1.5|5631| Japan Steel Works, Ltd.| 0.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|14.ASSET|Equity|788.9|1.5|NEWA.B| New Wave Group AB Class B| 0.19%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||GWX|6|15.ASSET|Equity|788.9|1.5|3296| NIPPON REIT Investment Corp| 0.19%| North America|Equity|MLPs|Energy|MLPX|6|1.ASSET|Equity|913.4|84.4|WMB| Williams Companies, Inc.| 9.24%| North America|Equity|MLPs|Energy|MLPX|6|2.ASSET|Equity|913.4|83.48|TRP| TC Energy Corporation| 9.14%| North America|Equity|MLPs|Energy|MLPX|6|3.ASSET|Equity|913.4|81.48|ENB| Enbridge Inc.| 8.92%| North America|Equity|MLPs|Energy|MLPX|6|4.ASSET|Equity|913.4|72.98|KMI| Kinder Morgan Inc Class P| 7.99%| North America|Equity|MLPs|Energy|MLPX|6|5.ASSET|Equity|913.4|63.57|LNG| Cheniere Energy, Inc.| 6.96%| North America|Equity|MLPs|Energy|MLPX|6|6.ASSET|Equity|913.4|63.02|OKE| ONEOK, Inc.| 6.90%| North America|Equity|MLPs|Energy|MLPX|6|7.ASSET|Equity|913.4|42.84|PPL| Pembina Pipeline Corporation| 4.69%| North America|Equity|MLPs|Energy|MLPX|6|8.ASSET|Equity|913.4|41.83|TRGP| Targa Resources Corp.| 4.58%| North America|Equity|MLPs|Energy|MLPX|6|9.ASSET|Equity|913.4|41.38|ET| Energy Transfer, L.P.| 4.53%| North America|Equity|MLPs|Energy|MLPX|6|10.ASSET|Equity|913.4|40.83|EPD| Enterprise Products Partners L.P.| 4.47%| North America|Equity|MLPs|Energy|MLPX|6|11.ASSET|Equity|913.4|40.1|AM| Antero Midstream Corp.| 4.39%| North America|Equity|MLPs|Energy|MLPX|6|12.ASSET|Equity|913.4|33.89|ETRN| Equitrans Midstream Corp.| 3.71%| North America|Equity|MLPs|Energy|MLPX|6|13.ASSET|Equity|913.4|33.16|MMP| Magellan Midstream Partners, L.P.| 3.63%| North America|Equity|MLPs|Energy|MLPX|6|14.ASSET|Equity|913.4|31.69|MPLX| MPLX LP| 3.47%| North America|Equity|MLPs|Energy|MLPX|6|15.ASSET|Equity|913.4|30.23|ENLC| EnLink Midstream LLC| 3.31%| Developed Markets|Equity|Materials|Materials|IYM|6|1.ASSET|Equity|817.3|83.04|FCX| Freeport-McMoRan, Inc.| 10.16%| Developed Markets|Equity|Materials|Materials|IYM|6|2.ASSET|Equity|817.3|66.53|NEM| Newmont Corporation| 8.14%| Developed Markets|Equity|Materials|Materials|IYM|6|3.ASSET|Equity|817.3|60.48|APD| Air Products and Chemicals, Inc.| 7.40%| Developed Markets|Equity|Materials|Materials|IYM|6|4.ASSET|Equity|817.3|52.8|DOW| Dow, Inc.| 6.46%| Developed Markets|Equity|Materials|Materials|IYM|6|5.ASSET|Equity|817.3|50.92|ECL| Ecolab Inc.| 6.23%| Developed Markets|Equity|Materials|Materials|IYM|6|6.ASSET|Equity|817.3|41.11|NUE| Nucor Corporation| 5.03%| Developed Markets|Equity|Materials|Materials|IYM|6|7.ASSET|Equity|817.3|39.56|IFF| International Flavors & Fragrances Inc.| 4.84%| Developed Markets|Equity|Materials|Materials|IYM|6|8.ASSET|Equity|817.3|30.65|LYB| LyondellBasell Industries NV| 3.75%| Developed Markets|Equity|Materials|Materials|IYM|6|9.ASSET|Equity|817.3|30.08|FAST| Fastenal Company| 3.68%| Developed Markets|Equity|Materials|Materials|IYM|6|10.ASSET|Equity|817.3|26.64|MOS| Mosaic Company| 3.26%| Developed Markets|Equity|Materials|Materials|IYM|6|11.ASSET|Equity|817.3|24.19|CF| CF Industries Holdings, Inc.| 2.96%| Developed Markets|Equity|Materials|Materials|IYM|6|12.ASSET|Equity|817.3|23.62|ALB| Albemarle Corporation| 2.89%| Developed Markets|Equity|Materials|Materials|IYM|6|13.ASSET|Equity|817.3|21.74|IP| International Paper Company| 2.66%| Developed Markets|Equity|Materials|Materials|IYM|6|14.ASSET|Equity|817.3|21|EMN| Eastman Chemical Company| 2.57%| Developed Markets|Equity|Materials|Materials|IYM|6|15.ASSET|Equity|817.3|20.84|CE| Celanese Corporation| 2.55%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|1.ASSET|Bond|888.1|8.44|N/A| Banco Bilbao Vizcaya Argentaria Sociedad Anonima 0.875% 18-SEP-2023| 0.95%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|2.ASSET|Bond|888.1|7.73|N/A| Intesa Sanpaolo S.p.A. 5.25% 12-JAN-2024| 0.87%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|3.ASSET|Bond|888.1|6.84|N/A| Sands China Ltd. 5.4% 08-AUG-2028| 0.77%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|4.ASSET|Bond|888.1|6.75|N/A| Trane Technologies Global Holding Co. Ltd. 4.25% 15-JUN-2023| 0.76%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|5.ASSET|Bond|888.1|4.97|N/A| RELX Capital, Inc. 3.5% 16-MAR-2023| 0.56%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|6.ASSET|Bond|888.1|4.35|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.49%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|7.ASSET|Bond|888.1|4|N/A| Bank of Nova Scotia 1.05% 02-MAR-2026| 0.45%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|8.ASSET|Bond|888.1|3.82|N/A| Avangrid, Inc. 3.8% 01-JUN-2029| 0.43%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|9.ASSET|Bond|888.1|3.73|N/A| Banco Bilbao Vizcaya Argentaria Sociedad Anonima 1.125% 18-SEP-2025| 0.42%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|10.ASSET|Bond|888.1|3.46|N/A| Bunge Limited Finance Corp. 4.35% 15-MAR-2024| 0.39%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|11.ASSET|Bond|888.1|3.29|N/A| Diageo Capital Plc 2.125% 24-OCT-2024| 0.37%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|12.ASSET|Bond|888.1|3.2|N/A| Diageo Capital Plc 2.625% 29-APR-2023| 0.36%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|13.ASSET|Bond|888.1|3.2|N/A| Ecolab Inc. 2.7% 01-NOV-2026| 0.36%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|14.ASSET|Bond|888.1|3.11|N/A| Bank of Nova Scotia 3.4% 11-FEB-2024| 0.35%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SUSC|6|15.ASSET|Bond|888.1|2.84|N/A| BBVA USA 2.5% 27-AUG-2024| 0.32%| North America|Equity|Utilities Equities|Utilities|IDU|6|1.ASSET|Equity|878.1|118.89|NEE| NextEra Energy, Inc.| 13.54%| North America|Equity|Utilities Equities|Utilities|IDU|6|2.ASSET|Equity|878.1|60.15|DUK| Duke Energy Corporation| 6.85%| North America|Equity|Utilities Equities|Utilities|IDU|6|3.ASSET|Equity|878.1|53.04|SO| Southern Company| 6.04%| North America|Equity|Utilities Equities|Utilities|IDU|6|4.ASSET|Equity|878.1|49.96|D| Dominion Energy Inc| 5.69%| North America|Equity|Utilities Equities|Utilities|IDU|6|5.ASSET|Equity|878.1|48.38|WM| Waste Management, Inc.| 5.51%| North America|Equity|Utilities Equities|Utilities|IDU|6|6.ASSET|Equity|878.1|36.35|SRE| Sempra Energy| 4.14%| North America|Equity|Utilities Equities|Utilities|IDU|6|7.ASSET|Equity|878.1|35.3|AEP| American Electric Power Company, Inc.| 4.02%| North America|Equity|Utilities Equities|Utilities|IDU|6|8.ASSET|Equity|878.1|32.23|EXC| Exelon Corporation| 3.67%| North America|Equity|Utilities Equities|Utilities|IDU|6|9.ASSET|Equity|878.1|28.01|XEL| Xcel Energy Inc.| 3.19%| North America|Equity|Utilities Equities|Utilities|IDU|6|10.ASSET|Equity|878.1|25.46|PEG| Public Service Enterprise Group Inc| 2.90%| North America|Equity|Utilities Equities|Utilities|IDU|6|11.ASSET|Equity|878.1|23.62|ED| Consolidated Edison, Inc.| 2.69%| North America|Equity|Utilities Equities|Utilities|IDU|6|12.ASSET|Equity|878.1|22.04|WEC| WEC Energy Group Inc| 2.51%| North America|Equity|Utilities Equities|Utilities|IDU|6|13.ASSET|Equity|878.1|21.6|ES| Eversource Energy| 2.46%| North America|Equity|Utilities Equities|Utilities|IDU|6|14.ASSET|Equity|878.1|21.43|AWK| American Water Works Company, Inc.| 2.44%| North America|Equity|Utilities Equities|Utilities|IDU|6|15.ASSET|Equity|878.1|19.93|RSG| Republic Services, Inc.| 2.27%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|1.ASSET|Equity|746.9|29.5|ADRO| PT Adaro Energy Indonesia Tbk| 3.95%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|2.ASSET|Equity|746.9|22.33|2380| China Power International Development Ltd| 2.99%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|3.ASSET|Equity|746.9|22.11|1171| Yankuang Energy Group Company Limited Class H| 2.96%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|4.ASSET|Equity|746.9|21.36|PTBA| PT Bukit Asam Tbk| 2.86%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|5.ASSET|Equity|746.9|19.12|TAEE11| Transmissora Alianca De Energia Eletrica S.A. Unit| 2.56%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|6.ASSET|Equity|746.9|18.37|DTAC.R| Total Access Communication Public Co., Ltd. NVDR| 2.46%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|7.ASSET|Equity|746.9|17.33|TRPL4| Compania de Transmissao de Energia Eletrica Paulista Pfd| 2.32%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|8.ASSET|Equity|746.9|15.76|8112| Supreme Electronics Co., Ltd.| 2.11%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|9.ASSET|Equity|746.9|15.09|TCAP.R| Thanachart Capital Public Co., Ltd. NVDR| 2.02%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|10.ASSET|Equity|746.9|15.01|DIC| Dubai Investment (P.J.S.C)| 2.01%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|11.ASSET|Equity|746.9|14.86|JAS.R| Jasmine International Public Co. Ltd. NVDR| 1.99%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|12.ASSET|Equity|746.9|14.79|CEZ| CEZ as| 1.98%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|13.ASSET|Equity|746.9|14.27|VIVT3| Telefonica Brasil S.A.| 1.91%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|14.ASSET|Equity|746.9|14.19|1088| China Shenhua Energy Co. Ltd. Class H| 1.90%| Emerging Markets|Equity|Emerging Markets Equities||DVYE|6|15.ASSET|Equity|746.9|13.37|KIO| Kumba Iron Ore Limited| 1.79%| Developed Markets|Multi-Asset|n/a||TDSC|6|1.ASSET|Multi-Asset|813.5|84.52|AAAU| Goldman Sachs Physical Gold ETF| 10.39%| Developed Markets|Multi-Asset|n/a||TDSC|6|2.ASSET|Multi-Asset|813.5|83.55|VHT| Vanguard Health Care ETF| 10.27%| Developed Markets|Multi-Asset|n/a||TDSC|6|3.ASSET|Multi-Asset|813.5|82.33|VPU| Vanguard Utilities ETF| 10.12%| Developed Markets|Multi-Asset|n/a||TDSC|6|4.ASSET|Multi-Asset|813.5|81.92|QQQM| Invesco NASDAQ 100 ETF| 10.07%| Developed Markets|Multi-Asset|n/a||TDSC|6|5.ASSET|Multi-Asset|813.5|81.76|VDC| Vanguard Consumer Staples ETF| 10.05%| Developed Markets|Multi-Asset|n/a||TDSC|6|6.ASSET|Multi-Asset|813.5|80.21|DIA| SPDR Dow Jones Industrial Average ETF Trust| 9.86%| Developed Markets|Multi-Asset|n/a||TDSC|6|7.ASSET|Multi-Asset|813.5|80.21|VGIT| Vanguard Intermediate-Term Treasury ETF| 9.86%| Developed Markets|Multi-Asset|n/a||TDSC|6|8.ASSET|Multi-Asset|813.5|79.64|BIV| Vanguard Intermediate-Term Bond ETF| 9.79%| Developed Markets|Multi-Asset|n/a||TDSC|6|9.ASSET|Multi-Asset|813.5|78.26|VGLT| Vanguard Long-Term Treasury ETF| 9.62%| Developed Markets|Multi-Asset|n/a||TDSC|6|10.ASSET|Multi-Asset|813.5|77.2|BLV| Vanguard Long-Term Bond ETF| 9.49%| North America|Equity|Mid Cap Value Equities||IVOV|6|1.ASSET|Equity|833|9.66|MPW| Medical Properties Trust, Inc.| 1.16%| North America|Equity|Mid Cap Value Equities||IVOV|6|2.ASSET|Equity|833|7.08|LEA| Lear Corporation| 0.85%| North America|Equity|Mid Cap Value Equities||IVOV|6|3.ASSET|Equity|833|7.08|ACM| AECOM| 0.85%| North America|Equity|Mid Cap Value Equities||IVOV|6|4.ASSET|Equity|833|6.83|RS| Reliance Steel & Aluminum Co.| 0.82%| North America|Equity|Mid Cap Value Equities||IVOV|6|5.ASSET|Equity|833|6.75|UGI| UGI Corporation| 0.81%| North America|Equity|Mid Cap Value Equities||IVOV|6|6.ASSET|Equity|833|6.66|KNX| Knight-Swift Transportation Holdings Inc. Class A| 0.80%| North America|Equity|Mid Cap Value Equities||IVOV|6|7.ASSET|Equity|833|6.58|FHN| First Horizon Corporation| 0.79%| North America|Equity|Mid Cap Value Equities||IVOV|6|8.ASSET|Equity|833|6.5|Y| Alleghany Corporation| 0.78%| North America|Equity|Mid Cap Value Equities||IVOV|6|9.ASSET|Equity|833|6.41|KSS| Kohl\'s Corporation| 0.77%| North America|Equity|Mid Cap Value Equities||IVOV|6|10.ASSET|Equity|833|6.33|OC| Owens Corning| 0.76%| North America|Equity|Mid Cap Value Equities||IVOV|6|11.ASSET|Equity|833|6.33|LAD| Lithia Motors, Inc.| 0.76%| North America|Equity|Mid Cap Value Equities||IVOV|6|12.ASSET|Equity|833|6.16|ARW| Arrow Electronics, Inc.| 0.74%| North America|Equity|Mid Cap Value Equities||IVOV|6|13.ASSET|Equity|833|6.16|MOH| Molina Healthcare, Inc.| 0.74%| North America|Equity|Mid Cap Value Equities||IVOV|6|14.ASSET|Equity|833|6.08|JAZZ| Jazz Pharmaceuticals Public Limited Company| 0.73%| North America|Equity|Mid Cap Value Equities||IVOV|6|15.ASSET|Equity|833|6|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.72%| North America|Equity|Small Cap Blend Equities||SMDV|6|1.ASSET|Equity|896.1|14.34|SJI| South Jersey Industries, Inc.| 1.60%| North America|Equity|Small Cap Blend Equities||SMDV|6|2.ASSET|Equity|896.1|14.25|ANDE| Andersons, Inc.| 1.59%| North America|Equity|Small Cap Blend Equities||SMDV|6|3.ASSET|Equity|896.1|12.1|WOR| Worthington Industries, Inc.| 1.35%| North America|Equity|Small Cap Blend Equities||SMDV|6|4.ASSET|Equity|896.1|12.1|SPTN| SpartanNash Company| 1.35%| North America|Equity|Small Cap Blend Equities||SMDV|6|5.ASSET|Equity|896.1|12.1|NWN| Northwest Natural Holding Co.| 1.35%| North America|Equity|Small Cap Blend Equities||SMDV|6|6.ASSET|Equity|896.1|11.83|BANF| BancFirst Corporation| 1.32%| North America|Equity|Small Cap Blend Equities||SMDV|6|7.ASSET|Equity|896.1|11.83|AUB| Atlantic Union Bankshares Corporation| 1.32%| North America|Equity|Small Cap Blend Equities||SMDV|6|8.ASSET|Equity|896.1|11.74|JJSF| J & J Snack Foods Corp.| 1.31%| North America|Equity|Small Cap Blend Equities||SMDV|6|9.ASSET|Equity|896.1|11.47|UVV| Universal Corp| 1.28%| North America|Equity|Small Cap Blend Equities||SMDV|6|10.ASSET|Equity|896.1|11.29|AVA| Avista Corporation| 1.26%| North America|Equity|Small Cap Blend Equities||SMDV|6|11.ASSET|Equity|896.1|11.29|NJR| New Jersey Resources Corporation| 1.26%| North America|Equity|Small Cap Blend Equities||SMDV|6|12.ASSET|Equity|896.1|11.2|TRN| Trinity Industries, Inc.| 1.25%| North America|Equity|Small Cap Blend Equities||SMDV|6|13.ASSET|Equity|896.1|11.2|ASB| Associated Banc-Corp| 1.25%| North America|Equity|Small Cap Blend Equities||SMDV|6|14.ASSET|Equity|896.1|11.11|ENSG| Ensign Group, Inc.| 1.24%| North America|Equity|Small Cap Blend Equities||SMDV|6|15.ASSET|Equity|896.1|11.02|FULT| Fulton Financial Corporation| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|1.ASSET|Equity|853.8|22.97|NESN| Nestle S.A.| 2.69%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|2.ASSET|Equity|853.8|21.86|ROG| Roche Holding Ltd| 2.56%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|3.ASSET|Equity|853.8|16.65|NOVO.B| Novo Nordisk A/S Class B| 1.95%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|4.ASSET|Equity|853.8|15.88|NOVN| Novartis AG| 1.86%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|5.ASSET|Equity|853.8|11.95|ASML| ASML Holding NV| 1.40%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|6.ASSET|Equity|853.8|10.5|ULVR| Unilever PLC| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|7.ASSET|Equity|853.8|9.99|GSK| GlaxoSmithKline plc| 1.17%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|8.ASSET|Equity|853.8|9.05|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.06%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|9.ASSET|Equity|853.8|8.11|SHEL| Shell PLC| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|10.ASSET|Equity|853.8|7.43|RIO| Rio Tinto plc| 0.87%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|11.ASSET|Equity|853.8|7.34|BHP| BHP Group Ltd| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|12.ASSET|Equity|853.8|7.34|HSBA| HSBC Holdings Plc| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|13.ASSET|Equity|853.8|6.57|6861| Keyence Corporation| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|14.ASSET|Equity|853.8|6.57|OR| L\'Oreal SA| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||QEFA|6|15.ASSET|Equity|853.8|6.4|DGE| Diageo plc| 0.75%| Developed Markets|Equity|Materials|Materials|SILJ|6|1.ASSET|Equity|872.3|109.91|FR| First Majestic Silver Corp.| 12.60%| Developed Markets|Equity|Materials|Materials|SILJ|6|2.ASSET|Equity|872.3|91.07|PAAS| Pan American Silver Corp.| 10.44%| Developed Markets|Equity|Materials|Materials|SILJ|6|3.ASSET|Equity|872.3|78.59|MAG| MAG Silver Corp.| 9.01%| Developed Markets|Equity|Materials|Materials|SILJ|6|4.ASSET|Equity|872.3|71.18|YRI| Yamana Gold Inc.| 8.16%| Developed Markets|Equity|Materials|Materials|SILJ|6|5.ASSET|Equity|872.3|45.97|SSRM| SSR Mining Inc| 5.27%| Developed Markets|Equity|Materials|Materials|SILJ|6|6.ASSET|Equity|872.3|38.03|TRQ| Turquoise Hill Resources Ltd.| 4.36%| Developed Markets|Equity|Materials|Materials|SILJ|6|7.ASSET|Equity|872.3|37.16|SIL| SilverCrest Metals, Inc.| 4.26%| Developed Markets|Equity|Materials|Materials|SILJ|6|8.ASSET|Equity|872.3|31.66|HL| Hecla Mining Company| 3.63%| Developed Markets|Equity|Materials|Materials|SILJ|6|9.ASSET|Equity|872.3|27.22|HMY| Harmony Gold Mining Co. Ltd. Sponsored ADR| 3.12%| Developed Markets|Equity|Materials|Materials|SILJ|6|10.ASSET|Equity|872.3|23.9|AYA| Aya Gold & Silver Inc.| 2.74%| Developed Markets|Equity|Materials|Materials|SILJ|6|11.ASSET|Equity|872.3|22.68|BVN| Compania de Minas Buenaventura SAA Sponsored ADR| 2.60%| Developed Markets|Equity|Materials|Materials|SILJ|6|12.ASSET|Equity|872.3|21.81|EDR| Endeavour Silver Corp.| 2.50%| Developed Markets|Equity|Materials|Materials|SILJ|6|13.ASSET|Equity|872.3|20.32|CS| Capstone Mining Corp.| 2.33%| Developed Markets|Equity|Materials|Materials|SILJ|6|14.ASSET|Equity|872.3|19.19|SVM| Silvercorp Metals Inc.| 2.20%| Developed Markets|Equity|Materials|Materials|SILJ|6|15.ASSET|Equity|872.3|18.93|HBM| Hudbay Minerals Inc| 2.17%| Developed Markets|Equity|Leveraged Equities|Materials|NUGT|6|1.ASSET|Equity|712.6|374.76|GDX| VanEck Gold Miners ETF| 52.59%| Developed Markets|Equity|Leveraged Equities|Materials|NUGT|6|2.ASSET|Equity|712.6|113.73|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 15.96%| Developed Markets|Equity|Leveraged Equities|Materials|NUGT|6|3.ASSET|Equity|712.6|0|DGCXX| Dreyfus Government Cash Management Funds Institutional| 0.00%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IGBH|6|1.ASSET|Bond|482.5|453.21|IGLB| iShares 10+ Year Investment Grade Corporate Bond ETF| 93.93%| Developed Markets|Alternatives|Long-Short||QAI|6|1.ASSET|Alternatives|803.8|121.37|VCSH| Vanguard Short-Term Corporate Bond ETF| 15.10%| Developed Markets|Alternatives|Long-Short||QAI|6|2.ASSET|Alternatives|803.8|73.47|CWB| SPDR Bloomberg Convertible Securities ETF| 9.14%| Developed Markets|Alternatives|Long-Short||QAI|6|3.ASSET|Alternatives|803.8|53.61|SRLN| SPDR Blackstone Senior Loan ETF| 6.67%| Developed Markets|Alternatives|Long-Short||QAI|6|4.ASSET|Alternatives|803.8|47.18|ULTR| IQ Ultra Short Duration ETF| 5.87%| Developed Markets|Alternatives|Long-Short||QAI|6|5.ASSET|Alternatives|803.8|32.63|BKLN| Invesco Senior Loan ETF| 4.06%| Developed Markets|Alternatives|Long-Short||QAI|6|6.ASSET|Alternatives|803.8|32.07|FLOT| iShares Floating Rate Bond ETF| 3.99%| Developed Markets|Alternatives|Long-Short||QAI|6|7.ASSET|Alternatives|803.8|30.22|VWO| Vanguard FTSE Emerging Markets ETF| 3.76%| Developed Markets|Alternatives|Long-Short||QAI|6|8.ASSET|Alternatives|803.8|27.97|IEMG| iShares Core MSCI Emerging Markets ETF| 3.48%| Developed Markets|Alternatives|Long-Short||QAI|6|9.ASSET|Alternatives|803.8|24.11|IEI| iShares 3-7 Year Treasury Bond ETF| 3.00%| Developed Markets|Alternatives|Long-Short||QAI|6|10.ASSET|Alternatives|803.8|22.99|VGIT| Vanguard Intermediate-Term Treasury ETF| 2.86%| Developed Markets|Alternatives|Long-Short||QAI|6|11.ASSET|Alternatives|803.8|22.91|SPSB| SPDR Portfolio Short Term Corporate Bond ETF| 2.85%| Developed Markets|Alternatives|Long-Short||QAI|6|12.ASSET|Alternatives|803.8|19.61|EEMV| iShares MSCI Emerging Markets Min Vol Factor ETF| 2.44%| Developed Markets|Alternatives|Long-Short||QAI|6|13.ASSET|Alternatives|803.8|18.81|ICVT| iShares Convertible Bond ETF| 2.34%| Developed Markets|Alternatives|Long-Short||QAI|6|14.ASSET|Alternatives|803.8|16.56|VGK| Vanguard FTSE Europe ETF| 2.06%| Developed Markets|Alternatives|Long-Short||QAI|6|15.ASSET|Alternatives|803.8|15.35|EWX| SPDR S&P Emerging Markets Small Cap ETF| 1.91%| North America|Equity|Large Cap Value Equities||DHS|6|1.ASSET|Equity|945.1|61.62|XOM| Exxon Mobil Corporation| 6.52%| North America|Equity|Large Cap Value Equities||DHS|6|2.ASSET|Equity|945.1|49.33|CVX| Chevron Corporation| 5.22%| North America|Equity|Large Cap Value Equities||DHS|6|3.ASSET|Equity|945.1|47.16|PM| Philip Morris International Inc.| 4.99%| North America|Equity|Large Cap Value Equities||DHS|6|4.ASSET|Equity|945.1|44.61|KO| Coca-Cola Company| 4.72%| North America|Equity|Large Cap Value Equities||DHS|6|5.ASSET|Equity|945.1|44.23|ABBV| AbbVie, Inc.| 4.68%| North America|Equity|Large Cap Value Equities||DHS|6|6.ASSET|Equity|945.1|43.57|PFE| Pfizer Inc.| 4.61%| North America|Equity|Large Cap Value Equities||DHS|6|7.ASSET|Equity|945.1|42.43|MO| Altria Group Inc| 4.49%| North America|Equity|Large Cap Value Equities||DHS|6|8.ASSET|Equity|945.1|41.02|VZ| Verizon Communications Inc.| 4.34%| North America|Equity|Large Cap Value Equities||DHS|6|9.ASSET|Equity|945.1|26.27|MRK| Merck & Co., Inc.| 2.78%| North America|Equity|Large Cap Value Equities||DHS|6|10.ASSET|Equity|945.1|22.12|CSCO| Cisco Systems, Inc.| 2.34%| North America|Equity|Large Cap Value Equities||DHS|6|11.ASSET|Equity|945.1|19|BMY| Bristol-Myers Squibb Company| 2.01%| North America|Equity|Large Cap Value Equities||DHS|6|12.ASSET|Equity|945.1|17.01|DVN| Devon Energy Corporation| 1.80%| North America|Equity|Large Cap Value Equities||DHS|6|13.ASSET|Equity|945.1|17.01|GILD| Gilead Sciences, Inc.| 1.80%| North America|Equity|Large Cap Value Equities||DHS|6|14.ASSET|Equity|945.1|16.16|MS| Morgan Stanley| 1.71%| North America|Equity|Large Cap Value Equities||DHS|6|15.ASSET|Equity|945.1|15.78|AMGN| Amgen Inc.| 1.67%| North America|Equity|Large Cap Growth Equities||PWB|6|1.ASSET|Equity|687.9|25.59|CVX| Chevron Corporation| 3.72%| North America|Equity|Large Cap Growth Equities||PWB|6|2.ASSET|Equity|687.9|23.73|CRM| salesforce.com, inc.| 3.45%| North America|Equity|Large Cap Growth Equities||PWB|6|3.ASSET|Equity|687.9|23.66|ADBE| Adobe Inc.| 3.44%| North America|Equity|Large Cap Growth Equities||PWB|6|4.ASSET|Equity|687.9|23.53|TSLA| Tesla Inc| 3.42%| North America|Equity|Large Cap Growth Equities||PWB|6|5.ASSET|Equity|687.9|23.39|LLY| Eli Lilly and Company| 3.40%| North America|Equity|Large Cap Growth Equities||PWB|6|6.ASSET|Equity|687.9|23.11|COST| Costco Wholesale Corporation| 3.36%| North America|Equity|Large Cap Growth Equities||PWB|6|7.ASSET|Equity|687.9|22.98|MSFT| Microsoft Corporation| 3.34%| North America|Equity|Large Cap Growth Equities||PWB|6|8.ASSET|Equity|687.9|22.77|GOOGL| Alphabet Inc. Class A| 3.31%| North America|Equity|Large Cap Growth Equities||PWB|6|9.ASSET|Equity|687.9|22.77|NVDA| NVIDIA Corporation| 3.31%| North America|Equity|Large Cap Growth Equities||PWB|6|10.ASSET|Equity|687.9|22.7|DHR| Danaher Corporation| 3.30%| North America|Equity|Large Cap Growth Equities||PWB|6|11.ASSET|Equity|687.9|22.49|AMD| Advanced Micro Devices, Inc.| 3.27%| North America|Equity|Large Cap Growth Equities||PWB|6|12.ASSET|Equity|687.9|22.29|AAPL| Apple Inc.| 3.24%| North America|Equity|Large Cap Growth Equities||PWB|6|13.ASSET|Equity|687.9|21.81|ACN| Accenture Plc Class A| 3.17%| North America|Equity|Large Cap Growth Equities||PWB|6|14.ASSET|Equity|687.9|20.71|V| Visa Inc. Class A| 3.01%| North America|Equity|Large Cap Growth Equities||PWB|6|15.ASSET|Equity|687.9|20.57|MA| Mastercard Incorporated Class A| 2.99%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|1.ASSET|Equity|1014.7|137.19|PG| Procter & Gamble Company| 13.52%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|2.ASSET|Equity|1014.7|90|KO| Coca-Cola Company| 8.87%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|3.ASSET|Equity|1014.7|80.67|COST| Costco Wholesale Corporation| 7.95%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|4.ASSET|Equity|1014.7|78.54|PEP| PepsiCo, Inc.| 7.74%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|5.ASSET|Equity|1014.7|72.55|WMT| Walmart Inc.| 7.15%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|6.ASSET|Equity|1014.7|41.91|PM| Philip Morris International Inc.| 4.13%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|7.ASSET|Equity|1014.7|38.86|MO| Altria Group Inc| 3.83%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|8.ASSET|Equity|1014.7|37.65|MDLZ| Mondelez International, Inc. Class A| 3.71%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|9.ASSET|Equity|1014.7|27.19|EL| Estee Lauder Companies Inc. Class A| 2.68%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|10.ASSET|Equity|1014.7|25.57|CL| Colgate-Palmolive Company| 2.52%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|11.ASSET|Equity|1014.7|18.77|ADM| Archer-Daniels-Midland Company| 1.85%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|12.ASSET|Equity|1014.7|18.57|KMB| Kimberly-Clark Corporation| 1.83%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|13.ASSET|Equity|1014.7|18.47|SYY| Sysco Corporation| 1.82%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|14.ASSET|Equity|1014.7|17.05|GIS| General Mills, Inc.| 1.68%| North America|Equity|Consumer Staples Equities|Consumer Staples|FSTA|6|15.ASSET|Equity|1014.7|15.42|KR| Kroger Co.| 1.52%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|1.ASSET|Bond|772.7|4.71|N/A| MUTUAL FUND (OTHER)| 0.61%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|2.ASSET|Bond|772.7|4.56|N/A| Fannie Mae Multifamily REMIC Trust 2020-M1 A2 2.444% 25-OCT-2029| 0.59%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|3.ASSET|Bond|772.7|4.33|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-106 A1 1.783% 25-OCT-2029| 0.56%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|4.ASSET|Bond|772.7|4.17|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-069 A2 3.187% 25-SEP-2027| 0.54%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|5.ASSET|Bond|772.7|3.94|N/A| FIXED INCOME (UNCLASSFIED)| 0.51%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|6.ASSET|Bond|772.7|3.94|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-049 A2 3.01% 25-JUL-2025| 0.51%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|7.ASSET|Bond|772.7|3.94|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-108 A2 1.517% 25-MAR-2030| 0.51%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|8.ASSET|Bond|772.7|3.86|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-076 A2 3.9% 25-APR-2028| 0.50%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|9.ASSET|Bond|772.7|3.86|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-742 A2 1.76% 25-MAR-2028| 0.50%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|10.ASSET|Bond|772.7|3.86|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-125 A2 1.846% 25-JAN-2031| 0.50%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|11.ASSET|Bond|772.7|3.86|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-128 A2 2.02% 25-MAR-2031| 0.50%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|12.ASSET|Bond|772.7|3.79|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-126 A2 2.074% 25-JAN-2031| 0.49%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|13.ASSET|Bond|772.7|3.79|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-120 A2 1.5% 25-OCT-2030| 0.49%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|14.ASSET|Bond|772.7|3.71|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-072 A2 3.444% 25-DEC-2027| 0.48%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|CMBS|6|15.ASSET|Bond|772.7|3.71|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-114 A2 1.366% 25-JUN-2030| 0.48%| Developed Markets|Multi-Asset|Diversified Portfolio||DRSK|6|1.ASSET|Multi-Asset|873.4|182.63|IBDQ| iShares iBonds Dec 2025 Term Corporate ETF| 20.91%| Developed Markets|Multi-Asset|Diversified Portfolio||DRSK|6|2.ASSET|Multi-Asset|873.4|175.03|IBDO| iShares iBonds Dec 2023 Term Corporate ETF| 20.04%| Developed Markets|Multi-Asset|Diversified Portfolio||DRSK|6|3.ASSET|Multi-Asset|873.4|170.4|IBDP| iShares iBonds Dec 2024 Term Corporate ETF| 19.51%| Developed Markets|Multi-Asset|Diversified Portfolio||DRSK|6|4.ASSET|Multi-Asset|873.4|146.21|IBDR| iShares iBonds Dec 2026 Term Corporate ETF| 16.74%| Developed Markets|Multi-Asset|Diversified Portfolio||DRSK|6|5.ASSET|Multi-Asset|873.4|122.71|IBDN| iShares iBonds Dec 2022 Term Corporate ETF| 14.05%| Developed Markets|Multi-Asset|Diversified Portfolio||DRSK|6|6.ASSET|Multi-Asset|873.4|57.99|N/A| U.S. Dollar| 6.64%| Developed Markets|Multi-Asset|Diversified Portfolio||DRSK|6|7.ASSET|Multi-Asset|873.4|18.43|N/A| OPTIONS| 2.11%| Global|Equity|Small Cap Blend Equities||MSOS|6|1.ASSET|Equity|1011.6|608.38|N/A| U.S. Dollar| 60.14%| Global|Equity|Small Cap Blend Equities||MSOS|6|2.ASSET|Equity|1011.6|225.79|N/A| DERIVATIVE SECURITIES (OTHER)| 22.32%| Global|Equity|Small Cap Blend Equities||MSOS|6|3.ASSET|Equity|1011.6|72.53|IIPR| Innovative Industrial Properties Inc| 7.17%| Global|Equity|Small Cap Blend Equities||MSOS|6|4.ASSET|Equity|1011.6|33.28|GRWG| GrowGeneration Corp.| 3.29%| Global|Equity|Small Cap Blend Equities||MSOS|6|5.ASSET|Equity|1011.6|29.54|HYFM| Hydrofarm Holdings Group, Inc.| 2.92%| Global|Equity|Small Cap Blend Equities||MSOS|6|6.ASSET|Equity|1011.6|15.17|PW| Power REIT| 1.50%| Global|Equity|Small Cap Blend Equities||MSOS|6|7.ASSET|Equity|1011.6|10.32|AGFY| Agrify Corp.| 1.02%| Global|Equity|Small Cap Blend Equities||MSOS|6|8.ASSET|Equity|1011.6|6.27|UGRO| urban-gro Inc| 0.62%| Global|Equity|Small Cap Blend Equities||MSOS|6|9.ASSET|Equity|1011.6|4.96|RIV| RIV Capital, Inc. Class A| 0.49%| Global|Equity|Small Cap Blend Equities||MSOS|6|10.ASSET|Equity|1011.6|4.65|AFCG| AFC Gamma, Inc.| 0.46%| Global|Equity|Small Cap Blend Equities||MSOS|6|11.ASSET|Equity|1011.6|0.71|CBD.USD| Hempfusion Wellness, Inc.| 0.07%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|1.ASSET|Equity|913.4|57.64|BHP| BHP Group Ltd| 6.31%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|2.ASSET|Equity|913.4|46.77|NOVN| Novartis AG| 5.12%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|3.ASSET|Equity|913.4|41.1|ROG| Roche Holding Ltd| 4.50%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|4.ASSET|Equity|913.4|40.55|ULVR| Unilever PLC| 4.44%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|5.ASSET|Equity|913.4|37.45|SAN| Sanofi| 4.10%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|6.ASSET|Equity|913.4|33.8|GSK| GlaxoSmithKline plc| 3.70%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|7.ASSET|Equity|913.4|30.87|BATS| British American Tobacco p.l.c.| 3.38%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|8.ASSET|Equity|913.4|29.78|RIO| Rio Tinto plc| 3.26%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|9.ASSET|Equity|913.4|28.95|ALV| Allianz SE| 3.17%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|10.ASSET|Equity|913.4|21.83|ZURN| Zurich Insurance Group Ltd| 2.39%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|11.ASSET|Equity|913.4|21.74|AAL| Anglo American plc| 2.38%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|12.ASSET|Equity|913.4|20.09|IBE| Iberdrola SA| 2.20%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|13.ASSET|Equity|913.4|18.91|BAS| BASF SE| 2.07%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|14.ASSET|Equity|913.4|18.09|ENEL| Enel SpA| 1.98%| Developed Markets|Equity|Foreign Large Cap Equities||HDEF|6|15.ASSET|Equity|913.4|18.09|7974| Nintendo Co., Ltd.| 1.98%| North America|Bond|High Yield Bonds|Junk|PHB|6|1.ASSET|Bond|876.9|17.36|N/A| MUTUAL FUND (OTHER)| 1.98%| North America|Bond|High Yield Bonds|Junk|PHB|6|2.ASSET|Bond|876.9|14.99|N/A| Ford Motor Credit Company LLC 3.375% 13-NOV-2025| 1.71%| North America|Bond|High Yield Bonds|Junk|PHB|6|3.ASSET|Bond|876.9|14.56|N/A| Ford Motor Company 3.25% 12-FEB-2032| 1.66%| North America|Bond|High Yield Bonds|Junk|PHB|6|4.ASSET|Bond|876.9|13.94|N/A| Centene Corporation 4.625% 15-DEC-2029| 1.59%| North America|Bond|High Yield Bonds|Junk|PHB|6|5.ASSET|Bond|876.9|13.15|N/A| Ally Financial Inc. 5.75% 20-NOV-2025| 1.50%| North America|Bond|High Yield Bonds|Junk|PHB|6|6.ASSET|Bond|876.9|11.93|N/A| Macy\'s Retail Holdings, Inc. 2.875% 15-FEB-2023| 1.36%| North America|Bond|High Yield Bonds|Junk|PHB|6|7.ASSET|Bond|876.9|11.14|N/A| Genworth Holdings, Inc. 4.8% 15-FEB-2024| 1.27%| North America|Bond|High Yield Bonds|Junk|PHB|6|8.ASSET|Bond|876.9|10.7|N/A| Bath & Body Works, Inc. 5.25% 01-FEB-2028| 1.22%| North America|Bond|High Yield Bonds|Junk|PHB|6|9.ASSET|Bond|876.9|10.52|N/A| PG&E Corporation 5.25% 01-JUL-2030| 1.20%| North America|Bond|High Yield Bonds|Junk|PHB|6|10.ASSET|Bond|876.9|10.52|N/A| FirstEnergy Corp. 4.4% 15-JUL-2027| 1.20%| North America|Bond|High Yield Bonds|Junk|PHB|6|11.ASSET|Bond|876.9|10.52|N/A| AES Corporation 1.375% 15-JAN-2026| 1.20%| North America|Bond|High Yield Bonds|Junk|PHB|6|12.ASSET|Bond|876.9|10.26|N/A| Seagate HDD Cayman 4.75% 01-JAN-2025| 1.17%| North America|Bond|High Yield Bonds|Junk|PHB|6|13.ASSET|Bond|876.9|10.08|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 1.15%| North America|Bond|High Yield Bonds|Junk|PHB|6|14.ASSET|Bond|876.9|9.73|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 1.11%| North America|Bond|High Yield Bonds|Junk|PHB|6|15.ASSET|Bond|876.9|9.73|N/A| Occidental Petroleum Corporation 3.5% 15-AUG-2029| 1.11%| North America|Equity|Small Cap Blend Equities||EZM|6|1.ASSET|Equity|811.6|8.6|CLF| Cleveland-Cliffs Inc| 1.06%| North America|Equity|Small Cap Blend Equities||EZM|6|2.ASSET|Equity|811.6|6.98|OGN| Organon & Co.| 0.86%| North America|Equity|Small Cap Blend Equities||EZM|6|3.ASSET|Equity|811.6|6.66|OVV| Ovintiv Inc| 0.82%| North America|Equity|Small Cap Blend Equities||EZM|6|4.ASSET|Equity|811.6|6.49|DISH| DISH Network Corporation Class A| 0.80%| North America|Equity|Small Cap Blend Equities||EZM|6|5.ASSET|Equity|811.6|6.25|NRG| NRG Energy, Inc.| 0.77%| North America|Equity|Small Cap Blend Equities||EZM|6|6.ASSET|Equity|811.6|6.17|AA| Alcoa Corporation| 0.76%| North America|Equity|Small Cap Blend Equities||EZM|6|7.ASSET|Equity|811.6|5.68|APA| APA Corp.| 0.70%| North America|Equity|Small Cap Blend Equities||EZM|6|8.ASSET|Equity|811.6|5.68|JEF| Jefferies Financial Group Inc.| 0.70%| North America|Equity|Small Cap Blend Equities||EZM|6|9.ASSET|Equity|811.6|5.52|X| United States Steel Corporation| 0.68%| North America|Equity|Small Cap Blend Equities||EZM|6|10.ASSET|Equity|811.6|5.44|RS| Reliance Steel & Aluminum Co.| 0.67%| North America|Equity|Small Cap Blend Equities||EZM|6|11.ASSET|Equity|811.6|5.36|DKS| Dick\'s Sporting Goods, Inc.| 0.66%| North America|Equity|Small Cap Blend Equities||EZM|6|12.ASSET|Equity|811.6|5.36|FHN| First Horizon Corporation| 0.66%| North America|Equity|Small Cap Blend Equities||EZM|6|13.ASSET|Equity|811.6|5.11|KSS| Kohl\'s Corporation| 0.63%| North America|Equity|Small Cap Blend Equities||EZM|6|14.ASSET|Equity|811.6|5.11|THC| Tenet Healthcare Corporation| 0.63%| North America|Equity|Small Cap Blend Equities||EZM|6|15.ASSET|Equity|811.6|4.95|UHS| Universal Health Services, Inc. Class B| 0.61%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|1.ASSET|Multi-Asset|725|312.91|N/A| United States Treasury Bills 0.0% 21-APR-2022| 43.16%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|2.ASSET|Multi-Asset|725|49.59|AAPL| Apple Inc.| 6.84%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|3.ASSET|Multi-Asset|725|40.89|MSFT| Microsoft Corporation| 5.64%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|4.ASSET|Multi-Asset|725|27.99|AMZN| Amazon.com, Inc.| 3.86%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|5.ASSET|Multi-Asset|725|16.46|N/A| U.S. Dollar| 2.27%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|6.ASSET|Multi-Asset|725|16.02|TSLA| Tesla Inc| 2.21%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|7.ASSET|Multi-Asset|725|15.59|GOOG| Alphabet Inc. Class C| 2.15%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|8.ASSET|Multi-Asset|725|15.44|NVDA| NVIDIA Corporation| 2.13%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|9.ASSET|Multi-Asset|725|14.72|GOOGL| Alphabet Inc. Class A| 2.03%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|10.ASSET|Multi-Asset|725|13.41|FB| Meta Platforms Inc. Class A| 1.85%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|11.ASSET|Multi-Asset|725|7.25|AVGO| Broadcom Inc.| 1.00%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|12.ASSET|Multi-Asset|725|7.11|CSCO| Cisco Systems, Inc.| 0.98%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|13.ASSET|Multi-Asset|725|6.96|COST| Costco Wholesale Corporation| 0.96%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|14.ASSET|Multi-Asset|725|6.74|PEP| PepsiCo, Inc.| 0.93%| North America|Multi-Asset|Large Cap Blend Equities||PTNQ|6|15.ASSET|Multi-Asset|725|6.67|ADBE| Adobe Inc.| 0.92%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|1.ASSET|Bond|796.4|447.82|N/A| U.S. Dollar| 56.23%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|2.ASSET|Bond|796.4|78.53|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 9.86%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|3.ASSET|Bond|796.4|39.34|N/A| United States Treasury Bills 0.0% 05-APR-2022| 4.94%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|4.ASSET|Bond|796.4|28.11|N/A| United States Treasury Bills 0.0% 12-APR-2022| 3.53%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|5.ASSET|Bond|796.4|28.11|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 3.53%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|6.ASSET|Bond|796.4|19.59|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 2.46%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|7.ASSET|Bond|796.4|16.8|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 2.11%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|8.ASSET|Bond|796.4|14.02|N/A| United States Treasury Bills 0.0% 14-APR-2022| 1.76%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|9.ASSET|Bond|796.4|14.02|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 1.76%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|10.ASSET|Bond|796.4|14.02|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 1.76%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|11.ASSET|Bond|796.4|14.02|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 1.76%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|12.ASSET|Bond|796.4|14.02|N/A| United States Treasury Bills 0.0% 07-APR-2022| 1.76%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|13.ASSET|Bond|796.4|14.02|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 1.76%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|14.ASSET|Bond|796.4|13.94|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 1.75%| North America|Bond|Inverse Bonds|Treasuries|TBF|6|15.ASSET|Bond|796.4|11.79|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.48%| |Commodity|n/a||IAUM|6|1.ASSET|Commodity|1269.3|1269.3|N/A| EQUITY OTHER| 100.00%| North America|Equity|n/a||QVML|6|1.ASSET|Equity|787|59.81|AAPL| Apple Inc.| 7.60%| North America|Equity|n/a||QVML|6|2.ASSET|Equity|787|53.91|MSFT| Microsoft Corporation| 6.85%| North America|Equity|n/a||QVML|6|3.ASSET|Equity|787|36.36|GOOG| Alphabet Inc. Class C| 4.62%| North America|Equity|n/a||QVML|6|4.ASSET|Equity|787|18.49|TSLA| Tesla Inc| 2.35%| North America|Equity|n/a||QVML|6|5.ASSET|Equity|787|15.03|NVDA| NVIDIA Corporation| 1.91%| North America|Equity|n/a||QVML|6|6.ASSET|Equity|787|14.17|BRK.B| Berkshire Hathaway Inc. Class B| 1.80%| North America|Equity|n/a||QVML|6|7.ASSET|Equity|787|11.81|FB| Meta Platforms Inc. Class A| 1.50%| North America|Equity|n/a||QVML|6|8.ASSET|Equity|787|10.47|UNH| UnitedHealth Group Incorporated| 1.33%| North America|Equity|n/a||QVML|6|9.ASSET|Equity|787|10.07|JNJ| Johnson & Johnson| 1.28%| North America|Equity|n/a||QVML|6|10.ASSET|Equity|787|9.99|JPM| JPMorgan Chase & Co.| 1.27%| North America|Equity|n/a||QVML|6|11.ASSET|Equity|787|8.58|PG| Procter & Gamble Company| 1.09%| North America|Equity|n/a||QVML|6|12.ASSET|Equity|787|8.18|HD| Home Depot, Inc.| 1.04%| North America|Equity|n/a||QVML|6|13.ASSET|Equity|787|7.95|XOM| Exxon Mobil Corporation| 1.01%| North America|Equity|n/a||QVML|6|14.ASSET|Equity|787|7.87|V| Visa Inc. Class A| 1.00%| North America|Equity|n/a||QVML|6|15.ASSET|Equity|787|7.79|BAC| Bank of America Corp| 0.99%| North America|Bond|Government Bonds|Treasuries|SGOV|6|1.ASSET|Bond|1870.3|278.67|N/A| United States Treasury Bills 0.0% 29-MAR-2022| 14.90%| North America|Bond|Government Bonds|Treasuries|SGOV|6|2.ASSET|Bond|1870.3|272.88|N/A| United States Treasury Notes 1.875% 30-APR-2022| 14.59%| North America|Bond|Government Bonds|Treasuries|SGOV|6|3.ASSET|Bond|1870.3|256.42|N/A| United States Treasury Notes 1.875% 31-MAR-2022| 13.71%| North America|Bond|Government Bonds|Treasuries|SGOV|6|4.ASSET|Bond|1870.3|252.12|N/A| United States Treasury Notes 1.75% 31-MAY-2022| 13.48%| North America|Bond|Government Bonds|Treasuries|SGOV|6|5.ASSET|Bond|1870.3|204.42|N/A| United States Treasury Bills 0.0% 19-APR-2022| 10.93%| North America|Bond|Government Bonds|Treasuries|SGOV|6|6.ASSET|Bond|1870.3|150.93|N/A| United States Treasury Bills 0.0% 12-APR-2022| 8.07%| North America|Bond|Government Bonds|Treasuries|SGOV|6|7.ASSET|Bond|1870.3|133.91|N/A| United States Treasury Bills 0.0% 26-APR-2022| 7.16%| North America|Bond|Government Bonds|Treasuries|SGOV|6|8.ASSET|Bond|1870.3|97.07|N/A| United States Treasury Bills 0.0% 28-APR-2022| 5.19%| North America|Bond|Government Bonds|Treasuries|SGOV|6|9.ASSET|Bond|1870.3|56.3|N/A| United States Treasury Bills 0.0% 14-APR-2022| 3.01%| North America|Bond|Government Bonds|Treasuries|SGOV|6|10.ASSET|Bond|1870.3|46.76|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 2.50%| North America|Bond|Government Bonds|Treasuries|SGOV|6|11.ASSET|Bond|1870.3|32.73|N/A| MUTUAL FUND (OTHER)| 1.75%| North America|Bond|Government Bonds|Treasuries|SGOV|6|12.ASSET|Bond|1870.3|27.87|N/A| Government of the United States of America 0.0% 17-MAY-2022| 1.49%| North America|Bond|Government Bonds|Treasuries|SGOV|6|13.ASSET|Bond|1870.3|23.75|N/A| United States Treasury Notes 2.25% 15-APR-2022| 1.27%| North America|Bond|Government Bonds|Treasuries|SGOV|6|14.ASSET|Bond|1870.3|20.39|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 1.09%| North America|Bond|Government Bonds|Treasuries|SGOV|6|15.ASSET|Bond|1870.3|13.84|N/A| United States Treasury Bills 0.0% 21-APR-2022| 0.74%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|1.ASSET|Bond|730.7|18.27|N/A| United States Treasury Bond 2.375% 15-FEB-2042| 2.50%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|2.ASSET|Bond|730.7|7.67|N/A| United States Treasury Bills 0.0% 14-APR-2022| 1.05%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|3.ASSET|Bond|730.7|5.63|N/A| Imperial Brands Finance Plc 3.5% 26-JUL-2026| 0.77%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|4.ASSET|Bond|730.7|5.55|N/A| Barclays Plc 4.375% 12-JAN-2026| 0.76%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|5.ASSET|Bond|730.7|4.6|N/A| Southern Company 3.7% 30-APR-2030| 0.63%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|6.ASSET|Bond|730.7|4.6|N/A| Nomura Holdings, Inc. 2.648% 16-JAN-2025| 0.63%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|7.ASSET|Bond|730.7|4.53|N/A| Aker BP ASA 3.0% 15-JAN-2025| 0.62%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|8.ASSET|Bond|730.7|4.31|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 0.59%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|9.ASSET|Bond|730.7|4.24|N/A| Bank of America Corporation 2.572% 20-OCT-2032| 0.58%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|10.ASSET|Bond|730.7|4.24|N/A| Verizon Communications Inc. 2.355% 15-MAR-2032| 0.58%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|11.ASSET|Bond|730.7|4.24|N/A| JPMorgan Chase & Co. 2.58% 22-APR-2032| 0.58%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|12.ASSET|Bond|730.7|4.09|N/A| United States Treasury Bills 0.0% 26-MAY-2022| 0.56%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|13.ASSET|Bond|730.7|3.95|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 0.54%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|14.ASSET|Bond|730.7|3.95|N/A| United States Treasury Bills 0.0% 22-MAR-2022| 0.54%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|CORP|6|15.ASSET|Bond|730.7|3.87|N/A| Oracle Corporation 3.95% 25-MAR-2051| 0.53%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|1.ASSET|Equity|544.7|13.13|LNTH| Lantheus Holdings Inc| 2.41%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|2.ASSET|Equity|544.7|10.51|IRTC| iRhythm Technologies, Inc.| 1.93%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|3.ASSET|Equity|544.7|9.59|GKOS| Glaukos Corp| 1.76%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|4.ASSET|Equity|544.7|8.5|NARI| Inari Medical, Inc.| 1.56%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|5.ASSET|Equity|544.7|8.5|AVNS| Avanos Medical, Inc.| 1.56%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|6.ASSET|Equity|544.7|8.39|NVST| Envista Holdings Corp.| 1.54%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|7.ASSET|Equity|544.7|8.17|CSII| Cardiovascular Systems, Inc.| 1.50%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|8.ASSET|Equity|544.7|8.06|ZOM| Zomedica Corp| 1.48%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|9.ASSET|Equity|544.7|8.01|BDX| Becton, Dickinson and Company| 1.47%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|10.ASSET|Equity|544.7|8.01|HAE| Haemonetics Corporation| 1.47%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|11.ASSET|Equity|544.7|7.95|SIBN| SI-BONE, Inc.| 1.46%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|12.ASSET|Equity|544.7|7.84|VIVO| Meridian Bioscience, Inc.| 1.44%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|13.ASSET|Equity|544.7|7.84|AXNX| Axonics, Inc.| 1.44%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|14.ASSET|Equity|544.7|7.73|NUVA| NuVasive, Inc.| 1.42%| North America|Equity|Health & Biotech Equities|Healthcare|XHE|6|15.ASSET|Equity|544.7|7.68|CNMD| CONMED Corporation| 1.41%| North America|Equity|Large Cap Growth Equities||SNPE|6|1.ASSET|Equity|875.7|79.25|AAPL| Apple Inc.| 9.05%| North America|Equity|Large Cap Growth Equities||SNPE|6|2.ASSET|Equity|875.7|68.83|MSFT| Microsoft Corporation| 7.86%| North America|Equity|Large Cap Growth Equities||SNPE|6|3.ASSET|Equity|875.7|40.46|AMZN| Amazon.com, Inc.| 4.62%| North America|Equity|Large Cap Growth Equities||SNPE|6|4.ASSET|Equity|875.7|24.78|GOOGL| Alphabet Inc. Class A| 2.83%| North America|Equity|Large Cap Growth Equities||SNPE|6|5.ASSET|Equity|875.7|23.03|GOOG| Alphabet Inc. Class C| 2.63%| North America|Equity|Large Cap Growth Equities||SNPE|6|6.ASSET|Equity|875.7|21.8|TSLA| Tesla Inc| 2.49%| North America|Equity|Large Cap Growth Equities||SNPE|6|7.ASSET|Equity|875.7|18.48|NVDA| NVIDIA Corporation| 2.11%| North America|Equity|Large Cap Growth Equities||SNPE|6|8.ASSET|Equity|875.7|13.92|UNH| UnitedHealth Group Incorporated| 1.59%| North America|Equity|Large Cap Growth Equities||SNPE|6|9.ASSET|Equity|875.7|12.52|JPM| JPMorgan Chase & Co.| 1.43%| North America|Equity|Large Cap Growth Equities||SNPE|6|10.ASSET|Equity|875.7|11.38|PG| Procter & Gamble Company| 1.30%| North America|Equity|Large Cap Growth Equities||SNPE|6|11.ASSET|Equity|875.7|10.68|V| Visa Inc. Class A| 1.22%| North America|Equity|Large Cap Growth Equities||SNPE|6|12.ASSET|Equity|875.7|10.6|HD| Home Depot, Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||SNPE|6|13.ASSET|Equity|875.7|10.33|XOM| Exxon Mobil Corporation| 1.18%| North America|Equity|Large Cap Growth Equities||SNPE|6|14.ASSET|Equity|875.7|9.55|BAC| Bank of America Corp| 1.09%| North America|Equity|Large Cap Growth Equities||SNPE|6|15.ASSET|Equity|875.7|9.11|MA| Mastercard Incorporated Class A| 1.04%| North America|Equity|Large Cap Value Equities||ILCV|6|1.ASSET|Equity|811.3|38.62|AAPL| Apple Inc.| 4.76%| North America|Equity|Large Cap Value Equities||ILCV|6|2.ASSET|Equity|811.3|16.96|UNH| UnitedHealth Group Incorporated| 2.09%| North America|Equity|Large Cap Value Equities||ILCV|6|3.ASSET|Equity|811.3|16.39|JNJ| Johnson & Johnson| 2.02%| North America|Equity|Large Cap Value Equities||ILCV|6|4.ASSET|Equity|811.3|15.9|JPM| JPMorgan Chase & Co.| 1.96%| North America|Equity|Large Cap Value Equities||ILCV|6|5.ASSET|Equity|811.3|14.28|PG| Procter & Gamble Company| 1.76%| North America|Equity|Large Cap Value Equities||ILCV|6|6.ASSET|Equity|811.3|13.87|BRK.B| Berkshire Hathaway Inc. Class B| 1.71%| North America|Equity|Large Cap Value Equities||ILCV|6|7.ASSET|Equity|811.3|12.58|XOM| Exxon Mobil Corporation| 1.55%| North America|Equity|Large Cap Value Equities||ILCV|6|8.ASSET|Equity|811.3|12.09|BAC| Bank of America Corp| 1.49%| North America|Equity|Large Cap Value Equities||ILCV|6|9.ASSET|Equity|811.3|10.55|CVX| Chevron Corporation| 1.30%| North America|Equity|Large Cap Value Equities||ILCV|6|10.ASSET|Equity|811.3|9.98|PFE| Pfizer Inc.| 1.23%| North America|Equity|Large Cap Value Equities||ILCV|6|11.ASSET|Equity|811.3|9.9|ABBV| AbbVie, Inc.| 1.22%| North America|Equity|Large Cap Value Equities||ILCV|6|12.ASSET|Equity|811.3|9.33|HD| Home Depot, Inc.| 1.15%| North America|Equity|Large Cap Value Equities||ILCV|6|13.ASSET|Equity|811.3|9.17|KO| Coca-Cola Company| 1.13%| North America|Equity|Large Cap Value Equities||ILCV|6|14.ASSET|Equity|811.3|8.92|CSCO| Cisco Systems, Inc.| 1.10%| North America|Equity|Large Cap Value Equities||ILCV|6|15.ASSET|Equity|811.3|8.6|PEP| PepsiCo, Inc.| 1.06%| North America|Equity|Large Cap Value Equities||PWV|6|1.ASSET|Equity|856.4|30.15|ORCL| Oracle Corporation| 3.52%| North America|Equity|Large Cap Value Equities||PWV|6|2.ASSET|Equity|856.4|30.06|XOM| Exxon Mobil Corporation| 3.51%| North America|Equity|Large Cap Value Equities||PWV|6|3.ASSET|Equity|856.4|29.46|JNJ| Johnson & Johnson| 3.44%| North America|Equity|Large Cap Value Equities||PWV|6|4.ASSET|Equity|856.4|29.37|ABBV| AbbVie, Inc.| 3.43%| North America|Equity|Large Cap Value Equities||PWV|6|5.ASSET|Equity|856.4|28.69|PFE| Pfizer Inc.| 3.35%| North America|Equity|Large Cap Value Equities||PWV|6|6.ASSET|Equity|856.4|28.52|WMT| Walmart Inc.| 3.33%| North America|Equity|Large Cap Value Equities||PWV|6|7.ASSET|Equity|856.4|28.52|CSCO| Cisco Systems, Inc.| 3.33%| North America|Equity|Large Cap Value Equities||PWV|6|8.ASSET|Equity|856.4|28.18|CMCSA| Comcast Corporation Class A| 3.29%| North America|Equity|Large Cap Value Equities||PWV|6|9.ASSET|Equity|856.4|27.92|PEP| PepsiCo, Inc.| 3.26%| North America|Equity|Large Cap Value Equities||PWV|6|10.ASSET|Equity|856.4|27.83|PG| Procter & Gamble Company| 3.25%| North America|Equity|Large Cap Value Equities||PWV|6|11.ASSET|Equity|856.4|27.06|BAC| Bank of America Corp| 3.16%| North America|Equity|Large Cap Value Equities||PWV|6|12.ASSET|Equity|856.4|26.98|WFC| Wells Fargo & Company| 3.15%| North America|Equity|Large Cap Value Equities||PWV|6|13.ASSET|Equity|856.4|26.98|PM| Philip Morris International Inc.| 3.15%| North America|Equity|Large Cap Value Equities||PWV|6|14.ASSET|Equity|856.4|26.63|MS| Morgan Stanley| 3.11%| North America|Equity|Large Cap Value Equities||PWV|6|15.ASSET|Equity|856.4|26.21|JPM| JPMorgan Chase & Co.| 3.06%| North America|Equity|Leveraged Equities|Energy|NRGU|6|1.ASSET|Equity|1340.5|143.7|PXD| Pioneer Natural Resources Co| 10.72%| North America|Equity|Leveraged Equities|Energy|NRGU|6|2.ASSET|Equity|1340.5|143.17|EOG| EOG Resources Inc| 10.68%| North America|Equity|Leveraged Equities|Energy|NRGU|6|3.ASSET|Equity|1340.5|134.85|VLO| Valero Energy Corp| 10.06%| North America|Equity|Leveraged Equities|Energy|NRGU|6|4.ASSET|Equity|1340.5|134.59|MPC| Marathon Petroleum Corp| 10.04%| North America|Equity|Leveraged Equities|Energy|NRGU|6|5.ASSET|Equity|1340.5|132.17|OXY| Occidental Petroleum Corp| 9.86%| North America|Equity|Leveraged Equities|Energy|NRGU|6|6.ASSET|Equity|1340.5|131.77|XOM| Exxon Mobil Corp| 9.83%| North America|Equity|Leveraged Equities|Energy|NRGU|6|7.ASSET|Equity|1340.5|129.49|CVX| Chevron Corp| 9.66%| North America|Equity|Leveraged Equities|Energy|NRGU|6|8.ASSET|Equity|1340.5|128.82|PSX| Phillips 66| 9.61%| North America|Equity|Leveraged Equities|Energy|NRGU|6|9.ASSET|Equity|1340.5|126.54|COP| ConocoPhillips| 9.44%| North America|Equity|Large Cap Growth Equities||JHML|6|1.ASSET|Equity|822.6|33.81|AAPL| Apple Inc.| 4.11%| North America|Equity|Large Cap Growth Equities||JHML|6|2.ASSET|Equity|822.6|33.23|MSFT| Microsoft Corporation| 4.04%| North America|Equity|Large Cap Growth Equities||JHML|6|3.ASSET|Equity|822.6|18.26|AMZN| Amazon.com, Inc.| 2.22%| North America|Equity|Large Cap Growth Equities||JHML|6|4.ASSET|Equity|822.6|15.79|GOOGL| Alphabet Inc. Class A| 1.92%| North America|Equity|Large Cap Growth Equities||JHML|6|5.ASSET|Equity|822.6|7.9|BRK.B| Berkshire Hathaway Inc. Class B| 0.96%| North America|Equity|Large Cap Growth Equities||JHML|6|6.ASSET|Equity|822.6|7.73|UNH| UnitedHealth Group Incorporated| 0.94%| North America|Equity|Large Cap Growth Equities||JHML|6|7.ASSET|Equity|822.6|7.24|FB| Meta Platforms Inc. Class A| 0.88%| North America|Equity|Large Cap Growth Equities||JHML|6|8.ASSET|Equity|822.6|6.83|JNJ| Johnson & Johnson| 0.83%| North America|Equity|Large Cap Growth Equities||JHML|6|9.ASSET|Equity|822.6|6.5|JPM| JPMorgan Chase & Co.| 0.79%| North America|Equity|Large Cap Growth Equities||JHML|6|10.ASSET|Equity|822.6|6.33|NVDA| NVIDIA Corporation| 0.77%| North America|Equity|Large Cap Growth Equities||JHML|6|11.ASSET|Equity|822.6|6|TSLA| Tesla Inc| 0.73%| North America|Equity|Large Cap Growth Equities||JHML|6|12.ASSET|Equity|822.6|5.59|PG| Procter & Gamble Company| 0.68%| North America|Equity|Large Cap Growth Equities||JHML|6|13.ASSET|Equity|822.6|5.26|V| Visa Inc. Class A| 0.64%| North America|Equity|Large Cap Growth Equities||JHML|6|14.ASSET|Equity|822.6|5.02|XOM| Exxon Mobil Corporation| 0.61%| North America|Equity|Large Cap Growth Equities||JHML|6|15.ASSET|Equity|822.6|4.61|MA| Mastercard Incorporated Class A| 0.56%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|1.ASSET|Bond|710.3|88.72|N/A| Government of Israel 5.5% 04-DEC-2023| 12.49%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|2.ASSET|Bond|710.3|72.52|N/A| Federal National Mortgage Association 0.3% 03-AUG-2023| 10.21%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|3.ASSET|Bond|710.3|71.46|N/A| Federal Home Loan Mortgage Corporation 0.0% 11-DEC-2025| 10.06%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|4.ASSET|Bond|710.3|64.07|N/A| Tennessee Valley Authority 6.75% 01-NOV-2025| 9.02%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|5.ASSET|Bond|710.3|58.67|N/A| Government of Israel 5.5% 18-SEP-2023| 8.26%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|6.ASSET|Bond|710.3|28.27|N/A| Federal Home Loan Bank System 3.125% 13-JUN-2025| 3.98%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|7.ASSET|Bond|710.3|22.3|N/A| Federal Farm Credit Banks Consolidated Systemwide Bonds 0.32% 10-AUG-2023| 3.14%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|8.ASSET|Bond|710.3|21.95|N/A| Tennessee Valley Authority 5.25% 15-SEP-2039| 3.09%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|9.ASSET|Bond|710.3|21.81|N/A| Federal National Mortgage Association 0.5% 17-JUN-2025| 3.07%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|10.ASSET|Bond|710.3|21.52|N/A| Federal Home Loan Mortgage Corporation 0.0% 14-DEC-2029| 3.03%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|11.ASSET|Bond|710.3|16.19|N/A| Federal National Mortgage Association 6.625% 15-NOV-2030| 2.28%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|12.ASSET|Bond|710.3|15.41|N/A| Federal Farm Credit Banks Consolidated Systemwide Bonds 1.125% 06-JAN-2025| 2.17%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|13.ASSET|Bond|710.3|14.85|N/A| Federal Home Loan Bank System 1.875% 14-MAR-2024| 2.09%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|14.ASSET|Bond|710.3|13.71|N/A| MUTUAL FUND (OTHER)| 1.93%| Developed Markets|Bond|Total Bond Market|U.S. Agency|AGZ|6|15.ASSET|Bond|710.3|12.22|N/A| Private Export Funding Corporation 1.4% 15-JUL-2028| 1.72%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|1.ASSET|Bond|810.6|3.65|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 0.45%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|2.ASSET|Bond|810.6|2.27|N/A| AbbVie Inc. 3.6% 14-MAY-2025| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|3.ASSET|Bond|810.6|2.27|N/A| Morgan Stanley 2.699% 22-JAN-2031| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|4.ASSET|Bond|810.6|2.27|N/A| Wells Fargo & Company 2.879% 30-OCT-2030| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|5.ASSET|Bond|810.6|2.11|N/A| Toronto-Dominion Bank 3.5% 19-JUL-2023| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|6.ASSET|Bond|810.6|2.11|N/A| Anheuser-Busch Cos. LLC 4.9% 01-FEB-2046| 0.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|7.ASSET|Bond|810.6|2.03|N/A| Wells Fargo & Company 5.013% 04-APR-2051| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|8.ASSET|Bond|810.6|2.03|N/A| AT&T Inc. 3.55% 15-SEP-2055| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|9.ASSET|Bond|810.6|1.95|N/A| Ares Capital Corporation 4.2% 10-JUN-2024| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|10.ASSET|Bond|810.6|1.95|N/A| Bank of Montreal 3.803% 15-DEC-2032| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|11.ASSET|Bond|810.6|1.86|N/A| JPMorgan Chase & Co. 3.54% 01-MAY-2028| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|12.ASSET|Bond|810.6|1.86|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|13.ASSET|Bond|810.6|1.78|N/A| Apple Inc. 2.9% 12-SEP-2027| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|14.ASSET|Bond|810.6|1.78|N/A| Microsoft Corporation 2.921% 17-MAR-2052| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GIGB|6|15.ASSET|Bond|810.6|1.7|N/A| Dell International LLC 4.9% 01-OCT-2026| 0.21%| North America|Equity|Large Cap Growth Equities||BBUS|6|1.ASSET|Equity|956.3|62.73|AAPL| Apple Inc.| 6.56%| North America|Equity|Large Cap Growth Equities||BBUS|6|2.ASSET|Equity|956.3|54.41|MSFT| Microsoft Corporation| 5.69%| North America|Equity|Large Cap Growth Equities||BBUS|6|3.ASSET|Equity|956.3|32.04|AMZN| Amazon.com, Inc.| 3.35%| North America|Equity|Large Cap Growth Equities||BBUS|6|4.ASSET|Equity|956.3|19.51|GOOGL| Alphabet Inc. Class A| 2.04%| North America|Equity|Large Cap Growth Equities||BBUS|6|5.ASSET|Equity|956.3|18.17|GOOG| Alphabet Inc. Class C| 1.90%| North America|Equity|Large Cap Growth Equities||BBUS|6|6.ASSET|Equity|956.3|17.31|TSLA| Tesla Inc| 1.81%| North America|Equity|Large Cap Growth Equities||BBUS|6|7.ASSET|Equity|956.3|14.63|NVDA| NVIDIA Corporation| 1.53%| North America|Equity|Large Cap Growth Equities||BBUS|6|8.ASSET|Equity|956.3|14.34|BRK.B| Berkshire Hathaway Inc. Class B| 1.50%| North America|Equity|Large Cap Growth Equities||BBUS|6|9.ASSET|Equity|956.3|11.86|FB| Meta Platforms Inc. Class A| 1.24%| North America|Equity|Large Cap Growth Equities||BBUS|6|10.ASSET|Equity|956.3|11|UNH| UnitedHealth Group Incorporated| 1.15%| North America|Equity|Large Cap Growth Equities||BBUS|6|11.ASSET|Equity|956.3|10.52|JNJ| Johnson & Johnson| 1.10%| North America|Equity|Large Cap Growth Equities||BBUS|6|12.ASSET|Equity|956.3|9.95|JPM| JPMorgan Chase & Co.| 1.04%| North America|Equity|Large Cap Growth Equities||BBUS|6|13.ASSET|Equity|956.3|8.99|PG| Procter & Gamble Company| 0.94%| North America|Equity|Large Cap Growth Equities||BBUS|6|14.ASSET|Equity|956.3|8.42|V| Visa Inc. Class A| 0.88%| North America|Equity|Large Cap Growth Equities||BBUS|6|15.ASSET|Equity|956.3|8.32|HD| Home Depot, Inc.| 0.87%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|1.ASSET|Equity|640.5|70.01|500325| Reliance Industries Limited| 10.93%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|2.ASSET|Equity|640.5|53.61|500209| Infosys Limited| 8.37%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|3.ASSET|Equity|640.5|50.92|500180| HDFC Bank Limited| 7.95%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|4.ASSET|Equity|640.5|42.02|532174| ICICI Bank Limited| 6.56%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|5.ASSET|Equity|640.5|34.84|500010| Housing Development Finance Corporation Limited| 5.44%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|6.ASSET|Equity|640.5|31.06|532540| Tata Consultancy Services Limited| 4.85%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|7.ASSET|Equity|640.5|22.42|500247| Kotak Mahindra Bank Limited| 3.50%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|8.ASSET|Equity|640.5|19.15|N/A| MUTUAL FUND (OTHER)| 2.99%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|9.ASSET|Equity|640.5|18.25|500510| Larsen & Toubro Ltd.| 2.85%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|10.ASSET|Equity|640.5|16.4|532215| Axis Bank Limited| 2.56%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|11.ASSET|Equity|640.5|16.2|500696| Hindustan Unilever Limited| 2.53%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|12.ASSET|Equity|640.5|15.95|500875| ITC Limited| 2.49%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|13.ASSET|Equity|640.5|15.5|500112| State Bank of India| 2.42%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|14.ASSET|Equity|640.5|15.37|500034| Bajaj Finance Limited| 2.40%| Emerging Asia Pacific|Equity|Asia Pacific Equities||INDY|6|15.ASSET|Equity|640.5|13.51|532454| Bharti Airtel Limited| 2.11%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|1.ASSET|Equity|749.9|40.64|7203| Toyota Motor Corp.| 5.42%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|2.ASSET|Equity|749.9|22.57|6758| Sony Group Corporation| 3.01%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|3.ASSET|Equity|749.9|15.15|6861| Keyence Corporation| 2.02%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|4.ASSET|Equity|749.9|13.5|8306| Mitsubishi UFJ Financial Group, Inc.| 1.80%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|5.ASSET|Equity|749.9|13.2|8035| Tokyo Electron Ltd.| 1.76%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|6.ASSET|Equity|749.9|11.1|4063| Shin-Etsu Chemical Co Ltd| 1.48%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|7.ASSET|Equity|749.9|10.87|9984| SoftBank Group Corp.| 1.45%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|8.ASSET|Equity|749.9|10.12|6098| Recruit Holdings Co., Ltd.| 1.35%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|9.ASSET|Equity|749.9|9.75|9433| KDDI Corporation| 1.30%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|10.ASSET|Equity|749.9|9.45|7974| Nintendo Co., Ltd.| 1.26%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|11.ASSET|Equity|749.9|9.37|7267| Honda Motor Co., Ltd.| 1.25%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|12.ASSET|Equity|749.9|8.92|6367| DAIKIN INDUSTRIES, LTD.| 1.19%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|13.ASSET|Equity|749.9|8.32|4502| Takeda Pharmaceutical Co. Ltd.| 1.11%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|14.ASSET|Equity|749.9|8.25|7741| HOYA CORPORATION| 1.10%| Developed Asia Pacific|Equity|Japan Equities||FLJP|6|15.ASSET|Equity|749.9|8.17|8316| Sumitomo Mitsui Financial Group, Inc.| 1.09%| Emerging Asia Pacific|Equity|China Equities||KBA|6|1.ASSET|Equity|674.4|55.37|300750| Contemporary Amperex Technology Co., Ltd. Class A| 8.21%| Emerging Asia Pacific|Equity|China Equities||KBA|6|2.ASSET|Equity|674.4|50.78|600519| Kweichow Moutai Co., Ltd. Class A| 7.53%| Emerging Asia Pacific|Equity|China Equities||KBA|6|3.ASSET|Equity|674.4|38.1|601012| LONGi Green Energy Technology Co Ltd Class A| 5.65%| Emerging Asia Pacific|Equity|China Equities||KBA|6|4.ASSET|Equity|674.4|29.94|600036| China Merchants Bank Co., Ltd. Class A| 4.44%| Emerging Asia Pacific|Equity|China Equities||KBA|6|5.ASSET|Equity|674.4|25.76|600309| Wanhua Chemical Group Co. Ltd. Class A| 3.82%| Emerging Asia Pacific|Equity|China Equities||KBA|6|6.ASSET|Equity|674.4|25.36|002475| Luxshare Precision Industry Co. Ltd. Class A| 3.76%| Emerging Asia Pacific|Equity|China Equities||KBA|6|7.ASSET|Equity|674.4|23.2|002594| BYD Company Limited Class A| 3.44%| Emerging Asia Pacific|Equity|China Equities||KBA|6|8.ASSET|Equity|674.4|20.7|601899| Zijin Mining Group Co., Ltd. Class A| 3.07%| Emerging Asia Pacific|Equity|China Equities||KBA|6|9.ASSET|Equity|674.4|20.3|601888| China Tourism Group Duty Free Corporation Limited Class A| 3.01%| Emerging Asia Pacific|Equity|China Equities||KBA|6|10.ASSET|Equity|674.4|18.95|002812| Yunnan Energy New Material Co., Ltd. Class A| 2.81%| Emerging Asia Pacific|Equity|China Equities||KBA|6|11.ASSET|Equity|674.4|18.48|603501| Will Semiconductor Ltd. Class A| 2.74%| Emerging Asia Pacific|Equity|China Equities||KBA|6|12.ASSET|Equity|674.4|16.12|000858| Wuliangye Yibin Co., Ltd. Class A| 2.39%| Emerging Asia Pacific|Equity|China Equities||KBA|6|13.ASSET|Equity|674.4|16.12|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 2.39%| Emerging Asia Pacific|Equity|China Equities||KBA|6|14.ASSET|Equity|674.4|15.65|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 2.32%| Emerging Asia Pacific|Equity|China Equities||KBA|6|15.ASSET|Equity|674.4|15.44|000725| BOE Technology Group Co., Ltd. Class A| 2.29%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|1.ASSET|Equity|865.5|225.12|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 26.01%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|2.ASSET|Equity|865.5|153.97|DGCXX| Dreyfus Government Cash Management Funds Institutional| 17.79%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|3.ASSET|Equity|865.5|9|ARNA| Arena Pharmaceuticals, Inc.| 1.04%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|4.ASSET|Equity|865.5|6.92|BCRX| BioCryst Pharmaceuticals, Inc.| 0.80%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|5.ASSET|Equity|865.5|5.97|EXEL| Exelixis, Inc.| 0.69%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|6.ASSET|Equity|865.5|5.63|ABBV| AbbVie, Inc.| 0.65%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|7.ASSET|Equity|865.5|5.63|BHVN| Biohaven Pharmaceutical Holding Company Ltd.| 0.65%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|8.ASSET|Equity|865.5|5.45|NBIX| Neurocrine Biosciences, Inc.| 0.63%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|9.ASSET|Equity|865.5|5.37|IONS| Ionis Pharmaceuticals, Inc.| 0.62%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|10.ASSET|Equity|865.5|5.37|VRTX| Vertex Pharmaceuticals Incorporated| 0.62%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|11.ASSET|Equity|865.5|5.28|APLS| Apellis Pharmaceuticals, Inc.| 0.61%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|12.ASSET|Equity|865.5|5.28|ISEE| IVERIC bio, Inc.| 0.61%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|13.ASSET|Equity|865.5|5.28|ACAD| ACADIA Pharmaceuticals Inc.| 0.61%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|14.ASSET|Equity|865.5|5.19|AMGN| Amgen Inc.| 0.60%| North America|Equity|Leveraged Equities|Healthcare|LABU|6|15.ASSET|Equity|865.5|5.19|AGIO| Agios Pharmaceuticals, Inc.| 0.60%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|1.ASSET|Equity|889.3|41.71|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 4.69%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|2.ASSET|Equity|889.3|28.55|939| China Construction Bank Corporation Class H| 3.21%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|3.ASSET|Equity|889.3|20.1|700| Tencent Holdings Ltd.| 2.26%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|4.ASSET|Equity|889.3|19.92|005490| POSCO Holdings Inc.| 2.24%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|5.ASSET|Equity|889.3|18.41|532281| HCL Technologies Limited| 2.07%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|6.ASSET|Equity|889.3|17.96|2303| United Microelectronics Corp.| 2.02%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|7.ASSET|Equity|889.3|17.96|000270| Kia Corporation| 2.02%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|8.ASSET|Equity|889.3|17.25|2331| Li Ning Company Limited| 1.94%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|9.ASSET|Equity|889.3|13.96|005930| Samsung Electronics Co., Ltd.| 1.57%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|10.ASSET|Equity|889.3|13.34|532755| Tech Mahindra Limited| 1.50%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|11.ASSET|Equity|889.3|12.89|857| PetroChina Company Limited Class H| 1.45%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|12.ASSET|Equity|889.3|11.12|2020| SABIC Agri-Nutrients Co.| 1.25%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|13.ASSET|Equity|889.3|10.76|9988| Alibaba Group Holding Ltd.| 1.21%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|14.ASSET|Equity|889.3|10.67|2357| Asustek Computer Inc.| 1.20%| Broad Asia|Equity|Emerging Markets Equities||EMGF|6|15.ASSET|Equity|889.3|10.67|1088| China Shenhua Energy Co. Ltd. Class H| 1.20%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|1.ASSET|Bond|998.1|20.26|N/A| CORPORATE BOND| 2.03%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|2.ASSET|Bond|998.1|20.16|N/A| AT&T Inc. FRN 12-JUN-2024| 2.02%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|3.ASSET|Bond|998.1|20.06|N/A| HSBC Holdings Plc FRN 18-MAY-2024| 2.01%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|4.ASSET|Bond|998.1|20.06|N/A| Verizon Communications Inc. FRN 15-MAY-2025| 2.01%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|5.ASSET|Bond|998.1|18.37|N/A| Bank of America Corporation FRN 05-FEB-2026| 1.84%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|6.ASSET|Bond|998.1|18.27|N/A| Athene Global Funding FRN 24-MAY-2024| 1.83%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|7.ASSET|Bond|998.1|18.27|N/A| Citigroup Inc. FRN 17-MAY-2024| 1.83%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|8.ASSET|Bond|998.1|17.57|N/A| Goldman Sachs Group, Inc. FRN 15-MAY-2026| 1.76%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|9.ASSET|Bond|998.1|15.17|N/A| Morgan Stanley FRN 24-JAN-2025| 1.52%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|10.ASSET|Bond|998.1|14.77|N/A| Bank of America Corporation FRN 28-MAY-2024| 1.48%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|11.ASSET|Bond|998.1|13.08|N/A| Mizuho Financial Group, Inc. FRN 25-MAY-2024| 1.31%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|12.ASSET|Bond|998.1|12.18|N/A| Goldman Sachs Group, Inc. FRN 28-OCT-2027| 1.22%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|13.ASSET|Bond|998.1|12.18|N/A| JPMorgan Chase & Co. FRN 23-JUL-2024| 1.22%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|14.ASSET|Bond|998.1|12.08|N/A| Truist Financial Corporation FRN 09-JUN-2025| 1.21%| Developed Markets|Bond|Corporate Bonds|Floating Rate Bonds|FLTR|6|15.ASSET|Bond|998.1|12.08|N/A| UBS AG London Branch FRN 09-AUG-2024| 1.21%| North America|Equity|Volatility Hedged Equity||LVHD|6|1.ASSET|Equity|706.9|21.28|LMT| Lockheed Martin Corporation| 3.01%| North America|Equity|Volatility Hedged Equity||LVHD|6|2.ASSET|Equity|706.9|19.23|KO| Coca-Cola Company| 2.72%| North America|Equity|Volatility Hedged Equity||LVHD|6|3.ASSET|Equity|706.9|18.52|PG| Procter & Gamble Company| 2.62%| North America|Equity|Volatility Hedged Equity||LVHD|6|4.ASSET|Equity|706.9|18.45|STX| Seagate Technology Holdings PLC| 2.61%| North America|Equity|Volatility Hedged Equity||LVHD|6|5.ASSET|Equity|706.9|18.1|VZ| Verizon Communications Inc.| 2.56%| North America|Equity|Volatility Hedged Equity||LVHD|6|6.ASSET|Equity|706.9|18.1|GD| General Dynamics Corporation| 2.56%| North America|Equity|Volatility Hedged Equity||LVHD|6|7.ASSET|Equity|706.9|18.03|CVS| CVS Health Corporation| 2.55%| North America|Equity|Volatility Hedged Equity||LVHD|6|8.ASSET|Equity|706.9|18.03|PM| Philip Morris International Inc.| 2.55%| North America|Equity|Volatility Hedged Equity||LVHD|6|9.ASSET|Equity|706.9|17.81|CSCO| Cisco Systems, Inc.| 2.52%| North America|Equity|Volatility Hedged Equity||LVHD|6|10.ASSET|Equity|706.9|17.81|JNJ| Johnson & Johnson| 2.52%| North America|Equity|Volatility Hedged Equity||LVHD|6|11.ASSET|Equity|706.9|17.67|GIS| General Mills, Inc.| 2.50%| North America|Equity|Volatility Hedged Equity||LVHD|6|12.ASSET|Equity|706.9|17.18|CL| Colgate-Palmolive Company| 2.43%| North America|Equity|Volatility Hedged Equity||LVHD|6|13.ASSET|Equity|706.9|17.11|MCD| McDonald\'s Corporation| 2.42%| North America|Equity|Volatility Hedged Equity||LVHD|6|14.ASSET|Equity|706.9|16.75|PEP| PepsiCo, Inc.| 2.37%| North America|Equity|Volatility Hedged Equity||LVHD|6|15.ASSET|Equity|706.9|16.68|EMR| Emerson Electric Co.| 2.36%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|1.ASSET|Multi-Asset|944.5|85.29|N/A| U.S. Dollar| 9.03%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|2.ASSET|Multi-Asset|944.5|60.35|AAPL| Apple Inc.| 6.39%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|3.ASSET|Multi-Asset|944.5|51.85|MSFT| Microsoft Corporation| 5.49%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|4.ASSET|Multi-Asset|944.5|31.07|AMZN| Amazon.com, Inc.| 3.29%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|5.ASSET|Multi-Asset|944.5|19.17|GOOGL| Alphabet Inc. Class A| 2.03%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|6.ASSET|Multi-Asset|944.5|17.95|GOOG| Alphabet Inc. Class C| 1.90%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|7.ASSET|Multi-Asset|944.5|16.81|TSLA| Tesla Inc| 1.78%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|8.ASSET|Multi-Asset|944.5|12.66|NVDA| NVIDIA Corporation| 1.34%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|9.ASSET|Multi-Asset|944.5|10.96|FB| Meta Platforms Inc. Class A| 1.16%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|10.ASSET|Multi-Asset|944.5|10.2|JNJ| Johnson & Johnson| 1.08%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|11.ASSET|Multi-Asset|944.5|9.82|UNH| UnitedHealth Group Incorporated| 1.04%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|12.ASSET|Multi-Asset|944.5|9.73|JPM| JPMorgan Chase & Co.| 1.03%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|13.ASSET|Multi-Asset|944.5|9.16|BRK.B| Berkshire Hathaway Inc. Class B| 0.97%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|14.ASSET|Multi-Asset|944.5|8.59|PG| Procter & Gamble Company| 0.91%| North America|Multi-Asset|Diversified Portfolio||NTSX|6|15.ASSET|Multi-Asset|944.5|8.41|V| Visa Inc. Class A| 0.89%| North America|Equity|Technology Equities|Technology|XNTK|6|1.ASSET|Equity|576|20.56|MU| Micron Technology, Inc.| 3.57%| North America|Equity|Technology Equities|Technology|XNTK|6|2.ASSET|Equity|576|19.99|IBM| International Business Machines Corporation| 3.47%| North America|Equity|Technology Equities|Technology|XNTK|6|3.ASSET|Equity|576|18.95|BKNG| Booking Holdings Inc.| 3.29%| North America|Equity|Technology Equities|Technology|XNTK|6|4.ASSET|Equity|576|18.89|INTC| Intel Corporation| 3.28%| North America|Equity|Technology Equities|Technology|XNTK|6|5.ASSET|Equity|576|18.84|UBER| Uber Technologies, Inc.| 3.27%| North America|Equity|Technology Equities|Technology|XNTK|6|6.ASSET|Equity|576|18.84|CSCO| Cisco Systems, Inc.| 3.27%| North America|Equity|Technology Equities|Technology|XNTK|6|7.ASSET|Equity|576|18.72|JD| JD.com, Inc. Sponsored ADR Class A| 3.25%| North America|Equity|Technology Equities|Technology|XNTK|6|8.ASSET|Equity|576|18.55|AAPL| Apple Inc.| 3.22%| North America|Equity|Technology Equities|Technology|XNTK|6|9.ASSET|Equity|576|18.49|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 3.21%| North America|Equity|Technology Equities|Technology|XNTK|6|10.ASSET|Equity|576|18.49|GOOGL| Alphabet Inc. Class A| 3.21%| North America|Equity|Technology Equities|Technology|XNTK|6|11.ASSET|Equity|576|18.43|AVGO| Broadcom Inc.| 3.20%| North America|Equity|Technology Equities|Technology|XNTK|6|12.ASSET|Equity|576|18.14|QCOM| Qualcomm Inc| 3.15%| North America|Equity|Technology Equities|Technology|XNTK|6|13.ASSET|Equity|576|18.03|NOW| ServiceNow, Inc.| 3.13%| North America|Equity|Technology Equities|Technology|XNTK|6|14.ASSET|Equity|576|17.91|AMZN| Amazon.com, Inc.| 3.11%| North America|Equity|Technology Equities|Technology|XNTK|6|15.ASSET|Equity|576|17.57|MSFT| Microsoft Corporation| 3.05%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|1.ASSET|Multi-Asset|1075.3|81.51|CVX| Chevron Corporation| 7.58%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|2.ASSET|Multi-Asset|1075.3|74.2|UNH| UnitedHealth Group Incorporated| 6.90%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|3.ASSET|Multi-Asset|1075.3|63.77|AAPL| Apple Inc.| 5.93%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|4.ASSET|Multi-Asset|1075.3|61.94|MCD| McDonald\'s Corporation| 5.76%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|5.ASSET|Multi-Asset|1075.3|60.54|MSFT| Microsoft Corporation| 5.63%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|6.ASSET|Multi-Asset|1075.3|59.57|V| Visa Inc. Class A| 5.54%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|7.ASSET|Multi-Asset|1075.3|57.42|PG| Procter & Gamble Company| 5.34%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|8.ASSET|Multi-Asset|1075.3|52.26|HD| Home Depot, Inc.| 4.86%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|9.ASSET|Multi-Asset|1075.3|50.75|NKE| NIKE, Inc. Class B| 4.72%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|10.ASSET|Multi-Asset|1075.3|50|GS| Goldman Sachs Group, Inc.| 4.65%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|11.ASSET|Multi-Asset|1075.3|49.36|JPM| JPMorgan Chase & Co.| 4.59%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|12.ASSET|Multi-Asset|1075.3|46.78|MPC| Marathon Petroleum Corporation| 4.35%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|13.ASSET|Multi-Asset|1075.3|40.65|NEM| Newmont Corporation| 3.78%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|14.ASSET|Multi-Asset|1075.3|38.6|ICE| Intercontinental Exchange, Inc.| 3.59%| North America|Multi-Asset|Large Cap Blend Equities||DIVO|6|15.ASSET|Multi-Asset|1075.3|37.31|DUK| Duke Energy Corporation| 3.47%| Global ex-U.S.|Equity|Global Equities||DFAI|6|1.ASSET|Equity|1274.8|21.29|NESN| Nestle S.A.| 1.67%| Global ex-U.S.|Equity|Global Equities||DFAI|6|2.ASSET|Equity|1274.8|17.08|ROG| Roche Holding Ltd| 1.34%| Global ex-U.S.|Equity|Global Equities||DFAI|6|3.ASSET|Equity|1274.8|13|7203| Toyota Motor Corp.| 1.02%| Global ex-U.S.|Equity|Global Equities||DFAI|6|4.ASSET|Equity|1274.8|12.75|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.00%| Global ex-U.S.|Equity|Global Equities||DFAI|6|5.ASSET|Equity|1274.8|12.75|SHEL| Shell PLC| 1.00%| Global ex-U.S.|Equity|Global Equities||DFAI|6|6.ASSET|Equity|1274.8|10.71|NOVO.B| Novo Nordisk A/S Class B| 0.84%| Global ex-U.S.|Equity|Global Equities||DFAI|6|7.ASSET|Equity|1274.8|9.69|AZN| AstraZeneca PLC| 0.76%| Global ex-U.S.|Equity|Global Equities||DFAI|6|8.ASSET|Equity|1274.8|9.18|6758| Sony Group Corporation| 0.72%| Global ex-U.S.|Equity|Global Equities||DFAI|6|9.ASSET|Equity|1274.8|8.41|ASML| ASML Holding NV ADR| 0.66%| Global ex-U.S.|Equity|Global Equities||DFAI|6|10.ASSET|Equity|1274.8|8.03|TTE| TotalEnergies SE| 0.63%| Global ex-U.S.|Equity|Global Equities||DFAI|6|11.ASSET|Equity|1274.8|7.14|1299| AIA Group Limited| 0.56%| Global ex-U.S.|Equity|Global Equities||DFAI|6|12.ASSET|Equity|1274.8|7.01|HSBA| HSBC Holdings Plc| 0.55%| Global ex-U.S.|Equity|Global Equities||DFAI|6|13.ASSET|Equity|1274.8|6.88|ASML| ASML Holding NV| 0.54%| Global ex-U.S.|Equity|Global Equities||DFAI|6|14.ASSET|Equity|1274.8|6.63|CBA| Commonwealth Bank of Australia| 0.52%| Global ex-U.S.|Equity|Global Equities||DFAI|6|15.ASSET|Equity|1274.8|6.5|RIO| Rio Tinto plc| 0.51%| North America|Equity|Europe Equities||EWD|6|1.ASSET|Equity|592.1|38.49|INVE.B| Investor AB Class B| 6.50%| North America|Equity|Europe Equities||EWD|6|2.ASSET|Equity|592.1|36.59|NDA.SE| Nordea Bank Abp| 6.18%| North America|Equity|Europe Equities||EWD|6|3.ASSET|Equity|592.1|35.76|ATCO.A| Atlas Copco AB Class A| 6.04%| North America|Equity|Europe Equities||EWD|6|4.ASSET|Equity|592.1|27.89|ASSA.B| ASSA ABLOY AB Class B| 4.71%| North America|Equity|Europe Equities||EWD|6|5.ASSET|Equity|592.1|27.89|VOLV.B| Volvo AB Class B| 4.71%| North America|Equity|Europe Equities||EWD|6|6.ASSET|Equity|592.1|27.65|ERIC.B| Telefonaktiebolaget LM Ericsson Class B| 4.67%| North America|Equity|Europe Equities||EWD|6|7.ASSET|Equity|592.1|26.88|HEXA.B| Hexagon AB Class B| 4.54%| North America|Equity|Europe Equities||EWD|6|8.ASSET|Equity|592.1|24.39|SAND| Sandvik AB| 4.12%| North America|Equity|Europe Equities||EWD|6|9.ASSET|Equity|592.1|20.25|EVO| Evolution AB| 3.42%| North America|Equity|Europe Equities||EWD|6|10.ASSET|Equity|592.1|19.18|SEB.A| Skandinaviska Enskilda Banken AB Class A| 3.24%| North America|Equity|Europe Equities||EWD|6|11.ASSET|Equity|592.1|18.36|ATCO.B| Atlas Copco AB Class B| 3.10%| North America|Equity|Europe Equities||EWD|6|12.ASSET|Equity|592.1|16.34|ESSITY.B| Essity AB Class B| 2.76%| North America|Equity|Europe Equities||EWD|6|13.ASSET|Equity|592.1|15.22|SWED.A| Swedbank AB Class A| 2.57%| North America|Equity|Europe Equities||EWD|6|14.ASSET|Equity|592.1|14.39|SHB.A| Svenska Handelsbanken AB Class A| 2.43%| North America|Equity|Europe Equities||EWD|6|15.ASSET|Equity|592.1|13.2|BOL| Boliden AB| 2.23%| Developed Markets|Alternatives|Hedge Fund||MNA|6|1.ASSET|Alternatives|617.3|45.43|NUAN| Nuance Communications Incorporated| 7.36%| Developed Markets|Alternatives|Hedge Fund||MNA|6|2.ASSET|Alternatives|617.3|43.21|DSVXX| Dreyfus Institutional Reserves Money Fund Institutional| 7.00%| Developed Markets|Alternatives|Hedge Fund||MNA|6|3.ASSET|Alternatives|617.3|39.32|ARNA| Arena Pharmaceuticals, Inc.| 6.37%| Developed Markets|Alternatives|Hedge Fund||MNA|6|4.ASSET|Alternatives|617.3|38.95|CERN| Cerner Corporation| 6.31%| Developed Markets|Alternatives|Hedge Fund||MNA|6|5.ASSET|Alternatives|617.3|37.28|MIME| Mimecast Limited| 6.04%| Developed Markets|Alternatives|Hedge Fund||MNA|6|6.ASSET|Alternatives|617.3|26.42|CONE| CyrusOne Inc.| 4.28%| Developed Markets|Alternatives|Hedge Fund||MNA|6|7.ASSET|Alternatives|617.3|26.17|COHR| Coherent, Inc.| 4.24%| Developed Markets|Alternatives|Hedge Fund||MNA|6|8.ASSET|Alternatives|617.3|21.3|ATVI| Activision Blizzard, Inc.| 3.45%| Developed Markets|Alternatives|Hedge Fund||MNA|6|9.ASSET|Alternatives|617.3|18.64|CTXS| Citrix Systems, Inc.| 3.02%| Developed Markets|Alternatives|Hedge Fund||MNA|6|10.ASSET|Alternatives|617.3|17.22|EPAY| Bottomline Technologies (de), Inc.| 2.79%| Developed Markets|Alternatives|Hedge Fund||MNA|6|11.ASSET|Alternatives|617.3|17.1|ZNGA| Zynga Inc. Class A| 2.77%| Developed Markets|Alternatives|Hedge Fund||MNA|6|12.ASSET|Alternatives|617.3|17.04|VG| Vonage Holdings Corp.| 2.76%| Developed Markets|Alternatives|Hedge Fund||MNA|6|13.ASSET|Alternatives|617.3|16.23|KRA| Kraton Corporation| 2.63%| Developed Markets|Alternatives|Hedge Fund||MNA|6|14.ASSET|Alternatives|617.3|16.05|CCMP| CMC Materials, Inc.| 2.60%| Developed Markets|Alternatives|Hedge Fund||MNA|6|15.ASSET|Alternatives|617.3|15.74|ROG| Rogers Corporation| 2.55%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|1.ASSET|Equity|677|28.37|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 4.19%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|2.ASSET|Equity|677|25.39|005930| Samsung Electronics Co., Ltd.| 3.75%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|3.ASSET|Equity|677|18.28|700| Tencent Holdings Ltd.| 2.70%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|4.ASSET|Equity|677|9.07|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.34%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|5.ASSET|Equity|677|8.39|939| China Construction Bank Corporation Class H| 1.24%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|6.ASSET|Equity|677|8.39|VALE3| Vale S.A.| 1.24%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|7.ASSET|Equity|677|8.12|500325| Reliance Industries Limited| 1.20%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|8.ASSET|Equity|677|7.45|500209| Infosys Limited| 1.10%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|9.ASSET|Equity|677|6.77|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.00%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|10.ASSET|Equity|677|6.5|000660| SK hynix Inc| 0.96%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|11.ASSET|Equity|677|6.43|500180| HDFC Bank Limited| 0.95%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|12.ASSET|Equity|677|5.69|2454| MediaTek Inc| 0.84%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|13.ASSET|Equity|677|5.62|BIDU| Baidu Inc Sponsored ADR Class A| 0.83%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|14.ASSET|Equity|677|5.48|1398| Industrial and Commercial Bank of China Limited Class H| 0.81%| Emerging Markets|Equity|Emerging Markets Equities||JHEM|6|15.ASSET|Equity|677|5.28|NTES| NetEase, Inc. Sponsored ADR| 0.78%| North America|Equity|Large Cap Growth Equities||OUSA|6|1.ASSET|Equity|782|39.49|JNJ| Johnson & Johnson| 5.05%| North America|Equity|Large Cap Growth Equities||OUSA|6|2.ASSET|Equity|782|39.41|PG| Procter & Gamble Company| 5.04%| North America|Equity|Large Cap Growth Equities||OUSA|6|3.ASSET|Equity|782|36.6|MSFT| Microsoft Corporation| 4.68%| North America|Equity|Large Cap Growth Equities||OUSA|6|4.ASSET|Equity|782|35.74|VZ| Verizon Communications Inc.| 4.57%| North America|Equity|Large Cap Growth Equities||OUSA|6|5.ASSET|Equity|782|32.3|HD| Home Depot, Inc.| 4.13%| North America|Equity|Large Cap Growth Equities||OUSA|6|6.ASSET|Equity|782|29.64|AAPL| Apple Inc.| 3.79%| North America|Equity|Large Cap Growth Equities||OUSA|6|7.ASSET|Equity|782|27.29|PFE| Pfizer Inc.| 3.49%| North America|Equity|Large Cap Growth Equities||OUSA|6|8.ASSET|Equity|782|26.35|LMT| Lockheed Martin Corporation| 3.37%| North America|Equity|Large Cap Growth Equities||OUSA|6|9.ASSET|Equity|782|22.6|MCD| McDonald\'s Corporation| 2.89%| North America|Equity|Large Cap Growth Equities||OUSA|6|10.ASSET|Equity|782|19.47|UNH| UnitedHealth Group Incorporated| 2.49%| North America|Equity|Large Cap Growth Equities||OUSA|6|11.ASSET|Equity|782|18.53|CMCSA| Comcast Corporation Class A| 2.37%| North America|Equity|Large Cap Growth Equities||OUSA|6|12.ASSET|Equity|782|18.3|CSCO| Cisco Systems, Inc.| 2.34%| North America|Equity|Large Cap Growth Equities||OUSA|6|13.ASSET|Equity|782|16.03|TXN| Texas Instruments Incorporated| 2.05%| North America|Equity|Large Cap Growth Equities||OUSA|6|14.ASSET|Equity|782|15.87|ABT| Abbott Laboratories| 2.03%| North America|Equity|Large Cap Growth Equities||OUSA|6|15.ASSET|Equity|782|15.48|LLY| Eli Lilly and Company| 1.98%| North America|Equity|Large Cap Growth Equities||NUSI|6|1.ASSET|Equity|856.9|107.54|AAPL| Apple Inc.| 12.55%| North America|Equity|Large Cap Growth Equities||NUSI|6|2.ASSET|Equity|856.9|88.69|MSFT| Microsoft Corporation| 10.35%| North America|Equity|Large Cap Growth Equities||NUSI|6|3.ASSET|Equity|856.9|60.67|AMZN| Amazon.com, Inc.| 7.08%| North America|Equity|Large Cap Growth Equities||NUSI|6|4.ASSET|Equity|856.9|34.88|TSLA| Tesla Inc| 4.07%| North America|Equity|Large Cap Growth Equities||NUSI|6|5.ASSET|Equity|856.9|33.59|NVDA| NVIDIA Corporation| 3.92%| North America|Equity|Large Cap Growth Equities||NUSI|6|6.ASSET|Equity|856.9|33.59|GOOG| Alphabet Inc. Class C| 3.92%| North America|Equity|Large Cap Growth Equities||NUSI|6|7.ASSET|Equity|856.9|31.79|GOOGL| Alphabet Inc. Class A| 3.71%| North America|Equity|Large Cap Growth Equities||NUSI|6|8.ASSET|Equity|856.9|28.96|FB| Meta Platforms Inc. Class A| 3.38%| North America|Equity|Large Cap Growth Equities||NUSI|6|9.ASSET|Equity|856.9|15.68|AVGO| Broadcom Inc.| 1.83%| North America|Equity|Large Cap Growth Equities||NUSI|6|10.ASSET|Equity|856.9|15.42|CSCO| Cisco Systems, Inc.| 1.80%| North America|Equity|Large Cap Growth Equities||NUSI|6|11.ASSET|Equity|856.9|15.17|COST| Costco Wholesale Corporation| 1.77%| North America|Equity|Large Cap Growth Equities||NUSI|6|12.ASSET|Equity|856.9|14.82|PEP| PepsiCo, Inc.| 1.73%| North America|Equity|Large Cap Growth Equities||NUSI|6|13.ASSET|Equity|856.9|14.57|ADBE| Adobe Inc.| 1.70%| North America|Equity|Large Cap Growth Equities||NUSI|6|14.ASSET|Equity|856.9|13.8|CMCSA| Comcast Corporation Class A| 1.61%| North America|Equity|Large Cap Growth Equities||NUSI|6|15.ASSET|Equity|856.9|12.94|INTC| Intel Corporation| 1.51%| North America|Equity|Small Cap Growth Equities||VTWG|6|1.ASSET|Equity|636.8|10.83|N/A| U.S. Dollar| 1.70%| North America|Equity|Small Cap Growth Equities||VTWG|6|2.ASSET|Equity|636.8|4.01|SYNA| Synaptics Incorporated| 0.63%| North America|Equity|Small Cap Growth Equities||VTWG|6|3.ASSET|Equity|636.8|3.95|EGP| EastGroup Properties, Inc.| 0.62%| North America|Equity|Small Cap Growth Equities||VTWG|6|4.ASSET|Equity|636.8|3.82|WSC| WillScot Mobile Mini Holdings Corp. Class A| 0.60%| North America|Equity|Small Cap Growth Equities||VTWG|6|5.ASSET|Equity|636.8|3.69|SAIA| Saia, Inc.| 0.58%| North America|Equity|Small Cap Growth Equities||VTWG|6|6.ASSET|Equity|636.8|3.63|LSCC| Lattice Semiconductor Corporation| 0.57%| North America|Equity|Small Cap Growth Equities||VTWG|6|7.ASSET|Equity|636.8|3.63|TTEK| Tetra Tech, Inc.| 0.57%| North America|Equity|Small Cap Growth Equities||VTWG|6|8.ASSET|Equity|636.8|3.18|SLAB| Silicon Laboratories Inc.| 0.50%| North America|Equity|Small Cap Growth Equities||VTWG|6|9.ASSET|Equity|636.8|3.18|OMCL| Omnicell, Inc.| 0.50%| North America|Equity|Small Cap Growth Equities||VTWG|6|10.ASSET|Equity|636.8|3.18|NTLA| Intellia Therapeutics, Inc.| 0.50%| North America|Equity|Small Cap Growth Equities||VTWG|6|11.ASSET|Equity|636.8|3.06|IIVI| II-VI Incorporated| 0.48%| North America|Equity|Small Cap Growth Equities||VTWG|6|12.ASSET|Equity|636.8|3.06|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.48%| North America|Equity|Small Cap Growth Equities||VTWG|6|13.ASSET|Equity|636.8|2.93|CROX| Crocs, Inc.| 0.46%| North America|Equity|Small Cap Growth Equities||VTWG|6|14.ASSET|Equity|636.8|2.93|TXRH| Texas Roadhouse, Inc.| 0.46%| North America|Equity|Small Cap Growth Equities||VTWG|6|15.ASSET|Equity|636.8|2.87|INSP| Inspire Medical Systems, Inc.| 0.45%| North America|Equity|Transportation Equities|Industrials|XTN|6|1.ASSET|Equity|941.2|27.39|MATX| Matson, Inc.| 2.91%| North America|Equity|Transportation Equities|Industrials|XTN|6|2.ASSET|Equity|941.2|27.29|GNK| Genco Shipping & Trading Ltd| 2.90%| North America|Equity|Transportation Equities|Industrials|XTN|6|3.ASSET|Equity|941.2|24.09|EGLE| Eagle Bulk Shipping Inc| 2.56%| North America|Equity|Transportation Equities|Industrials|XTN|6|4.ASSET|Equity|941.2|24|KEX| Kirby Corporation| 2.55%| North America|Equity|Transportation Equities|Industrials|XTN|6|5.ASSET|Equity|941.2|22.87|SAVE| Spirit Airlines, Inc.| 2.43%| North America|Equity|Transportation Equities|Industrials|XTN|6|6.ASSET|Equity|941.2|22.4|SNDR| Schneider National, Inc. Class B| 2.38%| North America|Equity|Transportation Equities|Industrials|XTN|6|7.ASSET|Equity|941.2|22.02|ALK| Alaska Air Group, Inc.| 2.34%| North America|Equity|Transportation Equities|Industrials|XTN|6|8.ASSET|Equity|941.2|21.93|JBHT| J.B. Hunt Transport Services, Inc.| 2.33%| North America|Equity|Transportation Equities|Industrials|XTN|6|9.ASSET|Equity|941.2|21.84|CHRW| C.H. Robinson Worldwide, Inc.| 2.32%| North America|Equity|Transportation Equities|Industrials|XTN|6|10.ASSET|Equity|941.2|21.84|JBLU| JetBlue Airways Corporation| 2.32%| North America|Equity|Transportation Equities|Industrials|XTN|6|11.ASSET|Equity|941.2|21.74|LUV| Southwest Airlines Co.| 2.31%| North America|Equity|Transportation Equities|Industrials|XTN|6|12.ASSET|Equity|941.2|21.65|HUBG| Hub Group, Inc. Class A| 2.30%| North America|Equity|Transportation Equities|Industrials|XTN|6|13.ASSET|Equity|941.2|21.46|DAL| Delta Air Lines, Inc.| 2.28%| North America|Equity|Transportation Equities|Industrials|XTN|6|14.ASSET|Equity|941.2|21.37|UPS| United Parcel Service, Inc. Class B| 2.27%| North America|Equity|Transportation Equities|Industrials|XTN|6|15.ASSET|Equity|941.2|21.27|UNP| Union Pacific Corporation| 2.26%| Developed Markets|Equity|Europe Equities||HEZU|6|1.ASSET|Equity|477.8|477.56|EZU| iShares MSCI Eurozone ETF| 99.95%| Developed Markets|Equity|Europe Equities||HEZU|6|2.ASSET|Equity|477.8|0.24|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.05%| North America|Equity|Technology Equities|Technology|PSI|6|1.ASSET|Equity|779.8|48.04|AVGO| Broadcom Inc.| 6.16%| North America|Equity|Technology Equities|Technology|PSI|6|2.ASSET|Equity|779.8|43.82|INTC| Intel Corporation| 5.62%| North America|Equity|Technology Equities|Technology|PSI|6|3.ASSET|Equity|779.8|42.03|QCOM| Qualcomm Inc| 5.39%| North America|Equity|Technology Equities|Technology|PSI|6|4.ASSET|Equity|779.8|40.94|AMAT| Applied Materials, Inc.| 5.25%| North America|Equity|Technology Equities|Technology|PSI|6|5.ASSET|Equity|779.8|40.47|TXN| Texas Instruments Incorporated| 5.19%| North America|Equity|Technology Equities|Technology|PSI|6|6.ASSET|Equity|779.8|39.46|ADI| Analog Devices, Inc.| 5.06%| North America|Equity|Technology Equities|Technology|PSI|6|7.ASSET|Equity|779.8|34.78|AMD| Advanced Micro Devices, Inc.| 4.46%| North America|Equity|Technology Equities|Technology|PSI|6|8.ASSET|Equity|779.8|34.23|NVDA| NVIDIA Corporation| 4.39%| North America|Equity|Technology Equities|Technology|PSI|6|9.ASSET|Equity|779.8|26.67|ACLS| Axcelis Technologies, Inc.| 3.42%| North America|Equity|Technology Equities|Technology|PSI|6|10.ASSET|Equity|779.8|24.56|ON| ON Semiconductor Corporation| 3.15%| North America|Equity|Technology Equities|Technology|PSI|6|11.ASSET|Equity|779.8|23.55|ONTO| Onto Innovation, Inc.| 3.02%| North America|Equity|Technology Equities|Technology|PSI|6|12.ASSET|Equity|779.8|23.47|AMKR| Amkor Technology, Inc.| 3.01%| North America|Equity|Technology Equities|Technology|PSI|6|13.ASSET|Equity|779.8|22.22|ALGM| Allegro MicroSystems, Inc.| 2.85%| North America|Equity|Technology Equities|Technology|PSI|6|14.ASSET|Equity|779.8|21.68|KLIC| Kulicke & Soffa Industries, Inc.| 2.78%| North America|Equity|Technology Equities|Technology|PSI|6|15.ASSET|Equity|779.8|21.52|MXL| MaxLinear, Inc.| 2.76%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|1.ASSET|Equity|965.1|51.73|600519| Kweichow Moutai Co., Ltd. Class A| 5.36%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|2.ASSET|Equity|965.1|28.08|300750| Contemporary Amperex Technology Co., Ltd. Class A| 2.91%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|3.ASSET|Equity|965.1|22.87|600036| China Merchants Bank Co., Ltd. Class A| 2.37%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|4.ASSET|Equity|965.1|22.39|N/A| U.S. Dollar| 2.32%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|5.ASSET|Equity|965.1|16.99|000858| Wuliangye Yibin Co., Ltd. Class A| 1.76%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|6.ASSET|Equity|965.1|12.45|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 1.29%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|7.ASSET|Equity|965.1|11.77|600900| China Yangtze Power Co., Ltd. Class A| 1.22%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|8.ASSET|Equity|965.1|10.42|601166| Industrial Bank Co., Ltd. Class A| 1.08%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|9.ASSET|Equity|965.1|10.23|002594| BYD Company Limited Class A| 1.06%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|10.ASSET|Equity|965.1|9.36|601012| LONGi Green Energy Technology Co Ltd Class A| 0.97%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|11.ASSET|Equity|965.1|9.17|601888| China Tourism Group Duty Free Corporation Limited Class A| 0.95%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|12.ASSET|Equity|965.1|8.69|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 0.90%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|13.ASSET|Equity|965.1|8.49|600809| Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A| 0.88%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|14.ASSET|Equity|965.1|8.2|603288| Foshan Haitian Flavouring & Food Co., Ltd. Class A| 0.85%| Emerging Asia Pacific|Equity|China Equities||CNYA|6|15.ASSET|Equity|965.1|7.24|000568| Luzhou Laojiao Company Limited Class A| 0.75%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|1.ASSET|Bond|1076.2|90.08|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 8.37%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|2.ASSET|Bond|1076.2|43.05|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 4.00%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|3.ASSET|Bond|1076.2|36.48|N/A| UMBS TBA 10yr 11.5% March Delivery 2.500% 01-JAN-2052| 3.39%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|4.ASSET|Bond|1076.2|32.07|N/A| UMBS TBA 10yr 11% March Delivery 2.000% 01-NOV-2051| 2.98%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|5.ASSET|Bond|1076.2|27.12|N/A| CORPORATE BOND| 2.52%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|6.ASSET|Bond|1076.2|27.12|JTSXX| JPMorgan Trust I 100% US Treasury Securities Money Market Fund Institutional| 2.52%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|7.ASSET|Bond|1076.2|20.23|N/A| United States Treasury Bills 0.0% 09-JUN-2022| 1.88%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|8.ASSET|Bond|1076.2|18.51|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 1.72%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|9.ASSET|Bond|1076.2|14.1|N/A| UMBS TBA 10yr 12.5% February Delivery 3.000% 01-DEC-2051| 1.31%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|10.ASSET|Bond|1076.2|13.24|N/A| UMBS TBA 10yr 13.5% January Delivery 3.000% 01-DEC-2051| 1.23%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|11.ASSET|Bond|1076.2|13.13|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 1.22%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|12.ASSET|Bond|1076.2|12.38|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 1.15%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|13.ASSET|Bond|1076.2|8.18|N/A| ASSET-BACKED SECURITIES| 0.76%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|14.ASSET|Bond|1076.2|7.86|N/A| United States Treasury Bills 0.0% 18-AUG-2022| 0.73%| Global|Bond|Total Bond Market|Total Bond Market|UCON|6|15.ASSET|Bond|1076.2|7.64|N/A| U.S. Dollar| 0.71%| North America|Equity|All Cap Equities||ONEY|6|1.ASSET|Equity|789.3|16.89|HPQ| HP Inc.| 2.14%| North America|Equity|All Cap Equities||ONEY|6|2.ASSET|Equity|789.3|16.26|PGR| Progressive Corporation| 2.06%| North America|Equity|All Cap Equities||ONEY|6|3.ASSET|Equity|789.3|12.23|KR| Kroger Co.| 1.55%| North America|Equity|All Cap Equities||ONEY|6|4.ASSET|Equity|789.3|10.58|GIS| General Mills, Inc.| 1.34%| North America|Equity|All Cap Equities||ONEY|6|5.ASSET|Equity|789.3|9.95|TSN| Tyson Foods, Inc. Class A| 1.26%| North America|Equity|All Cap Equities||ONEY|6|6.ASSET|Equity|789.3|9.95|MO| Altria Group Inc| 1.26%| North America|Equity|All Cap Equities||ONEY|6|7.ASSET|Equity|789.3|9.63|KMB| Kimberly-Clark Corporation| 1.22%| North America|Equity|All Cap Equities||ONEY|6|8.ASSET|Equity|789.3|9.31|WMB| Williams Companies, Inc.| 1.18%| North America|Equity|All Cap Equities||ONEY|6|9.ASSET|Equity|789.3|8.6|OKE| ONEOK, Inc.| 1.09%| North America|Equity|All Cap Equities||ONEY|6|10.ASSET|Equity|789.3|8.52|BBY| Best Buy Co., Inc.| 1.08%| North America|Equity|All Cap Equities||ONEY|6|11.ASSET|Equity|789.3|8.29|DOW| Dow, Inc.| 1.05%| North America|Equity|All Cap Equities||ONEY|6|12.ASSET|Equity|789.3|7.02|CLX| Clorox Company| 0.89%| North America|Equity|All Cap Equities||ONEY|6|13.ASSET|Equity|789.3|7.02|CF| CF Industries Holdings, Inc.| 0.89%| North America|Equity|All Cap Equities||ONEY|6|14.ASSET|Equity|789.3|7.02|CTSH| Cognizant Technology Solutions Corporation Class A| 0.89%| North America|Equity|All Cap Equities||ONEY|6|15.ASSET|Equity|789.3|6.95|OMC| Omnicom Group Inc| 0.88%| North America|Equity|Utilities Equities|Utilities|IFRA|6|1.ASSET|Equity|814.8|9.86|CENX| Century Aluminum Company| 1.21%| North America|Equity|Utilities Equities|Utilities|IFRA|6|2.ASSET|Equity|814.8|8.64|SJI| South Jersey Industries, Inc.| 1.06%| North America|Equity|Utilities Equities|Utilities|IFRA|6|3.ASSET|Equity|814.8|8.56|ATI| Allegheny Technologies Incorporated| 1.05%| North America|Equity|Utilities Equities|Utilities|IFRA|6|4.ASSET|Equity|814.8|8.23|ENLC| EnLink Midstream LLC| 1.01%| North America|Equity|Utilities Equities|Utilities|IFRA|6|5.ASSET|Equity|814.8|7.5|OGS| ONE Gas, Inc.| 0.92%| North America|Equity|Utilities Equities|Utilities|IFRA|6|6.ASSET|Equity|814.8|7.41|SLCA| U.S. Silica Holdings, Inc.| 0.91%| North America|Equity|Utilities Equities|Utilities|IFRA|6|7.ASSET|Equity|814.8|7.33|UTL| Unitil Corporation| 0.90%| North America|Equity|Utilities Equities|Utilities|IFRA|6|8.ASSET|Equity|814.8|7.17|ATO| Atmos Energy Corporation| 0.88%| North America|Equity|Utilities Equities|Utilities|IFRA|6|9.ASSET|Equity|814.8|7.09|WMB| Williams Companies, Inc.| 0.87%| North America|Equity|Utilities Equities|Utilities|IFRA|6|10.ASSET|Equity|814.8|7.09|DTM| DT Midstream, Inc.| 0.87%| North America|Equity|Utilities Equities|Utilities|IFRA|6|11.ASSET|Equity|814.8|7.09|NWN| Northwest Natural Holding Co.| 0.87%| North America|Equity|Utilities Equities|Utilities|IFRA|6|12.ASSET|Equity|814.8|7.09|SRE| Sempra Energy| 0.87%| North America|Equity|Utilities Equities|Utilities|IFRA|6|13.ASSET|Equity|814.8|6.93|NI| NiSource Inc| 0.85%| North America|Equity|Utilities Equities|Utilities|IFRA|6|14.ASSET|Equity|814.8|6.84|KMI| Kinder Morgan Inc Class P| 0.84%| North America|Equity|Utilities Equities|Utilities|IFRA|6|15.ASSET|Equity|814.8|6.76|AVA| Avista Corporation| 0.83%| North America|Equity|Large Cap Blend Equities||JPUS|6|1.ASSET|Equity|659.3|3.96|MRO| Marathon Oil Corporation| 0.60%| North America|Equity|Large Cap Blend Equities||JPUS|6|2.ASSET|Equity|659.3|3.76|CF| CF Industries Holdings, Inc.| 0.57%| North America|Equity|Large Cap Blend Equities||JPUS|6|3.ASSET|Equity|659.3|3.69|DVN| Devon Energy Corporation| 0.56%| North America|Equity|Large Cap Blend Equities||JPUS|6|4.ASSET|Equity|659.3|3.56|EOG| EOG Resources, Inc.| 0.54%| North America|Equity|Large Cap Blend Equities||JPUS|6|5.ASSET|Equity|659.3|3.49|FCX| Freeport-McMoRan, Inc.| 0.53%| North America|Equity|Large Cap Blend Equities||JPUS|6|6.ASSET|Equity|659.3|3.49|HAL| Halliburton Company| 0.53%| North America|Equity|Large Cap Blend Equities||JPUS|6|7.ASSET|Equity|659.3|3.49|AAPL| Apple Inc.| 0.53%| North America|Equity|Large Cap Blend Equities||JPUS|6|8.ASSET|Equity|659.3|3.36|ADM| Archer-Daniels-Midland Company| 0.51%| North America|Equity|Large Cap Blend Equities||JPUS|6|9.ASSET|Equity|659.3|3.36|STLD| Steel Dynamics, Inc.| 0.51%| North America|Equity|Large Cap Blend Equities||JPUS|6|10.ASSET|Equity|659.3|3.36|MOS| Mosaic Company| 0.51%| North America|Equity|Large Cap Blend Equities||JPUS|6|11.ASSET|Equity|659.3|3.36|CTRA| Coterra Energy Inc.| 0.51%| North America|Equity|Large Cap Blend Equities||JPUS|6|12.ASSET|Equity|659.3|3.3|BG| Bunge Limited| 0.50%| North America|Equity|Large Cap Blend Equities||JPUS|6|13.ASSET|Equity|659.3|3.3|NUE| Nucor Corporation| 0.50%| North America|Equity|Large Cap Blend Equities||JPUS|6|14.ASSET|Equity|659.3|3.3|HUN| Huntsman Corporation| 0.50%| North America|Equity|Large Cap Blend Equities||JPUS|6|15.ASSET|Equity|659.3|3.23|ABBV| AbbVie, Inc.| 0.49%| North America|Equity|All Cap Equities||RDIV|6|1.ASSET|Equity|756.2|41.14|MPC| Marathon Petroleum Corporation| 5.44%| North America|Equity|All Cap Equities||RDIV|6|2.ASSET|Equity|756.2|39.55|CAH| Cardinal Health, Inc.| 5.23%| North America|Equity|All Cap Equities||RDIV|6|3.ASSET|Equity|756.2|36.6|MRK| Merck & Co., Inc.| 4.84%| North America|Equity|All Cap Equities||RDIV|6|4.ASSET|Equity|756.2|36.07|SO| Southern Company| 4.77%| North America|Equity|All Cap Equities||RDIV|6|5.ASSET|Equity|756.2|34.79|PFE| Pfizer Inc.| 4.60%| North America|Equity|All Cap Equities||RDIV|6|6.ASSET|Equity|756.2|33.12|WBA| Walgreens Boots Alliance Inc| 4.38%| North America|Equity|All Cap Equities||RDIV|6|7.ASSET|Equity|756.2|28.51|AEP| American Electric Power Company, Inc.| 3.77%| North America|Equity|All Cap Equities||RDIV|6|8.ASSET|Equity|756.2|27|OMC| Omnicom Group Inc| 3.57%| North America|Equity|All Cap Equities||RDIV|6|9.ASSET|Equity|756.2|26.24|EIX| Edison International| 3.47%| North America|Equity|All Cap Equities||RDIV|6|10.ASSET|Equity|756.2|25.86|DTE| DTE Energy Company| 3.42%| North America|Equity|All Cap Equities||RDIV|6|11.ASSET|Equity|756.2|25.26|UNM| Unum Group| 3.34%| North America|Equity|All Cap Equities||RDIV|6|12.ASSET|Equity|756.2|24.05|ED| Consolidated Edison, Inc.| 3.18%| North America|Equity|All Cap Equities||RDIV|6|13.ASSET|Equity|756.2|23.9|D| Dominion Energy Inc| 3.16%| North America|Equity|All Cap Equities||RDIV|6|14.ASSET|Equity|756.2|23.52|K| Kellogg Company| 3.11%| North America|Equity|All Cap Equities||RDIV|6|15.ASSET|Equity|756.2|23.06|PFG| Principal Financial Group, Inc.| 3.05%| North America|Equity|Large Cap Blend Equities||CFA|6|1.ASSET|Equity|623.3|2.74|HSY| Hershey Company| 0.44%| North America|Equity|Large Cap Blend Equities||CFA|6|2.ASSET|Equity|623.3|2.49|N/A| U.S. Dollar| 0.40%| North America|Equity|Large Cap Blend Equities||CFA|6|3.ASSET|Equity|623.3|2.43|KO| Coca-Cola Company| 0.39%| North America|Equity|Large Cap Blend Equities||CFA|6|4.ASSET|Equity|623.3|2.43|LMT| Lockheed Martin Corporation| 0.39%| North America|Equity|Large Cap Blend Equities||CFA|6|5.ASSET|Equity|623.3|2.43|CERN| Cerner Corporation| 0.39%| North America|Equity|Large Cap Blend Equities||CFA|6|6.ASSET|Equity|623.3|2.43|PG| Procter & Gamble Company| 0.39%| North America|Equity|Large Cap Blend Equities||CFA|6|7.ASSET|Equity|623.3|2.37|PEP| PepsiCo, Inc.| 0.38%| North America|Equity|Large Cap Blend Equities||CFA|6|8.ASSET|Equity|623.3|2.31|COST| Costco Wholesale Corporation| 0.37%| North America|Equity|Large Cap Blend Equities||CFA|6|9.ASSET|Equity|623.3|2.31|BRK.B| Berkshire Hathaway Inc. Class B| 0.37%| North America|Equity|Large Cap Blend Equities||CFA|6|10.ASSET|Equity|623.3|2.31|MKC| McCormick & Company, Incorporated| 0.37%| North America|Equity|Large Cap Blend Equities||CFA|6|11.ASSET|Equity|623.3|2.31|CHD| Church & Dwight Co., Inc.| 0.37%| North America|Equity|Large Cap Blend Equities||CFA|6|12.ASSET|Equity|623.3|2.24|VZ| Verizon Communications Inc.| 0.36%| North America|Equity|Large Cap Blend Equities||CFA|6|13.ASSET|Equity|623.3|2.24|MDLZ| Mondelez International, Inc. Class A| 0.36%| North America|Equity|Large Cap Blend Equities||CFA|6|14.ASSET|Equity|623.3|2.24|NOC| Northrop Grumman Corporation| 0.36%| North America|Equity|Large Cap Blend Equities||CFA|6|15.ASSET|Equity|623.3|2.24|ED| Consolidated Edison, Inc.| 0.36%| North America|Equity|Europe Equities||EWQ|6|1.ASSET|Equity|762.5|82.66|MC| LVMH Moet Hennessy Louis Vuitton SE| 10.84%| North America|Equity|Europe Equities||EWQ|6|2.ASSET|Equity|762.5|53.3|TTE| TotalEnergies SE| 6.99%| North America|Equity|Europe Equities||EWQ|6|3.ASSET|Equity|762.5|49.94|SAN| Sanofi| 6.55%| North America|Equity|Europe Equities||EWQ|6|4.ASSET|Equity|762.5|41.18|OR| L\'Oreal SA| 5.40%| North America|Equity|Europe Equities||EWQ|6|5.ASSET|Equity|762.5|34.24|SU| Schneider Electric SE| 4.49%| North America|Equity|Europe Equities||EWQ|6|6.ASSET|Equity|762.5|33.47|AI| Air Liquide SA| 4.39%| North America|Equity|Europe Equities||EWQ|6|7.ASSET|Equity|762.5|29.28|AIR| Airbus SE| 3.84%| North America|Equity|Europe Equities||EWQ|6|8.ASSET|Equity|762.5|26.15|BNP| BNP Paribas SA Class A| 3.43%| North America|Equity|Europe Equities||EWQ|6|9.ASSET|Equity|762.5|23.33|DG| VINCI SA| 3.06%| North America|Equity|Europe Equities||EWQ|6|10.ASSET|Equity|762.5|21.88|KER| Kering SA| 2.87%| North America|Equity|Europe Equities||EWQ|6|11.ASSET|Equity|762.5|21.58|CS| AXA SA| 2.83%| North America|Equity|Europe Equities||EWQ|6|12.ASSET|Equity|762.5|20.51|EL| EssilorLuxottica SA| 2.69%| North America|Equity|Europe Equities||EWQ|6|13.ASSET|Equity|762.5|19.22|RI| Pernod Ricard SA| 2.52%| North America|Equity|Europe Equities||EWQ|6|14.ASSET|Equity|762.5|18.07|RMS| Hermes International SCA| 2.37%| North America|Equity|Europe Equities||EWQ|6|15.ASSET|Equity|762.5|16.85|SAF| Safran S.A.| 2.21%| North America|Equity|Industrials Equities|Industrials|PPA|6|1.ASSET|Equity|947.1|71.7|LMT| Lockheed Martin Corporation| 7.57%| North America|Equity|Industrials Equities|Industrials|PPA|6|2.ASSET|Equity|947.1|65.44|RTX| Raytheon Technologies Corporation| 6.91%| North America|Equity|Industrials Equities|Industrials|PPA|6|3.ASSET|Equity|947.1|65.26|NOC| Northrop Grumman Corporation| 6.89%| North America|Equity|Industrials Equities|Industrials|PPA|6|4.ASSET|Equity|947.1|53.61|BA| Boeing Company| 5.66%| North America|Equity|Industrials Equities|Industrials|PPA|6|5.ASSET|Equity|947.1|53.42|GD| General Dynamics Corporation| 5.64%| North America|Equity|Industrials Equities|Industrials|PPA|6|6.ASSET|Equity|947.1|48.68|LHX| L3Harris Technologies Inc| 5.14%| North America|Equity|Industrials Equities|Industrials|PPA|6|7.ASSET|Equity|947.1|42.71|TDG| TransDigm Group Incorporated| 4.51%| North America|Equity|Industrials Equities|Industrials|PPA|6|8.ASSET|Equity|947.1|41.67|HON| Honeywell International Inc.| 4.40%| North America|Equity|Industrials Equities|Industrials|PPA|6|9.ASSET|Equity|947.1|33.81|TXT| Textron Inc.| 3.57%| North America|Equity|Industrials Equities|Industrials|PPA|6|10.ASSET|Equity|947.1|29.17|AXON| Axon Enterprise Inc| 3.08%| North America|Equity|Industrials Equities|Industrials|PPA|6|11.ASSET|Equity|947.1|27.75|LDOS| Leidos Holdings, Inc.| 2.93%| North America|Equity|Industrials Equities|Industrials|PPA|6|12.ASSET|Equity|947.1|26.71|ESLT| Elbit Systems Ltd| 2.82%| North America|Equity|Industrials Equities|Industrials|PPA|6|13.ASSET|Equity|947.1|26.61|HWM| Howmet Aerospace Inc.| 2.81%| North America|Equity|Industrials Equities|Industrials|PPA|6|14.ASSET|Equity|947.1|25.38|BAH| Booz Allen Hamilton Holding Corporation Class A| 2.68%| North America|Equity|Industrials Equities|Industrials|PPA|6|15.ASSET|Equity|947.1|24.81|CAE| CAE Inc.| 2.62%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|1.ASSET|Bond|774.3|61.71|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 7.97%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|2.ASSET|Bond|774.3|61.71|N/A| United States Treasury Notes 0.5% 15-JAN-2028| 7.97%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|3.ASSET|Bond|774.3|58.92|N/A| United States Treasury Notes 0.375% 15-JUL-2027| 7.61%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|4.ASSET|Bond|774.3|48.24|N/A| United States Treasury Bond 3.625% 15-APR-2028| 6.23%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|5.ASSET|Bond|774.3|37.09|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 4.79%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|6.ASSET|Bond|774.3|35.62|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 4.60%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|7.ASSET|Bond|774.3|34.92|N/A| Government of the United States of America 0.125% 15-JUL-2030| 4.51%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|8.ASSET|Bond|774.3|34.77|N/A| Government of the United States of America 0.125% 15-JAN-2031| 4.49%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|9.ASSET|Bond|774.3|33.14|N/A| Government of the United States of America 0.125% 15-JAN-2030| 4.28%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|10.ASSET|Bond|774.3|32.6|N/A| United States Treasury Notes 0.25% 15-JUL-2029| 4.21%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|11.ASSET|Bond|774.3|31.59|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 4.08%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|12.ASSET|Bond|774.3|31.36|N/A| Government of the United States of America 0.75% 15-JUL-2028| 4.05%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|13.ASSET|Bond|774.3|31.28|N/A| United States Treasury Bond 1.75% 15-JAN-2028| 4.04%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|14.ASSET|Bond|774.3|31.2|N/A| United States Treasury Bond 3.875% 15-APR-2029| 4.03%| North America|Bond|Inflation-Protected Bonds|TIPS|TDTF|6|15.ASSET|Bond|774.3|31.05|N/A| Government of the United States of America 0.125% 15-APR-2026| 4.01%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VTC|6|1.ASSET|Bond|626.5|237.26|VCLT| Vanguard Long-Term Corporate Bond ETF| 37.87%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VTC|6|2.ASSET|Bond|626.5|211.76|VCSH| Vanguard Short-Term Corporate Bond ETF| 33.80%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VTC|6|3.ASSET|Bond|626.5|177.3|VCIT| Vanguard Intermediate-Term Corporate Bond ETF| 28.30%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|1.ASSET|Equity|661.1|6.81|2638| HK Electric Investments & HK Electric Investments Ltd.| 1.03%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|2.ASSET|Equity|661.1|5.82|EMA| Emera Incorporated| 0.88%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|3.ASSET|Equity|661.1|5.69|RIO| Rio Tinto plc| 0.86%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|4.ASSET|Equity|661.1|5.49|FTS| Fortis Inc.| 0.83%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|5.ASSET|Equity|661.1|5.49|RY| Royal Bank of Canada| 0.83%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|6.ASSET|Equity|661.1|5.35|BCE| BCE Inc.| 0.81%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|7.ASSET|Equity|661.1|5.29|CM| Canadian Imperial Bank of Commerce| 0.80%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|8.ASSET|Equity|661.1|5.29|T| TELUS Corporation| 0.80%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|9.ASSET|Equity|661.1|4.96|2| CLP Holdings Limited| 0.75%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|10.ASSET|Equity|661.1|4.89|H| Hydro One Limited| 0.74%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|11.ASSET|Equity|661.1|4.83|2702| Mcdonalds Holdings Company Japan, Ltd.| 0.73%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|12.ASSET|Equity|661.1|4.63|BNS| Bank of Nova Scotia| 0.70%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|13.ASSET|Equity|661.1|4.5|MRU| Metro Inc.| 0.68%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|14.ASSET|Equity|661.1|4.5|NA| National Bank of Canada| 0.68%| Developed Markets|Equity|Volatility Hedged Equity||IDLV|6|15.ASSET|Equity|661.1|4.5|GWO| Great-West Lifeco Inc.| 0.68%| North America|Bond|Government Bonds|Treasuries|CLTL|6|1.ASSET|Bond|621.7|51.6|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 8.30%| North America|Bond|Government Bonds|Treasuries|CLTL|6|2.ASSET|Bond|621.7|51.6|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 8.30%| North America|Bond|Government Bonds|Treasuries|CLTL|6|3.ASSET|Bond|621.7|48.24|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 7.76%| North America|Bond|Government Bonds|Treasuries|CLTL|6|4.ASSET|Bond|621.7|48.24|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 7.76%| North America|Bond|Government Bonds|Treasuries|CLTL|6|5.ASSET|Bond|621.7|28.6|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 4.60%| North America|Bond|Government Bonds|Treasuries|CLTL|6|6.ASSET|Bond|621.7|28.6|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 4.60%| North America|Bond|Government Bonds|Treasuries|CLTL|6|7.ASSET|Bond|621.7|24.68|N/A| United States Treasury Notes 1.75% 31-MAY-2022| 3.97%| North America|Bond|Government Bonds|Treasuries|CLTL|6|8.ASSET|Bond|621.7|24.68|N/A| United States Treasury Notes 1.75% 31-MAY-2022| 3.97%| North America|Bond|Government Bonds|Treasuries|CLTL|6|9.ASSET|Bond|621.7|21.01|N/A| United States Treasury Notes 1.875% 31-MAY-2022| 3.38%| North America|Bond|Government Bonds|Treasuries|CLTL|6|10.ASSET|Bond|621.7|21.01|N/A| United States Treasury Notes 1.875% 31-MAY-2022| 3.38%| North America|Bond|Government Bonds|Treasuries|CLTL|6|11.ASSET|Bond|621.7|20.95|N/A| United States Treasury Notes 1.75% 15-MAY-2022| 3.37%| North America|Bond|Government Bonds|Treasuries|CLTL|6|12.ASSET|Bond|621.7|20.95|N/A| United States Treasury Notes 1.75% 15-JUN-2022| 3.37%| North America|Bond|Government Bonds|Treasuries|CLTL|6|13.ASSET|Bond|621.7|20.95|N/A| United States Treasury Notes 1.75% 15-JUN-2022| 3.37%| North America|Bond|Government Bonds|Treasuries|CLTL|6|14.ASSET|Bond|621.7|20.89|N/A| United States Treasury Notes 1.75% 15-MAY-2022| 3.36%| North America|Bond|Government Bonds|Treasuries|CLTL|6|15.ASSET|Bond|621.7|20.7|N/A| United States Treasury Notes 2.125% 15-MAY-2022| 3.33%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LQDH|6|1.ASSET|Bond|1224.7|1262.3|LQD| iShares iBoxx $ Investment Grade Corporate Bond ETF| 103.07%| North America|Equity|Europe Equities||EWP|6|1.ASSET|Equity|516.8|89.61|IBE| Iberdrola SA| 17.34%| North America|Equity|Europe Equities||EWP|6|2.ASSET|Equity|516.8|78.66|SAN| Banco Santander, S.A.| 15.22%| North America|Equity|Europe Equities||EWP|6|3.ASSET|Equity|516.8|54.99|BBVA| Banco Bilbao Vizcaya Argentaria, S.A.| 10.64%| North America|Equity|Europe Equities||EWP|6|4.ASSET|Equity|516.8|24.96|CLNX| Cellnex Telecom S.A.| 4.83%| North America|Equity|Europe Equities||EWP|6|5.ASSET|Equity|516.8|24.39|REP| Repsol SA| 4.72%| North America|Equity|Europe Equities||EWP|6|6.ASSET|Equity|516.8|23.77|TEF| Telefonica SA| 4.60%| North America|Equity|Europe Equities||EWP|6|7.ASSET|Equity|516.8|23.46|FER| Ferrovial, S.A.| 4.54%| North America|Equity|Europe Equities||EWP|6|8.ASSET|Equity|516.8|22.79|AMS| Amadeus IT Group SA Class A| 4.41%| North America|Equity|Europe Equities||EWP|6|9.ASSET|Equity|516.8|22.58|AENA| Aena SME SA| 4.37%| North America|Equity|Europe Equities||EWP|6|10.ASSET|Equity|516.8|21.96|ITX| Industria de Diseno Textil, S.A.| 4.25%| North America|Equity|Europe Equities||EWP|6|11.ASSET|Equity|516.8|21.14|CABK| CaixaBank SA| 4.09%| North America|Equity|Europe Equities||EWP|6|12.ASSET|Equity|516.8|18.29|REE| Red Electrica Corp. SA| 3.54%| North America|Equity|Europe Equities||EWP|6|13.ASSET|Equity|516.8|15.5|ELE| Endesa S.A.| 3.00%| North America|Equity|Europe Equities||EWP|6|14.ASSET|Equity|516.8|15.45|GRF| Grifols, S.A. Class A| 2.99%| North America|Equity|Europe Equities||EWP|6|15.ASSET|Equity|516.8|14.99|SGRE| Siemens Gamesa Renewable Energy, S.A.| 2.90%| North America|Equity|Large Cap Growth Equities||PFM|6|1.ASSET|Equity|689.8|24.97|MSFT| Microsoft Corporation| 3.62%| North America|Equity|Large Cap Growth Equities||PFM|6|2.ASSET|Equity|689.8|20.76|UNH| UnitedHealth Group Incorporated| 3.01%| North America|Equity|Large Cap Growth Equities||PFM|6|3.ASSET|Equity|689.8|19.8|JNJ| Johnson & Johnson| 2.87%| North America|Equity|Large Cap Growth Equities||PFM|6|4.ASSET|Equity|689.8|18.69|JPM| JPMorgan Chase & Co.| 2.71%| North America|Equity|Large Cap Growth Equities||PFM|6|5.ASSET|Equity|689.8|17.25|WMT| Walmart Inc.| 2.50%| North America|Equity|Large Cap Growth Equities||PFM|6|6.ASSET|Equity|689.8|16.9|PG| Procter & Gamble Company| 2.45%| North America|Equity|Large Cap Growth Equities||PFM|6|7.ASSET|Equity|689.8|15.8|V| Visa Inc. Class A| 2.29%| North America|Equity|Large Cap Growth Equities||PFM|6|8.ASSET|Equity|689.8|15.52|HD| Home Depot, Inc.| 2.25%| North America|Equity|Large Cap Growth Equities||PFM|6|9.ASSET|Equity|689.8|15.45|XOM| Exxon Mobil Corporation| 2.24%| North America|Equity|Large Cap Growth Equities||PFM|6|10.ASSET|Equity|689.8|13.45|CVX| Chevron Corporation| 1.95%| North America|Equity|Large Cap Growth Equities||PFM|6|11.ASSET|Equity|689.8|12.21|KO| Coca-Cola Company| 1.77%| North America|Equity|Large Cap Growth Equities||PFM|6|12.ASSET|Equity|689.8|12.14|PFE| Pfizer Inc.| 1.76%| North America|Equity|Large Cap Growth Equities||PFM|6|13.ASSET|Equity|689.8|10.97|AVGO| Broadcom Inc.| 1.59%| North America|Equity|Large Cap Growth Equities||PFM|6|14.ASSET|Equity|689.8|10.62|COST| Costco Wholesale Corporation| 1.54%| North America|Equity|Large Cap Growth Equities||PFM|6|15.ASSET|Equity|689.8|10.35|VZ| Verizon Communications Inc.| 1.50%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|1.ASSET|Equity|911.1|150.06|PG| Procter & Gamble Company| 16.47%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|2.ASSET|Equity|911.1|98.85|KO| Coca-Cola Company| 10.85%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|3.ASSET|Equity|911.1|91.93|PEP| PepsiCo, Inc.| 10.09%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|4.ASSET|Equity|911.1|65.69|PM| Philip Morris International Inc.| 7.21%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|5.ASSET|Equity|911.1|42.73|CVS| CVS Health Corporation| 4.69%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|6.ASSET|Equity|911.1|35.62|MO| Altria Group Inc| 3.91%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|7.ASSET|Equity|911.1|32.98|MDLZ| Mondelez International, Inc. Class A| 3.62%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|8.ASSET|Equity|911.1|26.51|CL| Colgate-Palmolive Company| 2.91%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|9.ASSET|Equity|911.1|20.77|SYY| Sysco Corporation| 2.28%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|10.ASSET|Equity|911.1|20.5|KMB| Kimberly-Clark Corporation| 2.25%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|11.ASSET|Equity|911.1|20.5|ADM| Archer-Daniels-Midland Company| 2.25%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|12.ASSET|Equity|911.1|19.68|MCK| McKesson Corporation| 2.16%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|13.ASSET|Equity|911.1|19.32|GIS| General Mills, Inc.| 2.12%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|14.ASSET|Equity|911.1|17.4|CTVA| Corteva Inc| 1.91%| North America|Equity|Consumer Staples Equities|Consumer Staples|IYK|6|15.ASSET|Equity|911.1|16.86|KR| Kroger Co.| 1.85%| North America|Equity|Small Cap Value Equities||RWJ|6|1.ASSET|Equity|789.2|25.49|PBF| PBF Energy, Inc. Class A| 3.23%| North America|Equity|Small Cap Value Equities||RWJ|6|2.ASSET|Equity|789.2|23.36|INT| World Fuel Services Corporation| 2.96%| North America|Equity|Small Cap Value Equities||RWJ|6|3.ASSET|Equity|789.2|17.68|UNFI| United Natural Foods, Inc.| 2.24%| North America|Equity|Small Cap Value Equities||RWJ|6|4.ASSET|Equity|789.2|12.86|ANDE| Andersons, Inc.| 1.63%| North America|Equity|Small Cap Value Equities||RWJ|6|5.ASSET|Equity|789.2|10.89|SAH| Sonic Automotive, Inc. Class A| 1.38%| North America|Equity|Small Cap Value Equities||RWJ|6|6.ASSET|Equity|789.2|10.42|GPI| Group 1 Automotive, Inc.| 1.32%| North America|Equity|Small Cap Value Equities||RWJ|6|7.ASSET|Equity|789.2|9.31|SPTN| SpartanNash Company| 1.18%| North America|Equity|Small Cap Value Equities||RWJ|6|8.ASSET|Equity|789.2|9.23|ABG| Asbury Automotive Group, Inc.| 1.17%| North America|Equity|Small Cap Value Equities||RWJ|6|9.ASSET|Equity|789.2|9|OMI| Owens & Minor, Inc.| 1.14%| North America|Equity|Small Cap Value Equities||RWJ|6|10.ASSET|Equity|789.2|8.84|ODP| ODP Corporation| 1.12%| North America|Equity|Small Cap Value Equities||RWJ|6|11.ASSET|Equity|789.2|8.6|CYH| Community Health Systems, Inc.| 1.09%| North America|Equity|Small Cap Value Equities||RWJ|6|12.ASSET|Equity|789.2|8.13|NSIT| Insight Enterprises, Inc.| 1.03%| North America|Equity|Small Cap Value Equities||RWJ|6|13.ASSET|Equity|789.2|8.05|BCC| Boise Cascade Co.| 1.02%| North America|Equity|Small Cap Value Equities||RWJ|6|14.ASSET|Equity|789.2|7.66|RLGY| Realogy Holdings Corp.| 0.97%| North America|Equity|Small Cap Value Equities||RWJ|6|15.ASSET|Equity|789.2|7.58|BBBY| Bed Bath & Beyond Inc.| 0.96%| North America|Equity|All Cap Equities||EQAL|6|1.ASSET|Equity|621.9|3.17|TMUS| T-Mobile US, Inc.| 0.51%| North America|Equity|All Cap Equities||EQAL|6|2.ASSET|Equity|621.9|3.11|VZ| Verizon Communications Inc.| 0.50%| North America|Equity|All Cap Equities||EQAL|6|3.ASSET|Equity|621.9|3.05|LITE| Lumentum Holdings, Inc.| 0.49%| North America|Equity|All Cap Equities||EQAL|6|4.ASSET|Equity|621.9|2.99|T| AT&T Inc.| 0.48%| North America|Equity|All Cap Equities||EQAL|6|5.ASSET|Equity|621.9|2.99|JNPR| Juniper Networks, Inc.| 0.48%| North America|Equity|All Cap Equities||EQAL|6|6.ASSET|Equity|621.9|2.92|VSAT| ViaSat, Inc.| 0.47%| North America|Equity|All Cap Equities||EQAL|6|7.ASSET|Equity|621.9|2.8|CSCO| Cisco Systems, Inc.| 0.45%| North America|Equity|All Cap Equities||EQAL|6|8.ASSET|Equity|621.9|2.8|CMCSA| Comcast Corporation Class A| 0.45%| North America|Equity|All Cap Equities||EQAL|6|9.ASSET|Equity|621.9|2.8|DISH| DISH Network Corporation Class A| 0.45%| North America|Equity|All Cap Equities||EQAL|6|10.ASSET|Equity|621.9|2.8|CIEN| Ciena Corporation| 0.45%| North America|Equity|All Cap Equities||EQAL|6|11.ASSET|Equity|621.9|2.74|ANET| Arista Networks, Inc.| 0.44%| North America|Equity|All Cap Equities||EQAL|6|12.ASSET|Equity|621.9|2.67|CHTR| Charter Communications, Inc. Class A| 0.43%| North America|Equity|All Cap Equities||EQAL|6|13.ASSET|Equity|621.9|2.67|LBRDK| Liberty Broadband Corp. Class C| 0.43%| North America|Equity|All Cap Equities||EQAL|6|14.ASSET|Equity|621.9|2.61|UI| Ubiquiti Inc.| 0.42%| North America|Equity|All Cap Equities||EQAL|6|15.ASSET|Equity|621.9|2.55|AA| Alcoa Corporation| 0.41%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|1.ASSET|Bond|757.6|35.83|N/A| Sprint Corp. 7.875% 15-SEP-2023| 4.73%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|2.ASSET|Bond|757.6|35.83|N/A| Sprint Corp. 7.875% 15-SEP-2023| 4.73%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|3.ASSET|Bond|757.6|20|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 2.64%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|4.ASSET|Bond|757.6|20|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 2.64%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|5.ASSET|Bond|757.6|15.3|N/A| Tenet Healthcare Corporation 6.75% 15-JUN-2023| 2.02%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|6.ASSET|Bond|757.6|15.3|N/A| Tenet Healthcare Corporation 6.75% 15-JUN-2023| 2.02%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|7.ASSET|Bond|757.6|15|N/A| CHS/Community Health Systems, Inc. 5.625% 15-MAR-2027| 1.98%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|8.ASSET|Bond|757.6|14.92|N/A| CHS/Community Health Systems, Inc. 5.625% 15-MAR-2027| 1.97%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|9.ASSET|Bond|757.6|14.32|N/A| Colt Merger Sub, Inc. 8.125% 01-JUL-2027| 1.89%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|10.ASSET|Bond|757.6|14.24|N/A| Colt Merger Sub, Inc. 8.125% 01-JUL-2027| 1.88%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|11.ASSET|Bond|757.6|13.33|N/A| United Rentals (North America), Inc. 4.875% 15-JAN-2028| 1.76%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|12.ASSET|Bond|757.6|13.33|N/A| United Rentals (North America), Inc. 4.875% 15-JAN-2028| 1.76%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|13.ASSET|Bond|757.6|12.35|N/A| Avantor Funding, Inc. 4.625% 15-JUL-2028| 1.63%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|14.ASSET|Bond|757.6|12.27|N/A| Avantor Funding, Inc. 4.625% 15-JUL-2028| 1.62%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJN|6|15.ASSET|Bond|757.6|11.89|N/A| DISH DBS Corporation 5.0% 15-MAR-2023| 1.57%| North America|Equity|Technology Equities|Technology|IHAK|6|1.ASSET|Equity|587.1|32.41|CHKP| Check Point Software Technologies Ltd.| 5.52%| North America|Equity|Technology Equities|Technology|IHAK|6|2.ASSET|Equity|587.1|29.12|CTXS| Citrix Systems, Inc.| 4.96%| North America|Equity|Technology Equities|Technology|IHAK|6|3.ASSET|Equity|587.1|27.24|FTNT| Fortinet, Inc.| 4.64%| North America|Equity|Technology Equities|Technology|IHAK|6|4.ASSET|Equity|587.1|26.65|PANW| Palo Alto Networks, Inc.| 4.54%| North America|Equity|Technology Equities|Technology|IHAK|6|5.ASSET|Equity|587.1|26.24|JNPR| Juniper Networks, Inc.| 4.47%| North America|Equity|Technology Equities|Technology|IHAK|6|6.ASSET|Equity|587.1|24.07|VMW| VMware, Inc. Class A| 4.10%| North America|Equity|Technology Equities|Technology|IHAK|6|7.ASSET|Equity|587.1|23.95|AKAM| Akamai Technologies, Inc.| 4.08%| North America|Equity|Technology Equities|Technology|IHAK|6|8.ASSET|Equity|587.1|22.84|CRWD| CrowdStrike Holdings, Inc. Class A| 3.89%| North America|Equity|Technology Equities|Technology|IHAK|6|9.ASSET|Equity|587.1|22.37|BAH| Booz Allen Hamilton Holding Corporation Class A| 3.81%| North America|Equity|Technology Equities|Technology|IHAK|6|10.ASSET|Equity|587.1|22.07|4704| Trend Micro Incorporated| 3.76%| North America|Equity|Technology Equities|Technology|IHAK|6|11.ASSET|Equity|587.1|20.78|OKTA| Okta, Inc. Class A| 3.54%| North America|Equity|Technology Equities|Technology|IHAK|6|12.ASSET|Equity|587.1|20.37|DOCU| DocuSign, Inc.| 3.47%| North America|Equity|Technology Equities|Technology|IHAK|6|13.ASSET|Equity|587.1|19.37|ZS| Zscaler, Inc.| 3.30%| North America|Equity|Technology Equities|Technology|IHAK|6|14.ASSET|Equity|587.1|19.02|CYBR| CyberArk Software Ltd.| 3.24%| North America|Equity|Technology Equities|Technology|IHAK|6|15.ASSET|Equity|587.1|18.96|CACI| CACI International Inc Class A| 3.23%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|1.ASSET|Equity|353.9|32.95|9618| JD.com, Inc. Class A| 9.31%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|2.ASSET|Equity|353.9|29.62|9988| Alibaba Group Holding Ltd.| 8.37%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|3.ASSET|Equity|353.9|27.71|3690| Meituan Class B| 7.83%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|4.ASSET|Equity|353.9|16.92|NIO| NIO Inc. Sponsored ADR Class A| 4.78%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|5.ASSET|Equity|353.9|16.1|1211| BYD Company Limited Class H| 4.55%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|6.ASSET|Equity|353.9|14.58|YUMC| Yum China Holdings, Inc.| 4.12%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|7.ASSET|Equity|353.9|14.51|2331| Li Ning Company Limited| 4.10%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|8.ASSET|Equity|353.9|13.24|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 3.74%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|9.ASSET|Equity|353.9|11.57|LI| Li Auto, Inc. Sponsored ADR Class A| 3.27%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|10.ASSET|Equity|353.9|11.47|2020| ANTA Sports Products Ltd.| 3.24%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|11.ASSET|Equity|353.9|9.59|2313| Shenzhou International Group Holdings Limited| 2.71%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|12.ASSET|Equity|353.9|9.41|TCOM| Trip.com Group Ltd. Sponsored ADR| 2.66%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|13.ASSET|Equity|353.9|9.24|XPEV| XPeng, Inc. ADR Sponsored Class A| 2.61%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|14.ASSET|Equity|353.9|7.86|175| Geely Automobile Holdings Limited| 2.22%| Broad Asia|Equity|China Equities|Consumer Discretionary|CHIQ|6|15.ASSET|Equity|353.9|7.08|6690| Haier Smart Home Co., Ltd. Class H| 2.00%| North America|Bond|National Munis|Municipal Bond|MUNI|6|1.ASSET|Bond|780|33.93|N/A| United States Treasury Bills 0.0% 19-APR-2022| 4.35%| North America|Bond|National Munis|Municipal Bond|MUNI|6|2.ASSET|Bond|780|33.15|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 4.25%| North America|Bond|National Munis|Municipal Bond|MUNI|6|3.ASSET|Bond|780|32.21|N/A| MUNICIPAL BONDS| 4.13%| North America|Bond|National Munis|Municipal Bond|MUNI|6|4.ASSET|Bond|780|14.2|N/A| United States Treasury Bills 0.0% 29-MAR-2022| 1.82%| North America|Bond|National Munis|Municipal Bond|MUNI|6|5.ASSET|Bond|780|12.32|N/A| New York St Dorm Auth St Pers Income Tax Rev 5.0% 15-MAR-2031| 1.58%| North America|Bond|National Munis|Municipal Bond|MUNI|6|6.ASSET|Bond|780|9.44|N/A| Maryland St 5.0% 01-AUG-2033| 1.21%| North America|Bond|National Munis|Municipal Bond|MUNI|6|7.ASSET|Bond|780|7.88|N/A| Tobacco Settlement Fing Corp Rhode Is 5.0% 01-JUN-2035| 1.01%| North America|Bond|National Munis|Municipal Bond|MUNI|6|8.ASSET|Bond|780|7.64|N/A| California St 5.25% 01-AUG-2032| 0.98%| North America|Bond|National Munis|Municipal Bond|MUNI|6|9.ASSET|Bond|780|7.18|N/A| New York St Dorm Auth St Pers Income Tax Rev 4.0% 15-MAR-2035| 0.92%| North America|Bond|National Munis|Municipal Bond|MUNI|6|10.ASSET|Bond|780|6.71|N/A| Chicago Ill Midway Arpt Rev 5.0% 01-JAN-2035| 0.86%| North America|Bond|National Munis|Municipal Bond|MUNI|6|11.ASSET|Bond|780|6.4|N/A| Fairfax Cnty Va Economic Dev Auth Transn Contract Rev 5.0% 01-APR-2031| 0.82%| North America|Bond|National Munis|Municipal Bond|MUNI|6|12.ASSET|Bond|780|6.32|N/A| Florida St Brd Ed Pub Ed 5.0% 01-JUN-2024| 0.81%| North America|Bond|National Munis|Municipal Bond|MUNI|6|13.ASSET|Bond|780|6.32|N/A| California Health Facs Fing Auth Rev VAR 01-JUN-2041| 0.81%| North America|Bond|National Munis|Municipal Bond|MUNI|6|14.ASSET|Bond|780|6.24|N/A| Franklin Cnty Ohio Hosp Rev 5.0% 01-NOV-2031| 0.80%| North America|Bond|National Munis|Municipal Bond|MUNI|6|15.ASSET|Bond|780|6.24|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 0.80%| North America|Equity|Volatility Hedged Equity||DIV|6|1.ASSET|Equity|700.3|15.97|IRM| Iron Mountain, Inc.| 2.28%| North America|Equity|Volatility Hedged Equity||DIV|6|2.ASSET|Equity|700.3|14.92|KRP| Kimbell Royalty Partners, LP| 2.13%| North America|Equity|Volatility Hedged Equity||DIV|6|3.ASSET|Equity|700.3|14.71|AEP| American Electric Power Company, Inc.| 2.10%| North America|Equity|Volatility Hedged Equity||DIV|6|4.ASSET|Equity|700.3|14.71|SPTN| SpartanNash Company| 2.10%| North America|Equity|Volatility Hedged Equity||DIV|6|5.ASSET|Equity|700.3|14.71|ED| Consolidated Edison, Inc.| 2.10%| North America|Equity|Volatility Hedged Equity||DIV|6|6.ASSET|Equity|700.3|14.57|CWEN| Clearway Energy, Inc. Class C| 2.08%| North America|Equity|Volatility Hedged Equity||DIV|6|7.ASSET|Equity|700.3|14.57|LUMN| Lumen Technologies, Inc.| 2.08%| North America|Equity|Volatility Hedged Equity||DIV|6|8.ASSET|Equity|700.3|14.5|EVA| Enviva Inc| 2.07%| North America|Equity|Volatility Hedged Equity||DIV|6|9.ASSET|Equity|700.3|14.5|NFG| National Fuel Gas Company| 2.07%| North America|Equity|Volatility Hedged Equity||DIV|6|10.ASSET|Equity|700.3|14.36|KNOP| KNOT Offshore Partners LP| 2.05%| North America|Equity|Volatility Hedged Equity||DIV|6|11.ASSET|Equity|700.3|14.22|KREF| KKR Real Estate Finance Trust Inc.| 2.03%| North America|Equity|Volatility Hedged Equity||DIV|6|12.ASSET|Equity|700.3|14.22|ABBV| AbbVie, Inc.| 2.03%| North America|Equity|Volatility Hedged Equity||DIV|6|13.ASSET|Equity|700.3|14.22|VIRT| Virtu Financial, Inc. Class A| 2.03%| North America|Equity|Volatility Hedged Equity||DIV|6|14.ASSET|Equity|700.3|14.22|DTE| DTE Energy Company| 2.03%| North America|Equity|Volatility Hedged Equity||DIV|6|15.ASSET|Equity|700.3|14.22|KHC| Kraft Heinz Company| 2.03%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|1.ASSET|Equity|70.4|14.4|GAZP| Gazprom PJSC| 20.46%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|2.ASSET|Equity|70.4|10.88|LKOH| Oil company LUKOIL PJSC| 15.45%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|3.ASSET|Equity|70.4|6.06|SBER| Sberbank Russia PJSC| 8.61%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|4.ASSET|Equity|70.4|4.75|GMKN| MMC Norilsk Nickel PJSC| 6.75%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|5.ASSET|Equity|70.4|3.25|TATN| TATNEFT PJSC| 4.62%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|6.ASSET|Equity|70.4|2.44|PLZL| Polyus PJSC| 3.47%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|7.ASSET|Equity|70.4|2.42|TCSG| TCS Group Holding Plc Sponsored GDR Class A RegS| 3.44%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|8.ASSET|Equity|70.4|2.1|CHMF| Severstal PAO| 2.98%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|9.ASSET|Equity|70.4|2.08|MBT| Mobile TeleSystems Public Joint Stock Company Sponsored ADR| 2.95%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|10.ASSET|Equity|70.4|2.03|NLMK| Novolipetsk Steel| 2.88%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|11.ASSET|Equity|70.4|2.01|NVTK| NOVATEK JSC Sponsored GDR RegS| 2.86%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|12.ASSET|Equity|70.4|1.95|ROSN| Rosneft Oil Co.| 2.77%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|13.ASSET|Equity|70.4|1.84|POLY| Polymetal International Plc| 2.61%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|14.ASSET|Equity|70.4|1.72|YNDX| Yandex NV Class A| 2.44%| Emerging Europe|Equity|Europe Equities|Energy|ERUS|6|15.ASSET|Equity|70.4|1.7|SNGSP| Surgutneftegas PJSC Pfd| 2.41%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|1.ASSET|Equity|458.5|10.04|EXPE| Expedia Group, Inc.| 2.19%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|2.ASSET|Equity|458.5|9.54|LVS| Las Vegas Sands Corp.| 2.08%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|3.ASSET|Equity|458.5|9.26|PENN| Penn National Gaming, Inc.| 2.02%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|4.ASSET|Equity|458.5|9.17|MAR| Marriott International, Inc. Class A| 2.00%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|5.ASSET|Equity|458.5|9.12|NWL| Newell Brands Inc| 1.99%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|6.ASSET|Equity|458.5|9.08|RL| Ralph Lauren Corporation Class A| 1.98%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|7.ASSET|Equity|458.5|9.03|MGM| MGM Resorts International| 1.97%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|8.ASSET|Equity|458.5|8.8|DLTR| Dollar Tree, Inc.| 1.92%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|9.ASSET|Equity|458.5|8.71|RCL| Royal Caribbean Group| 1.90%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|10.ASSET|Equity|458.5|8.71|CCL| Carnival Corporation| 1.90%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|11.ASSET|Equity|458.5|8.67|HLT| Hilton Worldwide Holdings Inc| 1.89%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|12.ASSET|Equity|458.5|8.57|ORLY| O\'Reilly Automotive, Inc.| 1.87%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|13.ASSET|Equity|458.5|8.39|HAS| Hasbro, Inc.| 1.83%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|14.ASSET|Equity|458.5|8.34|BBY| Best Buy Co., Inc.| 1.82%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RCD|6|15.ASSET|Equity|458.5|8.34|CZR| Caesars Entertainment Inc| 1.82%| Developed Markets|Equity|Materials|Materials|MXI|6|1.ASSET|Equity|661.3|44.51|BHP| BHP Group Ltd| 6.73%| Developed Markets|Equity|Materials|Materials|MXI|6|2.ASSET|Equity|661.3|37.36|LIN| Linde plc| 5.65%| Developed Markets|Equity|Materials|Materials|MXI|6|3.ASSET|Equity|661.3|21.89|RIO| Rio Tinto plc| 3.31%| Developed Markets|Equity|Materials|Materials|MXI|6|4.ASSET|Equity|661.3|20.04|VALE| Vale S.A. Sponsored ADR| 3.03%| Developed Markets|Equity|Materials|Materials|MXI|6|5.ASSET|Equity|661.3|20.04|AI| Air Liquide SA| 3.03%| Developed Markets|Equity|Materials|Materials|MXI|6|6.ASSET|Equity|661.3|18.32|AAL| Anglo American plc| 2.77%| Developed Markets|Equity|Materials|Materials|MXI|6|7.ASSET|Equity|661.3|18.12|FCX| Freeport-McMoRan, Inc.| 2.74%| Developed Markets|Equity|Materials|Materials|MXI|6|8.ASSET|Equity|661.3|16.66|GLEN| Glencore plc| 2.52%| Developed Markets|Equity|Materials|Materials|MXI|6|9.ASSET|Equity|661.3|15.87|SHW| Sherwin-Williams Company| 2.40%| Developed Markets|Equity|Materials|Materials|MXI|6|10.ASSET|Equity|661.3|15.67|4063| Shin-Etsu Chemical Co Ltd| 2.37%| Developed Markets|Equity|Materials|Materials|MXI|6|11.ASSET|Equity|661.3|14.55|BAS| BASF SE| 2.20%| Developed Markets|Equity|Materials|Materials|MXI|6|12.ASSET|Equity|661.3|14.22|NEM| Newmont Corporation| 2.15%| Developed Markets|Equity|Materials|Materials|MXI|6|13.ASSET|Equity|661.3|13.16|APD| Air Products and Chemicals, Inc.| 1.99%| Developed Markets|Equity|Materials|Materials|MXI|6|14.ASSET|Equity|661.3|12.5|NTR| Nutrien Ltd.| 1.89%| Developed Markets|Equity|Materials|Materials|MXI|6|15.ASSET|Equity|661.3|12.04|SIKA| Sika AG| 1.82%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|1.ASSET|Equity|658.1|2.83|3035| Faraday Technology Corp.| 0.43%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|2.ASSET|Equity|658.1|2.3|2376| Gigabyte Technology Co., Ltd.| 0.35%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|3.ASSET|Equity|658.1|2.24|RBP| Royal Bafokeng Platinum Limited| 0.34%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|4.ASSET|Equity|658.1|2.11|3661| Alchip Technologies Ltd.| 0.32%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|5.ASSET|Equity|658.1|2.04|3023| SINBON Electronics Co., Ltd.| 0.31%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|6.ASSET|Equity|658.1|1.97|3533| Lotes Co., Ltd| 0.30%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|7.ASSET|Equity|658.1|1.78|SAP| Sappi Limited| 0.27%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|8.ASSET|Equity|658.1|1.65|TRU| Truworths International Limited| 0.25%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|9.ASSET|Equity|658.1|1.65|AVI| AVI Limited Class Y| 0.25%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|10.ASSET|Equity|658.1|1.65|5434| Topco Scientific Co., Ltd.| 0.25%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|11.ASSET|Equity|658.1|1.58|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 0.24%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|12.ASSET|Equity|658.1|1.58|BAW| Barloworld Limited| 0.24%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|13.ASSET|Equity|658.1|1.58|2458| ELAN Microelectronics Corp.| 0.24%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|14.ASSET|Equity|658.1|1.51|NTC| Netcare Limited| 0.23%| Emerging Markets|Equity|Emerging Markets Equities||EWX|6|15.ASSET|Equity|658.1|1.51|2449| King Yuan Electronics Co., Ltd.| 0.23%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|1.ASSET|Equity|360.2|18.33|AAPL| Apple Inc.| 5.09%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|2.ASSET|Equity|360.2|14.37|MSFT| Microsoft Corporation| 3.99%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|3.ASSET|Equity|360.2|9.33|AMZN| Amazon.com, Inc.| 2.59%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|4.ASSET|Equity|360.2|5.44|GOOGL| Alphabet Inc. Class A| 1.51%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|5.ASSET|Equity|360.2|5.19|GOOG| Alphabet Inc. Class C| 1.44%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|6.ASSET|Equity|360.2|5.04|TSLA| Tesla Inc| 1.40%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|7.ASSET|Equity|360.2|4.03|NVDA| NVIDIA Corporation| 1.12%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|8.ASSET|Equity|360.2|3.31|FB| Meta Platforms Inc. Class A| 0.92%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|9.ASSET|Equity|360.2|3.06|UNH| UnitedHealth Group Incorporated| 0.85%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|10.ASSET|Equity|360.2|2.92|JNJ| Johnson & Johnson| 0.81%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|11.ASSET|Equity|360.2|2.81|BRK.B| Berkshire Hathaway Inc. Class B| 0.78%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|12.ASSET|Equity|360.2|2.77|JPM| JPMorgan Chase & Co.| 0.77%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|13.ASSET|Equity|360.2|2.49|PG| Procter & Gamble Company| 0.69%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|14.ASSET|Equity|360.2|2.45|NESN| Nestle S.A.| 0.68%| Developed Markets|Equity|Large Cap Growth Equities||KOKU|6|15.ASSET|Equity|360.2|2.38|V| Visa Inc. Class A| 0.66%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|1.ASSET|Bond|422.1|4.01|N/A| CORPORATE BOND| 0.95%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|2.ASSET|Bond|422.1|1.06|N/A| Apple Inc. 2.4% 03-MAY-2023| 0.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|3.ASSET|Bond|422.1|1.01|N/A| EMC Corporation 6.02% 15-JUN-2026| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|4.ASSET|Bond|422.1|0.97|N/A| Boeing Company 2.196% 04-FEB-2026| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|5.ASSET|Bond|422.1|0.97|N/A| Bank of America Corporation 1.734% 22-JUL-2027| 0.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|6.ASSET|Bond|422.1|0.93|N/A| MUTUAL FUND (OTHER)| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|7.ASSET|Bond|422.1|0.93|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 0.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|8.ASSET|Bond|422.1|0.89|N/A| Goldman Sachs Group, Inc. 1.948% 21-OCT-2027| 0.21%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|9.ASSET|Bond|422.1|0.89|N/A| HSBC Holdings Plc 4.3% 08-MAR-2026| 0.21%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|10.ASSET|Bond|422.1|0.8|N/A| Microsoft Corporation 3.3% 06-FEB-2027| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|11.ASSET|Bond|422.1|0.8|N/A| Microsoft Corporation 3.125% 03-NOV-2025| 0.19%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|12.ASSET|Bond|422.1|0.76|N/A| JPMorgan Chase & Co. 2.083% 22-APR-2026| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|13.ASSET|Bond|422.1|0.76|N/A| Morgan Stanley 1.593% 04-MAY-2027| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|14.ASSET|Bond|422.1|0.76|N/A| Goldman Sachs Group, Inc. 3.5% 01-APR-2025| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHJ|6|15.ASSET|Bond|422.1|0.76|N/A| AbbVie Inc. 2.6% 21-NOV-2024| 0.18%| North America|Equity|Small Cap Blend Equities||EES|6|1.ASSET|Equity|713.3|7.13|COOP| Mr. Cooper Group, Inc.| 1.00%| North America|Equity|Small Cap Blend Equities||EES|6|2.ASSET|Equity|713.3|6.06|BCC| Boise Cascade Co.| 0.85%| North America|Equity|Small Cap Blend Equities||EES|6|3.ASSET|Equity|713.3|4.78|FBC| Flagstar Bancorp, Inc.| 0.67%| North America|Equity|Small Cap Blend Equities||EES|6|4.ASSET|Equity|713.3|4.57|SAGE| SAGE Therapeutics, Inc.| 0.64%| North America|Equity|Small Cap Blend Equities||EES|6|5.ASSET|Equity|713.3|4.07|WLL| Whiting Petroleum Corporation| 0.57%| North America|Equity|Small Cap Blend Equities||EES|6|6.ASSET|Equity|713.3|3.99|GNW| Genworth Financial, Inc. Class A| 0.56%| North America|Equity|Small Cap Blend Equities||EES|6|7.ASSET|Equity|713.3|3.92|AAWW| Atlas Air Worldwide Holdings, Inc.| 0.55%| North America|Equity|Small Cap Blend Equities||EES|6|8.ASSET|Equity|713.3|3.85|AGIO| Agios Pharmaceuticals, Inc.| 0.54%| North America|Equity|Small Cap Blend Equities||EES|6|9.ASSET|Equity|713.3|3.64|WOR| Worthington Industries, Inc.| 0.51%| North America|Equity|Small Cap Blend Equities||EES|6|10.ASSET|Equity|713.3|3.57|FLGT| Fulgent Genetics, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||EES|6|11.ASSET|Equity|713.3|3.57|LEVI| Levi Strauss & Co. Class A| 0.50%| North America|Equity|Small Cap Blend Equities||EES|6|12.ASSET|Equity|713.3|3.57|RKT| Rocket Companies Inc Class A| 0.50%| North America|Equity|Small Cap Blend Equities||EES|6|13.ASSET|Equity|713.3|3.5|IRWD| Ironwood Pharmaceuticals, Inc. Class A| 0.49%| North America|Equity|Small Cap Blend Equities||EES|6|14.ASSET|Equity|713.3|3.5|CNX| CNX Resources Corporation| 0.49%| North America|Equity|Small Cap Blend Equities||EES|6|15.ASSET|Equity|713.3|3.42|ONB| Old National Bancorp| 0.48%| Developed Markets|Equity|Global Equities||TLTD|6|1.ASSET|Equity|604.8|6.29|NESN| Nestle S.A.| 1.04%| Developed Markets|Equity|Global Equities||TLTD|6|2.ASSET|Equity|604.8|5.5|7203| Toyota Motor Corp.| 0.91%| Developed Markets|Equity|Global Equities||TLTD|6|3.ASSET|Equity|604.8|5.08|SHEL| Shell PLC| 0.84%| Developed Markets|Equity|Global Equities||TLTD|6|4.ASSET|Equity|604.8|4.6|ASML| ASML Holding NV| 0.76%| Developed Markets|Equity|Global Equities||TLTD|6|5.ASSET|Equity|604.8|4.54|ROG| Roche Holding Ltd| 0.75%| Developed Markets|Equity|Global Equities||TLTD|6|6.ASSET|Equity|604.8|3.75|RY| Royal Bank of Canada| 0.62%| Developed Markets|Equity|Global Equities||TLTD|6|7.ASSET|Equity|604.8|3.63|NOVN| Novartis AG| 0.60%| Developed Markets|Equity|Global Equities||TLTD|6|8.ASSET|Equity|604.8|3.51|TD| Toronto-Dominion Bank| 0.58%| Developed Markets|Equity|Global Equities||TLTD|6|9.ASSET|Equity|604.8|3.39|HSBA| HSBC Holdings Plc| 0.56%| Developed Markets|Equity|Global Equities||TLTD|6|10.ASSET|Equity|604.8|3.27|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.54%| Developed Markets|Equity|Global Equities||TLTD|6|11.ASSET|Equity|604.8|3.27|AZN| AstraZeneca PLC| 0.54%| Developed Markets|Equity|Global Equities||TLTD|6|12.ASSET|Equity|604.8|3.21|TTE| TotalEnergies SE| 0.53%| Developed Markets|Equity|Global Equities||TLTD|6|13.ASSET|Equity|604.8|2.96|NOVO.B| Novo Nordisk A/S Class B| 0.49%| Developed Markets|Equity|Global Equities||TLTD|6|14.ASSET|Equity|604.8|2.48|BHP| BHP Group Ltd| 0.41%| Developed Markets|Equity|Global Equities||TLTD|6|15.ASSET|Equity|604.8|2.48|GSK| GlaxoSmithKline plc| 0.41%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|1.ASSET|Equity|597.6|118.62|D05| DBS Group Holdings Ltd| 19.85%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|2.ASSET|Equity|597.6|72.37|O39| Oversea-Chinese Banking Corporation Limited| 12.11%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|3.ASSET|Equity|597.6|50.32|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 8.42%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|4.ASSET|Equity|597.6|31.91|U11| United Overseas Bank Ltd. (Singapore)| 5.34%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|5.ASSET|Equity|597.6|30.06|BN4| Keppel Corporation Limited| 5.03%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|6.ASSET|Equity|597.6|29.94|Z78| Singapore Telecommunications Limited TEMP| 5.01%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|7.ASSET|Equity|597.6|27.91|F34| Wilmar International Limited| 4.67%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|8.ASSET|Equity|597.6|26.89|A17U| Ascendas Real Estate Investment Trust| 4.50%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|9.ASSET|Equity|597.6|24.56|C6L| Singapore Airlines Ltd.| 4.11%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|10.ASSET|Equity|597.6|22.29|S68| Singapore Exchange Ltd.| 3.73%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|11.ASSET|Equity|597.6|22.17|S63| Singapore Technologies Engineering Ltd| 3.71%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|12.ASSET|Equity|597.6|20.56|M44U| Mapletree Logistics Trust| 3.44%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|13.ASSET|Equity|597.6|19.24|V03| Venture Corporation Limited| 3.22%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|14.ASSET|Equity|597.6|18.82|G13| Genting Singapore Limited| 3.15%| Developed Markets|Equity|Asia Pacific Equities||EWS|6|15.ASSET|Equity|597.6|16.43|N2IU| Mapletree Commercial Trust| 2.75%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|1.ASSET|Equity|620.5|16.13|ELE| Endesa S.A.| 2.60%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|2.ASSET|Equity|620.5|14.21|TRP| TC Energy Corporation| 2.29%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|3.ASSET|Equity|620.5|13.78|BCE| BCE Inc.| 2.22%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|4.ASSET|Equity|620.5|12.04|REE| Red Electrica Corp. SA| 1.94%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|5.ASSET|Equity|620.5|11.91|KPN| Royal KPN NV| 1.92%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|6.ASSET|Equity|620.5|11.73|T| TELUS Corporation| 1.89%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|7.ASSET|Equity|620.5|11.73|GSK| GlaxoSmithKline plc| 1.89%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|8.ASSET|Equity|620.5|11.54|SCMN| Swisscom AG| 1.86%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|9.ASSET|Equity|620.5|10.98|TEL| Telenor ASA| 1.77%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|10.ASSET|Equity|620.5|10.98|ZURN| Zurich Insurance Group Ltd| 1.77%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|11.ASSET|Equity|620.5|10.73|APA| APA Group| 1.73%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|12.ASSET|Equity|620.5|10.55|8725| MS&AD Insurance Group Holdings, Inc.| 1.70%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|13.ASSET|Equity|620.5|10.49|NG| National Grid plc| 1.69%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|14.ASSET|Equity|620.5|10.42|ENEL| Enel SpA| 1.68%| Developed Markets|Equity|Foreign Large Cap Equities||DWX|6|15.ASSET|Equity|620.5|10.3|VPK| Royal Vopak NV| 1.66%| North America|Equity|Large Cap Growth Equities||KRMA|6|1.ASSET|Equity|652.7|39.29|AAPL| Apple Inc.| 6.02%| North America|Equity|Large Cap Growth Equities||KRMA|6|2.ASSET|Equity|652.7|33.16|MSFT| Microsoft Corporation| 5.08%| North America|Equity|Large Cap Growth Equities||KRMA|6|3.ASSET|Equity|652.7|21.15|GOOGL| Alphabet Inc. Class A| 3.24%| North America|Equity|Large Cap Growth Equities||KRMA|6|4.ASSET|Equity|652.7|17.82|AMZN| Amazon.com, Inc.| 2.73%| North America|Equity|Large Cap Growth Equities||KRMA|6|5.ASSET|Equity|652.7|4.37|NVDA| NVIDIA Corporation| 0.67%| North America|Equity|Large Cap Growth Equities||KRMA|6|6.ASSET|Equity|652.7|4.37|FB| Meta Platforms Inc. Class A| 0.67%| North America|Equity|Large Cap Growth Equities||KRMA|6|7.ASSET|Equity|652.7|4.05|ZEN| Zendesk, Inc.| 0.62%| North America|Equity|Large Cap Growth Equities||KRMA|6|8.ASSET|Equity|652.7|3.79|CVX| Chevron Corporation| 0.58%| North America|Equity|Large Cap Growth Equities||KRMA|6|9.ASSET|Equity|652.7|3.72|COP| ConocoPhillips| 0.57%| North America|Equity|Large Cap Growth Equities||KRMA|6|10.ASSET|Equity|652.7|3.66|TMUS| T-Mobile US, Inc.| 0.56%| North America|Equity|Large Cap Growth Equities||KRMA|6|11.ASSET|Equity|652.7|3.59|HUBS| HubSpot, Inc.| 0.55%| North America|Equity|Large Cap Growth Equities||KRMA|6|12.ASSET|Equity|652.7|3.59|OKE| ONEOK, Inc.| 0.55%| North America|Equity|Large Cap Growth Equities||KRMA|6|13.ASSET|Equity|652.7|3.59|HUM| Humana Inc.| 0.55%| North America|Equity|Large Cap Growth Equities||KRMA|6|14.ASSET|Equity|652.7|3.59|SYY| Sysco Corporation| 0.55%| North America|Equity|Large Cap Growth Equities||KRMA|6|15.ASSET|Equity|652.7|3.52|ABBV| AbbVie, Inc.| 0.54%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|1.ASSET|Equity|1051|98.06|PG| Procter & Gamble Company| 9.33%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|2.ASSET|Equity|1051|95.33|NESN| Nestle S.A.| 9.07%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|3.ASSET|Equity|1051|53.08|KO| Coca-Cola Company| 5.05%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|4.ASSET|Equity|1051|46.24|WMT| Walmart Inc.| 4.40%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|5.ASSET|Equity|1051|46.14|PEP| PepsiCo, Inc.| 4.39%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|6.ASSET|Equity|1051|45.93|COST| Costco Wholesale Corporation| 4.37%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|7.ASSET|Equity|1051|43.51|PM| Philip Morris International Inc.| 4.14%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|8.ASSET|Equity|1051|36.47|ULVR| Unilever PLC| 3.47%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|9.ASSET|Equity|1051|31.95|DGE| Diageo plc| 3.04%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|10.ASSET|Equity|1051|27.75|BATS| British American Tobacco p.l.c.| 2.64%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|11.ASSET|Equity|1051|26.8|OR| L\'Oreal SA| 2.55%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|12.ASSET|Equity|1051|26.06|MO| Altria Group Inc| 2.48%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|13.ASSET|Equity|1051|25.22|MDLZ| Mondelez International, Inc. Class A| 2.40%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|14.ASSET|Equity|1051|19.02|EL| Estee Lauder Companies Inc. Class A| 1.81%| Developed Markets|Equity|Consumer Staples Equities|Consumer Staples|KXI|6|15.ASSET|Equity|1051|17.97|CL| Colgate-Palmolive Company| 1.71%| North America|Multi-Asset|Long-Short||XYLD|6|1.ASSET|Multi-Asset|1123.4|80.55|AAPL| Apple Inc.| 7.17%| North America|Multi-Asset|Long-Short||XYLD|6|2.ASSET|Multi-Asset|1123.4|69.88|MSFT| Microsoft Corporation| 6.22%| North America|Multi-Asset|Long-Short||XYLD|6|3.ASSET|Multi-Asset|1123.4|41.23|AMZN| Amazon.com, Inc.| 3.67%| North America|Multi-Asset|Long-Short||XYLD|6|4.ASSET|Multi-Asset|1123.4|25.16|GOOGL| Alphabet Inc. Class A| 2.24%| North America|Multi-Asset|Long-Short||XYLD|6|5.ASSET|Multi-Asset|1123.4|23.48|GOOG| Alphabet Inc. Class C| 2.09%| North America|Multi-Asset|Long-Short||XYLD|6|6.ASSET|Multi-Asset|1123.4|22.24|TSLA| Tesla Inc| 1.98%| North America|Multi-Asset|Long-Short||XYLD|6|7.ASSET|Multi-Asset|1123.4|18.76|NVDA| NVIDIA Corporation| 1.67%| North America|Multi-Asset|Long-Short||XYLD|6|8.ASSET|Multi-Asset|1123.4|18.42|BRK.B| Berkshire Hathaway Inc. Class B| 1.64%| North America|Multi-Asset|Long-Short||XYLD|6|9.ASSET|Multi-Asset|1123.4|15.28|FB| Meta Platforms Inc. Class A| 1.36%| North America|Multi-Asset|Long-Short||XYLD|6|10.ASSET|Multi-Asset|1123.4|14.15|UNH| UnitedHealth Group Incorporated| 1.26%| North America|Multi-Asset|Long-Short||XYLD|6|11.ASSET|Multi-Asset|1123.4|13.59|JNJ| Johnson & Johnson| 1.21%| North America|Multi-Asset|Long-Short||XYLD|6|12.ASSET|Multi-Asset|1123.4|12.69|JPM| JPMorgan Chase & Co.| 1.13%| North America|Multi-Asset|Long-Short||XYLD|6|13.ASSET|Multi-Asset|1123.4|11.46|PG| Procter & Gamble Company| 1.02%| North America|Multi-Asset|Long-Short||XYLD|6|14.ASSET|Multi-Asset|1123.4|10.78|V| Visa Inc. Class A| 0.96%| North America|Multi-Asset|Long-Short||XYLD|6|15.ASSET|Multi-Asset|1123.4|10.67|HD| Home Depot, Inc.| 0.95%| North America|Equity|Large Cap Growth Equities||SPGP|6|1.ASSET|Equity|851.5|21.03|VRTX| Vertex Pharmaceuticals Incorporated| 2.47%| North America|Equity|Large Cap Growth Equities||SPGP|6|2.ASSET|Equity|851.5|19.5|FTNT| Fortinet, Inc.| 2.29%| North America|Equity|Large Cap Growth Equities||SPGP|6|3.ASSET|Equity|851.5|18.31|CI| Cigna Corporation| 2.15%| North America|Equity|Large Cap Growth Equities||SPGP|6|4.ASSET|Equity|851.5|15.84|LMT| Lockheed Martin Corporation| 1.86%| North America|Equity|Large Cap Growth Equities||SPGP|6|5.ASSET|Equity|851.5|15.24|PGR| Progressive Corporation| 1.79%| North America|Equity|Large Cap Growth Equities||SPGP|6|6.ASSET|Equity|851.5|15.24|ATVI| Activision Blizzard, Inc.| 1.79%| North America|Equity|Large Cap Growth Equities||SPGP|6|7.ASSET|Equity|851.5|14.56|DVA| DaVita Inc.| 1.71%| North America|Equity|Large Cap Growth Equities||SPGP|6|8.ASSET|Equity|851.5|14.22|NOC| Northrop Grumman Corporation| 1.67%| North America|Equity|Large Cap Growth Equities||SPGP|6|9.ASSET|Equity|851.5|13.45|AMGN| Amgen Inc.| 1.58%| North America|Equity|Large Cap Growth Equities||SPGP|6|10.ASSET|Equity|851.5|13.28|GOOG| Alphabet Inc. Class C| 1.56%| North America|Equity|Large Cap Growth Equities||SPGP|6|11.ASSET|Equity|851.5|13.11|PKI| PerkinElmer, Inc.| 1.54%| North America|Equity|Large Cap Growth Equities||SPGP|6|12.ASSET|Equity|851.5|12.6|DHI| D.R. Horton, Inc.| 1.48%| North America|Equity|Large Cap Growth Equities||SPGP|6|13.ASSET|Equity|851.5|12.6|AAPL| Apple Inc.| 1.48%| North America|Equity|Large Cap Growth Equities||SPGP|6|14.ASSET|Equity|851.5|12.52|SIVB| SVB Financial Group| 1.47%| North America|Equity|Large Cap Growth Equities||SPGP|6|15.ASSET|Equity|851.5|12.52|WAT| Waters Corporation| 1.47%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|1.ASSET|Equity|467.8|40.51|AMD| Advanced Micro Devices, Inc.| 8.66%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|2.ASSET|Equity|467.8|38.45|700| Tencent Holdings Ltd.| 8.22%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|3.ASSET|Equity|467.8|36.49|ATVI| Activision Blizzard, Inc.| 7.80%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|4.ASSET|Equity|467.8|34.48|7974| Nintendo Co., Ltd.| 7.37%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|5.ASSET|Equity|467.8|32.32|NVDA| NVIDIA Corporation| 6.91%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|6.ASSET|Equity|467.8|27.79|3659| NEXON Co., Ltd.| 5.94%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|7.ASSET|Equity|467.8|25.5|NTES| NetEase, Inc. Sponsored ADR| 5.45%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|8.ASSET|Equity|467.8|24.42|EA| Electronic Arts Inc.| 5.22%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|9.ASSET|Equity|467.8|22.55|TTWO| Take-Two Interactive Software, Inc.| 4.82%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|10.ASSET|Equity|467.8|22.55|7832| BANDAI NAMCO Holdings Inc.| 4.82%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|11.ASSET|Equity|467.8|16.79|ZNGA| Zynga Inc. Class A| 3.59%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|12.ASSET|Equity|467.8|15.72|U| Unity Software, Inc.| 3.36%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|13.ASSET|Equity|467.8|15.44|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 3.30%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|14.ASSET|Equity|467.8|14.5|036570| NCsoft Corporation| 3.10%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|ESPO|6|15.ASSET|Equity|467.8|13.43|UBI| Ubisoft Entertainment SA| 2.87%| North America|Equity|Volatility Hedged Equity||LGLV|6|1.ASSET|Equity|603.2|11.82|PSA| Public Storage| 1.96%| North America|Equity|Volatility Hedged Equity||LGLV|6|2.ASSET|Equity|603.2|10.19|PLD| Prologis, Inc.| 1.69%| North America|Equity|Volatility Hedged Equity||LGLV|6|3.ASSET|Equity|603.2|9.89|CCI| Crown Castle International Corp| 1.64%| North America|Equity|Volatility Hedged Equity||LGLV|6|4.ASSET|Equity|603.2|9.71|RSG| Republic Services, Inc.| 1.61%| North America|Equity|Volatility Hedged Equity||LGLV|6|5.ASSET|Equity|603.2|8.69|AMT| American Tower Corporation| 1.44%| North America|Equity|Volatility Hedged Equity||LGLV|6|6.ASSET|Equity|603.2|8.69|D| Dominion Energy Inc| 1.44%| North America|Equity|Volatility Hedged Equity||LGLV|6|7.ASSET|Equity|603.2|8.14|PG| Procter & Gamble Company| 1.35%| North America|Equity|Volatility Hedged Equity||LGLV|6|8.ASSET|Equity|603.2|7.96|COST| Costco Wholesale Corporation| 1.32%| North America|Equity|Volatility Hedged Equity||LGLV|6|9.ASSET|Equity|603.2|7.84|BRK.B| Berkshire Hathaway Inc. Class B| 1.30%| North America|Equity|Volatility Hedged Equity||LGLV|6|10.ASSET|Equity|603.2|7.84|WM| Waste Management, Inc.| 1.30%| North America|Equity|Volatility Hedged Equity||LGLV|6|11.ASSET|Equity|603.2|7.48|XEL| Xcel Energy Inc.| 1.24%| North America|Equity|Volatility Hedged Equity||LGLV|6|12.ASSET|Equity|603.2|7.48|PEP| PepsiCo, Inc.| 1.24%| North America|Equity|Volatility Hedged Equity||LGLV|6|13.ASSET|Equity|603.2|7.36|WEC| WEC Energy Group Inc| 1.22%| North America|Equity|Volatility Hedged Equity||LGLV|6|14.ASSET|Equity|603.2|7.36|MMC| Marsh & McLennan Companies, Inc.| 1.22%| North America|Equity|Volatility Hedged Equity||LGLV|6|15.ASSET|Equity|603.2|7.3|DUK| Duke Energy Corporation| 1.21%| North America|Equity|All Cap Equities||SIZE|6|1.ASSET|Equity|467.7|1.45|APO| Apollo Global Management Inc.| 0.31%| North America|Equity|All Cap Equities||SIZE|6|2.ASSET|Equity|467.7|1.36|AMD| Advanced Micro Devices, Inc.| 0.29%| North America|Equity|All Cap Equities||SIZE|6|3.ASSET|Equity|467.7|1.26|SPGI| S&P Global, Inc.| 0.27%| North America|Equity|All Cap Equities||SIZE|6|4.ASSET|Equity|467.7|1.22|HAL| Halliburton Company| 0.26%| North America|Equity|All Cap Equities||SIZE|6|5.ASSET|Equity|467.7|1.22|MOS| Mosaic Company| 0.26%| North America|Equity|All Cap Equities||SIZE|6|6.ASSET|Equity|467.7|1.17|OXY| Occidental Petroleum Corporation| 0.25%| North America|Equity|All Cap Equities||SIZE|6|7.ASSET|Equity|467.7|1.12|DVN| Devon Energy Corporation| 0.24%| North America|Equity|All Cap Equities||SIZE|6|8.ASSET|Equity|467.7|1.12|FICO| Fair Isaac Corporation| 0.24%| North America|Equity|All Cap Equities||SIZE|6|9.ASSET|Equity|467.7|1.08|FANG| Diamondback Energy, Inc.| 0.23%| North America|Equity|All Cap Equities||SIZE|6|10.ASSET|Equity|467.7|1.08|CERN| Cerner Corporation| 0.23%| North America|Equity|All Cap Equities||SIZE|6|11.ASSET|Equity|467.7|1.08|PXD| Pioneer Natural Resources Company| 0.23%| North America|Equity|All Cap Equities||SIZE|6|12.ASSET|Equity|467.7|1.03|ZEN| Zendesk, Inc.| 0.22%| North America|Equity|All Cap Equities||SIZE|6|13.ASSET|Equity|467.7|1.03|CF| CF Industries Holdings, Inc.| 0.22%| North America|Equity|All Cap Equities||SIZE|6|14.ASSET|Equity|467.7|1.03|OMC| Omnicom Group Inc| 0.22%| North America|Equity|All Cap Equities||SIZE|6|15.ASSET|Equity|467.7|1.03|ATVI| Activision Blizzard, Inc.| 0.22%| North America|Equity|Leveraged Equities|Energy|ERX|6|1.ASSET|Equity|779.3|174.87|XOM| Exxon Mobil Corporation| 22.44%| North America|Equity|Leveraged Equities|Energy|ERX|6|2.ASSET|Equity|779.3|163.65|CVX| Chevron Corporation| 21.00%| North America|Equity|Leveraged Equities|Energy|ERX|6|3.ASSET|Equity|779.3|122.97|DGCXX| Dreyfus Government Cash Management Funds Institutional| 15.78%| North America|Equity|Leveraged Equities|Energy|ERX|6|4.ASSET|Equity|779.3|40.6|N/A| MUTUAL FUND (OTHER)| 5.21%| North America|Equity|Leveraged Equities|Energy|ERX|6|5.ASSET|Equity|779.3|37.64|EOG| EOG Resources, Inc.| 4.83%| North America|Equity|Leveraged Equities|Energy|ERX|6|6.ASSET|Equity|779.3|35.69|COP| ConocoPhillips| 4.58%| North America|Equity|Leveraged Equities|Energy|ERX|6|7.ASSET|Equity|779.3|33.51|PXD| Pioneer Natural Resources Company| 4.30%| North America|Equity|Leveraged Equities|Energy|ERX|6|8.ASSET|Equity|779.3|33.51|SLB| Schlumberger NV| 4.30%| North America|Equity|Leveraged Equities|Energy|ERX|6|9.ASSET|Equity|779.3|28.91|MPC| Marathon Petroleum Corporation| 3.71%| North America|Equity|Leveraged Equities|Energy|ERX|6|10.ASSET|Equity|779.3|26.18|OXY| Occidental Petroleum Corporation| 3.36%| North America|Equity|Leveraged Equities|Energy|ERX|6|11.ASSET|Equity|779.3|24.24|WMB| Williams Companies, Inc.| 3.11%| North America|Equity|Leveraged Equities|Energy|ERX|6|12.ASSET|Equity|779.3|22.52|DVN| Devon Energy Corporation| 2.89%| North America|Equity|Leveraged Equities|Energy|ERX|6|13.ASSET|Equity|779.3|22.52|PSX| Phillips 66| 2.89%| North America|Equity|Leveraged Equities|Energy|ERX|6|14.ASSET|Equity|779.3|21.59|KMI| Kinder Morgan Inc Class P| 2.77%| North America|Equity|Leveraged Equities|Energy|ERX|6|15.ASSET|Equity|779.3|20.81|VLO| Valero Energy Corporation| 2.67%| North America|Equity|Europe Equities||EWI|6|1.ASSET|Equity|500.8|73.87|ENEL| Enel SpA| 14.75%| North America|Equity|Europe Equities||EWI|6|2.ASSET|Equity|500.8|53.08|ENI| Eni S.p.A.| 10.60%| North America|Equity|Europe Equities||EWI|6|3.ASSET|Equity|500.8|51.33|ISP| Intesa Sanpaolo S.p.A.| 10.25%| North America|Equity|Europe Equities||EWI|6|4.ASSET|Equity|500.8|45.42|STLA| Stellantis N.V.| 9.07%| North America|Equity|Europe Equities||EWI|6|5.ASSET|Equity|500.8|23.79|RACE| Ferrari NV| 4.75%| North America|Equity|Europe Equities||EWI|6|6.ASSET|Equity|500.8|22.54|G| Assicurazioni Generali S.p.A.| 4.50%| North America|Equity|Europe Equities||EWI|6|7.ASSET|Equity|500.8|20.43|CNHI| CNH Industrial NV| 4.08%| North America|Equity|Europe Equities||EWI|6|8.ASSET|Equity|500.8|17.83|TRN| Terna S.p.A.| 3.56%| North America|Equity|Europe Equities||EWI|6|9.ASSET|Equity|500.8|17.23|UCG| UniCredit S.p.A.| 3.44%| North America|Equity|Europe Equities||EWI|6|10.ASSET|Equity|500.8|16.63|MONC| Moncler SpA| 3.32%| North America|Equity|Europe Equities||EWI|6|11.ASSET|Equity|500.8|16.63|SRG| Snam S.p.A.| 3.32%| North America|Equity|Europe Equities||EWI|6|12.ASSET|Equity|500.8|14.82|FBK| FinecoBank SpA| 2.96%| North America|Equity|Europe Equities||EWI|6|13.ASSET|Equity|500.8|13.57|ATL| Atlantia S.p.A| 2.71%| North America|Equity|Europe Equities||EWI|6|14.ASSET|Equity|500.8|13.07|PRY| Prysmian S.p.A.| 2.61%| North America|Equity|Europe Equities||EWI|6|15.ASSET|Equity|500.8|11.92|EXO| EXOR N.V.| 2.38%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|1.ASSET|Equity|342.3|22.25|GOOGL| Alphabet Inc. Class A| 6.50%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|2.ASSET|Equity|342.3|19.68|MSFT| Microsoft Corporation| 5.75%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|3.ASSET|Equity|342.3|17.83|AMZN| Amazon.com, Inc.| 5.21%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|4.ASSET|Equity|342.3|8.83|FB| Meta Platforms Inc. Class A| 2.58%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|5.ASSET|Equity|342.3|8.11|700| Tencent Holdings Ltd.| 2.37%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|6.ASSET|Equity|342.3|6.81|LYV| Live Nation Entertainment, Inc.| 1.99%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|7.ASSET|Equity|342.3|6.47|SNOW| Snowflake, Inc. Class A| 1.89%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|8.ASSET|Equity|342.3|6.2|3690| Meituan Class B| 1.81%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|9.ASSET|Equity|342.3|6.13|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.79%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|10.ASSET|Equity|342.3|5.99|TCOM| Trip.com Group Ltd. Sponsored ADR| 1.75%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|11.ASSET|Equity|342.3|5.82|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 1.70%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|12.ASSET|Equity|342.3|5.82|BILL| Bill.com Holdings, Inc.| 1.70%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|13.ASSET|Equity|342.3|5.68|EVD| CTS Eventim AG & Co. KGaA| 1.66%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|14.ASSET|Equity|342.3|5.58|MELI| MercadoLibre, Inc.| 1.63%| Developed Markets|Equity|Large Cap Growth Equities|Technology|OGIG|6|15.ASSET|Equity|342.3|5.51|DDOG| Datadog Inc Class A| 1.61%| Developed Markets|Equity|Global Equities||SPGM|6|1.ASSET|Equity|540.2|20.1|AAPL| Apple Inc.| 3.72%| Developed Markets|Equity|Global Equities||SPGM|6|2.ASSET|Equity|540.2|16.42|MSFT| Microsoft Corporation| 3.04%| Developed Markets|Equity|Global Equities||SPGM|6|3.ASSET|Equity|540.2|10.59|AMZN| Amazon.com, Inc.| 1.96%| Developed Markets|Equity|Global Equities||SPGM|6|4.ASSET|Equity|540.2|6.59|GOOG| Alphabet Inc. Class C| 1.22%| Developed Markets|Equity|Global Equities||SPGM|6|5.ASSET|Equity|540.2|5.73|GOOGL| Alphabet Inc. Class A| 1.06%| Developed Markets|Equity|Global Equities||SPGM|6|6.ASSET|Equity|540.2|5.46|TSLA| Tesla Inc| 1.01%| Developed Markets|Equity|Global Equities||SPGM|6|7.ASSET|Equity|540.2|4.21|UNH| UnitedHealth Group Incorporated| 0.78%| Developed Markets|Equity|Global Equities||SPGM|6|8.ASSET|Equity|540.2|4.11|NVDA| NVIDIA Corporation| 0.76%| Developed Markets|Equity|Global Equities||SPGM|6|9.ASSET|Equity|540.2|4|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 0.74%| Developed Markets|Equity|Global Equities||SPGM|6|10.ASSET|Equity|540.2|3.89|JPM| JPMorgan Chase & Co.| 0.72%| Developed Markets|Equity|Global Equities||SPGM|6|11.ASSET|Equity|540.2|3.57|FB| Meta Platforms Inc. Class A| 0.66%| Developed Markets|Equity|Global Equities||SPGM|6|12.ASSET|Equity|540.2|3.19|BAC| Bank of America Corp| 0.59%| Developed Markets|Equity|Global Equities||SPGM|6|13.ASSET|Equity|540.2|3.13|V| Visa Inc. Class A| 0.58%| Developed Markets|Equity|Global Equities||SPGM|6|14.ASSET|Equity|540.2|3.03|HD| Home Depot, Inc.| 0.56%| Developed Markets|Equity|Global Equities||SPGM|6|15.ASSET|Equity|540.2|2.92|JNJ| Johnson & Johnson| 0.54%| Global ex-U.S.|Equity|Global Equities||PID|6|1.ASSET|Equity|711.8|33.17|ELP| Companhia Paranaense de Energia Sponsored ADR| 4.66%| Global ex-U.S.|Equity|Global Equities||PID|6|2.ASSET|Equity|711.8|31.46|PPL| Pembina Pipeline Corporation| 4.42%| Global ex-U.S.|Equity|Global Equities||PID|6|3.ASSET|Equity|711.8|30.75|ENB| Enbridge Inc.| 4.32%| Global ex-U.S.|Equity|Global Equities||PID|6|4.ASSET|Equity|711.8|30.54|TRP| TC Energy Corporation| 4.29%| Global ex-U.S.|Equity|Global Equities||PID|6|5.ASSET|Equity|711.8|27.19|NGG| National Grid plc Sponsored ADR| 3.82%| Global ex-U.S.|Equity|Global Equities||PID|6|6.ASSET|Equity|711.8|26.91|BCE| BCE Inc.| 3.78%| Global ex-U.S.|Equity|Global Equities||PID|6|7.ASSET|Equity|711.8|25.41|MFC| Manulife Financial Corporation| 3.57%| Global ex-U.S.|Equity|Global Equities||PID|6|8.ASSET|Equity|711.8|24.84|BNS| Bank of Nova Scotia| 3.49%| Global ex-U.S.|Equity|Global Equities||PID|6|9.ASSET|Equity|711.8|23.7|AQN| Algonquin Power & Utilities Corp.| 3.33%| Global ex-U.S.|Equity|Global Equities||PID|6|10.ASSET|Equity|711.8|23.06|CNQ| Canadian Natural Resources Limited| 3.24%| Global ex-U.S.|Equity|Global Equities||PID|6|11.ASSET|Equity|711.8|22.49|T| TELUS Corporation| 3.16%| Global ex-U.S.|Equity|Global Equities||PID|6|12.ASSET|Equity|711.8|21.71|CM| Canadian Imperial Bank of Commerce| 3.05%| Global ex-U.S.|Equity|Global Equities||PID|6|13.ASSET|Equity|711.8|20.14|NVS| Novartis AG Sponsored ADR| 2.83%| Global ex-U.S.|Equity|Global Equities||PID|6|14.ASSET|Equity|711.8|19.86|SNY| Sanofi SA Sponsored ADR| 2.79%| Global ex-U.S.|Equity|Global Equities||PID|6|15.ASSET|Equity|711.8|18.51|FTS| Fortis Inc.| 2.60%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|1.ASSET|Equity|496.2|30.86|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 6.22%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|2.ASSET|Equity|496.2|27.24|700| Tencent Holdings Ltd.| 5.49%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|3.ASSET|Equity|496.2|16.32|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 3.29%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|4.ASSET|Equity|496.2|9.13|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.84%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|5.ASSET|Equity|496.2|7.89|3690| Meituan Class B| 1.59%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|6.ASSET|Equity|496.2|7.79|INFY| Infosys Limited Sponsored ADR| 1.57%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|7.ASSET|Equity|496.2|6.25|939| China Construction Bank Corporation Class H| 1.26%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|8.ASSET|Equity|496.2|6.05|JD| JD.com, Inc. Sponsored ADR Class A| 1.22%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|9.ASSET|Equity|496.2|5.71|2454| MediaTek Inc| 1.15%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|10.ASSET|Equity|496.2|5.41|500010| Housing Development Finance Corporation Limited| 1.09%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|11.ASSET|Equity|496.2|4.61|2317| Hon Hai Precision Industry Co., Ltd.| 0.93%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|12.ASSET|Equity|496.2|4.42|BIDU| Baidu Inc Sponsored ADR Class A| 0.89%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|13.ASSET|Equity|496.2|4.22|532540| Tata Consultancy Services Limited| 0.85%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|14.ASSET|Equity|496.2|3.97|IBN| ICICI Bank Limited Sponsored ADR| 0.80%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GMF|6|15.ASSET|Equity|496.2|3.62|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.73%| North America|Equity|Large Cap Growth Equities||EPS|6|1.ASSET|Equity|678.7|39.84|AAPL| Apple Inc.| 5.87%| North America|Equity|Large Cap Growth Equities||EPS|6|2.ASSET|Equity|678.7|34.89|MSFT| Microsoft Corporation| 5.14%| North America|Equity|Large Cap Growth Equities||EPS|6|3.ASSET|Equity|678.7|31.29|GOOGL| Alphabet Inc. Class A| 4.61%| North America|Equity|Large Cap Growth Equities||EPS|6|4.ASSET|Equity|678.7|25.52|AMZN| Amazon.com, Inc.| 3.76%| North America|Equity|Large Cap Growth Equities||EPS|6|5.ASSET|Equity|678.7|15|JPM| JPMorgan Chase & Co.| 2.21%| North America|Equity|Large Cap Growth Equities||EPS|6|6.ASSET|Equity|678.7|14.18|FB| Meta Platforms Inc. Class A| 2.09%| North America|Equity|Large Cap Growth Equities||EPS|6|7.ASSET|Equity|678.7|10.32|BRK.B| Berkshire Hathaway Inc. Class B| 1.52%| North America|Equity|Large Cap Growth Equities||EPS|6|8.ASSET|Equity|678.7|10.11|BAC| Bank of America Corp| 1.49%| North America|Equity|Large Cap Growth Equities||EPS|6|9.ASSET|Equity|678.7|9.71|ABBV| AbbVie, Inc.| 1.43%| North America|Equity|Large Cap Growth Equities||EPS|6|10.ASSET|Equity|678.7|9.37|JNJ| Johnson & Johnson| 1.38%| North America|Equity|Large Cap Growth Equities||EPS|6|11.ASSET|Equity|678.7|8.55|TSLA| Tesla Inc| 1.26%| North America|Equity|Large Cap Growth Equities||EPS|6|12.ASSET|Equity|678.7|8.48|T| AT&T Inc.| 1.25%| North America|Equity|Large Cap Growth Equities||EPS|6|13.ASSET|Equity|678.7|8.42|VZ| Verizon Communications Inc.| 1.24%| North America|Equity|Large Cap Growth Equities||EPS|6|14.ASSET|Equity|678.7|8.28|INTC| Intel Corporation| 1.22%| North America|Equity|Large Cap Growth Equities||EPS|6|15.ASSET|Equity|678.7|7.06|BMY| Bristol-Myers Squibb Company| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|1.ASSET|Equity|598.9|13.71|ROG| Roche Holding Ltd| 2.29%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|2.ASSET|Equity|598.9|12.04|NESN| Nestle S.A.| 2.01%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|3.ASSET|Equity|598.9|11.86|OR| L\'Oreal SA| 1.98%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|4.ASSET|Equity|598.9|11.26|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.88%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|5.ASSET|Equity|598.9|10.9|ALV| Allianz SE| 1.82%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|6.ASSET|Equity|598.9|10.72|ENB| Enbridge Inc.| 1.79%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|7.ASSET|Equity|598.9|10.66|RY| Royal Bank of Canada| 1.78%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|8.ASSET|Equity|598.9|9.88|NOVN| Novartis AG| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|9.ASSET|Equity|598.9|8.62|8306| Mitsubishi UFJ Financial Group, Inc.| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|10.ASSET|Equity|598.9|8.44|NOVO.B| Novo Nordisk A/S Class B| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|11.ASSET|Equity|598.9|8.38|CNQ| Canadian Natural Resources Limited| 1.40%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|12.ASSET|Equity|598.9|7.91|SAP| SAP SE| 1.32%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|13.ASSET|Equity|598.9|6.95|ENEL| Enel SpA| 1.16%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|14.ASSET|Equity|598.9|6.83|GSK| GlaxoSmithKline plc| 1.14%| Developed Markets|Equity|Foreign Large Cap Equities||IQDF|6|15.ASSET|Equity|598.9|6.83|RIO| Rio Tinto plc| 1.14%| North America|Equity|Leveraged Equities||SPXU|6|1.ASSET|Equity|587.7|331.23|N/A| U.S. Dollar| 56.36%| North America|Equity|Leveraged Equities||SPXU|6|2.ASSET|Equity|587.7|44.96|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 7.65%| North America|Equity|Leveraged Equities||SPXU|6|3.ASSET|Equity|587.7|42.14|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 7.17%| North America|Equity|Leveraged Equities||SPXU|6|4.ASSET|Equity|587.7|28.15|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 4.79%| North America|Equity|Leveraged Equities||SPXU|6|5.ASSET|Equity|587.7|25.33|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 4.31%| North America|Equity|Leveraged Equities||SPXU|6|6.ASSET|Equity|587.7|19.63|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 3.34%| North America|Equity|Leveraged Equities||SPXU|6|7.ASSET|Equity|587.7|16.87|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 2.87%| North America|Equity|Leveraged Equities||SPXU|6|8.ASSET|Equity|587.7|14.1|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 2.40%| North America|Equity|Leveraged Equities||SPXU|6|9.ASSET|Equity|587.7|14.1|N/A| United States Treasury Bills 0.0% 21-APR-2022| 2.40%| North America|Equity|Leveraged Equities||SPXU|6|10.ASSET|Equity|587.7|14.1|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 2.40%| North America|Equity|Leveraged Equities||SPXU|6|11.ASSET|Equity|587.7|14.05|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 2.39%| North America|Equity|Leveraged Equities||SPXU|6|12.ASSET|Equity|587.7|14.05|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 2.39%| North America|Equity|Leveraged Equities||SPXU|6|13.ASSET|Equity|587.7|8.99|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|1.ASSET|Equity|589.8|18.17|BHP| BHP Group Ltd| 3.08%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|2.ASSET|Equity|589.8|12.98|NESN| Nestle S.A.| 2.20%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|3.ASSET|Equity|589.8|10.14|RIO| Rio Tinto plc| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|4.ASSET|Equity|589.8|8.02|NOVN| Novartis AG| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|5.ASSET|Equity|589.8|7.49|7203| Toyota Motor Corp.| 1.27%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|6.ASSET|Equity|589.8|6.96|ROG| Roche Holding Ltd| 1.18%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|7.ASSET|Equity|589.8|5.9|SHEL| Shell PLC| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|8.ASSET|Equity|589.8|5.66|CBA| Commonwealth Bank of Australia| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|9.ASSET|Equity|589.8|5.6|9432| Nippon Telegraph and Telephone Corporation| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|10.ASSET|Equity|589.8|5.49|9434| SoftBank Corp.| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|11.ASSET|Equity|589.8|5.43|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|12.ASSET|Equity|589.8|5.43|GSK| GlaxoSmithKline plc| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|13.ASSET|Equity|589.8|5.25|CS| AXA SA| 0.89%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|14.ASSET|Equity|589.8|4.9|HSBA| HSBC Holdings Plc| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||DWM|6|15.ASSET|Equity|589.8|4.84|ULVR| Unilever PLC| 0.82%| Developed Europe|Equity|Europe Equities||DBEU|6|1.ASSET|Equity|537.2|18.59|NESN| Nestle S.A.| 3.46%| Developed Europe|Equity|Europe Equities||DBEU|6|2.ASSET|Equity|537.2|14.61|N/A| U.S. Dollar| 2.72%| Developed Europe|Equity|Europe Equities||DBEU|6|3.ASSET|Equity|537.2|13.59|ROG| Roche Holding Ltd| 2.53%| Developed Europe|Equity|Europe Equities||DBEU|6|4.ASSET|Equity|537.2|13.38|ASML| ASML Holding NV| 2.49%| Developed Europe|Equity|Europe Equities||DBEU|6|5.ASSET|Equity|537.2|12.62|N/A| FUTURES| 2.35%| Developed Europe|Equity|Europe Equities||DBEU|6|6.ASSET|Equity|537.2|10.1|SHEL| Shell PLC| 1.88%| Developed Europe|Equity|Europe Equities||DBEU|6|7.ASSET|Equity|537.2|9.72|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.81%| Developed Europe|Equity|Europe Equities||DBEU|6|8.ASSET|Equity|537.2|9.67|NOVN| Novartis AG| 1.80%| Developed Europe|Equity|Europe Equities||DBEU|6|9.ASSET|Equity|537.2|9.62|AZN| AstraZeneca PLC| 1.79%| Developed Europe|Equity|Europe Equities||DBEU|6|10.ASSET|Equity|537.2|8.81|NOVO.B| Novo Nordisk A/S Class B| 1.64%| Developed Europe|Equity|Europe Equities||DBEU|6|11.ASSET|Equity|537.2|6.77|HSBA| HSBC Holdings Plc| 1.26%| Developed Europe|Equity|Europe Equities||DBEU|6|12.ASSET|Equity|537.2|6.34|ULVR| Unilever PLC| 1.18%| Developed Europe|Equity|Europe Equities||DBEU|6|13.ASSET|Equity|537.2|6.23|TTE| TotalEnergies SE| 1.16%| Developed Europe|Equity|Europe Equities||DBEU|6|14.ASSET|Equity|537.2|5.86|SAN| Sanofi| 1.09%| Developed Europe|Equity|Europe Equities||DBEU|6|15.ASSET|Equity|537.2|5.8|SAP| SAP SE| 1.08%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|1.ASSET|Equity|697.9|59.95|ABBN| ABB Ltd.| 8.59%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|2.ASSET|Equity|697.9|58|ETN| Eaton Corp. Plc| 8.31%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|3.ASSET|Equity|697.9|53.95|SU| Schneider Electric SE| 7.73%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|4.ASSET|Equity|697.9|53.32|JCI| Johnson Controls International plc| 7.64%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|5.ASSET|Equity|697.9|46.9|APTV| Aptiv PLC| 6.72%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|6.ASSET|Equity|697.9|33.92|TRN| Terna S.p.A.| 4.86%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|7.ASSET|Equity|697.9|29.94|PWR| Quanta Services, Inc.| 4.29%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|8.ASSET|Equity|697.9|29.66|SEDG| SolarEdge Technologies, Inc.| 4.25%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|9.ASSET|Equity|697.9|28.47|PRY| Prysmian S.p.A.| 4.08%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|10.ASSET|Equity|697.9|28.33|REE| Red Electrica Corp. SA| 4.06%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|11.ASSET|Equity|697.9|24.43|006400| Samsung SDI Co., Ltd| 3.50%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|12.ASSET|Equity|697.9|20.24|ENPH| Enphase Energy, Inc.| 2.90%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|13.ASSET|Equity|697.9|19.05|NVT| nVent Electric plc| 2.73%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|14.ASSET|Equity|697.9|17.17|ELI| Elia Group SA/NV| 2.46%| Developed Markets|Equity|Alternative Energy Equities|Materials|GRID|6|15.ASSET|Equity|697.9|15.84|CSCO| Cisco Systems, Inc.| 2.27%| North America|Equity|Inverse Equities||PSQ|6|1.ASSET|Equity|830.1|439.37|N/A| U.S. Dollar| 52.93%| North America|Equity|Inverse Equities||PSQ|6|2.ASSET|Equity|830.1|39.18|N/A| United States Treasury Bills 0.0% 05-APR-2022| 4.72%| North America|Equity|Inverse Equities||PSQ|6|3.ASSET|Equity|830.1|36.61|N/A| United States Treasury Bills 0.0% 12-APR-2022| 4.41%| North America|Equity|Inverse Equities||PSQ|6|4.ASSET|Equity|830.1|26.15|N/A| United States Treasury Bills 0.0% 14-APR-2022| 3.15%| North America|Equity|Inverse Equities||PSQ|6|5.ASSET|Equity|830.1|26.15|N/A| United States Treasury Bills 0.0% 21-APR-2022| 3.15%| North America|Equity|Inverse Equities||PSQ|6|6.ASSET|Equity|830.1|26.15|N/A| United States Treasury Bills 0.0% 07-APR-2022| 3.15%| North America|Equity|Inverse Equities||PSQ|6|7.ASSET|Equity|830.1|26.15|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 3.15%| North America|Equity|Inverse Equities||PSQ|6|8.ASSET|Equity|830.1|26.07|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 3.14%| North America|Equity|Inverse Equities||PSQ|6|9.ASSET|Equity|830.1|23.49|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 2.83%| North America|Equity|Inverse Equities||PSQ|6|10.ASSET|Equity|830.1|23.49|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 2.83%| North America|Equity|Inverse Equities||PSQ|6|11.ASSET|Equity|830.1|23.49|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 2.83%| North America|Equity|Inverse Equities||PSQ|6|12.ASSET|Equity|830.1|20.75|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 2.50%| North America|Equity|Inverse Equities||PSQ|6|13.ASSET|Equity|830.1|15.69|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 1.89%| North America|Equity|Inverse Equities||PSQ|6|14.ASSET|Equity|830.1|13.03|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 1.57%| North America|Equity|Inverse Equities||PSQ|6|15.ASSET|Equity|830.1|13.03|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 1.57%| North America|Equity|Technology Equities|Technology|XSW|6|1.ASSET|Equity|315.2|2.62|ZNGA| Zynga Inc. Class A| 0.83%| North America|Equity|Technology Equities|Technology|XSW|6|2.ASSET|Equity|315.2|2.52|MGI| MoneyGram International, Inc.| 0.80%| North America|Equity|Technology Equities|Technology|XSW|6|3.ASSET|Equity|315.2|2.52|ATVI| Activision Blizzard, Inc.| 0.80%| North America|Equity|Technology Equities|Technology|XSW|6|4.ASSET|Equity|315.2|2.3|CTXS| Citrix Systems, Inc.| 0.73%| North America|Equity|Technology Equities|Technology|XSW|6|5.ASSET|Equity|315.2|2.24|WEX| WEX Inc.| 0.71%| North America|Equity|Technology Equities|Technology|XSW|6|6.ASSET|Equity|315.2|2.21|MNDT| Mandiant, Inc.| 0.70%| North America|Equity|Technology Equities|Technology|XSW|6|7.ASSET|Equity|315.2|2.17|NLOK| NortonLifeLock Inc.| 0.69%| North America|Equity|Technology Equities|Technology|XSW|6|8.ASSET|Equity|315.2|2.14|IIIV| i3 Verticals, Inc. Class A| 0.68%| North America|Equity|Technology Equities|Technology|XSW|6|9.ASSET|Equity|315.2|2.14|TENB| Tenable Holdings, Inc.| 0.68%| North America|Equity|Technology Equities|Technology|XSW|6|10.ASSET|Equity|315.2|2.14|FICO| Fair Isaac Corporation| 0.68%| North America|Equity|Technology Equities|Technology|XSW|6|11.ASSET|Equity|315.2|2.11|ZEN| Zendesk, Inc.| 0.67%| North America|Equity|Technology Equities|Technology|XSW|6|12.ASSET|Equity|315.2|2.11|CNXC| Concentrix Corporation| 0.67%| North America|Equity|Technology Equities|Technology|XSW|6|13.ASSET|Equity|315.2|2.11|TDC| Teradata Corporation| 0.67%| North America|Equity|Technology Equities|Technology|XSW|6|14.ASSET|Equity|315.2|2.11|CDK| CDK Global, Inc.| 0.67%| North America|Equity|Technology Equities|Technology|XSW|6|15.ASSET|Equity|315.2|2.05|SABR| Sabre Corp.| 0.65%| North America|Equity|Small Cap Growth Equities||VIOG|6|1.ASSET|Equity|544.7|7.41|OMCL| Omnicell, Inc.| 1.36%| North America|Equity|Small Cap Growth Equities||VIOG|6|2.ASSET|Equity|544.7|6.48|PDCE| PDC Energy, Inc.| 1.19%| North America|Equity|Small Cap Growth Equities||VIOG|6|3.ASSET|Equity|544.7|5.88|VG| Vonage Holdings Corp.| 1.08%| North America|Equity|Small Cap Growth Equities||VIOG|6|4.ASSET|Equity|544.7|5.72|ROG| Rogers Corporation| 1.05%| North America|Equity|Small Cap Growth Equities||VIOG|6|5.ASSET|Equity|544.7|5.56|UFPI| UFP Industries, Inc.| 1.02%| North America|Equity|Small Cap Growth Equities||VIOG|6|6.ASSET|Equity|544.7|5.56|MTDR| Matador Resources Company| 1.02%| North America|Equity|Small Cap Growth Equities||VIOG|6|7.ASSET|Equity|544.7|5.56|EXPO| Exponent, Inc.| 1.02%| North America|Equity|Small Cap Growth Equities||VIOG|6|8.ASSET|Equity|544.7|5.39|AMN| AMN Healthcare Services, Inc.| 0.99%| North America|Equity|Small Cap Growth Equities||VIOG|6|9.ASSET|Equity|544.7|5.34|BCPC| Balchem Corporation| 0.98%| North America|Equity|Small Cap Growth Equities||VIOG|6|10.ASSET|Equity|544.7|5.34|IIPR| Innovative Industrial Properties Inc| 0.98%| North America|Equity|Small Cap Growth Equities||VIOG|6|11.ASSET|Equity|544.7|5.12|SIG| Signet Jewelers Limited| 0.94%| North America|Equity|Small Cap Growth Equities||VIOG|6|12.ASSET|Equity|544.7|5.07|ONTO| Onto Innovation, Inc.| 0.93%| North America|Equity|Small Cap Growth Equities||VIOG|6|13.ASSET|Equity|544.7|5.01|SPSC| SPS Commerce, Inc.| 0.92%| North America|Equity|Small Cap Growth Equities||VIOG|6|14.ASSET|Equity|544.7|4.85|GTLS| Chart Industries, Inc.| 0.89%| North America|Equity|Small Cap Growth Equities||VIOG|6|15.ASSET|Equity|544.7|4.74|MXL| MaxLinear, Inc.| 0.87%| Global ex-U.S.|Equity|n/a||LCTD|6|1.ASSET|Equity|552.5|11.27|NESN| Nestle S.A.| 2.04%| Global ex-U.S.|Equity|n/a||LCTD|6|2.ASSET|Equity|552.5|10.66|ROG| Roche Holding Ltd| 1.93%| Global ex-U.S.|Equity|n/a||LCTD|6|3.ASSET|Equity|552.5|9.01|ENB| Enbridge Inc.| 1.63%| Global ex-U.S.|Equity|n/a||LCTD|6|4.ASSET|Equity|552.5|8.78|ASML| ASML Holding NV| 1.59%| Global ex-U.S.|Equity|n/a||LCTD|6|5.ASSET|Equity|552.5|7.85|7203| Toyota Motor Corp.| 1.42%| Global ex-U.S.|Equity|n/a||LCTD|6|6.ASSET|Equity|552.5|6.85|MQG| Macquarie Group Limited| 1.24%| Global ex-U.S.|Equity|n/a||LCTD|6|7.ASSET|Equity|552.5|6.08|N/A| U.S. Dollar| 1.10%| Global ex-U.S.|Equity|n/a||LCTD|6|8.ASSET|Equity|552.5|6.08|SHEL| Shell PLC| 1.10%| Global ex-U.S.|Equity|n/a||LCTD|6|9.ASSET|Equity|552.5|6.02|ULVR| Unilever PLC| 1.09%| Global ex-U.S.|Equity|n/a||LCTD|6|10.ASSET|Equity|552.5|6.02|7267| Honda Motor Co., Ltd.| 1.09%| Global ex-U.S.|Equity|n/a||LCTD|6|11.ASSET|Equity|552.5|5.97|DSV| DSV A/S| 1.08%| Global ex-U.S.|Equity|n/a||LCTD|6|12.ASSET|Equity|552.5|5.91|GSK| GlaxoSmithKline plc| 1.07%| Global ex-U.S.|Equity|n/a||LCTD|6|13.ASSET|Equity|552.5|5.53|BAM.A| Brookfield Asset Management Inc. Class A| 1.00%| Global ex-U.S.|Equity|n/a||LCTD|6|14.ASSET|Equity|552.5|5.47|1299| AIA Group Limited| 0.99%| Global ex-U.S.|Equity|n/a||LCTD|6|15.ASSET|Equity|552.5|5.41|ENEL| Enel SpA| 0.98%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|1.ASSET|Bond|853|11.52|N/A| Boeing Company 2.196% 04-FEB-2026| 1.35%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|2.ASSET|Bond|853|10.41|N/A| EMC Corporation 6.02% 15-JUN-2026| 1.22%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|3.ASSET|Bond|853|8.79|N/A| Microsoft Corporation 2.4% 08-AUG-2026| 1.03%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|4.ASSET|Bond|853|8.79|N/A| AbbVie Inc. 2.95% 21-NOV-2026| 1.03%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|5.ASSET|Bond|853|7.68|N/A| Wells Fargo & Company 3.0% 23-OCT-2026| 0.90%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|6.ASSET|Bond|853|7.68|N/A| AerCap Ireland Capital DAC 2.45% 29-OCT-2026| 0.90%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|7.ASSET|Bond|853|7.68|N/A| Wells Fargo & Company 3.0% 22-APR-2026| 0.90%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|8.ASSET|Bond|853|7.34|N/A| Apple Inc. 3.25% 23-FEB-2026| 0.86%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|9.ASSET|Bond|853|6.82|N/A| HSBC Holdings Plc 4.3% 08-MAR-2026| 0.80%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|10.ASSET|Bond|853|6.74|N/A| Morgan Stanley & Co. LLC 3.875% 27-JAN-2026| 0.79%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|11.ASSET|Bond|853|6.57|N/A| JPMorgan Chase & Co. 2.95% 01-OCT-2026| 0.77%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|12.ASSET|Bond|853|6.57|N/A| Morgan Stanley 3.125% 27-JUL-2026| 0.77%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|13.ASSET|Bond|853|6.57|N/A| Citigroup Inc. 3.2% 21-OCT-2026| 0.77%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|14.ASSET|Bond|853|6.4|N/A| Oracle Corporation 2.65% 15-JUL-2026| 0.75%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCQ|6|15.ASSET|Bond|853|6.31|N/A| AT&T Inc. 1.7% 25-MAR-2026| 0.74%| Broad Asia|Commodity|Leveraged Commodities||AGQ|6|1.ASSET|Commodity|559.5|559.5|N/A| Silver| 100.00%| Developed Asia Pacific|Equity|Japan Equities||HEWJ|6|1.ASSET|Equity|520.3|519.99|EWJ| iShares MSCI Japan ETF| 99.94%| Developed Asia Pacific|Equity|Japan Equities||HEWJ|6|2.ASSET|Equity|520.3|0.31|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.06%| North America|Equity|Large Cap Growth Equities||CATH|6|1.ASSET|Equity|622.2|43.68|AAPL| Apple Inc.| 7.02%| North America|Equity|Large Cap Growth Equities||CATH|6|2.ASSET|Equity|622.2|38.02|MSFT| Microsoft Corporation| 6.11%| North America|Equity|Large Cap Growth Equities||CATH|6|3.ASSET|Equity|622.2|22.77|AMZN| Amazon.com, Inc.| 3.66%| North America|Equity|Large Cap Growth Equities||CATH|6|4.ASSET|Equity|622.2|13.81|GOOGL| Alphabet Inc. Class A| 2.22%| North America|Equity|Large Cap Growth Equities||CATH|6|5.ASSET|Equity|622.2|12.88|GOOG| Alphabet Inc. Class C| 2.07%| North America|Equity|Large Cap Growth Equities||CATH|6|6.ASSET|Equity|622.2|12.2|TSLA| Tesla Inc| 1.96%| North America|Equity|Large Cap Growth Equities||CATH|6|7.ASSET|Equity|622.2|11.14|PG| Procter & Gamble Company| 1.79%| North America|Equity|Large Cap Growth Equities||CATH|6|8.ASSET|Equity|622.2|10.08|NVDA| NVIDIA Corporation| 1.62%| North America|Equity|Large Cap Growth Equities||CATH|6|9.ASSET|Equity|622.2|9.96|BRK.B| Berkshire Hathaway Inc. Class B| 1.60%| North America|Equity|Large Cap Growth Equities||CATH|6|10.ASSET|Equity|622.2|8.28|FB| Meta Platforms Inc. Class A| 1.33%| North America|Equity|Large Cap Growth Equities||CATH|6|11.ASSET|Equity|622.2|7.78|MDT| Medtronic Plc| 1.25%| North America|Equity|Large Cap Growth Equities||CATH|6|12.ASSET|Equity|622.2|7.47|CVS| CVS Health Corporation| 1.20%| North America|Equity|Large Cap Growth Equities||CATH|6|13.ASSET|Equity|622.2|7.22|KO| Coca-Cola Company| 1.16%| North America|Equity|Large Cap Growth Equities||CATH|6|14.ASSET|Equity|622.2|6.91|JPM| JPMorgan Chase & Co.| 1.11%| North America|Equity|Large Cap Growth Equities||CATH|6|15.ASSET|Equity|622.2|6.04|V| Visa Inc. Class A| 0.97%| North America|Equity|Volatility Hedged Equity||ONEV|6|1.ASSET|Equity|613.4|9.02|CTSH| Cognizant Technology Solutions Corporation Class A| 1.47%| North America|Equity|Volatility Hedged Equity||ONEV|6|2.ASSET|Equity|613.4|6.69|PGR| Progressive Corporation| 1.09%| North America|Equity|Volatility Hedged Equity||ONEV|6|3.ASSET|Equity|613.4|6.38|HPQ| HP Inc.| 1.04%| North America|Equity|Volatility Hedged Equity||ONEV|6|4.ASSET|Equity|613.4|5.58|DLTR| Dollar Tree, Inc.| 0.91%| North America|Equity|Volatility Hedged Equity||ONEV|6|5.ASSET|Equity|613.4|5.46|DG| Dollar General Corporation| 0.89%| North America|Equity|Volatility Hedged Equity||ONEV|6|6.ASSET|Equity|613.4|4.72|KR| Kroger Co.| 0.77%| North America|Equity|Volatility Hedged Equity||ONEV|6|7.ASSET|Equity|613.4|4.66|ORLY| O\'Reilly Automotive, Inc.| 0.76%| North America|Equity|Volatility Hedged Equity||ONEV|6|8.ASSET|Equity|613.4|4.36|DGX| Quest Diagnostics Incorporated| 0.71%| North America|Equity|Volatility Hedged Equity||ONEV|6|9.ASSET|Equity|613.4|4.23|ALL| Allstate Corporation| 0.69%| North America|Equity|Volatility Hedged Equity||ONEV|6|10.ASSET|Equity|613.4|4.05|SNPS| Synopsys, Inc.| 0.66%| North America|Equity|Volatility Hedged Equity||ONEV|6|11.ASSET|Equity|613.4|4.05|CERN| Cerner Corporation| 0.66%| North America|Equity|Volatility Hedged Equity||ONEV|6|12.ASSET|Equity|613.4|3.99|TSCO| Tractor Supply Company| 0.65%| North America|Equity|Volatility Hedged Equity||ONEV|6|13.ASSET|Equity|613.4|3.93|KMB| Kimberly-Clark Corporation| 0.64%| North America|Equity|Volatility Hedged Equity||ONEV|6|14.ASSET|Equity|613.4|3.93|VRSN| VeriSign, Inc.| 0.64%| North America|Equity|Volatility Hedged Equity||ONEV|6|15.ASSET|Equity|613.4|3.93|CTXS| Citrix Systems, Inc.| 0.64%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|1.ASSET|Equity|218.2|14.92|CERN| Cerner Corporation| 6.84%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|2.ASSET|Equity|218.2|11.8|UNH| UnitedHealth Group Incorporated| 5.41%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|3.ASSET|Equity|218.2|11.7|IRTC| iRhythm Technologies, Inc.| 5.36%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|4.ASSET|Equity|218.2|11.39|CHNG| Change Healthcare, Inc.| 5.22%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|5.ASSET|Equity|218.2|11.37|RCM| R1 RCM Inc| 5.21%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|6.ASSET|Equity|218.2|11.26|NUAN| Nuance Communications Incorporated| 5.16%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|7.ASSET|Equity|218.2|10.76|LH| Laboratory Corporation of America Holdings| 4.93%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|8.ASSET|Equity|218.2|9.71|TNDM| Tandem Diabetes Care, Inc.| 4.45%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|9.ASSET|Equity|218.2|9.54|A| Agilent Technologies, Inc.| 4.37%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|10.ASSET|Equity|218.2|9.12|6618| JD Health International, Inc.| 4.18%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|11.ASSET|Equity|218.2|8.97|ILMN| Illumina, Inc.| 4.11%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|12.ASSET|Equity|218.2|8.82|OMCL| Omnicell, Inc.| 4.04%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|13.ASSET|Equity|218.2|8.51|DOCS| Doximity, Inc. Class A| 3.90%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|14.ASSET|Equity|218.2|8.2|DXCM| DexCom, Inc.| 3.76%| North America|Equity|Health & Biotech Equities|Healthcare|EDOC|6|15.ASSET|Equity|218.2|7.42|MDRX| Allscripts Healthcare Solutions, Inc.| 3.40%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDW|6|1.ASSET|Bond|594.7|305.32|BNDX| Vanguard Total International Bond ETF| 51.34%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BNDW|6|2.ASSET|Bond|594.7|289.26|BND| Vanguard Total Bond Market ETF| 48.64%| Emerging Asia Pacific|Equity|Leveraged Equities||YINN|6|1.ASSET|Equity|423.3|254.74|FXI| iShares China Large-Cap ETF| 60.18%| Emerging Asia Pacific|Equity|Leveraged Equities||YINN|6|2.ASSET|Equity|423.3|139.18|DGCXX| Dreyfus Government Cash Management Funds Institutional| 32.88%| Emerging Asia Pacific|Equity|Leveraged Equities||YINN|6|3.ASSET|Equity|423.3|12.23|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 2.89%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|1.ASSET|Equity|461.3|65|AMGN| Amgen Inc.| 14.09%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|2.ASSET|Equity|461.3|35.06|GILD| Gilead Sciences, Inc.| 7.60%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|3.ASSET|Equity|461.3|32.75|MRNA| Moderna, Inc.| 7.10%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|4.ASSET|Equity|461.3|31.97|VRTX| Vertex Pharmaceuticals Incorporated| 6.93%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|5.ASSET|Equity|461.3|30.22|REGN| Regeneron Pharmaceuticals, Inc.| 6.55%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|6.ASSET|Equity|461.3|24.86|IQV| IQVIA Holdings Inc| 5.39%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|7.ASSET|Equity|461.3|24.4|ILMN| Illumina, Inc.| 5.29%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|8.ASSET|Equity|461.3|22.47|BIIB| Biogen Inc.| 4.87%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|9.ASSET|Equity|461.3|19.93|TECH| Bio-Techne Corporation| 4.32%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|10.ASSET|Equity|461.3|16.38|SGEN| Seagen, Inc.| 3.55%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|11.ASSET|Equity|461.3|16.01|CRL| Charles River Laboratories International, Inc.| 3.47%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|12.ASSET|Equity|461.3|15.87|ALNY| Alnylam Pharmaceuticals, Inc| 3.44%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|13.ASSET|Equity|461.3|14.95|ICLR| ICON Plc| 3.24%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|14.ASSET|Equity|461.3|13.56|EXAS| Exact Sciences Corporation| 2.94%| North America|Equity|Health & Biotech Equities|Healthcare|BBH|6|15.ASSET|Equity|461.3|12.96|QGEN| QIAGEN NV| 2.81%| North America|Equity|Leveraged Equities||SDS|6|1.ASSET|Equity|690.7|385.07|N/A| U.S. Dollar| 55.75%| North America|Equity|Leveraged Equities||SDS|6|2.ASSET|Equity|690.7|27.01|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.91%| North America|Equity|Leveraged Equities||SDS|6|3.ASSET|Equity|690.7|27.01|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 3.91%| North America|Equity|Leveraged Equities||SDS|6|4.ASSET|Equity|690.7|27.01|N/A| United States Treasury Bills 0.0% 14-APR-2022| 3.91%| North America|Equity|Leveraged Equities||SDS|6|5.ASSET|Equity|690.7|27.01|N/A| United States Treasury Bills 0.0% 07-APR-2022| 3.91%| North America|Equity|Leveraged Equities||SDS|6|6.ASSET|Equity|690.7|27.01|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 3.91%| North America|Equity|Leveraged Equities||SDS|6|7.ASSET|Equity|690.7|24.24|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 3.51%| North America|Equity|Leveraged Equities||SDS|6|8.ASSET|Equity|690.7|21.55|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 3.12%| North America|Equity|Leveraged Equities||SDS|6|9.ASSET|Equity|690.7|18.93|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 2.74%| North America|Equity|Leveraged Equities||SDS|6|10.ASSET|Equity|690.7|16.16|N/A| United States Treasury Bills 0.0% 05-APR-2022| 2.34%| North America|Equity|Leveraged Equities||SDS|6|11.ASSET|Equity|690.7|13.47|N/A| United States Treasury Bills 0.0% 21-APR-2022| 1.95%| North America|Equity|Leveraged Equities||SDS|6|12.ASSET|Equity|690.7|13.47|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 1.95%| North America|Equity|Leveraged Equities||SDS|6|13.ASSET|Equity|690.7|13.47|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 1.95%| North America|Equity|Leveraged Equities||SDS|6|14.ASSET|Equity|690.7|13.47|N/A| United States Treasury Bills 0.0% 28-APR-2022| 1.95%| North America|Equity|Leveraged Equities||SDS|6|15.ASSET|Equity|690.7|13.4|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 1.94%| |Commodity|Precious Metals||OUNZ|6|1.ASSET|Commodity|637.1|637.1|N/A| Gold| 100.00%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|1.ASSET|Equity|483.7|24.67|WFG| West Fraser Timber Co. Ltd.| 5.10%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|2.ASSET|Equity|483.7|19.98|KMB| Kimberly-Clark Corporation| 4.13%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|3.ASSET|Equity|483.7|19.93|1925| Daiwa House Industry Co., Ltd.| 4.12%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|4.ASSET|Equity|483.7|18.53|VWS| Vestas Wind Systems A/S| 3.83%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|5.ASSET|Equity|483.7|17.66|AMGN| Amgen Inc.| 3.65%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|6.ASSET|Equity|483.7|17.32|JMAT| Johnson Matthey Plc| 3.58%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|7.ASSET|Equity|483.7|16.49|9020| East Japan Railway Company| 3.41%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|8.ASSET|Equity|483.7|16.45|UMI| Umicore| 3.40%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|9.ASSET|Equity|483.7|15.58|288| WH Group Ltd. (HK)| 3.22%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|10.ASSET|Equity|483.7|14.61|LLY| Eli Lilly and Company| 3.02%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|11.ASSET|Equity|483.7|12.14|NOVO.B| Novo Nordisk A/S Class B| 2.51%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|12.ASSET|Equity|483.7|10.54|REGN| Regeneron Pharmaceuticals, Inc.| 2.18%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|13.ASSET|Equity|483.7|8.9|CL| Colgate-Palmolive Company| 1.84%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|14.ASSET|Equity|483.7|8.8|PSON| Pearson PLC| 1.82%| Developed Markets|Equity|Large Cap Blend Equities||SDG|6|15.ASSET|Equity|483.7|8.22|VRTX| Vertex Pharmaceuticals Incorporated| 1.70%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|1.ASSET|Bond|790.5|13.28|N/A| CORPORATE BOND| 1.68%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|2.ASSET|Bond|790.5|5.38|N/A| Altice France SA 5.5% 15-OCT-2029| 0.68%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|3.ASSET|Bond|790.5|5.22|N/A| NFP Corp. 6.875% 15-AUG-2028| 0.66%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|4.ASSET|Bond|790.5|5.22|N/A| DISH DBS Corporation 7.75% 01-JUL-2026| 0.66%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|5.ASSET|Bond|790.5|5.22|N/A| McAfee Corp. 7.375% 15-FEB-2030| 0.66%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|6.ASSET|Bond|790.5|5.14|N/A| Altice Financing SA 5.75% 15-AUG-2029| 0.65%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|7.ASSET|Bond|790.5|5.06|N/A| CSC Holdings, LLC 5.75% 15-JAN-2030| 0.64%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|8.ASSET|Bond|790.5|5.06|N/A| Bausch Health Companies Inc. 8.5% 31-JAN-2027| 0.64%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|9.ASSET|Bond|790.5|4.74|N/A| TransDigm, Inc. 5.5% 15-NOV-2027| 0.60%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|10.ASSET|Bond|790.5|4.19|N/A| Weatherford International Ltd. 8.625% 30-APR-2030| 0.53%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|11.ASSET|Bond|790.5|4.11|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.52%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|12.ASSET|Bond|790.5|3.95|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 0.50%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|13.ASSET|Bond|790.5|3.79|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.48%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|14.ASSET|Bond|790.5|3.64|N/A| Vericast Merger Sub, Inc. 11.0% 15-SEP-2026| 0.46%| Developed Markets|Bond|High Yield Bonds|Junk|HYGV|6|15.ASSET|Bond|790.5|3.64|N/A| Prime Security Services Borrower LLC 6.25% 15-JAN-2028| 0.46%| Developed Markets|Equity|Leveraged Equities|Materials|JNUG|6|1.ASSET|Equity|453.5|158.14|GDXJ| VanEck Junior Gold Miners ETF| 34.87%| Developed Markets|Equity|Leveraged Equities|Materials|JNUG|6|2.ASSET|Equity|453.5|135.28|N/A| U.S. Dollar| 29.83%| Developed Markets|Equity|Leveraged Equities|Materials|JNUG|6|3.ASSET|Equity|453.5|91.11|DGCXX| Dreyfus Government Cash Management Funds Institutional| 20.09%| Developed Markets|Equity|Leveraged Equities|Materials|JNUG|6|4.ASSET|Equity|453.5|68.93|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 15.20%| Developed Markets|Equity|Leveraged Equities|Materials|JNUG|6|5.ASSET|Equity|453.5|0.09|N/A| MUTUAL FUND (OTHER)| 0.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|1.ASSET|Equity|545.6|44.14|VHM| Vinhomes JSC| 8.09%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|2.ASSET|Equity|545.6|41.52|MSN| Masan Group Corporation| 7.61%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|3.ASSET|Equity|545.6|34.37|VNM| Vietnam Dairy Products Corp.| 6.30%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|4.ASSET|Equity|545.6|34.32|VIC| Vingroup Joint Stock Company| 6.29%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|5.ASSET|Equity|545.6|32.85|HPG| Hoa Phat Group JSC| 6.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|6.ASSET|Equity|545.6|27.33|NVL| No Va Land Investment Group Corp.| 5.01%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|7.ASSET|Equity|545.6|24.44|9910| Feng Tay Enterprise Co., Ltd.| 4.48%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|8.ASSET|Equity|545.6|23.84|1476| Eclat Textile Co., Ltd.| 4.37%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|9.ASSET|Equity|545.6|18|THD| Thaiholdings JSC| 3.30%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|10.ASSET|Equity|545.6|17.19|SSI| SSI Securities Corp.| 3.15%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|11.ASSET|Equity|545.6|15.6|VND| VNDirect Securities Corp.| 2.86%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|12.ASSET|Equity|545.6|15.17|VCB| Joint Stock Commercial Bank for Foreign Trade of Vietnam| 2.78%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|13.ASSET|Equity|545.6|13.31|7730| Mani, Inc.| 2.44%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|14.ASSET|Equity|545.6|12.6|DIG| Development Investment Joint Stock Corporation| 2.31%| Emerging Asia Pacific|Equity|Asia Pacific Equities||VNM|6|15.ASSET|Equity|545.6|10.91|9938| Taiwan Paiho Co., Ltd.| 2.00%| North America|Equity|Small Cap Growth Equities||DWAS|6|1.ASSET|Equity|393.1|9.83|LXU| LSB Industries, Inc.| 2.50%| North America|Equity|Small Cap Growth Equities||DWAS|6|2.ASSET|Equity|393.1|8.88|SM| SM Energy Company| 2.26%| North America|Equity|Small Cap Growth Equities||DWAS|6|3.ASSET|Equity|393.1|7.12|WFRD| Weatherford International Plc| 1.81%| North America|Equity|Small Cap Growth Equities||DWAS|6|4.ASSET|Equity|393.1|5.78|CWST| Casella Waste Systems, Inc. Class A| 1.47%| North America|Equity|Small Cap Growth Equities||DWAS|6|5.ASSET|Equity|393.1|5.5|HMHC| Houghton Mifflin Harcourt Company| 1.40%| North America|Equity|Small Cap Growth Equities||DWAS|6|6.ASSET|Equity|393.1|4.91|AMRC| Ameresco, Inc. Class A| 1.25%| North America|Equity|Small Cap Growth Equities||DWAS|6|7.ASSET|Equity|393.1|4.84|HBP| Huttig Building Products, Inc.| 1.23%| North America|Equity|Small Cap Growth Equities||DWAS|6|8.ASSET|Equity|393.1|4.44|HOV| Hovnanian Enterprises, Inc. Class A| 1.13%| North America|Equity|Small Cap Growth Equities||DWAS|6|9.ASSET|Equity|393.1|4.4|OMI| Owens & Minor, Inc.| 1.12%| North America|Equity|Small Cap Growth Equities||DWAS|6|10.ASSET|Equity|393.1|4.4|KNSL| Kinsale Capital Group, Inc.| 1.12%| North America|Equity|Small Cap Growth Equities||DWAS|6|11.ASSET|Equity|393.1|4.4|CALX| Calix, Inc.| 1.12%| North America|Equity|Small Cap Growth Equities||DWAS|6|12.ASSET|Equity|393.1|4.28|GDEN| Golden Entertainment, Inc.| 1.09%| North America|Equity|Small Cap Growth Equities||DWAS|6|13.ASSET|Equity|393.1|4.25|FLL| Full House Resorts, Inc.| 1.08%| North America|Equity|Small Cap Growth Equities||DWAS|6|14.ASSET|Equity|393.1|4.13|AMRK| A-Mark Precious Metals, Inc.| 1.05%| North America|Equity|Small Cap Growth Equities||DWAS|6|15.ASSET|Equity|393.1|4.13|SGRY| Surgery Partners, Inc.| 1.05%| North America|Bond|High Yield Bonds|Junk|SPHY|6|1.ASSET|Bond|591.8|14.26|N/A| CORPORATE BOND| 2.41%| North America|Bond|High Yield Bonds|Junk|SPHY|6|2.ASSET|Bond|591.8|7.16|SSIXX| State Street Institutional Liquid Reserves Fund| 1.21%| North America|Bond|High Yield Bonds|Junk|SPHY|6|3.ASSET|Bond|591.8|2.07|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.35%| North America|Bond|High Yield Bonds|Junk|SPHY|6|4.ASSET|Bond|591.8|1.95|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.33%| North America|Bond|High Yield Bonds|Junk|SPHY|6|5.ASSET|Bond|591.8|1.66|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.28%| North America|Bond|High Yield Bonds|Junk|SPHY|6|6.ASSET|Bond|591.8|1.6|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.27%| North America|Bond|High Yield Bonds|Junk|SPHY|6|7.ASSET|Bond|591.8|1.48|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.25%| North America|Bond|High Yield Bonds|Junk|SPHY|6|8.ASSET|Bond|591.8|1.42|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.24%| North America|Bond|High Yield Bonds|Junk|SPHY|6|9.ASSET|Bond|591.8|1.36|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.23%| North America|Bond|High Yield Bonds|Junk|SPHY|6|10.ASSET|Bond|591.8|1.36|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.23%| North America|Bond|High Yield Bonds|Junk|SPHY|6|11.ASSET|Bond|591.8|1.3|N/A| Ligado Networks 15.5% 01-NOV-2023| 0.22%| North America|Bond|High Yield Bonds|Junk|SPHY|6|12.ASSET|Bond|591.8|1.24|N/A| CCO Holdings LLC 5.0% 01-FEB-2028| 0.21%| North America|Bond|High Yield Bonds|Junk|SPHY|6|13.ASSET|Bond|591.8|1.18|N/A| CCO Holdings LLC 4.75% 01-MAR-2030| 0.20%| North America|Bond|High Yield Bonds|Junk|SPHY|6|14.ASSET|Bond|591.8|1.18|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.20%| North America|Bond|High Yield Bonds|Junk|SPHY|6|15.ASSET|Bond|591.8|1.12|N/A| American Airlines, Inc. 5.75% 20-APR-2029| 0.19%| North America|Bond|California Munis|California Munis|PWZ|6|1.ASSET|Bond|600|24.9|N/A| California Health Facs Fing Auth Rev 4.0% 15-AUG-2050| 4.15%| North America|Bond|California Munis|California Munis|PWZ|6|2.ASSET|Bond|600|20.94|N/A| U.S. Dollar| 3.49%| North America|Bond|California Munis|California Munis|PWZ|6|3.ASSET|Bond|600|15.96|N/A| San Diego Calif Uni Sch Dist 5.0% 01-JUL-2041| 2.66%| North America|Bond|California Munis|California Munis|PWZ|6|4.ASSET|Bond|600|15.78|N/A| Fremont Calif Un High Sch Dist Santa Clara Cnty 4.0% 01-AUG-2046| 2.63%| North America|Bond|California Munis|California Munis|PWZ|6|5.ASSET|Bond|600|14.16|N/A| California St Univ Rev 5.0% 01-NOV-2041| 2.36%| North America|Bond|California Munis|California Munis|PWZ|6|6.ASSET|Bond|600|13.14|N/A| Los Angeles Cnty Calif Pub Wks Fing Auth Lease Rev 5.0% 01-DEC-2049| 2.19%| North America|Bond|California Munis|California Munis|PWZ|6|7.ASSET|Bond|600|10.02|N/A| Sacramento Calif Mun Util Dist Elec Rev 5.0% 15-AUG-2050| 1.67%| North America|Bond|California Munis|California Munis|PWZ|6|8.ASSET|Bond|600|8.46|N/A| California Health Facs Fing Auth Rev 5.0% 01-NOV-2047| 1.41%| North America|Bond|California Munis|California Munis|PWZ|6|9.ASSET|Bond|600|8.22|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev 5.0% 01-MAY-2048| 1.37%| North America|Bond|California Munis|California Munis|PWZ|6|10.ASSET|Bond|600|7.98|N/A| San Mateo Foster City Calif Pub Fing Auth Wastewater Rev 5.0% 01-AUG-2049| 1.33%| North America|Bond|California Munis|California Munis|PWZ|6|11.ASSET|Bond|600|7.92|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev 5.0% 01-MAY-2046| 1.32%| North America|Bond|California Munis|California Munis|PWZ|6|12.ASSET|Bond|600|7.68|N/A| Los Angeles Cnty Calif Met Transn Auth Sales Taxrev 5.0% 01-JUL-2042| 1.28%| North America|Bond|California Munis|California Munis|PWZ|6|13.ASSET|Bond|600|7.56|N/A| California Health Facs Fing Auth Rev 5.0% 15-AUG-2042| 1.26%| North America|Bond|California Munis|California Munis|PWZ|6|14.ASSET|Bond|600|6.84|N/A| University Calif Revs 4.0% 15-MAY-2046| 1.14%| North America|Bond|California Munis|California Munis|PWZ|6|15.ASSET|Bond|600|6.24|N/A| University Calif Revs 5.0% 15-MAY-2046| 1.04%| North America|Equity|Large Cap Growth Equities||FCTR|6|1.ASSET|Equity|526|9.99|COP| ConocoPhillips| 1.90%| North America|Equity|Large Cap Growth Equities||FCTR|6|2.ASSET|Equity|526|9.31|LVS| Las Vegas Sands Corp.| 1.77%| North America|Equity|Large Cap Growth Equities||FCTR|6|3.ASSET|Equity|526|8.05|LYV| Live Nation Entertainment, Inc.| 1.53%| North America|Equity|Large Cap Growth Equities||FCTR|6|4.ASSET|Equity|526|6.94|CVX| Chevron Corporation| 1.32%| North America|Equity|Large Cap Growth Equities||FCTR|6|5.ASSET|Equity|526|6.58|LMT| Lockheed Martin Corporation| 1.25%| North America|Equity|Large Cap Growth Equities||FCTR|6|6.ASSET|Equity|526|6.42|MGM| MGM Resorts International| 1.22%| North America|Equity|Large Cap Growth Equities||FCTR|6|7.ASSET|Equity|526|6.36|BRK.B| Berkshire Hathaway Inc. Class B| 1.21%| North America|Equity|Large Cap Growth Equities||FCTR|6|8.ASSET|Equity|526|6.26|EXPE| Expedia Group, Inc.| 1.19%| North America|Equity|Large Cap Growth Equities||FCTR|6|9.ASSET|Equity|526|5.94|VZ| Verizon Communications Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||FCTR|6|10.ASSET|Equity|526|5.84|DLTR| Dollar Tree, Inc.| 1.11%| North America|Equity|Large Cap Growth Equities||FCTR|6|11.ASSET|Equity|526|5.63|OXY| Occidental Petroleum Corporation| 1.07%| North America|Equity|Large Cap Growth Equities||FCTR|6|12.ASSET|Equity|526|5.47|AIG| American International Group, Inc.| 1.04%| North America|Equity|Large Cap Growth Equities||FCTR|6|13.ASSET|Equity|526|5.31|BMY| Bristol-Myers Squibb Company| 1.01%| North America|Equity|Large Cap Growth Equities||FCTR|6|14.ASSET|Equity|526|5.26|EOG| EOG Resources, Inc.| 1.00%| North America|Equity|Large Cap Growth Equities||FCTR|6|15.ASSET|Equity|526|5.21|CI| Cigna Corporation| 0.99%| Developed Europe|Equity|Europe Equities||FEP|6|1.ASSET|Equity|514.7|6.95|BOL| Boliden AB| 1.35%| Developed Europe|Equity|Europe Equities||FEP|6|2.ASSET|Equity|514.7|6.23|EQNR| Equinor ASA| 1.21%| Developed Europe|Equity|Europe Equities||FEP|6|3.ASSET|Equity|514.7|5.87|RIO| Rio Tinto plc| 1.14%| Developed Europe|Equity|Europe Equities||FEP|6|4.ASSET|Equity|514.7|5.61|AAL| Anglo American plc| 1.09%| Developed Europe|Equity|Europe Equities||FEP|6|5.ASSET|Equity|514.7|5.56|MAERSK.B| A.P. Moller - Maersk A/S Class B| 1.08%| Developed Europe|Equity|Europe Equities||FEP|6|6.ASSET|Equity|514.7|5.25|BBOX| Tritax Big Box REIT Plc| 1.02%| Developed Europe|Equity|Europe Equities||FEP|6|7.ASSET|Equity|514.7|5.1|SGRO| SEGRO plc| 0.99%| Developed Europe|Equity|Europe Equities||FEP|6|8.ASSET|Equity|514.7|5.1|SSAB.B| SSAB AB Class B| 0.99%| Developed Europe|Equity|Europe Equities||FEP|6|9.ASSET|Equity|514.7|5.04|DIE| D\'Ieteren Group| 0.98%| Developed Europe|Equity|Europe Equities||FEP|6|10.ASSET|Equity|514.7|4.99|BIRG| Bank of Ireland Group Plc| 0.97%| Developed Europe|Equity|Europe Equities||FEP|6|11.ASSET|Equity|514.7|4.99|MT| ArcelorMittal SA| 0.97%| Developed Europe|Equity|Europe Equities||FEP|6|12.ASSET|Equity|514.7|4.99|NHY| Norsk Hydro ASA| 0.97%| Developed Europe|Equity|Europe Equities||FEP|6|13.ASSET|Equity|514.7|4.84|CNA| Centrica plc| 0.94%| Developed Europe|Equity|Europe Equities||FEP|6|14.ASSET|Equity|514.7|4.79|TEF| Telefonica SA| 0.93%| Developed Europe|Equity|Europe Equities||FEP|6|15.ASSET|Equity|514.7|4.79|GLEN| Glencore plc| 0.93%| North America|Equity|Large Cap Value Equities||DTN|6|1.ASSET|Equity|538|19.53|MO| Altria Group Inc| 3.63%| North America|Equity|Large Cap Value Equities||DTN|6|2.ASSET|Equity|538|14.85|LUMN| Lumen Technologies, Inc.| 2.76%| North America|Equity|Large Cap Value Equities||DTN|6|3.ASSET|Equity|538|14.74|PM| Philip Morris International Inc.| 2.74%| North America|Equity|Large Cap Value Equities||DTN|6|4.ASSET|Equity|538|11.08|IRM| Iron Mountain, Inc.| 2.06%| North America|Equity|Large Cap Value Equities||DTN|6|5.ASSET|Equity|538|10.38|FE| FirstEnergy Corp.| 1.93%| North America|Equity|Large Cap Value Equities||DTN|6|6.ASSET|Equity|538|9.42|IPG| Interpublic Group of Companies, Inc.| 1.75%| North America|Equity|Large Cap Value Equities||DTN|6|7.ASSET|Equity|538|8.07|T| AT&T Inc.| 1.50%| North America|Equity|Large Cap Value Equities||DTN|6|8.ASSET|Equity|538|7.96|ABBV| AbbVie, Inc.| 1.48%| North America|Equity|Large Cap Value Equities||DTN|6|9.ASSET|Equity|538|7.96|PPL| PPL Corporation| 1.48%| North America|Equity|Large Cap Value Equities||DTN|6|10.ASSET|Equity|538|7.85|EOG| EOG Resources, Inc.| 1.46%| North America|Equity|Large Cap Value Equities||DTN|6|11.ASSET|Equity|538|7.69|NUE| Nucor Corporation| 1.43%| North America|Equity|Large Cap Value Equities||DTN|6|12.ASSET|Equity|538|7.64|HPQ| HP Inc.| 1.42%| North America|Equity|Large Cap Value Equities||DTN|6|13.ASSET|Equity|538|7.59|DOW| Dow, Inc.| 1.41%| North America|Equity|Large Cap Value Equities||DTN|6|14.ASSET|Equity|538|7.53|GIS| General Mills, Inc.| 1.40%| North America|Equity|Large Cap Value Equities||DTN|6|15.ASSET|Equity|538|7.42|K| Kellogg Company| 1.38%| Global|Equity|Industrials Equities|Industrials|ARKX|6|1.ASSET|Equity|396.2|35.38|TRMB| Trimble Inc.| 8.93%| Global|Equity|Industrials Equities|Industrials|ARKX|6|2.ASSET|Equity|396.2|33.68|KTOS| Kratos Defense & Security Solutions, Inc.| 8.50%| Global|Equity|Industrials Equities|Industrials|ARKX|6|3.ASSET|Equity|396.2|29.36|PRNT| 3D Printing ETF| 7.41%| Global|Equity|Industrials Equities|Industrials|ARKX|6|4.ASSET|Equity|396.2|27.81|LHX| L3Harris Technologies Inc| 7.02%| Global|Equity|Industrials Equities|Industrials|ARKX|6|5.ASSET|Equity|396.2|22.66|IRDM| Iridium Communications Inc.| 5.72%| Global|Equity|Industrials Equities|Industrials|ARKX|6|6.ASSET|Equity|396.2|21.55|AVAV| AeroVironment, Inc.| 5.44%| Global|Equity|Industrials Equities|Industrials|ARKX|6|7.ASSET|Equity|396.2|19.02|6301| Komatsu Ltd.| 4.80%| Global|Equity|Industrials Equities|Industrials|ARKX|6|8.ASSET|Equity|396.2|14.66|2618| JD Logistics, Inc.| 3.70%| Global|Equity|Industrials Equities|Industrials|ARKX|6|9.ASSET|Equity|396.2|13.39|BLDE| Blade Air Mobility, Inc. Class A| 3.38%| Global|Equity|Industrials Equities|Industrials|ARKX|6|10.ASSET|Equity|396.2|12.96|PATH| UiPath Inc Class A| 3.27%| Global|Equity|Industrials Equities|Industrials|ARKX|6|11.ASSET|Equity|396.2|12.32|DSY| Dassault Systemes SA| 3.11%| Global|Equity|Industrials Equities|Industrials|ARKX|6|12.ASSET|Equity|396.2|12.08|VLD| Velo3D, Inc.| 3.05%| Global|Equity|Industrials Equities|Industrials|ARKX|6|13.ASSET|Equity|396.2|11.09|AMZN| Amazon.com, Inc.| 2.80%| Global|Equity|Industrials Equities|Industrials|ARKX|6|14.ASSET|Equity|396.2|10.54|U| Unity Software, Inc.| 2.66%| Global|Equity|Industrials Equities|Industrials|ARKX|6|15.ASSET|Equity|396.2|10.34|DE| Deere & Company| 2.61%| North America|Bond|National Munis|Municipal Bond|SMMU|6|1.ASSET|Bond|533.9|19.22|N/A| MUNICIPAL BONDS| 3.60%| North America|Bond|National Munis|Municipal Bond|SMMU|6|2.ASSET|Bond|533.9|9.13|N/A| United States Treasury Bills 0.0% 19-APR-2022| 1.71%| North America|Bond|National Munis|Municipal Bond|SMMU|6|3.ASSET|Bond|533.9|8.01|N/A| United States Treasury Bills 0.0% 26-MAY-2022| 1.50%| North America|Bond|National Munis|Municipal Bond|SMMU|6|4.ASSET|Bond|533.9|7.96|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-NOV-2026| 1.49%| North America|Bond|National Munis|Municipal Bond|SMMU|6|5.ASSET|Bond|533.9|7.15|N/A| Federal Home Loan Bank System 0.0% 02-MAR-2022| 1.34%| North America|Bond|National Munis|Municipal Bond|SMMU|6|6.ASSET|Bond|533.9|7.05|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 1.32%| North America|Bond|National Munis|Municipal Bond|SMMU|6|7.ASSET|Bond|533.9|6.25|N/A| Pefa Inc Iowa Gas Proj Rev VAR 01-SEP-2049| 1.17%| North America|Bond|National Munis|Municipal Bond|SMMU|6|8.ASSET|Bond|533.9|6.09|N/A| California Statewide Cmntys Dev Auth Rev VAR 01-APR-2038| 1.14%| North America|Bond|National Munis|Municipal Bond|SMMU|6|9.ASSET|Bond|533.9|6.03|N/A| Black Belt Energy Gas Dist Ala Gas Proj Rev VAR 01-APR-2053| 1.13%| North America|Bond|National Munis|Municipal Bond|SMMU|6|10.ASSET|Bond|533.9|5.87|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 1.10%| North America|Bond|National Munis|Municipal Bond|SMMU|6|11.ASSET|Bond|533.9|5.61|N/A| Golden St Tob Securitization Corp Calif Tob Settlement Rev 2.587% 01-JUN-2029| 1.05%| North America|Bond|National Munis|Municipal Bond|SMMU|6|12.ASSET|Bond|533.9|5.45|N/A| Triborough Brdg & Tunl Auth N Y Payroll Mobilitytax VAR 15-MAY-2045| 1.02%| North America|Bond|National Munis|Municipal Bond|SMMU|6|13.ASSET|Bond|533.9|5.02|N/A| Hampton Bays N Y Un Free Sch Dist 1.25% 23-JUN-2022| 0.94%| North America|Bond|National Munis|Municipal Bond|SMMU|6|14.ASSET|Bond|533.9|4.97|N/A| Los Angeles Calif 4.0% 23-JUN-2022| 0.93%| North America|Bond|National Munis|Municipal Bond|SMMU|6|15.ASSET|Bond|533.9|4.64|N/A| Florida St Brd Ed Pub Ed 5.0% 01-JUN-2027| 0.87%| North America|Bond|New York Munis|New York Munis|NYF|6|1.ASSET|Bond|544.1|7.4|N/A| MUNICIPAL BONDS| 1.36%| North America|Bond|New York Munis|New York Munis|NYF|6|2.ASSET|Bond|544.1|6.04|MUNXX| BlackRock Liquidity Funds New York Money Fund Portfolio Institutional| 1.11%| North America|Bond|New York Munis|New York Munis|NYF|6|3.ASSET|Bond|544.1|4.46|N/A| New York St Dorm Auth St Pers Income Tax Rev 4.0% 15-FEB-2047| 0.82%| North America|Bond|New York Munis|New York Munis|NYF|6|4.ASSET|Bond|544.1|3.97|N/A| Suffolk Cnty N Y Wtr Auth Wtrwks Rev 4.0% 01-JUN-2041| 0.73%| North America|Bond|New York Munis|New York Munis|NYF|6|5.ASSET|Bond|544.1|3.7|N/A| Brookhaven N Y 4.0% 15-JUL-2026| 0.68%| North America|Bond|New York Munis|New York Munis|NYF|6|6.ASSET|Bond|544.1|3.59|N/A| Sales Tax Asset Receivable Corp N Y 5.0% 15-OCT-2028| 0.66%| North America|Bond|New York Munis|New York Munis|NYF|6|7.ASSET|Bond|544.1|3.21|N/A| New York St Dorm Auth St Pers Income Tax Rev 5.0% 15-MAR-2031| 0.59%| North America|Bond|New York Munis|New York Munis|NYF|6|8.ASSET|Bond|544.1|3.16|N/A| New York St Twy Auth Gen Rev Jr Indbt Obligs 5.25% 01-JAN-2056| 0.58%| North America|Bond|New York Munis|New York Munis|NYF|6|9.ASSET|Bond|544.1|2.88|N/A| New York St Environmental Facs Corp St Clean Wtr& Drinking Wtr Rev 4.0% 15-JUN-2049| 0.53%| North America|Bond|New York Munis|New York Munis|NYF|6|10.ASSET|Bond|544.1|2.83|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2036| 0.52%| North America|Bond|New York Munis|New York Munis|NYF|6|11.ASSET|Bond|544.1|2.83|N/A| New York N Y 4.0% 01-AUG-2039| 0.52%| North America|Bond|New York Munis|New York Munis|NYF|6|12.ASSET|Bond|544.1|2.77|N/A| New York St Dorm Auth St Pers Income Tax Rev 4.0% 15-MAR-2047| 0.51%| North America|Bond|New York Munis|New York Munis|NYF|6|13.ASSET|Bond|544.1|2.77|N/A| Suffolk Cnty N Y 5.0% 01-MAY-2025| 0.51%| North America|Bond|New York Munis|New York Munis|NYF|6|14.ASSET|Bond|544.1|2.5|N/A| Monroe Cnty N Y 4.0% 01-JUN-2030| 0.46%| North America|Bond|New York Munis|New York Munis|NYF|6|15.ASSET|Bond|544.1|2.5|N/A| Hudson Yds Infrastructure Corp N Y Second Indenture Rev 5.0% 15-FEB-2037| 0.46%| North America|Equity|Large Cap Growth Equities||TMFC|6|1.ASSET|Equity|507.9|70.09|AAPL| Apple Inc.| 13.80%| North America|Equity|Large Cap Growth Equities||TMFC|6|2.ASSET|Equity|507.9|58|MSFT| Microsoft Corporation| 11.42%| North America|Equity|Large Cap Growth Equities||TMFC|6|3.ASSET|Equity|507.9|46.42|GOOG| Alphabet Inc. Class C| 9.14%| North America|Equity|Large Cap Growth Equities||TMFC|6|4.ASSET|Equity|507.9|40.07|AMZN| Amazon.com, Inc.| 7.89%| North America|Equity|Large Cap Growth Equities||TMFC|6|5.ASSET|Equity|507.9|22.75|TSLA| Tesla Inc| 4.48%| North America|Equity|Large Cap Growth Equities||TMFC|6|6.ASSET|Equity|507.9|18.54|BRK.B| Berkshire Hathaway Inc. Class B| 3.65%| North America|Equity|Large Cap Growth Equities||TMFC|6|7.ASSET|Equity|507.9|15.34|NVDA| NVIDIA Corporation| 3.02%| North America|Equity|Large Cap Growth Equities||TMFC|6|8.ASSET|Equity|507.9|14.78|FB| Meta Platforms Inc. Class A| 2.91%| North America|Equity|Large Cap Growth Equities||TMFC|6|9.ASSET|Equity|507.9|11.73|UNH| UnitedHealth Group Incorporated| 2.31%| North America|Equity|Large Cap Growth Equities||TMFC|6|10.ASSET|Equity|507.9|11.53|V| Visa Inc. Class A| 2.27%| North America|Equity|Large Cap Growth Equities||TMFC|6|11.ASSET|Equity|507.9|11.38|JNJ| Johnson & Johnson| 2.24%| North America|Equity|Large Cap Growth Equities||TMFC|6|12.ASSET|Equity|507.9|8.84|MA| Mastercard Incorporated Class A| 1.74%| North America|Equity|Large Cap Growth Equities||TMFC|6|13.ASSET|Equity|507.9|8.74|HD| Home Depot, Inc.| 1.72%| North America|Equity|Large Cap Growth Equities||TMFC|6|14.ASSET|Equity|507.9|6.91|DIS| Walt Disney Company| 1.36%| North America|Equity|Large Cap Growth Equities||TMFC|6|15.ASSET|Equity|507.9|6.15|AVGO| Broadcom Inc.| 1.21%| North America|Currency|Currency||UUP|6|1.ASSET|Currency|891.8|651.01|N/A| Government & Agency Portfolio| 73.00%| North America|Currency|Currency||UUP|6|2.ASSET|Currency|891.8|144.38|N/A| United States Treasury Bill | 16.19%| North America|Currency|Currency||UUP|6|3.ASSET|Currency|891.8|96.31|CLTL| Invesco Treasury Collateral ETF| 10.80%| North America|Multi-Asset|Hedge Fund||RYLD|6|1.ASSET|Multi-Asset|1042.9|1056.25|VTWO| Vanguard Russell 2000 ETF| 101.28%| North America|Multi-Asset|Hedge Fund||RYLD|6|2.ASSET|Multi-Asset|1042.9|12.1|N/A| U.S. Dollar| 1.16%| North America|Multi-Asset|Hedge Fund||RYLD|6|3.ASSET|Multi-Asset|1042.9|-25.45|N/A| OPTIONS| -2.44%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|1.ASSET|Real Estate|569.7|19.03|VNA| Vonovia SE| 3.34%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|2.ASSET|Real Estate|569.7|14.53|GMG| Goodman Group| 2.55%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|3.ASSET|Real Estate|569.7|11.34|8801| Mitsui Fudosan Co., Ltd.| 1.99%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|4.ASSET|Real Estate|569.7|11.28|8802| Mitsubishi Estate Company, Limited| 1.98%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|5.ASSET|Real Estate|569.7|10.43|SGRO| SEGRO plc| 1.83%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|6.ASSET|Real Estate|569.7|9.46|16| Sun Hung Kai Properties Limited| 1.66%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|7.ASSET|Real Estate|569.7|8.94|823| Link Real Estate Investment Trust| 1.57%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|8.ASSET|Real Estate|569.7|7.52|8830| Sumitomo Realty & Development Co., Ltd.| 1.32%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|9.ASSET|Real Estate|569.7|7.29|1109| China Resources Land Limited| 1.28%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|10.ASSET|Real Estate|569.7|6.55|1113| CK Asset Holdings Limited| 1.15%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|11.ASSET|Real Estate|569.7|6.04|SCG| Scentre Group| 1.06%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|12.ASSET|Real Estate|569.7|5.98|688| China Overseas Land & Investment Limited| 1.05%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|13.ASSET|Real Estate|569.7|5.98|SMPH| SM Prime Holdings, Inc.| 1.05%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|14.ASSET|Real Estate|569.7|4.96|8951| Nippon Building Fund, Inc.| 0.87%| Developed Markets|Real Estate|Global Real Estate|Real Estate|HAUZ|6|15.ASSET|Real Estate|569.7|4.9|LEG| LEG Immobilien SE| 0.86%| North America|Equity|Financials Equities|Financials|KIE|6|1.ASSET|Equity|480.7|12.59|AGO| Assured Guaranty Ltd.| 2.62%| North America|Equity|Financials Equities|Financials|KIE|6|2.ASSET|Equity|480.7|11.73|UNM| Unum Group| 2.44%| North America|Equity|Financials Equities|Financials|KIE|6|3.ASSET|Equity|480.7|11.63|ALL| Allstate Corporation| 2.42%| North America|Equity|Financials Equities|Financials|KIE|6|4.ASSET|Equity|480.7|11.39|PGR| Progressive Corporation| 2.37%| North America|Equity|Financials Equities|Financials|KIE|6|5.ASSET|Equity|480.7|11.39|TRV| Travelers Companies, Inc.| 2.37%| North America|Equity|Financials Equities|Financials|KIE|6|6.ASSET|Equity|480.7|11.39|WRB| W. R. Berkley Corporation| 2.37%| North America|Equity|Financials Equities|Financials|KIE|6|7.ASSET|Equity|480.7|11.15|AIZ| Assurant, Inc.| 2.32%| North America|Equity|Financials Equities|Financials|KIE|6|8.ASSET|Equity|480.7|11.15|MET| MetLife, Inc.| 2.32%| North America|Equity|Financials Equities|Financials|KIE|6|9.ASSET|Equity|480.7|11.15|AIG| American International Group, Inc.| 2.32%| North America|Equity|Financials Equities|Financials|KIE|6|10.ASSET|Equity|480.7|11.06|ACGL| Arch Capital Group Ltd.| 2.30%| North America|Equity|Financials Equities|Financials|KIE|6|11.ASSET|Equity|480.7|11.06|GL| Globe Life Inc.| 2.30%| North America|Equity|Financials Equities|Financials|KIE|6|12.ASSET|Equity|480.7|11.01|RE| Everest Re Group, Ltd.| 2.29%| North America|Equity|Financials Equities|Financials|KIE|6|13.ASSET|Equity|480.7|10.96|L| Loews Corporation| 2.28%| North America|Equity|Financials Equities|Financials|KIE|6|14.ASSET|Equity|480.7|10.91|CB| Chubb Limited| 2.27%| North America|Equity|Financials Equities|Financials|KIE|6|15.ASSET|Equity|480.7|10.91|ORI| Old Republic International Corporation| 2.27%| North America|Equity|Energy Equities|Energy|FCG|6|1.ASSET|Equity|624.5|32.16|OXY| Occidental Petroleum Corporation| 5.15%| North America|Equity|Energy Equities|Energy|FCG|6|2.ASSET|Equity|624.5|28.85|WES| Western Midstream Partners, LP| 4.62%| North America|Equity|Energy Equities|Energy|FCG|6|3.ASSET|Equity|624.5|28.23|COP| ConocoPhillips| 4.52%| North America|Equity|Energy Equities|Energy|FCG|6|4.ASSET|Equity|624.5|27.1|DCP| DCP Midstream LP| 4.34%| North America|Equity|Energy Equities|Energy|FCG|6|5.ASSET|Equity|624.5|26.1|PXD| Pioneer Natural Resources Company| 4.18%| North America|Equity|Energy Equities|Energy|FCG|6|6.ASSET|Equity|624.5|25.54|MRO| Marathon Oil Corporation| 4.09%| North America|Equity|Energy Equities|Energy|FCG|6|7.ASSET|Equity|624.5|25.35|DVN| Devon Energy Corporation| 4.06%| North America|Equity|Energy Equities|Energy|FCG|6|8.ASSET|Equity|624.5|25.1|EOG| EOG Resources, Inc.| 4.02%| North America|Equity|Energy Equities|Energy|FCG|6|9.ASSET|Equity|624.5|23.04|APA| APA Corp.| 3.69%| North America|Equity|Energy Equities|Energy|FCG|6|10.ASSET|Equity|624.5|22.67|FANG| Diamondback Energy, Inc.| 3.63%| North America|Equity|Energy Equities|Energy|FCG|6|11.ASSET|Equity|624.5|22.11|HES| Hess Corporation| 3.54%| North America|Equity|Energy Equities|Energy|FCG|6|12.ASSET|Equity|624.5|21.3|CTRA| Coterra Energy Inc.| 3.41%| North America|Equity|Energy Equities|Energy|FCG|6|13.ASSET|Equity|624.5|19.98|OVV| Ovintiv Inc| 3.20%| North America|Equity|Energy Equities|Energy|FCG|6|14.ASSET|Equity|624.5|19.61|AR| Antero Resources Corporation| 3.14%| North America|Equity|Energy Equities|Energy|FCG|6|15.ASSET|Equity|624.5|19.42|EQT| EQT Corporation| 3.11%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|1.ASSET|Equity|500.2|8.75|NESN| Nestle S.A.| 1.75%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|2.ASSET|Equity|500.2|6.3|7203| Toyota Motor Corp.| 1.26%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|3.ASSET|Equity|500.2|5.45|ASML| ASML Holding NV| 1.09%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|4.ASSET|Equity|500.2|5.3|ROG| Roche Holding Ltd| 1.06%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|5.ASSET|Equity|500.2|4.55|SHEL| Shell PLC| 0.91%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|6.ASSET|Equity|500.2|4.5|NOVN| Novartis AG| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|7.ASSET|Equity|500.2|4|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.80%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|8.ASSET|Equity|500.2|3.75|NOVO.B| Novo Nordisk A/S Class B| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|9.ASSET|Equity|500.2|3.75|WKL| Wolters Kluwer NV| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|10.ASSET|Equity|500.2|3.6|AZN| AstraZeneca PLC| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|11.ASSET|Equity|500.2|3.45|ORA| Orange SA| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|12.ASSET|Equity|500.2|3.35|1299| AIA Group Limited| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|13.ASSET|Equity|500.2|3.25|ML| Compagnie Generale des Etablissements Michelin SCA| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|14.ASSET|Equity|500.2|3.15|HSBA| HSBC Holdings Plc| 0.63%| Developed Markets|Equity|Foreign Large Cap Equities||JHMD|6|15.ASSET|Equity|500.2|3.1|TTE| TotalEnergies SE| 0.62%| Developed Markets|Equity|Global Equities||FGD|6|1.ASSET|Equity|601|14.48|LIF| Labrador Iron Ore Royalty Corporation| 2.41%| Developed Markets|Equity|Global Equities||FGD|6|2.ASSET|Equity|601|11.18|BATS| British American Tobacco p.l.c.| 1.86%| Developed Markets|Equity|Global Equities||FGD|6|3.ASSET|Equity|601|10.94|TEF| Telefonica SA| 1.82%| Developed Markets|Equity|Global Equities||FGD|6|4.ASSET|Equity|601|10.22|ENG| Enagas SA| 1.70%| Developed Markets|Equity|Global Equities||FGD|6|5.ASSET|Equity|601|10.22|316140| Woori Financial Group, Inc.| 1.70%| Developed Markets|Equity|Global Equities||FGD|6|6.ASSET|Equity|601|9.62|024110| Industrial Bank Of Korea| 1.60%| Developed Markets|Equity|Global Equities||FGD|6|7.ASSET|Equity|601|9.62|FMG| Fortescue Metals Group Ltd| 1.60%| Developed Markets|Equity|Global Equities||FGD|6|8.ASSET|Equity|601|9.26|MO| Altria Group Inc| 1.54%| Developed Markets|Equity|Global Equities||FGD|6|9.ASSET|Equity|601|9.2|SJR.B| Shaw Communications Inc. Class B| 1.53%| Developed Markets|Equity|Global Equities||FGD|6|10.ASSET|Equity|601|8.71|CEY| Centamin plc| 1.45%| Developed Markets|Equity|Global Equities||FGD|6|11.ASSET|Equity|601|8.71|REE| Red Electrica Corp. SA| 1.45%| Developed Markets|Equity|Global Equities||FGD|6|12.ASSET|Equity|601|8.41|TRP| TC Energy Corporation| 1.40%| Developed Markets|Equity|Global Equities||FGD|6|13.ASSET|Equity|601|8.35|MAP| Mapfre SA| 1.39%| Developed Markets|Equity|Global Equities||FGD|6|14.ASSET|Equity|601|8.35|DRX| Drax Group plc| 1.39%| Developed Markets|Equity|Global Equities||FGD|6|15.ASSET|Equity|601|8.29|PLUS| Plus500 Ltd.| 1.38%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|1.ASSET|Bond|570.6|35.72|N/A| TREASURY ISSUES (LONG-TERM)| 6.26%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|2.ASSET|Bond|570.6|17.57|N/A| Government of the Philippines 6.25% 14-JAN-2036| 3.08%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|3.ASSET|Bond|570.6|17.4|N/A| Government of Uruguay 8.25% 21-MAY-2031| 3.05%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|4.ASSET|Bond|570.6|16.83|N/A| Government of the Dominican Republic 9.75% 05-JUN-2026| 2.95%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|5.ASSET|Bond|570.6|13.29|TBBYL4.F| BlackRock Cash Funds Prime SL Agency Shares| 2.33%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|6.ASSET|Bond|570.6|10.78|N/A| Government of Uruguay 8.5% 15-MAR-2028| 1.89%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|7.ASSET|Bond|570.6|9.59|N/A| Government of Serbia 4.5% 11-JAN-2026| 1.68%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|8.ASSET|Bond|570.6|9.53|N/A| Government of the Dominican Republic 8.9% 15-FEB-2023| 1.67%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|9.ASSET|Bond|570.6|9.07|N/A| Government of Serbia 4.5% 20-AUG-2032| 1.59%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|10.ASSET|Bond|570.6|8.56|N/A| Government of the Philippines 3.9% 26-NOV-2022| 1.50%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|11.ASSET|Bond|570.6|7.25|N/A| Government of Serbia 5.875% 08-FEB-2028| 1.27%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|12.ASSET|Bond|570.6|6.96|N/A| Government of Brazil 0.0% 01-JAN-2024| 1.22%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|13.ASSET|Bond|570.6|5.59|N/A| Government of Chile 2.5% 01-MAR-2025| 0.98%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|14.ASSET|Bond|570.6|5.19|N/A| Government of Brazil 0.0% 01-JUL-2023| 0.91%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|LEMB|6|15.ASSET|Bond|570.6|4.56|N/A| Government of South Africa 10.5% 21-DEC-2027| 0.80%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJL|6|1.ASSET|Bond|434.4|434.4|N/A| U.S. Dollar| 100.00%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|1.ASSET|Equity|527.8|45.29|CVX| Chevron Corporation| 8.58%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|2.ASSET|Equity|527.8|44.18|XOM| Exxon Mobil Corporation| 8.37%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|3.ASSET|Equity|527.8|32.67|NTR| Nutrien Ltd.| 6.19%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|4.ASSET|Equity|527.8|30.98|COP| ConocoPhillips| 5.87%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|5.ASSET|Equity|527.8|30.61|FCX| Freeport-McMoRan, Inc.| 5.80%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|6.ASSET|Equity|527.8|29.19|ADM| Archer-Daniels-Midland Company| 5.53%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|7.ASSET|Equity|527.8|26.81|CTVA| Corteva Inc| 5.08%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|8.ASSET|Equity|527.8|24.75|ABX| Barrick Gold Corporation| 4.69%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|9.ASSET|Equity|527.8|23.96|CNQ| Canadian Natural Resources Limited| 4.54%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|10.ASSET|Equity|527.8|23.86|EOG| EOG Resources, Inc.| 4.52%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|11.ASSET|Equity|527.8|22.96|NEM| Newmont Corporation| 4.35%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|12.ASSET|Equity|527.8|19.95|PXD| Pioneer Natural Resources Company| 3.78%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|13.ASSET|Equity|527.8|19.48|FNV| Franco-Nevada Corporation| 3.69%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|14.ASSET|Equity|527.8|18.42|SU| Suncor Energy Inc.| 3.49%| North America|Equity|Commodity Producers Equities|Materials|NANR|6|15.ASSET|Equity|527.8|16.73|OXY| Occidental Petroleum Corporation| 3.17%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|1.ASSET|Preferred Stock|559.2|25.84|SJIV| South Jersey Industries, Inc. Tangible Equity Units Cons of Nom Nts 01.04.29 + 1 PC 01.04.24| 4.62%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|2.ASSET|Preferred Stock|559.2|23.6|CEQP.PR| Crestwood Equity Partners LP 9.25 % Preferred Partnership Units 144A| 4.22%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|3.ASSET|Preferred Stock|559.2|22.42|SCE.PRH| SCE Trust III Trust Preference Security 2014-Without fixed maturity Gtd on Pref Shs Ser H Fltg Rt| 4.01%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|4.ASSET|Preferred Stock|559.2|22.31|RLJ.PRA| RLJ Lodging Trust USD 1.95 Cum Conv Pfd Registered Shs Series A| 3.99%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|5.ASSET|Preferred Stock|559.2|21.81|DCP.PRB| DCP Midstream LP Conv Red Perp Cum Pfd Units Series B| 3.90%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|6.ASSET|Preferred Stock|559.2|21.42|BW.PRA| Babcock & Wilcox Enterprises Inc 7.75 % Cum Conv Red Perp Pfd Registered Shs Series A| 3.83%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|7.ASSET|Preferred Stock|559.2|20.63|AFINP| American Finance Trust, Inc. 7.5 % Cum Conv Perp Red Pfd Registered Shs Series A| 3.69%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|8.ASSET|Preferred Stock|559.2|19.63|DCUE| Dominion Energy Inc Corporate Units Cons of 1/10 CCRP Pfd Rg-A + 1 PC Series A| 3.51%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|9.ASSET|Preferred Stock|559.2|17.95|EPR.PRE| EPR Properties 9 % Cum Conv Pfd Shs Series E| 3.21%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|10.ASSET|Preferred Stock|559.2|17.56|NS.PRA| NuStar Energy LP Cum Red Perp Pfd Units Series A| 3.14%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|11.ASSET|Preferred Stock|559.2|16.61|SOLN| Southern Co Corporate Unit Cons of 1/40 Nts 01.08.24 + 1/40 Nts 01.08.27 + 1 PC| 2.97%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|12.ASSET|Preferred Stock|559.2|15.88|DBRG.PRI| DigitalBridge Group Inc 7.15 % Cum Red Perp Pfd Registered Shs Series I| 2.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|13.ASSET|Preferred Stock|559.2|15.15|NYMTN| New York Mortgage Trust, Inc. Cum Conv Perp Red Pfd Registered Shs Series D| 2.71%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|14.ASSET|Preferred Stock|559.2|14.43|SCE.PRL| SCE Trust VI 5% Cum Red Pfd Secs Series L| 2.58%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFA|6|15.ASSET|Preferred Stock|559.2|13.92|NS.PRC| NuStar Energy LP Cum Conv Perp Red Pfd Registered Shs Series C| 2.49%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|1.ASSET|Equity|488.5|22.37|AUB| Ahli United Bank BSC| 4.58%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|2.ASSET|Equity|488.5|20.27|COMI| Commercial International Bank (Egypt) SAE| 4.15%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|3.ASSET|Equity|488.5|16.41|HPG| Hoa Phat Group JSC| 3.36%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|4.ASSET|Equity|488.5|14.22|SCOM| Safaricom PLC| 2.91%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|5.ASSET|Equity|488.5|13.68|N/A| U.S. Dollar| 2.80%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|6.ASSET|Equity|488.5|13.43|VHM| Vinhomes JSC| 2.75%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|7.ASSET|Equity|488.5|13.24|BAP| Credicorp Ltd.| 2.71%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|8.ASSET|Equity|488.5|11.97|VIC| Vingroup Joint Stock Company| 2.45%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|9.ASSET|Equity|488.5|10.36|MSN| Masan Group Corporation| 2.12%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|10.ASSET|Equity|488.5|9.33|TLV| Banca Transilvania SA| 1.91%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|11.ASSET|Equity|488.5|9.13|VNM| Vietnam Dairy Products Corp.| 1.87%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|12.ASSET|Equity|488.5|8.74|IAM| Maroc Telecom SA| 1.79%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|13.ASSET|Equity|488.5|8.45|DANGCEM| Dangote Cement PLC| 1.73%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|14.ASSET|Equity|488.5|8.26|NVL| No Va Land Investment Group Corp.| 1.69%| Frontier Markets|Equity|Foreign Large Cap Equities||FM|6|15.ASSET|Equity|488.5|7.86|SCCO| Southern Copper Corporation| 1.61%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|1.ASSET|Bond|539.6|6.31|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 1.17%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|2.ASSET|Bond|539.6|5.83|N/A| T-Mobile USA, Inc. 3.75% 15-APR-2027| 1.08%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|3.ASSET|Bond|539.6|5.29|N/A| B.A.T. Capital Corp. 3.557% 15-AUG-2027| 0.98%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|4.ASSET|Bond|539.6|4.96|N/A| Amazon.com, Inc. 3.15% 22-AUG-2027| 0.92%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|5.ASSET|Bond|539.6|4.86|N/A| Microsoft Corporation 3.3% 06-FEB-2027| 0.90%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|6.ASSET|Bond|539.6|4.8|N/A| Broadcom Corporation 3.875% 15-JAN-2027| 0.89%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|7.ASSET|Bond|539.6|4.8|N/A| Verizon Communications Inc. 4.125% 16-MAR-2027| 0.89%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|8.ASSET|Bond|539.6|4.53|N/A| Morgan Stanley 3.625% 20-JAN-2027| 0.84%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|9.ASSET|Bond|539.6|4.32|N/A| Wells Fargo & Company 4.3% 22-JUL-2027| 0.80%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|10.ASSET|Bond|539.6|4.1|N/A| Goldman Sachs Group, Inc. 3.85% 26-JAN-2027| 0.76%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|11.ASSET|Bond|539.6|4.05|N/A| Oracle Corporation 3.25% 15-NOV-2027| 0.75%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|12.ASSET|Bond|539.6|3.99|N/A| Bank of America Corporation 3.248% 21-OCT-2027| 0.74%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|13.ASSET|Bond|539.6|3.94|N/A| United Airlines Pass Through Certificates Series 2020-1 5.875% 15-APR-2029| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|14.ASSET|Bond|539.6|3.83|N/A| Alibaba Group Holding Ltd. 3.4% 06-DEC-2027| 0.71%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDS|6|15.ASSET|Bond|539.6|3.4|N/A| QUALCOMM Incorporated 3.25% 20-MAY-2027| 0.63%| North America|Equity|Large Cap Blend Equities||FDRR|6|1.ASSET|Equity|605.6|43.91|AAPL| Apple Inc.| 7.25%| North America|Equity|Large Cap Blend Equities||FDRR|6|2.ASSET|Equity|605.6|39.12|MSFT| Microsoft Corporation| 6.46%| North America|Equity|Large Cap Blend Equities||FDRR|6|3.ASSET|Equity|605.6|13.02|JNJ| Johnson & Johnson| 2.15%| North America|Equity|Large Cap Blend Equities||FDRR|6|4.ASSET|Equity|605.6|11.26|ABBV| AbbVie, Inc.| 1.86%| North America|Equity|Large Cap Blend Equities||FDRR|6|5.ASSET|Equity|605.6|10.9|V| Visa Inc. Class A| 1.80%| North America|Equity|Large Cap Blend Equities||FDRR|6|6.ASSET|Equity|605.6|10.48|HD| Home Depot, Inc.| 1.73%| North America|Equity|Large Cap Blend Equities||FDRR|6|7.ASSET|Equity|605.6|10.11|PFE| Pfizer Inc.| 1.67%| North America|Equity|Large Cap Blend Equities||FDRR|6|8.ASSET|Equity|605.6|9.99|AVGO| Broadcom Inc.| 1.65%| North America|Equity|Large Cap Blend Equities||FDRR|6|9.ASSET|Equity|605.6|9.99|CSCO| Cisco Systems, Inc.| 1.65%| North America|Equity|Large Cap Blend Equities||FDRR|6|10.ASSET|Equity|605.6|9.81|JPM| JPMorgan Chase & Co.| 1.62%| North America|Equity|Large Cap Blend Equities||FDRR|6|11.ASSET|Equity|605.6|9.69|BMY| Bristol-Myers Squibb Company| 1.60%| North America|Equity|Large Cap Blend Equities||FDRR|6|12.ASSET|Equity|605.6|9.57|MRK| Merck & Co., Inc.| 1.58%| North America|Equity|Large Cap Blend Equities||FDRR|6|13.ASSET|Equity|605.6|9.45|INTC| Intel Corporation| 1.56%| North America|Equity|Large Cap Blend Equities||FDRR|6|14.ASSET|Equity|605.6|9.33|MDT| Medtronic Plc| 1.54%| North America|Equity|Large Cap Blend Equities||FDRR|6|15.ASSET|Equity|605.6|8.96|AMGN| Amgen Inc.| 1.48%| North America|Equity|Financials Equities|Financials|BIZD|6|1.ASSET|Equity|620.4|118.56|ARCC| Ares Capital Corporation| 19.11%| North America|Equity|Financials Equities|Financials|BIZD|6|2.ASSET|Equity|620.4|76.68|FSK| FS KKR Capital Corp.| 12.36%| North America|Equity|Financials Equities|Financials|BIZD|6|3.ASSET|Equity|620.4|56.89|ORCC| Owl Rock Capital Corporation| 9.17%| North America|Equity|Financials Equities|Financials|BIZD|6|4.ASSET|Equity|620.4|35.11|MAIN| Main Street Capital Corporation| 5.66%| North America|Equity|Financials Equities|Financials|BIZD|6|5.ASSET|Equity|620.4|29.59|HTGC| Hercules Capital, Inc.| 4.77%| North America|Equity|Financials Equities|Financials|BIZD|6|6.ASSET|Equity|620.4|29.1|PSEC| Prospect Capital Corporation| 4.69%| North America|Equity|Financials Equities|Financials|BIZD|6|7.ASSET|Equity|620.4|27.98|GSBD| Goldman Sachs BDC, Inc| 4.51%| North America|Equity|Financials Equities|Financials|BIZD|6|8.ASSET|Equity|620.4|27.92|GBDC| Golub Capital BDC, Inc.| 4.50%| North America|Equity|Financials Equities|Financials|BIZD|6|9.ASSET|Equity|620.4|26.74|TSLX| Sixth Street Specialty Lending, Inc.| 4.31%| North America|Equity|Financials Equities|Financials|BIZD|6|10.ASSET|Equity|620.4|21.71|NMFC| New Mountain Finance Corporation| 3.50%| North America|Equity|Financials Equities|Financials|BIZD|6|11.ASSET|Equity|620.4|21.65|OCSL| Oaktree Specialty Lending Corporation| 3.49%| North America|Equity|Financials Equities|Financials|BIZD|6|12.ASSET|Equity|620.4|14.77|AINV| Apollo Investment Corporation| 2.38%| North America|Equity|Financials Equities|Financials|BIZD|6|13.ASSET|Equity|620.4|14.58|TCPC| BlackRock TCP Capital Corp.| 2.35%| North America|Equity|Financials Equities|Financials|BIZD|6|14.ASSET|Equity|620.4|14.08|BCSF| Bain Capital Specialty Finance, Inc.| 2.27%| North America|Equity|Financials Equities|Financials|BIZD|6|15.ASSET|Equity|620.4|12.84|CGBD| TCG BDC, Inc.| 2.07%| Developed Markets|Equity|All Cap Equities||IPO|6|1.ASSET|Equity|271.6|19.91|UBER| Uber Technologies, Inc.| 7.33%| Developed Markets|Equity|All Cap Equities||IPO|6|2.ASSET|Equity|271.6|19.07|SNOW| Snowflake, Inc. Class A| 7.02%| Developed Markets|Equity|All Cap Equities||IPO|6|3.ASSET|Equity|271.6|14.86|DDOG| Datadog Inc Class A| 5.47%| Developed Markets|Equity|All Cap Equities||IPO|6|4.ASSET|Equity|271.6|14.39|CRWD| CrowdStrike Holdings, Inc. Class A| 5.30%| Developed Markets|Equity|All Cap Equities||IPO|6|5.ASSET|Equity|271.6|11.22|NET| Cloudflare Inc Class A| 4.13%| Developed Markets|Equity|All Cap Equities||IPO|6|6.ASSET|Equity|271.6|9.59|ZM| Zoom Video Communications, Inc. Class A| 3.53%| Developed Markets|Equity|All Cap Equities||IPO|6|7.ASSET|Equity|271.6|9.34|ABNB| Airbnb, Inc. Class A| 3.44%| Developed Markets|Equity|All Cap Equities||IPO|6|8.ASSET|Equity|271.6|8.12|COIN| Coinbase Global, Inc. Class A| 2.99%| Developed Markets|Equity|All Cap Equities||IPO|6|9.ASSET|Equity|271.6|7.79|BILL| Bill.com Holdings, Inc.| 2.87%| Developed Markets|Equity|All Cap Equities||IPO|6|10.ASSET|Equity|271.6|7.6|AVTR| Avantor, Inc.| 2.80%| Developed Markets|Equity|All Cap Equities||IPO|6|11.ASSET|Equity|271.6|7.25|PLTR| Palantir Technologies Inc. Class A| 2.67%| Developed Markets|Equity|All Cap Equities||IPO|6|12.ASSET|Equity|271.6|6.17|XPEV| XPeng, Inc. ADR Sponsored Class A| 2.27%| Developed Markets|Equity|All Cap Equities||IPO|6|13.ASSET|Equity|271.6|5.54|U| Unity Software, Inc.| 2.04%| Developed Markets|Equity|All Cap Equities||IPO|6|14.ASSET|Equity|271.6|5.49|DASH| DoorDash, Inc. Class A| 2.02%| Developed Markets|Equity|All Cap Equities||IPO|6|15.ASSET|Equity|271.6|5.3|CPNG| Coupang, Inc. Class A| 1.95%| Developed Markets|Equity|Materials|Materials|RING|6|1.ASSET|Equity|526.4|116.65|NEM| Newmont Corporation| 22.16%| Developed Markets|Equity|Materials|Materials|RING|6|2.ASSET|Equity|526.4|85.33|ABX| Barrick Gold Corporation| 16.21%| Developed Markets|Equity|Materials|Materials|RING|6|3.ASSET|Equity|526.4|44.53|AEM| Agnico Eagle Mines Limited| 8.46%| Developed Markets|Equity|Materials|Materials|RING|6|4.ASSET|Equity|526.4|25.9|GFI| Gold Fields Limited| 4.92%| Developed Markets|Equity|Materials|Materials|RING|6|5.ASSET|Equity|526.4|25.37|NCM| Newcrest Mining Limited| 4.82%| Developed Markets|Equity|Materials|Materials|RING|6|6.ASSET|Equity|526.4|24.74|WPM| Wheaton Precious Metals Corp| 4.70%| Developed Markets|Equity|Materials|Materials|RING|6|7.ASSET|Equity|526.4|23.64|ANG| AngloGold Ashanti Limited| 4.49%| Developed Markets|Equity|Materials|Materials|RING|6|8.ASSET|Equity|526.4|20.79|2899| Zijin Mining Group Co., Ltd. Class H| 3.95%| Developed Markets|Equity|Materials|Materials|RING|6|9.ASSET|Equity|526.4|16.11|K| Kinross Gold Corporation| 3.06%| Developed Markets|Equity|Materials|Materials|RING|6|10.ASSET|Equity|526.4|12.37|YRI| Yamana Gold Inc.| 2.35%| Developed Markets|Equity|Materials|Materials|RING|6|11.ASSET|Equity|526.4|11|SSRM| SSR Mining Inc| 2.09%| Developed Markets|Equity|Materials|Materials|RING|6|12.ASSET|Equity|526.4|10.9|BTO| B2Gold Corp.| 2.07%| Developed Markets|Equity|Materials|Materials|RING|6|13.ASSET|Equity|526.4|7.9|AGI| Alamos Gold Inc.| 1.50%| Developed Markets|Equity|Materials|Materials|RING|6|14.ASSET|Equity|526.4|7.53|HAR| Harmony Gold Mining Co. Ltd.| 1.43%| Developed Markets|Equity|Materials|Materials|RING|6|15.ASSET|Equity|526.4|7.42|PVG| Pretium Resources Inc.| 1.41%| North America|Equity|Small Cap Blend Equities||CALF|6|1.ASSET|Equity|800.8|21.14|PDCE| PDC Energy, Inc.| 2.64%| North America|Equity|Small Cap Blend Equities||CALF|6|2.ASSET|Equity|800.8|20.82|MATX| Matson, Inc.| 2.60%| North America|Equity|Small Cap Blend Equities||CALF|6|3.ASSET|Equity|800.8|20.02|BCC| Boise Cascade Co.| 2.50%| North America|Equity|Small Cap Blend Equities||CALF|6|4.ASSET|Equity|800.8|18.82|ABG| Asbury Automotive Group, Inc.| 2.35%| North America|Equity|Small Cap Blend Equities||CALF|6|5.ASSET|Equity|800.8|17.78|OI| O-I Glass Inc| 2.22%| North America|Equity|Small Cap Blend Equities||CALF|6|6.ASSET|Equity|800.8|17.7|SAH| Sonic Automotive, Inc. Class A| 2.21%| North America|Equity|Small Cap Blend Equities||CALF|6|7.ASSET|Equity|800.8|16.66|INVA| Innoviva, Inc.| 2.08%| North America|Equity|Small Cap Blend Equities||CALF|6|8.ASSET|Equity|800.8|16.1|BLMN| Bloomin\' Brands, Inc.| 2.01%| North America|Equity|Small Cap Blend Equities||CALF|6|9.ASSET|Equity|800.8|16.1|ABM| ABM Industries Incorporated| 2.01%| North America|Equity|Small Cap Blend Equities||CALF|6|10.ASSET|Equity|800.8|15.54|GPI| Group 1 Automotive, Inc.| 1.94%| North America|Equity|Small Cap Blend Equities||CALF|6|11.ASSET|Equity|800.8|15.3|HI| Hillenbrand, Inc.| 1.91%| North America|Equity|Small Cap Blend Equities||CALF|6|12.ASSET|Equity|800.8|14.49|AXL| American Axle & Manufacturing Holdings, Inc.| 1.81%| North America|Equity|Small Cap Blend Equities||CALF|6|13.ASSET|Equity|800.8|14.41|SLVM| Sylvamo Corporation| 1.80%| North America|Equity|Small Cap Blend Equities||CALF|6|14.ASSET|Equity|800.8|13.69|XPER| Xperi Holding Corporation| 1.71%| North America|Equity|Small Cap Blend Equities||CALF|6|15.ASSET|Equity|800.8|13.13|SIG| Signet Jewelers Limited| 1.64%| North America|Equity|Volatility Hedged Equity||FDLO|6|1.ASSET|Equity|445.9|28.76|MSFT| Microsoft Corporation| 6.45%| North America|Equity|Volatility Hedged Equity||FDLO|6|2.ASSET|Equity|445.9|18.55|GOOGL| Alphabet Inc. Class A| 4.16%| North America|Equity|Volatility Hedged Equity||FDLO|6|3.ASSET|Equity|445.9|16.63|AMZN| Amazon.com, Inc.| 3.73%| North America|Equity|Volatility Hedged Equity||FDLO|6|4.ASSET|Equity|445.9|8.43|V| Visa Inc. Class A| 1.89%| North America|Equity|Volatility Hedged Equity||FDLO|6|5.ASSET|Equity|445.9|7.98|UNH| UnitedHealth Group Incorporated| 1.79%| North America|Equity|Volatility Hedged Equity||FDLO|6|6.ASSET|Equity|445.9|7.76|MA| Mastercard Incorporated Class A| 1.74%| North America|Equity|Volatility Hedged Equity||FDLO|6|7.ASSET|Equity|445.9|7.71|JNJ| Johnson & Johnson| 1.73%| North America|Equity|Volatility Hedged Equity||FDLO|6|8.ASSET|Equity|445.9|7.05|INTC| Intel Corporation| 1.58%| North America|Equity|Volatility Hedged Equity||FDLO|6|9.ASSET|Equity|445.9|6.55|TXN| Texas Instruments Incorporated| 1.47%| North America|Equity|Volatility Hedged Equity||FDLO|6|10.ASSET|Equity|445.9|6.11|ORCL| Oracle Corporation| 1.37%| North America|Equity|Volatility Hedged Equity||FDLO|6|11.ASSET|Equity|445.9|6.02|ADP| Automatic Data Processing, Inc.| 1.35%| North America|Equity|Volatility Hedged Equity||FDLO|6|12.ASSET|Equity|445.9|5.8|PG| Procter & Gamble Company| 1.30%| North America|Equity|Volatility Hedged Equity||FDLO|6|13.ASSET|Equity|445.9|5.66|JKHY| Jack Henry & Associates, Inc.| 1.27%| North America|Equity|Volatility Hedged Equity||FDLO|6|14.ASSET|Equity|445.9|5.62|HD| Home Depot, Inc.| 1.26%| North America|Equity|Volatility Hedged Equity||FDLO|6|15.ASSET|Equity|445.9|5.53|PAYX| Paychex, Inc.| 1.24%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|1.ASSET|Bond|495.3|4.36|N/A| Gaz Capital SA 4.95% 06-FEB-2028| 0.88%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|2.ASSET|Bond|495.3|3.37|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.68%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|3.ASSET|Bond|495.3|2.48|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.50%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|4.ASSET|Bond|495.3|2.08|N/A| CORPORATE BOND| 0.42%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|5.ASSET|Bond|495.3|1.98|N/A| Sands China Ltd. 5.4% 08-AUG-2028| 0.40%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|6.ASSET|Bond|495.3|1.73|N/A| Sands China Ltd. 5.125% 08-AUG-2025| 0.35%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|7.ASSET|Bond|495.3|1.73|N/A| Ecopetrol SA 6.875% 29-APR-2030| 0.35%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|8.ASSET|Bond|495.3|1.63|N/A| Saudi Arabian Oil Co. 4.375% 16-APR-2049| 0.33%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|9.ASSET|Bond|495.3|1.63|N/A| Saudi Arabian Oil Co. 4.25% 16-APR-2039| 0.33%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|10.ASSET|Bond|495.3|1.58|N/A| Saudi Arabian Oil Co. 3.5% 16-APR-2029| 0.32%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|11.ASSET|Bond|495.3|1.54|N/A| Tullow Oil Plc 10.25% 15-MAY-2026| 0.31%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|12.ASSET|Bond|495.3|1.44|N/A| First Quantum Minerals Ltd. 6.875% 15-OCT-2027| 0.29%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|13.ASSET|Bond|495.3|1.44|N/A| Ecopetrol SA 5.875% 18-SEP-2023| 0.29%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|14.ASSET|Bond|495.3|1.39|N/A| Ecopetrol SA 5.875% 28-MAY-2045| 0.28%| Emerging Markets|Bond|Corporate Bonds|International Corporate|CEMB|6|15.ASSET|Bond|495.3|1.39|N/A| First Quantum Minerals Ltd. 7.5% 01-APR-2025| 0.28%| North America|Equity|Leveraged Equities||TZA|6|1.ASSET|Equity|363.3|231.75|DGCXX| Dreyfus Government Cash Management Funds Institutional| 63.79%| North America|Equity|Leveraged Equities||TZA|6|2.ASSET|Equity|363.3|139.76|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 38.47%| North America|Equity|Leveraged Equities||TZA|6|3.ASSET|Equity|363.3|-8.21|N/A| U.S. Dollar| -2.26%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|1.ASSET|Equity|348|27.7|ATVI| Activision Blizzard, Inc.| 7.96%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|2.ASSET|Equity|348|24.57|7974| Nintendo Co., Ltd.| 7.06%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|3.ASSET|Equity|348|22.06|EA| Electronic Arts Inc.| 6.34%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|4.ASSET|Equity|348|21.92|3659| NEXON Co., Ltd.| 6.30%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|5.ASSET|Equity|348|19.91|NTES| NetEase, Inc. Sponsored ADR| 5.72%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|6.ASSET|Equity|348|19.04|U| Unity Software, Inc.| 5.47%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|7.ASSET|Equity|348|17.5|TTWO| Take-Two Interactive Software, Inc.| 5.03%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|8.ASSET|Equity|348|16.91|ZNGA| Zynga Inc. Class A| 4.86%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|9.ASSET|Equity|348|14.2|259960| Krafton, Inc.| 4.08%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|10.ASSET|Equity|348|13.57|RBLX| Roblox Corp. Class A| 3.90%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|11.ASSET|Equity|348|12.95|BILI| Bilibili, Inc. Sponsored ADR Class Z| 3.72%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|12.ASSET|Equity|348|12.7|036570| NCsoft Corporation| 3.65%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|13.ASSET|Equity|348|12.49|9766| KONAMI HOLDINGS CORP| 3.59%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|14.ASSET|Equity|348|11.97|EMBRAC.B| Embracer Group AB Class B| 3.44%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|HERO|6|15.ASSET|Equity|348|11.83|UBI| Ubisoft Entertainment SA| 3.40%| North America|Equity|Long-Short||CSM|6|1.ASSET|Equity|510.6|29.41|N/A| U.S. Dollar| 5.76%| North America|Equity|Long-Short||CSM|6|2.ASSET|Equity|510.6|24.46|AAPL| Apple Inc.| 4.79%| North America|Equity|Long-Short||CSM|6|3.ASSET|Equity|510.6|20.73|MSFT| Microsoft Corporation| 4.06%| North America|Equity|Long-Short||CSM|6|4.ASSET|Equity|510.6|11.95|AMZN| Amazon.com, Inc.| 2.34%| North America|Equity|Long-Short||CSM|6|5.ASSET|Equity|510.6|6.54|GOOGL| Alphabet Inc. Class A| 1.28%| North America|Equity|Long-Short||CSM|6|6.ASSET|Equity|510.6|5.97|GOOG| Alphabet Inc. Class C| 1.17%| North America|Equity|Long-Short||CSM|6|7.ASSET|Equity|510.6|5.67|TSLA| Tesla Inc| 1.11%| North America|Equity|Long-Short||CSM|6|8.ASSET|Equity|510.6|4.39|BRK.B| Berkshire Hathaway Inc. Class B| 0.86%| North America|Equity|Long-Short||CSM|6|9.ASSET|Equity|510.6|4.34|NVDA| NVIDIA Corporation| 0.85%| North America|Equity|Long-Short||CSM|6|10.ASSET|Equity|510.6|4.34|XOM| Exxon Mobil Corporation| 0.85%| North America|Equity|Long-Short||CSM|6|11.ASSET|Equity|510.6|4.24|FB| Meta Platforms Inc. Class A| 0.83%| North America|Equity|Long-Short||CSM|6|12.ASSET|Equity|510.6|4.14|PFE| Pfizer Inc.| 0.81%| North America|Equity|Long-Short||CSM|6|13.ASSET|Equity|510.6|3.88|JNJ| Johnson & Johnson| 0.76%| North America|Equity|Long-Short||CSM|6|14.ASSET|Equity|510.6|3.52|ABT| Abbott Laboratories| 0.69%| North America|Equity|Long-Short||CSM|6|15.ASSET|Equity|510.6|3.06|VZ| Verizon Communications Inc.| 0.60%| North America|Equity|Leveraged Equities|Financials|DPST|6|1.ASSET|Equity|381.1|22.71|DGCXX| Dreyfus Government Cash Management Funds Institutional| 5.96%| North America|Equity|Leveraged Equities|Financials|DPST|6|2.ASSET|Equity|381.1|8.38|FHN| First Horizon Corporation| 2.20%| North America|Equity|Leveraged Equities|Financials|DPST|6|3.ASSET|Equity|381.1|6.75|MTB| M&T Bank Corporation| 1.77%| North America|Equity|Leveraged Equities|Financials|DPST|6|4.ASSET|Equity|381.1|6.71|PBCT| People\'s United Financial, Inc.| 1.76%| North America|Equity|Leveraged Equities|Financials|DPST|6|5.ASSET|Equity|381.1|6.36|CMA| Comerica Incorporated| 1.67%| North America|Equity|Leveraged Equities|Financials|DPST|6|6.ASSET|Equity|381.1|6.36|SBNY| Signature Bank| 1.67%| North America|Equity|Leveraged Equities|Financials|DPST|6|7.ASSET|Equity|381.1|6.29|EWBC| East West Bancorp, Inc.| 1.65%| North America|Equity|Leveraged Equities|Financials|DPST|6|8.ASSET|Equity|381.1|6.25|SNV| Synovus Financial Corp.| 1.64%| North America|Equity|Leveraged Equities|Financials|DPST|6|9.ASSET|Equity|381.1|6.21|ZION| Zions Bancorporation, N.A.| 1.63%| North America|Equity|Leveraged Equities|Financials|DPST|6|10.ASSET|Equity|381.1|6.17|CFG| Citizens Financial Group, Inc.| 1.62%| North America|Equity|Leveraged Equities|Financials|DPST|6|11.ASSET|Equity|381.1|6.06|RF| Regions Financial Corporation| 1.59%| North America|Equity|Leveraged Equities|Financials|DPST|6|12.ASSET|Equity|381.1|6.06|FITB| Fifth Third Bancorp| 1.59%| North America|Equity|Leveraged Equities|Financials|DPST|6|13.ASSET|Equity|381.1|6.06|KEY| KeyCorp| 1.59%| North America|Equity|Leveraged Equities|Financials|DPST|6|14.ASSET|Equity|381.1|5.87|TFC| Truist Financial Corporation| 1.54%| North America|Equity|Leveraged Equities|Financials|DPST|6|15.ASSET|Equity|381.1|5.68|HBAN| Huntington Bancshares Incorporated| 1.49%| North America|Equity|Large Cap Growth Equities||IQSU|6|1.ASSET|Equity|467.7|46.3|AAPL| Apple Inc.| 9.90%| North America|Equity|Large Cap Growth Equities||IQSU|6|2.ASSET|Equity|467.7|37.42|MSFT| Microsoft Corporation| 8.00%| North America|Equity|Large Cap Growth Equities||IQSU|6|3.ASSET|Equity|467.7|13.47|GOOGL| Alphabet Inc. Class A| 2.88%| North America|Equity|Large Cap Growth Equities||IQSU|6|4.ASSET|Equity|467.7|12.44|GOOG| Alphabet Inc. Class C| 2.66%| North America|Equity|Large Cap Growth Equities||IQSU|6|5.ASSET|Equity|467.7|12.07|TSLA| Tesla Inc| 2.58%| North America|Equity|Large Cap Growth Equities||IQSU|6|6.ASSET|Equity|467.7|9.77|NVDA| NVIDIA Corporation| 2.09%| North America|Equity|Large Cap Growth Equities||IQSU|6|7.ASSET|Equity|467.7|7.67|UNH| UnitedHealth Group Incorporated| 1.64%| North America|Equity|Large Cap Growth Equities||IQSU|6|8.ASSET|Equity|467.7|7.34|JNJ| Johnson & Johnson| 1.57%| North America|Equity|Large Cap Growth Equities||IQSU|6|9.ASSET|Equity|467.7|6.22|PG| Procter & Gamble Company| 1.33%| North America|Equity|Large Cap Growth Equities||IQSU|6|10.ASSET|Equity|467.7|5.89|V| Visa Inc. Class A| 1.26%| North America|Equity|Large Cap Growth Equities||IQSU|6|11.ASSET|Equity|467.7|5.8|HD| Home Depot, Inc.| 1.24%| North America|Equity|Large Cap Growth Equities||IQSU|6|12.ASSET|Equity|467.7|5.38|BAC| Bank of America Corp| 1.15%| North America|Equity|Large Cap Growth Equities||IQSU|6|13.ASSET|Equity|467.7|5|MA| Mastercard Incorporated Class A| 1.07%| North America|Equity|Large Cap Growth Equities||IQSU|6|14.ASSET|Equity|467.7|4.49|DIS| Walt Disney Company| 0.96%| North America|Equity|Large Cap Growth Equities||IQSU|6|15.ASSET|Equity|467.7|4.4|ABBV| AbbVie, Inc.| 0.94%| North America|Equity|Financials Equities|Financials|KBWD|6|1.ASSET|Equity|470.5|20.37|FSK| FS KKR Capital Corp.| 4.33%| North America|Equity|Financials Equities|Financials|KBWD|6|2.ASSET|Equity|470.5|19.81|NEWT| Newtek Business Services Corp.| 4.21%| North America|Equity|Financials Equities|Financials|KBWD|6|3.ASSET|Equity|470.5|18.11|EFC| Ellington Financial Inc.| 3.85%| North America|Equity|Financials Equities|Financials|KBWD|6|4.ASSET|Equity|470.5|16.89|RC| Ready Capital Corporation| 3.59%| North America|Equity|Financials Equities|Financials|KBWD|6|5.ASSET|Equity|470.5|16.09|ARR| ARMOUR Residential REIT, Inc.| 3.42%| North America|Equity|Financials Equities|Financials|KBWD|6|6.ASSET|Equity|470.5|15.9|ARI| Apollo Commercial Real Estate Finance, Inc.| 3.38%| North America|Equity|Financials Equities|Financials|KBWD|6|7.ASSET|Equity|470.5|15.81|TWO| Two Harbors Investment Corp.| 3.36%| North America|Equity|Financials Equities|Financials|KBWD|6|8.ASSET|Equity|470.5|15.57|GSBD| Goldman Sachs BDC, Inc| 3.31%| North America|Equity|Financials Equities|Financials|KBWD|6|9.ASSET|Equity|470.5|15.48|CGBD| TCG BDC, Inc.| 3.29%| North America|Equity|Financials Equities|Financials|KBWD|6|10.ASSET|Equity|470.5|15.43|PMT| PennyMac Mortgage Investment Trust| 3.28%| North America|Equity|Financials Equities|Financials|KBWD|6|11.ASSET|Equity|470.5|15.1|AINV| Apollo Investment Corporation| 3.21%| North America|Equity|Financials Equities|Financials|KBWD|6|12.ASSET|Equity|470.5|14.87|ORCC| Owl Rock Capital Corporation| 3.16%| North America|Equity|Financials Equities|Financials|KBWD|6|13.ASSET|Equity|470.5|14.87|NLY| Annaly Capital Management, Inc.| 3.16%| North America|Equity|Financials Equities|Financials|KBWD|6|14.ASSET|Equity|470.5|14.63|TCPC| BlackRock TCP Capital Corp.| 3.11%| North America|Equity|Financials Equities|Financials|KBWD|6|15.ASSET|Equity|470.5|14.63|BCSF| Bain Capital Specialty Finance, Inc.| 3.11%| North America|Equity|Materials|Materials|FMAT|6|1.ASSET|Equity|501.6|59.59|LIN| Linde plc| 11.88%| North America|Equity|Materials|Materials|FMAT|6|2.ASSET|Equity|501.6|28.34|FCX| Freeport-McMoRan, Inc.| 5.65%| North America|Equity|Materials|Materials|FMAT|6|3.ASSET|Equity|501.6|25.98|SHW| Sherwin-Williams Company| 5.18%| North America|Equity|Materials|Materials|FMAT|6|4.ASSET|Equity|501.6|22.32|NEM| Newmont Corporation| 4.45%| North America|Equity|Materials|Materials|FMAT|6|5.ASSET|Equity|501.6|20.72|APD| Air Products and Chemicals, Inc.| 4.13%| North America|Equity|Materials|Materials|FMAT|6|6.ASSET|Equity|501.6|17.86|ECL| Ecolab Inc.| 3.56%| North America|Equity|Materials|Materials|FMAT|6|7.ASSET|Equity|501.6|17.56|DOW| Dow, Inc.| 3.50%| North America|Equity|Materials|Materials|FMAT|6|8.ASSET|Equity|501.6|16|DD| DuPont de Nemours, Inc.| 3.19%| North America|Equity|Materials|Materials|FMAT|6|9.ASSET|Equity|501.6|15.8|NUE| Nucor Corporation| 3.15%| North America|Equity|Materials|Materials|FMAT|6|10.ASSET|Equity|501.6|15|CTVA| Corteva Inc| 2.99%| North America|Equity|Materials|Materials|FMAT|6|11.ASSET|Equity|501.6|13.24|IFF| International Flavors & Fragrances Inc.| 2.64%| North America|Equity|Materials|Materials|FMAT|6|12.ASSET|Equity|501.6|12.24|PPG| PPG Industries, Inc.| 2.44%| North America|Equity|Materials|Materials|FMAT|6|13.ASSET|Equity|501.6|11.44|BLL| Ball Corporation| 2.28%| North America|Equity|Materials|Materials|FMAT|6|14.ASSET|Equity|501.6|10.43|LYB| LyondellBasell Industries NV| 2.08%| North America|Equity|Materials|Materials|FMAT|6|15.ASSET|Equity|501.6|9.48|VMC| Vulcan Materials Company| 1.89%| |Commodity|Oil & Gas||DBO|6|1.ASSET|Commodity|529|367.71|N/A| MUTUAL FUND (OTHER)| 69.51%| |Commodity|Oil & Gas||DBO|6|2.ASSET|Commodity|529|43.27|CLTL| Invesco Treasury Collateral ETF| 8.18%| |Commodity|Oil & Gas||DBO|6|3.ASSET|Commodity|529|29.57|N/A| United States Treasury Bills 0.0% 07-APR-2022| 5.59%| |Commodity|Oil & Gas||DBO|6|4.ASSET|Commodity|529|29.52|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 5.58%| |Commodity|Oil & Gas||DBO|6|5.ASSET|Commodity|529|29.47|N/A| United States Treasury Bills 0.0% 04-AUG-2022| 5.57%| |Commodity|Oil & Gas||DBO|6|6.ASSET|Commodity|529|14.76|N/A| United States Treasury Bills 0.0% 02-JUN-2022| 2.79%| |Commodity|Oil & Gas||DBO|6|7.ASSET|Commodity|529|14.71|N/A| United States Treasury Bills 0.0% 01-SEP-2022| 2.78%| |Commodity|Oil & Gas||DBO|6|8.ASSET|Commodity|529|0|N/A| U.S. Dollar| 0.00%| Global|Commodity|Metals||DBB|6|1.ASSET|Commodity|654.1|455.58|N/A| MUTUAL FUND (OTHER)| 69.65%| Global|Commodity|Metals||DBB|6|2.ASSET|Commodity|654.1|46.51|CLTL| Invesco Treasury Collateral ETF| 7.11%| Global|Commodity|Metals||DBB|6|3.ASSET|Commodity|654.1|32.25|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 4.93%| Global|Commodity|Metals||DBB|6|4.ASSET|Commodity|654.1|32.18|N/A| United States Treasury Bills 0.0% 18-AUG-2022| 4.92%| Global|Commodity|Metals||DBB|6|5.ASSET|Commodity|654.1|19.36|N/A| United States Treasury Bills 0.0% 21-APR-2022| 2.96%| Global|Commodity|Metals||DBB|6|6.ASSET|Commodity|654.1|19.3|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 2.95%| Global|Commodity|Metals||DBB|6|7.ASSET|Commodity|654.1|16.74|N/A| TREASURY ISSUES (LONG-TERM)| 2.56%| Global|Commodity|Metals||DBB|6|8.ASSET|Commodity|654.1|16.74|N/A| United States Treasury Bills 0.0% 28-APR-2022| 2.56%| Global|Commodity|Metals||DBB|6|9.ASSET|Commodity|654.1|15.5|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 2.37%| Global|Commodity|Metals||DBB|6|10.ASSET|Commodity|654.1|0|N/A| U.S. Dollar| 0.00%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|1.ASSET|Equity|726.4|68.79|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 9.47%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|2.ASSET|Equity|726.4|48.23|700| Tencent Holdings Ltd.| 6.64%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|3.ASSET|Equity|726.4|24.99|005930| Samsung Electronics Co., Ltd.| 3.44%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|4.ASSET|Equity|726.4|17.58|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 2.42%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|5.ASSET|Equity|726.4|10.24|939| China Construction Bank Corporation Class H| 1.41%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|6.ASSET|Equity|726.4|8.14|3690| Meituan Class B| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|7.ASSET|Equity|726.4|7.7|500209| Infosys Limited| 1.06%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|8.ASSET|Equity|726.4|7.19|500010| Housing Development Finance Corporation Limited| 0.99%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|9.ASSET|Equity|726.4|6.97|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.96%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|10.ASSET|Equity|726.4|6.83|1398| Industrial and Commercial Bank of China Limited Class H| 0.94%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|11.ASSET|Equity|726.4|6.17|532540| Tata Consultancy Services Limited| 0.85%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|12.ASSET|Equity|726.4|5.96|JD| JD.com, Inc. Sponsored ADR Class A| 0.82%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|13.ASSET|Equity|726.4|4.94|2454| MediaTek Inc| 0.68%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|14.ASSET|Equity|726.4|4.5|1120| Al Rajhi Bank| 0.62%| Emerging Markets|Equity|Emerging Markets Equities||EMCR|6|15.ASSET|Equity|726.4|4.5|2269| Wuxi Biologics (Cayman) Inc.| 0.62%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|1.ASSET|Bond|383.9|67.49|N/A| GNMA II 30yr Pool#MA7766 2.000% 20-Dec-2051 2.0% 20-DEC-2051| 17.58%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|2.ASSET|Bond|383.9|27.22|N/A| GNMA II 30yr Pool#MA7534 2.500% 20-Aug-2051 2.5% 20-AUG-2051| 7.09%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|3.ASSET|Bond|383.9|20.77|N/A| GNMA II 30yr Pool#MA7472 2.500% 20-Jul-2051 2.5% 20-JUL-2051| 5.41%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|4.ASSET|Bond|383.9|17.12|N/A| GNMA II 30yr Pool#MA7192 2.000% 20-Feb-2051 2.0% 20-FEB-2051| 4.46%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|5.ASSET|Bond|383.9|14.7|N/A| GNMA II 30yr Pool#MA6766 3.000% 20-Jul-2050 3.0% 20-JUL-2050| 3.83%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|6.ASSET|Bond|383.9|12.98|N/A| GNMA II 30yr Pool#BW4651 2.500% 20-Aug-2050 2.5% 20-AUG-2050| 3.38%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|7.ASSET|Bond|383.9|11.98|N/A| GNMA II 30yr Pool#MA6600 3.500% 20-Apr-2050 3.5% 20-APR-2050| 3.12%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|8.ASSET|Bond|383.9|11.48|N/A| GNMA II 30yr Pool#MA6599 3.000% 20-Apr-2050 3.0% 20-APR-2050| 2.99%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|9.ASSET|Bond|383.9|8.71|N/A| GNMA II 30yr Pool#MA4778 3.500% 20-Oct-2047 3.5% 20-OCT-2047| 2.27%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|10.ASSET|Bond|383.9|8.68|N/A| GNMA II 30yr Pool#MA5595 4.000% 20-Nov-2048 4.0% 20-NOV-2048| 2.26%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|11.ASSET|Bond|383.9|8.48|N/A| GNMA II 30yr Pool#MA6864 2.000% 20-Sep-2050 2.0% 20-SEP-2050| 2.21%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|12.ASSET|Bond|383.9|8.25|N/A| GNMA II 30yr Pool#MA7650 3.000% 20-Oct-2051 3.0% 20-OCT-2051| 2.15%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|13.ASSET|Bond|383.9|6.83|N/A| GNMA II 30yr Pool#MA7705 2.500% 20-Nov-2051 2.5% 20-NOV-2051| 1.78%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|14.ASSET|Bond|383.9|6.6|N/A| GNMA II 30yr Pool#MA7367 2.500% 20-May-2051 2.5% 20-MAY-2051| 1.72%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GNMA|6|15.ASSET|Bond|383.9|5.45|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.42%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|1.ASSET|Equity|425.9|30.45|STM| STMicroelectronics NV| 7.15%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|2.ASSET|Equity|425.9|26.66|DXCM| DexCom, Inc.| 6.26%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|3.ASSET|Equity|425.9|25.89|2395| Advantech Co., Ltd.| 6.08%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|4.ASSET|Equity|425.9|23.08|ST| Sensata Technologies Holding PLC| 5.42%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|5.ASSET|Equity|425.9|21.72|GRMN| Garmin Ltd.| 5.10%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|6.ASSET|Equity|425.9|21.59|SWKS| Skyworks Solutions, Inc.| 5.07%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|7.ASSET|Equity|425.9|16.65|SLAB| Silicon Laboratories Inc.| 3.91%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|8.ASSET|Equity|425.9|15.2|ADT| ADT, Inc.| 3.57%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|9.ASSET|Equity|425.9|13.5|3529| eMemory Technology, Inc.| 3.17%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|10.ASSET|Equity|425.9|12.69|NOD| Nordic Semiconductor ASA| 2.98%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|11.ASSET|Equity|425.9|11.37|QCOM| Qualcomm Inc| 2.67%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|12.ASSET|Equity|425.9|10.82|2454| MediaTek Inc| 2.54%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|13.ASSET|Equity|425.9|10.39|AMS| ams-OSRAM AG| 2.44%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|14.ASSET|Equity|425.9|9.58|CSCO| Cisco Systems, Inc.| 2.25%| Developed Markets|Equity|Technology Equities|Technology|SNSR|6|15.ASSET|Equity|425.9|9.16|AMBA| Ambarella, Inc.| 2.15%| North America|Equity|Financials Equities|Financials|RYF|6|1.ASSET|Equity|530.3|9.23|MTB| M&T Bank Corporation| 1.74%| North America|Equity|Financials Equities|Financials|RYF|6|2.ASSET|Equity|530.3|9.17|ALL| Allstate Corporation| 1.73%| North America|Equity|Financials Equities|Financials|RYF|6|3.ASSET|Equity|530.3|9.12|PBCT| People\'s United Financial, Inc.| 1.72%| North America|Equity|Financials Equities|Financials|RYF|6|4.ASSET|Equity|530.3|9.07|BRK.B| Berkshire Hathaway Inc. Class B| 1.71%| North America|Equity|Financials Equities|Financials|RYF|6|5.ASSET|Equity|530.3|9.02|WRB| W. R. Berkley Corporation| 1.70%| North America|Equity|Financials Equities|Financials|RYF|6|6.ASSET|Equity|530.3|8.96|TRV| Travelers Companies, Inc.| 1.69%| North America|Equity|Financials Equities|Financials|RYF|6|7.ASSET|Equity|530.3|8.96|PGR| Progressive Corporation| 1.69%| North America|Equity|Financials Equities|Financials|RYF|6|8.ASSET|Equity|530.3|8.8|AXP| American Express Company| 1.66%| North America|Equity|Financials Equities|Financials|RYF|6|9.ASSET|Equity|530.3|8.8|MET| MetLife, Inc.| 1.66%| North America|Equity|Financials Equities|Financials|RYF|6|10.ASSET|Equity|530.3|8.8|AIZ| Assurant, Inc.| 1.66%| North America|Equity|Financials Equities|Financials|RYF|6|11.ASSET|Equity|530.3|8.8|AIG| American International Group, Inc.| 1.66%| North America|Equity|Financials Equities|Financials|RYF|6|12.ASSET|Equity|530.3|8.7|RJF| Raymond James Financial, Inc.| 1.64%| North America|Equity|Financials Equities|Financials|RYF|6|13.ASSET|Equity|530.3|8.7|RE| Everest Re Group, Ltd.| 1.64%| North America|Equity|Financials Equities|Financials|RYF|6|14.ASSET|Equity|530.3|8.7|GL| Globe Life Inc.| 1.64%| North America|Equity|Financials Equities|Financials|RYF|6|15.ASSET|Equity|530.3|8.64|L| Loews Corporation| 1.63%| North America|Equity|Materials|Materials|FXZ|6|1.ASSET|Equity|625.6|33.91|STLD| Steel Dynamics, Inc.| 5.42%| North America|Equity|Materials|Materials|FXZ|6|2.ASSET|Equity|625.6|33.84|X| United States Steel Corporation| 5.41%| North America|Equity|Materials|Materials|FXZ|6|3.ASSET|Equity|625.6|33.78|NUE| Nucor Corporation| 5.40%| North America|Equity|Materials|Materials|FXZ|6|4.ASSET|Equity|625.6|32.59|RS| Reliance Steel & Aluminum Co.| 5.21%| North America|Equity|Materials|Materials|FXZ|6|5.ASSET|Equity|625.6|30.59|MOS| Mosaic Company| 4.89%| North America|Equity|Materials|Materials|FXZ|6|6.ASSET|Equity|625.6|29.65|LYB| LyondellBasell Industries NV| 4.74%| North America|Equity|Materials|Materials|FXZ|6|7.ASSET|Equity|625.6|29.09|WLK| Westlake Corporation| 4.65%| North America|Equity|Materials|Materials|FXZ|6|8.ASSET|Equity|625.6|25.84|FCX| Freeport-McMoRan, Inc.| 4.13%| North America|Equity|Materials|Materials|FXZ|6|9.ASSET|Equity|625.6|25.46|HUN| Huntsman Corporation| 4.07%| North America|Equity|Materials|Materials|FXZ|6|10.ASSET|Equity|625.6|24.52|OLN| Olin Corporation| 3.92%| North America|Equity|Materials|Materials|FXZ|6|11.ASSET|Equity|625.6|24.34|SLVM| Sylvamo Corporation| 3.89%| North America|Equity|Materials|Materials|FXZ|6|12.ASSET|Equity|625.6|24.27|CLF| Cleveland-Cliffs Inc| 3.88%| North America|Equity|Materials|Materials|FXZ|6|13.ASSET|Equity|625.6|23.33|DOW| Dow, Inc.| 3.73%| North America|Equity|Materials|Materials|FXZ|6|14.ASSET|Equity|625.6|20.33|AA| Alcoa Corporation| 3.25%| North America|Equity|Materials|Materials|FXZ|6|15.ASSET|Equity|625.6|19.08|CE| Celanese Corporation| 3.05%| North America|Bond|National Munis|Municipal Bond|MMIN|6|1.ASSET|Bond|460|23.78|DEIXX| Dreyfus Tax Exempt Cash Management Funds Institutional| 5.17%| North America|Bond|National Munis|Municipal Bond|MMIN|6|2.ASSET|Bond|460|5.34|N/A| Hudson Yds Infrastructure Corp N Y Second Indenture Rev 4.0% 15-FEB-2047| 1.16%| North America|Bond|National Munis|Municipal Bond|MMIN|6|3.ASSET|Bond|460|5.2|N/A| Tolomato Cmnty Dev Dist Fla 4.0% 01-MAY-2040| 1.13%| North America|Bond|National Munis|Municipal Bond|MMIN|6|4.ASSET|Bond|460|5.15|N/A| Eagle Garfield & Routt Cntys Colo Sch Dist Re50Jcyfs Partn 4.0% 01-DEC-2046| 1.12%| North America|Bond|National Munis|Municipal Bond|MMIN|6|5.ASSET|Bond|460|4.55|N/A| West Virginia St Hosp Fin Auth Hosp Rev 4.0% 01-JUN-2051| 0.99%| North America|Bond|National Munis|Municipal Bond|MMIN|6|6.ASSET|Bond|460|4.46|N/A| Grand Forks N D Health Care Sys Rev 3.0% 01-DEC-2039| 0.97%| North America|Bond|National Munis|Municipal Bond|MMIN|6|7.ASSET|Bond|460|4.23|N/A| West Contra Costa Calif Uni Sch Dist 4.0% 01-AUG-2049| 0.92%| North America|Bond|National Munis|Municipal Bond|MMIN|6|8.ASSET|Bond|460|3.96|N/A| Crystal Vy Colo Met Dist No 2 4.0% 01-DEC-2044| 0.86%| North America|Bond|National Munis|Municipal Bond|MMIN|6|9.ASSET|Bond|460|3.82|N/A| Central Fla Expwy Auth Sr Lienrev 4.0% 01-JUL-2034| 0.83%| North America|Bond|National Munis|Municipal Bond|MMIN|6|10.ASSET|Bond|460|3.68|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev VAR 15-JUN-2049| 0.80%| North America|Bond|National Munis|Municipal Bond|MMIN|6|11.ASSET|Bond|460|3.54|N/A| Medford Ore Hosp Facs Auth Rev 4.0% 15-AUG-2045| 0.77%| North America|Bond|National Munis|Municipal Bond|MMIN|6|12.ASSET|Bond|460|3.36|N/A| Elgin Tex 4.0% 15-JUL-2040| 0.73%| North America|Bond|National Munis|Municipal Bond|MMIN|6|13.ASSET|Bond|460|3.31|N/A| Metropolitan Wash D C Arpts Auth Dulles Toll Rdrev 4.0% 01-OCT-2052| 0.72%| North America|Bond|National Munis|Municipal Bond|MMIN|6|14.ASSET|Bond|460|3.13|N/A| MUNICIPAL BONDS| 0.68%| North America|Bond|National Munis|Municipal Bond|MMIN|6|15.ASSET|Bond|460|3.04|N/A| Illinois St 5.0% 01-NOV-2024| 0.66%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|1.ASSET|Bond|420.2|14.54|N/A| CORPORATE BOND| 3.46%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|2.ASSET|Bond|420.2|6.3|N/A| VMware, Inc. 4.65% 15-MAY-2027| 1.50%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|3.ASSET|Bond|420.2|6.09|N/A| Southwest Airlines Co. 5.25% 04-MAY-2025| 1.45%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|4.ASSET|Bond|420.2|5.46|N/A| Barclays Plc 4.836% 09-MAY-2028| 1.30%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|5.ASSET|Bond|420.2|5.46|N/A| HSBC Holdings Plc 1.589% 24-MAY-2027| 1.30%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|6.ASSET|Bond|420.2|4.96|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 1.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|7.ASSET|Bond|420.2|4.87|N/A| Boeing Company 2.196% 04-FEB-2026| 1.16%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|8.ASSET|Bond|420.2|4.83|N/A| Bank of America Corporation 4.25% 22-OCT-2026| 1.15%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|9.ASSET|Bond|420.2|4.79|N/A| AerCap Ireland Capital DAC 3.15% 15-FEB-2024| 1.14%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|10.ASSET|Bond|420.2|4.54|N/A| CoStar Group, Inc. 2.8% 15-JUL-2030| 1.08%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|11.ASSET|Bond|420.2|4.37|N/A| Ally Financial Inc. 8.0% 01-NOV-2031| 1.04%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|12.ASSET|Bond|420.2|4.33|N/A| Wells Fargo & Company 2.393% 02-JUN-2028| 1.03%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|13.ASSET|Bond|420.2|4.29|N/A| Anheuser-Busch Inbev Worldwide, Inc. 4.375% 15-APR-2038| 1.02%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|14.ASSET|Bond|420.2|4.2|N/A| Paramount Global 2.9% 15-JAN-2027| 1.00%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|IG|6|15.ASSET|Bond|420.2|4.08|N/A| Spirit Realty, L.P. 3.2% 15-JAN-2027| 0.97%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|1.ASSET|Multi-Asset|576.2|31.52|N/A| U.S. Dollar| 5.47%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|2.ASSET|Multi-Asset|576.2|14.23|N/A| Barclays Plc 8.0% PERP| 2.47%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|3.ASSET|Multi-Asset|576.2|12.73|N/A| Highlands Holdings Bond Issuer Ltd. 7.625% 15-OCT-2025| 2.21%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|4.ASSET|Multi-Asset|576.2|10.54|CMCF| JPMorgan Chase & Co Deposit Shs Repr 1/10th Non-Cum Perp Pfd Shs Ser-V| 1.83%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|5.ASSET|Multi-Asset|576.2|10.26|N/A| AerCap Holdings NV 5.875% 10-OCT-2079| 1.78%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|6.ASSET|Multi-Asset|576.2|10.03|N/A| CORPORATE BOND| 1.74%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|7.ASSET|Multi-Asset|576.2|8.47|WFC.PRL| Wells Fargo & Company 7.5 % Non Cum Perp Conv Pfd Registered Shs A Series L| 1.47%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|8.ASSET|Multi-Asset|576.2|8.3|C4135527| Citigroup Inc. Deposit Shs Repr 1/25th Non-Cum Pfd Shs Series D| 1.44%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|9.ASSET|Multi-Asset|576.2|8.18|TFC4923642| Truist Financial Corporation Depositary Shs Repr 1/25thPerp Non-Cum Red Pfd Registered Shs Series N| 1.42%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|10.ASSET|Multi-Asset|576.2|8.07|N/A| Emera Incorporated 6.75% 15-JUN-2076| 1.40%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|11.ASSET|Multi-Asset|576.2|8.07|N/A| BNP Paribas S.A. 4.625% PERP| 1.40%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|12.ASSET|Multi-Asset|576.2|8.01|N/A| EQUITY OTHER| 1.39%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|13.ASSET|Multi-Asset|576.2|8.01|N/A| Enbridge Inc. 6.0% 15-JAN-2077| 1.39%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|14.ASSET|Multi-Asset|576.2|7.55|EIX.AA| Southern California Edison Co Pref Shs Series E| 1.31%| Developed Markets|Multi-Asset|Preferred Stock/Convertible Bonds||FPEI|6|15.ASSET|Multi-Asset|576.2|7.49|PGR4609765| Progressive Corp Cum Perp Pfd Registered Shs Series B| 1.30%| Global|Equity|Technology Equities|Technology|GINN|6|1.ASSET|Equity|416.3|8.58|NVDA| NVIDIA Corporation| 2.06%| Global|Equity|Technology Equities|Technology|GINN|6|2.ASSET|Equity|416.3|8.45|MSFT| Microsoft Corporation| 2.03%| Global|Equity|Technology Equities|Technology|GINN|6|3.ASSET|Equity|416.3|8.33|AMZN| Amazon.com, Inc.| 2.00%| Global|Equity|Technology Equities|Technology|GINN|6|4.ASSET|Equity|416.3|8.33|AAPL| Apple Inc.| 2.00%| Global|Equity|Technology Equities|Technology|GINN|6|5.ASSET|Equity|416.3|8.2|TSLA| Tesla Inc| 1.97%| Global|Equity|Technology Equities|Technology|GINN|6|6.ASSET|Equity|416.3|8.12|GOOGL| Alphabet Inc. Class A| 1.95%| Global|Equity|Technology Equities|Technology|GINN|6|7.ASSET|Equity|416.3|7.58|FB| Meta Platforms Inc. Class A| 1.82%| Global|Equity|Technology Equities|Technology|GINN|6|8.ASSET|Equity|416.3|4.62|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.11%| Global|Equity|Technology Equities|Technology|GINN|6|9.ASSET|Equity|416.3|4.08|INTC| Intel Corporation| 0.98%| Global|Equity|Technology Equities|Technology|GINN|6|10.ASSET|Equity|416.3|3.41|JNJ| Johnson & Johnson| 0.82%| Global|Equity|Technology Equities|Technology|GINN|6|11.ASSET|Equity|416.3|3.12|ROG| Roche Holding Ltd| 0.75%| Global|Equity|Technology Equities|Technology|GINN|6|12.ASSET|Equity|416.3|2.91|SQ| Block Inc Class A| 0.70%| Global|Equity|Technology Equities|Technology|GINN|6|13.ASSET|Equity|416.3|2.79|PFE| Pfizer Inc.| 0.67%| Global|Equity|Technology Equities|Technology|GINN|6|14.ASSET|Equity|416.3|2.75|700| Tencent Holdings Ltd.| 0.66%| Global|Equity|Technology Equities|Technology|GINN|6|15.ASSET|Equity|416.3|2.75|V| Visa Inc. Class A| 0.66%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|1.ASSET|Equity|410.9|20.59|OMCL| Omnicell, Inc.| 5.01%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|2.ASSET|Equity|410.9|17.92|AMN| AMN Healthcare Services, Inc.| 4.36%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|3.ASSET|Equity|410.9|15.49|ENSG| Ensign Group, Inc.| 3.77%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|4.ASSET|Equity|410.9|14.67|CNMD| CONMED Corporation| 3.57%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|5.ASSET|Equity|410.9|12.41|LNTH| Lantheus Holdings Inc| 3.02%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|6.ASSET|Equity|410.9|11.55|MMSI| Merit Medical Systems, Inc.| 2.81%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|7.ASSET|Equity|410.9|11.09|OMI| Owens & Minor, Inc.| 2.70%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|8.ASSET|Equity|410.9|11.09|PCRX| Pacira Biosciences, Inc.| 2.70%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|9.ASSET|Equity|410.9|11.01|CYTK| Cytokinetics, Incorporated| 2.68%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|10.ASSET|Equity|410.9|10.48|PBH| Prestige Consumer Healthcare Inc| 2.55%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|11.ASSET|Equity|410.9|9.45|ITGR| Integer Holdings Corporation| 2.30%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|12.ASSET|Equity|410.9|8.96|NEO| NeoGenomics, Inc.| 2.18%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|13.ASSET|Equity|410.9|8.96|GKOS| Glaukos Corp| 2.18%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|14.ASSET|Equity|410.9|8.88|SEM| Select Medical Holdings Corporation| 2.16%| North America|Equity|Health & Biotech Equities|Healthcare|PSCH|6|15.ASSET|Equity|410.9|8.63|MDRX| Allscripts Healthcare Solutions, Inc.| 2.10%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|1.ASSET|Bond|414|50.51|N/A| MUTUAL FUND (OTHER)| 12.20%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|2.ASSET|Bond|414|45.17|N/A| MUTUAL FUND (OTHER)| 10.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|3.ASSET|Bond|414|30.06|N/A| United States Treasury Notes 0.25% 30-SEP-2023| 7.26%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|4.ASSET|Bond|414|29.56|N/A| United States Treasury Notes 0.25% 30-SEP-2023| 7.14%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|5.ASSET|Bond|414|21.69|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 5.24%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|6.ASSET|Bond|414|21.4|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 5.17%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|7.ASSET|Bond|414|20.66|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 4.99%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|8.ASSET|Bond|414|20.37|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 4.92%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|9.ASSET|Bond|414|10.31|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 2.49%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|10.ASSET|Bond|414|10.18|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 2.46%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|11.ASSET|Bond|414|8.07|N/A| Golden Credit Card Trust, Series 2017-4 A 0.62814% 15-JUL-2024| 1.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|12.ASSET|Bond|414|7.95|N/A| Golden Credit Card Trust, Series 2017-4 A 0.62814% 15-JUL-2024| 1.92%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|13.ASSET|Bond|414|7.25|N/A| Master Credit Card Trust II, Series 2018-1 A 0.59814% 21-JUL-2024| 1.75%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|14.ASSET|Bond|414|7.25|N/A| United States Treasury Bills 0.0% 08-MAR-2022| 1.75%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULST|6|15.ASSET|Bond|414|7.12|N/A| BX Commercial Mortgage Trust 2021-VOLT A 0.891% 15-SEP-2038| 1.72%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|1.ASSET|Equity|799.6|86.52|CVX| Chevron Corporation| 10.82%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|2.ASSET|Equity|799.6|82.04|XOM| Exxon Mobil Corporation| 10.26%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|3.ASSET|Equity|799.6|37.5|COP| ConocoPhillips| 4.69%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|4.ASSET|Equity|799.6|30.86|ENB| Enbridge Inc.| 3.86%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|5.ASSET|Equity|799.6|24.71|FCX| Freeport-McMoRan, Inc.| 3.09%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|6.ASSET|Equity|799.6|23.91|EOG| EOG Resources, Inc.| 2.99%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|7.ASSET|Equity|799.6|23.19|CNQ| Canadian Natural Resources Limited| 2.90%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|8.ASSET|Equity|799.6|19.35|NEM| Newmont Corporation| 2.42%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|9.ASSET|Equity|799.6|19.19|PXD| Pioneer Natural Resources Company| 2.40%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|10.ASSET|Equity|799.6|18.55|SLB| Schlumberger NV| 2.32%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|11.ASSET|Equity|799.6|18.39|TRP| TC Energy Corporation| 2.30%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|12.ASSET|Equity|799.6|16.23|MPC| Marathon Petroleum Corporation| 2.03%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|13.ASSET|Equity|799.6|15.75|SU| Suncor Energy Inc.| 1.97%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|14.ASSET|Equity|799.6|14.63|GOLD| Barrick Gold Corporation| 1.83%| North America|Equity|Large Cap Blend Equities|Materials|IGE|6|15.ASSET|Equity|799.6|14.55|OXY| Occidental Petroleum Corporation| 1.82%| North America|Equity|All Cap Equities||EUSA|6|1.ASSET|Equity|479.5|1.63|SPGI| S&P Global, Inc.| 0.34%| North America|Equity|All Cap Equities||EUSA|6|2.ASSET|Equity|479.5|0.96|N/A| MUTUAL FUND (OTHER)| 0.20%| North America|Equity|All Cap Equities||EUSA|6|3.ASSET|Equity|479.5|0.96|SEDG| SolarEdge Technologies, Inc.| 0.20%| North America|Equity|All Cap Equities||EUSA|6|4.ASSET|Equity|479.5|0.96|LMT| Lockheed Martin Corporation| 0.20%| North America|Equity|All Cap Equities||EUSA|6|5.ASSET|Equity|479.5|0.96|LDOS| Leidos Holdings, Inc.| 0.20%| North America|Equity|All Cap Equities||EUSA|6|6.ASSET|Equity|479.5|0.96|OXY| Occidental Petroleum Corporation| 0.20%| North America|Equity|All Cap Equities||EUSA|6|7.ASSET|Equity|479.5|0.91|CHRW| C.H. Robinson Worldwide, Inc.| 0.19%| North America|Equity|All Cap Equities||EUSA|6|8.ASSET|Equity|479.5|0.91|HII| Huntington Ingalls Industries, Inc.| 0.19%| North America|Equity|All Cap Equities||EUSA|6|9.ASSET|Equity|479.5|0.91|LHX| L3Harris Technologies Inc| 0.19%| North America|Equity|All Cap Equities||EUSA|6|10.ASSET|Equity|479.5|0.91|NOC| Northrop Grumman Corporation| 0.19%| North America|Equity|All Cap Equities||EUSA|6|11.ASSET|Equity|479.5|0.91|IRM| Iron Mountain, Inc.| 0.19%| North America|Equity|All Cap Equities||EUSA|6|12.ASSET|Equity|479.5|0.91|STLD| Steel Dynamics, Inc.| 0.19%| North America|Equity|All Cap Equities||EUSA|6|13.ASSET|Equity|479.5|0.91|BAH| Booz Allen Hamilton Holding Corporation Class A| 0.19%| North America|Equity|All Cap Equities||EUSA|6|14.ASSET|Equity|479.5|0.91|ETSY| Etsy, Inc.| 0.19%| North America|Equity|All Cap Equities||EUSA|6|15.ASSET|Equity|479.5|0.91|ELAN| Elanco Animal Health, Inc.| 0.19%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|1.ASSET|Multi-Asset|468.7|89.43|HYLS| First Trust Tactical High Yield ETF| 19.08%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|2.ASSET|Multi-Asset|468.7|6.98|SHLX| Shell Midstream Partners LP| 1.49%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|3.ASSET|Multi-Asset|468.7|6.75|USAC| USA Compression Partners LP| 1.44%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|4.ASSET|Multi-Asset|468.7|6.28|IEP| Icahn Enterprises L.P.| 1.34%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|5.ASSET|Multi-Asset|468.7|6.05|OHI| Omega Healthcare Investors, Inc.| 1.29%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|6.ASSET|Multi-Asset|468.7|6|NLY| Annaly Capital Management, Inc.| 1.28%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|7.ASSET|Multi-Asset|468.7|5.77|NYMT| New York Mortgage Trust, Inc.| 1.23%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|8.ASSET|Multi-Asset|468.7|5.62|PMT| PennyMac Mortgage Investment Trust| 1.20%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|9.ASSET|Multi-Asset|468.7|5.48|KREF| KKR Real Estate Finance Trust Inc.| 1.17%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|10.ASSET|Multi-Asset|468.7|5.48|DMLP| Dorchester Minerals, L.P.| 1.17%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|11.ASSET|Multi-Asset|468.7|5.3|BXMT| Blackstone Mortgage Trust, Inc. Class A| 1.13%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|12.ASSET|Multi-Asset|468.7|5.16|NHI| National Health Investors, Inc.| 1.10%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|13.ASSET|Multi-Asset|468.7|5.11|AGNC| AGNC Investment Corp.| 1.09%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|14.ASSET|Multi-Asset|468.7|5.06|NS| NuStar Energy L.P.| 1.08%| North America|Multi-Asset|Diversified Portfolio||MDIV|6|15.ASSET|Multi-Asset|468.7|4.87|PSXP| Phillips 66 Partners LP| 1.04%| North America|Equity|Leveraged Equities||DDM|6|1.ASSET|Equity|410.2|35.65|UNH| UnitedHealth Group Incorporated| 8.69%| North America|Equity|Leveraged Equities||DDM|6|2.ASSET|Equity|410.2|32.65|N/A| U.S. Dollar| 7.96%| North America|Equity|Leveraged Equities||DDM|6|3.ASSET|Equity|410.2|24.69|GS| Goldman Sachs Group, Inc.| 6.02%| North America|Equity|Leveraged Equities||DDM|6|4.ASSET|Equity|410.2|24.04|HD| Home Depot, Inc.| 5.86%| North America|Equity|Leveraged Equities||DDM|6|5.ASSET|Equity|410.2|22.03|MSFT| Microsoft Corporation| 5.37%| North America|Equity|Leveraged Equities||DDM|6|6.ASSET|Equity|410.2|17.68|MCD| McDonald\'s Corporation| 4.31%| North America|Equity|Leveraged Equities||DDM|6|7.ASSET|Equity|410.2|16.78|AMGN| Amgen Inc.| 4.09%| North America|Equity|Leveraged Equities||DDM|6|8.ASSET|Equity|410.2|15.46|CRM| salesforce.com, inc.| 3.77%| North America|Equity|Leveraged Equities||DDM|6|9.ASSET|Equity|410.2|15.3|V| Visa Inc. Class A| 3.73%| North America|Equity|Leveraged Equities||DDM|6|10.ASSET|Equity|410.2|14.52|BA| Boeing Company| 3.54%| North America|Equity|Leveraged Equities||DDM|6|11.ASSET|Equity|410.2|14.15|CAT| Caterpillar Inc.| 3.45%| North America|Equity|Leveraged Equities||DDM|6|12.ASSET|Equity|410.2|13.7|HON| Honeywell International Inc.| 3.34%| North America|Equity|Leveraged Equities||DDM|6|13.ASSET|Equity|410.2|13.25|AXP| American Express Company| 3.23%| North America|Equity|Leveraged Equities||DDM|6|14.ASSET|Equity|410.2|12.76|TRV| Travelers Companies, Inc.| 3.11%| North America|Equity|Leveraged Equities||DDM|6|15.ASSET|Equity|410.2|12.22|AAPL| Apple Inc.| 2.98%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|1.ASSET|Equity|426.7|8.19|IMP| Impala Platinum Holdings Limited| 1.92%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|2.ASSET|Equity|426.7|7.72|SSW| Sibanye Stillwater Limited| 1.81%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|3.ASSET|Equity|426.7|6.61|PETR4| Petroleo Brasileiro SA Pfd| 1.55%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|4.ASSET|Equity|426.7|5.89|500440| Hindalco Industries Limited| 1.38%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|5.ASSET|Equity|426.7|5.8|2409| Au Optronics Corp.| 1.36%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|6.ASSET|Equity|426.7|5.68|MTN| MTN Group Limited| 1.33%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|7.ASSET|Equity|426.7|5.59|1171| Yankuang Energy Group Company Limited Class H| 1.31%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|8.ASSET|Equity|426.7|5.5|1378| China Hongqiao Group Ltd.| 1.29%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|9.ASSET|Equity|426.7|5.46|500400| Tata Power Company Limited| 1.28%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|10.ASSET|Equity|426.7|5.46|VALE3| Vale S.A.| 1.28%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|11.ASSET|Equity|426.7|5.29|SOL| Sasol Limited| 1.24%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|12.ASSET|Equity|426.7|5.25|688| China Overseas Land & Investment Limited| 1.23%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|13.ASSET|Equity|426.7|5.21|GGBR4| Gerdau SA Pfd| 1.22%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|14.ASSET|Equity|426.7|5.16|500295| Vedanta Limited| 1.21%| Emerging Markets|Equity|Emerging Markets Equities||FEM|6|15.ASSET|Equity|426.7|5.12|2380| China Power International Development Ltd| 1.20%| North America|Equity|All Cap Equities|Technology|PSJ|6|1.ASSET|Equity|276.7|15.85|CDNS| Cadence Design Systems, Inc.| 5.73%| North America|Equity|All Cap Equities|Technology|PSJ|6|2.ASSET|Equity|276.7|14.83|SNPS| Synopsys, Inc.| 5.36%| North America|Equity|All Cap Equities|Technology|PSJ|6|3.ASSET|Equity|276.7|14.19|MSFT| Microsoft Corporation| 5.13%| North America|Equity|All Cap Equities|Technology|PSJ|6|4.ASSET|Equity|276.7|14.08|DDOG| Datadog Inc Class A| 5.09%| North America|Equity|All Cap Equities|Technology|PSJ|6|5.ASSET|Equity|276.7|13.95|SSNC| SS&C Technologies Holdings, Inc.| 5.04%| North America|Equity|All Cap Equities|Technology|PSJ|6|6.ASSET|Equity|276.7|13.84|CERN| Cerner Corporation| 5.00%| North America|Equity|All Cap Equities|Technology|PSJ|6|7.ASSET|Equity|276.7|13.67|RBLX| Roblox Corp. Class A| 4.94%| North America|Equity|All Cap Equities|Technology|PSJ|6|8.ASSET|Equity|276.7|13.64|ATVI| Activision Blizzard, Inc.| 4.93%| North America|Equity|All Cap Equities|Technology|PSJ|6|9.ASSET|Equity|276.7|8.3|PLTK| Playtika Holding Corp.| 3.00%| North America|Equity|All Cap Equities|Technology|PSJ|6|10.ASSET|Equity|276.7|8.27|SGFY| Signify Health, Inc. Class A| 2.99%| North America|Equity|All Cap Equities|Technology|PSJ|6|11.ASSET|Equity|276.7|8.08|NLOK| NortonLifeLock Inc.| 2.92%| North America|Equity|All Cap Equities|Technology|PSJ|6|12.ASSET|Equity|276.7|8.08|ROKU| Roku, Inc. Class A| 2.92%| North America|Equity|All Cap Equities|Technology|PSJ|6|13.ASSET|Equity|276.7|8.05|DOCS| Doximity, Inc. Class A| 2.91%| North America|Equity|All Cap Equities|Technology|PSJ|6|14.ASSET|Equity|276.7|8|MANH| Manhattan Associates, Inc.| 2.89%| North America|Equity|All Cap Equities|Technology|PSJ|6|15.ASSET|Equity|276.7|7.91|SPSC| SPS Commerce, Inc.| 2.86%| North America|Equity|Technology Equities|Technology|PSCT|6|1.ASSET|Equity|473.9|18.29|ROG| Rogers Corporation| 3.86%| North America|Equity|Technology Equities|Technology|PSCT|6|2.ASSET|Equity|473.9|18.15|VG| Vonage Holdings Corp.| 3.83%| North America|Equity|Technology Equities|Technology|PSCT|6|3.ASSET|Equity|473.9|16.87|SPSC| SPS Commerce, Inc.| 3.56%| North America|Equity|Technology Equities|Technology|PSCT|6|4.ASSET|Equity|473.9|15.45|ONTO| Onto Innovation, Inc.| 3.26%| North America|Equity|Technology Equities|Technology|PSCT|6|5.ASSET|Equity|473.9|15.35|MXL| MaxLinear, Inc.| 3.24%| North America|Equity|Technology Equities|Technology|PSCT|6|6.ASSET|Equity|473.9|14.74|EXLS| ExlService Holdings, Inc.| 3.11%| North America|Equity|Technology Equities|Technology|PSCT|6|7.ASSET|Equity|473.9|14.41|DIOD| Diodes Incorporated| 3.04%| North America|Equity|Technology Equities|Technology|PSCT|6|8.ASSET|Equity|473.9|14.03|VIAV| Viavi Solutions Inc| 2.96%| North America|Equity|Technology Equities|Technology|PSCT|6|9.ASSET|Equity|473.9|13.32|FN| Fabrinet| 2.81%| North America|Equity|Technology Equities|Technology|PSCT|6|10.ASSET|Equity|473.9|13.17|NSIT| Insight Enterprises, Inc.| 2.78%| North America|Equity|Technology Equities|Technology|PSCT|6|11.ASSET|Equity|473.9|12.56|PRFT| Perficient, Inc.| 2.65%| North America|Equity|Technology Equities|Technology|PSCT|6|12.ASSET|Equity|473.9|11.94|AEIS| Advanced Energy Industries, Inc.| 2.52%| North America|Equity|Technology Equities|Technology|PSCT|6|13.ASSET|Equity|473.9|11.75|KLIC| Kulicke & Soffa Industries, Inc.| 2.48%| North America|Equity|Technology Equities|Technology|PSCT|6|14.ASSET|Equity|473.9|11.71|FORM| FormFactor, Inc.| 2.47%| North America|Equity|Technology Equities|Technology|PSCT|6|15.ASSET|Equity|473.9|11.28|ALRM| Alarm.com Holdings, Inc.| 2.38%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|1.ASSET|Bond|823.1|71.45|N/A| U.S. Dollar| 8.68%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|2.ASSET|Bond|823.1|12.84|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 1.56%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|3.ASSET|Bond|823.1|9.63|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 1.17%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|4.ASSET|Bond|823.1|8.4|N/A| United States Treasury Notes 0.125% 30-JUN-2023| 1.02%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|5.ASSET|Bond|823.1|8.31|N/A| United States Treasury Notes 0.875% 30-SEP-2026| 1.01%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|6.ASSET|Bond|823.1|7.74|N/A| United States Treasury Notes 0.125% 15-SEP-2023| 0.94%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|7.ASSET|Bond|823.1|7.65|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 0.93%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|8.ASSET|Bond|823.1|7|N/A| United States Treasury Notes 0.25% 15-APR-2023| 0.85%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|9.ASSET|Bond|823.1|6.34|N/A| United States Treasury Notes 0.75% 15-NOV-2024| 0.77%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|10.ASSET|Bond|823.1|6.01|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 0.73%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|11.ASSET|Bond|823.1|5.76|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 0.70%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|12.ASSET|Bond|823.1|5.68|N/A| United States Treasury Notes 1.25% 30-JUN-2028| 0.69%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|13.ASSET|Bond|823.1|5.68|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 0.69%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|14.ASSET|Bond|823.1|5.43|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 0.66%| North America|Bond|Total Bond Market|Total Bond Market|EUSB|6|15.ASSET|Bond|823.1|4.94|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 0.60%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|1.ASSET|Bond|452.6|4.39|N/A| Petroleos Mexicanos SA 7.69% 23-JAN-2050| 0.97%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|2.ASSET|Bond|452.6|3.98|N/A| Petroleos Mexicanos SA 6.7% 16-FEB-2032| 0.88%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|3.ASSET|Bond|452.6|3.98|TBBYL4.F| BlackRock Cash Funds Prime SL Agency Shares| 0.88%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|4.ASSET|Bond|452.6|3.85|N/A| Industrial and Commercial Bank of China Limited 3.2% PERP| 0.85%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|5.ASSET|Bond|452.6|3.67|N/A| Government of Argentina 1.125% 09-JUL-2035| 0.81%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|6.ASSET|Bond|452.6|3.67|N/A| Government of Ecuador 1.0% 31-JUL-2035| 0.81%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|7.ASSET|Bond|452.6|3.12|N/A| Government of Argentina 0.5% 09-JUL-2030| 0.69%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|8.ASSET|Bond|452.6|2.72|N/A| Petroleos Mexicanos SA 6.75% 21-SEP-2047| 0.60%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|9.ASSET|Bond|452.6|2.67|N/A| Government of Brazil 4.25% 07-JAN-2025| 0.59%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|10.ASSET|Bond|452.6|2.58|N/A| Government of Argentina 2.0% 09-JAN-2038| 0.57%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|11.ASSET|Bond|452.6|2.53|N/A| Petroleos Mexicanos SA 6.5% 13-MAR-2027| 0.56%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|12.ASSET|Bond|452.6|2.35|N/A| CORPORATE BOND| 0.52%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|13.ASSET|Bond|452.6|2.31|N/A| Government of Colombia 5.0% 15-JUN-2045| 0.51%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|14.ASSET|Bond|452.6|2.17|N/A| Petroleos Mexicanos SA 5.95% 28-JAN-2031| 0.48%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMHY|6|15.ASSET|Bond|452.6|2.17|N/A| Government of Argentina 2.5% 09-JUL-2041| 0.48%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|1.ASSET|Equity|302|12.77|VLD| Velo3D, Inc.| 4.23%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|2.ASSET|Equity|302|11.72|ALTR| Altair Engineering Inc. Class A| 3.88%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|3.ASSET|Equity|302|10.51|FARO| FARO Technologies, Inc.| 3.48%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|4.ASSET|Equity|302|10.39|MSFT| Microsoft Corporation| 3.44%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|5.ASSET|Equity|302|10.27|DM| Desktop Metal, Inc. Class A| 3.40%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|6.ASSET|Equity|302|10.12|ANSS| ANSYS, Inc.| 3.35%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|7.ASSET|Equity|302|10.06|PTC| PTC Inc.| 3.33%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|8.ASSET|Equity|302|9.97|PRLB| Proto Labs, Inc.| 3.30%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|9.ASSET|Equity|302|9.97|TRMB| Trimble Inc.| 3.30%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|10.ASSET|Equity|302|9.75|DSY| Dassault Systemes SA| 3.23%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|11.ASSET|Equity|302|9.66|SSYS| Stratasys Ltd.| 3.20%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|12.ASSET|Equity|302|9.6|AM3D| SLM Solutions Group AG| 3.18%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|13.ASSET|Equity|302|9.45|NNDM| Nano Dimension Ltd Sponsored ADR| 3.13%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|14.ASSET|Equity|302|9.39|MTLS| Materialise NV Sponsored ADR| 3.11%| Developed Markets|Equity|Technology Equities|Technology|PRNT|6|15.ASSET|Equity|302|9.21|ADSK| Autodesk, Inc.| 3.05%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|1.ASSET|Equity|526.7|36.61|AAL| Anglo American plc| 6.95%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|2.ASSET|Equity|526.7|34.55|BHP| BHP Group Ltd| 6.56%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|3.ASSET|Equity|526.7|31.55|NOVO.B| Novo Nordisk A/S Class B| 5.99%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|4.ASSET|Equity|526.7|29.28|MC| LVMH Moet Hennessy Louis Vuitton SE| 5.56%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|5.ASSET|Equity|526.7|20.28|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.85%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|6.ASSET|Equity|526.7|18.75|8035| Tokyo Electron Ltd.| 3.56%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|7.ASSET|Equity|526.7|17.7|RO| Roche Holding AG| 3.36%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|8.ASSET|Equity|526.7|17.54|VALE3| Vale S.A.| 3.33%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|9.ASSET|Equity|526.7|16.49|ITX| Industria de Diseno Textil, S.A.| 3.13%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|10.ASSET|Equity|526.7|15.06|2454| MediaTek Inc| 2.86%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|11.ASSET|Equity|526.7|13.96|ASML| ASML Holding NV| 2.65%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|12.ASSET|Equity|526.7|11.69|HLAG| Hapag-Lloyd AG| 2.22%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|13.ASSET|Equity|526.7|9.74|KER| Kering SA| 1.85%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|14.ASSET|Equity|526.7|8.16|500209| Infosys Limited| 1.55%| Broad Asia|Equity|Foreign Large Cap Equities||DNL|6|15.ASSET|Equity|526.7|7.95|PGHN| Partners Group Holding AG| 1.51%| North America|Equity|Large Cap Growth Equities||USXF|6|1.ASSET|Equity|683.4|85.15|MSFT| Microsoft Corporation| 12.46%| North America|Equity|Large Cap Growth Equities||USXF|6|2.ASSET|Equity|683.4|24.06|NVDA| NVIDIA Corporation| 3.52%| North America|Equity|Large Cap Growth Equities||USXF|6|3.ASSET|Equity|683.4|13.87|V| Visa Inc. Class A| 2.03%| North America|Equity|Large Cap Growth Equities||USXF|6|4.ASSET|Equity|683.4|13.6|HD| Home Depot, Inc.| 1.99%| North America|Equity|Large Cap Growth Equities||USXF|6|5.ASSET|Equity|683.4|12.03|MA| Mastercard Incorporated Class A| 1.76%| North America|Equity|Large Cap Growth Equities||USXF|6|6.ASSET|Equity|683.4|10.18|KO| Coca-Cola Company| 1.49%| North America|Equity|Large Cap Growth Equities||USXF|6|7.ASSET|Equity|683.4|9.43|CSCO| Cisco Systems, Inc.| 1.38%| North America|Equity|Large Cap Growth Equities||USXF|6|8.ASSET|Equity|683.4|9.02|PEP| PepsiCo, Inc.| 1.32%| North America|Equity|Large Cap Growth Equities||USXF|6|9.ASSET|Equity|683.4|8.95|ADBE| Adobe Inc.| 1.31%| North America|Equity|Large Cap Growth Equities||USXF|6|10.ASSET|Equity|683.4|8.88|VZ| Verizon Communications Inc.| 1.30%| North America|Equity|Large Cap Growth Equities||USXF|6|11.ASSET|Equity|683.4|8.75|TMO| Thermo Fisher Scientific Inc.| 1.28%| North America|Equity|Large Cap Growth Equities||USXF|6|12.ASSET|Equity|683.4|8.2|LLY| Eli Lilly and Company| 1.20%| North America|Equity|Large Cap Growth Equities||USXF|6|13.ASSET|Equity|683.4|8.2|CRM| salesforce.com, inc.| 1.20%| North America|Equity|Large Cap Growth Equities||USXF|6|14.ASSET|Equity|683.4|7.72|AMD| Advanced Micro Devices, Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||USXF|6|15.ASSET|Equity|683.4|7.04|DHR| Danaher Corporation| 1.03%| North America|Equity|Mid Cap Value Equities||IMCV|6|1.ASSET|Equity|497.9|5.13|CNC| Centene Corporation| 1.03%| North America|Equity|Mid Cap Value Equities||IMCV|6|2.ASSET|Equity|497.9|4.73|SYY| Sysco Corporation| 0.95%| North America|Equity|Mid Cap Value Equities||IMCV|6|3.ASSET|Equity|497.9|4.68|ADM| Archer-Daniels-Midland Company| 0.94%| North America|Equity|Mid Cap Value Equities||IMCV|6|4.ASSET|Equity|497.9|4.48|MCK| McKesson Corporation| 0.90%| North America|Equity|Mid Cap Value Equities||IMCV|6|5.ASSET|Equity|497.9|4.33|GIS| General Mills, Inc.| 0.87%| North America|Equity|Mid Cap Value Equities||IMCV|6|6.ASSET|Equity|497.9|4.28|DD| DuPont de Nemours, Inc.| 0.86%| North America|Equity|Mid Cap Value Equities||IMCV|6|7.ASSET|Equity|497.9|4.23|HPQ| HP Inc.| 0.85%| North America|Equity|Mid Cap Value Equities||IMCV|6|8.ASSET|Equity|497.9|4.03|WMB| Williams Companies, Inc.| 0.81%| North America|Equity|Mid Cap Value Equities||IMCV|6|9.ASSET|Equity|497.9|3.98|DVN| Devon Energy Corporation| 0.80%| North America|Equity|Mid Cap Value Equities||IMCV|6|10.ASSET|Equity|497.9|3.93|PSX| Phillips 66| 0.79%| North America|Equity|Mid Cap Value Equities||IMCV|6|11.ASSET|Equity|497.9|3.93|AFL| Aflac Incorporated| 0.79%| North America|Equity|Mid Cap Value Equities||IMCV|6|12.ASSET|Equity|497.9|3.83|XEL| Xcel Energy Inc.| 0.77%| North America|Equity|Mid Cap Value Equities||IMCV|6|13.ASSET|Equity|497.9|3.73|ALL| Allstate Corporation| 0.75%| North America|Equity|Mid Cap Value Equities||IMCV|6|14.ASSET|Equity|497.9|3.58|IFF| International Flavors & Fragrances Inc.| 0.72%| North America|Equity|Mid Cap Value Equities||IMCV|6|15.ASSET|Equity|497.9|3.58|AMP| Ameriprise Financial, Inc.| 0.72%| |Commodity|Oil & Gas||UNG|6|1.ASSET|Commodity|373.6|373.6|N/A| Natural Gas| 100.00%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|1.ASSET|Equity|192.3|0.96|MGGT| Meggitt PLC| 0.50%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|2.ASSET|Equity|192.3|0.94|RMV| Rightmove plc| 0.49%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|3.ASSET|Equity|192.3|0.9|BME| B&M European Value Retail SA| 0.47%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|4.ASSET|Equity|192.3|0.88|SIGN| SIG Combibloc Group Ltd| 0.46%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|5.ASSET|Equity|192.3|0.88|AER| AerCap Holdings NV| 0.46%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|6.ASSET|Equity|192.3|0.83|HWDN| Howden Joinery Group PLC| 0.43%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|7.ASSET|Equity|192.3|0.83|ICP| Intermediate Capital Group plc| 0.43%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|8.ASSET|Equity|192.3|0.81|BIRG| Bank of Ireland Group Plc| 0.42%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|9.ASSET|Equity|192.3|0.81|RHM| Rheinmetall AG| 0.42%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|10.ASSET|Equity|192.3|0.81|LIGHT| Signify NV| 0.42%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|11.ASSET|Equity|192.3|0.77|ECM| Electrocomponents plc| 0.40%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|12.ASSET|Equity|192.3|0.77|SMDS| DS Smith Plc| 0.40%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|13.ASSET|Equity|192.3|0.75|CNA| Centrica plc| 0.39%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|14.ASSET|Equity|192.3|0.75|INDT| Indutrade AB| 0.39%| Developed Europe|Equity|Europe Equities|Technology|IEUS|6|15.ASSET|Equity|192.3|0.73|DPH| Dechra Pharmaceuticals PLC| 0.38%| Global|Equity|Foreign Large Cap Equities||VIDI|6|1.ASSET|Equity|419|3.77|N/A| U.S. Dollar| 0.90%| Global|Equity|Foreign Large Cap Equities||VIDI|6|2.ASSET|Equity|419|2.97|2343| Pacific Basin Shipping Limited| 0.71%| Global|Equity|Foreign Large Cap Equities||VIDI|6|3.ASSET|Equity|419|2.89|L| Loblaw Companies Limited| 0.69%| Global|Equity|Foreign Large Cap Equities||VIDI|6|4.ASSET|Equity|419|2.77|MTN| MTN Group Limited| 0.66%| Global|Equity|Foreign Large Cap Equities||VIDI|6|5.ASSET|Equity|419|2.72|RCL.R| Regional Container Lines Public Co. Ltd. NVDR| 0.65%| Global|Equity|Foreign Large Cap Equities||VIDI|6|6.ASSET|Equity|419|2.72|IMP| Impala Platinum Holdings Limited| 0.65%| Global|Equity|Foreign Large Cap Equities||VIDI|6|7.ASSET|Equity|419|2.68|ZIM| ZIM Integrated Shipping Services Ltd.| 0.64%| Global|Equity|Foreign Large Cap Equities||VIDI|6|8.ASSET|Equity|419|2.64|EQNR| Equinor ASA| 0.63%| Global|Equity|Foreign Large Cap Equities||VIDI|6|9.ASSET|Equity|419|2.51|SSAB.A| SSAB AB Class A| 0.60%| Global|Equity|Foreign Large Cap Equities||VIDI|6|10.ASSET|Equity|419|2.51|MOWI| Mowi ASA| 0.60%| Global|Equity|Foreign Large Cap Equities||VIDI|6|11.ASSET|Equity|419|2.47|RIO| Rio Tinto Limited| 0.59%| Global|Equity|Foreign Large Cap Equities||VIDI|6|12.ASSET|Equity|419|2.47|316| Orient Overseas (International) Limited| 0.59%| Global|Equity|Foreign Large Cap Equities||VIDI|6|13.ASSET|Equity|419|2.47|HAR| Harmony Gold Mining Co. Ltd.| 0.59%| Global|Equity|Foreign Large Cap Equities||VIDI|6|14.ASSET|Equity|419|2.47|AAL| Anglo American plc| 0.59%| Global|Equity|Foreign Large Cap Equities||VIDI|6|15.ASSET|Equity|419|2.47|BS6| Yangzijiang Shipbuilding (Holdings) Ltd.| 0.59%| North America|Real Estate|Real Estate|Real Estate|SRET|6|1.ASSET|Real Estate|386.4|13.72|WPC| W. P. Carey Inc.| 3.55%| North America|Real Estate|Real Estate|Real Estate|SRET|6|2.ASSET|Real Estate|386.4|13.64|ACRE| Ares Commercial Real Estate Corporation| 3.53%| North America|Real Estate|Real Estate|Real Estate|SRET|6|3.ASSET|Real Estate|386.4|13.56|KREF| KKR Real Estate Finance Trust Inc.| 3.51%| North America|Real Estate|Real Estate|Real Estate|SRET|6|4.ASSET|Real Estate|386.4|13.49|GLPI| Gaming and Leisure Properties, Inc.| 3.49%| North America|Real Estate|Real Estate|Real Estate|SRET|6|5.ASSET|Real Estate|386.4|13.49|SRU.UT| SmartCentres Real Estate Investment Trust| 3.49%| North America|Real Estate|Real Estate|Real Estate|SRET|6|6.ASSET|Real Estate|386.4|13.29|T82U| Suntec Real Estate Investment Trust| 3.44%| North America|Real Estate|Real Estate|Real Estate|SRET|6|7.ASSET|Real Estate|386.4|13.25|BXMT| Blackstone Mortgage Trust, Inc. Class A| 3.43%| North America|Real Estate|Real Estate|Real Estate|SRET|6|8.ASSET|Real Estate|386.4|13.21|MGP| MGM Growth Properties LLC Class A| 3.42%| North America|Real Estate|Real Estate|Real Estate|SRET|6|9.ASSET|Real Estate|386.4|13.18|NWH.UT| NorthWest Healthcare Properties Real Estate Investment Trust| 3.41%| North America|Real Estate|Real Estate|Real Estate|SRET|6|10.ASSET|Real Estate|386.4|13.18|CLW| Charter Hall Long WALE REIT| 3.41%| North America|Real Estate|Real Estate|Real Estate|SRET|6|11.ASSET|Real Estate|386.4|13.14|EFC| Ellington Financial Inc.| 3.40%| North America|Real Estate|Real Estate|Real Estate|SRET|6|12.ASSET|Real Estate|386.4|13.06|C38U| CapitaLand Integrated Commercial Trust| 3.38%| North America|Real Estate|Real Estate|Real Estate|SRET|6|13.ASSET|Real Estate|386.4|12.94|K71U| Keppel REIT| 3.35%| North America|Real Estate|Real Estate|Real Estate|SRET|6|14.ASSET|Real Estate|386.4|12.91|PMT| PennyMac Mortgage Investment Trust| 3.34%| North America|Real Estate|Real Estate|Real Estate|SRET|6|15.ASSET|Real Estate|386.4|12.91|GTY| Getty Realty Corp.| 3.34%| North America|Equity|Small Cap Growth Equities||ISCG|6|1.ASSET|Equity|362.4|1.74|WH| Wyndham Hotels & Resorts, Inc.| 0.48%| North America|Equity|Small Cap Growth Equities||ISCG|6|2.ASSET|Equity|362.4|1.74|WSC| WillScot Mobile Mini Holdings Corp. Class A| 0.48%| North America|Equity|Small Cap Growth Equities||ISCG|6|3.ASSET|Equity|362.4|1.7|EGP| EastGroup Properties, Inc.| 0.47%| North America|Equity|Small Cap Growth Equities||ISCG|6|4.ASSET|Equity|362.4|1.52|RNR| RenaissanceRe Holdings Ltd.| 0.42%| North America|Equity|Small Cap Growth Equities||ISCG|6|5.ASSET|Equity|362.4|1.52|PLNT| Planet Fitness, Inc. Class A| 0.42%| North America|Equity|Small Cap Growth Equities||ISCG|6|6.ASSET|Equity|362.4|1.52|PSTG| Pure Storage, Inc. Class A| 0.42%| North America|Equity|Small Cap Growth Equities||ISCG|6|7.ASSET|Equity|362.4|1.49|SRPT| Sarepta Therapeutics, Inc.| 0.41%| North America|Equity|Small Cap Growth Equities||ISCG|6|8.ASSET|Equity|362.4|1.49|INSP| Inspire Medical Systems, Inc.| 0.41%| North America|Equity|Small Cap Growth Equities||ISCG|6|9.ASSET|Equity|362.4|1.49|EXEL| Exelixis, Inc.| 0.41%| North America|Equity|Small Cap Growth Equities||ISCG|6|10.ASSET|Equity|362.4|1.45|COHR| Coherent, Inc.| 0.40%| North America|Equity|Small Cap Growth Equities||ISCG|6|11.ASSET|Equity|362.4|1.41|FCNCA| First Citizens BancShares, Inc. Class A| 0.39%| North America|Equity|Small Cap Growth Equities||ISCG|6|12.ASSET|Equity|362.4|1.41|SWAV| Shockwave Medical, Inc.| 0.39%| North America|Equity|Small Cap Growth Equities||ISCG|6|13.ASSET|Equity|362.4|1.38|LFUS| Littelfuse, Inc.| 0.38%| North America|Equity|Small Cap Growth Equities||ISCG|6|14.ASSET|Equity|362.4|1.34|EEFT| Euronet Worldwide, Inc.| 0.37%| North America|Equity|Small Cap Growth Equities||ISCG|6|15.ASSET|Equity|362.4|1.34|SLAB| Silicon Laboratories Inc.| 0.37%| North America|Equity|Energy Equities|Energy|TPYP|6|1.ASSET|Equity|524.9|40.36|WMB| Williams Companies, Inc.| 7.69%| North America|Equity|Energy Equities|Energy|TPYP|6|2.ASSET|Equity|524.9|40.31|TRP| TC Energy Corporation| 7.68%| North America|Equity|Energy Equities|Energy|TPYP|6|3.ASSET|Equity|524.9|39.73|ENB| Enbridge Inc.| 7.57%| North America|Equity|Energy Equities|Energy|TPYP|6|4.ASSET|Equity|524.9|37.32|KMI| Kinder Morgan Inc Class P| 7.11%| North America|Equity|Energy Equities|Energy|TPYP|6|5.ASSET|Equity|524.9|31.86|EPD| Enterprise Products Partners L.P.| 6.07%| North America|Equity|Energy Equities|Energy|TPYP|6|6.ASSET|Equity|524.9|30.92|OKE| ONEOK, Inc.| 5.89%| North America|Equity|Energy Equities|Energy|TPYP|6|7.ASSET|Equity|524.9|23.15|TRGP| Targa Resources Corp.| 4.41%| North America|Equity|Energy Equities|Energy|TPYP|6|8.ASSET|Equity|524.9|22.94|ET| Energy Transfer, L.P.| 4.37%| North America|Equity|Energy Equities|Energy|TPYP|6|9.ASSET|Equity|524.9|22.94|LNG| Cheniere Energy, Inc.| 4.37%| North America|Equity|Energy Equities|Energy|TPYP|6|10.ASSET|Equity|524.9|21.84|ATO| Atmos Energy Corporation| 4.16%| North America|Equity|Energy Equities|Energy|TPYP|6|11.ASSET|Equity|524.9|21.47|PPL| Pembina Pipeline Corporation| 4.09%| North America|Equity|Energy Equities|Energy|TPYP|6|12.ASSET|Equity|524.9|20.79|NI| NiSource Inc| 3.96%| North America|Equity|Energy Equities|Energy|TPYP|6|13.ASSET|Equity|524.9|13.33|ALA| AltaGas Ltd.| 2.54%| North America|Equity|Energy Equities|Energy|TPYP|6|14.ASSET|Equity|524.9|12.23|NFG| National Fuel Gas Company| 2.33%| North America|Equity|Energy Equities|Energy|TPYP|6|15.ASSET|Equity|524.9|10.87|KEY| Keyera Corp.| 2.07%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|1.ASSET|Equity|315.6|15.09|UNH| UnitedHealth Group Incorporated| 4.78%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|2.ASSET|Equity|315.6|14.17|IDXX| IDEXX Laboratories, Inc.| 4.49%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|3.ASSET|Equity|315.6|13.98|THC| Tenet Healthcare Corporation| 4.43%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|4.ASSET|Equity|315.6|13.95|DHR| Danaher Corporation| 4.42%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|5.ASSET|Equity|315.6|13.1|HZNP| Horizon Therapeutics Public Limited Company| 4.15%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|6.ASSET|Equity|315.6|12.94|TMO| Thermo Fisher Scientific Inc.| 4.10%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|7.ASSET|Equity|315.6|12.56|EW| Edwards Lifesciences Corporation| 3.98%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|8.ASSET|Equity|315.6|11.39|WST| West Pharmaceutical Services, Inc.| 3.61%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|9.ASSET|Equity|315.6|10.19|ISRG| Intuitive Surgical, Inc.| 3.23%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|10.ASSET|Equity|315.6|9.56|SGRY| Surgery Partners, Inc.| 3.03%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|11.ASSET|Equity|315.6|9.31|ZTS| Zoetis, Inc. Class A| 2.95%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|12.ASSET|Equity|315.6|9.15|BIO| Bio-Rad Laboratories, Inc. Class A| 2.90%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|13.ASSET|Equity|315.6|9.09|PKI| PerkinElmer, Inc.| 2.88%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|14.ASSET|Equity|315.6|8.87|MTD| Mettler-Toledo International Inc.| 2.81%| North America|Equity|Health & Biotech Equities|Healthcare|PTH|6|15.ASSET|Equity|315.6|8.87|TECH| Bio-Techne Corporation| 2.81%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|1.ASSET|Equity|409.7|42.98|AAPL| Apple Inc.| 10.49%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|2.ASSET|Equity|409.7|30.11|MSFT| Microsoft Corporation| 7.35%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|3.ASSET|Equity|409.7|28.11|AMZN| Amazon.com, Inc.| 6.86%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|4.ASSET|Equity|409.7|27.45|GOOGL| Alphabet Inc. Class A| 6.70%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|5.ASSET|Equity|409.7|25.73|NVDA| NVIDIA Corporation| 6.28%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|6.ASSET|Equity|409.7|17.78|FB| Meta Platforms Inc. Class A| 4.34%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|7.ASSET|Equity|409.7|15.32|TSLA| Tesla Inc| 3.74%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|8.ASSET|Equity|409.7|14.91|MRVL| Marvell Technology, Inc.| 3.64%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|9.ASSET|Equity|409.7|7.13|CRM| salesforce.com, inc.| 1.74%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|10.ASSET|Equity|409.7|7.05|LOW| Lowe\'s Companies, Inc.| 1.72%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|11.ASSET|Equity|409.7|6.6|UBER| Uber Technologies, Inc.| 1.61%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|12.ASSET|Equity|409.7|6.02|NXPI| NXP Semiconductors NV| 1.47%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|13.ASSET|Equity|409.7|5.94|NFLX| Netflix, Inc.| 1.45%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|14.ASSET|Equity|409.7|5.94|LYFT| Lyft, Inc. Class A| 1.45%| Developed Markets|Equity|Large Cap Growth Equities||FBCG|6|15.ASSET|Equity|409.7|5.53|NKE| NIKE, Inc. Class B| 1.35%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|1.ASSET|Bond|376.4|19.01|N/A| GNMA II 15yr Generic 7.5% 1993 2.000% 01-NOV-2036| 5.05%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|2.ASSET|Bond|376.4|18.48|N/A| FNMA 15yr Pool#MA4536 2.000% 01-Feb-2037 2.0% 01-FEB-2037| 4.91%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|3.ASSET|Bond|376.4|13.48|INFXX| Institutional Fiduciary Trust Money Market Portfolio| 3.58%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|4.ASSET|Bond|376.4|10.35|N/A| FHLMC 15yr Pool#RC2314 2.000% 01-Nov-2036 2.0% 01-NOV-2036| 2.75%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|5.ASSET|Bond|376.4|9.75|N/A| United States Treasury Notes 0.125% 15-MAY-2023| 2.59%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|6.ASSET|Bond|376.4|8.88|N/A| United States Treasury Notes 0.875% 31-JAN-2024| 2.36%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|7.ASSET|Bond|376.4|8.21|N/A| UMBS TBA 10yr 13.5% January Delivery 3.000% 01-DEC-2051| 2.18%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|8.ASSET|Bond|376.4|7.15|N/A| United States Treasury Notes 1.5% 30-SEP-2024| 1.90%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|9.ASSET|Bond|376.4|7.11|N/A| United States Treasury Notes 1.25% 31-AUG-2024| 1.89%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|10.ASSET|Bond|376.4|6.93|N/A| FNMA 30yr Pool#MA4414 2.500% 01-Sep-2051 2.5% 01-SEP-2051| 1.84%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|11.ASSET|Bond|376.4|6.78|N/A| FNMA 30yr Pool#MA4548 2.500% 01-Feb-2052 2.5% 01-FEB-2052| 1.80%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|12.ASSET|Bond|376.4|6.78|N/A| United States Treasury Notes 1.5% 31-MAR-2023| 1.80%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|13.ASSET|Bond|376.4|6.44|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 1.71%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|14.ASSET|Bond|376.4|5.61|N/A| GNMA TBA 30yr 10.5% January Delivery 2.500% 01-SEP-2051| 1.49%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|FTSD|6|15.ASSET|Bond|376.4|5.34|N/A| United States Treasury Notes 0.25% 15-APR-2023| 1.42%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|1.ASSET|Equity|466.3|24.95|ENB| Enbridge Inc.| 5.35%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|2.ASSET|Equity|466.3|21.82|NEE| NextEra Energy, Inc.| 4.68%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|3.ASSET|Equity|466.3|20.98|AENA| Aena SME SA| 4.50%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|4.ASSET|Equity|466.3|20.8|TCL| Transurban Group Ltd.| 4.46%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|5.ASSET|Equity|466.3|18.23|TRP| TC Energy Corporation| 3.91%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|6.ASSET|Equity|466.3|16.04|ATL| Atlantia S.p.A| 3.44%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|7.ASSET|Equity|466.3|14.87|DUK| Duke Energy Corporation| 3.19%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|8.ASSET|Equity|466.3|13.52|WMB| Williams Companies, Inc.| 2.90%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|9.ASSET|Equity|466.3|13.15|SO| Southern Company| 2.82%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|10.ASSET|Equity|466.3|12.59|GET| Getlink SE| 2.70%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|11.ASSET|Equity|466.3|12.45|D| Dominion Energy Inc| 2.67%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|12.ASSET|Equity|466.3|12.03|KMI| Kinder Morgan Inc Class P| 2.58%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|13.ASSET|Equity|466.3|11.8|IBE| Iberdrola SA| 2.53%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|14.ASSET|Equity|466.3|11.19|NG| National Grid plc| 2.40%| Developed Markets|Equity|Utilities Equities|Utilities|GII|6|15.ASSET|Equity|466.3|10.72|LNG| Cheniere Energy, Inc.| 2.30%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|1.ASSET|Equity|517.1|19.7|ADM| Archer-Daniels-Midland Company| 3.81%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|2.ASSET|Equity|517.1|18.72|SYY| Sysco Corporation| 3.62%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|3.ASSET|Equity|517.1|18.25|MO| Altria Group Inc| 3.53%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|4.ASSET|Equity|517.1|17.84|KHC| Kraft Heinz Company| 3.45%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|5.ASSET|Equity|517.1|17.74|PM| Philip Morris International Inc.| 3.43%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|6.ASSET|Equity|517.1|17.63|TSN| Tyson Foods, Inc. Class A| 3.41%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|7.ASSET|Equity|517.1|17.37|HSY| Hershey Company| 3.36%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|8.ASSET|Equity|517.1|17.37|LW| Lamb Weston Holdings, Inc.| 3.36%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|9.ASSET|Equity|517.1|17.27|KR| Kroger Co.| 3.34%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|10.ASSET|Equity|517.1|17.27|TAP| Molson Coors Beverage Company Class B| 3.34%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|11.ASSET|Equity|517.1|17.27|KO| Coca-Cola Company| 3.34%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|12.ASSET|Equity|517.1|17.12|HRL| Hormel Foods Corporation| 3.31%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|13.ASSET|Equity|517.1|16.81|CAG| Conagra Brands, Inc.| 3.25%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|14.ASSET|Equity|517.1|16.75|MKC| McCormick & Company, Incorporated| 3.24%| North America|Equity|Consumer Staples Equities|Consumer Staples|RHS|6|15.ASSET|Equity|517.1|16.29|CPB| Campbell Soup Company| 3.15%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|1.ASSET|Equity|572.7|27.78|AAPL| Apple Inc.| 4.85%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|2.ASSET|Equity|572.7|26.8|INTC| Intel Corporation| 4.68%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|3.ASSET|Equity|572.7|26.46|7203| Toyota Motor Corp.| 4.62%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|4.ASSET|Equity|572.7|25.94|QCOM| Qualcomm Inc| 4.53%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|5.ASSET|Equity|572.7|25.66|GOOGL| Alphabet Inc. Class A| 4.48%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|6.ASSET|Equity|572.7|25.26|005930| Samsung Electronics Co., Ltd.| 4.41%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|7.ASSET|Equity|572.7|23.42|TSLA| Tesla Inc| 4.09%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|8.ASSET|Equity|572.7|21.71|F| Ford Motor Company| 3.79%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|9.ASSET|Equity|572.7|21.3|NVDA| NVIDIA Corporation| 3.72%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|10.ASSET|Equity|572.7|19.59|GM| General Motors Company| 3.42%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|11.ASSET|Equity|572.7|19.3|MBG| Mercedes-Benz Group AG| 3.37%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|12.ASSET|Equity|572.7|18.38|ETN| Eaton Corp. Plc| 3.21%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|13.ASSET|Equity|572.7|17.7|ABBN| ABB Ltd.| 3.09%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|14.ASSET|Equity|572.7|15.35|NXPI| NXP Semiconductors NV| 2.68%| Developed Markets|Equity|Large Cap Blend Equities||IDRV|6|15.ASSET|Equity|572.7|13.11|IFX| Infineon Technologies AG| 2.29%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|1.ASSET|Bond|565.8|107.73|N/A| Government of the United States of America FRN 31-JAN-2024| 19.04%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|2.ASSET|Bond|565.8|107.67|N/A| Government of the United States of America FRN 31-JAN-2024| 19.03%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|3.ASSET|Bond|565.8|11.88|N/A| FIXED INCOME (UNCLASSFIED)| 2.10%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|4.ASSET|Bond|565.8|11.83|N/A| FIXED INCOME (UNCLASSFIED)| 2.09%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|5.ASSET|Bond|565.8|9.84|N/A| MUTUAL FUND (OTHER)| 1.74%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|6.ASSET|Bond|565.8|9.84|N/A| MUTUAL FUND (OTHER)| 1.74%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|7.ASSET|Bond|565.8|7.47|N/A| CORPORATE BOND| 1.32%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|8.ASSET|Bond|565.8|7.41|N/A| CORPORATE BOND| 1.31%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|9.ASSET|Bond|565.8|7.24|N/A| MORTGAGE-BACKED SECURITIES| 1.28%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|10.ASSET|Bond|565.8|7.24|N/A| MORTGAGE-BACKED SECURITIES| 1.28%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|11.ASSET|Bond|565.8|6.39|N/A| Connecticut Avenue Securities, Series 2018-C01 1M2 2.43686% 25-JUL-2030| 1.13%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|12.ASSET|Bond|565.8|6.39|N/A| FNMA Connecticut Avenue Securities Series 2018-C01 2.43686% 25-JUL-2030| 1.13%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|13.ASSET|Bond|565.8|5.54|N/A| Structured Agency Credit Risk (STACR) Debt Notes, Series 2018-HQA2 M2 2.48686% 25-OCT-2048| 0.98%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|14.ASSET|Bond|565.8|5.54|N/A| FHLMC Stacr 2018-HQA2 2.48686% 25-OCT-2048| 0.98%| North America|Bond|Total Bond Market|Floating Rate Bonds|VRIG|6|15.ASSET|Bond|565.8|5.38|N/A| Structured Agency Credit Risk (STACR) Debt Notes, Series 2021-DNA6 M2 1.54967% 25-OCT-2041| 0.95%| North America|Equity|Leveraged Equities||SDOW|6|1.ASSET|Equity|339.7|213.98|N/A| U.S. Dollar| 62.99%| North America|Equity|Leveraged Equities||SDOW|6|2.ASSET|Equity|339.7|44.09|N/A| United States Treasury Bills 0.0% 05-APR-2022| 12.98%| North America|Equity|Leveraged Equities||SDOW|6|3.ASSET|Equity|339.7|22.05|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 6.49%| North America|Equity|Leveraged Equities||SDOW|6|4.ASSET|Equity|339.7|15.73|N/A| United States Treasury Bills 0.0% 21-APR-2022| 4.63%| North America|Equity|Leveraged Equities||SDOW|6|5.ASSET|Equity|339.7|12.57|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 3.70%| North America|Equity|Leveraged Equities||SDOW|6|6.ASSET|Equity|339.7|9.44|N/A| United States Treasury Bills 0.0% 28-APR-2022| 2.78%| North America|Equity|Leveraged Equities||SDOW|6|7.ASSET|Equity|339.7|8.59|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 2.53%| North America|Equity|Leveraged Equities||SDOW|6|8.ASSET|Equity|339.7|7.58|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 2.23%| North America|Equity|Leveraged Equities||SDOW|6|9.ASSET|Equity|339.7|5.67|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.67%| North America|Equity|Technology Equities||TECB|6|1.ASSET|Equity|387.3|18.2|AAPL| Apple Inc.| 4.70%| North America|Equity|Technology Equities||TECB|6|2.ASSET|Equity|387.3|17.04|GOOGL| Alphabet Inc. Class A| 4.40%| North America|Equity|Technology Equities||TECB|6|3.ASSET|Equity|387.3|16.46|MSFT| Microsoft Corporation| 4.25%| North America|Equity|Technology Equities||TECB|6|4.ASSET|Equity|387.3|16.07|AMZN| Amazon.com, Inc.| 4.15%| North America|Equity|Technology Equities||TECB|6|5.ASSET|Equity|387.3|14.6|CRM| salesforce.com, inc.| 3.77%| North America|Equity|Technology Equities||TECB|6|6.ASSET|Equity|387.3|13.79|NVDA| NVIDIA Corporation| 3.56%| North America|Equity|Technology Equities||TECB|6|7.ASSET|Equity|387.3|12.94|DIS| Walt Disney Company| 3.34%| North America|Equity|Technology Equities||TECB|6|8.ASSET|Equity|387.3|11.97|FB| Meta Platforms Inc. Class A| 3.09%| North America|Equity|Technology Equities||TECB|6|9.ASSET|Equity|387.3|10.84|ADBE| Adobe Inc.| 2.80%| North America|Equity|Technology Equities||TECB|6|10.ASSET|Equity|387.3|10.34|GILD| Gilead Sciences, Inc.| 2.67%| North America|Equity|Technology Equities||TECB|6|11.ASSET|Equity|387.3|10.22|V| Visa Inc. Class A| 2.64%| North America|Equity|Technology Equities||TECB|6|12.ASSET|Equity|387.3|9.53|ORCL| Oracle Corporation| 2.46%| North America|Equity|Technology Equities||TECB|6|13.ASSET|Equity|387.3|9.33|INTC| Intel Corporation| 2.41%| North America|Equity|Technology Equities||TECB|6|14.ASSET|Equity|387.3|8.95|QCOM| Qualcomm Inc| 2.31%| North America|Equity|Technology Equities||TECB|6|15.ASSET|Equity|387.3|8.91|NOW| ServiceNow, Inc.| 2.30%| North America|Equity|Materials|Materials|RTM|6|1.ASSET|Equity|475.3|24.95|MOS| Mosaic Company| 5.25%| North America|Equity|Materials|Materials|RTM|6|2.ASSET|Equity|475.3|23.62|CF| CF Industries Holdings, Inc.| 4.97%| North America|Equity|Materials|Materials|RTM|6|3.ASSET|Equity|475.3|21.44|FCX| Freeport-McMoRan, Inc.| 4.51%| North America|Equity|Materials|Materials|RTM|6|4.ASSET|Equity|475.3|21.25|NEM| Newmont Corporation| 4.47%| North America|Equity|Materials|Materials|RTM|6|5.ASSET|Equity|475.3|20.77|NUE| Nucor Corporation| 4.37%| North America|Equity|Materials|Materials|RTM|6|6.ASSET|Equity|475.3|19.63|PKG| Packaging Corporation of America| 4.13%| North America|Equity|Materials|Materials|RTM|6|7.ASSET|Equity|475.3|18.82|FMC| FMC Corporation| 3.96%| North America|Equity|Materials|Materials|RTM|6|8.ASSET|Equity|475.3|18.54|LYB| LyondellBasell Industries NV| 3.90%| North America|Equity|Materials|Materials|RTM|6|9.ASSET|Equity|475.3|18.49|DOW| Dow, Inc.| 3.89%| North America|Equity|Materials|Materials|RTM|6|10.ASSET|Equity|475.3|18.2|CTVA| Corteva Inc| 3.83%| North America|Equity|Materials|Materials|RTM|6|11.ASSET|Equity|475.3|17.35|SEE| Sealed Air Corporation| 3.65%| North America|Equity|Materials|Materials|RTM|6|12.ASSET|Equity|475.3|17.16|WRK| WestRock Company| 3.61%| North America|Equity|Materials|Materials|RTM|6|13.ASSET|Equity|475.3|17.06|EMN| Eastman Chemical Company| 3.59%| North America|Equity|Materials|Materials|RTM|6|14.ASSET|Equity|475.3|16.78|AMCDC| Amcor PLC TEMP| 3.53%| North America|Equity|Materials|Materials|RTM|6|15.ASSET|Equity|475.3|16.4|DD| DuPont de Nemours, Inc.| 3.45%| North America|Equity|Small Cap Blend Equities||BBSC|6|1.ASSET|Equity|433.4|4.29|N/A| U.S. Dollar| 0.99%| North America|Equity|Small Cap Blend Equities||BBSC|6|2.ASSET|Equity|433.4|1.65|ARNA| Arena Pharmaceuticals, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||BBSC|6|3.ASSET|Equity|433.4|1.6|MTDR| Matador Resources Company| 0.37%| North America|Equity|Small Cap Blend Equities||BBSC|6|4.ASSET|Equity|433.4|1.52|SWN| Southwestern Energy Company| 0.35%| North America|Equity|Small Cap Blend Equities||BBSC|6|5.ASSET|Equity|433.4|1.47|ONB| Old National Bancorp| 0.34%| North America|Equity|Small Cap Blend Equities||BBSC|6|6.ASSET|Equity|433.4|1.47|ROG| Rogers Corporation| 0.34%| North America|Equity|Small Cap Blend Equities||BBSC|6|7.ASSET|Equity|433.4|1.47|VG| Vonage Holdings Corp.| 0.34%| North America|Equity|Small Cap Blend Equities||BBSC|6|8.ASSET|Equity|433.4|1.47|SSD| Simpson Manufacturing Co., Inc.| 0.34%| North America|Equity|Small Cap Blend Equities||BBSC|6|9.ASSET|Equity|433.4|1.47|MUR| Murphy Oil Corporation| 0.34%| North America|Equity|Small Cap Blend Equities||BBSC|6|10.ASSET|Equity|433.4|1.43|TGNA| TEGNA, Inc.| 0.33%| North America|Equity|Small Cap Blend Equities||BBSC|6|11.ASSET|Equity|433.4|1.43|AMN| AMN Healthcare Services, Inc.| 0.33%| North America|Equity|Small Cap Blend Equities||BBSC|6|12.ASSET|Equity|433.4|1.39|KRG| Kite Realty Group Trust| 0.32%| North America|Equity|Small Cap Blend Equities||BBSC|6|13.ASSET|Equity|433.4|1.34|ITCI| Intra-Cellular Therapies, Inc.| 0.31%| North America|Equity|Small Cap Blend Equities||BBSC|6|14.ASSET|Equity|433.4|1.3|KNSL| Kinsale Capital Group, Inc.| 0.30%| North America|Equity|Small Cap Blend Equities||BBSC|6|15.ASSET|Equity|433.4|1.3|SM| SM Energy Company| 0.30%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|1.ASSET|Equity|351.1|6.14|AMD| Advanced Micro Devices, Inc.| 1.75%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|2.ASSET|Equity|351.1|5.48|3035| Faraday Technology Corp.| 1.56%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|3.ASSET|Equity|351.1|4.25|TDC| Teradata Corporation| 1.21%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|4.ASSET|Equity|351.1|4.21|GDDY| GoDaddy, Inc. Class A| 1.20%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|5.ASSET|Equity|351.1|4.04|PRLB| Proto Labs, Inc.| 1.15%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|6.ASSET|Equity|351.1|4|3661| Alchip Technologies Ltd.| 1.14%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|7.ASSET|Equity|351.1|3.93|CNXC| Concentrix Corporation| 1.12%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|8.ASSET|Equity|351.1|3.86|9888| Baidu, Inc. Class A| 1.10%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|9.ASSET|Equity|351.1|3.79|7012| Kawasaki Heavy Industries Ltd.| 1.08%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|10.ASSET|Equity|351.1|3.79|1024| Kuaishou Technology Class B| 1.08%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|11.ASSET|Equity|351.1|3.76|YY| JOYY, Inc. Sponsored ADR Class A| 1.07%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|12.ASSET|Equity|351.1|3.65|ATA| ATS Automation Tooling Systems Inc.| 1.04%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|13.ASSET|Equity|351.1|3.62|IBM| International Business Machines Corporation| 1.03%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|14.ASSET|Equity|351.1|3.51|066570| LG Electronics Inc.| 1.00%| Developed Markets|Equity|Global Equities|Technology|IRBO|6|15.ASSET|Equity|351.1|3.51|VIV| Vivendi SE| 1.00%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|1.ASSET|Bond|424.1|10.18|N/A| United States Treasury Notes 0.25% 15-MAY-2024| 2.40%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|2.ASSET|Bond|424.1|9.37|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 2.21%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|3.ASSET|Bond|424.1|8.74|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 2.06%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|4.ASSET|Bond|424.1|8.74|N/A| United States Treasury Notes 0.375% 15-APR-2024| 2.06%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|5.ASSET|Bond|424.1|7.97|N/A| United States Treasury Notes 1.25% 30-JUN-2028| 1.88%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|6.ASSET|Bond|424.1|7.46|N/A| United States Treasury Notes 0.25% 15-MAR-2024| 1.76%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|7.ASSET|Bond|424.1|7.29|N/A| United States Treasury Notes 1.0% 31-JUL-2028| 1.72%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|8.ASSET|Bond|424.1|6.91|N/A| United States Treasury Notes 0.125% 31-DEC-2022| 1.63%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|9.ASSET|Bond|424.1|6.87|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 1.62%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|10.ASSET|Bond|424.1|6.83|N/A| United States Treasury Notes 0.625% 31-JUL-2026| 1.61%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|11.ASSET|Bond|424.1|6.15|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 1.45%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|12.ASSET|Bond|424.1|5.81|N/A| United States Treasury Notes 0.375% 15-AUG-2024| 1.37%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|13.ASSET|Bond|424.1|5.47|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 1.29%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|14.ASSET|Bond|424.1|5.3|N/A| United States Treasury Notes 0.125% 28-FEB-2023| 1.25%| North America|Bond|Total Bond Market|Total Bond Market|GBF|6|15.ASSET|Bond|424.1|4.75|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 1.12%| North America|Equity|All Cap Equities||QDEF|6|1.ASSET|Equity|423.4|37.3|AAPL| Apple Inc.| 8.81%| North America|Equity|All Cap Equities||QDEF|6|2.ASSET|Equity|423.4|19.05|MSFT| Microsoft Corporation| 4.50%| North America|Equity|All Cap Equities||QDEF|6|3.ASSET|Equity|423.4|14.35|JNJ| Johnson & Johnson| 3.39%| North America|Equity|All Cap Equities||QDEF|6|4.ASSET|Equity|423.4|14.14|PG| Procter & Gamble Company| 3.34%| North America|Equity|All Cap Equities||QDEF|6|5.ASSET|Equity|423.4|13.51|JPM| JPMorgan Chase & Co.| 3.19%| North America|Equity|All Cap Equities||QDEF|6|6.ASSET|Equity|423.4|12.62|HD| Home Depot, Inc.| 2.98%| North America|Equity|All Cap Equities||QDEF|6|7.ASSET|Equity|423.4|11.9|ABBV| AbbVie, Inc.| 2.81%| North America|Equity|All Cap Equities||QDEF|6|8.ASSET|Equity|423.4|11.73|CSCO| Cisco Systems, Inc.| 2.77%| North America|Equity|All Cap Equities||QDEF|6|9.ASSET|Equity|423.4|11.6|AVGO| Broadcom Inc.| 2.74%| North America|Equity|All Cap Equities||QDEF|6|10.ASSET|Equity|423.4|9.95|LLY| Eli Lilly and Company| 2.35%| North America|Equity|All Cap Equities||QDEF|6|11.ASSET|Equity|423.4|9.7|ABT| Abbott Laboratories| 2.29%| North America|Equity|All Cap Equities||QDEF|6|12.ASSET|Equity|423.4|7.88|PM| Philip Morris International Inc.| 1.86%| North America|Equity|All Cap Equities||QDEF|6|13.ASSET|Equity|423.4|7.58|TXN| Texas Instruments Incorporated| 1.79%| North America|Equity|All Cap Equities||QDEF|6|14.ASSET|Equity|423.4|6.48|AMGN| Amgen Inc.| 1.53%| North America|Equity|All Cap Equities||QDEF|6|15.ASSET|Equity|423.4|5.33|TGT| Target Corporation| 1.26%| North America|Equity|Industrials Equities|Industrials|RGI|6|1.ASSET|Equity|447.9|8.64|LMT| Lockheed Martin Corporation| 1.93%| North America|Equity|Industrials Equities|Industrials|RGI|6|2.ASSET|Equity|447.9|8.06|NOC| Northrop Grumman Corporation| 1.80%| North America|Equity|Industrials Equities|Industrials|RGI|6|3.ASSET|Equity|447.9|7.79|LDOS| Leidos Holdings, Inc.| 1.74%| North America|Equity|Industrials Equities|Industrials|RGI|6|4.ASSET|Equity|447.9|7.75|LHX| L3Harris Technologies Inc| 1.73%| North America|Equity|Industrials Equities|Industrials|RGI|6|5.ASSET|Equity|447.9|7.75|RTX| Raytheon Technologies Corporation| 1.73%| North America|Equity|Industrials Equities|Industrials|RGI|6|6.ASSET|Equity|447.9|7.61|GD| General Dynamics Corporation| 1.70%| North America|Equity|Industrials Equities|Industrials|RGI|6|7.ASSET|Equity|447.9|7.52|HWM| Howmet Aerospace Inc.| 1.68%| North America|Equity|Industrials Equities|Industrials|RGI|6|8.ASSET|Equity|447.9|7.44|HII| Huntington Ingalls Industries, Inc.| 1.66%| North America|Equity|Industrials Equities|Industrials|RGI|6|9.ASSET|Equity|447.9|7.39|TDG| TransDigm Group Incorporated| 1.65%| North America|Equity|Industrials Equities|Industrials|RGI|6|10.ASSET|Equity|447.9|7.08|RHI| Robert Half International Inc.| 1.58%| North America|Equity|Industrials Equities|Industrials|RGI|6|11.ASSET|Equity|447.9|7.08|ROL| Rollins, Inc.| 1.58%| North America|Equity|Industrials Equities|Industrials|RGI|6|12.ASSET|Equity|447.9|6.94|DE| Deere & Company| 1.55%| North America|Equity|Industrials Equities|Industrials|RGI|6|13.ASSET|Equity|447.9|6.81|PCAR| PACCAR Inc| 1.52%| North America|Equity|Industrials Equities|Industrials|RGI|6|14.ASSET|Equity|447.9|6.76|JBHT| J.B. Hunt Transport Services, Inc.| 1.51%| North America|Equity|Industrials Equities|Industrials|RGI|6|15.ASSET|Equity|447.9|6.76|WAB| Westinghouse Air Brake Technologies Corporation| 1.51%| North America|Multi-Asset|Diversified Portfolio||YYY|6|1.ASSET|Multi-Asset|380.7|12.11|OXLC| Oxford Lane Capital Corp.| 3.18%| North America|Multi-Asset|Diversified Portfolio||YYY|6|2.ASSET|Multi-Asset|380.7|12.03|MEGI| MainStay CBRE Global Infrastructure Megatrends Fund| 3.16%| North America|Multi-Asset|Diversified Portfolio||YYY|6|3.ASSET|Multi-Asset|380.7|11.88|PDI| PIMCO Dynamic Income Fund| 3.12%| North America|Multi-Asset|Diversified Portfolio||YYY|6|4.ASSET|Multi-Asset|380.7|11.73|USA| Liberty All Star Equity Fund| 3.08%| North America|Multi-Asset|Diversified Portfolio||YYY|6|5.ASSET|Multi-Asset|380.7|11.54|GIM| Templeton Global Income Fund| 3.03%| North America|Multi-Asset|Diversified Portfolio||YYY|6|6.ASSET|Multi-Asset|380.7|11.27|EAD| Allspring Income Opportunities Fund| 2.96%| North America|Multi-Asset|Diversified Portfolio||YYY|6|7.ASSET|Multi-Asset|380.7|11.23|JQC| Nuveen Credit Strategies Income Fund| 2.95%| North America|Multi-Asset|Diversified Portfolio||YYY|6|8.ASSET|Multi-Asset|380.7|11.19|DLY| DoubleLine Yield Opportunities Fund| 2.94%| North America|Multi-Asset|Diversified Portfolio||YYY|6|9.ASSET|Multi-Asset|380.7|11.12|WDI| Western Asset Diversified Income Fund Registeredof Benef Interest| 2.92%| North America|Multi-Asset|Diversified Portfolio||YYY|6|10.ASSET|Multi-Asset|380.7|11.12|TBLD| Thornburg Income Builder Opportunities Trust| 2.92%| North America|Multi-Asset|Diversified Portfolio||YYY|6|11.ASSET|Multi-Asset|380.7|11|ISD| PGIM High Yield Bond Fund, Inc.| 2.89%| North America|Multi-Asset|Diversified Portfolio||YYY|6|12.ASSET|Multi-Asset|380.7|10.96|AOD| Aberdeen Total Dynamic Dividend Fund of Benef Interest| 2.88%| North America|Multi-Asset|Diversified Portfolio||YYY|6|13.ASSET|Multi-Asset|380.7|10.81|HFRO| Highland Income Fund| 2.84%| North America|Multi-Asset|Diversified Portfolio||YYY|6|14.ASSET|Multi-Asset|380.7|10.77|GHY| PGIM Global High Yield Fund, Inc.| 2.83%| North America|Multi-Asset|Diversified Portfolio||YYY|6|15.ASSET|Multi-Asset|380.7|10.77|DSL| DoubleLine Income Solutions Fund| 2.83%| North America|Equity|Large Cap Value Equities||JVAL|6|1.ASSET|Equity|566|11.77|UNH| UnitedHealth Group Incorporated| 2.08%| North America|Equity|Large Cap Value Equities||JVAL|6|2.ASSET|Equity|566|11.72|AAPL| Apple Inc.| 2.07%| North America|Equity|Large Cap Value Equities||JVAL|6|3.ASSET|Equity|566|10.75|GOOGL| Alphabet Inc. Class A| 1.90%| North America|Equity|Large Cap Value Equities||JVAL|6|4.ASSET|Equity|566|10.58|MSFT| Microsoft Corporation| 1.87%| North America|Equity|Large Cap Value Equities||JVAL|6|5.ASSET|Equity|566|9.4|JNJ| Johnson & Johnson| 1.66%| North America|Equity|Large Cap Value Equities||JVAL|6|6.ASSET|Equity|566|7.08|PFE| Pfizer Inc.| 1.25%| North America|Equity|Large Cap Value Equities||JVAL|6|7.ASSET|Equity|566|6.79|AVGO| Broadcom Inc.| 1.20%| North America|Equity|Large Cap Value Equities||JVAL|6|8.ASSET|Equity|566|6.74|FB| Meta Platforms Inc. Class A| 1.19%| North America|Equity|Large Cap Value Equities||JVAL|6|9.ASSET|Equity|566|5.89|INTC| Intel Corporation| 1.04%| North America|Equity|Large Cap Value Equities||JVAL|6|10.ASSET|Equity|566|5.83|WMT| Walmart Inc.| 1.03%| North America|Equity|Large Cap Value Equities||JVAL|6|11.ASSET|Equity|566|5.77|XOM| Exxon Mobil Corporation| 1.02%| North America|Equity|Large Cap Value Equities||JVAL|6|12.ASSET|Equity|566|5.72|CSCO| Cisco Systems, Inc.| 1.01%| North America|Equity|Large Cap Value Equities||JVAL|6|13.ASSET|Equity|566|5.66|QCOM| Qualcomm Inc| 1.00%| North America|Equity|Large Cap Value Equities||JVAL|6|14.ASSET|Equity|566|5.38|MRK| Merck & Co., Inc.| 0.95%| North America|Equity|Large Cap Value Equities||JVAL|6|15.ASSET|Equity|566|5.26|CRM| salesforce.com, inc.| 0.93%| North America|Equity|Small Cap Growth Equities||JHSC|6|1.ASSET|Equity|412.2|2.89|RRX| Regal Rexnord Corporation| 0.70%| North America|Equity|Small Cap Growth Equities||JHSC|6|2.ASSET|Equity|412.2|2.39|THC| Tenet Healthcare Corporation| 0.58%| North America|Equity|Small Cap Growth Equities||JHSC|6|3.ASSET|Equity|412.2|2.35|MAT| Mattel, Inc.| 0.57%| North America|Equity|Small Cap Growth Equities||JHSC|6|4.ASSET|Equity|412.2|2.31|SYNA| Synaptics Incorporated| 0.56%| North America|Equity|Small Cap Growth Equities||JHSC|6|5.ASSET|Equity|412.2|2.14|WH| Wyndham Hotels & Resorts, Inc.| 0.52%| North America|Equity|Small Cap Growth Equities||JHSC|6|6.ASSET|Equity|412.2|2.14|HUN| Huntsman Corporation| 0.52%| North America|Equity|Small Cap Growth Equities||JHSC|6|7.ASSET|Equity|412.2|2.14|CFR| Cullen/Frost Bankers, Inc.| 0.52%| North America|Equity|Small Cap Growth Equities||JHSC|6|8.ASSET|Equity|412.2|2.1|NXST| Nexstar Media Group, Inc. Class A| 0.51%| North America|Equity|Small Cap Growth Equities||JHSC|6|9.ASSET|Equity|412.2|2.06|SAIA| Saia, Inc.| 0.50%| North America|Equity|Small Cap Growth Equities||JHSC|6|10.ASSET|Equity|412.2|2.06|NVST| Envista Holdings Corp.| 0.50%| North America|Equity|Small Cap Growth Equities||JHSC|6|11.ASSET|Equity|412.2|2.06|PFGC| Performance Food Group Company| 0.50%| North America|Equity|Small Cap Growth Equities||JHSC|6|12.ASSET|Equity|412.2|2.06|OVV| Ovintiv Inc| 0.50%| North America|Equity|Small Cap Growth Equities||JHSC|6|13.ASSET|Equity|412.2|2.02|ORI| Old Republic International Corporation| 0.49%| North America|Equity|Small Cap Growth Equities||JHSC|6|14.ASSET|Equity|412.2|1.98|BRX| Brixmor Property Group, Inc.| 0.48%| North America|Equity|Small Cap Growth Equities||JHSC|6|15.ASSET|Equity|412.2|1.98|BPOP| Popular, Inc.| 0.48%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|1.ASSET|Bond|428.6|6.47|N/A| Government of Germany 0.5% 15-APR-2030| 1.51%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|2.ASSET|Bond|428.6|5.31|N/A| Government of Spain 1.0% 30-NOV-2030| 1.24%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|3.ASSET|Bond|428.6|5.27|N/A| Government of Chile 3.0% 01-JAN-2044| 1.23%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|4.ASSET|Bond|428.6|5.19|N/A| Index-linked Gilt 1.25% 22-NOV-2055| 1.21%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|5.ASSET|Bond|428.6|5.01|N/A| Index-linked Gilt 1.125% 22-NOV-2037| 1.17%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|6.ASSET|Bond|428.6|4.97|N/A| Index-linked Gilt 0.125% 22-MAR-2068| 1.16%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|7.ASSET|Bond|428.6|4.76|N/A| Government of Australia 3.0% 20-SEP-2025| 1.11%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|8.ASSET|Bond|428.6|4.76|N/A| Government of Colombia 4.75% 23-FEB-2023| 1.11%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|9.ASSET|Bond|428.6|4.67|N/A| Index-linked Gilt 0.375% 22-MAR-2062| 1.09%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|10.ASSET|Bond|428.6|4.59|N/A| Government of Chile 1.5% 01-MAR-2026| 1.07%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|11.ASSET|Bond|428.6|4.41|N/A| Government of Brazil 6.0% 15-AUG-2024| 1.03%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|12.ASSET|Bond|428.6|4.41|N/A| Government of Spain 0.7% 30-NOV-2033| 1.03%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|13.ASSET|Bond|428.6|4.33|N/A| Government of Spain 0.65% 30-NOV-2027| 1.01%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|14.ASSET|Bond|428.6|4.24|N/A| TREASURY ISSUES (LONG-TERM)| 0.99%| Developed Markets|Bond|Inflation-Protected Bonds|TIPS|WIP|6|15.ASSET|Bond|428.6|4.24|N/A| Government of Germany FRN 15-APR-2023| 0.99%| North America|Equity|Small Cap Growth Equities||GSSC|6|1.ASSET|Equity|470.1|1.74|SYNA| Synaptics Incorporated| 0.37%| North America|Equity|Small Cap Growth Equities||GSSC|6|2.ASSET|Equity|470.1|1.69|LSCC| Lattice Semiconductor Corporation| 0.36%| North America|Equity|Small Cap Growth Equities||GSSC|6|3.ASSET|Equity|470.1|1.6|COOP| Mr. Cooper Group, Inc.| 0.34%| North America|Equity|Small Cap Growth Equities||GSSC|6|4.ASSET|Equity|470.1|1.5|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.32%| North America|Equity|Small Cap Growth Equities||GSSC|6|5.ASSET|Equity|470.1|1.41|THC| Tenet Healthcare Corporation| 0.30%| North America|Equity|Small Cap Growth Equities||GSSC|6|6.ASSET|Equity|470.1|1.36|VG| Vonage Holdings Corp.| 0.29%| North America|Equity|Small Cap Growth Equities||GSSC|6|7.ASSET|Equity|470.1|1.36|ATKR| Atkore Inc| 0.29%| North America|Equity|Small Cap Growth Equities||GSSC|6|8.ASSET|Equity|470.1|1.36|CORT| Corcept Therapeutics Incorporated.| 0.29%| North America|Equity|Small Cap Growth Equities||GSSC|6|9.ASSET|Equity|470.1|1.36|OVV| Ovintiv Inc| 0.29%| North America|Equity|Small Cap Growth Equities||GSSC|6|10.ASSET|Equity|470.1|1.32|BCC| Boise Cascade Co.| 0.28%| North America|Equity|Small Cap Growth Equities||GSSC|6|11.ASSET|Equity|470.1|1.27|SFBS| ServisFirst Bancshares Inc| 0.27%| North America|Equity|Small Cap Growth Equities||GSSC|6|12.ASSET|Equity|470.1|1.27|SM| SM Energy Company| 0.27%| North America|Equity|Small Cap Growth Equities||GSSC|6|13.ASSET|Equity|470.1|1.27|EME| EMCOR Group, Inc.| 0.27%| North America|Equity|Small Cap Growth Equities||GSSC|6|14.ASSET|Equity|470.1|1.22|M| Macy\'s Inc| 0.26%| North America|Equity|Small Cap Growth Equities||GSSC|6|15.ASSET|Equity|470.1|1.22|AMN| AMN Healthcare Services, Inc.| 0.26%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|1.ASSET|Equity|488.2|101.4|BBCA| PT Bank Central Asia Tbk| 20.77%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|2.ASSET|Equity|488.2|70.79|BBRI| PT Bank Rakyat Indonesia (Persero) Tbk Class B| 14.50%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|3.ASSET|Equity|488.2|47.89|TLKM| PT Telkom Indonesia (Persero) Tbk Class B| 9.81%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|4.ASSET|Equity|488.2|21.04|BMRI| PT Bank Mandiri (Persero) Tbk| 4.31%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|5.ASSET|Equity|488.2|19.53|ASII| PT Astra International Tbk| 4.00%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|6.ASSET|Equity|488.2|15.18|BBNI| PT Bank Negara Indonesia (Persero) Tbk Class B| 3.11%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|7.ASSET|Equity|488.2|14.06|ARTO| PT Bank Jago Tbk| 2.88%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|8.ASSET|Equity|488.2|11.28|CPIN| PT Charoen Pokphand Indonesia Tbk| 2.31%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|9.ASSET|Equity|488.2|10.35|ADRO| PT Adaro Energy Indonesia Tbk| 2.12%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|10.ASSET|Equity|488.2|9.23|KLBF| PT Kalbe Farma Tbk| 1.89%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|11.ASSET|Equity|488.2|8.84|MDKA| PT Merdeka Copper Gold Tbk| 1.81%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|12.ASSET|Equity|488.2|7.52|INDF| PT Indofood Sukses Makmur Tbk| 1.54%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|13.ASSET|Equity|488.2|7.47|UNVR| PT Unilever Indonesia Tbk| 1.53%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|14.ASSET|Equity|488.2|6.93|BRPT| PT Barito Pacific Tbk| 1.42%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EIDO|6|15.ASSET|Equity|488.2|6.79|TBIG| PT Tower Bersama Infrastructure Tbk| 1.39%| North America|Equity|All Cap Equities||VUSE|6|1.ASSET|Equity|477.7|3.49|X| United States Steel Corporation| 0.73%| North America|Equity|All Cap Equities||VUSE|6|2.ASSET|Equity|477.7|3.3|NUE| Nucor Corporation| 0.69%| North America|Equity|All Cap Equities||VUSE|6|3.ASSET|Equity|477.7|3.06|MOS| Mosaic Company| 0.64%| North America|Equity|All Cap Equities||VUSE|6|4.ASSET|Equity|477.7|2.96|RS| Reliance Steel & Aluminum Co.| 0.62%| North America|Equity|All Cap Equities||VUSE|6|5.ASSET|Equity|477.7|2.87|STLD| Steel Dynamics, Inc.| 0.60%| North America|Equity|All Cap Equities||VUSE|6|6.ASSET|Equity|477.7|2.87|VIRT| Virtu Financial, Inc. Class A| 0.60%| North America|Equity|All Cap Equities||VUSE|6|7.ASSET|Equity|477.7|2.87|OVV| Ovintiv Inc| 0.60%| North America|Equity|All Cap Equities||VUSE|6|8.ASSET|Equity|477.7|2.77|TGNA| TEGNA, Inc.| 0.58%| North America|Equity|All Cap Equities||VUSE|6|9.ASSET|Equity|477.7|2.77|AOSL| Alpha and Omega Semiconductor Limited| 0.58%| North America|Equity|All Cap Equities||VUSE|6|10.ASSET|Equity|477.7|2.72|ACI| Albertsons Companies, Inc. Class A| 0.57%| North America|Equity|All Cap Equities||VUSE|6|11.ASSET|Equity|477.7|2.72|NXST| Nexstar Media Group, Inc. Class A| 0.57%| North America|Equity|All Cap Equities||VUSE|6|12.ASSET|Equity|477.7|2.72|PDCE| PDC Energy, Inc.| 0.57%| North America|Equity|All Cap Equities||VUSE|6|13.ASSET|Equity|477.7|2.72|THC| Tenet Healthcare Corporation| 0.57%| North America|Equity|All Cap Equities||VUSE|6|14.ASSET|Equity|477.7|2.72|MRO| Marathon Oil Corporation| 0.57%| North America|Equity|All Cap Equities||VUSE|6|15.ASSET|Equity|477.7|2.72|HSIC| Henry Schein, Inc.| 0.57%| North America|Equity|Mid Cap Growth Equities||FNY|6|1.ASSET|Equity|325.6|3.78|APA| APA Corp.| 1.16%| North America|Equity|Mid Cap Growth Equities||FNY|6|2.ASSET|Equity|325.6|3.78|OVV| Ovintiv Inc| 1.16%| North America|Equity|Mid Cap Growth Equities||FNY|6|3.ASSET|Equity|325.6|3.74|AR| Antero Resources Corporation| 1.15%| North America|Equity|Mid Cap Growth Equities||FNY|6|4.ASSET|Equity|325.6|3.71|AA| Alcoa Corporation| 1.14%| North America|Equity|Mid Cap Growth Equities||FNY|6|5.ASSET|Equity|325.6|3.48|TRGP| Targa Resources Corp.| 1.07%| North America|Equity|Mid Cap Growth Equities||FNY|6|6.ASSET|Equity|325.6|3.42|FANG| Diamondback Energy, Inc.| 1.05%| North America|Equity|Mid Cap Growth Equities||FNY|6|7.ASSET|Equity|325.6|2.96|UNVR| Univar Solutions Inc.| 0.91%| North America|Equity|Mid Cap Growth Equities||FNY|6|8.ASSET|Equity|325.6|2.96|THC| Tenet Healthcare Corporation| 0.91%| North America|Equity|Mid Cap Growth Equities||FNY|6|9.ASSET|Equity|325.6|2.93|CLF| Cleveland-Cliffs Inc| 0.90%| North America|Equity|Mid Cap Growth Equities||FNY|6|10.ASSET|Equity|325.6|2.9|LPLA| LPL Financial Holdings Inc.| 0.89%| North America|Equity|Mid Cap Growth Equities||FNY|6|11.ASSET|Equity|325.6|2.87|BYD| Boyd Gaming Corporation| 0.88%| North America|Equity|Mid Cap Growth Equities||FNY|6|12.ASSET|Equity|325.6|2.7|ARES| Ares Management Corporation| 0.83%| North America|Equity|Mid Cap Growth Equities||FNY|6|13.ASSET|Equity|325.6|2.7|NXST| Nexstar Media Group, Inc. Class A| 0.83%| North America|Equity|Mid Cap Growth Equities||FNY|6|14.ASSET|Equity|325.6|2.67|HLI| Houlihan Lokey, Inc. Class A| 0.82%| North America|Equity|Mid Cap Growth Equities||FNY|6|15.ASSET|Equity|325.6|2.64|SEE| Sealed Air Corporation| 0.81%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|1.ASSET|Equity|257|31.41|700| Tencent Holdings Ltd.| 12.22%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|2.ASSET|Equity|257|23.67|FB| Meta Platforms Inc. Class A| 9.21%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|3.ASSET|Equity|257|17.86|SNAP| Snap, Inc. Class A| 6.95%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|4.ASSET|Equity|257|17.22|BIDU| Baidu Inc Sponsored ADR Class A| 6.70%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|5.ASSET|Equity|257|16.96|NTES| NetEase, Inc. Sponsored ADR| 6.60%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|6.ASSET|Equity|257|16.65|GOOGL| Alphabet Inc. Class A| 6.48%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|7.ASSET|Equity|257|13.44|035720| Kakao Corp.| 5.23%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|8.ASSET|Equity|257|12.57|035420| NAVER Corp.| 4.89%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|9.ASSET|Equity|257|11.18|MTCH| Match Group, Inc.| 4.35%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|10.ASSET|Equity|257|10.61|SPOT| Spotify Technology SA| 4.13%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|11.ASSET|Equity|257|10.36|TWTR| Twitter, Inc.| 4.03%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|12.ASSET|Equity|257|9.71|3659| NEXON Co., Ltd.| 3.78%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|13.ASSET|Equity|257|8.53|ZNGA| Zynga Inc. Class A| 3.32%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|14.ASSET|Equity|257|7.94|IAC| IAC/InteractiveCorp.| 3.09%| Global|Equity|Large Cap Growth Equities|Technology|SOCL|6|15.ASSET|Equity|257|7.63|PINS| Pinterest, Inc. Class A| 2.97%| North America|Equity|Large Cap Growth Equities||GSUS|6|1.ASSET|Equity|472.9|33.95|AAPL| Apple Inc.| 7.18%| North America|Equity|Large Cap Growth Equities||GSUS|6|2.ASSET|Equity|472.9|27.62|MSFT| Microsoft Corporation| 5.84%| North America|Equity|Large Cap Growth Equities||GSUS|6|3.ASSET|Equity|472.9|16.55|AMZN| Amazon.com, Inc.| 3.50%| North America|Equity|Large Cap Growth Equities||GSUS|6|4.ASSET|Equity|472.9|9.98|GOOGL| Alphabet Inc. Class A| 2.11%| North America|Equity|Large Cap Growth Equities||GSUS|6|5.ASSET|Equity|472.9|9.13|GOOG| Alphabet Inc. Class C| 1.93%| North America|Equity|Large Cap Growth Equities||GSUS|6|6.ASSET|Equity|472.9|8.84|TSLA| Tesla Inc| 1.87%| North America|Equity|Large Cap Growth Equities||GSUS|6|7.ASSET|Equity|472.9|7.24|NVDA| NVIDIA Corporation| 1.53%| North America|Equity|Large Cap Growth Equities||GSUS|6|8.ASSET|Equity|472.9|6.1|FB| Meta Platforms Inc. Class A| 1.29%| North America|Equity|Large Cap Growth Equities||GSUS|6|9.ASSET|Equity|472.9|5.67|UNH| UnitedHealth Group Incorporated| 1.20%| North America|Equity|Large Cap Growth Equities||GSUS|6|10.ASSET|Equity|472.9|5.44|JNJ| Johnson & Johnson| 1.15%| North America|Equity|Large Cap Growth Equities||GSUS|6|11.ASSET|Equity|472.9|5.25|BRK.B| Berkshire Hathaway Inc. Class B| 1.11%| North America|Equity|Large Cap Growth Equities||GSUS|6|12.ASSET|Equity|472.9|5.06|JPM| JPMorgan Chase & Co.| 1.07%| North America|Equity|Large Cap Growth Equities||GSUS|6|13.ASSET|Equity|472.9|4.63|PG| Procter & Gamble Company| 0.98%| North America|Equity|Large Cap Growth Equities||GSUS|6|14.ASSET|Equity|472.9|4.3|V| Visa Inc. Class A| 0.91%| North America|Equity|Large Cap Growth Equities||GSUS|6|15.ASSET|Equity|472.9|4.26|HD| Home Depot, Inc.| 0.90%| North America|Multi-Asset|Mid Cap Blend Equities||PTMC|6|1.ASSET|Multi-Asset|442.1|241.78|N/A| United States Treasury Bills 0.0% 28-APR-2022| 54.69%| North America|Multi-Asset|Mid Cap Blend Equities||PTMC|6|2.ASSET|Multi-Asset|442.1|161.15|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 36.45%| North America|Multi-Asset|Mid Cap Blend Equities||PTMC|6|3.ASSET|Multi-Asset|442.1|39.17|N/A| U.S. Dollar| 8.86%| North America|Multi-Asset|Mid Cap Blend Equities||PTMC|6|4.ASSET|Multi-Asset|442.1|0|N/A| SL Green Realty Corp.| 0.00%| North America|Equity|Communications Equities|Telecom|IYZ|6|1.ASSET|Equity|335.4|55.24|CSCO| Cisco Systems, Inc.| 16.47%| North America|Equity|Communications Equities|Telecom|IYZ|6|2.ASSET|Equity|335.4|52.83|VZ| Verizon Communications Inc.| 15.75%| North America|Equity|Communications Equities|Telecom|IYZ|6|3.ASSET|Equity|335.4|49.54|CMCSA| Comcast Corporation Class A| 14.77%| North America|Equity|Communications Equities|Telecom|IYZ|6|4.ASSET|Equity|335.4|16.2|T| AT&T Inc.| 4.83%| North America|Equity|Communications Equities|Telecom|IYZ|6|5.ASSET|Equity|335.4|13.75|TMUS| T-Mobile US, Inc.| 4.10%| North America|Equity|Communications Equities|Telecom|IYZ|6|6.ASSET|Equity|335.4|12.04|CIEN| Ciena Corporation| 3.59%| North America|Equity|Communications Equities|Telecom|IYZ|6|7.ASSET|Equity|335.4|11.54|CHTR| Charter Communications, Inc. Class A| 3.44%| North America|Equity|Communications Equities|Telecom|IYZ|6|8.ASSET|Equity|335.4|11.47|LITE| Lumentum Holdings, Inc.| 3.42%| North America|Equity|Communications Equities|Telecom|IYZ|6|9.ASSET|Equity|335.4|11.3|JNPR| Juniper Networks, Inc.| 3.37%| North America|Equity|Communications Equities|Telecom|IYZ|6|10.ASSET|Equity|335.4|11.14|ANET| Arista Networks, Inc.| 3.32%| North America|Equity|Communications Equities|Telecom|IYZ|6|11.ASSET|Equity|335.4|10.36|VSAT| ViaSat, Inc.| 3.09%| North America|Equity|Communications Equities|Telecom|IYZ|6|12.ASSET|Equity|335.4|10.3|MSI| Motorola Solutions, Inc.| 3.07%| North America|Equity|Communications Equities|Telecom|IYZ|6|13.ASSET|Equity|335.4|10.2|DISH| DISH Network Corporation Class A| 3.04%| North America|Equity|Communications Equities|Telecom|IYZ|6|14.ASSET|Equity|335.4|9.42|UI| Ubiquiti Inc.| 2.81%| North America|Equity|Communications Equities|Telecom|IYZ|6|15.ASSET|Equity|335.4|9.19|LUMN| Lumen Technologies, Inc.| 2.74%| North America|Volatility|Leveraged Volatility||SVXY|6|1.ASSET|Volatility|397.9|397.9|N/A| CBOE Volatility Index (VIX) Futures| 100.00%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|1.ASSET|Equity|493.1|1.48|BTE| Baytex Energy Corp.| 0.30%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|2.ASSET|Equity|493.1|1.48|ERF| Enerplus Corporation| 0.30%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|3.ASSET|Equity|493.1|1.38|ICL| ICL Group Ltd.| 0.28%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|4.ASSET|Equity|493.1|1.33|BBD.B| Bombardier Inc. Class B| 0.27%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|5.ASSET|Equity|493.1|1.28|028050| Samsung Engineering Co., Ltd.| 0.26%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|6.ASSET|Equity|493.1|1.23|000060| Meritz Fire & Marine Insurance Co., Ltd| 0.25%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|7.ASSET|Equity|493.1|1.18|000150| Doosan Corporation| 0.24%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|8.ASSET|Equity|493.1|1.13|151| Want Want China Holdings Limited| 0.23%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|9.ASSET|Equity|493.1|1.13|DLEKG| Delek Group Ltd.| 0.23%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|10.ASSET|Equity|493.1|1.08|TSEM| Tower Semiconductor Ltd| 0.22%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|11.ASSET|Equity|493.1|1.08|011200| HMM CO.,LTD| 0.22%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|12.ASSET|Equity|493.1|1.04|DOL| Dollarama Inc.| 0.21%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|13.ASSET|Equity|493.1|1.04|SZG| Salzgitter AG| 0.21%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|14.ASSET|Equity|493.1|0.99|AKRBP| Aker BP ASA| 0.20%| Global ex-U.S.|Equity|Foreign Small & Mid Cap Equities||PDN|6|15.ASSET|Equity|493.1|0.99|ELI| Elia Group SA/NV| 0.20%| North America|Equity|Small Cap Value Equities||XSVM|6|1.ASSET|Equity|633.9|15.66|ZEUS| Olympic Steel, Inc.| 2.47%| North America|Equity|Small Cap Value Equities||XSVM|6|2.ASSET|Equity|633.9|12.55|RYAM| Rayonier Advanced Materials Inc| 1.98%| North America|Equity|Small Cap Value Equities||XSVM|6|3.ASSET|Equity|633.9|12.3|ANDE| Andersons, Inc.| 1.94%| North America|Equity|Small Cap Value Equities||XSVM|6|4.ASSET|Equity|633.9|12.11|RLGY| Realogy Holdings Corp.| 1.91%| North America|Equity|Small Cap Value Equities||XSVM|6|5.ASSET|Equity|633.9|9.7|ODP| ODP Corporation| 1.53%| North America|Equity|Small Cap Value Equities||XSVM|6|6.ASSET|Equity|633.9|9.7|FDP| Fresh Del Monte Produce Inc.| 1.53%| North America|Equity|Small Cap Value Equities||XSVM|6|7.ASSET|Equity|633.9|9.25|BCC| Boise Cascade Co.| 1.46%| North America|Equity|Small Cap Value Equities||XSVM|6|8.ASSET|Equity|633.9|9.13|PBF| PBF Energy, Inc. Class A| 1.44%| North America|Equity|Small Cap Value Equities||XSVM|6|9.ASSET|Equity|633.9|9|COOP| Mr. Cooper Group, Inc.| 1.42%| North America|Equity|Small Cap Value Equities||XSVM|6|10.ASSET|Equity|633.9|9|SXC| SunCoke Energy, Inc.| 1.42%| North America|Equity|Small Cap Value Equities||XSVM|6|11.ASSET|Equity|633.9|8.49|TMST| TimkenSteel Corp| 1.34%| North America|Equity|Small Cap Value Equities||XSVM|6|12.ASSET|Equity|633.9|8.05|SSP| E. W. Scripps Company Class A| 1.27%| North America|Equity|Small Cap Value Equities||XSVM|6|13.ASSET|Equity|633.9|8.05|TWI| Titan International, Inc.| 1.27%| North America|Equity|Small Cap Value Equities||XSVM|6|14.ASSET|Equity|633.9|7.67|SCSC| ScanSource, Inc.| 1.21%| North America|Equity|Small Cap Value Equities||XSVM|6|15.ASSET|Equity|633.9|7.67|MERC| Mercer International Inc.| 1.21%| North America|Equity|All Cap Equities||VFVA|6|1.ASSET|Equity|544.5|7.84|T| AT&T Inc.| 1.44%| North America|Equity|All Cap Equities||VFVA|6|2.ASSET|Equity|544.5|5.34|BMY| Bristol-Myers Squibb Company| 0.98%| North America|Equity|All Cap Equities||VFVA|6|3.ASSET|Equity|544.5|4.74|GM| General Motors Company| 0.87%| North America|Equity|All Cap Equities||VFVA|6|4.ASSET|Equity|544.5|4.52|MU| Micron Technology, Inc.| 0.83%| North America|Equity|All Cap Equities||VFVA|6|5.ASSET|Equity|544.5|4.41|HCA| HCA Healthcare Inc| 0.81%| North America|Equity|All Cap Equities||VFVA|6|6.ASSET|Equity|544.5|4.36|CVS| CVS Health Corporation| 0.80%| North America|Equity|All Cap Equities||VFVA|6|7.ASSET|Equity|544.5|4.08|XOM| Exxon Mobil Corporation| 0.75%| North America|Equity|All Cap Equities||VFVA|6|8.ASSET|Equity|544.5|3.97|DOW| Dow, Inc.| 0.73%| North America|Equity|All Cap Equities||VFVA|6|9.ASSET|Equity|544.5|3.76|INTC| Intel Corporation| 0.69%| North America|Equity|All Cap Equities||VFVA|6|10.ASSET|Equity|544.5|3.76|GILD| Gilead Sciences, Inc.| 0.69%| North America|Equity|All Cap Equities||VFVA|6|11.ASSET|Equity|544.5|3.76|EOG| EOG Resources, Inc.| 0.69%| North America|Equity|All Cap Equities||VFVA|6|12.ASSET|Equity|544.5|3.76|F| Ford Motor Company| 0.69%| North America|Equity|All Cap Equities||VFVA|6|13.ASSET|Equity|544.5|3.7|CVX| Chevron Corporation| 0.68%| North America|Equity|All Cap Equities||VFVA|6|14.ASSET|Equity|544.5|3.65|C| Citigroup Inc.| 0.67%| North America|Equity|All Cap Equities||VFVA|6|15.ASSET|Equity|544.5|3.59|COP| ConocoPhillips| 0.66%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|1.ASSET|Multi-Asset|333.2|107.16|N/A| United States Treasury Notes 1.875% 28-FEB-2027| 32.16%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|2.ASSET|Multi-Asset|333.2|15.53|AAPL| Apple Inc.| 4.66%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|3.ASSET|Multi-Asset|333.2|13.49|MSFT| Microsoft Corporation| 4.05%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|4.ASSET|Multi-Asset|333.2|7.93|AMZN| Amazon.com, Inc.| 2.38%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|5.ASSET|Multi-Asset|333.2|4.83|GOOGL| Alphabet Inc. Class A| 1.45%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|6.ASSET|Multi-Asset|333.2|4.5|GOOG| Alphabet Inc. Class C| 1.35%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|7.ASSET|Multi-Asset|333.2|4.3|TSLA| Tesla Inc| 1.29%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|8.ASSET|Multi-Asset|333.2|3.63|NVDA| NVIDIA Corporation| 1.09%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|9.ASSET|Multi-Asset|333.2|3.53|BRK.B| Berkshire Hathaway Inc. Class B| 1.06%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|10.ASSET|Multi-Asset|333.2|2.93|FB| Meta Platforms Inc. Class A| 0.88%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|11.ASSET|Multi-Asset|333.2|2.73|UNH| UnitedHealth Group Incorporated| 0.82%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|12.ASSET|Multi-Asset|333.2|2.6|JNJ| Johnson & Johnson| 0.78%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|13.ASSET|Multi-Asset|333.2|2.47|JPM| JPMorgan Chase & Co.| 0.74%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|14.ASSET|Multi-Asset|333.2|2.23|PG| Procter & Gamble Company| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||DMRL|6|15.ASSET|Multi-Asset|333.2|2.1|V| Visa Inc. Class A| 0.63%| North America|Equity|Large Cap Blend Equities||FVAL|6|1.ASSET|Equity|537.6|37.31|AAPL| Apple Inc.| 6.94%| North America|Equity|Large Cap Blend Equities||FVAL|6|2.ASSET|Equity|537.6|33.06|MSFT| Microsoft Corporation| 6.15%| North America|Equity|Large Cap Blend Equities||FVAL|6|3.ASSET|Equity|537.6|21.56|GOOGL| Alphabet Inc. Class A| 4.01%| North America|Equity|Large Cap Blend Equities||FVAL|6|4.ASSET|Equity|537.6|20.54|AMZN| Amazon.com, Inc.| 3.82%| North America|Equity|Large Cap Blend Equities||FVAL|6|5.ASSET|Equity|537.6|10.43|BRK.B| Berkshire Hathaway Inc. Class B| 1.94%| North America|Equity|Large Cap Blend Equities||FVAL|6|6.ASSET|Equity|537.6|10|JNJ| Johnson & Johnson| 1.86%| North America|Equity|Large Cap Blend Equities||FVAL|6|7.ASSET|Equity|537.6|8.28|V| Visa Inc. Class A| 1.54%| North America|Equity|Large Cap Blend Equities||FVAL|6|8.ASSET|Equity|537.6|7.85|JPM| JPMorgan Chase & Co.| 1.46%| North America|Equity|Large Cap Blend Equities||FVAL|6|9.ASSET|Equity|537.6|7.8|FB| Meta Platforms Inc. Class A| 1.45%| North America|Equity|Large Cap Blend Equities||FVAL|6|10.ASSET|Equity|537.6|7.53|PFE| Pfizer Inc.| 1.40%| North America|Equity|Large Cap Blend Equities||FVAL|6|11.ASSET|Equity|537.6|7.2|PG| Procter & Gamble Company| 1.34%| North America|Equity|Large Cap Blend Equities||FVAL|6|12.ASSET|Equity|537.6|6.94|MRK| Merck & Co., Inc.| 1.29%| North America|Equity|Large Cap Blend Equities||FVAL|6|13.ASSET|Equity|537.6|6.88|BMY| Bristol-Myers Squibb Company| 1.28%| North America|Equity|Large Cap Blend Equities||FVAL|6|14.ASSET|Equity|537.6|6.83|INTC| Intel Corporation| 1.27%| North America|Equity|Large Cap Blend Equities||FVAL|6|15.ASSET|Equity|537.6|6.56|BAC| Bank of America Corp| 1.22%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|1.ASSET|Equity|331.6|18.57|LLY| Eli Lilly and Company| 5.60%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|2.ASSET|Equity|331.6|18.04|AMGN| Amgen Inc.| 5.44%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|3.ASSET|Equity|331.6|18.01|JNJ| Johnson & Johnson| 5.43%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|4.ASSET|Equity|331.6|17.94|ABBV| AbbVie, Inc.| 5.41%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|5.ASSET|Equity|331.6|17.87|ABT| Abbott Laboratories| 5.39%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|6.ASSET|Equity|331.6|17.64|MRK| Merck & Co., Inc.| 5.32%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|7.ASSET|Equity|331.6|17.54|GILD| Gilead Sciences, Inc.| 5.29%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|8.ASSET|Equity|331.6|17.51|PFE| Pfizer Inc.| 5.28%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|9.ASSET|Equity|331.6|11.54|PCRX| Pacira Biosciences, Inc.| 3.48%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|10.ASSET|Equity|331.6|11.47|JAZZ| Jazz Pharmaceuticals Public Limited Company| 3.46%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|11.ASSET|Equity|331.6|11.04|AMPH| Amphastar Pharmaceuticals Inc| 3.33%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|12.ASSET|Equity|331.6|10.88|CORT| Corcept Therapeutics Incorporated.| 3.28%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|13.ASSET|Equity|331.6|10.84|ENTA| Enanta Pharmaceuticals, Inc.| 3.27%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|14.ASSET|Equity|331.6|10.74|HZNP| Horizon Therapeutics Public Limited Company| 3.24%| North America|Equity|Health & Biotech Equities|Healthcare|PJP|6|15.ASSET|Equity|331.6|10.54|LGND| Ligand Pharmaceuticals Incorporated| 3.18%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|1.ASSET|Preferred Stock|407.2|14.98|N/A| Bank of New York Mellon Corporation Depositary Shs Repr 1/100th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs Ser H| 3.68%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|2.ASSET|Preferred Stock|407.2|13.89|N/A| Dominion Energy Inc Fixed-to-Fltg Cum Red Perp Pfd Registered Shs Series B| 3.41%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|3.ASSET|Preferred Stock|407.2|11.93|N/A| EQUITY OTHER| 2.93%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|4.ASSET|Preferred Stock|407.2|11.61|N/A| U.S. Bancorp Depositary Shs Repr 1/25th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs Ser N| 2.85%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|5.ASSET|Preferred Stock|407.2|10.79|Other| American Express Co Depositary Shs Repr 1/1\'000th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs Ser D| 2.65%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|6.ASSET|Preferred Stock|407.2|10.18|N/A| Charles Taylor Ltd Term Loan| 2.50%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|7.ASSET|Preferred Stock|407.2|9.81|N/A| Prudential Financial, Inc. 3.7% 01-OCT-2050| 2.41%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|8.ASSET|Preferred Stock|407.2|9.53|N/A| Duke Energy Corp Cum Red Perp Pfd Registered Shs Series B| 2.34%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|9.ASSET|Preferred Stock|407.2|9.08|N/A| Citigroup Inc. Depositary Shs Repr 1/25th Fix/Fltg Non-Cum Red Perp Pfd Rg ShsSer W| 2.23%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|10.ASSET|Preferred Stock|407.2|8.88|Q65GB7.W| HSBC Capital Funding LP 10.176 % Non-Cum Pref Sec 2000-Without Fixed Maturity Series 2 Reg S| 2.18%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|11.ASSET|Preferred Stock|407.2|8.75|N/A| TransCanada Trust 5.5% 15-SEP-2079| 2.15%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|12.ASSET|Preferred Stock|407.2|8.23|N/A| Sumitomo Life Insurance Company 6.5% 20-SEP-2073| 2.02%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|13.ASSET|Preferred Stock|407.2|8.06|N/A| MetLife, Inc. 9.25% 08-APR-2038| 1.98%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|14.ASSET|Preferred Stock|407.2|7.74|N/A| Emera Incorporated 6.75% 15-JUN-2076| 1.90%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||PREF|6|15.ASSET|Preferred Stock|407.2|7.74|TFC4923642| Truist Financial Corporation Depositary Shs Repr 1/25thPerp Non-Cum Red Pfd Registered Shs Series N| 1.90%| |Equity|All Cap Equities||BUFR|6|1.ASSET|Equity|654.2|54.82|FMAR| FT Cboe Vest U.S. Equity Buffer ETF - March| 8.38%| |Equity|All Cap Equities||BUFR|6|2.ASSET|Equity|654.2|54.63|FAUG| FT Cboe Vest U.S. Equity Buffer ETF - August| 8.35%| |Equity|All Cap Equities||BUFR|6|3.ASSET|Equity|654.2|54.63|FJUN| FT Cboe Vest U.S. Equity Buffer ETF - June| 8.35%| |Equity|All Cap Equities||BUFR|6|4.ASSET|Equity|654.2|54.56|FSEP| FT Cboe Vest U.S. Equity Buffer ETF - September| 8.34%| |Equity|All Cap Equities||BUFR|6|5.ASSET|Equity|654.2|54.56|FAPR| FT Cboe Vest U.S. Equity Buffer ETF - April| 8.34%| |Equity|All Cap Equities||BUFR|6|6.ASSET|Equity|654.2|54.49|FDEC| FT Cboe Vest U.S. Equity Buffer ETF - December| 8.33%| |Equity|All Cap Equities||BUFR|6|7.ASSET|Equity|654.2|54.49|FJUL| FT Cboe Vest U.S. Equity Buffer ETF - July| 8.33%| |Equity|All Cap Equities||BUFR|6|8.ASSET|Equity|654.2|54.49|FMAY| FT Cboe Vest U.S. Equity Buffer ETF - May| 8.33%| |Equity|All Cap Equities||BUFR|6|9.ASSET|Equity|654.2|54.49|FJAN| FT Cboe Vest U.S. Equity Buffer ETF - January| 8.33%| |Equity|All Cap Equities||BUFR|6|10.ASSET|Equity|654.2|54.43|FNOV| FT Cboe Vest U.S. Equity Buffer ETF - November| 8.32%| |Equity|All Cap Equities||BUFR|6|11.ASSET|Equity|654.2|54.43|FOCT| FT Cboe Vest U.S. Equity Buffer ETF- October| 8.32%| |Equity|All Cap Equities||BUFR|6|12.ASSET|Equity|654.2|54.04|FFEB| FT Cboe Vest U.S. Equity Buffer ETF - February| 8.26%| |Equity|All Cap Equities||BUFR|6|13.ASSET|Equity|654.2|0.2|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 0.03%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|1.ASSET|Bond|376.8|3.13|SSIXX| State Street Institutional Liquid Reserves Fund| 0.83%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|2.ASSET|Bond|376.8|1.24|N/A| CORPORATE BOND| 0.33%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|3.ASSET|Bond|376.8|1.02|N/A| Goldman Sachs Group, Inc. 3.75% 22-MAY-2025| 0.27%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|4.ASSET|Bond|376.8|0.94|N/A| Citigroup Inc. 3.668% 24-JUL-2028| 0.25%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|5.ASSET|Bond|376.8|0.9|N/A| Owl Rock Capital Corporation 5.25% 15-APR-2024| 0.24%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|6.ASSET|Bond|376.8|0.87|N/A| Citigroup Inc. 3.2% 21-OCT-2026| 0.23%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|7.ASSET|Bond|376.8|0.79|N/A| GE Capital International Funding Co. 4.418% 15-NOV-2035| 0.21%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|8.ASSET|Bond|376.8|0.75|N/A| Wells Fargo & Company 4.65% 04-NOV-2044| 0.20%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|9.ASSET|Bond|376.8|0.72|N/A| Goldman Sachs Group, Inc. 4.411% 23-APR-2039| 0.19%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|10.ASSET|Bond|376.8|0.68|N/A| Morgan Stanley 6.375% 24-JUL-2042| 0.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|11.ASSET|Bond|376.8|0.68|N/A| Barclays Plc 5.2% 12-MAY-2026| 0.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|12.ASSET|Bond|376.8|0.68|N/A| Goldman Sachs Group, Inc. 4.223% 01-MAY-2029| 0.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|13.ASSET|Bond|376.8|0.64|N/A| Intel Corporation 2.45% 15-NOV-2029| 0.17%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|14.ASSET|Bond|376.8|0.64|N/A| AT&T Inc. 3.8% 01-DEC-2057| 0.17%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|SPBO|6|15.ASSET|Bond|376.8|0.64|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 0.17%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|1.ASSET|Equity|418.7|25.58|VWS| Vestas Wind Systems A/S| 6.11%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|2.ASSET|Equity|418.7|20.89|DLR| Digital Realty Trust, Inc.| 4.99%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|3.ASSET|Equity|418.7|19.64|TSLA| Tesla Inc| 4.69%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|4.ASSET|Equity|418.7|17.92|NIO| NIO Inc. Sponsored ADR Class A| 4.28%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|5.ASSET|Equity|418.7|17.71|ENPH| Enphase Energy, Inc.| 4.23%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|6.ASSET|Equity|418.7|15.87|9022| Central Japan Railway Company| 3.79%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|7.ASSET|Equity|418.7|13.82|SEDG| SolarEdge Technologies, Inc.| 3.30%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|8.ASSET|Equity|418.7|13.69|LI| Li Auto, Inc. Sponsored ADR Class A| 3.27%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|9.ASSET|Equity|418.7|11.93|KRX| Kingspan Group Plc| 2.85%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|10.ASSET|Equity|418.7|10.68|XPEV| XPeng, Inc. ADR Sponsored Class A| 2.55%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|11.ASSET|Equity|418.7|10.09|DAR| Darling Ingredients Inc.| 2.41%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|12.ASSET|Equity|418.7|9.67|300750| Contemporary Amperex Technology Co., Ltd. Class A| 2.31%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|13.ASSET|Equity|418.7|8|INDA| iShares MSCI India ETF| 1.91%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|14.ASSET|Equity|418.7|7.66|WFG| West Fraser Timber Co. Ltd.| 1.83%| Developed Markets|Equity|Alternative Energy Equities|Energy|ERTH|6|15.ASSET|Equity|418.7|7.08|968| Xinyi Solar Holdings Ltd.| 1.69%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|1.ASSET|Equity|407.7|94.71|SQM.B| Sociedad Quimica y Minera de Chile SA Pfd Series B| 23.23%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|2.ASSET|Equity|407.7|53.08|CHILE| Banco de Chile| 13.02%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|3.ASSET|Equity|407.7|29.23|ENELAM| Enel Americas S.A.| 7.17%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|4.ASSET|Equity|407.7|18.96|BSANTANDER| Banco Santander-Chile| 4.65%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|5.ASSET|Equity|407.7|17.82|CMPC| Empresas CMPC S.A.| 4.37%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|6.ASSET|Equity|407.7|17.61|COPEC| Empresas Copec S.A.| 4.32%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|7.ASSET|Equity|407.7|17.37|BCI| Banco de Credito e Inversiones| 4.26%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|8.ASSET|Equity|407.7|15.86|FALABELLA| Falabella S.A.| 3.89%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|9.ASSET|Equity|407.7|15.78|CENCOSUD| Cencosud S.A.| 3.87%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|10.ASSET|Equity|407.7|14.55|CCU| Compania Cervecerias Unidas S.A.| 3.57%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|11.ASSET|Equity|407.7|13.21|CAP| CAP S.A.| 3.24%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|12.ASSET|Equity|407.7|11.46|ANDINA.B| Embotelladora Andina SA Pfd B| 2.81%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|13.ASSET|Equity|407.7|11.29|ENELCHILE| Enel Chile SA| 2.77%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|14.ASSET|Equity|407.7|9.54|CONCHATORO| Vina Concha Y Toro S.A.| 2.34%| Latin America|Equity|Foreign Large Cap Equities||ECH|6|15.ASSET|Equity|407.7|9.38|AGUAS.A| Aguas Andinas S.A. Class A| 2.30%| North America|Bond|National Munis|Municipal Bond|SHYD|6|1.ASSET|Bond|446|7|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 0.0% 01-JUL-2024| 1.57%| North America|Bond|National Munis|Municipal Bond|SHYD|6|2.ASSET|Bond|446|4.82|N/A| Florida Dev Fin Corp Surface Transn Fac Rev VAR 01-JAN-2049| 1.08%| North America|Bond|National Munis|Municipal Bond|SHYD|6|3.ASSET|Bond|446|3.7|N/A| New York Transn Dev Corp Spl Fac Rev 5.0% 01-JAN-2031| 0.83%| North America|Bond|National Munis|Municipal Bond|SHYD|6|4.ASSET|Bond|446|3.57|N/A| Puerto Rico Comwlth Aqueduct & Swr Auth Rev 5.0% 01-JUL-2030| 0.80%| North America|Bond|National Munis|Municipal Bond|SHYD|6|5.ASSET|Bond|446|3.48|N/A| Chicago Ill Brd Ed 5.0% 01-DEC-2031| 0.78%| North America|Bond|National Munis|Municipal Bond|SHYD|6|6.ASSET|Bond|446|3.43|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 0.0% 01-JUL-2027| 0.77%| North America|Bond|National Munis|Municipal Bond|SHYD|6|7.ASSET|Bond|446|3.43|N/A| California Mun Fin Auth Spl Fac Rev 4.0% 15-JUL-2029| 0.77%| North America|Bond|National Munis|Municipal Bond|SHYD|6|8.ASSET|Bond|446|2.99|N/A| U.S. Dollar| 0.67%| North America|Bond|National Munis|Municipal Bond|SHYD|6|9.ASSET|Bond|446|2.9|N/A| Grand Forks Cnty N D Solid Waste Disp Fac Rev 6.625% 15-DEC-2031| 0.65%| North America|Bond|National Munis|Municipal Bond|SHYD|6|10.ASSET|Bond|446|2.85|N/A| Illinois St Sales Tax Rev 3.0% 15-JUN-2032| 0.64%| North America|Bond|National Munis|Municipal Bond|SHYD|6|11.ASSET|Bond|446|2.77|N/A| Florida Dev Fin Corp Surface Transn Fac Rev VAR 01-JAN-2049| 0.62%| North America|Bond|National Munis|Municipal Bond|SHYD|6|12.ASSET|Bond|446|2.68|N/A| Tuscaloosa Cnty Ala Indl Dev Gulf Opportunity Zone 4.5% 01-MAY-2032| 0.60%| North America|Bond|National Munis|Municipal Bond|SHYD|6|13.ASSET|Bond|446|2.54|N/A| Calhoun Cnty Tex Nav Indl Dev Auth Fac Rev 3.625% 01-JUL-2026| 0.57%| North America|Bond|National Munis|Municipal Bond|SHYD|6|14.ASSET|Bond|446|2.45|N/A| California Health Facs Fing Auth Rev 5.0% 01-APR-2033| 0.55%| North America|Bond|National Munis|Municipal Bond|SHYD|6|15.ASSET|Bond|446|2.45|N/A| Washington St Convention Ctr Pub Facs Dist 4.0% 01-JUL-2031| 0.55%| North America|Equity|Small Cap Value Equities||ISCV|6|1.ASSET|Equity|409.6|2.21|WBS| Webster Financial Corporation| 0.54%| North America|Equity|Small Cap Value Equities||ISCV|6|2.ASSET|Equity|409.6|2.05|THC| Tenet Healthcare Corporation| 0.50%| North America|Equity|Small Cap Value Equities||ISCV|6|3.ASSET|Equity|409.6|1.88|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.46%| North America|Equity|Small Cap Value Equities||ISCV|6|4.ASSET|Equity|409.6|1.8|CHK| Chesapeake Energy Corporation| 0.44%| North America|Equity|Small Cap Value Equities||ISCV|6|5.ASSET|Equity|409.6|1.64|OGE| OGE Energy Corp.| 0.40%| North America|Equity|Small Cap Value Equities||ISCV|6|6.ASSET|Equity|409.6|1.64|X| United States Steel Corporation| 0.40%| North America|Equity|Small Cap Value Equities||ISCV|6|7.ASSET|Equity|409.6|1.64|NXST| Nexstar Media Group, Inc. Class A| 0.40%| North America|Equity|Small Cap Value Equities||ISCV|6|8.ASSET|Equity|409.6|1.6|SNV| Synovus Financial Corp.| 0.39%| North America|Equity|Small Cap Value Equities||ISCV|6|9.ASSET|Equity|409.6|1.56|IIVI| II-VI Incorporated| 0.38%| North America|Equity|Small Cap Value Equities||ISCV|6|10.ASSET|Equity|409.6|1.56|SF| Stifel Financial Corp.| 0.38%| North America|Equity|Small Cap Value Equities||ISCV|6|11.ASSET|Equity|409.6|1.43|OHI| Omega Healthcare Investors, Inc.| 0.35%| North America|Equity|Small Cap Value Equities||ISCV|6|12.ASSET|Equity|409.6|1.43|ALK| Alaska Air Group, Inc.| 0.35%| North America|Equity|Small Cap Value Equities||ISCV|6|13.ASSET|Equity|409.6|1.43|PII| Polaris Inc.| 0.35%| North America|Equity|Small Cap Value Equities||ISCV|6|14.ASSET|Equity|409.6|1.43|PB| Prosperity Bancshares, Inc.(R)| 0.35%| North America|Equity|Small Cap Value Equities||ISCV|6|15.ASSET|Equity|409.6|1.43|CACI| CACI International Inc Class A| 0.35%| North America|Equity|Large Cap Growth Equities||QQQE|6|1.ASSET|Equity|641.5|9.3|ATVI| Activision Blizzard, Inc.| 1.45%| North America|Equity|Large Cap Growth Equities||QQQE|6|2.ASSET|Equity|641.5|7.95|BIDU| Baidu Inc Sponsored ADR Class A| 1.24%| North America|Equity|Large Cap Growth Equities||QQQE|6|3.ASSET|Equity|641.5|7.89|MU| Micron Technology, Inc.| 1.23%| North America|Equity|Large Cap Growth Equities||QQQE|6|4.ASSET|Equity|641.5|7.83|MAR| Marriott International, Inc. Class A| 1.22%| North America|Equity|Large Cap Growth Equities||QQQE|6|5.ASSET|Equity|641.5|7.7|PCAR| PACCAR Inc| 1.20%| North America|Equity|Large Cap Growth Equities||QQQE|6|6.ASSET|Equity|641.5|7.7|KHC| Kraft Heinz Company| 1.20%| North America|Equity|Large Cap Growth Equities||QQQE|6|7.ASSET|Equity|641.5|7.7|PANW| Palo Alto Networks, Inc.| 1.20%| North America|Equity|Large Cap Growth Equities||QQQE|6|8.ASSET|Equity|641.5|7.63|VRTX| Vertex Pharmaceuticals Incorporated| 1.19%| North America|Equity|Large Cap Growth Equities||QQQE|6|9.ASSET|Equity|641.5|7.57|KDP| Keurig Dr Pepper Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||QQQE|6|10.ASSET|Equity|641.5|7.38|AEP| American Electric Power Company, Inc.| 1.15%| North America|Equity|Large Cap Growth Equities||QQQE|6|11.ASSET|Equity|641.5|7.38|TMUS| T-Mobile US, Inc.| 1.15%| North America|Equity|Large Cap Growth Equities||QQQE|6|12.ASSET|Equity|641.5|7.31|CTSH| Cognizant Technology Solutions Corporation Class A| 1.14%| North America|Equity|Large Cap Growth Equities||QQQE|6|13.ASSET|Equity|641.5|7.25|FTNT| Fortinet, Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||QQQE|6|14.ASSET|Equity|641.5|7.25|SPLK| Splunk Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||QQQE|6|15.ASSET|Equity|641.5|7.18|AMGN| Amgen Inc.| 1.12%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|1.ASSET|Equity|431.6|3.58|PLS| Pilbara Minerals Limited| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|2.ASSET|Equity|431.6|3.37|EQNR| Equinor ASA| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|3.ASSET|Equity|431.6|3.32|9107| Kawasaki Kisen Kaisha, Ltd.| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|4.ASSET|Equity|431.6|3.19|CVE| Cenovus Energy Inc.| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|5.ASSET|Equity|431.6|3.19|9101| Nippon Yusen Kabushiki Kaisha| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|6.ASSET|Equity|431.6|3.19|FMG| Fortescue Metals Group Ltd| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|7.ASSET|Equity|431.6|3.15|9104| Mitsui O.S.K.Lines,Ltd.| 0.73%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|8.ASSET|Equity|431.6|3.11|NST| Northern Star Resources Ltd| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|9.ASSET|Equity|431.6|3.02|AAL| Anglo American plc| 0.70%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|10.ASSET|Equity|431.6|2.98|MAERSK.B| A.P. Moller - Maersk A/S Class B| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|11.ASSET|Equity|431.6|2.98|WFG| West Fraser Timber Co. Ltd.| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|12.ASSET|Equity|431.6|2.98|BOL| Boliden AB| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|13.ASSET|Equity|431.6|2.93|5713| Sumitomo Metal Mining Co., Ltd.| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|14.ASSET|Equity|431.6|2.93|TOU| Tourmaline Oil Corp.| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||FDT|6|15.ASSET|Equity|431.6|2.85|066970| L & F Co., Ltd.| 0.66%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|1.ASSET|Equity|364.1|36.88|AMZN| Amazon.com, Inc.| 10.13%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|2.ASSET|Equity|364.1|34.77|TSLA| Tesla Inc| 9.55%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|3.ASSET|Equity|364.1|15.07|HD| Home Depot, Inc.| 4.14%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|4.ASSET|Equity|364.1|14.93|7203| Toyota Motor Corp.| 4.10%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|5.ASSET|Equity|364.1|12.53|9988| Alibaba Group Holding Ltd.| 3.44%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|6.ASSET|Equity|364.1|11.8|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.24%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|7.ASSET|Equity|364.1|11.4|MCD| McDonald\'s Corporation| 3.13%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|8.ASSET|Equity|364.1|10.74|NKE| NIKE, Inc. Class B| 2.95%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|9.ASSET|Equity|364.1|9.76|LOW| Lowe\'s Companies, Inc.| 2.68%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|10.ASSET|Equity|364.1|8.01|6758| Sony Group Corporation| 2.20%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|11.ASSET|Equity|364.1|6.81|TGT| Target Corporation| 1.87%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|12.ASSET|Equity|364.1|6.74|SBUX| Starbucks Corporation| 1.85%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|13.ASSET|Equity|364.1|5.57|3690| Meituan Class B| 1.53%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|14.ASSET|Equity|364.1|5.39|BKNG| Booking Holdings Inc.| 1.48%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|RXI|6|15.ASSET|Equity|364.1|4.88|TJX| TJX Companies Inc| 1.34%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|1.ASSET|Real Estate|422.6|32.46|PLD| Prologis, Inc.| 7.68%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|2.ASSET|Real Estate|422.6|23.62|PSA| Public Storage| 5.59%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|3.ASSET|Real Estate|422.6|20.5|SPG| Simon Property Group, Inc.| 4.85%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|4.ASSET|Real Estate|422.6|17.83|AVB| AvalonBay Communities, Inc.| 4.22%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|5.ASSET|Real Estate|422.6|16.1|EQR| Equity Residential| 3.81%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|6.ASSET|Real Estate|422.6|15.64|WY| Weyerhaeuser Company| 3.70%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|7.ASSET|Real Estate|422.6|13.73|EXR| Extra Space Storage Inc.| 3.25%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|8.ASSET|Real Estate|422.6|12.68|MAA| Mid-America Apartment Communities, Inc.| 3.00%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|9.ASSET|Real Estate|422.6|11.28|ESS| Essex Property Trust, Inc.| 2.67%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|10.ASSET|Real Estate|422.6|10.69|DRE| Duke Realty Corporation| 2.53%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|11.ASSET|Real Estate|422.6|10.06|AMT| American Tower Corporation| 2.38%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|12.ASSET|Real Estate|422.6|8.96|PEAK| Healthpeak Properties, Inc.| 2.12%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|13.ASSET|Real Estate|422.6|7.9|16| Sun Hung Kai Properties Limited| 1.87%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|14.ASSET|Real Estate|422.6|6.63|1113| CK Asset Holdings Limited| 1.57%| Developed Markets|Real Estate|Global Real Estate|Real Estate|GQRE|6|15.ASSET|Real Estate|422.6|5.54|KIM| Kimco Realty Corporation| 1.31%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|1.ASSET|Bond|407.3|23.62|N/A| United States Treasury Bond 5.25% 15-NOV-2028| 5.80%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|2.ASSET|Bond|407.3|21.95|N/A| United States Treasury Bond 3.875% 15-AUG-2040| 5.39%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|3.ASSET|Bond|407.3|16.21|N/A| TREASURY ISSUES (LONG-TERM)| 3.98%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|4.ASSET|Bond|407.3|13.56|N/A| United States Treasury Bond 6.25% 15-MAY-2030| 3.33%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|5.ASSET|Bond|407.3|11.57|N/A| United States Treasury Notes 1.375% 31-OCT-2028| 2.84%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|6.ASSET|Bond|407.3|11.4|N/A| United States Treasury Bond 6.125% 15-NOV-2027| 2.80%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|7.ASSET|Bond|407.3|11.24|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 2.76%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|8.ASSET|Bond|407.3|10.22|N/A| United States Treasury Bond 5.375% 15-FEB-2031| 2.51%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|9.ASSET|Bond|407.3|9.94|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 2.44%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|10.ASSET|Bond|407.3|9.04|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 2.22%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|11.ASSET|Bond|407.3|8.76|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 2.15%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|12.ASSET|Bond|407.3|8.47|N/A| United States Treasury Notes 2.875% 15-MAY-2028| 2.08%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|13.ASSET|Bond|407.3|8.19|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 2.01%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|14.ASSET|Bond|407.3|8.06|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 1.98%| North America|Bond|Total Bond Market|Total Bond Market|VBND|6|15.ASSET|Bond|407.3|7.29|N/A| United States Treasury Notes 2.75% 15-FEB-2028| 1.79%| North America|Alternatives|Long-Short||FTLS|6|1.ASSET|Alternatives|479.2|189.04|N/A| U.S. Dollar| 39.45%| North America|Alternatives|Long-Short||FTLS|6|2.ASSET|Alternatives|479.2|24.87|AAPL| Apple Inc.| 5.19%| North America|Alternatives|Long-Short||FTLS|6|3.ASSET|Alternatives|479.2|22.04|MSFT| Microsoft Corporation| 4.60%| North America|Alternatives|Long-Short||FTLS|6|4.ASSET|Alternatives|479.2|10.06|ANET| Arista Networks, Inc.| 2.10%| North America|Alternatives|Long-Short||FTLS|6|5.ASSET|Alternatives|479.2|9.97|PM| Philip Morris International Inc.| 2.08%| North America|Alternatives|Long-Short||FTLS|6|6.ASSET|Alternatives|479.2|9.54|AMZN| Amazon.com, Inc.| 1.99%| North America|Alternatives|Long-Short||FTLS|6|7.ASSET|Alternatives|479.2|9.01|ADI| Analog Devices, Inc.| 1.88%| North America|Alternatives|Long-Short||FTLS|6|8.ASSET|Alternatives|479.2|7.95|SHW| Sherwin-Williams Company| 1.66%| North America|Alternatives|Long-Short||FTLS|6|9.ASSET|Alternatives|479.2|7.81|INTU| Intuit Inc.| 1.63%| North America|Alternatives|Long-Short||FTLS|6|10.ASSET|Alternatives|479.2|7.62|GOOGL| Alphabet Inc. Class A| 1.59%| North America|Alternatives|Long-Short||FTLS|6|11.ASSET|Alternatives|479.2|7.62|GOOG| Alphabet Inc. Class C| 1.59%| North America|Alternatives|Long-Short||FTLS|6|12.ASSET|Alternatives|479.2|6.57|MNST| Monster Beverage Corporation| 1.37%| North America|Alternatives|Long-Short||FTLS|6|13.ASSET|Alternatives|479.2|6.33|BRK.B| Berkshire Hathaway Inc. Class B| 1.32%| North America|Alternatives|Long-Short||FTLS|6|14.ASSET|Alternatives|479.2|5.89|AAL| American Airlines Group, Inc.| 1.23%| North America|Alternatives|Long-Short||FTLS|6|15.ASSET|Alternatives|479.2|5.65|CSGP| CoStar Group, Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||DSTL|6|1.ASSET|Equity|663.2|17.97|ABBV| AbbVie, Inc.| 2.71%| North America|Equity|Large Cap Growth Equities||DSTL|6|2.ASSET|Equity|663.2|16.98|JNJ| Johnson & Johnson| 2.56%| North America|Equity|Large Cap Growth Equities||DSTL|6|3.ASSET|Equity|663.2|15.45|UNH| UnitedHealth Group Incorporated| 2.33%| North America|Equity|Large Cap Growth Equities||DSTL|6|4.ASSET|Equity|663.2|13.07|WMT| Walmart Inc.| 1.97%| North America|Equity|Large Cap Growth Equities||DSTL|6|5.ASSET|Equity|663.2|13|GOOGL| Alphabet Inc. Class A| 1.96%| North America|Equity|Large Cap Growth Equities||DSTL|6|6.ASSET|Equity|663.2|11.94|PG| Procter & Gamble Company| 1.80%| North America|Equity|Large Cap Growth Equities||DSTL|6|7.ASSET|Equity|663.2|11.54|CMCSA| Comcast Corporation Class A| 1.74%| North America|Equity|Large Cap Growth Equities||DSTL|6|8.ASSET|Equity|663.2|11.08|PM| Philip Morris International Inc.| 1.67%| North America|Equity|Large Cap Growth Equities||DSTL|6|9.ASSET|Equity|663.2|10.61|CSCO| Cisco Systems, Inc.| 1.60%| North America|Equity|Large Cap Growth Equities||DSTL|6|10.ASSET|Equity|663.2|10.54|CVS| CVS Health Corporation| 1.59%| North America|Equity|Large Cap Growth Equities||DSTL|6|11.ASSET|Equity|663.2|10.54|LMT| Lockheed Martin Corporation| 1.59%| North America|Equity|Large Cap Growth Equities||DSTL|6|12.ASSET|Equity|663.2|10.48|HD| Home Depot, Inc.| 1.58%| North America|Equity|Large Cap Growth Equities||DSTL|6|13.ASSET|Equity|663.2|10.15|AVGO| Broadcom Inc.| 1.53%| North America|Equity|Large Cap Growth Equities||DSTL|6|14.ASSET|Equity|663.2|9.62|AMGN| Amgen Inc.| 1.45%| North America|Equity|Large Cap Growth Equities||DSTL|6|15.ASSET|Equity|663.2|9.42|CI| Cigna Corporation| 1.42%| North America|Bond|Government Bonds|Treasuries|FLGV|6|1.ASSET|Bond|397.7|35.47|N/A| United States Treasury Notes 0.125% 31-MAY-2022| 8.92%| North America|Bond|Government Bonds|Treasuries|FLGV|6|2.ASSET|Bond|397.7|32.17|N/A| United States Treasury Notes 1.875% 31-JUL-2026| 8.09%| North America|Bond|Government Bonds|Treasuries|FLGV|6|3.ASSET|Bond|397.7|25.33|N/A| United States Treasury Notes 0.5% 30-JUN-2027| 6.37%| North America|Bond|Government Bonds|Treasuries|FLGV|6|4.ASSET|Bond|397.7|17.62|N/A| United States Treasury Notes 1.25% 30-APR-2028| 4.43%| North America|Bond|Government Bonds|Treasuries|FLGV|6|5.ASSET|Bond|397.7|14.4|N/A| United States Treasury Notes 2.5% 15-MAY-2024| 3.62%| North America|Bond|Government Bonds|Treasuries|FLGV|6|6.ASSET|Bond|397.7|13.92|N/A| United States Treasury Notes 1.5% 30-NOV-2024| 3.50%| North America|Bond|Government Bonds|Treasuries|FLGV|6|7.ASSET|Bond|397.7|13.72|N/A| United States Treasury Notes 2.25% 15-NOV-2024| 3.45%| North America|Bond|Government Bonds|Treasuries|FLGV|6|8.ASSET|Bond|397.7|13.32|N/A| United States Treasury Notes 2.125% 31-MAR-2024| 3.35%| North America|Bond|Government Bonds|Treasuries|FLGV|6|9.ASSET|Bond|397.7|13.12|N/A| United States Treasury Notes 2.125% 30-NOV-2024| 3.30%| North America|Bond|Government Bonds|Treasuries|FLGV|6|10.ASSET|Bond|397.7|12.61|N/A| United States Treasury Notes 1.5% 30-SEP-2024| 3.17%| North America|Bond|Government Bonds|Treasuries|FLGV|6|11.ASSET|Bond|397.7|12.57|N/A| United States Treasury Notes 1.25% 31-AUG-2024| 3.16%| North America|Bond|Government Bonds|Treasuries|FLGV|6|12.ASSET|Bond|397.7|12.49|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 3.14%| North America|Bond|Government Bonds|Treasuries|FLGV|6|13.ASSET|Bond|397.7|12.37|N/A| United States Treasury Notes 2.0% 31-MAY-2024| 3.11%| North America|Bond|Government Bonds|Treasuries|FLGV|6|14.ASSET|Bond|397.7|11.49|N/A| United States Treasury Notes 2.0% 30-APR-2024| 2.89%| North America|Bond|Government Bonds|Treasuries|FLGV|6|15.ASSET|Bond|397.7|11.22|N/A| United States Treasury Bond 1.125% 15-AUG-2040| 2.82%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|1.ASSET|Equity|396.8|11.59|UNP| Union Pacific Corporation| 2.92%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|2.ASSET|Equity|396.8|11.03|UPS| United Parcel Service, Inc. Class B| 2.78%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|3.ASSET|Equity|396.8|10.79|RTX| Raytheon Technologies Corporation| 2.72%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|4.ASSET|Equity|396.8|9.17|HON| Honeywell International Inc.| 2.31%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|5.ASSET|Equity|396.8|7.9|SIE| Siemens AG| 1.99%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|6.ASSET|Equity|396.8|7.9|LMT| Lockheed Martin Corporation| 1.99%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|7.ASSET|Equity|396.8|7.82|BA| Boeing Company| 1.97%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|8.ASSET|Equity|396.8|7.58|DE| Deere & Company| 1.91%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|9.ASSET|Equity|396.8|7.46|CAT| Caterpillar Inc.| 1.88%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|10.ASSET|Equity|396.8|7.38|GE| General Electric Company| 1.86%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|11.ASSET|Equity|396.8|6.27|SU| Schneider Electric SE| 1.58%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|12.ASSET|Equity|396.8|6.07|MMM| 3M Company| 1.53%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|13.ASSET|Equity|396.8|5.48|CSX| CSX Corporation| 1.38%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|14.ASSET|Equity|396.8|5.44|CNR| Canadian National Railway Company| 1.37%| Developed Markets|Equity|Industrials Equities|Industrials|EXI|6|15.ASSET|Equity|396.8|5.36|AIR| Airbus SE| 1.35%| North America|Equity|Large Cap Blend Equities||DUSA|6|1.ASSET|Equity|365.2|38.97|COF| Capital One Financial Corporation| 10.67%| North America|Equity|Large Cap Blend Equities||DUSA|6|2.ASSET|Equity|365.2|38.02|GOOG| Alphabet Inc. Class C| 10.41%| North America|Equity|Large Cap Blend Equities||DUSA|6|3.ASSET|Equity|365.2|34.69|BRK.B| Berkshire Hathaway Inc. Class B| 9.50%| North America|Equity|Large Cap Blend Equities||DUSA|6|4.ASSET|Equity|365.2|25.6|WFC| Wells Fargo & Company| 7.01%| North America|Equity|Large Cap Blend Equities||DUSA|6|5.ASSET|Equity|365.2|22.9|AMZN| Amazon.com, Inc.| 6.27%| North America|Equity|Large Cap Blend Equities||DUSA|6|6.ASSET|Equity|365.2|19.54|D05| DBS Group Holdings Ltd| 5.35%| North America|Equity|Large Cap Blend Equities||DUSA|6|7.ASSET|Equity|365.2|17.13|USB| U.S. Bancorp| 4.69%| North America|Equity|Large Cap Blend Equities||DUSA|6|8.ASSET|Equity|365.2|15.45|INTC| Intel Corporation| 4.23%| North America|Equity|Large Cap Blend Equities||DUSA|6|9.ASSET|Equity|365.2|14.75|FB| Meta Platforms Inc. Class A| 4.04%| North America|Equity|Large Cap Blend Equities||DUSA|6|10.ASSET|Equity|365.2|12.45|CI| Cigna Corporation| 3.41%| North America|Equity|Large Cap Blend Equities||DUSA|6|11.ASSET|Equity|365.2|11.36|MKL| Markel Corporation| 3.11%| North America|Equity|Large Cap Blend Equities||DUSA|6|12.ASSET|Equity|365.2|10.99|AMAT| Applied Materials, Inc.| 3.01%| North America|Equity|Large Cap Blend Equities||DUSA|6|13.ASSET|Equity|365.2|10.7|BK| Bank of New York Mellon Corporation| 2.93%| North America|Equity|Large Cap Blend Equities||DUSA|6|14.ASSET|Equity|365.2|10.26|N/A| U.S. Dollar| 2.81%| North America|Equity|Large Cap Blend Equities||DUSA|6|15.ASSET|Equity|365.2|9.57|JPM| JPMorgan Chase & Co.| 2.62%| Global|Commodity|Precious Metals||AAAU|6|1.ASSET|Commodity|704.1|704.1|N/A| Gold| 100.00%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|1.ASSET|Equity|377.6|1.25|5483| Sino-American Silicon Products Inc.| 0.33%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|2.ASSET|Equity|377.6|1.25|500575| Voltas Limited| 0.33%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|3.ASSET|Equity|377.6|1.17|N/A| DERIVATIVE SECURITIES (OTHER)| 0.31%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|4.ASSET|Equity|377.6|1.13|8299| Phison Electronics Corp.| 0.30%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|5.ASSET|Equity|377.6|1.1|500408| Tata Elxsi Limited| 0.29%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|6.ASSET|Equity|377.6|1.1|3661| Alchip Technologies Ltd.| 0.29%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|7.ASSET|Equity|377.6|1.06|2337| Macronix International Co., Ltd.| 0.28%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|8.ASSET|Equity|377.6|1.02|2383| Elite Material Co., Ltd.| 0.27%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|9.ASSET|Equity|377.6|1.02|539876| Crompton Greaves Consumer Electricals Ltd.| 0.27%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|10.ASSET|Equity|377.6|1.02|2027| TA Chen Stainless Pipe Co., Ltd.| 0.27%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|11.ASSET|Equity|377.6|1.02|2376| Gigabyte Technology Co., Ltd.| 0.27%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|12.ASSET|Equity|377.6|0.98|TFG| Foschini Group Limited| 0.26%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|13.ASSET|Equity|377.6|0.98|505537| Zee Entertainment Enterprises Limited| 0.26%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|14.ASSET|Equity|377.6|0.98|2618| Eva Airways Corporation| 0.26%| Emerging Markets|Equity|Foreign Small & Mid Cap Equities||EEMS|6|15.ASSET|Equity|377.6|0.94|3231| Wistron Corporation| 0.25%| North America|Bond|Government Bonds|Treasuries|PLW|6|1.ASSET|Bond|424.1|39.74|N/A| United States Treasury Bond 4.5% 15-FEB-2036| 9.37%| North America|Bond|Government Bonds|Treasuries|PLW|6|2.ASSET|Bond|424.1|39.7|N/A| United States Treasury Bond 4.5% 15-FEB-2036| 9.36%| North America|Bond|Government Bonds|Treasuries|PLW|6|3.ASSET|Bond|424.1|31.17|N/A| United States Treasury Bond 5.375% 15-FEB-2031| 7.35%| North America|Bond|Government Bonds|Treasuries|PLW|6|4.ASSET|Bond|424.1|31|N/A| United States Treasury Bond 5.375% 15-FEB-2031| 7.31%| North America|Bond|Government Bonds|Treasuries|PLW|6|5.ASSET|Bond|424.1|15.01|N/A| United States Treasury Bond 2.25% 15-FEB-2052| 3.54%| North America|Bond|Government Bonds|Treasuries|PLW|6|6.ASSET|Bond|424.1|14.84|N/A| United States Treasury Bond 2.25% 15-FEB-2052| 3.50%| North America|Bond|Government Bonds|Treasuries|PLW|6|7.ASSET|Bond|424.1|14.33|N/A| United States Treasury Notes 1.875% 15-FEB-2032| 3.38%| North America|Bond|Government Bonds|Treasuries|PLW|6|8.ASSET|Bond|424.1|14.33|N/A| United States Treasury Notes 1.875% 15-FEB-2032| 3.38%| North America|Bond|Government Bonds|Treasuries|PLW|6|9.ASSET|Bond|424.1|14.25|N/A| United States Treasury Bond 4.75% 15-FEB-2037| 3.36%| North America|Bond|Government Bonds|Treasuries|PLW|6|10.ASSET|Bond|424.1|14.25|N/A| United States Treasury Bond 4.75% 15-FEB-2037| 3.36%| North America|Bond|Government Bonds|Treasuries|PLW|6|11.ASSET|Bond|424.1|14.25|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 3.36%| North America|Bond|Government Bonds|Treasuries|PLW|6|12.ASSET|Bond|424.1|14.25|N/A| United States Treasury Bond 4.375% 15-FEB-2038| 3.36%| North America|Bond|Government Bonds|Treasuries|PLW|6|13.ASSET|Bond|424.1|14.25|N/A| United States Treasury Bond 4.375% 15-FEB-2038| 3.36%| North America|Bond|Government Bonds|Treasuries|PLW|6|14.ASSET|Bond|424.1|14.21|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 3.35%| North America|Bond|Government Bonds|Treasuries|PLW|6|15.ASSET|Bond|424.1|14.21|N/A| United States Treasury Notes 1.5% 15-FEB-2030| 3.35%| North America|Equity|Small Cap Blend Equities||RWK|6|1.ASSET|Equity|397.2|10.41|PFGC| Performance Food Group Company| 2.62%| North America|Equity|Small Cap Blend Equities||RWK|6|2.ASSET|Equity|397.2|7.9|ARW| Arrow Electronics, Inc.| 1.99%| North America|Equity|Small Cap Blend Equities||RWK|6|3.ASSET|Equity|397.2|6.59|MOH| Molina Healthcare, Inc.| 1.66%| North America|Equity|Small Cap Blend Equities||RWK|6|4.ASSET|Equity|397.2|6.2|JBL| Jabil Inc.| 1.56%| North America|Equity|Small Cap Blend Equities||RWK|6|5.ASSET|Equity|397.2|6.04|LAD| Lithia Motors, Inc.| 1.52%| North America|Equity|Small Cap Blend Equities||RWK|6|6.ASSET|Equity|397.2|5.88|AN| AutoNation, Inc.| 1.48%| North America|Equity|Small Cap Blend Equities||RWK|6|7.ASSET|Equity|397.2|5.72|THC| Tenet Healthcare Corporation| 1.44%| North America|Equity|Small Cap Blend Equities||RWK|6|8.ASSET|Equity|397.2|5.44|SNX| TD SYNNEX Corporation| 1.37%| North America|Equity|Small Cap Blend Equities||RWK|6|9.ASSET|Equity|397.2|5.4|M| Macy\'s Inc| 1.36%| North America|Equity|Small Cap Blend Equities||RWK|6|10.ASSET|Equity|397.2|5.36|AVT| Avnet, Inc.| 1.35%| North America|Equity|Small Cap Blend Equities||RWK|6|11.ASSET|Equity|397.2|5.32|MAN| ManpowerGroup Inc.| 1.34%| North America|Equity|Small Cap Blend Equities||RWK|6|12.ASSET|Equity|397.2|5.32|X| United States Steel Corporation| 1.34%| North America|Equity|Small Cap Blend Equities||RWK|6|13.ASSET|Equity|397.2|5.24|KSS| Kohl\'s Corporation| 1.32%| North America|Equity|Small Cap Blend Equities||RWK|6|14.ASSET|Equity|397.2|4.97|CLF| Cleveland-Cliffs Inc| 1.25%| North America|Equity|Small Cap Blend Equities||RWK|6|15.ASSET|Equity|397.2|4.73|STLD| Steel Dynamics, Inc.| 1.19%| Emerging Markets|Equity|n/a||DFAE|6|1.ASSET|Equity|699.4|39.31|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 5.62%| Emerging Markets|Equity|n/a||DFAE|6|2.ASSET|Equity|699.4|24.41|005930| Samsung Electronics Co., Ltd.| 3.49%| Emerging Markets|Equity|n/a||DFAE|6|3.ASSET|Equity|699.4|22.45|700| Tencent Holdings Ltd.| 3.21%| Emerging Markets|Equity|n/a||DFAE|6|4.ASSET|Equity|699.4|10.84|9988| Alibaba Group Holding Ltd.| 1.55%| Emerging Markets|Equity|n/a||DFAE|6|5.ASSET|Equity|699.4|8.11|939| China Construction Bank Corporation Class H| 1.16%| Emerging Markets|Equity|n/a||DFAE|6|6.ASSET|Equity|699.4|6.22|500325| Reliance Industries Limited| 0.89%| Emerging Markets|Equity|n/a||DFAE|6|7.ASSET|Equity|699.4|6.08|500209| Infosys Limited| 0.87%| Emerging Markets|Equity|n/a||DFAE|6|8.ASSET|Equity|699.4|6.01|3690| Meituan Class B| 0.86%| Emerging Markets|Equity|n/a||DFAE|6|9.ASSET|Equity|699.4|5.74|000660| SK hynix Inc| 0.82%| Emerging Markets|Equity|n/a||DFAE|6|10.ASSET|Equity|699.4|5.11|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 0.73%| Emerging Markets|Equity|n/a||DFAE|6|11.ASSET|Equity|699.4|4.69|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.67%| Emerging Markets|Equity|n/a||DFAE|6|12.ASSET|Equity|699.4|3.92|9618| JD.com, Inc. Class A| 0.56%| Emerging Markets|Equity|n/a||DFAE|6|13.ASSET|Equity|699.4|3.85|2883| China Development Financial Holding Corp.| 0.55%| Emerging Markets|Equity|n/a||DFAE|6|14.ASSET|Equity|699.4|3.78|532540| Tata Consultancy Services Limited| 0.54%| Emerging Markets|Equity|n/a||DFAE|6|15.ASSET|Equity|699.4|3.43|2317| Hon Hai Precision Industry Co., Ltd.| 0.49%| North America|Equity|Large Cap Growth Equities||ROUS|6|1.ASSET|Equity|346.9|4.86|VZ| Verizon Communications Inc.| 1.40%| North America|Equity|Large Cap Growth Equities||ROUS|6|2.ASSET|Equity|346.9|3.92|LLY| Eli Lilly and Company| 1.13%| North America|Equity|Large Cap Growth Equities||ROUS|6|3.ASSET|Equity|346.9|3.78|UNH| UnitedHealth Group Incorporated| 1.09%| North America|Equity|Large Cap Growth Equities||ROUS|6|4.ASSET|Equity|346.9|3.68|HPQ| HP Inc.| 1.06%| North America|Equity|Large Cap Growth Equities||ROUS|6|5.ASSET|Equity|346.9|3.64|BRK.B| Berkshire Hathaway Inc. Class B| 1.05%| North America|Equity|Large Cap Growth Equities||ROUS|6|6.ASSET|Equity|346.9|3.64|CSCO| Cisco Systems, Inc.| 1.05%| North America|Equity|Large Cap Growth Equities||ROUS|6|7.ASSET|Equity|346.9|3.61|MSFT| Microsoft Corporation| 1.04%| North America|Equity|Large Cap Growth Equities||ROUS|6|8.ASSET|Equity|346.9|3.54|JNJ| Johnson & Johnson| 1.02%| North America|Equity|Large Cap Growth Equities||ROUS|6|9.ASSET|Equity|346.9|3.36|STX| Seagate Technology Holdings PLC| 0.97%| North America|Equity|Large Cap Growth Equities||ROUS|6|10.ASSET|Equity|346.9|3.33|ACN| Accenture Plc Class A| 0.96%| North America|Equity|Large Cap Growth Equities||ROUS|6|11.ASSET|Equity|346.9|3.19|GOOGL| Alphabet Inc. Class A| 0.92%| North America|Equity|Large Cap Growth Equities||ROUS|6|12.ASSET|Equity|346.9|3.19|AAPL| Apple Inc.| 0.92%| North America|Equity|Large Cap Growth Equities||ROUS|6|13.ASSET|Equity|346.9|3.19|KR| Kroger Co.| 0.92%| North America|Equity|Large Cap Growth Equities||ROUS|6|14.ASSET|Equity|346.9|3.16|ABBV| AbbVie, Inc.| 0.91%| North America|Equity|Large Cap Growth Equities||ROUS|6|15.ASSET|Equity|346.9|3.02|CVS| CVS Health Corporation| 0.87%| North America|Equity|Small Cap Growth Equities||RFG|6|1.ASSET|Equity|327.3|9.95|LPX| Louisiana-Pacific Corporation| 3.04%| North America|Equity|Small Cap Growth Equities||RFG|6|2.ASSET|Equity|327.3|9.79|CLF| Cleveland-Cliffs Inc| 2.99%| North America|Equity|Small Cap Growth Equities||RFG|6|3.ASSET|Equity|327.3|9.43|CNXC| Concentrix Corporation| 2.88%| North America|Equity|Small Cap Growth Equities||RFG|6|4.ASSET|Equity|327.3|9.23|SLM| SLM Corp| 2.82%| North America|Equity|Small Cap Growth Equities||RFG|6|5.ASSET|Equity|327.3|9.1|NAVI| Navient Corp| 2.78%| North America|Equity|Small Cap Growth Equities||RFG|6|6.ASSET|Equity|327.3|7.86|DKS| Dick\'s Sporting Goods, Inc.| 2.40%| North America|Equity|Small Cap Growth Equities||RFG|6|7.ASSET|Equity|327.3|7.63|JEF| Jefferies Financial Group Inc.| 2.33%| North America|Equity|Small Cap Growth Equities||RFG|6|8.ASSET|Equity|327.3|7.23|STLD| Steel Dynamics, Inc.| 2.21%| North America|Equity|Small Cap Growth Equities||RFG|6|9.ASSET|Equity|327.3|6.42|MIME| Mimecast Limited| 1.96%| North America|Equity|Small Cap Growth Equities||RFG|6|10.ASSET|Equity|327.3|6.32|BLDR| Builders FirstSource, Inc.| 1.93%| North America|Equity|Small Cap Growth Equities||RFG|6|11.ASSET|Equity|327.3|6.02|AM| Antero Midstream Corp.| 1.84%| North America|Equity|Small Cap Growth Equities||RFG|6|12.ASSET|Equity|327.3|5.79|THC| Tenet Healthcare Corporation| 1.77%| North America|Equity|Small Cap Growth Equities||RFG|6|13.ASSET|Equity|327.3|5.73|EVR| Evercore Inc Class A| 1.75%| North America|Equity|Small Cap Growth Equities||RFG|6|14.ASSET|Equity|327.3|5.56|TRGP| Targa Resources Corp.| 1.70%| North America|Equity|Small Cap Growth Equities||RFG|6|15.ASSET|Equity|327.3|5.56|MUR| Murphy Oil Corporation| 1.70%| North America|Equity|Leveraged Equities|Materials|NAIL|6|1.ASSET|Equity|252.1|33.23|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 13.18%| North America|Equity|Leveraged Equities|Materials|NAIL|6|2.ASSET|Equity|252.1|32.47|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 12.88%| North America|Equity|Leveraged Equities|Materials|NAIL|6|3.ASSET|Equity|252.1|19.89|DHI| D.R. Horton, Inc.| 7.89%| North America|Equity|Leveraged Equities|Materials|NAIL|6|4.ASSET|Equity|252.1|17.45|LEN| Lennar Corporation Class A| 6.92%| North America|Equity|Leveraged Equities|Materials|NAIL|6|5.ASSET|Equity|252.1|11.45|NVR| NVR, Inc.| 4.54%| North America|Equity|Leveraged Equities|Materials|NAIL|6|6.ASSET|Equity|252.1|8.82|PHM| PulteGroup, Inc.| 3.50%| North America|Equity|Leveraged Equities|Materials|NAIL|6|7.ASSET|Equity|252.1|6.76|LOW| Lowe\'s Companies, Inc.| 2.68%| North America|Equity|Leveraged Equities|Materials|NAIL|6|8.ASSET|Equity|252.1|6.05|HD| Home Depot, Inc.| 2.40%| North America|Equity|Leveraged Equities|Materials|NAIL|6|9.ASSET|Equity|252.1|5.77|SHW| Sherwin-Williams Company| 2.29%| North America|Equity|Leveraged Equities|Materials|NAIL|6|10.ASSET|Equity|252.1|4.99|DGCXX| Dreyfus Government Cash Management Funds Institutional| 1.98%| North America|Equity|Leveraged Equities|Materials|NAIL|6|11.ASSET|Equity|252.1|4.97|BLD| TopBuild Corp.| 1.97%| North America|Equity|Leveraged Equities|Materials|NAIL|6|12.ASSET|Equity|252.1|4.39|TOL| Toll Brothers, Inc.| 1.74%| North America|Equity|Leveraged Equities|Materials|NAIL|6|13.ASSET|Equity|252.1|3.25|BLDR| Builders FirstSource, Inc.| 1.29%| North America|Equity|Leveraged Equities|Materials|NAIL|6|14.ASSET|Equity|252.1|3.03|MAS| Masco Corporation| 1.20%| North America|Equity|Leveraged Equities|Materials|NAIL|6|15.ASSET|Equity|252.1|2.82|TMHC| Taylor Morrison Home Corporation| 1.12%| Global|Equity|Global Equities||DWLD|6|1.ASSET|Equity|311.7|21.6|WFC| Wells Fargo & Company| 6.93%| Global|Equity|Global Equities||DWLD|6|2.ASSET|Equity|311.7|20.82|D05| DBS Group Holdings Ltd| 6.68%| Global|Equity|Global Equities||DWLD|6|3.ASSET|Equity|311.7|18.7|BRK.B| Berkshire Hathaway Inc. Class B| 6.00%| Global|Equity|Global Equities||DWLD|6|4.ASSET|Equity|311.7|15.68|DANSKE| Danske Bank A/S| 5.03%| Global|Equity|Global Equities||DWLD|6|5.ASSET|Equity|311.7|15.27|JD| JD.com, Inc. Sponsored ADR Class A| 4.90%| Global|Equity|Global Equities||DWLD|6|6.ASSET|Equity|311.7|14.96|GOOG| Alphabet Inc. Class C| 4.80%| Global|Equity|Global Equities||DWLD|6|7.ASSET|Equity|311.7|13.47|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 4.32%| Global|Equity|Global Equities||DWLD|6|8.ASSET|Equity|311.7|12.47|BAER| Julius Baer Gruppe AG| 4.00%| Global|Equity|Global Equities||DWLD|6|9.ASSET|Equity|311.7|12.03|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 3.86%| Global|Equity|Global Equities||DWLD|6|10.ASSET|Equity|311.7|11.53|INTC| Intel Corporation| 3.70%| Global|Equity|Global Equities||DWLD|6|11.ASSET|Equity|311.7|11.53|1299| AIA Group Limited| 3.70%| Global|Equity|Global Equities||DWLD|6|12.ASSET|Equity|311.7|11.35|FB| Meta Platforms Inc. Class A| 3.64%| Global|Equity|Global Equities||DWLD|6|13.ASSET|Equity|311.7|10.94|CI| Cigna Corporation| 3.51%| Global|Equity|Global Equities||DWLD|6|14.ASSET|Equity|311.7|10.66|AMZN| Amazon.com, Inc.| 3.42%| Global|Equity|Global Equities||DWLD|6|15.ASSET|Equity|311.7|10.29|PRX| Prosus N.V. Class N| 3.30%| North America|Equity|Mid Cap Growth Equities||NUMG|6|1.ASSET|Equity|357.2|12.54|MRVL| Marvell Technology, Inc.| 3.51%| North America|Equity|Mid Cap Growth Equities||NUMG|6|2.ASSET|Equity|357.2|10.93|CDNS| Cadence Design Systems, Inc.| 3.06%| North America|Equity|Mid Cap Growth Equities||NUMG|6|3.ASSET|Equity|357.2|10.32|MTD| Mettler-Toledo International Inc.| 2.89%| North America|Equity|Mid Cap Growth Equities||NUMG|6|4.ASSET|Equity|357.2|9.82|HUBS| HubSpot, Inc.| 2.75%| North America|Equity|Mid Cap Growth Equities||NUMG|6|5.ASSET|Equity|357.2|9.39|PAYC| Paycom Software, Inc.| 2.63%| North America|Equity|Mid Cap Growth Equities||NUMG|6|6.ASSET|Equity|357.2|9.25|ZBRA| Zebra Technologies Corporation Class A| 2.59%| North America|Equity|Mid Cap Growth Equities||NUMG|6|7.ASSET|Equity|357.2|9.07|NVAX| Novavax, Inc.| 2.54%| North America|Equity|Mid Cap Growth Equities||NUMG|6|8.ASSET|Equity|357.2|9.07|MTCH| Match Group, Inc.| 2.54%| North America|Equity|Mid Cap Growth Equities||NUMG|6|9.ASSET|Equity|357.2|9.04|CPRT| Copart, Inc.| 2.53%| North America|Equity|Mid Cap Growth Equities||NUMG|6|10.ASSET|Equity|357.2|8.93|GNRC| Generac Holdings Inc.| 2.50%| North America|Equity|Mid Cap Growth Equities||NUMG|6|11.ASSET|Equity|357.2|8.79|NET| Cloudflare Inc Class A| 2.46%| North America|Equity|Mid Cap Growth Equities||NUMG|6|12.ASSET|Equity|357.2|8.68|BLL| Ball Corporation| 2.43%| North America|Equity|Mid Cap Growth Equities||NUMG|6|13.ASSET|Equity|357.2|8.64|ANSS| ANSYS, Inc.| 2.42%| North America|Equity|Mid Cap Growth Equities||NUMG|6|14.ASSET|Equity|357.2|8.39|ETSY| Etsy, Inc.| 2.35%| North America|Equity|Mid Cap Growth Equities||NUMG|6|15.ASSET|Equity|357.2|8.14|TRMB| Trimble Inc.| 2.28%| North America|Equity|Large Cap Blend Equities||FNDB|6|1.ASSET|Equity|428|17.72|AAPL| Apple Inc.| 4.14%| North America|Equity|Large Cap Blend Equities||FNDB|6|2.ASSET|Equity|428|11.21|XOM| Exxon Mobil Corporation| 2.62%| North America|Equity|Large Cap Blend Equities||FNDB|6|3.ASSET|Equity|428|8|MSFT| Microsoft Corporation| 1.87%| North America|Equity|Large Cap Blend Equities||FNDB|6|4.ASSET|Equity|428|7.75|CVX| Chevron Corporation| 1.81%| North America|Equity|Large Cap Blend Equities||FNDB|6|5.ASSET|Equity|428|7.32|BRK.B| Berkshire Hathaway Inc. Class B| 1.71%| North America|Equity|Large Cap Blend Equities||FNDB|6|6.ASSET|Equity|428|6.21|T| AT&T Inc.| 1.45%| North America|Equity|Large Cap Blend Equities||FNDB|6|7.ASSET|Equity|428|5.86|JPM| JPMorgan Chase & Co.| 1.37%| North America|Equity|Large Cap Blend Equities||FNDB|6|8.ASSET|Equity|428|5.82|WFC| Wells Fargo & Company| 1.36%| North America|Equity|Large Cap Blend Equities||FNDB|6|9.ASSET|Equity|428|5.52|VZ| Verizon Communications Inc.| 1.29%| North America|Equity|Large Cap Blend Equities||FNDB|6|10.ASSET|Equity|428|4.84|UNH| UnitedHealth Group Incorporated| 1.13%| North America|Equity|Large Cap Blend Equities||FNDB|6|11.ASSET|Equity|428|4.62|BAC| Bank of America Corp| 1.08%| North America|Equity|Large Cap Blend Equities||FNDB|6|12.ASSET|Equity|428|4.45|JNJ| Johnson & Johnson| 1.04%| North America|Equity|Large Cap Blend Equities||FNDB|6|13.ASSET|Equity|428|4.24|WMT| Walmart Inc.| 0.99%| North America|Equity|Large Cap Blend Equities||FNDB|6|14.ASSET|Equity|428|4.19|PFE| Pfizer Inc.| 0.98%| North America|Equity|Large Cap Blend Equities||FNDB|6|15.ASSET|Equity|428|3.98|INTC| Intel Corporation| 0.93%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|1.ASSET|Equity|465.9|31.36|CPALL.R| CP All Public Co. Ltd. NVDR| 6.73%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|2.ASSET|Equity|465.9|31.26|PTT.R| PTT Public Co., Ltd. NVDR| 6.71%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|3.ASSET|Equity|465.9|23.62|SCC.R| Siam Cement Public Co. Ltd. NVDR| 5.07%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|4.ASSET|Equity|465.9|22.08|ADVANC.R| Advanced Info Service Public Co., Ltd. NVDR| 4.74%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|5.ASSET|Equity|465.9|21.15|AOT.R| Airports of Thailand Public Co. Ltd. NVDR| 4.54%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|6.ASSET|Equity|465.9|17.98|BDMS.R| Bangkok Dusit Medical Services Public Co. Ltd. NVDR| 3.86%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|7.ASSET|Equity|465.9|16.35|PTTEP.R| PTT Exploration & Production Plc NVDR| 3.51%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|8.ASSET|Equity|465.9|11.6|GULF.R| Gulf Energy Development Public Company Limited NVDR| 2.49%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|9.ASSET|Equity|465.9|11.14|EA.R| Energy Absolute Public Co. Ltd. NVDR| 2.39%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|10.ASSET|Equity|465.9|9.27|PTTGC.R| PTT Global Chemical Plc NVDR| 1.99%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|11.ASSET|Equity|465.9|8.99|CPN.R| Central Pattana Public Co. Ltd. NVDR| 1.93%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|12.ASSET|Equity|465.9|8.95|DELTA.R| Delta Electronics (Thailand) Public Co. Ltd. NVDR| 1.92%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|13.ASSET|Equity|465.9|8.34|SCB.R| Siam Commercial Bank Public Company Limited NVDR| 1.79%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|14.ASSET|Equity|465.9|7.64|MINT.R| Minor International Public Co., Ltd. NVDR| 1.64%| Emerging Asia Pacific|Equity|Asia Pacific Equities||THD|6|15.ASSET|Equity|465.9|7.55|CPF.R| Charoen Pokphand Foods Public Co. Ltd. NVDR| 1.62%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|1.ASSET|Bond|312|47.27|N/A| FIXED INCOME (UNCLASSFIED)| 15.15%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|2.ASSET|Bond|312|40.06|N/A| CORPORATE BOND| 12.84%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|3.ASSET|Bond|312|39.97|N/A| Government of the United States of America 0.0% 15-NOV-2047| 12.81%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|4.ASSET|Bond|312|39.28|N/A| Government of the United States of America 0.0% 15-AUG-2049| 12.59%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|5.ASSET|Bond|312|37.38|N/A| Government of the United States of America 0.0% 15-FEB-2049| 11.98%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|6.ASSET|Bond|312|36.54|N/A| Government of the United States of America 0.0% 15-NOV-2048| 11.71%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|7.ASSET|Bond|312|27.49|N/A| Government of the United States of America 0.0% 15-AUG-2047| 8.81%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|8.ASSET|Bond|312|12.64|N/A| Government of the United States of America 0.0% 15-NOV-2049| 4.05%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|9.ASSET|Bond|312|12.39|N/A| Government of the United States of America 0.0% 15-AUG-2050| 3.97%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|10.ASSET|Bond|312|11.36|N/A| Government of the United States of America 0.0% 15-FEB-2050| 3.64%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|11.ASSET|Bond|312|3.18|N/A| Government of the United States of America 0.0% 15-MAY-2049| 1.02%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|12.ASSET|Bond|312|2.37|N/A| Government of the United States of America 0.0% 15-NOV-2046| 0.76%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|13.ASSET|Bond|312|1.53|N/A| Government of the United States of America 0.0% 15-FEB-2047| 0.49%| North America|Bond|Government Bonds|Treasuries|GOVZ|6|14.ASSET|Bond|312|0.56|N/A| U.S. Dollar| 0.18%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|1.ASSET|Equity|324.7|25.42|916| China Longyuan Power Group Corp. Ltd. Class H| 7.83%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|2.ASSET|Equity|324.7|24.84|NPI| Northland Power Inc.| 7.65%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|3.ASSET|Equity|324.7|22.11|VWS| Vestas Wind Systems A/S| 6.81%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|4.ASSET|Equity|324.7|22.11|ORSTED| Orsted| 6.81%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|5.ASSET|Equity|324.7|17.5|SGRE| Siemens Gamesa Renewable Energy, S.A.| 5.39%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|6.ASSET|Equity|324.7|13.18|EDPR| EDP Renovaveis SA| 4.06%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|7.ASSET|Equity|324.7|10.75|BLX| Boralex Inc. Class A| 3.31%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|8.ASSET|Equity|324.7|8.31|NDX1| Nordex SE| 2.56%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|9.ASSET|Equity|324.7|7.89|RWE| RWE AG| 2.43%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|10.ASSET|Equity|324.7|7.6|INE| Innergex Renewable Energy Inc.| 2.34%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|11.ASSET|Equity|324.7|7.11|SSE| SSE plc| 2.19%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|12.ASSET|Equity|324.7|7.08|DUK| Duke Energy Corporation| 2.18%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|13.ASSET|Equity|324.7|6.98|LNT| Alliant Energy Corp| 2.15%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|14.ASSET|Equity|324.7|6.92|ENGI| ENGIE SA.| 2.13%| Developed Markets|Equity|Alternative Energy Equities|Energy|FAN|6|15.ASSET|Equity|324.7|6.79|NEE| NextEra Energy, Inc.| 2.09%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|1.ASSET|Equity|276|10.02|ENB| Enbridge Inc.| 3.63%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|2.ASSET|Equity|276|9.52|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 3.45%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|3.ASSET|Equity|276|9.52|DQ| Daqo New Energy Corp Sponsored ADR| 3.45%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|4.ASSET|Equity|276|9.38|NJR| New Jersey Resources Corporation| 3.40%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|5.ASSET|Equity|276|9.27|ED| Consolidated Edison, Inc.| 3.36%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|6.ASSET|Equity|276|9.03|SOL| ReneSola Ltd. Sponsored ADR| 3.27%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|7.ASSET|Equity|276|9.03|AQN| Algonquin Power & Utilities Corp.| 3.27%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|8.ASSET|Equity|276|8.64|ALE| ALLETE, Inc.| 3.13%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|9.ASSET|Equity|276|8.34|ACA| Arcosa, Inc.| 3.02%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|10.ASSET|Equity|276|8.34|GE| General Electric Company| 3.02%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|11.ASSET|Equity|276|8.28|SEDG| SolarEdge Technologies, Inc.| 3.00%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|12.ASSET|Equity|276|7.92|CSIQ| Canadian Solar Inc.| 2.87%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|13.ASSET|Equity|276|7.92|AY| Atlantica Sustainable Infrastructure plc| 2.87%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|14.ASSET|Equity|276|7.87|EBR| Centrais Eletricas Brasileiras SA-Eletrobras Sponsored ADR| 2.85%| Developed Markets|Equity|Alternative Energy Equities|Energy|CNRG|6|15.ASSET|Equity|276|7.87|ORA| Ormat Technologies, Inc.| 2.85%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|1.ASSET|Equity|221.1|13.22|PENN| Penn National Gaming, Inc.| 5.98%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|2.ASSET|Equity|221.1|11.41|DKNG| DraftKings Inc Class A| 5.16%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|3.ASSET|Equity|221.1|10.44|ENT| Entain PLC| 4.72%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|4.ASSET|Equity|221.1|9.75|KIND| Kindred Group plc Shs Swedish Depository Receipts| 4.41%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|5.ASSET|Equity|221.1|9.71|KAMBI| Kambi Group plc Class B| 4.39%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|6.ASSET|Equity|221.1|9.68|RSI| Rush Street Interactive, Inc. Class A| 4.38%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|7.ASSET|Equity|221.1|9.26|FLTR| Flutter Entertainment Plc| 4.19%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|8.ASSET|Equity|221.1|8.89|CHDN| Churchill Downs Incorporated| 4.02%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|9.ASSET|Equity|221.1|8.07|CZR| Caesars Entertainment Inc| 3.65%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|10.ASSET|Equity|221.1|7.69|TAH| Tabcorp Holdings Limited| 3.48%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|11.ASSET|Equity|221.1|7.61|BETS.B| Betsson AB Class B| 3.44%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|12.ASSET|Equity|221.1|7.23|SRAD| Sportradar Group AG Class A| 3.27%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|13.ASSET|Equity|221.1|7.08|PTEC| Playtech plc| 3.20%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|14.ASSET|Equity|221.1|6.94|PBH| PointsBet Holdings Ltd.| 3.14%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BETZ|6|15.ASSET|Equity|221.1|6.41|GAN| GAN Limited| 2.90%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|1.ASSET|Bond|458.2|16.08|N/A| Sprint Corp. 7.125% 15-JUN-2024| 3.51%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|2.ASSET|Bond|458.2|15.95|N/A| Sprint Corp. 7.125% 15-JUN-2024| 3.48%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|3.ASSET|Bond|458.2|13.33|N/A| MUTUAL FUND (OTHER)| 2.91%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|4.ASSET|Bond|458.2|11.5|N/A| DISH DBS Corporation 5.875% 15-NOV-2024| 2.51%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|5.ASSET|Bond|458.2|11.46|N/A| DISH DBS Corporation 5.875% 15-NOV-2024| 2.50%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|6.ASSET|Bond|458.2|10.45|N/A| CSC Holdings, LLC 6.5% 01-FEB-2029| 2.28%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|7.ASSET|Bond|458.2|10.45|N/A| CSC Holdings, LLC 6.5% 01-FEB-2029| 2.28%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|8.ASSET|Bond|458.2|10.08|N/A| MUTUAL FUND (OTHER)| 2.20%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|9.ASSET|Bond|458.2|9.39|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 2.05%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|10.ASSET|Bond|458.2|9.39|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 2.05%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|11.ASSET|Bond|458.2|8.8|N/A| Cheniere Energy Partners, L.P. 4.5% 01-OCT-2029| 1.92%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|12.ASSET|Bond|458.2|8.75|N/A| Cheniere Energy Partners, L.P. 4.5% 01-OCT-2029| 1.91%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|13.ASSET|Bond|458.2|8.71|N/A| Ford Motor Credit Company LLC 4.063% 01-NOV-2024| 1.90%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|14.ASSET|Bond|458.2|8.61|N/A| Ford Motor Credit Company LLC 4.063% 01-NOV-2024| 1.88%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJO|6|15.ASSET|Bond|458.2|8.61|N/A| CCO Holdings LLC 5.375% 01-JUN-2029| 1.88%| North America|Equity|Large Cap Growth Equities||JQUA|6|1.ASSET|Equity|380.5|8.14|AAPL| Apple Inc.| 2.14%| North America|Equity|Large Cap Growth Equities||JQUA|6|2.ASSET|Equity|380.5|7.53|GOOGL| Alphabet Inc. Class A| 1.98%| North America|Equity|Large Cap Growth Equities||JQUA|6|3.ASSET|Equity|380.5|7.38|MSFT| Microsoft Corporation| 1.94%| North America|Equity|Large Cap Growth Equities||JQUA|6|4.ASSET|Equity|380.5|6.93|BRK.B| Berkshire Hathaway Inc. Class B| 1.82%| North America|Equity|Large Cap Growth Equities||JQUA|6|5.ASSET|Equity|380.5|6.85|PG| Procter & Gamble Company| 1.80%| North America|Equity|Large Cap Growth Equities||JQUA|6|6.ASSET|Equity|380.5|6.54|JNJ| Johnson & Johnson| 1.72%| North America|Equity|Large Cap Growth Equities||JQUA|6|7.ASSET|Equity|380.5|6.35|HD| Home Depot, Inc.| 1.67%| North America|Equity|Large Cap Growth Equities||JQUA|6|8.ASSET|Equity|380.5|6.2|NVDA| NVIDIA Corporation| 1.63%| North America|Equity|Large Cap Growth Equities||JQUA|6|9.ASSET|Equity|380.5|6.2|V| Visa Inc. Class A| 1.63%| North America|Equity|Large Cap Growth Equities||JQUA|6|10.ASSET|Equity|380.5|5.78|MA| Mastercard Incorporated Class A| 1.52%| North America|Equity|Large Cap Growth Equities||JQUA|6|11.ASSET|Equity|380.5|5.06|PFE| Pfizer Inc.| 1.33%| North America|Equity|Large Cap Growth Equities||JQUA|6|12.ASSET|Equity|380.5|4.79|FB| Meta Platforms Inc. Class A| 1.26%| North America|Equity|Large Cap Growth Equities||JQUA|6|13.ASSET|Equity|380.5|4.76|COST| Costco Wholesale Corporation| 1.25%| North America|Equity|Large Cap Growth Equities||JQUA|6|14.ASSET|Equity|380.5|4.72|AVGO| Broadcom Inc.| 1.24%| North America|Equity|Large Cap Growth Equities||JQUA|6|15.ASSET|Equity|380.5|4.72|ABBV| AbbVie, Inc.| 1.24%| North America|Equity|Leveraged Equities||URTY|6|1.ASSET|Equity|335.1|37.5|N/A| U.S. Dollar| 11.19%| North America|Equity|Leveraged Equities||URTY|6|2.ASSET|Equity|335.1|1.41|OVV| Ovintiv Inc| 0.42%| North America|Equity|Leveraged Equities||URTY|6|3.ASSET|Equity|335.1|1.07|AMC| AMC Entertainment Holdings, Inc. Class A| 0.32%| North America|Equity|Leveraged Equities||URTY|6|4.ASSET|Equity|335.1|1.04|THC| Tenet Healthcare Corporation| 0.31%| North America|Equity|Leveraged Equities||URTY|6|5.ASSET|Equity|335.1|0.97|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.29%| North America|Equity|Leveraged Equities||URTY|6|6.ASSET|Equity|335.1|0.97|SYNA| Synaptics Incorporated| 0.29%| North America|Equity|Leveraged Equities||URTY|6|7.ASSET|Equity|335.1|0.97|PFGC| Performance Food Group Company| 0.29%| North America|Equity|Leveraged Equities||URTY|6|8.ASSET|Equity|335.1|0.94|CHK| Chesapeake Energy Corporation| 0.28%| North America|Equity|Leveraged Equities||URTY|6|9.ASSET|Equity|335.1|0.94|TTEK| Tetra Tech, Inc.| 0.28%| North America|Equity|Leveraged Equities||URTY|6|10.ASSET|Equity|335.1|0.9|LSCC| Lattice Semiconductor Corporation| 0.27%| North America|Equity|Leveraged Equities||URTY|6|11.ASSET|Equity|335.1|0.87|M| Macy\'s Inc| 0.26%| North America|Equity|Leveraged Equities||URTY|6|12.ASSET|Equity|335.1|0.87|EGP| EastGroup Properties, Inc.| 0.26%| North America|Equity|Leveraged Equities||URTY|6|13.ASSET|Equity|335.1|0.84|SAIA| Saia, Inc.| 0.25%| North America|Equity|Leveraged Equities||URTY|6|14.ASSET|Equity|335.1|0.84|CAR| Avis Budget Group, Inc.| 0.25%| North America|Equity|Leveraged Equities||URTY|6|15.ASSET|Equity|335.1|0.8|IIVI| II-VI Incorporated| 0.24%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|1.ASSET|Equity|381.9|88.49|JNJ| Johnson & Johnson| 23.17%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|2.ASSET|Equity|381.9|76.27|PFE| Pfizer Inc.| 19.97%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|3.ASSET|Equity|381.9|21.12|BMY| Bristol-Myers Squibb Company| 5.53%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|4.ASSET|Equity|381.9|18.48|MRK| Merck & Co., Inc.| 4.84%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|5.ASSET|Equity|381.9|18.1|LLY| Eli Lilly and Company| 4.74%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|6.ASSET|Equity|381.9|17.57|RPRX| Royalty Pharma Plc Class A| 4.60%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|7.ASSET|Equity|381.9|17.38|ELAN| Elanco Animal Health, Inc.| 4.55%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|8.ASSET|Equity|381.9|14.86|ZTS| Zoetis, Inc. Class A| 3.89%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|9.ASSET|Equity|381.9|14.47|VTRS| Viatris, Inc.| 3.79%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|10.ASSET|Equity|381.9|14.21|CTLT| Catalent Inc| 3.72%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|11.ASSET|Equity|381.9|12.45|OGN| Organon & Co.| 3.26%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|12.ASSET|Equity|381.9|11|JAZZ| Jazz Pharmaceuticals Public Limited Company| 2.88%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|13.ASSET|Equity|381.9|6.45|PRGO| Perrigo Co. Plc| 1.69%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|14.ASSET|Equity|381.9|6.19|ITCI| Intra-Cellular Therapies, Inc.| 1.62%| North America|Equity|Health & Biotech Equities|Healthcare|IHE|6|15.ASSET|Equity|381.9|3.93|PCRX| Pacira Biosciences, Inc.| 1.03%| North America|Equity|Leveraged Equities||SPXS|6|1.ASSET|Equity|393.8|256.52|DGCXX| Dreyfus Government Cash Management Funds Institutional| 65.14%| North America|Equity|Leveraged Equities||SPXS|6|2.ASSET|Equity|393.8|124.4|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 31.59%| North America|Equity|Leveraged Equities||SPXS|6|3.ASSET|Equity|393.8|43.75|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 11.11%| North America|Equity|Leveraged Equities||SPXS|6|4.ASSET|Equity|393.8|28.39|DIRXX| Dreyfus Treasury Securities Cash Management Institutional| 7.21%| North America|Equity|Leveraged Equities||SPXS|6|5.ASSET|Equity|393.8|0|N/A| MUTUAL FUND (OTHER)| 0.00%| North America|Equity|Leveraged Equities||SPXS|6|6.ASSET|Equity|393.8|-59.27|N/A| U.S. Dollar| -15.05%| North America|Equity|Large Cap Growth Equities||BKLC|6|1.ASSET|Equity|525|42.53|AAPL| Apple Inc.| 8.10%| North America|Equity|Large Cap Growth Equities||BKLC|6|2.ASSET|Equity|525|36.91|MSFT| Microsoft Corporation| 7.03%| North America|Equity|Large Cap Growth Equities||BKLC|6|3.ASSET|Equity|525|21.68|AMZN| Amazon.com, Inc.| 4.13%| North America|Equity|Large Cap Growth Equities||BKLC|6|4.ASSET|Equity|525|13.18|GOOGL| Alphabet Inc. Class A| 2.51%| North America|Equity|Large Cap Growth Equities||BKLC|6|5.ASSET|Equity|525|12.34|GOOG| Alphabet Inc. Class C| 2.35%| North America|Equity|Large Cap Growth Equities||BKLC|6|6.ASSET|Equity|525|11.76|TSLA| Tesla Inc| 2.24%| North America|Equity|Large Cap Growth Equities||BKLC|6|7.ASSET|Equity|525|9.87|NVDA| NVIDIA Corporation| 1.88%| North America|Equity|Large Cap Growth Equities||BKLC|6|8.ASSET|Equity|525|9.66|BRK.B| Berkshire Hathaway Inc. Class B| 1.84%| North America|Equity|Large Cap Growth Equities||BKLC|6|9.ASSET|Equity|525|8.09|FB| Meta Platforms Inc. Class A| 1.54%| North America|Equity|Large Cap Growth Equities||BKLC|6|10.ASSET|Equity|525|7.51|UNH| UnitedHealth Group Incorporated| 1.43%| North America|Equity|Large Cap Growth Equities||BKLC|6|11.ASSET|Equity|525|7.14|JNJ| Johnson & Johnson| 1.36%| North America|Equity|Large Cap Growth Equities||BKLC|6|12.ASSET|Equity|525|6.77|JPM| JPMorgan Chase & Co.| 1.29%| North America|Equity|Large Cap Growth Equities||BKLC|6|13.ASSET|Equity|525|6.09|PG| Procter & Gamble Company| 1.16%| North America|Equity|Large Cap Growth Equities||BKLC|6|14.ASSET|Equity|525|5.78|V| Visa Inc. Class A| 1.10%| North America|Equity|Large Cap Growth Equities||BKLC|6|15.ASSET|Equity|525|5.67|HD| Home Depot, Inc.| 1.08%| Emerging Asia Pacific|Equity|Leveraged Equities|Technology|CWEB|6|1.ASSET|Equity|280.4|162.16|KWEB| KraneShares CSI China Internet ETF| 57.83%| Emerging Asia Pacific|Equity|Leveraged Equities|Technology|CWEB|6|2.ASSET|Equity|280.4|50.72|DGCXX| Dreyfus Government Cash Management Funds Institutional| 18.09%| Emerging Asia Pacific|Equity|Leveraged Equities|Technology|CWEB|6|3.ASSET|Equity|280.4|26.81|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 9.56%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|1.ASSET|Bond|372.5|5.14|N/A| San Diego Cnty Calif Regl Transn Commn Sales Taxrev VAR 01-APR-2038| 1.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|2.ASSET|Bond|372.5|5.03|N/A| University Tex Univ Revs VAR 01-AUG-2025| 1.35%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|3.ASSET|Bond|372.5|5.03|N/A| Massachusetts St Health & Edl Facs Auth Rev VAR 01-JUL-2031| 1.35%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|4.ASSET|Bond|372.5|3.5|N/A| Guilford Cnty N C 5.0% 01-MAR-2028| 0.94%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|5.ASSET|Bond|372.5|3.13|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev VAR 15-JUN-2050| 0.84%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|6.ASSET|Bond|372.5|3.13|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev VAR 15-JUN-2050| 0.84%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|7.ASSET|Bond|372.5|3.02|N/A| New York N Y VAR 01-JUN-2044| 0.81%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|8.ASSET|Bond|372.5|3.02|N/A| New York N Y VAR 01-JUN-2044| 0.81%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|9.ASSET|Bond|372.5|2.87|N/A| Wisconsin St Transn Rev 5.0% 01-JUL-2027| 0.77%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|10.ASSET|Bond|372.5|2.87|N/A| Wisconsin St Transn Rev 5.0% 01-JUL-2027| 0.77%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|11.ASSET|Bond|372.5|2.83|N/A| New Jersey St Tpk Auth Tpk Rev 5.0% 01-JAN-2043| 0.76%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|12.ASSET|Bond|372.5|2.83|N/A| New Jersey St Tpk Auth Tpk Rev 5.0% 01-JAN-2043| 0.76%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|13.ASSET|Bond|372.5|2.72|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev VAR 01-MAY-2058| 0.73%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|14.ASSET|Bond|372.5|2.72|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev VAR 01-MAY-2058| 0.73%| North America|Bond|National Munis|Target Maturity Date Munis|IBMK|6|15.ASSET|Bond|372.5|2.09|N/A| Metropolitan Atlanta Rapid Tran Auth Ga Sales Tax Rev 5.0% 01-JUL-2030| 0.56%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|1.ASSET|Equity|265.4|3.48|REGI| Renewable Energy Group, Inc.| 1.31%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|2.ASSET|Equity|265.4|3.26|AZRE| Azure Power Global Ltd.| 1.23%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|3.ASSET|Equity|265.4|3.13|DQ| Daqo New Energy Corp Sponsored ADR| 1.18%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|4.ASSET|Equity|265.4|3|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 1.13%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|5.ASSET|Equity|265.4|2.79|BLX| Boralex Inc. Class A| 1.05%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|6.ASSET|Equity|265.4|2.76|SQM| Sociedad Quimica Y Minera De Chile S.A. Sponsored ADR Pfd Class B| 1.04%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|7.ASSET|Equity|265.4|2.76|SEDG| SolarEdge Technologies, Inc.| 1.04%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|8.ASSET|Equity|265.4|2.73|NDX1| Nordex SE| 1.03%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|9.ASSET|Equity|265.4|2.73|MEL| Meridian Energy Limited| 1.03%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|10.ASSET|Equity|265.4|2.65|CSIQ| Canadian Solar Inc.| 1.00%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|11.ASSET|Equity|265.4|2.63|CADLR| Cadeler A/S| 0.99%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|12.ASSET|Equity|265.4|2.63|LIGHT| Signify NV| 0.99%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|13.ASSET|Equity|265.4|2.6|VWS| Vestas Wind Systems A/S| 0.98%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|14.ASSET|Equity|265.4|2.6|VBK| VERBIO Vereinigte BioEnergie AG| 0.98%| Developed Markets|Equity|Alternative Energy Equities|Energy|PBD|6|15.ASSET|Equity|265.4|2.57|BE| Bloom Energy Corporation Class A| 0.97%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|1.ASSET|Bond|365.5|36.33|N/A| CORPORATE BOND| 9.94%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|2.ASSET|Bond|365.5|21.86|N/A| Government of the United States of America 0.0% 15-NOV-2048| 5.98%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|3.ASSET|Bond|365.5|21.64|N/A| Government of the United States of America 0.0% 15-MAY-2051| 5.92%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|4.ASSET|Bond|365.5|21.6|N/A| U.S. Dollar| 5.91%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|5.ASSET|Bond|365.5|21.35|N/A| Government of the United States of America 0.0% 15-AUG-2051| 5.84%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|6.ASSET|Bond|365.5|18.53|N/A| Government of the United States of America 0.0% 15-FEB-2049| 5.07%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|7.ASSET|Bond|365.5|18.28|N/A| Government of the United States of America 0.0% 15-MAY-2049| 5.00%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|8.ASSET|Bond|365.5|18.2|N/A| Government of the United States of America 0.0% 15-AUG-2049| 4.98%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|9.ASSET|Bond|365.5|17.84|N/A| Government of the United States of America 0.0% 15-FEB-2048| 4.88%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|10.ASSET|Bond|365.5|17.84|N/A| Government of the United States of America 0.0% 15-FEB-2047| 4.88%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|11.ASSET|Bond|365.5|17.84|N/A| FIXED INCOME (UNCLASSFIED)| 4.88%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|12.ASSET|Bond|365.5|17.84|N/A| Government of the United States of America 0.0% 15-MAY-2047| 4.88%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|13.ASSET|Bond|365.5|17.69|N/A| Government of the United States of America 0.0% 15-MAY-2048| 4.84%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|14.ASSET|Bond|365.5|17.69|N/A| Government of the United States of America 0.0% 15-NOV-2047| 4.84%| North America|Bond|Government Bonds|Treasuries|ZROZ|6|15.ASSET|Bond|365.5|17.69|N/A| Government of the United States of America 0.0% 15-AUG-2047| 4.84%| North America|Equity|Energy Equities|Energy|FXN|6|1.ASSET|Equity|711.2|37.27|COP| ConocoPhillips| 5.24%| North America|Equity|Energy Equities|Energy|FXN|6|2.ASSET|Equity|711.2|36.56|PXD| Pioneer Natural Resources Company| 5.14%| North America|Equity|Energy Equities|Energy|FXN|6|3.ASSET|Equity|711.2|36.06|EOG| EOG Resources, Inc.| 5.07%| North America|Equity|Energy Equities|Energy|FXN|6|4.ASSET|Equity|711.2|35.7|CVX| Chevron Corporation| 5.02%| North America|Equity|Energy Equities|Energy|FXN|6|5.ASSET|Equity|711.2|32.43|FANG| Diamondback Energy, Inc.| 4.56%| North America|Equity|Energy Equities|Energy|FXN|6|6.ASSET|Equity|711.2|32.15|CLR| Continental Resources, Inc.| 4.52%| North America|Equity|Energy Equities|Energy|FXN|6|7.ASSET|Equity|711.2|30.72|MRO| Marathon Oil Corporation| 4.32%| North America|Equity|Energy Equities|Energy|FXN|6|8.ASSET|Equity|711.2|29.66|CTRA| Coterra Energy Inc.| 4.17%| North America|Equity|Energy Equities|Energy|FXN|6|9.ASSET|Equity|711.2|28.87|LNG| Cheniere Energy, Inc.| 4.06%| North America|Equity|Energy Equities|Energy|FXN|6|10.ASSET|Equity|711.2|27.45|OXY| Occidental Petroleum Corporation| 3.86%| North America|Equity|Energy Equities|Energy|FXN|6|11.ASSET|Equity|711.2|25.67|DTM| DT Midstream, Inc.| 3.61%| North America|Equity|Energy Equities|Energy|FXN|6|12.ASSET|Equity|711.2|25.6|HFC| HollyFrontier Corporation| 3.60%| North America|Equity|Energy Equities|Energy|FXN|6|13.ASSET|Equity|711.2|25.11|KMI| Kinder Morgan Inc Class P| 3.53%| North America|Equity|Energy Equities|Energy|FXN|6|14.ASSET|Equity|711.2|22.76|AM| Antero Midstream Corp.| 3.20%| North America|Equity|Energy Equities|Energy|FXN|6|15.ASSET|Equity|711.2|21.9|DVN| Devon Energy Corporation| 3.08%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|1.ASSET|Bond|490.3|7.06|N/A| | 1.44%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|2.ASSET|Bond|490.3|7.01|N/A| Toyota Motor Credit Corporation FRN 13-JAN-2025| 1.43%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|3.ASSET|Bond|490.3|6.03|N/A| Rogers Communications Inc. FRN 22-MAR-2022| 1.23%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|4.ASSET|Bond|490.3|5.64|N/A| Walt Disney Company FRN 04-MAR-2022| 1.15%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|5.ASSET|Bond|490.3|5|N/A| Bank of Nova Scotia FRN 02-MAR-2026| 1.02%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|6.ASSET|Bond|490.3|4.8|N/A| KeyBank National Association FRN 03-JAN-2024| 0.98%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|7.ASSET|Bond|490.3|4.56|N/A| Intel Corporation 3.1% 29-JUL-2022| 0.93%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|8.ASSET|Bond|490.3|4.41|N/A| Florida Power & Light Company FRN 12-JAN-2024| 0.90%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|9.ASSET|Bond|490.3|4.41|N/A| Westpac Banking Corporation FRN 18-NOV-2024| 0.90%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|10.ASSET|Bond|490.3|4.07|N/A| UnitedHealth Group Incorporated 3.35% 15-JUL-2022| 0.83%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|11.ASSET|Bond|490.3|4.07|N/A| AbbVie Inc. 2.9% 06-NOV-2022| 0.83%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|12.ASSET|Bond|490.3|4.02|N/A| Unilever Capital Corp. 3.0% 07-MAR-2022| 0.82%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|13.ASSET|Bond|490.3|4.02|N/A| Bank of New Zealand Limited FRN 27-JAN-2027| 0.82%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|14.ASSET|Bond|490.3|4.02|N/A| Public Storage FRN 23-APR-2024| 0.82%| Global|Bond|Total Bond Market|Total Bond Market|RAVI|6|15.ASSET|Bond|490.3|4.02|N/A| National Australia Bank Limited FRN 12-JAN-2027| 0.82%| |Commodity|Precious Metals||PALL|6|1.ASSET|Commodity|481.5|481.5|N/A| Palladium| 100.00%| North America|Equity|Large Cap Value Equities||ULVM|6|1.ASSET|Equity|316.5|3.54|SJM| J.M. Smucker Company| 1.12%| North America|Equity|Large Cap Value Equities||ULVM|6|2.ASSET|Equity|316.5|3.51|BMY| Bristol-Myers Squibb Company| 1.11%| North America|Equity|Large Cap Value Equities||ULVM|6|3.ASSET|Equity|316.5|3.32|ABBV| AbbVie, Inc.| 1.05%| North America|Equity|Large Cap Value Equities||ULVM|6|4.ASSET|Equity|316.5|3.32|KR| Kroger Co.| 1.05%| North America|Equity|Large Cap Value Equities||ULVM|6|5.ASSET|Equity|316.5|3.29|RSG| Republic Services, Inc.| 1.04%| North America|Equity|Large Cap Value Equities||ULVM|6|6.ASSET|Equity|316.5|3.26|PSA| Public Storage| 1.03%| North America|Equity|Large Cap Value Equities||ULVM|6|7.ASSET|Equity|316.5|3.2|ADM| Archer-Daniels-Midland Company| 1.01%| North America|Equity|Large Cap Value Equities||ULVM|6|8.ASSET|Equity|316.5|3.1|LHX| L3Harris Technologies Inc| 0.98%| North America|Equity|Large Cap Value Equities||ULVM|6|9.ASSET|Equity|316.5|3.04|GD| General Dynamics Corporation| 0.96%| North America|Equity|Large Cap Value Equities||ULVM|6|10.ASSET|Equity|316.5|2.88|ORCL| Oracle Corporation| 0.91%| North America|Equity|Large Cap Value Equities||ULVM|6|11.ASSET|Equity|316.5|2.85|GOOGL| Alphabet Inc. Class A| 0.90%| North America|Equity|Large Cap Value Equities||ULVM|6|12.ASSET|Equity|316.5|2.82|PFE| Pfizer Inc.| 0.89%| North America|Equity|Large Cap Value Equities||ULVM|6|13.ASSET|Equity|316.5|2.79|JNPR| Juniper Networks, Inc.| 0.88%| North America|Equity|Large Cap Value Equities||ULVM|6|14.ASSET|Equity|316.5|2.75|TSN| Tyson Foods, Inc. Class A| 0.87%| North America|Equity|Large Cap Value Equities||ULVM|6|15.ASSET|Equity|316.5|2.63|BG| Bunge Limited| 0.83%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|1.ASSET|Bond|300.1|8.91|N/A| United States Treasury Bond 1.375% 15-NOV-2040| 2.97%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|2.ASSET|Bond|300.1|8.22|N/A| United States Treasury Bond 3.0% 15-FEB-2048| 2.74%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|3.ASSET|Bond|300.1|7.74|N/A| United States Treasury Bond 1.125% 15-AUG-2040| 2.58%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|4.ASSET|Bond|300.1|6.39|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 2.13%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|5.ASSET|Bond|300.1|6.21|N/A| United States Treasury Bond 1.625% 15-NOV-2050| 2.07%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|6.ASSET|Bond|300.1|5.61|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 1.87%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|7.ASSET|Bond|300.1|4.26|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 1.42%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|8.ASSET|Bond|300.1|3.93|N/A| United States Treasury Bond 3.0% 15-AUG-2048| 1.31%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|9.ASSET|Bond|300.1|3.78|N/A| United States Treasury Bond 2.75% 15-NOV-2047| 1.26%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|10.ASSET|Bond|300.1|3.57|N/A| United States Treasury Bond 3.625% 15-AUG-2043| 1.19%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|11.ASSET|Bond|300.1|3.36|N/A| United States Treasury Bond 3.125% 15-MAY-2048| 1.12%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|12.ASSET|Bond|300.1|3.27|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 1.09%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|13.ASSET|Bond|300.1|3.21|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 1.07%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|14.ASSET|Bond|300.1|2.94|N/A| United States Treasury Bond 2.0% 15-NOV-2041| 0.98%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ILTB|6|15.ASSET|Bond|300.1|2.85|N/A| United States Treasury Bond 3.75% 15-NOV-2043| 0.95%| Developed Europe|Equity|Europe Equities||SPEU|6|1.ASSET|Equity|294.2|8.88|NESN| Nestle S.A.| 3.02%| Developed Europe|Equity|Europe Equities||SPEU|6|2.ASSET|Equity|294.2|6.47|ASML| ASML Holding NV| 2.20%| Developed Europe|Equity|Europe Equities||SPEU|6|3.ASSET|Equity|294.2|6.41|ROG| Roche Holding Ltd| 2.18%| Developed Europe|Equity|Europe Equities||SPEU|6|4.ASSET|Equity|294.2|5.18|NOVN| Novartis AG| 1.76%| Developed Europe|Equity|Europe Equities||SPEU|6|5.ASSET|Equity|294.2|4.65|AZN| AstraZeneca PLC| 1.58%| Developed Europe|Equity|Europe Equities||SPEU|6|6.ASSET|Equity|294.2|4.5|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.53%| Developed Europe|Equity|Europe Equities||SPEU|6|7.ASSET|Equity|294.2|4.18|NOVO.B| Novo Nordisk A/S Class B| 1.42%| Developed Europe|Equity|Europe Equities||SPEU|6|8.ASSET|Equity|294.2|3.56|LIN| Linde plc| 1.21%| Developed Europe|Equity|Europe Equities||SPEU|6|9.ASSET|Equity|294.2|3.41|TTE| TotalEnergies SE| 1.16%| Developed Europe|Equity|Europe Equities||SPEU|6|10.ASSET|Equity|294.2|3.38|HSBA| HSBC Holdings Plc| 1.15%| Developed Europe|Equity|Europe Equities||SPEU|6|11.ASSET|Equity|294.2|3.09|ULVR| Unilever PLC| 1.05%| Developed Europe|Equity|Europe Equities||SPEU|6|12.ASSET|Equity|294.2|2.97|SAP| SAP SE| 1.01%| Developed Europe|Equity|Europe Equities||SPEU|6|13.ASSET|Equity|294.2|2.85|SHELL| Shell PLC| 0.97%| Developed Europe|Equity|Europe Equities||SPEU|6|14.ASSET|Equity|294.2|2.82|SAN| Sanofi| 0.96%| Developed Europe|Equity|Europe Equities||SPEU|6|15.ASSET|Equity|294.2|2.74|DGE| Diageo plc| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|1.ASSET|Equity|369.3|16.62|BHP| BHP Group Ltd| 4.50%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|2.ASSET|Equity|369.3|11.26|NESN| Nestle S.A.| 3.05%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|3.ASSET|Equity|369.3|9.42|RIO| Rio Tinto plc| 2.55%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|4.ASSET|Equity|369.3|7.16|NOVN| Novartis AG| 1.94%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|5.ASSET|Equity|369.3|6.43|7203| Toyota Motor Corp.| 1.74%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|6.ASSET|Equity|369.3|5.76|ROG| Roche Holding Ltd| 1.56%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|7.ASSET|Equity|369.3|5.65|SHEL| Shell PLC| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|8.ASSET|Equity|369.3|5.21|9432| Nippon Telegraph and Telephone Corporation| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|9.ASSET|Equity|369.3|5.17|CBA| Commonwealth Bank of Australia| 1.40%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|10.ASSET|Equity|369.3|4.99|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|11.ASSET|Equity|369.3|4.99|GSK| GlaxoSmithKline plc| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|12.ASSET|Equity|369.3|4.84|CS| AXA SA| 1.31%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|13.ASSET|Equity|369.3|4.58|9434| SoftBank Corp.| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|14.ASSET|Equity|369.3|4.36|ZURN| Zurich Insurance Group Ltd| 1.18%| Developed Markets|Equity|Foreign Large Cap Equities||DOL|6|15.ASSET|Equity|369.3|4.36|HSBA| HSBC Holdings Plc| 1.18%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|1.ASSET|Equity|354.5|5.74|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.62%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|2.ASSET|Equity|354.5|5.42|500575| Voltas Limited| 1.53%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|3.ASSET|Equity|354.5|4.61|500408| Tata Elxsi Limited| 1.30%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|4.ASSET|Equity|354.5|4.43|539876| Crompton Greaves Consumer Electricals Ltd.| 1.25%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|5.ASSET|Equity|354.5|4.22|505537| Zee Entertainment Enterprises Limited| 1.19%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|6.ASSET|Equity|354.5|4.15|N/A| U.S. Dollar| 1.17%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|7.ASSET|Equity|354.5|3.97|533179| Persistent Systems Limited| 1.12%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|8.ASSET|Equity|354.5|3.93|500271| Max Financial Services Limited| 1.11%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|9.ASSET|Equity|354.5|3.72|532286| Jindal Steel & Power Ltd.| 1.05%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|10.ASSET|Equity|354.5|3.69|524208| AARTI Industries Ltd| 1.04%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|11.ASSET|Equity|354.5|3.55|532830| Astral Limited| 1.00%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|12.ASSET|Equity|354.5|3.55|500477| Ashok Leyland Limited| 1.00%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|13.ASSET|Equity|354.5|3.55|540222| Laurus Labs Ltd.| 1.00%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|14.ASSET|Equity|354.5|3.3|542602| Embassy Office Parks REIT| 0.93%| Emerging Asia Pacific|Equity|Asia Pacific Equities||SMIN|6|15.ASSET|Equity|354.5|3.3|540762| Tube Investments of India Limited| 0.93%| Developed Europe|Equity|Europe Equities||EWN|6|1.ASSET|Equity|365.5|88.96|ASML| ASML Holding NV| 24.34%| Developed Europe|Equity|Europe Equities||EWN|6|2.ASSET|Equity|365.5|28.87|PRX| Prosus N.V. Class N| 7.90%| Developed Europe|Equity|Europe Equities||EWN|6|3.ASSET|Equity|365.5|20.69|INGA| ING Groep NV| 5.66%| Developed Europe|Equity|Europe Equities||EWN|6|4.ASSET|Equity|365.5|19.85|ADYEN| Adyen NV| 5.43%| Developed Europe|Equity|Europe Equities||EWN|6|5.ASSET|Equity|365.5|16.92|DSM| Koninklijke DSM N.V.| 4.63%| Developed Europe|Equity|Europe Equities||EWN|6|6.ASSET|Equity|365.5|16.56|AD| Koninklijke Ahold Delhaize N.V.| 4.53%| Developed Europe|Equity|Europe Equities||EWN|6|7.ASSET|Equity|365.5|14.69|PHIA| Koninklijke Philips N.V.| 4.02%| Developed Europe|Equity|Europe Equities||EWN|6|8.ASSET|Equity|365.5|14.4|WKL| Wolters Kluwer NV| 3.94%| Developed Europe|Equity|Europe Equities||EWN|6|9.ASSET|Equity|365.5|12.17|HEIA| Heineken NV| 3.33%| Developed Europe|Equity|Europe Equities||EWN|6|10.ASSET|Equity|365.5|9.39|AKZA| Akzo Nobel N.V.| 2.57%| Developed Europe|Equity|Europe Equities||EWN|6|11.ASSET|Equity|365.5|8.04|ASM| ASM International N.V.| 2.20%| Developed Europe|Equity|Europe Equities||EWN|6|12.ASSET|Equity|365.5|7.53|UMG| Universal Music Group N.V.| 2.06%| Developed Europe|Equity|Europe Equities||EWN|6|13.ASSET|Equity|365.5|6.73|NN| NN Group N.V.| 1.84%| Developed Europe|Equity|Europe Equities||EWN|6|14.ASSET|Equity|365.5|6.51|KPN| Royal KPN NV| 1.78%| Developed Europe|Equity|Europe Equities||EWN|6|15.ASSET|Equity|365.5|5.74|CCEP| Coca-Cola Europacific Partners plc| 1.57%| North America|Equity|Small Cap Growth Equities||SMMD|6|1.ASSET|Equity|407.2|174.08|IWM| iShares Russell 2000 ETF| 42.75%| North America|Equity|Small Cap Growth Equities||SMMD|6|2.ASSET|Equity|407.2|2.65|DVN| Devon Energy Corporation| 0.65%| North America|Equity|Small Cap Growth Equities||SMMD|6|3.ASSET|Equity|407.2|1.67|ON| ON Semiconductor Corporation| 0.41%| North America|Equity|Small Cap Growth Equities||SMMD|6|4.ASSET|Equity|407.2|1.63|FANG| Diamondback Energy, Inc.| 0.40%| North America|Equity|Small Cap Growth Equities||SMMD|6|5.ASSET|Equity|407.2|1.59|MDB| MongoDB, Inc. Class A| 0.39%| North America|Equity|Small Cap Growth Equities||SMMD|6|6.ASSET|Equity|407.2|1.47|PKI| PerkinElmer, Inc.| 0.36%| North America|Equity|Small Cap Growth Equities||SMMD|6|7.ASSET|Equity|407.2|1.47|ENPH| Enphase Energy, Inc.| 0.36%| North America|Equity|Small Cap Growth Equities||SMMD|6|8.ASSET|Equity|407.2|1.38|BILL| Bill.com Holdings, Inc.| 0.34%| North America|Equity|Small Cap Growth Equities||SMMD|6|9.ASSET|Equity|407.2|1.34|AVTR| Avantor, Inc.| 0.33%| North America|Equity|Small Cap Growth Equities||SMMD|6|10.ASSET|Equity|407.2|1.3|MPWR| Monolithic Power Systems, Inc.| 0.32%| North America|Equity|Small Cap Growth Equities||SMMD|6|11.ASSET|Equity|407.2|1.26|MOS| Mosaic Company| 0.31%| North America|Equity|Small Cap Growth Equities||SMMD|6|12.ASSET|Equity|407.2|1.26|CTRA| Coterra Energy Inc.| 0.31%| North America|Equity|Small Cap Growth Equities||SMMD|6|13.ASSET|Equity|407.2|1.22|SBNY| Signature Bank| 0.30%| North America|Equity|Small Cap Growth Equities||SMMD|6|14.ASSET|Equity|407.2|1.18|POOL| Pool Corporation| 0.29%| North America|Equity|Small Cap Growth Equities||SMMD|6|15.ASSET|Equity|407.2|1.18|MRO| Marathon Oil Corporation| 0.29%| North America|Equity|Leveraged Equities|Technology|USD|6|1.ASSET|Equity|322.5|73.11|NVDA| NVIDIA Corporation| 22.67%| North America|Equity|Leveraged Equities|Technology|USD|6|2.ASSET|Equity|322.5|32.96|N/A| U.S. Dollar| 10.22%| North America|Equity|Leveraged Equities|Technology|USD|6|3.ASSET|Equity|322.5|29.22|AVGO| Broadcom Inc.| 9.06%| North America|Equity|Leveraged Equities|Technology|USD|6|4.ASSET|Equity|322.5|23.7|INTC| Intel Corporation| 7.35%| North America|Equity|Leveraged Equities|Technology|USD|6|5.ASSET|Equity|322.5|23.16|AMD| Advanced Micro Devices, Inc.| 7.18%| North America|Equity|Leveraged Equities|Technology|USD|6|6.ASSET|Equity|322.5|22.83|QCOM| Qualcomm Inc| 7.08%| North America|Equity|Leveraged Equities|Technology|USD|6|7.ASSET|Equity|322.5|19.25|TXN| Texas Instruments Incorporated| 5.97%| North America|Equity|Leveraged Equities|Technology|USD|6|8.ASSET|Equity|322.5|14.58|AMAT| Applied Materials, Inc.| 4.52%| North America|Equity|Leveraged Equities|Technology|USD|6|9.ASSET|Equity|322.5|12.03|MU| Micron Technology, Inc.| 3.73%| North America|Equity|Leveraged Equities|Technology|USD|6|10.ASSET|Equity|322.5|10.51|ADI| Analog Devices, Inc.| 3.26%| North America|Equity|Leveraged Equities|Technology|USD|6|11.ASSET|Equity|322.5|9.45|LRCX| Lam Research Corporation| 2.93%| North America|Equity|Leveraged Equities|Technology|USD|6|12.ASSET|Equity|322.5|6.68|MRVL| Marvell Technology, Inc.| 2.07%| North America|Equity|Leveraged Equities|Technology|USD|6|13.ASSET|Equity|322.5|6.35|KLAC| KLA Corporation| 1.97%| North America|Equity|Leveraged Equities|Technology|USD|6|14.ASSET|Equity|322.5|6|NXPI| NXP Semiconductors NV| 1.86%| North America|Equity|Leveraged Equities|Technology|USD|6|15.ASSET|Equity|322.5|4.71|MCHP| Microchip Technology Incorporated| 1.46%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|1.ASSET|Bond|337.5|33.11|N/A| United States Treasury Bills 0.0% 12-AUG-2021| 9.81%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|2.ASSET|Bond|337.5|21.33|N/A| United States Treasury Bills 0.0% 05-AUG-2021| 6.32%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|3.ASSET|Bond|337.5|19.81|N/A| FNMA 30yr Pool#MA4398 2.000% 01-Aug-2051 2.0% 01-AUG-2051| 5.87%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|4.ASSET|Bond|337.5|19.37|N/A| United States Treasury Bills 0.0% 26-AUG-2021| 5.74%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|5.ASSET|Bond|337.5|19.27|N/A| United States Treasury Notes 0.125% 30-APR-2023| 5.71%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|6.ASSET|Bond|337.5|17.96|N/A| United States Treasury Notes 0.75% 30-APR-2026| 5.32%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|7.ASSET|Bond|337.5|14.18|N/A| FNMA 30yr Pool#MA4399 2.500% 01-Aug-2051 2.5% 01-AUG-2051| 4.20%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|8.ASSET|Bond|337.5|10.8|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 3.20%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|9.ASSET|Bond|337.5|10.23|N/A| FNMA 30yr Pool#MA4400 3.000% 01-Aug-2051 3.0% 01-AUG-2051| 3.03%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|10.ASSET|Bond|337.5|10.02|N/A| Federal Home Loan Bank System 0.0% 20-OCT-2017| 2.97%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|11.ASSET|Bond|337.5|8.27|N/A| FNMA 30yr Pool#MA4355 2.000% 01-Jun-2051 2.0% 01-JUN-2051| 2.45%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|12.ASSET|Bond|337.5|8.07|N/A| GNMA II 30yr Pool#MA7472 2.500% 20-Jul-2051 2.5% 20-JUL-2051| 2.39%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|13.ASSET|Bond|337.5|7.97|N/A| GNMA II 30yr Pool#MA7471 2.000% 20-Jul-2051 2.0% 20-JUL-2051| 2.36%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|14.ASSET|Bond|337.5|7.22|N/A| GNMA II 30yr Pool#MA7474 3.500% 20-Jul-2051 3.5% 20-JUL-2051| 2.14%| North America|Bond|Total Bond Market|Total Bond Market|NUAG|6|15.ASSET|Bond|337.5|7.16|N/A| GNMA II 30yr Pool#MA7473 3.000% 20-Jul-2051 3.0% 20-JUL-2051| 2.12%| North America|Bond|Leveraged Bonds|Treasuries|TMV|6|1.ASSET|Bond|365.1|365.1|N/A| iShares 20+ Year Treasury Bond ETF| 100.00%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|1.ASSET|Equity|323.2|3.49|WN| George Weston Limited| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|2.ASSET|Equity|323.2|3.46|L| Loblaw Companies Limited| 1.07%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|3.ASSET|Equity|323.2|2.97|SGRO| SEGRO plc| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|4.ASSET|Equity|323.2|2.81|TSCO| Tesco PLC| 0.87%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|5.ASSET|Equity|323.2|2.68|LUMI| Bank Leumi Le-Israel Ltd.| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|6.ASSET|Equity|323.2|2.68|AD| Koninklijke Ahold Delhaize N.V.| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|7.ASSET|Equity|323.2|2.62|POLI| Bank Hapoalim BM| 0.81%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|8.ASSET|Equity|323.2|2.55|BMO| Bank of Montreal| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|9.ASSET|Equity|323.2|2.55|NTR| Nutrien Ltd.| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|10.ASSET|Equity|323.2|2.49|INVE.A| Investor AB Class A| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|11.ASSET|Equity|323.2|2.49|CA| Carrefour SA| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|12.ASSET|Equity|323.2|2.46|NOVO.B| Novo Nordisk A/S Class B| 0.76%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|13.ASSET|Equity|323.2|2.42|MZTF| Mizrahi Tefahot Bank Ltd| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|14.ASSET|Equity|323.2|2.39|9CI| CapitaLand Investment Limited| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||UIVM|6|15.ASSET|Equity|323.2|2.39|BATS| British American Tobacco p.l.c.| 0.74%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|1.ASSET|Bond|405.2|6.12|N/A| Microsoft Corporation 3.3% 06-FEB-2027| 1.51%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|2.ASSET|Bond|405.2|5.71|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 1.41%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|3.ASSET|Bond|405.2|5.27|N/A| Amazon.com, Inc. 3.15% 22-AUG-2027| 1.30%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|4.ASSET|Bond|405.2|5.15|N/A| Broadcom Corporation 3.875% 15-JAN-2027| 1.27%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|5.ASSET|Bond|405.2|5.02|N/A| Verizon Communications Inc. 4.125% 16-MAR-2027| 1.24%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|6.ASSET|Bond|405.2|4.54|N/A| Goldman Sachs Group, Inc. 3.85% 26-JAN-2027| 1.12%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|7.ASSET|Bond|405.2|4.5|N/A| Morgan Stanley 3.625% 20-JAN-2027| 1.11%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|8.ASSET|Bond|405.2|4.01|N/A| Oracle Corporation 3.25% 15-NOV-2027| 0.99%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|9.ASSET|Bond|405.2|3.85|N/A| Wells Fargo & Company 4.3% 22-JUL-2027| 0.95%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|10.ASSET|Bond|405.2|3.69|N/A| Bank of America Corporation 3.248% 21-OCT-2027| 0.91%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|11.ASSET|Bond|405.2|3.44|N/A| Apple Inc. 3.35% 09-FEB-2027| 0.85%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|12.ASSET|Bond|405.2|3.4|N/A| AT&T Inc. 2.3% 01-JUN-2027| 0.84%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|13.ASSET|Bond|405.2|3.24|N/A| Oracle Corporation 2.8% 01-APR-2027| 0.80%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|14.ASSET|Bond|405.2|3.2|N/A| Southwest Airlines Co. 5.125% 15-JUN-2027| 0.79%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCR|6|15.ASSET|Bond|405.2|3.12|N/A| Boeing Company 5.04% 01-MAY-2027| 0.77%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|1.ASSET|Equity|271.6|14.37|EXPE| Expedia Group, Inc.| 5.29%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|2.ASSET|Equity|271.6|12.96|SABR| Sabre Corp.| 4.77%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|3.ASSET|Equity|271.6|12.66|696| TravelSky Technology Ltd. Class H| 4.66%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|4.ASSET|Equity|271.6|11.73|BKNG| Booking Holdings Inc.| 4.32%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|5.ASSET|Equity|271.6|11.65|WEB| Webjet Limited| 4.29%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|6.ASSET|Equity|271.6|11.54|CTD| Corporate Travel Management Limited| 4.25%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|7.ASSET|Equity|271.6|11|MMYT| MakeMyTrip Ltd.| 4.05%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|8.ASSET|Equity|271.6|10.97|ABNB| Airbnb, Inc. Class A| 4.04%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|9.ASSET|Equity|271.6|10.95|UBER| Uber Technologies, Inc.| 4.03%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|10.ASSET|Equity|271.6|10.95|AMS| Amadeus IT Group SA Class A| 4.03%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|11.ASSET|Equity|271.6|10.16|SDR| SiteMinder Limited| 3.74%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|12.ASSET|Equity|271.6|10.1|TRIP| TripAdvisor, Inc.| 3.72%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|13.ASSET|Equity|271.6|10.02|032350| Lotte Tour Development Co., Ltd.| 3.69%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|14.ASSET|Equity|271.6|10.02|LYFT| Lyft, Inc. Class A| 3.69%| Global|Equity|Consumer Discretionary Equities|Industrials|AWAY|6|15.ASSET|Equity|271.6|9.83|TCOM| Trip.com Group Ltd. Sponsored ADR| 3.62%| North America|Equity|Europe Equities||FLGB|6|1.ASSET|Equity|604.2|46.04|SHEL| Shell PLC| 7.62%| North America|Equity|Europe Equities||FLGB|6|2.ASSET|Equity|604.2|43.62|AZN| AstraZeneca PLC| 7.22%| North America|Equity|Europe Equities||FLGB|6|3.ASSET|Equity|604.2|30.94|HSBA| HSBC Holdings Plc| 5.12%| North America|Equity|Europe Equities||FLGB|6|4.ASSET|Equity|604.2|28.76|ULVR| Unilever PLC| 4.76%| North America|Equity|Europe Equities||FLGB|6|5.ASSET|Equity|604.2|25.68|DGE| Diageo plc| 4.25%| North America|Equity|Europe Equities||FLGB|6|6.ASSET|Equity|604.2|23.32|GSK| GlaxoSmithKline plc| 3.86%| North America|Equity|Europe Equities||FLGB|6|7.ASSET|Equity|604.2|22.6|BATS| British American Tobacco p.l.c.| 3.74%| North America|Equity|Europe Equities||FLGB|6|8.ASSET|Equity|604.2|21.21|BP| BP p.l.c.| 3.51%| North America|Equity|Europe Equities||FLGB|6|9.ASSET|Equity|604.2|19.64|RIO| Rio Tinto plc| 3.25%| North America|Equity|Europe Equities||FLGB|6|10.ASSET|Equity|604.2|18.01|GLEN| Glencore plc| 2.98%| North America|Equity|Europe Equities||FLGB|6|11.ASSET|Equity|604.2|14.68|AAL| Anglo American plc| 2.43%| North America|Equity|Europe Equities||FLGB|6|12.ASSET|Equity|604.2|12.99|REL| RELX PLC| 2.15%| North America|Equity|Europe Equities||FLGB|6|13.ASSET|Equity|604.2|12.57|NG| National Grid plc| 2.08%| North America|Equity|Europe Equities||FLGB|6|14.ASSET|Equity|604.2|12.2|RKT| Reckitt Benckiser Group plc| 2.02%| North America|Equity|Europe Equities||FLGB|6|15.ASSET|Equity|604.2|10.75|VOD| Vodafone Group Plc| 1.78%| North America|Equity|Small Cap Growth Equities||FYC|6|1.ASSET|Equity|252.7|2.6|LNTH| Lantheus Holdings Inc| 1.03%| North America|Equity|Small Cap Growth Equities||FYC|6|2.ASSET|Equity|252.7|2.5|MTDR| Matador Resources Company| 0.99%| North America|Equity|Small Cap Growth Equities||FYC|6|3.ASSET|Equity|252.7|2.48|PDCE| PDC Energy, Inc.| 0.98%| North America|Equity|Small Cap Growth Equities||FYC|6|4.ASSET|Equity|252.7|2.32|SM| SM Energy Company| 0.92%| North America|Equity|Small Cap Growth Equities||FYC|6|5.ASSET|Equity|252.7|2.17|MGY| Magnolia Oil & Gas Corp. Class A| 0.86%| North America|Equity|Small Cap Growth Equities||FYC|6|6.ASSET|Equity|252.7|2.15|MATX| Matson, Inc.| 0.85%| North America|Equity|Small Cap Growth Equities||FYC|6|7.ASSET|Equity|252.7|2.02|RRC| Range Resources Corporation| 0.80%| North America|Equity|Small Cap Growth Equities||FYC|6|8.ASSET|Equity|252.7|1.95|DDS| Dillard\'s, Inc. Class A| 0.77%| North America|Equity|Small Cap Growth Equities||FYC|6|9.ASSET|Equity|252.7|1.95|CARG| CarGurus, Inc. Class A| 0.77%| North America|Equity|Small Cap Growth Equities||FYC|6|10.ASSET|Equity|252.7|1.95|ITCI| Intra-Cellular Therapies, Inc.| 0.77%| North America|Equity|Small Cap Growth Equities||FYC|6|11.ASSET|Equity|252.7|1.9|SEAS| SeaWorld Entertainment, Inc.| 0.75%| North America|Equity|Small Cap Growth Equities||FYC|6|12.ASSET|Equity|252.7|1.84|VGR| Vector Group Ltd.| 0.73%| North America|Equity|Small Cap Growth Equities||FYC|6|13.ASSET|Equity|252.7|1.79|CPE| Callon Petroleum Company| 0.71%| North America|Equity|Small Cap Growth Equities||FYC|6|14.ASSET|Equity|252.7|1.79|VIRT| Virtu Financial, Inc. Class A| 0.71%| North America|Equity|Small Cap Growth Equities||FYC|6|15.ASSET|Equity|252.7|1.74|PLAY| Dave & Buster\'s Entertainment, Inc.| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|1.ASSET|Equity|370.9|8.31|NESN| Nestle S.A.| 2.24%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|2.ASSET|Equity|370.9|6.05|ROG| Roche Holding Ltd| 1.63%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|3.ASSET|Equity|370.9|5.93|ASML| ASML Holding NV| 1.60%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|4.ASSET|Equity|370.9|4.78|SHEL| Shell PLC| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|5.ASSET|Equity|370.9|4.71|NOVN| Novartis AG| 1.27%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|6.ASSET|Equity|370.9|4.41|7203| Toyota Motor Corp.| 1.19%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|7.ASSET|Equity|370.9|4.27|AZN| AstraZeneca PLC| 1.15%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|8.ASSET|Equity|370.9|4.23|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.14%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|9.ASSET|Equity|370.9|4.04|BHP| BHP Group Ltd| 1.09%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|10.ASSET|Equity|370.9|3.86|NOVO.B| Novo Nordisk A/S Class B| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|11.ASSET|Equity|370.9|3.23|TTE| TotalEnergies SE| 0.87%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|12.ASSET|Equity|370.9|3.15|HSBA| HSBC Holdings Plc| 0.85%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|13.ASSET|Equity|370.9|2.86|6758| Sony Group Corporation| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|14.ASSET|Equity|370.9|2.86|1299| AIA Group Limited| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||GSID|6|15.ASSET|Equity|370.9|2.78|ULVR| Unilever PLC| 0.75%| North America|Equity|Large Cap Blend Equities||SPD|6|1.ASSET|Equity|493.1|481.17|IVV| iShares Core S&P 500 ETF| 97.58%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|1.ASSET|Equity|237.1|15.17|EXEL| Exelixis, Inc.| 6.40%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|2.ASSET|Equity|237.1|13.28|4502| Takeda Pharmaceutical Co. Ltd.| 5.60%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|3.ASSET|Equity|237.1|12.92|4528| ONO Pharmaceutical Co., Ltd.| 5.45%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|4.ASSET|Equity|237.1|12.9|SAN| Sanofi| 5.44%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|5.ASSET|Equity|237.1|11.67|REGN| Regeneron Pharmaceuticals, Inc.| 4.92%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|6.ASSET|Equity|237.1|11.45|ROG| Roche Holding Ltd| 4.83%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|7.ASSET|Equity|237.1|10.76|GMAB| Genmab A/S| 4.54%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|8.ASSET|Equity|237.1|10.53|GILD| Gilead Sciences, Inc.| 4.44%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|9.ASSET|Equity|237.1|10.15|MRVI| Maravai LifeSciences Holdings Inc Class A| 4.28%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|10.ASSET|Equity|237.1|9.98|NTLA| Intellia Therapeutics, Inc.| 4.21%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|11.ASSET|Equity|237.1|9.37|BEAM| Beam Therapeutics, Inc.| 3.95%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|12.ASSET|Equity|237.1|7.78|BPMC| Blueprint Medicines Corp.| 3.28%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|13.ASSET|Equity|237.1|7.68|EVT| Evotec SE| 3.24%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|14.ASSET|Equity|237.1|7.35|FATE| Fate Therapeutics, Inc.| 3.10%| North America|Equity|Health & Biotech Equities|Healthcare|IDNA|6|15.ASSET|Equity|237.1|7.23|6160| BeiGene, Ltd.| 3.05%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|1.ASSET|Equity|777.3|9.56|2222| Saudi Arabian Oil Company (Saudi Aramco)| 1.23%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|2.ASSET|Equity|777.3|9.02|KFH| Kuwait Finance House K.S.C.| 1.16%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|3.ASSET|Equity|777.3|7.77|2412| Chunghwa Telecom Co., Ltd| 1.00%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|4.ASSET|Equity|777.3|7.38|4904| Far Eastone Telecommunications Co., Ltd.| 0.95%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|5.ASSET|Equity|777.3|7.07|NBK| National Bank of Kuwait K.S.C.| 0.91%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|6.ASSET|Equity|777.3|6.84|3045| Taiwan Mobile Co., Ltd.| 0.88%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|7.ASSET|Equity|777.3|6.53|ZAIN| Mobile Telecommunications Co. KSC| 0.84%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|8.ASSET|Equity|777.3|6.53|2834| Taiwan Business Bank| 0.84%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|9.ASSET|Equity|777.3|6.37|1150| Alinma Bank| 0.82%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|10.ASSET|Equity|777.3|6.37|ELEKTRA| Grupo Elektra SAB de CV| 0.82%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|11.ASSET|Equity|777.3|6.3|2892| First Financial Holding Co. Ltd.| 0.81%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|12.ASSET|Equity|777.3|6.3|QNBK| Qatar National Bank QPSC| 0.81%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|13.ASSET|Equity|777.3|6.3|2884| E.SUN Financial Holding Co., Ltd.| 0.81%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|14.ASSET|Equity|777.3|6.22|5880| Taiwan Cooperative Financial Holding Co., Ltd.| 0.80%| Emerging Markets|Equity|Volatility Hedged Equity||EELV|6|15.ASSET|Equity|777.3|6.22|2880| Hua Nan Financial Holdings Co., Ltd.| 0.80%| North America|Equity|Technology Equities|Technology|PTF|6|1.ASSET|Equity|254.4|14.96|AAPL| Apple Inc.| 5.88%| North America|Equity|Technology Equities|Technology|PTF|6|2.ASSET|Equity|254.4|11.58|INTU| Intuit Inc.| 4.55%| North America|Equity|Technology Equities|Technology|PTF|6|3.ASSET|Equity|254.4|10.23|MPWR| Monolithic Power Systems, Inc.| 4.02%| North America|Equity|Technology Equities|Technology|PTF|6|4.ASSET|Equity|254.4|9.31|FTNT| Fortinet, Inc.| 3.66%| North America|Equity|Technology Equities|Technology|PTF|6|5.ASSET|Equity|254.4|9.03|SYNA| Synaptics Incorporated| 3.55%| North America|Equity|Technology Equities|Technology|PTF|6|6.ASSET|Equity|254.4|8.95|ON| ON Semiconductor Corporation| 3.52%| North America|Equity|Technology Equities|Technology|PTF|6|7.ASSET|Equity|254.4|8.29|LSCC| Lattice Semiconductor Corporation| 3.26%| North America|Equity|Technology Equities|Technology|PTF|6|8.ASSET|Equity|254.4|8.27|AMD| Advanced Micro Devices, Inc.| 3.25%| North America|Equity|Technology Equities|Technology|PTF|6|9.ASSET|Equity|254.4|8.12|CDNS| Cadence Design Systems, Inc.| 3.19%| North America|Equity|Technology Equities|Technology|PTF|6|10.ASSET|Equity|254.4|8.06|NVDA| NVIDIA Corporation| 3.17%| North America|Equity|Technology Equities|Technology|PTF|6|11.ASSET|Equity|254.4|7.91|NOW| ServiceNow, Inc.| 3.11%| North America|Equity|Technology Equities|Technology|PTF|6|12.ASSET|Equity|254.4|7.84|ENTG| Entegris, Inc.| 3.08%| North America|Equity|Technology Equities|Technology|PTF|6|13.ASSET|Equity|254.4|7.53|KLAC| KLA Corporation| 2.96%| North America|Equity|Technology Equities|Technology|PTF|6|14.ASSET|Equity|254.4|7.38|PANW| Palo Alto Networks, Inc.| 2.90%| North America|Equity|Technology Equities|Technology|PTF|6|15.ASSET|Equity|254.4|7|MSFT| Microsoft Corporation| 2.75%| North America|Equity|Large Cap Growth Equities||EFIV|6|1.ASSET|Equity|429.9|38.91|AAPL| Apple Inc.| 9.05%| North America|Equity|Large Cap Growth Equities||EFIV|6|2.ASSET|Equity|429.9|33.88|MSFT| Microsoft Corporation| 7.88%| North America|Equity|Large Cap Growth Equities||EFIV|6|3.ASSET|Equity|429.9|20.16|AMZN| Amazon.com, Inc.| 4.69%| North America|Equity|Large Cap Growth Equities||EFIV|6|4.ASSET|Equity|429.9|12.3|GOOGL| Alphabet Inc. Class A| 2.86%| North America|Equity|Large Cap Growth Equities||EFIV|6|5.ASSET|Equity|429.9|11.48|GOOG| Alphabet Inc. Class C| 2.67%| North America|Equity|Large Cap Growth Equities||EFIV|6|6.ASSET|Equity|429.9|10.79|TSLA| Tesla Inc| 2.51%| North America|Equity|Large Cap Growth Equities||EFIV|6|7.ASSET|Equity|429.9|8.98|NVDA| NVIDIA Corporation| 2.09%| North America|Equity|Large Cap Growth Equities||EFIV|6|8.ASSET|Equity|429.9|6.88|UNH| UnitedHealth Group Incorporated| 1.60%| North America|Equity|Large Cap Growth Equities||EFIV|6|9.ASSET|Equity|429.9|6.19|JPM| JPMorgan Chase & Co.| 1.44%| North America|Equity|Large Cap Growth Equities||EFIV|6|10.ASSET|Equity|429.9|5.67|PG| Procter & Gamble Company| 1.32%| North America|Equity|Large Cap Growth Equities||EFIV|6|11.ASSET|Equity|429.9|5.37|V| Visa Inc. Class A| 1.25%| North America|Equity|Large Cap Growth Equities||EFIV|6|12.ASSET|Equity|429.9|5.16|HD| Home Depot, Inc.| 1.20%| North America|Equity|Large Cap Growth Equities||EFIV|6|13.ASSET|Equity|429.9|5.12|XOM| Exxon Mobil Corporation| 1.19%| North America|Equity|Large Cap Growth Equities||EFIV|6|14.ASSET|Equity|429.9|4.69|BAC| Bank of America Corp| 1.09%| North America|Equity|Large Cap Growth Equities||EFIV|6|15.ASSET|Equity|429.9|4.56|MA| Mastercard Incorporated Class A| 1.06%| Developed Markets|Equity|Global Equities||PAWZ|6|1.ASSET|Equity|239.4|25.02|IDXX| IDEXX Laboratories, Inc.| 10.45%| Developed Markets|Equity|Global Equities||PAWZ|6|2.ASSET|Equity|239.4|23.25|ZTS| Zoetis, Inc. Class A| 9.71%| Developed Markets|Equity|Global Equities||PAWZ|6|3.ASSET|Equity|239.4|22.74|DPH| Dechra Pharmaceuticals PLC| 9.50%| Developed Markets|Equity|Global Equities||PAWZ|6|4.ASSET|Equity|239.4|18.24|FRPT| Freshpet Inc| 7.62%| Developed Markets|Equity|Global Equities||PAWZ|6|5.ASSET|Equity|239.4|16.42|CHWY| Chewy, Inc. Class A| 6.86%| Developed Markets|Equity|Global Equities||PAWZ|6|6.ASSET|Equity|239.4|11.42|TRUP| Trupanion, Inc.| 4.77%| Developed Markets|Equity|Global Equities||PAWZ|6|7.ASSET|Equity|239.4|11.04|NESN| Nestle S.A.| 4.61%| Developed Markets|Equity|Global Equities||PAWZ|6|8.ASSET|Equity|239.4|10.77|MRK| Merck & Co., Inc.| 4.50%| Developed Markets|Equity|Global Equities||PAWZ|6|9.ASSET|Equity|239.4|10.65|WOOF| Petco Health and Wellness Company Inc Class A| 4.45%| Developed Markets|Equity|Global Equities||PAWZ|6|10.ASSET|Equity|239.4|9.29|PETS| Pets At Home Group Plc| 3.88%| Developed Markets|Equity|Global Equities||PAWZ|6|11.ASSET|Equity|239.4|8.26|CL| Colgate-Palmolive Company| 3.45%| Developed Markets|Equity|Global Equities||PAWZ|6|12.ASSET|Equity|239.4|7.3|CVET| Covetrus, Inc.| 3.05%| Developed Markets|Equity|Global Equities||PAWZ|6|13.ASSET|Equity|239.4|6.85|CENTA| Central Garden & Pet Company Class A| 2.86%| Developed Markets|Equity|Global Equities||PAWZ|6|14.ASSET|Equity|239.4|6.68|VIRP| Virbac SA| 2.79%| Developed Markets|Equity|Global Equities||PAWZ|6|15.ASSET|Equity|239.4|6.37|CVSG| CVS Group plc| 2.66%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|1.ASSET|Equity|312.9|10.51|005930| Samsung Electronics Co., Ltd.| 3.36%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|2.ASSET|Equity|312.9|7.98|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 2.55%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|3.ASSET|Equity|312.9|6.51|700| Tencent Holdings Ltd.| 2.08%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|4.ASSET|Equity|312.9|3.82|9988| Alibaba Group Holding Ltd.| 1.22%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|5.ASSET|Equity|312.9|2.66|939| China Construction Bank Corporation Class H| 0.85%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|6.ASSET|Equity|312.9|2.41|VALE3| Vale S.A.| 0.77%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|7.ASSET|Equity|312.9|2.1|500325| Reliance Industries Limited| 0.67%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|8.ASSET|Equity|312.9|1.88|000660| SK hynix Inc| 0.60%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|9.ASSET|Equity|312.9|1.75|3690| Meituan Class B| 0.56%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|10.ASSET|Equity|312.9|1.66|500209| Infosys Limited| 0.53%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|11.ASSET|Equity|312.9|1.56|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.50%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|12.ASSET|Equity|312.9|1.56|2317| Hon Hai Precision Industry Co., Ltd.| 0.50%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|13.ASSET|Equity|312.9|1.53|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 0.49%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|14.ASSET|Equity|312.9|1.35|1398| Industrial and Commercial Bank of China Limited Class H| 0.43%| Emerging Markets|Equity|Foreign Large Cap Equities||TLTE|6|15.ASSET|Equity|312.9|1.31|9618| JD.com, Inc. Class A| 0.42%| North America|Equity|Energy Equities|Energy|IEO|6|1.ASSET|Equity|679.8|127.87|COP| ConocoPhillips| 18.81%| North America|Equity|Energy Equities|Energy|IEO|6|2.ASSET|Equity|679.8|68.12|EOG| EOG Resources, Inc.| 10.02%| North America|Equity|Energy Equities|Energy|IEO|6|3.ASSET|Equity|679.8|54.59|PXD| Pioneer Natural Resources Company| 8.03%| North America|Equity|Energy Equities|Energy|IEO|6|4.ASSET|Equity|679.8|46.16|MPC| Marathon Petroleum Corporation| 6.79%| North America|Equity|Energy Equities|Energy|IEO|6|5.ASSET|Equity|679.8|32.63|DVN| Devon Energy Corporation| 4.80%| North America|Equity|Energy Equities|Energy|IEO|6|6.ASSET|Equity|679.8|30.32|LNG| Cheniere Energy, Inc.| 4.46%| North America|Equity|Energy Equities|Energy|IEO|6|7.ASSET|Equity|679.8|29.91|HES| Hess Corporation| 4.40%| North America|Equity|Energy Equities|Energy|IEO|6|8.ASSET|Equity|679.8|28.28|PSX| Phillips 66| 4.16%| North America|Equity|Energy Equities|Energy|IEO|6|9.ASSET|Equity|679.8|28.21|VLO| Valero Energy Corporation| 4.15%| North America|Equity|Energy Equities|Energy|IEO|6|10.ASSET|Equity|679.8|24.95|FANG| Diamondback Energy, Inc.| 3.67%| North America|Equity|Energy Equities|Energy|IEO|6|11.ASSET|Equity|679.8|21.21|CTRA| Coterra Energy Inc.| 3.12%| North America|Equity|Energy Equities|Energy|IEO|6|12.ASSET|Equity|679.8|19.1|MRO| Marathon Oil Corporation| 2.81%| North America|Equity|Energy Equities|Energy|IEO|6|13.ASSET|Equity|679.8|16.04|TRGP| Targa Resources Corp.| 2.36%| North America|Equity|Energy Equities|Energy|IEO|6|14.ASSET|Equity|679.8|14.48|APA| APA Corp.| 2.13%| North America|Equity|Energy Equities|Energy|IEO|6|15.ASSET|Equity|679.8|13.19|OVV| Ovintiv Inc| 1.94%| Developed Europe|Equity|Europe Equities||DFE|6|1.ASSET|Equity|281.9|10.04|PNL| PostNL NV| 3.56%| Developed Europe|Equity|Europe Equities||DFE|6|2.ASSET|Equity|281.9|4.82|DEC| Diversified Energy Company PLC| 1.71%| Developed Europe|Equity|Europe Equities||DFE|6|3.ASSET|Equity|281.9|4.79|BFF| BFF Bank SpA| 1.70%| Developed Europe|Equity|Europe Equities||DFE|6|4.ASSET|Equity|281.9|4.71|DRX| Drax Group plc| 1.67%| Developed Europe|Equity|Europe Equities||DFE|6|5.ASSET|Equity|281.9|3.64|ALMB| Alm. Brand A/S| 1.29%| Developed Europe|Equity|Europe Equities||DFE|6|6.ASSET|Equity|281.9|3.61|FXPO| Ferrexpo plc| 1.28%| Developed Europe|Equity|Europe Equities||DFE|6|7.ASSET|Equity|281.9|3.44|GBF| Bilfinger SE| 1.22%| Developed Europe|Equity|Europe Equities||DFE|6|8.ASSET|Equity|281.9|3.3|ANIM| ANIMA Holding S.p.A.| 1.17%| Developed Europe|Equity|Europe Equities||DFE|6|9.ASSET|Equity|281.9|3.13|SON| Sonae SGPS SA| 1.11%| Developed Europe|Equity|Europe Equities||DFE|6|10.ASSET|Equity|281.9|2.85|TGS| TGS ASA| 1.01%| Developed Europe|Equity|Europe Equities||DFE|6|11.ASSET|Equity|281.9|2.79|COFA| Coface SA| 0.99%| Developed Europe|Equity|Europe Equities||DFE|6|12.ASSET|Equity|281.9|2.59|BEKB| Bekaert SA| 0.92%| Developed Europe|Equity|Europe Equities||DFE|6|13.ASSET|Equity|281.9|2.57|JUP| Jupiter Fund Management plc| 0.91%| Developed Europe|Equity|Europe Equities||DFE|6|14.ASSET|Equity|281.9|2.57|STG| Scandinavian Tobacco Group A/S| 0.91%| Developed Europe|Equity|Europe Equities||DFE|6|15.ASSET|Equity|281.9|2.42|JM| JM AB| 0.86%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|1.ASSET|Equity|214.7|3.82|ZNGA| Zynga Inc. Class A| 1.78%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|2.ASSET|Equity|214.7|3.52|CHKP| Check Point Software Technologies Ltd.| 1.64%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|3.ASSET|Equity|214.7|3.37|CARG| CarGurus, Inc. Class A| 1.57%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|4.ASSET|Equity|214.7|3.22|MNDT| Mandiant, Inc.| 1.50%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|5.ASSET|Equity|214.7|3.16|TENB| Tenable Holdings, Inc.| 1.47%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|6.ASSET|Equity|214.7|2.94|DOCS| Doximity, Inc. Class A| 1.37%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|7.ASSET|Equity|214.7|2.94|BLND| Blend Labs, Inc. Class A| 1.37%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|8.ASSET|Equity|214.7|2.9|CYBR| CyberArk Software Ltd.| 1.35%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|9.ASSET|Equity|214.7|2.81|ACMR| ACM Research, Inc. Class A| 1.31%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|10.ASSET|Equity|214.7|2.66|AEIS| Advanced Energy Industries, Inc.| 1.24%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|11.ASSET|Equity|214.7|2.66|SEDG| SolarEdge Technologies, Inc.| 1.24%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|12.ASSET|Equity|214.7|2.66|PLAN| Anaplan, Inc.| 1.24%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|13.ASSET|Equity|214.7|2.66|CRWD| CrowdStrike Holdings, Inc. Class A| 1.24%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|14.ASSET|Equity|214.7|2.64|OLED| Universal Display Corporation| 1.23%| Developed Markets|Equity|All Cap Equities|Technology|XITK|6|15.ASSET|Equity|214.7|2.64|TREE| LendingTree, Inc.| 1.23%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|1.ASSET|Real Estate|320.3|19.95|GNL| Global Net Lease Inc| 6.23%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|2.ASSET|Real Estate|320.3|17.65|APTS| Preferred Apartment Communities, Inc.| 5.51%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|3.ASSET|Real Estate|320.3|16.88|OPI| Office Properties Income Trust| 5.27%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|4.ASSET|Real Estate|320.3|16.66|RTL| Necessity Retail REIT, Inc. Class A| 5.20%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|5.ASSET|Real Estate|320.3|15.69|SBRA| Sabra Health Care REIT, Inc.| 4.90%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|6.ASSET|Real Estate|320.3|15.34|OHI| Omega Healthcare Investors, Inc.| 4.79%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|7.ASSET|Real Estate|320.3|13.58|BRG| Bluerock Residential Growth REIT Inc Class A| 4.24%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|8.ASSET|Real Estate|320.3|13.16|LTC| LTC Properties, Inc.| 4.11%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|9.ASSET|Real Estate|320.3|12.43|NHI| National Health Investors, Inc.| 3.88%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|10.ASSET|Real Estate|320.3|12.33|EPR| EPR Properties| 3.85%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|11.ASSET|Real Estate|320.3|11.37|GOOD| Gladstone Commercial Corporation| 3.55%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|12.ASSET|Real Estate|320.3|10.7|BDN| Brandywine Realty Trust| 3.34%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|13.ASSET|Real Estate|320.3|10.47|GLPI| Gaming and Leisure Properties, Inc.| 3.27%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|14.ASSET|Real Estate|320.3|10.38|ILPT| Industrial Logistics Properties Trust| 3.24%| North America|Real Estate|Real Estate|Real Estate|KBWY|6|15.ASSET|Real Estate|320.3|10.31|SRC| Spirit Realty Capital, Inc.| 3.22%| North America|Equity|Large Cap Growth Equities||VSDA|6|1.ASSET|Equity|316.4|9.75|RMD| ResMed Inc.| 3.08%| North America|Equity|Large Cap Growth Equities||VSDA|6|2.ASSET|Equity|316.4|9.52|XEL| Xcel Energy Inc.| 3.01%| North America|Equity|Large Cap Growth Equities||VSDA|6|3.ASSET|Equity|316.4|9.21|MMM| 3M Company| 2.91%| North America|Equity|Large Cap Growth Equities||VSDA|6|4.ASSET|Equity|316.4|9.05|MCD| McDonald\'s Corporation| 2.86%| North America|Equity|Large Cap Growth Equities||VSDA|6|5.ASSET|Equity|316.4|8.1|AON| Aon Plc Class A| 2.56%| North America|Equity|Large Cap Growth Equities||VSDA|6|6.ASSET|Equity|316.4|7.75|LNT| Alliant Energy Corp| 2.45%| North America|Equity|Large Cap Growth Equities||VSDA|6|7.ASSET|Equity|316.4|7.53|ED| Consolidated Edison, Inc.| 2.38%| North America|Equity|Large Cap Growth Equities||VSDA|6|8.ASSET|Equity|316.4|7.21|JKHY| Jack Henry & Associates, Inc.| 2.28%| North America|Equity|Large Cap Growth Equities||VSDA|6|9.ASSET|Equity|316.4|6.8|EMR| Emerson Electric Co.| 2.15%| North America|Equity|Large Cap Growth Equities||VSDA|6|10.ASSET|Equity|316.4|6.42|LANC| Lancaster Colony Corporation| 2.03%| North America|Equity|Large Cap Growth Equities||VSDA|6|11.ASSET|Equity|316.4|6.17|MA| Mastercard Incorporated Class A| 1.95%| North America|Equity|Large Cap Growth Equities||VSDA|6|12.ASSET|Equity|316.4|5.98|DG| Dollar General Corporation| 1.89%| North America|Equity|Large Cap Growth Equities||VSDA|6|13.ASSET|Equity|316.4|5.98|CL| Colgate-Palmolive Company| 1.89%| North America|Equity|Large Cap Growth Equities||VSDA|6|14.ASSET|Equity|316.4|5.92|GWW| W.W. Grainger, Inc.| 1.87%| North America|Equity|Large Cap Growth Equities||VSDA|6|15.ASSET|Equity|316.4|5.82|ADM| Archer-Daniels-Midland Company| 1.84%| North America|Equity|Large Cap Growth Equities||SFY|6|1.ASSET|Equity|381.5|25.29|AAPL| Apple Inc.| 6.63%| North America|Equity|Large Cap Growth Equities||SFY|6|2.ASSET|Equity|381.5|22.09|MSFT| Microsoft Corporation| 5.79%| North America|Equity|Large Cap Growth Equities||SFY|6|3.ASSET|Equity|381.5|20.56|AMZN| Amazon.com, Inc.| 5.39%| North America|Equity|Large Cap Growth Equities||SFY|6|4.ASSET|Equity|381.5|18.31|TSLA| Tesla Inc| 4.80%| North America|Equity|Large Cap Growth Equities||SFY|6|5.ASSET|Equity|381.5|9|NVDA| NVIDIA Corporation| 2.36%| North America|Equity|Large Cap Growth Equities||SFY|6|6.ASSET|Equity|381.5|7.94|GOOG| Alphabet Inc. Class C| 2.08%| North America|Equity|Large Cap Growth Equities||SFY|6|7.ASSET|Equity|381.5|7.36|GOOGL| Alphabet Inc. Class A| 1.93%| North America|Equity|Large Cap Growth Equities||SFY|6|8.ASSET|Equity|381.5|5.07|FB| Meta Platforms Inc. Class A| 1.33%| North America|Equity|Large Cap Growth Equities||SFY|6|9.ASSET|Equity|381.5|4.39|PG| Procter & Gamble Company| 1.15%| North America|Equity|Large Cap Growth Equities||SFY|6|10.ASSET|Equity|381.5|3.7|ABBV| AbbVie, Inc.| 0.97%| North America|Equity|Large Cap Growth Equities||SFY|6|11.ASSET|Equity|381.5|3.7|CRM| salesforce.com, inc.| 0.97%| North America|Equity|Large Cap Growth Equities||SFY|6|12.ASSET|Equity|381.5|3.66|UNH| UnitedHealth Group Incorporated| 0.96%| North America|Equity|Large Cap Growth Equities||SFY|6|13.ASSET|Equity|381.5|3.59|JNJ| Johnson & Johnson| 0.94%| North America|Equity|Large Cap Growth Equities||SFY|6|14.ASSET|Equity|381.5|3.36|HD| Home Depot, Inc.| 0.88%| North America|Equity|Large Cap Growth Equities||SFY|6|15.ASSET|Equity|381.5|3.24|AMD| Advanced Micro Devices, Inc.| 0.85%| Developed Markets|Equity|Global Equities||WDIV|6|1.ASSET|Equity|262.4|4.43|ENG| Enagas SA| 1.69%| Developed Markets|Equity|Global Equities||WDIV|6|2.ASSET|Equity|262.4|4.25|T| AT&T Inc.| 1.62%| Developed Markets|Equity|Global Equities||WDIV|6|3.ASSET|Equity|262.4|3.94|KEY| Keyera Corp.| 1.50%| Developed Markets|Equity|Global Equities||WDIV|6|4.ASSET|Equity|262.4|3.83|17| New World Development Co. Ltd.| 1.46%| Developed Markets|Equity|Global Equities||WDIV|6|5.ASSET|Equity|262.4|3.78|688| China Overseas Land & Investment Limited| 1.44%| Developed Markets|Equity|Global Equities||WDIV|6|6.ASSET|Equity|262.4|3.78|RUI| Rubis SCA| 1.44%| Developed Markets|Equity|Global Equities||WDIV|6|7.ASSET|Equity|262.4|3.75|SJI| South Jersey Industries, Inc.| 1.43%| Developed Markets|Equity|Global Equities||WDIV|6|8.ASSET|Equity|262.4|3.65|LTC| LTC Properties, Inc.| 1.39%| Developed Markets|Equity|Global Equities||WDIV|6|9.ASSET|Equity|262.4|3.59|TRP| TC Energy Corporation| 1.37%| Developed Markets|Equity|Global Equities||WDIV|6|10.ASSET|Equity|262.4|3.52|033780| KT & G Corporation| 1.34%| Developed Markets|Equity|Global Equities||WDIV|6|11.ASSET|Equity|262.4|3.52|9513| Electric Power Development Co., Ltd.| 1.34%| Developed Markets|Equity|Global Equities||WDIV|6|12.ASSET|Equity|262.4|3.49|270| Guangdong Investment Limited| 1.33%| Developed Markets|Equity|Global Equities||WDIV|6|13.ASSET|Equity|262.4|3.46|4502| Takeda Pharmaceutical Co. Ltd.| 1.32%| Developed Markets|Equity|Global Equities||WDIV|6|14.ASSET|Equity|262.4|3.36|6| Power Assets Holdings Limited| 1.28%| Developed Markets|Equity|Global Equities||WDIV|6|15.ASSET|Equity|262.4|3.36|TEL| Telenor ASA| 1.28%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|1.ASSET|Bond|347.6|2.26|N/A| University Calif Revs VAR 15-MAY-2048| 0.65%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|2.ASSET|Bond|347.6|2.26|N/A| University Calif Revs VAR 15-MAY-2048| 0.65%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|3.ASSET|Bond|347.6|2.12|N/A| Wisconsin St 5.0% 01-MAY-2029| 0.61%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|4.ASSET|Bond|347.6|2.12|N/A| Wisconsin St 5.0% 01-MAY-2029| 0.61%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|5.ASSET|Bond|347.6|1.88|N/A| Salt Lake Cnty Utah Excise Tax Rd Rev 5.0% 15-AUG-2030| 0.54%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|6.ASSET|Bond|347.6|1.88|N/A| Salt Lake Cnty Utah Excise Tax Rd Rev 5.0% 15-AUG-2030| 0.54%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|7.ASSET|Bond|347.6|1.63|N/A| California St 5.0% 01-AUG-2023| 0.47%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|8.ASSET|Bond|347.6|1.6|N/A| California St 5.0% 01-AUG-2023| 0.46%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|9.ASSET|Bond|347.6|1.56|N/A| Wisconsin St Clean Wtr Rev 5.0% 01-JUN-2024| 0.45%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|10.ASSET|Bond|347.6|1.56|N/A| Wisconsin St Clean Wtr Rev 5.0% 01-JUN-2024| 0.45%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|11.ASSET|Bond|347.6|1.32|N/A| Columbus Ohio 5.0% 01-JUL-2030| 0.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|12.ASSET|Bond|347.6|1.32|N/A| Columbus Ohio 5.0% 01-JUL-2030| 0.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|13.ASSET|Bond|347.6|1.32|N/A| Metropolitan Govt Nashville & Davidson Cnty Tenn 5.0% 01-JAN-2033| 0.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|14.ASSET|Bond|347.6|1.29|N/A| Coast Cmnty College Dist Calif 5.0% 01-AUG-2026| 0.37%| North America|Bond|National Munis|Target Maturity Date Munis|IBML|6|15.ASSET|Bond|347.6|1.29|N/A| Coast Cmnty College Dist Calif 5.0% 01-AUG-2026| 0.37%| North America|Multi-Asset|Diversified Portfolio||TAIL|6|1.ASSET|Multi-Asset|406.5|336.91|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 82.88%| North America|Multi-Asset|Diversified Portfolio||TAIL|6|2.ASSET|Multi-Asset|406.5|23.37|N/A| Government of the United States of America 0.125% 15-JUL-2030| 5.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|1.ASSET|Bond|371.5|2.71|N/A| MUTUAL FUND (OTHER)| 0.73%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|2.ASSET|Bond|371.5|2.01|N/A| CORPORATE BOND| 0.54%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|3.ASSET|Bond|371.5|1.45|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 0.39%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|4.ASSET|Bond|371.5|1.3|N/A| AbbVie Inc. 3.2% 21-NOV-2029| 0.35%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|5.ASSET|Bond|371.5|1.23|N/A| Bank of America Corporation 3.419% 20-DEC-2028| 0.33%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|6.ASSET|Bond|371.5|1.08|N/A| Verizon Communications Inc. 4.329% 21-SEP-2028| 0.29%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|7.ASSET|Bond|371.5|1.04|N/A| Anheuser-Busch Inbev Worldwide, Inc. 4.75% 23-JAN-2029| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|8.ASSET|Bond|371.5|1.04|N/A| Deutsche Telekom International Finance BV 8.75% 15-JUN-2030| 0.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|9.ASSET|Bond|371.5|1|N/A| CVS Health Corporation 4.3% 25-MAR-2028| 0.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|10.ASSET|Bond|371.5|1|N/A| Boeing Company 5.15% 01-MAY-2030| 0.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|11.ASSET|Bond|371.5|0.89|N/A| AT&T Inc. 4.3% 15-FEB-2030| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|12.ASSET|Bond|371.5|0.89|N/A| HSBC Holdings Plc 4.95% 31-MAR-2030| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|13.ASSET|Bond|371.5|0.89|N/A| Goldman Sachs Group, Inc. 2.383% 21-JUL-2032| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|14.ASSET|Bond|371.5|0.89|N/A| Bank of America Corporation 2.687% 22-APR-2032| 0.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SCHI|6|15.ASSET|Bond|371.5|0.85|N/A| Goldman Sachs Group, Inc. 4.223% 01-MAY-2029| 0.23%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|1.ASSET|Equity|679.8|31.61|005930| Samsung Electronics Co., Ltd.| 4.65%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|2.ASSET|Equity|679.8|27.46|700| Tencent Holdings Ltd.| 4.04%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|3.ASSET|Equity|679.8|23.59|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.47%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|4.ASSET|Equity|679.8|14.89|500209| Infosys Limited| 2.19%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|5.ASSET|Equity|679.8|12.71|WALMEX| Wal-Mart de Mexico SAB de CV| 1.87%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|6.ASSET|Equity|679.8|12.64|9988| Alibaba Group Holding Ltd.| 1.86%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|7.ASSET|Equity|679.8|12.44|3968| China Merchants Bank Co., Ltd. Class H| 1.83%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|8.ASSET|Equity|679.8|11.42|500010| Housing Development Finance Corporation Limited| 1.68%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|9.ASSET|Equity|679.8|11.01|000660| SK hynix Inc| 1.62%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|10.ASSET|Equity|679.8|9.79|9999| NetEase, Inc| 1.44%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|11.ASSET|Equity|679.8|9.11|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.34%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|12.ASSET|Equity|679.8|9.04|532540| Tata Consultancy Services Limited| 1.33%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|13.ASSET|Equity|679.8|8.02|HDB| HDFC Bank Limited Sponsored ADR| 1.18%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|14.ASSET|Equity|679.8|8.02|939| China Construction Bank Corporation Class H| 1.18%| Emerging Markets|Equity|Emerging Markets Equities||JEMA|6|15.ASSET|Equity|679.8|7.95|3690| Meituan Class B| 1.17%| North America|Bond|National Munis|Municipal Bond|SMB|6|1.ASSET|Bond|335.2|3.59|N/A| Main Str Nat Gas Inc Ga Gas Supply Rev VAR 01-MAR-2050| 1.07%| North America|Bond|National Munis|Municipal Bond|SMB|6|2.ASSET|Bond|335.2|2.98|N/A| Maryland St 5.0% 15-MAR-2024| 0.89%| North America|Bond|National Munis|Municipal Bond|SMB|6|3.ASSET|Bond|335.2|2.38|N/A| Conroe Tex Indpt Sch Dist 5.0% 15-FEB-2027| 0.71%| North America|Bond|National Munis|Municipal Bond|SMB|6|4.ASSET|Bond|335.2|2.31|N/A| North Carolina Tpk Auth Triangle Expwy Sys Rev 5.0% 01-FEB-2024| 0.69%| North America|Bond|National Munis|Municipal Bond|SMB|6|5.ASSET|Bond|335.2|2.18|N/A| Central Plains Energy Proj Neb Gas Supply Rev VAR 01-DEC-2049| 0.65%| North America|Bond|National Munis|Municipal Bond|SMB|6|6.ASSET|Bond|335.2|1.94|N/A| Tennessee Energy Acquisition Corp Gas Rev VAR 01-NOV-2049| 0.58%| North America|Bond|National Munis|Municipal Bond|SMB|6|7.ASSET|Bond|335.2|1.88|N/A| Patriots Energy Group Fing Agy S C Gas Supply Rev VAR 01-OCT-2048| 0.56%| North America|Bond|National Munis|Municipal Bond|SMB|6|8.ASSET|Bond|335.2|1.71|N/A| California St 5.0% 01-AUG-2025| 0.51%| North America|Bond|National Munis|Municipal Bond|SMB|6|9.ASSET|Bond|335.2|1.71|N/A| Pefa Inc Iowa Gas Proj Rev VAR 01-SEP-2049| 0.51%| North America|Bond|National Munis|Municipal Bond|SMB|6|10.ASSET|Bond|335.2|1.68|N/A| Missouri St Health & Edl Facs Auth Health Facs Rev VAR 01-MAY-2051| 0.50%| North America|Bond|National Munis|Municipal Bond|SMB|6|11.ASSET|Bond|335.2|1.64|N/A| New York N Y 5.0% 01-AUG-2024| 0.49%| North America|Bond|National Munis|Municipal Bond|SMB|6|12.ASSET|Bond|335.2|1.64|N/A| Kentucky Inc Ky Pub Energy Auth Gas Suplly Rev VAR 01-DEC-2050| 0.49%| North America|Bond|National Munis|Municipal Bond|SMB|6|13.ASSET|Bond|335.2|1.64|N/A| Lower Ala Gas Dist Gas Proj Rev VAR 01-DEC-2050| 0.49%| North America|Bond|National Munis|Municipal Bond|SMB|6|14.ASSET|Bond|335.2|1.64|N/A| Metropolitan Transn Auth N Y Rev VAR 15-NOV-2048| 0.49%| North America|Bond|National Munis|Municipal Bond|SMB|6|15.ASSET|Bond|335.2|1.61|N/A| Central Plains Energy Proj Neb Gas Supply Rev VAR 01-DEC-2049| 0.48%| North America|Bond|National Munis|Municipal Bond|FMHI|6|1.ASSET|Bond|372.3|30.86|N/A| U.S. Dollar| 8.29%| North America|Bond|National Munis|Municipal Bond|FMHI|6|2.ASSET|Bond|372.3|7|N/A| MUNICIPAL BONDS| 1.88%| North America|Bond|National Munis|Municipal Bond|FMHI|6|3.ASSET|Bond|372.3|3.76|N/A| Buckeye Ohio Tob Settlement Fing Auth 5.0% 01-JUN-2055| 1.01%| North America|Bond|National Munis|Municipal Bond|FMHI|6|4.ASSET|Bond|372.3|3.05|N/A| Sawyers Landing Cmnty Dev Dist Fla Spl Assmt Rev 4.125% 01-MAY-2041| 0.82%| North America|Bond|National Munis|Municipal Bond|FMHI|6|5.ASSET|Bond|372.3|3.05|N/A| Canyon Pines Met Dist Colo Spl Impt Dist No 1 Spl Assmt Rev 3.75% 01-DEC-2040| 0.82%| North America|Bond|National Munis|Municipal Bond|FMHI|6|6.ASSET|Bond|372.3|2.79|N/A| Oklahoma Dev Fin Auth Rev 7.25% 01-SEP-2051| 0.75%| North America|Bond|National Munis|Municipal Bond|FMHI|6|7.ASSET|Bond|372.3|2.79|N/A| North Pkwy Mun Mgmt Dist No 1 Tex Spl Assmt Rev 5.0% 15-SEP-2051| 0.75%| North America|Bond|National Munis|Municipal Bond|FMHI|6|8.ASSET|Bond|372.3|2.72|N/A| Illinois St 5.0% 01-NOV-2029| 0.73%| North America|Bond|National Munis|Municipal Bond|FMHI|6|9.ASSET|Bond|372.3|2.64|N/A| Palm Beach Cnty Fla Health Facs Auth Hosp Rev 4.0% 15-AUG-2049| 0.71%| North America|Bond|National Munis|Municipal Bond|FMHI|6|10.ASSET|Bond|372.3|2.64|N/A| Mida Golf & Equestrian Ctr Pub Infrastructure Dist Utah 4.5% 01-JUN-2051| 0.71%| North America|Bond|National Munis|Municipal Bond|FMHI|6|11.ASSET|Bond|372.3|2.57|N/A| Edgewater East Cmnty Dev Dist Fla Spl Assmt Rev 4.0% 01-MAY-2042| 0.69%| North America|Bond|National Munis|Municipal Bond|FMHI|6|12.ASSET|Bond|372.3|2.49|N/A| Dubois Pa Hosp Auth Hosp Rev 4.0% 15-JUL-2051| 0.67%| North America|Bond|National Munis|Municipal Bond|FMHI|6|13.ASSET|Bond|372.3|2.42|N/A| Southcentral Pa Gen Auth Rev 4.0% 01-JUN-2044| 0.65%| North America|Bond|National Munis|Municipal Bond|FMHI|6|14.ASSET|Bond|372.3|2.42|N/A| North Carolina Med Care Commn Health Care Facs Rev 4.0% 01-MAR-2051| 0.65%| North America|Bond|National Munis|Municipal Bond|FMHI|6|15.ASSET|Bond|372.3|2.35|N/A| Aurora Highlands Cmnty Auth Brd Colo Spl Tax Rev 5.75% 01-DEC-2051| 0.63%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|1.ASSET|Equity|300.6|17.8|ABBV| AbbVie, Inc.| 5.92%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|2.ASSET|Equity|300.6|17.49|BMY| Bristol-Myers Squibb Company| 5.82%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|3.ASSET|Equity|300.6|16.32|AZN| Astrazeneca PLC Sponsored ADR| 5.43%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|4.ASSET|Equity|300.6|15.84|MCK| McKesson Corporation| 5.27%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|5.ASSET|Equity|300.6|15.72|NVS| Novartis AG Sponsored ADR| 5.23%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|6.ASSET|Equity|300.6|15.63|SNY| Sanofi SA Sponsored ADR| 5.20%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|7.ASSET|Equity|300.6|15.51|ABC| AmerisourceBergen Corporation| 5.16%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|8.ASSET|Equity|300.6|15.3|MRK| Merck & Co., Inc.| 5.09%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|9.ASSET|Equity|300.6|15|LLY| Eli Lilly and Company| 4.99%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|10.ASSET|Equity|300.6|14.64|JNJ| Johnson & Johnson| 4.87%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|11.ASSET|Equity|300.6|14.4|TAK| Takeda Pharmaceutical Co. Ltd. Sponsored ADR| 4.79%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|12.ASSET|Equity|300.6|13.41|NVO| Novo Nordisk A/S Sponsored ADR Class B| 4.46%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|13.ASSET|Equity|300.6|13.08|PFE| Pfizer Inc.| 4.35%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|14.ASSET|Equity|300.6|12.87|GSK| GlaxoSmithKline plc Sponsored ADR| 4.28%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|PPH|6|15.ASSET|Equity|300.6|11.06|ZTS| Zoetis, Inc. Class A| 3.68%| North America|Equity|All Cap Equities||ONEO|6|1.ASSET|Equity|313|3.32|HPQ| HP Inc.| 1.06%| North America|Equity|All Cap Equities||ONEO|6|2.ASSET|Equity|313|1.82|AZO| AutoZone, Inc.| 0.58%| North America|Equity|All Cap Equities||ONEO|6|3.ASSET|Equity|313|1.78|DELL| Dell Technologies Inc Class C| 0.57%| North America|Equity|All Cap Equities||ONEO|6|4.ASSET|Equity|313|1.75|KR| Kroger Co.| 0.56%| North America|Equity|All Cap Equities||ONEO|6|5.ASSET|Equity|313|1.69|BBY| Best Buy Co., Inc.| 0.54%| North America|Equity|All Cap Equities||ONEO|6|6.ASSET|Equity|313|1.57|HPE| Hewlett Packard Enterprise Co.| 0.50%| North America|Equity|All Cap Equities||ONEO|6|7.ASSET|Equity|313|1.57|TPR| Tapestry, Inc.| 0.50%| North America|Equity|All Cap Equities||ONEO|6|8.ASSET|Equity|313|1.53|MOS| Mosaic Company| 0.49%| North America|Equity|All Cap Equities||ONEO|6|9.ASSET|Equity|313|1.5|KLAC| KLA Corporation| 0.48%| North America|Equity|All Cap Equities||ONEO|6|10.ASSET|Equity|313|1.44|TSN| Tyson Foods, Inc. Class A| 0.46%| North America|Equity|All Cap Equities||ONEO|6|11.ASSET|Equity|313|1.44|MU| Micron Technology, Inc.| 0.46%| North America|Equity|All Cap Equities||ONEO|6|12.ASSET|Equity|313|1.41|WSM| Williams-Sonoma, Inc.| 0.45%| North America|Equity|All Cap Equities||ONEO|6|13.ASSET|Equity|313|1.41|NTAP| NetApp, Inc.| 0.45%| North America|Equity|All Cap Equities||ONEO|6|14.ASSET|Equity|313|1.41|PWR| Quanta Services, Inc.| 0.45%| North America|Equity|All Cap Equities||ONEO|6|15.ASSET|Equity|313|1.38|COF| Capital One Financial Corporation| 0.44%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|1.ASSET|Bond|442.8|32.01|N/A| CORPORATE BOND| 7.23%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|2.ASSET|Bond|442.8|23.6|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 5.33%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|3.ASSET|Bond|442.8|13.28|N/A| ASSET-BACKED SECURITIES| 3.00%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|4.ASSET|Bond|442.8|12.4|N/A| Fannie Mae REMIC Trust 2015-66 AF 0.43686% 25-SEP-2045| 2.80%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|5.ASSET|Bond|442.8|12.22|N/A| FNMA 5/1 Pool#BM6347 Var 01-Feb-2041 3.743% 01-FEB-2041| 2.76%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|6.ASSET|Bond|442.8|11.51|N/A| Freddie Mac Multiclass Certificates, Series 4944 F 0.63686% 25-JAN-2050| 2.60%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|7.ASSET|Bond|442.8|10.67|N/A| Government of the United States of America FRN 31-OCT-2023| 2.41%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|8.ASSET|Bond|442.8|10.36|N/A| FHLMC 7/1 Pool#841188 Var 01-Jan-2046 2.317% 01-JAN-2046| 2.34%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|9.ASSET|Bond|442.8|6.38|N/A| Government of the United States of America FRN 30-APR-2023| 1.44%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|10.ASSET|Bond|442.8|4.92|N/A| Fannie Mae REMIC Trust 2016-67 AF 0.58686% 25-SEP-2046| 1.11%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|11.ASSET|Bond|442.8|4.83|N/A| FHLMC 5/1 Pool#841174 Var 01-Oct-2043 2.093% 01-OCT-2043| 1.09%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|12.ASSET|Bond|442.8|4.74|N/A| Royal Bank of Canada FRN 21-JAN-2025| 1.07%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|13.ASSET|Bond|442.8|4.74|N/A| United States Treasury Bills 0.0% 01-SEP-2022| 1.07%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|14.ASSET|Bond|442.8|3.72|N/A| Freddie Mac Multiclass Certificates, Series 4719 AF 0.54114% 15-SEP-2047| 0.84%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|GSST|6|15.ASSET|Bond|442.8|3.59|N/A| United States Treasury Notes 1.5% 15-JAN-2023| 0.81%| North America|Equity|Large Cap Growth Equities||SSUS|6|1.ASSET|Equity|421.9|209.09|N/A| U.S. Dollar| 49.56%| North America|Equity|Large Cap Growth Equities||SSUS|6|2.ASSET|Equity|421.9|49.24|XLK| Technology Select Sector SPDR Fund| 11.67%| North America|Equity|Large Cap Growth Equities||SSUS|6|3.ASSET|Equity|421.9|33.54|XLV| Health Care Select Sector SPDR Fund| 7.95%| North America|Equity|Large Cap Growth Equities||SSUS|6|4.ASSET|Equity|421.9|23.29|XLI| Industrial Select Sector SPDR Fund| 5.52%| North America|Equity|Large Cap Growth Equities||SSUS|6|5.ASSET|Equity|421.9|21.18|XLF| Financial Select Sector SPDR Fund| 5.02%| North America|Equity|Large Cap Growth Equities||SSUS|6|6.ASSET|Equity|421.9|16.96|XLP| Consumer Staples Select Sector SPDR Fund| 4.02%| North America|Equity|Large Cap Growth Equities||SSUS|6|7.ASSET|Equity|421.9|14.3|XLC| Communication Services Select Sector SPDR Fund| 3.39%| North America|Equity|Large Cap Growth Equities||SSUS|6|8.ASSET|Equity|421.9|13.92|XLE| Energy Select Sector SPDR Fund| 3.30%| North America|Equity|Large Cap Growth Equities||SSUS|6|9.ASSET|Equity|421.9|12.57|XLY| Consumer Discretionary Select Sector SPDR Fund| 2.98%| North America|Equity|Large Cap Growth Equities||SSUS|6|10.ASSET|Equity|421.9|10.17|XLU| Utilities Select Sector SPDR Fund| 2.41%| North America|Equity|Large Cap Growth Equities||SSUS|6|11.ASSET|Equity|421.9|8.99|XLB| Materials Select Sector SPDR Fund| 2.13%| North America|Equity|Large Cap Growth Equities||SSUS|6|12.ASSET|Equity|421.9|4.39|XLRE| Real Estate Select Sector SPDR Fund| 1.04%| North America|Equity|Large Cap Growth Equities||SSUS|6|13.ASSET|Equity|421.9|2.15|VOX| Vanguard Communication Services ETF| 0.51%| North America|Equity|Large Cap Growth Equities||SSUS|6|14.ASSET|Equity|421.9|2.11|VDC| Vanguard Consumer Staples ETF| 0.50%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|1.ASSET|Equity|287.7|5.81|NESN| Nestle S.A.| 2.02%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|2.ASSET|Equity|287.7|4.57|005930| Samsung Electronics Co., Ltd.| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|3.ASSET|Equity|287.7|4.46|ROG| Roche Holding Ltd| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|4.ASSET|Equity|287.7|4.17|ASML| ASML Holding NV| 1.45%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|5.ASSET|Equity|287.7|3.68|7203| Toyota Motor Corp.| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|6.ASSET|Equity|287.7|3.28|SHEL| Shell PLC| 1.14%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|7.ASSET|Equity|287.7|3.16|AZN| AstraZeneca PLC| 1.10%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|8.ASSET|Equity|287.7|2.91|NOVN| Novartis AG| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|9.ASSET|Equity|287.7|2.88|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|10.ASSET|Equity|287.7|2.76|NOVO.B| Novo Nordisk A/S Class B| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|11.ASSET|Equity|287.7|2.24|HSBA| HSBC Holdings Plc| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|12.ASSET|Equity|287.7|2.07|6758| Sony Group Corporation| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|13.ASSET|Equity|287.7|2.04|SAP| SAP SE| 0.71%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|14.ASSET|Equity|287.7|2.01|ULVR| Unilever PLC| 0.70%| Developed Markets|Equity|Foreign Large Cap Equities||HFXI|6|15.ASSET|Equity|287.7|2.01|1299| AIA Group Limited| 0.70%| North America|Equity|Large Cap Growth Equities||CLRG|6|1.ASSET|Equity|325.5|4.95|EOG| EOG Resources, Inc.| 1.52%| North America|Equity|Large Cap Growth Equities||CLRG|6|2.ASSET|Equity|325.5|4.85|ANET| Arista Networks, Inc.| 1.49%| North America|Equity|Large Cap Growth Equities||CLRG|6|3.ASSET|Equity|325.5|4.39|ZS| Zscaler, Inc.| 1.35%| North America|Equity|Large Cap Growth Equities||CLRG|6|4.ASSET|Equity|325.5|4.2|ADM| Archer-Daniels-Midland Company| 1.29%| North America|Equity|Large Cap Growth Equities||CLRG|6|5.ASSET|Equity|325.5|4.17|NOC| Northrop Grumman Corporation| 1.28%| North America|Equity|Large Cap Growth Equities||CLRG|6|6.ASSET|Equity|325.5|4.17|MCK| McKesson Corporation| 1.28%| North America|Equity|Large Cap Growth Equities||CLRG|6|7.ASSET|Equity|325.5|4.13|PLD| Prologis, Inc.| 1.27%| North America|Equity|Large Cap Growth Equities||CLRG|6|8.ASSET|Equity|325.5|4.13|CVS| CVS Health Corporation| 1.27%| North America|Equity|Large Cap Growth Equities||CLRG|6|9.ASSET|Equity|325.5|4.07|WST| West Pharmaceutical Services, Inc.| 1.25%| North America|Equity|Large Cap Growth Equities||CLRG|6|10.ASSET|Equity|325.5|3.97|AZO| AutoZone, Inc.| 1.22%| North America|Equity|Large Cap Growth Equities||CLRG|6|11.ASSET|Equity|325.5|3.97|ORLY| O\'Reilly Automotive, Inc.| 1.22%| North America|Equity|Large Cap Growth Equities||CLRG|6|12.ASSET|Equity|325.5|3.94|ODFL| Old Dominion Freight Line, Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||CLRG|6|13.ASSET|Equity|325.5|3.91|HSY| Hershey Company| 1.20%| North America|Equity|Large Cap Growth Equities||CLRG|6|14.ASSET|Equity|325.5|3.87|UNH| UnitedHealth Group Incorporated| 1.19%| North America|Equity|Large Cap Growth Equities||CLRG|6|15.ASSET|Equity|325.5|3.87|GOOGL| Alphabet Inc. Class A| 1.19%| North America|Real Estate|Real Estate|Real Estate|MORT|6|1.ASSET|Real Estate|273.1|33.67|NLY| Annaly Capital Management, Inc.| 12.33%| North America|Real Estate|Real Estate|Real Estate|MORT|6|2.ASSET|Real Estate|273.1|22.64|STWD| Starwood Property Trust, Inc.| 8.29%| North America|Real Estate|Real Estate|Real Estate|MORT|6|3.ASSET|Real Estate|273.1|22.45|AGNC| AGNC Investment Corp.| 8.22%| North America|Real Estate|Real Estate|Real Estate|MORT|6|4.ASSET|Real Estate|273.1|17.53|BXMT| Blackstone Mortgage Trust, Inc. Class A| 6.42%| North America|Real Estate|Real Estate|Real Estate|MORT|6|5.ASSET|Real Estate|273.1|13.98|NRZ| New Residential Investment Corp.| 5.12%| North America|Real Estate|Real Estate|Real Estate|MORT|6|6.ASSET|Real Estate|273.1|13.68|ABR| Arbor Realty Trust, Inc.| 5.01%| North America|Real Estate|Real Estate|Real Estate|MORT|6|7.ASSET|Real Estate|273.1|13.16|HASI| Hannon Armstrong Sustainable Infrastructure Capital, Inc.| 4.82%| North America|Real Estate|Real Estate|Real Estate|MORT|6|8.ASSET|Real Estate|273.1|11.55|CIM| Chimera Investment Corporation| 4.23%| North America|Real Estate|Real Estate|Real Estate|MORT|6|9.ASSET|Real Estate|273.1|11.52|TWO| Two Harbors Investment Corp.| 4.22%| North America|Real Estate|Real Estate|Real Estate|MORT|6|10.ASSET|Real Estate|273.1|10.57|ARI| Apollo Commercial Real Estate Finance, Inc.| 3.87%| North America|Real Estate|Real Estate|Real Estate|MORT|6|11.ASSET|Real Estate|273.1|10.1|MFA| MFA Financial, Inc.| 3.70%| North America|Real Estate|Real Estate|Real Estate|MORT|6|12.ASSET|Real Estate|273.1|9.83|LADR| Ladder Capital Corp. Class A| 3.60%| North America|Real Estate|Real Estate|Real Estate|MORT|6|13.ASSET|Real Estate|273.1|9.64|PMT| PennyMac Mortgage Investment Trust| 3.53%| North America|Real Estate|Real Estate|Real Estate|MORT|6|14.ASSET|Real Estate|273.1|8.98|NYMT| New York Mortgage Trust, Inc.| 3.29%| North America|Real Estate|Real Estate|Real Estate|MORT|6|15.ASSET|Real Estate|273.1|8.19|BRMK| Broadmark Realty Capital Inc| 3.00%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|1.ASSET|Bond|397.5|13.91|N/A| CORPORATE BOND| 3.50%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|2.ASSET|Bond|397.5|7.91|N/A| Federal Home Loan Bank System 0.0% 03-MAR-2022| 1.99%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|3.ASSET|Bond|397.5|5.49|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 1.38%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|4.ASSET|Bond|397.5|4.45|N/A| Bausch Health Americas, Inc. 9.25% 01-APR-2026| 1.12%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|5.ASSET|Bond|397.5|4.37|N/A| CSC Holdings, LLC 7.5% 01-APR-2028| 1.10%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|6.ASSET|Bond|397.5|4.13|N/A| Martin Midstream Partners L.P. 11.5% 28-FEB-2025| 1.04%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|7.ASSET|Bond|397.5|4.05|N/A| FIXED INCOME (UNCLASSFIED)| 1.02%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|8.ASSET|Bond|397.5|3.94|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.99%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|9.ASSET|Bond|397.5|3.62|N/A| EnLink Midstream Partners, L.P. 4.15% 01-JUN-2025| 0.91%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|10.ASSET|Bond|397.5|3.54|N/A| CCO Holdings LLC 4.5% 15-AUG-2030| 0.89%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|11.ASSET|Bond|397.5|3.38|N/A| Carnival Corporation 7.625% 01-MAR-2026| 0.85%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|12.ASSET|Bond|397.5|3.3|N/A| Jaguar Land Rover Automotive Plc 5.5% 15-JUL-2029| 0.83%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|13.ASSET|Bond|397.5|3.26|N/A| BWAY Holding Co., Inc. 7.25% 15-APR-2025| 0.82%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|14.ASSET|Bond|397.5|3.26|N/A| Global Net Lease, Inc. 3.75% 15-DEC-2027| 0.82%| Developed Markets|Bond|High Yield Bonds|Junk|FLHY|6|15.ASSET|Bond|397.5|3.26|N/A| Cheniere Energy, Inc. 4.625% 15-OCT-2028| 0.82%| North America|Bond|Leveraged Bonds|Treasuries|TMF|6|1.ASSET|Bond|358.4|210.56|TLT| iShares 20+ Year Treasury Bond ETF| 58.75%| North America|Bond|Leveraged Bonds|Treasuries|TMF|6|2.ASSET|Bond|358.4|79.71|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 22.24%| North America|Bond|Leveraged Bonds|Treasuries|TMF|6|3.ASSET|Bond|358.4|39.46|DGCXX| Dreyfus Government Cash Management Funds Institutional| 11.01%| North America|Bond|Leveraged Bonds|Treasuries|TMF|6|4.ASSET|Bond|358.4|27.63|N/A| U.S. Dollar| 7.71%| North America|Bond|Leveraged Bonds|Treasuries|TMF|6|5.ASSET|Bond|358.4|1|N/A| MUTUAL FUND (OTHER)| 0.28%| North America|Equity|MLPs|Energy|AMZA|6|1.ASSET|Equity|312.6|56.52|MPLX| MPLX LP| 18.08%| North America|Equity|MLPs|Energy|AMZA|6|2.ASSET|Equity|312.6|54.89|MMP| Magellan Midstream Partners, L.P.| 17.56%| North America|Equity|MLPs|Energy|AMZA|6|3.ASSET|Equity|312.6|42.79|EPD| Enterprise Products Partners L.P.| 13.69%| North America|Equity|MLPs|Energy|AMZA|6|4.ASSET|Equity|312.6|38.73|WES| Western Midstream Partners, LP| 12.39%| North America|Equity|MLPs|Energy|AMZA|6|5.ASSET|Equity|312.6|35.01|PSXP| Phillips 66 Partners LP| 11.20%| North America|Equity|MLPs|Energy|AMZA|6|6.ASSET|Equity|312.6|33.2|NS| NuStar Energy L.P.| 10.62%| North America|Equity|MLPs|Energy|AMZA|6|7.ASSET|Equity|312.6|32.48|PAA| Plains All American Pipeline, L.P.| 10.39%| North America|Equity|MLPs|Energy|AMZA|6|8.ASSET|Equity|312.6|31.64|ET| Energy Transfer, L.P.| 10.12%| North America|Equity|MLPs|Energy|AMZA|6|9.ASSET|Equity|312.6|26.41|CEQP| Crestwood Equity Partners LP| 8.45%| North America|Equity|MLPs|Energy|AMZA|6|10.ASSET|Equity|312.6|20.13|DCP| DCP Midstream LP| 6.44%| North America|Equity|MLPs|Energy|AMZA|6|11.ASSET|Equity|312.6|16.38|SHLX| Shell Midstream Partners LP| 5.24%| North America|Equity|MLPs|Energy|AMZA|6|12.ASSET|Equity|312.6|10.57|HEP| Holly Energy Partners, L.P.| 3.38%| North America|Equity|MLPs|Energy|AMZA|6|13.ASSET|Equity|312.6|6.47|ENLC| EnLink Midstream LLC| 2.07%| North America|Equity|MLPs|Energy|AMZA|6|14.ASSET|Equity|312.6|4.85|OKE| ONEOK, Inc.| 1.55%| North America|Equity|MLPs|Energy|AMZA|6|15.ASSET|Equity|312.6|2.75|BPMP| BP Midstream Partners LP| 0.88%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|1.ASSET|Equity|300.4|26.74|FERG| Ferguson Plc| 8.90%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|2.ASSET|Equity|300.4|22.89|DHR| Danaher Corporation| 7.62%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|3.ASSET|Equity|300.4|20.94|ECL| Ecolab Inc.| 6.97%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|4.ASSET|Equity|300.4|20.88|PNR| Pentair plc| 6.95%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|5.ASSET|Equity|300.4|17.75|GEBN| Geberit AG| 5.91%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|6.ASSET|Equity|300.4|13.16|VIE| Veolia Environnement SA| 4.38%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|7.ASSET|Equity|300.4|12.98|ROP| Roper Technologies, Inc.| 4.32%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|8.ASSET|Equity|300.4|12.92|WAT| Waters Corporation| 4.30%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|9.ASSET|Equity|300.4|12.11|AWK| American Water Works Company, Inc.| 4.03%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|10.ASSET|Equity|300.4|11.75|5332| TOTO Ltd| 3.91%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|11.ASSET|Equity|300.4|8.59|XYL| Xylem Inc.| 2.86%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|12.ASSET|Equity|300.4|8.53|SBSP3| Companhia de Saneamento Basico do Estado de Sao Paulo SABESP| 2.84%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|13.ASSET|Equity|300.4|8.5|UU| United Utilities Group PLC| 2.83%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|14.ASSET|Equity|300.4|8.41|AOS| A. O. Smith Corporation| 2.80%| Developed Markets|Equity|Water Equities |Industrials|PIO|6|15.ASSET|Equity|300.4|7.78|SVT| Severn Trent Plc| 2.59%| North America|Equity|All Cap Equities||SYLD|6|1.ASSET|Equity|503.3|12.48|DDS| Dillard\'s, Inc. Class A| 2.48%| North America|Equity|All Cap Equities||SYLD|6|2.ASSET|Equity|503.3|10.62|WBS| Webster Financial Corporation| 2.11%| North America|Equity|All Cap Equities||SYLD|6|3.ASSET|Equity|503.3|8.66|NUE| Nucor Corporation| 1.72%| North America|Equity|All Cap Equities||SYLD|6|4.ASSET|Equity|503.3|8.61|AAPL| Apple Inc.| 1.71%| North America|Equity|All Cap Equities||SYLD|6|5.ASSET|Equity|503.3|8.2|LPX| Louisiana-Pacific Corporation| 1.63%| North America|Equity|All Cap Equities||SYLD|6|6.ASSET|Equity|503.3|7.6|MOS| Mosaic Company| 1.51%| North America|Equity|All Cap Equities||SYLD|6|7.ASSET|Equity|503.3|7.3|TOL| Toll Brothers, Inc.| 1.45%| North America|Equity|All Cap Equities||SYLD|6|8.ASSET|Equity|503.3|7.2|STLD| Steel Dynamics, Inc.| 1.43%| North America|Equity|All Cap Equities||SYLD|6|9.ASSET|Equity|503.3|6.64|MATX| Matson, Inc.| 1.32%| North America|Equity|All Cap Equities||SYLD|6|10.ASSET|Equity|503.3|6.64|CBT| Cabot Corporation| 1.32%| North America|Equity|All Cap Equities||SYLD|6|11.ASSET|Equity|503.3|6.34|HP| Helmerich & Payne, Inc.| 1.26%| North America|Equity|All Cap Equities||SYLD|6|12.ASSET|Equity|503.3|6.24|CMA| Comerica Incorporated| 1.24%| North America|Equity|All Cap Equities||SYLD|6|13.ASSET|Equity|503.3|6.19|OAS| Oasis Petroleum Inc| 1.23%| North America|Equity|All Cap Equities||SYLD|6|14.ASSET|Equity|503.3|6.09|BCC| Boise Cascade Co.| 1.21%| North America|Equity|All Cap Equities||SYLD|6|15.ASSET|Equity|503.3|6.09|RFP| Resolute Forest Products Inc.| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|1.ASSET|Equity|373.7|21.56|AAL| Anglo American plc| 5.77%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|2.ASSET|Equity|373.7|20.14|BHP| BHP Group Ltd| 5.39%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|3.ASSET|Equity|373.7|19.28|RIO| Rio Tinto plc| 5.16%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|4.ASSET|Equity|373.7|18.39|MC| LVMH Moet Hennessy Louis Vuitton SE| 4.92%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|5.ASSET|Equity|373.7|18.31|ROG| Roche Holding Ltd| 4.90%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|6.ASSET|Equity|373.7|17.97|NOVO.B| Novo Nordisk A/S Class B| 4.81%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|7.ASSET|Equity|373.7|11.25|ITX| Industria de Diseno Textil, S.A.| 3.01%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|8.ASSET|Equity|373.7|10.46|8035| Tokyo Electron Ltd.| 2.80%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|9.ASSET|Equity|373.7|10.46|DGE| Diageo plc| 2.80%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|10.ASSET|Equity|373.7|9.6|DPW| Deutsche Post AG| 2.57%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|11.ASSET|Equity|373.7|8.15|ASML| ASML Holding NV| 2.18%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|12.ASSET|Equity|373.7|6.61|KER| Kering SA| 1.77%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|13.ASSET|Equity|373.7|6.2|CSL| CSL Limited| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|14.ASSET|Equity|373.7|6.13|HLAG| Hapag-Lloyd AG| 1.64%| Developed Markets|Equity|Foreign Large Cap Equities||IQDG|6|15.ASSET|Equity|373.7|5.46|REL| RELX PLC| 1.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|1.ASSET|Bond|285.2|1.6|N/A| Apple Inc. 3.0% 13-NOV-2027| 0.56%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|2.ASSET|Bond|285.2|1.37|N/A| UnitedHealth Group Incorporated 3.85% 15-JUN-2028| 0.48%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|3.ASSET|Bond|285.2|1.25|N/A| Wells Fargo & Company 3.55% 29-SEP-2025| 0.44%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|4.ASSET|Bond|285.2|1.23|N/A| UnitedHealth Group Incorporated 1.15% 15-MAY-2026| 0.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|5.ASSET|Bond|285.2|1.17|N/A| Wells Fargo & Company 3.584% 22-MAY-2028| 0.41%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|6.ASSET|Bond|285.2|1.17|N/A| Berkshire Hathaway Energy 4.05% 15-APR-2025| 0.41%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|7.ASSET|Bond|285.2|1.14|N/A| Wells Fargo & Company 2.393% 02-JUN-2028| 0.40%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|8.ASSET|Bond|285.2|1.11|N/A| AbbVie Inc. 4.25% 14-NOV-2028| 0.39%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|9.ASSET|Bond|285.2|1.08|N/A| Wells Fargo & Company 4.3% 22-JUL-2027| 0.38%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|10.ASSET|Bond|285.2|1.08|N/A| HSBC Holdings Plc 4.25% 18-AUG-2025| 0.38%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|11.ASSET|Bond|285.2|1.08|N/A| MidAmerican Energy Company 3.65% 15-APR-2029| 0.38%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|12.ASSET|Bond|285.2|1.06|N/A| Lowe\'s Companies, Inc. 3.65% 05-APR-2029| 0.37%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|13.ASSET|Bond|285.2|1.06|N/A| AbbVie Inc. 3.6% 14-MAY-2025| 0.37%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|14.ASSET|Bond|285.2|1.06|N/A| HSBC Holdings Plc 3.9% 25-MAY-2026| 0.37%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SKOR|6|15.ASSET|Bond|285.2|1.06|N/A| Union Pacific Corporation 3.15% 01-MAR-2024| 0.37%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|1.ASSET|Equity|373.5|44.15|GOOGL| Alphabet Inc. Class A| 11.82%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|2.ASSET|Equity|373.5|41.65|FB| Meta Platforms Inc. Class A| 11.15%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|3.ASSET|Equity|373.5|41.09|GOOG| Alphabet Inc. Class C| 11.00%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|4.ASSET|Equity|373.5|24.43|700| Tencent Holdings Ltd.| 6.54%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|5.ASSET|Equity|373.5|20.06|VZ| Verizon Communications Inc.| 5.37%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|6.ASSET|Equity|373.5|17.93|DIS| Walt Disney Company| 4.80%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|7.ASSET|Equity|373.5|17.89|CMCSA| Comcast Corporation Class A| 4.79%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|8.ASSET|Equity|373.5|16.06|T| AT&T Inc.| 4.30%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|9.ASSET|Equity|373.5|11.62|NFLX| Netflix, Inc.| 3.11%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|10.ASSET|Equity|373.5|7.02|CHTR| Charter Communications, Inc. Class A| 1.88%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|11.ASSET|Equity|373.5|6.91|TMUS| T-Mobile US, Inc.| 1.85%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|12.ASSET|Equity|373.5|6.09|9432| Nippon Telegraph and Telephone Corporation| 1.63%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|13.ASSET|Equity|373.5|6.01|ATVI| Activision Blizzard, Inc.| 1.61%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|14.ASSET|Equity|373.5|5.64|7974| Nintendo Co., Ltd.| 1.51%| Developed Markets|Equity|Large Cap Growth Equities|Telecom|IXP|6|15.ASSET|Equity|373.5|5.6|DTE| Deutsche Telekom AG| 1.50%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|1.ASSET|Equity|260.6|21.5|NEE| NextEra Energy, Inc.| 8.25%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|2.ASSET|Equity|260.6|20.59|TSLA| Tesla Inc| 7.90%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|3.ASSET|Equity|260.6|20.46|IBE| Iberdrola SA| 7.85%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|4.ASSET|Equity|260.6|18.32|ENEL| Enel SpA| 7.03%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|5.ASSET|Equity|260.6|13.42|VWS| Vestas Wind Systems A/S| 5.15%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|6.ASSET|Equity|260.6|11.65|NIO| NIO Inc. Sponsored ADR Class A| 4.47%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|7.ASSET|Equity|260.6|10.53|ORSTED| Orsted| 4.04%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|8.ASSET|Equity|260.6|9.88|006400| Samsung SDI Co., Ltd| 3.79%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|9.ASSET|Equity|260.6|8.81|LI| Li Auto, Inc. Sponsored ADR Class A| 3.38%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|10.ASSET|Equity|260.6|8.68|1211| BYD Company Limited Class H| 3.33%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|11.ASSET|Equity|260.6|8.29|XPEV| XPeng, Inc. ADR Sponsored Class A| 3.18%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|12.ASSET|Equity|260.6|8.18|ENPH| Enphase Energy, Inc.| 3.14%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|13.ASSET|Equity|260.6|7.01|LCID| Lucid Group, Inc.| 2.69%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|14.ASSET|Equity|260.6|6.49|SEDG| SolarEdge Technologies, Inc.| 2.49%| Developed Markets|Equity|Energy Equities|Energy|SMOG|6|15.ASSET|Equity|260.6|6.02|NIBE.B| NIBE Industrier AB Class B| 2.31%| North America|Multi-Asset|Technology Equities||QQH|6|1.ASSET|Multi-Asset|332.4|22.77|AAPL| Apple Inc.| 6.85%| North America|Multi-Asset|Technology Equities||QQH|6|2.ASSET|Multi-Asset|332.4|20.71|MSFT| Microsoft Corporation| 6.23%| North America|Multi-Asset|Technology Equities||QQH|6|3.ASSET|Multi-Asset|332.4|11.14|AMZN| Amazon.com, Inc.| 3.35%| North America|Multi-Asset|Technology Equities||QQH|6|4.ASSET|Multi-Asset|332.4|8.64|NVDA| NVIDIA Corporation| 2.60%| North America|Multi-Asset|Technology Equities||QQH|6|5.ASSET|Multi-Asset|332.4|8.11|TSLA| Tesla Inc| 2.44%| North America|Multi-Asset|Technology Equities||QQH|6|6.ASSET|Multi-Asset|332.4|6.35|FB| Meta Platforms Inc. Class A| 1.91%| North America|Multi-Asset|Technology Equities||QQH|6|7.ASSET|Multi-Asset|332.4|4.99|GOOGL| Alphabet Inc. Class A| 1.50%| North America|Multi-Asset|Technology Equities||QQH|6|8.ASSET|Multi-Asset|332.4|4.99|GOOG| Alphabet Inc. Class C| 1.50%| North America|Multi-Asset|Technology Equities||QQH|6|9.ASSET|Multi-Asset|332.4|3.52|AVGO| Broadcom Inc.| 1.06%| North America|Multi-Asset|Technology Equities||QQH|6|10.ASSET|Multi-Asset|332.4|3.52|COST| Costco Wholesale Corporation| 1.06%| North America|Multi-Asset|Technology Equities||QQH|6|11.ASSET|Multi-Asset|332.4|3.39|QCOM| Qualcomm Inc| 1.02%| North America|Multi-Asset|Technology Equities||QQH|6|12.ASSET|Multi-Asset|332.4|3.19|PEP| PepsiCo, Inc.| 0.96%| North America|Multi-Asset|Technology Equities||QQH|6|13.ASSET|Multi-Asset|332.4|3.12|ADBE| Adobe Inc.| 0.94%| North America|Multi-Asset|Technology Equities||QQH|6|14.ASSET|Multi-Asset|332.4|3.09|CSCO| Cisco Systems, Inc.| 0.93%| North America|Multi-Asset|Technology Equities||QQH|6|15.ASSET|Multi-Asset|332.4|2.96|CMCSA| Comcast Corporation Class A| 0.89%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|1.ASSET|Equity|314.7|53.75|RTX| Raytheon Technologies Corporation| 17.08%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|2.ASSET|Equity|314.7|39.27|DGCXX| Dreyfus Government Cash Management Funds Institutional| 12.48%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|3.ASSET|Equity|314.7|38.96|BA| Boeing Company| 12.38%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|4.ASSET|Equity|314.7|38.36|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 12.19%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|5.ASSET|Equity|314.7|14.92|LMT| Lockheed Martin Corporation| 4.74%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|6.ASSET|Equity|314.7|12.34|NOC| Northrop Grumman Corporation| 3.92%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|7.ASSET|Equity|314.7|11.61|GD| General Dynamics Corporation| 3.69%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|8.ASSET|Equity|314.7|11.58|LHX| L3Harris Technologies Inc| 3.68%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|9.ASSET|Equity|314.7|10.92|TDG| TransDigm Group Incorporated| 3.47%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|10.ASSET|Equity|314.7|10.48|HWM| Howmet Aerospace Inc.| 3.33%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|11.ASSET|Equity|314.7|9.69|TXT| Textron Inc.| 3.08%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|12.ASSET|Equity|314.7|7.36|AXON| Axon Enterprise Inc| 2.34%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|13.ASSET|Equity|314.7|6.48|HII| Huntington Ingalls Industries, Inc.| 2.06%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|14.ASSET|Equity|314.7|5.79|HEI.A| HEICO Corporation Class A| 1.84%| North America|Equity|Leveraged Equities|Industrials|DFEN|6|15.ASSET|Equity|314.7|4.66|CW| Curtiss-Wright Corporation| 1.48%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|1.ASSET|Multi-Asset|392.7|26.63|AAPL| Apple Inc.| 6.78%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|2.ASSET|Multi-Asset|392.7|23.72|MSFT| Microsoft Corporation| 6.04%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|3.ASSET|Multi-Asset|392.7|16.73|GOOG| Alphabet Inc. Class C| 4.26%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|4.ASSET|Multi-Asset|392.7|14.02|AMZN| Amazon.com, Inc.| 3.57%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|5.ASSET|Multi-Asset|392.7|8.56|UNH| UnitedHealth Group Incorporated| 2.18%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|6.ASSET|Multi-Asset|392.7|6.87|TMO| Thermo Fisher Scientific Inc.| 1.75%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|7.ASSET|Multi-Asset|392.7|6.83|ABBV| AbbVie, Inc.| 1.74%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|8.ASSET|Multi-Asset|392.7|6.64|ANTM| Anthem, Inc.| 1.69%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|9.ASSET|Multi-Asset|392.7|6.56|LHX| L3Harris Technologies Inc| 1.67%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|10.ASSET|Multi-Asset|392.7|6.44|BRK.B| Berkshire Hathaway Inc. Class B| 1.64%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|11.ASSET|Multi-Asset|392.7|6.01|JPM| JPMorgan Chase & Co.| 1.53%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|12.ASSET|Multi-Asset|392.7|5.97|TGT| Target Corporation| 1.52%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|13.ASSET|Multi-Asset|392.7|5.93|N/A| OPTIONS| 1.51%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|14.ASSET|Multi-Asset|392.7|5.93|HD| Home Depot, Inc.| 1.51%| North America|Multi-Asset|Diversified Portfolio||ACIO|6|15.ASSET|Multi-Asset|392.7|5.77|UNP| Union Pacific Corporation| 1.47%| North America|Equity|Volatility Hedged Equity||PJAN|6|1.ASSET|Equity|536.6|533.11|N/A| OPTIONS| 99.35%| North America|Equity|Volatility Hedged Equity||PJAN|6|2.ASSET|Equity|536.6|533.06|N/A| OPTIONS| 99.34%| North America|Equity|Volatility Hedged Equity||PJAN|6|3.ASSET|Equity|536.6|3.54|N/A| U.S. Dollar| 0.66%| North America|Equity|Volatility Hedged Equity||PJAN|6|4.ASSET|Equity|536.6|3.49|N/A| U.S. Dollar| 0.65%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|1.ASSET|Bond|211.7|8.07|N/A| EQUITY OTHER| 3.81%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|2.ASSET|Bond|211.7|6.61|N/A| Palo Alto Networks, Inc. 0.75% 01-JUL-2023| 3.12%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|3.ASSET|Bond|211.7|5.8|AVGOP| Broadcom Inc 8.00 % Cum Conv Pfd Registered Shs 2019-30.09.22 Series A| 2.74%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|4.ASSET|Bond|211.7|5.19|N/A| ON Semiconductor Corporation 0.0% 01-MAY-2027| 2.45%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|5.ASSET|Bond|211.7|4.91|DHR.PRB| Danaher Corporation 5 % Cum Conv Pfd Registered Shs 2020-15.05.23 Class B| 2.32%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|6.ASSET|Bond|211.7|4.64|N/A| DexCom, Inc. 0.25% 15-NOV-2025| 2.19%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|7.ASSET|Bond|211.7|4.11|N/A| Pioneer Natural Resources Company 0.25% 15-MAY-2025| 1.94%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|8.ASSET|Bond|211.7|3.62|N/A| Snap, Inc. 0.125% 01-MAR-2028| 1.71%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|9.ASSET|Bond|211.7|3.45|N/A| U.S. Dollar| 1.63%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|10.ASSET|Bond|211.7|3.45|NEE.PRP| NextEra Energy, Inc. Corporate Units Cons of Debenture 01.03.25 + 1 PC 01.03.23| 1.63%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|11.ASSET|Bond|211.7|3.41|N/A| Southwest Airlines Co. 1.25% 01-MAY-2025| 1.61%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|12.ASSET|Bond|211.7|3.37|N/A| Live Nation Entertainment, Inc. 2.5% 15-MAR-2023| 1.59%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|13.ASSET|Bond|211.7|3.13|N/A| Royal Caribbean Group 4.25% 15-JUN-2023| 1.48%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|14.ASSET|Bond|211.7|2.94|N/A| Etsy, Inc. 0.125% 01-SEP-2027| 1.39%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|FCVT|6|15.ASSET|Bond|211.7|2.84|N/A| Cloudflare, Inc. 0.0% 15-AUG-2026| 1.34%| North America|Volatility|Volatility||VIXY|6|1.ASSET|Volatility|357.4|357.4|N/A| CBOE Volatility Index (VIX) Futures| 100.00%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|1.ASSET|Bond|303.2|4.46|N/A| Verizon Communications Inc. 4.329% 21-SEP-2028| 1.47%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|2.ASSET|Bond|303.2|4.09|N/A| Comcast Corporation 4.15% 15-OCT-2028| 1.35%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|3.ASSET|Bond|303.2|4|N/A| Cigna Corporation 4.375% 15-OCT-2028| 1.32%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|4.ASSET|Bond|303.2|3.06|N/A| Vodafone Group Plc 4.375% 30-MAY-2028| 1.01%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|5.ASSET|Bond|303.2|3.03|N/A| United Technologies Corporation 4.125% 16-NOV-2028| 1.00%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|6.ASSET|Bond|303.2|2.94|N/A| AerCap Ireland Capital DAC 3.0% 29-OCT-2028| 0.97%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|7.ASSET|Bond|303.2|2.91|N/A| CVS Health Corporation 4.3% 25-MAR-2028| 0.96%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|8.ASSET|Bond|303.2|2.82|N/A| Anheuser-Busch Inbev Worldwide, Inc. 4.0% 13-APR-2028| 0.93%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|9.ASSET|Bond|303.2|2.4|N/A| DuPont de Nemours, Inc. 4.725% 15-NOV-2028| 0.79%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|10.ASSET|Bond|303.2|2.24|N/A| Citigroup Inc. 4.125% 25-JUL-2028| 0.74%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|11.ASSET|Bond|303.2|2.15|N/A| CORPORATE BOND| 0.71%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|12.ASSET|Bond|303.2|2.15|N/A| AT&T Inc. 4.1% 15-FEB-2028| 0.71%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|13.ASSET|Bond|303.2|2.12|N/A| Takeda Pharmaceutical Company Limited 5.0% 26-NOV-2028| 0.70%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|14.ASSET|Bond|303.2|2.12|N/A| Keurig Dr Pepper Inc. 4.597% 25-MAY-2028| 0.70%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDT|6|15.ASSET|Bond|303.2|2.09|N/A| AbbVie Inc. 4.25% 14-NOV-2028| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|1.ASSET|Equity|326.4|11.95|SHEL| Shell PLC| 3.66%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|2.ASSET|Equity|326.4|5.61|BP| BP p.l.c.| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|3.ASSET|Equity|326.4|5.58|005930| Samsung Electronics Co., Ltd.| 1.71%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|4.ASSET|Equity|326.4|5.09|TTE| TotalEnergies SE| 1.56%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|5.ASSET|Equity|326.4|5.06|ENB| Enbridge Inc.| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|6.ASSET|Equity|326.4|5.06|7203| Toyota Motor Corp.| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|7.ASSET|Equity|326.4|4.34|NESN| Nestle S.A.| 1.33%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|8.ASSET|Equity|326.4|3.75|BAM.A| Brookfield Asset Management Inc. Class A| 1.15%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|9.ASSET|Equity|326.4|3.69|CNQ| Canadian Natural Resources Limited| 1.13%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|10.ASSET|Equity|326.4|3.43|ROG| Roche Holding Ltd| 1.05%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|11.ASSET|Equity|326.4|3.39|SU| Suncor Energy Inc.| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|12.ASSET|Equity|326.4|3.13|NOVN| Novartis AG| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|13.ASSET|Equity|326.4|2.87|NTR| Nutrien Ltd.| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|14.ASSET|Equity|326.4|2.84|GLEN| Glencore plc| 0.87%| Developed Markets|Equity|Foreign Large Cap Equities||ISDX|6|15.ASSET|Equity|326.4|2.77|VOW3| Volkswagen AG Pref| 0.85%| North America|Equity|Small Cap Blend Equities||USVM|6|1.ASSET|Equity|285.9|1.72|TWNK| Hostess Brands, Inc. Class A| 0.60%| North America|Equity|Small Cap Blend Equities||USVM|6|2.ASSET|Equity|285.9|1.46|NFG| National Fuel Gas Company| 0.51%| North America|Equity|Small Cap Blend Equities||USVM|6|3.ASSET|Equity|285.9|1.34|UVV| Universal Corp| 0.47%| North America|Equity|Small Cap Blend Equities||USVM|6|4.ASSET|Equity|285.9|1.32|WMK| Weis Markets, Inc.| 0.46%| North America|Equity|Small Cap Blend Equities||USVM|6|5.ASSET|Equity|285.9|1.26|LXP| LXP Industrial Trust| 0.44%| North America|Equity|Small Cap Blend Equities||USVM|6|6.ASSET|Equity|285.9|1.26|AMPH| Amphastar Pharmaceuticals Inc| 0.44%| North America|Equity|Small Cap Blend Equities||USVM|6|7.ASSET|Equity|285.9|1.26|RS| Reliance Steel & Aluminum Co.| 0.44%| North America|Equity|Small Cap Blend Equities||USVM|6|8.ASSET|Equity|285.9|1.14|LNTH| Lantheus Holdings Inc| 0.40%| North America|Equity|Small Cap Blend Equities||USVM|6|9.ASSET|Equity|285.9|1.14|SEB| Seaboard Corporation| 0.40%| North America|Equity|Small Cap Blend Equities||USVM|6|10.ASSET|Equity|285.9|1.12|STAG| STAG Industrial, Inc.| 0.39%| North America|Equity|Small Cap Blend Equities||USVM|6|11.ASSET|Equity|285.9|1.12|IMKTA| Ingles Markets, Incorporated Class A| 0.39%| North America|Equity|Small Cap Blend Equities||USVM|6|12.ASSET|Equity|285.9|1.09|OTTR| Otter Tail Corporation| 0.38%| North America|Equity|Small Cap Blend Equities||USVM|6|13.ASSET|Equity|285.9|1.09|NHC| National HealthCare Corporation| 0.38%| North America|Equity|Small Cap Blend Equities||USVM|6|14.ASSET|Equity|285.9|1.09|PBH| Prestige Consumer Healthcare Inc| 0.38%| North America|Equity|Small Cap Blend Equities||USVM|6|15.ASSET|Equity|285.9|1.06|AGX| Argan, Inc.| 0.37%| Developed Markets|Equity|Materials|Materials|WOOD|6|1.ASSET|Equity|310.8|32.17|WFG| West Fraser Timber Co. Ltd.| 10.35%| Developed Markets|Equity|Materials|Materials|WOOD|6|2.ASSET|Equity|310.8|27.6|WY| Weyerhaeuser Company| 8.88%| Developed Markets|Equity|Materials|Materials|WOOD|6|3.ASSET|Equity|310.8|27.04|RYN| Rayonier Inc.| 8.70%| Developed Markets|Equity|Materials|Materials|WOOD|6|4.ASSET|Equity|310.8|25.3|SCA.B| Svenska Cellulosa AB SCA Class B| 8.14%| Developed Markets|Equity|Materials|Materials|WOOD|6|5.ASSET|Equity|310.8|21.6|PCH| PotlatchDeltic Corporation| 6.95%| Developed Markets|Equity|Materials|Materials|WOOD|6|6.ASSET|Equity|310.8|13.89|SUZB3| Suzano S.A.| 4.47%| Developed Markets|Equity|Materials|Materials|WOOD|6|7.ASSET|Equity|310.8|13.08|HOLM.B| Holmen AB Class B| 4.21%| Developed Markets|Equity|Materials|Materials|WOOD|6|8.ASSET|Equity|310.8|12.93|STERV| Stora Enso Oyj Class R| 4.16%| Developed Markets|Equity|Materials|Materials|WOOD|6|9.ASSET|Equity|310.8|11.78|3861| Oji Holdings Corp.| 3.79%| Developed Markets|Equity|Materials|Materials|WOOD|6|10.ASSET|Equity|310.8|11.59|IFP| Interfor Corporation| 3.73%| Developed Markets|Equity|Materials|Materials|WOOD|6|11.ASSET|Equity|310.8|11.34|WRK| WestRock Company| 3.65%| Developed Markets|Equity|Materials|Materials|WOOD|6|12.ASSET|Equity|310.8|11.19|UPM| UPM-Kymmene Oyj| 3.60%| Developed Markets|Equity|Materials|Materials|WOOD|6|13.ASSET|Equity|310.8|10.88|SK3| Smurfit Kappa Group Plc| 3.50%| Developed Markets|Equity|Materials|Materials|WOOD|6|14.ASSET|Equity|310.8|10.85|1911| Sumitomo Forestry Co., Ltd.| 3.49%| Developed Markets|Equity|Materials|Materials|WOOD|6|15.ASSET|Equity|310.8|10.82|KLBN11| Klabin SA Ctf de Deposito de Acoes Cons of 1 Sh + 4 Pfd Shs| 3.48%| North America|Real Estate|Real Estate|Real Estate|INDS|6|1.ASSET|Real Estate|404.2|62.85|PLD| Prologis, Inc.| 15.55%| North America|Real Estate|Real Estate|Real Estate|INDS|6|2.ASSET|Real Estate|404.2|58.89|DRE| Duke Realty Corporation| 14.57%| North America|Real Estate|Real Estate|Real Estate|INDS|6|3.ASSET|Real Estate|404.2|42.44|LSI| Life Storage, Inc.| 10.50%| North America|Real Estate|Real Estate|Real Estate|INDS|6|4.ASSET|Real Estate|404.2|20.33|N/A| U.S. Dollar| 5.03%| North America|Real Estate|Real Estate|Real Estate|INDS|6|5.ASSET|Real Estate|404.2|20.09|LXP| LXP Industrial Trust| 4.97%| North America|Real Estate|Real Estate|Real Estate|INDS|6|6.ASSET|Real Estate|404.2|19.4|ILPT| Industrial Logistics Properties Trust| 4.80%| North America|Real Estate|Real Estate|Real Estate|INDS|6|7.ASSET|Real Estate|404.2|19.24|REXR| Rexford Industrial Realty, Inc.| 4.76%| North America|Real Estate|Real Estate|Real Estate|INDS|6|8.ASSET|Real Estate|404.2|18.51|FR| First Industrial Realty Trust, Inc.| 4.58%| North America|Real Estate|Real Estate|Real Estate|INDS|6|9.ASSET|Real Estate|404.2|17.99|EGP| EastGroup Properties, Inc.| 4.45%| North America|Real Estate|Real Estate|Real Estate|INDS|6|10.ASSET|Real Estate|404.2|17.66|PSB| PS Business Parks, Inc.| 4.37%| North America|Real Estate|Real Estate|Real Estate|INDS|6|11.ASSET|Real Estate|404.2|17.46|TRNO| Terreno Realty Corporation| 4.32%| North America|Real Estate|Real Estate|Real Estate|INDS|6|12.ASSET|Real Estate|404.2|17.1|STAG| STAG Industrial, Inc.| 4.23%| North America|Real Estate|Real Estate|Real Estate|INDS|6|13.ASSET|Real Estate|404.2|16.41|COLD| Americold Realty Trust| 4.06%| North America|Real Estate|Real Estate|Real Estate|INDS|6|14.ASSET|Real Estate|404.2|15.64|PLYM| Plymouth Industrial REIT, Inc.| 3.87%| North America|Real Estate|Real Estate|Real Estate|INDS|6|15.ASSET|Real Estate|404.2|14.63|INDT| INDUS Realty Trust, Inc.| 3.62%| North America|Equity|Small Cap Value Equities||RZV|6|1.ASSET|Equity|295.5|4.31|ZEUS| Olympic Steel, Inc.| 1.46%| North America|Equity|Small Cap Value Equities||RZV|6|2.ASSET|Equity|295.5|4.17|KELYA| Kelly Services, Inc. Class A| 1.41%| North America|Equity|Small Cap Value Equities||RZV|6|3.ASSET|Equity|295.5|3.99|RLGY| Realogy Holdings Corp.| 1.35%| North America|Equity|Small Cap Value Equities||RZV|6|4.ASSET|Equity|295.5|3.87|ANDE| Andersons, Inc.| 1.31%| North America|Equity|Small Cap Value Equities||RZV|6|5.ASSET|Equity|295.5|3.87|SENEA| Seneca Foods Corporation Class A| 1.31%| North America|Equity|Small Cap Value Equities||RZV|6|6.ASSET|Equity|295.5|3.84|SXC| SunCoke Energy, Inc.| 1.30%| North America|Equity|Small Cap Value Equities||RZV|6|7.ASSET|Equity|295.5|3.66|TMST| TimkenSteel Corp| 1.24%| North America|Equity|Small Cap Value Equities||RZV|6|8.ASSET|Equity|295.5|3.58|UVV| Universal Corp| 1.21%| North America|Equity|Small Cap Value Equities||RZV|6|9.ASSET|Equity|295.5|3.58|UFCS| United Fire Group, Inc.| 1.21%| North America|Equity|Small Cap Value Equities||RZV|6|10.ASSET|Equity|295.5|3.55|GNW| Genworth Financial, Inc. Class A| 1.20%| North America|Equity|Small Cap Value Equities||RZV|6|11.ASSET|Equity|295.5|3.52|MERC| Mercer International Inc.| 1.19%| North America|Equity|Small Cap Value Equities||RZV|6|12.ASSET|Equity|295.5|3.43|SPTN| SpartanNash Company| 1.16%| North America|Equity|Small Cap Value Equities||RZV|6|13.ASSET|Equity|295.5|3.4|SNEX| StoneX Group Inc.| 1.15%| North America|Equity|Small Cap Value Equities||RZV|6|14.ASSET|Equity|295.5|3.37|FDP| Fresh Del Monte Produce Inc.| 1.14%| North America|Equity|Small Cap Value Equities||RZV|6|15.ASSET|Equity|295.5|3.22|INT| World Fuel Services Corporation| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|1.ASSET|Equity|285.6|9.8|WALMEX| Wal-Mart de Mexico SAB de CV| 3.43%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|2.ASSET|Equity|285.6|9.8|FAB| First Abu Dhabi Bank P.J.S.C.| 3.43%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|3.ASSET|Equity|285.6|9.77|ADVANC.R| Advanced Info Service Public Co., Ltd. NVDR| 3.42%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|4.ASSET|Equity|285.6|9.42|5110| Saudi Electricity Co.| 3.30%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|5.ASSET|Equity|285.6|9.4|ETISALAT| Emirates Telecommunications Group Company PJSC| 3.29%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|6.ASSET|Equity|285.6|8.85|813| Shimao Group Holdings Limited| 3.10%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|7.ASSET|Equity|285.6|8.77|2382| Quanta Computer Inc.| 3.07%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|8.ASSET|Equity|285.6|8.68|SAHOL.E| Haci Omer Sabanci Holding A.S.| 3.04%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|9.ASSET|Equity|285.6|8.31|6282| AcBel Polytech Inc.| 2.91%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|10.ASSET|Equity|285.6|7.63|914| Anhui Conch Cement Company Limited Class H| 2.67%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|11.ASSET|Equity|285.6|6.48|2202| China Vanke Co., Ltd Class H| 2.27%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|12.ASSET|Equity|285.6|6.37|688| China Overseas Land & Investment Limited| 2.23%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|13.ASSET|Equity|285.6|5.51|2380| China Power International Development Ltd| 1.93%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|14.ASSET|Equity|285.6|5.51|267| CITIC Limited| 1.93%| Emerging Markets|Equity|Emerging Markets Equities||EDIV|6|15.ASSET|Equity|285.6|5.51|1816| CGN Power Co., Ltd. Class H| 1.93%| North America|Equity|Volatility Hedged Equity||PSEP|6|1.ASSET|Equity|270.3|270.3|N/A| Cash Component| 100.00%| North America|Equity|Leveraged Equities||UWM|6|1.ASSET|Equity|221.6|17.24|N/A| U.S. Dollar| 7.78%| North America|Equity|Leveraged Equities||UWM|6|2.ASSET|Equity|221.6|0.93|OVV| Ovintiv Inc| 0.42%| North America|Equity|Leveraged Equities||UWM|6|3.ASSET|Equity|221.6|0.73|AMC| AMC Entertainment Holdings, Inc. Class A| 0.33%| North America|Equity|Leveraged Equities||UWM|6|4.ASSET|Equity|221.6|0.71|THC| Tenet Healthcare Corporation| 0.32%| North America|Equity|Leveraged Equities||UWM|6|5.ASSET|Equity|221.6|0.69|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.31%| North America|Equity|Leveraged Equities||UWM|6|6.ASSET|Equity|221.6|0.69|SYNA| Synaptics Incorporated| 0.31%| North America|Equity|Leveraged Equities||UWM|6|7.ASSET|Equity|221.6|0.66|PFGC| Performance Food Group Company| 0.30%| North America|Equity|Leveraged Equities||UWM|6|8.ASSET|Equity|221.6|0.64|LSCC| Lattice Semiconductor Corporation| 0.29%| North America|Equity|Leveraged Equities||UWM|6|9.ASSET|Equity|221.6|0.64|TTEK| Tetra Tech, Inc.| 0.29%| North America|Equity|Leveraged Equities||UWM|6|10.ASSET|Equity|221.6|0.62|M| Macy\'s Inc| 0.28%| North America|Equity|Leveraged Equities||UWM|6|11.ASSET|Equity|221.6|0.62|CHK| Chesapeake Energy Corporation| 0.28%| North America|Equity|Leveraged Equities||UWM|6|12.ASSET|Equity|221.6|0.6|CAR| Avis Budget Group, Inc.| 0.27%| North America|Equity|Leveraged Equities||UWM|6|13.ASSET|Equity|221.6|0.6|WSC| WillScot Mobile Mini Holdings Corp. Class A| 0.27%| North America|Equity|Leveraged Equities||UWM|6|14.ASSET|Equity|221.6|0.58|EGP| EastGroup Properties, Inc.| 0.26%| North America|Equity|Leveraged Equities||UWM|6|15.ASSET|Equity|221.6|0.58|SAIA| Saia, Inc.| 0.26%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|1.ASSET|Bond|351.6|11.01|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 3.13%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|2.ASSET|Bond|351.6|10.44|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 2.97%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|3.ASSET|Bond|351.6|9.42|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 2.68%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|4.ASSET|Bond|351.6|9.07|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 2.58%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|5.ASSET|Bond|351.6|7.45|N/A| VRX Escrow Corp. 6.125% 15-APR-2025| 2.12%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|6.ASSET|Bond|351.6|7.42|N/A| VRX Escrow Corp. 6.125% 15-APR-2025| 2.11%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|7.ASSET|Bond|351.6|6.36|N/A| Ford Motor Company 9.0% 22-APR-2025| 1.81%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|8.ASSET|Bond|351.6|6.33|N/A| Ford Motor Company 9.0% 22-APR-2025| 1.80%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|9.ASSET|Bond|351.6|5.38|N/A| Wynn Las Vegas LLC 5.5% 01-MAR-2025| 1.53%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|10.ASSET|Bond|351.6|5.38|N/A| Wynn Las Vegas LLC 5.5% 01-MAR-2025| 1.53%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|11.ASSET|Bond|351.6|5.34|N/A| MUTUAL FUND (OTHER)| 1.52%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|12.ASSET|Bond|351.6|5.31|N/A| MUTUAL FUND (OTHER)| 1.51%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|13.ASSET|Bond|351.6|5.27|N/A| Bausch Health Companies Inc. 5.5% 01-NOV-2025| 1.50%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|14.ASSET|Bond|351.6|5.24|N/A| Bausch Health Companies Inc. 5.5% 01-NOV-2025| 1.49%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJP|6|15.ASSET|Bond|351.6|5.24|N/A| Veritas US, Inc. 7.5% 01-SEP-2025| 1.49%| Global|Multi-Asset|n/a||TDSD|6|1.ASSET|Multi-Asset|332.7|51.37|VHT| Vanguard Health Care ETF| 15.44%| Global|Multi-Asset|n/a||TDSD|6|2.ASSET|Multi-Asset|332.7|50.74|VPU| Vanguard Utilities ETF| 15.25%| Global|Multi-Asset|n/a||TDSD|6|3.ASSET|Multi-Asset|332.7|48.24|VGLT| Vanguard Long-Term Treasury ETF| 14.50%| Global|Multi-Asset|n/a||TDSD|6|4.ASSET|Multi-Asset|332.7|47.58|BLV| Vanguard Long-Term Bond ETF| 14.30%| Global|Multi-Asset|n/a||TDSD|6|5.ASSET|Multi-Asset|332.7|34.73|AAAU| Goldman Sachs Physical Gold ETF| 10.44%| Global|Multi-Asset|n/a||TDSD|6|6.ASSET|Multi-Asset|332.7|33.6|QQQM| Invesco NASDAQ 100 ETF| 10.10%| Global|Multi-Asset|n/a||TDSD|6|7.ASSET|Multi-Asset|332.7|16.8|VDC| Vanguard Consumer Staples ETF| 5.05%| Global|Multi-Asset|n/a||TDSD|6|8.ASSET|Multi-Asset|332.7|16.5|VGIT| Vanguard Intermediate-Term Treasury ETF| 4.96%| Global|Multi-Asset|n/a||TDSD|6|9.ASSET|Multi-Asset|332.7|16.47|DIA| SPDR Dow Jones Industrial Average ETF Trust| 4.95%| Global|Multi-Asset|n/a||TDSD|6|10.ASSET|Multi-Asset|332.7|16.37|BIV| Vanguard Intermediate-Term Bond ETF| 4.92%| North America|Bond|National Munis|Municipal Bond|MEAR|6|1.ASSET|Bond|306.8|10|N/A| Mississippi Business Fin Corp Miss Gulf Opportunity Zone VAR 01-DEC-2030| 3.26%| North America|Bond|National Munis|Municipal Bond|MEAR|6|2.ASSET|Bond|306.8|9.69|N/A| Oregon St Facs Auth Rev VAR 01-AUG-2034| 3.16%| North America|Bond|National Munis|Municipal Bond|MEAR|6|3.ASSET|Bond|306.8|8.9|N/A| North East Indpt Sch Dist Tex Iam Coml Paper Nts3/A2 Ser A 0.16% 16-MAR-2022| 2.90%| North America|Bond|National Munis|Municipal Bond|MEAR|6|4.ASSET|Bond|306.8|8.31|N/A| New Jersey Economic Dev Auth Rev 5.25% 01-SEP-2024| 2.71%| North America|Bond|National Munis|Municipal Bond|MEAR|6|5.ASSET|Bond|306.8|7.52|N/A| Meade Cnty Ky Indl Bldg Rev VAR 01-AUG-2061| 2.45%| North America|Bond|National Munis|Municipal Bond|MEAR|6|6.ASSET|Bond|306.8|7|N/A| Port Arthur Tex Nav Dist Indl Dev Corp Exempt Facs Rev VAR 01-DEC-2040| 2.28%| North America|Bond|National Munis|Municipal Bond|MEAR|6|7.ASSET|Bond|306.8|6.87|N/A| North Dakota St Hsg Fin Agy VAR 01-JUL-2036| 2.24%| North America|Bond|National Munis|Municipal Bond|MEAR|6|8.ASSET|Bond|306.8|6.6|N/A| Meade Cnty Ky Indl Bldg Rev VAR 01-AUG-2061| 2.15%| North America|Bond|National Munis|Municipal Bond|MEAR|6|9.ASSET|Bond|306.8|6.14|N/A| Tender Opt Bd Tr Rcpts / Ctfs Var Sts VAR 01-OCT-2053| 2.00%| North America|Bond|National Munis|Municipal Bond|MEAR|6|10.ASSET|Bond|306.8|5.98|N/A| Ohio St Higher Edl Fac Commn Rev VAR 01-JAN-2039| 1.95%| North America|Bond|National Munis|Municipal Bond|MEAR|6|11.ASSET|Bond|306.8|5.89|N/A| Main Str Nat Gas Inc Ga Gas Supply Rev VAR 01-APR-2048| 1.92%| North America|Bond|National Munis|Municipal Bond|MEAR|6|12.ASSET|Bond|306.8|5|N/A| Fort Bend Tex Indpt Sch Dist Iam Coml Paper 3/A2Ser A 0.55% 27-MAY-2022| 1.63%| North America|Bond|National Munis|Municipal Bond|MEAR|6|13.ASSET|Bond|306.8|5|N/A| Fort Bend Tex Indpt Sch Dist Iam Coml Paper 3/A2Ser A 0.6% 27-MAY-2022| 1.63%| North America|Bond|National Munis|Municipal Bond|MEAR|6|14.ASSET|Bond|306.8|5|N/A| Louisville/Jefferson Cnty Ky Metro Govt Environmental Facs VAR 01-JUN-2033| 1.63%| North America|Bond|National Munis|Municipal Bond|MEAR|6|15.ASSET|Bond|306.8|5|N/A| Main Str Nat Gas Inc Ga Gas Supply Rev FRN 01-AUG-2048| 1.63%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|1.ASSET|Bond|290.4|6.36|N/A| Occidental Petroleum Corporation 6.125% 01-JAN-2031| 2.19%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|2.ASSET|Bond|290.4|6.1|N/A| CORPORATE BOND| 2.10%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|3.ASSET|Bond|290.4|4.53|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 1.56%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|4.ASSET|Bond|290.4|3.83|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 1.32%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|5.ASSET|Bond|290.4|3.08|N/A| Resideo Funding, Inc. 4.0% 01-SEP-2029| 1.06%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|6.ASSET|Bond|290.4|2.87|N/A| Uber Technologies, Inc. 4.5% 15-AUG-2029| 0.99%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|7.ASSET|Bond|290.4|2.85|N/A| Ford Motor Credit Company LLC 2.9% 10-FEB-2029| 0.98%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|8.ASSET|Bond|290.4|2.85|N/A| Molina Healthcare, Inc. 4.375% 15-JUN-2028| 0.98%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|9.ASSET|Bond|290.4|2.85|N/A| CCO Holdings LLC 4.25% 15-JAN-2034| 0.98%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|10.ASSET|Bond|290.4|2.82|N/A| Scotts Miracle-Gro Company 4.375% 01-FEB-2032| 0.97%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|11.ASSET|Bond|290.4|2.76|N/A| FirstCash, Inc. 5.625% 01-JAN-2030| 0.95%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|12.ASSET|Bond|290.4|2.61|N/A| Occidental Petroleum Corporation 6.625% 01-SEP-2030| 0.90%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|13.ASSET|Bond|290.4|2.44|N/A| Live Nation Entertainment, Inc. 3.75% 15-JAN-2028| 0.84%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|14.ASSET|Bond|290.4|2.41|N/A| II-VI Incorporated 5.0% 15-DEC-2029| 0.83%| Developed Markets|Bond|High Yield Bonds|Junk|FDHY|6|15.ASSET|Bond|290.4|2.35|N/A| TriNet Group, Inc. 3.5% 01-MAR-2029| 0.81%| North America|Equity|Large Cap Growth Equities||SHE|6|1.ASSET|Equity|254.8|15.36|UNH| UnitedHealth Group Incorporated| 6.03%| North America|Equity|Large Cap Growth Equities||SHE|6|2.ASSET|Equity|254.8|12.66|V| Visa Inc. Class A| 4.97%| North America|Equity|Large Cap Growth Equities||SHE|6|3.ASSET|Equity|254.8|11.98|DIS| Walt Disney Company| 4.70%| North America|Equity|Large Cap Growth Equities||SHE|6|4.ASSET|Equity|254.8|11.19|CRM| salesforce.com, inc.| 4.39%| North America|Equity|Large Cap Growth Equities||SHE|6|5.ASSET|Equity|254.8|8.2|NFLX| Netflix, Inc.| 3.22%| North America|Equity|Large Cap Growth Equities||SHE|6|6.ASSET|Equity|254.8|7.69|INTU| Intuit Inc.| 3.02%| North America|Equity|Large Cap Growth Equities||SHE|6|7.ASSET|Equity|254.8|7.16|NKE| NIKE, Inc. Class B| 2.81%| North America|Equity|Large Cap Growth Equities||SHE|6|8.ASSET|Equity|254.8|6.55|MRK| Merck & Co., Inc.| 2.57%| North America|Equity|Large Cap Growth Equities||SHE|6|9.ASSET|Equity|254.8|6.19|KO| Coca-Cola Company| 2.43%| North America|Equity|Large Cap Growth Equities||SHE|6|10.ASSET|Equity|254.8|5.96|AXP| American Express Company| 2.34%| North America|Equity|Large Cap Growth Equities||SHE|6|11.ASSET|Equity|254.8|5.27|PYPL| PayPal Holdings, Inc.| 2.07%| North America|Equity|Large Cap Growth Equities||SHE|6|12.ASSET|Equity|254.8|5.2|BMY| Bristol-Myers Squibb Company| 2.04%| North America|Equity|Large Cap Growth Equities||SHE|6|13.ASSET|Equity|254.8|4.59|TEAM| Atlassian Corp. Plc Class A| 1.80%| North America|Equity|Large Cap Growth Equities||SHE|6|14.ASSET|Equity|254.8|3.82|TGT| Target Corporation| 1.50%| North America|Equity|Large Cap Growth Equities||SHE|6|15.ASSET|Equity|254.8|3.77|SBUX| Starbucks Corporation| 1.48%| North America|Equity|Emerging Markets Equities||EZA|6|1.ASSET|Equity|397.4|37|NPN| Naspers Limited Class N| 9.31%| North America|Equity|Emerging Markets Equities||EZA|6|2.ASSET|Equity|397.4|31.79|MTN| MTN Group Limited| 8.00%| North America|Equity|Emerging Markets Equities||EZA|6|3.ASSET|Equity|397.4|30.72|FSR| FirstRand Limited| 7.73%| North America|Equity|Emerging Markets Equities||EZA|6|4.ASSET|Equity|397.4|21.62|IMP| Impala Platinum Holdings Limited| 5.44%| North America|Equity|Emerging Markets Equities||EZA|6|5.ASSET|Equity|397.4|20.31|SBK| Standard Bank Group Limited| 5.11%| North America|Equity|Emerging Markets Equities||EZA|6|6.ASSET|Equity|397.4|19.99|SOL| Sasol Limited| 5.03%| North America|Equity|Emerging Markets Equities||EZA|6|7.ASSET|Equity|397.4|18|SSW| Sibanye Stillwater Limited| 4.53%| North America|Equity|Emerging Markets Equities||EZA|6|8.ASSET|Equity|397.4|17.49|GFI| Gold Fields Limited| 4.40%| North America|Equity|Emerging Markets Equities||EZA|6|9.ASSET|Equity|397.4|15.3|CPI| Capitec Bank Holdings Limited| 3.85%| North America|Equity|Emerging Markets Equities||EZA|6|10.ASSET|Equity|397.4|13.99|ANG| AngloGold Ashanti Limited| 3.52%| North America|Equity|Emerging Markets Equities||EZA|6|11.ASSET|Equity|397.4|12.04|AMS| Anglo American Platinum Limited| 3.03%| North America|Equity|Emerging Markets Equities||EZA|6|12.ASSET|Equity|397.4|11.52|ABG| Absa Group Limited| 2.90%| North America|Equity|Emerging Markets Equities||EZA|6|13.ASSET|Equity|397.4|10.89|SLM| Sanlam Limited| 2.74%| North America|Equity|Emerging Markets Equities||EZA|6|14.ASSET|Equity|397.4|10.65|SHP| Shoprite Holdings Limited| 2.68%| North America|Equity|Emerging Markets Equities||EZA|6|15.ASSET|Equity|397.4|9.34|BID| Bid Corporation Limited| 2.35%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|1.ASSET|Multi-Asset|270.1|52.83|SPDW| SPDR Portfolio Developed World ex-US ETF| 19.56%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|2.ASSET|Multi-Asset|270.1|40.84|SPY| SPDR S&P 500 ETF Trust| 15.12%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|3.ASSET|Multi-Asset|270.1|24.74|SPEM| SPDR Portfolio Emerging Markets ETF| 9.16%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|4.ASSET|Multi-Asset|270.1|19.45|TIPX| SPDR Bloomberg 1-10 Year TIPS ETF| 7.20%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|5.ASSET|Multi-Asset|270.1|16.61|SPTL| SPDR Portfolio Long Term Treasury ETF| 6.15%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|6.ASSET|Multi-Asset|270.1|14.4|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 5.33%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|7.ASSET|Multi-Asset|270.1|13.75|SPLB| SPDR Portfolio Long Term Corporate Bond ETF| 5.09%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|8.ASSET|Multi-Asset|270.1|10.8|N/A| MUTUAL FUND (OTHER)| 4.00%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|9.ASSET|Multi-Asset|270.1|10.4|SPEU| SPDR Portfolio Europe ETF| 3.85%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|10.ASSET|Multi-Asset|270.1|9.48|SRLN| SPDR Blackstone Senior Loan ETF| 3.51%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|11.ASSET|Multi-Asset|270.1|8.16|GWX| SPDR S&P International Small Cap ETF| 3.02%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|12.ASSET|Multi-Asset|270.1|6.4|EBND| SPDR Bloomberg Emerging Markets Local Bond ETF| 2.37%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|13.ASSET|Multi-Asset|270.1|5.56|DGL| Invesco DB Gold Fund| 2.06%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|14.ASSET|Multi-Asset|270.1|5.48|SPSM| SPDR Portfolio S&P 600 Small Cap ETF| 2.03%| Developed Markets|Multi-Asset|Diversified Portfolio||GAL|6|15.ASSET|Multi-Asset|270.1|5.46|MDY| SPDR S&P Midcap 400 ETF Trust| 2.02%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|1.ASSET|Equity|234.6|12.22|TECH| Bio-Techne Corporation| 5.21%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|2.ASSET|Equity|234.6|12.08|CTLT| Catalent Inc| 5.15%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|3.ASSET|Equity|234.6|11.92|AMGN| Amgen Inc.| 5.08%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|4.ASSET|Equity|234.6|11.8|REGN| Regeneron Pharmaceuticals, Inc.| 5.03%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|5.ASSET|Equity|234.6|11.78|INCY| Incyte Corporation| 5.02%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|6.ASSET|Equity|234.6|11.73|VRTX| Vertex Pharmaceuticals Incorporated| 5.00%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|7.ASSET|Equity|234.6|11.59|GILD| Gilead Sciences, Inc.| 4.94%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|8.ASSET|Equity|234.6|11.43|BIIB| Biogen Inc.| 4.87%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|9.ASSET|Equity|234.6|8.19|VCEL| Vericel Corporation| 3.49%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|10.ASSET|Equity|234.6|6.92|HALO| Halozyme Therapeutics, Inc.| 2.95%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|11.ASSET|Equity|234.6|6.76|RGEN| Repligen Corporation| 2.88%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|12.ASSET|Equity|234.6|6.73|ENTA| Enanta Pharmaceuticals, Inc.| 2.87%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|13.ASSET|Equity|234.6|6.73|EXEL| Exelixis, Inc.| 2.87%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|14.ASSET|Equity|234.6|6.66|XENE| Xenon Pharmaceuticals Inc.| 2.84%| North America|Equity|Health & Biotech Equities|Healthcare|PBE|6|15.ASSET|Equity|234.6|6.64|OPK| OPKO Health, Inc.| 2.83%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|1.ASSET|Equity|206.8|4.76|BIDU| Baidu Inc Sponsored ADR Class A| 2.30%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|2.ASSET|Equity|206.8|4.63|9449| GMO Internet Inc.| 2.24%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|3.ASSET|Equity|206.8|4.43|JD| JD.com, Inc. Sponsored ADR Class A| 2.14%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|4.ASSET|Equity|206.8|4.4|IBM| International Business Machines Corporation| 2.13%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|5.ASSET|Equity|206.8|4.16|8473| SBI Holdings, Inc.| 2.01%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|6.ASSET|Equity|206.8|4.01|COIN| Coinbase Global, Inc. Class A| 1.94%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|7.ASSET|Equity|206.8|3.99|AXP| American Express Company| 1.93%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|8.ASSET|Equity|206.8|3.99|SBNY| Signature Bank| 1.93%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|9.ASSET|Equity|206.8|3.89|MA| Mastercard Incorporated Class A| 1.88%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|10.ASSET|Equity|206.8|3.87|700| Tencent Holdings Ltd.| 1.87%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|11.ASSET|Equity|206.8|3.83|V| Visa Inc. Class A| 1.85%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|12.ASSET|Equity|206.8|3.81|HPE| Hewlett Packard Enterprise Co.| 1.84%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|13.ASSET|Equity|206.8|3.72|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.80%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|14.ASSET|Equity|206.8|3.72|PLUS| Plus500 Ltd.| 1.80%| Developed Markets|Equity|Large Cap Blend Equities|Technology|BLCN|6|15.ASSET|Equity|206.8|3.7|JPM| JPMorgan Chase & Co.| 1.79%| Developed Europe|Equity|Europe Equities||FDD|6|1.ASSET|Equity|282.7|27.05|RIO| Rio Tinto plc| 9.57%| Developed Europe|Equity|Europe Equities||FDD|6|2.ASSET|Equity|282.7|18.23|GSK| GlaxoSmithKline plc| 6.45%| Developed Europe|Equity|Europe Equities||FDD|6|3.ASSET|Equity|282.7|15.49|SSE| SSE plc| 5.48%| Developed Europe|Equity|Europe Equities||FDD|6|4.ASSET|Equity|282.7|13.77|LGEN| Legal & General Group Plc| 4.87%| Developed Europe|Equity|Europe Equities||FDD|6|5.ASSET|Equity|282.7|12.66|RUI| Rubis SCA| 4.48%| Developed Europe|Equity|Europe Equities||FDD|6|6.ASSET|Equity|282.7|12.58|SCR| Scor SE| 4.45%| Developed Europe|Equity|Europe Equities||FDD|6|7.ASSET|Equity|282.7|12.07|ORA| Orange SA| 4.27%| Developed Europe|Equity|Europe Equities||FDD|6|8.ASSET|Equity|282.7|11.51|PROX| Proximus SA de droit public| 4.07%| Developed Europe|Equity|Europe Equities||FDD|6|9.ASSET|Equity|282.7|11.25|NN| NN Group N.V.| 3.98%| Developed Europe|Equity|Europe Equities||FDD|6|10.ASSET|Equity|282.7|10.94|IGG| IG Group Holdings plc| 3.87%| Developed Europe|Equity|Europe Equities||FDD|6|11.ASSET|Equity|282.7|9.7|SRG| Snam S.p.A.| 3.43%| Developed Europe|Equity|Europe Equities||FDD|6|12.ASSET|Equity|282.7|8.62|TEL2.B| Tele2 AB Class B| 3.05%| Developed Europe|Equity|Europe Equities||FDD|6|13.ASSET|Equity|282.7|8.51|SLHN| Swiss Life Holding AG| 3.01%| Developed Europe|Equity|Europe Equities||FDD|6|14.ASSET|Equity|282.7|8.4|ZURN| Zurich Insurance Group Ltd| 2.97%| Developed Europe|Equity|Europe Equities||FDD|6|15.ASSET|Equity|282.7|7.83|PST| Poste Italiane SpA| 2.77%| North America|Equity|Financials Equities|Financials|FTXO|6|1.ASSET|Equity|382.4|34.57|BPOP| Popular, Inc.| 9.04%| North America|Equity|Financials Equities|Financials|FTXO|6|2.ASSET|Equity|382.4|31.47|CFG| Citizens Financial Group, Inc.| 8.23%| North America|Equity|Financials Equities|Financials|FTXO|6|3.ASSET|Equity|382.4|30.17|RF| Regions Financial Corporation| 7.89%| North America|Equity|Financials Equities|Financials|FTXO|6|4.ASSET|Equity|382.4|27.46|C| Citigroup Inc.| 7.18%| North America|Equity|Financials Equities|Financials|FTXO|6|5.ASSET|Equity|382.4|25.74|JPM| JPMorgan Chase & Co.| 6.73%| North America|Equity|Financials Equities|Financials|FTXO|6|6.ASSET|Equity|382.4|21.68|FHN| First Horizon Corporation| 5.67%| North America|Equity|Financials Equities|Financials|FTXO|6|7.ASSET|Equity|382.4|16.06|FITB| Fifth Third Bancorp| 4.20%| North America|Equity|Financials Equities|Financials|FTXO|6|8.ASSET|Equity|382.4|16.02|WFC| Wells Fargo & Company| 4.19%| North America|Equity|Financials Equities|Financials|FTXO|6|9.ASSET|Equity|382.4|15.91|ZION| Zions Bancorporation, N.A.| 4.16%| North America|Equity|Financials Equities|Financials|FTXO|6|10.ASSET|Equity|382.4|15.79|KEY| KeyCorp| 4.13%| North America|Equity|Financials Equities|Financials|FTXO|6|11.ASSET|Equity|382.4|15.79|DFS| Discover Financial Services| 4.13%| North America|Equity|Financials Equities|Financials|FTXO|6|12.ASSET|Equity|382.4|14.42|PNC| PNC Financial Services Group, Inc.| 3.77%| North America|Equity|Financials Equities|Financials|FTXO|6|13.ASSET|Equity|382.4|14.26|BAC| Bank of America Corp| 3.73%| North America|Equity|Financials Equities|Financials|FTXO|6|14.ASSET|Equity|382.4|14.26|NYCB| New York Community Bancorp, Inc.| 3.73%| North America|Equity|Financials Equities|Financials|FTXO|6|15.ASSET|Equity|382.4|8.45|CMA| Comerica Incorporated| 2.21%| North America|Equity|Europe Equities||EPOL|6|1.ASSET|Equity|220.8|26.56|PKO| PKO Bank Polski S.A.| 12.03%| North America|Equity|Europe Equities||EPOL|6|2.ASSET|Equity|220.8|19.14|KGH| KGHM Polska Miedz S.A.| 8.67%| North America|Equity|Europe Equities||EPOL|6|3.ASSET|Equity|220.8|17.86|PKN| Polski Koncern Naftowy ORLEN S.A.| 8.09%| North America|Equity|Europe Equities||EPOL|6|4.ASSET|Equity|220.8|15.15|PEO| BANK POLSKA KASA OPIEKI SA| 6.86%| North America|Equity|Europe Equities||EPOL|6|5.ASSET|Equity|220.8|14.57|PZU| Powszechny Zaklad Ubezpieczen Spolka Akcyjna| 6.60%| North America|Equity|Europe Equities||EPOL|6|6.ASSET|Equity|220.8|10.8|DNP| Dino Polska S.A.| 4.89%| North America|Equity|Europe Equities||EPOL|6|7.ASSET|Equity|220.8|10.42|PGN| Polskie Gornictwo Naftowe i Gazownictwo SA| 4.72%| North America|Equity|Europe Equities||EPOL|6|8.ASSET|Equity|220.8|9.43|CDR| CD Projekt S.A.| 4.27%| North America|Equity|Europe Equities||EPOL|6|9.ASSET|Equity|220.8|9.01|SPL| Santander Bank Polska SA| 4.08%| North America|Equity|Europe Equities||EPOL|6|10.ASSET|Equity|220.8|7.73|ALE| Allegro.eu Societe anonyme| 3.50%| North America|Equity|Europe Equities||EPOL|6|11.ASSET|Equity|220.8|7.29|PGE| PGE Polska Grupa Energetyczna S.A.| 3.30%| North America|Equity|Europe Equities||EPOL|6|12.ASSET|Equity|220.8|6.27|CPS| Cyfrowy Polsat SA| 2.84%| North America|Equity|Europe Equities||EPOL|6|13.ASSET|Equity|220.8|5.96|LPP| LPP S.A.| 2.70%| North America|Equity|Europe Equities||EPOL|6|14.ASSET|Equity|220.8|5.01|LTS| Grupa LOTOS S.A.| 2.27%| North America|Equity|Europe Equities||EPOL|6|15.ASSET|Equity|220.8|4.88|MBK| mBank SA| 2.21%| North America|Equity|Large Cap Blend Equities||KNG|6|1.ASSET|Equity|441.7|9.94|NUE| Nucor Corporation| 2.25%| North America|Equity|Large Cap Blend Equities||KNG|6|2.ASSET|Equity|441.7|8.35|CVX| Chevron Corporation| 1.89%| North America|Equity|Large Cap Blend Equities||KNG|6|3.ASSET|Equity|441.7|8.04|ADM| Archer-Daniels-Midland Company| 1.82%| North America|Equity|Large Cap Blend Equities||KNG|6|4.ASSET|Equity|441.7|7.86|SYY| Sysco Corporation| 1.78%| North America|Equity|Large Cap Blend Equities||KNG|6|5.ASSET|Equity|441.7|7.82|GD| General Dynamics Corporation| 1.77%| North America|Equity|Large Cap Blend Equities||KNG|6|6.ASSET|Equity|441.7|7.77|ABBV| AbbVie, Inc.| 1.76%| North America|Equity|Large Cap Blend Equities||KNG|6|7.ASSET|Equity|441.7|7.6|XOM| Exxon Mobil Corporation| 1.72%| North America|Equity|Large Cap Blend Equities||KNG|6|8.ASSET|Equity|441.7|7.46|ATO| Atmos Energy Corporation| 1.69%| North America|Equity|Large Cap Blend Equities||KNG|6|9.ASSET|Equity|441.7|7.33|PBCT| People\'s United Financial, Inc.| 1.66%| North America|Equity|Large Cap Blend Equities||KNG|6|10.ASSET|Equity|441.7|7.29|ED| Consolidated Edison, Inc.| 1.65%| North America|Equity|Large Cap Blend Equities||KNG|6|11.ASSET|Equity|441.7|7.24|CAH| Cardinal Health, Inc.| 1.64%| North America|Equity|Large Cap Blend Equities||KNG|6|12.ASSET|Equity|441.7|7.24|CINF| Cincinnati Financial Corporation| 1.64%| North America|Equity|Large Cap Blend Equities||KNG|6|13.ASSET|Equity|441.7|7.2|BRO| Brown & Brown, Inc.| 1.63%| North America|Equity|Large Cap Blend Equities||KNG|6|14.ASSET|Equity|441.7|7.2|BDX| Becton, Dickinson and Company| 1.63%| North America|Equity|Large Cap Blend Equities||KNG|6|15.ASSET|Equity|441.7|7.16|KO| Coca-Cola Company| 1.62%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|1.ASSET|Multi-Asset|334.6|15.29|AAPL| Apple Inc.| 4.57%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|2.ASSET|Multi-Asset|334.6|12.78|MSFT| Microsoft Corporation| 3.82%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|3.ASSET|Multi-Asset|334.6|8|AMZN| Amazon.com, Inc.| 2.39%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|4.ASSET|Multi-Asset|334.6|4.52|GOOGL| Alphabet Inc. Class A| 1.35%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|5.ASSET|Multi-Asset|334.6|4.12|GOOG| Alphabet Inc. Class C| 1.23%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|6.ASSET|Multi-Asset|334.6|3.81|TSLA| Tesla Inc| 1.14%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|7.ASSET|Multi-Asset|334.6|3.38|NVDA| NVIDIA Corporation| 1.01%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|8.ASSET|Multi-Asset|334.6|2.81|FB| Meta Platforms Inc. Class A| 0.84%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|9.ASSET|Multi-Asset|334.6|2.44|JPM| JPMorgan Chase & Co.| 0.73%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|10.ASSET|Multi-Asset|334.6|2.21|BRK.B| Berkshire Hathaway Inc. Class B| 0.66%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|11.ASSET|Multi-Asset|334.6|2.21|JNJ| Johnson & Johnson| 0.66%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|12.ASSET|Multi-Asset|334.6|2.17|UNH| UnitedHealth Group Incorporated| 0.65%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|13.ASSET|Multi-Asset|334.6|2.01|HD| Home Depot, Inc.| 0.60%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|14.ASSET|Multi-Asset|334.6|1.91|PG| Procter & Gamble Company| 0.57%| North America|Multi-Asset|Large Cap Blend Equities||LGH|6|15.ASSET|Multi-Asset|334.6|1.77|V| Visa Inc. Class A| 0.53%| North America|Equity|Energy Equities|Energy|RYE|6|1.ASSET|Equity|490.8|27.68|OXY| Occidental Petroleum Corporation| 5.64%| North America|Equity|Energy Equities|Energy|RYE|6|2.ASSET|Equity|490.8|26.11|MRO| Marathon Oil Corporation| 5.32%| North America|Equity|Energy Equities|Energy|RYE|6|3.ASSET|Equity|490.8|25.87|APA| APA Corp.| 5.27%| North America|Equity|Energy Equities|Energy|RYE|6|4.ASSET|Equity|490.8|24.88|DVN| Devon Energy Corporation| 5.07%| North America|Equity|Energy Equities|Energy|RYE|6|5.ASSET|Equity|490.8|24.59|HAL| Halliburton Company| 5.01%| North America|Equity|Energy Equities|Energy|RYE|6|6.ASSET|Equity|490.8|23.56|COP| ConocoPhillips| 4.80%| North America|Equity|Energy Equities|Energy|RYE|6|7.ASSET|Equity|490.8|23.36|HES| Hess Corporation| 4.76%| North America|Equity|Energy Equities|Energy|RYE|6|8.ASSET|Equity|490.8|23.31|PXD| Pioneer Natural Resources Company| 4.75%| North America|Equity|Energy Equities|Energy|RYE|6|9.ASSET|Equity|490.8|23.12|EOG| EOG Resources, Inc.| 4.71%| North America|Equity|Energy Equities|Energy|RYE|6|10.ASSET|Equity|490.8|22.58|FANG| Diamondback Energy, Inc.| 4.60%| North America|Equity|Energy Equities|Energy|RYE|6|11.ASSET|Equity|490.8|21.79|SLB| Schlumberger NV| 4.44%| North America|Equity|Energy Equities|Energy|RYE|6|12.ASSET|Equity|490.8|21.45|WMB| Williams Companies, Inc.| 4.37%| North America|Equity|Energy Equities|Energy|RYE|6|13.ASSET|Equity|490.8|21.3|CTRA| Coterra Energy Inc.| 4.34%| North America|Equity|Energy Equities|Energy|RYE|6|14.ASSET|Equity|490.8|21.25|XLE| Energy Select Sector SPDR Fund| 4.33%| North America|Equity|Energy Equities|Energy|RYE|6|15.ASSET|Equity|490.8|21.25|MPC| Marathon Petroleum Corporation| 4.33%| North America|Equity|Large Cap Growth Equities||BIBL|6|1.ASSET|Equity|312.1|12.64|NOW| ServiceNow, Inc.| 4.05%| North America|Equity|Large Cap Growth Equities||BIBL|6|2.ASSET|Equity|312.1|11.45|PLD| Prologis, Inc.| 3.67%| North America|Equity|Large Cap Growth Equities||BIBL|6|3.ASSET|Equity|312.1|10.71|ISRG| Intuitive Surgical, Inc.| 3.43%| North America|Equity|Large Cap Growth Equities||BIBL|6|4.ASSET|Equity|312.1|9.3|ADI| Analog Devices, Inc.| 2.98%| North America|Equity|Large Cap Growth Equities||BIBL|6|5.ASSET|Equity|312.1|8.74|HCA| HCA Healthcare Inc| 2.80%| North America|Equity|Large Cap Growth Equities||BIBL|6|6.ASSET|Equity|312.1|6.99|EW| Edwards Lifesciences Corporation| 2.24%| North America|Equity|Large Cap Growth Equities||BIBL|6|7.ASSET|Equity|312.1|6.9|FCX| Freeport-McMoRan, Inc.| 2.21%| North America|Equity|Large Cap Growth Equities||BIBL|6|8.ASSET|Equity|312.1|6.18|FIS| Fidelity National Information Services, Inc.| 1.98%| North America|Equity|Large Cap Growth Equities||BIBL|6|9.ASSET|Equity|312.1|5.87|SLB| Schlumberger NV| 1.88%| North America|Equity|Large Cap Growth Equities||BIBL|6|10.ASSET|Equity|312.1|5.46|KLAC| KLA Corporation| 1.75%| North America|Equity|Large Cap Growth Equities||BIBL|6|11.ASSET|Equity|312.1|5.27|NEM| Newmont Corporation| 1.69%| North America|Equity|Large Cap Growth Equities||BIBL|6|12.ASSET|Equity|312.1|5.15|SNPS| Synopsys, Inc.| 1.65%| North America|Equity|Large Cap Growth Equities||BIBL|6|13.ASSET|Equity|312.1|4.78|APH| Amphenol Corporation Class A| 1.53%| North America|Equity|Large Cap Growth Equities||BIBL|6|14.ASSET|Equity|312.1|4.62|IDXX| IDEXX Laboratories, Inc.| 1.48%| North America|Equity|Large Cap Growth Equities||BIBL|6|15.ASSET|Equity|312.1|4.49|MSCI| MSCI Inc. Class A| 1.44%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|1.ASSET|Bond|276.2|19.72|N/A| United States Treasury Notes 0.75% 31-MAR-2026| 7.14%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|2.ASSET|Bond|276.2|12.4|N/A| United States Treasury Notes 0.25% 31-JUL-2025| 4.49%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|3.ASSET|Bond|276.2|8.76|N/A| United States Treasury Notes 0.375% 30-APR-2025| 3.17%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|4.ASSET|Bond|276.2|5.58|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 2.02%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|5.ASSET|Bond|276.2|4.7|N/A| CORPORATE BOND| 1.70%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|6.ASSET|Bond|276.2|4.5|N/A| FIXED INCOME (UNCLASSFIED)| 1.63%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|7.ASSET|Bond|276.2|2.98|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 1.08%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|8.ASSET|Bond|276.2|2.24|N/A| Bank of America Corporation 4.2% 26-AUG-2024| 0.81%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|9.ASSET|Bond|276.2|2.1|N/A| Mosaic Company 3.25% 15-NOV-2022| 0.76%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|10.ASSET|Bond|276.2|1.91|N/A| Dollar Tree, Inc. 4.0% 15-MAY-2025| 0.69%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|11.ASSET|Bond|276.2|1.88|N/A| Vistra Operations Co. LLC 5.0% 31-JUL-2027| 0.68%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|12.ASSET|Bond|276.2|1.88|N/A| Fidelity Revere Street Trust Taxable Cent Cash Fund| 0.68%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|13.ASSET|Bond|276.2|1.85|N/A| Capital One Financial Corporation 3.2% 30-JAN-2023| 0.67%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|14.ASSET|Bond|276.2|1.82|N/A| Charter Communications Operating LLC 4.464% 23-JUL-2022| 0.66%| Global|Bond|Corporate Bonds|Investment Grade Corporate|FLTB|6|15.ASSET|Bond|276.2|1.74|N/A| Pacific Life Global Funding II 1.2% 24-JUN-2025| 0.63%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|1.ASSET|Equity|303.6|16.61|300750| Contemporary Amperex Technology Co., Ltd. Class A| 5.47%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|2.ASSET|Equity|303.6|16.06|F| Ford Motor Company| 5.29%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|3.ASSET|Equity|303.6|15.76|ADI| Analog Devices, Inc.| 5.19%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|4.ASSET|Equity|303.6|15.33|TSLA| Tesla Inc| 5.05%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|5.ASSET|Equity|303.6|14.45|6594| Nidec Corporation| 4.76%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|6.ASSET|Equity|303.6|14.21|MBG| Mercedes-Benz Group AG| 4.68%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|7.ASSET|Equity|303.6|12.93|GM| General Motors Company| 4.26%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|8.ASSET|Equity|303.6|12.63|IFX| Infineon Technologies AG| 4.16%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|9.ASSET|Equity|303.6|8.44|BMW| Bayerische Motoren Werke AG| 2.78%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|10.ASSET|Equity|303.6|8.32|002594| BYD Company Limited Class A| 2.74%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|11.ASSET|Equity|303.6|8.23|6752| Panasonic Corporation| 2.71%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|12.ASSET|Equity|303.6|7.98|NXPI| NXP Semiconductors NV| 2.63%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|13.ASSET|Equity|303.6|7.07|MG| Magna International Inc.| 2.33%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|14.ASSET|Equity|303.6|6.98|051910| LG Chem Ltd.| 2.30%| Developed Markets|Equity|Large Cap Blend Equities||KARS|6|15.ASSET|Equity|303.6|6.83|006400| Samsung SDI Co., Ltd| 2.25%| North America|Multi-Asset|Hedge Fund||ADME|6|1.ASSET|Multi-Asset|372.3|26.14|AAPL| Apple Inc.| 7.02%| North America|Multi-Asset|Hedge Fund||ADME|6|2.ASSET|Multi-Asset|372.3|22.78|MSFT| Microsoft Corporation| 6.12%| North America|Multi-Asset|Hedge Fund||ADME|6|3.ASSET|Multi-Asset|372.3|15.82|GOOG| Alphabet Inc. Class C| 4.25%| North America|Multi-Asset|Hedge Fund||ADME|6|4.ASSET|Multi-Asset|372.3|13.33|AMZN| Amazon.com, Inc.| 3.58%| North America|Multi-Asset|Hedge Fund||ADME|6|5.ASSET|Multi-Asset|372.3|7.45|UNH| UnitedHealth Group Incorporated| 2.00%| North America|Multi-Asset|Hedge Fund||ADME|6|6.ASSET|Multi-Asset|372.3|6.07|NVDA| NVIDIA Corporation| 1.63%| North America|Multi-Asset|Hedge Fund||ADME|6|7.ASSET|Multi-Asset|372.3|6.03|V| Visa Inc. Class A| 1.62%| North America|Multi-Asset|Hedge Fund||ADME|6|8.ASSET|Multi-Asset|372.3|5.96|DG| Dollar General Corporation| 1.60%| North America|Multi-Asset|Hedge Fund||ADME|6|9.ASSET|Multi-Asset|372.3|5.88|DHI| D.R. Horton, Inc.| 1.58%| North America|Multi-Asset|Hedge Fund||ADME|6|10.ASSET|Multi-Asset|372.3|5.81|BRK.B| Berkshire Hathaway Inc. Class B| 1.56%| North America|Multi-Asset|Hedge Fund||ADME|6|11.ASSET|Multi-Asset|372.3|5.62|JPM| JPMorgan Chase & Co.| 1.51%| North America|Multi-Asset|Hedge Fund||ADME|6|12.ASSET|Multi-Asset|372.3|5.62|ABT| Abbott Laboratories| 1.51%| North America|Multi-Asset|Hedge Fund||ADME|6|13.ASSET|Multi-Asset|372.3|5.58|FB| Meta Platforms Inc. Class A| 1.50%| North America|Multi-Asset|Hedge Fund||ADME|6|14.ASSET|Multi-Asset|372.3|5.55|N/A| OPTIONS| 1.49%| North America|Multi-Asset|Hedge Fund||ADME|6|15.ASSET|Multi-Asset|372.3|5.44|ROP| Roper Technologies, Inc.| 1.46%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|1.ASSET|Equity|325.3|11.29|WSM| Williams-Sonoma, Inc.| 3.47%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|2.ASSET|Equity|325.3|9.5|EWBC| East West Bancorp, Inc.| 2.92%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|3.ASSET|Equity|325.3|8.52|CGNX| Cognex Corporation| 2.62%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|4.ASSET|Equity|325.3|8.36|MANH| Manhattan Associates, Inc.| 2.57%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|5.ASSET|Equity|325.3|6.99|RS| Reliance Steel & Aluminum Co.| 2.15%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|6.ASSET|Equity|325.3|6.9|LPX| Louisiana-Pacific Corporation| 2.12%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|7.ASSET|Equity|325.3|6.83|CFR| Cullen/Frost Bankers, Inc.| 2.10%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|8.ASSET|Equity|325.3|6.8|SNV| Synovus Financial Corp.| 2.09%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|9.ASSET|Equity|325.3|6.77|DECK| Deckers Outdoor Corporation| 2.08%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|10.ASSET|Equity|325.3|6.28|YETI| YETI Holdings, Inc.| 1.93%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|11.ASSET|Equity|325.3|6.12|OLED| Universal Display Corporation| 1.88%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|12.ASSET|Equity|325.3|5.86|AFG| American Financial Group, Inc.| 1.80%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|13.ASSET|Equity|325.3|5.82|PII| Polaris Inc.| 1.79%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|14.ASSET|Equity|325.3|5.79|DKS| Dick\'s Sporting Goods, Inc.| 1.78%| North America|Equity|Mid Cap Blend Equities||XMHQ|6|15.ASSET|Equity|325.3|5.66|OC| Owens Corning| 1.74%| Global|Commodity|Commodities||COMB|6|1.ASSET|Commodity|340|30.26|N/A| Government of the United States of America 0.0% 10-MAY-2022| 8.90%| Global|Commodity|Commodities||COMB|6|2.ASSET|Commodity|340|30.26|N/A| United States Treasury Bills 0.0% 28-APR-2022| 8.90%| Global|Commodity|Commodities||COMB|6|3.ASSET|Commodity|340|25.19|N/A| Government of the United States of America 0.0% 07-JUN-2022| 7.41%| Global|Commodity|Commodities||COMB|6|4.ASSET|Commodity|340|20.2|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 5.94%| Global|Commodity|Commodities||COMB|6|5.ASSET|Commodity|340|20.2|N/A| United States Treasury Bills 0.0% 21-APR-2022| 5.94%| Global|Commodity|Commodities||COMB|6|6.ASSET|Commodity|340|20.16|N/A| Government of the United States of America 0.0% 17-MAY-2022| 5.93%| Global|Commodity|Commodities||COMB|6|7.ASSET|Commodity|340|20.16|N/A| Government of the United States of America 0.0% 24-MAY-2022| 5.93%| Global|Commodity|Commodities||COMB|6|8.ASSET|Commodity|340|15.13|N/A| Government of the United States of America 0.0% 31-MAY-2022| 4.45%| Global|Commodity|Commodities||COMB|6|9.ASSET|Commodity|340|15.13|N/A| United States Treasury Bills 0.0% 14-APR-2022| 4.45%| Global|Commodity|Commodities||COMB|6|10.ASSET|Commodity|340|15.13|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 4.45%| Global|Commodity|Commodities||COMB|6|11.ASSET|Commodity|340|10.1|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 2.97%| Global|Commodity|Commodities||COMB|6|12.ASSET|Commodity|340|10.1|N/A| United States Treasury Bills 0.0% 08-MAR-2022| 2.97%| Global|Commodity|Commodities||COMB|6|13.ASSET|Commodity|340|10.1|N/A| United States Treasury Bills 0.0% 29-MAR-2022| 2.97%| Global|Commodity|Commodities||COMB|6|14.ASSET|Commodity|340|10.1|N/A| United States Treasury Bills 0.0% 07-APR-2022| 2.97%| North America|Equity|Inverse Equities||RWM|6|1.ASSET|Equity|327.6|191.58|N/A| U.S. Dollar| 58.48%| North America|Equity|Inverse Equities||RWM|6|2.ASSET|Equity|327.6|20.48|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 6.25%| North America|Equity|Inverse Equities||RWM|6|3.ASSET|Equity|327.6|17.49|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 5.34%| North America|Equity|Inverse Equities||RWM|6|4.ASSET|Equity|327.6|14.61|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 4.46%| North America|Equity|Inverse Equities||RWM|6|5.ASSET|Equity|327.6|14.61|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 4.46%| North America|Equity|Inverse Equities||RWM|6|6.ASSET|Equity|327.6|14.58|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 4.45%| North America|Equity|Inverse Equities||RWM|6|7.ASSET|Equity|327.6|14.55|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 4.44%| North America|Equity|Inverse Equities||RWM|6|8.ASSET|Equity|327.6|14.51|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 4.43%| North America|Equity|Inverse Equities||RWM|6|9.ASSET|Equity|327.6|11.7|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 3.57%| North America|Equity|Inverse Equities||RWM|6|10.ASSET|Equity|327.6|8.19|N/A| United States Treasury Bills 0.0% 05-APR-2022| 2.50%| North America|Equity|Inverse Equities||RWM|6|11.ASSET|Equity|327.6|5.27|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.61%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|1.ASSET|Real Estate|231.7|12.44|VNA| Vonovia SE| 5.37%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|2.ASSET|Real Estate|231.7|6.37|SGRO| SEGRO plc| 2.75%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|3.ASSET|Real Estate|231.7|6.28|8801| Mitsui Fudosan Co., Ltd.| 2.71%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|4.ASSET|Real Estate|231.7|5.38|8802| Mitsubishi Estate Company, Limited| 2.32%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|5.ASSET|Real Estate|231.7|5.12|823| Link Real Estate Investment Trust| 2.21%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|6.ASSET|Real Estate|231.7|5.05|16| Sun Hung Kai Properties Limited| 2.18%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|7.ASSET|Real Estate|231.7|3.85|1113| CK Asset Holdings Limited| 1.66%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|8.ASSET|Real Estate|231.7|3.64|8830| Sumitomo Realty & Development Co., Ltd.| 1.57%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|9.ASSET|Real Estate|231.7|3.55|SCG| Scentre Group| 1.53%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|10.ASSET|Real Estate|231.7|2.87|LEG| LEG Immobilien SE| 1.24%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|11.ASSET|Real Estate|231.7|2.6|8951| Nippon Building Fund, Inc.| 1.12%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|12.ASSET|Real Estate|231.7|2.6|DXS| Dexus| 1.12%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|13.ASSET|Real Estate|231.7|2.29|MGR| Mirvac Group| 0.99%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|14.ASSET|Real Estate|231.7|2.27|LAND| Land Securities Group PLC| 0.98%| Developed Markets|Real Estate|Global Real Estate|Real Estate|IFGL|6|15.ASSET|Real Estate|231.7|2.27|SPSN| Swiss Prime Site AG| 0.98%| North America|Equity|Leveraged Equities||FLGE|6|1.ASSET|Equity|292.1|32.8|AAPL| Apple Inc| 11.23%| North America|Equity|Leveraged Equities||FLGE|6|2.ASSET|Equity|292.1|27.66|MSFT| Microsoft Corp| 9.47%| North America|Equity|Leveraged Equities||FLGE|6|3.ASSET|Equity|292.1|23.78|AMZN| Amazon.com Inc| 8.14%| North America|Equity|Leveraged Equities||FLGE|6|4.ASSET|Equity|292.1|11.22|FB| Facebook Inc| 3.84%| North America|Equity|Leveraged Equities||FLGE|6|5.ASSET|Equity|292.1|6.08|GOOGL| Alphabet Inc| 2.08%| North America|Equity|Leveraged Equities||FLGE|6|6.ASSET|Equity|292.1|6.02|GOOG| Alphabet Inc| 2.06%| North America|Equity|Leveraged Equities||FLGE|6|7.ASSET|Equity|292.1|5.99|V| Visa Inc| 2.05%| North America|Equity|Leveraged Equities||FLGE|6|8.ASSET|Equity|292.1|5.58|NVDA| NVIDIA Corp| 1.91%| North America|Equity|Leveraged Equities||FLGE|6|9.ASSET|Equity|292.1|5.52|TSLA| Tesla Inc| 1.89%| North America|Equity|Leveraged Equities||FLGE|6|10.ASSET|Equity|292.1|5.29|MA| Mastercard Inc| 1.81%| North America|Equity|Leveraged Equities||FLGE|6|11.ASSET|Equity|292.1|4.26|UNH| UnitedHealth Group Inc| 1.46%| North America|Equity|Leveraged Equities||FLGE|6|12.ASSET|Equity|292.1|4.21|ADBE| Adobe Inc| 1.44%| North America|Equity|Leveraged Equities||FLGE|6|13.ASSET|Equity|292.1|4.06|PYPL| PayPal Holdings Inc| 1.39%| North America|Equity|Leveraged Equities||FLGE|6|14.ASSET|Equity|292.1|3.74|NFLX| Netflix Inc| 1.28%| North America|Equity|Leveraged Equities||FLGE|6|15.ASSET|Equity|292.1|3.53|CRM| Salesforce.Com Inc| 1.21%| North America|Equity|Building & Construction |Materials|PKB|6|1.ASSET|Equity|221.4|11.51|DHI| D.R. Horton, Inc.| 5.20%| North America|Equity|Building & Construction |Materials|PKB|6|2.ASSET|Equity|221.4|11.29|LEN| Lennar Corporation Class A| 5.10%| North America|Equity|Building & Construction |Materials|PKB|6|3.ASSET|Equity|221.4|11.27|LOW| Lowe\'s Companies, Inc.| 5.09%| North America|Equity|Building & Construction |Materials|PKB|6|4.ASSET|Equity|221.4|11.05|NVR| NVR, Inc.| 4.99%| North America|Equity|Building & Construction |Materials|PKB|6|5.ASSET|Equity|221.4|10.96|TSCO| Tractor Supply Company| 4.95%| North America|Equity|Building & Construction |Materials|PKB|6|6.ASSET|Equity|221.4|10.94|HD| Home Depot, Inc.| 4.94%| North America|Equity|Building & Construction |Materials|PKB|6|7.ASSET|Equity|221.4|10.45|MLM| Martin Marietta Materials, Inc.| 4.72%| North America|Equity|Building & Construction |Materials|PKB|6|8.ASSET|Equity|221.4|10.3|VMC| Vulcan Materials Company| 4.65%| North America|Equity|Building & Construction |Materials|PKB|6|9.ASSET|Equity|221.4|6.86|TMHC| Taylor Morrison Home Corporation| 3.10%| North America|Equity|Building & Construction |Materials|PKB|6|10.ASSET|Equity|221.4|6.53|MHO| M/I Homes, Inc.| 2.95%| North America|Equity|Building & Construction |Materials|PKB|6|11.ASSET|Equity|221.4|6.46|MTH| Meritage Homes Corporation| 2.92%| North America|Equity|Building & Construction |Materials|PKB|6|12.ASSET|Equity|221.4|6.38|SWX| Southwest Gas Holdings, Inc.| 2.88%| North America|Equity|Building & Construction |Materials|PKB|6|13.ASSET|Equity|221.4|6.38|CCS| Century Communities, Inc.| 2.88%| North America|Equity|Building & Construction |Materials|PKB|6|14.ASSET|Equity|221.4|6.38|KBH| KB Home| 2.88%| North America|Equity|Building & Construction |Materials|PKB|6|15.ASSET|Equity|221.4|6.35|TPH| Tri Pointe Homes, Inc.| 2.87%| North America|Equity|Mid Cap Blend Equities||NUMV|6|1.ASSET|Equity|314.5|8.24|CARR| Carrier Global Corp.| 2.62%| North America|Equity|Mid Cap Blend Equities||NUMV|6|2.ASSET|Equity|314.5|7.33|ARE| Alexandria Real Estate Equities, Inc.| 2.33%| North America|Equity|Mid Cap Blend Equities||NUMV|6|3.ASSET|Equity|314.5|6.54|AJG| Arthur J. Gallagher & Co.| 2.08%| North America|Equity|Mid Cap Blend Equities||NUMV|6|4.ASSET|Equity|314.5|6.51|KSU| Kansas City Southern| 2.07%| North America|Equity|Mid Cap Blend Equities||NUMV|6|5.ASSET|Equity|314.5|6.1|SPLK| Splunk Inc.| 1.94%| North America|Equity|Mid Cap Blend Equities||NUMV|6|6.ASSET|Equity|314.5|6.1|VTR| Ventas, Inc.| 1.94%| North America|Equity|Mid Cap Blend Equities||NUMV|6|7.ASSET|Equity|314.5|5.94|XYL| Xylem Inc.| 1.89%| North America|Equity|Mid Cap Blend Equities||NUMV|6|8.ASSET|Equity|314.5|5.88|OKE| ONEOK, Inc.| 1.87%| North America|Equity|Mid Cap Blend Equities||NUMV|6|9.ASSET|Equity|314.5|5.85|CMS| CMS Energy Corporation| 1.86%| North America|Equity|Mid Cap Blend Equities||NUMV|6|10.ASSET|Equity|314.5|5.85|DGX| Quest Diagnostics Incorporated| 1.86%| North America|Equity|Mid Cap Blend Equities||NUMV|6|11.ASSET|Equity|314.5|5.82|AMCR| Amcor PLC| 1.85%| North America|Equity|Mid Cap Blend Equities||NUMV|6|12.ASSET|Equity|314.5|5.79|HIG| Hartford Financial Services Group, Inc.| 1.84%| North America|Equity|Mid Cap Blend Equities||NUMV|6|13.ASSET|Equity|314.5|5.76|BXP| Boston Properties, Inc.| 1.83%| North America|Equity|Mid Cap Blend Equities||NUMV|6|14.ASSET|Equity|314.5|5.66|PFG| Principal Financial Group, Inc.| 1.80%| North America|Equity|Mid Cap Blend Equities||NUMV|6|15.ASSET|Equity|314.5|5.63|SIVB| SVB Financial Group| 1.79%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|1.ASSET|Bond|257.1|26.51|N/A| U.S. Dollar| 10.31%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|2.ASSET|Bond|257.1|22.08|N/A| New York N Y VAR 01-OCT-2046| 8.59%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|3.ASSET|Bond|257.1|19.59|N/A| Montgomery Cnty Md VAR 01-NOV-2037| 7.62%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|4.ASSET|Bond|257.1|19.18|N/A| Connecticut St Health & Edl Facs Auth Rev VAR 01-JUL-2036| 7.46%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|5.ASSET|Bond|257.1|16.02|N/A| University Calif Revs VAR 15-MAY-2048| 6.23%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|6.ASSET|Bond|257.1|14.55|N/A| New York N Y City Transitional Fin Auth Rev VAR 01-AUG-2042| 5.66%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|7.ASSET|Bond|257.1|13.34|N/A| Massachusetts St Dev Fin Agy Rev VAR 01-OCT-2042| 5.19%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|8.ASSET|Bond|257.1|13.11|N/A| Los Angeles Calif Dept Wtr & Pwr Rev VAR 01-JUL-2050| 5.10%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|9.ASSET|Bond|257.1|8.74|N/A| Metropolitan Council Minn Minneapolis-St Paul Met Area 5.0% 01-DEC-2021| 3.40%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|10.ASSET|Bond|257.1|7.28|N/A| Los Angeles Calif Dept Wtr & Pwr Wtrwks Rev VAR 01-JUL-2045| 2.83%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|11.ASSET|Bond|257.1|6.12|N/A| Metropolitan Wtr Dist Southn Calif Wtrwrks Rev VAR 01-JUL-2037| 2.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|12.ASSET|Bond|257.1|5.55|N/A| Santa Clara Vy Calif Transn Auth Sales Tax Rev VAR 01-APR-2036| 2.16%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|13.ASSET|Bond|257.1|5.4|N/A| Connecticut St Health & Edl Facs Auth Rev VAR 01-JUL-2036| 2.10%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|14.ASSET|Bond|257.1|5.09|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev VAR 15-JUN-2050| 1.98%| North America|Bond|National Munis|Target Maturity Date Munis|IBMJ|6|15.ASSET|Bond|257.1|4.86|N/A| University Calif Revs VAR 15-MAY-2048| 1.89%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|1.ASSET|Multi-Asset|264.8|27.54|AAAU| Goldman Sachs Physical Gold ETF| 10.40%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|2.ASSET|Multi-Asset|264.8|27.35|VHT| Vanguard Health Care ETF| 10.33%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|3.ASSET|Multi-Asset|264.8|27.04|VPU| Vanguard Utilities ETF| 10.21%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|4.ASSET|Multi-Asset|264.8|26.88|VDC| Vanguard Consumer Staples ETF| 10.15%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|5.ASSET|Multi-Asset|264.8|26.4|VIG| Vanguard Dividend Appreciation ETF| 9.97%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|6.ASSET|Multi-Asset|264.8|26.32|DIA| SPDR Dow Jones Industrial Average ETF Trust| 9.94%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|7.ASSET|Multi-Asset|264.8|26.16|VGIT| Vanguard Intermediate-Term Treasury ETF| 9.88%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|8.ASSET|Multi-Asset|264.8|25.98|BIV| Vanguard Intermediate-Term Bond ETF| 9.81%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|9.ASSET|Multi-Asset|264.8|25.5|VGLT| Vanguard Long-Term Treasury ETF| 9.63%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|10.ASSET|Multi-Asset|264.8|25.16|BLV| Vanguard Long-Term Bond ETF| 9.50%| North America|Multi-Asset|Diversified Portfolio||TDSB|6|11.ASSET|Multi-Asset|264.8|0.48|N/A| MUTUAL FUND (OTHER)| 0.18%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|1.ASSET|Equity|209|28.67|N/A| U.S. Dollar| 13.72%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|2.ASSET|Equity|209|26.13|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 12.50%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|3.ASSET|Equity|209|24.87|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 11.90%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|4.ASSET|Equity|209|11.75|UNH| UnitedHealth Group Incorporated| 5.62%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|5.ASSET|Equity|209|11.31|JNJ| Johnson & Johnson| 5.41%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|6.ASSET|Equity|209|6.83|ABBV| AbbVie, Inc.| 3.27%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|7.ASSET|Equity|209|6.73|PFE| Pfizer Inc.| 3.22%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|8.ASSET|Equity|209|5.6|TMO| Thermo Fisher Scientific Inc.| 2.68%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|9.ASSET|Equity|209|5.48|ABT| Abbott Laboratories| 2.62%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|10.ASSET|Equity|209|5.18|LLY| Eli Lilly and Company| 2.48%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|11.ASSET|Equity|209|5.06|MRK| Merck & Co., Inc.| 2.42%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|12.ASSET|Equity|209|4.54|DHR| Danaher Corporation| 2.17%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|13.ASSET|Equity|209|3.99|BMY| Bristol-Myers Squibb Company| 1.91%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|14.ASSET|Equity|209|3.66|MDT| Medtronic Plc| 1.75%| North America|Equity|Leveraged Equities|Healthcare|CURE|6|15.ASSET|Equity|209|3.53|CVS| CVS Health Corporation| 1.69%| Developed Europe|Currency|Currency||FXE|6|1.ASSET|Currency|203.3|203.3|N/A| euro| 100.00%| North America|Equity|Inverse Equities||DOG|6|1.ASSET|Equity|251.3|142.61|N/A| U.S. Dollar| 56.75%| North America|Equity|Inverse Equities||DOG|6|2.ASSET|Equity|251.3|28.3|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 11.26%| North America|Equity|Inverse Equities||DOG|6|3.ASSET|Equity|251.3|25.46|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 10.13%| North America|Equity|Inverse Equities||DOG|6|4.ASSET|Equity|251.3|19.78|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 7.87%| North America|Equity|Inverse Equities||DOG|6|5.ASSET|Equity|251.3|14.17|N/A| United States Treasury Bills 0.0% 21-APR-2022| 5.64%| North America|Equity|Inverse Equities||DOG|6|6.ASSET|Equity|251.3|11.36|N/A| United States Treasury Bills 0.0% 05-APR-2022| 4.52%| North America|Equity|Inverse Equities||DOG|6|7.ASSET|Equity|251.3|5.68|N/A| United States Treasury Bills 0.0% 28-APR-2022| 2.26%| North America|Equity|Inverse Equities||DOG|6|8.ASSET|Equity|251.3|3.97|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.58%| Developed Markets|Equity|Technology Equities||ROBT|6|1.ASSET|Equity|256.8|8.5|ESLT| Elbit Systems Ltd| 3.31%| Developed Markets|Equity|Technology Equities||ROBT|6|2.ASSET|Equity|256.8|6.93|QQ| QinetiQ Group plc| 2.70%| Developed Markets|Equity|Technology Equities||ROBT|6|3.ASSET|Equity|256.8|6.81|CIEN| Ciena Corporation| 2.65%| Developed Markets|Equity|Technology Equities||ROBT|6|4.ASSET|Equity|256.8|6.21|PANW| Palo Alto Networks, Inc.| 2.42%| Developed Markets|Equity|Technology Equities||ROBT|6|5.ASSET|Equity|256.8|5.8|PRSM| Blue Prism Group Plc| 2.26%| Developed Markets|Equity|Technology Equities||ROBT|6|6.ASSET|Equity|256.8|5.39|SNPS| Synopsys, Inc.| 2.10%| Developed Markets|Equity|Technology Equities||ROBT|6|7.ASSET|Equity|256.8|5.34|3993| PKSHA Technology, Inc.| 2.08%| Developed Markets|Equity|Technology Equities||ROBT|6|8.ASSET|Equity|256.8|5.29|ILMN| Illumina, Inc.| 2.06%| Developed Markets|Equity|Technology Equities||ROBT|6|9.ASSET|Equity|256.8|5.29|NOW| ServiceNow, Inc.| 2.06%| Developed Markets|Equity|Technology Equities||ROBT|6|10.ASSET|Equity|256.8|5.26|AVAV| AeroVironment, Inc.| 2.05%| Developed Markets|Equity|Technology Equities||ROBT|6|11.ASSET|Equity|256.8|5.24|HEXA.B| Hexagon AB Class B| 2.04%| Developed Markets|Equity|Technology Equities||ROBT|6|12.ASSET|Equity|256.8|5.21|PRO| PROS Holdings, Inc.| 2.03%| Developed Markets|Equity|Technology Equities||ROBT|6|13.ASSET|Equity|256.8|5.19|CDNS| Cadence Design Systems, Inc.| 2.02%| Developed Markets|Equity|Technology Equities||ROBT|6|14.ASSET|Equity|256.8|5.06|4684| OBIC Co., Ltd.| 1.97%| Developed Markets|Equity|Technology Equities||ROBT|6|15.ASSET|Equity|256.8|5.06|GNTX| Gentex Corporation| 1.97%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|1.ASSET|Bond|260.8|27.12|N/A| UMBS TBA 30yr 2% April Delivery 2.000% 01-NOV-2051| 10.40%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|2.ASSET|Bond|260.8|20.99|N/A| UMBS TBA 30yr 2.5% April Delivery 2.500% 01-JAN-2052| 8.05%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|3.ASSET|Bond|260.8|11.94|N/A| UMBS TBA 30yr 3% April Delivery 3.000% 01-OCT-2048| 4.58%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|4.ASSET|Bond|260.8|11.08|N/A| United States Treasury Bills 0.0% 23-JUN-2022| 4.25%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|5.ASSET|Bond|260.8|10.85|N/A| ASSET-BACKED SECURITIES| 4.16%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|6.ASSET|Bond|260.8|9.26|N/A| GNMA II TBA 30yr 2.5% March Delivery 2.500% 01-SEP-2049| 3.55%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|7.ASSET|Bond|260.8|9.1|N/A| United States Treasury Bills 0.0% 28-JUL-2022| 3.49%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|8.ASSET|Bond|260.8|8.95|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 3.43%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|9.ASSET|Bond|260.8|7.22|N/A| United States Treasury Bills 0.0% 07-APR-2022| 2.77%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|10.ASSET|Bond|260.8|6.75|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 2.59%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|11.ASSET|Bond|260.8|6.6|N/A| UMBS TBA 15yr 2% March Delivery 2.000% 01-NOV-2036| 2.53%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|12.ASSET|Bond|260.8|6.49|N/A| United States Treasury Bills 0.0% 25-AUG-2022| 2.49%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|13.ASSET|Bond|260.8|6.18|JTSXX| JPMorgan Trust I 100% US Treasury Securities Money Market Fund Institutional| 2.37%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|14.ASSET|Bond|260.8|5.97|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 2.29%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|DEED|6|15.ASSET|Bond|260.8|4.98|N/A| United States Treasury Bills 0.0% 18-AUG-2022| 1.91%| North America|Equity|Small Cap Blend Equities||SDVY|6|1.ASSET|Equity|773.9|11.76|FHN| First Horizon Corporation| 1.52%| North America|Equity|Small Cap Blend Equities||SDVY|6|2.ASSET|Equity|773.9|10.06|BCC| Boise Cascade Co.| 1.30%| North America|Equity|Small Cap Blend Equities||SDVY|6|3.ASSET|Equity|773.9|9.67|RGLD| Royal Gold, Inc.| 1.25%| North America|Equity|Small Cap Blend Equities||SDVY|6|4.ASSET|Equity|773.9|9.44|RDN| Radian Group Inc.| 1.22%| North America|Equity|Small Cap Blend Equities||SDVY|6|5.ASSET|Equity|773.9|9.44|MTB| M&T Bank Corporation| 1.22%| North America|Equity|Small Cap Blend Equities||SDVY|6|6.ASSET|Equity|773.9|9.21|BPOP| Popular, Inc.| 1.19%| North America|Equity|Small Cap Blend Equities||SDVY|6|7.ASSET|Equity|773.9|9.05|WOR| Worthington Industries, Inc.| 1.17%| North America|Equity|Small Cap Blend Equities||SDVY|6|8.ASSET|Equity|773.9|8.9|AGCO| AGCO Corporation| 1.15%| North America|Equity|Small Cap Blend Equities||SDVY|6|9.ASSET|Equity|773.9|8.82|HII| Huntington Ingalls Industries, Inc.| 1.14%| North America|Equity|Small Cap Blend Equities||SDVY|6|10.ASSET|Equity|773.9|8.82|SNV| Synovus Financial Corp.| 1.14%| North America|Equity|Small Cap Blend Equities||SDVY|6|11.ASSET|Equity|773.9|8.82|CATY| Cathay General Bancorp| 1.14%| North America|Equity|Small Cap Blend Equities||SDVY|6|12.ASSET|Equity|773.9|8.82|ASB| Associated Banc-Corp| 1.14%| North America|Equity|Small Cap Blend Equities||SDVY|6|13.ASSET|Equity|773.9|8.75|WTFC| Wintrust Financial Corporation| 1.13%| North America|Equity|Small Cap Blend Equities||SDVY|6|14.ASSET|Equity|773.9|8.75|EWBC| East West Bancorp, Inc.| 1.13%| North America|Equity|Small Cap Blend Equities||SDVY|6|15.ASSET|Equity|773.9|8.67|RGR| Sturm, Ruger & Company, Inc.| 1.12%| North America|Equity|Large Cap Growth Equities||JUST|6|1.ASSET|Equity|277.9|20.06|AAPL| Apple Inc.| 7.22%| North America|Equity|Large Cap Growth Equities||JUST|6|2.ASSET|Equity|277.9|17.7|MSFT| Microsoft Corporation| 6.37%| North America|Equity|Large Cap Growth Equities||JUST|6|3.ASSET|Equity|277.9|12.92|AMZN| Amazon.com, Inc.| 4.65%| North America|Equity|Large Cap Growth Equities||JUST|6|4.ASSET|Equity|277.9|6.42|GOOGL| Alphabet Inc. Class A| 2.31%| North America|Equity|Large Cap Growth Equities||JUST|6|5.ASSET|Equity|277.9|5.97|GOOG| Alphabet Inc. Class C| 2.15%| North America|Equity|Large Cap Growth Equities||JUST|6|6.ASSET|Equity|277.9|4.47|NVDA| NVIDIA Corporation| 1.61%| North America|Equity|Large Cap Growth Equities||JUST|6|7.ASSET|Equity|277.9|3.97|PG| Procter & Gamble Company| 1.43%| North America|Equity|Large Cap Growth Equities||JUST|6|8.ASSET|Equity|277.9|3.86|JPM| JPMorgan Chase & Co.| 1.39%| North America|Equity|Large Cap Growth Equities||JUST|6|9.ASSET|Equity|277.9|3.47|UNH| UnitedHealth Group Incorporated| 1.25%| North America|Equity|Large Cap Growth Equities||JUST|6|10.ASSET|Equity|277.9|3.36|HD| Home Depot, Inc.| 1.21%| North America|Equity|Large Cap Growth Equities||JUST|6|11.ASSET|Equity|277.9|3.33|JNJ| Johnson & Johnson| 1.20%| North America|Equity|Large Cap Growth Equities||JUST|6|12.ASSET|Equity|277.9|3.25|V| Visa Inc. Class A| 1.17%| North America|Equity|Large Cap Growth Equities||JUST|6|13.ASSET|Equity|277.9|3.11|XOM| Exxon Mobil Corporation| 1.12%| North America|Equity|Large Cap Growth Equities||JUST|6|14.ASSET|Equity|277.9|2.95|BAC| Bank of America Corp| 1.06%| North America|Equity|Large Cap Growth Equities||JUST|6|15.ASSET|Equity|277.9|2.78|MA| Mastercard Incorporated Class A| 1.00%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|1.ASSET|Bond|383.7|9.71|N/A| CORPORATE BOND| 2.53%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|2.ASSET|Bond|383.7|6.41|N/A| ASSET-BACKED SECURITIES| 1.67%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|3.ASSET|Bond|383.7|5.41|N/A| FIXED INCOME (UNCLASSFIED)| 1.41%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|4.ASSET|Bond|383.7|4.95|N/A| United States Treasury Notes 1.0% 15-DEC-2024| 1.29%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|5.ASSET|Bond|383.7|4.83|N/A| MUNICIPAL BONDS| 1.26%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|6.ASSET|Bond|383.7|3.57|N/A| Ashtead Capital, Inc. 4.375% 15-AUG-2027| 0.93%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|7.ASSET|Bond|383.7|3.41|N/A| BBVA Bancomer SA Texas Agency 6.75 % Notes 2012-30.9.22 -144A-| 0.89%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|8.ASSET|Bond|383.7|3.22|N/A| Berry Global Escrow Corp. 4.875% 15-JUL-2026| 0.84%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|9.ASSET|Bond|383.7|3.22|N/A| Banco Santander (Mexico), S.A., Institucion de Banca Multiple, Grupo Financiero Santander Mexico 5.375% 17-APR-2025| 0.84%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|10.ASSET|Bond|383.7|3.11|N/A| Hess Midstream Operations LP 5.625% 15-FEB-2026| 0.81%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|11.ASSET|Bond|383.7|3.11|N/A| Freeport-McMoRan, Inc. 5.0% 01-SEP-2027| 0.81%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|12.ASSET|Bond|383.7|2.95|N/A| Genpact International Inc Term Loan 09-Aug-2023| 0.77%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|13.ASSET|Bond|383.7|2.88|N/A| Cleveland-Cliffs Inc. 9.875% 17-OCT-2025| 0.75%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|14.ASSET|Bond|383.7|2.88|N/A| First American Financial Corporation 4.3% 01-FEB-2023| 0.75%| Developed Markets|Bond|Total Bond Market|Total Bond Market|USTB|6|15.ASSET|Bond|383.7|2.88|N/A| Builders FirstSource, Inc. 6.75% 01-JUN-2027| 0.75%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|1.ASSET|Bond|245.5|9.18|N/A| Fidelity Revere Street Trust Taxable Cent Cash Fund| 3.74%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|2.ASSET|Bond|245.5|3.44|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 1.40%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|3.ASSET|Bond|245.5|2.58|N/A| Emera US Finance LP 3.55% 15-JUN-2026| 1.05%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|4.ASSET|Bond|245.5|2.55|N/A| Cleco Corporate Holdings LLC 3.743% 01-MAY-2026| 1.04%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|5.ASSET|Bond|245.5|2.28|N/A| NatWest Group Plc 6.0% 19-DEC-2023| 0.93%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|6.ASSET|Bond|245.5|1.99|N/A| Boeing Company 5.04% 01-MAY-2027| 0.81%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|7.ASSET|Bond|245.5|1.91|N/A| Carrier Global Corp. 2.7% 15-FEB-2031| 0.78%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|8.ASSET|Bond|245.5|1.91|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 0.78%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|9.ASSET|Bond|245.5|1.84|N/A| CORPORATE BOND| 0.75%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|10.ASSET|Bond|245.5|1.77|N/A| Citigroup Inc. 4.4% 10-JUN-2025| 0.72%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|11.ASSET|Bond|245.5|1.74|N/A| Cenovus Energy Inc. 4.25% 15-APR-2027| 0.71%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|12.ASSET|Bond|245.5|1.55|N/A| Bank of America Corporation 2.676% 19-JUN-2041| 0.63%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|13.ASSET|Bond|245.5|1.47|N/A| Wells Fargo & Company 4.478% 04-APR-2031| 0.60%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|14.ASSET|Bond|245.5|1.37|N/A| International Flavors & Fragrances Inc. 1.832% 15-OCT-2027| 0.56%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FCOR|6|15.ASSET|Bond|245.5|1.35|N/A| United States Treasury Bond 2.0% 15-NOV-2041| 0.55%| Global|Equity|Global Equities||IFV|6|1.ASSET|Equity|198.4|41.62|FSZ| First Trust Switzerland AlphaDEX Fund| 20.98%| Global|Equity|Global Equities||IFV|6|2.ASSET|Equity|198.4|41.11|FKU| First Trust United Kingdom AlphaDEX Fund| 20.72%| Global|Equity|Global Equities||IFV|6|3.ASSET|Equity|198.4|40.3|NFTY| First Trust India NIFTY 50 Equal Weight ETF| 20.31%| Global|Equity|Global Equities||IFV|6|4.ASSET|Equity|198.4|38.29|FEUZ| First Trust Eurozone AlphaDEX ETF| 19.30%| Global|Equity|Global Equities||IFV|6|5.ASSET|Equity|198.4|36.96|FGM| First Trust Germany AlphaDEX Fund| 18.63%| Developed Markets|Equity|Global Equities|Financials|PSP|6|1.ASSET|Equity|236|12.2|N/A| MUTUAL FUND (OTHER)| 5.17%| Developed Markets|Equity|Global Equities|Financials|PSP|6|2.ASSET|Equity|236|10.9|III| 3i Group plc| 4.62%| Developed Markets|Equity|Global Equities|Financials|PSP|6|3.ASSET|Equity|236|10.76|PGHN| Partners Group Holding AG| 4.56%| Developed Markets|Equity|Global Equities|Financials|PSP|6|4.ASSET|Equity|236|10.6|PRX| Prosus N.V. Class N| 4.49%| Developed Markets|Equity|Global Equities|Financials|PSP|6|5.ASSET|Equity|236|10.53|CG| Carlyle Group Inc| 4.46%| Developed Markets|Equity|Global Equities|Financials|PSP|6|6.ASSET|Equity|236|10.31|MRO| Melrose Industries PLC| 4.37%| Developed Markets|Equity|Global Equities|Financials|PSP|6|7.ASSET|Equity|236|9.96|OWL| Blue Owl Capital Inc Class A| 4.22%| Developed Markets|Equity|Global Equities|Financials|PSP|6|8.ASSET|Equity|236|8.78|IAC| IAC/InteractiveCorp.| 3.72%| Developed Markets|Equity|Global Equities|Financials|PSP|6|9.ASSET|Equity|236|8.09|ARCC| Ares Capital Corporation| 3.43%| Developed Markets|Equity|Global Equities|Financials|PSP|6|10.ASSET|Equity|236|7.72|EQT| EQT AB| 3.27%| Developed Markets|Equity|Global Equities|Financials|PSP|6|11.ASSET|Equity|236|6.87|RF| Eurazeo SA| 2.91%| Developed Markets|Equity|Global Equities|Financials|PSP|6|12.ASSET|Equity|236|6.32|BX| Blackstone Inc.| 2.68%| Developed Markets|Equity|Global Equities|Financials|PSP|6|13.ASSET|Equity|236|6.02|WES| Wesfarmers Limited| 2.55%| Developed Markets|Equity|Global Equities|Financials|PSP|6|14.ASSET|Equity|236|5.71|SOF| Sofina SA| 2.42%| Developed Markets|Equity|Global Equities|Financials|PSP|6|15.ASSET|Equity|236|5.71|ICP| Intermediate Capital Group plc| 2.42%| North America|Equity|Large Cap Blend Equities||DFEB|6|1.ASSET|Equity|294.4|0|N/A| Cash Component| 0.00%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|1.ASSET|Equity|162|10.22|BMRN| BioMarin Pharmaceutical Inc.| 6.31%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|2.ASSET|Equity|162|9.32|SRPT| Sarepta Therapeutics, Inc.| 5.75%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|3.ASSET|Equity|162|8.81|QGEN| QIAGEN NV| 5.44%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|4.ASSET|Equity|162|8.8|1548| Genscript Biotech Corporation| 5.43%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|5.ASSET|Equity|162|8.05|A| Agilent Technologies, Inc.| 4.97%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|6.ASSET|Equity|162|8.05|ALNY| Alnylam Pharmaceuticals, Inc| 4.97%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|7.ASSET|Equity|162|7.81|RARE| Ultragenyx Pharmaceutical, Inc.| 4.82%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|8.ASSET|Equity|162|6.51|ARWR| Arrowhead Pharmaceuticals, Inc.| 4.02%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|9.ASSET|Equity|162|6.03|VRTX| Vertex Pharmaceuticals Incorporated| 3.72%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|10.ASSET|Equity|162|5.86|CRSP| CRISPR Therapeutics AG| 3.62%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|11.ASSET|Equity|162|5.85|VCYT| Veracyte Inc| 3.61%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|12.ASSET|Equity|162|5.83|NTLA| Intellia Therapeutics, Inc.| 3.60%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|13.ASSET|Equity|162|5.59|MYGN| Myriad Genetics, Inc.| 3.45%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|14.ASSET|Equity|162|5.35|CDNA| CareDx, Inc.| 3.30%| North America|Equity|Health & Biotech Equities|Healthcare|GNOM|6|15.ASSET|Equity|162|5.35|NTRA| Natera, Inc.| 3.30%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|1.ASSET|Bond|266.2|9.5|N/A| United States Treasury Notes 1.875% 30-SEP-2022| 3.57%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|2.ASSET|Bond|266.2|5.48|N/A| United States Treasury Bond 2.75% 15-AUG-2047| 2.06%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|3.ASSET|Bond|266.2|5.16|N/A| United States Treasury Notes 2.0% 31-MAY-2024| 1.94%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|4.ASSET|Bond|266.2|4.5|N/A| FNMA 30yr Pool#MA4256 2.500% 01-Feb-2051 2.5% 01-FEB-2051| 1.69%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|5.ASSET|Bond|266.2|4.29|N/A| FNMA 30yr Pool#FM5665 3.500% 01-Aug-2048 3.5% 01-AUG-2048| 1.61%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|6.ASSET|Bond|266.2|3.94|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 1.48%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|7.ASSET|Bond|266.2|3.89|N/A| United States Treasury Notes 0.25% 30-SEP-2025| 1.46%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|8.ASSET|Bond|266.2|3.65|N/A| United States Treasury Bond 1.375% 15-NOV-2040| 1.37%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|9.ASSET|Bond|266.2|3.51|N/A| United States Treasury Notes 1.5% 15-JAN-2023| 1.32%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|10.ASSET|Bond|266.2|3.51|N/A| United States Treasury Notes 0.375% 31-JAN-2026| 1.32%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|11.ASSET|Bond|266.2|3.3|N/A| United States Treasury Notes 2.125% 30-SEP-2024| 1.24%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|12.ASSET|Bond|266.2|3.25|N/A| United States Treasury Notes 0.75% 30-APR-2026| 1.22%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|13.ASSET|Bond|266.2|3.14|N/A| FNMA 30yr Pool#FM5488 4.000% 01-May-2049 4.0% 01-MAY-2049| 1.18%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|14.ASSET|Bond|266.2|2.95|N/A| United States Treasury Notes 1.375% 31-JAN-2025| 1.11%| North America|Bond|Total Bond Market|Total Bond Market|NUBD|6|15.ASSET|Bond|266.2|2.87|N/A| FNMA 30yr Pool#MA4305 2.000% 01-Apr-2051 2.0% 01-APR-2051| 1.08%| North America|Equity|Large Cap Growth Equities||FFTY|6|1.ASSET|Equity|189.4|7.1|WHD| Cactus, Inc. Class A| 3.75%| North America|Equity|Large Cap Growth Equities||FFTY|6|2.ASSET|Equity|189.4|7.05|CPE| Callon Petroleum Company| 3.72%| North America|Equity|Large Cap Growth Equities||FFTY|6|3.ASSET|Equity|189.4|7.01|SBSW| Sibanye Stillwater Limited Sponsored ADR| 3.70%| North America|Equity|Large Cap Growth Equities||FFTY|6|4.ASSET|Equity|189.4|6.65|FANG| Diamondback Energy, Inc.| 3.51%| North America|Equity|Large Cap Growth Equities||FFTY|6|5.ASSET|Equity|189.4|6.63|ZIM| ZIM Integrated Shipping Services Ltd.| 3.50%| North America|Equity|Large Cap Growth Equities||FFTY|6|6.ASSET|Equity|189.4|6.55|TRTN| Triton International Ltd. Class A| 3.46%| North America|Equity|Large Cap Growth Equities||FFTY|6|7.ASSET|Equity|189.4|6.55|MATX| Matson, Inc.| 3.46%| North America|Equity|Large Cap Growth Equities||FFTY|6|8.ASSET|Equity|189.4|6.4|VRTX| Vertex Pharmaceuticals Incorporated| 3.38%| North America|Equity|Large Cap Growth Equities||FFTY|6|9.ASSET|Equity|189.4|6.23|MLI| Mueller Industries, Inc.| 3.29%| North America|Equity|Large Cap Growth Equities||FFTY|6|10.ASSET|Equity|189.4|6.08|TCN| Tricon Residential Inc| 3.21%| North America|Equity|Large Cap Growth Equities||FFTY|6|11.ASSET|Equity|189.4|5.93|ABG| Asbury Automotive Group, Inc.| 3.13%| North America|Equity|Large Cap Growth Equities||FFTY|6|12.ASSET|Equity|189.4|5.89|SAH| Sonic Automotive, Inc. Class A| 3.11%| North America|Equity|Large Cap Growth Equities||FFTY|6|13.ASSET|Equity|189.4|5.87|WMB| Williams Companies, Inc.| 3.10%| North America|Equity|Large Cap Growth Equities||FFTY|6|14.ASSET|Equity|189.4|5.85|BG| Bunge Limited| 3.09%| North America|Equity|Large Cap Growth Equities||FFTY|6|15.ASSET|Equity|189.4|5.66|BHP| BHP Group Limited Sponsored ADR| 2.99%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|1.ASSET|Bond|518.1|256.98|N/A| Government of the United States of America FRN 31-OCT-2022| 49.60%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|2.ASSET|Bond|518.1|108.96|N/A| Government of the United States of America FRN 31-JUL-2023| 21.03%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|3.ASSET|Bond|518.1|85.28|N/A| Government of the United States of America FRN 31-JAN-2023| 16.46%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|4.ASSET|Bond|518.1|46.84|N/A| Government of the United States of America FRN 30-APR-2023| 9.04%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|5.ASSET|Bond|518.1|13.42|N/A| Government of the United States of America FRN 31-JAN-2024| 2.59%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|6.ASSET|Bond|518.1|3.11|N/A| MUTUAL FUND (OTHER)| 0.60%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|7.ASSET|Bond|518.1|1.81|N/A| Government of the United States of America FRN 30-APR-2022| 0.35%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|8.ASSET|Bond|518.1|1.71|N/A| United States Treasury Notes 2.0% 31-JUL-2022| 0.33%| North America|Bond|Government Bonds|Floating Rate Treasury|TFLO|6|9.ASSET|Bond|518.1|0|N/A| U.S. Dollar| 0.00%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|1.ASSET|Equity|164|12.66|D05| DBS Group Holdings Ltd| 7.72%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|2.ASSET|Equity|164|10.2|NTB| Bank of N.T. Butterfield & Son Limited (The)| 6.22%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|3.ASSET|Equity|164|9.58|JD| JD.com, Inc. Sponsored ADR Class A| 5.84%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|4.ASSET|Equity|164|8.87|DANSKE| Danske Bank A/S| 5.41%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|5.ASSET|Equity|164|8.76|BAER| Julius Baer Gruppe AG| 5.34%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|6.ASSET|Equity|164|8.63|005930| Samsung Electronics Co., Ltd.| 5.26%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|7.ASSET|Equity|164|8.05|1299| AIA Group Limited| 4.91%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|8.ASSET|Equity|164|7.97|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 4.86%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|9.ASSET|Equity|164|7.9|DNB| DNB Bank ASA| 4.82%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|10.ASSET|Equity|164|7.17|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 4.37%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|11.ASSET|Equity|164|7.04|BIDU| Baidu Inc Sponsored ADR Class A| 4.29%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|12.ASSET|Equity|164|6.64|3690| Meituan Class B| 4.05%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|13.ASSET|Equity|164|5.79|FERG| Ferguson Plc| 3.53%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|14.ASSET|Equity|164|5.46|PRX| Prosus N.V. Class N| 3.33%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DINT|6|15.ASSET|Equity|164|5.15|HOLI| Hollysys Automation Technologies Ltd.| 3.14%| Developed Markets|Equity|Materials|Materials|SLVP|6|1.ASSET|Equity|260.2|46.45|PAAS| Pan American Silver Corp.| 17.85%| Developed Markets|Equity|Materials|Materials|SLVP|6|2.ASSET|Equity|260.2|28.41|HL| Hecla Mining Company| 10.92%| Developed Markets|Equity|Materials|Materials|SLVP|6|3.ASSET|Equity|260.2|22.69|FR| First Majestic Silver Corp.| 8.72%| Developed Markets|Equity|Materials|Materials|SLVP|6|4.ASSET|Equity|260.2|21.28|NEM| Newmont Corporation| 8.18%| Developed Markets|Equity|Materials|Materials|SLVP|6|5.ASSET|Equity|260.2|13.04|PE&OLES| Industrias Penoles SAB de CV| 5.01%| Developed Markets|Equity|Materials|Materials|SLVP|6|6.ASSET|Equity|260.2|11.97|MAG| MAG Silver Corp.| 4.60%| Developed Markets|Equity|Materials|Materials|SLVP|6|7.ASSET|Equity|260.2|11.87|5857| Asahi Holdings, Inc.| 4.56%| Developed Markets|Equity|Materials|Materials|SLVP|6|8.ASSET|Equity|260.2|11.55|SIL| SilverCrest Metals, Inc.| 4.44%| Developed Markets|Equity|Materials|Materials|SLVP|6|9.ASSET|Equity|260.2|11.11|AEM| Agnico Eagle Mines Limited| 4.27%| Developed Markets|Equity|Materials|Materials|SLVP|6|10.ASSET|Equity|260.2|10.8|FVI| Fortuna Silver Mines Inc.| 4.15%| Developed Markets|Equity|Materials|Materials|SLVP|6|11.ASSET|Equity|260.2|9.91|WPM| Wheaton Precious Metals Corp| 3.81%| Developed Markets|Equity|Materials|Materials|SLVP|6|12.ASSET|Equity|260.2|7.83|EDR| Endeavour Silver Corp.| 3.01%| Developed Markets|Equity|Materials|Materials|SLVP|6|13.ASSET|Equity|260.2|6.82|SVM| Silvercorp Metals Inc.| 2.62%| Developed Markets|Equity|Materials|Materials|SLVP|6|14.ASSET|Equity|260.2|6.48|AYA| Aya Gold & Silver Inc.| 2.49%| Developed Markets|Equity|Materials|Materials|SLVP|6|15.ASSET|Equity|260.2|6.4|GGD| Gogold Resources, Inc.| 2.46%| North America|Equity|Large Cap Blend Equities||XVV|6|1.ASSET|Equity|213.4|16.45|AAPL| Apple Inc.| 7.71%| North America|Equity|Large Cap Blend Equities||XVV|6|2.ASSET|Equity|213.4|14.32|MSFT| Microsoft Corporation| 6.71%| North America|Equity|Large Cap Blend Equities||XVV|6|3.ASSET|Equity|213.4|8.54|AMZN| Amazon.com, Inc.| 4.00%| North America|Equity|Large Cap Blend Equities||XVV|6|4.ASSET|Equity|213.4|5.23|GOOGL| Alphabet Inc. Class A| 2.45%| North America|Equity|Large Cap Blend Equities||XVV|6|5.ASSET|Equity|213.4|4.84|GOOG| Alphabet Inc. Class C| 2.27%| North America|Equity|Large Cap Blend Equities||XVV|6|6.ASSET|Equity|213.4|4.55|TSLA| Tesla Inc| 2.13%| North America|Equity|Large Cap Blend Equities||XVV|6|7.ASSET|Equity|213.4|3.8|NVDA| NVIDIA Corporation| 1.78%| North America|Equity|Large Cap Blend Equities||XVV|6|8.ASSET|Equity|213.4|3.76|BRK.B| Berkshire Hathaway Inc. Class B| 1.76%| North America|Equity|Large Cap Blend Equities||XVV|6|9.ASSET|Equity|213.4|3.12|FB| Meta Platforms Inc. Class A| 1.46%| North America|Equity|Large Cap Blend Equities||XVV|6|10.ASSET|Equity|213.4|2.9|UNH| UnitedHealth Group Incorporated| 1.36%| North America|Equity|Large Cap Blend Equities||XVV|6|11.ASSET|Equity|213.4|2.6|JPM| JPMorgan Chase & Co.| 1.22%| North America|Equity|Large Cap Blend Equities||XVV|6|12.ASSET|Equity|213.4|2.39|PG| Procter & Gamble Company| 1.12%| North America|Equity|Large Cap Blend Equities||XVV|6|13.ASSET|Equity|213.4|2.26|V| Visa Inc. Class A| 1.06%| North America|Equity|Large Cap Blend Equities||XVV|6|14.ASSET|Equity|213.4|2.18|HD| Home Depot, Inc.| 1.02%| North America|Equity|Large Cap Blend Equities||XVV|6|15.ASSET|Equity|213.4|1.98|BAC| Bank of America Corp| 0.93%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|1.ASSET|Bond|283.6|14.8|N/A| Government of South Africa 10.5% 21-DEC-2027| 5.22%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|2.ASSET|Bond|283.6|14.75|N/A| Government of Brazil 10.0% 01-JAN-2025| 5.20%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|3.ASSET|Bond|283.6|14.61|N/A| U.S. Dollar| 5.15%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|4.ASSET|Bond|283.6|14.46|N/A| Government of South Africa 10.5% 21-DEC-2027| 5.10%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|5.ASSET|Bond|283.6|14.41|N/A| Government of Brazil 10.0% 01-JAN-2025| 5.08%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|6.ASSET|Bond|283.6|12.25|N/A| Government of Brazil 10.0% 01-JAN-2027| 4.32%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|7.ASSET|Bond|283.6|11.94|N/A| Government of Brazil 10.0% 01-JAN-2027| 4.21%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|8.ASSET|Bond|283.6|11.06|N/A| Government of Indonesia 8.375% 15-MAR-2034| 3.90%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|9.ASSET|Bond|283.6|10.92|N/A| U.S. Dollar| 3.85%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|10.ASSET|Bond|283.6|10.89|N/A| Government of Indonesia 8.375% 15-MAR-2034| 3.84%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|11.ASSET|Bond|283.6|10.04|N/A| Government of Mexico 7.5% 03-JUN-2027| 3.54%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|12.ASSET|Bond|283.6|9.9|N/A| Government of South Africa 8.875% 28-FEB-2035| 3.49%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|13.ASSET|Bond|283.6|9.87|N/A| Government of Mexico 7.5% 03-JUN-2027| 3.48%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|14.ASSET|Bond|283.6|9.78|N/A| Government of Indonesia 9.0% 15-MAR-2029| 3.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|FEMB|6|15.ASSET|Bond|283.6|9.73|N/A| Government of South Africa 8.875% 28-FEB-2035| 3.43%| Global|Commodity|Commodities||USCI|6|1.ASSET|Commodity|318.3|74.42|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 23.38%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|1.ASSET|Equity|161.4|3.62|SEDG| SolarEdge Technologies, Inc.| 2.24%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|2.ASSET|Equity|161.4|3.53|RADA| Rada Electronic Industries Ltd.| 2.19%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|3.ASSET|Equity|161.4|3.39|TSEM| Tower Semiconductor Ltd| 2.10%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|4.ASSET|Equity|161.4|3.23|ESLT| Elbit Systems Ltd| 2.00%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|5.ASSET|Equity|161.4|3.2|CYBR| CyberArk Software Ltd.| 1.98%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|6.ASSET|Equity|161.4|3.16|GMDA| Gamida Cell Ltd.| 1.96%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|7.ASSET|Equity|161.4|3.13|CLBT| Cellebrite DI Ltd.| 1.94%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|8.ASSET|Equity|161.4|3.13|FTAL| Fattal Holdings (1998) Ltd.| 1.94%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|9.ASSET|Equity|161.4|3.12|PERI| Perion Network Ltd| 1.93%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|10.ASSET|Equity|161.4|3.1|CHKP| Check Point Software Technologies Ltd.| 1.92%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|11.ASSET|Equity|161.4|2.82|RDWR| Radware Ltd.| 1.75%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|12.ASSET|Equity|161.4|2.82|GILT| Gilat Satellite Networks Ltd.| 1.75%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|13.ASSET|Equity|161.4|2.78|TUFN| Tufin Software Technologies Ltd| 1.72%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|14.ASSET|Equity|161.4|2.76|SSYS| Stratasys Ltd.| 1.71%| Developed Markets|Equity|Small Cap Blend Equities|Technology|IZRL|6|15.ASSET|Equity|161.4|2.73|PLTK| Playtika Holding Corp.| 1.69%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|1.ASSET|Equity|343|16.67|ADM| Archer-Daniels-Midland Company| 4.86%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|2.ASSET|Equity|343|16.22|BG| Bunge Limited| 4.73%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|3.ASSET|Equity|343|15.47|MCK| McKesson Corporation| 4.51%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|4.ASSET|Equity|343|15.3|TSN| Tyson Foods, Inc. Class A| 4.46%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|5.ASSET|Equity|343|15.23|CTVA| Corteva Inc| 4.44%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|6.ASSET|Equity|343|14.23|CAG| Conagra Brands, Inc.| 4.15%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|7.ASSET|Equity|343|13.51|SJM| J.M. Smucker Company| 3.94%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|8.ASSET|Equity|343|12.73|DAR| Darling Ingredients Inc.| 3.71%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|9.ASSET|Equity|343|12.21|KHC| Kraft Heinz Company| 3.56%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|10.ASSET|Equity|343|12.18|PPC| Pilgrim\'s Pride Corporation| 3.55%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|11.ASSET|Equity|343|11.66|CPB| Campbell Soup Company| 3.40%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|12.ASSET|Equity|343|11.39|CVS| CVS Health Corporation| 3.32%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|13.ASSET|Equity|343|10.77|CASY| Casey\'s General Stores, Inc.| 3.14%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|14.ASSET|Equity|343|10.63|PEP| PepsiCo, Inc.| 3.10%| North America|Equity|Consumer Staples Equities|Consumer Staples|FXG|6|15.ASSET|Equity|343|10.12|SPB| Spectrum Brands Holdings, Inc.| 2.95%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|1.ASSET|Equity|275.1|38.13|1295| Public Bank Bhd| 13.86%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|2.ASSET|Equity|275.1|25.2|1155| Malayan Banking Bhd.| 9.16%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|3.ASSET|Equity|275.1|19.86|1023| CIMB Group Holdings Bhd| 7.22%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|4.ASSET|Equity|275.1|13.89|5183| PETRONAS Chemicals Group Bhd.| 5.05%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|5.ASSET|Equity|275.1|13.53|8869| Press Metal Aluminium Holdings Berhad| 4.92%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|6.ASSET|Equity|275.1|12.27|5347| Tenaga Nasional Bhd| 4.46%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|7.ASSET|Equity|275.1|8.12|6033| Petronas Gas Bhd.| 2.95%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|8.ASSET|Equity|275.1|7.92|5819| Hong Leong Bank Bhd.| 2.88%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|9.ASSET|Equity|275.1|7.4|6947| DiGi.Com Bhd| 2.69%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|10.ASSET|Equity|275.1|7.02|2445| Kuala Lumpur Kepong Bhd.| 2.55%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|11.ASSET|Equity|275.1|6.93|4065| PPB Group Bhd.| 2.52%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|12.ASSET|Equity|275.1|6.88|1961| IOI Corp. Bhd.| 2.50%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|13.ASSET|Equity|275.1|6.88|5225| IHH Healthcare Bhd.| 2.50%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|14.ASSET|Equity|275.1|6.46|7113| Top Glove Corporation Bhd.| 2.35%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EWM|6|15.ASSET|Equity|275.1|6.44|1066| RHB Bank Bhd.| 2.34%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|1.ASSET|Bond|282.9|22.83|N/A| U.S. Dollar| 8.07%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|2.ASSET|Bond|282.9|13.95|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 4.93%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|3.ASSET|Bond|282.9|12.84|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-NOV-2051| 4.54%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|4.ASSET|Bond|282.9|11.2|N/A| United States Treasury Notes 2.875% 15-MAY-2028| 3.96%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|5.ASSET|Bond|282.9|10.84|N/A| UMBS TBA 30yr 2.5% April Delivery 2.500% 01-JAN-2052| 3.83%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|6.ASSET|Bond|282.9|9.53|N/A| United States Treasury Notes 0.125% 30-JUN-2023| 3.37%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|7.ASSET|Bond|282.9|8.85|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 3.13%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|8.ASSET|Bond|282.9|6.31|N/A| UMBS TBA 30yr 2% April Delivery 2.000% 01-NOV-2051| 2.23%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|9.ASSET|Bond|282.9|6.17|N/A| United States Treasury Notes 1.75% 31-JAN-2029| 2.18%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|10.ASSET|Bond|282.9|5.86|N/A| UMBS TBA 30yr 3.5% March Delivery 3.500% 01-DEC-2051| 2.07%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|11.ASSET|Bond|282.9|5.74|N/A| United States Treasury Bond 3.0% 15-FEB-2047| 2.03%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|12.ASSET|Bond|282.9|5.52|N/A| UMBS TBA 30yr 3% March Delivery 3.000% 01-OCT-2048| 1.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|13.ASSET|Bond|282.9|4.19|N/A| GNMA II TBA 30yr 2.5% March Delivery 2.500% 01-SEP-2049| 1.48%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|14.ASSET|Bond|282.9|3.51|N/A| United States Treasury Notes 0.5% 30-APR-2027| 1.24%| Developed Markets|Bond|Total Bond Market|Total Bond Market|HCRB|6|15.ASSET|Bond|282.9|3.39|N/A| GNMA II TBA 30yr 3% March Delivery 3.000% 01-DEC-2048| 1.20%| |Commodity|Metals||CPER|6|1.ASSET|Commodity|228.6|228.6|N/A| Copper| 100.00%| North America|Equity|n/a||FFEB|6|1.ASSET|Equity|279.3|0|N/A| Cash Component| 0.00%| North America|Equity|Large Cap Growth Equities||DEF|6|1.ASSET|Equity|285.9|3.89|LMT| Lockheed Martin Corporation| 1.36%| North America|Equity|Large Cap Growth Equities||DEF|6|2.ASSET|Equity|285.9|3.69|NOC| Northrop Grumman Corporation| 1.29%| North America|Equity|Large Cap Growth Equities||DEF|6|3.ASSET|Equity|285.9|3.69|ADM| Archer-Daniels-Midland Company| 1.29%| North America|Equity|Large Cap Growth Equities||DEF|6|4.ASSET|Equity|285.9|3.6|ABBV| AbbVie, Inc.| 1.26%| North America|Equity|Large Cap Growth Equities||DEF|6|5.ASSET|Equity|285.9|3.55|MCK| McKesson Corporation| 1.24%| North America|Equity|Large Cap Growth Equities||DEF|6|6.ASSET|Equity|285.9|3.52|OMC| Omnicom Group Inc| 1.23%| North America|Equity|Large Cap Growth Equities||DEF|6|7.ASSET|Equity|285.9|3.52|BMY| Bristol-Myers Squibb Company| 1.23%| North America|Equity|Large Cap Growth Equities||DEF|6|8.ASSET|Equity|285.9|3.49|ABC| AmerisourceBergen Corporation| 1.22%| North America|Equity|Large Cap Growth Equities||DEF|6|9.ASSET|Equity|285.9|3.43|RTX| Raytheon Technologies Corporation| 1.20%| North America|Equity|Large Cap Growth Equities||DEF|6|10.ASSET|Equity|285.9|3.37|LDOS| Leidos Holdings, Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||DEF|6|11.ASSET|Equity|285.9|3.35|ALL| Allstate Corporation| 1.17%| North America|Equity|Large Cap Growth Equities||DEF|6|12.ASSET|Equity|285.9|3.35|HSY| Hershey Company| 1.17%| North America|Equity|Large Cap Growth Equities||DEF|6|13.ASSET|Equity|285.9|3.32|TRV| Travelers Companies, Inc.| 1.16%| North America|Equity|Large Cap Growth Equities||DEF|6|14.ASSET|Equity|285.9|3.29|PKG| Packaging Corporation of America| 1.15%| North America|Equity|Large Cap Growth Equities||DEF|6|15.ASSET|Equity|285.9|3.26|CAH| Cardinal Health, Inc.| 1.14%| North America|Equity|Industrials Equities|Industrials|PRN|6|1.ASSET|Equity|203.7|8.56|AME| AMETEK, Inc.| 4.20%| North America|Equity|Industrials Equities|Industrials|PRN|6|2.ASSET|Equity|203.7|8.33|GWW| W.W. Grainger, Inc.| 4.09%| North America|Equity|Industrials Equities|Industrials|PRN|6|3.ASSET|Equity|203.7|8.29|ODFL| Old Dominion Freight Line, Inc.| 4.07%| North America|Equity|Industrials Equities|Industrials|PRN|6|4.ASSET|Equity|203.7|7.41|SHW| Sherwin-Williams Company| 3.64%| North America|Equity|Industrials Equities|Industrials|PRN|6|5.ASSET|Equity|203.7|7.39|SAIA| Saia, Inc.| 3.63%| North America|Equity|Industrials Equities|Industrials|PRN|6|6.ASSET|Equity|203.7|7.35|POOL| Pool Corporation| 3.61%| North America|Equity|Industrials Equities|Industrials|PRN|6|7.ASSET|Equity|203.7|7.17|CTAS| Cintas Corporation| 3.52%| North America|Equity|Industrials Equities|Industrials|PRN|6|8.ASSET|Equity|203.7|6.7|BLDR| Builders FirstSource, Inc.| 3.29%| North America|Equity|Industrials Equities|Industrials|PRN|6|9.ASSET|Equity|203.7|6.66|AOS| A. O. Smith Corporation| 3.27%| North America|Equity|Industrials Equities|Industrials|PRN|6|10.ASSET|Equity|203.7|6.62|ACN| Accenture Plc Class A| 3.25%| North America|Equity|Industrials Equities|Industrials|PRN|6|11.ASSET|Equity|203.7|6.62|TT| Trane Technologies plc| 3.25%| North America|Equity|Industrials Equities|Industrials|PRN|6|12.ASSET|Equity|203.7|6.19|CPRT| Copart, Inc.| 3.04%| North America|Equity|Industrials Equities|Industrials|PRN|6|13.ASSET|Equity|203.7|5.09|HRI| Herc Holdings, Inc.| 2.50%| North America|Equity|Industrials Equities|Industrials|PRN|6|14.ASSET|Equity|203.7|4.95|PWR| Quanta Services, Inc.| 2.43%| North America|Equity|Industrials Equities|Industrials|PRN|6|15.ASSET|Equity|203.7|4.6|ROK| Rockwell Automation, Inc.| 2.26%| |Commodity|Oil & Gas||BNO|6|1.ASSET|Commodity|320.3|320.3|N/A| Brent Crude Oil| 100.00%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|1.ASSET|Equity|370.1|11.03|ASML| ASML Holding NV| 2.98%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|2.ASSET|Equity|370.1|8.07|NOVN| Novartis AG| 2.18%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|3.ASSET|Equity|370.1|7.36|NOVO.B| Novo Nordisk A/S Class B| 1.99%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|4.ASSET|Equity|370.1|5.66|HSBA| HSBC Holdings Plc| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|5.ASSET|Equity|370.1|5.22|6758| Sony Group Corporation| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|6.ASSET|Equity|370.1|5.18|1299| AIA Group Limited| 1.40%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|7.ASSET|Equity|370.1|4.18|N/A| U.S. Dollar| 1.13%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|8.ASSET|Equity|370.1|4.03|OR| L\'Oreal SA| 1.09%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|9.ASSET|Equity|370.1|3.78|CSL| CSL Limited| 1.02%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|10.ASSET|Equity|370.1|3.7|ALV| Allianz SE| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|11.ASSET|Equity|370.1|3.66|6861| Keyence Corporation| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|12.ASSET|Equity|370.1|3.33|SU| Schneider Electric SE| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|13.ASSET|Equity|370.1|3.26|AI| Air Liquide SA| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|14.ASSET|Equity|370.1|3.18|8035| Tokyo Electron Ltd.| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||DMXF|6|15.ASSET|Equity|370.1|2.96|8306| Mitsubishi UFJ Financial Group, Inc.| 0.80%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|1.ASSET|Equity|209.8|22.89|BIDU| Baidu Inc Sponsored ADR Class A| 10.91%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|2.ASSET|Equity|209.8|18.32|NTES| NetEase, Inc. Sponsored ADR| 8.73%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|3.ASSET|Equity|209.8|18.21|JD| JD.com, Inc. Sponsored ADR Class A| 8.68%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|4.ASSET|Equity|209.8|17.64|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 8.41%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|5.ASSET|Equity|209.8|11.87|NIO| NIO Inc. Sponsored ADR Class A| 5.66%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|6.ASSET|Equity|209.8|10.83|TCOM| Trip.com Group Ltd. Sponsored ADR| 5.16%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|7.ASSET|Equity|209.8|9.23|ZTO| ZTO Express (Cayman), Inc. Sponsored ADR Class A| 4.40%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|8.ASSET|Equity|209.8|9.06|LI| Li Auto, Inc. Sponsored ADR Class A| 4.32%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|9.ASSET|Equity|209.8|7.83|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 3.73%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|10.ASSET|Equity|209.8|7.74|BEKE| KE Holdings, Inc. Sponsored ADR Class A| 3.69%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|11.ASSET|Equity|209.8|6.69|XPEV| XPeng, Inc. ADR Sponsored Class A| 3.19%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|12.ASSET|Equity|209.8|6.08|HTHT| Huazhu Group Ltd Sponsored ADR| 2.90%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|13.ASSET|Equity|209.8|4.74|BILI| Bilibili, Inc. Sponsored ADR Class Z| 2.26%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|14.ASSET|Equity|209.8|4.15|GDS| GDS Holdings Ltd. Sponsored ADR Class A| 1.98%| Emerging Asia Pacific|Equity|China Equities||PGJ|6|15.ASSET|Equity|209.8|3.88|VIPS| Vipshop Holdings Ltd Sponsored ADR| 1.85%| North America|Equity|All Cap Equities||FAD|6|1.ASSET|Equity|226.8|1.52|LNG| Cheniere Energy, Inc.| 0.67%| North America|Equity|All Cap Equities||FAD|6|2.ASSET|Equity|226.8|1.38|NUE| Nucor Corporation| 0.61%| North America|Equity|All Cap Equities||FAD|6|3.ASSET|Equity|226.8|1.32|FCX| Freeport-McMoRan, Inc.| 0.58%| North America|Equity|All Cap Equities||FAD|6|4.ASSET|Equity|226.8|1.27|ABBV| AbbVie, Inc.| 0.56%| North America|Equity|All Cap Equities||FAD|6|5.ASSET|Equity|226.8|1.16|HCA| HCA Healthcare Inc| 0.51%| North America|Equity|All Cap Equities||FAD|6|6.ASSET|Equity|226.8|1.16|BX| Blackstone Inc.| 0.51%| North America|Equity|All Cap Equities||FAD|6|7.ASSET|Equity|226.8|1.11|FTNT| Fortinet, Inc.| 0.49%| North America|Equity|All Cap Equities||FAD|6|8.ASSET|Equity|226.8|1.11|OXY| Occidental Petroleum Corporation| 0.49%| North America|Equity|All Cap Equities||FAD|6|9.ASSET|Equity|226.8|1.09|AAPL| Apple Inc.| 0.48%| North America|Equity|All Cap Equities||FAD|6|10.ASSET|Equity|226.8|1.09|ORLY| O\'Reilly Automotive, Inc.| 0.48%| North America|Equity|All Cap Equities||FAD|6|11.ASSET|Equity|226.8|1.07|ON| ON Semiconductor Corporation| 0.47%| North America|Equity|All Cap Equities||FAD|6|12.ASSET|Equity|226.8|1.07|QCOM| Qualcomm Inc| 0.47%| North America|Equity|All Cap Equities||FAD|6|13.ASSET|Equity|226.8|1.07|DDOG| Datadog Inc Class A| 0.47%| North America|Equity|All Cap Equities||FAD|6|14.ASSET|Equity|226.8|1.04|OKE| ONEOK, Inc.| 0.46%| North America|Equity|All Cap Equities||FAD|6|15.ASSET|Equity|226.8|1.02|LOW| Lowe\'s Companies, Inc.| 0.45%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|1.ASSET|Equity|192.3|6.15|MFT| Mainfreight Limited| 3.20%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|2.ASSET|Equity|192.3|5.96|CSU| Constellation Software Inc.| 3.10%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|3.ASSET|Equity|192.3|5.79|BESI| BE Semiconductor Industries N.V.| 3.01%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|4.ASSET|Equity|192.3|4.63|NEM| Nemetschek SE| 2.41%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|5.ASSET|Equity|192.3|4.35|REC| Recordati Industria Chimica e Farmaceutica S.p.A.| 2.26%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|6.ASSET|Equity|192.3|4.29|BALD.B| Fastighets AB Balder Class B| 2.23%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|7.ASSET|Equity|192.3|4.27|6920| Lasertec Corp.| 2.22%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|8.ASSET|Equity|192.3|4.06|ASML| ASML Holding NV| 2.11%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|9.ASSET|Equity|192.3|3.96|NOVO.B| Novo Nordisk A/S Class B| 2.06%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|10.ASSET|Equity|192.3|3.85|ADDT.B| Addtech AB Class B| 2.00%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|11.ASSET|Equity|192.3|3.81|ASM| ASM International N.V.| 1.98%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|12.ASSET|Equity|192.3|3.75|DSG| Descartes Systems Group Inc.| 1.95%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|13.ASSET|Equity|192.3|3.62|REY| Reply S.p.A.| 1.88%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|14.ASSET|Equity|192.3|3.44|SPX| Spirax-Sarco Engineering PLC| 1.79%| Global ex-U.S.|Equity|Foreign Large Cap Equities||PIZ|6|15.ASSET|Equity|192.3|3.31|BEAN| BELIMO Holding AG| 1.72%| North America|Multi-Asset|n/a||SIXH|6|1.ASSET|Multi-Asset|265|13.73|PM| Philip Morris International Inc.| 5.18%| North America|Multi-Asset|n/a||SIXH|6|2.ASSET|Multi-Asset|265|13.06|SPY| SPDR S&P 500 ETF Trust| 4.93%| North America|Multi-Asset|n/a||SIXH|6|3.ASSET|Multi-Asset|265|11.21|KHC| Kraft Heinz Company| 4.23%| North America|Multi-Asset|n/a||SIXH|6|4.ASSET|Multi-Asset|265|10.04|CVS| CVS Health Corporation| 3.79%| North America|Multi-Asset|n/a||SIXH|6|5.ASSET|Multi-Asset|265|9.22|GILD| Gilead Sciences, Inc.| 3.48%| North America|Multi-Asset|n/a||SIXH|6|6.ASSET|Multi-Asset|265|9.04|PFE| Pfizer Inc.| 3.41%| North America|Multi-Asset|n/a||SIXH|6|7.ASSET|Multi-Asset|265|8.24|LMT| Lockheed Martin Corporation| 3.11%| North America|Multi-Asset|n/a||SIXH|6|8.ASSET|Multi-Asset|265|7.76|CVX| Chevron Corporation| 2.93%| North America|Multi-Asset|n/a||SIXH|6|9.ASSET|Multi-Asset|265|7.34|BMY| Bristol-Myers Squibb Company| 2.77%| North America|Multi-Asset|n/a||SIXH|6|10.ASSET|Multi-Asset|265|7.1|MO| Altria Group Inc| 2.68%| North America|Multi-Asset|n/a||SIXH|6|11.ASSET|Multi-Asset|265|7|TGT| Target Corporation| 2.64%| North America|Multi-Asset|n/a||SIXH|6|12.ASSET|Multi-Asset|265|6.73|WMT| Walmart Inc.| 2.54%| North America|Multi-Asset|n/a||SIXH|6|13.ASSET|Multi-Asset|265|6.65|NVDA| NVIDIA Corporation| 2.51%| North America|Multi-Asset|n/a||SIXH|6|14.ASSET|Multi-Asset|265|6.57|PEP| PepsiCo, Inc.| 2.48%| North America|Multi-Asset|n/a||SIXH|6|15.ASSET|Multi-Asset|265|6.49|LOW| Lowe\'s Companies, Inc.| 2.45%| North America|Equity|Utilities Equities|Utilities|RYU|6|1.ASSET|Equity|225.6|9.32|ATO| Atmos Energy Corporation| 4.13%| North America|Equity|Utilities Equities|Utilities|RYU|6|2.ASSET|Equity|225.6|9.29|SRE| Sempra Energy| 4.12%| North America|Equity|Utilities Equities|Utilities|RYU|6|3.ASSET|Equity|225.6|8.96|NI| NiSource Inc| 3.97%| North America|Equity|Utilities Equities|Utilities|RYU|6|4.ASSET|Equity|225.6|8.71|AEP| American Electric Power Company, Inc.| 3.86%| North America|Equity|Utilities Equities|Utilities|RYU|6|5.ASSET|Equity|225.6|8.55|PNW| Pinnacle West Capital Corporation| 3.79%| North America|Equity|Utilities Equities|Utilities|RYU|6|6.ASSET|Equity|225.6|8.46|FE| FirstEnergy Corp.| 3.75%| North America|Equity|Utilities Equities|Utilities|RYU|6|7.ASSET|Equity|225.6|8.46|D| Dominion Energy Inc| 3.75%| North America|Equity|Utilities Equities|Utilities|RYU|6|8.ASSET|Equity|225.6|8.39|ED| Consolidated Edison, Inc.| 3.72%| North America|Equity|Utilities Equities|Utilities|RYU|6|9.ASSET|Equity|225.6|8.37|DTE| DTE Energy Company| 3.71%| North America|Equity|Utilities Equities|Utilities|RYU|6|10.ASSET|Equity|225.6|8.26|CMS| CMS Energy Corporation| 3.66%| North America|Equity|Utilities Equities|Utilities|RYU|6|11.ASSET|Equity|225.6|8.19|PEG| Public Service Enterprise Group Inc| 3.63%| North America|Equity|Utilities Equities|Utilities|RYU|6|12.ASSET|Equity|225.6|8.12|XEL| Xcel Energy Inc.| 3.60%| North America|Equity|Utilities Equities|Utilities|RYU|6|13.ASSET|Equity|225.6|7.99|DUK| Duke Energy Corporation| 3.54%| North America|Equity|Utilities Equities|Utilities|RYU|6|14.ASSET|Equity|225.6|7.99|SO| Southern Company| 3.54%| North America|Equity|Utilities Equities|Utilities|RYU|6|15.ASSET|Equity|225.6|7.9|AEE| Ameren Corporation| 3.50%| North America|Equity|Leveraged Equities||FNGO|6|1.ASSET|Equity|168.9|21.75|TWTR| Twitter Inc| 12.88%| North America|Equity|Leveraged Equities||FNGO|6|2.ASSET|Equity|168.9|20.56|TSLA| Tesla Inc| 12.17%| North America|Equity|Leveraged Equities||FNGO|6|3.ASSET|Equity|168.9|16.87|AAPL| Apple Inc| 9.99%| North America|Equity|Leveraged Equities||FNGO|6|4.ASSET|Equity|168.9|16.59|FB| Facebook Inc| 9.82%| North America|Equity|Leveraged Equities||FNGO|6|5.ASSET|Equity|168.9|16.45|GOOGL| Alphabet Inc| 9.74%| North America|Equity|Leveraged Equities||FNGO|6|6.ASSET|Equity|168.9|16.13|BABA| Alibaba Group Holding Ltd| 9.55%| North America|Equity|Leveraged Equities||FNGO|6|7.ASSET|Equity|168.9|15.51|NFLX| Netflix Inc| 9.18%| North America|Equity|Leveraged Equities||FNGO|6|8.ASSET|Equity|168.9|15.45|AMZN| Amazon.com Inc| 9.15%| North America|Equity|Leveraged Equities||FNGO|6|9.ASSET|Equity|168.9|15.15|BIDU| Baidu Inc| 8.97%| North America|Equity|Leveraged Equities||FNGO|6|10.ASSET|Equity|168.9|14.44|NVDA| NVIDIA Corp| 8.55%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|1.ASSET|Equity|321.4|10.54|NOVN| Novartis AG| 3.28%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|2.ASSET|Equity|321.4|9.64|SAN| Sanofi| 3.00%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|3.ASSET|Equity|321.4|9.58|TD| Toronto-Dominion Bank| 2.98%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|4.ASSET|Equity|321.4|9.58|RY| Royal Bank of Canada| 2.98%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|5.ASSET|Equity|321.4|9.55|NESN| Nestle S.A.| 2.97%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|6.ASSET|Equity|321.4|8.9|ROG| Roche Holding Ltd| 2.77%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|7.ASSET|Equity|321.4|8.65|ULVR| Unilever PLC| 2.69%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|8.ASSET|Equity|321.4|8.1|ENEL| Enel SpA| 2.52%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|9.ASSET|Equity|321.4|7.52|IBE| Iberdrola SA| 2.34%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|10.ASSET|Equity|321.4|7.04|8316| Sumitomo Mitsui Financial Group, Inc.| 2.19%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|11.ASSET|Equity|321.4|6.52|7974| Nintendo Co., Ltd.| 2.03%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|12.ASSET|Equity|321.4|6.46|CM| Canadian Imperial Bank of Commerce| 2.01%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|13.ASSET|Equity|321.4|6.36|CNQ| Canadian Natural Resources Limited| 1.98%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|14.ASSET|Equity|321.4|6.14|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.91%| Developed Markets|Equity|Foreign Large Cap Equities||IGRO|6|15.ASSET|Equity|321.4|6.01|1299| AIA Group Limited| 1.87%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|1.ASSET|Equity|263.4|6.64|NESN| Nestle S.A.| 2.52%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|2.ASSET|Equity|263.4|4.85|ASML| ASML Holding NV| 1.84%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|3.ASSET|Equity|263.4|4.79|ROG| Roche Holding Ltd| 1.82%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|4.ASSET|Equity|263.4|3.56|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|5.ASSET|Equity|263.4|3.5|AZN| AstraZeneca PLC| 1.33%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|6.ASSET|Equity|263.4|3.5|NOVN| Novartis AG| 1.33%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|7.ASSET|Equity|263.4|3.4|7203| Toyota Motor Corp.| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|8.ASSET|Equity|263.4|3.16|NOVO.B| Novo Nordisk A/S Class B| 1.20%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|9.ASSET|Equity|263.4|2.5|HSBA| HSBC Holdings Plc| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|10.ASSET|Equity|263.4|2.29|6758| Sony Group Corporation| 0.87%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|11.ASSET|Equity|263.4|2.27|ULVR| Unilever PLC| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|12.ASSET|Equity|263.4|2.24|1299| AIA Group Limited| 0.85%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|13.ASSET|Equity|263.4|2.13|CBA| Commonwealth Bank of Australia| 0.81%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|14.ASSET|Equity|263.4|2.11|SAP| SAP SE| 0.80%| Developed Markets|Equity|Foreign Large Cap Equities||EFAX|6|15.ASSET|Equity|263.4|2.08|SAN| Sanofi| 0.79%| Global|Commodity|Commodities||COM|6|1.ASSET|Commodity|351.3|236.71|N/A| Cash Component| 67.38%| North America|Equity|Large Cap Value Equities||FLV|6|1.ASSET|Equity|228.3|12.58|JNJ| Johnson & Johnson| 5.51%| North America|Equity|Large Cap Value Equities||FLV|6|2.ASSET|Equity|228.3|10.21|BRK.B| Berkshire Hathaway Inc. Class B| 4.47%| North America|Equity|Large Cap Value Equities||FLV|6|3.ASSET|Equity|228.3|9.13|CSCO| Cisco Systems, Inc.| 4.00%| North America|Equity|Large Cap Value Equities||FLV|6|4.ASSET|Equity|228.3|8.49|MDT| Medtronic Plc| 3.72%| North America|Equity|Large Cap Value Equities||FLV|6|5.ASSET|Equity|228.3|8.45|JPM| JPMorgan Chase & Co.| 3.70%| North America|Equity|Large Cap Value Equities||FLV|6|6.ASSET|Equity|228.3|8.2|UL| Unilever PLC Sponsored ADR| 3.59%| North America|Equity|Large Cap Value Equities||FLV|6|7.ASSET|Equity|228.3|7.83|BK| Bank of New York Mellon Corporation| 3.43%| North America|Equity|Large Cap Value Equities||FLV|6|8.ASSET|Equity|228.3|7.69|VZ| Verizon Communications Inc.| 3.37%| North America|Equity|Large Cap Value Equities||FLV|6|9.ASSET|Equity|228.3|6.87|CERN| Cerner Corporation| 3.01%| North America|Equity|Large Cap Value Equities||FLV|6|10.ASSET|Equity|228.3|6.67|MMC| Marsh & McLennan Companies, Inc.| 2.92%| North America|Equity|Large Cap Value Equities||FLV|6|11.ASSET|Equity|228.3|6.55|ATO| Atmos Energy Corporation| 2.87%| North America|Equity|Large Cap Value Equities||FLV|6|12.ASSET|Equity|228.3|6.16|TTE| TotalEnergies SE Sponsored ADR| 2.70%| North America|Equity|Large Cap Value Equities||FLV|6|13.ASSET|Equity|228.3|5.91|EMR| Emerson Electric Co.| 2.59%| North America|Equity|Large Cap Value Equities||FLV|6|14.ASSET|Equity|228.3|5.75|ZBH| Zimmer Biomet Holdings, Inc.| 2.52%| North America|Equity|Large Cap Value Equities||FLV|6|15.ASSET|Equity|228.3|5.3|CVX| Chevron Corporation| 2.32%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|1.ASSET|Equity|219.7|3.19|SHEL| Shell PLC| 1.45%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|2.ASSET|Equity|219.7|3.03|NESN| Nestle S.A.| 1.38%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|3.ASSET|Equity|219.7|2.99|7203| Toyota Motor Corp.| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|4.ASSET|Equity|219.7|2.86|GLEN| Glencore plc| 1.30%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|5.ASSET|Equity|219.7|2.7|9432| Nippon Telegraph and Telephone Corporation| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|6.ASSET|Equity|219.7|2.66|ROG| Roche Holding Ltd| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|7.ASSET|Equity|219.7|2.59|TTE| TotalEnergies SE| 1.18%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|8.ASSET|Equity|219.7|2.28|BP| BP p.l.c.| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|9.ASSET|Equity|219.7|2.2|8058| Mitsubishi Corporation| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|10.ASSET|Equity|219.7|1.98|DPW| Deutsche Post AG| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|11.ASSET|Equity|219.7|1.89|DTE| Deutsche Telekom AG| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|12.ASSET|Equity|219.7|1.89|8001| Itochu Corporation| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|13.ASSET|Equity|219.7|1.65|EQNR| Equinor ASA| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|14.ASSET|Equity|219.7|1.58|DG| VINCI SA| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||IQIN|6|15.ASSET|Equity|219.7|1.54|VOW3| Volkswagen AG Pref| 0.70%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|1.ASSET|Equity|182.7|2.85|CHKP| Check Point Software Technologies Ltd.| 1.56%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|2.ASSET|Equity|182.7|2.78|SQ| Block Inc Class A| 1.52%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|3.ASSET|Equity|182.7|2.61|NLOK| NortonLifeLock Inc.| 1.43%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|4.ASSET|Equity|182.7|2.45|AVAV| AeroVironment, Inc.| 1.34%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|5.ASSET|Equity|182.7|2.32|FTNT| Fortinet, Inc.| 1.27%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|6.ASSET|Equity|182.7|2.32|PANW| Palo Alto Networks, Inc.| 1.27%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|7.ASSET|Equity|182.7|2.28|SNN| Smith & Nephew PLC Sponsored ADR| 1.25%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|8.ASSET|Equity|182.7|2.28|BEP.UT| Brookfield Renewable Partners LP| 1.25%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|9.ASSET|Equity|182.7|2.28|PRLB| Proto Labs, Inc.| 1.25%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|10.ASSET|Equity|182.7|2.27|AXP| American Express Company| 1.24%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|11.ASSET|Equity|182.7|2.25|VMW| VMware, Inc. Class A| 1.23%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|12.ASSET|Equity|182.7|2.25|GPN| Global Payments Inc.| 1.23%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|13.ASSET|Equity|182.7|2.25|BSX| Boston Scientific Corporation| 1.23%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|14.ASSET|Equity|182.7|2.25|FLT| FLEETCOR Technologies, Inc.| 1.23%| Developed Markets|Equity|Technology Equities|Technology|DTEC|6|15.ASSET|Equity|182.7|2.19|AVST| Avast Plc| 1.20%| Developed Europe|Currency|Currency||FXF|6|1.ASSET|Currency|249.9|249.9|N/A| Swiss franc| 100.00%| North America|Multi-Asset|Precious Metals||SLVO|6|1.ASSET|Multi-Asset|226.1|226.1|N/A| iShares Silver Trust| 100.00%| North America|Equity|Large Cap Blend Equities||MSTB|6|1.ASSET|Equity|289.9|163.47|SPY| SPDR S&P 500 ETF Trust| 56.39%| North America|Equity|Large Cap Blend Equities||MSTB|6|2.ASSET|Equity|289.9|44.21|FGXXX| First American Funds Inc X Government Obligations Fund| 15.25%| North America|Equity|Large Cap Blend Equities||MSTB|6|3.ASSET|Equity|289.9|44.21|FXFXX| First American Funds Inc X Treasury Obligations Fund| 15.25%| North America|Equity|Large Cap Blend Equities||MSTB|6|4.ASSET|Equity|289.9|29.92|N/A| United States Treasury Bills 0.0% 26-JAN-2023| 10.32%| North America|Equity|Large Cap Blend Equities||MSTB|6|5.ASSET|Equity|289.9|12.29|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 4.24%| North America|Equity|Large Cap Blend Equities||MSTB|6|6.ASSET|Equity|289.9|-0.46|N/A| U.S. Dollar| -0.16%| North America|Equity|Large Cap Blend Equities||MSTB|6|7.ASSET|Equity|289.9|-3.71|N/A| FUTURES| -1.28%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|1.ASSET|Equity|142.7|49.65|MSOS| AdvisorShares Pure US Cannabis ETF| 34.79%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|2.ASSET|Equity|142.7|24.8|IIPR| Innovative Industrial Properties Inc| 17.38%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|3.ASSET|Equity|142.7|22|VFF| Village Farms International, Inc.| 15.42%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|4.ASSET|Equity|142.7|5.68|TLRY| Tilray Brands, Inc.| 3.98%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|5.ASSET|Equity|142.7|5.51|RIV| RIV Capital, Inc. Class A| 3.86%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|6.ASSET|Equity|142.7|4.59|WEED| Canopy Growth Corporation| 3.22%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|7.ASSET|Equity|142.7|4.3|GRWG| GrowGeneration Corp.| 3.01%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|8.ASSET|Equity|142.7|2.25|JAZZ| Jazz Pharmaceuticals Public Limited Company| 1.58%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|9.ASSET|Equity|142.7|1.87|PW| Power REIT| 1.31%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|10.ASSET|Equity|142.7|1.7|IMCC| IM Cannabis Corp| 1.19%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|11.ASSET|Equity|142.7|1.56|CRDL| Cardiol Therapeutics Inc. Class A| 1.09%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|12.ASSET|Equity|142.7|1.43|HITI| High Tide, Inc.| 1.00%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|13.ASSET|Equity|142.7|1.34|CWEB| Charlotte\'s Web Holdings, Inc.| 0.94%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|14.ASSET|Equity|142.7|1|VLNS| Valens Company Inc| 0.70%| North America|Equity|Small Cap Blend Equities|Healthcare|YOLO|6|15.ASSET|Equity|142.7|0.98|INCR| InterCure Ltd.| 0.69%| North America|Equity|Small Cap Blend Equities||CSB|6|1.ASSET|Equity|282.1|5.87|CSGS| CSG Systems International, Inc.| 2.08%| North America|Equity|Small Cap Blend Equities||CSB|6|2.ASSET|Equity|282.1|4.94|OTTR| Otter Tail Corporation| 1.75%| North America|Equity|Small Cap Blend Equities||CSB|6|3.ASSET|Equity|282.1|4.43|AVA| Avista Corporation| 1.57%| North America|Equity|Small Cap Blend Equities||CSB|6|4.ASSET|Equity|282.1|4.43|CPK| Chesapeake Utilities Corporation| 1.57%| North America|Equity|Small Cap Blend Equities||CSB|6|5.ASSET|Equity|282.1|4.2|NWBI| Northwest Bancshares, Inc.| 1.49%| North America|Equity|Small Cap Blend Equities||CSB|6|6.ASSET|Equity|282.1|4.15|SAFT| Safety Insurance Group, Inc.| 1.47%| North America|Equity|Small Cap Blend Equities||CSB|6|7.ASSET|Equity|282.1|4.15|SPTN| SpartanNash Company| 1.47%| North America|Equity|Small Cap Blend Equities||CSB|6|8.ASSET|Equity|282.1|4.09|MGEE| MGE Energy, Inc.| 1.45%| North America|Equity|Small Cap Blend Equities||CSB|6|9.ASSET|Equity|282.1|3.95|SJW| SJW Group| 1.40%| North America|Equity|Small Cap Blend Equities||CSB|6|10.ASSET|Equity|282.1|3.86|UVV| Universal Corp| 1.37%| North America|Equity|Small Cap Blend Equities||CSB|6|11.ASSET|Equity|282.1|3.86|AGM| Federal Agricultural Mortgage Corporation Class C| 1.37%| North America|Equity|Small Cap Blend Equities||CSB|6|12.ASSET|Equity|282.1|3.84|KFRC| Kforce Inc.| 1.36%| North America|Equity|Small Cap Blend Equities||CSB|6|13.ASSET|Equity|282.1|3.78|MGRC| McGrath RentCorp| 1.34%| North America|Equity|Small Cap Blend Equities||CSB|6|14.ASSET|Equity|282.1|3.78|ONB| Old National Bancorp| 1.34%| North America|Equity|Small Cap Blend Equities||CSB|6|15.ASSET|Equity|282.1|3.7|CVBF| CVB Financial Corp.| 1.31%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|1.ASSET|Equity|393.4|87.49|N/A| MUTUAL FUND (OTHER)| 22.24%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|2.ASSET|Equity|393.4|31.31|N/A| U.S. Dollar| 7.96%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|3.ASSET|Equity|393.4|19.16|AAPL| Apple Inc.| 4.87%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|4.ASSET|Equity|393.4|16.68|MSFT| Microsoft Corporation| 4.24%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|5.ASSET|Equity|393.4|9.91|AMZN| Amazon.com, Inc.| 2.52%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|6.ASSET|Equity|393.4|6.06|GOOGL| Alphabet Inc. Class A| 1.54%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|7.ASSET|Equity|393.4|5.66|GOOG| Alphabet Inc. Class C| 1.44%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|8.ASSET|Equity|393.4|5.31|TSLA| Tesla Inc| 1.35%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|9.ASSET|Equity|393.4|4.41|NVDA| NVIDIA Corporation| 1.12%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|10.ASSET|Equity|393.4|4.37|BRK.B| Berkshire Hathaway Inc. Class B| 1.11%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|11.ASSET|Equity|393.4|3.62|FB| Meta Platforms Inc. Class A| 0.92%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|12.ASSET|Equity|393.4|3.38|UNH| UnitedHealth Group Incorporated| 0.86%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|13.ASSET|Equity|393.4|3.27|JNJ| Johnson & Johnson| 0.83%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|14.ASSET|Equity|393.4|3.03|JPM| JPMorgan Chase & Co.| 0.77%| Developed Markets|Equity|Hedge Fund|Financials|PHDG|6|15.ASSET|Equity|393.4|2.79|PG| Procter & Gamble Company| 0.71%| North America|Equity|Emerging Markets Equities||TUR|6|1.ASSET|Equity|269.8|28.09|EREGL.E| Eregli Demir Ve Celik Fabrikalari T.A.S.| 10.41%| North America|Equity|Emerging Markets Equities||TUR|6|2.ASSET|Equity|269.8|20.26|BIMAS.E| BIM Birlesik Magazalar A.S.| 7.51%| North America|Equity|Emerging Markets Equities||TUR|6|3.ASSET|Equity|269.8|14.49|KCHOL.E| Koc Holding A.S.| 5.37%| North America|Equity|Emerging Markets Equities||TUR|6|4.ASSET|Equity|269.8|14.46|TUPRS.E| Turkiye Petrol Rafinerileri A.S.| 5.36%| North America|Equity|Emerging Markets Equities||TUR|6|5.ASSET|Equity|269.8|13.57|TCELL.E| Turkcell Iletisim Hizmetleri A.S.| 5.03%| North America|Equity|Emerging Markets Equities||TUR|6|6.ASSET|Equity|269.8|13.11|AKBNK.E| Akbank TAS| 4.86%| North America|Equity|Emerging Markets Equities||TUR|6|7.ASSET|Equity|269.8|12.41|GARAN.E| Turkiye Garanti Bankasi Anonim Sirketi| 4.60%| North America|Equity|Emerging Markets Equities||TUR|6|8.ASSET|Equity|269.8|12.28|FROTO.E| Ford Otomotiv Sanayi A.S.| 4.55%| North America|Equity|Emerging Markets Equities||TUR|6|9.ASSET|Equity|269.8|9.98|SISE.E| Turkiye Sise ve Cam Fabrikalari A.S.| 3.70%| North America|Equity|Emerging Markets Equities||TUR|6|10.ASSET|Equity|269.8|9.66|ASELS.E| Aselsan Elektronik Sanayi ve Ticaret A.S. Class B| 3.58%| North America|Equity|Emerging Markets Equities||TUR|6|11.ASSET|Equity|269.8|9.31|SAHOL.E| Haci Omer Sabanci Holding A.S.| 3.45%| North America|Equity|Emerging Markets Equities||TUR|6|12.ASSET|Equity|269.8|9.31|THYAO.E| Turk Hava Yollari A.O.| 3.45%| North America|Equity|Emerging Markets Equities||TUR|6|13.ASSET|Equity|269.8|7.37|YKBNK.E| Yapi ve Kredi Bankasi A.S.| 2.73%| North America|Equity|Emerging Markets Equities||TUR|6|14.ASSET|Equity|269.8|7.34|ISCTR.E| Turkiye Is Bankasi Anonim Sirketi Class C| 2.72%| North America|Equity|Emerging Markets Equities||TUR|6|15.ASSET|Equity|269.8|6.83|PETKM.E| Petkim Petrokimya Holding Anonim Sirketi| 2.53%| North America|Equity|Small Cap Blend Equities||ISCB|6|1.ASSET|Equity|220.5|0.66|WBS| Webster Financial Corporation| 0.30%| North America|Equity|Small Cap Blend Equities||ISCB|6|2.ASSET|Equity|220.5|0.62|FCNCA| First Citizens BancShares, Inc. Class A| 0.28%| North America|Equity|Small Cap Blend Equities||ISCB|6|3.ASSET|Equity|220.5|0.57|THC| Tenet Healthcare Corporation| 0.26%| North America|Equity|Small Cap Blend Equities||ISCB|6|4.ASSET|Equity|220.5|0.55|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.25%| North America|Equity|Small Cap Blend Equities||ISCB|6|5.ASSET|Equity|220.5|0.55|SYNA| Synaptics Incorporated| 0.25%| North America|Equity|Small Cap Blend Equities||ISCB|6|6.ASSET|Equity|220.5|0.53|PFGC| Performance Food Group Company| 0.24%| North America|Equity|Small Cap Blend Equities||ISCB|6|7.ASSET|Equity|220.5|0.51|WSC| WillScot Mobile Mini Holdings Corp. Class A| 0.23%| North America|Equity|Small Cap Blend Equities||ISCB|6|8.ASSET|Equity|220.5|0.49|RGLD| Royal Gold, Inc.| 0.22%| North America|Equity|Small Cap Blend Equities||ISCB|6|9.ASSET|Equity|220.5|0.49|WH| Wyndham Hotels & Resorts, Inc.| 0.22%| North America|Equity|Small Cap Blend Equities||ISCB|6|10.ASSET|Equity|220.5|0.49|HUN| Huntsman Corporation| 0.22%| North America|Equity|Small Cap Blend Equities||ISCB|6|11.ASSET|Equity|220.5|0.49|CHK| Chesapeake Energy Corporation| 0.22%| North America|Equity|Small Cap Blend Equities||ISCB|6|12.ASSET|Equity|220.5|0.46|OGE| OGE Energy Corp.| 0.21%| North America|Equity|Small Cap Blend Equities||ISCB|6|13.ASSET|Equity|220.5|0.46|X| United States Steel Corporation| 0.21%| North America|Equity|Small Cap Blend Equities||ISCB|6|14.ASSET|Equity|220.5|0.46|NXST| Nexstar Media Group, Inc. Class A| 0.21%| North America|Equity|Small Cap Blend Equities||ISCB|6|15.ASSET|Equity|220.5|0.46|SNV| Synovus Financial Corp.| 0.21%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|1.ASSET|Bond|258|1.65|N/A| Maryland St Health & Higher Edl Facs Auth Rev 5.25% 01-JUL-2027| 0.64%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|2.ASSET|Bond|258|1.65|N/A| Maryland St Health & Higher Edl Facs Auth Rev 5.25% 01-JUL-2027| 0.64%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|3.ASSET|Bond|258|1.47|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2024| 0.57%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|4.ASSET|Bond|258|1.47|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2024| 0.57%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|5.ASSET|Bond|258|1.24|N/A| Omaha Pub Pwr Dist Neb Elec Rev 5.0% 01-FEB-2031| 0.48%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|6.ASSET|Bond|258|1.21|N/A| Omaha Pub Pwr Dist Neb Elec Rev 5.0% 01-FEB-2031| 0.47%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|7.ASSET|Bond|258|1.11|N/A| Cleveland Ohio Wtr Rev 4.0% 01-JAN-2029| 0.43%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|8.ASSET|Bond|258|1.11|N/A| Cleveland Ohio Wtr Rev 4.0% 01-JAN-2029| 0.43%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|9.ASSET|Bond|258|1.11|N/A| Texas St 5.0% 01-OCT-2039| 0.43%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|10.ASSET|Bond|258|1.11|N/A| Texas St 5.0% 01-OCT-2039| 0.43%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|11.ASSET|Bond|258|1.08|N/A| Montgomery Cnty Md 4.0% 01-NOV-2031| 0.42%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|12.ASSET|Bond|258|1.08|N/A| Montgomery Cnty Md 4.0% 01-NOV-2031| 0.42%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|13.ASSET|Bond|258|0.98|N/A| Washington St 5.0% 01-JUL-2024| 0.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|14.ASSET|Bond|258|0.98|N/A| Washington St 5.0% 01-JUL-2024| 0.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBMM|6|15.ASSET|Bond|258|0.95|N/A| Massachusetts St 5.25% 01-SEP-2024| 0.37%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|1.ASSET|Equity|230.4|2.3|2347| Synnex Technology International Corp.| 1.00%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|2.ASSET|Equity|230.4|2.28|VALE3| Vale S.A.| 0.99%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|3.ASSET|Equity|230.4|2.26|3988| Bank of China Limited Class H| 0.98%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|4.ASSET|Equity|230.4|2.23|ETISALAT| Emirates Telecommunications Group Company PJSC| 0.97%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|5.ASSET|Equity|230.4|2.21|3702| WPG Holding Co Ltd| 0.96%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|6.ASSET|Equity|230.4|2.21|2324| Compal Electronics, Inc.| 0.96%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|7.ASSET|Equity|230.4|2.19|AC| Arca Continental SAB de CV| 0.95%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|8.ASSET|Equity|230.4|2.1|033780| KT & G Corporation| 0.91%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|9.ASSET|Equity|230.4|2.05|5225| IHH Healthcare Bhd.| 0.89%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|10.ASSET|Equity|230.4|1.98|2887| Taishin Financial Holdings Co., Ltd.| 0.86%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|11.ASSET|Equity|230.4|1.96|3328| Bank of Communications Co., Ltd. Class H| 0.85%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|12.ASSET|Equity|230.4|1.94|939| China Construction Bank Corporation Class H| 0.84%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|13.ASSET|Equity|230.4|1.94|2301| Lite-On Technology Corp.| 0.84%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|14.ASSET|Equity|230.4|1.91|1288| Agricultural Bank of China Limited Class H| 0.83%| Broad Asia|Equity|Foreign Large Cap Equities||UEVM|6|15.ASSET|Equity|230.4|1.87|2883| China Development Financial Holding Corp.| 0.81%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|1.ASSET|Bond|296.7|0.8|N/A| CVS Health Corporation 5.05% 25-MAR-2048| 0.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|2.ASSET|Bond|296.7|0.59|N/A| Verizon Communications Inc. 3.55% 22-MAR-2051| 0.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|3.ASSET|Bond|296.7|0.53|N/A| Goldman Sachs Group, Inc. 6.75% 01-OCT-2037| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|4.ASSET|Bond|296.7|0.53|N/A| Microsoft Corporation 2.921% 17-MAR-2052| 0.18%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|5.ASSET|Bond|296.7|0.5|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|6.ASSET|Bond|296.7|0.5|N/A| CVS Health Corporation 4.78% 25-MAR-2038| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|7.ASSET|Bond|296.7|0.5|N/A| Merrill Lynch & Co., Inc. 7.75% 14-MAY-2038| 0.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|8.ASSET|Bond|296.7|0.47|N/A| Morgan Stanley 3.125% 27-JUL-2026| 0.16%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|9.ASSET|Bond|296.7|0.47|N/A| Deutsche Telekom International Finance BV 8.75% 15-JUN-2030| 0.16%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|10.ASSET|Bond|296.7|0.45|N/A| Apple Inc. 3.25% 23-FEB-2026| 0.15%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|11.ASSET|Bond|296.7|0.45|N/A| Morgan Stanley 3.737% 24-APR-2024| 0.15%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|12.ASSET|Bond|296.7|0.45|N/A| Morgan Stanley 3.772% 24-JAN-2029| 0.15%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|13.ASSET|Bond|296.7|0.45|N/A| Bank of America Corporation 3.97% 05-MAR-2029| 0.15%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|14.ASSET|Bond|296.7|0.45|N/A| AT&T Inc. 3.5% 15-SEP-2053| 0.15%| North America|Bond|Corporate Bonds|Investment Grade Corporate|VCEB|6|15.ASSET|Bond|296.7|0.45|N/A| Goldman Sachs Group, Inc. 6.25% 01-FEB-2041| 0.15%| North America|Equity|Large Cap Growth Equities||TCHP|6|1.ASSET|Equity|261.1|30.57|MSFT| Microsoft Corporation| 11.71%| North America|Equity|Large Cap Growth Equities||TCHP|6|2.ASSET|Equity|261.1|27.91|AMZN| Amazon.com, Inc.| 10.69%| North America|Equity|Large Cap Growth Equities||TCHP|6|3.ASSET|Equity|261.1|25.74|GOOG| Alphabet Inc. Class C| 9.86%| North America|Equity|Large Cap Growth Equities||TCHP|6|4.ASSET|Equity|261.1|22.43|AAPL| Apple Inc.| 8.59%| North America|Equity|Large Cap Growth Equities||TCHP|6|5.ASSET|Equity|261.1|12.61|FB| Meta Platforms Inc. Class A| 4.83%| North America|Equity|Large Cap Growth Equities||TCHP|6|6.ASSET|Equity|261.1|9.43|TSLA| Tesla Inc| 3.61%| North America|Equity|Large Cap Growth Equities||TCHP|6|7.ASSET|Equity|261.1|8.2|NVDA| NVIDIA Corporation| 3.14%| North America|Equity|Large Cap Growth Equities||TCHP|6|8.ASSET|Equity|261.1|7.02|V| Visa Inc. Class A| 2.69%| North America|Equity|Large Cap Growth Equities||TCHP|6|9.ASSET|Equity|261.1|6.34|NOW| ServiceNow, Inc.| 2.43%| North America|Equity|Large Cap Growth Equities||TCHP|6|10.ASSET|Equity|261.1|5.69|UNH| UnitedHealth Group Incorporated| 2.18%| North America|Equity|Large Cap Growth Equities||TCHP|6|11.ASSET|Equity|261.1|5.43|MA| Mastercard Incorporated Class A| 2.08%| North America|Equity|Large Cap Growth Equities||TCHP|6|12.ASSET|Equity|261.1|4.52|INTU| Intuit Inc.| 1.73%| North America|Equity|Large Cap Growth Equities||TCHP|6|13.ASSET|Equity|261.1|4.2|ISRG| Intuitive Surgical, Inc.| 1.61%| North America|Equity|Large Cap Growth Equities||TCHP|6|14.ASSET|Equity|261.1|3.92|GOOGL| Alphabet Inc. Class A| 1.50%| North America|Equity|Large Cap Growth Equities||TCHP|6|15.ASSET|Equity|261.1|3.63|NFLX| Netflix, Inc.| 1.39%| North America|Equity|Large Cap Growth Equities||CCOR|6|1.ASSET|Equity|291.5|10.96|FGXXX| First American Funds Inc X Government Obligations Fund| 3.76%| North America|Equity|Large Cap Growth Equities||CCOR|6|2.ASSET|Equity|291.5|8.63|UNH| UnitedHealth Group Incorporated| 2.96%| North America|Equity|Large Cap Growth Equities||CCOR|6|3.ASSET|Equity|291.5|8.63|AAPL| Apple Inc.| 2.96%| North America|Equity|Large Cap Growth Equities||CCOR|6|4.ASSET|Equity|291.5|8.6|MOS| Mosaic Company| 2.95%| North America|Equity|Large Cap Growth Equities||CCOR|6|5.ASSET|Equity|291.5|8.42|GOOGL| Alphabet Inc. Class A| 2.89%| North America|Equity|Large Cap Growth Equities||CCOR|6|6.ASSET|Equity|291.5|7.78|CVX| Chevron Corporation| 2.67%| North America|Equity|Large Cap Growth Equities||CCOR|6|7.ASSET|Equity|291.5|7.67|MSFT| Microsoft Corporation| 2.63%| North America|Equity|Large Cap Growth Equities||CCOR|6|8.ASSET|Equity|291.5|7.52|LLY| Eli Lilly and Company| 2.58%| North America|Equity|Large Cap Growth Equities||CCOR|6|9.ASSET|Equity|291.5|7.52|PAYX| Paychex, Inc.| 2.58%| North America|Equity|Large Cap Growth Equities||CCOR|6|10.ASSET|Equity|291.5|7.32|NSC| Norfolk Southern Corporation| 2.51%| North America|Equity|Large Cap Growth Equities||CCOR|6|11.ASSET|Equity|291.5|7.32|PEP| PepsiCo, Inc.| 2.51%| North America|Equity|Large Cap Growth Equities||CCOR|6|12.ASSET|Equity|291.5|7.32|XOM| Exxon Mobil Corporation| 2.51%| North America|Equity|Large Cap Growth Equities||CCOR|6|13.ASSET|Equity|291.5|7.26|ACN| Accenture Plc Class A| 2.49%| North America|Equity|Large Cap Growth Equities||CCOR|6|14.ASSET|Equity|291.5|7.23|LHX| L3Harris Technologies Inc| 2.48%| North America|Equity|Large Cap Growth Equities||CCOR|6|15.ASSET|Equity|291.5|7.17|JNJ| Johnson & Johnson| 2.46%| North America|Bond|National Munis|Municipal Bond|MLN|6|1.ASSET|Bond|238.9|2.05|N/A| U.S. Dollar| 0.86%| North America|Bond|National Munis|Municipal Bond|MLN|6|2.ASSET|Bond|238.9|2.01|N/A| New York N Y City Transitional Fin Auth Rev 4.0% 01-MAY-2040| 0.84%| North America|Bond|National Munis|Municipal Bond|MLN|6|3.ASSET|Bond|238.9|1.84|N/A| Triborough Brdg & Tunl Auth Ny Revs 5.0% 15-NOV-2049| 0.77%| North America|Bond|National Munis|Municipal Bond|MLN|6|4.ASSET|Bond|238.9|1.67|N/A| Austin Tex Elec Util Sys Rev 5.0% 15-NOV-2049| 0.70%| North America|Bond|National Munis|Municipal Bond|MLN|6|5.ASSET|Bond|238.9|1.53|N/A| Metropolitan Wtr Dist Southn Calif Wtrwrks Rev 5.0% 01-OCT-2040| 0.64%| North America|Bond|National Munis|Municipal Bond|MLN|6|6.ASSET|Bond|238.9|1.48|N/A| California Cnty Calif Tob Securitization Agy Tobsettlement Rev 4.0% 01-JUN-2049| 0.62%| North America|Bond|National Munis|Municipal Bond|MLN|6|7.ASSET|Bond|238.9|1.46|N/A| New York Liberty Dev Corp Liberty Rev 3.0% 15-NOV-2051| 0.61%| North America|Bond|National Munis|Municipal Bond|MLN|6|8.ASSET|Bond|238.9|1.41|N/A| Franklin Cnty Ohio Hosp Rev 5.0% 01-NOV-2048| 0.59%| North America|Bond|National Munis|Municipal Bond|MLN|6|9.ASSET|Bond|238.9|1.41|N/A| New Jersey St Tpk Auth Tpk Rev 4.0% 01-JAN-2048| 0.59%| North America|Bond|National Munis|Municipal Bond|MLN|6|10.ASSET|Bond|238.9|1.34|N/A| Maricopa Cnty Ariz Indl Dev Auth Rev 3.0% 01-JAN-2049| 0.56%| North America|Bond|National Munis|Municipal Bond|MLN|6|11.ASSET|Bond|238.9|1.34|N/A| Metropolitan Transn Auth N Y Rev 4.0% 15-NOV-2042| 0.56%| North America|Bond|National Munis|Municipal Bond|MLN|6|12.ASSET|Bond|238.9|1.29|N/A| Pennsylvania St Ctfs Partn 4.0% 01-JUL-2046| 0.54%| North America|Bond|National Munis|Municipal Bond|MLN|6|13.ASSET|Bond|238.9|1.24|N/A| New York N Y City Transitional Fin Auth Rev 4.0% 01-NOV-2042| 0.52%| North America|Bond|National Munis|Municipal Bond|MLN|6|14.ASSET|Bond|238.9|1.24|N/A| University Tex Univ Revs 2.25% 15-AUG-2046| 0.52%| North America|Bond|National Munis|Municipal Bond|MLN|6|15.ASSET|Bond|238.9|1.22|N/A| Illinois St Toll Hwy Auth Toll Highway Rev 5.0% 01-JAN-2045| 0.51%| North America|Equity|Volatility Hedged Equity||PMAY|6|1.ASSET|Equity|195.4|195.17|N/A| OPTIONS| 99.88%| North America|Equity|Volatility Hedged Equity||PMAY|6|2.ASSET|Equity|195.4|0.23|N/A| U.S. Dollar| 0.12%| North America|Equity|Mid Cap Blend Equities||JPME|6|1.ASSET|Equity|237.3|1.59|AA| Alcoa Corporation| 0.67%| North America|Equity|Mid Cap Blend Equities||JPME|6|2.ASSET|Equity|237.3|1.45|MRO| Marathon Oil Corporation| 0.61%| North America|Equity|Mid Cap Blend Equities||JPME|6|3.ASSET|Equity|237.3|1.38|CF| CF Industries Holdings, Inc.| 0.58%| North America|Equity|Mid Cap Blend Equities||JPME|6|4.ASSET|Equity|237.3|1.35|DVN| Devon Energy Corporation| 0.57%| North America|Equity|Mid Cap Blend Equities||JPME|6|5.ASSET|Equity|237.3|1.35|HAL| Halliburton Company| 0.57%| North America|Equity|Mid Cap Blend Equities||JPME|6|6.ASSET|Equity|237.3|1.33|CLR| Continental Resources, Inc.| 0.56%| North America|Equity|Mid Cap Blend Equities||JPME|6|7.ASSET|Equity|237.3|1.33|PXD| Pioneer Natural Resources Company| 0.56%| North America|Equity|Mid Cap Blend Equities||JPME|6|8.ASSET|Equity|237.3|1.26|TRGP| Targa Resources Corp.| 0.53%| North America|Equity|Mid Cap Blend Equities||JPME|6|9.ASSET|Equity|237.3|1.23|ADM| Archer-Daniels-Midland Company| 0.52%| North America|Equity|Mid Cap Blend Equities||JPME|6|10.ASSET|Equity|237.3|1.21|X| United States Steel Corporation| 0.51%| North America|Equity|Mid Cap Blend Equities||JPME|6|11.ASSET|Equity|237.3|1.21|NUE| Nucor Corporation| 0.51%| North America|Equity|Mid Cap Blend Equities||JPME|6|12.ASSET|Equity|237.3|1.21|STLD| Steel Dynamics, Inc.| 0.51%| North America|Equity|Mid Cap Blend Equities||JPME|6|13.ASSET|Equity|237.3|1.21|MCK| McKesson Corporation| 0.51%| North America|Equity|Mid Cap Blend Equities||JPME|6|14.ASSET|Equity|237.3|1.21|MOS| Mosaic Company| 0.51%| North America|Equity|Mid Cap Blend Equities||JPME|6|15.ASSET|Equity|237.3|1.21|CTRA| Coterra Energy Inc.| 0.51%| North America|Equity|Large Cap Growth Equities||QGRO|6|1.ASSET|Equity|231|5.75|TGT| Target Corporation| 2.49%| North America|Equity|Large Cap Growth Equities||QGRO|6|2.ASSET|Equity|231|5.47|MSFT| Microsoft Corporation| 2.37%| North America|Equity|Large Cap Growth Equities||QGRO|6|3.ASSET|Equity|231|5.34|GOOG| Alphabet Inc. Class C| 2.31%| North America|Equity|Large Cap Growth Equities||QGRO|6|4.ASSET|Equity|231|5.31|AAPL| Apple Inc.| 2.30%| North America|Equity|Large Cap Growth Equities||QGRO|6|5.ASSET|Equity|231|5.04|CDNS| Cadence Design Systems, Inc.| 2.18%| North America|Equity|Large Cap Growth Equities||QGRO|6|6.ASSET|Equity|231|4.69|LULU| Lululemon Athletica Inc| 2.03%| North America|Equity|Large Cap Growth Equities||QGRO|6|7.ASSET|Equity|231|4.55|ULTA| Ulta Beauty Inc| 1.97%| North America|Equity|Large Cap Growth Equities||QGRO|6|8.ASSET|Equity|231|4.5|ADSK| Autodesk, Inc.| 1.95%| North America|Equity|Large Cap Growth Equities||QGRO|6|9.ASSET|Equity|231|4.46|AMD| Advanced Micro Devices, Inc.| 1.93%| North America|Equity|Large Cap Growth Equities||QGRO|6|10.ASSET|Equity|231|4.44|VRTX| Vertex Pharmaceuticals Incorporated| 1.92%| North America|Equity|Large Cap Growth Equities||QGRO|6|11.ASSET|Equity|231|4.44|REGN| Regeneron Pharmaceuticals, Inc.| 1.92%| North America|Equity|Large Cap Growth Equities||QGRO|6|12.ASSET|Equity|231|4.34|UPS| United Parcel Service, Inc. Class B| 1.88%| North America|Equity|Large Cap Growth Equities||QGRO|6|13.ASSET|Equity|231|4.13|ADBE| Adobe Inc.| 1.79%| North America|Equity|Large Cap Growth Equities||QGRO|6|14.ASSET|Equity|231|3.86|IT| Gartner, Inc.| 1.67%| North America|Equity|Large Cap Growth Equities||QGRO|6|15.ASSET|Equity|231|3.83|QCOM| Qualcomm Inc| 1.66%| North America|Equity|Volatility Hedged Equity||PAPR|6|1.ASSET|Equity|191.6|191.49|N/A| OPTIONS| 99.94%| North America|Equity|Volatility Hedged Equity||PAPR|6|2.ASSET|Equity|191.6|191.49|N/A| OPTIONS| 99.94%| North America|Equity|Volatility Hedged Equity||PAPR|6|3.ASSET|Equity|191.6|0.11|N/A| U.S. Dollar| 0.06%| North America|Equity|Volatility Hedged Equity||PAPR|6|4.ASSET|Equity|191.6|0.11|N/A| U.S. Dollar| 0.06%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|1.ASSET|Bond|259.7|12.78|N/A| France 1.75% 25-JUN-2039| 4.92%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|2.ASSET|Bond|259.7|7.22|N/A| AGENCY BOND| 2.78%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|3.ASSET|Bond|259.7|4.21|N/A| Italy 1.5% 30-APR-2045| 1.62%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|4.ASSET|Bond|259.7|4.08|N/A| Government of United Kingdom 0.875% 31-JUL-2033| 1.57%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|5.ASSET|Bond|259.7|4|N/A| France 0.5% 25-JUN-2044| 1.54%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|6.ASSET|Bond|259.7|4|N/A| Netherlands 0.5% 15-JAN-2040| 1.54%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|7.ASSET|Bond|259.7|3.97|N/A| Belgium 1.25% 22-APR-2033| 1.53%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|8.ASSET|Bond|259.7|2.67|N/A| CORPORATE BOND| 1.03%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|9.ASSET|Bond|259.7|2.67|N/A| Government of United Kingdom 1.5% 31-JUL-2053| 1.03%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|10.ASSET|Bond|259.7|2.62|K69758.F| Ireland| 1.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|11.ASSET|Bond|259.7|2.34|N/A| Germany 0.0% 15-AUG-2030| 0.90%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|12.ASSET|Bond|259.7|2.31|N/A| Germany 0.0% 15-AUG-2031| 0.89%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|13.ASSET|Bond|259.7|2.23|N/A| U.S. Dollar| 0.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|14.ASSET|Bond|259.7|2|N/A| Germany 0.0% 15-AUG-2050| 0.77%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BGRN|6|15.ASSET|Bond|259.7|1.71|N/A| Spain 1.0% 30-JUL-2042| 0.66%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|1.ASSET|Multi-Asset|202.6|41.82|HYG| iShares iBoxx $ High Yield Corporate Bond ETF| 20.64%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|2.ASSET|Multi-Asset|202.6|31.34|PFF| iShares Preferred & Income Securities ETF| 15.47%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|3.ASSET|Multi-Asset|202.6|24.96|MBB| iShares MBS ETF| 12.32%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|4.ASSET|Multi-Asset|202.6|20.22|TLH| iShares 10-20 Year Treasury Bond ETF| 9.98%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|5.ASSET|Multi-Asset|202.6|19.29|LEMB| iShares J.P. Morgan EM Local Currency Bond ETF| 9.52%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|6.ASSET|Multi-Asset|202.6|17.34|DVYE| iShares Emerging Markets Dividend ETF| 8.56%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|7.ASSET|Multi-Asset|202.6|16.78|TLT| iShares 20+ Year Treasury Bond ETF| 8.28%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|8.ASSET|Multi-Asset|202.6|11.39|IDV| iShares International Select Dividend ETF| 5.62%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|9.ASSET|Multi-Asset|202.6|10.29|REM| iShares Mortgage Real Estate ETF| 5.08%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|10.ASSET|Multi-Asset|202.6|9.16|HDV| iShares Core High Dividend ETF| 4.52%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|11.ASSET|Multi-Asset|202.6|0.04|N/A| MUTUAL FUND (OTHER)| 0.02%| Developed Markets|Multi-Asset|Diversified Portfolio||IYLD|6|12.ASSET|Multi-Asset|202.6|0|N/A| U.S. Dollar| 0.00%| Global|Bond|High Yield Bonds|Junk|PGHY|6|1.ASSET|Bond|217.8|7.8|N/A| Cash Component| 3.58%| Global|Bond|High Yield Bonds|Junk|PGHY|6|2.ASSET|Bond|217.8|1.07|N/A| CBOM FINANCE PLC| 0.49%| Global|Bond|High Yield Bonds|Junk|PGHY|6|3.ASSET|Bond|217.8|1.02|N/A| HAZINE MUSTESARLIGI VARLIK KIRALAMA AS| 0.47%| Global|Bond|High Yield Bonds|Junk|PGHY|6|4.ASSET|Bond|217.8|1.02|N/A| TURKIYE HALK BANKASI AS| 0.47%| Global|Bond|High Yield Bonds|Junk|PGHY|6|5.ASSET|Bond|217.8|1|N/A| ESKOM HOLDINGS SOC LTD| 0.46%| Global|Bond|High Yield Bonds|Junk|PGHY|6|6.ASSET|Bond|217.8|0.91|N/A| SRI LANKA, DEMOCRATIC SOCIALIST REPUBLIC OF (GOVERNMENT)| 0.42%| Global|Bond|High Yield Bonds|Junk|PGHY|6|7.ASSET|Bond|217.8|0.87|N/A| BANCO DO ESTADO DO RIO GRANDE DO SUL SA| 0.40%| Global|Bond|High Yield Bonds|Junk|PGHY|6|8.ASSET|Bond|217.8|0.87|N/A| SPRINT CORP| 0.40%| Global|Bond|High Yield Bonds|Junk|PGHY|6|9.ASSET|Bond|217.8|0.85|N/A| KERNEL HOLDING S.A.| 0.39%| Global|Bond|High Yield Bonds|Junk|PGHY|6|10.ASSET|Bond|217.8|0.85|N/A| MONGOLIA (GOVERNMENT)| 0.39%| Global|Bond|High Yield Bonds|Junk|PGHY|6|11.ASSET|Bond|217.8|0.85|N/A| CENTRAIS ELETRICAS BRASILEIRAS SA| 0.39%| Global|Bond|High Yield Bonds|Junk|PGHY|6|12.ASSET|Bond|217.8|0.85|N/A| PETROBRAS GLOBAL FINANCE BV| 0.39%| Global|Bond|High Yield Bonds|Junk|PGHY|6|13.ASSET|Bond|217.8|0.85|N/A| ALFA BOND ISSUANCE PLC| 0.39%| Global|Bond|High Yield Bonds|Junk|PGHY|6|14.ASSET|Bond|217.8|0.85|N/A| CENTURYLINK INC| 0.39%| Global|Bond|High Yield Bonds|Junk|PGHY|6|15.ASSET|Bond|217.8|0.85|N/A| UKRAINE (GOVERNMENT)| 0.39%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|1.ASSET|Equity|220.3|1.85|1820| Nishimatsu Construction Co., Ltd.| 0.84%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|2.ASSET|Equity|220.3|1.74|9513| Electric Power Development Co., Ltd.| 0.79%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|3.ASSET|Equity|220.3|1.61|7167| Mebuki Financial Group, Inc.| 0.73%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|4.ASSET|Equity|220.3|1.61|8304| Aozora Bank, Ltd.| 0.73%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|5.ASSET|Equity|220.3|1.54|5901| Toyo Seikan Group Holdings Ltd.| 0.70%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|6.ASSET|Equity|220.3|1.39|4902| Konica Minolta, Inc.| 0.63%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|7.ASSET|Equity|220.3|1.37|8410| Seven Bank, Ltd.| 0.62%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|8.ASSET|Equity|220.3|1.37|4544| H.U.Group Holdings, Inc.| 0.62%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|9.ASSET|Equity|220.3|1.12|8282| K\'S Holdings Corporation| 0.51%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|10.ASSET|Equity|220.3|1.12|5021| Cosmo Energy Holdings Co., Ltd.| 0.51%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|11.ASSET|Equity|220.3|1.1|8628| Matsui Securities Co., Ltd.| 0.50%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|12.ASSET|Equity|220.3|1.1|6417| Sankyo Co., Ltd.| 0.50%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|13.ASSET|Equity|220.3|1.04|4202| Daicel Corporation| 0.47%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|14.ASSET|Equity|220.3|1.04|5214| Nippon Electric Glass Co., Ltd.| 0.47%| Developed Asia Pacific|Equity|Japan Equities||DFJ|6|15.ASSET|Equity|220.3|1.01|1860| Toda Corporation| 0.46%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|1.ASSET|Bond|259.1|50.55|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 19.51%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|2.ASSET|Bond|259.1|18.6|N/A| United States Treasury Notes 2.0% 15-NOV-2026| 7.18%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|3.ASSET|Bond|259.1|14.2|N/A| UMBS TBA 10yr 11.5% December Delivery 2.000% 01-NOV-2051| 5.48%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|4.ASSET|Bond|259.1|13.81|N/A| United States Treasury Notes 2.125% 31-MAY-2026| 5.33%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|5.ASSET|Bond|259.1|7.75|N/A| United States Treasury Notes 2.0% 15-FEB-2025| 2.99%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|6.ASSET|Bond|259.1|7.13|N/A| United States Treasury Notes 2.75% 15-FEB-2028| 2.75%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|7.ASSET|Bond|259.1|6.58|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 2.54%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|8.ASSET|Bond|259.1|6.24|N/A| United States Treasury Notes 1.5% 15-FEB-2030| 2.41%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|9.ASSET|Bond|259.1|6.22|N/A| United States Treasury Notes 2.5% 31-JAN-2025| 2.40%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|10.ASSET|Bond|259.1|6.06|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 2.34%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|11.ASSET|Bond|259.1|5.83|N/A| UMBS TBA 10yr 13.5% January Delivery 3.000% 01-DEC-2051| 2.25%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|12.ASSET|Bond|259.1|5.8|N/A| United States Treasury Bond 2.5% 15-FEB-2045| 2.24%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|13.ASSET|Bond|259.1|5.34|N/A| United States Treasury Bond 4.375% 15-FEB-2038| 2.06%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|14.ASSET|Bond|259.1|5.29|N/A| United States Treasury Bond 3.875% 15-AUG-2040| 2.04%| Global|Bond|Total Bond Market|Total Bond Market|GCOR|6|15.ASSET|Bond|259.1|4.28|N/A| UMBS TBA 10yr 2.5% November Delivery 3.500% 01-JUL-2048| 1.65%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|1.ASSET|Bond|115.7|4.23|N/A| U.S. Dollar| 3.66%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|2.ASSET|Bond|115.7|2.79|N/A| Verizon Communications Inc. FRN 20-MAR-2026| 2.41%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|3.ASSET|Bond|115.7|2.41|N/A| AerCap Ireland Capital DAC 1.65% 29-OCT-2024| 2.08%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|4.ASSET|Bond|115.7|2.37|N/A| CORPORATE BOND| 2.05%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|5.ASSET|Bond|115.7|2.33|N/A| Hyundai Capital America, Inc. 1.3% 08-JAN-2026| 2.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|6.ASSET|Bond|115.7|2.28|N/A| Eversource Energy FRN 15-AUG-2023| 1.97%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|7.ASSET|Bond|115.7|2.26|N/A| HSBC Holdings Plc 4.25% 18-AUG-2025| 1.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|8.ASSET|Bond|115.7|2.24|N/A| BNP Paribas US Medium-Term Note Program LLC 4.25% 15-OCT-2024| 1.94%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|9.ASSET|Bond|115.7|2.22|N/A| Skyworks Solutions, Inc. 0.9% 01-JUN-2023| 1.92%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|10.ASSET|Bond|115.7|2.21|N/A| Avery Dennison Corporation 0.85% 15-AUG-2024| 1.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|11.ASSET|Bond|115.7|2.15|N/A| Air Lease Corporation 0.8% 18-AUG-2024| 1.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|12.ASSET|Bond|115.7|2.11|N/A| Bayer US Finance II LLC 3.875% 15-DEC-2023| 1.82%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|13.ASSET|Bond|115.7|2.01|N/A| FIXED INCOME (UNCLASSFIED)| 1.74%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|14.ASSET|Bond|115.7|2|N/A| OGE Energy Corp. 0.703% 26-MAY-2023| 1.73%| Developed Markets|Bond|Total Bond Market|Total Bond Market|ULTR|6|15.ASSET|Bond|115.7|2|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 1.73%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|1.ASSET|Bond|223.4|5.25|N/A| Fidelity Revere Street Trust Taxable Cent Cash Fund| 2.35%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|2.ASSET|Bond|223.4|4.69|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 2.10%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|3.ASSET|Bond|223.4|4.09|N/A| Morgan Stanley FRN 24-OCT-2023| 1.83%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|4.ASSET|Bond|223.4|3.46|N/A| Bank of Montreal FRN 10-MAR-2023| 1.55%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|5.ASSET|Bond|223.4|3.22|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 1.44%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|6.ASSET|Bond|223.4|3.19|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 1.43%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|7.ASSET|Bond|223.4|3.06|N/A| Mitsubishi UFJ Financial Group, Inc. FRN 25-JUL-2022| 1.37%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|8.ASSET|Bond|223.4|2.84|N/A| Bank of America Corporation FRN 24-APR-2023| 1.27%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|9.ASSET|Bond|223.4|2.7|N/A| United States Treasury Notes 1.5% 15-FEB-2030| 1.21%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|10.ASSET|Bond|223.4|2.68|N/A| Goldman Sachs Group, Inc. FRN 29-NOV-2023| 1.20%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|11.ASSET|Bond|223.4|2.64|N/A| Metropolitan Life Global Funding I FRN 07-JAN-2024| 1.18%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|12.ASSET|Bond|223.4|2.59|N/A| JPMorgan Chase & Co. FRN 24-OCT-2023| 1.16%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|13.ASSET|Bond|223.4|2.52|N/A| Wells Fargo & Company FRN 31-OCT-2023| 1.13%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|14.ASSET|Bond|223.4|2.3|N/A| Goldman Sachs Group, Inc. FRN 08-MAR-2024| 1.03%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|FLDR|6|15.ASSET|Bond|223.4|2.26|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 1.01%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|1.ASSET|Equity|170.3|3.68|GKOS| Glaukos Corp| 2.16%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|2.ASSET|Equity|170.3|3.47|IRTC| iRhythm Technologies, Inc.| 2.04%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|3.ASSET|Equity|170.3|2.96|BSX| Boston Scientific Corporation| 1.74%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|4.ASSET|Equity|170.3|2.91|CSII| Cardiovascular Systems, Inc.| 1.71%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|5.ASSET|Equity|170.3|2.86|IART| Integra LifeSciences Holdings Corporation| 1.68%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|6.ASSET|Equity|170.3|2.81|ABMD| ABIOMED, Inc.| 1.65%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|7.ASSET|Equity|170.3|2.67|PODD| Insulet Corporation| 1.57%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|8.ASSET|Equity|170.3|2.66|NVCR| NovoCure Ltd.| 1.56%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|9.ASSET|Equity|170.3|2.59|INCY| Incyte Corporation| 1.52%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|10.ASSET|Equity|170.3|2.57|ILMN| Illumina, Inc.| 1.51%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|11.ASSET|Equity|170.3|2.55|AXGN| Axogen, Inc.| 1.50%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|12.ASSET|Equity|170.3|2.49|EXAS| Exact Sciences Corporation| 1.46%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|13.ASSET|Equity|170.3|2.45|ISRG| Intuitive Surgical, Inc.| 1.44%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|14.ASSET|Equity|170.3|2.44|STAA| STAAR Surgical Company| 1.43%| North America|Equity|Health & Biotech Equities|Healthcare|HTEC|6|15.ASSET|Equity|170.3|2.44|PEN| Penumbra, Inc.| 1.43%| North America|Equity|Financials Equities|Financials|DFNL|6|1.ASSET|Equity|202|18.2|COF| Capital One Financial Corporation| 9.01%| North America|Equity|Financials Equities|Financials|DFNL|6|2.ASSET|Equity|202|13.92|BRK.B| Berkshire Hathaway Inc. Class B| 6.89%| North America|Equity|Financials Equities|Financials|DFNL|6|3.ASSET|Equity|202|13.78|CB| Chubb Limited| 6.82%| North America|Equity|Financials Equities|Financials|DFNL|6|4.ASSET|Equity|202|13.64|USB| U.S. Bancorp| 6.75%| North America|Equity|Financials Equities|Financials|DFNL|6|5.ASSET|Equity|202|11.7|WFC| Wells Fargo & Company| 5.79%| North America|Equity|Financials Equities|Financials|DFNL|6|6.ASSET|Equity|202|9.88|MKL| Markel Corporation| 4.89%| North America|Equity|Financials Equities|Financials|DFNL|6|7.ASSET|Equity|202|9.29|BAC| Bank of America Corp| 4.60%| North America|Equity|Financials Equities|Financials|DFNL|6|8.ASSET|Equity|202|9.09|PNC| PNC Financial Services Group, Inc.| 4.50%| North America|Equity|Financials Equities|Financials|DFNL|6|9.ASSET|Equity|202|8.93|AXP| American Express Company| 4.42%| North America|Equity|Financials Equities|Financials|DFNL|6|10.ASSET|Equity|202|8.91|BAER| Julius Baer Gruppe AG| 4.41%| North America|Equity|Financials Equities|Financials|DFNL|6|11.ASSET|Equity|202|8.75|D05| DBS Group Holdings Ltd| 4.33%| North America|Equity|Financials Equities|Financials|DFNL|6|12.ASSET|Equity|202|8.36|L| Loews Corporation| 4.14%| North America|Equity|Financials Equities|Financials|DFNL|6|13.ASSET|Equity|202|8.36|BK| Bank of New York Mellon Corporation| 4.14%| North America|Equity|Financials Equities|Financials|DFNL|6|14.ASSET|Equity|202|7.64|JPM| JPMorgan Chase & Co.| 3.78%| North America|Equity|Financials Equities|Financials|DFNL|6|15.ASSET|Equity|202|7.47|SCHW| Charles Schwab Corporation| 3.70%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|1.ASSET|Bond|229.4|3.44|N/A| Cboe Global Markets, Inc. 3.65% 12-JAN-2027| 1.50%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|2.ASSET|Bond|229.4|2.82|N/A| Parker-Hannifin Corporation 3.25% 14-JUN-2029| 1.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|3.ASSET|Bond|229.4|2.48|N/A| Amphenol Corporation 4.35% 01-JUN-2029| 1.08%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|4.ASSET|Bond|229.4|2.13|N/A| Honeywell International Inc. 2.5% 01-NOV-2026| 0.93%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|5.ASSET|Bond|229.4|2.11|N/A| Illinois Tool Works Inc. 2.65% 15-NOV-2026| 0.92%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|6.ASSET|Bond|229.4|2.11|N/A| Broadcom Inc. 4.11% 15-SEP-2028| 0.92%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|7.ASSET|Bond|229.4|1.9|N/A| HCA, Inc. 4.5% 15-FEB-2027| 0.83%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|8.ASSET|Bond|229.4|1.9|N/A| Dollar Tree, Inc. 4.2% 15-MAY-2028| 0.83%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|9.ASSET|Bond|229.4|1.88|N/A| PulteGroup, Inc. 5.5% 01-MAR-2026| 0.82%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|10.ASSET|Bond|229.4|1.88|N/A| Roper Technologies, Inc. 3.8% 15-DEC-2026| 0.82%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|11.ASSET|Bond|229.4|1.88|N/A| Realty Income Corporation 4.125% 15-OCT-2026| 0.82%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|12.ASSET|Bond|229.4|1.86|N/A| Costco Wholesale Corporation 3.0% 18-MAY-2027| 0.81%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|13.ASSET|Bond|229.4|1.86|N/A| AutoZone, Inc. 3.75% 01-JUN-2027| 0.81%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|14.ASSET|Bond|229.4|1.86|N/A| Cintas Corporation No. 2 3.7% 01-APR-2027| 0.81%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBD|6|15.ASSET|Bond|229.4|1.81|N/A| Ventas Realty LP 3.25% 15-OCT-2026| 0.79%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|1.ASSET|Preferred Stock|216.6|12.37|BDXB| Becton, Dickinson and Company Depositary Shs Repr 1/20th Cum Conv Pfd Rg Shs 2020-01.06.23 Ser B| 5.71%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|2.ASSET|Preferred Stock|216.6|10.66|PNC.PRP| PNC Financial Services Group, Inc. Deposit Shs Repr 1/4000th Non-Cum Perp Pfd Shs Series P| 4.92%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|3.ASSET|Preferred Stock|216.6|8.01|QRTEP| Qurate Retail Inc 8 % Cum Red Pfd Registered Shs Series A| 3.70%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|4.ASSET|Preferred Stock|216.6|7.34|DUK.PRA| Duke Energy Corp Depositary Shs Repr 1/1000th Cum Red Perp Pfd Registered Sh Series A| 3.39%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|5.ASSET|Preferred Stock|216.6|7.15|BAC.PRB| Bank of America Corp Deposit Shs Repr 1/1000th Non-Cum Red Perp Pfd Shs Series GG| 3.30%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|6.ASSET|Preferred Stock|216.6|6.63|ATH.PRA| Athene Holding Ltd Depositary Shs Repr 1/1000th Non-Cum Red Perp Pfd Registered Shs Ser A| 3.06%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|7.ASSET|Preferred Stock|216.6|6.43|CLVT.PRA| Clarivate PLC Conv Pref Registered Shs 2021-01.06.24| 2.97%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|8.ASSET|Preferred Stock|216.6|6.09|JPM.PRC| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Perp Red Pfd Registered ShsSeries -EE-| 2.81%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|9.ASSET|Preferred Stock|216.6|6.04|WFC.PRQ| Wells Fargo & Company Deposit Shs Repr 1/1000th 5.85 % Non-Cum Perp Pfd Shs A Series Q| 2.79%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|10.ASSET|Preferred Stock|216.6|5.59|C.PRN| Citigroup Capital XIII Tr Pfd Secs 2010-30.10.40 Global Fltg Rt| 2.58%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|11.ASSET|Preferred Stock|216.6|5.52|ET.PRE| Energy Transfer LP Fixed-to-Fltg Cum Red Perp Pfd Units Series E| 2.55%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|12.ASSET|Preferred Stock|216.6|5.48|JPM.PRD| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Pfd Registered Shs Series -DD-| 2.53%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|13.ASSET|Preferred Stock|216.6|5.46|STT.PRD| State Street Corp Deposit Shs Repr 1/4000th Non-Cum Perp Pfd Shs Series D| 2.52%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|14.ASSET|Preferred Stock|216.6|5.35|SCHW.PRD| Charles Schwab Corp Deposit Shs Repr 1/40th % Non-Cum Pfd Shs Series D| 2.47%| Developed Markets|Preferred Stock|Preferred Stock/Convertible Bonds||SPFF|6|15.ASSET|Preferred Stock|216.6|5.26|GS.PRK| Goldman Sachs Group, Inc. Depositary Repr 1/1000th Non-Cum Pfd Shs Series K| 2.43%| North America|Multi-Asset|High Yield Bonds||YLD|6|1.ASSET|Multi-Asset|238.5|5.2|N/A| MUTUAL FUND (OTHER)| 2.18%| North America|Multi-Asset|High Yield Bonds||YLD|6|2.ASSET|Multi-Asset|238.5|3.65|N/A| MasTec, Inc. 4.5% 15-AUG-2028| 1.53%| North America|Multi-Asset|High Yield Bonds||YLD|6|3.ASSET|Multi-Asset|238.5|3.58|N/A| Smyrna Ready Mix Concrete LLC 6.0% 01-NOV-2028| 1.50%| North America|Multi-Asset|High Yield Bonds||YLD|6|4.ASSET|Multi-Asset|238.5|3.53|N/A| Tenneco Inc. 7.875% 15-JAN-2029| 1.48%| North America|Multi-Asset|High Yield Bonds||YLD|6|5.ASSET|Multi-Asset|238.5|3.51|N/A| Fresh Market, Inc. 9.75% 01-MAY-2023| 1.47%| North America|Multi-Asset|High Yield Bonds||YLD|6|6.ASSET|Multi-Asset|238.5|3.48|N/A| FIXED INCOME (UNCLASSFIED)| 1.46%| North America|Multi-Asset|High Yield Bonds||YLD|6|7.ASSET|Multi-Asset|238.5|3.48|N/A| Ladder Capital Finance Holdings LLLP 4.75% 15-JUN-2029| 1.46%| North America|Multi-Asset|High Yield Bonds||YLD|6|8.ASSET|Multi-Asset|238.5|3.46|N/A| Asurion Llc Term Loan B-3 25-Jan-2028| 1.45%| North America|Multi-Asset|High Yield Bonds||YLD|6|9.ASSET|Multi-Asset|238.5|3.46|N/A| LifePoint Health, Inc. 5.375% 15-JAN-2029| 1.45%| North America|Multi-Asset|High Yield Bonds||YLD|6|10.ASSET|Multi-Asset|238.5|3.43|N/A| CCM Merger Inc. 6.375% 01-MAY-2026| 1.44%| North America|Multi-Asset|High Yield Bonds||YLD|6|11.ASSET|Multi-Asset|238.5|3.43|N/A| Crestwood Midstream Partners LP 5.625% 01-MAY-2027| 1.44%| North America|Multi-Asset|High Yield Bonds||YLD|6|12.ASSET|Multi-Asset|238.5|3.43|N/A| DKT Finance ApS 9.375% 17-JUN-2023| 1.44%| North America|Multi-Asset|High Yield Bonds||YLD|6|13.ASSET|Multi-Asset|238.5|3.41|N/A| American Airlines Inc Term Loan 20-Apr-2028| 1.43%| North America|Multi-Asset|High Yield Bonds||YLD|6|14.ASSET|Multi-Asset|238.5|3.41|N/A| Pixelle Specialty Solutions Llc Term Loan 31-Oct-2024| 1.43%| North America|Multi-Asset|High Yield Bonds||YLD|6|15.ASSET|Multi-Asset|238.5|3.41|N/A| Targa Resources Partners LP 4.875% 01-FEB-2031| 1.43%| North America|Equity|Building & Construction |Industrials|AIRR|6|1.ASSET|Equity|235.7|11.24|ECOL| US Ecology, Inc.| 4.77%| North America|Equity|Building & Construction |Industrials|AIRR|6|2.ASSET|Equity|235.7|8.25|AQUA| Evoqua Water Technologies Corp| 3.50%| North America|Equity|Building & Construction |Industrials|AIRR|6|3.ASSET|Equity|235.7|7.83|NVEE| NV5 Global Inc| 3.32%| North America|Equity|Building & Construction |Industrials|AIRR|6|4.ASSET|Equity|235.7|7.57|PWR| Quanta Services, Inc.| 3.21%| North America|Equity|Building & Construction |Industrials|AIRR|6|5.ASSET|Equity|235.7|7.54|CLH| Clean Harbors, Inc.| 3.20%| North America|Equity|Building & Construction |Industrials|AIRR|6|6.ASSET|Equity|235.7|7.5|ACA| Arcosa, Inc.| 3.18%| North America|Equity|Building & Construction |Industrials|AIRR|6|7.ASSET|Equity|235.7|7.07|WIRE| Encore Wire Corporation| 3.00%| North America|Equity|Building & Construction |Industrials|AIRR|6|8.ASSET|Equity|235.7|7.07|ROLL| RBC Bearings Incorporated| 3.00%| North America|Equity|Building & Construction |Industrials|AIRR|6|9.ASSET|Equity|235.7|6.98|EME| EMCOR Group, Inc.| 2.96%| North America|Equity|Building & Construction |Industrials|AIRR|6|10.ASSET|Equity|235.7|6.95|MWA| Mueller Water Products, Inc. Class A| 2.95%| North America|Equity|Building & Construction |Industrials|AIRR|6|11.ASSET|Equity|235.7|6.88|MYRG| MYR Group Inc.| 2.92%| North America|Equity|Building & Construction |Industrials|AIRR|6|12.ASSET|Equity|235.7|6.74|FIX| Comfort Systems USA, Inc.| 2.86%| North America|Equity|Building & Construction |Industrials|AIRR|6|13.ASSET|Equity|235.7|6.69|SPXC| SPX Corporation| 2.84%| North America|Equity|Building & Construction |Industrials|AIRR|6|14.ASSET|Equity|235.7|6.6|HUBB| Hubbell Incorporated Class B| 2.80%| North America|Equity|Building & Construction |Industrials|AIRR|6|15.ASSET|Equity|235.7|6.55|PRIM| Primoris Services Corporation| 2.78%| North America|Equity|Large Cap Growth Equities||MILN|6|1.ASSET|Equity|169.8|8.88|COST| Costco Wholesale Corporation| 5.23%| North America|Equity|Large Cap Growth Equities||MILN|6|2.ASSET|Equity|169.8|7.74|AAPL| Apple Inc.| 4.56%| North America|Equity|Large Cap Growth Equities||MILN|6|3.ASSET|Equity|169.8|7.23|GOOGL| Alphabet Inc. Class A| 4.26%| North America|Equity|Large Cap Growth Equities||MILN|6|4.ASSET|Equity|169.8|7.17|INTU| Intuit Inc.| 4.22%| North America|Equity|Large Cap Growth Equities||MILN|6|5.ASSET|Equity|169.8|7.15|LOW| Lowe\'s Companies, Inc.| 4.21%| North America|Equity|Large Cap Growth Equities||MILN|6|6.ASSET|Equity|169.8|6.32|HD| Home Depot, Inc.| 3.72%| North America|Equity|Large Cap Growth Equities||MILN|6|7.ASSET|Equity|169.8|6.16|NKE| NIKE, Inc. Class B| 3.63%| North America|Equity|Large Cap Growth Equities||MILN|6|8.ASSET|Equity|169.8|5.59|AMZN| Amazon.com, Inc.| 3.29%| North America|Equity|Large Cap Growth Equities||MILN|6|9.ASSET|Equity|169.8|5.43|BKNG| Booking Holdings Inc.| 3.20%| North America|Equity|Large Cap Growth Equities||MILN|6|10.ASSET|Equity|169.8|5.11|ATVI| Activision Blizzard, Inc.| 3.01%| North America|Equity|Large Cap Growth Equities||MILN|6|11.ASSET|Equity|169.8|4.99|SBUX| Starbucks Corporation| 2.94%| North America|Equity|Large Cap Growth Equities||MILN|6|12.ASSET|Equity|169.8|4.82|FISV| Fiserv, Inc.| 2.84%| North America|Equity|Large Cap Growth Equities||MILN|6|13.ASSET|Equity|169.8|4.75|DIS| Walt Disney Company| 2.80%| North America|Equity|Large Cap Growth Equities||MILN|6|14.ASSET|Equity|169.8|4.16|NFLX| Netflix, Inc.| 2.45%| North America|Equity|Large Cap Growth Equities||MILN|6|15.ASSET|Equity|169.8|4.04|FB| Meta Platforms Inc. Class A| 2.38%| North America|Equity|Materials|Materials|SGDM|6|1.ASSET|Equity|276|34.47|ABX| Barrick Gold Corporation| 12.49%| North America|Equity|Materials|Materials|SGDM|6|2.ASSET|Equity|276|31.66|NEM| Newmont Corporation| 11.47%| North America|Equity|Materials|Materials|SGDM|6|3.ASSET|Equity|276|26.14|FNV| Franco-Nevada Corporation| 9.47%| North America|Equity|Materials|Materials|SGDM|6|4.ASSET|Equity|276|20.4|WPM| Wheaton Precious Metals Corp| 7.39%| North America|Equity|Materials|Materials|SGDM|6|5.ASSET|Equity|276|12.31|RGLD| Royal Gold, Inc.| 4.46%| North America|Equity|Materials|Materials|SGDM|6|6.ASSET|Equity|276|12.12|YRI| Yamana Gold Inc.| 4.39%| North America|Equity|Materials|Materials|SGDM|6|7.ASSET|Equity|276|11.9|EDV| Endeavour Mining PLC| 4.31%| North America|Equity|Materials|Materials|SGDM|6|8.ASSET|Equity|276|11.32|HMY| Harmony Gold Mining Co. Ltd. Sponsored ADR| 4.10%| North America|Equity|Materials|Materials|SGDM|6|9.ASSET|Equity|276|11.1|BTO| B2Gold Corp.| 4.02%| North America|Equity|Materials|Materials|SGDM|6|10.ASSET|Equity|276|10.96|CG| Centerra Gold Inc.| 3.97%| North America|Equity|Materials|Materials|SGDM|6|11.ASSET|Equity|276|10.52|AEM| Agnico Eagle Mines Limited| 3.81%| North America|Equity|Materials|Materials|SGDM|6|12.ASSET|Equity|276|10.27|PVG| Pretium Resources Inc.| 3.72%| North America|Equity|Materials|Materials|SGDM|6|13.ASSET|Equity|276|10.21|AGI| Alamos Gold Inc.| 3.70%| North America|Equity|Materials|Materials|SGDM|6|14.ASSET|Equity|276|9.55|WDO| Wesdome Gold Mines Ltd.| 3.46%| North America|Equity|Materials|Materials|SGDM|6|15.ASSET|Equity|276|9.52|ELD| Eldorado Gold Corporation| 3.45%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|1.ASSET|Bond|229.3|7.66|N/A| CORPORATE BOND| 3.34%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|2.ASSET|Bond|229.3|5.21|N/A| Entergy Louisiana LLC 0.95% 01-OCT-2024| 2.27%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|3.ASSET|Bond|229.3|5|N/A| Nationwide Mutual Insurance Company 2.50563% 15-DEC-2024| 2.18%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|4.ASSET|Bond|229.3|5|N/A| General Mills, Inc. FRN 17-OCT-2023| 2.18%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|5.ASSET|Bond|229.3|4.98|N/A| Toronto-Dominion Bank FRN 10-SEP-2024| 2.17%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|6.ASSET|Bond|229.3|4.91|N/A| Goldman Sachs Group, Inc. FRN 10-SEP-2024| 2.14%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|7.ASSET|Bond|229.3|4.61|N/A| Charles Schwab Corporation FRN 18-MAR-2024| 2.01%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|8.ASSET|Bond|229.3|4.4|N/A| L3Harris Technologies, Inc. FRN 10-MAR-2023| 1.92%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|9.ASSET|Bond|229.3|3.97|N/A| PPL Electric Utilities Corporation FRN 28-SEP-2023| 1.73%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|10.ASSET|Bond|229.3|3.9|N/A| Florida Power & Light Company FRN 10-MAY-2023| 1.70%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|11.ASSET|Bond|229.3|3.71|N/A| Brighthouse Financial Global Funding FRN 12-APR-2024| 1.62%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|12.ASSET|Bond|229.3|3.67|N/A| JPMorgan Chase & Co. FRN 23-JUL-2024| 1.60%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|13.ASSET|Bond|229.3|3.62|N/A| Bank of America Corporation FRN 28-MAY-2024| 1.58%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|14.ASSET|Bond|229.3|3.6|N/A| Public Storage FRN 23-APR-2024| 1.57%| Developed Markets|Bond|Corporate Bonds|Total Bond Market|VALT|6|15.ASSET|Bond|229.3|3.53|N/A| Allstate Corporation FRN 29-MAR-2023| 1.54%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|1.ASSET|Equity|205.3|12.11|OGN| Organon & Co.| 5.90%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|2.ASSET|Equity|205.3|11.33|BMY| Bristol-Myers Squibb Company| 5.52%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|3.ASSET|Equity|205.3|10.35|JAZZ| Jazz Pharmaceuticals Public Limited Company| 5.04%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|4.ASSET|Equity|205.3|9.77|MRK| Merck & Co., Inc.| 4.76%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|5.ASSET|Equity|205.3|9.63|ELAN| Elanco Animal Health, Inc.| 4.69%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|6.ASSET|Equity|205.3|9.55|RPRX| Royalty Pharma Plc Class A| 4.65%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|7.ASSET|Equity|205.3|9.51|LLY| Eli Lilly and Company| 4.63%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|8.ASSET|Equity|205.3|9.4|PRGO| Perrigo Co. Plc| 4.58%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|9.ASSET|Equity|205.3|9.22|JNJ| Johnson & Johnson| 4.49%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|10.ASSET|Equity|205.3|8.48|SAVA| Cassava Sciences, Inc.| 4.13%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|11.ASSET|Equity|205.3|8.07|PFE| Pfizer Inc.| 3.93%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|12.ASSET|Equity|205.3|7.76|CTLT| Catalent Inc| 3.78%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|13.ASSET|Equity|205.3|7.74|ZTS| Zoetis, Inc. Class A| 3.77%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|14.ASSET|Equity|205.3|7.47|AVIR| Atea Pharmaceuticals, Inc.| 3.64%| North America|Equity|Health & Biotech Equities|Healthcare|XPH|6|15.ASSET|Equity|205.3|7.43|VTRS| Viatris, Inc.| 3.62%| North America|Equity|Small Cap Blend Equities||CSML|6|1.ASSET|Equity|205|1.21|DDS| Dillard\'s, Inc. Class A| 0.59%| North America|Equity|Small Cap Blend Equities||CSML|6|2.ASSET|Equity|205|1.09|LQDA| Liquidia Corporation| 0.53%| North America|Equity|Small Cap Blend Equities||CSML|6|3.ASSET|Equity|205|1|KZR| Kezar Life Sciences Inc| 0.49%| North America|Equity|Small Cap Blend Equities||CSML|6|4.ASSET|Equity|205|0.9|AMRK| A-Mark Precious Metals, Inc.| 0.44%| North America|Equity|Small Cap Blend Equities||CSML|6|5.ASSET|Equity|205|0.9|NEX| NexTier Oilfield Solutions, Inc.| 0.44%| North America|Equity|Small Cap Blend Equities||CSML|6|6.ASSET|Equity|205|0.88|GNK| Genco Shipping & Trading Ltd| 0.43%| North America|Equity|Small Cap Blend Equities||CSML|6|7.ASSET|Equity|205|0.86|MCB| Metropolitan Bank Holding Corp.| 0.42%| North America|Equity|Small Cap Blend Equities||CSML|6|8.ASSET|Equity|205|0.82|CARG| CarGurus, Inc. Class A| 0.40%| North America|Equity|Small Cap Blend Equities||CSML|6|9.ASSET|Equity|205|0.82|INSW| International Seaways, Inc.| 0.40%| North America|Equity|Small Cap Blend Equities||CSML|6|10.ASSET|Equity|205|0.78|EXTN| Exterran Corp.| 0.38%| North America|Equity|Small Cap Blend Equities||CSML|6|11.ASSET|Equity|205|0.76|PRFT| Perficient, Inc.| 0.37%| North America|Equity|Small Cap Blend Equities||CSML|6|12.ASSET|Equity|205|0.76|VRS| Verso Corp Class A| 0.37%| North America|Equity|Small Cap Blend Equities||CSML|6|13.ASSET|Equity|205|0.76|CCRN| Cross Country Healthcare, Inc.| 0.37%| North America|Equity|Small Cap Blend Equities||CSML|6|14.ASSET|Equity|205|0.74|ANAT| American National Group, Inc.| 0.36%| North America|Equity|Small Cap Blend Equities||CSML|6|15.ASSET|Equity|205|0.74|WIRE| Encore Wire Corporation| 0.36%| North America|Equity|Large Cap Blend Equities||VLU|6|1.ASSET|Equity|282|8.07|BRK.B| Berkshire Hathaway Inc. Class B| 2.86%| North America|Equity|Large Cap Blend Equities||VLU|6|2.ASSET|Equity|282|6.57|AAPL| Apple Inc.| 2.33%| North America|Equity|Large Cap Blend Equities||VLU|6|3.ASSET|Equity|282|6.09|WMT| Walmart Inc.| 2.16%| North America|Equity|Large Cap Blend Equities||VLU|6|4.ASSET|Equity|282|5.53|XOM| Exxon Mobil Corporation| 1.96%| North America|Equity|Large Cap Blend Equities||VLU|6|5.ASSET|Equity|282|5.36|T| AT&T Inc.| 1.90%| North America|Equity|Large Cap Blend Equities||VLU|6|6.ASSET|Equity|282|5.05|BAC| Bank of America Corp| 1.79%| North America|Equity|Large Cap Blend Equities||VLU|6|7.ASSET|Equity|282|4.34|CVS| CVS Health Corporation| 1.54%| North America|Equity|Large Cap Blend Equities||VLU|6|8.ASSET|Equity|282|4.26|AMZN| Amazon.com, Inc.| 1.51%| North America|Equity|Large Cap Blend Equities||VLU|6|9.ASSET|Equity|282|4.17|MSFT| Microsoft Corporation| 1.48%| North America|Equity|Large Cap Blend Equities||VLU|6|10.ASSET|Equity|282|4.03|CVX| Chevron Corporation| 1.43%| North America|Equity|Large Cap Blend Equities||VLU|6|11.ASSET|Equity|282|3.64|VZ| Verizon Communications Inc.| 1.29%| North America|Equity|Large Cap Blend Equities||VLU|6|12.ASSET|Equity|282|3.5|UNH| UnitedHealth Group Incorporated| 1.24%| North America|Equity|Large Cap Blend Equities||VLU|6|13.ASSET|Equity|282|3.38|WFC| Wells Fargo & Company| 1.20%| North America|Equity|Large Cap Blend Equities||VLU|6|14.ASSET|Equity|282|3.16|JPM| JPMorgan Chase & Co.| 1.12%| North America|Equity|Large Cap Blend Equities||VLU|6|15.ASSET|Equity|282|3.05|GOOGL| Alphabet Inc. Class A| 1.08%| North America|Bond|National Munis|Municipal Bond|MMIT|6|1.ASSET|Bond|251.9|5.57|DEIXX| Dreyfus Tax Exempt Cash Management Funds Institutional| 2.21%| North America|Bond|National Munis|Municipal Bond|MMIT|6|2.ASSET|Bond|251.9|4.58|N/A| Little Rock Ark Metrocentre Impt Dist No 1 Rev VAR 01-DEC-2025| 1.82%| North America|Bond|National Munis|Municipal Bond|MMIT|6|3.ASSET|Bond|251.9|3.48|N/A| Central Plains Energy Proj Neb Gas Proj Rev 5.25% 01-SEP-2037| 1.38%| North America|Bond|National Munis|Municipal Bond|MMIT|6|4.ASSET|Bond|251.9|3.05|N/A| King Cnty Wash Swr Rev FRN 01-JAN-2040| 1.21%| North America|Bond|National Munis|Municipal Bond|MMIT|6|5.ASSET|Bond|251.9|2.87|N/A| Mississippi St 4.0% 01-OCT-2037| 1.14%| North America|Bond|National Munis|Municipal Bond|MMIT|6|6.ASSET|Bond|251.9|2.62|N/A| Illinois St 5.0% 01-NOV-2028| 1.04%| North America|Bond|National Munis|Municipal Bond|MMIT|6|7.ASSET|Bond|251.9|2.54|N/A| Texas Mun Gas Acquisition & Supply Corp Ii Gas Supply Rev FRN 15-SEP-2027| 1.01%| North America|Bond|National Munis|Municipal Bond|MMIT|6|8.ASSET|Bond|251.9|2.49|N/A| Illinois St 5.0% 01-NOV-2024| 0.99%| North America|Bond|National Munis|Municipal Bond|MMIT|6|9.ASSET|Bond|251.9|2.49|N/A| Texas St Tpk Auth Cent Tex Tpk Sys Rev 0.0% 15-AUG-2022| 0.99%| North America|Bond|National Munis|Municipal Bond|MMIT|6|10.ASSET|Bond|251.9|2.37|N/A| Trinity Area Sch Dist Pa 4.0% 01-NOV-2041| 0.94%| North America|Bond|National Munis|Municipal Bond|MMIT|6|11.ASSET|Bond|251.9|2.34|N/A| Connecticut St 5.0% 15-APR-2034| 0.93%| North America|Bond|National Munis|Municipal Bond|MMIT|6|12.ASSET|Bond|251.9|2.29|N/A| California Statewide Cmntys Dev Auth Student Hsgrev 4.0% 15-MAY-2035| 0.91%| North America|Bond|National Munis|Municipal Bond|MMIT|6|13.ASSET|Bond|251.9|2.22|N/A| Bolingbrook Ill 0.0% 01-JAN-2035| 0.88%| North America|Bond|National Munis|Municipal Bond|MMIT|6|14.ASSET|Bond|251.9|2.14|N/A| Illinois Fin Auth Rev 4.0% 01-OCT-2038| 0.85%| North America|Bond|National Munis|Municipal Bond|MMIT|6|15.ASSET|Bond|251.9|2.12|N/A| Douglas Cnty Colo Sch Dist No Re-1 Douglas & Elbert Cntys 5.0% 15-DEC-2031| 0.84%| North America|Equity|Large Cap Growth Equities||GVIP|6|1.ASSET|Equity|186.3|4.3|LNG| Cheniere Energy, Inc.| 2.31%| North America|Equity|Large Cap Growth Equities||GVIP|6|2.ASSET|Equity|186.3|4.23|BLDR| Builders FirstSource, Inc.| 2.27%| North America|Equity|Large Cap Growth Equities||GVIP|6|3.ASSET|Equity|186.3|4.21|PANW| Palo Alto Networks, Inc.| 2.26%| North America|Equity|Large Cap Growth Equities||GVIP|6|4.ASSET|Equity|186.3|4.02|TDG| TransDigm Group Incorporated| 2.16%| North America|Equity|Large Cap Growth Equities||GVIP|6|5.ASSET|Equity|186.3|4.01|ZEN| Zendesk, Inc.| 2.15%| North America|Equity|Large Cap Growth Equities||GVIP|6|6.ASSET|Equity|186.3|4.01|WDAY| Workday, Inc. Class A| 2.15%| North America|Equity|Large Cap Growth Equities||GVIP|6|7.ASSET|Equity|186.3|3.99|CZR| Caesars Entertainment Inc| 2.14%| North America|Equity|Large Cap Growth Equities||GVIP|6|8.ASSET|Equity|186.3|3.95|SPGI| S&P Global, Inc.| 2.12%| North America|Equity|Large Cap Growth Equities||GVIP|6|9.ASSET|Equity|186.3|3.91|MU| Micron Technology, Inc.| 2.10%| North America|Equity|Large Cap Growth Equities||GVIP|6|10.ASSET|Equity|186.3|3.89|GDDY| GoDaddy, Inc. Class A| 2.09%| North America|Equity|Large Cap Growth Equities||GVIP|6|11.ASSET|Equity|186.3|3.88|CCK| Crown Holdings, Inc.| 2.08%| North America|Equity|Large Cap Growth Equities||GVIP|6|12.ASSET|Equity|186.3|3.88|BRK.B| Berkshire Hathaway Inc. Class B| 2.08%| North America|Equity|Large Cap Growth Equities||GVIP|6|13.ASSET|Equity|186.3|3.86|WTW| Willis Towers Watson Public Limited Company| 2.07%| North America|Equity|Large Cap Growth Equities||GVIP|6|14.ASSET|Equity|186.3|3.86|UNH| UnitedHealth Group Incorporated| 2.07%| North America|Equity|Large Cap Growth Equities||GVIP|6|15.ASSET|Equity|186.3|3.84|CRM| salesforce.com, inc.| 2.06%| North America|Equity|Large Cap Growth Equities||CACG|6|1.ASSET|Equity|188.6|14.45|AMZN| Amazon.com, Inc.| 7.66%| North America|Equity|Large Cap Growth Equities||CACG|6|2.ASSET|Equity|188.6|10.49|UNH| UnitedHealth Group Incorporated| 5.56%| North America|Equity|Large Cap Growth Equities||CACG|6|3.ASSET|Equity|188.6|9.02|MSFT| Microsoft Corporation| 4.78%| North America|Equity|Large Cap Growth Equities||CACG|6|4.ASSET|Equity|188.6|6.58|NVDA| NVIDIA Corporation| 3.49%| North America|Equity|Large Cap Growth Equities||CACG|6|5.ASSET|Equity|188.6|6.39|FB| Meta Platforms Inc. Class A| 3.39%| North America|Equity|Large Cap Growth Equities||CACG|6|6.ASSET|Equity|188.6|6.15|VRTX| Vertex Pharmaceuticals Incorporated| 3.26%| North America|Equity|Large Cap Growth Equities||CACG|6|7.ASSET|Equity|188.6|5.94|AVGO| Broadcom Inc.| 3.15%| North America|Equity|Large Cap Growth Equities||CACG|6|8.ASSET|Equity|188.6|5.62|AAPL| Apple Inc.| 2.98%| North America|Equity|Large Cap Growth Equities||CACG|6|9.ASSET|Equity|188.6|5.28|V| Visa Inc. Class A| 2.80%| North America|Equity|Large Cap Growth Equities||CACG|6|10.ASSET|Equity|188.6|5.26|CMCSA| Comcast Corporation Class A| 2.79%| North America|Equity|Large Cap Growth Equities||CACG|6|11.ASSET|Equity|188.6|4.51|PANW| Palo Alto Networks, Inc.| 2.39%| North America|Equity|Large Cap Growth Equities||CACG|6|12.ASSET|Equity|188.6|3.94|CRM| salesforce.com, inc.| 2.09%| North America|Equity|Large Cap Growth Equities||CACG|6|13.ASSET|Equity|188.6|3.92|ADBE| Adobe Inc.| 2.08%| North America|Equity|Large Cap Growth Equities||CACG|6|14.ASSET|Equity|188.6|3.83|STX| Seagate Technology Holdings PLC| 2.03%| North America|Equity|Large Cap Growth Equities||CACG|6|15.ASSET|Equity|188.6|3.77|JTSXX| JPMorgan Trust I 100% US Treasury Securities Money Market Fund Institutional| 2.00%| North America|Equity|Mid Cap Blend Equities||CZA|6|1.ASSET|Equity|213.9|4.77|PCAR| PACCAR Inc| 2.23%| North America|Equity|Mid Cap Blend Equities||CZA|6|2.ASSET|Equity|213.9|4.56|FNV| Franco-Nevada Corporation| 2.13%| North America|Equity|Mid Cap Blend Equities||CZA|6|3.ASSET|Equity|213.9|4.51|OKE| ONEOK, Inc.| 2.11%| North America|Equity|Mid Cap Blend Equities||CZA|6|4.ASSET|Equity|213.9|4.51|WEC| WEC Energy Group Inc| 2.11%| North America|Equity|Mid Cap Blend Equities||CZA|6|5.ASSET|Equity|213.9|4.49|ABC| AmerisourceBergen Corporation| 2.10%| North America|Equity|Mid Cap Blend Equities||CZA|6|6.ASSET|Equity|213.9|4.28|RKT| Rocket Companies Inc Class A| 2.00%| North America|Equity|Mid Cap Blend Equities||CZA|6|7.ASSET|Equity|213.9|4.13|LH| Laboratory Corporation of America Holdings| 1.93%| North America|Equity|Mid Cap Blend Equities||CZA|6|8.ASSET|Equity|213.9|3.89|ZBH| Zimmer Biomet Holdings, Inc.| 1.82%| North America|Equity|Mid Cap Blend Equities||CZA|6|9.ASSET|Equity|213.9|3.83|EIX| Edison International| 1.79%| North America|Equity|Mid Cap Blend Equities||CZA|6|10.ASSET|Equity|213.9|3.72|DTE| DTE Energy Company| 1.74%| North America|Equity|Mid Cap Blend Equities||CZA|6|11.ASSET|Equity|213.9|3.59|RPRX| Royalty Pharma Plc Class A| 1.68%| North America|Equity|Mid Cap Blend Equities||CZA|6|12.ASSET|Equity|213.9|3.44|SWKS| Skyworks Solutions, Inc.| 1.61%| North America|Equity|Mid Cap Blend Equities||CZA|6|13.ASSET|Equity|213.9|3.44|FTV| Fortive Corp.| 1.61%| North America|Equity|Mid Cap Blend Equities||CZA|6|14.ASSET|Equity|213.9|3.42|FTS| Fortis Inc.| 1.60%| North America|Equity|Mid Cap Blend Equities||CZA|6|15.ASSET|Equity|213.9|3.4|CDW| CDW Corp.| 1.59%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|1.ASSET|Preferred Stock|186.5|6.79|OAK.PRB| Oaktree Capital Group LLC 6.550 % Non-Cum Red Pfd Units Series B| 3.64%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|2.ASSET|Preferred Stock|186.5|6.75|PNC.PRP| PNC Financial Services Group, Inc. Deposit Shs Repr 1/4000th Non-Cum Perp Pfd Shs Series P| 3.62%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|3.ASSET|Preferred Stock|186.5|6.75|ALP.PRQ| Alabama Power Company 5 % Cum Pfd Registered Shs A| 3.62%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|4.ASSET|Preferred Stock|186.5|6.73|AXS.PRE| Axis Capital Holdings Ltd Deposit Shs Repr 1/100th 5.50 % Non-Cum Pfd Shs Series E| 3.61%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|5.ASSET|Preferred Stock|186.5|6.68|FCNCP| First Citizens BancShares, Inc. Non-Cum Red Perp Pfd Registered Shs Series A| 3.58%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|6.ASSET|Preferred Stock|186.5|6.45|NTRSO| Northern Trust Corporation Depositary Shs Repr 1/1000 Non-Cum Red Perp Pfd Registered Shs Ser E| 3.46%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|7.ASSET|Preferred Stock|186.5|6.29|BOH.PRA| Bank of Hawaii Corp Depositary Shs Repr 1/40th 4.375 % Non-Cum Red Perp Pfd Registered Shs A| 3.37%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|8.ASSET|Preferred Stock|186.5|6.17|PRE.PRJ| PartnerRe Ltd 4.875 % Non Cum Red Perp Pfd Registered Shs Series J| 3.31%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|9.ASSET|Preferred Stock|186.5|6.14|CFR.PRB| Cullen/Frost Bankers, Inc. Depositary Shs Repr 1/40th 4.450% Non-Cum Red Perp Pfd Registered Shs B| 3.29%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|10.ASSET|Preferred Stock|186.5|6.12|BEP.PRA| Brookfield Renewable Partners LP 5.25 % Cum Conv Red Perp Pfd Partnership Units A -Series 17-| 3.28%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|11.ASSET|Preferred Stock|186.5|5.99|WAFDP| Washington Federal Inc Depositary Shs Repr 1/40th % Non-Cum Perp Red Pfd Rg Shs A| 3.21%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|12.ASSET|Preferred Stock|186.5|5.97|KKR.PRC| KKR & Co. Inc. 6 % Conv Cum Red Pfd Registered Shs 2020-15.09.23 Series C| 3.20%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|13.ASSET|Preferred Stock|186.5|3.43|HGH| Hartford Financial Services Group, Inc. Debentures 2012-15.4.42 Jr Subord Fltg Rt| 1.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|14.ASSET|Preferred Stock|186.5|3.43|SCHW.PRD| Charles Schwab Corp Deposit Shs Repr 1/40th % Non-Cum Pfd Shs Series D| 1.84%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||EPRF|6|15.ASSET|Preferred Stock|186.5|3.39|AAM.PRA| Apollo Global Management Inc. 6.375 % Non-Cum Red Pfd Registered Shs Series A| 1.82%| North America|Equity|Large Cap Value Equities||CDL|6|1.ASSET|Equity|272.9|4.48|KO| Coca-Cola Company| 1.64%| North America|Equity|Large Cap Value Equities||CDL|6|2.ASSET|Equity|272.9|4.45|LMT| Lockheed Martin Corporation| 1.63%| North America|Equity|Large Cap Value Equities||CDL|6|3.ASSET|Equity|272.9|4.34|PEP| PepsiCo, Inc.| 1.59%| North America|Equity|Large Cap Value Equities||CDL|6|4.ASSET|Equity|272.9|4.28|COST| Costco Wholesale Corporation| 1.57%| North America|Equity|Large Cap Value Equities||CDL|6|5.ASSET|Equity|272.9|4.15|VZ| Verizon Communications Inc.| 1.52%| North America|Equity|Large Cap Value Equities||CDL|6|6.ASSET|Equity|272.9|4.12|ED| Consolidated Edison, Inc.| 1.51%| North America|Equity|Large Cap Value Equities||CDL|6|7.ASSET|Equity|272.9|3.93|ADM| Archer-Daniels-Midland Company| 1.44%| North America|Equity|Large Cap Value Equities||CDL|6|8.ASSET|Equity|272.9|3.9|ABBV| AbbVie, Inc.| 1.43%| North America|Equity|Large Cap Value Equities||CDL|6|9.ASSET|Equity|272.9|3.9|JNJ| Johnson & Johnson| 1.43%| North America|Equity|Large Cap Value Equities||CDL|6|10.ASSET|Equity|272.9|3.74|GIS| General Mills, Inc.| 1.37%| North America|Equity|Large Cap Value Equities||CDL|6|11.ASSET|Equity|272.9|3.66|CVX| Chevron Corporation| 1.34%| North America|Equity|Large Cap Value Equities||CDL|6|12.ASSET|Equity|272.9|3.63|PM| Philip Morris International Inc.| 1.33%| North America|Equity|Large Cap Value Equities||CDL|6|13.ASSET|Equity|272.9|3.6|AEP| American Electric Power Company, Inc.| 1.32%| North America|Equity|Large Cap Value Equities||CDL|6|14.ASSET|Equity|272.9|3.57|DUK| Duke Energy Corporation| 1.31%| North America|Equity|Large Cap Value Equities||CDL|6|15.ASSET|Equity|272.9|3.57|D| Dominion Energy Inc| 1.31%| |Commodity|Leveraged Commodities||UGL|6|1.ASSET|Commodity|320.5|320.5|N/A| Gold| 100.00%| North America|Equity|All Cap Equities||QVAL|6|1.ASSET|Equity|223.4|6.79|AA| Alcoa Corporation| 3.04%| North America|Equity|All Cap Equities||QVAL|6|2.ASSET|Equity|223.4|6.39|MOS| Mosaic Company| 2.86%| North America|Equity|All Cap Equities||QVAL|6|3.ASSET|Equity|223.4|5.65|NXST| Nexstar Media Group, Inc. Class A| 2.53%| North America|Equity|All Cap Equities||QVAL|6|4.ASSET|Equity|223.4|5.43|MGY| Magnolia Oil & Gas Corp. Class A| 2.43%| North America|Equity|All Cap Equities||QVAL|6|5.ASSET|Equity|223.4|5.41|X| United States Steel Corporation| 2.42%| North America|Equity|All Cap Equities||QVAL|6|6.ASSET|Equity|223.4|5.34|KSS| Kohl\'s Corporation| 2.39%| North America|Equity|All Cap Equities||QVAL|6|7.ASSET|Equity|223.4|5.27|LAD| Lithia Motors, Inc.| 2.36%| North America|Equity|All Cap Equities||QVAL|6|8.ASSET|Equity|223.4|5.27|STLD| Steel Dynamics, Inc.| 2.36%| North America|Equity|All Cap Equities||QVAL|6|9.ASSET|Equity|223.4|5.25|WLK| Westlake Corporation| 2.35%| North America|Equity|All Cap Equities||QVAL|6|10.ASSET|Equity|223.4|5.16|NUE| Nucor Corporation| 2.31%| North America|Equity|All Cap Equities||QVAL|6|11.ASSET|Equity|223.4|5.16|RS| Reliance Steel & Aluminum Co.| 2.31%| North America|Equity|All Cap Equities||QVAL|6|12.ASSET|Equity|223.4|5.03|PII| Polaris Inc.| 2.25%| North America|Equity|All Cap Equities||QVAL|6|13.ASSET|Equity|223.4|4.98|CLF| Cleveland-Cliffs Inc| 2.23%| North America|Equity|All Cap Equities||QVAL|6|14.ASSET|Equity|223.4|4.85|AGCO| AGCO Corporation| 2.17%| North America|Equity|All Cap Equities||QVAL|6|15.ASSET|Equity|223.4|4.8|LYB| LyondellBasell Industries NV| 2.15%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|1.ASSET|Bond|244.8|6.44|N/A| CVS Health Corporation 4.3% 25-MAR-2028| 2.63%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|2.ASSET|Bond|244.8|4.82|N/A| Cigna Corporation 4.375% 15-OCT-2028| 1.97%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|3.ASSET|Bond|244.8|3.79|N/A| United Technologies Corporation 4.125% 16-NOV-2028| 1.55%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|4.ASSET|Bond|244.8|3.67|N/A| Vodafone Group Plc 4.375% 30-MAY-2028| 1.50%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|5.ASSET|Bond|244.8|3.28|N/A| Verizon Communications Inc. 2.1% 22-MAR-2028| 1.34%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|6.ASSET|Bond|244.8|3.21|N/A| AerCap Ireland Capital DAC 3.0% 29-OCT-2028| 1.31%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|7.ASSET|Bond|244.8|2.96|N/A| Anheuser-Busch Inbev Worldwide, Inc. 4.0% 13-APR-2028| 1.21%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|8.ASSET|Bond|244.8|2.89|N/A| Discovery Communications LLC 3.95% 20-MAR-2028| 1.18%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|9.ASSET|Bond|244.8|2.77|N/A| Apple Inc. 1.2% 08-FEB-2028| 1.13%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|10.ASSET|Bond|244.8|2.57|N/A| Johnson & Johnson 2.9% 15-JAN-2028| 1.05%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|11.ASSET|Bond|244.8|2.55|N/A| Apple Inc. 1.4% 05-AUG-2028| 1.04%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|12.ASSET|Bond|244.8|2.55|N/A| Citigroup Inc. 4.125% 25-JUL-2028| 1.04%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|13.ASSET|Bond|244.8|2.5|N/A| Netflix, Inc. 5.875% 15-NOV-2028| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|14.ASSET|Bond|244.8|2.47|N/A| Amazon.com, Inc. 1.65% 12-MAY-2028| 1.01%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCS|6|15.ASSET|Bond|244.8|2.4|N/A| Northrop Grumman Corporation 3.25% 15-JAN-2028| 0.98%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|1.ASSET|Equity|216.7|15.84|BHP| BHP Group Limited Sponsored ADR| 7.31%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|2.ASSET|Equity|216.7|13.87|300750| Contemporary Amperex Technology Co., Ltd. Class A| 6.40%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|3.ASSET|Equity|216.7|13.72|TSLA| Tesla Inc| 6.33%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|4.ASSET|Equity|216.7|9.66|1211| BYD Company Limited Class H| 4.46%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|5.ASSET|Equity|216.7|8.52|GLEN| Glencore plc| 3.93%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|6.ASSET|Equity|216.7|5.16|RIVN| Rivian Automotive, Inc. Class A| 2.38%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|7.ASSET|Equity|216.7|4.49|002812| Yunnan Energy New Material Co., Ltd. Class A| 2.07%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|8.ASSET|Equity|216.7|4.18|051910| LG Chem Ltd.| 1.93%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|9.ASSET|Equity|216.7|3.94|1772| Ganfeng Lithium Co., Ltd. Class H| 1.82%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|10.ASSET|Equity|216.7|3.88|006400| Samsung SDI Co., Ltd| 1.79%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|11.ASSET|Equity|216.7|3.81|LCID| Lucid Group, Inc.| 1.76%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|12.ASSET|Equity|216.7|3.55|002371| NAURA Technology Group Co Ltd Class A| 1.64%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|13.ASSET|Equity|216.7|3.47|603799| Zhejiang Huayou Cobalt Co. Ltd. Class A| 1.60%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|14.ASSET|Equity|216.7|3.47|300014| EVE Energy Co. Ltd. Class A| 1.60%| Global|Equity|Commodity Producers Equities|Materials|BATT|6|15.ASSET|Equity|216.7|3.27|NIO| NIO Inc. Sponsored ADR Class A| 1.51%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|1.ASSET|Real Estate|0|0|NLY| Annaly Capital Management Inc| 17.93%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|2.ASSET|Real Estate|0|0|AGNC| AGNC Investment Corp| 13.87%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|3.ASSET|Real Estate|0|0|STWD| Starwood Property Trust Inc| 7.40%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|4.ASSET|Real Estate|0|0|BXMT| Blackstone Mortgage Trust Inc| 5.45%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|5.ASSET|Real Estate|0|0|NRZ| New Residential Investment Corp| 4.83%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|6.ASSET|Real Estate|0|0|HASI| Hannon Armstrong Sustainable Infrastructure Capital Inc| 4.75%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|7.ASSET|Real Estate|0|0|PMT| PennyMac Mortgage Investment Trust| 3.82%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|8.ASSET|Real Estate|0|0|CIM| Chimera Investment Corp| 3.80%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|9.ASSET|Real Estate|0|0|TWO| Two Harbors Investment Corp| 3.40%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|10.ASSET|Real Estate|0|0|ARI| Apollo Commercial Real Estate Finance Inc| 3.18%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|11.ASSET|Real Estate|0|0|BRMK| Broadmark Realty Capital Inc| 3.04%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|12.ASSET|Real Estate|0|0|MFA| MFA Financial Inc| 2.92%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|13.ASSET|Real Estate|0|0|ABR| Arbor Realty Trust Inc| 2.89%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|14.ASSET|Real Estate|0|0|NYMT| New York Mortgage Trust Inc| 2.34%| North America|Real Estate|Leveraged Real Estate|Real Estate|REML|6|15.ASSET|Real Estate|0|0|STAR| iStar Inc| 2.07%| North America|Multi-Asset|Hedge Fund||FVC|6|1.ASSET|Multi-Asset|217.5|54.94|FTXN| First Trust Nasdaq Oil & Gas ETF| 25.26%| North America|Multi-Asset|Hedge Fund||FVC|6|2.ASSET|Multi-Asset|217.5|41.59|FXR| First Trust Industrials/Producer Durables AlphaDEX Fund| 19.12%| North America|Multi-Asset|Hedge Fund||FVC|6|3.ASSET|Multi-Asset|217.5|41.17|FTXR| First Trust Nasdaq Transportation ETF| 18.93%| North America|Multi-Asset|Hedge Fund||FVC|6|4.ASSET|Multi-Asset|217.5|41.06|FXD| First Trust Consumer Discretionary AlphaDEX Fund| 18.88%| North America|Multi-Asset|Hedge Fund||FVC|6|5.ASSET|Multi-Asset|217.5|38.67|QTEC| First Trust NASDAQ-100 Technology Sector Index Fund| 17.78%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|1.ASSET|Bond|198.2|16.09|N/A| Germany 0.0% 15-AUG-2026| 8.12%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|2.ASSET|Bond|198.2|12.45|N/A| Japan 1.0% 20-DEC-2035| 6.28%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|3.ASSET|Bond|198.2|11.5|N/A| Japan 0.1% 20-DEC-2024| 5.80%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|4.ASSET|Bond|198.2|9.75|N/A| Germany 0.0% 18-OCT-2024| 4.92%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|5.ASSET|Bond|198.2|9.59|N/A| Development Bank of Japan 2.3% 19-MAR-2026| 4.84%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|6.ASSET|Bond|198.2|9.34|N/A| Federal Home Loan Bank System 0.0% 03-MAR-2022| 4.71%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|7.ASSET|Bond|198.2|7.45|N/A| UK Treasury Stock 4.75% 07-DEC-2030| 3.76%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|8.ASSET|Bond|198.2|6.58|N/A| Belgium 1.0% 22-JUN-2031| 3.32%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|9.ASSET|Bond|198.2|4.32|N/A| Japan 0.4% 20-DEC-2049| 2.18%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|10.ASSET|Bond|198.2|4.32|N/A| Italy 1.25% 01-DEC-2026| 2.18%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|11.ASSET|Bond|198.2|4.24|N/A| Spain 1.25% 31-OCT-2030| 2.14%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|12.ASSET|Bond|198.2|4.12|N/A| China Development Bank 3.43% 14-JAN-2027| 2.08%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|13.ASSET|Bond|198.2|4.08|N/A| Spain 0.0% 31-JAN-2025| 2.06%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|14.ASSET|Bond|198.2|4.06|N/A| Government of China 2.85% 04-JUN-2027| 2.05%| Developed Markets|Bond|International Government Bonds|International Treasury|FLIA|6|15.ASSET|Bond|198.2|4.06|N/A| Germany 4.25% 04-JUL-2039| 2.05%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|1.ASSET|Bond|306.3|26|N/A| U.S. Dollar| 8.49%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|2.ASSET|Bond|306.3|5.85|N/A| UMBS TBA 10yr 11.5% December Delivery 2.000% 01-NOV-2051| 1.91%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|3.ASSET|Bond|306.3|2.7|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 0.88%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|4.ASSET|Bond|306.3|2.27|N/A| GNMA TBA 30yr 10% January Delivery 2.000% 01-OCT-2051| 0.74%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|5.ASSET|Bond|306.3|1.72|N/A| GNMA II 15yr Generic 7.5% 1993 2.000% 01-NOV-2036| 0.56%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|6.ASSET|Bond|306.3|1.68|N/A| GNMA TBA 30yr 10.5% January Delivery 2.500% 01-SEP-2051| 0.55%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|7.ASSET|Bond|306.3|1.5|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 0.49%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|8.ASSET|Bond|306.3|1.35|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 0.44%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|9.ASSET|Bond|306.3|1.32|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 0.43%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|10.ASSET|Bond|306.3|1.29|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 0.42%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|11.ASSET|Bond|306.3|1.26|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 0.41%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|12.ASSET|Bond|306.3|1.19|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 0.39%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|13.ASSET|Bond|306.3|1.16|N/A| United States Treasury Notes 0.375% 31-JAN-2026| 0.38%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|14.ASSET|Bond|306.3|1.13|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 0.37%| North America|Bond|Total Bond Market|Total Bond Market|AGZD|6|15.ASSET|Bond|306.3|1.13|N/A| United States Treasury Notes 1.375% 31-JAN-2025| 0.37%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|1.ASSET|Equity|115|11.73|AMGN| Amgen Inc.| 10.20%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|2.ASSET|Equity|115|8.13|N/A| U.S. Dollar| 7.07%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|3.ASSET|Equity|115|7.76|GILD| Gilead Sciences, Inc.| 6.75%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|4.ASSET|Equity|115|6.59|REGN| Regeneron Pharmaceuticals, Inc.| 5.73%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|5.ASSET|Equity|115|6.03|VRTX| Vertex Pharmaceuticals Incorporated| 5.24%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|6.ASSET|Equity|115|5.3|ILMN| Illumina, Inc.| 4.61%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|7.ASSET|Equity|115|4.39|MRNA| Moderna, Inc.| 3.82%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|8.ASSET|Equity|115|3.82|AZN| Astrazeneca PLC Sponsored ADR| 3.32%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|9.ASSET|Equity|115|3.17|BIIB| Biogen Inc.| 2.76%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|10.ASSET|Equity|115|2.43|SGEN| Seagen, Inc.| 2.11%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|11.ASSET|Equity|115|2.27|HZNP| Horizon Therapeutics Public Limited Company| 1.97%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|12.ASSET|Equity|115|2|ALNY| Alnylam Pharmaceuticals, Inc| 1.74%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|13.ASSET|Equity|115|1.71|RPRX| Royalty Pharma Plc Class A| 1.49%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|14.ASSET|Equity|115|1.55|INCY| Incyte Corporation| 1.35%| North America|Equity|Leveraged Equities|Healthcare|BIB|6|15.ASSET|Equity|115|1.46|BMRN| BioMarin Pharmaceutical Inc.| 1.27%| North America|Equity|Volatility Hedged Equity||SMLV|6|1.ASSET|Equity|210.6|3.75|EQC| Equity Commonwealth| 1.78%| North America|Equity|Volatility Hedged Equity||SMLV|6|2.ASSET|Equity|210.6|1.68|HE| Hawaiian Electric Industries, Inc.| 0.80%| North America|Equity|Volatility Hedged Equity||SMLV|6|3.ASSET|Equity|210.6|1.52|NSA| National Storage Affiliates Trust| 0.72%| North America|Equity|Volatility Hedged Equity||SMLV|6|4.ASSET|Equity|210.6|1.47|TRNO| Terreno Realty Corporation| 0.70%| North America|Equity|Volatility Hedged Equity||SMLV|6|5.ASSET|Equity|210.6|1.45|ANAT| American National Group, Inc.| 0.69%| North America|Equity|Volatility Hedged Equity||SMLV|6|6.ASSET|Equity|210.6|1.37|POR| Portland General Electric Company| 0.65%| North America|Equity|Volatility Hedged Equity||SMLV|6|7.ASSET|Equity|210.6|1.35|BKH| Black Hills Corporation| 0.64%| North America|Equity|Volatility Hedged Equity||SMLV|6|8.ASSET|Equity|210.6|1.33|MGEE| MGE Energy, Inc.| 0.63%| North America|Equity|Volatility Hedged Equity||SMLV|6|9.ASSET|Equity|210.6|1.31|IDA| IDACORP, Inc.| 0.62%| North America|Equity|Volatility Hedged Equity||SMLV|6|10.ASSET|Equity|210.6|1.31|PSB| PS Business Parks, Inc.| 0.62%| North America|Equity|Volatility Hedged Equity||SMLV|6|11.ASSET|Equity|210.6|1.31|HLI| Houlihan Lokey, Inc. Class A| 0.62%| North America|Equity|Volatility Hedged Equity||SMLV|6|12.ASSET|Equity|210.6|1.28|OGS| ONE Gas, Inc.| 0.61%| North America|Equity|Volatility Hedged Equity||SMLV|6|13.ASSET|Equity|210.6|1.28|LXP| LXP Industrial Trust| 0.61%| North America|Equity|Volatility Hedged Equity||SMLV|6|14.ASSET|Equity|210.6|1.26|NFG| National Fuel Gas Company| 0.60%| North America|Equity|Volatility Hedged Equity||SMLV|6|15.ASSET|Equity|210.6|1.26|SBR| Sabine Royalty Trust| 0.60%| North America|Equity|Large Cap Value Equities||VALQ|6|1.ASSET|Equity|216.3|6.64|LMT| Lockheed Martin Corporation| 3.07%| North America|Equity|Large Cap Value Equities||VALQ|6|2.ASSET|Equity|216.3|5.54|INTC| Intel Corporation| 2.56%| North America|Equity|Large Cap Value Equities||VALQ|6|3.ASSET|Equity|216.3|4.97|CVX| Chevron Corporation| 2.30%| North America|Equity|Large Cap Value Equities||VALQ|6|4.ASSET|Equity|216.3|4.89|PFE| Pfizer Inc.| 2.26%| North America|Equity|Large Cap Value Equities||VALQ|6|5.ASSET|Equity|216.3|4.56|XOM| Exxon Mobil Corporation| 2.11%| North America|Equity|Large Cap Value Equities||VALQ|6|6.ASSET|Equity|216.3|4.48|WBA| Walgreens Boots Alliance Inc| 2.07%| North America|Equity|Large Cap Value Equities||VALQ|6|7.ASSET|Equity|216.3|4.39|JNJ| Johnson & Johnson| 2.03%| North America|Equity|Large Cap Value Equities||VALQ|6|8.ASSET|Equity|216.3|4.3|VZ| Verizon Communications Inc.| 1.99%| North America|Equity|Large Cap Value Equities||VALQ|6|9.ASSET|Equity|216.3|4.3|GILD| Gilead Sciences, Inc.| 1.99%| North America|Equity|Large Cap Value Equities||VALQ|6|10.ASSET|Equity|216.3|4.13|AMGN| Amgen Inc.| 1.91%| North America|Equity|Large Cap Value Equities||VALQ|6|11.ASSET|Equity|216.3|3.89|PG| Procter & Gamble Company| 1.80%| North America|Equity|Large Cap Value Equities||VALQ|6|12.ASSET|Equity|216.3|3.66|AVGO| Broadcom Inc.| 1.69%| North America|Equity|Large Cap Value Equities||VALQ|6|13.ASSET|Equity|216.3|3.63|MRK| Merck & Co., Inc.| 1.68%| North America|Equity|Large Cap Value Equities||VALQ|6|14.ASSET|Equity|216.3|3.55|DOW| Dow, Inc.| 1.64%| North America|Equity|Large Cap Value Equities||VALQ|6|15.ASSET|Equity|216.3|3.55|NEM| Newmont Corporation| 1.64%| North America|Equity|Small Cap Value Equities||FYT|6|1.ASSET|Equity|265.8|2.47|REGI| Renewable Energy Group, Inc.| 0.93%| North America|Equity|Small Cap Value Equities||FYT|6|2.ASSET|Equity|265.8|2.18|AMCX| AMC Networks Inc. Class A| 0.82%| North America|Equity|Small Cap Value Equities||FYT|6|3.ASSET|Equity|265.8|2.13|TGNA| TEGNA, Inc.| 0.80%| North America|Equity|Small Cap Value Equities||FYT|6|4.ASSET|Equity|265.8|2.13|COOP| Mr. Cooper Group, Inc.| 0.80%| North America|Equity|Small Cap Value Equities||FYT|6|5.ASSET|Equity|265.8|2.1|CNR| Cornerstone Building Brands Inc| 0.79%| North America|Equity|Small Cap Value Equities||FYT|6|6.ASSET|Equity|265.8|2.1|GTN| Gray Television, Inc.| 0.79%| North America|Equity|Small Cap Value Equities||FYT|6|7.ASSET|Equity|265.8|2.02|BCC| Boise Cascade Co.| 0.76%| North America|Equity|Small Cap Value Equities||FYT|6|8.ASSET|Equity|265.8|1.99|MTOR| Meritor, Inc.| 0.75%| North America|Equity|Small Cap Value Equities||FYT|6|9.ASSET|Equity|265.8|1.91|RLGY| Realogy Holdings Corp.| 0.72%| North America|Equity|Small Cap Value Equities||FYT|6|10.ASSET|Equity|265.8|1.91|SAH| Sonic Automotive, Inc. Class A| 0.72%| North America|Equity|Small Cap Value Equities||FYT|6|11.ASSET|Equity|265.8|1.89|WOR| Worthington Industries, Inc.| 0.71%| North America|Equity|Small Cap Value Equities||FYT|6|12.ASSET|Equity|265.8|1.89|ATSG| Air Transport Services Group, Inc.| 0.71%| North America|Equity|Small Cap Value Equities||FYT|6|13.ASSET|Equity|265.8|1.89|RIG| Transocean Ltd.| 0.71%| North America|Equity|Small Cap Value Equities||FYT|6|14.ASSET|Equity|265.8|1.86|OAS| Oasis Petroleum Inc| 0.70%| North America|Equity|Small Cap Value Equities||FYT|6|15.ASSET|Equity|265.8|1.83|ECPG| Encore Capital Group, Inc.| 0.69%| North America|Equity|Volatility Hedged Equity||PJUL|6|1.ASSET|Equity|165.9|165.45|N/A| OPTIONS| 99.73%| North America|Equity|Volatility Hedged Equity||PJUL|6|2.ASSET|Equity|165.9|165.44|N/A| OPTIONS| 99.72%| North America|Equity|Volatility Hedged Equity||PJUL|6|3.ASSET|Equity|165.9|0.46|N/A| U.S. Dollar| 0.28%| North America|Equity|Volatility Hedged Equity||PJUL|6|4.ASSET|Equity|165.9|0.45|N/A| U.S. Dollar| 0.27%| North America|Equity|Leveraged Equities||QID|6|1.ASSET|Equity|369.6|224.9|N/A| U.S. Dollar| 60.85%| North America|Equity|Leveraged Equities||QID|6|2.ASSET|Equity|369.6|224.64|N/A| U.S. Dollar| 60.78%| North America|Equity|Leveraged Equities||QID|6|3.ASSET|Equity|369.6|45.61|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 12.34%| North America|Equity|Leveraged Equities||QID|6|4.ASSET|Equity|369.6|45.5|N/A| United States Treasury Bills 0.0% 08-SEP-2022| 12.31%| North America|Equity|Leveraged Equities||QID|6|5.ASSET|Equity|369.6|30.49|N/A| United States Treasury Bills 0.0% 12-APR-2022| 8.25%| North America|Equity|Leveraged Equities||QID|6|6.ASSET|Equity|369.6|30.42|N/A| United States Treasury Bills 0.0% 12-APR-2022| 8.23%| North America|Equity|Leveraged Equities||QID|6|7.ASSET|Equity|369.6|15.23|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 4.12%| North America|Equity|Leveraged Equities||QID|6|8.ASSET|Equity|369.6|15.23|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 4.12%| North America|Equity|Leveraged Equities||QID|6|9.ASSET|Equity|369.6|15.23|N/A| United States Treasury Bills 0.0% 21-APR-2022| 4.12%| North America|Equity|Leveraged Equities||QID|6|10.ASSET|Equity|369.6|15.23|N/A| United States Treasury Bills 0.0% 21-APR-2022| 4.12%| North America|Equity|Leveraged Equities||QID|6|11.ASSET|Equity|369.6|15.23|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 4.12%| North America|Equity|Leveraged Equities||QID|6|12.ASSET|Equity|369.6|15.23|N/A| United States Treasury Bills 0.0% 24-MAR-2022| 4.12%| North America|Equity|Leveraged Equities||QID|6|13.ASSET|Equity|369.6|6.69|N/A| United States Treasury Bills 0.0% 05-APR-2022| 1.81%| North America|Equity|Leveraged Equities||QID|6|14.ASSET|Equity|369.6|6.69|N/A| United States Treasury Bills 0.0% 05-APR-2022| 1.81%| North America|Equity|Leveraged Equities||QID|6|15.ASSET|Equity|369.6|6.1|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 1.65%| North America|Equity|Large Cap Growth Equities||FQAL|6|1.ASSET|Equity|257.9|17.46|AAPL| Apple Inc.| 6.77%| North America|Equity|Large Cap Growth Equities||FQAL|6|2.ASSET|Equity|257.9|15.45|MSFT| Microsoft Corporation| 5.99%| North America|Equity|Large Cap Growth Equities||FQAL|6|3.ASSET|Equity|257.9|10.65|GOOGL| Alphabet Inc. Class A| 4.13%| North America|Equity|Large Cap Growth Equities||FQAL|6|4.ASSET|Equity|257.9|5.42|BRK.B| Berkshire Hathaway Inc. Class B| 2.10%| North America|Equity|Large Cap Growth Equities||FQAL|6|5.ASSET|Equity|257.9|5.21|NVDA| NVIDIA Corporation| 2.02%| North America|Equity|Large Cap Growth Equities||FQAL|6|6.ASSET|Equity|257.9|4.85|UNH| UnitedHealth Group Incorporated| 1.88%| North America|Equity|Large Cap Growth Equities||FQAL|6|7.ASSET|Equity|257.9|4.69|JNJ| Johnson & Johnson| 1.82%| North America|Equity|Large Cap Growth Equities||FQAL|6|8.ASSET|Equity|257.9|3.82|ABBV| AbbVie, Inc.| 1.48%| North America|Equity|Large Cap Growth Equities||FQAL|6|9.ASSET|Equity|257.9|3.82|FB| Meta Platforms Inc. Class A| 1.48%| North America|Equity|Large Cap Growth Equities||FQAL|6|10.ASSET|Equity|257.9|3.79|HD| Home Depot, Inc.| 1.47%| North America|Equity|Large Cap Growth Equities||FQAL|6|11.ASSET|Equity|257.9|3.61|V| Visa Inc. Class A| 1.40%| North America|Equity|Large Cap Growth Equities||FQAL|6|12.ASSET|Equity|257.9|3.4|PG| Procter & Gamble Company| 1.32%| North America|Equity|Large Cap Growth Equities||FQAL|6|13.ASSET|Equity|257.9|3.4|PFE| Pfizer Inc.| 1.32%| North America|Equity|Large Cap Growth Equities||FQAL|6|14.ASSET|Equity|257.9|3.25|MA| Mastercard Incorporated Class A| 1.26%| North America|Equity|Large Cap Growth Equities||FQAL|6|15.ASSET|Equity|257.9|2.99|AVGO| Broadcom Inc.| 1.16%| Emerging Markets|Equity|Leveraged Equities||EDC|6|1.ASSET|Equity|126.7|48.51|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 38.29%| Emerging Markets|Equity|Leveraged Equities||EDC|6|2.ASSET|Equity|126.7|37.22|N/A| U.S. Dollar| 29.38%| Emerging Markets|Equity|Leveraged Equities||EDC|6|3.ASSET|Equity|126.7|24|DGCXX| Dreyfus Government Cash Management Funds Institutional| 18.94%| Emerging Markets|Equity|Leveraged Equities||EDC|6|4.ASSET|Equity|126.7|9.64|EEM| iShares MSCI Emerging Markets ETF| 7.61%| Emerging Markets|Equity|Leveraged Equities||EDC|6|5.ASSET|Equity|126.7|7.32|N/A| MUTUAL FUND (OTHER)| 5.78%| Emerging Markets|Equity|Leveraged Equities||EDC|6|6.ASSET|Equity|126.7|0|MTSXX| Morgan Stanley Institutional Liquidity Funds Treasury Portfolio Service| 0.00%| North America|Bond|National Munis|Municipal Bond|HMOP|6|1.ASSET|Bond|255|41.54|N/A| U.S. Dollar| 16.29%| North America|Bond|National Munis|Municipal Bond|HMOP|6|2.ASSET|Bond|255|5.64|N/A| MUNICIPAL BONDS| 2.21%| North America|Bond|National Munis|Municipal Bond|HMOP|6|3.ASSET|Bond|255|5.07|N/A| West Palm Beach Fla Util Sys Rev VAR 01-OCT-2038| 1.99%| North America|Bond|National Munis|Municipal Bond|HMOP|6|4.ASSET|Bond|255|4.56|N/A| Los Angeles Calif Dept Wtr & Pwr Rev VAR 01-JUL-2050| 1.79%| North America|Bond|National Munis|Municipal Bond|HMOP|6|5.ASSET|Bond|255|4.56|N/A| San Diego Cnty Calif Regl Transn Commn Sales Taxrev VAR 01-APR-2038| 1.79%| North America|Bond|National Munis|Municipal Bond|HMOP|6|6.ASSET|Bond|255|2.37|N/A| Clark Cnty Nev Sch Dist 5.0% 15-JUN-2026| 0.93%| North America|Bond|National Munis|Municipal Bond|HMOP|6|7.ASSET|Bond|255|2.3|N/A| Georgia St 5.0% 01-AUG-2024| 0.90%| North America|Bond|National Munis|Municipal Bond|HMOP|6|8.ASSET|Bond|255|2.19|N/A| New York St Dorm Auth Sales Tax Rev St Supporteddebt 5.0% 15-MAR-2036| 0.86%| North America|Bond|National Munis|Municipal Bond|HMOP|6|9.ASSET|Bond|255|2.12|N/A| New York N Y City Transitional Fin Auth Rev 4.0% 01-FEB-2038| 0.83%| North America|Bond|National Munis|Municipal Bond|HMOP|6|10.ASSET|Bond|255|2.04|N/A| Los Angeles Calif Dept Wtr & Pwr Rev 5.0% 01-JUL-2025| 0.80%| North America|Bond|National Munis|Municipal Bond|HMOP|6|11.ASSET|Bond|255|1.96|N/A| Nebraska Invt Fin Auth Single Family Hsg Rev 3.0% 01-SEP-2050| 0.77%| North America|Bond|National Munis|Municipal Bond|HMOP|6|12.ASSET|Bond|255|1.86|N/A| Missouri St Hsg Dev Commn Single Family Mtg Rev 3.25% 01-MAY-2051| 0.73%| North America|Bond|National Munis|Municipal Bond|HMOP|6|13.ASSET|Bond|255|1.86|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 3.0% 15-JUN-2040| 0.73%| North America|Bond|National Munis|Municipal Bond|HMOP|6|14.ASSET|Bond|255|1.86|N/A| New York St Dorm Auth St Pers Income Tax Rev 3.0% 15-MAR-2041| 0.73%| North America|Bond|National Munis|Municipal Bond|HMOP|6|15.ASSET|Bond|255|1.76|N/A| Texas Transn Commn St Hwy Fd Rev 0.43% 01-APR-2025| 0.69%| North America|Equity|Large Cap Growth Equities||JMOM|6|1.ASSET|Equity|247.6|5.5|AAPL| Apple Inc.| 2.22%| North America|Equity|Large Cap Growth Equities||JMOM|6|2.ASSET|Equity|247.6|5.08|GOOGL| Alphabet Inc. Class A| 2.05%| North America|Equity|Large Cap Growth Equities||JMOM|6|3.ASSET|Equity|247.6|4.98|MSFT| Microsoft Corporation| 2.01%| North America|Equity|Large Cap Growth Equities||JMOM|6|4.ASSET|Equity|247.6|4.63|TSLA| Tesla Inc| 1.87%| North America|Equity|Large Cap Growth Equities||JMOM|6|5.ASSET|Equity|247.6|4.23|NVDA| NVIDIA Corporation| 1.71%| North America|Equity|Large Cap Growth Equities||JMOM|6|6.ASSET|Equity|247.6|4.23|HD| Home Depot, Inc.| 1.71%| North America|Equity|Large Cap Growth Equities||JMOM|6|7.ASSET|Equity|247.6|3.47|PG| Procter & Gamble Company| 1.40%| North America|Equity|Large Cap Growth Equities||JMOM|6|8.ASSET|Equity|247.6|3.19|AVGO| Broadcom Inc.| 1.29%| North America|Equity|Large Cap Growth Equities||JMOM|6|9.ASSET|Equity|247.6|3.17|COST| Costco Wholesale Corporation| 1.28%| North America|Equity|Large Cap Growth Equities||JMOM|6|10.ASSET|Equity|247.6|2.95|ADBE| Adobe Inc.| 1.19%| North America|Equity|Large Cap Growth Equities||JMOM|6|11.ASSET|Equity|247.6|2.9|LLY| Eli Lilly and Company| 1.17%| North America|Equity|Large Cap Growth Equities||JMOM|6|12.ASSET|Equity|247.6|2.85|TMO| Thermo Fisher Scientific Inc.| 1.15%| North America|Equity|Large Cap Growth Equities||JMOM|6|13.ASSET|Equity|247.6|2.75|ACN| Accenture Plc Class A| 1.11%| North America|Equity|Large Cap Growth Equities||JMOM|6|14.ASSET|Equity|247.6|2.7|UNH| UnitedHealth Group Incorporated| 1.09%| North America|Equity|Large Cap Growth Equities||JMOM|6|15.ASSET|Equity|247.6|2.43|DHR| Danaher Corporation| 0.98%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|1.ASSET|Equity|209.3|39.16|AMZN| Amazon.com, Inc.| 18.71%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|2.ASSET|Equity|209.3|27.08|HD| Home Depot, Inc.| 12.94%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|3.ASSET|Equity|209.3|11.45|CVS| CVS Health Corporation| 5.47%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|4.ASSET|Equity|209.3|11.3|COST| Costco Wholesale Corporation| 5.40%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|5.ASSET|Equity|209.3|11.26|WMT| Walmart Inc.| 5.38%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|6.ASSET|Equity|209.3|10.11|LOW| Lowe\'s Companies, Inc.| 4.83%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|7.ASSET|Equity|209.3|9.59|TGT| Target Corporation| 4.58%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|8.ASSET|Equity|209.3|9.36|JD| JD.com, Inc. Sponsored ADR Class A| 4.47%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|9.ASSET|Equity|209.3|9.08|TJX| TJX Companies Inc| 4.34%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|10.ASSET|Equity|209.3|7.62|ORLY| O\'Reilly Automotive, Inc.| 3.64%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|11.ASSET|Equity|209.3|7.03|SYY| Sysco Corporation| 3.36%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|12.ASSET|Equity|209.3|6.66|MCK| McKesson Corporation| 3.18%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|13.ASSET|Equity|209.3|6.47|DG| Dollar General Corporation| 3.09%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|14.ASSET|Equity|209.3|6.3|AZO| AutoZone, Inc.| 3.01%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|RTH|6|15.ASSET|Equity|209.3|5.11|WBA| Walgreens Boots Alliance Inc| 2.44%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|1.ASSET|Equity|183|9.2|AAPL| Apple Inc.| 5.03%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|2.ASSET|Equity|183|7.19|MSFT| Microsoft Corporation| 3.93%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|3.ASSET|Equity|183|4.72|AMZN| Amazon.com, Inc.| 2.58%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|4.ASSET|Equity|183|2.75|GOOGL| Alphabet Inc. Class A| 1.50%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|5.ASSET|Equity|183|2.62|GOOG| Alphabet Inc. Class C| 1.43%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|6.ASSET|Equity|183|2.47|TSLA| Tesla Inc| 1.35%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|7.ASSET|Equity|183|2.05|NVDA| NVIDIA Corporation| 1.12%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|8.ASSET|Equity|183|1.7|FB| Meta Platforms Inc. Class A| 0.93%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|9.ASSET|Equity|183|1.52|UNH| UnitedHealth Group Incorporated| 0.83%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|10.ASSET|Equity|183|1.46|JNJ| Johnson & Johnson| 0.80%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|11.ASSET|Equity|183|1.45|BRK.B| Berkshire Hathaway Inc. Class B| 0.79%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|12.ASSET|Equity|183|1.43|JPM| JPMorgan Chase & Co.| 0.78%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|13.ASSET|Equity|183|1.28|PG| Procter & Gamble Company| 0.70%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|14.ASSET|Equity|183|1.24|NESN| Nestle S.A.| 0.68%| Developed Markets|Equity|Large Cap Growth Equities||TOK|6|15.ASSET|Equity|183|1.23|V| Visa Inc. Class A| 0.67%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|1.ASSET|Equity|134.7|12.42|2269| Wuxi Biologics (Cayman) Inc.| 9.22%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|2.ASSET|Equity|134.7|8.57|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 6.36%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|3.ASSET|Equity|134.7|5.82|603259| WuXi AppTec Co., Ltd. Class A| 4.32%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|4.ASSET|Equity|134.7|5.68|600276| Jiangsu Hengrui Pharmaceuticals Co., Ltd. Class A| 4.22%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|5.ASSET|Equity|134.7|4.73|600436| Zhangzhou Pientzehuang Pharmaceutical Co., Ltd. Class A| 3.51%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|6.ASSET|Equity|134.7|4.65|1093| CSPC Pharmaceutical Group Limited| 3.45%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|7.ASSET|Equity|134.7|4.63|BGNE| BeiGene, Ltd. Sponsored ADR| 3.44%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|8.ASSET|Equity|134.7|4.36|300122| Chongqing Zhifei Biological Products Co., Ltd. Class A| 3.24%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|9.ASSET|Equity|134.7|4.2|300015| Aier Eye Hospital Group Co., Ltd. Class A| 3.12%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|10.ASSET|Equity|134.7|2.92|1177| Sino Biopharmaceutical Limited| 2.17%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|11.ASSET|Equity|134.7|2.55|000538| Yunnan Baiyao Group Co. Ltd. Class A| 1.89%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|12.ASSET|Equity|134.7|2.34|1801| Innovent Biologics, Inc.| 1.74%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|13.ASSET|Equity|134.7|2.32|2359| WuXi AppTec Co., Ltd. Class H| 1.72%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|14.ASSET|Equity|134.7|2.3|300896| IMEIK Technology Development Co., Ltd. Class A| 1.71%| Emerging Asia Pacific|Equity|China Equities|Healthcare|KURE|6|15.ASSET|Equity|134.7|2.26|603392| Beijing Wantai Biological Pharmacy Enterprise Co. Ltd. Class A| 1.68%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|1.ASSET|Equity|218.3|6.48|9941| Yulon Finance Corporation| 2.97%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|2.ASSET|Equity|218.3|6.09|3023| SINBON Electronics Co., Ltd.| 2.79%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|3.ASSET|Equity|218.3|5.7|1268| China MeiDong Auto Holdings Ltd.| 2.61%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|4.ASSET|Equity|218.3|5.46|6531| AP Memory Technology Corp.| 2.50%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|5.ASSET|Equity|218.3|5.33|8046| Nan Ya Printed Circuit Board Corporation| 2.44%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|6.ASSET|Equity|218.3|5.24|2345| Accton Technology Corp.| 2.40%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|7.ASSET|Equity|218.3|5.15|COM7.R| Com7 Public Company Limited NVDR| 2.36%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|8.ASSET|Equity|218.3|4.87|2609| Yang Ming Marine Transport Corp.| 2.23%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|9.ASSET|Equity|218.3|4.76|IMP| Impala Platinum Holdings Limited| 2.18%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|10.ASSET|Equity|218.3|4.72|5434| Topco Scientific Co., Ltd.| 2.16%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|11.ASSET|Equity|218.3|4.63|0128| Frontken Corp. Bhd.| 2.12%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|12.ASSET|Equity|218.3|4.32|6409| Voltronic Power Technology Corp.| 1.98%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|13.ASSET|Equity|218.3|4.32|2383| Elite Material Co., Ltd.| 1.98%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|14.ASSET|Equity|218.3|4.1|3037| Unimicron Technology Corp.| 1.88%| Emerging Markets|Equity|Emerging Markets Equities||PIE|6|15.ASSET|Equity|218.3|4.02|2313| Shenzhou International Group Holdings Limited| 1.84%| North America|Equity|Large Cap Growth Equities||FDG|6|1.ASSET|Equity|164.1|14.08|TSLA| Tesla Inc| 8.58%| North America|Equity|Large Cap Growth Equities||FDG|6|2.ASSET|Equity|164.1|12.08|AMZN| Amazon.com, Inc.| 7.36%| North America|Equity|Large Cap Growth Equities||FDG|6|3.ASSET|Equity|164.1|11.08|GOOG| Alphabet Inc. Class C| 6.75%| North America|Equity|Large Cap Growth Equities||FDG|6|4.ASSET|Equity|164.1|8.17|OKTA| Okta, Inc. Class A| 4.98%| North America|Equity|Large Cap Growth Equities||FDG|6|5.ASSET|Equity|164.1|7.42|FB| Meta Platforms Inc. Class A| 4.52%| North America|Equity|Large Cap Growth Equities||FDG|6|6.ASSET|Equity|164.1|6.73|STZ| Constellation Brands, Inc. Class A| 4.10%| North America|Equity|Large Cap Growth Equities||FDG|6|7.ASSET|Equity|164.1|6.43|CRM| salesforce.com, inc.| 3.92%| North America|Equity|Large Cap Growth Equities||FDG|6|8.ASSET|Equity|164.1|6.22|BILL| Bill.com Holdings, Inc.| 3.79%| North America|Equity|Large Cap Growth Equities||FDG|6|9.ASSET|Equity|164.1|6.19|V| Visa Inc. Class A| 3.77%| North America|Equity|Large Cap Growth Equities||FDG|6|10.ASSET|Equity|164.1|6.14|MPWR| Monolithic Power Systems, Inc.| 3.74%| North America|Equity|Large Cap Growth Equities||FDG|6|11.ASSET|Equity|164.1|5.71|ISRG| Intuitive Surgical, Inc.| 3.48%| North America|Equity|Large Cap Growth Equities||FDG|6|12.ASSET|Equity|164.1|5.63|MA| Mastercard Incorporated Class A| 3.43%| North America|Equity|Large Cap Growth Equities||FDG|6|13.ASSET|Equity|164.1|5.45|NFLX| Netflix, Inc.| 3.32%| North America|Equity|Large Cap Growth Equities||FDG|6|14.ASSET|Equity|164.1|5.45|SPGI| S&P Global, Inc.| 3.32%| North America|Equity|Large Cap Growth Equities||FDG|6|15.ASSET|Equity|164.1|5.05|PCTY| Paylocity Holding Corp.| 3.08%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|1.ASSET|Equity|105.6|3.36|F| Ford Motor Company| 3.18%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|2.ASSET|Equity|105.6|3.35|AMC| AMC Entertainment Holdings, Inc. Class A| 3.17%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|3.ASSET|Equity|105.6|3.35|GME| GameStop Corp. Class A| 3.17%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|4.ASSET|Equity|105.6|3.34|MSFT| Microsoft Corporation| 3.16%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|5.ASSET|Equity|105.6|3.29|NVAX| Novavax, Inc.| 3.12%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|6.ASSET|Equity|105.6|3.26|TSLA| Tesla Inc| 3.09%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|7.ASSET|Equity|105.6|3.25|AAPL| Apple Inc.| 3.08%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|8.ASSET|Equity|105.6|3.21|AMZN| Amazon.com, Inc.| 3.04%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|9.ASSET|Equity|105.6|3.16|AMD| Advanced Micro Devices, Inc.| 2.99%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|10.ASSET|Equity|105.6|3.15|NVDA| NVIDIA Corporation| 2.98%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|11.ASSET|Equity|105.6|3.14|NFLX| Netflix, Inc.| 2.97%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|12.ASSET|Equity|105.6|3.14|SOFI| SoFi Technologies Inc| 2.97%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|13.ASSET|Equity|105.6|3.14|GOOGL| Alphabet Inc. Class A| 2.97%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|14.ASSET|Equity|105.6|3.08|SNAP| Snap, Inc. Class A| 2.92%| North America|Equity|Large Cap Growth Equities|Technology|BUZZ|6|15.ASSET|Equity|105.6|3.06|FB| Meta Platforms Inc. Class A| 2.90%| North America|Equity|MLPs|Energy|MLPB|6|1.ASSET|Equity|224|22.67|MPLX| MPLX LP| 10.12%| North America|Equity|MLPs|Energy|MLPB|6|2.ASSET|Equity|224|22.65|MMP| Magellan Midstream Partners LP| 10.11%| North America|Equity|MLPs|Energy|MLPB|6|3.ASSET|Equity|224|22.51|ET| Energy Transfer LP| 10.05%| North America|Equity|MLPs|Energy|MLPB|6|4.ASSET|Equity|224|22.29|EPD| Enterprise Products Partners LP| 9.95%| North America|Equity|MLPs|Energy|MLPB|6|5.ASSET|Equity|224|21.3|PAA| Plains All American Pipeline LP| 9.51%| North America|Equity|MLPs|Energy|MLPB|6|6.ASSET|Equity|224|14.76|PSXP| Phillips 66 Partners LP| 6.59%| North America|Equity|MLPs|Energy|MLPB|6|7.ASSET|Equity|224|14.2|WES| Western Midstream Partners LP| 6.34%| North America|Equity|MLPs|Energy|MLPB|6|8.ASSET|Equity|224|12.7|TCP| TC PipeLines LP| 5.67%| North America|Equity|MLPs|Energy|MLPB|6|9.ASSET|Equity|224|12.41|CQP| Cheniere Energy Partners LP| 5.54%| North America|Equity|MLPs|Energy|MLPB|6|10.ASSET|Equity|224|10.48|SHLX| Shell Midstream Partners LP| 4.68%| North America|Equity|MLPs|Energy|MLPB|6|11.ASSET|Equity|224|9.25|NS| NuStar Energy LP| 4.13%| North America|Equity|MLPs|Energy|MLPB|6|12.ASSET|Equity|224|9.07|DCP| DCP Midstream LP| 4.05%| North America|Equity|MLPs|Energy|MLPB|6|13.ASSET|Equity|224|5.49|CEQP| Crestwood Equity Partners LP| 2.45%| North America|Equity|MLPs|Energy|MLPB|6|14.ASSET|Equity|224|5.38|ENLC| EnLink Midstream LLC| 2.40%| North America|Equity|MLPs|Energy|MLPB|6|15.ASSET|Equity|224|5.08|HEP| Holly Energy Partners LP| 2.27%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|1.ASSET|Equity|214.8|3.57|SAN| Sanofi| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|2.ASSET|Equity|214.8|3.2|FMG| Fortescue Metals Group Ltd| 1.49%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|3.ASSET|Equity|214.8|2.9|EVK| Evonik Industries AG| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|4.ASSET|Equity|214.8|2.77|CSU| Constellation Software Inc.| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|5.ASSET|Equity|214.8|2.66|2914| Japan Tobacco Inc.| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|6.ASSET|Equity|214.8|2.6|OR| L\'Oreal SA| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|7.ASSET|Equity|214.8|2.41|1COV| Covestro AG| 1.12%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|8.ASSET|Equity|214.8|2.36|NN| NN Group N.V.| 1.10%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|9.ASSET|Equity|214.8|2.32|VOD| Vodafone Group Plc| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|10.ASSET|Equity|214.8|2.28|1928| Sekisui House, Ltd.| 1.06%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|11.ASSET|Equity|214.8|2.21|KNIN| Kuehne & Nagel International AG| 1.03%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|12.ASSET|Equity|214.8|2.17|MFC| Manulife Financial Corporation| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|13.ASSET|Equity|214.8|2.15|TEF| Telefonica SA| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|14.ASSET|Equity|214.8|2.15|IMB| Imperial Brands PLC| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||QINT|6|15.ASSET|Equity|214.8|2.11|PGHN| Partners Group Holding AG| 0.98%| North America|Equity|MLPs|Energy|ATMP|6|1.ASSET|Equity|208|19.01|KMP| Kinder Morgan Energy Partners LP| 9.14%| North America|Equity|MLPs|Energy|ATMP|6|2.ASSET|Equity|208|16.31|MMP| Magellan Midstream Partners LP| 7.84%| North America|Equity|MLPs|Energy|ATMP|6|3.ASSET|Equity|208|16.31|PAA| Plains All American Pipeline LP| 7.84%| North America|Equity|MLPs|Energy|ATMP|6|4.ASSET|Equity|208|16.22|EPD| Enterprise Products Partners LP| 7.80%| North America|Equity|MLPs|Energy|ATMP|6|5.ASSET|Equity|208|15.02|ETP| Energy Transfer LP| 7.22%| North America|Equity|MLPs|Energy|ATMP|6|6.ASSET|Equity|208|9.03|KMI| Kinder Morgan Inc| 4.34%| North America|Equity|MLPs|Energy|ATMP|6|7.ASSET|Equity|208|8.55|ENB| Enbridge Inc| 4.11%| North America|Equity|MLPs|Energy|ATMP|6|8.ASSET|Equity|208|8.26|TRP| TC Energy Corp| 3.97%| North America|Equity|MLPs|Energy|ATMP|6|9.ASSET|Equity|208|8.2|ET| Energy Transfer LP| 3.94%| North America|Equity|MLPs|Energy|ATMP|6|10.ASSET|Equity|208|8.09|WMB| Williams Companies Inc| 3.89%| North America|Equity|MLPs|Energy|ATMP|6|11.ASSET|Equity|208|8.07|OKS| ONEOK Partners LP| 3.88%| North America|Equity|MLPs|Energy|ATMP|6|12.ASSET|Equity|208|7.86|OKE| ONEOK Inc| 3.78%| North America|Equity|MLPs|Energy|ATMP|6|13.ASSET|Equity|208|7.78|SE| Spectra Energy LLC| 3.74%| North America|Equity|MLPs|Energy|ATMP|6|14.ASSET|Equity|208|7.53|WPZ| Williams Partners LP (Pre-merger)| 3.62%| North America|Equity|MLPs|Energy|ATMP|6|15.ASSET|Equity|208|6.76|EEP| Enbridge Energy Partners LP| 3.25%| North America|Equity|Large Cap Blend Equities||EQL|6|1.ASSET|Equity|222.6|27.58|XLE| Energy Select Sector SPDR Fund| 12.39%| North America|Equity|Large Cap Blend Equities||EQL|6|2.ASSET|Equity|222.6|20.59|XLP| Consumer Staples Select Sector SPDR Fund| 9.25%| North America|Equity|Large Cap Blend Equities||EQL|6|3.ASSET|Equity|222.6|20.28|XLF| Financial Select Sector SPDR Fund| 9.11%| North America|Equity|Large Cap Blend Equities||EQL|6|4.ASSET|Equity|222.6|20.19|XLI| Industrial Select Sector SPDR Fund| 9.07%| North America|Equity|Large Cap Blend Equities||EQL|6|5.ASSET|Equity|222.6|20.03|XLU| Utilities Select Sector SPDR Fund| 9.00%| North America|Equity|Large Cap Blend Equities||EQL|6|6.ASSET|Equity|222.6|19.57|XLV| Health Care Select Sector SPDR Fund| 8.79%| North America|Equity|Large Cap Blend Equities||EQL|6|7.ASSET|Equity|222.6|19.54|XLB| Materials Select Sector SPDR Fund| 8.78%| North America|Equity|Large Cap Blend Equities||EQL|6|8.ASSET|Equity|222.6|18.9|XLK| Technology Select Sector SPDR Fund| 8.49%| North America|Equity|Large Cap Blend Equities||EQL|6|9.ASSET|Equity|222.6|18.81|XLRE| Real Estate Select Sector SPDR Fund| 8.45%| North America|Equity|Large Cap Blend Equities||EQL|6|10.ASSET|Equity|222.6|18.79|XLY| Consumer Discretionary Select Sector SPDR Fund| 8.44%| North America|Equity|Large Cap Blend Equities||EQL|6|11.ASSET|Equity|222.6|18.34|XLC| Communication Services Select Sector SPDR Fund| 8.24%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|1.ASSET|Equity|198.2|2.64|ARX| ARC Resources Ltd.| 1.33%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|2.ASSET|Equity|198.2|1.94|LIGHT| Signify NV| 0.98%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|3.ASSET|Equity|198.2|1.72|ASRNL| ASR Nederland NV| 0.87%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|4.ASSET|Equity|198.2|1.7|BESI| BE Semiconductor Industries N.V.| 0.86%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|5.ASSET|Equity|198.2|1.61|TECN| Tecan Group AG| 0.81%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|6.ASSET|Equity|198.2|1.45|BEAN| BELIMO Holding AG| 0.73%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|7.ASSET|Equity|198.2|1.45|WCP| Whitecap Resources Inc.| 0.73%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|8.ASSET|Equity|198.2|1.43|FTT| Finning International Inc.| 0.72%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|9.ASSET|Equity|198.2|1.31|CPG| Crescent Point Energy Corp.| 0.66%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|10.ASSET|Equity|198.2|1.27|RMG| Royal Mail plc| 0.64%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|11.ASSET|Equity|198.2|1.25|JBH| JB Hi-Fi Limited| 0.63%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|12.ASSET|Equity|198.2|1.19|IGG| IG Group Holdings plc| 0.60%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|13.ASSET|Equity|198.2|1.11|MEG| MEG Energy Corp.| 0.56%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|14.ASSET|Equity|198.2|1.11|EMG| Man Group PLC| 0.56%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||ISCF|6|15.ASSET|Equity|198.2|1.11|INVP| Investec plc| 0.56%| North America|Equity|Leveraged Equities|Energy|DIG|6|1.ASSET|Equity|250.4|58.37|N/A| U.S. Dollar| 23.31%| North America|Equity|Leveraged Equities|Energy|DIG|6|2.ASSET|Equity|250.4|42.57|XOM| Exxon Mobil Corporation| 17.00%| North America|Equity|Leveraged Equities|Energy|DIG|6|3.ASSET|Equity|250.4|37.08|CVX| Chevron Corporation| 14.81%| North America|Equity|Leveraged Equities|Energy|DIG|6|4.ASSET|Equity|250.4|16.15|COP| ConocoPhillips| 6.45%| North America|Equity|Leveraged Equities|Energy|DIG|6|5.ASSET|Equity|250.4|8.51|EOG| EOG Resources, Inc.| 3.40%| North America|Equity|Leveraged Equities|Energy|DIG|6|6.ASSET|Equity|250.4|6.86|SLB| Schlumberger NV| 2.74%| North America|Equity|Leveraged Equities|Energy|DIG|6|7.ASSET|Equity|250.4|6.86|PXD| Pioneer Natural Resources Company| 2.74%| North America|Equity|Leveraged Equities|Energy|DIG|6|8.ASSET|Equity|250.4|5.91|MPC| Marathon Petroleum Corporation| 2.36%| North America|Equity|Leveraged Equities|Energy|DIG|6|9.ASSET|Equity|250.4|5.36|OXY| Occidental Petroleum Corporation| 2.14%| North America|Equity|Leveraged Equities|Energy|DIG|6|10.ASSET|Equity|250.4|4.96|WMB| Williams Companies, Inc.| 1.98%| North America|Equity|Leveraged Equities|Energy|DIG|6|11.ASSET|Equity|250.4|4.61|DVN| Devon Energy Corporation| 1.84%| North America|Equity|Leveraged Equities|Energy|DIG|6|12.ASSET|Equity|250.4|4.61|PSX| Phillips 66| 1.84%| North America|Equity|Leveraged Equities|Energy|DIG|6|13.ASSET|Equity|250.4|4.41|KMI| Kinder Morgan Inc Class P| 1.76%| North America|Equity|Leveraged Equities|Energy|DIG|6|14.ASSET|Equity|250.4|4.26|VLO| Valero Energy Corporation| 1.70%| North America|Equity|Leveraged Equities|Energy|DIG|6|15.ASSET|Equity|250.4|3.93|LNG| Cheniere Energy, Inc.| 1.57%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|1.ASSET|Bond|260.9|13.33|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 5.11%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|2.ASSET|Bond|260.9|12.13|N/A| Government of the United States of America 0.125% 15-APR-2026| 4.65%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|3.ASSET|Bond|260.9|12.11|N/A| United States Treasury Bond 3.875% 15-APR-2029| 4.64%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|4.ASSET|Bond|260.9|11.9|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 4.56%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|5.ASSET|Bond|260.9|11.58|N/A| United States Treasury Bond 2.125% 15-FEB-2041| 4.44%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|6.ASSET|Bond|260.9|11.45|N/A| United States Treasury Notes 0.5% 15-JAN-2028| 4.39%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|7.ASSET|Bond|260.9|11.22|N/A| United States Treasury Bond 2.375% 15-JAN-2025| 4.30%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|8.ASSET|Bond|260.9|11.19|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 4.29%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|9.ASSET|Bond|260.9|11.09|N/A| Government of the United States of America 0.125% 15-OCT-2025| 4.25%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|10.ASSET|Bond|260.9|11.09|N/A| Government of the United States of America 0.75% 15-JUL-2028| 4.25%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|11.ASSET|Bond|260.9|11.01|N/A| United States Treasury Bond 3.625% 15-APR-2028| 4.22%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|12.ASSET|Bond|260.9|10.67|N/A| Government of the United States of America 0.125% 15-OCT-2026| 4.09%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|13.ASSET|Bond|260.9|10.44|N/A| United States Treasury Bond 1.375% 15-FEB-2044| 4.00%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|14.ASSET|Bond|260.9|10.04|N/A| United States Treasury Bond 0.75% 15-FEB-2042| 3.85%| North America|Bond|Inflation-Protected Bonds|TIPS|TIPZ|6|15.ASSET|Bond|260.9|9.94|N/A| United States Treasury Bond 0.75% 15-FEB-2045| 3.81%| North America|Equity|n/a||QVMM|6|1.ASSET|Equity|201.9|1.82|MOH| Molina Healthcare, Inc.| 0.90%| North America|Equity|n/a||QVMM|6|2.ASSET|Equity|201.9|1.64|CPT| Camden Property Trust| 0.81%| North America|Equity|n/a||QVMM|6|3.ASSET|Equity|201.9|1.51|TRGP| Targa Resources Corp.| 0.75%| North America|Equity|n/a||QVMM|6|4.ASSET|Equity|201.9|1.43|BLDR| Builders FirstSource, Inc.| 0.71%| North America|Equity|n/a||QVMM|6|5.ASSET|Equity|201.9|1.41|STLD| Steel Dynamics, Inc.| 0.70%| North America|Equity|n/a||QVMM|6|6.ASSET|Equity|201.9|1.29|FHN| First Horizon Corporation| 0.64%| North America|Equity|n/a||QVMM|6|7.ASSET|Equity|201.9|1.29|DAR| Darling Ingredients Inc.| 0.64%| North America|Equity|n/a||QVMM|6|8.ASSET|Equity|201.9|1.23|WSM| Williams-Sonoma, Inc.| 0.61%| North America|Equity|n/a||QVMM|6|9.ASSET|Equity|201.9|1.21|MPW| Medical Properties Trust, Inc.| 0.60%| North America|Equity|n/a||QVMM|6|10.ASSET|Equity|201.9|1.21|CGNX| Cognex Corporation| 0.60%| North America|Equity|n/a||QVMM|6|11.ASSET|Equity|201.9|1.17|JLL| Jones Lang LaSalle Incorporated| 0.58%| North America|Equity|n/a||QVMM|6|12.ASSET|Equity|201.9|1.17|CSL| Carlisle Companies Incorporated| 0.58%| North America|Equity|n/a||QVMM|6|13.ASSET|Equity|201.9|1.17|RS| Reliance Steel & Aluminum Co.| 0.58%| North America|Equity|n/a||QVMM|6|14.ASSET|Equity|201.9|1.17|EWBC| East West Bancorp, Inc.| 0.58%| North America|Equity|n/a||QVMM|6|15.ASSET|Equity|201.9|1.15|GGG| Graco Inc.| 0.57%| North America|Real Estate|Real Estate|Real Estate|FRI|6|1.ASSET|Real Estate|221.4|20.46|PLD| Prologis, Inc.| 9.24%| North America|Real Estate|Real Estate|Real Estate|FRI|6|2.ASSET|Real Estate|221.4|11.98|EQIX| Equinix, Inc.| 5.41%| North America|Real Estate|Real Estate|Real Estate|FRI|6|3.ASSET|Real Estate|221.4|10.45|PSA| Public Storage| 4.72%| North America|Real Estate|Real Estate|Real Estate|FRI|6|4.ASSET|Real Estate|221.4|8.55|SPG| Simon Property Group, Inc.| 3.86%| North America|Real Estate|Real Estate|Real Estate|FRI|6|5.ASSET|Real Estate|221.4|7.2|DLR| Digital Realty Trust, Inc.| 3.25%| North America|Real Estate|Real Estate|Real Estate|FRI|6|6.ASSET|Real Estate|221.4|7|O| Realty Income Corporation| 3.16%| North America|Real Estate|Real Estate|Real Estate|FRI|6|7.ASSET|Real Estate|221.4|6.89|WELL| Welltower, Inc.| 3.11%| North America|Real Estate|Real Estate|Real Estate|FRI|6|8.ASSET|Real Estate|221.4|6.31|AVB| AvalonBay Communities, Inc.| 2.85%| North America|Real Estate|Real Estate|Real Estate|FRI|6|9.ASSET|Real Estate|221.4|5.47|EQR| Equity Residential| 2.47%| North America|Real Estate|Real Estate|Real Estate|FRI|6|10.ASSET|Real Estate|221.4|5|ARE| Alexandria Real Estate Equities, Inc.| 2.26%| North America|Real Estate|Real Estate|Real Estate|FRI|6|11.ASSET|Real Estate|221.4|4.85|EXR| Extra Space Storage Inc.| 2.19%| North America|Real Estate|Real Estate|Real Estate|FRI|6|12.ASSET|Real Estate|221.4|4.47|MAA| Mid-America Apartment Communities, Inc.| 2.02%| North America|Real Estate|Real Estate|Real Estate|FRI|6|13.ASSET|Real Estate|221.4|4.34|INVH| Invitation Homes, Inc.| 1.96%| North America|Real Estate|Real Estate|Real Estate|FRI|6|14.ASSET|Real Estate|221.4|4.21|VTR| Ventas, Inc.| 1.90%| North America|Real Estate|Real Estate|Real Estate|FRI|6|15.ASSET|Real Estate|221.4|3.99|ESS| Essex Property Trust, Inc.| 1.80%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|1.ASSET|Bond|183.2|8.26|N/A| Japan 0.1% 20-SEP-2024| 4.51%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|2.ASSET|Bond|183.2|7.31|N/A| Government of China 2.36% 02-JUL-2023| 3.99%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|3.ASSET|Bond|183.2|4.91|N/A| Japan 0.1% 20-MAR-2024| 2.68%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|4.ASSET|Bond|183.2|4.73|N/A| Japan 0.1% 20-JUN-2023| 2.58%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|5.ASSET|Bond|183.2|4.03|N/A| Japan 0.6% 20-MAR-2024| 2.20%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|6.ASSET|Bond|183.2|3.92|N/A| Japan 0.1% 20-SEP-2023| 2.14%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|7.ASSET|Bond|183.2|3.21|N/A| Australia 0.25% 21-NOV-2024| 1.75%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|8.ASSET|Bond|183.2|3.13|N/A| Government of South Korea 0.875% 10-DEC-2023| 1.71%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|9.ASSET|Bond|183.2|3.08|N/A| Japan 0.1% 20-DEC-2023| 1.68%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|10.ASSET|Bond|183.2|3.02|N/A| Japan 0.8% 20-JUN-2023| 1.65%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|11.ASSET|Bond|183.2|2.44|N/A| Government of South Korea 1.375% 10-SEP-2024| 1.33%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|12.ASSET|Bond|183.2|2.42|N/A| Japan 0.005% 01-APR-2023| 1.32%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|13.ASSET|Bond|183.2|2.36|N/A| Australia 5.5% 21-APR-2023| 1.29%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|14.ASSET|Bond|183.2|2.34|N/A| Australia 2.75% 21-APR-2024| 1.28%| Developed Markets|Bond|International Government Bonds|International Treasury|BWZ|6|15.ASSET|Bond|183.2|2.2|N/A| Netherlands 2.0% 15-JUL-2024| 1.20%| North America|Equity|n/a||BUFD|6|1.ASSET|Equity|365.5|30.67|DFEB| FT Cboe Vest U.S. Equity Deep Buffer ETF - February| 8.39%| North America|Equity|n/a||BUFD|6|2.ASSET|Equity|365.5|30.56|DMAR| FT Cboe Vest U.S. Equity Deep Buffer ETF - March| 8.36%| North America|Equity|n/a||BUFD|6|3.ASSET|Equity|365.5|30.48|DJAN| FT Cboe Vest U.S. Equity Deep Buffer ETF - January| 8.34%| North America|Equity|n/a||BUFD|6|4.ASSET|Equity|365.5|30.45|DAPR| FT Cboe Vest U.S. Equity Deep Buffer ETF - April| 8.33%| North America|Equity|n/a||BUFD|6|5.ASSET|Equity|365.5|30.45|DMAY| FT Cboe Vest U.S. Equity Deep Buffer ETF - May| 8.33%| North America|Equity|n/a||BUFD|6|6.ASSET|Equity|365.5|30.45|DNOV| FT Cboe Vest U.S. Equity Deep Buffer ETF - November| 8.33%| North America|Equity|n/a||BUFD|6|7.ASSET|Equity|365.5|30.41|DDEC| FT Cboe Vest U.S. Equity Deep Buffer ETF - December| 8.32%| North America|Equity|n/a||BUFD|6|8.ASSET|Equity|365.5|30.41|DOCT| FT Cboe Vest U.S. Equity Deep Buffer ETF - October| 8.32%| North America|Equity|n/a||BUFD|6|9.ASSET|Equity|365.5|30.41|DJUN| FT Cboe Vest U.S. Equity Deep Buffer ETF - June| 8.32%| North America|Equity|n/a||BUFD|6|10.ASSET|Equity|365.5|30.41|DSEP| FT Cboe Vest U.S. Equity Deep Buffer ETF - September| 8.32%| North America|Equity|n/a||BUFD|6|11.ASSET|Equity|365.5|30.41|DAUG| FT Cboe Vest U.S. Equity Deep Buffer ETF - August| 8.32%| North America|Equity|n/a||BUFD|6|12.ASSET|Equity|365.5|30.37|DJUL| FT Cboe Vest U.S. Equity Deep Buffer ETF - July| 8.31%| North America|Equity|n/a||BUFD|6|13.ASSET|Equity|365.5|0.11|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 0.03%| North America|Equity|All Cap Equities||DEUS|6|1.ASSET|Equity|166.2|1.86|HPQ| HP Inc.| 1.12%| North America|Equity|All Cap Equities||DEUS|6|2.ASSET|Equity|166.2|1.26|AZO| AutoZone, Inc.| 0.76%| North America|Equity|All Cap Equities||DEUS|6|3.ASSET|Equity|166.2|1.08|KR| Kroger Co.| 0.65%| North America|Equity|All Cap Equities||DEUS|6|4.ASSET|Equity|166.2|0.93|HPE| Hewlett Packard Enterprise Co.| 0.56%| North America|Equity|All Cap Equities||DEUS|6|5.ASSET|Equity|166.2|0.9|TSCO| Tractor Supply Company| 0.54%| North America|Equity|All Cap Equities||DEUS|6|6.ASSET|Equity|166.2|0.85|BBY| Best Buy Co., Inc.| 0.51%| North America|Equity|All Cap Equities||DEUS|6|7.ASSET|Equity|166.2|0.83|ORLY| O\'Reilly Automotive, Inc.| 0.50%| North America|Equity|All Cap Equities||DEUS|6|8.ASSET|Equity|166.2|0.83|GPC| Genuine Parts Company| 0.50%| North America|Equity|All Cap Equities||DEUS|6|9.ASSET|Equity|166.2|0.83|EBAY| eBay Inc.| 0.50%| North America|Equity|All Cap Equities||DEUS|6|10.ASSET|Equity|166.2|0.81|DOX| Amdocs Limited| 0.49%| North America|Equity|All Cap Equities||DEUS|6|11.ASSET|Equity|166.2|0.78|TSN| Tyson Foods, Inc. Class A| 0.47%| North America|Equity|All Cap Equities||DEUS|6|12.ASSET|Equity|166.2|0.78|SNPS| Synopsys, Inc.| 0.47%| North America|Equity|All Cap Equities||DEUS|6|13.ASSET|Equity|166.2|0.78|CDW| CDW Corp.| 0.47%| North America|Equity|All Cap Equities||DEUS|6|14.ASSET|Equity|166.2|0.76|KLAC| KLA Corporation| 0.46%| North America|Equity|All Cap Equities||DEUS|6|15.ASSET|Equity|166.2|0.76|NTAP| NetApp, Inc.| 0.46%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|1.ASSET|Equity|138.9|7.2|TCOM| Trip.com Group Ltd. Sponsored ADR| 5.18%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|2.ASSET|Equity|138.9|6.81|EXPE| Expedia Group, Inc.| 4.90%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|3.ASSET|Equity|138.9|6.68|GDDY| GoDaddy, Inc. Class A| 4.81%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|4.ASSET|Equity|138.9|6.33|WSM| Williams-Sonoma, Inc.| 4.56%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|5.ASSET|Equity|138.9|6.04|MELI| MercadoLibre, Inc.| 4.35%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|6.ASSET|Equity|138.9|6.03|JD| JD.com, Inc. Sponsored ADR Class A| 4.34%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|7.ASSET|Equity|138.9|5.9|AMZN| Amazon.com, Inc.| 4.25%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|8.ASSET|Equity|138.9|5.83|ETSY| Etsy, Inc.| 4.20%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|9.ASSET|Equity|138.9|5.69|BKNG| Booking Holdings Inc.| 4.10%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|10.ASSET|Equity|138.9|5.58|NTES| NetEase, Inc. Sponsored ADR| 4.02%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|11.ASSET|Equity|138.9|5.49|EBAY| eBay Inc.| 3.95%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|12.ASSET|Equity|138.9|5.33|OCDO| Ocado Group PLC| 3.84%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|13.ASSET|Equity|138.9|5.25|4755| Rakuten Group, Inc.| 3.78%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|14.ASSET|Equity|138.9|5.18|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 3.73%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|EBIZ|6|15.ASSET|Equity|138.9|5.11|CSGP| CoStar Group, Inc.| 3.68%| Global|Commodity|Commodities||CMDY|6|1.ASSET|Commodity|299.5|0|N/A| Cash Component| 0.00%| North America|Equity|Large Cap Growth Equities||ALTL|6|1.ASSET|Equity|514.3|7.56|VZ| Verizon Communications Inc| 1.47%| North America|Equity|Large Cap Growth Equities||ALTL|6|2.ASSET|Equity|514.3|6.69|COST| Costco Wholesale Corp| 1.30%| North America|Equity|Large Cap Growth Equities||ALTL|6|3.ASSET|Equity|514.3|6.33|WMT| Walmart Inc| 1.23%| North America|Equity|Large Cap Growth Equities||ALTL|6|4.ASSET|Equity|514.3|6.27|BMY| Bristol-Myers Squibb Co| 1.22%| North America|Equity|Large Cap Growth Equities||ALTL|6|5.ASSET|Equity|514.3|6.17|DG| Dollar General Corp| 1.20%| North America|Equity|Large Cap Growth Equities||ALTL|6|6.ASSET|Equity|514.3|5.97|JNJ| Johnson & Johnson| 1.16%| North America|Equity|Large Cap Growth Equities||ALTL|6|7.ASSET|Equity|514.3|5.91|CLX| Clorox Co| 1.15%| North America|Equity|Large Cap Growth Equities||ALTL|6|8.ASSET|Equity|514.3|5.91|EXPD| Expeditors International of Washington Inc| 1.15%| North America|Equity|Large Cap Growth Equities||ALTL|6|9.ASSET|Equity|514.3|5.86|CERN| Cerner Corp| 1.14%| North America|Equity|Large Cap Growth Equities||ALTL|6|10.ASSET|Equity|514.3|5.86|CHRW| CH Robinson Worldwide Inc| 1.14%| North America|Equity|Large Cap Growth Equities||ALTL|6|11.ASSET|Equity|514.3|5.81|GIS| General Mills Inc| 1.13%| North America|Equity|Large Cap Growth Equities||ALTL|6|12.ASSET|Equity|514.3|5.76|PSA| Public Storage| 1.12%| North America|Equity|Large Cap Growth Equities||ALTL|6|13.ASSET|Equity|514.3|5.76|HRL| Hormel Foods Corp| 1.12%| North America|Equity|Large Cap Growth Equities||ALTL|6|14.ASSET|Equity|514.3|5.71|CL| Colgate-Palmolive Co| 1.11%| North America|Equity|Large Cap Growth Equities||ALTL|6|15.ASSET|Equity|514.3|5.71|CHTR| Charter Communications Inc| 1.11%| North America|Equity|Small Cap Blend Equities||DGRS|6|1.ASSET|Equity|224.1|5|EPR| EPR Properties| 2.23%| North America|Equity|Small Cap Blend Equities||DGRS|6|2.ASSET|Equity|224.1|4.48|XRX| Xerox Holdings Corporation| 2.00%| North America|Equity|Small Cap Blend Equities||DGRS|6|3.ASSET|Equity|224.1|4.03|APAM| Artisan Partners Asset Management, Inc. Class A| 1.80%| North America|Equity|Small Cap Blend Equities||DGRS|6|4.ASSET|Equity|224.1|3.9|OGS| ONE Gas, Inc.| 1.74%| North America|Equity|Small Cap Blend Equities||DGRS|6|5.ASSET|Equity|224.1|3.88|SR| Spire Inc.| 1.73%| North America|Equity|Small Cap Blend Equities||DGRS|6|6.ASSET|Equity|224.1|3.79|MCY| Mercury General Corporation| 1.69%| North America|Equity|Small Cap Blend Equities||DGRS|6|7.ASSET|Equity|224.1|3.43|MSM| MSC Industrial Direct Co., Inc. Class A| 1.53%| North America|Equity|Small Cap Blend Equities||DGRS|6|8.ASSET|Equity|224.1|3.43|AVA| Avista Corporation| 1.53%| North America|Equity|Small Cap Blend Equities||DGRS|6|9.ASSET|Equity|224.1|3.41|ALE| ALLETE, Inc.| 1.52%| North America|Equity|Small Cap Blend Equities||DGRS|6|10.ASSET|Equity|224.1|3.11|MDC| M.D.C. Holdings, Inc.| 1.39%| North America|Equity|Small Cap Blend Equities||DGRS|6|11.ASSET|Equity|224.1|3.07|RDN| Radian Group Inc.| 1.37%| North America|Equity|Small Cap Blend Equities||DGRS|6|12.ASSET|Equity|224.1|3.07|CATY| Cathay General Bancorp| 1.37%| North America|Equity|Small Cap Blend Equities||DGRS|6|13.ASSET|Equity|224.1|2.96|MC| Moelis & Co. Class A| 1.32%| North America|Equity|Small Cap Blend Equities||DGRS|6|14.ASSET|Equity|224.1|2.87|CBT| Cabot Corporation| 1.28%| North America|Equity|Small Cap Blend Equities||DGRS|6|15.ASSET|Equity|224.1|2.76|FLS| Flowserve Corporation| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|1.ASSET|Equity|194.7|5.53|NESN| Nestle S.A.| 2.84%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|2.ASSET|Equity|194.7|4.24|ROG| Roche Holding Ltd| 2.18%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|3.ASSET|Equity|194.7|4.21|ASML| ASML Holding NV| 2.16%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|4.ASSET|Equity|194.7|3.39|SHEL| Shell PLC| 1.74%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|5.ASSET|Equity|194.7|3.1|7203| Toyota Motor Corp.| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|6.ASSET|Equity|194.7|2.98|AZN| AstraZeneca PLC| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|7.ASSET|Equity|194.7|2.96|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.52%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|8.ASSET|Equity|194.7|2.71|NOVO.B| Novo Nordisk A/S Class B| 1.39%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|9.ASSET|Equity|194.7|2.26|TTE| TotalEnergies SE| 1.16%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|10.ASSET|Equity|194.7|1.99|6758| Sony Group Corporation| 1.02%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|11.ASSET|Equity|194.7|1.97|ULVR| Unilever PLC| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|12.ASSET|Equity|194.7|1.97|1299| AIA Group Limited| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|13.ASSET|Equity|194.7|1.81|SAP| SAP SE| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|14.ASSET|Equity|194.7|1.77|SIE| Siemens AG| 0.91%| Developed Markets|Equity|Foreign Large Cap Equities||IQSI|6|15.ASSET|Equity|194.7|1.75|SAN| Sanofi| 0.90%| North America|Equity|Large Cap Growth Equities||TTAC|6|1.ASSET|Equity|196.5|11.51|AAPL| Apple Inc.| 5.86%| North America|Equity|Large Cap Growth Equities||TTAC|6|2.ASSET|Equity|196.5|7.03|MSFT| Microsoft Corporation| 3.58%| North America|Equity|Large Cap Growth Equities||TTAC|6|3.ASSET|Equity|196.5|4.15|GOOGL| Alphabet Inc. Class A| 2.11%| North America|Equity|Large Cap Growth Equities||TTAC|6|4.ASSET|Equity|196.5|3.36|JPM| JPMorgan Chase & Co.| 1.71%| North America|Equity|Large Cap Growth Equities||TTAC|6|5.ASSET|Equity|196.5|3.28|BRK.B| Berkshire Hathaway Inc. Class B| 1.67%| North America|Equity|Large Cap Growth Equities||TTAC|6|6.ASSET|Equity|196.5|2.93|KO| Coca-Cola Company| 1.49%| North America|Equity|Large Cap Growth Equities||TTAC|6|7.ASSET|Equity|196.5|2.89|ABBV| AbbVie, Inc.| 1.47%| North America|Equity|Large Cap Growth Equities||TTAC|6|8.ASSET|Equity|196.5|2.87|JNJ| Johnson & Johnson| 1.46%| North America|Equity|Large Cap Growth Equities||TTAC|6|9.ASSET|Equity|196.5|2.71|AVGO| Broadcom Inc.| 1.38%| North America|Equity|Large Cap Growth Equities||TTAC|6|10.ASSET|Equity|196.5|2.71|UPS| United Parcel Service, Inc. Class B| 1.38%| North America|Equity|Large Cap Growth Equities||TTAC|6|11.ASSET|Equity|196.5|2.67|CSCO| Cisco Systems, Inc.| 1.36%| North America|Equity|Large Cap Growth Equities||TTAC|6|12.ASSET|Equity|196.5|2.59|UNH| UnitedHealth Group Incorporated| 1.32%| North America|Equity|Large Cap Growth Equities||TTAC|6|13.ASSET|Equity|196.5|2.53|PFE| Pfizer Inc.| 1.29%| North America|Equity|Large Cap Growth Equities||TTAC|6|14.ASSET|Equity|196.5|2.48|PANW| Palo Alto Networks, Inc.| 1.26%| North America|Equity|Large Cap Growth Equities||TTAC|6|15.ASSET|Equity|196.5|2.42|ACN| Accenture Plc Class A| 1.23%| North America|Equity|Financials Equities|Financials|KCE|6|1.ASSET|Equity|186.3|4.73|VIRT| Virtu Financial, Inc. Class A| 2.54%| North America|Equity|Financials Equities|Financials|KCE|6|2.ASSET|Equity|186.3|3.78|RJF| Raymond James Financial, Inc.| 2.03%| North America|Equity|Financials Equities|Financials|KCE|6|3.ASSET|Equity|186.3|3.71|LPLA| LPL Financial Holdings Inc.| 1.99%| North America|Equity|Financials Equities|Financials|KCE|6|4.ASSET|Equity|186.3|3.65|CME| CME Group Inc. Class A| 1.96%| North America|Equity|Financials Equities|Financials|KCE|6|5.ASSET|Equity|186.3|3.63|BGCP| BGC Partners, Inc. Class A| 1.95%| North America|Equity|Financials Equities|Financials|KCE|6|6.ASSET|Equity|186.3|3.61|ARES| Ares Management Corporation| 1.94%| North America|Equity|Financials Equities|Financials|KCE|6|7.ASSET|Equity|186.3|3.6|HLI| Houlihan Lokey, Inc. Class A| 1.93%| North America|Equity|Financials Equities|Financials|KCE|6|8.ASSET|Equity|186.3|3.54|SF| Stifel Financial Corp.| 1.90%| North America|Equity|Financials Equities|Financials|KCE|6|9.ASSET|Equity|186.3|3.52|MKTX| MarketAxess Holdings Inc.| 1.89%| North America|Equity|Financials Equities|Financials|KCE|6|10.ASSET|Equity|186.3|3.47|SCHW| Charles Schwab Corporation| 1.86%| North America|Equity|Financials Equities|Financials|KCE|6|11.ASSET|Equity|186.3|3.41|LPRO| Open Lending Corporation Class A| 1.83%| North America|Equity|Financials Equities|Financials|KCE|6|12.ASSET|Equity|186.3|3.39|SEIC| SEI Investments Company| 1.82%| North America|Equity|Financials Equities|Financials|KCE|6|13.ASSET|Equity|186.3|3.37|ICE| Intercontinental Exchange, Inc.| 1.81%| North America|Equity|Financials Equities|Financials|KCE|6|14.ASSET|Equity|186.3|3.35|AMP| Ameriprise Financial, Inc.| 1.80%| North America|Equity|Financials Equities|Financials|KCE|6|15.ASSET|Equity|186.3|3.32|BX| Blackstone Inc.| 1.78%| North America|Equity|Large Cap Growth Equities||OVL|6|1.ASSET|Equity|257.2|257.02|VOO| Vanguard S&P 500 ETF| 99.93%| North America|Equity|Large Cap Growth Equities||OVL|6|2.ASSET|Equity|257.2|3.6|FGXXX| First American Funds Inc X Government Obligations Fund| 1.40%| North America|Equity|Large Cap Growth Equities||OVL|6|3.ASSET|Equity|257.2|-0.15|N/A| OPTIONS| -0.06%| North America|Equity|Large Cap Growth Equities||OVL|6|4.ASSET|Equity|257.2|-3.27|N/A| U.S. Dollar| -1.27%| |Equity|Large Cap Blend Equities||FAUG|6|1.ASSET|Equity|185.7|0|N/A| Cash Component| 0.00%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|1.ASSET|Equity|138.3|5.16|IONS| Ionis Pharmaceuticals, Inc.| 3.73%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|2.ASSET|Equity|138.3|4.9|CERE| Cerevel Therapeutics Holdings Inc| 3.54%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|3.ASSET|Equity|138.3|4.67|GLPG| Galapagos NV Sponsored ADR| 3.38%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|4.ASSET|Equity|138.3|4.37|ACAD| ACADIA Pharmaceuticals Inc.| 3.16%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|5.ASSET|Equity|138.3|4.22|ALKS| Alkermes Plc| 3.05%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|6.ASSET|Equity|138.3|3.49|KRTX| Karuna Therapeutics, Inc.| 2.52%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|7.ASSET|Equity|138.3|3.47|CYTK| Cytokinetics, Incorporated| 2.51%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|8.ASSET|Equity|138.3|3.1|INSM| Insmed Incorporated| 2.24%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|9.ASSET|Equity|138.3|3.01|SWTX| Springworks Therapeutics, Inc.| 2.18%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|10.ASSET|Equity|138.3|2.84|RCUS| Arcus Biosciences, Inc.| 2.05%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|11.ASSET|Equity|138.3|2.66|PTCT| PTC Therapeutics, Inc.| 1.92%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|12.ASSET|Equity|138.3|2.59|EBS| Emergent BioSolutions Inc.| 1.87%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|13.ASSET|Equity|138.3|2.56|FOLD| Amicus Therapeutics, Inc.| 1.85%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|14.ASSET|Equity|138.3|2.5|IOVA| Iovance Biotherapeutics Inc| 1.81%| North America|Equity|Health & Biotech Equities|Healthcare|SBIO|6|15.ASSET|Equity|138.3|2.39|OPK| OPKO Health, Inc.| 1.73%| North America|Bond|Money Market|Investment Grade Corporate|LDSF|6|1.ASSET|Bond|281.2|112.85|LMBS| First Trust Low Duration Opportunities ETF| 40.13%| North America|Bond|Money Market|Investment Grade Corporate|LDSF|6|2.ASSET|Bond|281.2|55.85|UCON| First Trust TCW Unconstrained Plus Bond ETF| 19.86%| North America|Bond|Money Market|Investment Grade Corporate|LDSF|6|3.ASSET|Bond|281.2|49.35|FTSL| First Trust Senior Loan Fund| 17.55%| North America|Bond|Money Market|Investment Grade Corporate|LDSF|6|4.ASSET|Bond|281.2|41.84|SLQD| iShares 0-5 Year Investment Grade Corporate Bond ETF| 14.88%| North America|Bond|Money Market|Investment Grade Corporate|LDSF|6|5.ASSET|Bond|281.2|13.75|HYLS| First Trust Tactical High Yield ETF| 4.89%| North America|Bond|Money Market|Investment Grade Corporate|LDSF|6|6.ASSET|Bond|281.2|6.92|FEMB| First Trust Emerging Markets Local Currency Bond ETF| 2.46%| North America|Bond|Money Market|Investment Grade Corporate|LDSF|6|7.ASSET|Bond|281.2|0.65|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 0.23%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|1.ASSET|Equity|164.9|17.46|LI| Li Auto, Inc. Sponsored ADR Class A| 10.59%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|2.ASSET|Equity|164.9|13.64|XPEV| XPeng, Inc. ADR Sponsored Class A| 8.27%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|3.ASSET|Equity|164.9|11.97|1211| BYD Company Limited Class H| 7.26%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|4.ASSET|Equity|164.9|10.55|NIO| NIO Inc. Sponsored ADR Class A| 6.40%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|5.ASSET|Equity|164.9|8.82|916| China Longyuan Power Group Corp. Ltd. Class H| 5.35%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|6.ASSET|Equity|164.9|8.74|586| China Conch Venture Holdings Ltd.| 5.30%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|7.ASSET|Equity|164.9|8.62|968| Xinyi Solar Holdings Ltd.| 5.23%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|8.ASSET|Equity|164.9|7.8|601012| LONGi Green Energy Technology Co Ltd Class A| 4.73%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|9.ASSET|Equity|164.9|7.68|300750| Contemporary Amperex Technology Co., Ltd. Class A| 4.66%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|10.ASSET|Equity|164.9|6.38|3898| Zhuzhou CRRC Times Electric Co., Ltd. Class H| 3.87%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|11.ASSET|Equity|164.9|5.97|257| China Everbright Environment Group Limited| 3.62%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|12.ASSET|Equity|164.9|4.53|601816| Beijing-Shanghai High-Speed Railway Co., Ltd. Class A| 2.75%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|13.ASSET|Equity|164.9|4.35|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 2.64%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|14.ASSET|Equity|164.9|4.02|371| Beijing Enterprises Water Group Limited| 2.44%| Emerging Asia Pacific|Equity|China Equities||KGRN|6|15.ASSET|Equity|164.9|3.89|1585| Yadea Group Holdings Ltd.| 2.36%| North America|Equity|Volatility Hedged Equity||POCT|6|1.ASSET|Equity|185.5|184.63|N/A| OPTIONS| 99.53%| North America|Equity|Volatility Hedged Equity||POCT|6|2.ASSET|Equity|185.5|0.87|N/A| U.S. Dollar| 0.47%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|1.ASSET|Equity|177.5|8.68|7203| Toyota Motor Corp.| 4.89%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|2.ASSET|Equity|177.5|5.88|6758| Sony Group Corporation| 3.31%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|3.ASSET|Equity|177.5|4.14|6861| Keyence Corporation| 2.33%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|4.ASSET|Equity|177.5|3.39|8035| Tokyo Electron Ltd.| 1.91%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|5.ASSET|Equity|177.5|3.28|8306| Mitsubishi UFJ Financial Group, Inc.| 1.85%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|6.ASSET|Equity|177.5|2.64|6098| Recruit Holdings Co., Ltd.| 1.49%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|7.ASSET|Equity|177.5|2.56|9984| SoftBank Group Corp.| 1.44%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|8.ASSET|Equity|177.5|2.56|7974| Nintendo Co., Ltd.| 1.44%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|9.ASSET|Equity|177.5|2.54|4063| Shin-Etsu Chemical Co Ltd| 1.43%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|10.ASSET|Equity|177.5|2.47|9433| KDDI Corporation| 1.39%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|11.ASSET|Equity|177.5|2.2|4502| Takeda Pharmaceutical Co. Ltd.| 1.24%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|12.ASSET|Equity|177.5|2.2|7267| Honda Motor Co., Ltd.| 1.24%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|13.ASSET|Equity|177.5|2.11|6501| Hitachi,Ltd.| 1.19%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|14.ASSET|Equity|177.5|2.11|7741| HOYA CORPORATION| 1.19%| Developed Asia Pacific|Equity|Japan Equities||DBJP|6|15.ASSET|Equity|177.5|2.09|8316| Sumitomo Mitsui Financial Group, Inc.| 1.18%| Developed Markets|Equity|Global Equities||KLDW|6|1.ASSET|Equity|175.8|3.66|CHD| Church & Dwight Co., Inc.| 2.08%| Developed Markets|Equity|Global Equities||KLDW|6|2.ASSET|Equity|175.8|1.78|PPG| PPG Industries, Inc.| 1.01%| Developed Markets|Equity|Global Equities||KLDW|6|3.ASSET|Equity|175.8|1.71|AAP| Advance Auto Parts, Inc.| 0.97%| Developed Markets|Equity|Global Equities||KLDW|6|4.ASSET|Equity|175.8|1.67|SNPS| Synopsys, Inc.| 0.95%| Developed Markets|Equity|Global Equities||KLDW|6|5.ASSET|Equity|175.8|1.65|HSY| Hershey Company| 0.94%| Developed Markets|Equity|Global Equities||KLDW|6|6.ASSET|Equity|175.8|1.65|9766| KONAMI HOLDINGS CORP| 0.94%| Developed Markets|Equity|Global Equities||KLDW|6|7.ASSET|Equity|175.8|1.63|2229| CALBEE, Inc.| 0.93%| Developed Markets|Equity|Global Equities||KLDW|6|8.ASSET|Equity|175.8|1.62|EMR| Emerson Electric Co.| 0.92%| Developed Markets|Equity|Global Equities||KLDW|6|9.ASSET|Equity|175.8|1.49|6361| Ebara Corporation| 0.85%| Developed Markets|Equity|Global Equities||KLDW|6|10.ASSET|Equity|175.8|1.49|INTU| Intuit Inc.| 0.85%| Developed Markets|Equity|Global Equities||KLDW|6|11.ASSET|Equity|175.8|1.46|2897| Nissin Foods Holdings Co., Ltd.| 0.83%| Developed Markets|Equity|Global Equities||KLDW|6|12.ASSET|Equity|175.8|1.42|6504| Fuji Electric Co., Ltd.| 0.81%| Developed Markets|Equity|Global Equities||KLDW|6|13.ASSET|Equity|175.8|1.39|CHKP| Check Point Software Technologies Ltd.| 0.79%| Developed Markets|Equity|Global Equities||KLDW|6|14.ASSET|Equity|175.8|1.37|RI| Pernod Ricard SA| 0.78%| Developed Markets|Equity|Global Equities||KLDW|6|15.ASSET|Equity|175.8|1.35|ADBE| Adobe Inc.| 0.77%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|1.ASSET|Bond|208.1|16.79|NEA| Nuveen AMT-Free Quality Municipal Income Fund of Benef Interest| 8.07%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|2.ASSET|Bond|208.1|16.71|NAD| Nuveen Quality Municipal Income Fund of Benef.Interest| 8.03%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|3.ASSET|Bond|208.1|14.4|NVG| Nuveen AMT-Free Municipal Credit Income Fund of Benef Interest| 6.92%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|4.ASSET|Bond|208.1|11.76|NZF| Nuveen Municipal Credit Income Fund of Benef Interest| 5.65%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|5.ASSET|Bond|208.1|10.45|BTT| BlackRock Municipal 2030 Target Term Trust of Beneficial Interest| 5.02%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|6.ASSET|Bond|208.1|8.03|NUV| Nuveen Municipal Value Fund Inc| 3.86%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|7.ASSET|Bond|208.1|5.72|NMZ| Nuveen Municipal High Income Opportunity Fund| 2.75%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|8.ASSET|Bond|208.1|5.7|MQY| BlackRock MuniYield Quality Fund Inc| 2.74%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|9.ASSET|Bond|208.1|5.39|MYI| BlackRock MuniYield Quality Fund III Inc| 2.59%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|10.ASSET|Bond|208.1|5.18|EIM| Eaton Vance Municipal Bond Fund| 2.49%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|11.ASSET|Bond|208.1|4.16|MHD| BlackRock MuniHoldings Fund Inc| 2.00%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|12.ASSET|Bond|208.1|3.95|NMCO| Nuveen Municipal Credit Opportunities Fund| 1.90%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|13.ASSET|Bond|208.1|3.72|IIM| Invesco Value Municipal Income Trust| 1.79%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|14.ASSET|Bond|208.1|3.62|IQI| Invesco Quality Municipal Income Trust of Benef Interest Invesco Quality Municipal Income Trust| 1.74%| North America|Bond|Total Bond Market|Total Bond Market|XMPT|6|15.ASSET|Bond|208.1|3.56|NDMO| Nuveen Dynamic Municipal Opportunities Fund of Beneficial Interest| 1.71%| Developed Europe|Equity|Europe Equities||FLEE|6|1.ASSET|Equity|190.1|6.54|NESN| Nestle S.A.| 3.44%| Developed Europe|Equity|Europe Equities||FLEE|6|2.ASSET|Equity|190.1|4.81|ROG| Roche Holding Ltd| 2.53%| Developed Europe|Equity|Europe Equities||FLEE|6|3.ASSET|Equity|190.1|4.54|ASML| ASML Holding NV| 2.39%| Developed Europe|Equity|Europe Equities||FLEE|6|4.ASSET|Equity|190.1|3.63|SHEL| Shell PLC| 1.91%| Developed Europe|Equity|Europe Equities||FLEE|6|5.ASSET|Equity|190.1|3.46|AZN| AstraZeneca PLC| 1.82%| Developed Europe|Equity|Europe Equities||FLEE|6|6.ASSET|Equity|190.1|3.29|NOVN| Novartis AG| 1.73%| Developed Europe|Equity|Europe Equities||FLEE|6|7.ASSET|Equity|190.1|3.16|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.66%| Developed Europe|Equity|Europe Equities||FLEE|6|8.ASSET|Equity|190.1|3|NOVO.B| Novo Nordisk A/S Class B| 1.58%| Developed Europe|Equity|Europe Equities||FLEE|6|9.ASSET|Equity|190.1|2.45|HSBA| HSBC Holdings Plc| 1.29%| Developed Europe|Equity|Europe Equities||FLEE|6|10.ASSET|Equity|190.1|2.28|ULVR| Unilever PLC| 1.20%| Developed Europe|Equity|Europe Equities||FLEE|6|11.ASSET|Equity|190.1|2.22|SAP| SAP SE| 1.17%| Developed Europe|Equity|Europe Equities||FLEE|6|12.ASSET|Equity|190.1|2.17|TTE| TotalEnergies SE| 1.14%| Developed Europe|Equity|Europe Equities||FLEE|6|13.ASSET|Equity|190.1|2.03|DGE| Diageo plc| 1.07%| Developed Europe|Equity|Europe Equities||FLEE|6|14.ASSET|Equity|190.1|2.02|SAN| Sanofi| 1.06%| Developed Europe|Equity|Europe Equities||FLEE|6|15.ASSET|Equity|190.1|1.84|GSK| GlaxoSmithKline plc| 0.97%| Latin America|Equity|Latin America Equities||FLBR|6|1.ASSET|Equity|386.7|69.72|VALE3| Vale S.A.| 18.03%| Latin America|Equity|Latin America Equities||FLBR|6|2.ASSET|Equity|386.7|33.1|PETR4| Petroleo Brasileiro SA Pfd| 8.56%| Latin America|Equity|Latin America Equities||FLBR|6|3.ASSET|Equity|386.7|23.67|PETR3| Petroleo Brasileiro SA| 6.12%| Latin America|Equity|Latin America Equities||FLBR|6|4.ASSET|Equity|386.7|20.46|ITUB4| Itau Unibanco Holding SA Pfd| 5.29%| Latin America|Equity|Latin America Equities||FLBR|6|5.ASSET|Equity|386.7|16.16|BBDC4| Banco Bradesco SA Pfd| 4.18%| Latin America|Equity|Latin America Equities||FLBR|6|6.ASSET|Equity|386.7|14.97|B3SA3| B3 SA - Brasil, Bolsa, Balcao| 3.87%| Latin America|Equity|Latin America Equities||FLBR|6|7.ASSET|Equity|386.7|10.79|ABEV3| Ambev SA| 2.79%| Latin America|Equity|Latin America Equities||FLBR|6|8.ASSET|Equity|386.7|8.62|HAPV3| Hapvida Participacoes e Investimentos SA| 2.23%| Latin America|Equity|Latin America Equities||FLBR|6|9.ASSET|Equity|386.7|8.04|ITSA4| Itausa - Investimentos Itau SA Pfd| 2.08%| Latin America|Equity|Latin America Equities||FLBR|6|10.ASSET|Equity|386.7|7.62|WEGE3| WEG S.A.| 1.97%| Latin America|Equity|Latin America Equities||FLBR|6|11.ASSET|Equity|386.7|6.73|SUZB3| Suzano S.A.| 1.74%| Latin America|Equity|Latin America Equities||FLBR|6|12.ASSET|Equity|386.7|5.72|RENT3| Localiza Rent A Car S.A.| 1.48%| Latin America|Equity|Latin America Equities||FLBR|6|13.ASSET|Equity|386.7|5.65|JBSS3| JBS S.A.| 1.46%| Latin America|Equity|Latin America Equities||FLBR|6|14.ASSET|Equity|386.7|5.14|BBAS3| Banco do Brasil S.A.| 1.33%| Latin America|Equity|Latin America Equities||FLBR|6|15.ASSET|Equity|386.7|4.99|GGBR4| Gerdau SA Pfd| 1.29%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|1.ASSET|Equity|149|16.96|CHKP| Check Point Software Technologies Ltd.| 11.38%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|2.ASSET|Equity|149|12.16|SEDG| SolarEdge Technologies, Inc.| 8.16%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|3.ASSET|Equity|149|10.12|NICE| NICE Ltd Sponsored ADR| 6.79%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|4.ASSET|Equity|149|9.57|DOX| Amdocs Limited| 6.42%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|5.ASSET|Equity|149|7.32|CYBR| CyberArk Software Ltd.| 4.91%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|6.ASSET|Equity|149|6.47|ESLT| Elbit Systems Ltd| 4.34%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|7.ASSET|Equity|149|4.87|TSEM| Tower Semiconductor Ltd| 3.27%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|8.ASSET|Equity|149|4.84|NVCR| NovoCure Ltd.| 3.25%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|9.ASSET|Equity|149|4.53|WIX| Wix.com Ltd.| 3.04%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|10.ASSET|Equity|149|4.31|KRNT| Kornit Digital Ltd.| 2.89%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|11.ASSET|Equity|149|4.1|BEZQ| Bezeq The Israel Telecommunication Corp. Ltd.| 2.75%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|12.ASSET|Equity|149|4.1|VRNS| Varonis Systems, Inc.| 2.75%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|13.ASSET|Equity|149|3.17|ORA| Ormat Technologies, Inc.| 2.13%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|14.ASSET|Equity|149|3.17|NVMI| Nova Ltd.| 2.13%| Middle East|Equity|Technology Equities|Technology|ITEQ|6|15.ASSET|Equity|149|2.92|FVRR| Fiverr International Ltd.| 1.96%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|1.ASSET|Equity|158.2|29.85|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 18.87%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|2.ASSET|Equity|158.2|19.73|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 12.47%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|3.ASSET|Equity|158.2|8.91|VALE| Vale S.A. Sponsored ADR| 5.63%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|4.ASSET|Equity|158.2|8.5|HDB| HDFC Bank Limited Sponsored ADR| 5.37%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|5.ASSET|Equity|158.2|8.38|INFY| Infosys Limited Sponsored ADR| 5.30%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|6.ASSET|Equity|158.2|6.85|JD| JD.com, Inc. Sponsored ADR Class A| 4.33%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|7.ASSET|Equity|158.2|5.36|IBN| ICICI Bank Limited Sponsored ADR| 3.39%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|8.ASSET|Equity|158.2|5.05|BIDU| Baidu Inc Sponsored ADR Class A| 3.19%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|9.ASSET|Equity|158.2|3.83|NTES| NetEase, Inc. Sponsored ADR| 2.42%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|10.ASSET|Equity|158.2|3.45|PBR.A| Petroleo Brasileiro SA Sponsored ADR Pfd| 2.18%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|11.ASSET|Equity|158.2|3.29|NIO| NIO Inc. Sponsored ADR Class A| 2.08%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|12.ASSET|Equity|158.2|3.04|PBR| Petroleo Brasileiro SA Sponsored ADR| 1.92%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|13.ASSET|Equity|158.2|2.61|ITUB| Itau Unibanco Holding S.A. Sponsored ADR Pfd| 1.65%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|14.ASSET|Equity|158.2|2.47|UMC| United Microelectronics Corp. Sponsored ADR| 1.56%| Emerging Markets|Equity|Asia Pacific Equities||ADRE|6|15.ASSET|Equity|158.2|2.39|AMX| America Movil SAB de CV Sponsored ADR Class L| 1.51%| Broad Asia|Equity|Emerging Markets Equities||HEEM|6|1.ASSET|Equity|196.7|196.6|EEM| iShares MSCI Emerging Markets ETF| 99.95%| Broad Asia|Equity|Emerging Markets Equities||HEEM|6|2.ASSET|Equity|196.7|1.55|N/A| MUTUAL FUND (OTHER)| 0.79%| Broad Asia|Equity|Emerging Markets Equities||HEEM|6|3.ASSET|Equity|196.7|-1.46|N/A| U.S. Dollar| -0.74%| North America|Equity|Mid Cap Growth Equities||JSMD|6|1.ASSET|Equity|165.6|5.55|VMW| VMware, Inc. Class A| 3.35%| North America|Equity|Mid Cap Growth Equities||JSMD|6|2.ASSET|Equity|165.6|4.24|UI| Ubiquiti Inc.| 2.56%| North America|Equity|Mid Cap Growth Equities||JSMD|6|3.ASSET|Equity|165.6|4.12|CHE| Chemed Corporation| 2.49%| North America|Equity|Mid Cap Growth Equities||JSMD|6|4.ASSET|Equity|165.6|3.51|FICO| Fair Isaac Corporation| 2.12%| North America|Equity|Mid Cap Growth Equities||JSMD|6|5.ASSET|Equity|165.6|3.08|PCTY| Paylocity Holding Corp.| 1.86%| North America|Equity|Mid Cap Growth Equities||JSMD|6|6.ASSET|Equity|165.6|3.06|RGLD| Royal Gold, Inc.| 1.85%| North America|Equity|Mid Cap Growth Equities||JSMD|6|7.ASSET|Equity|165.6|3.01|MEDP| Medpace Holdings, Inc.| 1.82%| North America|Equity|Mid Cap Growth Equities||JSMD|6|8.ASSET|Equity|165.6|2.96|AMED| Amedisys, Inc.| 1.79%| North America|Equity|Mid Cap Growth Equities||JSMD|6|9.ASSET|Equity|165.6|2.9|BERY| Berry Global Group Inc| 1.75%| North America|Equity|Mid Cap Growth Equities||JSMD|6|10.ASSET|Equity|165.6|2.86|MRVI| Maravai LifeSciences Holdings Inc Class A| 1.73%| North America|Equity|Mid Cap Growth Equities||JSMD|6|11.ASSET|Equity|165.6|2.83|BSY| Bentley Systems, Incorporated Class B| 1.71%| North America|Equity|Mid Cap Growth Equities||JSMD|6|12.ASSET|Equity|165.6|2.82|SMG| Scotts Miracle-Gro Company Class A| 1.70%| North America|Equity|Mid Cap Growth Equities||JSMD|6|13.ASSET|Equity|165.6|2.82|CIEN| Ciena Corporation| 1.70%| North America|Equity|Mid Cap Growth Equities||JSMD|6|14.ASSET|Equity|165.6|2.78|CNXC| Concentrix Corporation| 1.68%| North America|Equity|Mid Cap Growth Equities||JSMD|6|15.ASSET|Equity|165.6|2.67|AZPN| Aspen Technology, Inc.| 1.61%| North America|Bond|Leveraged Bonds|Treasuries|TTT|6|1.ASSET|Bond|260.3|201.78|N/A| U.S. Dollar| 77.52%| North America|Bond|Leveraged Bonds|Treasuries|TTT|6|2.ASSET|Bond|260.3|30.77|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 11.82%| North America|Bond|Leveraged Bonds|Treasuries|TTT|6|3.ASSET|Bond|260.3|19.34|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 7.43%| North America|Bond|Leveraged Bonds|Treasuries|TTT|6|4.ASSET|Bond|260.3|8.41|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.23%| |Commodity|Leveraged Commodities||BOIL|6|1.ASSET|Commodity|186|186|N/A| Natural Gas| 100.00%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|1.ASSET|Bond|160|24.22|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 15.14%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|2.ASSET|Bond|160|24.18|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 15.11%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|3.ASSET|Bond|160|4|N/A| United States Treasury Notes 1.625% 30-APR-2023| 2.50%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|4.ASSET|Bond|160|3.84|N/A| ASSET-BACKED SECURITIES| 2.40%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|5.ASSET|Bond|160|3.02|N/A| United States Treasury Notes 2.25% 31-DEC-2023| 1.89%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|6.ASSET|Bond|160|2.94|N/A| FIXED INCOME (UNCLASSFIED)| 1.84%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|7.ASSET|Bond|160|2.7|N/A| FHLMC 15yr Pool#RC1955 2.000% 01-May-2036 2.0% 01-MAY-2036| 1.69%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|8.ASSET|Bond|160|2.51|N/A| FHLMC 15yr Pool#RC1813 1.500% 01-Feb-2036 1.5% 01-FEB-2036| 1.57%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|9.ASSET|Bond|160|1.98|N/A| Marble Point CLO XXI A1 1.48129% 17-OCT-2034| 1.24%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|10.ASSET|Bond|160|1.9|N/A| FNMA 15yr Pool#MA4442 2.000% 01-Oct-2036 2.0% 01-OCT-2036| 1.19%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|11.ASSET|Bond|160|1.62|N/A| FNMA 15yr Pool#MA4260 1.500% 01-Feb-2036 1.5% 01-FEB-2036| 1.01%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|12.ASSET|Bond|160|1.47|N/A| FHLMC 15yr Pool#SB8093 2.000% 01-Mar-2036 2.0% 01-MAR-2036| 0.92%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|13.ASSET|Bond|160|1.42|N/A| FHLMC 20yr Pool#RB5131 2.000% 01-Oct-2041 2.0% 01-OCT-2041| 0.89%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|14.ASSET|Bond|160|1.39|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 0.87%| North America|Bond|Total Bond Market|Total Bond Market|STOT|6|15.ASSET|Bond|160|1.22|N/A| FNMA 15yr Pool#MA4261 2.000% 01-Feb-2036 2.0% 01-FEB-2036| 0.76%| North America|Equity|Mid Cap Growth Equities||TPLC|6|1.ASSET|Equity|157.4|1.1|CERN| Cerner Corporation| 0.70%| North America|Equity|Mid Cap Growth Equities||TPLC|6|2.ASSET|Equity|157.4|1.02|MKC| McCormick & Company, Incorporated| 0.65%| North America|Equity|Mid Cap Growth Equities||TPLC|6|3.ASSET|Equity|157.4|0.96|ED| Consolidated Edison, Inc.| 0.61%| North America|Equity|Mid Cap Growth Equities||TPLC|6|4.ASSET|Equity|157.4|0.91|COST| Costco Wholesale Corporation| 0.58%| North America|Equity|Mid Cap Growth Equities||TPLC|6|5.ASSET|Equity|157.4|0.9|SO| Southern Company| 0.57%| North America|Equity|Mid Cap Growth Equities||TPLC|6|6.ASSET|Equity|157.4|0.88|AEP| American Electric Power Company, Inc.| 0.56%| North America|Equity|Mid Cap Growth Equities||TPLC|6|7.ASSET|Equity|157.4|0.88|ATO| Atmos Energy Corporation| 0.56%| North America|Equity|Mid Cap Growth Equities||TPLC|6|8.ASSET|Equity|157.4|0.88|GD| General Dynamics Corporation| 0.56%| North America|Equity|Mid Cap Growth Equities||TPLC|6|9.ASSET|Equity|157.4|0.85|D| Dominion Energy Inc| 0.54%| North America|Equity|Mid Cap Growth Equities||TPLC|6|10.ASSET|Equity|157.4|0.85|WM| Waste Management, Inc.| 0.54%| North America|Equity|Mid Cap Growth Equities||TPLC|6|11.ASSET|Equity|157.4|0.82|CMS| CMS Energy Corporation| 0.52%| North America|Equity|Mid Cap Growth Equities||TPLC|6|12.ASSET|Equity|157.4|0.82|RSG| Republic Services, Inc.| 0.52%| North America|Equity|Mid Cap Growth Equities||TPLC|6|13.ASSET|Equity|157.4|0.82|DTE| DTE Energy Company| 0.52%| North America|Equity|Mid Cap Growth Equities||TPLC|6|14.ASSET|Equity|157.4|0.8|ICE| Intercontinental Exchange, Inc.| 0.51%| North America|Equity|Mid Cap Growth Equities||TPLC|6|15.ASSET|Equity|157.4|0.79|AEE| Ameren Corporation| 0.50%| Global|Commodity|Commodities||GCC|6|1.ASSET|Commodity|299.7|181.98|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 60.72%| Global|Commodity|Commodities||GCC|6|2.ASSET|Commodity|299.7|76.75|N/A| MUTUAL FUND (OTHER)| 25.61%| Global|Commodity|Commodities||GCC|6|3.ASSET|Commodity|299.7|28.44|N/A| U.S. Dollar| 9.49%| Global|Commodity|Commodities||GCC|6|4.ASSET|Commodity|299.7|12.53|USFR| WisdomTree Floating Rate Treasury Fund| 4.18%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|1.ASSET|Bond|169.8|31.75|HYG| iShares iBoxx $ High Yield Corporate Bond ETF| 18.70%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|2.ASSET|Bond|169.8|31.7|HYLB| Xtrackers USD High Yield Corporate Bond ETF| 18.67%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|3.ASSET|Bond|169.8|31.7|JNK| SPDR Bloomberg High Yield Bond ETF| 18.67%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|4.ASSET|Bond|169.8|18.29|AGG| iShares Core U.S. Aggregate Bond ETF| 10.77%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|5.ASSET|Bond|169.8|18.25|BND| Vanguard Total Bond Market ETF| 10.75%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|6.ASSET|Bond|169.8|18.15|VCIT| Vanguard Intermediate-Term Corporate Bond ETF| 10.69%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|7.ASSET|Bond|169.8|17.83|LQD| iShares iBoxx $ Investment Grade Corporate Bond ETF| 10.50%| North America|Bond|Total Bond Market|Total Bond Market|FFTI|6|8.ASSET|Bond|169.8|2.12|N/A| U.S. Dollar| 1.25%| North America|Equity|All Cap Equities||ETHO|6|1.ASSET|Equity|183.3|1.26|NVDA| NVIDIA Corporation| 0.69%| North America|Equity|All Cap Equities||ETHO|6|2.ASSET|Equity|183.3|1.23|ANAT| American National Group, Inc.| 0.67%| North America|Equity|All Cap Equities||ETHO|6|3.ASSET|Equity|183.3|1.19|LAND| Gladstone Land Corp.| 0.65%| North America|Equity|All Cap Equities||ETHO|6|4.ASSET|Equity|183.3|1.17|FGXXX| First American Funds Inc X Government Obligations Fund| 0.64%| North America|Equity|All Cap Equities||ETHO|6|5.ASSET|Equity|183.3|1.14|ANET| Arista Networks, Inc.| 0.62%| North America|Equity|All Cap Equities||ETHO|6|6.ASSET|Equity|183.3|1.08|HRI| Herc Holdings, Inc.| 0.59%| North America|Equity|All Cap Equities||ETHO|6|7.ASSET|Equity|183.3|1.08|IT| Gartner, Inc.| 0.59%| North America|Equity|All Cap Equities||ETHO|6|8.ASSET|Equity|183.3|1.06|RHI| Robert Half International Inc.| 0.58%| North America|Equity|All Cap Equities||ETHO|6|9.ASSET|Equity|183.3|1.06|CPT| Camden Property Trust| 0.58%| North America|Equity|All Cap Equities||ETHO|6|10.ASSET|Equity|183.3|1.04|PSA| Public Storage| 0.57%| North America|Equity|All Cap Equities||ETHO|6|11.ASSET|Equity|183.3|1.04|ON| ON Semiconductor Corporation| 0.57%| North America|Equity|All Cap Equities||ETHO|6|12.ASSET|Equity|183.3|1.04|AMD| Advanced Micro Devices, Inc.| 0.57%| North America|Equity|All Cap Equities||ETHO|6|13.ASSET|Equity|183.3|1.03|ARES| Ares Management Corporation| 0.56%| North America|Equity|All Cap Equities||ETHO|6|14.ASSET|Equity|183.3|1.03|AMN| AMN Healthcare Services, Inc.| 0.56%| North America|Equity|All Cap Equities||ETHO|6|15.ASSET|Equity|183.3|1.01|RMBS| Rambus Inc.| 0.55%| North America|Bond|High Yield Bonds|Junk|GHYB|6|1.ASSET|Bond|195.7|2.72|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 1.39%| North America|Bond|High Yield Bonds|Junk|GHYB|6|2.ASSET|Bond|195.7|1.37|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.70%| North America|Bond|High Yield Bonds|Junk|GHYB|6|3.ASSET|Bond|195.7|1.33|N/A| Lumen Technologies, Inc. 5.125% 15-DEC-2026| 0.68%| North America|Bond|High Yield Bonds|Junk|GHYB|6|4.ASSET|Bond|195.7|1.25|N/A| Sirius XM Radio Inc. 4.0% 15-JUL-2028| 0.64%| North America|Bond|High Yield Bonds|Junk|GHYB|6|5.ASSET|Bond|195.7|1.12|N/A| Carnival Corporation 4.0% 01-AUG-2028| 0.57%| North America|Bond|High Yield Bonds|Junk|GHYB|6|6.ASSET|Bond|195.7|1.1|N/A| CORPORATE BOND| 0.56%| North America|Bond|High Yield Bonds|Junk|GHYB|6|7.ASSET|Bond|195.7|1.1|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.56%| North America|Bond|High Yield Bonds|Junk|GHYB|6|8.ASSET|Bond|195.7|0.94|N/A| WESCO Distribution, Inc. 7.25% 15-JUN-2028| 0.48%| North America|Bond|High Yield Bonds|Junk|GHYB|6|9.ASSET|Bond|195.7|0.94|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.48%| North America|Bond|High Yield Bonds|Junk|GHYB|6|10.ASSET|Bond|195.7|0.92|N/A| Alcoa Inc. 5.125% 01-OCT-2024| 0.47%| North America|Bond|High Yield Bonds|Junk|GHYB|6|11.ASSET|Bond|195.7|0.92|N/A| EQT Corporation 3.9% 01-OCT-2027| 0.47%| North America|Bond|High Yield Bonds|Junk|GHYB|6|12.ASSET|Bond|195.7|0.88|N/A| Weatherford International Ltd. 6.5% 15-SEP-2028| 0.45%| North America|Bond|High Yield Bonds|Junk|GHYB|6|13.ASSET|Bond|195.7|0.82|N/A| Safeway Inc. 3.5% 15-MAR-2029| 0.42%| North America|Bond|High Yield Bonds|Junk|GHYB|6|14.ASSET|Bond|195.7|0.82|N/A| Diebold Nixdorf Incorporated 9.375% 15-JUL-2025| 0.42%| North America|Bond|High Yield Bonds|Junk|GHYB|6|15.ASSET|Bond|195.7|0.8|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.41%| Latin America|Equity|Leveraged Equities||BRZU|6|1.ASSET|Equity|198|136.26|DGCXX| Dreyfus Government Cash Management Funds Institutional| 68.82%| Latin America|Equity|Leveraged Equities||BRZU|6|2.ASSET|Equity|198|69.08|EWZ| iShares MSCI Brazil ETF| 34.89%| Latin America|Equity|Leveraged Equities||BRZU|6|3.ASSET|Equity|198|0|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 0.00%| North America|Bond|High Yield Bonds|Junk|WFHY|6|1.ASSET|Bond|195.4|3.52|N/A| U.S. Dollar| 1.80%| North America|Bond|High Yield Bonds|Junk|WFHY|6|2.ASSET|Bond|195.4|2.11|N/A| Uniti Group LP 7.875% 15-FEB-2025| 1.08%| North America|Bond|High Yield Bonds|Junk|WFHY|6|3.ASSET|Bond|195.4|1.84|N/A| Ford Motor Company 5.291% 08-DEC-2046| 0.94%| North America|Bond|High Yield Bonds|Junk|WFHY|6|4.ASSET|Bond|195.4|1.8|N/A| DISH DBS Corporation 7.75% 01-JUL-2026| 0.92%| North America|Bond|High Yield Bonds|Junk|WFHY|6|5.ASSET|Bond|195.4|1.62|N/A| Nationstar Mortgage Holdings Inc. 6.0% 15-JAN-2027| 0.83%| North America|Bond|High Yield Bonds|Junk|WFHY|6|6.ASSET|Bond|195.4|1.5|N/A| Charter Communications Operating LLC 3.7% 01-APR-2051| 0.77%| North America|Bond|High Yield Bonds|Junk|WFHY|6|7.ASSET|Bond|195.4|1.41|N/A| DISH DBS Corporation 5.125% 01-JUN-2029| 0.72%| North America|Bond|High Yield Bonds|Junk|WFHY|6|8.ASSET|Bond|195.4|1.39|N/A| MPH Acquisition Holdings LLC 5.75% 01-NOV-2028| 0.71%| North America|Bond|High Yield Bonds|Junk|WFHY|6|9.ASSET|Bond|195.4|1.31|N/A| Par Pharmaceutical, Inc. 7.5% 01-APR-2027| 0.67%| North America|Bond|High Yield Bonds|Junk|WFHY|6|10.ASSET|Bond|195.4|1.27|N/A| DaVita Inc. 4.625% 01-JUN-2030| 0.65%| North America|Bond|High Yield Bonds|Junk|WFHY|6|11.ASSET|Bond|195.4|1.25|N/A| Clear Channel Outdoor Holdings, Inc. 7.75% 15-APR-2028| 0.64%| North America|Bond|High Yield Bonds|Junk|WFHY|6|12.ASSET|Bond|195.4|1.25|N/A| TransDigm, Inc. 4.875% 01-MAY-2029| 0.64%| North America|Bond|High Yield Bonds|Junk|WFHY|6|13.ASSET|Bond|195.4|1.23|N/A| Community Health Systems, Inc. 4.75% 15-FEB-2031| 0.63%| North America|Bond|High Yield Bonds|Junk|WFHY|6|14.ASSET|Bond|195.4|1.19|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 0.61%| North America|Bond|High Yield Bonds|Junk|WFHY|6|15.ASSET|Bond|195.4|1.15|N/A| iHeartCommunications, Inc. 8.375% 01-MAY-2027| 0.59%| North America|Equity|Large Cap Growth Equities||ESG|6|1.ASSET|Equity|193.7|9.9|AAPL| Apple Inc.| 5.11%| North America|Equity|Large Cap Growth Equities||ESG|6|2.ASSET|Equity|193.7|9.38|MSFT| Microsoft Corporation| 4.84%| North America|Equity|Large Cap Growth Equities||ESG|6|3.ASSET|Equity|193.7|9.2|GOOG| Alphabet Inc. Class C| 4.75%| North America|Equity|Large Cap Growth Equities||ESG|6|4.ASSET|Equity|193.7|9.16|AMZN| Amazon.com, Inc.| 4.73%| North America|Equity|Large Cap Growth Equities||ESG|6|5.ASSET|Equity|193.7|6.35|TSLA| Tesla Inc| 3.28%| North America|Equity|Large Cap Growth Equities||ESG|6|6.ASSET|Equity|193.7|4.65|JNJ| Johnson & Johnson| 2.40%| North America|Equity|Large Cap Growth Equities||ESG|6|7.ASSET|Equity|193.7|4.34|FB| Meta Platforms Inc. Class A| 2.24%| North America|Equity|Large Cap Growth Equities||ESG|6|8.ASSET|Equity|193.7|4.01|PG| Procter & Gamble Company| 2.07%| North America|Equity|Large Cap Growth Equities||ESG|6|9.ASSET|Equity|193.7|3.66|HD| Home Depot, Inc.| 1.89%| North America|Equity|Large Cap Growth Equities||ESG|6|10.ASSET|Equity|193.7|3.64|JPM| JPMorgan Chase & Co.| 1.88%| North America|Equity|Large Cap Growth Equities||ESG|6|11.ASSET|Equity|193.7|3.33|BAC| Bank of America Corp| 1.72%| North America|Equity|Large Cap Growth Equities||ESG|6|12.ASSET|Equity|193.7|3.22|UNH| UnitedHealth Group Incorporated| 1.66%| North America|Equity|Large Cap Growth Equities||ESG|6|13.ASSET|Equity|193.7|3.18|NVDA| NVIDIA Corporation| 1.64%| North America|Equity|Large Cap Growth Equities||ESG|6|14.ASSET|Equity|193.7|3.08|CVX| Chevron Corporation| 1.59%| North America|Equity|Large Cap Growth Equities||ESG|6|15.ASSET|Equity|193.7|2.69|MA| Mastercard Incorporated Class A| 1.39%| North America|Equity|Volatility Hedged Equity||PAUG|6|1.ASSET|Equity|177.9|177.9|N/A| Cash Component| 100.00%| North America|Currency|Currency||FXC|6|1.ASSET|Currency|142.8|142.8|N/A| Canadian dollar| 100.00%| North America|Equity|Leveraged Equities||MVV|6|1.ASSET|Equity|144.9|34.5|N/A| FIXED INCOME (UNCLASSFIED)| 23.81%| North America|Equity|Leveraged Equities||MVV|6|2.ASSET|Equity|144.9|3.35|N/A| U.S. Dollar| 2.31%| North America|Equity|Leveraged Equities||MVV|6|3.ASSET|Equity|144.9|0.8|CPT| Camden Property Trust| 0.55%| North America|Equity|Leveraged Equities||MVV|6|4.ASSET|Equity|144.9|0.71|AA| Alcoa Corporation| 0.49%| North America|Equity|Leveraged Equities||MVV|6|5.ASSET|Equity|144.9|0.71|TRGP| Targa Resources Corp.| 0.49%| North America|Equity|Leveraged Equities||MVV|6|6.ASSET|Equity|144.9|0.67|BLDR| Builders FirstSource, Inc.| 0.46%| North America|Equity|Leveraged Equities||MVV|6|7.ASSET|Equity|144.9|0.65|STLD| Steel Dynamics, Inc.| 0.45%| North America|Equity|Leveraged Equities||MVV|6|8.ASSET|Equity|144.9|0.62|FICO| Fair Isaac Corporation| 0.43%| North America|Equity|Leveraged Equities||MVV|6|9.ASSET|Equity|144.9|0.59|JLL| Jones Lang LaSalle Incorporated| 0.41%| North America|Equity|Leveraged Equities||MVV|6|10.ASSET|Equity|144.9|0.59|FHN| First Horizon Corporation| 0.41%| North America|Equity|Leveraged Equities||MVV|6|11.ASSET|Equity|144.9|0.59|DAR| Darling Ingredients Inc.| 0.41%| North America|Equity|Leveraged Equities||MVV|6|12.ASSET|Equity|144.9|0.58|MPW| Medical Properties Trust, Inc.| 0.40%| North America|Equity|Leveraged Equities||MVV|6|13.ASSET|Equity|144.9|0.58|CSL| Carlisle Companies Incorporated| 0.40%| North America|Equity|Leveraged Equities||MVV|6|14.ASSET|Equity|144.9|0.57|GGG| Graco Inc.| 0.39%| North America|Equity|Leveraged Equities||MVV|6|15.ASSET|Equity|144.9|0.55|CGNX| Cognex Corporation| 0.38%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|1.ASSET|Bond|288.5|39.38|N/A| Federal Home Loan Bank System 0.0% 03-MAR-2022| 13.65%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|2.ASSET|Bond|288.5|24.23|N/A| FIXED INCOME (UNCLASSFIED)| 8.40%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|3.ASSET|Bond|288.5|3.72|N/A| Peraton Inc Term Loan B 01-Feb-2028| 1.29%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|4.ASSET|Bond|288.5|3.49|N/A| Verscend Holding Corp Term Loan B 27-Aug-2025| 1.21%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|5.ASSET|Bond|288.5|3.29|N/A| Greeneden Us Holdings Ii Llc Term Loan B 29-Sep-2027| 1.14%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|6.ASSET|Bond|288.5|3.29|N/A| Great Outdoors Group Llc /Mo/ Term Loan B 05-Mar-2028| 1.14%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|7.ASSET|Bond|288.5|3.2|N/A| Polaris Newco Llc Term Loan B 01-Jun-2028| 1.11%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|8.ASSET|Bond|288.5|3.17|N/A| Radiate Holdco Llc Term Loan B 25-Sep-2026| 1.10%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|9.ASSET|Bond|288.5|3.12|N/A| Athenahealth Inc Term Loan B 18-Jan-2029| 1.08%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|10.ASSET|Bond|288.5|3.03|N/A| Hyland Software Inc Term Loan 01-Jul-2024| 1.05%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|11.ASSET|Bond|288.5|2.97|N/A| Sunshine Luxembourg Vii Sarl Term Loan B-3 01-Oct-2026| 1.03%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|12.ASSET|Bond|288.5|2.86|N/A| Cengage Learning Inc Term Loan B 16-Jun-2026| 0.99%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|13.ASSET|Bond|288.5|2.74|N/A| Dcert Buyer Inc Term Loan B 16-Oct-2026| 0.95%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|14.ASSET|Bond|288.5|2.74|N/A| Kestrel Bidco Inc Term Loan B 06-Sep-2026| 0.95%| North America|Bond|High Yield Bonds|Bank Loans|FLBL|6|15.ASSET|Bond|288.5|2.74|N/A| Gainwell Acquisition Corp Term Loan B 01-Oct-2027| 0.95%| North America|Equity|Small Cap Value Equities||XMVM|6|1.ASSET|Equity|269.9|9.1|X| United States Steel Corporation| 3.37%| North America|Equity|Small Cap Value Equities||XMVM|6|2.ASSET|Equity|269.9|6.64|AVT| Avnet, Inc.| 2.46%| North America|Equity|Small Cap Value Equities||XMVM|6|3.ASSET|Equity|269.9|5.61|ORI| Old Republic International Corporation| 2.08%| North America|Equity|Small Cap Value Equities||XMVM|6|4.ASSET|Equity|269.9|5.56|GHC| Graham Holdings Co.| 2.06%| North America|Equity|Small Cap Value Equities||XMVM|6|5.ASSET|Equity|269.9|5.37|ADNT| Adient plc| 1.99%| North America|Equity|Small Cap Value Equities||XMVM|6|6.ASSET|Equity|269.9|5.26|CLF| Cleveland-Cliffs Inc| 1.95%| North America|Equity|Small Cap Value Equities||XMVM|6|7.ASSET|Equity|269.9|5.21|KSS| Kohl\'s Corporation| 1.93%| North America|Equity|Small Cap Value Equities||XMVM|6|8.ASSET|Equity|269.9|5.07|STLD| Steel Dynamics, Inc.| 1.88%| North America|Equity|Small Cap Value Equities||XMVM|6|9.ASSET|Equity|269.9|5.02|ARW| Arrow Electronics, Inc.| 1.86%| North America|Equity|Small Cap Value Equities||XMVM|6|10.ASSET|Equity|269.9|4.89|MAN| ManpowerGroup Inc.| 1.81%| North America|Equity|Small Cap Value Equities||XMVM|6|11.ASSET|Equity|269.9|4.89|CMC| Commercial Metals Company| 1.81%| North America|Equity|Small Cap Value Equities||XMVM|6|12.ASSET|Equity|269.9|4.86|FHN| First Horizon Corporation| 1.80%| North America|Equity|Small Cap Value Equities||XMVM|6|13.ASSET|Equity|269.9|4.78|THC| Tenet Healthcare Corporation| 1.77%| North America|Equity|Small Cap Value Equities||XMVM|6|14.ASSET|Equity|269.9|4.72|MCY| Mercury General Corporation| 1.75%| North America|Equity|Small Cap Value Equities||XMVM|6|15.ASSET|Equity|269.9|4.62|RS| Reliance Steel & Aluminum Co.| 1.71%| North America|Equity|All Cap Equities||VFMO|6|1.ASSET|Equity|193.8|2.98|NVDA| NVIDIA Corporation| 1.54%| North America|Equity|All Cap Equities||VFMO|6|2.ASSET|Equity|193.8|2.75|UNH| UnitedHealth Group Incorporated| 1.42%| North America|Equity|All Cap Equities||VFMO|6|3.ASSET|Equity|193.8|2.67|COP| ConocoPhillips| 1.38%| North America|Equity|All Cap Equities||VFMO|6|4.ASSET|Equity|193.8|2.19|EOG| EOG Resources, Inc.| 1.13%| North America|Equity|All Cap Equities||VFMO|6|5.ASSET|Equity|193.8|2.17|BX| Blackstone Inc.| 1.12%| North America|Equity|All Cap Equities||VFMO|6|6.ASSET|Equity|193.8|2.07|COST| Costco Wholesale Corporation| 1.07%| North America|Equity|All Cap Equities||VFMO|6|7.ASSET|Equity|193.8|1.98|FTNT| Fortinet, Inc.| 1.02%| North America|Equity|All Cap Equities||VFMO|6|8.ASSET|Equity|193.8|1.98|JCI| Johnson Controls International plc| 1.02%| North America|Equity|All Cap Equities||VFMO|6|9.ASSET|Equity|193.8|1.92|F| Ford Motor Company| 0.99%| North America|Equity|All Cap Equities||VFMO|6|10.ASSET|Equity|193.8|1.88|ORLY| O\'Reilly Automotive, Inc.| 0.97%| North America|Equity|All Cap Equities||VFMO|6|11.ASSET|Equity|193.8|1.88|PFE| Pfizer Inc.| 0.97%| North America|Equity|All Cap Equities||VFMO|6|12.ASSET|Equity|193.8|1.84|CVX| Chevron Corporation| 0.95%| North America|Equity|All Cap Equities||VFMO|6|13.ASSET|Equity|193.8|1.8|CVS| CVS Health Corporation| 0.93%| North America|Equity|All Cap Equities||VFMO|6|14.ASSET|Equity|193.8|1.78|SLB| Schlumberger NV| 0.92%| North America|Equity|All Cap Equities||VFMO|6|15.ASSET|Equity|193.8|1.76|WFC| Wells Fargo & Company| 0.91%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|1.ASSET|Bond|145|0.87|N/A| CORPORATE BOND| 0.60%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|2.ASSET|Bond|145|0.78|N/A| U.S. Dollar| 0.54%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|3.ASSET|Bond|145|0.42|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.29%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|4.ASSET|Bond|145|0.41|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.28%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|5.ASSET|Bond|145|0.38|N/A| Ford Motor Credit Company LLC 5.125% 16-JUN-2025| 0.26%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|6.ASSET|Bond|145|0.38|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.26%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|7.ASSET|Bond|145|0.35|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.24%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|8.ASSET|Bond|145|0.32|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.22%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|9.ASSET|Bond|145|0.32|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 0.22%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|10.ASSET|Bond|145|0.32|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.22%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|11.ASSET|Bond|145|0.32|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.22%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|12.ASSET|Bond|145|0.3|N/A| CCO Holdings LLC 4.25% 01-FEB-2031| 0.21%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|13.ASSET|Bond|145|0.29|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.20%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|14.ASSET|Bond|145|0.28|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.19%| Developed Markets|Bond|High Yield Bonds|Junk|GHYG|6|15.ASSET|Bond|145|0.28|N/A| CCO Holdings LLC 4.5% 01-MAY-2032| 0.19%| North America|Equity|Large Cap Growth Equities||XLSR|6|1.ASSET|Equity|190.8|65.92|XLK| Technology Select Sector SPDR Fund| 34.55%| North America|Equity|Large Cap Growth Equities||XLSR|6|2.ASSET|Equity|190.8|28.45|XLF| Financial Select Sector SPDR Fund| 14.91%| North America|Equity|Large Cap Growth Equities||XLSR|6|3.ASSET|Equity|190.8|22.9|XLV| Health Care Select Sector SPDR Fund| 12.00%| North America|Equity|Large Cap Growth Equities||XLSR|6|4.ASSET|Equity|190.8|16.77|XLP| Consumer Staples Select Sector SPDR Fund| 8.79%| North America|Equity|Large Cap Growth Equities||XLSR|6|5.ASSET|Equity|190.8|15.11|XLB| Materials Select Sector SPDR Fund| 7.92%| North America|Equity|Large Cap Growth Equities||XLSR|6|6.ASSET|Equity|190.8|12.21|XLY| Consumer Discretionary Select Sector SPDR Fund| 6.40%| North America|Equity|Large Cap Growth Equities||XLSR|6|7.ASSET|Equity|190.8|11.35|XLI| Industrial Select Sector SPDR Fund| 5.95%| North America|Equity|Large Cap Growth Equities||XLSR|6|8.ASSET|Equity|190.8|9.41|XLE| Energy Select Sector SPDR Fund| 4.93%| North America|Equity|Large Cap Growth Equities||XLSR|6|9.ASSET|Equity|190.8|4.25|XLU| Utilities Select Sector SPDR Fund| 2.23%| North America|Equity|Large Cap Growth Equities||XLSR|6|10.ASSET|Equity|190.8|4.16|XLC| Communication Services Select Sector SPDR Fund| 2.18%| North America|Equity|Large Cap Growth Equities||XLSR|6|11.ASSET|Equity|190.8|0.27|N/A| U.S. Dollar| 0.14%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|1.ASSET|Multi-Asset|164.6|49.26|N/A| United States Treasury Notes 1.875% 28-FEB-2027| 29.93%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|2.ASSET|Multi-Asset|164.6|18.4|N/A| DERIVATIVE SECURITIES (OTHER)| 11.18%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|3.ASSET|Multi-Asset|164.6|14.7|N/A| U.S. Dollar| 8.93%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|4.ASSET|Multi-Asset|164.6|1.79|NESN| Nestle S.A.| 1.09%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|5.ASSET|Multi-Asset|164.6|1.3|ROG| Roche Holding Ltd| 0.79%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|6.ASSET|Multi-Asset|164.6|1.28|ASML| ASML Holding NV| 0.78%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|7.ASSET|Multi-Asset|164.6|1.17|7203| Toyota Motor Corp.| 0.71%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|8.ASSET|Multi-Asset|164.6|1.04|NOVN| Novartis AG| 0.63%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|9.ASSET|Multi-Asset|164.6|0.97|SHEL| Shell PLC| 0.59%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|10.ASSET|Multi-Asset|164.6|0.92|AZN| AstraZeneca PLC| 0.56%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|11.ASSET|Multi-Asset|164.6|0.91|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.55%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|12.ASSET|Multi-Asset|164.6|0.84|NOVO.B| Novo Nordisk A/S Class B| 0.51%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|13.ASSET|Multi-Asset|164.6|0.82|BHP| BHP Group Ltd| 0.50%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|14.ASSET|Multi-Asset|164.6|0.66|HSBA| HSBC Holdings Plc| 0.40%| Developed Markets|Multi-Asset|Foreign Large Cap Equities||DMRI|6|15.ASSET|Multi-Asset|164.6|0.63|ULVR| Unilever PLC| 0.38%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|1.ASSET|Equity|164.4|4.34|AAL| Anglo American plc| 2.64%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|2.ASSET|Equity|164.4|4.24|BA| BAE Systems plc| 2.58%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|3.ASSET|Equity|164.4|4.14|RIO| Rio Tinto plc| 2.52%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|4.ASSET|Equity|164.4|3.93|BHP| BHP Group Ltd| 2.39%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|5.ASSET|Equity|164.4|3.83|BATS| British American Tobacco p.l.c.| 2.33%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|6.ASSET|Equity|164.4|3.8|REP| Repsol SA| 2.31%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|7.ASSET|Equity|164.4|3.73|ENI| Eni S.p.A.| 2.27%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|8.ASSET|Equity|164.4|3.7|VOD| Vodafone Group Plc| 2.25%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|9.ASSET|Equity|164.4|3.7|8002| Marubeni Corporation| 2.25%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|10.ASSET|Equity|164.4|3.68|ORA| Orange SA| 2.24%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|11.ASSET|Equity|164.4|3.67|267| CITIC Limited| 2.23%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|12.ASSET|Equity|164.4|3.63|BAYN| Bayer AG| 2.21%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|13.ASSET|Equity|164.4|3.63|8053| Sumitomo Corporation| 2.21%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|14.ASSET|Equity|164.4|3.62|TEF| Telefonica SA| 2.20%| Developed Markets|Equity|Foreign Large Cap Equities||IDOG|6|15.ASSET|Equity|164.4|3.52|WBC| Westpac Banking Corporation| 2.14%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|1.ASSET|Equity|172.8|8.86|AAPL| Apple Inc.| 5.13%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|2.ASSET|Equity|172.8|8.36|MSFT| Microsoft Corporation| 4.84%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|3.ASSET|Equity|172.8|8.1|AMZN| Amazon.com, Inc.| 4.69%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|4.ASSET|Equity|172.8|6.84|GOOG| Alphabet Inc. Class C| 3.96%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|5.ASSET|Equity|172.8|3.82|TSLA| Tesla Inc| 2.21%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|6.ASSET|Equity|172.8|3.53|JNJ| Johnson & Johnson| 2.04%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|7.ASSET|Equity|172.8|2.51|BAC| Bank of America Corp| 1.45%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|8.ASSET|Equity|172.8|2.51|PG| Procter & Gamble Company| 1.45%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|9.ASSET|Equity|172.8|2.28|HD| Home Depot, Inc.| 1.32%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|10.ASSET|Equity|172.8|2.07|NESN| Nestle S.A.| 1.20%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|11.ASSET|Equity|172.8|1.99|FB| Meta Platforms Inc. Class A| 1.15%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|12.ASSET|Equity|172.8|1.95|CVX| Chevron Corporation| 1.13%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|13.ASSET|Equity|172.8|1.69|ASML| ASML Holding NV| 0.98%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|14.ASSET|Equity|172.8|1.66|ACN| Accenture Plc Class A| 0.96%| Developed Markets|Equity|Large Cap Growth Equities||ESGG|6|15.ASSET|Equity|172.8|1.66|JPM| JPMorgan Chase & Co.| 0.96%| Middle East|Equity|Global Equities||EIS|6|1.ASSET|Equity|180.7|13.37|LUMI| Bank Leumi Le-Israel Ltd.| 7.40%| Middle East|Equity|Global Equities||EIS|6|2.ASSET|Equity|180.7|13.32|CHKP| Check Point Software Technologies Ltd.| 7.37%| Middle East|Equity|Global Equities||EIS|6|3.ASSET|Equity|180.7|12.69|NICE| NICE Ltd| 7.02%| Middle East|Equity|Global Equities||EIS|6|4.ASSET|Equity|180.7|10.26|POLI| Bank Hapoalim BM| 5.68%| Middle East|Equity|Global Equities||EIS|6|5.ASSET|Equity|180.7|7.48|TEVA| Teva Pharmaceutical Industries Limited Sponsored ADR| 4.14%| Middle East|Equity|Global Equities||EIS|6|6.ASSET|Equity|180.7|6.61|ICL| ICL Group Ltd.| 3.66%| Middle East|Equity|Global Equities||EIS|6|7.ASSET|Equity|180.7|6.36|DSCT| Israel Discount Bank Limited Class A| 3.52%| Middle East|Equity|Global Equities||EIS|6|8.ASSET|Equity|180.7|5.8|CYBR| CyberArk Software Ltd.| 3.21%| Middle East|Equity|Global Equities||EIS|6|9.ASSET|Equity|180.7|4.63|ESLT| Elbit Systems Ltd| 2.56%| Middle East|Equity|Global Equities||EIS|6|10.ASSET|Equity|180.7|4.55|MZTF| Mizrahi Tefahot Bank Ltd| 2.52%| Middle East|Equity|Global Equities||EIS|6|11.ASSET|Equity|180.7|4.25|WIX| Wix.com Ltd.| 2.35%| Middle East|Equity|Global Equities||EIS|6|12.ASSET|Equity|180.7|4.12|TSEM| Tower Semiconductor Ltd| 2.28%| Middle East|Equity|Global Equities||EIS|6|13.ASSET|Equity|180.7|3.61|KRNT| Kornit Digital Ltd.| 2.00%| Middle East|Equity|Global Equities||EIS|6|14.ASSET|Equity|180.7|3.11|AZRG| Azrieli Group Ltd.| 1.72%| Middle East|Equity|Global Equities||EIS|6|15.ASSET|Equity|180.7|2.89|BEZQ| Bezeq The Israel Telecommunication Corp. Ltd.| 1.60%| North America|Equity|Utilities Equities|Utilities|FXU|6|1.ASSET|Equity|207.9|9.36|EXC| Exelon Corporation| 4.50%| North America|Equity|Utilities Equities|Utilities|FXU|6|2.ASSET|Equity|207.9|9.23|AEP| American Electric Power Company, Inc.| 4.44%| North America|Equity|Utilities Equities|Utilities|FXU|6|3.ASSET|Equity|207.9|9|PNW| Pinnacle West Capital Corporation| 4.33%| North America|Equity|Utilities Equities|Utilities|FXU|6|4.ASSET|Equity|207.9|8.96|OGE| OGE Energy Corp.| 4.31%| North America|Equity|Utilities Equities|Utilities|FXU|6|5.ASSET|Equity|207.9|8.52|ETR| Entergy Corporation| 4.10%| North America|Equity|Utilities Equities|Utilities|FXU|6|6.ASSET|Equity|207.9|8.11|EVRG| Evergy, Inc.| 3.90%| North America|Equity|Utilities Equities|Utilities|FXU|6|7.ASSET|Equity|207.9|7.88|NRG| NRG Energy, Inc.| 3.79%| North America|Equity|Utilities Equities|Utilities|FXU|6|8.ASSET|Equity|207.9|7.65|ATO| Atmos Energy Corporation| 3.68%| North America|Equity|Utilities Equities|Utilities|FXU|6|9.ASSET|Equity|207.9|7.34|ED| Consolidated Edison, Inc.| 3.53%| North America|Equity|Utilities Equities|Utilities|FXU|6|10.ASSET|Equity|207.9|7.3|UGI| UGI Corporation| 3.51%| North America|Equity|Utilities Equities|Utilities|FXU|6|11.ASSET|Equity|207.9|7.26|NFG| National Fuel Gas Company| 3.49%| North America|Equity|Utilities Equities|Utilities|FXU|6|12.ASSET|Equity|207.9|7.15|CNP| CenterPoint Energy, Inc.| 3.44%| North America|Equity|Utilities Equities|Utilities|FXU|6|13.ASSET|Equity|207.9|6.92|DUK| Duke Energy Corporation| 3.33%| North America|Equity|Utilities Equities|Utilities|FXU|6|14.ASSET|Equity|207.9|6.8|PCG| PG&E Corporation| 3.27%| North America|Equity|Utilities Equities|Utilities|FXU|6|15.ASSET|Equity|207.9|6.49|WM| Waste Management, Inc.| 3.12%| North America|Bond|High Yield Bonds|Junk|HYZD|6|1.ASSET|Bond|216.5|7.75|N/A| U.S. Dollar| 3.58%| North America|Bond|High Yield Bonds|Junk|HYZD|6|2.ASSET|Bond|216.5|1.88|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.87%| North America|Bond|High Yield Bonds|Junk|HYZD|6|3.ASSET|Bond|216.5|1.86|N/A| NRG Energy, Inc. 5.25% 15-JUN-2029| 0.86%| North America|Bond|High Yield Bonds|Junk|HYZD|6|4.ASSET|Bond|216.5|1.8|N/A| CSC Holdings, LLC 5.25% 01-JUN-2024| 0.83%| North America|Bond|High Yield Bonds|Junk|HYZD|6|5.ASSET|Bond|216.5|1.67|N/A| DISH DBS Corporation 7.75% 01-JUL-2026| 0.77%| North America|Bond|High Yield Bonds|Junk|HYZD|6|6.ASSET|Bond|216.5|1.67|N/A| Sirius XM Radio Inc. 4.125% 01-JUL-2030| 0.77%| North America|Bond|High Yield Bonds|Junk|HYZD|6|7.ASSET|Bond|216.5|1.58|N/A| MGM Resorts International 7.75% 15-MAR-2022| 0.73%| North America|Bond|High Yield Bonds|Junk|HYZD|6|8.ASSET|Bond|216.5|1.52|N/A| CORPORATE BOND| 0.70%| North America|Bond|High Yield Bonds|Junk|HYZD|6|9.ASSET|Bond|216.5|1.52|N/A| Gray Escrow, Inc. 7.0% 15-MAY-2027| 0.70%| North America|Bond|High Yield Bonds|Junk|HYZD|6|10.ASSET|Bond|216.5|1.49|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 0.69%| North America|Bond|High Yield Bonds|Junk|HYZD|6|11.ASSET|Bond|216.5|1.43|N/A| DaVita Inc. 3.75% 15-FEB-2031| 0.66%| North America|Bond|High Yield Bonds|Junk|HYZD|6|12.ASSET|Bond|216.5|1.41|N/A| Community Health Systems, Inc. 4.75% 15-FEB-2031| 0.65%| North America|Bond|High Yield Bonds|Junk|HYZD|6|13.ASSET|Bond|216.5|1.39|N/A| Occidental Petroleum Corporation 4.4% 15-AUG-2049| 0.64%| North America|Bond|High Yield Bonds|Junk|HYZD|6|14.ASSET|Bond|216.5|1.36|N/A| TransDigm, Inc. 4.875% 01-MAY-2029| 0.63%| North America|Bond|High Yield Bonds|Junk|HYZD|6|15.ASSET|Bond|216.5|1.3|N/A| Post Holdings, Inc. 4.625% 15-APR-2030| 0.60%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|1.ASSET|Multi-Asset|142.3|9.93|AAPL| Apple Inc.| 6.98%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|2.ASSET|Multi-Asset|142.3|8.64|MSFT| Microsoft Corporation| 6.07%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|3.ASSET|Multi-Asset|142.3|5.15|AMZN| Amazon.com, Inc.| 3.62%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|4.ASSET|Multi-Asset|142.3|3.14|GOOGL| Alphabet Inc. Class A| 2.21%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|5.ASSET|Multi-Asset|142.3|2.92|GOOG| Alphabet Inc. Class C| 2.05%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|6.ASSET|Multi-Asset|142.3|2.75|TSLA| Tesla Inc| 1.93%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|7.ASSET|Multi-Asset|142.3|2.29|NVDA| NVIDIA Corporation| 1.61%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|8.ASSET|Multi-Asset|142.3|2.26|BRK.B| Berkshire Hathaway Inc. Class B| 1.59%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|9.ASSET|Multi-Asset|142.3|1.88|FB| Meta Platforms Inc. Class A| 1.32%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|10.ASSET|Multi-Asset|142.3|1.75|UNH| UnitedHealth Group Incorporated| 1.23%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|11.ASSET|Multi-Asset|142.3|1.68|JNJ| Johnson & Johnson| 1.18%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|12.ASSET|Multi-Asset|142.3|1.58|JPM| JPMorgan Chase & Co.| 1.11%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|13.ASSET|Multi-Asset|142.3|1.45|PG| Procter & Gamble Company| 1.02%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|14.ASSET|Multi-Asset|142.3|1.37|V| Visa Inc. Class A| 0.96%| North America|Multi-Asset|Large Cap Blend Equities||PBP|6|15.ASSET|Multi-Asset|142.3|1.32|HD| Home Depot, Inc.| 0.93%| North America|Equity|Large Cap Blend Equities||IUS|6|1.ASSET|Equity|208|12.56|AAPL| Apple Inc.| 6.04%| North America|Equity|Large Cap Blend Equities||IUS|6|2.ASSET|Equity|208|6.95|BRK.B| Berkshire Hathaway Inc. Class B| 3.34%| North America|Equity|Large Cap Blend Equities||IUS|6|3.ASSET|Equity|208|6.86|GOOGL| Alphabet Inc. Class A| 3.30%| North America|Equity|Large Cap Blend Equities||IUS|6|4.ASSET|Equity|208|6.68|MSFT| Microsoft Corporation| 3.21%| North America|Equity|Large Cap Blend Equities||IUS|6|5.ASSET|Equity|208|4.91|XOM| Exxon Mobil Corporation| 2.36%| North America|Equity|Large Cap Blend Equities||IUS|6|6.ASSET|Equity|208|3.89|CVX| Chevron Corporation| 1.87%| North America|Equity|Large Cap Blend Equities||IUS|6|7.ASSET|Equity|208|3.49|T| AT&T Inc.| 1.68%| North America|Equity|Large Cap Blend Equities||IUS|6|8.ASSET|Equity|208|3.1|UNH| UnitedHealth Group Incorporated| 1.49%| North America|Equity|Large Cap Blend Equities||IUS|6|9.ASSET|Equity|208|2.95|AMZN| Amazon.com, Inc.| 1.42%| North America|Equity|Large Cap Blend Equities||IUS|6|10.ASSET|Equity|208|2.6|INTC| Intel Corporation| 1.25%| North America|Equity|Large Cap Blend Equities||IUS|6|11.ASSET|Equity|208|2.6|CVS| CVS Health Corporation| 1.25%| North America|Equity|Large Cap Blend Equities||IUS|6|12.ASSET|Equity|208|2.58|VZ| Verizon Communications Inc.| 1.24%| North America|Equity|Large Cap Blend Equities||IUS|6|13.ASSET|Equity|208|2.25|PG| Procter & Gamble Company| 1.08%| North America|Equity|Large Cap Blend Equities||IUS|6|14.ASSET|Equity|208|2.18|WMT| Walmart Inc.| 1.05%| North America|Equity|Large Cap Blend Equities||IUS|6|15.ASSET|Equity|208|2.18|JNJ| Johnson & Johnson| 1.05%| North America|Equity|Volatility Hedged Equity||BJUL|6|1.ASSET|Equity|83.4|83.18|N/A| OPTIONS| 99.74%| North America|Equity|Volatility Hedged Equity||BJUL|6|2.ASSET|Equity|83.4|0.22|N/A| U.S. Dollar| 0.26%| North America|Equity|Small Cap Growth Equities||XSMO|6|1.ASSET|Equity|154.4|5.43|SM| SM Energy Company| 3.52%| North America|Equity|Small Cap Growth Equities||XSMO|6|2.ASSET|Equity|154.4|4.88|OMCL| Omnicell, Inc.| 3.16%| North America|Equity|Small Cap Growth Equities||XSMO|6|3.ASSET|Equity|154.4|4.52|SIG| Signet Jewelers Limited| 2.93%| North America|Equity|Small Cap Growth Equities||XSMO|6|4.ASSET|Equity|154.4|4.25|MTDR| Matador Resources Company| 2.75%| North America|Equity|Small Cap Growth Equities||XSMO|6|5.ASSET|Equity|154.4|3.83|PRFT| Perficient, Inc.| 2.48%| North America|Equity|Small Cap Growth Equities||XSMO|6|6.ASSET|Equity|154.4|3.3|COOP| Mr. Cooper Group, Inc.| 2.14%| North America|Equity|Small Cap Growth Equities||XSMO|6|7.ASSET|Equity|154.4|3.26|KFY| Korn Ferry| 2.11%| North America|Equity|Small Cap Growth Equities||XSMO|6|8.ASSET|Equity|154.4|3.15|BOOT| Boot Barn Holdings, Inc.| 2.04%| North America|Equity|Small Cap Growth Equities||XSMO|6|9.ASSET|Equity|154.4|2.86|GTLS| Chart Industries, Inc.| 1.85%| North America|Equity|Small Cap Growth Equities||XSMO|6|10.ASSET|Equity|154.4|2.84|EXLS| ExlService Holdings, Inc.| 1.84%| North America|Equity|Small Cap Growth Equities||XSMO|6|11.ASSET|Equity|154.4|2.81|NSIT| Insight Enterprises, Inc.| 1.82%| North America|Equity|Small Cap Growth Equities||XSMO|6|12.ASSET|Equity|154.4|2.81|AMN| AMN Healthcare Services, Inc.| 1.82%| North America|Equity|Small Cap Growth Equities||XSMO|6|13.ASSET|Equity|154.4|2.76|SFBS| ServisFirst Bancshares Inc| 1.79%| North America|Equity|Small Cap Growth Equities||XSMO|6|14.ASSET|Equity|154.4|2.72|AGO| Assured Guaranty Ltd.| 1.76%| North America|Equity|Small Cap Growth Equities||XSMO|6|15.ASSET|Equity|154.4|2.56|IIPR| Innovative Industrial Properties Inc| 1.66%| Developed Asia Pacific|Currency|Currency||FXY|6|1.ASSET|Currency|179.1|179.1|N/A| Japanese yen| 100.00%| North America|Equity|Small Cap Growth Equities||BKSE|6|1.ASSET|Equity|76.2|0.28|WBS| Webster Financial Corporation| 0.37%| North America|Equity|Small Cap Growth Equities||BKSE|6|2.ASSET|Equity|76.2|0.28|FCNCA| First Citizens BancShares, Inc. Class A| 0.37%| North America|Equity|Small Cap Growth Equities||BKSE|6|3.ASSET|Equity|76.2|0.26|THC| Tenet Healthcare Corporation| 0.34%| North America|Equity|Small Cap Growth Equities||BKSE|6|4.ASSET|Equity|76.2|0.24|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.32%| North America|Equity|Small Cap Growth Equities||BKSE|6|5.ASSET|Equity|76.2|0.24|SYNA| Synaptics Incorporated| 0.32%| North America|Equity|Small Cap Growth Equities||BKSE|6|6.ASSET|Equity|76.2|0.24|PFGC| Performance Food Group Company| 0.31%| North America|Equity|Small Cap Growth Equities||BKSE|6|7.ASSET|Equity|76.2|0.23|RGLD| Royal Gold, Inc.| 0.30%| North America|Equity|Small Cap Growth Equities||BKSE|6|8.ASSET|Equity|76.2|0.23|HUN| Huntsman Corporation| 0.30%| North America|Equity|Small Cap Growth Equities||BKSE|6|9.ASSET|Equity|76.2|0.23|WSC| WillScot Mobile Mini Holdings Corp. Class A| 0.30%| North America|Equity|Small Cap Growth Equities||BKSE|6|10.ASSET|Equity|76.2|0.22|WH| Wyndham Hotels & Resorts, Inc.| 0.29%| North America|Equity|Small Cap Growth Equities||BKSE|6|11.ASSET|Equity|76.2|0.22|CHK| Chesapeake Energy Corporation| 0.29%| North America|Equity|Small Cap Growth Equities||BKSE|6|12.ASSET|Equity|76.2|0.21|OGE| OGE Energy Corp.| 0.28%| North America|Equity|Small Cap Growth Equities||BKSE|6|13.ASSET|Equity|76.2|0.21|X| United States Steel Corporation| 0.28%| North America|Equity|Small Cap Growth Equities||BKSE|6|14.ASSET|Equity|76.2|0.21|NXST| Nexstar Media Group, Inc. Class A| 0.28%| North America|Equity|Small Cap Growth Equities||BKSE|6|15.ASSET|Equity|76.2|0.21|EGP| EastGroup Properties, Inc.| 0.28%| North America|Equity|Europe Equities||EDEN|6|1.ASSET|Equity|154.7|36.08|NOVO.B| Novo Nordisk A/S Class B| 23.32%| North America|Equity|Europe Equities||EDEN|6|2.ASSET|Equity|154.7|12.82|DSV| DSV A/S| 8.29%| North America|Equity|Europe Equities||EDEN|6|3.ASSET|Equity|154.7|11.26|VWS| Vestas Wind Systems A/S| 7.28%| North America|Equity|Europe Equities||EDEN|6|4.ASSET|Equity|154.7|7.83|ORSTED| Orsted| 5.06%| North America|Equity|Europe Equities||EDEN|6|5.ASSET|Equity|154.7|7.16|GMAB| Genmab A/S| 4.63%| North America|Equity|Europe Equities||EDEN|6|6.ASSET|Equity|154.7|6.65|COLO.B| Coloplast A/S Class B| 4.30%| North America|Equity|Europe Equities||EDEN|6|7.ASSET|Equity|154.7|6.16|MAERSK.B| A.P. Moller - Maersk A/S Class B| 3.98%| North America|Equity|Europe Equities||EDEN|6|8.ASSET|Equity|154.7|5.24|CARL.B| Carlsberg AS Class B| 3.39%| North America|Equity|Europe Equities||EDEN|6|9.ASSET|Equity|154.7|5.17|NZYM.B| Novozymes A/S Class B| 3.34%| North America|Equity|Europe Equities||EDEN|6|10.ASSET|Equity|154.7|4.39|DANSKE| Danske Bank A/S| 2.84%| North America|Equity|Europe Equities||EDEN|6|11.ASSET|Equity|154.7|3.85|PNDORA| Pandora A/S| 2.49%| North America|Equity|Europe Equities||EDEN|6|12.ASSET|Equity|154.7|3.3|TRYG| Tryg A/S| 2.13%| North America|Equity|Europe Equities||EDEN|6|13.ASSET|Equity|154.7|3.26|MAERSK.A| A.P. Moller - Maersk A/S Class A| 2.11%| North America|Equity|Europe Equities||EDEN|6|14.ASSET|Equity|154.7|3.16|CHR| Chr. Hansen Holding A/S| 2.04%| North America|Equity|Europe Equities||EDEN|6|15.ASSET|Equity|154.7|2.57|GN| GN Store Nord A/S| 1.66%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|1.ASSET|Bond|196.9|1.42|N/A| Illinois St 5.0% 01-NOV-2025| 0.72%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|2.ASSET|Bond|196.9|0.95|N/A| New Jersey Economic Dev Auth Rev 4.0% 01-NOV-2025| 0.48%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|3.ASSET|Bond|196.9|0.87|N/A| Massachusetts St Wtr Pollutn Abatement Tr 5.0% 01-AUG-2025| 0.44%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|4.ASSET|Bond|196.9|0.85|N/A| Washington St 5.0% 01-JUN-2025| 0.43%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|5.ASSET|Bond|196.9|0.81|N/A| Nevada St Hwy Impt Rev 5.0% 01-DEC-2025| 0.41%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|6.ASSET|Bond|196.9|0.77|N/A| Maryland St 5.0% 01-AUG-2025| 0.39%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|7.ASSET|Bond|196.9|0.77|N/A| Miami-Dade Cnty Fla Wtr & Swr Rev 5.0% 01-OCT-2025| 0.39%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|8.ASSET|Bond|196.9|0.77|N/A| Massachusetts St Dev Fin Agy Rev 5.0% 15-JUL-2025| 0.39%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|9.ASSET|Bond|196.9|0.77|N/A| Idaho Hsg & Fin Assn 5.0% 15-JUL-2025| 0.39%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|10.ASSET|Bond|196.9|0.77|N/A| New Jersey St 5.0% 01-JUN-2025| 0.39%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|11.ASSET|Bond|196.9|0.71|N/A| U.S. Dollar| 0.36%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|12.ASSET|Bond|196.9|0.71|N/A| Texas Transn Commn St Hwy Fd Rev 5.0% 01-OCT-2025| 0.36%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|13.ASSET|Bond|196.9|0.69|N/A| Philadelphia Pa Wtr & Wastewtr Rev 5.0% 01-OCT-2025| 0.35%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|14.ASSET|Bond|196.9|0.69|N/A| Pennsylvania St 5.0% 15-SEP-2025| 0.35%| North America|Bond|National Munis|Target Maturity Date Munis|IBMN|6|15.ASSET|Bond|196.9|0.67|N/A| New Jersey St Tpk Auth Tpk Rev 5.5% 01-JAN-2025| 0.34%| North America|Equity|All Cap Equities||AUSF|6|1.ASSET|Equity|177.3|3.51|COHR| Coherent, Inc.| 1.98%| North America|Equity|All Cap Equities||AUSF|6|2.ASSET|Equity|177.3|3.49|VZ| Verizon Communications Inc.| 1.97%| North America|Equity|All Cap Equities||AUSF|6|3.ASSET|Equity|177.3|3.49|CERN| Cerner Corporation| 1.97%| North America|Equity|All Cap Equities||AUSF|6|4.ASSET|Equity|177.3|3.44|FCN| FTI Consulting, Inc.| 1.94%| North America|Equity|All Cap Equities||AUSF|6|5.ASSET|Equity|177.3|3.39|WMT| Walmart Inc.| 1.91%| North America|Equity|All Cap Equities||AUSF|6|6.ASSET|Equity|177.3|3.21|LMT| Lockheed Martin Corporation| 1.81%| North America|Equity|All Cap Equities||AUSF|6|7.ASSET|Equity|177.3|2.87|CHNG| Change Healthcare, Inc.| 1.62%| North America|Equity|All Cap Equities||AUSF|6|8.ASSET|Equity|177.3|2.85|DOX| Amdocs Limited| 1.61%| North America|Equity|All Cap Equities||AUSF|6|9.ASSET|Equity|177.3|2.78|NLOK| NortonLifeLock Inc.| 1.57%| North America|Equity|All Cap Equities||AUSF|6|10.ASSET|Equity|177.3|2.75|AJG| Arthur J. Gallagher & Co.| 1.55%| North America|Equity|All Cap Equities||AUSF|6|11.ASSET|Equity|177.3|2.68|PNM| PNM Resources, Inc.| 1.51%| North America|Equity|All Cap Equities||AUSF|6|12.ASSET|Equity|177.3|2.68|JNJ| Johnson & Johnson| 1.51%| North America|Equity|All Cap Equities||AUSF|6|13.ASSET|Equity|177.3|2.59|RSG| Republic Services, Inc.| 1.46%| North America|Equity|All Cap Equities||AUSF|6|14.ASSET|Equity|177.3|2.57|NUAN| Nuance Communications Incorporated| 1.45%| North America|Equity|All Cap Equities||AUSF|6|15.ASSET|Equity|177.3|2.57|MMC| Marsh & McLennan Companies, Inc.| 1.45%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|1.ASSET|Equity|132.5|10.24|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.73%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|2.ASSET|Equity|132.5|6.27|700| Tencent Holdings Ltd.| 4.73%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|3.ASSET|Equity|132.5|5.62|005930| Samsung Electronics Co., Ltd.| 4.24%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|4.ASSET|Equity|132.5|3.54|9988| Alibaba Group Holding Ltd.| 2.67%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|5.ASSET|Equity|132.5|1.76|3690| Meituan Class B| 1.33%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|6.ASSET|Equity|132.5|1.66|500209| Infosys Limited| 1.25%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|7.ASSET|Equity|132.5|1.54|9618| JD.com, Inc. Class A| 1.16%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|8.ASSET|Equity|132.5|1.36|939| China Construction Bank Corporation Class H| 1.03%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|9.ASSET|Equity|132.5|1.29|000660| SK hynix Inc| 0.97%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|10.ASSET|Equity|132.5|1.19|2454| MediaTek Inc| 0.90%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|11.ASSET|Equity|132.5|1.11|532540| Tata Consultancy Services Limited| 0.84%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|12.ASSET|Equity|132.5|1.07|1120| Al Rajhi Bank| 0.81%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|13.ASSET|Equity|132.5|0.99|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.75%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|14.ASSET|Equity|132.5|0.93|BIDU| Baidu Inc Sponsored ADR Class A| 0.70%| Emerging Markets|Equity|Asia Pacific Equities||EEMX|6|15.ASSET|Equity|132.5|0.91|532174| ICICI Bank Limited| 0.69%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|1.ASSET|Bond|256.6|14.4|N/A| U.S. Dollar| 5.61%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|2.ASSET|Bond|256.6|2.82|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-NOV-2051| 1.10%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|3.ASSET|Bond|256.6|1.62|N/A| GNMA II TBA 30yr 3% March Delivery 3.000% 01-DEC-2048| 0.63%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|4.ASSET|Bond|256.6|1.33|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 0.52%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|5.ASSET|Bond|256.6|1.23|N/A| United States Treasury Notes 1.25% 30-NOV-2026| 0.48%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|6.ASSET|Bond|256.6|1.15|N/A| GNMA II TBA 30yr 2% March Delivery 2.000% 01-OCT-2051| 0.45%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|7.ASSET|Bond|256.6|1.15|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-JAN-2052| 0.45%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|8.ASSET|Bond|256.6|1.13|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 0.44%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|9.ASSET|Bond|256.6|1.1|N/A| TREASURY ISSUES (LONG-TERM)| 0.43%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|10.ASSET|Bond|256.6|1.08|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 0.42%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|11.ASSET|Bond|256.6|0.98|N/A| United States Treasury Notes 2.5% 15-AUG-2023| 0.38%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|12.ASSET|Bond|256.6|0.98|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 0.38%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|13.ASSET|Bond|256.6|0.92|N/A| United States Treasury Notes 0.625% 15-OCT-2024| 0.36%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|14.ASSET|Bond|256.6|0.9|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 0.35%| North America|Bond|Total Bond Market|Total Bond Market|BKAG|6|15.ASSET|Bond|256.6|0.87|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 0.34%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|1.ASSET|Equity|120.1|2.31|ALSN| Allison Transmission Holdings, Inc.| 1.92%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|2.ASSET|Equity|120.1|2.19|HMC| Honda Motor Co., Ltd. Sponsored ADR| 1.82%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|3.ASSET|Equity|120.1|2.11|VNE| Veoneer, Inc.| 1.76%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|4.ASSET|Equity|120.1|2.09|MTOR| Meritor, Inc.| 1.74%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|5.ASSET|Equity|120.1|2.08|VC| Visteon Corporation| 1.73%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|6.ASSET|Equity|120.1|2.05|TXT| Textron Inc.| 1.71%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|7.ASSET|Equity|120.1|2.02|THRM| Gentherm Incorporated| 1.68%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|8.ASSET|Equity|120.1|1.99|LI| Li Auto, Inc. Sponsored ADR Class A| 1.66%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|9.ASSET|Equity|120.1|1.97|CMI| Cummins Inc.| 1.64%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|10.ASSET|Equity|120.1|1.97|LAZR| Luminar Technologies, Inc. Class A| 1.64%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|11.ASSET|Equity|120.1|1.93|LYFT| Lyft, Inc. Class A| 1.61%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|12.ASSET|Equity|120.1|1.92|F| Ford Motor Company| 1.60%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|13.ASSET|Equity|120.1|1.87|AXL| American Axle & Manufacturing Holdings, Inc.| 1.56%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|14.ASSET|Equity|120.1|1.84|BWA| BorgWarner Inc.| 1.53%| Developed Markets|Equity|Global Equities|Industrials|HAIL|6|15.ASSET|Equity|120.1|1.84|UBER| Uber Technologies, Inc.| 1.53%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|1.ASSET|Equity|153.7|5.21|AMZN| Amazon.com, Inc.| 3.39%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|2.ASSET|Equity|153.7|5.06|NVDA| NVIDIA Corporation| 3.29%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|3.ASSET|Equity|153.7|5.04|GOOGL| Alphabet Inc. Class A| 3.28%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|4.ASSET|Equity|153.7|5.01|QCOM| Qualcomm Inc| 3.26%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|5.ASSET|Equity|153.7|5.01|AAPL| Apple Inc.| 3.26%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|6.ASSET|Equity|153.7|4.95|MSFT| Microsoft Corporation| 3.22%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|7.ASSET|Equity|153.7|4.84|CSCO| Cisco Systems, Inc.| 3.15%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|8.ASSET|Equity|153.7|4.7|CRM| salesforce.com, inc.| 3.06%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|9.ASSET|Equity|153.7|4.67|NFLX| Netflix, Inc.| 3.04%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|10.ASSET|Equity|153.7|4.66|ORCL| Oracle Corporation| 3.03%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|11.ASSET|Equity|153.7|4.63|ACN| Accenture Plc Class A| 3.01%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|12.ASSET|Equity|153.7|4.61|ADBE| Adobe Inc.| 3.00%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|13.ASSET|Equity|153.7|4.58|005930| Samsung Electronics Co., Ltd.| 2.98%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|14.ASSET|Equity|153.7|4.58|INTC| Intel Corporation| 2.98%| Developed Markets|Equity|Large Cap Growth Equities|Technology|AIQ|6|15.ASSET|Equity|153.7|4.55|TSLA| Tesla Inc| 2.96%| North America|Bond|National Munis|Municipal Bond|FUMB|6|1.ASSET|Bond|169.4|3.49|N/A| Indiana St Fin Auth Environmental Rev VAR 15-DEC-2045| 2.06%| North America|Bond|National Munis|Municipal Bond|FUMB|6|2.ASSET|Bond|169.4|3|N/A| Olmsted Falls Ohio 1.25% 09-JUN-2022| 1.77%| North America|Bond|National Munis|Municipal Bond|FUMB|6|3.ASSET|Bond|169.4|2.74|N/A| Health Care Auth For Baptist Health Ala VAR 01-NOV-2042| 1.62%| North America|Bond|National Munis|Municipal Bond|FUMB|6|4.ASSET|Bond|169.4|2.71|N/A| Oklahoma Dev Fin Auth Rev 1.625% 06-JUL-2023| 1.60%| North America|Bond|National Munis|Municipal Bond|FUMB|6|5.ASSET|Bond|169.4|2.47|N/A| Louisiana Stad & Exposition Dist Rev 4.0% 03-JUL-2023| 1.46%| North America|Bond|National Munis|Municipal Bond|FUMB|6|6.ASSET|Bond|169.4|2.15|N/A| New York N Y VAR 01-OCT-2046| 1.27%| North America|Bond|National Munis|Municipal Bond|FUMB|6|7.ASSET|Bond|169.4|2.12|N/A| Denver Colo Convention Ctr Hotel Auth Rev 5.0% 01-DEC-2023| 1.25%| North America|Bond|National Munis|Municipal Bond|FUMB|6|8.ASSET|Bond|169.4|2.08|N/A| Central Plains Energy Proj Neb Gas Proj Rev VAR 01-MAR-2050| 1.23%| North America|Bond|National Munis|Municipal Bond|FUMB|6|9.ASSET|Bond|169.4|2|N/A| Illinois Fin Auth Rev VAR 01-AUG-2044| 1.18%| North America|Bond|National Munis|Municipal Bond|FUMB|6|10.ASSET|Bond|169.4|2|N/A| Harpursville N Y Cent Sch Dist 1.25% 28-JUN-2022| 1.18%| North America|Bond|National Munis|Municipal Bond|FUMB|6|11.ASSET|Bond|169.4|2|N/A| Mobile Ala Indl Dev Brd Rev VAR 01-SEP-2031| 1.18%| North America|Bond|National Munis|Municipal Bond|FUMB|6|12.ASSET|Bond|169.4|2|N/A| Tender Opt Bd Tr Rcpts / Ctfs Var Sts VAR 15-AUG-2054| 1.18%| North America|Bond|National Munis|Municipal Bond|FUMB|6|13.ASSET|Bond|169.4|2|N/A| California Pollutn Ctl Fing Auth Solid Waste Disp Rev VAR 01-NOV-2042| 1.18%| North America|Bond|National Munis|Municipal Bond|FUMB|6|14.ASSET|Bond|169.4|1.93|N/A| New York N Y City Hsg Dev Corp Multifamily Hsg Rev VAR 01-MAY-2061| 1.14%| North America|Bond|National Munis|Municipal Bond|FUMB|6|15.ASSET|Bond|169.4|1.93|N/A| Tender Opt Bd Tr Rcpts / Ctfs Var Sts VAR 01-MAY-2054| 1.14%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|1.ASSET|Bond|143.4|19.95|N/A| United States Treasury Notes 0.5% 31-MAR-2025| 13.91%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|2.ASSET|Bond|143.4|8.7|N/A| TREASURY ISSUES (SHORT-TERM)| 6.07%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|3.ASSET|Bond|143.4|8.04|N/A| United States Treasury Notes 0.625% 31-JUL-2026| 5.61%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|4.ASSET|Bond|143.4|6.68|N/A| UMBS TBA 15yr 2% March Delivery 2.000% 01-NOV-2036| 4.66%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|5.ASSET|Bond|143.4|5.41|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 3.77%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|6.ASSET|Bond|143.4|4.65|N/A| United States Treasury Notes 0.125% 31-AUG-2023| 3.24%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|7.ASSET|Bond|143.4|3.67|N/A| United States Treasury Notes 1.25% 31-DEC-2026| 2.56%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|8.ASSET|Bond|143.4|3.64|N/A| TREASURY ISSUES (LONG-TERM)| 2.54%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|9.ASSET|Bond|143.4|3.26|N/A| Federal Home Loan Mortgage Corporation 0.375% 20-APR-2023| 2.27%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|10.ASSET|Bond|143.4|2.71|N/A| United States Treasury Notes 0.75% 30-APR-2026| 1.89%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|11.ASSET|Bond|143.4|2.25|N/A| UMBS TBA 15yr 2.5% April Delivery 2.500% 01-AUG-2034| 1.57%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|12.ASSET|Bond|143.4|2.02|N/A| JPMBB Commercial Mortgage Securities Trust 2015-C29 A4 3.6108% 15-MAY-2025| 1.41%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|13.ASSET|Bond|143.4|2.01|N/A| Benchmark 2021-B25 Mortgage Trust A5 2.577% 15-APR-2054| 1.40%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|14.ASSET|Bond|143.4|1.98|N/A| United States Treasury Notes 0.75% 31-MAR-2026| 1.38%| North America|Bond|Total Bond Market|Total Bond Market|SHAG|6|15.ASSET|Bond|143.4|1.95|N/A| CSAIL 2018-CX11 Commercial Mortgage Trust A4 3.7659% 15-APR-2051| 1.36%| Developed Markets|Equity|Energy Equities|Energy|XES|6|1.ASSET|Equity|248.6|14.39|PTEN| Patterson-UTI Energy, Inc.| 5.79%| Developed Markets|Equity|Energy Equities|Energy|XES|6|2.ASSET|Equity|248.6|13.57|HP| Helmerich & Payne, Inc.| 5.46%| Developed Markets|Equity|Energy Equities|Energy|XES|6|3.ASSET|Equity|248.6|12.23|NBR| Nabors Industries Ltd.| 4.92%| Developed Markets|Equity|Energy Equities|Energy|XES|6|4.ASSET|Equity|248.6|12.23|HAL| Halliburton Company| 4.92%| Developed Markets|Equity|Energy Equities|Energy|XES|6|5.ASSET|Equity|248.6|12.01|WHD| Cactus, Inc. Class A| 4.83%| Developed Markets|Equity|Energy Equities|Energy|XES|6|6.ASSET|Equity|248.6|11.63|NEX| NexTier Oilfield Solutions, Inc.| 4.68%| Developed Markets|Equity|Energy Equities|Energy|XES|6|7.ASSET|Equity|248.6|11.44|VAL| Valaris Ltd.| 4.60%| Developed Markets|Equity|Energy Equities|Energy|XES|6|8.ASSET|Equity|248.6|11.24|SLB| Schlumberger NV| 4.52%| Developed Markets|Equity|Energy Equities|Energy|XES|6|9.ASSET|Equity|248.6|11.04|NOV| NOV Inc.| 4.44%| Developed Markets|Equity|Energy Equities|Energy|XES|6|10.ASSET|Equity|248.6|10.96|LBRT| Liberty Oilfield Services Inc. Class A| 4.41%| Developed Markets|Equity|Energy Equities|Energy|XES|6|11.ASSET|Equity|248.6|10.81|OII| Oceaneering International, Inc.| 4.35%| Developed Markets|Equity|Energy Equities|Energy|XES|6|12.ASSET|Equity|248.6|10.64|RIG| Transocean Ltd.| 4.28%| Developed Markets|Equity|Energy Equities|Energy|XES|6|13.ASSET|Equity|248.6|10.62|BKR| Baker Hughes Company Class A| 4.27%| Developed Markets|Equity|Energy Equities|Energy|XES|6|14.ASSET|Equity|248.6|10.04|CLB| Core Laboratories NV| 4.04%| Developed Markets|Equity|Energy Equities|Energy|XES|6|15.ASSET|Equity|248.6|9.77|SLCA| U.S. Silica Holdings, Inc.| 3.93%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|1.ASSET|Equity|190.1|11.25|BHP| BHP Group Ltd| 5.92%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|2.ASSET|Equity|190.1|6.37|RIO| Rio Tinto plc| 3.35%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|3.ASSET|Equity|190.1|5|NOVN| Novartis AG| 2.63%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|4.ASSET|Equity|190.1|3.65|9432| Nippon Telegraph and Telephone Corporation| 1.92%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|5.ASSET|Equity|190.1|3.48|GSK| GlaxoSmithKline plc| 1.83%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|6.ASSET|Equity|190.1|3.25|9434| SoftBank Corp.| 1.71%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|7.ASSET|Equity|190.1|2.98|SAN| Sanofi| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|8.ASSET|Equity|190.1|2.95|FMG| Fortescue Metals Group Ltd| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|9.ASSET|Equity|190.1|2.81|ULVR| Unilever PLC| 1.48%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|10.ASSET|Equity|190.1|2.76|AAL| Anglo American plc| 1.45%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|11.ASSET|Equity|190.1|2.51|BP| BP p.l.c.| 1.32%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|12.ASSET|Equity|190.1|2.51|CBA| Commonwealth Bank of Australia| 1.32%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|13.ASSET|Equity|190.1|2.36|9433| KDDI Corporation| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|14.ASSET|Equity|190.1|2.34|CS| AXA SA| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||DTH|6|15.ASSET|Equity|190.1|2.26|2914| Japan Tobacco Inc.| 1.19%| North America|Equity|Small Cap Growth Equities||MFMS|6|1.ASSET|Equity|158.8|8.58|ALRM| Alarm.com Holdings, Inc.| 5.40%| North America|Equity|Small Cap Growth Equities||MFMS|6|2.ASSET|Equity|158.8|8.15|WSO| Watsco, Inc.| 5.13%| North America|Equity|Small Cap Growth Equities||MFMS|6|3.ASSET|Equity|158.8|8.13|HSKA| Heska Corporation| 5.12%| North America|Equity|Small Cap Growth Equities||MFMS|6|4.ASSET|Equity|158.8|7.51|NMRK| Newmark Group, Inc. Class A| 4.73%| North America|Equity|Small Cap Growth Equities||MFMS|6|5.ASSET|Equity|158.8|7.4|AXON| Axon Enterprise Inc| 4.66%| North America|Equity|Small Cap Growth Equities||MFMS|6|6.ASSET|Equity|158.8|7.11|PEN| Penumbra, Inc.| 4.48%| North America|Equity|Small Cap Growth Equities||MFMS|6|7.ASSET|Equity|158.8|6.65|FOXF| Fox Factory Holding Corp.| 4.19%| North America|Equity|Small Cap Growth Equities||MFMS|6|8.ASSET|Equity|158.8|6.46|JLL| Jones Lang LaSalle Incorporated| 4.07%| North America|Equity|Small Cap Growth Equities||MFMS|6|9.ASSET|Equity|158.8|6.35|GSHD| Goosehead Insurance, Inc. Class A| 4.00%| North America|Equity|Small Cap Growth Equities||MFMS|6|10.ASSET|Equity|158.8|5.86|JBT| John Bean Technologies Corporation| 3.69%| North America|Equity|Small Cap Growth Equities||MFMS|6|11.ASSET|Equity|158.8|5.86|SMAR| Smartsheet, Inc. Class A| 3.69%| North America|Equity|Small Cap Growth Equities||MFMS|6|12.ASSET|Equity|158.8|5.83|PTCT| PTC Therapeutics, Inc.| 3.67%| North America|Equity|Small Cap Growth Equities||MFMS|6|13.ASSET|Equity|158.8|5.81|TREX| Trex Company, Inc.| 3.66%| North America|Equity|Small Cap Growth Equities||MFMS|6|14.ASSET|Equity|158.8|5.62|PCTY| Paylocity Holding Corp.| 3.54%| North America|Equity|Small Cap Growth Equities||MFMS|6|15.ASSET|Equity|158.8|5.62|GMED| Globus Medical Inc Class A| 3.54%| North America|Equity|Small Cap Growth Equities||JPSE|6|1.ASSET|Equity|199.1|1.53|N/A| U.S. Dollar| 0.77%| North America|Equity|Small Cap Growth Equities||JPSE|6|2.ASSET|Equity|199.1|1.04|PTEN| Patterson-UTI Energy, Inc.| 0.52%| North America|Equity|Small Cap Growth Equities||JPSE|6|3.ASSET|Equity|199.1|0.94|AR| Antero Resources Corporation| 0.47%| North America|Equity|Small Cap Growth Equities||JPSE|6|4.ASSET|Equity|199.1|0.92|OVV| Ovintiv Inc| 0.46%| North America|Equity|Small Cap Growth Equities||JPSE|6|5.ASSET|Equity|199.1|0.88|ROCC| Ranger Oil Corporation Class A| 0.44%| North America|Equity|Small Cap Growth Equities||JPSE|6|6.ASSET|Equity|199.1|0.88|PDCE| PDC Energy, Inc.| 0.44%| North America|Equity|Small Cap Growth Equities||JPSE|6|7.ASSET|Equity|199.1|0.86|MTDR| Matador Resources Company| 0.43%| North America|Equity|Small Cap Growth Equities||JPSE|6|8.ASSET|Equity|199.1|0.84|NBR| Nabors Industries Ltd.| 0.42%| North America|Equity|Small Cap Growth Equities||JPSE|6|9.ASSET|Equity|199.1|0.84|SM| SM Energy Company| 0.42%| North America|Equity|Small Cap Growth Equities||JPSE|6|10.ASSET|Equity|199.1|0.84|WHD| Cactus, Inc. Class A| 0.42%| North America|Equity|Small Cap Growth Equities||JPSE|6|11.ASSET|Equity|199.1|0.84|CEIX| CONSOL Energy Inc| 0.42%| North America|Equity|Small Cap Growth Equities||JPSE|6|12.ASSET|Equity|199.1|0.8|CDEV| Centennial Resource Development, Inc. Class A| 0.40%| North America|Equity|Small Cap Growth Equities||JPSE|6|13.ASSET|Equity|199.1|0.78|TWNK| Hostess Brands, Inc. Class A| 0.39%| North America|Equity|Small Cap Growth Equities||JPSE|6|14.ASSET|Equity|199.1|0.78|CNX| CNX Resources Corporation| 0.39%| North America|Equity|Small Cap Growth Equities||JPSE|6|15.ASSET|Equity|199.1|0.78|MGY| Magnolia Oil & Gas Corp. Class A| 0.39%| North America|Bond|National Munis|Municipal Bond|TAXF|6|1.ASSET|Bond|226.8|15.17|N/A| MUTUAL FUND (OTHER)| 6.69%| North America|Bond|National Munis|Municipal Bond|TAXF|6|2.ASSET|Bond|226.8|3.74|N/A| MUNICIPAL BONDS| 1.65%| North America|Bond|National Munis|Municipal Bond|TAXF|6|3.ASSET|Bond|226.8|2.04|N/A| Wisconsin St 5.0% 01-MAY-2031| 0.90%| North America|Bond|National Munis|Municipal Bond|TAXF|6|4.ASSET|Bond|226.8|1.86|N/A| Orange Cnty Calif Transn Auth Rev 5.0% 15-OCT-2024| 0.82%| North America|Bond|National Munis|Municipal Bond|TAXF|6|5.ASSET|Bond|226.8|1.77|N/A| Florida St Brd Ed Pub Ed 5.0% 01-JUN-2023| 0.78%| North America|Bond|National Munis|Municipal Bond|TAXF|6|6.ASSET|Bond|226.8|1.72|N/A| California Cmnty Choice Fing Auth Clean Energy Proj Rev FRN 01-FEB-2052| 0.76%| North America|Bond|National Munis|Municipal Bond|TAXF|6|7.ASSET|Bond|226.8|1.7|N/A| Hampton Rds Va Transn Accountability Commn Rev 5.0% 01-JUL-2026| 0.75%| North America|Bond|National Munis|Municipal Bond|TAXF|6|8.ASSET|Bond|226.8|1.47|N/A| Minnesota St 4.0% 01-SEP-2033| 0.65%| North America|Bond|National Munis|Municipal Bond|TAXF|6|9.ASSET|Bond|226.8|1.45|N/A| Connecticut St Spl Tax Oblig Rev 5.0% 01-MAY-2029| 0.64%| North America|Bond|National Munis|Municipal Bond|TAXF|6|10.ASSET|Bond|226.8|1.41|N/A| Illinois Fin Auth Rev 5.0% 01-JUL-2033| 0.62%| North America|Bond|National Munis|Municipal Bond|TAXF|6|11.ASSET|Bond|226.8|1.38|N/A| Nevada Sys Higher Ed Univs Rev 5.0% 01-JUL-2023| 0.61%| North America|Bond|National Munis|Municipal Bond|TAXF|6|12.ASSET|Bond|226.8|1.36|N/A| Connecticut St Health & Edl Facs Auth Rev 5.0% 01-DEC-2045| 0.60%| North America|Bond|National Munis|Municipal Bond|TAXF|6|13.ASSET|Bond|226.8|1.32|N/A| Delaware Cnty Pa Auth Rev 5.0% 01-AUG-2031| 0.58%| North America|Bond|National Munis|Municipal Bond|TAXF|6|14.ASSET|Bond|226.8|1.32|N/A| Main Str Nat Gas Inc Ga Gas Supply Rev VAR 01-MAY-2052| 0.58%| North America|Bond|National Munis|Municipal Bond|TAXF|6|15.ASSET|Bond|226.8|1.25|N/A| Triborough Brdg & Tunl Auth N Y Payroll Mobilitytax VAR 15-MAY-2050| 0.55%| North America|Bond|National Munis|Municipal Bond|FSMB|6|1.ASSET|Bond|211.1|15.58|N/A| U.S. Dollar| 7.38%| North America|Bond|National Munis|Municipal Bond|FSMB|6|2.ASSET|Bond|211.1|3.99|N/A| Black Belt Energy Gas Dist Ala Gas Proj Rev VAR 01-OCT-2052| 1.89%| North America|Bond|National Munis|Municipal Bond|FSMB|6|3.ASSET|Bond|211.1|2.01|N/A| Hawaii St Dept Budget & Fin Spl Purp Rev 3.1% 01-MAY-2026| 0.95%| North America|Bond|National Munis|Municipal Bond|FSMB|6|4.ASSET|Bond|211.1|1.98|N/A| Illinois Fin Auth Rev 5.0% 15-FEB-2027| 0.94%| North America|Bond|National Munis|Municipal Bond|FSMB|6|5.ASSET|Bond|211.1|1.86|N/A| Milpitas Calif Redev Agy Successor Agy Tax Allocation 5.0% 01-SEP-2028| 0.88%| North America|Bond|National Munis|Municipal Bond|FSMB|6|6.ASSET|Bond|211.1|1.65|N/A| Harbor Point Infrastructure Impt Dist Conn Spl Oblig Rev 5.0% 01-APR-2030| 0.78%| North America|Bond|National Munis|Municipal Bond|FSMB|6|7.ASSET|Bond|211.1|1.6|N/A| Ohio St Air Quality Dev Auth Rev VAR 01-FEB-2026| 0.76%| North America|Bond|National Munis|Municipal Bond|FSMB|6|8.ASSET|Bond|211.1|1.56|N/A| New Jersey St 5.0% 01-JUN-2025| 0.74%| North America|Bond|National Munis|Municipal Bond|FSMB|6|9.ASSET|Bond|211.1|1.56|N/A| Michigan St Strategic Fd Ltd Oblig Rev VAR 01-OCT-2061| 0.74%| North America|Bond|National Munis|Municipal Bond|FSMB|6|10.ASSET|Bond|211.1|1.41|N/A| Northwest Harris Cnty Mun Util Dist No 5 Tex 4.0% 01-MAY-2025| 0.67%| North America|Bond|National Munis|Municipal Bond|FSMB|6|11.ASSET|Bond|211.1|1.39|N/A| Houston Tex Arpt Sys Rev 5.0% 15-JUL-2027| 0.66%| North America|Bond|National Munis|Municipal Bond|FSMB|6|12.ASSET|Bond|211.1|1.39|N/A| Wilkes-Barre Pa Area Sch Dist 5.0% 01-AUG-2027| 0.66%| North America|Bond|National Munis|Municipal Bond|FSMB|6|13.ASSET|Bond|211.1|1.29|N/A| Sa Energy Acquisition Pub Fac Corp Tex Gas Supply Rev 5.5% 01-AUG-2025| 0.61%| North America|Bond|National Munis|Municipal Bond|FSMB|6|14.ASSET|Bond|211.1|1.22|N/A| Kentucky Inc Ky Pub Energy Auth Gas Suplly Rev VAR 01-APR-2048| 0.58%| North America|Bond|National Munis|Municipal Bond|FSMB|6|15.ASSET|Bond|211.1|1.2|N/A| Middlesex Cnty N J Ctfs Partn 5.0% 15-OCT-2031| 0.57%| |Bond|Total Bond Market|Total Bond Market|OPER|6|1.ASSET|Bond|220.2|0|N/A| Cash Component| 0.00%| North America|Equity|Large Cap Blend Equities||DJD|6|1.ASSET|Equity|188.9|24.37|CVX| Chevron Corporation| 12.90%| North America|Equity|Large Cap Blend Equities||DJD|6|2.ASSET|Equity|188.9|12.73|VZ| Verizon Communications Inc.| 6.74%| North America|Equity|Large Cap Blend Equities||DJD|6|3.ASSET|Equity|188.9|11.88|DOW| Dow, Inc.| 6.29%| North America|Equity|Large Cap Blend Equities||DJD|6|4.ASSET|Equity|188.9|11.69|IBM| International Business Machines Corporation| 6.19%| North America|Equity|Large Cap Blend Equities||DJD|6|5.ASSET|Equity|188.9|10.01|MRK| Merck & Co., Inc.| 5.30%| North America|Equity|Large Cap Blend Equities||DJD|6|6.ASSET|Equity|188.9|9.67|WBA| Walgreens Boots Alliance Inc| 5.12%| North America|Equity|Large Cap Blend Equities||DJD|6|7.ASSET|Equity|188.9|9.39|KO| Coca-Cola Company| 4.97%| North America|Equity|Large Cap Blend Equities||DJD|6|8.ASSET|Equity|188.9|9.29|AMGN| Amgen Inc.| 4.92%| North America|Equity|Large Cap Blend Equities||DJD|6|9.ASSET|Equity|188.9|7.35|PG| Procter & Gamble Company| 3.89%| North America|Equity|Large Cap Blend Equities||DJD|6|10.ASSET|Equity|188.9|6.78|JNJ| Johnson & Johnson| 3.59%| North America|Equity|Large Cap Blend Equities||DJD|6|11.ASSET|Equity|188.9|6.72|MMM| 3M Company| 3.56%| North America|Equity|Large Cap Blend Equities||DJD|6|12.ASSET|Equity|188.9|6.67|CSCO| Cisco Systems, Inc.| 3.53%| North America|Equity|Large Cap Blend Equities||DJD|6|13.ASSET|Equity|188.9|6.67|TRV| Travelers Companies, Inc.| 3.53%| North America|Equity|Large Cap Blend Equities||DJD|6|14.ASSET|Equity|188.9|6.31|INTC| Intel Corporation| 3.34%| North America|Equity|Large Cap Blend Equities||DJD|6|15.ASSET|Equity|188.9|6.14|MCD| McDonald\'s Corporation| 3.25%| North America|Equity|Large Cap Growth Equities||AIEQ|6|1.ASSET|Equity|142.4|6.01|LNG| Cheniere Energy, Inc.| 4.22%| North America|Equity|Large Cap Growth Equities||AIEQ|6|2.ASSET|Equity|142.4|4.77|FGXXX| First American Funds Inc X Government Obligations Fund| 3.35%| North America|Equity|Large Cap Growth Equities||AIEQ|6|3.ASSET|Equity|142.4|4.6|AMD| Advanced Micro Devices, Inc.| 3.23%| North America|Equity|Large Cap Growth Equities||AIEQ|6|4.ASSET|Equity|142.4|4.43|CBRE| CBRE Group, Inc. Class A| 3.11%| North America|Equity|Large Cap Growth Equities||AIEQ|6|5.ASSET|Equity|142.4|4.14|AN| AutoNation, Inc.| 2.91%| North America|Equity|Large Cap Growth Equities||AIEQ|6|6.ASSET|Equity|142.4|3.65|ADI| Analog Devices, Inc.| 2.56%| North America|Equity|Large Cap Growth Equities||AIEQ|6|7.ASSET|Equity|142.4|3.55|DXCM| DexCom, Inc.| 2.49%| North America|Equity|Large Cap Growth Equities||AIEQ|6|8.ASSET|Equity|142.4|3.55|MRNA| Moderna, Inc.| 2.49%| North America|Equity|Large Cap Growth Equities||AIEQ|6|9.ASSET|Equity|142.4|3.42|ETR| Entergy Corporation| 2.40%| North America|Equity|Large Cap Growth Equities||AIEQ|6|10.ASSET|Equity|142.4|3.37|BX| Blackstone Inc.| 2.37%| North America|Equity|Large Cap Growth Equities||AIEQ|6|11.ASSET|Equity|142.4|3.08|CRWD| CrowdStrike Holdings, Inc. Class A| 2.16%| North America|Equity|Large Cap Growth Equities||AIEQ|6|12.ASSET|Equity|142.4|2.96|NXPI| NXP Semiconductors NV| 2.08%| North America|Equity|Large Cap Growth Equities||AIEQ|6|13.ASSET|Equity|142.4|2.96|V| Visa Inc. Class A| 2.08%| North America|Equity|Large Cap Growth Equities||AIEQ|6|14.ASSET|Equity|142.4|2.71|AVGO| Broadcom Inc.| 1.90%| North America|Equity|Large Cap Growth Equities||AIEQ|6|15.ASSET|Equity|142.4|2.66|PANW| Palo Alto Networks, Inc.| 1.87%| North America|Equity|Volatility Hedged Equity||PFEB|6|1.ASSET|Equity|296.9|294.73|N/A| OPTIONS| 99.27%| North America|Equity|Volatility Hedged Equity||PFEB|6|2.ASSET|Equity|296.9|294.73|N/A| OPTIONS| 99.27%| North America|Equity|Volatility Hedged Equity||PFEB|6|3.ASSET|Equity|296.9|2.17|N/A| U.S. Dollar| 0.73%| North America|Equity|Volatility Hedged Equity||PFEB|6|4.ASSET|Equity|296.9|2.17|N/A| U.S. Dollar| 0.73%| North America|Equity|Large Cap Growth Equities||LRGE|6|1.ASSET|Equity|269.7|24.49|AMZN| Amazon.com, Inc.| 9.08%| North America|Equity|Large Cap Growth Equities||LRGE|6|2.ASSET|Equity|269.7|19.26|MSFT| Microsoft Corporation| 7.14%| North America|Equity|Large Cap Growth Equities||LRGE|6|3.ASSET|Equity|269.7|12.3|AAPL| Apple Inc.| 4.56%| North America|Equity|Large Cap Growth Equities||LRGE|6|4.ASSET|Equity|269.7|11.89|NVDA| NVIDIA Corporation| 4.41%| North America|Equity|Large Cap Growth Equities||LRGE|6|5.ASSET|Equity|269.7|11.49|V| Visa Inc. Class A| 4.26%| North America|Equity|Large Cap Growth Equities||LRGE|6|6.ASSET|Equity|269.7|11.06|FB| Meta Platforms Inc. Class A| 4.10%| North America|Equity|Large Cap Growth Equities||LRGE|6|7.ASSET|Equity|269.7|10.95|UNH| UnitedHealth Group Incorporated| 4.06%| North America|Equity|Large Cap Growth Equities||LRGE|6|8.ASSET|Equity|269.7|9.76|CRM| salesforce.com, inc.| 3.62%| North America|Equity|Large Cap Growth Equities||LRGE|6|9.ASSET|Equity|269.7|9.52|PANW| Palo Alto Networks, Inc.| 3.53%| North America|Equity|Large Cap Growth Equities||LRGE|6|10.ASSET|Equity|269.7|8.23|UPS| United Parcel Service, Inc. Class B| 3.05%| North America|Equity|Large Cap Growth Equities||LRGE|6|11.ASSET|Equity|269.7|7.93|TMO| Thermo Fisher Scientific Inc.| 2.94%| North America|Equity|Large Cap Growth Equities||LRGE|6|12.ASSET|Equity|269.7|7.42|JTSXX| JPMorgan Trust I 100% US Treasury Securities Money Market Fund Institutional| 2.75%| North America|Equity|Large Cap Growth Equities||LRGE|6|13.ASSET|Equity|269.7|7.31|ADBE| Adobe Inc.| 2.71%| North America|Equity|Large Cap Growth Equities||LRGE|6|14.ASSET|Equity|269.7|6.15|SPGI| S&P Global, Inc.| 2.28%| North America|Equity|Large Cap Growth Equities||LRGE|6|15.ASSET|Equity|269.7|6.04|CVS| CVS Health Corporation| 2.24%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|1.ASSET|Equity|162.1|4.43|ROG| Roche Holding Ltd| 2.73%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|2.ASSET|Equity|162.1|4.21|NOVN| Novartis AG| 2.60%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|3.ASSET|Equity|162.1|3.4|RIO| Rio Tinto plc| 2.10%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|4.ASSET|Equity|162.1|3.36|BHP| BHP Group Ltd| 2.07%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|5.ASSET|Equity|162.1|3.11|GSK| GlaxoSmithKline plc| 1.92%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|6.ASSET|Equity|162.1|2.69|SIE| Siemens AG| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|7.ASSET|Equity|162.1|2.58|HLAG| Hapag-Lloyd AG| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|8.ASSET|Equity|162.1|2.56|SU| Schneider Electric SE| 1.58%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|9.ASSET|Equity|162.1|2.38|TEF| Telefonica SA| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|10.ASSET|Equity|162.1|2.38|9984| SoftBank Group Corp.| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|11.ASSET|Equity|162.1|2.37|NESN| Nestle S.A.| 1.46%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|12.ASSET|Equity|162.1|2.29|FERG| Ferguson Plc| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|13.ASSET|Equity|162.1|2.29|CA| Carrefour SA| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|14.ASSET|Equity|162.1|2.22|MAERSK.B| A.P. Moller - Maersk A/S Class B| 1.37%| Developed Markets|Equity|Foreign Large Cap Equities||RFDI|6|15.ASSET|Equity|162.1|2.2|KER| Kering SA| 1.36%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|1.ASSET|Equity|104.6|8|ENPH| Enphase Energy, Inc.| 7.65%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|2.ASSET|Equity|104.6|7.45|PLUG| Plug Power Inc.| 7.12%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|3.ASSET|Equity|104.6|6.67|SEDG| SolarEdge Technologies, Inc.| 6.38%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|4.ASSET|Equity|104.6|6.08|SGRE| Siemens Gamesa Renewable Energy, S.A.| 5.81%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|5.ASSET|Equity|104.6|6.06|VWS| Vestas Wind Systems A/S| 5.79%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|6.ASSET|Equity|104.6|5.91|968| Xinyi Solar Holdings Ltd.| 5.65%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|7.ASSET|Equity|104.6|5.4|006400| Samsung SDI Co., Ltd| 5.16%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|8.ASSET|Equity|104.6|4.34|FSLR| First Solar, Inc.| 4.15%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|9.ASSET|Equity|104.6|3.8|009830| HANWHA SOLUTIONS CORPORATION| 3.63%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|10.ASSET|Equity|104.6|3.5|QS| QuantumScape Corporation Class A| 3.35%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|11.ASSET|Equity|104.6|3.38|JMAT| Johnson Matthey Plc| 3.23%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|12.ASSET|Equity|104.6|3.17|257| China Everbright Environment Group Limited| 3.03%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|13.ASSET|Equity|104.6|2.83|VAR1| Varta AG| 2.71%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|14.ASSET|Equity|104.6|2.71|DQ| Daqo New Energy Corp Sponsored ADR| 2.59%| Global|Equity|Alternative Energy Equities|Energy|CTEC|6|15.ASSET|Equity|104.6|2.32|BE| Bloom Energy Corporation Class A| 2.22%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|1.ASSET|Multi-Asset|196.7|40.62|GLD| SPDR Gold Shares| 20.65%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|2.ASSET|Multi-Asset|196.7|37.77|SHY| iShares 1-3 Year Treasury Bond ETF| 19.20%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|3.ASSET|Multi-Asset|196.7|30.47|SGOL| Aberdeen Standard Physical Gold Shares ETF| 15.49%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|4.ASSET|Multi-Asset|196.7|30.47|IAU| iShares Gold Trust| 15.49%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|5.ASSET|Multi-Asset|196.7|28.32|ICSH| BlackRock Ultra Short-Term Bond ETF| 14.40%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|6.ASSET|Multi-Asset|196.7|28.29|BSV| Vanguard Short-Term Bond ETF| 14.38%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|7.ASSET|Multi-Asset|196.7|0.83|FGXXX| First American Funds Inc X Government Obligations Fund| 0.42%| Global|Multi-Asset|Diversified Portfolio||DUDE|6|8.ASSET|Multi-Asset|196.7|-0.08|N/A| U.S. Dollar| -0.04%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|1.ASSET|Bond|166.4|9.15|N/A| U.S. Dollar| 5.50%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|2.ASSET|Bond|166.4|3.41|N/A| Fannie Mae REMIC Trust 2019-74 BF 0.73686% 25-DEC-2059| 2.05%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|3.ASSET|Bond|166.4|2.9|N/A| Nationwide Building Society 3.622% 26-APR-2023| 1.74%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|4.ASSET|Bond|166.4|2.56|N/A| HCA, Inc. 4.75% 01-MAY-2023| 1.54%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|5.ASSET|Bond|166.4|2.21|N/A| Government of Japan 0.0% 11-APR-2022| 1.33%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|6.ASSET|Bond|166.4|2.18|N/A| Mizuho Financial Group, Inc. FRN 22-MAY-2026| 1.31%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|7.ASSET|Bond|166.4|2.18|N/A| United States Treasury Bills 0.0% 22-MAR-2022| 1.31%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|8.ASSET|Bond|166.4|2.03|N/A| Komatsu Finance America, Inc. 2.437% 11-SEP-2022| 1.22%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|9.ASSET|Bond|166.4|2.01|N/A| American Tower Corporation 3.5% 31-JAN-2023| 1.21%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|10.ASSET|Bond|166.4|2.01|N/A| AIA Group Limited 3.125% 13-MAR-2023| 1.21%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|11.ASSET|Bond|166.4|1.91|N/A| SL Green Operating Partnership LP 3.25% 15-OCT-2022| 1.15%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|12.ASSET|Bond|166.4|1.91|N/A| Zoetis Inc. 3.25% 01-FEB-2023| 1.15%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|13.ASSET|Bond|166.4|1.91|N/A| Federal Home Loan Mortgage Corporation 0.7% 23-DEC-2025| 1.15%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|14.ASSET|Bond|166.4|1.88|N/A| MORTGAGE-BACKED SECURITIES| 1.13%| Developed Markets|Bond|Total Bond Market|Investment Grade Corporate|EMNT|6|15.ASSET|Bond|166.4|1.85|N/A| KT Corporation 2.625% 07-AUG-2022| 1.11%| Developed Markets|Alternatives|Hedge Fund||RLY|6|1.ASSET|Alternatives|243.7|61.75|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 25.34%| Developed Markets|Alternatives|Hedge Fund||RLY|6|2.ASSET|Alternatives|243.7|59.41|GNR| SPDR S&P Global Natural Resources ETF| 24.38%| Developed Markets|Alternatives|Hedge Fund||RLY|6|3.ASSET|Alternatives|243.7|50.13|GII| SPDR S&P Global Infrastructure ETF| 20.57%| Developed Markets|Alternatives|Hedge Fund||RLY|6|4.ASSET|Alternatives|243.7|22.59|TIPX| SPDR Bloomberg 1-10 Year TIPS ETF| 9.27%| Developed Markets|Alternatives|Hedge Fund||RLY|6|5.ASSET|Alternatives|243.7|11.87|RWR| SPDR Dow Jones REIT ETF| 4.87%| Developed Markets|Alternatives|Hedge Fund||RLY|6|6.ASSET|Alternatives|243.7|11.38|XLE| Energy Select Sector SPDR Fund| 4.67%| Developed Markets|Alternatives|Hedge Fund||RLY|6|7.ASSET|Alternatives|243.7|10.48|XME| SPDR S&P Metals & Mining ETF| 4.30%| Developed Markets|Alternatives|Hedge Fund||RLY|6|8.ASSET|Alternatives|243.7|7.26|WIP| SPDR FTSE International Government Inflation-Protected Bond ETF| 2.98%| Developed Markets|Alternatives|Hedge Fund||RLY|6|9.ASSET|Alternatives|243.7|4.7|RWX| SPDR Dow Jones International Real Estate ETF| 1.93%| Developed Markets|Alternatives|Hedge Fund||RLY|6|10.ASSET|Alternatives|243.7|3.48|N/A| MUTUAL FUND (OTHER)| 1.43%| Developed Markets|Alternatives|Hedge Fund||RLY|6|11.ASSET|Alternatives|243.7|0.63|MOO| VanEck Agribusiness ETF| 0.26%| North America|Equity|Leveraged Equities||FBGX|6|1.ASSET|Equity|159.8|17.95|AAPL| Apple Inc| 11.23%| North America|Equity|Leveraged Equities||FBGX|6|2.ASSET|Equity|159.8|15.13|MSFT| Microsoft Corp| 9.47%| North America|Equity|Leveraged Equities||FBGX|6|3.ASSET|Equity|159.8|13.01|AMZN| Amazon.com Inc| 8.14%| North America|Equity|Leveraged Equities||FBGX|6|4.ASSET|Equity|159.8|6.14|FB| Facebook Inc| 3.84%| North America|Equity|Leveraged Equities||FBGX|6|5.ASSET|Equity|159.8|3.32|GOOGL| Alphabet Inc| 2.08%| North America|Equity|Leveraged Equities||FBGX|6|6.ASSET|Equity|159.8|3.29|GOOG| Alphabet Inc| 2.06%| North America|Equity|Leveraged Equities||FBGX|6|7.ASSET|Equity|159.8|3.28|V| Visa Inc| 2.05%| North America|Equity|Leveraged Equities||FBGX|6|8.ASSET|Equity|159.8|3.05|NVDA| NVIDIA Corp| 1.91%| North America|Equity|Leveraged Equities||FBGX|6|9.ASSET|Equity|159.8|3.02|TSLA| Tesla Inc| 1.89%| North America|Equity|Leveraged Equities||FBGX|6|10.ASSET|Equity|159.8|2.89|MA| Mastercard Inc| 1.81%| North America|Equity|Leveraged Equities||FBGX|6|11.ASSET|Equity|159.8|2.33|UNH| UnitedHealth Group Inc| 1.46%| North America|Equity|Leveraged Equities||FBGX|6|12.ASSET|Equity|159.8|2.3|ADBE| Adobe Inc| 1.44%| North America|Equity|Leveraged Equities||FBGX|6|13.ASSET|Equity|159.8|2.22|PYPL| PayPal Holdings Inc| 1.39%| North America|Equity|Leveraged Equities||FBGX|6|14.ASSET|Equity|159.8|2.05|NFLX| Netflix Inc| 1.28%| North America|Equity|Leveraged Equities||FBGX|6|15.ASSET|Equity|159.8|1.93|CRM| Salesforce.Com Inc| 1.21%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|1.ASSET|Bond|275|39.19|N/A| U.S. Dollar| 14.25%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|2.ASSET|Bond|275|7.1|N/A| UMBS TBA 30yr 3% April Delivery 3.000% 01-OCT-2048| 2.58%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|3.ASSET|Bond|275|6.66|N/A| GNMA II 30yr Pool#MA7705 2.500% 20-Nov-2051 2.5% 20-NOV-2051| 2.42%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|4.ASSET|Bond|275|5.58|N/A| United States Treasury Notes 1.125% 31-OCT-2026| 2.03%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|5.ASSET|Bond|275|4.95|N/A| GNMA II 30yr Pool#MA7534 2.500% 20-Aug-2051 2.5% 20-AUG-2051| 1.80%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|6.ASSET|Bond|275|3.82|N/A| United States Treasury Notes 1.25% 30-APR-2028| 1.39%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|7.ASSET|Bond|275|3.71|N/A| United States Treasury Bond 2.25% 15-FEB-2052| 1.35%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|8.ASSET|Bond|275|2.39|N/A| United States Treasury Bond 2.25% 15-MAY-2041| 0.87%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|9.ASSET|Bond|275|1.98|N/A| United States Treasury Bond 2.375% 15-MAY-2051| 0.72%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|10.ASSET|Bond|275|1.84|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-W06 A2 3.8% 25-JUN-2028| 0.67%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|11.ASSET|Bond|275|1.6|N/A| Government of the United States of America 0.0% 15-MAY-2033| 0.58%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|12.ASSET|Bond|275|1.51|N/A| United States Treasury Bond 2.375% 15-NOV-2049| 0.55%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|13.ASSET|Bond|275|1.27|N/A| United States Treasury Bond 3.75% 15-NOV-2043| 0.46%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|14.ASSET|Bond|275|1.24|N/A| CORPORATE BOND| 0.45%| Global|Bond|Total Bond Market|Total Bond Market|JCPB|6|15.ASSET|Bond|275|1.18|N/A| Freddie Mac Multifamily WI Certificates, Series WI-K142 A2 2.4% 25-MAY-2032| 0.43%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|1.ASSET|Equity|142.8|4.83|BHP| BHP Group Ltd| 3.38%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|2.ASSET|Equity|142.8|3.43|NESN| Nestle S.A.| 2.40%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|3.ASSET|Equity|142.8|2.7|RIO| Rio Tinto plc| 1.89%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|4.ASSET|Equity|142.8|2.14|NOVN| Novartis AG| 1.50%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|5.ASSET|Equity|142.8|2.06|7203| Toyota Motor Corp.| 1.44%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|6.ASSET|Equity|142.8|1.84|ROG| Roche Holding Ltd| 1.29%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|7.ASSET|Equity|142.8|1.61|SHEL| Shell PLC| 1.13%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|8.ASSET|Equity|142.8|1.54|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.08%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|9.ASSET|Equity|142.8|1.5|CS| AXA SA| 1.05%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|10.ASSET|Equity|142.8|1.5|CBA| Commonwealth Bank of Australia| 1.05%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|11.ASSET|Equity|142.8|1.49|9432| Nippon Telegraph and Telephone Corporation| 1.04%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|12.ASSET|Equity|142.8|1.47|GSK| GlaxoSmithKline plc| 1.03%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|13.ASSET|Equity|142.8|1.43|9434| SoftBank Corp.| 1.00%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|14.ASSET|Equity|142.8|1.31|SAN| Sanofi| 0.92%| Broad Asia|Equity|Foreign Large Cap Equities||DDWM|6|15.ASSET|Equity|142.8|1.3|ZURN| Zurich Insurance Group Ltd| 0.91%| North America|Equity|Large Cap Growth Equities||MMLG|6|1.ASSET|Equity|94.5|5.74|AMZN| Amazon.com, Inc.| 6.07%| North America|Equity|Large Cap Growth Equities||MMLG|6|2.ASSET|Equity|94.5|4.58|MSFT| Microsoft Corporation| 4.85%| North America|Equity|Large Cap Growth Equities||MMLG|6|3.ASSET|Equity|94.5|3.96|NOW| ServiceNow, Inc.| 4.19%| North America|Equity|Large Cap Growth Equities||MMLG|6|4.ASSET|Equity|94.5|3.71|AAPL| Apple Inc.| 3.93%| North America|Equity|Large Cap Growth Equities||MMLG|6|5.ASSET|Equity|94.5|3.35|V| Visa Inc. Class A| 3.54%| North America|Equity|Large Cap Growth Equities||MMLG|6|6.ASSET|Equity|94.5|3.18|GOOGL| Alphabet Inc. Class A| 3.36%| North America|Equity|Large Cap Growth Equities||MMLG|6|7.ASSET|Equity|94.5|3.14|NFLX| Netflix, Inc.| 3.32%| North America|Equity|Large Cap Growth Equities||MMLG|6|8.ASSET|Equity|94.5|2.4|FB| Meta Platforms Inc. Class A| 2.54%| North America|Equity|Large Cap Growth Equities||MMLG|6|9.ASSET|Equity|94.5|2.12|SQ| Block Inc Class A| 2.24%| North America|Equity|Large Cap Growth Equities||MMLG|6|10.ASSET|Equity|94.5|1.99|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 2.11%| North America|Equity|Large Cap Growth Equities||MMLG|6|11.ASSET|Equity|94.5|1.85|INTU| Intuit Inc.| 1.96%| North America|Equity|Large Cap Growth Equities||MMLG|6|12.ASSET|Equity|94.5|1.74|MTCH| Match Group, Inc.| 1.84%| North America|Equity|Large Cap Growth Equities||MMLG|6|13.ASSET|Equity|94.5|1.71|ALGN| Align Technology, Inc.| 1.81%| North America|Equity|Large Cap Growth Equities||MMLG|6|14.ASSET|Equity|94.5|1.7|UBER| Uber Technologies, Inc.| 1.80%| North America|Equity|Large Cap Growth Equities||MMLG|6|15.ASSET|Equity|94.5|1.54|TEAM| Atlassian Corp. Plc Class A| 1.63%| North America|Equity|Small Cap Blend Equities||FDM|6|1.ASSET|Equity|171.6|2.3|ANDE| Andersons, Inc.| 1.34%| North America|Equity|Small Cap Blend Equities||FDM|6|2.ASSET|Equity|171.6|1.87|IMKTA| Ingles Markets, Incorporated Class A| 1.09%| North America|Equity|Small Cap Blend Equities||FDM|6|3.ASSET|Equity|171.6|1.8|NCBS| Nicolet Bankshares, Inc.| 1.05%| North America|Equity|Small Cap Blend Equities||FDM|6|4.ASSET|Equity|171.6|1.78|ASIX| Advansix, Inc.| 1.04%| North America|Equity|Small Cap Blend Equities||FDM|6|5.ASSET|Equity|171.6|1.77|VIVO| Meridian Bioscience, Inc.| 1.03%| North America|Equity|Small Cap Blend Equities||FDM|6|6.ASSET|Equity|171.6|1.75|AOSL| Alpha and Omega Semiconductor Limited| 1.02%| North America|Equity|Small Cap Blend Equities||FDM|6|7.ASSET|Equity|171.6|1.75|PLAB| Photronics, Inc.| 1.02%| North America|Equity|Small Cap Blend Equities||FDM|6|8.ASSET|Equity|171.6|1.75|AGM| Federal Agricultural Mortgage Corporation Class C| 1.02%| North America|Equity|Small Cap Blend Equities||FDM|6|9.ASSET|Equity|171.6|1.72|LBAI| Lakeland Bancorp, Inc.| 1.00%| North America|Equity|Small Cap Blend Equities||FDM|6|10.ASSET|Equity|171.6|1.68|UEC| Uranium Energy Corp.| 0.98%| North America|Equity|Small Cap Blend Equities||FDM|6|11.ASSET|Equity|171.6|1.66|PFBC| Preferred Bank| 0.97%| North America|Equity|Small Cap Blend Equities||FDM|6|12.ASSET|Equity|171.6|1.66|BANC| Banc of California Incorporated| 0.97%| North America|Equity|Small Cap Blend Equities||FDM|6|13.ASSET|Equity|171.6|1.66|CEIX| CONSOL Energy Inc| 0.97%| North America|Equity|Small Cap Blend Equities||FDM|6|14.ASSET|Equity|171.6|1.63|HMST| HomeStreet, Inc.| 0.95%| North America|Equity|Small Cap Blend Equities||FDM|6|15.ASSET|Equity|171.6|1.63|SPTN| SpartanNash Company| 0.95%| |Commodity|Leveraged Commodities||KOLD|6|1.ASSET|Commodity|190.2|190.2|N/A| Natural Gas| 100.00%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|1.ASSET|Bond|130|0.85|N/A| CORPORATE BOND| 0.65%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|2.ASSET|Bond|130|0.85|N/A| NTT Finance Corp. 0.38% 20-SEP-2030| 0.65%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|3.ASSET|Bond|130|0.85|N/A| Seven & i Holdings Co., Ltd. 0.19% 19-DEC-2025| 0.65%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|4.ASSET|Bond|130|0.69|N/A| Volkswagen International Finance NV 1.875% 30-MAR-2027| 0.53%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|5.ASSET|Bond|130|0.65|N/A| Orange SA 8.125% 28-JAN-2033| 0.50%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|6.ASSET|Bond|130|0.61|N/A| U.S. Dollar| 0.47%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|7.ASSET|Bond|130|0.59|N/A| Sanofi 1.75% 10-SEP-2026| 0.45%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|8.ASSET|Bond|130|0.53|N/A| ENEL Finance International NV 0.375% 17-JUN-2027| 0.41%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|9.ASSET|Bond|130|0.52|N/A| Eni SpA 3.625% 29-JAN-2029| 0.40%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|10.ASSET|Bond|130|0.49|N/A| Fiat Chrysler Automobiles NV 3.875% 05-JAN-2026| 0.38%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|11.ASSET|Bond|130|0.47|N/A| Wells Fargo & Company 2.0% 27-APR-2026| 0.36%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|12.ASSET|Bond|130|0.46|N/A| Wells Fargo & Company 1.5% 24-MAY-2027| 0.35%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|13.ASSET|Bond|130|0.46|N/A| JPMorgan Chase & Co. 0.625% 25-JAN-2024| 0.35%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|14.ASSET|Bond|130|0.46|N/A| Bayer Capital Corp. BV 1.5% 26-JUN-2026| 0.35%| Developed Markets|Bond|Corporate Bonds|International Corporate|IBND|6|15.ASSET|Bond|130|0.46|N/A| HSBC Holdings Plc 0.875% 06-SEP-2024| 0.35%| North America|Equity|Large Cap Blend Equities||SIXA|6|1.ASSET|Equity|163.2|8.96|PM| Philip Morris International Inc.| 5.49%| North America|Equity|Large Cap Blend Equities||SIXA|6|2.ASSET|Equity|163.2|7.33|KHC| Kraft Heinz Company| 4.49%| North America|Equity|Large Cap Blend Equities||SIXA|6|3.ASSET|Equity|163.2|6.56|CVS| CVS Health Corporation| 4.02%| North America|Equity|Large Cap Blend Equities||SIXA|6|4.ASSET|Equity|163.2|6.02|GILD| Gilead Sciences, Inc.| 3.69%| North America|Equity|Large Cap Blend Equities||SIXA|6|5.ASSET|Equity|163.2|5.89|PFE| Pfizer Inc.| 3.61%| North America|Equity|Large Cap Blend Equities||SIXA|6|6.ASSET|Equity|163.2|5.39|LMT| Lockheed Martin Corporation| 3.30%| North America|Equity|Large Cap Blend Equities||SIXA|6|7.ASSET|Equity|163.2|5.06|CVX| Chevron Corporation| 3.10%| North America|Equity|Large Cap Blend Equities||SIXA|6|8.ASSET|Equity|163.2|4.8|BMY| Bristol-Myers Squibb Company| 2.94%| North America|Equity|Large Cap Blend Equities||SIXA|6|9.ASSET|Equity|163.2|4.65|MO| Altria Group Inc| 2.85%| North America|Equity|Large Cap Blend Equities||SIXA|6|10.ASSET|Equity|163.2|4.57|TGT| Target Corporation| 2.80%| North America|Equity|Large Cap Blend Equities||SIXA|6|11.ASSET|Equity|163.2|4.41|WMT| Walmart Inc.| 2.70%| North America|Equity|Large Cap Blend Equities||SIXA|6|12.ASSET|Equity|163.2|4.34|NVDA| NVIDIA Corporation| 2.66%| North America|Equity|Large Cap Blend Equities||SIXA|6|13.ASSET|Equity|163.2|4.29|PEP| PepsiCo, Inc.| 2.63%| North America|Equity|Large Cap Blend Equities||SIXA|6|14.ASSET|Equity|163.2|4.24|LOW| Lowe\'s Companies, Inc.| 2.60%| North America|Equity|Large Cap Blend Equities||SIXA|6|15.ASSET|Equity|163.2|4.24|MRK| Merck & Co., Inc.| 2.60%| North America|Equity|Volatility Hedged Equity||VSMV|6|1.ASSET|Equity|156.7|13.12|MSFT| Microsoft Corporation| 8.37%| North America|Equity|Volatility Hedged Equity||VSMV|6|2.ASSET|Equity|156.7|12.71|AAPL| Apple Inc.| 8.11%| North America|Equity|Volatility Hedged Equity||VSMV|6|3.ASSET|Equity|156.7|7.19|ABBV| AbbVie, Inc.| 4.59%| North America|Equity|Volatility Hedged Equity||VSMV|6|4.ASSET|Equity|156.7|6.47|LMT| Lockheed Martin Corporation| 4.13%| North America|Equity|Volatility Hedged Equity||VSMV|6|5.ASSET|Equity|156.7|6.24|JNJ| Johnson & Johnson| 3.98%| North America|Equity|Volatility Hedged Equity||VSMV|6|6.ASSET|Equity|156.7|5.53|KR| Kroger Co.| 3.53%| North America|Equity|Volatility Hedged Equity||VSMV|6|7.ASSET|Equity|156.7|5.17|WMT| Walmart Inc.| 3.30%| North America|Equity|Volatility Hedged Equity||VSMV|6|8.ASSET|Equity|156.7|5.03|ORLY| O\'Reilly Automotive, Inc.| 3.21%| North America|Equity|Volatility Hedged Equity||VSMV|6|9.ASSET|Equity|156.7|4.98|AZO| AutoZone, Inc.| 3.18%| North America|Equity|Volatility Hedged Equity||VSMV|6|10.ASSET|Equity|156.7|4.94|VZ| Verizon Communications Inc.| 3.15%| North America|Equity|Volatility Hedged Equity||VSMV|6|11.ASSET|Equity|156.7|4.94|NOC| Northrop Grumman Corporation| 3.15%| North America|Equity|Volatility Hedged Equity||VSMV|6|12.ASSET|Equity|156.7|4.72|TGT| Target Corporation| 3.01%| North America|Equity|Volatility Hedged Equity||VSMV|6|13.ASSET|Equity|156.7|4.67|WM| Waste Management, Inc.| 2.98%| North America|Equity|Volatility Hedged Equity||VSMV|6|14.ASSET|Equity|156.7|4.53|BMY| Bristol-Myers Squibb Company| 2.89%| North America|Equity|Volatility Hedged Equity||VSMV|6|15.ASSET|Equity|156.7|4.43|LH| Laboratory Corporation of America Holdings| 2.83%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|1.ASSET|Bond|160.4|3.64|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 2.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|2.ASSET|Bond|160.4|2.37|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.48%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|3.ASSET|Bond|160.4|1.6|N/A| Oracle Corporation 5.375% 15-JUL-2040| 1.00%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|4.ASSET|Bond|160.4|1.59|N/A| Oracle Corporation 5.375% 15-JUL-2040| 0.99%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|5.ASSET|Bond|160.4|1.03|N/A| Oracle Corporation 3.4% 08-JUL-2024| 0.64%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|6.ASSET|Bond|160.4|0.99|N/A| Baxalta, Inc. 4.0% 23-JUN-2025| 0.62%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|7.ASSET|Bond|160.4|0.9|N/A| Ares Capital Corporation 3.875% 15-JAN-2026| 0.56%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|8.ASSET|Bond|160.4|0.88|N/A| Cigna Corporation 4.375% 15-OCT-2028| 0.55%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|9.ASSET|Bond|160.4|0.88|N/A| Cigna Corporation 4.375% 15-OCT-2028| 0.55%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|10.ASSET|Bond|160.4|0.87|N/A| Enterprise Products Operating LLC 3.35% 15-MAR-2023| 0.54%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|11.ASSET|Bond|160.4|0.87|N/A| Enterprise Products Operating LLC 3.35% 15-MAR-2023| 0.54%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|12.ASSET|Bond|160.4|0.87|N/A| CDW LLC 3.569% 01-DEC-2031| 0.54%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|13.ASSET|Bond|160.4|0.87|N/A| CDW LLC 3.569% 01-DEC-2031| 0.54%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|14.ASSET|Bond|160.4|0.85|N/A| Regeneron Pharmaceuticals, Inc. 1.75% 15-SEP-2030| 0.53%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IGEB|6|15.ASSET|Bond|160.4|0.85|N/A| Regeneron Pharmaceuticals, Inc. 1.75% 15-SEP-2030| 0.53%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|1.ASSET|Bond|174.3|4.9|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 2.81%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|2.ASSET|Bond|174.3|4.25|N/A| CORPORATE BOND| 2.44%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|3.ASSET|Bond|174.3|1.62|N/A| Occidental Petroleum Corporation 5.55% 15-MAR-2026| 0.93%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|4.ASSET|Bond|174.3|1.59|N/A| Uber Technologies, Inc. 7.5% 15-SEP-2027| 0.91%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|5.ASSET|Bond|174.3|1.57|N/A| Sasol Financing USA LLC 5.875% 27-MAR-2024| 0.90%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|6.ASSET|Bond|174.3|1.41|N/A| Brookfield Property REIT, Inc. 5.75% 15-MAY-2026| 0.81%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|7.ASSET|Bond|174.3|1.39|N/A| Matador Resources Company 5.875% 15-SEP-2026| 0.80%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|8.ASSET|Bond|174.3|1.36|N/A| PG&E Corporation 5.0% 01-JUL-2028| 0.78%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|9.ASSET|Bond|174.3|1.36|N/A| Aston Martin Capital Holdings Ltd. 10.5% 30-NOV-2025| 0.78%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|10.ASSET|Bond|174.3|1.34|N/A| Tenet Healthcare Corporation 6.25% 01-FEB-2027| 0.77%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|11.ASSET|Bond|174.3|1.32|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.76%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|12.ASSET|Bond|174.3|1.31|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.75%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|13.ASSET|Bond|174.3|1.31|N/A| First Quantum Minerals Ltd. 7.5% 01-APR-2025| 0.75%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|14.ASSET|Bond|174.3|1.31|N/A| UPC Broadband Finco BV 4.875% 15-JUL-2031| 0.75%| Developed Markets|Bond|High Yield Bonds|Junk|HYDB|6|15.ASSET|Bond|174.3|1.29|N/A| Magnum Management Corp. 5.5% 01-MAY-2025| 0.74%| |Commodity|Oil & Gas||USL|6|1.ASSET|Commodity|161.4|161.4|N/A| Sweet Light Crude Oil (WTI)| 100.00%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|1.ASSET|Equity|113.1|2.51|HQY| HealthEquity Inc| 2.22%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|2.ASSET|Equity|113.1|2.35|BKD| Brookdale Senior Living Inc.| 2.08%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|3.ASSET|Equity|113.1|2.27|MCK| McKesson Corporation| 2.01%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|4.ASSET|Equity|113.1|2.27|THC| Tenet Healthcare Corporation| 2.01%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|5.ASSET|Equity|113.1|2.26|PRVA| Privia Health Group, Inc.| 2.00%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|6.ASSET|Equity|113.1|2.25|ABC| AmerisourceBergen Corporation| 1.99%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|7.ASSET|Equity|113.1|2.25|CSTL| Castle Biosciences, Inc.| 1.99%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|8.ASSET|Equity|113.1|2.23|HSIC| Henry Schein, Inc.| 1.97%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|9.ASSET|Equity|113.1|2.21|RCM| R1 RCM Inc| 1.95%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|10.ASSET|Equity|113.1|2.21|UHS| Universal Health Services, Inc. Class B| 1.95%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|11.ASSET|Equity|113.1|2.15|CI| Cigna Corporation| 1.90%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|12.ASSET|Equity|113.1|2.13|CAH| Cardinal Health, Inc.| 1.88%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|13.ASSET|Equity|113.1|2.1|SGRY| Surgery Partners, Inc.| 1.86%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|14.ASSET|Equity|113.1|2.07|CNC| Centene Corporation| 1.83%| North America|Equity|Health & Biotech Equities|Healthcare|XHS|6|15.ASSET|Equity|113.1|2.06|OMI| Owens & Minor, Inc.| 1.82%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|1.ASSET|Equity|80.2|26.64|DGCXX| Dreyfus Government Cash Management Funds Institutional| 33.22%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|2.ASSET|Equity|80.2|10.5|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 13.09%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|3.ASSET|Equity|80.2|0.83|JWN| Nordstrom, Inc.| 1.03%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|4.ASSET|Equity|80.2|0.76|LAD| Lithia Motors, Inc.| 0.95%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|5.ASSET|Equity|80.2|0.75|ABG| Asbury Automotive Group, Inc.| 0.93%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|6.ASSET|Equity|80.2|0.74|ODP| ODP Corporation| 0.92%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|7.ASSET|Equity|80.2|0.73|KSS| Kohl\'s Corporation| 0.91%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|8.ASSET|Equity|80.2|0.71|KR| Kroger Co.| 0.88%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|9.ASSET|Equity|80.2|0.7|SFM| Sprouts Farmers Markets, Inc.| 0.87%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|10.ASSET|Equity|80.2|0.7|SAH| Sonic Automotive, Inc. Class A| 0.87%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|11.ASSET|Equity|80.2|0.68|VSCO| Victoria\'s Secret & Company| 0.85%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|12.ASSET|Equity|80.2|0.67|ACI| Albertsons Companies, Inc. Class A| 0.83%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|13.ASSET|Equity|80.2|0.65|LESL| Leslie\'s, Inc.| 0.81%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|14.ASSET|Equity|80.2|0.64|CASY| Casey\'s General Stores, Inc.| 0.80%| North America|Equity|Leveraged Equities|Consumer Discretionary|RETL|6|15.ASSET|Equity|80.2|0.63|DDS| Dillard\'s, Inc. Class A| 0.79%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|1.ASSET|Equity|170.8|3.45|VALE3| Vale S.A.| 2.02%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|2.ASSET|Equity|170.8|3.42|500209| Infosys Limited| 2.00%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|3.ASSET|Equity|170.8|2.46|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.44%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|4.ASSET|Equity|170.8|1.91|500325| Reliance Industries Limited| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|5.ASSET|Equity|170.8|1.76|1120| Al Rajhi Bank| 1.03%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|6.ASSET|Equity|170.8|1.74|PETR4| Petroleo Brasileiro SA Pfd| 1.02%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|7.ASSET|Equity|170.8|1.71|ETISALAT| Emirates Telecommunications Group Company PJSC| 1.00%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|8.ASSET|Equity|170.8|1.59|532540| Tata Consultancy Services Limited| 0.93%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|9.ASSET|Equity|170.8|1.43|500696| Hindustan Unilever Limited| 0.84%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|10.ASSET|Equity|170.8|1.42|3988| Bank of China Limited Class H| 0.83%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|11.ASSET|Equity|170.8|1.32|600519| Kweichow Moutai Co., Ltd. Class A| 0.77%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|12.ASSET|Equity|170.8|1.25|939| China Construction Bank Corporation Class H| 0.73%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|13.ASSET|Equity|170.8|1.23|2331| Li Ning Company Limited| 0.72%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|14.ASSET|Equity|170.8|1.23|WALMEX| Wal-Mart de Mexico SAB de CV| 0.72%| Emerging Markets|Equity|Emerging Markets Equities||JPEM|6|15.ASSET|Equity|170.8|1.23|GFNORTEO| Grupo Financiero Banorte SAB de CV Class O| 0.72%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|1.ASSET|Multi-Asset|181.4|27.97|VHT| Vanguard Health Care ETF| 15.42%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|2.ASSET|Multi-Asset|181.4|27.63|VPU| Vanguard Utilities ETF| 15.23%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|3.ASSET|Multi-Asset|181.4|26.27|VGLT| Vanguard Long-Term Treasury ETF| 14.48%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|4.ASSET|Multi-Asset|181.4|25.9|BLV| Vanguard Long-Term Bond ETF| 14.28%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|5.ASSET|Multi-Asset|181.4|18.92|AAAU| Goldman Sachs Physical Gold ETF| 10.43%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|6.ASSET|Multi-Asset|181.4|17.96|VGIT| Vanguard Intermediate-Term Treasury ETF| 9.90%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|7.ASSET|Multi-Asset|181.4|9.27|QQQM| Invesco NASDAQ 100 ETF| 5.11%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|8.ASSET|Multi-Asset|181.4|9.14|VDC| Vanguard Consumer Staples ETF| 5.04%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|9.ASSET|Multi-Asset|181.4|8.98|DIA| SPDR Dow Jones Industrial Average ETF Trust| 4.95%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|10.ASSET|Multi-Asset|181.4|8.91|BIV| Vanguard Intermediate-Term Bond ETF| 4.91%| Global|Multi-Asset|Diversified Portfolio||TDSE|6|11.ASSET|Multi-Asset|181.4|0.49|N/A| MUTUAL FUND (OTHER)| 0.27%| North America|Equity|Volatility Hedged Equity||QLV|6|1.ASSET|Equity|165.2|13.53|MSFT| Microsoft Corporation| 8.19%| North America|Equity|Volatility Hedged Equity||QLV|6|2.ASSET|Equity|165.2|8.9|AAPL| Apple Inc.| 5.39%| North America|Equity|Volatility Hedged Equity||QLV|6|3.ASSET|Equity|165.2|7.43|JNJ| Johnson & Johnson| 4.50%| North America|Equity|Volatility Hedged Equity||QLV|6|4.ASSET|Equity|165.2|4.33|HD| Home Depot, Inc.| 2.62%| North America|Equity|Volatility Hedged Equity||QLV|6|5.ASSET|Equity|165.2|4.31|GOOG| Alphabet Inc. Class C| 2.61%| North America|Equity|Volatility Hedged Equity||QLV|6|6.ASSET|Equity|165.2|3.92|LLY| Eli Lilly and Company| 2.37%| North America|Equity|Volatility Hedged Equity||QLV|6|7.ASSET|Equity|165.2|3.67|GOOGL| Alphabet Inc. Class A| 2.22%| North America|Equity|Volatility Hedged Equity||QLV|6|8.ASSET|Equity|165.2|3.57|PG| Procter & Gamble Company| 2.16%| North America|Equity|Volatility Hedged Equity||QLV|6|9.ASSET|Equity|165.2|3.55|V| Visa Inc. Class A| 2.15%| North America|Equity|Volatility Hedged Equity||QLV|6|10.ASSET|Equity|165.2|2.99|MRK| Merck & Co., Inc.| 1.81%| North America|Equity|Volatility Hedged Equity||QLV|6|11.ASSET|Equity|165.2|2.63|WMT| Walmart Inc.| 1.59%| North America|Equity|Volatility Hedged Equity||QLV|6|12.ASSET|Equity|165.2|2.49|AMGN| Amgen Inc.| 1.51%| North America|Equity|Volatility Hedged Equity||QLV|6|13.ASSET|Equity|165.2|2.25|COST| Costco Wholesale Corporation| 1.36%| North America|Equity|Volatility Hedged Equity||QLV|6|14.ASSET|Equity|165.2|2.21|PEP| PepsiCo, Inc.| 1.34%| North America|Equity|Volatility Hedged Equity||QLV|6|15.ASSET|Equity|165.2|2.13|VZ| Verizon Communications Inc.| 1.29%| North America|Equity|Small Cap Blend Equities||OUSM|6|1.ASSET|Equity|151.4|3.94|BG| Bunge Limited| 2.60%| North America|Equity|Small Cap Blend Equities||OUSM|6|2.ASSET|Equity|151.4|3.82|JNPR| Juniper Networks, Inc.| 2.52%| North America|Equity|Small Cap Blend Equities||OUSM|6|3.ASSET|Equity|151.4|3.57|HLI| Houlihan Lokey, Inc. Class A| 2.36%| North America|Equity|Small Cap Blend Equities||OUSM|6|4.ASSET|Equity|151.4|3.45|RHI| Robert Half International Inc.| 2.28%| North America|Equity|Small Cap Blend Equities||OUSM|6|5.ASSET|Equity|151.4|3.3|JKHY| Jack Henry & Associates, Inc.| 2.18%| North America|Equity|Small Cap Blend Equities||OUSM|6|6.ASSET|Equity|151.4|3.3|ORI| Old Republic International Corporation| 2.18%| North America|Equity|Small Cap Blend Equities||OUSM|6|7.ASSET|Equity|151.4|3.24|DOX| Amdocs Limited| 2.14%| North America|Equity|Small Cap Blend Equities||OUSM|6|8.ASSET|Equity|151.4|3.1|SCI| Service Corporation International| 2.05%| North America|Equity|Small Cap Blend Equities||OUSM|6|9.ASSET|Equity|151.4|3.1|WSO| Watsco, Inc.| 2.05%| North America|Equity|Small Cap Blend Equities||OUSM|6|10.ASSET|Equity|151.4|3.1|IPG| Interpublic Group of Companies, Inc.| 2.05%| North America|Equity|Small Cap Blend Equities||OUSM|6|11.ASSET|Equity|151.4|3.09|ERIE| Erie Indemnity Company Class A| 2.04%| North America|Equity|Small Cap Blend Equities||OUSM|6|12.ASSET|Equity|151.4|3.06|AOS| A. O. Smith Corporation| 2.02%| North America|Equity|Small Cap Blend Equities||OUSM|6|13.ASSET|Equity|151.4|3.03|CG| Carlyle Group Inc| 2.00%| North America|Equity|Small Cap Blend Equities||OUSM|6|14.ASSET|Equity|151.4|3|CBOE| Cboe Global Markets Inc| 1.98%| North America|Equity|Small Cap Blend Equities||OUSM|6|15.ASSET|Equity|151.4|3|GNTX| Gentex Corporation| 1.98%| Global|Multi-Asset|Commodities||USOI|6|1.ASSET|Multi-Asset|257.8|257.8|N/A| Sweet Light Crude Oil (WTI)| 100.00%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|1.ASSET|Bond|199.7|16.62|N/A| United States Treasury Notes 0.5% 15-JAN-2028| 8.32%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|2.ASSET|Bond|199.7|15.26|N/A| United States Treasury Notes 0.375% 15-JUL-2027| 7.64%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|3.ASSET|Bond|199.7|13.84|N/A| Government of the United States of America 0.125% 15-OCT-2025| 6.93%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|4.ASSET|Bond|199.7|13.58|N/A| Government of the United States of America 0.125% 15-OCT-2024| 6.80%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|5.ASSET|Bond|199.7|13.52|N/A| United States Treasury Bond 2.125% 15-FEB-2040| 6.77%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|6.ASSET|Bond|199.7|12.94|N/A| Government of the United States of America 0.125% 15-JAN-2030| 6.48%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|7.ASSET|Bond|199.7|11.22|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 5.62%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|8.ASSET|Bond|199.7|10.46|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 5.24%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|9.ASSET|Bond|199.7|10.26|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 5.14%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|10.ASSET|Bond|199.7|9.43|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 4.72%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|11.ASSET|Bond|199.7|9.41|N/A| United States Treasury Bond 0.75% 15-FEB-2042| 4.71%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|12.ASSET|Bond|199.7|9.03|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 4.52%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|13.ASSET|Bond|199.7|8.71|N/A| Government of the United States of America 0.75% 15-JUL-2028| 4.36%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|14.ASSET|Bond|199.7|8.33|N/A| Government of the United States of America 0.125% 15-JUL-2030| 4.17%| North America|Bond|Inflation-Protected Bonds|TIPS|GTIP|6|15.ASSET|Bond|199.7|8.19|N/A| United States Treasury Bond 0.875% 15-FEB-2047| 4.10%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|1.ASSET|Bond|149.8|4.19|N/A| United States Treasury Notes 1.5% 15-FEB-2025| 2.80%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|2.ASSET|Bond|149.8|3.4|N/A| U.S. Dollar| 2.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|3.ASSET|Bond|149.8|2.59|N/A| Bank of America Corporation 3.419% 20-DEC-2028| 1.73%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|4.ASSET|Bond|149.8|2.22|N/A| Morgan Stanley 2.188% 28-APR-2026| 1.48%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|5.ASSET|Bond|149.8|1.96|N/A| HSBC Holdings Plc 2.099% 04-JUN-2026| 1.31%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|6.ASSET|Bond|149.8|1.72|N/A| Verizon Communications Inc. 4.329% 21-SEP-2028| 1.15%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|7.ASSET|Bond|149.8|1.71|N/A| United States Treasury Notes 0.375% 15-AUG-2024| 1.14%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|8.ASSET|Bond|149.8|1.62|N/A| T-Mobile USA, Inc. 4.75% 01-FEB-2028| 1.08%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|9.ASSET|Bond|149.8|1.56|N/A| Williams Companies, Inc. 4.55% 24-JUN-2024| 1.04%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|10.ASSET|Bond|149.8|1.45|N/A| Sysco Corporation 3.3% 15-JUL-2026| 0.97%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|11.ASSET|Bond|149.8|1.38|N/A| Westpac Banking Corporation 2.894% 04-FEB-2030| 0.92%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|12.ASSET|Bond|149.8|1.35|N/A| Protective Life Global Funding 1.618% 15-APR-2026| 0.90%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|13.ASSET|Bond|149.8|1.3|N/A| Microchip Technology Incorporated 4.25% 01-SEP-2025| 0.87%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|14.ASSET|Bond|149.8|1.29|N/A| Bank of America Corporation 2.884% 22-OCT-2030| 0.86%| North America|Bond|Corporate Bonds|Investment Grade Corporate|KORP|6|15.ASSET|Bond|149.8|1.29|N/A| JPMorgan Chase & Co. 2.069% 01-JUN-2029| 0.86%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|1.ASSET|Equity|114.4|9.58|700| Tencent Holdings Ltd.| 8.37%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|2.ASSET|Equity|114.4|6.25|9988| Alibaba Group Holding Ltd.| 5.46%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|3.ASSET|Equity|114.4|2.73|500325| Reliance Industries Limited| 2.39%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|4.ASSET|Equity|114.4|2.7|3690| Meituan Class B| 2.36%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|5.ASSET|Equity|114.4|2.38|VALE3| Vale S.A.| 2.08%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|6.ASSET|Equity|114.4|2.32|500209| Infosys Limited| 2.03%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|7.ASSET|Equity|114.4|2.27|9618| JD.com, Inc. Class A| 1.98%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|8.ASSET|Equity|114.4|2.13|939| China Construction Bank Corporation Class H| 1.86%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|9.ASSET|Equity|114.4|1.61|500010| Housing Development Finance Corporation Limited| 1.41%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|10.ASSET|Equity|114.4|1.52|532174| ICICI Bank Limited| 1.33%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|11.ASSET|Equity|114.4|1.51|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.32%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|12.ASSET|Equity|114.4|1.38|BIDU| Baidu Inc Sponsored ADR Class A| 1.21%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|13.ASSET|Equity|114.4|1.29|532540| Tata Consultancy Services Limited| 1.13%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|14.ASSET|Equity|114.4|1.21|9999| NetEase, Inc| 1.06%| Emerging Markets|Equity|Asia Pacific Equities||BKF|6|15.ASSET|Equity|114.4|1.05|3968| China Merchants Bank Co., Ltd. Class H| 0.92%| North America|Equity|Small Cap Growth Equities||OSCV|6|1.ASSET|Equity|189.7|5.84|N/A| U.S. Dollar| 3.08%| North America|Equity|Small Cap Growth Equities||OSCV|6|2.ASSET|Equity|189.7|4.33|CHE| Chemed Corporation| 2.28%| North America|Equity|Small Cap Growth Equities||OSCV|6|3.ASSET|Equity|189.7|4.23|HIFS| Hingham Institution for Savings| 2.23%| North America|Equity|Small Cap Growth Equities||OSCV|6|4.ASSET|Equity|189.7|4.08|KFRC| Kforce Inc.| 2.15%| North America|Equity|Small Cap Growth Equities||OSCV|6|5.ASSET|Equity|189.7|3.6|OAS| Oasis Petroleum Inc| 1.90%| North America|Equity|Small Cap Growth Equities||OSCV|6|6.ASSET|Equity|189.7|3.6|LSTR| Landstar System, Inc.| 1.90%| North America|Equity|Small Cap Growth Equities||OSCV|6|7.ASSET|Equity|189.7|3.45|FWRD| Forward Air Corporation| 1.82%| North America|Equity|Small Cap Growth Equities||OSCV|6|8.ASSET|Equity|189.7|3.34|MNRL| Brigham Minerals, Inc. Class A| 1.76%| North America|Equity|Small Cap Growth Equities||OSCV|6|9.ASSET|Equity|189.7|3.34|TTEK| Tetra Tech, Inc.| 1.76%| North America|Equity|Small Cap Growth Equities||OSCV|6|10.ASSET|Equity|189.7|3.3|AY| Atlantica Sustainable Infrastructure plc| 1.74%| North America|Equity|Small Cap Growth Equities||OSCV|6|11.ASSET|Equity|189.7|3.21|WAL| Western Alliance Bancorp| 1.69%| North America|Equity|Small Cap Growth Equities||OSCV|6|12.ASSET|Equity|189.7|3.13|PFBC| Preferred Bank| 1.65%| North America|Equity|Small Cap Growth Equities||OSCV|6|13.ASSET|Equity|189.7|3.13|SBCF| Seacoast Banking Corporation of Florida| 1.65%| North America|Equity|Small Cap Growth Equities||OSCV|6|14.ASSET|Equity|189.7|3.11|CSL| Carlisle Companies Incorporated| 1.64%| North America|Equity|Small Cap Growth Equities||OSCV|6|15.ASSET|Equity|189.7|3|THG| Hanover Insurance Group, Inc.| 1.58%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|1.ASSET|Equity|125.6|19.83|HTO| Hellenic Telecommunications Organization SA| 15.79%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|2.ASSET|Equity|125.6|11.94|ALPHA| Alpha Services & Holdings SA| 9.51%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|3.ASSET|Equity|125.6|11.37|EUROB| Eurobank Ergasias Services & Holdings SA| 9.05%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|4.ASSET|Equity|125.6|9.09|OPAP| Greek Organisation of Football Prognostics SA| 7.24%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|5.ASSET|Equity|125.6|5.75|PPC| Public Power Corporation S.A.| 4.58%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|6.ASSET|Equity|125.6|5.11|ETE| National Bank of Greece S.A.| 4.07%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|7.ASSET|Equity|125.6|5.07|TPEIR| Piraeus Financial Holdings S.A.| 4.04%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|8.ASSET|Equity|125.6|4.47|TENERGY| Terna Energy S.A.| 3.56%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|9.ASSET|Equity|125.6|4.37|MOH| MOTOR OIL (HELLAS) CORINTH REFINERIES S.A.| 3.48%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|10.ASSET|Equity|125.6|4.36|MYTIL| MYTILINEOS S.A.| 3.47%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|11.ASSET|Equity|125.6|3.82|TITC| Titan Cement International N.V.| 3.04%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|12.ASSET|Equity|125.6|3.81|GOFPY| Greek Organisation of Football Prognostics SA Unsponsored ADR| 3.03%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|13.ASSET|Equity|125.6|3.78|BELA| Jumbo S.A.| 3.01%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|14.ASSET|Equity|125.6|3.64|ELPE| Hellenic Petroleum Holdings S.A.| 2.90%| Developed Europe|Equity|Emerging Markets Equities|Financials|GREK|6|15.ASSET|Equity|125.6|3.63|LAMDA| LAMDA Development S.A.| 2.89%| North America|Bond|National Munis|Municipal Bond|RVNU|6|1.ASSET|Bond|174.8|2.46|N/A| Triborough Brdg & Tunl Auth N Y Payroll Mobilitytax 5.0% 15-MAY-2051| 1.41%| North America|Bond|National Munis|Municipal Bond|RVNU|6|2.ASSET|Bond|174.8|2.13|N/A| New York St Pwr Auth Rev 3.25% 15-NOV-2060| 1.22%| North America|Bond|National Munis|Municipal Bond|RVNU|6|3.ASSET|Bond|174.8|1.85|N/A| North Tex Twy Auth Rev 5.0% 01-JAN-2048| 1.06%| North America|Bond|National Munis|Municipal Bond|RVNU|6|4.ASSET|Bond|174.8|1.7|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 4.0% 15-JUN-2040| 0.97%| North America|Bond|National Munis|Municipal Bond|RVNU|6|5.ASSET|Bond|174.8|1.57|N/A| San Diego Cnty Calif Regl Arpt Auth Arpt Rev 4.0% 01-JUL-2051| 0.90%| North America|Bond|National Munis|Municipal Bond|RVNU|6|6.ASSET|Bond|174.8|1.57|N/A| San Diego Cnty Calif Regl Arpt Auth Arpt Rev 5.0% 01-JUL-2056| 0.90%| North America|Bond|National Munis|Municipal Bond|RVNU|6|7.ASSET|Bond|174.8|1.5|N/A| Chicago Ill O Hare Intl Arpt Rev 5.0% 01-JAN-2048| 0.86%| North America|Bond|National Munis|Municipal Bond|RVNU|6|8.ASSET|Bond|174.8|1.47|N/A| Metropolitan Wash D C Arpts Auth Dulles Toll Rdrev 4.0% 01-OCT-2053| 0.84%| North America|Bond|National Munis|Municipal Bond|RVNU|6|9.ASSET|Bond|174.8|1.43|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev 5.0% 01-MAY-2045| 0.82%| North America|Bond|National Munis|Municipal Bond|RVNU|6|10.ASSET|Bond|174.8|1.4|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev 4.0% 01-MAY-2049| 0.80%| North America|Bond|National Munis|Municipal Bond|RVNU|6|11.ASSET|Bond|174.8|1.33|N/A| Los Angeles Calif Dept Arpts Rev 4.0% 15-MAY-2044| 0.76%| North America|Bond|National Munis|Municipal Bond|RVNU|6|12.ASSET|Bond|174.8|1.33|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev 5.0% 01-MAY-2037| 0.76%| North America|Bond|National Munis|Municipal Bond|RVNU|6|13.ASSET|Bond|174.8|1.29|N/A| Metropolitan Transn Auth N Y Rev 5.0% 15-NOV-2050| 0.74%| North America|Bond|National Munis|Municipal Bond|RVNU|6|14.ASSET|Bond|174.8|1.24|N/A| Tampa Fla Wtr & Wastewater Sys Rev 5.0% 01-OCT-2054| 0.71%| North America|Bond|National Munis|Municipal Bond|RVNU|6|15.ASSET|Bond|174.8|1.21|N/A| San Francisco Calif City & Cnty Arpts Commn Intlarpt Rev 5.0% 01-MAY-2037| 0.69%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|1.ASSET|Equity|150.4|13.08|NEE| NextEra Energy, Inc.| 8.70%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|2.ASSET|Equity|150.4|7.73|DUK| Duke Energy Corporation| 5.14%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|3.ASSET|Equity|150.4|6.83|SO| Southern Company| 4.54%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|4.ASSET|Equity|150.4|6.48|D| Dominion Energy Inc| 4.31%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|5.ASSET|Equity|150.4|6.15|IBE| Iberdrola SA| 4.09%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|6.ASSET|Equity|150.4|5.84|NG| National Grid plc| 3.88%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|7.ASSET|Equity|150.4|5.31|ENEL| Enel SpA| 3.53%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|8.ASSET|Equity|150.4|4.72|SRE| Sempra Energy| 3.14%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|9.ASSET|Equity|150.4|4.59|AEP| American Electric Power Company, Inc.| 3.05%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|10.ASSET|Equity|150.4|4.18|EXC| Exelon Corporation| 2.78%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|11.ASSET|Equity|150.4|3.64|XEL| Xcel Energy Inc.| 2.42%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|12.ASSET|Equity|150.4|3.29|PEG| Public Service Enterprise Group Inc| 2.19%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|13.ASSET|Equity|150.4|3.07|ED| Consolidated Edison, Inc.| 2.04%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|14.ASSET|Equity|150.4|2.84|WEC| WEC Energy Group Inc| 1.89%| Developed Markets|Equity|Utilities Equities|Utilities|JXI|6|15.ASSET|Equity|150.4|2.83|RWE| RWE AG| 1.88%| North America|Equity|Small Cap Value Equities||RFV|6|1.ASSET|Equity|145.1|3.9|X| United States Steel Corporation| 2.69%| North America|Equity|Small Cap Value Equities||RFV|6|2.ASSET|Equity|145.1|3.77|UNM| Unum Group| 2.60%| North America|Equity|Small Cap Value Equities||RFV|6|3.ASSET|Equity|145.1|3.37|AVT| Avnet, Inc.| 2.32%| North America|Equity|Small Cap Value Equities||RFV|6|4.ASSET|Equity|145.1|3.16|RGA| Reinsurance Group of America, Incorporated| 2.18%| North America|Equity|Small Cap Value Equities||RFV|6|5.ASSET|Equity|145.1|2.89|HFC| HollyFrontier Corporation| 1.99%| North America|Equity|Small Cap Value Equities||RFV|6|6.ASSET|Equity|145.1|2.81|XRX| Xerox Holdings Corporation| 1.94%| North America|Equity|Small Cap Value Equities||RFV|6|7.ASSET|Equity|145.1|2.76|KSS| Kohl\'s Corporation| 1.90%| North America|Equity|Small Cap Value Equities||RFV|6|8.ASSET|Equity|145.1|2.58|TMHC| Taylor Morrison Home Corporation| 1.78%| North America|Equity|Small Cap Value Equities||RFV|6|9.ASSET|Equity|145.1|2.58|CNO| CNO Financial Group, Inc.| 1.78%| North America|Equity|Small Cap Value Equities||RFV|6|10.ASSET|Equity|145.1|2.51|CMC| Commercial Metals Company| 1.73%| North America|Equity|Small Cap Value Equities||RFV|6|11.ASSET|Equity|145.1|2.5|LAD| Lithia Motors, Inc.| 1.72%| North America|Equity|Small Cap Value Equities||RFV|6|12.ASSET|Equity|145.1|2.28|KMPR| Kemper Corporation| 1.57%| North America|Equity|Small Cap Value Equities||RFV|6|13.ASSET|Equity|145.1|2.26|GHC| Graham Holdings Co.| 1.56%| North America|Equity|Small Cap Value Equities||RFV|6|14.ASSET|Equity|145.1|2.25|ORI| Old Republic International Corporation| 1.55%| North America|Equity|Small Cap Value Equities||RFV|6|15.ASSET|Equity|145.1|2.19|ARW| Arrow Electronics, Inc.| 1.51%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|1.ASSET|Equity|176.5|5.95|NESN| Nestle S.A.| 3.37%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|2.ASSET|Equity|176.5|3.78|ASML| ASML Holding NV| 2.14%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|3.ASSET|Equity|176.5|3.51|6758| Sony Group Corporation| 1.99%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|4.ASSET|Equity|176.5|3.39|SIE| Siemens AG| 1.92%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|5.ASSET|Equity|176.5|3.39|GSK| GlaxoSmithKline plc| 1.92%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|6.ASSET|Equity|176.5|3.21|6367| DAIKIN INDUSTRIES, LTD.| 1.82%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|7.ASSET|Equity|176.5|3.18|OR| L\'Oreal SA| 1.80%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|8.ASSET|Equity|176.5|3.07|388| Hong Kong Exchanges & Clearing Ltd.| 1.74%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|9.ASSET|Equity|176.5|3.04|REL| RELX PLC| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|10.ASSET|Equity|176.5|2.93|WES| Wesfarmers Limited| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|11.ASSET|Equity|176.5|2.77|CS| AXA SA| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|12.ASSET|Equity|176.5|2.74|SAP| SAP SE| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|13.ASSET|Equity|176.5|2.54|ISP| Intesa Sanpaolo S.p.A.| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|14.ASSET|Equity|176.5|2.49|NG| National Grid plc| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||NUDM|6|15.ASSET|Equity|176.5|2.49|BN| Danone SA| 1.41%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|1.ASSET|Equity|139.5|10.98|N/A| U.S. Dollar| 7.87%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|2.ASSET|Equity|139.5|10.88|UNH| UnitedHealth Group Incorporated| 7.80%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|3.ASSET|Equity|139.5|10.39|JNJ| Johnson & Johnson| 7.45%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|4.ASSET|Equity|139.5|6.38|PFE| Pfizer Inc.| 4.57%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|5.ASSET|Equity|139.5|6.29|ABBV| AbbVie, Inc.| 4.51%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|6.ASSET|Equity|139.5|5.22|TMO| Thermo Fisher Scientific Inc.| 3.74%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|7.ASSET|Equity|139.5|5.06|ABT| Abbott Laboratories| 3.63%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|8.ASSET|Equity|139.5|4.8|LLY| Eli Lilly and Company| 3.44%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|9.ASSET|Equity|139.5|4.6|MRK| Merck & Co., Inc.| 3.30%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|10.ASSET|Equity|139.5|4.16|DHR| Danaher Corporation| 2.98%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|11.ASSET|Equity|139.5|3.64|BMY| Bristol-Myers Squibb Company| 2.61%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|12.ASSET|Equity|139.5|3.4|MDT| Medtronic Plc| 2.44%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|13.ASSET|Equity|139.5|3.28|CVS| CVS Health Corporation| 2.35%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|14.ASSET|Equity|139.5|3.07|AMGN| Amgen Inc.| 2.20%| North America|Equity|Leveraged Equities|Healthcare|RXL|6|15.ASSET|Equity|139.5|2.68|ANTM| Anthem, Inc.| 1.92%| North America|Equity|Large Cap Blend Equities||ESGA|6|1.ASSET|Equity|129.9|10.9|MSFT| Microsoft Corporation| 8.39%| North America|Equity|Large Cap Blend Equities||ESGA|6|2.ASSET|Equity|129.9|6.57|GOOGL| Alphabet Inc. Class A| 5.06%| North America|Equity|Large Cap Blend Equities||ESGA|6|3.ASSET|Equity|129.9|5.64|AAPL| Apple Inc.| 4.34%| North America|Equity|Large Cap Blend Equities||ESGA|6|4.ASSET|Equity|129.9|5.05|AMZN| Amazon.com, Inc.| 3.89%| North America|Equity|Large Cap Blend Equities||ESGA|6|5.ASSET|Equity|129.9|3.65|NVDA| NVIDIA Corporation| 2.81%| North America|Equity|Large Cap Blend Equities||ESGA|6|6.ASSET|Equity|129.9|2.96|PLD| Prologis, Inc.| 2.28%| North America|Equity|Large Cap Blend Equities||ESGA|6|7.ASSET|Equity|129.9|2.9|TSLA| Tesla Inc| 2.23%| North America|Equity|Large Cap Blend Equities||ESGA|6|8.ASSET|Equity|129.9|2.61|HD| Home Depot, Inc.| 2.01%| North America|Equity|Large Cap Blend Equities||ESGA|6|9.ASSET|Equity|129.9|2.49|NEE| NextEra Energy, Inc.| 1.92%| North America|Equity|Large Cap Blend Equities||ESGA|6|10.ASSET|Equity|129.9|2.31|JPM| JPMorgan Chase & Co.| 1.78%| North America|Equity|Large Cap Blend Equities||ESGA|6|11.ASSET|Equity|129.9|2.04|MS| Morgan Stanley| 1.57%| North America|Equity|Large Cap Blend Equities||ESGA|6|12.ASSET|Equity|129.9|1.97|BAC| Bank of America Corp| 1.52%| North America|Equity|Large Cap Blend Equities||ESGA|6|13.ASSET|Equity|129.9|1.79|UNH| UnitedHealth Group Incorporated| 1.38%| North America|Equity|Large Cap Blend Equities||ESGA|6|14.ASSET|Equity|129.9|1.79|PEP| PepsiCo, Inc.| 1.38%| North America|Equity|Large Cap Blend Equities||ESGA|6|15.ASSET|Equity|129.9|1.66|FB| Meta Platforms Inc. Class A| 1.28%| North America|Equity|Materials|Materials|PYZ|6|1.ASSET|Equity|141.8|7.43|AA| Alcoa Corporation| 5.24%| North America|Equity|Materials|Materials|PYZ|6|2.ASSET|Equity|141.8|5.76|FMC| FMC Corporation| 4.06%| North America|Equity|Materials|Materials|PYZ|6|3.ASSET|Equity|141.8|5.62|MOS| Mosaic Company| 3.96%| North America|Equity|Materials|Materials|PYZ|6|4.ASSET|Equity|141.8|5.53|CLF| Cleveland-Cliffs Inc| 3.90%| North America|Equity|Materials|Materials|PYZ|6|5.ASSET|Equity|141.8|5.46|CF| CF Industries Holdings, Inc.| 3.85%| North America|Equity|Materials|Materials|PYZ|6|6.ASSET|Equity|141.8|5.1|OLN| Olin Corporation| 3.60%| North America|Equity|Materials|Materials|PYZ|6|7.ASSET|Equity|141.8|4.81|MP| MP Materials Corp Class A| 3.39%| North America|Equity|Materials|Materials|PYZ|6|8.ASSET|Equity|141.8|4.79|LPX| Louisiana-Pacific Corporation| 3.38%| North America|Equity|Materials|Materials|PYZ|6|9.ASSET|Equity|141.8|4.72|X| United States Steel Corporation| 3.33%| North America|Equity|Materials|Materials|PYZ|6|10.ASSET|Equity|141.8|4.35|AVY| Avery Dennison Corporation| 3.07%| North America|Equity|Materials|Materials|PYZ|6|11.ASSET|Equity|141.8|4.08|NUE| Nucor Corporation| 2.88%| North America|Equity|Materials|Materials|PYZ|6|12.ASSET|Equity|141.8|4.01|STLD| Steel Dynamics, Inc.| 2.83%| North America|Equity|Materials|Materials|PYZ|6|13.ASSET|Equity|141.8|3.98|APD| Air Products and Chemicals, Inc.| 2.81%| North America|Equity|Materials|Materials|PYZ|6|14.ASSET|Equity|141.8|3.83|CE| Celanese Corporation| 2.70%| North America|Equity|Materials|Materials|PYZ|6|15.ASSET|Equity|141.8|3.79|LTHM| Livent Corporation| 2.67%| North America|Equity|Leveraged Equities|Financials|BNKU|6|1.ASSET|Equity|109.9|11.48|MS| Morgan Stanley| 10.45%| North America|Equity|Leveraged Equities|Financials|BNKU|6|2.ASSET|Equity|109.9|11.36|GS| Goldman Sachs Group Inc| 10.34%| North America|Equity|Leveraged Equities|Financials|BNKU|6|3.ASSET|Equity|109.9|11.23|C| Citigroup Inc| 10.22%| North America|Equity|Leveraged Equities|Financials|BNKU|6|4.ASSET|Equity|109.9|11.15|JPM| JPMorgan Chase & Co| 10.15%| North America|Equity|Leveraged Equities|Financials|BNKU|6|5.ASSET|Equity|109.9|11.02|BAC| Bank of America Corp| 10.03%| North America|Equity|Leveraged Equities|Financials|BNKU|6|6.ASSET|Equity|109.9|11.01|PNC| PNC Financial Services Group Inc| 10.02%| North America|Equity|Leveraged Equities|Financials|BNKU|6|7.ASSET|Equity|109.9|10.81|SCHW| Charles Schwab Corp| 9.84%| North America|Equity|Leveraged Equities|Financials|BNKU|6|8.ASSET|Equity|109.9|10.58|USB| U.S. Bancorp| 9.63%| North America|Equity|Leveraged Equities|Financials|BNKU|6|9.ASSET|Equity|109.9|10.46|WFC| Wells Fargo & Co| 9.52%| North America|Equity|Volatility Hedged Equity||PJUN|6|1.ASSET|Equity|143.3|143.03|N/A| OPTIONS| 99.81%| North America|Equity|Volatility Hedged Equity||PJUN|6|2.ASSET|Equity|143.3|143.01|N/A| OPTIONS| 99.80%| North America|Equity|Volatility Hedged Equity||PJUN|6|3.ASSET|Equity|143.3|0.29|N/A| U.S. Dollar| 0.20%| North America|Equity|Volatility Hedged Equity||PJUN|6|4.ASSET|Equity|143.3|0.27|N/A| U.S. Dollar| 0.19%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|1.ASSET|Real Estate|149.1|5.83|PLD| Prologis, Inc.| 3.91%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|2.ASSET|Real Estate|149.1|5.37|EQIX| Equinix, Inc.| 3.60%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|3.ASSET|Real Estate|149.1|4.86|AVB| AvalonBay Communities, Inc.| 3.26%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|4.ASSET|Real Estate|149.1|4.58|DEA| Easterly Government Properties Inc| 3.07%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|5.ASSET|Real Estate|149.1|4.17|KRC| Kilroy Realty Corporation| 2.80%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|6.ASSET|Real Estate|149.1|4.14|EQR| Equity Residential| 2.78%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|7.ASSET|Real Estate|149.1|4.12|O| Realty Income Corporation| 2.76%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|8.ASSET|Real Estate|149.1|3.85|DLR| Digital Realty Trust, Inc.| 2.58%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|9.ASSET|Real Estate|149.1|3.79|TRNO| Terreno Realty Corporation| 2.54%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|10.ASSET|Real Estate|149.1|3.65|SPG| Simon Property Group, Inc.| 2.45%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|11.ASSET|Real Estate|149.1|3.49|ARE| Alexandria Real Estate Equities, Inc.| 2.34%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|12.ASSET|Real Estate|149.1|3.07|BNL| Broadstone Net Lease, Inc.| 2.06%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|13.ASSET|Real Estate|149.1|2.89|BXP| Boston Properties, Inc.| 1.94%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|14.ASSET|Real Estate|149.1|2.79|AMH| American Homes 4 Rent Class A| 1.87%| North America|Real Estate|Real Estate|Real Estate|PPTY|6|15.ASSET|Real Estate|149.1|2.79|HIW| Highwoods Properties, Inc.| 1.87%| North America|Equity|Technology Equities|Technology|MOON|6|1.ASSET|Equity|67.1|2.18|JNPR| Juniper Networks, Inc.| 3.25%| North America|Equity|Technology Equities|Technology|MOON|6|2.ASSET|Equity|67.1|2.12|IBRX| ImmunityBio Inc| 3.16%| North America|Equity|Technology Equities|Technology|MOON|6|3.ASSET|Equity|67.1|2.07|NTCT| NetScout Systems, Inc.| 3.09%| North America|Equity|Technology Equities|Technology|MOON|6|4.ASSET|Equity|67.1|1.99|ATEN| A10 Networks, Inc.| 2.97%| North America|Equity|Technology Equities|Technology|MOON|6|5.ASSET|Equity|67.1|1.94|LAZR| Luminar Technologies, Inc. Class A| 2.89%| North America|Equity|Technology Equities|Technology|MOON|6|6.ASSET|Equity|67.1|1.91|DBX| Dropbox, Inc. Class A| 2.85%| North America|Equity|Technology Equities|Technology|MOON|6|7.ASSET|Equity|67.1|1.91|YELP| Yelp Inc| 2.84%| North America|Equity|Technology Equities|Technology|MOON|6|8.ASSET|Equity|67.1|1.87|ERII| Energy Recovery, Inc.| 2.79%| North America|Equity|Technology Equities|Technology|MOON|6|9.ASSET|Equity|67.1|1.87|EBON| Ebang International Holdings, Inc. Class A| 2.78%| North America|Equity|Technology Equities|Technology|MOON|6|10.ASSET|Equity|67.1|1.83|AGYS| Agilysys, Inc.| 2.72%| North America|Equity|Technology Equities|Technology|MOON|6|11.ASSET|Equity|67.1|1.78|XPER| Xperi Holding Corporation| 2.65%| North America|Equity|Technology Equities|Technology|MOON|6|12.ASSET|Equity|67.1|1.77|CAN| Canaan Inc. Sponsored ADR Class A| 2.64%| North America|Equity|Technology Equities|Technology|MOON|6|13.ASSET|Equity|67.1|1.76|VRNS| Varonis Systems, Inc.| 2.62%| North America|Equity|Technology Equities|Technology|MOON|6|14.ASSET|Equity|67.1|1.57|BLDP| Ballard Power Systems Inc.| 2.34%| North America|Equity|Technology Equities|Technology|MOON|6|15.ASSET|Equity|67.1|1.54|NNDM| Nano Dimension Ltd Sponsored ADR| 2.30%| North America|Equity|All Cap Equities||BFOR|6|1.ASSET|Equity|146|0.88|AMD| Advanced Micro Devices, Inc.| 0.60%| North America|Equity|All Cap Equities||BFOR|6|2.ASSET|Equity|146|0.77|APO| Apollo Global Management Inc.| 0.53%| North America|Equity|All Cap Equities||BFOR|6|3.ASSET|Equity|146|0.64|BXC| BlueLinx Holdings Inc.| 0.44%| North America|Equity|All Cap Equities||BFOR|6|4.ASSET|Equity|146|0.61|EOG| EOG Resources, Inc.| 0.42%| North America|Equity|All Cap Equities||BFOR|6|5.ASSET|Equity|146|0.6|CPRX| Catalyst Pharmaceuticals, Inc.| 0.41%| North America|Equity|All Cap Equities||BFOR|6|6.ASSET|Equity|146|0.6|MOS| Mosaic Company| 0.41%| North America|Equity|All Cap Equities||BFOR|6|7.ASSET|Equity|146|0.57|FHN| First Horizon Corporation| 0.39%| North America|Equity|All Cap Equities||BFOR|6|8.ASSET|Equity|146|0.55|BCC| Boise Cascade Co.| 0.38%| North America|Equity|All Cap Equities||BFOR|6|9.ASSET|Equity|146|0.54|CARG| CarGurus, Inc. Class A| 0.37%| North America|Equity|All Cap Equities||BFOR|6|10.ASSET|Equity|146|0.54|WLL| Whiting Petroleum Corporation| 0.37%| North America|Equity|All Cap Equities||BFOR|6|11.ASSET|Equity|146|0.54|CLFD| Clearfield, Inc.| 0.37%| North America|Equity|All Cap Equities||BFOR|6|12.ASSET|Equity|146|0.53|MGY| Magnolia Oil & Gas Corp. Class A| 0.36%| North America|Equity|All Cap Equities||BFOR|6|13.ASSET|Equity|146|0.53|OAS| Oasis Petroleum Inc| 0.36%| North America|Equity|All Cap Equities||BFOR|6|14.ASSET|Equity|146|0.53|BLDR| Builders FirstSource, Inc.| 0.36%| North America|Equity|All Cap Equities||BFOR|6|15.ASSET|Equity|146|0.51|ABBV| AbbVie, Inc.| 0.35%| North America|Equity|Mid Cap Growth Equities||QQQN|6|1.ASSET|Equity|130.7|5.16|TTD| Trade Desk, Inc. Class A| 3.95%| North America|Equity|Mid Cap Growth Equities||QQQN|6|2.ASSET|Equity|130.7|3.96|CERN| Cerner Corporation| 3.03%| North America|Equity|Mid Cap Growth Equities||QQQN|6|3.ASSET|Equity|130.7|3.95|EXPE| Expedia Group, Inc.| 3.02%| North America|Equity|Mid Cap Growth Equities||QQQN|6|4.ASSET|Equity|130.7|3.7|ON| ON Semiconductor Corporation| 2.83%| North America|Equity|Mid Cap Growth Equities||QQQN|6|5.ASSET|Equity|130.7|3.65|MDB| MongoDB, Inc. Class A| 2.79%| North America|Equity|Mid Cap Growth Equities||QQQN|6|6.ASSET|Equity|130.7|3.57|FANG| Diamondback Energy, Inc.| 2.73%| North America|Equity|Mid Cap Growth Equities||QQQN|6|7.ASSET|Equity|130.7|3.41|CSGP| CoStar Group, Inc.| 2.61%| North America|Equity|Mid Cap Growth Equities||QQQN|6|8.ASSET|Equity|130.7|3.36|TSCO| Tractor Supply Company| 2.57%| North America|Equity|Mid Cap Growth Equities||QQQN|6|9.ASSET|Equity|130.7|3.32|ENPH| Enphase Energy, Inc.| 2.54%| North America|Equity|Mid Cap Growth Equities||QQQN|6|10.ASSET|Equity|130.7|3.31|CDW| CDW Corp.| 2.53%| North America|Equity|Mid Cap Growth Equities||QQQN|6|11.ASSET|Equity|130.7|3.23|STX| Seagate Technology Holdings PLC| 2.47%| North America|Equity|Mid Cap Growth Equities||QQQN|6|12.ASSET|Equity|130.7|3.23|ZI| ZoomInfo Technologies Inc| 2.47%| North America|Equity|Mid Cap Growth Equities||QQQN|6|13.ASSET|Equity|130.7|3.19|CCEP| Coca-Cola Europacific Partners plc| 2.44%| North America|Equity|Mid Cap Growth Equities||QQQN|6|14.ASSET|Equity|130.7|3.18|HZNP| Horizon Therapeutics Public Limited Company| 2.43%| North America|Equity|Mid Cap Growth Equities||QQQN|6|15.ASSET|Equity|130.7|3.12|ZBRA| Zebra Technologies Corporation Class A| 2.39%| North America|Equity|Volatility Hedged Equity||BJAN|6|1.ASSET|Equity|213.9|212.49|N/A| OPTIONS| 99.34%| North America|Equity|Volatility Hedged Equity||BJAN|6|2.ASSET|Equity|213.9|212.47|N/A| OPTIONS| 99.33%| North America|Equity|Volatility Hedged Equity||BJAN|6|3.ASSET|Equity|213.9|1.43|N/A| U.S. Dollar| 0.67%| North America|Equity|Volatility Hedged Equity||BJAN|6|4.ASSET|Equity|213.9|1.41|N/A| U.S. Dollar| 0.66%| North America|Equity|All Cap Equities||USMF|6|1.ASSET|Equity|187.2|2.77|JKHY| Jack Henry & Associates, Inc.| 1.48%| North America|Equity|All Cap Equities||USMF|6|2.ASSET|Equity|187.2|2.73|VZ| Verizon Communications Inc.| 1.46%| North America|Equity|All Cap Equities||USMF|6|3.ASSET|Equity|187.2|2.51|OMC| Omnicom Group Inc| 1.34%| North America|Equity|All Cap Equities||USMF|6|4.ASSET|Equity|187.2|2.47|SSNC| SS&C Technologies Holdings, Inc.| 1.32%| North America|Equity|All Cap Equities||USMF|6|5.ASSET|Equity|187.2|2.43|CTSH| Cognizant Technology Solutions Corporation Class A| 1.30%| North America|Equity|All Cap Equities||USMF|6|6.ASSET|Equity|187.2|2.41|PAYX| Paychex, Inc.| 1.29%| North America|Equity|All Cap Equities||USMF|6|7.ASSET|Equity|187.2|2.41|NLOK| NortonLifeLock Inc.| 1.29%| North America|Equity|All Cap Equities||USMF|6|8.ASSET|Equity|187.2|2.28|MSFT| Microsoft Corporation| 1.22%| North America|Equity|All Cap Equities||USMF|6|9.ASSET|Equity|187.2|2.25|VRSN| VeriSign, Inc.| 1.20%| North America|Equity|All Cap Equities||USMF|6|10.ASSET|Equity|187.2|2.25|IBM| International Business Machines Corporation| 1.20%| North America|Equity|All Cap Equities||USMF|6|11.ASSET|Equity|187.2|2.21|ATVI| Activision Blizzard, Inc.| 1.18%| North America|Equity|All Cap Equities||USMF|6|12.ASSET|Equity|187.2|2.1|WU| Western Union Company| 1.12%| North America|Equity|All Cap Equities||USMF|6|13.ASSET|Equity|187.2|2.08|JNPR| Juniper Networks, Inc.| 1.11%| North America|Equity|All Cap Equities||USMF|6|14.ASSET|Equity|187.2|2.06|AKAM| Akamai Technologies, Inc.| 1.10%| North America|Equity|All Cap Equities||USMF|6|15.ASSET|Equity|187.2|2|CTXS| Citrix Systems, Inc.| 1.07%| North America|Equity|Large Cap Growth Equities||HLAL|6|1.ASSET|Equity|167.6|30.62|AAPL| Apple Inc.| 18.27%| North America|Equity|Large Cap Growth Equities||HLAL|6|2.ASSET|Equity|167.6|8.28|TSLA| Tesla Inc| 4.94%| North America|Equity|Large Cap Growth Equities||HLAL|6|3.ASSET|Equity|167.6|5.28|JNJ| Johnson & Johnson| 3.15%| North America|Equity|Large Cap Growth Equities||HLAL|6|4.ASSET|Equity|167.6|4.44|PG| Procter & Gamble Company| 2.65%| North America|Equity|Large Cap Growth Equities||HLAL|6|5.ASSET|Equity|167.6|4.09|XOM| Exxon Mobil Corporation| 2.44%| North America|Equity|Large Cap Growth Equities||HLAL|6|6.ASSET|Equity|167.6|3.57|CVX| Chevron Corporation| 2.13%| North America|Equity|Large Cap Growth Equities||HLAL|6|7.ASSET|Equity|167.6|3.18|PFE| Pfizer Inc.| 1.90%| North America|Equity|Large Cap Growth Equities||HLAL|6|8.ASSET|Equity|167.6|2.83|CSCO| Cisco Systems, Inc.| 1.69%| North America|Equity|Large Cap Growth Equities||HLAL|6|9.ASSET|Equity|167.6|2.7|ADBE| Adobe Inc.| 1.61%| North America|Equity|Large Cap Growth Equities||HLAL|6|10.ASSET|Equity|167.6|2.61|TMO| Thermo Fisher Scientific Inc.| 1.56%| North America|Equity|Large Cap Growth Equities||HLAL|6|11.ASSET|Equity|167.6|2.56|LLY| Eli Lilly and Company| 1.53%| North America|Equity|Large Cap Growth Equities||HLAL|6|12.ASSET|Equity|167.6|2.5|ABT| Abbott Laboratories| 1.49%| North America|Equity|Large Cap Growth Equities||HLAL|6|13.ASSET|Equity|167.6|2.36|CRM| salesforce.com, inc.| 1.41%| North America|Equity|Large Cap Growth Equities||HLAL|6|14.ASSET|Equity|167.6|2.36|INTC| Intel Corporation| 1.41%| North America|Equity|Large Cap Growth Equities||HLAL|6|15.ASSET|Equity|167.6|2.35|MRK| Merck & Co., Inc.| 1.40%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|1.ASSET|Equity|142.1|2.86|RBP| Royal Bafokeng Platinum Limited| 2.01%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|2.ASSET|Equity|142.1|1.93|3035| Faraday Technology Corp.| 1.36%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|3.ASSET|Equity|142.1|1.85|HAR| Harmony Gold Mining Co. Ltd.| 1.30%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|4.ASSET|Equity|142.1|1.72|ARI| African Rainbow Minerals Limited| 1.21%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|5.ASSET|Equity|142.1|1.71|ENAT3| Enauta Participacoes S.A.| 1.20%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|6.ASSET|Equity|142.1|1.65|VAPORES| Compania Sud Americana de Vapores S.A.| 1.16%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|7.ASSET|Equity|142.1|1.61|532234| National Aluminium Co. Ltd.| 1.13%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|8.ASSET|Equity|142.1|1.59|DMC| DMCI Holdings Inc.| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|9.ASSET|Equity|142.1|1.53|PSG| PSG Group Limited| 1.08%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|10.ASSET|Equity|142.1|1.49|710| BOE Varitronix Ltd| 1.05%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|11.ASSET|Equity|142.1|1.41|CAP| CAP S.A.| 0.99%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|12.ASSET|Equity|142.1|1.39|AKSA.E| Aksa Akrilik Kimya Sanayi A.S.| 0.98%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|13.ASSET|Equity|142.1|1.34|3036| WT Microelectronics Co., Ltd.| 0.94%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|14.ASSET|Equity|142.1|1.29|4919| Nuvoton Technology Corporation| 0.91%| Emerging Markets|Equity|Emerging Markets Equities||FEMS|6|15.ASSET|Equity|142.1|1.28|AP.F| AP (Thailand) Public Co. Ltd.(Alien Mkt)| 0.90%| Developed Markets|Equity|Materials|Materials|SLX|6|1.ASSET|Equity|123.1|20.77|VALE| Vale S.A. Sponsored ADR| 16.87%| Developed Markets|Equity|Materials|Materials|SLX|6|2.ASSET|Equity|123.1|18.98|RIO| Rio Tinto plc Sponsored ADR| 15.42%| Developed Markets|Equity|Materials|Materials|SLX|6|3.ASSET|Equity|123.1|9.86|NUE| Nucor Corporation| 8.01%| Developed Markets|Equity|Materials|Materials|SLX|6|4.ASSET|Equity|123.1|8.15|MT| ArcelorMittal SA ADR| 6.62%| Developed Markets|Equity|Materials|Materials|SLX|6|5.ASSET|Equity|123.1|6.07|TS| Tenaris S.A. Sponsored ADR| 4.93%| Developed Markets|Equity|Materials|Materials|SLX|6|6.ASSET|Equity|123.1|5.79|X| United States Steel Corporation| 4.70%| Developed Markets|Equity|Materials|Materials|SLX|6|7.ASSET|Equity|123.1|5.66|RS| Reliance Steel & Aluminum Co.| 4.60%| Developed Markets|Equity|Materials|Materials|SLX|6|8.ASSET|Equity|123.1|5.55|STLD| Steel Dynamics, Inc.| 4.51%| Developed Markets|Equity|Materials|Materials|SLX|6|9.ASSET|Equity|123.1|5.45|CLF| Cleveland-Cliffs Inc| 4.43%| Developed Markets|Equity|Materials|Materials|SLX|6|10.ASSET|Equity|123.1|5.39|PKX| POSCO Sponsored ADR| 4.38%| Developed Markets|Equity|Materials|Materials|SLX|6|11.ASSET|Equity|123.1|5.39|SID| Companhia Siderurgica Nacional Sponsored ADR| 4.38%| Developed Markets|Equity|Materials|Materials|SLX|6|12.ASSET|Equity|123.1|4.73|GGB| Gerdau S.A. Sponsored ADR Pfd| 3.84%| Developed Markets|Equity|Materials|Materials|SLX|6|13.ASSET|Equity|123.1|4.43|TX| Ternium S.A. Sponsored ADR| 3.60%| Developed Markets|Equity|Materials|Materials|SLX|6|14.ASSET|Equity|123.1|3.85|CMC| Commercial Metals Company| 3.13%| Developed Markets|Equity|Materials|Materials|SLX|6|15.ASSET|Equity|123.1|2.72|ATI| Allegheny Technologies Incorporated| 2.21%| North America|Equity|Technology Equities|Technology|IETC|6|1.ASSET|Equity|136.5|20.34|MSFT| Microsoft Corporation| 14.90%| North America|Equity|Technology Equities|Technology|IETC|6|2.ASSET|Equity|136.5|16.15|AAPL| Apple Inc.| 11.83%| North America|Equity|Technology Equities|Technology|IETC|6|3.ASSET|Equity|136.5|7.82|AMZN| Amazon.com, Inc.| 5.73%| North America|Equity|Technology Equities|Technology|IETC|6|4.ASSET|Equity|136.5|7|GOOGL| Alphabet Inc. Class A| 5.13%| North America|Equity|Technology Equities|Technology|IETC|6|5.ASSET|Equity|136.5|6.84|GOOG| Alphabet Inc. Class C| 5.01%| North America|Equity|Technology Equities|Technology|IETC|6|6.ASSET|Equity|136.5|6.29|NVDA| NVIDIA Corporation| 4.61%| North America|Equity|Technology Equities|Technology|IETC|6|7.ASSET|Equity|136.5|4.72|FB| Meta Platforms Inc. Class A| 3.46%| North America|Equity|Technology Equities|Technology|IETC|6|8.ASSET|Equity|136.5|3.08|V| Visa Inc. Class A| 2.26%| North America|Equity|Technology Equities|Technology|IETC|6|9.ASSET|Equity|136.5|2.43|MA| Mastercard Incorporated Class A| 1.78%| North America|Equity|Technology Equities|Technology|IETC|6|10.ASSET|Equity|136.5|2.39|ADBE| Adobe Inc.| 1.75%| North America|Equity|Technology Equities|Technology|IETC|6|11.ASSET|Equity|136.5|2.33|CRM| salesforce.com, inc.| 1.71%| North America|Equity|Technology Equities|Technology|IETC|6|12.ASSET|Equity|136.5|2.29|CSCO| Cisco Systems, Inc.| 1.68%| North America|Equity|Technology Equities|Technology|IETC|6|13.ASSET|Equity|136.5|1.92|AVGO| Broadcom Inc.| 1.41%| North America|Equity|Technology Equities|Technology|IETC|6|14.ASSET|Equity|136.5|1.79|AMD| Advanced Micro Devices, Inc.| 1.31%| North America|Equity|Technology Equities|Technology|IETC|6|15.ASSET|Equity|136.5|1.73|ACN| Accenture Plc Class A| 1.27%| North America|Equity|Large Cap Growth Equities||QQXT|6|1.ASSET|Equity|123.1|3.05|ATVI| Activision Blizzard, Inc.| 2.48%| North America|Equity|Large Cap Growth Equities||QQXT|6|2.ASSET|Equity|123.1|2.57|MAR| Marriott International, Inc. Class A| 2.09%| North America|Equity|Large Cap Growth Equities||QQXT|6|3.ASSET|Equity|123.1|2.52|PCAR| PACCAR Inc| 2.05%| North America|Equity|Large Cap Growth Equities||QQXT|6|4.ASSET|Equity|123.1|2.52|KHC| Kraft Heinz Company| 2.05%| North America|Equity|Large Cap Growth Equities||QQXT|6|5.ASSET|Equity|123.1|2.5|VRTX| Vertex Pharmaceuticals Incorporated| 2.03%| North America|Equity|Large Cap Growth Equities||QQXT|6|6.ASSET|Equity|123.1|2.49|KDP| Keurig Dr Pepper Inc.| 2.02%| North America|Equity|Large Cap Growth Equities||QQXT|6|7.ASSET|Equity|123.1|2.43|AEP| American Electric Power Company, Inc.| 1.97%| North America|Equity|Large Cap Growth Equities||QQXT|6|8.ASSET|Equity|123.1|2.4|TMUS| T-Mobile US, Inc.| 1.95%| North America|Equity|Large Cap Growth Equities||QQXT|6|9.ASSET|Equity|123.1|2.36|AMGN| Amgen Inc.| 1.92%| North America|Equity|Large Cap Growth Equities||QQXT|6|10.ASSET|Equity|123.1|2.35|DLTR| Dollar Tree, Inc.| 1.91%| North America|Equity|Large Cap Growth Equities||QQXT|6|11.ASSET|Equity|123.1|2.33|EA| Electronic Arts Inc.| 1.89%| North America|Equity|Large Cap Growth Equities||QQXT|6|12.ASSET|Equity|123.1|2.31|JD| JD.com, Inc. Sponsored ADR Class A| 1.88%| North America|Equity|Large Cap Growth Equities||QQXT|6|13.ASSET|Equity|123.1|2.31|XEL| Xcel Energy Inc.| 1.88%| North America|Equity|Large Cap Growth Equities||QQXT|6|14.ASSET|Equity|123.1|2.29|ABNB| Airbnb, Inc. Class A| 1.86%| North America|Equity|Large Cap Growth Equities||QQXT|6|15.ASSET|Equity|123.1|2.29|MDLZ| Mondelez International, Inc. Class A| 1.86%| North America|Equity|Volatility Hedged Equity||BSEP|6|1.ASSET|Equity|150|150|N/A| Cash Component| 100.00%| |Commodity|Oil & Gas||DBE|6|1.ASSET|Commodity|178.6|131.32|N/A| MUTUAL FUND (OTHER)| 73.53%| |Commodity|Oil & Gas||DBE|6|2.ASSET|Commodity|178.6|15.43|N/A| United States Treasury Bills 0.0% 21-APR-2022| 8.64%| |Commodity|Oil & Gas||DBE|6|3.ASSET|Commodity|178.6|9.7|CLTL| Invesco Treasury Collateral ETF| 5.43%| |Commodity|Oil & Gas||DBE|6|4.ASSET|Commodity|178.6|7.72|N/A| United States Treasury Bills 0.0% 02-JUN-2022| 4.32%| |Commodity|Oil & Gas||DBE|6|5.ASSET|Commodity|178.6|7.7|N/A| United States Treasury Bills 0.0% 01-SEP-2022| 4.31%| |Commodity|Oil & Gas||DBE|6|6.ASSET|Commodity|178.6|5.79|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 3.24%| |Commodity|Oil & Gas||DBE|6|7.ASSET|Commodity|178.6|0.96|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 0.54%| |Commodity|Oil & Gas||DBE|6|8.ASSET|Commodity|178.6|0|N/A| U.S. Dollar| 0.00%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|1.ASSET|Real Estate|107|75.5|XLRE| Real Estate Select Sector SPDR Fund| 70.56%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|2.ASSET|Real Estate|107|8.92|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 8.34%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|3.ASSET|Real Estate|107|1.62|PLD| Prologis, Inc.| 1.51%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|4.ASSET|Real Estate|107|1.56|AMT| American Tower Corporation| 1.46%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|5.ASSET|Real Estate|107|1.11|CCI| Crown Castle International Corp| 1.04%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|6.ASSET|Real Estate|107|0.95|EQIX| Equinix, Inc.| 0.89%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|7.ASSET|Real Estate|107|0.82|PSA| Public Storage| 0.77%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|8.ASSET|Real Estate|107|0.67|SPG| Simon Property Group, Inc.| 0.63%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|9.ASSET|Real Estate|107|0.57|DLR| Digital Realty Trust, Inc.| 0.53%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|10.ASSET|Real Estate|107|0.56|O| Realty Income Corporation| 0.52%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|11.ASSET|Real Estate|107|0.55|WELL| Welltower, Inc.| 0.51%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|12.ASSET|Real Estate|107|0.51|SBAC| SBA Communications Corp. Class A| 0.48%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|13.ASSET|Real Estate|107|0.5|AVB| AvalonBay Communities, Inc.| 0.47%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|14.ASSET|Real Estate|107|0.49|CBRE| CBRE Group, Inc. Class A| 0.46%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRN|6|15.ASSET|Real Estate|107|0.44|WY| Weyerhaeuser Company| 0.41%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|1.ASSET|Bond|104.2|31.34|MBB| iShares MBS ETF| 30.08%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|2.ASSET|Bond|104.2|21.05|HYG| iShares iBoxx $ High Yield Corporate Bond ETF| 20.20%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|3.ASSET|Bond|104.2|19.84|IEI| iShares 3-7 Year Treasury Bond ETF| 19.04%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|4.ASSET|Bond|104.2|11.37|IGSB| iShares 1-5 Year Investment Grade Corporate Bond ETF| 10.91%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|5.ASSET|Bond|104.2|9.87|EMB| iShares JP Morgan USD Emerging Markets Bond ETF| 9.47%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|6.ASSET|Bond|104.2|4.77|IGIB| iShares 5-10 Year Investment Grade Corporate Bond ETF| 4.58%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|7.ASSET|Bond|104.2|2.58|IEF| iShares 7-10 Year Treasury Bond ETF| 2.48%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|8.ASSET|Bond|104.2|1.97|TLH| iShares 10-20 Year Treasury Bond ETF| 1.89%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|9.ASSET|Bond|104.2|1.26|IGLB| iShares 10+ Year Investment Grade Corporate Bond ETF| 1.21%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|10.ASSET|Bond|104.2|0.14|N/A| MUTUAL FUND (OTHER)| 0.13%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BYLD|6|11.ASSET|Bond|104.2|0.01|N/A| U.S. Dollar| 0.01%| North America|Equity|Large Cap Growth Equities||DWAW|6|1.ASSET|Equity|111.2|55.53|RPV| Invesco S&P 500 Pure Value ETF| 49.94%| North America|Equity|Large Cap Growth Equities||DWAW|6|2.ASSET|Equity|111.2|55.48|RSP| Invesco S&P 500 Equal Weight ETF| 49.89%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|1.ASSET|Equity|132.1|23.21|FPH| Fisher & Paykel Healthcare Corporation Limited| 17.57%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|2.ASSET|Equity|132.1|12.96|AIA| Auckland International Airport Limited| 9.81%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|3.ASSET|Equity|132.1|12.64|SPK| Spark New Zealand Limited| 9.57%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|4.ASSET|Equity|132.1|10.03|MEL| Meridian Energy Limited| 7.59%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|5.ASSET|Equity|132.1|6.17|ATM| a2 Milk Company Ltd.| 4.67%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|6.ASSET|Equity|132.1|6.1|IFT| Infratil Limited| 4.62%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|7.ASSET|Equity|132.1|6.02|CEN| Contact Energy Limited| 4.56%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|8.ASSET|Equity|132.1|5.92|MCY| Mercury NZ Ltd.| 4.48%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|9.ASSET|Equity|132.1|5.84|FBU| Fletcher Building Limited| 4.42%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|10.ASSET|Equity|132.1|5.77|RYM| Ryman Healthcare Ltd.| 4.37%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|11.ASSET|Equity|132.1|5.26|CNU| Chorus Limited| 3.98%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|12.ASSET|Equity|132.1|4.28|GMT| Goodman Property Trust| 3.24%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|13.ASSET|Equity|132.1|4.25|SUM| Summerset Group Holdings Limited| 3.22%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|14.ASSET|Equity|132.1|3.65|SKC| SKYCITY Entertainment Group Limited| 2.76%| Developed Asia Pacific|Equity|Asia Pacific Equities||ENZL|6|15.ASSET|Equity|132.1|3.28|ZEL| Z Energy Ltd.| 2.48%| North America|Equity|All Cap Equities||FAB|6|1.ASSET|Equity|167.4|1.02|COP| ConocoPhillips| 0.61%| North America|Equity|All Cap Equities||FAB|6|2.ASSET|Equity|167.4|0.99|EOG| EOG Resources, Inc.| 0.59%| North America|Equity|All Cap Equities||FAB|6|3.ASSET|Equity|167.4|0.89|PARA| Paramount Global Class B| 0.53%| North America|Equity|All Cap Equities||FAB|6|4.ASSET|Equity|167.4|0.89|FOXA| Fox Corporation Class A| 0.53%| North America|Equity|All Cap Equities||FAB|6|5.ASSET|Equity|167.4|0.84|TRV| Travelers Companies, Inc.| 0.50%| North America|Equity|All Cap Equities||FAB|6|6.ASSET|Equity|167.4|0.82|TSN| Tyson Foods, Inc. Class A| 0.49%| North America|Equity|All Cap Equities||FAB|6|7.ASSET|Equity|167.4|0.82|BRK.B| Berkshire Hathaway Inc. Class B| 0.49%| North America|Equity|All Cap Equities||FAB|6|8.ASSET|Equity|167.4|0.82|HPE| Hewlett Packard Enterprise Co.| 0.49%| North America|Equity|All Cap Equities||FAB|6|9.ASSET|Equity|167.4|0.82|CINF| Cincinnati Financial Corporation| 0.49%| North America|Equity|All Cap Equities||FAB|6|10.ASSET|Equity|167.4|0.82|AIG| American International Group, Inc.| 0.49%| North America|Equity|All Cap Equities||FAB|6|11.ASSET|Equity|167.4|0.8|ALL| Allstate Corporation| 0.48%| North America|Equity|All Cap Equities||FAB|6|12.ASSET|Equity|167.4|0.8|DVN| Devon Energy Corporation| 0.48%| North America|Equity|All Cap Equities||FAB|6|13.ASSET|Equity|167.4|0.8|LYB| LyondellBasell Industries NV| 0.48%| North America|Equity|All Cap Equities||FAB|6|14.ASSET|Equity|167.4|0.8|CB| Chubb Limited| 0.48%| North America|Equity|All Cap Equities||FAB|6|15.ASSET|Equity|167.4|0.8|ACGL| Arch Capital Group Ltd.| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|1.ASSET|Equity|132.3|1.55|ADM| Admiral Group plc| 1.17%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|2.ASSET|Equity|132.3|1.3|6| Power Assets Holdings Limited| 0.98%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|3.ASSET|Equity|132.3|1.23|9101| Nippon Yusen Kabushiki Kaisha| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|4.ASSET|Equity|132.3|1.19|KPN| Royal KPN NV| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|5.ASSET|Equity|132.3|1.12|TRN| Terna S.p.A.| 0.85%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|6.ASSET|Equity|132.3|1.06|9104| Mitsui O.S.K.Lines,Ltd.| 0.80%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|7.ASSET|Equity|132.3|0.98|8630| Sompo Holdings,Inc.| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|8.ASSET|Equity|132.3|0.97|5020| ENEOS Holdings, Inc.| 0.73%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|9.ASSET|Equity|132.3|0.97|YAR| Yara International ASA| 0.73%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|10.ASSET|Equity|132.3|0.89|SUN| Suncorp Group Limited| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|11.ASSET|Equity|132.3|0.83|SLHN| Swiss Life Holding AG| 0.63%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|12.ASSET|Equity|132.3|0.83|LUNE| Lundin Energy AB| 0.63%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|13.ASSET|Equity|132.3|0.81|TRYG| Tryg A/S| 0.61%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|14.ASSET|Equity|132.3|0.79|8002| Marubeni Corporation| 0.60%| Developed Markets|Equity|Foreign Large Cap Equities||DIM|6|15.ASSET|Equity|132.3|0.73|1972| Swire Properties Limited| 0.55%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|1.ASSET|Equity|124.2|6.33|2412| Chunghwa Telecom Co., Ltd| 5.10%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|2.ASSET|Equity|124.2|5.63|JD| JD.com, Inc. Sponsored ADR Class A| 4.53%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|3.ASSET|Equity|124.2|5.61|500696| Hindustan Unilever Limited| 4.52%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|4.ASSET|Equity|124.2|5.55|700| Tencent Holdings Ltd.| 4.47%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|5.ASSET|Equity|124.2|5.42|BIDU| Baidu Inc Sponsored ADR Class A| 4.36%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|6.ASSET|Equity|124.2|5.17|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 4.16%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|7.ASSET|Equity|124.2|4.84|7010| Saudi Telecom Co.| 3.90%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|8.ASSET|Equity|124.2|4.41|3690| Meituan Class B| 3.55%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|9.ASSET|Equity|124.2|4.38|1216| Uni-President Enterprises Corp.| 3.53%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|10.ASSET|Equity|124.2|4.1|NTES| NetEase, Inc. Sponsored ADR| 3.30%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|11.ASSET|Equity|124.2|4.01|532500| Maruti Suzuki India Limited| 3.23%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|12.ASSET|Equity|124.2|3.04|2207| Hotai Motor Co., Ltd.| 2.45%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|13.ASSET|Equity|124.2|2.92|1211| BYD Company Limited Class H| 2.35%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|14.ASSET|Equity|124.2|2.88|MHID| Mahindra & Mahindra Ltd. Sponsored GDR RegS| 2.32%| Emerging Markets|Equity|Emerging Markets Equities|Consumer Staples|ECON|6|15.ASSET|Equity|124.2|2.74|YUMC| Yum China Holdings, Inc.| 2.21%| North America|Currency|Currency||USDU|6|1.ASSET|Currency|109.2|26.42|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 24.19%| North America|Currency|Currency||USDU|6|2.ASSET|Currency|109.2|26.38|N/A| United States Treasury Bills 0.0% 07-APR-2022| 24.16%| North America|Currency|Currency||USDU|6|3.ASSET|Currency|109.2|26.34|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 24.12%| North America|Currency|Currency||USDU|6|4.ASSET|Currency|109.2|24.77|N/A| United States Treasury Bills 0.0% 09-JUN-2022| 22.68%| North America|Currency|Currency||USDU|6|5.ASSET|Currency|109.2|4.71|USFR| WisdomTree Floating Rate Treasury Fund| 4.31%| North America|Currency|Currency||USDU|6|6.ASSET|Currency|109.2|0.59|N/A| U.S. Dollar| 0.54%| North America|Equity|Small Cap Value Equities||SVAL|6|1.ASSET|Equity|178.2|2.26|CUBI| Customers Bancorp, Inc.| 1.27%| North America|Equity|Small Cap Value Equities||SVAL|6|2.ASSET|Equity|178.2|1.78|AOSL| Alpha and Omega Semiconductor Limited| 1.00%| North America|Equity|Small Cap Value Equities||SVAL|6|3.ASSET|Equity|178.2|1.69|MOV| Movado Group, Inc.| 0.95%| North America|Equity|Small Cap Value Equities||SVAL|6|4.ASSET|Equity|178.2|1.68|INDB| Independent Bank Corp.| 0.94%| North America|Equity|Small Cap Value Equities||SVAL|6|5.ASSET|Equity|178.2|1.68|DCOM| Dime Community Bancshares, Inc.| 0.94%| North America|Equity|Small Cap Value Equities||SVAL|6|6.ASSET|Equity|178.2|1.62|WSFS| WSFS Financial Corporation| 0.91%| North America|Equity|Small Cap Value Equities||SVAL|6|7.ASSET|Equity|178.2|1.44|RES| RPC, Inc.| 0.81%| North America|Equity|Small Cap Value Equities||SVAL|6|8.ASSET|Equity|178.2|1.37|ASIX| Advansix, Inc.| 0.77%| North America|Equity|Small Cap Value Equities||SVAL|6|9.ASSET|Equity|178.2|1.35|TBK| Triumph Bancorp, Inc.| 0.76%| North America|Equity|Small Cap Value Equities||SVAL|6|10.ASSET|Equity|178.2|1.34|HAFC| Hanmi Financial Corporation| 0.75%| North America|Equity|Small Cap Value Equities||SVAL|6|11.ASSET|Equity|178.2|1.34|CLNE| Clean Energy Fuels Corp.| 0.75%| North America|Equity|Small Cap Value Equities||SVAL|6|12.ASSET|Equity|178.2|1.32|ARCB| ArcBest Corporation| 0.74%| North America|Equity|Small Cap Value Equities||SVAL|6|13.ASSET|Equity|178.2|1.32|ATI| Allegheny Technologies Incorporated| 0.74%| North America|Equity|Small Cap Value Equities||SVAL|6|14.ASSET|Equity|178.2|1.3|FNKO| Funko, Inc. Class A| 0.73%| North America|Equity|Small Cap Value Equities||SVAL|6|15.ASSET|Equity|178.2|1.27|HWC| Hancock Whitney Corporation| 0.71%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|1.ASSET|Equity|137.2|8.6|ORSTED| Orsted| 6.27%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|2.ASSET|Equity|137.2|8.53|EDPR| EDP Renovaveis SA| 6.22%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|3.ASSET|Equity|137.2|7.97|EA.R| Energy Absolute Public Co. Ltd. NVDR| 5.81%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|4.ASSET|Equity|137.2|7.64|VER| VERBUND AG Class A| 5.57%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|5.ASSET|Equity|137.2|7.34|BEP.UT| Brookfield Renewable Partners LP| 5.35%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|6.ASSET|Equity|137.2|6.7|MEL| Meridian Energy Limited| 4.88%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|7.ASSET|Equity|137.2|6.37|ELET3| Centrais Eletricas Brasileiras SA-Eletrobras| 4.64%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|8.ASSET|Equity|137.2|5.42|NPI| Northland Power Inc.| 3.95%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|9.ASSET|Equity|137.2|5.1|916| China Longyuan Power Group Corp. Ltd. Class H| 3.72%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|10.ASSET|Equity|137.2|4.62|EGIE3| ENGIE Brasil Energia S.A.| 3.37%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|11.ASSET|Equity|137.2|4.38|NEP| NextEra Energy Partners LP| 3.19%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|12.ASSET|Equity|137.2|4.25|RUN| Sunrun Inc.| 3.10%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|13.ASSET|Equity|137.2|3.88|MCY| Mercury NZ Ltd.| 2.83%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|14.ASSET|Equity|137.2|3.36|ERG| ERG S.p.A.| 2.45%| Developed Markets|Equity|Alternative Energy Equities|Energy|RNRG|6|15.ASSET|Equity|137.2|3.22|CEN| Contact Energy Limited| 2.35%| North America|Equity|Small Cap Value Equities||OMFS|6|1.ASSET|Equity|171.3|1.76|TTEK| Tetra Tech, Inc.| 1.03%| North America|Equity|Small Cap Value Equities||OMFS|6|2.ASSET|Equity|171.3|1.73|EGP| EastGroup Properties, Inc.| 1.01%| North America|Equity|Small Cap Value Equities||OMFS|6|3.ASSET|Equity|171.3|1.63|MMS| MAXIMUS, Inc.| 0.95%| North America|Equity|Small Cap Value Equities||OMFS|6|4.ASSET|Equity|171.3|1.56|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.91%| North America|Equity|Small Cap Value Equities||OMFS|6|5.ASSET|Equity|171.3|1.52|EXPO| Exponent, Inc.| 0.89%| North America|Equity|Small Cap Value Equities||OMFS|6|6.ASSET|Equity|171.3|1.44|STAG| STAG Industrial, Inc.| 0.84%| North America|Equity|Small Cap Value Equities||OMFS|6|7.ASSET|Equity|171.3|1.42|SSD| Simpson Manufacturing Co., Inc.| 0.83%| North America|Equity|Small Cap Value Equities||OMFS|6|8.ASSET|Equity|171.3|1.37|ENSG| Ensign Group, Inc.| 0.80%| North America|Equity|Small Cap Value Equities||OMFS|6|9.ASSET|Equity|171.3|1.28|NEOG| Neogen Corporation| 0.75%| North America|Equity|Small Cap Value Equities||OMFS|6|10.ASSET|Equity|171.3|1.28|LHCG| LHC Group, Inc.| 0.75%| North America|Equity|Small Cap Value Equities||OMFS|6|11.ASSET|Equity|171.3|1.28|SAIA| Saia, Inc.| 0.75%| North America|Equity|Small Cap Value Equities||OMFS|6|12.ASSET|Equity|171.3|1.22|EME| EMCOR Group, Inc.| 0.71%| North America|Equity|Small Cap Value Equities||OMFS|6|13.ASSET|Equity|171.3|1.2|POWI| Power Integrations, Inc.| 0.70%| North America|Equity|Small Cap Value Equities||OMFS|6|14.ASSET|Equity|171.3|1.18|BCPC| Balchem Corporation| 0.69%| North America|Equity|Small Cap Value Equities||OMFS|6|15.ASSET|Equity|171.3|1.16|HALO| Halozyme Therapeutics, Inc.| 0.68%| North America|Equity|Energy Equities|Energy|PSCE|6|1.ASSET|Equity|144.6|14.94|MTDR| Matador Resources Company| 10.33%| North America|Equity|Energy Equities|Energy|PSCE|6|2.ASSET|Equity|144.6|14.06|SWN| Southwestern Energy Company| 9.72%| North America|Equity|Energy Equities|Energy|PSCE|6|3.ASSET|Equity|144.6|10.96|CIVI| Civitas Resources, Inc.| 7.58%| North America|Equity|Energy Equities|Energy|PSCE|6|4.ASSET|Equity|144.6|10.05|HP| Helmerich & Payne, Inc.| 6.95%| North America|Equity|Energy Equities|Energy|PSCE|6|5.ASSET|Equity|144.6|8.92|PTEN| Patterson-UTI Energy, Inc.| 6.17%| North America|Equity|Energy Equities|Energy|PSCE|6|6.ASSET|Equity|144.6|8.65|REGI| Renewable Energy Group, Inc.| 5.98%| North America|Equity|Energy Equities|Energy|PSCE|6|7.ASSET|Equity|144.6|7.71|SM| SM Energy Company| 5.33%| North America|Equity|Energy Equities|Energy|PSCE|6|8.ASSET|Equity|144.6|7.49|CPE| Callon Petroleum Company| 5.18%| North America|Equity|Energy Equities|Energy|PSCE|6|9.ASSET|Equity|144.6|5.16|GPRE| Green Plains Inc.| 3.57%| North America|Equity|Energy Equities|Energy|PSCE|6|10.ASSET|Equity|144.6|4.95|INT| World Fuel Services Corporation| 3.42%| North America|Equity|Energy Equities|Energy|PSCE|6|11.ASSET|Equity|144.6|4.58|PBF| PBF Energy, Inc. Class A| 3.17%| North America|Equity|Energy Equities|Energy|PSCE|6|12.ASSET|Equity|144.6|4.19|OII| Oceaneering International, Inc.| 2.90%| North America|Equity|Energy Equities|Energy|PSCE|6|13.ASSET|Equity|144.6|3.64|CLB| Core Laboratories NV| 2.52%| North America|Equity|Energy Equities|Energy|PSCE|6|14.ASSET|Equity|144.6|3.3|AROC| Archrock Inc.| 2.28%| North America|Equity|Energy Equities|Energy|PSCE|6|15.ASSET|Equity|144.6|3.12|LPI| Laredo Petroleum, Inc.| 2.16%| |Commodity|Commodities||RJI|6|1.ASSET|Commodity|149.6|31.42|N/A| Sweet Light Crude Oil (WTI)| 21.00%| |Commodity|Commodities||RJI|6|2.ASSET|Commodity|149.6|20.94|N/A| Brent Crude Oil| 14.00%| |Commodity|Commodities||RJI|6|3.ASSET|Commodity|149.6|10.47|N/A| Wheat| 7.00%| |Commodity|Commodities||RJI|6|4.ASSET|Commodity|149.6|7.11|N/A| Corn| 4.75%| |Commodity|Commodities||RJI|6|5.ASSET|Commodity|149.6|6.06|N/A| Cotton| 4.05%| |Commodity|Commodities||RJI|6|6.ASSET|Commodity|149.6|5.98|N/A| Aluminum| 4.00%| |Commodity|Commodities||RJI|6|7.ASSET|Commodity|149.6|5.98|N/A| Copper| 4.00%| |Commodity|Commodities||RJI|6|8.ASSET|Commodity|149.6|4.49|N/A| Gasoline RBOB| 3.00%| |Commodity|Commodities||RJI|6|9.ASSET|Commodity|149.6|4.49|N/A| Gold| 3.00%| |Commodity|Commodities||RJI|6|10.ASSET|Commodity|149.6|4.49|N/A| Soybean| 3.00%| |Commodity|Commodities||RJI|6|11.ASSET|Commodity|149.6|4.49|N/A| Natural Gas| 3.00%| |Commodity|Commodities||RJI|6|12.ASSET|Commodity|149.6|2.99|N/A| Zinc| 2.00%| |Commodity|Commodities||RJI|6|13.ASSET|Commodity|149.6|2.99|N/A| Silver| 2.00%| |Commodity|Commodities||RJI|6|14.ASSET|Commodity|149.6|2.99|N/A| Coffee| 2.00%| |Commodity|Commodities||RJI|6|15.ASSET|Commodity|149.6|2.99|N/A| Soybean Oil| 2.00%| North America|Equity|Large Cap Growth Equities||XOUT|6|1.ASSET|Equity|124|12.83|AAPL| Apple Inc.| 10.35%| North America|Equity|Large Cap Growth Equities||XOUT|6|2.ASSET|Equity|124|10.45|MSFT| Microsoft Corporation| 8.43%| North America|Equity|Large Cap Growth Equities||XOUT|6|3.ASSET|Equity|124|8.47|GOOGL| Alphabet Inc. Class A| 6.83%| North America|Equity|Large Cap Growth Equities||XOUT|6|4.ASSET|Equity|124|7.76|AMZN| Amazon.com, Inc.| 6.26%| North America|Equity|Large Cap Growth Equities||XOUT|6|5.ASSET|Equity|124|4.35|TSLA| Tesla Inc| 3.51%| North America|Equity|Large Cap Growth Equities||XOUT|6|6.ASSET|Equity|124|3.09|NVDA| NVIDIA Corporation| 2.49%| North America|Equity|Large Cap Growth Equities||XOUT|6|7.ASSET|Equity|124|2.8|FB| Meta Platforms Inc. Class A| 2.26%| North America|Equity|Large Cap Growth Equities||XOUT|6|8.ASSET|Equity|124|2.06|UNH| UnitedHealth Group Incorporated| 1.66%| North America|Equity|Large Cap Growth Equities||XOUT|6|9.ASSET|Equity|124|1.97|JNJ| Johnson & Johnson| 1.59%| North America|Equity|Large Cap Growth Equities||XOUT|6|10.ASSET|Equity|124|1.72|WMT| Walmart Inc.| 1.39%| North America|Equity|Large Cap Growth Equities||XOUT|6|11.ASSET|Equity|124|1.61|HD| Home Depot, Inc.| 1.30%| North America|Equity|Large Cap Growth Equities||XOUT|6|12.ASSET|Equity|124|1.56|MA| Mastercard Incorporated Class A| 1.26%| North America|Equity|Large Cap Growth Equities||XOUT|6|13.ASSET|Equity|124|1.23|PFE| Pfizer Inc.| 0.99%| North America|Equity|Large Cap Growth Equities||XOUT|6|14.ASSET|Equity|124|1.2|AVGO| Broadcom Inc.| 0.97%| North America|Equity|Large Cap Growth Equities||XOUT|6|15.ASSET|Equity|124|1.2|ABBV| AbbVie, Inc.| 0.97%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|1.ASSET|Equity|163.3|4.47|AMD| Advanced Micro Devices, Inc.| 2.74%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|2.ASSET|Equity|163.3|3.41|LMT| Lockheed Martin Corporation| 2.09%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|3.ASSET|Equity|163.3|3.23|NOC| Northrop Grumman Corporation| 1.98%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|4.ASSET|Equity|163.3|3.17|TSEM| Tower Semiconductor Ltd| 1.94%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|5.ASSET|Equity|163.3|3.02|RTX| Raytheon Technologies Corporation| 1.85%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|6.ASSET|Equity|163.3|3|ORAN| Orange SA Sponsored ADR| 1.84%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|7.ASSET|Equity|163.3|2.99|KPN| Royal KPN NV| 1.83%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|8.ASSET|Equity|163.3|2.89|TDC| Teradata Corporation| 1.77%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|9.ASSET|Equity|163.3|2.83|HPE| Hewlett Packard Enterprise Co.| 1.73%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|10.ASSET|Equity|163.3|2.81|MU| Micron Technology, Inc.| 1.72%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|11.ASSET|Equity|163.3|2.79|BIDU| Baidu Inc Sponsored ADR Class A| 1.71%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|12.ASSET|Equity|163.3|2.73|NTTYY| Nippon Telegraph and Telephone Corporation Sponsored ADR| 1.67%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|13.ASSET|Equity|163.3|2.65|2357| Asustek Computer Inc.| 1.62%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|14.ASSET|Equity|163.3|2.61|IBM| International Business Machines Corporation| 1.60%| Developed Markets|Equity|Technology Equities|Technology|QTUM|6|15.ASSET|Equity|163.3|2.6|AIR| Airbus SE| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|1.ASSET|Equity|146.6|4.74|N/A| U.S. Dollar| 3.23%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|2.ASSET|Equity|146.6|4.38|N/A| FUTURES| 2.99%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|3.ASSET|Equity|146.6|2.87|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.96%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|4.ASSET|Equity|146.6|2.01|NESN| Nestle S.A.| 1.37%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|5.ASSET|Equity|146.6|1.7|700| Tencent Holdings Ltd.| 1.16%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|6.ASSET|Equity|146.6|1.55|005930| Samsung Electronics Co., Ltd.| 1.06%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|7.ASSET|Equity|146.6|1.45|ROG| Roche Holding Ltd| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|8.ASSET|Equity|146.6|1.45|ASML| ASML Holding NV| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|9.ASSET|Equity|146.6|1.14|SHEL| Shell PLC| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|10.ASSET|Equity|146.6|1.11|9988| Alibaba Group Holding Ltd.| 0.76%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|11.ASSET|Equity|146.6|1.07|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.73%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|12.ASSET|Equity|146.6|1.06|AZN| AstraZeneca PLC| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|13.ASSET|Equity|146.6|1.06|NOVN| Novartis AG| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|14.ASSET|Equity|146.6|1.03|7203| Toyota Motor Corp.| 0.70%| Developed Markets|Equity|Foreign Large Cap Equities||DBAW|6|15.ASSET|Equity|146.6|0.97|BHP| BHP Group Ltd| 0.66%| North America|Equity|Large Cap Growth Equities||QLC|6|1.ASSET|Equity|140.4|11.48|AAPL| Apple Inc.| 8.18%| North America|Equity|Large Cap Growth Equities||QLC|6|2.ASSET|Equity|140.4|6.28|MSFT| Microsoft Corporation| 4.47%| North America|Equity|Large Cap Growth Equities||QLC|6|3.ASSET|Equity|140.4|4.59|GOOGL| Alphabet Inc. Class A| 3.27%| North America|Equity|Large Cap Growth Equities||QLC|6|4.ASSET|Equity|140.4|4.34|GOOG| Alphabet Inc. Class C| 3.09%| North America|Equity|Large Cap Growth Equities||QLC|6|5.ASSET|Equity|140.4|3|JNJ| Johnson & Johnson| 2.14%| North America|Equity|Large Cap Growth Equities||QLC|6|6.ASSET|Equity|140.4|2.96|AMZN| Amazon.com, Inc.| 2.11%| North America|Equity|Large Cap Growth Equities||QLC|6|7.ASSET|Equity|140.4|2.57|BRK.B| Berkshire Hathaway Inc. Class B| 1.83%| North America|Equity|Large Cap Growth Equities||QLC|6|8.ASSET|Equity|140.4|2.43|PG| Procter & Gamble Company| 1.73%| North America|Equity|Large Cap Growth Equities||QLC|6|9.ASSET|Equity|140.4|2.39|WFC| Wells Fargo & Company| 1.70%| North America|Equity|Large Cap Growth Equities||QLC|6|10.ASSET|Equity|140.4|2.37|LLY| Eli Lilly and Company| 1.69%| North America|Equity|Large Cap Growth Equities||QLC|6|11.ASSET|Equity|140.4|2.33|CSCO| Cisco Systems, Inc.| 1.66%| North America|Equity|Large Cap Growth Equities||QLC|6|12.ASSET|Equity|140.4|2.05|V| Visa Inc. Class A| 1.46%| North America|Equity|Large Cap Growth Equities||QLC|6|13.ASSET|Equity|140.4|2.01|TXN| Texas Instruments Incorporated| 1.43%| North America|Equity|Large Cap Growth Equities||QLC|6|14.ASSET|Equity|140.4|1.98|ORCL| Oracle Corporation| 1.41%| North America|Equity|Large Cap Growth Equities||QLC|6|15.ASSET|Equity|140.4|1.87|INTU| Intuit Inc.| 1.33%| North America|Equity|Large Cap Blend Equities||PLRG|6|1.ASSET|Equity|112.3|7.86|AAPL| Apple Inc.| 7.00%| North America|Equity|Large Cap Blend Equities||PLRG|6|2.ASSET|Equity|112.3|6.79|MSFT| Microsoft Corporation| 6.05%| North America|Equity|Large Cap Blend Equities||PLRG|6|3.ASSET|Equity|112.3|4.04|AMZN| Amazon.com, Inc.| 3.60%| North America|Equity|Large Cap Blend Equities||PLRG|6|4.ASSET|Equity|112.3|2.48|GOOGL| Alphabet Inc. Class A| 2.21%| North America|Equity|Large Cap Blend Equities||PLRG|6|5.ASSET|Equity|112.3|2.31|GOOG| Alphabet Inc. Class C| 2.06%| North America|Equity|Large Cap Blend Equities||PLRG|6|6.ASSET|Equity|112.3|2.14|TSLA| Tesla Inc| 1.91%| North America|Equity|Large Cap Blend Equities||PLRG|6|7.ASSET|Equity|112.3|1.8|NVDA| NVIDIA Corporation| 1.60%| North America|Equity|Large Cap Blend Equities||PLRG|6|8.ASSET|Equity|112.3|1.66|BRK.B| Berkshire Hathaway Inc. Class B| 1.48%| North America|Equity|Large Cap Blend Equities||PLRG|6|9.ASSET|Equity|112.3|1.61|UNH| UnitedHealth Group Incorporated| 1.43%| North America|Equity|Large Cap Blend Equities||PLRG|6|10.ASSET|Equity|112.3|1.48|FB| Meta Platforms Inc. Class A| 1.32%| North America|Equity|Large Cap Blend Equities||PLRG|6|11.ASSET|Equity|112.3|1.25|JPM| JPMorgan Chase & Co.| 1.11%| North America|Equity|Large Cap Blend Equities||PLRG|6|12.ASSET|Equity|112.3|0.9|CSCO| Cisco Systems, Inc.| 0.80%| North America|Equity|Large Cap Blend Equities||PLRG|6|13.ASSET|Equity|112.3|0.86|JNJ| Johnson & Johnson| 0.77%| North America|Equity|Large Cap Blend Equities||PLRG|6|14.ASSET|Equity|112.3|0.74|ABBV| AbbVie, Inc.| 0.66%| North America|Equity|Large Cap Blend Equities||PLRG|6|15.ASSET|Equity|112.3|0.71|PFE| Pfizer Inc.| 0.63%| North America|Equity|All Cap Equities||TPHD|6|1.ASSET|Equity|143.3|2.48|MKC| McCormick & Company, Incorporated| 1.73%| North America|Equity|All Cap Equities||TPHD|6|2.ASSET|Equity|143.3|2.34|ED| Consolidated Edison, Inc.| 1.63%| North America|Equity|All Cap Equities||TPHD|6|3.ASSET|Equity|143.3|2.22|COST| Costco Wholesale Corporation| 1.55%| North America|Equity|All Cap Equities||TPHD|6|4.ASSET|Equity|143.3|2.21|SO| Southern Company| 1.54%| North America|Equity|All Cap Equities||TPHD|6|5.ASSET|Equity|143.3|2.15|GD| General Dynamics Corporation| 1.50%| North America|Equity|All Cap Equities||TPHD|6|6.ASSET|Equity|143.3|2.14|AEP| American Electric Power Company, Inc.| 1.49%| North America|Equity|All Cap Equities||TPHD|6|7.ASSET|Equity|143.3|2.14|ATO| Atmos Energy Corporation| 1.49%| North America|Equity|All Cap Equities||TPHD|6|8.ASSET|Equity|143.3|2.06|D| Dominion Energy Inc| 1.44%| North America|Equity|All Cap Equities||TPHD|6|9.ASSET|Equity|143.3|2.06|WM| Waste Management, Inc.| 1.44%| North America|Equity|All Cap Equities||TPHD|6|10.ASSET|Equity|143.3|2.02|DTE| DTE Energy Company| 1.41%| North America|Equity|All Cap Equities||TPHD|6|11.ASSET|Equity|143.3|1.99|CMS| CMS Energy Corporation| 1.39%| North America|Equity|All Cap Equities||TPHD|6|12.ASSET|Equity|143.3|1.93|ITW| Illinois Tool Works Inc.| 1.35%| North America|Equity|All Cap Equities||TPHD|6|13.ASSET|Equity|143.3|1.92|PEG| Public Service Enterprise Group Inc| 1.34%| North America|Equity|All Cap Equities||TPHD|6|14.ASSET|Equity|143.3|1.91|AEE| Ameren Corporation| 1.33%| North America|Equity|All Cap Equities||TPHD|6|15.ASSET|Equity|143.3|1.89|FE| FirstEnergy Corp.| 1.32%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|1.ASSET|Real Estate|140.1|3.04|AEM| Agnico Eagle Mines Limited| 2.17%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|2.ASSET|Real Estate|140.1|2.03|PBR| Petroleo Brasileiro SA Sponsored ADR| 1.45%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|3.ASSET|Real Estate|140.1|1.98|N/A| U.S. Dollar| 1.41%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|4.ASSET|Real Estate|140.1|1.98|CQP| Cheniere Energy Partners, L.P.| 1.41%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|5.ASSET|Real Estate|140.1|1.96|MOS| Mosaic Company| 1.40%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|6.ASSET|Real Estate|140.1|1.93|VALE3| Vale S.A.| 1.38%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|7.ASSET|Real Estate|140.1|1.91|GFI| Gold Fields Limited| 1.36%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|8.ASSET|Real Estate|140.1|1.88|CPLE11| Companhia Paranaense de Energia - COPEL Units Cons of 1 Sh + 4 Pfd Shs B| 1.34%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|9.ASSET|Real Estate|140.1|1.86|ABX| Barrick Gold Corporation| 1.33%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|10.ASSET|Real Estate|140.1|1.86|FLMN| Falcon Minerals Corp. Class A| 1.33%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|11.ASSET|Real Estate|140.1|1.86|YRI| Yamana Gold Inc.| 1.33%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|12.ASSET|Real Estate|140.1|1.84|WMB| Williams Companies, Inc.| 1.31%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|13.ASSET|Real Estate|140.1|1.78|NEM| Newmont Corporation| 1.27%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|14.ASSET|Real Estate|140.1|1.78|ORA| Orange SA| 1.27%| North America|Real Estate|Real Estate|Real Estate|VRAI|6|15.ASSET|Real Estate|140.1|1.78|SCCO| Southern Copper Corporation| 1.27%| North America|Bond|Total Bond Market|Total Bond Market|OVB|6|1.ASSET|Bond|156.5|156.05|AGG| iShares Core U.S. Aggregate Bond ETF| 99.71%| North America|Bond|Total Bond Market|Total Bond Market|OVB|6|2.ASSET|Bond|156.5|2.05|FGXXX| First American Funds Inc X Government Obligations Fund| 1.31%| North America|Bond|Total Bond Market|Total Bond Market|OVB|6|3.ASSET|Bond|156.5|-0.03|N/A| OPTIONS| -0.02%| North America|Bond|Total Bond Market|Total Bond Market|OVB|6|4.ASSET|Bond|156.5|-1.57|N/A| U.S. Dollar| -1.00%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|1.ASSET|Multi-Asset|135.6|68.37|N/A| U.S. Dollar| 50.42%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|2.ASSET|Multi-Asset|135.6|3.24|EWY| iShares MSCI South Korea ETF| 2.39%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|3.ASSET|Multi-Asset|135.6|1.49|NSRGY| Nestle S.A. Sponsored ADR| 1.10%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|4.ASSET|Multi-Asset|135.6|1.11|RHHBY| Roche Holding Ltd Sponsored ADR| 0.82%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|5.ASSET|Multi-Asset|135.6|1.1|ASML| ASML Holding NV ADR| 0.81%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|6.ASSET|Multi-Asset|135.6|0.92|TM| Toyota Motor Corp Sponsored ADR| 0.68%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|7.ASSET|Multi-Asset|135.6|0.87|NVS| Novartis AG Sponsored ADR| 0.64%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|8.ASSET|Multi-Asset|135.6|0.85|SHEL| Shell PLC Sponsored ADR| 0.63%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|9.ASSET|Multi-Asset|135.6|0.77|AZN| Astrazeneca PLC Sponsored ADR| 0.57%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|10.ASSET|Multi-Asset|135.6|0.76|LVMUY| LVMH Moet Hennessy Louis Vuitton SE Unsponsored ADR| 0.56%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|11.ASSET|Multi-Asset|135.6|0.72|BHP| BHP Group Limited Sponsored ADR| 0.53%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|12.ASSET|Multi-Asset|135.6|0.69|NVO| Novo Nordisk A/S Sponsored ADR Class B| 0.51%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|13.ASSET|Multi-Asset|135.6|0.64|RY| Royal Bank of Canada| 0.47%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|14.ASSET|Multi-Asset|135.6|0.6|TD| Toronto-Dominion Bank| 0.44%| Global ex-U.S.|Multi-Asset|Diversified Portfolio||PTIN|6|15.ASSET|Multi-Asset|135.6|0.57|HSBC| HSBC Holdings PLC Sponsored ADR| 0.42%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|1.ASSET|Equity|140.1|1.02|N/A| U.S. Dollar| 0.73%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|2.ASSET|Equity|140.1|0.87|BHP| BHP Group Ltd| 0.62%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|3.ASSET|Equity|140.1|0.55|B3SA3| B3 SA - Brasil, Bolsa, Balcao| 0.39%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|4.ASSET|Equity|140.1|0.55|OXY| Occidental Petroleum Corporation| 0.39%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|5.ASSET|Equity|140.1|0.52|AMS| Anglo American Platinum Limited| 0.37%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|6.ASSET|Equity|140.1|0.52|WPL| Woodside Petroleum Ltd| 0.37%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|7.ASSET|Equity|140.1|0.49|HO| Thales SA| 0.35%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|8.ASSET|Equity|140.1|0.49|1605| INPEX CORPORATION| 0.35%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|9.ASSET|Equity|140.1|0.48|EC| Ecopetrol SA Sponsored ADR| 0.34%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|10.ASSET|Equity|140.1|0.48|PTTEP.R| PTT Exploration & Production Plc NVDR| 0.34%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|11.ASSET|Equity|140.1|0.48|SQM.B| Sociedad Quimica y Minera de Chile SA Pfd Series B| 0.34%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|12.ASSET|Equity|140.1|0.48|HAL| Halliburton Company| 0.34%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|13.ASSET|Equity|140.1|0.48|CHKP| Check Point Software Technologies Ltd.| 0.34%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|14.ASSET|Equity|140.1|0.48|ATVI| Activision Blizzard, Inc.| 0.34%| Developed Markets|Equity|Large Cap Blend Equities||BLES|6|15.ASSET|Equity|140.1|0.48|NHY| Norsk Hydro ASA| 0.34%| North America|Equity|n/a||FJAN|6|1.ASSET|Equity|225.6|223.19|N/A| OPTIONS| 98.93%| North America|Equity|n/a||FJAN|6|2.ASSET|Equity|225.6|2.41|DGCXX| Dreyfus Government Cash Management Funds Institutional| 1.07%| North America|Equity|n/a||FJAN|6|3.ASSET|Equity|225.6|0|N/A| U.S. Dollar| 0.00%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|1.ASSET|Equity|127.3|2.33|BA| BAE Systems plc| 1.83%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|2.ASSET|Equity|127.3|2.11|UCB| UCB S.A.| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|3.ASSET|Equity|127.3|2.02|COLO.B| Coloplast A/S Class B| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|4.ASSET|Equity|127.3|2.02|DIA| DiaSorin S.p.A.| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|5.ASSET|Equity|127.3|2|BNZL| Bunzl plc| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|6.ASSET|Equity|127.3|2|GIVN| Givaudan SA| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|7.ASSET|Equity|127.3|1.99|SY1| Symrise AG| 1.56%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|8.ASSET|Equity|127.3|1.99|WKL| Wolters Kluwer NV| 1.56%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|9.ASSET|Equity|127.3|1.97|9843| Nitori Holdings Co., Ltd.| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|10.ASSET|Equity|127.3|1.96|NG| National Grid plc| 1.54%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|11.ASSET|Equity|127.3|1.96|NESN| Nestle S.A.| 1.54%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|12.ASSET|Equity|127.3|1.95|3626| TIS Inc.| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|13.ASSET|Equity|127.3|1.95|4452| Kao Corp.| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|14.ASSET|Equity|127.3|1.93|9719| SCSK Corporation| 1.52%| Developed Markets|Equity|Foreign Large Cap Equities||EFAD|6|15.ASSET|Equity|127.3|1.93|4768| Otsuka Corporation| 1.52%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|1.ASSET|Equity|132.2|3.32|CSCO| Cisco Systems, Inc.| 2.51%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|2.ASSET|Equity|132.2|3.01|INTC| Intel Corporation| 2.28%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|3.ASSET|Equity|132.2|2.5|AAPL| Apple Inc.| 1.89%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|4.ASSET|Equity|132.2|2.22|ANTM| Anthem, Inc.| 1.68%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|5.ASSET|Equity|132.2|2.14|TGT| Target Corporation| 1.62%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|6.ASSET|Equity|132.2|1.96|MU| Micron Technology, Inc.| 1.48%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|7.ASSET|Equity|132.2|1.77|RIO| Rio Tinto plc| 1.34%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|8.ASSET|Equity|132.2|1.76|MSFT| Microsoft Corporation| 1.33%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|9.ASSET|Equity|132.2|1.49|500209| Infosys Limited| 1.13%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|10.ASSET|Equity|132.2|1.47|939| China Construction Bank Corporation Class H| 1.11%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|11.ASSET|Equity|132.2|1.3|HCA| HCA Healthcare Inc| 0.98%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|12.ASSET|Equity|132.2|1.27|COF| Capital One Financial Corporation| 0.96%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|13.ASSET|Equity|132.2|1.18|GM| General Motors Company| 0.89%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|14.ASSET|Equity|132.2|1.14|TXN| Texas Instruments Incorporated| 0.86%| Developed Markets|Equity|Large Cap Blend Equities||ACWF|6|15.ASSET|Equity|132.2|0.97|FTNT| Fortinet, Inc.| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|1.ASSET|Bond|159.2|2.71|N/A| AbbVie Inc. 3.2% 21-NOV-2029| 1.70%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|2.ASSET|Bond|159.2|2.26|N/A| Anheuser-Busch Inbev Worldwide, Inc. 4.75% 23-JAN-2029| 1.42%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|3.ASSET|Bond|159.2|2.26|N/A| Verizon Communications Inc. 4.016% 03-DEC-2029| 1.42%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|4.ASSET|Bond|159.2|2.05|N/A| International Business Machines Corporation 3.5% 15-MAY-2029| 1.29%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|5.ASSET|Bond|159.2|1.85|N/A| Bristol-Myers Squibb Company 3.4% 26-JUL-2029| 1.16%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|6.ASSET|Bond|159.2|1.81|N/A| AT&T Inc. 4.35% 01-MAR-2029| 1.14%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|7.ASSET|Bond|159.2|1.78|N/A| Wells Fargo & Company 4.15% 24-JAN-2029| 1.12%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|8.ASSET|Bond|159.2|1.56|N/A| Fiserv, Inc. 3.5% 01-JUL-2029| 0.98%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|9.ASSET|Bond|159.2|1.53|N/A| Sumitomo Mitsui Financial Group, Inc. 3.04% 16-JUL-2029| 0.96%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|10.ASSET|Bond|159.2|1.39|N/A| Fox Corporation 4.709% 25-JAN-2029| 0.87%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|11.ASSET|Bond|159.2|1.34|N/A| Broadcom Inc. 4.75% 15-APR-2029| 0.84%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|12.ASSET|Bond|159.2|1.26|N/A| Altria Group, Inc. 4.8% 14-FEB-2029| 0.79%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|13.ASSET|Bond|159.2|1.26|N/A| Walt Disney Company 2.0% 01-SEP-2029| 0.79%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|14.ASSET|Bond|159.2|1.26|N/A| Conoco, Inc. 6.95% 15-APR-2029| 0.79%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDU|6|15.ASSET|Bond|159.2|1.24|N/A| HCA, Inc. 4.125% 15-JUN-2029| 0.78%| North America|Equity|All Cap Equities||RYJ|6|1.ASSET|Equity|130.5|0.89|TPIC| TPI Composites, Inc.| 0.68%| North America|Equity|All Cap Equities||RYJ|6|2.ASSET|Equity|130.5|0.85|USER| UserTesting, Inc.| 0.65%| North America|Equity|All Cap Equities||RYJ|6|3.ASSET|Equity|130.5|0.82|BE| Bloom Energy Corporation Class A| 0.63%| North America|Equity|All Cap Equities||RYJ|6|4.ASSET|Equity|130.5|0.82|NOVA| Sunnova Energy International Inc| 0.63%| North America|Equity|All Cap Equities||RYJ|6|5.ASSET|Equity|130.5|0.81|FTCI| FTC Solar, Inc.| 0.62%| North America|Equity|All Cap Equities||RYJ|6|6.ASSET|Equity|130.5|0.81|OXY| Occidental Petroleum Corporation| 0.62%| North America|Equity|All Cap Equities||RYJ|6|7.ASSET|Equity|130.5|0.8|APA| APA Corp.| 0.61%| North America|Equity|All Cap Equities||RYJ|6|8.ASSET|Equity|130.5|0.8|AR| Antero Resources Corporation| 0.61%| North America|Equity|All Cap Equities||RYJ|6|9.ASSET|Equity|130.5|0.78|CMBM| Cambium Networks Corporation| 0.60%| North America|Equity|All Cap Equities||RYJ|6|10.ASSET|Equity|130.5|0.78|UNIT| Uniti Group Inc.| 0.60%| North America|Equity|All Cap Equities||RYJ|6|11.ASSET|Equity|130.5|0.78|DAR| Darling Ingredients Inc.| 0.60%| North America|Equity|All Cap Equities||RYJ|6|12.ASSET|Equity|130.5|0.77|ENV| Envestnet, Inc.| 0.59%| North America|Equity|All Cap Equities||RYJ|6|13.ASSET|Equity|130.5|0.77|BYRN| Byrna Technologies Inc.| 0.59%| North America|Equity|All Cap Equities||RYJ|6|14.ASSET|Equity|130.5|0.77|ACHC| Acadia Healthcare Company, Inc.| 0.59%| North America|Equity|All Cap Equities||RYJ|6|15.ASSET|Equity|130.5|0.77|LNG| Cheniere Energy, Inc.| 0.59%| North America|Equity|Large Cap Growth Equities||ENTR|6|1.ASSET|Equity|59.6|6.63|N/A| U.S. Dollar| 11.12%| North America|Equity|Large Cap Growth Equities||ENTR|6|2.ASSET|Equity|59.6|4.03|GOOGL| Alphabet Inc. Class A| 6.77%| North America|Equity|Large Cap Growth Equities||ENTR|6|3.ASSET|Equity|59.6|2.81|REGN| Regeneron Pharmaceuticals, Inc.| 4.71%| North America|Equity|Large Cap Growth Equities||ENTR|6|4.ASSET|Equity|59.6|2.6|FTNT| Fortinet, Inc.| 4.37%| North America|Equity|Large Cap Growth Equities||ENTR|6|5.ASSET|Equity|59.6|2.53|NVDA| NVIDIA Corporation| 4.25%| North America|Equity|Large Cap Growth Equities||ENTR|6|6.ASSET|Equity|59.6|2.35|AAPL| Apple Inc.| 3.95%| North America|Equity|Large Cap Growth Equities||ENTR|6|7.ASSET|Equity|59.6|2.16|ORCL| Oracle Corporation| 3.63%| North America|Equity|Large Cap Growth Equities||ENTR|6|8.ASSET|Equity|59.6|1.73|RMD| ResMed Inc.| 2.90%| North America|Equity|Large Cap Growth Equities||ENTR|6|9.ASSET|Equity|59.6|1.7|CTAS| Cintas Corporation| 2.86%| North America|Equity|Large Cap Growth Equities||ENTR|6|10.ASSET|Equity|59.6|1.66|QCOM| Qualcomm Inc| 2.78%| North America|Equity|Large Cap Growth Equities||ENTR|6|11.ASSET|Equity|59.6|1.56|CPRT| Copart, Inc.| 2.62%| North America|Equity|Large Cap Growth Equities||ENTR|6|12.ASSET|Equity|59.6|1.49|VEEV| Veeva Systems Inc Class A| 2.50%| North America|Equity|Large Cap Growth Equities||ENTR|6|13.ASSET|Equity|59.6|1.44|EXEL| Exelixis, Inc.| 2.42%| North America|Equity|Large Cap Growth Equities||ENTR|6|14.ASSET|Equity|59.6|1.42|MSFT| Microsoft Corporation| 2.38%| North America|Equity|Large Cap Growth Equities||ENTR|6|15.ASSET|Equity|59.6|1.28|FB| Meta Platforms Inc. Class A| 2.15%| North America|Equity|Small Cap Growth Equities||RZG|6|1.ASSET|Equity|122.8|2.21|CUBI| Customers Bancorp, Inc.| 1.80%| North America|Equity|Small Cap Growth Equities||RZG|6|2.ASSET|Equity|122.8|2.1|RILY| B. Riley Financial, Inc.| 1.71%| North America|Equity|Small Cap Growth Equities||RZG|6|3.ASSET|Equity|122.8|2.09|MTDR| Matador Resources Company| 1.70%| North America|Equity|Small Cap Growth Equities||RZG|6|4.ASSET|Equity|122.8|1.82|WIRE| Encore Wire Corporation| 1.48%| North America|Equity|Small Cap Growth Equities||RZG|6|5.ASSET|Equity|122.8|1.69|XPEL| XPEL, Inc.| 1.38%| North America|Equity|Small Cap Growth Equities||RZG|6|6.ASSET|Equity|122.8|1.67|INVA| Innoviva, Inc.| 1.36%| North America|Equity|Small Cap Growth Equities||RZG|6|7.ASSET|Equity|122.8|1.66|FLGT| Fulgent Genetics, Inc.| 1.35%| North America|Equity|Small Cap Growth Equities||RZG|6|8.ASSET|Equity|122.8|1.63|ORGO| Organogenesis Holdings, Inc. Class A| 1.33%| North America|Equity|Small Cap Growth Equities||RZG|6|9.ASSET|Equity|122.8|1.63|LPG| Dorian LPG Ltd.| 1.33%| North America|Equity|Small Cap Growth Equities||RZG|6|10.ASSET|Equity|122.8|1.6|PIPR| Piper Sandler Companies| 1.30%| North America|Equity|Small Cap Growth Equities||RZG|6|11.ASSET|Equity|122.8|1.6|CELH| Celsius Holdings, Inc.| 1.30%| North America|Equity|Small Cap Growth Equities||RZG|6|12.ASSET|Equity|122.8|1.6|FBC| Flagstar Bancorp, Inc.| 1.30%| North America|Equity|Small Cap Growth Equities||RZG|6|13.ASSET|Equity|122.8|1.57|KLIC| Kulicke & Soffa Industries, Inc.| 1.28%| North America|Equity|Small Cap Growth Equities||RZG|6|14.ASSET|Equity|122.8|1.52|FBP| First Bancorp| 1.24%| North America|Equity|Small Cap Growth Equities||RZG|6|15.ASSET|Equity|122.8|1.46|CASH| Meta Financial Group, Inc.| 1.19%| North America|Equity|Small Cap Growth Equities||JSML|6|1.ASSET|Equity|113|3.2|UI| Ubiquiti Inc.| 2.83%| North America|Equity|Small Cap Growth Equities||JSML|6|2.ASSET|Equity|113|3.07|AMKR| Amkor Technology, Inc.| 2.72%| North America|Equity|Small Cap Growth Equities||JSML|6|3.ASSET|Equity|113|3.03|MRVI| Maravai LifeSciences Holdings Inc Class A| 2.68%| North America|Equity|Small Cap Growth Equities||JSML|6|4.ASSET|Equity|113|2.86|QLYS| Qualys, Inc.| 2.53%| North America|Equity|Small Cap Growth Equities||JSML|6|5.ASSET|Equity|113|2.76|TWKS| Thoughtworks Holding Inc| 2.44%| North America|Equity|Small Cap Growth Equities||JSML|6|6.ASSET|Equity|113|2.73|NARI| Inari Medical, Inc.| 2.42%| North America|Equity|Small Cap Growth Equities||JSML|6|7.ASSET|Equity|113|2.68|ENSG| Ensign Group, Inc.| 2.37%| North America|Equity|Small Cap Growth Equities||JSML|6|8.ASSET|Equity|113|2.6|DV| DoubleVerify Holdings, Inc.| 2.30%| North America|Equity|Small Cap Growth Equities||JSML|6|9.ASSET|Equity|113|2.31|CMC| Commercial Metals Company| 2.04%| North America|Equity|Small Cap Growth Equities||JSML|6|10.ASSET|Equity|113|2.29|DNLI| Denali Therapeutics Inc.| 2.03%| North America|Equity|Small Cap Growth Equities||JSML|6|11.ASSET|Equity|113|2.27|PGNY| Progyny, Inc.| 2.01%| North America|Equity|Small Cap Growth Equities||JSML|6|12.ASSET|Equity|113|2.27|SLGN| Silgan Holdings Inc.| 2.01%| North America|Equity|Small Cap Growth Equities||JSML|6|13.ASSET|Equity|113|2.12|TTEC| TTEC Holdings, Inc.| 1.88%| North America|Equity|Small Cap Growth Equities||JSML|6|14.ASSET|Equity|113|2.1|NSIT| Insight Enterprises, Inc.| 1.86%| North America|Equity|Small Cap Growth Equities||JSML|6|15.ASSET|Equity|113|2.09|DOCS| Doximity, Inc. Class A| 1.85%| North America|Alternatives|Hedge Fund||WTMF|6|1.ASSET|Alternatives|145|203.86|N/A| Cash Component| 140.59%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|1.ASSET|Equity|147.2|2.56|MU| Micron Technology, Inc.| 1.74%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|2.ASSET|Equity|147.2|2.31|CTSH| Cognizant Technology Solutions Corporation Class A| 1.57%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|3.ASSET|Equity|147.2|2.22|AMD| Advanced Micro Devices, Inc.| 1.51%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|4.ASSET|Equity|147.2|2.18|NVDA| NVIDIA Corporation| 1.48%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|5.ASSET|Equity|147.2|2.09|MUFG| Mitsubishi UFJ Financial Group, Inc. Sponsored ADR| 1.42%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|6.ASSET|Equity|147.2|2.08|MAERSK.B| A.P. Moller - Maersk A/S Class B| 1.41%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|7.ASSET|Equity|147.2|2.08|SCMN| Swisscom AG| 1.41%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|8.ASSET|Equity|147.2|2.08|1398| Industrial and Commercial Bank of China Limited Class H| 1.41%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|9.ASSET|Equity|147.2|2.03|939| China Construction Bank Corporation Class H| 1.38%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|10.ASSET|Equity|147.2|2.02|MSFT| Microsoft Corporation| 1.37%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|11.ASSET|Equity|147.2|2|998| China CITIC Bank Corporation Ltd Class H| 1.36%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|12.ASSET|Equity|147.2|1.97|INFY| Infosys Limited Sponsored ADR| 1.34%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|13.ASSET|Equity|147.2|1.96|BIDU| Baidu Inc Sponsored ADR Class A| 1.33%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|14.ASSET|Equity|147.2|1.96|MA| Mastercard Incorporated Class A| 1.33%| Developed Markets|Equity|Large Cap Blend Equities|Technology|LEGR|6|15.ASSET|Equity|147.2|1.9|ENGI| ENGIE SA.| 1.29%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|1.ASSET|Equity|92|7.71|IBN| ICICI Bank Limited Sponsored ADR| 8.38%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|2.ASSET|Equity|92|7.55|INFY| Infosys Limited Sponsored ADR| 8.21%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|3.ASSET|Equity|92|7.06|HDB| HDFC Bank Limited Sponsored ADR| 7.67%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|4.ASSET|Equity|92|6.44|JD| JD.com, Inc. Sponsored ADR Class A| 7.00%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|5.ASSET|Equity|92|6.24|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 6.78%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|6.ASSET|Equity|92|5.54|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 6.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|7.ASSET|Equity|92|4.62|BIDU| Baidu Inc Sponsored ADR Class A| 5.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|8.ASSET|Equity|92|4.26|WNS| WNS (Holdings) Limited Sponsored ADR| 4.63%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|9.ASSET|Equity|92|4.22|TTM| Tata Motors Limited Sponsored ADR| 4.59%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|10.ASSET|Equity|92|3.7|WIT| Wipro Limited Sponsored ADR| 4.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|11.ASSET|Equity|92|3.7|NTES| NetEase, Inc. Sponsored ADR| 4.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|12.ASSET|Equity|92|2.4|NIO| NIO Inc. Sponsored ADR Class A| 2.61%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|13.ASSET|Equity|92|2.36|MMYT| MakeMyTrip Ltd.| 2.57%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|14.ASSET|Equity|92|2.09|RNW| ReNew Energy Global plc Class A| 2.27%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FNI|6|15.ASSET|Equity|92|1.77|RDY| Dr. Reddy\'s Laboratories Ltd. Sponsored ADR| 1.92%| Developed Europe|Currency|Currency||FXB|6|1.ASSET|Currency|103.2|103.2|N/A| British pound| 100.00%| North America|Equity|All Cap Equities||SIXL|6|1.ASSET|Equity|140.9|0.8|SJI| South Jersey Industries, Inc.| 0.57%| North America|Equity|All Cap Equities||SIXL|6|2.ASSET|Equity|140.9|0.73|RGLD| Royal Gold, Inc.| 0.52%| North America|Equity|All Cap Equities||SIXL|6|3.ASSET|Equity|140.9|0.72|NOC| Northrop Grumman Corporation| 0.51%| North America|Equity|All Cap Equities||SIXL|6|4.ASSET|Equity|140.9|0.7|NVEE| NV5 Global Inc| 0.50%| North America|Equity|All Cap Equities||SIXL|6|5.ASSET|Equity|140.9|0.7|LHX| L3Harris Technologies Inc| 0.50%| North America|Equity|All Cap Equities||SIXL|6|6.ASSET|Equity|140.9|0.7|INVA| Innoviva, Inc.| 0.50%| North America|Equity|All Cap Equities||SIXL|6|7.ASSET|Equity|140.9|0.69|CHRW| C.H. Robinson Worldwide, Inc.| 0.49%| North America|Equity|All Cap Equities||SIXL|6|8.ASSET|Equity|140.9|0.69|LMT| Lockheed Martin Corporation| 0.49%| North America|Equity|All Cap Equities||SIXL|6|9.ASSET|Equity|140.9|0.68|WWE| World Wrestling Entertainment, Inc. Class A| 0.48%| North America|Equity|All Cap Equities||SIXL|6|10.ASSET|Equity|140.9|0.68|UNIT| Uniti Group Inc.| 0.48%| North America|Equity|All Cap Equities||SIXL|6|11.ASSET|Equity|140.9|0.66|NEM| Newmont Corporation| 0.47%| North America|Equity|All Cap Equities||SIXL|6|12.ASSET|Equity|140.9|0.66|NBIX| Neurocrine Biosciences, Inc.| 0.47%| North America|Equity|All Cap Equities||SIXL|6|13.ASSET|Equity|140.9|0.66|CPSI| Computer Programs and Systems, Inc.| 0.47%| North America|Equity|All Cap Equities||SIXL|6|14.ASSET|Equity|140.9|0.66|CACI| CACI International Inc Class A| 0.47%| North America|Equity|All Cap Equities||SIXL|6|15.ASSET|Equity|140.9|0.65|EHC| Encompass Health Corporation| 0.46%| North America|Bond|High Yield Bonds|Junk|RIGS|6|1.ASSET|Bond|141.5|15.55|TPIXX| STATE STR INSTL INVT TR TREA PLUS INST| 10.99%| North America|Bond|High Yield Bonds|Junk|RIGS|6|2.ASSET|Bond|141.5|5.18|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 3.66%| North America|Bond|High Yield Bonds|Junk|RIGS|6|3.ASSET|Bond|141.5|2.29|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 1.62%| North America|Bond|High Yield Bonds|Junk|RIGS|6|4.ASSET|Bond|141.5|1.94|N/A| T-Mobile USA, Inc. 2.625% 15-APR-2026| 1.37%| North America|Bond|High Yield Bonds|Junk|RIGS|6|5.ASSET|Bond|141.5|1.8|N/A| PulteGroup, Inc. 5.5% 01-MAR-2026| 1.27%| North America|Bond|High Yield Bonds|Junk|RIGS|6|6.ASSET|Bond|141.5|1.78|N/A| D.R. Horton, Inc. 4.375% 15-SEP-2022| 1.26%| North America|Bond|High Yield Bonds|Junk|RIGS|6|7.ASSET|Bond|141.5|1.78|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 1.26%| North America|Bond|High Yield Bonds|Junk|RIGS|6|8.ASSET|Bond|141.5|1.78|N/A| JPMorgan Chase & Co. 4.25% 01-OCT-2027| 1.26%| North America|Bond|High Yield Bonds|Junk|RIGS|6|9.ASSET|Bond|141.5|1.77|N/A| Bank of America Corporation 4.25% 22-OCT-2026| 1.25%| North America|Bond|High Yield Bonds|Junk|RIGS|6|10.ASSET|Bond|141.5|1.77|N/A| Vistra Operations Co. LLC 3.55% 15-JUL-2024| 1.25%| North America|Bond|High Yield Bonds|Junk|RIGS|6|11.ASSET|Bond|141.5|1.75|N/A| Goldman Sachs Group, Inc. 4.25% 21-OCT-2025| 1.24%| North America|Bond|High Yield Bonds|Junk|RIGS|6|12.ASSET|Bond|141.5|1.58|N/A| WESCO Distribution, Inc. 7.125% 15-JUN-2025| 1.12%| North America|Bond|High Yield Bonds|Junk|RIGS|6|13.ASSET|Bond|141.5|1.57|N/A| SBA Communications Corp. 3.875% 15-FEB-2027| 1.11%| North America|Bond|High Yield Bonds|Junk|RIGS|6|14.ASSET|Bond|141.5|1.54|N/A| NextEra Energy Operating Partners LP 4.25% 15-JUL-2024| 1.09%| North America|Bond|High Yield Bonds|Junk|RIGS|6|15.ASSET|Bond|141.5|1.51|N/A| Graphic Packaging International, LLC 4.875% 15-NOV-2022| 1.07%| North America|Equity|n/a||FAPR|6|1.ASSET|Equity|152.9|152.33|N/A| OPTIONS| 99.63%| North America|Equity|n/a||FAPR|6|2.ASSET|Equity|152.9|0.57|N/A| U.S. Dollar| 0.37%| North America|Bond|Money Market|Municipal Bond|MUST|6|1.ASSET|Bond|181.9|2.18|N/A| U.S. Dollar| 1.20%| North America|Bond|Money Market|Municipal Bond|MUST|6|2.ASSET|Bond|181.9|1.47|N/A| New Jersey St Transn Tr Fd Auth 5.0% 15-JUN-2033| 0.81%| North America|Bond|Money Market|Municipal Bond|MUST|6|3.ASSET|Bond|181.9|1.16|N/A| Oregon Health Sciences Univ Rev 4.0% 01-JUL-2041| 0.64%| North America|Bond|Money Market|Municipal Bond|MUST|6|4.ASSET|Bond|181.9|1.07|N/A| Port Freeport Tex Sr Lien Rev 5.0% 01-JUN-2033| 0.59%| North America|Bond|Money Market|Municipal Bond|MUST|6|5.ASSET|Bond|181.9|1.02|N/A| Delaware Valley Pa Regl Fin Auth Loc Govt Rev 5.5% 01-AUG-2028| 0.56%| North America|Bond|Money Market|Municipal Bond|MUST|6|6.ASSET|Bond|181.9|1.02|N/A| Port Auth N Y & N J 5.0% 15-SEP-2027| 0.56%| North America|Bond|Money Market|Municipal Bond|MUST|6|7.ASSET|Bond|181.9|0.98|N/A| Chicago Ill Brd Ed 5.0% 01-DEC-2033| 0.54%| North America|Bond|Money Market|Municipal Bond|MUST|6|8.ASSET|Bond|181.9|0.96|N/A| Ohio St Wtr Dev Auth Pollution Ctl Facs Rev 5.0% 01-JUN-2029| 0.53%| North America|Bond|Money Market|Municipal Bond|MUST|6|9.ASSET|Bond|181.9|0.96|N/A| New Jersey St Transn Tr Fd Auth 5.0% 15-DEC-2034| 0.53%| North America|Bond|Money Market|Municipal Bond|MUST|6|10.ASSET|Bond|181.9|0.96|N/A| Connecticut St Spl Tax Oblig Rev 5.0% 01-NOV-2036| 0.53%| North America|Bond|Money Market|Municipal Bond|MUST|6|11.ASSET|Bond|181.9|0.95|N/A| New Jersey St Transn Tr Fd Auth 5.0% 15-DEC-2032| 0.52%| North America|Bond|Money Market|Municipal Bond|MUST|6|12.ASSET|Bond|181.9|0.95|N/A| Port Auth N Y & N J 5.0% 15-SEP-2029| 0.52%| North America|Bond|Money Market|Municipal Bond|MUST|6|13.ASSET|Bond|181.9|0.93|N/A| Pennsylvania St Tpk Commn Tpk Rev 6.0% 01-DEC-2030| 0.51%| North America|Bond|Money Market|Municipal Bond|MUST|6|14.ASSET|Bond|181.9|0.93|N/A| Gainesville & Hall Cnty Ga Hosp Auth Rev Antic Ctfs 5.0% 15-FEB-2042| 0.51%| North America|Bond|Money Market|Municipal Bond|MUST|6|15.ASSET|Bond|181.9|0.85|N/A| Colorado Health Facs Auth Rev 5.0% 01-NOV-2044| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|1.ASSET|Equity|228.9|6.36|FMG| Fortescue Metals Group Ltd| 2.78%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|2.ASSET|Equity|228.9|6.04|EQNR| Equinor ASA| 2.64%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|3.ASSET|Equity|228.9|6.02|NTGY| Naturgy Energy Group, S.A.| 2.63%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|4.ASSET|Equity|228.9|4.3|FORTUM| Fortum Oyj| 1.88%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|5.ASSET|Equity|228.9|4.21|BATS| British American Tobacco p.l.c.| 1.84%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|6.ASSET|Equity|228.9|4.19|VOD| Vodafone Group Plc| 1.83%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|7.ASSET|Equity|228.9|4.17|BHP| BHP Group Plc| 1.82%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|8.ASSET|Equity|228.9|4.17|7751| Canon Inc.| 1.82%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|9.ASSET|Equity|228.9|4.05|TLS| Telstra Corporation Limited| 1.77%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|10.ASSET|Equity|228.9|4.03|WPL| Woodside Petroleum Ltd| 1.76%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|11.ASSET|Equity|228.9|3.89|BAS| BASF SE| 1.70%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|12.ASSET|Equity|228.9|3.82|RIO| Rio Tinto plc| 1.67%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|13.ASSET|Equity|228.9|3.8|SSE| SSE plc| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|14.ASSET|Equity|228.9|3.78|2914| Japan Tobacco Inc.| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||DOO|6|15.ASSET|Equity|228.9|3.66|6| Power Assets Holdings Limited| 1.60%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|1.ASSET|Equity|110.8|15.47|700| Tencent Holdings Ltd.| 13.96%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|2.ASSET|Equity|110.8|8.84|9988| Alibaba Group Holding Ltd.| 7.98%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|3.ASSET|Equity|110.8|4.04|3690| Meituan Class B| 3.65%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|4.ASSET|Equity|110.8|3.28|939| China Construction Bank Corporation Class H| 2.96%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|5.ASSET|Equity|110.8|2.67|9618| JD.com, Inc. Class A| 2.41%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|6.ASSET|Equity|110.8|2.2|1398| Industrial and Commercial Bank of China Limited Class H| 1.99%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|7.ASSET|Equity|110.8|2.17|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.96%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|8.ASSET|Equity|110.8|2.12|BIDU| Baidu Inc Sponsored ADR Class A| 1.91%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|9.ASSET|Equity|110.8|1.5|3968| China Merchants Bank Co., Ltd. Class H| 1.35%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|10.ASSET|Equity|110.8|1.39|3988| Bank of China Limited Class H| 1.25%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|11.ASSET|Equity|110.8|1.37|9999| NetEase, Inc| 1.24%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|12.ASSET|Equity|110.8|1.32|2269| Wuxi Biologics (Cayman) Inc.| 1.19%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|13.ASSET|Equity|110.8|1.29|NIO| NIO Inc. Sponsored ADR Class A| 1.16%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|14.ASSET|Equity|110.8|1.22|600519| Kweichow Moutai Co., Ltd. Class A| 1.10%| Emerging Asia Pacific|Equity|China Equities||FLCH|6|15.ASSET|Equity|110.8|1.2|1211| BYD Company Limited Class H| 1.08%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|1.ASSET|Equity|243.2|5.91|RIO| Rio Tinto plc Sponsored ADR| 2.43%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|2.ASSET|Equity|243.2|5.89|CVX| Chevron Corporation| 2.42%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|3.ASSET|Equity|243.2|5.74|XOM| Exxon Mobil Corporation| 2.36%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|4.ASSET|Equity|243.2|5.62|BHP| BHP Group Limited Sponsored ADR| 2.31%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|5.ASSET|Equity|243.2|5.59|BTI| British American Tobacco PLC Sponsored ADR| 2.30%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|6.ASSET|Equity|243.2|5.47|SHEL| Shell PLC Sponsored ADR| 2.25%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|7.ASSET|Equity|243.2|5.47|ABBV| AbbVie, Inc.| 2.25%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|8.ASSET|Equity|243.2|5.45|AAL| Anglo American plc| 2.24%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|9.ASSET|Equity|243.2|5.33|BMY| Bristol-Myers Squibb Company| 2.19%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|10.ASSET|Equity|243.2|5.25|MO| Altria Group Inc| 2.16%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|11.ASSET|Equity|243.2|4.99|PM| Philip Morris International Inc.| 2.05%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|12.ASSET|Equity|243.2|4.91|BP| BP p.l.c. Sponsored ADR| 2.02%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|13.ASSET|Equity|243.2|4.89|TTE| TotalEnergies SE Sponsored ADR| 2.01%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|14.ASSET|Equity|243.2|4.89|AMGN| Amgen Inc.| 2.01%| Developed Markets|Equity|Large Cap Value Equities||GCOW|6|15.ASSET|Equity|243.2|4.89|FMG| Fortescue Metals Group Ltd| 2.01%| North America|Equity|Volatility Hedged Equity||FLLV|6|1.ASSET|Equity|130.8|2.28|JKHY| Jack Henry & Associates, Inc.| 1.74%| North America|Equity|Volatility Hedged Equity||FLLV|6|2.ASSET|Equity|130.8|2.2|AAPL| Apple Inc.| 1.68%| North America|Equity|Volatility Hedged Equity||FLLV|6|3.ASSET|Equity|130.8|2.07|MA| Mastercard Incorporated Class A| 1.58%| North America|Equity|Volatility Hedged Equity||FLLV|6|4.ASSET|Equity|130.8|2.04|V| Visa Inc. Class A| 1.56%| North America|Equity|Volatility Hedged Equity||FLLV|6|5.ASSET|Equity|130.8|1.98|IBM| International Business Machines Corporation| 1.51%| North America|Equity|Volatility Hedged Equity||FLLV|6|6.ASSET|Equity|130.8|1.92|ADI| Analog Devices, Inc.| 1.47%| North America|Equity|Volatility Hedged Equity||FLLV|6|7.ASSET|Equity|130.8|1.92|MSFT| Microsoft Corporation| 1.47%| North America|Equity|Volatility Hedged Equity||FLLV|6|8.ASSET|Equity|130.8|1.9|ABBV| AbbVie, Inc.| 1.45%| North America|Equity|Volatility Hedged Equity||FLLV|6|9.ASSET|Equity|130.8|1.88|CSCO| Cisco Systems, Inc.| 1.44%| North America|Equity|Volatility Hedged Equity||FLLV|6|10.ASSET|Equity|130.8|1.88|TXN| Texas Instruments Incorporated| 1.44%| North America|Equity|Volatility Hedged Equity||FLLV|6|11.ASSET|Equity|130.8|1.87|TU| TELUS Corporation| 1.43%| North America|Equity|Volatility Hedged Equity||FLLV|6|12.ASSET|Equity|130.8|1.87|APH| Amphenol Corporation Class A| 1.43%| North America|Equity|Volatility Hedged Equity||FLLV|6|13.ASSET|Equity|130.8|1.86|BMY| Bristol-Myers Squibb Company| 1.42%| North America|Equity|Volatility Hedged Equity||FLLV|6|14.ASSET|Equity|130.8|1.83|ADP| Automatic Data Processing, Inc.| 1.40%| North America|Equity|Volatility Hedged Equity||FLLV|6|15.ASSET|Equity|130.8|1.81|SNPS| Synopsys, Inc.| 1.38%| North America|Bond|High Yield Bonds|Junk|HYGH|6|1.ASSET|Bond|167.4|166.48|HYG| iShares iBoxx $ High Yield Corporate Bond ETF| 99.45%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|1.ASSET|Equity|149.3|10.48|AMT| American Tower Corporation| 7.02%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|2.ASSET|Equity|149.3|10.48|ENB| Enbridge Inc.| 7.02%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|3.ASSET|Equity|149.3|7.47|CCI| Crown Castle International Corp| 5.00%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|4.ASSET|Equity|149.3|6.82|NG| National Grid plc| 4.57%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|5.ASSET|Equity|149.3|6.29|DG| VINCI SA| 4.21%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|6.ASSET|Equity|149.3|6.29|TRP| TC Energy Corporation| 4.21%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|7.ASSET|Equity|149.3|4.72|SRE| Sempra Energy| 3.16%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|8.ASSET|Equity|149.3|3.96|WMB| Williams Companies, Inc.| 2.65%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|9.ASSET|Equity|149.3|3.69|EPD| Enterprise Products Partners L.P.| 2.47%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|10.ASSET|Equity|149.3|3.52|KMI| Kinder Morgan Inc Class P| 2.36%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|11.ASSET|Equity|149.3|3.48|SBAC| SBA Communications Corp. Class A| 2.33%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|12.ASSET|Equity|149.3|3.3|TCL| Transurban Group Ltd.| 2.21%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|13.ASSET|Equity|149.3|3.14|LNG| Cheniere Energy, Inc.| 2.10%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|14.ASSET|Equity|149.3|3.06|ED| Consolidated Edison, Inc.| 2.05%| Developed Markets|Equity|Utilities Equities|Utilities|TOLZ|6|15.ASSET|Equity|149.3|3|CLNX| Cellnex Telecom S.A.| 2.01%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|1.ASSET|Real Estate|114.4|8.15|PLD| Prologis, Inc.| 7.12%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|2.ASSET|Real Estate|114.4|7.87|AMT| American Tower Corporation| 6.88%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|3.ASSET|Real Estate|114.4|7.63|N/A| U.S. Dollar| 6.67%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|4.ASSET|Real Estate|114.4|5.49|CCI| Crown Castle International Corp| 4.80%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|5.ASSET|Real Estate|114.4|4.84|EQIX| Equinix, Inc.| 4.23%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|6.ASSET|Real Estate|114.4|4.14|PSA| Public Storage| 3.62%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|7.ASSET|Real Estate|114.4|3.34|SPG| Simon Property Group, Inc.| 2.92%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|8.ASSET|Real Estate|114.4|2.88|DLR| Digital Realty Trust, Inc.| 2.52%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|9.ASSET|Real Estate|114.4|2.81|O| Realty Income Corporation| 2.46%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|10.ASSET|Real Estate|114.4|2.71|WELL| Welltower, Inc.| 2.37%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|11.ASSET|Real Estate|114.4|2.61|SBAC| SBA Communications Corp. Class A| 2.28%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|12.ASSET|Real Estate|114.4|2.47|AVB| AvalonBay Communities, Inc.| 2.16%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|13.ASSET|Real Estate|114.4|2.41|CBRE| CBRE Group, Inc. Class A| 2.11%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|14.ASSET|Real Estate|114.4|2.19|WY| Weyerhaeuser Company| 1.91%| North America|Real Estate|Leveraged Real Estate|Real Estate|URE|6|15.ASSET|Real Estate|114.4|2.16|EQR| Equity Residential| 1.89%| Global ex-U.S.|Equity|Global Equities||IVAL|6|1.ASSET|Equity|142.6|4.56|N/A| U.S. Dollar| 3.20%| Global ex-U.S.|Equity|Global Equities||IVAL|6|2.ASSET|Equity|142.6|3.28|AKRBP| Aker BP ASA| 2.30%| Global ex-U.S.|Equity|Global Equities||IVAL|6|3.ASSET|Equity|142.6|3.08|EQNR| Equinor ASA| 2.16%| Global ex-U.S.|Equity|Global Equities||IVAL|6|4.ASSET|Equity|142.6|3.05|RHM| Rheinmetall AG| 2.14%| Global ex-U.S.|Equity|Global Equities||IVAL|6|5.ASSET|Equity|142.6|3.05|BS6| Yangzijiang Shipbuilding (Holdings) Ltd.| 2.14%| Global ex-U.S.|Equity|Global Equities||IVAL|6|6.ASSET|Equity|142.6|3.04|SSAB.B| SSAB AB Class B| 2.13%| Global ex-U.S.|Equity|Global Equities||IVAL|6|7.ASSET|Equity|142.6|3.02|BOL| Boliden AB| 2.12%| Global ex-U.S.|Equity|Global Equities||IVAL|6|8.ASSET|Equity|142.6|2.99|RIO| Rio Tinto plc| 2.10%| Global ex-U.S.|Equity|Global Equities||IVAL|6|9.ASSET|Equity|142.6|2.99|TTE| TotalEnergies SE| 2.10%| Global ex-U.S.|Equity|Global Equities||IVAL|6|10.ASSET|Equity|142.6|2.97|REP| Repsol SA| 2.08%| Global ex-U.S.|Equity|Global Equities||IVAL|6|11.ASSET|Equity|142.6|2.95|BHP| BHP Group Ltd| 2.07%| Global ex-U.S.|Equity|Global Equities||IVAL|6|12.ASSET|Equity|142.6|2.95|ENI| Eni S.p.A.| 2.07%| Global ex-U.S.|Equity|Global Equities||IVAL|6|13.ASSET|Equity|142.6|2.94|NDA| Aurubis AG| 2.06%| Global ex-U.S.|Equity|Global Equities||IVAL|6|14.ASSET|Equity|142.6|2.94|6361| Ebara Corporation| 2.06%| Global ex-U.S.|Equity|Global Equities||IVAL|6|15.ASSET|Equity|142.6|2.92|ZIM| ZIM Integrated Shipping Services Ltd.| 2.05%| North America|Real Estate|Real Estate|Real Estate|NETL|6|1.ASSET|Real Estate|127.6|11.22|WPC| W. P. Carey Inc.| 8.79%| North America|Real Estate|Real Estate|Real Estate|NETL|6|2.ASSET|Real Estate|127.6|10.71|O| Realty Income Corporation| 8.39%| North America|Real Estate|Real Estate|Real Estate|NETL|6|3.ASSET|Real Estate|127.6|10.6|NNN| National Retail Properties, Inc.| 8.31%| North America|Real Estate|Real Estate|Real Estate|NETL|6|4.ASSET|Real Estate|127.6|10.17|STOR| STORE Capital Corporation| 7.97%| North America|Real Estate|Real Estate|Real Estate|NETL|6|5.ASSET|Real Estate|127.6|9.7|STAG| STAG Industrial, Inc.| 7.60%| North America|Real Estate|Real Estate|Real Estate|NETL|6|6.ASSET|Real Estate|127.6|5.9|EPR| EPR Properties| 4.62%| North America|Real Estate|Real Estate|Real Estate|NETL|6|7.ASSET|Real Estate|127.6|5.69|LXP| LXP Industrial Trust| 4.46%| North America|Real Estate|Real Estate|Real Estate|NETL|6|8.ASSET|Real Estate|127.6|5.68|SRC| Spirit Realty Capital, Inc.| 4.45%| North America|Real Estate|Real Estate|Real Estate|NETL|6|9.ASSET|Real Estate|127.6|5.22|ADC| Agree Realty Corporation| 4.09%| North America|Real Estate|Real Estate|Real Estate|NETL|6|10.ASSET|Real Estate|127.6|5.1|EPRT| Essential Properties Realty Trust, Inc.| 4.00%| North America|Real Estate|Real Estate|Real Estate|NETL|6|11.ASSET|Real Estate|127.6|4.96|VICI| VICI Properties Inc| 3.89%| North America|Real Estate|Real Estate|Real Estate|NETL|6|12.ASSET|Real Estate|127.6|4.84|GLPI| Gaming and Leisure Properties, Inc.| 3.79%| North America|Real Estate|Real Estate|Real Estate|NETL|6|13.ASSET|Real Estate|127.6|4.68|BNL| Broadstone Net Lease, Inc.| 3.67%| North America|Real Estate|Real Estate|Real Estate|NETL|6|14.ASSET|Real Estate|127.6|4.17|GNL| Global Net Lease Inc| 3.27%| North America|Real Estate|Real Estate|Real Estate|NETL|6|15.ASSET|Real Estate|127.6|4.16|ILPT| Industrial Logistics Properties Trust| 3.26%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|1.ASSET|Equity|70.4|4.05|CNC| Centene Corporation| 5.75%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|2.ASSET|Equity|70.4|2.23|ALNY| Alnylam Pharmaceuticals, Inc| 3.17%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|3.ASSET|Equity|70.4|2.22|SGEN| Seagen, Inc.| 3.15%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|4.ASSET|Equity|70.4|2.15|PODD| Insulet Corporation| 3.05%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|5.ASSET|Equity|70.4|1.65|ABMD| ABIOMED, Inc.| 2.35%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|6.ASSET|Equity|70.4|1.65|BMRN| BioMarin Pharmaceutical Inc.| 2.35%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|7.ASSET|Equity|70.4|1.58|ELAN| Elanco Animal Health, Inc.| 2.25%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|8.ASSET|Equity|70.4|1.49|EXAS| Exact Sciences Corporation| 2.12%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|9.ASSET|Equity|70.4|1.46|VTRS| Viatris, Inc.| 2.07%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|10.ASSET|Equity|70.4|1.33|TDOC| Teladoc Health, Inc.| 1.89%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|11.ASSET|Equity|70.4|0.92|NVCR| NovoCure Ltd.| 1.30%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|12.ASSET|Equity|70.4|0.89|BHVN| Biohaven Pharmaceutical Holding Company Ltd.| 1.27%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|13.ASSET|Equity|70.4|0.89|AGL| agilon health inc| 1.27%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|14.ASSET|Equity|70.4|0.84|TNDM| Tandem Diabetes Care, Inc.| 1.19%| North America|Equity|Health & Biotech Equities|Healthcare|BTEC|6|15.ASSET|Equity|70.4|0.8|TXG| 10x Genomics Inc Class A| 1.14%| |Equity|Large Cap Blend Equities||FNOV|6|1.ASSET|Equity|299|0|N/A| Cash Component| 0.00%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|1.ASSET|Multi-Asset|130.2|6.24|OPER| ClearShares Ultra-Short Maturity ETF| 4.79%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|2.ASSET|Multi-Asset|130.2|6.11|VTV| Vanguard Value ETF| 4.69%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|3.ASSET|Multi-Asset|130.2|5.85|BIL| SPDR Bloomberg 1-3 Month T-Bill ETF| 4.49%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|4.ASSET|Multi-Asset|130.2|5.62|SHY| iShares 1-3 Year Treasury Bond ETF| 4.32%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|5.ASSET|Multi-Asset|130.2|5.33|VNQ| Vanguard Real Estate ETF| 4.09%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|6.ASSET|Multi-Asset|130.2|5.23|SPTM| SPDR Portfolio S&P 1500 Composite Stock Market ETF| 4.02%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|7.ASSET|Multi-Asset|130.2|5.21|VUG| Vanguard Growth ETF| 4.00%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|8.ASSET|Multi-Asset|130.2|4.97|SCHD| Schwab US Dividend Equity ETF| 3.82%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|9.ASSET|Multi-Asset|130.2|4.93|ICF| iShares Cohen & Steers REIT ETF| 3.79%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|10.ASSET|Multi-Asset|130.2|4.92|VTI| Vanguard Total Stock Market ETF| 3.78%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|11.ASSET|Multi-Asset|130.2|4.86|USMV| iShares MSCI USA Min Vol Factor ETF| 3.73%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|12.ASSET|Multi-Asset|130.2|4.57|IVV| iShares Core S&P 500 ETF| 3.51%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|13.ASSET|Multi-Asset|130.2|4.3|VOO| Vanguard S&P 500 ETF| 3.30%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|14.ASSET|Multi-Asset|130.2|4.3|VEA| Vanguard FTSE Developed Markets ETF| 3.30%| Developed Markets|Multi-Asset|Diversified Portfolio||OCIO|6|15.ASSET|Multi-Asset|130.2|4.18|VYM| Vanguard High Dividend Yield Index ETF| 3.21%| North America|Equity|All Cap Equities||DIVB|6|1.ASSET|Equity|252.2|11.98|AAPL| Apple Inc.| 4.75%| North America|Equity|All Cap Equities||DIVB|6|2.ASSET|Equity|252.2|10.04|MSFT| Microsoft Corporation| 3.98%| North America|Equity|All Cap Equities||DIVB|6|3.ASSET|Equity|252.2|5.9|JPM| JPMorgan Chase & Co.| 2.34%| North America|Equity|All Cap Equities||DIVB|6|4.ASSET|Equity|252.2|5.78|BRK.B| Berkshire Hathaway Inc. Class B| 2.29%| North America|Equity|All Cap Equities||DIVB|6|5.ASSET|Equity|252.2|5.14|XOM| Exxon Mobil Corporation| 2.04%| North America|Equity|All Cap Equities||DIVB|6|6.ASSET|Equity|252.2|5.12|BAC| Bank of America Corp| 2.03%| North America|Equity|All Cap Equities||DIVB|6|7.ASSET|Equity|252.2|5.07|T| AT&T Inc.| 2.01%| North America|Equity|All Cap Equities||DIVB|6|8.ASSET|Equity|252.2|4.69|PG| Procter & Gamble Company| 1.86%| North America|Equity|All Cap Equities||DIVB|6|9.ASSET|Equity|252.2|4.36|GOOGL| Alphabet Inc. Class A| 1.73%| North America|Equity|All Cap Equities||DIVB|6|10.ASSET|Equity|252.2|4.09|GOOG| Alphabet Inc. Class C| 1.62%| North America|Equity|All Cap Equities||DIVB|6|11.ASSET|Equity|252.2|3.83|INTC| Intel Corporation| 1.52%| North America|Equity|All Cap Equities||DIVB|6|12.ASSET|Equity|252.2|3.78|JNJ| Johnson & Johnson| 1.50%| North America|Equity|All Cap Equities||DIVB|6|13.ASSET|Equity|252.2|3.48|CVX| Chevron Corporation| 1.38%| North America|Equity|All Cap Equities||DIVB|6|14.ASSET|Equity|252.2|3.33|BMY| Bristol-Myers Squibb Company| 1.32%| North America|Equity|All Cap Equities||DIVB|6|15.ASSET|Equity|252.2|3.28|ABBV| AbbVie, Inc.| 1.30%| Developed Markets|Equity|Foreign Large Cap Equities||HAWX|6|1.ASSET|Equity|130.8|130.72|ACWX| iShares MSCI ACWI ex U.S. ETF| 99.94%| Developed Markets|Equity|Foreign Large Cap Equities||HAWX|6|2.ASSET|Equity|130.8|0.07|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.05%| Developed Markets|Equity|Foreign Large Cap Equities||HAWX|6|3.ASSET|Equity|130.8|0|N/A| U.S. Dollar| 0.00%| North America|Equity|Large Cap Value Equities||SPVU|6|1.ASSET|Equity|192.4|10.74|BRK.B| Berkshire Hathaway Inc. Class B| 5.58%| North America|Equity|Large Cap Value Equities||SPVU|6|2.ASSET|Equity|192.4|10.47|CVS| CVS Health Corporation| 5.44%| North America|Equity|Large Cap Value Equities||SPVU|6|3.ASSET|Equity|192.4|9.31|T| AT&T Inc.| 4.84%| North America|Equity|Large Cap Value Equities||SPVU|6|4.ASSET|Equity|192.4|8.5|BAC| Bank of America Corp| 4.42%| North America|Equity|Large Cap Value Equities||SPVU|6|5.ASSET|Equity|192.4|7.45|CI| Cigna Corporation| 3.87%| North America|Equity|Large Cap Value Equities||SPVU|6|6.ASSET|Equity|192.4|7|WFC| Wells Fargo & Company| 3.64%| North America|Equity|Large Cap Value Equities||SPVU|6|7.ASSET|Equity|192.4|6|C| Citigroup Inc.| 3.12%| North America|Equity|Large Cap Value Equities||SPVU|6|8.ASSET|Equity|192.4|5.43|ANTM| Anthem, Inc.| 2.82%| North America|Equity|Large Cap Value Equities||SPVU|6|9.ASSET|Equity|192.4|5.08|GM| General Motors Company| 2.64%| North America|Equity|Large Cap Value Equities||SPVU|6|10.ASSET|Equity|192.4|4.91|MPC| Marathon Petroleum Corporation| 2.55%| North America|Equity|Large Cap Value Equities||SPVU|6|11.ASSET|Equity|192.4|4.43|GS| Goldman Sachs Group, Inc.| 2.30%| North America|Equity|Large Cap Value Equities||SPVU|6|12.ASSET|Equity|192.4|3.71|F| Ford Motor Company| 1.93%| North America|Equity|Large Cap Value Equities||SPVU|6|13.ASSET|Equity|192.4|3.54|ADM| Archer-Daniels-Midland Company| 1.84%| North America|Equity|Large Cap Value Equities||SPVU|6|14.ASSET|Equity|192.4|3.27|CNC| Centene Corporation| 1.70%| North America|Equity|Large Cap Value Equities||SPVU|6|15.ASSET|Equity|192.4|3.23|MS| Morgan Stanley| 1.68%| North America|Equity|Small Cap Value Equities||FNK|6|1.ASSET|Equity|237.2|2.42|MOS| Mosaic Company| 1.02%| North America|Equity|Small Cap Value Equities||FNK|6|2.ASSET|Equity|237.2|2.21|DISCA| Discovery, Inc. Class A| 0.93%| North America|Equity|Small Cap Value Equities||FNK|6|3.ASSET|Equity|237.2|2.13|X| United States Steel Corporation| 0.90%| North America|Equity|Small Cap Value Equities||FNK|6|4.ASSET|Equity|237.2|2.13|STLD| Steel Dynamics, Inc.| 0.90%| North America|Equity|Small Cap Value Equities||FNK|6|5.ASSET|Equity|237.2|2.11|KSS| Kohl\'s Corporation| 0.89%| North America|Equity|Small Cap Value Equities||FNK|6|6.ASSET|Equity|237.2|2.06|RDN| Radian Group Inc.| 0.87%| North America|Equity|Small Cap Value Equities||FNK|6|7.ASSET|Equity|237.2|2.06|LAD| Lithia Motors, Inc.| 0.87%| North America|Equity|Small Cap Value Equities||FNK|6|8.ASSET|Equity|237.2|2.06|FHN| First Horizon Corporation| 0.87%| North America|Equity|Small Cap Value Equities||FNK|6|9.ASSET|Equity|237.2|2.06|RS| Reliance Steel & Aluminum Co.| 0.87%| North America|Equity|Small Cap Value Equities||FNK|6|10.ASSET|Equity|237.2|2.04|BG| Bunge Limited| 0.86%| North America|Equity|Small Cap Value Equities||FNK|6|11.ASSET|Equity|237.2|2.04|UHS| Universal Health Services, Inc. Class B| 0.86%| North America|Equity|Small Cap Value Equities||FNK|6|12.ASSET|Equity|237.2|2.02|ESGR| Enstar Group Limited| 0.85%| North America|Equity|Small Cap Value Equities||FNK|6|13.ASSET|Equity|237.2|2.02|WLK| Westlake Corporation| 0.85%| North America|Equity|Small Cap Value Equities||FNK|6|14.ASSET|Equity|237.2|2.02|HUN| Huntsman Corporation| 0.85%| North America|Equity|Small Cap Value Equities||FNK|6|15.ASSET|Equity|237.2|1.99|MRO| Marathon Oil Corporation| 0.84%| North America|Bond|High Yield Bonds|Junk|HYHG|6|1.ASSET|Bond|151.4|4.07|N/A| U.S. Dollar| 2.69%| North America|Bond|High Yield Bonds|Junk|HYHG|6|2.ASSET|Bond|151.4|3.92|N/A| CORPORATE BOND| 2.59%| North America|Bond|High Yield Bonds|Junk|HYHG|6|3.ASSET|Bond|151.4|2.29|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 1.51%| North America|Bond|High Yield Bonds|Junk|HYHG|6|4.ASSET|Bond|151.4|1.73|N/A| Occidental Petroleum Corporation 6.45% 15-SEP-2036| 1.14%| North America|Bond|High Yield Bonds|Junk|HYHG|6|5.ASSET|Bond|151.4|1.65|N/A| Matador Resources Company 5.875% 15-SEP-2026| 1.09%| North America|Bond|High Yield Bonds|Junk|HYHG|6|6.ASSET|Bond|151.4|1.59|N/A| Organon Finance 1 LLC 4.125% 30-APR-2028| 1.05%| North America|Bond|High Yield Bonds|Junk|HYHG|6|7.ASSET|Bond|151.4|1.57|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 1.04%| North America|Bond|High Yield Bonds|Junk|HYHG|6|8.ASSET|Bond|151.4|1.54|N/A| American Airlines, Inc. 5.75% 20-APR-2029| 1.02%| North America|Bond|High Yield Bonds|Junk|HYHG|6|9.ASSET|Bond|151.4|1.54|N/A| Aramark Services, Inc. 5.0% 01-FEB-2028| 1.02%| North America|Bond|High Yield Bonds|Junk|HYHG|6|10.ASSET|Bond|151.4|1.51|N/A| United Airlines, Inc. 4.625% 15-APR-2029| 1.00%| North America|Bond|High Yield Bonds|Junk|HYHG|6|11.ASSET|Bond|151.4|1.5|N/A| Mozart Debt Merger Sub, Inc. 5.25% 01-OCT-2029| 0.99%| North America|Bond|High Yield Bonds|Junk|HYHG|6|12.ASSET|Bond|151.4|1.48|N/A| Tenet Healthcare Corporation 4.875% 01-JAN-2026| 0.98%| North America|Bond|High Yield Bonds|Junk|HYHG|6|13.ASSET|Bond|151.4|1.45|N/A| Sprint Corp. 7.625% 01-MAR-2026| 0.96%| North America|Bond|High Yield Bonds|Junk|HYHG|6|14.ASSET|Bond|151.4|1.42|N/A| Zayo Group Holdings, Inc. 4.0% 01-MAR-2027| 0.94%| North America|Bond|High Yield Bonds|Junk|HYHG|6|15.ASSET|Bond|151.4|1.41|N/A| First Quantum Minerals Ltd. 6.875% 15-OCT-2027| 0.93%| North America|Equity|Energy Equities|Energy|PXE|6|1.ASSET|Equity|225.7|13.97|OXY| Occidental Petroleum Corporation| 6.19%| North America|Equity|Energy Equities|Energy|PXE|6|2.ASSET|Equity|225.7|12.32|EOG| EOG Resources, Inc.| 5.46%| North America|Equity|Energy Equities|Energy|PXE|6|3.ASSET|Equity|225.7|12.32|PXD| Pioneer Natural Resources Company| 5.46%| North America|Equity|Energy Equities|Energy|PXE|6|4.ASSET|Equity|225.7|12.14|COP| ConocoPhillips| 5.38%| North America|Equity|Energy Equities|Energy|PXE|6|5.ASSET|Equity|225.7|11.71|HES| Hess Corporation| 5.19%| North America|Equity|Energy Equities|Energy|PXE|6|6.ASSET|Equity|225.7|10.9|MPC| Marathon Petroleum Corporation| 4.83%| North America|Equity|Energy Equities|Energy|PXE|6|7.ASSET|Equity|225.7|10.25|VLO| Valero Energy Corporation| 4.54%| North America|Equity|Energy Equities|Energy|PXE|6|8.ASSET|Equity|225.7|10.22|PSX| Phillips 66| 4.53%| North America|Equity|Energy Equities|Energy|PXE|6|9.ASSET|Equity|225.7|7.4|KOS| Kosmos Energy Ltd.| 3.28%| North America|Equity|Energy Equities|Energy|PXE|6|10.ASSET|Equity|225.7|7.15|MRO| Marathon Oil Corporation| 3.17%| North America|Equity|Energy Equities|Energy|PXE|6|11.ASSET|Equity|225.7|6.88|APA| APA Corp.| 3.05%| North America|Equity|Energy Equities|Energy|PXE|6|12.ASSET|Equity|225.7|6.55|OVV| Ovintiv Inc| 2.90%| North America|Equity|Energy Equities|Energy|PXE|6|13.ASSET|Equity|225.7|6.48|AR| Antero Resources Corporation| 2.87%| North America|Equity|Energy Equities|Energy|PXE|6|14.ASSET|Equity|225.7|6.36|FANG| Diamondback Energy, Inc.| 2.82%| North America|Equity|Energy Equities|Energy|PXE|6|15.ASSET|Equity|225.7|6.34|MUR| Murphy Oil Corporation| 2.81%| Global ex-U.S.|Equity|Global Equities||IMFL|6|1.ASSET|Equity|119.2|6.93|NESN| Nestle S.A.| 5.81%| Global ex-U.S.|Equity|Global Equities||IMFL|6|2.ASSET|Equity|119.2|6.1|ROG| Roche Holding Ltd| 5.12%| Global ex-U.S.|Equity|Global Equities||IMFL|6|3.ASSET|Equity|119.2|5.23|005930| Samsung Electronics Co., Ltd.| 4.39%| Global ex-U.S.|Equity|Global Equities||IMFL|6|4.ASSET|Equity|119.2|3.89|NOVO.B| Novo Nordisk A/S Class B| 3.26%| Global ex-U.S.|Equity|Global Equities||IMFL|6|5.ASSET|Equity|119.2|3.46|OR| L\'Oreal SA| 2.90%| Global ex-U.S.|Equity|Global Equities||IMFL|6|6.ASSET|Equity|119.2|3.29|ASML| ASML Holding NV| 2.76%| Global ex-U.S.|Equity|Global Equities||IMFL|6|7.ASSET|Equity|119.2|3.16|BHP| BHP Group Ltd| 2.65%| Global ex-U.S.|Equity|Global Equities||IMFL|6|8.ASSET|Equity|119.2|2.15|CSL| CSL Limited| 1.80%| Global ex-U.S.|Equity|Global Equities||IMFL|6|9.ASSET|Equity|119.2|2.07|NOVN| Novartis AG| 1.74%| Global ex-U.S.|Equity|Global Equities||IMFL|6|10.ASSET|Equity|119.2|1.97|INVE.B| Investor AB Class B| 1.65%| Global ex-U.S.|Equity|Global Equities||IMFL|6|11.ASSET|Equity|119.2|1.97|SAN| Sanofi| 1.65%| Global ex-U.S.|Equity|Global Equities||IMFL|6|12.ASSET|Equity|119.2|1.9|SAP| SAP SE| 1.59%| Global ex-U.S.|Equity|Global Equities||IMFL|6|13.ASSET|Equity|119.2|1.74|AZN| AstraZeneca PLC| 1.46%| Global ex-U.S.|Equity|Global Equities||IMFL|6|14.ASSET|Equity|119.2|1.69|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.42%| Global ex-U.S.|Equity|Global Equities||IMFL|6|15.ASSET|Equity|119.2|1.64|6861| Keyence Corporation| 1.38%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|1.ASSET|Bond|106|10.78|N/A| FIXED INCOME (UNCLASSFIED)| 10.17%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|2.ASSET|Bond|106|8.33|IJGXX| JPMorgan Trust II US Government Money Market Fund Institutional| 7.86%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|3.ASSET|Bond|106|2.65|O9P| iShares Barclays USD Asia High Yield Bond Index ETF| 2.50%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|4.ASSET|Bond|106|1.2|N/A| JBS USA Lux S.A. 6.75% 15-FEB-2028| 1.13%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|5.ASSET|Bond|106|1.11|N/A| Sound Inpatient Physicians Holdings Llc Term Loan 26-Jun-2026| 1.05%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|6.ASSET|Bond|106|1.04|N/A| Capital Vision Services Lp Term Loan 30-Aug-2027| 0.98%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|7.ASSET|Bond|106|1.04|N/A| Balrog Acquisition Inc Term Loan 04-Sep-2029| 0.98%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|8.ASSET|Bond|106|1.03|N/A| Upstream Newco Inc Term Loan 20-Nov-2027| 0.97%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|9.ASSET|Bond|106|1.02|N/A| U.S. Dollar| 0.96%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|10.ASSET|Bond|106|1|N/A| Summit Healthcare Management Llc Term Loan 08-Nov-2029| 0.94%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|11.ASSET|Bond|106|0.95|N/A| Gulf Finance Llc Term Loan B 25-Aug-2026| 0.90%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|12.ASSET|Bond|106|0.92|N/A| Citgo Petroleum Corp Term Loan B 28-Mar-2024| 0.87%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|13.ASSET|Bond|106|0.92|N/A| IHO Verwaltungs GmbH 6.375% 15-MAY-2029| 0.87%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|14.ASSET|Bond|106|0.91|N/A| Vericast Merger Sub, Inc. 11.0% 15-SEP-2026| 0.86%| Developed Markets|Bond|High Yield Bonds|Junk|HYLD|6|15.ASSET|Bond|106|0.9|N/A| Redstone Buyer Llc Term Loan 01-Apr-2029| 0.85%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|1.ASSET|Bond|134|3.12|PHB| Invesco Fundamental High Yield Corporate Bond ETF| 2.33%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|2.ASSET|Bond|134|3.11|JNK| SPDR Bloomberg High Yield Bond ETF| 2.32%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|3.ASSET|Bond|134|2.77|N/A| NortonLifeLock Inc. 3.95% 15-JUN-2022| 2.07%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|4.ASSET|Bond|134|2.55|N/A| Telecom Italia S.p.A. 5.303% 30-MAY-2024| 1.90%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|5.ASSET|Bond|134|2.52|N/A| Aramark Services, Inc. 6.375% 01-MAY-2025| 1.88%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|6.ASSET|Bond|134|2.48|AGG| iShares Core U.S. Aggregate Bond ETF| 1.85%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|7.ASSET|Bond|134|2.48|IGSB| iShares 1-5 Year Investment Grade Corporate Bond ETF| 1.85%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|8.ASSET|Bond|134|2.02|N/A| OZLM XXIV C2 4.514% 20-JUL-2032| 1.51%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|9.ASSET|Bond|134|1.86|N/A| Venture XV CLO DR2 4.16129% 15-JUL-2032| 1.39%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|10.ASSET|Bond|134|1.86|N/A| FirstEnergy Corp. 3.35% 15-JUL-2022| 1.39%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|11.ASSET|Bond|134|1.84|N/A| Carlyle U.S. CLO 2018-2 C 3.14129% 15-OCT-2031| 1.37%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|12.ASSET|Bond|134|1.84|N/A| BlueMountain Fuji U.S. CLO II C 3.254% 20-OCT-2030| 1.37%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|13.ASSET|Bond|134|1.84|N/A| Steele Creek CLO 2014-1R D 3.05514% 21-APR-2031| 1.37%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|14.ASSET|Bond|134|1.82|N/A| Benefit Street Partners CLO XII C 3.29129% 15-OCT-2030| 1.36%| North America|Bond|Total Bond Market|Total Bond Market|AFIF|6|15.ASSET|Bond|134|1.82|N/A| Apidos CLO XV DRR 2.954% 20-APR-2031| 1.36%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|1.ASSET|Bond|106.6|5.6|N/A| U.S. Dollar| 5.25%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|2.ASSET|Bond|106.6|4.33|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 4.06%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|3.ASSET|Bond|106.6|3.2|N/A| United States Treasury Notes 2.25% 15-FEB-2027| 3.00%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|4.ASSET|Bond|106.6|2.12|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 1.99%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|5.ASSET|Bond|106.6|1.79|N/A| FNMA 30yr Pool#CB1804 2.000% 01-Oct-2051 2.0% 01-OCT-2051| 1.68%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|6.ASSET|Bond|106.6|1.69|N/A| MORTGAGE-BACKED SECURITIES| 1.59%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|7.ASSET|Bond|106.6|1.2|N/A| FNMA 30yr Pool#CA6099 3.500% 01-Jun-2050 3.5% 01-JUN-2050| 1.13%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|8.ASSET|Bond|106.6|1.2|N/A| GNMA II 30yr Pool#MA7766 2.000% 20-Dec-2051 2.0% 20-DEC-2051| 1.13%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|9.ASSET|Bond|106.6|1.17|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 1.10%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|10.ASSET|Bond|106.6|1.1|N/A| FHLMC 30yr Pool#SD8146 2.000% 01-May-2051 2.0% 01-MAY-2051| 1.03%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|11.ASSET|Bond|106.6|0.96|N/A| United States Treasury Notes 2.875% 15-MAY-2028| 0.90%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|12.ASSET|Bond|106.6|0.91|N/A| GNMA TBA 30yr 10% January Delivery 2.000% 01-OCT-2051| 0.85%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|13.ASSET|Bond|106.6|0.84|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 0.79%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|14.ASSET|Bond|106.6|0.82|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 0.77%| North America|Bond|Total Bond Market|Total Bond Market|IMTB|6|15.ASSET|Bond|106.6|0.69|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 0.65%| North America|Equity|Large Cap Growth Equities||RFDA|6|1.ASSET|Equity|111.2|4.97|ABBV| AbbVie, Inc.| 4.47%| North America|Equity|Large Cap Growth Equities||RFDA|6|2.ASSET|Equity|111.2|4.94|XOM| Exxon Mobil Corporation| 4.44%| North America|Equity|Large Cap Growth Equities||RFDA|6|3.ASSET|Equity|111.2|3.86|MO| Altria Group Inc| 3.47%| North America|Equity|Large Cap Growth Equities||RFDA|6|4.ASSET|Equity|111.2|3.78|KO| Coca-Cola Company| 3.40%| North America|Equity|Large Cap Growth Equities||RFDA|6|5.ASSET|Equity|111.2|3.74|MSFT| Microsoft Corporation| 3.36%| North America|Equity|Large Cap Growth Equities||RFDA|6|6.ASSET|Equity|111.2|3.68|BMY| Bristol-Myers Squibb Company| 3.31%| North America|Equity|Large Cap Growth Equities||RFDA|6|7.ASSET|Equity|111.2|3.32|IBM| International Business Machines Corporation| 2.99%| North America|Equity|Large Cap Growth Equities||RFDA|6|8.ASSET|Equity|111.2|3.3|CSCO| Cisco Systems, Inc.| 2.97%| North America|Equity|Large Cap Growth Equities||RFDA|6|9.ASSET|Equity|111.2|3.27|TFC| Truist Financial Corporation| 2.94%| North America|Equity|Large Cap Growth Equities||RFDA|6|10.ASSET|Equity|111.2|3.22|MRK| Merck & Co., Inc.| 2.90%| North America|Equity|Large Cap Growth Equities||RFDA|6|11.ASSET|Equity|111.2|3.19|HPE| Hewlett Packard Enterprise Co.| 2.87%| North America|Equity|Large Cap Growth Equities||RFDA|6|12.ASSET|Equity|111.2|3.17|INTC| Intel Corporation| 2.85%| North America|Equity|Large Cap Growth Equities||RFDA|6|13.ASSET|Equity|111.2|2.94|DUK| Duke Energy Corporation| 2.64%| North America|Equity|Large Cap Growth Equities||RFDA|6|14.ASSET|Equity|111.2|2.89|USB| U.S. Bancorp| 2.60%| North America|Equity|Large Cap Growth Equities||RFDA|6|15.ASSET|Equity|111.2|2.75|TXN| Texas Instruments Incorporated| 2.47%| |Commodity|Agricultural Commodities||RJA|6|1.ASSET|Commodity|192.3|38.58|N/A| Wheat| 20.06%| |Commodity|Agricultural Commodities||RJA|6|2.ASSET|Commodity|192.3|26.17|N/A| Corn| 13.61%| |Commodity|Agricultural Commodities||RJA|6|3.ASSET|Commodity|192.3|22.31|N/A| Cotton| 11.60%| |Commodity|Agricultural Commodities||RJA|6|4.ASSET|Commodity|192.3|16.54|N/A| Soybean| 8.60%| |Commodity|Agricultural Commodities||RJA|6|5.ASSET|Commodity|192.3|11.02|N/A| Coffee| 5.73%| |Commodity|Agricultural Commodities||RJA|6|6.ASSET|Commodity|192.3|11.02|N/A| Soybean Oil| 5.73%| |Commodity|Agricultural Commodities||RJA|6|7.ASSET|Commodity|192.3|11.02|N/A| Live Cattle| 5.73%| |Commodity|Agricultural Commodities||RJA|6|8.ASSET|Commodity|192.3|11.02|N/A| Sugar| 5.73%| |Commodity|Agricultural Commodities||RJA|6|9.ASSET|Commodity|192.3|5.52|N/A| Lumber| 2.87%| |Commodity|Agricultural Commodities||RJA|6|10.ASSET|Commodity|192.3|5.52|N/A| Cocoa| 2.87%| |Commodity|Agricultural Commodities||RJA|6|11.ASSET|Commodity|192.3|5.52|N/A| Lean Hogs| 2.87%| |Commodity|Agricultural Commodities||RJA|6|12.ASSET|Commodity|192.3|5.52|N/A| Rubber| 2.87%| |Commodity|Agricultural Commodities||RJA|6|13.ASSET|Commodity|192.3|4.13|N/A| Soybean Meal| 2.15%| |Commodity|Agricultural Commodities||RJA|6|14.ASSET|Commodity|192.3|3.69|N/A| Canola| 1.92%| |Commodity|Agricultural Commodities||RJA|6|15.ASSET|Commodity|192.3|3.63|N/A| Orange Juice (FCOJ)| 1.89%| North America|Equity|All Cap Equities||CVY|6|1.ASSET|Equity|123.3|1.6|ELP| Companhia Paranaense de Energia Sponsored ADR| 1.30%| North America|Equity|All Cap Equities||CVY|6|2.ASSET|Equity|123.3|1.55|BMY| Bristol-Myers Squibb Company| 1.26%| North America|Equity|All Cap Equities||CVY|6|3.ASSET|Equity|123.3|1.54|FANG| Diamondback Energy, Inc.| 1.25%| North America|Equity|All Cap Equities||CVY|6|4.ASSET|Equity|123.3|1.5|NS| NuStar Energy L.P.| 1.22%| North America|Equity|All Cap Equities||CVY|6|5.ASSET|Equity|123.3|1.5|LHX| L3Harris Technologies Inc| 1.22%| North America|Equity|All Cap Equities||CVY|6|6.ASSET|Equity|123.3|1.47|KR| Kroger Co.| 1.19%| North America|Equity|All Cap Equities||CVY|6|7.ASSET|Equity|123.3|1.45|CI| Cigna Corporation| 1.18%| North America|Equity|All Cap Equities||CVY|6|8.ASSET|Equity|123.3|1.44|ARLP| Alliance Resource Partners, L.P.| 1.17%| North America|Equity|All Cap Equities||CVY|6|9.ASSET|Equity|123.3|1.42|CVS| CVS Health Corporation| 1.15%| North America|Equity|All Cap Equities||CVY|6|10.ASSET|Equity|123.3|1.42|DCUE| Dominion Energy Inc Corporate Units Cons of 1/10 CCRP Pfd Rg-A + 1 PC Series A| 1.15%| North America|Equity|All Cap Equities||CVY|6|11.ASSET|Equity|123.3|1.41|CEQP| Crestwood Equity Partners LP| 1.14%| North America|Equity|All Cap Equities||CVY|6|12.ASSET|Equity|123.3|1.41|MPLX| MPLX LP| 1.14%| North America|Equity|All Cap Equities||CVY|6|13.ASSET|Equity|123.3|1.38|GGB| Gerdau S.A. Sponsored ADR Pfd| 1.12%| North America|Equity|All Cap Equities||CVY|6|14.ASSET|Equity|123.3|1.36|TRV| Travelers Companies, Inc.| 1.10%| North America|Equity|All Cap Equities||CVY|6|15.ASSET|Equity|123.3|1.34|ALL| Allstate Corporation| 1.09%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|1.ASSET|Equity|118.7|1.65|3988| Bank of China Limited Class H| 1.39%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|2.ASSET|Equity|118.7|1.4|J36| Jardine Matheson Holdings Limited| 1.18%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|3.ASSET|Equity|118.7|1.2|9434| SoftBank Corp.| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|4.ASSET|Equity|118.7|1.08|1288| Agricultural Bank of China Limited Class H| 0.91%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|5.ASSET|Equity|118.7|0.85|U11| United Overseas Bank Ltd. (Singapore)| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|6.ASSET|Equity|118.7|0.85|ORA| Orange SA| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|7.ASSET|Equity|118.7|0.85|S68| Singapore Exchange Ltd.| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|8.ASSET|Equity|118.7|0.82|LHA| Deutsche Lufthansa AG| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|9.ASSET|Equity|118.7|0.81|AZN| AstraZeneca PLC| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|10.ASSET|Equity|118.7|0.81|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.68%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|11.ASSET|Equity|118.7|0.78|CA| Carrefour SA| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|12.ASSET|Equity|118.7|0.76|Z74| Singapore Telecommunications Limited| 0.64%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|13.ASSET|Equity|118.7|0.75|BA| BAE Systems plc| 0.63%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|14.ASSET|Equity|118.7|0.75|6502| Toshiba Corporation| 0.63%| Developed Markets|Equity|Foreign Large Cap Equities||RBIN|6|15.ASSET|Equity|118.7|0.74|NG| National Grid plc| 0.62%| Emerging Asia Pacific|Equity|Inverse Equities||CHAD|6|1.ASSET|Equity|134.9|112.84|DGCXX| Dreyfus Government Cash Management Funds Institutional| 83.65%| Emerging Asia Pacific|Equity|Inverse Equities||CHAD|6|2.ASSET|Equity|134.9|8.26|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 6.12%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|1.ASSET|Bond|131.3|13.08|N/A| U.S. Dollar| 9.96%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|2.ASSET|Bond|131.3|12.99|N/A| U.S. Dollar| 9.89%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|3.ASSET|Bond|131.3|2.97|N/A| CORPORATE BOND| 2.26%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|4.ASSET|Bond|131.3|2.93|N/A| CORPORATE BOND| 2.23%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|5.ASSET|Bond|131.3|1.83|N/A| First Abu Dhabi Bank P.J.S.C. FRN 08-AUG-2023| 1.39%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|6.ASSET|Bond|131.3|1.81|N/A| First Abu Dhabi Bank P.J.S.C. FRN 08-AUG-2023| 1.38%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|7.ASSET|Bond|131.3|1.44|N/A| Eskom Holdings SOC Ltd. 6.35% 10-AUG-2028| 1.10%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|8.ASSET|Bond|131.3|1.44|N/A| Emirate of Abu Dhabi (United Arab Emirates) 2.5% 16-APR-2025| 1.10%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|9.ASSET|Bond|131.3|1.44|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 1.10%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|10.ASSET|Bond|131.3|1.44|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 1.10%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|11.ASSET|Bond|131.3|1.43|N/A| Eskom Holdings SOC Ltd. 6.35% 10-AUG-2028| 1.09%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|12.ASSET|Bond|131.3|1.43|N/A| Petroleos Del Peru - Petroperu SA 5.625% 19-JUN-2047| 1.09%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|13.ASSET|Bond|131.3|1.43|N/A| Emirate of Abu Dhabi (United Arab Emirates) 2.5% 16-APR-2025| 1.09%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|14.ASSET|Bond|131.3|1.4|N/A| United States Treasury Notes 0.125% 28-FEB-2023| 1.07%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBD|6|15.ASSET|Bond|131.3|1.39|N/A| United States Treasury Notes 0.125% 28-FEB-2023| 1.06%| North America|Equity|All Cap Equities||PWC|6|1.ASSET|Equity|116|5.49|FTNT| Fortinet, Inc.| 4.73%| North America|Equity|All Cap Equities||PWC|6|2.ASSET|Equity|116|4.66|MSFT| Microsoft Corporation| 4.02%| North America|Equity|All Cap Equities||PWC|6|3.ASSET|Equity|116|4.54|MSI| Motorola Solutions, Inc.| 3.91%| North America|Equity|All Cap Equities||PWC|6|4.ASSET|Equity|116|4.38|GOOGL| Alphabet Inc. Class A| 3.78%| North America|Equity|All Cap Equities||PWC|6|5.ASSET|Equity|116|4.32|ORCL| Oracle Corporation| 3.72%| North America|Equity|All Cap Equities||PWC|6|6.ASSET|Equity|116|4.26|CHTR| Charter Communications, Inc. Class A| 3.67%| North America|Equity|All Cap Equities||PWC|6|7.ASSET|Equity|116|3.43|ORLY| O\'Reilly Automotive, Inc.| 2.96%| North America|Equity|All Cap Equities||PWC|6|8.ASSET|Equity|116|3.03|MO| Altria Group Inc| 2.61%| North America|Equity|All Cap Equities||PWC|6|9.ASSET|Equity|116|2.97|MOH| Molina Healthcare, Inc.| 2.56%| North America|Equity|All Cap Equities||PWC|6|10.ASSET|Equity|116|2.93|LOW| Lowe\'s Companies, Inc.| 2.53%| North America|Equity|All Cap Equities||PWC|6|11.ASSET|Equity|116|2.85|MELI| MercadoLibre, Inc.| 2.46%| North America|Equity|All Cap Equities||PWC|6|12.ASSET|Equity|116|2.74|NUE| Nucor Corporation| 2.36%| North America|Equity|All Cap Equities||PWC|6|13.ASSET|Equity|116|2.71|REGN| Regeneron Pharmaceuticals, Inc.| 2.34%| North America|Equity|All Cap Equities||PWC|6|14.ASSET|Equity|116|2.62|HD| Home Depot, Inc.| 2.26%| North America|Equity|All Cap Equities||PWC|6|15.ASSET|Equity|116|2.61|WAT| Waters Corporation| 2.25%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|1.ASSET|Bond|109.1|3.22|N/A| TREASURY ISSUES (LONG-TERM)| 2.95%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|2.ASSET|Bond|109.1|3.13|N/A| TREASURY ISSUES (LONG-TERM)| 2.87%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|3.ASSET|Bond|109.1|1.85|N/A| European Investment Bank 7.5% 30-JUL-2023| 1.70%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|4.ASSET|Bond|109.1|1.82|N/A| European Investment Bank 7.5% 30-JUL-2023| 1.67%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|5.ASSET|Bond|109.1|1.73|N/A| U.S. Dollar| 1.59%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|6.ASSET|Bond|109.1|1.7|N/A| Government of Brazil 0.0% 01-JUL-2023| 1.56%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|7.ASSET|Bond|109.1|1.68|N/A| International Finance Corp. (District of Columbia) 7.0% 20-JUL-2027| 1.54%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|8.ASSET|Bond|109.1|1.67|N/A| Government of Brazil 0.0% 01-JUL-2023| 1.53%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|9.ASSET|Bond|109.1|1.65|N/A| International Finance Corp. (District of Columbia) 7.0% 20-JUL-2027| 1.51%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|10.ASSET|Bond|109.1|1.64|N/A| Government of Brazil 0.0% 01-JAN-2024| 1.50%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|11.ASSET|Bond|109.1|1.61|N/A| Government of Brazil 0.0% 01-JAN-2024| 1.48%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|12.ASSET|Bond|109.1|1.55|N/A| Government of South Africa 8.0% 31-JAN-2030| 1.42%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|13.ASSET|Bond|109.1|1.54|N/A| Government of South Africa 8.75% 28-FEB-2049| 1.41%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|14.ASSET|Bond|109.1|1.54|N/A| Government of the Philippines 6.25% 14-JAN-2036| 1.41%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ELD|6|15.ASSET|Bond|109.1|1.53|N/A| Government of South Africa 8.0% 31-JAN-2030| 1.40%| North America|Equity|n/a||HEGD|6|1.ASSET|Equity|181.6|152.83|IVV| iShares Core S&P 500 ETF| 84.16%| North America|Equity|n/a||HEGD|6|2.ASSET|Equity|181.6|23.9|N/A| OPTIONS| 13.16%| North America|Equity|n/a||HEGD|6|3.ASSET|Equity|181.6|3.81|SPY| SPDR S&P 500 ETF Trust| 2.10%| North America|Equity|n/a||HEGD|6|4.ASSET|Equity|181.6|1.36|FGXXX| First American Funds Inc X Government Obligations Fund| 0.75%| North America|Equity|n/a||HEGD|6|5.ASSET|Equity|181.6|-0.31|N/A| U.S. Dollar| -0.17%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|1.ASSET|Bond|89.5|9.31|N/A| U.S. Dollar| 10.40%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|2.ASSET|Bond|89.5|9.29|N/A| U.S. Dollar| 10.38%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|3.ASSET|Bond|89.5|4.51|N/A| FIXED INCOME (UNCLASSFIED)| 5.04%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|4.ASSET|Bond|89.5|4.49|N/A| FIXED INCOME (UNCLASSFIED)| 5.02%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|5.ASSET|Bond|89.5|1.9|N/A| United States Treasury Notes 1.5% 15-FEB-2025| 2.12%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|6.ASSET|Bond|89.5|1.9|N/A| United States Treasury Notes 1.5% 15-FEB-2025| 2.12%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|7.ASSET|Bond|89.5|1.44|N/A| United States Treasury Notes 0.375% 15-JUL-2024| 1.61%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|8.ASSET|Bond|89.5|1.44|N/A| United States Treasury Notes 0.375% 15-JUL-2024| 1.61%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|9.ASSET|Bond|89.5|0.7|N/A| ASSET-BACKED SECURITIES| 0.78%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|10.ASSET|Bond|89.5|0.7|N/A| ASSET-BACKED SECURITIES| 0.78%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|11.ASSET|Bond|89.5|0.64|N/A| Freddie Mac Multiclass Certificates, Series 5048 A 1.0% 15-JUN-2044| 0.71%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|12.ASSET|Bond|89.5|0.64|N/A| Freddie Mac Multiclass Certificates, Series 5048 A 1.0% 15-JUN-2044| 0.71%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|13.ASSET|Bond|89.5|0.6|N/A| HCA, Inc. 5.0% 15-MAR-2024| 0.67%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|14.ASSET|Bond|89.5|0.6|N/A| HCA, Inc. 5.0% 15-MAR-2024| 0.67%| North America|Bond|Total Bond Market|Total Bond Market|HSRT|6|15.ASSET|Bond|89.5|0.55|N/A| Santander Holdings USA, Inc. 3.5% 07-JUN-2024| 0.62%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|1.ASSET|Bond|185.7|4.53|N/A| DISH DBS Corporation 5.25% 01-DEC-2026| 2.44%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|2.ASSET|Bond|185.7|4.51|N/A| MUTUAL FUND (OTHER)| 2.43%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|3.ASSET|Bond|185.7|3.55|N/A| Tenet Healthcare Corporation 4.875% 01-JAN-2026| 1.91%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|4.ASSET|Bond|185.7|3.53|N/A| Connect Finco SARL 6.75% 01-OCT-2026| 1.90%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|5.ASSET|Bond|185.7|3.32|N/A| NGL Energy Operating LLC 7.5% 01-FEB-2026| 1.79%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|6.ASSET|Bond|185.7|3.27|N/A| DISH DBS Corporation 7.75% 01-JUL-2026| 1.76%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|7.ASSET|Bond|185.7|3.23|N/A| Newell Brands Inc 4.7% 01-APR-2026| 1.74%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|8.ASSET|Bond|185.7|3.16|N/A| United Airlines, Inc. 4.375% 15-APR-2026| 1.70%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|9.ASSET|Bond|185.7|2.86|N/A| HUB International Ltd. 7.0% 01-MAY-2026| 1.54%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|10.ASSET|Bond|185.7|2.82|N/A| OneMain Finance Corporation 7.125% 15-MAR-2026| 1.52%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|11.ASSET|Bond|185.7|2.75|N/A| Sprint Corp. 7.625% 01-MAR-2026| 1.48%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|12.ASSET|Bond|185.7|2.43|N/A| Ford Motor Company 4.346% 08-DEC-2026| 1.31%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|13.ASSET|Bond|185.7|2.41|N/A| Ford Motor Credit Company LLC 2.7% 10-AUG-2026| 1.30%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|14.ASSET|Bond|185.7|2.36|N/A| New Fortress Energy Inc. 6.5% 30-SEP-2026| 1.27%| Developed Markets|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJQ|6|15.ASSET|Bond|185.7|2.12|N/A| VICI Properties, Inc. 4.25% 01-DEC-2026| 1.14%| North America|Equity|Money Market||LSAT|6|1.ASSET|Equity|145.5|6.18|VIRT| Virtu Financial, Inc. Class A| 4.25%| North America|Equity|Money Market||LSAT|6|2.ASSET|Equity|145.5|5.95|MPC| Marathon Petroleum Corporation| 4.09%| North America|Equity|Money Market||LSAT|6|3.ASSET|Equity|145.5|5.86|KSS| Kohl\'s Corporation| 4.03%| North America|Equity|Money Market||LSAT|6|4.ASSET|Equity|145.5|5.85|LHX| L3Harris Technologies Inc| 4.02%| North America|Equity|Money Market||LSAT|6|5.ASSET|Equity|145.5|5.46|ALSN| Allison Transmission Holdings, Inc.| 3.75%| North America|Equity|Money Market||LSAT|6|6.ASSET|Equity|145.5|5.44|CCK| Crown Holdings, Inc.| 3.74%| North America|Equity|Money Market||LSAT|6|7.ASSET|Equity|145.5|5.37|AIZ| Assurant, Inc.| 3.69%| North America|Equity|Money Market||LSAT|6|8.ASSET|Equity|145.5|5.21|MTG| MGIC Investment Corporation| 3.58%| North America|Equity|Money Market||LSAT|6|9.ASSET|Equity|145.5|5.09|BEPC| Brookfield Renewable Corporation Class A| 3.50%| North America|Equity|Money Market||LSAT|6|10.ASSET|Equity|145.5|4.99|HCA| HCA Healthcare Inc| 3.43%| North America|Equity|Money Market||LSAT|6|11.ASSET|Equity|145.5|4.89|ALLY| Ally Financial Inc| 3.36%| North America|Equity|Money Market||LSAT|6|12.ASSET|Equity|145.5|4.87|SLM| SLM Corp| 3.35%| North America|Equity|Money Market||LSAT|6|13.ASSET|Equity|145.5|4.85|VOYA| Voya Financial, Inc.| 3.33%| North America|Equity|Money Market||LSAT|6|14.ASSET|Equity|145.5|4.83|BOKF| BOK Financial Corporation| 3.32%| North America|Equity|Money Market||LSAT|6|15.ASSET|Equity|145.5|4.74|EQH| Equitable Holdings, Inc.| 3.26%| North America|Equity|Volatility Hedged Equity||DVOL|6|1.ASSET|Equity|113.6|3.57|WM| Waste Management, Inc.| 3.14%| North America|Equity|Volatility Hedged Equity||DVOL|6|2.ASSET|Equity|113.6|3.43|MMC| Marsh & McLennan Companies, Inc.| 3.02%| North America|Equity|Volatility Hedged Equity||DVOL|6|3.ASSET|Equity|113.6|3.42|PSA| Public Storage| 3.01%| North America|Equity|Volatility Hedged Equity||DVOL|6|4.ASSET|Equity|113.6|3.4|RSG| Republic Services, Inc.| 2.99%| North America|Equity|Volatility Hedged Equity||DVOL|6|5.ASSET|Equity|113.6|3.35|UNH| UnitedHealth Group Incorporated| 2.95%| North America|Equity|Volatility Hedged Equity||DVOL|6|6.ASSET|Equity|113.6|3.31|FR| First Industrial Realty Trust, Inc.| 2.91%| North America|Equity|Volatility Hedged Equity||DVOL|6|7.ASSET|Equity|113.6|3.28|COST| Costco Wholesale Corporation| 2.89%| North America|Equity|Volatility Hedged Equity||DVOL|6|8.ASSET|Equity|113.6|3.24|AJG| Arthur J. Gallagher & Co.| 2.85%| North America|Equity|Volatility Hedged Equity||DVOL|6|9.ASSET|Equity|113.6|3.23|YUM| Yum! Brands, Inc.| 2.84%| North America|Equity|Volatility Hedged Equity||DVOL|6|10.ASSET|Equity|113.6|3.2|PLD| Prologis, Inc.| 2.82%| North America|Equity|Volatility Hedged Equity||DVOL|6|11.ASSET|Equity|113.6|3.19|MAA| Mid-America Apartment Communities, Inc.| 2.81%| North America|Equity|Volatility Hedged Equity||DVOL|6|12.ASSET|Equity|113.6|3.11|PAYX| Paychex, Inc.| 2.74%| North America|Equity|Volatility Hedged Equity||DVOL|6|13.ASSET|Equity|113.6|3.11|BRO| Brown & Brown, Inc.| 2.74%| North America|Equity|Volatility Hedged Equity||DVOL|6|14.ASSET|Equity|113.6|3.1|DRE| Duke Realty Corporation| 2.73%| North America|Equity|Volatility Hedged Equity||DVOL|6|15.ASSET|Equity|113.6|3|AME| AMETEK, Inc.| 2.64%| Developed Europe|Equity|Global Equities||GVAL|6|1.ASSET|Equity|107.3|9.44|ICOL| iShares MSCI Colombia ETF| 8.80%| Developed Europe|Equity|Global Equities||GVAL|6|2.ASSET|Equity|107.3|4.59|CEZ| CEZ as| 4.28%| Developed Europe|Equity|Global Equities||GVAL|6|3.ASSET|Equity|107.3|3.65|JSW| Jastrzebska Spolka Weglowa S.A.| 3.40%| Developed Europe|Equity|Global Equities||GVAL|6|4.ASSET|Equity|107.3|2.93|MONET| MONETA Money Bank AS| 2.73%| Developed Europe|Equity|Global Equities||GVAL|6|5.ASSET|Equity|107.3|2.59|CAP| CAP S.A.| 2.41%| Developed Europe|Equity|Global Equities||GVAL|6|6.ASSET|Equity|107.3|2.27|KOMB| Komercni banka, a.s.| 2.12%| Developed Europe|Equity|Global Equities||GVAL|6|7.ASSET|Equity|107.3|2.09|ALR| Alior Bank SA| 1.95%| Developed Europe|Equity|Global Equities||GVAL|6|8.ASSET|Equity|107.3|1.76|HTO| Hellenic Telecommunications Organization SA| 1.64%| Developed Europe|Equity|Global Equities||GVAL|6|9.ASSET|Equity|107.3|1.74|BG| BAWAG Group AG| 1.62%| Developed Europe|Equity|Global Equities||GVAL|6|10.ASSET|Equity|107.3|1.71|IBE| Iberdrola SA| 1.59%| Developed Europe|Equity|Global Equities||GVAL|6|11.ASSET|Equity|107.3|1.71|TABAK| Philip Morris CR as| 1.59%| Developed Europe|Equity|Global Equities||GVAL|6|12.ASSET|Equity|107.3|1.67|PPC| Public Power Corporation S.A.| 1.56%| Developed Europe|Equity|Global Equities||GVAL|6|13.ASSET|Equity|107.3|1.66|KGH| KGHM Polska Miedz S.A.| 1.55%| Developed Europe|Equity|Global Equities||GVAL|6|14.ASSET|Equity|107.3|1.65|EREGL.E| Eregli Demir Ve Celik Fabrikalari T.A.S.| 1.54%| Developed Europe|Equity|Global Equities||GVAL|6|15.ASSET|Equity|107.3|1.65|EDP| EDP-Energias de Portugal SA| 1.54%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|1.ASSET|Equity|80.3|7.07|SNDL| Sundial Growers Inc.| 8.80%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|2.ASSET|Equity|80.3|6.66|TLRY| Tilray Brands, Inc.| 8.29%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|3.ASSET|Equity|80.3|6.57|OGI| OrganiGram Holdings Inc| 8.18%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|4.ASSET|Equity|80.3|6.33|CRON| Cronos Group Inc| 7.88%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|5.ASSET|Equity|80.3|5.9|WEED| Canopy Growth Corporation| 7.35%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|6.ASSET|Equity|80.3|5.85|ACB| Aurora Cannabis Inc.| 7.28%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|7.ASSET|Equity|80.3|3.84|INCR| InterCure Ltd.| 4.78%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|8.ASSET|Equity|80.3|3.76|AFCG| AFC Gamma, Inc.| 4.68%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|9.ASSET|Equity|80.3|3.71|CWEB| Charlotte\'s Web Holdings, Inc.| 4.62%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|10.ASSET|Equity|80.3|3.19|HEXO| HEXO Corp.| 3.97%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|11.ASSET|Equity|80.3|2.99|MYMD| MyMD Pharmaceuticals, Inc.| 3.72%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|12.ASSET|Equity|80.3|2.95|PW| Power REIT| 3.67%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|13.ASSET|Equity|80.3|2.63|IMCC| IM Cannabis Corp| 3.28%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|14.ASSET|Equity|80.3|2.6|FLGC| Flora Growth Corp.| 3.24%| Developed Markets|Equity|Small Cap Blend Equities|Healthcare|POTX|6|15.ASSET|Equity|80.3|2.36|FAF| Fire & Flower Holdings Corp.| 2.94%| North America|Real Estate|Real Estate|Real Estate|PSR|6|1.ASSET|Real Estate|122|7.66|SBAC| SBA Communications Corp. Class A| 6.28%| North America|Real Estate|Real Estate|Real Estate|PSR|6|2.ASSET|Real Estate|122|7.64|CCI| Crown Castle International Corp| 6.26%| North America|Real Estate|Real Estate|Real Estate|PSR|6|3.ASSET|Real Estate|122|7.26|AMT| American Tower Corporation| 5.95%| North America|Real Estate|Real Estate|Real Estate|PSR|6|4.ASSET|Real Estate|122|5.54|EQIX| Equinix, Inc.| 4.54%| North America|Real Estate|Real Estate|Real Estate|PSR|6|5.ASSET|Real Estate|122|5.2|DLR| Digital Realty Trust, Inc.| 4.26%| North America|Real Estate|Real Estate|Real Estate|PSR|6|6.ASSET|Real Estate|122|2.14|PSA| Public Storage| 1.75%| North America|Real Estate|Real Estate|Real Estate|PSR|6|7.ASSET|Real Estate|122|2.07|PLD| Prologis, Inc.| 1.70%| North America|Real Estate|Real Estate|Real Estate|PSR|6|8.ASSET|Real Estate|122|2.07|REXR| Rexford Industrial Realty, Inc.| 1.70%| North America|Real Estate|Real Estate|Real Estate|PSR|6|9.ASSET|Real Estate|122|2.06|NSA| National Storage Affiliates Trust| 1.69%| North America|Real Estate|Real Estate|Real Estate|PSR|6|10.ASSET|Real Estate|122|2.06|EXR| Extra Space Storage Inc.| 1.69%| North America|Real Estate|Real Estate|Real Estate|PSR|6|11.ASSET|Real Estate|122|2.05|PSB| PS Business Parks, Inc.| 1.68%| North America|Real Estate|Real Estate|Real Estate|PSR|6|12.ASSET|Real Estate|122|2.04|LSI| Life Storage, Inc.| 1.67%| North America|Real Estate|Real Estate|Real Estate|PSR|6|13.ASSET|Real Estate|122|2.04|CUBE| CubeSmart| 1.67%| North America|Real Estate|Real Estate|Real Estate|PSR|6|14.ASSET|Real Estate|122|2.04|COLD| Americold Realty Trust| 1.67%| North America|Real Estate|Real Estate|Real Estate|PSR|6|15.ASSET|Real Estate|122|2.04|EGP| EastGroup Properties, Inc.| 1.67%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|1.ASSET|Equity|83.6|3.8|INDA| iShares MSCI India ETF| 4.54%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|2.ASSET|Equity|83.6|3.15|INFY| Infosys Limited Sponsored ADR| 3.77%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|3.ASSET|Equity|83.6|1.33|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.59%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|4.ASSET|Equity|83.6|1.33|2454| MediaTek Inc| 1.59%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|5.ASSET|Equity|83.6|1.19|005490| POSCO| 1.42%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|6.ASSET|Equity|83.6|1.17|VALE3| Vale S.A.| 1.40%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|7.ASSET|Equity|83.6|1.12|005380| Hyundai Motor Company| 1.34%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|8.ASSET|Equity|83.6|1.09|3481| Innolux Corp.| 1.30%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|9.ASSET|Equity|83.6|0.91|000270| Kia Corporation| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|10.ASSET|Equity|83.6|0.89|GAZP| Gazprom PJSC| 1.07%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|11.ASSET|Equity|83.6|0.88|IMP| Impala Platinum Holdings Limited| 1.05%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|12.ASSET|Equity|83.6|0.87|386| China Petroleum & Chemical Corporation Class H| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|13.ASSET|Equity|83.6|0.87|066570| LG Electronics Inc.| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|14.ASSET|Equity|83.6|0.83|096770| SK Innovation Co., Ltd| 0.99%| Emerging Markets|Equity|Emerging Markets Equities||MFEM|6|15.ASSET|Equity|83.6|0.81|2303| United Microelectronics Corp.| 0.97%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|1.ASSET|Equity|134.2|2.85|NESN| Nestle S.A.| 2.12%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|2.ASSET|Equity|134.2|2.07|ASML| ASML Holding NV| 1.54%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|3.ASSET|Equity|134.2|2.01|ROG| Roche Holding Ltd| 1.50%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|4.ASSET|Equity|134.2|1.48|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.10%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|5.ASSET|Equity|134.2|1.45|AZN| AstraZeneca PLC| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|6.ASSET|Equity|134.2|1.41|7203| Toyota Motor Corp.| 1.05%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|7.ASSET|Equity|134.2|1.36|RY| Royal Bank of Canada| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|8.ASSET|Equity|134.2|1.32|NOVN| Novartis AG| 0.98%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|9.ASSET|Equity|134.2|1.32|NOVO.B| Novo Nordisk A/S Class B| 0.98%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|10.ASSET|Equity|134.2|1.3|TD| Toronto-Dominion Bank| 0.97%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|11.ASSET|Equity|134.2|1.23|SHEL| Shell PLC| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|12.ASSET|Equity|134.2|0.95|6758| Sony Group Corporation| 0.71%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|13.ASSET|Equity|134.2|0.87|BNS| Bank of Nova Scotia| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|14.ASSET|Equity|134.2|0.85|ENB| Enbridge Inc.| 0.63%| Developed Markets|Equity|Foreign Large Cap Equities||PXUS|6|15.ASSET|Equity|134.2|0.83|ULVR| Unilever PLC| 0.62%| North America|Equity|Leveraged Equities||SRTY|6|1.ASSET|Equity|171.6|108.45|N/A| U.S. Dollar| 63.20%| North America|Equity|Leveraged Equities||SRTY|6|2.ASSET|Equity|171.6|15.55|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 9.06%| North America|Equity|Leveraged Equities||SRTY|6|3.ASSET|Equity|171.6|15.03|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 8.76%| North America|Equity|Leveraged Equities||SRTY|6|4.ASSET|Equity|171.6|14.98|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 8.73%| North America|Equity|Leveraged Equities||SRTY|6|5.ASSET|Equity|171.6|12.03|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 7.01%| North America|Equity|Leveraged Equities||SRTY|6|6.ASSET|Equity|171.6|5.56|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.24%| North America|Equity|Leveraged Equities|Financials|FAZ|6|1.ASSET|Equity|115.7|64.17|N/A| MUTUAL FUND (OTHER)| 55.46%| North America|Equity|Leveraged Equities|Financials|FAZ|6|2.ASSET|Equity|115.7|51.53|N/A| U.S. Dollar| 44.54%| North America|Volatility|Volatility||VIXM|6|1.ASSET|Volatility|102.4|102.4|N/A| CBOE Volatility Index (VIX) Futures| 100.00%| North America|Equity|Large Cap Blend Equities||RBUS|6|1.ASSET|Equity|118.2|1.37|CHWY| Chewy, Inc. Class A| 1.16%| North America|Equity|Large Cap Blend Equities||RBUS|6|2.ASSET|Equity|118.2|1.25|CLX| Clorox Company| 1.06%| North America|Equity|Large Cap Blend Equities||RBUS|6|3.ASSET|Equity|118.2|1.04|HRL| Hormel Foods Corporation| 0.88%| North America|Equity|Large Cap Blend Equities||RBUS|6|4.ASSET|Equity|118.2|0.98|PFE| Pfizer Inc.| 0.83%| North America|Equity|Large Cap Blend Equities||RBUS|6|5.ASSET|Equity|118.2|0.9|YUMC| Yum China Holdings, Inc.| 0.76%| North America|Equity|Large Cap Blend Equities||RBUS|6|6.ASSET|Equity|118.2|0.85|ALNY| Alnylam Pharmaceuticals, Inc| 0.72%| North America|Equity|Large Cap Blend Equities||RBUS|6|7.ASSET|Equity|118.2|0.83|LNG| Cheniere Energy, Inc.| 0.70%| North America|Equity|Large Cap Blend Equities||RBUS|6|8.ASSET|Equity|118.2|0.78|BDX| Becton, Dickinson and Company| 0.66%| North America|Equity|Large Cap Blend Equities||RBUS|6|9.ASSET|Equity|118.2|0.76|VZ| Verizon Communications Inc.| 0.64%| North America|Equity|Large Cap Blend Equities||RBUS|6|10.ASSET|Equity|118.2|0.76|LMT| Lockheed Martin Corporation| 0.64%| North America|Equity|Large Cap Blend Equities||RBUS|6|11.ASSET|Equity|118.2|0.76|MRK| Merck & Co., Inc.| 0.64%| North America|Equity|Large Cap Blend Equities||RBUS|6|12.ASSET|Equity|118.2|0.74|PARA| Paramount Global Class B| 0.63%| North America|Equity|Large Cap Blend Equities||RBUS|6|13.ASSET|Equity|118.2|0.74|NLOK| NortonLifeLock Inc.| 0.63%| North America|Equity|Large Cap Blend Equities||RBUS|6|14.ASSET|Equity|118.2|0.73|DISCA| Discovery, Inc. Class A| 0.62%| North America|Equity|Large Cap Blend Equities||RBUS|6|15.ASSET|Equity|118.2|0.73|ED| Consolidated Edison, Inc.| 0.62%| |Bond|Total Bond Market|Total Bond Market|WBND|6|1.ASSET|Bond|114.2|72.4|N/A| FUTURES| 63.40%| |Bond|Total Bond Market|Total Bond Market|WBND|6|2.ASSET|Bond|114.2|2.28|N/A| U.S. Dollar| 2.00%| |Bond|Total Bond Market|Total Bond Market|WBND|6|3.ASSET|Bond|114.2|1.23|N/A| FIXED INCOME (UNCLASSFIED)| 1.08%| |Bond|Total Bond Market|Total Bond Market|WBND|6|4.ASSET|Bond|114.2|1.1|N/A| Government of Mexico 7.75% 13-NOV-2042| 0.96%| |Bond|Total Bond Market|Total Bond Market|WBND|6|5.ASSET|Bond|114.2|1.05|N/A| United States Treasury Bond 1.25% 15-MAY-2050| 0.92%| |Bond|Total Bond Market|Total Bond Market|WBND|6|6.ASSET|Bond|114.2|0.73|N/A| CORPORATE BOND| 0.64%| |Bond|Total Bond Market|Total Bond Market|WBND|6|7.ASSET|Bond|114.2|0.71|N/A| Government of Indonesia 6.5% 15-FEB-2031| 0.62%| |Bond|Total Bond Market|Total Bond Market|WBND|6|8.ASSET|Bond|114.2|0.62|N/A| United States Treasury Bond 1.375% 15-AUG-2050| 0.54%| |Bond|Total Bond Market|Total Bond Market|WBND|6|9.ASSET|Bond|114.2|0.58|N/A| ASSET-BACKED SECURITIES| 0.51%| |Bond|Total Bond Market|Total Bond Market|WBND|6|10.ASSET|Bond|114.2|0.56|N/A| United States Treasury Bond 1.125% 15-AUG-2040| 0.49%| |Bond|Total Bond Market|Total Bond Market|WBND|6|11.ASSET|Bond|114.2|0.55|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 0.48%| |Bond|Total Bond Market|Total Bond Market|WBND|6|12.ASSET|Bond|114.2|0.46|N/A| TREASURY ISSUES (LONG-TERM)| 0.40%| |Bond|Total Bond Market|Total Bond Market|WBND|6|13.ASSET|Bond|114.2|0.43|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 0.38%| |Bond|Total Bond Market|Total Bond Market|WBND|6|14.ASSET|Bond|114.2|0.31|N/A| Government of Mexico 4.75% 08-MAR-2044| 0.27%| |Bond|Total Bond Market|Total Bond Market|WBND|6|15.ASSET|Bond|114.2|0.27|N/A| Government of Brazil 10.0% 01-JAN-2027| 0.24%| North America|Equity|Small Cap Blend Equities||EWMC|6|1.ASSET|Equity|135.7|0.58|AA| Alcoa Corporation| 0.43%| North America|Equity|Small Cap Blend Equities||EWMC|6|2.ASSET|Equity|135.7|0.52|FHN| First Horizon Corporation| 0.38%| North America|Equity|Small Cap Blend Equities||EWMC|6|3.ASSET|Equity|135.7|0.49|MRCY| Mercury Systems, Inc.| 0.36%| North America|Equity|Small Cap Blend Equities||EWMC|6|4.ASSET|Equity|135.7|0.46|HQY| HealthEquity Inc| 0.34%| North America|Equity|Small Cap Blend Equities||EWMC|6|5.ASSET|Equity|135.7|0.46|RGLD| Royal Gold, Inc.| 0.34%| North America|Equity|Small Cap Blend Equities||EWMC|6|6.ASSET|Equity|135.7|0.46|CBT| Cabot Corporation| 0.34%| North America|Equity|Small Cap Blend Equities||EWMC|6|7.ASSET|Equity|135.7|0.45|TRGP| Targa Resources Corp.| 0.33%| North America|Equity|Small Cap Blend Equities||EWMC|6|8.ASSET|Equity|135.7|0.45|EXEL| Exelixis, Inc.| 0.33%| North America|Equity|Small Cap Blend Equities||EWMC|6|9.ASSET|Equity|135.7|0.45|PFGC| Performance Food Group Company| 0.33%| North America|Equity|Small Cap Blend Equities||EWMC|6|10.ASSET|Equity|135.7|0.45|MUR| Murphy Oil Corporation| 0.33%| North America|Equity|Small Cap Blend Equities||EWMC|6|11.ASSET|Equity|135.7|0.43|X| United States Steel Corporation| 0.32%| North America|Equity|Small Cap Blend Equities||EWMC|6|12.ASSET|Equity|135.7|0.43|STLD| Steel Dynamics, Inc.| 0.32%| North America|Equity|Small Cap Blend Equities||EWMC|6|13.ASSET|Equity|135.7|0.43|WWE| World Wrestling Entertainment, Inc. Class A| 0.32%| North America|Equity|Small Cap Blend Equities||EWMC|6|14.ASSET|Equity|135.7|0.43|CCMP| CMC Materials, Inc.| 0.32%| North America|Equity|Small Cap Blend Equities||EWMC|6|15.ASSET|Equity|135.7|0.43|DAR| Darling Ingredients Inc.| 0.32%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|1.ASSET|Equity|146.1|11.4|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.80%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|2.ASSET|Equity|146.1|7.33|700| Tencent Holdings Ltd.| 5.02%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|3.ASSET|Equity|146.1|7.26|9988| Alibaba Group Holding Ltd.| 4.97%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|4.ASSET|Equity|146.1|3.07|3690| Meituan Class B| 2.10%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|5.ASSET|Equity|146.1|2.97|006400| Samsung SDI Co., Ltd| 2.03%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|6.ASSET|Equity|146.1|2.97|500209| Infosys Limited| 2.03%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|7.ASSET|Equity|146.1|2.94|939| China Construction Bank Corporation Class H| 2.01%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|8.ASSET|Equity|146.1|2.82|2454| MediaTek Inc| 1.93%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|9.ASSET|Equity|146.1|2.78|2382| Sunny Optical Technology (Group) Co., Ltd.| 1.90%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|10.ASSET|Equity|146.1|2.54|2688| ENN Energy Holdings Limited| 1.74%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|11.ASSET|Equity|146.1|2.26|2308| Delta Electronics, Inc.| 1.55%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|12.ASSET|Equity|146.1|2.09|035420| NAVER Corp.| 1.43%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|13.ASSET|Equity|146.1|2.07|532540| Tata Consultancy Services Limited| 1.42%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|14.ASSET|Equity|146.1|2.05|066570| LG Electronics Inc.| 1.40%| Emerging Markets|Equity|Emerging Markets Equities||NUEM|6|15.ASSET|Equity|146.1|1.93|FEMSAUBD| Fomento Economico Mexicano SAB de CV Units Cons. Of 1 ShsB And 4 ShsD| 1.32%| North America|Equity|Large Cap Blend Equities||EDOW|6|1.ASSET|Equity|141.4|6.31|CVX| Chevron Corporation| 4.46%| North America|Equity|Large Cap Blend Equities||EDOW|6|2.ASSET|Equity|141.4|5.46|TRV| Travelers Companies, Inc.| 3.86%| North America|Equity|Large Cap Blend Equities||EDOW|6|3.ASSET|Equity|141.4|5.37|KO| Coca-Cola Company| 3.80%| North America|Equity|Large Cap Blend Equities||EDOW|6|4.ASSET|Equity|141.4|5.25|AMGN| Amgen Inc.| 3.71%| North America|Equity|Large Cap Blend Equities||EDOW|6|5.ASSET|Equity|141.4|5.25|DOW| Dow, Inc.| 3.71%| North America|Equity|Large Cap Blend Equities||EDOW|6|6.ASSET|Equity|141.4|5.23|VZ| Verizon Communications Inc.| 3.70%| North America|Equity|Large Cap Blend Equities||EDOW|6|7.ASSET|Equity|141.4|5.23|AXP| American Express Company| 3.70%| North America|Equity|Large Cap Blend Equities||EDOW|6|8.ASSET|Equity|141.4|5.12|MRK| Merck & Co., Inc.| 3.62%| North America|Equity|Large Cap Blend Equities||EDOW|6|9.ASSET|Equity|141.4|4.92|UNH| UnitedHealth Group Incorporated| 3.48%| North America|Equity|Large Cap Blend Equities||EDOW|6|10.ASSET|Equity|141.4|4.86|JNJ| Johnson & Johnson| 3.44%| North America|Equity|Large Cap Blend Equities||EDOW|6|11.ASSET|Equity|141.4|4.84|IBM| International Business Machines Corporation| 3.42%| North America|Equity|Large Cap Blend Equities||EDOW|6|12.ASSET|Equity|141.4|4.79|PG| Procter & Gamble Company| 3.39%| North America|Equity|Large Cap Blend Equities||EDOW|6|13.ASSET|Equity|141.4|4.74|V| Visa Inc. Class A| 3.35%| North America|Equity|Large Cap Blend Equities||EDOW|6|14.ASSET|Equity|141.4|4.68|WMT| Walmart Inc.| 3.31%| North America|Equity|Large Cap Blend Equities||EDOW|6|15.ASSET|Equity|141.4|4.68|INTC| Intel Corporation| 3.31%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|1.ASSET|Equity|116.6|6.24|005490| POSCO| 5.35%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|2.ASSET|Equity|116.6|5.93|AT1| Aroundtown SA| 5.09%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|3.ASSET|Equity|116.6|5.91|9984| SoftBank Group Corp.| 5.07%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|4.ASSET|Equity|116.6|5.88|BXB| Brambles Limited| 5.04%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|5.ASSET|Equity|116.6|5.67|ACS| Actividades de Construccion y Servicios SA| 4.86%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|6.ASSET|Equity|116.6|5.57|VIV| Vivendi SE| 4.78%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|7.ASSET|Equity|116.6|5.01|ONEX| Onex Corporation| 4.30%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|8.ASSET|Equity|116.6|4.99|ABDN| Abrdn plc| 4.28%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|9.ASSET|Equity|116.6|3.42|8303| Shinsei Bank, Limited| 2.93%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|10.ASSET|Equity|116.6|3.31|9086| Hitachi Transport System,Ltd.| 2.84%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|11.ASSET|Equity|116.6|3.28|PXT| Parex Resources Inc.| 2.81%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|12.ASSET|Equity|116.6|3.09|1417| Mirait Holdings Corporation| 2.65%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|13.ASSET|Equity|116.6|3.04|006800| MIRAE ASSET SECURITIES CO., LTD.| 2.61%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|14.ASSET|Equity|116.6|3.03|9831| Yamada Holding Co., Ltd.| 2.60%| Developed Markets|Equity|Foreign Large Cap Equities||IPKW|6|15.ASSET|Equity|116.6|3.03|9076| Seino Holdings Co., Ltd.| 2.60%| |Commodity|Agricultural Commodities||CORN|6|1.ASSET|Commodity|162.5|162.5|N/A| Corn| 100.00%| |Equity|Large Cap Blend Equities||DAUG|6|1.ASSET|Equity|139.1|0|N/A| Cash Component| 0.00%| North America|Equity|Volatility Hedged Equity||HUSV|6|1.ASSET|Equity|125.5|3.19|KO| Coca-Cola Company| 2.54%| North America|Equity|Volatility Hedged Equity||HUSV|6|2.ASSET|Equity|125.5|3.05|PEP| PepsiCo, Inc.| 2.43%| North America|Equity|Volatility Hedged Equity||HUSV|6|3.ASSET|Equity|125.5|3.04|PG| Procter & Gamble Company| 2.42%| North America|Equity|Volatility Hedged Equity||HUSV|6|4.ASSET|Equity|125.5|3.01|JNJ| Johnson & Johnson| 2.40%| North America|Equity|Volatility Hedged Equity||HUSV|6|5.ASSET|Equity|125.5|2.96|VZ| Verizon Communications Inc.| 2.36%| North America|Equity|Volatility Hedged Equity||HUSV|6|6.ASSET|Equity|125.5|2.96|MCD| McDonald\'s Corporation| 2.36%| North America|Equity|Volatility Hedged Equity||HUSV|6|7.ASSET|Equity|125.5|2.91|CSCO| Cisco Systems, Inc.| 2.32%| North America|Equity|Volatility Hedged Equity||HUSV|6|8.ASSET|Equity|125.5|2.82|BRK.B| Berkshire Hathaway Inc. Class B| 2.25%| North America|Equity|Volatility Hedged Equity||HUSV|6|9.ASSET|Equity|125.5|2.75|PAYX| Paychex, Inc.| 2.19%| North America|Equity|Volatility Hedged Equity||HUSV|6|10.ASSET|Equity|125.5|2.7|CL| Colgate-Palmolive Company| 2.15%| North America|Equity|Volatility Hedged Equity||HUSV|6|11.ASSET|Equity|125.5|2.6|GD| General Dynamics Corporation| 2.07%| North America|Equity|Volatility Hedged Equity||HUSV|6|12.ASSET|Equity|125.5|2.5|WM| Waste Management, Inc.| 1.99%| North America|Equity|Volatility Hedged Equity||HUSV|6|13.ASSET|Equity|125.5|2.48|VRSN| VeriSign, Inc.| 1.98%| North America|Equity|Volatility Hedged Equity||HUSV|6|14.ASSET|Equity|125.5|2.41|SO| Southern Company| 1.92%| North America|Equity|Volatility Hedged Equity||HUSV|6|15.ASSET|Equity|125.5|2.33|TDY| Teledyne Technologies Incorporated| 1.86%| Developed Markets|Equity|Materials|Materials|SGDJ|6|1.ASSET|Equity|127.3|7.52|AMI| Aurelia Metals Limited| 5.91%| Developed Markets|Equity|Materials|Materials|SGDJ|6|2.ASSET|Equity|127.3|7.45|PAF| Pan African Resources PLC| 5.85%| Developed Markets|Equity|Materials|Materials|SGDJ|6|3.ASSET|Equity|127.3|6.79|WGX| Westgold Resources Ltd| 5.33%| Developed Markets|Equity|Materials|Materials|SGDJ|6|4.ASSET|Equity|127.3|6.7|SKE| Skeena Resources Limited| 5.26%| Developed Markets|Equity|Materials|Materials|SGDJ|6|5.ASSET|Equity|127.3|6.45|ELD| Eldorado Gold Corporation| 5.07%| Developed Markets|Equity|Materials|Materials|SGDJ|6|6.ASSET|Equity|127.3|5.64|WDO| Wesdome Gold Mines Ltd.| 4.43%| Developed Markets|Equity|Materials|Materials|SGDJ|6|7.ASSET|Equity|127.3|5.31|CEY| Centamin plc| 4.17%| Developed Markets|Equity|Materials|Materials|SGDJ|6|8.ASSET|Equity|127.3|5.28|GGP| Greatland Gold plc| 4.15%| Developed Markets|Equity|Materials|Materials|SGDJ|6|9.ASSET|Equity|127.3|5.19|PRU| Perseus Mining Limited| 4.08%| Developed Markets|Equity|Materials|Materials|SGDJ|6|10.ASSET|Equity|127.3|4.96|KNT| K92 Mining, Inc.| 3.90%| Developed Markets|Equity|Materials|Materials|SGDJ|6|11.ASSET|Equity|127.3|4.65|SA| Seabridge Gold Inc| 3.65%| Developed Markets|Equity|Materials|Materials|SGDJ|6|12.ASSET|Equity|127.3|4.58|DEG| De Grey Mining Ltd| 3.60%| Developed Markets|Equity|Materials|Materials|SGDJ|6|13.ASSET|Equity|127.3|4.57|TXG| Torex Gold Resources Inc.| 3.59%| Developed Markets|Equity|Materials|Materials|SGDJ|6|14.ASSET|Equity|127.3|4.09|GOR| Gold Road Resources Ltd| 3.21%| Developed Markets|Equity|Materials|Materials|SGDJ|6|15.ASSET|Equity|127.3|4.09|DPM| Dundee Precious Metals Inc.| 3.21%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|1.ASSET|Equity|117.8|11.58|500325| Reliance Industries Limited| 9.83%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|2.ASSET|Equity|117.8|10.51|500209| Infosys Limited| 8.92%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|3.ASSET|Equity|117.8|7.04|500010| Housing Development Finance Corporation Limited| 5.98%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|4.ASSET|Equity|117.8|6.36|532540| Tata Consultancy Services Limited| 5.40%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|5.ASSET|Equity|117.8|3.35|N/A| MUTUAL FUND (OTHER)| 2.84%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|6.ASSET|Equity|117.8|3.35|500696| Hindustan Unilever Limited| 2.84%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|7.ASSET|Equity|117.8|2.85|500034| Bajaj Finance Limited| 2.42%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|8.ASSET|Equity|117.8|2.72|532454| Bharti Airtel Limited| 2.31%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|9.ASSET|Equity|117.8|2.45|500820| Asian Paints Ltd.| 2.08%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|10.ASSET|Equity|117.8|2.13|500510| Larsen & Toubro Ltd.| 1.81%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|11.ASSET|Equity|117.8|2.12|532281| HCL Technologies Limited| 1.80%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|12.ASSET|Equity|117.8|2|532174| ICICI Bank Limited| 1.70%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|13.ASSET|Equity|117.8|1.91|532500| Maruti Suzuki India Limited| 1.62%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|14.ASSET|Equity|117.8|1.84|500114| Titan Company Limited| 1.56%| Emerging Asia Pacific|Equity|Asia Pacific Equities||PIN|6|15.ASSET|Equity|117.8|1.68|500470| Tata Steel Limited| 1.43%| North America|Equity|n/a||UMI|6|1.ASSET|Equity|148|15.78|TRGP| Targa Resources Corp.| 10.66%| North America|Equity|n/a||UMI|6|2.ASSET|Equity|148|12.83|ENB| Enbridge Inc.| 8.67%| North America|Equity|n/a||UMI|6|3.ASSET|Equity|148|12.79|LNG| Cheniere Energy, Inc.| 8.64%| North America|Equity|n/a||UMI|6|4.ASSET|Equity|148|11.87|EPD| Enterprise Products Partners L.P.| 8.02%| North America|Equity|n/a||UMI|6|5.ASSET|Equity|148|9.99|OKE| ONEOK, Inc.| 6.75%| North America|Equity|n/a||UMI|6|6.ASSET|Equity|148|9.43|ET| Energy Transfer, L.P.| 6.37%| North America|Equity|n/a||UMI|6|7.ASSET|Equity|148|7.31|TRP| TC Energy Corporation| 4.94%| North America|Equity|n/a||UMI|6|8.ASSET|Equity|148|6.72|WMB| Williams Companies, Inc.| 4.54%| North America|Equity|n/a||UMI|6|9.ASSET|Equity|148|6.33|PPL| Pembina Pipeline Corporation| 4.28%| North America|Equity|n/a||UMI|6|10.ASSET|Equity|148|6.19|KMI| Kinder Morgan Inc Class P| 4.18%| North America|Equity|n/a||UMI|6|11.ASSET|Equity|148|5.83|PAGP| Plains GP Holdings LP Class A| 3.94%| North America|Equity|n/a||UMI|6|12.ASSET|Equity|148|5.83|MPLX| MPLX LP| 3.94%| North America|Equity|n/a||UMI|6|13.ASSET|Equity|148|5.77|ENLC| EnLink Midstream LLC| 3.90%| North America|Equity|n/a||UMI|6|14.ASSET|Equity|148|4.4|DTM| DT Midstream, Inc.| 2.97%| North America|Equity|n/a||UMI|6|15.ASSET|Equity|148|4.35|WES| Western Midstream Partners, LP| 2.94%| Global|Commodity|Commodities||FAAR|6|1.ASSET|Commodity|153.9|106.99|N/A| Cash Component| 69.52%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|1.ASSET|Equity|91.4|7.12|EVO| Evolution AB| 7.79%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|2.ASSET|Equity|91.4|6.63|LVS| Las Vegas Sands Corp.| 7.25%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|3.ASSET|Equity|91.4|6.39|ALL| Aristocrat Leisure Limited| 6.99%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|4.ASSET|Equity|91.4|6.38|MGM| MGM Resorts International| 6.98%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|5.ASSET|Equity|91.4|5.49|FLTR| Flutter Entertainment Plc| 6.01%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|6.ASSET|Equity|91.4|5.44|27| Galaxy Entertainment Group Limited| 5.95%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|7.ASSET|Equity|91.4|4.45|CZR| Caesars Entertainment Inc| 4.87%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|8.ASSET|Equity|91.4|4.11|VICI| VICI Properties Inc| 4.50%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|9.ASSET|Equity|91.4|3.97|ENT| Entain PLC| 4.34%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|10.ASSET|Equity|91.4|3.03|GLPI| Gaming and Leisure Properties, Inc.| 3.32%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|11.ASSET|Equity|91.4|3.01|DKNG| DraftKings Inc Class A| 3.29%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|12.ASSET|Equity|91.4|2.92|1928| Sands China Ltd.| 3.19%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|13.ASSET|Equity|91.4|2.74|TAH| Tabcorp Holdings Limited| 3.00%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|14.ASSET|Equity|91.4|2.66|CHDN| Churchill Downs Incorporated| 2.91%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BJK|6|15.ASSET|Equity|91.4|2.64|WYNN| Wynn Resorts, Limited| 2.89%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|1.ASSET|Bond|153.8|0.78|N/A| Metropolitan Transn Auth N Y Rev 5.0% 15-NOV-2026| 0.51%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|2.ASSET|Bond|153.8|0.72|N/A| California St 5.0% 01-SEP-2028| 0.47%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|3.ASSET|Bond|153.8|0.69|N/A| Indiana Fin Auth Hwy Rev 5.0% 01-JUN-2027| 0.45%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|4.ASSET|Bond|153.8|0.69|MCSXX| BlackRock Liquidity Funds MuniCash Portfolio Institutional| 0.45%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|5.ASSET|Bond|153.8|0.68|N/A| Utah St 5.0% 01-JUL-2026| 0.44%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|6.ASSET|Bond|153.8|0.65|N/A| New Jersey St 5.0% 01-JUN-2026| 0.42%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|7.ASSET|Bond|153.8|0.62|N/A| New York St Dorm Auth Sales Tax Rev St Supporteddebt 5.0% 15-MAR-2028| 0.40%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|8.ASSET|Bond|153.8|0.58|N/A| Miami-Dade Cnty Fla Wtr & Swr Rev 5.0% 01-OCT-2026| 0.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|9.ASSET|Bond|153.8|0.58|N/A| Georgia St 5.0% 01-AUG-2026| 0.38%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|10.ASSET|Bond|153.8|0.55|N/A| New York St Urban Dev Corp Rev 5.0% 15-MAR-2028| 0.36%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|11.ASSET|Bond|153.8|0.55|N/A| Maryland St 5.0% 01-AUG-2026| 0.36%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|12.ASSET|Bond|153.8|0.55|N/A| Michigan Fin Auth Rev 5.0% 01-OCT-2028| 0.36%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|13.ASSET|Bond|153.8|0.55|N/A| Phoenix Ariz 5.0% 01-JUL-2026| 0.36%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|14.ASSET|Bond|153.8|0.55|N/A| Maryland St Dept Transn Cons Transn 5.0% 01-OCT-2028| 0.36%| North America|Bond|National Munis|Target Maturity Date Munis|IBMO|6|15.ASSET|Bond|153.8|0.55|N/A| Oregon St Dept Administrative Svcs Lottery Rev 5.0% 01-APR-2026| 0.36%| North America|Equity|Volatility Hedged Equity||BAPR|6|1.ASSET|Equity|115|114.91|N/A| OPTIONS| 99.92%| North America|Equity|Volatility Hedged Equity||BAPR|6|2.ASSET|Equity|115|114.91|N/A| OPTIONS| 99.92%| North America|Equity|Volatility Hedged Equity||BAPR|6|3.ASSET|Equity|115|0.09|N/A| U.S. Dollar| 0.08%| North America|Equity|Volatility Hedged Equity||BAPR|6|4.ASSET|Equity|115|0.09|N/A| U.S. Dollar| 0.08%| North America|Equity|Industrials Equities|Industrials|PSCI|6|1.ASSET|Equity|81.2|2.61|UFPI| UFP Industries, Inc.| 3.22%| North America|Equity|Industrials Equities|Industrials|PSCI|6|2.ASSET|Equity|81.2|2.57|GTLS| Chart Industries, Inc.| 3.17%| North America|Equity|Industrials Equities|Industrials|PSCI|6|3.ASSET|Equity|81.2|2.43|EXPO| Exponent, Inc.| 2.99%| North America|Equity|Industrials Equities|Industrials|PSCI|6|4.ASSET|Equity|81.2|2.21|MATX| Matson, Inc.| 2.72%| North America|Equity|Industrials Equities|Industrials|PSCI|6|5.ASSET|Equity|81.2|1.9|AIT| Applied Industrial Technologies, Inc.| 2.34%| North America|Equity|Industrials Equities|Industrials|PSCI|6|6.ASSET|Equity|81.2|1.8|REZI| Resideo Technologies, Inc.| 2.22%| North America|Equity|Industrials Equities|Industrials|PSCI|6|7.ASSET|Equity|81.2|1.75|FLOW| SPX Flow, Inc.| 2.15%| North America|Equity|Industrials Equities|Industrials|PSCI|6|8.ASSET|Equity|81.2|1.74|KFY| Korn Ferry| 2.14%| North America|Equity|Industrials Equities|Industrials|PSCI|6|9.ASSET|Equity|81.2|1.74|JBT| John Bean Technologies Corporation| 2.14%| North America|Equity|Industrials Equities|Industrials|PSCI|6|10.ASSET|Equity|81.2|1.69|HI| Hillenbrand, Inc.| 2.08%| North America|Equity|Industrials Equities|Industrials|PSCI|6|11.ASSET|Equity|81.2|1.59|FELE| Franklin Electric Co., Inc.| 1.96%| North America|Equity|Industrials Equities|Industrials|PSCI|6|12.ASSET|Equity|81.2|1.58|BCC| Boise Cascade Co.| 1.95%| North America|Equity|Industrials Equities|Industrials|PSCI|6|13.ASSET|Equity|81.2|1.58|MLI| Mueller Industries, Inc.| 1.94%| North America|Equity|Industrials Equities|Industrials|PSCI|6|14.ASSET|Equity|81.2|1.52|FIX| Comfort Systems USA, Inc.| 1.87%| North America|Equity|Industrials Equities|Industrials|PSCI|6|15.ASSET|Equity|81.2|1.49|ABM| ABM Industries Incorporated| 1.83%| Global|Equity|Technology Equities|Technology|META|6|1.ASSET|Equity|777.2|66.68|NVDA| NVIDIA Corporation| 8.58%| Global|Equity|Technology Equities|Technology|META|6|2.ASSET|Equity|777.2|58.6|MSFT| Microsoft Corporation| 7.54%| Global|Equity|Technology Equities|Technology|META|6|3.ASSET|Equity|777.2|48.65|FB| Meta Platforms Inc. Class A| 6.26%| Global|Equity|Technology Equities|Technology|META|6|4.ASSET|Equity|777.2|41.19|U| Unity Software, Inc.| 5.30%| Global|Equity|Technology Equities|Technology|META|6|5.ASSET|Equity|777.2|38.94|SNAP| Snap, Inc. Class A| 5.01%| Global|Equity|Technology Equities|Technology|META|6|6.ASSET|Equity|777.2|35.98|RBLX| Roblox Corp. Class A| 4.63%| Global|Equity|Technology Equities|Technology|META|6|7.ASSET|Equity|777.2|34.2|AAPL| Apple Inc.| 4.40%| Global|Equity|Technology Equities|Technology|META|6|8.ASSET|Equity|777.2|32.56|AMZN| Amazon.com, Inc.| 4.19%| Global|Equity|Technology Equities|Technology|META|6|9.ASSET|Equity|777.2|32.49|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 4.18%| Global|Equity|Technology Equities|Technology|META|6|10.ASSET|Equity|777.2|30.08|QCOM| Qualcomm Inc| 3.87%| Global|Equity|Technology Equities|Technology|META|6|11.ASSET|Equity|777.2|28.52|ADSK| Autodesk, Inc.| 3.67%| Global|Equity|Technology Equities|Technology|META|6|12.ASSET|Equity|777.2|24.33|6758| Sony Group Corporation| 3.13%| Global|Equity|Technology Equities|Technology|META|6|13.ASSET|Equity|777.2|21.84|AMD| Advanced Micro Devices, Inc.| 2.81%| Global|Equity|Technology Equities|Technology|META|6|14.ASSET|Equity|777.2|21.06|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 2.71%| Global|Equity|Technology Equities|Technology|META|6|15.ASSET|Equity|777.2|21.06|700| Tencent Holdings Ltd.| 2.71%| North America|Equity|Inverse Equities||SPDN|6|1.ASSET|Equity|272.1|250.33|N/A| U.S. Dollar| 92.00%| North America|Equity|Inverse Equities||SPDN|6|2.ASSET|Equity|272.1|21.77|N/A| MUTUAL FUND (OTHER)| 8.00%| North America|Bond|National Munis|Municipal Bond|FLMB|6|1.ASSET|Bond|121.1|5.15|N/A| U.S. Dollar| 4.25%| North America|Bond|National Munis|Municipal Bond|FLMB|6|2.ASSET|Bond|121.1|4.86|N/A| MUNICIPAL BONDS| 4.01%| North America|Bond|National Munis|Municipal Bond|FLMB|6|3.ASSET|Bond|121.1|4.37|N/A| California Cmnty Choice Fing Auth Clean Energy Proj Rev VAR 01-FEB-2052| 3.61%| North America|Bond|National Munis|Municipal Bond|FLMB|6|4.ASSET|Bond|121.1|3.21|N/A| Los Angeles Cnty Calif Met Transn Auth Sales Taxrev 4.0% 01-JUN-2035| 2.65%| North America|Bond|National Munis|Municipal Bond|FLMB|6|5.ASSET|Bond|121.1|3.18|N/A| Ohio St Univ Gen Rcpts 5.0% 01-DEC-2023| 2.63%| North America|Bond|National Munis|Municipal Bond|FLMB|6|6.ASSET|Bond|121.1|2.72|N/A| California Cmnty Choice Fing Auth Clean Energy Proj Rev VAR 01-OCT-2052| 2.25%| North America|Bond|National Munis|Municipal Bond|FLMB|6|7.ASSET|Bond|121.1|2.36|N/A| Public Fin Auth Wis Rev 4.0% 30-SEP-2051| 1.95%| North America|Bond|National Munis|Municipal Bond|FLMB|6|8.ASSET|Bond|121.1|2.33|N/A| New Jersey St 4.0% 01-JUN-2032| 1.92%| North America|Bond|National Munis|Municipal Bond|FLMB|6|9.ASSET|Bond|121.1|2.25|N/A| University Wis Hosps & Clinics Auth Rev 4.0% 01-APR-2046| 1.86%| North America|Bond|National Munis|Municipal Bond|FLMB|6|10.ASSET|Bond|121.1|2.17|N/A| San Diego Cnty Calif Regl Arpt Auth Arpt Rev 4.0% 01-JUL-2046| 1.79%| North America|Bond|National Munis|Municipal Bond|FLMB|6|11.ASSET|Bond|121.1|2.16|N/A| Port Portland Ore Arpt Rev 4.0% 01-JUL-2050| 1.78%| North America|Bond|National Munis|Municipal Bond|FLMB|6|12.ASSET|Bond|121.1|2.12|N/A| San Diego Calif Assn Govts Cap Grnt Rcpts Rev 5.0% 15-NOV-2024| 1.75%| North America|Bond|National Munis|Municipal Bond|FLMB|6|13.ASSET|Bond|121.1|1.9|N/A| Massachusetts St Hsg Fin Agy Hsg Rev 2.6% 01-DEC-2041| 1.57%| North America|Bond|National Munis|Municipal Bond|FLMB|6|14.ASSET|Bond|121.1|1.9|N/A| Fairfax Cnty Va Economic Dev Auth Fac Rev 4.0% 01-OCT-2037| 1.57%| North America|Bond|National Munis|Municipal Bond|FLMB|6|15.ASSET|Bond|121.1|1.9|N/A| Chicago Ill Met Wtr Reclamation Dist Gtr Chicago 5.0% 01-DEC-2033| 1.57%| Developed Asia Pacific|Currency|Currency||FXA|6|1.ASSET|Currency|93.6|93.6|N/A| Australian dollar| 100.00%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|1.ASSET|Multi-Asset|127.9|19.33|VTIP| Vanguard Short-Term Inflation-Protected Securities ETF| 15.11%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|2.ASSET|Multi-Asset|127.9|13.94|BIL| SPDR Bloomberg 1-3 Month T-Bill ETF| 10.90%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|3.ASSET|Multi-Asset|127.9|10.77|TBF| Proshares Short 20+ Year Treasury| 8.42%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|4.ASSET|Multi-Asset|127.9|6.4|UUP| Invesco DB US Dollar Index Bullish Fund| 5.00%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|5.ASSET|Multi-Asset|127.9|6.06|VT| Vanguard Total World Stock ETF| 4.74%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|6.ASSET|Multi-Asset|127.9|6.06|FNDF| Schwab Fundamental International Large Co. Index ETF| 4.74%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|7.ASSET|Multi-Asset|127.9|5.9|FGXXX| First American Funds Inc X Government Obligations Fund| 4.61%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|8.ASSET|Multi-Asset|127.9|5.09|FNDE| Schwab Fundamental Emerging Markets Large Co. Index ETF| 3.98%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|9.ASSET|Multi-Asset|127.9|4.99|DBB| Invesco DB Base Metals Fund| 3.90%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|10.ASSET|Multi-Asset|127.9|4.48|XME| SPDR S&P Metals & Mining ETF| 3.50%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|11.ASSET|Multi-Asset|127.9|4.45|RWM| ProShares Short Russell2000| 3.48%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|12.ASSET|Multi-Asset|127.9|3.88|KRBN| KraneShares Global Carbon Strategy ETF| 3.03%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|13.ASSET|Multi-Asset|127.9|3.71|RSP| Invesco S&P 500 Equal Weight ETF| 2.90%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|14.ASSET|Multi-Asset|127.9|3.68|FNDX| Schwab Fundamental US Large Co. Index ETF| 2.88%| Developed Markets|Multi-Asset|Hedge Fund||GDMA|6|15.ASSET|Multi-Asset|127.9|3.34|XLE| Energy Select Sector SPDR Fund| 2.61%| North America|Equity|Large Cap Growth Equities||PALC|6|1.ASSET|Equity|276.3|9.15|BRK.B| Berkshire Hathaway Inc. Class B| 3.31%| North America|Equity|Large Cap Growth Equities||PALC|6|2.ASSET|Equity|276.3|7.32|CVS| CVS Health Corporation| 2.65%| North America|Equity|Large Cap Growth Equities||PALC|6|3.ASSET|Equity|276.3|6.44|T| AT&T Inc.| 2.33%| North America|Equity|Large Cap Growth Equities||PALC|6|4.ASSET|Equity|276.3|5.91|BAC| Bank of America Corp| 2.14%| North America|Equity|Large Cap Growth Equities||PALC|6|5.ASSET|Equity|276.3|5.17|CI| Cigna Corporation| 1.87%| North America|Equity|Large Cap Growth Equities||PALC|6|6.ASSET|Equity|276.3|4.97|WFC| Wells Fargo & Company| 1.80%| North America|Equity|Large Cap Growth Equities||PALC|6|7.ASSET|Equity|276.3|4.17|C| Citigroup Inc.| 1.51%| North America|Equity|Large Cap Growth Equities||PALC|6|8.ASSET|Equity|276.3|3.81|ADM| Archer-Daniels-Midland Company| 1.38%| North America|Equity|Large Cap Growth Equities||PALC|6|9.ASSET|Equity|276.3|3.81|ANTM| Anthem, Inc.| 1.38%| North America|Equity|Large Cap Growth Equities||PALC|6|10.ASSET|Equity|276.3|3.62|GM| General Motors Company| 1.31%| North America|Equity|Large Cap Growth Equities||PALC|6|11.ASSET|Equity|276.3|3.45|MPC| Marathon Petroleum Corporation| 1.25%| North America|Equity|Large Cap Growth Equities||PALC|6|12.ASSET|Equity|276.3|3.12|GS| Goldman Sachs Group, Inc.| 1.13%| North America|Equity|Large Cap Growth Equities||PALC|6|13.ASSET|Equity|276.3|2.76|F| Ford Motor Company| 1.00%| North America|Equity|Large Cap Growth Equities||PALC|6|14.ASSET|Equity|276.3|2.49|TSN| Tyson Foods, Inc. Class A| 0.90%| North America|Equity|Large Cap Growth Equities||PALC|6|15.ASSET|Equity|276.3|2.35|PGR| Progressive Corporation| 0.85%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|1.ASSET|Equity|212.1|49.06|SCCO| Southern Copper Corporation| 23.13%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|2.ASSET|Equity|212.1|46|BAP| Credicorp Ltd.| 21.69%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|3.ASSET|Equity|212.1|10.65|BVN| Compania de Minas Buenaventura SAA Sponsored ADR| 5.02%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|4.ASSET|Equity|212.1|9.88|CVERDEC1| Sociedad Minera Cerro Verde SAA| 4.66%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|5.ASSET|Equity|212.1|9.12|ALICORC1| Alicorp SAA| 4.30%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|6.ASSET|Equity|212.1|7.97|FERREYC1| Ferreycorp SA| 3.76%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|7.ASSET|Equity|212.1|7.68|UNACEMC1| Union Andina de Cementos SAA| 3.62%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|8.ASSET|Equity|212.1|6.72|VOLCABC1| Volcan Compania Minera S.A.A. Class B| 3.17%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|9.ASSET|Equity|212.1|6.7|HOC| Hochschild Mining plc| 3.16%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|10.ASSET|Equity|212.1|6.04|PTAL| PetroTal Corp.| 2.85%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|11.ASSET|Equity|212.1|5.68|INRETC1| InRetail Peru Corp.| 2.68%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|12.ASSET|Equity|212.1|5.28|BBVAC1| Banco BBVA Peru| 2.49%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|13.ASSET|Equity|212.1|5.07|FVI| Fortuna Silver Mines Inc.| 2.39%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|14.ASSET|Equity|212.1|4.98|WPM| Wheaton Precious Metals Corp| 2.35%| Latin America|Equity|Mid Cap Blend Equities||EPU|6|15.ASSET|Equity|212.1|4.94|IFS| Intercorp Financial Services Inc.| 2.33%| North America|Equity|Small Cap Blend Equities||ISMD|6|1.ASSET|Equity|111.5|0.5|WBS| Webster Financial Corporation| 0.45%| North America|Equity|Small Cap Blend Equities||ISMD|6|2.ASSET|Equity|111.5|0.4|TEN| Tenneco Inc. Class A| 0.36%| North America|Equity|Small Cap Blend Equities||ISMD|6|3.ASSET|Equity|111.5|0.39|ATI| Allegheny Technologies Incorporated| 0.35%| North America|Equity|Small Cap Blend Equities||ISMD|6|4.ASSET|Equity|111.5|0.35|FHN| First Horizon Corporation| 0.31%| North America|Equity|Small Cap Blend Equities||ISMD|6|5.ASSET|Equity|111.5|0.31|SJI| South Jersey Industries, Inc.| 0.28%| North America|Equity|Small Cap Blend Equities||ISMD|6|6.ASSET|Equity|111.5|0.31|CBT| Cabot Corporation| 0.28%| North America|Equity|Small Cap Blend Equities||ISMD|6|7.ASSET|Equity|111.5|0.31|OII| Oceaneering International, Inc.| 0.28%| North America|Equity|Small Cap Blend Equities||ISMD|6|8.ASSET|Equity|111.5|0.3|AMCX| AMC Networks Inc. Class A| 0.27%| North America|Equity|Small Cap Blend Equities||ISMD|6|9.ASSET|Equity|111.5|0.3|NXST| Nexstar Media Group, Inc. Class A| 0.27%| North America|Equity|Small Cap Blend Equities||ISMD|6|10.ASSET|Equity|111.5|0.3|SM| SM Energy Company| 0.27%| North America|Equity|Small Cap Blend Equities||ISMD|6|11.ASSET|Equity|111.5|0.3|TUP| Tupperware Brands Corporation| 0.27%| North America|Equity|Small Cap Blend Equities||ISMD|6|12.ASSET|Equity|111.5|0.29|HL| Hecla Mining Company| 0.26%| North America|Equity|Small Cap Blend Equities||ISMD|6|13.ASSET|Equity|111.5|0.29|HQY| HealthEquity Inc| 0.26%| North America|Equity|Small Cap Blend Equities||ISMD|6|14.ASSET|Equity|111.5|0.29|X| United States Steel Corporation| 0.26%| North America|Equity|Small Cap Blend Equities||ISMD|6|15.ASSET|Equity|111.5|0.29|CALM| Cal-Maine Foods, Inc.| 0.26%| North America|Equity|All Cap Equities||LSAF|6|1.ASSET|Equity|134.8|1.89|COP| ConocoPhillips| 1.40%| North America|Equity|All Cap Equities||LSAF|6|2.ASSET|Equity|134.8|1.78|VIRT| Virtu Financial, Inc. Class A| 1.32%| North America|Equity|All Cap Equities||LSAF|6|3.ASSET|Equity|134.8|1.73|N/A| U.S. Dollar| 1.28%| North America|Equity|All Cap Equities||LSAF|6|4.ASSET|Equity|134.8|1.73|NXST| Nexstar Media Group, Inc. Class A| 1.28%| North America|Equity|All Cap Equities||LSAF|6|5.ASSET|Equity|134.8|1.71|STLD| Steel Dynamics, Inc.| 1.27%| North America|Equity|All Cap Equities||LSAF|6|6.ASSET|Equity|134.8|1.7|NUE| Nucor Corporation| 1.26%| North America|Equity|All Cap Equities||LSAF|6|7.ASSET|Equity|134.8|1.64|KSS| Kohl\'s Corporation| 1.22%| North America|Equity|All Cap Equities||LSAF|6|8.ASSET|Equity|134.8|1.64|RS| Reliance Steel & Aluminum Co.| 1.22%| North America|Equity|All Cap Equities||LSAF|6|9.ASSET|Equity|134.8|1.59|CCK| Crown Holdings, Inc.| 1.18%| North America|Equity|All Cap Equities||LSAF|6|10.ASSET|Equity|134.8|1.59|HUN| Huntsman Corporation| 1.18%| North America|Equity|All Cap Equities||LSAF|6|11.ASSET|Equity|134.8|1.58|MCK| McKesson Corporation| 1.17%| North America|Equity|All Cap Equities||LSAF|6|12.ASSET|Equity|134.8|1.56|BPOP| Popular, Inc.| 1.16%| North America|Equity|All Cap Equities||LSAF|6|13.ASSET|Equity|134.8|1.52|BRK.B| Berkshire Hathaway Inc. Class B| 1.13%| North America|Equity|All Cap Equities||LSAF|6|14.ASSET|Equity|134.8|1.52|AXP| American Express Company| 1.13%| North America|Equity|All Cap Equities||LSAF|6|15.ASSET|Equity|134.8|1.51|RHI| Robert Half International Inc.| 1.12%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|1.ASSET|Bond|130.4|26.29|SKOR| FlexShares Credit-Scored US Corporate Bond Index Fund| 20.16%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|2.ASSET|Bond|130.4|19.76|MBSD| FlexShares Disciplined Duration MBS Index Fund| 15.15%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|3.ASSET|Bond|130.4|14.77|IGSB| iShares 1-5 Year Investment Grade Corporate Bond ETF| 11.33%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|4.ASSET|Bond|130.4|13.14|MBB| iShares MBS ETF| 10.08%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|5.ASSET|Bond|130.4|12.51|TLT| iShares 20+ Year Treasury Bond ETF| 9.59%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|6.ASSET|Bond|130.4|10.16|IGIB| iShares 5-10 Year Investment Grade Corporate Bond ETF| 7.79%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|7.ASSET|Bond|130.4|8.79|IGLB| iShares 10+ Year Investment Grade Corporate Bond ETF| 6.74%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|8.ASSET|Bond|130.4|8.7|IEI| iShares 3-7 Year Treasury Bond ETF| 6.67%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|9.ASSET|Bond|130.4|6.92|IEF| iShares 7-10 Year Treasury Bond ETF| 5.31%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|10.ASSET|Bond|130.4|5.22|LKOR| FlexShares Credit-Scored US Long Corporate Bond Index Fund| 4.00%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|11.ASSET|Bond|130.4|3.13|RAVI| FlexShares Ready Access Variable Income Fund| 2.40%| North America|Bond|Total Bond Market|Total Bond Market|BNDC|6|12.ASSET|Bond|130.4|1|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 0.77%| |Equity|Large Cap Blend Equities||FJUN|6|1.ASSET|Equity|110.4|0|N/A| Cash Component| 0.00%| North America|Equity|Financials Equities|Financials|QABA|6|1.ASSET|Equity|139.9|4.7|CBSH| Commerce Bancshares, Inc.| 3.36%| North America|Equity|Financials Equities|Financials|QABA|6|2.ASSET|Equity|139.9|4.11|PNFP| Pinnacle Financial Partners, Inc.| 2.94%| North America|Equity|Financials Equities|Financials|QABA|6|3.ASSET|Equity|139.9|3.79|BOKF| BOK Financial Corporation| 2.71%| North America|Equity|Financials Equities|Financials|QABA|6|4.ASSET|Equity|139.9|3.69|FFIN| First Financial Bankshares Inc| 2.64%| North America|Equity|Financials Equities|Financials|QABA|6|5.ASSET|Equity|139.9|3.37|SSB| SouthState Corporation| 2.41%| North America|Equity|Financials Equities|Financials|QABA|6|6.ASSET|Equity|139.9|3.2|OZK| Bank OZK| 2.29%| North America|Equity|Financials Equities|Financials|QABA|6|7.ASSET|Equity|139.9|3.06|VLY| Valley National Bancorp| 2.19%| North America|Equity|Financials Equities|Financials|QABA|6|8.ASSET|Equity|139.9|3.04|WTFC| Wintrust Financial Corporation| 2.17%| North America|Equity|Financials Equities|Financials|QABA|6|9.ASSET|Equity|139.9|3.02|PACW| PacWest Bancorp| 2.16%| North America|Equity|Financials Equities|Financials|QABA|6|10.ASSET|Equity|139.9|2.66|UMBF| UMB Financial Corporation| 1.90%| North America|Equity|Financials Equities|Financials|QABA|6|11.ASSET|Equity|139.9|2.63|HWC| Hancock Whitney Corporation| 1.88%| North America|Equity|Financials Equities|Financials|QABA|6|12.ASSET|Equity|139.9|2.6|TFSL| TFS Financial Corporation| 1.86%| North America|Equity|Financials Equities|Financials|QABA|6|13.ASSET|Equity|139.9|2.5|UBSI| United Bankshares, Inc.| 1.79%| North America|Equity|Financials Equities|Financials|QABA|6|14.ASSET|Equity|139.9|2.18|INDB| Independent Bank Corp.| 1.56%| North America|Equity|Financials Equities|Financials|QABA|6|15.ASSET|Equity|139.9|1.99|FHB| First Hawaiian, Inc.| 1.42%| North America|Equity|All Cap Equities||VFQY|6|1.ASSET|Equity|188|2.05|LULU| Lululemon Athletica Inc| 1.09%| North America|Equity|All Cap Equities||VFQY|6|2.ASSET|Equity|188|1.9|CL| Colgate-Palmolive Company| 1.01%| North America|Equity|All Cap Equities||VFQY|6|3.ASSET|Equity|188|1.88|FCX| Freeport-McMoRan, Inc.| 1.00%| North America|Equity|All Cap Equities||VFQY|6|4.ASSET|Equity|188|1.88|ALGN| Align Technology, Inc.| 1.00%| North America|Equity|All Cap Equities||VFQY|6|5.ASSET|Equity|188|1.82|EOG| EOG Resources, Inc.| 0.97%| North America|Equity|All Cap Equities||VFQY|6|6.ASSET|Equity|188|1.82|MRNA| Moderna, Inc.| 0.97%| North America|Equity|All Cap Equities||VFQY|6|7.ASSET|Equity|188|1.8|WMT| Walmart Inc.| 0.96%| North America|Equity|All Cap Equities||VFQY|6|8.ASSET|Equity|188|1.8|AMD| Advanced Micro Devices, Inc.| 0.96%| North America|Equity|All Cap Equities||VFQY|6|9.ASSET|Equity|188|1.8|VEEV| Veeva Systems Inc Class A| 0.96%| North America|Equity|All Cap Equities||VFQY|6|10.ASSET|Equity|188|1.75|TGT| Target Corporation| 0.93%| North America|Equity|All Cap Equities||VFQY|6|11.ASSET|Equity|188|1.71|AON| Aon Plc Class A| 0.91%| North America|Equity|All Cap Equities||VFQY|6|12.ASSET|Equity|188|1.71|CDNS| Cadence Design Systems, Inc.| 0.91%| North America|Equity|All Cap Equities||VFQY|6|13.ASSET|Equity|188|1.56|TEAM| Atlassian Corp. Plc Class A| 0.83%| North America|Equity|All Cap Equities||VFQY|6|14.ASSET|Equity|188|1.56|VRTX| Vertex Pharmaceuticals Incorporated| 0.83%| North America|Equity|All Cap Equities||VFQY|6|15.ASSET|Equity|188|1.5|REGN| Regeneron Pharmaceuticals, Inc.| 0.80%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|1.ASSET|Equity|104.6|7.18|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.86%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|2.ASSET|Equity|104.6|4.3|700| Tencent Holdings Ltd.| 4.11%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|3.ASSET|Equity|104.6|3.86|005930| Samsung Electronics Co., Ltd.| 3.69%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|4.ASSET|Equity|104.6|2.72|9988| Alibaba Group Holding Ltd.| 2.60%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|5.ASSET|Equity|104.6|1.95|N/A| U.S. Dollar| 1.86%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|6.ASSET|Equity|104.6|1.75|N/A| FUTURES| 1.67%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|7.ASSET|Equity|104.6|1.22|3690| Meituan Class B| 1.17%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|8.ASSET|Equity|104.6|1.12|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.07%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|9.ASSET|Equity|104.6|1.01|9618| JD.com, Inc. Class A| 0.97%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|10.ASSET|Equity|104.6|0.98|VALE3| Vale S.A.| 0.94%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|11.ASSET|Equity|104.6|0.96|939| China Construction Bank Corporation Class H| 0.92%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|12.ASSET|Equity|104.6|0.79|2454| MediaTek Inc| 0.76%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|13.ASSET|Equity|104.6|0.75|000660| SK hynix Inc| 0.72%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|14.ASSET|Equity|104.6|0.72|500010| Housing Development Finance Corporation Limited| 0.69%| Emerging Markets|Equity|Emerging Markets Equities||DBEM|6|15.ASSET|Equity|104.6|0.71|1120| Al Rajhi Bank| 0.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|1.ASSET|Bond|144|4.45|N/A| AbbVie Inc. 3.2% 21-NOV-2029| 3.09%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|2.ASSET|Bond|144|3.87|N/A| Anheuser-Busch Inbev Worldwide, Inc. 4.75% 23-JAN-2029| 2.69%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|3.ASSET|Bond|144|3.41|N/A| Verizon Communications Inc. 4.016% 03-DEC-2029| 2.37%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|4.ASSET|Bond|144|2.82|N/A| International Business Machines Corporation 3.5% 15-MAY-2029| 1.96%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|5.ASSET|Bond|144|2.68|N/A| AT&T Inc. 4.35% 01-MAR-2029| 1.86%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|6.ASSET|Bond|144|2.49|N/A| Fiserv, Inc. 3.5% 01-JUL-2029| 1.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|7.ASSET|Bond|144|2.2|N/A| Wells Fargo & Company 4.15% 24-JAN-2029| 1.53%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|8.ASSET|Bond|144|1.94|N/A| Sumitomo Mitsui Financial Group, Inc. 3.04% 16-JUL-2029| 1.35%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|9.ASSET|Bond|144|1.66|N/A| Altria Group, Inc. 4.8% 14-FEB-2029| 1.15%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|10.ASSET|Bond|144|1.63|N/A| HCA, Inc. 4.125% 15-JUN-2029| 1.13%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|11.ASSET|Bond|144|1.61|N/A| Conoco, Inc. 6.95% 15-APR-2029| 1.12%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|12.ASSET|Bond|144|1.57|N/A| Intel Corporation 2.45% 15-NOV-2029| 1.09%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|13.ASSET|Bond|144|1.54|N/A| Dell International LLC 5.3% 01-OCT-2029| 1.07%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|14.ASSET|Bond|144|1.53|N/A| Walt Disney Company 2.0% 01-SEP-2029| 1.06%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCT|6|15.ASSET|Bond|144|1.5|N/A| Merck & Co., Inc. 3.4% 07-MAR-2029| 1.04%| Developed Markets|Equity|Global Equities||UFO|6|1.ASSET|Equity|90.9|5.93|MAXR| Maxar Technologies, Inc.| 6.52%| Developed Markets|Equity|Global Equities||UFO|6|2.ASSET|Equity|90.9|4.88|VSAT| ViaSat, Inc.| 5.37%| Developed Markets|Equity|Global Equities||UFO|6|3.ASSET|Equity|90.9|4.83|SESG| SES SA FDR (Class A)| 5.31%| Developed Markets|Equity|Global Equities||UFO|6|4.ASSET|Equity|90.9|4.81|SIRI| Sirius XM Holdings, Inc.| 5.29%| Developed Markets|Equity|Global Equities||UFO|6|5.ASSET|Equity|90.9|4.76|IRDM| Iridium Communications Inc.| 5.24%| Developed Markets|Equity|Global Equities||UFO|6|6.ASSET|Equity|90.9|4.64|DISH| DISH Network Corporation Class A| 5.11%| Developed Markets|Equity|Global Equities||UFO|6|7.ASSET|Equity|90.9|4.05|GRMN| Garmin Ltd.| 4.46%| Developed Markets|Equity|Global Equities||UFO|6|8.ASSET|Equity|90.9|4.05|ETL| Eutelsat Communications SA| 4.45%| Developed Markets|Equity|Global Equities||UFO|6|9.ASSET|Equity|90.9|3.85|TRMB| Trimble Inc.| 4.24%| Developed Markets|Equity|Global Equities||UFO|6|10.ASSET|Equity|90.9|3.48|RKLB| Rocket Lab USA, Inc.| 3.83%| Developed Markets|Equity|Global Equities||UFO|6|11.ASSET|Equity|90.9|3.15|LMT| Lockheed Martin Corporation| 3.47%| Developed Markets|Equity|Global Equities||UFO|6|12.ASSET|Equity|90.9|2.97|NOC| Northrop Grumman Corporation| 3.27%| Developed Markets|Equity|Global Equities||UFO|6|13.ASSET|Equity|90.9|2.9|SPCE| Virgin Galactic Holdings Inc| 3.19%| Developed Markets|Equity|Global Equities||UFO|6|14.ASSET|Equity|90.9|2.9|ARQQ| Arqit Quantum Inc.| 3.19%| Developed Markets|Equity|Global Equities||UFO|6|15.ASSET|Equity|90.9|2.82|RTX| Raytheon Technologies Corporation| 3.10%| Emerging Asia Pacific|Equity|Leveraged Equities||CHAU|6|1.ASSET|Equity|88.9|41.85|DGCXX| Dreyfus Government Cash Management Funds Institutional| 47.07%| Emerging Asia Pacific|Equity|Leveraged Equities||CHAU|6|2.ASSET|Equity|88.9|36.1|ASHR| Xtrackers Harvest CSI 300 China A-Shares ETF| 40.61%| Emerging Asia Pacific|Equity|Leveraged Equities||CHAU|6|3.ASSET|Equity|88.9|11.25|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 12.65%| North America|Equity|Large Cap Growth Equities||AESR|6|1.ASSET|Equity|123.7|21.33|XLF| Financial Select Sector SPDR Fund| 17.24%| North America|Equity|Large Cap Growth Equities||AESR|6|2.ASSET|Equity|123.7|20.47|XLY| Consumer Discretionary Select Sector SPDR Fund| 16.55%| North America|Equity|Large Cap Growth Equities||AESR|6|3.ASSET|Equity|123.7|18.83|SPY| SPDR S&P 500 ETF Trust| 15.22%| North America|Equity|Large Cap Growth Equities||AESR|6|4.ASSET|Equity|123.7|13.26|XLK| Technology Select Sector SPDR Fund| 10.72%| North America|Equity|Large Cap Growth Equities||AESR|6|5.ASSET|Equity|123.7|10.82|QQQ| Invesco QQQ Trust| 8.75%| North America|Equity|Large Cap Growth Equities||AESR|6|6.ASSET|Equity|123.7|8.97|XLI| Industrial Select Sector SPDR Fund| 7.25%| North America|Equity|Large Cap Growth Equities||AESR|6|7.ASSET|Equity|123.7|8.24|XLV| Health Care Select Sector SPDR Fund| 6.66%| North America|Equity|Large Cap Growth Equities||AESR|6|8.ASSET|Equity|123.7|7.01|XLE| Energy Select Sector SPDR Fund| 5.67%| North America|Equity|Large Cap Growth Equities||AESR|6|9.ASSET|Equity|123.7|5.88|XLB| Materials Select Sector SPDR Fund| 4.75%| North America|Equity|Large Cap Growth Equities||AESR|6|10.ASSET|Equity|123.7|2.78|N/A| U.S. Dollar| 2.25%| North America|Equity|Large Cap Growth Equities||AESR|6|11.ASSET|Equity|123.7|0.53|NUE| Nucor Corporation| 0.43%| North America|Equity|Large Cap Growth Equities||AESR|6|12.ASSET|Equity|123.7|0.51|MOS| Mosaic Company| 0.41%| North America|Equity|Large Cap Growth Equities||AESR|6|13.ASSET|Equity|123.7|0.46|DVN| Devon Energy Corporation| 0.37%| North America|Equity|Large Cap Growth Equities||AESR|6|14.ASSET|Equity|123.7|0.43|OKE| ONEOK, Inc.| 0.35%| North America|Equity|Large Cap Growth Equities||AESR|6|15.ASSET|Equity|123.7|0.42|EXPE| Expedia Group, Inc.| 0.34%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|1.ASSET|Equity|50.3|2.8|DIS| Walt Disney Company| 5.57%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|2.ASSET|Equity|50.3|2.72|GOOGL| Alphabet Inc. Class A| 5.40%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|3.ASSET|Equity|50.3|2.39|MTCH| Match Group, Inc.| 4.75%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|4.ASSET|Equity|50.3|2.23|TWTR| Twitter, Inc.| 4.43%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|5.ASSET|Equity|50.3|2.01|CARG| CarGurus, Inc. Class A| 4.00%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|6.ASSET|Equity|50.3|1.94|OMC| Omnicom Group Inc| 3.85%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|7.ASSET|Equity|50.3|1.87|WWE| World Wrestling Entertainment, Inc. Class A| 3.72%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|8.ASSET|Equity|50.3|1.81|NXST| Nexstar Media Group, Inc. Class A| 3.59%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|9.ASSET|Equity|50.3|1.79|GTN| Gray Television, Inc.| 3.56%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|10.ASSET|Equity|50.3|1.79|SPOT| Spotify Technology SA| 3.56%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|11.ASSET|Equity|50.3|1.77|DISCA| Discovery, Inc. Class A| 3.51%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|12.ASSET|Equity|50.3|1.77|FB| Meta Platforms Inc. Class A| 3.51%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|13.ASSET|Equity|50.3|1.74|TGNA| TEGNA, Inc.| 3.46%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|14.ASSET|Equity|50.3|1.74|NFLX| Netflix, Inc.| 3.45%| North America|Equity|All Cap Equities|Consumer Discretionary|PBS|6|15.ASSET|Equity|50.3|1.72|FOXA| Fox Corporation Class A| 3.42%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|1.ASSET|Bond|153.4|5.03|N/A| CORPORATE BOND| 3.28%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|2.ASSET|Bond|153.4|0.87|N/A| NTT Finance Corp. 0.18% 19-DEC-2025| 0.57%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|3.ASSET|Bond|153.4|0.83|N/A| ENEL Finance International NV 5.75% 14-SEP-2040| 0.54%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|4.ASSET|Bond|153.4|0.75|N/A| THFC Funding No. 3 5.2% 11-OCT-2043| 0.49%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|5.ASSET|Bond|153.4|0.74|N/A| GlaxoSmithKline Capital Plc 5.25% 10-APR-2042| 0.48%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|6.ASSET|Bond|153.4|0.74|N/A| Bank of Montreal 3.19% 01-MAR-2028| 0.48%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|7.ASSET|Bond|153.4|0.71|N/A| GlaxoSmithKline Capital Plc 5.25% 19-DEC-2033| 0.46%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|8.ASSET|Bond|153.4|0.67|N/A| Royal Bank of Canada 2.609% 01-NOV-2024| 0.44%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|9.ASSET|Bond|153.4|0.66|N/A| innogy Finance BV 6.125% 06-JUL-2039| 0.43%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|10.ASSET|Bond|153.4|0.64|N/A| E.ON International Finance BV 5.875% 30-OCT-2037| 0.42%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|11.ASSET|Bond|153.4|0.63|N/A| Vattenfall AB 6.875% 15-APR-2039| 0.41%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|12.ASSET|Bond|153.4|0.63|N/A| E.ON International Finance BV 6.375% 07-JUN-2032| 0.41%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|13.ASSET|Bond|153.4|0.63|N/A| Royal Bank of Canada 2.328% 28-JAN-2027| 0.41%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|14.ASSET|Bond|153.4|0.61|N/A| TransCanada PipeLines Ltd. 3.8% 05-APR-2027| 0.40%| Developed Markets|Bond|Corporate Bonds|International Corporate|PICB|6|15.ASSET|Bond|153.4|0.61|N/A| Bank of Nova Scotia 1.85% 02-NOV-2026| 0.40%| North America|Equity|Large Cap Growth Equities||MXDU|6|1.ASSET|Equity|101.6|2.03|NEM| Newmont Corporation| 2.00%| North America|Equity|Large Cap Growth Equities||MXDU|6|2.ASSET|Equity|101.6|1.72|KR| Kroger Co.| 1.69%| North America|Equity|Large Cap Growth Equities||MXDU|6|3.ASSET|Equity|101.6|1.67|GIS| General Mills, Inc.| 1.64%| North America|Equity|Large Cap Growth Equities||MXDU|6|4.ASSET|Equity|101.6|1.61|DLTR| Dollar Tree, Inc.| 1.58%| North America|Equity|Large Cap Growth Equities||MXDU|6|5.ASSET|Equity|101.6|1.43|ED| Consolidated Edison, Inc.| 1.41%| North America|Equity|Large Cap Growth Equities||MXDU|6|6.ASSET|Equity|101.6|1.42|AMZN| Amazon.com, Inc.| 1.40%| North America|Equity|Large Cap Growth Equities||MXDU|6|7.ASSET|Equity|101.6|1.4|BIIB| Biogen Inc.| 1.38%| North America|Equity|Large Cap Growth Equities||MXDU|6|8.ASSET|Equity|101.6|1.31|EXR| Extra Space Storage Inc.| 1.29%| North America|Equity|Large Cap Growth Equities||MXDU|6|9.ASSET|Equity|101.6|1.26|FANG| Diamondback Energy, Inc.| 1.24%| North America|Equity|Large Cap Growth Equities||MXDU|6|10.ASSET|Equity|101.6|1.18|GILD| Gilead Sciences, Inc.| 1.16%| North America|Equity|Large Cap Growth Equities||MXDU|6|11.ASSET|Equity|101.6|1.17|NET| Cloudflare Inc Class A| 1.15%| North America|Equity|Large Cap Growth Equities||MXDU|6|12.ASSET|Equity|101.6|1.17|UNH| UnitedHealth Group Incorporated| 1.15%| North America|Equity|Large Cap Growth Equities||MXDU|6|13.ASSET|Equity|101.6|1.14|JNJ| Johnson & Johnson| 1.12%| North America|Equity|Large Cap Growth Equities||MXDU|6|14.ASSET|Equity|101.6|1.14|YUMC| Yum China Holdings, Inc.| 1.12%| North America|Equity|Large Cap Growth Equities||MXDU|6|15.ASSET|Equity|101.6|1.07|PFE| Pfizer Inc.| 1.05%| North America|Equity|All Cap Equities||DALI|6|1.ASSET|Equity|129.2|129.12|FTGC| First Trust Global Tactical Commodity Strategy Fund| 99.94%| North America|Equity|All Cap Equities||DALI|6|2.ASSET|Equity|129.2|0.08|N/A| U.S. Dollar| 0.06%| North America|Equity|Large Cap Growth Equities||FDMO|6|1.ASSET|Equity|115.4|8|AAPL| Apple Inc.| 6.93%| North America|Equity|Large Cap Growth Equities||FDMO|6|2.ASSET|Equity|115.4|7.11|MSFT| Microsoft Corporation| 6.16%| North America|Equity|Large Cap Growth Equities||FDMO|6|3.ASSET|Equity|115.4|4.87|GOOGL| Alphabet Inc. Class A| 4.22%| North America|Equity|Large Cap Growth Equities||FDMO|6|4.ASSET|Equity|115.4|4.24|AMZN| Amazon.com, Inc.| 3.67%| North America|Equity|Large Cap Growth Equities||FDMO|6|5.ASSET|Equity|115.4|2.52|NVDA| NVIDIA Corporation| 2.18%| North America|Equity|Large Cap Growth Equities||FDMO|6|6.ASSET|Equity|115.4|2.45|TSLA| Tesla Inc| 2.12%| North America|Equity|Large Cap Growth Equities||FDMO|6|7.ASSET|Equity|115.4|2.17|UNH| UnitedHealth Group Incorporated| 1.88%| North America|Equity|Large Cap Growth Equities||FDMO|6|8.ASSET|Equity|115.4|1.8|FB| Meta Platforms Inc. Class A| 1.56%| North America|Equity|Large Cap Growth Equities||FDMO|6|9.ASSET|Equity|115.4|1.68|SPGI| S&P Global, Inc.| 1.46%| North America|Equity|Large Cap Growth Equities||FDMO|6|10.ASSET|Equity|115.4|1.55|BAC| Bank of America Corp| 1.34%| North America|Equity|Large Cap Growth Equities||FDMO|6|11.ASSET|Equity|115.4|1.51|PFE| Pfizer Inc.| 1.31%| North America|Equity|Large Cap Growth Equities||FDMO|6|12.ASSET|Equity|115.4|1.5|LLY| Eli Lilly and Company| 1.30%| North America|Equity|Large Cap Growth Equities||FDMO|6|13.ASSET|Equity|115.4|1.44|TMO| Thermo Fisher Scientific Inc.| 1.25%| North America|Equity|Large Cap Growth Equities||FDMO|6|14.ASSET|Equity|115.4|1.44|PG| Procter & Gamble Company| 1.25%| North America|Equity|Large Cap Growth Equities||FDMO|6|15.ASSET|Equity|115.4|1.37|HD| Home Depot, Inc.| 1.19%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|1.ASSET|Equity|109.8|4.72|AAPL| Apple Inc.| 4.30%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|2.ASSET|Equity|109.8|3.62|MSFT| Microsoft Corporation| 3.30%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|3.ASSET|Equity|109.8|2.38|AMZN| Amazon.com, Inc.| 2.17%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|4.ASSET|Equity|109.8|1.44|GOOGL| Alphabet Inc. Class A| 1.31%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|5.ASSET|Equity|109.8|1.28|GOOG| Alphabet Inc. Class C| 1.17%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|6.ASSET|Equity|109.8|1.25|TSLA| Tesla Inc| 1.14%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|7.ASSET|Equity|109.8|1.02|NVDA| NVIDIA Corporation| 0.93%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|8.ASSET|Equity|109.8|0.92|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 0.84%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|9.ASSET|Equity|109.8|0.85|FB| Meta Platforms Inc. Class A| 0.77%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|10.ASSET|Equity|109.8|0.77|JNJ| Johnson & Johnson| 0.70%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|11.ASSET|Equity|109.8|0.76|UNH| UnitedHealth Group Incorporated| 0.69%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|12.ASSET|Equity|109.8|0.7|JPM| JPMorgan Chase & Co.| 0.64%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|13.ASSET|Equity|109.8|0.68|PG| Procter & Gamble Company| 0.62%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|14.ASSET|Equity|109.8|0.65|NESN| Nestle S.A.| 0.59%| Developed Markets|Equity|Large Cap Growth Equities||LOWC|6|15.ASSET|Equity|109.8|0.63|BRK.B| Berkshire Hathaway Inc. Class B| 0.57%| North America|Alternatives|Hedge Fund||PFIX|6|1.ASSET|Alternatives|141.4|76.84|N/A| United States Treasury Notes 0.75% 30-APR-2026| 54.34%| North America|Alternatives|Hedge Fund||PFIX|6|2.ASSET|Alternatives|141.4|56.55|N/A| U.S. Dollar| 39.99%| North America|Alternatives|Hedge Fund||PFIX|6|3.ASSET|Alternatives|141.4|8.02|N/A| DERIVATIVE SECURITIES (OTHER)| 5.67%| North America|Equity|Volatility Hedged Equity||PMAR|6|1.ASSET|Equity|163.5|162.22|N/A| OPTIONS| 99.22%| North America|Equity|Volatility Hedged Equity||PMAR|6|2.ASSET|Equity|163.5|162.16|N/A| OPTIONS| 99.18%| North America|Equity|Volatility Hedged Equity||PMAR|6|3.ASSET|Equity|163.5|1.34|N/A| U.S. Dollar| 0.82%| North America|Equity|Volatility Hedged Equity||PMAR|6|4.ASSET|Equity|163.5|1.28|N/A| U.S. Dollar| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|1.ASSET|Equity|105.8|0.57|FTS| Fortis Inc.| 0.54%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|2.ASSET|Equity|105.8|0.57|EMA| Emera Incorporated| 0.54%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|3.ASSET|Equity|105.8|0.54|RY| Royal Bank of Canada| 0.51%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|4.ASSET|Equity|105.8|0.53|TD| Toronto-Dominion Bank| 0.50%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|5.ASSET|Equity|105.8|0.53|BNS| Bank of Nova Scotia| 0.50%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|6.ASSET|Equity|105.8|0.52|CM| Canadian Imperial Bank of Commerce| 0.49%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|7.ASSET|Equity|105.8|0.52|T| TELUS Corporation| 0.49%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|8.ASSET|Equity|105.8|0.51|BCE| BCE Inc.| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|9.ASSET|Equity|105.8|0.5|H| Hydro One Limited| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|10.ASSET|Equity|105.8|0.45|MRU| Metro Inc.| 0.43%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|11.ASSET|Equity|105.8|0.44|NESN| Nestle S.A.| 0.42%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|12.ASSET|Equity|105.8|0.43|U11| United Overseas Bank Ltd. (Singapore)| 0.41%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|13.ASSET|Equity|105.8|0.43|GWO| Great-West Lifeco Inc.| 0.41%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|14.ASSET|Equity|105.8|0.43|BMO| Bank of Montreal| 0.41%| Developed Markets|Equity|Foreign Large Cap Equities||CIL|6|15.ASSET|Equity|105.8|0.42|2| CLP Holdings Limited| 0.40%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|1.ASSET|Bond|89.4|15.05|TPIXX| STATE STR INSTL INVT TR TREA PLUS INST| 16.83%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|2.ASSET|Bond|89.4|5.78|N/A| United States Treasury Notes 2.75% 15-FEB-2028| 6.47%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|3.ASSET|Bond|89.4|2.87|N/A| United States Treasury Notes 3.0% 31-OCT-2025| 3.21%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|4.ASSET|Bond|89.4|1.81|N/A| Bausch Health Companies Inc. 6.125% 01-FEB-2027| 2.03%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|5.ASSET|Bond|89.4|1.8|N/A| Iron Mountain Incorporated 4.875% 15-SEP-2027| 2.01%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|6.ASSET|Bond|89.4|1.79|N/A| Marathon Oil Corporation 4.4% 15-JUL-2027| 2.00%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|7.ASSET|Bond|89.4|1.78|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 1.99%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|8.ASSET|Bond|89.4|1.77|N/A| FS KKR Capital Corp. 4.25% 14-FEB-2025| 1.98%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|9.ASSET|Bond|89.4|1.75|N/A| HSBC Holdings Plc 4.375% 23-NOV-2026| 1.96%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|10.ASSET|Bond|89.4|1.74|N/A| CubeSmart LP 2.25% 15-DEC-2028| 1.95%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|11.ASSET|Bond|89.4|1.73|N/A| Dollar Tree, Inc. 2.65% 01-DEC-2031| 1.94%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|12.ASSET|Bond|89.4|1.73|N/A| Ford Motor Company 9.625% 22-APR-2030| 1.94%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|13.ASSET|Bond|89.4|1.73|N/A| Broadcom Inc. 3.137% 15-NOV-2035| 1.93%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|14.ASSET|Bond|89.4|1.68|N/A| United States Treasury Notes 2.875% 31-OCT-2023| 1.88%| North America|Bond|Total Bond Market|Total Bond Market|RFCI|6|15.ASSET|Bond|89.4|1.5|N/A| AT&T Inc. 2.55% 01-DEC-2033| 1.68%| North America|Multi-Asset|Diversified Portfolio||SPBC|6|1.ASSET|Multi-Asset|107.5|80.92|IVV| iShares Core S&P 500 ETF| 75.27%| North America|Multi-Asset|Diversified Portfolio||SPBC|6|2.ASSET|Multi-Asset|107.5|8.5|GBTC| Grayscale Bitcoin Trust| 7.91%| Developed Europe|Equity|Europe Equities||EWUS|6|1.ASSET|Equity|85.3|1.34|MGGT| Meggitt PLC| 1.57%| Developed Europe|Equity|Europe Equities||EWUS|6|2.ASSET|Equity|85.3|1.31|RMV| Rightmove plc| 1.54%| Developed Europe|Equity|Europe Equities||EWUS|6|3.ASSET|Equity|85.3|1.25|BME| B&M European Value Retail SA| 1.46%| Developed Europe|Equity|Europe Equities||EWUS|6|4.ASSET|Equity|85.3|1.16|HWDN| Howden Joinery Group PLC| 1.36%| Developed Europe|Equity|Europe Equities||EWUS|6|5.ASSET|Equity|85.3|1.13|ICP| Intermediate Capital Group plc| 1.33%| Developed Europe|Equity|Europe Equities||EWUS|6|6.ASSET|Equity|85.3|1.08|SMDS| DS Smith Plc| 1.27%| Developed Europe|Equity|Europe Equities||EWUS|6|7.ASSET|Equity|85.3|1.06|ECM| Electrocomponents plc| 1.24%| Developed Europe|Equity|Europe Equities||EWUS|6|8.ASSET|Equity|85.3|1.03|CNA| Centrica plc| 1.21%| Developed Europe|Equity|Europe Equities||EWUS|6|9.ASSET|Equity|85.3|1.02|DPH| Dechra Pharmaceuticals PLC| 1.20%| Developed Europe|Equity|Europe Equities||EWUS|6|10.ASSET|Equity|85.3|0.96|AVST| Avast Plc| 1.13%| Developed Europe|Equity|Europe Equities||EWUS|6|11.ASSET|Equity|85.3|0.94|WEIR| Weir Group PLC| 1.10%| Developed Europe|Equity|Europe Equities||EWUS|6|12.ASSET|Equity|85.3|0.92|BBOX| Tritax Big Box REIT Plc| 1.08%| Developed Europe|Equity|Europe Equities||EWUS|6|13.ASSET|Equity|85.3|0.91|ITV| ITV PLC| 1.07%| Developed Europe|Equity|Europe Equities||EWUS|6|14.ASSET|Equity|85.3|0.9|DLG| Direct Line Insurance Group Plc| 1.06%| Developed Europe|Equity|Europe Equities||EWUS|6|15.ASSET|Equity|85.3|0.9|IMI| IMI plc| 1.05%| North America|Bond|New York Munis|New York Munis|PZT|6|1.ASSET|Bond|112.5|4.37|N/A| New York St Dorm Auth St Pers Income Tax Rev 4.0% 15-FEB-2044| 3.88%| North America|Bond|New York Munis|New York Munis|PZT|6|2.ASSET|Bond|112.5|3.04|N/A| Triborough Brdg & Tunl Auth Ny Revs 5.0% 15-NOV-2051| 2.70%| North America|Bond|New York Munis|New York Munis|PZT|6|3.ASSET|Bond|112.5|3.04|N/A| Battery Pk City Auth N Y Rev 5.0% 01-NOV-2049| 2.70%| North America|Bond|New York Munis|New York Munis|PZT|6|4.ASSET|Bond|112.5|2.42|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2048| 2.15%| North America|Bond|New York Munis|New York Munis|PZT|6|5.ASSET|Bond|112.5|2.41|N/A| New York N Y 5.0% 01-OCT-2039| 2.14%| North America|Bond|New York Munis|New York Munis|PZT|6|6.ASSET|Bond|112.5|2.35|N/A| Utility Debt Securitization Auth N Y 5.0% 15-DEC-2038| 2.09%| North America|Bond|New York Munis|New York Munis|PZT|6|7.ASSET|Bond|112.5|2.26|N/A| New York N Y City Transitional Fin Auth Rev 4.0% 01-FEB-2043| 2.01%| North America|Bond|New York Munis|New York Munis|PZT|6|8.ASSET|Bond|112.5|2.24|N/A| Triborough Brdg & Tunl Auth N Y Payroll Mobilitytax 4.0% 15-MAY-2046| 1.99%| North America|Bond|New York Munis|New York Munis|PZT|6|9.ASSET|Bond|112.5|2.22|N/A| Brooklyn Arena Loc Dev Corp N Y Pilot Rev 5.0% 15-JUL-2042| 1.97%| North America|Bond|New York Munis|New York Munis|PZT|6|10.ASSET|Bond|112.5|2.21|N/A| New York St Urban Dev Corp St Sales Tax Rev 4.0% 15-MAR-2044| 1.96%| North America|Bond|New York Munis|New York Munis|PZT|6|11.ASSET|Bond|112.5|2.17|N/A| New York N Y 4.0% 01-DEC-2043| 1.93%| North America|Bond|New York Munis|New York Munis|PZT|6|12.ASSET|Bond|112.5|2.16|N/A| Long Island Pwr Auth N Y Elec Sys Rev 5.0% 01-SEP-2044| 1.92%| North America|Bond|New York Munis|New York Munis|PZT|6|13.ASSET|Bond|112.5|2.12|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 3.625% 15-JUN-2048| 1.88%| North America|Bond|New York Munis|New York Munis|PZT|6|14.ASSET|Bond|112.5|2.09|N/A| New York Convention Ctr Dev Corp N Y Rev 5.0% 15-NOV-2040| 1.86%| North America|Bond|New York Munis|New York Munis|PZT|6|15.ASSET|Bond|112.5|1.96|N/A| New York St Twy Auth Gen Rev 3.0% 01-JAN-2049| 1.74%| North America|Equity|All Cap Equities|Technology|WFH|6|1.ASSET|Equity|81.6|3.44|VG| Vonage Holdings Corp.| 4.21%| North America|Equity|All Cap Equities|Technology|WFH|6|2.ASSET|Equity|81.6|3.12|PANW| Palo Alto Networks, Inc.| 3.82%| North America|Equity|All Cap Equities|Technology|WFH|6|3.ASSET|Equity|81.6|2.93|AVGO| Broadcom Inc.| 3.59%| North America|Equity|All Cap Equities|Technology|WFH|6|4.ASSET|Equity|81.6|2.76|FTNT| Fortinet, Inc.| 3.38%| North America|Equity|All Cap Equities|Technology|WFH|6|5.ASSET|Equity|81.6|2.74|MRVL| Marvell Technology, Inc.| 3.36%| North America|Equity|All Cap Equities|Technology|WFH|6|6.ASSET|Equity|81.6|2.46|BOX| Box, Inc. Class A| 3.02%| North America|Equity|All Cap Equities|Technology|WFH|6|7.ASSET|Equity|81.6|2.45|MSFT| Microsoft Corporation| 3.00%| North America|Equity|All Cap Equities|Technology|WFH|6|8.ASSET|Equity|81.6|2.42|AMX| America Movil SAB de CV Sponsored ADR Class L| 2.97%| North America|Equity|All Cap Equities|Technology|WFH|6|9.ASSET|Equity|81.6|2.38|PRGS| Progress Software Corporation| 2.92%| North America|Equity|All Cap Equities|Technology|WFH|6|10.ASSET|Equity|81.6|2.34|CSCO| Cisco Systems, Inc.| 2.87%| North America|Equity|All Cap Equities|Technology|WFH|6|11.ASSET|Equity|81.6|2.3|POLY| Plantronics, Inc.| 2.82%| North America|Equity|All Cap Equities|Technology|WFH|6|12.ASSET|Equity|81.6|2.28|GOOGL| Alphabet Inc. Class A| 2.79%| North America|Equity|All Cap Equities|Technology|WFH|6|13.ASSET|Equity|81.6|2.27|ZS| Zscaler, Inc.| 2.78%| North America|Equity|All Cap Equities|Technology|WFH|6|14.ASSET|Equity|81.6|2.24|NTAP| NetApp, Inc.| 2.74%| North America|Equity|All Cap Equities|Technology|WFH|6|15.ASSET|Equity|81.6|2.24|WDAY| Workday, Inc. Class A| 2.74%| Global|Multi-Asset|Precious Metals||GLDI|6|1.ASSET|Multi-Asset|126|126|N/A| SPDR Gold Trust| 100.00%| |Commodity|Precious Metals||DBP|6|1.ASSET|Commodity|118.7|81.72|N/A| MUTUAL FUND (OTHER)| 68.85%| |Commodity|Precious Metals||DBP|6|2.ASSET|Commodity|118.7|15.22|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 12.82%| |Commodity|Precious Metals||DBP|6|3.ASSET|Commodity|118.7|11.61|CLTL| Invesco Treasury Collateral ETF| 9.78%| |Commodity|Precious Metals||DBP|6|4.ASSET|Commodity|118.7|5.08|N/A| United States Treasury Bills 0.0% 07-APR-2022| 4.28%| |Commodity|Precious Metals||DBP|6|5.ASSET|Commodity|118.7|5.07|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 4.27%| |Commodity|Precious Metals||DBP|6|6.ASSET|Commodity|118.7|0|N/A| U.S. Dollar| 0.00%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|1.ASSET|Bond|185.5|47.15|N/A| CORPORATE BOND| 25.42%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|2.ASSET|Bond|185.5|13|N/A| AGENCY BOND| 7.01%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|3.ASSET|Bond|185.5|12.19|N/A| Government of China 3.4% 17-APR-2023| 6.57%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|4.ASSET|Bond|185.5|8.2|N/A| U.S. Dollar| 4.42%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|5.ASSET|Bond|185.5|5.49|N/A| Government of China 3.27% 22-AUG-2046| 2.96%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|6.ASSET|Bond|185.5|3.9|N/A| China Development Bank 0.375% 16-NOV-2021| 2.10%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|7.ASSET|Bond|185.5|3.52|N/A| China Cinda Asset Management Co., Ltd. 4.75% 14-APR-2027| 1.90%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|8.ASSET|Bond|185.5|3.41|N/A| EQUITY OTHER| 1.84%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|9.ASSET|Bond|185.5|3.15|N/A| Government of China 3.27% 19-NOV-2030| 1.70%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|10.ASSET|Bond|185.5|2.93|N/A| Shandong Hi-speed Co., Ltd. 4.21% PERP| 1.58%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|11.ASSET|Bond|185.5|2.52|N/A| Beijing Haidian State Owned Capital Operation Co. Ltd. 3.7% 24-OCT-2024| 1.36%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|12.ASSET|Bond|185.5|2.47|N/A| China Development Bank 3.66% 01-MAR-2031| 1.33%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|13.ASSET|Bond|185.5|2.21|N/A| Xiamen C&D Corp. Ltd. 4.14% 17-DEC-2022| 1.19%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|14.ASSET|Bond|185.5|2.08|N/A| Agricultural Development Bank of China 3.74% 12-JUL-2029| 1.12%| Emerging Asia Pacific|Bond|Emerging Markets Bonds|China Bonds|CBON|6|15.ASSET|Bond|185.5|2.06|N/A| China Development Bank 3.3% 03-MAR-2026| 1.11%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|1.ASSET|Equity|159.5|16.8|SMPH| SM Prime Holdings, Inc.| 10.53%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|2.ASSET|Equity|159.5|13.14|ALI| Ayala Land Inc.| 8.24%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|3.ASSET|Equity|159.5|9.78|AC| Ayala Corp.| 6.13%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|4.ASSET|Equity|159.5|9.71|BDO| BDO Unibank, Inc.| 6.09%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|5.ASSET|Equity|159.5|9.25|SM| SM Investments Corporation| 5.80%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|6.ASSET|Equity|159.5|7.27|JGS| JG Summit Holdings Inc.| 4.56%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|7.ASSET|Equity|159.5|7.21|ICT| International Container Terminal Services, Inc.| 4.52%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|8.ASSET|Equity|159.5|7.1|BPI| Bank of the Philippine Islands| 4.45%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|9.ASSET|Equity|159.5|6.81|TEL| PLDT, Inc.| 4.27%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|10.ASSET|Equity|159.5|5.53|AEV| Aboitiz Equity Ventures Inc.| 3.47%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|11.ASSET|Equity|159.5|5.53|MBT| Metropolitan Bank & Trust Co.| 3.47%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|12.ASSET|Equity|159.5|5.5|JFC| Jollibee Foods Corp.| 3.45%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|13.ASSET|Equity|159.5|4.63|MER| Manila Electric Co.| 2.90%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|14.ASSET|Equity|159.5|3.86|URC| Universal Robina Corp.| 2.42%| Emerging Asia Pacific|Equity|Asia Pacific Equities||EPHE|6|15.ASSET|Equity|159.5|3.65|GLO| Globe Telecom Inc.| 2.29%| North America|Equity|Communications Equities|Technology|IGN|6|1.ASSET|Equity|132.3|11.83|CSCO| Cisco Systems, Inc.| 8.94%| North America|Equity|Communications Equities|Technology|IGN|6|2.ASSET|Equity|132.3|11.66|CIEN| Ciena Corporation| 8.81%| North America|Equity|Communications Equities|Technology|IGN|6|3.ASSET|Equity|132.3|11.42|ANET| Arista Networks, Inc.| 8.63%| North America|Equity|Communications Equities|Technology|IGN|6|4.ASSET|Equity|132.3|10.78|FFIV| F5, Inc.| 8.15%| North America|Equity|Communications Equities|Technology|IGN|6|5.ASSET|Equity|132.3|10.4|MSI| Motorola Solutions, Inc.| 7.86%| North America|Equity|Communications Equities|Technology|IGN|6|6.ASSET|Equity|132.3|6.67|JNPR| Juniper Networks, Inc.| 5.04%| North America|Equity|Communications Equities|Technology|IGN|6|7.ASSET|Equity|132.3|6.62|LITE| Lumentum Holdings, Inc.| 5.00%| North America|Equity|Communications Equities|Technology|IGN|6|8.ASSET|Equity|132.3|6.54|VIAV| Viavi Solutions Inc| 4.94%| North America|Equity|Communications Equities|Technology|IGN|6|9.ASSET|Equity|132.3|6.46|VSAT| ViaSat, Inc.| 4.88%| North America|Equity|Communications Equities|Technology|IGN|6|10.ASSET|Equity|132.3|6.28|INFN| Infinera Corporation| 4.75%| North America|Equity|Communications Equities|Technology|IGN|6|11.ASSET|Equity|132.3|6.24|NTCT| NetScout Systems, Inc.| 4.72%| North America|Equity|Communications Equities|Technology|IGN|6|12.ASSET|Equity|132.3|5.21|UI| Ubiquiti Inc.| 3.94%| North America|Equity|Communications Equities|Technology|IGN|6|13.ASSET|Equity|132.3|5.11|COMM| CommScope Holding Co., Inc.| 3.86%| North America|Equity|Communications Equities|Technology|IGN|6|14.ASSET|Equity|132.3|5.08|CALX| Calix, Inc.| 3.84%| North America|Equity|Communications Equities|Technology|IGN|6|15.ASSET|Equity|132.3|4.72|EXTR| Extreme Networks, Inc.| 3.57%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|1.ASSET|Bond|104.5|10.61|Other| BlackRock Funds III Instl Money Mkt Fund| 10.15%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|2.ASSET|Bond|104.5|4.04|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-OCT-2051| 3.87%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|3.ASSET|Bond|104.5|2.78|N/A| UMBS TBA 30yr 2% February Delivery 2.000% 01-OCT-2051| 2.66%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|4.ASSET|Bond|104.5|2.37|N/A| UMBS TBA 15yr 2% February Delivery 2.000% 01-OCT-2036| 2.27%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|5.ASSET|Bond|104.5|2.32|N/A| UMBS TBA 30yr 2.5% March Delivery 2.500% 01-OCT-2051| 2.22%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|6.ASSET|Bond|104.5|2.29|N/A| GNMA II TBA 30yr 2.5% February Delivery 2.500% 01-FEB-2051| 2.19%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|7.ASSET|Bond|104.5|1.96|N/A| UMBS TBA 30yr 2.5% February Delivery 2.500% 01-OCT-2051| 1.88%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|8.ASSET|Bond|104.5|1.94|N/A| GNMA II TBA 30yr 2% February Delivery 2.000% 01-AUG-2051| 1.86%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|9.ASSET|Bond|104.5|1.93|N/A| UMBS TBA 15yr 1.5% February Delivery 1.500% 01-NOV-2036| 1.85%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|10.ASSET|Bond|104.5|1.55|N/A| CORPORATE BOND| 1.48%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|11.ASSET|Bond|104.5|1.54|N/A| UMBS TBA 30yr 3.5% March Delivery 3.500% 01-AUG-2048| 1.47%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|12.ASSET|Bond|104.5|1.39|N/A| FHLMC 30yr Pool#SD8146 2.000% 01-May-2051 2.0% 01-MAY-2051| 1.33%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|13.ASSET|Bond|104.5|1.25|N/A| UMBS TBA 30yr 1.5% March Delivery 1.500% 01-AUG-2051| 1.20%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|14.ASSET|Bond|104.5|1.18|N/A| FHLMC 30yr Pool#QA9345 3.000% 01-May-2050 3.0% 01-MAY-2050| 1.13%| North America|Bond|Total Bond Market|Total Bond Market|FIBR|6|15.ASSET|Bond|104.5|1.17|N/A| MORTGAGE-BACKED SECURITIES| 1.12%| North America|Bond|California Munis|California Munis|FCAL|6|1.ASSET|Bond|121.3|9.19|N/A| U.S. Dollar| 7.58%| North America|Bond|California Munis|California Munis|FCAL|6|2.ASSET|Bond|121.3|2.24|N/A| MUNICIPAL BONDS| 1.85%| North America|Bond|California Munis|California Munis|FCAL|6|3.ASSET|Bond|121.3|1.88|N/A| Cscda Cmnty Impt Auth Calif Essential Hsg Rev 4.0% 01-JUL-2056| 1.55%| North America|Bond|California Munis|California Munis|FCAL|6|4.ASSET|Bond|121.3|1.81|N/A| South San Francisco Calif Pub Facs Fing Auth Lease Rev 4.0% 01-JUN-2043| 1.49%| North America|Bond|California Munis|California Munis|FCAL|6|5.ASSET|Bond|121.3|1.66|N/A| Rocklin Calif Uni Sch Dist Cmnty Facs Dist Spl Tax 4.0% 15-SEP-2037| 1.37%| North America|Bond|California Munis|California Munis|FCAL|6|6.ASSET|Bond|121.3|1.65|N/A| Santa Ana Calif Uni Sch Dist 4.0% 01-AUG-2048| 1.36%| North America|Bond|California Munis|California Munis|FCAL|6|7.ASSET|Bond|121.3|1.37|N/A| Puerto Rico Sales Tax Fing Corp Sales Tax Rev 4.5% 01-JUL-2034| 1.13%| North America|Bond|California Munis|California Munis|FCAL|6|8.ASSET|Bond|121.3|1.31|N/A| Marysville Calif Jt Uni Sch Dist Ctfs Partn 4.0% 01-JUN-2039| 1.08%| North America|Bond|California Munis|California Munis|FCAL|6|9.ASSET|Bond|121.3|1.23|N/A| California Statewide Cmntys Dev Auth Statewide Cmnty Infrast Ructure Program Rev 4.0% 02-SEP-2031| 1.01%| North America|Bond|California Munis|California Munis|FCAL|6|10.ASSET|Bond|121.3|1.19|N/A| Lancaster Calif Fing Auth Rev 4.0% 01-JUN-2035| 0.98%| North America|Bond|California Munis|California Munis|FCAL|6|11.ASSET|Bond|121.3|1.15|N/A| Tobacco Securitization Auth Southn Calif Tob Settlement Rev 5.0% 01-JUN-2037| 0.95%| North America|Bond|California Munis|California Munis|FCAL|6|12.ASSET|Bond|121.3|1.15|N/A| Tobacco Securitization Auth Southn Calif Tob Settlement Rev 5.0% 01-JUN-2038| 0.95%| North America|Bond|California Munis|California Munis|FCAL|6|13.ASSET|Bond|121.3|1.15|N/A| Riverside Cnty Calif Transn Commn Toll Rev 4.0% 01-JUN-2040| 0.95%| North America|Bond|California Munis|California Munis|FCAL|6|14.ASSET|Bond|121.3|1.14|N/A| Transbay Jt Pwrs Auth Tax Allocation Calif 5.0% 01-OCT-2039| 0.94%| North America|Bond|California Munis|California Munis|FCAL|6|15.ASSET|Bond|121.3|1.13|N/A| California Mun Fin Auth Student Hsg Rev 5.0% 15-MAY-2038| 0.93%| North America|Equity|Energy Equities|Energy|IEZ|6|1.ASSET|Equity|231.9|52.15|SLB| Schlumberger NV| 22.49%| North America|Equity|Energy Equities|Energy|IEZ|6|2.ASSET|Equity|231.9|47.75|BKR| Baker Hughes Company Class A| 20.59%| North America|Equity|Energy Equities|Energy|IEZ|6|3.ASSET|Equity|231.9|12.82|HP| Helmerich & Payne, Inc.| 5.53%| North America|Equity|Energy Equities|Energy|IEZ|6|4.ASSET|Equity|231.9|11.62|HAL| Halliburton Company| 5.01%| North America|Equity|Energy Equities|Energy|IEZ|6|5.ASSET|Equity|231.9|10.44|PTEN| Patterson-UTI Energy, Inc.| 4.50%| North America|Equity|Energy Equities|Energy|IEZ|6|6.ASSET|Equity|231.9|10.44|NOV| NOV Inc.| 4.50%| North America|Equity|Energy Equities|Energy|IEZ|6|7.ASSET|Equity|231.9|9.83|WHD| Cactus, Inc. Class A| 4.24%| North America|Equity|Energy Equities|Energy|IEZ|6|8.ASSET|Equity|231.9|9.25|VAL| Valaris Ltd.| 3.99%| North America|Equity|Energy Equities|Energy|IEZ|6|9.ASSET|Equity|231.9|8.44|FTI| TechnipFMC Plc| 3.64%| North America|Equity|Energy Equities|Energy|IEZ|6|10.ASSET|Equity|231.9|7.75|CHX| ChampionX Corporation| 3.34%| North America|Equity|Energy Equities|Energy|IEZ|6|11.ASSET|Equity|231.9|7.49|RIG| Transocean Ltd.| 3.23%| North America|Equity|Energy Equities|Energy|IEZ|6|12.ASSET|Equity|231.9|4.8|OII| Oceaneering International, Inc.| 2.07%| North America|Equity|Energy Equities|Energy|IEZ|6|13.ASSET|Equity|231.9|4.36|CLB| Core Laboratories NV| 1.88%| North America|Equity|Energy Equities|Energy|IEZ|6|14.ASSET|Equity|231.9|4.24|LBRT| Liberty Oilfield Services Inc. Class A| 1.83%| North America|Equity|Energy Equities|Energy|IEZ|6|15.ASSET|Equity|231.9|4.15|NEX| NexTier Oilfield Solutions, Inc.| 1.79%| North America|Equity|Mid Cap Growth Equities||BKMC|6|1.ASSET|Equity|110.4|0.63|CNC| Centene Corporation| 0.57%| North America|Equity|Mid Cap Growth Equities||BKMC|6|2.ASSET|Equity|110.4|0.57|SYY| Sysco Corporation| 0.52%| North America|Equity|Mid Cap Growth Equities||BKMC|6|3.ASSET|Equity|110.4|0.56|ADM| Archer-Daniels-Midland Company| 0.51%| North America|Equity|Mid Cap Growth Equities||BKMC|6|4.ASSET|Equity|110.4|0.54|OXY| Occidental Petroleum Corporation| 0.49%| North America|Equity|Mid Cap Growth Equities||BKMC|6|5.ASSET|Equity|110.4|0.54|BAX| Baxter International Inc.| 0.49%| North America|Equity|Mid Cap Growth Equities||BKMC|6|6.ASSET|Equity|110.4|0.53|DDOG| Datadog Inc Class A| 0.48%| North America|Equity|Mid Cap Growth Equities||BKMC|6|7.ASSET|Equity|110.4|0.53|MCK| McKesson Corporation| 0.48%| North America|Equity|Mid Cap Growth Equities||BKMC|6|8.ASSET|Equity|110.4|0.51|HLT| Hilton Worldwide Holdings Inc| 0.46%| North America|Equity|Mid Cap Growth Equities||BKMC|6|9.ASSET|Equity|110.4|0.51|GIS| General Mills, Inc.| 0.46%| North America|Equity|Mid Cap Growth Equities||BKMC|6|10.ASSET|Equity|110.4|0.5|NUE| Nucor Corporation| 0.45%| North America|Equity|Mid Cap Growth Equities||BKMC|6|11.ASSET|Equity|110.4|0.5|AZO| AutoZone, Inc.| 0.45%| North America|Equity|Mid Cap Growth Equities||BKMC|6|12.ASSET|Equity|110.4|0.5|HPQ| HP Inc.| 0.45%| North America|Equity|Mid Cap Growth Equities||BKMC|6|13.ASSET|Equity|110.4|0.5|WMB| Williams Companies, Inc.| 0.45%| North America|Equity|Mid Cap Growth Equities||BKMC|6|14.ASSET|Equity|110.4|0.5|DD| DuPont de Nemours, Inc.| 0.45%| North America|Equity|Mid Cap Growth Equities||BKMC|6|15.ASSET|Equity|110.4|0.49|O| Realty Income Corporation| 0.44%| Developed Markets|Equity|Global Equities||GXTG|6|1.ASSET|Equity|96.7|23.04|LIT| Global X Lithium & Battery Tech ETF| 23.83%| Developed Markets|Equity|Global Equities||GXTG|6|2.ASSET|Equity|96.7|14.77|FINX| Global X FinTech ETF| 15.27%| Developed Markets|Equity|Global Equities||GXTG|6|3.ASSET|Equity|96.7|14.4|CLOU| Global X Cloud Computing ETF| 14.89%| Developed Markets|Equity|Global Equities||GXTG|6|4.ASSET|Equity|96.7|14.19|SOCL| Global X Social Media ETF| 14.67%| Developed Markets|Equity|Global Equities||GXTG|6|5.ASSET|Equity|96.7|8.29|RNRG| Global X Funds Global X Renewable Energy Producers ETF| 8.57%| Developed Markets|Equity|Global Equities||GXTG|6|6.ASSET|Equity|96.7|7.82|BOTZ| Global X Robotics & Artificial Intelligence ETF| 8.09%| Developed Markets|Equity|Global Equities||GXTG|6|7.ASSET|Equity|96.7|7.48|GNOM| Global X Genomics & Biotechnology ETF| 7.74%| Developed Markets|Equity|Global Equities||GXTG|6|8.ASSET|Equity|96.7|6.6|POTX| Global X Cannabis ETF| 6.83%| Developed Markets|Equity|Global Equities||GXTG|6|9.ASSET|Equity|96.7|0.11|N/A| U.S. Dollar| 0.11%| |Equity|Large Cap Blend Equities||FMAY|6|1.ASSET|Equity|120.4|0|N/A| Cash Component| 0.00%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|1.ASSET|Equity|69|37.48|N/A| U.S. Dollar| 54.32%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|2.ASSET|Equity|69|4.26|MAPS| WM Technology, Inc. Class A| 6.17%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|3.ASSET|Equity|69|4.2|TLRY| Tilray Brands, Inc.| 6.09%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|4.ASSET|Equity|69|3.53|AFCG| AFC Gamma, Inc.| 5.12%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|5.ASSET|Equity|69|3.35|VFF| Village Farms International, Inc.| 4.85%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|6.ASSET|Equity|69|2.4|WEED| Canopy Growth Corporation| 3.48%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|7.ASSET|Equity|69|2.24|RIV| RIV Capital, Inc. Class A| 3.24%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|8.ASSET|Equity|69|2.22|JAZZ| Jazz Pharmaceuticals Public Limited Company| 3.22%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|9.ASSET|Equity|69|2.18|CARA| Cara Therapeutics Inc| 3.16%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|10.ASSET|Equity|69|2.16|HYFM| Hydrofarm Holdings Group, Inc.| 3.13%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|11.ASSET|Equity|69|1.69|GRWG| GrowGeneration Corp.| 2.45%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|12.ASSET|Equity|69|1.55|SSIC| Silver Spike Investment Corp.| 2.24%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|13.ASSET|Equity|69|1.49|CRON| Cronos Group Inc| 2.16%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|14.ASSET|Equity|69|1.37|IIPR| Innovative Industrial Properties Inc| 1.99%| North America|Equity|Small Cap Blend Equities|Healthcare|CNBS|6|15.ASSET|Equity|69|1.11|VLNS| Valens Company Inc| 1.61%| North America|Equity|Leveraged Equities|Technology|SOXS|6|1.ASSET|Equity|169.9|118.11|N/A| U.S. Dollar| 69.52%| North America|Equity|Leveraged Equities|Technology|SOXS|6|2.ASSET|Equity|169.9|20.98|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 12.35%| North America|Equity|Leveraged Equities|Technology|SOXS|6|3.ASSET|Equity|169.9|17.35|N/A| MUTUAL FUND (OTHER)| 10.21%| North America|Equity|Leveraged Equities|Technology|SOXS|6|4.ASSET|Equity|169.9|9.48|DGCXX| Dreyfus Government Cash Management Funds Institutional| 5.58%| North America|Equity|Leveraged Equities|Technology|SOXS|6|5.ASSET|Equity|169.9|3.98|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 2.34%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|1.ASSET|Equity|50.6|6.36|700| Tencent Holdings Ltd.| 12.56%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|2.ASSET|Equity|50.6|5.92|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 11.69%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|3.ASSET|Equity|50.6|4.27|3690| Meituan Class B| 8.43%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|4.ASSET|Equity|50.6|3.05|SHOP| Shopify, Inc. Class A| 6.03%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|5.ASSET|Equity|50.6|3.01|JD| JD.com, Inc. Sponsored ADR Class A| 5.95%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|6.ASSET|Equity|50.6|2.8|ADYEN| Adyen NV| 5.54%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|7.ASSET|Equity|50.6|2.45|PRX| Prosus N.V. Class N| 4.85%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|8.ASSET|Equity|50.6|2.13|BIDU| Baidu Inc Sponsored ADR Class A| 4.20%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|9.ASSET|Equity|50.6|2.03|TEAM| Atlassian Corp. Plc Class A| 4.01%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|10.ASSET|Equity|50.6|1.83|035420| NAVER Corp.| 3.61%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|11.ASSET|Equity|50.6|1.8|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 3.56%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|12.ASSET|Equity|50.6|1.61|NTES| NetEase, Inc. Sponsored ADR| 3.18%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|13.ASSET|Equity|50.6|1.25|NPN| Naspers Limited Class N| 2.48%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|14.ASSET|Equity|50.6|1.15|035720| Kakao Corp.| 2.27%| Broad Asia|Equity|Large Cap Growth Equities||FDNI|6|15.ASSET|Equity|50.6|1|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 1.97%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|1.ASSET|Bond|84.2|0.87|N/A| CORPORATE BOND| 1.03%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|2.ASSET|Bond|84.2|0.51|N/A| Industrial and Commercial Bank of China Limited 3.2% PERP| 0.60%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|3.ASSET|Bond|84.2|0.35|N/A| SoftBank Group Corp. 6.25% 15-APR-2028| 0.42%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|4.ASSET|Bond|84.2|0.31|N/A| Petroleos Mexicanos SA 7.69% 23-JAN-2050| 0.37%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|5.ASSET|Bond|84.2|0.31|N/A| Sasol Financing USA LLC 5.875% 27-MAR-2024| 0.37%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|6.ASSET|Bond|84.2|0.3|N/A| Iliad Holding SAS 6.5% 15-OCT-2026| 0.36%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|7.ASSET|Bond|84.2|0.28|N/A| Vodafone Group PLC Notes 2019-04.04.79 Global Fixed/Floating Rate| 0.33%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|8.ASSET|Bond|84.2|0.25|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.30%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|9.ASSET|Bond|84.2|0.25|N/A| Electricite de France SA 5.625% PERP| 0.30%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|10.ASSET|Bond|84.2|0.24|N/A| Bellis Acquisition Co. Plc 3.25% 16-FEB-2026| 0.29%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|11.ASSET|Bond|84.2|0.24|N/A| SoftBank Group Corp. 6.0% PERP| 0.29%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|12.ASSET|Bond|84.2|0.24|N/A| Intesa Sanpaolo S.p.A. 6.625% 13-SEP-2023| 0.29%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|13.ASSET|Bond|84.2|0.24|N/A| Dufry One BV 2.5% 15-OCT-2024| 0.29%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|14.ASSET|Bond|84.2|0.24|N/A| Unipol Gruppo S.p.A. 3.0% 18-MAR-2025| 0.28%| Global|Bond|High Yield Bonds|International Corporate|IHY|6|15.ASSET|Bond|84.2|0.24|N/A| EDP-Energias de Portugal SA 4.496% 30-APR-2079| 0.28%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|1.ASSET|Bond|119.4|2.9|N/A| GNMA II 30yr Generic 7% 1985 1.500% 01-NOV-2051| 2.43%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|2.ASSET|Bond|119.4|2.77|N/A| GNMA I 30yr Pool#667387 4.500% 15-May-2039 4.5% 15-MAY-2039| 2.32%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|3.ASSET|Bond|119.4|2.71|N/A| GNMA I 30yr Pool#785274 3.500% 15-Jun-2046 3.5% 15-JUN-2046| 2.27%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|4.ASSET|Bond|119.4|2.56|N/A| GNMA I 30yr Pool#784371 4.000% 15-Aug-2045 4.0% 15-AUG-2045| 2.14%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|5.ASSET|Bond|119.4|1.96|N/A| GNMA I 30yr Pool#710994 5.000% 15-Nov-2039 5.0% 15-NOV-2039| 1.64%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|6.ASSET|Bond|119.4|1.87|N/A| GNMA II 30yr Pool#MA6819 2.500% 20-Aug-2050 2.5% 20-AUG-2050| 1.57%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|7.ASSET|Bond|119.4|1.74|N/A| FNMA 30yr Pool#BM1948 6.000% 01-Jul-2041 6.0% 01-JUL-2041| 1.46%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|8.ASSET|Bond|119.4|1.54|N/A| FHLMC 20yr Pool#C91714 3.000% 01-Jul-2033 3.0% 01-JUL-2033| 1.29%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|9.ASSET|Bond|119.4|1.54|N/A| FNMA 30yr Pool#FM6475 2.500% 01-Jul-2049 2.5% 01-JUL-2049| 1.29%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|10.ASSET|Bond|119.4|1.43|N/A| FNMA 30yr Pool#BM4414 6.000% 01-Jun-2041 6.0% 01-JUN-2041| 1.20%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|11.ASSET|Bond|119.4|1.41|N/A| FNMA 30yr Pool#CA1182 3.500% 01-Feb-2048 3.5% 01-FEB-2048| 1.18%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|12.ASSET|Bond|119.4|1.37|N/A| FHLMC 15yr Pool#SB8088 1.500% 01-Feb-2036 1.5% 01-FEB-2036| 1.15%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|13.ASSET|Bond|119.4|1.37|N/A| FNMA 15yr Pool#MA4535 1.500% 01-Feb-2037 1.5% 01-FEB-2037| 1.15%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|14.ASSET|Bond|119.4|1.36|N/A| FHLMC 30yr Pool#SD0615 4.500% 01-Jan-2051 4.5% 01-JAN-2051| 1.14%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MBSD|6|15.ASSET|Bond|119.4|1.33|N/A| FNMA 20yr Pool#MA1527 3.000% 01-Aug-2033 3.0% 01-AUG-2033| 1.11%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|1.ASSET|Bond|100.2|7.08|N/A| MUNICIPAL BONDS| 7.07%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|2.ASSET|Bond|100.2|7.05|N/A| MUNICIPAL BONDS| 7.04%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|3.ASSET|Bond|100.2|6.17|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 6.16%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|4.ASSET|Bond|100.2|6.16|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 6.15%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|5.ASSET|Bond|100.2|5.29|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 5.28%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|6.ASSET|Bond|100.2|5.26|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 5.25%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|7.ASSET|Bond|100.2|2.68|N/A| Louisiana Loc Govt Environmental Facs & Cmnty Dev Auth Rev 2.5% 01-APR-2036| 2.67%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|8.ASSET|Bond|100.2|2.67|N/A| Louisiana Loc Govt Environmental Facs & Cmnty Dev Auth Rev 2.5% 01-APR-2036| 2.66%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|9.ASSET|Bond|100.2|1.79|N/A| Goldman Sachs Group, Inc. FRN 08-MAR-2024| 1.79%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|10.ASSET|Bond|100.2|1.78|N/A| Goldman Sachs Group, Inc. FRN 08-MAR-2024| 1.78%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|11.ASSET|Bond|100.2|1.75|N/A| Illinois Hsg Dev Auth Rev 3.75% 01-APR-2050| 1.75%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|12.ASSET|Bond|100.2|1.74|N/A| Illinois Hsg Dev Auth Rev 3.75% 01-APR-2050| 1.74%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|13.ASSET|Bond|100.2|1.72|N/A| Kentucky Inc Ky Pub Energy Auth Gas Suplly Rev VAR 01-FEB-2050| 1.72%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|14.ASSET|Bond|100.2|1.72|N/A| Kentucky Inc Ky Pub Energy Auth Gas Suplly Rev VAR 01-FEB-2050| 1.72%| North America|Bond|Total Bond Market|Total Bond Market|HTAB|6|15.ASSET|Bond|100.2|1.71|N/A| Main Str Nat Gas Inc Ga Gas Supply Rev VAR 01-MAR-2050| 1.71%| North America|Equity|Large Cap Blend Equities||EQWL|6|1.ASSET|Equity|124.3|1.74|LMT| Lockheed Martin Corporation| 1.40%| North America|Equity|Large Cap Blend Equities||EQWL|6|2.ASSET|Equity|124.3|1.74|COP| ConocoPhillips| 1.40%| North America|Equity|Large Cap Blend Equities||EQWL|6|3.ASSET|Equity|124.3|1.67|CVX| Chevron Corporation| 1.34%| North America|Equity|Large Cap Blend Equities||EQWL|6|4.ASSET|Equity|124.3|1.65|XOM| Exxon Mobil Corporation| 1.33%| North America|Equity|Large Cap Blend Equities||EQWL|6|5.ASSET|Equity|124.3|1.6|BMY| Bristol-Myers Squibb Company| 1.29%| North America|Equity|Large Cap Blend Equities||EQWL|6|6.ASSET|Equity|124.3|1.57|RTX| Raytheon Technologies Corporation| 1.26%| North America|Equity|Large Cap Blend Equities||EQWL|6|7.ASSET|Equity|124.3|1.54|ABBV| AbbVie, Inc.| 1.24%| North America|Equity|Large Cap Blend Equities||EQWL|6|8.ASSET|Equity|124.3|1.5|GD| General Dynamics Corporation| 1.21%| North America|Equity|Large Cap Blend Equities||EQWL|6|9.ASSET|Equity|124.3|1.5|MO| Altria Group Inc| 1.21%| North America|Equity|Large Cap Blend Equities||EQWL|6|10.ASSET|Equity|124.3|1.49|KHC| Kraft Heinz Company| 1.20%| North America|Equity|Large Cap Blend Equities||EQWL|6|11.ASSET|Equity|124.3|1.48|PM| Philip Morris International Inc.| 1.19%| North America|Equity|Large Cap Blend Equities||EQWL|6|12.ASSET|Equity|124.3|1.45|BRK.B| Berkshire Hathaway Inc. Class B| 1.17%| North America|Equity|Large Cap Blend Equities||EQWL|6|13.ASSET|Equity|124.3|1.45|EXC| Exelon Corporation| 1.17%| North America|Equity|Large Cap Blend Equities||EQWL|6|14.ASSET|Equity|124.3|1.44|KO| Coca-Cola Company| 1.16%| North America|Equity|Large Cap Blend Equities||EQWL|6|15.ASSET|Equity|124.3|1.4|AMGN| Amgen Inc.| 1.13%| North America|Equity|All Cap Equities||VFMF|6|1.ASSET|Equity|155.1|1.92|CVX| Chevron Corporation| 1.24%| North America|Equity|All Cap Equities||VFMF|6|2.ASSET|Equity|155.1|1.71|MO| Altria Group Inc| 1.10%| North America|Equity|All Cap Equities||VFMF|6|3.ASSET|Equity|155.1|1.71|EOG| EOG Resources, Inc.| 1.10%| North America|Equity|All Cap Equities||VFMF|6|4.ASSET|Equity|155.1|1.57|GOOGL| Alphabet Inc. Class A| 1.01%| North America|Equity|All Cap Equities||VFMF|6|5.ASSET|Equity|155.1|1.57|XOM| Exxon Mobil Corporation| 1.01%| North America|Equity|All Cap Equities||VFMF|6|6.ASSET|Equity|155.1|1.55|FCX| Freeport-McMoRan, Inc.| 1.00%| North America|Equity|All Cap Equities||VFMF|6|7.ASSET|Equity|155.1|1.47|PFE| Pfizer Inc.| 0.95%| North America|Equity|All Cap Equities||VFMF|6|8.ASSET|Equity|155.1|1.4|BK| Bank of New York Mellon Corporation| 0.90%| North America|Equity|All Cap Equities||VFMF|6|9.ASSET|Equity|155.1|1.35|ABBV| AbbVie, Inc.| 0.87%| North America|Equity|All Cap Equities||VFMF|6|10.ASSET|Equity|155.1|1.3|HCA| HCA Healthcare Inc| 0.84%| North America|Equity|All Cap Equities||VFMF|6|11.ASSET|Equity|155.1|1.29|ANTM| Anthem, Inc.| 0.83%| North America|Equity|All Cap Equities||VFMF|6|12.ASSET|Equity|155.1|1.26|BAC| Bank of America Corp| 0.81%| North America|Equity|All Cap Equities||VFMF|6|13.ASSET|Equity|155.1|1.26|REGN| Regeneron Pharmaceuticals, Inc.| 0.81%| North America|Equity|All Cap Equities||VFMF|6|14.ASSET|Equity|155.1|1.24|MU| Micron Technology, Inc.| 0.80%| North America|Equity|All Cap Equities||VFMF|6|15.ASSET|Equity|155.1|1.23|LOW| Lowe\'s Companies, Inc.| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|1.ASSET|Equity|114.2|1.45|BHP| BHP Group Ltd| 1.27%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|2.ASSET|Equity|114.2|0.89|AMS| Anglo American Platinum Limited| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|3.ASSET|Equity|114.2|0.88|WPL| Woodside Petroleum Ltd| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|4.ASSET|Equity|114.2|0.82|HO| Thales SA| 0.72%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|5.ASSET|Equity|114.2|0.81|1605| INPEX CORPORATION| 0.71%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|6.ASSET|Equity|114.2|0.8|PTTEP.R| PTT Exploration & Production Plc NVDR| 0.70%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|7.ASSET|Equity|114.2|0.79|SQM| Sociedad Quimica Y Minera De Chile S.A. Sponsored ADR Pfd Class B| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|8.ASSET|Equity|114.2|0.79|MTN| MTN Group Limited| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|9.ASSET|Equity|114.2|0.79|NHY| Norsk Hydro ASA| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|10.ASSET|Equity|114.2|0.79|B3SA3| B3 SA - Brasil, Bolsa, Balcao| 0.69%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|11.ASSET|Equity|114.2|0.77|EC| Ecopetrol SA Sponsored ADR| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|12.ASSET|Equity|114.2|0.75|SBK| Standard Bank Group Limited| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|13.ASSET|Equity|114.2|0.75|RIO| Rio Tinto Limited| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|14.ASSET|Equity|114.2|0.74|688| China Overseas Land & Investment Limited| 0.65%| Developed Markets|Equity|Foreign Large Cap Equities||WWJD|6|15.ASSET|Equity|114.2|0.74|RIO| Rio Tinto plc| 0.65%| North America|Equity|Technology Equities|Technology|TDV|6|1.ASSET|Equity|111.4|3.24|POWI| Power Integrations, Inc.| 2.91%| North America|Equity|Technology Equities|Technology|TDV|6|2.ASSET|Equity|111.4|3.2|GLW| Corning Inc| 2.87%| North America|Equity|Technology Equities|Technology|TDV|6|3.ASSET|Equity|111.4|3.14|CSGS| CSG Systems International, Inc.| 2.82%| North America|Equity|Technology Equities|Technology|TDV|6|4.ASSET|Equity|111.4|3.13|PETS| PetMed Express, Inc.| 2.81%| North America|Equity|Technology Equities|Technology|TDV|6|5.ASSET|Equity|111.4|3.12|JKHY| Jack Henry & Associates, Inc.| 2.80%| North America|Equity|Technology Equities|Technology|TDV|6|6.ASSET|Equity|111.4|3.1|BMI| Badger Meter, Inc.| 2.78%| North America|Equity|Technology Equities|Technology|TDV|6|7.ASSET|Equity|111.4|3.02|AVGO| Broadcom Inc.| 2.71%| North America|Equity|Technology Equities|Technology|TDV|6|8.ASSET|Equity|111.4|3|AVT| Avnet, Inc.| 2.69%| North America|Equity|Technology Equities|Technology|TDV|6|9.ASSET|Equity|111.4|2.92|CASS| Cass Information Systems, Inc.| 2.62%| North America|Equity|Technology Equities|Technology|TDV|6|10.ASSET|Equity|111.4|2.86|QCOM| Qualcomm Inc| 2.57%| North America|Equity|Technology Equities|Technology|TDV|6|11.ASSET|Equity|111.4|2.85|AAPL| Apple Inc.| 2.56%| North America|Equity|Technology Equities|Technology|TDV|6|12.ASSET|Equity|111.4|2.84|ADI| Analog Devices, Inc.| 2.55%| North America|Equity|Technology Equities|Technology|TDV|6|13.ASSET|Equity|111.4|2.84|HPQ| HP Inc.| 2.55%| North America|Equity|Technology Equities|Technology|TDV|6|14.ASSET|Equity|111.4|2.81|ATVI| Activision Blizzard, Inc.| 2.52%| North America|Equity|Technology Equities|Technology|TDV|6|15.ASSET|Equity|111.4|2.81|PAYX| Paychex, Inc.| 2.52%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|1.ASSET|Equity|131.3|7.14|NESN| Nestle S.A.| 5.44%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|2.ASSET|Equity|131.3|6.91|ROG| Roche Holding Ltd| 5.26%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|3.ASSET|Equity|131.3|5.88|ASML| ASML Holding NV| 4.48%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|4.ASSET|Equity|131.3|5.27|NOVO.B| Novo Nordisk A/S Class B| 4.01%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|5.ASSET|Equity|131.3|4.35|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.31%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|6.ASSET|Equity|131.3|2.97|ULVR| Unilever PLC| 2.26%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|7.ASSET|Equity|131.3|2.88|DGE| Diageo plc| 2.19%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|8.ASSET|Equity|131.3|2.73|SAP| SAP SE| 2.08%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|9.ASSET|Equity|131.3|2.67|BHP| BHP Group Ltd| 2.03%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|10.ASSET|Equity|131.3|2.52|RIO| Rio Tinto plc| 1.92%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|11.ASSET|Equity|131.3|2.36|GSK| GlaxoSmithKline plc| 1.80%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|12.ASSET|Equity|131.3|2.26|OR| L\'Oreal SA| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|13.ASSET|Equity|131.3|2.17|CSL| CSL Limited| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|14.ASSET|Equity|131.3|1.93|8035| Tokyo Electron Ltd.| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||IDHQ|6|15.ASSET|Equity|131.3|1.73|CNR| Canadian National Railway Company| 1.32%| North America|Multi-Asset|Diversified Portfolio||RISN|6|1.ASSET|Multi-Asset|114|68.01|VGSH| Vanguard Short-Term Treasury ETF| 59.66%| North America|Multi-Asset|Diversified Portfolio||RISN|6|2.ASSET|Multi-Asset|114|23.42|PHYS| Sprott Physical Gold Trust Units| 20.54%| North America|Multi-Asset|Diversified Portfolio||RISN|6|3.ASSET|Multi-Asset|114|0.83|N/A| U.S. Dollar| 0.73%| North America|Multi-Asset|Diversified Portfolio||RISN|6|4.ASSET|Multi-Asset|114|0.83|NOW| ServiceNow, Inc.| 0.73%| North America|Multi-Asset|Diversified Portfolio||RISN|6|5.ASSET|Multi-Asset|114|0.81|PLD| Prologis, Inc.| 0.71%| North America|Multi-Asset|Diversified Portfolio||RISN|6|6.ASSET|Multi-Asset|114|0.74|ISRG| Intuitive Surgical, Inc.| 0.65%| North America|Multi-Asset|Diversified Portfolio||RISN|6|7.ASSET|Multi-Asset|114|0.65|ADI| Analog Devices, Inc.| 0.57%| North America|Multi-Asset|Diversified Portfolio||RISN|6|8.ASSET|Multi-Asset|114|0.6|HCA| HCA Healthcare Inc| 0.53%| North America|Multi-Asset|Diversified Portfolio||RISN|6|9.ASSET|Multi-Asset|114|0.49|EW| Edwards Lifesciences Corporation| 0.43%| North America|Multi-Asset|Diversified Portfolio||RISN|6|10.ASSET|Multi-Asset|114|0.48|FCX| Freeport-McMoRan, Inc.| 0.42%| North America|Multi-Asset|Diversified Portfolio||RISN|6|11.ASSET|Multi-Asset|114|0.42|FIS| Fidelity National Information Services, Inc.| 0.37%| North America|Multi-Asset|Diversified Portfolio||RISN|6|12.ASSET|Multi-Asset|114|0.41|SLB| Schlumberger NV| 0.36%| North America|Multi-Asset|Diversified Portfolio||RISN|6|13.ASSET|Multi-Asset|114|0.38|NEM| Newmont Corporation| 0.33%| North America|Multi-Asset|Diversified Portfolio||RISN|6|14.ASSET|Multi-Asset|114|0.36|KLAC| KLA Corporation| 0.32%| North America|Multi-Asset|Diversified Portfolio||RISN|6|15.ASSET|Multi-Asset|114|0.34|SNPS| Synopsys, Inc.| 0.30%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|1.ASSET|Real Estate|140.8|5.86|VTR| Ventas, Inc.| 4.16%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|2.ASSET|Real Estate|140.8|5.45|HST| Host Hotels & Resorts, Inc.| 3.87%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|3.ASSET|Real Estate|140.8|5.45|BXP| Boston Properties, Inc.| 3.87%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|4.ASSET|Real Estate|140.8|5.31|PSA| Public Storage| 3.77%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|5.ASSET|Real Estate|140.8|5.27|IRM| Iron Mountain, Inc.| 3.74%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|6.ASSET|Real Estate|140.8|5.24|KIM| Kimco Realty Corporation| 3.72%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|7.ASSET|Real Estate|140.8|5.18|VNO| Vornado Realty Trust| 3.68%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|8.ASSET|Real Estate|140.8|5.15|WELL| Welltower, Inc.| 3.66%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|9.ASSET|Real Estate|140.8|4.98|O| Realty Income Corporation| 3.54%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|10.ASSET|Real Estate|140.8|4.98|WY| Weyerhaeuser Company| 3.54%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|11.ASSET|Real Estate|140.8|4.97|AVB| AvalonBay Communities, Inc.| 3.53%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|12.ASSET|Real Estate|140.8|4.97|EQR| Equity Residential| 3.53%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|13.ASSET|Real Estate|140.8|4.86|MAA| Mid-America Apartment Communities, Inc.| 3.45%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|14.ASSET|Real Estate|140.8|4.83|UDR| UDR, Inc.| 3.43%| North America|Real Estate|Real Estate|Real Estate|EWRE|6|15.ASSET|Real Estate|140.8|4.77|CBRE| CBRE Group, Inc. Class A| 3.39%| North America|Equity|Volatility Hedged Equity||BOCT|6|1.ASSET|Equity|94.6|94.15|N/A| OPTIONS| 99.52%| North America|Equity|Volatility Hedged Equity||BOCT|6|2.ASSET|Equity|94.6|94.14|N/A| OPTIONS| 99.51%| North America|Equity|Volatility Hedged Equity||BOCT|6|3.ASSET|Equity|94.6|0.46|N/A| U.S. Dollar| 0.49%| North America|Equity|Volatility Hedged Equity||BOCT|6|4.ASSET|Equity|94.6|0.45|N/A| U.S. Dollar| 0.48%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||HSCZ|6|1.ASSET|Equity|108.3|108.26|SCZ| iShares MSCI EAFE Small-Cap ETF| 99.96%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||HSCZ|6|2.ASSET|Equity|108.3|0.04|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.04%| North America|Equity|Volatility Hedged Equity||PDEC|6|1.ASSET|Equity|226.5|225.14|N/A| OPTIONS| 99.40%| North America|Equity|Volatility Hedged Equity||PDEC|6|2.ASSET|Equity|226.5|225.12|N/A| OPTIONS| 99.39%| North America|Equity|Volatility Hedged Equity||PDEC|6|3.ASSET|Equity|226.5|1.38|N/A| U.S. Dollar| 0.61%| North America|Equity|Volatility Hedged Equity||PDEC|6|4.ASSET|Equity|226.5|1.36|N/A| U.S. Dollar| 0.60%| North America|Equity|Leveraged Equities||HIBL|6|1.ASSET|Equity|96.7|13.14|DGCXX| Dreyfus Government Cash Management Funds Institutional| 13.59%| North America|Equity|Leveraged Equities||HIBL|6|2.ASSET|Equity|96.7|8.97|N/A| U.S. Dollar| 9.28%| North America|Equity|Leveraged Equities||HIBL|6|3.ASSET|Equity|96.7|8.33|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 8.61%| North America|Equity|Leveraged Equities||HIBL|6|4.ASSET|Equity|96.7|6.08|N/A| MUTUAL FUND (OTHER)| 6.29%| North America|Equity|Leveraged Equities||HIBL|6|5.ASSET|Equity|96.7|1.01|SEDG| SolarEdge Technologies, Inc.| 1.04%| North America|Equity|Leveraged Equities||HIBL|6|6.ASSET|Equity|96.7|0.87|TER| Teradyne, Inc.| 0.90%| North America|Equity|Leveraged Equities||HIBL|6|7.ASSET|Equity|96.7|0.85|MPWR| Monolithic Power Systems, Inc.| 0.88%| North America|Equity|Leveraged Equities||HIBL|6|8.ASSET|Equity|96.7|0.84|AMAT| Applied Materials, Inc.| 0.87%| North America|Equity|Leveraged Equities||HIBL|6|9.ASSET|Equity|96.7|0.84|ENPH| Enphase Energy, Inc.| 0.87%| North America|Equity|Leveraged Equities||HIBL|6|10.ASSET|Equity|96.7|0.83|NVDA| NVIDIA Corporation| 0.86%| North America|Equity|Leveraged Equities||HIBL|6|11.ASSET|Equity|96.7|0.81|PENN| Penn National Gaming, Inc.| 0.84%| North America|Equity|Leveraged Equities||HIBL|6|12.ASSET|Equity|96.7|0.8|ETSY| Etsy, Inc.| 0.83%| North America|Equity|Leveraged Equities||HIBL|6|13.ASSET|Equity|96.7|0.79|TSLA| Tesla Inc| 0.82%| North America|Equity|Leveraged Equities||HIBL|6|14.ASSET|Equity|96.7|0.78|APA| APA Corp.| 0.81%| North America|Equity|Leveraged Equities||HIBL|6|15.ASSET|Equity|96.7|0.77|LRCX| Lam Research Corporation| 0.80%| |Commodity|Agricultural Commodities||JO|6|1.ASSET|Commodity|87.3|87.3|N/A| Coffee 'C'| 100.00%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|1.ASSET|Equity|85.4|3.71|VALT| ETFMG Sit Ultra Short ETF| 4.35%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|2.ASSET|Equity|85.4|2.67|ZNGA| Zynga Inc. Class A| 3.13%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|3.ASSET|Equity|85.4|2.43|ATVI| Activision Blizzard, Inc.| 2.84%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|4.ASSET|Equity|85.4|2.24|PDX| Paradox Interactive AB| 2.62%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|5.ASSET|Equity|85.4|1.98|PLTK| Playtika Holding Corp.| 2.32%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|6.ASSET|Equity|85.4|1.94|3659| NEXON Co., Ltd.| 2.27%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|7.ASSET|Equity|85.4|1.91|9766| KONAMI HOLDINGS CORP| 2.24%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|8.ASSET|Equity|85.4|1.9|UBI| Ubisoft Entertainment SA| 2.23%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|9.ASSET|Equity|85.4|1.9|7974| Nintendo Co., Ltd.| 2.23%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|10.ASSET|Equity|85.4|1.85|3632| GREE, Inc.| 2.17%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|11.ASSET|Equity|85.4|1.79|EA| Electronic Arts Inc.| 2.10%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|12.ASSET|Equity|85.4|1.78|CRSR| Corsair Gaming, Inc.| 2.08%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|13.ASSET|Equity|85.4|1.7|TTWO| Take-Two Interactive Software, Inc.| 1.99%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|14.ASSET|Equity|85.4|1.69|9697| Capcom Co., Ltd.| 1.98%| Developed Markets|Equity|Global Equities|Technology|GAMR|6|15.ASSET|Equity|85.4|1.67|1337| Razer, Inc.| 1.95%| Developed Markets|Multi-Asset|Global Equities||INKM|6|1.ASSET|Multi-Asset|100.5|21.18|SRLN| SPDR Blackstone Senior Loan ETF| 21.07%| Developed Markets|Multi-Asset|Global Equities||INKM|6|2.ASSET|Multi-Asset|100.5|14.49|DWX| SPDR S&P International Dividend ETF| 14.42%| Developed Markets|Multi-Asset|Global Equities||INKM|6|3.ASSET|Multi-Asset|100.5|11.94|SPYD| SPDR Portfolio S&P 500 High Dividend ETF| 11.88%| Developed Markets|Multi-Asset|Global Equities||INKM|6|4.ASSET|Multi-Asset|100.5|10.83|SPTL| SPDR Portfolio Long Term Treasury ETF| 10.78%| Developed Markets|Multi-Asset|Global Equities||INKM|6|5.ASSET|Multi-Asset|100.5|9.55|EBND| SPDR Bloomberg Emerging Markets Local Bond ETF| 9.50%| Developed Markets|Multi-Asset|Global Equities||INKM|6|6.ASSET|Multi-Asset|100.5|8.13|GII| SPDR S&P Global Infrastructure ETF| 8.09%| Developed Markets|Multi-Asset|Global Equities||INKM|6|7.ASSET|Multi-Asset|100.5|5.1|PSK| SPDR ICE Preferred Securities ETF| 5.07%| Developed Markets|Multi-Asset|Global Equities||INKM|6|8.ASSET|Multi-Asset|100.5|5.09|JNK| SPDR Bloomberg High Yield Bond ETF| 5.06%| Developed Markets|Multi-Asset|Global Equities||INKM|6|9.ASSET|Multi-Asset|100.5|5.06|REM| iShares Mortgage Real Estate ETF| 5.03%| Developed Markets|Multi-Asset|Global Equities||INKM|6|10.ASSET|Multi-Asset|100.5|3.85|SPLB| SPDR Portfolio Long Term Corporate Bond ETF| 3.83%| Developed Markets|Multi-Asset|Global Equities||INKM|6|11.ASSET|Multi-Asset|100.5|3.09|CWB| SPDR Bloomberg Convertible Securities ETF| 3.07%| Developed Markets|Multi-Asset|Global Equities||INKM|6|12.ASSET|Multi-Asset|100.5|2|KBWY| Invesco KBW Premium Yield Equity REIT ETF| 1.99%| Developed Markets|Multi-Asset|Global Equities||INKM|6|13.ASSET|Multi-Asset|100.5|0.23|N/A| MUTUAL FUND (OTHER)| 0.23%| North America|Equity|Large Cap Growth Equities||SPUS|6|1.ASSET|Equity|137.8|17.24|AAPL| Apple Inc.| 12.51%| North America|Equity|Large Cap Growth Equities||SPUS|6|2.ASSET|Equity|137.8|15.01|MSFT| Microsoft Corporation| 10.89%| North America|Equity|Large Cap Growth Equities||SPUS|6|3.ASSET|Equity|137.8|5.47|GOOGL| Alphabet Inc. Class A| 3.97%| North America|Equity|Large Cap Growth Equities||SPUS|6|4.ASSET|Equity|137.8|5.08|GOOG| Alphabet Inc. Class C| 3.69%| North America|Equity|Large Cap Growth Equities||SPUS|6|5.ASSET|Equity|137.8|4.77|TSLA| Tesla Inc| 3.46%| North America|Equity|Large Cap Growth Equities||SPUS|6|6.ASSET|Equity|137.8|3.98|NVDA| NVIDIA Corporation| 2.89%| North America|Equity|Large Cap Growth Equities||SPUS|6|7.ASSET|Equity|137.8|3.27|FB| Meta Platforms Inc. Class A| 2.37%| North America|Equity|Large Cap Growth Equities||SPUS|6|8.ASSET|Equity|137.8|2.92|JNJ| Johnson & Johnson| 2.12%| North America|Equity|Large Cap Growth Equities||SPUS|6|9.ASSET|Equity|137.8|2.51|PG| Procter & Gamble Company| 1.82%| North America|Equity|Large Cap Growth Equities||SPUS|6|10.ASSET|Equity|137.8|2.29|HD| Home Depot, Inc.| 1.66%| North America|Equity|Large Cap Growth Equities||SPUS|6|11.ASSET|Equity|137.8|2.27|XOM| Exxon Mobil Corporation| 1.65%| North America|Equity|Large Cap Growth Equities||SPUS|6|12.ASSET|Equity|137.8|1.96|CVX| Chevron Corporation| 1.42%| North America|Equity|Large Cap Growth Equities||SPUS|6|13.ASSET|Equity|137.8|1.74|PFE| Pfizer Inc.| 1.26%| North America|Equity|Large Cap Growth Equities||SPUS|6|14.ASSET|Equity|137.8|1.63|KO| Coca-Cola Company| 1.18%| North America|Equity|Large Cap Growth Equities||SPUS|6|15.ASSET|Equity|137.8|1.58|AVGO| Broadcom Inc.| 1.15%| North America|Equity|Large Cap Growth Equities||TDVG|6|1.ASSET|Equity|122.1|7.28|MSFT| Microsoft Corporation| 5.96%| North America|Equity|Large Cap Growth Equities||TDVG|6|2.ASSET|Equity|122.1|5.24|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 4.29%| North America|Equity|Large Cap Growth Equities||TDVG|6|3.ASSET|Equity|122.1|5.05|AAPL| Apple Inc.| 4.14%| North America|Equity|Large Cap Growth Equities||TDVG|6|4.ASSET|Equity|122.1|3.15|UNH| UnitedHealth Group Incorporated| 2.58%| North America|Equity|Large Cap Growth Equities||TDVG|6|5.ASSET|Equity|122.1|2.88|DHR| Danaher Corporation| 2.36%| North America|Equity|Large Cap Growth Equities||TDVG|6|6.ASSET|Equity|122.1|2.3|V| Visa Inc. Class A| 1.88%| North America|Equity|Large Cap Growth Equities||TDVG|6|7.ASSET|Equity|122.1|2.17|ACN| Accenture Plc Class A| 1.78%| North America|Equity|Large Cap Growth Equities||TDVG|6|8.ASSET|Equity|122.1|2.17|MMC| Marsh & McLennan Companies, Inc.| 1.78%| North America|Equity|Large Cap Growth Equities||TDVG|6|9.ASSET|Equity|122.1|2.16|CB| Chubb Limited| 1.77%| North America|Equity|Large Cap Growth Equities||TDVG|6|10.ASSET|Equity|122.1|2.06|JPM| JPMorgan Chase & Co.| 1.69%| North America|Equity|Large Cap Growth Equities||TDVG|6|11.ASSET|Equity|122.1|2.05|MDLZ| Mondelez International, Inc. Class A| 1.68%| North America|Equity|Large Cap Growth Equities||TDVG|6|12.ASSET|Equity|122.1|2.03|TMO| Thermo Fisher Scientific Inc.| 1.66%| North America|Equity|Large Cap Growth Equities||TDVG|6|13.ASSET|Equity|122.1|1.99|ABBV| AbbVie, Inc.| 1.63%| North America|Equity|Large Cap Growth Equities||TDVG|6|14.ASSET|Equity|122.1|1.75|GE| General Electric Company| 1.43%| North America|Equity|Large Cap Growth Equities||TDVG|6|15.ASSET|Equity|122.1|1.72|EQR| Equity Residential| 1.41%| North America|Equity|Small Cap Blend Equities||THCX|6|1.ASSET|Equity|57.3|3.52|FAF| Fire & Flower Holdings Corp.| 6.14%| North America|Equity|Small Cap Blend Equities||THCX|6|2.ASSET|Equity|57.3|3.17|TLRY| Tilray Brands, Inc.| 5.54%| North America|Equity|Small Cap Blend Equities||THCX|6|3.ASSET|Equity|57.3|3.09|VFF| Village Farms International, Inc.| 5.39%| North America|Equity|Small Cap Blend Equities||THCX|6|4.ASSET|Equity|57.3|3.09|CRON| Cronos Group Inc| 5.39%| North America|Equity|Small Cap Blend Equities||THCX|6|5.ASSET|Equity|57.3|2.94|AFCG| AFC Gamma, Inc.| 5.13%| North America|Equity|Small Cap Blend Equities||THCX|6|6.ASSET|Equity|57.3|2.89|OGI| OrganiGram Holdings Inc| 5.05%| North America|Equity|Small Cap Blend Equities||THCX|6|7.ASSET|Equity|57.3|2.85|WEED| Canopy Growth Corporation| 4.98%| North America|Equity|Small Cap Blend Equities||THCX|6|8.ASSET|Equity|57.3|2.72|SMG| Scotts Miracle-Gro Company Class A| 4.75%| North America|Equity|Small Cap Blend Equities||THCX|6|9.ASSET|Equity|57.3|2.53|HITI| High Tide, Inc.| 4.41%| North America|Equity|Small Cap Blend Equities||THCX|6|10.ASSET|Equity|57.3|2.32|NOVC| Nova Cannabis Inc| 4.05%| North America|Equity|Small Cap Blend Equities||THCX|6|11.ASSET|Equity|57.3|2.19|MAPS| WM Technology, Inc. Class A| 3.82%| North America|Equity|Small Cap Blend Equities||THCX|6|12.ASSET|Equity|57.3|2.1|PKI| PerkinElmer, Inc.| 3.66%| North America|Equity|Small Cap Blend Equities||THCX|6|13.ASSET|Equity|57.3|2.07|ENW| EnWave Corporation| 3.61%| North America|Equity|Small Cap Blend Equities||THCX|6|14.ASSET|Equity|57.3|2.01|GRWG| GrowGeneration Corp.| 3.51%| North America|Equity|Small Cap Blend Equities||THCX|6|15.ASSET|Equity|57.3|1.99|HYFM| Hydrofarm Holdings Group, Inc.| 3.47%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|1.ASSET|Bond|100.7|0.93|N/A| Regions Financial Corporation 2.25% 18-MAY-2025| 0.92%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|2.ASSET|Bond|100.7|0.92|N/A| BBVA USA 2.5% 27-AUG-2024| 0.91%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|3.ASSET|Bond|100.7|0.92|N/A| CME Group Inc. 3.0% 15-MAR-2025| 0.91%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|4.ASSET|Bond|100.7|0.92|N/A| Alphabet Inc. 1.1% 15-AUG-2030| 0.91%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|5.ASSET|Bond|100.7|0.92|N/A| TIAA Asset Management Finance Co. LLC 4.125% 01-NOV-2024| 0.91%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|6.ASSET|Bond|100.7|0.89|N/A| New York Life Global Funding 0.85% 15-JAN-2026| 0.88%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|7.ASSET|Bond|100.7|0.89|N/A| Manufacturers and Traders Trust Company 2.9% 06-FEB-2025| 0.88%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|8.ASSET|Bond|100.7|0.89|N/A| Sky Limited 3.75% 16-SEP-2024| 0.88%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|9.ASSET|Bond|100.7|0.87|N/A| QUALCOMM Incorporated 3.25% 20-MAY-2027| 0.86%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|10.ASSET|Bond|100.7|0.85|N/A| Metropolitan Life Global Funding I 3.45% 18-DEC-2026| 0.84%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|11.ASSET|Bond|100.7|0.84|N/A| GA Global Funding Trust 1.0% 08-APR-2024| 0.83%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|12.ASSET|Bond|100.7|0.83|N/A| Jackson National Life Global Funding 1.75% 12-JAN-2025| 0.82%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|13.ASSET|Bond|100.7|0.82|N/A| U.S. Bancorp 1.45% 12-MAY-2025| 0.81%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|14.ASSET|Bond|100.7|0.82|N/A| Chevron Phillips Chemical Co. LLC 3.4% 01-DEC-2026| 0.81%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGD|6|15.ASSET|Bond|100.7|0.82|N/A| Nuveen LLC 4.0% 01-NOV-2028| 0.81%| Global|Commodity|Commodities|Industrials|BDRY|6|1.ASSET|Commodity|68.4|46.27|N/A| U.S. Dollar| 67.65%| Global|Commodity|Commodities|Industrials|BDRY|6|2.ASSET|Commodity|68.4|18.8|FXFXX| First American Funds Inc X Treasury Obligations Fund| 27.48%| Global|Commodity|Commodities|Industrials|BDRY|6|3.ASSET|Commodity|68.4|3.33|N/A| DERIVATIVE SECURITIES (OTHER)| 4.87%| Global|Commodity|Leveraged Commodities||SCO|6|1.ASSET|Commodity|219.8|219.8|N/A| Sweet Light Crude Oil (WTI)| 100.00%| North America|Equity|All Cap Equities||HKND|6|1.ASSET|Equity|111.7|4.5|GOOGL| Alphabet Inc. Class A| 4.03%| North America|Equity|All Cap Equities||HKND|6|2.ASSET|Equity|111.7|4.48|VZ| Verizon Communications Inc.| 4.01%| North America|Equity|All Cap Equities||HKND|6|3.ASSET|Equity|111.7|3.66|CTVA| Corteva Inc| 3.28%| North America|Equity|All Cap Equities||HKND|6|4.ASSET|Equity|111.7|3.27|MSFT| Microsoft Corporation| 2.93%| North America|Equity|All Cap Equities||HKND|6|5.ASSET|Equity|111.7|2.81|AAPL| Apple Inc.| 2.52%| North America|Equity|All Cap Equities||HKND|6|6.ASSET|Equity|111.7|2.4|BG| Bunge Limited| 2.15%| North America|Equity|All Cap Equities||HKND|6|7.ASSET|Equity|111.7|2.22|JNJ| Johnson & Johnson| 1.99%| North America|Equity|All Cap Equities||HKND|6|8.ASSET|Equity|111.7|2.01|GE| General Electric Company| 1.80%| North America|Equity|All Cap Equities||HKND|6|9.ASSET|Equity|111.7|1.95|HCA| HCA Healthcare Inc| 1.75%| North America|Equity|All Cap Equities||HKND|6|10.ASSET|Equity|111.7|1.95|PFE| Pfizer Inc.| 1.75%| North America|Equity|All Cap Equities||HKND|6|11.ASSET|Equity|111.7|1.87|PG| Procter & Gamble Company| 1.67%| North America|Equity|All Cap Equities||HKND|6|12.ASSET|Equity|111.7|1.83|AWK| American Water Works Company, Inc.| 1.64%| North America|Equity|All Cap Equities||HKND|6|13.ASSET|Equity|111.7|1.59|ABBV| AbbVie, Inc.| 1.42%| North America|Equity|All Cap Equities||HKND|6|14.ASSET|Equity|111.7|1.56|DE| Deere & Company| 1.40%| North America|Equity|All Cap Equities||HKND|6|15.ASSET|Equity|111.7|1.5|BMY| Bristol-Myers Squibb Company| 1.34%| North America|Alternatives|Long-Short||BTAL|6|1.ASSET|Alternatives|131.9|131.49|N/A| U.S. Dollar| 99.69%| North America|Alternatives|Long-Short||BTAL|6|2.ASSET|Alternatives|131.9|0.73|N/A| DERIVATIVE SECURITIES (OTHER)| 0.55%| North America|Alternatives|Long-Short||BTAL|6|3.ASSET|Alternatives|131.9|0.7|MNDT| Mandiant, Inc.| 0.53%| North America|Alternatives|Long-Short||BTAL|6|4.ASSET|Alternatives|131.9|0.7|RKT| Rocket Companies Inc Class A| 0.53%| North America|Alternatives|Long-Short||BTAL|6|5.ASSET|Alternatives|131.9|0.69|CACI| CACI International Inc Class A| 0.52%| North America|Alternatives|Long-Short||BTAL|6|6.ASSET|Alternatives|131.9|0.67|IRM| Iron Mountain, Inc.| 0.51%| North America|Alternatives|Long-Short||BTAL|6|7.ASSET|Alternatives|131.9|0.66|TGT| Target Corporation| 0.50%| North America|Alternatives|Long-Short||BTAL|6|8.ASSET|Alternatives|131.9|0.66|BWXT| BWX Technologies, Inc.| 0.50%| North America|Alternatives|Long-Short||BTAL|6|9.ASSET|Alternatives|131.9|0.66|LMT| Lockheed Martin Corporation| 0.50%| North America|Alternatives|Long-Short||BTAL|6|10.ASSET|Alternatives|131.9|0.66|LHX| L3Harris Technologies Inc| 0.50%| North America|Alternatives|Long-Short||BTAL|6|11.ASSET|Alternatives|131.9|0.66|NOC| Northrop Grumman Corporation| 0.50%| North America|Alternatives|Long-Short||BTAL|6|12.ASSET|Alternatives|131.9|0.66|BAH| Booz Allen Hamilton Holding Corporation Class A| 0.50%| North America|Alternatives|Long-Short||BTAL|6|13.ASSET|Alternatives|131.9|0.63|CHRW| C.H. Robinson Worldwide, Inc.| 0.48%| North America|Alternatives|Long-Short||BTAL|6|14.ASSET|Alternatives|131.9|0.63|HII| Huntington Ingalls Industries, Inc.| 0.48%| North America|Alternatives|Long-Short||BTAL|6|15.ASSET|Alternatives|131.9|0.63|LDOS| Leidos Holdings, Inc.| 0.48%| Emerging Markets|Equity|Volatility Hedged Equity||EJAN|6|1.ASSET|Equity|105|104.31|N/A| OPTIONS| 99.34%| Emerging Markets|Equity|Volatility Hedged Equity||EJAN|6|2.ASSET|Equity|105|104.3|N/A| OPTIONS| 99.33%| Emerging Markets|Equity|Volatility Hedged Equity||EJAN|6|3.ASSET|Equity|105|0.7|N/A| U.S. Dollar| 0.67%| Emerging Markets|Equity|Volatility Hedged Equity||EJAN|6|4.ASSET|Equity|105|0.69|N/A| U.S. Dollar| 0.66%| Global|Equity|Foreign Large Cap Equities||FRDM|6|1.ASSET|Equity|126|9.77|005930| Samsung Electronics Co., Ltd.| 7.75%| Global|Equity|Foreign Large Cap Equities||FRDM|6|2.ASSET|Equity|126|8.95|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 7.10%| Global|Equity|Foreign Large Cap Equities||FRDM|6|3.ASSET|Equity|126|6.2|SQM| Sociedad Quimica Y Minera De Chile S.A. Sponsored ADR Pfd Class B| 4.92%| Global|Equity|Foreign Large Cap Equities||FRDM|6|4.ASSET|Equity|126|4.28|VALE3| Vale S.A.| 3.40%| Global|Equity|Foreign Large Cap Equities||FRDM|6|5.ASSET|Equity|126|4.15|2454| MediaTek Inc| 3.29%| Global|Equity|Foreign Large Cap Equities||FRDM|6|6.ASSET|Equity|126|4.12|FALABELLA| Falabella S.A.| 3.27%| Global|Equity|Foreign Large Cap Equities||FRDM|6|7.ASSET|Equity|126|3.94|BBCA| PT Bank Central Asia Tbk| 3.13%| Global|Equity|Foreign Large Cap Equities||FRDM|6|8.ASSET|Equity|126|3.67|VAPORES| Compania Sud Americana de Vapores S.A.| 2.91%| Global|Equity|Foreign Large Cap Equities||FRDM|6|9.ASSET|Equity|126|3.31|2317| Hon Hai Precision Industry Co., Ltd.| 2.63%| Global|Equity|Foreign Large Cap Equities||FRDM|6|10.ASSET|Equity|126|3.28|CHILE| Banco de Chile| 2.60%| Global|Equity|Foreign Large Cap Equities||FRDM|6|11.ASSET|Equity|126|3.23|PEO| BANK POLSKA KASA OPIEKI SA| 2.56%| Global|Equity|Foreign Large Cap Equities||FRDM|6|12.ASSET|Equity|126|2.97|000660| SK hynix Inc| 2.36%| Global|Equity|Foreign Large Cap Equities||FRDM|6|13.ASSET|Equity|126|2.66|1295| Public Bank Bhd| 2.11%| Global|Equity|Foreign Large Cap Equities||FRDM|6|14.ASSET|Equity|126|2.37|DNP| Dino Polska S.A.| 1.88%| Global|Equity|Foreign Large Cap Equities||FRDM|6|15.ASSET|Equity|126|1.99|035420| NAVER Corp.| 1.58%| North America|Bond|Inverse Bonds|Treasuries|TBX|6|1.ASSET|Bond|155.4|102|N/A| U.S. Dollar| 65.64%| North America|Bond|Inverse Bonds|Treasuries|TBX|6|2.ASSET|Bond|155.4|16.41|N/A| United States Treasury Bills 0.0% 07-APR-2022| 10.56%| North America|Bond|Inverse Bonds|Treasuries|TBX|6|3.ASSET|Bond|155.4|16.41|N/A| United States Treasury Bills 0.0% 14-APR-2022| 10.56%| North America|Bond|Inverse Bonds|Treasuries|TBX|6|4.ASSET|Bond|155.4|16.41|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 10.56%| North America|Bond|Inverse Bonds|Treasuries|TBX|6|5.ASSET|Bond|155.4|4.16|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 2.68%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|1.ASSET|Equity|135.2|5.45|BG| Bunge Limited| 4.03%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|2.ASSET|Equity|135.2|5.14|KDP| Keurig Dr Pepper Inc.| 3.80%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|3.ASSET|Equity|135.2|5.1|CELH| Celsius Holdings, Inc.| 3.77%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|4.ASSET|Equity|135.2|4.69|HSY| Hershey Company| 3.47%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|5.ASSET|Equity|135.2|4.48|CHD| Church & Dwight Co., Inc.| 3.31%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|6.ASSET|Equity|135.2|4.38|MNST| Monster Beverage Corporation| 3.24%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|7.ASSET|Equity|135.2|4.22|EL| Estee Lauder Companies Inc. Class A| 3.12%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|8.ASSET|Equity|135.2|4.16|PG| Procter & Gamble Company| 3.08%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|9.ASSET|Equity|135.2|4.15|KR| Kroger Co.| 3.07%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|10.ASSET|Equity|135.2|4.11|COTY| Coty Inc. Class A| 3.04%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|11.ASSET|Equity|135.2|4|FRPT| Freshpet Inc| 2.96%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|12.ASSET|Equity|135.2|3.73|USFD| US Foods Holding Corp.| 2.76%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|13.ASSET|Equity|135.2|3.56|PEP| PepsiCo, Inc.| 2.63%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|14.ASSET|Equity|135.2|3.45|TPX| Tempur Sealy International Inc| 2.55%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSL|6|15.ASSET|Equity|135.2|3.29|SYY| Sysco Corporation| 2.43%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|1.ASSET|Bond|97|2.07|N/A| FIXED INCOME (UNCLASSFIED)| 2.13%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|2.ASSET|Bond|97|2.02|IJGXX| JPMorgan Trust II US Government Money Market Fund Institutional| 2.08%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|3.ASSET|Bond|97|1.45|N/A| United States Treasury Notes 1.0% 15-DEC-2024| 1.49%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|4.ASSET|Bond|97|1.36|N/A| United States Treasury Notes 1.75% 15-JUN-2022| 1.40%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|5.ASSET|Bond|97|1.02|N/A| ASSET-BACKED SECURITIES| 1.05%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|6.ASSET|Bond|97|0.97|N/A| United States Treasury Notes 0.125% 31-MAR-2023| 1.00%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|7.ASSET|Bond|97|0.89|N/A| Exeter Automobile Receivables Trust 2021-1 C 0.74% 15-JAN-2026| 0.92%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|8.ASSET|Bond|97|0.77|N/A| Towd Point Mortgage Trust 2018-6 A1A 3.75% 25-MAR-2058| 0.79%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|9.ASSET|Bond|97|0.73|N/A| Bank of America Corporation 1.734% 22-JUL-2027| 0.75%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|10.ASSET|Bond|97|0.72|N/A| Citigroup Mortgage Loan Trust 2019-RP1 A1 3.5% 25-JAN-2066| 0.74%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|11.ASSET|Bond|97|0.71|N/A| American Credit Acceptance Receivables Trust 2021-1 C 0.83% 13-MAR-2027| 0.73%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|12.ASSET|Bond|97|0.7|N/A| BX Trust 2018-GW B 1.127% 15-MAY-2037| 0.72%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|13.ASSET|Bond|97|0.68|N/A| Exeter Automobile Receivables Trust 2019-2 E 4.68% 15-MAY-2026| 0.70%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|14.ASSET|Bond|97|0.67|N/A| Credit Acceptance Auto Loan Trust 2021-2 A 0.96% 15-FEB-2030| 0.69%| North America|Bond|Total Bond Market|Total Bond Market|MINC|6|15.ASSET|Bond|97|0.66|N/A| PRPM 2021-RPL1 A1 1.319% 25-JUL-2051| 0.68%| North America|Equity|Leveraged Equities||WEBL|6|1.ASSET|Equity|162.9|29.18|DGCXX| Dreyfus Government Cash Management Funds Institutional| 17.91%| North America|Equity|Leveraged Equities||WEBL|6|2.ASSET|Equity|162.9|20.23|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 12.42%| North America|Equity|Leveraged Equities||WEBL|6|3.ASSET|Equity|162.9|10.9|AMZN| Amazon.com, Inc.| 6.69%| North America|Equity|Leveraged Equities||WEBL|6|4.ASSET|Equity|162.9|6.29|GOOGL| Alphabet Inc. Class A| 3.86%| North America|Equity|Leveraged Equities||WEBL|6|5.ASSET|Equity|162.9|6.08|N/A| MUTUAL FUND (OTHER)| 3.73%| North America|Equity|Leveraged Equities||WEBL|6|6.ASSET|Equity|162.9|6.03|FB| Meta Platforms Inc. Class A| 3.70%| North America|Equity|Leveraged Equities||WEBL|6|7.ASSET|Equity|162.9|5.99|CSCO| Cisco Systems, Inc.| 3.68%| North America|Equity|Leveraged Equities||WEBL|6|8.ASSET|Equity|162.9|5.83|GOOG| Alphabet Inc. Class C| 3.58%| North America|Equity|Leveraged Equities||WEBL|6|9.ASSET|Equity|162.9|5|CRM| salesforce.com, inc.| 3.07%| North America|Equity|Leveraged Equities||WEBL|6|10.ASSET|Equity|162.9|3.96|NFLX| Netflix, Inc.| 2.43%| North America|Equity|Leveraged Equities||WEBL|6|11.ASSET|Equity|162.9|3.23|PYPL| PayPal Holdings, Inc.| 1.98%| North America|Equity|Leveraged Equities||WEBL|6|12.ASSET|Equity|162.9|3.06|ABNB| Airbnb, Inc. Class A| 1.88%| North America|Equity|Leveraged Equities||WEBL|6|13.ASSET|Equity|162.9|2.95|SNOW| Snowflake, Inc. Class A| 1.81%| North America|Equity|Leveraged Equities||WEBL|6|14.ASSET|Equity|162.9|2.93|WDAY| Workday, Inc. Class A| 1.80%| North America|Equity|Leveraged Equities||WEBL|6|15.ASSET|Equity|162.9|2.8|DDOG| Datadog Inc Class A| 1.72%| North America|Equity|Large Cap Growth Equities||SPYC|6|1.ASSET|Equity|86.8|85.23|IVV| iShares Core S&P 500 ETF| 98.19%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FISR|6|1.ASSET|Bond|103.1|26.1|SPMB| SPDR Portfolio Mortgage Backed Bond ETF| 25.32%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FISR|6|2.ASSET|Bond|103.1|20.15|BIL| SPDR Bloomberg 1-3 Month T-Bill ETF| 19.54%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FISR|6|3.ASSET|Bond|103.1|17.82|SPTL| SPDR Portfolio Long Term Treasury ETF| 17.28%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FISR|6|4.ASSET|Bond|103.1|16.25|SPLB| SPDR Portfolio Long Term Corporate Bond ETF| 15.76%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FISR|6|5.ASSET|Bond|103.1|12.03|SPTI| SPDR Portfolio Intermediate Term Treasury ETF| 11.67%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FISR|6|6.ASSET|Bond|103.1|10.41|SPIB| SPDR Portfolio Intermediate Term Corporate Bond ETF| 10.10%| Developed Markets|Bond|Total Bond Market|Total Bond Market|FISR|6|7.ASSET|Bond|103.1|0.34|N/A| U.S. Dollar| 0.33%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|1.ASSET|Equity|52.9|2.97|ORLY| O\'Reilly Automotive, Inc.| 5.61%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|2.ASSET|Equity|52.9|2.23|BBWI| Bath & Body Works, Inc.| 4.22%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|3.ASSET|Equity|52.9|2.1|NKE| NIKE, Inc. Class B| 3.97%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|4.ASSET|Equity|52.9|2.08|F| Ford Motor Company| 3.94%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|5.ASSET|Equity|52.9|2.05|SEAS| SeaWorld Entertainment, Inc.| 3.88%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|6.ASSET|Equity|52.9|2.04|HMHC| Houghton Mifflin Harcourt Company| 3.86%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|7.ASSET|Equity|52.9|2.02|BJ| BJ\'s Wholesale Club Holdings, Inc.| 3.81%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|8.ASSET|Equity|52.9|1.99|LYV| Live Nation Entertainment, Inc.| 3.76%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|9.ASSET|Equity|52.9|1.96|COST| Costco Wholesale Corporation| 3.71%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|10.ASSET|Equity|52.9|1.9|TSCO| Tractor Supply Company| 3.59%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|11.ASSET|Equity|52.9|1.87|BOOT| Boot Barn Holdings, Inc.| 3.54%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|12.ASSET|Equity|52.9|1.75|BLD| TopBuild Corp.| 3.31%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|13.ASSET|Equity|52.9|1.73|TOL| Toll Brothers, Inc.| 3.27%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|14.ASSET|Equity|52.9|1.69|LOW| Lowe\'s Companies, Inc.| 3.19%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PEZ|6|15.ASSET|Equity|52.9|1.67|HD| Home Depot, Inc.| 3.16%| North America|Equity|Large Cap Blend Equities||SSPY|6|1.ASSET|Equity|99.2|1.02|CVX| Chevron Corporation| 1.03%| North America|Equity|Large Cap Blend Equities||SSPY|6|2.ASSET|Equity|99.2|1.01|XOM| Exxon Mobil Corporation| 1.02%| North America|Equity|Large Cap Blend Equities||SSPY|6|3.ASSET|Equity|99.2|0.94|SYY| Sysco Corporation| 0.95%| North America|Equity|Large Cap Blend Equities||SSPY|6|4.ASSET|Equity|99.2|0.87|KR| Kroger Co.| 0.88%| North America|Equity|Large Cap Blend Equities||SSPY|6|5.ASSET|Equity|99.2|0.77|WMT| Walmart Inc.| 0.78%| North America|Equity|Large Cap Blend Equities||SSPY|6|6.ASSET|Equity|99.2|0.75|COST| Costco Wholesale Corporation| 0.76%| North America|Equity|Large Cap Blend Equities||SSPY|6|7.ASSET|Equity|99.2|0.74|CVS| CVS Health Corporation| 0.75%| North America|Equity|Large Cap Blend Equities||SSPY|6|8.ASSET|Equity|99.2|0.66|ADM| Archer-Daniels-Midland Company| 0.67%| North America|Equity|Large Cap Blend Equities||SSPY|6|9.ASSET|Equity|99.2|0.65|WBA| Walgreens Boots Alliance Inc| 0.66%| North America|Equity|Large Cap Blend Equities||SSPY|6|10.ASSET|Equity|99.2|0.63|MPC| Marathon Petroleum Corporation| 0.64%| North America|Equity|Large Cap Blend Equities||SSPY|6|11.ASSET|Equity|99.2|0.62|VLO| Valero Energy Corporation| 0.62%| North America|Equity|Large Cap Blend Equities||SSPY|6|12.ASSET|Equity|99.2|0.62|MSFT| Microsoft Corporation| 0.62%| North America|Equity|Large Cap Blend Equities||SSPY|6|13.ASSET|Equity|99.2|0.61|EXC| Exelon Corporation| 0.61%| North America|Equity|Large Cap Blend Equities||SSPY|6|14.ASSET|Equity|99.2|0.61|PSX| Phillips 66| 0.61%| North America|Equity|Large Cap Blend Equities||SSPY|6|15.ASSET|Equity|99.2|0.6|TSN| Tyson Foods, Inc. Class A| 0.60%| North America|Equity|All Cap Equities|Financials|PFI|6|1.ASSET|Equity|97.1|3.94|BX| Blackstone Inc.| 4.06%| North America|Equity|All Cap Equities|Financials|PFI|6|2.ASSET|Equity|97.1|3.83|EXR| Extra Space Storage Inc.| 3.94%| North America|Equity|All Cap Equities|Financials|PFI|6|3.ASSET|Equity|97.1|3.74|LPLA| LPL Financial Holdings Inc.| 3.85%| North America|Equity|All Cap Equities|Financials|PFI|6|4.ASSET|Equity|97.1|3.71|WAL| Western Alliance Bancorp| 3.82%| North America|Equity|All Cap Equities|Financials|PFI|6|5.ASSET|Equity|97.1|3.51|AMP| Ameriprise Financial, Inc.| 3.61%| North America|Equity|All Cap Equities|Financials|PFI|6|6.ASSET|Equity|97.1|3.42|CUBE| CubeSmart| 3.52%| North America|Equity|All Cap Equities|Financials|PFI|6|7.ASSET|Equity|97.1|3.41|JPM| JPMorgan Chase & Co.| 3.51%| North America|Equity|All Cap Equities|Financials|PFI|6|8.ASSET|Equity|97.1|3.16|MCO| Moody\'s Corporation| 3.25%| North America|Equity|All Cap Equities|Financials|PFI|6|9.ASSET|Equity|97.1|3.05|DRE| Duke Realty Corporation| 3.14%| North America|Equity|All Cap Equities|Financials|PFI|6|10.ASSET|Equity|97.1|2.7|SBNY| Signature Bank| 2.78%| North America|Equity|All Cap Equities|Financials|PFI|6|11.ASSET|Equity|97.1|2.69|COOP| Mr. Cooper Group, Inc.| 2.77%| North America|Equity|All Cap Equities|Financials|PFI|6|12.ASSET|Equity|97.1|2.62|APO| Apollo Global Management Inc.| 2.70%| North America|Equity|All Cap Equities|Financials|PFI|6|13.ASSET|Equity|97.1|2.57|REXR| Rexford Industrial Realty, Inc.| 2.65%| North America|Equity|All Cap Equities|Financials|PFI|6|14.ASSET|Equity|97.1|2.57|NDAQ| Nasdaq, Inc.| 2.65%| North America|Equity|All Cap Equities|Financials|PFI|6|15.ASSET|Equity|97.1|2.48|BRO| Brown & Brown, Inc.| 2.55%| North America|Equity|Europe Equities||FGM|6|1.ASSET|Equity|75.7|4.36|NDA| Aurubis AG| 5.76%| North America|Equity|Europe Equities||FGM|6|2.ASSET|Equity|75.7|3.54|PAH3| Porsche Automobil Holding SE Pref| 4.67%| North America|Equity|Europe Equities||FGM|6|3.ASSET|Equity|75.7|3.38|LEG| LEG Immobilien SE| 4.46%| North America|Equity|Europe Equities||FGM|6|4.ASSET|Equity|75.7|3.27|EOAN| E.ON SE| 4.32%| North America|Equity|Europe Equities||FGM|6|5.ASSET|Equity|75.7|3.26|BMW| Bayerische Motoren Werke AG| 4.31%| North America|Equity|Europe Equities||FGM|6|6.ASSET|Equity|75.7|3.17|TLX| Talanx AG| 4.19%| North America|Equity|Europe Equities||FGM|6|7.ASSET|Equity|75.7|3.06|1COV| Covestro AG| 4.04%| North America|Equity|Europe Equities||FGM|6|8.ASSET|Equity|75.7|2.89|DWNI| Deutsche Wohnen SE| 3.82%| North America|Equity|Europe Equities||FGM|6|9.ASSET|Equity|75.7|2.72|MBG| Mercedes-Benz Group AG| 3.59%| North America|Equity|Europe Equities||FGM|6|10.ASSET|Equity|75.7|2.7|HEI| HeidelbergCement AG| 3.57%| North America|Equity|Europe Equities||FGM|6|11.ASSET|Equity|75.7|2.69|HNR1| Hannover Rueck SE| 3.56%| North America|Equity|Europe Equities||FGM|6|12.ASSET|Equity|75.7|2.58|VOW3| Volkswagen AG Pref| 3.41%| North America|Equity|Europe Equities||FGM|6|13.ASSET|Equity|75.7|2.2|MRK| Merck KGaA| 2.90%| North America|Equity|Europe Equities||FGM|6|14.ASSET|Equity|75.7|2.14|TKA| thyssenkrupp AG| 2.83%| North America|Equity|Europe Equities||FGM|6|15.ASSET|Equity|75.7|2.13|UN01| Uniper SE| 2.82%| North America|Equity|Large Cap Growth Equities||DYNF|6|1.ASSET|Equity|130.2|9.27|MSFT| Microsoft Corporation| 7.12%| North America|Equity|Large Cap Growth Equities||DYNF|6|2.ASSET|Equity|130.2|9.11|AAPL| Apple Inc.| 7.00%| North America|Equity|Large Cap Growth Equities||DYNF|6|3.ASSET|Equity|130.2|4.79|AMZN| Amazon.com, Inc.| 3.68%| North America|Equity|Large Cap Growth Equities||DYNF|6|4.ASSET|Equity|130.2|3.85|TSLA| Tesla Inc| 2.96%| North America|Equity|Large Cap Growth Equities||DYNF|6|5.ASSET|Equity|130.2|3.59|GOOGL| Alphabet Inc. Class A| 2.76%| North America|Equity|Large Cap Growth Equities||DYNF|6|6.ASSET|Equity|130.2|3.57|GOOG| Alphabet Inc. Class C| 2.74%| North America|Equity|Large Cap Growth Equities||DYNF|6|7.ASSET|Equity|130.2|2.98|NVDA| NVIDIA Corporation| 2.29%| North America|Equity|Large Cap Growth Equities||DYNF|6|8.ASSET|Equity|130.2|1.86|FB| Meta Platforms Inc. Class A| 1.43%| North America|Equity|Large Cap Growth Equities||DYNF|6|9.ASSET|Equity|130.2|1.82|LLY| Eli Lilly and Company| 1.40%| North America|Equity|Large Cap Growth Equities||DYNF|6|10.ASSET|Equity|130.2|1.78|JNJ| Johnson & Johnson| 1.37%| North America|Equity|Large Cap Growth Equities||DYNF|6|11.ASSET|Equity|130.2|1.77|COST| Costco Wholesale Corporation| 1.36%| North America|Equity|Large Cap Growth Equities||DYNF|6|12.ASSET|Equity|130.2|1.72|ADBE| Adobe Inc.| 1.32%| North America|Equity|Large Cap Growth Equities||DYNF|6|13.ASSET|Equity|130.2|1.71|BAC| Bank of America Corp| 1.31%| North America|Equity|Large Cap Growth Equities||DYNF|6|14.ASSET|Equity|130.2|1.71|V| Visa Inc. Class A| 1.31%| North America|Equity|Large Cap Growth Equities||DYNF|6|15.ASSET|Equity|130.2|1.55|ACN| Accenture Plc Class A| 1.19%| North America|Equity|Europe Equities||FSZ|6|1.ASSET|Equity|89.3|4.24|SFSN| SFS Group AG| 4.75%| North America|Equity|Europe Equities||FSZ|6|2.ASSET|Equity|89.3|4.24|PSPN| PSP Swiss Property AG| 4.75%| North America|Equity|Europe Equities||FSZ|6|3.ASSET|Equity|89.3|3.99|HOLN| Holcim Ltd| 4.47%| North America|Equity|Europe Equities||FSZ|6|4.ASSET|Equity|89.3|3.5|SCMN| Swisscom AG| 3.92%| North America|Equity|Europe Equities||FSZ|6|5.ASSET|Equity|89.3|3.48|CLN| Clariant AG| 3.90%| North America|Equity|Europe Equities||FSZ|6|6.ASSET|Equity|89.3|3.46|CFR| Compagnie Financiere Richemont SA| 3.88%| North America|Equity|Europe Equities||FSZ|6|7.ASSET|Equity|89.3|3.29|SPSN| Swiss Prime Site AG| 3.68%| North America|Equity|Europe Equities||FSZ|6|8.ASSET|Equity|89.3|3.25|SIKA| Sika AG| 3.64%| North America|Equity|Europe Equities||FSZ|6|9.ASSET|Equity|89.3|3.21|SLHN| Swiss Life Holding AG| 3.60%| North America|Equity|Europe Equities||FSZ|6|10.ASSET|Equity|89.3|3.19|HELN| Helvetia Holding Ltd| 3.57%| North America|Equity|Europe Equities||FSZ|6|11.ASSET|Equity|89.3|3.17|UBSG| UBS Group AG| 3.55%| North America|Equity|Europe Equities||FSZ|6|12.ASSET|Equity|89.3|3.12|BKW| BKW AG| 3.49%| North America|Equity|Europe Equities||FSZ|6|13.ASSET|Equity|89.3|3.1|DAE| Daetwyler Holding AG| 3.47%| North America|Equity|Europe Equities||FSZ|6|14.ASSET|Equity|89.3|3.01|VACN| VAT Group AG| 3.37%| North America|Equity|Europe Equities||FSZ|6|15.ASSET|Equity|89.3|2.92|ADEN| Adecco Group AG| 3.27%| Developed Markets|Equity|Global Equities||SQEW|6|1.ASSET|Equity|110.1|18.45|SPYV| SPDR Portfolio S&P 500 Value ETF| 16.76%| Developed Markets|Equity|Global Equities||SQEW|6|2.ASSET|Equity|110.1|16.12|SLYG| SPDR S&P 600 Small Cap Growth ETF| 14.64%| Developed Markets|Equity|Global Equities||SQEW|6|3.ASSET|Equity|110.1|13.27|SCHE| Schwab Emerging Markets Equity ETF| 12.05%| Developed Markets|Equity|Global Equities||SQEW|6|4.ASSET|Equity|110.1|13.1|SPEM| SPDR Portfolio Emerging Markets ETF| 11.90%| Developed Markets|Equity|Global Equities||SQEW|6|5.ASSET|Equity|110.1|13.02|IEMG| iShares Core MSCI Emerging Markets ETF| 11.83%| Developed Markets|Equity|Global Equities||SQEW|6|6.ASSET|Equity|110.1|5.2|AAPL| Apple Inc.| 4.72%| Developed Markets|Equity|Global Equities||SQEW|6|7.ASSET|Equity|110.1|4.66|MSFT| Microsoft Corporation| 4.23%| Developed Markets|Equity|Global Equities||SQEW|6|8.ASSET|Equity|110.1|2.66|AMZN| Amazon.com, Inc.| 2.42%| Developed Markets|Equity|Global Equities||SQEW|6|9.ASSET|Equity|110.1|1.63|GOOGL| Alphabet Inc. Class A| 1.48%| Developed Markets|Equity|Global Equities||SQEW|6|10.ASSET|Equity|110.1|1.34|TSLA| Tesla Inc| 1.22%| Developed Markets|Equity|Global Equities||SQEW|6|11.ASSET|Equity|110.1|1.23|N/A| U.S. Dollar| 1.12%| Developed Markets|Equity|Global Equities||SQEW|6|12.ASSET|Equity|110.1|1.21|NVDA| NVIDIA Corporation| 1.10%| Developed Markets|Equity|Global Equities||SQEW|6|13.ASSET|Equity|110.1|1.16|SLYV| SPDR S&P 600 Small Cap Value ETF| 1.05%| Developed Markets|Equity|Global Equities||SQEW|6|14.ASSET|Equity|110.1|1.01|FB| Meta Platforms Inc. Class A| 0.92%| Developed Markets|Equity|Global Equities||SQEW|6|15.ASSET|Equity|110.1|0.53|HD| Home Depot, Inc.| 0.48%| North America|Equity|Leveraged Equities||DXD|6|1.ASSET|Equity|98.5|67.47|N/A| U.S. Dollar| 68.50%| North America|Equity|Leveraged Equities||DXD|6|2.ASSET|Equity|98.5|19.8|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 20.10%| North America|Equity|Leveraged Equities||DXD|6|3.ASSET|Equity|98.5|6.6|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 6.70%| North America|Equity|Leveraged Equities||DXD|6|4.ASSET|Equity|98.5|2.64|N/A| United States Treasury Bills 0.0% 05-APR-2022| 2.68%| North America|Equity|Leveraged Equities||DXD|6|5.ASSET|Equity|98.5|1.98|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 2.01%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|1.ASSET|Bond|147.2|2.53|N/A| T-Mobile USA, Inc. 3.875% 15-APR-2030| 1.72%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|2.ASSET|Bond|147.2|1.77|N/A| Deutsche Telekom International Finance BV 8.75% 15-JUN-2030| 1.20%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|3.ASSET|Bond|147.2|1.63|N/A| Boeing Company 5.15% 01-MAY-2030| 1.11%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|4.ASSET|Bond|147.2|1.4|N/A| AT&T Inc. 4.3% 15-FEB-2030| 0.95%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|5.ASSET|Bond|147.2|1.32|N/A| British Telecommunications Plc 9.625% 15-DEC-2030| 0.90%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|6.ASSET|Bond|147.2|1.1|N/A| HSBC Holdings Plc 4.95% 31-MAR-2030| 0.75%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|7.ASSET|Bond|147.2|1.07|N/A| Pacific Gas and Electric Company 4.55% 01-JUL-2030| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|8.ASSET|Bond|147.2|0.96|N/A| Goldman Sachs Group, Inc. 3.8% 15-MAR-2030| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|9.ASSET|Bond|147.2|0.85|N/A| Takeda Pharmaceutical Company Limited 2.05% 31-MAR-2030| 0.58%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|10.ASSET|Bond|147.2|0.84|N/A| Broadcom Inc. 4.15% 15-NOV-2030| 0.57%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|11.ASSET|Bond|147.2|0.82|N/A| Oracle Corporation 2.95% 01-APR-2030| 0.56%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|12.ASSET|Bond|147.2|0.79|N/A| Sabine Pass Liquefaction LLC 4.5% 15-MAY-2030| 0.54%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|13.ASSET|Bond|147.2|0.75|N/A| Home Depot, Inc. 2.7% 15-APR-2030| 0.51%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|14.ASSET|Bond|147.2|0.75|N/A| Verizon Communications Inc. 3.15% 22-MAR-2030| 0.51%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDV|6|15.ASSET|Bond|147.2|0.72|N/A| Anheuser-Busch Inbev Worldwide, Inc. 3.5% 01-JUN-2030| 0.49%| North America|Equity|Financials Equities|Financials|IAK|6|1.ASSET|Equity|137|16.6|CB| Chubb Limited| 12.12%| North America|Equity|Financials Equities|Financials|IAK|6|2.ASSET|Equity|137|11.59|PGR| Progressive Corporation| 8.46%| North America|Equity|Financials Equities|Financials|IAK|6|3.ASSET|Equity|137|9.56|AIG| American International Group, Inc.| 6.98%| North America|Equity|Financials Equities|Financials|IAK|6|4.ASSET|Equity|137|8.96|MET| MetLife, Inc.| 6.54%| North America|Equity|Financials Equities|Financials|IAK|6|5.ASSET|Equity|137|8.07|TRV| Travelers Companies, Inc.| 5.89%| North America|Equity|Financials Equities|Financials|IAK|6|6.ASSET|Equity|137|7.82|PRU| Prudential Financial, Inc.| 5.71%| North America|Equity|Financials Equities|Financials|IAK|6|7.ASSET|Equity|137|6.78|ALL| Allstate Corporation| 4.95%| North America|Equity|Financials Equities|Financials|IAK|6|8.ASSET|Equity|137|6.33|AFL| Aflac Incorporated| 4.62%| North America|Equity|Financials Equities|Financials|IAK|6|9.ASSET|Equity|137|5.62|AJG| Arthur J. Gallagher & Co.| 4.10%| North America|Equity|Financials Equities|Financials|IAK|6|10.ASSET|Equity|137|4.55|HIG| Hartford Financial Services Group, Inc.| 3.32%| North America|Equity|Financials Equities|Financials|IAK|6|11.ASSET|Equity|137|3.56|CINF| Cincinnati Financial Corporation| 2.60%| North America|Equity|Financials Equities|Financials|IAK|6|12.ASSET|Equity|137|3.52|ACGL| Arch Capital Group Ltd.| 2.57%| North America|Equity|Financials Equities|Financials|IAK|6|13.ASSET|Equity|137|3.32|MKL| Markel Corporation| 2.42%| North America|Equity|Financials Equities|Financials|IAK|6|14.ASSET|Equity|137|3.3|PFG| Principal Financial Group, Inc.| 2.41%| North America|Equity|Financials Equities|Financials|IAK|6|15.ASSET|Equity|137|3.06|BRO| Brown & Brown, Inc.| 2.23%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|1.ASSET|Multi-Asset|81.2|24.05|N/A| United States Treasury Notes 1.875% 28-FEB-2027| 29.62%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|2.ASSET|Multi-Asset|81.2|7.7|N/A| Government of the United States of America 0.0% 31-MAY-2022| 9.48%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|3.ASSET|Multi-Asset|81.2|0.37|CPT| Camden Property Trust| 0.45%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|4.ASSET|Multi-Asset|81.2|0.32|AA| Alcoa Corporation| 0.40%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|5.ASSET|Multi-Asset|81.2|0.32|TRGP| Targa Resources Corp.| 0.40%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|6.ASSET|Multi-Asset|81.2|0.32|BLDR| Builders FirstSource, Inc.| 0.39%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|7.ASSET|Multi-Asset|81.2|0.3|STLD| Steel Dynamics, Inc.| 0.37%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|8.ASSET|Multi-Asset|81.2|0.28|FICO| Fair Isaac Corporation| 0.35%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|9.ASSET|Multi-Asset|81.2|0.28|FHN| First Horizon Corporation| 0.34%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|10.ASSET|Multi-Asset|81.2|0.27|JLL| Jones Lang LaSalle Incorporated| 0.33%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|11.ASSET|Multi-Asset|81.2|0.27|DAR| Darling Ingredients Inc.| 0.33%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|12.ASSET|Multi-Asset|81.2|0.26|MPW| Medical Properties Trust, Inc.| 0.32%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|13.ASSET|Multi-Asset|81.2|0.26|GGG| Graco Inc.| 0.32%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|14.ASSET|Multi-Asset|81.2|0.26|CSL| Carlisle Companies Incorporated| 0.32%| North America|Multi-Asset|Mid Cap Blend Equities||DMRM|6|15.ASSET|Multi-Asset|81.2|0.26|EWBC| East West Bancorp, Inc.| 0.32%| North America|Bond|High Yield Bonds|Junk|NUHY|6|1.ASSET|Bond|100|1.94|N/A| Centene Corporation 4.625% 15-DEC-2029| 1.94%| North America|Bond|High Yield Bonds|Junk|NUHY|6|2.ASSET|Bond|100|1.9|N/A| Bausch Health Companies Inc. 7.0% 15-JAN-2028| 1.90%| North America|Bond|High Yield Bonds|Junk|NUHY|6|3.ASSET|Bond|100|1.87|N/A| Nielsen Finance LLC 5.625% 01-OCT-2028| 1.87%| North America|Bond|High Yield Bonds|Junk|NUHY|6|4.ASSET|Bond|100|1.41|N/A| Prime Security Services Borrower LLC 6.25% 15-JAN-2028| 1.41%| North America|Bond|High Yield Bonds|Junk|NUHY|6|5.ASSET|Bond|100|1.39|N/A| Ziggo BV 4.875% 15-JAN-2030| 1.39%| North America|Bond|High Yield Bonds|Junk|NUHY|6|6.ASSET|Bond|100|1.29|N/A| United States Treasury Bills 0.0% 05-AUG-2021| 1.29%| North America|Bond|High Yield Bonds|Junk|NUHY|6|7.ASSET|Bond|100|1.28|N/A| Trivium Packaging Finance BV 5.5% 15-AUG-2026| 1.28%| North America|Bond|High Yield Bonds|Junk|NUHY|6|8.ASSET|Bond|100|1.26|N/A| Select Medical Corp. 6.25% 15-AUG-2026| 1.26%| North America|Bond|High Yield Bonds|Junk|NUHY|6|9.ASSET|Bond|100|1.07|N/A| Tenet Healthcare Corporation 5.125% 01-NOV-2027| 1.07%| North America|Bond|High Yield Bonds|Junk|NUHY|6|10.ASSET|Bond|100|1.01|N/A| Avaya, Inc. 6.125% 15-SEP-2028| 1.01%| North America|Bond|High Yield Bonds|Junk|NUHY|6|11.ASSET|Bond|100|0.97|N/A| SBA Communications Corp. 3.875% 15-FEB-2027| 0.97%| North America|Bond|High Yield Bonds|Junk|NUHY|6|12.ASSET|Bond|100|0.91|N/A| Williams Scotsman International, Inc. 4.625% 15-AUG-2028| 0.91%| North America|Bond|High Yield Bonds|Junk|NUHY|6|13.ASSET|Bond|100|0.88|N/A| ITT Holdings LLC 6.5% 01-AUG-2029| 0.88%| North America|Bond|High Yield Bonds|Junk|NUHY|6|14.ASSET|Bond|100|0.87|N/A| Realogy Group LLC 5.75% 15-JAN-2029| 0.87%| North America|Bond|High Yield Bonds|Junk|NUHY|6|15.ASSET|Bond|100|0.86|N/A| MGM Growth Properties Operating Partnership LP 5.75% 01-FEB-2027| 0.86%| |Bond|Total Bond Market|Total Bond Market|UBND|6|1.ASSET|Bond|215.6|14.79|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 6.86%| |Bond|Total Bond Market|Total Bond Market|UBND|6|2.ASSET|Bond|215.6|10.13|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 4.70%| |Bond|Total Bond Market|Total Bond Market|UBND|6|3.ASSET|Bond|215.6|10.05|N/A| CORPORATE BOND| 4.66%| |Bond|Total Bond Market|Total Bond Market|UBND|6|4.ASSET|Bond|215.6|6.04|N/A| United States Treasury Notes 0.375% 31-JUL-2027| 2.80%| |Bond|Total Bond Market|Total Bond Market|UBND|6|5.ASSET|Bond|215.6|4.38|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 2.03%| |Bond|Total Bond Market|Total Bond Market|UBND|6|6.ASSET|Bond|215.6|3.3|N/A| ASSET-BACKED SECURITIES| 1.53%| |Bond|Total Bond Market|Total Bond Market|UBND|6|7.ASSET|Bond|215.6|2.89|N/A| United States Treasury Notes 0.875% 30-SEP-2026| 1.34%| |Bond|Total Bond Market|Total Bond Market|UBND|6|8.ASSET|Bond|215.6|2.46|N/A| CAMB 2021-CX2 Mortgage Trust A 2.7% 10-NOV-2046| 1.14%| |Bond|Total Bond Market|Total Bond Market|UBND|6|9.ASSET|Bond|215.6|2.03|N/A| Berry Global Escrow Corp. 4.875% 15-JUL-2026| 0.94%| |Bond|Total Bond Market|Total Bond Market|UBND|6|10.ASSET|Bond|215.6|2.01|N/A| FIXED INCOME (UNCLASSFIED)| 0.93%| |Bond|Total Bond Market|Total Bond Market|UBND|6|11.ASSET|Bond|215.6|1.94|N/A| United States Treasury Bond 1.25% 15-MAY-2050| 0.90%| |Bond|Total Bond Market|Total Bond Market|UBND|6|12.ASSET|Bond|215.6|1.81|N/A| United States Treasury Bond 1.75% 15-AUG-2041| 0.84%| |Bond|Total Bond Market|Total Bond Market|UBND|6|13.ASSET|Bond|215.6|1.7|N/A| JPMorgan Chase & Co. 2.956% 13-MAY-2031| 0.79%| |Bond|Total Bond Market|Total Bond Market|UBND|6|14.ASSET|Bond|215.6|1.7|N/A| Ontario Teachers\' Cadillac Fairview Properties Trust 2.5% 15-OCT-2031| 0.79%| |Bond|Total Bond Market|Total Bond Market|UBND|6|15.ASSET|Bond|215.6|1.6|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 0.74%| North America|Equity|n/a||DAPR|6|1.ASSET|Equity|85.1|84.74|N/A| OPTIONS| 99.58%| North America|Equity|n/a||DAPR|6|2.ASSET|Equity|85.1|81.91|N/A| OPTIONS| 96.25%| North America|Equity|n/a||DAPR|6|3.ASSET|Equity|85.1|3.19|N/A| U.S. Dollar| 3.75%| North America|Equity|n/a||DAPR|6|4.ASSET|Equity|85.1|0.36|N/A| U.S. Dollar| 0.42%| North America|Equity|Diversified Portfolio||DWUS|6|1.ASSET|Equity|93.8|47.33|RSP| Invesco S&P 500 Equal Weight ETF| 50.46%| North America|Equity|Diversified Portfolio||DWUS|6|2.ASSET|Equity|93.8|46.32|QQQ| Invesco QQQ Trust| 49.38%| North America|Equity|Diversified Portfolio||DWUS|6|3.ASSET|Equity|93.8|0.15|N/A| MUTUAL FUND (OTHER)| 0.16%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|1.ASSET|Equity|104.6|1.23|COP| ConocoPhillips| 1.18%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|2.ASSET|Equity|104.6|1.11|CVX| Chevron Corporation| 1.06%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|3.ASSET|Equity|104.6|1.04|MTN| MTN Group Limited| 0.99%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|4.ASSET|Equity|104.6|1.04|XOM| Exxon Mobil Corporation| 0.99%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|5.ASSET|Equity|104.6|0.99|SLB| Schlumberger NV| 0.95%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|6.ASSET|Equity|104.6|0.97|NTR| Nutrien Ltd.| 0.93%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|7.ASSET|Equity|104.6|0.93|WMB| Williams Companies, Inc.| 0.89%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|8.ASSET|Equity|104.6|0.92|BA| BAE Systems plc| 0.88%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|9.ASSET|Equity|104.6|0.9|HSBA| HSBC Holdings Plc| 0.86%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|10.ASSET|Equity|104.6|0.88|AAL| Anglo American plc| 0.84%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|11.ASSET|Equity|104.6|0.88|RTX| Raytheon Technologies Corporation| 0.84%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|12.ASSET|Equity|104.6|0.86|CVS| CVS Health Corporation| 0.82%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|13.ASSET|Equity|104.6|0.86|HPQ| HP Inc.| 0.82%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|14.ASSET|Equity|104.6|0.86|857| PetroChina Company Limited Class H| 0.82%| Developed Markets|Equity|Large Cap Blend Equities||DGT|6|15.ASSET|Equity|104.6|0.85|NG| National Grid plc| 0.81%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|1.ASSET|Equity|171.6|9.52|HSY| Hershey Company| 5.55%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|2.ASSET|Equity|171.6|9.39|KO| Coca-Cola Company| 5.47%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|3.ASSET|Equity|171.6|9.16|KHC| Kraft Heinz Company| 5.34%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|4.ASSET|Equity|171.6|8.94|KDP| Keurig Dr Pepper Inc.| 5.21%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|5.ASSET|Equity|171.6|8.94|GIS| General Mills, Inc.| 5.21%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|6.ASSET|Equity|171.6|8.85|MDLZ| Mondelez International, Inc. Class A| 5.16%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|7.ASSET|Equity|171.6|8.31|PEP| PepsiCo, Inc.| 4.84%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|8.ASSET|Equity|171.6|7.65|STZ| Constellation Brands, Inc. Class A| 4.46%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|9.ASSET|Equity|171.6|5.65|TWNK| Hostess Brands, Inc. Class A| 3.29%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|10.ASSET|Equity|171.6|5.39|ADM| Archer-Daniels-Midland Company| 3.14%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|11.ASSET|Equity|171.6|5.17|TSN| Tyson Foods, Inc. Class A| 3.01%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|12.ASSET|Equity|171.6|5.17|KR| Kroger Co.| 3.01%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|13.ASSET|Equity|171.6|5.15|BG| Bunge Limited| 3.00%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|14.ASSET|Equity|171.6|5.06|USFD| US Foods Holding Corp.| 2.95%| North America|Equity|Consumer Staples Equities|Consumer Staples|PBJ|6|15.ASSET|Equity|171.6|4.98|DOLE| Dole Plc| 2.90%| North America|Equity|Large Cap Blend Equities||FBCV|6|1.ASSET|Equity|110.4|5.09|BRK.B| Berkshire Hathaway Inc. Class B| 4.61%| North America|Equity|Large Cap Blend Equities||FBCV|6|2.ASSET|Equity|110.4|3.5|UNH| UnitedHealth Group Incorporated| 3.17%| North America|Equity|Large Cap Blend Equities||FBCV|6|3.ASSET|Equity|110.4|3.43|CMCSA| Comcast Corporation Class A| 3.11%| North America|Equity|Large Cap Blend Equities||FBCV|6|4.ASSET|Equity|110.4|3.26|BAC| Bank of America Corp| 2.95%| North America|Equity|Large Cap Blend Equities||FBCV|6|5.ASSET|Equity|110.4|3.1|PG| Procter & Gamble Company| 2.81%| North America|Equity|Large Cap Blend Equities||FBCV|6|6.ASSET|Equity|110.4|3.09|XOM| Exxon Mobil Corporation| 2.80%| North America|Equity|Large Cap Blend Equities||FBCV|6|7.ASSET|Equity|110.4|2.94|GOOGL| Alphabet Inc. Class A| 2.66%| North America|Equity|Large Cap Blend Equities||FBCV|6|8.ASSET|Equity|110.4|2.94|CNC| Centene Corporation| 2.66%| North America|Equity|Large Cap Blend Equities||FBCV|6|9.ASSET|Equity|110.4|2.93|JPM| JPMorgan Chase & Co.| 2.65%| North America|Equity|Large Cap Blend Equities||FBCV|6|10.ASSET|Equity|110.4|2.89|CSCO| Cisco Systems, Inc.| 2.62%| North America|Equity|Large Cap Blend Equities||FBCV|6|11.ASSET|Equity|110.4|2.84|CI| Cigna Corporation| 2.57%| North America|Equity|Large Cap Blend Equities||FBCV|6|12.ASSET|Equity|110.4|2.35|SNY| Sanofi SA Sponsored ADR| 2.13%| North America|Equity|Large Cap Blend Equities||FBCV|6|13.ASSET|Equity|110.4|2.16|MDLZ| Mondelez International, Inc. Class A| 1.96%| North America|Equity|Large Cap Blend Equities||FBCV|6|14.ASSET|Equity|110.4|2.16|EXC| Exelon Corporation| 1.96%| North America|Equity|Large Cap Blend Equities||FBCV|6|15.ASSET|Equity|110.4|1.97|IPG| Interpublic Group of Companies, Inc.| 1.78%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|1.ASSET|Equity|125.6|9.56|DE| Deere & Company| 7.61%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|2.ASSET|Equity|125.6|5.24|NTR| Nutrien Ltd.| 4.17%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|3.ASSET|Equity|125.6|4.68|ADM| Archer-Daniels-Midland Company| 3.73%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|4.ASSET|Equity|125.6|3.89|CTVA| Corteva Inc| 3.10%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|5.ASSET|Equity|125.6|3.6|XOM| Exxon Mobil Corporation| 2.87%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|6.ASSET|Equity|125.6|3.14|CVX| Chevron Corporation| 2.50%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|7.ASSET|Equity|125.6|2.93|TSN| Tyson Foods, Inc. Class A| 2.33%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|8.ASSET|Equity|125.6|2.46|TSCO| Tractor Supply Company| 1.96%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|9.ASSET|Equity|125.6|2.26|BHP| BHP Group Ltd| 1.80%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|10.ASSET|Equity|125.6|2.12|MOS| Mosaic Company| 1.69%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|11.ASSET|Equity|125.6|2.07|6326| Kubota Corporation| 1.65%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|12.ASSET|Equity|125.6|1.92|RIO| Rio Tinto plc| 1.53%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|13.ASSET|Equity|125.6|1.9|CF| CF Industries Holdings, Inc.| 1.51%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|14.ASSET|Equity|125.6|1.7|VALE| Vale S.A. Sponsored ADR| 1.35%| Developed Markets|Equity|Large Cap Blend Equities|Materials|HAP|6|15.ASSET|Equity|125.6|1.58|FMC| FMC Corporation| 1.26%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|1.ASSET|Bond|100.8|1.55|N/A| KfW 1.75% 14-SEP-2029| 1.54%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|2.ASSET|Bond|100.8|1.26|N/A| Fannie Mae Multifamily REMIC Trust 2019-M1 A2 3.554347% 25-SEP-2028| 1.25%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|3.ASSET|Bond|100.8|1.14|N/A| Ford Motor Company 3.25% 12-FEB-2032| 1.13%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|4.ASSET|Bond|100.8|1.05|N/A| Apple Inc. 3.0% 20-JUN-2027| 1.04%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|5.ASSET|Bond|100.8|0.87|N/A| KfW 0.75% 30-SEP-2030| 0.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|6.ASSET|Bond|100.8|0.82|N/A| European Investment Bank 2.125% 13-APR-2026| 0.81%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|7.ASSET|Bond|100.8|0.81|N/A| Industrial & Commercial Bank of China /Hong Kong Branch/ FRN 16-SEP-2024| 0.80%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|8.ASSET|Bond|100.8|0.81|N/A| Government of Chile 2.55% 27-JAN-2032| 0.80%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|9.ASSET|Bond|100.8|0.79|N/A| SLG Office Trust 2021-OVA A 2.5854% 15-JUL-2041| 0.78%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|10.ASSET|Bond|100.8|0.79|N/A| Government of Chile 3.5% 25-JAN-2050| 0.78%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|11.ASSET|Bond|100.8|0.78|N/A| European Investment Bank 2.875% 13-JUN-2025| 0.77%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|12.ASSET|Bond|100.8|0.77|N/A| Nederlandse Waterschapsbank NV 2.375% 24-MAR-2026| 0.76%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|13.ASSET|Bond|100.8|0.76|N/A| International Finance Corp. (District of Columbia) 2.125% 07-APR-2026| 0.75%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|14.ASSET|Bond|100.8|0.75|N/A| Citigroup Inc. 1.678% 15-MAY-2024| 0.74%| Developed Markets|Bond|Total Bond Market|Total Bond Market|GRNB|6|15.ASSET|Bond|100.8|0.75|N/A| Southern Power Co. 4.15% 01-DEC-2025| 0.74%| North America|Equity|Large Cap Growth Equities||CHGX|6|1.ASSET|Equity|114.6|2.18|SPGI| S&P Global, Inc.| 1.90%| North America|Equity|Large Cap Growth Equities||CHGX|6|2.ASSET|Equity|114.6|2.01|AMD| Advanced Micro Devices, Inc.| 1.75%| North America|Equity|Large Cap Growth Equities||CHGX|6|3.ASSET|Equity|114.6|1.63|ABBV| AbbVie, Inc.| 1.42%| North America|Equity|Large Cap Growth Equities||CHGX|6|4.ASSET|Equity|114.6|1.62|BMY| Bristol-Myers Squibb Company| 1.41%| North America|Equity|Large Cap Growth Equities||CHGX|6|5.ASSET|Equity|114.6|1.55|CI| Cigna Corporation| 1.35%| North America|Equity|Large Cap Growth Equities||CHGX|6|6.ASSET|Equity|114.6|1.49|AXP| American Express Company| 1.30%| North America|Equity|Large Cap Growth Equities||CHGX|6|7.ASSET|Equity|114.6|1.47|TMX| Terminix Global Holdings Inc| 1.28%| North America|Equity|Large Cap Growth Equities||CHGX|6|8.ASSET|Equity|114.6|1.44|BDX| Becton, Dickinson and Company| 1.26%| North America|Equity|Large Cap Growth Equities||CHGX|6|9.ASSET|Equity|114.6|1.43|AMGN| Amgen Inc.| 1.25%| North America|Equity|Large Cap Growth Equities||CHGX|6|10.ASSET|Equity|114.6|1.41|CB| Chubb Limited| 1.23%| North America|Equity|Large Cap Growth Equities||CHGX|6|11.ASSET|Equity|114.6|1.41|SYK| Stryker Corporation| 1.23%| North America|Equity|Large Cap Growth Equities||CHGX|6|12.ASSET|Equity|114.6|1.38|V| Visa Inc. Class A| 1.20%| North America|Equity|Large Cap Growth Equities||CHGX|6|13.ASSET|Equity|114.6|1.38|MA| Mastercard Incorporated Class A| 1.20%| North America|Equity|Large Cap Growth Equities||CHGX|6|14.ASSET|Equity|114.6|1.36|UNH| UnitedHealth Group Incorporated| 1.19%| North America|Equity|Large Cap Growth Equities||CHGX|6|15.ASSET|Equity|114.6|1.36|RL| Ralph Lauren Corporation Class A| 1.19%| Developed Markets|Equity|Materials|Materials|CUT|6|1.ASSET|Equity|86|4.58|PKG| Packaging Corporation of America| 5.33%| Developed Markets|Equity|Materials|Materials|CUT|6|2.ASSET|Equity|86|4.48|AMCR| Amcor PLC| 5.21%| Developed Markets|Equity|Materials|Materials|CUT|6|3.ASSET|Equity|86|4.35|WY| Weyerhaeuser Company| 5.06%| Developed Markets|Equity|Materials|Materials|CUT|6|4.ASSET|Equity|86|4.3|AVY| Avery Dennison Corporation| 5.00%| Developed Markets|Equity|Materials|Materials|CUT|6|5.ASSET|Equity|86|4.16|IP| International Paper Company| 4.84%| Developed Markets|Equity|Materials|Materials|CUT|6|6.ASSET|Equity|86|3.96|UPM| UPM-Kymmene Oyj| 4.61%| Developed Markets|Equity|Materials|Materials|CUT|6|7.ASSET|Equity|86|3.96|WRK| WestRock Company| 4.60%| Developed Markets|Equity|Materials|Materials|CUT|6|8.ASSET|Equity|86|3.83|SK3| Smurfit Kappa Group Plc| 4.45%| Developed Markets|Equity|Materials|Materials|CUT|6|9.ASSET|Equity|86|3.58|STERV| Stora Enso Oyj Class R| 4.16%| Developed Markets|Equity|Materials|Materials|CUT|6|10.ASSET|Equity|86|3.41|SCA.B| Svenska Cellulosa AB SCA Class B| 3.96%| Developed Markets|Equity|Materials|Materials|CUT|6|11.ASSET|Equity|86|3.34|MNDI| Mondi plc| 3.88%| Developed Markets|Equity|Materials|Materials|CUT|6|12.ASSET|Equity|86|3.33|SEE| Sealed Air Corporation| 3.87%| Developed Markets|Equity|Materials|Materials|CUT|6|13.ASSET|Equity|86|3.18|WFG| West Fraser Timber Co. Ltd.| 3.70%| Developed Markets|Equity|Materials|Materials|CUT|6|14.ASSET|Equity|86|2.68|SUZB3| Suzano S.A.| 3.12%| Developed Markets|Equity|Materials|Materials|CUT|6|15.ASSET|Equity|86|2.42|SIGN| SIG Combibloc Group Ltd| 2.81%| North America|Equity|Large Cap Blend Equities||JOET|6|1.ASSET|Equity|133.4|1.48|NUE| Nucor Corporation| 1.11%| North America|Equity|Large Cap Blend Equities||JOET|6|2.ASSET|Equity|133.4|1.24|BX| Blackstone Inc.| 0.93%| North America|Equity|Large Cap Blend Equities||JOET|6|3.ASSET|Equity|133.4|1.21|ADM| Archer-Daniels-Midland Company| 0.91%| North America|Equity|Large Cap Blend Equities||JOET|6|4.ASSET|Equity|133.4|1.2|FCX| Freeport-McMoRan, Inc.| 0.90%| North America|Equity|Large Cap Blend Equities||JOET|6|5.ASSET|Equity|133.4|1.2|ABBV| AbbVie, Inc.| 0.90%| North America|Equity|Large Cap Blend Equities||JOET|6|6.ASSET|Equity|133.4|1.2|FTNT| Fortinet, Inc.| 0.90%| North America|Equity|Large Cap Blend Equities||JOET|6|7.ASSET|Equity|133.4|1.17|AVGO| Broadcom Inc.| 0.88%| North America|Equity|Large Cap Blend Equities||JOET|6|8.ASSET|Equity|133.4|1.17|MU| Micron Technology, Inc.| 0.88%| North America|Equity|Large Cap Blend Equities||JOET|6|9.ASSET|Equity|133.4|1.17|ALGN| Align Technology, Inc.| 0.88%| North America|Equity|Large Cap Blend Equities||JOET|6|10.ASSET|Equity|133.4|1.17|WRB| W. R. Berkley Corporation| 0.88%| North America|Equity|Large Cap Blend Equities||JOET|6|11.ASSET|Equity|133.4|1.17|PXD| Pioneer Natural Resources Company| 0.88%| North America|Equity|Large Cap Blend Equities||JOET|6|12.ASSET|Equity|133.4|1.17|COP| ConocoPhillips| 0.88%| North America|Equity|Large Cap Blend Equities||JOET|6|13.ASSET|Equity|133.4|1.16|RF| Regions Financial Corporation| 0.87%| North America|Equity|Large Cap Blend Equities||JOET|6|14.ASSET|Equity|133.4|1.16|ARES| Ares Management Corporation| 0.87%| North America|Equity|Large Cap Blend Equities||JOET|6|15.ASSET|Equity|133.4|1.16|ISRG| Intuitive Surgical, Inc.| 0.87%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|1.ASSET|Bond|100.7|10.64|N/A| MUTUAL FUND (OTHER)| 10.57%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|2.ASSET|Bond|100.7|1.98|N/A| Southeast Energy Auth Commodity Supply Rev Ala 4.0% 01-DEC-2051| 1.97%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|3.ASSET|Bond|100.7|1.81|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-AUG-2035| 1.80%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|4.ASSET|Bond|100.7|1.24|N/A| MUNICIPAL BONDS| 1.23%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|5.ASSET|Bond|100.7|1.23|N/A| Norfolk Va 5.0% 01-MAR-2034| 1.22%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|6.ASSET|Bond|100.7|1.22|N/A| West Va Pkwys Auth Tpk Toll Rev 5.0% 01-JUN-2034| 1.21%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|7.ASSET|Bond|100.7|1.2|N/A| District Columbia Income Tax Rev 5.0% 01-MAY-2033| 1.19%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|8.ASSET|Bond|100.7|1.2|N/A| Washington St 5.0% 01-AUG-2035| 1.19%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|9.ASSET|Bond|100.7|1.15|N/A| New Jersey St 5.0% 01-JUN-2028| 1.14%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|10.ASSET|Bond|100.7|1.01|N/A| University Utah Univ Revs 5.0% 01-AUG-2031| 1.00%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|11.ASSET|Bond|100.7|1|N/A| Youngstown St Univ Ohio Gen Rcpts 4.0% 15-DEC-2031| 0.99%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|12.ASSET|Bond|100.7|0.9|N/A| Multnomah Cnty Ore 5.0% 15-JUN-2029| 0.89%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|13.ASSET|Bond|100.7|0.87|N/A| Public Fin Auth Wis Healthcare Facs Rev 5.0% 01-OCT-2027| 0.86%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|14.ASSET|Bond|100.7|0.81|N/A| Kentucky Inc Ky Pub Energy Auth Gas Suplly Rev VAR 01-AUG-2052| 0.80%| North America|Bond|Total Bond Market|Total Bond Market|JMUB|6|15.ASSET|Bond|100.7|0.78|N/A| Ohio St Wtr Dev Auth Rev 5.0% 01-DEC-2033| 0.77%| North America|Equity|Europe Equities||FKU|6|1.ASSET|Equity|87.1|2.8|AAL| Anglo American plc| 3.22%| North America|Equity|Europe Equities||FKU|6|2.ASSET|Equity|87.1|2.72|RIO| Rio Tinto plc| 3.12%| North America|Equity|Europe Equities||FKU|6|3.ASSET|Equity|87.1|2.19|CNA| Centrica plc| 2.52%| North America|Equity|Europe Equities||FKU|6|4.ASSET|Equity|87.1|2.12|EDV| Endeavour Mining PLC| 2.43%| North America|Equity|Europe Equities||FKU|6|5.ASSET|Equity|87.1|2.09|INVP| Investec plc| 2.40%| North America|Equity|Europe Equities||FKU|6|6.ASSET|Equity|87.1|2.06|BBOX| Tritax Big Box REIT Plc| 2.36%| North America|Equity|Europe Equities||FKU|6|7.ASSET|Equity|87.1|1.95|BP| BP p.l.c.| 2.24%| North America|Equity|Europe Equities||FKU|6|8.ASSET|Equity|87.1|1.94|SGRO| SEGRO plc| 2.23%| North America|Equity|Europe Equities||FKU|6|9.ASSET|Equity|87.1|1.92|III| 3i Group plc| 2.21%| North America|Equity|Europe Equities||FKU|6|10.ASSET|Equity|87.1|1.86|KGF| Kingfisher Plc| 2.14%| North America|Equity|Europe Equities||FKU|6|11.ASSET|Equity|87.1|1.86|BT.A| BT Group plc| 2.13%| North America|Equity|Europe Equities||FKU|6|12.ASSET|Equity|87.1|1.86|FERG| Ferguson Plc| 2.13%| North America|Equity|Europe Equities||FKU|6|13.ASSET|Equity|87.1|1.78|ABDN| Abrdn plc| 2.04%| North America|Equity|Europe Equities||FKU|6|14.ASSET|Equity|87.1|1.75|IMB| Imperial Brands PLC| 2.01%| North America|Equity|Europe Equities||FKU|6|15.ASSET|Equity|87.1|1.74|BNZL| Bunzl plc| 2.00%| Emerging Asia Pacific|Equity|Leveraged Equities||INDL|6|1.ASSET|Equity|73.8|32.72|DGCXX| Dreyfus Government Cash Management Funds Institutional| 44.33%| Emerging Asia Pacific|Equity|Leveraged Equities||INDL|6|2.ASSET|Equity|73.8|27.97|INDA| iShares MSCI India ETF| 37.90%| Emerging Asia Pacific|Equity|Leveraged Equities||INDL|6|3.ASSET|Equity|73.8|10.29|N/A| MUTUAL FUND (OTHER)| 13.94%| Emerging Asia Pacific|Equity|Leveraged Equities||INDL|6|4.ASSET|Equity|73.8|1.57|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 2.13%| Emerging Asia Pacific|Equity|Leveraged Equities||INDL|6|5.ASSET|Equity|73.8|1.21|N/A| TREASURY ISSUES (LONG-TERM)| 1.64%| Emerging Asia Pacific|Equity|Leveraged Equities||INDL|6|6.ASSET|Equity|73.8|0.04|N/A| U.S. Dollar| 0.06%| North America|Equity|Large Cap Growth Equities||RESP|6|1.ASSET|Equity|75.5|4.7|AAPL| Apple Inc.| 6.23%| North America|Equity|Large Cap Growth Equities||RESP|6|2.ASSET|Equity|75.5|3.95|MSFT| Microsoft Corporation| 5.23%| North America|Equity|Large Cap Growth Equities||RESP|6|3.ASSET|Equity|75.5|3.19|GOOGL| Alphabet Inc. Class A| 4.22%| North America|Equity|Large Cap Growth Equities||RESP|6|4.ASSET|Equity|75.5|1.9|AMZN| Amazon.com, Inc.| 2.52%| North America|Equity|Large Cap Growth Equities||RESP|6|5.ASSET|Equity|75.5|1.16|NVDA| NVIDIA Corporation| 1.54%| North America|Equity|Large Cap Growth Equities||RESP|6|6.ASSET|Equity|75.5|1.13|TSLA| Tesla Inc| 1.50%| North America|Equity|Large Cap Growth Equities||RESP|6|7.ASSET|Equity|75.5|1.06|FB| Meta Platforms Inc. Class A| 1.40%| North America|Equity|Large Cap Growth Equities||RESP|6|8.ASSET|Equity|75.5|0.87|V| Visa Inc. Class A| 1.15%| North America|Equity|Large Cap Growth Equities||RESP|6|9.ASSET|Equity|75.5|0.73|JPM| JPMorgan Chase & Co.| 0.97%| North America|Equity|Large Cap Growth Equities||RESP|6|10.ASSET|Equity|75.5|0.7|BAC| Bank of America Corp| 0.93%| North America|Equity|Large Cap Growth Equities||RESP|6|11.ASSET|Equity|75.5|0.66|UNH| UnitedHealth Group Incorporated| 0.88%| North America|Equity|Large Cap Growth Equities||RESP|6|12.ASSET|Equity|75.5|0.63|ADBE| Adobe Inc.| 0.83%| North America|Equity|Large Cap Growth Equities||RESP|6|13.ASSET|Equity|75.5|0.61|PG| Procter & Gamble Company| 0.81%| North America|Equity|Large Cap Growth Equities||RESP|6|14.ASSET|Equity|75.5|0.57|CSCO| Cisco Systems, Inc.| 0.76%| North America|Equity|Large Cap Growth Equities||RESP|6|15.ASSET|Equity|75.5|0.56|JNJ| Johnson & Johnson| 0.74%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|1.ASSET|Equity|104.9|14.35|XOM| Exxon Mobil Corporation| 13.68%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|2.ASSET|Equity|104.9|12.5|CVX| Chevron Corporation| 11.92%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|3.ASSET|Equity|104.9|8.91|SHEL| Shell PLC| 8.49%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|4.ASSET|Equity|104.9|5.65|TTE| TotalEnergies SE| 5.39%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|5.ASSET|Equity|104.9|5.44|COP| ConocoPhillips| 5.19%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|6.ASSET|Equity|104.9|4.2|BP| BP p.l.c.| 4.00%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|7.ASSET|Equity|104.9|2.87|EOG| EOG Resources, Inc.| 2.74%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|8.ASSET|Equity|104.9|2.85|CNQ| Canadian Natural Resources Limited| 2.72%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|9.ASSET|Equity|104.9|2.52|500325| Reliance Industries Limited| 2.40%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|10.ASSET|Equity|104.9|2.36|PXD| Pioneer Natural Resources Company| 2.25%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|11.ASSET|Equity|104.9|1.99|MPC| Marathon Petroleum Corporation| 1.90%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|12.ASSET|Equity|104.9|1.92|SU| Suncor Energy Inc.| 1.83%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|13.ASSET|Equity|104.9|1.9|OXY| Occidental Petroleum Corporation| 1.81%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|14.ASSET|Equity|104.9|1.73|ENI| Eni S.p.A.| 1.65%| Developed Markets|Equity|Energy Equities|Energy|FILL|6|15.ASSET|Equity|104.9|1.59|DVN| Devon Energy Corporation| 1.52%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|1.ASSET|Bond|81.3|2.01|N/A| Galaxy Pipeline Assets Bidco Ltd. 2.16% 31-MAR-2034| 2.47%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|2.ASSET|Bond|81.3|1.92|N/A| TNB Global Ventures Capital Bhd. 3.244% 19-OCT-2026| 2.36%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|3.ASSET|Bond|81.3|1.85|N/A| PSA Treasury Pte. Ltd. 2.125% 05-SEP-2029| 2.27%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|4.ASSET|Bond|81.3|1.78|N/A| Temasek Financial (I) Ltd. 1.0% 06-OCT-2030| 2.19%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|5.ASSET|Bond|81.3|1.77|N/A| Government of Saudi Arabia 2.25% 02-FEB-2033| 2.18%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|6.ASSET|Bond|81.3|1.76|N/A| Minejesa Capital BV 5.625% 10-AUG-2037| 2.17%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|7.ASSET|Bond|81.3|1.71|N/A| Chile Electricity PEC SpA 0.0% 25-JAN-2028| 2.10%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|8.ASSET|Bond|81.3|1.71|N/A| Government of Panama 3.87% 23-JUL-2060| 2.10%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|9.ASSET|Bond|81.3|1.61|N/A| Government of the Dominican Republic 4.875% 23-SEP-2032| 1.98%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|10.ASSET|Bond|81.3|1.57|N/A| Itau Unibanco Holding S.A. 3.875% 15-APR-2031| 1.93%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|11.ASSET|Bond|81.3|1.54|N/A| Oversea-Chinese Banking Corporation Limited 1.832% 10-SEP-2030| 1.90%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|12.ASSET|Bond|81.3|1.54|N/A| Perusahaan Penerbit SBSN Indonesia III TR 2.55 % Medium Term Notes 2021-09.06.31 -144A-| 1.89%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|13.ASSET|Bond|81.3|1.44|N/A| Government of Indonesia 3.7% 30-OCT-2049| 1.77%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|14.ASSET|Bond|81.3|1.41|N/A| Government of Mexico 4.28% 14-AUG-2041| 1.73%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMTL|6|15.ASSET|Bond|81.3|1.4|N/A| DBS Group Holdings Ltd 1.822% 10-MAR-2031| 1.72%| North America|Equity|Energy Equities|Energy|PXI|6|1.ASSET|Equity|223.6|12.05|OVV| Ovintiv Inc| 5.39%| North America|Equity|Energy Equities|Energy|PXI|6|2.ASSET|Equity|223.6|10.87|LNG| Cheniere Energy, Inc.| 4.86%| North America|Equity|Energy Equities|Energy|PXI|6|3.ASSET|Equity|223.6|9.79|SM| SM Energy Company| 4.38%| North America|Equity|Energy Equities|Energy|PXI|6|4.ASSET|Equity|223.6|9.53|DVN| Devon Energy Corporation| 4.26%| North America|Equity|Energy Equities|Energy|PXI|6|5.ASSET|Equity|223.6|8.79|TRGP| Targa Resources Corp.| 3.93%| North America|Equity|Energy Equities|Energy|PXI|6|6.ASSET|Equity|223.6|8.74|APA| APA Corp.| 3.91%| North America|Equity|Energy Equities|Energy|PXI|6|7.ASSET|Equity|223.6|7.58|MRO| Marathon Oil Corporation| 3.39%| North America|Equity|Energy Equities|Energy|PXI|6|8.ASSET|Equity|223.6|7.56|CLR| Continental Resources, Inc.| 3.38%| North America|Equity|Energy Equities|Energy|PXI|6|9.ASSET|Equity|223.6|7.56|RRC| Range Resources Corporation| 3.38%| North America|Equity|Energy Equities|Energy|PXI|6|10.ASSET|Equity|223.6|7.45|COP| ConocoPhillips| 3.33%| North America|Equity|Energy Equities|Energy|PXI|6|11.ASSET|Equity|223.6|7.13|FANG| Diamondback Energy, Inc.| 3.19%| North America|Equity|Energy Equities|Energy|PXI|6|12.ASSET|Equity|223.6|6.75|AR| Antero Resources Corporation| 3.02%| North America|Equity|Energy Equities|Energy|PXI|6|13.ASSET|Equity|223.6|6.53|MTDR| Matador Resources Company| 2.92%| North America|Equity|Energy Equities|Energy|PXI|6|14.ASSET|Equity|223.6|6.28|PDCE| PDC Energy, Inc.| 2.81%| North America|Equity|Energy Equities|Energy|PXI|6|15.ASSET|Equity|223.6|5.1|PXD| Pioneer Natural Resources Company| 2.28%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|1.ASSET|Equity|90.3|36.25|N/A| MUTUAL FUND (OTHER)| 40.14%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|2.ASSET|Equity|90.3|5.78|500570| Tata Motors Limited| 6.40%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|3.ASSET|Equity|90.3|5.63|540376| Avenue Supermarts Ltd.| 6.23%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|4.ASSET|Equity|90.3|4.3|500875| ITC Limited| 4.76%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|5.ASSET|Equity|90.3|3.57|505200| Eicher Motors Limited| 3.95%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|6.ASSET|Equity|90.3|3.46|500530| Bosch Limited| 3.83%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|7.ASSET|Equity|90.3|3.42|500520| Mahindra & Mahindra Ltd.| 3.79%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|8.ASSET|Equity|90.3|2.97|500182| Hero Motocorp Limited| 3.29%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|9.ASSET|Equity|90.3|2.93|532500| Maruti Suzuki India Limited| 3.24%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|10.ASSET|Equity|90.3|2.69|500114| Titan Company Limited| 2.98%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|11.ASSET|Equity|90.3|2.3|533155| Jubilant Foodworks Limited| 2.55%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|12.ASSET|Equity|90.3|2.29|539876| Crompton Greaves Consumer Electricals Ltd.| 2.54%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|13.ASSET|Equity|90.3|1.89|532977| Bajaj Auto Limited.| 2.09%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|14.ASSET|Equity|90.3|1.7|500790| Nestle India Ltd.| 1.88%| Emerging Asia Pacific|Equity|Asia Pacific Equities|Consumer Discretionary|INCO|6|15.ASSET|Equity|90.3|1.57|500696| Hindustan Unilever Limited| 1.74%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|1.ASSET|Equity|90.7|1.42|SHEL| Shell PLC| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|2.ASSET|Equity|90.7|1.27|BP| BP p.l.c.| 1.40%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|3.ASSET|Equity|90.7|1.02|GLEN| Glencore plc| 1.12%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|4.ASSET|Equity|90.7|0.9|ENI| Eni S.p.A.| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|5.ASSET|Equity|90.7|0.86|VOD| Vodafone Group Plc| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|6.ASSET|Equity|90.7|0.75|DGE| Diageo plc| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|7.ASSET|Equity|90.7|0.69|NOVO.B| Novo Nordisk A/S Class B| 0.76%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|8.ASSET|Equity|90.7|0.68|MT| ArcelorMittal SA| 0.75%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|9.ASSET|Equity|90.7|0.64|EQNR| Equinor ASA| 0.71%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|10.ASSET|Equity|90.7|0.64|GLE| Societe Generale S.A. Class A| 0.71%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|11.ASSET|Equity|90.7|0.61|TEF| Telefonica SA| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|12.ASSET|Equity|90.7|0.61|6501| Hitachi,Ltd.| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|13.ASSET|Equity|90.7|0.6|TTE| TotalEnergies SE| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|14.ASSET|Equity|90.7|0.58|AZN| AstraZeneca PLC| 0.64%| Developed Markets|Equity|Foreign Large Cap Equities||MFDX|6|15.ASSET|Equity|90.7|0.57|AD| Koninklijke Ahold Delhaize N.V.| 0.63%| North America|Equity|Large Cap Growth Equities||PSET|6|1.ASSET|Equity|67.3|0.94|COST| Costco Wholesale Corporation| 1.39%| North America|Equity|Large Cap Growth Equities||PSET|6|2.ASSET|Equity|67.3|0.88|ORLY| O\'Reilly Automotive, Inc.| 1.31%| North America|Equity|Large Cap Growth Equities||PSET|6|3.ASSET|Equity|67.3|0.85|FTNT| Fortinet, Inc.| 1.26%| North America|Equity|Large Cap Growth Equities||PSET|6|4.ASSET|Equity|67.3|0.84|LOW| Lowe\'s Companies, Inc.| 1.25%| North America|Equity|Large Cap Growth Equities||PSET|6|5.ASSET|Equity|67.3|0.84|HSY| Hershey Company| 1.25%| North America|Equity|Large Cap Growth Equities||PSET|6|6.ASSET|Equity|67.3|0.83|POOL| Pool Corporation| 1.24%| North America|Equity|Large Cap Growth Equities||PSET|6|7.ASSET|Equity|67.3|0.83|PKI| PerkinElmer, Inc.| 1.23%| North America|Equity|Large Cap Growth Equities||PSET|6|8.ASSET|Equity|67.3|0.81|AAPL| Apple Inc.| 1.20%| North America|Equity|Large Cap Growth Equities||PSET|6|9.ASSET|Equity|67.3|0.81|FDS| FactSet Research Systems Inc.| 1.20%| North America|Equity|Large Cap Growth Equities||PSET|6|10.ASSET|Equity|67.3|0.8|LMT| Lockheed Martin Corporation| 1.19%| North America|Equity|Large Cap Growth Equities||PSET|6|11.ASSET|Equity|67.3|0.79|CERN| Cerner Corporation| 1.18%| North America|Equity|Large Cap Growth Equities||PSET|6|12.ASSET|Equity|67.3|0.79|MMC| Marsh & McLennan Companies, Inc.| 1.18%| North America|Equity|Large Cap Growth Equities||PSET|6|13.ASSET|Equity|67.3|0.78|AJG| Arthur J. Gallagher & Co.| 1.16%| North America|Equity|Large Cap Growth Equities||PSET|6|14.ASSET|Equity|67.3|0.77|TSCO| Tractor Supply Company| 1.14%| North America|Equity|Large Cap Growth Equities||PSET|6|15.ASSET|Equity|67.3|0.76|SNPS| Synopsys, Inc.| 1.13%| Latin America|Equity|Latin America Equities||EWZS|6|1.ASSET|Equity|113.5|3.96|EMBR3| Embraer S.A.| 3.49%| Latin America|Equity|Latin America Equities||EWZS|6|2.ASSET|Equity|113.5|3.63|ASAI3| Sendas Distribuidora SA| 3.20%| Latin America|Equity|Latin America Equities||EWZS|6|3.ASSET|Equity|113.5|3.28|SULA11| Sul America SA Ctf de Deposito de Acoes Cons of 1 Sh + 2 Pfd Shs| 2.89%| Latin America|Equity|Latin America Equities||EWZS|6|4.ASSET|Equity|113.5|3.11|ENEV3| Eneva S.A.| 2.74%| Latin America|Equity|Latin America Equities||EWZS|6|5.ASSET|Equity|113.5|2.84|MRFG3| Marfrig Alimentos SA| 2.50%| Latin America|Equity|Latin America Equities||EWZS|6|6.ASSET|Equity|113.5|2.78|LCAM3| Companhia de Locacao das Americas| 2.45%| Latin America|Equity|Latin America Equities||EWZS|6|7.ASSET|Equity|113.5|2.76|TAEE11| Transmissora Alianca De Energia Eletrica S.A. Unit| 2.43%| Latin America|Equity|Latin America Equities||EWZS|6|8.ASSET|Equity|113.5|2.74|BRML3| BR Malls Participacoes S.A.| 2.41%| Latin America|Equity|Latin America Equities||EWZS|6|9.ASSET|Equity|113.5|2.52|GOAU4| Metalurgica Gerdau SA Pfd| 2.22%| Latin America|Equity|Latin America Equities||EWZS|6|10.ASSET|Equity|113.5|2.49|BRAP4| Bradespar SA Pfd| 2.19%| Latin America|Equity|Latin America Equities||EWZS|6|11.ASSET|Equity|113.5|2.35|SMTO3| Sao Martinho S.A.| 2.07%| Latin America|Equity|Latin America Equities||EWZS|6|12.ASSET|Equity|113.5|2.29|AZUL4| Azul SA Pfd Registered Shs| 2.02%| Latin America|Equity|Latin America Equities||EWZS|6|13.ASSET|Equity|113.5|2.19|YDUQ3| YDUQS Participacoes SA| 1.93%| Latin America|Equity|Latin America Equities||EWZS|6|14.ASSET|Equity|113.5|2.08|MULT3| Multiplan Empreendimentos Imobiliarios SA| 1.83%| Latin America|Equity|Latin America Equities||EWZS|6|15.ASSET|Equity|113.5|2.02|ENBR3| EDP - Energias do Brasil S.A.| 1.78%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|1.ASSET|Equity|54.3|3.51|067160| AfreecaTV Co., Ltd.| 6.47%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|2.ASSET|Equity|54.3|1.84|6758| Sony Group Corporation| 3.39%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|3.ASSET|Equity|54.3|1.73|KR| Kroger Co.| 3.19%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|4.ASSET|Equity|54.3|1.68|GOOG| Alphabet Inc. Class C| 3.09%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|5.ASSET|Equity|54.3|1.54|DFS| Discover Financial Services| 2.84%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|6.ASSET|Equity|54.3|1.35|HD| Home Depot, Inc.| 2.49%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|7.ASSET|Equity|54.3|1.28|UMG| Universal Music Group N.V.| 2.36%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|8.ASSET|Equity|54.3|1.13|ADYEN| Adyen NV| 2.09%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|9.ASSET|Equity|54.3|1.12|EVD| CTS Eventim AG & Co. KGaA| 2.07%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|10.ASSET|Equity|54.3|1.12|ATVI| Activision Blizzard, Inc.| 2.06%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|11.ASSET|Equity|54.3|1.11|SIG| Signet Jewelers Limited| 2.04%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|12.ASSET|Equity|54.3|1|T| AT&T Inc.| 1.84%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|13.ASSET|Equity|54.3|0.99|ITX| Industria de Diseno Textil, S.A.| 1.83%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|14.ASSET|Equity|54.3|0.98|RVLV| Revolve Group, Inc Class A| 1.81%| Developed Markets|Equity|Large Cap Growth Equities||GENY|6|15.ASSET|Equity|54.3|0.92|MOMO| Hello Group Inc. Sponsored ADR| 1.70%| Developed Markets|Equity|Materials|Materials|GOAU|6|1.ASSET|Equity|109|11.92|RGLD| Royal Gold, Inc.| 10.94%| Developed Markets|Equity|Materials|Materials|GOAU|6|2.ASSET|Equity|109|10.53|WPM| Wheaton Precious Metals Corp| 9.66%| Developed Markets|Equity|Materials|Materials|GOAU|6|3.ASSET|Equity|109|10.51|FNV| Franco-Nevada Corporation| 9.64%| Developed Markets|Equity|Materials|Materials|GOAU|6|4.ASSET|Equity|109|5.88|SBSW| Sibanye Stillwater Limited Sponsored ADR| 5.39%| Developed Markets|Equity|Materials|Materials|GOAU|6|5.ASSET|Equity|109|4.8|TXG| Torex Gold Resources Inc.| 4.40%| Developed Markets|Equity|Materials|Materials|GOAU|6|6.ASSET|Equity|109|4.77|SSL| Sandstorm Gold Ltd.| 4.38%| Developed Markets|Equity|Materials|Materials|GOAU|6|7.ASSET|Equity|109|4.23|OR| Osisko Gold Royalties Ltd| 3.88%| Developed Markets|Equity|Materials|Materials|GOAU|6|8.ASSET|Equity|109|3.8|CG| Centerra Gold Inc.| 3.49%| Developed Markets|Equity|Materials|Materials|GOAU|6|9.ASSET|Equity|109|3.78|DPM| Dundee Precious Metals Inc.| 3.47%| Developed Markets|Equity|Materials|Materials|GOAU|6|10.ASSET|Equity|109|3.49|EDV| Endeavour Mining PLC| 3.20%| Developed Markets|Equity|Materials|Materials|GOAU|6|11.ASSET|Equity|109|3.47|ELD| Eldorado Gold Corporation| 3.18%| Developed Markets|Equity|Materials|Materials|GOAU|6|12.ASSET|Equity|109|3.41|HMY| Harmony Gold Mining Co. Ltd. Sponsored ADR| 3.13%| Developed Markets|Equity|Materials|Materials|GOAU|6|13.ASSET|Equity|109|3.37|NGD| New Gold Inc.| 3.09%| Developed Markets|Equity|Materials|Materials|GOAU|6|14.ASSET|Equity|109|3.32|CGG| China Gold International Resources Corp. Ltd.| 3.05%| Developed Markets|Equity|Materials|Materials|GOAU|6|15.ASSET|Equity|109|3.3|SSRM| SSR Mining Inc| 3.03%| Global|Commodity|Leveraged Commodities||DGP|6|1.ASSET|Commodity|99.5|99.5|N/A| Gold| 100.00%| Developed Europe|Equity|Europe Equities||FEUZ|6|1.ASSET|Equity|69.2|0.97|KOJAMO| Kojamo Oyj| 1.40%| Developed Europe|Equity|Europe Equities||FEUZ|6|2.ASSET|Equity|69.2|0.93|BIRG| Bank of Ireland Group Plc| 1.34%| Developed Europe|Equity|Europe Equities||FEUZ|6|3.ASSET|Equity|69.2|0.93|DIE| D\'Ieteren Group| 1.34%| Developed Europe|Equity|Europe Equities||FEUZ|6|4.ASSET|Equity|69.2|0.91|MT| ArcelorMittal SA| 1.32%| Developed Europe|Equity|Europe Equities||FEUZ|6|5.ASSET|Equity|69.2|0.89|TEF| Telefonica SA| 1.28%| Developed Europe|Equity|Europe Equities||FEUZ|6|6.ASSET|Equity|69.2|0.86|APAM| Aperam SA| 1.24%| Developed Europe|Equity|Europe Equities||FEUZ|6|7.ASSET|Equity|69.2|0.85|CAP| Capgemini SE| 1.23%| Developed Europe|Equity|Europe Equities||FEUZ|6|8.ASSET|Equity|69.2|0.84|VIV| Vivendi SE| 1.22%| Developed Europe|Equity|Europe Equities||FEUZ|6|9.ASSET|Equity|69.2|0.84|SAB| Banco de Sabadell SA| 1.21%| Developed Europe|Equity|Europe Equities||FEUZ|6|10.ASSET|Equity|69.2|0.84|TIT| Telecom Italia S.p.A.| 1.21%| Developed Europe|Equity|Europe Equities||FEUZ|6|11.ASSET|Equity|69.2|0.83|OCI| OCI NV| 1.20%| Developed Europe|Equity|Europe Equities||FEUZ|6|12.ASSET|Equity|69.2|0.83|AKE| Arkema SA| 1.20%| Developed Europe|Equity|Europe Equities||FEUZ|6|13.ASSET|Equity|69.2|0.82|SOF| Sofina SA| 1.18%| Developed Europe|Equity|Europe Equities||FEUZ|6|14.ASSET|Equity|69.2|0.82|RWE| RWE AG| 1.18%| Developed Europe|Equity|Europe Equities||FEUZ|6|15.ASSET|Equity|69.2|0.81|BMW| Bayerische Motoren Werke AG| 1.17%| |Commodity|Oil & Gas||UGA|6|1.ASSET|Commodity|119.1|119.1|N/A| Gasoline RBOB| 100.00%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|1.ASSET|Equity|63.2|2.77|MELI| MercadoLibre, Inc.| 4.38%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|2.ASSET|Equity|63.2|2.77|9618| JD.com, Inc. Class A| 4.38%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|3.ASSET|Equity|63.2|2.7|700| Tencent Holdings Ltd.| 4.27%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|4.ASSET|Equity|63.2|2.62|9999| NetEase, Inc| 4.14%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|5.ASSET|Equity|63.2|2.45|9988| Alibaba Group Holding Ltd.| 3.87%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|6.ASSET|Equity|63.2|2.37|3659| NEXON Co., Ltd.| 3.75%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|7.ASSET|Equity|63.2|2.34|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 3.71%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|8.ASSET|Equity|63.2|2.29|NPN| Naspers Limited Class N| 3.62%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|9.ASSET|Equity|63.2|2.26|035420| NAVER Corp.| 3.57%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|10.ASSET|Equity|63.2|2.19|XP| XP Inc. Class A| 3.46%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|11.ASSET|Equity|63.2|2.18|1024| Kuaishou Technology Class B| 3.45%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|12.ASSET|Equity|63.2|2.14|BEKE| KE Holdings, Inc. Sponsored ADR Class A| 3.39%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|13.ASSET|Equity|63.2|2.07|9888| Baidu, Inc. Class A| 3.28%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|14.ASSET|Equity|63.2|1.99|LU| Lufax Holding Limited Sponsored ADR Class A| 3.15%| Broad Asia|Equity|Emerging Markets Equities|Technology|KEMQ|6|15.ASSET|Equity|63.2|1.97|3690| Meituan Class B| 3.11%| North America|Equity|Volatility Hedged Equity||FOCT|6|1.ASSET|Equity|174.2|171.1|N/A| OPTIONS| 98.22%| North America|Equity|Volatility Hedged Equity||FOCT|6|2.ASSET|Equity|174.2|3.1|N/A| U.S. Dollar| 1.78%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|1.ASSET|Equity|88|5.39|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.12%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|2.ASSET|Equity|88|4.32|700| Tencent Holdings Ltd.| 4.91%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|3.ASSET|Equity|88|3.19|005930| Samsung Electronics Co., Ltd.| 3.62%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|4.ASSET|Equity|88|1.18|500209| Infosys Limited| 1.34%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|5.ASSET|Equity|88|0.92|VALE3| Vale S.A.| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|6.ASSET|Equity|88|0.83|881| Zhongsheng Group Holdings Ltd.| 0.94%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|7.ASSET|Equity|88|0.82|532540| Tata Consultancy Services Limited| 0.93%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|8.ASSET|Equity|88|0.74|2454| MediaTek Inc| 0.84%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|9.ASSET|Equity|88|0.73|2319| China Mengniu Dairy Co., Ltd.| 0.83%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|10.ASSET|Equity|88|0.71|3034| Novatek Microelectronics Corp.| 0.81%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|11.ASSET|Equity|88|0.7|2020| ANTA Sports Products Ltd.| 0.80%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|12.ASSET|Equity|88|0.66|500228| JSW Steel Limited| 0.75%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|13.ASSET|Equity|88|0.63|5871| Chailease Holding Co. Ltd.| 0.72%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|14.ASSET|Equity|88|0.62|2382| Sunny Optical Technology (Group) Co., Ltd.| 0.71%| Emerging Markets|Equity|Emerging Markets Equities||DGRE|6|15.ASSET|Equity|88|0.62|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 0.70%| North America|Equity|Financials Equities|Financials|BITQ|6|1.ASSET|Equity|117.2|14.12|SI| Silvergate Capital Corp. Class A| 12.05%| North America|Equity|Financials Equities|Financials|BITQ|6|2.ASSET|Equity|117.2|13.19|MSTR| MicroStrategy Incorporated Class A| 11.25%| North America|Equity|Financials Equities|Financials|BITQ|6|3.ASSET|Equity|117.2|10.9|COIN| Coinbase Global, Inc. Class A| 9.30%| North America|Equity|Financials Equities|Financials|BITQ|6|4.ASSET|Equity|117.2|6.34|CAN| Canaan Inc. Sponsored ADR Class A| 5.41%| North America|Equity|Financials Equities|Financials|BITQ|6|5.ASSET|Equity|117.2|5.7|N/A| EQUITY OTHER| 4.86%| North America|Equity|Financials Equities|Financials|BITQ|6|6.ASSET|Equity|117.2|5.36|HUT| Hut 8 Mining Corp.| 4.57%| North America|Equity|Financials Equities|Financials|BITQ|6|7.ASSET|Equity|117.2|5.27|VOYG| Voyager Digital Ltd.| 4.50%| North America|Equity|Financials Equities|Financials|BITQ|6|8.ASSET|Equity|117.2|5.11|MARA| Marathon Digital Holdings Inc| 4.36%| North America|Equity|Financials Equities|Financials|BITQ|6|9.ASSET|Equity|117.2|4.99|RIOT| Riot Blockchain Inc| 4.26%| North America|Equity|Financials Equities|Financials|BITQ|6|10.ASSET|Equity|117.2|4.96|HIVE| HIVE Blockchain Technologies Ltd| 4.23%| North America|Equity|Financials Equities|Financials|BITQ|6|11.ASSET|Equity|117.2|4.72|IREN| Iris Energy Ltd.| 4.03%| North America|Equity|Financials Equities|Financials|BITQ|6|12.ASSET|Equity|117.2|4.49|BITF| Bitfarms Ltd.| 3.83%| North America|Equity|Financials Equities|Financials|BITQ|6|13.ASSET|Equity|117.2|4.15|NB2| Northern Data AG| 3.54%| North America|Equity|Financials Equities|Financials|BITQ|6|14.ASSET|Equity|117.2|3.47|BKKT| Bakkt Holdings, Inc. Class A| 2.96%| North America|Equity|Financials Equities|Financials|BITQ|6|15.ASSET|Equity|117.2|2.97|ARB| Argo Blockchain Plc| 2.53%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|1.ASSET|Bond|43|10.08|FXFXX| First American Funds Inc X Treasury Obligations Fund| 23.45%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|2.ASSET|Bond|43|3.5|N/A| United States Treasury Notes 0.375% 15-AUG-2024| 8.15%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|3.ASSET|Bond|43|2.1|N/A| HalseyPoint CLO I A1A1 1.604% 20-JAN-2033| 4.88%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|4.ASSET|Bond|43|2|N/A| United States Treasury Notes 1.625% 31-OCT-2023| 4.66%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|5.ASSET|Bond|43|1.89|N/A| Invitation Homes 2018-SFR1 C 1.442% 17-MAR-2037| 4.40%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|6.ASSET|Bond|43|1.66|N/A| New Residential Mortgage Loan Trust 2018-4 A1M 1.08686% 25-JAN-2048| 3.87%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|7.ASSET|Bond|43|1.23|N/A| Invitation Homes 2018-SFR3 B 1.342% 17-JUL-2037| 2.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|8.ASSET|Bond|43|0.85|N/A| Morgan Stanley 4.875% 01-NOV-2022| 1.97%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|9.ASSET|Bond|43|0.81|N/A| Citizens Financial Group, Inc. 4.15% 28-SEP-2022| 1.89%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|10.ASSET|Bond|43|0.74|N/A| UBS Group Funding (Switzerland) AG FRN 23-MAY-2023| 1.72%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|11.ASSET|Bond|43|0.68|N/A| SMB Private Education Loan Trust 2017-B A2A 2.82% 15-OCT-2035| 1.59%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|12.ASSET|Bond|43|0.66|N/A| TransCanada PipeLines Ltd. 1.0% 12-OCT-2024| 1.54%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|13.ASSET|Bond|43|0.65|N/A| NatWest Markets Plc FRN 29-SEP-2022| 1.50%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|14.ASSET|Bond|43|0.64|N/A| General Motors Financial Co., Inc. 1.2% 15-OCT-2024| 1.49%| Developed Markets|Bond|Total Bond Market|Total Bond Market|AWTM|6|15.ASSET|Bond|43|0.6|N/A| Compass Bank 2.875% 29-JUN-2022| 1.40%| North America|Equity|Europe Equities||EWO|6|1.ASSET|Equity|65|11.91|EBS| Erste Group Bank AG| 18.33%| North America|Equity|Europe Equities||EWO|6|2.ASSET|Equity|65|7.67|OMV| OMV AG| 11.80%| North America|Equity|Europe Equities||EWO|6|3.ASSET|Equity|65|7.18|VER| VERBUND AG Class A| 11.04%| North America|Equity|Europe Equities||EWO|6|4.ASSET|Equity|65|3.49|VOE| voestalpine AG| 5.37%| North America|Equity|Europe Equities||EWO|6|5.ASSET|Equity|65|3.07|BG| BAWAG Group AG| 4.73%| North America|Equity|Europe Equities||EWO|6|6.ASSET|Equity|65|3.01|ANDR| ANDRITZ AG| 4.63%| North America|Equity|Europe Equities||EWO|6|7.ASSET|Equity|65|2.87|WIE| Wienerberger AG| 4.41%| North America|Equity|Europe Equities||EWO|6|8.ASSET|Equity|65|2.76|IIA| IMMOFINANZ AG| 4.24%| North America|Equity|Europe Equities||EWO|6|9.ASSET|Equity|65|1.9|LNZ| Lenzing AG| 2.93%| North America|Equity|Europe Equities||EWO|6|10.ASSET|Equity|65|1.89|TKA| Telekom Austria AG| 2.91%| North America|Equity|Europe Equities||EWO|6|11.ASSET|Equity|65|1.89|CAI| CA Immobilien Anlagen AG| 2.91%| North America|Equity|Europe Equities||EWO|6|12.ASSET|Equity|65|1.87|ATS| AT & S Austria Technologie & Systemtechnik Aktiengesellschaft| 2.87%| North America|Equity|Europe Equities||EWO|6|13.ASSET|Equity|65|1.87|POST| Osterreichische Post AG| 2.87%| North America|Equity|Europe Equities||EWO|6|14.ASSET|Equity|65|1.79|RBI| Raiffeisen Bank International AG| 2.75%| North America|Equity|Europe Equities||EWO|6|15.ASSET|Equity|65|1.65|SPI| S IMMO AG| 2.54%| North America|Equity|Volatility Hedged Equity||UJAN|6|1.ASSET|Equity|213.4|211.99|N/A| OPTIONS| 99.34%| North America|Equity|Volatility Hedged Equity||UJAN|6|2.ASSET|Equity|213.4|211.97|N/A| OPTIONS| 99.33%| North America|Equity|Volatility Hedged Equity||UJAN|6|3.ASSET|Equity|213.4|1.43|N/A| U.S. Dollar| 0.67%| North America|Equity|Volatility Hedged Equity||UJAN|6|4.ASSET|Equity|213.4|1.41|N/A| U.S. Dollar| 0.66%| Middle East|Equity|Emerging Markets Equities||QAT|6|1.ASSET|Equity|106.4|25.55|QNBK| Qatar National Bank QPSC| 24.01%| Middle East|Equity|Emerging Markets Equities||QAT|6|2.ASSET|Equity|106.4|9.16|IQCD| Industries of Qatar Co.| 8.61%| Middle East|Equity|Emerging Markets Equities||QAT|6|3.ASSET|Equity|106.4|8.09|QIBK| Qatar Islamic Bank| 7.60%| Middle East|Equity|Emerging Markets Equities||QAT|6|4.ASSET|Equity|106.4|6.67|MARK| Masraf Al-Rayan QSC| 6.27%| Middle East|Equity|Emerging Markets Equities||QAT|6|5.ASSET|Equity|106.4|4.77|MPHC| Mesaieed Petrochemical Holding Company Q.S.C.| 4.48%| Middle East|Equity|Emerging Markets Equities||QAT|6|6.ASSET|Equity|106.4|4.62|CBQK| Commercial Bank (Q.S.C.)| 4.34%| Middle East|Equity|Emerging Markets Equities||QAT|6|7.ASSET|Equity|106.4|3.87|QGTS| Qatar Gas Transport Co.| 3.64%| Middle East|Equity|Emerging Markets Equities||QAT|6|8.ASSET|Equity|106.4|3.66|QFLS| Qatar Fuel Q.S.C (WOQOD)| 3.44%| Middle East|Equity|Emerging Markets Equities||QAT|6|9.ASSET|Equity|106.4|3.59|QEWS| Qatar Electricity & Water Co.| 3.37%| Middle East|Equity|Emerging Markets Equities||QAT|6|10.ASSET|Equity|106.4|3.34|QIIK| Qatar International Islamic Bank| 3.14%| Middle East|Equity|Emerging Markets Equities||QAT|6|11.ASSET|Equity|106.4|3.09|QAMC| Qatar Aluminium Manufacturing Company| 2.90%| Middle East|Equity|Emerging Markets Equities||QAT|6|12.ASSET|Equity|106.4|2.98|BRES| Barwa Real Estate Co.| 2.80%| Middle East|Equity|Emerging Markets Equities||QAT|6|13.ASSET|Equity|106.4|2.76|ORDS| Ooredoo Q.P.S.C| 2.59%| Middle East|Equity|Emerging Markets Equities||QAT|6|14.ASSET|Equity|106.4|2.32|QNNS| Qatar Navigation QSC| 2.18%| Middle East|Equity|Emerging Markets Equities||QAT|6|15.ASSET|Equity|106.4|2.09|DHBK| Doha Bank| 1.96%| North America|Equity|Technology Equities|Technology|FTXL|6|1.ASSET|Equity|105|9.86|AVGO| Broadcom Inc.| 9.39%| North America|Equity|Technology Equities|Technology|FTXL|6|2.ASSET|Equity|105|9.25|INTC| Intel Corporation| 8.81%| North America|Equity|Technology Equities|Technology|FTXL|6|3.ASSET|Equity|105|8.74|QCOM| Qualcomm Inc| 8.32%| North America|Equity|Technology Equities|Technology|FTXL|6|4.ASSET|Equity|105|8.23|TXN| Texas Instruments Incorporated| 7.84%| North America|Equity|Technology Equities|Technology|FTXL|6|5.ASSET|Equity|105|7.56|SYNA| Synaptics Incorporated| 7.20%| North America|Equity|Technology Equities|Technology|FTXL|6|6.ASSET|Equity|105|5.18|MU| Micron Technology, Inc.| 4.93%| North America|Equity|Technology Equities|Technology|FTXL|6|7.ASSET|Equity|105|4.77|ON| ON Semiconductor Corporation| 4.54%| North America|Equity|Technology Equities|Technology|FTXL|6|8.ASSET|Equity|105|4.13|ADI| Analog Devices, Inc.| 3.93%| North America|Equity|Technology Equities|Technology|FTXL|6|9.ASSET|Equity|105|3.48|AMD| Advanced Micro Devices, Inc.| 3.31%| North America|Equity|Technology Equities|Technology|FTXL|6|10.ASSET|Equity|105|3.45|NVDA| NVIDIA Corporation| 3.29%| North America|Equity|Technology Equities|Technology|FTXL|6|11.ASSET|Equity|105|3.12|KLAC| KLA Corporation| 2.97%| North America|Equity|Technology Equities|Technology|FTXL|6|12.ASSET|Equity|105|2.55|IIVI| II-VI Incorporated| 2.43%| North America|Equity|Technology Equities|Technology|FTXL|6|13.ASSET|Equity|105|2.48|CRUS| Cirrus Logic, Inc.| 2.36%| North America|Equity|Technology Equities|Technology|FTXL|6|14.ASSET|Equity|105|2.33|AMKR| Amkor Technology, Inc.| 2.22%| North America|Equity|Technology Equities|Technology|FTXL|6|15.ASSET|Equity|105|2.14|MRVL| Marvell Technology, Inc.| 2.04%| North America|Equity|Large Cap Growth Equities||MMTM|6|1.ASSET|Equity|89.2|7.23|MSFT| Microsoft Corporation| 8.11%| North America|Equity|Large Cap Growth Equities||MMTM|6|2.ASSET|Equity|89.2|6.03|AAPL| Apple Inc.| 6.76%| North America|Equity|Large Cap Growth Equities||MMTM|6|3.ASSET|Equity|89.2|3.13|GOOGL| Alphabet Inc. Class A| 3.51%| North America|Equity|Large Cap Growth Equities||MMTM|6|4.ASSET|Equity|89.2|2.92|GOOG| Alphabet Inc. Class C| 3.27%| North America|Equity|Large Cap Growth Equities||MMTM|6|5.ASSET|Equity|89.2|2.61|NVDA| NVIDIA Corporation| 2.93%| North America|Equity|Large Cap Growth Equities||MMTM|6|6.ASSET|Equity|89.2|1.57|UNH| UnitedHealth Group Incorporated| 1.76%| North America|Equity|Large Cap Growth Equities||MMTM|6|7.ASSET|Equity|89.2|1.51|TSLA| Tesla Inc| 1.69%| North America|Equity|Large Cap Growth Equities||MMTM|6|8.ASSET|Equity|89.2|1.26|HD| Home Depot, Inc.| 1.41%| North America|Equity|Large Cap Growth Equities||MMTM|6|9.ASSET|Equity|89.2|1.25|BRK.B| Berkshire Hathaway Inc. Class B| 1.40%| North America|Equity|Large Cap Growth Equities||MMTM|6|10.ASSET|Equity|89.2|1.13|BAC| Bank of America Corp| 1.27%| North America|Equity|Large Cap Growth Equities||MMTM|6|11.ASSET|Equity|89.2|1.1|PFE| Pfizer Inc.| 1.23%| North America|Equity|Large Cap Growth Equities||MMTM|6|12.ASSET|Equity|89.2|1.02|XOM| Exxon Mobil Corporation| 1.14%| North America|Equity|Large Cap Growth Equities||MMTM|6|13.ASSET|Equity|89.2|0.95|COST| Costco Wholesale Corporation| 1.07%| North America|Equity|Large Cap Growth Equities||MMTM|6|14.ASSET|Equity|89.2|0.93|FB| Meta Platforms Inc. Class A| 1.04%| North America|Equity|Large Cap Growth Equities||MMTM|6|15.ASSET|Equity|89.2|0.88|CVX| Chevron Corporation| 0.99%| North America|Equity|n/a||XVOL|6|1.ASSET|Equity|91.9|6.39|AAPL| Apple Inc.| 6.95%| North America|Equity|n/a||XVOL|6|2.ASSET|Equity|91.9|5.54|MSFT| Microsoft Corporation| 6.03%| North America|Equity|n/a||XVOL|6|3.ASSET|Equity|91.9|3.26|AMZN| Amazon.com, Inc.| 3.55%| North America|Equity|n/a||XVOL|6|4.ASSET|Equity|91.9|1.99|GOOGL| Alphabet Inc. Class A| 2.17%| North America|Equity|n/a||XVOL|6|5.ASSET|Equity|91.9|1.86|GOOG| Alphabet Inc. Class C| 2.02%| North America|Equity|n/a||XVOL|6|6.ASSET|Equity|91.9|1.76|TSLA| Tesla Inc| 1.92%| North America|Equity|n/a||XVOL|6|7.ASSET|Equity|91.9|1.49|NVDA| NVIDIA Corporation| 1.62%| North America|Equity|n/a||XVOL|6|8.ASSET|Equity|91.9|1.46|BRK.B| Berkshire Hathaway Inc. Class B| 1.59%| North America|Equity|n/a||XVOL|6|9.ASSET|Equity|91.9|1.21|FB| Meta Platforms Inc. Class A| 1.32%| North America|Equity|n/a||XVOL|6|10.ASSET|Equity|91.9|1.12|UNH| UnitedHealth Group Incorporated| 1.22%| North America|Equity|n/a||XVOL|6|11.ASSET|Equity|91.9|1.08|JNJ| Johnson & Johnson| 1.17%| North America|Equity|n/a||XVOL|6|12.ASSET|Equity|91.9|1.01|JPM| JPMorgan Chase & Co.| 1.10%| North America|Equity|n/a||XVOL|6|13.ASSET|Equity|91.9|0.92|PG| Procter & Gamble Company| 1.00%| North America|Equity|n/a||XVOL|6|14.ASSET|Equity|91.9|0.86|V| Visa Inc. Class A| 0.94%| North America|Equity|n/a||XVOL|6|15.ASSET|Equity|91.9|0.85|HD| Home Depot, Inc.| 0.92%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|1.ASSET|Multi-Asset|143.3|3.84|WFC.PRQ| Wells Fargo & Company Deposit Shs Repr 1/1000th 5.85 % Non-Cum Perp Pfd Shs A Series Q| 2.68%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|2.ASSET|Multi-Asset|143.3|3.63|JPM.PRC| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Perp Red Pfd Registered ShsSeries -EE-| 2.53%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|3.ASSET|Multi-Asset|143.3|3.31|PNC.PRP| PNC Financial Services Group, Inc. Deposit Shs Repr 1/4000th Non-Cum Perp Pfd Shs Series P| 2.31%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|4.ASSET|Multi-Asset|143.3|3.27|JPM.PRD| JPMorgan Chase & Co Depositary Shs Repr 1/400th Non-Cum Red Pfd Registered Shs Series -DD-| 2.28%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|5.ASSET|Multi-Asset|143.3|2.89|TBB| AT&T Inc 5.35 % Notes 2017-01.11.66 Global| 2.02%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|6.ASSET|Multi-Asset|143.3|2.62|GS.PRD| Goldman Sachs Group, Inc. Depositary Repr 1/1000th Perp Fltg Rate Non Cum Pfd Ser D| 1.83%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|7.ASSET|Multi-Asset|143.3|2.35|MS.PRK| Morgan Stanley Deposit Shs Repr 1/1000th Non-Cum Pfd Registered Shs Series K| 1.64%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|8.ASSET|Multi-Asset|143.3|2.24|GS.PRJ| Goldman Sachs Group, Inc. Depositary Repr 1/1000th 5 1/2 % Non-Cum Perp Pfd Shs Series J| 1.56%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|9.ASSET|Multi-Asset|143.3|2.14|MS.PRA| Morgan Stanley Deposit Shs Repr 1/1000th Flt Rate Non Cum Pfd Shs Series - A-| 1.49%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|10.ASSET|Multi-Asset|143.3|2.12|BAC.PRB| Bank of America Corp Deposit Shs Repr 1/1000th Non-Cum Red Perp Pfd Shs Series GG| 1.48%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|11.ASSET|Multi-Asset|143.3|2.08|CTBB| Qwest Corp 6 1/2 % Notes 2016-01.09.56| 1.45%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|12.ASSET|Multi-Asset|143.3|1.86|USB.PRH| U.S. Bancorp Deposit Shs Repr 1/1000th Non-Cum Perpetual Pfd Shs Series B| 1.30%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|13.ASSET|Multi-Asset|143.3|1.83|TBC| AT&T Inc 5.625 % Notes 2018-01.08.67 Global| 1.28%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|14.ASSET|Multi-Asset|143.3|1.82|MET.PRE| MetLife, Inc. Deposit Shs Repr 1/1000th 5.625 % Non-Cum Perp Red Pfd Shs Series E| 1.27%| North America|Multi-Asset|Preferred Stock/Convertible Bonds||PFLD|6|15.ASSET|Multi-Asset|143.3|1.72|ET.PRE| Energy Transfer LP Fixed-to-Fltg Cum Red Perp Pfd Units Series E| 1.20%| North America|Equity|Leveraged Equities||MIDU|6|1.ASSET|Equity|71.1|45.87|IJH| iShares Core S&P Mid-Cap ETF| 64.51%| North America|Equity|Leveraged Equities||MIDU|6|2.ASSET|Equity|71.1|13.72|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 19.29%| North America|Equity|n/a||FMAR|6|1.ASSET|Equity|86.5|86.22|N/A| OPTIONS| 99.68%| North America|Equity|n/a||FMAR|6|2.ASSET|Equity|86.5|86.21|N/A| OPTIONS| 99.67%| North America|Equity|n/a||FMAR|6|3.ASSET|Equity|86.5|0.29|N/A| CORPORATE BOND| 0.33%| North America|Equity|n/a||FMAR|6|4.ASSET|Equity|86.5|0.28|N/A| CORPORATE BOND| 0.32%| North America|Equity|n/a||FMAR|6|5.ASSET|Equity|86.5|0|N/A| U.S. Dollar| 0.00%| North America|Equity|n/a||FMAR|6|6.ASSET|Equity|86.5|0|N/A| U.S. Dollar| 0.00%| North America|Equity|All Cap Equities||QMOM|6|1.ASSET|Equity|88.5|2.09|CIVI| Civitas Resources, Inc.| 2.36%| North America|Equity|All Cap Equities||QMOM|6|2.ASSET|Equity|88.5|1.96|FTNT| Fortinet, Inc.| 2.21%| North America|Equity|All Cap Equities||QMOM|6|3.ASSET|Equity|88.5|1.89|CF| CF Industries Holdings, Inc.| 2.14%| North America|Equity|All Cap Equities||QMOM|6|4.ASSET|Equity|88.5|1.89|NUE| Nucor Corporation| 2.14%| North America|Equity|All Cap Equities||QMOM|6|5.ASSET|Equity|88.5|1.89|THC| Tenet Healthcare Corporation| 2.13%| North America|Equity|All Cap Equities||QMOM|6|6.ASSET|Equity|88.5|1.87|AR| Antero Resources Corporation| 2.11%| North America|Equity|All Cap Equities||QMOM|6|7.ASSET|Equity|88.5|1.86|TRGP| Targa Resources Corp.| 2.10%| North America|Equity|All Cap Equities||QMOM|6|8.ASSET|Equity|88.5|1.86|POOL| Pool Corporation| 2.10%| North America|Equity|All Cap Equities||QMOM|6|9.ASSET|Equity|88.5|1.86|ACI| Albertsons Companies, Inc. Class A| 2.10%| North America|Equity|All Cap Equities||QMOM|6|10.ASSET|Equity|88.5|1.85|KR| Kroger Co.| 2.09%| North America|Equity|All Cap Equities||QMOM|6|11.ASSET|Equity|88.5|1.85|DVN| Devon Energy Corporation| 2.09%| North America|Equity|All Cap Equities||QMOM|6|12.ASSET|Equity|88.5|1.85|COP| ConocoPhillips| 2.09%| North America|Equity|All Cap Equities||QMOM|6|13.ASSET|Equity|88.5|1.85|BLDR| Builders FirstSource, Inc.| 2.09%| North America|Equity|All Cap Equities||QMOM|6|14.ASSET|Equity|88.5|1.84|LNG| Cheniere Energy, Inc.| 2.08%| North America|Equity|All Cap Equities||QMOM|6|15.ASSET|Equity|88.5|1.84|PAG| Penske Automotive Group, Inc.| 2.08%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|1.ASSET|Equity|50.6|16.49|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 32.58%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|2.ASSET|Equity|50.6|3.56|DGCXX| Dreyfus Government Cash Management Funds Institutional| 7.04%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|3.ASSET|Equity|50.6|2.45|ODFL| Old Dominion Freight Line, Inc.| 4.85%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|4.ASSET|Equity|50.6|2.08|NSC| Norfolk Southern Corporation| 4.11%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|5.ASSET|Equity|50.6|1.95|UNP| Union Pacific Corporation| 3.85%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|6.ASSET|Equity|50.6|1.7|FDX| FedEx Corporation| 3.35%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|7.ASSET|Equity|50.6|1.63|UPS| United Parcel Service, Inc. Class B| 3.23%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|8.ASSET|Equity|50.6|1.56|JBHT| J.B. Hunt Transport Services, Inc.| 3.09%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|9.ASSET|Equity|50.6|1.46|CAR| Avis Budget Group, Inc.| 2.88%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|10.ASSET|Equity|50.6|1.2|LSTR| Landstar System, Inc.| 2.37%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|11.ASSET|Equity|50.6|0.83|MATX| Matson, Inc.| 1.65%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|12.ASSET|Equity|50.6|0.79|EXPD| Expeditors International of Washington, Inc.| 1.57%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|13.ASSET|Equity|50.6|0.79|CHRW| C.H. Robinson Worldwide, Inc.| 1.57%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|14.ASSET|Equity|50.6|0.62|R| Ryder System, Inc.| 1.23%| North America|Equity|Leveraged Equities|Industrials|TPOR|6|15.ASSET|Equity|50.6|0.51|KEX| Kirby Corporation| 1.00%| Global|Equity|Volatility Hedged Equity||KJAN|6|1.ASSET|Equity|120.1|119.32|N/A| OPTIONS| 99.35%| Global|Equity|Volatility Hedged Equity||KJAN|6|2.ASSET|Equity|120.1|119.3|N/A| OPTIONS| 99.33%| Global|Equity|Volatility Hedged Equity||KJAN|6|3.ASSET|Equity|120.1|0.8|N/A| U.S. Dollar| 0.67%| Global|Equity|Volatility Hedged Equity||KJAN|6|4.ASSET|Equity|120.1|0.78|N/A| U.S. Dollar| 0.65%| Developed Europe|Equity|Europe Equities||EIRL|6|1.ASSET|Equity|62.1|13.26|CRG| CRH Plc| 21.36%| Developed Europe|Equity|Europe Equities||EIRL|6|2.ASSET|Equity|62.1|7.64|FLTR| Flutter Entertainment Plc| 12.30%| Developed Europe|Equity|Europe Equities||EIRL|6|3.ASSET|Equity|62.1|6.38|KRZ| Kerry Group Plc Class A| 10.27%| Developed Europe|Equity|Europe Equities||EIRL|6|4.ASSET|Equity|62.1|3.04|ICLR| ICON Plc| 4.90%| Developed Europe|Equity|Europe Equities||EIRL|6|5.ASSET|Equity|62.1|3.01|GL9| Glanbia Plc| 4.84%| Developed Europe|Equity|Europe Equities||EIRL|6|6.ASSET|Equity|62.1|2.86|KRX| Kingspan Group Plc| 4.60%| Developed Europe|Equity|Europe Equities||EIRL|6|7.ASSET|Equity|62.1|2.83|GFTU| Grafton Group Plc| 4.55%| Developed Europe|Equity|Europe Equities||EIRL|6|8.ASSET|Equity|62.1|2.7|BIRG| Bank of Ireland Group Plc| 4.35%| Developed Europe|Equity|Europe Equities||EIRL|6|9.ASSET|Equity|62.1|2.63|SK3| Smurfit Kappa Group Plc| 4.23%| Developed Europe|Equity|Europe Equities||EIRL|6|10.ASSET|Equity|62.1|2.51|RYAAY| Ryanair Holdings Plc Sponsored ADR| 4.04%| Developed Europe|Equity|Europe Equities||EIRL|6|11.ASSET|Equity|62.1|2.5|A5G| AIB Group PLC| 4.03%| Developed Europe|Equity|Europe Equities||EIRL|6|12.ASSET|Equity|62.1|1.71|CCR| C&C Group Plc| 2.75%| Developed Europe|Equity|Europe Equities||EIRL|6|13.ASSET|Equity|62.1|1.63|C5H| Cairn Homes PLC| 2.62%| Developed Europe|Equity|Europe Equities||EIRL|6|14.ASSET|Equity|62.1|1.44|GVR| Glenveagh Properties Plc| 2.32%| Developed Europe|Equity|Europe Equities||EIRL|6|15.ASSET|Equity|62.1|1.43|DHG| Dalata Hotel Group Plc| 2.30%| Global|Commodity|Oil & Gas||OIL|6|1.ASSET|Commodity|156.5|156.5|N/A| Sweet Light Crude Oil (WTI)| 100.00%| Global ex-U.S.|Equity|n/a||IDME|6|1.ASSET|Equity|142.5|100.85|SPDW| SPDR Portfolio Developed World ex-US ETF| 70.77%| Global ex-U.S.|Equity|n/a||IDME|6|2.ASSET|Equity|142.5|40.41|VWO| Vanguard FTSE Emerging Markets ETF| 28.36%| Global ex-U.S.|Equity|n/a||IDME|6|3.ASSET|Equity|142.5|0.84|N/A| OPTIONS| 0.59%| Global ex-U.S.|Equity|n/a||IDME|6|4.ASSET|Equity|142.5|0.4|N/A| U.S. Dollar| 0.28%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|1.ASSET|Equity|79.2|1.52|8035| Tokyo Electron Ltd.| 1.92%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|2.ASSET|Equity|79.2|1.33|6758| Sony Group Corporation| 1.68%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|3.ASSET|Equity|79.2|1.32|7203| Toyota Motor Corp.| 1.67%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|4.ASSET|Equity|79.2|1.29|8306| Mitsubishi UFJ Financial Group, Inc.| 1.63%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|5.ASSET|Equity|79.2|1.27|9432| Nippon Telegraph and Telephone Corporation| 1.60%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|6.ASSET|Equity|79.2|1.24|7741| HOYA CORPORATION| 1.56%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|7.ASSET|Equity|79.2|1.2|8058| Mitsubishi Corporation| 1.51%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|8.ASSET|Equity|79.2|1.17|6367| DAIKIN INDUSTRIES, LTD.| 1.48%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|9.ASSET|Equity|79.2|1.16|8316| Sumitomo Mitsui Financial Group, Inc.| 1.47%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|10.ASSET|Equity|79.2|1.16|6098| Recruit Holdings Co., Ltd.| 1.46%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|11.ASSET|Equity|79.2|1.15|9433| KDDI Corporation| 1.45%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|12.ASSET|Equity|79.2|1.15|7267| Honda Motor Co., Ltd.| 1.45%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|13.ASSET|Equity|79.2|1.11|7974| Nintendo Co., Ltd.| 1.40%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|14.ASSET|Equity|79.2|1.1|8001| Itochu Corporation| 1.39%| Developed Asia Pacific|Equity|Japan Equities||JPXN|6|15.ASSET|Equity|79.2|1.1|4063| Shin-Etsu Chemical Co Ltd| 1.39%| North America|Equity|Volatility Hedged Equity||NJAN|6|1.ASSET|Equity|128.9|128.04|N/A| OPTIONS| 99.33%| North America|Equity|Volatility Hedged Equity||NJAN|6|2.ASSET|Equity|128.9|128.02|N/A| OPTIONS| 99.32%| North America|Equity|Volatility Hedged Equity||NJAN|6|3.ASSET|Equity|128.9|0.88|N/A| U.S. Dollar| 0.68%| North America|Equity|Volatility Hedged Equity||NJAN|6|4.ASSET|Equity|128.9|0.86|N/A| U.S. Dollar| 0.67%| North America|Equity|Financials Equities|Financials|KBWP|6|1.ASSET|Equity|82.6|7.03|TRV| Travelers Companies, Inc.| 8.51%| North America|Equity|Financials Equities|Financials|KBWP|6|2.ASSET|Equity|82.6|6.85|CB| Chubb Limited| 8.29%| North America|Equity|Financials Equities|Financials|KBWP|6|3.ASSET|Equity|82.6|6.84|PGR| Progressive Corporation| 8.28%| North America|Equity|Financials Equities|Financials|KBWP|6|4.ASSET|Equity|82.6|6.79|ALL| Allstate Corporation| 8.22%| North America|Equity|Financials Equities|Financials|KBWP|6|5.ASSET|Equity|82.6|6.77|AIG| American International Group, Inc.| 8.20%| North America|Equity|Financials Equities|Financials|KBWP|6|6.ASSET|Equity|82.6|3.54|WRB| W. R. Berkley Corporation| 4.29%| North America|Equity|Financials Equities|Financials|KBWP|6|7.ASSET|Equity|82.6|3.49|ACGL| Arch Capital Group Ltd.| 4.23%| North America|Equity|Financials Equities|Financials|KBWP|6|8.ASSET|Equity|82.6|3.47|THG| Hanover Insurance Group, Inc.| 4.20%| North America|Equity|Financials Equities|Financials|KBWP|6|9.ASSET|Equity|82.6|3.41|RE| Everest Re Group, Ltd.| 4.13%| North America|Equity|Financials Equities|Financials|KBWP|6|10.ASSET|Equity|82.6|3.36|SIGI| Selective Insurance Group, Inc.| 4.07%| North America|Equity|Financials Equities|Financials|KBWP|6|11.ASSET|Equity|82.6|3.35|AIZ| Assurant, Inc.| 4.05%| North America|Equity|Financials Equities|Financials|KBWP|6|12.ASSET|Equity|82.6|3.28|AXS| Axis Capital Holdings Limited| 3.97%| North America|Equity|Financials Equities|Financials|KBWP|6|13.ASSET|Equity|82.6|3.25|CINF| Cincinnati Financial Corporation| 3.93%| North America|Equity|Financials Equities|Financials|KBWP|6|14.ASSET|Equity|82.6|3.1|HIG| Hartford Financial Services Group, Inc.| 3.75%| North America|Equity|Financials Equities|Financials|KBWP|6|15.ASSET|Equity|82.6|3.01|AFG| American Financial Group, Inc.| 3.65%| North America|Equity|All Cap Equities||DFNV|6|1.ASSET|Equity|101|2.64|ABBV| AbbVie, Inc.| 2.61%| North America|Equity|All Cap Equities||DFNV|6|2.ASSET|Equity|101|2.58|JNJ| Johnson & Johnson| 2.55%| North America|Equity|All Cap Equities||DFNV|6|3.ASSET|Equity|101|2.23|AVGO| Broadcom Inc.| 2.21%| North America|Equity|All Cap Equities||DFNV|6|4.ASSET|Equity|101|2.22|BMY| Bristol-Myers Squibb Company| 2.20%| North America|Equity|All Cap Equities||DFNV|6|5.ASSET|Equity|101|2.12|CSCO| Cisco Systems, Inc.| 2.10%| North America|Equity|All Cap Equities||DFNV|6|6.ASSET|Equity|101|1.9|PFE| Pfizer Inc.| 1.88%| North America|Equity|All Cap Equities||DFNV|6|7.ASSET|Equity|101|1.89|AMGN| Amgen Inc.| 1.87%| North America|Equity|All Cap Equities||DFNV|6|8.ASSET|Equity|101|1.82|ACN| Accenture Plc Class A| 1.80%| North America|Equity|All Cap Equities||DFNV|6|9.ASSET|Equity|101|1.71|IBM| International Business Machines Corporation| 1.69%| North America|Equity|All Cap Equities||DFNV|6|10.ASSET|Equity|101|1.63|MRK| Merck & Co., Inc.| 1.61%| North America|Equity|All Cap Equities||DFNV|6|11.ASSET|Equity|101|1.63|NOW| ServiceNow, Inc.| 1.61%| North America|Equity|All Cap Equities||DFNV|6|12.ASSET|Equity|101|1.56|ABT| Abbott Laboratories| 1.54%| North America|Equity|All Cap Equities||DFNV|6|13.ASSET|Equity|101|1.55|ADBE| Adobe Inc.| 1.53%| North America|Equity|All Cap Equities||DFNV|6|14.ASSET|Equity|101|1.55|PANW| Palo Alto Networks, Inc.| 1.53%| North America|Equity|All Cap Equities||DFNV|6|15.ASSET|Equity|101|1.48|INTU| Intuit Inc.| 1.47%| North America|Equity|Large Cap Growth Equities||SPMO|6|1.ASSET|Equity|85.2|7.69|GOOGL| Alphabet Inc. Class A| 9.03%| North America|Equity|Large Cap Growth Equities||SPMO|6|2.ASSET|Equity|85.2|7.66|GOOG| Alphabet Inc. Class C| 8.99%| North America|Equity|Large Cap Growth Equities||SPMO|6|3.ASSET|Equity|85.2|6.52|BRK.B| Berkshire Hathaway Inc. Class B| 7.65%| North America|Equity|Large Cap Growth Equities||SPMO|6|4.ASSET|Equity|85.2|2.53|WFC| Wells Fargo & Company| 2.97%| North America|Equity|Large Cap Growth Equities||SPMO|6|5.ASSET|Equity|85.2|2.45|TGT| Target Corporation| 2.88%| North America|Equity|Large Cap Growth Equities||SPMO|6|6.ASSET|Equity|85.2|2.19|MS| Morgan Stanley| 2.57%| North America|Equity|Large Cap Growth Equities||SPMO|6|7.ASSET|Equity|85.2|2.06|NKE| NIKE, Inc. Class B| 2.42%| North America|Equity|Large Cap Growth Equities||SPMO|6|8.ASSET|Equity|85.2|2.03|DE| Deere & Company| 2.38%| North America|Equity|Large Cap Growth Equities||SPMO|6|9.ASSET|Equity|85.2|1.99|SCHW| Charles Schwab Corporation| 2.34%| North America|Equity|Large Cap Growth Equities||SPMO|6|10.ASSET|Equity|85.2|1.92|GS| Goldman Sachs Group, Inc.| 2.25%| North America|Equity|Large Cap Growth Equities||SPMO|6|11.ASSET|Equity|85.2|1.59|INTU| Intuit Inc.| 1.87%| North America|Equity|Large Cap Growth Equities||SPMO|6|12.ASSET|Equity|85.2|1.58|AMAT| Applied Materials, Inc.| 1.86%| North America|Equity|Large Cap Growth Equities||SPMO|6|13.ASSET|Equity|85.2|1.51|HON| Honeywell International Inc.| 1.77%| North America|Equity|Large Cap Growth Equities||SPMO|6|14.ASSET|Equity|85.2|1.5|ORCL| Oracle Corporation| 1.76%| North America|Equity|Large Cap Growth Equities||SPMO|6|15.ASSET|Equity|85.2|1.45|GE| General Electric Company| 1.70%| North America|Equity|Leveraged Equities|Energy|DRIP|6|1.ASSET|Equity|92.8|35.49|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 38.24%| North America|Equity|Leveraged Equities|Energy|DRIP|6|2.ASSET|Equity|92.8|3.5|DGCXX| Dreyfus Government Cash Management Funds Institutional| 3.77%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|1.ASSET|Equity|95.2|2.73|ARI| African Rainbow Minerals Limited| 2.87%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|2.ASSET|Equity|95.2|2.6|1171| Yankuang Energy Group Company Limited Class H| 2.73%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|3.ASSET|Equity|95.2|2.04|3515| ASRock, Inc.| 2.14%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|4.ASSET|Equity|95.2|1.95|500295| Vedanta Limited| 2.05%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|5.ASSET|Equity|95.2|1.94|BHG| BHP Group Ltd| 2.04%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|6.ASSET|Equity|95.2|1.9|5609| Dimerco Express Corporation| 2.00%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|7.ASSET|Equity|95.2|1.88|042700| Hanmi Semiconductor Co., Ltd| 1.98%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|8.ASSET|Equity|95.2|1.86|TRU| Truworths International Limited| 1.95%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|9.ASSET|Equity|95.2|1.75|524051| Polyplex Corporation Limited| 1.84%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|10.ASSET|Equity|95.2|1.67|9979| Greentown Management Holdings Co., Ltd.| 1.75%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|11.ASSET|Equity|95.2|1.64|500187| HSIL Limited| 1.72%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|12.ASSET|Equity|95.2|1.56|3014| ITE Tech, Inc.| 1.64%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|13.ASSET|Equity|95.2|1.53|8081| Global Mixed-Mode Technology, Inc.| 1.61%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|14.ASSET|Equity|95.2|1.51|EREGL.E| Eregli Demir Ve Celik Fabrikalari T.A.S.| 1.59%| Broad Asia|Equity|Emerging Markets Equities||EYLD|6|15.ASSET|Equity|95.2|1.49|5434| Topco Scientific Co., Ltd.| 1.57%| North America|Equity|MLPs|Energy|AMUB|6|1.ASSET|Equity|89.4|8.99|MMP| Magellan Midstream Partners LP| 10.06%| North America|Equity|MLPs|Energy|AMUB|6|2.ASSET|Equity|89.4|8.96|EPD| Enterprise Products Partners LP| 10.02%| North America|Equity|MLPs|Energy|AMUB|6|3.ASSET|Equity|89.4|8.57|ETP| Energy Transfer LP| 9.59%| North America|Equity|MLPs|Energy|AMUB|6|4.ASSET|Equity|89.4|7.26|PAA| Plains All American Pipeline LP| 8.12%| North America|Equity|MLPs|Energy|AMUB|6|5.ASSET|Equity|89.4|6.9|MPLX| MPLX LP| 7.72%| North America|Equity|MLPs|Energy|AMUB|6|6.ASSET|Equity|89.4|2.77|ANDX| Andeavor Logistics LP| 3.10%| North America|Equity|MLPs|Energy|AMUB|6|7.ASSET|Equity|89.4|2.57|DCP| DCP Midstream LP| 2.88%| North America|Equity|MLPs|Energy|AMUB|6|8.ASSET|Equity|89.4|2.3|TEP| Tallgrass Energy Partners LP| 2.57%| North America|Equity|MLPs|Energy|AMUB|6|9.ASSET|Equity|89.4|1.96|SEP| Spectra Energy Partners LP| 2.19%| North America|Equity|MLPs|Energy|AMUB|6|10.ASSET|Equity|89.4|1.78|PSXP| Phillips 66 Partners LP| 1.99%| North America|Equity|MLPs|Energy|AMUB|6|11.ASSET|Equity|89.4|1.78|AM| Antero Midstream Partners LP| 1.99%| North America|Equity|MLPs|Energy|AMUB|6|12.ASSET|Equity|89.4|1.76|SHLX| Shell Midstream Partners LP| 1.97%| North America|Equity|MLPs|Energy|AMUB|6|13.ASSET|Equity|89.4|1.61|GEL| Genesis Energy LP| 1.80%| North America|Equity|MLPs|Energy|AMUB|6|14.ASSET|Equity|89.4|1.56|EEP| Enbridge Energy Partners LP| 1.75%| North America|Equity|MLPs|Energy|AMUB|6|15.ASSET|Equity|89.4|1.43|NS| NuStar Energy LP| 1.60%| North America|Equity|All Cap Equities||QSY|6|1.ASSET|Equity|104.1|2.05|CACC| Credit Acceptance Corporation| 1.97%| North America|Equity|All Cap Equities||QSY|6|2.ASSET|Equity|104.1|1.89|EBAY| eBay Inc.| 1.82%| North America|Equity|All Cap Equities||QSY|6|3.ASSET|Equity|104.1|1.5|AAPL| Apple Inc.| 1.44%| North America|Equity|All Cap Equities||QSY|6|4.ASSET|Equity|104.1|1.48|ORCL| Oracle Corporation| 1.42%| North America|Equity|All Cap Equities||QSY|6|5.ASSET|Equity|104.1|1.46|GS| Goldman Sachs Group, Inc.| 1.40%| North America|Equity|All Cap Equities||QSY|6|6.ASSET|Equity|104.1|1.46|LUMN| Lumen Technologies, Inc.| 1.40%| North America|Equity|All Cap Equities||QSY|6|7.ASSET|Equity|104.1|1.44|DVA| DaVita Inc.| 1.38%| North America|Equity|All Cap Equities||QSY|6|8.ASSET|Equity|104.1|1.42|LRCX| Lam Research Corporation| 1.36%| North America|Equity|All Cap Equities||QSY|6|9.ASSET|Equity|104.1|1.34|ALL| Allstate Corporation| 1.29%| North America|Equity|All Cap Equities||QSY|6|10.ASSET|Equity|104.1|1.24|CI| Cigna Corporation| 1.19%| North America|Equity|All Cap Equities||QSY|6|11.ASSET|Equity|104.1|1.2|CE| Celanese Corporation| 1.15%| North America|Equity|All Cap Equities||QSY|6|12.ASSET|Equity|104.1|1.19|MO| Altria Group Inc| 1.14%| North America|Equity|All Cap Equities||QSY|6|13.ASSET|Equity|104.1|1.17|BRK.B| Berkshire Hathaway Inc. Class B| 1.12%| North America|Equity|All Cap Equities||QSY|6|14.ASSET|Equity|104.1|1.12|ARW| Arrow Electronics, Inc.| 1.08%| North America|Equity|All Cap Equities||QSY|6|15.ASSET|Equity|104.1|1.12|EQH| Equitable Holdings, Inc.| 1.08%| North America|Equity|Volatility Hedged Equity||BAUG|6|1.ASSET|Equity|85.2|85.2|N/A| Cash Component| 100.00%| North America|Bond|High Yield Bonds|Junk|SHYL|6|1.ASSET|Bond|87.5|1.08|N/A| Sprint Corp. 7.875% 15-SEP-2023| 1.23%| North America|Bond|High Yield Bonds|Junk|SHYL|6|2.ASSET|Bond|87.5|1.06|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 1.21%| North America|Bond|High Yield Bonds|Junk|SHYL|6|3.ASSET|Bond|87.5|0.74|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.85%| North America|Bond|High Yield Bonds|Junk|SHYL|6|4.ASSET|Bond|87.5|0.66|N/A| Sprint Corp. 7.125% 15-JUN-2024| 0.75%| North America|Bond|High Yield Bonds|Junk|SHYL|6|5.ASSET|Bond|87.5|0.65|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.74%| North America|Bond|High Yield Bonds|Junk|SHYL|6|6.ASSET|Bond|87.5|0.6|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.68%| North America|Bond|High Yield Bonds|Junk|SHYL|6|7.ASSET|Bond|87.5|0.59|N/A| DISH DBS Corporation 5.25% 01-DEC-2026| 0.67%| North America|Bond|High Yield Bonds|Junk|SHYL|6|8.ASSET|Bond|87.5|0.56|N/A| HCA, Inc. 5.375% 01-FEB-2025| 0.64%| North America|Bond|High Yield Bonds|Junk|SHYL|6|9.ASSET|Bond|87.5|0.55|N/A| Uniti Group LP 7.875% 15-FEB-2025| 0.63%| North America|Bond|High Yield Bonds|Junk|SHYL|6|10.ASSET|Bond|87.5|0.55|N/A| Tenet Healthcare Corporation 4.875% 01-JAN-2026| 0.63%| North America|Bond|High Yield Bonds|Junk|SHYL|6|11.ASSET|Bond|87.5|0.53|N/A| Newell Brands Inc 4.7% 01-APR-2026| 0.60%| North America|Bond|High Yield Bonds|Junk|SHYL|6|12.ASSET|Bond|87.5|0.53|N/A| VRX Escrow Corp. 6.125% 15-APR-2025| 0.60%| North America|Bond|High Yield Bonds|Junk|SHYL|6|13.ASSET|Bond|87.5|0.53|N/A| DISH DBS Corporation 7.75% 01-JUL-2026| 0.60%| North America|Bond|High Yield Bonds|Junk|SHYL|6|14.ASSET|Bond|87.5|0.52|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 0.59%| North America|Bond|High Yield Bonds|Junk|SHYL|6|15.ASSET|Bond|87.5|0.5|N/A| Staples, Inc. 7.5% 15-APR-2026| 0.57%| North America|Real Estate|Real Estate|Real Estate|NURE|6|1.ASSET|Real Estate|124.2|6.73|SUI| Sun Communities, Inc.| 5.42%| North America|Real Estate|Real Estate|Real Estate|NURE|6|2.ASSET|Real Estate|124.2|6.67|MAA| Mid-America Apartment Communities, Inc.| 5.37%| North America|Real Estate|Real Estate|Real Estate|NURE|6|3.ASSET|Real Estate|124.2|6.63|CPT| Camden Property Trust| 5.34%| North America|Real Estate|Real Estate|Real Estate|NURE|6|4.ASSET|Real Estate|124.2|6.63|EXR| Extra Space Storage Inc.| 5.34%| North America|Real Estate|Real Estate|Real Estate|NURE|6|5.ASSET|Real Estate|124.2|6.56|PSA| Public Storage| 5.28%| North America|Real Estate|Real Estate|Real Estate|NURE|6|6.ASSET|Real Estate|124.2|6.52|ELS| Equity LifeStyle Properties, Inc.| 5.25%| North America|Real Estate|Real Estate|Real Estate|NURE|6|7.ASSET|Real Estate|124.2|6.45|INVH| Invitation Homes, Inc.| 5.19%| North America|Real Estate|Real Estate|Real Estate|NURE|6|8.ASSET|Real Estate|124.2|6.38|UDR| UDR, Inc.| 5.14%| North America|Real Estate|Real Estate|Real Estate|NURE|6|9.ASSET|Real Estate|124.2|6.37|AVB| AvalonBay Communities, Inc.| 5.13%| North America|Real Estate|Real Estate|Real Estate|NURE|6|10.ASSET|Real Estate|124.2|6.3|AMH| American Homes 4 Rent Class A| 5.07%| North America|Real Estate|Real Estate|Real Estate|NURE|6|11.ASSET|Real Estate|124.2|6.21|EQR| Equity Residential| 5.00%| North America|Real Estate|Real Estate|Real Estate|NURE|6|12.ASSET|Real Estate|124.2|6.14|ESS| Essex Property Trust, Inc.| 4.94%| North America|Real Estate|Real Estate|Real Estate|NURE|6|13.ASSET|Real Estate|124.2|6.06|CUBE| CubeSmart| 4.88%| North America|Real Estate|Real Estate|Real Estate|NURE|6|14.ASSET|Real Estate|124.2|5.48|LSI| Life Storage, Inc.| 4.41%| North America|Real Estate|Real Estate|Real Estate|NURE|6|15.ASSET|Real Estate|124.2|5.18|HST| Host Hotels & Resorts, Inc.| 4.17%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|1.ASSET|Equity|66.4|1.61|1368| Xtep International Holdings Limited| 2.42%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|2.ASSET|Equity|66.4|1.41|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 2.13%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|3.ASSET|Equity|66.4|1.08|1302| LifeTech Scientific Corporation| 1.62%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|4.ASSET|Equity|66.4|0.76|165| China Everbright Limited| 1.15%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|5.ASSET|Equity|66.4|0.76|1818| Zhaojin Mining Industry Co., Ltd. Class H| 1.14%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|6.ASSET|Equity|66.4|0.75|1610| COFCO Joycome Foods Limited| 1.13%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|7.ASSET|Equity|66.4|0.75|900948| Inner Mongolia Yitai Coal Company Limited Class B| 1.13%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|8.ASSET|Equity|66.4|0.73|81| China Overseas Grand Oceans Group Limited| 1.10%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|9.ASSET|Equity|66.4|0.68|855| China Water Affairs Group Limited| 1.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|10.ASSET|Equity|66.4|0.68|405| Yuexiu Real Estate Investment Trust| 1.02%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|11.ASSET|Equity|66.4|0.64|1316| Nexteer Automotive Group Limited| 0.97%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|12.ASSET|Equity|66.4|0.64|6878| Differ Group Holding Co. Ltd.| 0.97%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|13.ASSET|Equity|66.4|0.63|1798| China Datang Corp. Renewable Power Co. Ltd. Class H| 0.95%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|14.ASSET|Equity|66.4|0.62|751| Skyworth Group Limited| 0.94%| Emerging Asia Pacific|Equity|Asia Pacific Equities||ECNS|6|15.ASSET|Equity|66.4|0.62|1448| Fu Shou Yuan International Group Ltd.| 0.93%| North America|Equity|Large Cap Growth Equities||MFUS|6|1.ASSET|Equity|89.2|2.64|XOM| Exxon Mobil Corporation| 2.96%| North America|Equity|Large Cap Growth Equities||MFUS|6|2.ASSET|Equity|89.2|2.51|CVX| Chevron Corporation| 2.81%| North America|Equity|Large Cap Growth Equities||MFUS|6|3.ASSET|Equity|89.2|1.54|F| Ford Motor Company| 1.73%| North America|Equity|Large Cap Growth Equities||MFUS|6|4.ASSET|Equity|89.2|1.5|WMT| Walmart Inc.| 1.68%| North America|Equity|Large Cap Growth Equities||MFUS|6|5.ASSET|Equity|89.2|1.5|C| Citigroup Inc.| 1.68%| North America|Equity|Large Cap Growth Equities||MFUS|6|6.ASSET|Equity|89.2|1.23|IBM| International Business Machines Corporation| 1.38%| North America|Equity|Large Cap Growth Equities||MFUS|6|7.ASSET|Equity|89.2|1.05|GM| General Motors Company| 1.18%| North America|Equity|Large Cap Growth Equities||MFUS|6|8.ASSET|Equity|89.2|1.02|TGT| Target Corporation| 1.14%| North America|Equity|Large Cap Growth Equities||MFUS|6|9.ASSET|Equity|89.2|0.95|PFE| Pfizer Inc.| 1.07%| North America|Equity|Large Cap Growth Equities||MFUS|6|10.ASSET|Equity|89.2|0.92|CVS| CVS Health Corporation| 1.03%| North America|Equity|Large Cap Growth Equities||MFUS|6|11.ASSET|Equity|89.2|0.83|MPC| Marathon Petroleum Corporation| 0.93%| North America|Equity|Large Cap Growth Equities||MFUS|6|12.ASSET|Equity|89.2|0.82|JNJ| Johnson & Johnson| 0.92%| North America|Equity|Large Cap Growth Equities||MFUS|6|13.ASSET|Equity|89.2|0.7|ORCL| Oracle Corporation| 0.78%| North America|Equity|Large Cap Growth Equities||MFUS|6|14.ASSET|Equity|89.2|0.7|AAPL| Apple Inc.| 0.78%| North America|Equity|Large Cap Growth Equities||MFUS|6|15.ASSET|Equity|89.2|0.69|GE| General Electric Company| 0.77%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|1.ASSET|Multi-Asset|88.2|11.2|VVR| Invesco Senior Income Trust| 12.70%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|2.ASSET|Multi-Asset|88.2|7.71|IVH| Delaware Ivy High Income Opportunities Fund| 8.74%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|3.ASSET|Multi-Asset|88.2|6.86|VFL| Delaware Investments National Municipal Income Fund| 7.78%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|4.ASSET|Multi-Asset|88.2|5.46|NBXG| Neuberger Berman Next Generation Connectivity Fund Inc| 6.19%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|5.ASSET|Multi-Asset|88.2|5.12|IFN| India Fund Inc| 5.80%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|6.ASSET|Multi-Asset|88.2|4.77|SMM| Salient Midstream & MLP Fund| 5.41%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|7.ASSET|Multi-Asset|88.2|3.09|SZC| Cushing NextGen Infrastructure Income Fund| 3.50%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|8.ASSET|Multi-Asset|88.2|2.95|CEN| Center Coast Brookfield MLP & Energy Infrastructure Fund of Benef Interest| 3.35%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|9.ASSET|Multi-Asset|88.2|2.93|NCZ| Virtus AllianzGI Convertible & Income Fund II of Beneficial Interest| 3.32%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|10.ASSET|Multi-Asset|88.2|2.86|MSD| Morgan Stanley Emerging Markets Debt Fund Inc (ex: Morgan Stanley Dean Witter Emerging MarketsDebt Fund Inc)| 3.24%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|11.ASSET|Multi-Asset|88.2|2.55|CPZ| Calamos Long/Short Equity & Dynamic Income Trust| 2.89%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|12.ASSET|Multi-Asset|88.2|2.54|BGB| Blackstone Strategic Credit Fund Shs of Benef Interest| 2.88%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|13.ASSET|Multi-Asset|88.2|2.5|SRV| Cushing MLP & Infrastructure Total Return Fund of Benef Interest| 2.84%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|14.ASSET|Multi-Asset|88.2|2.22|ECF| Ellsworth Growth and Income Fund Ltd| 2.52%| North America|Multi-Asset|Diversified Portfolio||CEFS|6|15.ASSET|Multi-Asset|88.2|2.18|BGH| Barings Global Short Duration High Yield Fund of Benef Interest| 2.47%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|1.ASSET|Equity|72.4|1.45|2| CLP Holdings Limited| 2.00%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|2.ASSET|Equity|72.4|1.43|A17U| Ascendas Real Estate Investment Trust| 1.98%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|3.ASSET|Equity|72.4|1.38|SCMN| Swisscom AG| 1.90%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|4.ASSET|Equity|72.4|1.37|66| MTR Corporation Limited| 1.89%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|5.ASSET|Equity|72.4|1.29|6| Power Assets Holdings Limited| 1.78%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|6.ASSET|Equity|72.4|1.14|S63| Singapore Technologies Engineering Ltd| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|7.ASSET|Equity|72.4|1.12|2702| Mcdonalds Holdings Company Japan, Ltd.| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|8.ASSET|Equity|72.4|1.11|NESN| Nestle S.A.| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|9.ASSET|Equity|72.4|1.06|9434| SoftBank Corp.| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|10.ASSET|Equity|72.4|1.05|3| Hong Kong & China Gas Co. Ltd.| 1.45%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|11.ASSET|Equity|72.4|1.02|ORA| Orange SA| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|12.ASSET|Equity|72.4|0.85|GBLB| Groupe Bruxelles Lambert SA| 1.17%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|13.ASSET|Equity|72.4|0.84|U14| UOL Group Limited| 1.16%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|14.ASSET|Equity|72.4|0.83|SRG| Snam S.p.A.| 1.14%| Developed Markets|Equity|Foreign Large Cap Equities||HDMV|6|15.ASSET|Equity|72.4|0.8|SPSN| Swiss Prime Site AG| 1.11%| North America|Equity|Large Cap Blend Equities||UTRN|6|1.ASSET|Equity|78.1|3.29|ALLE| Allegion PLC| 4.21%| North America|Equity|Large Cap Blend Equities||UTRN|6|2.ASSET|Equity|78.1|3.28|VRSN| VeriSign, Inc.| 4.20%| North America|Equity|Large Cap Blend Equities||UTRN|6|3.ASSET|Equity|78.1|3.21|ZTS| Zoetis, Inc. Class A| 4.11%| North America|Equity|Large Cap Blend Equities||UTRN|6|4.ASSET|Equity|78.1|3.2|EXC| Exelon Corporation| 4.10%| North America|Equity|Large Cap Blend Equities||UTRN|6|5.ASSET|Equity|78.1|3.2|PLD| Prologis, Inc.| 4.10%| North America|Equity|Large Cap Blend Equities||UTRN|6|6.ASSET|Equity|78.1|3.16|PSA| Public Storage| 4.05%| North America|Equity|Large Cap Blend Equities||UTRN|6|7.ASSET|Equity|78.1|3.16|ZBRA| Zebra Technologies Corporation Class A| 4.05%| North America|Equity|Large Cap Blend Equities||UTRN|6|8.ASSET|Equity|78.1|3.15|VRSK| Verisk Analytics Inc| 4.03%| North America|Equity|Large Cap Blend Equities||UTRN|6|9.ASSET|Equity|78.1|3.12|DRE| Duke Realty Corporation| 4.00%| North America|Equity|Large Cap Blend Equities||UTRN|6|10.ASSET|Equity|78.1|3.12|MMM| 3M Company| 4.00%| North America|Equity|Large Cap Blend Equities||UTRN|6|11.ASSET|Equity|78.1|3.12|FDX| FedEx Corporation| 3.99%| North America|Equity|Large Cap Blend Equities||UTRN|6|12.ASSET|Equity|78.1|3.12|PEAK| Healthpeak Properties, Inc.| 3.99%| North America|Equity|Large Cap Blend Equities||UTRN|6|13.ASSET|Equity|78.1|3.1|MRK| Merck & Co., Inc.| 3.97%| North America|Equity|Large Cap Blend Equities||UTRN|6|14.ASSET|Equity|78.1|3.1|BMY| Bristol-Myers Squibb Company| 3.97%| North America|Equity|Large Cap Blend Equities||UTRN|6|15.ASSET|Equity|78.1|3.1|BDX| Becton, Dickinson and Company| 3.97%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|1.ASSET|Preferred Stock|85.2|4.85|VNO.PRN| Vornado Realty Trust 5.25 % Cum Perp Red Pfd Registered Shs of Benef Interest Series N| 5.69%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|2.ASSET|Preferred Stock|85.2|4.46|DHCNI| Diversified Healthcare Trust 5.625 % Notes -01.08.42 Senoir| 5.23%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|3.ASSET|Preferred Stock|85.2|4.33|DBRG.PRI| DigitalBridge Group Inc 7.15 % Cum Red Perp Pfd Registered Shs Series I| 5.08%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|4.ASSET|Preferred Stock|85.2|4.28|PSA.PRN| Public Storage Depositary Shs of Benef Interest Repr 1/1000th 3.875% Cum Red Pfd Rg Shs of Benef Int Ser N| 5.02%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|5.ASSET|Preferred Stock|85.2|3.71|AFINP| American Finance Trust, Inc. 7.5 % Cum Conv Perp Red Pfd Registered Shs Series A| 4.35%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|6.ASSET|Preferred Stock|85.2|3.47|DHCNL| Diversified Healthcare Trust 6.25 % Notes -01.08.46 Senior| 4.07%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|7.ASSET|Preferred Stock|85.2|2.86|HT.PRD| Hersha Hospitality Trust 6 1/2 % Cum Red Pfd Shs Series D| 3.36%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|8.ASSET|Preferred Stock|85.2|2.75|DBRG.PRJ| DigitalBridge Group Inc 7.125 % Cum Red Perp Pfd Registered Shs Series J| 3.23%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|9.ASSET|Preferred Stock|85.2|2.74|UMH.PRD| UMH Properties Inc Cum Conv Red Perp Pfd Registered Shs Series D| 3.22%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|10.ASSET|Preferred Stock|85.2|2.68|OPINL| Office Properties Income Trust 6.375 % Notes 2020-23.06.50 Global| 3.15%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|11.ASSET|Preferred Stock|85.2|2.65|NLY.PRF| Annaly Capital Management, Inc. Cum Conv Red Pfd Registered Shs Series F| 3.11%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|12.ASSET|Preferred Stock|85.2|2.63|AHH.PRA| Armada Hoffler Properties Inc 6.75 % Cum Red Perp Pfd Registered Shs Series A| 3.09%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|13.ASSET|Preferred Stock|85.2|2.5|PSA.PRO| Public Storage Depositary Shs of Benef Interest Repr 1/1000th 3.9% Cum Red Pfd Rg Shs of Benef Int Ser O| 2.93%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|14.ASSET|Preferred Stock|85.2|2.34|CDR.PRC| Cedar Realty Trust Inc 6.5 % Cum Conv Red Pfd Registered Shs Series C| 2.75%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFR|6|15.ASSET|Preferred Stock|85.2|2.21|DRH.PRA| Diamondrock Hospitality Co Cum Conv Red Perp Pfd Registered Shs Series A| 2.59%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|1.ASSET|Bond|78.2|2.81|N/A| United States Treasury Bond 2.375% 15-MAY-2051| 3.59%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|2.ASSET|Bond|78.2|2.56|N/A| United States Treasury Bond 2.0% 15-AUG-2051| 3.27%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|3.ASSET|Bond|78.2|2.49|N/A| United States Treasury Bond 1.75% 15-AUG-2041| 3.18%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|4.ASSET|Bond|78.2|2.49|N/A| United States Treasury Bond 1.875% 15-FEB-2051| 3.18%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|5.ASSET|Bond|78.2|2.31|N/A| United States Treasury Bond 1.875% 15-NOV-2051| 2.96%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|6.ASSET|Bond|78.2|2.26|N/A| United States Treasury Bond 1.875% 15-FEB-2041| 2.89%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|7.ASSET|Bond|78.2|2.18|N/A| United States Treasury Bond 2.0% 15-NOV-2041| 2.79%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|8.ASSET|Bond|78.2|2.1|N/A| United States Treasury Bond 1.625% 15-NOV-2050| 2.68%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|9.ASSET|Bond|78.2|2.09|N/A| United States Treasury Bond 2.25% 15-MAY-2041| 2.67%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|10.ASSET|Bond|78.2|2|N/A| United States Treasury Bond 3.375% 15-NOV-2048| 2.56%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|11.ASSET|Bond|78.2|1.99|N/A| United States Treasury Bond 1.375% 15-AUG-2050| 2.55%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|12.ASSET|Bond|78.2|1.98|N/A| United States Treasury Bond 3.0% 15-FEB-2049| 2.53%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|13.ASSET|Bond|78.2|1.89|N/A| United States Treasury Bond 2.875% 15-MAY-2049| 2.42%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|14.ASSET|Bond|78.2|1.84|N/A| United States Treasury Bond 3.0% 15-AUG-2048| 2.35%| North America|Bond|Government Bonds|Treasuries|SCHQ|6|15.ASSET|Bond|78.2|1.77|N/A| United States Treasury Bond 2.0% 15-FEB-2050| 2.26%| Global|Equity|Volatility Hedged Equity||KAPR|6|1.ASSET|Equity|77|76.95|N/A| OPTIONS| 99.93%| Global|Equity|Volatility Hedged Equity||KAPR|6|2.ASSET|Equity|77|0.05|N/A| U.S. Dollar| 0.06%| Global|Equity|Volatility Hedged Equity||KAPR|6|3.ASSET|Equity|77|0|PISXX| Wells Fargo Treasury Plus Money Market Fund Institutional Shs| 0.00%| Global|Equity|Money Market||SPCX|6|1.ASSET|Equity|47.1|2.72|AAQC| Accelerate Acquisition Corp. Class A| 5.77%| Global|Equity|Money Market||SPCX|6|2.ASSET|Equity|47.1|2.42|N/A| U.S. Dollar| 5.13%| Global|Equity|Money Market||SPCX|6|3.ASSET|Equity|47.1|2.16|APSG| Apollo Strategic Growth Capital Class A| 4.59%| Global|Equity|Money Market||SPCX|6|4.ASSET|Equity|47.1|1.91|PRPB| CC Neuberger Principal Holdings II Class A| 4.06%| Global|Equity|Money Market||SPCX|6|5.ASSET|Equity|47.1|1.54|CRHC| Cohn Robbins Holdings Corporation Class A| 3.28%| Global|Equity|Money Market||SPCX|6|6.ASSET|Equity|47.1|1.22|ETAC| E.Merge Technology Acquisition Corp Class A| 2.59%| Global|Equity|Money Market||SPCX|6|7.ASSET|Equity|47.1|1.13|GWII| Good Works II Acquisition Corp.| 2.39%| Global|Equity|Money Market||SPCX|6|8.ASSET|Equity|47.1|1.1|AVAN| Avanti Acquisition Corp. Class A| 2.33%| Global|Equity|Money Market||SPCX|6|9.ASSET|Equity|47.1|1.07|FCAX| Fortress Capital Acquisition Corporation Class A| 2.28%| Global|Equity|Money Market||SPCX|6|10.ASSET|Equity|47.1|1.06|ADRA| Adara Acquisition Corp. Class A| 2.24%| Global|Equity|Money Market||SPCX|6|11.ASSET|Equity|47.1|1.05|NVSA| New Vista Acquisition Corp. Class A| 2.23%| Global|Equity|Money Market||SPCX|6|12.ASSET|Equity|47.1|1.02|SPKB| Silver Spike Acquisition Corp. II Class A| 2.17%| Global|Equity|Money Market||SPCX|6|13.ASSET|Equity|47.1|1.02|SWSS| Springwater Special Situations Corp.| 2.16%| Global|Equity|Money Market||SPCX|6|14.ASSET|Equity|47.1|0.96|TWLV| Twelve Seas Investment Co. II Class A| 2.03%| Global|Equity|Money Market||SPCX|6|15.ASSET|Equity|47.1|0.96|GAPA| G&P Acquisition Corp. Class A| 2.03%| North America|Equity|Large Cap Growth Equities||DWEQ|6|1.ASSET|Equity|49.9|14.93|N/A| MUTUAL FUND (OTHER)| 29.91%| North America|Equity|Large Cap Growth Equities||DWEQ|6|2.ASSET|Equity|49.9|1.02|OVV| Ovintiv Inc| 2.05%| North America|Equity|Large Cap Growth Equities||DWEQ|6|3.ASSET|Equity|49.9|1|FTNT| Fortinet, Inc.| 2.00%| North America|Equity|Large Cap Growth Equities||DWEQ|6|4.ASSET|Equity|49.9|0.99|MRO| Marathon Oil Corporation| 1.99%| North America|Equity|Large Cap Growth Equities||DWEQ|6|5.ASSET|Equity|49.9|0.99|DVN| Devon Energy Corporation| 1.99%| North America|Equity|Large Cap Growth Equities||DWEQ|6|6.ASSET|Equity|49.9|0.96|TRGP| Targa Resources Corp.| 1.93%| North America|Equity|Large Cap Growth Equities||DWEQ|6|7.ASSET|Equity|49.9|0.95|PXD| Pioneer Natural Resources Company| 1.91%| North America|Equity|Large Cap Growth Equities||DWEQ|6|8.ASSET|Equity|49.9|0.95|HES| Hess Corporation| 1.91%| North America|Equity|Large Cap Growth Equities||DWEQ|6|9.ASSET|Equity|49.9|0.94|APA| APA Corp.| 1.89%| North America|Equity|Large Cap Growth Equities||DWEQ|6|10.ASSET|Equity|49.9|0.94|COP| ConocoPhillips| 1.89%| North America|Equity|Large Cap Growth Equities||DWEQ|6|11.ASSET|Equity|49.9|0.92|CLR| Continental Resources, Inc.| 1.85%| North America|Equity|Large Cap Growth Equities||DWEQ|6|12.ASSET|Equity|49.9|0.92|FANG| Diamondback Energy, Inc.| 1.85%| North America|Equity|Large Cap Growth Equities||DWEQ|6|13.ASSET|Equity|49.9|0.92|WMB| Williams Companies, Inc.| 1.85%| North America|Equity|Large Cap Growth Equities||DWEQ|6|14.ASSET|Equity|49.9|0.92|OKE| ONEOK, Inc.| 1.84%| North America|Equity|Large Cap Growth Equities||DWEQ|6|15.ASSET|Equity|49.9|0.9|EOG| EOG Resources, Inc.| 1.81%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|1.ASSET|Bond|105|2.56|N/A| Sprint Corp. 7.875% 15-SEP-2023| 2.44%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|2.ASSET|Bond|105|2.19|N/A| Tenet Healthcare Corporation 6.75% 15-JUN-2023| 2.09%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|3.ASSET|Bond|105|2.14|N/A| DISH DBS Corporation 5.0% 15-MAR-2023| 2.04%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|4.ASSET|Bond|105|2.07|N/A| Commerzbank AG 8.125% 19-SEP-2023| 1.97%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|5.ASSET|Bond|105|2.03|N/A| Ligado Networks 15.5% 01-NOV-2023| 1.93%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|6.ASSET|Bond|105|2.02|N/A| HCA, Inc. 5.875% 01-MAY-2023| 1.92%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|7.ASSET|Bond|105|2|N/A| MGM Resorts International 6.0% 15-MAR-2023| 1.90%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|8.ASSET|Bond|105|1.8|N/A| Ball Corporation 4.0% 15-NOV-2023| 1.71%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|9.ASSET|Bond|105|1.73|N/A| Newell Brands Inc 4.35% 01-APR-2023| 1.65%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|10.ASSET|Bond|105|1.56|N/A| Navient Corporation 5.5% 25-JAN-2023| 1.49%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|11.ASSET|Bond|105|1.52|N/A| Xerox Corporation 4.375% 15-MAR-2023| 1.45%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|12.ASSET|Bond|105|1.48|N/A| Elanco Animal Health, Inc. 5.272% 28-AUG-2023| 1.41%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|13.ASSET|Bond|105|1.45|N/A| MUTUAL FUND (OTHER)| 1.38%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|14.ASSET|Bond|105|1.45|N/A| Lumen Technologies, Inc. 6.75% 01-DEC-2023| 1.38%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHC|6|15.ASSET|Bond|105|1.39|N/A| Freeport-McMoRan, Inc. 3.875% 15-MAR-2023| 1.32%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|1.ASSET|Equity|74.7|2.39|VALE| Vale S.A. Sponsored ADR| 3.20%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|2.ASSET|Equity|74.7|2.2|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 2.95%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|3.ASSET|Equity|74.7|1.67|1120| Al Rajhi Bank| 2.23%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|4.ASSET|Equity|74.7|1.61|532540| Tata Consultancy Services Limited| 2.16%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|5.ASSET|Equity|74.7|1.29|005930| Samsung Electronics Co., Ltd.| 1.73%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|6.ASSET|Equity|74.7|1.14|939| China Construction Bank Corporation Class H| 1.52%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|7.ASSET|Equity|74.7|1|500209| Infosys Limited| 1.34%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|8.ASSET|Equity|74.7|0.82|3988| Bank of China Limited Class H| 1.10%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|9.ASSET|Equity|74.7|0.69|500696| Hindustan Unilever Limited| 0.92%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|10.ASSET|Equity|74.7|0.69|1398| Industrial and Commercial Bank of China Limited Class H| 0.92%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|11.ASSET|Equity|74.7|0.66|BBCA| PT Bank Central Asia Tbk| 0.88%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|12.ASSET|Equity|74.7|0.65|WALMEX| Wal-Mart de Mexico SAB de CV| 0.87%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|13.ASSET|Equity|74.7|0.64|600519| Kweichow Moutai Co., Ltd. Class A| 0.86%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|14.ASSET|Equity|74.7|0.63|500820| Asian Paints Ltd.| 0.84%| Broad Asia|Equity|Emerging Markets Equities||QEMM|6|15.ASSET|Equity|74.7|0.63|532281| HCL Technologies Limited| 0.84%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|1.ASSET|Bond|130.5|3.42|N/A| United States Treasury Notes 1.375% 31-OCT-2028| 2.62%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|2.ASSET|Bond|130.5|3.33|N/A| United States Treasury Notes 1.375% 31-OCT-2028| 2.55%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|3.ASSET|Bond|130.5|2.83|N/A| U.S. Dollar| 2.17%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|4.ASSET|Bond|130.5|2.74|N/A| U.S. Dollar| 2.10%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|5.ASSET|Bond|130.5|2.54|N/A| GNMA TBA 30yr 11% January Delivery 3.000% 01-DEC-2048| 1.95%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|6.ASSET|Bond|130.5|2.52|N/A| United States Treasury Notes 2.75% 31-AUG-2025| 1.93%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|7.ASSET|Bond|130.5|2.49|N/A| UMBS TBA 15yr 2% March Delivery 2.000% 01-NOV-2036| 1.91%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|8.ASSET|Bond|130.5|2.45|N/A| United States Treasury Notes 2.75% 31-AUG-2025| 1.88%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|9.ASSET|Bond|130.5|2.36|N/A| GNMA II 15yr Generic 7.5% 1993 2.000% 01-NOV-2036| 1.81%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|10.ASSET|Bond|130.5|2.34|N/A| United States Treasury Notes 2.125% 15-MAY-2025| 1.79%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|11.ASSET|Bond|130.5|2.32|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.78%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|12.ASSET|Bond|130.5|2.32|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 1.78%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|13.ASSET|Bond|130.5|2.27|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.74%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|14.ASSET|Bond|130.5|2.27|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 1.74%| Global|Bond|Total Bond Market|Total Bond Market|AVIG|6|15.ASSET|Bond|130.5|2.21|N/A| United States Treasury Notes 2.875% 30-SEP-2023| 1.69%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|1.ASSET|Equity|96.1|0.61|FTS| Fortis Inc.| 0.63%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|2.ASSET|Equity|96.1|0.6|EMA| Emera Incorporated| 0.62%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|3.ASSET|Equity|96.1|0.56|2| CLP Holdings Limited| 0.58%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|4.ASSET|Equity|96.1|0.55|H| Hydro One Limited| 0.57%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|5.ASSET|Equity|96.1|0.51|U11| United Overseas Bank Ltd. (Singapore)| 0.53%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|6.ASSET|Equity|96.1|0.51|BHP| BHP Group Ltd| 0.53%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|7.ASSET|Equity|96.1|0.49|MRU| Metro Inc.| 0.51%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|8.ASSET|Equity|96.1|0.47|WCN| Waste Connections, Inc.| 0.49%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|9.ASSET|Equity|96.1|0.45|IFC| Intact Financial Corporation| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|10.ASSET|Equity|96.1|0.45|SCMN| Swisscom AG| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|11.ASSET|Equity|96.1|0.44|GWO| Great-West Lifeco Inc.| 0.46%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|12.ASSET|Equity|96.1|0.43|AI| Air Liquide SA| 0.45%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|13.ASSET|Equity|96.1|0.43|SGSN| SGS SA| 0.45%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|14.ASSET|Equity|96.1|0.43|L| Loblaw Companies Limited| 0.45%| Developed Markets|Equity|Foreign Large Cap Equities||TPIF|6|15.ASSET|Equity|96.1|0.41|6| Power Assets Holdings Limited| 0.43%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|1.ASSET|Equity|97.4|2.84|ENEL| Enel SpA| 2.92%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|2.ASSET|Equity|97.4|2.7|ELE| Endesa S.A.| 2.77%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|3.ASSET|Equity|97.4|2.56|TEF| Telefonica SA| 2.63%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|4.ASSET|Equity|97.4|2.55|ORA| Orange SA| 2.62%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|5.ASSET|Equity|97.4|2.5|ABX| Barrick Gold Corporation| 2.57%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|6.ASSET|Equity|97.4|2.47|RIO| Rio Tinto plc| 2.54%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|7.ASSET|Equity|97.4|2.44|6| Power Assets Holdings Limited| 2.50%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|8.ASSET|Equity|97.4|2.36|TTE| TotalEnergies SE| 2.42%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|9.ASSET|Equity|97.4|2.33|7974| Nintendo Co., Ltd.| 2.39%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|10.ASSET|Equity|97.4|2.25|ENB| Enbridge Inc.| 2.31%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|11.ASSET|Equity|97.4|2.23|BHP| BHP Group Ltd| 2.29%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|12.ASSET|Equity|97.4|2.19|BP| BP p.l.c.| 2.25%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|13.ASSET|Equity|97.4|2.18|9434| SoftBank Corp.| 2.24%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|14.ASSET|Equity|97.4|2.18|EMA| Emera Incorporated| 2.24%| Developed Markets|Equity|Foreign Large Cap Equities||FIDI|6|15.ASSET|Equity|97.4|2.15|TRP| TC Energy Corporation| 2.21%| |Equity|Large Cap Blend Equities||DNOV|6|1.ASSET|Equity|255.8|0|N/A| Cash Component| 0.00%| North America|Equity|Large Cap Growth Equities||SZNE|6|1.ASSET|Equity|87.8|1.22|MOS| Mosaic Company| 1.39%| North America|Equity|Large Cap Growth Equities||SZNE|6|2.ASSET|Equity|87.8|1.16|CF| CF Industries Holdings, Inc.| 1.32%| North America|Equity|Large Cap Growth Equities||SZNE|6|3.ASSET|Equity|87.8|1.05|FCX| Freeport-McMoRan, Inc.| 1.20%| North America|Equity|Large Cap Growth Equities||SZNE|6|4.ASSET|Equity|87.8|1.04|NEM| Newmont Corporation| 1.19%| North America|Equity|Large Cap Growth Equities||SZNE|6|5.ASSET|Equity|87.8|1.03|NUE| Nucor Corporation| 1.17%| North America|Equity|Large Cap Growth Equities||SZNE|6|6.ASSET|Equity|87.8|0.96|PKG| Packaging Corporation of America| 1.09%| North America|Equity|Large Cap Growth Equities||SZNE|6|7.ASSET|Equity|87.8|0.92|FMC| FMC Corporation| 1.05%| North America|Equity|Large Cap Growth Equities||SZNE|6|8.ASSET|Equity|87.8|0.91|LYB| LyondellBasell Industries NV| 1.04%| North America|Equity|Large Cap Growth Equities||SZNE|6|9.ASSET|Equity|87.8|0.9|DOW| Dow, Inc.| 1.03%| North America|Equity|Large Cap Growth Equities||SZNE|6|10.ASSET|Equity|87.8|0.9|CTVA| Corteva Inc| 1.02%| North America|Equity|Large Cap Growth Equities||SZNE|6|11.ASSET|Equity|87.8|0.85|SEE| Sealed Air Corporation| 0.97%| North America|Equity|Large Cap Growth Equities||SZNE|6|12.ASSET|Equity|87.8|0.84|WRK| WestRock Company| 0.96%| North America|Equity|Large Cap Growth Equities||SZNE|6|13.ASSET|Equity|87.8|0.83|EMN| Eastman Chemical Company| 0.95%| North America|Equity|Large Cap Growth Equities||SZNE|6|14.ASSET|Equity|87.8|0.83|AMCR| Amcor PLC| 0.94%| North America|Equity|Large Cap Growth Equities||SZNE|6|15.ASSET|Equity|87.8|0.81|DD| DuPont de Nemours, Inc.| 0.92%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|1.ASSET|Equity|75.4|5.03|SEDG| SolarEdge Technologies, Inc.| 6.67%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|2.ASSET|Equity|75.4|4.83|CHKP| Check Point Software Technologies Ltd.| 6.41%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|3.ASSET|Equity|75.4|4.12|LUMI| Bank Leumi Le-Israel Ltd.| 5.47%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|4.ASSET|Equity|75.4|3.64|NICE| NICE Ltd Sponsored ADR| 4.83%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|5.ASSET|Equity|75.4|3.58|POLI| Bank Hapoalim BM| 4.75%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|6.ASSET|Equity|75.4|2.71|DOX| Amdocs Limited| 3.59%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|7.ASSET|Equity|75.4|2.65|TEVA| Teva Pharmaceutical Industries Limited Sponsored ADR| 3.52%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|8.ASSET|Equity|75.4|2.26|DSCT| Israel Discount Bank Limited Class A| 3.00%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|9.ASSET|Equity|75.4|2.1|CYBR| CyberArk Software Ltd.| 2.79%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|10.ASSET|Equity|75.4|1.95|MZTF| Mizrahi Tefahot Bank Ltd| 2.58%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|11.ASSET|Equity|75.4|1.78|ESLT| Elbit Systems Ltd| 2.36%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|12.ASSET|Equity|75.4|1.72|ICL| ICL Group Ltd.| 2.28%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|13.ASSET|Equity|75.4|1.47|NVCR| NovoCure Ltd.| 1.95%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|14.ASSET|Equity|75.4|1.38|TSEM| Tower Semiconductor Ltd| 1.83%| Developed Markets|Equity|Global Equities|Technology|ISRA|6|15.ASSET|Equity|75.4|1.34|WIX| Wix.com Ltd.| 1.78%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|1.ASSET|Preferred Stock|130.4|6.42|WFC.PRQ| Wells Fargo & Company Deposit Shs Repr 1/1000th 5.85 % Non-Cum Perp Pfd Shs A Series Q| 4.92%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|2.ASSET|Preferred Stock|130.4|5.79|C.PRK| Citigroup Inc. Deposit Shs Repr 1/1000th Non-Cum Perp Pfd Shs Series K| 4.44%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|3.ASSET|Preferred Stock|130.4|4.28|GS.PRD| Goldman Sachs Group, Inc. Depositary Repr 1/1000th Perp Fltg Rate Non Cum Pfd Ser D| 3.28%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|4.ASSET|Preferred Stock|130.4|4.11|MER.PRK| Bank of America Corp 6.45 % Notes 2018-15.12.66 Income Capital Obligations| 3.15%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|5.ASSET|Preferred Stock|130.4|3.77|C.PRJ| Citigroup Inc. Deposit Shs Repr 1/100th 7 1/8 Non-Cum Perp Pfd Shs Series J| 2.89%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|6.ASSET|Preferred Stock|130.4|3.64|GS.PRJ| Goldman Sachs Group, Inc. Depositary Repr 1/1000th 5 1/2 % Non-Cum Perp Pfd Shs Series J| 2.79%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|7.ASSET|Preferred Stock|130.4|3.44|ATH.PRA| Athene Holding Ltd Depositary Shs Repr 1/1000th Non-Cum Red Perp Pfd Registered Shs Ser A| 2.64%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|8.ASSET|Preferred Stock|130.4|3.31|WFC.PRR| Wells Fargo & Company Deposit Shs Repr 1/1000th 6 5/8 % Non-Cum Perp Pfd Shs A Series R| 2.54%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|9.ASSET|Preferred Stock|130.4|3.13|USB.PRH| U.S. Bancorp Deposit Shs Repr 1/1000th Non-Cum Perpetual Pfd Shs Series B| 2.40%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|10.ASSET|Preferred Stock|130.4|2.89|MS.PRI| Morgan Stanley Deposit Shs Repr 1/1000th Non-Cum Pfd Shs Series I| 2.22%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|11.ASSET|Preferred Stock|130.4|2.89|ET.PRE| Energy Transfer LP Fixed-to-Fltg Cum Red Perp Pfd Units Series E| 2.22%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|12.ASSET|Preferred Stock|130.4|2.88|MS.PRK| Morgan Stanley Deposit Shs Repr 1/1000th Non-Cum Pfd Registered Shs Series K| 2.21%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|13.ASSET|Preferred Stock|130.4|2.83|STT.PRD| State Street Corp Deposit Shs Repr 1/4000th Non-Cum Perp Pfd Shs Series D| 2.17%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|14.ASSET|Preferred Stock|130.4|2.65|GS.PRK| Goldman Sachs Group, Inc. Depositary Repr 1/1000th Non-Cum Pfd Shs Series K| 2.03%| North America|Preferred Stock|Preferred Stock/Convertible Bonds||PFFV|6|15.ASSET|Preferred Stock|130.4|2.62|MS.PRA| Morgan Stanley Deposit Shs Repr 1/1000th Flt Rate Non Cum Pfd Shs Series - A-| 2.01%| |Commodity|Commodities||GRN|6|1.ASSET|Commodity|112.8|100.39|N/A| ICE ECX EU Allowances (EUA) Emission Futures| 89.00%| |Commodity|Commodities||GRN|6|2.ASSET|Commodity|112.8|12.41|N/A| ICE ECX Certified Emission Reduction (CER) Futures| 11.00%| North America|Equity|Large Cap Growth Equities||ACSI|6|1.ASSET|Equity|77.3|7.55|AAPL| Apple Inc.| 9.77%| North America|Equity|Large Cap Growth Equities||ACSI|6|2.ASSET|Equity|77.3|3.89|GOOG| Alphabet Inc. Class C| 5.03%| North America|Equity|Large Cap Growth Equities||ACSI|6|3.ASSET|Equity|77.3|3.32|COST| Costco Wholesale Corporation| 4.30%| North America|Equity|Large Cap Growth Equities||ACSI|6|4.ASSET|Equity|77.3|3.28|SCHW| Charles Schwab Corporation| 4.24%| North America|Equity|Large Cap Growth Equities||ACSI|6|5.ASSET|Equity|77.3|3.26|CVS| CVS Health Corporation| 4.22%| North America|Equity|Large Cap Growth Equities||ACSI|6|6.ASSET|Equity|77.3|3.03|HSY| Hershey Company| 3.92%| North America|Equity|Large Cap Growth Equities||ACSI|6|7.ASSET|Equity|77.3|2.71|FDX| FedEx Corporation| 3.51%| North America|Equity|Large Cap Growth Equities||ACSI|6|8.ASSET|Equity|77.3|2.57|CMCSA| Comcast Corporation Class A| 3.32%| North America|Equity|Large Cap Growth Equities||ACSI|6|9.ASSET|Equity|77.3|2.55|BRK.B| Berkshire Hathaway Inc. Class B| 3.30%| North America|Equity|Large Cap Growth Equities||ACSI|6|10.ASSET|Equity|77.3|2.5|TSLA| Tesla Inc| 3.24%| North America|Equity|Large Cap Growth Equities||ACSI|6|11.ASSET|Equity|77.3|2.49|MSFT| Microsoft Corporation| 3.22%| North America|Equity|Large Cap Growth Equities||ACSI|6|12.ASSET|Equity|77.3|2.46|AMZN| Amazon.com, Inc.| 3.18%| North America|Equity|Large Cap Growth Equities||ACSI|6|13.ASSET|Equity|77.3|2.45|ALL| Allstate Corporation| 3.17%| North America|Equity|Large Cap Growth Equities||ACSI|6|14.ASSET|Equity|77.3|2.4|HLT| Hilton Worldwide Holdings Inc| 3.10%| North America|Equity|Large Cap Growth Equities||ACSI|6|15.ASSET|Equity|77.3|2.35|KDP| Keurig Dr Pepper Inc.| 3.04%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|1.ASSET|Equity|91.4|17.38|DE| Deere & Company| 19.01%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|2.ASSET|Equity|91.4|7.88|NTR| Nutrien Ltd.| 8.62%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|3.ASSET|Equity|91.4|7.05|ADM| Archer-Daniels-Midland Company| 7.71%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|4.ASSET|Equity|91.4|5.87|CTVA| Corteva Inc| 6.42%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|5.ASSET|Equity|91.4|3.12|MOS| Mosaic Company| 3.41%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|6.ASSET|Equity|91.4|2.85|CF| CF Industries Holdings, Inc.| 3.12%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|7.ASSET|Equity|91.4|2.77|6326| Kubota Corporation| 3.03%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|8.ASSET|Equity|91.4|2.38|FMC| FMC Corporation| 2.60%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|9.ASSET|Equity|91.4|2.38|BG| Bunge Limited| 2.60%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|10.ASSET|Equity|91.4|2.29|CNHI| CNH Industrial NV| 2.50%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|11.ASSET|Equity|91.4|1.99|DAR| Darling Ingredients Inc.| 2.18%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|12.ASSET|Equity|91.4|1.82|MOWI| Mowi ASA| 1.99%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|13.ASSET|Equity|91.4|1.62|TTC| Toro Company| 1.77%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|14.ASSET|Equity|91.4|1.56|2020| SABIC Agri-Nutrients Co.| 1.71%| Developed Markets|Equity|Large Cap Blend Equities|Materials|VEGI|6|15.ASSET|Equity|91.4|1.45|LW| Lamb Weston Holdings, Inc.| 1.59%| North America|Equity|Volatility Hedged Equity||BMAY|6|1.ASSET|Equity|64.6|64.51|N/A| OPTIONS| 99.86%| North America|Equity|Volatility Hedged Equity||BMAY|6|2.ASSET|Equity|64.6|0.09|N/A| U.S. Dollar| 0.14%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|1.ASSET|Equity|99.8|3.08|BATS| British American Tobacco p.l.c.| 3.09%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|2.ASSET|Equity|99.8|2.95|BNS| Bank of Nova Scotia| 2.96%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|3.ASSET|Equity|99.8|2.85|8058| Mitsubishi Corporation| 2.86%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|4.ASSET|Equity|99.8|2.62|NOVN| Novartis AG| 2.63%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|5.ASSET|Equity|99.8|2.61|CM| Canadian Imperial Bank of Commerce| 2.62%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|6.ASSET|Equity|99.8|2.56|D05| DBS Group Holdings Ltd| 2.57%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|7.ASSET|Equity|99.8|2.55|SAN| Sanofi| 2.56%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|8.ASSET|Equity|99.8|2.54|9432| Nippon Telegraph and Telephone Corporation| 2.55%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|9.ASSET|Equity|99.8|2.54|ZURN| Zurich Insurance Group Ltd| 2.55%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|10.ASSET|Equity|99.8|2.52|8001| Itochu Corporation| 2.53%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|11.ASSET|Equity|99.8|2.52|AQN| Algonquin Power & Utilities Corp.| 2.53%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|12.ASSET|Equity|99.8|2.47|TSCO| Tesco PLC| 2.47%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|13.ASSET|Equity|99.8|2.44|9434| SoftBank Corp.| 2.44%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|14.ASSET|Equity|99.8|2.44|GSK| GlaxoSmithKline plc| 2.44%| Developed Markets|Equity|Volatility Hedged Equity||LVHI|6|15.ASSET|Equity|99.8|2.43|2914| Japan Tobacco Inc.| 2.43%| North America|Equity|Volatility Hedged Equity||BJUN|6|1.ASSET|Equity|61|60.87|N/A| OPTIONS| 99.78%| North America|Equity|Volatility Hedged Equity||BJUN|6|2.ASSET|Equity|61|60.87|N/A| OPTIONS| 99.78%| North America|Equity|Volatility Hedged Equity||BJUN|6|3.ASSET|Equity|61|0.13|N/A| U.S. Dollar| 0.22%| North America|Equity|Volatility Hedged Equity||BJUN|6|4.ASSET|Equity|61|0.13|N/A| U.S. Dollar| 0.22%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|1.ASSET|Equity|71.9|0.5|6532| BayCurrent Consulting, Inc.| 0.70%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|2.ASSET|Equity|71.9|0.47|6361| Ebara Corporation| 0.65%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|3.ASSET|Equity|71.9|0.44|6976| Taiyo Yuden Co., Ltd.| 0.61%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|4.ASSET|Equity|71.9|0.37|3088| MatsukiyoCocokara & Co.| 0.52%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|5.ASSET|Equity|71.9|0.35|2768| Sojitz Corp.| 0.48%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|6.ASSET|Equity|71.9|0.34|3269| Advance Residence Investment Corporation| 0.47%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|7.ASSET|Equity|71.9|0.33|3563| FOOD & LIFE COMPANIES LTD.| 0.46%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|8.ASSET|Equity|71.9|0.32|7735| SCREEN Holdings Co., Ltd| 0.45%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|9.ASSET|Equity|71.9|0.31|9048| Nagoya Railroad Co., Ltd.| 0.43%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|10.ASSET|Equity|71.9|0.3|3289| Tokyu Fudosan Holdings Corp.| 0.42%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|11.ASSET|Equity|71.9|0.3|8960| United Urban Investment Corporation| 0.42%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|12.ASSET|Equity|71.9|0.29|8252| Marui Group Co., Ltd.| 0.41%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|13.ASSET|Equity|71.9|0.29|6028| TechnoPro Holdings Inc.| 0.41%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|14.ASSET|Equity|71.9|0.29|8354| Fukuoka Financial Group, Inc.| 0.40%| Developed Asia Pacific|Equity|Japan Equities||SCJ|6|15.ASSET|Equity|71.9|0.29|1808| Haseko Corporation| 0.40%| Global|Equity|Global Equities||AADR|6|1.ASSET|Equity|62.1|3.71|DAC| Danaos Corporation| 5.97%| Global|Equity|Global Equities||AADR|6|2.ASSET|Equity|62.1|3.63|ASML| ASML Holding NV ADR| 5.85%| Global|Equity|Global Equities||AADR|6|3.ASSET|Equity|62.1|2.66|LVMUY| LVMH Moet Hennessy Louis Vuitton SE Unsponsored ADR| 4.28%| Global|Equity|Global Equities||AADR|6|4.ASSET|Equity|62.1|2.65|SSL| Sasol Limited Sponsored ADR| 4.26%| Global|Equity|Global Equities||AADR|6|5.ASSET|Equity|62.1|2.42|TTM| Tata Motors Limited Sponsored ADR| 3.90%| Global|Equity|Global Equities||AADR|6|6.ASSET|Equity|62.1|2.02|TX| Ternium S.A. Sponsored ADR| 3.25%| Global|Equity|Global Equities||AADR|6|7.ASSET|Equity|62.1|2.01|ERJ| Embraer S.A. Sponsored ADR| 3.24%| Global|Equity|Global Equities||AADR|6|8.ASSET|Equity|62.1|1.94|TS| Tenaris S.A. Sponsored ADR| 3.12%| Global|Equity|Global Equities||AADR|6|9.ASSET|Equity|62.1|1.94|MT| ArcelorMittal SA ADR| 3.12%| Global|Equity|Global Equities||AADR|6|10.ASSET|Equity|62.1|1.93|IBN| ICICI Bank Limited Sponsored ADR| 3.11%| Global|Equity|Global Equities||AADR|6|11.ASSET|Equity|62.1|1.9|BCYC| Bicycle Therapeutics Plc Sponsored ADR| 3.06%| Global|Equity|Global Equities||AADR|6|12.ASSET|Equity|62.1|1.89|NVO| Novo Nordisk A/S Sponsored ADR Class B| 3.04%| Global|Equity|Global Equities||AADR|6|13.ASSET|Equity|62.1|1.81|E| Eni S.p.A. Sponsored ADR| 2.92%| Global|Equity|Global Equities||AADR|6|14.ASSET|Equity|62.1|1.78|EQNR| Equinor ASA Sponsored ADR| 2.86%| Global|Equity|Global Equities||AADR|6|15.ASSET|Equity|62.1|1.76|DEO| Diageo plc Sponsored ADR| 2.84%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|1.ASSET|Bond|75.7|7.52|N/A| MUTUAL FUND (OTHER)| 9.94%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|2.ASSET|Bond|75.7|1.62|SGOL| Aberdeen Standard Physical Gold Shares ETF| 2.14%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|3.ASSET|Bond|75.7|1.6|N/A| Charles Schwab Corp Depositary Shs Repr 1/100th Non-Cum Red Perp Pfd Registered ShsSeries G| 2.11%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|4.ASSET|Bond|75.7|1.11|N/A| eBay Inc. 4.0% 15-JUL-2042| 1.47%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|5.ASSET|Bond|75.7|1.11|A2SALL| Goldman Sachs Group Inc Depositary Shs Repr 1/25th Non-Cum Red Perp Pfd Sh Series R| 1.47%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|6.ASSET|Bond|75.7|1.09|N/A| Seagate HDD Cayman 5.75% 01-DEC-2034| 1.44%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|7.ASSET|Bond|75.7|0.96|A286PF| Charles Schwab Corp Depositary Shs Repr 1/100th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs Ser H| 1.27%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|8.ASSET|Bond|75.7|0.95|N/A| CrowdStrike Holdings, Inc. 3.0% 15-FEB-2029| 1.26%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|9.ASSET|Bond|75.7|0.92|N/A| Bristol-Myers Squibb Company 3.25% 15-AUG-2022| 1.21%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|10.ASSET|Bond|75.7|0.85|N/A| Delta Air Lines, Inc. 2.9% 28-OCT-2024| 1.12%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|11.ASSET|Bond|75.7|0.82|N/A| Netflix, Inc. 4.875% 15-APR-2028| 1.08%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|12.ASSET|Bond|75.7|0.73|N/A| FedEx Corporation 4.1% 15-APR-2043| 0.97%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|13.ASSET|Bond|75.7|0.73|PFXF| VanEck Preferred Securities ex Financials ETF| 0.96%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|14.ASSET|Bond|75.7|0.66|N/A| Hudson Pacific Properties LP 4.65% 01-APR-2029| 0.87%| North America|Bond|Corporate Bonds|Total Bond Market|FFIU|6|15.ASSET|Bond|75.7|0.66|N/A| Biogen Inc. 3.625% 15-SEP-2022| 0.87%| North America|Equity|Large Cap Growth Equities||FNGS|6|1.ASSET|Equity|66.4|8.55|TWTR| Twitter Inc| 12.88%| North America|Equity|Large Cap Growth Equities||FNGS|6|2.ASSET|Equity|66.4|8.08|TSLA| Tesla Inc| 12.17%| North America|Equity|Large Cap Growth Equities||FNGS|6|3.ASSET|Equity|66.4|6.63|AAPL| Apple Inc| 9.99%| North America|Equity|Large Cap Growth Equities||FNGS|6|4.ASSET|Equity|66.4|6.52|FB| Facebook Inc| 9.82%| North America|Equity|Large Cap Growth Equities||FNGS|6|5.ASSET|Equity|66.4|6.47|GOOGL| Alphabet Inc| 9.74%| North America|Equity|Large Cap Growth Equities||FNGS|6|6.ASSET|Equity|66.4|6.34|BABA| Alibaba Group Holding Ltd| 9.55%| North America|Equity|Large Cap Growth Equities||FNGS|6|7.ASSET|Equity|66.4|6.1|NFLX| Netflix Inc| 9.18%| North America|Equity|Large Cap Growth Equities||FNGS|6|8.ASSET|Equity|66.4|6.08|AMZN| Amazon.com Inc| 9.15%| North America|Equity|Large Cap Growth Equities||FNGS|6|9.ASSET|Equity|66.4|5.96|BIDU| Baidu Inc| 8.97%| North America|Equity|Large Cap Growth Equities||FNGS|6|10.ASSET|Equity|66.4|5.68|NVDA| NVIDIA Corp| 8.55%| |Commodity|Metals||JJC|6|1.ASSET|Commodity|88.8|88.8|N/A| Copper| 100.00%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|1.ASSET|Equity|96.2|9.74|7203| Toyota Motor Corp.| 10.12%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|2.ASSET|Equity|96.2|3.58|8306| Mitsubishi UFJ Financial Group, Inc.| 3.72%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|3.ASSET|Equity|96.2|2.73|9984| SoftBank Group Corp.| 2.84%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|4.ASSET|Equity|96.2|2.69|9433| KDDI Corporation| 2.80%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|5.ASSET|Equity|96.2|2.47|7267| Honda Motor Co., Ltd.| 2.57%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|6.ASSET|Equity|96.2|2.39|4502| Takeda Pharmaceutical Co. Ltd.| 2.48%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|7.ASSET|Equity|96.2|2.23|8316| Sumitomo Mitsui Financial Group, Inc.| 2.32%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|8.ASSET|Equity|96.2|2.15|8058| Mitsubishi Corporation| 2.24%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|9.ASSET|Equity|96.2|1.89|3382| Seven & I Holdings Co., Ltd.| 1.96%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|10.ASSET|Equity|96.2|1.82|9434| SoftBank Corp.| 1.89%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|11.ASSET|Equity|96.2|1.76|9432| Nippon Telegraph and Telephone Corporation| 1.83%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|12.ASSET|Equity|96.2|1.6|8411| Mizuho Financial Group, Inc.| 1.66%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|13.ASSET|Equity|96.2|1.55|6501| Hitachi,Ltd.| 1.61%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|14.ASSET|Equity|96.2|1.53|4503| Astellas Pharma Inc.| 1.59%| Developed Asia Pacific|Equity|Japan Equities||EWJV|6|15.ASSET|Equity|96.2|1.22|8031| Mitsui & Co.,Ltd| 1.27%| North America|Bond|Government Bonds|Treasuries|IBTB|6|1.ASSET|Bond|43.1|8.02|N/A| United States Treasury Notes 0.125% 31-MAY-2022| 18.60%| North America|Bond|Government Bonds|Treasuries|IBTB|6|2.ASSET|Bond|43.1|7.71|N/A| United States Treasury Notes 1.75% 30-SEP-2022| 17.90%| North America|Bond|Government Bonds|Treasuries|IBTB|6|3.ASSET|Bond|43.1|5.32|N/A| United States Treasury Notes 1.75% 30-JUN-2022| 12.34%| North America|Bond|Government Bonds|Treasuries|IBTB|6|4.ASSET|Bond|43.1|3.72|N/A| United States Treasury Notes 2.0% 31-OCT-2022| 8.62%| North America|Bond|Government Bonds|Treasuries|IBTB|6|5.ASSET|Bond|43.1|3.16|N/A| United States Treasury Notes 0.125% 31-OCT-2022| 7.33%| North America|Bond|Government Bonds|Treasuries|IBTB|6|6.ASSET|Bond|43.1|3.14|N/A| United States Treasury Notes 2.0% 30-NOV-2022| 7.29%| North America|Bond|Government Bonds|Treasuries|IBTB|6|7.ASSET|Bond|43.1|2.98|N/A| MUTUAL FUND (OTHER)| 6.91%| North America|Bond|Government Bonds|Treasuries|IBTB|6|8.ASSET|Bond|43.1|2.24|N/A| United States Treasury Notes 0.125% 30-APR-2022| 5.19%| North America|Bond|Government Bonds|Treasuries|IBTB|6|9.ASSET|Bond|43.1|2.07|N/A| United States Treasury Notes 0.375% 31-MAR-2022| 4.80%| North America|Bond|Government Bonds|Treasuries|IBTB|6|10.ASSET|Bond|43.1|1.75|N/A| United States Treasury Notes 0.125% 30-NOV-2022| 4.06%| North America|Bond|Government Bonds|Treasuries|IBTB|6|11.ASSET|Bond|43.1|1.74|N/A| United States Treasury Notes 0.125% 31-JUL-2022| 4.03%| North America|Bond|Government Bonds|Treasuries|IBTB|6|12.ASSET|Bond|43.1|0.56|N/A| United States Treasury Notes 0.125% 30-SEP-2022| 1.29%| North America|Bond|Government Bonds|Treasuries|IBTB|6|13.ASSET|Bond|43.1|0.51|N/A| United States Treasury Notes 1.75% 15-JUL-2022| 1.19%| North America|Bond|Government Bonds|Treasuries|IBTB|6|14.ASSET|Bond|43.1|0.19|N/A| United States Treasury Notes 2.25% 15-APR-2022| 0.45%| North America|Bond|Government Bonds|Treasuries|IBTB|6|15.ASSET|Bond|43.1|0.01|N/A| U.S. Dollar| 0.02%| North America|Equity|Financials Equities|Financials|KBWR|6|1.ASSET|Equity|92.1|3.8|EWBC| East West Bancorp, Inc.| 4.13%| North America|Equity|Financials Equities|Financials|KBWR|6|2.ASSET|Equity|92.1|3.67|CFR| Cullen/Frost Bankers, Inc.| 3.99%| North America|Equity|Financials Equities|Financials|KBWR|6|3.ASSET|Equity|92.1|3.6|CBSH| Commerce Bancshares, Inc.| 3.91%| North America|Equity|Financials Equities|Financials|KBWR|6|4.ASSET|Equity|92.1|3.11|PNFP| Pinnacle Financial Partners, Inc.| 3.38%| North America|Equity|Financials Equities|Financials|KBWR|6|5.ASSET|Equity|92.1|2.89|WAL| Western Alliance Bancorp| 3.14%| North America|Equity|Financials Equities|Financials|KBWR|6|6.ASSET|Equity|92.1|2|BPOP| Popular, Inc.| 2.17%| North America|Equity|Financials Equities|Financials|KBWR|6|7.ASSET|Equity|92.1|1.97|HWC| Hancock Whitney Corporation| 2.14%| North America|Equity|Financials Equities|Financials|KBWR|6|8.ASSET|Equity|92.1|1.95|SSB| SouthState Corporation| 2.12%| North America|Equity|Financials Equities|Financials|KBWR|6|9.ASSET|Equity|92.1|1.95|SNV| Synovus Financial Corp.| 2.12%| North America|Equity|Financials Equities|Financials|KBWR|6|10.ASSET|Equity|92.1|1.95|FNB| F.N.B. Corporation| 2.12%| North America|Equity|Financials Equities|Financials|KBWR|6|11.ASSET|Equity|92.1|1.93|CATY| Cathay General Bancorp| 2.10%| North America|Equity|Financials Equities|Financials|KBWR|6|12.ASSET|Equity|92.1|1.92|UCBI| United Community Banks, Inc.| 2.08%| North America|Equity|Financials Equities|Financials|KBWR|6|13.ASSET|Equity|92.1|1.91|ASB| Associated Banc-Corp| 2.07%| North America|Equity|Financials Equities|Financials|KBWR|6|14.ASSET|Equity|92.1|1.89|WTFC| Wintrust Financial Corporation| 2.05%| North America|Equity|Financials Equities|Financials|KBWR|6|15.ASSET|Equity|92.1|1.89|BKU| BankUnited, Inc.| 2.05%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|1.ASSET|Equity|75.6|3.58|NESN| Nestle S.A.| 4.74%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|2.ASSET|Equity|75.6|3.42|ROG| Roche Holding Ltd| 4.53%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|3.ASSET|Equity|75.6|1.97|NOVO.B| Novo Nordisk A/S Class B| 2.60%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|4.ASSET|Equity|75.6|1.72|RY| Royal Bank of Canada| 2.28%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|5.ASSET|Equity|75.6|1.58|GSK| GlaxoSmithKline plc| 2.09%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|6.ASSET|Equity|75.6|1.26|AI| Air Liquide SA| 1.67%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|7.ASSET|Equity|75.6|1.23|AZN| AstraZeneca PLC| 1.63%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|8.ASSET|Equity|75.6|1.08|SAN| Sanofi| 1.43%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|9.ASSET|Equity|75.6|0.94|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.24%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|10.ASSET|Equity|75.6|0.92|9433| KDDI Corporation| 1.22%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|11.ASSET|Equity|75.6|0.87|IBE| Iberdrola SA| 1.15%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|12.ASSET|Equity|75.6|0.77|8001| Itochu Corporation| 1.02%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|13.ASSET|Equity|75.6|0.76|RMS| Hermes International SCA| 1.01%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|14.ASSET|Equity|75.6|0.76|8316| Sumitomo Mitsui Financial Group, Inc.| 1.00%| Developed Markets|Equity|Volatility Hedged Equity||QLVD|6|15.ASSET|Equity|75.6|0.73|D05| DBS Group Holdings Ltd| 0.96%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|1.ASSET|Equity|57.7|1.57|500440| Hindalco Industries Limited| 2.72%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|2.ASSET|Equity|57.7|1.49|533278| Coal India Ltd.| 2.58%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|3.ASSET|Equity|57.7|1.4|500312| Oil & Natural Gas Corp. Ltd.| 2.43%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|4.ASSET|Equity|57.7|1.37|500470| Tata Steel Limited| 2.38%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|5.ASSET|Equity|57.7|1.33|532215| Axis Bank Limited| 2.31%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|6.ASSET|Equity|57.7|1.3|500114| Titan Company Limited| 2.26%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|7.ASSET|Equity|57.7|1.28|532500| Maruti Suzuki India Limited| 2.22%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|8.ASSET|Equity|57.7|1.28|532187| IndusInd Bank Ltd.| 2.21%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|9.ASSET|Equity|57.7|1.27|532977| Bajaj Auto Limited.| 2.20%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|10.ASSET|Equity|57.7|1.26|532555| NTPC Limited| 2.19%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|11.ASSET|Equity|57.7|1.23|500112| State Bank of India| 2.14%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|12.ASSET|Equity|57.7|1.23|532898| Power Grid Corporation of India Limited| 2.13%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|13.ASSET|Equity|57.7|1.22|500247| Kotak Mahindra Bank Limited| 2.11%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|14.ASSET|Equity|57.7|1.21|505200| Eicher Motors Limited| 2.10%| Emerging Asia Pacific|Equity|Asia Pacific Equities||NFTY|6|15.ASSET|Equity|57.7|1.21|524715| Sun Pharmaceutical Industries Limited| 2.09%| North America|Equity|All Cap Equities||CSD|6|1.ASSET|Equity|69.5|5.59|CEG| Constellation Energy Corporation| 8.05%| North America|Equity|All Cap Equities||CSD|6|2.ASSET|Equity|69.5|5.41|CTVA| Corteva Inc| 7.79%| North America|Equity|All Cap Equities||CSD|6|3.ASSET|Equity|69.5|5.13|OTIS| Otis Worldwide Corporation| 7.38%| North America|Equity|All Cap Equities||CSD|6|4.ASSET|Equity|69.5|5.1|DOW| Dow, Inc.| 7.34%| North America|Equity|All Cap Equities||CSD|6|5.ASSET|Equity|69.5|5.05|CARR| Carrier Global Corp.| 7.26%| North America|Equity|All Cap Equities||CSD|6|6.ASSET|Equity|69.5|3.56|OGN| Organon & Co.| 5.12%| North America|Equity|All Cap Equities||CSD|6|7.ASSET|Equity|69.5|3.26|PENN| Penn National Gaming, Inc.| 4.69%| North America|Equity|All Cap Equities||CSD|6|8.ASSET|Equity|69.5|3.2|CNXC| Concentrix Corporation| 4.60%| North America|Equity|All Cap Equities||CSD|6|9.ASSET|Equity|69.5|3.16|AIRC| Apartment Income REIT Corp| 4.54%| North America|Equity|All Cap Equities||CSD|6|10.ASSET|Equity|69.5|3.02|WH| Wyndham Hotels & Resorts, Inc.| 4.35%| North America|Equity|All Cap Equities||CSD|6|11.ASSET|Equity|69.5|3|GXO| GXO Logistics Inc| 4.32%| North America|Equity|All Cap Equities||CSD|6|12.ASSET|Equity|69.5|2.52|NVT| nVent Electric plc| 3.63%| North America|Equity|All Cap Equities||CSD|6|13.ASSET|Equity|69.5|2.5|DTM| DT Midstream, Inc.| 3.59%| North America|Equity|All Cap Equities||CSD|6|14.ASSET|Equity|69.5|2.15|IAA| IAA, Inc.| 3.10%| North America|Equity|All Cap Equities||CSD|6|15.ASSET|Equity|69.5|1.78|CHX| ChampionX Corporation| 2.56%| Emerging Europe|Equity|Leveraged Equities||RUSL|6|1.ASSET|Equity|16.6|13.43|DGCXX| Dreyfus Government Cash Management Funds Institutional| 80.92%| Emerging Europe|Equity|Leveraged Equities||RUSL|6|2.ASSET|Equity|16.6|3.87|RSX| VanEck Russia ETF| 23.33%| Emerging Europe|Equity|Leveraged Equities||RUSL|6|3.ASSET|Equity|16.6|0.96|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 5.78%| Emerging Europe|Equity|Leveraged Equities||RUSL|6|4.ASSET|Equity|16.6|-1.66|N/A| U.S. Dollar| -10.02%| North America|Equity|Materials|Materials|HOMZ|6|1.ASSET|Equity|64.3|1.9|LOW| Lowe\'s Companies, Inc.| 2.96%| North America|Equity|Materials|Materials|HOMZ|6|2.ASSET|Equity|64.3|1.68|HD| Home Depot, Inc.| 2.61%| North America|Equity|Materials|Materials|HOMZ|6|3.ASSET|Equity|64.3|1.16|PSA| Public Storage| 1.81%| North America|Equity|Materials|Materials|HOMZ|6|4.ASSET|Equity|64.3|1.16|NXRT| NexPoint Residential Trust, Inc.| 1.81%| North America|Equity|Materials|Materials|HOMZ|6|5.ASSET|Equity|64.3|1.15|VTR| Ventas, Inc.| 1.79%| North America|Equity|Materials|Materials|HOMZ|6|6.ASSET|Equity|64.3|1.08|TCN| Tricon Residential Inc| 1.68%| North America|Equity|Materials|Materials|HOMZ|6|7.ASSET|Equity|64.3|1.07|ACC| American Campus Communities, Inc.| 1.67%| North America|Equity|Materials|Materials|HOMZ|6|8.ASSET|Equity|64.3|1.07|IRT| Independence Realty Trust, Inc.| 1.67%| North America|Equity|Materials|Materials|HOMZ|6|9.ASSET|Equity|64.3|1.05|MAA| Mid-America Apartment Communities, Inc.| 1.64%| North America|Equity|Materials|Materials|HOMZ|6|10.ASSET|Equity|64.3|1.05|CPT| Camden Property Trust| 1.63%| North America|Equity|Materials|Materials|HOMZ|6|11.ASSET|Equity|64.3|1.04|AVB| AvalonBay Communities, Inc.| 1.62%| North America|Equity|Materials|Materials|HOMZ|6|12.ASSET|Equity|64.3|1.04|TMHC| Taylor Morrison Home Corporation| 1.61%| North America|Equity|Materials|Materials|HOMZ|6|13.ASSET|Equity|64.3|1.04|EQR| Equity Residential| 1.61%| North America|Equity|Materials|Materials|HOMZ|6|14.ASSET|Equity|64.3|1.04|AIRC| Apartment Income REIT Corp| 1.61%| North America|Equity|Materials|Materials|HOMZ|6|15.ASSET|Equity|64.3|1.03|WELL| Welltower, Inc.| 1.60%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|1.ASSET|Equity|74.7|1.67|NOVO.B| Novo Nordisk A/S Class B| 2.24%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|2.ASSET|Equity|74.7|1.45|ASML| ASML Holding NV| 1.94%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|3.ASSET|Equity|74.7|1.41|RY| Royal Bank of Canada| 1.89%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|4.ASSET|Equity|74.7|1.37|ROG| Roche Holding Ltd| 1.83%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|5.ASSET|Equity|74.7|1.2|TEAM| Atlassian Corp. Plc Class A| 1.60%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|6.ASSET|Equity|74.7|1.17|TD| Toronto-Dominion Bank| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|7.ASSET|Equity|74.7|1.16|ULVR| Unilever PLC| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|8.ASSET|Equity|74.7|1.08|MAERSK.A| A.P. Moller - Maersk A/S Class A| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|9.ASSET|Equity|74.7|1.05|N/A| U.S. Dollar| 1.40%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|10.ASSET|Equity|74.7|1.04|REL| RELX PLC| 1.39%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|11.ASSET|Equity|74.7|1.01|4704| Trend Micro Incorporated| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|12.ASSET|Equity|74.7|1|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|13.ASSET|Equity|74.7|0.96|ATCO.A| Atlas Copco AB Class A| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|14.ASSET|Equity|74.7|0.94|NTES| NetEase, Inc. Sponsored ADR| 1.26%| Developed Markets|Equity|Foreign Large Cap Equities||TTAI|6|15.ASSET|Equity|74.7|0.9|WFG| West Fraser Timber Co. Ltd.| 1.21%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|1.ASSET|Equity|62.9|9.72|LIN| Linde plc| 15.45%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|2.ASSET|Equity|62.9|5.84|N/A| U.S. Dollar| 9.28%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|3.ASSET|Equity|62.9|4.72|FCX| Freeport-McMoRan, Inc.| 7.50%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|4.ASSET|Equity|62.9|3.69|NEM| Newmont Corporation| 5.87%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|5.ASSET|Equity|62.9|3.42|APD| Air Products and Chemicals, Inc.| 5.44%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|6.ASSET|Equity|62.9|2.85|ECL| Ecolab Inc.| 4.53%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|7.ASSET|Equity|62.9|2.84|DOW| Dow, Inc.| 4.51%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|8.ASSET|Equity|62.9|2.63|DD| DuPont de Nemours, Inc.| 4.18%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|9.ASSET|Equity|62.9|2.51|NUE| Nucor Corporation| 3.99%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|10.ASSET|Equity|62.9|2.47|CTVA| Corteva Inc| 3.92%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|11.ASSET|Equity|62.9|2.2|IFF| International Flavors & Fragrances Inc.| 3.49%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|12.ASSET|Equity|62.9|2.01|PPG| PPG Industries, Inc.| 3.20%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|13.ASSET|Equity|62.9|1.65|LYB| LyondellBasell Industries NV| 2.62%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|14.ASSET|Equity|62.9|1.47|ALB| Albemarle Corporation| 2.33%| Developed Markets|Equity|Leveraged Equities|Materials|UYM|6|15.ASSET|Equity|62.9|1.29|MOS| Mosaic Company| 2.05%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|1.ASSET|Equity|65.3|3.38|7974| Nintendo Co., Ltd.| 5.18%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|2.ASSET|Equity|65.3|3.34|SNAP| Snap, Inc. Class A| 5.11%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|3.ASSET|Equity|65.3|3.15|U| Unity Software, Inc.| 4.83%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|4.ASSET|Equity|65.3|3.09|AMD| Advanced Micro Devices, Inc.| 4.73%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|5.ASSET|Equity|65.3|2.46|AVAV| AeroVironment, Inc.| 3.76%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|6.ASSET|Equity|65.3|2.44|SQ| Block Inc Class A| 3.74%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|7.ASSET|Equity|65.3|2.23|MU| Micron Technology, Inc.| 3.41%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|8.ASSET|Equity|65.3|2.19|IIVI| II-VI Incorporated| 3.36%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|9.ASSET|Equity|65.3|2.15|AFRM| Affirm Holdings, Inc. Class A| 3.29%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|10.ASSET|Equity|65.3|2.14|LITE| Lumentum Holdings, Inc.| 3.27%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|11.ASSET|Equity|65.3|2.13|OSTK| Overstock.com, Inc.| 3.26%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|12.ASSET|Equity|65.3|2.11|9888| Baidu, Inc. Class A| 3.23%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|13.ASSET|Equity|65.3|2.11|2618| JD Logistics, Inc.| 3.23%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|14.ASSET|Equity|65.3|2.07|GLXY| Galaxy Digital Holdings Ltd.| 3.17%| Developed Markets|Equity|Global Equities|Technology|LOUP|6|15.ASSET|Equity|65.3|2.02|TER| Teradyne, Inc.| 3.10%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|1.ASSET|Real Estate|63.2|2.88|VNA| Vonovia SE| 4.55%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|2.ASSET|Real Estate|63.2|1.96|GMG| Goodman Group| 3.10%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|3.ASSET|Real Estate|63.2|1.52|8801| Mitsui Fudosan Co., Ltd.| 2.41%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|4.ASSET|Real Estate|63.2|1.52|8802| Mitsubishi Estate Company, Limited| 2.41%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|5.ASSET|Real Estate|63.2|1.48|SGRO| SEGRO plc| 2.34%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|6.ASSET|Real Estate|63.2|1.36|1925| Daiwa House Industry Co., Ltd.| 2.15%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|7.ASSET|Real Estate|63.2|1.26|16| Sun Hung Kai Properties Limited| 2.00%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|8.ASSET|Real Estate|63.2|1.19|823| Link Real Estate Investment Trust| 1.88%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|9.ASSET|Real Estate|63.2|1.02|8830| Sumitomo Realty & Development Co., Ltd.| 1.61%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|10.ASSET|Real Estate|63.2|0.88|1113| CK Asset Holdings Limited| 1.40%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|11.ASSET|Real Estate|63.2|0.82|SCG| Scentre Group| 1.30%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|12.ASSET|Real Estate|63.2|0.68|8951| Nippon Building Fund, Inc.| 1.07%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|13.ASSET|Real Estate|63.2|0.66|LEG| LEG Immobilien SE| 1.05%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|14.ASSET|Real Estate|63.2|0.6|DXS| Dexus| 0.95%| Developed Markets|Real Estate|Global Real Estate|Real Estate|WPS|6|15.ASSET|Real Estate|63.2|0.59|URW| Unibail-Rodamco-Westfield SE Stapled Secs Cons of 1 Sh Unibail Rodamco + 1 Sh WFD Unib Rod| 0.94%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|1.ASSET|Equity|79.7|1.75|ASML| ASML Holding NV| 2.19%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|2.ASSET|Equity|79.7|1.59|OR| L\'Oreal SA| 2.00%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|3.ASSET|Equity|79.7|1.46|ALV| Allianz SE| 1.83%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|4.ASSET|Equity|79.7|1.44|BHP| BHP Group Ltd| 1.81%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|5.ASSET|Equity|79.7|1.28|RY| Royal Bank of Canada| 1.61%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|6.ASSET|Equity|79.7|1.13|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.42%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|7.ASSET|Equity|79.7|1.11|CNQ| Canadian Natural Resources Limited| 1.39%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|8.ASSET|Equity|79.7|1.08|TTE| TotalEnergies SE| 1.36%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|9.ASSET|Equity|79.7|1|BNP| BNP Paribas SA Class A| 1.26%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|10.ASSET|Equity|79.7|1|MBG| Mercedes-Benz Group AG| 1.25%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|11.ASSET|Equity|79.7|0.93|6098| Recruit Holdings Co., Ltd.| 1.17%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|12.ASSET|Equity|79.7|0.86|SIE| Siemens AG| 1.08%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|13.ASSET|Equity|79.7|0.84|IMP| Impala Platinum Holdings Limited| 1.05%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|14.ASSET|Equity|79.7|0.8|9101| Nippon Yusen Kabushiki Kaisha| 1.00%| Broad Asia|Equity|Foreign Large Cap Equities||IQDY|6|15.ASSET|Equity|79.7|0.78|RIO| Rio Tinto plc| 0.98%| North America|Equity|Large Cap Blend Equities||GURU|6|1.ASSET|Equity|61.7|1.81|SPGI| S&P Global, Inc.| 2.93%| North America|Equity|Large Cap Blend Equities||GURU|6|2.ASSET|Equity|61.7|1.14|RCUS| Arcus Biosciences, Inc.| 1.84%| North America|Equity|Large Cap Blend Equities||GURU|6|3.ASSET|Equity|61.7|1.05|TPL| Texas Pacific Land Corporation| 1.70%| North America|Equity|Large Cap Blend Equities||GURU|6|4.ASSET|Equity|61.7|1.04|CHK| Chesapeake Energy Corporation| 1.69%| North America|Equity|Large Cap Blend Equities||GURU|6|5.ASSET|Equity|61.7|0.96|LAD| Lithia Motors, Inc.| 1.55%| North America|Equity|Large Cap Blend Equities||GURU|6|6.ASSET|Equity|61.7|0.93|THC| Tenet Healthcare Corporation| 1.51%| North America|Equity|Large Cap Blend Equities||GURU|6|7.ASSET|Equity|61.7|0.91|ENVX| Enovix Corporation| 1.48%| North America|Equity|Large Cap Blend Equities||GURU|6|8.ASSET|Equity|61.7|0.91|CHDN| Churchill Downs Incorporated| 1.48%| North America|Equity|Large Cap Blend Equities||GURU|6|9.ASSET|Equity|61.7|0.91|VST| Vistra Corp.| 1.47%| North America|Equity|Large Cap Blend Equities||GURU|6|10.ASSET|Equity|61.7|0.9|PLD| Prologis, Inc.| 1.46%| North America|Equity|Large Cap Blend Equities||GURU|6|11.ASSET|Equity|61.7|0.9|NUAN| Nuance Communications Incorporated| 1.46%| North America|Equity|Large Cap Blend Equities||GURU|6|12.ASSET|Equity|61.7|0.9|FISV| Fiserv, Inc.| 1.46%| North America|Equity|Large Cap Blend Equities||GURU|6|13.ASSET|Equity|61.7|0.89|SGEN| Seagen, Inc.| 1.45%| North America|Equity|Large Cap Blend Equities||GURU|6|14.ASSET|Equity|61.7|0.89|NYT| New York Times Company Class A| 1.44%| North America|Equity|Large Cap Blend Equities||GURU|6|15.ASSET|Equity|61.7|0.89|OTIS| Otis Worldwide Corporation| 1.44%| North America|Equity|n/a||FDEC|6|1.ASSET|Equity|238.7|236.27|N/A| OPTIONS| 98.98%| North America|Equity|n/a||FDEC|6|2.ASSET|Equity|238.7|236.24|N/A| OPTIONS| 98.97%| North America|Equity|n/a||FDEC|6|3.ASSET|Equity|238.7|2.46|N/A| U.S. Dollar| 1.03%| North America|Equity|n/a||FDEC|6|4.ASSET|Equity|238.7|2.43|N/A| U.S. Dollar| 1.02%| Global|Equity|n/a||TMAT|6|1.ASSET|Equity|68.6|11.05|TAN| Invesco Solar ETF| 16.11%| Global|Equity|n/a||TMAT|6|2.ASSET|Equity|68.6|7.28|BOTZ| Global X Robotics & Artificial Intelligence ETF| 10.61%| Global|Equity|n/a||TMAT|6|3.ASSET|Equity|68.6|7.25|AWAY| ETFMG Travel Tech ETF| 10.57%| Global|Equity|n/a||TMAT|6|4.ASSET|Equity|68.6|7.05|PAWZ| ProShares Pet Care ETF| 10.28%| Global|Equity|n/a||TMAT|6|5.ASSET|Equity|68.6|6.08|ESPO| VanEck Video Gaming and eSports ETF| 8.86%| Global|Equity|n/a||TMAT|6|6.ASSET|Equity|68.6|5.56|ARKF| ARK Fintech Innovation ETF| 8.10%| Global|Equity|n/a||TMAT|6|7.ASSET|Equity|68.6|5.55|CLOU| Global X Cloud Computing ETF| 8.09%| Global|Equity|n/a||TMAT|6|8.ASSET|Equity|68.6|4.93|ARKG| ARK Genomic Revolution ETF| 7.19%| Global|Equity|n/a||TMAT|6|9.ASSET|Equity|68.6|4.9|ONLN| ProShares Online Retail ETF| 7.15%| Global|Equity|n/a||TMAT|6|10.ASSET|Equity|68.6|4.05|KWEB| KraneShares CSI China Internet ETF| 5.91%| Global|Equity|n/a||TMAT|6|11.ASSET|Equity|68.6|2.04|GBTC| Grayscale Bitcoin Trust| 2.97%| Global|Equity|n/a||TMAT|6|12.ASSET|Equity|68.6|1.82|BITQ| Bitwise Crypto Industry Innovators ETF| 2.66%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GLIN|6|1.ASSET|Equity|66.6|66.6|OUNZ| VanEck Merk Gold Trust| 100.00%| Emerging Asia Pacific|Equity|Asia Pacific Equities||GLIN|6|2.ASSET|Equity|66.6|0|N/A| U.S. Dollar| 0.00%| |Commodity|Agricultural Commodities||WEAT|6|1.ASSET|Commodity|144.4|144.4|N/A| Wheat| 100.00%| Global|Equity|Global Equities||ACTV|6|1.ASSET|Equity|79.9|2.86|OXY| Occidental Petroleum Corporation| 3.58%| Global|Equity|Global Equities||ACTV|6|2.ASSET|Equity|79.9|2.74|MRCY| Mercury Systems, Inc.| 3.43%| Global|Equity|Global Equities||ACTV|6|3.ASSET|Equity|79.9|2.6|EVH| Evolent Health Inc Class A| 3.26%| Global|Equity|Global Equities||ACTV|6|4.ASSET|Equity|79.9|2.53|PZZA| Papa John\'s International, Inc.| 3.17%| Global|Equity|Global Equities||ACTV|6|5.ASSET|Equity|79.9|2.52|CVLT| CommVault Systems, Inc.| 3.16%| Global|Equity|Global Equities||ACTV|6|6.ASSET|Equity|79.9|2.52|NLSN| Nielsen Holdings Plc| 3.16%| Global|Equity|Global Equities||ACTV|6|7.ASSET|Equity|79.9|2.52|STX| Seagate Technology Holdings PLC| 3.15%| Global|Equity|Global Equities||ACTV|6|8.ASSET|Equity|79.9|2.51|NSIT| Insight Enterprises, Inc.| 3.14%| Global|Equity|Global Equities||ACTV|6|9.ASSET|Equity|79.9|2.51|LKQ| LKQ Corporation| 3.14%| Global|Equity|Global Equities||ACTV|6|10.ASSET|Equity|79.9|2.51|INVA| Innoviva, Inc.| 3.14%| Global|Equity|Global Equities||ACTV|6|11.ASSET|Equity|79.9|2.5|IRWD| Ironwood Pharmaceuticals, Inc. Class A| 3.13%| Global|Equity|Global Equities||ACTV|6|12.ASSET|Equity|79.9|2.49|GCP| GCP Applied Technologies, Inc.| 3.12%| Global|Equity|Global Equities||ACTV|6|13.ASSET|Equity|79.9|2.49|LNG| Cheniere Energy, Inc.| 3.12%| Global|Equity|Global Equities||ACTV|6|14.ASSET|Equity|79.9|2.48|XRX| Xerox Holdings Corporation| 3.10%| Global|Equity|Global Equities||ACTV|6|15.ASSET|Equity|79.9|2.48|WBT| Welbilt Inc| 3.10%| North America|Equity|Communications Equities|Telecom|XTL|6|1.ASSET|Equity|70|2.54|TMUS| T-Mobile US, Inc.| 3.63%| North America|Equity|Communications Equities|Telecom|XTL|6|2.ASSET|Equity|70|2.53|VZ| Verizon Communications Inc.| 3.61%| North America|Equity|Communications Equities|Telecom|XTL|6|3.ASSET|Equity|70|2.44|T| AT&T Inc.| 3.48%| North America|Equity|Communications Equities|Telecom|XTL|6|4.ASSET|Equity|70|2.33|VSAT| ViaSat, Inc.| 3.33%| North America|Equity|Communications Equities|Telecom|XTL|6|5.ASSET|Equity|70|2.3|JNPR| Juniper Networks, Inc.| 3.29%| North America|Equity|Communications Equities|Telecom|XTL|6|6.ASSET|Equity|70|2.29|LITE| Lumentum Holdings, Inc.| 3.27%| North America|Equity|Communications Equities|Telecom|XTL|6|7.ASSET|Equity|70|2.29|VIAV| Viavi Solutions Inc| 3.27%| North America|Equity|Communications Equities|Telecom|XTL|6|8.ASSET|Equity|70|2.27|IRDM| Iridium Communications Inc.| 3.24%| North America|Equity|Communications Equities|Telecom|XTL|6|9.ASSET|Equity|70|2.2|INFN| Infinera Corporation| 3.14%| North America|Equity|Communications Equities|Telecom|XTL|6|10.ASSET|Equity|70|2.18|CSCO| Cisco Systems, Inc.| 3.12%| North America|Equity|Communications Equities|Telecom|XTL|6|11.ASSET|Equity|70|2.18|GSAT| Globalstar, Inc.| 3.12%| North America|Equity|Communications Equities|Telecom|XTL|6|12.ASSET|Equity|70|2.17|CIEN| Ciena Corporation| 3.10%| North America|Equity|Communications Equities|Telecom|XTL|6|13.ASSET|Equity|70|2.14|ANET| Arista Networks, Inc.| 3.05%| North America|Equity|Communications Equities|Telecom|XTL|6|14.ASSET|Equity|70|2.14|LBTYK| Liberty Global Plc Class C| 3.05%| North America|Equity|Communications Equities|Telecom|XTL|6|15.ASSET|Equity|70|2.03|LUMN| Lumen Technologies, Inc.| 2.90%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|1.ASSET|Equity|68.6|2.6|9107| Kawasaki Kisen Kaisha, Ltd.| 3.79%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|2.ASSET|Equity|68.6|2.34|9104| Mitsui O.S.K.Lines,Ltd.| 3.41%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|3.ASSET|Equity|68.6|2.25|9101| Nippon Yusen Kabushiki Kaisha| 3.28%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|4.ASSET|Equity|68.6|2.12|EQNR| Equinor ASA| 3.09%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|5.ASSET|Equity|68.6|2.04|SSAB.B| SSAB AB Class B| 2.98%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|6.ASSET|Equity|68.6|1.9|ICL| ICL Group Ltd.| 2.77%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|7.ASSET|Equity|68.6|1.84|IGO| IGO Limited| 2.68%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|8.ASSET|Equity|68.6|1.79|1308| SITC International Holdings Co., Ltd.| 2.61%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|9.ASSET|Equity|68.6|1.67|LUMI| Bank Leumi Le-Israel Ltd.| 2.44%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|10.ASSET|Equity|68.6|1.67|SOON| Sonova Holding AG| 2.43%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|11.ASSET|Equity|68.6|1.6|DSCT| Israel Discount Bank Limited Class A| 2.33%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|12.ASSET|Equity|68.6|1.59|MZTF| Mizrahi Tefahot Bank Ltd| 2.32%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|13.ASSET|Equity|68.6|1.55|6532| BayCurrent Consulting, Inc.| 2.26%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|14.ASSET|Equity|68.6|1.54|6361| Ebara Corporation| 2.25%| Developed Markets|Equity|Foreign Large Cap Equities||IMOM|6|15.ASSET|Equity|68.6|1.52|NOVO.B| Novo Nordisk A/S Class B| 2.21%| North America|Equity|Energy Equities|Energy|FTXN|6|1.ASSET|Equity|1266.3|88.13|CVX| Chevron Corporation| 6.96%| North America|Equity|Energy Equities|Energy|FTXN|6|2.ASSET|Equity|1266.3|85.1|WMB| Williams Companies, Inc.| 6.72%| North America|Equity|Energy Equities|Energy|FTXN|6|3.ASSET|Equity|1266.3|67.62|KMI| Kinder Morgan Inc Class P| 5.34%| North America|Equity|Energy Equities|Energy|FTXN|6|4.ASSET|Equity|1266.3|64.45|MRO| Marathon Oil Corporation| 5.09%| North America|Equity|Energy Equities|Energy|FTXN|6|5.ASSET|Equity|1266.3|63.95|TRGP| Targa Resources Corp.| 5.05%| North America|Equity|Energy Equities|Energy|FTXN|6|6.ASSET|Equity|1266.3|55.08|COP| ConocoPhillips| 4.35%| North America|Equity|Energy Equities|Energy|FTXN|6|7.ASSET|Equity|1266.3|52.17|SM| SM Energy Company| 4.12%| North America|Equity|Energy Equities|Energy|FTXN|6|8.ASSET|Equity|1266.3|52.17|DVN| Devon Energy Corporation| 4.12%| North America|Equity|Energy Equities|Energy|FTXN|6|9.ASSET|Equity|1266.3|50.15|LNG| Cheniere Energy, Inc.| 3.96%| North America|Equity|Energy Equities|Energy|FTXN|6|10.ASSET|Equity|1266.3|47.11|APA| APA Corp.| 3.72%| North America|Equity|Energy Equities|Energy|FTXN|6|11.ASSET|Equity|1266.3|44.19|OKE| ONEOK, Inc.| 3.49%| North America|Equity|Energy Equities|Energy|FTXN|6|12.ASSET|Equity|1266.3|38.62|EOG| EOG Resources, Inc.| 3.05%| North America|Equity|Energy Equities|Energy|FTXN|6|13.ASSET|Equity|1266.3|37.48|MGY| Magnolia Oil & Gas Corp. Class A| 2.96%| North America|Equity|Energy Equities|Energy|FTXN|6|14.ASSET|Equity|1266.3|34.7|PDCE| PDC Energy, Inc.| 2.74%| North America|Equity|Energy Equities|Energy|FTXN|6|15.ASSET|Equity|1266.3|34.19|MPC| Marathon Petroleum Corporation| 2.70%| North America|Equity|Volatility Hedged Equity||NOCT|6|1.ASSET|Equity|64.4|64.4|N/A| Cash Component| 100.00%| North America|Equity|Small Cap Blend Equities||EWSC|6|1.ASSET|Equity|67.2|0.23|CENX| Century Aluminum Company| 0.34%| North America|Equity|Small Cap Blend Equities||EWSC|6|2.ASSET|Equity|67.2|0.22|RES| RPC, Inc.| 0.32%| North America|Equity|Small Cap Blend Equities||EWSC|6|3.ASSET|Equity|67.2|0.22|LNTH| Lantheus Holdings Inc| 0.32%| North America|Equity|Small Cap Blend Equities||EWSC|6|4.ASSET|Equity|67.2|0.2|TALO| Talos Energy, Inc.| 0.30%| North America|Equity|Small Cap Blend Equities||EWSC|6|5.ASSET|Equity|67.2|0.19|ATI| Allegheny Technologies Incorporated| 0.29%| North America|Equity|Small Cap Blend Equities||EWSC|6|6.ASSET|Equity|67.2|0.18|PTEN| Patterson-UTI Energy, Inc.| 0.27%| North America|Equity|Small Cap Blend Equities||EWSC|6|7.ASSET|Equity|67.2|0.17|HP| Helmerich & Payne, Inc.| 0.26%| North America|Equity|Small Cap Blend Equities||EWSC|6|8.ASSET|Equity|67.2|0.17|HCC| Warrior Met Coal, Inc.| 0.26%| North America|Equity|Small Cap Blend Equities||EWSC|6|9.ASSET|Equity|67.2|0.17|CEIX| CONSOL Energy Inc| 0.26%| North America|Equity|Small Cap Blend Equities||EWSC|6|10.ASSET|Equity|67.2|0.17|MTOR| Meritor, Inc.| 0.25%| North America|Equity|Small Cap Blend Equities||EWSC|6|11.ASSET|Equity|67.2|0.17|VIVO| Meridian Bioscience, Inc.| 0.25%| North America|Equity|Small Cap Blend Equities||EWSC|6|12.ASSET|Equity|67.2|0.17|DRQ| Dril-Quip, Inc.| 0.25%| North America|Equity|Small Cap Blend Equities||EWSC|6|13.ASSET|Equity|67.2|0.17|SLCA| U.S. Silica Holdings, Inc.| 0.25%| North America|Equity|Small Cap Blend Equities||EWSC|6|14.ASSET|Equity|67.2|0.16|NBR| Nabors Industries Ltd.| 0.24%| North America|Equity|Small Cap Blend Equities||EWSC|6|15.ASSET|Equity|67.2|0.16|REGI| Renewable Energy Group, Inc.| 0.24%| North America|Equity|Industrials Equities|Industrials|EVX|6|1.ASSET|Equity|75.6|7.7|WCN| Waste Connections, Inc.| 10.19%| North America|Equity|Industrials Equities|Industrials|EVX|6|2.ASSET|Equity|75.6|7.24|WM| Waste Management, Inc.| 9.58%| North America|Equity|Industrials Equities|Industrials|EVX|6|3.ASSET|Equity|75.6|7.16|RSG| Republic Services, Inc.| 9.47%| North America|Equity|Industrials Equities|Industrials|EVX|6|4.ASSET|Equity|75.6|6.03|ECL| Ecolab Inc.| 7.98%| North America|Equity|Industrials Equities|Industrials|EVX|6|5.ASSET|Equity|75.6|3.52|ECOL| US Ecology, Inc.| 4.66%| North America|Equity|Industrials Equities|Industrials|EVX|6|6.ASSET|Equity|75.6|2.8|DAR| Darling Ingredients Inc.| 3.70%| North America|Equity|Industrials Equities|Industrials|EVX|6|7.ASSET|Equity|75.6|2.62|ABM| ABM Industries Incorporated| 3.46%| North America|Equity|Industrials Equities|Industrials|EVX|6|8.ASSET|Equity|75.6|2.53|ARIS| Aris Water Solutions, Inc. Class A| 3.35%| North America|Equity|Industrials Equities|Industrials|EVX|6|9.ASSET|Equity|75.6|2.52|VTNR| Vertex Energy, Inc.| 3.33%| North America|Equity|Industrials Equities|Industrials|EVX|6|10.ASSET|Equity|75.6|2.4|STE| STERIS Plc| 3.17%| North America|Equity|Industrials Equities|Industrials|EVX|6|11.ASSET|Equity|75.6|2.35|SRCL| Stericycle, Inc.| 3.11%| North America|Equity|Industrials Equities|Industrials|EVX|6|12.ASSET|Equity|75.6|2.28|CLH| Clean Harbors, Inc.| 3.02%| North America|Equity|Industrials Equities|Industrials|EVX|6|13.ASSET|Equity|75.6|2.28|TNC| Tennant Company| 3.01%| North America|Equity|Industrials Equities|Industrials|EVX|6|14.ASSET|Equity|75.6|2.25|SCHN| Schnitzer Steel Industries, Inc. Class A| 2.98%| North America|Equity|Industrials Equities|Industrials|EVX|6|15.ASSET|Equity|75.6|2.25|TTEK| Tetra Tech, Inc.| 2.97%| Developed Markets|Equity|Leveraged Equities|Materials|JDST|6|1.ASSET|Equity|73.3|23.11|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 31.53%| Developed Markets|Equity|Leveraged Equities|Materials|JDST|6|2.ASSET|Equity|73.3|11.16|DGCXX| Dreyfus Government Cash Management Funds Institutional| 15.23%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|1.ASSET|Multi-Asset|66|13.52|IAU| iShares Gold Trust| 20.48%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|2.ASSET|Multi-Asset|66|13.51|SGOL| Aberdeen Standard Physical Gold Shares ETF| 20.47%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|3.ASSET|Multi-Asset|66|10.14|GLDM| SPDR Gold MiniShares Trust| 15.36%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|4.ASSET|Multi-Asset|66|6.32|ICSH| BlackRock Ultra Short-Term Bond ETF| 9.58%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|5.ASSET|Multi-Asset|66|6.31|SHY| iShares 1-3 Year Treasury Bond ETF| 9.56%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|6.ASSET|Multi-Asset|66|6.3|BSV| Vanguard Short-Term Bond ETF| 9.55%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|7.ASSET|Multi-Asset|66|6.26|TLT| iShares 20+ Year Treasury Bond ETF| 9.49%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|8.ASSET|Multi-Asset|66|3.38|GLD| SPDR Gold Shares| 5.12%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|9.ASSET|Multi-Asset|66|0.28|FGXXX| First American Funds Inc X Government Obligations Fund| 0.43%| North America|Multi-Asset|Diversified Portfolio||WIZ|6|10.ASSET|Multi-Asset|66|-0.03|N/A| U.S. Dollar| -0.04%| North America|Equity|All Cap Equities||SENT|6|1.ASSET|Equity|67.5|2.02|N/A| OPTIONS| 2.99%| North America|Equity|All Cap Equities||SENT|6|2.ASSET|Equity|67.5|0.67|HCC| Warrior Met Coal, Inc.| 0.99%| North America|Equity|All Cap Equities||SENT|6|3.ASSET|Equity|67.5|0.63|ACI| Albertsons Companies, Inc. Class A| 0.93%| North America|Equity|All Cap Equities||SENT|6|4.ASSET|Equity|67.5|0.62|GNK| Genco Shipping & Trading Ltd| 0.92%| North America|Equity|All Cap Equities||SENT|6|5.ASSET|Equity|67.5|0.62|KNBE| KnowBe4, Inc. Class A| 0.92%| North America|Equity|All Cap Equities||SENT|6|6.ASSET|Equity|67.5|0.61|RES| RPC, Inc.| 0.91%| North America|Equity|All Cap Equities||SENT|6|7.ASSET|Equity|67.5|0.61|MU| Micron Technology, Inc.| 0.90%| North America|Equity|All Cap Equities||SENT|6|8.ASSET|Equity|67.5|0.61|SPT| Sprout Social Inc Class A| 0.90%| North America|Equity|All Cap Equities||SENT|6|9.ASSET|Equity|67.5|0.61|DKS| Dick\'s Sporting Goods, Inc.| 0.90%| North America|Equity|All Cap Equities||SENT|6|10.ASSET|Equity|67.5|0.61|KR| Kroger Co.| 0.90%| North America|Equity|All Cap Equities||SENT|6|11.ASSET|Equity|67.5|0.6|SKY| Skyline Champion Corp.| 0.89%| North America|Equity|All Cap Equities||SENT|6|12.ASSET|Equity|67.5|0.6|LOW| Lowe\'s Companies, Inc.| 0.89%| North America|Equity|All Cap Equities||SENT|6|13.ASSET|Equity|67.5|0.6|ACLS| Axcelis Technologies, Inc.| 0.89%| North America|Equity|All Cap Equities||SENT|6|14.ASSET|Equity|67.5|0.6|HZO| MarineMax, Inc.| 0.89%| North America|Equity|All Cap Equities||SENT|6|15.ASSET|Equity|67.5|0.6|GMS| GMS Inc.| 0.89%| Global|Commodity|Oil & Gas||OILK|6|1.ASSET|Commodity|100.3|100.3|N/A| Sweet Light Crude Oil (WTI)| 100.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|1.ASSET|Bond|68.6|1.22|N/A| Government of Oman 6.25% 25-JAN-2031| 1.78%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|2.ASSET|Bond|68.6|1.21|N/A| Government of Oman 6.25% 25-JAN-2031| 1.76%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|3.ASSET|Bond|68.6|1.08|N/A| Government of Colombia 4.5% 15-MAR-2029| 1.58%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|4.ASSET|Bond|68.6|1.08|N/A| Government of Colombia 4.5% 15-MAR-2029| 1.58%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|5.ASSET|Bond|68.6|0.89|N/A| Government of Colombia 5.2% 15-MAY-2049| 1.30%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|6.ASSET|Bond|68.6|0.88|N/A| Government of Colombia 5.2% 15-MAY-2049| 1.29%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|7.ASSET|Bond|68.6|0.73|N/A| Government of Brazil 4.75% 14-JAN-2050| 1.07%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|8.ASSET|Bond|68.6|0.73|N/A| Government of Brazil 4.75% 14-JAN-2050| 1.07%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|9.ASSET|Bond|68.6|0.66|N/A| Government of Brazil 6.0% 07-APR-2026| 0.96%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|10.ASSET|Bond|68.6|0.65|N/A| Government of Brazil 6.0% 07-APR-2026| 0.95%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|11.ASSET|Bond|68.6|0.62|N/A| Government of Jamaica 7.875% 28-JUL-2045| 0.90%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|12.ASSET|Bond|68.6|0.62|N/A| Government of Jamaica 7.875% 28-JUL-2045| 0.90%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|13.ASSET|Bond|68.6|0.6|N/A| Government of Bahrain 6.125% 01-AUG-2023| 0.87%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|14.ASSET|Bond|68.6|0.6|N/A| Government of Bahrain 6.125% 01-AUG-2023| 0.87%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|JPMB|6|15.ASSET|Bond|68.6|0.59|N/A| Malaysia Sovereign Sukuk Bhd. 3.043% 22-APR-2025| 0.86%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|1.ASSET|Equity|50.1|3.53|ATVI| Activision Blizzard, Inc.| 7.05%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|2.ASSET|Equity|50.1|3.38|MTG.B| Modern Times Group MTG AB Class B| 6.74%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|3.ASSET|Equity|50.1|2.88|CRSR| Corsair Gaming, Inc.| 5.74%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|4.ASSET|Equity|50.1|2.3|700| Tencent Holdings Ltd.| 4.60%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|5.ASSET|Equity|50.1|2.09|DOYU| DouYu International Holdings Ltd. Sponsored ADR| 4.18%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|6.ASSET|Equity|50.1|1.87|UBI| Ubisoft Entertainment SA| 3.74%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|7.ASSET|Equity|50.1|1.74|HEAR| Turtle Beach Corporation| 3.47%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|8.ASSET|Equity|50.1|1.73|EA| Electronic Arts Inc.| 3.45%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|9.ASSET|Equity|50.1|1.72|HUYA| HUYA, Inc. Sponsored ADR Class A| 3.44%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|10.ASSET|Equity|50.1|1.66|1337| Razer, Inc.| 3.31%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|11.ASSET|Equity|50.1|1.64|TTWO| Take-Two Interactive Software, Inc.| 3.28%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|12.ASSET|Equity|50.1|1.55|EGLX| Enthusiast Gaming Holdings Inc| 3.10%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|13.ASSET|Equity|50.1|1.52|NTES| NetEase, Inc. Sponsored ADR| 3.04%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|14.ASSET|Equity|50.1|1.52|259960| Krafton, Inc.| 3.03%| Developed Markets|Equity|Global Equities|Consumer Discretionary|NERD|6|15.ASSET|Equity|50.1|1.34|3659| NEXON Co., Ltd.| 2.67%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|1.ASSET|Equity|80.6|2.22|AM| Dassault Aviation SA| 2.76%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|2.ASSET|Equity|80.6|2.2|HO| Thales SA| 2.73%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|3.ASSET|Equity|80.6|2.01|LDO| Leonardo SpA| 2.49%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|4.ASSET|Equity|80.6|1.99|HSBA| HSBC Holdings Plc| 2.47%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|5.ASSET|Equity|80.6|1.97|BATS| British American Tobacco p.l.c.| 2.44%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|6.ASSET|Equity|80.6|1.87|2388| BOC Hong Kong (Holdings) Limited| 2.32%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|7.ASSET|Equity|80.6|1.84|VOD| Vodafone Group Plc| 2.28%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|8.ASSET|Equity|80.6|1.83|LNK| Link Administration Holdings Ltd.| 2.27%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|9.ASSET|Equity|80.6|1.78|1910| Samsonite International S.A.| 2.21%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|10.ASSET|Equity|80.6|1.75|SAN| Sanofi| 2.17%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|11.ASSET|Equity|80.6|1.74|2454| MediaTek Inc| 2.16%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|12.ASSET|Equity|80.6|1.69|S63| Singapore Technologies Engineering Ltd| 2.10%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|13.ASSET|Equity|80.6|1.69|IMB| Imperial Brands PLC| 2.10%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|14.ASSET|Equity|80.6|1.68|C38U| CapitaLand Integrated Commercial Trust| 2.09%| Broad Asia|Equity|Foreign Large Cap Equities||MOTI|6|15.ASSET|Equity|80.6|1.65|1099| Sinopharm Group Co., Ltd. Class H| 2.05%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|1.ASSET|Equity|67.3|2.69|ROG| Roche Holding Ltd| 4.00%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|2.ASSET|Equity|67.3|2.36|NESN| Nestle S.A.| 3.51%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|3.ASSET|Equity|67.3|1.31|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.94%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|4.ASSET|Equity|67.3|1.25|RIO| Rio Tinto plc| 1.85%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|5.ASSET|Equity|67.3|1.2|ENB| Enbridge Inc.| 1.79%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|6.ASSET|Equity|67.3|1.02|RY| Royal Bank of Canada| 1.52%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|7.ASSET|Equity|67.3|0.91|OR| L\'Oreal SA| 1.35%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|8.ASSET|Equity|67.3|0.9|GSK| GlaxoSmithKline plc| 1.34%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|9.ASSET|Equity|67.3|0.79|CBA| Commonwealth Bank of Australia| 1.18%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|10.ASSET|Equity|67.3|0.69|SIE| Siemens AG| 1.03%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|11.ASSET|Equity|67.3|0.68|ZURN| Zurich Insurance Group Ltd| 1.01%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|12.ASSET|Equity|67.3|0.68|NOVN| Novartis AG| 1.01%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|13.ASSET|Equity|67.3|0.67|BP| BP p.l.c.| 0.99%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|14.ASSET|Equity|67.3|0.65|BATS| British American Tobacco p.l.c.| 0.96%| Broad Asia|Equity|Foreign Large Cap Equities||IQDE|6|15.ASSET|Equity|67.3|0.63|532540| Tata Consultancy Services Limited| 0.93%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|1.ASSET|Multi-Asset|75|2.86|FCT| First Trust Senior Floating Rate Income Fund II| 3.81%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|2.ASSET|Multi-Asset|75|2.75|FINS| Angel Oak Financial Strategies Income Term Trust of Benef. Interest| 3.67%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|3.ASSET|Multi-Asset|75|2.66|BGH| Barings Global Short Duration High Yield Fund of Benef Interest| 3.55%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|4.ASSET|Multi-Asset|75|2.66|DLY| DoubleLine Yield Opportunities Fund| 3.54%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|5.ASSET|Multi-Asset|75|2.65|JQC| Nuveen Credit Strategies Income Fund| 3.53%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|6.ASSET|Multi-Asset|75|2.64|JRI| Nuveen Real Asset Income & Growth Fund| 3.52%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|7.ASSET|Multi-Asset|75|2.63|HIX| Western Asset High Income Fund II Inc| 3.50%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|8.ASSET|Multi-Asset|75|2.62|ARDC| Ares Dynamic Credit Allocation Fund, Inc.| 3.49%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|9.ASSET|Multi-Asset|75|2.62|KIO| KKR Income Opportunities Fund| 3.49%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|10.ASSET|Multi-Asset|75|2.6|HYI| Western Asset High Yield Defined Opportunity Fund Inc| 3.46%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|11.ASSET|Multi-Asset|75|2.58|ISD| PGIM High Yield Bond Fund, Inc.| 3.44%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|12.ASSET|Multi-Asset|75|2.56|GHY| PGIM Global High Yield Fund, Inc.| 3.41%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|13.ASSET|Multi-Asset|75|2.55|EAD| Allspring Income Opportunities Fund| 3.40%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|14.ASSET|Multi-Asset|75|2.52|HYT| BlackRock Corporate High Yield Fund Inc| 3.36%| North America|Multi-Asset|Diversified Portfolio||HIPS|6|15.ASSET|Multi-Asset|75|2.43|EMD| Western Asset Emerging Markets Debt Fund Inc| 3.24%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|1.ASSET|Equity|60.5|10.81|005930| Samsung Electronics Co., Ltd.| 17.86%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|2.ASSET|Equity|60.5|4.21|000660| SK hynix Inc| 6.96%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|3.ASSET|Equity|60.5|2.82|035420| NAVER Corp.| 4.66%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|4.ASSET|Equity|60.5|1.9|006400| Samsung SDI Co., Ltd| 3.14%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|5.ASSET|Equity|60.5|1.74|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 2.87%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|6.ASSET|Equity|60.5|1.74|051910| LG Chem Ltd.| 2.87%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|7.ASSET|Equity|60.5|1.69|035720| Kakao Corp.| 2.80%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|8.ASSET|Equity|60.5|1.6|005380| Hyundai Motor Company| 2.65%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|9.ASSET|Equity|60.5|1.52|105560| KB Financial Group Inc.| 2.52%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|10.ASSET|Equity|60.5|1.28|055550| Shinhan Financial Group Co., Ltd.| 2.12%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|11.ASSET|Equity|60.5|1.25|000270| Kia Corporation| 2.07%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|12.ASSET|Equity|60.5|1.22|005490| POSCO Holdings Inc.| 2.01%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|13.ASSET|Equity|60.5|1.14|068270| Celltrion, Inc.| 1.88%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|14.ASSET|Equity|60.5|0.94|012330| Hyundai Mobis Co., Ltd| 1.55%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLKR|6|15.ASSET|Equity|60.5|0.93|086790| Hana Financial Group Inc.| 1.53%| Global|Equity|Volatility Hedged Equity||KJUL|6|1.ASSET|Equity|62.4|62.24|N/A| OPTIONS| 99.74%| Global|Equity|Volatility Hedged Equity||KJUL|6|2.ASSET|Equity|62.4|0.16|N/A| U.S. Dollar| 0.26%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|1.ASSET|Bond|78.9|0.52|N/A| Metropolitan Transn Auth N Y Rev 5.0% 15-NOV-2028| 0.66%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|2.ASSET|Bond|78.9|0.52|N/A| Metropolitan Transn Auth N Y Rev 5.0% 15-NOV-2028| 0.66%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|3.ASSET|Bond|78.9|0.5|N/A| Columbus Ohio 5.0% 01-APR-2031| 0.64%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|4.ASSET|Bond|78.9|0.5|N/A| Columbus Ohio 5.0% 01-APR-2031| 0.64%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|5.ASSET|Bond|78.9|0.47|N/A| Energy Northwest Wash Elec Rev 5.0% 01-JUL-2028| 0.59%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|6.ASSET|Bond|78.9|0.47|N/A| Energy Northwest Wash Elec Rev 5.0% 01-JUL-2028| 0.59%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|7.ASSET|Bond|78.9|0.43|N/A| U.S. Dollar| 0.54%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|8.ASSET|Bond|78.9|0.41|N/A| California St 5.0% 01-SEP-2028| 0.52%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|9.ASSET|Bond|78.9|0.41|N/A| California St 5.0% 01-SEP-2028| 0.52%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|10.ASSET|Bond|78.9|0.41|N/A| District Columbia Income Tax Rev 5.0% 01-OCT-2028| 0.52%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|11.ASSET|Bond|78.9|0.41|N/A| District Columbia Income Tax Rev 5.0% 01-OCT-2028| 0.52%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|12.ASSET|Bond|78.9|0.4|N/A| Florida St 4.0% 01-JUL-2032| 0.51%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|13.ASSET|Bond|78.9|0.4|N/A| Florida St 4.0% 01-JUL-2032| 0.51%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|14.ASSET|Bond|78.9|0.4|N/A| California St 5.0% 01-AUG-2029| 0.51%| North America|Bond|National Munis|Target Maturity Date Munis|IBMQ|6|15.ASSET|Bond|78.9|0.4|N/A| California St 5.0% 01-AUG-2029| 0.51%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|1.ASSET|Bond|64|1.52|N/A| U.S. Dollar| 2.38%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|2.ASSET|Bond|64|0.87|N/A| CORPORATE BOND| 1.36%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|3.ASSET|Bond|64|0.47|N/A| EQUITY OTHER| 0.73%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|4.ASSET|Bond|64|0.46|N/A| Telecom Italia S.p.A. 2.875% 28-JAN-2026| 0.72%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|5.ASSET|Bond|64|0.42|N/A| Autostrade per l\'Italia SpA 2.0% 15-JAN-2030| 0.66%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|6.ASSET|Bond|64|0.36|N/A| Bellis Acquisition Co. Plc 3.25% 16-FEB-2026| 0.57%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|7.ASSET|Bond|64|0.34|N/A| Vodafone Group Plc 3.1% 03-JAN-2079| 0.53%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|8.ASSET|Bond|64|0.33|N/A| thyssenkrupp AG 2.875% 22-FEB-2024| 0.52%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|9.ASSET|Bond|64|0.33|N/A| Deutsche Lufthansa AG 3.0% 29-MAY-2026| 0.51%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|10.ASSET|Bond|64|0.32|N/A| Lorca Telecom Bondco SA 4.0% 18-SEP-2027| 0.50%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|11.ASSET|Bond|64|0.32|N/A| Banca Monte dei Paschi di Siena S.p.A. 3.625% 24-SEP-2024| 0.50%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|12.ASSET|Bond|64|0.32|N/A| INEOS Finance Plc 2.875% 01-MAY-2026| 0.50%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|13.ASSET|Bond|64|0.31|N/A| Telecom Italia S.p.A. 2.375% 12-OCT-2027| 0.49%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|14.ASSET|Bond|64|0.31|N/A| Verisure Midholding AB 5.25% 15-FEB-2029| 0.49%| Developed Markets|Bond|High Yield Bonds|International Corporate|HYXU|6|15.ASSET|Bond|64|0.31|N/A| Teva Pharmaceutical Finance Netherlands II BV 3.75% 09-MAY-2027| 0.49%| North America|Equity|All Cap Equities||FCPI|6|1.ASSET|Equity|182.6|9.51|AAPL| Apple Inc.| 5.21%| North America|Equity|All Cap Equities||FCPI|6|2.ASSET|Equity|182.6|8.34|MSFT| Microsoft Corporation| 4.57%| North America|Equity|All Cap Equities||FCPI|6|3.ASSET|Equity|182.6|5.75|MRO| Marathon Oil Corporation| 3.15%| North America|Equity|All Cap Equities||FCPI|6|4.ASSET|Equity|182.6|5.68|PDCE| PDC Energy, Inc.| 3.11%| North America|Equity|All Cap Equities||FCPI|6|5.ASSET|Equity|182.6|5.66|NUE| Nucor Corporation| 3.10%| North America|Equity|All Cap Equities||FCPI|6|6.ASSET|Equity|182.6|5.64|APA| APA Corp.| 3.09%| North America|Equity|All Cap Equities||FCPI|6|7.ASSET|Equity|182.6|4.95|LPX| Louisiana-Pacific Corporation| 2.71%| North America|Equity|All Cap Equities||FCPI|6|8.ASSET|Equity|182.6|4.53|OLN| Olin Corporation| 2.48%| North America|Equity|All Cap Equities||FCPI|6|9.ASSET|Equity|182.6|4.2|PG| Procter & Gamble Company| 2.30%| North America|Equity|All Cap Equities||FCPI|6|10.ASSET|Equity|182.6|4.07|UNH| UnitedHealth Group Incorporated| 2.23%| North America|Equity|All Cap Equities||FCPI|6|11.ASSET|Equity|182.6|3.52|NFG| National Fuel Gas Company| 1.93%| North America|Equity|All Cap Equities||FCPI|6|12.ASSET|Equity|182.6|3.43|UNP| Union Pacific Corporation| 1.88%| North America|Equity|All Cap Equities||FCPI|6|13.ASSET|Equity|182.6|3.4|PM| Philip Morris International Inc.| 1.86%| North America|Equity|All Cap Equities||FCPI|6|14.ASSET|Equity|182.6|3.27|GOOGL| Alphabet Inc. Class A| 1.79%| North America|Equity|All Cap Equities||FCPI|6|15.ASSET|Equity|182.6|3.25|MO| Altria Group Inc| 1.78%| Global|Equity|All Cap Equities||JSTC|6|1.ASSET|Equity|89.5|1.2|NOVN| Novartis AG| 1.34%| Global|Equity|All Cap Equities||JSTC|6|2.ASSET|Equity|89.5|1.15|MA| Mastercard Incorporated Class A| 1.29%| Global|Equity|All Cap Equities||JSTC|6|3.ASSET|Equity|89.5|1.07|CB| Chubb Limited| 1.19%| Global|Equity|All Cap Equities||JSTC|6|4.ASSET|Equity|89.5|1.06|NVDA| NVIDIA Corporation| 1.18%| Global|Equity|All Cap Equities||JSTC|6|5.ASSET|Equity|89.5|0.97|DHR| Danaher Corporation| 1.08%| Global|Equity|All Cap Equities||JSTC|6|6.ASSET|Equity|89.5|0.94|GWW| W.W. Grainger, Inc.| 1.05%| Global|Equity|All Cap Equities||JSTC|6|7.ASSET|Equity|89.5|0.9|GLW| Corning Inc| 1.00%| Global|Equity|All Cap Equities||JSTC|6|8.ASSET|Equity|89.5|0.89|ADBE| Adobe Inc.| 0.99%| Global|Equity|All Cap Equities||JSTC|6|9.ASSET|Equity|89.5|0.86|AXP| American Express Company| 0.96%| Global|Equity|All Cap Equities||JSTC|6|10.ASSET|Equity|89.5|0.82|BMY| Bristol-Myers Squibb Company| 0.92%| Global|Equity|All Cap Equities||JSTC|6|11.ASSET|Equity|89.5|0.75|GGG| Graco Inc.| 0.84%| Global|Equity|All Cap Equities||JSTC|6|12.ASSET|Equity|89.5|0.72|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 0.81%| Global|Equity|All Cap Equities||JSTC|6|13.ASSET|Equity|89.5|0.69|ADP| Automatic Data Processing, Inc.| 0.77%| Global|Equity|All Cap Equities||JSTC|6|14.ASSET|Equity|89.5|0.65|NDSN| Nordson Corporation| 0.73%| Global|Equity|All Cap Equities||JSTC|6|15.ASSET|Equity|89.5|0.65|QSR| Restaurant Brands International Inc| 0.73%| North America|Equity|n/a||QDEC|6|1.ASSET|Equity|104.5|103.37|N/A| OPTIONS| 98.92%| North America|Equity|n/a||QDEC|6|2.ASSET|Equity|104.5|103.36|N/A| OPTIONS| 98.91%| North America|Equity|n/a||QDEC|6|3.ASSET|Equity|104.5|1.14|N/A| U.S. Dollar| 1.09%| North America|Equity|n/a||QDEC|6|4.ASSET|Equity|104.5|1.13|N/A| U.S. Dollar| 1.08%| North America|Bond|Leveraged Bonds|Treasuries|PST|6|1.ASSET|Bond|103.7|67.9|N/A| U.S. Dollar| 65.48%| North America|Bond|Leveraged Bonds|Treasuries|PST|6|2.ASSET|Bond|103.7|16.35|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 15.77%| North America|Bond|Leveraged Bonds|Treasuries|PST|6|3.ASSET|Bond|103.7|16.24|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 15.66%| North America|Bond|Leveraged Bonds|Treasuries|PST|6|4.ASSET|Bond|103.7|3.2|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.09%| North America|Equity|Technology Equities|Technology|BKCH|6|1.ASSET|Equity|108.7|13.9|COIN| Coinbase Global, Inc. Class A| 12.79%| North America|Equity|Technology Equities|Technology|BKCH|6|2.ASSET|Equity|108.7|12.77|RIOT| Riot Blockchain Inc| 11.75%| North America|Equity|Technology Equities|Technology|BKCH|6|3.ASSET|Equity|108.7|11.02|MARA| Marathon Digital Holdings Inc| 10.14%| North America|Equity|Technology Equities|Technology|BKCH|6|4.ASSET|Equity|108.7|7.16|HUT| Hut 8 Mining Corp.| 6.59%| North America|Equity|Technology Equities|Technology|BKCH|6|5.ASSET|Equity|108.7|6.87|NB2| Northern Data AG| 6.32%| North America|Equity|Technology Equities|Technology|BKCH|6|6.ASSET|Equity|108.7|6.26|VOYG| Voyager Digital Ltd.| 5.76%| North America|Equity|Technology Equities|Technology|BKCH|6|7.ASSET|Equity|108.7|6.16|GLXY| Galaxy Digital Holdings Ltd.| 5.67%| North America|Equity|Technology Equities|Technology|BKCH|6|8.ASSET|Equity|108.7|6.03|CAN| Canaan Inc. Sponsored ADR Class A| 5.55%| North America|Equity|Technology Equities|Technology|BKCH|6|9.ASSET|Equity|108.7|5.63|BITF| Bitfarms Ltd.| 5.18%| North America|Equity|Technology Equities|Technology|BKCH|6|10.ASSET|Equity|108.7|4.96|HIVE| HIVE Blockchain Technologies Ltd| 4.56%| North America|Equity|Technology Equities|Technology|BKCH|6|11.ASSET|Equity|108.7|4.29|ARB| Argo Blockchain Plc| 3.95%| North America|Equity|Technology Equities|Technology|BKCH|6|12.ASSET|Equity|108.7|3.7|NVDA| NVIDIA Corporation| 3.40%| North America|Equity|Technology Equities|Technology|BKCH|6|13.ASSET|Equity|108.7|3.26|863| BC Technology Group Limited| 3.00%| North America|Equity|Technology Equities|Technology|BKCH|6|14.ASSET|Equity|108.7|2.87|EBON| Ebang International Holdings, Inc. Class A| 2.64%| North America|Equity|Technology Equities|Technology|BKCH|6|15.ASSET|Equity|108.7|2.45|BIGG| BIGG Digital Assets Inc.| 2.25%| North America|Multi-Asset|All Cap Equities||FDIV|6|1.ASSET|Multi-Asset|81.3|17.06|FTSL| First Trust Senior Loan Fund| 20.98%| North America|Multi-Asset|All Cap Equities||FDIV|6|2.ASSET|Multi-Asset|81.3|7.89|FPE| First Trust Preferred Securities & Income ETF| 9.70%| North America|Multi-Asset|All Cap Equities||FDIV|6|3.ASSET|Multi-Asset|81.3|5.58|LMBS| First Trust Low Duration Opportunities ETF| 6.86%| North America|Multi-Asset|All Cap Equities||FDIV|6|4.ASSET|Multi-Asset|81.3|4.3|FEMB| First Trust Emerging Markets Local Currency Bond ETF| 5.29%| North America|Multi-Asset|All Cap Equities||FDIV|6|5.ASSET|Multi-Asset|81.3|2.67|FPEI| First Trust Institutional Preferred Securities & Income ETF| 3.28%| North America|Multi-Asset|All Cap Equities||FDIV|6|6.ASSET|Multi-Asset|81.3|2.59|EMB| iShares JP Morgan USD Emerging Markets Bond ETF| 3.18%| North America|Multi-Asset|All Cap Equities||FDIV|6|7.ASSET|Multi-Asset|81.3|2.39|N/A| U.S. Dollar| 2.94%| North America|Multi-Asset|All Cap Equities||FDIV|6|8.ASSET|Multi-Asset|81.3|1.63|EPD| Enterprise Products Partners L.P.| 2.01%| North America|Multi-Asset|All Cap Equities||FDIV|6|9.ASSET|Multi-Asset|81.3|1.51|MMP| Magellan Midstream Partners, L.P.| 1.86%| North America|Multi-Asset|All Cap Equities||FDIV|6|10.ASSET|Multi-Asset|81.3|1.13|TRP| TC Energy Corporation| 1.39%| North America|Multi-Asset|All Cap Equities||FDIV|6|11.ASSET|Multi-Asset|81.3|0.87|NEP| NextEra Energy Partners LP| 1.07%| North America|Multi-Asset|All Cap Equities||FDIV|6|12.ASSET|Multi-Asset|81.3|0.82|ATO| Atmos Energy Corporation| 1.01%| North America|Multi-Asset|All Cap Equities||FDIV|6|13.ASSET|Multi-Asset|81.3|0.76|SRE| Sempra Energy| 0.93%| North America|Multi-Asset|All Cap Equities||FDIV|6|14.ASSET|Multi-Asset|81.3|0.74|CQP| Cheniere Energy Partners, L.P.| 0.91%| North America|Multi-Asset|All Cap Equities||FDIV|6|15.ASSET|Multi-Asset|81.3|0.72|IDA| IDACORP, Inc.| 0.89%| North America|Equity|n/a||DMAR|6|1.ASSET|Equity|76|75.75|N/A| OPTIONS| 99.67%| North America|Equity|n/a||DMAR|6|2.ASSET|Equity|76|0.25|DGCXX| Dreyfus Government Cash Management Funds Institutional| 0.33%| North America|Equity|n/a||DMAR|6|3.ASSET|Equity|76|0|N/A| U.S. Dollar| 0.00%| North America|Equity|Technology Equities|Technology|JHMT|6|1.ASSET|Equity|69.2|4.84|AAPL| Apple Inc.| 7.00%| North America|Equity|Technology Equities|Technology|JHMT|6|2.ASSET|Equity|69.2|4.4|MSFT| Microsoft Corporation| 6.36%| North America|Equity|Technology Equities|Technology|JHMT|6|3.ASSET|Equity|69.2|3.74|AVGO| Broadcom Inc.| 5.41%| North America|Equity|Technology Equities|Technology|JHMT|6|4.ASSET|Equity|69.2|3.72|NVDA| NVIDIA Corporation| 5.38%| North America|Equity|Technology Equities|Technology|JHMT|6|5.ASSET|Equity|69.2|3.63|AMD| Advanced Micro Devices, Inc.| 5.25%| North America|Equity|Technology Equities|Technology|JHMT|6|6.ASSET|Equity|69.2|1.71|CSCO| Cisco Systems, Inc.| 2.47%| North America|Equity|Technology Equities|Technology|JHMT|6|7.ASSET|Equity|69.2|1.56|INTC| Intel Corporation| 2.25%| North America|Equity|Technology Equities|Technology|JHMT|6|8.ASSET|Equity|69.2|1.47|QCOM| Qualcomm Inc| 2.12%| North America|Equity|Technology Equities|Technology|JHMT|6|9.ASSET|Equity|69.2|1.42|TXN| Texas Instruments Incorporated| 2.05%| North America|Equity|Technology Equities|Technology|JHMT|6|10.ASSET|Equity|69.2|1.4|ADBE| Adobe Inc.| 2.02%| North America|Equity|Technology Equities|Technology|JHMT|6|11.ASSET|Equity|69.2|1.35|CRM| salesforce.com, inc.| 1.95%| North America|Equity|Technology Equities|Technology|JHMT|6|12.ASSET|Equity|69.2|1.13|IBM| International Business Machines Corporation| 1.63%| North America|Equity|Technology Equities|Technology|JHMT|6|13.ASSET|Equity|69.2|1.02|APH| Amphenol Corporation Class A| 1.48%| North America|Equity|Technology Equities|Technology|JHMT|6|14.ASSET|Equity|69.2|1|LRCX| Lam Research Corporation| 1.44%| North America|Equity|Technology Equities|Technology|JHMT|6|15.ASSET|Equity|69.2|0.96|CTSH| Cognizant Technology Solutions Corporation Class A| 1.39%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|1.ASSET|Multi-Asset|69.5|3.42|VNLA| Janus Henderson Short Duration Income ETF| 4.92%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|2.ASSET|Multi-Asset|69.5|3.36|FCG| First Trust Natural Gas ETF| 4.84%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|3.ASSET|Multi-Asset|69.5|3.27|BX| Blackstone Inc.| 4.71%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|4.ASSET|Multi-Asset|69.5|2.93|REMX| VanEck Rare Earth/Strategic Metals ETF| 4.22%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|5.ASSET|Multi-Asset|69.5|2.91|ARCC| Ares Capital Corporation| 4.18%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|6.ASSET|Multi-Asset|69.5|2.75|OXLC| Oxford Lane Capital Corp.| 3.95%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|7.ASSET|Multi-Asset|69.5|2.75|SIZE| iShares MSCI USA Size Factor ETF| 3.95%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|8.ASSET|Multi-Asset|69.5|2.73|PDI| PIMCO Dynamic Income Fund| 3.93%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|9.ASSET|Multi-Asset|69.5|2.52|DBE| Invesco DB Energy Fund| 3.63%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|10.ASSET|Multi-Asset|69.5|2.45|URA| Global X Uranium ETF| 3.52%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|11.ASSET|Multi-Asset|69.5|2.42|PXE| Invesco Dynamic Energy Exploration & Production ETF| 3.48%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|12.ASSET|Multi-Asset|69.5|2.34|DDF| Delaware Investments Dividend and Income Fund Inc| 3.37%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|13.ASSET|Multi-Asset|69.5|2.2|FEI| First Trust MLP & Energy Income Fund| 3.16%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|14.ASSET|Multi-Asset|69.5|2.19|BIZD| VanEck BDC Income ETF| 3.15%| Developed Markets|Multi-Asset|Diversified Portfolio||DALT|6|15.ASSET|Multi-Asset|69.5|2.12|AMT| American Tower Corporation| 3.05%| Global|Equity|Global Equities||GSFP|6|1.ASSET|Equity|112.7|4.63|ENEL| Enel SpA| 4.11%| Global|Equity|Global Equities||GSFP|6|2.ASSET|Equity|112.7|4.1|ECL| Ecolab Inc.| 3.64%| Global|Equity|Global Equities||GSFP|6|3.ASSET|Equity|112.7|3.96|DHR| Danaher Corporation| 3.51%| Global|Equity|Global Equities||GSFP|6|4.ASSET|Equity|112.7|3.88|IBE| Iberdrola SA| 3.44%| Global|Equity|Global Equities||GSFP|6|5.ASSET|Equity|112.7|3.78|NEE| NextEra Energy, Inc.| 3.35%| Global|Equity|Global Equities||GSFP|6|6.ASSET|Equity|112.7|3.5|DSM| Koninklijke DSM N.V.| 3.11%| Global|Equity|Global Equities||GSFP|6|7.ASSET|Equity|112.7|3.35|SU| Schneider Electric SE| 2.97%| Global|Equity|Global Equities||GSFP|6|8.ASSET|Equity|112.7|3.25|IFX| Infineon Technologies AG| 2.88%| Global|Equity|Global Equities||GSFP|6|9.ASSET|Equity|112.7|3.21|SEDG| SolarEdge Technologies, Inc.| 2.85%| Global|Equity|Global Equities||GSFP|6|10.ASSET|Equity|112.7|3.19|6367| DAIKIN INDUSTRIES, LTD.| 2.83%| Global|Equity|Global Equities||GSFP|6|11.ASSET|Equity|112.7|3.04|XYL| Xylem Inc.| 2.70%| Global|Equity|Global Equities||GSFP|6|12.ASSET|Equity|112.7|2.95|APTV| Aptiv PLC| 2.62%| Global|Equity|Global Equities||GSFP|6|13.ASSET|Equity|112.7|2.65|SMDS| DS Smith Plc| 2.35%| Global|Equity|Global Equities||GSFP|6|14.ASSET|Equity|112.7|2.59|300750| Contemporary Amperex Technology Co., Ltd. Class A| 2.30%| Global|Equity|Global Equities||GSFP|6|15.ASSET|Equity|112.7|2.46|WOLF| Wolfspeed Inc| 2.18%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|1.ASSET|Bond|74.4|6.04|N/A| MUTUAL FUND (OTHER)| 8.12%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|2.ASSET|Bond|74.4|1.83|N/A| Charter Communications Operating LLC 4.464% 23-JUL-2022| 2.46%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|3.ASSET|Bond|74.4|1.53|N/A| Sprint Communications, Inc. 6.0% 15-NOV-2022| 2.05%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|4.ASSET|Bond|74.4|1.38|N/A| DISH DBS Corporation 5.875% 15-JUL-2022| 1.86%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|5.ASSET|Bond|74.4|1.31|N/A| Lumen Technologies, Inc. 5.8% 15-MAR-2022| 1.76%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|6.ASSET|Bond|74.4|1.3|N/A| Cablevision Systems Corporation 5.875% 15-SEP-2022| 1.75%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|7.ASSET|Bond|74.4|1.26|N/A| Credit Suisse Group Funding (Guernsey) Ltd. 3.8% 15-SEP-2022| 1.69%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|8.ASSET|Bond|74.4|1.22|N/A| EQT Corporation 3.0% 01-OCT-2022| 1.64%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|9.ASSET|Bond|74.4|1.18|N/A| Service Properties Trust 5.0% 15-AUG-2022| 1.59%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|10.ASSET|Bond|74.4|1.14|N/A| FirstEnergy Corp. 3.35% 15-JUL-2022| 1.53%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|11.ASSET|Bond|74.4|1.12|N/A| Royal Caribbean Group 5.25% 15-NOV-2022| 1.50%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|12.ASSET|Bond|74.4|1.09|N/A| Western Midstream Operating, LP 4.0% 01-JUL-2022| 1.46%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|13.ASSET|Bond|74.4|1.04|N/A| MGM Resorts International 7.75% 15-MAR-2022| 1.40%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|14.ASSET|Bond|74.4|1.03|N/A| Oracle Corporation 2.5% 15-OCT-2022| 1.38%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHB|6|15.ASSET|Bond|74.4|1.01|N/A| TransAlta Corporation 4.5% 15-NOV-2022| 1.36%| North America|Equity|Leveraged Equities||TWM|6|1.ASSET|Equity|122.9|79.95|N/A| U.S. Dollar| 65.05%| North America|Equity|Leveraged Equities||TWM|6|2.ASSET|Equity|122.9|16.27|N/A| United States Treasury Bills 0.0% 12-APR-2022| 13.24%| North America|Equity|Leveraged Equities||TWM|6|3.ASSET|Equity|122.9|16.26|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 13.23%| North America|Equity|Leveraged Equities||TWM|6|4.ASSET|Equity|122.9|6.51|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 5.30%| North America|Equity|Leveraged Equities||TWM|6|5.ASSET|Equity|122.9|2.61|N/A| United States Treasury Bills 0.0% 05-APR-2022| 2.12%| North America|Equity|Leveraged Equities||TWM|6|6.ASSET|Equity|122.9|1.3|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.06%| North America|Multi-Asset|Hedge Fund||PUTW|6|1.ASSET|Multi-Asset|93.1|55.28|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 59.38%| North America|Multi-Asset|Hedge Fund||PUTW|6|2.ASSET|Multi-Asset|93.1|19.58|N/A| United States Treasury Bills 0.0% 26-MAY-2022| 21.03%| North America|Multi-Asset|Hedge Fund||PUTW|6|3.ASSET|Multi-Asset|93.1|14.27|N/A| U.S. Dollar| 15.33%| North America|Multi-Asset|Hedge Fund||PUTW|6|4.ASSET|Multi-Asset|93.1|3.98|USFR| WisdomTree Floating Rate Treasury Fund| 4.27%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|1.ASSET|Alternatives|32.9|6.79|AMZN| Amazon.com, Inc.| 20.63%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|2.ASSET|Alternatives|32.9|4.49|N/A| U.S. Dollar| 13.66%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|3.ASSET|Alternatives|32.9|3.13|N/A| Alibaba Group Holding Ltd. 3.125% 28-NOV-2021| 9.51%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|4.ASSET|Alternatives|32.9|1.34|EBAY| eBay Inc.| 4.08%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|5.ASSET|Alternatives|32.9|1.05|JD| JD.com, Inc. Sponsored ADR Class A| 3.20%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|6.ASSET|Alternatives|32.9|0.9|ETSY| Etsy, Inc.| 2.74%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|7.ASSET|Alternatives|32.9|0.83|CHWY| Chewy, Inc. Class A| 2.52%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|8.ASSET|Alternatives|32.9|0.71|W| Wayfair, Inc. Class A| 2.16%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|9.ASSET|Alternatives|32.9|0.69|OSTK| Overstock.com, Inc.| 2.09%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|10.ASSET|Alternatives|32.9|0.66|REAL| RealReal, Inc.| 2.00%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|11.ASSET|Alternatives|32.9|0.64|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 1.95%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|12.ASSET|Alternatives|32.9|0.63|DASH| DoorDash, Inc. Class A| 1.90%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|13.ASSET|Alternatives|32.9|0.62|WISH| ContextLogic, Inc. Class A| 1.89%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|14.ASSET|Alternatives|32.9|0.61|POSH| Poshmark, Inc. Class A| 1.84%| Developed Markets|Alternatives|Long-Short|Consumer Staples|CLIX|6|15.ASSET|Alternatives|32.9|0.6|SFIX| Stitch Fix, Inc. Class A| 1.81%| North America|Equity|Large Cap Growth Equities||VEGN|6|1.ASSET|Equity|71.5|3.07|TSLA| Tesla Inc| 4.29%| North America|Equity|Large Cap Growth Equities||VEGN|6|2.ASSET|Equity|71.5|2.95|UNH| UnitedHealth Group Incorporated| 4.12%| North America|Equity|Large Cap Growth Equities||VEGN|6|3.ASSET|Equity|71.5|2.87|NVDA| NVIDIA Corporation| 4.01%| North America|Equity|Large Cap Growth Equities||VEGN|6|4.ASSET|Equity|71.5|2.5|V| Visa Inc. Class A| 3.49%| North America|Equity|Large Cap Growth Equities||VEGN|6|5.ASSET|Equity|71.5|2.3|MA| Mastercard Incorporated Class A| 3.21%| North America|Equity|Large Cap Growth Equities||VEGN|6|6.ASSET|Equity|71.5|1.81|ADBE| Adobe Inc.| 2.53%| North America|Equity|Large Cap Growth Equities||VEGN|6|7.ASSET|Equity|71.5|1.71|CRM| salesforce.com, inc.| 2.39%| North America|Equity|Large Cap Growth Equities||VEGN|6|8.ASSET|Equity|71.5|1.67|GOOGL| Alphabet Inc. Class A| 2.33%| North America|Equity|Large Cap Growth Equities||VEGN|6|9.ASSET|Equity|71.5|1.66|GOOG| Alphabet Inc. Class C| 2.32%| North America|Equity|Large Cap Growth Equities||VEGN|6|10.ASSET|Equity|71.5|1.11|AVGO| Broadcom Inc.| 1.55%| North America|Equity|Large Cap Growth Equities||VEGN|6|11.ASSET|Equity|71.5|1.04|CSCO| Cisco Systems, Inc.| 1.45%| North America|Equity|Large Cap Growth Equities||VEGN|6|12.ASSET|Equity|71.5|1.02|VZ| Verizon Communications Inc.| 1.43%| North America|Equity|Large Cap Growth Equities||VEGN|6|13.ASSET|Equity|71.5|1.02|ACN| Accenture Plc Class A| 1.42%| North America|Equity|Large Cap Growth Equities||VEGN|6|14.ASSET|Equity|71.5|1|CMCSA| Comcast Corporation Class A| 1.40%| North America|Equity|Large Cap Growth Equities||VEGN|6|15.ASSET|Equity|71.5|0.94|INTC| Intel Corporation| 1.32%| North America|Equity|Leveraged Equities||SPUU|6|1.ASSET|Equity|57.2|51.98|IVV| iShares Core S&P 500 ETF| 90.88%| North America|Equity|Leveraged Equities||SPUU|6|2.ASSET|Equity|57.2|1.16|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 2.03%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|1.ASSET|Bond|65.2|3.11|IBCE| iShares iBonds Mar 2023 Term Corporate ex-Financials ETF| 4.77%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|2.ASSET|Bond|65.2|2.29|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 3.51%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|3.ASSET|Bond|65.2|0.75|N/A| National Australia Bank Limited 3.0% 20-JAN-2023| 1.15%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|4.ASSET|Bond|65.2|0.68|N/A| Bank of America Corporation 3.3% 11-JAN-2023| 1.04%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|5.ASSET|Bond|65.2|0.52|N/A| Apple Inc. 2.4% 13-JAN-2023| 0.80%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|6.ASSET|Bond|65.2|0.48|N/A| AbbVie Inc. 2.9% 06-NOV-2022| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|7.ASSET|Bond|65.2|0.48|N/A| Morgan Stanley 3.75% 25-FEB-2023| 0.73%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|8.ASSET|Bond|65.2|0.46|N/A| Sunoco Logistics Partners Operations LP 3.45% 15-JAN-2023| 0.71%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|9.ASSET|Bond|65.2|0.46|N/A| Bristol-Myers Squibb Company 3.55% 15-AUG-2022| 0.70%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|10.ASSET|Bond|65.2|0.46|N/A| Charter Communications Operating LLC 4.464% 23-JUL-2022| 0.70%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|11.ASSET|Bond|65.2|0.45|N/A| Morgan Stanley 3.125% 23-JAN-2023| 0.69%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|12.ASSET|Bond|65.2|0.42|N/A| Morgan Stanley 2.75% 19-MAY-2022| 0.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|13.ASSET|Bond|65.2|0.42|N/A| UnitedHealth Group Incorporated 2.75% 15-FEB-2023| 0.64%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|14.ASSET|Bond|65.2|0.42|N/A| AbbVie Inc. 2.3% 21-NOV-2022| 0.64%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBDD|6|15.ASSET|Bond|65.2|0.41|N/A| American Express Company 2.5% 01-AUG-2022| 0.63%| Developed Markets|Equity|Leveraged Equities|Materials|DUST|6|1.ASSET|Equity|80.6|29.6|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 36.72%| Developed Markets|Equity|Leveraged Equities|Materials|DUST|6|2.ASSET|Equity|80.6|6.26|DGCXX| Dreyfus Government Cash Management Funds Institutional| 7.77%| North America|Equity|Energy Equities|Energy|ENFR|6|1.ASSET|Equity|82.9|8.39|ENB| Enbridge Inc.| 10.12%| North America|Equity|Energy Equities|Energy|ENFR|6|2.ASSET|Equity|82.9|6.88|EPD| Enterprise Products Partners L.P.| 8.30%| North America|Equity|Energy Equities|Energy|ENFR|6|3.ASSET|Equity|82.9|6.29|TRP| TC Energy Corporation| 7.59%| North America|Equity|Energy Equities|Energy|ENFR|6|4.ASSET|Equity|82.9|4.66|LNG| Cheniere Energy, Inc.| 5.62%| North America|Equity|Energy Equities|Energy|ENFR|6|5.ASSET|Equity|82.9|4.63|WMB| Williams Companies, Inc.| 5.59%| North America|Equity|Energy Equities|Energy|ENFR|6|6.ASSET|Equity|82.9|4.63|TRGP| Targa Resources Corp.| 5.58%| North America|Equity|Energy Equities|Energy|ENFR|6|7.ASSET|Equity|82.9|4.55|ET| Energy Transfer, L.P.| 5.49%| North America|Equity|Energy Equities|Energy|ENFR|6|8.ASSET|Equity|82.9|4.31|PPL| Pembina Pipeline Corporation| 5.20%| North America|Equity|Energy Equities|Energy|ENFR|6|9.ASSET|Equity|82.9|4.17|PAGP| Plains GP Holdings LP Class A| 5.03%| North America|Equity|Energy Equities|Energy|ENFR|6|10.ASSET|Equity|82.9|4.12|KMI| Kinder Morgan Inc Class P| 4.97%| North America|Equity|Energy Equities|Energy|ENFR|6|11.ASSET|Equity|82.9|3.88|OKE| ONEOK, Inc.| 4.68%| North America|Equity|Energy Equities|Energy|ENFR|6|12.ASSET|Equity|82.9|3.71|KEY| Keyera Corp.| 4.48%| North America|Equity|Energy Equities|Energy|ENFR|6|13.ASSET|Equity|82.9|2.93|MPLX| MPLX LP| 3.54%| North America|Equity|Energy Equities|Energy|ENFR|6|14.ASSET|Equity|82.9|2.87|AM| Antero Midstream Corp.| 3.46%| North America|Equity|Energy Equities|Energy|ENFR|6|15.ASSET|Equity|82.9|2.52|ENLC| EnLink Midstream LLC| 3.04%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|1.ASSET|Equity|71.1|3.54|GOOGL| Alphabet Inc. Class A| 4.98%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|2.ASSET|Equity|71.1|3.53|AAPL| Apple Inc.| 4.96%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|3.ASSET|Equity|71.1|3.36|QCOM| Qualcomm Inc| 4.72%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|4.ASSET|Equity|71.1|3.33|NVDA| NVIDIA Corporation| 4.68%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|5.ASSET|Equity|71.1|3.32|005930| Samsung Electronics Co., Ltd.| 4.67%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|6.ASSET|Equity|71.1|3.24|INTC| Intel Corporation| 4.56%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|7.ASSET|Equity|71.1|3.11|TSLA| Tesla Inc| 4.38%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|8.ASSET|Equity|71.1|3.09|7203| Toyota Motor Corp.| 4.34%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|9.ASSET|Equity|71.1|2.87|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 4.04%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|10.ASSET|Equity|71.1|2.34|AMD| Advanced Micro Devices, Inc.| 3.29%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|11.ASSET|Equity|71.1|1.83|TXN| Texas Instruments Incorporated| 2.58%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|12.ASSET|Equity|71.1|1.39|VOW3| Volkswagen AG Pref| 1.95%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|13.ASSET|Equity|71.1|1.22|MU| Micron Technology, Inc.| 1.72%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|14.ASSET|Equity|71.1|1.05|ADI| Analog Devices, Inc.| 1.48%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|CARZ|6|15.ASSET|Equity|71.1|0.99|1211| BYD Company Limited Class H| 1.39%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|1.ASSET|Equity|81.9|0.45|TTMI| TTM Technologies, Inc.| 0.55%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|2.ASSET|Equity|81.9|0.41|TWNK| Hostess Brands, Inc. Class A| 0.50%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|3.ASSET|Equity|81.9|0.39|CSGS| CSG Systems International, Inc.| 0.48%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|4.ASSET|Equity|81.9|0.38|CALM| Cal-Maine Foods, Inc.| 0.46%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|5.ASSET|Equity|81.9|0.37|N/A| U.S. Dollar| 0.45%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|6.ASSET|Equity|81.9|0.37|FIBK| First Interstate BancSystem, Inc. Class A| 0.45%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|7.ASSET|Equity|81.9|0.36|CLBK| Columbia Financial, Inc.| 0.44%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|8.ASSET|Equity|81.9|0.35|AMPH| Amphastar Pharmaceuticals Inc| 0.43%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|9.ASSET|Equity|81.9|0.34|OTTR| Otter Tail Corporation| 0.41%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|10.ASSET|Equity|81.9|0.33|KN| Knowles Corp.| 0.40%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|11.ASSET|Equity|81.9|0.33|CBZ| CBIZ, Inc.| 0.40%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|12.ASSET|Equity|81.9|0.31|MMI| Marcus & Millichap, Inc.| 0.38%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|13.ASSET|Equity|81.9|0.3|AVA| Avista Corporation| 0.37%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|14.ASSET|Equity|81.9|0.3|CPK| Chesapeake Utilities Corporation| 0.37%| Developed Markets|Equity|Small Cap Blend Equities||CSF|6|15.ASSET|Equity|81.9|0.29|WIRE| Encore Wire Corporation| 0.35%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|1.ASSET|Equity|29.5|4.55|DGCXX| Dreyfus Government Cash Management Funds Institutional| 15.43%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|2.ASSET|Equity|29.5|4.21|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 14.26%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|3.ASSET|Equity|29.5|0.9|UNP| Union Pacific Corporation| 3.06%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|4.ASSET|Equity|29.5|0.86|UPS| United Parcel Service, Inc. Class B| 2.91%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|5.ASSET|Equity|29.5|0.84|RTX| Raytheon Technologies Corporation| 2.84%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|6.ASSET|Equity|29.5|0.71|HON| Honeywell International Inc.| 2.42%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|7.ASSET|Equity|29.5|0.61|LMT| Lockheed Martin Corporation| 2.08%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|8.ASSET|Equity|29.5|0.61|BA| Boeing Company| 2.06%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|9.ASSET|Equity|29.5|0.59|DE| Deere & Company| 2.00%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|10.ASSET|Equity|29.5|0.58|CAT| Caterpillar Inc.| 1.97%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|11.ASSET|Equity|29.5|0.58|GE| General Electric Company| 1.95%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|12.ASSET|Equity|29.5|0.47|MMM| 3M Company| 1.60%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|13.ASSET|Equity|29.5|0.43|CSX| CSX Corporation| 1.45%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|14.ASSET|Equity|29.5|0.38|NOC| Northrop Grumman Corporation| 1.28%| North America|Equity|Leveraged Equities|Industrials|DUSL|6|15.ASSET|Equity|29.5|0.37|NSC| Norfolk Southern Corporation| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|1.ASSET|Equity|76.2|0.46|SSE| SSE plc| 0.60%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|2.ASSET|Equity|76.2|0.43|TEF| Telefonica SA| 0.56%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|3.ASSET|Equity|76.2|0.42|MPL| Medibank Private Ltd.| 0.55%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|4.ASSET|Equity|76.2|0.4|BME| B&M European Value Retail SA| 0.53%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|5.ASSET|Equity|76.2|0.4|SGRO| SEGRO plc| 0.52%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|6.ASSET|Equity|76.2|0.4|KINV.B| Kinnevik AB Class B| 0.52%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|7.ASSET|Equity|76.2|0.4|1878| Daito Trust Construction Co., Ltd.| 0.52%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|8.ASSET|Equity|76.2|0.37|LUMI| Bank Leumi Le-Israel Ltd.| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|9.ASSET|Equity|76.2|0.37|AD| Koninklijke Ahold Delhaize N.V.| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|10.ASSET|Equity|76.2|0.36|DSCT| Israel Discount Bank Limited Class A| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|11.ASSET|Equity|76.2|0.36|DXS| Dexus| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|12.ASSET|Equity|76.2|0.36|SBRY| J Sainsbury plc| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|13.ASSET|Equity|76.2|0.36|SKA.B| Skanska AB Class B| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|14.ASSET|Equity|76.2|0.36|SHL| Sonic Healthcare Limited| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||DEEF|6|15.ASSET|Equity|76.2|0.35|BHP| BHP Group Ltd| 0.46%| North America|Equity|Volatility Hedged Equity||BUFF|6|1.ASSET|Equity|87.9|7.5|PMAR| Innovator U.S. Equity Power Buffer ETF - March| 8.53%| North America|Equity|Volatility Hedged Equity||BUFF|6|2.ASSET|Equity|87.9|7.39|PAPR| Innovator U.S. Equity Power Buffer ETF - April| 8.41%| North America|Equity|Volatility Hedged Equity||BUFF|6|3.ASSET|Equity|87.9|7.36|PMAY| Innovator U.S. Equity Power Buffer ETF - May| 8.37%| North America|Equity|Volatility Hedged Equity||BUFF|6|4.ASSET|Equity|87.9|7.34|PFEB| Innovator U.S. Equity Power Buffer ETF - February| 8.35%| North America|Equity|Volatility Hedged Equity||BUFF|6|5.ASSET|Equity|87.9|7.34|PJUN| Innovator U.S. Equity Power Buffer ETF - June| 8.35%| North America|Equity|Volatility Hedged Equity||BUFF|6|6.ASSET|Equity|87.9|7.32|PAUG| Innovator U.S. Equity Power Buffer ETF - August| 8.33%| North America|Equity|Volatility Hedged Equity||BUFF|6|7.ASSET|Equity|87.9|7.32|PJUL| Innovator U.S. Equity Power Buffer ETF - July| 8.33%| North America|Equity|Volatility Hedged Equity||BUFF|6|8.ASSET|Equity|87.9|7.3|POCT| Innovator U.S. Equity Power Buffer ETF - October| 8.31%| North America|Equity|Volatility Hedged Equity||BUFF|6|9.ASSET|Equity|87.9|7.28|PSEP| Innovator U.S. Equity Power Buffer ETF - September| 8.28%| North America|Equity|Volatility Hedged Equity||BUFF|6|10.ASSET|Equity|87.9|7.25|PDEC| Innovator U.S. Equity Power Buffer ETF - December| 8.25%| North America|Equity|Volatility Hedged Equity||BUFF|6|11.ASSET|Equity|87.9|7.21|PNOV| Innovator U.S. Equity Power Buffer ETF - November| 8.20%| North America|Equity|Volatility Hedged Equity||BUFF|6|12.ASSET|Equity|87.9|7.13|PJAN| Innovator U.S. Equity Power Buffer ETF - January| 8.11%| North America|Equity|Volatility Hedged Equity||BUFF|6|13.ASSET|Equity|87.9|0.14|N/A| U.S. Dollar| 0.16%| Global|Equity|Technology Equities|Technology|VPN|6|1.ASSET|Equity|87.5|10.66|EQIX| Equinix, Inc.| 12.18%| Global|Equity|Technology Equities|Technology|VPN|6|2.ASSET|Equity|87.5|10.05|CCI| Crown Castle International Corp| 11.49%| Global|Equity|Technology Equities|Technology|VPN|6|3.ASSET|Equity|87.5|10.04|AMT| American Tower Corporation| 11.47%| Global|Equity|Technology Equities|Technology|VPN|6|4.ASSET|Equity|87.5|7.16|DLR| Digital Realty Trust, Inc.| 8.18%| Global|Equity|Technology Equities|Technology|VPN|6|5.ASSET|Equity|87.5|4.45|GDS| GDS Holdings Ltd. Sponsored ADR Class A| 5.09%| Global|Equity|Technology Equities|Technology|VPN|6|6.ASSET|Equity|87.5|4.26|CONE| CyrusOne Inc.| 4.87%| Global|Equity|Technology Equities|Technology|VPN|6|7.ASSET|Equity|87.5|4.24|788| China Tower Corp. Ltd. Class H| 4.85%| Global|Equity|Technology Equities|Technology|VPN|6|8.ASSET|Equity|87.5|3.99|SBAC| SBA Communications Corp. Class A| 4.56%| Global|Equity|Technology Equities|Technology|VPN|6|9.ASSET|Equity|87.5|3.66|NXT| Nextdc Limited| 4.18%| Global|Equity|Technology Equities|Technology|VPN|6|10.ASSET|Equity|87.5|3.43|SWCH| Switch, Inc. Class A| 3.92%| Global|Equity|Technology Equities|Technology|VPN|6|11.ASSET|Equity|87.5|3.24|UNIT| Uniti Group Inc.| 3.70%| Global|Equity|Technology Equities|Technology|VPN|6|12.ASSET|Equity|87.5|2.42|AJBU| Keppel DC REIT| 2.77%| Global|Equity|Technology Equities|Technology|VPN|6|13.ASSET|Equity|87.5|2.07|2344| Winbond Electronics Corp.| 2.37%| Global|Equity|Technology Equities|Technology|VPN|6|14.ASSET|Equity|87.5|1.91|VTWR| Vantage Towers AG| 2.18%| Global|Equity|Technology Equities|Technology|VPN|6|15.ASSET|Equity|87.5|1.77|TBIG| PT Tower Bersama Infrastructure Tbk| 2.02%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|1.ASSET|Equity|116.2|2.51|NESN| Nestle S.A.| 2.16%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|2.ASSET|Equity|116.2|1.82|ASML| ASML Holding NV| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|3.ASSET|Equity|116.2|1.81|ROG| Roche Holding Ltd| 1.56%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|4.ASSET|Equity|116.2|1.56|7203| Toyota Motor Corp.| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|5.ASSET|Equity|116.2|1.45|NOVN| Novartis AG| 1.25%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|6.ASSET|Equity|116.2|1.44|SHEL| Shell PLC| 1.24%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|7.ASSET|Equity|116.2|1.31|AZN| AstraZeneca PLC| 1.13%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|8.ASSET|Equity|116.2|1.3|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.12%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|9.ASSET|Equity|116.2|1.17|NOVO.B| Novo Nordisk A/S Class B| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|10.ASSET|Equity|116.2|1.05|RY| Royal Bank of Canada| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|11.ASSET|Equity|116.2|1.01|TD| Toronto-Dominion Bank| 0.87%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|12.ASSET|Equity|116.2|0.96|HSBA| HSBC Holdings Plc| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|13.ASSET|Equity|116.2|0.92|TTE| TotalEnergies SE| 0.79%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|14.ASSET|Equity|116.2|0.88|6758| Sony Group Corporation| 0.76%| Developed Markets|Equity|Foreign Large Cap Equities||BKIE|6|15.ASSET|Equity|116.2|0.87|1299| AIA Group Limited| 0.75%| |Equity|Large Cap Blend Equities||DMAY|6|1.ASSET|Equity|88.7|0|N/A| Cash Component| 0.00%| North America|Equity|Inverse Equities|Industrials|HDGE|6|1.ASSET|Equity|93.7|153.22|N/A| MUTUAL FUND (OTHER)| 163.52%| North America|Equity|Inverse Equities|Industrials|HDGE|6|2.ASSET|Equity|93.7|32.43|FCGXX| Fidelity Institutional Cash Portfolios Fund Money Market Government Fund -III-| 34.61%| North America|Equity|Inverse Equities|Industrials|HDGE|6|3.ASSET|Equity|93.7|24.63|HOLD| AdvisorShares North Square McKee Core Reserves ETF| 26.29%| North America|Equity|Inverse Equities|Industrials|HDGE|6|4.ASSET|Equity|93.7|-8.73|N/A| U.S. Dollar| -9.32%| North America|Equity|Inverse Equities|Industrials|HDGE|6|5.ASSET|Equity|93.7|-107.84|N/A| SHORT POSITIONS| -115.09%| Africa|Equity|Foreign Large Cap Equities||AFK|6|1.ASSET|Equity|62.7|3.56|SCOM| Safaricom PLC| 5.68%| Africa|Equity|Foreign Large Cap Equities||AFK|6|2.ASSET|Equity|62.7|3.47|AAL| Anglo American plc| 5.53%| Africa|Equity|Foreign Large Cap Equities||AFK|6|3.ASSET|Equity|62.7|3.24|MTNN| MTN Nigeria Communications Plc| 5.16%| Africa|Equity|Foreign Large Cap Equities||AFK|6|4.ASSET|Equity|62.7|2.63|ATW| Attijariwafa Bank SA| 4.20%| Africa|Equity|Foreign Large Cap Equities||AFK|6|5.ASSET|Equity|62.7|2.59|GTCO| Guaranty Trust Holding Company Plc| 4.13%| Africa|Equity|Foreign Large Cap Equities||AFK|6|6.ASSET|Equity|62.7|2.46|ZENITHBANK| Zenith Bank PLC| 3.92%| Africa|Equity|Foreign Large Cap Equities||AFK|6|7.ASSET|Equity|62.7|2.22|CBKD| Commercial International Bank (Egypt) SAE Sponsored GDR RegS| 3.54%| Africa|Equity|Foreign Large Cap Equities||AFK|6|8.ASSET|Equity|62.7|1.97|IAM| Maroc Telecom SA| 3.14%| Africa|Equity|Foreign Large Cap Equities||AFK|6|9.ASSET|Equity|62.7|1.87|NPN| Naspers Limited Class N| 2.99%| Africa|Equity|Foreign Large Cap Equities||AFK|6|10.ASSET|Equity|62.7|1.7|FM| First Quantum Minerals Ltd.| 2.71%| Africa|Equity|Foreign Large Cap Equities||AFK|6|11.ASSET|Equity|62.7|1.69|IVN| Ivanhoe Mines Ltd. Class A| 2.70%| Africa|Equity|Foreign Large Cap Equities||AFK|6|12.ASSET|Equity|62.7|1.63|EQTY| Equity Group Holdings Limited| 2.60%| Africa|Equity|Foreign Large Cap Equities||AFK|6|13.ASSET|Equity|62.7|1.48|MTN| MTN Group Limited| 2.36%| Africa|Equity|Foreign Large Cap Equities||AFK|6|14.ASSET|Equity|62.7|1.48|GOLD| Barrick Gold Corporation| 2.36%| Africa|Equity|Foreign Large Cap Equities||AFK|6|15.ASSET|Equity|62.7|1.26|NESTLE| Nestle Nigeria Plc| 2.01%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|1.ASSET|Bond|93.9|4.53|N/A| U.S. Dollar| 4.82%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|2.ASSET|Bond|93.9|1.3|N/A| Bausch Health Companies Inc. 6.25% 15-FEB-2029| 1.38%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|3.ASSET|Bond|93.9|1.27|N/A| CORPORATE BOND| 1.35%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|4.ASSET|Bond|93.9|1.03|N/A| Uniti Group LP 7.875% 15-FEB-2025| 1.10%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|5.ASSET|Bond|93.9|1|N/A| ASSET-BACKED SECURITIES| 1.07%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|6.ASSET|Bond|93.9|1|N/A| FIXED INCOME (UNCLASSFIED)| 1.06%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|7.ASSET|Bond|93.9|0.95|CHK| Chesapeake Energy Corporation| 1.01%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|8.ASSET|Bond|93.9|0.88|N/A| Tenet Healthcare Corporation 4.25% 01-JUN-2029| 0.94%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|9.ASSET|Bond|93.9|0.78|N/A| Vistra Operations Co. LLC 5.625% 15-FEB-2027| 0.83%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|10.ASSET|Bond|93.9|0.71|N/A| Calpine Corporation 5.125% 15-MAR-2028| 0.76%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|11.ASSET|Bond|93.9|0.68|N/A| Ford Motor Company 4.75% 15-JAN-2043| 0.72%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|12.ASSET|Bond|93.9|0.67|N/A| CSC Holdings, LLC 5.375% 01-FEB-2028| 0.71%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|13.ASSET|Bond|93.9|0.65|N/A| EQUITY OTHER| 0.69%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|14.ASSET|Bond|93.9|0.64|N/A| Altice France SA 8.125% 01-FEB-2027| 0.68%| Developed Markets|Bond|High Yield Bonds|Junk|PHYL|6|15.ASSET|Bond|93.9|0.64|N/A| OneMain Finance Corporation 6.625% 15-JAN-2028| 0.68%| North America|Equity|Volatility Hedged Equity||USEP|6|1.ASSET|Equity|58|58|N/A| Cash Component| 100.00%| |Commodity|Precious Metals||DGL|6|1.ASSET|Commodity|76.8|49.11|N/A| MUTUAL FUND (OTHER)| 63.95%| |Commodity|Precious Metals||DGL|6|2.ASSET|Commodity|76.8|7.47|CLTL| Invesco Treasury Collateral ETF| 9.73%| |Commodity|Precious Metals||DGL|6|3.ASSET|Commodity|76.8|7.07|N/A| United States Treasury Bills 0.0% 21-APR-2022| 9.21%| |Commodity|Precious Metals||DGL|6|4.ASSET|Commodity|76.8|5.05|N/A| United States Treasury Bills 0.0% 28-APR-2022| 6.58%| |Commodity|Precious Metals||DGL|6|5.ASSET|Commodity|76.8|5.05|N/A| TREASURY ISSUES (LONG-TERM)| 6.57%| |Commodity|Precious Metals||DGL|6|6.ASSET|Commodity|76.8|3.03|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.95%| |Commodity|Precious Metals||DGL|6|7.ASSET|Commodity|76.8|0|N/A| U.S. Dollar| 0.00%| North America|Equity|All Cap Equities||WBIY|6|1.ASSET|Equity|67|4.41|CVX| Chevron Corporation| 6.58%| North America|Equity|All Cap Equities||WBIY|6|2.ASSET|Equity|67|3.45|KHC| Kraft Heinz Company| 5.15%| North America|Equity|All Cap Equities||WBIY|6|3.ASSET|Equity|67|3.26|DOW| Dow, Inc.| 4.87%| North America|Equity|All Cap Equities||WBIY|6|4.ASSET|Equity|67|3.2|LYB| LyondellBasell Industries NV| 4.78%| North America|Equity|All Cap Equities||WBIY|6|5.ASSET|Equity|67|3.16|KMI| Kinder Morgan Inc Class P| 4.71%| North America|Equity|All Cap Equities||WBIY|6|6.ASSET|Equity|67|3.14|VZ| Verizon Communications Inc.| 4.68%| North America|Equity|All Cap Equities||WBIY|6|7.ASSET|Equity|67|3.13|IBM| International Business Machines Corporation| 4.67%| North America|Equity|All Cap Equities||WBIY|6|8.ASSET|Equity|67|3.05|PM| Philip Morris International Inc.| 4.55%| North America|Equity|All Cap Equities||WBIY|6|9.ASSET|Equity|67|2.93|T| AT&T Inc.| 4.38%| North America|Equity|All Cap Equities||WBIY|6|10.ASSET|Equity|67|2.63|WU| Western Union Company| 3.92%| North America|Equity|All Cap Equities||WBIY|6|11.ASSET|Equity|67|2.49|GILD| Gilead Sciences, Inc.| 3.71%| North America|Equity|All Cap Equities||WBIY|6|12.ASSET|Equity|67|1.53|OMF| OneMain Holdings, Inc.| 2.29%| North America|Equity|All Cap Equities||WBIY|6|13.ASSET|Equity|67|1.47|LEG| Leggett & Platt, Incorporated| 2.20%| North America|Equity|All Cap Equities||WBIY|6|14.ASSET|Equity|67|1.29|BGFV| Big 5 Sporting Goods Corporation| 1.93%| North America|Equity|All Cap Equities||WBIY|6|15.ASSET|Equity|67|1.24|FHN| First Horizon Corporation| 1.85%| Emerging Asia Pacific|Equity|Leveraged Equities||YANG|6|1.ASSET|Equity|60.2|60.2|FXI| iShares China Large-Cap ETF| 100.00%| North America|Currency|Currency||UDN|6|1.ASSET|Currency|47.7|35.71|N/A| MUTUAL FUND (OTHER)| 74.86%| North America|Currency|Currency||UDN|6|2.ASSET|Currency|47.7|8|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 16.77%| North America|Currency|Currency||UDN|6|3.ASSET|Currency|47.7|2|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 4.19%| North America|Currency|Currency||UDN|6|4.ASSET|Currency|47.7|1.99|N/A| United States Treasury Bills 0.0% 18-AUG-2022| 4.18%| North America|Currency|Currency||UDN|6|5.ASSET|Currency|47.7|0|N/A| U.S. Dollar| 0.00%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|1.ASSET|Equity|74.5|4.53|2380| China Power International Development Ltd| 6.08%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|2.ASSET|Equity|74.5|3.93|1171| Yankuang Energy Group Company Limited Class H| 5.27%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|3.ASSET|Equity|74.5|2.6|VALE3| Vale S.A.| 3.49%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|4.ASSET|Equity|74.5|2.37|1088| China Shenhua Energy Co. Ltd. Class H| 3.18%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|5.ASSET|Equity|74.5|2.36|CEZ| CEZ as| 3.17%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|6.ASSET|Equity|74.5|2.3|EXX| Exxaro Resources Limited| 3.09%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|7.ASSET|Equity|74.5|2.28|ALDAR| Aldar Properties - P J S C| 3.06%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|8.ASSET|Equity|74.5|2.22|2324| Compal Electronics, Inc.| 2.98%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|9.ASSET|Equity|74.5|2.13|2301| Lite-On Technology Corp.| 2.86%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|10.ASSET|Equity|74.5|1.98|CMIG4| Companhia Energetica de Minas Gerais SA Pfd| 2.66%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|11.ASSET|Equity|74.5|1.98|EREGL.E| Eregli Demir Ve Celik Fabrikalari T.A.S.| 2.66%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|12.ASSET|Equity|74.5|1.96|3328| Bank of Communications Co., Ltd. Class H| 2.63%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|13.ASSET|Equity|74.5|1.95|4197| Sime Darby Bhd.| 2.62%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|14.ASSET|Equity|74.5|1.92|SSW| Sibanye Stillwater Limited| 2.58%| Emerging Markets|Equity|Emerging Markets Equities||SDEM|6|15.ASSET|Equity|74.5|1.91|900932| Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. Class B| 2.57%| North America|Bond|Government Bonds|Treasuries|IBTD|6|1.ASSET|Bond|45.4|8.98|N/A| United States Treasury Notes 2.375% 31-JAN-2023| 19.79%| North America|Bond|Government Bonds|Treasuries|IBTD|6|2.ASSET|Bond|45.4|8.53|N/A| United States Treasury Notes 2.5% 15-AUG-2023| 18.79%| North America|Bond|Government Bonds|Treasuries|IBTD|6|3.ASSET|Bond|45.4|8.27|N/A| United States Treasury Notes 2.75% 31-MAY-2023| 18.22%| North America|Bond|Government Bonds|Treasuries|IBTD|6|4.ASSET|Bond|45.4|5.96|N/A| United States Treasury Notes 2.875% 30-NOV-2023| 13.12%| North America|Bond|Government Bonds|Treasuries|IBTD|6|5.ASSET|Bond|45.4|5.52|N/A| United States Treasury Notes 2.75% 31-JUL-2023| 12.16%| North America|Bond|Government Bonds|Treasuries|IBTD|6|6.ASSET|Bond|45.4|5.08|N/A| United States Treasury Notes 2.875% 31-OCT-2023| 11.19%| North America|Bond|Government Bonds|Treasuries|IBTD|6|7.ASSET|Bond|45.4|1.27|N/A| United States Treasury Notes 0.125% 31-MAY-2023| 2.80%| North America|Bond|Government Bonds|Treasuries|IBTD|6|8.ASSET|Bond|45.4|0.91|N/A| United States Treasury Notes 0.25% 15-NOV-2023| 2.00%| North America|Bond|Government Bonds|Treasuries|IBTD|6|9.ASSET|Bond|45.4|0.59|N/A| MUTUAL FUND (OTHER)| 1.30%| North America|Bond|Government Bonds|Treasuries|IBTD|6|10.ASSET|Bond|45.4|0.25|N/A| United States Treasury Notes 0.125% 15-OCT-2023| 0.55%| North America|Bond|Government Bonds|Treasuries|IBTD|6|11.ASSET|Bond|45.4|0.03|N/A| United States Treasury Notes 0.125% 15-DEC-2023| 0.07%| North America|Bond|Government Bonds|Treasuries|IBTD|6|12.ASSET|Bond|45.4|0|N/A| U.S. Dollar| 0.00%| North America|Equity|Volatility Hedged Equity||BDEC|6|1.ASSET|Equity|92.5|91.97|N/A| OPTIONS| 99.43%| North America|Equity|Volatility Hedged Equity||BDEC|6|2.ASSET|Equity|92.5|0.53|N/A| U.S. Dollar| 0.57%| Developed Markets|Equity|Large Cap Blend Equities||TRND|6|1.ASSET|Equity|65.8|24.67|N/A| Pacer Trendpilot International ETF| 37.49%| Developed Markets|Equity|Large Cap Blend Equities||TRND|6|2.ASSET|Equity|65.8|14.57|N/A| Pacer Trendpilot 100 ETF| 22.14%| Developed Markets|Equity|Large Cap Blend Equities||TRND|6|3.ASSET|Equity|65.8|14.02|N/A| Pacer Trendpilot US Large Cap ETF| 21.30%| Developed Markets|Equity|Large Cap Blend Equities||TRND|6|4.ASSET|Equity|65.8|12.5|N/A| Pacer Trendpilot US Mid Cap ETF| 19.00%| Developed Markets|Equity|Large Cap Blend Equities||TRND|6|5.ASSET|Equity|65.8|0.05|N/A| Cash Component| 0.07%| North America|Equity|Small Cap Blend Equities||SIXS|6|1.ASSET|Equity|64.7|1.79|INVA| Innoviva, Inc.| 2.76%| North America|Equity|Small Cap Blend Equities||SIXS|6|2.ASSET|Equity|64.7|0.99|SJI| South Jersey Industries, Inc.| 1.53%| North America|Equity|Small Cap Blend Equities||SIXS|6|3.ASSET|Equity|64.7|0.85|ABG| Asbury Automotive Group, Inc.| 1.32%| North America|Equity|Small Cap Blend Equities||SIXS|6|4.ASSET|Equity|64.7|0.83|MANT| ManTech International Corporation Class A| 1.29%| North America|Equity|Small Cap Blend Equities||SIXS|6|5.ASSET|Equity|64.7|0.82|RLGY| Realogy Holdings Corp.| 1.26%| North America|Equity|Small Cap Blend Equities||SIXS|6|6.ASSET|Equity|64.7|0.82|MATX| Matson, Inc.| 1.26%| North America|Equity|Small Cap Blend Equities||SIXS|6|7.ASSET|Equity|64.7|0.82|SXC| SunCoke Energy, Inc.| 1.26%| North America|Equity|Small Cap Blend Equities||SIXS|6|8.ASSET|Equity|64.7|0.81|RGR| Sturm, Ruger & Company, Inc.| 1.25%| North America|Equity|Small Cap Blend Equities||SIXS|6|9.ASSET|Equity|64.7|0.81|CALM| Cal-Maine Foods, Inc.| 1.25%| North America|Equity|Small Cap Blend Equities||SIXS|6|10.ASSET|Equity|64.7|0.8|NWN| Northwest Natural Holding Co.| 1.24%| North America|Equity|Small Cap Blend Equities||SIXS|6|11.ASSET|Equity|64.7|0.8|TWNK| Hostess Brands, Inc. Class A| 1.23%| North America|Equity|Small Cap Blend Equities||SIXS|6|12.ASSET|Equity|64.7|0.8|JJSF| J & J Snack Foods Corp.| 1.23%| North America|Equity|Small Cap Blend Equities||SIXS|6|13.ASSET|Equity|64.7|0.79|GPI| Group 1 Automotive, Inc.| 1.22%| North America|Equity|Small Cap Blend Equities||SIXS|6|14.ASSET|Equity|64.7|0.79|AMPH| Amphastar Pharmaceuticals Inc| 1.22%| North America|Equity|Small Cap Blend Equities||SIXS|6|15.ASSET|Equity|64.7|0.78|NXRT| NexPoint Residential Trust, Inc.| 1.21%| North America|Alternatives|Hedge Fund||FMF|6|1.ASSET|Alternatives|76.1|58.89|N/A| Cash Component| 77.38%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|1.ASSET|Equity|58|2.71|NOVO.B| Novo Nordisk A/S Class B| 4.67%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|2.ASSET|Equity|58|2.56|ABBV| AbbVie, Inc.| 4.41%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|3.ASSET|Equity|58|2.52|LLY| Eli Lilly and Company| 4.35%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|4.ASSET|Equity|58|2.4|EW| Edwards Lifesciences Corporation| 4.14%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|5.ASSET|Equity|58|2.35|REGN| Regeneron Pharmaceuticals, Inc.| 4.05%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|6.ASSET|Equity|58|2.27|AZN| Astrazeneca PLC Sponsored ADR| 3.91%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|7.ASSET|Equity|58|2.13|RO| Roche Holding AG| 3.67%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|8.ASSET|Equity|58|2.05|BSX| Boston Scientific Corporation| 3.54%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|9.ASSET|Equity|58|2.01|BMY| Bristol-Myers Squibb Company| 3.47%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|10.ASSET|Equity|58|1.95|SYK| Stryker Corporation| 3.36%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|11.ASSET|Equity|58|1.84|JNJ| Johnson & Johnson| 3.18%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|12.ASSET|Equity|58|1.68|AMGN| Amgen Inc.| 2.89%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|13.ASSET|Equity|58|1.61|MDT| Medtronic Plc| 2.77%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|14.ASSET|Equity|58|1.5|4519| Chugai Pharmaceutical Co., Ltd.| 2.59%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|AGNG|6|15.ASSET|Equity|58|1.44|DXCM| DexCom, Inc.| 2.48%| North America|Equity|n/a||SOXQ|6|1.ASSET|Equity|56|5.34|AVGO| Broadcom Inc.| 9.54%| North America|Equity|n/a||SOXQ|6|2.ASSET|Equity|56|4.94|INTC| Intel Corporation| 8.82%| North America|Equity|n/a||SOXQ|6|3.ASSET|Equity|56|4.7|QCOM| Qualcomm Inc| 8.40%| North America|Equity|n/a||SOXQ|6|4.ASSET|Equity|56|3.73|NVDA| NVIDIA Corporation| 6.66%| North America|Equity|n/a||SOXQ|6|5.ASSET|Equity|56|3.73|AMD| Advanced Micro Devices, Inc.| 6.66%| North America|Equity|n/a||SOXQ|6|6.ASSET|Equity|56|2.67|MU| Micron Technology, Inc.| 4.76%| North America|Equity|n/a||SOXQ|6|7.ASSET|Equity|56|2.39|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 4.27%| North America|Equity|n/a||SOXQ|6|8.ASSET|Equity|56|2.37|MRVL| Marvell Technology, Inc.| 4.23%| North America|Equity|n/a||SOXQ|6|9.ASSET|Equity|56|2.28|AMAT| Applied Materials, Inc.| 4.08%| North America|Equity|n/a||SOXQ|6|10.ASSET|Equity|56|2.26|ADI| Analog Devices, Inc.| 4.04%| North America|Equity|n/a||SOXQ|6|11.ASSET|Equity|56|2.26|TXN| Texas Instruments Incorporated| 4.03%| North America|Equity|n/a||SOXQ|6|12.ASSET|Equity|56|2.14|KLAC| KLA Corporation| 3.82%| North America|Equity|n/a||SOXQ|6|13.ASSET|Equity|56|2.11|NXPI| NXP Semiconductors NV| 3.76%| North America|Equity|n/a||SOXQ|6|14.ASSET|Equity|56|2.07|ASML| ASML Holding NV ADR| 3.70%| North America|Equity|n/a||SOXQ|6|15.ASSET|Equity|56|2.06|LRCX| Lam Research Corporation| 3.67%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|1.ASSET|Multi-Asset|67.2|10.58|SYLD| Cambria Shareholder Yield ETF| 15.74%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|2.ASSET|Multi-Asset|67.2|8.79|VAMO| Cambria Value & Momentum ETF| 13.08%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|3.ASSET|Multi-Asset|67.2|6.35|DBE| Invesco DB Energy Fund| 9.45%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|4.ASSET|Multi-Asset|67.2|5.62|IXC| iShares Global Energy ETF| 8.36%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|5.ASSET|Multi-Asset|67.2|5.41|DBB| Invesco DB Base Metals Fund| 8.05%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|6.ASSET|Multi-Asset|67.2|4.92|GUNR| FlexShares Morningstar Global Upstream Natural Resources Index Fund| 7.32%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|7.ASSET|Multi-Asset|67.2|4.29|IXG| iShares Global Financials ETF| 6.39%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|8.ASSET|Multi-Asset|67.2|4.22|DBA| Invesco DB Agriculture Fund| 6.28%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|9.ASSET|Multi-Asset|67.2|4.19|REZ| iShares Residential and Multisector Real Estate ETF| 6.24%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|10.ASSET|Multi-Asset|67.2|4.16|BLDG| Cambria Global Real Estate ETF| 6.19%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|11.ASSET|Multi-Asset|67.2|3.94|FYLD| Cambria Foreign Shareholder Yield ETF| 5.86%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|12.ASSET|Multi-Asset|67.2|3.49|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 5.19%| Developed Markets|Multi-Asset|Hedge Fund||GMOM|6|13.ASSET|Multi-Asset|67.2|1.26|N/A| U.S. Dollar| 1.87%| Developed Markets|Bond|Inflation-Protected Bonds|Investment Grade Corporate|LQDI|6|1.ASSET|Bond|119.8|115.27|LQD| iShares iBoxx $ Investment Grade Corporate Bond ETF| 96.22%| Developed Markets|Bond|Inflation-Protected Bonds|Investment Grade Corporate|LQDI|6|2.ASSET|Bond|119.8|3.95|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 3.30%| North America|Equity|Volatility Hedged Equity||UOCT|6|1.ASSET|Equity|67.8|67.5|N/A| OPTIONS| 99.56%| North America|Equity|Volatility Hedged Equity||UOCT|6|2.ASSET|Equity|67.8|67.49|N/A| OPTIONS| 99.55%| North America|Equity|Volatility Hedged Equity||UOCT|6|3.ASSET|Equity|67.8|0.31|N/A| U.S. Dollar| 0.45%| North America|Equity|Volatility Hedged Equity||UOCT|6|4.ASSET|Equity|67.8|0.3|N/A| U.S. Dollar| 0.44%| North America|Equity|Volatility Hedged Equity||BMAR|6|1.ASSET|Equity|70|69.2|N/A| U.S. Dollar| 98.85%| North America|Equity|Volatility Hedged Equity||BMAR|6|2.ASSET|Equity|70|68.75|N/A| U.S. Dollar| 98.21%| North America|Equity|Volatility Hedged Equity||BMAR|6|3.ASSET|Equity|70|1.25|N/A| OPTIONS| 1.79%| North America|Equity|Volatility Hedged Equity||BMAR|6|4.ASSET|Equity|70|0.81|N/A| OPTIONS| 1.15%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|1.ASSET|Equity|62.1|2.9|WFC| Wells Fargo & Company| 4.67%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|2.ASSET|Equity|62.1|2.84|GE| General Electric Company| 4.58%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|3.ASSET|Equity|62.1|2.15|XOM| Exxon Mobil Corporation| 3.47%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|4.ASSET|Equity|62.1|1.7|BMY| Bristol-Myers Squibb Company| 2.73%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|5.ASSET|Equity|62.1|1.65|BAC| Bank of America Corp| 2.65%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|6.ASSET|Equity|62.1|1.47|CMCSA| Comcast Corporation Class A| 2.36%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|7.ASSET|Equity|62.1|1.45|AIG| American International Group, Inc.| 2.33%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|8.ASSET|Equity|62.1|1.32|HES| Hess Corporation| 2.12%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|9.ASSET|Equity|62.1|1.24|PNC| PNC Financial Services Group, Inc.| 1.99%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|10.ASSET|Equity|62.1|1.17|UNH| UnitedHealth Group Incorporated| 1.88%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|11.ASSET|Equity|62.1|1.11|LLY| Eli Lilly and Company| 1.78%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|12.ASSET|Equity|62.1|1.04|CB| Chubb Limited| 1.68%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|13.ASSET|Equity|62.1|1.04|CSCO| Cisco Systems, Inc.| 1.67%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|14.ASSET|Equity|62.1|1.02|LNG| Cheniere Energy, Inc.| 1.64%| Developed Markets|Equity|Large Cap Blend Equities||FMIL|6|15.ASSET|Equity|62.1|0.88|CNQ| Canadian Natural Resources Limited| 1.42%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|1.ASSET|Bond|79.7|0.52|N/A| Illinois St 5.0% 01-NOV-2027| 0.65%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|2.ASSET|Bond|79.7|0.47|MCSXX| BlackRock Liquidity Funds MuniCash Portfolio Institutional| 0.59%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|3.ASSET|Bond|79.7|0.46|N/A| Illinois St 5.0% 01-DEC-2027| 0.58%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|4.ASSET|Bond|79.7|0.42|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2027| 0.53%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|5.ASSET|Bond|79.7|0.41|N/A| Michigan St Bldg Auth Rev 5.0% 15-OCT-2027| 0.52%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|6.ASSET|Bond|79.7|0.41|N/A| New Jersey St Tpk Auth Tpk Rev 5.25% 01-JAN-2027| 0.52%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|7.ASSET|Bond|79.7|0.4|N/A| New York N Y 5.0% 01-AUG-2028| 0.50%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|8.ASSET|Bond|79.7|0.39|N/A| California St 5.0% 01-NOV-2028| 0.49%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|9.ASSET|Bond|79.7|0.38|N/A| Pennsylvania St 5.0% 01-JAN-2028| 0.48%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|10.ASSET|Bond|79.7|0.38|N/A| New Jersey St 5.0% 01-JUN-2027| 0.48%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|11.ASSET|Bond|79.7|0.38|N/A| California St 5.0% 01-AUG-2030| 0.48%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|12.ASSET|Bond|79.7|0.37|N/A| New York St Dorm Auth Sales Tax Rev St Supporteddebt 5.0% 15-MAR-2027| 0.47%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|13.ASSET|Bond|79.7|0.37|N/A| Virginia Comwlth Transn Brd Transn Rev 5.0% 15-MAY-2029| 0.47%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|14.ASSET|Bond|79.7|0.37|N/A| Illinois Fin Auth Rev 5.0% 01-JUL-2029| 0.47%| North America|Bond|National Munis|Target Maturity Date Munis|IBMP|6|15.ASSET|Bond|79.7|0.37|N/A| Utah St 5.0% 01-JUL-2028| 0.46%| Developed Europe|Equity|Europe Equities||EUDG|6|1.ASSET|Equity|69.5|4.85|NESN| Nestle S.A.| 6.98%| Developed Europe|Equity|Europe Equities||EUDG|6|2.ASSET|Equity|69.5|4.13|RIO| Rio Tinto plc| 5.94%| Developed Europe|Equity|Europe Equities||EUDG|6|3.ASSET|Equity|69.5|3.76|ROG| Roche Holding Ltd| 5.41%| Developed Europe|Equity|Europe Equities||EUDG|6|4.ASSET|Equity|69.5|3.36|GSK| GlaxoSmithKline plc| 4.83%| Developed Europe|Equity|Europe Equities||EUDG|6|5.ASSET|Equity|69.5|3.22|MC| LVMH Moet Hennessy Louis Vuitton SE| 4.63%| Developed Europe|Equity|Europe Equities||EUDG|6|6.ASSET|Equity|69.5|2.7|ULVR| Unilever PLC| 3.88%| Developed Europe|Equity|Europe Equities||EUDG|6|7.ASSET|Equity|69.5|2.62|AAL| Anglo American plc| 3.77%| Developed Europe|Equity|Europe Equities||EUDG|6|8.ASSET|Equity|69.5|2.16|NOVO.B| Novo Nordisk A/S Class B| 3.11%| Developed Europe|Equity|Europe Equities||EUDG|6|9.ASSET|Equity|69.5|1.9|OR| L\'Oreal SA| 2.73%| Developed Europe|Equity|Europe Equities||EUDG|6|10.ASSET|Equity|69.5|1.71|SIE| Siemens AG| 2.46%| Developed Europe|Equity|Europe Equities||EUDG|6|11.ASSET|Equity|69.5|1.52|ITX| Industria de Diseno Textil, S.A.| 2.19%| Developed Europe|Equity|Europe Equities||EUDG|6|12.ASSET|Equity|69.5|1.31|DGE| Diageo plc| 1.88%| Developed Europe|Equity|Europe Equities||EUDG|6|13.ASSET|Equity|69.5|1.07|DG| VINCI SA| 1.54%| Developed Europe|Equity|Europe Equities||EUDG|6|14.ASSET|Equity|69.5|0.94|SU| Schneider Electric SE| 1.35%| Developed Europe|Equity|Europe Equities||EUDG|6|15.ASSET|Equity|69.5|0.93|ASML| ASML Holding NV| 1.34%| North America|Volatility|Volatility||SVOL|6|1.ASSET|Volatility|108.4|57.22|N/A| United States Treasury Notes 0.125% 15-JAN-2024| 52.79%| North America|Equity|Mid Cap Blend Equities||XJH|6|1.ASSET|Equity|73|0.59|CPT| Camden Property Trust| 0.81%| North America|Equity|Mid Cap Blend Equities||XJH|6|2.ASSET|Equity|73|0.53|TRGP| Targa Resources Corp.| 0.73%| North America|Equity|Mid Cap Blend Equities||XJH|6|3.ASSET|Equity|73|0.51|BLDR| Builders FirstSource, Inc.| 0.70%| North America|Equity|Mid Cap Blend Equities||XJH|6|4.ASSET|Equity|73|0.49|STLD| Steel Dynamics, Inc.| 0.67%| North America|Equity|Mid Cap Blend Equities||XJH|6|5.ASSET|Equity|73|0.46|FICO| Fair Isaac Corporation| 0.63%| North America|Equity|Mid Cap Blend Equities||XJH|6|6.ASSET|Equity|73|0.45|FHN| First Horizon Corporation| 0.61%| North America|Equity|Mid Cap Blend Equities||XJH|6|7.ASSET|Equity|73|0.44|DAR| Darling Ingredients Inc.| 0.60%| North America|Equity|Mid Cap Blend Equities||XJH|6|8.ASSET|Equity|73|0.43|JLL| Jones Lang LaSalle Incorporated| 0.59%| North America|Equity|Mid Cap Blend Equities||XJH|6|9.ASSET|Equity|73|0.42|MPW| Medical Properties Trust, Inc.| 0.58%| North America|Equity|Mid Cap Blend Equities||XJH|6|10.ASSET|Equity|73|0.42|GGG| Graco Inc.| 0.58%| North America|Equity|Mid Cap Blend Equities||XJH|6|11.ASSET|Equity|73|0.42|CSL| Carlisle Companies Incorporated| 0.58%| North America|Equity|Mid Cap Blend Equities||XJH|6|12.ASSET|Equity|73|0.42|CGNX| Cognex Corporation| 0.57%| North America|Equity|Mid Cap Blend Equities||XJH|6|13.ASSET|Equity|73|0.42|EWBC| East West Bancorp, Inc.| 0.57%| North America|Equity|Mid Cap Blend Equities||XJH|6|14.ASSET|Equity|73|0.41|RS| Reliance Steel & Aluminum Co.| 0.56%| North America|Equity|Mid Cap Blend Equities||XJH|6|15.ASSET|Equity|73|0.4|WOLF| Wolfspeed Inc| 0.55%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|1.ASSET|Bond|72.7|1.61|N/A| Sweden 1.5% 13-NOV-2023| 2.22%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|2.ASSET|Bond|72.7|1.53|N/A| Sweden 1.5% 13-NOV-2023| 2.11%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|3.ASSET|Bond|72.7|1.51|N/A| Government of Ireland 3.4% 18-MAR-2024| 2.08%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|4.ASSET|Bond|72.7|1.45|N/A| TREASURY ISSUES (LONG-TERM)| 2.00%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|5.ASSET|Bond|72.7|1.43|N/A| TREASURY ISSUES (LONG-TERM)| 1.97%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|6.ASSET|Bond|72.7|1.4|N/A| Australia 0.25% 21-NOV-2024| 1.92%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|7.ASSET|Bond|72.7|1.39|N/A| Australia 0.25% 21-NOV-2024| 1.91%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|8.ASSET|Bond|72.7|1.37|N/A| Government of Ireland 3.4% 18-MAR-2024| 1.88%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|9.ASSET|Bond|72.7|1.33|N/A| Norway 3.0% 14-MAR-2024| 1.83%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|10.ASSET|Bond|72.7|1.32|N/A| Norway 2.0% 24-MAY-2023| 1.81%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|11.ASSET|Bond|72.7|1.29|N/A| Norway 2.0% 24-MAY-2023| 1.78%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|12.ASSET|Bond|72.7|1.26|N/A| Australia 5.5% 21-APR-2023| 1.74%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|13.ASSET|Bond|72.7|1.25|N/A| Australia 5.5% 21-APR-2023| 1.72%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|14.ASSET|Bond|72.7|1.2|N/A| Treasury Gilt 0.125% 31-JAN-2024| 1.65%| Developed Markets|Bond|International Government Bonds|International Treasury|ISHG|6|15.ASSET|Bond|72.7|1.19|N/A| Netherlands 2.0% 15-JUL-2024| 1.64%| North America|Equity|Europe Equities||HEWG|6|1.ASSET|Equity|50.4|50.21|EWG| iShares MSCI Germany ETF| 99.63%| North America|Equity|Europe Equities||HEWG|6|2.ASSET|Equity|50.4|0.18|N/A| MUTUAL FUND (OTHER)| 0.36%| North America|Equity|Europe Equities||HEWG|6|3.ASSET|Equity|50.4|0.01|N/A| U.S. Dollar| 0.01%| North America|Equity|Volatility Hedged Equity||AZBJ|6|1.ASSET|Equity|116|116.12|N/A| OPTIONS| 100.10%| North America|Equity|Volatility Hedged Equity||AZBJ|6|2.ASSET|Equity|116|116.1|N/A| OPTIONS| 100.09%| North America|Equity|Volatility Hedged Equity||AZBJ|6|3.ASSET|Equity|116|-0.1|N/A| U.S. Dollar| -0.09%| North America|Equity|Volatility Hedged Equity||AZBJ|6|4.ASSET|Equity|116|-0.12|N/A| U.S. Dollar| -0.10%| Emerging Markets|Equity|Leveraged Equities||EET|6|1.ASSET|Equity|43.5|29.81|N/A| U.S. Dollar| 68.52%| Emerging Markets|Equity|Leveraged Equities||EET|6|2.ASSET|Equity|43.5|13.69|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 31.48%| North America|Equity|Leveraged Equities|Technology|TECS|6|1.ASSET|Equity|91.6|41.65|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 45.47%| North America|Equity|Leveraged Equities|Technology|TECS|6|2.ASSET|Equity|91.6|7.03|DGCXX| Dreyfus Government Cash Management Funds Institutional| 7.67%| North America|Equity|Leveraged Equities|Technology|TECS|6|3.ASSET|Equity|91.6|0|FGTXX| Goldman Sachs Trust Financial Square Government Fund Institutional| 0.00%| Global|Equity|Technology Equities|Technology|DAPP|6|1.ASSET|Equity|57.1|5.72|SQ| Block Inc Class A| 10.02%| Global|Equity|Technology Equities|Technology|DAPP|6|2.ASSET|Equity|57.1|4.43|COIN| Coinbase Global, Inc. Class A| 7.76%| Global|Equity|Technology Equities|Technology|DAPP|6|3.ASSET|Equity|57.1|4.32|SI| Silvergate Capital Corp. Class A| 7.56%| Global|Equity|Technology Equities|Technology|DAPP|6|4.ASSET|Equity|57.1|3.56|MSTR| MicroStrategy Incorporated Class A| 6.23%| Global|Equity|Technology Equities|Technology|DAPP|6|5.ASSET|Equity|57.1|3.42|RIOT| Riot Blockchain Inc| 5.99%| Global|Equity|Technology Equities|Technology|DAPP|6|6.ASSET|Equity|57.1|2.95|MARA| Marathon Digital Holdings Inc| 5.17%| Global|Equity|Technology Equities|Technology|DAPP|6|7.ASSET|Equity|57.1|2.92|IREN| Iris Energy Ltd.| 5.11%| Global|Equity|Technology Equities|Technology|DAPP|6|8.ASSET|Equity|57.1|2.76|CAN| Canaan Inc. Sponsored ADR Class A| 4.83%| Global|Equity|Technology Equities|Technology|DAPP|6|9.ASSET|Equity|57.1|2.66|NB2| Northern Data AG| 4.66%| Global|Equity|Technology Equities|Technology|DAPP|6|10.ASSET|Equity|57.1|2.36|VOYG| Voyager Digital Ltd.| 4.14%| Global|Equity|Technology Equities|Technology|DAPP|6|11.ASSET|Equity|57.1|2.29|BITF| Bitfarms Ltd.| 4.01%| Global|Equity|Technology Equities|Technology|DAPP|6|12.ASSET|Equity|57.1|2.27|HIVE| HIVE Blockchain Technologies Ltd| 3.98%| Global|Equity|Technology Equities|Technology|DAPP|6|13.ASSET|Equity|57.1|2.24|HUT| Hut 8 Mining Corp.| 3.93%| Global|Equity|Technology Equities|Technology|DAPP|6|14.ASSET|Equity|57.1|2.11|CORZ| Core Scientific, Inc.| 3.70%| Global|Equity|Technology Equities|Technology|DAPP|6|15.ASSET|Equity|57.1|2.02|GLXY| Galaxy Digital Holdings Ltd.| 3.53%| North America|Bond|Inverse Bonds|Junk|SJB|6|1.ASSET|Bond|110.4|85.64|N/A| U.S. Dollar| 77.57%| North America|Bond|Inverse Bonds|Junk|SJB|6|2.ASSET|Bond|110.4|23.22|N/A| United States Treasury Bills 0.0% 12-APR-2022| 21.03%| North America|Bond|Inverse Bonds|Junk|SJB|6|3.ASSET|Bond|110.4|1.55|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 1.40%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|1.ASSET|Bond|59.7|1.92|N/A| CORPORATE BOND| 3.21%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|2.ASSET|Bond|59.7|0.96|N/A| Ecopetrol SA 6.875% 29-APR-2030| 1.60%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|3.ASSET|Bond|59.7|0.82|N/A| Altice Financing SA 5.75% 15-AUG-2029| 1.38%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|4.ASSET|Bond|59.7|0.76|N/A| Can-Pack SA 3.125% 01-NOV-2025| 1.27%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|5.ASSET|Bond|59.7|0.7|N/A| Tengizchevroil Finance Co. International Ltd. 3.25% 15-AUG-2030| 1.18%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|6.ASSET|Bond|59.7|0.7|N/A| NBK Tier 1 Financing (2) Ltd. 4.5% PERP| 1.18%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|7.ASSET|Bond|59.7|0.67|N/A| Saudi Arabian Oil Co. 2.25% 24-NOV-2030| 1.13%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|8.ASSET|Bond|59.7|0.63|N/A| C&W Senior Financing DAC 6.875% 15-SEP-2027| 1.06%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|9.ASSET|Bond|59.7|0.62|N/A| Bancolombia S.A. 4.625% 18-DEC-2029| 1.04%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|10.ASSET|Bond|59.7|0.61|N/A| AES Panama Generation Holdings SRL 4.375% 31-MAY-2030| 1.03%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|11.ASSET|Bond|59.7|0.6|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|12.ASSET|Bond|59.7|0.59|N/A| Akbank TAS 6.8% 06-FEB-2026| 0.99%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|13.ASSET|Bond|59.7|0.58|N/A| PTTEP Treasury Center Co., Ltd. 3.903% 06-DEC-2059| 0.97%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|14.ASSET|Bond|59.7|0.57|N/A| Sasol Financing USA LLC 4.375% 18-SEP-2026| 0.95%| Emerging Markets|Bond|Emerging Markets Bonds|International Corporate|EMCB|6|15.ASSET|Bond|59.7|0.56|N/A| PT Perusahaan Listrik Negara (Persero) 4.125% 15-MAY-2027| 0.94%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|1.ASSET|Real Estate|54|2.54|VNA| Vonovia SE| 4.70%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|2.ASSET|Real Estate|54|2.01|16| Sun Hung Kai Properties Limited| 3.72%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|3.ASSET|Real Estate|54|1.77|823| Link Real Estate Investment Trust| 3.27%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|4.ASSET|Real Estate|54|1.57|1109| China Resources Land Limited| 2.91%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|5.ASSET|Real Estate|54|1.53|1878| Daito Trust Construction Co., Ltd.| 2.83%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|6.ASSET|Real Estate|54|1.43|1925| Daiwa House Industry Co., Ltd.| 2.65%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|7.ASSET|Real Estate|54|1.41|GMG| Goodman Group| 2.62%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|8.ASSET|Real Estate|54|1.32|688| China Overseas Land & Investment Limited| 2.44%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|9.ASSET|Real Estate|54|1.16|SPSN| Swiss Prime Site AG| 2.15%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|10.ASSET|Real Estate|54|1.1|8801| Mitsui Fudosan Co., Ltd.| 2.03%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|11.ASSET|Real Estate|54|1.03|DXS| Dexus| 1.91%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|12.ASSET|Real Estate|54|1|DWNI| Deutsche Wohnen SE| 1.86%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|13.ASSET|Real Estate|54|1|SGRO| SEGRO plc| 1.85%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|14.ASSET|Real Estate|54|0.96|SGP| Stockland| 1.78%| Developed Markets|Real Estate|Global Real Estate|Real Estate|DRW|6|15.ASSET|Real Estate|54|0.89|960| Longfor Group Holdings Ltd.| 1.65%| North America|Equity|Large Cap Growth Equities||FEVR|6|1.ASSET|Equity|38.3|1.48|MOS| Mosaic Company| 3.86%| North America|Equity|Large Cap Growth Equities||FEVR|6|2.ASSET|Equity|38.3|1.37|BG| Bunge Limited| 3.59%| North America|Equity|Large Cap Growth Equities||FEVR|6|3.ASSET|Equity|38.3|1.37|NTR| Nutrien Ltd.| 3.57%| North America|Equity|Large Cap Growth Equities||FEVR|6|4.ASSET|Equity|38.3|1.31|SEDG| SolarEdge Technologies, Inc.| 3.43%| North America|Equity|Large Cap Growth Equities||FEVR|6|5.ASSET|Equity|38.3|1.29|NVDA| NVIDIA Corporation| 3.38%| North America|Equity|Large Cap Growth Equities||FEVR|6|6.ASSET|Equity|38.3|1.26|FTNT| Fortinet, Inc.| 3.29%| North America|Equity|Large Cap Growth Equities||FEVR|6|7.ASSET|Equity|38.3|1.16|POOL| Pool Corporation| 3.03%| North America|Equity|Large Cap Growth Equities||FEVR|6|8.ASSET|Equity|38.3|1.16|DAR| Darling Ingredients Inc.| 3.03%| North America|Equity|Large Cap Growth Equities||FEVR|6|9.ASSET|Equity|38.3|1.15|TPL| Texas Pacific Land Corporation| 3.01%| North America|Equity|Large Cap Growth Equities||FEVR|6|10.ASSET|Equity|38.3|1.15|CINF| Cincinnati Financial Corporation| 2.99%| North America|Equity|Large Cap Growth Equities||FEVR|6|11.ASSET|Equity|38.3|1.13|EWBC| East West Bancorp, Inc.| 2.96%| North America|Equity|Large Cap Growth Equities||FEVR|6|12.ASSET|Equity|38.3|1.12|TSCO| Tractor Supply Company| 2.93%| North America|Equity|Large Cap Growth Equities||FEVR|6|13.ASSET|Equity|38.3|1.12|CDNS| Cadence Design Systems, Inc.| 2.93%| North America|Equity|Large Cap Growth Equities||FEVR|6|14.ASSET|Equity|38.3|1.1|KLAC| KLA Corporation| 2.88%| North America|Equity|Large Cap Growth Equities||FEVR|6|15.ASSET|Equity|38.3|1.09|NET| Cloudflare Inc Class A| 2.85%| Global|Commodity|Commodities||UCIB|6|1.ASSET|Commodity|69.9|7.04|N/A| Sweet Light Crude Oil (WTI)| 10.07%| Global|Commodity|Commodities||UCIB|6|2.ASSET|Commodity|69.9|6.7|N/A| Brent Crude Oil| 9.58%| Global|Commodity|Commodities||UCIB|6|3.ASSET|Commodity|69.9|5.85|N/A| Copper| 8.37%| Global|Commodity|Commodities||UCIB|6|4.ASSET|Commodity|69.9|4.8|N/A| Sugar No.11| 6.87%| Global|Commodity|Commodities||UCIB|6|5.ASSET|Commodity|69.9|4.75|N/A| Aluminum| 6.80%| Global|Commodity|Commodities||UCIB|6|6.ASSET|Commodity|69.9|3.93|N/A| Soybean| 5.62%| Global|Commodity|Commodities||UCIB|6|7.ASSET|Commodity|69.9|3.5|N/A| Gold| 5.00%| Global|Commodity|Commodities||UCIB|6|8.ASSET|Commodity|69.9|3.15|N/A| Corn| 4.51%| Global|Commodity|Commodities||UCIB|6|9.ASSET|Commodity|69.9|3.02|N/A| Copper| 4.32%| Global|Commodity|Commodities||UCIB|6|10.ASSET|Commodity|69.9|2.9|N/A| Gasoline RBOB| 4.15%| Global|Commodity|Commodities||UCIB|6|11.ASSET|Commodity|69.9|2.63|N/A| Gas Oil| 3.76%| Global|Commodity|Commodities||UCIB|6|12.ASSET|Commodity|69.9|2.54|N/A| Zinc| 3.63%| Global|Commodity|Commodities||UCIB|6|13.ASSET|Commodity|69.9|2.43|N/A| Natural Gas| 3.48%| Global|Commodity|Commodities||UCIB|6|14.ASSET|Commodity|69.9|2.38|N/A| NY Harbor ULSD (Heating Oil)| 3.41%| Global|Commodity|Commodities||UCIB|6|15.ASSET|Commodity|69.9|1.87|N/A| Nickel| 2.67%| Developed Markets|Equity|Volatility Hedged Equity||IJAN|6|1.ASSET|Equity|82.8|82.25|N/A| OPTIONS| 99.34%| Developed Markets|Equity|Volatility Hedged Equity||IJAN|6|2.ASSET|Equity|82.8|82.24|N/A| OPTIONS| 99.32%| Developed Markets|Equity|Volatility Hedged Equity||IJAN|6|3.ASSET|Equity|82.8|0.56|N/A| U.S. Dollar| 0.68%| Developed Markets|Equity|Volatility Hedged Equity||IJAN|6|4.ASSET|Equity|82.8|0.55|N/A| U.S. Dollar| 0.66%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|1.ASSET|Equity|55.9|3.25|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 5.82%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|2.ASSET|Equity|55.9|2.47|ASML| ASML Holding NV| 4.41%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|3.ASSET|Equity|55.9|2.46|NESN| Nestle S.A.| 4.40%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|4.ASSET|Equity|55.9|2.16|700| Tencent Holdings Ltd.| 3.87%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|5.ASSET|Equity|55.9|2.1|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.76%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|6.ASSET|Equity|55.9|1.95|NOVO.B| Novo Nordisk A/S Class B| 3.48%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|7.ASSET|Equity|55.9|1.66|DGE| Diageo plc| 2.97%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|8.ASSET|Equity|55.9|1.53|OR| L\'Oreal SA| 2.73%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|9.ASSET|Equity|55.9|1.45|1299| AIA Group Limited| 2.59%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|10.ASSET|Equity|55.9|1.44|6861| Keyence Corporation| 2.58%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|11.ASSET|Equity|55.9|1.41|6758| Sony Group Corporation| 2.53%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|12.ASSET|Equity|55.9|1.39|REN| RELX PLC| 2.48%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|13.ASSET|Equity|55.9|1.36|CNR| Canadian National Railway Company| 2.43%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|14.ASSET|Equity|55.9|1.17|LONN| Lonza Group AG| 2.10%| Developed Markets|Equity|Foreign Large Cap Equities||JIG|6|15.ASSET|Equity|55.9|1.1|ADYEN| Adyen NV| 1.96%| North America|Equity|Small Cap Growth Equities||FSMD|6|1.ASSET|Equity|72.1|0.3|SEDG| SolarEdge Technologies, Inc.| 0.41%| North America|Equity|Small Cap Growth Equities||FSMD|6|2.ASSET|Equity|72.1|0.26|AA| Alcoa Corporation| 0.36%| North America|Equity|Small Cap Growth Equities||FSMD|6|3.ASSET|Equity|72.1|0.25|APA| APA Corp.| 0.35%| North America|Equity|Small Cap Growth Equities||FSMD|6|4.ASSET|Equity|72.1|0.25|FHN| First Horizon Corporation| 0.35%| North America|Equity|Small Cap Growth Equities||FSMD|6|5.ASSET|Equity|72.1|0.25|ABMD| ABIOMED, Inc.| 0.34%| North America|Equity|Small Cap Growth Equities||FSMD|6|6.ASSET|Equity|72.1|0.25|ELAN| Elanco Animal Health, Inc.| 0.34%| North America|Equity|Small Cap Growth Equities||FSMD|6|7.ASSET|Equity|72.1|0.24|LDOS| Leidos Holdings, Inc.| 0.33%| North America|Equity|Small Cap Growth Equities||FSMD|6|8.ASSET|Equity|72.1|0.24|STLD| Steel Dynamics, Inc.| 0.33%| North America|Equity|Small Cap Growth Equities||FSMD|6|9.ASSET|Equity|72.1|0.24|DAR| Darling Ingredients Inc.| 0.33%| North America|Equity|Small Cap Growth Equities||FSMD|6|10.ASSET|Equity|72.1|0.23|CHRW| C.H. Robinson Worldwide, Inc.| 0.32%| North America|Equity|Small Cap Growth Equities||FSMD|6|11.ASSET|Equity|72.1|0.23|IRM| Iron Mountain, Inc.| 0.32%| North America|Equity|Small Cap Growth Equities||FSMD|6|12.ASSET|Equity|72.1|0.23|GDDY| GoDaddy, Inc. Class A| 0.32%| North America|Equity|Small Cap Growth Equities||FSMD|6|13.ASSET|Equity|72.1|0.22|CBOE| Cboe Global Markets Inc| 0.31%| North America|Equity|Small Cap Growth Equities||FSMD|6|14.ASSET|Equity|72.1|0.22|JKHY| Jack Henry & Associates, Inc.| 0.31%| North America|Equity|Small Cap Growth Equities||FSMD|6|15.ASSET|Equity|72.1|0.22|HSIC| Henry Schein, Inc.| 0.31%| North America|Alternatives|Hedge Fund||DBMF|6|1.ASSET|Alternatives|59.2|55.97|N/A| U.S. Dollar| 94.55%| North America|Alternatives|Hedge Fund||DBMF|6|2.ASSET|Alternatives|59.2|46.25|N/A| U.S. Dollar| 78.12%| North America|Alternatives|Hedge Fund||DBMF|6|3.ASSET|Alternatives|59.2|11.49|N/A| MUTUAL FUND (OTHER)| 19.41%| North America|Alternatives|Hedge Fund||DBMF|6|4.ASSET|Alternatives|59.2|2.88|N/A| MUTUAL FUND (OTHER)| 4.87%| North America|Alternatives|Hedge Fund||DBMF|6|5.ASSET|Alternatives|59.2|0.98|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 1.65%| North America|Alternatives|Hedge Fund||DBMF|6|6.ASSET|Alternatives|59.2|0.39|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 0.66%| North America|Alternatives|Hedge Fund||DBMF|6|7.ASSET|Alternatives|59.2|0.23|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 0.39%| North America|Alternatives|Hedge Fund||DBMF|6|8.ASSET|Alternatives|59.2|0.09|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 0.16%| North America|Alternatives|Hedge Fund||DBMF|6|9.ASSET|Alternatives|59.2|0.09|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 0.15%| North America|Alternatives|Hedge Fund||DBMF|6|10.ASSET|Alternatives|59.2|0.02|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 0.04%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|1.ASSET|Equity|64.7|1.79|ABBV| AbbVie, Inc.| 2.76%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|2.ASSET|Equity|64.7|1.75|KO| Coca-Cola Company| 2.70%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|3.ASSET|Equity|64.7|1.71|PM| Philip Morris International Inc.| 2.65%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|4.ASSET|Equity|64.7|1.54|VZ| Verizon Communications Inc.| 2.38%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|5.ASSET|Equity|64.7|1.37|PFE| Pfizer Inc.| 2.12%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|6.ASSET|Equity|64.7|1.33|CSCO| Cisco Systems, Inc.| 2.06%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|7.ASSET|Equity|64.7|1.27|PEP| PepsiCo, Inc.| 1.96%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|8.ASSET|Equity|64.7|1|MO| Altria Group Inc| 1.54%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|9.ASSET|Equity|64.7|0.99|AVGO| Broadcom Inc.| 1.53%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|10.ASSET|Equity|64.7|0.93|BHP| BHP Group Ltd| 1.43%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|11.ASSET|Equity|64.7|0.91|MRK| Merck & Co., Inc.| 1.40%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|12.ASSET|Equity|64.7|0.75|005930| Samsung Electronics Co., Ltd.| 1.16%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|13.ASSET|Equity|64.7|0.74|BMY| Bristol-Myers Squibb Company| 1.15%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|14.ASSET|Equity|64.7|0.72|IBM| International Business Machines Corporation| 1.12%| Developed Markets|Equity|Large Cap Value Equities||DEW|6|15.ASSET|Equity|64.7|0.67|GILD| Gilead Sciences, Inc.| 1.04%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|1.ASSET|Equity|40.2|1.53|ABG| Asbury Automotive Group, Inc.| 3.80%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|2.ASSET|Equity|40.2|1.29|MTH| Meritage Homes Corporation| 3.21%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|3.ASSET|Equity|40.2|1.23|SIG| Signet Jewelers Limited| 3.05%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|4.ASSET|Equity|40.2|1.13|GPI| Group 1 Automotive, Inc.| 2.82%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|5.ASSET|Equity|40.2|1.09|SHOO| Steven Madden, Ltd.| 2.70%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|6.ASSET|Equity|40.2|1.07|LCII| LCI Industries| 2.65%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|7.ASSET|Equity|40.2|1.02|SHAK| Shake Shack, Inc. Class A| 2.53%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|8.ASSET|Equity|40.2|0.95|LGIH| LGI Homes, Inc.| 2.36%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|9.ASSET|Equity|40.2|0.92|DORM| Dorman Products, Inc.| 2.29%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|10.ASSET|Equity|40.2|0.92|THRM| Gentherm Incorporated| 2.29%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|11.ASSET|Equity|40.2|0.87|BOOT| Boot Barn Holdings, Inc.| 2.17%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|12.ASSET|Equity|40.2|0.86|MDC| M.D.C. Holdings, Inc.| 2.14%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|13.ASSET|Equity|40.2|0.81|IBP| Installed Building Products, Inc.| 2.02%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|14.ASSET|Equity|40.2|0.8|CVCO| Cavco Industries, Inc.| 1.99%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|PSCD|6|15.ASSET|Equity|40.2|0.74|KTB| Kontoor Brands, Inc.| 1.84%| North America|Equity|Financials Equities|Financials|BDCZ|6|1.ASSET|Equity|58.4|5.99|ACAS| Acas LLC| 10.25%| North America|Equity|Financials Equities|Financials|BDCZ|6|2.ASSET|Equity|58.4|5.94|ARCC| Ares Capital Corp| 10.17%| North America|Equity|Financials Equities|Financials|BDCZ|6|3.ASSET|Equity|58.4|5.75|SUNS| Solar Senior Capital Ltd| 9.85%| North America|Equity|Financials Equities|Financials|BDCZ|6|4.ASSET|Equity|58.4|5.42|AINV| Apollo Investment Corp| 9.28%| North America|Equity|Financials Equities|Financials|BDCZ|6|5.ASSET|Equity|58.4|3.68|MFIN| Medallion Financial Corp| 6.30%| North America|Equity|Financials Equities|Financials|BDCZ|6|6.ASSET|Equity|58.4|3.2|BKCC| BlackRock Capital Investment Corp| 5.48%| North America|Equity|Financials Equities|Financials|BDCZ|6|7.ASSET|Equity|58.4|2.63|SLRC| Solar Capital Ltd| 4.51%| North America|Equity|Financials Equities|Financials|BDCZ|6|8.ASSET|Equity|58.4|2.31|HTGC| Hercules Capital Inc| 3.96%| North America|Equity|Financials Equities|Financials|BDCZ|6|9.ASSET|Equity|58.4|2.28|MCC| Medley Capital Corp| 3.90%| North America|Equity|Financials Equities|Financials|BDCZ|6|10.ASSET|Equity|58.4|1.85|MCGC| MCG Capital Corp| 3.16%| North America|Equity|Financials Equities|Financials|BDCZ|6|11.ASSET|Equity|58.4|1.57|CSWC| Capital Southwest Corp| 2.69%| North America|Equity|Financials Equities|Financials|BDCZ|6|12.ASSET|Equity|58.4|1.55|PNNT| Pennantpark Investment Corp| 2.66%| North America|Equity|Financials Equities|Financials|BDCZ|6|13.ASSET|Equity|58.4|1.14|GLAD| Gladstone Capital Corp| 1.95%| North America|Equity|Financials Equities|Financials|BDCZ|6|14.ASSET|Equity|58.4|0.95|GBDC| Golub Capital BDC Inc| 1.63%| North America|Equity|Financials Equities|Financials|BDCZ|6|15.ASSET|Equity|58.4|0.93|PSEC| Prospect Capital Corp| 1.60%| North America|Equity|All Cap Equities|Healthcare|GERM|6|1.ASSET|Equity|35.7|2.81|LH| Laboratory Corporation of America Holdings| 7.86%| North America|Equity|All Cap Equities|Healthcare|GERM|6|2.ASSET|Equity|35.7|2.7|ALNY| Alnylam Pharmaceuticals, Inc| 7.56%| North America|Equity|All Cap Equities|Healthcare|GERM|6|3.ASSET|Equity|35.7|2.47|BIO| Bio-Rad Laboratories, Inc. Class A| 6.93%| North America|Equity|All Cap Equities|Healthcare|GERM|6|4.ASSET|Equity|35.7|1.76|DGX| Quest Diagnostics Incorporated| 4.93%| North America|Equity|All Cap Equities|Healthcare|GERM|6|5.ASSET|Equity|35.7|1.48|MRNA| Moderna, Inc.| 4.15%| North America|Equity|All Cap Equities|Healthcare|GERM|6|6.ASSET|Equity|35.7|1.33|BNTX| BioNTech SE Sponsored ADR| 3.73%| North America|Equity|All Cap Equities|Healthcare|GERM|6|7.ASSET|Equity|35.7|1.32|ZLAB| Zai Lab Ltd. Sponsored ADR| 3.69%| North America|Equity|All Cap Equities|Healthcare|GERM|6|8.ASSET|Equity|35.7|1.23|VALT| ETFMG Sit Ultra Short ETF| 3.45%| North America|Equity|All Cap Equities|Healthcare|GERM|6|9.ASSET|Equity|35.7|1.23|QDEL| Quidel Corporation| 3.45%| North America|Equity|All Cap Equities|Healthcare|GERM|6|10.ASSET|Equity|35.7|1.18|OCDX| Ortho Clinical Diagnostics Holdings Plc| 3.30%| North America|Equity|All Cap Equities|Healthcare|GERM|6|11.ASSET|Equity|35.7|1.07|NVAX| Novavax, Inc.| 2.99%| North America|Equity|All Cap Equities|Healthcare|GERM|6|12.ASSET|Equity|35.7|0.9|VIR| Vir Biotechnology, Inc.| 2.52%| North America|Equity|All Cap Equities|Healthcare|GERM|6|13.ASSET|Equity|35.7|0.87|BCRX| BioCryst Pharmaceuticals, Inc.| 2.43%| North America|Equity|All Cap Equities|Healthcare|GERM|6|14.ASSET|Equity|35.7|0.77|CVAC| CureVac N.V.| 2.15%| North America|Equity|All Cap Equities|Healthcare|GERM|6|15.ASSET|Equity|35.7|0.76|ABCL| AbCellera Biologics, Inc.| 2.12%| North America|Bond|National Munis|Municipal Bond|FLMI|6|1.ASSET|Bond|73.3|2.36|N/A| U.S. Dollar| 3.22%| North America|Bond|National Munis|Municipal Bond|FLMI|6|2.ASSET|Bond|73.3|2.18|N/A| MUNICIPAL BONDS| 2.97%| North America|Bond|National Munis|Municipal Bond|FLMI|6|3.ASSET|Bond|73.3|1.94|N/A| California Mun Fin Auth Solid Waste Disp Rev VAR 01-JUL-2051| 2.65%| North America|Bond|National Munis|Municipal Bond|FLMI|6|4.ASSET|Bond|73.3|1.56|N/A| La Joya Tex Indpt Sch Dist 5.0% 15-FEB-2026| 2.13%| North America|Bond|National Munis|Municipal Bond|FLMI|6|5.ASSET|Bond|73.3|1.22|N/A| Lower Colo Riv Auth Tex Rev 5.0% 15-MAY-2032| 1.67%| North America|Bond|National Munis|Municipal Bond|FLMI|6|6.ASSET|Bond|73.3|1.18|N/A| Tennessee Energy Acquisition Corp Commodity Projrev VAR 01-MAY-2052| 1.61%| North America|Bond|National Munis|Municipal Bond|FLMI|6|7.ASSET|Bond|73.3|1.17|N/A| Texas Mun Gas Acquisition & Supply Corp Iii Gassupply Rev 5.0% 15-DEC-2030| 1.60%| North America|Bond|National Munis|Municipal Bond|FLMI|6|8.ASSET|Bond|73.3|1.17|N/A| New Jersey St Transn Tr Fd Auth 5.0% 15-JUN-2034| 1.60%| North America|Bond|National Munis|Municipal Bond|FLMI|6|9.ASSET|Bond|73.3|1.16|N/A| Florida Dev Fin Corp Healthcare Facs Rev 5.0% 01-FEB-2038| 1.58%| North America|Bond|National Munis|Municipal Bond|FLMI|6|10.ASSET|Bond|73.3|1.16|N/A| Louisville & Jefferson Cnty Ky Met Swr Dist Swr& Drain Sys Rev 4.0% 15-MAY-2034| 1.58%| North America|Bond|National Munis|Municipal Bond|FLMI|6|11.ASSET|Bond|73.3|1.14|N/A| New Jersey St 4.0% 01-JUN-2032| 1.55%| North America|Bond|National Munis|Municipal Bond|FLMI|6|12.ASSET|Bond|73.3|1.13|N/A| Black Belt Energy Gas Dist Ala Gas Supply Rev VAR 01-JUN-2051| 1.54%| North America|Bond|National Munis|Municipal Bond|FLMI|6|13.ASSET|Bond|73.3|1.11|N/A| Berwyn Ill 4.0% 01-DEC-2041| 1.51%| North America|Bond|National Munis|Municipal Bond|FLMI|6|14.ASSET|Bond|73.3|1.07|N/A| Missouri St Dev Fin Brd Infrastructure Facs Rev 5.0% 01-MAR-2030| 1.46%| North America|Bond|National Munis|Municipal Bond|FLMI|6|15.ASSET|Bond|73.3|1.06|N/A| Main Str Nat Gas Inc Ga Gas Supply Rev VAR 01-AUG-2052| 1.44%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|1.ASSET|Bond|47.7|0.33|N/A| STERIS Irish FinCo Unlimited Co. 2.7% 15-MAR-2031| 0.70%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|2.ASSET|Bond|47.7|0.33|N/A| STERIS Irish FinCo Unlimited Co. 2.7% 15-MAR-2031| 0.70%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|3.ASSET|Bond|47.7|0.33|N/A| Sprint Spectrum Co. LLC 5.152% 20-MAR-2028| 0.69%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|4.ASSET|Bond|47.7|0.33|N/A| Sprint Spectrum Co. LLC 5.152% 20-MAR-2028| 0.69%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|5.ASSET|Bond|47.7|0.32|N/A| Pine Street Trust I 4.572% 15-FEB-2029| 0.68%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|6.ASSET|Bond|47.7|0.32|N/A| Pine Street Trust I 4.572% 15-FEB-2029| 0.68%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|7.ASSET|Bond|47.7|0.31|N/A| Sonoco Products Company 3.125% 01-MAY-2030| 0.65%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|8.ASSET|Bond|47.7|0.31|N/A| Sonoco Products Company 3.125% 01-MAY-2030| 0.65%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|9.ASSET|Bond|47.7|0.31|N/A| Tyco Electronics Group SA 2.5% 04-FEB-2032| 0.64%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|10.ASSET|Bond|47.7|0.3|N/A| Tyco Electronics Group SA 2.5% 04-FEB-2032| 0.63%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|11.ASSET|Bond|47.7|0.3|N/A| Dick\'s Sporting Goods, Inc. 3.15% 15-JAN-2032| 0.63%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|12.ASSET|Bond|47.7|0.3|N/A| New York Life Global Funding 0.85% 15-JAN-2026| 0.62%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|13.ASSET|Bond|47.7|0.3|N/A| New York Life Global Funding 0.85% 15-JAN-2026| 0.62%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|14.ASSET|Bond|47.7|0.3|N/A| Union Pacific Corporation 2.8% 14-FEB-2032| 0.62%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IIGV|6|15.ASSET|Bond|47.7|0.3|N/A| Union Pacific Corporation 2.8% 14-FEB-2032| 0.62%| North America|Equity|Volatility Hedged Equity||NJUL|6|1.ASSET|Equity|50.9|50.9|N/A| Cash Component| 100.00%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|1.ASSET|Bond|52.9|0.45|N/A| AT&T Inc. 3.8% 01-DEC-2057| 0.86%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|2.ASSET|Bond|52.9|0.44|N/A| Charter Communications Operating LLC 5.75% 01-APR-2048| 0.84%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|3.ASSET|Bond|52.9|0.41|N/A| JPMorgan Chase & Co. 4.95% 01-JUN-2045| 0.78%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|4.ASSET|Bond|52.9|0.38|N/A| Verizon Communications Inc. 4.272% 15-JAN-2036| 0.71%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|5.ASSET|Bond|52.9|0.37|N/A| Broadcom Inc. 3.5% 15-FEB-2041| 0.70%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|6.ASSET|Bond|52.9|0.37|N/A| Philip Morris International Inc. 4.25% 10-NOV-2044| 0.69%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|7.ASSET|Bond|52.9|0.36|N/A| Burlington Northern Santa Fe LLC 4.9% 01-APR-2044| 0.68%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|8.ASSET|Bond|52.9|0.35|N/A| UnitedHealth Group Incorporated 4.625% 15-NOV-2041| 0.66%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|9.ASSET|Bond|52.9|0.34|N/A| AbbVie Inc. 4.875% 14-NOV-2048| 0.65%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|10.ASSET|Bond|52.9|0.34|N/A| Gilead Sciences, Inc. 4.75% 01-MAR-2046| 0.65%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|11.ASSET|Bond|52.9|0.34|N/A| Wells Fargo & Company 4.9% 17-NOV-2045| 0.64%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|12.ASSET|Bond|52.9|0.33|N/A| Philip Morris International Inc. 4.125% 04-MAR-2043| 0.63%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|13.ASSET|Bond|52.9|0.33|N/A| Altria Group, Inc. 5.8% 14-FEB-2039| 0.63%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|14.ASSET|Bond|52.9|0.33|N/A| Gilead Sciences, Inc. 4.5% 01-FEB-2045| 0.62%| North America|Bond|Corporate Bonds|Investment Grade Corporate|LKOR|6|15.ASSET|Bond|52.9|0.32|N/A| Wells Fargo & Company 5.375% 02-NOV-2043| 0.60%| Global|Commodity|Commodities||BCD|6|1.ASSET|Commodity|190.8|40.55|N/A| EQUITY OTHER| 21.25%| Global|Commodity|Commodities||BCD|6|2.ASSET|Commodity|190.8|38.89|N/A| EQUITY OTHER| 20.38%| Global|Commodity|Commodities||BCD|6|3.ASSET|Commodity|190.8|23.39|N/A| United States Treasury Bills 0.0% 04-AUG-2022| 12.26%| Global|Commodity|Commodities||BCD|6|4.ASSET|Commodity|190.8|22.61|N/A| United States Treasury Bills 0.0% 04-AUG-2022| 11.85%| Global|Commodity|Commodities||BCD|6|5.ASSET|Commodity|190.8|13.45|N/A| United States Treasury Bills 0.0% 23-JUN-2022| 7.05%| Global|Commodity|Commodities||BCD|6|6.ASSET|Commodity|190.8|13.01|N/A| United States Treasury Bills 0.0% 23-JUN-2022| 6.82%| Global|Commodity|Commodities||BCD|6|7.ASSET|Commodity|190.8|11.45|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 6.00%| Global|Commodity|Commodities||BCD|6|8.ASSET|Commodity|190.8|11.07|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 5.80%| Global|Commodity|Commodities||BCD|6|9.ASSET|Commodity|190.8|11.05|N/A| MUTUAL FUND (OTHER)| 5.79%| Global|Commodity|Commodities||BCD|6|10.ASSET|Commodity|190.8|10.17|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 5.33%| Global|Commodity|Commodities||BCD|6|11.ASSET|Commodity|190.8|9.96|N/A| United States Treasury Bills 0.0% 25-AUG-2022| 5.22%| Global|Commodity|Commodities||BCD|6|12.ASSET|Commodity|190.8|9.83|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 5.15%| Global|Commodity|Commodities||BCD|6|13.ASSET|Commodity|190.8|9.62|N/A| MUTUAL FUND (OTHER)| 5.04%| Global|Commodity|Commodities||BCD|6|14.ASSET|Commodity|190.8|9.62|N/A| United States Treasury Bills 0.0% 25-AUG-2022| 5.04%| Global|Commodity|Commodities||BCD|6|15.ASSET|Commodity|190.8|8.85|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 4.64%| North America|Equity|Europe Equities||NORW|6|1.ASSET|Equity|100.6|17.18|EQNR| Equinor ASA| 17.08%| North America|Equity|Europe Equities||NORW|6|2.ASSET|Equity|100.6|10.49|DNB| DNB Bank ASA| 10.43%| North America|Equity|Europe Equities||NORW|6|3.ASSET|Equity|100.6|6.82|NHY| Norsk Hydro ASA| 6.78%| North America|Equity|Europe Equities||NORW|6|4.ASSET|Equity|100.6|6.02|MOWI| Mowi ASA| 5.98%| North America|Equity|Europe Equities||NORW|6|5.ASSET|Equity|100.6|5.37|TEL| Telenor ASA| 5.34%| North America|Equity|Europe Equities||NORW|6|6.ASSET|Equity|100.6|4.42|YAR| Yara International ASA| 4.39%| North America|Equity|Europe Equities||NORW|6|7.ASSET|Equity|100.6|3.66|ORK| Orkla ASA| 3.64%| North America|Equity|Europe Equities||NORW|6|8.ASSET|Equity|100.6|2.92|TOM| TOMRA Systems ASA| 2.90%| North America|Equity|Europe Equities||NORW|6|9.ASSET|Equity|100.6|2.59|GJF| Gjensidige Forsikring ASA| 2.57%| North America|Equity|Europe Equities||NORW|6|10.ASSET|Equity|100.6|2.4|NOD| Nordic Semiconductor ASA| 2.39%| North America|Equity|Europe Equities||NORW|6|11.ASSET|Equity|100.6|2.35|STB| Storebrand ASA| 2.34%| North America|Equity|Europe Equities||NORW|6|12.ASSET|Equity|100.6|2.28|SALM| SalMar ASA| 2.27%| North America|Equity|Europe Equities||NORW|6|13.ASSET|Equity|100.6|2.21|AKRBP| Aker BP ASA| 2.20%| North America|Equity|Europe Equities||NORW|6|14.ASSET|Equity|100.6|1.78|BAKKA| Bakkafrost P/F| 1.77%| North America|Equity|Europe Equities||NORW|6|15.ASSET|Equity|100.6|1.74|KOG| Kongsberg Gruppen ASA| 1.73%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|1.ASSET|Equity|56.9|4.47|AWK| American Water Works Company, Inc.| 7.85%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|2.ASSET|Equity|56.9|4.4|FERG| Ferguson Plc| 7.74%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|3.ASSET|Equity|56.9|4.38|GEBN| Geberit AG| 7.70%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|4.ASSET|Equity|56.9|4.2|ECL| Ecolab Inc.| 7.38%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|5.ASSET|Equity|56.9|3.97|VIE| Veolia Environnement SA| 6.97%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|6.ASSET|Equity|56.9|2.88|XYL| Xylem Inc.| 5.07%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|7.ASSET|Equity|56.9|2.38|WTRG| Essential Utilities, Inc.| 4.18%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|8.ASSET|Equity|56.9|2.37|UU| United Utilities Group PLC| 4.16%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|9.ASSET|Equity|56.9|2.36|SVT| Severn Trent Plc| 4.14%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|10.ASSET|Equity|56.9|2.32|IEX| IDEX Corporation| 4.08%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|11.ASSET|Equity|56.9|2.23|PNR| Pentair plc| 3.92%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|12.ASSET|Equity|56.9|2.15|AOS| A. O. Smith Corporation| 3.77%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|13.ASSET|Equity|56.9|2.04|TTEK| Tetra Tech, Inc.| 3.58%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|14.ASSET|Equity|56.9|1.23|AQUA| Evoqua Water Technologies Corp| 2.16%| Developed Markets|Equity|Water Equities |Industrials|EBLU|6|15.ASSET|Equity|56.9|1.22|AALB| Aalberts N.V.| 2.14%| Developed Europe|Equity|Europe Equities||EUSC|6|1.ASSET|Equity|59.4|1.32|PROX| Proximus SA de droit public| 2.22%| Developed Europe|Equity|Europe Equities||EUSC|6|2.ASSET|Equity|59.4|1.26|ENG| Enagas SA| 2.12%| Developed Europe|Equity|Europe Equities||EUSC|6|3.ASSET|Equity|59.4|1.13|BG| BAWAG Group AG| 1.91%| Developed Europe|Equity|Europe Equities||EUSC|6|4.ASSET|Equity|59.4|1.07|LI| Klepierre SA| 1.80%| Developed Europe|Equity|Europe Equities||EUSC|6|5.ASSET|Equity|59.4|1.05|IG| Italgas SpA| 1.76%| Developed Europe|Equity|Europe Equities||EUSC|6|6.ASSET|Equity|59.4|1.01|COV| Covivio SA| 1.70%| Developed Europe|Equity|Europe Equities||EUSC|6|7.ASSET|Equity|59.4|0.95|FNTN| freenet AG| 1.60%| Developed Europe|Equity|Europe Equities||EUSC|6|8.ASSET|Equity|59.4|0.94|A2A| A2A S.p.A.| 1.59%| Developed Europe|Equity|Europe Equities||EUSC|6|9.ASSET|Equity|59.4|0.94|MAP| Mapfre SA| 1.58%| Developed Europe|Equity|Europe Equities||EUSC|6|10.ASSET|Equity|59.4|0.9|ANA| Acciona SA| 1.52%| Developed Europe|Equity|Europe Equities||EUSC|6|11.ASSET|Equity|59.4|0.85|LIGHT| Signify NV| 1.43%| Developed Europe|Equity|Europe Equities||EUSC|6|12.ASSET|Equity|59.4|0.84|PNL| PostNL NV| 1.42%| Developed Europe|Equity|Europe Equities||EUSC|6|13.ASSET|Equity|59.4|0.81|ASRNL| ASR Nederland NV| 1.37%| Developed Europe|Equity|Europe Equities||EUSC|6|14.ASSET|Equity|59.4|0.72|RXL| Rexel SA| 1.21%| Developed Europe|Equity|Europe Equities||EUSC|6|15.ASSET|Equity|59.4|0.71|HER| Hera S.p.A.| 1.20%| Developed Markets|Alternatives|Long-Short||FLSP|6|1.ASSET|Alternatives|55.7|18.63|N/A| U.S. Dollar| 33.44%| Developed Markets|Alternatives|Long-Short||FLSP|6|2.ASSET|Alternatives|55.7|4.38|N/A| EQUITY OTHER| 7.87%| Developed Markets|Alternatives|Long-Short||FLSP|6|3.ASSET|Alternatives|55.7|1.25|MSFT| Microsoft Corporation| 2.25%| Developed Markets|Alternatives|Long-Short||FLSP|6|4.ASSET|Alternatives|55.7|0.71|GOOG| Alphabet Inc. Class C| 1.28%| Developed Markets|Alternatives|Long-Short||FLSP|6|5.ASSET|Alternatives|55.7|0.56|ABBV| AbbVie, Inc.| 1.01%| Developed Markets|Alternatives|Long-Short||FLSP|6|6.ASSET|Alternatives|55.7|0.54|HD| Home Depot, Inc.| 0.97%| Developed Markets|Alternatives|Long-Short||FLSP|6|7.ASSET|Alternatives|55.7|0.53|WMT| Walmart Inc.| 0.95%| Developed Markets|Alternatives|Long-Short||FLSP|6|8.ASSET|Alternatives|55.7|0.52|SHEL| Shell PLC| 0.94%| Developed Markets|Alternatives|Long-Short||FLSP|6|9.ASSET|Alternatives|55.7|0.52|PFE| Pfizer Inc.| 0.94%| Developed Markets|Alternatives|Long-Short||FLSP|6|10.ASSET|Alternatives|55.7|0.52|UNP| Union Pacific Corporation| 0.93%| Developed Markets|Alternatives|Long-Short||FLSP|6|11.ASSET|Alternatives|55.7|0.51|LOW| Lowe\'s Companies, Inc.| 0.91%| Developed Markets|Alternatives|Long-Short||FLSP|6|12.ASSET|Alternatives|55.7|0.5|QCOM| Qualcomm Inc| 0.90%| Developed Markets|Alternatives|Long-Short||FLSP|6|13.ASSET|Alternatives|55.7|0.5|TXN| Texas Instruments Incorporated| 0.90%| Developed Markets|Alternatives|Long-Short||FLSP|6|14.ASSET|Alternatives|55.7|0.5|ACN| Accenture Plc Class A| 0.89%| Developed Markets|Alternatives|Long-Short||FLSP|6|15.ASSET|Alternatives|55.7|0.5|INTC| Intel Corporation| 0.89%| North America|Bond|Money Market|International Corporate|ARCM|6|1.ASSET|Bond|50.8|1.68|N/A| United States Treasury Notes 0.125% 31-JAN-2023| 3.30%| North America|Bond|Money Market|International Corporate|ARCM|6|2.ASSET|Bond|50.8|1.37|N/A| CORPORATE BOND| 2.69%| North America|Bond|Money Market|International Corporate|ARCM|6|3.ASSET|Bond|50.8|1.34|N/A| Synchrony Financial 2.85% 25-JUL-2022| 2.64%| North America|Bond|Money Market|International Corporate|ARCM|6|4.ASSET|Bond|50.8|1.14|N/A| Viatris Inc. 1.125% 22-JUN-2022| 2.24%| North America|Bond|Money Market|International Corporate|ARCM|6|5.ASSET|Bond|50.8|1.13|N/A| Caterpillar Financial Services Corporation FRN 10-JAN-2024| 2.22%| North America|Bond|Money Market|International Corporate|ARCM|6|6.ASSET|Bond|50.8|1.12|N/A| CVS Health Corporation 3.5% 20-JUL-2022| 2.20%| North America|Bond|Money Market|International Corporate|ARCM|6|7.ASSET|Bond|50.8|1.07|N/A| Whirlpool Corporation 3.7% 01-MAR-2023| 2.11%| North America|Bond|Money Market|International Corporate|ARCM|6|8.ASSET|Bond|50.8|1.07|N/A| Discover Bank 3.35% 06-FEB-2023| 2.10%| North America|Bond|Money Market|International Corporate|ARCM|6|9.ASSET|Bond|50.8|1.03|N/A| J.B. Hunt Transport Services, Inc. 3.3% 15-AUG-2022| 2.03%| North America|Bond|Money Market|International Corporate|ARCM|6|10.ASSET|Bond|50.8|1.03|N/A| Cigna Corporation 3.05% 30-NOV-2022| 2.03%| North America|Bond|Money Market|International Corporate|ARCM|6|11.ASSET|Bond|50.8|1.02|N/A| Norfolk Southern Corporation 3.0% 01-APR-2022| 2.00%| North America|Bond|Money Market|International Corporate|ARCM|6|12.ASSET|Bond|50.8|1.02|N/A| American Honda Finance Corp. 2.6% 16-NOV-2022| 2.00%| North America|Bond|Money Market|International Corporate|ARCM|6|13.ASSET|Bond|50.8|1.01|N/A| Illinois St Sales Tax Rev 2.931% 15-JUN-2022| 1.99%| North America|Bond|Money Market|International Corporate|ARCM|6|14.ASSET|Bond|50.8|1.01|N/A| Connecticut St Hsg Fin Auth St-Supported Spl Oblig 0.45% 15-JUN-2022| 1.98%| North America|Bond|Money Market|International Corporate|ARCM|6|15.ASSET|Bond|50.8|0.98|N/A| Dominion Energy, Inc. 2.75% 15-SEP-2022| 1.93%| Developed Markets|Equity|Volatility Hedged Equity||IJUL|6|1.ASSET|Equity|55.7|55.55|N/A| OPTIONS| 99.73%| Developed Markets|Equity|Volatility Hedged Equity||IJUL|6|2.ASSET|Equity|55.7|55.55|N/A| OPTIONS| 99.73%| Developed Markets|Equity|Volatility Hedged Equity||IJUL|6|3.ASSET|Equity|55.7|0.15|N/A| U.S. Dollar| 0.27%| Developed Markets|Equity|Volatility Hedged Equity||IJUL|6|4.ASSET|Equity|55.7|0.15|N/A| U.S. Dollar| 0.27%| North America|Multi-Asset|Diversified Portfolio||PWS|6|1.ASSET|Multi-Asset|44.7|33|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 73.83%| North America|Multi-Asset|Diversified Portfolio||PWS|6|2.ASSET|Multi-Asset|44.7|33|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 73.83%| North America|Multi-Asset|Diversified Portfolio||PWS|6|3.ASSET|Multi-Asset|44.7|11.7|N/A| U.S. Dollar| 26.17%| North America|Multi-Asset|Diversified Portfolio||PWS|6|4.ASSET|Multi-Asset|44.7|11.7|N/A| U.S. Dollar| 26.17%| North America|Multi-Asset|Diversified Portfolio||PWS|6|5.ASSET|Multi-Asset|44.7|0|N/A| EQUITY OTHER| 0.01%| North America|Multi-Asset|Diversified Portfolio||PWS|6|6.ASSET|Multi-Asset|44.7|0|N/A| EQUITY OTHER| 0.01%| North America|Alternatives|Hedge Fund||CPI|6|1.ASSET|Alternatives|24.9|1.59|COMT| iShares U.S. ETF Trust iShares GSCI Commodity Dynamic Roll Strategy ETF| 6.37%| North America|Alternatives|Hedge Fund||CPI|6|2.ASSET|Alternatives|24.9|1.03|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 4.13%| North America|Alternatives|Hedge Fund||CPI|6|3.ASSET|Alternatives|24.9|0.75|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 3.01%| North America|Alternatives|Hedge Fund||CPI|6|4.ASSET|Alternatives|24.9|0.72|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 2.88%| North America|Alternatives|Hedge Fund||CPI|6|5.ASSET|Alternatives|24.9|0.67|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 2.68%| North America|Alternatives|Hedge Fund||CPI|6|6.ASSET|Alternatives|24.9|0.66|N/A| United States Treasury Notes 0.625% 15-APR-2023| 2.66%| North America|Alternatives|Hedge Fund||CPI|6|7.ASSET|Alternatives|24.9|0.65|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 2.62%| North America|Alternatives|Hedge Fund||CPI|6|8.ASSET|Alternatives|24.9|0.63|N/A| Government of the United States of America 0.125% 15-OCT-2026| 2.53%| North America|Alternatives|Hedge Fund||CPI|6|9.ASSET|Alternatives|24.9|0.6|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 2.40%| North America|Alternatives|Hedge Fund||CPI|6|10.ASSET|Alternatives|24.9|0.59|N/A| Government of the United States of America 0.125% 15-OCT-2025| 2.35%| North America|Alternatives|Hedge Fund||CPI|6|11.ASSET|Alternatives|24.9|0.58|N/A| Government of the United States of America 0.125% 15-OCT-2024| 2.34%| North America|Alternatives|Hedge Fund||CPI|6|12.ASSET|Alternatives|24.9|0.57|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 2.27%| North America|Alternatives|Hedge Fund||CPI|6|13.ASSET|Alternatives|24.9|0.56|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 2.24%| North America|Alternatives|Hedge Fund||CPI|6|14.ASSET|Alternatives|24.9|0.53|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 2.14%| North America|Alternatives|Hedge Fund||CPI|6|15.ASSET|Alternatives|24.9|0.48|N/A| United States Treasury Notes 0.125% 15-JAN-2023| 1.93%| Developed Markets|Equity|Global Equities|Technology|IVES|6|1.ASSET|Equity|38.4|2.46|VALT| ETFMG Sit Ultra Short ETF| 6.41%| Developed Markets|Equity|Global Equities|Technology|IVES|6|2.ASSET|Equity|38.4|1.92|OTEX| Open Text Corporation| 5.00%| Developed Markets|Equity|Global Equities|Technology|IVES|6|3.ASSET|Equity|38.4|1.74|GDS| GDS Holdings Ltd. Sponsored ADR Class A| 4.52%| Developed Markets|Equity|Global Equities|Technology|IVES|6|4.ASSET|Equity|38.4|1.62|NICE| NICE Ltd| 4.22%| Developed Markets|Equity|Global Equities|Technology|IVES|6|5.ASSET|Equity|38.4|1.5|ESTC| Elastic NV| 3.91%| Developed Markets|Equity|Global Equities|Technology|IVES|6|6.ASSET|Equity|38.4|1.44|SINCH| Sinch AB| 3.74%| Developed Markets|Equity|Global Equities|Technology|IVES|6|7.ASSET|Equity|38.4|1.43|4739| Itochu Techno-Solutions Corporation| 3.72%| Developed Markets|Equity|Global Equities|Technology|IVES|6|8.ASSET|Equity|38.4|1.42|DDOG| Datadog Inc Class A| 3.71%| Developed Markets|Equity|Global Equities|Technology|IVES|6|9.ASSET|Equity|38.4|1.32|NTAP| NetApp, Inc.| 3.44%| Developed Markets|Equity|Global Equities|Technology|IVES|6|10.ASSET|Equity|38.4|1.23|9719| SCSK Corporation| 3.20%| Developed Markets|Equity|Global Equities|Technology|IVES|6|11.ASSET|Equity|38.4|1.2|ZEN| Zendesk, Inc.| 3.13%| Developed Markets|Equity|Global Equities|Technology|IVES|6|12.ASSET|Equity|38.4|1.16|MDB| MongoDB, Inc. Class A| 3.03%| Developed Markets|Equity|Global Equities|Technology|IVES|6|13.ASSET|Equity|38.4|1.06|NET| Cloudflare Inc Class A| 2.75%| Developed Markets|Equity|Global Equities|Technology|IVES|6|14.ASSET|Equity|38.4|1.03|CTXS| Citrix Systems, Inc.| 2.67%| Developed Markets|Equity|Global Equities|Technology|IVES|6|15.ASSET|Equity|38.4|0.92|CONE| CyrusOne Inc.| 2.40%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|1.ASSET|Bond|50.9|0.73|N/A| CORPORATE BOND| 1.44%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|2.ASSET|Bond|50.9|0.73|N/A| CORPORATE BOND| 1.43%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|3.ASSET|Bond|50.9|0.64|N/A| HCA, Inc. 5.0% 15-MAR-2024| 1.25%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|4.ASSET|Bond|50.9|0.63|N/A| HCA, Inc. 5.0% 15-MAR-2024| 1.23%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|5.ASSET|Bond|50.9|0.53|N/A| Bank of America Corporation 3.004% 20-DEC-2023| 1.05%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|6.ASSET|Bond|50.9|0.52|N/A| Bank of America Corporation 3.004% 20-DEC-2023| 1.03%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|7.ASSET|Bond|50.9|0.5|N/A| AerCap Ireland Capital DAC 6.5% 15-JUL-2025| 0.98%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|8.ASSET|Bond|50.9|0.49|N/A| AerCap Ireland Capital DAC 6.5% 15-JUL-2025| 0.97%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|9.ASSET|Bond|50.9|0.47|N/A| NatWest Group Plc 6.125% 15-DEC-2022| 0.92%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|10.ASSET|Bond|50.9|0.46|N/A| NatWest Group Plc 6.125% 15-DEC-2022| 0.90%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|11.ASSET|Bond|50.9|0.44|N/A| Citigroup Inc. 3.352% 24-APR-2025| 0.86%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|12.ASSET|Bond|50.9|0.43|N/A| Citigroup Inc. 3.352% 24-APR-2025| 0.85%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|13.ASSET|Bond|50.9|0.37|N/A| NatWest Group Plc 5.125% 28-MAY-2024| 0.73%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|14.ASSET|Bond|50.9|0.37|N/A| NatWest Group Plc 5.125% 28-MAY-2024| 0.72%| Developed Markets|Bond|Corporate Bonds|Investment Grade Corporate|JIGB|6|15.ASSET|Bond|50.9|0.37|N/A| Verizon Communications Inc. 3.4% 22-MAR-2041| 0.72%| North America|Equity|Leveraged Equities||FRLG|6|1.ASSET|Equity|0|0|AAPL| Apple Inc| 11.23%| North America|Equity|Leveraged Equities||FRLG|6|2.ASSET|Equity|0|0|MSFT| Microsoft Corp| 9.47%| North America|Equity|Leveraged Equities||FRLG|6|3.ASSET|Equity|0|0|AMZN| Amazon.com Inc| 8.14%| North America|Equity|Leveraged Equities||FRLG|6|4.ASSET|Equity|0|0|FB| Facebook Inc| 3.84%| North America|Equity|Leveraged Equities||FRLG|6|5.ASSET|Equity|0|0|GOOGL| Alphabet Inc| 2.08%| North America|Equity|Leveraged Equities||FRLG|6|6.ASSET|Equity|0|0|GOOG| Alphabet Inc| 2.06%| North America|Equity|Leveraged Equities||FRLG|6|7.ASSET|Equity|0|0|V| Visa Inc| 2.05%| North America|Equity|Leveraged Equities||FRLG|6|8.ASSET|Equity|0|0|NVDA| NVIDIA Corp| 1.91%| North America|Equity|Leveraged Equities||FRLG|6|9.ASSET|Equity|0|0|TSLA| Tesla Inc| 1.89%| North America|Equity|Leveraged Equities||FRLG|6|10.ASSET|Equity|0|0|MA| Mastercard Inc| 1.81%| North America|Equity|Leveraged Equities||FRLG|6|11.ASSET|Equity|0|0|UNH| UnitedHealth Group Inc| 1.46%| North America|Equity|Leveraged Equities||FRLG|6|12.ASSET|Equity|0|0|ADBE| Adobe Inc| 1.44%| North America|Equity|Leveraged Equities||FRLG|6|13.ASSET|Equity|0|0|PYPL| PayPal Holdings Inc| 1.39%| North America|Equity|Leveraged Equities||FRLG|6|14.ASSET|Equity|0|0|NFLX| Netflix Inc| 1.28%| North America|Equity|Leveraged Equities||FRLG|6|15.ASSET|Equity|0|0|CRM| Salesforce.Com Inc| 1.21%| North America|Equity|Mid Cap Growth Equities||GLRY|6|1.ASSET|Equity|25.7|1.07|FWRD| Forward Air Corporation| 4.17%| North America|Equity|Mid Cap Growth Equities||GLRY|6|2.ASSET|Equity|25.7|1.04|TRTN| Triton International Ltd. Class A| 4.05%| North America|Equity|Mid Cap Growth Equities||GLRY|6|3.ASSET|Equity|25.7|1.02|LPX| Louisiana-Pacific Corporation| 3.97%| North America|Equity|Mid Cap Growth Equities||GLRY|6|4.ASSET|Equity|25.7|1|WD| Walker & Dunlop, Inc.| 3.91%| North America|Equity|Mid Cap Growth Equities||GLRY|6|5.ASSET|Equity|25.7|0.93|WLK| Westlake Corporation| 3.61%| North America|Equity|Mid Cap Growth Equities||GLRY|6|6.ASSET|Equity|25.7|0.92|MKSI| MKS Instruments, Inc.| 3.58%| North America|Equity|Mid Cap Growth Equities||GLRY|6|7.ASSET|Equity|25.7|0.88|OZK| Bank OZK| 3.41%| North America|Equity|Mid Cap Growth Equities||GLRY|6|8.ASSET|Equity|25.7|0.85|HRB| H&R Block, Inc.| 3.29%| North America|Equity|Mid Cap Growth Equities||GLRY|6|9.ASSET|Equity|25.7|0.83|FRT| Federal Realty Investment Trust| 3.22%| North America|Equity|Mid Cap Growth Equities||GLRY|6|10.ASSET|Equity|25.7|0.82|MDC| M.D.C. Holdings, Inc.| 3.19%| North America|Equity|Mid Cap Growth Equities||GLRY|6|11.ASSET|Equity|25.7|0.82|TX| Ternium S.A. Sponsored ADR| 3.18%| North America|Equity|Mid Cap Growth Equities||GLRY|6|12.ASSET|Equity|25.7|0.79|LFUS| Littelfuse, Inc.| 3.07%| North America|Equity|Mid Cap Growth Equities||GLRY|6|13.ASSET|Equity|25.7|0.77|TTGT| TechTarget, Inc.| 3.01%| North America|Equity|Mid Cap Growth Equities||GLRY|6|14.ASSET|Equity|25.7|0.77|VMI| Valmont Industries, Inc.| 3.00%| North America|Equity|Mid Cap Growth Equities||GLRY|6|15.ASSET|Equity|25.7|0.74|AMG| Affiliated Managers Group, Inc.| 2.89%| North America|Equity|Large Cap Growth Equities|Technology|ARMR|6|1.ASSET|Equity|75.7|40.34|VFH| Vanguard Financials ETF| 53.29%| North America|Equity|Large Cap Growth Equities|Technology|ARMR|6|2.ASSET|Equity|75.7|21.99|VDC| Vanguard Consumer Staples ETF| 29.05%| North America|Equity|Large Cap Growth Equities|Technology|ARMR|6|3.ASSET|Equity|75.7|13.18|VDE| Vanguard Energy ETF| 17.41%| North America|Equity|Leveraged Equities||UMDD|6|1.ASSET|Equity|43.7|9.47|N/A| FIXED INCOME (UNCLASSFIED)| 21.67%| North America|Equity|Leveraged Equities||UMDD|6|2.ASSET|Equity|43.7|3.59|N/A| U.S. Dollar| 8.22%| North America|Equity|Leveraged Equities||UMDD|6|3.ASSET|Equity|43.7|0.23|CPT| Camden Property Trust| 0.52%| North America|Equity|Leveraged Equities||UMDD|6|4.ASSET|Equity|43.7|0.21|AA| Alcoa Corporation| 0.47%| North America|Equity|Leveraged Equities||UMDD|6|5.ASSET|Equity|43.7|0.21|TRGP| Targa Resources Corp.| 0.47%| North America|Equity|Leveraged Equities||UMDD|6|6.ASSET|Equity|43.7|0.2|BLDR| Builders FirstSource, Inc.| 0.45%| North America|Equity|Leveraged Equities||UMDD|6|7.ASSET|Equity|43.7|0.19|STLD| Steel Dynamics, Inc.| 0.43%| North America|Equity|Leveraged Equities||UMDD|6|8.ASSET|Equity|43.7|0.18|FICO| Fair Isaac Corporation| 0.41%| North America|Equity|Leveraged Equities||UMDD|6|9.ASSET|Equity|43.7|0.17|FHN| First Horizon Corporation| 0.39%| North America|Equity|Leveraged Equities||UMDD|6|10.ASSET|Equity|43.7|0.17|JLL| Jones Lang LaSalle Incorporated| 0.38%| North America|Equity|Leveraged Equities||UMDD|6|11.ASSET|Equity|43.7|0.17|DAR| Darling Ingredients Inc.| 0.38%| North America|Equity|Leveraged Equities||UMDD|6|12.ASSET|Equity|43.7|0.16|MPW| Medical Properties Trust, Inc.| 0.37%| North America|Equity|Leveraged Equities||UMDD|6|13.ASSET|Equity|43.7|0.16|GGG| Graco Inc.| 0.37%| North America|Equity|Leveraged Equities||UMDD|6|14.ASSET|Equity|43.7|0.16|CSL| Carlisle Companies Incorporated| 0.37%| North America|Equity|Leveraged Equities||UMDD|6|15.ASSET|Equity|43.7|0.16|CGNX| Cognex Corporation| 0.36%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|1.ASSET|Equity|87.3|10.02|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 11.48%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|2.ASSET|Equity|87.3|5.35|005930| Samsung Electronics Co., Ltd.| 6.13%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|3.ASSET|Equity|87.3|2.41|N/A| EQUITY OTHER| 2.76%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|4.ASSET|Equity|87.3|1.99|INFY| Infosys Limited Sponsored ADR| 2.28%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|5.ASSET|Equity|87.3|1.87|HDB| HDFC Bank Limited Sponsored ADR| 2.14%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|6.ASSET|Equity|87.3|1.82|VALE3| Vale S.A.| 2.08%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|7.ASSET|Equity|87.3|1.71|IBN| ICICI Bank Limited Sponsored ADR| 1.96%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|8.ASSET|Equity|87.3|1.67|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.91%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|9.ASSET|Equity|87.3|1.33|2454| MediaTek Inc| 1.52%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|10.ASSET|Equity|87.3|1.32|000660| SK hynix Inc| 1.51%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|11.ASSET|Equity|87.3|1.3|BBCA| PT Bank Central Asia Tbk| 1.49%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|12.ASSET|Equity|87.3|1.23|2317| Hon Hai Precision Industry Co., Ltd.| 1.41%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|13.ASSET|Equity|87.3|1.18|NPN| Naspers Limited Class N| 1.35%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|14.ASSET|Equity|87.3|1.12|500010| Housing Development Finance Corporation Limited| 1.28%| Emerging Markets|Equity|Emerging Markets Equities||XCEM|6|15.ASSET|Equity|87.3|1.07|PETR4| Petroleo Brasileiro SA Pfd| 1.23%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|1.ASSET|Equity|43.3|1.13|PSN| Parsons Corporation| 2.62%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|2.ASSET|Equity|43.3|1.1|REZI| Resideo Technologies, Inc.| 2.54%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|3.ASSET|Equity|43.3|1.04|AYI| Acuity Brands, Inc.| 2.40%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|4.ASSET|Equity|43.3|1.03|HON| Honeywell International Inc.| 2.38%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|5.ASSET|Equity|43.3|1.03|BE| Bloom Energy Corporation Class A| 2.37%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|6.ASSET|Equity|43.3|1.02|AQUA| Evoqua Water Technologies Corp| 2.36%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|7.ASSET|Equity|43.3|1.02|AY| Atlantica Sustainable Infrastructure plc| 2.35%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|8.ASSET|Equity|43.3|1.01|BMI| Badger Meter, Inc.| 2.34%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|9.ASSET|Equity|43.3|0.99|ADT| ADT, Inc.| 2.29%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|10.ASSET|Equity|43.3|0.96|ERII| Energy Recovery, Inc.| 2.21%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|11.ASSET|Equity|43.3|0.95|EVGO| EVgo, Inc. Class A| 2.19%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|12.ASSET|Equity|43.3|0.94|QRVO| Qorvo, Inc.| 2.18%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|13.ASSET|Equity|43.3|0.94|SU| Suncor Energy Inc.| 2.16%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|14.ASSET|Equity|43.3|0.91|PTRA| Proterra Inc.| 2.11%| Developed Markets|Equity|Global Equities|Materials|SIMS|6|15.ASSET|Equity|43.3|0.91|ALRM| Alarm.com Holdings, Inc.| 2.10%| North America|Equity|Volatility Hedged Equity||UAPR|6|1.ASSET|Equity|39.8|39.79|N/A| OPTIONS| 99.97%| North America|Equity|Volatility Hedged Equity||UAPR|6|2.ASSET|Equity|39.8|0.01|N/A| U.S. Dollar| 0.03%| North America|Equity|Volatility Hedged Equity||DOCT|6|1.ASSET|Equity|106.1|105.21|N/A| OPTIONS| 99.16%| North America|Equity|Volatility Hedged Equity||DOCT|6|2.ASSET|Equity|106.1|105.21|N/A| OPTIONS| 99.16%| North America|Equity|Volatility Hedged Equity||DOCT|6|3.ASSET|Equity|106.1|0.89|N/A| U.S. Dollar| 0.84%| North America|Equity|Volatility Hedged Equity||DOCT|6|4.ASSET|Equity|106.1|0.89|N/A| U.S. Dollar| 0.84%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|1.ASSET|Equity|61.4|1.5|AAPL| Apple Inc.| 2.45%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|2.ASSET|Equity|61.4|1.33|MSFT| Microsoft Corporation| 2.16%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|3.ASSET|Equity|61.4|0.9|JNJ| Johnson & Johnson| 1.46%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|4.ASSET|Equity|61.4|0.84|NESN| Nestle S.A.| 1.36%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|5.ASSET|Equity|61.4|0.82|ROG| Roche Holding Ltd| 1.33%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|6.ASSET|Equity|61.4|0.76|NVDA| NVIDIA Corporation| 1.23%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|7.ASSET|Equity|61.4|0.75|GOOG| Alphabet Inc. Class C| 1.22%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|8.ASSET|Equity|61.4|0.71|FB| Meta Platforms Inc. Class A| 1.15%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|9.ASSET|Equity|61.4|0.69|UNH| UnitedHealth Group Incorporated| 1.12%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|10.ASSET|Equity|61.4|0.63|V| Visa Inc. Class A| 1.03%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|11.ASSET|Equity|61.4|0.6|NOVO.B| Novo Nordisk A/S Class B| 0.98%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|12.ASSET|Equity|61.4|0.56|GOOGL| Alphabet Inc. Class A| 0.92%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|13.ASSET|Equity|61.4|0.5|ADBE| Adobe Inc.| 0.82%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|14.ASSET|Equity|61.4|0.5|CSCO| Cisco Systems, Inc.| 0.82%| Developed Markets|Equity|Large Cap Growth Equities||QWLD|6|15.ASSET|Equity|61.4|0.5|VZ| Verizon Communications Inc.| 0.81%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|1.ASSET|Alternatives|65.9|2.12|VNE| Veoneer, Inc.| 3.22%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|2.ASSET|Alternatives|65.9|1.99|ISBC| Investors Bancorp Inc| 3.02%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|3.ASSET|Alternatives|65.9|1.98|SJR.B| Shaw Communications Inc. Class B| 3.01%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|4.ASSET|Alternatives|65.9|1.96|ARNA| Arena Pharmaceuticals, Inc.| 2.98%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|5.ASSET|Alternatives|65.9|1.92|CONE| CyrusOne Inc.| 2.91%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|6.ASSET|Alternatives|65.9|1.92|CERN| Cerner Corporation| 2.91%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|7.ASSET|Alternatives|65.9|1.91|ROG| Rogers Corporation| 2.90%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|8.ASSET|Alternatives|65.9|1.91|ZNGA| Zynga Inc. Class A| 2.90%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|9.ASSET|Alternatives|65.9|1.91|NUAN| Nuance Communications Incorporated| 2.90%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|10.ASSET|Alternatives|65.9|1.91|SJI| South Jersey Industries, Inc.| 2.90%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|11.ASSET|Alternatives|65.9|1.9|TGNA| TEGNA, Inc.| 2.89%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|12.ASSET|Alternatives|65.9|1.9|ZGNX| Zogenix, Inc.| 2.89%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|13.ASSET|Alternatives|65.9|1.88|KRA| Kraton Corporation| 2.86%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|14.ASSET|Alternatives|65.9|1.88|MIME| Mimecast Limited| 2.86%| Developed Markets|Alternatives|Hedge Fund||MRGR|6|15.ASSET|Alternatives|65.9|1.88|APR| Apria, Inc.| 2.86%| Developed Markets|Bond|High Yield Bonds|Junk|WBII|6|1.ASSET|Bond|48.4|11.69|BIL| SPDR Bloomberg 1-3 Month T-Bill ETF| 24.16%| Developed Markets|Bond|High Yield Bonds|Junk|WBII|6|2.ASSET|Bond|48.4|11.69|SHV| iShares Short Treasury Bond ETF| 24.15%| Developed Markets|Bond|High Yield Bonds|Junk|WBII|6|3.ASSET|Bond|48.4|11.13|SHYG| iShares 0-5 Year High Yield Corporate Bond ETF| 22.99%| Developed Markets|Bond|High Yield Bonds|Junk|WBII|6|4.ASSET|Bond|48.4|11.12|SJNK| SPDR Bloomberg Short Term High Yield Bond ETF| 22.98%| Developed Markets|Bond|High Yield Bonds|Junk|WBII|6|5.ASSET|Bond|48.4|2.65|SCHO| Schwab Short-Term US Treasury ETF| 5.48%| Developed Markets|Bond|High Yield Bonds|Junk|WBII|6|6.ASSET|Bond|48.4|0.12|N/A| U.S. Dollar| 0.24%| North America|Equity|All Cap Equities||VFLQ|6|1.ASSET|Equity|48.7|0.59|MMC| Marsh & McLennan Companies, Inc.| 1.21%| North America|Equity|All Cap Equities||VFLQ|6|2.ASSET|Equity|48.7|0.57|EW| Edwards Lifesciences Corporation| 1.17%| North America|Equity|All Cap Equities||VFLQ|6|3.ASSET|Equity|48.7|0.57|ITW| Illinois Tool Works Inc.| 1.17%| North America|Equity|All Cap Equities||VFLQ|6|4.ASSET|Equity|48.7|0.56|APH| Amphenol Corporation Class A| 1.15%| North America|Equity|All Cap Equities||VFLQ|6|5.ASSET|Equity|48.7|0.55|WM| Waste Management, Inc.| 1.12%| North America|Equity|All Cap Equities||VFLQ|6|6.ASSET|Equity|48.7|0.48|GD| General Dynamics Corporation| 0.99%| North America|Equity|All Cap Equities||VFLQ|6|7.ASSET|Equity|48.7|0.46|MCO| Moody\'s Corporation| 0.95%| North America|Equity|All Cap Equities||VFLQ|6|8.ASSET|Equity|48.7|0.42|HCA| HCA Healthcare Inc| 0.87%| North America|Equity|All Cap Equities||VFLQ|6|9.ASSET|Equity|48.7|0.41|SNPS| Synopsys, Inc.| 0.84%| North America|Equity|All Cap Equities||VFLQ|6|10.ASSET|Equity|48.7|0.39|SYK| Stryker Corporation| 0.81%| North America|Equity|All Cap Equities||VFLQ|6|11.ASSET|Equity|48.7|0.38|ETN| Eaton Corp. Plc| 0.79%| North America|Equity|All Cap Equities||VFLQ|6|12.ASSET|Equity|48.7|0.37|ROP| Roper Technologies, Inc.| 0.75%| North America|Equity|All Cap Equities||VFLQ|6|13.ASSET|Equity|48.7|0.37|ZTS| Zoetis, Inc. Class A| 0.75%| North America|Equity|All Cap Equities||VFLQ|6|14.ASSET|Equity|48.7|0.35|IDXX| IDEXX Laboratories, Inc.| 0.72%| North America|Equity|All Cap Equities||VFLQ|6|15.ASSET|Equity|48.7|0.35|IQV| IQVIA Holdings Inc| 0.71%| North America|Alternatives|Long-Short||HDG|6|1.ASSET|Alternatives|49|31.51|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 64.30%| North America|Alternatives|Long-Short||HDG|6|2.ASSET|Alternatives|49|5.76|N/A| U.S. Dollar| 11.76%| North America|Alternatives|Long-Short||HDG|6|3.ASSET|Alternatives|49|0.05|OVV| Ovintiv Inc| 0.11%| North America|Alternatives|Long-Short||HDG|6|4.ASSET|Alternatives|49|0.04|AMC| AMC Entertainment Holdings, Inc. Class A| 0.09%| North America|Alternatives|Long-Short||HDG|6|5.ASSET|Alternatives|49|0.04|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.08%| North America|Alternatives|Long-Short||HDG|6|6.ASSET|Alternatives|49|0.04|THC| Tenet Healthcare Corporation| 0.08%| North America|Alternatives|Long-Short||HDG|6|7.ASSET|Alternatives|49|0.04|CHK| Chesapeake Energy Corporation| 0.08%| North America|Alternatives|Long-Short||HDG|6|8.ASSET|Alternatives|49|0.04|TTEK| Tetra Tech, Inc.| 0.08%| North America|Alternatives|Long-Short||HDG|6|9.ASSET|Alternatives|49|0.04|SYNA| Synaptics Incorporated| 0.08%| North America|Alternatives|Long-Short||HDG|6|10.ASSET|Alternatives|49|0.04|PFGC| Performance Food Group Company| 0.08%| North America|Alternatives|Long-Short||HDG|6|11.ASSET|Alternatives|49|0.03|M| Macy\'s Inc| 0.07%| North America|Alternatives|Long-Short||HDG|6|12.ASSET|Alternatives|49|0.03|IIVI| II-VI Incorporated| 0.07%| North America|Alternatives|Long-Short||HDG|6|13.ASSET|Alternatives|49|0.03|LSCC| Lattice Semiconductor Corporation| 0.07%| North America|Alternatives|Long-Short||HDG|6|14.ASSET|Alternatives|49|0.03|EGP| EastGroup Properties, Inc.| 0.07%| North America|Alternatives|Long-Short||HDG|6|15.ASSET|Alternatives|49|0.03|SAIA| Saia, Inc.| 0.07%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|1.ASSET|Bond|65.7|2.85|N/A| San Diego Cnty Calif Wtr Auth Wtr Rev 5.0% 01-MAY-2026| 4.34%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|2.ASSET|Bond|65.7|2.85|N/A| San Diego Cnty Calif Wtr Auth Wtr Rev 5.0% 01-MAY-2026| 4.34%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|3.ASSET|Bond|65.7|1.56|N/A| University Va Univ Revs 5.0% 01-JUN-2037| 2.38%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|4.ASSET|Bond|65.7|1.56|N/A| University Va Univ Revs 5.0% 01-JUN-2037| 2.38%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|5.ASSET|Bond|65.7|1.13|N/A| New York N Y 5.0% 01-AUG-2022| 1.72%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|6.ASSET|Bond|65.7|1.13|N/A| New York N Y 5.0% 01-AUG-2022| 1.72%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|7.ASSET|Bond|65.7|1.04|N/A| Michigan Fin Auth Rev 5.0% 01-DEC-2047| 1.59%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|8.ASSET|Bond|65.7|1.04|N/A| Michigan Fin Auth Rev 5.0% 01-DEC-2047| 1.59%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|9.ASSET|Bond|65.7|1.04|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-OCT-2022| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|10.ASSET|Bond|65.7|1.04|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-OCT-2022| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|11.ASSET|Bond|65.7|1.04|N/A| Tennessee St Sch Bd Auth 5.0% 01-NOV-2043| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|12.ASSET|Bond|65.7|1.04|N/A| Tennessee St Sch Bd Auth 5.0% 01-NOV-2043| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|13.ASSET|Bond|65.7|1.04|N/A| Minnesota St 5.0% 01-OCT-2022| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|14.ASSET|Bond|65.7|1.04|N/A| Minnesota St 5.0% 01-OCT-2022| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMM|6|15.ASSET|Bond|65.7|1.04|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-NOV-2022| 1.58%| Developed Markets|Equity|All Cap Equities||ABEQ|6|1.ASSET|Equity|57.6|10.79|N/A| U.S. Dollar| 18.74%| Developed Markets|Equity|All Cap Equities||ABEQ|6|2.ASSET|Equity|57.6|5.44|BRK.B| Berkshire Hathaway Inc. Class B| 9.44%| Developed Markets|Equity|All Cap Equities||ABEQ|6|3.ASSET|Equity|57.6|3.08|AEM| Agnico Eagle Mines Limited| 5.34%| Developed Markets|Equity|All Cap Equities||ABEQ|6|4.ASSET|Equity|57.6|3.07|ENB| Enbridge Inc.| 5.33%| Developed Markets|Equity|All Cap Equities||ABEQ|6|5.ASSET|Equity|57.6|3.06|L| Loews Corporation| 5.32%| Developed Markets|Equity|All Cap Equities||ABEQ|6|6.ASSET|Equity|57.6|2.39|ABX| Barrick Gold Corporation| 4.15%| Developed Markets|Equity|All Cap Equities||ABEQ|6|7.ASSET|Equity|57.6|2.38|DD| DuPont de Nemours, Inc.| 4.13%| Developed Markets|Equity|All Cap Equities||ABEQ|6|8.ASSET|Equity|57.6|2.38|VZ| Verizon Communications Inc.| 4.13%| Developed Markets|Equity|All Cap Equities||ABEQ|6|9.ASSET|Equity|57.6|2.14|D| Dominion Energy Inc| 3.72%| Developed Markets|Equity|All Cap Equities||ABEQ|6|10.ASSET|Equity|57.6|2.07|UL| Unilever PLC Sponsored ADR| 3.60%| Developed Markets|Equity|All Cap Equities||ABEQ|6|11.ASSET|Equity|57.6|2.02|MRK| Merck & Co., Inc.| 3.51%| Developed Markets|Equity|All Cap Equities||ABEQ|6|12.ASSET|Equity|57.6|1.98|TRV| Travelers Companies, Inc.| 3.43%| Developed Markets|Equity|All Cap Equities||ABEQ|6|13.ASSET|Equity|57.6|1.94|CTVA| Corteva Inc| 3.36%| Developed Markets|Equity|All Cap Equities||ABEQ|6|14.ASSET|Equity|57.6|1.93|CERN| Cerner Corporation| 3.35%| Developed Markets|Equity|All Cap Equities||ABEQ|6|15.ASSET|Equity|57.6|1.78|CSCO| Cisco Systems, Inc.| 3.09%| Developed Europe|Currency|Leveraged Currency||EUO|6|1.ASSET|Currency|51.4|51.4|N/A| euro| 100.00%| Developed Europe|Multi-Asset|Europe Equities||PTEU|6|1.ASSET|Multi-Asset|46.1|46.1|FFGRP| Folli Follie Commercial Manufacturing and Technical SA| 100.00%| North America|Equity|Mid Cap Blend Equities||FLQM|6|1.ASSET|Equity|59.6|0.75|KR| Kroger Co.| 1.26%| North America|Equity|Mid Cap Blend Equities||FLQM|6|2.ASSET|Equity|59.6|0.74|HSY| Hershey Company| 1.24%| North America|Equity|Mid Cap Blend Equities||FLQM|6|3.ASSET|Equity|59.6|0.7|ED| Consolidated Edison, Inc.| 1.18%| North America|Equity|Mid Cap Blend Equities||FLQM|6|4.ASSET|Equity|59.6|0.67|ORLY| O\'Reilly Automotive, Inc.| 1.12%| North America|Equity|Mid Cap Blend Equities||FLQM|6|5.ASSET|Equity|59.6|0.66|DFS| Discover Financial Services| 1.11%| North America|Equity|Mid Cap Blend Equities||FLQM|6|6.ASSET|Equity|59.6|0.66|FTNT| Fortinet, Inc.| 1.10%| North America|Equity|Mid Cap Blend Equities||FLQM|6|7.ASSET|Equity|59.6|0.66|CERN| Cerner Corporation| 1.10%| North America|Equity|Mid Cap Blend Equities||FLQM|6|8.ASSET|Equity|59.6|0.65|AZO| AutoZone, Inc.| 1.09%| North America|Equity|Mid Cap Blend Equities||FLQM|6|9.ASSET|Equity|59.6|0.65|HPQ| HP Inc.| 1.09%| North America|Equity|Mid Cap Blend Equities||FLQM|6|10.ASSET|Equity|59.6|0.64|PAYX| Paychex, Inc.| 1.07%| North America|Equity|Mid Cap Blend Equities||FLQM|6|11.ASSET|Equity|59.6|0.64|AVB| AvalonBay Communities, Inc.| 1.07%| North America|Equity|Mid Cap Blend Equities||FLQM|6|12.ASSET|Equity|59.6|0.63|ANET| Arista Networks, Inc.| 1.05%| North America|Equity|Mid Cap Blend Equities||FLQM|6|13.ASSET|Equity|59.6|0.62|OTIS| Otis Worldwide Corporation| 1.04%| North America|Equity|Mid Cap Blend Equities||FLQM|6|14.ASSET|Equity|59.6|0.61|O| Realty Income Corporation| 1.03%| North America|Equity|Mid Cap Blend Equities||FLQM|6|15.ASSET|Equity|59.6|0.61|RMD| ResMed Inc.| 1.03%| North America|Equity|Small Cap Blend Equities||TPSC|6|1.ASSET|Equity|55.1|0.33|TTMI| TTM Technologies, Inc.| 0.60%| North America|Equity|Small Cap Blend Equities||TPSC|6|2.ASSET|Equity|55.1|0.28|CSGS| CSG Systems International, Inc.| 0.51%| North America|Equity|Small Cap Blend Equities||TPSC|6|3.ASSET|Equity|55.1|0.26|CALM| Cal-Maine Foods, Inc.| 0.47%| North America|Equity|Small Cap Blend Equities||TPSC|6|4.ASSET|Equity|55.1|0.25|KN| Knowles Corp.| 0.46%| North America|Equity|Small Cap Blend Equities||TPSC|6|5.ASSET|Equity|55.1|0.25|CLBK| Columbia Financial, Inc.| 0.45%| North America|Equity|Small Cap Blend Equities||TPSC|6|6.ASSET|Equity|55.1|0.24|TWNK| Hostess Brands, Inc. Class A| 0.44%| North America|Equity|Small Cap Blend Equities||TPSC|6|7.ASSET|Equity|55.1|0.24|OTTR| Otter Tail Corporation| 0.43%| North America|Equity|Small Cap Blend Equities||TPSC|6|8.ASSET|Equity|55.1|0.24|CBZ| CBIZ, Inc.| 0.43%| North America|Equity|Small Cap Blend Equities||TPSC|6|9.ASSET|Equity|55.1|0.24|AVA| Avista Corporation| 0.43%| North America|Equity|Small Cap Blend Equities||TPSC|6|10.ASSET|Equity|55.1|0.24|MGEE| MGE Energy, Inc.| 0.43%| North America|Equity|Small Cap Blend Equities||TPSC|6|11.ASSET|Equity|55.1|0.23|CPK| Chesapeake Utilities Corporation| 0.42%| North America|Equity|Small Cap Blend Equities||TPSC|6|12.ASSET|Equity|55.1|0.21|GCP| GCP Applied Technologies, Inc.| 0.39%| North America|Equity|Small Cap Blend Equities||TPSC|6|13.ASSET|Equity|55.1|0.21|WABC| Westamerica Bancorporation| 0.39%| North America|Equity|Small Cap Blend Equities||TPSC|6|14.ASSET|Equity|55.1|0.21|ECPG| Encore Capital Group, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||TPSC|6|15.ASSET|Equity|55.1|0.21|SAFT| Safety Insurance Group, Inc.| 0.38%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|1.ASSET|Multi-Asset|50.2|5.25|SYLD| Cambria Shareholder Yield ETF| 10.46%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|2.ASSET|Multi-Asset|50.2|4.44|EYLD| Cambria Emerging Shareholder Yield ETF| 8.84%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|3.ASSET|Multi-Asset|50.2|3.8|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 7.57%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|4.ASSET|Multi-Asset|50.2|3.7|BLDG| Cambria Global Real Estate ETF| 7.37%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|5.ASSET|Multi-Asset|50.2|3.24|BND| Vanguard Total Bond Market ETF| 6.46%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|6.ASSET|Multi-Asset|50.2|2.72|VAMO| Cambria Value & Momentum ETF| 5.42%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|7.ASSET|Multi-Asset|50.2|2.45|GVAL| Cambria Global Value ETF| 4.88%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|8.ASSET|Multi-Asset|50.2|2.32|FYLD| Cambria Foreign Shareholder Yield ETF| 4.63%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|9.ASSET|Multi-Asset|50.2|2.09|BNDX| Vanguard Total International Bond ETF| 4.16%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|10.ASSET|Multi-Asset|50.2|2.04|QMOM| Alpha Architect U.S. Quantitative Momentum ETF| 4.07%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|11.ASSET|Multi-Asset|50.2|1.79|EMLC| VanEck J. P. Morgan EM Local Currency Bond ETF| 3.57%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|12.ASSET|Multi-Asset|50.2|1.78|VGIT| Vanguard Intermediate-Term Treasury ETF| 3.55%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|13.ASSET|Multi-Asset|50.2|1.61|VGLT| Vanguard Long-Term Treasury ETF| 3.20%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|14.ASSET|Multi-Asset|50.2|1.56|HYEM| VanEck Emerging Markets High Yield Bond ETF| 3.11%| Developed Markets|Multi-Asset|Diversified Portfolio||GAA|6|15.ASSET|Multi-Asset|50.2|1.53|SCHP| Schwab US TIPS ETF| 3.05%| North America|Equity|Volatility Hedged Equity||UJUL|6|1.ASSET|Equity|44.1|43.99|N/A| OPTIONS| 99.76%| North America|Equity|Volatility Hedged Equity||UJUL|6|2.ASSET|Equity|44.1|0.11|N/A| U.S. Dollar| 0.24%| North America|Equity|Large Cap Value Equities||TEQI|6|1.ASSET|Equity|70.9|2.64|WFC| Wells Fargo & Company| 3.73%| North America|Equity|Large Cap Value Equities||TEQI|6|2.ASSET|Equity|70.9|1.97|SO| Southern Company| 2.78%| North America|Equity|Large Cap Value Equities||TEQI|6|3.ASSET|Equity|70.9|1.92|QCOM| Qualcomm Inc| 2.71%| North America|Equity|Large Cap Value Equities||TEQI|6|4.ASSET|Equity|70.9|1.81|AIG| American International Group, Inc.| 2.55%| North America|Equity|Large Cap Value Equities||TEQI|6|5.ASSET|Equity|70.9|1.8|GE| General Electric Company| 2.54%| North America|Equity|Large Cap Value Equities||TEQI|6|6.ASSET|Equity|70.9|1.8|UPS| United Parcel Service, Inc. Class B| 2.54%| North America|Equity|Large Cap Value Equities||TEQI|6|7.ASSET|Equity|70.9|1.64|ANTM| Anthem, Inc.| 2.32%| North America|Equity|Large Cap Value Equities||TEQI|6|8.ASSET|Equity|70.9|1.64|TTE| TotalEnergies SE Sponsored ADR| 2.31%| North America|Equity|Large Cap Value Equities||TEQI|6|9.ASSET|Equity|70.9|1.53|ABBV| AbbVie, Inc.| 2.16%| North America|Equity|Large Cap Value Equities||TEQI|6|10.ASSET|Equity|70.9|1.49|BDX| Becton, Dickinson and Company| 2.10%| North America|Equity|Large Cap Value Equities||TEQI|6|11.ASSET|Equity|70.9|1.45|TSN| Tyson Foods, Inc. Class A| 2.05%| North America|Equity|Large Cap Value Equities||TEQI|6|12.ASSET|Equity|70.9|1.43|CB| Chubb Limited| 2.02%| North America|Equity|Large Cap Value Equities||TEQI|6|13.ASSET|Equity|70.9|1.34|CF| CF Industries Holdings, Inc.| 1.89%| North America|Equity|Large Cap Value Equities||TEQI|6|14.ASSET|Equity|70.9|1.33|MET| MetLife, Inc.| 1.88%| North America|Equity|Large Cap Value Equities||TEQI|6|15.ASSET|Equity|70.9|1.3|SRE| Sempra Energy| 1.83%| North America|Equity|All Cap Equities||RFFC|6|1.ASSET|Equity|33.1|1.6|AAPL| Apple Inc.| 4.82%| North America|Equity|All Cap Equities||RFFC|6|2.ASSET|Equity|33.1|1.37|MSFT| Microsoft Corporation| 4.13%| North America|Equity|All Cap Equities||RFFC|6|3.ASSET|Equity|33.1|0.76|AMZN| Amazon.com, Inc.| 2.29%| North America|Equity|All Cap Equities||RFFC|6|4.ASSET|Equity|33.1|0.57|UNH| UnitedHealth Group Incorporated| 1.72%| North America|Equity|All Cap Equities||RFFC|6|5.ASSET|Equity|33.1|0.48|JNJ| Johnson & Johnson| 1.45%| North America|Equity|All Cap Equities||RFFC|6|6.ASSET|Equity|33.1|0.47|XOM| Exxon Mobil Corporation| 1.43%| North America|Equity|All Cap Equities||RFFC|6|7.ASSET|Equity|33.1|0.46|V| Visa Inc. Class A| 1.40%| North America|Equity|All Cap Equities||RFFC|6|8.ASSET|Equity|33.1|0.45|ABBV| AbbVie, Inc.| 1.37%| North America|Equity|All Cap Equities||RFFC|6|9.ASSET|Equity|33.1|0.44|JPM| JPMorgan Chase & Co.| 1.33%| North America|Equity|All Cap Equities||RFFC|6|10.ASSET|Equity|33.1|0.43|KO| Coca-Cola Company| 1.29%| North America|Equity|All Cap Equities||RFFC|6|11.ASSET|Equity|33.1|0.39|UPS| United Parcel Service, Inc. Class B| 1.17%| North America|Equity|All Cap Equities||RFFC|6|12.ASSET|Equity|33.1|0.38|HD| Home Depot, Inc.| 1.16%| North America|Equity|All Cap Equities||RFFC|6|13.ASSET|Equity|33.1|0.38|AVGO| Broadcom Inc.| 1.15%| North America|Equity|All Cap Equities||RFFC|6|14.ASSET|Equity|33.1|0.37|MA| Mastercard Incorporated Class A| 1.13%| North America|Equity|All Cap Equities||RFFC|6|15.ASSET|Equity|33.1|0.37|FB| Meta Platforms Inc. Class A| 1.12%| Global|Equity|n/a||JZRO|6|1.ASSET|Equity|52.9|3.04|FCX| Freeport-McMoRan, Inc.| 5.75%| Global|Equity|n/a||JZRO|6|2.ASSET|Equity|52.9|2.61|AAL| Anglo American plc| 4.93%| Global|Equity|n/a||JZRO|6|3.ASSET|Equity|52.9|2.51|ADM| Archer-Daniels-Midland Company| 4.75%| Global|Equity|n/a||JZRO|6|4.ASSET|Equity|52.9|2.29|AA| Alcoa Corporation| 4.32%| Global|Equity|n/a||JZRO|6|5.ASSET|Equity|52.9|2.25|MOS| Mosaic Company| 4.26%| Global|Equity|n/a||JZRO|6|6.ASSET|Equity|52.9|2.09|APD| Air Products and Chemicals, Inc.| 3.95%| Global|Equity|n/a||JZRO|6|7.ASSET|Equity|52.9|2.04|NUE| Nucor Corporation| 3.85%| Global|Equity|n/a||JZRO|6|8.ASSET|Equity|52.9|2|NTR| Nutrien Ltd.| 3.79%| Global|Equity|n/a||JZRO|6|9.ASSET|Equity|52.9|1.79|SKG| Smurfit Kappa Group Plc| 3.39%| Global|Equity|n/a||JZRO|6|10.ASSET|Equity|52.9|1.78|CIA| Champion Iron Ltd.| 3.36%| Global|Equity|n/a||JZRO|6|11.ASSET|Equity|52.9|1.75|NXE| NexGen Energy Ltd.| 3.31%| Global|Equity|n/a||JZRO|6|12.ASSET|Equity|52.9|1.49|IVN| Ivanhoe Mines Ltd. Class A| 2.82%| Global|Equity|n/a||JZRO|6|13.ASSET|Equity|52.9|1.45|NHY| Norsk Hydro ASA| 2.75%| Global|Equity|n/a||JZRO|6|14.ASSET|Equity|52.9|1.39|BLL| Ball Corporation| 2.62%| Global|Equity|n/a||JZRO|6|15.ASSET|Equity|52.9|1.37|N/A| U.S. Dollar| 2.59%| North America|Equity|n/a||DDEC|6|1.ASSET|Equity|139.9|138.54|N/A| OPTIONS| 99.03%| North America|Equity|n/a||DDEC|6|2.ASSET|Equity|139.9|1.36|N/A| U.S. Dollar| 0.97%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|1.ASSET|Bond|59.7|1.84|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 3.09%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|2.ASSET|Bond|59.7|1.75|N/A| DISH DBS Corporation 5.875% 15-NOV-2024| 2.93%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|3.ASSET|Bond|59.7|1.72|N/A| Sprint Corp. 7.125% 15-JUN-2024| 2.88%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|4.ASSET|Bond|59.7|1.55|N/A| Global Aircraft Leasing Co. Ltd. 6.5% 15-SEP-2024| 2.59%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|5.ASSET|Bond|59.7|1.41|N/A| Telecom Italia S.p.A. 5.303% 30-MAY-2024| 2.36%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|6.ASSET|Bond|59.7|1.34|N/A| BWAY Holding Co., Inc. 5.5% 15-APR-2024| 2.24%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|7.ASSET|Bond|59.7|1.22|N/A| OneMain Finance Corporation 6.125% 15-MAR-2024| 2.04%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|8.ASSET|Bond|59.7|1.08|N/A| Alcoa Inc. 5.125% 01-OCT-2024| 1.81%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|9.ASSET|Bond|59.7|1.05|N/A| Occidental Petroleum Corporation 2.9% 15-AUG-2024| 1.76%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|10.ASSET|Bond|59.7|0.96|N/A| Icahn Enterprises L.P. 4.75% 15-SEP-2024| 1.60%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|11.ASSET|Bond|59.7|0.93|N/A| MUTUAL FUND (OTHER)| 1.56%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|12.ASSET|Bond|59.7|0.93|N/A| Six Flags Entertainment Corporation 4.875% 31-JUL-2024| 1.56%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|13.ASSET|Bond|59.7|0.93|N/A| Bombardier Inc. 7.5% 01-DEC-2024| 1.55%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|14.ASSET|Bond|59.7|0.93|N/A| Lumen Technologies, Inc. 7.5% 01-APR-2024| 1.55%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHD|6|15.ASSET|Bond|59.7|0.87|N/A| Navient Corporation 6.125% 25-MAR-2024| 1.46%| |Bond|Total Bond Market|Bank Loans|SEIX|6|1.ASSET|Bond|52.8|32.16|N/A| FIXED INCOME (UNCLASSFIED)| 60.91%| |Bond|Total Bond Market|Bank Loans|SEIX|6|2.ASSET|Bond|52.8|3.62|N/A| U.S. Dollar| 6.85%| |Bond|Total Bond Market|Bank Loans|SEIX|6|3.ASSET|Bond|52.8|1.25|N/A| TMS International Holding Corporation 6.25% 15-APR-2029| 2.36%| |Bond|Total Bond Market|Bank Loans|SEIX|6|4.ASSET|Bond|52.8|0.99|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 1.87%| |Bond|Total Bond Market|Bank Loans|SEIX|6|5.ASSET|Bond|52.8|0.95|N/A| Ahp Health Partners Inc Term Loan B 24-Aug-2028| 1.79%| |Bond|Total Bond Market|Bank Loans|SEIX|6|6.ASSET|Bond|52.8|0.85|N/A| Xplornet Communications Inc Term Loan B 02-Oct-2028| 1.61%| |Bond|Total Bond Market|Bank Loans|SEIX|6|7.ASSET|Bond|52.8|0.71|N/A| Grinding Media Inc Term Loan B 09-Sep-2028| 1.35%| |Bond|Total Bond Market|Bank Loans|SEIX|6|8.ASSET|Bond|52.8|0.71|N/A| Schweitzer Mauduit International Inc Term Loan B 27-Jan-2028| 1.34%| |Bond|Total Bond Market|Bank Loans|SEIX|6|9.ASSET|Bond|52.8|0.63|N/A| Tennessee Merger Sub Inc Term Loan B 06-Feb-2024| 1.19%| |Bond|Total Bond Market|Bank Loans|SEIX|6|10.ASSET|Bond|52.8|0.6|N/A| CORPORATE BOND| 1.14%| |Bond|Total Bond Market|Bank Loans|SEIX|6|11.ASSET|Bond|52.8|0.59|N/A| Emergent BioSolutions Inc. 3.875% 15-AUG-2028| 1.11%| |Bond|Total Bond Market|Bank Loans|SEIX|6|12.ASSET|Bond|52.8|0.56|N/A| Whole Earth Brands Inc Term Loan B 02-Feb-2028| 1.06%| |Bond|Total Bond Market|Bank Loans|SEIX|6|13.ASSET|Bond|52.8|0.49|N/A| Iliad Holding SAS 6.5% 15-OCT-2026| 0.93%| |Bond|Total Bond Market|Bank Loans|SEIX|6|14.ASSET|Bond|52.8|0.48|N/A| Connectwise Llc Term Loan B 29-Sep-2028| 0.90%| |Bond|Total Bond Market|Bank Loans|SEIX|6|15.ASSET|Bond|52.8|0.48|N/A| Southwestern Energy Co Term Loan 22-Jun-2027| 0.90%| North America|Equity|n/a||QVMS|6|1.ASSET|Equity|50.6|0.38|RRC| Range Resources Corporation| 0.76%| North America|Equity|n/a||QVMS|6|2.ASSET|Equity|50.6|0.33|OMCL| Omnicell, Inc.| 0.66%| North America|Equity|n/a||QVMS|6|3.ASSET|Equity|50.6|0.31|MTDR| Matador Resources Company| 0.62%| North America|Equity|n/a||QVMS|6|4.ASSET|Equity|50.6|0.31|GTLS| Chart Industries, Inc.| 0.61%| North America|Equity|n/a||QVMS|6|5.ASSET|Equity|50.6|0.3|ROG| Rogers Corporation| 0.60%| North America|Equity|n/a||QVMS|6|6.ASSET|Equity|50.6|0.3|VG| Vonage Holdings Corp.| 0.60%| North America|Equity|n/a||QVMS|6|7.ASSET|Equity|50.6|0.3|AMN| AMN Healthcare Services, Inc.| 0.59%| North America|Equity|n/a||QVMS|6|8.ASSET|Equity|50.6|0.28|UFPI| UFP Industries, Inc.| 0.55%| North America|Equity|n/a||QVMS|6|9.ASSET|Equity|50.6|0.27|EXPO| Exponent, Inc.| 0.54%| North America|Equity|n/a||QVMS|6|10.ASSET|Equity|50.6|0.26|MATX| Matson, Inc.| 0.52%| North America|Equity|n/a||QVMS|6|11.ASSET|Equity|50.6|0.26|SPSC| SPS Commerce, Inc.| 0.51%| North America|Equity|n/a||QVMS|6|12.ASSET|Equity|50.6|0.26|IIPR| Innovative Industrial Properties Inc| 0.51%| North America|Equity|n/a||QVMS|6|13.ASSET|Equity|50.6|0.25|LXP| LXP Industrial Trust| 0.50%| North America|Equity|n/a||QVMS|6|14.ASSET|Equity|50.6|0.25|AGO| Assured Guaranty Ltd.| 0.50%| North America|Equity|n/a||QVMS|6|15.ASSET|Equity|50.6|0.25|ENSG| Ensign Group, Inc.| 0.49%| North America|Equity|Small Cap Value Equities||DEEP|6|1.ASSET|Equity|54.2|0.79|USAK| USA Truck, Inc.| 1.45%| North America|Equity|Small Cap Value Equities||DEEP|6|2.ASSET|Equity|54.2|0.76|REGI| Renewable Energy Group, Inc.| 1.41%| North America|Equity|Small Cap Value Equities||DEEP|6|3.ASSET|Equity|54.2|0.71|AMPH| Amphastar Pharmaceuticals Inc| 1.31%| North America|Equity|Small Cap Value Equities||DEEP|6|4.ASSET|Equity|54.2|0.7|BCC| Boise Cascade Co.| 1.30%| North America|Equity|Small Cap Value Equities||DEEP|6|5.ASSET|Equity|54.2|0.7|NGVC| Natural Grocers by Vitamin Cottage, Inc.| 1.29%| North America|Equity|Small Cap Value Equities||DEEP|6|6.ASSET|Equity|54.2|0.67|HWKN| Hawkins, Inc.| 1.23%| North America|Equity|Small Cap Value Equities||DEEP|6|7.ASSET|Equity|54.2|0.66|HOPE| Hope Bancorp, Inc.| 1.22%| North America|Equity|Small Cap Value Equities||DEEP|6|8.ASSET|Equity|54.2|0.66|HOLI| Hollysys Automation Technologies Ltd.| 1.21%| North America|Equity|Small Cap Value Equities||DEEP|6|9.ASSET|Equity|54.2|0.65|EGAN| eGain Corporation| 1.20%| North America|Equity|Small Cap Value Equities||DEEP|6|10.ASSET|Equity|54.2|0.64|DHT| DHT Holdings, Inc.| 1.19%| North America|Equity|Small Cap Value Equities||DEEP|6|11.ASSET|Equity|54.2|0.63|BXC| BlueLinx Holdings Inc.| 1.17%| North America|Equity|Small Cap Value Equities||DEEP|6|12.ASSET|Equity|54.2|0.63|STRL| Sterling Construction Company, Inc.| 1.16%| North America|Equity|Small Cap Value Equities||DEEP|6|13.ASSET|Equity|54.2|0.62|RGR| Sturm, Ruger & Company, Inc.| 1.14%| North America|Equity|Small Cap Value Equities||DEEP|6|14.ASSET|Equity|54.2|0.62|CNXN| PC Connection, Inc.| 1.14%| North America|Equity|Small Cap Value Equities||DEEP|6|15.ASSET|Equity|54.2|0.61|SENEA| Seneca Foods Corporation Class A| 1.12%| North America|Equity|Global Equities|Telecom|WBIF|6|1.ASSET|Equity|48.7|5.12|N/A| U.S. Dollar| 10.51%| North America|Equity|Global Equities|Telecom|WBIF|6|2.ASSET|Equity|48.7|2.52|LMT| Lockheed Martin Corporation| 5.17%| North America|Equity|Global Equities|Telecom|WBIF|6|3.ASSET|Equity|48.7|2.49|NUE| Nucor Corporation| 5.12%| North America|Equity|Global Equities|Telecom|WBIF|6|4.ASSET|Equity|48.7|2.35|FCX| Freeport-McMoRan, Inc.| 4.82%| North America|Equity|Global Equities|Telecom|WBIF|6|5.ASSET|Equity|48.7|2.34|SCCO| Southern Copper Corporation| 4.81%| North America|Equity|Global Equities|Telecom|WBIF|6|6.ASSET|Equity|48.7|2.29|BKR| Baker Hughes Company Class A| 4.70%| North America|Equity|Global Equities|Telecom|WBIF|6|7.ASSET|Equity|48.7|2.17|ORI| Old Republic International Corporation| 4.46%| North America|Equity|Global Equities|Telecom|WBIF|6|8.ASSET|Equity|48.7|2.17|ABC| AmerisourceBergen Corporation| 4.45%| North America|Equity|Global Equities|Telecom|WBIF|6|9.ASSET|Equity|48.7|2.14|ABBV| AbbVie, Inc.| 4.39%| North America|Equity|Global Equities|Telecom|WBIF|6|10.ASSET|Equity|48.7|2.04|USB| U.S. Bancorp| 4.18%| North America|Equity|Global Equities|Telecom|WBIF|6|11.ASSET|Equity|48.7|1.97|ANTM| Anthem, Inc.| 4.05%| North America|Equity|Global Equities|Telecom|WBIF|6|12.ASSET|Equity|48.7|1.96|ADM| Archer-Daniels-Midland Company| 4.03%| North America|Equity|Global Equities|Telecom|WBIF|6|13.ASSET|Equity|48.7|1.91|DVN| Devon Energy Corporation| 3.92%| North America|Equity|Global Equities|Telecom|WBIF|6|14.ASSET|Equity|48.7|1.89|BPOP| Popular, Inc.| 3.89%| North America|Equity|Global Equities|Telecom|WBIF|6|15.ASSET|Equity|48.7|1.84|LYB| LyondellBasell Industries NV| 3.78%| Global|Equity|n/a||HDRO|6|1.ASSET|Equity|55.1|5.02|PLUG| Plug Power Inc.| 9.11%| Global|Equity|n/a||HDRO|6|2.ASSET|Equity|55.1|3.52|NEL| NEL ASA| 6.38%| Global|Equity|n/a||HDRO|6|3.ASSET|Equity|55.1|3.49|BE| Bloom Energy Corporation Class A| 6.34%| Global|Equity|n/a||HDRO|6|4.ASSET|Equity|55.1|3.26|BLDP| Ballard Power Systems Inc.| 5.91%| Global|Equity|n/a||HDRO|6|5.ASSET|Equity|55.1|3.11|FCEL| FuelCell Energy, Inc.| 5.65%| Global|Equity|n/a||HDRO|6|6.ASSET|Equity|55.1|2.96|ITM| ITM Power PLC| 5.38%| Global|Equity|n/a||HDRO|6|7.ASSET|Equity|55.1|2.9|336260| Doosan Fuel Cell Co., Ltd.| 5.27%| Global|Equity|n/a||HDRO|6|8.ASSET|Equity|55.1|2.9|F3C| SFC Energy AG| 5.27%| Global|Equity|n/a||HDRO|6|9.ASSET|Equity|55.1|2.77|AI| Air Liquide SA| 5.03%| Global|Equity|n/a||HDRO|6|10.ASSET|Equity|55.1|2.68|PCELL| PowerCell Sweden AB| 4.86%| Global|Equity|n/a||HDRO|6|11.ASSET|Equity|55.1|2.51|AFC| AFC Energy plc| 4.55%| Global|Equity|n/a||HDRO|6|12.ASSET|Equity|55.1|2.51|LIN| Linde plc| 4.55%| Global|Equity|n/a||HDRO|6|13.ASSET|Equity|55.1|2.31|CWR| Ceres Power Holdings plc| 4.19%| Global|Equity|n/a||HDRO|6|14.ASSET|Equity|55.1|2.21|MCPHY| McPhy Energy SA| 4.01%| Global|Equity|n/a||HDRO|6|15.ASSET|Equity|55.1|2.08|XBC| Xebec Adsorption Inc.| 3.77%| North America|Equity|Europe Equities||ENOR|6|1.ASSET|Equity|47.5|8.12|EQNR| Equinor ASA| 17.09%| North America|Equity|Europe Equities||ENOR|6|2.ASSET|Equity|47.5|4.94|DNB| DNB Bank ASA| 10.40%| North America|Equity|Europe Equities||ENOR|6|3.ASSET|Equity|47.5|3.21|NHY| Norsk Hydro ASA| 6.75%| North America|Equity|Europe Equities||ENOR|6|4.ASSET|Equity|47.5|2.83|MOWI| Mowi ASA| 5.96%| North America|Equity|Europe Equities||ENOR|6|5.ASSET|Equity|47.5|2.53|TEL| Telenor ASA| 5.33%| North America|Equity|Europe Equities||ENOR|6|6.ASSET|Equity|47.5|2.08|YAR| Yara International ASA| 4.37%| North America|Equity|Europe Equities||ENOR|6|7.ASSET|Equity|47.5|1.73|ORK| Orkla ASA| 3.65%| North America|Equity|Europe Equities||ENOR|6|8.ASSET|Equity|47.5|1.37|TOM| TOMRA Systems ASA| 2.88%| North America|Equity|Europe Equities||ENOR|6|9.ASSET|Equity|47.5|1.22|GJF| Gjensidige Forsikring ASA| 2.56%| North America|Equity|Europe Equities||ENOR|6|10.ASSET|Equity|47.5|1.13|NOD| Nordic Semiconductor ASA| 2.37%| North America|Equity|Europe Equities||ENOR|6|11.ASSET|Equity|47.5|1.11|STB| Storebrand ASA| 2.34%| North America|Equity|Europe Equities||ENOR|6|12.ASSET|Equity|47.5|1.07|SALM| SalMar ASA| 2.26%| North America|Equity|Europe Equities||ENOR|6|13.ASSET|Equity|47.5|1.04|AKRBP| Aker BP ASA| 2.19%| North America|Equity|Europe Equities||ENOR|6|14.ASSET|Equity|47.5|0.83|BAKKA| Bakkafrost P/F| 1.75%| North America|Equity|Europe Equities||ENOR|6|15.ASSET|Equity|47.5|0.81|KOG| Kongsberg Gruppen ASA| 1.71%| North America|Bond|National Munis|Municipal Bond|PVI|6|1.ASSET|Bond|48.5|2.53|N/A| Triborough Brdg & Tunl Auth Ny Revs VAR 01-NOV-2041| 5.22%| North America|Bond|National Munis|Municipal Bond|PVI|6|2.ASSET|Bond|48.5|2.53|N/A| Indianapolis Ind Multifamily Hsg Rev VAR 15-MAY-2038| 5.22%| North America|Bond|National Munis|Municipal Bond|PVI|6|3.ASSET|Bond|48.5|2.53|N/A| Build Nyc Resource Corp N Y Rev VAR 01-APR-2045| 5.22%| North America|Bond|National Munis|Municipal Bond|PVI|6|4.ASSET|Bond|48.5|2.53|N/A| Missouri St Health & Edl Facs Auth Health Facs Rev VAR 15-MAY-2038| 5.22%| North America|Bond|National Munis|Municipal Bond|PVI|6|5.ASSET|Bond|48.5|2.32|N/A| Washington Subn San Dist Md VAR 01-JUN-2023| 4.78%| North America|Bond|National Munis|Municipal Bond|PVI|6|6.ASSET|Bond|48.5|2.11|N/A| Metropolitan Transn Auth N Y Rev VAR 01-NOV-2026| 4.35%| North America|Bond|National Munis|Municipal Bond|PVI|6|7.ASSET|Bond|48.5|2.11|N/A| Louisiana St Offshore Term Auth Deepwtr Port Rev VAR 01-SEP-2033| 4.35%| North America|Bond|National Munis|Municipal Bond|PVI|6|8.ASSET|Bond|48.5|2.11|N/A| Los Angeles Calif Dept Wtr & Pwr Rev VAR 01-JUL-2034| 4.35%| North America|Bond|National Munis|Municipal Bond|PVI|6|9.ASSET|Bond|48.5|2.11|N/A| Southcentral Pa Gen Auth Rev VAR 01-JUN-2037| 4.35%| North America|Bond|National Munis|Municipal Bond|PVI|6|10.ASSET|Bond|48.5|1.9|N/A| San Mateo Calif Jt Pwrs Fing Auth Lease Rev VAR 01-APR-2039| 3.91%| North America|Bond|National Munis|Municipal Bond|PVI|6|11.ASSET|Bond|48.5|1.9|N/A| Battery Pk City Auth N Y Rev VAR 01-NOV-2038| 3.91%| North America|Bond|National Munis|Municipal Bond|PVI|6|12.ASSET|Bond|48.5|1.86|N/A| U.S. Dollar| 3.83%| North America|Bond|National Munis|Municipal Bond|PVI|6|13.ASSET|Bond|48.5|1.72|N/A| Austin Tex Wtr & Wastewater Sys Rev VAR 15-MAY-2031| 3.54%| North America|Bond|National Munis|Municipal Bond|PVI|6|14.ASSET|Bond|48.5|1.59|N/A| Texas St VAR 01-JUN-2046| 3.28%| North America|Bond|National Munis|Municipal Bond|PVI|6|15.ASSET|Bond|48.5|1.58|N/A| West Palm Beach Fla Util Sys Rev VAR 01-OCT-2038| 3.26%| North America|Equity|Volatility Hedged Equity||XRLV|6|1.ASSET|Equity|54.6|0.78|KO| Coca-Cola Company| 1.43%| North America|Equity|Volatility Hedged Equity||XRLV|6|2.ASSET|Equity|54.6|0.74|JNJ| Johnson & Johnson| 1.35%| North America|Equity|Volatility Hedged Equity||XRLV|6|3.ASSET|Equity|54.6|0.73|VZ| Verizon Communications Inc.| 1.34%| North America|Equity|Volatility Hedged Equity||XRLV|6|4.ASSET|Equity|54.6|0.69|GD| General Dynamics Corporation| 1.26%| North America|Equity|Volatility Hedged Equity||XRLV|6|5.ASSET|Equity|54.6|0.69|SO| Southern Company| 1.26%| North America|Equity|Volatility Hedged Equity||XRLV|6|6.ASSET|Equity|54.6|0.67|BRK.B| Berkshire Hathaway Inc. Class B| 1.23%| North America|Equity|Volatility Hedged Equity||XRLV|6|7.ASSET|Equity|54.6|0.67|MDLZ| Mondelez International, Inc. Class A| 1.22%| North America|Equity|Volatility Hedged Equity||XRLV|6|8.ASSET|Equity|54.6|0.67|WM| Waste Management, Inc.| 1.22%| North America|Equity|Volatility Hedged Equity||XRLV|6|9.ASSET|Equity|54.6|0.67|MCD| McDonald\'s Corporation| 1.22%| North America|Equity|Volatility Hedged Equity||XRLV|6|10.ASSET|Equity|54.6|0.66|DTE| DTE Energy Company| 1.21%| North America|Equity|Volatility Hedged Equity||XRLV|6|11.ASSET|Equity|54.6|0.63|ICE| Intercontinental Exchange, Inc.| 1.16%| North America|Equity|Volatility Hedged Equity||XRLV|6|12.ASSET|Equity|54.6|0.63|LMT| Lockheed Martin Corporation| 1.16%| North America|Equity|Volatility Hedged Equity||XRLV|6|13.ASSET|Equity|54.6|0.63|EXC| Exelon Corporation| 1.15%| North America|Equity|Volatility Hedged Equity||XRLV|6|14.ASSET|Equity|54.6|0.62|NOC| Northrop Grumman Corporation| 1.14%| North America|Equity|Volatility Hedged Equity||XRLV|6|15.ASSET|Equity|54.6|0.62|SRE| Sempra Energy| 1.13%| Developed Asia Pacific|Equity|Leveraged Equities||KORU|6|1.ASSET|Equity|35.2|15.86|EWY| iShares MSCI South Korea ETF| 45.06%| Developed Asia Pacific|Equity|Leveraged Equities||KORU|6|2.ASSET|Equity|35.2|10.74|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 30.51%| Developed Asia Pacific|Equity|Leveraged Equities||KORU|6|3.ASSET|Equity|35.2|3.55|DGCXX| Dreyfus Government Cash Management Funds Institutional| 10.08%| Developed Asia Pacific|Equity|Leveraged Equities||KORU|6|4.ASSET|Equity|35.2|3.13|N/A| U.S. Dollar| 8.90%| Developed Asia Pacific|Equity|Leveraged Equities||KORU|6|5.ASSET|Equity|35.2|1.92|N/A| MUTUAL FUND (OTHER)| 5.45%| Developed Asia Pacific|Equity|Leveraged Equities||KORU|6|6.ASSET|Equity|35.2|0|N/A| CORPORATE BOND| 0.00%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|1.ASSET|Equity|42.1|2.66|UNH| UnitedHealth Group Incorporated| 6.32%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|2.ASSET|Equity|42.1|2.57|JNJ| Johnson & Johnson| 6.10%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|3.ASSET|Equity|42.1|1.5|PFE| Pfizer Inc.| 3.57%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|4.ASSET|Equity|42.1|1.28|TMO| Thermo Fisher Scientific Inc.| 3.04%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|5.ASSET|Equity|42.1|1.28|ABBV| AbbVie, Inc.| 3.04%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|6.ASSET|Equity|42.1|1.09|MRK| Merck & Co., Inc.| 2.58%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|7.ASSET|Equity|42.1|1.05|LLY| Eli Lilly and Company| 2.50%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|8.ASSET|Equity|42.1|1.04|BMY| Bristol-Myers Squibb Company| 2.47%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|9.ASSET|Equity|42.1|1|ABT| Abbott Laboratories| 2.37%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|10.ASSET|Equity|42.1|0.9|DHR| Danaher Corporation| 2.13%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|11.ASSET|Equity|42.1|0.85|CVS| CVS Health Corporation| 2.03%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|12.ASSET|Equity|42.1|0.72|CI| Cigna Corporation| 1.71%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|13.ASSET|Equity|42.1|0.71|AMGN| Amgen Inc.| 1.69%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|14.ASSET|Equity|42.1|0.71|ANTM| Anthem, Inc.| 1.69%| North America|Equity|Health & Biotech Equities|Healthcare|JHMH|6|15.ASSET|Equity|42.1|0.69|MDT| Medtronic Plc| 1.65%| North America|Equity|n/a||SSPX|6|1.ASSET|Equity|41|1.98|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 4.84%| North America|Equity|n/a||SSPX|6|2.ASSET|Equity|41|1.82|7974| Nintendo Co., Ltd.| 4.44%| North America|Equity|n/a||SSPX|6|3.ASSET|Equity|41|1.54|1299| AIA Group Limited| 3.76%| North America|Equity|n/a||SSPX|6|4.ASSET|Equity|41|1.53|7701| Shimadzu Corporation| 3.73%| North America|Equity|n/a||SSPX|6|5.ASSET|Equity|41|1.5|IFX| Infineon Technologies AG| 3.67%| North America|Equity|n/a||SSPX|6|6.ASSET|Equity|41|1.46|ADS| adidas AG| 3.56%| North America|Equity|n/a||SSPX|6|7.ASSET|Equity|41|1.43|ASML| ASML Holding NV| 3.48%| North America|Equity|n/a||SSPX|6|8.ASSET|Equity|41|1.41|6981| Murata Manufacturing Co., Ltd.| 3.44%| North America|Equity|n/a||SSPX|6|9.ASSET|Equity|41|1.37|SU| Schneider Electric SE| 3.35%| North America|Equity|n/a||SSPX|6|10.ASSET|Equity|41|1.37|6594| Nidec Corporation| 3.33%| North America|Equity|n/a||SSPX|6|11.ASSET|Equity|41|1.36|IFC| Intact Financial Corporation| 3.32%| North America|Equity|n/a||SSPX|6|12.ASSET|Equity|41|1.35|7733| Olympus Corp.| 3.30%| North America|Equity|n/a||SSPX|6|13.ASSET|Equity|41|1.23|INE| Innergex Renewable Energy Inc.| 2.99%| North America|Equity|n/a||SSPX|6|14.ASSET|Equity|41|1.19|BLX| Boralex Inc. Class A| 2.91%| North America|Equity|n/a||SSPX|6|15.ASSET|Equity|41|1.19|LSPD| Lightspeed Commerce Inc| 2.90%| North America|Equity|All Cap Equities||PY|6|1.ASSET|Equity|139.9|4.53|MO| Altria Group Inc| 3.24%| North America|Equity|All Cap Equities||PY|6|2.ASSET|Equity|139.9|3.48|ETRN| Equitrans Midstream Corp.| 2.49%| North America|Equity|All Cap Equities||PY|6|3.ASSET|Equity|139.9|3.22|PRU| Prudential Financial, Inc.| 2.30%| North America|Equity|All Cap Equities||PY|6|4.ASSET|Equity|139.9|3.13|AFG| American Financial Group, Inc.| 2.24%| North America|Equity|All Cap Equities||PY|6|5.ASSET|Equity|139.9|3.13|FHN| First Horizon Corporation| 2.24%| North America|Equity|All Cap Equities||PY|6|6.ASSET|Equity|139.9|2.83|ORI| Old Republic International Corporation| 2.02%| North America|Equity|All Cap Equities||PY|6|7.ASSET|Equity|139.9|2.74|IPG| Interpublic Group of Companies, Inc.| 1.96%| North America|Equity|All Cap Equities||PY|6|8.ASSET|Equity|139.9|2.52|ESS| Essex Property Trust, Inc.| 1.80%| North America|Equity|All Cap Equities||PY|6|9.ASSET|Equity|139.9|2.41|EOG| EOG Resources, Inc.| 1.72%| North America|Equity|All Cap Equities||PY|6|10.ASSET|Equity|139.9|2.36|JNPR| Juniper Networks, Inc.| 1.69%| North America|Equity|All Cap Equities||PY|6|11.ASSET|Equity|139.9|2.28|DOW| Dow, Inc.| 1.63%| North America|Equity|All Cap Equities||PY|6|12.ASSET|Equity|139.9|2.25|VICI| VICI Properties Inc| 1.61%| North America|Equity|All Cap Equities||PY|6|13.ASSET|Equity|139.9|2.13|CAH| Cardinal Health, Inc.| 1.52%| North America|Equity|All Cap Equities||PY|6|14.ASSET|Equity|139.9|2.04|CVS| CVS Health Corporation| 1.46%| North America|Equity|All Cap Equities||PY|6|15.ASSET|Equity|139.9|2.01|NWL| Newell Brands Inc| 1.44%| North America|Equity|Volatility Hedged Equity||PNOV|6|1.ASSET|Equity|202.1|201.03|N/A| OPTIONS| 99.47%| North America|Equity|Volatility Hedged Equity||PNOV|6|2.ASSET|Equity|202.1|1.07|N/A| U.S. Dollar| 0.53%| North America|Equity|Financials Equities|Financials|PSCF|6|1.ASSET|Equity|49.1|0.83|ADC| Agree Realty Corporation| 1.69%| North America|Equity|Financials Equities|Financials|PSCF|6|2.ASSET|Equity|49.1|0.82|IIPR| Innovative Industrial Properties Inc| 1.68%| North America|Equity|Financials Equities|Financials|PSCF|6|3.ASSET|Equity|49.1|0.82|LXP| LXP Industrial Trust| 1.67%| North America|Equity|Financials Equities|Financials|PSCF|6|4.ASSET|Equity|49.1|0.78|SFBS| ServisFirst Bancshares Inc| 1.58%| North America|Equity|Financials Equities|Financials|PSCF|6|5.ASSET|Equity|49.1|0.76|AGO| Assured Guaranty Ltd.| 1.55%| North America|Equity|Financials Equities|Financials|PSCF|6|6.ASSET|Equity|49.1|0.75|WD| Walker & Dunlop, Inc.| 1.52%| North America|Equity|Financials Equities|Financials|PSCF|6|7.ASSET|Equity|49.1|0.73|INDB| Independent Bank Corp.| 1.48%| North America|Equity|Financials Equities|Financials|PSCF|6|8.ASSET|Equity|49.1|0.72|UCBI| United Community Banks, Inc.| 1.47%| North America|Equity|Financials Equities|Financials|PSCF|6|9.ASSET|Equity|49.1|0.72|CBU| Community Bank System, Inc.| 1.46%| North America|Equity|Financials Equities|Financials|PSCF|6|10.ASSET|Equity|49.1|0.7|COOP| Mr. Cooper Group, Inc.| 1.42%| North America|Equity|Financials Equities|Financials|PSCF|6|11.ASSET|Equity|49.1|0.7|BKU| BankUnited, Inc.| 1.42%| North America|Equity|Financials Equities|Financials|PSCF|6|12.ASSET|Equity|49.1|0.66|ISBC| Investors Bancorp Inc| 1.34%| North America|Equity|Financials Equities|Financials|PSCF|6|13.ASSET|Equity|49.1|0.66|FHB| First Hawaiian, Inc.| 1.34%| North America|Equity|Financials Equities|Financials|PSCF|6|14.ASSET|Equity|49.1|0.64|PPBI| Pacific Premier Bancorp, Inc.| 1.31%| North America|Equity|Financials Equities|Financials|PSCF|6|15.ASSET|Equity|49.1|0.6|WSFS| WSFS Financial Corporation| 1.22%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|1.ASSET|Equity|41|21.89|N/A| United States Treasury Notes 1.875% 28-FEB-2027| 53.39%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|2.ASSET|Equity|41|3.54|N/A| DERIVATIVE SECURITIES (OTHER)| 8.64%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|3.ASSET|Equity|41|0.84|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 2.04%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|4.ASSET|Equity|41|0.77|700| Tencent Holdings Ltd.| 1.88%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|5.ASSET|Equity|41|0.72|005930| Samsung Electronics Co., Ltd.| 1.76%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|6.ASSET|Equity|41|0.59|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.44%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|7.ASSET|Equity|41|0.55|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.34%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|8.ASSET|Equity|41|0.5|3690| Meituan Class B| 1.21%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|9.ASSET|Equity|41|0.48|N/A| U.S. Dollar| 1.18%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|10.ASSET|Equity|41|0.45|INFY| Infosys Limited Sponsored ADR| 1.10%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|11.ASSET|Equity|41|0.43|939| China Construction Bank Corporation Class H| 1.04%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|12.ASSET|Equity|41|0.42|VALE| Vale S.A. Sponsored ADR| 1.02%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|13.ASSET|Equity|41|0.36|JD| JD.com, Inc. Sponsored ADR Class A| 0.89%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|14.ASSET|Equity|41|0.29|1120| Al Rajhi Bank| 0.70%| Emerging Markets|Equity|Foreign Large Cap Equities||DMRE|6|15.ASSET|Equity|41|0.26|IBN| ICICI Bank Limited Sponsored ADR| 0.64%| North America|Equity|All Cap Equities|Technology|XWEB|6|1.ASSET|Equity|38.6|1.13|CARG| CarGurus, Inc. Class A| 2.94%| North America|Equity|All Cap Equities|Technology|XWEB|6|2.ASSET|Equity|38.6|1.01|GDDY| GoDaddy, Inc. Class A| 2.61%| North America|Equity|All Cap Equities|Technology|XWEB|6|3.ASSET|Equity|38.6|0.86|SWI| SolarWinds Corp.| 2.23%| North America|Equity|All Cap Equities|Technology|XWEB|6|4.ASSET|Equity|38.6|0.86|SWCH| Switch, Inc. Class A| 2.23%| North America|Equity|All Cap Equities|Technology|XWEB|6|5.ASSET|Equity|38.6|0.86|PETS| PetMed Express, Inc.| 2.22%| North America|Equity|All Cap Equities|Technology|XWEB|6|6.ASSET|Equity|38.6|0.84|AKAM| Akamai Technologies, Inc.| 2.18%| North America|Equity|All Cap Equities|Technology|XWEB|6|7.ASSET|Equity|38.6|0.83|YELP| Yelp Inc| 2.14%| North America|Equity|All Cap Equities|Technology|XWEB|6|8.ASSET|Equity|38.6|0.81|EB| Eventbrite, Inc. Class A| 2.11%| North America|Equity|All Cap Equities|Technology|XWEB|6|9.ASSET|Equity|38.6|0.8|ZD| Ziff Davis, Inc.| 2.08%| North America|Equity|All Cap Equities|Technology|XWEB|6|10.ASSET|Equity|38.6|0.8|SQSP| Squarespace, Inc. Class A| 2.06%| North America|Equity|All Cap Equities|Technology|XWEB|6|11.ASSET|Equity|38.6|0.79|CHWY| Chewy, Inc. Class A| 2.05%| North America|Equity|All Cap Equities|Technology|XWEB|6|12.ASSET|Equity|38.6|0.79|GOOG| Alphabet Inc. Class C| 2.04%| North America|Equity|All Cap Equities|Technology|XWEB|6|13.ASSET|Equity|38.6|0.78|GRPN| Groupon, Inc.| 2.03%| North America|Equity|All Cap Equities|Technology|XWEB|6|14.ASSET|Equity|38.6|0.78|TRIP| TripAdvisor, Inc.| 2.02%| North America|Equity|All Cap Equities|Technology|XWEB|6|15.ASSET|Equity|38.6|0.77|IAC| IAC/InteractiveCorp.| 2.00%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|1.ASSET|Equity|60.2|3.78|ABBV| AbbVie, Inc.| 6.28%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|2.ASSET|Equity|60.2|2.82|VZ| Verizon Communications Inc.| 4.68%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|3.ASSET|Equity|60.2|2.78|JNJ| Johnson & Johnson| 4.61%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|4.ASSET|Equity|60.2|2.7|PM| Philip Morris International Inc.| 4.49%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|5.ASSET|Equity|60.2|2.62|T| AT&T Inc.| 4.36%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|6.ASSET|Equity|60.2|2.61|KO| Coca-Cola Company| 4.34%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|7.ASSET|Equity|60.2|2.5|JPM| JPMorgan Chase & Co.| 4.16%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|8.ASSET|Equity|60.2|2.43|MRK| Merck & Co., Inc.| 4.03%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|9.ASSET|Equity|60.2|2.38|MO| Altria Group Inc| 3.96%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|10.ASSET|Equity|60.2|2.19|PEP| PepsiCo, Inc.| 3.64%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|11.ASSET|Equity|60.2|2.11|CSCO| Cisco Systems, Inc.| 3.51%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|12.ASSET|Equity|60.2|1.67|BMY| Bristol-Myers Squibb Company| 2.78%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|13.ASSET|Equity|60.2|1.49|AMGN| Amgen Inc.| 2.47%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|14.ASSET|Equity|60.2|1.43|MCD| McDonald\'s Corporation| 2.37%| Developed Markets|Equity|Large Cap Blend Equities||DURA|6|15.ASSET|Equity|60.2|1.26|QCOM| Qualcomm Inc| 2.09%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|1.ASSET|Real Estate|43.1|1.65|KRG| Kite Realty Group Trust| 3.82%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|2.ASSET|Real Estate|43.1|1.47|LXP| LXP Industrial Trust| 3.42%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|3.ASSET|Real Estate|43.1|1.31|APLE| Apple Hospitality REIT Inc| 3.03%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|4.ASSET|Real Estate|43.1|1.28|EPR| EPR Properties| 2.97%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|5.ASSET|Real Estate|43.1|1.25|DOC| Physicians Realty Trust| 2.91%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|6.ASSET|Real Estate|43.1|1.15|BNL| Broadstone Net Lease, Inc.| 2.66%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|7.ASSET|Real Estate|43.1|1.08|MAC| Macerich Company| 2.51%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|8.ASSET|Real Estate|43.1|1.08|UNIT| Uniti Group Inc.| 2.51%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|9.ASSET|Real Estate|43.1|1.04|EPRT| Essential Properties Realty Trust, Inc.| 2.42%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|10.ASSET|Real Estate|43.1|1.01|OFC| Corporate Office Properties Trust| 2.35%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|11.ASSET|Real Estate|43.1|0.99|PEB| Pebblebrook Hotel Trust| 2.30%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|12.ASSET|Real Estate|43.1|0.99|SITC| SITE Centers Corp.| 2.29%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|13.ASSET|Real Estate|43.1|0.97|CIM| Chimera Investment Corporation| 2.24%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|14.ASSET|Real Estate|43.1|0.92|IRT| Independence Realty Trust, Inc.| 2.14%| North America|Real Estate|Real Estate|Real Estate|ROOF|6|15.ASSET|Real Estate|43.1|0.89|ABR| Arbor Realty Trust, Inc.| 2.07%| North America|Equity|Large Cap Blend Equities||DBLV|6|1.ASSET|Equity|46.4|1.75|WFC| Wells Fargo & Company| 3.78%| North America|Equity|Large Cap Blend Equities||DBLV|6|2.ASSET|Equity|46.4|1.54|C| Citigroup Inc.| 3.32%| North America|Equity|Large Cap Blend Equities||DBLV|6|3.ASSET|Equity|46.4|1.49|CVX| Chevron Corporation| 3.22%| North America|Equity|Large Cap Blend Equities||DBLV|6|4.ASSET|Equity|46.4|1.47|GOOGL| Alphabet Inc. Class A| 3.17%| North America|Equity|Large Cap Blend Equities||DBLV|6|5.ASSET|Equity|46.4|1.43|VZ| Verizon Communications Inc.| 3.09%| North America|Equity|Large Cap Blend Equities||DBLV|6|6.ASSET|Equity|46.4|1.32|MSFT| Microsoft Corporation| 2.84%| North America|Equity|Large Cap Blend Equities||DBLV|6|7.ASSET|Equity|46.4|1.29|ICE| Intercontinental Exchange, Inc.| 2.78%| North America|Equity|Large Cap Blend Equities||DBLV|6|8.ASSET|Equity|46.4|1.22|EOG| EOG Resources, Inc.| 2.64%| North America|Equity|Large Cap Blend Equities||DBLV|6|9.ASSET|Equity|46.4|1.22|AZN| Astrazeneca PLC Sponsored ADR| 2.62%| North America|Equity|Large Cap Blend Equities||DBLV|6|10.ASSET|Equity|46.4|1.21|SNY| Sanofi SA Sponsored ADR| 2.60%| North America|Equity|Large Cap Blend Equities||DBLV|6|11.ASSET|Equity|46.4|1.18|CB| Chubb Limited| 2.55%| North America|Equity|Large Cap Blend Equities||DBLV|6|12.ASSET|Equity|46.4|1.16|ANTM| Anthem, Inc.| 2.49%| North America|Equity|Large Cap Blend Equities||DBLV|6|13.ASSET|Equity|46.4|1.13|CVS| CVS Health Corporation| 2.44%| North America|Equity|Large Cap Blend Equities||DBLV|6|14.ASSET|Equity|46.4|1.12|MDT| Medtronic Plc| 2.41%| North America|Equity|Large Cap Blend Equities||DBLV|6|15.ASSET|Equity|46.4|1.1|BA| Boeing Company| 2.38%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|1.ASSET|Equity|120.2|10.99|939| China Construction Bank Corporation Class H| 9.14%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|2.ASSET|Equity|120.2|10.42|1398| Industrial and Commercial Bank of China Limited Class H| 8.67%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|3.ASSET|Equity|120.2|10.17|3988| Bank of China Limited Class H| 8.46%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|4.ASSET|Equity|120.2|10|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 8.32%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|5.ASSET|Equity|120.2|8.99|3968| China Merchants Bank Co., Ltd. Class H| 7.48%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|6.ASSET|Equity|120.2|3.99|2628| China Life Insurance Co. Ltd. Class H| 3.32%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|7.ASSET|Equity|120.2|3.77|1288| Agricultural Bank of China Limited Class H| 3.14%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|8.ASSET|Equity|120.2|2.96|1658| Postal Savings Bank of China Co., Ltd. Class H| 2.46%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|9.ASSET|Equity|120.2|2.96|2328| PICC Property & Casualty Co., Ltd. Class H| 2.46%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|10.ASSET|Equity|120.2|2.82|2601| China Pacific Insurance (Group) Co., Ltd. Class H| 2.35%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|11.ASSET|Equity|120.2|2.79|6030| CITIC Securities Co. Ltd. Class H| 2.32%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|12.ASSET|Equity|120.2|2.63|3328| Bank of Communications Co., Ltd. Class H| 2.19%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|13.ASSET|Equity|120.2|1.97|998| China CITIC Bank Corporation Ltd Class H| 1.64%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|14.ASSET|Equity|120.2|1.86|600036| China Merchants Bank Co., Ltd. Class A| 1.55%| Emerging Asia Pacific|Equity|China Equities|Financials|CHIX|6|15.ASSET|Equity|120.2|1.69|3908| China International Capital Corp. Ltd. Class H| 1.41%| North America|Bond|Leveraged Bonds|Treasuries|UBT|6|1.ASSET|Bond|41.7|41.7|N/A| U.S. Dollar| 100.00%| North America|Bond|Leveraged Bonds|Treasuries|UBT|6|2.ASSET|Bond|41.7|41.7|N/A| U.S. Dollar| 100.00%| North America|Equity|Large Cap Blend Equities||KLCD|6|1.ASSET|Equity|45.2|0.49|NOC| Northrop Grumman Corporation| 1.08%| North America|Equity|Large Cap Blend Equities||KLCD|6|2.ASSET|Equity|45.2|0.48|ADM| Archer-Daniels-Midland Company| 1.06%| North America|Equity|Large Cap Blend Equities||KLCD|6|3.ASSET|Equity|45.2|0.47|AGO| Assured Guaranty Ltd.| 1.05%| North America|Equity|Large Cap Blend Equities||KLCD|6|4.ASSET|Equity|45.2|0.47|RS| Reliance Steel & Aluminum Co.| 1.05%| North America|Equity|Large Cap Blend Equities||KLCD|6|5.ASSET|Equity|45.2|0.47|ABC| AmerisourceBergen Corporation| 1.03%| North America|Equity|Large Cap Blend Equities||KLCD|6|6.ASSET|Equity|45.2|0.47|MPC| Marathon Petroleum Corporation| 1.03%| North America|Equity|Large Cap Blend Equities||KLCD|6|7.ASSET|Equity|45.2|0.47|STLD| Steel Dynamics, Inc.| 1.03%| North America|Equity|Large Cap Blend Equities||KLCD|6|8.ASSET|Equity|45.2|0.45|NUE| Nucor Corporation| 1.00%| North America|Equity|Large Cap Blend Equities||KLCD|6|9.ASSET|Equity|45.2|0.45|GD| General Dynamics Corporation| 1.00%| North America|Equity|Large Cap Blend Equities||KLCD|6|10.ASSET|Equity|45.2|0.44|HSY| Hershey Company| 0.97%| North America|Equity|Large Cap Blend Equities||KLCD|6|11.ASSET|Equity|45.2|0.44|ANTM| Anthem, Inc.| 0.97%| North America|Equity|Large Cap Blend Equities||KLCD|6|12.ASSET|Equity|45.2|0.43|PM| Philip Morris International Inc.| 0.96%| North America|Equity|Large Cap Blend Equities||KLCD|6|13.ASSET|Equity|45.2|0.43|WLK| Westlake Corporation| 0.96%| North America|Equity|Large Cap Blend Equities||KLCD|6|14.ASSET|Equity|45.2|0.43|AXP| American Express Company| 0.95%| North America|Equity|Large Cap Blend Equities||KLCD|6|15.ASSET|Equity|45.2|0.42|KR| Kroger Co.| 0.94%| |Equity|Large Cap Blend Equities||DJUN|6|1.ASSET|Equity|76.2|0|N/A| Cash Component| 0.00%| Developed Markets|Multi-Asset|Diversified Portfolio||FFTG|6|1.ASSET|Multi-Asset|42.7|14.19|VTI| Vanguard Total Stock Market ETF| 33.23%| Developed Markets|Multi-Asset|Diversified Portfolio||FFTG|6|2.ASSET|Multi-Asset|42.7|14.05|IXUS| iShares Core MSCI Total International Stock ETF| 32.91%| Developed Markets|Multi-Asset|Diversified Portfolio||FFTG|6|3.ASSET|Multi-Asset|42.7|7.03|VNQ| Vanguard Real Estate ETF| 16.47%| Developed Markets|Multi-Asset|Diversified Portfolio||FFTG|6|4.ASSET|Multi-Asset|42.7|7.02|IYR| iShares U.S. Real Estate ETF| 16.45%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|1.ASSET|Equity|45.4|2.22|005930| Samsung Electronics Co., Ltd.| 4.89%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|2.ASSET|Equity|45.4|2.14|700| Tencent Holdings Ltd.| 4.71%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|3.ASSET|Equity|45.4|1.35|VALE| Vale S.A. Sponsored ADR| 2.97%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|4.ASSET|Equity|45.4|0.99|500209| Infosys Limited| 2.17%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|5.ASSET|Equity|45.4|0.92|PETR4| Petroleo Brasileiro SA Pfd| 2.02%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|6.ASSET|Equity|45.4|0.91|000660| SK hynix Inc| 2.00%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|7.ASSET|Equity|45.4|0.87|939| China Construction Bank Corporation Class H| 1.91%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|8.ASSET|Equity|45.4|0.87|PETR3| Petroleo Brasileiro SA| 1.91%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|9.ASSET|Equity|45.4|0.79|011200| HMM CO.,LTD| 1.74%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|10.ASSET|Equity|45.4|0.77|AMXL| America Movil SAB de CV Class L| 1.69%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|11.ASSET|Equity|45.4|0.76|532540| Tata Consultancy Services Limited| 1.68%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|12.ASSET|Equity|45.4|0.75|IMP| Impala Platinum Holdings Limited| 1.65%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|13.ASSET|Equity|45.4|0.69|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 1.51%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|14.ASSET|Equity|45.4|0.69|JBSS3| JBS S.A.| 1.51%| Emerging Markets|Equity|Emerging Markets Equities||RFEM|6|15.ASSET|Equity|45.4|0.68|PBR.A| Petroleo Brasileiro SA Sponsored ADR Pfd| 1.50%| |Commodity|Agricultural Commodities||SOYB|6|1.ASSET|Commodity|60.9|60.9|N/A| Soybean| 100.00%| Developed Europe|Equity|Leveraged Equities||EURL|6|1.ASSET|Equity|32.5|14.47|VGK| Vanguard FTSE Europe ETF| 44.51%| Developed Europe|Equity|Leveraged Equities||EURL|6|2.ASSET|Equity|32.5|6.04|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 18.58%| Developed Europe|Equity|Leveraged Equities||EURL|6|3.ASSET|Equity|32.5|5.85|DGCXX| Dreyfus Government Cash Management Funds Institutional| 18.01%| Developed Europe|Equity|Leveraged Equities||EURL|6|4.ASSET|Equity|32.5|5.32|N/A| U.S. Dollar| 16.38%| Developed Europe|Equity|Leveraged Equities||EURL|6|5.ASSET|Equity|32.5|0.82|N/A| CORPORATE BOND| 2.52%| Global|Equity|Global Equities||FGRO|6|1.ASSET|Equity|53.4|4.55|MSFT| Microsoft Corporation| 8.52%| Global|Equity|Global Equities||FGRO|6|2.ASSET|Equity|53.4|3.18|GOOG| Alphabet Inc. Class C| 5.96%| Global|Equity|Global Equities||FGRO|6|3.ASSET|Equity|53.4|2.81|AMZN| Amazon.com, Inc.| 5.26%| Global|Equity|Global Equities||FGRO|6|4.ASSET|Equity|53.4|2.16|NVDA| NVIDIA Corporation| 4.05%| Global|Equity|Global Equities||FGRO|6|5.ASSET|Equity|53.4|1.64|FB| Meta Platforms Inc. Class A| 3.08%| Global|Equity|Global Equities||FGRO|6|6.ASSET|Equity|53.4|1.63|AAPL| Apple Inc.| 3.06%| Global|Equity|Global Equities||FGRO|6|7.ASSET|Equity|53.4|1.46|GOOGL| Alphabet Inc. Class A| 2.74%| Global|Equity|Global Equities||FGRO|6|8.ASSET|Equity|53.4|1.39|CVNA| Carvana Co. Class A| 2.61%| Global|Equity|Global Equities||FGRO|6|9.ASSET|Equity|53.4|1.28|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 2.40%| Global|Equity|Global Equities||FGRO|6|10.ASSET|Equity|53.4|1.28|ROKU| Roku, Inc. Class A| 2.39%| Global|Equity|Global Equities||FGRO|6|11.ASSET|Equity|53.4|1.1|UBER| Uber Technologies, Inc.| 2.06%| Global|Equity|Global Equities||FGRO|6|12.ASSET|Equity|53.4|1.05|CRM| salesforce.com, inc.| 1.96%| Global|Equity|Global Equities||FGRO|6|13.ASSET|Equity|53.4|1.04|TMUS| T-Mobile US, Inc.| 1.95%| Global|Equity|Global Equities||FGRO|6|14.ASSET|Equity|53.4|1.03|FCX| Freeport-McMoRan, Inc.| 1.92%| Global|Equity|Global Equities||FGRO|6|15.ASSET|Equity|53.4|0.84|TSLA| Tesla Inc| 1.58%| North America|Equity|Large Cap Blend Equities||FTHI|6|1.ASSET|Equity|48.4|2.21|AAPL| Apple Inc.| 4.57%| North America|Equity|Large Cap Blend Equities||FTHI|6|2.ASSET|Equity|48.4|1.9|MSFT| Microsoft Corporation| 3.92%| North America|Equity|Large Cap Blend Equities||FTHI|6|3.ASSET|Equity|48.4|1.24|WFC| Wells Fargo & Company| 2.57%| North America|Equity|Large Cap Blend Equities||FTHI|6|4.ASSET|Equity|48.4|1.14|PNC| PNC Financial Services Group, Inc.| 2.35%| North America|Equity|Large Cap Blend Equities||FTHI|6|5.ASSET|Equity|48.4|1.1|N/A| U.S. Dollar| 2.27%| North America|Equity|Large Cap Blend Equities||FTHI|6|6.ASSET|Equity|48.4|1.06|AMZN| Amazon.com, Inc.| 2.20%| North America|Equity|Large Cap Blend Equities||FTHI|6|7.ASSET|Equity|48.4|0.94|GE| General Electric Company| 1.95%| North America|Equity|Large Cap Blend Equities||FTHI|6|8.ASSET|Equity|48.4|0.79|USB| U.S. Bancorp| 1.63%| North America|Equity|Large Cap Blend Equities||FTHI|6|9.ASSET|Equity|48.4|0.72|GOOGL| Alphabet Inc. Class A| 1.49%| North America|Equity|Large Cap Blend Equities||FTHI|6|10.ASSET|Equity|48.4|0.72|GOOG| Alphabet Inc. Class C| 1.49%| North America|Equity|Large Cap Blend Equities||FTHI|6|11.ASSET|Equity|48.4|0.68|NLY| Annaly Capital Management, Inc.| 1.41%| North America|Equity|Large Cap Blend Equities||FTHI|6|12.ASSET|Equity|48.4|0.68|LUMN| Lumen Technologies, Inc.| 1.40%| North America|Equity|Large Cap Blend Equities||FTHI|6|13.ASSET|Equity|48.4|0.55|TSLA| Tesla Inc| 1.13%| North America|Equity|Large Cap Blend Equities||FTHI|6|14.ASSET|Equity|48.4|0.54|BRK.B| Berkshire Hathaway Inc. Class B| 1.12%| North America|Equity|Large Cap Blend Equities||FTHI|6|15.ASSET|Equity|48.4|0.53|COTY| Coty Inc. Class A| 1.10%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|1.ASSET|Bond|48.4|6.51|N/A| Government of China 3.72% 12-APR-2051| 13.46%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|2.ASSET|Bond|48.4|5.41|N/A| Government of Indonesia 6.5% 15-FEB-2031| 11.17%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|3.ASSET|Bond|48.4|5.35|N/A| Government of Malaysia 2.632% 15-APR-2031| 11.06%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|4.ASSET|Bond|48.4|4.38|N/A| AGENCY BOND| 9.04%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|5.ASSET|Bond|48.4|3.38|N/A| MUTUAL FUND (OTHER)| 6.98%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|6.ASSET|Bond|48.4|2.55|N/A| Government of Singapore 1.625% 01-JUL-2031| 5.27%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|7.ASSET|Bond|48.4|2.53|N/A| Government of Thailand 2.0% 17-DEC-2031| 5.22%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|8.ASSET|Bond|48.4|2.5|N/A| Government of Hong Kong Special Administrative Region 2.24% 27-AUG-2029| 5.17%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|9.ASSET|Bond|48.4|2.45|N/A| Asian Infrastructure Investment Bank 2.5% 24-MAR-2025| 5.07%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|10.ASSET|Bond|48.4|1.93|N/A| Australia 1.0% 21-NOV-2031| 3.98%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|11.ASSET|Bond|48.4|1.85|N/A| European Investment Bank 2.7% 22-APR-2024| 3.83%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|12.ASSET|Bond|48.4|1.85|N/A| New Zealand 2.0% 15-MAY-2032| 3.82%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|13.ASSET|Bond|48.4|1.76|N/A| Government of the Philippines 3.625% 22-APR-2028| 3.63%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|14.ASSET|Bond|48.4|1.69|N/A| Japan 0.1% 20-JUN-2031| 3.49%| Broad Asia|Bond|Government Bonds|Treasuries|AGOV|6|15.ASSET|Bond|48.4|1.35|N/A| Government of Indonesia 6.375% 15-APR-2032| 2.78%| Developed Markets|Equity|Materials|Materials|GOEX|6|1.ASSET|Equity|51.3|3.15|HL| Hecla Mining Company| 6.15%| Developed Markets|Equity|Materials|Materials|GOEX|6|2.ASSET|Equity|51.3|2.74|SSRM| SSR Mining Inc| 5.34%| Developed Markets|Equity|Materials|Materials|GOEX|6|3.ASSET|Equity|51.3|2.63|MDKA| PT Merdeka Copper Gold Tbk| 5.12%| Developed Markets|Equity|Materials|Materials|GOEX|6|4.ASSET|Equity|51.3|2.57|PVG| Pretium Resources Inc.| 5.00%| Developed Markets|Equity|Materials|Materials|GOEX|6|5.ASSET|Equity|51.3|2.28|EDV| Endeavour Mining PLC| 4.45%| Developed Markets|Equity|Materials|Materials|GOEX|6|6.ASSET|Equity|51.3|2.25|BTO| B2Gold Corp.| 4.38%| Developed Markets|Equity|Materials|Materials|GOEX|6|7.ASSET|Equity|51.3|2.02|AGI| Alamos Gold Inc.| 3.94%| Developed Markets|Equity|Materials|Materials|GOEX|6|8.ASSET|Equity|51.3|1.9|ELD| Eldorado Gold Corporation| 3.71%| Developed Markets|Equity|Materials|Materials|GOEX|6|9.ASSET|Equity|51.3|1.89|EQX| Equinox Gold Corp.| 3.69%| Developed Markets|Equity|Materials|Materials|GOEX|6|10.ASSET|Equity|51.3|1.6|NG| Novagold Resources Inc| 3.12%| Developed Markets|Equity|Materials|Materials|GOEX|6|11.ASSET|Equity|51.3|1.49|WDO| Wesdome Gold Mines Ltd.| 2.90%| Developed Markets|Equity|Materials|Materials|GOEX|6|12.ASSET|Equity|51.3|1.42|CEY| Centamin plc| 2.76%| Developed Markets|Equity|Materials|Materials|GOEX|6|13.ASSET|Equity|51.3|1.33|PRU| Perseus Mining Limited| 2.60%| Developed Markets|Equity|Materials|Materials|GOEX|6|14.ASSET|Equity|51.3|1.28|OGC| OceanaGold Corporation| 2.50%| Developed Markets|Equity|Materials|Materials|GOEX|6|15.ASSET|Equity|51.3|1.25|KNT| K92 Mining, Inc.| 2.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|1.ASSET|Bond|45.2|0.81|N/A| U.S. Dollar| 1.79%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|2.ASSET|Bond|45.2|0.56|N/A| Oracle Corporation 5.375% 15-JUL-2040| 1.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|3.ASSET|Bond|45.2|0.53|N/A| Oracle Corporation 2.875% 25-MAR-2031| 1.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|4.ASSET|Bond|45.2|0.46|N/A| Bank of America Corporation 1.898% 23-JUL-2031| 1.01%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|5.ASSET|Bond|45.2|0.37|N/A| Wells Fargo & Company 1.654% 02-JUN-2024| 0.81%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|6.ASSET|Bond|45.2|0.34|N/A| Bank of America Corporation 4.2% 26-AUG-2024| 0.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|7.ASSET|Bond|45.2|0.31|N/A| Citigroup Inc. 4.3% 20-NOV-2026| 0.69%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|8.ASSET|Bond|45.2|0.31|N/A| Morgan Stanley Dean Witter & Co. 7.25% 01-APR-2032| 0.69%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|9.ASSET|Bond|45.2|0.29|N/A| Capital One Financial Corporation 3.8% 31-JAN-2028| 0.65%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|10.ASSET|Bond|45.2|0.27|N/A| B.A.T. Capital Corp. 4.7% 02-APR-2027| 0.59%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|11.ASSET|Bond|45.2|0.26|N/A| Phillips 66 3.7% 06-APR-2023| 0.58%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|12.ASSET|Bond|45.2|0.26|N/A| Wells Fargo & Company 4.125% 15-AUG-2023| 0.58%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|13.ASSET|Bond|45.2|0.26|N/A| Enterprise Products Operating LLC 5.95% 01-FEB-2041| 0.57%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|14.ASSET|Bond|45.2|0.26|N/A| Morgan Stanley 3.95% 23-APR-2027| 0.57%| North America|Bond|Corporate Bonds|Investment Grade Corporate|WFIG|6|15.ASSET|Bond|45.2|0.25|N/A| Comcast Corporation 1.5% 15-FEB-2031| 0.56%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|1.ASSET|Bond|40.5|0.37|N/A| Microsoft Corporation 3.3% 06-FEB-2027| 0.91%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|2.ASSET|Bond|40.5|0.21|N/A| Cisco Systems, Inc. 2.5% 20-SEP-2026| 0.53%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|3.ASSET|Bond|40.5|0.21|N/A| Morgan Stanley 3.625% 20-JAN-2027| 0.52%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|4.ASSET|Bond|40.5|0.21|N/A| Apple Inc. 1.65% 08-FEB-2031| 0.51%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|5.ASSET|Bond|40.5|0.21|N/A| JPMorgan Chase & Co. 2.95% 01-OCT-2026| 0.51%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|6.ASSET|Bond|40.5|0.21|N/A| General Electric Capital Corporation 6.75% 15-MAR-2032| 0.51%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|7.ASSET|Bond|40.5|0.2|N/A| Apple Inc. 2.4% 03-MAY-2023| 0.49%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|8.ASSET|Bond|40.5|0.2|N/A| JPMorgan Chase & Co. 4.25% 01-OCT-2027| 0.49%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|9.ASSET|Bond|40.5|0.19|N/A| Wells Fargo & Company 3.0% 22-APR-2026| 0.47%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|10.ASSET|Bond|40.5|0.19|N/A| Berkshire Hathaway Inc. 3.125% 15-MAR-2026| 0.47%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|11.ASSET|Bond|40.5|0.19|N/A| AT&T Inc. 4.3% 15-FEB-2030| 0.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|12.ASSET|Bond|40.5|0.19|N/A| McKesson Corporation 3.796% 15-MAR-2024| 0.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|13.ASSET|Bond|40.5|0.19|N/A| Exxon Mobil Corporation 2.61% 15-OCT-2030| 0.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|14.ASSET|Bond|40.5|0.19|N/A| Bank of America Corporation 3.248% 21-OCT-2027| 0.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|PFIG|6|15.ASSET|Bond|40.5|0.19|N/A| Bank of America Corporation 3.3% 11-JAN-2023| 0.46%| North America|Bond|High Yield Bonds|Junk|BKHY|6|1.ASSET|Bond|50|0.92|N/A| CORPORATE BOND| 1.83%| North America|Bond|High Yield Bonds|Junk|BKHY|6|2.ASSET|Bond|50|0.69|N/A| U.S. Dollar| 1.37%| North America|Bond|High Yield Bonds|Junk|BKHY|6|3.ASSET|Bond|50|0.18|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 0.35%| North America|Bond|High Yield Bonds|Junk|BKHY|6|4.ASSET|Bond|50|0.16|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.31%| North America|Bond|High Yield Bonds|Junk|BKHY|6|5.ASSET|Bond|50|0.14|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.28%| North America|Bond|High Yield Bonds|Junk|BKHY|6|6.ASSET|Bond|50|0.14|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.27%| North America|Bond|High Yield Bonds|Junk|BKHY|6|7.ASSET|Bond|50|0.12|N/A| CCO Holdings LLC 4.25% 01-FEB-2031| 0.24%| North America|Bond|High Yield Bonds|Junk|BKHY|6|8.ASSET|Bond|50|0.11|N/A| TransDigm, Inc. 5.5% 15-NOV-2027| 0.22%| North America|Bond|High Yield Bonds|Junk|BKHY|6|9.ASSET|Bond|50|0.11|N/A| Icahn Enterprises L.P. 4.75% 15-SEP-2024| 0.22%| North America|Bond|High Yield Bonds|Junk|BKHY|6|10.ASSET|Bond|50|0.11|N/A| Intesa Sanpaolo S.p.A. 5.017% 26-JUN-2024| 0.22%| North America|Bond|High Yield Bonds|Junk|BKHY|6|11.ASSET|Bond|50|0.11|N/A| Sprint Corp. 7.875% 15-SEP-2023| 0.22%| North America|Bond|High Yield Bonds|Junk|BKHY|6|12.ASSET|Bond|50|0.11|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.22%| North America|Bond|High Yield Bonds|Junk|BKHY|6|13.ASSET|Bond|50|0.11|N/A| CCO Holdings LLC 5.375% 01-JUN-2029| 0.21%| North America|Bond|High Yield Bonds|Junk|BKHY|6|14.ASSET|Bond|50|0.11|N/A| Carnival Corporation 6.0% 01-MAY-2029| 0.21%| North America|Bond|High Yield Bonds|Junk|BKHY|6|15.ASSET|Bond|50|0.11|N/A| CCO Holdings LLC 4.5% 01-MAY-2032| 0.21%| Global|Equity|Global Equities||ANEW|6|1.ASSET|Equity|33.2|0.9|MKC| McCormick & Company, Incorporated| 2.71%| Global|Equity|Global Equities||ANEW|6|2.ASSET|Equity|33.2|0.85|DE| Deere & Company| 2.56%| Global|Equity|Global Equities||ANEW|6|3.ASSET|Equity|33.2|0.85|AAPL| Apple Inc.| 2.56%| Global|Equity|Global Equities||ANEW|6|4.ASSET|Equity|33.2|0.85|CTVA| Corteva Inc| 2.56%| Global|Equity|Global Equities||ANEW|6|5.ASSET|Equity|33.2|0.76|ROG| Roche Holding Ltd| 2.30%| Global|Equity|Global Equities||ANEW|6|6.ASSET|Equity|33.2|0.76|ABT| Abbott Laboratories| 2.29%| Global|Equity|Global Equities||ANEW|6|7.ASSET|Equity|33.2|0.73|ABBV| AbbVie, Inc.| 2.20%| Global|Equity|Global Equities||ANEW|6|8.ASSET|Equity|33.2|0.73|BKNG| Booking Holdings Inc.| 2.20%| Global|Equity|Global Equities||ANEW|6|9.ASSET|Equity|33.2|0.72|GOOGL| Alphabet Inc. Class A| 2.16%| Global|Equity|Global Equities||ANEW|6|10.ASSET|Equity|33.2|0.7|DHR| Danaher Corporation| 2.12%| Global|Equity|Global Equities||ANEW|6|11.ASSET|Equity|33.2|0.7|MSFT| Microsoft Corporation| 2.12%| Global|Equity|Global Equities||ANEW|6|12.ASSET|Equity|33.2|0.69|IFF| International Flavors & Fragrances Inc.| 2.09%| Global|Equity|Global Equities||ANEW|6|13.ASSET|Equity|33.2|0.69|KRZ| Kerry Group Plc Class A| 2.07%| Global|Equity|Global Equities||ANEW|6|14.ASSET|Equity|33.2|0.68|700| Tencent Holdings Ltd.| 2.05%| Global|Equity|Global Equities||ANEW|6|15.ASSET|Equity|33.2|0.67|GIVN| Givaudan SA| 2.01%| North America|Multi-Asset|All Cap Equities||FFHG|6|1.ASSET|Multi-Asset|38.5|9.85|SHY| iShares 1-3 Year Treasury Bond ETF| 25.58%| North America|Multi-Asset|All Cap Equities||FFHG|6|2.ASSET|Multi-Asset|38.5|9.38|IJR| iShares Core S&P Small Cap ETF| 24.36%| North America|Multi-Asset|All Cap Equities||FFHG|6|3.ASSET|Multi-Asset|38.5|9.36|IJH| iShares Core S&P Mid-Cap ETF| 24.30%| North America|Multi-Asset|All Cap Equities||FFHG|6|4.ASSET|Multi-Asset|38.5|4.5|IVV| iShares Core S&P 500 ETF| 11.69%| North America|Multi-Asset|All Cap Equities||FFHG|6|5.ASSET|Multi-Asset|38.5|1.76|SSO| ProShares Ultra S&P 500| 4.58%| North America|Multi-Asset|All Cap Equities||FFHG|6|6.ASSET|Multi-Asset|38.5|1.75|MVV| ProShares Ultra MidCap400| 4.55%| North America|Multi-Asset|All Cap Equities||FFHG|6|7.ASSET|Multi-Asset|38.5|1.51|UWM| ProShares Ultra Russell2000| 3.93%| North America|Equity|Large Cap Growth Equities||LEAD|6|1.ASSET|Equity|54.6|1.85|FGXXX| First American Funds Inc X Government Obligations Fund| 3.38%| North America|Equity|Large Cap Growth Equities||LEAD|6|2.ASSET|Equity|54.6|1.17|LHX| L3Harris Technologies Inc| 2.15%| North America|Equity|Large Cap Growth Equities||LEAD|6|3.ASSET|Equity|54.6|1.13|MA| Mastercard Incorporated Class A| 2.07%| North America|Equity|Large Cap Growth Equities||LEAD|6|4.ASSET|Equity|54.6|1.1|NDSN| Nordson Corporation| 2.01%| North America|Equity|Large Cap Growth Equities||LEAD|6|5.ASSET|Equity|54.6|1.08|NUE| Nucor Corporation| 1.97%| North America|Equity|Large Cap Growth Equities||LEAD|6|6.ASSET|Equity|54.6|1.04|EOG| EOG Resources, Inc.| 1.91%| North America|Equity|Large Cap Growth Equities||LEAD|6|7.ASSET|Equity|54.6|1.04|SHW| Sherwin-Williams Company| 1.90%| North America|Equity|Large Cap Growth Equities||LEAD|6|8.ASSET|Equity|54.6|1.04|MCK| McKesson Corporation| 1.90%| North America|Equity|Large Cap Growth Equities||LEAD|6|9.ASSET|Equity|54.6|0.95|HSY| Hershey Company| 1.74%| North America|Equity|Large Cap Growth Equities||LEAD|6|10.ASSET|Equity|54.6|0.9|AAPL| Apple Inc.| 1.64%| North America|Equity|Large Cap Growth Equities||LEAD|6|11.ASSET|Equity|54.6|0.88|V| Visa Inc. Class A| 1.61%| North America|Equity|Large Cap Growth Equities||LEAD|6|12.ASSET|Equity|54.6|0.87|ATVI| Activision Blizzard, Inc.| 1.60%| North America|Equity|Large Cap Growth Equities||LEAD|6|13.ASSET|Equity|54.6|0.86|BRO| Brown & Brown, Inc.| 1.57%| North America|Equity|Large Cap Growth Equities||LEAD|6|14.ASSET|Equity|54.6|0.85|DPZ| Domino\'s Pizza, Inc.| 1.56%| North America|Equity|Large Cap Growth Equities||LEAD|6|15.ASSET|Equity|54.6|0.85|DFS| Discover Financial Services| 1.56%| North America|Equity|All Cap Equities||VFMV|6|1.ASSET|Equity|52.8|0.91|WMB| Williams Companies, Inc.| 1.73%| North America|Equity|All Cap Equities||VFMV|6|2.ASSET|Equity|52.8|0.86|EQC| Equity Commonwealth| 1.63%| North America|Equity|All Cap Equities||VFMV|6|3.ASSET|Equity|52.8|0.86|BMY| Bristol-Myers Squibb Company| 1.63%| North America|Equity|All Cap Equities||VFMV|6|4.ASSET|Equity|52.8|0.82|AAPL| Apple Inc.| 1.55%| North America|Equity|All Cap Equities||VFMV|6|5.ASSET|Equity|52.8|0.81|VZ| Verizon Communications Inc.| 1.54%| North America|Equity|All Cap Equities||VFMV|6|6.ASSET|Equity|52.8|0.81|BDX| Becton, Dickinson and Company| 1.54%| North America|Equity|All Cap Equities||VFMV|6|7.ASSET|Equity|52.8|0.8|AMGN| Amgen Inc.| 1.51%| North America|Equity|All Cap Equities||VFMV|6|8.ASSET|Equity|52.8|0.79|ED| Consolidated Edison, Inc.| 1.50%| North America|Equity|All Cap Equities||VFMV|6|9.ASSET|Equity|52.8|0.79|VRNT| Verint Systems Inc.| 1.49%| North America|Equity|All Cap Equities||VFMV|6|10.ASSET|Equity|52.8|0.79|PG| Procter & Gamble Company| 1.49%| North America|Equity|All Cap Equities||VFMV|6|11.ASSET|Equity|52.8|0.79|TMUS| T-Mobile US, Inc.| 1.49%| North America|Equity|All Cap Equities||VFMV|6|12.ASSET|Equity|52.8|0.78|T| AT&T Inc.| 1.47%| North America|Equity|All Cap Equities||VFMV|6|13.ASSET|Equity|52.8|0.77|ICE| Intercontinental Exchange, Inc.| 1.46%| North America|Equity|All Cap Equities||VFMV|6|14.ASSET|Equity|52.8|0.77|FCN| FTI Consulting, Inc.| 1.46%| North America|Equity|All Cap Equities||VFMV|6|15.ASSET|Equity|52.8|0.77|JNJ| Johnson & Johnson| 1.45%| Developed Markets|Equity|Global Equities|Healthcare|VMOT|6|1.ASSET|Equity|44.4|12.52|N/A| U.S. Dollar| 28.20%| Developed Markets|Equity|Global Equities|Healthcare|VMOT|6|2.ASSET|Equity|44.4|12.46|IMOM| Alpha Architect International Quantitative Momentum ETF| 28.06%| Developed Markets|Equity|Global Equities|Healthcare|VMOT|6|3.ASSET|Equity|44.4|12.22|IVAL| Alpha Architect International Quantitative Value ETF| 27.53%| Developed Markets|Equity|Global Equities|Healthcare|VMOT|6|4.ASSET|Equity|44.4|9.58|QMOM| Alpha Architect U.S. Quantitative Momentum ETF| 21.57%| Developed Markets|Equity|Global Equities|Healthcare|VMOT|6|5.ASSET|Equity|44.4|9.32|QVAL| Alpha Architect U.S. Quantitative Value ETF| 20.99%| Developed Markets|Equity|Global Equities|Healthcare|VMOT|6|6.ASSET|Equity|44.4|0.19|FGXXX| First American Funds Inc X Government Obligations Fund| 0.43%| Developed Markets|Equity|Global Equities|Healthcare|VMOT|6|7.ASSET|Equity|44.4|-11.89|N/A| SHORT POSITIONS| -26.78%| North America|Equity|Large Cap Value Equities||SPDV|6|1.ASSET|Equity|55.8|1.26|OGN| Organon & Co.| 2.26%| North America|Equity|Large Cap Value Equities||SPDV|6|2.ASSET|Equity|55.8|1.25|LMT| Lockheed Martin Corporation| 2.24%| North America|Equity|Large Cap Value Equities||SPDV|6|3.ASSET|Equity|55.8|1.21|CVX| Chevron Corporation| 2.16%| North America|Equity|Large Cap Value Equities||SPDV|6|4.ASSET|Equity|55.8|1.16|GD| General Dynamics Corporation| 2.07%| North America|Equity|Large Cap Value Equities||SPDV|6|5.ASSET|Equity|55.8|1.14|ABBV| AbbVie, Inc.| 2.05%| North America|Equity|Large Cap Value Equities||SPDV|6|6.ASSET|Equity|55.8|1.14|WMB| Williams Companies, Inc.| 2.05%| North America|Equity|Large Cap Value Equities||SPDV|6|7.ASSET|Equity|55.8|1.12|NEM| Newmont Corporation| 2.01%| North America|Equity|Large Cap Value Equities||SPDV|6|8.ASSET|Equity|55.8|1.12|BMY| Bristol-Myers Squibb Company| 2.01%| North America|Equity|Large Cap Value Equities||SPDV|6|9.ASSET|Equity|55.8|1.12|XOM| Exxon Mobil Corporation| 2.00%| North America|Equity|Large Cap Value Equities||SPDV|6|10.ASSET|Equity|55.8|1.1|OMC| Omnicom Group Inc| 1.98%| North America|Equity|Large Cap Value Equities||SPDV|6|11.ASSET|Equity|55.8|1.09|KHC| Kraft Heinz Company| 1.95%| North America|Equity|Large Cap Value Equities||SPDV|6|12.ASSET|Equity|55.8|1.08|BXP| Boston Properties, Inc.| 1.93%| North America|Equity|Large Cap Value Equities||SPDV|6|13.ASSET|Equity|55.8|1.07|HII| Huntington Ingalls Industries, Inc.| 1.92%| North America|Equity|Large Cap Value Equities||SPDV|6|14.ASSET|Equity|55.8|1.06|STX| Seagate Technology Holdings PLC| 1.90%| North America|Equity|Large Cap Value Equities||SPDV|6|15.ASSET|Equity|55.8|1.05|MO| Altria Group Inc| 1.89%| North America|Equity|Global Equities||WBIG|6|1.ASSET|Equity|41.4|14.21|N/A| U.S. Dollar| 34.33%| North America|Equity|Global Equities||WBIG|6|2.ASSET|Equity|41.4|2.31|LMT| Lockheed Martin Corporation| 5.58%| North America|Equity|Global Equities||WBIG|6|3.ASSET|Equity|41.4|1.88|BKR| Baker Hughes Company Class A| 4.55%| North America|Equity|Global Equities||WBIG|6|4.ASSET|Equity|41.4|1.87|RTX| Raytheon Technologies Corporation| 4.51%| North America|Equity|Global Equities||WBIG|6|5.ASSET|Equity|41.4|1.86|ORI| Old Republic International Corporation| 4.49%| North America|Equity|Global Equities||WBIG|6|6.ASSET|Equity|41.4|1.85|ABBV| AbbVie, Inc.| 4.46%| North America|Equity|Global Equities||WBIG|6|7.ASSET|Equity|41.4|1.76|DOW| Dow, Inc.| 4.26%| North America|Equity|Global Equities||WBIG|6|8.ASSET|Equity|41.4|1.76|NUE| Nucor Corporation| 4.26%| North America|Equity|Global Equities||WBIG|6|9.ASSET|Equity|41.4|1.73|USB| U.S. Bancorp| 4.19%| North America|Equity|Global Equities||WBIG|6|10.ASSET|Equity|41.4|1.7|PG| Procter & Gamble Company| 4.10%| North America|Equity|Global Equities||WBIG|6|11.ASSET|Equity|41.4|1.68|BMY| Bristol-Myers Squibb Company| 4.07%| North America|Equity|Global Equities||WBIG|6|12.ASSET|Equity|41.4|1.68|TAP| Molson Coors Beverage Company Class B| 4.06%| North America|Equity|Global Equities||WBIG|6|13.ASSET|Equity|41.4|1.65|TRV| Travelers Companies, Inc.| 3.98%| North America|Equity|Global Equities||WBIG|6|14.ASSET|Equity|41.4|1.61|PNC| PNC Financial Services Group, Inc.| 3.88%| North America|Equity|Global Equities||WBIG|6|15.ASSET|Equity|41.4|1.35|COP| ConocoPhillips| 3.25%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|1.ASSET|Equity|53.1|7.7|600519| Kweichow Moutai Co., Ltd. Class A| 14.51%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|2.ASSET|Equity|53.1|4.91|000858| Wuliangye Yibin Co., Ltd. Class A| 9.24%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|3.ASSET|Equity|53.1|3.75|000333| Midea Group Co. Ltd. Class A| 7.06%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|4.ASSET|Equity|53.1|3.21|002714| Muyuan Foods Co., Ltd. Class A| 6.05%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|5.ASSET|Equity|53.1|3.03|600887| Inner Mongolia Yili Industrial Group Co., Ltd. Class A| 5.70%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|6.ASSET|Equity|53.1|2.88|000568| Luzhou Laojiao Company Limited Class A| 5.42%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|7.ASSET|Equity|53.1|2.62|002304| Jiangsu Yanghe Brewery Joint-Stock Co., Ltd. Class A| 4.94%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|8.ASSET|Equity|53.1|2.53|603288| Foshan Haitian Flavouring & Food Co., Ltd. Class A| 4.77%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|9.ASSET|Equity|53.1|2.51|601888| China Tourism Group Duty Free Corporation Limited Class A| 4.72%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|10.ASSET|Equity|53.1|2.45|000651| Gree Electric Appliances, Inc. of Zhuhai Class A| 4.61%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|11.ASSET|Equity|53.1|2.25|2331| Li Ning Company Limited| 4.23%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|12.ASSET|Equity|53.1|1.94|2020| ANTA Sports Products Ltd.| 3.65%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|13.ASSET|Equity|53.1|1.9|2319| China Mengniu Dairy Co., Ltd.| 3.57%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|14.ASSET|Equity|53.1|1.75|600809| Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A| 3.30%| Emerging Asia Pacific|Equity|China Equities|Consumer Discretionary|KBUY|6|15.ASSET|Equity|53.1|1.6|600690| Haier Smart Home Co., Ltd. Class A| 3.01%| North America|Equity|Large Cap Growth Equities||TGRW|6|1.ASSET|Equity|44.3|5.03|MSFT| Microsoft Corporation| 11.35%| North America|Equity|Large Cap Growth Equities||TGRW|6|2.ASSET|Equity|44.3|5.01|AMZN| Amazon.com, Inc.| 11.30%| North America|Equity|Large Cap Growth Equities||TGRW|6|3.ASSET|Equity|44.3|3.14|AAPL| Apple Inc.| 7.09%| North America|Equity|Large Cap Growth Equities||TGRW|6|4.ASSET|Equity|44.3|2.41|TSLA| Tesla Inc| 5.45%| North America|Equity|Large Cap Growth Equities||TGRW|6|5.ASSET|Equity|44.3|2.12|GOOGL| Alphabet Inc. Class A| 4.79%| North America|Equity|Large Cap Growth Equities||TGRW|6|6.ASSET|Equity|44.3|2.12|GOOG| Alphabet Inc. Class C| 4.79%| North America|Equity|Large Cap Growth Equities||TGRW|6|7.ASSET|Equity|44.3|1.21|FB| Meta Platforms Inc. Class A| 2.74%| North America|Equity|Large Cap Growth Equities||TGRW|6|8.ASSET|Equity|44.3|1.02|NVDA| NVIDIA Corporation| 2.30%| North America|Equity|Large Cap Growth Equities||TGRW|6|9.ASSET|Equity|44.3|0.87|INTU| Intuit Inc.| 1.96%| North America|Equity|Large Cap Growth Equities||TGRW|6|10.ASSET|Equity|44.3|0.81|V| Visa Inc. Class A| 1.83%| North America|Equity|Large Cap Growth Equities||TGRW|6|11.ASSET|Equity|44.3|0.71|MA| Mastercard Incorporated Class A| 1.61%| North America|Equity|Large Cap Growth Equities||TGRW|6|12.ASSET|Equity|44.3|0.71|NOW| ServiceNow, Inc.| 1.60%| North America|Equity|Large Cap Growth Equities||TGRW|6|13.ASSET|Equity|44.3|0.67|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 1.52%| North America|Equity|Large Cap Growth Equities||TGRW|6|14.ASSET|Equity|44.3|0.65|ISRG| Intuitive Surgical, Inc.| 1.47%| North America|Equity|Large Cap Growth Equities||TGRW|6|15.ASSET|Equity|44.3|0.63|ASML| ASML Holding NV ADR| 1.42%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|1.ASSET|Equity|34.2|2.06|7974| Nintendo Co., Ltd.| 6.02%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|2.ASSET|Equity|34.2|1.94|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 5.66%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|3.ASSET|Equity|34.2|1.49|IFC| Intact Financial Corporation| 4.36%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|4.ASSET|Equity|34.2|1.47|1299| AIA Group Limited| 4.31%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|5.ASSET|Equity|34.2|1.35|7733| Olympus Corp.| 3.94%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|6.ASSET|Equity|34.2|1.28|SU| Schneider Electric SE| 3.74%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|7.ASSET|Equity|34.2|1.24|BLX| Boralex Inc. Class A| 3.62%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|8.ASSET|Equity|34.2|1.22|IFX| Infineon Technologies AG| 3.57%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|9.ASSET|Equity|34.2|1.22|7701| Shimadzu Corporation| 3.56%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|10.ASSET|Equity|34.2|1.17|INE| Innergex Renewable Energy Inc.| 3.42%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|11.ASSET|Equity|34.2|1.16|6981| Murata Manufacturing Co., Ltd.| 3.38%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|12.ASSET|Equity|34.2|1.16|ASML| ASML Holding NV| 3.38%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|13.ASSET|Equity|34.2|1.11|SSE| SSE plc| 3.25%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|14.ASSET|Equity|34.2|1.1|ADS| adidas AG| 3.22%| Global ex-U.S.|Equity|All Cap Equities||SXUS|6|15.ASSET|Equity|34.2|1.08|ALV| Allianz SE| 3.17%| Developed Markets|Multi-Asset|n/a||TRTY|6|1.ASSET|Multi-Asset|47.3|6.17|VAMO| Cambria Value & Momentum ETF| 13.05%| Developed Markets|Multi-Asset|n/a||TRTY|6|2.ASSET|Multi-Asset|47.3|5.95|SYLD| Cambria Shareholder Yield ETF| 12.58%| Developed Markets|Multi-Asset|n/a||TRTY|6|3.ASSET|Multi-Asset|47.3|3.46|VGIT| Vanguard Intermediate-Term Treasury ETF| 7.31%| Developed Markets|Multi-Asset|n/a||TRTY|6|4.ASSET|Multi-Asset|47.3|3.35|FYLD| Cambria Foreign Shareholder Yield ETF| 7.08%| Developed Markets|Multi-Asset|n/a||TRTY|6|5.ASSET|Multi-Asset|47.3|2.91|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 6.15%| Developed Markets|Multi-Asset|n/a||TRTY|6|6.ASSET|Multi-Asset|47.3|2.49|BLDG| Cambria Global Real Estate ETF| 5.26%| Developed Markets|Multi-Asset|n/a||TRTY|6|7.ASSET|Multi-Asset|47.3|2.16|BND| Vanguard Total Bond Market ETF| 4.56%| Developed Markets|Multi-Asset|n/a||TRTY|6|8.ASSET|Multi-Asset|47.3|1.81|GVAL| Cambria Global Value ETF| 3.83%| Developed Markets|Multi-Asset|n/a||TRTY|6|9.ASSET|Multi-Asset|47.3|1.68|EYLD| Cambria Emerging Shareholder Yield ETF| 3.56%| Developed Markets|Multi-Asset|n/a||TRTY|6|10.ASSET|Multi-Asset|47.3|1.58|WTMF| WisdomTree Managed Futures Strategy Fund| 3.34%| Developed Markets|Multi-Asset|n/a||TRTY|6|11.ASSET|Multi-Asset|47.3|1.53|DBB| Invesco DB Base Metals Fund| 3.24%| Developed Markets|Multi-Asset|n/a||TRTY|6|12.ASSET|Multi-Asset|47.3|1.49|DBE| Invesco DB Energy Fund| 3.16%| Developed Markets|Multi-Asset|n/a||TRTY|6|13.ASSET|Multi-Asset|47.3|1.45|IXC| iShares Global Energy ETF| 3.07%| Developed Markets|Multi-Asset|n/a||TRTY|6|14.ASSET|Multi-Asset|47.3|1.41|EMLC| VanEck J. P. Morgan EM Local Currency Bond ETF| 2.98%| Developed Markets|Multi-Asset|n/a||TRTY|6|15.ASSET|Multi-Asset|47.3|1.32|GUNR| FlexShares Morningstar Global Upstream Natural Resources Index Fund| 2.79%| North America|Equity|All Cap Equities||DDIV|6|1.ASSET|Equity|70.3|3.63|OKE| ONEOK, Inc.| 5.17%| North America|Equity|All Cap Equities||DDIV|6|2.ASSET|Equity|70.3|3.58|WMB| Williams Companies, Inc.| 5.09%| North America|Equity|All Cap Equities||DDIV|6|3.ASSET|Equity|70.3|2.82|SRC| Spirit Realty Capital, Inc.| 4.01%| North America|Equity|All Cap Equities||DDIV|6|4.ASSET|Equity|70.3|2.23|PRU| Prudential Financial, Inc.| 3.17%| North America|Equity|All Cap Equities||DDIV|6|5.ASSET|Equity|70.3|2.07|BRX| Brixmor Property Group, Inc.| 2.95%| North America|Equity|All Cap Equities||DDIV|6|6.ASSET|Equity|70.3|2.06|SPG| Simon Property Group, Inc.| 2.93%| North America|Equity|All Cap Equities||DDIV|6|7.ASSET|Equity|70.3|2.06|EOG| EOG Resources, Inc.| 2.93%| North America|Equity|All Cap Equities||DDIV|6|8.ASSET|Equity|70.3|2.05|MPC| Marathon Petroleum Corporation| 2.91%| North America|Equity|All Cap Equities||DDIV|6|9.ASSET|Equity|70.3|2|LAMR| Lamar Advertising Company Class A| 2.85%| North America|Equity|All Cap Equities||DDIV|6|10.ASSET|Equity|70.3|1.98|ACC| American Campus Communities, Inc.| 2.82%| North America|Equity|All Cap Equities||DDIV|6|11.ASSET|Equity|70.3|1.88|AIRC| Apartment Income REIT Corp| 2.67%| North America|Equity|All Cap Equities||DDIV|6|12.ASSET|Equity|70.3|1.84|PFG| Principal Financial Group, Inc.| 2.62%| North America|Equity|All Cap Equities||DDIV|6|13.ASSET|Equity|70.3|1.83|CUBE| CubeSmart| 2.61%| North America|Equity|All Cap Equities||DDIV|6|14.ASSET|Equity|70.3|1.77|STAG| STAG Industrial, Inc.| 2.52%| North America|Equity|All Cap Equities||DDIV|6|15.ASSET|Equity|70.3|1.77|DRI| Darden Restaurants, Inc.| 2.52%| North America|Equity|Large Cap Growth Equities||LFEQ|6|1.ASSET|Equity|41.7|41.67|VOO| Vanguard S&P 500 ETF| 99.93%| North America|Equity|Large Cap Growth Equities||LFEQ|6|2.ASSET|Equity|41.7|0.03|N/A| U.S. Dollar| 0.07%| North America|Equity|Volatility Hedged Equity||UAUG|6|1.ASSET|Equity|27.2|27.2|N/A| Cash Component| 100.00%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|1.ASSET|Equity|47.7|3.27|SMPL| Simply Good Foods Co| 6.85%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|2.ASSET|Equity|47.7|3.07|TWNK| Hostess Brands, Inc. Class A| 6.43%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|3.ASSET|Equity|47.7|2.8|WDFC| WD-40 Company| 5.88%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|4.ASSET|Equity|47.7|2.43|CELH| Celsius Holdings, Inc.| 5.09%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|5.ASSET|Equity|47.7|2.33|JJSF| J & J Snack Foods Corp.| 4.89%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|6.ASSET|Equity|47.7|2.26|COKE| Coca-Cola Consolidated, Inc.| 4.73%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|7.ASSET|Equity|47.7|2.25|UNFI| United Natural Foods, Inc.| 4.71%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|8.ASSET|Equity|47.7|2.03|MED| Medifast, Inc.| 4.25%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|9.ASSET|Equity|47.7|1.97|THS| TreeHouse Foods, Inc.| 4.12%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|10.ASSET|Equity|47.7|1.92|EPC| Edgewell Personal Care Co.| 4.02%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|11.ASSET|Equity|47.7|1.9|BGS| B&G Foods, Inc.| 3.98%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|12.ASSET|Equity|47.7|1.81|PSMT| PriceSmart, Inc.| 3.79%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|13.ASSET|Equity|47.7|1.73|CENTA| Central Garden & Pet Company Class A| 3.62%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|14.ASSET|Equity|47.7|1.66|CALM| Cal-Maine Foods, Inc.| 3.49%| North America|Equity|Consumer Staples Equities|Consumer Staples|PSCC|6|15.ASSET|Equity|47.7|1.62|IPAR| Inter Parfums, Inc.| 3.40%| Africa|Equity|Emerging Markets Equities||NGE|6|1.ASSET|Equity|43.9|6.8|DANGCEM| Dangote Cement PLC| 15.49%| Africa|Equity|Emerging Markets Equities||NGE|6|2.ASSET|Equity|43.9|3.95|GTCO| Guaranty Trust Holding Company Plc| 8.99%| Africa|Equity|Emerging Markets Equities||NGE|6|3.ASSET|Equity|43.9|3.9|NESTLE| Nestle Nigeria Plc| 8.88%| Africa|Equity|Emerging Markets Equities||NGE|6|4.ASSET|Equity|43.9|3.76|ZENITHBANK| Zenith Bank PLC| 8.57%| Africa|Equity|Emerging Markets Equities||NGE|6|5.ASSET|Equity|43.9|2.78|FBNH| FBN Holdings Plc| 6.33%| Africa|Equity|Emerging Markets Equities||NGE|6|6.ASSET|Equity|43.9|2.45|MTNN| MTN Nigeria Communications Plc| 5.59%| Africa|Equity|Emerging Markets Equities||NGE|6|7.ASSET|Equity|43.9|1.89|ETI| Ecobank Transnational, Inc.| 4.30%| Africa|Equity|Emerging Markets Equities||NGE|6|8.ASSET|Equity|43.9|1.73|FLOURMILL| Flour Mills Nigeria Plc| 3.93%| Africa|Equity|Emerging Markets Equities||NGE|6|9.ASSET|Equity|43.9|1.71|WAPCO| Lafarge Africa Plc| 3.90%| Africa|Equity|Emerging Markets Equities||NGE|6|10.ASSET|Equity|43.9|1.69|UBA| United Bank for Africa PLC| 3.84%| Africa|Equity|Emerging Markets Equities||NGE|6|11.ASSET|Equity|43.9|1.59|ACCESS| Access Bank PLC| 3.63%| Africa|Equity|Emerging Markets Equities||NGE|6|12.ASSET|Equity|43.9|1.56|STANBIC| Stanbic IBTC Holdings Plc| 3.56%| Africa|Equity|Emerging Markets Equities||NGE|6|13.ASSET|Equity|43.9|1.51|N/A| U.S. Dollar| 3.43%| Africa|Equity|Emerging Markets Equities||NGE|6|14.ASSET|Equity|43.9|1.41|NB| Nigerian Breweries PLC| 3.22%| Africa|Equity|Emerging Markets Equities||NGE|6|15.ASSET|Equity|43.9|1.33|FCMB| FCMB Group Plc| 3.03%| North America|Equity|Leveraged Equities||FNGD|6|1.ASSET|Equity|88.5|177|N/A| Cash Component| 200.00%| North America|Equity|Leveraged Equities||FNGD|6|2.ASSET|Equity|88.5|-7.57|NVDA| NVIDIA Corp| -8.55%| North America|Equity|Leveraged Equities||FNGD|6|3.ASSET|Equity|88.5|-7.94|BIDU| Baidu Inc| -8.97%| North America|Equity|Leveraged Equities||FNGD|6|4.ASSET|Equity|88.5|-8.1|AMZN| Amazon.com Inc| -9.15%| North America|Equity|Leveraged Equities||FNGD|6|5.ASSET|Equity|88.5|-8.12|NFLX| Netflix Inc| -9.18%| North America|Equity|Leveraged Equities||FNGD|6|6.ASSET|Equity|88.5|-8.45|BABA| Alibaba Group Holding Ltd| -9.55%| North America|Equity|Leveraged Equities||FNGD|6|7.ASSET|Equity|88.5|-8.62|GOOGL| Alphabet Inc| -9.74%| North America|Equity|Leveraged Equities||FNGD|6|8.ASSET|Equity|88.5|-8.69|FB| Facebook Inc| -9.82%| North America|Equity|Leveraged Equities||FNGD|6|9.ASSET|Equity|88.5|-8.84|AAPL| Apple Inc| -9.99%| North America|Equity|Leveraged Equities||FNGD|6|10.ASSET|Equity|88.5|-10.77|TSLA| Tesla Inc| -12.17%| North America|Equity|Leveraged Equities||FNGD|6|11.ASSET|Equity|88.5|-11.4|TWTR| Twitter Inc| -12.88%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|1.ASSET|Bond|48.7|1.89|N/A| Carnival Corporation 5.75% 01-MAR-2027| 3.89%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|2.ASSET|Bond|48.7|1.11|N/A| Par Pharmaceutical, Inc. 7.5% 01-APR-2027| 2.28%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|3.ASSET|Bond|48.7|1.02|N/A| Nexstar Escrow, Inc. 5.625% 15-JUL-2027| 2.09%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|4.ASSET|Bond|48.7|0.98|N/A| Bausch Health Companies Inc. 8.5% 31-JAN-2027| 2.01%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|5.ASSET|Bond|48.7|0.91|N/A| Vertical US Newco, Inc. 5.25% 15-JUL-2027| 1.87%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|6.ASSET|Bond|48.7|0.85|N/A| Tenet Healthcare Corporation 5.125% 01-NOV-2027| 1.74%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|7.ASSET|Bond|48.7|0.81|N/A| Icahn Enterprises L.P. 5.25% 15-MAY-2027| 1.66%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|8.ASSET|Bond|48.7|0.79|N/A| FirstEnergy Corp. 4.4% 15-JUL-2027| 1.63%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|9.ASSET|Bond|48.7|0.78|N/A| Zayo Group Holdings, Inc. 4.0% 01-MAR-2027| 1.61%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|10.ASSET|Bond|48.7|0.74|N/A| Albertsons Companies, Inc. 4.625% 15-JAN-2027| 1.51%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|11.ASSET|Bond|48.7|0.73|N/A| Vistra Operations Co. LLC 5.0% 31-JUL-2027| 1.49%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|12.ASSET|Bond|48.7|0.72|N/A| Alliant Holdings Intermediate LLC 6.75% 15-OCT-2027| 1.48%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|13.ASSET|Bond|48.7|0.71|N/A| EQT Corporation 3.9% 01-OCT-2027| 1.45%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|14.ASSET|Bond|48.7|0.7|N/A| Clear Channel Outdoor Holdings, Inc. 5.125% 15-AUG-2027| 1.43%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJR|6|15.ASSET|Bond|48.7|0.68|N/A| Herc Holdings, Inc. 5.5% 15-JUL-2027| 1.40%| Developed Markets|Multi-Asset|Hedge Fund||ROMO|6|1.ASSET|Multi-Asset|52.4|27.96|IVV| iShares Core S&P 500 ETF| 53.36%| Developed Markets|Multi-Asset|Hedge Fund||ROMO|6|2.ASSET|Multi-Asset|52.4|13.43|SHY| iShares 1-3 Year Treasury Bond ETF| 25.63%| Developed Markets|Multi-Asset|Hedge Fund||ROMO|6|3.ASSET|Multi-Asset|52.4|7.03|IEF| iShares 7-10 Year Treasury Bond ETF| 13.42%| Developed Markets|Multi-Asset|Hedge Fund||ROMO|6|4.ASSET|Multi-Asset|52.4|3.84|IEFA| iShares Core MSCI EAFE ETF| 7.33%| Developed Markets|Multi-Asset|Hedge Fund||ROMO|6|5.ASSET|Multi-Asset|52.4|0.14|N/A| U.S. Dollar| 0.26%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|1.ASSET|Equity|35.2|4.75|AMD| Advanced Micro Devices, Inc.| 13.49%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|2.ASSET|Equity|35.2|3.03|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 8.62%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|3.ASSET|Equity|35.2|2.69|NVDA| NVIDIA Corporation| 7.65%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|4.ASSET|Equity|35.2|2.48|MRVL| Marvell Technology, Inc.| 7.05%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|5.ASSET|Equity|35.2|2.43|QCOM| Qualcomm Inc| 6.91%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|6.ASSET|Equity|35.2|1.86|AMZN| Amazon.com, Inc.| 5.29%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|7.ASSET|Equity|35.2|1.76|MSFT| Microsoft Corporation| 4.99%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|8.ASSET|Equity|35.2|1.65|GOOG| Alphabet Inc. Class C| 4.70%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|9.ASSET|Equity|35.2|1.38|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 3.91%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|10.ASSET|Equity|35.2|1.25|3690| Meituan Class B| 3.54%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|11.ASSET|Equity|35.2|1.15|2454| MediaTek Inc| 3.28%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|12.ASSET|Equity|35.2|1.12|DDOG| Datadog Inc Class A| 3.19%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|13.ASSET|Equity|35.2|0.96|MDB| MongoDB, Inc. Class A| 2.73%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|14.ASSET|Equity|35.2|0.9|NOW| ServiceNow, Inc.| 2.56%| Developed Markets|Equity|Large Cap Growth Equities|Technology|WUGI|6|15.ASSET|Equity|35.2|0.79|WDAY| Workday, Inc. Class A| 2.25%| Global|Equity|Global Equities||FMAG|6|1.ASSET|Equity|47.7|3.82|AAPL| Apple Inc.| 8.01%| Global|Equity|Global Equities||FMAG|6|2.ASSET|Equity|47.7|3.67|MSFT| Microsoft Corporation| 7.70%| Global|Equity|Global Equities||FMAG|6|3.ASSET|Equity|47.7|2.2|AMZN| Amazon.com, Inc.| 4.62%| Global|Equity|Global Equities||FMAG|6|4.ASSET|Equity|47.7|1.46|FB| Meta Platforms Inc. Class A| 3.06%| Global|Equity|Global Equities||FMAG|6|5.ASSET|Equity|47.7|1.36|NVDA| NVIDIA Corporation| 2.85%| Global|Equity|Global Equities||FMAG|6|6.ASSET|Equity|47.7|1.28|GOOGL| Alphabet Inc. Class A| 2.68%| Global|Equity|Global Equities||FMAG|6|7.ASSET|Equity|47.7|1.23|GOOG| Alphabet Inc. Class C| 2.58%| Global|Equity|Global Equities||FMAG|6|8.ASSET|Equity|47.7|1.09|UNH| UnitedHealth Group Incorporated| 2.28%| Global|Equity|Global Equities||FMAG|6|9.ASSET|Equity|47.7|0.99|HD| Home Depot, Inc.| 2.08%| Global|Equity|Global Equities||FMAG|6|10.ASSET|Equity|47.7|0.84|ACN| Accenture Plc Class A| 1.77%| Global|Equity|Global Equities||FMAG|6|11.ASSET|Equity|47.7|0.83|MA| Mastercard Incorporated Class A| 1.74%| Global|Equity|Global Equities||FMAG|6|12.ASSET|Equity|47.7|0.83|ADBE| Adobe Inc.| 1.73%| Global|Equity|Global Equities||FMAG|6|13.ASSET|Equity|47.7|0.78|COST| Costco Wholesale Corporation| 1.64%| Global|Equity|Global Equities||FMAG|6|14.ASSET|Equity|47.7|0.78|CRM| salesforce.com, inc.| 1.64%| Global|Equity|Global Equities||FMAG|6|15.ASSET|Equity|47.7|0.77|NFLX| Netflix, Inc.| 1.62%| Developed Markets|Equity|Leveraged Equities||UBOT|6|1.ASSET|Equity|26.9|10.88|BOTZ| Global X Robotics & Artificial Intelligence ETF| 40.45%| Developed Markets|Equity|Leveraged Equities||UBOT|6|2.ASSET|Equity|26.9|4.07|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 15.14%| Developed Markets|Equity|Leveraged Equities||UBOT|6|3.ASSET|Equity|26.9|0.84|DGCXX| Dreyfus Government Cash Management Funds Institutional| 3.13%| North America|Equity|n/a||SHUS|6|1.ASSET|Equity|48.3|40.94|SSPY| Syntax Stratified LargeCap ETF| 84.77%| North America|Equity|n/a||SHUS|6|2.ASSET|Equity|48.3|4.73|SMDY| Syntax Stratified MidCap ETF| 9.79%| North America|Equity|n/a||SHUS|6|3.ASSET|Equity|48.3|2.24|SSLY| Syntax Stratified SmallCap ETF| 4.64%| North America|Equity|n/a||SHUS|6|4.ASSET|Equity|48.3|0.39|N/A| U.S. Dollar| 0.80%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|1.ASSET|Equity|31.3|5.61|300750| Contemporary Amperex Technology Co., Ltd. Class A| 17.92%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|2.ASSET|Equity|31.3|1.97|300059| East Money Information Co., Ltd Class A| 6.28%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|3.ASSET|Equity|31.3|1.26|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 4.01%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|4.ASSET|Equity|31.3|1.08|300274| Sungrow Power Supply Co., Ltd. Class A| 3.44%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|5.ASSET|Equity|31.3|0.99|300124| Shenzhen Inovance Technology Co., Ltd Class A| 3.17%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|6.ASSET|Equity|31.3|0.97|300014| EVE Energy Co. Ltd. Class A| 3.11%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|7.ASSET|Equity|31.3|0.9|300498| Wen\'s Foodstuff Group Co., Ltd. Class A| 2.87%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|8.ASSET|Equity|31.3|0.85|300122| Chongqing Zhifei Biological Products Co., Ltd. Class A| 2.70%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|9.ASSET|Equity|31.3|0.75|300015| Aier Eye Hospital Group Co., Ltd. Class A| 2.41%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|10.ASSET|Equity|31.3|0.68|300142| Walvax Biotechnology Co., Ltd. Class A| 2.18%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|11.ASSET|Equity|31.3|0.68|N/A| U.S. Dollar| 2.17%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|12.ASSET|Equity|31.3|0.6|300450| Wuxi Lead Intelligent Equipment Co. Ltd. Class A| 1.93%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|13.ASSET|Equity|31.3|0.5|300782| Maxscend Microelectronics Company Limited Class A| 1.59%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|14.ASSET|Equity|31.3|0.49|300347| Hangzhou Tigermed Consulting Co., Ltd. Class A| 1.58%| Emerging Asia Pacific|Equity|China Equities||CNXT|6|15.ASSET|Equity|31.3|0.45|300661| SG Micro Corp. Class A| 1.43%| North America|Equity|Technology Equities|Technology|PXQ|6|1.ASSET|Equity|51.3|2.96|PANW| Palo Alto Networks, Inc.| 5.77%| North America|Equity|Technology Equities|Technology|PXQ|6|2.ASSET|Equity|51.3|2.81|FTNT| Fortinet, Inc.| 5.47%| North America|Equity|Technology Equities|Technology|PXQ|6|3.ASSET|Equity|51.3|2.5|DDOG| Datadog Inc Class A| 4.88%| North America|Equity|Technology Equities|Technology|PXQ|6|4.ASSET|Equity|51.3|2.47|QCOM| Qualcomm Inc| 4.81%| North America|Equity|Technology Equities|Technology|PXQ|6|5.ASSET|Equity|51.3|2.46|APH| Amphenol Corporation Class A| 4.79%| North America|Equity|Technology Equities|Technology|PXQ|6|6.ASSET|Equity|51.3|2.45|MRVL| Marvell Technology, Inc.| 4.78%| North America|Equity|Technology Equities|Technology|PXQ|6|7.ASSET|Equity|51.3|2.45|AAPL| Apple Inc.| 4.78%| North America|Equity|Technology Equities|Technology|PXQ|6|8.ASSET|Equity|51.3|2.41|CSCO| Cisco Systems, Inc.| 4.70%| North America|Equity|Technology Equities|Technology|PXQ|6|9.ASSET|Equity|51.3|1.53|RDWR| Radware Ltd.| 2.99%| North America|Equity|Technology Equities|Technology|PXQ|6|10.ASSET|Equity|51.3|1.52|QLYS| Qualys, Inc.| 2.97%| North America|Equity|Technology Equities|Technology|PXQ|6|11.ASSET|Equity|51.3|1.49|KNBE| KnowBe4, Inc. Class A| 2.90%| North America|Equity|Technology Equities|Technology|PXQ|6|12.ASSET|Equity|51.3|1.47|DT| Dynatrace, Inc.| 2.87%| North America|Equity|Technology Equities|Technology|PXQ|6|13.ASSET|Equity|51.3|1.47|CHKP| Check Point Software Technologies Ltd.| 2.87%| North America|Equity|Technology Equities|Technology|PXQ|6|14.ASSET|Equity|51.3|1.45|AKAM| Akamai Technologies, Inc.| 2.83%| North America|Equity|Technology Equities|Technology|PXQ|6|15.ASSET|Equity|51.3|1.43|SCWX| SecureWorks Corp. Class A| 2.78%| North America|Equity|Utilities Equities|Utilities|PUI|6|1.ASSET|Equity|44.3|2.24|OKE| ONEOK, Inc.| 5.06%| North America|Equity|Utilities Equities|Utilities|PUI|6|2.ASSET|Equity|44.3|2.08|DTE| DTE Energy Company| 4.69%| North America|Equity|Utilities Equities|Utilities|PUI|6|3.ASSET|Equity|44.3|2.03|SRE| Sempra Energy| 4.58%| North America|Equity|Utilities Equities|Utilities|PUI|6|4.ASSET|Equity|44.3|1.98|XEL| Xcel Energy Inc.| 4.47%| North America|Equity|Utilities Equities|Utilities|PUI|6|5.ASSET|Equity|44.3|1.71|AWK| American Water Works Company, Inc.| 3.85%| North America|Equity|Utilities Equities|Utilities|PUI|6|6.ASSET|Equity|44.3|1.69|WEC| WEC Energy Group Inc| 3.81%| North America|Equity|Utilities Equities|Utilities|PUI|6|7.ASSET|Equity|44.3|1.67|DUK| Duke Energy Corporation| 3.78%| North America|Equity|Utilities Equities|Utilities|PUI|6|8.ASSET|Equity|44.3|1.63|ATO| Atmos Energy Corporation| 3.67%| North America|Equity|Utilities Equities|Utilities|PUI|6|9.ASSET|Equity|44.3|1.59|NI| NiSource Inc| 3.60%| North America|Equity|Utilities Equities|Utilities|PUI|6|10.ASSET|Equity|44.3|1.59|SO| Southern Company| 3.59%| North America|Equity|Utilities Equities|Utilities|PUI|6|11.ASSET|Equity|44.3|1.56|NEE| NextEra Energy, Inc.| 3.53%| North America|Equity|Utilities Equities|Utilities|PUI|6|12.ASSET|Equity|44.3|1.4|CMS| CMS Energy Corporation| 3.16%| North America|Equity|Utilities Equities|Utilities|PUI|6|13.ASSET|Equity|44.3|1.23|NRG| NRG Energy, Inc.| 2.78%| North America|Equity|Utilities Equities|Utilities|PUI|6|14.ASSET|Equity|44.3|1.23|LNT| Alliant Energy Corp| 2.77%| North America|Equity|Utilities Equities|Utilities|PUI|6|15.ASSET|Equity|44.3|1.12|EVRG| Evergy, Inc.| 2.53%| North America|Equity|Leveraged Equities||SAA|6|1.ASSET|Equity|39.2|5.18|N/A| U.S. Dollar| 13.21%| North America|Equity|Leveraged Equities||SAA|6|2.ASSET|Equity|39.2|0.2|OMCL| Omnicell, Inc.| 0.52%| North America|Equity|Leveraged Equities||SAA|6|3.ASSET|Equity|39.2|0.2|MTDR| Matador Resources Company| 0.50%| North America|Equity|Leveraged Equities||SAA|6|4.ASSET|Equity|39.2|0.18|VG| Vonage Holdings Corp.| 0.46%| North America|Equity|Leveraged Equities||SAA|6|5.ASSET|Equity|39.2|0.18|UFPI| UFP Industries, Inc.| 0.46%| North America|Equity|Leveraged Equities||SAA|6|6.ASSET|Equity|39.2|0.18|SWN| Southwestern Energy Company| 0.46%| North America|Equity|Leveraged Equities||SAA|6|7.ASSET|Equity|39.2|0.18|GTLS| Chart Industries, Inc.| 0.45%| North America|Equity|Leveraged Equities||SAA|6|8.ASSET|Equity|39.2|0.18|ROG| Rogers Corporation| 0.45%| North America|Equity|Leveraged Equities||SAA|6|9.ASSET|Equity|39.2|0.17|AMN| AMN Healthcare Services, Inc.| 0.44%| North America|Equity|Leveraged Equities||SAA|6|10.ASSET|Equity|39.2|0.17|EXPO| Exponent, Inc.| 0.44%| North America|Equity|Leveraged Equities||SAA|6|11.ASSET|Equity|39.2|0.16|SPSC| SPS Commerce, Inc.| 0.40%| North America|Equity|Leveraged Equities||SAA|6|12.ASSET|Equity|39.2|0.16|SM| SM Energy Company| 0.40%| North America|Equity|Leveraged Equities||SAA|6|13.ASSET|Equity|39.2|0.15|ENSG| Ensign Group, Inc.| 0.39%| North America|Equity|Leveraged Equities||SAA|6|14.ASSET|Equity|39.2|0.15|LXP| LXP Industrial Trust| 0.39%| North America|Equity|Leveraged Equities||SAA|6|15.ASSET|Equity|39.2|0.15|ADC| Agree Realty Corporation| 0.39%| Developed Markets|Multi-Asset|Diversified Portfolio||FFSG|6|1.ASSET|Multi-Asset|37.5|11.17|IVV| iShares Core S&P 500 ETF| 29.79%| Developed Markets|Multi-Asset|Diversified Portfolio||FFSG|6|2.ASSET|Multi-Asset|37.5|6.63|IJH| iShares Core S&P Mid-Cap ETF| 17.69%| Developed Markets|Multi-Asset|Diversified Portfolio||FFSG|6|3.ASSET|Multi-Asset|37.5|6.61|IJR| iShares Core S&P Small Cap ETF| 17.62%| Developed Markets|Multi-Asset|Diversified Portfolio||FFSG|6|4.ASSET|Multi-Asset|37.5|5.42|IEFA| iShares Core MSCI EAFE ETF| 14.44%| Developed Markets|Multi-Asset|Diversified Portfolio||FFSG|6|5.ASSET|Multi-Asset|37.5|3.7|IYR| iShares U.S. Real Estate ETF| 9.86%| Developed Markets|Multi-Asset|Diversified Portfolio||FFSG|6|6.ASSET|Multi-Asset|37.5|3.63|IEMG| iShares Core MSCI Emerging Markets ETF| 9.67%| Developed Markets|Multi-Asset|Diversified Portfolio||FFSG|6|7.ASSET|Multi-Asset|37.5|0.35|N/A| U.S. Dollar| 0.92%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|1.ASSET|Equity|42.9|12.37|N/A| U.S. Dollar| 28.84%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|2.ASSET|Equity|42.9|2.36|LMT| Lockheed Martin Corporation| 5.51%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|3.ASSET|Equity|42.9|2.16|FCX| Freeport-McMoRan, Inc.| 5.04%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|4.ASSET|Equity|42.9|2.15|STLD| Steel Dynamics, Inc.| 5.01%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|5.ASSET|Equity|42.9|2.07|KO| Coca-Cola Company| 4.82%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|6.ASSET|Equity|42.9|2.05|SCCO| Southern Copper Corporation| 4.77%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|7.ASSET|Equity|42.9|1.95|MO| Altria Group Inc| 4.54%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|8.ASSET|Equity|42.9|1.88|ADM| Archer-Daniels-Midland Company| 4.39%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|9.ASSET|Equity|42.9|1.76|KR| Kroger Co.| 4.10%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|10.ASSET|Equity|42.9|1.73|AFL| Aflac Incorporated| 4.03%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|11.ASSET|Equity|42.9|1.7|ORI| Old Republic International Corporation| 3.96%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|12.ASSET|Equity|42.9|1.69|ANTM| Anthem, Inc.| 3.93%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|13.ASSET|Equity|42.9|1.6|FANG| Diamondback Energy, Inc.| 3.72%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|14.ASSET|Equity|42.9|1.54|PNC| PNC Financial Services Group, Inc.| 3.60%| Global|Equity|Global Equities|Consumer Staples|WBIL|6|15.ASSET|Equity|42.9|1.32|GD| General Dynamics Corporation| 3.07%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|1.ASSET|Equity|42.9|4.25|MTD| Mettler-Toledo International Inc| 9.91%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|2.ASSET|Equity|42.9|4.14|A| Agilent Technologies Inc| 9.66%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|3.ASSET|Equity|42.9|4.14|WAT| Waters Corp| 9.64%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|4.ASSET|Equity|42.9|4.05|ABBV| Abbvie Inc| 9.44%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|5.ASSET|Equity|42.9|4.05|TMO| Thermo Fisher Scientific Inc| 9.43%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|6.ASSET|Equity|42.9|3.44|WEED| Canopy Growth Corp| 8.01%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|7.ASSET|Equity|42.9|3.02|PKI| PerkinElmer Inc| 7.03%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|8.ASSET|Equity|42.9|2.21|TLRY| Tilray Inc| 5.16%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|9.ASSET|Equity|42.9|2.06|SMG| Scotts Miracle-Gro Co| 4.81%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|10.ASSET|Equity|42.9|1.94|IIPR| Innovative Industrial Properties Inc| 4.52%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|11.ASSET|Equity|42.9|1.66|CTLT| Catalent Inc| 3.86%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|12.ASSET|Equity|42.9|1.42|BRKR| Bruker Corp| 3.30%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|13.ASSET|Equity|42.9|1.01|ARNA| Arena Pharmaceuticals Inc| 2.36%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|14.ASSET|Equity|42.9|0.87|APHA| Aphria Inc| 2.02%| North America|Equity|Health & Biotech Equities|Healthcare|MJJ|6|15.ASSET|Equity|42.9|0.63|CRON| Cronos Group Inc| 1.48%| North America|Bond|Government Bonds|Treasuries|IBTA|6|1.ASSET|Bond|44.4|40.9|N/A| MUTUAL FUND (OTHER)| 92.12%| North America|Bond|Government Bonds|Treasuries|IBTA|6|2.ASSET|Bond|44.4|3.08|N/A| United States Treasury Notes 1.5% 30-NOV-2021| 6.93%| North America|Bond|Government Bonds|Treasuries|IBTA|6|3.ASSET|Bond|44.4|0.41|N/A| United States Treasury Bills 0.0% 02-DEC-2021| 0.93%| North America|Bond|Government Bonds|Treasuries|IBTA|6|4.ASSET|Bond|44.4|0.01|N/A| U.S. Dollar| 0.02%| North America|Equity|Volatility Hedged Equity||AZBL|6|1.ASSET|Equity|18.8|18.99|N/A| OPTIONS| 101.01%| North America|Equity|Volatility Hedged Equity||AZBL|6|2.ASSET|Equity|18.8|-0.19|N/A| U.S. Dollar| -1.01%| North America|Equity|Europe Equities||GXF|6|1.ASSET|Equity|80.7|14.35|NOVO.B| Novo Nordisk A/S Class B| 17.78%| North America|Equity|Europe Equities||GXF|6|2.ASSET|Equity|80.7|3.94|DSV| DSV A/S| 4.88%| North America|Equity|Europe Equities||GXF|6|3.ASSET|Equity|80.7|3.74|NDA.SE| Nordea Bank Abp| 4.63%| North America|Equity|Europe Equities||GXF|6|4.ASSET|Equity|80.7|3.63|VWS| Vestas Wind Systems A/S| 4.50%| North America|Equity|Europe Equities||GXF|6|5.ASSET|Equity|80.7|3.59|INVE.B| Investor AB Class B| 4.45%| North America|Equity|Europe Equities||GXF|6|6.ASSET|Equity|80.7|3.45|ATCO.A| Atlas Copco AB Class A| 4.27%| North America|Equity|Europe Equities||GXF|6|7.ASSET|Equity|80.7|2.95|VOLV.B| Volvo AB Class B| 3.65%| North America|Equity|Europe Equities||GXF|6|8.ASSET|Equity|80.7|2.86|ERIC.B| Telefonaktiebolaget LM Ericsson Class B| 3.54%| North America|Equity|Europe Equities||GXF|6|9.ASSET|Equity|80.7|2.73|NOKIA| Nokia Oyj| 3.38%| North America|Equity|Europe Equities||GXF|6|10.ASSET|Equity|80.7|2.48|HEXA.B| Hexagon AB Class B| 3.07%| North America|Equity|Europe Equities||GXF|6|11.ASSET|Equity|80.7|2.47|EVO| Evolution AB| 3.06%| North America|Equity|Europe Equities||GXF|6|12.ASSET|Equity|80.7|2.33|SAND| Sandvik AB| 2.89%| North America|Equity|Europe Equities||GXF|6|13.ASSET|Equity|80.7|2.32|SAMPO| Sampo Oyj Class A| 2.88%| North America|Equity|Europe Equities||GXF|6|14.ASSET|Equity|80.7|2.28|GMAB| Genmab A/S| 2.82%| North America|Equity|Europe Equities||GXF|6|15.ASSET|Equity|80.7|2.27|EQNR| Equinor ASA| 2.81%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|1.ASSET|Multi-Asset|37.4|15.81|N/A| United States Treasury Notes 1.875% 28-FEB-2027| 42.27%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|2.ASSET|Multi-Asset|37.4|0.25|N/A| U.S. Dollar| 0.66%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|3.ASSET|Multi-Asset|37.4|0.13|RRC| Range Resources Corporation| 0.34%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|4.ASSET|Multi-Asset|37.4|0.13|OMCL| Omnicell, Inc.| 0.34%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|5.ASSET|Multi-Asset|37.4|0.12|MTDR| Matador Resources Company| 0.32%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|6.ASSET|Multi-Asset|37.4|0.11|ROG| Rogers Corporation| 0.30%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|7.ASSET|Multi-Asset|37.4|0.11|VG| Vonage Holdings Corp.| 0.30%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|8.ASSET|Multi-Asset|37.4|0.11|UFPI| UFP Industries, Inc.| 0.30%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|9.ASSET|Multi-Asset|37.4|0.11|SWN| Southwestern Energy Company| 0.30%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|10.ASSET|Multi-Asset|37.4|0.11|GTLS| Chart Industries, Inc.| 0.29%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|11.ASSET|Multi-Asset|37.4|0.11|AMN| AMN Healthcare Services, Inc.| 0.29%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|12.ASSET|Multi-Asset|37.4|0.1|EXPO| Exponent, Inc.| 0.28%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|13.ASSET|Multi-Asset|37.4|0.1|SPSC| SPS Commerce, Inc.| 0.26%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|14.ASSET|Multi-Asset|37.4|0.1|SM| SM Energy Company| 0.26%| North America|Multi-Asset|Small Cap Blend Equities||DMRS|6|15.ASSET|Multi-Asset|37.4|0.1|ADC| Agree Realty Corporation| 0.26%| North America|Bond|n/a||OVT|6|1.ASSET|Bond|53.1|52.97|VCSH| Vanguard Short-Term Corporate Bond ETF| 99.75%| North America|Bond|n/a||OVT|6|2.ASSET|Bond|53.1|0.7|FGXXX| First American Funds Inc X Government Obligations Fund| 1.32%| North America|Bond|n/a||OVT|6|3.ASSET|Bond|53.1|-0.03|N/A| OPTIONS| -0.05%| North America|Bond|n/a||OVT|6|4.ASSET|Bond|53.1|-0.54|N/A| U.S. Dollar| -1.02%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|1.ASSET|Equity|35.9|1.67|GOOGL| Alphabet Inc. Class A| 4.66%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|2.ASSET|Equity|35.9|1.65|AAPL| Apple Inc.| 4.61%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|3.ASSET|Equity|35.9|1.56|V| Visa Inc. Class A| 4.35%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|4.ASSET|Equity|35.9|1.55|AMZN| Amazon.com, Inc.| 4.33%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|5.ASSET|Equity|35.9|1.53|FB| Meta Platforms Inc. Class A| 4.27%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|6.ASSET|Equity|35.9|1.48|700| Tencent Holdings Ltd.| 4.12%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|7.ASSET|Equity|35.9|1.46|MC| LVMH Moet Hennessy Louis Vuitton SE| 4.08%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|8.ASSET|Equity|35.9|1.46|NESN| Nestle S.A.| 4.07%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|9.ASSET|Equity|35.9|1.4|600519| Kweichow Moutai Co., Ltd. Class A| 3.90%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|10.ASSET|Equity|35.9|1.38|MA| Mastercard Incorporated Class A| 3.84%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|11.ASSET|Equity|35.9|1.13|9988| Alibaba Group Holding Ltd.| 3.16%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|12.ASSET|Equity|35.9|1.06|DIS| Walt Disney Company| 2.95%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|13.ASSET|Equity|35.9|1.06|KO| Coca-Cola Company| 2.94%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|14.ASSET|Equity|35.9|0.86|PEP| PepsiCo, Inc.| 2.40%| Developed Markets|Equity|Large Cap Growth Equities||JOYY|6|15.ASSET|Equity|35.9|0.81|OR| L\'Oreal SA| 2.26%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|1.ASSET|Equity|50.6|0.49|PNL| PostNL NV| 0.97%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|2.ASSET|Equity|50.6|0.38|FXPO| Ferrexpo plc| 0.76%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|3.ASSET|Equity|50.6|0.37|LOG| Compania de Distribucion Integral Logista Holdings S.A.| 0.74%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|4.ASSET|Equity|50.6|0.35|CJLU| NetLink NBN Trust| 0.69%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|5.ASSET|Equity|50.6|0.31|DEC| Diversified Energy Company PLC| 0.61%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|6.ASSET|Equity|50.6|0.3|MMT| Metropole Television SA| 0.59%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|7.ASSET|Equity|50.6|0.29|NS8U| Hutchison Port Holdings Trust| 0.57%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|8.ASSET|Equity|50.6|0.28|DRX| Drax Group plc| 0.56%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|9.ASSET|Equity|50.6|0.27|POST| Osterreichische Post AG| 0.54%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|10.ASSET|Equity|50.6|0.27|MTS| Metcash Limited| 0.53%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|11.ASSET|Equity|50.6|0.27|NXI| Nexity SA Class A| 0.53%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|12.ASSET|Equity|50.6|0.26|GOZ| Growthpoint Properties Australia| 0.51%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|13.ASSET|Equity|50.6|0.26|PEAB.B| Peab AB Class B| 0.51%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|14.ASSET|Equity|50.6|0.26|LMP| LondonMetric Property Plc| 0.51%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||DDLS|6|15.ASSET|Equity|50.6|0.25|BFF| BFF Bank SpA| 0.49%| North America|Equity|Volatility Hedged Equity||TSJA|6|1.ASSET|Equity|20.6|20.44|N/A| OPTIONS| 99.23%| North America|Equity|Volatility Hedged Equity||TSJA|6|2.ASSET|Equity|20.6|20.44|N/A| OPTIONS| 99.21%| North America|Equity|Volatility Hedged Equity||TSJA|6|3.ASSET|Equity|20.6|0.16|N/A| U.S. Dollar| 0.79%| North America|Equity|Volatility Hedged Equity||TSJA|6|4.ASSET|Equity|20.6|0.16|N/A| U.S. Dollar| 0.77%| North America|Equity|Mid Cap Growth Equities||SFYX|6|1.ASSET|Equity|49.3|0.83|DDOG| Datadog Inc Class A| 1.69%| North America|Equity|Mid Cap Growth Equities||SFYX|6|2.ASSET|Equity|49.3|0.49|NUAN| Nuance Communications Incorporated| 0.99%| North America|Equity|Mid Cap Growth Equities||SFYX|6|3.ASSET|Equity|49.3|0.45|NET| Cloudflare Inc Class A| 0.91%| North America|Equity|Mid Cap Growth Equities||SFYX|6|4.ASSET|Equity|49.3|0.42|MPW| Medical Properties Trust, Inc.| 0.86%| North America|Equity|Mid Cap Growth Equities||SFYX|6|5.ASSET|Equity|49.3|0.42|HZNP| Horizon Therapeutics Public Limited Company| 0.85%| North America|Equity|Mid Cap Growth Equities||SFYX|6|6.ASSET|Equity|49.3|0.41|CLF| Cleveland-Cliffs Inc| 0.83%| North America|Equity|Mid Cap Growth Equities||SFYX|6|7.ASSET|Equity|49.3|0.38|PTC| PTC Inc.| 0.77%| North America|Equity|Mid Cap Growth Equities||SFYX|6|8.ASSET|Equity|49.3|0.37|ENPH| Enphase Energy, Inc.| 0.76%| North America|Equity|Mid Cap Growth Equities||SFYX|6|9.ASSET|Equity|49.3|0.36|MDB| MongoDB, Inc. Class A| 0.74%| North America|Equity|Mid Cap Growth Equities||SFYX|6|10.ASSET|Equity|49.3|0.36|NI| NiSource Inc| 0.74%| North America|Equity|Mid Cap Growth Equities||SFYX|6|11.ASSET|Equity|49.3|0.36|AVTR| Avantor, Inc.| 0.73%| North America|Equity|Mid Cap Growth Equities||SFYX|6|12.ASSET|Equity|49.3|0.36|UPST| Upstart Holdings, Inc.| 0.73%| North America|Equity|Mid Cap Growth Equities||SFYX|6|13.ASSET|Equity|49.3|0.36|APO| Apollo Global Management Inc.| 0.73%| North America|Equity|Mid Cap Growth Equities||SFYX|6|14.ASSET|Equity|49.3|0.34|MPWR| Monolithic Power Systems, Inc.| 0.69%| North America|Equity|Mid Cap Growth Equities||SFYX|6|15.ASSET|Equity|49.3|0.34|ON| ON Semiconductor Corporation| 0.68%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|1.ASSET|Equity|27.4|1.79|N/A| U.S. Dollar| 6.52%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|2.ASSET|Equity|27.4|0.87|CHKP| Check Point Software Technologies Ltd.| 3.19%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|3.ASSET|Equity|27.4|0.65|FLT| Flight Centre Travel Group Limited| 2.39%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|4.ASSET|Equity|27.4|0.64|FM| First Quantum Minerals Ltd.| 2.33%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|5.ASSET|Equity|27.4|0.61|VET| Vermilion Energy Inc.| 2.23%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|6.ASSET|Equity|27.4|0.6|RDWR| Radware Ltd.| 2.19%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|7.ASSET|Equity|27.4|0.58|SEDG| SolarEdge Technologies, Inc.| 2.13%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|8.ASSET|Equity|27.4|0.58|GIL| Gildan Activewear Inc.| 2.11%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|9.ASSET|Equity|27.4|0.57|TCN| Tricon Residential Inc| 2.09%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|10.ASSET|Equity|27.4|0.55|SAVE| Nordnet AB| 1.99%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|11.ASSET|Equity|27.4|0.48|INSTAL| Instalco AB| 1.74%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|12.ASSET|Equity|27.4|0.48|ATZ| Aritzia, Inc.| 1.74%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|13.ASSET|Equity|27.4|0.47|IPAR| Inter Parfums, Inc.| 1.71%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|14.ASSET|Equity|27.4|0.46|VBK| VERBIO Vereinigte BioEnergie AG| 1.69%| Developed Markets|Equity|Small Cap Blend Equities||ERSX|6|15.ASSET|Equity|27.4|0.45|TOY| Spin Master Corp| 1.64%| Developed Europe|Equity|Europe Equities||DAX|6|1.ASSET|Equity|31.4|3.03|LIN| Linde plc| 9.64%| Developed Europe|Equity|Europe Equities||DAX|6|2.ASSET|Equity|31.4|2.68|SAP| SAP SE| 8.54%| Developed Europe|Equity|Europe Equities||DAX|6|3.ASSET|Equity|31.4|2.44|SIE| Siemens AG| 7.76%| Developed Europe|Equity|Europe Equities||DAX|6|4.ASSET|Equity|31.4|2.04|ALV| Allianz SE| 6.49%| Developed Europe|Equity|Europe Equities||DAX|6|5.ASSET|Equity|31.4|1.62|AIR| Airbus SE| 5.17%| Developed Europe|Equity|Europe Equities||DAX|6|6.ASSET|Equity|31.4|1.41|DTE| Deutsche Telekom AG| 4.48%| Developed Europe|Equity|Europe Equities||DAX|6|7.ASSET|Equity|31.4|1.37|MBG| Mercedes-Benz Group AG| 4.36%| Developed Europe|Equity|Europe Equities||DAX|6|8.ASSET|Equity|31.4|1.35|BAYN| Bayer AG| 4.29%| Developed Europe|Equity|Europe Equities||DAX|6|9.ASSET|Equity|31.4|1.34|BAS| BASF SE| 4.26%| Developed Europe|Equity|Europe Equities||DAX|6|10.ASSET|Equity|31.4|1.08|DPW| Deutsche Post AG| 3.45%| Developed Europe|Equity|Europe Equities||DAX|6|11.ASSET|Equity|31.4|0.99|IFX| Infineon Technologies AG| 3.14%| Developed Europe|Equity|Europe Equities||DAX|6|12.ASSET|Equity|31.4|0.93|ADS| adidas AG| 2.96%| Developed Europe|Equity|Europe Equities||DAX|6|13.ASSET|Equity|31.4|0.84|MUV2| Munich Reinsurance Company| 2.69%| Developed Europe|Equity|Europe Equities||DAX|6|14.ASSET|Equity|31.4|0.83|VNA| Vonovia SE| 2.65%| Developed Europe|Equity|Europe Equities||DAX|6|15.ASSET|Equity|31.4|0.74|VOW3| Volkswagen AG Pref| 2.37%| Emerging Asia Pacific|Currency|Currency||CYB|6|1.ASSET|Currency|33.9|33.9|N/A| China renminbi| 100.00%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|1.ASSET|Equity|34.7|0.87|FICO| Fair Isaac Corporation| 2.52%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|2.ASSET|Equity|34.7|0.79|BIDU| Baidu Inc Sponsored ADR Class A| 2.29%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|3.ASSET|Equity|34.7|0.77|ZEN| Zendesk, Inc.| 2.21%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|4.ASSET|Equity|34.7|0.71|IBM| International Business Machines Corporation| 2.04%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|5.ASSET|Equity|34.7|0.69|AYX| Alteryx, Inc. Class A| 1.98%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|6.ASSET|Equity|34.7|0.68|SPLK| Splunk Inc.| 1.97%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|7.ASSET|Equity|34.7|0.68|ANET| Arista Networks, Inc.| 1.95%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|8.ASSET|Equity|34.7|0.65|MELI| MercadoLibre, Inc.| 1.87%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|9.ASSET|Equity|34.7|0.65|ILMN| Illumina, Inc.| 1.86%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|10.ASSET|Equity|34.7|0.64|GOOGL| Alphabet Inc. Class A| 1.85%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|11.ASSET|Equity|34.7|0.63|MSFT| Microsoft Corporation| 1.82%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|12.ASSET|Equity|34.7|0.62|700| Tencent Holdings Ltd.| 1.78%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|13.ASSET|Equity|34.7|0.61|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.77%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|14.ASSET|Equity|34.7|0.61|AMZN| Amazon.com, Inc.| 1.75%| Developed Markets|Equity|Technology Equities|Technology|THNQ|6|15.ASSET|Equity|34.7|0.6|TEAM| Atlassian Corp. Plc Class A| 1.73%| North America|Equity|Communications Equities|Telecom|EWCO|6|1.ASSET|Equity|44.5|2.7|ATVI| Activision Blizzard, Inc.| 6.07%| North America|Equity|Communications Equities|Telecom|EWCO|6|2.ASSET|Equity|44.5|2.3|OMC| Omnicom Group Inc| 5.16%| North America|Equity|Communications Equities|Telecom|EWCO|6|3.ASSET|Equity|44.5|2.19|PARA| Paramount Global Class B| 4.93%| North America|Equity|Communications Equities|Telecom|EWCO|6|4.ASSET|Equity|44.5|2.13|TMUS| T-Mobile US, Inc.| 4.78%| North America|Equity|Communications Equities|Telecom|EWCO|6|5.ASSET|Equity|44.5|2.1|VZ| Verizon Communications Inc.| 4.71%| North America|Equity|Communications Equities|Telecom|EWCO|6|6.ASSET|Equity|44.5|2.1|LYV| Live Nation Entertainment, Inc.| 4.71%| North America|Equity|Communications Equities|Telecom|EWCO|6|7.ASSET|Equity|44.5|2.03|T| AT&T Inc.| 4.56%| North America|Equity|Communications Equities|Telecom|EWCO|6|8.ASSET|Equity|44.5|2|EA| Electronic Arts Inc.| 4.49%| North America|Equity|Communications Equities|Telecom|EWCO|6|9.ASSET|Equity|44.5|1.91|IPG| Interpublic Group of Companies, Inc.| 4.29%| North America|Equity|Communications Equities|Telecom|EWCO|6|10.ASSET|Equity|44.5|1.89|TTWO| Take-Two Interactive Software, Inc.| 4.24%| North America|Equity|Communications Equities|Telecom|EWCO|6|11.ASSET|Equity|44.5|1.88|DIS| Walt Disney Company| 4.22%| North America|Equity|Communications Equities|Telecom|EWCO|6|12.ASSET|Equity|44.5|1.87|DISH| DISH Network Corporation Class A| 4.21%| North America|Equity|Communications Equities|Telecom|EWCO|6|13.ASSET|Equity|44.5|1.86|CMCSA| Comcast Corporation Class A| 4.18%| North America|Equity|Communications Equities|Telecom|EWCO|6|14.ASSET|Equity|44.5|1.82|CHTR| Charter Communications, Inc. Class A| 4.08%| North America|Equity|Communications Equities|Telecom|EWCO|6|15.ASSET|Equity|44.5|1.66|LUMN| Lumen Technologies, Inc.| 3.72%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|1.ASSET|Equity|49.5|9.84|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 19.87%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|2.ASSET|Equity|49.5|3.12|2454| MediaTek Inc| 6.31%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|3.ASSET|Equity|49.5|2.39|2317| Hon Hai Precision Industry Co., Ltd.| 4.83%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|4.ASSET|Equity|49.5|1.21|2303| United Microelectronics Corp.| 2.44%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|5.ASSET|Equity|49.5|1.14|2881| Fubon Financial Holding Co., Ltd.| 2.31%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|6.ASSET|Equity|49.5|1.06|2308| Delta Electronics, Inc.| 2.15%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|7.ASSET|Equity|49.5|1.01|1301| Formosa Plastics Corporation| 2.04%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|8.ASSET|Equity|49.5|0.98|2882| Cathay Financial Holdings Co., Ltd.| 1.98%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|9.ASSET|Equity|49.5|0.98|1303| Nan Ya Plastics Corporation| 1.97%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|10.ASSET|Equity|49.5|0.97|2891| CTBC Financial Holding Company Ltd.| 1.95%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|11.ASSET|Equity|49.5|0.91|2412| Chunghwa Telecom Co., Ltd| 1.83%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|12.ASSET|Equity|49.5|0.9|2002| China Steel Corporation| 1.81%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|13.ASSET|Equity|49.5|0.8|2886| Mega Financial Holding Co., Ltd.| 1.61%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|14.ASSET|Equity|49.5|0.77|2603| Evergreen Marine Corp. (Taiwan) Ltd.| 1.55%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLTW|6|15.ASSET|Equity|49.5|0.72|2884| E.SUN Financial Holding Co., Ltd.| 1.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|1.ASSET|Bond|56.7|0.53|N/A| HSBC Holdings Plc 4.292% 12-SEP-2026| 0.93%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|2.ASSET|Bond|56.7|0.28|N/A| Credit Suisse Group Funding (Guernsey) Ltd. 3.75% 26-MAR-2025| 0.50%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|3.ASSET|Bond|56.7|0.28|N/A| Wells Fargo & Company 2.164% 11-FEB-2026| 0.50%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|4.ASSET|Bond|56.7|0.27|N/A| Barclays Plc 5.2% 12-MAY-2026| 0.48%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|5.ASSET|Bond|56.7|0.27|N/A| Boeing Company 2.196% 04-FEB-2026| 0.47%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|6.ASSET|Bond|56.7|0.27|N/A| Lloyds Banking Group plc 4.45% 08-MAY-2025| 0.47%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|7.ASSET|Bond|56.7|0.26|N/A| Cooperatieve Rabobank UA 3.75% 21-JUL-2026| 0.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|8.ASSET|Bond|56.7|0.25|N/A| Apple Inc. 0.75% 11-MAY-2023| 0.44%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|9.ASSET|Bond|56.7|0.25|N/A| Credit Suisse AG (New York Branch) 0.52% 09-AUG-2023| 0.44%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|10.ASSET|Bond|56.7|0.24|N/A| Exxon Mobil Corporation 1.571% 15-APR-2023| 0.42%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|11.ASSET|Bond|56.7|0.23|N/A| General Dynamics Corporation 3.375% 15-MAY-2023| 0.41%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|12.ASSET|Bond|56.7|0.22|N/A| Morgan Stanley 1.164% 21-OCT-2025| 0.39%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|13.ASSET|Bond|56.7|0.21|N/A| Barclays Plc 4.375% 11-SEP-2024| 0.37%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|14.ASSET|Bond|56.7|0.21|N/A| Mitsubishi UFJ Financial Group, Inc. 3.777% 02-MAR-2025| 0.37%| North America|Bond|Corporate Bonds|Investment Grade Corporate|BKSB|6|15.ASSET|Bond|56.7|0.21|N/A| Morgan Stanley 3.875% 29-APR-2024| 0.37%| North America|Equity|n/a||IBBQ|6|1.ASSET|Equity|29|3.21|AMGN| Amgen Inc.| 11.07%| North America|Equity|n/a||IBBQ|6|2.ASSET|Equity|29|2.13|GILD| Gilead Sciences, Inc.| 7.33%| North America|Equity|n/a||IBBQ|6|3.ASSET|Equity|29|1.81|REGN| Regeneron Pharmaceuticals, Inc.| 6.23%| North America|Equity|n/a||IBBQ|6|4.ASSET|Equity|29|1.65|VRTX| Vertex Pharmaceuticals Incorporated| 5.68%| North America|Equity|n/a||IBBQ|6|5.ASSET|Equity|29|1.43|ILMN| Illumina, Inc.| 4.93%| North America|Equity|n/a||IBBQ|6|6.ASSET|Equity|29|1.17|MRNA| Moderna, Inc.| 4.04%| North America|Equity|n/a||IBBQ|6|7.ASSET|Equity|29|1.04|AZN| Astrazeneca PLC Sponsored ADR| 3.59%| North America|Equity|n/a||IBBQ|6|8.ASSET|Equity|29|0.85|BIIB| Biogen Inc.| 2.92%| North America|Equity|n/a||IBBQ|6|9.ASSET|Equity|29|0.64|SGEN| Seagen, Inc.| 2.21%| North America|Equity|n/a||IBBQ|6|10.ASSET|Equity|29|0.62|HZNP| Horizon Therapeutics Public Limited Company| 2.13%| North America|Equity|n/a||IBBQ|6|11.ASSET|Equity|29|0.54|ALNY| Alnylam Pharmaceuticals, Inc| 1.86%| North America|Equity|n/a||IBBQ|6|12.ASSET|Equity|29|0.46|RPRX| Royalty Pharma Plc Class A| 1.60%| North America|Equity|n/a||IBBQ|6|13.ASSET|Equity|29|0.42|INCY| Incyte Corporation| 1.46%| North America|Equity|n/a||IBBQ|6|14.ASSET|Equity|29|0.4|BMRN| BioMarin Pharmaceutical Inc.| 1.37%| North America|Equity|n/a||IBBQ|6|15.ASSET|Equity|29|0.37|SNY| Sanofi SA Sponsored ADR| 1.29%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|1.ASSET|Equity|41.7|10.13|N/A| U.S. Dollar| 24.29%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|2.ASSET|Equity|41.7|6.04|AMZN| Amazon.com, Inc.| 14.48%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|3.ASSET|Equity|41.7|4.62|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 11.07%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|4.ASSET|Equity|41.7|4.59|TSLA| Tesla Inc| 11.01%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|5.ASSET|Equity|41.7|1.28|MCD| McDonald\'s Corporation| 3.07%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|6.ASSET|Equity|41.7|1.13|LOW| Lowe\'s Companies, Inc.| 2.70%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|7.ASSET|Equity|41.7|1.11|NKE| NIKE, Inc. Class B| 2.67%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|8.ASSET|Equity|41.7|1.06|HD| Home Depot, Inc.| 2.53%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|9.ASSET|Equity|41.7|1.02|DGCXX| Dreyfus Government Cash Management Funds Institutional| 2.45%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|10.ASSET|Equity|41.7|0.78|TGT| Target Corporation| 1.87%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|11.ASSET|Equity|41.7|0.78|SBUX| Starbucks Corporation| 1.87%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|12.ASSET|Equity|41.7|0.63|BKNG| Booking Holdings Inc.| 1.52%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|13.ASSET|Equity|41.7|0.57|TJX| TJX Companies Inc| 1.36%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|14.ASSET|Equity|41.7|0.5|F| Ford Motor Company| 1.21%| North America|Equity|Leveraged Equities|Consumer Discretionary|WANT|6|15.ASSET|Equity|41.7|0.48|GM| General Motors Company| 1.15%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|1.ASSET|Equity|48.4|1.07|ENG| Enagas SA| 2.21%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|2.ASSET|Equity|48.4|0.96|KEY| Keyera Corp.| 1.99%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|3.ASSET|Equity|48.4|0.92|688| China Overseas Land & Investment Limited| 1.91%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|4.ASSET|Equity|48.4|0.92|RUI| Rubis SCA| 1.91%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|5.ASSET|Equity|48.4|0.92|17| New World Development Co. Ltd.| 1.90%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|6.ASSET|Equity|48.4|0.89|TRP| TC Energy Corporation| 1.84%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|7.ASSET|Equity|48.4|0.86|033780| KT & G Corporation| 1.77%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|8.ASSET|Equity|48.4|0.85|9513| Electric Power Development Co., Ltd.| 1.76%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|9.ASSET|Equity|48.4|0.83|4502| Takeda Pharmaceutical Co. Ltd.| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|10.ASSET|Equity|48.4|0.83|TEL| Telenor ASA| 1.71%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|11.ASSET|Equity|48.4|0.83|270| Guangdong Investment Limited| 1.71%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|12.ASSET|Equity|48.4|0.81|SRU.UT| SmartCentres Real Estate Investment Trust| 1.68%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|13.ASSET|Equity|48.4|0.8|6| Power Assets Holdings Limited| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|14.ASSET|Equity|48.4|0.78|83| Sino Land Co. Ltd.| 1.61%| Developed Markets|Equity|Foreign Large Cap Equities||FID|6|15.ASSET|Equity|48.4|0.77|CPX| Capital Power Corporation| 1.60%| North America|Equity|Large Cap Growth Equities||QYLG|6|1.ASSET|Equity|56.6|7.17|AAPL| Apple Inc.| 12.67%| North America|Equity|Large Cap Growth Equities||QYLG|6|2.ASSET|Equity|56.6|5.91|MSFT| Microsoft Corporation| 10.45%| North America|Equity|Large Cap Growth Equities||QYLG|6|3.ASSET|Equity|56.6|4.05|AMZN| Amazon.com, Inc.| 7.16%| North America|Equity|Large Cap Growth Equities||QYLG|6|4.ASSET|Equity|56.6|2.32|TSLA| Tesla Inc| 4.10%| North America|Equity|Large Cap Growth Equities||QYLG|6|5.ASSET|Equity|56.6|2.25|GOOG| Alphabet Inc. Class C| 3.97%| North America|Equity|Large Cap Growth Equities||QYLG|6|6.ASSET|Equity|56.6|2.24|NVDA| NVIDIA Corporation| 3.95%| North America|Equity|Large Cap Growth Equities||QYLG|6|7.ASSET|Equity|56.6|2.13|GOOGL| Alphabet Inc. Class A| 3.76%| North America|Equity|Large Cap Growth Equities||QYLG|6|8.ASSET|Equity|56.6|1.94|FB| Meta Platforms Inc. Class A| 3.42%| North America|Equity|Large Cap Growth Equities||QYLG|6|9.ASSET|Equity|56.6|1.04|AVGO| Broadcom Inc.| 1.84%| North America|Equity|Large Cap Growth Equities||QYLG|6|10.ASSET|Equity|56.6|1.02|CSCO| Cisco Systems, Inc.| 1.81%| North America|Equity|Large Cap Growth Equities||QYLG|6|11.ASSET|Equity|56.6|1.01|COST| Costco Wholesale Corporation| 1.79%| North America|Equity|Large Cap Growth Equities||QYLG|6|12.ASSET|Equity|56.6|0.98|PEP| PepsiCo, Inc.| 1.74%| North America|Equity|Large Cap Growth Equities||QYLG|6|13.ASSET|Equity|56.6|0.97|ADBE| Adobe Inc.| 1.71%| North America|Equity|Large Cap Growth Equities||QYLG|6|14.ASSET|Equity|56.6|0.92|CMCSA| Comcast Corporation Class A| 1.62%| North America|Equity|Large Cap Growth Equities||QYLG|6|15.ASSET|Equity|56.6|0.86|INTC| Intel Corporation| 1.52%| North America|Volatility|Volatility||VXZ|6|1.ASSET|Volatility|63.7|63.7|N/A| CBOE Volatility Index (VIX) Futures| 100.00%| North America|Multi-Asset|Diversified Portfolio||EAOK|6|1.ASSET|Multi-Asset|42.3|30.13|EAGG| iShares ESG Aware US Aggregate Bond ETF| 71.22%| North America|Multi-Asset|Diversified Portfolio||EAOK|6|2.ASSET|Multi-Asset|42.3|7.09|ESGU| iShares ESG Aware MSCI USA ETF| 16.77%| North America|Multi-Asset|Diversified Portfolio||EAOK|6|3.ASSET|Multi-Asset|42.3|2.84|ESGD| iShares ESG Aware MSCI EAFE ETF| 6.71%| North America|Multi-Asset|Diversified Portfolio||EAOK|6|4.ASSET|Multi-Asset|42.3|1.3|ESGE| iShares ESG Aware MSCI EM ETF| 3.08%| North America|Multi-Asset|Diversified Portfolio||EAOK|6|5.ASSET|Multi-Asset|42.3|0.86|ESML| iShares ESG Aware MSCI USA Small-Cap ETF| 2.04%| Emerging Markets|Equity|Inverse Equities||EUM|6|1.ASSET|Equity|29.4|28.17|N/A| U.S. Dollar| 95.81%| Emerging Markets|Equity|Inverse Equities||EUM|6|2.ASSET|Equity|29.4|1.23|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 4.19%| North America|Equity|Leveraged Equities|Healthcare|LABD|6|1.ASSET|Equity|59.5|36.47|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 61.30%| North America|Equity|Leveraged Equities|Healthcare|LABD|6|2.ASSET|Equity|59.5|12.58|N/A| U.S. Dollar| 21.15%| North America|Equity|Leveraged Equities|Healthcare|LABD|6|3.ASSET|Equity|59.5|9.57|DGCXX| Dreyfus Government Cash Management Funds Institutional| 16.08%| North America|Equity|Leveraged Equities|Healthcare|LABD|6|4.ASSET|Equity|59.5|0.87|N/A| MUTUAL FUND (OTHER)| 1.47%| North America|Equity|All Cap Equities||JDIV|6|1.ASSET|Equity|55.7|0.46|CF| CF Industries Holdings, Inc.| 0.82%| North America|Equity|All Cap Equities||JDIV|6|2.ASSET|Equity|55.7|0.43|XOM| Exxon Mobil Corporation| 0.77%| North America|Equity|All Cap Equities||JDIV|6|3.ASSET|Equity|55.7|0.41|ABBV| AbbVie, Inc.| 0.73%| North America|Equity|All Cap Equities||JDIV|6|4.ASSET|Equity|55.7|0.4|SYY| Sysco Corporation| 0.72%| North America|Equity|All Cap Equities||JDIV|6|5.ASSET|Equity|55.7|0.39|BG| Bunge Limited| 0.70%| North America|Equity|All Cap Equities||JDIV|6|6.ASSET|Equity|55.7|0.39|CVX| Chevron Corporation| 0.70%| North America|Equity|All Cap Equities||JDIV|6|7.ASSET|Equity|55.7|0.38|MO| Altria Group Inc| 0.69%| North America|Equity|All Cap Equities||JDIV|6|8.ASSET|Equity|55.7|0.38|WMB| Williams Companies, Inc.| 0.69%| North America|Equity|All Cap Equities||JDIV|6|9.ASSET|Equity|55.7|0.38|SRE| Sempra Energy| 0.69%| North America|Equity|All Cap Equities||JDIV|6|10.ASSET|Equity|55.7|0.38|KO| Coca-Cola Company| 0.68%| North America|Equity|All Cap Equities||JDIV|6|11.ASSET|Equity|55.7|0.38|NUE| Nucor Corporation| 0.68%| North America|Equity|All Cap Equities||JDIV|6|12.ASSET|Equity|55.7|0.38|KHC| Kraft Heinz Company| 0.68%| North America|Equity|All Cap Equities||JDIV|6|13.ASSET|Equity|55.7|0.37|LMT| Lockheed Martin Corporation| 0.67%| North America|Equity|All Cap Equities||JDIV|6|14.ASSET|Equity|55.7|0.37|PM| Philip Morris International Inc.| 0.67%| North America|Equity|All Cap Equities||JDIV|6|15.ASSET|Equity|55.7|0.37|STLD| Steel Dynamics, Inc.| 0.67%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|1.ASSET|Equity|36.8|0.22|SHEL| Shell PLC| 0.61%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|2.ASSET|Equity|36.8|0.21|BHP| BHP Group Ltd| 0.56%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|3.ASSET|Equity|36.8|0.13|5713| Sumitomo Metal Mining Co., Ltd.| 0.35%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|4.ASSET|Equity|36.8|0.12|BA| BAE Systems plc| 0.33%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|5.ASSET|Equity|36.8|0.11|7011| Mitsubishi Heavy Industries, Ltd.| 0.31%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|6.ASSET|Equity|36.8|0.11|CHKP| Check Point Software Technologies Ltd.| 0.31%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|7.ASSET|Equity|36.8|0.11|9101| Nippon Yusen Kabushiki Kaisha| 0.30%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|8.ASSET|Equity|36.8|0.11|HO| Thales SA| 0.30%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|9.ASSET|Equity|36.8|0.11|AAL| Anglo American plc| 0.30%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|10.ASSET|Equity|36.8|0.11|1605| INPEX CORPORATION| 0.30%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|11.ASSET|Equity|36.8|0.11|ENI| Eni S.p.A.| 0.30%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|12.ASSET|Equity|36.8|0.11|IPN| Ipsen SA| 0.30%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|13.ASSET|Equity|36.8|0.11|RIO| Rio Tinto Limited| 0.29%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|14.ASSET|Equity|36.8|0.11|REP| Repsol SA| 0.29%| Developed Markets|Equity|Foreign Large Cap Equities||PQIN|6|15.ASSET|Equity|36.8|0.11|ORA| Orange SA| 0.29%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|1.ASSET|Bond|68.8|3.94|N/A| United States Treasury Notes 0.625% 15-APR-2023| 5.72%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|2.ASSET|Bond|68.8|3.84|N/A| United States Treasury Notes 0.625% 15-JAN-2026| 5.58%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|3.ASSET|Bond|68.8|3.69|N/A| United States Treasury Notes 0.625% 15-JAN-2024| 5.37%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|4.ASSET|Bond|68.8|3.69|N/A| United States Treasury Notes 0.375% 15-JUL-2025| 5.37%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|5.ASSET|Bond|68.8|3.68|N/A| United States Treasury Notes 0.375% 15-JUL-2023| 5.35%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|6.ASSET|Bond|68.8|3.65|N/A| United States Treasury Notes 0.25% 15-JAN-2025| 5.31%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|7.ASSET|Bond|68.8|3.65|N/A| United States Treasury Notes 0.125% 15-JAN-2023| 5.30%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|8.ASSET|Bond|68.8|3.64|N/A| United States Treasury Notes 0.125% 15-APR-2022| 5.29%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|9.ASSET|Bond|68.8|3.64|N/A| United States Treasury Notes 0.125% 15-JUL-2024| 5.29%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|10.ASSET|Bond|68.8|3.63|N/A| United States Treasury Notes 0.125% 15-JUL-2022| 5.28%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|11.ASSET|Bond|68.8|3.43|N/A| United States Treasury Notes 0.375% 15-JAN-2027| 4.98%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|12.ASSET|Bond|68.8|3.32|N/A| United States Treasury Bond 2.375% 15-JAN-2025| 4.83%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|13.ASSET|Bond|68.8|3.28|N/A| United States Treasury Notes 0.125% 15-JUL-2026| 4.77%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|14.ASSET|Bond|68.8|3.23|N/A| Government of the United States of America 0.125% 15-APR-2026| 4.69%| North America|Bond|Inflation-Protected Bonds|TIPS|PBTP|6|15.ASSET|Bond|68.8|2.99|N/A| TREASURY ISSUES (LONG-TERM)| 4.34%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|1.ASSET|Equity|42|0.9|N/A| U.S. Dollar| 2.15%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|2.ASSET|Equity|42|0.49|000660| SK hynix Inc| 1.17%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|3.ASSET|Equity|42|0.44|ADVANC.R| Advanced Info Service Public Co., Ltd. NVDR| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|4.ASSET|Equity|42|0.44|939| China Construction Bank Corporation Class H| 1.04%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|5.ASSET|Equity|42|0.43|3988| Bank of China Limited Class H| 1.03%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|6.ASSET|Equity|42|0.41|AMX| America Movil SAB de CV Sponsored ADR Class L| 0.97%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|7.ASSET|Equity|42|0.41|3328| Bank of Communications Co., Ltd. Class H| 0.97%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|8.ASSET|Equity|42|0.4|005930| Samsung Electronics Co., Ltd.| 0.95%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|9.ASSET|Equity|42|0.39|INFY| Infosys Limited Sponsored ADR| 0.94%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|10.ASSET|Equity|42|0.38|992| Lenovo Group Limited| 0.91%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|11.ASSET|Equity|42|0.38|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.91%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|12.ASSET|Equity|42|0.38|JD| JD.com, Inc. Sponsored ADR Class A| 0.90%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|13.ASSET|Equity|42|0.37|857| PetroChina Company Limited Class H| 0.89%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|14.ASSET|Equity|42|0.37|1288| Agricultural Bank of China Limited Class H| 0.88%| Emerging Markets|Equity|Emerging Markets Equities||ROAM|6|15.ASSET|Equity|42|0.37|2347| Synnex Technology International Corp.| 0.88%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|1.ASSET|Bond|38.7|2.8|N/A| United States Treasury Notes 1.375% 15-OCT-2022| 7.24%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|2.ASSET|Bond|38.7|1.81|N/A| FNMA 15yr Pool#MA4262 2.500% 01-Feb-2036 2.5% 01-FEB-2036| 4.67%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|3.ASSET|Bond|38.7|1.66|N/A| United States Treasury Notes 1.375% 31-JAN-2025| 4.30%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|4.ASSET|Bond|38.7|1.25|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 3.23%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|5.ASSET|Bond|38.7|0.95|N/A| FNMA 15yr Pool#MA4279 2.000% 01-Mar-2036 2.0% 01-MAR-2036| 2.45%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|6.ASSET|Bond|38.7|0.73|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-046 A2 3.205% 25-MAR-2025| 1.88%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|7.ASSET|Bond|38.7|0.7|N/A| FNMA 15yr Pool#MA4278 1.500% 01-Mar-2036 1.5% 01-MAR-2036| 1.82%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|8.ASSET|Bond|38.7|0.67|N/A| United States Treasury Notes 0.75% 30-APR-2026| 1.74%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|9.ASSET|Bond|38.7|0.62|N/A| United States Treasury Notes 0.25% 31-JUL-2025| 1.59%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|10.ASSET|Bond|38.7|0.56|N/A| FNMA 15yr Pool#MA4179 2.000% 01-Nov-2035 2.0% 01-NOV-2035| 1.45%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|11.ASSET|Bond|38.7|0.55|N/A| COMM 2014-CCRE16 Mortgage Trust A3 3.775% 10-APR-2047| 1.43%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|12.ASSET|Bond|38.7|0.54|N/A| United States Treasury Notes 2.5% 31-MAR-2023| 1.39%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|13.ASSET|Bond|38.7|0.53|N/A| FNMA 15yr Pool#MA3985 3.000% 01-Apr-2035 3.0% 01-APR-2035| 1.37%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|14.ASSET|Bond|38.7|0.51|N/A| Ford Credit Floorplan Master Owner Trust A, Series 2019-4 A 2.44% 15-SEP-2026| 1.31%| North America|Bond|Total Bond Market|Total Bond Market|NUSA|6|15.ASSET|Bond|38.7|0.45|N/A| Federal Agricultural Mortgage Corporation 0.0% 04-AUG-2013| 1.17%| North America|Equity|Large Cap Blend Equities||AZAO|6|1.ASSET|Equity|42.5|42.61|N/A| OPTIONS| 100.26%| North America|Equity|Large Cap Blend Equities||AZAO|6|2.ASSET|Equity|42.5|-0.11|N/A| U.S. Dollar| -0.26%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|1.ASSET|Equity|45.3|2.19|LMT| Lockheed Martin Corporation| 4.83%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|2.ASSET|Equity|45.3|1.73|ALL| Allstate Corporation| 3.83%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|3.ASSET|Equity|45.3|1.69|PGR| Progressive Corporation| 3.73%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|4.ASSET|Equity|45.3|1.69|AMGN| Amgen Inc.| 3.72%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|5.ASSET|Equity|45.3|1.65|UBSG| UBS Group AG| 3.64%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|6.ASSET|Equity|45.3|1.61|BBY| Best Buy Co., Inc.| 3.55%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|7.ASSET|Equity|45.3|1.6|ORLY| O\'Reilly Automotive, Inc.| 3.53%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|8.ASSET|Equity|45.3|1.6|PG| Procter & Gamble Company| 3.53%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|9.ASSET|Equity|45.3|1.59|LPX| Louisiana-Pacific Corporation| 3.51%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|10.ASSET|Equity|45.3|1.54|HPQ| HP Inc.| 3.39%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|11.ASSET|Equity|45.3|1.54|SEIC| SEI Investments Company| 3.39%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|12.ASSET|Equity|45.3|1.53|INTC| Intel Corporation| 3.37%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|13.ASSET|Equity|45.3|1.53|EVR| Evercore Inc Class A| 3.37%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|14.ASSET|Equity|45.3|1.52|PHM| PulteGroup, Inc.| 3.36%| North America|Equity|Large Cap Blend Equities|Financials|ZIG|6|15.ASSET|Equity|45.3|1.51|MED| Medifast, Inc.| 3.34%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|1.ASSET|Equity|45.7|1.7|FMG| Fortescue Metals Group Ltd| 3.73%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|2.ASSET|Equity|45.7|1.44|6| Power Assets Holdings Limited| 3.16%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|3.ASSET|Equity|45.7|1.43|8| PCCW Limited| 3.13%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|4.ASSET|Equity|45.7|1.26|SPK| Spark New Zealand Limited| 2.76%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|5.ASSET|Equity|45.7|1.25|JBH| JB Hi-Fi Limited| 2.73%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|6.ASSET|Equity|45.7|1.16|1038| CK Infrastructure Holdings Limited| 2.54%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|7.ASSET|Equity|45.7|1.15|8725| MS&AD Insurance Group Holdings, Inc.| 2.52%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|8.ASSET|Equity|45.7|1.13|303| VTech Holdings Limited| 2.47%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|9.ASSET|Equity|45.7|1.09|2388| BOC Hong Kong (Holdings) Limited| 2.39%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|10.ASSET|Equity|45.7|1.05|8058| Mitsubishi Corporation| 2.30%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|11.ASSET|Equity|45.7|1.05|MIN| Mineral Resources Limited| 2.30%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|12.ASSET|Equity|45.7|1.05|8308| Resona Holdings, Inc.| 2.29%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|13.ASSET|Equity|45.7|1.02|8053| Sumitomo Corporation| 2.24%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|14.ASSET|Equity|45.7|1.02|1808| Haseko Corporation| 2.23%| Developed Asia Pacific|Equity|Asia Pacific Equities||DVYA|6|15.ASSET|Equity|45.7|1.01|12| Henderson Land Development Co. Ltd.| 2.22%| North America|Bond|Government Bonds|Treasuries|IBTE|6|1.ASSET|Bond|66.3|16.99|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 25.63%| North America|Bond|Government Bonds|Treasuries|IBTE|6|2.ASSET|Bond|66.3|11.91|N/A| United States Treasury Notes 1.5% 30-SEP-2024| 17.97%| North America|Bond|Government Bonds|Treasuries|IBTE|6|3.ASSET|Bond|66.3|8.7|N/A| United States Treasury Notes 2.5% 31-JAN-2024| 13.12%| North America|Bond|Government Bonds|Treasuries|IBTE|6|4.ASSET|Bond|66.3|8.09|N/A| United States Treasury Notes 2.25% 30-APR-2024| 12.20%| North America|Bond|Government Bonds|Treasuries|IBTE|6|5.ASSET|Bond|66.3|3.75|N/A| United States Treasury Notes 2.375% 29-FEB-2024| 5.65%| North America|Bond|Government Bonds|Treasuries|IBTE|6|6.ASSET|Bond|66.3|3.61|N/A| United States Treasury Notes 1.5% 30-NOV-2024| 5.45%| North America|Bond|Government Bonds|Treasuries|IBTE|6|7.ASSET|Bond|66.3|3.57|N/A| United States Treasury Notes 0.125% 15-JAN-2024| 5.38%| North America|Bond|Government Bonds|Treasuries|IBTE|6|8.ASSET|Bond|66.3|3.35|N/A| United States Treasury Notes 2.0% 30-APR-2024| 5.06%| North America|Bond|Government Bonds|Treasuries|IBTE|6|9.ASSET|Bond|66.3|1.44|N/A| United States Treasury Notes 2.125% 31-JUL-2024| 2.17%| North America|Bond|Government Bonds|Treasuries|IBTE|6|10.ASSET|Bond|66.3|1.24|N/A| United States Treasury Notes 1.0% 15-DEC-2024| 1.87%| North America|Bond|Government Bonds|Treasuries|IBTE|6|11.ASSET|Bond|66.3|0.97|N/A| United States Treasury Notes 2.375% 15-AUG-2024| 1.47%| North America|Bond|Government Bonds|Treasuries|IBTE|6|12.ASSET|Bond|66.3|0.81|N/A| United States Treasury Notes 0.375% 15-APR-2024| 1.22%| North America|Bond|Government Bonds|Treasuries|IBTE|6|13.ASSET|Bond|66.3|0.68|N/A| United States Treasury Notes 2.25% 15-NOV-2024| 1.02%| North America|Bond|Government Bonds|Treasuries|IBTE|6|14.ASSET|Bond|66.3|0.4|N/A| United States Treasury Notes 1.75% 31-JUL-2024| 0.60%| North America|Bond|Government Bonds|Treasuries|IBTE|6|15.ASSET|Bond|66.3|0.36|N/A| United States Treasury Notes 0.375% 15-JUL-2024| 0.55%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|1.ASSET|Equity|20.3|12.05|N/A| DERIVATIVE SECURITIES (OTHER)| 59.36%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|2.ASSET|Equity|20.3|2.08|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 10.24%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|3.ASSET|Equity|20.3|0.94|N/A| U.S. Dollar| 4.61%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|4.ASSET|Equity|20.3|0.78|NEE| NextEra Energy, Inc.| 3.84%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|5.ASSET|Equity|20.3|0.4|DUK| Duke Energy Corporation| 1.96%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|6.ASSET|Equity|20.3|0.35|SO| Southern Company| 1.73%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|7.ASSET|Equity|20.3|0.33|D| Dominion Energy Inc| 1.64%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|8.ASSET|Equity|20.3|0.24|SRE| Sempra Energy| 1.20%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|9.ASSET|Equity|20.3|0.24|AEP| American Electric Power Company, Inc.| 1.16%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|10.ASSET|Equity|20.3|0.22|EXC| Exelon Corporation| 1.06%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|11.ASSET|Equity|20.3|0.19|N/A| TREASURY ISSUES (LONG-TERM)| 0.95%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|12.ASSET|Equity|20.3|0.19|XEL| Xcel Energy Inc.| 0.92%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|13.ASSET|Equity|20.3|0.17|PEG| Public Service Enterprise Group Inc| 0.83%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|14.ASSET|Equity|20.3|0.16|ED| Consolidated Edison, Inc.| 0.78%| North America|Equity|Leveraged Equities|Utilities|UTSL|6|15.ASSET|Equity|20.3|0.15|N/A| MUTUAL FUND (OTHER)| 0.75%| Latin America|Equity|Latin America Equities||GXG|6|1.ASSET|Equity|38.3|5.68|CIB| Bancolombia S.A. Sponsored ADR Pfd| 14.83%| Latin America|Equity|Latin America Equities||GXG|6|2.ASSET|Equity|38.3|5.46|EC| Ecopetrol SA Sponsored ADR| 14.25%| Latin America|Equity|Latin America Equities||GXG|6|3.ASSET|Equity|38.3|3.4|ISA| Interconexion Electrica SA ESP| 8.88%| Latin America|Equity|Latin America Equities||GXG|6|4.ASSET|Equity|38.3|3.22|BCOLOMBIA| Bancolombia S.A.| 8.40%| Latin America|Equity|Latin America Equities||GXG|6|5.ASSET|Equity|38.3|1.65|GEB| GRUPO ENERGIA BOGOTA S.A. E.S.P| 4.31%| Latin America|Equity|Latin America Equities||GXG|6|6.ASSET|Equity|38.3|1.55|PFDAVVNDA| Banco Davivienda SA Pfd| 4.05%| Latin America|Equity|Latin America Equities||GXG|6|7.ASSET|Equity|38.3|1.52|NUTRESA| Grupo Nutresa S.A.| 3.96%| Latin America|Equity|Latin America Equities||GXG|6|8.ASSET|Equity|38.3|1.39|CEMARGOS| Cementos Argos SA| 3.63%| Latin America|Equity|Latin America Equities||GXG|6|9.ASSET|Equity|38.3|1.33|GRUPOARGOS| Grupo Argos S.A.| 3.47%| Latin America|Equity|Latin America Equities||GXG|6|10.ASSET|Equity|38.3|1.3|CORFICOLCF| Corporacion Financiera Colombiana SA| 3.39%| Latin America|Equity|Latin America Equities||GXG|6|11.ASSET|Equity|38.3|1.25|PFGRUPSURA| Grupo de Inversiones Suramericana SA Pfd| 3.27%| Latin America|Equity|Latin America Equities||GXG|6|12.ASSET|Equity|38.3|1.24|AVAL| Grupo Aval Acciones y Valores SA Sponsored ADR Pfd| 3.24%| Latin America|Equity|Latin America Equities||GXG|6|13.ASSET|Equity|38.3|1.04|CELSIA| Celsia SA ESP| 2.71%| Latin America|Equity|Latin America Equities||GXG|6|14.ASSET|Equity|38.3|1.03|GRUPOSURA| Grupo de Inversiones Suramericana S.A.| 2.68%| Latin America|Equity|Latin America Equities||GXG|6|15.ASSET|Equity|38.3|0.93|TGLS| Tecnoglass Inc.| 2.43%| North America|Equity|Small Cap Growth Equities||PBSM|6|1.ASSET|Equity|35.7|0.14|MRO| Marathon Oil Corporation| 0.38%| North America|Equity|Small Cap Growth Equities||PBSM|6|2.ASSET|Equity|35.7|0.12|PWR| Quanta Services, Inc.| 0.33%| North America|Equity|Small Cap Growth Equities||PBSM|6|3.ASSET|Equity|35.7|0.11|AA| Alcoa Corporation| 0.32%| North America|Equity|Small Cap Growth Equities||PBSM|6|4.ASSET|Equity|35.7|0.11|TRGP| Targa Resources Corp.| 0.31%| North America|Equity|Small Cap Growth Equities||PBSM|6|5.ASSET|Equity|35.7|0.11|BLDR| Builders FirstSource, Inc.| 0.30%| North America|Equity|Small Cap Growth Equities||PBSM|6|6.ASSET|Equity|35.7|0.1|APA| APA Corp.| 0.29%| North America|Equity|Small Cap Growth Equities||PBSM|6|7.ASSET|Equity|35.7|0.1|LPLA| LPL Financial Holdings Inc.| 0.28%| North America|Equity|Small Cap Growth Equities||PBSM|6|8.ASSET|Equity|35.7|0.1|JLL| Jones Lang LaSalle Incorporated| 0.27%| North America|Equity|Small Cap Growth Equities||PBSM|6|9.ASSET|Equity|35.7|0.1|FHN| First Horizon Corporation| 0.27%| North America|Equity|Small Cap Growth Equities||PBSM|6|10.ASSET|Equity|35.7|0.1|DAR| Darling Ingredients Inc.| 0.27%| North America|Equity|Small Cap Growth Equities||PBSM|6|11.ASSET|Equity|35.7|0.09|GGG| Graco Inc.| 0.26%| North America|Equity|Small Cap Growth Equities||PBSM|6|12.ASSET|Equity|35.7|0.09|CSL| Carlisle Companies Incorporated| 0.26%| North America|Equity|Small Cap Growth Equities||PBSM|6|13.ASSET|Equity|35.7|0.09|OVV| Ovintiv Inc| 0.26%| North America|Equity|Small Cap Growth Equities||PBSM|6|14.ASSET|Equity|35.7|0.09|CMA| Comerica Incorporated| 0.25%| North America|Equity|Small Cap Growth Equities||PBSM|6|15.ASSET|Equity|35.7|0.09|CONE| CyrusOne Inc.| 0.25%| Emerging Markets|Equity|Volatility Hedged Equity||EJUL|6|1.ASSET|Equity|36.5|36.41|N/A| OPTIONS| 99.75%| Emerging Markets|Equity|Volatility Hedged Equity||EJUL|6|2.ASSET|Equity|36.5|36.41|N/A| OPTIONS| 99.74%| Emerging Markets|Equity|Volatility Hedged Equity||EJUL|6|3.ASSET|Equity|36.5|0.09|N/A| U.S. Dollar| 0.26%| Emerging Markets|Equity|Volatility Hedged Equity||EJUL|6|4.ASSET|Equity|36.5|0.09|N/A| U.S. Dollar| 0.25%| North America|Equity|Mid Cap Growth Equities||PAMC|6|1.ASSET|Equity|39.6|0.75|ARW| Arrow Electronics, Inc.| 1.90%| North America|Equity|Mid Cap Growth Equities||PAMC|6|2.ASSET|Equity|39.6|0.7|STLD| Steel Dynamics, Inc.| 1.78%| North America|Equity|Mid Cap Growth Equities||PAMC|6|3.ASSET|Equity|39.6|0.68|Y| Alleghany Corporation| 1.71%| North America|Equity|Mid Cap Growth Equities||PAMC|6|4.ASSET|Equity|39.6|0.67|ORI| Old Republic International Corporation| 1.70%| North America|Equity|Mid Cap Growth Equities||PAMC|6|5.ASSET|Equity|39.6|0.67|X| United States Steel Corporation| 1.68%| North America|Equity|Mid Cap Growth Equities||PAMC|6|6.ASSET|Equity|39.6|0.58|LAD| Lithia Motors, Inc.| 1.47%| North America|Equity|Mid Cap Growth Equities||PAMC|6|7.ASSET|Equity|39.6|0.57|BLDR| Builders FirstSource, Inc.| 1.44%| North America|Equity|Mid Cap Growth Equities||PAMC|6|8.ASSET|Equity|39.6|0.57|CLF| Cleveland-Cliffs Inc| 1.43%| North America|Equity|Mid Cap Growth Equities||PAMC|6|9.ASSET|Equity|39.6|0.55|FAF| First American Financial Corporation| 1.39%| North America|Equity|Mid Cap Growth Equities||PAMC|6|10.ASSET|Equity|39.6|0.51|FHN| First Horizon Corporation| 1.29%| North America|Equity|Mid Cap Growth Equities||PAMC|6|11.ASSET|Equity|39.6|0.51|RS| Reliance Steel & Aluminum Co.| 1.29%| North America|Equity|Mid Cap Growth Equities||PAMC|6|12.ASSET|Equity|39.6|0.5|UGI| UGI Corporation| 1.27%| North America|Equity|Mid Cap Growth Equities||PAMC|6|13.ASSET|Equity|39.6|0.5|KSS| Kohl\'s Corporation| 1.26%| North America|Equity|Mid Cap Growth Equities||PAMC|6|14.ASSET|Equity|39.6|0.46|UNM| Unum Group| 1.16%| North America|Equity|Mid Cap Growth Equities||PAMC|6|15.ASSET|Equity|39.6|0.46|RGA| Reinsurance Group of America, Incorporated| 1.15%| North America|Equity|Mid Cap Growth Equities||FRTY|6|1.ASSET|Equity|33.8|2.18|SBNY| Signature Bank| 6.46%| North America|Equity|Mid Cap Growth Equities||FRTY|6|2.ASSET|Equity|33.8|1.42|CAT| Caterpillar Inc.| 4.19%| North America|Equity|Mid Cap Growth Equities||FRTY|6|3.ASSET|Equity|33.8|1.36|GXO| GXO Logistics Inc| 4.01%| North America|Equity|Mid Cap Growth Equities||FRTY|6|4.ASSET|Equity|33.8|1.3|USFD| US Foods Holding Corp.| 3.85%| North America|Equity|Mid Cap Growth Equities||FRTY|6|5.ASSET|Equity|33.8|1.22|CFX| Colfax Corporation| 3.61%| North America|Equity|Mid Cap Growth Equities||FRTY|6|6.ASSET|Equity|33.8|1.2|SAIA| Saia, Inc.| 3.54%| North America|Equity|Mid Cap Growth Equities||FRTY|6|7.ASSET|Equity|33.8|1.17|HLIO| Helios Technologies, Inc.| 3.45%| North America|Equity|Mid Cap Growth Equities||FRTY|6|8.ASSET|Equity|33.8|1.16|N/A| U.S. Dollar| 3.44%| North America|Equity|Mid Cap Growth Equities||FRTY|6|9.ASSET|Equity|33.8|1.16|HRI| Herc Holdings, Inc.| 3.44%| North America|Equity|Mid Cap Growth Equities||FRTY|6|10.ASSET|Equity|33.8|1.14|HEI.A| HEICO Corporation Class A| 3.38%| North America|Equity|Mid Cap Growth Equities||FRTY|6|11.ASSET|Equity|33.8|1.12|CHX| ChampionX Corporation| 3.30%| North America|Equity|Mid Cap Growth Equities||FRTY|6|12.ASSET|Equity|33.8|1.1|AZTA| Azenta, Inc.| 3.26%| North America|Equity|Mid Cap Growth Equities||FRTY|6|13.ASSET|Equity|33.8|1.05|MGM| MGM Resorts International| 3.10%| North America|Equity|Mid Cap Growth Equities||FRTY|6|14.ASSET|Equity|33.8|1.01|APTV| Aptiv PLC| 2.98%| North America|Equity|Mid Cap Growth Equities||FRTY|6|15.ASSET|Equity|33.8|1|NTRA| Natera, Inc.| 2.96%| North America|Equity|Financials Equities|Financials|JHMF|6|1.ASSET|Equity|28.9|1.34|BRK.B| Berkshire Hathaway Inc. Class B| 4.64%| North America|Equity|Financials Equities|Financials|JHMF|6|2.ASSET|Equity|28.9|1.02|JPM| JPMorgan Chase & Co.| 3.53%| North America|Equity|Financials Equities|Financials|JHMF|6|3.ASSET|Equity|28.9|0.95|V| Visa Inc. Class A| 3.27%| North America|Equity|Financials Equities|Financials|JHMF|6|4.ASSET|Equity|28.9|0.88|BAC| Bank of America Corp| 3.05%| North America|Equity|Financials Equities|Financials|JHMF|6|5.ASSET|Equity|28.9|0.86|MA| Mastercard Incorporated Class A| 2.97%| North America|Equity|Financials Equities|Financials|JHMF|6|6.ASSET|Equity|28.9|0.71|WFC| Wells Fargo & Company| 2.45%| North America|Equity|Financials Equities|Financials|JHMF|6|7.ASSET|Equity|28.9|0.58|TRV| Travelers Companies, Inc.| 2.00%| North America|Equity|Financials Equities|Financials|JHMF|6|8.ASSET|Equity|28.9|0.49|C| Citigroup Inc.| 1.70%| North America|Equity|Financials Equities|Financials|JHMF|6|9.ASSET|Equity|28.9|0.47|ALL| Allstate Corporation| 1.64%| North America|Equity|Financials Equities|Financials|JHMF|6|10.ASSET|Equity|28.9|0.47|GS| Goldman Sachs Group, Inc.| 1.62%| North America|Equity|Financials Equities|Financials|JHMF|6|11.ASSET|Equity|28.9|0.45|MS| Morgan Stanley| 1.54%| North America|Equity|Financials Equities|Financials|JHMF|6|12.ASSET|Equity|28.9|0.43|COF| Capital One Financial Corporation| 1.48%| North America|Equity|Financials Equities|Financials|JHMF|6|13.ASSET|Equity|28.9|0.42|PRU| Prudential Financial, Inc.| 1.45%| North America|Equity|Financials Equities|Financials|JHMF|6|14.ASSET|Equity|28.9|0.4|MMC| Marsh & McLennan Companies, Inc.| 1.38%| North America|Equity|Financials Equities|Financials|JHMF|6|15.ASSET|Equity|28.9|0.39|TFC| Truist Financial Corporation| 1.34%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|1.ASSET|Equity|29.2|2.93|JNJ| Johnson & Johnson| 10.04%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|2.ASSET|Equity|29.2|1.91|ABBV| AbbVie, Inc.| 6.53%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|3.ASSET|Equity|29.2|1.74|LLY| Eli Lilly and Company| 5.96%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|4.ASSET|Equity|29.2|1.62|PFE| Pfizer Inc.| 5.56%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|5.ASSET|Equity|29.2|1.52|BMY| Bristol-Myers Squibb Company| 5.20%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|6.ASSET|Equity|29.2|1.5|MRK| Merck & Co., Inc.| 5.15%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|7.ASSET|Equity|29.2|1.28|VRTX| Vertex Pharmaceuticals Incorporated| 4.40%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|8.ASSET|Equity|29.2|1.26|REGN| Regeneron Pharmaceuticals, Inc.| 4.31%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|9.ASSET|Equity|29.2|1.25|MRNA| Moderna, Inc.| 4.28%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|10.ASSET|Equity|29.2|1.23|GILD| Gilead Sciences, Inc.| 4.22%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|11.ASSET|Equity|29.2|1.21|AMGN| Amgen Inc.| 4.16%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|12.ASSET|Equity|29.2|0.8|ZTS| Zoetis, Inc. Class A| 2.73%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|13.ASSET|Equity|29.2|0.68|BIIB| Biogen Inc.| 2.34%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|14.ASSET|Equity|29.2|0.51|ALNY| Alnylam Pharmaceuticals, Inc| 1.76%| North America|Equity|Health & Biotech Equities|Healthcare|IEIH|6|15.ASSET|Equity|29.2|0.46|HZNP| Horizon Therapeutics Public Limited Company| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|1.ASSET|Equity|37.1|0.96|NESN| Nestle S.A.| 2.60%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|2.ASSET|Equity|37.1|0.72|ASML| ASML Holding NV| 1.95%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|3.ASSET|Equity|37.1|0.65|ROG| Roche Holding Ltd| 1.76%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|4.ASSET|Equity|37.1|0.59|SHEL| Shell PLC| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|5.ASSET|Equity|37.1|0.59|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.58%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|6.ASSET|Equity|37.1|0.57|RIO| Rio Tinto plc| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|7.ASSET|Equity|37.1|0.55|AAL| Anglo American plc| 1.48%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|8.ASSET|Equity|37.1|0.54|6758| Sony Group Corporation| 1.46%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|9.ASSET|Equity|37.1|0.53|NOVN| Novartis AG| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|10.ASSET|Equity|37.1|0.52|CNR| Canadian National Railway Company| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|11.ASSET|Equity|37.1|0.51|5401| NIPPON STEEL CORP.| 1.37%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|12.ASSET|Equity|37.1|0.5|2914| Japan Tobacco Inc.| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|13.ASSET|Equity|37.1|0.5|BHP| BHP Group Ltd| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|14.ASSET|Equity|37.1|0.49|SAN| Sanofi| 1.32%| Developed Markets|Equity|Foreign Large Cap Equities||FIVA|6|15.ASSET|Equity|37.1|0.49|SECU.B| Securitas AB Class B| 1.32%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|1.ASSET|Bond|48|2.3|N/A| MUNICIPAL BONDS| 4.79%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|2.ASSET|Bond|48|0.57|N/A| California St 5.0% 01-AUG-2034| 1.18%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|3.ASSET|Bond|48|0.56|N/A| Pennsylvania St 5.0% 15-MAR-2028| 1.17%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|4.ASSET|Bond|48|0.56|N/A| Salt Riv Proj Agric Impt & Pwr Dist Ariz Elec Sys Rev 5.0% 01-DEC-2045| 1.16%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|5.ASSET|Bond|48|0.53|N/A| Illinois Fin Auth Rev 5.0% 15-FEB-2025| 1.10%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|6.ASSET|Bond|48|0.46|N/A| Triborough Brdg & Tunl Auth N Y Revs 5.0% 15-NOV-2034| 0.96%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|7.ASSET|Bond|48|0.45|N/A| Los Angeles Cnty Calif Santn Dists Fing Auth Rev 5.0% 01-OCT-2034| 0.94%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|8.ASSET|Bond|48|0.43|N/A| Michigan St Bldg Auth Rev 5.0% 15-APR-2032| 0.89%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|9.ASSET|Bond|48|0.41|N/A| New Jersey Economic Dev Auth Rev 5.0% 15-JUN-2025| 0.86%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|10.ASSET|Bond|48|0.35|N/A| Texas Water Dev Brd 5.0% 15-OCT-2030| 0.72%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|11.ASSET|Bond|48|0.34|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-AUG-2031| 0.71%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|12.ASSET|Bond|48|0.34|N/A| St Paul Minn Hsg & Redev Auth Health Care Fac Rev 5.0% 01-JUL-2028| 0.70%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|13.ASSET|Bond|48|0.34|N/A| Indiana St Fin Auth Rev 5.0% 01-FEB-2025| 0.70%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|14.ASSET|Bond|48|0.33|N/A| Chicago Ill O Hare Intl Arpt Rev 5.0% 01-JAN-2031| 0.69%| North America|Bond|National Munis|Target Maturity Date Munis|BSMP|6|15.ASSET|Bond|48|0.33|N/A| Michigan Fin Auth Rev 5.0% 01-AUG-2025| 0.68%| North America|Equity|Europe Equities||EWGS|6|1.ASSET|Equity|35.8|1.55|RHM| Rheinmetall AG| 4.32%| North America|Equity|Europe Equities||EWGS|6|2.ASSET|Equity|35.8|1.17|SDF| K+S AG| 3.27%| North America|Equity|Europe Equities||EWGS|6|3.ASSET|Equity|35.8|1.02|TKA| thyssenkrupp AG| 2.86%| North America|Equity|Europe Equities||EWGS|6|4.ASSET|Equity|35.8|0.96|EVD| CTS Eventim AG & Co. KGaA| 2.68%| North America|Equity|Europe Equities||EWGS|6|5.ASSET|Equity|35.8|0.92|EVT| Evotec SE| 2.58%| North America|Equity|Europe Equities||EWGS|6|6.ASSET|Equity|35.8|0.9|TEG| TAG Immobilien AG| 2.52%| North America|Equity|Europe Equities||EWGS|6|7.ASSET|Equity|35.8|0.88|NDA| Aurubis AG| 2.45%| North America|Equity|Europe Equities||EWGS|6|8.ASSET|Equity|35.8|0.87|BOSS| HUGO BOSS AG| 2.43%| North America|Equity|Europe Equities||EWGS|6|9.ASSET|Equity|35.8|0.81|FNTN| freenet AG| 2.27%| North America|Equity|Europe Equities||EWGS|6|10.ASSET|Equity|35.8|0.67|BFSA| Befesa SA| 1.86%| North America|Equity|Europe Equities||EWGS|6|11.ASSET|Equity|35.8|0.61|TMV| TeamViewer AG| 1.71%| North America|Equity|Europe Equities||EWGS|6|12.ASSET|Equity|35.8|0.6|FRA| Fraport AG| 1.67%| North America|Equity|Europe Equities||EWGS|6|13.ASSET|Equity|35.8|0.58|WCH| Wacker Chemie AG| 1.62%| North America|Equity|Europe Equities||EWGS|6|14.ASSET|Equity|35.8|0.58|AIXA| AIXTRON SE| 1.62%| North America|Equity|Europe Equities||EWGS|6|15.ASSET|Equity|35.8|0.55|GYC| Grand City Properties SA| 1.54%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|1.ASSET|Equity|37.9|0.2|FTS| Fortis Inc.| 0.53%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|2.ASSET|Equity|37.9|0.2|EMA| Emera Incorporated| 0.53%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|3.ASSET|Equity|37.9|0.19|RY| Royal Bank of Canada| 0.51%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|4.ASSET|Equity|37.9|0.18|CM| Canadian Imperial Bank of Commerce| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|5.ASSET|Equity|37.9|0.18|TD| Toronto-Dominion Bank| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|6.ASSET|Equity|37.9|0.18|BNS| Bank of Nova Scotia| 0.48%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|7.ASSET|Equity|37.9|0.18|BCE| BCE Inc.| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|8.ASSET|Equity|37.9|0.18|T| TELUS Corporation| 0.47%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|9.ASSET|Equity|37.9|0.17|H| Hydro One Limited| 0.46%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|10.ASSET|Equity|37.9|0.16|NESN| Nestle S.A.| 0.42%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|11.ASSET|Equity|37.9|0.16|MRU| Metro Inc.| 0.41%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|12.ASSET|Equity|37.9|0.16|U11| United Overseas Bank Ltd. (Singapore)| 0.41%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|13.ASSET|Equity|37.9|0.16|GWO| Great-West Lifeco Inc.| 0.41%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|14.ASSET|Equity|37.9|0.15|2| CLP Holdings Limited| 0.40%| Developed Markets|Equity|Foreign Large Cap Equities||CIZ|6|15.ASSET|Equity|37.9|0.15|NA| National Bank of Canada| 0.40%| North America|Equity|Volatility Hedged Equity||NAPR|6|1.ASSET|Equity|34.2|34.19|N/A| OPTIONS| 99.98%| North America|Equity|Volatility Hedged Equity||NAPR|6|2.ASSET|Equity|34.2|0.01|N/A| U.S. Dollar| 0.02%| North America|Bond|High Yield Bonds|Junk|THY|6|1.ASSET|Bond|35|35|N/A| U.S. Dollar| 100.00%| North America|Bond|High Yield Bonds|Junk|THY|6|2.ASSET|Bond|35|35|N/A| U.S. Dollar| 100.00%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|1.ASSET|Bond|39.6|0.51|N/A| Boeing Company 3.1% 01-MAY-2026| 1.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|2.ASSET|Bond|39.6|0.44|N/A| Morgan Stanley 3.7% 23-OCT-2024| 1.10%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|3.ASSET|Bond|39.6|0.39|N/A| EMC Corporation 6.02% 15-JUN-2026| 0.99%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|4.ASSET|Bond|39.6|0.37|N/A| JPMorgan Chase & Co. 3.22% 01-MAR-2025| 0.93%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|5.ASSET|Bond|39.6|0.36|N/A| Bank of America Corporation 3.458% 15-MAR-2025| 0.92%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|6.ASSET|Bond|39.6|0.35|N/A| AbbVie Inc. 3.6% 14-MAY-2025| 0.88%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|7.ASSET|Bond|39.6|0.3|N/A| Boeing Company 2.196% 04-FEB-2026| 0.76%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|8.ASSET|Bond|39.6|0.3|N/A| Morgan Stanley 2.72% 22-JUL-2025| 0.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|9.ASSET|Bond|39.6|0.29|N/A| Gilead Sciences, Inc. 3.5% 01-FEB-2025| 0.74%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|10.ASSET|Bond|39.6|0.29|N/A| Citigroup Inc. 4.4% 10-JUN-2025| 0.73%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|11.ASSET|Bond|39.6|0.29|N/A| AbbVie Inc. 3.8% 15-MAR-2025| 0.73%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|12.ASSET|Bond|39.6|0.29|N/A| Bank of America Corporation 3.366% 23-JAN-2026| 0.73%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|13.ASSET|Bond|39.6|0.29|N/A| Broadcom Inc. 3.419% 15-APR-2033| 0.72%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|14.ASSET|Bond|39.6|0.26|N/A| KeyBank National Association 3.4% 20-MAY-2026| 0.66%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SFIG|6|15.ASSET|Bond|39.6|0.24|N/A| Wells Fargo & Company 3.75% 24-JAN-2024| 0.61%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|1.ASSET|Bond|42.5|9.01|N/A| MUTUAL FUND (OTHER)| 21.21%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|2.ASSET|Bond|42.5|8.06|N/A| MUTUAL FUND (OTHER)| 18.97%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|3.ASSET|Bond|42.5|1.13|N/A| Government of Poland 5.0% 23-MAR-2022| 2.65%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|4.ASSET|Bond|42.5|1.11|N/A| Government of Poland 5.0% 23-MAR-2022| 2.62%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|5.ASSET|Bond|42.5|1.03|N/A| Emirate of Abu Dhabi (United Arab Emirates) 2.5% 11-OCT-2022| 2.42%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|6.ASSET|Bond|42.5|1.03|N/A| Emirate of Abu Dhabi (United Arab Emirates) 2.5% 11-OCT-2022| 2.42%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|7.ASSET|Bond|42.5|1.02|N/A| Emirate of Abu Dhabi (United Arab Emirates) 2.5% 11-OCT-2022| 2.40%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|8.ASSET|Bond|42.5|1.02|N/A| Emirate of Abu Dhabi (United Arab Emirates) 2.5% 11-OCT-2022| 2.40%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|9.ASSET|Bond|42.5|0.83|N/A| Government of Turkey 6.25% 26-SEP-2022| 1.95%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|10.ASSET|Bond|42.5|0.82|N/A| Government of Turkey 6.25% 26-SEP-2022| 1.93%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|11.ASSET|Bond|42.5|0.62|N/A| Petronas Capital Ltd. 7.875% 22-MAY-2022| 1.46%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|12.ASSET|Bond|42.5|0.62|N/A| Petronas Capital Ltd. 7.875% 22-MAY-2022| 1.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|13.ASSET|Bond|42.5|0.62|N/A| Government of South Africa 5.875% 30-MAY-2022| 1.45%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|14.ASSET|Bond|42.5|0.61|N/A| Government of Indonesia 3.75% 25-APR-2022| 1.44%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSBE|6|15.ASSET|Bond|42.5|0.61|N/A| Government of South Africa 5.875% 30-MAY-2022| 1.44%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|1.ASSET|Equity|51|3.04|300750| Contemporary Amperex Technology Co., Ltd. Class A| 5.96%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|2.ASSET|Equity|51|3.01|600036| China Merchants Bank Co., Ltd. Class A| 5.90%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|3.ASSET|Equity|51|2.76|600519| Kweichow Moutai Co., Ltd. Class A| 5.42%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|4.ASSET|Equity|51|1.8|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 3.52%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|5.ASSET|Equity|51|1.48|600030| CITIC Securities Co. Ltd. Class A| 2.90%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|6.ASSET|Equity|51|1.24|601919| COSCO SHIPPING Holdings Co., Ltd. Class A| 2.43%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|7.ASSET|Equity|51|1.22|600028| China Petroleum & Chemical Corporation Class A| 2.39%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|8.ASSET|Equity|51|1.16|601668| China State Construction Engineering Corp. Ltd. Class A| 2.28%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|9.ASSET|Equity|51|1.08|603259| WuXi AppTec Co., Ltd. Class A| 2.12%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|10.ASSET|Equity|51|1.07|002800| Xinjiang Tianshun Supply Chain Co. Ltd. Class A| 2.10%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|11.ASSET|Equity|51|1.05|000039| China International Marine Containers (Group) Co., Ltd Class A| 2.06%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|12.ASSET|Equity|51|0.93|300661| SG Micro Corp. Class A| 1.83%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|13.ASSET|Equity|51|0.92|601166| Industrial Bank Co., Ltd. Class A| 1.81%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|14.ASSET|Equity|51|0.9|603986| Giga Device Semiconductor (Beijing) Inc. Class A| 1.76%| Emerging Asia Pacific|Equity|China Equities||RAYC|6|15.ASSET|Equity|51|0.84|600887| Inner Mongolia Yili Industrial Group Co., Ltd. Class A| 1.64%| North America|Equity|Volatility Hedged Equity||UMAY|6|1.ASSET|Equity|40.3|40.26|N/A| OPTIONS| 99.90%| North America|Equity|Volatility Hedged Equity||UMAY|6|2.ASSET|Equity|40.3|40.26|N/A| OPTIONS| 99.90%| North America|Equity|Volatility Hedged Equity||UMAY|6|3.ASSET|Equity|40.3|0.04|N/A| U.S. Dollar| 0.10%| North America|Equity|Volatility Hedged Equity||UMAY|6|4.ASSET|Equity|40.3|0.04|N/A| U.S. Dollar| 0.10%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|1.ASSET|Equity|27.4|1.3|IBRX| ImmunityBio Inc| 4.75%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|2.ASSET|Equity|27.4|1.27|BMY| Bristol-Myers Squibb Company| 4.62%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|3.ASSET|Equity|27.4|1.24|AZN| Astrazeneca PLC Sponsored ADR| 4.53%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|4.ASSET|Equity|27.4|1.15|MRK| Merck & Co., Inc.| 4.21%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|5.ASSET|Equity|27.4|1.12|ARGX| argenx SE ADR| 4.09%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|6.ASSET|Equity|27.4|1.11|REGN| Regeneron Pharmaceuticals, Inc.| 4.06%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|7.ASSET|Equity|27.4|1.11|MRUS| Merus N.V.| 4.05%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|8.ASSET|Equity|27.4|1.07|RCUS| Arcus Biosciences, Inc.| 3.89%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|9.ASSET|Equity|27.4|1.03|ITOS| iTeos Therapeutics, Inc.| 3.75%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|10.ASSET|Equity|27.4|1.02|GMAB| Genmab A/S Sponsored ADR| 3.73%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|11.ASSET|Equity|27.4|1.02|LEGN| Legend Biotech Corporation Sponsored ADR| 3.72%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|12.ASSET|Equity|27.4|1|BCYC| Bicycle Therapeutics Plc Sponsored ADR| 3.66%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|13.ASSET|Equity|27.4|0.98|XNCR| Xencor, Inc.| 3.58%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|14.ASSET|Equity|27.4|0.97|GILD| Gilead Sciences, Inc.| 3.54%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|CNCR|6|15.ASSET|Equity|27.4|0.95|ALXO| ALX Oncology Holdings, Inc.| 3.45%| Global|Commodity|Commodities||CCRV|6|1.ASSET|Commodity|36.9|36.9|N/A| Cash Component| 100.00%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|1.ASSET|Multi-Asset|41|7.11|SPY| SPDR S&P 500 ETF Trust| 17.33%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|2.ASSET|Multi-Asset|41|5.01|XLK| Technology Select Sector SPDR Fund| 12.21%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|3.ASSET|Multi-Asset|41|4.81|IEFA| iShares Core MSCI EAFE ETF| 11.74%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|4.ASSET|Multi-Asset|41|4.3|SHY| iShares 1-3 Year Treasury Bond ETF| 10.48%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|5.ASSET|Multi-Asset|41|3.27|AGG| iShares Core U.S. Aggregate Bond ETF| 7.98%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|6.ASSET|Multi-Asset|41|2.51|IJR| iShares Core S&P Small Cap ETF| 6.12%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|7.ASSET|Multi-Asset|41|2.5|XLV| Health Care Select Sector SPDR Fund| 6.10%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|8.ASSET|Multi-Asset|41|2.09|XLF| Financial Select Sector SPDR Fund| 5.10%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|9.ASSET|Multi-Asset|41|1.45|XLI| Industrial Select Sector SPDR Fund| 3.53%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|10.ASSET|Multi-Asset|41|1.41|XLP| Consumer Staples Select Sector SPDR Fund| 3.45%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|11.ASSET|Multi-Asset|41|1.25|MDY| SPDR S&P Midcap 400 ETF Trust| 3.05%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|12.ASSET|Multi-Asset|41|1.22|HYLB| Xtrackers USD High Yield Corporate Bond ETF| 2.98%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|13.ASSET|Multi-Asset|41|0.83|TIP| iShares TIPS Bond ETF| 2.03%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|14.ASSET|Multi-Asset|41|0.72|XLU| Utilities Select Sector SPDR Fund| 1.76%| Developed Markets|Multi-Asset|Diversified Portfolio||TCTL|6|15.ASSET|Multi-Asset|41|0.41|GWX| SPDR S&P International Small Cap ETF| 1.00%| North America|Equity|Europe Equities||FLSW|6|1.ASSET|Equity|45.8|9.11|NESN| Nestle S.A.| 19.88%| North America|Equity|Europe Equities||FLSW|6|2.ASSET|Equity|45.8|6.74|ROG| Roche Holding Ltd| 14.72%| North America|Equity|Europe Equities||FLSW|6|3.ASSET|Equity|45.8|4.74|NOVN| Novartis AG| 10.36%| North America|Equity|Europe Equities||FLSW|6|4.ASSET|Equity|45.8|2.34|ZURN| Zurich Insurance Group Ltd| 5.11%| North America|Equity|Europe Equities||FLSW|6|5.ASSET|Equity|45.8|1.94|UBSG| UBS Group AG| 4.24%| North America|Equity|Europe Equities||FLSW|6|6.ASSET|Equity|45.8|1.94|ABBN| ABB Ltd.| 4.24%| North America|Equity|Europe Equities||FLSW|6|7.ASSET|Equity|45.8|1.8|CFR| Compagnie Financiere Richemont SA| 3.93%| North America|Equity|Europe Equities||FLSW|6|8.ASSET|Equity|45.8|1.8|LONN| Lonza Group AG| 3.93%| North America|Equity|Europe Equities||FLSW|6|9.ASSET|Equity|45.8|1.6|SIKA| Sika AG| 3.50%| North America|Equity|Europe Equities||FLSW|6|10.ASSET|Equity|45.8|1.21|GIVN| Givaudan SA| 2.65%| North America|Equity|Europe Equities||FLSW|6|11.ASSET|Equity|45.8|0.97|ALC| Alcon AG| 2.12%| North America|Equity|Europe Equities||FLSW|6|12.ASSET|Equity|45.8|0.81|PGHN| Partners Group Holding AG| 1.76%| North America|Equity|Europe Equities||FLSW|6|13.ASSET|Equity|45.8|0.74|HOLN| Holcim Ltd| 1.62%| North America|Equity|Europe Equities||FLSW|6|14.ASSET|Equity|45.8|0.71|SREN| Swiss Re AG| 1.55%| North America|Equity|Europe Equities||FLSW|6|15.ASSET|Equity|45.8|0.64|GEBN| Geberit AG| 1.39%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|1.ASSET|Bond|39.2|9|N/A| U.S. Dollar| 22.95%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|2.ASSET|Bond|39.2|2.87|N/A| GNMA II TBA 30yr 2.5% March Delivery 2.500% 01-SEP-2049| 7.33%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|3.ASSET|Bond|39.2|2.45|N/A| UMBS TBA 30yr 2.5% April Delivery 2.500% 01-JAN-2052| 6.26%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|4.ASSET|Bond|39.2|1.94|N/A| GNMA II TBA 30yr 3% April Delivery 3.000% 01-DEC-2048| 4.94%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|5.ASSET|Bond|39.2|1.19|N/A| UMBS TBA 30yr 2% March Delivery 2.000% 01-NOV-2051| 3.03%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|6.ASSET|Bond|39.2|0.78|N/A| FNMA 30yr Pool#FM1699 4.000% 01-Oct-2048 4.0% 01-OCT-2048| 1.99%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|7.ASSET|Bond|39.2|0.75|N/A| MORTGAGE-BACKED SECURITIES| 1.91%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|8.ASSET|Bond|39.2|0.68|N/A| Freddie Mac Multiclass Certificates, Series 2519 NU 5.0% 15-NOV-2032| 1.73%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|9.ASSET|Bond|39.2|0.54|N/A| Ginnie Mae REMIC Trust 2014-043 Z 4.0% 20-MAR-2044| 1.38%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|10.ASSET|Bond|39.2|0.49|N/A| Freddie Mac Seasoned Credit Risk Transfer Trust, Series 2016-1 M2 3.75% 25-SEP-2055| 1.24%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|11.ASSET|Bond|39.2|0.43|N/A| GNMA II 30yr Pool#BB6189 3.500% 20-Jul-2047 3.5% 20-JUL-2047| 1.09%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|12.ASSET|Bond|39.2|0.42|N/A| Freddie Mac Multiclass Certificates, Series 4179 AZ 4.0% 15-JAN-2041| 1.08%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|13.ASSET|Bond|39.2|0.4|N/A| Freddie Mac Seasoned Loans Structured Transaction Trust, Series 2019-2 A2C 2.75% 25-JAN-2059| 1.01%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|14.ASSET|Bond|39.2|0.4|N/A| Freddie Mac Multiclass Certificates, Series 3284 LF 0.50114% 15-MAR-2037| 1.01%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|MTGP|6|15.ASSET|Bond|39.2|0.39|N/A| Fannie Mae REMIC Trust 2015-23 HZ 3.0% 25-APR-2045| 1.00%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|1.ASSET|Bond|40.3|39.57|N/A| U.S. Dollar| 98.20%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|2.ASSET|Bond|40.3|0.21|N/A| New York St Dorm Auth St Pers Income Tax Rev 5.0% 15-DEC-2021| 0.53%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|3.ASSET|Bond|40.3|0.2|N/A| Massachusetts St Health & Edl Facs Auth Rev 5.0% 15-DEC-2021| 0.50%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|4.ASSET|Bond|40.3|0.1|N/A| San Francisco Calif City & Cnty 5.0% 15-JUN-2024| 0.25%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|5.ASSET|Bond|40.3|0.08|N/A| Colorado St Ctfs Partn 5.0% 15-DEC-2021| 0.19%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|6.ASSET|Bond|40.3|0.05|N/A| New Jersey St Transn Tr Fd Auth 5.25% 15-DEC-2021| 0.12%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|7.ASSET|Bond|40.3|0.05|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2023| 0.12%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|8.ASSET|Bond|40.3|0.01|N/A| Colorado St Ctfs Partn 5.0% 15-DEC-2021| 0.02%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|9.ASSET|Bond|40.3|0.01|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2045| 0.02%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|10.ASSET|Bond|40.3|0.01|N/A| Douglas Cnty Colo Sch Dist No Re-1 Douglas & Elbert Cntys 5.25% 15-DEC-2021| 0.02%| North America|Bond|National Munis|Target Maturity Date Munis|BSML|6|11.ASSET|Bond|40.3|0|N/A| Lincoln Neb West Haymarket Jt Pub Agy 4.25% 15-DEC-2036| 0.01%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|1.ASSET|Bond|49|4.7|N/A| United States Treasury Notes 0.125% 31-JUL-2023| 9.60%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|2.ASSET|Bond|49|3.53|N/A| United States Treasury Notes 0.125% 30-NOV-2022| 7.21%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|3.ASSET|Bond|49|3.12|N/A| United States Treasury Notes 0.125% 31-MAR-2023| 6.37%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|4.ASSET|Bond|49|2.16|N/A| United States Treasury Notes 1.0% 15-DEC-2024| 4.40%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|5.ASSET|Bond|49|1.4|N/A| United States Treasury Notes 0.375% 31-OCT-2023| 2.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|6.ASSET|Bond|49|1.34|N/A| CORPORATE BOND| 2.74%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|7.ASSET|Bond|49|1.1|N/A| United States Treasury Notes 0.75% 31-DEC-2023| 2.24%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|8.ASSET|Bond|49|0.99|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 2.02%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|9.ASSET|Bond|49|0.86|N/A| ASSET-BACKED SECURITIES| 1.76%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|10.ASSET|Bond|49|0.83|N/A| FIXED INCOME (UNCLASSFIED)| 1.70%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|11.ASSET|Bond|49|0.69|N/A| United States Treasury Notes 0.125% 30-APR-2023| 1.41%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|12.ASSET|Bond|49|0.59|N/A| United States Treasury Notes 0.25% 30-SEP-2023| 1.20%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|13.ASSET|Bond|49|0.55|N/A| U.S. Dollar| 1.13%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|14.ASSET|Bond|49|0.41|N/A| United States Treasury Notes 0.125% 31-DEC-2022| 0.83%| Developed Markets|Bond|Total Bond Market|Total Bond Market|LSST|6|15.ASSET|Bond|49|0.4|N/A| United States Treasury Notes 0.375% 15-SEP-2024| 0.82%| Global ex-U.S.|Equity|Global Equities||FYLD|6|1.ASSET|Equity|62.3|1.33|9101| Nippon Yusen Kabushiki Kaisha| 2.14%| Global ex-U.S.|Equity|Global Equities||FYLD|6|2.ASSET|Equity|62.3|1.11|639| Shougang Fushan Resources Group Limited| 1.78%| Global ex-U.S.|Equity|Global Equities||FYLD|6|3.ASSET|Equity|62.3|1.07|CNQ| Canadian Natural Resources Limited| 1.71%| Global ex-U.S.|Equity|Global Equities||FYLD|6|4.ASSET|Equity|62.3|1.03|RIO| Rio Tinto plc| 1.66%| Global ex-U.S.|Equity|Global Equities||FYLD|6|5.ASSET|Equity|62.3|1.02|LIF| Labrador Iron Ore Royalty Corporation| 1.64%| Global ex-U.S.|Equity|Global Equities||FYLD|6|6.ASSET|Equity|62.3|0.92|N/A| U.S. Dollar| 1.48%| Global ex-U.S.|Equity|Global Equities||FYLD|6|7.ASSET|Equity|62.3|0.91|ZURN| Zurich Insurance Group Ltd| 1.46%| Global ex-U.S.|Equity|Global Equities||FYLD|6|8.ASSET|Equity|62.3|0.89|STG| Scandinavian Tobacco Group A/S| 1.43%| Global ex-U.S.|Equity|Global Equities||FYLD|6|9.ASSET|Equity|62.3|0.85|EMG| Man Group PLC| 1.37%| Global ex-U.S.|Equity|Global Equities||FYLD|6|10.ASSET|Equity|62.3|0.85|IMO| Imperial Oil Limited| 1.36%| Global ex-U.S.|Equity|Global Equities||FYLD|6|11.ASSET|Equity|62.3|0.8|BHP| BHP Group Ltd| 1.28%| Global ex-U.S.|Equity|Global Equities||FYLD|6|12.ASSET|Equity|62.3|0.8|8103| Meiwa Corporation| 1.28%| Global ex-U.S.|Equity|Global Equities||FYLD|6|13.ASSET|Equity|62.3|0.77|1263| PC Partner Group Limited| 1.24%| Global ex-U.S.|Equity|Global Equities||FYLD|6|14.ASSET|Equity|62.3|0.75|BATS| British American Tobacco p.l.c.| 1.21%| Global ex-U.S.|Equity|Global Equities||FYLD|6|15.ASSET|Equity|62.3|0.74|8002| Marubeni Corporation| 1.19%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|1.ASSET|Equity|48.1|4.69|500325| Reliance Industries Limited| 9.76%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|2.ASSET|Equity|48.1|3.7|500209| Infosys Limited| 7.69%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|3.ASSET|Equity|48.1|2.51|500010| Housing Development Finance Corporation Limited| 5.21%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|4.ASSET|Equity|48.1|2.23|532540| Tata Consultancy Services Limited| 4.63%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|5.ASSET|Equity|48.1|1.51|N/A| U.S. Dollar| 3.13%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|6.ASSET|Equity|48.1|1.17|500696| Hindustan Unilever Limited| 2.43%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|7.ASSET|Equity|48.1|1.02|532215| Axis Bank Limited| 2.13%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|8.ASSET|Equity|48.1|1|500034| Bajaj Finance Limited| 2.07%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|9.ASSET|Equity|48.1|0.95|532454| Bharti Airtel Limited| 1.98%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|10.ASSET|Equity|48.1|0.87|500820| Asian Paints Ltd.| 1.81%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|11.ASSET|Equity|48.1|0.76|500510| Larsen & Toubro Ltd.| 1.58%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|12.ASSET|Equity|48.1|0.74|532281| HCL Technologies Limited| 1.54%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|13.ASSET|Equity|48.1|0.7|532174| ICICI Bank Limited| 1.46%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|14.ASSET|Equity|48.1|0.67|532500| Maruti Suzuki India Limited| 1.39%| Emerging Asia Pacific|Equity|Asia Pacific Equities||FLIN|6|15.ASSET|Equity|48.1|0.64|500114| Titan Company Limited| 1.34%| North America|Bond|Inflation-Protected Bonds|TIPS|RINF|6|1.ASSET|Bond|40.5|40.5|N/A| U.S. Dollar| 100.00%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|1.ASSET|Multi-Asset|36|0.65|CEQP| Crestwood Equity Partners LP| 1.80%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|2.ASSET|Multi-Asset|36|0.38|ENLC| EnLink Midstream LLC| 1.05%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|3.ASSET|Multi-Asset|36|0.38|N/A| Government of South Africa 4.665% 17-JAN-2024| 1.05%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|4.ASSET|Multi-Asset|36|0.35|N/A| Government of Mexico 4.75% 08-MAR-2044| 0.98%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|5.ASSET|Multi-Asset|36|0.35|1171| Yankuang Energy Group Company Limited Class H| 0.97%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|6.ASSET|Multi-Asset|36|0.35|DCP| DCP Midstream LP| 0.96%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|7.ASSET|Multi-Asset|36|0.34|RTLR| Rattler Midstream LP| 0.94%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|8.ASSET|Multi-Asset|36|0.34|ET| Energy Transfer, L.P.| 0.94%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|9.ASSET|Multi-Asset|36|0.33|2328| PICC Property & Casualty Co., Ltd. Class H| 0.93%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|10.ASSET|Multi-Asset|36|0.33|ADRO| PT Adaro Energy Indonesia Tbk| 0.92%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|11.ASSET|Multi-Asset|36|0.33|BATS| British American Tobacco p.l.c.| 0.92%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|12.ASSET|Multi-Asset|36|0.33|WES| Western Midstream Partners, LP| 0.92%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|13.ASSET|Multi-Asset|36|0.33|1088| China Shenhua Energy Co. Ltd. Class H| 0.91%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|14.ASSET|Multi-Asset|36|0.33|LIF| Labrador Iron Ore Royalty Corporation| 0.91%| Developed Markets|Multi-Asset|Diversified Portfolio||GYLD|6|15.ASSET|Multi-Asset|36|0.33|N/A| Government of Brazil 3.875% 12-JUN-2030| 0.91%| North America|Equity|Small Cap Growth Equities||XSHQ|6|1.ASSET|Equity|28.1|0.76|SIG| Signet Jewelers Limited| 2.69%| North America|Equity|Small Cap Growth Equities||XSHQ|6|2.ASSET|Equity|28.1|0.74|MATX| Matson, Inc.| 2.64%| North America|Equity|Small Cap Growth Equities||XSHQ|6|3.ASSET|Equity|28.1|0.71|EXPO| Exponent, Inc.| 2.52%| North America|Equity|Small Cap Growth Equities||XSHQ|6|4.ASSET|Equity|28.1|0.67|MED| Medifast, Inc.| 2.37%| North America|Equity|Small Cap Growth Equities||XSHQ|6|5.ASSET|Equity|28.1|0.62|SFBS| ServisFirst Bancshares Inc| 2.19%| North America|Equity|Small Cap Growth Equities||XSHQ|6|6.ASSET|Equity|28.1|0.6|INDB| Independent Bank Corp.| 2.13%| North America|Equity|Small Cap Growth Equities||XSHQ|6|7.ASSET|Equity|28.1|0.58|CBU| Community Bank System, Inc.| 2.06%| North America|Equity|Small Cap Growth Equities||XSHQ|6|8.ASSET|Equity|28.1|0.53|MDRX| Allscripts Healthcare Solutions, Inc.| 1.88%| North America|Equity|Small Cap Growth Equities||XSHQ|6|9.ASSET|Equity|28.1|0.51|ABCB| Ameris Bancorp| 1.83%| North America|Equity|Small Cap Growth Equities||XSHQ|6|10.ASSET|Equity|28.1|0.5|BCC| Boise Cascade Co.| 1.78%| North America|Equity|Small Cap Growth Equities||XSHQ|6|11.ASSET|Equity|28.1|0.49|MTH| Meritage Homes Corporation| 1.74%| North America|Equity|Small Cap Growth Equities||XSHQ|6|12.ASSET|Equity|28.1|0.47|FLOW| SPX Flow, Inc.| 1.67%| North America|Equity|Small Cap Growth Equities||XSHQ|6|13.ASSET|Equity|28.1|0.45|MLI| Mueller Industries, Inc.| 1.61%| North America|Equity|Small Cap Growth Equities||XSHQ|6|14.ASSET|Equity|28.1|0.45|GPI| Group 1 Automotive, Inc.| 1.60%| North America|Equity|Small Cap Growth Equities||XSHQ|6|15.ASSET|Equity|28.1|0.44|SFNC| Simmons First National Corporation Class A| 1.58%| North America|Equity|All Cap Equities||SPAK|6|1.ASSET|Equity|20.9|1.21|DKNG| DraftKings Inc Class A| 5.78%| North America|Equity|All Cap Equities||SPAK|6|2.ASSET|Equity|20.9|0.92|CLVT| Clarivate PLC| 4.38%| North America|Equity|All Cap Equities||SPAK|6|3.ASSET|Equity|20.9|0.8|PSFE| Paysafe Ltd| 3.85%| North America|Equity|All Cap Equities||SPAK|6|4.ASSET|Equity|20.9|0.7|PSTH| Pershing Square Tontine Holdings Ltd. Class A| 3.33%| North America|Equity|All Cap Equities||SPAK|6|5.ASSET|Equity|20.9|0.61|VRT| Vertiv Holdings Co. Class A| 2.91%| North America|Equity|All Cap Equities||SPAK|6|6.ASSET|Equity|20.9|0.52|CCIV| Churchill Capital Corp IV Class A| 2.51%| North America|Equity|All Cap Equities||SPAK|6|7.ASSET|Equity|20.9|0.39|OPEN| Opendoor Technologies Inc| 1.85%| North America|Equity|All Cap Equities||SPAK|6|8.ASSET|Equity|20.9|0.35|QS| QuantumScape Corporation Class A| 1.69%| North America|Equity|All Cap Equities||SPAK|6|9.ASSET|Equity|20.9|0.34|LPRO| Open Lending Corporation Class A| 1.65%| North America|Equity|All Cap Equities||SPAK|6|10.ASSET|Equity|20.9|0.34|LAZR| Luminar Technologies, Inc. Class A| 1.64%| North America|Equity|All Cap Equities||SPAK|6|11.ASSET|Equity|20.9|0.32|N/A| Skillz Inc. Class A| 1.54%| North America|Equity|All Cap Equities||SPAK|6|12.ASSET|Equity|20.9|0.31|CHPT| ChargePoint Holdings, Inc. Class A| 1.48%| North America|Equity|All Cap Equities||SPAK|6|13.ASSET|Equity|20.9|0.27|MP| MP Materials Corp Class A| 1.30%| North America|Equity|All Cap Equities||SPAK|6|14.ASSET|Equity|20.9|0.26|SPCE| Virgin Galactic Holdings Inc| 1.25%| North America|Equity|All Cap Equities||SPAK|6|15.ASSET|Equity|20.9|0.25|ARVL| Arrival Group| 1.21%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|1.ASSET|Bond|43.5|0.83|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 1.91%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|2.ASSET|Bond|43.5|0.74|N/A| CORPORATE BOND| 1.69%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|3.ASSET|Bond|43.5|0.71|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 1.64%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|4.ASSET|Bond|43.5|0.64|N/A| HCA, Inc. 5.375% 01-FEB-2025| 1.47%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|5.ASSET|Bond|43.5|0.55|N/A| VRX Escrow Corp. 6.125% 15-APR-2025| 1.27%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|6.ASSET|Bond|43.5|0.55|N/A| Ford Motor Credit Company LLC 3.375% 13-NOV-2025| 1.26%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|7.ASSET|Bond|43.5|0.55|N/A| Uniti Group LP 7.875% 15-FEB-2025| 1.26%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|8.ASSET|Bond|43.5|0.44|N/A| Bausch Health Companies Inc. 9.0% 15-DEC-2025| 1.02%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|9.ASSET|Bond|43.5|0.44|N/A| Sprint Corp. 7.625% 15-FEB-2025| 1.01%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|10.ASSET|Bond|43.5|0.43|N/A| Wynn Las Vegas LLC 5.5% 01-MAR-2025| 0.98%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|11.ASSET|Bond|43.5|0.4|N/A| MUTUAL FUND (OTHER)| 0.91%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|12.ASSET|Bond|43.5|0.38|N/A| Veritas US, Inc. 7.5% 01-SEP-2025| 0.88%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|13.ASSET|Bond|43.5|0.38|N/A| Aramark Services, Inc. 6.375% 01-MAY-2025| 0.88%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|14.ASSET|Bond|43.5|0.38|N/A| Bausch Health Companies Inc. 5.5% 01-NOV-2025| 0.87%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHE|6|15.ASSET|Bond|43.5|0.37|N/A| Royal Caribbean Group 11.5% 01-JUN-2025| 0.84%| North America|Equity|Large Cap Growth Equities||QARP|6|1.ASSET|Equity|14.3|0.87|AAPL| Apple Inc.| 6.11%| North America|Equity|Large Cap Growth Equities||QARP|6|2.ASSET|Equity|14.3|0.72|MSFT| Microsoft Corporation| 5.06%| North America|Equity|Large Cap Growth Equities||QARP|6|3.ASSET|Equity|14.3|0.55|BRK.B| Berkshire Hathaway Inc. Class B| 3.83%| North America|Equity|Large Cap Growth Equities||QARP|6|4.ASSET|Equity|14.3|0.5|AMZN| Amazon.com, Inc.| 3.52%| North America|Equity|Large Cap Growth Equities||QARP|6|5.ASSET|Equity|14.3|0.37|GOOGL| Alphabet Inc. Class A| 2.58%| North America|Equity|Large Cap Growth Equities||QARP|6|6.ASSET|Equity|14.3|0.37|GOOG| Alphabet Inc. Class C| 2.58%| North America|Equity|Large Cap Growth Equities||QARP|6|7.ASSET|Equity|14.3|0.33|INTC| Intel Corporation| 2.28%| North America|Equity|Large Cap Growth Equities||QARP|6|8.ASSET|Equity|14.3|0.33|FB| Meta Platforms Inc. Class A| 2.28%| North America|Equity|Large Cap Growth Equities||QARP|6|9.ASSET|Equity|14.3|0.31|UNH| UnitedHealth Group Incorporated| 2.20%| North America|Equity|Large Cap Growth Equities||QARP|6|10.ASSET|Equity|14.3|0.3|JNJ| Johnson & Johnson| 2.07%| North America|Equity|Large Cap Growth Equities||QARP|6|11.ASSET|Equity|14.3|0.26|CSCO| Cisco Systems, Inc.| 1.79%| North America|Equity|Large Cap Growth Equities||QARP|6|12.ASSET|Equity|14.3|0.23|COST| Costco Wholesale Corporation| 1.63%| North America|Equity|Large Cap Growth Equities||QARP|6|13.ASSET|Equity|14.3|0.22|WMT| Walmart Inc.| 1.57%| North America|Equity|Large Cap Growth Equities||QARP|6|14.ASSET|Equity|14.3|0.22|HD| Home Depot, Inc.| 1.55%| North America|Equity|Large Cap Growth Equities||QARP|6|15.ASSET|Equity|14.3|0.18|PG| Procter & Gamble Company| 1.29%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|1.ASSET|Equity|35.5|2.22|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.24%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|2.ASSET|Equity|35.5|1.77|700| Tencent Holdings Ltd.| 4.99%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|3.ASSET|Equity|35.5|1.66|005930| Samsung Electronics Co., Ltd.| 4.69%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|4.ASSET|Equity|35.5|1.06|9988| Alibaba Group Holding Ltd.| 2.98%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|5.ASSET|Equity|35.5|0.55|500325| Reliance Industries Limited| 1.56%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|6.ASSET|Equity|35.5|0.49|3690| Meituan Class B| 1.39%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|7.ASSET|Equity|35.5|0.45|500209| Infosys Limited| 1.27%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|8.ASSET|Equity|35.5|0.42|9618| JD.com, Inc. Class A| 1.18%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|9.ASSET|Equity|35.5|0.42|939| China Construction Bank Corporation Class H| 1.17%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|10.ASSET|Equity|35.5|0.4|VALE3| Vale S.A.| 1.12%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|11.ASSET|Equity|35.5|0.34|2454| MediaTek Inc| 0.97%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|12.ASSET|Equity|35.5|0.3|000660| SK hynix Inc| 0.85%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|13.ASSET|Equity|35.5|0.29|500010| Housing Development Finance Corporation Limited| 0.83%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|14.ASSET|Equity|35.5|0.28|1120| Al Rajhi Bank| 0.80%| Emerging Markets|Equity|Asia Pacific Equities||BKEM|6|15.ASSET|Equity|35.5|0.27|532174| ICICI Bank Limited| 0.75%| Global|Equity|Technology Equities|Technology|WCBR|6|1.ASSET|Equity|40.2|2.91|PANW| Palo Alto Networks, Inc.| 7.23%| Global|Equity|Technology Equities|Technology|WCBR|6|2.ASSET|Equity|40.2|2.76|DDOG| Datadog Inc Class A| 6.87%| Global|Equity|Technology Equities|Technology|WCBR|6|3.ASSET|Equity|40.2|2.19|NET| Cloudflare Inc Class A| 5.44%| Global|Equity|Technology Equities|Technology|WCBR|6|4.ASSET|Equity|40.2|2.17|TENB| Tenable Holdings, Inc.| 5.41%| Global|Equity|Technology Equities|Technology|WCBR|6|5.ASSET|Equity|40.2|2.09|RPD| Rapid7 Inc.| 5.19%| Global|Equity|Technology Equities|Technology|WCBR|6|6.ASSET|Equity|40.2|1.94|FTNT| Fortinet, Inc.| 4.82%| Global|Equity|Technology Equities|Technology|WCBR|6|7.ASSET|Equity|40.2|1.83|4704| Trend Micro Incorporated| 4.55%| Global|Equity|Technology Equities|Technology|WCBR|6|8.ASSET|Equity|40.2|1.79|CRWD| CrowdStrike Holdings, Inc. Class A| 4.45%| Global|Equity|Technology Equities|Technology|WCBR|6|9.ASSET|Equity|40.2|1.75|SAIL| SailPoint Technologies Holdings, Inc.| 4.36%| Global|Equity|Technology Equities|Technology|WCBR|6|10.ASSET|Equity|40.2|1.72|OKTA| Okta, Inc. Class A| 4.27%| Global|Equity|Technology Equities|Technology|WCBR|6|11.ASSET|Equity|40.2|1.63|ZS| Zscaler, Inc.| 4.06%| Global|Equity|Technology Equities|Technology|WCBR|6|12.ASSET|Equity|40.2|1.46|QLYS| Qualys, Inc.| 3.63%| Global|Equity|Technology Equities|Technology|WCBR|6|13.ASSET|Equity|40.2|1.44|DARK| Darktrace PLC| 3.58%| Global|Equity|Technology Equities|Technology|WCBR|6|14.ASSET|Equity|40.2|1.38|AVST| Avast Plc| 3.43%| Global|Equity|Technology Equities|Technology|WCBR|6|15.ASSET|Equity|40.2|1.38|CYBR| CyberArk Software Ltd.| 3.43%| Developed Europe|Equity|Europe Equities||OEUR|6|1.ASSET|Equity|60.1|3.49|NESN| Nestle S.A.| 5.80%| Developed Europe|Equity|Europe Equities||OEUR|6|2.ASSET|Equity|60.1|3.4|ROG| Roche Holding Ltd| 5.66%| Developed Europe|Equity|Europe Equities||OEUR|6|3.ASSET|Equity|60.1|2.71|NOVO.B| Novo Nordisk A/S Class B| 4.51%| Developed Europe|Equity|Europe Equities||OEUR|6|4.ASSET|Equity|60.1|2.3|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.82%| Developed Europe|Equity|Europe Equities||OEUR|6|5.ASSET|Equity|60.1|1.92|ULVR| Unilever PLC| 3.19%| Developed Europe|Equity|Europe Equities||OEUR|6|6.ASSET|Equity|60.1|1.81|NOVN| Novartis AG| 3.01%| Developed Europe|Equity|Europe Equities||OEUR|6|7.ASSET|Equity|60.1|1.75|SAP| SAP SE| 2.91%| Developed Europe|Equity|Europe Equities||OEUR|6|8.ASSET|Equity|60.1|1.71|AZN| AstraZeneca PLC| 2.84%| Developed Europe|Equity|Europe Equities||OEUR|6|9.ASSET|Equity|60.1|1.66|OR| L\'Oreal SA| 2.77%| Developed Europe|Equity|Europe Equities||OEUR|6|10.ASSET|Equity|60.1|1.48|ASML| ASML Holding NV| 2.47%| Developed Europe|Equity|Europe Equities||OEUR|6|11.ASSET|Equity|60.1|1.42|WKL| Wolters Kluwer NV| 2.37%| Developed Europe|Equity|Europe Equities||OEUR|6|12.ASSET|Equity|60.1|1.37|SAN| Sanofi| 2.28%| Developed Europe|Equity|Europe Equities||OEUR|6|13.ASSET|Equity|60.1|1.33|GSK| GlaxoSmithKline plc| 2.21%| Developed Europe|Equity|Europe Equities||OEUR|6|14.ASSET|Equity|60.1|1.29|DGE| Diageo plc| 2.15%| Developed Europe|Equity|Europe Equities||OEUR|6|15.ASSET|Equity|60.1|1.24|DPW| Deutsche Post AG| 2.06%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|1.ASSET|Bond|37.8|2.78|IJGXX| JPMorgan Trust II US Government Money Market Fund Institutional| 7.35%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|2.ASSET|Bond|37.8|2.14|N/A| United States Treasury Notes 1.875% 30-APR-2022| 5.67%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|3.ASSET|Bond|37.8|1.13|N/A| Wells Fargo & Company 3.45% 13-FEB-2023| 2.98%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|4.ASSET|Bond|37.8|1.1|N/A| United States Treasury Notes 0.125% 30-JUN-2022| 2.92%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|5.ASSET|Bond|37.8|1.06|N/A| Credit Suisse Group Funding (Guernsey) Ltd. 3.8% 15-SEP-2022| 2.80%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|6.ASSET|Bond|37.8|1|N/A| Bank of America Corporation 3.004% 20-DEC-2023| 2.65%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|7.ASSET|Bond|37.8|0.93|N/A| Morgan Stanley 4.875% 01-NOV-2022| 2.47%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|8.ASSET|Bond|37.8|0.93|N/A| United States Treasury Notes 0.125% 31-MAR-2023| 2.47%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|9.ASSET|Bond|37.8|0.84|N/A| American Express Company FRN 20-MAY-2022| 2.21%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|10.ASSET|Bond|37.8|0.82|N/A| Athene Global Funding FRN 07-JAN-2025| 2.17%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|11.ASSET|Bond|37.8|0.73|N/A| Edison International 2.4% 15-SEP-2022| 1.94%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|12.ASSET|Bond|37.8|0.73|N/A| Citigroup Inc. FRN 25-APR-2022| 1.93%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|13.ASSET|Bond|37.8|0.69|N/A| OSCAR US Funding XIV A2 1.6% 10-MAR-2025| 1.82%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|14.ASSET|Bond|37.8|0.67|N/A| AbbVie Inc. 2.9% 06-NOV-2022| 1.78%| North America|Bond|Total Bond Market|Total Bond Market|HOLD|6|15.ASSET|Bond|37.8|0.67|N/A| Santander Drive Auto Receivables Trust 2021-1 C 0.75% 15-FEB-2026| 1.76%| North America|Equity|Small Cap Blend Equities||IUSS|6|1.ASSET|Equity|53.1|0.32|BTU| Peabody Energy Corporation| 0.60%| North America|Equity|Small Cap Blend Equities||IUSS|6|2.ASSET|Equity|53.1|0.26|VRTV| Veritiv Corp| 0.49%| North America|Equity|Small Cap Blend Equities||IUSS|6|3.ASSET|Equity|53.1|0.24|SM| SM Energy Company| 0.45%| North America|Equity|Small Cap Blend Equities||IUSS|6|4.ASSET|Equity|53.1|0.22|PDCE| PDC Energy, Inc.| 0.42%| North America|Equity|Small Cap Blend Equities||IUSS|6|5.ASSET|Equity|53.1|0.18|OMI| Owens & Minor, Inc.| 0.33%| North America|Equity|Small Cap Blend Equities||IUSS|6|6.ASSET|Equity|53.1|0.18|PTEN| Patterson-UTI Energy, Inc.| 0.33%| North America|Equity|Small Cap Blend Equities||IUSS|6|7.ASSET|Equity|53.1|0.18|ANDE| Andersons, Inc.| 0.33%| North America|Equity|Small Cap Blend Equities||IUSS|6|8.ASSET|Equity|53.1|0.18|CIEN| Ciena Corporation| 0.33%| North America|Equity|Small Cap Blend Equities||IUSS|6|9.ASSET|Equity|53.1|0.16|DDS| Dillard\'s, Inc. Class A| 0.31%| North America|Equity|Small Cap Blend Equities||IUSS|6|10.ASSET|Equity|53.1|0.16|RRC| Range Resources Corporation| 0.31%| North America|Equity|Small Cap Blend Equities||IUSS|6|11.ASSET|Equity|53.1|0.16|KBR| KBR, Inc.| 0.30%| North America|Equity|Small Cap Blend Equities||IUSS|6|12.ASSET|Equity|53.1|0.15|CACC| Credit Acceptance Corporation| 0.29%| North America|Equity|Small Cap Blend Equities||IUSS|6|13.ASSET|Equity|53.1|0.15|DAR| Darling Ingredients Inc.| 0.29%| North America|Equity|Small Cap Blend Equities||IUSS|6|14.ASSET|Equity|53.1|0.15|NFG| National Fuel Gas Company| 0.28%| North America|Equity|Small Cap Blend Equities||IUSS|6|15.ASSET|Equity|53.1|0.15|RRX| Regal Rexnord Corporation| 0.28%| North America|Equity|Large Cap Value Equities||SPVM|6|1.ASSET|Equity|52.9|1.23|MPC| Marathon Petroleum Corporation| 2.33%| North America|Equity|Large Cap Value Equities||SPVM|6|2.ASSET|Equity|52.9|1.08|MOS| Mosaic Company| 2.04%| North America|Equity|Large Cap Value Equities||SPVM|6|3.ASSET|Equity|52.9|1.04|PRU| Prudential Financial, Inc.| 1.97%| North America|Equity|Large Cap Value Equities||SPVM|6|4.ASSET|Equity|52.9|0.99|ADM| Archer-Daniels-Midland Company| 1.88%| North America|Equity|Large Cap Value Equities||SPVM|6|5.ASSET|Equity|52.9|0.89|MET| MetLife, Inc.| 1.68%| North America|Equity|Large Cap Value Equities||SPVM|6|6.ASSET|Equity|52.9|0.88|ALL| Allstate Corporation| 1.66%| North America|Equity|Large Cap Value Equities||SPVM|6|7.ASSET|Equity|52.9|0.87|CVS| CVS Health Corporation| 1.64%| North America|Equity|Large Cap Value Equities||SPVM|6|8.ASSET|Equity|52.9|0.87|AIG| American International Group, Inc.| 1.64%| North America|Equity|Large Cap Value Equities||SPVM|6|9.ASSET|Equity|52.9|0.85|L| Loews Corporation| 1.60%| North America|Equity|Large Cap Value Equities||SPVM|6|10.ASSET|Equity|52.9|0.84|AIZ| Assurant, Inc.| 1.58%| North America|Equity|Large Cap Value Equities||SPVM|6|11.ASSET|Equity|52.9|0.81|RE| Everest Re Group, Ltd.| 1.53%| North America|Equity|Large Cap Value Equities||SPVM|6|12.ASSET|Equity|52.9|0.81|NUE| Nucor Corporation| 1.53%| North America|Equity|Large Cap Value Equities||SPVM|6|13.ASSET|Equity|52.9|0.8|DISH| DISH Network Corporation Class A| 1.51%| North America|Equity|Large Cap Value Equities||SPVM|6|14.ASSET|Equity|52.9|0.79|LNC| Lincoln National Corporation| 1.50%| North America|Equity|Large Cap Value Equities||SPVM|6|15.ASSET|Equity|52.9|0.79|LYB| LyondellBasell Industries NV| 1.49%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|1.ASSET|Equity|18.3|2.02|AMZN| Amazon.com, Inc.| 11.03%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|2.ASSET|Equity|18.3|0.96|SHOP| Shopify, Inc. Class A| 5.22%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|3.ASSET|Equity|18.3|0.81|ADYEY| Adyen N.V. Unsponsored ADR| 4.44%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|4.ASSET|Equity|18.3|0.71|ZI| ZoomInfo Technologies Inc| 3.90%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|5.ASSET|Equity|18.3|0.67|N/A| U.S. Dollar| 3.65%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|6.ASSET|Equity|18.3|0.65|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 3.56%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|7.ASSET|Equity|18.3|0.59|COST| Costco Wholesale Corporation| 3.24%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|8.ASSET|Equity|18.3|0.59|ABNB| Airbnb, Inc. Class A| 3.20%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|9.ASSET|Equity|18.3|0.57|PLD| Prologis, Inc.| 3.11%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|10.ASSET|Equity|18.3|0.55|MA| Mastercard Incorporated Class A| 3.01%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|11.ASSET|Equity|18.3|0.54|ETSY| Etsy, Inc.| 2.96%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|12.ASSET|Equity|18.3|0.51|RBLX| Roblox Corp. Class A| 2.76%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|13.ASSET|Equity|18.3|0.48|AVLR| Avalara Inc| 2.64%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|14.ASSET|Equity|18.3|0.4|BKNG| Booking Holdings Inc.| 2.20%| Developed Markets|Equity|Large Cap Growth Equities|Consumer Discretionary|BUYZ|6|15.ASSET|Equity|18.3|0.39|V| Visa Inc. Class A| 2.11%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHA|6|1.ASSET|Bond|38.6|38.03|N/A| MUTUAL FUND (OTHER)| 98.52%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHA|6|2.ASSET|Bond|38.6|0.39|N/A| Starwood Property Trust, Inc. 5.0% 15-DEC-2021| 1.00%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHA|6|3.ASSET|Bond|38.6|0.18|N/A| First Niagara Financial Group, Inc. 7.25% 15-DEC-2021| 0.47%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|IBHA|6|4.ASSET|Bond|38.6|0|N/A| U.S. Dollar| 0.01%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|1.ASSET|Bond|42.9|0.77|N/A| Pennsylvania St 5.0% 15-AUG-2024| 1.80%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|2.ASSET|Bond|42.9|0.77|N/A| Pennsylvania St 5.0% 15-AUG-2024| 1.80%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|3.ASSET|Bond|42.9|0.68|N/A| California St 5.0% 01-OCT-2024| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|4.ASSET|Bond|42.9|0.68|N/A| California St 5.0% 01-OCT-2024| 1.58%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|5.ASSET|Bond|42.9|0.56|N/A| Massachusetts St 5.0% 01-NOV-2024| 1.30%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|6.ASSET|Bond|42.9|0.56|N/A| Massachusetts St 5.0% 01-NOV-2024| 1.30%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|7.ASSET|Bond|42.9|0.55|N/A| Arizona Health Facs Auth Rev 5.0% 01-DEC-2029| 1.29%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|8.ASSET|Bond|42.9|0.55|N/A| Arizona Health Facs Auth Rev 5.0% 01-DEC-2029| 1.29%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|9.ASSET|Bond|42.9|0.55|N/A| Dallas Fort Worth Tex Intl Arpt Rev 5.0% 01-NOV-2024| 1.29%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|10.ASSET|Bond|42.9|0.55|N/A| Dallas Fort Worth Tex Intl Arpt Rev 5.0% 01-NOV-2024| 1.29%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|11.ASSET|Bond|42.9|0.54|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-OCT-2024| 1.26%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|12.ASSET|Bond|42.9|0.54|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-OCT-2024| 1.26%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|13.ASSET|Bond|42.9|0.52|N/A| Virginia St Pub Bldg Auth Pub Facs Rev 5.0% 01-AUG-2024| 1.22%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|14.ASSET|Bond|42.9|0.52|N/A| Virginia St Pub Bldg Auth Pub Facs Rev 5.0% 01-AUG-2024| 1.22%| North America|Bond|National Munis|Target Maturity Date Munis|BSMO|6|15.ASSET|Bond|42.9|0.38|N/A| California Statewide Cmntys Dev Auth Rev 5.0% 15-NOV-2044| 0.88%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|1.ASSET|Equity|41.1|0.32|600522| Jiangsu Zhongtian Technology Co., Ltd. Class A| 0.78%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|2.ASSET|Equity|41.1|0.29|002340| GEM Co., Ltd. Class A| 0.70%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|3.ASSET|Equity|41.1|0.28|000733| China Zhenhua (Group) Science & Technology Co., Ltd. Class A| 0.67%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|4.ASSET|Equity|41.1|0.27|601615| Ming Yang Smart Energy Group Limited Class A| 0.65%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|5.ASSET|Equity|41.1|0.25|600157| Wintime Energy Co., Ltd. Class A| 0.62%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|6.ASSET|Equity|41.1|0.24|000723| Shanxi Meijin Energy Co., Ltd. Class A| 0.59%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|7.ASSET|Equity|41.1|0.24|000009| China Baoan Group Co., Ltd. Class A| 0.58%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|8.ASSET|Equity|41.1|0.24|688005| Ningbo Ronbay New Energy Technology Co. Ltd. Class A| 0.58%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|9.ASSET|Equity|41.1|0.23|002180| Ninestar Corporation Class A| 0.56%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|10.ASSET|Equity|41.1|0.23|N/A| EQUITY OTHER| 0.55%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|11.ASSET|Equity|41.1|0.22|601168| Western Mining Co., Ltd. Class A| 0.53%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|12.ASSET|Equity|41.1|0.21|600256| Guanghui Energy Co., Ltd. Class A| 0.52%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|13.ASSET|Equity|41.1|0.21|600884| Ningbo Shanshan Co., Ltd. Class A| 0.51%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|14.ASSET|Equity|41.1|0.21|601555| Soochow Securities Co Ltd Class A| 0.50%| Emerging Asia Pacific|Equity|China Equities||ASHS|6|15.ASSET|Equity|41.1|0.21|605358| Hangzhou Lion Electronics Co., Ltd. Class A| 0.50%| Latin America|Equity|Latin America Equities||ICOL|6|1.ASSET|Equity|39.8|5.8|PFBCOLOM| Bancolombia SA Bancolombia Pfd| 14.58%| Latin America|Equity|Latin America Equities||ICOL|6|2.ASSET|Equity|39.8|5.72|ECOPETROL| Ecopetrol SA| 14.37%| Latin America|Equity|Latin America Equities||ICOL|6|3.ASSET|Equity|39.8|3.71|ISA| Interconexion Electrica SA ESP| 9.32%| Latin America|Equity|Latin America Equities||ICOL|6|4.ASSET|Equity|39.8|3.57|BCOLOMBIA| Bancolombia S.A.| 8.96%| Latin America|Equity|Latin America Equities||ICOL|6|5.ASSET|Equity|39.8|1.76|GEB| GRUPO ENERGIA BOGOTA S.A. E.S.P| 4.41%| Latin America|Equity|Latin America Equities||ICOL|6|6.ASSET|Equity|39.8|1.74|PFDAVVNDA| Banco Davivienda SA Pfd| 4.37%| Latin America|Equity|Latin America Equities||ICOL|6|7.ASSET|Equity|39.8|1.63|NUTRESA| Grupo Nutresa S.A.| 4.09%| Latin America|Equity|Latin America Equities||ICOL|6|8.ASSET|Equity|39.8|1.19|PXT| Parex Resources Inc.| 2.99%| Latin America|Equity|Latin America Equities||ICOL|6|9.ASSET|Equity|39.8|1.18|CNE| Canacol Energy Ltd.| 2.97%| Latin America|Equity|Latin America Equities||ICOL|6|10.ASSET|Equity|39.8|1.08|ENELAM| Enel Americas S.A.| 2.72%| Latin America|Equity|Latin America Equities||ICOL|6|11.ASSET|Equity|39.8|1.06|GRUPOSURA| Grupo de Inversiones Suramericana S.A.| 2.67%| Latin America|Equity|Latin America Equities||ICOL|6|12.ASSET|Equity|39.8|1.06|TGLS| Tecnoglass Inc.| 2.66%| Latin America|Equity|Latin America Equities||ICOL|6|13.ASSET|Equity|39.8|1.02|COPEC| Empresas Copec S.A.| 2.57%| Latin America|Equity|Latin America Equities||ICOL|6|14.ASSET|Equity|39.8|0.96|GRUBOLIVAR| Grupo Bolivar SA| 2.42%| Latin America|Equity|Latin America Equities||ICOL|6|15.ASSET|Equity|39.8|0.92|BEPC| Brookfield Renewable Corporation Class A| 2.32%| Developed Markets|Bond|High Yield Bonds|Floating Rate Bonds|SNLN|6|1.ASSET|Bond|42.4|42.4|N/A| Cash Component| 100.00%| |Commodity|Precious Metals||PLTM|6|1.ASSET|Commodity|44.7|44.7|N/A| Platinum| 100.00%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|1.ASSET|Multi-Asset|36|1.63|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 4.52%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|2.ASSET|Multi-Asset|36|1.6|ETG| Eaton Vance Tax-Advantaged Global Dividend Income Fund| 4.44%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|3.ASSET|Multi-Asset|36|1.44|RNP| Cohen & Steers REIT and Preferred and Income Fund Inc| 3.99%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|4.ASSET|Multi-Asset|36|1.4|EVT| Eaton Vance Tax-Advantaged Dividend Income Fund| 3.88%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|5.ASSET|Multi-Asset|36|1.29|ETO| Eaton Vance Tax Advantaged Global Dividend Opportunities Fund| 3.58%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|6.ASSET|Multi-Asset|36|1.19|THQ| Tekla Healthcare Opportunities Fund| 3.31%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|7.ASSET|Multi-Asset|36|1.18|ARDC| Ares Dynamic Credit Allocation Fund, Inc.| 3.28%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|8.ASSET|Multi-Asset|36|1.13|GDV| Gabelli Dividend & Income Trust| 3.14%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|9.ASSET|Multi-Asset|36|1.11|HTD| John Hancock Tax-Advantaged Dividend Income Fund| 3.07%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|10.ASSET|Multi-Asset|36|1.1|SOR| Source Capital Inc.| 3.05%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|11.ASSET|Multi-Asset|36|1.1|GHY| PGIM Global High Yield Fund, Inc.| 3.05%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|12.ASSET|Multi-Asset|36|1.08|HQH| Tekla Healthcare Investors of Benef Interest| 2.99%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|13.ASSET|Multi-Asset|36|1.08|BST| BlackRock Science & Technology Trust| 2.99%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|14.ASSET|Multi-Asset|36|1.07|DSL| DoubleLine Income Solutions Fund| 2.98%| North America|Multi-Asset|Diversified Portfolio||FCEF|6|15.ASSET|Multi-Asset|36|1|TY| Tri-Continental Corp| 2.79%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|1.ASSET|Bond|43.6|1.91|N/A| KSA Sukuk Ltd. 3.628% 20-APR-2027| 4.39%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|2.ASSET|Bond|43.6|1.33|N/A| KSA Sukuk Ltd. 4.303% 19-JAN-2029| 3.06%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|3.ASSET|Bond|43.6|1.18|N/A| SA Global Sukuk Ltd. 2.694% 17-JUN-2031| 2.70%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|4.ASSET|Bond|43.6|1.03|N/A| KSA Sukuk Ltd. 2.969% 29-OCT-2029| 2.36%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|5.ASSET|Bond|43.6|0.95|N/A| Perusahaan Penerbit SBSN Indonesia III 4.325% 28-MAY-2025| 2.18%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|6.ASSET|Bond|43.6|0.87|N/A| Perusahaan Penerbit SBSN Indonesia III 4.4% 01-MAR-2028| 2.00%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|7.ASSET|Bond|43.6|0.85|N/A| Perusahaan Penerbit SBSN Indonesia III 4.15% 29-MAR-2027| 1.96%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|8.ASSET|Bond|43.6|0.85|N/A| U.S. Dollar| 1.94%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|9.ASSET|Bond|43.6|0.78|N/A| Government of Saudi Arabia 2.25% 17-MAY-2031| 1.80%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|10.ASSET|Bond|43.6|0.77|N/A| CORPORATE BOND| 1.77%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|11.ASSET|Bond|43.6|0.77|N/A| SA Global Sukuk Ltd. 1.602% 17-JUN-2026| 1.77%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|12.ASSET|Bond|43.6|0.65|N/A| Perusahaan Penerbit SBSN Indonesia III 4.55% 29-MAR-2026| 1.48%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|13.ASSET|Bond|43.6|0.64|N/A| Sharjah Sukuk Program Ltd 3.234 % Sukuk Trust Certificates 2019-23.10.29 Murabaha Ijara Series 5 Tranche 1 Reg S| 1.47%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|14.ASSET|Bond|43.6|0.64|N/A| STC Sukuk Co. Ltd. 3.89% 13-MAY-2029| 1.46%| Global|Bond|Total Bond Market|International Corporate|SPSK|6|15.ASSET|Bond|43.6|0.63|N/A| Perusahaan Penerbit SBSN Indonesia III 4.35% 10-SEP-2024| 1.45%| North America|Equity|All Cap Equities||FOVL|6|1.ASSET|Equity|35.4|1.13|FHN| First Horizon Corporation| 3.20%| North America|Equity|All Cap Equities||FOVL|6|2.ASSET|Equity|35.4|1.12|PAG| Penske Automotive Group, Inc.| 3.17%| North America|Equity|All Cap Equities||FOVL|6|3.ASSET|Equity|35.4|1.08|VIRT| Virtu Financial, Inc. Class A| 3.04%| North America|Equity|All Cap Equities||FOVL|6|4.ASSET|Equity|35.4|1.06|ZION| Zions Bancorporation, N.A.| 3.00%| North America|Equity|All Cap Equities||FOVL|6|5.ASSET|Equity|35.4|1.06|KR| Kroger Co.| 2.99%| North America|Equity|All Cap Equities||FOVL|6|6.ASSET|Equity|35.4|1.03|CVS| CVS Health Corporation| 2.90%| North America|Equity|All Cap Equities||FOVL|6|7.ASSET|Equity|35.4|1|RJF| Raymond James Financial, Inc.| 2.83%| North America|Equity|All Cap Equities||FOVL|6|8.ASSET|Equity|35.4|1|BPOP| Popular, Inc.| 2.83%| North America|Equity|All Cap Equities||FOVL|6|9.ASSET|Equity|35.4|0.99|ACGL| Arch Capital Group Ltd.| 2.81%| North America|Equity|All Cap Equities||FOVL|6|10.ASSET|Equity|35.4|0.98|PBCT| People\'s United Financial, Inc.| 2.78%| North America|Equity|All Cap Equities||FOVL|6|11.ASSET|Equity|35.4|0.98|VST| Vistra Corp.| 2.78%| North America|Equity|All Cap Equities||FOVL|6|12.ASSET|Equity|35.4|0.97|BOKF| BOK Financial Corporation| 2.73%| North America|Equity|All Cap Equities||FOVL|6|13.ASSET|Equity|35.4|0.96|KEY| KeyCorp| 2.71%| North America|Equity|All Cap Equities||FOVL|6|14.ASSET|Equity|35.4|0.96|HPE| Hewlett Packard Enterprise Co.| 2.70%| North America|Equity|All Cap Equities||FOVL|6|15.ASSET|Equity|35.4|0.95|RE| Everest Re Group, Ltd.| 2.69%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|1.ASSET|Equity|61.7|7.26|VALE| Vale S.A. Sponsored ADR| 11.77%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|2.ASSET|Equity|61.7|6.68|RIO| Rio Tinto plc Sponsored ADR| 10.82%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|3.ASSET|Equity|61.7|6.45|BHP| BHP Group Limited Sponsored ADR| 10.46%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|4.ASSET|Equity|61.7|5.36|PBR| Petroleo Brasileiro SA Sponsored ADR| 8.68%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|5.ASSET|Equity|61.7|2.91|ADM| Archer-Daniels-Midland Company| 4.71%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|6.ASSET|Equity|61.7|2.89|NTR| Nutrien Ltd.| 4.69%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|7.ASSET|Equity|61.7|2.64|TSN| Tyson Foods, Inc. Class A| 4.28%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|8.ASSET|Equity|61.7|2.41|FMG| Fortescue Metals Group Ltd| 3.90%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|9.ASSET|Equity|61.7|2.28|CTRA| Coterra Energy Inc.| 3.69%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|10.ASSET|Equity|61.7|2.14|VIE| Veolia Environnement SA| 3.47%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|11.ASSET|Equity|61.7|2.01|CF| CF Industries Holdings, Inc.| 3.26%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|12.ASSET|Equity|61.7|1.81|IP| International Paper Company| 2.93%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|13.ASSET|Equity|61.7|1.8|IMP| Impala Platinum Holdings Limited| 2.92%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|14.ASSET|Equity|61.7|1.43|BOL| Boliden AB| 2.32%| Developed Markets|Equity|Commodity Producers Equities|Materials|FTRI|6|15.ASSET|Equity|61.7|1.32|SKG| Smurfit Kappa Group Plc| 2.14%| North America|Equity|n/a||PSFF|6|1.ASSET|Equity|92.2|19.4|PSMD| Pacer Swan SOS Moderate (January) ETF| 21.04%| North America|Equity|n/a||PSFF|6|2.ASSET|Equity|92.2|13.89|PSMR| Pacer Swan SOS Moderate (April) ETF| 15.06%| North America|Equity|n/a||PSFF|6|3.ASSET|Equity|92.2|12.58|PSMO| Pacer Swan SOS Moderate (October) ETF| 13.64%| North America|Equity|n/a||PSFF|6|4.ASSET|Equity|92.2|8.59|PSMJ| Pacer Swan SOS Moderate (July) ETF| 9.32%| North America|Equity|n/a||PSFF|6|5.ASSET|Equity|92.2|8.45|PSFD| Pacer Swan SOS Flex (January) ETF| 9.17%| North America|Equity|n/a||PSFF|6|6.ASSET|Equity|92.2|6.73|PSFM| Pacer Swan SOS Flex (April) ETF| 7.30%| North America|Equity|n/a||PSFF|6|7.ASSET|Equity|92.2|5.65|PSCX| Pacer Swan SOS Conservative (January) ETF| 6.13%| North America|Equity|n/a||PSFF|6|8.ASSET|Equity|92.2|4.44|PSFO| Pacer Swan SOS Flex (October) ETF| 4.82%| North America|Equity|n/a||PSFF|6|9.ASSET|Equity|92.2|4.08|PSCW| Pacer Swan SOS Conservative (April) ETF| 4.42%| North America|Equity|n/a||PSFF|6|10.ASSET|Equity|92.2|3.42|PSFJ| Pacer Swan SOS Flex (July) ETF| 3.71%| North America|Equity|n/a||PSFF|6|11.ASSET|Equity|92.2|2.39|PSCQ| Pacer Swan SOS Conservative (October) ETF| 2.59%| North America|Equity|n/a||PSFF|6|12.ASSET|Equity|92.2|1.75|PSCJ| Pacer Swan SOS Conservative (July) ETF| 1.90%| North America|Equity|n/a||PSFF|6|13.ASSET|Equity|92.2|0.82|N/A| U.S. Dollar| 0.89%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|1.ASSET|Equity|37.5|0.93|OMC| Omnicom Group Inc| 2.49%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|2.ASSET|Equity|37.5|0.86|STX| Seagate Technology Holdings PLC| 2.28%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|3.ASSET|Equity|37.5|0.85|HPQ| HP Inc.| 2.27%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|4.ASSET|Equity|37.5|0.82|IPG| Interpublic Group of Companies, Inc.| 2.18%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|5.ASSET|Equity|37.5|0.7|BRK.B| Berkshire Hathaway Inc. Class B| 1.86%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|6.ASSET|Equity|37.5|0.67|ARW| Arrow Electronics, Inc.| 1.78%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|7.ASSET|Equity|37.5|0.65|TPR| Tapestry, Inc.| 1.74%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|8.ASSET|Equity|37.5|0.65|TGT| Target Corporation| 1.72%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|9.ASSET|Equity|37.5|0.64|SNX| TD SYNNEX Corporation| 1.71%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|10.ASSET|Equity|37.5|0.58|DISH| DISH Network Corporation Class A| 1.55%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|11.ASSET|Equity|37.5|0.57|BBY| Best Buy Co., Inc.| 1.51%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|12.ASSET|Equity|37.5|0.55|ACN| Accenture Plc Class A| 1.47%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|13.ASSET|Equity|37.5|0.52|CTSH| Cognizant Technology Solutions Corporation Class A| 1.39%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|14.ASSET|Equity|37.5|0.52|PFE| Pfizer Inc.| 1.39%| Developed Markets|Equity|Large Cap Blend Equities||WLDR|6|15.ASSET|Equity|37.5|0.5|NLOK| NortonLifeLock Inc.| 1.32%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|1.ASSET|Equity|34.7|1.58|2331| Li Ning Company Limited| 4.55%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|2.ASSET|Equity|34.7|1.26|2267| Yakult Honsha Co., Ltd.| 3.64%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|3.ASSET|Equity|34.7|1.24|DXCM| DexCom, Inc.| 3.58%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|4.ASSET|Equity|34.7|1.16|LULU| Lululemon Athletica Inc| 3.35%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|5.ASSET|Equity|34.7|1.14|7309| Shimano Inc.| 3.29%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|6.ASSET|Equity|34.7|1.14|NKE| NIKE, Inc. Class B| 3.28%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|7.ASSET|Equity|34.7|1.13|GIL| Gildan Activewear Inc.| 3.25%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|8.ASSET|Equity|34.7|1.03|2020| ANTA Sports Products Ltd.| 2.96%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|9.ASSET|Equity|34.7|1.01|DKS| Dick\'s Sporting Goods, Inc.| 2.92%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|10.ASSET|Equity|34.7|1.01|PLNT| Planet Fitness, Inc. Class A| 2.92%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|11.ASSET|Equity|34.7|1|9910| Feng Tay Enterprise Co., Ltd.| 2.89%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|12.ASSET|Equity|34.7|0.97|BN| Danone SA| 2.79%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|13.ASSET|Equity|34.7|0.93|JD| JD Sports Fashion Plc| 2.68%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|14.ASSET|Equity|34.7|0.91|PUM| PUMA SE| 2.63%| Developed Markets|Equity|Consumer Discretionary Equities|Consumer Discretionary|BFIT|6|15.ASSET|Equity|34.7|0.89|COLM| Columbia Sportswear Company| 2.57%| North America|Bond|High Yield Bonds|Junk|HYLV|6|1.ASSET|Bond|33.3|0.53|N/A| Occidental Petroleum Corporation 5.55% 15-MAR-2026| 1.59%| North America|Bond|High Yield Bonds|Junk|HYLV|6|2.ASSET|Bond|33.3|0.47|TTTXX| BlackRock Liquidity Funds Treasury Trust Fund Portfolio Institutional| 1.40%| North America|Bond|High Yield Bonds|Junk|HYLV|6|3.ASSET|Bond|33.3|0.3|N/A| HCA, Inc. 5.375% 01-FEB-2025| 0.91%| North America|Bond|High Yield Bonds|Junk|HYLV|6|4.ASSET|Bond|33.3|0.3|N/A| Occidental Petroleum Corporation 4.5% 15-JUL-2044| 0.89%| North America|Bond|High Yield Bonds|Junk|HYLV|6|5.ASSET|Bond|33.3|0.26|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.78%| North America|Bond|High Yield Bonds|Junk|HYLV|6|6.ASSET|Bond|33.3|0.26|N/A| Kraft Heinz Foods Co. 3.75% 01-APR-2030| 0.77%| North America|Bond|High Yield Bonds|Junk|HYLV|6|7.ASSET|Bond|33.3|0.25|N/A| Centene Corporation 4.625% 15-DEC-2029| 0.75%| North America|Bond|High Yield Bonds|Junk|HYLV|6|8.ASSET|Bond|33.3|0.22|N/A| Tenet Healthcare Corporation 5.125% 01-NOV-2027| 0.67%| North America|Bond|High Yield Bonds|Junk|HYLV|6|9.ASSET|Bond|33.3|0.22|N/A| Centene Corporation 2.5% 01-MAR-2031| 0.65%| North America|Bond|High Yield Bonds|Junk|HYLV|6|10.ASSET|Bond|33.3|0.21|N/A| DaVita Inc. 4.625% 01-JUN-2030| 0.64%| North America|Bond|High Yield Bonds|Junk|HYLV|6|11.ASSET|Bond|33.3|0.21|N/A| Colt Merger Sub, Inc. 6.25% 01-JUL-2025| 0.63%| North America|Bond|High Yield Bonds|Junk|HYLV|6|12.ASSET|Bond|33.3|0.2|N/A| CCO Holdings LLC 5.0% 01-FEB-2028| 0.61%| North America|Bond|High Yield Bonds|Junk|HYLV|6|13.ASSET|Bond|33.3|0.2|N/A| Venture Global Calcasieu Pass LLC 3.875% 15-AUG-2029| 0.59%| North America|Bond|High Yield Bonds|Junk|HYLV|6|14.ASSET|Bond|33.3|0.19|N/A| Open Text Holdings, Inc. 4.125% 15-FEB-2030| 0.56%| North America|Bond|High Yield Bonds|Junk|HYLV|6|15.ASSET|Bond|33.3|0.18|N/A| Rocket Mortgage, LLC 3.875% 01-MAR-2031| 0.55%| North America|Equity|Utilities Equities|Utilities|UTES|6|1.ASSET|Equity|40.6|7.38|NEE| NextEra Energy, Inc.| 18.18%| North America|Equity|Utilities Equities|Utilities|UTES|6|2.ASSET|Equity|40.6|2.44|EXC| Exelon Corporation| 6.01%| North America|Equity|Utilities Equities|Utilities|UTES|6|3.ASSET|Equity|40.6|2.42|ETR| Entergy Corporation| 5.95%| North America|Equity|Utilities Equities|Utilities|UTES|6|4.ASSET|Equity|40.6|2.32|ATO| Atmos Energy Corporation| 5.71%| North America|Equity|Utilities Equities|Utilities|UTES|6|5.ASSET|Equity|40.6|2.14|NI| NiSource Inc| 5.26%| North America|Equity|Utilities Equities|Utilities|UTES|6|6.ASSET|Equity|40.6|2.07|CMS| CMS Energy Corporation| 5.11%| North America|Equity|Utilities Equities|Utilities|UTES|6|7.ASSET|Equity|40.6|2.02|D| Dominion Energy Inc| 4.97%| North America|Equity|Utilities Equities|Utilities|UTES|6|8.ASSET|Equity|40.6|1.9|XEL| Xcel Energy Inc.| 4.69%| North America|Equity|Utilities Equities|Utilities|UTES|6|9.ASSET|Equity|40.6|1.82|EIX| Edison International| 4.49%| North America|Equity|Utilities Equities|Utilities|UTES|6|10.ASSET|Equity|40.6|1.81|LNT| Alliant Energy Corp| 4.45%| North America|Equity|Utilities Equities|Utilities|UTES|6|11.ASSET|Equity|40.6|1.74|AEE| Ameren Corporation| 4.28%| North America|Equity|Utilities Equities|Utilities|UTES|6|12.ASSET|Equity|40.6|1.73|PEG| Public Service Enterprise Group Inc| 4.26%| North America|Equity|Utilities Equities|Utilities|UTES|6|13.ASSET|Equity|40.6|1.73|AWK| American Water Works Company, Inc.| 4.26%| North America|Equity|Utilities Equities|Utilities|UTES|6|14.ASSET|Equity|40.6|1.73|SRE| Sempra Energy| 4.25%| North America|Equity|Utilities Equities|Utilities|UTES|6|15.ASSET|Equity|40.6|1.71|WEC| WEC Energy Group Inc| 4.22%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|1.ASSET|Bond|65.3|2.22|N/A| United States Treasury Notes 1.5% 30-NOV-2024| 3.40%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|2.ASSET|Bond|65.3|1.78|N/A| United States Treasury Notes 0.25% 15-JUN-2024| 2.72%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|3.ASSET|Bond|65.3|1.71|N/A| United States Treasury Notes 0.25% 31-OCT-2025| 2.62%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|4.ASSET|Bond|65.3|1.65|N/A| United States Treasury Notes 1.5% 31-OCT-2024| 2.53%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|5.ASSET|Bond|65.3|1.59|N/A| United States Treasury Notes 2.375% 29-FEB-2024| 2.44%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|6.ASSET|Bond|65.3|1.46|N/A| United States Treasury Notes 1.625% 15-NOV-2022| 2.24%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|7.ASSET|Bond|65.3|1.34|N/A| United States Treasury Notes 0.375% 15-JUL-2024| 2.05%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|8.ASSET|Bond|65.3|1.23|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 1.89%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|9.ASSET|Bond|65.3|1.21|N/A| United States Treasury Notes 2.0% 31-MAY-2024| 1.85%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|10.ASSET|Bond|65.3|1.16|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 1.77%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|11.ASSET|Bond|65.3|1.1|N/A| United States Treasury Notes 1.375% 15-OCT-2022| 1.68%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|12.ASSET|Bond|65.3|1.03|N/A| United States Treasury Notes 1.125% 31-OCT-2026| 1.57%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|13.ASSET|Bond|65.3|0.89|N/A| United States Treasury Notes 0.125% 15-OCT-2023| 1.36%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|14.ASSET|Bond|65.3|0.8|N/A| United States Treasury Notes 2.75% 15-NOV-2023| 1.22%| Global|Bond|Total Bond Market|Total Bond Market|AVSF|6|15.ASSET|Bond|65.3|0.57|N/A| Federal National Mortgage Association 2.625% 06-SEP-2024| 0.87%| Latin America|Equity|Latin America Equities||BRF|6|1.ASSET|Equity|34.3|1.03|BRML3| BR Malls Participacoes S.A.| 3.01%| Latin America|Equity|Latin America Equities||BRF|6|2.ASSET|Equity|34.3|1.03|SMTO3| Sao Martinho S.A.| 3.00%| Latin America|Equity|Latin America Equities||BRF|6|3.ASSET|Equity|34.3|1.02|ALUP11| Alupar Investimento SA Unit Cons of 1 Sh + 2 Pfd Shs| 2.96%| Latin America|Equity|Latin America Equities||BRF|6|4.ASSET|Equity|34.3|0.97|SAPR11| Cia de Saneamento do Parana SA - Sanepar Units Cons of 1 Sh + 4 Pfd Shs| 2.84%| Latin America|Equity|Latin America Equities||BRF|6|5.ASSET|Equity|34.3|0.86|SOMA3| Grupo de Moda Soma SA| 2.50%| Latin America|Equity|Latin America Equities||BRF|6|6.ASSET|Equity|34.3|0.79|SGH| SMART Global Holdings, Inc.| 2.31%| Latin America|Equity|Latin America Equities||BRF|6|7.ASSET|Equity|34.3|0.77|UNIP6| Unipar Carbocloro SA Pfd Class B| 2.25%| Latin America|Equity|Latin America Equities||BRF|6|8.ASSET|Equity|34.3|0.76|ARZZ3| Arezzo Industria e Comercio S.A.| 2.22%| Latin America|Equity|Latin America Equities||BRF|6|9.ASSET|Equity|34.3|0.74|MEGA3| Omega Energia SA| 2.16%| Latin America|Equity|Latin America Equities||BRF|6|10.ASSET|Equity|34.3|0.69|STBP3| Santos Brasil Participacoes SA| 2.02%| Latin America|Equity|Latin America Equities||BRF|6|11.ASSET|Equity|34.3|0.69|RRRP3| 3R Petroleum Oleo e Gas SA| 2.00%| Latin America|Equity|Latin America Equities||BRF|6|12.ASSET|Equity|34.3|0.68|FLRY3| Fleury SA| 1.99%| Latin America|Equity|Latin America Equities||BRF|6|13.ASSET|Equity|34.3|0.68|ERO| Ero Copper Corp.| 1.99%| Latin America|Equity|Latin America Equities||BRF|6|14.ASSET|Equity|34.3|0.67|CYRE3| Cyrela Brazil Realty SA Empreendimentos e Participacoes| 1.94%| Latin America|Equity|Latin America Equities||BRF|6|15.ASSET|Equity|34.3|0.6|CBD| Companhia Brasileira de Distribuicao Sponsored ADR| 1.75%| North America|Equity|Mid Cap Blend Equities||MGMT|6|1.ASSET|Equity|56.6|1.9|GPRE| Green Plains Inc.| 3.36%| North America|Equity|Mid Cap Blend Equities||MGMT|6|2.ASSET|Equity|56.6|1.8|TDC| Teradata Corporation| 3.18%| North America|Equity|Mid Cap Blend Equities||MGMT|6|3.ASSET|Equity|56.6|1.64|HUN| Huntsman Corporation| 2.90%| North America|Equity|Mid Cap Blend Equities||MGMT|6|4.ASSET|Equity|56.6|1.62|EGLE| Eagle Bulk Shipping Inc| 2.87%| North America|Equity|Mid Cap Blend Equities||MGMT|6|5.ASSET|Equity|56.6|1.62|LITE| Lumentum Holdings, Inc.| 2.87%| North America|Equity|Mid Cap Blend Equities||MGMT|6|6.ASSET|Equity|56.6|1.58|WSTG| Wayside Technology Group, Inc.| 2.80%| North America|Equity|Mid Cap Blend Equities||MGMT|6|7.ASSET|Equity|56.6|1.53|UFPT| UFP Technologies, Inc.| 2.71%| North America|Equity|Mid Cap Blend Equities||MGMT|6|8.ASSET|Equity|56.6|1.49|SOI| Solaris Oilfield Infrastructure, Inc. Class A| 2.64%| North America|Equity|Mid Cap Blend Equities||MGMT|6|9.ASSET|Equity|56.6|1.47|CRMT| America\'s Car-Mart, Inc.| 2.60%| North America|Equity|Mid Cap Blend Equities||MGMT|6|10.ASSET|Equity|56.6|1.44|CBNK| Capital Bancorp, Inc.| 2.55%| North America|Equity|Mid Cap Blend Equities||MGMT|6|11.ASSET|Equity|56.6|1.4|AGM| Federal Agricultural Mortgage Corporation Class C| 2.48%| North America|Equity|Mid Cap Blend Equities||MGMT|6|12.ASSET|Equity|56.6|1.38|AZZ| AZZ Inc.| 2.43%| North America|Equity|Mid Cap Blend Equities||MGMT|6|13.ASSET|Equity|56.6|1.35|EAF| GrafTech International Ltd.| 2.38%| North America|Equity|Mid Cap Blend Equities||MGMT|6|14.ASSET|Equity|56.6|1.35|NTIC| Northern Technologies International Corporation| 2.38%| North America|Equity|Mid Cap Blend Equities||MGMT|6|15.ASSET|Equity|56.6|1.29|LAMR| Lamar Advertising Company Class A| 2.28%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|1.ASSET|Equity|23.7|5.47|AMZN| Amazon.com, Inc.| 23.06%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|2.ASSET|Equity|23.7|2.36|N/A| U.S. Dollar| 9.94%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|3.ASSET|Equity|23.7|1.42|HD| Home Depot, Inc.| 6.01%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|4.ASSET|Equity|23.7|1.1|DIS| Walt Disney Company| 4.66%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|5.ASSET|Equity|23.7|0.96|COST| Costco Wholesale Corporation| 4.06%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|6.ASSET|Equity|23.7|0.87|CMCSA| Comcast Corporation Class A| 3.68%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|7.ASSET|Equity|23.7|0.8|WMT| Walmart Inc.| 3.37%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|8.ASSET|Equity|23.7|0.74|MCD| McDonald\'s Corporation| 3.13%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|9.ASSET|Equity|23.7|0.69|NFLX| Netflix, Inc.| 2.93%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|10.ASSET|Equity|23.7|0.65|LOW| Lowe\'s Companies, Inc.| 2.75%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|11.ASSET|Equity|23.7|0.45|TGT| Target Corporation| 1.91%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|12.ASSET|Equity|23.7|0.45|SBUX| Starbucks Corporation| 1.90%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|13.ASSET|Equity|23.7|0.36|BKNG| Booking Holdings Inc.| 1.54%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|14.ASSET|Equity|23.7|0.33|TJX| TJX Companies Inc| 1.38%| North America|Equity|Leveraged Equities|Consumer Discretionary|UCC|6|15.ASSET|Equity|23.7|0.29|CHTR| Charter Communications, Inc. Class A| 1.23%| North America|Equity|Leveraged Equities|Energy|ERY|6|1.ASSET|Equity|29.9|7.93|DGCXX| Dreyfus Government Cash Management Funds Institutional| 26.53%| North America|Equity|Leveraged Equities|Energy|ERY|6|2.ASSET|Equity|29.9|5.45|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 18.23%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|1.ASSET|Equity|40.4|5.62|UNH| UnitedHealth Group Incorporated| 13.91%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|2.ASSET|Equity|40.4|3.12|ABT| Abbott Laboratories| 7.72%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|3.ASSET|Equity|40.4|1.95|MDT| Medtronic Plc| 4.83%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|4.ASSET|Equity|40.4|1.83|DHR| Danaher Corporation| 4.54%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|5.ASSET|Equity|40.4|1.72|JNJ| Johnson & Johnson| 4.26%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|6.ASSET|Equity|40.4|1.55|ISRG| Intuitive Surgical, Inc.| 3.83%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|7.ASSET|Equity|40.4|1.45|TMO| Thermo Fisher Scientific Inc.| 3.60%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|8.ASSET|Equity|40.4|1.38|CVS| CVS Health Corporation| 3.42%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|9.ASSET|Equity|40.4|1.26|ABBV| AbbVie, Inc.| 3.13%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|10.ASSET|Equity|40.4|1.24|SYK| Stryker Corporation| 3.07%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|11.ASSET|Equity|40.4|1.23|ANTM| Anthem, Inc.| 3.05%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|12.ASSET|Equity|40.4|1.03|BDX| Becton, Dickinson and Company| 2.56%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|13.ASSET|Equity|40.4|0.99|EW| Edwards Lifesciences Corporation| 2.45%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|14.ASSET|Equity|40.4|0.87|BSX| Boston Scientific Corporation| 2.16%| North America|Equity|Health & Biotech Equities|Healthcare|IEHS|6|15.ASSET|Equity|40.4|0.84|HCA| HCA Healthcare Inc| 2.07%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|1.ASSET|Equity|32.2|0.44|IPN| Ipsen SA| 1.38%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|2.ASSET|Equity|32.2|0.43|CHKP| Check Point Software Technologies Ltd.| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|3.ASSET|Equity|32.2|0.41|ADM| Admiral Group plc| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|4.ASSET|Equity|32.2|0.41|SAN| Sanofi| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|5.ASSET|Equity|32.2|0.39|ROG| Roche Holding Ltd| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|6.ASSET|Equity|32.2|0.39|NOVN| Novartis AG| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|7.ASSET|Equity|32.2|0.36|NESN| Nestle S.A.| 1.11%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|8.ASSET|Equity|32.2|0.36|GIVN| Givaudan SA| 1.11%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|9.ASSET|Equity|32.2|0.35|SCMN| Swisscom AG| 1.10%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|10.ASSET|Equity|32.2|0.35|NZYM.B| Novozymes A/S Class B| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|11.ASSET|Equity|32.2|0.33|KNIN| Kuehne & Nagel International AG| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|12.ASSET|Equity|32.2|0.33|WKL| Wolters Kluwer NV| 1.01%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|13.ASSET|Equity|32.2|0.32|AV| Aviva plc| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|14.ASSET|Equity|32.2|0.32|S68| Singapore Exchange Ltd.| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||DWMF|6|15.ASSET|Equity|32.2|0.31|SOON| Sonova Holding AG| 0.97%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|1.ASSET|Bond|60.4|7.37|N/A| FIXED INCOME (UNCLASSFIED)| 12.21%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|2.ASSET|Bond|60.4|2.68|N/A| U.S. Dollar| 4.44%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|3.ASSET|Bond|60.4|1.23|N/A| AIMCO CLO 15 E 6.19129% 17-OCT-2034| 2.04%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|4.ASSET|Bond|60.4|1.23|N/A| Finastra Group Holdings Ltd Term Loan B 13-Jun-2024| 2.03%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|5.ASSET|Bond|60.4|1.23|N/A| Clear Channel Outdoor Holdings Inc Term Loan B 23-Aug-2026| 2.03%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|6.ASSET|Bond|60.4|1|N/A| Magnetite XXVII ER 6.254% 20-OCT-2034| 1.65%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|7.ASSET|Bond|60.4|1|N/A| CIFC Funding 2015-II ER2 7.05129% 15-APR-2030| 1.65%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|8.ASSET|Bond|60.4|0.99|N/A| CIFC Falcon 2020 E 7.664% 20-JAN-2033| 1.64%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|9.ASSET|Bond|60.4|0.99|N/A| Bausch Health Cos Inc Term Loan B 27-Nov-2025| 1.64%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|10.ASSET|Bond|60.4|0.98|N/A| Madison Iaq Llc Term Loan 21-Jun-2028| 1.63%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|11.ASSET|Bond|60.4|0.98|N/A| Srs Distribution Inc Term Loan B 02-Jun-2028| 1.63%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|12.ASSET|Bond|60.4|0.98|N/A| ASSET-BACKED SECURITIES| 1.62%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|13.ASSET|Bond|60.4|0.98|N/A| RR 7 D1B 6.889% 15-JAN-2037| 1.62%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|14.ASSET|Bond|60.4|0.98|N/A| Seaworld Parks & Entertainment Inc Term Loan B 25-Aug-2028| 1.62%| |Bond|High Yield Bonds|Bank Loans|FLRT|6|15.ASSET|Bond|60.4|0.97|N/A| Neuberger Berman Loan Advisers CLO 28 E 5.854% 20-APR-2030| 1.61%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|1.ASSET|Real Estate|34.6|1.97|PLD| Prologis, Inc.| 5.70%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|2.ASSET|Real Estate|34.6|1.15|EQIX| Equinix, Inc.| 3.32%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|3.ASSET|Real Estate|34.6|1|PSA| Public Storage| 2.88%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|4.ASSET|Real Estate|34.6|0.82|SPG| Simon Property Group, Inc.| 2.37%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|5.ASSET|Real Estate|34.6|0.74|VNA| Vonovia SE| 2.13%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|6.ASSET|Real Estate|34.6|0.69|DLR| Digital Realty Trust, Inc.| 1.99%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|7.ASSET|Real Estate|34.6|0.68|O| Realty Income Corporation| 1.96%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|8.ASSET|Real Estate|34.6|0.66|WELL| Welltower, Inc.| 1.92%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|9.ASSET|Real Estate|34.6|0.61|AVB| AvalonBay Communities, Inc.| 1.76%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|10.ASSET|Real Estate|34.6|0.57|EQR| Equity Residential| 1.65%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|11.ASSET|Real Estate|34.6|0.53|ARE| Alexandria Real Estate Equities, Inc.| 1.53%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|12.ASSET|Real Estate|34.6|0.46|EXR| Extra Space Storage Inc.| 1.33%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|13.ASSET|Real Estate|34.6|0.43|MAA| Mid-America Apartment Communities, Inc.| 1.25%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|14.ASSET|Real Estate|34.6|0.42|INVH| Invitation Homes, Inc.| 1.21%| Developed Markets|Real Estate|Global Real Estate|Real Estate|FFR|6|15.ASSET|Real Estate|34.6|0.4|VTR| Ventas, Inc.| 1.17%| Latin America|Equity|Latin America Equities||ARGT|6|1.ASSET|Equity|32.2|7.15|MELI| MercadoLibre, Inc.| 22.21%| Latin America|Equity|Latin America Equities||ARGT|6|2.ASSET|Equity|32.2|1.83|ARCO| Arcos Dorados Holdings, Inc. Class A| 5.69%| Latin America|Equity|Latin America Equities||ARGT|6|3.ASSET|Equity|32.2|1.78|AGRO| Adecoagro S.A.| 5.54%| Latin America|Equity|Latin America Equities||ARGT|6|4.ASSET|Equity|32.2|1.72|GGAL| Grupo Financiero Galicia SA Sponsored ADR Class B| 5.34%| Latin America|Equity|Latin America Equities||ARGT|6|5.ASSET|Equity|32.2|1.68|SSRM| SSR Mining Inc| 5.22%| Latin America|Equity|Latin America Equities||ARGT|6|6.ASSET|Equity|32.2|1.65|YRI| Yamana Gold Inc.| 5.11%| Latin America|Equity|Latin America Equities||ARGT|6|7.ASSET|Equity|32.2|1.62|PAM| Pampa Energia SA Sponsored ADR| 5.02%| Latin America|Equity|Latin America Equities||ARGT|6|8.ASSET|Equity|32.2|1.61|YPF| YPF SA Sponsored ADR Class D| 4.99%| Latin America|Equity|Latin America Equities||ARGT|6|9.ASSET|Equity|32.2|1.49|ANDINA.B| Embotelladora Andina SA Pfd B| 4.64%| Latin America|Equity|Latin America Equities||ARGT|6|10.ASSET|Equity|32.2|1.38|CENCOSUD| Cencosud S.A.| 4.29%| Latin America|Equity|Latin America Equities||ARGT|6|11.ASSET|Equity|32.2|1.38|BMA| Banco Macro SA Sponsored ADR Class B| 4.28%| Latin America|Equity|Latin America Equities||ARGT|6|12.ASSET|Equity|32.2|1.35|DESP| Despegar.com, Corp.| 4.18%| Latin America|Equity|Latin America Equities||ARGT|6|13.ASSET|Equity|32.2|1.27|CCU| Compania Cervecerias Unidas S.A.| 3.94%| Latin America|Equity|Latin America Equities||ARGT|6|14.ASSET|Equity|32.2|1.08|TEO| Telecom Argentina SA Sponsored ADR| 3.34%| Latin America|Equity|Latin America Equities||ARGT|6|15.ASSET|Equity|32.2|0.9|TGS| Transportadora de Gas del Sur SA Sponsored ADR Class B RegS| 2.78%| |Commodity|Commodities||BCM|6|1.ASSET|Commodity|46.9|11.4|N/A| Sweet Light Crude Oil (WTI)| 24.31%| |Commodity|Commodities||BCM|6|2.ASSET|Commodity|46.9|9.71|N/A| Gold| 20.70%| |Commodity|Commodities||BCM|6|3.ASSET|Commodity|46.9|4.65|N/A| Soybean| 9.92%| |Commodity|Commodities||BCM|6|4.ASSET|Commodity|46.9|4.6|N/A| Brent Crude Oil| 9.80%| |Commodity|Commodities||BCM|6|5.ASSET|Commodity|46.9|3.71|N/A| Corn| 7.90%| |Commodity|Commodities||BCM|6|6.ASSET|Commodity|46.9|3.68|N/A| Copper| 7.85%| |Commodity|Commodities||BCM|6|7.ASSET|Commodity|46.9|3.09|N/A| Aluminum| 6.58%| |Commodity|Commodities||BCM|6|8.ASSET|Commodity|46.9|2.51|N/A| Silver| 5.36%| |Commodity|Commodities||BCM|6|9.ASSET|Commodity|46.9|1.94|N/A| Gas Oil| 4.14%| |Commodity|Commodities||BCM|6|10.ASSET|Commodity|46.9|1.61|N/A| Natural Gas| 3.44%| |Commodity|Agricultural Commodities||NIB|6|1.ASSET|Commodity|20.8|20.8|N/A| Cocoa| 100.00%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|1.ASSET|Equity|35.4|3.82|D05| DBS Group Holdings Ltd| 10.80%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|2.ASSET|Equity|35.4|2.53|O39| Oversea-Chinese Banking Corporation Limited| 7.15%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|3.ASSET|Equity|35.4|2.41|U11| United Overseas Bank Ltd. (Singapore)| 6.82%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|4.ASSET|Equity|35.4|2.27|BBCA| PT Bank Central Asia Tbk| 6.40%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|5.ASSET|Equity|35.4|1.76|BBRI| PT Bank Rakyat Indonesia (Persero) Tbk Class B| 4.98%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|6.ASSET|Equity|35.4|1.44|PTT.R| PTT Public Co., Ltd. NVDR| 4.06%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|7.ASSET|Equity|35.4|1.37|1295| Public Bank Bhd| 3.87%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|8.ASSET|Equity|35.4|1.19|Z74| Singapore Telecommunications Limited| 3.35%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|9.ASSET|Equity|35.4|1.18|TLKM| PT Telkom Indonesia (Persero) Tbk Class B| 3.34%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|10.ASSET|Equity|35.4|1.13|1155| Malayan Banking Bhd.| 3.18%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|11.ASSET|Equity|35.4|0.92|CPALL.R| CP All Public Co. Ltd. NVDR| 2.59%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|12.ASSET|Equity|35.4|0.84|SCC.R| Siam Cement Public Co. Ltd. NVDR| 2.38%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|13.ASSET|Equity|35.4|0.84|KBANK.R| Kasikornbank Public Co. Ltd. NVDR| 2.36%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|14.ASSET|Equity|35.4|0.83|BMRI| PT Bank Mandiri (Persero) Tbk| 2.34%| Broad Asia|Equity|Asia Pacific Equities||ASEA|6|15.ASSET|Equity|35.4|0.78|SCB.R| Siam Commercial Bank Public Company Limited NVDR| 2.21%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|1.ASSET|Equity|33.6|0.28|1820| Nishimatsu Construction Co., Ltd.| 0.84%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|2.ASSET|Equity|33.6|0.27|9513| Electric Power Development Co., Ltd.| 0.81%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|3.ASSET|Equity|33.6|0.25|8304| Aozora Bank, Ltd.| 0.73%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|4.ASSET|Equity|33.6|0.24|7167| Mebuki Financial Group, Inc.| 0.70%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|5.ASSET|Equity|33.6|0.23|5901| Toyo Seikan Group Holdings Ltd.| 0.68%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|6.ASSET|Equity|33.6|0.21|4902| Konica Minolta, Inc.| 0.62%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|7.ASSET|Equity|33.6|0.21|8410| Seven Bank, Ltd.| 0.62%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|8.ASSET|Equity|33.6|0.2|4544| H.U.Group Holdings, Inc.| 0.61%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|9.ASSET|Equity|33.6|0.18|5021| Cosmo Energy Holdings Co., Ltd.| 0.55%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|10.ASSET|Equity|33.6|0.18|8282| K\'S Holdings Corporation| 0.53%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|11.ASSET|Equity|33.6|0.17|6417| Sankyo Co., Ltd.| 0.50%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|12.ASSET|Equity|33.6|0.16|8628| Matsui Securities Co., Ltd.| 0.49%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|13.ASSET|Equity|33.6|0.16|4202| Daicel Corporation| 0.47%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|14.ASSET|Equity|33.6|0.16|3401| Teijin Limited| 0.47%| Developed Asia Pacific|Equity|Japan Equities||DXJS|6|15.ASSET|Equity|33.6|0.16|5711| Mitsubishi Materials Corp.| 0.47%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|1.ASSET|Equity|33.9|0.79|5713| Sumitomo Metal Mining Co., Ltd.| 2.32%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|2.ASSET|Equity|33.9|0.75|1605| INPEX CORPORATION| 2.21%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|3.ASSET|Equity|33.9|0.73|9101| Nippon Yusen Kabushiki Kaisha| 2.15%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|4.ASSET|Equity|33.9|0.69|5411| JFE Holdings, Inc.| 2.04%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|5.ASSET|Equity|33.9|0.68|9107| Kawasaki Kisen Kaisha, Ltd.| 2.00%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|6.ASSET|Equity|33.9|0.67|9104| Mitsui O.S.K.Lines,Ltd.| 1.97%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|7.ASSET|Equity|33.9|0.66|5401| NIPPON STEEL CORP.| 1.95%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|8.ASSET|Equity|33.9|0.64|8002| Marubeni Corporation| 1.88%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|9.ASSET|Equity|33.9|0.62|5019| Idemitsu Kosan Co., Ltd.| 1.84%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|10.ASSET|Equity|33.9|0.61|8058| Mitsubishi Corporation| 1.81%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|11.ASSET|Equity|33.9|0.6|4042| Tosoh Corporation| 1.76%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|12.ASSET|Equity|33.9|0.6|8031| Mitsui & Co.,Ltd| 1.76%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|13.ASSET|Equity|33.9|0.56|6361| Ebara Corporation| 1.65%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|14.ASSET|Equity|33.9|0.55|9984| SoftBank Group Corp.| 1.63%| Developed Asia Pacific|Equity|Japan Equities||FJP|6|15.ASSET|Equity|33.9|0.54|8473| SBI Holdings, Inc.| 1.59%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|1.ASSET|Bond|23.3|0.37|N/A| Goldman Sachs Group, Inc. 3.85% 26-JAN-2027| 1.57%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|2.ASSET|Bond|23.3|0.36|N/A| Goldman Sachs Group, Inc. 3.85% 26-JAN-2027| 1.56%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|3.ASSET|Bond|23.3|0.31|N/A| AT&T Inc. 2.75% 01-JUN-2031| 1.32%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|4.ASSET|Bond|23.3|0.31|N/A| AT&T Inc. 2.75% 01-JUN-2031| 1.32%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|5.ASSET|Bond|23.3|0.3|N/A| Oracle Corporation 1.65% 25-MAR-2026| 1.28%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|6.ASSET|Bond|23.3|0.3|N/A| Oracle Corporation 1.65% 25-MAR-2026| 1.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|7.ASSET|Bond|23.3|0.3|N/A| General Motors Company 6.8% 01-OCT-2027| 1.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|8.ASSET|Bond|23.3|0.29|N/A| General Motors Company 6.8% 01-OCT-2027| 1.26%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|9.ASSET|Bond|23.3|0.29|N/A| Amazon.com, Inc. 4.25% 22-AUG-2057| 1.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|10.ASSET|Bond|23.3|0.29|N/A| Amazon.com, Inc. 4.25% 22-AUG-2057| 1.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|11.ASSET|Bond|23.3|0.28|N/A| HCA, Inc. 5.25% 15-JUN-2049| 1.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|12.ASSET|Bond|23.3|0.28|N/A| HCA, Inc. 5.25% 15-JUN-2049| 1.20%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|13.ASSET|Bond|23.3|0.27|N/A| AT&T Inc. 4.35% 01-MAR-2029| 1.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|14.ASSET|Bond|23.3|0.27|N/A| AT&T Inc. 4.35% 01-MAR-2029| 1.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|SPXB|6|15.ASSET|Bond|23.3|0.27|N/A| Chevron Corporation 2.236% 11-MAY-2030| 1.14%| North America|Equity|Large Cap Blend Equities||AZBO|6|1.ASSET|Equity|36.7|36.78|N/A| OPTIONS| 100.22%| North America|Equity|Large Cap Blend Equities||AZBO|6|2.ASSET|Equity|36.7|36.78|N/A| OPTIONS| 100.21%| North America|Equity|Large Cap Blend Equities||AZBO|6|3.ASSET|Equity|36.7|-0.08|N/A| U.S. Dollar| -0.21%| North America|Equity|Large Cap Blend Equities||AZBO|6|4.ASSET|Equity|36.7|-0.08|N/A| U.S. Dollar| -0.22%| North America|Equity|Large Cap Growth Equities||NACP|6|1.ASSET|Equity|39.7|2.08|AAPL| Apple Inc.| 5.24%| North America|Equity|Large Cap Growth Equities||NACP|6|2.ASSET|Equity|39.7|1.9|MSFT| Microsoft Corporation| 4.79%| North America|Equity|Large Cap Growth Equities||NACP|6|3.ASSET|Equity|39.7|1.73|AMZN| Amazon.com, Inc.| 4.36%| North America|Equity|Large Cap Growth Equities||NACP|6|4.ASSET|Equity|39.7|1.21|TSLA| Tesla Inc| 3.04%| North America|Equity|Large Cap Growth Equities||NACP|6|5.ASSET|Equity|39.7|1.09|FB| Meta Platforms Inc. Class A| 2.75%| North America|Equity|Large Cap Growth Equities||NACP|6|6.ASSET|Equity|39.7|1.08|NVDA| NVIDIA Corporation| 2.73%| North America|Equity|Large Cap Growth Equities||NACP|6|7.ASSET|Equity|39.7|1.04|CSCO| Cisco Systems, Inc.| 2.61%| North America|Equity|Large Cap Growth Equities||NACP|6|8.ASSET|Equity|39.7|1.04|GOOGL| Alphabet Inc. Class A| 2.61%| North America|Equity|Large Cap Growth Equities||NACP|6|9.ASSET|Equity|39.7|0.96|GOOG| Alphabet Inc. Class C| 2.41%| North America|Equity|Large Cap Growth Equities||NACP|6|10.ASSET|Equity|39.7|0.93|ACN| Accenture Plc Class A| 2.35%| North America|Equity|Large Cap Growth Equities||NACP|6|11.ASSET|Equity|39.7|0.93|CRM| salesforce.com, inc.| 2.35%| North America|Equity|Large Cap Growth Equities||NACP|6|12.ASSET|Equity|39.7|0.87|INTC| Intel Corporation| 2.19%| North America|Equity|Large Cap Growth Equities||NACP|6|13.ASSET|Equity|39.7|0.85|QCOM| Qualcomm Inc| 2.13%| North America|Equity|Large Cap Growth Equities||NACP|6|14.ASSET|Equity|39.7|0.78|UNH| UnitedHealth Group Incorporated| 1.96%| North America|Equity|Large Cap Growth Equities||NACP|6|15.ASSET|Equity|39.7|0.71|JNJ| Johnson & Johnson| 1.78%| North America|Equity|Large Cap Blend Equities||DFND|6|1.ASSET|Equity|34.9|10.82|N/A| U.S. Dollar| 31.01%| North America|Equity|Large Cap Blend Equities||DFND|6|2.ASSET|Equity|34.9|6.91|FGXXX| First American Funds Inc X Government Obligations Fund| 19.79%| North America|Equity|Large Cap Blend Equities||DFND|6|3.ASSET|Equity|34.9|0.64|NDSN| Nordson Corporation| 1.83%| North America|Equity|Large Cap Blend Equities||DFND|6|4.ASSET|Equity|34.9|0.58|LHX| L3Harris Technologies Inc| 1.67%| North America|Equity|Large Cap Blend Equities||DFND|6|5.ASSET|Equity|34.9|0.57|JBHT| J.B. Hunt Transport Services, Inc.| 1.63%| North America|Equity|Large Cap Blend Equities||DFND|6|6.ASSET|Equity|34.9|0.57|ATVI| Activision Blizzard, Inc.| 1.63%| North America|Equity|Large Cap Blend Equities||DFND|6|7.ASSET|Equity|34.9|0.54|EOG| EOG Resources, Inc.| 1.56%| North America|Equity|Large Cap Blend Equities||DFND|6|8.ASSET|Equity|34.9|0.54|NUE| Nucor Corporation| 1.55%| North America|Equity|Large Cap Blend Equities||DFND|6|9.ASSET|Equity|34.9|0.53|MCK| McKesson Corporation| 1.53%| North America|Equity|Large Cap Blend Equities||DFND|6|10.ASSET|Equity|34.9|0.52|TXN| Texas Instruments Incorporated| 1.48%| North America|Equity|Large Cap Blend Equities||DFND|6|11.ASSET|Equity|34.9|0.52|BRO| Brown & Brown, Inc.| 1.48%| North America|Equity|Large Cap Blend Equities||DFND|6|12.ASSET|Equity|34.9|0.51|WST| West Pharmaceutical Services, Inc.| 1.46%| North America|Equity|Large Cap Blend Equities||DFND|6|13.ASSET|Equity|34.9|0.49|LRCX| Lam Research Corporation| 1.39%| North America|Equity|Large Cap Blend Equities||DFND|6|14.ASSET|Equity|34.9|0.48|HSY| Hershey Company| 1.38%| North America|Equity|Large Cap Blend Equities||DFND|6|15.ASSET|Equity|34.9|0.47|ZTS| Zoetis, Inc. Class A| 1.36%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|1.ASSET|Bond|34.8|2.43|N/A| United States Treasury Notes 2.375% 29-FEB-2024| 6.98%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|2.ASSET|Bond|34.8|2.42|N/A| United States Treasury Notes 2.375% 29-FEB-2024| 6.95%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|3.ASSET|Bond|34.8|2.29|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 6.59%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|4.ASSET|Bond|34.8|2.29|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 6.59%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|5.ASSET|Bond|34.8|1.69|N/A| United States Treasury Notes 0.25% 31-MAY-2025| 4.87%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|6.ASSET|Bond|34.8|1.69|N/A| United States Treasury Notes 0.25% 31-MAY-2025| 4.86%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|7.ASSET|Bond|34.8|1.24|N/A| United States Treasury Notes 0.5% 31-MAR-2025| 3.57%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|8.ASSET|Bond|34.8|1.24|N/A| United States Treasury Notes 0.5% 31-MAR-2025| 3.57%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|9.ASSET|Bond|34.8|1.21|N/A| United States Treasury Notes 0.25% 15-JUN-2023| 3.48%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|10.ASSET|Bond|34.8|1.2|N/A| United States Treasury Notes 0.25% 15-JUN-2023| 3.46%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|11.ASSET|Bond|34.8|1.14|N/A| United States Treasury Bond 7.5% 15-NOV-2024| 3.27%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|12.ASSET|Bond|34.8|1.13|N/A| United States Treasury Bond 7.5% 15-NOV-2024| 3.26%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|13.ASSET|Bond|34.8|0.76|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 2.17%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|14.ASSET|Bond|34.8|0.76|N/A| United States Treasury Notes 0.75% 31-MAY-2026| 2.17%| Developed Markets|Bond|Total Bond Market|Total Bond Market|BBSA|6|15.ASSET|Bond|34.8|0.73|N/A| United States Treasury Notes 1.625% 15-DEC-2022| 2.11%| North America|Equity|Volatility Hedged Equity||KOCT|6|1.ASSET|Equity|41.4|41.4|N/A| Cash Component| 100.00%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|1.ASSET|Bond|43|0.96|N/A| Ohio St 5.0% 15-SEP-2023| 2.24%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|2.ASSET|Bond|43|0.64|N/A| Lower Colo Riv Auth Tex Transmission Contract Rev 5.0% 15-MAY-2023| 1.49%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|3.ASSET|Bond|43|0.62|N/A| Colorado St Ctfs Partn 5.0% 15-DEC-2023| 1.44%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|4.ASSET|Bond|43|0.6|N/A| Los Angeles Calif Dept Wtr & Pwr Rev 5.0% 01-JUL-2029| 1.39%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|5.ASSET|Bond|43|0.55|N/A| Triborough Brdg & Tunl Auth N Y Revs 5.0% 15-NOV-2024| 1.29%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|6.ASSET|Bond|43|0.54|N/A| California St Dept Wtr Res Cent Vy Proj Rev 5.0% 01-DEC-2023| 1.25%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|7.ASSET|Bond|43|0.54|N/A| Connecticut St Spl Tax Oblig Rev 5.0% 01-OCT-2026| 1.25%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|8.ASSET|Bond|43|0.54|N/A| Jea Fla Wtr & Swr Sys Rev 5.0% 01-OCT-2023| 1.25%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|9.ASSET|Bond|43|0.53|N/A| Illinois Fin Auth Rev 5.25% 01-JUL-2044| 1.24%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|10.ASSET|Bond|43|0.53|N/A| San Jose Calif Fing Auth Lease Rev 5.0% 01-JUN-2030| 1.23%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|11.ASSET|Bond|43|0.53|N/A| Maryland St 4.0% 01-AUG-2023| 1.23%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|12.ASSET|Bond|43|0.52|N/A| Private Colleges & Univs Auth Ga Rev 5.0% 01-OCT-2043| 1.21%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|13.ASSET|Bond|43|0.47|N/A| New York N Y 5.0% 01-AUG-2023| 1.10%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|14.ASSET|Bond|43|0.43|N/A| Battery Pk City Auth N Y Rev 5.0% 01-NOV-2025| 1.00%| North America|Bond|National Munis|Target Maturity Date Munis|BSMN|6|15.ASSET|Bond|43|0.43|N/A| Montgomery Cnty Ohio Rev 5.25% 01-MAY-2029| 1.00%| Global|Equity|n/a||HJEN|6|1.ASSET|Equity|35.9|3.91|BE| Bloom Energy Corporation Class A| 10.89%| Global|Equity|n/a||HJEN|6|2.ASSET|Equity|35.9|3.27|PLUG| Plug Power Inc.| 9.10%| Global|Equity|n/a||HJEN|6|3.ASSET|Equity|35.9|3.03|BLDP| Ballard Power Systems Inc.| 8.44%| Global|Equity|n/a||HJEN|6|4.ASSET|Equity|35.9|2.57|AI| Air Liquide SA| 7.17%| Global|Equity|n/a||HJEN|6|5.ASSET|Equity|35.9|2.38|FCEL| FuelCell Energy, Inc.| 6.62%| Global|Equity|n/a||HJEN|6|6.ASSET|Equity|35.9|2.18|LIN| Linde plc| 6.08%| Global|Equity|n/a||HJEN|6|7.ASSET|Equity|35.9|1.71|PCELL| PowerCell Sweden AB| 4.77%| Global|Equity|n/a||HJEN|6|8.ASSET|Equity|35.9|1.62|ITM| ITM Power PLC| 4.51%| Global|Equity|n/a||HJEN|6|9.ASSET|Equity|35.9|1.56|5019| Idemitsu Kosan Co., Ltd.| 4.34%| Global|Equity|n/a||HJEN|6|10.ASSET|Equity|35.9|1.55|5020| ENEOS Holdings, Inc.| 4.33%| Global|Equity|n/a||HJEN|6|11.ASSET|Equity|35.9|1.55|CWR| Ceres Power Holdings plc| 4.33%| Global|Equity|n/a||HJEN|6|12.ASSET|Equity|35.9|1.48|336260| Doosan Fuel Cell Co., Ltd.| 4.12%| Global|Equity|n/a||HJEN|6|13.ASSET|Equity|35.9|1.26|APD| Air Products and Chemicals, Inc.| 3.50%| Global|Equity|n/a||HJEN|6|14.ASSET|Equity|35.9|1.17|PTTGC| PTT Global Chemical Public Company Ltd| 3.26%| Global|Equity|n/a||HJEN|6|15.ASSET|Equity|35.9|1.01|MCPHY| McPhy Energy SA| 2.81%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|1.ASSET|Equity|24.7|0.42|N/A| U.S. Dollar| 1.72%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|2.ASSET|Equity|24.7|0.27|MIRM| Mirum Pharmaceuticals, Inc.| 1.11%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|3.ASSET|Equity|24.7|0.24|RXDX| Prometheus Biosciences, Inc| 0.99%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|4.ASSET|Equity|24.7|0.24|MDGL| Madrigal Pharmaceuticals, Inc.| 0.98%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|5.ASSET|Equity|24.7|0.23|KURA| Kura Oncology, Inc.| 0.94%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|6.ASSET|Equity|24.7|0.23|IMGO| Imago BioSciences, Inc.| 0.93%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|7.ASSET|Equity|24.7|0.22|XENE| Xenon Pharmaceuticals Inc.| 0.90%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|8.ASSET|Equity|24.7|0.22|KALV| KalVista Pharmaceuticals, Inc.| 0.88%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|9.ASSET|Equity|24.7|0.21|KZR| Kezar Life Sciences Inc| 0.86%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|10.ASSET|Equity|24.7|0.21|ARQT| Arcutis Biotherapeutics Inc| 0.85%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|11.ASSET|Equity|24.7|0.21|IBRX| ImmunityBio Inc| 0.84%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|12.ASSET|Equity|24.7|0.21|RETA| Reata Pharmaceuticals, Inc. Class A| 0.83%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|13.ASSET|Equity|24.7|0.2|RLMD| Relmada Therapeutics Inc| 0.81%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|14.ASSET|Equity|24.7|0.2|ISEE| IVERIC bio, Inc.| 0.81%| North America|Equity|Health & Biotech Equities|Healthcare|BBC|6|15.ASSET|Equity|24.7|0.2|KROS| Keros Therapeutics, Inc.| 0.81%| North America|Multi-Asset|Hedge Fund||RORO|6|1.ASSET|Multi-Asset|23.4|15.26|SCHG| Schwab U.S. Large-Cap Growth ETF| 65.22%| North America|Multi-Asset|Hedge Fund||RORO|6|2.ASSET|Multi-Asset|23.4|4.68|VB| Vanguard Small-Cap ETF| 19.99%| North America|Multi-Asset|Hedge Fund||RORO|6|3.ASSET|Multi-Asset|23.4|3.43|URTY| ProShares UltraPro Russell2000| 14.65%| North America|Multi-Asset|Hedge Fund||RORO|6|4.ASSET|Multi-Asset|23.4|0.02|N/A| U.S. Dollar| 0.08%| North America|Multi-Asset|Hedge Fund||RORO|6|5.ASSET|Multi-Asset|23.4|0.01|FGXXX| First American Funds Inc X Government Obligations Fund| 0.06%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|1.ASSET|Equity|30.9|2.13|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.89%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|2.ASSET|Equity|30.9|1.35|700| Tencent Holdings Ltd.| 4.36%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|3.ASSET|Equity|30.9|1.15|005930| Samsung Electronics Co., Ltd.| 3.73%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|4.ASSET|Equity|30.9|0.82|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 2.65%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|5.ASSET|Equity|30.9|0.41|500325| Reliance Industries Limited| 1.32%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|6.ASSET|Equity|30.9|0.36|3690| Meituan Class B| 1.18%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|7.ASSET|Equity|30.9|0.32|EWM| iShares MSCI Malaysia ETF| 1.05%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|8.ASSET|Equity|30.9|0.3|500209| Infosys Limited| 0.98%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|9.ASSET|Equity|30.9|0.28|939| China Construction Bank Corporation Class H| 0.92%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|10.ASSET|Equity|30.9|0.28|VALE3| Vale S.A.| 0.92%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|11.ASSET|Equity|30.9|0.28|JD| JD.com, Inc. Sponsored ADR Class A| 0.90%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|12.ASSET|Equity|30.9|0.23|2454| MediaTek Inc| 0.75%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|13.ASSET|Equity|30.9|0.21|1120| Al Rajhi Bank| 0.69%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|14.ASSET|Equity|30.9|0.21|532174| ICICI Bank Limited| 0.67%| Emerging Markets|Equity|Asia Pacific Equities||GSEE|6|15.ASSET|Equity|30.9|0.2|500010| Housing Development Finance Corporation Limited| 0.66%| North America|Multi-Asset|n/a||XYLG|6|1.ASSET|Multi-Asset|39.9|2.82|AAPL| Apple Inc.| 7.08%| North America|Multi-Asset|n/a||XYLG|6|2.ASSET|Multi-Asset|39.9|2.45|MSFT| Microsoft Corporation| 6.15%| North America|Multi-Asset|n/a||XYLG|6|3.ASSET|Multi-Asset|39.9|1.44|AMZN| Amazon.com, Inc.| 3.62%| North America|Multi-Asset|n/a||XYLG|6|4.ASSET|Multi-Asset|39.9|0.88|GOOGL| Alphabet Inc. Class A| 2.21%| North America|Multi-Asset|n/a||XYLG|6|5.ASSET|Multi-Asset|39.9|0.82|GOOG| Alphabet Inc. Class C| 2.06%| North America|Multi-Asset|n/a||XYLG|6|6.ASSET|Multi-Asset|39.9|0.77|TSLA| Tesla Inc| 1.94%| North America|Multi-Asset|n/a||XYLG|6|7.ASSET|Multi-Asset|39.9|0.66|NVDA| NVIDIA Corporation| 1.65%| North America|Multi-Asset|n/a||XYLG|6|8.ASSET|Multi-Asset|39.9|0.65|BRK.B| Berkshire Hathaway Inc. Class B| 1.62%| North America|Multi-Asset|n/a||XYLG|6|9.ASSET|Multi-Asset|39.9|0.53|FB| Meta Platforms Inc. Class A| 1.34%| North America|Multi-Asset|n/a||XYLG|6|10.ASSET|Multi-Asset|39.9|0.5|UNH| UnitedHealth Group Incorporated| 1.25%| North America|Multi-Asset|n/a||XYLG|6|11.ASSET|Multi-Asset|39.9|0.47|JNJ| Johnson & Johnson| 1.19%| North America|Multi-Asset|n/a||XYLG|6|12.ASSET|Multi-Asset|39.9|0.45|JPM| JPMorgan Chase & Co.| 1.12%| North America|Multi-Asset|n/a||XYLG|6|13.ASSET|Multi-Asset|39.9|0.4|PG| Procter & Gamble Company| 1.01%| North America|Multi-Asset|n/a||XYLG|6|14.ASSET|Multi-Asset|39.9|0.38|V| Visa Inc. Class A| 0.95%| North America|Multi-Asset|n/a||XYLG|6|15.ASSET|Multi-Asset|39.9|0.38|HD| Home Depot, Inc.| 0.94%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|1.ASSET|Equity|74.4|6.3|BBRI| PT Bank Rakyat Indonesia (Persero) Tbk Class B| 8.47%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|2.ASSET|Equity|74.4|6.22|BBCA| PT Bank Central Asia Tbk| 8.36%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|3.ASSET|Equity|74.4|5.32|TLK| PT Telkom Indonesia (Persero) Tbk Sponsored ADR Class B| 7.15%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|4.ASSET|Equity|74.4|5.01|BMRI| PT Bank Mandiri (Persero) Tbk| 6.74%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|5.ASSET|Equity|74.4|4.14|ASII| PT Astra International Tbk| 5.56%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|6.ASSET|Equity|74.4|3.04|ARTO| PT Bank Jago Tbk| 4.08%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|7.ASSET|Equity|74.4|2.89|BBNI| PT Bank Negara Indonesia (Persero) Tbk Class B| 3.88%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|8.ASSET|Equity|74.4|2.63|TPIA| PT Chandra Asri Petrochemical Tbk| 3.54%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|9.ASSET|Equity|74.4|2.4|MDKA| PT Merdeka Copper Gold Tbk| 3.23%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|10.ASSET|Equity|74.4|2.07|ADRO| PT Adaro Energy Indonesia Tbk| 2.78%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|11.ASSET|Equity|74.4|2.05|CPIN| PT Charoen Pokphand Indonesia Tbk| 2.75%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|12.ASSET|Equity|74.4|1.9|UNTR| PT United Tractors Tbk| 2.55%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|13.ASSET|Equity|74.4|1.68|BANPU.R| Banpu Public Co. Ltd. NVDR| 2.26%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|14.ASSET|Equity|74.4|1.6|EMTK| PT Elang Mahkota Teknologi Tbk| 2.15%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IDX|6|15.ASSET|Equity|74.4|1.56|KLBF| PT Kalbe Farma Tbk| 2.10%| North America|Equity|Leveraged Equities|Energy|NRGD|6|1.ASSET|Equity|57.9|115.8|N/A| Cash Component| 200.00%| North America|Equity|Leveraged Equities|Energy|NRGD|6|2.ASSET|Equity|57.9|-5.47|COP| ConocoPhillips| -9.44%| North America|Equity|Leveraged Equities|Energy|NRGD|6|3.ASSET|Equity|57.9|-5.56|PSX| Phillips 66| -9.61%| North America|Equity|Leveraged Equities|Energy|NRGD|6|4.ASSET|Equity|57.9|-5.59|CVX| Chevron Corp| -9.66%| North America|Equity|Leveraged Equities|Energy|NRGD|6|5.ASSET|Equity|57.9|-5.69|XOM| Exxon Mobil Corp| -9.83%| North America|Equity|Leveraged Equities|Energy|NRGD|6|6.ASSET|Equity|57.9|-5.71|OXY| Occidental Petroleum Corp| -9.86%| North America|Equity|Leveraged Equities|Energy|NRGD|6|7.ASSET|Equity|57.9|-5.81|MPC| Marathon Petroleum Corp| -10.04%| North America|Equity|Leveraged Equities|Energy|NRGD|6|8.ASSET|Equity|57.9|-5.82|VLO| Valero Energy Corp| -10.06%| North America|Equity|Leveraged Equities|Energy|NRGD|6|9.ASSET|Equity|57.9|-6.18|EOG| EOG Resources Inc| -10.68%| North America|Equity|Leveraged Equities|Energy|NRGD|6|10.ASSET|Equity|57.9|-6.21|PXD| Pioneer Natural Resources Co| -10.72%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|1.ASSET|Bond|32.1|10.24|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 31.89%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|2.ASSET|Bond|32.1|1.51|N/A| Ginnie Mae REMIC Trust 2010-061 KE 5.0% 16-MAY-2040| 4.70%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|3.ASSET|Bond|32.1|1.2|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-1508 A2 3.9% 25-DEC-2030| 3.74%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|4.ASSET|Bond|32.1|1.16|N/A| Fannie Mae REMIC Trust 2005-74 NZ 6.0% 25-SEP-2035| 3.62%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|5.ASSET|Bond|32.1|1.08|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-1508 A3 3.9% 25-OCT-2033| 3.36%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|6.ASSET|Bond|32.1|0.97|N/A| Fannie Mae REMIC Trust 2015-66 CL 3.5% 25-JUL-2041| 3.01%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|7.ASSET|Bond|32.1|0.96|N/A| UMBS TBA 10yr 12% February Delivery 2.500% 01-JAN-2052| 2.99%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|8.ASSET|Bond|32.1|0.78|N/A| United States Treasury Bond 1.25% 15-MAY-2050| 2.43%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|9.ASSET|Bond|32.1|0.72|N/A| Fannie Mae REMIC Trust 2016-101 ZP 3.5% 25-JAN-2047| 2.24%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|10.ASSET|Bond|32.1|0.7|N/A| Ginnie Mae Multifamily REMIC Trust 2020-159 Z 2.5% 16-OCT-2062| 2.18%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|11.ASSET|Bond|32.1|0.64|N/A| Fannie Mae REMIC Trust 2020-17 L 2.5% 25-MAR-2050| 1.99%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|12.ASSET|Bond|32.1|0.63|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-124 XAM 0.936162% 25-JAN-2031| 1.95%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|13.ASSET|Bond|32.1|0.63|N/A| Ginnie Mae Multifamily REMIC Trust 2020-145 BD 2.3% 16-MAR-2063| 1.95%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|14.ASSET|Bond|32.1|0.63|N/A| FIXED INCOME (UNCLASSFIED)| 1.95%| North America|Bond|Mortgage Backed Securities|Mortgage-Backed|LGOV|6|15.ASSET|Bond|32.1|0.63|N/A| Freddie Mac Structured Pass-Through Certificates, Series K-123 XAM 0.976612% 25-DEC-2030| 1.95%| North America|Equity|Large Cap Blend Equities||RWVG|6|1.ASSET|Equity|28.6|27.78|IWD| iShares Russell 1000 Value ETF| 97.14%| North America|Equity|Large Cap Blend Equities||RWVG|6|2.ASSET|Equity|28.6|1.96|DGCXX| Dreyfus Government Cash Management Funds Institutional| 6.86%| North America|Equity|Large Cap Blend Equities||RWVG|6|3.ASSET|Equity|28.6|0.03|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 0.10%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|1.ASSET|Equity|3|1.07|SSA| Sistema PJSFC Sponsored GDR RegS| 35.56%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|2.ASSET|Equity|3|0.27|RASP| Raspadskaya PJSC| 9.06%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|3.ASSET|Equity|3|0.21|EUA| Eurasia Mining plc| 6.86%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|4.ASSET|Equity|3|0.15|POG| Petropavlovsk PLC| 5.06%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|5.ASSET|Equity|3|0.13|CBOM| CREDIT BANK OF MOSCOW (public joint-stock company)| 4.38%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|6.ASSET|Equity|3|0.12|DSKY| Public Joint Stock Company Detsky mir| 4.00%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|7.ASSET|Equity|3|0.1|GLTR| Globaltrans Investment Plc Sponsored GDR RegS| 3.31%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|8.ASSET|Equity|3|0.09|N/A| U.S. Dollar| 2.97%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|9.ASSET|Equity|3|0.08|AFLT| Aeroflot-Russian Airlines PJSC| 2.81%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|10.ASSET|Equity|3|0.08|SGZH| Segezha Group PJSC| 2.80%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|11.ASSET|Equity|3|0.08|AGRO| Ros Agro Plc GDR RegS| 2.72%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|12.ASSET|Equity|3|0.07|LSRG| Group LSR OJSC| 2.17%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|13.ASSET|Equity|3|0.05|FLOT| Sovcomflot PAO| 1.81%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|14.ASSET|Equity|3|0.05|SMLT| Samolet Group PJSC| 1.78%| Emerging Europe|Equity|Emerging Markets Equities||RSXJ|6|15.ASSET|Equity|3|0.05|UPRO| Unipro PJSC| 1.64%| Emerging Markets|Equity|n/a||EAPR|6|1.ASSET|Equity|28.4|28.38|N/A| OPTIONS| 99.94%| Emerging Markets|Equity|n/a||EAPR|6|2.ASSET|Equity|28.4|28.38|N/A| OPTIONS| 99.94%| Emerging Markets|Equity|n/a||EAPR|6|3.ASSET|Equity|28.4|0.02|N/A| U.S. Dollar| 0.06%| Emerging Markets|Equity|n/a||EAPR|6|4.ASSET|Equity|28.4|0.02|N/A| U.S. Dollar| 0.06%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|1.ASSET|Bond|32.7|1.25|N/A| Government of Qatar 3.875% 23-APR-2023| 3.82%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|2.ASSET|Bond|32.7|1.22|N/A| Government of Qatar 3.875% 23-APR-2023| 3.72%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|3.ASSET|Bond|32.7|0.6|N/A| Emirate of Abu Dhabi (United Arab Emirates) 0.75% 02-SEP-2023| 1.84%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|4.ASSET|Bond|32.7|0.59|N/A| Emirate of Abu Dhabi (United Arab Emirates) 0.75% 02-SEP-2023| 1.79%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|5.ASSET|Bond|32.7|0.58|N/A| Emirate of Abu Dhabi (United Arab Emirates) 0.75% 02-SEP-2023| 1.76%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|6.ASSET|Bond|32.7|0.56|N/A| Emirate of Abu Dhabi (United Arab Emirates) 0.75% 02-SEP-2023| 1.71%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|7.ASSET|Bond|32.7|0.52|N/A| Itau Unibanco Holding SA (Cayman Islands) 5.125% 13-MAY-2023| 1.60%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|8.ASSET|Bond|32.7|0.52|N/A| Government of Hungary 5.375% 21-FEB-2023| 1.60%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|9.ASSET|Bond|32.7|0.52|N/A| Perusahaan Penerbit SBSN Indonesia III 3.75% 01-MAR-2023| 1.58%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|10.ASSET|Bond|32.7|0.52|N/A| Government of Turkey 7.25% 23-DEC-2023| 1.58%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|11.ASSET|Bond|32.7|0.51|N/A| Government of Indonesia 2.95% 11-JAN-2023| 1.57%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|12.ASSET|Bond|32.7|0.51|N/A| Asian Development Bank 1.625% 24-JAN-2023| 1.56%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|13.ASSET|Bond|32.7|0.51|N/A| Hazine Mustesarligi Varlik Kiralama Anonim Sirketi 5.004% 06-APR-2023| 1.55%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|14.ASSET|Bond|32.7|0.51|N/A| Itau Unibanco Holding SA (Cayman Islands) 5.125% 13-MAY-2023| 1.55%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSCE|6|15.ASSET|Bond|32.7|0.51|N/A| Government of Hungary 5.375% 21-FEB-2023| 1.55%| North America|Volatility|Volatility Hedged Equity||AZAL|6|1.ASSET|Volatility|14.9|15.05|N/A| OPTIONS| 101.01%| North America|Volatility|Volatility Hedged Equity||AZAL|6|2.ASSET|Volatility|14.9|-0.15|N/A| U.S. Dollar| -1.01%| North America|Multi-Asset|Target Retirement Date||IDIV|6|1.ASSET|Multi-Asset|33.1|6.06|N/A| United States Treasury Notes 2.25% 15-NOV-2027| 18.32%| North America|Multi-Asset|Target Retirement Date||IDIV|6|2.ASSET|Multi-Asset|33.1|5.89|N/A| United States Treasury Notes 2.0% 15-NOV-2026| 17.80%| North America|Multi-Asset|Target Retirement Date||IDIV|6|3.ASSET|Multi-Asset|33.1|5.69|N/A| United States Treasury Notes 2.25% 15-NOV-2025| 17.19%| North America|Multi-Asset|Target Retirement Date||IDIV|6|4.ASSET|Multi-Asset|33.1|5.44|N/A| United States Treasury Notes 2.25% 15-NOV-2024| 16.42%| North America|Multi-Asset|Target Retirement Date||IDIV|6|5.ASSET|Multi-Asset|33.1|5.02|N/A| United States Treasury Notes 2.25% 31-DEC-2023| 15.17%| North America|Multi-Asset|Target Retirement Date||IDIV|6|6.ASSET|Multi-Asset|33.1|3.96|N/A| United States Treasury Notes 2.125% 31-DEC-2022| 11.96%| North America|Multi-Asset|Target Retirement Date||IDIV|6|7.ASSET|Multi-Asset|33.1|1.04|N/A| U.S. Dollar| 3.14%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|1.ASSET|Equity|29.6|2.25|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.59%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|2.ASSET|Equity|29.6|1.42|700| Tencent Holdings Ltd.| 4.79%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|3.ASSET|Equity|29.6|1.22|005930| Samsung Electronics Co., Ltd.| 4.12%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|4.ASSET|Equity|29.6|0.83|9988| Alibaba Group Holding Ltd.| 2.79%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|5.ASSET|Equity|29.6|0.54|1299| AIA Group Limited| 1.82%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|6.ASSET|Equity|29.6|0.45|500325| Reliance Industries Limited| 1.53%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|7.ASSET|Equity|29.6|0.38|3690| Meituan Class B| 1.30%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|8.ASSET|Equity|29.6|0.35|500209| Infosys Limited| 1.18%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|9.ASSET|Equity|29.6|0.3|939| China Construction Bank Corporation Class H| 1.03%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|10.ASSET|Equity|29.6|0.26|388| Hong Kong Exchanges & Clearing Ltd.| 0.88%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|11.ASSET|Equity|29.6|0.25|2454| MediaTek Inc| 0.84%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|12.ASSET|Equity|29.6|0.25|9618| JD.com, Inc. Class A| 0.83%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|13.ASSET|Equity|29.6|0.23|000660| SK hynix Inc| 0.79%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|14.ASSET|Equity|29.6|0.23|500010| Housing Development Finance Corporation Limited| 0.78%| Broad Asia|Equity|Asia Pacific Equities||FLAX|6|15.ASSET|Equity|29.6|0.21|532540| Tata Consultancy Services Limited| 0.72%| North America|Equity|Large Cap Blend Equities||UMAR|6|1.ASSET|Equity|30.6|30.36|N/A| OPTIONS| 99.20%| North America|Equity|Large Cap Blend Equities||UMAR|6|2.ASSET|Equity|30.6|30.32|N/A| OPTIONS| 99.09%| North America|Equity|Large Cap Blend Equities||UMAR|6|3.ASSET|Equity|30.6|0.28|N/A| U.S. Dollar| 0.91%| North America|Equity|Large Cap Blend Equities||UMAR|6|4.ASSET|Equity|30.6|0.24|N/A| U.S. Dollar| 0.80%| Global|Alternatives|Long-Short||KMLM|6|1.ASSET|Alternatives|43.7|27.39|SCHO| Schwab Short-Term US Treasury ETF| 62.68%| Global|Alternatives|Long-Short||KMLM|6|2.ASSET|Alternatives|43.7|9.13|N/A| MUTUAL FUND (OTHER)| 20.89%| Global|Alternatives|Long-Short||KMLM|6|3.ASSET|Alternatives|43.7|7.17|N/A| U.S. Dollar| 16.41%| Global|Alternatives|Long-Short||KMLM|6|4.ASSET|Alternatives|43.7|0.01|N/A| FUTURES| 0.02%| North America|Equity|Small Cap Blend Equities||KSCD|6|1.ASSET|Equity|36.4|1.09|ANDE| Andersons, Inc.| 3.00%| North America|Equity|Small Cap Blend Equities||KSCD|6|2.ASSET|Equity|36.4|0.97|SPTN| SpartanNash Company| 2.66%| North America|Equity|Small Cap Blend Equities||KSCD|6|3.ASSET|Equity|36.4|0.92|UVV| Universal Corp| 2.53%| North America|Equity|Small Cap Blend Equities||KSCD|6|4.ASSET|Equity|36.4|0.88|FULT| Fulton Financial Corporation| 2.43%| North America|Equity|Small Cap Blend Equities||KSCD|6|5.ASSET|Equity|36.4|0.87|LKFN| Lakeland Financial Corporation| 2.40%| North America|Equity|Small Cap Blend Equities||KSCD|6|6.ASSET|Equity|36.4|0.87|ASB| Associated Banc-Corp| 2.38%| North America|Equity|Small Cap Blend Equities||KSCD|6|7.ASSET|Equity|36.4|0.86|SWX| Southwest Gas Holdings, Inc.| 2.35%| North America|Equity|Small Cap Blend Equities||KSCD|6|8.ASSET|Equity|36.4|0.86|BKH| Black Hills Corporation| 2.35%| North America|Equity|Small Cap Blend Equities||KSCD|6|9.ASSET|Equity|36.4|0.85|ATRI| Atrion Corporation| 2.34%| North America|Equity|Small Cap Blend Equities||KSCD|6|10.ASSET|Equity|36.4|0.85|GATX| GATX Corporation| 2.33%| North America|Equity|Small Cap Blend Equities||KSCD|6|11.ASSET|Equity|36.4|0.84|LMAT| LeMaitre Vascular, Inc.| 2.31%| North America|Equity|Small Cap Blend Equities||KSCD|6|12.ASSET|Equity|36.4|0.83|APOG| Apogee Enterprises, Inc.| 2.29%| North America|Equity|Small Cap Blend Equities||KSCD|6|13.ASSET|Equity|36.4|0.83|TR| Tootsie Roll Industries, Inc.| 2.28%| North America|Equity|Small Cap Blend Equities||KSCD|6|14.ASSET|Equity|36.4|0.83|CPK| Chesapeake Utilities Corporation| 2.27%| North America|Equity|Small Cap Blend Equities||KSCD|6|15.ASSET|Equity|36.4|0.82|PFC| Premier Financial Corp.| 2.26%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|1.ASSET|Multi-Asset|34|3.56|AAAU| Goldman Sachs Physical Gold ETF| 10.46%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|2.ASSET|Multi-Asset|34|3.51|VHT| Vanguard Health Care ETF| 10.31%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|3.ASSET|Multi-Asset|34|3.46|VPU| Vanguard Utilities ETF| 10.18%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|4.ASSET|Multi-Asset|34|3.41|VIG| Vanguard Dividend Appreciation ETF| 10.02%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|5.ASSET|Multi-Asset|34|3.38|VGIT| Vanguard Intermediate-Term Treasury ETF| 9.93%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|6.ASSET|Multi-Asset|34|3.37|BSV| Vanguard Short-Term Bond ETF| 9.92%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|7.ASSET|Multi-Asset|34|3.35|BIV| Vanguard Intermediate-Term Bond ETF| 9.86%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|8.ASSET|Multi-Asset|34|3.33|BND| Vanguard Total Bond Market ETF| 9.80%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|9.ASSET|Multi-Asset|34|3.29|VGLT| Vanguard Long-Term Treasury ETF| 9.68%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|10.ASSET|Multi-Asset|34|3.25|BLV| Vanguard Long-Term Bond ETF| 9.55%| North America|Multi-Asset|Diversified Portfolio||TDSA|6|11.ASSET|Multi-Asset|34|0.1|N/A| MUTUAL FUND (OTHER)| 0.28%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|1.ASSET|Equity|93.1|2.61|AAL| Anglo American plc| 2.80%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|2.ASSET|Equity|93.1|2.45|CNQ| Canadian Natural Resources Limited| 2.63%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|3.ASSET|Equity|93.1|2.35|EQNR| Equinor ASA Sponsored ADR| 2.52%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|4.ASSET|Equity|93.1|2.31|RIO| Rio Tinto plc Sponsored ADR| 2.48%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|5.ASSET|Equity|93.1|2.15|BHP| BHP Group Limited Sponsored ADR| 2.31%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|6.ASSET|Equity|93.1|2.11|SHEL| Shell PLC Sponsored ADR| 2.27%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|7.ASSET|Equity|93.1|2.1|VOD| Vodafone Group Plc Sponsored ADR| 2.26%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|8.ASSET|Equity|93.1|2.08|SU| Suncor Energy Inc.| 2.23%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|9.ASSET|Equity|93.1|2|9433| KDDI Corporation| 2.15%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|10.ASSET|Equity|93.1|1.98|NTDOY| Nintendo Co., Ltd. Unsponsored ADR| 2.13%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|11.ASSET|Equity|93.1|1.95|TAK| Takeda Pharmaceutical Co. Ltd. Sponsored ADR| 2.09%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|12.ASSET|Equity|93.1|1.93|8001| Itochu Corporation| 2.07%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|13.ASSET|Equity|93.1|1.9|MT| ArcelorMittal SA| 2.04%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|14.ASSET|Equity|93.1|1.9|FMG| Fortescue Metals Group Ltd| 2.04%| Developed Markets|Equity|Foreign Large Cap Equities||ICOW|6|15.ASSET|Equity|93.1|1.88|9432| Nippon Telegraph and Telephone Corporation| 2.02%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|1.ASSET|Multi-Asset|38.3|7.48|SRET| Global X SuperDividend REIT ETF| 19.53%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|2.ASSET|Multi-Asset|38.3|7.44|PFFD| Global X U.S. Preferred ETF| 19.42%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|3.ASSET|Multi-Asset|38.3|7.35|QYLD| Global X NASDAQ 100 Covered Call ETF| 19.20%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|4.ASSET|Multi-Asset|38.3|7.35|EMBD| Global X Emerging Markets Bond ETF| 19.19%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|5.ASSET|Multi-Asset|38.3|0.62|BPMP| BP Midstream Partners LP| 1.62%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|6.ASSET|Multi-Asset|38.3|0.6|ED| Consolidated Edison, Inc.| 1.56%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|7.ASSET|Multi-Asset|38.3|0.59|MPLX| MPLX LP| 1.54%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|8.ASSET|Multi-Asset|38.3|0.59|SUN| Sunoco LP| 1.53%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|9.ASSET|Multi-Asset|38.3|0.58|EPD| Enterprise Products Partners L.P.| 1.52%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|10.ASSET|Multi-Asset|38.3|0.58|EIX| Edison International| 1.51%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|11.ASSET|Multi-Asset|38.3|0.57|OGE| OGE Energy Corp.| 1.49%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|12.ASSET|Multi-Asset|38.3|0.55|D| Dominion Energy Inc| 1.43%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|13.ASSET|Multi-Asset|38.3|0.55|IEP| Icahn Enterprises L.P.| 1.43%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|14.ASSET|Multi-Asset|38.3|0.54|MMP| Magellan Midstream Partners, L.P.| 1.41%| North America|Multi-Asset|Small Cap Blend Equities||ALTY|6|15.ASSET|Multi-Asset|38.3|0.53|ETR| Entergy Corporation| 1.38%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|1.ASSET|Equity|26.8|2|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.47%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|2.ASSET|Equity|26.8|1.28|700| Tencent Holdings Ltd.| 4.76%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|3.ASSET|Equity|26.8|1.1|005930| Samsung Electronics Co., Ltd.| 4.10%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|4.ASSET|Equity|26.8|0.35|500209| Infosys Limited| 1.31%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|5.ASSET|Equity|26.8|0.28|JD| JD.com, Inc. Sponsored ADR Class A| 1.05%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|6.ASSET|Equity|26.8|0.26|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.96%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|7.ASSET|Equity|26.8|0.25|000660| SK hynix Inc| 0.94%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|8.ASSET|Equity|26.8|0.23|2454| MediaTek Inc| 0.87%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|9.ASSET|Equity|26.8|0.23|500010| Housing Development Finance Corporation Limited| 0.85%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|10.ASSET|Equity|26.8|0.22|532174| ICICI Bank Limited| 0.81%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|11.ASSET|Equity|26.8|0.21|2603| Evergreen Marine Corp. (Taiwan) Ltd.| 0.77%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|12.ASSET|Equity|26.8|0.2|ITUB4| Itau Unibanco Holding SA Pfd| 0.74%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|13.ASSET|Equity|26.8|0.2|BBCA| PT Bank Central Asia Tbk| 0.73%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|14.ASSET|Equity|26.8|0.18|1211| BYD Company Limited Class H| 0.68%| Broad Asia|Equity|Asia Pacific Equities||RESE|6|15.ASSET|Equity|26.8|0.18|2331| Li Ning Company Limited| 0.67%| North America|Multi-Asset|Target Retirement Date||XDIV|6|1.ASSET|Multi-Asset|34|34|N/A| U.S. Dollar| 100.00%| North America|Equity|All Cap Equities||ALFA|6|1.ASSET|Equity|27.1|0.67|LXU| LSB Industries, Inc.| 2.47%| North America|Equity|All Cap Equities||ALFA|6|2.ASSET|Equity|27.1|0.63|DVN| Devon Energy Corporation| 2.32%| North America|Equity|All Cap Equities||ALFA|6|3.ASSET|Equity|27.1|0.63|ONEM| 1Life Healthcare, Inc.| 2.31%| North America|Equity|All Cap Equities||ALFA|6|4.ASSET|Equity|27.1|0.63|TSLA| Tesla Inc| 2.31%| North America|Equity|All Cap Equities||ALFA|6|5.ASSET|Equity|27.1|0.62|ETSY| Etsy, Inc.| 2.29%| North America|Equity|All Cap Equities||ALFA|6|6.ASSET|Equity|27.1|0.62|APP| AppLovin Corp. Class A| 2.27%| North America|Equity|All Cap Equities||ALFA|6|7.ASSET|Equity|27.1|0.61|LAD| Lithia Motors, Inc.| 2.24%| North America|Equity|All Cap Equities||ALFA|6|8.ASSET|Equity|27.1|0.6|RIO| Rio Tinto plc Sponsored ADR| 2.21%| North America|Equity|All Cap Equities||ALFA|6|9.ASSET|Equity|27.1|0.6|WFG| West Fraser Timber Co. Ltd.| 2.21%| North America|Equity|All Cap Equities||ALFA|6|10.ASSET|Equity|27.1|0.59|PANW| Palo Alto Networks, Inc.| 2.19%| North America|Equity|All Cap Equities||ALFA|6|11.ASSET|Equity|27.1|0.59|MELI| MercadoLibre, Inc.| 2.19%| North America|Equity|All Cap Equities||ALFA|6|12.ASSET|Equity|27.1|0.59|CAR| Avis Budget Group, Inc.| 2.17%| North America|Equity|All Cap Equities||ALFA|6|13.ASSET|Equity|27.1|0.59|BLDR| Builders FirstSource, Inc.| 2.17%| North America|Equity|All Cap Equities||ALFA|6|14.ASSET|Equity|27.1|0.59|PWR| Quanta Services, Inc.| 2.16%| North America|Equity|All Cap Equities||ALFA|6|15.ASSET|Equity|27.1|0.58|JAMF| Jamf Holding Corp| 2.15%| North America|Equity|Large Cap Growth Equities||WOMN|6|1.ASSET|Equity|35.9|1.76|MSFT| Microsoft Corporation| 4.90%| North America|Equity|Large Cap Growth Equities||WOMN|6|2.ASSET|Equity|35.9|1.66|AMZN| Amazon.com, Inc.| 4.62%| North America|Equity|Large Cap Growth Equities||WOMN|6|3.ASSET|Equity|35.9|1.04|NVDA| NVIDIA Corporation| 2.89%| North America|Equity|Large Cap Growth Equities||WOMN|6|4.ASSET|Equity|35.9|0.97|FB| Meta Platforms Inc. Class A| 2.69%| North America|Equity|Large Cap Growth Equities||WOMN|6|5.ASSET|Equity|35.9|0.87|JNJ| Johnson & Johnson| 2.42%| North America|Equity|Large Cap Growth Equities||WOMN|6|6.ASSET|Equity|35.9|0.87|ADBE| Adobe Inc.| 2.41%| North America|Equity|Large Cap Growth Equities||WOMN|6|7.ASSET|Equity|35.9|0.79|CRM| salesforce.com, inc.| 2.19%| North America|Equity|Large Cap Growth Equities||WOMN|6|8.ASSET|Equity|35.9|0.78|ACN| Accenture Plc Class A| 2.16%| North America|Equity|Large Cap Growth Equities||WOMN|6|9.ASSET|Equity|35.9|0.75|PG| Procter & Gamble Company| 2.10%| North America|Equity|Large Cap Growth Equities||WOMN|6|10.ASSET|Equity|35.9|0.71|INTC| Intel Corporation| 1.99%| North America|Equity|Large Cap Growth Equities||WOMN|6|11.ASSET|Equity|35.9|0.7|QCOM| Qualcomm Inc| 1.94%| North America|Equity|Large Cap Growth Equities||WOMN|6|12.ASSET|Equity|35.9|0.69|V| Visa Inc. Class A| 1.93%| North America|Equity|Large Cap Growth Equities||WOMN|6|13.ASSET|Equity|35.9|0.63|XOM| Exxon Mobil Corporation| 1.75%| North America|Equity|Large Cap Growth Equities||WOMN|6|14.ASSET|Equity|35.9|0.6|BAC| Bank of America Corp| 1.66%| North America|Equity|Large Cap Growth Equities||WOMN|6|15.ASSET|Equity|35.9|0.59|MA| Mastercard Incorporated Class A| 1.63%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|1.ASSET|Equity|23.6|6.33|N/A| U.S. Dollar| 26.83%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|2.ASSET|Equity|23.6|1.74|DGCXX| Dreyfus Government Cash Management Funds Institutional| 7.39%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|3.ASSET|Equity|23.6|0.92|OGN| Organon & Co.| 3.91%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|4.ASSET|Equity|23.6|0.84|JAZZ| Jazz Pharmaceuticals Public Limited Company| 3.57%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|5.ASSET|Equity|23.6|0.82|BMY| Bristol-Myers Squibb Company| 3.49%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|6.ASSET|Equity|23.6|0.71|MRK| Merck & Co., Inc.| 3.02%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|7.ASSET|Equity|23.6|0.7|LLY| Eli Lilly and Company| 2.98%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|8.ASSET|Equity|23.6|0.7|PRGO| Perrigo Co. Plc| 2.96%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|9.ASSET|Equity|23.6|0.7|RPRX| Royalty Pharma Plc Class A| 2.96%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|10.ASSET|Equity|23.6|0.7|ELAN| Elanco Animal Health, Inc.| 2.96%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|11.ASSET|Equity|23.6|0.68|JNJ| Johnson & Johnson| 2.87%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|12.ASSET|Equity|23.6|0.62|SAVA| Cassava Sciences, Inc.| 2.63%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|13.ASSET|Equity|23.6|0.61|PFE| Pfizer Inc.| 2.58%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|14.ASSET|Equity|23.6|0.57|ZTS| Zoetis, Inc. Class A| 2.42%| Developed Markets|Equity|Leveraged Equities|Healthcare|PILL|6|15.ASSET|Equity|23.6|0.56|CTLT| Catalent Inc| 2.39%| Emerging Asia Pacific|Equity|China Equities||CN|6|1.ASSET|Equity|12.6|5.78|ASHX| Xtrackers MSCI China A Inclusion Equity ETF| 45.90%| Emerging Asia Pacific|Equity|China Equities||CN|6|2.ASSET|Equity|12.6|0.96|700| Tencent Holdings Ltd.| 7.59%| Emerging Asia Pacific|Equity|China Equities||CN|6|3.ASSET|Equity|12.6|0.73|ASHS| Xtrackers Harvest CSI 500 China A-Shares Small Cap ETF| 5.76%| Emerging Asia Pacific|Equity|China Equities||CN|6|4.ASSET|Equity|12.6|0.62|9988| Alibaba Group Holding Ltd.| 4.91%| Emerging Asia Pacific|Equity|China Equities||CN|6|5.ASSET|Equity|12.6|0.28|3690| Meituan Class B| 2.25%| Emerging Asia Pacific|Equity|China Equities||CN|6|6.ASSET|Equity|12.6|0.23|9618| JD.com, Inc. Class A| 1.80%| Emerging Asia Pacific|Equity|China Equities||CN|6|7.ASSET|Equity|12.6|0.22|939| China Construction Bank Corporation Class H| 1.74%| Emerging Asia Pacific|Equity|China Equities||CN|6|8.ASSET|Equity|12.6|0.15|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.17%| Emerging Asia Pacific|Equity|China Equities||CN|6|9.ASSET|Equity|12.6|0.14|BIDU| Baidu Inc Sponsored ADR Class A| 1.08%| Emerging Asia Pacific|Equity|China Equities||CN|6|10.ASSET|Equity|12.6|0.12|9999| NetEase, Inc| 0.93%| Emerging Asia Pacific|Equity|China Equities||CN|6|11.ASSET|Equity|12.6|0.1|1398| Industrial and Commercial Bank of China Limited Class H| 0.81%| Emerging Asia Pacific|Equity|China Equities||CN|6|12.ASSET|Equity|12.6|0.1|3968| China Merchants Bank Co., Ltd. Class H| 0.78%| Emerging Asia Pacific|Equity|China Equities||CN|6|13.ASSET|Equity|12.6|0.09|3988| Bank of China Limited Class H| 0.74%| Emerging Asia Pacific|Equity|China Equities||CN|6|14.ASSET|Equity|12.6|0.09|2269| Wuxi Biologics (Cayman) Inc.| 0.74%| Emerging Asia Pacific|Equity|China Equities||CN|6|15.ASSET|Equity|12.6|0.09|NIO| NIO Inc. Sponsored ADR Class A| 0.70%| North America|Equity|Large Cap Blend Equities||UDEC|6|1.ASSET|Equity|49.3|49.01|N/A| OPTIONS| 99.42%| North America|Equity|Large Cap Blend Equities||UDEC|6|2.ASSET|Equity|49.3|49.01|N/A| OPTIONS| 99.41%| North America|Equity|Large Cap Blend Equities||UDEC|6|3.ASSET|Equity|49.3|0.29|N/A| U.S. Dollar| 0.59%| North America|Equity|Large Cap Blend Equities||UDEC|6|4.ASSET|Equity|49.3|0.29|N/A| U.S. Dollar| 0.58%| Developed Markets|Equity|Global Equities||GIGE|6|1.ASSET|Equity|16.4|0.57|SQ| Block Inc Class A| 3.45%| Developed Markets|Equity|Global Equities||GIGE|6|2.ASSET|Equity|16.4|0.56|SHOP| Shopify, Inc. Class A| 3.42%| Developed Markets|Equity|Global Equities||GIGE|6|3.ASSET|Equity|16.4|0.55|ABNB| Airbnb, Inc. Class A| 3.34%| Developed Markets|Equity|Global Equities||GIGE|6|4.ASSET|Equity|16.4|0.49|BIDU| Baidu Inc Sponsored ADR Class A| 3.00%| Developed Markets|Equity|Global Equities||GIGE|6|5.ASSET|Equity|16.4|0.47|RBLX| Roblox Corp. Class A| 2.88%| Developed Markets|Equity|Global Equities||GIGE|6|6.ASSET|Equity|16.4|0.47|MELI| MercadoLibre, Inc.| 2.86%| Developed Markets|Equity|Global Equities||GIGE|6|7.ASSET|Equity|16.4|0.45|SPOT| Spotify Technology SA| 2.74%| Developed Markets|Equity|Global Equities||GIGE|6|8.ASSET|Equity|16.4|0.44|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 2.71%| Developed Markets|Equity|Global Equities||GIGE|6|9.ASSET|Equity|16.4|0.41|UPWK| Upwork, Inc.| 2.52%| Developed Markets|Equity|Global Equities||GIGE|6|10.ASSET|Equity|16.4|0.41|TWTR| Twitter, Inc.| 2.50%| Developed Markets|Equity|Global Equities||GIGE|6|11.ASSET|Equity|16.4|0.41|700| Tencent Holdings Ltd.| 2.49%| Developed Markets|Equity|Global Equities||GIGE|6|12.ASSET|Equity|16.4|0.4|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 2.43%| Developed Markets|Equity|Global Equities||GIGE|6|13.ASSET|Equity|16.4|0.38|JD| JD.com, Inc. Sponsored ADR Class A| 2.33%| Developed Markets|Equity|Global Equities||GIGE|6|14.ASSET|Equity|16.4|0.38|SSYS| Stratasys Ltd.| 2.29%| Developed Markets|Equity|Global Equities||GIGE|6|15.ASSET|Equity|16.4|0.37|MNDY| monday.com Ltd.| 2.27%| North America|Equity|Europe Equities||EFNL|6|1.ASSET|Equity|33.8|5.13|NOKIA| Nokia Oyj| 15.19%| North America|Equity|Europe Equities||EFNL|6|2.ASSET|Equity|33.8|3.94|SAMPO| Sampo Oyj Class A| 11.65%| North America|Equity|Europe Equities||EFNL|6|3.ASSET|Equity|33.8|3.41|KNEBV| Kone Oyj Class B| 10.08%| North America|Equity|Europe Equities||EFNL|6|4.ASSET|Equity|33.8|3.02|UPM| UPM-Kymmene Oyj| 8.94%| North America|Equity|Europe Equities||EFNL|6|5.ASSET|Equity|33.8|1.47|STERV| Stora Enso Oyj Class R| 4.34%| North America|Equity|Europe Equities||EFNL|6|6.ASSET|Equity|33.8|1.39|NESTE| Neste Corporation| 4.10%| North America|Equity|Europe Equities||EFNL|6|7.ASSET|Equity|33.8|1.38|ELISA| Elisa Oyj Class A| 4.09%| North America|Equity|Europe Equities||EFNL|6|8.ASSET|Equity|33.8|1.29|KESKOB| Kesko Oyj Class B| 3.83%| North America|Equity|Europe Equities||EFNL|6|9.ASSET|Equity|33.8|1.24|FORTUM| Fortum Oyj| 3.68%| North America|Equity|Europe Equities||EFNL|6|10.ASSET|Equity|33.8|0.99|ORNBV| Orion Oyj Class B| 2.92%| North America|Equity|Europe Equities||EFNL|6|11.ASSET|Equity|33.8|0.99|WRT1V| Wartsila Oyj Abp| 2.92%| North America|Equity|Europe Equities||EFNL|6|12.ASSET|Equity|33.8|0.95|MOCORP| Metso Outotec Oyj| 2.82%| North America|Equity|Europe Equities||EFNL|6|13.ASSET|Equity|33.8|0.9|VALMT| Valmet Corp| 2.67%| North America|Equity|Europe Equities||EFNL|6|14.ASSET|Equity|33.8|0.67|HUH1V| Huhtamaki Oyj| 1.98%| North America|Equity|Europe Equities||EFNL|6|15.ASSET|Equity|33.8|0.51|TIETO| TietoEVRY Oyj| 1.51%| North America|Equity|Large Cap Blend Equities||RNLC|6|1.ASSET|Equity|21.4|0.23|LDOS| Leidos Holdings, Inc.| 1.09%| North America|Equity|Large Cap Blend Equities||RNLC|6|2.ASSET|Equity|21.4|0.23|NLOK| NortonLifeLock Inc.| 1.06%| North America|Equity|Large Cap Blend Equities||RNLC|6|3.ASSET|Equity|21.4|0.22|HPE| Hewlett Packard Enterprise Co.| 1.01%| North America|Equity|Large Cap Blend Equities||RNLC|6|4.ASSET|Equity|21.4|0.21|GLW| Corning Inc| 1.00%| North America|Equity|Large Cap Blend Equities||RNLC|6|5.ASSET|Equity|21.4|0.2|MU| Micron Technology, Inc.| 0.94%| North America|Equity|Large Cap Blend Equities||RNLC|6|6.ASSET|Equity|21.4|0.2|CTSH| Cognizant Technology Solutions Corporation Class A| 0.93%| North America|Equity|Large Cap Blend Equities||RNLC|6|7.ASSET|Equity|21.4|0.19|HPQ| HP Inc.| 0.90%| North America|Equity|Large Cap Blend Equities||RNLC|6|8.ASSET|Equity|21.4|0.19|INTC| Intel Corporation| 0.89%| North America|Equity|Large Cap Blend Equities||RNLC|6|9.ASSET|Equity|21.4|0.19|AAPL| Apple Inc.| 0.88%| North America|Equity|Large Cap Blend Equities||RNLC|6|10.ASSET|Equity|21.4|0.19|SSNC| SS&C Technologies Holdings, Inc.| 0.87%| North America|Equity|Large Cap Blend Equities||RNLC|6|11.ASSET|Equity|21.4|0.19|IBM| International Business Machines Corporation| 0.87%| North America|Equity|Large Cap Blend Equities||RNLC|6|12.ASSET|Equity|21.4|0.18|ROP| Roper Technologies, Inc.| 0.86%| North America|Equity|Large Cap Blend Equities||RNLC|6|13.ASSET|Equity|21.4|0.18|QCOM| Qualcomm Inc| 0.86%| North America|Equity|Large Cap Blend Equities||RNLC|6|14.ASSET|Equity|21.4|0.18|MPWR| Monolithic Power Systems, Inc.| 0.86%| North America|Equity|Large Cap Blend Equities||RNLC|6|15.ASSET|Equity|21.4|0.18|ENTG| Entegris, Inc.| 0.85%| North America|Equity|n/a||CBTG|6|1.ASSET|Equity|7.7|7.71|FGXXX| First American Funds Inc X Government Obligations Fund| 100.09%| North America|Equity|n/a||CBTG|6|2.ASSET|Equity|7.7|-0.01|N/A| U.S. Dollar| -0.09%| Developed Markets|Multi-Asset|Diversified Portfolio||ASET|6|1.ASSET|Multi-Asset|49|23.48|NFRA| FlexShares STOXX Global Broad Infrastructure Index Fund| 47.91%| Developed Markets|Multi-Asset|Diversified Portfolio||ASET|6|2.ASSET|Multi-Asset|49|13.74|GQRE| FlexShares Global Quality Real Estate Index Fund| 28.04%| Developed Markets|Multi-Asset|Diversified Portfolio||ASET|6|3.ASSET|Multi-Asset|49|11.78|GUNR| FlexShares Morningstar Global Upstream Natural Resources Index Fund| 24.05%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|1.ASSET|Equity|27.5|2.37|2382| Sunny Optical Technology (Group) Co., Ltd.| 8.63%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|2.ASSET|Equity|27.5|2.22|1810| Xiaomi Corp. Class B| 8.07%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|3.ASSET|Equity|27.5|1.65|968| Xinyi Solar Holdings Ltd.| 6.00%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|4.ASSET|Equity|27.5|1.56|992| Lenovo Group Limited| 5.66%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|5.ASSET|Equity|27.5|1.26|268| Kingdee International Software Group Co., Ltd.| 4.59%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|6.ASSET|Equity|27.5|0.86|601012| LONGi Green Energy Technology Co Ltd Class A| 3.11%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|7.ASSET|Equity|27.5|0.82|GDS| GDS Holdings Ltd. Sponsored ADR Class A| 2.98%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|8.ASSET|Equity|27.5|0.69|148| Kingboard Holdings Limited| 2.52%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|9.ASSET|Equity|27.5|0.65|002475| Luxshare Precision Industry Co. Ltd. Class A| 2.37%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|10.ASSET|Equity|27.5|0.59|1347| Hua Hong Semiconductor Ltd.| 2.16%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|11.ASSET|Equity|27.5|0.54|DQ| Daqo New Energy Corp Sponsored ADR| 1.97%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|12.ASSET|Equity|27.5|0.46|285| BYD Electronic (International) Co., Ltd.| 1.68%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|13.ASSET|Equity|27.5|0.46|2018| AAC Technologies Holdings Inc.| 1.67%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|14.ASSET|Equity|27.5|0.46|696| TravelSky Technology Ltd. Class H| 1.66%| Emerging Asia Pacific|Equity|China Equities|Technology|CHIK|6|15.ASSET|Equity|27.5|0.45|763| ZTE Corporation Class H| 1.64%| Global|Commodity|Leveraged Commodities||ZSL|6|1.ASSET|Commodity|25.2|25.2|N/A| Silver| 100.00%| Developed Markets|Bond|Leveraged Bonds|Junk|UJB|6|1.ASSET|Bond|7.3|7.3|N/A| U.S. Dollar| 100.00%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|1.ASSET|Equity|24.9|0.82|BG| Bunge Limited| 3.30%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|2.ASSET|Equity|24.9|0.77|HSBA| HSBC Holdings Plc| 3.09%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|3.ASSET|Equity|24.9|0.75|939| China Construction Bank Corporation Class H| 3.00%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|4.ASSET|Equity|24.9|0.74|9603| H.I.S.Co., Ltd.| 2.96%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|5.ASSET|Equity|24.9|0.74|BIDU| Baidu Inc Sponsored ADR Class A| 2.96%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|6.ASSET|Equity|24.9|0.7|X| TMX Group Ltd.| 2.82%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|7.ASSET|Equity|24.9|0.7|SBNY| Signature Bank| 2.82%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|8.ASSET|Equity|24.9|0.69|VMW| VMware, Inc. Class A| 2.78%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|9.ASSET|Equity|24.9|0.69|CME| CME Group Inc. Class A| 2.77%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|10.ASSET|Equity|24.9|0.68|9449| GMO Internet Inc.| 2.75%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|11.ASSET|Equity|24.9|0.68|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 2.75%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|12.ASSET|Equity|24.9|0.68|8473| SBI Holdings, Inc.| 2.73%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|13.ASSET|Equity|24.9|0.67|S68| Singapore Exchange Ltd.| 2.71%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|14.ASSET|Equity|24.9|0.66|MA| Mastercard Incorporated Class A| 2.67%| Developed Markets|Equity|Technology Equities|Technology|KOIN|6|15.ASSET|Equity|24.9|0.66|V| Visa Inc. Class A| 2.66%| North America|Equity|Leveraged Equities|Industrials|UXI|6|1.ASSET|Equity|23.3|1.71|N/A| U.S. Dollar| 7.36%| North America|Equity|Leveraged Equities|Industrials|UXI|6|2.ASSET|Equity|23.3|0.93|ACN| Accenture Plc Class A| 3.98%| North America|Equity|Leveraged Equities|Industrials|UXI|6|3.ASSET|Equity|23.3|0.75|UNP| Union Pacific Corporation| 3.21%| North America|Equity|Leveraged Equities|Industrials|UXI|6|4.ASSET|Equity|23.3|0.71|UPS| United Parcel Service, Inc. Class B| 3.05%| North America|Equity|Leveraged Equities|Industrials|UXI|6|5.ASSET|Equity|23.3|0.7|RTX| Raytheon Technologies Corporation| 2.99%| North America|Equity|Leveraged Equities|Industrials|UXI|6|6.ASSET|Equity|23.3|0.59|HON| Honeywell International Inc.| 2.54%| North America|Equity|Leveraged Equities|Industrials|UXI|6|7.ASSET|Equity|23.3|0.58|PYPL| PayPal Holdings, Inc.| 2.48%| North America|Equity|Leveraged Equities|Industrials|UXI|6|8.ASSET|Equity|23.3|0.51|LMT| Lockheed Martin Corporation| 2.19%| North America|Equity|Leveraged Equities|Industrials|UXI|6|9.ASSET|Equity|23.3|0.51|BA| Boeing Company| 2.17%| North America|Equity|Leveraged Equities|Industrials|UXI|6|10.ASSET|Equity|23.3|0.49|DE| Deere & Company| 2.10%| North America|Equity|Leveraged Equities|Industrials|UXI|6|11.ASSET|Equity|23.3|0.48|CAT| Caterpillar Inc.| 2.06%| North America|Equity|Leveraged Equities|Industrials|UXI|6|12.ASSET|Equity|23.3|0.48|GE| General Electric Company| 2.05%| North America|Equity|Leveraged Equities|Industrials|UXI|6|13.ASSET|Equity|23.3|0.4|ADP| Automatic Data Processing, Inc.| 1.72%| North America|Equity|Leveraged Equities|Industrials|UXI|6|14.ASSET|Equity|23.3|0.39|MMM| 3M Company| 1.68%| North America|Equity|Leveraged Equities|Industrials|UXI|6|15.ASSET|Equity|23.3|0.35|CSX| CSX Corporation| 1.52%| North America|Equity|Large Cap Growth Equities||AMOM|6|1.ASSET|Equity|20.2|1.65|GOOGL| Alphabet Inc. Class A| 8.18%| North America|Equity|Large Cap Growth Equities||AMOM|6|2.ASSET|Equity|20.2|1.42|NVDA| NVIDIA Corporation| 7.02%| North America|Equity|Large Cap Growth Equities||AMOM|6|3.ASSET|Equity|20.2|1.1|FB| Meta Platforms Inc. Class A| 5.47%| North America|Equity|Large Cap Growth Equities||AMOM|6|4.ASSET|Equity|20.2|0.88|HD| Home Depot, Inc.| 4.37%| North America|Equity|Large Cap Growth Equities||AMOM|6|5.ASSET|Equity|20.2|0.71|COST| Costco Wholesale Corporation| 3.52%| North America|Equity|Large Cap Growth Equities||AMOM|6|6.ASSET|Equity|20.2|0.54|LOW| Lowe\'s Companies, Inc.| 2.65%| North America|Equity|Large Cap Growth Equities||AMOM|6|7.ASSET|Equity|20.2|0.48|INTU| Intuit Inc.| 2.39%| North America|Equity|Large Cap Growth Equities||AMOM|6|8.ASSET|Equity|20.2|0.47|AMAT| Applied Materials, Inc.| 2.31%| North America|Equity|Large Cap Growth Equities||AMOM|6|9.ASSET|Equity|20.2|0.46|TGT| Target Corporation| 2.27%| North America|Equity|Large Cap Growth Equities||AMOM|6|10.ASSET|Equity|20.2|0.42|BX| Blackstone Inc.| 2.06%| North America|Equity|Large Cap Growth Equities||AMOM|6|11.ASSET|Equity|20.2|0.41|NUE| Nucor Corporation| 2.03%| North America|Equity|Large Cap Growth Equities||AMOM|6|12.ASSET|Equity|20.2|0.39|FTNT| Fortinet, Inc.| 1.95%| North America|Equity|Large Cap Growth Equities||AMOM|6|13.ASSET|Equity|20.2|0.38|EW| Edwards Lifesciences Corporation| 1.90%| North America|Equity|Large Cap Growth Equities||AMOM|6|14.ASSET|Equity|20.2|0.37|REGN| Regeneron Pharmaceuticals, Inc.| 1.85%| North America|Equity|Large Cap Growth Equities||AMOM|6|15.ASSET|Equity|20.2|0.36|STLD| Steel Dynamics, Inc.| 1.79%| North America|Equity|Leveraged Equities|Technology|CLDL|6|1.ASSET|Equity|13.1|1.86|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 14.18%| North America|Equity|Leveraged Equities|Technology|CLDL|6|2.ASSET|Equity|13.1|0.69|NOW| ServiceNow, Inc.| 5.23%| North America|Equity|Leveraged Equities|Technology|CLDL|6|3.ASSET|Equity|13.1|0.65|ORCL| Oracle Corporation| 4.94%| North America|Equity|Leveraged Equities|Technology|CLDL|6|4.ASSET|Equity|13.1|0.61|CRWD| CrowdStrike Holdings, Inc. Class A| 4.69%| North America|Equity|Leveraged Equities|Technology|CLDL|6|5.ASSET|Equity|13.1|0.58|ADBE| Adobe Inc.| 4.39%| North America|Equity|Leveraged Equities|Technology|CLDL|6|6.ASSET|Equity|13.1|0.56|WDAY| Workday, Inc. Class A| 4.25%| North America|Equity|Leveraged Equities|Technology|CLDL|6|7.ASSET|Equity|13.1|0.56|CRM| salesforce.com, inc.| 4.24%| North America|Equity|Leveraged Equities|Technology|CLDL|6|8.ASSET|Equity|13.1|0.52|SAP| SAP SE Sponsored ADR| 3.94%| North America|Equity|Leveraged Equities|Technology|CLDL|6|9.ASSET|Equity|13.1|0.5|VEEV| Veeva Systems Inc Class A| 3.82%| North America|Equity|Leveraged Equities|Technology|CLDL|6|10.ASSET|Equity|13.1|0.45|ADSK| Autodesk, Inc.| 3.47%| North America|Equity|Leveraged Equities|Technology|CLDL|6|11.ASSET|Equity|13.1|0.4|TEAM| Atlassian Corp. Plc Class A| 3.02%| North America|Equity|Leveraged Equities|Technology|CLDL|6|12.ASSET|Equity|13.1|0.36|ZS| Zscaler, Inc.| 2.74%| North America|Equity|Leveraged Equities|Technology|CLDL|6|13.ASSET|Equity|13.1|0.33|BILL| Bill.com Holdings, Inc.| 2.55%| North America|Equity|Leveraged Equities|Technology|CLDL|6|14.ASSET|Equity|13.1|0.32|AKAM| Akamai Technologies, Inc.| 2.46%| North America|Equity|Leveraged Equities|Technology|CLDL|6|15.ASSET|Equity|13.1|0.32|DOCU| DocuSign, Inc.| 2.43%| North America|Equity|Large Cap Value Equities||KVLE|6|1.ASSET|Equity|29.8|1.26|AAPL| Apple Inc.| 4.23%| North America|Equity|Large Cap Value Equities||KVLE|6|2.ASSET|Equity|29.8|1.14|MSFT| Microsoft Corporation| 3.84%| North America|Equity|Large Cap Value Equities||KVLE|6|3.ASSET|Equity|29.8|0.71|HD| Home Depot, Inc.| 2.37%| North America|Equity|Large Cap Value Equities||KVLE|6|4.ASSET|Equity|29.8|0.66|CSCO| Cisco Systems, Inc.| 2.21%| North America|Equity|Large Cap Value Equities||KVLE|6|5.ASSET|Equity|29.8|0.65|JPM| JPMorgan Chase & Co.| 2.19%| North America|Equity|Large Cap Value Equities||KVLE|6|6.ASSET|Equity|29.8|0.62|VZ| Verizon Communications Inc.| 2.08%| North America|Equity|Large Cap Value Equities||KVLE|6|7.ASSET|Equity|29.8|0.6|INTC| Intel Corporation| 2.03%| North America|Equity|Large Cap Value Equities||KVLE|6|8.ASSET|Equity|29.8|0.6|PEP| PepsiCo, Inc.| 2.01%| North America|Equity|Large Cap Value Equities||KVLE|6|9.ASSET|Equity|29.8|0.59|LMT| Lockheed Martin Corporation| 1.98%| North America|Equity|Large Cap Value Equities||KVLE|6|10.ASSET|Equity|29.8|0.59|TXN| Texas Instruments Incorporated| 1.97%| North America|Equity|Large Cap Value Equities||KVLE|6|11.ASSET|Equity|29.8|0.58|LOW| Lowe\'s Companies, Inc.| 1.94%| North America|Equity|Large Cap Value Equities||KVLE|6|12.ASSET|Equity|29.8|0.57|T| AT&T Inc.| 1.90%| North America|Equity|Large Cap Value Equities||KVLE|6|13.ASSET|Equity|29.8|0.54|UPS| United Parcel Service, Inc. Class B| 1.80%| North America|Equity|Large Cap Value Equities||KVLE|6|14.ASSET|Equity|29.8|0.53|BMY| Bristol-Myers Squibb Company| 1.79%| North America|Equity|Large Cap Value Equities||KVLE|6|15.ASSET|Equity|29.8|0.51|OGS| ONE Gas, Inc.| 1.72%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|1.ASSET|Equity|25.2|1.84|002475| Luxshare Precision Industry Co. Ltd. Class A| 7.31%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|2.ASSET|Equity|25.2|1.82|1810| Xiaomi Corp. Class B| 7.24%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|3.ASSET|Equity|25.2|1.52|601138| Foxconn Industrial Internet Co., Ltd. Class A| 6.02%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|4.ASSET|Equity|25.2|1.41|603501| Will Semiconductor Ltd. Class A| 5.59%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|5.ASSET|Equity|25.2|1.37|002371| NAURA Technology Group Co Ltd Class A| 5.43%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|6.ASSET|Equity|25.2|1.26|000725| BOE Technology Group Co., Ltd. Class A| 5.00%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|7.ASSET|Equity|25.2|1.12|2382| Sunny Optical Technology (Group) Co., Ltd.| 4.45%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|8.ASSET|Equity|25.2|1.08|002049| Unigroup Guoxin Microelectronics Co., Ltd. Class A| 4.30%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|9.ASSET|Equity|25.2|1.06|002241| GoerTek Inc. Class A| 4.19%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|10.ASSET|Equity|25.2|1.03|600745| Wingtech Technology Co., Ltd. Class A| 4.10%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|11.ASSET|Equity|25.2|0.86|763| ZTE Corporation Class H| 3.42%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|12.ASSET|Equity|25.2|0.86|688036| Shenzhen Transsion Holding Co., Ltd. Class A| 3.40%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|13.ASSET|Equity|25.2|0.73|300782| Maxscend Microelectronics Company Limited Class A| 2.91%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|14.ASSET|Equity|25.2|0.69|600460| Hangzhou Silan Microelectronics Co., Ltd. Class A| 2.73%| Emerging Asia Pacific|Equity|China Equities|Technology|KFVG|6|15.ASSET|Equity|25.2|0.68|603986| Giga Device Semiconductor (Beijing) Inc. Class A| 2.70%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|1.ASSET|Equity|39.9|3.46|D| Dominion Energy Inc| 8.66%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|2.ASSET|Equity|39.9|3.24|DUK| Duke Energy Corporation| 8.11%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|3.ASSET|Equity|39.9|2.69|PEG| Public Service Enterprise Group Inc| 6.74%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|4.ASSET|Equity|39.9|2.27|EXC| Exelon Corporation| 5.68%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|5.ASSET|Equity|39.9|2.25|ETR| Entergy Corporation| 5.64%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|6.ASSET|Equity|39.9|2.2|PCG| PG&E Corporation| 5.52%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|7.ASSET|Equity|39.9|2|9503| Kansai Electric Power Company, Incorporated| 5.00%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|8.ASSET|Equity|39.9|1.96|CCJ| Cameco Corporation| 4.92%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|9.ASSET|Equity|39.9|1.93|PNW| Pinnacle West Capital Corporation| 4.84%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|10.ASSET|Equity|39.9|1.89|CEZ| CEZ as| 4.73%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|11.ASSET|Equity|39.9|1.86|KEP| Korea Electric Power Corporation Sponsored ADR| 4.65%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|12.ASSET|Equity|39.9|1.66|ELE| Endesa S.A.| 4.15%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|13.ASSET|Equity|39.9|1.29|9508| Kyushu Electric Power Company,Incorporated| 3.24%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|14.ASSET|Equity|39.9|1.25|FORTUM| Fortum Oyj| 3.14%| Developed Markets|Equity|Alternative Energy Equities|Energy|NLR|6|15.ASSET|Equity|39.9|1.15|PNM| PNM Resources, Inc.| 2.89%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|1.ASSET|Bond|30.5|0.67|N/A| Visa Inc. 2.8% 14-DEC-2022| 2.19%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|2.ASSET|Bond|30.5|0.5|N/A| QUALCOMM Incorporated 3.0% 20-MAY-2022| 1.65%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|3.ASSET|Bond|30.5|0.5|N/A| Chevron Corporation 2.355% 05-DEC-2022| 1.64%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|4.ASSET|Bond|30.5|0.46|N/A| Oracle Corporation 2.5% 15-OCT-2022| 1.51%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|5.ASSET|Bond|30.5|0.44|N/A| BP Capital Markets PLC 2.5% 06-NOV-2022| 1.43%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|6.ASSET|Bond|30.5|0.38|N/A| Exxon Mobil Corporation 2.726% 01-MAR-2023| 1.24%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|7.ASSET|Bond|30.5|0.38|N/A| Intel Corporation 2.7% 15-DEC-2022| 1.24%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|8.ASSET|Bond|30.5|0.37|N/A| GlaxoSmithKline Capital Plc 2.85% 08-MAY-2022| 1.22%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|9.ASSET|Bond|30.5|0.37|N/A| Apple Inc. 2.85% 23-FEB-2023| 1.21%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|10.ASSET|Bond|30.5|0.37|N/A| Home Depot, Inc. 2.625% 01-JUN-2022| 1.21%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|11.ASSET|Bond|30.5|0.36|N/A| John Deere Capital Corporation 2.8% 06-MAR-2023| 1.19%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|12.ASSET|Bond|30.5|0.36|N/A| Amazon.com, Inc. 2.4% 22-FEB-2023| 1.17%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|13.ASSET|Bond|30.5|0.35|N/A| Procter & Gamble Company 2.15% 11-AUG-2022| 1.16%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|14.ASSET|Bond|30.5|0.34|N/A| United Parcel Service, Inc. 2.45% 01-OCT-2022| 1.11%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|IBCE|6|15.ASSET|Bond|30.5|0.34|N/A| Philip Morris International Inc. 2.375% 17-AUG-2022| 1.10%| North America|Equity|All Cap Equities||TOKE|6|1.ASSET|Equity|22.6|2.35|IIPR| Innovative Industrial Properties Inc| 10.38%| North America|Equity|All Cap Equities||TOKE|6|2.ASSET|Equity|22.6|2.19|ARNA| Arena Pharmaceuticals, Inc.| 9.71%| North America|Equity|All Cap Equities||TOKE|6|3.ASSET|Equity|22.6|1.74|STZ| Constellation Brands, Inc. Class A| 7.72%| North America|Equity|All Cap Equities||TOKE|6|4.ASSET|Equity|22.6|1.72|TLRY| Tilray Brands, Inc.| 7.63%| North America|Equity|All Cap Equities||TOKE|6|5.ASSET|Equity|22.6|1.31|SMG| Scotts Miracle-Gro Company Class A| 5.81%| North America|Equity|All Cap Equities||TOKE|6|6.ASSET|Equity|22.6|1.15|JAZZ| Jazz Pharmaceuticals Public Limited Company| 5.11%| North America|Equity|All Cap Equities||TOKE|6|7.ASSET|Equity|22.6|1.11|BATS| British American Tobacco p.l.c.| 4.91%| North America|Equity|All Cap Equities||TOKE|6|8.ASSET|Equity|22.6|1.06|MO| Altria Group Inc| 4.69%| North America|Equity|All Cap Equities||TOKE|6|9.ASSET|Equity|22.6|1.05|PM| Philip Morris International Inc.| 4.66%| North America|Equity|All Cap Equities||TOKE|6|10.ASSET|Equity|22.6|0.99|IMB| Imperial Brands PLC| 4.36%| North America|Equity|All Cap Equities||TOKE|6|11.ASSET|Equity|22.6|0.92|TPB| Turning Point Brands Inc| 4.06%| North America|Equity|All Cap Equities||TOKE|6|12.ASSET|Equity|22.6|0.85|UVV| Universal Corp| 3.74%| North America|Equity|All Cap Equities||TOKE|6|13.ASSET|Equity|22.6|0.75|VFF| Village Farms International, Inc.| 3.33%| North America|Equity|All Cap Equities||TOKE|6|14.ASSET|Equity|22.6|0.49|WEED| Canopy Growth Corporation| 2.18%| North America|Equity|All Cap Equities||TOKE|6|15.ASSET|Equity|22.6|0.49|OGI| OrganiGram Holdings Inc| 2.18%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|1.ASSET|Real Estate|27.1|0.78|EPR| EPR Properties| 2.87%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|2.ASSET|Real Estate|27.1|0.77|SLG| SL Green Realty Corp.| 2.83%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|3.ASSET|Real Estate|27.1|0.76|LTC| LTC Properties, Inc.| 2.79%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|4.ASSET|Real Estate|27.1|0.75|UNIT| Uniti Group Inc.| 2.77%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|5.ASSET|Real Estate|27.1|0.75|AAT| American Assets Trust, Inc.| 2.76%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|6.ASSET|Real Estate|27.1|0.74|VNO| Vornado Realty Trust| 2.73%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|7.ASSET|Real Estate|27.1|0.74|LXP| LXP Industrial Trust| 2.72%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|8.ASSET|Real Estate|27.1|0.73|VICI| VICI Properties Inc| 2.71%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|9.ASSET|Real Estate|27.1|0.73|CONE| CyrusOne Inc.| 2.70%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|10.ASSET|Real Estate|27.1|0.73|SBRA| Sabra Health Care REIT, Inc.| 2.68%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|11.ASSET|Real Estate|27.1|0.72|GLPI| Gaming and Leisure Properties, Inc.| 2.67%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|12.ASSET|Real Estate|27.1|0.72|BDN| Brandywine Realty Trust| 2.67%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|13.ASSET|Real Estate|27.1|0.72|OHI| Omega Healthcare Investors, Inc.| 2.67%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|14.ASSET|Real Estate|27.1|0.72|ACC| American Campus Communities, Inc.| 2.66%| North America|Real Estate|Real Estate|Real Estate|RDOG|6|15.ASSET|Real Estate|27.1|0.72|NHI| National Health Investors, Inc.| 2.65%| North America|Equity|n/a||MBOX|6|1.ASSET|Equity|37.5|1.28|EOG| EOG Resources, Inc.| 3.40%| North America|Equity|n/a||MBOX|6|2.ASSET|Equity|37.5|1.1|LHX| L3Harris Technologies Inc| 2.94%| North America|Equity|n/a||MBOX|6|3.ASSET|Equity|37.5|1.08|LLY| Eli Lilly and Company| 2.88%| North America|Equity|n/a||MBOX|6|4.ASSET|Equity|37.5|0.95|LMT| Lockheed Martin Corporation| 2.54%| North America|Equity|n/a||MBOX|6|5.ASSET|Equity|37.5|0.94|ABBV| AbbVie, Inc.| 2.50%| North America|Equity|n/a||MBOX|6|6.ASSET|Equity|37.5|0.93|HD| Home Depot, Inc.| 2.47%| North America|Equity|n/a||MBOX|6|7.ASSET|Equity|37.5|0.91|TRP| TC Energy Corporation| 2.43%| North America|Equity|n/a||MBOX|6|8.ASSET|Equity|37.5|0.91|PEP| PepsiCo, Inc.| 2.43%| North America|Equity|n/a||MBOX|6|9.ASSET|Equity|37.5|0.9|JNJ| Johnson & Johnson| 2.39%| North America|Equity|n/a||MBOX|6|10.ASSET|Equity|37.5|0.89|NEM| Newmont Corporation| 2.37%| North America|Equity|n/a||MBOX|6|11.ASSET|Equity|37.5|0.89|PXD| Pioneer Natural Resources Company| 2.36%| North America|Equity|n/a||MBOX|6|12.ASSET|Equity|37.5|0.87|BMY| Bristol-Myers Squibb Company| 2.31%| North America|Equity|n/a||MBOX|6|13.ASSET|Equity|37.5|0.84|NXST| Nexstar Media Group, Inc. Class A| 2.24%| North America|Equity|n/a||MBOX|6|14.ASSET|Equity|37.5|0.84|KR| Kroger Co.| 2.24%| North America|Equity|n/a||MBOX|6|15.ASSET|Equity|37.5|0.83|UNH| UnitedHealth Group Incorporated| 2.20%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|1.ASSET|Equity|27.5|1.7|HP| Helmerich & Payne, Inc.| 6.19%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|2.ASSET|Equity|27.5|1.67|PTEN| Patterson-UTI Energy, Inc.| 6.07%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|3.ASSET|Equity|27.5|1.63|FTI| TechnipFMC Plc| 5.92%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|4.ASSET|Equity|27.5|1.58|BKR| Baker Hughes Company Class A| 5.73%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|5.ASSET|Equity|27.5|1.55|HAL| Halliburton Company| 5.64%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|6.ASSET|Equity|27.5|1.54|CHX| ChampionX Corporation| 5.61%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|7.ASSET|Equity|27.5|1.47|SLB| Schlumberger NV| 5.36%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|8.ASSET|Equity|27.5|1.45|NOV| NOV Inc.| 5.26%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|9.ASSET|Equity|27.5|1.06|GLNG| Golar LNG Limited| 3.87%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|10.ASSET|Equity|27.5|1.05|NEX| NexTier Oilfield Solutions, Inc.| 3.81%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|11.ASSET|Equity|27.5|1.03|RES| RPC, Inc.| 3.75%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|12.ASSET|Equity|27.5|1.03|LBRT| Liberty Oilfield Services Inc. Class A| 3.73%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|13.ASSET|Equity|27.5|1.03|RIG| Transocean Ltd.| 3.73%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|14.ASSET|Equity|27.5|1.01|WHD| Cactus, Inc. Class A| 3.68%| Developed Markets|Equity|Energy Equities|Energy|PXJ|6|15.ASSET|Equity|27.5|1.01|XPRO| Expro Group Holdings N.V.| 3.68%| North America|Equity|Europe Equities||DXGE|6|1.ASSET|Equity|26.3|1.72|ALV| Allianz SE| 6.53%| North America|Equity|Europe Equities||DXGE|6|2.ASSET|Equity|26.3|1.65|DTE| Deutsche Telekom AG| 6.27%| North America|Equity|Europe Equities||DXGE|6|3.ASSET|Equity|26.3|1.61|BAYN| Bayer AG| 6.13%| North America|Equity|Europe Equities||DXGE|6|4.ASSET|Equity|26.3|1.52|BAS| BASF SE| 5.77%| North America|Equity|Europe Equities||DXGE|6|5.ASSET|Equity|26.3|1.47|SIE| Siemens AG| 5.59%| North America|Equity|Europe Equities||DXGE|6|6.ASSET|Equity|26.3|1.41|EOAN| E.ON SE| 5.37%| North America|Equity|Europe Equities||DXGE|6|7.ASSET|Equity|26.3|1.33|DPW| Deutsche Post AG| 5.04%| North America|Equity|Europe Equities||DXGE|6|8.ASSET|Equity|26.3|1.3|SAP| SAP SE| 4.95%| North America|Equity|Europe Equities||DXGE|6|9.ASSET|Equity|26.3|1.25|MBG| Mercedes-Benz Group AG| 4.75%| North America|Equity|Europe Equities||DXGE|6|10.ASSET|Equity|26.3|0.99|MUV2| Munich Reinsurance Company| 3.77%| North America|Equity|Europe Equities||DXGE|6|11.ASSET|Equity|26.3|0.82|BMW| Bayerische Motoren Werke AG| 3.10%| North America|Equity|Europe Equities||DXGE|6|12.ASSET|Equity|26.3|0.8|VOW| Volkswagen AG| 3.03%| North America|Equity|Europe Equities||DXGE|6|13.ASSET|Equity|26.3|0.74|HLAG| Hapag-Lloyd AG| 2.80%| North America|Equity|Europe Equities||DXGE|6|14.ASSET|Equity|26.3|0.7|SHL| Siemens Healthineers AG| 2.66%| North America|Equity|Europe Equities||DXGE|6|15.ASSET|Equity|26.3|0.67|HNR1| Hannover Rueck SE| 2.53%| North America|Equity|Large Cap Growth Equities||CWS|6|1.ASSET|Equity|32.2|1.58|FICO| Fair Isaac Corporation| 4.92%| North America|Equity|Large Cap Growth Equities||CWS|6|2.ASSET|Equity|32.2|1.54|HSY| Hershey Company| 4.79%| North America|Equity|Large Cap Growth Equities||CWS|6|3.ASSET|Equity|32.2|1.49|SAIC| Science Applications International Corp.| 4.62%| North America|Equity|Large Cap Growth Equities||CWS|6|4.ASSET|Equity|32.2|1.49|HEI| HEICO Corporation| 4.62%| North America|Equity|Large Cap Growth Equities||CWS|6|5.ASSET|Equity|32.2|1.46|AFL| Aflac Incorporated| 4.52%| North America|Equity|Large Cap Growth Equities||CWS|6|6.ASSET|Equity|32.2|1.4|SYK| Stryker Corporation| 4.35%| North America|Equity|Large Cap Growth Equities||CWS|6|7.ASSET|Equity|32.2|1.37|REYN| Reynolds Consumer Products Inc| 4.27%| North America|Equity|Large Cap Growth Equities||CWS|6|8.ASSET|Equity|32.2|1.37|SLGN| Silgan Holdings Inc.| 4.24%| North America|Equity|Large Cap Growth Equities||CWS|6|9.ASSET|Equity|32.2|1.37|CHD| Church & Dwight Co., Inc.| 4.24%| North America|Equity|Large Cap Growth Equities||CWS|6|10.ASSET|Equity|32.2|1.35|ICE| Intercontinental Exchange, Inc.| 4.18%| North America|Equity|Large Cap Growth Equities||CWS|6|11.ASSET|Equity|32.2|1.33|FISV| Fiserv, Inc.| 4.14%| North America|Equity|Large Cap Growth Equities||CWS|6|12.ASSET|Equity|32.2|1.33|MLR| Miller Industries, Inc.| 4.12%| North America|Equity|Large Cap Growth Equities||CWS|6|13.ASSET|Equity|32.2|1.29|OTIS| Otis Worldwide Corporation| 4.00%| North America|Equity|Large Cap Growth Equities||CWS|6|14.ASSET|Equity|32.2|1.21|FDS| FactSet Research Systems Inc.| 3.77%| North America|Equity|Large Cap Growth Equities||CWS|6|15.ASSET|Equity|32.2|1.21|ABT| Abbott Laboratories| 3.76%| Global|Commodity|Precious Metals||IAUF|6|1.ASSET|Commodity|32.2|22.84|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 70.94%| Global|Commodity|Precious Metals||IAUF|6|2.ASSET|Commodity|32.2|7.73|IAU| iShares Gold Trust| 24.00%| Global|Commodity|Precious Metals||IAUF|6|3.ASSET|Commodity|32.2|1.63|N/A| U.S. Dollar| 5.07%| North America|Equity|Global Equities||FLCA|6|1.ASSET|Equity|37.9|3.29|RY| Royal Bank of Canada| 8.67%| North America|Equity|Global Equities||FLCA|6|2.ASSET|Equity|37.9|3.1|TD| Toronto-Dominion Bank| 8.17%| North America|Equity|Global Equities||FLCA|6|3.ASSET|Equity|37.9|1.9|ENB| Enbridge Inc.| 5.02%| North America|Equity|Global Equities||FLCA|6|4.ASSET|Equity|37.9|1.9|BNS| Bank of Nova Scotia| 5.00%| North America|Equity|Global Equities||FLCA|6|5.ASSET|Equity|37.9|1.6|BMO| Bank of Montreal| 4.22%| North America|Equity|Global Equities||FLCA|6|6.ASSET|Equity|37.9|1.57|SHOP| Shopify, Inc. Class A| 4.15%| North America|Equity|Global Equities||FLCA|6|7.ASSET|Equity|37.9|1.57|CNR| Canadian National Railway Company| 4.13%| North America|Equity|Global Equities||FLCA|6|8.ASSET|Equity|37.9|1.54|BAM.A| Brookfield Asset Management Inc. Class A| 4.07%| North America|Equity|Global Equities||FLCA|6|9.ASSET|Equity|37.9|1.43|CP| Canadian Pacific Kansas City Limited| 3.77%| North America|Equity|Global Equities||FLCA|6|10.ASSET|Equity|37.9|1.42|CNQ| Canadian Natural Resources Limited| 3.74%| North America|Equity|Global Equities||FLCA|6|11.ASSET|Equity|37.9|1.17|CM| Canadian Imperial Bank of Commerce| 3.10%| North America|Equity|Global Equities||FLCA|6|12.ASSET|Equity|37.9|1.14|TRP| TC Energy Corporation| 3.01%| North America|Equity|Global Equities||FLCA|6|13.ASSET|Equity|37.9|1.06|NTR| Nutrien Ltd.| 2.80%| North America|Equity|Global Equities||FLCA|6|14.ASSET|Equity|37.9|0.97|SU| Suncor Energy Inc.| 2.55%| North America|Equity|Global Equities||FLCA|6|15.ASSET|Equity|37.9|0.87|ABX| Barrick Gold Corporation| 2.29%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|1.ASSET|Equity|31.8|3.03|ZS| Zscaler, Inc.| 9.52%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|2.ASSET|Equity|31.8|2.83|DDOG| Datadog Inc Class A| 8.91%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|3.ASSET|Equity|31.8|2.49|CRWD| CrowdStrike Holdings, Inc. Class A| 7.83%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|4.ASSET|Equity|31.8|2.38|NVDA| NVIDIA Corporation| 7.47%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|5.ASSET|Equity|31.8|2.35|AMD| Advanced Micro Devices, Inc.| 7.38%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|6.ASSET|Equity|31.8|1.49|VRNS| Varonis Systems, Inc.| 4.67%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|7.ASSET|Equity|31.8|1.41|U| Unity Software, Inc.| 4.44%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|8.ASSET|Equity|31.8|1.37|NOW| ServiceNow, Inc.| 4.30%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|9.ASSET|Equity|31.8|1.33|PLAN| Anaplan, Inc.| 4.18%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|10.ASSET|Equity|31.8|1.31|S| SentinelOne, Inc. Class A| 4.12%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|11.ASSET|Equity|31.8|1.3|FXFXX| First American Funds Inc X Treasury Obligations Fund| 4.09%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|12.ASSET|Equity|31.8|1.16|OKTA| Okta, Inc. Class A| 3.65%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|13.ASSET|Equity|31.8|1.08|ESTC| Elastic NV| 3.41%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|14.ASSET|Equity|31.8|1.08|IOT| Samsara, Inc. Class A| 3.39%| North America|Equity|Large Cap Growth Equities|Technology|LRNZ|6|15.ASSET|Equity|31.8|1.06|TWLO| Twilio, Inc. Class A| 3.33%| North America|Bond|Leveraged Bonds|Treasuries|TYO|6|1.ASSET|Bond|33.5|33.5|N/A| iShares 7-10 Year Treasury Bond ETF| 100.00%| North America|Equity|Large Cap Growth Equities||NULC|6|1.ASSET|Equity|28|1.55|MSFT| Microsoft Corporation| 5.54%| North America|Equity|Large Cap Growth Equities||NULC|6|2.ASSET|Equity|28|0.95|GOOGL| Alphabet Inc. Class A| 3.40%| North America|Equity|Large Cap Growth Equities||NULC|6|3.ASSET|Equity|28|0.61|V| Visa Inc. Class A| 2.19%| North America|Equity|Large Cap Growth Equities||NULC|6|4.ASSET|Equity|28|0.58|GOOG| Alphabet Inc. Class C| 2.06%| North America|Equity|Large Cap Growth Equities||NULC|6|5.ASSET|Equity|28|0.57|CRM| salesforce.com, inc.| 2.05%| North America|Equity|Large Cap Growth Equities||NULC|6|6.ASSET|Equity|28|0.57|NVDA| NVIDIA Corporation| 2.03%| North America|Equity|Large Cap Growth Equities||NULC|6|7.ASSET|Equity|28|0.56|DIS| Walt Disney Company| 2.00%| North America|Equity|Large Cap Growth Equities||NULC|6|8.ASSET|Equity|28|0.53|TSLA| Tesla Inc| 1.88%| North America|Equity|Large Cap Growth Equities||NULC|6|9.ASSET|Equity|28|0.52|PG| Procter & Gamble Company| 1.86%| North America|Equity|Large Cap Growth Equities||NULC|6|10.ASSET|Equity|28|0.5|KO| Coca-Cola Company| 1.79%| North America|Equity|Large Cap Growth Equities||NULC|6|11.ASSET|Equity|28|0.5|PEP| PepsiCo, Inc.| 1.78%| North America|Equity|Large Cap Growth Equities||NULC|6|12.ASSET|Equity|28|0.5|MELI| MercadoLibre, Inc.| 1.77%| North America|Equity|Large Cap Growth Equities||NULC|6|13.ASSET|Equity|28|0.46|ADBE| Adobe Inc.| 1.64%| North America|Equity|Large Cap Growth Equities||NULC|6|14.ASSET|Equity|28|0.46|INTC| Intel Corporation| 1.64%| North America|Equity|Large Cap Growth Equities||NULC|6|15.ASSET|Equity|28|0.46|DHR| Danaher Corporation| 1.63%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|1.ASSET|Bond|26|0.32|N/A| Government of Uruguay 5.1% 18-JUN-2050| 1.22%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|2.ASSET|Bond|26|0.31|N/A| Government of Poland 3.25% 06-APR-2026| 1.20%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|3.ASSET|Bond|26|0.3|N/A| Government of Indonesia 8.5% 12-OCT-2035| 1.15%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|4.ASSET|Bond|26|0.3|N/A| Government of Saudi Arabia 2.25% 17-MAY-2031| 1.14%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|5.ASSET|Bond|26|0.29|N/A| Government of the Philippines 9.5% 02-FEB-2030| 1.13%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|6.ASSET|Bond|26|0.28|N/A| Government of Qatar 9.75% 15-JUN-2030| 1.09%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|7.ASSET|Bond|26|0.28|N/A| Government of Indonesia 7.75% 17-JAN-2038| 1.09%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|8.ASSET|Bond|26|0.28|N/A| Government of Qatar 6.4% 20-JAN-2040| 1.09%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|9.ASSET|Bond|26|0.28|N/A| Government of Ecuador 1.0% 31-JUL-2035| 1.07%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|10.ASSET|Bond|26|0.27|N/A| Government of Indonesia 3.85% 15-OCT-2030| 1.04%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|11.ASSET|Bond|26|0.27|N/A| Government of Saudi Arabia 3.25% 26-OCT-2026| 1.02%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|12.ASSET|Bond|26|0.26|N/A| Government of Qatar 5.103% 23-APR-2048| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|13.ASSET|Bond|26|0.26|N/A| Government of Indonesia 6.625% 17-FEB-2037| 1.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|14.ASSET|Bond|26|0.25|N/A| Government of Panama 6.7% 26-JAN-2036| 0.96%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|ESEB|6|15.ASSET|Bond|26|0.24|N/A| Government of Panama 4.5% 01-APR-2056| 0.94%| North America|Equity|Large Cap Blend Equities||ACVF|6|1.ASSET|Equity|33.7|2.4|MSFT| Microsoft Corporation| 7.12%| North America|Equity|Large Cap Blend Equities||ACVF|6|2.ASSET|Equity|33.7|0.89|BRK.B| Berkshire Hathaway Inc. Class B| 2.64%| North America|Equity|Large Cap Blend Equities||ACVF|6|3.ASSET|Equity|33.7|0.86|NVDA| NVIDIA Corporation| 2.54%| North America|Equity|Large Cap Blend Equities||ACVF|6|4.ASSET|Equity|33.7|0.69|COST| Costco Wholesale Corporation| 2.06%| North America|Equity|Large Cap Blend Equities||ACVF|6|5.ASSET|Equity|33.7|0.69|TSLA| Tesla Inc| 2.04%| North America|Equity|Large Cap Blend Equities||ACVF|6|6.ASSET|Equity|33.7|0.66|PG| Procter & Gamble Company| 1.95%| North America|Equity|Large Cap Blend Equities||ACVF|6|7.ASSET|Equity|33.7|0.61|HD| Home Depot, Inc.| 1.81%| North America|Equity|Large Cap Blend Equities||ACVF|6|8.ASSET|Equity|33.7|0.6|ADBE| Adobe Inc.| 1.77%| North America|Equity|Large Cap Blend Equities||ACVF|6|9.ASSET|Equity|33.7|0.57|CSCO| Cisco Systems, Inc.| 1.70%| North America|Equity|Large Cap Blend Equities||ACVF|6|10.ASSET|Equity|33.7|0.5|UNH| UnitedHealth Group Incorporated| 1.47%| North America|Equity|Large Cap Blend Equities||ACVF|6|11.ASSET|Equity|33.7|0.45|V| Visa Inc. Class A| 1.34%| North America|Equity|Large Cap Blend Equities||ACVF|6|12.ASSET|Equity|33.7|0.42|PEP| PepsiCo, Inc.| 1.24%| North America|Equity|Large Cap Blend Equities||ACVF|6|13.ASSET|Equity|33.7|0.38|XOM| Exxon Mobil Corporation| 1.13%| North America|Equity|Large Cap Blend Equities||ACVF|6|14.ASSET|Equity|33.7|0.37|MA| Mastercard Incorporated Class A| 1.10%| North America|Equity|Large Cap Blend Equities||ACVF|6|15.ASSET|Equity|33.7|0.35|ACN| Accenture Plc Class A| 1.04%| North America|Equity|Europe Equities||EWK|6|1.ASSET|Equity|23.5|5.17|ABI| Anheuser-Busch InBev SA/NV| 22.01%| North America|Equity|Europe Equities||EWK|6|2.ASSET|Equity|23.5|1.94|KBC| KBC Group N.V.| 8.26%| North America|Equity|Europe Equities||EWK|6|3.ASSET|Equity|23.5|1.64|UCB| UCB S.A.| 6.99%| North America|Equity|Europe Equities||EWK|6|4.ASSET|Equity|23.5|1.57|ARGX| arGEN-X SE| 6.68%| North America|Equity|Europe Equities||EWK|6|5.ASSET|Equity|23.5|1.07|GBLB| Groupe Bruxelles Lambert SA| 4.56%| North America|Equity|Europe Equities||EWK|6|6.ASSET|Equity|23.5|0.98|UMI| Umicore| 4.15%| North America|Equity|Europe Equities||EWK|6|7.ASSET|Equity|23.5|0.95|AGS| ageas SA/NV| 4.03%| North America|Equity|Europe Equities||EWK|6|8.ASSET|Equity|23.5|0.92|SOLB| Solvay SA| 3.91%| North America|Equity|Europe Equities||EWK|6|9.ASSET|Equity|23.5|0.74|SOF| Sofina SA| 3.15%| North America|Equity|Europe Equities||EWK|6|10.ASSET|Equity|23.5|0.69|WDP| Warehouses De Pauw SCA| 2.92%| North America|Equity|Europe Equities||EWK|6|11.ASSET|Equity|23.5|0.58|ELI| Elia Group SA/NV| 2.48%| North America|Equity|Europe Equities||EWK|6|12.ASSET|Equity|23.5|0.56|ACKB| Ackermans & van Haaren NV| 2.39%| North America|Equity|Europe Equities||EWK|6|13.ASSET|Equity|23.5|0.49|AED| Aedifica SA| 2.07%| North America|Equity|Europe Equities||EWK|6|14.ASSET|Equity|23.5|0.46|DIE| D\'Ieteren Group| 1.97%| North America|Equity|Europe Equities||EWK|6|15.ASSET|Equity|23.5|0.44|COFB| Cofinimmo SA| 1.88%| Global|Equity|n/a||MBCC|6|1.ASSET|Equity|29.5|1.51|MA| Mastercard Incorporated Class A| 5.12%| Global|Equity|n/a||MBCC|6|2.ASSET|Equity|29.5|1.49|V| Visa Inc. Class A| 5.04%| Global|Equity|n/a||MBCC|6|3.ASSET|Equity|29.5|1.42|BKNG| Booking Holdings Inc.| 4.82%| Global|Equity|n/a||MBCC|6|4.ASSET|Equity|29.5|1.41|DIS| Walt Disney Company| 4.77%| Global|Equity|n/a||MBCC|6|5.ASSET|Equity|29.5|1.39|AAPL| Apple Inc.| 4.72%| Global|Equity|n/a||MBCC|6|6.ASSET|Equity|29.5|1.38|MDT| Medtronic Plc| 4.67%| Global|Equity|n/a||MBCC|6|7.ASSET|Equity|29.5|1.35|COST| Costco Wholesale Corporation| 4.58%| Global|Equity|n/a||MBCC|6|8.ASSET|Equity|29.5|1.32|ABT| Abbott Laboratories| 4.48%| Global|Equity|n/a||MBCC|6|9.ASSET|Equity|29.5|1.32|TJX| TJX Companies Inc| 4.46%| Global|Equity|n/a||MBCC|6|10.ASSET|Equity|29.5|1.3|GOOGL| Alphabet Inc. Class A| 4.42%| Global|Equity|n/a||MBCC|6|11.ASSET|Equity|29.5|1.27|HON| Honeywell International Inc.| 4.32%| Global|Equity|n/a||MBCC|6|12.ASSET|Equity|29.5|1.25|MSFT| Microsoft Corporation| 4.25%| Global|Equity|n/a||MBCC|6|13.ASSET|Equity|29.5|1.24|NEE| NextEra Energy, Inc.| 4.19%| Global|Equity|n/a||MBCC|6|14.ASSET|Equity|29.5|1.23|ACN| Accenture Plc Class A| 4.17%| Global|Equity|n/a||MBCC|6|15.ASSET|Equity|29.5|1.22|TXN| Texas Instruments Incorporated| 4.14%| North America|Equity|Large Cap Growth Equities||AVDR|6|1.ASSET|Equity|32.8|0.73|TGT| Target Corporation| 2.24%| North America|Equity|Large Cap Growth Equities||AVDR|6|2.ASSET|Equity|32.8|0.73|CERN| Cerner Corporation| 2.24%| North America|Equity|Large Cap Growth Equities||AVDR|6|3.ASSET|Equity|32.8|0.73|AMZN| Amazon.com, Inc.| 2.23%| North America|Equity|Large Cap Growth Equities||AVDR|6|4.ASSET|Equity|32.8|0.73|KMI| Kinder Morgan Inc Class P| 2.23%| North America|Equity|Large Cap Growth Equities||AVDR|6|5.ASSET|Equity|32.8|0.72|XEL| Xcel Energy Inc.| 2.21%| North America|Equity|Large Cap Growth Equities||AVDR|6|6.ASSET|Equity|32.8|0.72|JNPR| Juniper Networks, Inc.| 2.21%| North America|Equity|Large Cap Growth Equities||AVDR|6|7.ASSET|Equity|32.8|0.72|GOOG| Alphabet Inc. Class C| 2.20%| North America|Equity|Large Cap Growth Equities||AVDR|6|8.ASSET|Equity|32.8|0.72|ALL| Allstate Corporation| 2.20%| North America|Equity|Large Cap Growth Equities||AVDR|6|9.ASSET|Equity|32.8|0.72|CB| Chubb Limited| 2.19%| North America|Equity|Large Cap Growth Equities||AVDR|6|10.ASSET|Equity|32.8|0.72|MSI| Motorola Solutions, Inc.| 2.18%| North America|Equity|Large Cap Growth Equities||AVDR|6|11.ASSET|Equity|32.8|0.72|RE| Everest Re Group, Ltd.| 2.18%| North America|Equity|Large Cap Growth Equities||AVDR|6|12.ASSET|Equity|32.8|0.72|CDNS| Cadence Design Systems, Inc.| 2.18%| North America|Equity|Large Cap Growth Equities||AVDR|6|13.ASSET|Equity|32.8|0.71|UPS| United Parcel Service, Inc. Class B| 2.17%| North America|Equity|Large Cap Growth Equities||AVDR|6|14.ASSET|Equity|32.8|0.71|CVS| CVS Health Corporation| 2.16%| North America|Equity|Large Cap Growth Equities||AVDR|6|15.ASSET|Equity|32.8|0.7|PG| Procter & Gamble Company| 2.14%| Global ex-U.S.|Equity|Global Equities||JIDA|6|1.ASSET|Equity|26.7|0.8|NESN| Nestle S.A.| 2.98%| Global ex-U.S.|Equity|Global Equities||JIDA|6|2.ASSET|Equity|26.7|0.65|ASML| ASML Holding NV| 2.42%| Global ex-U.S.|Equity|Global Equities||JIDA|6|3.ASSET|Equity|26.7|0.63|N/A| U.S. Dollar| 2.35%| Global ex-U.S.|Equity|Global Equities||JIDA|6|4.ASSET|Equity|26.7|0.57|NOVO.B| Novo Nordisk A/S Class B| 2.12%| Global ex-U.S.|Equity|Global Equities||JIDA|6|5.ASSET|Equity|26.7|0.51|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.92%| Global ex-U.S.|Equity|Global Equities||JIDA|6|6.ASSET|Equity|26.7|0.46|DGE| Diageo plc| 1.74%| Global ex-U.S.|Equity|Global Equities||JIDA|6|7.ASSET|Equity|26.7|0.4|ROG| Roche Holding Ltd| 1.50%| Global ex-U.S.|Equity|Global Equities||JIDA|6|8.ASSET|Equity|26.7|0.36|6758| Sony Group Corporation| 1.36%| Global ex-U.S.|Equity|Global Equities||JIDA|6|9.ASSET|Equity|26.7|0.36|TTE| TotalEnergies SE| 1.34%| Global ex-U.S.|Equity|Global Equities||JIDA|6|10.ASSET|Equity|26.7|0.36|BHP| BHP Group Ltd| 1.33%| Global ex-U.S.|Equity|Global Equities||JIDA|6|11.ASSET|Equity|26.7|0.34|NOVN| Novartis AG| 1.27%| Global ex-U.S.|Equity|Global Equities||JIDA|6|12.ASSET|Equity|26.7|0.34|7203| Toyota Motor Corp.| 1.27%| Global ex-U.S.|Equity|Global Equities||JIDA|6|13.ASSET|Equity|26.7|0.34|OR| L\'Oreal SA| 1.27%| Global ex-U.S.|Equity|Global Equities||JIDA|6|14.ASSET|Equity|26.7|0.33|ALV| Allianz SE| 1.24%| Global ex-U.S.|Equity|Global Equities||JIDA|6|15.ASSET|Equity|26.7|0.33|6861| Keyence Corporation| 1.23%| |Equity|Global Equities||DWSH|6|1.ASSET|Equity|31.2|29.74|AGPXX| Short Term Investments Trust Government & Agency Portfolio Institutional| 95.33%| |Equity|Global Equities||DWSH|6|2.ASSET|Equity|31.2|23.17|N/A| U.S. Dollar| 74.25%| |Equity|Global Equities||DWSH|6|3.ASSET|Equity|31.2|9.71|HOLD| AdvisorShares North Square McKee Core Reserves ETF| 31.11%| |Equity|Global Equities||DWSH|6|4.ASSET|Equity|31.2|-31.42|N/A| SHORT POSITIONS| -100.69%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|1.ASSET|Equity|28.7|1.36|BHP| BHP Group Ltd| 4.74%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|2.ASSET|Equity|28.7|1.25|XOM| Exxon Mobil Corporation| 4.34%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|3.ASSET|Equity|28.7|1.06|CVX| Chevron Corporation| 3.70%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|4.ASSET|Equity|28.7|1.04|RIO| Rio Tinto plc| 3.62%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|5.ASSET|Equity|28.7|0.84|SHEL| Shell PLC| 2.93%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|6.ASSET|Equity|28.7|0.8|NTR| Nutrien Ltd.| 2.79%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|7.ASSET|Equity|28.7|0.71|ADM| Archer-Daniels-Midland Company| 2.48%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|8.ASSET|Equity|28.7|0.59|GIS| General Mills, Inc.| 2.07%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|9.ASSET|Equity|28.7|0.58|GLEN| Glencore plc| 2.01%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|10.ASSET|Equity|28.7|0.52|TSN| Tyson Foods, Inc. Class A| 1.82%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|11.ASSET|Equity|28.7|0.51|TTE| TotalEnergies SE| 1.79%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|12.ASSET|Equity|28.7|0.5|FCX| Freeport-McMoRan, Inc.| 1.75%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|13.ASSET|Equity|28.7|0.45|HRL| Hormel Foods Corporation| 1.56%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|14.ASSET|Equity|28.7|0.41|SCCO| Southern Copper Corporation| 1.43%| Developed Markets|Equity|Commodity Producers Equities|Materials|GRES|6|15.ASSET|Equity|28.7|0.4|EQNR| Equinor ASA| 1.39%| North America|Equity|Energy Equities|Energy|EINC|6|1.ASSET|Equity|27.2|2.25|TRP| TC Energy Corporation| 8.27%| North America|Equity|Energy Equities|Energy|EINC|6|2.ASSET|Equity|27.2|2.2|ENB| Enbridge Inc.| 8.08%| North America|Equity|Energy Equities|Energy|EINC|6|3.ASSET|Equity|27.2|1.86|KMI| Kinder Morgan Inc Class P| 6.84%| North America|Equity|Energy Equities|Energy|EINC|6|4.ASSET|Equity|27.2|1.83|WMB| Williams Companies, Inc.| 6.73%| North America|Equity|Energy Equities|Energy|EINC|6|5.ASSET|Equity|27.2|1.81|LNG| Cheniere Energy, Inc.| 6.64%| North America|Equity|Energy Equities|Energy|EINC|6|6.ASSET|Equity|27.2|1.41|PBA| Pembina Pipeline Corporation| 5.19%| North America|Equity|Energy Equities|Energy|EINC|6|7.ASSET|Equity|27.2|1.41|OKE| ONEOK, Inc.| 5.18%| North America|Equity|Energy Equities|Energy|EINC|6|8.ASSET|Equity|27.2|1.36|TRGP| Targa Resources Corp.| 5.01%| North America|Equity|Energy Equities|Energy|EINC|6|9.ASSET|Equity|27.2|1.32|ET| Energy Transfer, L.P.| 4.85%| North America|Equity|Energy Equities|Energy|EINC|6|10.ASSET|Equity|27.2|1.27|EPD| Enterprise Products Partners L.P.| 4.66%| North America|Equity|Energy Equities|Energy|EINC|6|11.ASSET|Equity|27.2|1.27|DTM| DT Midstream, Inc.| 4.66%| North America|Equity|Energy Equities|Energy|EINC|6|12.ASSET|Equity|27.2|1.11|KEY| Keyera Corp.| 4.07%| North America|Equity|Energy Equities|Energy|EINC|6|13.ASSET|Equity|27.2|1.04|MPLX| MPLX LP| 3.81%| North America|Equity|Energy Equities|Energy|EINC|6|14.ASSET|Equity|27.2|0.97|MMP| Magellan Midstream Partners, L.P.| 3.57%| North America|Equity|Energy Equities|Energy|EINC|6|15.ASSET|Equity|27.2|0.83|AM| Antero Midstream Corp.| 3.05%| North America|Multi-Asset|Hedge Fund||WBIT|6|1.ASSET|Multi-Asset|28.1|9.71|VTI| Vanguard Total Stock Market ETF| 34.57%| North America|Multi-Asset|Hedge Fund||WBIT|6|2.ASSET|Multi-Asset|28.1|9.71|SCHB| Schwab U.S. Broad Market ETF| 34.57%| North America|Multi-Asset|Hedge Fund||WBIT|6|3.ASSET|Multi-Asset|28.1|8.41|IWV| iShares Russell 3000 ETF| 29.93%| North America|Multi-Asset|Hedge Fund||WBIT|6|4.ASSET|Multi-Asset|28.1|0.26|N/A| U.S. Dollar| 0.93%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|1.ASSET|Equity|24.2|1.35|601012| LONGi Green Energy Technology Co Ltd Class A| 5.58%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|2.ASSET|Equity|24.2|1.25|000858| Wuliangye Yibin Co., Ltd. Class A| 5.16%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|3.ASSET|Equity|24.2|1.23|JD| JD.com, Inc. Sponsored ADR Class A| 5.09%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|4.ASSET|Equity|24.2|1.19|700| Tencent Holdings Ltd.| 4.91%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|5.ASSET|Equity|24.2|0.87|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 3.59%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|6.ASSET|Equity|24.2|0.75|002475| Luxshare Precision Industry Co. Ltd. Class A| 3.10%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|7.ASSET|Equity|24.2|0.74|002714| Muyuan Foods Co., Ltd. Class A| 3.04%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|8.ASSET|Equity|24.2|0.67|000568| Luzhou Laojiao Company Limited Class A| 2.78%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|9.ASSET|Equity|24.2|0.66|300122| Chongqing Zhifei Biological Products Co., Ltd. Class A| 2.72%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|10.ASSET|Equity|24.2|0.63|2331| Li Ning Company Limited| 2.61%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|11.ASSET|Equity|24.2|0.51|600031| Sany Heavy Industry Co., Ltd. Class A| 2.09%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|12.ASSET|Equity|24.2|0.49|600809| Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A| 2.03%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|13.ASSET|Equity|24.2|0.47|2382| Sunny Optical Technology (Group) Co., Ltd.| 1.95%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|14.ASSET|Equity|24.2|0.42|600585| Anhui Conch Cement Company Limited Class A| 1.72%| Global ex-U.S.|Equity|Foreign Large Cap Equities||GLCN|6|15.ASSET|Equity|24.2|0.4|300015| Aier Eye Hospital Group Co., Ltd. Class A| 1.66%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|1.ASSET|Equity|22.8|0.54|MMYT| MakeMyTrip Ltd.| 2.38%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|2.ASSET|Equity|22.8|0.52|SBID| State Bank of India Sponsored GDR RegS| 2.26%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|3.ASSET|Equity|22.8|0.51|IBN| ICICI Bank Limited Sponsored ADR| 2.22%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|4.ASSET|Equity|22.8|0.5|RIGD| Reliance Industries Limited Sponsored GDR 144A| 2.18%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|5.ASSET|Equity|22.8|0.49|INFY| Infosys Limited Sponsored ADR| 2.17%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|6.ASSET|Equity|22.8|0.49|WNS| WNS (Holdings) Limited Sponsored ADR| 2.15%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|7.ASSET|Equity|22.8|0.49|TTM| Tata Motors Limited Sponsored ADR| 2.13%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|8.ASSET|Equity|22.8|0.48|RNW| ReNew Energy Global plc Class A| 2.10%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|9.ASSET|Equity|22.8|0.46|HDB| HDFC Bank Limited Sponsored ADR| 2.03%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|10.ASSET|Equity|22.8|0.42|WIT| Wipro Limited Sponsored ADR| 1.86%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|11.ASSET|Equity|22.8|0.41|AZRE| Azure Power Global Ltd.| 1.81%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|12.ASSET|Equity|22.8|0.41|RDY| Dr. Reddy\'s Laboratories Ltd. Sponsored ADR| 1.78%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|13.ASSET|Equity|22.8|0.37|VALE| Vale S.A. Sponsored ADR| 1.64%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|14.ASSET|Equity|22.8|0.37|PRIO3| Petro Rio SA| 1.61%| Emerging Markets|Equity|Emerging Markets Equities||BICK|6|15.ASSET|Equity|22.8|0.34|B3SA3| B3 SA - Brasil, Bolsa, Balcao| 1.49%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|1.ASSET|Equity|26.6|0.71|RIO| Rio Tinto plc| 2.67%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|2.ASSET|Equity|26.6|0.63|MO| Altria Group Inc| 2.37%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|3.ASSET|Equity|26.6|0.6|KO| Coca-Cola Company| 2.25%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|4.ASSET|Equity|26.6|0.6|AMGN| Amgen Inc.| 2.24%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|5.ASSET|Equity|26.6|0.59|1120| Al Rajhi Bank| 2.23%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|6.ASSET|Equity|26.6|0.59|PM| Philip Morris International Inc.| 2.23%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|7.ASSET|Equity|26.6|0.59|9433| KDDI Corporation| 2.22%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|8.ASSET|Equity|26.6|0.59|BNS| Bank of Nova Scotia| 2.21%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|9.ASSET|Equity|26.6|0.57|TD| Toronto-Dominion Bank| 2.16%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|10.ASSET|Equity|26.6|0.57|NOVN| Novartis AG| 2.16%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|11.ASSET|Equity|26.6|0.56|PG| Procter & Gamble Company| 2.10%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|12.ASSET|Equity|26.6|0.56|IBM| International Business Machines Corporation| 2.10%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|13.ASSET|Equity|26.6|0.56|RY| Royal Bank of Canada| 2.10%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|14.ASSET|Equity|26.6|0.56|ZURN| Zurich Insurance Group Ltd| 2.09%| Developed Markets|Equity|Large Cap Blend Equities||FLQD|6|15.ASSET|Equity|26.6|0.55|CSCO| Cisco Systems, Inc.| 2.06%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|1.ASSET|Equity|27.2|2.82|857| PetroChina Company Limited Class H| 10.35%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|2.ASSET|Equity|27.2|1.57|386| China Petroleum & Chemical Corporation Class H| 5.78%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|3.ASSET|Equity|27.2|0.97|2628| China Life Insurance Co. Ltd. Class H| 3.57%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|4.ASSET|Equity|27.2|0.95|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 3.51%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|5.ASSET|Equity|27.2|0.85|PETR4| Petroleo Brasileiro SA Pfd| 3.11%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|6.ASSET|Equity|27.2|0.84|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.08%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|7.ASSET|Equity|27.2|0.72|1088| China Shenhua Energy Co. Ltd. Class H| 2.63%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|8.ASSET|Equity|27.2|0.54|2317| Hon Hai Precision Industry Co., Ltd.| 1.98%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|9.ASSET|Equity|27.2|0.41|390| China Railway Group Limited Class H| 1.51%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|10.ASSET|Equity|27.2|0.38|INFY| Infosys Limited Sponsored ADR| 1.40%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|11.ASSET|Equity|27.2|0.37|VALE3| Vale S.A.| 1.35%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|12.ASSET|Equity|27.2|0.36|9988| Alibaba Group Holding Ltd.| 1.34%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|13.ASSET|Equity|27.2|0.36|2601| China Pacific Insurance (Group) Co., Ltd. Class H| 1.31%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|14.ASSET|Equity|27.2|0.35|2202| China Vanke Co., Ltd Class H| 1.28%| Emerging Markets|Equity|Emerging Markets Equities||ISEM|6|15.ASSET|Equity|27.2|0.33|FMX| Fomento Economico Mexicano SAB de CV Sponsored ADR Class B| 1.20%| |Commodity|Leveraged Commodities||GLL|6|1.ASSET|Commodity|28.3|28.3|N/A| Gold| 100.00%| Developed Markets|Currency|Currency||DBV|6|1.ASSET|Currency|28.1|15.84|N/A| MUTUAL FUND (OTHER)| 56.36%| Developed Markets|Currency|Currency||DBV|6|2.ASSET|Currency|28.1|15.8|N/A| MUTUAL FUND (OTHER)| 56.23%| Developed Markets|Currency|Currency||DBV|6|3.ASSET|Currency|28.1|6.99|N/A| U.S. Dollar| 24.88%| Developed Markets|Currency|Currency||DBV|6|4.ASSET|Currency|28.1|6.98|N/A| U.S. Dollar| 24.85%| Developed Markets|Currency|Currency||DBV|6|5.ASSET|Currency|28.1|3.03|N/A| United States Treasury Bills 0.0% 21-APR-2022| 10.80%| Developed Markets|Currency|Currency||DBV|6|6.ASSET|Currency|28.1|3.02|N/A| United States Treasury Bills 0.0% 21-APR-2022| 10.74%| Developed Markets|Currency|Currency||DBV|6|7.ASSET|Currency|28.1|1.51|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 5.39%| Developed Markets|Currency|Currency||DBV|6|8.ASSET|Currency|28.1|1.51|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 5.36%| Developed Markets|Currency|Currency||DBV|6|9.ASSET|Currency|28.1|0.76|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 2.70%| Developed Markets|Currency|Currency||DBV|6|10.ASSET|Currency|28.1|0.76|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 2.69%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|1.ASSET|Equity|16.7|1.03|RGEN| Repligen Corporation| 6.15%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|2.ASSET|Equity|16.7|0.97|TMO| Thermo Fisher Scientific Inc.| 5.82%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|3.ASSET|Equity|16.7|0.84|NTLA| Intellia Therapeutics, Inc.| 5.02%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|4.ASSET|Equity|16.7|0.65|BRKR| Bruker Corporation| 3.88%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|5.ASSET|Equity|16.7|0.64|DHR| Danaher Corporation| 3.83%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|6.ASSET|Equity|16.7|0.61|CTLT| Catalent Inc| 3.65%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|7.ASSET|Equity|16.7|0.59|NTRA| Natera, Inc.| 3.52%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|8.ASSET|Equity|16.7|0.59|A| Agilent Technologies, Inc.| 3.51%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|9.ASSET|Equity|16.7|0.58|BIO| Bio-Rad Laboratories, Inc. Class A| 3.47%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|10.ASSET|Equity|16.7|0.57|AZN| Astrazeneca PLC Sponsored ADR| 3.44%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|11.ASSET|Equity|16.7|0.57|AVTR| Avantor, Inc.| 3.44%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|12.ASSET|Equity|16.7|0.53|LONN| Lonza Group AG| 3.15%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|13.ASSET|Equity|16.7|0.51|207940| SAMSUNG BIOLOGICS Co., Ltd.| 3.06%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|14.ASSET|Equity|16.7|0.49|N/A| U.S. Dollar| 2.92%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|HELX|6|15.ASSET|Equity|16.7|0.48|CRL| Charles River Laboratories International, Inc.| 2.89%| Global|Equity|n/a||FSMO|6|1.ASSET|Equity|29.6|0.55|BLDR| Builders FirstSource, Inc.| 1.86%| Global|Equity|n/a||FSMO|6|2.ASSET|Equity|29.6|0.5|SBNY| Signature Bank| 1.68%| Global|Equity|n/a||FSMO|6|3.ASSET|Equity|29.6|0.44|MOH| Molina Healthcare, Inc.| 1.47%| Global|Equity|n/a||FSMO|6|4.ASSET|Equity|29.6|0.43|JLL| Jones Lang LaSalle Incorporated| 1.44%| Global|Equity|n/a||FSMO|6|5.ASSET|Equity|29.6|0.42|CRL| Charles River Laboratories International, Inc.| 1.41%| Global|Equity|n/a||FSMO|6|6.ASSET|Equity|29.6|0.37|TFII| TFI International Inc.| 1.25%| Global|Equity|n/a||FSMO|6|7.ASSET|Equity|29.6|0.37|CMA| Comerica Incorporated| 1.25%| Global|Equity|n/a||FSMO|6|8.ASSET|Equity|29.6|0.35|MHK| Mohawk Industries, Inc.| 1.17%| Global|Equity|n/a||FSMO|6|9.ASSET|Equity|29.6|0.34|CUBE| CubeSmart| 1.16%| Global|Equity|n/a||FSMO|6|10.ASSET|Equity|29.6|0.34|TPR| Tapestry, Inc.| 1.15%| Global|Equity|n/a||FSMO|6|11.ASSET|Equity|29.6|0.33|WSM| Williams-Sonoma, Inc.| 1.11%| Global|Equity|n/a||FSMO|6|12.ASSET|Equity|29.6|0.33|DAR| Darling Ingredients Inc.| 1.11%| Global|Equity|n/a||FSMO|6|13.ASSET|Equity|29.6|0.32|ARW| Arrow Electronics, Inc.| 1.09%| Global|Equity|n/a||FSMO|6|14.ASSET|Equity|29.6|0.31|AZO| AutoZone, Inc.| 1.05%| Global|Equity|n/a||FSMO|6|15.ASSET|Equity|29.6|0.31|WAL| Western Alliance Bancorp| 1.05%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|1.ASSET|Equity|15.2|0.38|PLS| Pilbara Minerals Limited| 2.47%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|2.ASSET|Equity|15.2|0.36|LYC| Lynas Rare Earths Limited| 2.34%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|3.ASSET|Equity|15.2|0.34|FMG| Fortescue Metals Group Ltd| 2.21%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|4.ASSET|Equity|15.2|0.33|NST| Northern Star Resources Ltd| 2.14%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|5.ASSET|Equity|15.2|0.32|N/A| U.S. Dollar| 2.11%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|6.ASSET|Equity|15.2|0.31|S32| South32 Ltd.| 2.04%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|7.ASSET|Equity|15.2|0.3|066970| L & F Co., Ltd.| 1.96%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|8.ASSET|Equity|15.2|0.29|010130| Korea Zinc Co., Ltd.| 1.94%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|9.ASSET|Equity|15.2|0.27|RIO| Rio Tinto Limited| 1.75%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|10.ASSET|Equity|15.2|0.26|034220| LG Display Co., Ltd| 1.70%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|11.ASSET|Equity|15.2|0.26|000660| SK hynix Inc| 1.68%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|12.ASSET|Equity|15.2|0.24|028050| Samsung Engineering Co., Ltd.| 1.57%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|13.ASSET|Equity|15.2|0.22|005490| POSCO| 1.48%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|14.ASSET|Equity|15.2|0.22|011170| Lotte Chemical Corp.| 1.47%| Broad Asia|Equity|Asia Pacific Equities||FPA|6|15.ASSET|Equity|15.2|0.22|HVN| Harvey Norman Holdings Ltd| 1.46%| North America|Equity|n/a||QJUN|6|1.ASSET|Equity|24.3|24.17|N/A| OPTIONS| 99.48%| North America|Equity|n/a||QJUN|6|2.ASSET|Equity|24.3|0.13|N/A| U.S. Dollar| 0.52%| North America|Equity|Large Cap Blend Equities||JUSA|6|1.ASSET|Equity|27.3|1.88|MSFT| Microsoft Corporation| 6.87%| North America|Equity|Large Cap Blend Equities||JUSA|6|2.ASSET|Equity|27.3|1.62|AAPL| Apple Inc.| 5.95%| North America|Equity|Large Cap Blend Equities||JUSA|6|3.ASSET|Equity|27.3|0.95|AMZN| Amazon.com, Inc.| 3.47%| North America|Equity|Large Cap Blend Equities||JUSA|6|4.ASSET|Equity|27.3|0.78|GOOGL| Alphabet Inc. Class A| 2.87%| North America|Equity|Large Cap Blend Equities||JUSA|6|5.ASSET|Equity|27.3|0.72|GOOG| Alphabet Inc. Class C| 2.62%| North America|Equity|Large Cap Blend Equities||JUSA|6|6.ASSET|Equity|27.3|0.58|ABBV| AbbVie, Inc.| 2.11%| North America|Equity|Large Cap Blend Equities||JUSA|6|7.ASSET|Equity|27.3|0.45|DE| Deere & Company| 1.65%| North America|Equity|Large Cap Blend Equities||JUSA|6|8.ASSET|Equity|27.3|0.43|TSLA| Tesla Inc| 1.57%| North America|Equity|Large Cap Blend Equities||JUSA|6|9.ASSET|Equity|27.3|0.42|LOW| Lowe\'s Companies, Inc.| 1.54%| North America|Equity|Large Cap Blend Equities||JUSA|6|10.ASSET|Equity|27.3|0.42|WFC| Wells Fargo & Company| 1.53%| North America|Equity|Large Cap Blend Equities||JUSA|6|11.ASSET|Equity|27.3|0.4|MA| Mastercard Incorporated Class A| 1.45%| North America|Equity|Large Cap Blend Equities||JUSA|6|12.ASSET|Equity|27.3|0.39|BMY| Bristol-Myers Squibb Company| 1.43%| North America|Equity|Large Cap Blend Equities||JUSA|6|13.ASSET|Equity|27.3|0.35|MS| Morgan Stanley| 1.29%| North America|Equity|Large Cap Blend Equities||JUSA|6|14.ASSET|Equity|27.3|0.35|AMD| Advanced Micro Devices, Inc.| 1.28%| North America|Equity|Large Cap Blend Equities||JUSA|6|15.ASSET|Equity|27.3|0.34|NXPI| NXP Semiconductors NV| 1.24%| North America|Equity|Large Cap Growth Equities||SPXE|6|1.ASSET|Equity|28.7|2.07|AAPL| Apple Inc.| 7.22%| North America|Equity|Large Cap Growth Equities||SPXE|6|2.ASSET|Equity|28.7|1.81|MSFT| Microsoft Corporation| 6.29%| North America|Equity|Large Cap Growth Equities||SPXE|6|3.ASSET|Equity|28.7|1.08|AMZN| Amazon.com, Inc.| 3.75%| North America|Equity|Large Cap Growth Equities||SPXE|6|4.ASSET|Equity|28.7|0.66|GOOGL| Alphabet Inc. Class A| 2.29%| North America|Equity|Large Cap Growth Equities||SPXE|6|5.ASSET|Equity|28.7|0.61|GOOG| Alphabet Inc. Class C| 2.13%| North America|Equity|Large Cap Growth Equities||SPXE|6|6.ASSET|Equity|28.7|0.57|TSLA| Tesla Inc| 2.00%| North America|Equity|Large Cap Growth Equities||SPXE|6|7.ASSET|Equity|28.7|0.48|NVDA| NVIDIA Corporation| 1.67%| North America|Equity|Large Cap Growth Equities||SPXE|6|8.ASSET|Equity|28.7|0.47|BRK.B| Berkshire Hathaway Inc. Class B| 1.65%| North America|Equity|Large Cap Growth Equities||SPXE|6|9.ASSET|Equity|28.7|0.39|FB| Meta Platforms Inc. Class A| 1.37%| North America|Equity|Large Cap Growth Equities||SPXE|6|10.ASSET|Equity|28.7|0.36|UNH| UnitedHealth Group Incorporated| 1.27%| North America|Equity|Large Cap Growth Equities||SPXE|6|11.ASSET|Equity|28.7|0.35|JNJ| Johnson & Johnson| 1.23%| North America|Equity|Large Cap Growth Equities||SPXE|6|12.ASSET|Equity|28.7|0.33|JPM| JPMorgan Chase & Co.| 1.15%| North America|Equity|Large Cap Growth Equities||SPXE|6|13.ASSET|Equity|28.7|0.3|PG| Procter & Gamble Company| 1.05%| North America|Equity|Large Cap Growth Equities||SPXE|6|14.ASSET|Equity|28.7|0.29|V| Visa Inc. Class A| 1.00%| North America|Equity|Large Cap Growth Equities||SPXE|6|15.ASSET|Equity|28.7|0.28|HD| Home Depot, Inc.| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|1.ASSET|Equity|23.1|0.59|8001| Itochu Corporation| 2.55%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|2.ASSET|Equity|23.1|0.57|8058| Mitsubishi Corporation| 2.45%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|3.ASSET|Equity|23.1|0.56|4502| Takeda Pharmaceutical Co. Ltd.| 2.41%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|4.ASSET|Equity|23.1|0.53|9735| Secom Co., Ltd.| 2.31%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|5.ASSET|Equity|23.1|0.48|REL| RELX PLC| 2.07%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|6.ASSET|Equity|23.1|0.48|NOVN| Novartis AG| 2.06%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|7.ASSET|Equity|23.1|0.46|ROG| Roche Holding Ltd| 1.98%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|8.ASSET|Equity|23.1|0.31|CRDA| Croda International Plc| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|9.ASSET|Equity|23.1|0.31|OTEX| Open Text Corporation| 1.34%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|10.ASSET|Equity|23.1|0.28|8630| Sompo Holdings,Inc.| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|11.ASSET|Equity|23.1|0.26|8411| Mizuho Financial Group, Inc.| 1.14%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|12.ASSET|Equity|23.1|0.23|TSCO| Tesco PLC| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|13.ASSET|Equity|23.1|0.21|DGE| Diageo plc| 0.89%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|14.ASSET|Equity|23.1|0.19|HEN3| Henkel AG & Co. KGaA Pref| 0.83%| Developed Markets|Equity|Foreign Large Cap Equities||RNDM|6|15.ASSET|Equity|23.1|0.19|NESN| Nestle S.A.| 0.82%| North America|Equity|Volatility Hedged Equity||UFEB|6|1.ASSET|Equity|36|35.76|N/A| OPTIONS| 99.33%| North America|Equity|Volatility Hedged Equity||UFEB|6|2.ASSET|Equity|36|35.76|N/A| OPTIONS| 99.32%| North America|Equity|Volatility Hedged Equity||UFEB|6|3.ASSET|Equity|36|0.24|N/A| U.S. Dollar| 0.68%| North America|Equity|Volatility Hedged Equity||UFEB|6|4.ASSET|Equity|36|0.24|N/A| U.S. Dollar| 0.67%| North America|Equity|Large Cap Growth Equities||RECS|6|1.ASSET|Equity|31.6|2.64|AAPL| Apple Inc.| 8.37%| North America|Equity|Large Cap Growth Equities||RECS|6|2.ASSET|Equity|31.6|2.29|MSFT| Microsoft Corporation| 7.24%| North America|Equity|Large Cap Growth Equities||RECS|6|3.ASSET|Equity|31.6|0.94|MCD| McDonald\'s Corporation| 2.99%| North America|Equity|Large Cap Growth Equities||RECS|6|4.ASSET|Equity|31.6|0.87|GOOGL| Alphabet Inc. Class A| 2.75%| North America|Equity|Large Cap Growth Equities||RECS|6|5.ASSET|Equity|31.6|0.81|GOOG| Alphabet Inc. Class C| 2.57%| North America|Equity|Large Cap Growth Equities||RECS|6|6.ASSET|Equity|31.6|0.69|JNJ| Johnson & Johnson| 2.18%| North America|Equity|Large Cap Growth Equities||RECS|6|7.ASSET|Equity|31.6|0.6|XOM| Exxon Mobil Corporation| 1.90%| North America|Equity|Large Cap Growth Equities||RECS|6|8.ASSET|Equity|31.6|0.57|WFC| Wells Fargo & Company| 1.79%| North America|Equity|Large Cap Growth Equities||RECS|6|9.ASSET|Equity|31.6|0.54|FB| Meta Platforms Inc. Class A| 1.70%| North America|Equity|Large Cap Growth Equities||RECS|6|10.ASSET|Equity|31.6|0.5|PG| Procter & Gamble Company| 1.57%| North America|Equity|Large Cap Growth Equities||RECS|6|11.ASSET|Equity|31.6|0.48|BKNG| Booking Holdings Inc.| 1.51%| North America|Equity|Large Cap Growth Equities||RECS|6|12.ASSET|Equity|31.6|0.41|PFE| Pfizer Inc.| 1.31%| North America|Equity|Large Cap Growth Equities||RECS|6|13.ASSET|Equity|31.6|0.36|V| Visa Inc. Class A| 1.15%| North America|Equity|Large Cap Growth Equities||RECS|6|14.ASSET|Equity|31.6|0.35|UNP| Union Pacific Corporation| 1.11%| North America|Equity|Large Cap Growth Equities||RECS|6|15.ASSET|Equity|31.6|0.33|C| Citigroup Inc.| 1.04%| Global|Alternatives|Long-Short||MSVX|6|1.ASSET|Alternatives|38.9|16.67|FGXXX| First American Funds Inc X Government Obligations Fund| 42.85%| Global|Alternatives|Long-Short||MSVX|6|2.ASSET|Alternatives|38.9|16.67|FXFXX| First American Funds Inc X Treasury Obligations Fund| 42.85%| Global|Alternatives|Long-Short||MSVX|6|3.ASSET|Alternatives|38.9|5.84|N/A| United States Treasury Bills 0.0% 21-APR-2022| 15.02%| Global|Alternatives|Long-Short||MSVX|6|4.ASSET|Alternatives|38.9|-0.09|N/A| FUTURES| -0.22%| Global|Alternatives|Long-Short||MSVX|6|5.ASSET|Alternatives|38.9|-0.19|N/A| U.S. Dollar| -0.50%| |Commodity|Agricultural Commodities||SGG|6|1.ASSET|Commodity|27.7|27.7|N/A| Sugar| 100.00%| North America|Equity|Large Cap Blend Equities||JCTR|6|1.ASSET|Equity|23.7|1.52|AAPL| Apple Inc.| 6.42%| North America|Equity|Large Cap Blend Equities||JCTR|6|2.ASSET|Equity|23.7|1.36|MSFT| Microsoft Corporation| 5.74%| North America|Equity|Large Cap Blend Equities||JCTR|6|3.ASSET|Equity|23.7|0.98|GOOGL| Alphabet Inc. Class A| 4.12%| North America|Equity|Large Cap Blend Equities||JCTR|6|4.ASSET|Equity|23.7|0.82|AMZN| Amazon.com, Inc.| 3.45%| North America|Equity|Large Cap Blend Equities||JCTR|6|5.ASSET|Equity|23.7|0.38|NVDA| NVIDIA Corporation| 1.60%| North America|Equity|Large Cap Blend Equities||JCTR|6|6.ASSET|Equity|23.7|0.37|TSLA| Tesla Inc| 1.55%| North America|Equity|Large Cap Blend Equities||JCTR|6|7.ASSET|Equity|23.7|0.34|UNH| UnitedHealth Group Incorporated| 1.45%| North America|Equity|Large Cap Blend Equities||JCTR|6|8.ASSET|Equity|23.7|0.32|JNJ| Johnson & Johnson| 1.33%| North America|Equity|Large Cap Blend Equities||JCTR|6|9.ASSET|Equity|23.7|0.3|XOM| Exxon Mobil Corporation| 1.26%| North America|Equity|Large Cap Blend Equities||JCTR|6|10.ASSET|Equity|23.7|0.28|V| Visa Inc. Class A| 1.19%| North America|Equity|Large Cap Blend Equities||JCTR|6|11.ASSET|Equity|23.7|0.26|HD| Home Depot, Inc.| 1.11%| North America|Equity|Large Cap Blend Equities||JCTR|6|12.ASSET|Equity|23.7|0.26|FB| Meta Platforms Inc. Class A| 1.11%| North America|Equity|Large Cap Blend Equities||JCTR|6|13.ASSET|Equity|23.7|0.26|PG| Procter & Gamble Company| 1.10%| North America|Equity|Large Cap Blend Equities||JCTR|6|14.ASSET|Equity|23.7|0.26|BAC| Bank of America Corp| 1.08%| North America|Equity|Large Cap Blend Equities||JCTR|6|15.ASSET|Equity|23.7|0.25|MA| Mastercard Incorporated Class A| 1.07%| Global|Commodity|Metals||JJN|6|1.ASSET|Commodity|60.3|60.3|N/A| Nickel| 100.00%| North America|Alternatives|Long-Short||HTUS|6|1.ASSET|Alternatives|24.9|9.28|N/A| U.S. Dollar| 37.27%| North America|Alternatives|Long-Short||HTUS|6|2.ASSET|Alternatives|24.9|8.4|N/A| FUTURES| 33.72%| North America|Alternatives|Long-Short||HTUS|6|3.ASSET|Alternatives|24.9|7.3|SPY| SPDR S&P 500 ETF Trust| 29.31%| North America|Alternatives|Long-Short||HTUS|6|4.ASSET|Alternatives|24.9|-0.08|N/A| OPTIONS| -0.31%| North America|Bond|National Munis|Municipal Bond|AVMU|6|1.ASSET|Bond|29.1|0.42|N/A| Indiana St Fin Auth Wastewater Util Rev 4.0% 01-OCT-2036| 1.45%| North America|Bond|National Munis|Municipal Bond|AVMU|6|2.ASSET|Bond|29.1|0.42|N/A| Denver Colo City & Cnty 5.0% 01-AUG-2030| 1.43%| North America|Bond|National Munis|Municipal Bond|AVMU|6|3.ASSET|Bond|29.1|0.41|N/A| District Columbia Income Tax Rev 4.0% 01-MAR-2037| 1.42%| North America|Bond|National Munis|Municipal Bond|AVMU|6|4.ASSET|Bond|29.1|0.32|N/A| California St 3.0% 01-OCT-2035| 1.09%| North America|Bond|National Munis|Municipal Bond|AVMU|6|5.ASSET|Bond|29.1|0.31|N/A| California St 5.25% 01-AUG-2032| 1.05%| North America|Bond|National Munis|Municipal Bond|AVMU|6|6.ASSET|Bond|29.1|0.3|N/A| Washington St 5.0% 01-AUG-2032| 1.04%| North America|Bond|National Munis|Municipal Bond|AVMU|6|7.ASSET|Bond|29.1|0.3|N/A| Dallas Tex Area Rapid Tran Sales Tax Rev 5.0% 01-DEC-2033| 1.03%| North America|Bond|National Munis|Municipal Bond|AVMU|6|8.ASSET|Bond|29.1|0.29|N/A| Private Colleges & Univs Auth Ga Rev 4.0% 01-SEP-2038| 1.00%| North America|Bond|National Munis|Municipal Bond|AVMU|6|9.ASSET|Bond|29.1|0.28|N/A| Grand River Dam Auth Okla Rev 5.0% 01-JUN-2025| 0.97%| North America|Bond|National Munis|Municipal Bond|AVMU|6|10.ASSET|Bond|29.1|0.27|N/A| Metropolitan Atlanta Rapid Tran Auth Ga Sales Tax Rev 3.25% 01-JUL-2039| 0.93%| North America|Bond|National Munis|Municipal Bond|AVMU|6|11.ASSET|Bond|29.1|0.25|N/A| Alabama St Pub Sch & College Auth 5.0% 01-NOV-2037| 0.87%| North America|Bond|National Munis|Municipal Bond|AVMU|6|12.ASSET|Bond|29.1|0.25|N/A| New York St Urban Dev Corp Rev 5.0% 15-MAR-2038| 0.86%| North America|Bond|National Munis|Municipal Bond|AVMU|6|13.ASSET|Bond|29.1|0.25|N/A| Los Angeles Calif Dept Arpts Rev 5.0% 15-MAY-2039| 0.85%| North America|Bond|National Munis|Municipal Bond|AVMU|6|14.ASSET|Bond|29.1|0.25|N/A| Los Angeles Calif Dept Arpts Rev 5.0% 15-MAY-2037| 0.85%| North America|Bond|National Munis|Municipal Bond|AVMU|6|15.ASSET|Bond|29.1|0.24|N/A| Gwinnett Cnty Ga Sch Dist 4.0% 01-FEB-2037| 0.82%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|1.ASSET|Equity|29.7|1.04|OXLC| Oxford Lane Capital Corp.| 3.50%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|2.ASSET|Equity|29.7|1.02|JQC| Nuveen Credit Strategies Income Fund| 3.42%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|3.ASSET|Equity|29.7|0.83|FSK| FS KKR Capital Corp.| 2.80%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|4.ASSET|Equity|29.7|0.79|BKCC| BlackRock Capital Investment Corporation| 2.67%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|5.ASSET|Equity|29.7|0.76|ECC| Eagle Point Credit Co., Inc.| 2.55%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|6.ASSET|Equity|29.7|0.72|AINV| Apollo Investment Corporation| 2.44%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|7.ASSET|Equity|29.7|0.7|CGBD| TCG BDC, Inc.| 2.35%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|8.ASSET|Equity|29.7|0.67|N/A| U.S. Dollar| 2.27%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|9.ASSET|Equity|29.7|0.64|TCPC| BlackRock TCP Capital Corp.| 2.16%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|10.ASSET|Equity|29.7|0.63|WHF| WhiteHorse Finance, Inc.| 2.12%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|11.ASSET|Equity|29.7|0.63|KIO| KKR Income Opportunities Fund| 2.11%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|12.ASSET|Equity|29.7|0.63|NMFC| New Mountain Finance Corporation| 2.11%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|13.ASSET|Equity|29.7|0.61|XFLT| XAI Octagon Floating Rate & Alternative Income Term Trust| 2.06%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|14.ASSET|Equity|29.7|0.61|BCSF| Bain Capital Specialty Finance, Inc.| 2.05%| North America|Equity|Small Cap Blend Equities|Financials|VPC|6|15.ASSET|Equity|29.7|0.61|SLRC| SLR Investment Corp.| 2.05%| North America|Commodity|Precious Metals||IGLD|6|1.ASSET|Commodity|36.9|27.87|N/A| United States Treasury Bills 0.0% 03-NOV-2022| 75.53%| North America|Commodity|Precious Metals||IGLD|6|2.ASSET|Commodity|36.9|8.21|N/A| MUTUAL FUND (OTHER)| 22.24%| North America|Commodity|Precious Metals||IGLD|6|3.ASSET|Commodity|36.9|0.82|N/A| U.S. Dollar| 2.23%| |Commodity|Commodities||GSP|6|1.ASSET|Commodity|42.8|16.13|N/A| Sweet Light Crude Oil (WTI)| 37.69%| |Commodity|Commodities||GSP|6|2.ASSET|Commodity|42.8|5.78|N/A| Brent Crude Oil| 13.51%| |Commodity|Commodities||GSP|6|3.ASSET|Commodity|42.8|2.78|N/A| Natural Gas| 6.49%| |Commodity|Commodities||GSP|6|4.ASSET|Commodity|42.8|2.09|N/A| NY Harbor ULSD (Heating Oil)| 4.88%| |Commodity|Commodities||GSP|6|5.ASSET|Commodity|42.8|2.05|N/A| Wheat| 4.79%| |Commodity|Commodities||GSP|6|6.ASSET|Commodity|42.8|2.05|N/A| Gas Oil| 4.78%| |Commodity|Commodities||GSP|6|7.ASSET|Commodity|42.8|1.87|N/A| Gasoline RBOB| 4.36%| |Commodity|Commodities||GSP|6|8.ASSET|Commodity|42.8|1.51|N/A| Corn| 3.53%| |Commodity|Commodities||GSP|6|9.ASSET|Commodity|42.8|1.34|N/A| Copper| 3.13%| |Commodity|Commodities||GSP|6|10.ASSET|Commodity|42.8|1.03|N/A| Aluminum| 2.41%| |Commodity|Commodities||GSP|6|11.ASSET|Commodity|42.8|1.03|N/A| Soybean| 2.40%| |Commodity|Commodities||GSP|6|12.ASSET|Commodity|42.8|0.92|N/A| Live Cattle| 2.15%| |Commodity|Commodities||GSP|6|13.ASSET|Commodity|42.8|0.88|N/A| Gold| 2.05%| |Commodity|Commodities||GSP|6|14.ASSET|Commodity|42.8|0.47|N/A| Sugar| 1.09%| |Commodity|Commodities||GSP|6|15.ASSET|Commodity|42.8|0.46|N/A| Lean Hogs| 1.07%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|1.ASSET|Equity|24.1|10.92|IWN| iShares Russell 2000 Value ETF| 45.33%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|2.ASSET|Equity|24.1|5.8|IWO| iShares Russell 2000 Growth ETF| 24.07%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|3.ASSET|Equity|24.1|3.41|EEMS| iShares MSCI Emerging Markets Small Cap ETF| 14.13%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|4.ASSET|Equity|24.1|2.39|SCZ| iShares MSCI EAFE Small-Cap ETF| 9.93%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|5.ASSET|Equity|24.1|1.16|IWM| iShares Russell 2000 ETF| 4.80%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|6.ASSET|Equity|24.1|0.33|OEG| Orbital Energy Group, Inc.| 1.37%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|7.ASSET|Equity|24.1|0.11|FIGXX| Fidelity Institutional Cash Portfolios Fund Money Market Government Fund I| 0.45%| Developed Markets|Equity|Small Cap Blend Equities||SMCP|6|8.ASSET|Equity|24.1|-0.02|N/A| U.S. Dollar| -0.07%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|1.ASSET|Equity|23.7|0.76|EXX| Exxaro Resources Limited| 3.19%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|2.ASSET|Equity|23.7|0.67|PETR3| Petroleo Brasileiro SA| 2.81%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|3.ASSET|Equity|23.7|0.66|ARI| African Rainbow Minerals Limited| 2.78%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|4.ASSET|Equity|23.7|0.64|EREGL.E| Eregli Demir Ve Celik Fabrikalari T.A.S.| 2.72%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|5.ASSET|Equity|23.7|0.61|VOD| Vodacom Group Limited| 2.57%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|6.ASSET|Equity|23.7|0.61|1088| China Shenhua Energy Co. Ltd. Class H| 2.56%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|7.ASSET|Equity|23.7|0.6|LIVEPOLC.1| El Puerto de Liverpool SAB de CV| 2.54%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|8.ASSET|Equity|23.7|0.58|VBBR3| Vibra Energia SA| 2.45%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|9.ASSET|Equity|23.7|0.58|JBSS3| JBS S.A.| 2.44%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|10.ASSET|Equity|23.7|0.57|EGIE3| ENGIE Brasil Energia S.A.| 2.40%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|11.ASSET|Equity|23.7|0.57|BSANTANDER| Banco Santander-Chile| 2.40%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|12.ASSET|Equity|23.7|0.56|1155| Malayan Banking Bhd.| 2.37%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|13.ASSET|Equity|23.7|0.56|MRP| Mr Price Group Limited| 2.36%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|14.ASSET|Equity|23.7|0.55|1066| RHB Bank Bhd.| 2.33%| Emerging Markets|Equity|Emerging Markets Equities||EDOG|6|15.ASSET|Equity|23.7|0.55|PTT| PTT Public Co., Ltd.| 2.33%| North America|Equity|Energy Equities|Energy|USAI|6|1.ASSET|Equity|31.5|2.43|WMB| Williams Companies, Inc.| 7.70%| North America|Equity|Energy Equities|Energy|USAI|6|2.ASSET|Equity|31.5|2.27|ENB| Enbridge Inc.| 7.22%| North America|Equity|Energy Equities|Energy|USAI|6|3.ASSET|Equity|31.5|2.27|EPD| Enterprise Products Partners L.P.| 7.20%| North America|Equity|Energy Equities|Energy|USAI|6|4.ASSET|Equity|31.5|2.26|TRP| TC Energy Corporation| 7.18%| North America|Equity|Energy Equities|Energy|USAI|6|5.ASSET|Equity|31.5|2.22|KMI| Kinder Morgan Inc Class P| 7.06%| North America|Equity|Energy Equities|Energy|USAI|6|6.ASSET|Equity|31.5|2.17|OKE| ONEOK, Inc.| 6.90%| North America|Equity|Energy Equities|Energy|USAI|6|7.ASSET|Equity|31.5|1.49|TRGP| Targa Resources Corp.| 4.72%| North America|Equity|Energy Equities|Energy|USAI|6|8.ASSET|Equity|31.5|1.46|ET| Energy Transfer, L.P.| 4.65%| North America|Equity|Energy Equities|Energy|USAI|6|9.ASSET|Equity|31.5|1.44|LNG| Cheniere Energy, Inc.| 4.56%| North America|Equity|Energy Equities|Energy|USAI|6|10.ASSET|Equity|31.5|1.34|PPL| Pembina Pipeline Corporation| 4.24%| North America|Equity|Energy Equities|Energy|USAI|6|11.ASSET|Equity|31.5|0.97|KEY| Keyera Corp.| 3.08%| North America|Equity|Energy Equities|Energy|USAI|6|12.ASSET|Equity|31.5|0.96|ENLC| EnLink Midstream LLC| 3.06%| North America|Equity|Energy Equities|Energy|USAI|6|13.ASSET|Equity|31.5|0.83|TELL| Tellurian Inc.| 2.65%| North America|Equity|Energy Equities|Energy|USAI|6|14.ASSET|Equity|31.5|0.83|AM| Antero Midstream Corp.| 2.64%| North America|Equity|Energy Equities|Energy|USAI|6|15.ASSET|Equity|31.5|0.83|GEI| Gibson Energy Inc.| 2.62%| North America|Equity|Small Cap Blend Equities||CSA|6|1.ASSET|Equity|26|0.15|TTMI| TTM Technologies, Inc.| 0.56%| North America|Equity|Small Cap Blend Equities||CSA|6|2.ASSET|Equity|26|0.13|TWNK| Hostess Brands, Inc. Class A| 0.49%| North America|Equity|Small Cap Blend Equities||CSA|6|3.ASSET|Equity|26|0.12|CSGS| CSG Systems International, Inc.| 0.48%| North America|Equity|Small Cap Blend Equities||CSA|6|4.ASSET|Equity|26|0.12|CALM| Cal-Maine Foods, Inc.| 0.45%| North America|Equity|Small Cap Blend Equities||CSA|6|5.ASSET|Equity|26|0.12|FIBK| First Interstate BancSystem, Inc. Class A| 0.45%| North America|Equity|Small Cap Blend Equities||CSA|6|6.ASSET|Equity|26|0.11|CLBK| Columbia Financial, Inc.| 0.44%| North America|Equity|Small Cap Blend Equities||CSA|6|7.ASSET|Equity|26|0.11|AMPH| Amphastar Pharmaceuticals Inc| 0.44%| North America|Equity|Small Cap Blend Equities||CSA|6|8.ASSET|Equity|26|0.11|N/A| U.S. Dollar| 0.43%| North America|Equity|Small Cap Blend Equities||CSA|6|9.ASSET|Equity|26|0.1|OTTR| Otter Tail Corporation| 0.40%| North America|Equity|Small Cap Blend Equities||CSA|6|10.ASSET|Equity|26|0.1|CBZ| CBIZ, Inc.| 0.40%| North America|Equity|Small Cap Blend Equities||CSA|6|11.ASSET|Equity|26|0.1|KN| Knowles Corp.| 0.39%| North America|Equity|Small Cap Blend Equities||CSA|6|12.ASSET|Equity|26|0.1|MMI| Marcus & Millichap, Inc.| 0.38%| North America|Equity|Small Cap Blend Equities||CSA|6|13.ASSET|Equity|26|0.09|AVA| Avista Corporation| 0.36%| North America|Equity|Small Cap Blend Equities||CSA|6|14.ASSET|Equity|26|0.09|CPK| Chesapeake Utilities Corporation| 0.36%| North America|Equity|Small Cap Blend Equities||CSA|6|15.ASSET|Equity|26|0.09|WIRE| Encore Wire Corporation| 0.35%| North America|Equity|n/a||BALT|6|1.ASSET|Equity|96.1|96|N/A| OPTIONS| 99.90%| North America|Equity|n/a||BALT|6|2.ASSET|Equity|96.1|96|N/A| OPTIONS| 99.90%| North America|Equity|n/a||BALT|6|3.ASSET|Equity|96.1|0.1|N/A| U.S. Dollar| 0.10%| North America|Equity|n/a||BALT|6|4.ASSET|Equity|96.1|0.1|N/A| U.S. Dollar| 0.10%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|1.ASSET|Bond|79.8|2.14|N/A| Boeing Company 5.15% 01-MAY-2030| 2.68%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|2.ASSET|Bond|79.8|1.36|N/A| Pacific Gas and Electric Company 4.55% 01-JUL-2030| 1.71%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|3.ASSET|Bond|79.8|1|N/A| Takeda Pharmaceutical Company Limited 2.05% 31-MAR-2030| 1.25%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|4.ASSET|Bond|79.8|0.91|N/A| Centene Corporation 3.0% 15-OCT-2030| 1.14%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|5.ASSET|Bond|79.8|0.88|N/A| Alphabet Inc. 1.1% 15-AUG-2030| 1.10%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|6.ASSET|Bond|79.8|0.86|N/A| Exxon Mobil Corporation 2.61% 15-OCT-2030| 1.08%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|7.ASSET|Bond|79.8|0.84|N/A| Centene Corporation 3.375% 15-FEB-2030| 1.05%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|8.ASSET|Bond|79.8|0.81|N/A| NextEra Energy Capital Holdings, Inc. 2.25% 01-JUN-2030| 1.02%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|9.ASSET|Bond|79.8|0.81|N/A| Amazon.com, Inc. 1.5% 03-JUN-2030| 1.01%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|10.ASSET|Bond|79.8|0.73|N/A| Booking Holdings Inc. 4.625% 13-APR-2030| 0.91%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|11.ASSET|Bond|79.8|0.7|N/A| Apple Inc. 1.65% 11-MAY-2030| 0.88%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|12.ASSET|Bond|79.8|0.7|N/A| American International Group, Inc. 3.4% 30-JUN-2030| 0.88%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|13.ASSET|Bond|79.8|0.7|N/A| Costco Wholesale Corporation 1.6% 20-APR-2030| 0.88%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|14.ASSET|Bond|79.8|0.69|N/A| Johnson & Johnson 1.3% 01-SEP-2030| 0.87%| North America|Bond|Corporate Bonds|Target Maturity Date Corporate Bond|BSCU|6|15.ASSET|Bond|79.8|0.62|N/A| Otis Worldwide Corp. 2.565% 15-FEB-2030| 0.78%| North America|Equity|All Cap Equities||DVLU|6|1.ASSET|Equity|24.2|0.8|APA| APA Corp.| 3.31%| North America|Equity|All Cap Equities||DVLU|6|2.ASSET|Equity|24.2|0.76|AA| Alcoa Corporation| 3.13%| North America|Equity|All Cap Equities||DVLU|6|3.ASSET|Equity|24.2|0.75|WLK| Westlake Corporation| 3.11%| North America|Equity|All Cap Equities||DVLU|6|4.ASSET|Equity|24.2|0.72|CHK| Chesapeake Energy Corporation| 2.98%| North America|Equity|All Cap Equities||DVLU|6|5.ASSET|Equity|24.2|0.7|PAG| Penske Automotive Group, Inc.| 2.91%| North America|Equity|All Cap Equities||DVLU|6|6.ASSET|Equity|24.2|0.69|PRU| Prudential Financial, Inc.| 2.85%| North America|Equity|All Cap Equities||DVLU|6|7.ASSET|Equity|24.2|0.69|AIG| American International Group, Inc.| 2.84%| North America|Equity|All Cap Equities||DVLU|6|8.ASSET|Equity|24.2|0.68|SIGI| Selective Insurance Group, Inc.| 2.80%| North America|Equity|All Cap Equities||DVLU|6|9.ASSET|Equity|24.2|0.68|HUN| Huntsman Corporation| 2.79%| North America|Equity|All Cap Equities||DVLU|6|10.ASSET|Equity|24.2|0.65|LNC| Lincoln National Corporation| 2.69%| North America|Equity|All Cap Equities||DVLU|6|11.ASSET|Equity|24.2|0.65|BPOP| Popular, Inc.| 2.68%| North America|Equity|All Cap Equities||DVLU|6|12.ASSET|Equity|24.2|0.64|BLDR| Builders FirstSource, Inc.| 2.64%| North America|Equity|All Cap Equities||DVLU|6|13.ASSET|Equity|24.2|0.63|SF| Stifel Financial Corp.| 2.59%| North America|Equity|All Cap Equities||DVLU|6|14.ASSET|Equity|24.2|0.62|OLN| Olin Corporation| 2.57%| North America|Equity|All Cap Equities||DVLU|6|15.ASSET|Equity|24.2|0.62|PFG| Principal Financial Group, Inc.| 2.55%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|1.ASSET|Equity|20.7|1.48|TSLA| Tesla Inc| 7.16%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|2.ASSET|Equity|20.7|1.12|AMZN| Amazon.com, Inc.| 5.40%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|3.ASSET|Equity|20.7|1.12|HD| Home Depot, Inc.| 5.39%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|4.ASSET|Equity|20.7|0.64|TGT| Target Corporation| 3.11%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|5.ASSET|Equity|20.7|0.57|NKE| NIKE, Inc. Class B| 2.76%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|6.ASSET|Equity|20.7|0.53|LOW| Lowe\'s Companies, Inc.| 2.54%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|7.ASSET|Equity|20.7|0.47|MCD| McDonald\'s Corporation| 2.25%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|8.ASSET|Equity|20.7|0.44|ORLY| O\'Reilly Automotive, Inc.| 2.11%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|9.ASSET|Equity|20.7|0.43|TJX| TJX Companies Inc| 2.09%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|10.ASSET|Equity|20.7|0.4|BBY| Best Buy Co., Inc.| 1.93%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|11.ASSET|Equity|20.7|0.39|DLTR| Dollar Tree, Inc.| 1.88%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|12.ASSET|Equity|20.7|0.38|TSCO| Tractor Supply Company| 1.85%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|13.ASSET|Equity|20.7|0.37|F| Ford Motor Company| 1.78%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|14.ASSET|Equity|20.7|0.36|MAR| Marriott International, Inc. Class A| 1.74%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|JHMC|6|15.ASSET|Equity|20.7|0.36|GM| General Motors Company| 1.74%| North America|Equity|n/a||HLGE|6|1.ASSET|Equity|25.1|0.29|ANTM| Anthem, Inc.| 1.17%| North America|Equity|n/a||HLGE|6|2.ASSET|Equity|25.1|0.28|ABBV| AbbVie, Inc.| 1.12%| North America|Equity|n/a||HLGE|6|3.ASSET|Equity|25.1|0.27|HPQ| HP Inc.| 1.06%| North America|Equity|n/a||HLGE|6|4.ASSET|Equity|25.1|0.26|UNH| UnitedHealth Group Incorporated| 1.04%| North America|Equity|n/a||HLGE|6|5.ASSET|Equity|25.1|0.26|HUM| Humana Inc.| 1.03%| North America|Equity|n/a||HLGE|6|6.ASSET|Equity|25.1|0.25|GOOGL| Alphabet Inc. Class A| 0.99%| North America|Equity|n/a||HLGE|6|7.ASSET|Equity|25.1|0.24|AMGN| Amgen Inc.| 0.97%| North America|Equity|n/a||HLGE|6|8.ASSET|Equity|25.1|0.24|CVS| CVS Health Corporation| 0.96%| North America|Equity|n/a||HLGE|6|9.ASSET|Equity|25.1|0.24|STX| Seagate Technology Holdings PLC| 0.96%| North America|Equity|n/a||HLGE|6|10.ASSET|Equity|25.1|0.24|AMZN| Amazon.com, Inc.| 0.95%| North America|Equity|n/a||HLGE|6|11.ASSET|Equity|25.1|0.24|CERN| Cerner Corporation| 0.94%| North America|Equity|n/a||HLGE|6|12.ASSET|Equity|25.1|0.23|INTC| Intel Corporation| 0.92%| North America|Equity|n/a||HLGE|6|13.ASSET|Equity|25.1|0.23|HPE| Hewlett Packard Enterprise Co.| 0.90%| North America|Equity|n/a||HLGE|6|14.ASSET|Equity|25.1|0.22|JNJ| Johnson & Johnson| 0.89%| North America|Equity|n/a||HLGE|6|15.ASSET|Equity|25.1|0.22|MRK| Merck & Co., Inc.| 0.88%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|1.ASSET|Equity|31.8|3.42|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 10.76%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|2.ASSET|Equity|31.8|1.92|005930| Samsung Electronics Co., Ltd.| 6.03%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|3.ASSET|Equity|31.8|0.77|INFY| Infosys Limited Sponsored ADR| 2.41%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|4.ASSET|Equity|31.8|0.65|500325| Reliance Industries Limited| 2.04%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|5.ASSET|Equity|31.8|0.52|VALE3| Vale S.A.| 1.62%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|6.ASSET|Equity|31.8|0.44|500010| Housing Development Finance Corporation Limited| 1.37%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|7.ASSET|Equity|31.8|0.43|2454| MediaTek Inc| 1.35%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|8.ASSET|Equity|31.8|0.42|000660| SK hynix Inc| 1.31%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|9.ASSET|Equity|31.8|0.39|532540| Tata Consultancy Services Limited| 1.22%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|10.ASSET|Equity|31.8|0.38|2317| Hon Hai Precision Industry Co., Ltd.| 1.20%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|11.ASSET|Equity|31.8|0.35|532174| ICICI Bank Limited| 1.09%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|12.ASSET|Equity|31.8|0.33|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 1.04%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|13.ASSET|Equity|31.8|0.31|NPN| Naspers Limited Class N| 0.97%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|14.ASSET|Equity|31.8|0.31|035420| NAVER Corp.| 0.96%| Emerging Markets|Equity|Foreign Large Cap Equities||KEMX|6|15.ASSET|Equity|31.8|0.27|QNBK| Qatar National Bank QPSC| 0.86%| North America|Equity|Materials|Materials|PSCM|6|1.ASSET|Equity|21.8|1.77|BCPC| Balchem Corporation| 8.12%| North America|Equity|Materials|Materials|PSCM|6|2.ASSET|Equity|21.8|1.41|LTHM| Livent Corporation| 6.47%| North America|Equity|Materials|Materials|PSCM|6|3.ASSET|Equity|21.8|1.39|FUL| H.B. Fuller Company| 6.39%| North America|Equity|Materials|Materials|PSCM|6|4.ASSET|Equity|21.8|1.33|ATI| Allegheny Technologies Incorporated| 6.10%| North America|Equity|Materials|Materials|PSCM|6|5.ASSET|Equity|21.8|1.18|ARNC| Arconic Corp.| 5.39%| North America|Equity|Materials|Materials|PSCM|6|6.ASSET|Equity|21.8|0.97|KWR| Quaker Houghton| 4.45%| North America|Equity|Materials|Materials|PSCM|6|7.ASSET|Equity|21.8|0.94|IOSP| Innospec Inc.| 4.31%| North America|Equity|Materials|Materials|PSCM|6|8.ASSET|Equity|21.8|0.87|SCL| Stepan Company| 4.01%| North America|Equity|Materials|Materials|PSCM|6|9.ASSET|Equity|21.8|0.79|CMP| Compass Minerals International, Inc.| 3.64%| North America|Equity|Materials|Materials|PSCM|6|10.ASSET|Equity|21.8|0.77|OI| O-I Glass Inc| 3.54%| North America|Equity|Materials|Materials|PSCM|6|11.ASSET|Equity|21.8|0.75|TSE| Trinseo Public Limited Company| 3.45%| North America|Equity|Materials|Materials|PSCM|6|12.ASSET|Equity|21.8|0.75|CRS| Carpenter Technology Corporation| 3.42%| North America|Equity|Materials|Materials|PSCM|6|13.ASSET|Equity|21.8|0.74|HCC| Warrior Met Coal, Inc.| 3.39%| North America|Equity|Materials|Materials|PSCM|6|14.ASSET|Equity|21.8|0.71|FOE| Ferro Corporation| 3.27%| North America|Equity|Materials|Materials|PSCM|6|15.ASSET|Equity|21.8|0.67|MTRN| Materion Corporation| 3.09%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|1.ASSET|Bond|27.5|0.49|N/A| California St 5.0% 01-SEP-2032| 1.78%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|2.ASSET|Bond|27.5|0.48|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 5.0% 15-JUN-2037| 1.75%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|3.ASSET|Bond|27.5|0.46|N/A| Illinois St 5.0% 01-NOV-2026| 1.66%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|4.ASSET|Bond|27.5|0.45|N/A| University Houston Tex Univ Revs 5.0% 15-FEB-2036| 1.64%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|5.ASSET|Bond|27.5|0.41|N/A| Metropolitan Transn Auth N Y Rev 5.25% 15-NOV-2026| 1.50%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|6.ASSET|Bond|27.5|0.4|N/A| Massachusetts St 3.0% 01-SEP-2046| 1.47%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|7.ASSET|Bond|27.5|0.35|N/A| Massachusetts St Dev Fin Agy Rev 5.0% 15-OCT-2026| 1.28%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|8.ASSET|Bond|27.5|0.34|N/A| Pennsylvania St 5.0% 01-FEB-2029| 1.24%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|9.ASSET|Bond|27.5|0.32|N/A| New Jersey Health Care Facs Fing Auth Rev 5.0% 01-JUL-2043| 1.17%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|10.ASSET|Bond|27.5|0.32|N/A| Sarpy Cnty Neb Hosp Auth No 1 Health Facs Rev 3.0% 15-MAY-2046| 1.17%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|11.ASSET|Bond|27.5|0.29|N/A| Los Angeles Calif Dept Wtr & Pwr Rev 5.0% 01-JUL-2026| 1.06%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|12.ASSET|Bond|27.5|0.29|N/A| District Columbia Wtr & Swr Auth Pub Util Rev 5.0% 01-OCT-2036| 1.04%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|13.ASSET|Bond|27.5|0.29|N/A| Imperial Calif Irr Dist Elec Rev 5.0% 01-NOV-2036| 1.04%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|14.ASSET|Bond|27.5|0.28|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-FEB-2039| 1.03%| North America|Bond|National Munis|Target Maturity Date Munis|BSMQ|6|15.ASSET|Bond|27.5|0.28|N/A| Chicago Ill Midway Arpt Rev 5.0% 01-JAN-2046| 1.02%| North America|Equity|All Cap Equities||SFYF|6|1.ASSET|Equity|20.1|1.31|AAPL| Apple Inc.| 6.51%| North America|Equity|All Cap Equities||SFYF|6|2.ASSET|Equity|20.1|1.29|TSLA| Tesla Inc| 6.42%| North America|Equity|All Cap Equities||SFYF|6|3.ASSET|Equity|20.1|1.2|AMC| AMC Entertainment Holdings, Inc. Class A| 5.97%| North America|Equity|All Cap Equities||SFYF|6|4.ASSET|Equity|20.1|1.12|RIVN| Rivian Automotive, Inc. Class A| 5.55%| North America|Equity|All Cap Equities||SFYF|6|5.ASSET|Equity|20.1|1.08|AMZN| Amazon.com, Inc.| 5.35%| North America|Equity|All Cap Equities||SFYF|6|6.ASSET|Equity|20.1|0.98|NVDA| NVIDIA Corporation| 4.89%| North America|Equity|All Cap Equities||SFYF|6|7.ASSET|Equity|20.1|0.96|MSFT| Microsoft Corporation| 4.77%| North America|Equity|All Cap Equities||SFYF|6|8.ASSET|Equity|20.1|0.92|DIS| Walt Disney Company| 4.57%| North America|Equity|All Cap Equities||SFYF|6|9.ASSET|Equity|20.1|0.8|GME| GameStop Corp. Class A| 4.00%| North America|Equity|All Cap Equities||SFYF|6|10.ASSET|Equity|20.1|0.75|GOOGL| Alphabet Inc. Class A| 3.72%| North America|Equity|All Cap Equities||SFYF|6|11.ASSET|Equity|20.1|0.59|F| Ford Motor Company| 2.92%| North America|Equity|All Cap Equities||SFYF|6|12.ASSET|Equity|20.1|0.57|AMD| Advanced Micro Devices, Inc.| 2.84%| North America|Equity|All Cap Equities||SFYF|6|13.ASSET|Equity|20.1|0.47|BRK.B| Berkshire Hathaway Inc. Class B| 2.34%| North America|Equity|All Cap Equities||SFYF|6|14.ASSET|Equity|20.1|0.47|PLTR| Palantir Technologies Inc. Class A| 2.33%| North America|Equity|All Cap Equities||SFYF|6|15.ASSET|Equity|20.1|0.46|NIO| NIO Inc. Sponsored ADR Class A| 2.29%| North America|Equity|Small Cap Blend Equities||ROSC|6|1.ASSET|Equity|29|0.37|CPRX| Catalyst Pharmaceuticals, Inc.| 1.28%| North America|Equity|Small Cap Blend Equities||ROSC|6|2.ASSET|Equity|29|0.35|BRG| Bluerock Residential Growth REIT Inc Class A| 1.20%| North America|Equity|Small Cap Blend Equities||ROSC|6|3.ASSET|Equity|29|0.35|OMI| Owens & Minor, Inc.| 1.20%| North America|Equity|Small Cap Blend Equities||ROSC|6|4.ASSET|Equity|29|0.34|VIVO| Meridian Bioscience, Inc.| 1.17%| North America|Equity|Small Cap Blend Equities||ROSC|6|5.ASSET|Equity|29|0.34|IMKTA| Ingles Markets, Incorporated Class A| 1.16%| North America|Equity|Small Cap Blend Equities||ROSC|6|6.ASSET|Equity|29|0.32|BCC| Boise Cascade Co.| 1.10%| North America|Equity|Small Cap Blend Equities||ROSC|6|7.ASSET|Equity|29|0.31|NSIT| Insight Enterprises, Inc.| 1.06%| North America|Equity|Small Cap Blend Equities||ROSC|6|8.ASSET|Equity|29|0.3|ANAT| American National Group, Inc.| 1.03%| North America|Equity|Small Cap Blend Equities||ROSC|6|9.ASSET|Equity|29|0.27|ATKR| Atkore Inc| 0.92%| North America|Equity|Small Cap Blend Equities||ROSC|6|10.ASSET|Equity|29|0.27|CORT| Corcept Therapeutics Incorporated.| 0.92%| North America|Equity|Small Cap Blend Equities||ROSC|6|11.ASSET|Equity|29|0.25|CCRN| Cross Country Healthcare, Inc.| 0.86%| North America|Equity|Small Cap Blend Equities||ROSC|6|12.ASSET|Equity|29|0.25|MYRG| MYR Group Inc.| 0.85%| North America|Equity|Small Cap Blend Equities||ROSC|6|13.ASSET|Equity|29|0.24|FIBK| First Interstate BancSystem, Inc. Class A| 0.83%| North America|Equity|Small Cap Blend Equities||ROSC|6|14.ASSET|Equity|29|0.24|IDT| IDT Corporation Class B| 0.82%| North America|Equity|Small Cap Blend Equities||ROSC|6|15.ASSET|Equity|29|0.23|BXC| BlueLinx Holdings Inc.| 0.81%| North America|Equity|MLPs|Energy|MLPO|6|1.ASSET|Equity|27.2|3.74|EPD| Enterprise Products Partners LP| 13.75%| North America|Equity|MLPs|Energy|MLPO|6|2.ASSET|Equity|27.2|2.26|KMP| Kinder Morgan Energy Partners LP| 8.32%| North America|Equity|MLPs|Energy|MLPO|6|3.ASSET|Equity|27.2|2.03|ET| Energy Transfer LP| 7.46%| North America|Equity|MLPs|Energy|MLPO|6|4.ASSET|Equity|27.2|1.78|PAA| Plains All American Pipeline LP| 6.53%| North America|Equity|MLPs|Energy|MLPO|6|5.ASSET|Equity|27.2|1.58|MMP| Magellan Midstream Partners LP| 5.80%| North America|Equity|MLPs|Energy|MLPO|6|6.ASSET|Equity|27.2|1.37|ETP| Energy Transfer LP| 5.04%| North America|Equity|MLPs|Energy|MLPO|6|7.ASSET|Equity|27.2|0.92|KMR| Kinder Morgan Management LLC| 3.37%| North America|Equity|MLPs|Energy|MLPO|6|8.ASSET|Equity|27.2|0.85|MWE| MarkWest Energy Partners LP| 3.14%| North America|Equity|MLPs|Energy|MLPO|6|9.ASSET|Equity|27.2|0.67|RGP| Regency Energy Partners LP| 2.45%| North America|Equity|MLPs|Energy|MLPO|6|10.ASSET|Equity|27.2|0.62|OKS| ONEOK Partners LP| 2.28%| North America|Equity|MLPs|Energy|MLPO|6|11.ASSET|Equity|27.2|0.62|WPZ| Williams Partners LP (Pre-merger)| 2.27%| North America|Equity|MLPs|Energy|MLPO|6|12.ASSET|Equity|27.2|0.6|EEP| Enbridge Energy Partners LP| 2.20%| North America|Equity|MLPs|Energy|MLPO|6|13.ASSET|Equity|27.2|0.55|NGLS| Targa Resources Partners LP| 2.04%| North America|Equity|MLPs|Energy|MLPO|6|14.ASSET|Equity|27.2|0.53|LINEQ| Linn Energy LLC| 1.95%| North America|Equity|MLPs|Energy|MLPO|6|15.ASSET|Equity|27.2|0.41|EPB| El Paso Pipeline Partners LP| 1.51%| Global|Equity|Global Equities||DIVS|6|1.ASSET|Equity|23|0.9|NOVO.B| Novo Nordisk A/S Class B| 3.90%| Global|Equity|Global Equities||DIVS|6|2.ASSET|Equity|23|0.86|ABBV| AbbVie, Inc.| 3.76%| Global|Equity|Global Equities||DIVS|6|3.ASSET|Equity|23|0.84|BA| BAE Systems plc| 3.67%| Global|Equity|Global Equities||DIVS|6|4.ASSET|Equity|23|0.77|RTX| Raytheon Technologies Corporation| 3.33%| Global|Equity|Global Equities||DIVS|6|5.ASSET|Equity|23|0.76|AJG| Arthur J. Gallagher & Co.| 3.30%| Global|Equity|Global Equities||DIVS|6|6.ASSET|Equity|23|0.75|AVGO| Broadcom Inc.| 3.26%| Global|Equity|Global Equities||DIVS|6|7.ASSET|Equity|23|0.73|PAYX| Paychex, Inc.| 3.18%| Global|Equity|Global Equities||DIVS|6|8.ASSET|Equity|23|0.73|MSFT| Microsoft Corporation| 3.17%| Global|Equity|Global Equities||DIVS|6|9.ASSET|Equity|23|0.7|PEP| PepsiCo, Inc.| 3.05%| Global|Equity|Global Equities||DIVS|6|10.ASSET|Equity|23|0.7|OTIS| Otis Worldwide Corporation| 3.04%| Global|Equity|Global Equities||DIVS|6|11.ASSET|Equity|23|0.7|NESN| Nestle S.A.| 3.03%| Global|Equity|Global Equities||DIVS|6|12.ASSET|Equity|23|0.69|DGE| Diageo plc| 3.02%| Global|Equity|Global Equities||DIVS|6|13.ASSET|Equity|23|0.69|CME| CME Group Inc. Class A| 3.01%| Global|Equity|Global Equities||DIVS|6|14.ASSET|Equity|23|0.69|ROG| Roche Holding Ltd| 3.01%| Global|Equity|Global Equities||DIVS|6|15.ASSET|Equity|23|0.69|AFL| Aflac Incorporated| 3.01%| North America|Equity|Utilities Equities|Utilities|PSCU|6|1.ASSET|Equity|27.2|2.82|SJI| South Jersey Industries, Inc.| 10.36%| North America|Equity|Utilities Equities|Utilities|PSCU|6|2.ASSET|Equity|27.2|2.3|AVA| Avista Corporation| 8.44%| North America|Equity|Utilities Equities|Utilities|PSCU|6|3.ASSET|Equity|27.2|2.27|AWR| American States Water Company| 8.36%| North America|Equity|Utilities Equities|Utilities|PSCU|6|4.ASSET|Equity|27.2|2.19|CWT| California Water Service Group| 8.04%| North America|Equity|Utilities Equities|Utilities|PSCU|6|5.ASSET|Equity|27.2|1.96|CCOI| Cogent Communications Holdings Inc| 7.20%| North America|Equity|Utilities Equities|Utilities|PSCU|6|6.ASSET|Equity|27.2|1.34|NWN| Northwest Natural Holding Co.| 4.94%| North America|Equity|Utilities Equities|Utilities|PSCU|6|7.ASSET|Equity|27.2|1.3|CNK| Cinemark Holdings, Inc.| 4.79%| North America|Equity|Utilities Equities|Utilities|PSCU|6|8.ASSET|Equity|27.2|1.27|MSEX| Middlesex Water Company| 4.66%| North America|Equity|Utilities Equities|Utilities|PSCU|6|9.ASSET|Equity|27.2|1.25|CPK| Chesapeake Utilities Corporation| 4.60%| North America|Equity|Utilities Equities|Utilities|PSCU|6|10.ASSET|Equity|27.2|1.11|TDS| Telephone and Data Systems, Inc.| 4.08%| North America|Equity|Utilities Equities|Utilities|PSCU|6|11.ASSET|Equity|27.2|1.06|SSP| E. W. Scripps Company Class A| 3.90%| North America|Equity|Utilities Equities|Utilities|PSCU|6|12.ASSET|Equity|27.2|1.05|SCHL| Scholastic Corporation| 3.87%| North America|Equity|Utilities Equities|Utilities|PSCU|6|13.ASSET|Equity|27.2|1.03|TTGT| TechTarget, Inc.| 3.79%| North America|Equity|Utilities Equities|Utilities|PSCU|6|14.ASSET|Equity|27.2|1.01|AMCX| AMC Networks Inc. Class A| 3.70%| North America|Equity|Utilities Equities|Utilities|PSCU|6|15.ASSET|Equity|27.2|0.87|CARS| Cars.com, Inc.| 3.19%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|1.ASSET|Equity|19.7|0.36|VALE3| Vale S.A.| 1.83%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|2.ASSET|Equity|19.7|0.29|IMP| Impala Platinum Holdings Limited| 1.48%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|3.ASSET|Equity|19.7|0.26|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 1.34%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|4.ASSET|Equity|19.7|0.26|ETISALAT| Emirates Telecommunications Group Company PJSC| 1.32%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|5.ASSET|Equity|19.7|0.25|TLKM| PT Telkom Indonesia (Persero) Tbk Class B| 1.26%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|6.ASSET|Equity|19.7|0.23|939| China Construction Bank Corporation Class H| 1.19%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|7.ASSET|Equity|19.7|0.23|1120| Al Rajhi Bank| 1.18%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|8.ASSET|Equity|19.7|0.22|WALMEX| Wal-Mart de Mexico SAB de CV| 1.14%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|9.ASSET|Equity|19.7|0.22|2412| Chunghwa Telecom Co., Ltd| 1.14%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|10.ASSET|Equity|19.7|0.22|600519| Kweichow Moutai Co., Ltd. Class A| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|11.ASSET|Equity|19.7|0.22|105560| KB Financial Group Inc.| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|12.ASSET|Equity|19.7|0.22|3988| Bank of China Limited Class H| 1.11%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|13.ASSET|Equity|19.7|0.22|055550| Shinhan Financial Group Co., Ltd.| 1.10%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|14.ASSET|Equity|19.7|0.21|1398| Industrial and Commercial Bank of China Limited Class H| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||FLQE|6|15.ASSET|Equity|19.7|0.21|1088| China Shenhua Energy Co. Ltd. Class H| 1.08%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|1.ASSET|Equity|23.2|3.03|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 13.07%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|2.ASSET|Equity|23.2|1.8|700| Tencent Holdings Ltd.| 7.74%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|3.ASSET|Equity|23.2|1.16|9988| Alibaba Group Holding Ltd.| 5.01%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|4.ASSET|Equity|23.2|0.53|3690| Meituan Class B| 2.30%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|5.ASSET|Equity|23.2|0.52|500325| Reliance Industries Limited| 2.25%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|6.ASSET|Equity|23.2|0.41|939| China Construction Bank Corporation Class H| 1.78%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|7.ASSET|Equity|23.2|0.34|2454| MediaTek Inc| 1.46%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|8.ASSET|Equity|23.2|0.3|500010| Housing Development Finance Corporation Limited| 1.29%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|9.ASSET|Equity|23.2|0.28|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.19%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|10.ASSET|Equity|23.2|0.26|INFY| Infosys Limited Sponsored ADR| 1.14%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|11.ASSET|Equity|23.2|0.25|532540| Tata Consultancy Services Limited| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|12.ASSET|Equity|23.2|0.2|ETISALAT| Emirates Telecommunications Group Company PJSC| 0.85%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|13.ASSET|Equity|23.2|0.19|3968| China Merchants Bank Co., Ltd. Class H| 0.81%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|14.ASSET|Equity|23.2|0.19|035420| NAVER Corp.| 0.81%| Emerging Markets|Equity|Emerging Markets Equities||EMSG|6|15.ASSET|Equity|23.2|0.19|2010| Saudi Basic Industries Corp.| 0.80%| North America|Bond|Government Bonds|Treasuries|IBTH|6|1.ASSET|Bond|30.6|9.2|N/A| United States Treasury Notes 2.25% 15-AUG-2027| 30.05%| North America|Bond|Government Bonds|Treasuries|IBTH|6|2.ASSET|Bond|30.6|9.07|N/A| United States Treasury Notes 0.5% 31-AUG-2027| 29.63%| North America|Bond|Government Bonds|Treasuries|IBTH|6|3.ASSET|Bond|30.6|3.06|N/A| United States Treasury Notes 2.25% 15-NOV-2027| 10.00%| North America|Bond|Government Bonds|Treasuries|IBTH|6|4.ASSET|Bond|30.6|2.82|N/A| United States Treasury Notes 2.25% 15-FEB-2027| 9.21%| North America|Bond|Government Bonds|Treasuries|IBTH|6|5.ASSET|Bond|30.6|2.74|N/A| United States Treasury Notes 1.5% 31-JAN-2027| 8.96%| North America|Bond|Government Bonds|Treasuries|IBTH|6|6.ASSET|Bond|30.6|1.49|N/A| United States Treasury Notes 2.375% 15-MAY-2027| 4.86%| North America|Bond|Government Bonds|Treasuries|IBTH|6|7.ASSET|Bond|30.6|1.08|N/A| United States Treasury Notes 0.625% 31-DEC-2027| 3.54%| North America|Bond|Government Bonds|Treasuries|IBTH|6|8.ASSET|Bond|30.6|0.82|N/A| United States Treasury Notes 0.625% 30-NOV-2027| 2.68%| North America|Bond|Government Bonds|Treasuries|IBTH|6|9.ASSET|Bond|30.6|0.2|N/A| MUTUAL FUND (OTHER)| 0.65%| North America|Bond|Government Bonds|Treasuries|IBTH|6|10.ASSET|Bond|30.6|0.12|N/A| United States Treasury Notes 0.5% 31-MAY-2027| 0.39%| North America|Bond|Government Bonds|Treasuries|IBTH|6|11.ASSET|Bond|30.6|0.01|N/A| U.S. Dollar| 0.03%| Emerging Markets|Equity|Leveraged Equities||EDZ|6|1.ASSET|Equity|33|9.37|DGCXX| Dreyfus Government Cash Management Funds Institutional| 28.38%| Emerging Markets|Equity|Leveraged Equities||EDZ|6|2.ASSET|Equity|33|3.63|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 11.01%| North America|Equity|Technology Equities|Industrials|FITE|6|1.ASSET|Equity|27.3|0.58|CHKP| Check Point Software Technologies Ltd.| 2.13%| North America|Equity|Technology Equities|Industrials|FITE|6|2.ASSET|Equity|27.3|0.57|LMT| Lockheed Martin Corporation| 2.09%| North America|Equity|Technology Equities|Industrials|FITE|6|3.ASSET|Equity|27.3|0.54|NOC| Northrop Grumman Corporation| 1.97%| North America|Equity|Technology Equities|Industrials|FITE|6|4.ASSET|Equity|27.3|0.53|MAXR| Maxar Technologies, Inc.| 1.95%| North America|Equity|Technology Equities|Industrials|FITE|6|5.ASSET|Equity|27.3|0.53|MNDT| Mandiant, Inc.| 1.93%| North America|Equity|Technology Equities|Industrials|FITE|6|6.ASSET|Equity|27.3|0.52|MANT| ManTech International Corporation Class A| 1.89%| North America|Equity|Technology Equities|Industrials|FITE|6|7.ASSET|Equity|27.3|0.51|AVAV| AeroVironment, Inc.| 1.87%| North America|Equity|Technology Equities|Industrials|FITE|6|8.ASSET|Equity|27.3|0.51|LHX| L3Harris Technologies Inc| 1.85%| North America|Equity|Technology Equities|Industrials|FITE|6|9.ASSET|Equity|27.3|0.5|TENB| Tenable Holdings, Inc.| 1.84%| North America|Equity|Technology Equities|Industrials|FITE|6|10.ASSET|Equity|27.3|0.5|RDWR| Radware Ltd.| 1.84%| North America|Equity|Technology Equities|Industrials|FITE|6|11.ASSET|Equity|27.3|0.5|RTX| Raytheon Technologies Corporation| 1.84%| North America|Equity|Technology Equities|Industrials|FITE|6|12.ASSET|Equity|27.3|0.5|LDOS| Leidos Holdings, Inc.| 1.82%| North America|Equity|Technology Equities|Industrials|FITE|6|13.ASSET|Equity|27.3|0.49|MOG.A| Moog Inc. Class A| 1.79%| North America|Equity|Technology Equities|Industrials|FITE|6|14.ASSET|Equity|27.3|0.48|PANW| Palo Alto Networks, Inc.| 1.74%| North America|Equity|Technology Equities|Industrials|FITE|6|15.ASSET|Equity|27.3|0.46|HXL| Hexcel Corporation| 1.70%| North America|Equity|Volatility Hedged Equity||AZAJ|6|1.ASSET|Equity|62.8|62.83|N/A| OPTIONS| 100.04%| North America|Equity|Volatility Hedged Equity||AZAJ|6|2.ASSET|Equity|62.8|-0.03|N/A| U.S. Dollar| -0.04%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|1.ASSET|Equity|24.9|1.16|ROG| Roche Holding Ltd| 4.65%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|2.ASSET|Equity|24.9|1.07|NOVN| Novartis AG| 4.31%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|3.ASSET|Equity|24.9|0.96|BHP| BHP Group Ltd| 3.84%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|4.ASSET|Equity|24.9|0.7|ULVR| Unilever PLC| 2.83%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|5.ASSET|Equity|24.9|0.65|SAN| Sanofi| 2.61%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|6.ASSET|Equity|24.9|0.58|GSK| GlaxoSmithKline plc| 2.32%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|7.ASSET|Equity|24.9|0.53|BATS| British American Tobacco p.l.c.| 2.11%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|8.ASSET|Equity|24.9|0.5|ALV| Allianz SE| 2.00%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|9.ASSET|Equity|24.9|0.5|RIO| Rio Tinto plc| 1.99%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|10.ASSET|Equity|24.9|0.41|VALE3| Vale S.A.| 1.64%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|11.ASSET|Equity|24.9|0.4|939| China Construction Bank Corporation Class H| 1.62%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|12.ASSET|Equity|24.9|0.38|AAL| Anglo American plc| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|13.ASSET|Equity|24.9|0.37|ZURN| Zurich Insurance Group Ltd| 1.50%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|14.ASSET|Equity|24.9|0.35|IBE| Iberdrola SA| 1.39%| Developed Markets|Equity|Foreign Large Cap Equities||HDAW|6|15.ASSET|Equity|24.9|0.33|2454| MediaTek Inc| 1.34%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|1.ASSET|Equity|27.2|3.52|BHP| BHP Group Ltd| 12.95%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|2.ASSET|Equity|27.2|2.44|CBA| Commonwealth Bank of Australia| 8.96%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|3.ASSET|Equity|27.2|1.88|CSL| CSL Limited| 6.90%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|4.ASSET|Equity|27.2|1.46|NAB| National Australia Bank Limited| 5.36%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|5.ASSET|Equity|27.2|1.21|WBC| Westpac Banking Corporation| 4.45%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|6.ASSET|Equity|27.2|1.12|ANZ| Australia and New Zealand Banking Group Limited| 4.12%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|7.ASSET|Equity|27.2|0.94|MQG| Macquarie Group Limited| 3.45%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|8.ASSET|Equity|27.2|0.83|WES| Wesfarmers Limited| 3.05%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|9.ASSET|Equity|27.2|0.66|RIO| Rio Tinto Limited| 2.42%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|10.ASSET|Equity|27.2|0.64|WOW| Woolworths Group Ltd| 2.36%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|11.ASSET|Equity|27.2|0.61|GMG| Goodman Group| 2.26%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|12.ASSET|Equity|27.2|0.58|TCL| Transurban Group Ltd.| 2.13%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|13.ASSET|Equity|27.2|0.42|FMG| Fortescue Metals Group Ltd| 1.56%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|14.ASSET|Equity|27.2|0.42|WPL| Woodside Petroleum Ltd| 1.53%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLAU|6|15.ASSET|Equity|27.2|0.37|ALL| Aristocrat Leisure Limited| 1.37%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|1.ASSET|Bond|19.4|0.26|N/A| Cooperatieve Rabobank UA (New York Branch) 3.375% 21-MAY-2025| 1.34%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|2.ASSET|Bond|19.4|0.25|N/A| Mitsubishi UFJ Financial Group, Inc. 2.801% 18-JUL-2024| 1.31%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|3.ASSET|Bond|19.4|0.25|N/A| Barclays Plc 4.338% 16-MAY-2024| 1.27%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|4.ASSET|Bond|19.4|0.24|N/A| Sumitomo Mitsui Financial Group, Inc. 1.474% 08-JUL-2025| 1.25%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|5.ASSET|Bond|19.4|0.24|N/A| Santander UK Group Holdings Plc 1.532% 21-AUG-2026| 1.23%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|6.ASSET|Bond|19.4|0.24|N/A| HSBC Holdings Plc 4.3% 08-MAR-2026| 1.22%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|7.ASSET|Bond|19.4|0.23|N/A| Citigroup Inc. 1.678% 15-MAY-2024| 1.16%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|8.ASSET|Bond|19.4|0.2|N/A| Banco Santander, S.A. 2.746% 28-MAY-2025| 1.03%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|9.ASSET|Bond|19.4|0.2|N/A| Lloyds Banking Group plc 2.438% 05-FEB-2026| 1.02%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|10.ASSET|Bond|19.4|0.2|N/A| Morgan Stanley 3.737% 24-APR-2024| 1.01%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|11.ASSET|Bond|19.4|0.19|N/A| Barclays Plc 2.279% 24-NOV-2027| 0.99%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|12.ASSET|Bond|19.4|0.17|N/A| Bank of America Corporation 1.197% 24-OCT-2026| 0.88%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|13.ASSET|Bond|19.4|0.17|N/A| NatWest Group Plc 6.0% 19-DEC-2023| 0.87%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|14.ASSET|Bond|19.4|0.17|N/A| JPMorgan Chase & Co. 1.514% 01-JUN-2024| 0.86%| North America|Bond|Corporate Bonds|Investment Grade Corporate|GSIG|6|15.ASSET|Bond|19.4|0.15|N/A| Deutsche Bank AG 3.961% 26-NOV-2025| 0.79%| North America|Equity|Large Cap Growth Equities||SPMV|6|1.ASSET|Equity|24.3|0.6|UNH| UnitedHealth Group Incorporated| 2.47%| North America|Equity|Large Cap Growth Equities||SPMV|6|2.ASSET|Equity|24.3|0.59|QCOM| Qualcomm Inc| 2.44%| North America|Equity|Large Cap Growth Equities||SPMV|6|3.ASSET|Equity|24.3|0.58|BRK.B| Berkshire Hathaway Inc. Class B| 2.39%| North America|Equity|Large Cap Growth Equities||SPMV|6|4.ASSET|Equity|24.3|0.57|CB| Chubb Limited| 2.33%| North America|Equity|Large Cap Growth Equities||SPMV|6|5.ASSET|Equity|24.3|0.56|PGR| Progressive Corporation| 2.31%| North America|Equity|Large Cap Growth Equities||SPMV|6|6.ASSET|Equity|24.3|0.53|PG| Procter & Gamble Company| 2.19%| North America|Equity|Large Cap Growth Equities||SPMV|6|7.ASSET|Equity|24.3|0.53|AAPL| Apple Inc.| 2.17%| North America|Equity|Large Cap Growth Equities||SPMV|6|8.ASSET|Equity|24.3|0.51|MSFT| Microsoft Corporation| 2.08%| North America|Equity|Large Cap Growth Equities||SPMV|6|9.ASSET|Equity|24.3|0.5|JNJ| Johnson & Johnson| 2.04%| North America|Equity|Large Cap Growth Equities||SPMV|6|10.ASSET|Equity|24.3|0.49|WM| Waste Management, Inc.| 2.00%| North America|Equity|Large Cap Growth Equities||SPMV|6|11.ASSET|Equity|24.3|0.48|AON| Aon Plc Class A| 1.99%| North America|Equity|Large Cap Growth Equities||SPMV|6|12.ASSET|Equity|24.3|0.48|MMC| Marsh & McLennan Companies, Inc.| 1.99%| North America|Equity|Large Cap Growth Equities||SPMV|6|13.ASSET|Equity|24.3|0.48|MDLZ| Mondelez International, Inc. Class A| 1.98%| North America|Equity|Large Cap Growth Equities||SPMV|6|14.ASSET|Equity|24.3|0.47|VZ| Verizon Communications Inc.| 1.95%| North America|Equity|Large Cap Growth Equities||SPMV|6|15.ASSET|Equity|24.3|0.46|ACN| Accenture Plc Class A| 1.91%| Developed Asia Pacific|Currency|Leveraged Currency||YCS|6|1.ASSET|Currency|25.1|25.1|N/A| Japanese yen| 100.00%| North America|Bond|High Yield Bonds|Junk|ESHY|6|1.ASSET|Bond|23.2|0.21|N/A| Ford Motor Credit Company LLC 5.125% 16-JUN-2025| 0.91%| North America|Bond|High Yield Bonds|Junk|ESHY|6|2.ASSET|Bond|23.2|0.19|N/A| SoftBank Group Corp. 3.125% 06-JAN-2025| 0.83%| North America|Bond|High Yield Bonds|Junk|ESHY|6|3.ASSET|Bond|23.2|0.18|N/A| CCO Holdings LLC 5.125% 01-MAY-2027| 0.77%| North America|Bond|High Yield Bonds|Junk|ESHY|6|4.ASSET|Bond|23.2|0.16|N/A| EQT Corporation 6.625% 01-FEB-2025| 0.71%| North America|Bond|High Yield Bonds|Junk|ESHY|6|5.ASSET|Bond|23.2|0.16|N/A| Hilton Domestic Operating Co., Inc. 5.75% 01-MAY-2028| 0.67%| North America|Bond|High Yield Bonds|Junk|ESHY|6|6.ASSET|Bond|23.2|0.13|N/A| Deutsche Bank Aktiengesellschaft 4.5% 01-APR-2025| 0.56%| North America|Bond|High Yield Bonds|Junk|ESHY|6|7.ASSET|Bond|23.2|0.13|N/A| Ford Motor Company 7.45% 16-JUL-2031| 0.55%| North America|Bond|High Yield Bonds|Junk|ESHY|6|8.ASSET|Bond|23.2|0.13|N/A| OneMain Finance Corporation 6.875% 15-MAR-2025| 0.55%| North America|Bond|High Yield Bonds|Junk|ESHY|6|9.ASSET|Bond|23.2|0.12|N/A| William Carter Company 5.5% 15-MAY-2025| 0.52%| North America|Bond|High Yield Bonds|Junk|ESHY|6|10.ASSET|Bond|23.2|0.11|N/A| Tenet Healthcare Corporation 6.25% 01-FEB-2027| 0.49%| North America|Bond|High Yield Bonds|Junk|ESHY|6|11.ASSET|Bond|23.2|0.11|N/A| SM Energy Company 10.0% 15-JAN-2025| 0.48%| North America|Bond|High Yield Bonds|Junk|ESHY|6|12.ASSET|Bond|23.2|0.11|N/A| MGM Growth Properties Operating Partnership LP 5.75% 01-FEB-2027| 0.47%| North America|Bond|High Yield Bonds|Junk|ESHY|6|13.ASSET|Bond|23.2|0.11|N/A| Sensata Technologies BV 5.625% 01-NOV-2024| 0.46%| North America|Bond|High Yield Bonds|Junk|ESHY|6|14.ASSET|Bond|23.2|0.1|N/A| Ford Motor Company 4.346% 08-DEC-2026| 0.45%| North America|Bond|High Yield Bonds|Junk|ESHY|6|15.ASSET|Bond|23.2|0.1|N/A| Prime Security Services Borrower LLC 5.25% 15-APR-2024| 0.45%| North America|Equity|Leveraged Equities|Utilities|UPW|6|1.ASSET|Equity|18.4|2.37|NEE| NextEra Energy, Inc.| 12.90%| North America|Equity|Leveraged Equities|Utilities|UPW|6|2.ASSET|Equity|18.4|1.82|N/A| U.S. Dollar| 9.87%| North America|Equity|Leveraged Equities|Utilities|UPW|6|3.ASSET|Equity|18.4|1.21|DUK| Duke Energy Corporation| 6.57%| North America|Equity|Leveraged Equities|Utilities|UPW|6|4.ASSET|Equity|18.4|1.07|SO| Southern Company| 5.80%| North America|Equity|Leveraged Equities|Utilities|UPW|6|5.ASSET|Equity|18.4|1.01|D| Dominion Energy Inc| 5.50%| North America|Equity|Leveraged Equities|Utilities|UPW|6|6.ASSET|Equity|18.4|0.74|SRE| Sempra Energy| 4.02%| North America|Equity|Leveraged Equities|Utilities|UPW|6|7.ASSET|Equity|18.4|0.72|AEP| American Electric Power Company, Inc.| 3.90%| North America|Equity|Leveraged Equities|Utilities|UPW|6|8.ASSET|Equity|18.4|0.65|EXC| Exelon Corporation| 3.55%| North America|Equity|Leveraged Equities|Utilities|UPW|6|9.ASSET|Equity|18.4|0.57|XEL| Xcel Energy Inc.| 3.09%| North America|Equity|Leveraged Equities|Utilities|UPW|6|10.ASSET|Equity|18.4|0.52|PEG| Public Service Enterprise Group Inc| 2.80%| North America|Equity|Leveraged Equities|Utilities|UPW|6|11.ASSET|Equity|18.4|0.48|ED| Consolidated Edison, Inc.| 2.61%| North America|Equity|Leveraged Equities|Utilities|UPW|6|12.ASSET|Equity|18.4|0.45|WEC| WEC Energy Group Inc| 2.42%| North America|Equity|Leveraged Equities|Utilities|UPW|6|13.ASSET|Equity|18.4|0.43|ES| Eversource Energy| 2.35%| North America|Equity|Leveraged Equities|Utilities|UPW|6|14.ASSET|Equity|18.4|0.43|AWK| American Water Works Company, Inc.| 2.34%| North America|Equity|Leveraged Equities|Utilities|UPW|6|15.ASSET|Equity|18.4|0.38|EIX| Edison International| 2.08%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|1.ASSET|Alternatives|26.2|16.25|N/A| U.S. Dollar| 62.03%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|2.ASSET|Alternatives|26.2|2.24|AMR| Alpha Metallurgical Resources, Inc.| 8.55%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|3.ASSET|Alternatives|26.2|2.13|AR| Antero Resources Corporation| 8.12%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|4.ASSET|Alternatives|26.2|1.96|SI| Silvergate Capital Corp. Class A| 7.49%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|5.ASSET|Alternatives|26.2|1.91|MTDR| Matador Resources Company| 7.30%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|6.ASSET|Alternatives|26.2|1.91|PTEN| Patterson-UTI Energy, Inc.| 7.29%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|7.ASSET|Alternatives|26.2|1.91|MRO| Marathon Oil Corporation| 7.29%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|8.ASSET|Alternatives|26.2|1.91|ARCB| ArcBest Corporation| 7.28%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|9.ASSET|Alternatives|26.2|1.9|BCC| Boise Cascade Co.| 7.27%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|10.ASSET|Alternatives|26.2|1.85|CUBI| Customers Bancorp, Inc.| 7.07%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|11.ASSET|Alternatives|26.2|1.85|CDEV| Centennial Resource Development, Inc. Class A| 7.05%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|12.ASSET|Alternatives|26.2|1.83|TMST| TimkenSteel Corp| 6.98%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|13.ASSET|Alternatives|26.2|1.78|UNFI| United Natural Foods, Inc.| 6.80%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|14.ASSET|Alternatives|26.2|1.78|IPI| Intrepid Potash, Inc.| 6.79%| North America|Alternatives|Small Cap Blend Equities||VAMO|6|15.ASSET|Alternatives|26.2|1.73|OVV| Ovintiv Inc| 6.62%| Middle East|Equity|Emerging Markets Equities||UAE|6|1.ASSET|Equity|37.4|8.54|ETISALAT| Emirates Telecommunications Group Company PJSC| 22.83%| Middle East|Equity|Emerging Markets Equities||UAE|6|2.ASSET|Equity|37.4|8.47|FAB| First Abu Dhabi Bank P.J.S.C.| 22.65%| Middle East|Equity|Emerging Markets Equities||UAE|6|3.ASSET|Equity|37.4|2|ADIB| Abu Dhabi Islamic Bank| 5.36%| Middle East|Equity|Emerging Markets Equities||UAE|6|4.ASSET|Equity|37.4|1.71|EMIRATESNBD| Emirates NBD Bank (P.J.S.C)| 4.57%| Middle East|Equity|Emerging Markets Equities||UAE|6|5.ASSET|Equity|37.4|1.68|ADCB| Abu Dhabi Commercial Bank| 4.49%| Middle East|Equity|Emerging Markets Equities||UAE|6|6.ASSET|Equity|37.4|1.59|ALDAR| Aldar Properties - P J S C| 4.24%| Middle East|Equity|Emerging Markets Equities||UAE|6|7.ASSET|Equity|37.4|1.59|DIB| Dubai Islamic Bank PJSC| 4.24%| Middle East|Equity|Emerging Markets Equities||UAE|6|8.ASSET|Equity|37.4|1.55|EMAAR| Emaar Properties (P.J.S.C)| 4.15%| Middle East|Equity|Emerging Markets Equities||UAE|6|9.ASSET|Equity|37.4|1.46|ADNOCDIST| Abu Dhabi National Oil Company for Distribution PJSC| 3.91%| Middle East|Equity|Emerging Markets Equities||UAE|6|10.ASSET|Equity|37.4|1.03|DIC| Dubai Investment (P.J.S.C)| 2.76%| Middle East|Equity|Emerging Markets Equities||UAE|6|11.ASSET|Equity|37.4|0.88|AIRARABIA| Air Arabia PJSC| 2.34%| Middle East|Equity|Emerging Markets Equities||UAE|6|12.ASSET|Equity|37.4|0.85|DFM| Dubai Financial Market (DFM) - PJSC| 2.26%| Middle East|Equity|Emerging Markets Equities||UAE|6|13.ASSET|Equity|37.4|0.84|DANA| Dana Gas| 2.25%| Middle East|Equity|Emerging Markets Equities||UAE|6|14.ASSET|Equity|37.4|0.75|YAHSAT| Al Yah Satellite Communications Company PJSC| 2.00%| Middle East|Equity|Emerging Markets Equities||UAE|6|15.ASSET|Equity|37.4|0.57|AGTHIA| Agthia Group PJSC| 1.52%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|1.ASSET|Multi-Asset|23.2|0.16|LLY| Eli Lilly and Company| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|2.ASSET|Multi-Asset|23.2|0.16|SLB| Schlumberger NV| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|3.ASSET|Multi-Asset|23.2|0.16|COST| Costco Wholesale Corporation| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|4.ASSET|Multi-Asset|23.2|0.16|DUK| Duke Energy Corporation| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|5.ASSET|Multi-Asset|23.2|0.16|ACN| Accenture Plc Class A| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|6.ASSET|Multi-Asset|23.2|0.16|ALL| Allstate Corporation| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|7.ASSET|Multi-Asset|23.2|0.16|NFLX| Netflix, Inc.| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|8.ASSET|Multi-Asset|23.2|0.16|ABBV| AbbVie, Inc.| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|9.ASSET|Multi-Asset|23.2|0.16|DOW| Dow, Inc.| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|10.ASSET|Multi-Asset|23.2|0.16|PNW| Pinnacle West Capital Corporation| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|11.ASSET|Multi-Asset|23.2|0.16|WMT| Walmart Inc.| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|12.ASSET|Multi-Asset|23.2|0.16|MS| Morgan Stanley| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|13.ASSET|Multi-Asset|23.2|0.16|CF| CF Industries Holdings, Inc.| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|14.ASSET|Multi-Asset|23.2|0.16|OMC| Omnicom Group Inc| 0.67%| North America|Multi-Asset|Large Cap Blend Equities||ERM|6|15.ASSET|Multi-Asset|23.2|0.16|BRK.B| Berkshire Hathaway Inc. Class B| 0.67%| North America|Real Estate|Real Estate|Real Estate|REIT|6|1.ASSET|Real Estate|20|1.49|AVB| AvalonBay Communities, Inc.| 7.46%| North America|Real Estate|Real Estate|Real Estate|REIT|6|2.ASSET|Real Estate|20|1.37|EQIX| Equinix, Inc.| 6.85%| North America|Real Estate|Real Estate|Real Estate|REIT|6|3.ASSET|Real Estate|20|1.31|FR| First Industrial Realty Trust, Inc.| 6.57%| North America|Real Estate|Real Estate|Real Estate|REIT|6|4.ASSET|Real Estate|20|1.29|REXR| Rexford Industrial Realty, Inc.| 6.45%| North America|Real Estate|Real Estate|Real Estate|REIT|6|5.ASSET|Real Estate|20|1.2|CUBE| CubeSmart| 6.02%| North America|Real Estate|Real Estate|Real Estate|REIT|6|6.ASSET|Real Estate|20|1.03|ELS| Equity LifeStyle Properties, Inc.| 5.15%| North America|Real Estate|Real Estate|Real Estate|REIT|6|7.ASSET|Real Estate|20|0.94|WPC| W. P. Carey Inc.| 4.70%| North America|Real Estate|Real Estate|Real Estate|REIT|6|8.ASSET|Real Estate|20|0.93|ESS| Essex Property Trust, Inc.| 4.67%| North America|Real Estate|Real Estate|Real Estate|REIT|6|9.ASSET|Real Estate|20|0.71|PLD| Prologis, Inc.| 3.57%| North America|Real Estate|Real Estate|Real Estate|REIT|6|10.ASSET|Real Estate|20|0.7|HST| Host Hotels & Resorts, Inc.| 3.49%| North America|Real Estate|Real Estate|Real Estate|REIT|6|11.ASSET|Real Estate|20|0.68|O| Realty Income Corporation| 3.38%| North America|Real Estate|Real Estate|Real Estate|REIT|6|12.ASSET|Real Estate|20|0.63|INVH| Invitation Homes, Inc.| 3.13%| North America|Real Estate|Real Estate|Real Estate|REIT|6|13.ASSET|Real Estate|20|0.6|VTR| Ventas, Inc.| 3.02%| North America|Real Estate|Real Estate|Real Estate|REIT|6|14.ASSET|Real Estate|20|0.57|KRC| Kilroy Realty Corporation| 2.84%| North America|Real Estate|Real Estate|Real Estate|REIT|6|15.ASSET|Real Estate|20|0.56|CPT| Camden Property Trust| 2.82%| North America|Equity|Small Cap Growth Equities||BFTR|6|1.ASSET|Equity|11.3|0.49|BILL| Bill.com Holdings, Inc.| 4.33%| North America|Equity|Small Cap Growth Equities||BFTR|6|2.ASSET|Equity|11.3|0.41|ENTG| Entegris, Inc.| 3.59%| North America|Equity|Small Cap Growth Equities||BFTR|6|3.ASSET|Equity|11.3|0.38|AXON| Axon Enterprise Inc| 3.39%| North America|Equity|Small Cap Growth Equities||BFTR|6|4.ASSET|Equity|11.3|0.36|MPWR| Monolithic Power Systems, Inc.| 3.20%| North America|Equity|Small Cap Growth Equities||BFTR|6|5.ASSET|Equity|11.3|0.36|TECH| Bio-Techne Corporation| 3.18%| North America|Equity|Small Cap Growth Equities||BFTR|6|6.ASSET|Equity|11.3|0.35|PCTY| Paylocity Holding Corp.| 3.08%| North America|Equity|Small Cap Growth Equities||BFTR|6|7.ASSET|Equity|11.3|0.34|AVLR| Avalara Inc| 3.01%| North America|Equity|Small Cap Growth Equities||BFTR|6|8.ASSET|Equity|11.3|0.33|GLOB| Globant SA| 2.93%| North America|Equity|Small Cap Growth Equities||BFTR|6|9.ASSET|Equity|11.3|0.3|FIVN| Five9, Inc.| 2.68%| North America|Equity|Small Cap Growth Equities||BFTR|6|10.ASSET|Equity|11.3|0.29|PHR| Phreesia, Inc.| 2.55%| North America|Equity|Small Cap Growth Equities||BFTR|6|11.ASSET|Equity|11.3|0.28|PLNT| Planet Fitness, Inc. Class A| 2.51%| North America|Equity|Small Cap Growth Equities||BFTR|6|12.ASSET|Equity|11.3|0.28|SAIA| Saia, Inc.| 2.44%| North America|Equity|Small Cap Growth Equities||BFTR|6|13.ASSET|Equity|11.3|0.26|DOCN| DigitalOcean Holdings, Inc.| 2.28%| North America|Equity|Small Cap Growth Equities||BFTR|6|14.ASSET|Equity|11.3|0.25|TXG| 10x Genomics Inc Class A| 2.24%| North America|Equity|Small Cap Growth Equities||BFTR|6|15.ASSET|Equity|11.3|0.25|AMBA| Ambarella, Inc.| 2.19%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|1.ASSET|Multi-Asset|27.9|5.84|IAU| iShares Gold Trust| 20.93%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|2.ASSET|Multi-Asset|27.9|5.24|TLT| iShares 20+ Year Treasury Bond ETF| 18.77%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|3.ASSET|Multi-Asset|27.9|4.38|GLD| SPDR Gold Shares| 15.69%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|4.ASSET|Multi-Asset|27.9|4.08|BSV| Vanguard Short-Term Bond ETF| 14.64%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|5.ASSET|Multi-Asset|27.9|3.95|VGLT| Vanguard Long-Term Treasury ETF| 14.16%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|6.ASSET|Multi-Asset|27.9|1.46|SGOL| Aberdeen Standard Physical Gold Shares ETF| 5.23%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|7.ASSET|Multi-Asset|27.9|1.46|GLDM| SPDR Gold MiniShares Trust| 5.23%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|8.ASSET|Multi-Asset|27.9|1.36|SHY| iShares 1-3 Year Treasury Bond ETF| 4.89%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|9.ASSET|Multi-Asset|27.9|0.13|FGXXX| First American Funds Inc X Government Obligations Fund| 0.45%| North America|Multi-Asset|Diversified Portfolio||SNUG|6|10.ASSET|Multi-Asset|27.9|0|N/A| U.S. Dollar| 0.00%| Broad Asia|Equity|Volatility Hedged Equity||AZBA|6|1.ASSET|Equity|10.2|10.33|N/A| OPTIONS| 101.27%| Broad Asia|Equity|Volatility Hedged Equity||AZBA|6|2.ASSET|Equity|10.2|-0.13|N/A| U.S. Dollar| -1.27%| Global|Equity|n/a||KOCG|6|1.ASSET|Equity|21.1|0.97|MSFT| Microsoft Corporation| 4.60%| Global|Equity|n/a||KOCG|6|2.ASSET|Equity|21.1|0.76|GOOGL| Alphabet Inc. Class A| 3.60%| Global|Equity|n/a||KOCG|6|3.ASSET|Equity|21.1|0.74|AAPL| Apple Inc.| 3.53%| Global|Equity|n/a||KOCG|6|4.ASSET|Equity|21.1|0.48|FXFXX| First American Funds Inc X Treasury Obligations Fund| 2.27%| Global|Equity|n/a||KOCG|6|5.ASSET|Equity|21.1|0.43|N/A| U.S. Dollar| 2.06%| Global|Equity|n/a||KOCG|6|6.ASSET|Equity|21.1|0.35|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 1.68%| Global|Equity|n/a||KOCG|6|7.ASSET|Equity|21.1|0.35|PXD| Pioneer Natural Resources Company| 1.68%| Global|Equity|n/a||KOCG|6|8.ASSET|Equity|21.1|0.35|COP| ConocoPhillips| 1.67%| Global|Equity|n/a||KOCG|6|9.ASSET|Equity|21.1|0.34|NESN| Nestle S.A.| 1.63%| Global|Equity|n/a||KOCG|6|10.ASSET|Equity|21.1|0.32|AVGO| Broadcom Inc.| 1.52%| Global|Equity|n/a||KOCG|6|11.ASSET|Equity|21.1|0.29|NVDA| NVIDIA Corporation| 1.37%| Global|Equity|n/a||KOCG|6|12.ASSET|Equity|21.1|0.28|ACN| Accenture Plc Class A| 1.35%| Global|Equity|n/a||KOCG|6|13.ASSET|Equity|21.1|0.28|V| Visa Inc. Class A| 1.33%| Global|Equity|n/a||KOCG|6|14.ASSET|Equity|21.1|0.28|7974| Nintendo Co., Ltd.| 1.32%| Global|Equity|n/a||KOCG|6|15.ASSET|Equity|21.1|0.28|EQNR| Equinor ASA| 1.31%| North America|Equity|Emerging Markets Equities||FLRU|6|1.ASSET|Equity|1.4|0.22|SBER| Sberbank Russia PJSC| 15.41%| North America|Equity|Emerging Markets Equities||FLRU|6|2.ASSET|Equity|1.4|0.16|LKOH| Oil company LUKOIL PJSC| 11.28%| North America|Equity|Emerging Markets Equities||FLRU|6|3.ASSET|Equity|1.4|0.13|GAZP| Gazprom PJSC| 9.20%| North America|Equity|Emerging Markets Equities||FLRU|6|4.ASSET|Equity|1.4|0.1|GMKN| MMC Norilsk Nickel PJSC| 7.10%| North America|Equity|Emerging Markets Equities||FLRU|6|5.ASSET|Equity|1.4|0.08|RUAL| United Company RUSAL international PJSC| 5.77%| North America|Equity|Emerging Markets Equities||FLRU|6|6.ASSET|Equity|1.4|0.07|TRNFP| Transneft PJSC Pref.| 5.09%| North America|Equity|Emerging Markets Equities||FLRU|6|7.ASSET|Equity|1.4|0.07|ROSN| Rosneft Oil Co.| 4.74%| North America|Equity|Emerging Markets Equities||FLRU|6|8.ASSET|Equity|1.4|0.06|MTSS| Mobile TeleSystems PJSC| 4.27%| North America|Equity|Emerging Markets Equities||FLRU|6|9.ASSET|Equity|1.4|0.05|ALRS| ALROSA PJSC| 3.82%| North America|Equity|Emerging Markets Equities||FLRU|6|10.ASSET|Equity|1.4|0.05|HYDR| Federal Hydro-Generating Company - RusHydro PJSC| 3.44%| North America|Equity|Emerging Markets Equities||FLRU|6|11.ASSET|Equity|1.4|0.04|MOEX| Public Joint Stock Company Moscow Exchange MICEX-RTS| 3.10%| North America|Equity|Emerging Markets Equities||FLRU|6|12.ASSET|Equity|1.4|0.03|NVTK| NOVATEK JSC| 2.27%| North America|Equity|Emerging Markets Equities||FLRU|6|13.ASSET|Equity|1.4|0.03|IRAO| Inter RAO UES PJSC| 2.18%| North America|Equity|Emerging Markets Equities||FLRU|6|14.ASSET|Equity|1.4|0.03|AFKS| Sistema PJSFC| 2.16%| North America|Equity|Emerging Markets Equities||FLRU|6|15.ASSET|Equity|1.4|0.03|VTBR| VTB Bank PJSC| 2.15%| North America|Equity|All Cap Equities||EGIS|6|1.ASSET|Equity|25.5|1.16|COST| Costco Wholesale Corporation| 4.56%| North America|Equity|All Cap Equities||EGIS|6|2.ASSET|Equity|25.5|1.09|ORLY| O\'Reilly Automotive, Inc.| 4.26%| North America|Equity|All Cap Equities||EGIS|6|3.ASSET|Equity|25.5|0.94|FTNT| Fortinet, Inc.| 3.67%| North America|Equity|All Cap Equities||EGIS|6|4.ASSET|Equity|25.5|0.92|NOW| ServiceNow, Inc.| 3.59%| North America|Equity|All Cap Equities||EGIS|6|5.ASSET|Equity|25.5|0.91|GS| Goldman Sachs Group, Inc.| 3.57%| North America|Equity|All Cap Equities||EGIS|6|6.ASSET|Equity|25.5|0.9|FOXA| Fox Corporation Class A| 3.54%| North America|Equity|All Cap Equities||EGIS|6|7.ASSET|Equity|25.5|0.89|TXN| Texas Instruments Incorporated| 3.50%| North America|Equity|All Cap Equities||EGIS|6|8.ASSET|Equity|25.5|0.87|FANG| Diamondback Energy, Inc.| 3.40%| North America|Equity|All Cap Equities||EGIS|6|9.ASSET|Equity|25.5|0.87|HON| Honeywell International Inc.| 3.40%| North America|Equity|All Cap Equities||EGIS|6|10.ASSET|Equity|25.5|0.84|ABBV| AbbVie, Inc.| 3.29%| North America|Equity|All Cap Equities||EGIS|6|11.ASSET|Equity|25.5|0.81|EOG| EOG Resources, Inc.| 3.16%| North America|Equity|All Cap Equities||EGIS|6|12.ASSET|Equity|25.5|0.8|REGN| Regeneron Pharmaceuticals, Inc.| 3.12%| North America|Equity|All Cap Equities||EGIS|6|13.ASSET|Equity|25.5|0.77|KO| Coca-Cola Company| 3.03%| North America|Equity|All Cap Equities||EGIS|6|14.ASSET|Equity|25.5|0.72|IIVI| II-VI Incorporated| 2.84%| North America|Equity|All Cap Equities||EGIS|6|15.ASSET|Equity|25.5|0.72|LHX| L3Harris Technologies Inc| 2.82%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|1.ASSET|Multi-Asset|22.9|1.2|N/A| EQUITY OTHER| 5.26%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|2.ASSET|Multi-Asset|22.9|0.95|N/A| NatWest Group Plc 8.0% PERP| 4.16%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|3.ASSET|Multi-Asset|22.9|0.95|N/A| Lloyds Banking Group Plc 7.5% PERP| 4.14%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|4.ASSET|Multi-Asset|22.9|0.94|N/A| Nordea Bank Abp 6.625% PERP| 4.09%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|5.ASSET|Multi-Asset|22.9|0.92|N/A| Credit Agricole 7.875% PERP| 4.02%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|6.ASSET|Multi-Asset|22.9|0.9|N/A| HSBC Holdings Plc 6.375% PERP| 3.91%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|7.ASSET|Multi-Asset|22.9|0.89|N/A| UBS Group Funding (Switzerland) AG 7.0% PERP| 3.88%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|8.ASSET|Multi-Asset|22.9|0.89|N/A| ING Groep NV 5.75% PERP| 3.87%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|9.ASSET|Multi-Asset|22.9|0.87|N/A| Societe Generale S.A. 7.875% PERP| 3.79%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|10.ASSET|Multi-Asset|22.9|0.82|N/A| Standard Chartered Plc 7.5% PERP| 3.60%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|11.ASSET|Multi-Asset|22.9|0.63|N/A| Huntington Bancshares Incorporated Depositary Shs Repr 1/100th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs Ser F| 2.75%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|12.ASSET|Multi-Asset|22.9|0.63|NCBV| Bank of America Corp Deposit Shs Repr 1/25th Non-Cum Pfd Shs Series -DD-| 2.75%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|13.ASSET|Multi-Asset|22.9|0.61|N/A| Citizens Financial Group Inc Non-Cum Red Perp Pfd Registered Shs Series F| 2.67%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|14.ASSET|Multi-Asset|22.9|0.61|DFS5003213| Discover Financial Services Depositary Shs Repr 1/100th Fix/Fltg Non-Cum Red Perp Pfd Rg Shs Ser D| 2.67%| Developed Markets|Multi-Asset|Diversified Portfolio||PQDI|6|15.ASSET|Multi-Asset|22.9|0.61|A28X0G| Comerica Incorporated Bonds 2020-Without Fixed Maturity Series A Vairable Rate| 2.66%| |Equity|Leveraged Equities||HIBS|6|1.ASSET|Equity|34|31.06|N/A| U.S. Dollar| 91.36%| |Equity|Leveraged Equities||HIBS|6|2.ASSET|Equity|34|31.06|N/A| U.S. Dollar| 91.36%| |Equity|Leveraged Equities||HIBS|6|3.ASSET|Equity|34|2.94|N/A| MUTUAL FUND (OTHER)| 8.64%| |Equity|Leveraged Equities||HIBS|6|4.ASSET|Equity|34|2.94|N/A| MUTUAL FUND (OTHER)| 8.64%| |Commodity|Agricultural Commodities||CANE|6|1.ASSET|Commodity|20.3|20.3|N/A| Sugar| 100.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|1.ASSET|Bond|25.2|0.81|N/A| Government of Egypt 6.2004% 01-MAR-2024| 3.22%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|2.ASSET|Bond|25.2|0.64|N/A| ABJA Investment Co. Pte Ltd. 5.95% 31-JUL-2024| 2.54%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|3.ASSET|Bond|25.2|0.61|N/A| Turkiye Is Bankasi Anonim Sirketi 6.125% 25-APR-2024| 2.41%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|4.ASSET|Bond|25.2|0.57|N/A| Asian Development Bank 2.625% 30-JAN-2024| 2.25%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|5.ASSET|Bond|25.2|0.52|N/A| Government of Qatar 3.375% 14-MAR-2024| 2.07%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|6.ASSET|Bond|25.2|0.5|N/A| Asian Development Bank 1.5% 18-OCT-2024| 2.00%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|7.ASSET|Bond|25.2|0.46|N/A| Government of Brazil 8.875% 15-APR-2024| 1.84%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|8.ASSET|Bond|25.2|0.43|N/A| Perusahaan Penerbit SBSN Indonesia III 4.35% 10-SEP-2024| 1.69%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|9.ASSET|Bond|25.2|0.42|N/A| Comision Federal de Electricidad SA de CV 4.875% 15-JAN-2024| 1.66%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|10.ASSET|Bond|25.2|0.42|N/A| Empresa Nacional del Petroleo SA 4.375% 30-OCT-2024| 1.66%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|11.ASSET|Bond|25.2|0.42|N/A| Government of Poland 4.0% 22-JAN-2024| 1.66%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|12.ASSET|Bond|25.2|0.41|N/A| QNB Finance Ltd. 3.5% 28-MAR-2024| 1.64%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|13.ASSET|Bond|25.2|0.41|N/A| Emirate of Abu Dhabi (United Arab Emirates) 2.125% 30-SEP-2024| 1.61%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|14.ASSET|Bond|25.2|0.4|N/A| Government of Turkey 6.35% 10-AUG-2024| 1.59%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSDE|6|15.ASSET|Bond|25.2|0.39|N/A| Government of Turkey 5.6% 14-NOV-2024| 1.56%| Middle East|Equity|Asia Pacific Equities||PAK|6|1.ASSET|Equity|20.3|1.58|LUCK| Lucky Cement Ltd.| 7.79%| Middle East|Equity|Asia Pacific Equities||PAK|6|2.ASSET|Equity|20.3|1.47|ENGRO| Engro Corporation Limited| 7.22%| Middle East|Equity|Asia Pacific Equities||PAK|6|3.ASSET|Equity|20.3|1.36|HUBC| Hub Power Co. Ltd.| 6.68%| Middle East|Equity|Asia Pacific Equities||PAK|6|4.ASSET|Equity|20.3|1.3|HBL| Habib Bank Limited| 6.41%| Middle East|Equity|Asia Pacific Equities||PAK|6|5.ASSET|Equity|20.3|1.25|UBL| United Bank Limited| 6.15%| Middle East|Equity|Asia Pacific Equities||PAK|6|6.ASSET|Equity|20.3|1.24|MCB| MCB Bank Limited| 6.13%| Middle East|Equity|Asia Pacific Equities||PAK|6|7.ASSET|Equity|20.3|0.96|OGDC| Oil & Gas Development Co. Ltd.| 4.71%| Middle East|Equity|Asia Pacific Equities||PAK|6|8.ASSET|Equity|20.3|0.93|BAHL| Bank Al Habib Ltd.| 4.57%| Middle East|Equity|Asia Pacific Equities||PAK|6|9.ASSET|Equity|20.3|0.93|MARI| Mari Petroleum Co. Ltd.| 4.57%| Middle East|Equity|Asia Pacific Equities||PAK|6|10.ASSET|Equity|20.3|0.92|FFC| Fauji Fertilizer Co. Ltd.| 4.54%| Middle East|Equity|Asia Pacific Equities||PAK|6|11.ASSET|Equity|20.3|0.91|EFERT| Engro Fertilizers Ltd.| 4.47%| Middle East|Equity|Asia Pacific Equities||PAK|6|12.ASSET|Equity|20.3|0.88|PPL| Pakistan Petroleum Limited| 4.35%| Middle East|Equity|Asia Pacific Equities||PAK|6|13.ASSET|Equity|20.3|0.83|SYS| Systems Ltd.| 4.11%| Middle East|Equity|Asia Pacific Equities||PAK|6|14.ASSET|Equity|20.3|0.79|MTL| Millat Tractors Limited| 3.89%| Middle East|Equity|Asia Pacific Equities||PAK|6|15.ASSET|Equity|20.3|0.75|PSO| Pakistan State Oil Co. Ltd. Class I| 3.69%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|1.ASSET|Equity|24.6|2.86|ARCC| Ares Capital Corporation| 11.62%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|2.ASSET|Equity|24.6|2.37|III| 3i Group plc| 9.65%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|3.ASSET|Equity|24.6|2.26|FSK| FS KKR Capital Corp.| 9.17%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|4.ASSET|Equity|24.6|2.01|KINV.B| Kinnevik AB Class B| 8.16%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|5.ASSET|Equity|24.6|1.67|ONEX| Onex Corporation| 6.79%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|6.ASSET|Equity|24.6|1|MAIN| Main Street Capital Corporation| 4.06%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|7.ASSET|Equity|24.6|0.91|MF| Wendel SE| 3.68%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|8.ASSET|Equity|24.6|0.89|GBDC| Golub Capital BDC, Inc.| 3.60%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|9.ASSET|Equity|24.6|0.86|RF| Eurazeo SA| 3.51%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|10.ASSET|Equity|24.6|0.8|PSEC| Prospect Capital Corporation| 3.26%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|11.ASSET|Equity|24.6|0.76|HGT| HGCapital Trust PLC| 3.08%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|12.ASSET|Equity|24.6|0.7|HTGC| Hercules Capital, Inc.| 2.85%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|13.ASSET|Equity|24.6|0.66|GSBD| Goldman Sachs BDC, Inc| 2.68%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|14.ASSET|Equity|24.6|0.62|HBMN| HBM Healthcare Investments AG| 2.53%| Developed Markets|Equity|Financials Equities|Financials|PEX|6|15.ASSET|Equity|24.6|0.6|TSLX| Sixth Street Specialty Lending, Inc.| 2.44%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|1.ASSET|Equity|25.2|0.74|RHHBY| Roche Holding Ltd Sponsored ADR| 2.94%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|2.ASSET|Equity|25.2|0.74|SMSN| Samsung Electronics Co., Ltd. Sponsored GDR| 2.93%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|3.ASSET|Equity|25.2|0.65|9432| Nippon Telegraph and Telephone Corporation| 2.59%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|4.ASSET|Equity|25.2|0.51|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 2.03%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|5.ASSET|Equity|25.2|0.46|9433| KDDI Corporation| 1.83%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|6.ASSET|Equity|25.2|0.46|UL| Unilever PLC Sponsored ADR| 1.82%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|7.ASSET|Equity|25.2|0.46|000660| SK hynix Inc| 1.81%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|8.ASSET|Equity|25.2|0.43|AEM| Agnico Eagle Mines Limited| 1.71%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|9.ASSET|Equity|25.2|0.39|9888| Baidu, Inc. Class A| 1.54%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|10.ASSET|Equity|25.2|0.37|788| China Tower Corp. Ltd. Class H| 1.45%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|11.ASSET|Equity|25.2|0.35|914| Anhui Conch Cement Company Limited Class H| 1.39%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|12.ASSET|Equity|25.2|0.34|9999| NetEase, Inc| 1.35%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|13.ASSET|Equity|25.2|0.33|ITX| Industria de Diseno Textil, S.A.| 1.32%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|14.ASSET|Equity|25.2|0.33|TLKM| PT Telkom Indonesia (Persero) Tbk Class B| 1.31%| Global ex-U.S.|Equity|Foreign Large Cap Equities||DSTX|6|15.ASSET|Equity|25.2|0.32|3659| NEXON Co., Ltd.| 1.25%| North America|Equity|n/a||TPLE|6|1.ASSET|Equity|67.2|0.46|CERN| Cerner Corporation| 0.69%| North America|Equity|n/a||TPLE|6|2.ASSET|Equity|67.2|0.43|MKC| McCormick & Company, Incorporated| 0.64%| North America|Equity|n/a||TPLE|6|3.ASSET|Equity|67.2|0.41|ED| Consolidated Edison, Inc.| 0.61%| North America|Equity|n/a||TPLE|6|4.ASSET|Equity|67.2|0.38|COST| Costco Wholesale Corporation| 0.57%| North America|Equity|n/a||TPLE|6|5.ASSET|Equity|67.2|0.38|SO| Southern Company| 0.57%| North America|Equity|n/a||TPLE|6|6.ASSET|Equity|67.2|0.37|AEP| American Electric Power Company, Inc.| 0.55%| North America|Equity|n/a||TPLE|6|7.ASSET|Equity|67.2|0.37|ATO| Atmos Energy Corporation| 0.55%| North America|Equity|n/a||TPLE|6|8.ASSET|Equity|67.2|0.37|GD| General Dynamics Corporation| 0.55%| North America|Equity|n/a||TPLE|6|9.ASSET|Equity|67.2|0.36|WM| Waste Management, Inc.| 0.54%| North America|Equity|n/a||TPLE|6|10.ASSET|Equity|67.2|0.36|D| Dominion Energy Inc| 0.53%| North America|Equity|n/a||TPLE|6|11.ASSET|Equity|67.2|0.35|CMS| CMS Energy Corporation| 0.52%| North America|Equity|n/a||TPLE|6|12.ASSET|Equity|67.2|0.35|RSG| Republic Services, Inc.| 0.52%| North America|Equity|n/a||TPLE|6|13.ASSET|Equity|67.2|0.35|DTE| DTE Energy Company| 0.52%| North America|Equity|n/a||TPLE|6|14.ASSET|Equity|67.2|0.34|ICE| Intercontinental Exchange, Inc.| 0.51%| North America|Equity|n/a||TPLE|6|15.ASSET|Equity|67.2|0.34|AEE| Ameren Corporation| 0.50%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|1.ASSET|Equity|12.3|1.24|VOLCAR.B| Volvo Car AB Class B| 10.08%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|2.ASSET|Equity|12.3|1.04|1024| Kuaishou Technology Class B| 8.42%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|3.ASSET|Equity|12.3|0.59|EQT| EQT AB| 4.81%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|4.ASSET|Equity|12.3|0.48|NEXI| Nexi S.p.A.| 3.89%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|5.ASSET|Equity|12.3|0.4|6969| Smoore International Holdings Limited| 3.26%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|6.ASSET|Equity|12.3|0.39|9633| Nongfu Spring Co., Ltd. Class H| 3.20%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|7.ASSET|Equity|12.3|0.35|1821| ESR Cayman Ltd.| 2.87%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|8.ASSET|Equity|12.3|0.35|1876| Budweiser Brewing Co. APAC Ltd.| 2.83%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|9.ASSET|Equity|12.3|0.33|6618| JD Health International, Inc.| 2.67%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|10.ASSET|Equity|12.3|0.23|FDJ| La Francaise des Jeux SA| 1.90%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|11.ASSET|Equity|12.3|0.23|ONT| Oxford Nanopore Technologies PLC| 1.85%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|12.ASSET|Equity|12.3|0.22|NVEI| Nuvei Corporation| 1.81%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|13.ASSET|Equity|12.3|0.22|CRC| Central Retail Corporation Public Company Limited| 1.76%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|14.ASSET|Equity|12.3|0.22|LSPD| Lightspeed Commerce Inc| 1.76%| Broad Asia|Equity|Foreign Large Cap Equities||IPOS|6|15.ASSET|Equity|12.3|0.2|6186| China Feihe Limited| 1.60%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|1.ASSET|Bond|22.2|0.2|N/A| Wells Fargo Commercial Mortgage Trust 2015-NXS2 A4 3.498% 15-JUL-2058| 0.92%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|2.ASSET|Bond|22.2|0.2|N/A| Wells Fargo Commercial Mortgage Trust 2015-NXS2 A4 3.498% 15-JUL-2058| 0.91%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|3.ASSET|Bond|22.2|0.2|N/A| FNMA 30yr Pool#CB2276 2.500% 01-Nov-2051 2.5% 01-NOV-2051| 0.89%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|4.ASSET|Bond|22.2|0.2|N/A| FNMA 30yr Pool#CB2276 2.500% 01-Nov-2051 2.5% 01-NOV-2051| 0.89%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|5.ASSET|Bond|22.2|0.16|N/A| United States Treasury Notes 0.125% 15-MAY-2023| 0.72%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|6.ASSET|Bond|22.2|0.16|N/A| United States Treasury Notes 0.125% 15-MAY-2023| 0.71%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|7.ASSET|Bond|22.2|0.16|N/A| California St 7.55% 01-APR-2039| 0.70%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|8.ASSET|Bond|22.2|0.16|N/A| California St 7.55% 01-APR-2039| 0.70%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|9.ASSET|Bond|22.2|0.14|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 0.65%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|10.ASSET|Bond|22.2|0.14|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 0.65%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|11.ASSET|Bond|22.2|0.13|N/A| FNMA 30yr Pool#CA8850 2.000% 01-Feb-2051 2.0% 01-FEB-2051| 0.60%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|12.ASSET|Bond|22.2|0.13|N/A| FNMA 30yr Pool#CA8850 2.000% 01-Feb-2051 2.0% 01-FEB-2051| 0.60%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|13.ASSET|Bond|22.2|0.13|N/A| Goldman Sachs Group, Inc. 4.25% 21-OCT-2025| 0.59%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|14.ASSET|Bond|22.2|0.13|N/A| Goldman Sachs Group, Inc. 4.25% 21-OCT-2025| 0.59%| North America|Bond|Total Bond Market|Total Bond Market|PBND|6|15.ASSET|Bond|22.2|0.13|N/A| Government of Panama 8.875% 30-SEP-2027| 0.59%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|1.ASSET|Equity|27.7|1.95|KR| Kroger Co.| 7.04%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|2.ASSET|Equity|27.7|1.93|CVS| CVS Health Corporation| 6.98%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|3.ASSET|Equity|27.7|1.62|M| Macy\'s Inc| 5.86%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|4.ASSET|Equity|27.7|1.49|COST| Costco Wholesale Corporation| 5.37%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|5.ASSET|Equity|27.7|1.2|KSS| Kohl\'s Corporation| 4.32%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|6.ASSET|Equity|27.7|1.2|AZO| AutoZone, Inc.| 4.32%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|7.ASSET|Equity|27.7|1.16|AAP| Advance Auto Parts, Inc.| 4.20%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|8.ASSET|Equity|27.7|1.14|ORLY| O\'Reilly Automotive, Inc.| 4.10%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|9.ASSET|Equity|27.7|1.1|WMT| Walmart Inc.| 3.97%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|10.ASSET|Equity|27.7|1.09|DKS| Dick\'s Sporting Goods, Inc.| 3.94%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|11.ASSET|Equity|27.7|1.08|DLTR| Dollar Tree, Inc.| 3.90%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|12.ASSET|Equity|27.7|1.08|DG| Dollar General Corporation| 3.89%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|13.ASSET|Equity|27.7|1.05|GME| GameStop Corp. Class A| 3.80%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|14.ASSET|Equity|27.7|1.05|LOW| Lowe\'s Companies, Inc.| 3.78%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|FTXD|6|15.ASSET|Equity|27.7|1|HD| Home Depot, Inc.| 3.61%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|1.ASSET|Equity|23.9|4.34|AMZN| Amazon.com, Inc.| 18.17%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|2.ASSET|Equity|23.9|1.88|HD| Home Depot, Inc.| 7.88%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|3.ASSET|Equity|23.9|1.55|COST| Costco Wholesale Corporation| 6.48%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|4.ASSET|Equity|23.9|1.34|WMT| Walmart Inc.| 5.61%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|5.ASSET|Equity|23.9|0.96|NKE| NIKE, Inc. Class B| 4.03%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|6.ASSET|Equity|23.9|0.82|TGT| Target Corporation| 3.45%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|7.ASSET|Equity|23.9|0.81|LOW| Lowe\'s Companies, Inc.| 3.38%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|8.ASSET|Equity|23.9|0.7|MCD| McDonald\'s Corporation| 2.92%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|9.ASSET|Equity|23.9|0.62|PG| Procter & Gamble Company| 2.58%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|10.ASSET|Equity|23.9|0.52|TJX| TJX Companies Inc| 2.19%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|11.ASSET|Equity|23.9|0.37|SBUX| Starbucks Corporation| 1.56%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|12.ASSET|Equity|23.9|0.35|DG| Dollar General Corporation| 1.47%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|13.ASSET|Equity|23.9|0.3|LULU| Lululemon Athletica Inc| 1.24%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|14.ASSET|Equity|23.9|0.29|ORLY| O\'Reilly Automotive, Inc.| 1.23%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|IEDI|6|15.ASSET|Equity|23.9|0.29|EL| Estee Lauder Companies Inc. Class A| 1.20%| North America|Bond|Leveraged Bonds|Treasuries|TYD|6|1.ASSET|Bond|26.3|18.92|IEF| iShares 7-10 Year Treasury Bond ETF| 71.94%| North America|Bond|Leveraged Bonds|Treasuries|TYD|6|2.ASSET|Bond|26.3|3.6|DGCXX| Dreyfus Government Cash Management Funds Institutional| 13.70%| North America|Bond|Leveraged Bonds|Treasuries|TYD|6|3.ASSET|Bond|26.3|3.36|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 12.78%| North America|Bond|Leveraged Bonds|Treasuries|TYD|6|4.ASSET|Bond|26.3|0.42|N/A| MUTUAL FUND (OTHER)| 1.61%| North America|Bond|Leveraged Bonds|Treasuries|TYD|6|5.ASSET|Bond|26.3|0.02|N/A| CORPORATE BOND| 0.07%| North America|Bond|Leveraged Bonds|Treasuries|TYD|6|6.ASSET|Bond|26.3|-0.03|N/A| U.S. Dollar| -0.11%| Emerging Asia Pacific|Equity|China Equities||KALL|6|1.ASSET|Equity|17.5|1.5|700| Tencent Holdings Ltd.| 8.58%| Emerging Asia Pacific|Equity|China Equities||KALL|6|2.ASSET|Equity|17.5|1.06|9988| Alibaba Group Holding Ltd.| 6.04%| Emerging Asia Pacific|Equity|China Equities||KALL|6|3.ASSET|Equity|17.5|0.44|600519| Kweichow Moutai Co., Ltd. Class A| 2.50%| Emerging Asia Pacific|Equity|China Equities||KALL|6|4.ASSET|Equity|17.5|0.38|3690| Meituan Class B| 2.18%| Emerging Asia Pacific|Equity|China Equities||KALL|6|5.ASSET|Equity|17.5|0.36|939| China Construction Bank Corporation Class H| 2.05%| Emerging Asia Pacific|Equity|China Equities||KALL|6|6.ASSET|Equity|17.5|0.25|BIDU| Baidu Inc Sponsored ADR Class A| 1.43%| Emerging Asia Pacific|Equity|China Equities||KALL|6|7.ASSET|Equity|17.5|0.25|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 1.40%| Emerging Asia Pacific|Equity|China Equities||KALL|6|8.ASSET|Equity|17.5|0.25|600036| China Merchants Bank Co., Ltd. Class A| 1.40%| Emerging Asia Pacific|Equity|China Equities||KALL|6|9.ASSET|Equity|17.5|0.22|1398| Industrial and Commercial Bank of China Limited Class H| 1.26%| Emerging Asia Pacific|Equity|China Equities||KALL|6|10.ASSET|Equity|17.5|0.21|3968| China Merchants Bank Co., Ltd. Class H| 1.18%| Emerging Asia Pacific|Equity|China Equities||KALL|6|11.ASSET|Equity|17.5|0.2|1211| BYD Company Limited Class H| 1.14%| Emerging Asia Pacific|Equity|China Equities||KALL|6|12.ASSET|Equity|17.5|0.18|NIO| NIO Inc. Sponsored ADR Class A| 1.01%| Emerging Asia Pacific|Equity|China Equities||KALL|6|13.ASSET|Equity|17.5|0.17|LI| Li Auto, Inc. Sponsored ADR Class A| 0.95%| Emerging Asia Pacific|Equity|China Equities||KALL|6|14.ASSET|Equity|17.5|0.16|3988| Bank of China Limited Class H| 0.91%| Emerging Asia Pacific|Equity|China Equities||KALL|6|15.ASSET|Equity|17.5|0.16|002594| BYD Company Limited Class A| 0.90%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|1.ASSET|Equity|17.7|1.64|MPC| Marathon Petroleum Corporation| 9.27%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|2.ASSET|Equity|17.7|1.4|PSX| Phillips 66| 7.92%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|3.ASSET|Equity|17.7|1.34|RIGD| Reliance Industries Limited Sponsored GDR 144A| 7.58%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|4.ASSET|Equity|17.7|1.21|VLO| Valero Energy Corporation| 6.84%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|5.ASSET|Equity|17.7|0.98|GALP| GALP Energia SGPS SA Class B| 5.55%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|6.ASSET|Equity|17.7|0.97|5020| ENEOS Holdings, Inc.| 5.48%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|7.ASSET|Equity|17.7|0.86|NESTE| Neste Corporation| 4.86%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|8.ASSET|Equity|17.7|0.81|5019| Idemitsu Kosan Co., Ltd.| 4.60%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|9.ASSET|Equity|17.7|0.78|6505| Formosa Petrochemical Corp| 4.39%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|10.ASSET|Equity|17.7|0.77|096770| SK Innovation Co., Ltd| 4.33%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|11.ASSET|Equity|17.7|0.76|PKN| Polski Koncern Naftowy ORLEN S.A.| 4.28%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|12.ASSET|Equity|17.7|0.72|ALD| Ampol Limited| 4.07%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|13.ASSET|Equity|17.7|0.72|HFC| HollyFrontier Corporation| 4.06%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|14.ASSET|Equity|17.7|0.72|MOL| MOL Hungarian Oil & Gas Plc Class A| 4.06%| Developed Markets|Equity|Energy Equities|Energy|CRAK|6|15.ASSET|Equity|17.7|0.7|OMV| OMV AG| 3.94%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|1.ASSET|Multi-Asset|44.2|9.55|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 21.60%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|2.ASSET|Multi-Asset|44.2|5.49|VNQ| Vanguard Real Estate ETF| 12.43%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|3.ASSET|Multi-Asset|44.2|5.4|N/A| MUTUAL FUND (OTHER)| 12.22%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|4.ASSET|Multi-Asset|44.2|2.46|EINC| VanEck Energy Income ETF| 5.56%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|5.ASSET|Multi-Asset|44.2|2.2|GDX| VanEck Gold Miners ETF| 4.97%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|6.ASSET|Multi-Asset|44.2|2.2|IGF| iShares Global Infrastructure ETF| 4.97%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|7.ASSET|Multi-Asset|44.2|2.17|XLE| Energy Select Sector SPDR Fund| 4.90%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|8.ASSET|Multi-Asset|44.2|2.14|PAVE| Global X U.S. Infrastructure Development ETF| 4.85%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|9.ASSET|Multi-Asset|44.2|1.88|XOP| SPDR S&P Oil & Gas Exploration & Production ETF| 4.25%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|10.ASSET|Multi-Asset|44.2|1.85|MOO| VanEck Agribusiness ETF| 4.19%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|11.ASSET|Multi-Asset|44.2|1.33|OIH| VanEck Oil Services ETF| 3.02%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|12.ASSET|Multi-Asset|44.2|1.3|SLX| VanEck Steel ETF| 2.93%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|13.ASSET|Multi-Asset|44.2|1.22|PICK| iShares MSCI Global Metals & Mining Producers ETF| 2.75%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|14.ASSET|Multi-Asset|44.2|0.84|BTCC.USD| Purpose Bitcoin ETF Trust Units -Unhedged-| 1.90%| Developed Markets|Multi-Asset|Diversified Portfolio||RAAX|6|15.ASSET|Multi-Asset|44.2|0.84|SMOG| VanEck Low Carbon Energy ETF| 1.89%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|1.ASSET|Equity|27.6|0.91|NOVN| Novartis AG| 3.30%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|2.ASSET|Equity|27.6|0.84|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.03%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|3.ASSET|Equity|27.6|0.68|NESN| Nestle S.A.| 2.47%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|4.ASSET|Equity|27.6|0.67|RIO| Rio Tinto plc| 2.44%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|5.ASSET|Equity|27.6|0.64|BATS| British American Tobacco p.l.c.| 2.32%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|6.ASSET|Equity|27.6|0.63|GSK| GlaxoSmithKline plc| 2.29%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|7.ASSET|Equity|27.6|0.57|AAL| Anglo American plc| 2.08%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|8.ASSET|Equity|27.6|0.56|SIE| Siemens AG| 2.02%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|9.ASSET|Equity|27.6|0.54|OR| L\'Oreal SA| 1.97%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|10.ASSET|Equity|27.6|0.49|RHM| Rheinmetall AG| 1.79%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|11.ASSET|Equity|27.6|0.47|REL| RELX PLC| 1.72%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|12.ASSET|Equity|27.6|0.45|ROG| Roche Holding Ltd| 1.64%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|13.ASSET|Equity|27.6|0.43|TEF| Telefonica SA| 1.56%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|14.ASSET|Equity|27.6|0.42|SGRO| SEGRO plc| 1.53%| Developed Markets|Equity|Europe Equities|Industrials|RFEU|6|15.ASSET|Equity|27.6|0.42|AD| Koninklijke Ahold Delhaize N.V.| 1.53%| North America|Equity|Small Cap Blend Equities||SSLY|6|1.ASSET|Equity|20.1|0.14|DIOD| Diodes Incorporated| 0.69%| North America|Equity|Small Cap Blend Equities||SSLY|6|2.ASSET|Equity|20.1|0.13|MXL| MaxLinear, Inc.| 0.67%| North America|Equity|Small Cap Blend Equities||SSLY|6|3.ASSET|Equity|20.1|0.13|SJI| South Jersey Industries, Inc.| 0.65%| North America|Equity|Small Cap Blend Equities||SSLY|6|4.ASSET|Equity|20.1|0.13|SANM| Sanmina Corporation| 0.64%| North America|Equity|Small Cap Blend Equities||SSLY|6|5.ASSET|Equity|20.1|0.12|CCSI| Consensus Cloud Solutions, Inc.| 0.62%| North America|Equity|Small Cap Blend Equities||SSLY|6|6.ASSET|Equity|20.1|0.11|CARS| Cars.com, Inc.| 0.56%| North America|Equity|Small Cap Blend Equities||SSLY|6|7.ASSET|Equity|20.1|0.11|TDS| Telephone and Data Systems, Inc.| 0.55%| North America|Equity|Small Cap Blend Equities||SSLY|6|8.ASSET|Equity|20.1|0.11|UTL| Unitil Corporation| 0.55%| North America|Equity|Small Cap Blend Equities||SSLY|6|9.ASSET|Equity|20.1|0.11|LQDT| Liquidity Services, Inc.| 0.54%| North America|Equity|Small Cap Blend Equities||SSLY|6|10.ASSET|Equity|20.1|0.11|PLXS| Plexus Corp.| 0.54%| North America|Equity|Small Cap Blend Equities||SSLY|6|11.ASSET|Equity|20.1|0.11|ATNI| ATN International, Inc.| 0.53%| North America|Equity|Small Cap Blend Equities||SSLY|6|12.ASSET|Equity|20.1|0.11|EPAY| Bottomline Technologies (de), Inc.| 0.53%| North America|Equity|Small Cap Blend Equities||SSLY|6|13.ASSET|Equity|20.1|0.11|NWN| Northwest Natural Holding Co.| 0.53%| North America|Equity|Small Cap Blend Equities||SSLY|6|14.ASSET|Equity|20.1|0.1|SNEX| StoneX Group Inc.| 0.52%| North America|Equity|Small Cap Blend Equities||SSLY|6|15.ASSET|Equity|20.1|0.1|TUP| Tupperware Brands Corporation| 0.52%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|1.ASSET|Equity|17.1|0.58|ITCI| Intra-Cellular Therapies, Inc.| 3.41%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|2.ASSET|Equity|17.1|0.56|BCRX| BioCryst Pharmaceuticals, Inc.| 3.28%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|3.ASSET|Equity|17.1|0.49|N/A| U.S. Dollar| 2.84%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|4.ASSET|Equity|17.1|0.45|GBT| Global Blood Therapeutics Inc| 2.64%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|5.ASSET|Equity|17.1|0.45|EXEL| Exelixis, Inc.| 2.61%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|6.ASSET|Equity|17.1|0.44|BHVN| Biohaven Pharmaceutical Holding Company Ltd.| 2.58%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|7.ASSET|Equity|17.1|0.42|ACAD| ACADIA Pharmaceuticals Inc.| 2.45%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|8.ASSET|Equity|17.1|0.41|VRTX| Vertex Pharmaceuticals Incorporated| 2.42%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|9.ASSET|Equity|17.1|0.4|NBIX| Neurocrine Biosciences, Inc.| 2.36%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|10.ASSET|Equity|17.1|0.4|AMGN| Amgen Inc.| 2.34%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|11.ASSET|Equity|17.1|0.4|IONS| Ionis Pharmaceuticals, Inc.| 2.31%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|12.ASSET|Equity|17.1|0.39|HALO| Halozyme Therapeutics, Inc.| 2.26%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|13.ASSET|Equity|17.1|0.38|TVTX| Travere Therapeutics, Inc.| 2.24%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|14.ASSET|Equity|17.1|0.38|ENTA| Enanta Pharmaceuticals, Inc.| 2.23%| North America|Equity|Health & Biotech Equities|Healthcare|BBP|6|15.ASSET|Equity|17.1|0.38|IRWD| Ironwood Pharmaceuticals, Inc. Class A| 2.22%| Global|Equity|Technology Equities|Technology|SUBZ|6|1.ASSET|Equity|13.3|0.92|SPOT| Spotify Technology SA| 6.94%| Global|Equity|Technology Equities|Technology|SUBZ|6|2.ASSET|Equity|13.3|0.87|NFLX| Netflix, Inc.| 6.55%| Global|Equity|Technology Equities|Technology|SUBZ|6|3.ASSET|Equity|13.3|0.82|DIS| Walt Disney Company| 6.19%| Global|Equity|Technology Equities|Technology|SUBZ|6|4.ASSET|Equity|13.3|0.81|IQ| iQIYI, Inc. Sponsored ADR Class A| 6.06%| Global|Equity|Technology Equities|Technology|SUBZ|6|5.ASSET|Equity|13.3|0.67|1024| Kuaishou Technology Class B| 5.02%| Global|Equity|Technology Equities|Technology|SUBZ|6|6.ASSET|Equity|13.3|0.66|ROKU| Roku, Inc. Class A| 4.99%| Global|Equity|Technology Equities|Technology|SUBZ|6|7.ASSET|Equity|13.3|0.65|TME| Tencent Music Entertainment Group Sponsored ADR Class A| 4.86%| Global|Equity|Technology Equities|Technology|SUBZ|6|8.ASSET|Equity|13.3|0.64|PARA| Paramount Global Class B| 4.80%| Global|Equity|Technology Equities|Technology|SUBZ|6|9.ASSET|Equity|13.3|0.61|DISCA| Discovery, Inc. Class A| 4.60%| Global|Equity|Technology Equities|Technology|SUBZ|6|10.ASSET|Equity|13.3|0.56|BILI| Bilibili, Inc. Sponsored ADR Class Z| 4.20%| Global|Equity|Technology Equities|Technology|SUBZ|6|11.ASSET|Equity|13.3|0.54|9899| Cloud Village, Inc.| 4.03%| Global|Equity|Technology Equities|Technology|SUBZ|6|12.ASSET|Equity|13.3|0.51|YY| JOYY, Inc. Sponsored ADR Class A| 3.81%| Global|Equity|Technology Equities|Technology|SUBZ|6|13.ASSET|Equity|13.3|0.49|PTON| Peloton Interactive, Inc. Class A| 3.72%| Global|Equity|Technology Equities|Technology|SUBZ|6|14.ASSET|Equity|13.3|0.47|067160| AfreecaTV Co., Ltd.| 3.50%| Global|Equity|Technology Equities|Technology|SUBZ|6|15.ASSET|Equity|13.3|0.42|HUYA| HUYA, Inc. Sponsored ADR Class A| 3.15%| |Commodity|Agricultural Commodities||COW|6|1.ASSET|Commodity|19.1|13.1|N/A| Live Cattle| 68.60%| |Commodity|Agricultural Commodities||COW|6|2.ASSET|Commodity|19.1|6|N/A| Lean Hogs| 31.40%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|1.ASSET|Equity|41.3|1.93|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 4.68%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|2.ASSET|Equity|41.3|1.26|3690| Meituan Class B| 3.06%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|3.ASSET|Equity|41.3|1.07|500209| Infosys Limited| 2.60%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|4.ASSET|Equity|41.3|1|939| China Construction Bank Corporation Class H| 2.41%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|5.ASSET|Equity|41.3|0.89|N/A| DERIVATIVE SECURITIES (OTHER)| 2.15%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|6.ASSET|Equity|41.3|0.79|000660| SK hynix Inc| 1.92%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|7.ASSET|Equity|41.3|0.79|2454| MediaTek Inc| 1.91%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|8.ASSET|Equity|41.3|0.6|532540| Tata Consultancy Services Limited| 1.46%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|9.ASSET|Equity|41.3|0.52|9999| NetEase, Inc| 1.27%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|10.ASSET|Equity|41.3|0.46|3968| China Merchants Bank Co., Ltd. Class H| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|11.ASSET|Equity|41.3|0.45|1398| Industrial and Commercial Bank of China Limited Class H| 1.10%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|12.ASSET|Equity|41.3|0.45|ETISALAT| Emirates Telecommunications Group Company PJSC| 1.09%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|13.ASSET|Equity|41.3|0.44|NIO| NIO Inc. Sponsored ADR Class A| 1.06%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|14.ASSET|Equity|41.3|0.42|2010| Saudi Basic Industries Corp.| 1.01%| Emerging Markets|Equity|Emerging Markets Equities||EMXF|6|15.ASSET|Equity|41.3|0.41|2269| Wuxi Biologics (Cayman) Inc.| 1.00%| North America|Equity|Mid Cap Blend Equities||RNMC|6|1.ASSET|Equity|16.1|0.25|OGN| Organon & Co.| 1.57%| North America|Equity|Mid Cap Blend Equities||RNMC|6|2.ASSET|Equity|16.1|0.23|UHS| Universal Health Services, Inc. Class B| 1.40%| North America|Equity|Mid Cap Blend Equities||RNMC|6|3.ASSET|Equity|16.1|0.2|EHC| Encompass Health Corporation| 1.25%| North America|Equity|Mid Cap Blend Equities||RNMC|6|4.ASSET|Equity|16.1|0.2|ENSG| Ensign Group, Inc.| 1.22%| North America|Equity|Mid Cap Blend Equities||RNMC|6|5.ASSET|Equity|16.1|0.19|PRGO| Perrigo Co. Plc| 1.18%| North America|Equity|Mid Cap Blend Equities||RNMC|6|6.ASSET|Equity|16.1|0.18|CHE| Chemed Corporation| 1.11%| North America|Equity|Mid Cap Blend Equities||RNMC|6|7.ASSET|Equity|16.1|0.17|PINC| Premier Inc. Class A| 1.07%| North America|Equity|Mid Cap Blend Equities||RNMC|6|8.ASSET|Equity|16.1|0.16|BRKR| Bruker Corporation| 1.02%| North America|Equity|Mid Cap Blend Equities||RNMC|6|9.ASSET|Equity|16.1|0.16|SEM| Select Medical Holdings Corporation| 0.99%| North America|Equity|Mid Cap Blend Equities||RNMC|6|10.ASSET|Equity|16.1|0.15|CNXC| Concentrix Corporation| 0.91%| North America|Equity|Mid Cap Blend Equities||RNMC|6|11.ASSET|Equity|16.1|0.14|CDK| CDK Global, Inc.| 0.89%| North America|Equity|Mid Cap Blend Equities||RNMC|6|12.ASSET|Equity|16.1|0.14|CTXS| Citrix Systems, Inc.| 0.86%| North America|Equity|Mid Cap Blend Equities||RNMC|6|13.ASSET|Equity|16.1|0.14|SAIC| Science Applications International Corp.| 0.85%| North America|Equity|Mid Cap Blend Equities||RNMC|6|14.ASSET|Equity|16.1|0.14|KBR| KBR, Inc.| 0.84%| North America|Equity|Mid Cap Blend Equities||RNMC|6|15.ASSET|Equity|16.1|0.12|POWI| Power Integrations, Inc.| 0.77%| North America|Equity|All Cap Equities||TUSA|6|1.ASSET|Equity|23.8|0.14|EOG| EOG Resources, Inc.| 0.57%| North America|Equity|All Cap Equities||TUSA|6|2.ASSET|Equity|23.8|0.13|NUE| Nucor Corporation| 0.53%| North America|Equity|All Cap Equities||TUSA|6|3.ASSET|Equity|23.8|0.12|PARA| Paramount Global Class B| 0.51%| North America|Equity|All Cap Equities||TUSA|6|4.ASSET|Equity|23.8|0.12|FOXA| Fox Corporation Class A| 0.51%| North America|Equity|All Cap Equities||TUSA|6|5.ASSET|Equity|23.8|0.12|FCX| Freeport-McMoRan, Inc.| 0.50%| North America|Equity|All Cap Equities||TUSA|6|6.ASSET|Equity|23.8|0.11|TSN| Tyson Foods, Inc. Class A| 0.48%| North America|Equity|All Cap Equities||TUSA|6|7.ASSET|Equity|23.8|0.11|BRK.B| Berkshire Hathaway Inc. Class B| 0.47%| North America|Equity|All Cap Equities||TUSA|6|8.ASSET|Equity|23.8|0.11|HPE| Hewlett Packard Enterprise Co.| 0.47%| North America|Equity|All Cap Equities||TUSA|6|9.ASSET|Equity|23.8|0.11|CINF| Cincinnati Financial Corporation| 0.47%| North America|Equity|All Cap Equities||TUSA|6|10.ASSET|Equity|23.8|0.11|COP| ConocoPhillips| 0.47%| North America|Equity|All Cap Equities||TUSA|6|11.ASSET|Equity|23.8|0.11|ALL| Allstate Corporation| 0.46%| North America|Equity|All Cap Equities||TUSA|6|12.ASSET|Equity|23.8|0.11|DOW| Dow, Inc.| 0.46%| North America|Equity|All Cap Equities||TUSA|6|13.ASSET|Equity|23.8|0.11|LYB| LyondellBasell Industries NV| 0.46%| North America|Equity|All Cap Equities||TUSA|6|14.ASSET|Equity|23.8|0.11|CI| Cigna Corporation| 0.46%| North America|Equity|All Cap Equities||TUSA|6|15.ASSET|Equity|23.8|0.11|CVX| Chevron Corporation| 0.46%| Africa|Equity|Emerging Markets Equities||EGPT|6|1.ASSET|Equity|20.1|1.63|EKHO| Egypt Kuwait Holding Co. SAE| 8.11%| Africa|Equity|Emerging Markets Equities||EGPT|6|2.ASSET|Equity|20.1|1.48|EAST| Eastern Company| 7.38%| Africa|Equity|Emerging Markets Equities||EGPT|6|3.ASSET|Equity|20.1|1.44|CBKD| Commercial International Bank (Egypt) SAE Sponsored GDR RegS| 7.15%| Africa|Equity|Emerging Markets Equities||EGPT|6|4.ASSET|Equity|20.1|1.17|TMGH| Talaat Moustafa Group Holding| 5.82%| Africa|Equity|Emerging Markets Equities||EGPT|6|5.ASSET|Equity|20.1|1.16|ETEL| Telecom Egypt| 5.75%| Africa|Equity|Emerging Markets Equities||EGPT|6|6.ASSET|Equity|20.1|1.14|FWRY| Fawry For Banking Technology And Electronic Payment| 5.66%| Africa|Equity|Emerging Markets Equities||EGPT|6|7.ASSET|Equity|20.1|1.04|N/A| U.S. Dollar| 5.17%| Africa|Equity|Emerging Markets Equities||EGPT|6|8.ASSET|Equity|20.1|1.01|CEY| Centamin plc| 5.04%| Africa|Equity|Emerging Markets Equities||EGPT|6|9.ASSET|Equity|20.1|0.92|HRHO| Egyptian Financial Group-Hermes Holding Co.| 4.60%| Africa|Equity|Emerging Markets Equities||EGPT|6|10.ASSET|Equity|20.1|0.9|CLHO| Cleopatra Hospital Company| 4.47%| Africa|Equity|Emerging Markets Equities||EGPT|6|11.ASSET|Equity|20.1|0.82|SWDY| El Sewedy Electric Company| 4.10%| Africa|Equity|Emerging Markets Equities||EGPT|6|12.ASSET|Equity|20.1|0.69|CIRA| Cairo Investment & Real Estate Development| 3.45%| Africa|Equity|Emerging Markets Equities||EGPT|6|13.ASSET|Equity|20.1|0.59|OCDI| Six of October Development & Investment (SODIC)| 2.94%| Africa|Equity|Emerging Markets Equities||EGPT|6|14.ASSET|Equity|20.1|0.59|JUFO| Juhayna Food Industries| 2.93%| Africa|Equity|Emerging Markets Equities||EGPT|6|15.ASSET|Equity|20.1|0.56|PHDC| Palm Hills Development Co.| 2.80%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|1.ASSET|Equity|21.8|0.51|IMP| Impala Platinum Holdings Limited| 2.35%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|2.ASSET|Equity|21.8|0.47|ETISALAT| Emirates Telecommunications Group Company PJSC| 2.14%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|3.ASSET|Equity|21.8|0.43|TLKM| PT Telkom Indonesia (Persero) Tbk Class B| 1.99%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|4.ASSET|Equity|21.8|0.39|BBCA| PT Bank Central Asia Tbk| 1.78%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|5.ASSET|Equity|21.8|0.36|FAB| First Abu Dhabi Bank P.J.S.C.| 1.67%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|6.ASSET|Equity|21.8|0.36|HPG| Hoa Phat Group JSC| 1.63%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|7.ASSET|Equity|21.8|0.34|1120| Al Rajhi Bank| 1.58%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|8.ASSET|Equity|21.8|0.34|NBK| National Bank of Kuwait K.S.C.| 1.55%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|9.ASSET|Equity|21.8|0.33|7010| Saudi Telecom Co.| 1.53%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|10.ASSET|Equity|21.8|0.32|CPALL.R| CP All Public Co. Ltd. NVDR| 1.45%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|11.ASSET|Equity|21.8|0.31|IQCD| Industries of Qatar Co.| 1.41%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|12.ASSET|Equity|21.8|0.31|SMPH| SM Prime Holdings, Inc.| 1.41%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|13.ASSET|Equity|21.8|0.3|SCOM| Safaricom PLC| 1.39%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|14.ASSET|Equity|21.8|0.29|VHM| Vinhomes JSC| 1.35%| Emerging Markets|Equity|Emerging Markets Equities||EMFM|6|15.ASSET|Equity|21.8|0.28|ASII| PT Astra International Tbk| 1.27%| North America|Equity|All Cap Equities||QDYN|6|1.ASSET|Equity|21.7|1.94|AAPL| Apple Inc.| 8.93%| North America|Equity|All Cap Equities||QDYN|6|2.ASSET|Equity|21.7|1.02|MSFT| Microsoft Corporation| 4.72%| North America|Equity|All Cap Equities||QDYN|6|3.ASSET|Equity|21.7|0.78|JNJ| Johnson & Johnson| 3.59%| North America|Equity|All Cap Equities||QDYN|6|4.ASSET|Equity|21.7|0.66|JPM| JPMorgan Chase & Co.| 3.04%| North America|Equity|All Cap Equities||QDYN|6|5.ASSET|Equity|21.7|0.61|CSCO| Cisco Systems, Inc.| 2.82%| North America|Equity|All Cap Equities||QDYN|6|6.ASSET|Equity|21.7|0.6|PFE| Pfizer Inc.| 2.75%| North America|Equity|All Cap Equities||QDYN|6|7.ASSET|Equity|21.7|0.55|AVGO| Broadcom Inc.| 2.55%| North America|Equity|All Cap Equities||QDYN|6|8.ASSET|Equity|21.7|0.42|UNP| Union Pacific Corporation| 1.93%| North America|Equity|All Cap Equities||QDYN|6|9.ASSET|Equity|21.7|0.39|LOW| Lowe\'s Companies, Inc.| 1.79%| North America|Equity|All Cap Equities||QDYN|6|10.ASSET|Equity|21.7|0.39|ACN| Accenture Plc Class A| 1.78%| North America|Equity|All Cap Equities||QDYN|6|11.ASSET|Equity|21.7|0.39|PM| Philip Morris International Inc.| 1.78%| North America|Equity|All Cap Equities||QDYN|6|12.ASSET|Equity|21.7|0.37|TXN| Texas Instruments Incorporated| 1.72%| North America|Equity|All Cap Equities||QDYN|6|13.ASSET|Equity|21.7|0.32|AMGN| Amgen Inc.| 1.49%| North America|Equity|All Cap Equities||QDYN|6|14.ASSET|Equity|21.7|0.32|BAC| Bank of America Corp| 1.46%| North America|Equity|All Cap Equities||QDYN|6|15.ASSET|Equity|21.7|0.29|C| Citigroup Inc.| 1.34%| North America|Equity|Industrials Equities|Industrials|ROKT|6|1.ASSET|Equity|20.6|1.06|LMT| Lockheed Martin Corporation| 5.16%| North America|Equity|Industrials Equities|Industrials|ROKT|6|2.ASSET|Equity|20.6|0.99|NOC| Northrop Grumman Corporation| 4.83%| North America|Equity|Industrials Equities|Industrials|ROKT|6|3.ASSET|Equity|20.6|0.94|RTX| Raytheon Technologies Corporation| 4.58%| North America|Equity|Industrials Equities|Industrials|ROKT|6|4.ASSET|Equity|20.6|0.94|LHX| L3Harris Technologies Inc| 4.54%| North America|Equity|Industrials Equities|Industrials|ROKT|6|5.ASSET|Equity|20.6|0.92|MAXR| Maxar Technologies, Inc.| 4.49%| North America|Equity|Industrials Equities|Industrials|ROKT|6|6.ASSET|Equity|20.6|0.82|HXL| Hexcel Corporation| 3.99%| North America|Equity|Industrials Equities|Industrials|ROKT|6|7.ASSET|Equity|20.6|0.8|HEI| HEICO Corporation| 3.90%| North America|Equity|Industrials Equities|Industrials|ROKT|6|8.ASSET|Equity|20.6|0.78|TDY| Teledyne Technologies Incorporated| 3.78%| North America|Equity|Industrials Equities|Industrials|ROKT|6|9.ASSET|Equity|20.6|0.75|IRDM| Iridium Communications Inc.| 3.65%| North America|Equity|Industrials Equities|Industrials|ROKT|6|10.ASSET|Equity|20.6|0.73|BA| Boeing Company| 3.56%| North America|Equity|Industrials Equities|Industrials|ROKT|6|11.ASSET|Equity|20.6|0.73|AJRD| Aerojet Rocketdyne Holdings, Inc.| 3.56%| North America|Equity|Industrials Equities|Industrials|ROKT|6|12.ASSET|Equity|20.6|0.71|HON| Honeywell International Inc.| 3.46%| North America|Equity|Industrials Equities|Industrials|ROKT|6|13.ASSET|Equity|20.6|0.6|LDOS| Leidos Holdings, Inc.| 2.92%| North America|Equity|Industrials Equities|Industrials|ROKT|6|14.ASSET|Equity|20.6|0.6|GD| General Dynamics Corporation| 2.92%| North America|Equity|Industrials Equities|Industrials|ROKT|6|15.ASSET|Equity|20.6|0.58|BWXT| BWX Technologies, Inc.| 2.82%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|1.ASSET|Equity|24.8|1.63|COST| Costco Wholesale Corporation| 6.58%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|2.ASSET|Equity|24.8|1.54|KO| Coca-Cola Company| 6.22%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|3.ASSET|Equity|24.8|1.53|PG| Procter & Gamble Company| 6.17%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|4.ASSET|Equity|24.8|1.47|PEP| PepsiCo, Inc.| 5.94%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|5.ASSET|Equity|24.8|1.3|WMT| Walmart Inc.| 5.26%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|6.ASSET|Equity|24.8|0.96|KR| Kroger Co.| 3.88%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|7.ASSET|Equity|24.8|0.91|MDLZ| Mondelez International, Inc. Class A| 3.65%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|8.ASSET|Equity|24.8|0.89|ADM| Archer-Daniels-Midland Company| 3.59%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|9.ASSET|Equity|24.8|0.83|PM| Philip Morris International Inc.| 3.36%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|10.ASSET|Equity|24.8|0.77|SYY| Sysco Corporation| 3.09%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|11.ASSET|Equity|24.8|0.75|CTVA| Corteva Inc| 3.04%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|12.ASSET|Equity|24.8|0.7|STZ| Constellation Brands, Inc. Class A| 2.82%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|13.ASSET|Equity|24.8|0.67|WBA| Walgreens Boots Alliance Inc| 2.72%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|14.ASSET|Equity|24.8|0.65|CL| Colgate-Palmolive Company| 2.64%| North America|Equity|Consumer Staples Equities|Consumer Staples|JHMS|6|15.ASSET|Equity|24.8|0.65|MO| Altria Group Inc| 2.62%| North America|Equity|Energy Equities|Energy|JHME|6|1.ASSET|Equity|29.2|2.06|COP| ConocoPhillips| 7.04%| North America|Equity|Energy Equities|Energy|JHME|6|2.ASSET|Equity|29.2|2.03|EOG| EOG Resources, Inc.| 6.95%| North America|Equity|Energy Equities|Energy|JHME|6|3.ASSET|Equity|29.2|1.82|CVX| Chevron Corporation| 6.24%| North America|Equity|Energy Equities|Energy|JHME|6|4.ASSET|Equity|29.2|1.71|XOM| Exxon Mobil Corporation| 5.85%| North America|Equity|Energy Equities|Energy|JHME|6|5.ASSET|Equity|29.2|1.58|SLB| Schlumberger NV| 5.41%| North America|Equity|Energy Equities|Energy|JHME|6|6.ASSET|Equity|29.2|1.49|MPC| Marathon Petroleum Corporation| 5.10%| North America|Equity|Energy Equities|Energy|JHME|6|7.ASSET|Equity|29.2|1.43|WMB| Williams Companies, Inc.| 4.90%| North America|Equity|Energy Equities|Energy|JHME|6|8.ASSET|Equity|29.2|1.43|OXY| Occidental Petroleum Corporation| 4.89%| North America|Equity|Energy Equities|Energy|JHME|6|9.ASSET|Equity|29.2|1.42|PXD| Pioneer Natural Resources Company| 4.86%| North America|Equity|Energy Equities|Energy|JHME|6|10.ASSET|Equity|29.2|1.16|HES| Hess Corporation| 3.96%| North America|Equity|Energy Equities|Energy|JHME|6|11.ASSET|Equity|29.2|1.13|HAL| Halliburton Company| 3.86%| North America|Equity|Energy Equities|Energy|JHME|6|12.ASSET|Equity|29.2|1.11|MRO| Marathon Oil Corporation| 3.79%| North America|Equity|Energy Equities|Energy|JHME|6|13.ASSET|Equity|29.2|1.05|DVN| Devon Energy Corporation| 3.58%| North America|Equity|Energy Equities|Energy|JHME|6|14.ASSET|Equity|29.2|1.04|FANG| Diamondback Energy, Inc.| 3.56%| North America|Equity|Energy Equities|Energy|JHME|6|15.ASSET|Equity|29.2|1.02|LNG| Cheniere Energy, Inc.| 3.48%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|1.ASSET|Equity|18.5|0.42|ISA| Interconexion Electrica SA ESP| 2.26%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|2.ASSET|Equity|18.5|0.42|532898| Power Grid Corporation of India Limited| 2.25%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|3.ASSET|Equity|18.5|0.42|AC| Arca Continental SAB de CV| 2.25%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|4.ASSET|Equity|18.5|0.4|916| China Longyuan Power Group Corp. Ltd. Class H| 2.16%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|5.ASSET|Equity|18.5|0.4|531642| Marico Limited| 2.15%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|6.ASSET|Equity|18.5|0.4|300003| Lepu Medical Technology (Beijing) Co., Ltd. Class A| 2.14%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|7.ASSET|Equity|18.5|0.39|002080| Sinoma Science & Technology Co., Ltd. Class A| 2.13%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|8.ASSET|Equity|18.5|0.39|000100| Yuhan Corporation| 2.12%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|9.ASSET|Equity|18.5|0.39|1295| Public Bank Bhd| 2.11%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|10.ASSET|Equity|18.5|0.39|601607| Shanghai Pharmaceuticals Holding Co. Ltd. Class A| 2.10%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|11.ASSET|Equity|18.5|0.39|AMXL| America Movil SAB de CV Class L| 2.09%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|12.ASSET|Equity|18.5|0.38|500331| Pidilite Industries Limited| 2.08%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|13.ASSET|Equity|18.5|0.38|HTO| Hellenic Telecommunications Organization SA| 2.08%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|14.ASSET|Equity|18.5|0.38|000538| Yunnan Baiyao Group Co. Ltd. Class A| 2.08%| Emerging Markets|Equity|Emerging Markets Equities||EMDV|6|15.ASSET|Equity|18.5|0.38|867| China Medical System Holdings Ltd.| 2.07%| North America|Bond|Government Bonds|Treasuries|IBTF|6|1.ASSET|Bond|70.7|13.52|N/A| United States Treasury Notes 2.75% 30-JUN-2025| 19.13%| North America|Bond|Government Bonds|Treasuries|IBTF|6|2.ASSET|Bond|70.7|11.2|N/A| United States Treasury Notes 2.875% 31-JUL-2025| 15.84%| North America|Bond|Government Bonds|Treasuries|IBTF|6|3.ASSET|Bond|70.7|10.7|N/A| United States Treasury Notes 2.625% 31-MAR-2025| 15.14%| North America|Bond|Government Bonds|Treasuries|IBTF|6|4.ASSET|Bond|70.7|8.43|N/A| United States Treasury Notes 3.0% 31-OCT-2025| 11.92%| North America|Bond|Government Bonds|Treasuries|IBTF|6|5.ASSET|Bond|70.7|4.77|N/A| United States Treasury Notes 0.25% 31-MAY-2025| 6.75%| North America|Bond|Government Bonds|Treasuries|IBTF|6|6.ASSET|Bond|70.7|4.54|N/A| United States Treasury Notes 3.0% 30-SEP-2025| 6.42%| North America|Bond|Government Bonds|Treasuries|IBTF|6|7.ASSET|Bond|70.7|4.52|N/A| United States Treasury Notes 0.375% 30-NOV-2025| 6.39%| North America|Bond|Government Bonds|Treasuries|IBTF|6|8.ASSET|Bond|70.7|3.46|N/A| United States Treasury Notes 1.125% 15-JAN-2025| 4.89%| North America|Bond|Government Bonds|Treasuries|IBTF|6|9.ASSET|Bond|70.7|3|N/A| United States Treasury Notes 1.5% 15-FEB-2025| 4.24%| North America|Bond|Government Bonds|Treasuries|IBTF|6|10.ASSET|Bond|70.7|2.01|N/A| United States Treasury Notes 0.25% 30-JUN-2025| 2.84%| North America|Bond|Government Bonds|Treasuries|IBTF|6|11.ASSET|Bond|70.7|1.92|N/A| United States Treasury Notes 0.375% 30-APR-2025| 2.72%| North America|Bond|Government Bonds|Treasuries|IBTF|6|12.ASSET|Bond|70.7|1.04|N/A| United States Treasury Notes 2.875% 31-MAY-2025| 1.47%| North America|Bond|Government Bonds|Treasuries|IBTF|6|13.ASSET|Bond|70.7|0.66|N/A| United States Treasury Notes 1.125% 28-FEB-2025| 0.93%| North America|Bond|Government Bonds|Treasuries|IBTF|6|14.ASSET|Bond|70.7|0.42|N/A| United States Treasury Notes 0.25% 31-AUG-2025| 0.60%| North America|Bond|Government Bonds|Treasuries|IBTF|6|15.ASSET|Bond|70.7|0.34|N/A| United States Treasury Notes 0.25% 31-OCT-2025| 0.48%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|1.ASSET|Multi-Asset|27.7|3.43|BAB| Invesco Taxable Municipal Bond ETF| 12.37%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|2.ASSET|Multi-Asset|27.7|2.4|IUS| Invesco RAFI Strategic US ETF| 8.66%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|3.ASSET|Multi-Asset|27.7|2.4|RPG| Invesco S&P 500 Pure Growth ETF| 8.65%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|4.ASSET|Multi-Asset|27.7|2.1|OMFL| Invesco Russell 1000 Dynamic Multifactor ETF| 7.59%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|5.ASSET|Multi-Asset|27.7|1.93|PLW| Invesco 1-30 Laddered Treasury ETF| 6.96%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|6.ASSET|Multi-Asset|27.7|1.55|IUSS| Invesco RAFI Strategic US Small Company ETF| 5.60%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|7.ASSET|Multi-Asset|27.7|1.5|ISDX| Invesco RAFI Strategic Developed ex-US ETF| 5.42%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|8.ASSET|Multi-Asset|27.7|1.4|XMLV| Invesco S&P MidCap Low Volatility ETF| 5.06%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|9.ASSET|Multi-Asset|27.7|1.26|SPLV| Invesco S&P 500 Low Volatility ETF| 4.56%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|10.ASSET|Multi-Asset|27.7|1.25|XSLV| Invesco S&P SmallCap Low Volatility ETF| 4.53%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|11.ASSET|Multi-Asset|27.7|1.22|IDLV| Invesco S&P International Developed Low Volatility ETF| 4.39%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|12.ASSET|Multi-Asset|27.7|1.12|PBTP| Invesco PureBeta 0-5 Yr US TIPS ETF| 4.04%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|13.ASSET|Multi-Asset|27.7|1.1|VRIG| Invesco Variable Rate Investment Grade ETF| 3.97%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|14.ASSET|Multi-Asset|27.7|0.96|BKLN| Invesco Senior Loan ETF| 3.48%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMB|6|15.ASSET|Multi-Asset|27.7|0.83|PHB| Invesco Fundamental High Yield Corporate Bond ETF| 3.01%| North America|Equity|All Cap Equities||TMDV|6|1.ASSET|Equity|20.9|0.41|ADM| Archer-Daniels-Midland Company| 1.98%| North America|Equity|All Cap Equities||TMDV|6|2.ASSET|Equity|20.9|0.41|SYY| Sysco Corporation| 1.95%| North America|Equity|All Cap Equities||TMDV|6|3.ASSET|Equity|20.9|0.39|NUE| Nucor Corporation| 1.88%| North America|Equity|All Cap Equities||TMDV|6|4.ASSET|Equity|20.9|0.39|NWN| Northwest Natural Holding Co.| 1.86%| North America|Equity|All Cap Equities||TMDV|6|5.ASSET|Equity|20.9|0.38|HRL| Hormel Foods Corporation| 1.84%| North America|Equity|All Cap Equities||TMDV|6|6.ASSET|Equity|20.9|0.38|KO| Coca-Cola Company| 1.83%| North America|Equity|All Cap Equities||TMDV|6|7.ASSET|Equity|20.9|0.37|UVV| Universal Corp| 1.77%| North America|Equity|All Cap Equities||TMDV|6|8.ASSET|Equity|20.9|0.37|BDX| Becton, Dickinson and Company| 1.76%| North America|Equity|All Cap Equities||TMDV|6|9.ASSET|Equity|20.9|0.37|LANC| Lancaster Colony Corporation| 1.75%| North America|Equity|All Cap Equities||TMDV|6|10.ASSET|Equity|20.9|0.36|ORI| Old Republic International Corporation| 1.72%| North America|Equity|All Cap Equities||TMDV|6|11.ASSET|Equity|20.9|0.36|AFL| Aflac Incorporated| 1.71%| North America|Equity|All Cap Equities||TMDV|6|12.ASSET|Equity|20.9|0.35|ED| Consolidated Edison, Inc.| 1.68%| North America|Equity|All Cap Equities||TMDV|6|13.ASSET|Equity|20.9|0.34|NFG| National Fuel Gas Company| 1.65%| North America|Equity|All Cap Equities||TMDV|6|14.ASSET|Equity|20.9|0.34|BKH| Black Hills Corporation| 1.65%| North America|Equity|All Cap Equities||TMDV|6|15.ASSET|Equity|20.9|0.34|CINF| Cincinnati Financial Corporation| 1.64%| North America|Bond|High Yield Bonds|Junk|HYUP|6|1.ASSET|Bond|22.7|0.17|N/A| U.S. Dollar| 0.77%| North America|Bond|High Yield Bonds|Junk|HYUP|6|2.ASSET|Bond|22.7|0.17|N/A| Mozart Debt Merger Sub, Inc. 3.875% 01-APR-2029| 0.74%| North America|Bond|High Yield Bonds|Junk|HYUP|6|3.ASSET|Bond|22.7|0.15|N/A| DIRECTV Financing LLC 5.875% 15-AUG-2027| 0.64%| North America|Bond|High Yield Bonds|Junk|HYUP|6|4.ASSET|Bond|22.7|0.13|N/A| Carnival Corporation 5.75% 01-MAR-2027| 0.59%| North America|Bond|High Yield Bonds|Junk|HYUP|6|5.ASSET|Bond|22.7|0.12|N/A| TransDigm, Inc. 5.5% 15-NOV-2027| 0.54%| North America|Bond|High Yield Bonds|Junk|HYUP|6|6.ASSET|Bond|22.7|0.12|N/A| Intelsat Jackson Holdings SA 6.5% 15-MAR-2030| 0.52%| North America|Bond|High Yield Bonds|Junk|HYUP|6|7.ASSET|Bond|22.7|0.12|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 0.52%| North America|Bond|High Yield Bonds|Junk|HYUP|6|8.ASSET|Bond|22.7|0.11|N/A| Teva Pharmaceutical Finance Netherlands III BV 3.15% 01-OCT-2026| 0.50%| North America|Bond|High Yield Bonds|Junk|HYUP|6|9.ASSET|Bond|22.7|0.11|N/A| CCO Holdings LLC 4.25% 01-FEB-2031| 0.50%| North America|Bond|High Yield Bonds|Junk|HYUP|6|10.ASSET|Bond|22.7|0.11|N/A| CCO Holdings LLC 4.5% 01-MAY-2032| 0.48%| North America|Bond|High Yield Bonds|Junk|HYUP|6|11.ASSET|Bond|22.7|0.11|N/A| 101178 BC Unlimited Liability Co. 4.0% 15-OCT-2030| 0.47%| North America|Bond|High Yield Bonds|Junk|HYUP|6|12.ASSET|Bond|22.7|0.1|N/A| DISH DBS Corporation 5.75% 01-DEC-2028| 0.46%| North America|Bond|High Yield Bonds|Junk|HYUP|6|13.ASSET|Bond|22.7|0.1|N/A| Tenet Healthcare Corporation 6.125% 01-OCT-2028| 0.45%| North America|Bond|High Yield Bonds|Junk|HYUP|6|14.ASSET|Bond|22.7|0.1|N/A| DaVita Inc. 4.625% 01-JUN-2030| 0.45%| North America|Bond|High Yield Bonds|Junk|HYUP|6|15.ASSET|Bond|22.7|0.1|N/A| DISH DBS Corporation 5.25% 01-DEC-2026| 0.44%| North America|Equity|Volatility Hedged Equity||DBOC|6|1.ASSET|Equity|19.7|19.59|N/A| OPTIONS| 99.44%| North America|Equity|Volatility Hedged Equity||DBOC|6|2.ASSET|Equity|19.7|19.59|N/A| OPTIONS| 99.43%| North America|Equity|Volatility Hedged Equity||DBOC|6|3.ASSET|Equity|19.7|0.11|N/A| U.S. Dollar| 0.57%| North America|Equity|Volatility Hedged Equity||DBOC|6|4.ASSET|Equity|19.7|0.11|N/A| U.S. Dollar| 0.56%| Emerging Asia Pacific|Equity|Leveraged Equities||XPP|6|1.ASSET|Equity|12.4|12.4|N/A| U.S. Dollar| 100.00%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|1.ASSET|Multi-Asset|27.2|1.44|MSFT| Microsoft Corporation| 5.28%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|2.ASSET|Multi-Asset|27.2|1.22|AAPL| Apple Inc.| 4.47%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|3.ASSET|Multi-Asset|27.2|0.94|WFC| Wells Fargo & Company| 3.44%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|4.ASSET|Multi-Asset|27.2|0.87|JNJ| Johnson & Johnson| 3.21%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|5.ASSET|Multi-Asset|27.2|0.86|T| AT&T Inc.| 3.16%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|6.ASSET|Multi-Asset|27.2|0.82|INTC| Intel Corporation| 3.02%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|7.ASSET|Multi-Asset|27.2|0.78|BAC| Bank of America Corp| 2.88%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|8.ASSET|Multi-Asset|27.2|0.74|CSCO| Cisco Systems, Inc.| 2.72%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|9.ASSET|Multi-Asset|27.2|0.69|VZ| Verizon Communications Inc.| 2.53%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|10.ASSET|Multi-Asset|27.2|0.62|PG| Procter & Gamble Company| 2.27%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|11.ASSET|Multi-Asset|27.2|0.61|JPM| JPMorgan Chase & Co.| 2.23%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|12.ASSET|Multi-Asset|27.2|0.53|UNH| UnitedHealth Group Incorporated| 1.96%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|13.ASSET|Multi-Asset|27.2|0.53|MRK| Merck & Co., Inc.| 1.95%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|14.ASSET|Multi-Asset|27.2|0.51|C| Citigroup Inc.| 1.86%| North America|Multi-Asset|Large Cap Blend Equities||RAFE|6|15.ASSET|Multi-Asset|27.2|0.39|F| Ford Motor Company| 1.45%| North America|Equity|Inverse Equities||SOGU|6|1.ASSET|Equity|27.7|27.7|N/A| U.S. Dollar| 100.00%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|1.ASSET|Equity|19.5|0.87|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 4.46%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|2.ASSET|Equity|19.5|0.72|005930| Samsung Electronics Co., Ltd.| 3.70%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|3.ASSET|Equity|19.5|0.39|9945| Ruentex Development Co., Ltd.| 2.00%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|4.ASSET|Equity|19.5|0.36|MER| Manila Electric Co.| 1.84%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|5.ASSET|Equity|19.5|0.35|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.79%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|6.ASSET|Equity|19.5|0.34|6033| Petronas Gas Bhd.| 1.75%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|7.ASSET|Equity|19.5|0.33|2202| China Vanke Co., Ltd Class H| 1.68%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|8.ASSET|Equity|19.5|0.32|270| Guangdong Investment Limited| 1.65%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|9.ASSET|Equity|19.5|0.32|ALDAR| Aldar Properties - P J S C| 1.63%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|10.ASSET|Equity|19.5|0.32|960| Longfor Group Holdings Ltd.| 1.62%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|11.ASSET|Equity|19.5|0.23|9618| JD.com, Inc. Class A| 1.18%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|12.ASSET|Equity|19.5|0.22|500696| Hindustan Unilever Limited| 1.14%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|13.ASSET|Equity|19.5|0.22|6409| Voltronic Power Technology Corp.| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|14.ASSET|Equity|19.5|0.22|1308| SITC International Holdings Co., Ltd.| 1.12%| Emerging Markets|Equity|Emerging Markets Equities||FDEM|6|15.ASSET|Equity|19.5|0.22|ICT| International Container Terminal Services, Inc.| 1.11%| North America|Equity|Large Cap Blend Equities||UJUN|6|1.ASSET|Equity|18.8|18.75|N/A| OPTIONS| 99.74%| North America|Equity|Large Cap Blend Equities||UJUN|6|2.ASSET|Equity|18.8|0.05|N/A| U.S. Dollar| 0.26%| North America|Equity|Large Cap Growth Equities||YLDE|6|1.ASSET|Equity|18.5|0.96|MSFT| Microsoft Corporation| 5.20%| North America|Equity|Large Cap Growth Equities||YLDE|6|2.ASSET|Equity|18.5|0.83|AAPL| Apple Inc.| 4.47%| North America|Equity|Large Cap Growth Equities||YLDE|6|3.ASSET|Equity|18.5|0.6|WMB| Williams Companies, Inc.| 3.23%| North America|Equity|Large Cap Growth Equities||YLDE|6|4.ASSET|Equity|18.5|0.51|BAC| Bank of America Corp| 2.77%| North America|Equity|Large Cap Growth Equities||YLDE|6|5.ASSET|Equity|18.5|0.49|CMCSA| Comcast Corporation Class A| 2.67%| North America|Equity|Large Cap Growth Equities||YLDE|6|6.ASSET|Equity|18.5|0.48|APO| Apollo Global Management Inc.| 2.61%| North America|Equity|Large Cap Growth Equities||YLDE|6|7.ASSET|Equity|18.5|0.48|KO| Coca-Cola Company| 2.58%| North America|Equity|Large Cap Growth Equities||YLDE|6|8.ASSET|Equity|18.5|0.48|UPS| United Parcel Service, Inc. Class B| 2.57%| North America|Equity|Large Cap Growth Equities||YLDE|6|9.ASSET|Equity|18.5|0.45|PG| Procter & Gamble Company| 2.45%| North America|Equity|Large Cap Growth Equities||YLDE|6|10.ASSET|Equity|18.5|0.44|UNH| UnitedHealth Group Incorporated| 2.40%| North America|Equity|Large Cap Growth Equities||YLDE|6|11.ASSET|Equity|18.5|0.44|V| Visa Inc. Class A| 2.38%| North America|Equity|Large Cap Growth Equities||YLDE|6|12.ASSET|Equity|18.5|0.43|BDX| Becton, Dickinson and Company| 2.30%| North America|Equity|Large Cap Growth Equities||YLDE|6|13.ASSET|Equity|18.5|0.42|VZ| Verizon Communications Inc.| 2.26%| North America|Equity|Large Cap Growth Equities||YLDE|6|14.ASSET|Equity|18.5|0.41|SRE| Sempra Energy| 2.24%| North America|Equity|Large Cap Growth Equities||YLDE|6|15.ASSET|Equity|18.5|0.41|HD| Home Depot, Inc.| 2.23%| |Bond|Total Bond Market|Total Bond Market|WINC|6|1.ASSET|Bond|30|0.56|N/A| Time Warner Entertainment Co. LP 8.375% 15-MAR-2023| 1.87%| |Bond|Total Bond Market|Total Bond Market|WINC|6|2.ASSET|Bond|30|0.49|N/A| Bank of America Corporation 1.734% 22-JUL-2027| 1.64%| |Bond|Total Bond Market|Total Bond Market|WINC|6|3.ASSET|Bond|30|0.49|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 1.62%| |Bond|Total Bond Market|Total Bond Market|WINC|6|4.ASSET|Bond|30|0.45|N/A| Energy Transfer Operating, L.P. 4.05% 15-MAR-2025| 1.51%| |Bond|Total Bond Market|Total Bond Market|WINC|6|5.ASSET|Bond|30|0.41|N/A| Williams Companies, Inc. 3.7% 15-JAN-2023| 1.36%| |Bond|Total Bond Market|Total Bond Market|WINC|6|6.ASSET|Bond|30|0.4|N/A| Aviation Capital Group LLC 4.125% 01-AUG-2025| 1.33%| |Bond|Total Bond Market|Total Bond Market|WINC|6|7.ASSET|Bond|30|0.39|N/A| JPMorgan Chase & Co. 1.578% 22-APR-2027| 1.30%| |Bond|Total Bond Market|Total Bond Market|WINC|6|8.ASSET|Bond|30|0.38|N/A| Charter Communications Operating Capital Corp. 4.908% 23-JUL-2025| 1.26%| |Bond|Total Bond Market|Total Bond Market|WINC|6|9.ASSET|Bond|30|0.36|N/A| Nissan Motor Co., Ltd. 3.043% 15-SEP-2023| 1.20%| |Bond|Total Bond Market|Total Bond Market|WINC|6|10.ASSET|Bond|30|0.35|N/A| Wells Fargo & Company 3.0% 23-OCT-2026| 1.17%| |Bond|Total Bond Market|Total Bond Market|WINC|6|11.ASSET|Bond|30|0.35|N/A| HSBC Holdings Plc 0.976% 24-MAY-2025| 1.15%| |Bond|Total Bond Market|Total Bond Market|WINC|6|12.ASSET|Bond|30|0.35|N/A| TSMC Arizona Corp. 1.75% 25-OCT-2026| 1.15%| |Bond|Total Bond Market|Total Bond Market|WINC|6|13.ASSET|Bond|30|0.34|N/A| Ford Motor Credit Company LLC 2.7% 10-AUG-2026| 1.14%| |Bond|Total Bond Market|Total Bond Market|WINC|6|14.ASSET|Bond|30|0.34|N/A| BNP Paribas S.A. 1.675% 30-JUN-2027| 1.12%| |Bond|Total Bond Market|Total Bond Market|WINC|6|15.ASSET|Bond|30|0.34|N/A| Santander UK Group Holdings Plc 1.673% 14-JUN-2027| 1.12%| North America|Equity|Leveraged Equities|Energy|DUG|6|1.ASSET|Equity|15.8|14.72|N/A| U.S. Dollar| 93.14%| North America|Equity|Leveraged Equities|Energy|DUG|6|2.ASSET|Equity|15.8|14.57|N/A| U.S. Dollar| 92.22%| North America|Equity|Leveraged Equities|Energy|DUG|6|3.ASSET|Equity|15.8|1.23|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 7.78%| North America|Equity|Leveraged Equities|Energy|DUG|6|4.ASSET|Equity|15.8|1.08|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 6.86%| North America|Bond|Total Bond Market|Junk|MCEF|6|1.ASSET|Bond|20|2.46|N/A| U.S. Dollar| 12.31%| North America|Bond|Total Bond Market|Junk|MCEF|6|2.ASSET|Bond|20|1|NVG| Nuveen AMT-Free Municipal Credit Income Fund of Benef Interest| 4.98%| North America|Bond|Total Bond Market|Junk|MCEF|6|3.ASSET|Bond|20|0.84|MUE| BlackRock MuniHoldings Quality Fund II Inc| 4.22%| North America|Bond|Total Bond Market|Junk|MCEF|6|4.ASSET|Bond|20|0.82|HYD| VanEck High Yield Muni ETF| 4.09%| North America|Bond|Total Bond Market|Junk|MCEF|6|5.ASSET|Bond|20|0.75|NEV| Nuveen Enhanced Municipal Value Fund| 3.74%| North America|Bond|Total Bond Market|Junk|MCEF|6|6.ASSET|Bond|20|0.73|NMCO| Nuveen Municipal Credit Opportunities Fund| 3.64%| North America|Bond|Total Bond Market|Junk|MCEF|6|7.ASSET|Bond|20|0.69|MFL| BlackRock MuniHoldings Investment Quality Fund| 3.45%| North America|Bond|Total Bond Market|Junk|MCEF|6|8.ASSET|Bond|20|0.66|MNP| Western Asset Municipal Partners Fund Inc| 3.29%| North America|Bond|Total Bond Market|Junk|MCEF|6|9.ASSET|Bond|20|0.65|VGM| Invesco Trust for Investment Grade Municipals| 3.24%| North America|Bond|Total Bond Market|Junk|MCEF|6|10.ASSET|Bond|20|0.63|VKQ| Invesco Municipal Trust| 3.15%| North America|Bond|Total Bond Market|Junk|MCEF|6|11.ASSET|Bond|20|0.63|MUNI| PIMCO Intermediate Municipal Bond Active ETF| 3.14%| North America|Bond|Total Bond Market|Junk|MCEF|6|12.ASSET|Bond|20|0.62|NZF| Nuveen Municipal Credit Income Fund of Benef Interest| 3.10%| North America|Bond|Total Bond Market|Junk|MCEF|6|13.ASSET|Bond|20|0.62|NDMO| Nuveen Dynamic Municipal Opportunities Fund of Beneficial Interest| 3.08%| North America|Bond|Total Bond Market|Junk|MCEF|6|14.ASSET|Bond|20|0.61|MYI| BlackRock MuniYield Quality Fund III Inc| 3.03%| North America|Bond|Total Bond Market|Junk|MCEF|6|15.ASSET|Bond|20|0.6|IIM| Invesco Value Municipal Income Trust| 3.02%| Global|Equity|Technology Equities|Technology|BTEK|6|1.ASSET|Equity|15|0.45|TSLA| Tesla Inc| 3.00%| Global|Equity|Technology Equities|Technology|BTEK|6|2.ASSET|Equity|15|0.42|MRVL| Marvell Technology, Inc.| 2.82%| Global|Equity|Technology Equities|Technology|BTEK|6|3.ASSET|Equity|15|0.41|6415| Silergy Corp.| 2.74%| Global|Equity|Technology Equities|Technology|BTEK|6|4.ASSET|Equity|15|0.34|ON| ON Semiconductor Corporation| 2.26%| Global|Equity|Technology Equities|Technology|BTEK|6|5.ASSET|Equity|15|0.29|035720| Kakao Corp.| 1.93%| Global|Equity|Technology Equities|Technology|BTEK|6|6.ASSET|Equity|15|0.29|SDR| SiteMinder Limited| 1.90%| Global|Equity|Technology Equities|Technology|BTEK|6|7.ASSET|Equity|15|0.28|DAVA| Endava Plc Sponsored ADR Class A| 1.87%| Global|Equity|Technology Equities|Technology|BTEK|6|8.ASSET|Equity|15|0.28|ENTG| Entegris, Inc.| 1.86%| Global|Equity|Technology Equities|Technology|BTEK|6|9.ASSET|Equity|15|0.28|WOLF| Wolfspeed Inc| 1.86%| Global|Equity|Technology Equities|Technology|BTEK|6|10.ASSET|Equity|15|0.27|SNPS| Synopsys, Inc.| 1.81%| Global|Equity|Technology Equities|Technology|BTEK|6|11.ASSET|Equity|15|0.27|MPWR| Monolithic Power Systems, Inc.| 1.78%| Global|Equity|Technology Equities|Technology|BTEK|6|12.ASSET|Equity|15|0.26|LSCC| Lattice Semiconductor Corporation| 1.71%| Global|Equity|Technology Equities|Technology|BTEK|6|13.ASSET|Equity|15|0.25|006400| Samsung SDI Co., Ltd| 1.67%| Global|Equity|Technology Equities|Technology|BTEK|6|14.ASSET|Equity|15|0.24|TEAM| Atlassian Corp. Plc Class A| 1.60%| Global|Equity|Technology Equities|Technology|BTEK|6|15.ASSET|Equity|15|0.23|MDB| MongoDB, Inc. Class A| 1.56%| North America|Equity|Volatility Hedged Equity||XSHD|6|1.ASSET|Equity|18|0.58|RC| Ready Capital Corporation| 3.22%| North America|Equity|Volatility Hedged Equity||XSHD|6|2.ASSET|Equity|18|0.57|AROC| Archrock Inc.| 3.16%| North America|Equity|Volatility Hedged Equity||XSHD|6|3.ASSET|Equity|18|0.56|GNL| Global Net Lease Inc| 3.11%| North America|Equity|Volatility Hedged Equity||XSHD|6|4.ASSET|Equity|18|0.55|OPI| Office Properties Income Trust| 3.04%| North America|Equity|Volatility Hedged Equity||XSHD|6|5.ASSET|Equity|18|0.53|NYMT| New York Mortgage Trust, Inc.| 2.95%| North America|Equity|Volatility Hedged Equity||XSHD|6|6.ASSET|Equity|18|0.53|ARI| Apollo Commercial Real Estate Finance, Inc.| 2.95%| North America|Equity|Volatility Hedged Equity||XSHD|6|7.ASSET|Equity|18|0.52|TWO| Two Harbors Investment Corp.| 2.87%| North America|Equity|Volatility Hedged Equity||XSHD|6|8.ASSET|Equity|18|0.51|SJI| South Jersey Industries, Inc.| 2.85%| North America|Equity|Volatility Hedged Equity||XSHD|6|9.ASSET|Equity|18|0.5|EFC| Ellington Financial Inc.| 2.78%| North America|Equity|Volatility Hedged Equity||XSHD|6|10.ASSET|Equity|18|0.5|PMT| PennyMac Mortgage Investment Trust| 2.77%| North America|Equity|Volatility Hedged Equity||XSHD|6|11.ASSET|Equity|18|0.5|LTC| LTC Properties, Inc.| 2.77%| North America|Equity|Volatility Hedged Equity||XSHD|6|12.ASSET|Equity|18|0.5|ARR| ARMOUR Residential REIT, Inc.| 2.77%| North America|Equity|Volatility Hedged Equity||XSHD|6|13.ASSET|Equity|18|0.46|SWM| Schweitzer-Mauduit International, Inc.| 2.58%| North America|Equity|Volatility Hedged Equity||XSHD|6|14.ASSET|Equity|18|0.46|BDN| Brandywine Realty Trust| 2.53%| North America|Equity|Volatility Hedged Equity||XSHD|6|15.ASSET|Equity|18|0.43|UVV| Universal Corp| 2.40%| North America|Equity|Utilities Equities|Utilities|ECLN|6|1.ASSET|Equity|18.7|1.16|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 6.21%| North America|Equity|Utilities Equities|Utilities|ECLN|6|2.ASSET|Equity|18.7|1.02|LNG| Cheniere Energy, Inc.| 5.43%| North America|Equity|Utilities Equities|Utilities|ECLN|6|3.ASSET|Equity|18.7|0.94|NEP| NextEra Energy Partners LP| 5.04%| North America|Equity|Utilities Equities|Utilities|ECLN|6|4.ASSET|Equity|18.7|0.86|NEE| NextEra Energy, Inc.| 4.61%| North America|Equity|Utilities Equities|Utilities|ECLN|6|5.ASSET|Equity|18.7|0.86|CQP| Cheniere Energy Partners, L.P.| 4.60%| North America|Equity|Utilities Equities|Utilities|ECLN|6|6.ASSET|Equity|18.7|0.86|PWR| Quanta Services, Inc.| 4.59%| North America|Equity|Utilities Equities|Utilities|ECLN|6|7.ASSET|Equity|18.7|0.76|DTM| DT Midstream, Inc.| 4.04%| North America|Equity|Utilities Equities|Utilities|ECLN|6|8.ASSET|Equity|18.7|0.73|ATO| Atmos Energy Corporation| 3.93%| North America|Equity|Utilities Equities|Utilities|ECLN|6|9.ASSET|Equity|18.7|0.67|AEP| American Electric Power Company, Inc.| 3.56%| North America|Equity|Utilities Equities|Utilities|ECLN|6|10.ASSET|Equity|18.7|0.64|XEL| Xcel Energy Inc.| 3.43%| North America|Equity|Utilities Equities|Utilities|ECLN|6|11.ASSET|Equity|18.7|0.62|SRE| Sempra Energy| 3.30%| North America|Equity|Utilities Equities|Utilities|ECLN|6|12.ASSET|Equity|18.7|0.61|PEG| Public Service Enterprise Group Inc| 3.27%| North America|Equity|Utilities Equities|Utilities|ECLN|6|13.ASSET|Equity|18.7|0.58|CNP| CenterPoint Energy, Inc.| 3.12%| North America|Equity|Utilities Equities|Utilities|ECLN|6|14.ASSET|Equity|18.7|0.58|DTE| DTE Energy Company| 3.09%| North America|Equity|Utilities Equities|Utilities|ECLN|6|15.ASSET|Equity|18.7|0.57|ALA| AltaGas Ltd.| 3.04%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOA|6|1.ASSET|Multi-Asset|20.7|9.58|ESGU| iShares ESG Aware MSCI USA ETF| 46.26%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOA|6|2.ASSET|Multi-Asset|20.7|4.36|EAGG| iShares ESG Aware US Aggregate Bond ETF| 21.05%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOA|6|3.ASSET|Multi-Asset|20.7|3.83|ESGD| iShares ESG Aware MSCI EAFE ETF| 18.50%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOA|6|4.ASSET|Multi-Asset|20.7|1.76|ESGE| iShares ESG Aware MSCI EM ETF| 8.50%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOA|6|5.ASSET|Multi-Asset|20.7|1.16|ESML| iShares ESG Aware MSCI USA Small-Cap ETF| 5.62%| North America|Equity|Large Cap Growth Equities||JHCS|6|1.ASSET|Equity|17.5|1.1|T| AT&T Inc.| 6.28%| North America|Equity|Large Cap Growth Equities||JHCS|6|2.ASSET|Equity|17.5|1.03|DIS| Walt Disney Company| 5.88%| North America|Equity|Large Cap Growth Equities||JHCS|6|3.ASSET|Equity|17.5|0.97|CMCSA| Comcast Corporation Class A| 5.53%| North America|Equity|Large Cap Growth Equities||JHCS|6|4.ASSET|Equity|17.5|0.9|VZ| Verizon Communications Inc.| 5.12%| North America|Equity|Large Cap Growth Equities||JHCS|6|5.ASSET|Equity|17.5|0.87|TMUS| T-Mobile US, Inc.| 4.99%| North America|Equity|Large Cap Growth Equities||JHCS|6|6.ASSET|Equity|17.5|0.85|NFLX| Netflix, Inc.| 4.83%| North America|Equity|Large Cap Growth Equities||JHCS|6|7.ASSET|Equity|17.5|0.7|EA| Electronic Arts Inc.| 3.99%| North America|Equity|Large Cap Growth Equities||JHCS|6|8.ASSET|Equity|17.5|0.69|FB| Meta Platforms Inc. Class A| 3.97%| North America|Equity|Large Cap Growth Equities||JHCS|6|9.ASSET|Equity|17.5|0.62|OMC| Omnicom Group Inc| 3.53%| North America|Equity|Large Cap Growth Equities||JHCS|6|10.ASSET|Equity|17.5|0.61|GOOGL| Alphabet Inc. Class A| 3.50%| North America|Equity|Large Cap Growth Equities||JHCS|6|11.ASSET|Equity|17.5|0.6|ATVI| Activision Blizzard, Inc.| 3.45%| North America|Equity|Large Cap Growth Equities||JHCS|6|12.ASSET|Equity|17.5|0.57|GOOG| Alphabet Inc. Class C| 3.23%| North America|Equity|Large Cap Growth Equities||JHCS|6|13.ASSET|Equity|17.5|0.52|MTCH| Match Group, Inc.| 2.96%| North America|Equity|Large Cap Growth Equities||JHCS|6|14.ASSET|Equity|17.5|0.49|IPG| Interpublic Group of Companies, Inc.| 2.82%| North America|Equity|Large Cap Growth Equities||JHCS|6|15.ASSET|Equity|17.5|0.49|CHTR| Charter Communications, Inc. Class A| 2.78%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|1.ASSET|Equity|26.8|0.89|ASML| ASML Holding NV| 3.32%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|2.ASSET|Equity|26.8|0.88|ROG| Roche Holding Ltd| 3.30%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|3.ASSET|Equity|26.8|0.64|AZN| AstraZeneca PLC| 2.40%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|4.ASSET|Equity|26.8|0.58|NOVO.B| Novo Nordisk A/S Class B| 2.17%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|5.ASSET|Equity|26.8|0.44|TTE| TotalEnergies SE| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|6.ASSET|Equity|26.8|0.42|6758| Sony Group Corporation| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|7.ASSET|Equity|26.8|0.42|ULVR| Unilever PLC| 1.55%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|8.ASSET|Equity|26.8|0.39|CBA| Commonwealth Bank of Australia| 1.46%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|9.ASSET|Equity|26.8|0.39|SAP| SAP SE| 1.45%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|10.ASSET|Equity|26.8|0.35|GSK| GlaxoSmithKline plc| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|11.ASSET|Equity|26.8|0.32|OR| L\'Oreal SA| 1.21%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|12.ASSET|Equity|26.8|0.3|ALV| Allianz SE| 1.11%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|13.ASSET|Equity|26.8|0.27|SU| Schneider Electric SE| 1.02%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|14.ASSET|Equity|26.8|0.26|AI| Air Liquide SA| 0.97%| Developed Markets|Equity|Foreign Large Cap Equities||EASG|6|15.ASSET|Equity|26.8|0.24|8035| Tokyo Electron Ltd.| 0.90%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|1.ASSET|Bond|22.1|0.5|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 2.24%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|2.ASSET|Bond|22.1|0.49|N/A| TransDigm, Inc. 6.25% 15-MAR-2026| 2.21%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|3.ASSET|Bond|22.1|0.38|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 1.72%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|4.ASSET|Bond|22.1|0.38|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 1.70%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|5.ASSET|Bond|22.1|0.37|N/A| American Airlines, Inc. 5.5% 20-APR-2026| 1.68%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|6.ASSET|Bond|22.1|0.3|N/A| DISH DBS Corporation 5.25% 01-DEC-2026| 1.34%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|7.ASSET|Bond|22.1|0.29|N/A| DISH DBS Corporation 5.25% 01-DEC-2026| 1.33%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|8.ASSET|Bond|22.1|0.26|N/A| Tenet Healthcare Corporation 4.875% 01-JAN-2026| 1.17%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|9.ASSET|Bond|22.1|0.26|N/A| Tenet Healthcare Corporation 4.875% 01-JAN-2026| 1.16%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|10.ASSET|Bond|22.1|0.24|N/A| CORPORATE BOND| 1.08%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|11.ASSET|Bond|22.1|0.23|N/A| NGL Energy Operating LLC 7.5% 01-FEB-2026| 1.03%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|12.ASSET|Bond|22.1|0.22|N/A| NGL Energy Operating LLC 7.5% 01-FEB-2026| 1.01%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|13.ASSET|Bond|22.1|0.22|N/A| Connect Finco SARL 6.75% 01-OCT-2026| 0.99%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|14.ASSET|Bond|22.1|0.22|N/A| Newell Brands Inc 4.7% 01-APR-2026| 0.99%| North America|Bond|Corporate Bonds|Investment Grade Corporate|IBHF|6|15.ASSET|Bond|22.1|0.22|N/A| Connect Finco SARL 6.75% 01-OCT-2026| 0.98%| Developed Markets|Equity|Europe Equities||GSEU|6|1.ASSET|Equity|20|0.65|NESN| Nestle S.A.| 3.26%| Developed Markets|Equity|Europe Equities||GSEU|6|2.ASSET|Equity|20|0.51|ROG| Roche Holding Ltd| 2.57%| Developed Markets|Equity|Europe Equities||GSEU|6|3.ASSET|Equity|20|0.44|ASML| ASML Holding NV| 2.19%| Developed Markets|Equity|Europe Equities||GSEU|6|4.ASSET|Equity|20|0.36|NOVO.B| Novo Nordisk A/S Class B| 1.78%| Developed Markets|Equity|Europe Equities||GSEU|6|5.ASSET|Equity|20|0.34|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.69%| Developed Markets|Equity|Europe Equities||GSEU|6|6.ASSET|Equity|20|0.32|NOVN| Novartis AG| 1.60%| Developed Markets|Equity|Europe Equities||GSEU|6|7.ASSET|Equity|20|0.3|SHEL| Shell PLC| 1.48%| Developed Markets|Equity|Europe Equities||GSEU|6|8.ASSET|Equity|20|0.27|AZN| AstraZeneca PLC| 1.36%| Developed Markets|Equity|Europe Equities||GSEU|6|9.ASSET|Equity|20|0.22|OR| L\'Oreal SA| 1.12%| Developed Markets|Equity|Europe Equities||GSEU|6|10.ASSET|Equity|20|0.2|SAN| Sanofi| 1.02%| Developed Markets|Equity|Europe Equities||GSEU|6|11.ASSET|Equity|20|0.19|TTE| TotalEnergies SE| 0.97%| Developed Markets|Equity|Europe Equities||GSEU|6|12.ASSET|Equity|20|0.19|RIO| Rio Tinto plc| 0.96%| Developed Markets|Equity|Europe Equities||GSEU|6|13.ASSET|Equity|20|0.19|GSK| GlaxoSmithKline plc| 0.93%| Developed Markets|Equity|Europe Equities||GSEU|6|14.ASSET|Equity|20|0.18|ULVR| Unilever PLC| 0.91%| Developed Markets|Equity|Europe Equities||GSEU|6|15.ASSET|Equity|20|0.18|SAP| SAP SE| 0.91%| North America|Multi-Asset|Long-Short||DBEH|6|1.ASSET|Multi-Asset|20.3|19.97|N/A| U.S. Dollar| 98.38%| North America|Multi-Asset|Long-Short||DBEH|6|2.ASSET|Multi-Asset|20.3|0.18|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 0.91%| North America|Multi-Asset|Long-Short||DBEH|6|3.ASSET|Multi-Asset|20.3|0.11|N/A| United States Treasury Bills 0.0% 17-MAR-2022| 0.52%| North America|Multi-Asset|Long-Short||DBEH|6|4.ASSET|Multi-Asset|20.3|0.04|N/A| United States Treasury Bills 0.0% 03-MAR-2022| 0.19%| North America|Bond|High Yield Bonds|Total Bond Market|KDFI|6|1.ASSET|Bond|2.1|2.1|N/A| U.S. Dollar| 100.00%| Developed Markets|Bond|Total Bond Market|Total Bond Market|NFLT|6|1.ASSET|Bond|22.3|0.06|GEC2| General Electric Co Non-Cum Perp Pfd Shs Series D| 0.29%| Developed Markets|Equity|n/a||IAPR|6|1.ASSET|Equity|24.7|24.68|N/A| OPTIONS| 99.93%| Developed Markets|Equity|n/a||IAPR|6|2.ASSET|Equity|24.7|24.68|N/A| OPTIONS| 99.93%| Developed Markets|Equity|n/a||IAPR|6|3.ASSET|Equity|24.7|0.02|N/A| U.S. Dollar| 0.07%| Developed Markets|Equity|n/a||IAPR|6|4.ASSET|Equity|24.7|0.02|N/A| U.S. Dollar| 0.07%| North America|Equity|Energy Equities|Energy|PYPE|6|1.ASSET|Equity|21.1|1.63|WMB| Williams Companies Inc| 7.73%| North America|Equity|Energy Equities|Energy|PYPE|6|2.ASSET|Equity|21.1|1.63|OKE| ONEOK Inc| 7.72%| North America|Equity|Energy Equities|Energy|PYPE|6|3.ASSET|Equity|21.1|1.59|ET| Energy Transfer LP| 7.52%| North America|Equity|Energy Equities|Energy|PYPE|6|4.ASSET|Equity|21.1|1.58|EPD| Enterprise Products Partners LP| 7.51%| North America|Equity|Energy Equities|Energy|PYPE|6|5.ASSET|Equity|21.1|1.55|KMI| Kinder Morgan Inc| 7.35%| North America|Equity|Energy Equities|Energy|PYPE|6|6.ASSET|Equity|21.1|1.55|MMP| Magellan Midstream Partners LP| 7.34%| North America|Equity|Energy Equities|Energy|PYPE|6|7.ASSET|Equity|21.1|1.48|WES| Western Midstream Partners LP| 7.00%| North America|Equity|Energy Equities|Energy|PYPE|6|8.ASSET|Equity|21.1|1.45|PAA| Plains All American Pipeline LP| 6.88%| North America|Equity|Energy Equities|Energy|PYPE|6|9.ASSET|Equity|21.1|1.29|TRGP| Targa Resources Corp| 6.13%| North America|Equity|Energy Equities|Energy|PYPE|6|10.ASSET|Equity|21.1|1.26|MPLX| MPLX LP| 5.98%| North America|Equity|Energy Equities|Energy|PYPE|6|11.ASSET|Equity|21.1|0.51|TGE| Tallgrass Energy LP| 2.43%| North America|Equity|Energy Equities|Energy|PYPE|6|12.ASSET|Equity|21.1|0.43|ENLC| EnLink Midstream LLC| 2.06%| North America|Equity|Energy Equities|Energy|PYPE|6|13.ASSET|Equity|21.1|0.42|ANDX| Andeavor Logistics LP| 2.00%| North America|Equity|Energy Equities|Energy|PYPE|6|14.ASSET|Equity|21.1|0.41|DCP| DCP Midstream LP| 1.96%| North America|Equity|Energy Equities|Energy|PYPE|6|15.ASSET|Equity|21.1|0.39|AM| Antero Midstream Corp| 1.84%| Global|Equity|Global Real Estate||SPRE|6|1.ASSET|Equity|30.2|3.57|PLD| Prologis, Inc.| 11.83%| Global|Equity|Global Real Estate||SPRE|6|2.ASSET|Equity|30.2|3.49|CCI| Crown Castle International Corp| 11.54%| Global|Equity|Global Real Estate||SPRE|6|3.ASSET|Equity|30.2|3.46|AMT| American Tower Corporation| 11.45%| Global|Equity|Global Real Estate||SPRE|6|4.ASSET|Equity|30.2|2.97|EQIX| Equinix, Inc.| 9.83%| Global|Equity|Global Real Estate||SPRE|6|5.ASSET|Equity|30.2|1.52|PSA| Public Storage| 5.04%| Global|Equity|Global Real Estate||SPRE|6|6.ASSET|Equity|30.2|1.47|AVB| AvalonBay Communities, Inc.| 4.86%| Global|Equity|Global Real Estate||SPRE|6|7.ASSET|Equity|30.2|1.45|WY| Weyerhaeuser Company| 4.81%| Global|Equity|Global Real Estate||SPRE|6|8.ASSET|Equity|30.2|1.45|EQR| Equity Residential| 4.80%| Global|Equity|Global Real Estate||SPRE|6|9.ASSET|Equity|30.2|1.26|MAA| Mid-America Apartment Communities, Inc.| 4.17%| Global|Equity|Global Real Estate||SPRE|6|10.ASSET|Equity|30.2|1.11|SUI| Sun Communities, Inc.| 3.67%| Global|Equity|Global Real Estate||SPRE|6|11.ASSET|Equity|30.2|1.11|SGRO| SEGRO plc| 3.66%| Global|Equity|Global Real Estate||SPRE|6|12.ASSET|Equity|30.2|1.07|DRE| Duke Realty Corporation| 3.54%| Global|Equity|Global Real Estate||SPRE|6|13.ASSET|Equity|30.2|0.9|CPT| Camden Property Trust| 2.98%| Global|Equity|Global Real Estate||SPRE|6|14.ASSET|Equity|30.2|0.88|823| Link Real Estate Investment Trust| 2.90%| Global|Equity|Global Real Estate||SPRE|6|15.ASSET|Equity|30.2|0.69|ELS| Equity LifeStyle Properties, Inc.| 2.30%| North America|Equity|Volatility Hedged Equity||JMIN|6|1.ASSET|Equity|20.3|0.16|CVX| Chevron Corporation| 0.81%| North America|Equity|Volatility Hedged Equity||JMIN|6|2.ASSET|Equity|20.3|0.16|XOM| Exxon Mobil Corporation| 0.78%| North America|Equity|Volatility Hedged Equity||JMIN|6|3.ASSET|Equity|20.3|0.15|ABBV| AbbVie, Inc.| 0.76%| North America|Equity|Volatility Hedged Equity||JMIN|6|4.ASSET|Equity|20.3|0.15|LNG| Cheniere Energy, Inc.| 0.75%| North America|Equity|Volatility Hedged Equity||JMIN|6|5.ASSET|Equity|20.3|0.15|BRK.B| Berkshire Hathaway Inc. Class B| 0.72%| North America|Equity|Volatility Hedged Equity||JMIN|6|6.ASSET|Equity|20.3|0.15|BG| Bunge Limited| 0.72%| North America|Equity|Volatility Hedged Equity||JMIN|6|7.ASSET|Equity|20.3|0.15|ADM| Archer-Daniels-Midland Company| 0.72%| North America|Equity|Volatility Hedged Equity||JMIN|6|8.ASSET|Equity|20.3|0.14|CTRA| Coterra Energy Inc.| 0.71%| North America|Equity|Volatility Hedged Equity||JMIN|6|9.ASSET|Equity|20.3|0.14|HRL| Hormel Foods Corporation| 0.70%| North America|Equity|Volatility Hedged Equity||JMIN|6|10.ASSET|Equity|20.3|0.14|MCK| McKesson Corporation| 0.70%| North America|Equity|Volatility Hedged Equity||JMIN|6|11.ASSET|Equity|20.3|0.14|CVS| CVS Health Corporation| 0.68%| North America|Equity|Volatility Hedged Equity||JMIN|6|12.ASSET|Equity|20.3|0.14|MSFT| Microsoft Corporation| 0.68%| North America|Equity|Volatility Hedged Equity||JMIN|6|13.ASSET|Equity|20.3|0.13|AEP| American Electric Power Company, Inc.| 0.66%| North America|Equity|Volatility Hedged Equity||JMIN|6|14.ASSET|Equity|20.3|0.13|UNH| UnitedHealth Group Incorporated| 0.66%| North America|Equity|Volatility Hedged Equity||JMIN|6|15.ASSET|Equity|20.3|0.13|CERN| Cerner Corporation| 0.66%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|1.ASSET|Equity|19.6|0.47|MSFT| Microsoft Corporation| 2.42%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|2.ASSET|Equity|19.6|0.47|WFC| Wells Fargo & Company| 2.38%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|3.ASSET|Equity|19.6|0.45|NOW| ServiceNow, Inc.| 2.28%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|4.ASSET|Equity|19.6|0.44|TD| Toronto-Dominion Bank| 2.26%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|5.ASSET|Equity|19.6|0.44|GOOGL| Alphabet Inc. Class A| 2.26%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|6.ASSET|Equity|19.6|0.44|CTVA| Corteva Inc| 2.22%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|7.ASSET|Equity|19.6|0.44|MCD| McDonald\'s Corporation| 2.22%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|8.ASSET|Equity|19.6|0.42|BLKB| Blackbaud, Inc.| 2.16%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|9.ASSET|Equity|19.6|0.41|STZ| Constellation Brands, Inc. Class A| 2.11%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|10.ASSET|Equity|19.6|0.41|BRK.B| Berkshire Hathaway Inc. Class B| 2.07%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|11.ASSET|Equity|19.6|0.4|RY| Royal Bank of Canada| 2.05%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|12.ASSET|Equity|19.6|0.4|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 2.03%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|13.ASSET|Equity|19.6|0.4|ROP| Roper Technologies, Inc.| 2.03%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|14.ASSET|Equity|19.6|0.39|BAER| Julius Baer Gruppe AG| 1.98%| Developed Markets|Equity|Large Cap Growth Equities||GOAT|6|15.ASSET|Equity|19.6|0.38|IMB| Imperial Brands PLC| 1.96%| North America|Bond|Leveraged Bonds|Treasuries|UST|6|1.ASSET|Bond|17.6|17.6|N/A| U.S. Dollar| 100.00%| |Commodity|Precious Metals||DBS|6|1.ASSET|Commodity|20.9|13.99|N/A| MUTUAL FUND (OTHER)| 66.95%| |Commodity|Precious Metals||DBS|6|2.ASSET|Commodity|20.9|13.66|N/A| MUTUAL FUND (OTHER)| 65.35%| |Commodity|Precious Metals||DBS|6|3.ASSET|Commodity|20.9|3.1|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 14.84%| |Commodity|Precious Metals||DBS|6|4.ASSET|Commodity|20.9|2.96|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 14.15%| |Commodity|Precious Metals||DBS|6|5.ASSET|Commodity|20.9|2.07|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 9.91%| |Commodity|Precious Metals||DBS|6|6.ASSET|Commodity|20.9|2.07|N/A| United States Treasury Bills 0.0% 21-APR-2022| 9.91%| |Commodity|Precious Metals||DBS|6|7.ASSET|Commodity|20.9|1.98|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 9.45%| |Commodity|Precious Metals||DBS|6|8.ASSET|Commodity|20.9|1.98|N/A| United States Treasury Bills 0.0% 21-APR-2022| 9.45%| |Commodity|Precious Metals||DBS|6|9.ASSET|Commodity|20.9|0|N/A| U.S. Dollar| 0.00%| |Commodity|Precious Metals||DBS|6|10.ASSET|Commodity|20.9|0|N/A| U.S. Dollar| 0.00%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|1.ASSET|Real Estate|21.5|1.35|N/A| U.S. Dollar| 6.30%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|2.ASSET|Real Estate|21.5|0.5|APTS| Preferred Apartment Communities, Inc.| 2.34%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|3.ASSET|Real Estate|21.5|0.48|BRG| Bluerock Residential Growth REIT Inc Class A| 2.25%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|4.ASSET|Real Estate|21.5|0.35|WHA| Wereldhave N.V.| 1.65%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|5.ASSET|Real Estate|21.5|0.34|PGRE| Paramount Group, Inc.| 1.58%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|6.ASSET|Real Estate|21.5|0.34|AVB| AvalonBay Communities, Inc.| 1.57%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|7.ASSET|Real Estate|21.5|0.32|SAC| SA Corporate Real Estate Ltd.| 1.50%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|8.ASSET|Real Estate|21.5|0.32|ECMPA| Eurocommercial Properties NV| 1.50%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|9.ASSET|Real Estate|21.5|0.32|DANHOS13| Concentradora Fibra Danhos SA de CV| 1.49%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|10.ASSET|Real Estate|21.5|0.32|AX.UT| Artis Real Estate Investment Trust| 1.49%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|11.ASSET|Real Estate|21.5|0.32|YGGYO.E| Yeni Gimat Gayrimenkul Yatirim Ortakligi AS| 1.49%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|12.ASSET|Real Estate|21.5|0.32|BEI.UT| Boardwalk REIT| 1.47%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|13.ASSET|Real Estate|21.5|0.31|CDR| Cedar Realty Trust Inc| 1.46%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|14.ASSET|Real Estate|21.5|0.31|REI.UT| RioCan Real Estate Investment Trust| 1.43%| Developed Markets|Real Estate|Global Real Estate|Real Estate|BLDG|6|15.ASSET|Real Estate|21.5|0.3|BCPT| BMO Commercial Property Trust Limited| 1.40%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|1.ASSET|Multi-Asset|35.6|14.09|SPY| SPDR S&P 500 ETF Trust| 39.59%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|2.ASSET|Multi-Asset|35.6|5.18|EFA| iShares MSCI EAFE ETF| 14.54%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|3.ASSET|Multi-Asset|35.6|4.3|IUSB| iShares Core Total USD Bond Market ETF| 12.07%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|4.ASSET|Multi-Asset|35.6|2.53|IWP| iShares Russell Mid-Cap Growth ETF| 7.10%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|5.ASSET|Multi-Asset|35.6|2.16|GOVT| iShares U.S. Treasury Bond ETF| 6.07%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|6.ASSET|Multi-Asset|35.6|2.01|MUCXX| BlackRock Liquidity Funds California Money Fund Portfolio Institutional| 5.65%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|7.ASSET|Multi-Asset|35.6|1.14|IYE| iShares U.S. Energy ETF| 3.21%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|8.ASSET|Multi-Asset|35.6|1.12|IWM| iShares Russell 2000 ETF| 3.14%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|9.ASSET|Multi-Asset|35.6|1.02|EEM| iShares MSCI Emerging Markets ETF| 2.86%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|10.ASSET|Multi-Asset|35.6|0.74|TIP| iShares TIPS Bond ETF| 2.09%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|11.ASSET|Multi-Asset|35.6|0.7|XLK| Technology Select Sector SPDR Fund| 1.98%| Developed Markets|Multi-Asset|Global Equities||VEGA|6|12.ASSET|Multi-Asset|35.6|0.67|IXG| iShares Global Financials ETF| 1.89%| |Commodity|Agricultural Commodities||JJG|6|1.ASSET|Commodity|45|20.93|N/A| Soybean| 46.51%| |Commodity|Agricultural Commodities||JJG|6|2.ASSET|Commodity|45|13.47|N/A| Wheat| 29.94%| |Commodity|Agricultural Commodities||JJG|6|3.ASSET|Commodity|45|10.6|N/A| Corn| 23.55%| North America|Equity|n/a||XBAP|6|1.ASSET|Equity|29.3|29.24|N/A| OPTIONS| 99.81%| North America|Equity|n/a||XBAP|6|2.ASSET|Equity|29.3|0.06|N/A| U.S. Dollar| 0.19%| North America|Equity|Large Cap Blend Equities||RNDV|6|1.ASSET|Equity|18.1|0.79|IBM| International Business Machines Corporation| 4.39%| North America|Equity|Large Cap Blend Equities||RNDV|6|2.ASSET|Equity|18.1|0.59|HPE| Hewlett Packard Enterprise Co.| 3.28%| North America|Equity|Large Cap Blend Equities||RNDV|6|3.ASSET|Equity|18.1|0.5|GLW| Corning Inc| 2.76%| North America|Equity|Large Cap Blend Equities||RNDV|6|4.ASSET|Equity|18.1|0.46|INTC| Intel Corporation| 2.56%| North America|Equity|Large Cap Blend Equities||RNDV|6|5.ASSET|Equity|18.1|0.43|OMC| Omnicom Group Inc| 2.37%| North America|Equity|Large Cap Blend Equities||RNDV|6|6.ASSET|Equity|18.1|0.4|NLOK| NortonLifeLock Inc.| 2.20%| North America|Equity|Large Cap Blend Equities||RNDV|6|7.ASSET|Equity|18.1|0.39|HPQ| HP Inc.| 2.13%| North America|Equity|Large Cap Blend Equities||RNDV|6|8.ASSET|Equity|18.1|0.37|TXN| Texas Instruments Incorporated| 2.02%| North America|Equity|Large Cap Blend Equities||RNDV|6|9.ASSET|Equity|18.1|0.37|PARA| Paramount Global Class B| 2.02%| North America|Equity|Large Cap Blend Equities||RNDV|6|10.ASSET|Equity|18.1|0.36|AVGO| Broadcom Inc.| 1.97%| North America|Equity|Large Cap Blend Equities||RNDV|6|11.ASSET|Equity|18.1|0.34|NTAP| NetApp, Inc.| 1.88%| North America|Equity|Large Cap Blend Equities||RNDV|6|12.ASSET|Equity|18.1|0.33|LDOS| Leidos Holdings, Inc.| 1.84%| North America|Equity|Large Cap Blend Equities||RNDV|6|13.ASSET|Equity|18.1|0.27|BBY| Best Buy Co., Inc.| 1.49%| North America|Equity|Large Cap Blend Equities||RNDV|6|14.ASSET|Equity|18.1|0.27|ABBV| AbbVie, Inc.| 1.48%| North America|Equity|Large Cap Blend Equities||RNDV|6|15.ASSET|Equity|18.1|0.26|T| AT&T Inc.| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|1.ASSET|Equity|17.8|0.39|EMA| Emera Incorporated| 2.19%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|2.ASSET|Equity|17.8|0.39|FTS| Fortis Inc.| 2.17%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|3.ASSET|Equity|17.8|0.35|BNS| Bank of Nova Scotia| 1.99%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|4.ASSET|Equity|17.8|0.35|T| TELUS Corporation| 1.98%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|5.ASSET|Equity|17.8|0.35|BCE| BCE Inc.| 1.95%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|6.ASSET|Equity|17.8|0.3|GWO| Great-West Lifeco Inc.| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|7.ASSET|Equity|17.8|0.29|2| CLP Holdings Limited| 1.63%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|8.ASSET|Equity|17.8|0.27|BHP| BHP Group Ltd| 1.54%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|9.ASSET|Equity|17.8|0.26|ENB| Enbridge Inc.| 1.46%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|10.ASSET|Equity|17.8|0.26|NG| National Grid plc| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|11.ASSET|Equity|17.8|0.25|SCMN| Swisscom AG| 1.43%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|12.ASSET|Equity|17.8|0.25|9434| SoftBank Corp.| 1.42%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|13.ASSET|Equity|17.8|0.24|BA| BAE Systems plc| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|14.ASSET|Equity|17.8|0.23|ORA| Orange SA| 1.32%| Developed Markets|Equity|Foreign Large Cap Equities||CID|6|15.ASSET|Equity|17.8|0.23|NOVN| Novartis AG| 1.32%| Emerging Asia Pacific|Equity|Leveraged Equities||FXP|6|1.ASSET|Equity|23.9|22.96|N/A| U.S. Dollar| 96.05%| Emerging Asia Pacific|Equity|Leveraged Equities||FXP|6|2.ASSET|Equity|23.9|22.94|N/A| U.S. Dollar| 95.99%| Emerging Asia Pacific|Equity|Leveraged Equities||FXP|6|3.ASSET|Equity|23.9|0.96|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 4.01%| Emerging Asia Pacific|Equity|Leveraged Equities||FXP|6|4.ASSET|Equity|23.9|0.94|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.95%| North America|Equity|Materials|Materials|JHMA|6|1.ASSET|Equity|17.6|1.03|NUE| Nucor Corporation| 5.86%| North America|Equity|Materials|Materials|JHMA|6|2.ASSET|Equity|17.6|0.93|DD| DuPont de Nemours, Inc.| 5.29%| North America|Equity|Materials|Materials|JHMA|6|3.ASSET|Equity|17.6|0.92|LYB| LyondellBasell Industries NV| 5.20%| North America|Equity|Materials|Materials|JHMA|6|4.ASSET|Equity|17.6|0.91|LIN| Linde plc| 5.18%| North America|Equity|Materials|Materials|JHMA|6|5.ASSET|Equity|17.6|0.89|PPG| PPG Industries, Inc.| 5.06%| North America|Equity|Materials|Materials|JHMA|6|6.ASSET|Equity|17.6|0.61|FCX| Freeport-McMoRan, Inc.| 3.49%| North America|Equity|Materials|Materials|JHMA|6|7.ASSET|Equity|17.6|0.59|NEM| Newmont Corporation| 3.35%| North America|Equity|Materials|Materials|JHMA|6|8.ASSET|Equity|17.6|0.58|IFF| International Flavors & Fragrances Inc.| 3.30%| North America|Equity|Materials|Materials|JHMA|6|9.ASSET|Equity|17.6|0.56|DOW| Dow, Inc.| 3.21%| North America|Equity|Materials|Materials|JHMA|6|10.ASSET|Equity|17.6|0.56|SHW| Sherwin-Williams Company| 3.21%| North America|Equity|Materials|Materials|JHMA|6|11.ASSET|Equity|17.6|0.53|BLL| Ball Corporation| 3.00%| North America|Equity|Materials|Materials|JHMA|6|12.ASSET|Equity|17.6|0.44|APD| Air Products and Chemicals, Inc.| 2.50%| North America|Equity|Materials|Materials|JHMA|6|13.ASSET|Equity|17.6|0.43|CF| CF Industries Holdings, Inc.| 2.43%| North America|Equity|Materials|Materials|JHMA|6|14.ASSET|Equity|17.6|0.42|STLD| Steel Dynamics, Inc.| 2.37%| North America|Equity|Materials|Materials|JHMA|6|15.ASSET|Equity|17.6|0.41|VMC| Vulcan Materials Company| 2.31%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|1.ASSET|Multi-Asset|24.1|2.79|RPG| Invesco S&P 500 Pure Growth ETF| 11.56%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|2.ASSET|Multi-Asset|24.1|2.67|IUS| Invesco RAFI Strategic US ETF| 11.09%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|3.ASSET|Multi-Asset|24.1|2.31|OMFL| Invesco Russell 1000 Dynamic Multifactor ETF| 9.57%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|4.ASSET|Multi-Asset|24.1|1.76|ISDX| Invesco RAFI Strategic Developed ex-US ETF| 7.32%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|5.ASSET|Multi-Asset|24.1|1.69|IUSS| Invesco RAFI Strategic US Small Company ETF| 7.02%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|6.ASSET|Multi-Asset|24.1|1.65|IDLV| Invesco S&P International Developed Low Volatility ETF| 6.85%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|7.ASSET|Multi-Asset|24.1|1.48|PLW| Invesco 1-30 Laddered Treasury ETF| 6.16%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|8.ASSET|Multi-Asset|24.1|1.46|SPLV| Invesco S&P 500 Low Volatility ETF| 6.05%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|9.ASSET|Multi-Asset|24.1|1.45|XMLV| Invesco S&P MidCap Low Volatility ETF| 6.03%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|10.ASSET|Multi-Asset|24.1|1.44|XSLV| Invesco S&P SmallCap Low Volatility ETF| 5.97%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|11.ASSET|Multi-Asset|24.1|1.22|BAB| Invesco Taxable Municipal Bond ETF| 5.08%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|12.ASSET|Multi-Asset|24.1|1.08|EELV| Invesco S&P Emerging Markets Low Volatility ETF| 4.49%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|13.ASSET|Multi-Asset|24.1|0.9|ISEM| Invesco RAFI Strategic Emerging Markets ETF| 3.73%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|14.ASSET|Multi-Asset|24.1|0.49|PBTP| Invesco PureBeta 0-5 Yr US TIPS ETF| 2.04%| Developed Markets|Multi-Asset|Diversified Portfolio||PSMG|6|15.ASSET|Multi-Asset|24.1|0.48|BKLN| Invesco Senior Loan ETF| 2.01%| North America|Equity|n/a||TPHE|6|1.ASSET|Equity|54.8|0.95|MKC| McCormick & Company, Incorporated| 1.73%| North America|Equity|n/a||TPHE|6|2.ASSET|Equity|54.8|0.89|ED| Consolidated Edison, Inc.| 1.63%| North America|Equity|n/a||TPHE|6|3.ASSET|Equity|54.8|0.85|COST| Costco Wholesale Corporation| 1.56%| North America|Equity|n/a||TPHE|6|4.ASSET|Equity|54.8|0.84|SO| Southern Company| 1.54%| North America|Equity|n/a||TPHE|6|5.ASSET|Equity|54.8|0.82|GD| General Dynamics Corporation| 1.50%| North America|Equity|n/a||TPHE|6|6.ASSET|Equity|54.8|0.82|AEP| American Electric Power Company, Inc.| 1.49%| North America|Equity|n/a||TPHE|6|7.ASSET|Equity|54.8|0.82|ATO| Atmos Energy Corporation| 1.49%| North America|Equity|n/a||TPHE|6|8.ASSET|Equity|54.8|0.79|D| Dominion Energy Inc| 1.44%| North America|Equity|n/a||TPHE|6|9.ASSET|Equity|54.8|0.79|WM| Waste Management, Inc.| 1.44%| North America|Equity|n/a||TPHE|6|10.ASSET|Equity|54.8|0.77|DTE| DTE Energy Company| 1.40%| North America|Equity|n/a||TPHE|6|11.ASSET|Equity|54.8|0.76|CMS| CMS Energy Corporation| 1.39%| North America|Equity|n/a||TPHE|6|12.ASSET|Equity|54.8|0.73|PEG| Public Service Enterprise Group Inc| 1.34%| North America|Equity|n/a||TPHE|6|13.ASSET|Equity|54.8|0.73|ITW| Illinois Tool Works Inc.| 1.34%| North America|Equity|n/a||TPHE|6|14.ASSET|Equity|54.8|0.73|AEE| Ameren Corporation| 1.33%| North America|Equity|n/a||TPHE|6|15.ASSET|Equity|54.8|0.72|FE| FirstEnergy Corp.| 1.32%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|1.ASSET|Equity|16.4|0.05|BHP| BHP Group Ltd| 0.28%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|2.ASSET|Equity|16.4|0.04|STO| Santos Limited| 0.27%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|3.ASSET|Equity|16.4|0.04|AEM| Agnico Eagle Mines Limited| 0.24%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|4.ASSET|Equity|16.4|0.04|4732| USS Co., Ltd.| 0.24%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|5.ASSET|Equity|16.4|0.03|1878| Daito Trust Construction Co., Ltd.| 0.20%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|6.ASSET|Equity|16.4|0.03|2| CLP Holdings Limited| 0.18%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|7.ASSET|Equity|16.4|0.03|3382| Seven & I Holdings Co., Ltd.| 0.18%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|8.ASSET|Equity|16.4|0.03|4581| Taisho Pharmaceutical Holdings Co., Ltd.| 0.18%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|9.ASSET|Equity|16.4|0.03|6758| Sony Group Corporation| 0.18%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|10.ASSET|Equity|16.4|0.03|5713| Sumitomo Metal Mining Co., Ltd.| 0.18%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|11.ASSET|Equity|16.4|0.03|AM| Dassault Aviation SA| 0.18%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|12.ASSET|Equity|16.4|0.03|S32| South32 Ltd.| 0.17%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|13.ASSET|Equity|16.4|0.03|6| Power Assets Holdings Limited| 0.17%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|14.ASSET|Equity|16.4|0.03|9101| Nippon Yusen Kabushiki Kaisha| 0.17%| Developed Markets|Equity|Foreign Large Cap Equities||ISZE|6|15.ASSET|Equity|16.4|0.03|1812| Kajima Corporation| 0.17%| |Commodity|Agricultural Commodities||BAL|6|1.ASSET|Commodity|40.9|40.9|N/A| Cotton| 100.00%| Developed Markets|Alternatives|Hedge Fund||QED|6|1.ASSET|Alternatives|10.1|3.7|VCSH| Vanguard Short-Term Corporate Bond ETF| 36.63%| Developed Markets|Alternatives|Hedge Fund||QED|6|2.ASSET|Alternatives|10.1|1.49|SRLN| SPDR Blackstone Senior Loan ETF| 14.75%| Developed Markets|Alternatives|Hedge Fund||QED|6|3.ASSET|Alternatives|10.1|1.31|CWB| SPDR Bloomberg Convertible Securities ETF| 13.00%| Developed Markets|Alternatives|Hedge Fund||QED|6|4.ASSET|Alternatives|10.1|0.91|BKLN| Invesco Senior Loan ETF| 8.97%| Developed Markets|Alternatives|Hedge Fund||QED|6|5.ASSET|Alternatives|10.1|0.7|SPSB| SPDR Portfolio Short Term Corporate Bond ETF| 6.90%| Developed Markets|Alternatives|Hedge Fund||QED|6|6.ASSET|Alternatives|10.1|0.54|PFF| iShares Preferred & Income Securities ETF| 5.32%| Developed Markets|Alternatives|Hedge Fund||QED|6|7.ASSET|Alternatives|10.1|0.42|VBK| Vanguard Small-Cap Growth ETF| 4.15%| Developed Markets|Alternatives|Hedge Fund||QED|6|8.ASSET|Alternatives|10.1|0.34|ICVT| iShares Convertible Bond ETF| 3.34%| Developed Markets|Alternatives|Hedge Fund||QED|6|9.ASSET|Alternatives|10.1|0.3|IWO| iShares Russell 2000 Growth ETF| 3.00%| Developed Markets|Alternatives|Hedge Fund||QED|6|10.ASSET|Alternatives|10.1|0.2|PGX| Invesco Preferred ETF| 1.96%| Developed Markets|Alternatives|Hedge Fund||QED|6|11.ASSET|Alternatives|10.1|0.17|IJT| iShares S&P Small-Cap 600 Growth ETF| 1.66%| Developed Markets|Alternatives|Hedge Fund||QED|6|12.ASSET|Alternatives|10.1|0.03|DSVXX| Dreyfus Institutional Reserves Money Fund Institutional| 0.27%| Developed Markets|Alternatives|Hedge Fund||QED|6|13.ASSET|Alternatives|10.1|0.01|ULTR| IQ Ultra Short Duration ETF| 0.06%| Developed Markets|Alternatives|Hedge Fund||QED|6|14.ASSET|Alternatives|10.1|0|N/A| DERIVATIVE SECURITIES (OTHER)| 0.00%| Developed Markets|Alternatives|Hedge Fund||QED|6|15.ASSET|Alternatives|10.1|0|CLTL| Invesco Treasury Collateral ETF| 0.00%| Global|Equity|Financials Equities|Energy|KWT|6|1.ASSET|Equity|20.6|4.19|NBK| National Bank of Kuwait K.S.C.| 20.32%| Global|Equity|Financials Equities|Energy|KWT|6|2.ASSET|Equity|20.6|3.23|KFH| Kuwait Finance House K.S.C.| 15.69%| Global|Equity|Financials Equities|Energy|KWT|6|3.ASSET|Equity|20.6|1.03|AUB| Ahli United Bank BSC| 5.00%| Global|Equity|Financials Equities|Energy|KWT|6|4.ASSET|Equity|20.6|0.83|AGLTY| Agility Public Warehousing Co. K.S.C.| 4.03%| Global|Equity|Financials Equities|Energy|KWT|6|5.ASSET|Equity|20.6|0.82|ZAIN| Mobile Telecommunications Co. KSC| 3.98%| Global|Equity|Financials Equities|Energy|KWT|6|6.ASSET|Equity|20.6|0.65|GBK| Gulf Bank K.S.C.| 3.16%| Global|Equity|Financials Equities|Energy|KWT|6|7.ASSET|Equity|20.6|0.63|MABANEE| Mabanee Company (SAKC)| 3.06%| Global|Equity|Financials Equities|Energy|KWT|6|8.ASSET|Equity|20.6|0.48|NIND| National Industries Group (Holding) SAK| 2.32%| Global|Equity|Financials Equities|Energy|KWT|6|9.ASSET|Equity|20.6|0.45|HUMANSOFT| Human Soft Holding Co. KSCC| 2.20%| Global|Equity|Financials Equities|Energy|KWT|6|10.ASSET|Equity|20.6|0.44|WARBABANK| Warba Bank KSC| 2.12%| Global|Equity|Financials Equities|Energy|KWT|6|11.ASSET|Equity|20.6|0.42|BURG| Burgan Bank| 2.02%| Global|Equity|Financials Equities|Energy|KWT|6|12.ASSET|Equity|20.6|0.4|CABLE| Gulf Cable & Electrical Industries Co. KSC| 1.94%| Global|Equity|Financials Equities|Energy|KWT|6|13.ASSET|Equity|20.6|0.4|KPROJ| Kuwait Projects Company Holding (K.S.C.P.)| 1.92%| Global|Equity|Financials Equities|Energy|KWT|6|14.ASSET|Equity|20.6|0.39|BOURSA| Boursa Kuwait Securities Company (K.P.S.C)| 1.90%| Global|Equity|Financials Equities|Energy|KWT|6|15.ASSET|Equity|20.6|0.38|BPCC| Boubyan Petrochemical Co. (K.S.C.)| 1.83%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|1.ASSET|Equity|18.1|0.34|BATS| British American Tobacco p.l.c.| 1.89%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|2.ASSET|Equity|18.1|0.29|DLG| Direct Line Insurance Group Plc| 1.58%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|3.ASSET|Equity|18.1|0.29|ORA| Orange SA| 1.58%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|4.ASSET|Equity|18.1|0.28|6823| HKT Trust and HKT Ltd| 1.57%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|5.ASSET|Equity|18.1|0.28|SPK| Spark New Zealand Limited| 1.56%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|6.ASSET|Equity|18.1|0.27|G| Assicurazioni Generali S.p.A.| 1.51%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|7.ASSET|Equity|18.1|0.27|US| UnipolSai Assicurazioni S.p.A.| 1.47%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|8.ASSET|Equity|18.1|0.26|T82U| Suntec Real Estate Investment Trust| 1.41%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|9.ASSET|Equity|18.1|0.26|C38U| CapitaLand Integrated Commercial Trust| 1.41%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|10.ASSET|Equity|18.1|0.25|9434| SoftBank Corp.| 1.37%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|11.ASSET|Equity|18.1|0.25|4502| Takeda Pharmaceutical Co. Ltd.| 1.37%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|12.ASSET|Equity|18.1|0.25|PHNX| Phoenix Group Holdings plc| 1.37%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|13.ASSET|Equity|18.1|0.25|TEL| Telenor ASA| 1.36%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|14.ASSET|Equity|18.1|0.24|6| Power Assets Holdings Limited| 1.33%| Developed Markets|Equity|Volatility Hedged Equity||IDHD|6|15.ASSET|Equity|18.1|0.23|WBC| Westpac Banking Corporation| 1.27%| North America|Bond|Government Bonds|Treasuries|IBTI|6|1.ASSET|Bond|18.4|2.48|N/A| United States Treasury Notes 3.125% 15-NOV-2028| 13.46%| North America|Bond|Government Bonds|Treasuries|IBTI|6|2.ASSET|Bond|18.4|1.94|N/A| United States Treasury Notes 2.875% 15-MAY-2028| 10.53%| North America|Bond|Government Bonds|Treasuries|IBTI|6|3.ASSET|Bond|18.4|1.76|N/A| United States Treasury Notes 1.125% 29-FEB-2028| 9.54%| North America|Bond|Government Bonds|Treasuries|IBTI|6|4.ASSET|Bond|18.4|1.74|N/A| United States Treasury Notes 1.5% 30-NOV-2028| 9.45%| North America|Bond|Government Bonds|Treasuries|IBTI|6|5.ASSET|Bond|18.4|1.65|N/A| United States Treasury Notes 2.75% 15-FEB-2028| 8.96%| North America|Bond|Government Bonds|Treasuries|IBTI|6|6.ASSET|Bond|18.4|1.64|N/A| United States Treasury Notes 2.875% 15-AUG-2028| 8.89%| North America|Bond|Government Bonds|Treasuries|IBTI|6|7.ASSET|Bond|18.4|1.56|N/A| United States Treasury Notes 1.125% 31-AUG-2028| 8.48%| North America|Bond|Government Bonds|Treasuries|IBTI|6|8.ASSET|Bond|18.4|1.49|N/A| United States Treasury Notes 1.25% 30-JUN-2028| 8.10%| North America|Bond|Government Bonds|Treasuries|IBTI|6|9.ASSET|Bond|18.4|1.45|N/A| United States Treasury Notes 1.0% 31-JUL-2028| 7.86%| North America|Bond|Government Bonds|Treasuries|IBTI|6|10.ASSET|Bond|18.4|1.07|N/A| United States Treasury Notes 1.375% 31-OCT-2028| 5.81%| North America|Bond|Government Bonds|Treasuries|IBTI|6|11.ASSET|Bond|18.4|0.94|N/A| United States Treasury Notes 0.75% 31-JAN-2028| 5.12%| North America|Bond|Government Bonds|Treasuries|IBTI|6|12.ASSET|Bond|18.4|0.54|N/A| United States Treasury Notes 1.25% 30-SEP-2028| 2.94%| North America|Bond|Government Bonds|Treasuries|IBTI|6|13.ASSET|Bond|18.4|0.09|N/A| United States Treasury Notes 1.25% 31-MAR-2028| 0.47%| North America|Bond|Government Bonds|Treasuries|IBTI|6|14.ASSET|Bond|18.4|0.07|N/A| MUTUAL FUND (OTHER)| 0.38%| North America|Bond|Government Bonds|Treasuries|IBTI|6|15.ASSET|Bond|18.4|0|N/A| U.S. Dollar| 0.02%| North America|Equity|Large Cap Growth Equities||QRFT|6|1.ASSET|Equity|18.6|0.65|MSFT| Microsoft Corporation| 3.51%| North America|Equity|Large Cap Growth Equities||QRFT|6|2.ASSET|Equity|18.6|0.59|AAPL| Apple Inc.| 3.15%| North America|Equity|Large Cap Growth Equities||QRFT|6|3.ASSET|Equity|18.6|0.42|COST| Costco Wholesale Corporation| 2.28%| North America|Equity|Large Cap Growth Equities||QRFT|6|4.ASSET|Equity|18.6|0.36|GOOGL| Alphabet Inc. Class A| 1.91%| North America|Equity|Large Cap Growth Equities||QRFT|6|5.ASSET|Equity|18.6|0.33|AMZN| Amazon.com, Inc.| 1.78%| North America|Equity|Large Cap Growth Equities||QRFT|6|6.ASSET|Equity|18.6|0.31|LULU| Lululemon Athletica Inc| 1.68%| North America|Equity|Large Cap Growth Equities||QRFT|6|7.ASSET|Equity|18.6|0.29|UNH| UnitedHealth Group Incorporated| 1.56%| North America|Equity|Large Cap Growth Equities||QRFT|6|8.ASSET|Equity|18.6|0.28|POOL| Pool Corporation| 1.53%| North America|Equity|Large Cap Growth Equities||QRFT|6|9.ASSET|Equity|18.6|0.28|BAH| Booz Allen Hamilton Holding Corporation Class A| 1.52%| North America|Equity|Large Cap Growth Equities||QRFT|6|10.ASSET|Equity|18.6|0.27|ORLY| O\'Reilly Automotive, Inc.| 1.44%| North America|Equity|Large Cap Growth Equities||QRFT|6|11.ASSET|Equity|18.6|0.24|SPGI| S&P Global, Inc.| 1.31%| North America|Equity|Large Cap Growth Equities||QRFT|6|12.ASSET|Equity|18.6|0.23|MKTX| MarketAxess Holdings Inc.| 1.25%| North America|Equity|Large Cap Growth Equities||QRFT|6|13.ASSET|Equity|18.6|0.23|FDS| FactSet Research Systems Inc.| 1.24%| North America|Equity|Large Cap Growth Equities||QRFT|6|14.ASSET|Equity|18.6|0.23|PAYX| Paychex, Inc.| 1.23%| North America|Equity|Large Cap Growth Equities||QRFT|6|15.ASSET|Equity|18.6|0.2|RMD| ResMed Inc.| 1.10%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|1.ASSET|Equity|21.4|2.16|CCI| Crown Castle International Corp| 10.10%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|2.ASSET|Equity|21.4|1.65|SBAC| SBA Communications Corp. Class A| 7.69%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|3.ASSET|Equity|21.4|1.64|PLD| Prologis, Inc.| 7.67%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|4.ASSET|Equity|21.4|1.5|DLR| Digital Realty Trust, Inc.| 7.00%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|5.ASSET|Equity|21.4|1.11|DRE| Duke Realty Corporation| 5.19%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|6.ASSET|Equity|21.4|1.1|WELL| Welltower, Inc.| 5.15%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|7.ASSET|Equity|21.4|0.7|UDR| UDR, Inc.| 3.28%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|8.ASSET|Equity|21.4|0.68|MAA| Mid-America Apartment Communities, Inc.| 3.20%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|9.ASSET|Equity|21.4|0.67|CUBE| CubeSmart| 3.11%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|10.ASSET|Equity|21.4|0.64|EXR| Extra Space Storage Inc.| 3.00%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|11.ASSET|Equity|21.4|0.62|VTR| Ventas, Inc.| 2.92%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|12.ASSET|Equity|21.4|0.62|EQIX| Equinix, Inc.| 2.89%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|13.ASSET|Equity|21.4|0.62|CBRE| CBRE Group, Inc. Class A| 2.89%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|14.ASSET|Equity|21.4|0.61|ELS| Equity LifeStyle Properties, Inc.| 2.83%| Global|Equity|Global Real Estate|Real Estate|FPRO|6|15.ASSET|Equity|21.4|0.49|SUI| Sun Communities, Inc.| 2.27%| |Commodity|Metals||JJT|6|1.ASSET|Commodity|45.5|45.5|N/A| Tin| 100.00%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|1.ASSET|Equity|16.3|0.83|FOXA| Fox Corporation Class A| 5.09%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|2.ASSET|Equity|16.3|0.8|DIS| Walt Disney Company| 4.88%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|3.ASSET|Equity|16.3|0.75|CMCSA| Comcast Corporation Class A| 4.61%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|4.ASSET|Equity|16.3|0.71|PARA| Paramount Global Class B| 4.35%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|5.ASSET|Equity|16.3|0.69|CHTR| Charter Communications, Inc. Class A| 4.21%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|6.ASSET|Equity|16.3|0.66|NFLX| Netflix, Inc.| 4.07%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|7.ASSET|Equity|16.3|0.66|ATVI| Activision Blizzard, Inc.| 4.05%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|8.ASSET|Equity|16.3|0.59|EA| Electronic Arts Inc.| 3.65%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|9.ASSET|Equity|16.3|0.57|NXST| Nexstar Media Group, Inc. Class A| 3.49%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|10.ASSET|Equity|16.3|0.54|LBRDK| Liberty Broadband Corp. Class C| 3.30%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|11.ASSET|Equity|16.3|0.51|DISCK| Discovery, Inc. Class C| 3.13%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|12.ASSET|Equity|16.3|0.43|FOX| Fox Corporation Class B| 2.62%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|13.ASSET|Equity|16.3|0.42|TWTR| Twitter, Inc.| 2.57%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|14.ASSET|Equity|16.3|0.4|ROKU| Roku, Inc. Class A| 2.46%| North America|Equity|All Cap Equities|Consumer Discretionary|IEME|6|15.ASSET|Equity|16.3|0.39|HAS| Hasbro, Inc.| 2.42%| North America|Equity|Volatility Hedged Equity||AUGZ|6|1.ASSET|Equity|17.4|17.46|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 100.35%| North America|Equity|Volatility Hedged Equity||AUGZ|6|2.ASSET|Equity|17.4|0.03|FXFXX| First American Funds Inc X Treasury Obligations Fund| 0.17%| North America|Equity|Volatility Hedged Equity||AUGZ|6|3.ASSET|Equity|17.4|-0.01|N/A| U.S. Dollar| -0.06%| North America|Equity|Volatility Hedged Equity||AUGZ|6|4.ASSET|Equity|17.4|-0.08|N/A| OPTIONS| -0.45%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|1.ASSET|Bond|27.5|1.13|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 4.11%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|2.ASSET|Bond|27.5|0.85|DHR.PRB| Danaher Corporation 5 % Cum Conv Pfd Registered Shs 2020-15.05.23 Class B| 3.09%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|3.ASSET|Bond|27.5|0.83|N/A| EQUITY OTHER| 3.03%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|4.ASSET|Bond|27.5|0.76|N/A| Pioneer Natural Resources Company 0.25% 15-MAY-2025| 2.78%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|5.ASSET|Bond|27.5|0.76|N/A| FIXED INCOME (UNCLASSFIED)| 2.77%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|6.ASSET|Bond|27.5|0.75|AVGOP| Broadcom Inc 8.00 % Cum Conv Pfd Registered Shs 2019-30.09.22 Series A| 2.73%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|7.ASSET|Bond|27.5|0.6|N/A| Anthem, Inc. 2.75% 15-OCT-2042| 2.17%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|8.ASSET|Bond|27.5|0.59|N/A| Palo Alto Networks, Inc. 0.375% 01-JUN-2025| 2.15%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|9.ASSET|Bond|27.5|0.58|N/A| Akamai Technologies, Inc. 0.375% 01-SEP-2027| 2.11%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|10.ASSET|Bond|27.5|0.45|N/A| Liberty Broadband Corp. 2.75% 30-SEP-2050| 1.64%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|11.ASSET|Bond|27.5|0.43|KKR.PRC| KKR & Co. Inc. 6 % Conv Cum Red Pfd Registered Shs 2020-15.09.23 Series C| 1.58%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|12.ASSET|Bond|27.5|0.4|N/A| Insulet Corporation 0.375% 01-SEP-2026| 1.45%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|13.ASSET|Bond|27.5|0.39|AVTR.PRA| Avantor, Inc. Cum Conv Pfd Registered Shs Series A| 1.41%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|14.ASSET|Bond|27.5|0.38|BDXB| Becton, Dickinson and Company Depositary Shs Repr 1/20th Cum Conv Pfd Rg Shs 2020-01.06.23 Ser B| 1.38%| North America|Bond|Preferred Stock/Convertible Bonds|Convertible|QCON|6|15.ASSET|Bond|27.5|0.38|BGEPF| Bunge Ltd 4 7/8 % Cum Conv Perp Pref Shs| 1.37%| North America|Equity|Volatility Hedged Equity||BNOV|6|1.ASSET|Equity|75.8|75.41|N/A| OPTIONS| 99.48%| North America|Equity|Volatility Hedged Equity||BNOV|6|2.ASSET|Equity|75.8|75.4|N/A| OPTIONS| 99.47%| North America|Equity|Volatility Hedged Equity||BNOV|6|3.ASSET|Equity|75.8|0.4|N/A| U.S. Dollar| 0.53%| North America|Equity|Volatility Hedged Equity||BNOV|6|4.ASSET|Equity|75.8|0.39|N/A| U.S. Dollar| 0.52%| Developed Markets|Equity|n/a||YJUN|6|1.ASSET|Equity|14.4|14.3|N/A| OPTIONS| 99.30%| Developed Markets|Equity|n/a||YJUN|6|2.ASSET|Equity|14.4|0.1|N/A| U.S. Dollar| 0.70%| Global|Equity|n/a||HYDR|6|1.ASSET|Equity|27.8|4.41|BE| Bloom Energy Corporation Class A| 15.87%| Global|Equity|n/a||HYDR|6|2.ASSET|Equity|27.8|3.37|PLUG| Plug Power Inc.| 12.13%| Global|Equity|n/a||HYDR|6|3.ASSET|Equity|27.8|2.94|BLDP| Ballard Power Systems Inc.| 10.56%| Global|Equity|n/a||HYDR|6|4.ASSET|Equity|27.8|2.62|FCEL| FuelCell Energy, Inc.| 9.42%| Global|Equity|n/a||HYDR|6|5.ASSET|Equity|27.8|1.69|NEL| NEL ASA| 6.09%| Global|Equity|n/a||HYDR|6|6.ASSET|Equity|27.8|1.47|PCELL| PowerCell Sweden AB| 5.28%| Global|Equity|n/a||HYDR|6|7.ASSET|Equity|27.8|1.29|MCPHY| McPhy Energy SA| 4.64%| Global|Equity|n/a||HYDR|6|8.ASSET|Equity|27.8|1.24|336260| Doosan Fuel Cell Co., Ltd.| 4.46%| Global|Equity|n/a||HYDR|6|9.ASSET|Equity|27.8|1.15|AFC| AFC Energy plc| 4.15%| Global|Equity|n/a||HYDR|6|10.ASSET|Equity|27.8|1.11|ITM| ITM Power PLC| 4.01%| Global|Equity|n/a||HYDR|6|11.ASSET|Equity|27.8|0.95|CWR| Ceres Power Holdings plc| 3.42%| Global|Equity|n/a||HYDR|6|12.ASSET|Equity|27.8|0.92|XBC| Xebec Adsorption Inc.| 3.30%| Global|Equity|n/a||HYDR|6|13.ASSET|Equity|27.8|0.71|7203| Toyota Motor Corp.| 2.56%| Global|Equity|n/a||HYDR|6|14.ASSET|Equity|27.8|0.7|CI.B| Cell Impact AB| 2.50%| Global|Equity|n/a||HYDR|6|15.ASSET|Equity|27.8|0.66|LIN| Linde plc| 2.38%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|1.ASSET|Equity|16.4|0.32|8035| Tokyo Electron Ltd.| 1.96%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|2.ASSET|Equity|16.4|0.27|8306| Mitsubishi UFJ Financial Group, Inc.| 1.67%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|3.ASSET|Equity|16.4|0.27|6758| Sony Group Corporation| 1.65%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|4.ASSET|Equity|16.4|0.27|7203| Toyota Motor Corp.| 1.64%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|5.ASSET|Equity|16.4|0.27|9432| Nippon Telegraph and Telephone Corporation| 1.63%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|6.ASSET|Equity|16.4|0.26|8058| Mitsubishi Corporation| 1.57%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|7.ASSET|Equity|16.4|0.25|7741| HOYA CORPORATION| 1.50%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|8.ASSET|Equity|16.4|0.24|8316| Sumitomo Mitsui Financial Group, Inc.| 1.49%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|9.ASSET|Equity|16.4|0.24|6098| Recruit Holdings Co., Ltd.| 1.48%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|10.ASSET|Equity|16.4|0.24|9433| KDDI Corporation| 1.44%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|11.ASSET|Equity|16.4|0.23|7267| Honda Motor Co., Ltd.| 1.43%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|12.ASSET|Equity|16.4|0.23|7974| Nintendo Co., Ltd.| 1.42%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|13.ASSET|Equity|16.4|0.23|8001| Itochu Corporation| 1.40%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|14.ASSET|Equity|16.4|0.23|6367| DAIKIN INDUSTRIES, LTD.| 1.40%| Developed Asia Pacific|Equity|Japan Equities||JPN|6|15.ASSET|Equity|16.4|0.23|4063| Shin-Etsu Chemical Co Ltd| 1.39%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRV|6|1.ASSET|Real Estate|27|14.79|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 54.76%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRV|6|2.ASSET|Real Estate|27|7.79|N/A| U.S. Dollar| 28.87%| North America|Real Estate|Leveraged Real Estate|Real Estate|DRV|6|3.ASSET|Real Estate|27|4.42|DGCXX| Dreyfus Government Cash Management Funds Institutional| 16.37%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|1.ASSET|Bond|20.2|0.33|N/A| New York St Dorm Auth Sales Tax Rev St Supporteddebt 5.0% 15-MAR-2039| 1.65%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|2.ASSET|Bond|20.2|0.33|N/A| New York St Dorm Auth Sales Tax Rev St Supporteddebt 5.0% 15-MAR-2039| 1.65%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|3.ASSET|Bond|20.2|0.3|N/A| New York St Dorm Auth Sales Tax Rev St Supporteddebt 5.0% 15-MAR-2038| 1.48%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|4.ASSET|Bond|20.2|0.3|N/A| New York St Dorm Auth Sales Tax Rev St Supporteddebt 5.0% 15-MAR-2038| 1.48%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|5.ASSET|Bond|20.2|0.3|N/A| Texas Mun Gas Acquisition & Supply Corp Iii Gassupply Rev 5.0% 15-DEC-2028| 1.47%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|6.ASSET|Bond|20.2|0.3|N/A| Texas Mun Gas Acquisition & Supply Corp Iii Gassupply Rev 5.0% 15-DEC-2028| 1.47%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|7.ASSET|Bond|20.2|0.29|N/A| Illinois St Toll Hwy Auth Toll Highway Rev 5.0% 01-JAN-2039| 1.46%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|8.ASSET|Bond|20.2|0.29|N/A| Illinois St Toll Hwy Auth Toll Highway Rev 5.0% 01-JAN-2039| 1.46%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|9.ASSET|Bond|20.2|0.28|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-OCT-2038| 1.41%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|10.ASSET|Bond|20.2|0.28|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-OCT-2038| 1.41%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|11.ASSET|Bond|20.2|0.26|N/A| Connecticut St 4.0% 15-JAN-2028| 1.31%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|12.ASSET|Bond|20.2|0.26|N/A| Connecticut St 4.0% 15-JAN-2028| 1.31%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|13.ASSET|Bond|20.2|0.26|N/A| University Colo Enterprise Sys Rev 4.0% 01-JUN-2038| 1.30%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|14.ASSET|Bond|20.2|0.26|N/A| University Colo Enterprise Sys Rev 4.0% 01-JUN-2038| 1.30%| North America|Bond|National Munis|Target Maturity Date Munis|BSMS|6|15.ASSET|Bond|20.2|0.26|N/A| Massachusetts St 5.0% 01-MAY-2028| 1.27%| Developed Markets|Equity|Global Equities||PLAT|6|1.ASSET|Equity|15.1|1.73|AAPL| Apple Inc.| 11.47%| Developed Markets|Equity|Global Equities||PLAT|6|2.ASSET|Equity|15.1|1.57|MSFT| Microsoft Corporation| 10.43%| Developed Markets|Equity|Global Equities||PLAT|6|3.ASSET|Equity|15.1|1.49|GOOGL| Alphabet Inc. Class A| 9.89%| Developed Markets|Equity|Global Equities||PLAT|6|4.ASSET|Equity|15.1|1.14|AMZN| Amazon.com, Inc.| 7.58%| Developed Markets|Equity|Global Equities||PLAT|6|5.ASSET|Equity|15.1|0.53|FB| Meta Platforms Inc. Class A| 3.54%| Developed Markets|Equity|Global Equities||PLAT|6|6.ASSET|Equity|15.1|0.42|CRM| salesforce.com, inc.| 2.78%| Developed Markets|Equity|Global Equities||PLAT|6|7.ASSET|Equity|15.1|0.38|CARG| CarGurus, Inc. Class A| 2.52%| Developed Markets|Equity|Global Equities||PLAT|6|8.ASSET|Equity|15.1|0.33|ICE| Intercontinental Exchange, Inc.| 2.16%| Developed Markets|Equity|Global Equities||PLAT|6|9.ASSET|Equity|15.1|0.32|SNOW| Snowflake, Inc. Class A| 2.11%| Developed Markets|Equity|Global Equities||PLAT|6|10.ASSET|Equity|15.1|0.3|ABNB| Airbnb, Inc. Class A| 1.98%| Developed Markets|Equity|Global Equities||PLAT|6|11.ASSET|Equity|15.1|0.27|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 1.80%| Developed Markets|Equity|Global Equities||PLAT|6|12.ASSET|Equity|15.1|0.25|MELI| MercadoLibre, Inc.| 1.68%| Developed Markets|Equity|Global Equities||PLAT|6|13.ASSET|Equity|15.1|0.24|PYPL| PayPal Holdings, Inc.| 1.62%| Developed Markets|Equity|Global Equities||PLAT|6|14.ASSET|Equity|15.1|0.23|NDAQ| Nasdaq, Inc.| 1.55%| Developed Markets|Equity|Global Equities||PLAT|6|15.ASSET|Equity|15.1|0.23|ETSY| Etsy, Inc.| 1.54%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|1.ASSET|Multi-Asset|18.6|0.95|GOOGL| Alphabet Inc. Class A| 5.10%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|2.ASSET|Multi-Asset|18.6|0.78|AMZN| Amazon.com, Inc.| 4.18%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|3.ASSET|Multi-Asset|18.6|0.77|COST| Costco Wholesale Corporation| 4.16%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|4.ASSET|Multi-Asset|18.6|0.63|NEE| NextEra Energy, Inc.| 3.41%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|5.ASSET|Multi-Asset|18.6|0.62|ASML| ASML Holding NV ADR| 3.35%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|6.ASSET|Multi-Asset|18.6|0.58|PWR| Quanta Services, Inc.| 3.14%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|7.ASSET|Multi-Asset|18.6|0.57|CRL| Charles River Laboratories International, Inc.| 3.07%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|8.ASSET|Multi-Asset|18.6|0.56|NDAQ| Nasdaq, Inc.| 3.02%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|9.ASSET|Multi-Asset|18.6|0.56|JLL| Jones Lang LaSalle Incorporated| 3.01%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|10.ASSET|Multi-Asset|18.6|0.56|V| Visa Inc. Class A| 3.00%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|11.ASSET|Multi-Asset|18.6|0.55|EOG| EOG Resources, Inc.| 2.96%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|12.ASSET|Multi-Asset|18.6|0.54|JPM| JPMorgan Chase & Co.| 2.92%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|13.ASSET|Multi-Asset|18.6|0.54|MA| Mastercard Incorporated Class A| 2.89%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|14.ASSET|Multi-Asset|18.6|0.49|KLAC| KLA Corporation| 2.65%| North America|Multi-Asset|Diversified Portfolio||OPPX|6|15.ASSET|Multi-Asset|18.6|0.49|AVTR| Avantor, Inc.| 2.62%| Developed Markets|Alternatives|Long-Short||QLS|6|1.ASSET|Alternatives|19.8|2.3|VCIT| Vanguard Intermediate-Term Corporate Bond ETF| 11.62%| Developed Markets|Alternatives|Long-Short||QLS|6|2.ASSET|Alternatives|19.8|2.15|XLF| Financial Select Sector SPDR Fund| 10.88%| Developed Markets|Alternatives|Long-Short||QLS|6|3.ASSET|Alternatives|19.8|1.87|VEA| Vanguard FTSE Developed Markets ETF| 9.45%| Developed Markets|Alternatives|Long-Short||QLS|6|4.ASSET|Alternatives|19.8|1.77|MTUM| iShares MSCI USA Momentum Factor ETF| 8.95%| Developed Markets|Alternatives|Long-Short||QLS|6|5.ASSET|Alternatives|19.8|1.75|LQD| iShares iBoxx $ Investment Grade Corporate Bond ETF| 8.86%| Developed Markets|Alternatives|Long-Short||QLS|6|6.ASSET|Alternatives|19.8|1.74|IEFA| iShares Core MSCI EAFE ETF| 8.80%| Developed Markets|Alternatives|Long-Short||QLS|6|7.ASSET|Alternatives|19.8|1.61|EFG| iShares MSCI EAFE Growth ETF| 8.15%| Developed Markets|Alternatives|Long-Short||QLS|6|8.ASSET|Alternatives|19.8|1.11|SRLN| SPDR Blackstone Senior Loan ETF| 5.61%| Developed Markets|Alternatives|Long-Short||QLS|6|9.ASSET|Alternatives|19.8|0.8|VNQ| Vanguard Real Estate ETF| 4.06%| Developed Markets|Alternatives|Long-Short||QLS|6|10.ASSET|Alternatives|19.8|0.77|VHT| Vanguard Health Care ETF| 3.88%| Developed Markets|Alternatives|Long-Short||QLS|6|11.ASSET|Alternatives|19.8|0.75|XLV| Health Care Select Sector SPDR Fund| 3.79%| Developed Markets|Alternatives|Long-Short||QLS|6|12.ASSET|Alternatives|19.8|0.68|BKLN| Invesco Senior Loan ETF| 3.42%| Developed Markets|Alternatives|Long-Short||QLS|6|13.ASSET|Alternatives|19.8|0.58|XLE| Energy Select Sector SPDR Fund| 2.93%| Developed Markets|Alternatives|Long-Short||QLS|6|14.ASSET|Alternatives|19.8|0.54|VFH| Vanguard Financials ETF| 2.74%| Developed Markets|Alternatives|Long-Short||QLS|6|15.ASSET|Alternatives|19.8|0.33|USIG| iShares Broad USD Investment Grade Corporate Bond ETF| 1.67%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|1.ASSET|Multi-Asset|24.9|4.03|BAB| Invesco Taxable Municipal Bond ETF| 16.17%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|2.ASSET|Multi-Asset|24.9|2.36|VRIG| Invesco Variable Rate Investment Grade ETF| 9.48%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|3.ASSET|Multi-Asset|24.9|2.26|PHB| Invesco Fundamental High Yield Corporate Bond ETF| 9.06%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|4.ASSET|Multi-Asset|24.9|2.03|PLW| Invesco 1-30 Laddered Treasury ETF| 8.14%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|5.ASSET|Multi-Asset|24.9|1.86|IUS| Invesco RAFI Strategic US ETF| 7.48%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|6.ASSET|Multi-Asset|24.9|1.74|RPG| Invesco S&P 500 Pure Growth ETF| 6.99%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|7.ASSET|Multi-Asset|24.9|1.37|OMFL| Invesco Russell 1000 Dynamic Multifactor ETF| 5.51%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|8.ASSET|Multi-Asset|24.9|1.26|PBTP| Invesco PureBeta 0-5 Yr US TIPS ETF| 5.08%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|9.ASSET|Multi-Asset|24.9|1.12|BKLN| Invesco Senior Loan ETF| 4.50%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|10.ASSET|Multi-Asset|24.9|0.84|ISDX| Invesco RAFI Strategic Developed ex-US ETF| 3.39%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|11.ASSET|Multi-Asset|24.9|0.75|PGX| Invesco Preferred ETF| 3.03%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|12.ASSET|Multi-Asset|24.9|0.75|SPLV| Invesco S&P 500 Low Volatility ETF| 3.00%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|13.ASSET|Multi-Asset|24.9|0.73|IDLV| Invesco S&P International Developed Low Volatility ETF| 2.92%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|14.ASSET|Multi-Asset|24.9|0.63|IIGD| Invesco Investment Grade Defensive ETF| 2.52%| North America|Multi-Asset|Diversified Portfolio||PSMM|6|15.ASSET|Multi-Asset|24.9|0.62|IUSS| Invesco RAFI Strategic US Small Company ETF| 2.49%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|1.ASSET|Bond|19.9|0.7|N/A| Washington D C Met Area Tran Auth Gross Rev 5.0% 01-JUL-2035| 3.54%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|2.ASSET|Bond|19.9|0.7|N/A| Washington D C Met Area Tran Auth Gross Rev 5.0% 01-JUL-2035| 3.54%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|3.ASSET|Bond|19.9|0.64|N/A| Georgia St 5.0% 01-JAN-2027| 3.20%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|4.ASSET|Bond|19.9|0.64|N/A| Georgia St 5.0% 01-JAN-2027| 3.20%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|5.ASSET|Bond|19.9|0.54|N/A| Massachusetts St Dev Fin Agy Rev 5.0% 01-JUL-2027| 2.69%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|6.ASSET|Bond|19.9|0.54|N/A| Massachusetts St Dev Fin Agy Rev 5.0% 01-JUL-2027| 2.69%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|7.ASSET|Bond|19.9|0.52|N/A| Hudson Yds Infrastructure Corp N Y Second Indenture Rev 5.0% 15-FEB-2042| 2.61%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|8.ASSET|Bond|19.9|0.52|N/A| Hudson Yds Infrastructure Corp N Y Second Indenture Rev 5.0% 15-FEB-2042| 2.61%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|9.ASSET|Bond|19.9|0.52|N/A| Illinois St 5.0% 01-NOV-2027| 2.61%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|10.ASSET|Bond|19.9|0.52|N/A| Illinois St 5.0% 01-NOV-2027| 2.61%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|11.ASSET|Bond|19.9|0.4|N/A| California St 3.0% 01-MAR-2027| 2.01%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|12.ASSET|Bond|19.9|0.4|N/A| California St 3.0% 01-MAR-2027| 2.01%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|13.ASSET|Bond|19.9|0.35|N/A| Tampa-Hillsborough Cnty Fla Exp Wy Auth Rev 5.0% 01-JUL-2047| 1.78%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|14.ASSET|Bond|19.9|0.35|N/A| Tampa-Hillsborough Cnty Fla Exp Wy Auth Rev 5.0% 01-JUL-2047| 1.78%| North America|Bond|National Munis|Target Maturity Date Munis|BSMR|6|15.ASSET|Bond|19.9|0.35|N/A| Los Angeles Calif Dept Wtr & Pwr Wtrwks Rev 5.0% 01-JUL-2044| 1.75%| North America|Equity|Small Cap Blend Equities||XJR|6|1.ASSET|Equity|24.8|0.97|N/A| U.S. Dollar| 3.93%| North America|Equity|Small Cap Blend Equities||XJR|6|2.ASSET|Equity|24.8|0.16|OMCL| Omnicell, Inc.| 0.63%| North America|Equity|Small Cap Blend Equities||XJR|6|3.ASSET|Equity|24.8|0.14|UFPI| UFP Industries, Inc.| 0.58%| North America|Equity|Small Cap Blend Equities||XJR|6|4.ASSET|Equity|24.8|0.14|GTLS| Chart Industries, Inc.| 0.57%| North America|Equity|Small Cap Blend Equities||XJR|6|5.ASSET|Equity|24.8|0.14|ROG| Rogers Corporation| 0.55%| North America|Equity|Small Cap Blend Equities||XJR|6|6.ASSET|Equity|24.8|0.14|AMN| AMN Healthcare Services, Inc.| 0.55%| North America|Equity|Small Cap Blend Equities||XJR|6|7.ASSET|Equity|24.8|0.13|VG| Vonage Holdings Corp.| 0.54%| North America|Equity|Small Cap Blend Equities||XJR|6|8.ASSET|Equity|24.8|0.13|EXPO| Exponent, Inc.| 0.54%| North America|Equity|Small Cap Blend Equities||XJR|6|9.ASSET|Equity|24.8|0.12|SPSC| SPS Commerce, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||XJR|6|10.ASSET|Equity|24.8|0.12|ABG| Asbury Automotive Group, Inc.| 0.50%| North America|Equity|Small Cap Blend Equities||XJR|6|11.ASSET|Equity|24.8|0.12|MATX| Matson, Inc.| 0.49%| North America|Equity|Small Cap Blend Equities||XJR|6|12.ASSET|Equity|24.8|0.12|IIPR| Innovative Industrial Properties Inc| 0.49%| North America|Equity|Small Cap Blend Equities||XJR|6|13.ASSET|Equity|24.8|0.12|ADC| Agree Realty Corporation| 0.48%| North America|Equity|Small Cap Blend Equities||XJR|6|14.ASSET|Equity|24.8|0.12|BCPC| Balchem Corporation| 0.48%| North America|Equity|Small Cap Blend Equities||XJR|6|15.ASSET|Equity|24.8|0.12|ENSG| Ensign Group, Inc.| 0.47%| North America|Equity|Financials Equities|Financials|SPXZ|6|1.ASSET|Equity|8.1|0.13|N/A| United States Treasury Bills 0.0% 07-OCT-2021| 1.66%| North America|Equity|Financials Equities|Financials|SPXZ|6|2.ASSET|Equity|8.1|0.13|DM| Desktop Metal, Inc. Class A| 1.57%| North America|Equity|Financials Equities|Financials|SPXZ|6|3.ASSET|Equity|8.1|0.13|PRCH| Porch Group, Inc.| 1.57%| North America|Equity|Financials Equities|Financials|SPXZ|6|4.ASSET|Equity|8.1|0.12|N/A| U.S. Dollar| 1.49%| North America|Equity|Financials Equities|Financials|SPXZ|6|5.ASSET|Equity|8.1|0.12|TTCF| Tattooed Chef Inc Class A| 1.43%| North America|Equity|Financials Equities|Financials|SPXZ|6|6.ASSET|Equity|8.1|0.12|BTRS| BTRS Holdings Inc.| 1.43%| North America|Equity|Financials Equities|Financials|SPXZ|6|7.ASSET|Equity|8.1|0.12|VRRM| Verra Mobility Corp. Class A| 1.42%| North America|Equity|Financials Equities|Financials|SPXZ|6|8.ASSET|Equity|8.1|0.12|LAZR| Luminar Technologies, Inc. Class A| 1.42%| North America|Equity|Financials Equities|Financials|SPXZ|6|9.ASSET|Equity|8.1|0.12|NUVB| Nuvation Bio Inc Class A| 1.42%| North America|Equity|Financials Equities|Financials|SPXZ|6|10.ASSET|Equity|8.1|0.11|RSI| Rush Street Interactive, Inc. Class A| 1.40%| North America|Equity|Financials Equities|Financials|SPXZ|6|11.ASSET|Equity|8.1|0.11|GOEV| Canoo Inc. Class A| 1.40%| North America|Equity|Financials Equities|Financials|SPXZ|6|12.ASSET|Equity|8.1|0.11|MGY| Magnolia Oil & Gas Corp. Class A| 1.39%| North America|Equity|Financials Equities|Financials|SPXZ|6|13.ASSET|Equity|8.1|0.11|LPRO| Open Lending Corporation Class A| 1.39%| North America|Equity|Financials Equities|Financials|SPXZ|6|14.ASSET|Equity|8.1|0.11|BFLY| Butterfly Network, Inc. Class A| 1.39%| North America|Equity|Financials Equities|Financials|SPXZ|6|15.ASSET|Equity|8.1|0.11|AHCO| AdaptHealth Corp. Class A| 1.38%| North America|Equity|Small Cap Blend Equities||SQLV|6|1.ASSET|Equity|19.4|0.21|UNM| Unum Group| 1.06%| North America|Equity|Small Cap Blend Equities||SQLV|6|2.ASSET|Equity|19.4|0.17|FBC| Flagstar Bancorp, Inc.| 0.87%| North America|Equity|Small Cap Blend Equities||SQLV|6|3.ASSET|Equity|19.4|0.17|INT| World Fuel Services Corporation| 0.86%| North America|Equity|Small Cap Blend Equities||SQLV|6|4.ASSET|Equity|19.4|0.16|VIRT| Virtu Financial, Inc. Class A| 0.84%| North America|Equity|Small Cap Blend Equities||SQLV|6|5.ASSET|Equity|19.4|0.16|BCC| Boise Cascade Co.| 0.80%| North America|Equity|Small Cap Blend Equities||SQLV|6|6.ASSET|Equity|19.4|0.15|RDN| Radian Group Inc.| 0.76%| North America|Equity|Small Cap Blend Equities||SQLV|6|7.ASSET|Equity|19.4|0.15|XRX| Xerox Holdings Corporation| 0.76%| North America|Equity|Small Cap Blend Equities||SQLV|6|8.ASSET|Equity|19.4|0.14|TGNA| TEGNA, Inc.| 0.74%| North America|Equity|Small Cap Blend Equities||SQLV|6|9.ASSET|Equity|19.4|0.14|HRB| H&R Block, Inc.| 0.74%| North America|Equity|Small Cap Blend Equities||SQLV|6|10.ASSET|Equity|19.4|0.14|PDCE| PDC Energy, Inc.| 0.74%| North America|Equity|Small Cap Blend Equities||SQLV|6|11.ASSET|Equity|19.4|0.14|UMPQ| Umpqua Holdings Corporation| 0.70%| North America|Equity|Small Cap Blend Equities||SQLV|6|12.ASSET|Equity|19.4|0.14|GPI| Group 1 Automotive, Inc.| 0.70%| North America|Equity|Small Cap Blend Equities||SQLV|6|13.ASSET|Equity|19.4|0.14|MATX| Matson, Inc.| 0.70%| North America|Equity|Small Cap Blend Equities||SQLV|6|14.ASSET|Equity|19.4|0.13|APR| Apria, Inc.| 0.69%| North America|Equity|Small Cap Blend Equities||SQLV|6|15.ASSET|Equity|19.4|0.13|ALSN| Allison Transmission Holdings, Inc.| 0.67%| Developed Markets|Alternatives|Long-Short||QMN|6|1.ASSET|Alternatives|15.8|3.47|ULTR| IQ Ultra Short Duration ETF| 21.97%| Developed Markets|Alternatives|Long-Short||QMN|6|2.ASSET|Alternatives|15.8|1.9|SRLN| SPDR Blackstone Senior Loan ETF| 12.01%| Developed Markets|Alternatives|Long-Short||QMN|6|3.ASSET|Alternatives|15.8|1.31|VCIT| Vanguard Intermediate-Term Corporate Bond ETF| 8.28%| Developed Markets|Alternatives|Long-Short||QMN|6|4.ASSET|Alternatives|15.8|1.15|BKLN| Invesco Senior Loan ETF| 7.31%| Developed Markets|Alternatives|Long-Short||QMN|6|5.ASSET|Alternatives|15.8|1.15|FLOT| iShares Floating Rate Bond ETF| 7.28%| Developed Markets|Alternatives|Long-Short||QMN|6|6.ASSET|Alternatives|15.8|1|LQD| iShares iBoxx $ Investment Grade Corporate Bond ETF| 6.31%| Developed Markets|Alternatives|Long-Short||QMN|6|7.ASSET|Alternatives|15.8|0.72|BWX| SPDR Bloomberg International Treasury Bond ETF| 4.55%| Developed Markets|Alternatives|Long-Short||QMN|6|8.ASSET|Alternatives|15.8|0.66|IEI| iShares 3-7 Year Treasury Bond ETF| 4.16%| Developed Markets|Alternatives|Long-Short||QMN|6|9.ASSET|Alternatives|15.8|0.63|VGIT| Vanguard Intermediate-Term Treasury ETF| 3.97%| Developed Markets|Alternatives|Long-Short||QMN|6|10.ASSET|Alternatives|15.8|0.62|VTV| Vanguard Value ETF| 3.95%| Developed Markets|Alternatives|Long-Short||QMN|6|11.ASSET|Alternatives|15.8|0.52|SHYG| iShares 0-5 Year High Yield Corporate Bond ETF| 3.26%| Developed Markets|Alternatives|Long-Short||QMN|6|12.ASSET|Alternatives|15.8|0.4|SJNK| SPDR Bloomberg Short Term High Yield Bond ETF| 2.52%| Developed Markets|Alternatives|Long-Short||QMN|6|13.ASSET|Alternatives|15.8|0.39|FLRN| SPDR Bloomberg Investment Grade Floating Rate ETF| 2.48%| Developed Markets|Alternatives|Long-Short||QMN|6|14.ASSET|Alternatives|15.8|0.35|MBB| iShares MBS ETF| 2.19%| Developed Markets|Alternatives|Long-Short||QMN|6|15.ASSET|Alternatives|15.8|0.25|SCHR| Schwab Intermediate-Term US Treasury ETF| 1.56%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|1.ASSET|Equity|16.2|0.38|NESN| Nestle S.A.| 2.35%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|2.ASSET|Equity|16.2|0.29|ROG| Roche Holding Ltd| 1.77%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|3.ASSET|Equity|16.2|0.23|9532| Osaka Gas Co., Ltd.| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|4.ASSET|Equity|16.2|0.23|NOVN| Novartis AG| 1.43%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|5.ASSET|Equity|16.2|0.23|AZN| AstraZeneca PLC| 1.41%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|6.ASSET|Equity|16.2|0.22|SAFE| Safestore Holdings plc| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|7.ASSET|Equity|16.2|0.21|TEG| TAG Immobilien AG| 1.31%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|8.ASSET|Equity|16.2|0.21|SSE| SSE plc| 1.31%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|9.ASSET|Equity|16.2|0.21|9433| KDDI Corporation| 1.29%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|10.ASSET|Equity|16.2|0.21|NOVO.B| Novo Nordisk A/S Class B| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|11.ASSET|Equity|16.2|0.21|83| Sino Land Co. Ltd.| 1.28%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|12.ASSET|Equity|16.2|0.21|SCMN| Swisscom AG| 1.27%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|13.ASSET|Equity|16.2|0.2|3269| Advance Residence Investment Corporation| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|14.ASSET|Equity|16.2|0.2|TLS| Telstra Corporation Limited| 1.22%| Developed Markets|Equity|Foreign Large Cap Equities||FDEV|6|15.ASSET|Equity|16.2|0.2|1878| Daito Trust Construction Co., Ltd.| 1.21%| North America|Equity|n/a||QTAP|6|1.ASSET|Equity|18.2|18.17|N/A| OPTIONS| 99.86%| North America|Equity|n/a||QTAP|6|2.ASSET|Equity|18.2|18.17|N/A| OPTIONS| 99.85%| North America|Equity|n/a||QTAP|6|3.ASSET|Equity|18.2|0.03|N/A| U.S. Dollar| 0.15%| North America|Equity|n/a||QTAP|6|4.ASSET|Equity|18.2|0.03|N/A| U.S. Dollar| 0.14%| North America|Equity|Small Cap Growth Equities||FLQS|6|1.ASSET|Equity|16.5|0.16|TXRH| Texas Roadhouse, Inc.| 0.96%| North America|Equity|Small Cap Growth Equities||FLQS|6|2.ASSET|Equity|16.5|0.16|M| Macy\'s Inc| 0.94%| North America|Equity|Small Cap Growth Equities||FLQS|6|3.ASSET|Equity|16.5|0.16|SAIA| Saia, Inc.| 0.94%| North America|Equity|Small Cap Growth Equities||FLQS|6|4.ASSET|Equity|16.5|0.15|BJ| BJ\'s Wholesale Club Holdings, Inc.| 0.93%| North America|Equity|Small Cap Growth Equities||FLQS|6|5.ASSET|Equity|16.5|0.15|TTEK| Tetra Tech, Inc.| 0.92%| North America|Equity|Small Cap Growth Equities||FLQS|6|6.ASSET|Equity|16.5|0.14|LSCC| Lattice Semiconductor Corporation| 0.87%| North America|Equity|Small Cap Growth Equities||FLQS|6|7.ASSET|Equity|16.5|0.13|AMN| AMN Healthcare Services, Inc.| 0.76%| North America|Equity|Small Cap Growth Equities||FLQS|6|8.ASSET|Equity|16.5|0.12|EXPO| Exponent, Inc.| 0.75%| North America|Equity|Small Cap Growth Equities||FLQS|6|9.ASSET|Equity|16.5|0.12|SSD| Simpson Manufacturing Co., Inc.| 0.72%| North America|Equity|Small Cap Growth Equities||FLQS|6|10.ASSET|Equity|16.5|0.12|HLI| Houlihan Lokey, Inc. Class A| 0.71%| North America|Equity|Small Cap Growth Equities||FLQS|6|11.ASSET|Equity|16.5|0.12|SPSC| SPS Commerce, Inc.| 0.70%| North America|Equity|Small Cap Growth Equities||FLQS|6|12.ASSET|Equity|16.5|0.11|POWI| Power Integrations, Inc.| 0.69%| North America|Equity|Small Cap Growth Equities||FLQS|6|13.ASSET|Equity|16.5|0.11|QLYS| Qualys, Inc.| 0.68%| North America|Equity|Small Cap Growth Equities||FLQS|6|14.ASSET|Equity|16.5|0.11|NOVT| Novanta Inc| 0.68%| North America|Equity|Small Cap Growth Equities||FLQS|6|15.ASSET|Equity|16.5|0.11|HELE| Helen of Troy Limited| 0.67%| North America|Equity|Small Cap Blend Equities||RNSC|6|1.ASSET|Equity|21.5|0.59|PDCO| Patterson Companies Incorporated| 2.74%| North America|Equity|Small Cap Blend Equities||RNSC|6|2.ASSET|Equity|21.5|0.57|CNMD| CONMED Corporation| 2.65%| North America|Equity|Small Cap Blend Equities||RNSC|6|3.ASSET|Equity|21.5|0.55|USPH| U.S. Physical Therapy, Inc.| 2.55%| North America|Equity|Small Cap Blend Equities||RNSC|6|4.ASSET|Equity|21.5|0.54|OMI| Owens & Minor, Inc.| 2.53%| North America|Equity|Small Cap Blend Equities||RNSC|6|5.ASSET|Equity|21.5|0.49|HCSG| Healthcare Services Group, Inc.| 2.29%| North America|Equity|Small Cap Blend Equities||RNSC|6|6.ASSET|Equity|21.5|0.35|CSGS| CSG Systems International, Inc.| 1.63%| North America|Equity|Small Cap Blend Equities||RNSC|6|7.ASSET|Equity|21.5|0.34|AVT| Avnet, Inc.| 1.56%| North America|Equity|Small Cap Blend Equities||RNSC|6|8.ASSET|Equity|21.5|0.31|AEIS| Advanced Energy Industries, Inc.| 1.46%| North America|Equity|Small Cap Blend Equities||RNSC|6|9.ASSET|Equity|21.5|0.31|SWCH| Switch, Inc. Class A| 1.44%| North America|Equity|Small Cap Blend Equities||RNSC|6|10.ASSET|Equity|21.5|0.3|PRGS| Progress Software Corporation| 1.41%| North America|Equity|Small Cap Blend Equities||RNSC|6|11.ASSET|Equity|21.5|0.3|MEI| Methode Electronics, Inc.| 1.39%| North America|Equity|Small Cap Blend Equities||RNSC|6|12.ASSET|Equity|21.5|0.29|XPER| Xperi Holding Corporation| 1.37%| North America|Equity|Small Cap Blend Equities||RNSC|6|13.ASSET|Equity|21.5|0.29|VSH| Vishay Intertechnology, Inc.| 1.33%| North America|Equity|Small Cap Blend Equities||RNSC|6|14.ASSET|Equity|21.5|0.26|SSTK| Shutterstock, Inc.| 1.21%| North America|Equity|Small Cap Blend Equities||RNSC|6|15.ASSET|Equity|21.5|0.14|PTEN| Patterson-UTI Energy, Inc.| 0.63%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|1.ASSET|Equity|14|1.27|2269| Wuxi Biologics (Cayman) Inc.| 9.07%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|2.ASSET|Equity|14|1.06|N/A| U.S. Dollar| 7.54%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|3.ASSET|Equity|14|0.95|1093| CSPC Pharmaceutical Group Limited| 6.79%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|4.ASSET|Equity|14|0.9|BGNE| BeiGene, Ltd. Sponsored ADR| 6.42%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|5.ASSET|Equity|14|0.63|1177| Sino Biopharmaceutical Limited| 4.47%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|6.ASSET|Equity|14|0.48|2359| WuXi AppTec Co., Ltd. Class H| 3.40%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|7.ASSET|Equity|14|0.46|1801| Innovent Biologics, Inc.| 3.31%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|8.ASSET|Equity|14|0.46|1548| Genscript Biotech Corporation| 3.25%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|9.ASSET|Equity|14|0.38|ZLAB| Zai Lab Ltd. Sponsored ADR| 2.68%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|10.ASSET|Equity|14|0.35|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 2.47%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|11.ASSET|Equity|14|0.34|1099| Sinopharm Group Co., Ltd. Class H| 2.44%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|12.ASSET|Equity|14|0.34|1066| Shandong Weigao Group Medical Polymer Co. Ltd. Class H| 2.43%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|13.ASSET|Equity|14|0.27|867| China Medical System Holdings Ltd.| 1.94%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|14.ASSET|Equity|14|0.27|HCM| HUTCHMED (China) Limited Sponsored ADR| 1.92%| Emerging Asia Pacific|Equity|China Equities|Healthcare|CHIH|6|15.ASSET|Equity|14|0.26|600276| Jiangsu Hengrui Pharmaceuticals Co., Ltd. Class A| 1.88%| Developed Europe|Equity|Leveraged Equities||FEUL|6|1.ASSET|Equity|17.7|0.6|NESN| Nestle SA| 3.41%| Developed Europe|Equity|Leveraged Equities||FEUL|6|2.ASSET|Equity|17.7|0.43|ROG| Roche Holding AG| 2.42%| Developed Europe|Equity|Leveraged Equities||FEUL|6|3.ASSET|Equity|17.7|0.38|NOVN| Novartis AG| 2.14%| Developed Europe|Equity|Leveraged Equities||FEUL|6|4.ASSET|Equity|17.7|0.3|SAP| SAP SE| 1.70%| Developed Europe|Equity|Leveraged Equities||FEUL|6|5.ASSET|Equity|17.7|0.28|ASML| ASML Holding NV| 1.57%| Developed Europe|Equity|Leveraged Equities||FEUL|6|6.ASSET|Equity|17.7|0.25|AZN| AstraZeneca PLC| 1.43%| Developed Europe|Equity|Leveraged Equities||FEUL|6|7.ASSET|Equity|17.7|0.23|LIN| Linde PLC| 1.30%| Developed Europe|Equity|Leveraged Equities||FEUL|6|8.ASSET|Equity|17.7|0.22|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.26%| Developed Europe|Equity|Leveraged Equities||FEUL|6|9.ASSET|Equity|17.7|0.21|NOVO.B| Novo Nordisk A/S| 1.17%| Developed Europe|Equity|Leveraged Equities||FEUL|6|10.ASSET|Equity|17.7|0.2|SAN| Sanofi SA| 1.14%| Developed Europe|Equity|Leveraged Equities||FEUL|6|11.ASSET|Equity|17.7|0.17|SIE| Siemens AG| 0.95%| Developed Europe|Equity|Leveraged Equities||FEUL|6|12.ASSET|Equity|17.7|0.16|GSK| GlaxoSmithKline PLC| 0.93%| Developed Europe|Equity|Leveraged Equities||FEUL|6|13.ASSET|Equity|17.7|0.15|FP| Total SE| 0.87%| Developed Europe|Equity|Leveraged Equities||FEUL|6|14.ASSET|Equity|17.7|0.15|UNA| Unilever NV| 0.83%| Developed Europe|Equity|Leveraged Equities||FEUL|6|15.ASSET|Equity|17.7|0.15|BATS| British American Tobacco PLC| 0.82%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|1.ASSET|Bond|17.1|6.58|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 38.47%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|2.ASSET|Bond|17.1|6.58|N/A| United States Treasury Notes 2.375% 15-MAY-2029| 38.46%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|3.ASSET|Bond|17.1|5.4|N/A| United States Treasury Notes 1.625% 15-AUG-2029| 31.55%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|4.ASSET|Bond|17.1|3.07|N/A| United States Treasury Notes 1.75% 31-JAN-2029| 17.93%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|5.ASSET|Bond|17.1|3.01|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 17.62%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|6.ASSET|Bond|17.1|3.01|N/A| United States Treasury Notes 2.625% 15-FEB-2029| 17.62%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|7.ASSET|Bond|17.1|2.53|N/A| United States Treasury Notes 1.625% 15-AUG-2029| 14.80%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|8.ASSET|Bond|17.1|1.86|N/A| United States Treasury Notes 1.75% 15-NOV-2029| 10.86%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|9.ASSET|Bond|17.1|1.86|N/A| United States Treasury Notes 1.75% 15-NOV-2029| 10.85%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|10.ASSET|Bond|17.1|0.25|N/A| MUTUAL FUND (OTHER)| 1.46%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|11.ASSET|Bond|17.1|0.05|N/A| MUTUAL FUND (OTHER)| 0.29%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|12.ASSET|Bond|17.1|0.01|N/A| U.S. Dollar| 0.05%| North America|Bond|Government Bonds|Treasuries|IBTJ|6|13.ASSET|Bond|17.1|0.01|N/A| U.S. Dollar| 0.04%| North America|Equity|Utilities Equities|Utilities|JHMU|6|1.ASSET|Equity|17.8|1.08|AEP| American Electric Power Company, Inc.| 6.07%| North America|Equity|Utilities Equities|Utilities|JHMU|6|2.ASSET|Equity|17.8|0.92|DUK| Duke Energy Corporation| 5.15%| North America|Equity|Utilities Equities|Utilities|JHMU|6|3.ASSET|Equity|17.8|0.89|SRE| Sempra Energy| 5.02%| North America|Equity|Utilities Equities|Utilities|JHMU|6|4.ASSET|Equity|17.8|0.89|XEL| Xcel Energy Inc.| 5.00%| North America|Equity|Utilities Equities|Utilities|JHMU|6|5.ASSET|Equity|17.8|0.84|SO| Southern Company| 4.71%| North America|Equity|Utilities Equities|Utilities|JHMU|6|6.ASSET|Equity|17.8|0.74|EIX| Edison International| 4.16%| North America|Equity|Utilities Equities|Utilities|JHMU|6|7.ASSET|Equity|17.8|0.74|ED| Consolidated Edison, Inc.| 4.16%| North America|Equity|Utilities Equities|Utilities|JHMU|6|8.ASSET|Equity|17.8|0.74|EXC| Exelon Corporation| 4.15%| North America|Equity|Utilities Equities|Utilities|JHMU|6|9.ASSET|Equity|17.8|0.71|PEG| Public Service Enterprise Group Inc| 3.97%| North America|Equity|Utilities Equities|Utilities|JHMU|6|10.ASSET|Equity|17.8|0.68|DTE| DTE Energy Company| 3.84%| North America|Equity|Utilities Equities|Utilities|JHMU|6|11.ASSET|Equity|17.8|0.67|ETR| Entergy Corporation| 3.74%| North America|Equity|Utilities Equities|Utilities|JHMU|6|12.ASSET|Equity|17.8|0.63|ES| Eversource Energy| 3.52%| North America|Equity|Utilities Equities|Utilities|JHMU|6|13.ASSET|Equity|17.8|0.59|NEE| NextEra Energy, Inc.| 3.34%| North America|Equity|Utilities Equities|Utilities|JHMU|6|14.ASSET|Equity|17.8|0.57|D| Dominion Energy Inc| 3.21%| North America|Equity|Utilities Equities|Utilities|JHMU|6|15.ASSET|Equity|17.8|0.55|AEE| Ameren Corporation| 3.09%| North America|Equity|n/a||PSMJ|6|1.ASSET|Equity|11.5|11.45|N/A| OPTIONS| 99.53%| North America|Equity|n/a||PSMJ|6|2.ASSET|Equity|11.5|0.05|N/A| U.S. Dollar| 0.47%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|1.ASSET|Equity|12.4|1.18|2319| China Mengniu Dairy Co., Ltd.| 9.54%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|2.ASSET|Equity|12.4|1.11|600519| Kweichow Moutai Co., Ltd. Class A| 8.92%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|3.ASSET|Equity|12.4|1.05|291| China Resources Beer (Holdings) Co. Ltd.| 8.47%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|4.ASSET|Equity|12.4|0.95|9633| Nongfu Spring Co., Ltd. Class H| 7.69%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|5.ASSET|Equity|12.4|0.64|000858| Wuliangye Yibin Co., Ltd. Class A| 5.17%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|6.ASSET|Equity|12.4|0.57|6969| Smoore International Holdings Limited| 4.60%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|7.ASSET|Equity|12.4|0.5|168| Tsingtao Brewery Co., Ltd. Class H| 4.04%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|8.ASSET|Equity|12.4|0.48|151| Want Want China Holdings Limited| 3.86%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|9.ASSET|Equity|12.4|0.4|322| Tingyi (Cayman Islands) Holding Corp.| 3.22%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|10.ASSET|Equity|12.4|0.37|6186| China Feihe Limited| 2.98%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|11.ASSET|Equity|12.4|0.33|1044| Hengan International Group Co., Ltd.| 2.66%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|12.ASSET|Equity|12.4|0.33|600809| Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A| 2.64%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|13.ASSET|Equity|12.4|0.32|603288| Foshan Haitian Flavouring & Food Co., Ltd. Class A| 2.60%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|14.ASSET|Equity|12.4|0.3|002714| Muyuan Foods Co., Ltd. Class A| 2.39%| Emerging Asia Pacific|Equity|China Equities|Consumer Staples|CHIS|6|15.ASSET|Equity|12.4|0.3|000568| Luzhou Laojiao Company Limited Class A| 2.38%| North America|Equity|n/a||XPND|6|1.ASSET|Equity|16.7|0.94|MA| Mastercard Incorporated Class A| 5.63%| North America|Equity|n/a||XPND|6|2.ASSET|Equity|16.7|0.91|AVGO| Broadcom Inc.| 5.45%| North America|Equity|n/a||XPND|6|3.ASSET|Equity|16.7|0.88|CSCO| Cisco Systems, Inc.| 5.27%| North America|Equity|n/a||XPND|6|4.ASSET|Equity|16.7|0.87|AAPL| Apple Inc.| 5.19%| North America|Equity|n/a||XPND|6|5.ASSET|Equity|16.7|0.81|GOOGL| Alphabet Inc. Class A| 4.88%| North America|Equity|n/a||XPND|6|6.ASSET|Equity|16.7|0.81|QCOM| Qualcomm Inc| 4.83%| North America|Equity|n/a||XPND|6|7.ASSET|Equity|16.7|0.78|MSFT| Microsoft Corporation| 4.68%| North America|Equity|n/a||XPND|6|8.ASSET|Equity|16.7|0.76|TXN| Texas Instruments Incorporated| 4.53%| North America|Equity|n/a||XPND|6|9.ASSET|Equity|16.7|0.74|ORCL| Oracle Corporation| 4.44%| North America|Equity|n/a||XPND|6|10.ASSET|Equity|16.7|0.64|INTU| Intuit Inc.| 3.84%| North America|Equity|n/a||XPND|6|11.ASSET|Equity|16.7|0.64|NVDA| NVIDIA Corporation| 3.82%| North America|Equity|n/a||XPND|6|12.ASSET|Equity|16.7|0.63|CRM| salesforce.com, inc.| 3.80%| North America|Equity|n/a||XPND|6|13.ASSET|Equity|16.7|0.6|ADBE| Adobe Inc.| 3.62%| North America|Equity|n/a||XPND|6|14.ASSET|Equity|16.7|0.58|AMAT| Applied Materials, Inc.| 3.47%| North America|Equity|n/a||XPND|6|15.ASSET|Equity|16.7|0.56|NOW| ServiceNow, Inc.| 3.37%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|1.ASSET|Equity|15.6|0.41|4904| Far Eastone Telecommunications Co., Ltd.| 2.65%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|2.ASSET|Equity|15.6|0.36|3045| Taiwan Mobile Co., Ltd.| 2.32%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|3.ASSET|Equity|15.6|0.34|2886| Mega Financial Holding Co., Ltd.| 2.17%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|4.ASSET|Equity|15.6|0.29|2890| SinoPac Financial Holdings Co., Ltd.| 1.84%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|5.ASSET|Equity|15.6|0.28|3988| Bank of China Limited Class H| 1.79%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|6.ASSET|Equity|15.6|0.25|3328| Bank of Communications Co., Ltd. Class H| 1.59%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|7.ASSET|Equity|15.6|0.25|MER| Manila Electric Co.| 1.58%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|8.ASSET|Equity|15.6|0.24|BBSE3| BB Seguridade Participacoes SA| 1.53%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|9.ASSET|Equity|15.6|0.23|AC| Arca Continental SAB de CV| 1.45%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|10.ASSET|Equity|15.6|0.22|1288| Agricultural Bank of China Limited Class H| 1.41%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|11.ASSET|Equity|15.6|0.22|5347| Tenaga Nasional Bhd| 1.41%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|12.ASSET|Equity|15.6|0.22|EGIE3| ENGIE Brasil Energia S.A.| 1.39%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|13.ASSET|Equity|15.6|0.21|2382| Quanta Computer Inc.| 1.37%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|14.ASSET|Equity|15.6|0.21|1102| Asia Cement Corporation| 1.37%| Emerging Markets|Equity|Emerging Markets Equities||CEY|6|15.ASSET|Equity|15.6|0.21|1398| Industrial and Commercial Bank of China Limited Class H| 1.37%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|1.ASSET|Equity|16.6|0.89|BHP| BHP Group Ltd| 5.37%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|2.ASSET|Equity|16.6|0.48|RIO| Rio Tinto plc| 2.89%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|3.ASSET|Equity|16.6|0.44|BATS| British American Tobacco p.l.c.| 2.64%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|4.ASSET|Equity|16.6|0.37|NOVN| Novartis AG| 2.24%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|5.ASSET|Equity|16.6|0.35|GSK| GlaxoSmithKline plc| 2.12%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|6.ASSET|Equity|16.6|0.35|SAN| Sanofi| 2.11%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|7.ASSET|Equity|16.6|0.34|NESN| Nestle S.A.| 2.05%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|8.ASSET|Equity|16.6|0.33|AAL| Anglo American plc| 2.01%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|9.ASSET|Equity|16.6|0.33|7203| Toyota Motor Corp.| 1.99%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|10.ASSET|Equity|16.6|0.33|ULVR| Unilever PLC| 1.97%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|11.ASSET|Equity|16.6|0.32|ROG| Roche Holding Ltd| 1.91%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|12.ASSET|Equity|16.6|0.32|8035| Tokyo Electron Ltd.| 1.91%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|13.ASSET|Equity|16.6|0.31|NOVO.B| Novo Nordisk A/S Class B| 1.88%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|14.ASSET|Equity|16.6|0.29|7974| Nintendo Co., Ltd.| 1.76%| Developed Markets|Equity|Foreign Large Cap Equities||FLQH|6|15.ASSET|Equity|16.6|0.29|CSL| CSL Limited| 1.75%| Developed Europe|Equity|Europe Equities||FLEH|6|1.ASSET|Equity|21.1|0.72|NESN| Nestle S.A.| 3.42%| Developed Europe|Equity|Europe Equities||FLEH|6|2.ASSET|Equity|21.1|0.53|ROG| Roche Holding Ltd| 2.49%| Developed Europe|Equity|Europe Equities||FLEH|6|3.ASSET|Equity|21.1|0.51|ASML| ASML Holding NV| 2.40%| Developed Europe|Equity|Europe Equities||FLEH|6|4.ASSET|Equity|21.1|0.42|SHEL| Shell PLC| 2.01%| Developed Europe|Equity|Europe Equities||FLEH|6|5.ASSET|Equity|21.1|0.39|AZN| AstraZeneca PLC| 1.83%| Developed Europe|Equity|Europe Equities||FLEH|6|6.ASSET|Equity|21.1|0.37|NOVN| Novartis AG| 1.74%| Developed Europe|Equity|Europe Equities||FLEH|6|7.ASSET|Equity|21.1|0.35|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.68%| Developed Europe|Equity|Europe Equities||FLEH|6|8.ASSET|Equity|21.1|0.33|NOVO.B| Novo Nordisk A/S Class B| 1.57%| Developed Europe|Equity|Europe Equities||FLEH|6|9.ASSET|Equity|21.1|0.28|HSBA| HSBC Holdings Plc| 1.32%| Developed Europe|Equity|Europe Equities||FLEH|6|10.ASSET|Equity|21.1|0.26|TTE| TotalEnergies SE| 1.23%| Developed Europe|Equity|Europe Equities||FLEH|6|11.ASSET|Equity|21.1|0.25|ULVR| Unilever PLC| 1.18%| Developed Europe|Equity|Europe Equities||FLEH|6|12.ASSET|Equity|21.1|0.25|SAP| SAP SE| 1.18%| Developed Europe|Equity|Europe Equities||FLEH|6|13.ASSET|Equity|21.1|0.22|DGE| Diageo plc| 1.06%| Developed Europe|Equity|Europe Equities||FLEH|6|14.ASSET|Equity|21.1|0.22|SAN| Sanofi| 1.05%| Developed Europe|Equity|Europe Equities||FLEH|6|15.ASSET|Equity|21.1|0.21|SIE| Siemens AG| 0.98%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|1.ASSET|Equity|16.6|1.46|PBH| Prestige Consumer Healthcare Inc| 8.82%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|2.ASSET|Equity|16.6|1.46|JNJ| Johnson & Johnson| 8.77%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|3.ASSET|Equity|16.6|1.21|GILD| Gilead Sciences, Inc.| 7.31%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|4.ASSET|Equity|16.6|1.21|PFE| Pfizer Inc.| 7.31%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|5.ASSET|Equity|16.6|1.21|ZTS| Zoetis, Inc. Class A| 7.27%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|6.ASSET|Equity|16.6|0.89|ABBV| AbbVie, Inc.| 5.34%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|7.ASSET|Equity|16.6|0.88|BMY| Bristol-Myers Squibb Company| 5.28%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|8.ASSET|Equity|16.6|0.85|VRTX| Vertex Pharmaceuticals Incorporated| 5.15%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|9.ASSET|Equity|16.6|0.79|CAH| Cardinal Health, Inc.| 4.76%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|10.ASSET|Equity|16.6|0.7|LLY| Eli Lilly and Company| 4.22%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|11.ASSET|Equity|16.6|0.7|MRK| Merck & Co., Inc.| 4.21%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|12.ASSET|Equity|16.6|0.65|HZNP| Horizon Therapeutics Public Limited Company| 3.90%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|13.ASSET|Equity|16.6|0.63|UTHR| United Therapeutics Corporation| 3.81%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|14.ASSET|Equity|16.6|0.62|BMRN| BioMarin Pharmaceutical Inc.| 3.73%| North America|Equity|Health & Biotech Equities|Healthcare|FTXH|6|15.ASSET|Equity|16.6|0.55|CORT| Corcept Therapeutics Incorporated.| 3.30%| Latin America|Equity|Leveraged Equities||MEXX|6|1.ASSET|Equity|12.2|5.3|EWW| iShares MSCI Mexico ETF| 43.48%| Latin America|Equity|Leveraged Equities||MEXX|6|2.ASSET|Equity|12.2|0.2|DGCXX| Dreyfus Government Cash Management Funds Institutional| 1.63%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|1.ASSET|Equity|15.9|1.58|MTD| Mettler-Toledo International Inc| 9.91%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|2.ASSET|Equity|15.9|1.54|A| Agilent Technologies Inc| 9.66%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|3.ASSET|Equity|15.9|1.53|WAT| Waters Corp| 9.64%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|4.ASSET|Equity|15.9|1.5|ABBV| Abbvie Inc| 9.44%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|5.ASSET|Equity|15.9|1.5|TMO| Thermo Fisher Scientific Inc| 9.43%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|6.ASSET|Equity|15.9|1.27|WEED| Canopy Growth Corp| 8.01%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|7.ASSET|Equity|15.9|1.12|PKI| PerkinElmer Inc| 7.03%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|8.ASSET|Equity|15.9|0.82|TLRY| Tilray Inc| 5.16%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|9.ASSET|Equity|15.9|0.76|SMG| Scotts Miracle-Gro Co| 4.81%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|10.ASSET|Equity|15.9|0.72|IIPR| Innovative Industrial Properties Inc| 4.52%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|11.ASSET|Equity|15.9|0.61|CTLT| Catalent Inc| 3.86%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|12.ASSET|Equity|15.9|0.52|BRKR| Bruker Corp| 3.30%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|13.ASSET|Equity|15.9|0.38|ARNA| Arena Pharmaceuticals Inc| 2.36%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|14.ASSET|Equity|15.9|0.32|APHA| Aphria Inc| 2.02%| North America|Equity|Leveraged Equities|Healthcare|MJO|6|15.ASSET|Equity|15.9|0.24|CRON| Cronos Group Inc| 1.48%| Global|Equity|Volatility Hedged Equity||KONG|6|1.ASSET|Equity|18.2|1.18|N/A| U.S. Dollar| 6.46%| Global|Equity|Volatility Hedged Equity||KONG|6|2.ASSET|Equity|18.2|0.97|CSCO| Cisco Systems, Inc.| 5.32%| Global|Equity|Volatility Hedged Equity||KONG|6|3.ASSET|Equity|18.2|0.95|PSA| Public Storage| 5.22%| Global|Equity|Volatility Hedged Equity||KONG|6|4.ASSET|Equity|18.2|0.92|WST| West Pharmaceutical Services, Inc.| 5.06%| Global|Equity|Volatility Hedged Equity||KONG|6|5.ASSET|Equity|18.2|0.91|REGN| Regeneron Pharmaceuticals, Inc.| 4.98%| Global|Equity|Volatility Hedged Equity||KONG|6|6.ASSET|Equity|18.2|0.89|ATVI| Activision Blizzard, Inc.| 4.89%| Global|Equity|Volatility Hedged Equity||KONG|6|7.ASSET|Equity|18.2|0.84|MNST| Monster Beverage Corporation| 4.62%| Global|Equity|Volatility Hedged Equity||KONG|6|8.ASSET|Equity|18.2|0.83|ADP| Automatic Data Processing, Inc.| 4.54%| Global|Equity|Volatility Hedged Equity||KONG|6|9.ASSET|Equity|18.2|0.82|PGR| Progressive Corporation| 4.53%| Global|Equity|Volatility Hedged Equity||KONG|6|10.ASSET|Equity|18.2|0.82|FAST| Fastenal Company| 4.49%| Global|Equity|Volatility Hedged Equity||KONG|6|11.ASSET|Equity|18.2|0.72|RHI| Robert Half International Inc.| 3.96%| Global|Equity|Volatility Hedged Equity||KONG|6|12.ASSET|Equity|18.2|0.6|MKTX| MarketAxess Holdings Inc.| 3.30%| Global|Equity|Volatility Hedged Equity||KONG|6|13.ASSET|Equity|18.2|0.55|ABMD| ABIOMED, Inc.| 3.04%| Global|Equity|Volatility Hedged Equity||KONG|6|14.ASSET|Equity|18.2|0.53|BIO| Bio-Rad Laboratories, Inc. Class A| 2.89%| Global|Equity|Volatility Hedged Equity||KONG|6|15.ASSET|Equity|18.2|0.52|ERIE| Erie Indemnity Company Class A| 2.85%| |Commodity|Oil & Gas||UNL|6|1.ASSET|Commodity|27.7|27.7|N/A| Natural Gas| 100.00%| North America|Equity|n/a||QMAR|6|1.ASSET|Equity|15.4|15.36|N/A| OPTIONS| 99.71%| North America|Equity|n/a||QMAR|6|2.ASSET|Equity|15.4|15.36|N/A| OPTIONS| 99.71%| North America|Equity|n/a||QMAR|6|3.ASSET|Equity|15.4|0.04|N/A| CORPORATE BOND| 0.29%| North America|Equity|n/a||QMAR|6|4.ASSET|Equity|15.4|0.04|N/A| CORPORATE BOND| 0.29%| North America|Equity|n/a||QMAR|6|5.ASSET|Equity|15.4|0|N/A| U.S. Dollar| 0.00%| North America|Equity|n/a||QMAR|6|6.ASSET|Equity|15.4|0|N/A| U.S. Dollar| 0.00%| Latin America|Equity|Leveraged Equities||BZQ|6|1.ASSET|Equity|11.7|10.89|N/A| U.S. Dollar| 93.04%| Latin America|Equity|Leveraged Equities||BZQ|6|2.ASSET|Equity|11.7|0.81|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 6.96%| North America|Equity|Industrials Equities|Industrials|JHMI|6|1.ASSET|Equity|16.3|0.44|ACN| Accenture Plc Class A| 2.68%| North America|Equity|Industrials Equities|Industrials|JHMI|6|2.ASSET|Equity|16.3|0.4|UNP| Union Pacific Corporation| 2.43%| North America|Equity|Industrials Equities|Industrials|JHMI|6|3.ASSET|Equity|16.3|0.34|RTX| Raytheon Technologies Corporation| 2.07%| North America|Equity|Industrials Equities|Industrials|JHMI|6|4.ASSET|Equity|16.3|0.33|UPS| United Parcel Service, Inc. Class B| 2.00%| North America|Equity|Industrials Equities|Industrials|JHMI|6|5.ASSET|Equity|16.3|0.28|CAT| Caterpillar Inc.| 1.69%| North America|Equity|Industrials Equities|Industrials|JHMI|6|6.ASSET|Equity|16.3|0.27|CSX| CSX Corporation| 1.65%| North America|Equity|Industrials Equities|Industrials|JHMI|6|7.ASSET|Equity|16.3|0.27|DE| Deere & Company| 1.64%| North America|Equity|Industrials Equities|Industrials|JHMI|6|8.ASSET|Equity|16.3|0.27|HON| Honeywell International Inc.| 1.64%| North America|Equity|Industrials Equities|Industrials|JHMI|6|9.ASSET|Equity|16.3|0.26|PH| Parker-Hannifin Corporation| 1.59%| North America|Equity|Industrials Equities|Industrials|JHMI|6|10.ASSET|Equity|16.3|0.25|NOC| Northrop Grumman Corporation| 1.55%| North America|Equity|Industrials Equities|Industrials|JHMI|6|11.ASSET|Equity|16.3|0.25|URI| United Rentals, Inc.| 1.53%| North America|Equity|Industrials Equities|Industrials|JHMI|6|12.ASSET|Equity|16.3|0.24|NSC| Norfolk Southern Corporation| 1.49%| North America|Equity|Industrials Equities|Industrials|JHMI|6|13.ASSET|Equity|16.3|0.24|PCAR| PACCAR Inc| 1.46%| North America|Equity|Industrials Equities|Industrials|JHMI|6|14.ASSET|Equity|16.3|0.23|PAYX| Paychex, Inc.| 1.44%| North America|Equity|Industrials Equities|Industrials|JHMI|6|15.ASSET|Equity|16.3|0.23|LMT| Lockheed Martin Corporation| 1.44%| North America|Equity|n/a||SYUS|6|1.ASSET|Equity|9.8|8.34|SSPY| Syntax Stratified LargeCap ETF| 85.12%| North America|Equity|n/a||SYUS|6|2.ASSET|Equity|9.8|0.96|SMDY| Syntax Stratified MidCap ETF| 9.83%| North America|Equity|n/a||SYUS|6|3.ASSET|Equity|9.8|0.46|SSLY| Syntax Stratified SmallCap ETF| 4.67%| North America|Equity|n/a||SYUS|6|4.ASSET|Equity|9.8|0.04|N/A| U.S. Dollar| 0.38%| North America|Equity|Volatility Hedged Equity||TSOC|6|1.ASSET|Equity|10|9.93|N/A| OPTIONS| 99.29%| North America|Equity|Volatility Hedged Equity||TSOC|6|2.ASSET|Equity|10|0.07|N/A| U.S. Dollar| 0.71%| Global ex-U.S.|Equity|Global Equities||IDMO|6|1.ASSET|Equity|8.3|0.64|ASML| ASML Holding NV| 7.70%| Global ex-U.S.|Equity|Global Equities||IDMO|6|2.ASSET|Equity|8.3|0.42|MC| LVMH Moet Hennessy Louis Vuitton SE| 5.00%| Global ex-U.S.|Equity|Global Equities||IDMO|6|3.ASSET|Equity|8.3|0.4|7203| Toyota Motor Corp.| 4.78%| Global ex-U.S.|Equity|Global Equities||IDMO|6|4.ASSET|Equity|8.3|0.32|RY| Royal Bank of Canada| 3.85%| Global ex-U.S.|Equity|Global Equities||IDMO|6|5.ASSET|Equity|8.3|0.27|TD| Toronto-Dominion Bank| 3.20%| Global ex-U.S.|Equity|Global Equities||IDMO|6|6.ASSET|Equity|8.3|0.2|BMO| Bank of Montreal| 2.39%| Global ex-U.S.|Equity|Global Equities||IDMO|6|7.ASSET|Equity|8.3|0.18|BNS| Bank of Nova Scotia| 2.17%| Global ex-U.S.|Equity|Global Equities||IDMO|6|8.ASSET|Equity|8.3|0.17|CM| Canadian Imperial Bank of Commerce| 2.01%| Global ex-U.S.|Equity|Global Equities||IDMO|6|9.ASSET|Equity|8.3|0.16|CBA| Commonwealth Bank of Australia| 1.98%| Global ex-U.S.|Equity|Global Equities||IDMO|6|10.ASSET|Equity|8.3|0.16|CFR| Compagnie Financiere Richemont SA| 1.92%| Global ex-U.S.|Equity|Global Equities||IDMO|6|11.ASSET|Equity|8.3|0.14|RMS| Hermes International SCA| 1.68%| Global ex-U.S.|Equity|Global Equities||IDMO|6|12.ASSET|Equity|8.3|0.13|MBG| Mercedes-Benz Group AG| 1.58%| Global ex-U.S.|Equity|Global Equities||IDMO|6|13.ASSET|Equity|8.3|0.11|SU| Schneider Electric SE| 1.38%| Global ex-U.S.|Equity|Global Equities||IDMO|6|14.ASSET|Equity|8.3|0.1|8306| Mitsubishi UFJ Financial Group, Inc.| 1.26%| Global ex-U.S.|Equity|Global Equities||IDMO|6|15.ASSET|Equity|8.3|0.1|STLA| Stellantis N.V.| 1.20%| Developed Markets|Equity|Inverse Equities||EFZ|6|1.ASSET|Equity|64.7|62.58|N/A| U.S. Dollar| 96.72%| Developed Markets|Equity|Inverse Equities||EFZ|6|2.ASSET|Equity|64.7|62.36|N/A| U.S. Dollar| 96.39%| Developed Markets|Equity|Inverse Equities||EFZ|6|3.ASSET|Equity|64.7|2.34|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.61%| Developed Markets|Equity|Inverse Equities||EFZ|6|4.ASSET|Equity|64.7|2.12|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 3.28%| North America|Bond|Government Bonds|Treasuries|IBTG|6|1.ASSET|Bond|59.2|13.21|N/A| United States Treasury Notes 0.875% 30-JUN-2026| 22.31%| North America|Bond|Government Bonds|Treasuries|IBTG|6|2.ASSET|Bond|59.2|11.58|N/A| United States Treasury Notes 2.375% 30-APR-2026| 19.56%| North America|Bond|Government Bonds|Treasuries|IBTG|6|3.ASSET|Bond|59.2|8.66|N/A| United States Treasury Notes 1.875% 31-JUL-2026| 14.63%| North America|Bond|Government Bonds|Treasuries|IBTG|6|4.ASSET|Bond|59.2|8.15|N/A| United States Treasury Notes 2.25% 31-MAR-2026| 13.77%| North America|Bond|Government Bonds|Treasuries|IBTG|6|5.ASSET|Bond|59.2|7.28|N/A| United States Treasury Notes 1.625% 30-NOV-2026| 12.30%| North America|Bond|Government Bonds|Treasuries|IBTG|6|6.ASSET|Bond|59.2|4.01|N/A| United States Treasury Notes 1.25% 30-NOV-2026| 6.77%| North America|Bond|Government Bonds|Treasuries|IBTG|6|7.ASSET|Bond|59.2|3.01|N/A| United States Treasury Notes 0.75% 30-APR-2026| 5.09%| North America|Bond|Government Bonds|Treasuries|IBTG|6|8.ASSET|Bond|59.2|0.92|N/A| United States Treasury Notes 2.0% 15-NOV-2026| 1.56%| North America|Bond|Government Bonds|Treasuries|IBTG|6|9.ASSET|Bond|59.2|0.77|N/A| United States Treasury Notes 1.375% 31-AUG-2026| 1.30%| North America|Bond|Government Bonds|Treasuries|IBTG|6|10.ASSET|Bond|59.2|0.7|N/A| United States Treasury Notes 0.625% 31-JUL-2026| 1.18%| North America|Bond|Government Bonds|Treasuries|IBTG|6|11.ASSET|Bond|59.2|0.38|N/A| United States Treasury Notes 1.875% 30-JUN-2026| 0.65%| North America|Bond|Government Bonds|Treasuries|IBTG|6|12.ASSET|Bond|59.2|0.33|N/A| United States Treasury Notes 0.375% 31-JAN-2026| 0.55%| North America|Bond|Government Bonds|Treasuries|IBTG|6|13.ASSET|Bond|59.2|0.19|N/A| MUTUAL FUND (OTHER)| 0.32%| North America|Bond|Government Bonds|Treasuries|IBTG|6|14.ASSET|Bond|59.2|0.01|N/A| U.S. Dollar| 0.01%| Global|Equity|Foreign Large Cap Equities||DWCR|6|1.ASSET|Equity|14.4|1.38|INDA| iShares MSCI India ETF| 9.56%| Global|Equity|Foreign Large Cap Equities||DWCR|6|2.ASSET|Equity|14.4|0.41|EQNR| Equinor ASA| 2.84%| Global|Equity|Foreign Large Cap Equities||DWCR|6|3.ASSET|Equity|14.4|0.33|GJF| Gjensidige Forsikring ASA| 2.31%| Global|Equity|Foreign Large Cap Equities||DWCR|6|4.ASSET|Equity|14.4|0.32|DNB| DNB Bank ASA| 2.20%| Global|Equity|Foreign Large Cap Equities||DWCR|6|5.ASSET|Equity|14.4|0.28|TSEM| Tower Semiconductor Ltd| 1.97%| Global|Equity|Foreign Large Cap Equities||DWCR|6|6.ASSET|Equity|14.4|0.27|ICL| ICL Group Ltd.| 1.87%| Global|Equity|Foreign Large Cap Equities||DWCR|6|7.ASSET|Equity|14.4|0.26|NOD| Nordic Semiconductor ASA| 1.84%| Global|Equity|Foreign Large Cap Equities||DWCR|6|8.ASSET|Equity|14.4|0.26|NOVO.B| Novo Nordisk A/S Class B| 1.83%| Global|Equity|Foreign Large Cap Equities||DWCR|6|9.ASSET|Equity|14.4|0.26|JYSK| Jyske Bank A/S| 1.81%| Global|Equity|Foreign Large Cap Equities||DWCR|6|10.ASSET|Equity|14.4|0.25|MAERSK.B| A.P. Moller - Maersk A/S Class B| 1.71%| Global|Equity|Foreign Large Cap Equities||DWCR|6|11.ASSET|Equity|14.4|0.24|SAMPO| Sampo Oyj Class A| 1.69%| Global|Equity|Foreign Large Cap Equities||DWCR|6|12.ASSET|Equity|14.4|0.24|UPM| UPM-Kymmene Oyj| 1.68%| Global|Equity|Foreign Large Cap Equities||DWCR|6|13.ASSET|Equity|14.4|0.24|COLO.B| Coloplast A/S Class B| 1.65%| Global|Equity|Foreign Large Cap Equities||DWCR|6|14.ASSET|Equity|14.4|0.24|NOKIA| Nokia Oyj| 1.64%| Global|Equity|Foreign Large Cap Equities||DWCR|6|15.ASSET|Equity|14.4|0.23|POLI| Bank Hapoalim BM| 1.62%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|1.ASSET|Bond|17|4.3|GOVT| iShares U.S. Treasury Bond ETF| 25.31%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|2.ASSET|Bond|17|3.27|MBB| iShares MBS ETF| 19.23%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|3.ASSET|Bond|17|3.09|LQD| iShares iBoxx $ Investment Grade Corporate Bond ETF| 18.17%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|4.ASSET|Bond|17|1.13|BKLN| Invesco Senior Loan ETF| 6.62%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|5.ASSET|Bond|17|1.09|PHB| Invesco Fundamental High Yield Corporate Bond ETF| 6.40%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|6.ASSET|Bond|17|1.08|HYG| iShares iBoxx $ High Yield Corporate Bond ETF| 6.38%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|7.ASSET|Bond|17|1.08|JNK| SPDR Bloomberg High Yield Bond ETF| 6.37%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|8.ASSET|Bond|17|1.01|CEMB| iShares J.P. Morgan EM Corporate Bond ETF| 5.96%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|9.ASSET|Bond|17|0.54|ICVT| iShares Convertible Bond ETF| 3.15%| North America|Bond|Total Bond Market|Total Bond Market|ADFI|6|10.ASSET|Bond|17|0.43|TBT| ProShares UltraShort 20+ Year Treasury| 2.54%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|1.ASSET|Equity|18.1|2|AOT.R| Airports of Thailand Public Co. Ltd. NVDR| 11.04%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|2.ASSET|Equity|18.1|1.39|PAC| Grupo Aeroportuario del Pacifico SAB de CV Sponsored ADR Class B| 7.67%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|3.ASSET|Equity|18.1|1.15|ASR| Grupo Aeroportuario del Sureste SA de CV Sponsored ADR Class B| 6.36%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|4.ASSET|Equity|18.1|1.05|916| China Longyuan Power Group Corp. Ltd. Class H| 5.80%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|5.ASSET|Equity|18.1|0.88|UGP| Ultrapar Participacoes S.A. Sponsored ADR| 4.85%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|6.ASSET|Equity|18.1|0.81|2883| China Oilfield Services Limited Class H| 4.48%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|7.ASSET|Equity|18.1|0.76|KEP| Korea Electric Power Corporation Sponsored ADR| 4.20%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|8.ASSET|Equity|18.1|0.72|144| China Merchants Port Holdings Co., Ltd.| 4.00%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|9.ASSET|Equity|18.1|0.71|CCRO3| CCR S.A.| 3.90%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|10.ASSET|Equity|18.1|0.61|384| China Gas Holdings Limited| 3.38%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|11.ASSET|Equity|18.1|0.6|1193| China Resources Gas Group Limited| 3.33%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|12.ASSET|Equity|18.1|0.59|270| Guangdong Investment Limited| 3.28%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|13.ASSET|Equity|18.1|0.59|836| China Resources Power Holdings Co. Ltd.| 3.27%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|14.ASSET|Equity|18.1|0.59|135| KunLun Energy Co. Ltd.| 3.27%| Emerging Markets|Equity|Utilities Equities|Utilities|EMIF|6|15.ASSET|Equity|18.1|0.54|OMAB| Grupo Aeroportuario del Centro Norte SAB de CV Sponsored ADR Class B| 3.00%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|1.ASSET|Multi-Asset|19.1|2.56|XLK| Technology Select Sector SPDR Fund| 13.39%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|2.ASSET|Multi-Asset|19.1|2.22|SHY| iShares 1-3 Year Treasury Bond ETF| 11.64%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|3.ASSET|Multi-Asset|19.1|2.07|FIGXX| Fidelity Institutional Cash Portfolios Fund Money Market Government Fund I| 10.85%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|4.ASSET|Multi-Asset|19.1|1.22|FENY| Fidelity MSCI Energy Index ETF| 6.41%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|5.ASSET|Multi-Asset|19.1|0.99|IHF| iShares U.S. Healthcare Providers ETF| 5.17%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|6.ASSET|Multi-Asset|19.1|0.96|FNCL| Fidelity MSCI Financials Index ETF| 5.05%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|7.ASSET|Multi-Asset|19.1|0.94|SPDN| Direxion Daily S&P 500 Bear 1X Shares| 4.93%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|8.ASSET|Multi-Asset|19.1|0.89|IAU| iShares Gold Trust| 4.66%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|9.ASSET|Multi-Asset|19.1|0.86|IAI| iShares U.S. Broker-Dealers & Securities Exchanges ETF| 4.48%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|10.ASSET|Multi-Asset|19.1|0.72|BWX| SPDR Bloomberg International Treasury Bond ETF| 3.76%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|11.ASSET|Multi-Asset|19.1|0.53|XLV| Health Care Select Sector SPDR Fund| 2.78%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|12.ASSET|Multi-Asset|19.1|0.49|ITB| iShares U.S. Home Construction ETF| 2.58%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|13.ASSET|Multi-Asset|19.1|0.48|KRE| SPDR S&P Regional Banking ETF| 2.51%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|14.ASSET|Multi-Asset|19.1|0.41|VTIP| Vanguard Short-Term Inflation-Protected Securities ETF| 2.16%| Developed Markets|Multi-Asset|Diversified Portfolio||LCR|6|15.ASSET|Multi-Asset|19.1|0.36|MBB| iShares MBS ETF| 1.91%| Developed Markets|Equity|Global Equities||FLQG|6|1.ASSET|Equity|15.6|0.24|BHP| BHP Group Ltd| 1.56%| Developed Markets|Equity|Global Equities||FLQG|6|2.ASSET|Equity|15.6|0.21|ABBV| AbbVie, Inc.| 1.33%| Developed Markets|Equity|Global Equities||FLQG|6|3.ASSET|Equity|15.6|0.18|PM| Philip Morris International Inc.| 1.16%| Developed Markets|Equity|Global Equities||FLQG|6|4.ASSET|Equity|15.6|0.18|NOVN| Novartis AG| 1.13%| Developed Markets|Equity|Global Equities||FLQG|6|5.ASSET|Equity|15.6|0.17|VZ| Verizon Communications Inc.| 1.11%| Developed Markets|Equity|Global Equities||FLQG|6|6.ASSET|Equity|15.6|0.17|PG| Procter & Gamble Company| 1.10%| Developed Markets|Equity|Global Equities||FLQG|6|7.ASSET|Equity|15.6|0.17|AAPL| Apple Inc.| 1.09%| Developed Markets|Equity|Global Equities||FLQG|6|8.ASSET|Equity|15.6|0.17|CSCO| Cisco Systems, Inc.| 1.08%| Developed Markets|Equity|Global Equities||FLQG|6|9.ASSET|Equity|15.6|0.17|JNJ| Johnson & Johnson| 1.07%| Developed Markets|Equity|Global Equities||FLQG|6|10.ASSET|Equity|15.6|0.16|UPS| United Parcel Service, Inc. Class B| 1.05%| Developed Markets|Equity|Global Equities||FLQG|6|11.ASSET|Equity|15.6|0.16|PEP| PepsiCo, Inc.| 1.05%| Developed Markets|Equity|Global Equities||FLQG|6|12.ASSET|Equity|15.6|0.16|NESN| Nestle S.A.| 1.04%| Developed Markets|Equity|Global Equities||FLQG|6|13.ASSET|Equity|15.6|0.16|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 1.03%| Developed Markets|Equity|Global Equities||FLQG|6|14.ASSET|Equity|15.6|0.16|BMY| Bristol-Myers Squibb Company| 1.03%| Developed Markets|Equity|Global Equities||FLQG|6|15.ASSET|Equity|15.6|0.16|T| AT&T Inc.| 1.02%| North America|Equity|Global Equities||HEWC|6|1.ASSET|Equity|22.3|22.29|EWC| iShares MSCI Canada ETF| 99.95%| North America|Equity|Global Equities||HEWC|6|2.ASSET|Equity|22.3|0.01|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.05%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|1.ASSET|Bond|16|0.8|N/A| MORTGAGE-BACKED SECURITIES| 5.02%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|2.ASSET|Bond|16|0.75|N/A| OneMain Direct Auto Receivable Trust 2018-1 C 3.85% 14-OCT-2025| 4.70%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|3.ASSET|Bond|16|0.6|N/A| Motel Trust 2021-MTL6 B 1.31% 15-SEP-2038| 3.75%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|4.ASSET|Bond|16|0.6|N/A| Avis Budget Rental Car Funding (AESOP) Series 2020-2 A 2.02% 20-FEB-2027| 3.74%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|5.ASSET|Bond|16|0.58|N/A| New Residential Mortgage Loan Trust 2018-4 B1 1.15188% 25-JAN-2048| 3.63%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|6.ASSET|Bond|16|0.53|N/A| Navient Private Education Refi Loan Trust 2021-E A 0.97% 16-DEC-2069| 3.34%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|7.ASSET|Bond|16|0.45|N/A| ACC Auto Trust 2021-A C 3.79% 15-APR-2027| 2.84%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|8.ASSET|Bond|16|0.44|N/A| American Credit Acceptance Receivables Trust 2021-3 C 0.98% 13-NOV-2027| 2.77%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|9.ASSET|Bond|16|0.38|N/A| BPR 2021-KEN A 1.357% 15-FEB-2029| 2.35%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|10.ASSET|Bond|16|0.36|N/A| Verus Securitization Trust 2021-3 A1 1.046% 25-JUN-2066| 2.27%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|11.ASSET|Bond|16|0.32|N/A| CSMC 2021-RPL3 Trust A1 2.0% 25-JAN-2060| 2.02%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|12.ASSET|Bond|16|0.31|N/A| Dext ABS 2020-1 A 1.46% 15-NOV-2028| 1.95%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|13.ASSET|Bond|16|0.3|N/A| Carvana Auto Receivables Trust 2021-N3 D 1.58% 10-JUN-2028| 1.89%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|14.ASSET|Bond|16|0.3|N/A| Flagship Credit Auto Trust 2020-4 C 1.28% 15-FEB-2027| 1.87%| North America|Bond|Total Bond Market|Mortgage-Backed|VABS|6|15.ASSET|Bond|16|0.3|N/A| Oportun Funding XIV, Series 2021-A B 1.76% 01-MAR-2028| 1.87%| Emerging Markets|Currency|Currency||CEW|6|1.ASSET|Currency|13.6|5.42|N/A| United States Treasury Bills 0.0% 07-APR-2022| 39.82%| Emerging Markets|Currency|Currency||CEW|6|2.ASSET|Currency|13.6|3.9|N/A| U.S. Dollar| 28.70%| Emerging Markets|Currency|Currency||CEW|6|3.ASSET|Currency|13.6|3.72|N/A| United States Treasury Bills 0.0% 09-JUN-2022| 27.37%| Emerging Markets|Currency|Currency||CEW|6|4.ASSET|Currency|13.6|0.56|USFR| WisdomTree Floating Rate Treasury Fund| 4.11%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|1.ASSET|Multi-Asset|112.1|9.99|N/A| U.S. Dollar| 8.91%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|2.ASSET|Multi-Asset|112.1|2.67|NESN| Nestle S.A.| 2.38%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|3.ASSET|Multi-Asset|112.1|2.04|ASML| ASML Holding NV| 1.82%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|4.ASSET|Multi-Asset|112.1|1.96|ROG| Roche Holding Ltd| 1.75%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|5.ASSET|Multi-Asset|112.1|1.7|7203| Toyota Motor Corp.| 1.52%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|6.ASSET|Multi-Asset|112.1|1.4|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.25%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|7.ASSET|Multi-Asset|112.1|1.4|SHEL| Shell PLC| 1.25%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|8.ASSET|Multi-Asset|112.1|1.29|NOVN| Novartis AG| 1.15%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|9.ASSET|Multi-Asset|112.1|1.24|NOVO.B| Novo Nordisk A/S Class B| 1.11%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|10.ASSET|Multi-Asset|112.1|1.23|BHP| BHP Group Ltd| 1.10%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|11.ASSET|Multi-Asset|112.1|1.22|6758| Sony Group Corporation| 1.09%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|12.ASSET|Multi-Asset|112.1|1.2|AZN| AstraZeneca PLC| 1.07%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|13.ASSET|Multi-Asset|112.1|0.98|HSBA| HSBC Holdings Plc| 0.87%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|14.ASSET|Multi-Asset|112.1|0.95|ULVR| Unilever PLC| 0.85%| Developed Markets|Multi-Asset|Diversified Portfolio||NTSI|6|15.ASSET|Multi-Asset|112.1|0.93|N/A| DERIVATIVE SECURITIES (OTHER)| 0.83%| North America|Equity|All Cap Equities||LYFE|6|1.ASSET|Equity|17.6|0.78|FTNT| Fortinet, Inc.| 4.43%| North America|Equity|All Cap Equities||LYFE|6|2.ASSET|Equity|17.6|0.77|NOW| ServiceNow, Inc.| 4.38%| North America|Equity|All Cap Equities||LYFE|6|3.ASSET|Equity|17.6|0.7|LRCX| Lam Research Corporation| 3.98%| North America|Equity|All Cap Equities||LYFE|6|4.ASSET|Equity|17.6|0.68|HD| Home Depot, Inc.| 3.84%| North America|Equity|All Cap Equities||LYFE|6|5.ASSET|Equity|17.6|0.64|REGN| Regeneron Pharmaceuticals, Inc.| 3.64%| North America|Equity|All Cap Equities||LYFE|6|6.ASSET|Equity|17.6|0.64|CVS| CVS Health Corporation| 3.62%| North America|Equity|All Cap Equities||LYFE|6|7.ASSET|Equity|17.6|0.64|FANG| Diamondback Energy, Inc.| 3.62%| North America|Equity|All Cap Equities||LYFE|6|8.ASSET|Equity|17.6|0.61|STLD| Steel Dynamics, Inc.| 3.47%| North America|Equity|All Cap Equities||LYFE|6|9.ASSET|Equity|17.6|0.6|ORLY| O\'Reilly Automotive, Inc.| 3.43%| North America|Equity|All Cap Equities||LYFE|6|10.ASSET|Equity|17.6|0.58|LNC| Lincoln National Corporation| 3.31%| North America|Equity|All Cap Equities||LYFE|6|11.ASSET|Equity|17.6|0.57|CMG| Chipotle Mexican Grill, Inc.| 3.24%| North America|Equity|All Cap Equities||LYFE|6|12.ASSET|Equity|17.6|0.52|IIVI| II-VI Incorporated| 2.95%| North America|Equity|All Cap Equities||LYFE|6|13.ASSET|Equity|17.6|0.51|LHX| L3Harris Technologies Inc| 2.89%| North America|Equity|All Cap Equities||LYFE|6|14.ASSET|Equity|17.6|0.5|LITE| Lumentum Holdings, Inc.| 2.86%| North America|Equity|All Cap Equities||LYFE|6|15.ASSET|Equity|17.6|0.5|DVN| Devon Energy Corporation| 2.85%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|1.ASSET|Equity|15.4|1.04|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 6.75%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|2.ASSET|Equity|15.4|0.53|700| Tencent Holdings Ltd.| 3.41%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|3.ASSET|Equity|15.4|0.5|005930| Samsung Electronics Co., Ltd.| 3.26%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|4.ASSET|Equity|15.4|0.47|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 3.07%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|5.ASSET|Equity|15.4|0.43|532540| Tata Consultancy Services Limited| 2.80%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|6.ASSET|Equity|15.4|0.3|3988| Bank of China Limited Class H| 1.95%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|7.ASSET|Equity|15.4|0.29|QNBK| Qatar National Bank QPSC| 1.90%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|8.ASSET|Equity|15.4|0.29|1398| Industrial and Commercial Bank of China Limited Class H| 1.90%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|9.ASSET|Equity|15.4|0.19|1120| Al Rajhi Bank| 1.21%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|10.ASSET|Equity|15.4|0.18|7010| Saudi Telecom Co.| 1.18%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|11.ASSET|Equity|15.4|0.17|2412| Chunghwa Telecom Co., Ltd| 1.13%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|12.ASSET|Equity|15.4|0.17|ETISALAT| Emirates Telecommunications Group Company PJSC| 1.10%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|13.ASSET|Equity|15.4|0.16|KFH| Kuwait Finance House K.S.C.| 1.05%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|14.ASSET|Equity|15.4|0.16|939| China Construction Bank Corporation Class H| 1.02%| Broad Asia|Equity|Volatility Hedged Equity||QLVE|6|15.ASSET|Equity|15.4|0.16|2886| Mega Financial Holding Co., Ltd.| 1.02%| North America|Equity|n/a||GK|6|1.ASSET|Equity|22.8|2.24|TSLA| Tesla Inc| 9.82%| North America|Equity|n/a||GK|6|2.ASSET|Equity|22.8|1.12|NVDA| NVIDIA Corporation| 4.93%| North America|Equity|n/a||GK|6|3.ASSET|Equity|22.8|1.12|MSFT| Microsoft Corporation| 4.90%| North America|Equity|n/a||GK|6|4.ASSET|Equity|22.8|1.1|MGM| MGM Resorts International| 4.83%| North America|Equity|n/a||GK|6|5.ASSET|Equity|22.8|0.97|AAPL| Apple Inc.| 4.25%| North America|Equity|n/a||GK|6|6.ASSET|Equity|22.8|0.95|LIT| Global X Lithium & Battery Tech ETF| 4.17%| North America|Equity|n/a||GK|6|7.ASSET|Equity|22.8|0.91|BX| Blackstone Inc.| 3.97%| North America|Equity|n/a||GK|6|8.ASSET|Equity|22.8|0.8|LEN| Lennar Corporation Class A| 3.49%| North America|Equity|n/a||GK|6|9.ASSET|Equity|22.8|0.75|GOOG| Alphabet Inc. Class C| 3.27%| North America|Equity|n/a||GK|6|10.ASSET|Equity|22.8|0.75|HD| Home Depot, Inc.| 3.27%| North America|Equity|n/a||GK|6|11.ASSET|Equity|22.8|0.67|IIPR| Innovative Industrial Properties Inc| 2.96%| North America|Equity|n/a||GK|6|12.ASSET|Equity|22.8|0.62|NFLX| Netflix, Inc.| 2.73%| North America|Equity|n/a||GK|6|13.ASSET|Equity|22.8|0.62|MSOS| AdvisorShares Pure US Cannabis ETF| 2.71%| North America|Equity|n/a||GK|6|14.ASSET|Equity|22.8|0.55|TMO| Thermo Fisher Scientific Inc.| 2.42%| North America|Equity|n/a||GK|6|15.ASSET|Equity|22.8|0.55|ZTS| Zoetis, Inc. Class A| 2.41%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|1.ASSET|Equity|42.5|3.63|MAR| Marriott International, Inc. Class A| 8.54%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|2.ASSET|Equity|42.5|3.18|HLT| Hilton Worldwide Holdings Inc| 7.48%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|3.ASSET|Equity|42.5|2.71|DAL| Delta Air Lines, Inc.| 6.37%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|4.ASSET|Equity|42.5|2.61|CCL| Carnival Corporation| 6.14%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|5.ASSET|Equity|42.5|2.42|RCL| Royal Caribbean Group| 5.70%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|6.ASSET|Equity|42.5|2.32|LUV| Southwest Airlines Co.| 5.45%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|7.ASSET|Equity|42.5|1.64|RYAAY| Ryanair Holdings Plc Sponsored ADR| 3.85%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|8.ASSET|Equity|42.5|1.5|UAL| United Airlines Holdings, Inc.| 3.53%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|9.ASSET|Equity|42.5|1.27|NCLH| Norwegian Cruise Line Holdings Ltd.| 2.98%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|10.ASSET|Equity|42.5|1.22|IHG| InterContinental Hotels Group PLC Sponsored ADR| 2.87%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|11.ASSET|Equity|42.5|1.19|AAL| American Airlines Group, Inc.| 2.79%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|12.ASSET|Equity|42.5|0.93|IAG| International Consolidated Airlines Group SA| 2.18%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|13.ASSET|Equity|42.5|0.91|QAN| Qantas Airways Limited| 2.13%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|14.ASSET|Equity|42.5|0.9|HST| Host Hotels & Resorts, Inc.| 2.11%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|CRUZ|6|15.ASSET|Equity|42.5|0.82|WTB| Whitbread PLC| 1.92%| North America|Equity|Large Cap Blend Equities||SPUC|6|1.ASSET|Equity|11.8|11.59|IVV| iShares Core S&P 500 ETF| 98.25%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|1.ASSET|Equity|17.4|3.62|1299| AIA Group Limited| 20.79%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|2.ASSET|Equity|17.4|2|388| Hong Kong Exchanges & Clearing Ltd.| 11.51%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|3.ASSET|Equity|17.4|0.68|669| Techtronic Industries Co., Ltd.| 3.88%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|4.ASSET|Equity|17.4|0.61|1| CK Hutchison Holdings Ltd| 3.52%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|5.ASSET|Equity|17.4|0.54|823| Link Real Estate Investment Trust| 3.12%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|6.ASSET|Equity|17.4|0.54|3| Hong Kong & China Gas Co. Ltd.| 3.11%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|7.ASSET|Equity|17.4|0.54|16| Sun Hung Kai Properties Limited| 3.09%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|8.ASSET|Equity|17.4|0.53|2| CLP Holdings Limited| 3.07%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|9.ASSET|Equity|17.4|0.44|11| Hang Seng Bank, Limited| 2.53%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|10.ASSET|Equity|17.4|0.42|2388| BOC Hong Kong (Holdings) Limited| 2.40%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|11.ASSET|Equity|17.4|0.41|1113| CK Asset Holdings Limited| 2.35%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|12.ASSET|Equity|17.4|0.4|J36| Jardine Matheson Holdings Limited| 2.31%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|13.ASSET|Equity|17.4|0.4|27| Galaxy Entertainment Group Limited| 2.31%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|14.ASSET|Equity|17.4|0.33|6160| BeiGene, Ltd.| 1.89%| Developed Asia Pacific|Equity|Asia Pacific Equities||FLHK|6|15.ASSET|Equity|17.4|0.28|6| Power Assets Holdings Limited| 1.59%| Developed Markets|Equity|Europe Equities||DBEZ|6|1.ASSET|Equity|14.3|0.67|ASML| ASML Holding NV| 4.72%| Developed Markets|Equity|Europe Equities||DBEZ|6|2.ASSET|Equity|14.3|0.5|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.47%| Developed Markets|Equity|Europe Equities||DBEZ|6|3.ASSET|Equity|14.3|0.34|TTE| TotalEnergies SE| 2.35%| Developed Markets|Equity|Europe Equities||DBEZ|6|4.ASSET|Equity|14.3|0.29|SAP| SAP SE| 2.06%| Developed Markets|Equity|Europe Equities||DBEZ|6|5.ASSET|Equity|14.3|0.29|SAN| Sanofi| 2.03%| Developed Markets|Equity|Europe Equities||DBEZ|6|6.ASSET|Equity|14.3|0.26|SIE| Siemens AG| 1.85%| Developed Markets|Equity|Europe Equities||DBEZ|6|7.ASSET|Equity|14.3|0.24|OR| L\'Oreal SA| 1.71%| Developed Markets|Equity|Europe Equities||DBEZ|6|8.ASSET|Equity|14.3|0.23|ALV| Allianz SE| 1.59%| Developed Markets|Equity|Europe Equities||DBEZ|6|9.ASSET|Equity|14.3|0.21|SU| Schneider Electric SE| 1.46%| Developed Markets|Equity|Europe Equities||DBEZ|6|10.ASSET|Equity|14.3|0.2|AI| Air Liquide SA| 1.38%| Developed Markets|Equity|Europe Equities||DBEZ|6|11.ASSET|Equity|14.3|0.18|AIR| Airbus SE| 1.27%| Developed Markets|Equity|Europe Equities||DBEZ|6|12.ASSET|Equity|14.3|0.16|IBE| Iberdrola SA| 1.11%| Developed Markets|Equity|Europe Equities||DBEZ|6|13.ASSET|Equity|14.3|0.16|BNP| BNP Paribas SA Class A| 1.10%| Developed Markets|Equity|Europe Equities||DBEZ|6|14.ASSET|Equity|14.3|0.15|MBG| Mercedes-Benz Group AG| 1.07%| Developed Markets|Equity|Europe Equities||DBEZ|6|15.ASSET|Equity|14.3|0.15|BAYN| Bayer AG| 1.04%| North America|Equity|Large Cap Growth Equities||RWGV|6|1.ASSET|Equity|16.6|15.33|IWF| iShares Russell 1000 Growth ETF| 92.34%| North America|Equity|Large Cap Growth Equities||RWGV|6|2.ASSET|Equity|16.6|1.02|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 6.15%| North America|Equity|n/a||XDQQ|6|1.ASSET|Equity|10.7|10.67|N/A| OPTIONS| 99.74%| North America|Equity|n/a||XDQQ|6|2.ASSET|Equity|10.7|10.67|N/A| OPTIONS| 99.73%| North America|Equity|n/a||XDQQ|6|3.ASSET|Equity|10.7|0.03|N/A| U.S. Dollar| 0.27%| North America|Equity|n/a||XDQQ|6|4.ASSET|Equity|10.7|0.03|N/A| U.S. Dollar| 0.26%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|1.ASSET|Bond|17.6|0.4|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-JUL-2039| 2.26%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|2.ASSET|Bond|17.6|0.4|N/A| New York St Dorm Auth Revs Non St Supported Debt 5.0% 01-JUL-2039| 2.26%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|3.ASSET|Bond|17.6|0.36|N/A| Illinois St Toll Hwy Auth Toll Highway Rev 5.0% 01-JAN-2044| 2.06%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|4.ASSET|Bond|17.6|0.36|N/A| Illinois St Toll Hwy Auth Toll Highway Rev 5.0% 01-JAN-2044| 2.06%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|5.ASSET|Bond|17.6|0.35|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-MAY-2037| 1.98%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|6.ASSET|Bond|17.6|0.35|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-MAY-2037| 1.98%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|7.ASSET|Bond|17.6|0.24|N/A| East Bay Calif Mun Util Dist Wtr Sys Rev 5.0% 01-JUN-2049| 1.39%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|8.ASSET|Bond|17.6|0.24|N/A| East Bay Calif Mun Util Dist Wtr Sys Rev 5.0% 01-JUN-2049| 1.38%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|9.ASSET|Bond|17.6|0.23|N/A| Vermont Edl & Health Bldgs Fing Agy Rev 4.0% 01-NOV-2050| 1.28%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|10.ASSET|Bond|17.6|0.23|N/A| Vermont Edl & Health Bldgs Fing Agy Rev 4.0% 01-NOV-2050| 1.28%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|11.ASSET|Bond|17.6|0.22|N/A| Savannah Ga Hosp Auth Rev 4.0% 01-JUL-2043| 1.27%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|12.ASSET|Bond|17.6|0.22|N/A| Savannah Ga Hosp Auth Rev 4.0% 01-JUL-2043| 1.27%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|13.ASSET|Bond|17.6|0.21|N/A| Illinois Fin Auth Rev 5.0% 01-JUL-2037| 1.19%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|14.ASSET|Bond|17.6|0.21|N/A| Illinois Fin Auth Rev 5.0% 01-JUL-2037| 1.19%| North America|Bond|National Munis|Target Maturity Date Munis|BSMT|6|15.ASSET|Bond|17.6|0.2|N/A| California St 4.0% 01-OCT-2044| 1.13%| North America|Equity|All Cap Equities||BOSS|6|1.ASSET|Equity|13|0.28|APO| Apollo Global Management Inc.| 2.12%| North America|Equity|All Cap Equities||BOSS|6|2.ASSET|Equity|13|0.22|PXD| Pioneer Natural Resources Company| 1.67%| North America|Equity|All Cap Equities||BOSS|6|3.ASSET|Equity|13|0.21|NXST| Nexstar Media Group, Inc. Class A| 1.59%| North America|Equity|All Cap Equities||BOSS|6|4.ASSET|Equity|13|0.19|ZEN| Zendesk, Inc.| 1.49%| North America|Equity|All Cap Equities||BOSS|6|5.ASSET|Equity|13|0.19|TTD| Trade Desk, Inc. Class A| 1.44%| North America|Equity|All Cap Equities||BOSS|6|6.ASSET|Equity|13|0.19|WLK| Westlake Corporation| 1.43%| North America|Equity|All Cap Equities||BOSS|6|7.ASSET|Equity|13|0.18|STLD| Steel Dynamics, Inc.| 1.42%| North America|Equity|All Cap Equities||BOSS|6|8.ASSET|Equity|13|0.18|NFE| New Fortress Energy Inc. Class A| 1.40%| North America|Equity|All Cap Equities||BOSS|6|9.ASSET|Equity|13|0.18|IONS| Ionis Pharmaceuticals, Inc.| 1.39%| North America|Equity|All Cap Equities||BOSS|6|10.ASSET|Equity|13|0.18|SBNY| Signature Bank| 1.38%| North America|Equity|All Cap Equities||BOSS|6|11.ASSET|Equity|13|0.18|AKAM| Akamai Technologies, Inc.| 1.36%| North America|Equity|All Cap Equities||BOSS|6|12.ASSET|Equity|13|0.18|LHCG| LHC Group, Inc.| 1.35%| North America|Equity|All Cap Equities||BOSS|6|13.ASSET|Equity|13|0.17|JAZZ| Jazz Pharmaceuticals Public Limited Company| 1.33%| North America|Equity|All Cap Equities||BOSS|6|14.ASSET|Equity|13|0.17|FTNT| Fortinet, Inc.| 1.33%| North America|Equity|All Cap Equities||BOSS|6|15.ASSET|Equity|13|0.17|EEFT| Euronet Worldwide, Inc.| 1.32%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|1.ASSET|Equity|14.4|0.74|TSLA| Tesla Inc| 5.14%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|2.ASSET|Equity|14.4|0.64|N/A| U.S. Dollar| 4.44%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|3.ASSET|Equity|14.4|0.63|ON| ON Semiconductor Corporation| 4.40%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|4.ASSET|Equity|14.4|0.56|THRM| Gentherm Incorporated| 3.89%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|5.ASSET|Equity|14.4|0.55|NVDA| NVIDIA Corporation| 3.82%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|6.ASSET|Equity|14.4|0.53|GOOG| Alphabet Inc. Class C| 3.67%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|7.ASSET|Equity|14.4|0.51|PWR| Quanta Services, Inc.| 3.57%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|8.ASSET|Equity|14.4|0.49|ETN| Eaton Corp. Plc| 3.41%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|9.ASSET|Equity|14.4|0.48|POWI| Power Integrations, Inc.| 3.33%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|10.ASSET|Equity|14.4|0.46|6902| DENSO CORPORATION| 3.22%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|11.ASSET|Equity|14.4|0.46|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 3.21%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|12.ASSET|Equity|14.4|0.45|APH| Amphenol Corporation Class A| 3.10%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|13.ASSET|Equity|14.4|0.44|ST| Sensata Technologies Holding PLC| 3.04%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|14.ASSET|Equity|14.4|0.44|ADI| Analog Devices, Inc.| 3.03%| Global ex-U.S.|Equity|Transportation Equities|Industrials|MOTO|6|15.ASSET|Equity|14.4|0.43|NXPI| NXP Semiconductors NV| 3.02%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|1.ASSET|Bond|19.2|0.42|N/A| Sprint Capital Corp. 6.875% 15-NOV-2028| 2.21%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|2.ASSET|Bond|19.2|0.34|N/A| DISH DBS Corporation 5.75% 01-DEC-2028| 1.77%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|3.ASSET|Bond|19.2|0.33|N/A| Carnival Corporation 4.0% 01-AUG-2028| 1.71%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|4.ASSET|Bond|19.2|0.29|N/A| Sirius XM Radio Inc. 4.0% 15-JUL-2028| 1.49%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|5.ASSET|Bond|19.2|0.27|N/A| Frontier Communications Corporation 5.0% 01-MAY-2028| 1.39%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|6.ASSET|Bond|19.2|0.26|N/A| Bausch Health Companies Inc. 4.875% 01-JUN-2028| 1.36%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|7.ASSET|Bond|19.2|0.25|N/A| PetSmart, Inc. 4.75% 15-FEB-2028| 1.29%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|8.ASSET|Bond|19.2|0.24|N/A| NFP Corp. 6.875% 15-AUG-2028| 1.23%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|9.ASSET|Bond|19.2|0.22|N/A| Organon Finance 1 LLC 4.125% 30-APR-2028| 1.17%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|10.ASSET|Bond|19.2|0.2|N/A| Iliad Holding SAS 7.0% 15-OCT-2028| 1.05%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|11.ASSET|Bond|19.2|0.2|N/A| UPC Holding BV 5.5% 15-JAN-2028| 1.04%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|12.ASSET|Bond|19.2|0.2|N/A| Jaguar Land Rover Automotive Plc 5.875% 15-JAN-2028| 1.03%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|13.ASSET|Bond|19.2|0.2|N/A| Windstream Escrow LLC 7.75% 15-AUG-2028| 1.03%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|14.ASSET|Bond|19.2|0.2|N/A| Jefferies Finance LLC 5.0% 15-AUG-2028| 1.02%| North America|Bond|High Yield Bonds|Target Maturity Date Junk Bond|BSJS|6|15.ASSET|Bond|19.2|0.19|N/A| Allied Universal Holdco LLC 4.625% 01-JUN-2028| 1.00%| Latin America|Equity|Leveraged Equities||LBJ|6|1.ASSET|Equity|14.4|10.5|N/A| U.S. Dollar| 72.95%| Latin America|Equity|Leveraged Equities||LBJ|6|2.ASSET|Equity|14.4|3.9|ILF| iShares Latin America 40 ETF| 27.05%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|1.ASSET|Equity|13.6|0.58|7203| Toyota Motor Corp.| 4.24%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|2.ASSET|Equity|13.6|0.39|6758| Sony Group Corporation| 2.88%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|3.ASSET|Equity|13.6|0.27|8035| Tokyo Electron Ltd.| 2.00%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|4.ASSET|Equity|13.6|0.26|6861| Keyence Corporation| 1.91%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|5.ASSET|Equity|13.6|0.24|7267| Honda Motor Co., Ltd.| 1.73%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|6.ASSET|Equity|13.6|0.2|9433| KDDI Corporation| 1.45%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|7.ASSET|Equity|13.6|0.19|8306| Mitsubishi UFJ Financial Group, Inc.| 1.42%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|8.ASSET|Equity|13.6|0.19|9432| Nippon Telegraph and Telephone Corporation| 1.39%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|9.ASSET|Equity|13.6|0.19|8002| Marubeni Corporation| 1.38%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|10.ASSET|Equity|13.6|0.18|6098| Recruit Holdings Co., Ltd.| 1.34%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|11.ASSET|Equity|13.6|0.18|8031| Mitsui & Co.,Ltd| 1.34%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|12.ASSET|Equity|13.6|0.18|9984| SoftBank Group Corp.| 1.32%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|13.ASSET|Equity|13.6|0.17|7974| Nintendo Co., Ltd.| 1.28%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|14.ASSET|Equity|13.6|0.16|8058| Mitsubishi Corporation| 1.21%| Developed Asia Pacific|Equity|Japan Equities||GSJY|6|15.ASSET|Equity|13.6|0.15|4502| Takeda Pharmaceutical Co. Ltd.| 1.12%| Global|Commodity|Oil & Gas||GAZ|6|1.ASSET|Commodity|15.1|15.1|N/A| Natural Gas| 100.00%| North America|Equity|Small Cap Blend Equities||HSMV|6|1.ASSET|Equity|16.4|0.13|MDRX| Allscripts Healthcare Solutions, Inc.| 0.81%| North America|Equity|Small Cap Blend Equities||HSMV|6|2.ASSET|Equity|16.4|0.12|COOP| Mr. Cooper Group, Inc.| 0.72%| North America|Equity|Small Cap Blend Equities||HSMV|6|3.ASSET|Equity|16.4|0.12|RGLD| Royal Gold, Inc.| 0.71%| North America|Equity|Small Cap Blend Equities||HSMV|6|4.ASSET|Equity|16.4|0.11|OGE| OGE Energy Corp.| 0.70%| North America|Equity|Small Cap Blend Equities||HSMV|6|5.ASSET|Equity|16.4|0.11|FLO| Flowers Foods, Inc.| 0.68%| North America|Equity|Small Cap Blend Equities||HSMV|6|6.ASSET|Equity|16.4|0.11|NWE| NorthWestern Corporation| 0.66%| North America|Equity|Small Cap Blend Equities||HSMV|6|7.ASSET|Equity|16.4|0.11|VIAV| Viavi Solutions Inc| 0.66%| North America|Equity|Small Cap Blend Equities||HSMV|6|8.ASSET|Equity|16.4|0.11|LXP| LXP Industrial Trust| 0.65%| North America|Equity|Small Cap Blend Equities||HSMV|6|9.ASSET|Equity|16.4|0.11|FCN| FTI Consulting, Inc.| 0.65%| North America|Equity|Small Cap Blend Equities||HSMV|6|10.ASSET|Equity|16.4|0.1|CPT| Camden Property Trust| 0.64%| North America|Equity|Small Cap Blend Equities||HSMV|6|11.ASSET|Equity|16.4|0.1|ORI| Old Republic International Corporation| 0.64%| North America|Equity|Small Cap Blend Equities||HSMV|6|12.ASSET|Equity|16.4|0.1|CBSH| Commerce Bancshares, Inc.| 0.64%| North America|Equity|Small Cap Blend Equities||HSMV|6|13.ASSET|Equity|16.4|0.1|IDA| IDACORP, Inc.| 0.63%| North America|Equity|Small Cap Blend Equities||HSMV|6|14.ASSET|Equity|16.4|0.1|AVT| Avnet, Inc.| 0.63%| North America|Equity|Small Cap Blend Equities||HSMV|6|15.ASSET|Equity|16.4|0.1|FICO| Fair Isaac Corporation| 0.63%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|1.ASSET|Equity|8.4|0.45|600519| Kweichow Moutai Co., Ltd. Class A| 5.35%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|2.ASSET|Equity|8.4|0.23|300750| Contemporary Amperex Technology Co., Ltd. Class A| 2.79%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|3.ASSET|Equity|8.4|0.2|600036| China Merchants Bank Co., Ltd. Class A| 2.40%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|4.ASSET|Equity|8.4|0.14|000858| Wuliangye Yibin Co., Ltd. Class A| 1.72%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|5.ASSET|Equity|8.4|0.11|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 1.29%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|6.ASSET|Equity|8.4|0.11|600900| China Yangtze Power Co., Ltd. Class A| 1.27%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|7.ASSET|Equity|8.4|0.09|601166| Industrial Bank Co., Ltd. Class A| 1.08%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|8.ASSET|Equity|8.4|0.09|002594| BYD Company Limited Class A| 1.07%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|9.ASSET|Equity|8.4|0.08|601012| LONGi Green Energy Technology Co Ltd Class A| 1.01%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|10.ASSET|Equity|8.4|0.08|601888| China Tourism Group Duty Free Corporation Limited Class A| 0.93%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|11.ASSET|Equity|8.4|0.08|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 0.90%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|12.ASSET|Equity|8.4|0.07|600809| Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A| 0.88%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|13.ASSET|Equity|8.4|0.07|603288| Foshan Haitian Flavouring & Food Co., Ltd. Class A| 0.84%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|14.ASSET|Equity|8.4|0.06|002714| Muyuan Foods Co., Ltd. Class A| 0.74%| Emerging Asia Pacific|Equity|China Equities||ASHX|6|15.ASSET|Equity|8.4|0.06|000568| Luzhou Laojiao Company Limited Class A| 0.73%| Global ex-U.S.|Equity|n/a||ISVL|6|1.ASSET|Equity|162|2.88|TOU| Tourmaline Oil Corp.| 1.78%| Global ex-U.S.|Equity|n/a||ISVL|6|2.ASSET|Equity|162|2.56|WFG| West Fraser Timber Co. Ltd.| 1.58%| Global ex-U.S.|Equity|n/a||ISVL|6|3.ASSET|Equity|162|2.11|ARX| ARC Resources Ltd.| 1.30%| Global ex-U.S.|Equity|n/a||ISVL|6|4.ASSET|Equity|162|1.88|CAR.UT| Canadian Apartment Properties Real Estate Investment Trust| 1.16%| Global ex-U.S.|Equity|n/a||ISVL|6|5.ASSET|Equity|162|1.65|IAG| iA Financial Corporation Inc.| 1.02%| Global ex-U.S.|Equity|n/a||ISVL|6|6.ASSET|Equity|162|1.6|ALA| AltaGas Ltd.| 0.99%| Global ex-U.S.|Equity|n/a||ISVL|6|7.ASSET|Equity|162|1.59|BIRG| Bank of Ireland Group Plc| 0.98%| Global ex-U.S.|Equity|n/a||ISVL|6|8.ASSET|Equity|162|1.54|BBOX| Tritax Big Box REIT Plc| 0.95%| Global ex-U.S.|Equity|n/a||ISVL|6|9.ASSET|Equity|162|1.36|BAMI| Banco BPM SpA| 0.84%| Global ex-U.S.|Equity|n/a||ISVL|6|10.ASSET|Equity|162|1.33|ONEX| Onex Corporation| 0.82%| Global ex-U.S.|Equity|n/a||ISVL|6|11.ASSET|Equity|162|1.25|YRI| Yamana Gold Inc.| 0.77%| Global ex-U.S.|Equity|n/a||ISVL|6|12.ASSET|Equity|162|1.22|FTT| Finning International Inc.| 0.75%| Global ex-U.S.|Equity|n/a||ISVL|6|13.ASSET|Equity|162|1.18|GRT.UT| Granite Real Estate Investment Trust Stapled Units - 1 Granite RE Inc + 1 TU Granite REIT| 0.73%| Global ex-U.S.|Equity|n/a||ISVL|6|14.ASSET|Equity|162|1.13|AP.UT| Allied Properties Real Estate Investment Trust| 0.70%| Global ex-U.S.|Equity|n/a||ISVL|6|15.ASSET|Equity|162|1.09|NDA| Aurubis AG| 0.67%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|1.ASSET|Equity|11.6|2.04|TSLA| Tesla Inc| 17.58%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|2.ASSET|Equity|11.6|1.48|N/A| U.S. Dollar| 12.77%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|3.ASSET|Equity|11.6|1.06|PG| Procter & Gamble Company| 9.14%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|4.ASSET|Equity|11.6|0.69|KO| Coca-Cola Company| 5.96%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|5.ASSET|Equity|11.6|0.65|PEP| PepsiCo, Inc.| 5.59%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|6.ASSET|Equity|11.6|0.49|NKE| NIKE, Inc. Class B| 4.25%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|7.ASSET|Equity|11.6|0.45|PM| Philip Morris International Inc.| 3.92%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|8.ASSET|Equity|11.6|0.28|MO| Altria Group Inc| 2.38%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|9.ASSET|Equity|11.6|0.26|MDLZ| Mondelez International, Inc. Class A| 2.21%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|10.ASSET|Equity|11.6|0.2|F| Ford Motor Company| 1.74%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|11.ASSET|Equity|11.6|0.19|EL| Estee Lauder Companies Inc. Class A| 1.66%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|12.ASSET|Equity|11.6|0.19|GM| General Motors Company| 1.65%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|13.ASSET|Equity|11.6|0.18|CL| Colgate-Palmolive Company| 1.59%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|14.ASSET|Equity|11.6|0.18|ATVI| Activision Blizzard, Inc.| 1.56%| North America|Equity|Leveraged Equities|Consumer Staples|UGE|6|15.ASSET|Equity|11.6|0.13|ADM| Archer-Daniels-Midland Company| 1.10%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|1.ASSET|Equity|17|1.96|KO| Coca-Cola Company| 11.52%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|2.ASSET|Equity|17|1.75|PEP| PepsiCo, Inc.| 10.27%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|3.ASSET|Equity|17|1.4|PG| Procter & Gamble Company| 8.24%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|4.ASSET|Equity|17|0.85|PM| Philip Morris International Inc.| 5.01%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|5.ASSET|Equity|17|0.77|MDLZ| Mondelez International, Inc. Class A| 4.54%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|6.ASSET|Equity|17|0.75|MO| Altria Group Inc| 4.40%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|7.ASSET|Equity|17|0.59|SBUX| Starbucks Corporation| 3.48%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|8.ASSET|Equity|17|0.56|GIS| General Mills, Inc.| 3.30%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|9.ASSET|Equity|17|0.43|MNST| Monster Beverage Corporation| 2.53%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|10.ASSET|Equity|17|0.43|MCD| McDonald\'s Corporation| 2.50%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|11.ASSET|Equity|17|0.4|KDP| Keurig Dr Pepper Inc.| 2.34%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|12.ASSET|Equity|17|0.39|ADM| Archer-Daniels-Midland Company| 2.27%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|13.ASSET|Equity|17|0.36|HSY| Hershey Company| 2.14%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|14.ASSET|Equity|17|0.33|CL| Colgate-Palmolive Company| 1.97%| North America|Equity|Consumer Staples Equities|Consumer Staples|IECS|6|15.ASSET|Equity|17|0.28|SYY| Sysco Corporation| 1.66%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|1.ASSET|Multi-Asset|13.5|6.72|TLT| iShares 20+ Year Treasury Bond ETF| 49.76%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|2.ASSET|Multi-Asset|13.5|3|N/A| MUTUAL FUND (OTHER)| 22.23%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|3.ASSET|Multi-Asset|13.5|0.63|NEE| NextEra Energy, Inc.| 4.63%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|4.ASSET|Multi-Asset|13.5|0.3|DUK| Duke Energy Corporation| 2.23%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|5.ASSET|Multi-Asset|13.5|0.27|SO| Southern Company| 2.01%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|6.ASSET|Multi-Asset|13.5|0.24|D| Dominion Energy Inc| 1.79%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|7.ASSET|Multi-Asset|13.5|0.21|EXC| Exelon Corporation| 1.52%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|8.ASSET|Multi-Asset|13.5|0.17|AEP| American Electric Power Company, Inc.| 1.27%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|9.ASSET|Multi-Asset|13.5|0.16|SRE| Sempra Energy| 1.21%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|10.ASSET|Multi-Asset|13.5|0.14|XEL| Xcel Energy Inc.| 1.03%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|11.ASSET|Multi-Asset|13.5|0.13|PEG| Public Service Enterprise Group Inc| 0.93%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|12.ASSET|Multi-Asset|13.5|0.12|N/A| U.S. Dollar| 0.86%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|13.ASSET|Multi-Asset|13.5|0.11|AWK| American Water Works Company, Inc.| 0.85%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|14.ASSET|Multi-Asset|13.5|0.11|WEC| WEC Energy Group Inc| 0.85%| North America|Multi-Asset|Diversified Portfolio||FLYT|6|15.ASSET|Multi-Asset|13.5|0.11|ES| Eversource Energy| 0.84%| North America|Equity|All Cap Equities||BOUT|6|1.ASSET|Equity|16.9|0.48|PDCE| PDC Energy, Inc.| 2.86%| North America|Equity|All Cap Equities||BOUT|6|2.ASSET|Equity|16.9|0.48|ARCH| Arch Resources, Inc. Class A| 2.85%| North America|Equity|All Cap Equities||BOUT|6|3.ASSET|Equity|16.9|0.43|EPD| Enterprise Products Partners L.P.| 2.54%| North America|Equity|All Cap Equities||BOUT|6|4.ASSET|Equity|16.9|0.43|TRP| TC Energy Corporation| 2.53%| North America|Equity|All Cap Equities||BOUT|6|5.ASSET|Equity|16.9|0.41|TDG| TransDigm Group Incorporated| 2.45%| North America|Equity|All Cap Equities||BOUT|6|6.ASSET|Equity|16.9|0.41|AIZ| Assurant, Inc.| 2.42%| North America|Equity|All Cap Equities||BOUT|6|7.ASSET|Equity|16.9|0.41|USFD| US Foods Holding Corp.| 2.41%| North America|Equity|All Cap Equities||BOUT|6|8.ASSET|Equity|16.9|0.41|GDDY| GoDaddy, Inc. Class A| 2.41%| North America|Equity|All Cap Equities||BOUT|6|9.ASSET|Equity|16.9|0.4|BRX| Brixmor Property Group, Inc.| 2.39%| North America|Equity|All Cap Equities||BOUT|6|10.ASSET|Equity|16.9|0.4|DRI| Darden Restaurants, Inc.| 2.35%| North America|Equity|All Cap Equities||BOUT|6|11.ASSET|Equity|16.9|0.4|FWONK| Liberty Media Corp. Series C Liberty Formula One| 2.34%| North America|Equity|All Cap Equities||BOUT|6|12.ASSET|Equity|16.9|0.39|APA| APA Corp.| 2.33%| North America|Equity|All Cap Equities||BOUT|6|13.ASSET|Equity|16.9|0.39|SIX| Six Flags Entertainment Corporation| 2.33%| North America|Equity|All Cap Equities||BOUT|6|14.ASSET|Equity|16.9|0.39|EVRI| Everi Holdings, Inc.| 2.32%| North America|Equity|All Cap Equities||BOUT|6|15.ASSET|Equity|16.9|0.39|RL| Ralph Lauren Corporation Class A| 2.32%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|1.ASSET|Equity|6.7|0.19|2359| WuXi AppTec Co., Ltd. Class H| 2.80%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|2.ASSET|Equity|6.7|0.19|3347| Hangzhou Tigermed Consulting Co., Ltd. Class H| 2.77%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|3.ASSET|Equity|6.7|0.18|6821| Asymchem Laboratories (Tianjin) Co., Ltd. Class H| 2.63%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|4.ASSET|Equity|6.7|0.17|2269| Wuxi Biologics (Cayman) Inc.| 2.59%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|5.ASSET|Equity|6.7|0.17|3759| Pharmaron Beijing Co., Ltd. Class H| 2.50%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|6.ASSET|Equity|6.7|0.16|BGNE| BeiGene, Ltd. Sponsored ADR| 2.37%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|7.ASSET|Equity|6.7|0.16|2196| Shanghai Fosun Pharmaceutical (Group) Co., Ltd. Class H| 2.33%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|8.ASSET|Equity|6.7|0.15|9995| RemeGen Co. Ltd. Class H| 2.26%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|9.ASSET|Equity|6.7|0.15|3692| Hansoh Pharmaceutical Group Company Limited| 2.20%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|10.ASSET|Equity|6.7|0.14|1093| CSPC Pharmaceutical Group Limited| 2.16%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|11.ASSET|Equity|6.7|0.14|2096| Simcere Pharmaceutical Group Limited| 2.14%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|12.ASSET|Equity|6.7|0.14|1177| Sino Biopharmaceutical Limited| 2.10%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|13.ASSET|Equity|6.7|0.14|2171| CARsgen Therapeutics Holdings Ltd.| 2.07%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|14.ASSET|Equity|6.7|0.13|6127| JOINN Laboratories (China) Co., Ltd. Class H| 1.97%| Emerging Asia Pacific|Equity|Health & Biotech Equities|Healthcare|CHNA|6|15.ASSET|Equity|6.7|0.13|IMAB| I-MAB Sponsored ADR| 1.95%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|1.ASSET|Bond|13.7|2.01|N/A| CORPORATE BOND| 14.69%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|2.ASSET|Bond|13.7|1.52|N/A| AGENCY BOND| 11.11%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|3.ASSET|Bond|13.7|1.12|N/A| U.S. Dollar| 8.17%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|4.ASSET|Bond|13.7|0.65|N/A| State Power Investment Corp., Ltd. 3.55% 22-OCT-2022| 4.72%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|5.ASSET|Bond|13.7|0.65|N/A| China National Petroleum Corp. 3.51% 09-JUL-2022| 4.71%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|6.ASSET|Bond|13.7|0.64|N/A| China BaoWu Steel Group Corp., Ltd. 2.37% 22-MAY-2023| 4.67%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|7.ASSET|Bond|13.7|0.61|N/A| Government of China 2.47% 02-SEP-2024| 4.47%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|8.ASSET|Bond|13.7|0.54|N/A| Government of China 3.22% 06-DEC-2025| 3.93%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|9.ASSET|Bond|13.7|0.53|N/A| Government of China 2.69% 12-AUG-2026| 3.89%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|10.ASSET|Bond|13.7|0.45|N/A| Government of China 2.89% 18-NOV-2031| 3.30%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|11.ASSET|Bond|13.7|0.45|N/A| Government of China 2.91% 14-OCT-2028| 3.30%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|12.ASSET|Bond|13.7|0.45|N/A| Government of China 3.53% 18-OCT-2051| 3.26%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|13.ASSET|Bond|13.7|0.42|N/A| Government of China 2.84% 08-APR-2024| 3.08%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|14.ASSET|Bond|13.7|0.42|N/A| Agricultural Development Bank of China 4.18% 04-MAY-2022| 3.05%| Emerging Asia Pacific|Bond|International Government Bonds|China Bonds|KBND|6|15.ASSET|Bond|13.7|0.41|N/A| TREASURY ISSUES (LONG-TERM)| 2.98%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|1.ASSET|Equity|11.2|0.47|BHP| BHP Group Ltd| 4.24%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|2.ASSET|Equity|11.2|0.33|CNP| CNP Assurances SA| 2.91%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|3.ASSET|Equity|11.2|0.29|LUNE| Lundin Energy AB| 2.60%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|4.ASSET|Equity|11.2|0.28|NG| National Grid plc| 2.54%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|5.ASSET|Equity|11.2|0.27|BATS| British American Tobacco p.l.c.| 2.44%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|6.ASSET|Equity|11.2|0.27|9104| Mitsui O.S.K.Lines,Ltd.| 2.38%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|7.ASSET|Equity|11.2|0.26|ZURN| Zurich Insurance Group Ltd| 2.35%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|8.ASSET|Equity|11.2|0.25|6| Power Assets Holdings Limited| 2.27%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|9.ASSET|Equity|11.2|0.25|VCX| Vicinity Centres| 2.23%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|10.ASSET|Equity|11.2|0.25|6823| HKT Trust and HKT Ltd| 2.21%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|11.ASSET|Equity|11.2|0.25|1038| CK Infrastructure Holdings Limited| 2.21%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|12.ASSET|Equity|11.2|0.24|SPK| Spark New Zealand Limited| 2.16%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|13.ASSET|Equity|11.2|0.24|NTGY| Naturgy Energy Group, S.A.| 2.15%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|14.ASSET|Equity|11.2|0.24|9434| SoftBank Corp.| 2.14%| Developed Markets|Equity|Foreign Large Cap Equities||EFAS|6|15.ASSET|Equity|11.2|0.24|6178| JAPAN POST HOLDINGS Co., Ltd.| 2.12%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|1.ASSET|Equity|9.8|0.56|AXP| American Express Company| 5.70%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|2.ASSET|Equity|9.8|0.54|FLT| FLEETCOR Technologies, Inc.| 5.47%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|3.ASSET|Equity|9.8|0.53|MA| Mastercard Incorporated Class A| 5.44%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|4.ASSET|Equity|9.8|0.53|DFS| Discover Financial Services| 5.43%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|5.ASSET|Equity|9.8|0.53|V| Visa Inc. Class A| 5.41%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|6.ASSET|Equity|9.8|0.52|GPN| Global Payments Inc.| 5.35%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|7.ASSET|Equity|9.8|0.49|FISV| Fiserv, Inc.| 5.04%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|8.ASSET|Equity|9.8|0.46|FIS| Fidelity National Information Services, Inc.| 4.67%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|9.ASSET|Equity|9.8|0.46|JKHY| Jack Henry & Associates, Inc.| 4.65%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|10.ASSET|Equity|9.8|0.41|DOCU| DocuSign, Inc.| 4.15%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|11.ASSET|Equity|9.8|0.37|WLN| Worldline SA| 3.81%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|12.ASSET|Equity|9.8|0.37|ADYEN| Adyen NV| 3.79%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|13.ASSET|Equity|9.8|0.35|SQ2| Block Inc Shs Chess Depository Interests Repr 1 Sh| 3.61%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|14.ASSET|Equity|9.8|0.34|SQ| Block Inc Class A| 3.50%| Developed Markets|Equity|Technology Equities|Technology|TPAY|6|15.ASSET|Equity|9.8|0.29|PYPL| PayPal Holdings, Inc.| 2.92%| North America|Equity|Volatility Hedged Equity||DBJA|6|1.ASSET|Equity|12.7|12.61|N/A| OPTIONS| 99.27%| North America|Equity|Volatility Hedged Equity||DBJA|6|2.ASSET|Equity|12.7|12.57|N/A| OPTIONS| 99.00%| North America|Equity|Volatility Hedged Equity||DBJA|6|3.ASSET|Equity|12.7|0.13|N/A| U.S. Dollar| 1.00%| North America|Equity|Volatility Hedged Equity||DBJA|6|4.ASSET|Equity|12.7|0.09|N/A| U.S. Dollar| 0.73%| |Commodity|Metals||JJM|6|1.ASSET|Commodity|24.9|10.47|N/A| Copper| 42.04%| |Commodity|Metals||JJM|6|2.ASSET|Commodity|24.9|8.77|N/A| Aluminum| 35.24%| |Commodity|Metals||JJM|6|3.ASSET|Commodity|24.9|3.16|N/A| Nickel| 12.71%| |Commodity|Metals||JJM|6|4.ASSET|Commodity|24.9|2.49|N/A| Zinc| 10.01%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|1.ASSET|Multi-Asset|15.3|2.77|BAB| Invesco Taxable Municipal Bond ETF| 18.13%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|2.ASSET|Multi-Asset|15.3|2.36|VRIG| Invesco Variable Rate Investment Grade ETF| 15.43%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|3.ASSET|Multi-Asset|15.3|1.84|PHB| Invesco Fundamental High Yield Corporate Bond ETF| 12.05%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|4.ASSET|Multi-Asset|15.3|1.4|PLW| Invesco 1-30 Laddered Treasury ETF| 9.15%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|5.ASSET|Multi-Asset|15.3|1.22|BKLN| Invesco Senior Loan ETF| 7.98%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|6.ASSET|Multi-Asset|15.3|0.93|PBTP| Invesco PureBeta 0-5 Yr US TIPS ETF| 6.08%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|7.ASSET|Multi-Asset|15.3|0.69|IUS| Invesco RAFI Strategic US ETF| 4.48%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|8.ASSET|Multi-Asset|15.3|0.62|PGX| Invesco Preferred ETF| 4.02%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|9.ASSET|Multi-Asset|15.3|0.62|IIGD| Invesco Investment Grade Defensive ETF| 4.02%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|10.ASSET|Multi-Asset|15.3|0.53|RPG| Invesco S&P 500 Pure Growth ETF| 3.49%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|11.ASSET|Multi-Asset|15.3|0.46|OMFL| Invesco Russell 1000 Dynamic Multifactor ETF| 3.00%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|12.ASSET|Multi-Asset|15.3|0.31|IIGV| Invesco Investment Grade Value ETF| 2.01%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|13.ASSET|Multi-Asset|15.3|0.3|IDLV| Invesco S&P International Developed Low Volatility ETF| 1.94%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|14.ASSET|Multi-Asset|15.3|0.3|ISDX| Invesco RAFI Strategic Developed ex-US ETF| 1.94%| North America|Multi-Asset|Diversified Portfolio||PSMC|6|15.ASSET|Multi-Asset|15.3|0.23|SPLV| Invesco S&P 500 Low Volatility ETF| 1.50%| North America|Equity|n/a||OVLH|6|1.ASSET|Equity|23.6|23.46|VOO| Vanguard S&P 500 ETF| 99.41%| North America|Equity|n/a||OVLH|6|2.ASSET|Equity|23.6|1.9|N/A| OPTIONS| 8.06%| North America|Equity|n/a||OVLH|6|3.ASSET|Equity|23.6|0.36|FGXXX| First American Funds Inc X Government Obligations Fund| 1.54%| North America|Equity|n/a||OVLH|6|4.ASSET|Equity|23.6|-2.13|N/A| U.S. Dollar| -9.01%| North America|Equity|Large Cap Blend Equities||MAGA|6|1.ASSET|Equity|13.8|0.16|OXY| Occidental Petroleum Corporation| 1.13%| North America|Equity|Large Cap Blend Equities||MAGA|6|2.ASSET|Equity|13.8|0.14|APA| APA Corp.| 1.04%| North America|Equity|Large Cap Blend Equities||MAGA|6|3.ASSET|Equity|13.8|0.14|MRO| Marathon Oil Corporation| 1.04%| North America|Equity|Large Cap Blend Equities||MAGA|6|4.ASSET|Equity|13.8|0.14|MOS| Mosaic Company| 1.04%| North America|Equity|Large Cap Blend Equities||MAGA|6|5.ASSET|Equity|13.8|0.14|DVN| Devon Energy Corporation| 1.01%| North America|Equity|Large Cap Blend Equities||MAGA|6|6.ASSET|Equity|13.8|0.14|HAL| Halliburton Company| 0.99%| North America|Equity|Large Cap Blend Equities||MAGA|6|7.ASSET|Equity|13.8|0.14|COP| ConocoPhillips| 0.98%| North America|Equity|Large Cap Blend Equities||MAGA|6|8.ASSET|Equity|13.8|0.13|CF| CF Industries Holdings, Inc.| 0.97%| North America|Equity|Large Cap Blend Equities||MAGA|6|9.ASSET|Equity|13.8|0.13|EOG| EOG Resources, Inc.| 0.96%| North America|Equity|Large Cap Blend Equities||MAGA|6|10.ASSET|Equity|13.8|0.13|HES| Hess Corporation| 0.95%| North America|Equity|Large Cap Blend Equities||MAGA|6|11.ASSET|Equity|13.8|0.13|PXD| Pioneer Natural Resources Company| 0.94%| North America|Equity|Large Cap Blend Equities||MAGA|6|12.ASSET|Equity|13.8|0.13|XOM| Exxon Mobil Corporation| 0.93%| North America|Equity|Large Cap Blend Equities||MAGA|6|13.ASSET|Equity|13.8|0.13|FCX| Freeport-McMoRan, Inc.| 0.92%| North America|Equity|Large Cap Blend Equities||MAGA|6|14.ASSET|Equity|13.8|0.13|NEM| Newmont Corporation| 0.91%| North America|Equity|Large Cap Blend Equities||MAGA|6|15.ASSET|Equity|13.8|0.13|FANG| Diamondback Energy, Inc.| 0.91%| North America|Equity|MLPs|Energy|IMLP|6|1.ASSET|Equity|12.7|1.75|EPD| Enterprise Products Partners LP| 13.75%| North America|Equity|MLPs|Energy|IMLP|6|2.ASSET|Equity|12.7|1.06|KMP| Kinder Morgan Energy Partners LP| 8.32%| North America|Equity|MLPs|Energy|IMLP|6|3.ASSET|Equity|12.7|0.95|ET| Energy Transfer LP| 7.46%| North America|Equity|MLPs|Energy|IMLP|6|4.ASSET|Equity|12.7|0.83|PAA| Plains All American Pipeline LP| 6.53%| North America|Equity|MLPs|Energy|IMLP|6|5.ASSET|Equity|12.7|0.74|MMP| Magellan Midstream Partners LP| 5.80%| North America|Equity|MLPs|Energy|IMLP|6|6.ASSET|Equity|12.7|0.64|ETP| Energy Transfer LP| 5.04%| North America|Equity|MLPs|Energy|IMLP|6|7.ASSET|Equity|12.7|0.43|KMR| Kinder Morgan Management LLC| 3.37%| North America|Equity|MLPs|Energy|IMLP|6|8.ASSET|Equity|12.7|0.4|MWE| MarkWest Energy Partners LP| 3.14%| North America|Equity|MLPs|Energy|IMLP|6|9.ASSET|Equity|12.7|0.31|RGP| Regency Energy Partners LP| 2.45%| North America|Equity|MLPs|Energy|IMLP|6|10.ASSET|Equity|12.7|0.29|OKS| ONEOK Partners LP| 2.28%| North America|Equity|MLPs|Energy|IMLP|6|11.ASSET|Equity|12.7|0.29|WPZ| Williams Partners LP (Pre-merger)| 2.27%| North America|Equity|MLPs|Energy|IMLP|6|12.ASSET|Equity|12.7|0.28|EEP| Enbridge Energy Partners LP| 2.20%| North America|Equity|MLPs|Energy|IMLP|6|13.ASSET|Equity|12.7|0.26|NGLS| Targa Resources Partners LP| 2.04%| North America|Equity|MLPs|Energy|IMLP|6|14.ASSET|Equity|12.7|0.25|LINEQ| Linn Energy LLC| 1.95%| North America|Equity|MLPs|Energy|IMLP|6|15.ASSET|Equity|12.7|0.19|EPB| El Paso Pipeline Partners LP| 1.51%| North America|Equity|Europe Equities||HEWU|6|1.ASSET|Equity|9.9|9.9|EWU| iShares MSCI United Kingdom ETF| 99.95%| North America|Equity|n/a||XDSQ|6|1.ASSET|Equity|11.9|11.9|N/A| OPTIONS| 99.97%| North America|Equity|n/a||XDSQ|6|2.ASSET|Equity|11.9|0|N/A| U.S. Dollar| 0.03%| Developed Markets|Equity|Leveraged Equities||EFO|6|1.ASSET|Equity|9.9|9.9|N/A| U.S. Dollar| 100.00%| Developed Markets|Equity|Leveraged Equities||EFO|6|2.ASSET|Equity|9.9|9.9|N/A| U.S. Dollar| 100.00%| North America|Real Estate|Leveraged Real Estate|Real Estate|SRS|6|1.ASSET|Real Estate|16.9|16.17|N/A| U.S. Dollar| 95.71%| North America|Real Estate|Leveraged Real Estate|Real Estate|SRS|6|2.ASSET|Real Estate|16.9|0.73|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 4.29%| Global|Multi-Asset|Money Market||BOB|6|1.ASSET|Multi-Asset|13.2|4.48|BSV| Vanguard Short-Term Bond ETF| 33.95%| Global|Multi-Asset|Money Market||BOB|6|2.ASSET|Multi-Asset|13.2|3.84|SHY| iShares 1-3 Year Treasury Bond ETF| 29.10%| Global|Multi-Asset|Money Market||BOB|6|3.ASSET|Multi-Asset|13.2|2.41|GLD| SPDR Gold Shares| 18.26%| Global|Multi-Asset|Money Market||BOB|6|4.ASSET|Multi-Asset|13.2|2.41|IAU| iShares Gold Trust| 18.26%| Global|Multi-Asset|Money Market||BOB|6|5.ASSET|Multi-Asset|13.2|0.06|FGXXX| First American Funds Inc X Government Obligations Fund| 0.44%| Global|Multi-Asset|Money Market||BOB|6|6.ASSET|Multi-Asset|13.2|-0|N/A| U.S. Dollar| -0.02%| North America|Equity|Europe Equities||FLGR|6|1.ASSET|Equity|16.4|1.47|SAP| SAP SE| 8.96%| North America|Equity|Europe Equities||FLGR|6|2.ASSET|Equity|16.4|1.21|SIE| Siemens AG| 7.40%| North America|Equity|Europe Equities||FLGR|6|3.ASSET|Equity|16.4|1.08|ALV| Allianz SE| 6.56%| North America|Equity|Europe Equities||FLGR|6|4.ASSET|Equity|16.4|0.75|MBG| Mercedes-Benz Group AG| 4.56%| North America|Equity|Europe Equities||FLGR|6|5.ASSET|Equity|16.4|0.71|DTE| Deutsche Telekom AG| 4.30%| North America|Equity|Europe Equities||FLGR|6|6.ASSET|Equity|16.4|0.68|BAYN| Bayer AG| 4.17%| North America|Equity|Europe Equities||FLGR|6|7.ASSET|Equity|16.4|0.68|BAS| BASF SE| 4.15%| North America|Equity|Europe Equities||FLGR|6|8.ASSET|Equity|16.4|0.57|DPW| Deutsche Post AG| 3.48%| North America|Equity|Europe Equities||FLGR|6|9.ASSET|Equity|16.4|0.52|ADS| adidas AG| 3.19%| North America|Equity|Europe Equities||FLGR|6|10.ASSET|Equity|16.4|0.51|IFX| Infineon Technologies AG| 3.13%| North America|Equity|Europe Equities||FLGR|6|11.ASSET|Equity|16.4|0.48|VNA| Vonovia SE| 2.95%| North America|Equity|Europe Equities||FLGR|6|12.ASSET|Equity|16.4|0.44|MUV2| Munich Reinsurance Company| 2.69%| North America|Equity|Europe Equities||FLGR|6|13.ASSET|Equity|16.4|0.41|VOW3| Volkswagen AG Pref| 2.47%| North America|Equity|Europe Equities||FLGR|6|14.ASSET|Equity|16.4|0.36|DB1| Deutsche Boerse AG| 2.21%| North America|Equity|Europe Equities||FLGR|6|15.ASSET|Equity|16.4|0.35|BMW| Bayerische Motoren Werke AG| 2.16%| North America|Equity|n/a||FFND|6|1.ASSET|Equity|12.5|1.46|TSLA| Tesla Inc| 11.71%| North America|Equity|n/a||FFND|6|2.ASSET|Equity|12.5|1.2|GOOGL| Alphabet Inc. Class A| 9.61%| North America|Equity|n/a||FFND|6|3.ASSET|Equity|12.5|0.53|CELH| Celsius Holdings, Inc.| 4.24%| North America|Equity|n/a||FFND|6|4.ASSET|Equity|12.5|0.53|MNDT| Mandiant, Inc.| 4.23%| North America|Equity|n/a||FFND|6|5.ASSET|Equity|12.5|0.5|HOG| Harley-Davidson, Inc.| 4.03%| North America|Equity|n/a||FFND|6|6.ASSET|Equity|12.5|0.45|TCEHY| Tencent Holdings Ltd. Unsponsored ADR| 3.57%| North America|Equity|n/a||FFND|6|7.ASSET|Equity|12.5|0.4|CZR| Caesars Entertainment Inc| 3.23%| North America|Equity|n/a||FFND|6|8.ASSET|Equity|12.5|0.4|ABNB| Airbnb, Inc. Class A| 3.21%| North America|Equity|n/a||FFND|6|9.ASSET|Equity|12.5|0.39|SPLK| Splunk Inc.| 3.13%| North America|Equity|n/a||FFND|6|10.ASSET|Equity|12.5|0.37|CMG| Chipotle Mexican Grill, Inc.| 2.98%| North America|Equity|n/a||FFND|6|11.ASSET|Equity|12.5|0.37|GPRE| Green Plains Inc.| 2.98%| North America|Equity|n/a||FFND|6|12.ASSET|Equity|12.5|0.36|GNRC| Generac Holdings Inc.| 2.91%| North America|Equity|n/a||FFND|6|13.ASSET|Equity|12.5|0.36|NKE| NIKE, Inc. Class B| 2.87%| North America|Equity|n/a||FFND|6|14.ASSET|Equity|12.5|0.36|TRMB| Trimble Inc.| 2.86%| North America|Equity|n/a||FFND|6|15.ASSET|Equity|12.5|0.35|CRL| Charles River Laboratories International, Inc.| 2.82%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|1.ASSET|Equity|10.7|1|BIDU| Baidu Inc Sponsored ADR Class A| 9.33%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|2.ASSET|Equity|10.7|0.98|9999| NetEase, Inc| 9.20%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|3.ASSET|Equity|10.7|0.89|700| Tencent Holdings Ltd.| 8.32%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|4.ASSET|Equity|10.7|0.47|1024| Kuaishou Technology Class B| 4.43%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|5.ASSET|Equity|10.7|0.47|788| China Tower Corp. Ltd. Class H| 4.36%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|6.ASSET|Equity|10.7|0.43|ATHM| Autohome, Inc. Sponsored ADR Class A| 4.06%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|7.ASSET|Equity|10.7|0.43|IQ| iQIYI, Inc. Sponsored ADR Class A| 4.00%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|8.ASSET|Equity|10.7|0.43|002027| Focus Media Information Technology Co Ltd Class A| 4.00%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|9.ASSET|Equity|10.7|0.41|BILI| Bilibili, Inc. Sponsored ADR Class Z| 3.80%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|10.ASSET|Equity|10.7|0.4|600050| China United Network Communications Limited Class A| 3.78%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|11.ASSET|Equity|10.7|0.4|3888| Kingsoft Corp. Ltd.| 3.72%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|12.ASSET|Equity|10.7|0.38|BZ| Kanzhun Ltd. Sponsored ADR| 3.56%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|13.ASSET|Equity|10.7|0.38|YY| JOYY, Inc. Sponsored ADR Class A| 3.51%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|14.ASSET|Equity|10.7|0.38|1060| Alibaba Pictures Group Limited| 3.51%| Emerging Asia Pacific|Equity|China Equities||CHIC|6|15.ASSET|Equity|10.7|0.36|002602| Zhejiang Century Huatong Group Co., Ltd. Class A| 3.40%| Developed Europe|Equity|Leveraged Equities||FIEE|6|1.ASSET|Equity|14.3|0.78|ABI| Anheuser Busch Inbev NV| 5.44%| Developed Europe|Equity|Leveraged Equities||FIEE|6|2.ASSET|Equity|14.3|0.67|FP| Total SE| 4.72%| Developed Europe|Equity|Leveraged Equities||FIEE|6|3.ASSET|Equity|14.3|0.62|SAN| Sanofi SA| 4.34%| Developed Europe|Equity|Leveraged Equities||FIEE|6|4.ASSET|Equity|14.3|0.48|SIE| Siemens AG| 3.38%| Developed Europe|Equity|Leveraged Equities||FIEE|6|5.ASSET|Equity|14.3|0.48|BAYN| Bayer AG| 3.37%| Developed Europe|Equity|Leveraged Equities||FIEE|6|6.ASSET|Equity|14.3|0.47|VOW3| Volkswagen AG| 3.29%| Developed Europe|Equity|Leveraged Equities||FIEE|6|7.ASSET|Equity|14.3|0.42|SAP| SAP SE| 2.92%| Developed Europe|Equity|Leveraged Equities||FIEE|6|8.ASSET|Equity|14.3|0.41|BAS| BASF SE| 2.89%| Developed Europe|Equity|Leveraged Equities||FIEE|6|9.ASSET|Equity|14.3|0.41|OR| L'Oreal SA| 2.85%| Developed Europe|Equity|Leveraged Equities||FIEE|6|10.ASSET|Equity|14.3|0.4|ITX| Industria de Diseno Textil SA| 2.77%| Developed Europe|Equity|Leveraged Equities||FIEE|6|11.ASSET|Equity|14.3|0.39|ENI| Eni SpA| 2.75%| Developed Europe|Equity|Leveraged Equities||FIEE|6|12.ASSET|Equity|14.3|0.38|DAI| Daimler AG| 2.69%| Developed Europe|Equity|Leveraged Equities||FIEE|6|13.ASSET|Equity|14.3|0.38|MC| LVMH Moet Hennessy Louis Vuitton SE| 2.68%| Developed Europe|Equity|Leveraged Equities||FIEE|6|14.ASSET|Equity|14.3|0.36|BNP| BNP Paribas SA| 2.53%| Developed Europe|Equity|Leveraged Equities||FIEE|6|15.ASSET|Equity|14.3|0.34|ALV| Allianz SE| 2.37%| North America|Equity|Large Cap Growth Equities||FLRG|6|1.ASSET|Equity|17.8|1.17|AAPL| Apple Inc.| 6.58%| North America|Equity|Large Cap Growth Equities||FLRG|6|2.ASSET|Equity|17.8|1.03|MSFT| Microsoft Corporation| 5.77%| North America|Equity|Large Cap Growth Equities||FLRG|6|3.ASSET|Equity|17.8|0.74|GOOGL| Alphabet Inc. Class A| 4.14%| North America|Equity|Large Cap Growth Equities||FLRG|6|4.ASSET|Equity|17.8|0.31|JNJ| Johnson & Johnson| 1.76%| North America|Equity|Large Cap Growth Equities||FLRG|6|5.ASSET|Equity|17.8|0.28|HD| Home Depot, Inc.| 1.56%| North America|Equity|Large Cap Growth Equities||FLRG|6|6.ASSET|Equity|17.8|0.28|FB| Meta Platforms Inc. Class A| 1.56%| North America|Equity|Large Cap Growth Equities||FLRG|6|7.ASSET|Equity|17.8|0.27|PG| Procter & Gamble Company| 1.51%| North America|Equity|Large Cap Growth Equities||FLRG|6|8.ASSET|Equity|17.8|0.24|COP| ConocoPhillips| 1.37%| North America|Equity|Large Cap Growth Equities||FLRG|6|9.ASSET|Equity|17.8|0.23|PFE| Pfizer Inc.| 1.31%| North America|Equity|Large Cap Growth Equities||FLRG|6|10.ASSET|Equity|17.8|0.23|UNP| Union Pacific Corporation| 1.30%| North America|Equity|Large Cap Growth Equities||FLRG|6|11.ASSET|Equity|17.8|0.23|NFG| National Fuel Gas Company| 1.29%| North America|Equity|Large Cap Growth Equities||FLRG|6|12.ASSET|Equity|17.8|0.23|EXC| Exelon Corporation| 1.29%| North America|Equity|Large Cap Growth Equities||FLRG|6|13.ASSET|Equity|17.8|0.22|LLY| Eli Lilly and Company| 1.25%| North America|Equity|Large Cap Growth Equities||FLRG|6|14.ASSET|Equity|17.8|0.21|MRK| Merck & Co., Inc.| 1.19%| North America|Equity|Large Cap Growth Equities||FLRG|6|15.ASSET|Equity|17.8|0.21|MCD| McDonald\'s Corporation| 1.19%| |Equity|Large Cap Blend Equities||AZAA|6|1.ASSET|Equity|12.2|12.3|N/A| OPTIONS| 100.86%| |Equity|Large Cap Blend Equities||AZAA|6|2.ASSET|Equity|12.2|-0.1|N/A| U.S. Dollar| -0.86%| North America|Equity|Europe Equities||DBGR|6|1.ASSET|Equity|10|0.87|SAP| SAP SE| 8.71%| North America|Equity|Europe Equities||DBGR|6|2.ASSET|Equity|10|0.78|SIE| Siemens AG| 7.81%| North America|Equity|Europe Equities||DBGR|6|3.ASSET|Equity|10|0.67|ALV| Allianz SE| 6.65%| North America|Equity|Europe Equities||DBGR|6|4.ASSET|Equity|10|0.45|MBG| Mercedes-Benz Group AG| 4.52%| North America|Equity|Europe Equities||DBGR|6|5.ASSET|Equity|10|0.44|BAYN| Bayer AG| 4.37%| North America|Equity|Europe Equities||DBGR|6|6.ASSET|Equity|10|0.44|BAS| BASF SE| 4.35%| North America|Equity|Europe Equities||DBGR|6|7.ASSET|Equity|10|0.43|DTE| Deutsche Telekom AG| 4.30%| North America|Equity|Europe Equities||DBGR|6|8.ASSET|Equity|10|0.36|DPW| Deutsche Post AG| 3.61%| North America|Equity|Europe Equities||DBGR|6|9.ASSET|Equity|10|0.32|ADS| adidas AG| 3.22%| North America|Equity|Europe Equities||DBGR|6|10.ASSET|Equity|10|0.32|IFX| Infineon Technologies AG| 3.21%| North America|Equity|Europe Equities||DBGR|6|11.ASSET|Equity|10|0.29|VNA| Vonovia SE| 2.87%| North America|Equity|Europe Equities||DBGR|6|12.ASSET|Equity|10|0.28|MUV2| Munich Reinsurance Company| 2.75%| North America|Equity|Europe Equities||DBGR|6|13.ASSET|Equity|10|0.25|VOW3| Volkswagen AG Pref| 2.46%| North America|Equity|Europe Equities||DBGR|6|14.ASSET|Equity|10|0.23|DB1| Deutsche Boerse AG| 2.29%| North America|Equity|Europe Equities||DBGR|6|15.ASSET|Equity|10|0.22|BMW| Bayerische Motoren Werke AG| 2.19%| Global|Equity|Financials Equities|Financials|XBUY|6|1.ASSET|Equity|6.2|0.13|DESP| Despegar.com, Corp.| 2.04%| Global|Equity|Financials Equities|Financials|XBUY|6|2.ASSET|Equity|6.2|0.12|AMER3| Americanas SA| 1.88%| Global|Equity|Financials Equities|Financials|XBUY|6|3.ASSET|Equity|6.2|0.12|3690| Meituan Class B| 1.86%| Global|Equity|Financials Equities|Financials|XBUY|6|4.ASSET|Equity|6.2|0.11|HEPS| D-MARKET Elektronik Hizmetler ve Ticaret AS Sponsored ADR| 1.85%| Global|Equity|Financials Equities|Financials|XBUY|6|5.ASSET|Equity|6.2|0.11|2678| ASKUL Corporation| 1.85%| Global|Equity|Financials Equities|Financials|XBUY|6|6.ASSET|Equity|6.2|0.11|JD| JD.com, Inc. Sponsored ADR Class A| 1.72%| Global|Equity|Financials Equities|Financials|XBUY|6|7.ASSET|Equity|6.2|0.11|MMYT| MakeMyTrip Ltd.| 1.71%| Global|Equity|Financials Equities|Financials|XBUY|6|8.ASSET|Equity|6.2|0.1|6191| AirTrip Corp.| 1.69%| Global|Equity|Financials Equities|Financials|XBUY|6|9.ASSET|Equity|6.2|0.1|VIPS| Vipshop Holdings Ltd Sponsored ADR| 1.68%| Global|Equity|Financials Equities|Financials|XBUY|6|10.ASSET|Equity|6.2|0.1|BEKE| KE Holdings, Inc. Sponsored ADR Class A| 1.64%| Global|Equity|Financials Equities|Financials|XBUY|6|11.ASSET|Equity|6.2|0.1|PRX| Prosus N.V. Class N| 1.64%| Global|Equity|Financials Equities|Financials|XBUY|6|12.ASSET|Equity|6.2|0.1|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 1.62%| Global|Equity|Financials Equities|Financials|XBUY|6|13.ASSET|Equity|6.2|0.1|TCOM| Trip.com Group Ltd. Sponsored ADR| 1.62%| Global|Equity|Financials Equities|Financials|XBUY|6|14.ASSET|Equity|6.2|0.1|WEB| Webjet Limited| 1.61%| Global|Equity|Financials Equities|Financials|XBUY|6|15.ASSET|Equity|6.2|0.1|8044| PChome Online, Inc.| 1.61%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|1.ASSET|Equity|11.7|0.62|7203| Toyota Motor Corp.| 5.29%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|2.ASSET|Equity|11.7|0.35|6758| Sony Group Corporation| 3.02%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|3.ASSET|Equity|11.7|0.24|6861| Keyence Corporation| 2.01%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|4.ASSET|Equity|11.7|0.21|8306| Mitsubishi UFJ Financial Group, Inc.| 1.78%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|5.ASSET|Equity|11.7|0.2|8035| Tokyo Electron Ltd.| 1.75%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|6.ASSET|Equity|11.7|0.17|9984| SoftBank Group Corp.| 1.48%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|7.ASSET|Equity|11.7|0.17|4063| Shin-Etsu Chemical Co Ltd| 1.47%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|8.ASSET|Equity|11.7|0.16|6098| Recruit Holdings Co., Ltd.| 1.38%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|9.ASSET|Equity|11.7|0.15|9433| KDDI Corporation| 1.32%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|10.ASSET|Equity|11.7|0.15|7974| Nintendo Co., Ltd.| 1.28%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|11.ASSET|Equity|11.7|0.14|7267| Honda Motor Co., Ltd.| 1.21%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|12.ASSET|Equity|11.7|0.13|6367| DAIKIN INDUSTRIES, LTD.| 1.14%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|13.ASSET|Equity|11.7|0.13|4502| Takeda Pharmaceutical Co. Ltd.| 1.12%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|14.ASSET|Equity|11.7|0.13|8316| Sumitomo Mitsui Financial Group, Inc.| 1.08%| Developed Asia Pacific|Equity|Japan Equities||FLJH|6|15.ASSET|Equity|11.7|0.13|8001| Itochu Corporation| 1.07%| North America|Equity|Inverse Equities||GNAF|6|1.ASSET|Equity|12.9|25.8|N/A| Cash Component| 200.00%| North America|Equity|Inverse Equities||GNAF|6|2.ASSET|Equity|12.9|-1.1|NVDA| NVIDIA Corp| -8.55%| North America|Equity|Inverse Equities||GNAF|6|3.ASSET|Equity|12.9|-1.16|BIDU| Baidu Inc| -8.97%| North America|Equity|Inverse Equities||GNAF|6|4.ASSET|Equity|12.9|-1.18|AMZN| Amazon.com Inc| -9.15%| North America|Equity|Inverse Equities||GNAF|6|5.ASSET|Equity|12.9|-1.18|NFLX| Netflix Inc| -9.18%| North America|Equity|Inverse Equities||GNAF|6|6.ASSET|Equity|12.9|-1.23|BABA| Alibaba Group Holding Ltd| -9.55%| North America|Equity|Inverse Equities||GNAF|6|7.ASSET|Equity|12.9|-1.26|GOOGL| Alphabet Inc| -9.74%| North America|Equity|Inverse Equities||GNAF|6|8.ASSET|Equity|12.9|-1.27|FB| Facebook Inc| -9.82%| North America|Equity|Inverse Equities||GNAF|6|9.ASSET|Equity|12.9|-1.29|AAPL| Apple Inc| -9.99%| North America|Equity|Inverse Equities||GNAF|6|10.ASSET|Equity|12.9|-1.57|TSLA| Tesla Inc| -12.17%| North America|Equity|Inverse Equities||GNAF|6|11.ASSET|Equity|12.9|-1.66|TWTR| Twitter Inc| -12.88%| Global|Equity|Technology Equities|Technology|VCLO|6|1.ASSET|Equity|13.4|1.61|CRWD| CrowdStrike Holdings, Inc. Class A| 12.01%| Global|Equity|Technology Equities|Technology|VCLO|6|2.ASSET|Equity|13.4|1.55|NET| Cloudflare Inc Class A| 11.59%| Global|Equity|Technology Equities|Technology|VCLO|6|3.ASSET|Equity|13.4|1.55|DDOG| Datadog Inc Class A| 11.53%| Global|Equity|Technology Equities|Technology|VCLO|6|4.ASSET|Equity|13.4|1.06|SNOW| Snowflake, Inc. Class A| 7.90%| Global|Equity|Technology Equities|Technology|VCLO|6|5.ASSET|Equity|13.4|0.72|GOOG| Alphabet Inc. Class C| 5.37%| Global|Equity|Technology Equities|Technology|VCLO|6|6.ASSET|Equity|13.4|0.72|AAPL| Apple Inc.| 5.35%| Global|Equity|Technology Equities|Technology|VCLO|6|7.ASSET|Equity|13.4|0.54|MSFT| Microsoft Corporation| 4.02%| Global|Equity|Technology Equities|Technology|VCLO|6|8.ASSET|Equity|13.4|0.49|NVDA| NVIDIA Corporation| 3.69%| Global|Equity|Technology Equities|Technology|VCLO|6|9.ASSET|Equity|13.4|0.48|AMZN| Amazon.com, Inc.| 3.56%| Global|Equity|Technology Equities|Technology|VCLO|6|10.ASSET|Equity|13.4|0.44|INTC| Intel Corporation| 3.28%| Global|Equity|Technology Equities|Technology|VCLO|6|11.ASSET|Equity|13.4|0.38|TDOC| Teladoc Health, Inc.| 2.84%| Global|Equity|Technology Equities|Technology|VCLO|6|12.ASSET|Equity|13.4|0.29|FB| Meta Platforms Inc. Class A| 2.17%| Global|Equity|Technology Equities|Technology|VCLO|6|13.ASSET|Equity|13.4|0.21|ESTC| Elastic NV| 1.55%| Global|Equity|Technology Equities|Technology|VCLO|6|14.ASSET|Equity|13.4|0.2|USER| UserTesting, Inc.| 1.50%| Global|Equity|Technology Equities|Technology|VCLO|6|15.ASSET|Equity|13.4|0.15|MNDT| Mandiant, Inc.| 1.13%| North America|Equity|n/a||TENG|6|1.ASSET|Equity|44.9|2.12|AMD| Advanced Micro Devices, Inc.| 4.73%| North America|Equity|n/a||TENG|6|2.ASSET|Equity|44.9|1.41|QCOM| Qualcomm Inc| 3.15%| North America|Equity|n/a||TENG|6|3.ASSET|Equity|44.9|1.31|ADI| Analog Devices, Inc.| 2.92%| North America|Equity|n/a||TENG|6|4.ASSET|Equity|44.9|0.98|VZ| Verizon Communications Inc.| 2.19%| North America|Equity|n/a||TENG|6|5.ASSET|Equity|44.9|0.94|T| AT&T Inc.| 2.10%| North America|Equity|n/a||TENG|6|6.ASSET|Equity|44.9|0.88|NXPI| NXP Semiconductors NV| 1.95%| North America|Equity|n/a||TENG|6|7.ASSET|Equity|44.9|0.82|AKAM| Akamai Technologies, Inc.| 1.83%| North America|Equity|n/a||TENG|6|8.ASSET|Equity|44.9|0.81|MRVL| Marvell Technology, Inc.| 1.81%| North America|Equity|n/a||TENG|6|9.ASSET|Equity|44.9|0.77|AMT| American Tower Corporation| 1.71%| North America|Equity|n/a||TENG|6|10.ASSET|Equity|44.9|0.76|TMUS| T-Mobile US, Inc.| 1.70%| North America|Equity|n/a||TENG|6|11.ASSET|Equity|44.9|0.71|KEYS| Keysight Technologies Inc| 1.59%| North America|Equity|n/a||TENG|6|12.ASSET|Equity|44.9|0.61|NOK| Nokia Oyj Sponsored ADR| 1.36%| North America|Equity|n/a||TENG|6|13.ASSET|Equity|44.9|0.54|ERIC| Telefonaktiebolaget LM Ericsson Sponsored ADR Class B| 1.20%| North America|Equity|n/a||TENG|6|14.ASSET|Equity|44.9|0.49|CHTR| Charter Communications, Inc. Class A| 1.09%| North America|Equity|n/a||TENG|6|15.ASSET|Equity|44.9|0.47|CCI| Crown Castle International Corp| 1.04%| North America|Equity|Large Cap Growth Equities||IQM|6|1.ASSET|Equity|11.1|0.83|TSLA| Tesla Inc| 7.48%| North America|Equity|Large Cap Growth Equities||IQM|6|2.ASSET|Equity|11.1|0.71|NVDA| NVIDIA Corporation| 6.38%| North America|Equity|Large Cap Growth Equities||IQM|6|3.ASSET|Equity|11.1|0.71|AAPL| Apple Inc.| 6.36%| North America|Equity|Large Cap Growth Equities||IQM|6|4.ASSET|Equity|11.1|0.65|ISRG| Intuitive Surgical, Inc.| 5.86%| North America|Equity|Large Cap Growth Equities||IQM|6|5.ASSET|Equity|11.1|0.43|ASML| ASML Holding NV ADR| 3.86%| North America|Equity|Large Cap Growth Equities||IQM|6|6.ASSET|Equity|11.1|0.39|SNPS| Synopsys, Inc.| 3.48%| North America|Equity|Large Cap Growth Equities||IQM|6|7.ASSET|Equity|11.1|0.36|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 3.24%| North America|Equity|Large Cap Growth Equities||IQM|6|8.ASSET|Equity|11.1|0.33|DSG| Descartes Systems Group Inc.| 2.95%| North America|Equity|Large Cap Growth Equities||IQM|6|9.ASSET|Equity|11.1|0.31|AXON| Axon Enterprise Inc| 2.83%| North America|Equity|Large Cap Growth Equities||IQM|6|10.ASSET|Equity|11.1|0.29|ZBRA| Zebra Technologies Corporation Class A| 2.63%| North America|Equity|Large Cap Growth Equities||IQM|6|11.ASSET|Equity|11.1|0.28|DXCM| DexCom, Inc.| 2.51%| North America|Equity|Large Cap Growth Equities||IQM|6|12.ASSET|Equity|11.1|0.25|APH| Amphenol Corporation Class A| 2.26%| North America|Equity|Large Cap Growth Equities||IQM|6|13.ASSET|Equity|11.1|0.25|CDNS| Cadence Design Systems, Inc.| 2.26%| North America|Equity|Large Cap Growth Equities||IQM|6|14.ASSET|Equity|11.1|0.25|AMAT| Applied Materials, Inc.| 2.24%| North America|Equity|Large Cap Growth Equities||IQM|6|15.ASSET|Equity|11.1|0.25|ENTG| Entegris, Inc.| 2.23%| Developed Markets|Equity|Utilities Equities|Utilities|INFR|6|1.ASSET|Equity|12.9|12.9|N/A| U.S. Dollar| 100.00%| Developed Europe|Equity|Europe Equities||EUDV|6|1.ASSET|Equity|13|0.42|BA| BAE Systems plc| 3.25%| Developed Europe|Equity|Europe Equities||EUDV|6|2.ASSET|Equity|13|0.38|UCB| UCB S.A.| 2.96%| Developed Europe|Equity|Europe Equities||EUDV|6|3.ASSET|Equity|13|0.37|COLO.B| Coloplast A/S Class B| 2.83%| Developed Europe|Equity|Europe Equities||EUDV|6|4.ASSET|Equity|13|0.37|DIA| DiaSorin S.p.A.| 2.83%| Developed Europe|Equity|Europe Equities||EUDV|6|5.ASSET|Equity|13|0.36|GIVN| Givaudan SA| 2.80%| Developed Europe|Equity|Europe Equities||EUDV|6|6.ASSET|Equity|13|0.36|BNZL| Bunzl plc| 2.79%| Developed Europe|Equity|Europe Equities||EUDV|6|7.ASSET|Equity|13|0.36|SY1| Symrise AG| 2.78%| Developed Europe|Equity|Europe Equities||EUDV|6|8.ASSET|Equity|13|0.36|WKL| Wolters Kluwer NV| 2.77%| Developed Europe|Equity|Europe Equities||EUDV|6|9.ASSET|Equity|13|0.36|NG| National Grid plc| 2.74%| Developed Europe|Equity|Europe Equities||EUDV|6|10.ASSET|Equity|13|0.35|NESN| Nestle S.A.| 2.73%| Developed Europe|Equity|Europe Equities||EUDV|6|11.ASSET|Equity|13|0.35|NOVO.B| Novo Nordisk A/S Class B| 2.69%| Developed Europe|Equity|Europe Equities||EUDV|6|12.ASSET|Equity|13|0.35|UU| United Utilities Group PLC| 2.68%| Developed Europe|Equity|Europe Equities||EUDV|6|13.ASSET|Equity|13|0.35|ROG| Roche Holding Ltd| 2.67%| Developed Europe|Equity|Europe Equities||EUDV|6|14.ASSET|Equity|13|0.35|NOVN| Novartis AG| 2.66%| Developed Europe|Equity|Europe Equities||EUDV|6|15.ASSET|Equity|13|0.35|LISP| Chocoladefabriken Lindt & Spruengli AG Partizipsch.| 2.66%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|1.ASSET|Equity|11.4|1.11|MARA| Marathon Digital Holdings Inc| 9.78%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|2.ASSET|Equity|11.4|1.09|BITF| Bitfarms Ltd.| 9.52%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|3.ASSET|Equity|11.4|0.97|CORZ| Core Scientific, Inc.| 8.52%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|4.ASSET|Equity|11.4|0.84|HUT| Hut 8 Mining Corp.| 7.41%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|5.ASSET|Equity|11.4|0.69|ARB| Argo Blockchain Plc| 6.05%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|6.ASSET|Equity|11.4|0.53|IREN| Iris Energy Ltd.| 4.66%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|7.ASSET|Equity|11.4|0.53|RIOT| Riot Blockchain Inc| 4.62%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|8.ASSET|Equity|11.4|0.52|GLXY| Galaxy Digital Holdings Ltd.| 4.54%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|9.ASSET|Equity|11.4|0.51|CLSK| Cleanspark, Inc.| 4.46%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|10.ASSET|Equity|11.4|0.49|AMD| Advanced Micro Devices, Inc.| 4.31%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|11.ASSET|Equity|11.4|0.48|NVDA| NVIDIA Corporation| 4.19%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|12.ASSET|Equity|11.4|0.45|SMSN| Samsung Electronics Co., Ltd. Sponsored GDR| 3.96%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|13.ASSET|Equity|11.4|0.43|TSM| Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR| 3.81%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|14.ASSET|Equity|11.4|0.38|FGXXX| First American Funds Inc X Government Obligations Fund| 3.31%| Developed Markets|Equity|Technology Equities|Technology|RIGZ|6|15.ASSET|Equity|11.4|0.38|DMGI| DMG Blockchain Solutions, Inc.| 3.29%| |Commodity|Metals||JJU|6|1.ASSET|Commodity|30.4|30.4|N/A| Aluminum| 100.00%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|1.ASSET|Multi-Asset|7.5|0.24|FSK| FS KKR Capital Corp.| 3.26%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|2.ASSET|Multi-Asset|7.5|0.24|ARCC| Ares Capital Corporation| 3.21%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|3.ASSET|Multi-Asset|7.5|0.24|HTGC| Hercules Capital, Inc.| 3.20%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|4.ASSET|Multi-Asset|7.5|0.24|ORCC| Owl Rock Capital Corporation| 3.15%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|5.ASSET|Multi-Asset|7.5|0.23|ABR| Arbor Realty Trust, Inc.| 3.10%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|6.ASSET|Multi-Asset|7.5|0.23|GBDC| Golub Capital BDC, Inc.| 3.09%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|7.ASSET|Multi-Asset|7.5|0.23|BXMT| Blackstone Mortgage Trust, Inc. Class A| 3.07%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|8.ASSET|Multi-Asset|7.5|0.23|GOF| Guggenheim Strategic Opportunities Fund| 3.06%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|9.ASSET|Multi-Asset|7.5|0.23|ARI| Apollo Commercial Real Estate Finance, Inc.| 3.00%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|10.ASSET|Multi-Asset|7.5|0.22|STWD| Starwood Property Trust, Inc.| 2.99%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|11.ASSET|Multi-Asset|7.5|0.22|GSBD| Goldman Sachs BDC, Inc| 2.99%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|12.ASSET|Multi-Asset|7.5|0.22|MAIN| Main Street Capital Corporation| 2.98%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|13.ASSET|Multi-Asset|7.5|0.22|OXLC| Oxford Lane Capital Corp.| 2.93%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|14.ASSET|Multi-Asset|7.5|0.22|LADR| Ladder Capital Corp. Class A| 2.93%| North America|Multi-Asset|Diversified Portfolio||HYIN|6|15.ASSET|Multi-Asset|7.5|0.22|VVR| Invesco Senior Income Trust| 2.89%| North America|Equity|Leveraged Equities|Financials|SKF|6|1.ASSET|Equity|12|11.4|N/A| U.S. Dollar| 94.98%| North America|Equity|Leveraged Equities|Financials|SKF|6|2.ASSET|Equity|12|0.6|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 5.02%| |Commodity|Agricultural Commodities||JJA|6|1.ASSET|Commodity|25.5|7.82|N/A| Soybean| 30.67%| |Commodity|Agricultural Commodities||JJA|6|2.ASSET|Commodity|25.5|5.07|N/A| Wheat| 19.88%| |Commodity|Agricultural Commodities||JJA|6|3.ASSET|Commodity|25.5|3.97|N/A| Corn| 15.58%| |Commodity|Agricultural Commodities||JJA|6|4.ASSET|Commodity|25.5|2.78|N/A| Soybean Oil| 10.89%| |Commodity|Agricultural Commodities||JJA|6|5.ASSET|Commodity|25.5|2.22|N/A| Cotton| 8.69%| |Commodity|Agricultural Commodities||JJA|6|6.ASSET|Commodity|25.5|1.94|N/A| Coffee| 7.59%| |Commodity|Agricultural Commodities||JJA|6|7.ASSET|Commodity|25.5|1.71|N/A| Sugar| 6.69%| Global|Equity|n/a||CRPT|6|1.ASSET|Equity|51.1|6.25|COIN| Coinbase Global, Inc. Class A| 12.23%| Global|Equity|n/a||CRPT|6|2.ASSET|Equity|51.1|5.29|MSTR| MicroStrategy Incorporated Class A| 10.36%| Global|Equity|n/a||CRPT|6|3.ASSET|Equity|51.1|5|GLXY| Galaxy Digital Holdings Ltd.| 9.78%| Global|Equity|n/a||CRPT|6|4.ASSET|Equity|51.1|3.4|CORZ| Core Scientific, Inc.| 6.65%| Global|Equity|n/a||CRPT|6|5.ASSET|Equity|51.1|3.39|SI| Silvergate Capital Corp. Class A| 6.64%| Global|Equity|n/a||CRPT|6|6.ASSET|Equity|51.1|2.5|BITF| Bitfarms Ltd.| 4.90%| Global|Equity|n/a||CRPT|6|7.ASSET|Equity|51.1|2.3|MARA| Marathon Digital Holdings Inc| 4.50%| Global|Equity|n/a||CRPT|6|8.ASSET|Equity|51.1|2.29|SDIG| Stronghold Digital Mining, Inc. Class A| 4.48%| Global|Equity|n/a||CRPT|6|9.ASSET|Equity|51.1|2.28|SQ| Block Inc Class A| 4.46%| Global|Equity|n/a||CRPT|6|10.ASSET|Equity|51.1|2.24|IREN| Iris Energy Ltd.| 4.39%| Global|Equity|n/a||CRPT|6|11.ASSET|Equity|51.1|2.24|RIOT| Riot Blockchain Inc| 4.38%| Global|Equity|n/a||CRPT|6|12.ASSET|Equity|51.1|2.02|SBNY| Signature Bank| 3.96%| Global|Equity|n/a||CRPT|6|13.ASSET|Equity|51.1|1.69|HUT| Hut 8 Mining Corp.| 3.31%| Global|Equity|n/a||CRPT|6|14.ASSET|Equity|51.1|0.85|PYPL| PayPal Holdings, Inc.| 1.67%| Global|Equity|n/a||CRPT|6|15.ASSET|Equity|51.1|0.76|CAN| Canaan Inc. Sponsored ADR Class A| 1.49%| Global|Equity|All Cap Equities|Technology|KNGS|6|1.ASSET|Equity|9.7|1.15|FB| Meta Platforms Inc. Class A| 11.81%| Global|Equity|All Cap Equities|Technology|KNGS|6|2.ASSET|Equity|9.7|1.04|GOOGL| Alphabet Inc. Class A| 10.74%| Global|Equity|All Cap Equities|Technology|KNGS|6|3.ASSET|Equity|9.7|0.79|AMZN| Amazon.com, Inc.| 8.17%| Global|Equity|All Cap Equities|Technology|KNGS|6|4.ASSET|Equity|9.7|0.61|ADYEY| Adyen N.V. Unsponsored ADR| 6.24%| Global|Equity|All Cap Equities|Technology|KNGS|6|5.ASSET|Equity|9.7|0.58|NOW| ServiceNow, Inc.| 5.94%| Global|Equity|All Cap Equities|Technology|KNGS|6|6.ASSET|Equity|9.7|0.56|TCEHY| Tencent Holdings Ltd. Unsponsored ADR| 5.82%| Global|Equity|All Cap Equities|Technology|KNGS|6|7.ASSET|Equity|9.7|0.42|ETSY| Etsy, Inc.| 4.37%| Global|Equity|All Cap Equities|Technology|KNGS|6|8.ASSET|Equity|9.7|0.42|V| Visa Inc. Class A| 4.28%| Global|Equity|All Cap Equities|Technology|KNGS|6|9.ASSET|Equity|9.7|0.4|MA| Mastercard Incorporated Class A| 4.11%| Global|Equity|All Cap Equities|Technology|KNGS|6|10.ASSET|Equity|9.7|0.39|RBLX| Roblox Corp. Class A| 4.07%| Global|Equity|All Cap Equities|Technology|KNGS|6|11.ASSET|Equity|9.7|0.34|NFLX| Netflix, Inc.| 3.55%| Global|Equity|All Cap Equities|Technology|KNGS|6|12.ASSET|Equity|9.7|0.34|DBX| Dropbox, Inc. Class A| 3.52%| Global|Equity|All Cap Equities|Technology|KNGS|6|13.ASSET|Equity|9.7|0.34|SPOT| Spotify Technology SA| 3.48%| Global|Equity|All Cap Equities|Technology|KNGS|6|14.ASSET|Equity|9.7|0.3|MSFT| Microsoft Corporation| 3.05%| Global|Equity|All Cap Equities|Technology|KNGS|6|15.ASSET|Equity|9.7|0.29|DLO| DLocal Limited Class A| 3.02%| North America|Equity|n/a||SDEI|6|1.ASSET|Equity|15.7|0.97|ABBV| AbbVie, Inc.| 6.16%| North America|Equity|n/a||SDEI|6|2.ASSET|Equity|15.7|0.82|PFG| Principal Financial Group, Inc.| 5.25%| North America|Equity|n/a||SDEI|6|3.ASSET|Equity|15.7|0.79|HRB| H&R Block, Inc.| 5.00%| North America|Equity|n/a||SDEI|6|4.ASSET|Equity|15.7|0.74|ENB| Enbridge Inc.| 4.69%| North America|Equity|n/a||SDEI|6|5.ASSET|Equity|15.7|0.72|LYB| LyondellBasell Industries NV| 4.60%| North America|Equity|n/a||SDEI|6|6.ASSET|Equity|15.7|0.69|PFE| Pfizer Inc.| 4.37%| North America|Equity|n/a||SDEI|6|7.ASSET|Equity|15.7|0.66|NYCB| New York Community Bancorp, Inc.| 4.19%| North America|Equity|n/a||SDEI|6|8.ASSET|Equity|15.7|0.64|VLO| Valero Energy Corporation| 4.09%| North America|Equity|n/a||SDEI|6|9.ASSET|Equity|15.7|0.57|OMC| Omnicom Group Inc| 3.65%| North America|Equity|n/a||SDEI|6|10.ASSET|Equity|15.7|0.57|GEF.B| Greif Class B| 3.62%| North America|Equity|n/a||SDEI|6|11.ASSET|Equity|15.7|0.53|BEN| Franklin Resources, Inc.| 3.36%| North America|Equity|n/a||SDEI|6|12.ASSET|Equity|15.7|0.52|HPQ| HP Inc.| 3.33%| North America|Equity|n/a||SDEI|6|13.ASSET|Equity|15.7|0.51|HBI| Hanesbrands Inc.| 3.26%| North America|Equity|n/a||SDEI|6|14.ASSET|Equity|15.7|0.51|PBCT| People\'s United Financial, Inc.| 3.22%| North America|Equity|n/a||SDEI|6|15.ASSET|Equity|15.7|0.49|IBM| International Business Machines Corporation| 3.10%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|1.ASSET|Equity|13.2|0.11|VET| Vermilion Energy Inc.| 0.86%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|2.ASSET|Equity|13.2|0.11|NVA| NuVista Energy Ltd.| 0.85%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|3.ASSET|Equity|13.2|0.1|TVE| Tamarack Valley Energy Ltd.| 0.74%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|4.ASSET|Equity|13.2|0.09|BTE| Baytex Energy Corp.| 0.71%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|5.ASSET|Equity|13.2|0.09|CPG| Crescent Point Energy Corp.| 0.71%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|6.ASSET|Equity|13.2|0.09|112040| Wemade Co., Ltd.| 0.69%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|7.ASSET|Equity|13.2|0.09|NDA| Aurubis AG| 0.69%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|8.ASSET|Equity|13.2|0.08|MEG| MEG Energy Corp.| 0.61%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|9.ASSET|Equity|13.2|0.08|ERA| Eramet SA| 0.60%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|10.ASSET|Equity|13.2|0.08|ILCO| Israel Corporation Ltd.| 0.58%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|11.ASSET|Equity|13.2|0.08|TXG| Torex Gold Resources Inc.| 0.57%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|12.ASSET|Equity|13.2|0.07|IFP| Interfor Corporation| 0.55%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|13.ASSET|Equity|13.2|0.07|000060| Meritz Fire & Marine Insurance Co., Ltd| 0.55%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|14.ASSET|Equity|13.2|0.07|UNS| Uni-Select Inc.| 0.55%| Developed Markets|Equity|Foreign Small & Mid Cap Equities||FDTS|6|15.ASSET|Equity|13.2|0.07|AAV| Advantage Energy Ltd| 0.54%| Developed Europe|Equity|Europe Equities||PGAL|6|1.ASSET|Equity|9.1|2.18|EDP| EDP-Energias de Portugal SA| 23.92%| Developed Europe|Equity|Europe Equities||PGAL|6|2.ASSET|Equity|9.1|1.83|JMT| Jeronimo Martins, SGPS S.A.| 20.12%| Developed Europe|Equity|Europe Equities||PGAL|6|3.ASSET|Equity|9.1|0.51|EDPR| EDP Renovaveis SA| 5.57%| Developed Europe|Equity|Europe Equities||PGAL|6|4.ASSET|Equity|9.1|0.45|RENE| Redes Energeticas Nacionais SA| 4.93%| Developed Europe|Equity|Europe Equities||PGAL|6|5.ASSET|Equity|9.1|0.43|GALP| GALP Energia SGPS SA Class B| 4.70%| Developed Europe|Equity|Europe Equities||PGAL|6|6.ASSET|Equity|9.1|0.4|NOS| NOS SGPS SA| 4.44%| Developed Europe|Equity|Europe Equities||PGAL|6|7.ASSET|Equity|9.1|0.4|SON| Sonae SGPS SA| 4.35%| Developed Europe|Equity|Europe Equities||PGAL|6|8.ASSET|Equity|9.1|0.39|ALTR| ALTRI SGPS SA| 4.29%| Developed Europe|Equity|Europe Equities||PGAL|6|9.ASSET|Equity|9.1|0.39|COR| Corticeira Amorim SGPS SA| 4.28%| Developed Europe|Equity|Europe Equities||PGAL|6|10.ASSET|Equity|9.1|0.38|CTT| CTT - Correios de Portugal SA| 4.19%| Developed Europe|Equity|Europe Equities||PGAL|6|11.ASSET|Equity|9.1|0.38|NVG| Navigator Company SA| 4.18%| Developed Europe|Equity|Europe Equities||PGAL|6|12.ASSET|Equity|9.1|0.37|656| Fosun International Limited| 4.02%| Developed Europe|Equity|Europe Equities||PGAL|6|13.ASSET|Equity|9.1|0.33|BCP| Banco Comercial Portugues S.A.| 3.65%| Developed Europe|Equity|Europe Equities||PGAL|6|14.ASSET|Equity|9.1|0.2|SEM| Semapa Sociedade de Investimento e Gestao SGPS SA| 2.21%| Developed Europe|Equity|Europe Equities||PGAL|6|15.ASSET|Equity|9.1|0.19|GVOLT| Greenvolt - Energias Renovaveis SA| 2.11%| Developed Markets|Equity|Global Equities||AIIQ|6|1.ASSET|Equity|7.4|0.59|RHM| Rheinmetall AG| 7.91%| Developed Markets|Equity|Global Equities||AIIQ|6|2.ASSET|Equity|7.4|0.32|SESG| SES SA FDR (Class A)| 4.28%| Developed Markets|Equity|Global Equities||AIIQ|6|3.ASSET|Equity|7.4|0.3|KEN| Kenon Holdings Ltd.| 4.11%| Developed Markets|Equity|Global Equities||AIIQ|6|4.ASSET|Equity|7.4|0.28|7701| Shimadzu Corporation| 3.74%| Developed Markets|Equity|Global Equities||AIIQ|6|5.ASSET|Equity|7.4|0.26|PEUG| Peugeot Invest SA| 3.54%| Developed Markets|Equity|Global Equities||AIIQ|6|6.ASSET|Equity|7.4|0.24|AED| Aedifica SA| 3.20%| Developed Markets|Equity|Global Equities||AIIQ|6|7.ASSET|Equity|7.4|0.23|COFB| Cofinimmo SA| 3.16%| Developed Markets|Equity|Global Equities||AIIQ|6|8.ASSET|Equity|7.4|0.23|ATE| Alten SA| 3.10%| Developed Markets|Equity|Global Equities||AIIQ|6|9.ASSET|Equity|7.4|0.19|ARB| ARB Corporation Limited| 2.62%| Developed Markets|Equity|Global Equities||AIIQ|6|10.ASSET|Equity|7.4|0.19|CAI| CA Immobilien Anlagen AG| 2.50%| Developed Markets|Equity|Global Equities||AIIQ|6|11.ASSET|Equity|7.4|0.18|8725| MS&AD Insurance Group Holdings, Inc.| 2.45%| Developed Markets|Equity|Global Equities||AIIQ|6|12.ASSET|Equity|7.4|0.17|SAX| Stroeer SE & Co. KGaA| 2.32%| Developed Markets|Equity|Global Equities||AIIQ|6|13.ASSET|Equity|7.4|0.16|4812| Information Services International-Dentsu,Ltd.| 2.14%| Developed Markets|Equity|Global Equities||AIIQ|6|14.ASSET|Equity|7.4|0.15|MELE| Melexis NV| 2.08%| Developed Markets|Equity|Global Equities||AIIQ|6|15.ASSET|Equity|7.4|0.15|7751| Canon Inc.| 2.02%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|1.ASSET|Equity|15.8|1.2|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.62%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|2.ASSET|Equity|15.8|0.77|700| Tencent Holdings Ltd.| 4.86%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|3.ASSET|Equity|15.8|0.67|PIN| Invesco India ETF| 4.26%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|4.ASSET|Equity|15.8|0.64|INDA| iShares MSCI India ETF| 4.04%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|5.ASSET|Equity|15.8|0.45|9988| Alibaba Group Holding Ltd.| 2.84%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|6.ASSET|Equity|15.8|0.21|3690| Meituan Class B| 1.33%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|7.ASSET|Equity|15.8|0.18|VALE3| Vale S.A.| 1.15%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|8.ASSET|Equity|15.8|0.16|939| China Construction Bank Corporation Class H| 1.03%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|9.ASSET|Equity|15.8|0.16|RIGD| Reliance Industries Limited Sponsored GDR 144A| 1.00%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|10.ASSET|Equity|15.8|0.16|INFY| Infosys Limited Sponsored ADR| 0.99%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|11.ASSET|Equity|15.8|0.15|GAID| GAIL (India) Limited Sponsored GDR RegS| 0.96%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|12.ASSET|Equity|15.8|0.13|9618| JD.com, Inc. Class A| 0.85%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|13.ASSET|Equity|15.8|0.13|2454| MediaTek Inc| 0.84%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|14.ASSET|Equity|15.8|0.11|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 0.72%| Emerging Markets|Equity|Emerging Markets Equities||PBEE|6|15.ASSET|Equity|15.8|0.11|BIDU| Baidu Inc Sponsored ADR Class A| 0.69%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|1.ASSET|Equity|10.2|0.22|FM| First Quantum Minerals Ltd.| 2.14%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|2.ASSET|Equity|10.2|0.22|5713| Sumitomo Metal Mining Co., Ltd.| 2.12%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|3.ASSET|Equity|10.2|0.2|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 1.96%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|4.ASSET|Equity|10.2|0.19|2899| Zijin Mining Group Co., Ltd. Class H| 1.85%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|5.ASSET|Equity|10.2|0.19|991| Datang International Power Generation Co., Ltd. Class H| 1.85%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|6.ASSET|Equity|10.2|0.19|SQM| Sociedad Quimica Y Minera De Chile S.A. Sponsored ADR Pfd Class B| 1.84%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|7.ASSET|Equity|10.2|0.19|3808| Sinotruk Hong Kong Ltd.| 1.84%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|8.ASSET|Equity|10.2|0.18|BIDU| Baidu Inc Sponsored ADR Class A| 1.80%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|9.ASSET|Equity|10.2|0.18|7267| Honda Motor Co., Ltd.| 1.80%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|10.ASSET|Equity|10.2|0.18|FMC| FMC Corporation| 1.78%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|11.ASSET|Equity|10.2|0.17|7203| Toyota Motor Corp.| 1.71%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|12.ASSET|Equity|10.2|0.17|1208| MMG Ltd.| 1.70%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|13.ASSET|Equity|10.2|0.17|VWS| Vestas Wind Systems A/S| 1.70%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|14.ASSET|Equity|10.2|0.17|4005| Sumitomo Chemical Co., Ltd.| 1.69%| Developed Markets|Equity|Large Cap Blend Equities||EKAR|6|15.ASSET|Equity|10.2|0.17|VNE| Veoneer, Inc. Shs Swedish Depository Receipt| 1.67%| Global|Equity|Transportation Equities|Industrials|BOAT|6|1.ASSET|Equity|24.4|1.47|316| Orient Overseas (International) Limited| 6.01%| Global|Equity|Transportation Equities|Industrials|BOAT|6|2.ASSET|Equity|24.4|1.36|9104| Mitsui O.S.K.Lines,Ltd.| 5.59%| Global|Equity|Transportation Equities|Industrials|BOAT|6|3.ASSET|Equity|24.4|1.25|ZIM| ZIM Integrated Shipping Services Ltd.| 5.12%| Global|Equity|Transportation Equities|Industrials|BOAT|6|4.ASSET|Equity|24.4|1.21|1919| COSCO SHIPPING Holdings Co., Ltd. Class H| 4.97%| Global|Equity|Transportation Equities|Industrials|BOAT|6|5.ASSET|Equity|24.4|1.21|9107| Kawasaki Kisen Kaisha, Ltd.| 4.94%| Global|Equity|Transportation Equities|Industrials|BOAT|6|6.ASSET|Equity|24.4|1.16|HLAG| Hapag-Lloyd AG| 4.76%| Global|Equity|Transportation Equities|Industrials|BOAT|6|7.ASSET|Equity|24.4|1.1|1308| SITC International Holdings Co., Ltd.| 4.51%| Global|Equity|Transportation Equities|Industrials|BOAT|6|8.ASSET|Equity|24.4|1.08|011200| HMM CO.,LTD| 4.43%| Global|Equity|Transportation Equities|Industrials|BOAT|6|9.ASSET|Equity|24.4|1.04|MATX| Matson, Inc.| 4.27%| Global|Equity|Transportation Equities|Industrials|BOAT|6|10.ASSET|Equity|24.4|1.04|SBLK| Star Bulk Carriers Corp.| 4.25%| Global|Equity|Transportation Equities|Industrials|BOAT|6|11.ASSET|Equity|24.4|1.02|MAERSK.B| A.P. Moller - Maersk A/S Class B| 4.17%| Global|Equity|Transportation Equities|Industrials|BOAT|6|12.ASSET|Equity|24.4|0.98|EURN| Euronav NV| 4.00%| Global|Equity|Transportation Equities|Industrials|BOAT|6|13.ASSET|Equity|24.4|0.95|028670| Pan Ocean Co., Ltd.| 3.90%| Global|Equity|Transportation Equities|Industrials|BOAT|6|14.ASSET|Equity|24.4|0.83|ATCO| Atlas Corp.| 3.42%| Global|Equity|Transportation Equities|Industrials|BOAT|6|15.ASSET|Equity|24.4|0.72|DFDS| DFDS A/S| 2.94%| North America|Bond|National Munis|Municipal Bond|OVM|6|1.ASSET|Bond|14|13.95|MUB| iShares National Muni Bond ETF| 99.67%| North America|Bond|National Munis|Municipal Bond|OVM|6|2.ASSET|Bond|14|0.19|FGXXX| First American Funds Inc X Government Obligations Fund| 1.34%| North America|Bond|National Munis|Municipal Bond|OVM|6|3.ASSET|Bond|14|-0|N/A| OPTIONS| -0.02%| North America|Bond|National Munis|Municipal Bond|OVM|6|4.ASSET|Bond|14|-0.14|N/A| U.S. Dollar| -0.99%| North America|Equity|n/a||JRE|6|1.ASSET|Equity|10.5|1.31|PLD| Prologis, Inc.| 12.46%| North America|Equity|n/a||JRE|6|2.ASSET|Equity|10.5|0.73|ARE| Alexandria Real Estate Equities, Inc.| 6.96%| North America|Equity|n/a||JRE|6|3.ASSET|Equity|10.5|0.69|SUI| Sun Communities, Inc.| 6.55%| North America|Equity|n/a||JRE|6|4.ASSET|Equity|10.5|0.6|UDR| UDR, Inc.| 5.76%| North America|Equity|n/a||JRE|6|5.ASSET|Equity|10.5|0.56|SRC| Spirit Realty Capital, Inc.| 5.35%| North America|Equity|n/a||JRE|6|6.ASSET|Equity|10.5|0.55|ESS| Essex Property Trust, Inc.| 5.28%| North America|Equity|n/a||JRE|6|7.ASSET|Equity|10.5|0.5|PK| Park Hotels & Resorts, Inc.| 4.80%| North America|Equity|n/a||JRE|6|8.ASSET|Equity|10.5|0.49|JLL| Jones Lang LaSalle Incorporated| 4.65%| North America|Equity|n/a||JRE|6|9.ASSET|Equity|10.5|0.49|ELS| Equity LifeStyle Properties, Inc.| 4.64%| North America|Equity|n/a||JRE|6|10.ASSET|Equity|10.5|0.48|LSI| Life Storage, Inc.| 4.58%| North America|Equity|n/a||JRE|6|11.ASSET|Equity|10.5|0.47|VTR| Ventas, Inc.| 4.51%| North America|Equity|n/a||JRE|6|12.ASSET|Equity|10.5|0.46|REXR| Rexford Industrial Realty, Inc.| 4.40%| North America|Equity|n/a||JRE|6|13.ASSET|Equity|10.5|0.45|CUBE| CubeSmart| 4.32%| North America|Equity|n/a||JRE|6|14.ASSET|Equity|10.5|0.44|INVH| Invitation Homes, Inc.| 4.17%| North America|Equity|n/a||JRE|6|15.ASSET|Equity|10.5|0.42|NNN| National Retail Properties, Inc.| 4.01%| Global|Commodity|Precious Metals||BGLD|6|1.ASSET|Commodity|8.7|7.03|N/A| United States Treasury Bills 0.0% 26-MAY-2022| 80.75%| Global|Commodity|Precious Metals||BGLD|6|2.ASSET|Commodity|8.7|0.07|DGCXX| Dreyfus Government Cash Management Funds Institutional| 0.82%| Developed Markets|Equity|Europe Equities||FPXE|6|1.ASSET|Equity|9.8|0.86|SHL| Siemens Healthineers AG| 8.82%| Developed Markets|Equity|Europe Equities||FPXE|6|2.ASSET|Equity|9.8|0.69|ADYEN| Adyen NV| 7.04%| Developed Markets|Equity|Europe Equities||FPXE|6|3.ASSET|Equity|9.8|0.46|DSY| Dassault Systemes SA| 4.71%| Developed Markets|Equity|Europe Equities||FPXE|6|4.ASSET|Equity|9.8|0.4|PRX| Prosus N.V. Class N| 4.07%| Developed Markets|Equity|Europe Equities||FPXE|6|5.ASSET|Equity|9.8|0.37|RI| Pernod Ricard SA| 3.82%| Developed Markets|Equity|Europe Equities||FPXE|6|6.ASSET|Equity|9.8|0.29|NWG| NatWest Group Plc| 3.01%| Developed Markets|Equity|Europe Equities||FPXE|6|7.ASSET|Equity|9.8|0.24|CPRI| Capri Holdings Limited| 2.44%| Developed Markets|Equity|Europe Equities||FPXE|6|8.ASSET|Equity|9.8|0.23|VTWR| Vantage Towers AG| 2.37%| Developed Markets|Equity|Europe Equities||FPXE|6|9.ASSET|Equity|9.8|0.23|UMG| Universal Music Group N.V.| 2.36%| Developed Markets|Equity|Europe Equities||FPXE|6|10.ASSET|Equity|9.8|0.23|EQT| EQT AB| 2.35%| Developed Markets|Equity|Europe Equities||FPXE|6|11.ASSET|Equity|9.8|0.23|VACN| VAT Group AG| 2.31%| Developed Markets|Equity|Europe Equities||FPXE|6|12.ASSET|Equity|9.8|0.23|NVT| nVent Electric plc| 2.30%| Developed Markets|Equity|Europe Equities||FPXE|6|13.ASSET|Equity|9.8|0.21|DAVA| Endava Plc Sponsored ADR Class A| 2.16%| Developed Markets|Equity|Europe Equities||FPXE|6|14.ASSET|Equity|9.8|0.2|LIFCO.B| Lifco AB Class B| 2.08%| Developed Markets|Equity|Europe Equities||FPXE|6|15.ASSET|Equity|9.8|0.19|DIE| D\'Ieteren Group| 1.90%| Latin America|Equity|Latin America Equities||FLMX|6|1.ASSET|Equity|11.2|1.75|AMXL| America Movil SAB de CV Class L| 15.66%| Latin America|Equity|Latin America Equities||FLMX|6|2.ASSET|Equity|11.2|1.21|WALMEX| Wal-Mart de Mexico SAB de CV| 10.76%| Latin America|Equity|Latin America Equities||FLMX|6|3.ASSET|Equity|11.2|1.18|GFNORTEO| Grupo Financiero Banorte SAB de CV Class O| 10.56%| Latin America|Equity|Latin America Equities||FLMX|6|4.ASSET|Equity|11.2|1.09|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 9.75%| Latin America|Equity|Latin America Equities||FLMX|6|5.ASSET|Equity|11.2|0.53|FEMSAUBD| Fomento Economico Mexicano SAB de CV Units Cons. Of 1 ShsB And 4 ShsD| 4.74%| Latin America|Equity|Latin America Equities||FLMX|6|6.ASSET|Equity|11.2|0.36|BIMBOA| Grupo Bimbo SAB de CV Class A| 3.25%| Latin America|Equity|Latin America Equities||FLMX|6|7.ASSET|Equity|11.2|0.34|GAPB| Grupo Aeroportuario del Pacifico SAB de CV Class B| 3.02%| Latin America|Equity|Latin America Equities||FLMX|6|8.ASSET|Equity|11.2|0.33|CEMEXCPO| Cemex SAB de CV Cert Part Ord Repr 2 ShsA & 1 ShsB| 2.97%| Latin America|Equity|Latin America Equities||FLMX|6|9.ASSET|Equity|11.2|0.33|TLEVISACPO| Grupo Televisa, S.A.B.| 2.93%| Latin America|Equity|Latin America Equities||FLMX|6|10.ASSET|Equity|11.2|0.32|ASURB| Grupo Aeroportuario del Sureste SA de CV Class B| 2.83%| Latin America|Equity|Latin America Equities||FLMX|6|11.ASSET|Equity|11.2|0.3|GFINBURO| Grupo Financiero Inbursa SAB de CV Class O| 2.72%| Latin America|Equity|Latin America Equities||FLMX|6|12.ASSET|Equity|11.2|0.3|FUNO11| Fibra Uno Administracion SA de CV| 2.66%| Latin America|Equity|Latin America Equities||FLMX|6|13.ASSET|Equity|11.2|0.29|ELEKTRA| Grupo Elektra SAB de CV| 2.58%| Latin America|Equity|Latin America Equities||FLMX|6|14.ASSET|Equity|11.2|0.25|AC| Arca Continental SAB de CV| 2.26%| Latin America|Equity|Latin America Equities||FLMX|6|15.ASSET|Equity|11.2|0.25|KOFUBL| Coca-Cola Femsa SAB de CV Units Cons of 5 Shs -L- + 3 Shs Series -B-| 2.24%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|1.ASSET|Equity|10.5|0.6|601166| Industrial Bank Co., Ltd. Class A| 5.76%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|2.ASSET|Equity|10.5|0.55|601899| Zijin Mining Group Co., Ltd. Class A| 5.21%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|3.ASSET|Equity|10.5|0.53|600030| CITIC Securities Co. Ltd. Class A| 5.00%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|4.ASSET|Equity|10.5|0.5|601398| Industrial and Commercial Bank of China Limited Class A| 4.72%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|5.ASSET|Equity|10.5|0.48|600036| China Merchants Bank Co., Ltd. Class A| 4.57%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|6.ASSET|Equity|10.5|0.45|601328| Bank of Communications Co., Ltd. Class A| 4.33%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|7.ASSET|Equity|10.5|0.45|600309| Wanhua Chemical Group Co. Ltd. Class A| 4.29%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|8.ASSET|Equity|10.5|0.4|600048| Poly Developments & Holdings Group Co., Ltd. Class A| 3.78%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|9.ASSET|Equity|10.5|0.37|601668| China State Construction Engineering Corp. Ltd. Class A| 3.52%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|10.ASSET|Equity|10.5|0.37|600837| Haitong Securities Co., Ltd. Class A| 3.51%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|11.ASSET|Equity|10.5|0.36|601288| Agricultural Bank of China Limited Class A| 3.43%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|12.ASSET|Equity|10.5|0.29|601088| China Shenhua Energy Co. Ltd. Class A| 2.73%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|13.ASSET|Equity|10.5|0.27|601688| Huatai Securities Co., Ltd. Class A| 2.61%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|14.ASSET|Equity|10.5|0.22|601988| Bank of China Limited Class A| 2.13%| Emerging Asia Pacific|Equity|China Equities||KFYP|6|15.ASSET|Equity|10.5|0.22|600019| Baoshan Iron & Steel Co., Ltd. Class A| 2.11%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|1.ASSET|Equity|8.5|0.59|300750| Contemporary Amperex Technology Co., Ltd. Class A| 6.92%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|2.ASSET|Equity|8.5|0.53|O39| Oversea-Chinese Banking Corporation Limited| 6.28%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|3.ASSET|Equity|8.5|0.44|IMP| Impala Platinum Holdings Limited| 5.14%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|4.ASSET|Equity|8.5|0.4|KFH| Kuwait Finance House K.S.C.| 4.67%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|5.ASSET|Equity|8.5|0.35|PTT| PTT Public Co., Ltd.| 4.12%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|6.ASSET|Equity|8.5|0.27|600900| China Yangtze Power Co., Ltd. Class A| 3.12%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|7.ASSET|Equity|8.5|0.24|AMS| Anglo American Platinum Limited| 2.82%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|8.ASSET|Equity|8.5|0.21|ICL| ICL Group Ltd.| 2.43%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|9.ASSET|Equity|8.5|0.15|5183| PETRONAS Chemicals Group Bhd.| 1.81%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|10.ASSET|Equity|8.5|0.15|KGH| KGHM Polska Miedz S.A.| 1.78%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|11.ASSET|Equity|8.5|0.15|8869| Press Metal Aluminium Holdings Berhad| 1.73%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|12.ASSET|Equity|8.5|0.13|002142| Bank of Ningbo Co., Ltd. Class A| 1.49%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|13.ASSET|Equity|8.5|0.12|ICT| International Container Terminal Services, Inc.| 1.44%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|14.ASSET|Equity|8.5|0.12|GMKN| MMC Norilsk Nickel PJSC| 1.44%| Emerging Markets|Equity|Emerging Markets Equities||OBOR|6|15.ASSET|Equity|8.5|0.12|386| China Petroleum & Chemical Corporation Class H| 1.38%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|1.ASSET|Equity|10.6|0.39|DG| VINCI SA| 3.65%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|2.ASSET|Equity|10.6|0.36|1801| TAISEI CORP| 3.35%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|3.ASSET|Equity|10.6|0.34|ACM| AECOM| 3.23%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|4.ASSET|Equity|10.6|0.34|KBR| KBR, Inc.| 3.21%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|5.ASSET|Equity|10.6|0.33|EN| Bouygues SA| 3.15%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|6.ASSET|Equity|10.6|0.33|FGR| Eiffage SA| 3.15%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|7.ASSET|Equity|10.6|0.33|1812| Kajima Corporation| 3.14%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|8.ASSET|Equity|10.6|0.33|PWR| Quanta Services, Inc.| 3.10%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|9.ASSET|Equity|10.6|0.31|J| Jacobs Engineering Group Inc.| 2.89%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|10.ASSET|Equity|10.6|0.3|ACS| Actividades de Construccion y Servicios SA| 2.80%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|11.ASSET|Equity|10.6|0.29|1802| Obayashi Corporation| 2.71%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|12.ASSET|Equity|10.6|0.28|FLR| Fluor Corporation| 2.65%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|13.ASSET|Equity|10.6|0.28|SKA.B| Skanska AB Class B| 2.62%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|14.ASSET|Equity|10.6|0.27|EME| EMCOR Group, Inc.| 2.56%| Developed Markets|Equity|Building & Construction |Materials|FLM|6|15.ASSET|Equity|10.6|0.27|006360| GS Engineering & Construction Corp.| 2.53%| North America|Equity|Large Cap Value Equities||REVS|6|1.ASSET|Equity|22|0.83|JNJ| Johnson & Johnson| 3.76%| North America|Equity|Large Cap Value Equities||REVS|6|2.ASSET|Equity|22|0.83|XOM| Exxon Mobil Corporation| 3.75%| North America|Equity|Large Cap Value Equities||REVS|6|3.ASSET|Equity|22|0.82|WFC| Wells Fargo & Company| 3.74%| North America|Equity|Large Cap Value Equities||REVS|6|4.ASSET|Equity|22|0.53|PG| Procter & Gamble Company| 2.43%| North America|Equity|Large Cap Value Equities||REVS|6|5.ASSET|Equity|22|0.5|PFE| Pfizer Inc.| 2.25%| North America|Equity|Large Cap Value Equities||REVS|6|6.ASSET|Equity|22|0.48|C| Citigroup Inc.| 2.16%| North America|Equity|Large Cap Value Equities||REVS|6|7.ASSET|Equity|22|0.47|MS| Morgan Stanley| 2.15%| North America|Equity|Large Cap Value Equities||REVS|6|8.ASSET|Equity|22|0.43|CSCO| Cisco Systems, Inc.| 1.94%| North America|Equity|Large Cap Value Equities||REVS|6|9.ASSET|Equity|22|0.43|GOOGL| Alphabet Inc. Class A| 1.94%| North America|Equity|Large Cap Value Equities||REVS|6|10.ASSET|Equity|22|0.41|GS| Goldman Sachs Group, Inc.| 1.86%| North America|Equity|Large Cap Value Equities||REVS|6|11.ASSET|Equity|22|0.4|GOOG| Alphabet Inc. Class C| 1.80%| North America|Equity|Large Cap Value Equities||REVS|6|12.ASSET|Equity|22|0.37|MRK| Merck & Co., Inc.| 1.67%| North America|Equity|Large Cap Value Equities||REVS|6|13.ASSET|Equity|22|0.37|INTC| Intel Corporation| 1.66%| North America|Equity|Large Cap Value Equities||REVS|6|14.ASSET|Equity|22|0.32|COP| ConocoPhillips| 1.45%| North America|Equity|Large Cap Value Equities||REVS|6|15.ASSET|Equity|22|0.31|DUK| Duke Energy Corporation| 1.41%| North America|Equity|Mid Cap Blend Equities||MIDE|6|1.ASSET|Equity|10.7|0.13|CPT| Camden Property Trust| 1.17%| North America|Equity|Mid Cap Blend Equities||MIDE|6|2.ASSET|Equity|10.7|0.1|STLD| Steel Dynamics, Inc.| 0.96%| North America|Equity|Mid Cap Blend Equities||MIDE|6|3.ASSET|Equity|10.7|0.1|FICO| Fair Isaac Corporation| 0.91%| North America|Equity|Mid Cap Blend Equities||MIDE|6|4.ASSET|Equity|10.7|0.1|FHN| First Horizon Corporation| 0.89%| North America|Equity|Mid Cap Blend Equities||MIDE|6|5.ASSET|Equity|10.7|0.09|DAR| Darling Ingredients Inc.| 0.85%| North America|Equity|Mid Cap Blend Equities||MIDE|6|6.ASSET|Equity|10.7|0.09|JLL| Jones Lang LaSalle Incorporated| 0.83%| North America|Equity|Mid Cap Blend Equities||MIDE|6|7.ASSET|Equity|10.7|0.09|CSL| Carlisle Companies Incorporated| 0.83%| North America|Equity|Mid Cap Blend Equities||MIDE|6|8.ASSET|Equity|10.7|0.09|MPW| Medical Properties Trust, Inc.| 0.82%| North America|Equity|Mid Cap Blend Equities||MIDE|6|9.ASSET|Equity|10.7|0.09|GGG| Graco Inc.| 0.82%| North America|Equity|Mid Cap Blend Equities||MIDE|6|10.ASSET|Equity|10.7|0.09|CGNX| Cognex Corporation| 0.82%| North America|Equity|Mid Cap Blend Equities||MIDE|6|11.ASSET|Equity|10.7|0.09|EWBC| East West Bancorp, Inc.| 0.82%| North America|Equity|Mid Cap Blend Equities||MIDE|6|12.ASSET|Equity|10.7|0.08|WOLF| Wolfspeed Inc| 0.78%| North America|Equity|Mid Cap Blend Equities||MIDE|6|13.ASSET|Equity|10.7|0.08|CONE| CyrusOne Inc.| 0.78%| North America|Equity|Mid Cap Blend Equities||MIDE|6|14.ASSET|Equity|10.7|0.08|WSM| Williams-Sonoma, Inc.| 0.75%| North America|Equity|Mid Cap Blend Equities||MIDE|6|15.ASSET|Equity|10.7|0.08|RRX| Regal Rexnord Corporation| 0.74%| |Equity|Large Cap Blend Equities||UNOV|6|1.ASSET|Equity|43.2|42.97|N/A| OPTIONS| 99.47%| |Equity|Large Cap Blend Equities||UNOV|6|2.ASSET|Equity|43.2|42.97|N/A| OPTIONS| 99.47%| |Equity|Large Cap Blend Equities||UNOV|6|3.ASSET|Equity|43.2|0.23|N/A| U.S. Dollar| 0.53%| |Equity|Large Cap Blend Equities||UNOV|6|4.ASSET|Equity|43.2|0.23|N/A| U.S. Dollar| 0.53%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|1.ASSET|Equity|8.5|0.73|939| China Construction Bank Corporation Class H| 8.60%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|2.ASSET|Equity|8.5|0.7|700| Tencent Holdings Ltd.| 8.18%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|3.ASSET|Equity|8.5|0.6|9988| Alibaba Group Holding Ltd.| 7.07%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|4.ASSET|Equity|8.5|0.57|3690| Meituan Class B| 6.66%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|5.ASSET|Equity|8.5|0.35|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 4.11%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|6.ASSET|Equity|8.5|0.34|3968| China Merchants Bank Co., Ltd. Class H| 3.98%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|7.ASSET|Equity|8.5|0.28|NIO| NIO Inc. Sponsored ADR Class A| 3.27%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|8.ASSET|Equity|8.5|0.28|2269| Wuxi Biologics (Cayman) Inc.| 3.26%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|9.ASSET|Equity|8.5|0.27|1211| BYD Company Limited Class H| 3.19%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|10.ASSET|Equity|8.5|0.22|2331| Li Ning Company Limited| 2.61%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|11.ASSET|Equity|8.5|0.22|YUMC| Yum China Holdings, Inc.| 2.61%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|12.ASSET|Equity|8.5|0.21|2319| China Mengniu Dairy Co., Ltd.| 2.43%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|13.ASSET|Equity|8.5|0.17|LI| Li Auto, Inc. Sponsored ADR Class A| 2.00%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|14.ASSET|Equity|8.5|0.14|XPEV| XPeng, Inc. ADR Sponsored Class A| 1.68%| Emerging Asia Pacific|Equity|Foreign Large Cap Equities||KESG|6|15.ASSET|Equity|8.5|0.14|2313| Shenzhou International Group Holdings Limited| 1.63%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|1.ASSET|Bond|10|0.43|N/A| Government of South Africa 5.875% 16-SEP-2025| 4.33%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|2.ASSET|Bond|10|0.43|N/A| Government of Saudi Arabia 4.0% 17-APR-2025| 4.29%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|3.ASSET|Bond|10|0.41|N/A| Government of Turkey 7.25% 23-DEC-2023| 4.14%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|4.ASSET|Bond|10|0.35|N/A| Petroleos Mexicanos SA 3.5% 30-JAN-2023| 3.46%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|5.ASSET|Bond|10|0.31|N/A| Government of Brazil 8.875% 15-APR-2024| 3.14%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|6.ASSET|Bond|10|0.31|N/A| Sinopec Group Overseas Development (2015) Ltd. 3.25% 28-APR-2025| 3.11%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|7.ASSET|Bond|10|0.24|N/A| Government of Hungary 5.375% 21-FEB-2023| 2.41%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|8.ASSET|Bond|10|0.23|N/A| Southern Gas Corridor CJSC 6.875% 24-MAR-2026| 2.26%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|9.ASSET|Bond|10|0.22|N/A| Government of Brazil 6.0% 07-APR-2026| 2.23%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|10.ASSET|Bond|10|0.22|N/A| Government of Bahrain 7.0% 26-JAN-2026| 2.18%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|11.ASSET|Bond|10|0.21|N/A| Perusahaan Penerbit SBSN Indonesia III 4.325% 28-MAY-2025| 2.13%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|12.ASSET|Bond|10|0.21|N/A| Perusahaan Penerbit SBSN Indonesia III 4.35% 10-SEP-2024| 2.13%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|13.ASSET|Bond|10|0.21|N/A| Government of Indonesia 4.125% 15-JAN-2025| 2.13%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|14.ASSET|Bond|10|0.21|N/A| Government of Indonesia 4.45% 11-FEB-2024| 2.13%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMSH|6|15.ASSET|Bond|10|0.21|N/A| Government of the Dominican Republic 5.5% 27-JAN-2025| 2.11%| North America|Equity|Europe Equities||FLFR|6|1.ASSET|Equity|9.8|1|MC| LVMH Moet Hennessy Louis Vuitton SE| 10.21%| North America|Equity|Europe Equities||FLFR|6|2.ASSET|Equity|9.8|0.69|TTE| TotalEnergies SE| 7.04%| North America|Equity|Europe Equities||FLFR|6|3.ASSET|Equity|9.8|0.64|SAN| Sanofi| 6.54%| North America|Equity|Europe Equities||FLFR|6|4.ASSET|Equity|9.8|0.53|OR| L\'Oreal SA| 5.42%| North America|Equity|Europe Equities||FLFR|6|5.ASSET|Equity|9.8|0.45|SU| Schneider Electric SE| 4.60%| North America|Equity|Europe Equities||FLFR|6|6.ASSET|Equity|9.8|0.44|AI| Air Liquide SA| 4.49%| North America|Equity|Europe Equities||FLFR|6|7.ASSET|Equity|9.8|0.37|AIR| Airbus SE| 3.79%| North America|Equity|Europe Equities||FLFR|6|8.ASSET|Equity|9.8|0.34|BNP| BNP Paribas SA Class A| 3.46%| North America|Equity|Europe Equities||FLFR|6|9.ASSET|Equity|9.8|0.29|DG| VINCI SA| 3.01%| North America|Equity|Europe Equities||FLFR|6|10.ASSET|Equity|9.8|0.29|KER| Kering SA| 2.94%| North America|Equity|Europe Equities||FLFR|6|11.ASSET|Equity|9.8|0.29|CS| AXA SA| 2.93%| North America|Equity|Europe Equities||FLFR|6|12.ASSET|Equity|9.8|0.28|EL| EssilorLuxottica SA| 2.88%| North America|Equity|Europe Equities||FLFR|6|13.ASSET|Equity|9.8|0.26|RI| Pernod Ricard SA| 2.62%| North America|Equity|Europe Equities||FLFR|6|14.ASSET|Equity|9.8|0.24|RMS| Hermes International SCA| 2.43%| North America|Equity|Europe Equities||FLFR|6|15.ASSET|Equity|9.8|0.23|SAF| Safran S.A.| 2.36%| North America|Equity|Small Cap Blend Equities||SMLE|6|1.ASSET|Equity|10.4|0.09|OMCL| Omnicell, Inc.| 0.86%| North America|Equity|Small Cap Blend Equities||SMLE|6|2.ASSET|Equity|10.4|0.08|GTLS| Chart Industries, Inc.| 0.78%| North America|Equity|Small Cap Blend Equities||SMLE|6|3.ASSET|Equity|10.4|0.08|SWN| Southwestern Energy Company| 0.78%| North America|Equity|Small Cap Blend Equities||SMLE|6|4.ASSET|Equity|10.4|0.08|ROG| Rogers Corporation| 0.75%| North America|Equity|Small Cap Blend Equities||SMLE|6|5.ASSET|Equity|10.4|0.08|AMN| AMN Healthcare Services, Inc.| 0.75%| North America|Equity|Small Cap Blend Equities||SMLE|6|6.ASSET|Equity|10.4|0.08|VG| Vonage Holdings Corp.| 0.74%| North America|Equity|Small Cap Blend Equities||SMLE|6|7.ASSET|Equity|10.4|0.08|EXPO| Exponent, Inc.| 0.74%| North America|Equity|Small Cap Blend Equities||SMLE|6|8.ASSET|Equity|10.4|0.07|SPSC| SPS Commerce, Inc.| 0.69%| North America|Equity|Small Cap Blend Equities||SMLE|6|9.ASSET|Equity|10.4|0.07|SM| SM Energy Company| 0.69%| North America|Equity|Small Cap Blend Equities||SMLE|6|10.ASSET|Equity|10.4|0.07|ABG| Asbury Automotive Group, Inc.| 0.68%| North America|Equity|Small Cap Blend Equities||SMLE|6|11.ASSET|Equity|10.4|0.07|MATX| Matson, Inc.| 0.67%| North America|Equity|Small Cap Blend Equities||SMLE|6|12.ASSET|Equity|10.4|0.07|ADC| Agree Realty Corporation| 0.66%| North America|Equity|Small Cap Blend Equities||SMLE|6|13.ASSET|Equity|10.4|0.07|BCPC| Balchem Corporation| 0.66%| North America|Equity|Small Cap Blend Equities||SMLE|6|14.ASSET|Equity|10.4|0.07|ENSG| Ensign Group, Inc.| 0.65%| North America|Equity|Small Cap Blend Equities||SMLE|6|15.ASSET|Equity|10.4|0.07|LXP| LXP Industrial Trust| 0.65%| North America|Equity|Large Cap Blend Equities||EQOP|6|1.ASSET|Equity|10|0.44|FB| Meta Platforms Inc. Class A| 4.44%| North America|Equity|Large Cap Blend Equities||EQOP|6|2.ASSET|Equity|10|0.42|GOOGL| Alphabet Inc. Class A| 4.23%| North America|Equity|Large Cap Blend Equities||EQOP|6|3.ASSET|Equity|10|0.33|NVDA| NVIDIA Corporation| 3.26%| North America|Equity|Large Cap Blend Equities||EQOP|6|4.ASSET|Equity|10|0.3|N/A| U.S. Dollar| 2.96%| North America|Equity|Large Cap Blend Equities||EQOP|6|5.ASSET|Equity|10|0.29|REGN| Regeneron Pharmaceuticals, Inc.| 2.88%| North America|Equity|Large Cap Blend Equities||EQOP|6|6.ASSET|Equity|10|0.28|AMZN| Amazon.com, Inc.| 2.77%| North America|Equity|Large Cap Blend Equities||EQOP|6|7.ASSET|Equity|10|0.27|ALLY| Ally Financial Inc| 2.65%| North America|Equity|Large Cap Blend Equities||EQOP|6|8.ASSET|Equity|10|0.23|COF| Capital One Financial Corporation| 2.31%| North America|Equity|Large Cap Blend Equities||EQOP|6|9.ASSET|Equity|10|0.23|EOG| EOG Resources, Inc.| 2.31%| North America|Equity|Large Cap Blend Equities||EQOP|6|10.ASSET|Equity|10|0.22|SCHW| Charles Schwab Corporation| 2.24%| North America|Equity|Large Cap Blend Equities||EQOP|6|11.ASSET|Equity|10|0.2|ORCL| Oracle Corporation| 2.01%| North America|Equity|Large Cap Blend Equities||EQOP|6|12.ASSET|Equity|10|0.2|IT| Gartner, Inc.| 2.00%| North America|Equity|Large Cap Blend Equities||EQOP|6|13.ASSET|Equity|10|0.2|C| Citigroup Inc.| 1.95%| North America|Equity|Large Cap Blend Equities||EQOP|6|14.ASSET|Equity|10|0.19|MNST| Monster Beverage Corporation| 1.92%| North America|Equity|Large Cap Blend Equities||EQOP|6|15.ASSET|Equity|10|0.19|BA| Boeing Company| 1.89%| Global|Multi-Asset|Hedge Fund||MRSK|6|1.ASSET|Multi-Asset|40.9|21.97|VOO| Vanguard S&P 500 ETF| 53.72%| Global|Multi-Asset|Hedge Fund||MRSK|6|2.ASSET|Multi-Asset|40.9|9.71|N/A| FUTURES| 23.75%| Global|Multi-Asset|Hedge Fund||MRSK|6|3.ASSET|Multi-Asset|40.9|4.88|N/A| U.S. Dollar| 11.93%| Global|Multi-Asset|Hedge Fund||MRSK|6|4.ASSET|Multi-Asset|40.9|4.34|N/A| OPTIONS| 10.60%| North America|Equity|n/a||XBJL|6|1.ASSET|Equity|13.8|13.72|N/A| OPTIONS| 99.45%| North America|Equity|n/a||XBJL|6|2.ASSET|Equity|13.8|0.08|N/A| U.S. Dollar| 0.55%| Global ex-U.S.|Equity|Global Equities||FICS|6|1.ASSET|Equity|25.7|0.66|HO| Thales SA| 2.56%| Global ex-U.S.|Equity|Global Equities||FICS|6|2.ASSET|Equity|25.7|0.63|TD| Toronto-Dominion Bank| 2.47%| Global ex-U.S.|Equity|Global Equities||FICS|6|3.ASSET|Equity|25.7|0.63|BNZL| Bunzl plc| 2.45%| Global ex-U.S.|Equity|Global Equities||FICS|6|4.ASSET|Equity|25.7|0.6|GSK| GlaxoSmithKline plc| 2.35%| Global ex-U.S.|Equity|Global Equities||FICS|6|5.ASSET|Equity|25.7|0.59|IFC| Intact Financial Corporation| 2.29%| Global ex-U.S.|Equity|Global Equities||FICS|6|6.ASSET|Equity|25.7|0.59|NOVN| Novartis AG| 2.28%| Global ex-U.S.|Equity|Global Equities||FICS|6|7.ASSET|Equity|25.7|0.58|NESN| Nestle S.A.| 2.26%| Global ex-U.S.|Equity|Global Equities||FICS|6|8.ASSET|Equity|25.7|0.58|FERG| Ferguson Plc| 2.26%| Global ex-U.S.|Equity|Global Equities||FICS|6|9.ASSET|Equity|25.7|0.57|GMG| Goodman Group| 2.23%| Global ex-U.S.|Equity|Global Equities||FICS|6|10.ASSET|Equity|25.7|0.57|AZN| AstraZeneca PLC| 2.22%| Global ex-U.S.|Equity|Global Equities||FICS|6|11.ASSET|Equity|25.7|0.57|NOVO.B| Novo Nordisk A/S Class B| 2.21%| Global ex-U.S.|Equity|Global Equities||FICS|6|12.ASSET|Equity|25.7|0.57|CNR| Canadian National Railway Company| 2.20%| Global ex-U.S.|Equity|Global Equities||FICS|6|13.ASSET|Equity|25.7|0.56|ATD| Alimentation Couche-Tard Inc. Class A| 2.19%| Global ex-U.S.|Equity|Global Equities||FICS|6|14.ASSET|Equity|25.7|0.56|WKL| Wolters Kluwer NV| 2.16%| Global ex-U.S.|Equity|Global Equities||FICS|6|15.ASSET|Equity|25.7|0.55|SIKA| Sika AG| 2.13%| North America|Equity|n/a||PSY|6|1.ASSET|Equity|7.7|0.62|GHRS| GH Research Plc| 8.04%| North America|Equity|n/a||PSY|6|2.ASSET|Equity|7.7|0.56|PCLO| PharmaCielo Ltd.| 7.23%| North America|Equity|n/a||PSY|6|3.ASSET|Equity|7.7|0.47|NEPT| Neptune Wellness Solutions, Inc.| 6.09%| North America|Equity|n/a||PSY|6|4.ASSET|Equity|7.7|0.46|FORA| Forian Inc| 6.00%| North America|Equity|n/a||PSY|6|5.ASSET|Equity|7.7|0.46|NUMI| Numinus Wellness Inc| 5.93%| North America|Equity|n/a||PSY|6|6.ASSET|Equity|7.7|0.44|CRON| Cronos Group Inc| 5.72%| North America|Equity|n/a||PSY|6|7.ASSET|Equity|7.7|0.41|ACB| Aurora Cannabis Inc.| 5.35%| North America|Equity|n/a||PSY|6|8.ASSET|Equity|7.7|0.4|ZYNE| Zynerba Pharmaceuticals Inc| 5.23%| North America|Equity|n/a||PSY|6|9.ASSET|Equity|7.7|0.4|SEEL| Seelos Therapeutics, Inc.| 5.17%| North America|Equity|n/a||PSY|6|10.ASSET|Equity|7.7|0.39|CWEB| Charlotte\'s Web Holdings, Inc.| 5.03%| North America|Equity|n/a||PSY|6|11.ASSET|Equity|7.7|0.37|CMPS| COMPASS Pathways Plc Sponsored ADR| 4.75%| North America|Equity|n/a||PSY|6|12.ASSET|Equity|7.7|0.34|CRDL| Cardiol Therapeutics Inc. Class A| 4.44%| North America|Equity|n/a||PSY|6|13.ASSET|Equity|7.7|0.34|MMED| Mind Medicine (MindMed), Inc.| 4.40%| North America|Equity|n/a||PSY|6|14.ASSET|Equity|7.7|0.3|CYBN| Cybin, Inc.| 3.84%| North America|Equity|n/a||PSY|6|15.ASSET|Equity|7.7|0.28|ATAI| ATAI Life Sciences N.V.| 3.65%| Broad Asia|Equity|China Equities||FCA|6|1.ASSET|Equity|9.6|0.44|1378| China Hongqiao Group Ltd.| 4.59%| Broad Asia|Equity|China Equities||FCA|6|2.ASSET|Equity|9.6|0.36|347| Angang Steel Co., Ltd. Class H| 3.78%| Broad Asia|Equity|China Equities||FCA|6|3.ASSET|Equity|9.6|0.35|3311| China State Construction International Holdings Limited| 3.61%| Broad Asia|Equity|China Equities||FCA|6|4.ASSET|Equity|9.6|0.34|1919| COSCO SHIPPING Holdings Co., Ltd. Class H| 3.57%| Broad Asia|Equity|China Equities||FCA|6|5.ASSET|Equity|9.6|0.33|135| KunLun Energy Co. Ltd.| 3.48%| Broad Asia|Equity|China Equities||FCA|6|6.ASSET|Equity|9.6|0.33|489| Dongfeng Motor Group Co., Ltd. Class H| 3.47%| Broad Asia|Equity|China Equities||FCA|6|7.ASSET|Equity|9.6|0.33|688| China Overseas Land & Investment Limited| 3.46%| Broad Asia|Equity|China Equities||FCA|6|8.ASSET|Equity|9.6|0.31|857| PetroChina Company Limited Class H| 3.27%| Broad Asia|Equity|China Equities||FCA|6|9.ASSET|Equity|9.6|0.31|148| Kingboard Holdings Limited| 3.23%| Broad Asia|Equity|China Equities||FCA|6|10.ASSET|Equity|9.6|0.29|1313| China Resources Cement Holdings Limited| 3.03%| Broad Asia|Equity|China Equities||FCA|6|11.ASSET|Equity|9.6|0.29|257| China Everbright Environment Group Limited| 3.03%| Broad Asia|Equity|China Equities||FCA|6|12.ASSET|Equity|9.6|0.28|914| Anhui Conch Cement Company Limited Class H| 2.87%| Broad Asia|Equity|China Equities||FCA|6|13.ASSET|Equity|9.6|0.27|386| China Petroleum & Chemical Corporation Class H| 2.83%| Broad Asia|Equity|China Equities||FCA|6|14.ASSET|Equity|9.6|0.26|2380| China Power International Development Ltd| 2.76%| Broad Asia|Equity|China Equities||FCA|6|15.ASSET|Equity|9.6|0.24|992| Lenovo Group Limited| 2.55%| North America|Equity|Mid Cap Blend Equities||SMDY|6|1.ASSET|Equity|9.6|0.09|SABR| Sabre Corp.| 0.92%| North America|Equity|Mid Cap Blend Equities||SMDY|6|2.ASSET|Equity|9.6|0.08|EXEL| Exelixis, Inc.| 0.88%| North America|Equity|Mid Cap Blend Equities||SMDY|6|3.ASSET|Equity|9.6|0.08|JAZZ| Jazz Pharmaceuticals Public Limited Company| 0.87%| North America|Equity|Mid Cap Blend Equities||SMDY|6|4.ASSET|Equity|9.6|0.08|RRC| Range Resources Corporation| 0.87%| North America|Equity|Mid Cap Blend Equities||SMDY|6|5.ASSET|Equity|9.6|0.08|VSAT| ViaSat, Inc.| 0.83%| North America|Equity|Mid Cap Blend Equities||SMDY|6|6.ASSET|Equity|9.6|0.08|COHR| Coherent, Inc.| 0.83%| North America|Equity|Mid Cap Blend Equities||SMDY|6|7.ASSET|Equity|9.6|0.08|CONE| CyrusOne Inc.| 0.83%| North America|Equity|Mid Cap Blend Equities||SMDY|6|8.ASSET|Equity|9.6|0.08|LITE| Lumentum Holdings, Inc.| 0.82%| North America|Equity|Mid Cap Blend Equities||SMDY|6|9.ASSET|Equity|9.6|0.08|NBIX| Neurocrine Biosciences, Inc.| 0.81%| North America|Equity|Mid Cap Blend Equities||SMDY|6|10.ASSET|Equity|9.6|0.08|IRDM| Iridium Communications Inc.| 0.80%| North America|Equity|Mid Cap Blend Equities||SMDY|6|11.ASSET|Equity|9.6|0.08|SGMS| Scientific Games Corporation| 0.80%| North America|Equity|Mid Cap Blend Equities||SMDY|6|12.ASSET|Equity|9.6|0.08|VOYA| Voya Financial, Inc.| 0.80%| North America|Equity|Mid Cap Blend Equities||SMDY|6|13.ASSET|Equity|9.6|0.08|NCR| NCR Corporation| 0.79%| North America|Equity|Mid Cap Blend Equities||SMDY|6|14.ASSET|Equity|9.6|0.07|YELP| Yelp Inc| 0.78%| North America|Equity|Mid Cap Blend Equities||SMDY|6|15.ASSET|Equity|9.6|0.07|PGNY| Progyny, Inc.| 0.78%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|1.ASSET|Multi-Asset|11.4|0.82|AAPL| Apple Inc.| 7.23%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|2.ASSET|Multi-Asset|11.4|0.72|MSFT| Microsoft Corporation| 6.28%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|3.ASSET|Multi-Asset|11.4|0.43|AMZN| Amazon.com, Inc.| 3.75%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|4.ASSET|Multi-Asset|11.4|0.26|GOOGL| Alphabet Inc. Class A| 2.25%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|5.ASSET|Multi-Asset|11.4|0.23|TSLA| Tesla Inc| 2.04%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|6.ASSET|Multi-Asset|11.4|0.18|NVDA| NVIDIA Corporation| 1.57%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|7.ASSET|Multi-Asset|11.4|0.15|FB| Meta Platforms Inc. Class A| 1.30%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|8.ASSET|Multi-Asset|11.4|0.14|UNH| UnitedHealth Group Incorporated| 1.27%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|9.ASSET|Multi-Asset|11.4|0.14|JNJ| Johnson & Johnson| 1.22%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|10.ASSET|Multi-Asset|11.4|0.13|JPM| JPMorgan Chase & Co.| 1.15%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|11.ASSET|Multi-Asset|11.4|0.13|BRK.B| Berkshire Hathaway Inc. Class B| 1.11%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|12.ASSET|Multi-Asset|11.4|0.12|PG| Procter & Gamble Company| 1.04%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|13.ASSET|Multi-Asset|11.4|0.11|V| Visa Inc. Class A| 0.97%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|14.ASSET|Multi-Asset|11.4|0.11|HD| Home Depot, Inc.| 0.95%| North America|Multi-Asset|Diversified Portfolio||DWPP|6|15.ASSET|Multi-Asset|11.4|0.11|XOM| Exxon Mobil Corporation| 0.95%| North America|Equity|All Cap Equities||USLB|6|1.ASSET|Equity|10.1|0.04|WBS| Webster Financial Corporation| 0.44%| North America|Equity|All Cap Equities||USLB|6|2.ASSET|Equity|10.1|0.03|CF| CF Industries Holdings, Inc.| 0.29%| North America|Equity|All Cap Equities||USLB|6|3.ASSET|Equity|10.1|0.03|FHN| First Horizon Corporation| 0.29%| North America|Equity|All Cap Equities||USLB|6|4.ASSET|Equity|10.1|0.03|ATVI| Activision Blizzard, Inc.| 0.27%| North America|Equity|All Cap Equities||USLB|6|5.ASSET|Equity|10.1|0.03|LMT| Lockheed Martin Corporation| 0.27%| North America|Equity|All Cap Equities||USLB|6|6.ASSET|Equity|10.1|0.03|CLR| Continental Resources, Inc.| 0.27%| North America|Equity|All Cap Equities||USLB|6|7.ASSET|Equity|10.1|0.03|HES| Hess Corporation| 0.27%| North America|Equity|All Cap Equities||USLB|6|8.ASSET|Equity|10.1|0.03|NOC| Northrop Grumman Corporation| 0.26%| North America|Equity|All Cap Equities||USLB|6|9.ASSET|Equity|10.1|0.03|CERN| Cerner Corporation| 0.26%| North America|Equity|All Cap Equities||USLB|6|10.ASSET|Equity|10.1|0.03|MRCY| Mercury Systems, Inc.| 0.26%| North America|Equity|All Cap Equities||USLB|6|11.ASSET|Equity|10.1|0.03|NEM| Newmont Corporation| 0.25%| North America|Equity|All Cap Equities||USLB|6|12.ASSET|Equity|10.1|0.03|BG| Bunge Limited| 0.25%| North America|Equity|All Cap Equities||USLB|6|13.ASSET|Equity|10.1|0.03|RGLD| Royal Gold, Inc.| 0.25%| North America|Equity|All Cap Equities||USLB|6|14.ASSET|Equity|10.1|0.03|ADM| Archer-Daniels-Midland Company| 0.25%| North America|Equity|All Cap Equities||USLB|6|15.ASSET|Equity|10.1|0.03|VIRT| Virtu Financial, Inc. Class A| 0.25%| North America|Equity|Large Cap Growth Equities||ECOZ|6|1.ASSET|Equity|8.2|0.38|TSLA| Tesla Inc| 4.60%| North America|Equity|Large Cap Growth Equities||ECOZ|6|2.ASSET|Equity|8.2|0.29|MSFT| Microsoft Corporation| 3.59%| North America|Equity|Large Cap Growth Equities||ECOZ|6|3.ASSET|Equity|8.2|0.28|GOOGL| Alphabet Inc. Class A| 3.43%| North America|Equity|Large Cap Growth Equities||ECOZ|6|4.ASSET|Equity|8.2|0.26|NVDA| NVIDIA Corporation| 3.17%| North America|Equity|Large Cap Growth Equities||ECOZ|6|5.ASSET|Equity|8.2|0.26|AAPL| Apple Inc.| 3.14%| North America|Equity|Large Cap Growth Equities||ECOZ|6|6.ASSET|Equity|8.2|0.25|ENPH| Enphase Energy, Inc.| 3.04%| North America|Equity|Large Cap Growth Equities||ECOZ|6|7.ASSET|Equity|8.2|0.25|ROK| Rockwell Automation, Inc.| 3.00%| North America|Equity|Large Cap Growth Equities||ECOZ|6|8.ASSET|Equity|8.2|0.24|SYY| Sysco Corporation| 2.88%| North America|Equity|Large Cap Growth Equities||ECOZ|6|9.ASSET|Equity|8.2|0.23|AXP| American Express Company| 2.83%| North America|Equity|Large Cap Growth Equities||ECOZ|6|10.ASSET|Equity|8.2|0.23|COST| Costco Wholesale Corporation| 2.75%| North America|Equity|Large Cap Growth Equities||ECOZ|6|11.ASSET|Equity|8.2|0.21|GWW| W.W. Grainger, Inc.| 2.60%| North America|Equity|Large Cap Growth Equities||ECOZ|6|12.ASSET|Equity|8.2|0.2|PLD| Prologis, Inc.| 2.46%| North America|Equity|Large Cap Growth Equities||ECOZ|6|13.ASSET|Equity|8.2|0.18|DIS| Walt Disney Company| 2.16%| North America|Equity|Large Cap Growth Equities||ECOZ|6|14.ASSET|Equity|8.2|0.18|AMZN| Amazon.com, Inc.| 2.14%| North America|Equity|Large Cap Growth Equities||ECOZ|6|15.ASSET|Equity|8.2|0.17|ABC| AmerisourceBergen Corporation| 2.13%| North America|Equity|Large Cap Blend Equities||QDIV|6|1.ASSET|Equity|43.1|0.78|COP| ConocoPhillips| 1.82%| North America|Equity|Large Cap Blend Equities||QDIV|6|2.ASSET|Equity|43.1|0.77|LMT| Lockheed Martin Corporation| 1.78%| North America|Equity|Large Cap Blend Equities||QDIV|6|3.ASSET|Equity|43.1|0.77|EOG| EOG Resources, Inc.| 1.78%| North America|Equity|Large Cap Blend Equities||QDIV|6|4.ASSET|Equity|43.1|0.76|CVX| Chevron Corporation| 1.77%| North America|Equity|Large Cap Blend Equities||QDIV|6|5.ASSET|Equity|43.1|0.75|XOM| Exxon Mobil Corporation| 1.74%| North America|Equity|Large Cap Blend Equities||QDIV|6|6.ASSET|Equity|43.1|0.73|NEM| Newmont Corporation| 1.70%| North America|Equity|Large Cap Blend Equities||QDIV|6|7.ASSET|Equity|43.1|0.72|FANG| Diamondback Energy, Inc.| 1.68%| North America|Equity|Large Cap Blend Equities||QDIV|6|8.ASSET|Equity|43.1|0.72|CTRA| Coterra Energy Inc.| 1.67%| North America|Equity|Large Cap Blend Equities||QDIV|6|9.ASSET|Equity|43.1|0.71|MPC| Marathon Petroleum Corporation| 1.65%| North America|Equity|Large Cap Blend Equities||QDIV|6|10.ASSET|Equity|43.1|0.7|BKR| Baker Hughes Company Class A| 1.63%| North America|Equity|Large Cap Blend Equities||QDIV|6|11.ASSET|Equity|43.1|0.69|OMC| Omnicom Group Inc| 1.61%| North America|Equity|Large Cap Blend Equities||QDIV|6|12.ASSET|Equity|43.1|0.69|MTB| M&T Bank Corporation| 1.60%| North America|Equity|Large Cap Blend Equities||QDIV|6|13.ASSET|Equity|43.1|0.69|LHX| L3Harris Technologies Inc| 1.59%| North America|Equity|Large Cap Blend Equities||QDIV|6|14.ASSET|Equity|43.1|0.68|PKG| Packaging Corporation of America| 1.57%| North America|Equity|Large Cap Blend Equities||QDIV|6|15.ASSET|Equity|43.1|0.68|GD| General Dynamics Corporation| 1.57%| North America|Equity|n/a||HEET|6|1.ASSET|Equity|9.7|0.7|AAPL| Apple Inc.| 7.19%| North America|Equity|n/a||HEET|6|2.ASSET|Equity|9.7|0.59|MSFT| Microsoft Corporation| 6.07%| North America|Equity|n/a||HEET|6|3.ASSET|Equity|9.7|0.42|GOOGL| Alphabet Inc. Class A| 4.34%| North America|Equity|n/a||HEET|6|4.ASSET|Equity|9.7|0.22|AMZN| Amazon.com, Inc.| 2.22%| North America|Equity|n/a||HEET|6|5.ASSET|Equity|9.7|0.19|JNJ| Johnson & Johnson| 1.99%| North America|Equity|n/a||HEET|6|6.ASSET|Equity|9.7|0.18|XOM| Exxon Mobil Corporation| 1.84%| North America|Equity|n/a||HEET|6|7.ASSET|Equity|9.7|0.15|HD| Home Depot, Inc.| 1.59%| North America|Equity|n/a||HEET|6|8.ASSET|Equity|9.7|0.15|COST| Costco Wholesale Corporation| 1.58%| North America|Equity|n/a||HEET|6|9.ASSET|Equity|9.7|0.15|KO| Coca-Cola Company| 1.58%| North America|Equity|n/a||HEET|6|10.ASSET|Equity|9.7|0.15|CSCO| Cisco Systems, Inc.| 1.57%| North America|Equity|n/a||HEET|6|11.ASSET|Equity|9.7|0.15|AVGO| Broadcom Inc.| 1.55%| North America|Equity|n/a||HEET|6|12.ASSET|Equity|9.7|0.15|PEP| PepsiCo, Inc.| 1.53%| North America|Equity|n/a||HEET|6|13.ASSET|Equity|9.7|0.14|ACN| Accenture Plc Class A| 1.46%| North America|Equity|n/a||HEET|6|14.ASSET|Equity|9.7|0.14|WMT| Walmart Inc.| 1.44%| North America|Equity|n/a||HEET|6|15.ASSET|Equity|9.7|0.14|PFE| Pfizer Inc.| 1.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|1.ASSET|Bond|9.9|0.47|N/A| Galaxy XXII CLO ARR 1.44129% 16-APR-2034| 4.78%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|2.ASSET|Bond|9.9|0.47|N/A| AGL CLO 5 A1R 1.414% 20-JUL-2034| 4.76%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|3.ASSET|Bond|9.9|0.47|N/A| Dryden 76 CLO A1R 1.404% 20-OCT-2034| 4.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|4.ASSET|Bond|9.9|0.47|N/A| Magnetite XXVI A1R 1.37771% 15-JUL-2034| 4.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|5.ASSET|Bond|9.9|0.47|N/A| CBAM 2017-2 AR 1.43129% 17-JUL-2034| 4.74%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|6.ASSET|Bond|9.9|0.47|N/A| Octagon Investment Partners 40 A2R 1.654% 20-JAN-2035| 4.74%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|7.ASSET|Bond|9.9|0.47|N/A| Benefit Street Partners CLO XXIII A1 1.33771% 25-APR-2034| 4.73%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|8.ASSET|Bond|9.9|0.37|N/A| Symphony CLO XXII A1A 1.53129% 18-APR-2033| 3.76%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|9.ASSET|Bond|9.9|0.37|N/A| Cedar Funding VII CLO A1 1.254% 20-JAN-2031| 3.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|10.ASSET|Bond|9.9|0.37|N/A| Generate CLO 4 A1R 1.344% 20-APR-2032| 3.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|11.ASSET|Bond|9.9|0.37|N/A| Magnetite XII ARR 1.34129% 15-OCT-2031| 3.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|12.ASSET|Bond|9.9|0.37|N/A| Cayuga Park CLO AR 1.36129% 17-JUL-2034| 3.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|13.ASSET|Bond|9.9|0.37|N/A| Burnham Park CLO AR 1.404% 20-OCT-2029| 3.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|14.ASSET|Bond|9.9|0.37|N/A| Voya CLO 2018-3 A1A 1.39129% 15-OCT-2031| 3.75%| North America|Bond|Corporate Bonds|Investment Grade Corporate|AAA|6|15.ASSET|Bond|9.9|0.37|N/A| LCM XVIII A1R 1.274% 20-JUL-2031| 3.74%| North America|Bond|Government Bonds|Treasuries|BILS|6|1.ASSET|Bond|25|2.41|N/A| United States Treasury Bills 0.0% 02-JUN-2022| 9.62%| North America|Bond|Government Bonds|Treasuries|BILS|6|2.ASSET|Bond|25|1.84|N/A| United States Treasury Bills 0.0% 16-JUN-2022| 7.36%| North America|Bond|Government Bonds|Treasuries|BILS|6|3.ASSET|Bond|25|1.84|N/A| United States Treasury Bills 0.0% 14-JUL-2022| 7.36%| North America|Bond|Government Bonds|Treasuries|BILS|6|4.ASSET|Bond|25|1.84|N/A| United States Treasury Bills 0.0% 11-AUG-2022| 7.35%| North America|Bond|Government Bonds|Treasuries|BILS|6|5.ASSET|Bond|25|1.14|N/A| MUTUAL FUND (OTHER)| 4.55%| North America|Bond|Government Bonds|Treasuries|BILS|6|6.ASSET|Bond|25|1.11|N/A| United States Treasury Bills 0.0% 23-JUN-2022| 4.42%| North America|Bond|Government Bonds|Treasuries|BILS|6|7.ASSET|Bond|25|1.11|N/A| United States Treasury Bills 0.0% 09-JUN-2022| 4.42%| North America|Bond|Government Bonds|Treasuries|BILS|6|8.ASSET|Bond|25|1.11|N/A| United States Treasury Bills 0.0% 30-JUN-2022| 4.42%| North America|Bond|Government Bonds|Treasuries|BILS|6|9.ASSET|Bond|25|1.1|N/A| United States Treasury Bills 0.0% 07-JUL-2022| 4.41%| North America|Bond|Government Bonds|Treasuries|BILS|6|10.ASSET|Bond|25|1.1|N/A| United States Treasury Bills 0.0% 28-JUL-2022| 4.41%| North America|Bond|Government Bonds|Treasuries|BILS|6|11.ASSET|Bond|25|1.1|N/A| United States Treasury Bills 0.0% 25-AUG-2022| 4.41%| North America|Bond|Government Bonds|Treasuries|BILS|6|12.ASSET|Bond|25|1.1|N/A| United States Treasury Bills 0.0% 21-JUL-2022| 4.41%| North America|Bond|Government Bonds|Treasuries|BILS|6|13.ASSET|Bond|25|1.1|N/A| United States Treasury Bills 0.0% 04-AUG-2022| 4.41%| North America|Bond|Government Bonds|Treasuries|BILS|6|14.ASSET|Bond|25|1.1|N/A| United States Treasury Bills 0.0% 18-AUG-2022| 4.41%| North America|Bond|Government Bonds|Treasuries|BILS|6|15.ASSET|Bond|25|0.88|N/A| United States Treasury Bills 0.0% 01-SEP-2022| 3.53%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|BSAE|6|1.ASSET|Bond|10|10|N/A| U.S. Dollar| 100.00%| North America|Equity|Small Cap Growth Equities||DWMC|6|1.ASSET|Equity|6.3|0.14|AMR| Alpha Metallurgical Resources, Inc.| 2.23%| North America|Equity|Small Cap Growth Equities||DWMC|6|2.ASSET|Equity|6.3|0.11|DAC| Danaos Corporation| 1.76%| North America|Equity|Small Cap Growth Equities||DWMC|6|3.ASSET|Equity|6.3|0.1|SPLP| Steel Partners Holdings LP| 1.55%| North America|Equity|Small Cap Growth Equities||DWMC|6|4.ASSET|Equity|6.3|0.09|VRTV| Veritiv Corp| 1.40%| North America|Equity|Small Cap Growth Equities||DWMC|6|5.ASSET|Equity|6.3|0.08|CLMT| Calumet Specialty Products Partners, L.P.| 1.29%| North America|Equity|Small Cap Growth Equities||DWMC|6|6.ASSET|Equity|6.3|0.08|SD| SandRidge Energy, Inc.| 1.26%| North America|Equity|Small Cap Growth Equities||DWMC|6|7.ASSET|Equity|6.3|0.08|UAN| CVR Partners, LP| 1.21%| North America|Equity|Small Cap Growth Equities||DWMC|6|8.ASSET|Equity|6.3|0.07|GDEN| Golden Entertainment, Inc.| 1.10%| North America|Equity|Small Cap Growth Equities||DWMC|6|9.ASSET|Equity|6.3|0.07|CAMT| Camtek Ltd| 1.07%| North America|Equity|Small Cap Growth Equities||DWMC|6|10.ASSET|Equity|6.3|0.06|ATLC| Atlanticus Holdings Corp.| 0.99%| North America|Equity|Small Cap Growth Equities||DWMC|6|11.ASSET|Equity|6.3|0.06|VSTO| Vista Outdoor Inc| 0.99%| North America|Equity|Small Cap Growth Equities||DWMC|6|12.ASSET|Equity|6.3|0.06|PBT| Permian Basin Royalty Trust| 0.94%| North America|Equity|Small Cap Growth Equities||DWMC|6|13.ASSET|Equity|6.3|0.06|GRIN| Grindrod Shipping Holdings Ltd.| 0.93%| North America|Equity|Small Cap Growth Equities||DWMC|6|14.ASSET|Equity|6.3|0.06|FRHC| Freedom Holding Corp.| 0.92%| North America|Equity|Small Cap Growth Equities||DWMC|6|15.ASSET|Equity|6.3|0.06|INVE| Identiv, Inc.| 0.90%| Developed Markets|Equity|Long-Short||FTLB|6|1.ASSET|Equity|11|0.5|AAPL| Apple Inc.| 4.58%| Developed Markets|Equity|Long-Short||FTLB|6|2.ASSET|Equity|11|0.43|MSFT| Microsoft Corporation| 3.92%| Developed Markets|Equity|Long-Short||FTLB|6|3.ASSET|Equity|11|0.29|WFC| Wells Fargo & Company| 2.62%| Developed Markets|Equity|Long-Short||FTLB|6|4.ASSET|Equity|11|0.26|PNC| PNC Financial Services Group, Inc.| 2.39%| Developed Markets|Equity|Long-Short||FTLB|6|5.ASSET|Equity|11|0.24|AMZN| Amazon.com, Inc.| 2.16%| Developed Markets|Equity|Long-Short||FTLB|6|6.ASSET|Equity|11|0.21|GE| General Electric Company| 1.95%| Developed Markets|Equity|Long-Short||FTLB|6|7.ASSET|Equity|11|0.18|USB| U.S. Bancorp| 1.67%| Developed Markets|Equity|Long-Short||FTLB|6|8.ASSET|Equity|11|0.16|GOOGL| Alphabet Inc. Class A| 1.47%| Developed Markets|Equity|Long-Short||FTLB|6|9.ASSET|Equity|11|0.16|GOOG| Alphabet Inc. Class C| 1.47%| Developed Markets|Equity|Long-Short||FTLB|6|10.ASSET|Equity|11|0.16|NLY| Annaly Capital Management, Inc.| 1.41%| Developed Markets|Equity|Long-Short||FTLB|6|11.ASSET|Equity|11|0.15|LUMN| Lumen Technologies, Inc.| 1.36%| Developed Markets|Equity|Long-Short||FTLB|6|12.ASSET|Equity|11|0.12|TSLA| Tesla Inc| 1.13%| Developed Markets|Equity|Long-Short||FTLB|6|13.ASSET|Equity|11|0.12|BRK.B| Berkshire Hathaway Inc. Class B| 1.12%| Developed Markets|Equity|Long-Short||FTLB|6|14.ASSET|Equity|11|0.12|COTY| Coty Inc. Class A| 1.10%| Developed Markets|Equity|Long-Short||FTLB|6|15.ASSET|Equity|11|0.12|RF| Regions Financial Corporation| 1.05%| North America|Equity|All Cap Equities||CBSE|6|1.ASSET|Equity|8.4|0.43|CHK| Chesapeake Energy Corporation| 5.09%| North America|Equity|All Cap Equities||CBSE|6|2.ASSET|Equity|8.4|0.43|STRL| Sterling Construction Company, Inc.| 5.08%| North America|Equity|All Cap Equities||CBSE|6|3.ASSET|Equity|8.4|0.4|CVEO| Civeo Corp| 4.76%| North America|Equity|All Cap Equities||CBSE|6|4.ASSET|Equity|8.4|0.38|SKY| Skyline Champion Corp.| 4.50%| North America|Equity|All Cap Equities||CBSE|6|5.ASSET|Equity|8.4|0.38|ICFI| ICF International, Inc.| 4.50%| North America|Equity|All Cap Equities||CBSE|6|6.ASSET|Equity|8.4|0.37|CRTO| Criteo SA Sponsored ADR| 4.40%| North America|Equity|All Cap Equities||CBSE|6|7.ASSET|Equity|8.4|0.33|SONY| Sony Group Corporation Sponsored ADR| 3.96%| North America|Equity|All Cap Equities||CBSE|6|8.ASSET|Equity|8.4|0.32|EXPE| Expedia Group, Inc.| 3.79%| North America|Equity|All Cap Equities||CBSE|6|9.ASSET|Equity|8.4|0.3|TMDX| TransMedics Group, Inc.| 3.52%| North America|Equity|All Cap Equities||CBSE|6|10.ASSET|Equity|8.4|0.29|SKX| Skechers U.S.A., Inc. Class A| 3.49%| North America|Equity|All Cap Equities||CBSE|6|11.ASSET|Equity|8.4|0.27|GTLS| Chart Industries, Inc.| 3.20%| North America|Equity|All Cap Equities||CBSE|6|12.ASSET|Equity|8.4|0.27|RAMP| LiveRamp Holdings, Inc.| 3.18%| North America|Equity|All Cap Equities||CBSE|6|13.ASSET|Equity|8.4|0.26|FRC| First Republic Bank| 3.14%| North America|Equity|All Cap Equities||CBSE|6|14.ASSET|Equity|8.4|0.25|ATRO| Astronics Corporation| 2.95%| North America|Equity|All Cap Equities||CBSE|6|15.ASSET|Equity|8.4|0.25|MODV| ModivCare Inc.| 2.95%| North America|Equity|n/a||PGRO|6|1.ASSET|Equity|9.5|1.02|MSFT| Microsoft Corporation| 10.75%| North America|Equity|n/a||PGRO|6|2.ASSET|Equity|9.5|0.85|AAPL| Apple Inc.| 8.99%| North America|Equity|n/a||PGRO|6|3.ASSET|Equity|9.5|0.66|AMZN| Amazon.com, Inc.| 6.91%| North America|Equity|n/a||PGRO|6|4.ASSET|Equity|9.5|0.63|GOOGL| Alphabet Inc. Class A| 6.63%| North America|Equity|n/a||PGRO|6|5.ASSET|Equity|9.5|0.45|NVDA| NVIDIA Corporation| 4.71%| North America|Equity|n/a||PGRO|6|6.ASSET|Equity|9.5|0.31|TSLA| Tesla Inc| 3.25%| North America|Equity|n/a||PGRO|6|7.ASSET|Equity|9.5|0.3|MA| Mastercard Incorporated Class A| 3.17%| North America|Equity|n/a||PGRO|6|8.ASSET|Equity|9.5|0.29|FB| Meta Platforms Inc. Class A| 3.01%| North America|Equity|n/a||PGRO|6|9.ASSET|Equity|9.5|0.27|ADBE| Adobe Inc.| 2.86%| North America|Equity|n/a||PGRO|6|10.ASSET|Equity|9.5|0.24|ACN| Accenture Plc Class A| 2.55%| North America|Equity|n/a||PGRO|6|11.ASSET|Equity|9.5|0.21|HCA| HCA Healthcare Inc| 2.17%| North America|Equity|n/a||PGRO|6|12.ASSET|Equity|9.5|0.2|DHR| Danaher Corporation| 2.11%| North America|Equity|n/a||PGRO|6|13.ASSET|Equity|9.5|0.2|NKE| NIKE, Inc. Class B| 2.09%| North America|Equity|n/a||PGRO|6|14.ASSET|Equity|9.5|0.2|PYPL| PayPal Holdings, Inc.| 2.07%| North America|Equity|n/a||PGRO|6|15.ASSET|Equity|9.5|0.19|TJX| TJX Companies Inc| 2.01%| North America|Equity|Large Cap Growth Equities||QQD|6|1.ASSET|Equity|18.4|18.29|QQQ| Invesco QQQ Trust| 99.42%| North America|Equity|Large Cap Growth Equities||QQD|6|2.ASSET|Equity|18.4|0.12|N/A| OPTIONS| 0.63%| North America|Equity|Large Cap Growth Equities||QQD|6|3.ASSET|Equity|18.4|-0.01|N/A| U.S. Dollar| -0.05%| North America|Alternatives|Long-Short||ALTS|6|1.ASSET|Alternatives|8.5|1.84|MRGR| ProShares Merger ETF| 21.67%| North America|Alternatives|Long-Short||ALTS|6|2.ASSET|Alternatives|8.5|1.64|TOLZ| ProShares DJ Brookfield Global Infrastructure ETF| 19.30%| North America|Alternatives|Long-Short||ALTS|6|3.ASSET|Alternatives|8.5|1.31|HDG| ProShares Hedge Replication ETF| 15.44%| North America|Alternatives|Long-Short||ALTS|6|4.ASSET|Alternatives|8.5|1.19|RINF| ProShares Inflation Expectations ETF| 13.99%| North America|Alternatives|Long-Short||ALTS|6|5.ASSET|Alternatives|8.5|0.99|PEX| ProShares Global Listed Private Equity ETF| 11.66%| North America|Alternatives|Long-Short||ALTS|6|6.ASSET|Alternatives|8.5|0.81|FUT| ProShares Managed Futures Strategy ETF| 9.49%| North America|Alternatives|Long-Short||ALTS|6|7.ASSET|Alternatives|8.5|0.71|RALS| ProShares RAFI Long/Short ETF| 8.40%| North America|Alternatives|Long-Short||ALTS|6|8.ASSET|Alternatives|8.5|0|N/A| U.S. Dollar| 0.05%| North America|Equity|Inverse Equities||MYY|6|1.ASSET|Equity|11.1|11.1|N/A| U.S. Dollar| 100.00%| Emerging Asia Pacific|Equity|Inverse Equities||YXI|6|1.ASSET|Equity|7.8|7.8|N/A| U.S. Dollar| 100.00%| Emerging Asia Pacific|Equity|Inverse Equities||YXI|6|2.ASSET|Equity|7.8|7.8|N/A| U.S. Dollar| 100.00%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|1.ASSET|Equity|8.6|0.64|GDEN| Golden Entertainment, Inc.| 7.47%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|2.ASSET|Equity|8.6|0.61|BVH| Bluegreen Vacations Holding Corporation Class A| 7.10%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|3.ASSET|Equity|8.6|0.54|HGV| Hilton Grand Vacations, Inc.| 6.27%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|4.ASSET|Equity|8.6|0.51|CHH| Choice Hotels International, Inc.| 5.96%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|5.ASSET|Equity|8.6|0.49|MCRI| Monarch Casino & Resort, Inc.| 5.69%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|6.ASSET|Equity|8.6|0.46|IHG| InterContinental Hotels Group PLC Sponsored ADR| 5.36%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|7.ASSET|Equity|8.6|0.46|GLPI| Gaming and Leisure Properties, Inc.| 5.34%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|8.ASSET|Equity|8.6|0.45|CNTY| Century Casinos, Inc.| 5.24%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|9.ASSET|Equity|8.6|0.43|WH| Wyndham Hotels & Resorts, Inc.| 5.00%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|10.ASSET|Equity|8.6|0.39|VICI| VICI Properties Inc| 4.56%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|11.ASSET|Equity|8.6|0.37|PLYA| Playa Hotels & Resorts N.V.| 4.25%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|12.ASSET|Equity|8.6|0.33|ABNB| Airbnb, Inc. Class A| 3.86%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|13.ASSET|Equity|8.6|0.33|FLL| Full House Resorts, Inc.| 3.78%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|14.ASSET|Equity|8.6|0.28|TH| Target Hospitality Corp.| 3.30%| North America|Equity|Consumer Discretionary Equities|Consumer Discretionary|BEDZ|6|15.ASSET|Equity|8.6|0.25|PENN| Penn National Gaming, Inc.| 2.93%| Developed Asia Pacific|Equity|Leveraged Equities||EZJ|6|1.ASSET|Equity|7.8|4.72|N/A| U.S. Dollar| 60.47%| Developed Asia Pacific|Equity|Leveraged Equities||EZJ|6|2.ASSET|Equity|7.8|3.08|EWJ| iShares MSCI Japan ETF| 39.53%| Developed Markets|Equity|n/a||YMAR|6|1.ASSET|Equity|15.8|15.73|N/A| OPTIONS| 99.54%| Developed Markets|Equity|n/a||YMAR|6|2.ASSET|Equity|15.8|0.07|DGCXX| Dreyfus Government Cash Management Funds Institutional| 0.46%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOR|6|1.ASSET|Multi-Asset|10.4|4.25|EAGG| iShares ESG Aware US Aggregate Bond ETF| 40.85%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOR|6|2.ASSET|Multi-Asset|10.4|3.61|ESGU| iShares ESG Aware MSCI USA ETF| 34.70%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOR|6|3.ASSET|Multi-Asset|10.4|1.43|ESGD| iShares ESG Aware MSCI EAFE ETF| 13.78%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOR|6|4.ASSET|Multi-Asset|10.4|0.65|ESGE| iShares ESG Aware MSCI EM ETF| 6.28%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOR|6|5.ASSET|Multi-Asset|10.4|0.44|ESML| iShares ESG Aware MSCI USA Small-Cap ETF| 4.24%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOR|6|6.ASSET|Multi-Asset|10.4|0.01|N/A| MUTUAL FUND (OTHER)| 0.10%| Developed Markets|Multi-Asset|Diversified Portfolio||EAOR|6|7.ASSET|Multi-Asset|10.4|0|N/A| U.S. Dollar| 0.04%| Global|Equity|Diversified Portfolio||MVPS|6|1.ASSET|Equity|12.3|0.61|NVDA| NVIDIA Corporation| 4.95%| Global|Equity|Diversified Portfolio||MVPS|6|2.ASSET|Equity|12.3|0.54|TSLA| Tesla Inc| 4.43%| Global|Equity|Diversified Portfolio||MVPS|6|3.ASSET|Equity|12.3|0.41|ENPH| Enphase Energy, Inc.| 3.32%| Global|Equity|Diversified Portfolio||MVPS|6|4.ASSET|Equity|12.3|0.39|SEDG| SolarEdge Technologies, Inc.| 3.17%| Global|Equity|Diversified Portfolio||MVPS|6|5.ASSET|Equity|12.3|0.37|GOOGL| Alphabet Inc. Class A| 3.02%| Global|Equity|Diversified Portfolio||MVPS|6|6.ASSET|Equity|12.3|0.29|AMZN| Amazon.com, Inc.| 2.32%| Global|Equity|Diversified Portfolio||MVPS|6|7.ASSET|Equity|12.3|0.28|COIN| Coinbase Global, Inc. Class A| 2.27%| Global|Equity|Diversified Portfolio||MVPS|6|8.ASSET|Equity|12.3|0.27|SQ| Block Inc Class A| 2.23%| Global|Equity|Diversified Portfolio||MVPS|6|9.ASSET|Equity|12.3|0.27|MSFT| Microsoft Corporation| 2.22%| Global|Equity|Diversified Portfolio||MVPS|6|10.ASSET|Equity|12.3|0.21|PANW| Palo Alto Networks, Inc.| 1.71%| Global|Equity|Diversified Portfolio||MVPS|6|11.ASSET|Equity|12.3|0.2|FSLR| First Solar, Inc.| 1.60%| Global|Equity|Diversified Portfolio||MVPS|6|12.ASSET|Equity|12.3|0.19|CRWD| CrowdStrike Holdings, Inc. Class A| 1.53%| Global|Equity|Diversified Portfolio||MVPS|6|13.ASSET|Equity|12.3|0.18|TWLO| Twilio, Inc. Class A| 1.45%| Global|Equity|Diversified Portfolio||MVPS|6|14.ASSET|Equity|12.3|0.17|CSCO| Cisco Systems, Inc.| 1.39%| Global|Equity|Diversified Portfolio||MVPS|6|15.ASSET|Equity|12.3|0.16|AMD| Advanced Micro Devices, Inc.| 1.27%| North America|Equity|n/a||XTJL|6|1.ASSET|Equity|10.6|10.57|N/A| OPTIONS| 99.73%| North America|Equity|n/a||XTJL|6|2.ASSET|Equity|10.6|0.03|N/A| U.S. Dollar| 0.27%| North America|Equity|Financials Equities|Financials|INDF|6|1.ASSET|Equity|8.1|1.45|500180| HDFC Bank Limited| 17.94%| North America|Equity|Financials Equities|Financials|INDF|6|2.ASSET|Equity|8.1|1.21|532174| ICICI Bank Limited| 14.95%| North America|Equity|Financials Equities|Financials|INDF|6|3.ASSET|Equity|8.1|1|500010| Housing Development Finance Corporation Limited| 12.40%| North America|Equity|Financials Equities|Financials|INDF|6|4.ASSET|Equity|8.1|0.42|532215| Axis Bank Limited| 5.13%| North America|Equity|Financials Equities|Financials|INDF|6|5.ASSET|Equity|8.1|0.4|500112| State Bank of India| 4.89%| North America|Equity|Financials Equities|Financials|INDF|6|6.ASSET|Equity|8.1|0.39|500247| Kotak Mahindra Bank Limited| 4.84%| North America|Equity|Financials Equities|Financials|INDF|6|7.ASSET|Equity|8.1|0.38|500034| Bajaj Finance Limited| 4.73%| North America|Equity|Financials Equities|Financials|INDF|6|8.ASSET|Equity|8.1|0.38|532978| Bajaj Finserv Limited| 4.64%| North America|Equity|Financials Equities|Financials|INDF|6|9.ASSET|Equity|8.1|0.34|540719| SBI Life Insurance Co. Ltd.| 4.20%| North America|Equity|Financials Equities|Financials|INDF|6|10.ASSET|Equity|8.1|0.31|540716| ICICI Lombard General Insurance Co. Ltd.| 3.85%| North America|Equity|Financials Equities|Financials|INDF|6|11.ASSET|Equity|8.1|0.31|540777| HDFC Life Insurance Co. Ltd.| 3.80%| North America|Equity|Financials Equities|Financials|INDF|6|12.ASSET|Equity|8.1|0.27|500302| Piramal Enterprises Ltd.| 3.30%| North America|Equity|Financials Equities|Financials|INDF|6|13.ASSET|Equity|8.1|0.26|511243| Cholamandalam Investment and Finance Co. Ltd.| 3.25%| North America|Equity|Financials Equities|Financials|INDF|6|14.ASSET|Equity|8.1|0.22|511218| Shriram Transport Finance Co. Ltd.| 2.69%| North America|Equity|Financials Equities|Financials|INDF|6|15.ASSET|Equity|8.1|0.18|540133| ICICI Prudential Life Insurance Co. Ltd.| 2.22%| North America|Equity|Mid Cap Blend Equities||VNMC|6|1.ASSET|Equity|8.9|0.39|MSI| Motorola Solutions, Inc.| 4.35%| North America|Equity|Mid Cap Blend Equities||VNMC|6|2.ASSET|Equity|8.9|0.32|PFGC| Performance Food Group Company| 3.59%| North America|Equity|Mid Cap Blend Equities||VNMC|6|3.ASSET|Equity|8.9|0.31|SKX| Skechers U.S.A., Inc. Class A| 3.53%| North America|Equity|Mid Cap Blend Equities||VNMC|6|4.ASSET|Equity|8.9|0.29|ELAN| Elanco Animal Health, Inc.| 3.29%| North America|Equity|Mid Cap Blend Equities||VNMC|6|5.ASSET|Equity|8.9|0.28|PXD| Pioneer Natural Resources Company| 3.16%| North America|Equity|Mid Cap Blend Equities||VNMC|6|6.ASSET|Equity|8.9|0.27|NXST| Nexstar Media Group, Inc. Class A| 3.07%| North America|Equity|Mid Cap Blend Equities||VNMC|6|7.ASSET|Equity|8.9|0.27|AVTR| Avantor, Inc.| 3.03%| North America|Equity|Mid Cap Blend Equities||VNMC|6|8.ASSET|Equity|8.9|0.24|CCK| Crown Holdings, Inc.| 2.74%| North America|Equity|Mid Cap Blend Equities||VNMC|6|9.ASSET|Equity|8.9|0.23|SHC| Sotera Health Company| 2.63%| North America|Equity|Mid Cap Blend Equities||VNMC|6|10.ASSET|Equity|8.9|0.23|LESL| Leslie\'s, Inc.| 2.59%| North America|Equity|Mid Cap Blend Equities||VNMC|6|11.ASSET|Equity|8.9|0.23|APO| Apollo Global Management Inc.| 2.59%| North America|Equity|Mid Cap Blend Equities||VNMC|6|12.ASSET|Equity|8.9|0.23|WSC| WillScot Mobile Mini Holdings Corp. Class A| 2.56%| North America|Equity|Mid Cap Blend Equities||VNMC|6|13.ASSET|Equity|8.9|0.22|SSNC| SS&C Technologies Holdings, Inc.| 2.47%| North America|Equity|Mid Cap Blend Equities||VNMC|6|14.ASSET|Equity|8.9|0.2|VST| Vistra Corp.| 2.26%| North America|Equity|Mid Cap Blend Equities||VNMC|6|15.ASSET|Equity|8.9|0.18|ADS| Alliance Data Systems Corporation| 2.03%| North America|Bond|Total Bond Market|Total Bond Market|TFJL|6|1.ASSET|Bond|6.9|6.9|N/A| OPTIONS| 100.04%| North America|Bond|Total Bond Market|Total Bond Market|TFJL|6|2.ASSET|Bond|6.9|6.9|N/A| OPTIONS| 100.03%| North America|Bond|Total Bond Market|Total Bond Market|TFJL|6|3.ASSET|Bond|6.9|-0|N/A| U.S. Dollar| -0.03%| North America|Bond|Total Bond Market|Total Bond Market|TFJL|6|4.ASSET|Bond|6.9|-0|N/A| U.S. Dollar| -0.04%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|1.ASSET|Equity|8.5|0.28|DGE| Diageo plc| 3.34%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|2.ASSET|Equity|8.5|0.28|AAPL| Apple Inc.| 3.33%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|3.ASSET|Equity|8.5|0.26|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.08%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|4.ASSET|Equity|8.5|0.26|TSLA| Tesla Inc| 3.07%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|5.ASSET|Equity|8.5|0.26|KER| Kering SA| 3.04%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|6.ASSET|Equity|8.5|0.24|OR| L\'Oreal SA| 2.88%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|7.ASSET|Equity|8.5|0.24|EL| EssilorLuxottica SA| 2.83%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|8.ASSET|Equity|8.5|0.24|NKE| NIKE, Inc. Class B| 2.80%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|9.ASSET|Equity|8.5|0.24|CFR| Compagnie Financiere Richemont SA| 2.77%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|10.ASSET|Equity|8.5|0.23|BMW| Bayerische Motoren Werke AG| 2.75%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|11.ASSET|Equity|8.5|0.23|RI| Pernod Ricard SA| 2.75%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|12.ASSET|Equity|8.5|0.23|MBG| Mercedes-Benz Group AG| 2.71%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|13.ASSET|Equity|8.5|0.23|EL| Estee Lauder Companies Inc. Class A| 2.71%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|14.ASSET|Equity|8.5|0.23|FRCOY| FAST RETAILING CO., LTD. Unsponsored ADR| 2.70%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|LUXE|6|15.ASSET|Equity|8.5|0.22|RMS| Hermes International SCA| 2.64%| North America|Equity|Large Cap Growth Equities||SPXN|6|1.ASSET|Equity|8.8|0.71|AAPL| Apple Inc.| 8.09%| North America|Equity|Large Cap Growth Equities||SPXN|6|2.ASSET|Equity|8.8|0.62|MSFT| Microsoft Corporation| 7.04%| North America|Equity|Large Cap Growth Equities||SPXN|6|3.ASSET|Equity|8.8|0.37|AMZN| Amazon.com, Inc.| 4.17%| North America|Equity|Large Cap Growth Equities||SPXN|6|4.ASSET|Equity|8.8|0.22|GOOGL| Alphabet Inc. Class A| 2.55%| North America|Equity|Large Cap Growth Equities||SPXN|6|5.ASSET|Equity|8.8|0.21|GOOG| Alphabet Inc. Class C| 2.37%| North America|Equity|Large Cap Growth Equities||SPXN|6|6.ASSET|Equity|8.8|0.2|TSLA| Tesla Inc| 2.25%| North America|Equity|Large Cap Growth Equities||SPXN|6|7.ASSET|Equity|8.8|0.16|NVDA| NVIDIA Corporation| 1.87%| North America|Equity|Large Cap Growth Equities||SPXN|6|8.ASSET|Equity|8.8|0.13|FB| Meta Platforms Inc. Class A| 1.53%| North America|Equity|Large Cap Growth Equities||SPXN|6|9.ASSET|Equity|8.8|0.13|UNH| UnitedHealth Group Incorporated| 1.43%| North America|Equity|Large Cap Growth Equities||SPXN|6|10.ASSET|Equity|8.8|0.12|JNJ| Johnson & Johnson| 1.37%| North America|Equity|Large Cap Growth Equities||SPXN|6|11.ASSET|Equity|8.8|0.1|PG| Procter & Gamble Company| 1.18%| North America|Equity|Large Cap Growth Equities||SPXN|6|12.ASSET|Equity|8.8|0.1|V| Visa Inc. Class A| 1.12%| North America|Equity|Large Cap Growth Equities||SPXN|6|13.ASSET|Equity|8.8|0.1|HD| Home Depot, Inc.| 1.08%| North America|Equity|Large Cap Growth Equities||SPXN|6|14.ASSET|Equity|8.8|0.09|XOM| Exxon Mobil Corporation| 1.07%| North America|Equity|Large Cap Growth Equities||SPXN|6|15.ASSET|Equity|8.8|0.08|MA| Mastercard Incorporated Class A| 0.95%| North America|Real Estate|Real Estate|Real Estate|REK|6|1.ASSET|Real Estate|8.9|8.9|N/A| U.S. Dollar| 100.00%| North America|Equity|n/a||PFUT|6|1.ASSET|Equity|8|0.66|MSFT| Microsoft Corporation| 8.19%| North America|Equity|n/a||PFUT|6|2.ASSET|Equity|8|0.58|AAPL| Apple Inc.| 7.29%| North America|Equity|n/a||PFUT|6|3.ASSET|Equity|8|0.4|AMZN| Amazon.com, Inc.| 5.03%| North America|Equity|n/a||PFUT|6|4.ASSET|Equity|8|0.23|DHR| Danaher Corporation| 2.85%| North America|Equity|n/a||PFUT|6|5.ASSET|Equity|8|0.23|ADBE| Adobe Inc.| 2.84%| North America|Equity|n/a||PFUT|6|6.ASSET|Equity|8|0.19|TMO| Thermo Fisher Scientific Inc.| 2.43%| North America|Equity|n/a||PFUT|6|7.ASSET|Equity|8|0.18|V| Visa Inc. Class A| 2.23%| North America|Equity|n/a||PFUT|6|8.ASSET|Equity|8|0.17|BAC| Bank of America Corp| 2.07%| North America|Equity|n/a||PFUT|6|9.ASSET|Equity|8|0.16|N/A| U.S. Dollar| 2.06%| North America|Equity|n/a||PFUT|6|10.ASSET|Equity|8|0.16|CMG| Chipotle Mexican Grill, Inc.| 2.02%| North America|Equity|n/a||PFUT|6|11.ASSET|Equity|8|0.16|LLY| Eli Lilly and Company| 1.95%| North America|Equity|n/a||PFUT|6|12.ASSET|Equity|8|0.15|JCI| Johnson Controls International plc| 1.92%| North America|Equity|n/a||PFUT|6|13.ASSET|Equity|8|0.14|ASML| ASML Holding NV ADR| 1.81%| North America|Equity|n/a||PFUT|6|14.ASSET|Equity|8|0.14|WMT| Walmart Inc.| 1.81%| North America|Equity|n/a||PFUT|6|15.ASSET|Equity|8|0.14|BLK| BlackRock, Inc.| 1.81%| North America|Bond|High Yield Bonds|Junk|HYTR|6|1.ASSET|Bond|9.9|9.83|IEI| iShares 3-7 Year Treasury Bond ETF| 99.28%| Latin America|Equity|Latin America Equities||FLN|6|1.ASSET|Equity|8.5|0.37|VALE3| Vale S.A.| 4.39%| Latin America|Equity|Latin America Equities||FLN|6|2.ASSET|Equity|8.5|0.36|PETR4| Petroleo Brasileiro SA Pfd| 4.28%| Latin America|Equity|Latin America Equities||FLN|6|3.ASSET|Equity|8.5|0.31|PE&OLES| Industrias Penoles SAB de CV| 3.62%| Latin America|Equity|Latin America Equities||FLN|6|4.ASSET|Equity|8.5|0.29|GGBR4| Gerdau SA Pfd| 3.36%| Latin America|Equity|Latin America Equities||FLN|6|5.ASSET|Equity|8.5|0.28|BIMBOA| Grupo Bimbo SAB de CV Class A| 3.35%| Latin America|Equity|Latin America Equities||FLN|6|6.ASSET|Equity|8.5|0.28|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 3.35%| Latin America|Equity|Latin America Equities||FLN|6|7.ASSET|Equity|8.5|0.28|JBSS3| JBS S.A.| 3.31%| Latin America|Equity|Latin America Equities||FLN|6|8.ASSET|Equity|8.5|0.27|CSNA3| Companhia Siderurgica Nacional| 3.17%| Latin America|Equity|Latin America Equities||FLN|6|9.ASSET|Equity|8.5|0.27|CMIG4| Companhia Energetica de Minas Gerais SA Pfd| 3.15%| Latin America|Equity|Latin America Equities||FLN|6|10.ASSET|Equity|8.5|0.26|TIMS3| TIM SA (Brazil)| 3.08%| Latin America|Equity|Latin America Equities||FLN|6|11.ASSET|Equity|8.5|0.25|GCARSOA1| Grupo Carso SAB de CV Class A1| 2.95%| Latin America|Equity|Latin America Equities||FLN|6|12.ASSET|Equity|8.5|0.25|SBSP3| Companhia de Saneamento Basico do Estado de Sao Paulo SABESP| 2.91%| Latin America|Equity|Latin America Equities||FLN|6|13.ASSET|Equity|8.5|0.23|CMIN3| CSN Mineracao SA| 2.73%| Latin America|Equity|Latin America Equities||FLN|6|14.ASSET|Equity|8.5|0.23|BRKM5| Braskem S.A. Pfd A| 2.67%| Latin America|Equity|Latin America Equities||FLN|6|15.ASSET|Equity|8.5|0.22|AMXL| America Movil SAB de CV Class L| 2.64%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|1.ASSET|Equity|7.7|0.1|LGO| Largo Inc.| 1.25%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|2.ASSET|Equity|7.7|0.09|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 1.23%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|3.ASSET|Equity|7.7|0.09|LYC| Lynas Rare Earths Limited| 1.19%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|4.ASSET|Equity|7.7|0.09|AVAV| AeroVironment, Inc.| 1.19%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|5.ASSET|Equity|7.7|0.09|HASI| Hannon Armstrong Sustainable Infrastructure Capital, Inc.| 1.18%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|6.ASSET|Equity|7.7|0.09|SEDG| SolarEdge Technologies, Inc.| 1.17%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|7.ASSET|Equity|7.7|0.09|AMRC| Ameresco, Inc. Class A| 1.17%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|8.ASSET|Equity|7.7|0.09|CCO| Cameco Corporation| 1.16%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|9.ASSET|Equity|7.7|0.09|BE| Bloom Energy Corporation Class A| 1.16%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|10.ASSET|Equity|7.7|0.09|VALE| Vale S.A. Sponsored ADR| 1.15%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|11.ASSET|Equity|7.7|0.09|NEL| NEL ASA| 1.15%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|12.ASSET|Equity|7.7|0.09|NOVA| Sunnova Energy International Inc| 1.14%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|13.ASSET|Equity|7.7|0.09|VWS| Vestas Wind Systems A/S| 1.13%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|14.ASSET|Equity|7.7|0.09|FCEL| FuelCell Energy, Inc.| 1.13%| Global|Equity|Alternative Energy Equities|Energy|BNE|6|15.ASSET|Equity|7.7|0.09|RUN| Sunrun Inc.| 1.13%| |Commodity|Agricultural Commodities||JJS|6|1.ASSET|Commodity|11.7|4.11|N/A| Sugar| 35.13%| |Commodity|Agricultural Commodities||JJS|6|2.ASSET|Commodity|11.7|3.91|N/A| Cotton No.2| 33.41%| |Commodity|Agricultural Commodities||JJS|6|3.ASSET|Commodity|11.7|3.68|N/A| Coffee 'C'| 31.46%| North America|Equity|Volatility Hedged Equity||DSOC|6|1.ASSET|Equity|7.9|7.86|N/A| OPTIONS| 99.45%| North America|Equity|Volatility Hedged Equity||DSOC|6|2.ASSET|Equity|7.9|7.86|N/A| OPTIONS| 99.44%| North America|Equity|Volatility Hedged Equity||DSOC|6|3.ASSET|Equity|7.9|0.04|N/A| U.S. Dollar| 0.56%| North America|Equity|Volatility Hedged Equity||DSOC|6|4.ASSET|Equity|7.9|0.04|N/A| U.S. Dollar| 0.55%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|1.ASSET|Equity|99.1|1.99|NESN| Nestle S.A.| 2.01%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|2.ASSET|Equity|99.1|1.56|005930| Samsung Electronics Co., Ltd.| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|3.ASSET|Equity|99.1|1.46|ROG| Roche Holding Ltd| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|4.ASSET|Equity|99.1|1.41|ASML| ASML Holding NV| 1.42%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|5.ASSET|Equity|99.1|1.21|7203| Toyota Motor Corp.| 1.22%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|6.ASSET|Equity|99.1|1.17|SHEL| Shell PLC| 1.18%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|7.ASSET|Equity|99.1|1.07|AZN| AstraZeneca PLC| 1.08%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|8.ASSET|Equity|99.1|1.01|NOVN| Novartis AG| 1.02%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|9.ASSET|Equity|99.1|0.99|BHP| BHP Group Ltd| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|10.ASSET|Equity|99.1|0.98|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|11.ASSET|Equity|99.1|0.91|NOVO.B| Novo Nordisk A/S Class B| 0.92%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|12.ASSET|Equity|99.1|0.76|HSBA| HSBC Holdings Plc| 0.77%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|13.ASSET|Equity|99.1|0.72|TTE| TotalEnergies SE| 0.73%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|14.ASSET|Equity|99.1|0.69|ULVR| Unilever PLC| 0.70%| Developed Markets|Equity|Foreign Large Cap Equities||PBDM|6|15.ASSET|Equity|99.1|0.69|6758| Sony Group Corporation| 0.70%| Developed Markets|Equity|n/a||WKLY|6|1.ASSET|Equity|9.9|0.31|JPM| JPMorgan Chase & Co.| 3.09%| Developed Markets|Equity|n/a||WKLY|6|2.ASSET|Equity|9.9|0.28|PG| Procter & Gamble Company| 2.86%| Developed Markets|Equity|n/a||WKLY|6|3.ASSET|Equity|9.9|0.28|NESN| Nestle S.A.| 2.83%| Developed Markets|Equity|n/a||WKLY|6|4.ASSET|Equity|9.9|0.23|BAC| Bank of America Corp| 2.34%| Developed Markets|Equity|n/a||WKLY|6|5.ASSET|Equity|9.9|0.22|CVX| Chevron Corporation| 2.20%| Developed Markets|Equity|n/a||WKLY|6|6.ASSET|Equity|9.9|0.21|ROG| Roche Holding Ltd| 2.08%| Developed Markets|Equity|n/a||WKLY|6|7.ASSET|Equity|9.9|0.17|AVGO| Broadcom Inc.| 1.75%| Developed Markets|Equity|n/a||WKLY|6|8.ASSET|Equity|9.9|0.16|CSCO| Cisco Systems, Inc.| 1.64%| Developed Markets|Equity|n/a||WKLY|6|9.ASSET|Equity|9.9|0.16|NOVN| Novartis AG| 1.59%| Developed Markets|Equity|n/a||WKLY|6|10.ASSET|Equity|9.9|0.16|7203| Toyota Motor Corp.| 1.58%| Developed Markets|Equity|n/a||WKLY|6|11.ASSET|Equity|9.9|0.15|INTC| Intel Corporation| 1.47%| Developed Markets|Equity|n/a||WKLY|6|12.ASSET|Equity|9.9|0.13|BHP| BHP Group Ltd| 1.30%| Developed Markets|Equity|n/a||WKLY|6|13.ASSET|Equity|9.9|0.12|TXN| Texas Instruments Incorporated| 1.19%| Developed Markets|Equity|n/a||WKLY|6|14.ASSET|Equity|9.9|0.12|RY| Royal Bank of Canada| 1.19%| Developed Markets|Equity|n/a||WKLY|6|15.ASSET|Equity|9.9|0.12|NEE| NextEra Energy, Inc.| 1.18%| Developed Markets|Equity|Foreign Large Cap Equities||OVF|6|1.ASSET|Equity|8.7|6.97|EFAV| iShares MSCI EAFE Min Vol Factor ETF| 80.08%| Developed Markets|Equity|Foreign Large Cap Equities||OVF|6|2.ASSET|Equity|8.7|1.73|EEMV| iShares MSCI Emerging Markets Min Vol Factor ETF| 19.86%| Developed Markets|Equity|Foreign Large Cap Equities||OVF|6|3.ASSET|Equity|8.7|0.13|FGXXX| First American Funds Inc X Government Obligations Fund| 1.45%| Developed Markets|Equity|Foreign Large Cap Equities||OVF|6|4.ASSET|Equity|8.7|-0.01|N/A| OPTIONS| -0.06%| Developed Markets|Equity|Foreign Large Cap Equities||OVF|6|5.ASSET|Equity|8.7|-0.11|N/A| U.S. Dollar| -1.32%| Global|Equity|n/a||VSLU|6|1.ASSET|Equity|11.1|0.74|AAPL| Apple Inc.| 6.66%| Global|Equity|n/a||VSLU|6|2.ASSET|Equity|11.1|0.69|MSFT| Microsoft Corporation| 6.18%| Global|Equity|n/a||VSLU|6|3.ASSET|Equity|11.1|0.65|GOOGL| Alphabet Inc. Class A| 5.90%| Global|Equity|n/a||VSLU|6|4.ASSET|Equity|11.1|0.42|MA| Mastercard Incorporated Class A| 3.77%| Global|Equity|n/a||VSLU|6|5.ASSET|Equity|11.1|0.41|FB| Meta Platforms Inc. Class A| 3.70%| Global|Equity|n/a||VSLU|6|6.ASSET|Equity|11.1|0.38|AMZN| Amazon.com, Inc.| 3.44%| Global|Equity|n/a||VSLU|6|7.ASSET|Equity|11.1|0.29|SPGI| S&P Global, Inc.| 2.60%| Global|Equity|n/a||VSLU|6|8.ASSET|Equity|11.1|0.27|ABBV| AbbVie, Inc.| 2.42%| Global|Equity|n/a||VSLU|6|9.ASSET|Equity|11.1|0.26|JNJ| Johnson & Johnson| 2.31%| Global|Equity|n/a||VSLU|6|10.ASSET|Equity|11.1|0.2|HD| Home Depot, Inc.| 1.78%| Global|Equity|n/a||VSLU|6|11.ASSET|Equity|11.1|0.17|MRK| Merck & Co., Inc.| 1.56%| Global|Equity|n/a||VSLU|6|12.ASSET|Equity|11.1|0.17|MCO| Moody\'s Corporation| 1.54%| Global|Equity|n/a||VSLU|6|13.ASSET|Equity|11.1|0.16|PG| Procter & Gamble Company| 1.47%| Global|Equity|n/a||VSLU|6|14.ASSET|Equity|11.1|0.15|V| Visa Inc. Class A| 1.37%| Global|Equity|n/a||VSLU|6|15.ASSET|Equity|11.1|0.15|WMT| Walmart Inc.| 1.36%| Global ex-U.S.|Equity|n/a||YDEC|6|1.ASSET|Equity|12.1|11.97|N/A| OPTIONS| 98.90%| Global ex-U.S.|Equity|n/a||YDEC|6|2.ASSET|Equity|12.1|0.13|N/A| U.S. Dollar| 1.10%| North America|Equity|Large Cap Blend Equities||VSL|6|1.ASSET|Equity|7.4|0.31|SRE| Sempra Energy| 4.22%| North America|Equity|Large Cap Blend Equities||VSL|6|2.ASSET|Equity|7.4|0.3|HZNP| Horizon Therapeutics Public Limited Company| 4.07%| North America|Equity|Large Cap Blend Equities||VSL|6|3.ASSET|Equity|7.4|0.3|VRSN| VeriSign, Inc.| 4.07%| North America|Equity|Large Cap Blend Equities||VSL|6|4.ASSET|Equity|7.4|0.3|ZTS| Zoetis, Inc. Class A| 3.99%| North America|Equity|Large Cap Blend Equities||VSL|6|5.ASSET|Equity|7.4|0.29|PLD| Prologis, Inc.| 3.98%| North America|Equity|Large Cap Blend Equities||VSL|6|6.ASSET|Equity|7.4|0.29|EXC| Exelon Corporation| 3.98%| North America|Equity|Large Cap Blend Equities||VSL|6|7.ASSET|Equity|7.4|0.29|XEL| Xcel Energy Inc.| 3.95%| North America|Equity|Large Cap Blend Equities||VSL|6|8.ASSET|Equity|7.4|0.29|PSA| Public Storage| 3.93%| North America|Equity|Large Cap Blend Equities||VSL|6|9.ASSET|Equity|7.4|0.29|VRSK| Verisk Analytics Inc| 3.90%| North America|Equity|Large Cap Blend Equities||VSL|6|10.ASSET|Equity|7.4|0.29|DRE| Duke Realty Corporation| 3.88%| North America|Equity|Large Cap Blend Equities||VSL|6|11.ASSET|Equity|7.4|0.29|EQR| Equity Residential| 3.88%| North America|Equity|Large Cap Blend Equities||VSL|6|12.ASSET|Equity|7.4|0.29|NDAQ| Nasdaq, Inc.| 3.88%| North America|Equity|Large Cap Blend Equities||VSL|6|13.ASSET|Equity|7.4|0.29|NUAN| Nuance Communications Incorporated| 3.87%| North America|Equity|Large Cap Blend Equities||VSL|6|14.ASSET|Equity|7.4|0.29|MMM| 3M Company| 3.87%| North America|Equity|Large Cap Blend Equities||VSL|6|15.ASSET|Equity|7.4|0.29|BDX| Becton, Dickinson and Company| 3.87%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|1.ASSET|Equity|8.1|0.97|600519| Kweichow Moutai Co., Ltd. Class A| 11.98%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|2.ASSET|Equity|8.1|0.7|600036| China Merchants Bank Co., Ltd. Class A| 8.67%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|3.ASSET|Equity|8.1|0.56|601318| Ping An Insurance (Group) Company of China, Ltd. Class A| 6.97%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|4.ASSET|Equity|8.1|0.4|300750| Contemporary Amperex Technology Co., Ltd. Class A| 4.96%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|5.ASSET|Equity|8.1|0.4|000858| Wuliangye Yibin Co., Ltd. Class A| 4.95%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|6.ASSET|Equity|8.1|0.37|601166| Industrial Bank Co., Ltd. Class A| 4.56%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|7.ASSET|Equity|8.1|0.27|600030| CITIC Securities Co. Ltd. Class A| 3.33%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|8.ASSET|Equity|8.1|0.26|601012| LONGi Green Energy Technology Co Ltd Class A| 3.25%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|9.ASSET|Equity|8.1|0.24|600887| Inner Mongolia Yili Industrial Group Co., Ltd. Class A| 2.92%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|10.ASSET|Equity|8.1|0.23|002594| BYD Company Limited Class A| 2.86%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|11.ASSET|Equity|8.1|0.19|601888| China Tourism Group Duty Free Corporation Limited Class A| 2.35%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|12.ASSET|Equity|8.1|0.19|300059| East Money Information Co., Ltd Class A| 2.34%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|13.ASSET|Equity|8.1|0.17|000568| Luzhou Laojiao Company Limited Class A| 2.14%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|14.ASSET|Equity|8.1|0.16|601899| Zijin Mining Group Co., Ltd. Class A| 1.99%| Emerging Asia Pacific|Equity|China Equities||AFTY|6|15.ASSET|Equity|8.1|0.16|600309| Wanhua Chemical Group Co. Ltd. Class A| 1.96%| Global|Equity|n/a||IDAT|6|1.ASSET|Equity|8.5|0.31|CTXS| Citrix Systems, Inc.| 3.62%| Global|Equity|n/a||IDAT|6|2.ASSET|Equity|8.5|0.28|CIEN| Ciena Corporation| 3.31%| Global|Equity|n/a||IDAT|6|3.ASSET|Equity|8.5|0.26|JNPR| Juniper Networks, Inc.| 3.08%| Global|Equity|n/a||IDAT|6|4.ASSET|Equity|8.5|0.26|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.05%| Global|Equity|n/a||IDAT|6|5.ASSET|Equity|8.5|0.25|CONE| CyrusOne Inc.| 2.97%| Global|Equity|n/a||IDAT|6|6.ASSET|Equity|8.5|0.25|AVGO| Broadcom Inc.| 2.92%| Global|Equity|n/a||IDAT|6|7.ASSET|Equity|8.5|0.24|DD| DuPont de Nemours, Inc.| 2.88%| Global|Equity|n/a||IDAT|6|8.ASSET|Equity|8.5|0.24|ANET| Arista Networks, Inc.| 2.87%| Global|Equity|n/a||IDAT|6|9.ASSET|Equity|8.5|0.24|DISH| DISH Network Corporation Class A| 2.81%| Global|Equity|n/a||IDAT|6|10.ASSET|Equity|8.5|0.24|INTC| Intel Corporation| 2.77%| Global|Equity|n/a||IDAT|6|11.ASSET|Equity|8.5|0.23|2454| MediaTek Inc| 2.74%| Global|Equity|n/a||IDAT|6|12.ASSET|Equity|8.5|0.23|QCOM| Qualcomm Inc| 2.71%| Global|Equity|n/a||IDAT|6|13.ASSET|Equity|8.5|0.23|NOKIA| Nokia Oyj| 2.66%| Global|Equity|n/a||IDAT|6|14.ASSET|Equity|8.5|0.22|DBX| Dropbox, Inc. Class A| 2.64%| Global|Equity|n/a||IDAT|6|15.ASSET|Equity|8.5|0.22|DDOG| Datadog Inc Class A| 2.63%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|1.ASSET|Bond|8.5|0.39|N/A| Suncor Energy Inc. 2.8% 15-MAY-2023| 4.61%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|2.ASSET|Bond|8.5|0.38|N/A| ASSET-BACKED SECURITIES| 4.50%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|3.ASSET|Bond|8.5|0.38|GVMXX| State Street Institutional Investment Trust US Government Money Market Fund Institutional| 4.45%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|4.ASSET|Bond|8.5|0.34|N/A| SunTrust Banks, Inc. 2.45% 01-AUG-2022| 4.01%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|5.ASSET|Bond|8.5|0.29|N/A| MUFG Union Bank, National Association FRN 09-DEC-2022| 3.43%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|6.ASSET|Bond|8.5|0.29|N/A| United States Treasury Bills 0.0% 15-MAR-2022| 3.42%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|7.ASSET|Bond|8.5|0.27|N/A| Fifth Third Bancorp 2.6% 15-JUN-2022| 3.19%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|8.ASSET|Bond|8.5|0.25|N/A| ONEOK Partners, L.P. 5.0% 15-SEP-2023| 2.96%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|9.ASSET|Bond|8.5|0.24|N/A| Citigroup Inc. FRN 01-SEP-2023| 2.86%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|10.ASSET|Bond|8.5|0.24|N/A| Bank of New York Mellon Corporation FRN 26-APR-2024| 2.85%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|11.ASSET|Bond|8.5|0.24|N/A| Goldman Sachs Group, Inc. FRN 17-NOV-2023| 2.85%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|12.ASSET|Bond|8.5|0.24|N/A| Siemens Financieringsmaatschappij NV FRN 11-MAR-2024| 2.85%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|13.ASSET|Bond|8.5|0.24|N/A| Royal Bank of Canada FRN 29-JUL-2024| 2.85%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|14.ASSET|Bond|8.5|0.24|N/A| ConocoPhillips Company 2.125% 08-MAR-2024| 2.85%| North America|Bond|Total Bond Market|Total Bond Market|USI|6|15.ASSET|Bond|8.5|0.24|N/A| Trafigura Securitisation Finance Series 2021-1 A1 0.63% 15-JUL-2024| 2.84%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|1.ASSET|Equity|11.8|0.41|1088| China Shenhua Energy Co. Ltd. Class H| 3.50%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|2.ASSET|Equity|11.8|0.37|VALE| Vale S.A. Sponsored ADR| 3.10%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|3.ASSET|Equity|11.8|0.36|AMS| Anglo American Platinum Limited| 3.03%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|4.ASSET|Equity|11.8|0.33|KIO| Kumba Iron Ore Limited| 2.77%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|5.ASSET|Equity|11.8|0.32|PBR.A| Petroleo Brasileiro SA Sponsored ADR Pfd| 2.70%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|6.ASSET|Equity|11.8|0.31|SID| Companhia Siderurgica Nacional Sponsored ADR| 2.59%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|7.ASSET|Equity|11.8|0.3|N/A| U.S. Dollar| 2.55%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|8.ASSET|Equity|11.8|0.29|IMP| Impala Platinum Holdings Limited| 2.46%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|9.ASSET|Equity|11.8|0.28|1378| China Hongqiao Group Ltd.| 2.41%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|10.ASSET|Equity|11.8|0.28|TTST| Tata Steel Limited Sponsored GDR RegS| 2.34%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|11.ASSET|Equity|11.8|0.27|2603| Evergreen Marine Corp. (Taiwan) Ltd.| 2.26%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|12.ASSET|Equity|11.8|0.25|1919| COSCO SHIPPING Holdings Co., Ltd. Class H| 2.09%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|13.ASSET|Equity|11.8|0.25|4938| Pegatron Corporation| 2.09%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|14.ASSET|Equity|11.8|0.24|1898| China Coal Energy Co. Ltd. Class H| 2.05%| Emerging Markets|Equity|Emerging Markets Equities||ECOW|6|15.ASSET|Equity|11.8|0.24|914| Anhui Conch Cement Company Limited Class H| 2.00%| North America|Bond|Government Bonds|Treasuries|TYA|6|1.ASSET|Bond|41.8|7.49|N/A| United States Treasury Notes 1.0% 31-JUL-2028| 17.93%| |Commodity|Agricultural Commodities||TAGS|6|1.ASSET|Commodity|18|4.56|N/A| Teucrium Sugar| 25.34%| |Commodity|Agricultural Commodities||TAGS|6|2.ASSET|Commodity|18|4.5|N/A| Teucrium Corn Fund| 25.00%| |Commodity|Agricultural Commodities||TAGS|6|3.ASSET|Commodity|18|4.5|N/A| Teucrium Soybean| 24.98%| |Commodity|Agricultural Commodities||TAGS|6|4.ASSET|Commodity|18|4.41|N/A| Teucrium Wheat| 24.48%| |Commodity|Agricultural Commodities||TAGS|6|5.ASSET|Commodity|18|0.04|N/A| Cash Component| 0.20%| North America|Equity|Large Cap Growth Equities||SPXT|6|1.ASSET|Equity|11.3|0.56|AMZN| Amazon.com, Inc.| 4.94%| North America|Equity|Large Cap Growth Equities||SPXT|6|2.ASSET|Equity|11.3|0.34|GOOGL| Alphabet Inc. Class A| 3.01%| North America|Equity|Large Cap Growth Equities||SPXT|6|3.ASSET|Equity|11.3|0.32|GOOG| Alphabet Inc. Class C| 2.82%| North America|Equity|Large Cap Growth Equities||SPXT|6|4.ASSET|Equity|11.3|0.3|TSLA| Tesla Inc| 2.68%| North America|Equity|Large Cap Growth Equities||SPXT|6|5.ASSET|Equity|11.3|0.25|BRK.B| Berkshire Hathaway Inc. Class B| 2.21%| North America|Equity|Large Cap Growth Equities||SPXT|6|6.ASSET|Equity|11.3|0.21|FB| Meta Platforms Inc. Class A| 1.84%| North America|Equity|Large Cap Growth Equities||SPXT|6|7.ASSET|Equity|11.3|0.19|UNH| UnitedHealth Group Incorporated| 1.71%| North America|Equity|Large Cap Growth Equities||SPXT|6|8.ASSET|Equity|11.3|0.18|JNJ| Johnson & Johnson| 1.63%| North America|Equity|Large Cap Growth Equities||SPXT|6|9.ASSET|Equity|11.3|0.17|JPM| JPMorgan Chase & Co.| 1.54%| North America|Equity|Large Cap Growth Equities||SPXT|6|10.ASSET|Equity|11.3|0.16|PG| Procter & Gamble Company| 1.39%| North America|Equity|Large Cap Growth Equities||SPXT|6|11.ASSET|Equity|11.3|0.15|HD| Home Depot, Inc.| 1.29%| North America|Equity|Large Cap Growth Equities||SPXT|6|12.ASSET|Equity|11.3|0.14|XOM| Exxon Mobil Corporation| 1.27%| North America|Equity|Large Cap Growth Equities||SPXT|6|13.ASSET|Equity|11.3|0.13|BAC| Bank of America Corp| 1.16%| North America|Equity|Large Cap Growth Equities||SPXT|6|14.ASSET|Equity|11.3|0.13|CVX| Chevron Corporation| 1.11%| North America|Equity|Large Cap Growth Equities||SPXT|6|15.ASSET|Equity|11.3|0.11|DIS| Walt Disney Company| 1.00%| Global|Equity|n/a||MVP|6|1.ASSET|Equity|4|0.24|MSGS| Madison Square Garden Sports Corp. Class A| 6.07%| Global|Equity|n/a||MVP|6|2.ASSET|Equity|4|0.24|BATRK| Liberty Media Corp. Series C Liberty Braves| 5.98%| Global|Equity|n/a||MVP|6|3.ASSET|Equity|4|0.23|MANU| Manchester United Plc Class A| 5.86%| Global|Equity|n/a||MVP|6|4.ASSET|Equity|4|0.23|FWONK| Liberty Media Corp. Series C Liberty Formula One| 5.85%| Global|Equity|n/a||MVP|6|5.ASSET|Equity|4|0.23|BVB| Borussia Dortmund GmbH & Co. KGaA| 5.65%| Global|Equity|n/a||MVP|6|6.ASSET|Equity|4|0.22|JUVE| Juventus Football Club S.p.A.| 5.46%| Global|Equity|n/a||MVP|6|7.ASSET|Equity|4|0.17|WWE| World Wrestling Entertainment, Inc. Class A| 4.36%| Global|Equity|n/a||MVP|6|8.ASSET|Equity|4|0.16|EDR| Endeavor Group Holdings, Inc. Class A| 3.96%| Global|Equity|n/a||MVP|6|9.ASSET|Equity|4|0.12|081660| FILA Holdings Corp.| 3.01%| Global|Equity|n/a||MVP|6|10.ASSET|Equity|4|0.12|SBGI| Sinclair Broadcast Group, Inc. Class A| 2.88%| Global|Equity|n/a||MVP|6|11.ASSET|Equity|4|0.11|ELY| Callaway Golf Company| 2.82%| Global|Equity|n/a||MVP|6|12.ASSET|Equity|4|0.11|MSGE| Madison Square Garden Entertainment Corp Class A| 2.77%| Global|Equity|n/a||MVP|6|13.ASSET|Equity|4|0.11|UAA| Under Armour, Inc. Class A| 2.75%| Global|Equity|n/a||MVP|6|14.ASSET|Equity|4|0.11|8022| Mizuno Corporation| 2.73%| Global|Equity|n/a||MVP|6|15.ASSET|Equity|4|0.11|GOLF| Acushnet Holdings Corp.| 2.71%| North America|Equity|Large Cap Blend Equities||EQRR|6|1.ASSET|Equity|47.6|1.91|OXY| Occidental Petroleum Corporation| 4.02%| North America|Equity|Large Cap Blend Equities||EQRR|6|2.ASSET|Equity|47.6|1.58|HES| Hess Corporation| 3.31%| North America|Equity|Large Cap Blend Equities||EQRR|6|3.ASSET|Equity|47.6|1.53|DVN| Devon Energy Corporation| 3.21%| North America|Equity|Large Cap Blend Equities||EQRR|6|4.ASSET|Equity|47.6|1.52|PXD| Pioneer Natural Resources Company| 3.20%| North America|Equity|Large Cap Blend Equities||EQRR|6|5.ASSET|Equity|47.6|1.51|XOM| Exxon Mobil Corporation| 3.17%| North America|Equity|Large Cap Blend Equities||EQRR|6|6.ASSET|Equity|47.6|1.51|EOG| EOG Resources, Inc.| 3.17%| North America|Equity|Large Cap Blend Equities||EQRR|6|7.ASSET|Equity|47.6|1.5|SLB| Schlumberger NV| 3.16%| North America|Equity|Large Cap Blend Equities||EQRR|6|8.ASSET|Equity|47.6|1.48|CFG| Citizens Financial Group, Inc.| 3.10%| North America|Equity|Large Cap Blend Equities||EQRR|6|9.ASSET|Equity|47.6|1.45|RJF| Raymond James Financial, Inc.| 3.05%| North America|Equity|Large Cap Blend Equities||EQRR|6|10.ASSET|Equity|47.6|1.38|MPC| Marathon Petroleum Corporation| 2.90%| North America|Equity|Large Cap Blend Equities||EQRR|6|11.ASSET|Equity|47.6|1.35|HBAN| Huntington Bancshares Incorporated| 2.83%| North America|Equity|Large Cap Blend Equities||EQRR|6|12.ASSET|Equity|47.6|1.34|SCHW| Charles Schwab Corporation| 2.81%| North America|Equity|Large Cap Blend Equities||EQRR|6|13.ASSET|Equity|47.6|1.33|PSX| Phillips 66| 2.80%| North America|Equity|Large Cap Blend Equities||EQRR|6|14.ASSET|Equity|47.6|1.33|BAC| Bank of America Corp| 2.80%| North America|Equity|Large Cap Blend Equities||EQRR|6|15.ASSET|Equity|47.6|1.33|PNC| PNC Financial Services Group, Inc.| 2.79%| North America|Equity|n/a||XTAP|6|1.ASSET|Equity|24.1|23.94|N/A| OPTIONS| 99.33%| North America|Equity|n/a||XTAP|6|2.ASSET|Equity|24.1|0.16|N/A| U.S. Dollar| 0.67%| |Commodity|Commodities||SDCI|6|1.ASSET|Commodity|10.1|5.58|N/A| Cash Component| 55.24%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|1.ASSET|Equity|7.2|0.36|AXP| American Express Company| 5.01%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|2.ASSET|Equity|7.2|0.36|MAR| Marriott International, Inc. Class A| 5.00%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|3.ASSET|Equity|7.2|0.34|HLT| Hilton Worldwide Holdings Inc| 4.72%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|4.ASSET|Equity|7.2|0.32|DIS| Walt Disney Company| 4.50%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|5.ASSET|Equity|7.2|0.32|BKNG| Booking Holdings Inc.| 4.47%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|6.ASSET|Equity|7.2|0.32|BA| Boeing Company| 4.45%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|7.ASSET|Equity|7.2|0.3|MC| LVMH Moet Hennessy Louis Vuitton SE| 4.13%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|8.ASSET|Equity|7.2|0.28|EL| Estee Lauder Companies Inc. Class A| 3.83%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|9.ASSET|Equity|7.2|0.25|ABNB| Airbnb, Inc. Class A| 3.51%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|10.ASSET|Equity|7.2|0.24|CTAS| Cintas Corporation| 3.40%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|11.ASSET|Equity|7.2|0.24|4911| Shiseido Company,Limited| 3.40%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|12.ASSET|Equity|7.2|0.23|OR| L\'Oreal SA| 3.26%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|13.ASSET|Equity|7.2|0.23|4661| Oriental Land Co., Ltd.| 3.20%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|14.ASSET|Equity|7.2|0.2|EXPE| Expedia Group, Inc.| 2.82%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|JRNY|6|15.ASSET|Equity|7.2|0.17|LUV| Southwest Airlines Co.| 2.38%| North America|Equity|n/a||QTJL|6|1.ASSET|Equity|17.3|17.23|N/A| OPTIONS| 99.59%| North America|Equity|n/a||QTJL|6|2.ASSET|Equity|17.3|17.23|N/A| OPTIONS| 99.58%| North America|Equity|n/a||QTJL|6|3.ASSET|Equity|17.3|0.07|N/A| U.S. Dollar| 0.42%| North America|Equity|n/a||QTJL|6|4.ASSET|Equity|17.3|0.07|N/A| U.S. Dollar| 0.41%| Latin America|Equity|Latin America Equities||FBZ|6|1.ASSET|Equity|13.4|0.53|PETR4| Petroleo Brasileiro SA Pfd| 3.92%| Latin America|Equity|Latin America Equities||FBZ|6|2.ASSET|Equity|13.4|0.48|CPLE6| Companhia Paranaense de Energia - COPEL Pfd Registered B| 3.55%| Latin America|Equity|Latin America Equities||FBZ|6|3.ASSET|Equity|13.4|0.47|CSNA3| Companhia Siderurgica Nacional| 3.50%| Latin America|Equity|Latin America Equities||FBZ|6|4.ASSET|Equity|13.4|0.44|VALE3| Vale S.A.| 3.29%| Latin America|Equity|Latin America Equities||FBZ|6|5.ASSET|Equity|13.4|0.44|USIM5| Usinas Siderurgicas de Minas Gerais SA-Usiminas Pfd A| 3.27%| Latin America|Equity|Latin America Equities||FBZ|6|6.ASSET|Equity|13.4|0.44|TRPL4| Compania de Transmissao de Energia Eletrica Paulista Pfd| 3.26%| Latin America|Equity|Latin America Equities||FBZ|6|7.ASSET|Equity|13.4|0.43|GGBR4| Gerdau SA Pfd| 3.20%| Latin America|Equity|Latin America Equities||FBZ|6|8.ASSET|Equity|13.4|0.43|ENBR3| EDP - Energias do Brasil S.A.| 3.18%| Latin America|Equity|Latin America Equities||FBZ|6|9.ASSET|Equity|13.4|0.42|JBSS3| JBS S.A.| 3.10%| Latin America|Equity|Latin America Equities||FBZ|6|10.ASSET|Equity|13.4|0.38|ITSA4| Itausa - Investimentos Itau SA Pfd| 2.87%| Latin America|Equity|Latin America Equities||FBZ|6|11.ASSET|Equity|13.4|0.38|VBBR3| Vibra Energia SA| 2.86%| Latin America|Equity|Latin America Equities||FBZ|6|12.ASSET|Equity|13.4|0.38|TAEE11| Transmissora Alianca De Energia Eletrica S.A. Unit| 2.83%| Latin America|Equity|Latin America Equities||FBZ|6|13.ASSET|Equity|13.4|0.36|MRFG3| Marfrig Alimentos SA| 2.66%| Latin America|Equity|Latin America Equities||FBZ|6|14.ASSET|Equity|13.4|0.35|PRIO3| Petro Rio SA| 2.63%| Latin America|Equity|Latin America Equities||FBZ|6|15.ASSET|Equity|13.4|0.35|BRKM5| Braskem S.A. Pfd A| 2.63%| North America|Equity|n/a||PSFM|6|1.ASSET|Equity|11.2|11.17|N/A| OPTIONS| 99.76%| North America|Equity|n/a||PSFM|6|2.ASSET|Equity|11.2|0.03|N/A| U.S. Dollar| 0.24%| North America|Equity|Technology Equities|Technology|JFWD|6|1.ASSET|Equity|5.1|0.36|ATEC| Alphatec Holdings, Inc.| 7.08%| North America|Equity|Technology Equities|Technology|JFWD|6|2.ASSET|Equity|5.1|0.33|CDXS| Codexis, Inc.| 6.42%| North America|Equity|Technology Equities|Technology|JFWD|6|3.ASSET|Equity|5.1|0.32|SI| Silvergate Capital Corp. Class A| 6.24%| North America|Equity|Technology Equities|Technology|JFWD|6|4.ASSET|Equity|5.1|0.31|APPS| Digital Turbine, Inc.| 6.01%| North America|Equity|Technology Equities|Technology|JFWD|6|5.ASSET|Equity|5.1|0.28|OPRX| OptimizeRx Corporation| 5.42%| North America|Equity|Technology Equities|Technology|JFWD|6|6.ASSET|Equity|5.1|0.25|MDB| MongoDB, Inc. Class A| 4.82%| North America|Equity|Technology Equities|Technology|JFWD|6|7.ASSET|Equity|5.1|0.23|TWTR| Twitter, Inc.| 4.57%| North America|Equity|Technology Equities|Technology|JFWD|6|8.ASSET|Equity|5.1|0.23|VOYG| Voyager Digital Ltd.| 4.51%| North America|Equity|Technology Equities|Technology|JFWD|6|9.ASSET|Equity|5.1|0.23|Z| Zillow Group, Inc. Class C| 4.49%| North America|Equity|Technology Equities|Technology|JFWD|6|10.ASSET|Equity|5.1|0.2|KRYS| Krystal Biotech, Inc.| 3.84%| North America|Equity|Technology Equities|Technology|JFWD|6|11.ASSET|Equity|5.1|0.19|SQ| Block Inc Class A| 3.79%| North America|Equity|Technology Equities|Technology|JFWD|6|12.ASSET|Equity|5.1|0.17|TWLO| Twilio, Inc. Class A| 3.38%| North America|Equity|Technology Equities|Technology|JFWD|6|13.ASSET|Equity|5.1|0.16|AERI| Aerie Pharmaceuticals, Inc.| 3.20%| North America|Equity|Technology Equities|Technology|JFWD|6|14.ASSET|Equity|5.1|0.16|DOCS| Doximity, Inc. Class A| 3.17%| North America|Equity|Technology Equities|Technology|JFWD|6|15.ASSET|Equity|5.1|0.14|PI| Impinj, Inc.| 2.78%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|1.ASSET|Equity|7|0.05|7974| Nintendo Co., Ltd.| 0.71%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|2.ASSET|Equity|7|0.05|8035| Tokyo Electron Ltd.| 0.70%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|3.ASSET|Equity|7|0.04|3769| GMO Payment Gateway, Inc.| 0.56%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|4.ASSET|Equity|7|0.04|4732| USS Co., Ltd.| 0.56%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|5.ASSET|Equity|7|0.04|9101| Nippon Yusen Kabushiki Kaisha| 0.53%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|6.ASSET|Equity|7|0.04|4661| Oriental Land Co., Ltd.| 0.53%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|7.ASSET|Equity|7|0.04|6954| Fanuc Corporation| 0.52%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|8.ASSET|Equity|7|0.04|4704| Trend Micro Incorporated| 0.50%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|9.ASSET|Equity|7|0.03|9104| Mitsui O.S.K.Lines,Ltd.| 0.48%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|10.ASSET|Equity|7|0.03|4967| Kobayashi Pharmaceutical Co., Ltd.| 0.48%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|11.ASSET|Equity|7|0.03|2267| Yakult Honsha Co., Ltd.| 0.47%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|12.ASSET|Equity|7|0.03|5947| Rinnai Corporation| 0.46%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|13.ASSET|Equity|7|0.03|6502| Toshiba Corporation| 0.46%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|14.ASSET|Equity|7|0.03|6869| Sysmex Corporation| 0.46%| Developed Asia Pacific|Equity|Japan Equities||EWJE|6|15.ASSET|Equity|7|0.03|4385| Mercari, Inc.| 0.46%| North America|Alternatives|Long-Short||MARB|6|1.ASSET|Alternatives|8.9|0.67|FBC| Flagstar Bancorp, Inc.| 7.49%| North America|Alternatives|Long-Short||MARB|6|2.ASSET|Alternatives|8.9|0.56|NUAN| Nuance Communications Incorporated| 6.33%| North America|Alternatives|Long-Short||MARB|6|3.ASSET|Alternatives|8.9|0.5|ISBC| Investors Bancorp Inc| 5.67%| North America|Alternatives|Long-Short||MARB|6|4.ASSET|Alternatives|8.9|0.37|CONE| CyrusOne Inc.| 4.21%| North America|Alternatives|Long-Short||MARB|6|5.ASSET|Alternatives|8.9|0.37|MGP| MGM Growth Properties LLC Class A| 4.14%| North America|Alternatives|Long-Short||MARB|6|6.ASSET|Alternatives|8.9|0.36|PBCT| People\'s United Financial, Inc.| 4.09%| North America|Alternatives|Long-Short||MARB|6|7.ASSET|Alternatives|8.9|0.33|SAFM| Sanderson Farms, Inc.| 3.69%| North America|Alternatives|Long-Short||MARB|6|8.ASSET|Alternatives|8.9|0.27|TSC| TriState Capital Holdings, Inc.| 3.03%| North America|Alternatives|Long-Short||MARB|6|9.ASSET|Alternatives|8.9|0.27|CCMP| CMC Materials, Inc.| 3.02%| North America|Alternatives|Long-Short||MARB|6|10.ASSET|Alternatives|8.9|0.27|EPAY| Bottomline Technologies (de), Inc.| 2.98%| North America|Alternatives|Long-Short||MARB|6|11.ASSET|Alternatives|8.9|0.22|NPTN| NeoPhotonics Corporation| 2.51%| North America|Alternatives|Long-Short||MARB|6|12.ASSET|Alternatives|8.9|0.19|AJRD| Aerojet Rocketdyne Holdings, Inc.| 2.10%| North America|Alternatives|Long-Short||MARB|6|13.ASSET|Alternatives|8.9|0.18|CHNG| Change Healthcare, Inc.| 2.03%| North America|Alternatives|Long-Short||MARB|6|14.ASSET|Alternatives|8.9|0.18|ROG| Rogers Corporation| 1.98%| North America|Alternatives|Long-Short||MARB|6|15.ASSET|Alternatives|8.9|0.13|OCDX| Ortho Clinical Diagnostics Holdings Plc| 1.42%| North America|Alternatives|Hedge Fund||ARB|6|1.ASSET|Alternatives|78|7.64|USD| ProShares Ultra Semiconductors| 9.80%| North America|Alternatives|Hedge Fund||ARB|6|2.ASSET|Alternatives|78|2.27|XLNX| Xilinx, Inc.| 2.91%| North America|Alternatives|Hedge Fund||ARB|6|3.ASSET|Alternatives|78|2.02|PPD| PPD, Inc.| 2.59%| North America|Alternatives|Hedge Fund||ARB|6|4.ASSET|Alternatives|78|1.97|INFO| IHS Markit Ltd.| 2.53%| North America|Alternatives|Hedge Fund||ARB|6|5.ASSET|Alternatives|78|1.9|MDLA| Medallia, Inc.| 2.43%| North America|Alternatives|Hedge Fund||ARB|6|6.ASSET|Alternatives|78|1.89|CSOD| Cornerstone Ondemand, Inc.| 2.42%| North America|Alternatives|Hedge Fund||ARB|6|7.ASSET|Alternatives|78|1.89|STMP| Stamps.com Inc.| 2.42%| North America|Alternatives|Hedge Fund||ARB|6|8.ASSET|Alternatives|78|1.89|NUAN| Nuance Communications, Inc.| 2.42%| North America|Alternatives|Hedge Fund||ARB|6|9.ASSET|Alternatives|78|1.89|DWNI| Deutsche Wohnen SE| 2.42%| North America|Alternatives|Hedge Fund||ARB|6|10.ASSET|Alternatives|78|1.88|TRIL| Trillium Therapeutics Inc.| 2.41%| North America|Alternatives|Hedge Fund||ARB|6|11.ASSET|Alternatives|78|1.87|HRC| Hill-Rom Holdings, Inc.| 2.40%| North America|Alternatives|Hedge Fund||ARB|6|12.ASSET|Alternatives|78|1.84|SAFM| Sanderson Farms, Inc.| 2.36%| North America|Alternatives|Hedge Fund||ARB|6|13.ASSET|Alternatives|78|1.84|KSU| Kansas City Southern| 2.36%| North America|Alternatives|Hedge Fund||ARB|6|14.ASSET|Alternatives|78|1.76|GNOG| Golden Nugget Online Gaming, Inc. Class A| 2.25%| North America|Alternatives|Hedge Fund||ARB|6|15.ASSET|Alternatives|78|1.6|SCR| Score Media and Gaming Inc. Class A| 2.05%| Developed Europe|Equity|Leveraged Equities||EPV|6|1.ASSET|Equity|19.7|19.26|N/A| U.S. Dollar| 97.78%| Developed Europe|Equity|Leveraged Equities||EPV|6|2.ASSET|Equity|19.7|0.44|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 2.22%| North America|Equity|n/a||XDAP|6|1.ASSET|Equity|7.1|7.1|N/A| OPTIONS| 99.97%| North America|Equity|n/a||XDAP|6|2.ASSET|Equity|7.1|0|N/A| U.S. Dollar| 0.03%| North America|Equity|Large Cap Growth Equities||QQC|6|1.ASSET|Equity|10|9.94|QQQ| Invesco QQQ Trust| 99.42%| North America|Equity|Large Cap Growth Equities||QQC|6|2.ASSET|Equity|10|0.06|N/A| OPTIONS| 0.63%| North America|Equity|Large Cap Growth Equities||QQC|6|3.ASSET|Equity|10|-0.01|N/A| U.S. Dollar| -0.05%| North America|Alternatives|Long-Short||CBLS|6|1.ASSET|Alternatives|6.2|1.58|N/A| U.S. Dollar| 25.54%| North America|Alternatives|Long-Short||CBLS|6|2.ASSET|Alternatives|6.2|0.5|FGXXX| First American Funds Inc X Government Obligations Fund| 8.06%| North America|Alternatives|Long-Short||CBLS|6|3.ASSET|Alternatives|6.2|0.32|CHK| Chesapeake Energy Corporation| 5.15%| North America|Alternatives|Long-Short||CBLS|6|4.ASSET|Alternatives|6.2|0.32|STRL| Sterling Construction Company, Inc.| 5.12%| North America|Alternatives|Long-Short||CBLS|6|5.ASSET|Alternatives|6.2|0.29|CVEO| Civeo Corp| 4.75%| North America|Alternatives|Long-Short||CBLS|6|6.ASSET|Alternatives|6.2|0.28|ICFI| ICF International, Inc.| 4.56%| North America|Alternatives|Long-Short||CBLS|6|7.ASSET|Alternatives|6.2|0.26|SKY| Skyline Champion Corp.| 4.22%| North America|Alternatives|Long-Short||CBLS|6|8.ASSET|Alternatives|6.2|0.26|CRTO| Criteo SA Sponsored ADR| 4.13%| North America|Alternatives|Long-Short||CBLS|6|9.ASSET|Alternatives|6.2|0.25|SONY| Sony Group Corporation Sponsored ADR| 4.11%| North America|Alternatives|Long-Short||CBLS|6|10.ASSET|Alternatives|6.2|0.23|TMDX| TransMedics Group, Inc.| 3.74%| North America|Alternatives|Long-Short||CBLS|6|11.ASSET|Alternatives|6.2|0.23|EXPE| Expedia Group, Inc.| 3.71%| North America|Alternatives|Long-Short||CBLS|6|12.ASSET|Alternatives|6.2|0.22|SKX| Skechers U.S.A., Inc. Class A| 3.54%| North America|Alternatives|Long-Short||CBLS|6|13.ASSET|Alternatives|6.2|0.2|FRC| First Republic Bank| 3.21%| North America|Alternatives|Long-Short||CBLS|6|14.ASSET|Alternatives|6.2|0.2|GTLS| Chart Industries, Inc.| 3.20%| North America|Alternatives|Long-Short||CBLS|6|15.ASSET|Alternatives|6.2|0.2|MODV| ModivCare Inc.| 3.16%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|1.ASSET|Equity|8.5|0.23|NESN| Nestle S.A.| 2.73%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|2.ASSET|Equity|8.5|0.21|ASML| ASML Holding NV| 2.49%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|3.ASSET|Equity|8.5|0.17|ROG| Roche Holding Ltd| 1.96%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|4.ASSET|Equity|8.5|0.15|NOVO.B| Novo Nordisk A/S Class B| 1.72%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|5.ASSET|Equity|8.5|0.12|AZN| AstraZeneca PLC| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|6.ASSET|Equity|8.5|0.12|NOVN| Novartis AG| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|7.ASSET|Equity|8.5|0.11|6758| Sony Group Corporation| 1.32%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|8.ASSET|Equity|8.5|0.1|DGE| Diageo plc| 1.17%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|9.ASSET|Equity|8.5|0.09|SAP| SAP SE| 1.05%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|10.ASSET|Equity|8.5|0.09|ULVR| Unilever PLC| 1.04%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|11.ASSET|Equity|8.5|0.08|SAN| Sanofi| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|12.ASSET|Equity|8.5|0.08|OR| L\'Oreal SA| 0.99%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|13.ASSET|Equity|8.5|0.08|388| Hong Kong Exchanges & Clearing Ltd.| 0.90%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|14.ASSET|Equity|8.5|0.07|CBA| Commonwealth Bank of Australia| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||RESD|6|15.ASSET|Equity|8.5|0.07|ALV| Allianz SE| 0.87%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|1.ASSET|Equity|6.9|0.02|BHP| BHP Group Ltd| 0.32%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|2.ASSET|Equity|6.9|0.02|TSEM| Tower Semiconductor Ltd| 0.24%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|3.ASSET|Equity|6.9|0.02|151| Want Want China Holdings Limited| 0.24%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|4.ASSET|Equity|6.9|0.02|011070| LG Innotek Co., Ltd| 0.22%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|5.ASSET|Equity|6.9|0.02|KEN| Kenon Holdings Ltd.| 0.22%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|6.ASSET|Equity|6.9|0.01|6460| Sega Sammy Holdings Inc.| 0.21%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|7.ASSET|Equity|6.9|0.01|ESLT| Elbit Systems Ltd| 0.21%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|8.ASSET|Equity|6.9|0.01|NTR| Nutrien Ltd.| 0.21%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|9.ASSET|Equity|6.9|0.01|BEZQ| Bezeq The Israel Telecommunication Corp. Ltd.| 0.20%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|10.ASSET|Equity|6.9|0.01|1876| Budweiser Brewing Co. APAC Ltd.| 0.19%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|11.ASSET|Equity|6.9|0.01|LUMI| Bank Leumi Le-Israel Ltd.| 0.19%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|12.ASSET|Equity|6.9|0.01|9086| Hitachi Transport System,Ltd.| 0.19%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|13.ASSET|Equity|6.9|0.01|HSBA| HSBC Holdings Plc| 0.19%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|14.ASSET|Equity|6.9|0.01|9501| Tokyo Electric Power Company Holdings, Incorporated| 0.19%| Developed Markets|Equity|Foreign Large Cap Equities||IDLB|6|15.ASSET|Equity|6.9|0.01|5019| Idemitsu Kosan Co., Ltd.| 0.18%| Global|Equity|Global Equities||EDUT|6|1.ASSET|Equity|4.7|0.55|BFAM| Bright Horizons Family Solutions, Inc.| 11.65%| Global|Equity|Global Equities||EDUT|6|2.ASSET|Equity|4.7|0.49|PSON| Pearson PLC| 10.47%| Global|Equity|Global Equities||EDUT|6|3.ASSET|Equity|4.7|0.43|IEL| IDP Education Ltd.| 9.13%| Global|Equity|Global Equities||EDUT|6|4.ASSET|Equity|4.7|0.35|CHGG| Chegg, Inc.| 7.41%| Global|Equity|Global Equities||EDUT|6|5.ASSET|Equity|4.7|0.22|COUR| Coursera Inc| 4.61%| Global|Equity|Global Equities||EDUT|6|6.ASSET|Equity|4.7|0.2|HMHC| Houghton Mifflin Harcourt Company| 4.29%| Global|Equity|Global Equities||EDUT|6|7.ASSET|Equity|4.7|0.18|EDU| New Oriental Education & Technology Group, Inc. Sponsored ADR| 3.81%| Global|Equity|Global Equities||EDUT|6|8.ASSET|Equity|4.7|0.18|JW.A| John Wiley & Sons, Inc. Class A| 3.79%| Global|Equity|Global Equities||EDUT|6|9.ASSET|Equity|4.7|0.17|EGHT| 8x8, Inc.| 3.69%| Global|Equity|Global Equities||EDUT|6|10.ASSET|Equity|4.7|0.16|RNG| RingCentral, Inc. Class A| 3.37%| Global|Equity|Global Equities||EDUT|6|11.ASSET|Equity|4.7|0.16|9783| Benesse Holdings, Inc.| 3.36%| Global|Equity|Global Equities||EDUT|6|12.ASSET|Equity|4.7|0.14|ZM| Zoom Video Communications, Inc. Class A| 2.94%| Global|Equity|Global Equities||EDUT|6|13.ASSET|Equity|4.7|0.12|DCBO| Docebo, Inc.| 2.60%| Global|Equity|Global Equities||EDUT|6|14.ASSET|Equity|4.7|0.11|LRN| Stride, Inc.| 2.32%| Global|Equity|Global Equities||EDUT|6|15.ASSET|Equity|4.7|0.11|KAHOT| Kahoot ASA| 2.27%| North America|Equity|Leveraged Equities|Healthcare|BIS|6|1.ASSET|Equity|7.9|7.53|N/A| U.S. Dollar| 95.35%| North America|Equity|Leveraged Equities|Healthcare|BIS|6|2.ASSET|Equity|7.9|0.37|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 4.65%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|1.ASSET|Bond|12.2|0.25|N/A| Washington D C Met Area Tran Auth Dedicated Rev 5.0% 15-JUL-2045| 2.07%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|2.ASSET|Bond|12.2|0.25|N/A| New York N Y City Transitional Fin Auth Rev 5.0% 01-MAY-2034| 2.06%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|3.ASSET|Bond|12.2|0.25|N/A| California St 5.0% 01-MAR-2034| 2.05%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|4.ASSET|Bond|12.2|0.25|N/A| Los Angeles Calif Dept Arpts Rev 5.0% 15-MAY-2034| 2.05%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|5.ASSET|Bond|12.2|0.25|N/A| Ohio St Wtr Dev Auth Wtr Pollutn Ctl Rev 5.0% 01-DEC-2040| 2.05%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|6.ASSET|Bond|12.2|0.25|N/A| Cook Cnty Ill 5.0% 15-NOV-2033| 2.02%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|7.ASSET|Bond|12.2|0.25|N/A| Los Angeles Calif Dept Wtr & Pwr Wtrwks Rev 5.0% 01-JUL-2050| 2.01%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|8.ASSET|Bond|12.2|0.23|N/A| Dallas Tex Wtrwks & Swr Sys Rev 4.0% 01-OCT-2049| 1.90%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|9.ASSET|Bond|12.2|0.23|N/A| Texas Water Dev Brd 4.0% 15-OCT-2045| 1.88%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|10.ASSET|Bond|12.2|0.23|N/A| Port Auth N Y & N J 4.0% 15-JUL-2040| 1.86%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|11.ASSET|Bond|12.2|0.23|N/A| New York St Dorm Auth St Pers Income Tax Rev 4.0% 15-FEB-2037| 1.86%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|12.ASSET|Bond|12.2|0.23|N/A| New York St Urban Dev Corp Rev 4.0% 15-MAR-2042| 1.85%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|13.ASSET|Bond|12.2|0.23|N/A| New York St Pwr Auth Rev 4.0% 15-NOV-2045| 1.85%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|14.ASSET|Bond|12.2|0.22|N/A| New York St Twy Auth Gen Rev Jr Indbt Obligs 4.0% 01-JAN-2038| 1.83%| North America|Bond|National Munis|Target Maturity Date Munis|BSMU|6|15.ASSET|Bond|12.2|0.22|N/A| New York N Y City Mun Wtr Fin Auth Wtr & Swr Sysrev 4.0% 15-JUN-2050| 1.82%| North America|Equity|n/a||PLDR|6|1.ASSET|Equity|6.8|0.56|MSFT| Microsoft Corporation| 8.19%| North America|Equity|n/a||PLDR|6|2.ASSET|Equity|6.8|0.5|AAPL| Apple Inc.| 7.29%| North America|Equity|n/a||PLDR|6|3.ASSET|Equity|6.8|0.34|AMZN| Amazon.com, Inc.| 5.03%| North America|Equity|n/a||PLDR|6|4.ASSET|Equity|6.8|0.19|DHR| Danaher Corporation| 2.85%| North America|Equity|n/a||PLDR|6|5.ASSET|Equity|6.8|0.19|ADBE| Adobe Inc.| 2.84%| North America|Equity|n/a||PLDR|6|6.ASSET|Equity|6.8|0.17|TMO| Thermo Fisher Scientific Inc.| 2.43%| North America|Equity|n/a||PLDR|6|7.ASSET|Equity|6.8|0.15|V| Visa Inc. Class A| 2.23%| North America|Equity|n/a||PLDR|6|8.ASSET|Equity|6.8|0.14|BAC| Bank of America Corp| 2.07%| North America|Equity|n/a||PLDR|6|9.ASSET|Equity|6.8|0.14|N/A| U.S. Dollar| 2.06%| North America|Equity|n/a||PLDR|6|10.ASSET|Equity|6.8|0.14|CMG| Chipotle Mexican Grill, Inc.| 2.02%| North America|Equity|n/a||PLDR|6|11.ASSET|Equity|6.8|0.13|LLY| Eli Lilly and Company| 1.95%| North America|Equity|n/a||PLDR|6|12.ASSET|Equity|6.8|0.13|JCI| Johnson Controls International plc| 1.92%| North America|Equity|n/a||PLDR|6|13.ASSET|Equity|6.8|0.12|ASML| ASML Holding NV ADR| 1.81%| North America|Equity|n/a||PLDR|6|14.ASSET|Equity|6.8|0.12|WMT| Walmart Inc.| 1.81%| North America|Equity|n/a||PLDR|6|15.ASSET|Equity|6.8|0.12|BLK| BlackRock, Inc.| 1.81%| North America|Equity|n/a||RSPY|6|1.ASSET|Equity|7.9|1.88|XLK| Technology Select Sector SPDR Fund| 23.74%| North America|Equity|n/a||RSPY|6|2.ASSET|Equity|7.9|1.04|XLV| Health Care Select Sector SPDR Fund| 13.19%| North America|Equity|n/a||RSPY|6|3.ASSET|Equity|7.9|0.97|XLF| Financial Select Sector SPDR Fund| 12.30%| North America|Equity|n/a||RSPY|6|4.ASSET|Equity|7.9|0.75|XLC| Communication Services Select Sector SPDR Fund| 9.51%| North America|Equity|n/a||RSPY|6|5.ASSET|Equity|7.9|0.74|XLY| Consumer Discretionary Select Sector SPDR Fund| 9.33%| North America|Equity|n/a||RSPY|6|6.ASSET|Equity|7.9|0.68|XLP| Consumer Staples Select Sector SPDR Fund| 8.65%| North America|Equity|n/a||RSPY|6|7.ASSET|Equity|7.9|0.62|XLI| Industrial Select Sector SPDR Fund| 7.91%| North America|Equity|n/a||RSPY|6|8.ASSET|Equity|7.9|0.62|XLE| Energy Select Sector SPDR Fund| 7.86%| North America|Equity|n/a||RSPY|6|9.ASSET|Equity|7.9|0.2|XLU| Utilities Select Sector SPDR Fund| 2.51%| North America|Equity|n/a||RSPY|6|10.ASSET|Equity|7.9|0.19|XLB| Materials Select Sector SPDR Fund| 2.46%| North America|Equity|n/a||RSPY|6|11.ASSET|Equity|7.9|0.14|XLRE| Real Estate Select Sector SPDR Fund| 1.78%| North America|Equity|n/a||RSPY|6|12.ASSET|Equity|7.9|0.06|N/A| U.S. Dollar| 0.76%| North America|Equity|All Cap Equities||STLV|6|1.ASSET|Equity|7.2|0.22|JNJ| Johnson & Johnson| 3.04%| North America|Equity|All Cap Equities||STLV|6|2.ASSET|Equity|7.2|0.16|MRK| Merck & Co., Inc.| 2.26%| North America|Equity|All Cap Equities||STLV|6|3.ASSET|Equity|7.2|0.15|SLVM| Sylvamo Corporation| 2.08%| North America|Equity|All Cap Equities||STLV|6|4.ASSET|Equity|7.2|0.15|EVR| Evercore Inc Class A| 2.08%| North America|Equity|All Cap Equities||STLV|6|5.ASSET|Equity|7.2|0.14|JEF| Jefferies Financial Group Inc.| 1.95%| North America|Equity|All Cap Equities||STLV|6|6.ASSET|Equity|7.2|0.13|PG| Procter & Gamble Company| 1.86%| North America|Equity|All Cap Equities||STLV|6|7.ASSET|Equity|7.2|0.13|VZ| Verizon Communications Inc.| 1.77%| North America|Equity|All Cap Equities||STLV|6|8.ASSET|Equity|7.2|0.13|LPX| Louisiana-Pacific Corporation| 1.77%| North America|Equity|All Cap Equities||STLV|6|9.ASSET|Equity|7.2|0.12|WMT| Walmart Inc.| 1.65%| North America|Equity|All Cap Equities||STLV|6|10.ASSET|Equity|7.2|0.12|OTIS| Otis Worldwide Corporation| 1.60%| North America|Equity|All Cap Equities||STLV|6|11.ASSET|Equity|7.2|0.11|BMY| Bristol-Myers Squibb Company| 1.56%| North America|Equity|All Cap Equities||STLV|6|12.ASSET|Equity|7.2|0.1|PFE| Pfizer Inc.| 1.42%| North America|Equity|All Cap Equities||STLV|6|13.ASSET|Equity|7.2|0.1|PM| Philip Morris International Inc.| 1.33%| North America|Equity|All Cap Equities||STLV|6|14.ASSET|Equity|7.2|0.09|ALLY| Ally Financial Inc| 1.30%| North America|Equity|All Cap Equities||STLV|6|15.ASSET|Equity|7.2|0.09|LAZ| Lazard Ltd Class A| 1.27%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|1.ASSET|Equity|7.5|0.17|1378| China Hongqiao Group Ltd.| 2.32%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|2.ASSET|Equity|7.5|0.17|SBLK| Star Bulk Carriers Corp.| 2.28%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|3.ASSET|Equity|7.5|0.16|HUMANSOFT| Human Soft Holding Co. KSCC| 2.16%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|4.ASSET|Equity|7.5|0.16|VALE3| Vale S.A.| 2.14%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|5.ASSET|Equity|7.5|0.16|ADRO| PT Adaro Energy Indonesia Tbk| 2.14%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|6.ASSET|Equity|7.5|0.16|RCL.R| Regional Container Lines Public Co. Ltd. NVDR| 2.11%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|7.ASSET|Equity|7.5|0.16|BRAP4| Bradespar SA Pfd| 2.10%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|8.ASSET|Equity|7.5|0.16|1088| China Shenhua Energy Co. Ltd. Class H| 2.08%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|9.ASSET|Equity|7.5|0.15|1618| Metallurgical Corporation of China Ltd. Class H| 2.05%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|10.ASSET|Equity|7.5|0.15|TCELL.E| Turkcell Iletisim Hizmetleri A.S.| 2.03%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|11.ASSET|Equity|7.5|0.15|CPFE3| CPFL Energia S.A.| 1.99%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|12.ASSET|Equity|7.5|0.15|PETR4| Petroleo Brasileiro SA Pfd| 1.97%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|13.ASSET|Equity|7.5|0.15|JBSS3| JBS S.A.| 1.94%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|14.ASSET|Equity|7.5|0.14|ELET6| Centrais Eletricas Brasileiras SA-Eletrobras Pfd B| 1.93%| Emerging Markets|Equity|Emerging Markets Equities||EEMD|6|15.ASSET|Equity|7.5|0.14|023530| Lotte Shopping Co., Ltd| 1.93%| Latin America|Equity|Leveraged Bonds||AGT|6|1.ASSET|Equity|7.1|1.57|MELI| MercadoLibre, Inc.| 22.08%| Latin America|Equity|Leveraged Bonds||AGT|6|2.ASSET|Equity|7.1|0.4|ARCO| Arcos Dorados Holdings, Inc. Class A| 5.66%| Latin America|Equity|Leveraged Bonds||AGT|6|3.ASSET|Equity|7.1|0.39|AGRO| Adecoagro S.A.| 5.51%| Latin America|Equity|Leveraged Bonds||AGT|6|4.ASSET|Equity|7.1|0.38|GGAL| Grupo Financiero Galicia SA Sponsored ADR Class B| 5.31%| Latin America|Equity|Leveraged Bonds||AGT|6|5.ASSET|Equity|7.1|0.36|YRI| Yamana Gold Inc.| 5.02%| Latin America|Equity|Leveraged Bonds||AGT|6|6.ASSET|Equity|7.1|0.36|PAM| Pampa Energia SA Sponsored ADR| 5.00%| Latin America|Equity|Leveraged Bonds||AGT|6|7.ASSET|Equity|7.1|0.35|YPF| YPF SA Sponsored ADR Class D| 4.96%| Latin America|Equity|Leveraged Bonds||AGT|6|8.ASSET|Equity|7.1|0.35|SSRM| SSR Mining Inc| 4.93%| Latin America|Equity|Leveraged Bonds||AGT|6|9.ASSET|Equity|7.1|0.33|ANDINA.B| Embotelladora Andina SA Pfd B| 4.59%| Latin America|Equity|Leveraged Bonds||AGT|6|10.ASSET|Equity|7.1|0.3|BMA| Banco Macro SA Sponsored ADR Class B| 4.26%| Latin America|Equity|Leveraged Bonds||AGT|6|11.ASSET|Equity|7.1|0.3|CENCOSUD| Cencosud S.A.| 4.24%| Latin America|Equity|Leveraged Bonds||AGT|6|12.ASSET|Equity|7.1|0.3|DESP| Despegar.com, Corp.| 4.16%| Latin America|Equity|Leveraged Bonds||AGT|6|13.ASSET|Equity|7.1|0.28|CCU| Compania Cervecerias Unidas S.A.| 3.90%| Latin America|Equity|Leveraged Bonds||AGT|6|14.ASSET|Equity|7.1|0.24|TEO| Telecom Argentina SA Sponsored ADR| 3.33%| Latin America|Equity|Leveraged Bonds||AGT|6|15.ASSET|Equity|7.1|0.2|TGS| Transportadora de Gas del Sur SA Sponsored ADR Class B RegS| 2.77%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|1.ASSET|Equity|7.1|0.3|2347| Synnex Technology International Corp.| 4.25%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|2.ASSET|Equity|7.1|0.25|3702| WPG Holding Co Ltd| 3.54%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|3.ASSET|Equity|7.1|0.23|3231| Wistron Corporation| 3.21%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|4.ASSET|Equity|7.1|0.22|4938| Pegatron Corporation| 3.15%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|5.ASSET|Equity|7.1|0.22|2356| Inventec Corporation| 3.03%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|6.ASSET|Equity|7.1|0.2|500325| Reliance Industries Limited| 2.84%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|7.ASSET|Equity|7.1|0.2|500209| Infosys Limited| 2.80%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|8.ASSET|Equity|7.1|0.18|532540| Tata Consultancy Services Limited| 2.57%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|9.ASSET|Equity|7.1|0.13|586| China Conch Venture Holdings Ltd.| 1.85%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|10.ASSET|Equity|7.1|0.12|1326| Formosa Chemicals & Fibre Corporation| 1.73%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|11.ASSET|Equity|7.1|0.11|KIO| Kumba Iron Ore Limited| 1.53%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|12.ASSET|Equity|7.1|0.1|500331| Pidilite Industries Limited| 1.39%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|13.ASSET|Equity|7.1|0.1|1102| Asia Cement Corporation| 1.35%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|14.ASSET|Equity|7.1|0.09|151| Want Want China Holdings Limited| 1.28%| Emerging Markets|Equity|Emerging Markets Equities||RNEM|6|15.ASSET|Equity|7.1|0.09|VALE3| Vale S.A.| 1.26%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|1.ASSET|Equity|6.7|0.68|500325| Reliance Industries Limited| 10.17%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|2.ASSET|Equity|6.7|0.62|500209| Infosys Limited| 9.30%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|3.ASSET|Equity|6.7|0.43|500010| Housing Development Finance Corporation Limited| 6.36%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|4.ASSET|Equity|6.7|0.38|532174| ICICI Bank Limited| 5.61%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|5.ASSET|Equity|6.7|0.2|500247| Kotak Mahindra Bank Limited| 3.00%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|6.ASSET|Equity|6.7|0.19|500696| Hindustan Unilever Limited| 2.86%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|7.ASSET|Equity|6.7|0.18|500034| Bajaj Finance Limited| 2.72%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|8.ASSET|Equity|6.7|0.16|532215| Axis Bank Limited| 2.39%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|9.ASSET|Equity|6.7|0.16|532454| Bharti Airtel Limited| 2.36%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|10.ASSET|Equity|6.7|0.14|500820| Asian Paints Ltd.| 2.05%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|11.ASSET|Equity|6.7|0.12|532281| HCL Technologies Limited| 1.85%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|12.ASSET|Equity|6.7|0.1|500114| Titan Company Limited| 1.55%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|13.ASSET|Equity|6.7|0.1|524715| Sun Pharmaceutical Industries Limited| 1.50%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|14.ASSET|Equity|6.7|0.1|532500| Maruti Suzuki India Limited| 1.48%| Emerging Asia Pacific|Equity|Asia Pacific Equities||IXSE|6|15.ASSET|Equity|6.7|0.09|500470| Tata Steel Limited| 1.36%| North America|Equity|Inverse Equities|Financials|SEF|6|1.ASSET|Equity|8.2|7.8|N/A| U.S. Dollar| 95.07%| North America|Equity|Inverse Equities|Financials|SEF|6|2.ASSET|Equity|8.2|0.4|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 4.93%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|1.ASSET|Equity|7.1|0.31|BHP| BHP Group Ltd| 4.41%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|2.ASSET|Equity|7.1|0.3|ALV| Allianz SE| 4.25%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|3.ASSET|Equity|7.1|0.3|NOVN| Novartis AG| 4.16%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|4.ASSET|Equity|7.1|0.28|SAN| Sanofi| 3.96%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|5.ASSET|Equity|7.1|0.26|RIO| Rio Tinto plc| 3.64%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|6.ASSET|Equity|7.1|0.24|ZURN| Zurich Insurance Group Ltd| 3.41%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|7.ASSET|Equity|7.1|0.22|BATS| British American Tobacco p.l.c.| 3.11%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|8.ASSET|Equity|7.1|0.19|ULVR| Unilever PLC| 2.65%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|9.ASSET|Equity|7.1|0.15|RIO| Rio Tinto Limited| 2.05%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|10.ASSET|Equity|7.1|0.13|GSK| GlaxoSmithKline plc| 1.85%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|11.ASSET|Equity|7.1|0.12|BAS| BASF SE| 1.75%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|12.ASSET|Equity|7.1|0.12|SREN| Swiss Re AG| 1.66%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|13.ASSET|Equity|7.1|0.12|8031| Mitsui & Co.,Ltd| 1.65%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|14.ASSET|Equity|7.1|0.1|SRG| Snam S.p.A.| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||VWID|6|15.ASSET|Equity|7.1|0.1|9434| SoftBank Corp.| 1.46%| Emerging Markets|Bond|Emerging Markets Bonds|Emerging Markets|EMBH|6|1.ASSET|Bond|5.4|5.45|EMB| iShares JP Morgan USD Emerging Markets Bond ETF| 100.86%| |Equity|Inverse Equities|Consumer Staples|EMTY|6|1.ASSET|Equity|8.6|8.6|N/A| U.S. Dollar| 100.00%| North America|Equity|Health & Biotech Equities|Healthcare|IBBJ|6|1.ASSET|Equity|7.5|7.5|FGXXX| First American Funds Inc X Government Obligations Fund| 99.95%| North America|Equity|Health & Biotech Equities|Healthcare|IBBJ|6|2.ASSET|Equity|7.5|0.01|N/A| EQUITY OTHER| 0.09%| North America|Equity|Health & Biotech Equities|Healthcare|IBBJ|6|3.ASSET|Equity|7.5|-0|N/A| U.S. Dollar| -0.04%| North America|Equity|Large Cap Blend Equities||LVOL|6|1.ASSET|Equity|7.5|0.38|AAPL| Apple Inc.| 5.01%| North America|Equity|Large Cap Blend Equities||LVOL|6|2.ASSET|Equity|7.5|0.33|GOOGL| Alphabet Inc. Class A| 4.35%| North America|Equity|Large Cap Blend Equities||LVOL|6|3.ASSET|Equity|7.5|0.32|MSFT| Microsoft Corporation| 4.22%| North America|Equity|Large Cap Blend Equities||LVOL|6|4.ASSET|Equity|7.5|0.17|V| Visa Inc. Class A| 2.24%| North America|Equity|Large Cap Blend Equities||LVOL|6|5.ASSET|Equity|7.5|0.15|BMY| Bristol-Myers Squibb Company| 2.04%| North America|Equity|Large Cap Blend Equities||LVOL|6|6.ASSET|Equity|7.5|0.15|KO| Coca-Cola Company| 1.98%| North America|Equity|Large Cap Blend Equities||LVOL|6|7.ASSET|Equity|7.5|0.14|CSCO| Cisco Systems, Inc.| 1.92%| North America|Equity|Large Cap Blend Equities||LVOL|6|8.ASSET|Equity|7.5|0.14|BRK.B| Berkshire Hathaway Inc. Class B| 1.89%| North America|Equity|Large Cap Blend Equities||LVOL|6|9.ASSET|Equity|7.5|0.14|ACN| Accenture Plc Class A| 1.88%| North America|Equity|Large Cap Blend Equities||LVOL|6|10.ASSET|Equity|7.5|0.14|MMC| Marsh & McLennan Companies, Inc.| 1.88%| North America|Equity|Large Cap Blend Equities||LVOL|6|11.ASSET|Equity|7.5|0.14|JNJ| Johnson & Johnson| 1.83%| North America|Equity|Large Cap Blend Equities||LVOL|6|12.ASSET|Equity|7.5|0.13|WM| Waste Management, Inc.| 1.75%| North America|Equity|Large Cap Blend Equities||LVOL|6|13.ASSET|Equity|7.5|0.13|COST| Costco Wholesale Corporation| 1.71%| North America|Equity|Large Cap Blend Equities||LVOL|6|14.ASSET|Equity|7.5|0.13|JPM| JPMorgan Chase & Co.| 1.70%| North America|Equity|Large Cap Blend Equities||LVOL|6|15.ASSET|Equity|7.5|0.12|SHW| Sherwin-Williams Company| 1.57%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|1.ASSET|Equity|8|0.42|N/A| U.S. Dollar| 5.26%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|2.ASSET|Equity|8|0.22|ALC| Alcon AG| 2.70%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|3.ASSET|Equity|8|0.2|SGEN| Seagen, Inc.| 2.48%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|4.ASSET|Equity|8|0.18|ABMD| ABIOMED, Inc.| 2.23%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|5.ASSET|Equity|8|0.17|TFX| Teleflex Incorporated| 2.17%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|6.ASSET|Equity|8|0.17|VRTX| Vertex Pharmaceuticals Incorporated| 2.12%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|7.ASSET|Equity|8|0.15|RMD| ResMed Inc.| 1.93%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|8.ASSET|Equity|8|0.15|ABC| AmerisourceBergen Corporation| 1.92%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|9.ASSET|Equity|8|0.14|EW| Edwards Lifesciences Corporation| 1.80%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|10.ASSET|Equity|8|0.14|PODD| Insulet Corporation| 1.78%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|11.ASSET|Equity|8|0.14|COO| Cooper Companies, Inc.| 1.77%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|12.ASSET|Equity|8|0.14|ISRG| Intuitive Surgical, Inc.| 1.71%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|13.ASSET|Equity|8|0.13|ZBH| Zimmer Biomet Holdings, Inc.| 1.65%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|14.ASSET|Equity|8|0.13|MCK| McKesson Corporation| 1.65%| Global|Equity|Health & Biotech Equities|Healthcare|BMED|6|15.ASSET|Equity|8|0.13|HSIC| Henry Schein, Inc.| 1.62%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|1.ASSET|Equity|6.9|0.38|AZN| AstraZeneca PLC| 5.57%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|2.ASSET|Equity|6.9|0.38|UNH| UnitedHealth Group Incorporated| 5.56%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|3.ASSET|Equity|6.9|0.38|NOVN| Novartis AG| 5.46%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|4.ASSET|Equity|6.9|0.37|AAPL| Apple Inc.| 5.35%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|5.ASSET|Equity|6.9|0.36|JNJ| Johnson & Johnson| 5.25%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|6.ASSET|Equity|6.9|0.34|LLY| Eli Lilly and Company| 4.92%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|7.ASSET|Equity|6.9|0.34|MRK| Merck & Co., Inc.| 4.88%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|8.ASSET|Equity|6.9|0.33|MDT| Medtronic Plc| 4.82%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|9.ASSET|Equity|6.9|0.33|ABT| Abbott Laboratories| 4.82%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|10.ASSET|Equity|6.9|0.33|NOVO.B| Novo Nordisk A/S Class B| 4.81%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|11.ASSET|Equity|6.9|0.33|GOOGL| Alphabet Inc. Class A| 4.77%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|12.ASSET|Equity|6.9|0.28|NKE| NIKE, Inc. Class B| 4.07%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|13.ASSET|Equity|6.9|0.17|BMY| Bristol-Myers Squibb Company| 2.48%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|14.ASSET|Equity|6.9|0.13|SAN| Sanofi| 1.83%| Global|Equity|Health & Biotech Equities|Healthcare|HART|6|15.ASSET|Equity|6.9|0.13|ANTM| Anthem, Inc.| 1.82%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|1.ASSET|Equity|6.2|0.5|2899| Zijin Mining Group Co., Ltd. Class H| 8.09%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|2.ASSET|Equity|6.2|0.44|914| Anhui Conch Cement Company Limited Class H| 7.02%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|3.ASSET|Equity|6.2|0.36|3323| China National Building Material Co. Ltd. Class H| 5.85%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|4.ASSET|Equity|6.2|0.3|1772| Ganfeng Lithium Co., Ltd. Class H| 4.85%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|5.ASSET|Equity|6.2|0.23|1378| China Hongqiao Group Ltd.| 3.71%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|6.ASSET|Equity|6.2|0.2|2600| Aluminum Corporation of China Limited Class H| 3.29%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|7.ASSET|Equity|6.2|0.2|600309| Wanhua Chemical Group Co. Ltd. Class A| 3.18%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|8.ASSET|Equity|6.2|0.15|1313| China Resources Cement Holdings Limited| 2.41%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|9.ASSET|Equity|6.2|0.15|002812| Yunnan Energy New Material Co., Ltd. Class A| 2.38%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|10.ASSET|Equity|6.2|0.15|3993| China Molybdenum Co., Ltd. Class H| 2.38%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|11.ASSET|Equity|6.2|0.15|358| Jiangxi Copper Company Limited Class H| 2.37%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|12.ASSET|Equity|6.2|0.12|189| Dongyue Group Limited| 1.95%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|13.ASSET|Equity|6.2|0.12|002493| Rongsheng Petrochemical Co., Ltd. Class A| 1.93%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|14.ASSET|Equity|6.2|0.12|002460| Ganfeng Lithium Co., Ltd. Class A| 1.92%| Emerging Asia Pacific|Equity|China Equities|Materials|CHIM|6|15.ASSET|Equity|6.2|0.12|600111| China Northern Rare Earth (Group) High-Tech Co., Ltd. Class A| 1.92%| Global|Commodity|Leveraged Commodities||DZZ|6|1.ASSET|Commodity|4.6|4.6|N/A| Gold| 100.00%| North America|Equity|n/a||IVLC|6|1.ASSET|Equity|7.6|0.51|MSFT| Microsoft Corporation| 6.76%| North America|Equity|n/a||IVLC|6|2.ASSET|Equity|7.6|0.48|AAPL| Apple Inc.| 6.26%| North America|Equity|n/a||IVLC|6|3.ASSET|Equity|7.6|0.37|GOOGL| Alphabet Inc. Class A| 4.83%| North America|Equity|n/a||IVLC|6|4.ASSET|Equity|7.6|0.36|AMZN| Amazon.com, Inc.| 4.76%| North America|Equity|n/a||IVLC|6|5.ASSET|Equity|7.6|0.26|JPM| JPMorgan Chase & Co.| 3.40%| North America|Equity|n/a||IVLC|6|6.ASSET|Equity|7.6|0.25|UNH| UnitedHealth Group Incorporated| 3.33%| North America|Equity|n/a||IVLC|6|7.ASSET|Equity|7.6|0.18|PLD| Prologis, Inc.| 2.36%| North America|Equity|n/a||IVLC|6|8.ASSET|Equity|7.6|0.18|QCOM| Qualcomm Inc| 2.33%| North America|Equity|n/a||IVLC|6|9.ASSET|Equity|7.6|0.16|UPS| United Parcel Service, Inc. Class B| 2.17%| North America|Equity|n/a||IVLC|6|10.ASSET|Equity|7.6|0.16|HD| Home Depot, Inc.| 2.04%| North America|Equity|n/a||IVLC|6|11.ASSET|Equity|7.6|0.15|HCA| HCA Healthcare Inc| 2.02%| North America|Equity|n/a||IVLC|6|12.ASSET|Equity|7.6|0.15|CRM| salesforce.com, inc.| 1.92%| North America|Equity|n/a||IVLC|6|13.ASSET|Equity|7.6|0.15|ACN| Accenture Plc Class A| 1.91%| North America|Equity|n/a||IVLC|6|14.ASSET|Equity|7.6|0.14|AMAT| Applied Materials, Inc.| 1.90%| North America|Equity|n/a||IVLC|6|15.ASSET|Equity|7.6|0.14|PG| Procter & Gamble Company| 1.79%| North America|Equity|Financials Equities|Financials|IEFN|6|1.ASSET|Equity|9.8|0.45|BAC| Bank of America Corp| 4.57%| North America|Equity|Financials Equities|Financials|IEFN|6|2.ASSET|Equity|9.8|0.44|WFC| Wells Fargo & Company| 4.54%| North America|Equity|Financials Equities|Financials|IEFN|6|3.ASSET|Equity|9.8|0.43|JPM| JPMorgan Chase & Co.| 4.34%| North America|Equity|Financials Equities|Financials|IEFN|6|4.ASSET|Equity|9.8|0.32|BRK.B| Berkshire Hathaway Inc. Class B| 3.22%| North America|Equity|Financials Equities|Financials|IEFN|6|5.ASSET|Equity|9.8|0.29|SCHW| Charles Schwab Corporation| 2.93%| North America|Equity|Financials Equities|Financials|IEFN|6|6.ASSET|Equity|9.8|0.28|MS| Morgan Stanley| 2.82%| North America|Equity|Financials Equities|Financials|IEFN|6|7.ASSET|Equity|9.8|0.27|GS| Goldman Sachs Group, Inc.| 2.71%| North America|Equity|Financials Equities|Financials|IEFN|6|8.ASSET|Equity|9.8|0.24|C| Citigroup Inc.| 2.42%| North America|Equity|Financials Equities|Financials|IEFN|6|9.ASSET|Equity|9.8|0.22|UNH| UnitedHealth Group Incorporated| 2.23%| North America|Equity|Financials Equities|Financials|IEFN|6|10.ASSET|Equity|9.8|0.21|TFC| Truist Financial Corporation| 2.18%| North America|Equity|Financials Equities|Financials|IEFN|6|11.ASSET|Equity|9.8|0.21|AXP| American Express Company| 2.13%| North America|Equity|Financials Equities|Financials|IEFN|6|12.ASSET|Equity|9.8|0.2|USB| U.S. Bancorp| 2.04%| North America|Equity|Financials Equities|Financials|IEFN|6|13.ASSET|Equity|9.8|0.16|PGR| Progressive Corporation| 1.66%| North America|Equity|Financials Equities|Financials|IEFN|6|14.ASSET|Equity|9.8|0.15|MMC| Marsh & McLennan Companies, Inc.| 1.53%| North America|Equity|Financials Equities|Financials|IEFN|6|15.ASSET|Equity|9.8|0.15|COF| Capital One Financial Corporation| 1.49%| North America|Equity|Volatility Hedged Equity||DSJA|6|1.ASSET|Equity|4.8|4.76|N/A| OPTIONS| 99.21%| North America|Equity|Volatility Hedged Equity||DSJA|6|2.ASSET|Equity|4.8|0.04|N/A| U.S. Dollar| 0.79%| North America|Equity|Large Cap Growth Equities||VIRS|6|1.ASSET|Equity|6|0.35|MRK| Merck & Co., Inc.| 5.89%| North America|Equity|Large Cap Growth Equities||VIRS|6|2.ASSET|Equity|6|0.34|JNJ| Johnson & Johnson| 5.59%| North America|Equity|Large Cap Growth Equities||VIRS|6|3.ASSET|Equity|6|0.32|WMT| Walmart Inc.| 5.39%| North America|Equity|Large Cap Growth Equities||VIRS|6|4.ASSET|Equity|6|0.3|ABT| Abbott Laboratories| 5.00%| North America|Equity|Large Cap Growth Equities||VIRS|6|5.ASSET|Equity|6|0.3|AMZN| Amazon.com, Inc.| 4.96%| North America|Equity|Large Cap Growth Equities||VIRS|6|6.ASSET|Equity|6|0.29|LOW| Lowe\'s Companies, Inc.| 4.88%| North America|Equity|Large Cap Growth Equities||VIRS|6|7.ASSET|Equity|6|0.29|TMO| Thermo Fisher Scientific Inc.| 4.84%| North America|Equity|Large Cap Growth Equities||VIRS|6|8.ASSET|Equity|6|0.29|DHR| Danaher Corporation| 4.83%| North America|Equity|Large Cap Growth Equities||VIRS|6|9.ASSET|Equity|6|0.29|CVS| CVS Health Corporation| 4.76%| North America|Equity|Large Cap Growth Equities||VIRS|6|10.ASSET|Equity|6|0.27|NVDA| NVIDIA Corporation| 4.48%| North America|Equity|Large Cap Growth Equities||VIRS|6|11.ASSET|Equity|6|0.26|SNY| Sanofi SA Sponsored ADR| 4.41%| North America|Equity|Large Cap Growth Equities||VIRS|6|12.ASSET|Equity|6|0.26|HD| Home Depot, Inc.| 4.40%| North America|Equity|Large Cap Growth Equities||VIRS|6|13.ASSET|Equity|6|0.21|NFLX| Netflix, Inc.| 3.47%| North America|Equity|Large Cap Growth Equities||VIRS|6|14.ASSET|Equity|6|0.2|GSK| GlaxoSmithKline plc Sponsored ADR| 3.34%| North America|Equity|Large Cap Growth Equities||VIRS|6|15.ASSET|Equity|6|0.18|MMM| 3M Company| 2.93%| Global|Equity|n/a||KLNE|6|1.ASSET|Equity|6.5|4.98|ICLN| iShares Global Clean Energy ETF| 76.67%| North America|Equity|All Cap Equities||SLT|6|1.ASSET|Equity|3.9|3.9|N/A| U.S. Dollar| 100.00%| North America|Equity|All Cap Equities||SLT|6|2.ASSET|Equity|3.9|0|AMD| Advanced Micro Devices, Inc.| 0.00%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|1.ASSET|Bond|7.2|0.06|N/A| HSBC USA Inc. 3.5% 23-JUN-2024| 0.86%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|2.ASSET|Bond|7.2|0.05|N/A| Bank of America Corporation 3.55% 05-MAR-2024| 0.71%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|3.ASSET|Bond|7.2|0.04|N/A| Bank of America Corporation 0.81% 24-OCT-2024| 0.55%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|4.ASSET|Bond|7.2|0.04|N/A| JPMorgan Chase & Co. 2.083% 22-APR-2026| 0.55%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|5.ASSET|Bond|7.2|0.04|N/A| U.S. Dollar| 0.54%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|6.ASSET|Bond|7.2|0.04|N/A| Barclays Plc 2.667% 10-MAR-2032| 0.52%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|7.ASSET|Bond|7.2|0.04|N/A| Citigroup Inc. 4.45% 29-SEP-2027| 0.52%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|8.ASSET|Bond|7.2|0.03|N/A| Telefonica Europe BV 8.25% 15-SEP-2030| 0.47%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|9.ASSET|Bond|7.2|0.03|N/A| Lloyds Banking Group plc 1.627% 11-MAY-2027| 0.46%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|10.ASSET|Bond|7.2|0.03|N/A| Bank of New York Mellon Corporation 3.95% 18-NOV-2025| 0.45%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|11.ASSET|Bond|7.2|0.03|N/A| Ally Financial Inc. 4.625% 30-MAR-2025| 0.44%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|12.ASSET|Bond|7.2|0.03|N/A| Sumitomo Mitsui Financial Group, Inc. 3.364% 12-JUL-2027| 0.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|13.ASSET|Bond|7.2|0.03|N/A| Dr Pepper Snapple Group, Inc. 2.55% 15-SEP-2026| 0.42%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|14.ASSET|Bond|7.2|0.03|N/A| American Honda Finance Corp. 2.15% 10-SEP-2024| 0.42%| North America|Bond|Corporate Bonds|Investment Grade Corporate|ESCR|6|15.ASSET|Bond|7.2|0.03|N/A| Royal Bank of Canada 2.25% 01-NOV-2024| 0.42%| North America|Equity|Small Cap Blend Equities||OVS|6|1.ASSET|Equity|7.8|7.79|IJR| iShares Core S&P Small Cap ETF| 99.86%| North America|Equity|Small Cap Blend Equities||OVS|6|2.ASSET|Equity|7.8|0.11|FGXXX| First American Funds Inc X Government Obligations Fund| 1.47%| North America|Equity|Small Cap Blend Equities||OVS|6|3.ASSET|Equity|7.8|-0|N/A| OPTIONS| -0.02%| North America|Equity|Small Cap Blend Equities||OVS|6|4.ASSET|Equity|7.8|-0.1|N/A| U.S. Dollar| -1.31%| North America|Equity|Large Cap Blend Equities||DEMZ|6|1.ASSET|Equity|19.1|1.25|MTB| M&T Bank Corporation| 6.57%| North America|Equity|Large Cap Blend Equities||DEMZ|6|2.ASSET|Equity|19.1|1.03|COST| Costco Wholesale Corporation| 5.39%| North America|Equity|Large Cap Blend Equities||DEMZ|6|3.ASSET|Equity|19.1|0.99|AAPL| Apple Inc.| 5.16%| North America|Equity|Large Cap Blend Equities||DEMZ|6|4.ASSET|Equity|19.1|0.87|APH| Amphenol Corporation Class A| 4.54%| North America|Equity|Large Cap Blend Equities||DEMZ|6|5.ASSET|Equity|19.1|0.74|NVDA| NVIDIA Corporation| 3.90%| North America|Equity|Large Cap Blend Equities||DEMZ|6|6.ASSET|Equity|19.1|0.73|MCO| Moody\'s Corporation| 3.82%| North America|Equity|Large Cap Blend Equities||DEMZ|6|7.ASSET|Equity|19.1|0.69|ADBE| Adobe Inc.| 3.61%| North America|Equity|Large Cap Blend Equities||DEMZ|6|8.ASSET|Equity|19.1|0.68|IBM| International Business Machines Corporation| 3.57%| North America|Equity|Large Cap Blend Equities||DEMZ|6|9.ASSET|Equity|19.1|0.64|DHR| Danaher Corporation| 3.34%| North America|Equity|Large Cap Blend Equities||DEMZ|6|10.ASSET|Equity|19.1|0.56|DIS| Walt Disney Company| 2.94%| North America|Equity|Large Cap Blend Equities||DEMZ|6|11.ASSET|Equity|19.1|0.54|SBUX| Starbucks Corporation| 2.85%| North America|Equity|Large Cap Blend Equities||DEMZ|6|12.ASSET|Equity|19.1|0.54|PLD| Prologis, Inc.| 2.83%| North America|Equity|Large Cap Blend Equities||DEMZ|6|13.ASSET|Equity|19.1|0.53|PGR| Progressive Corporation| 2.77%| North America|Equity|Large Cap Blend Equities||DEMZ|6|14.ASSET|Equity|19.1|0.49|ED| Consolidated Edison, Inc.| 2.58%| North America|Equity|Large Cap Blend Equities||DEMZ|6|15.ASSET|Equity|19.1|0.49|AVY| Avery Dennison Corporation| 2.56%| North America|Equity|Small Cap Blend Equities||PLTL|6|1.ASSET|Equity|6.3|0.05|ONB| Old National Bancorp| 0.78%| North America|Equity|Small Cap Blend Equities||PLTL|6|2.ASSET|Equity|6.3|0.04|COOP| Mr. Cooper Group, Inc.| 0.67%| North America|Equity|Small Cap Blend Equities||PLTL|6|3.ASSET|Equity|6.3|0.04|MATX| Matson, Inc.| 0.64%| North America|Equity|Small Cap Blend Equities||PLTL|6|4.ASSET|Equity|6.3|0.04|M| Macy\'s Inc| 0.60%| North America|Equity|Small Cap Blend Equities||PLTL|6|5.ASSET|Equity|6.3|0.04|AIT| Applied Industrial Technologies, Inc.| 0.60%| North America|Equity|Small Cap Blend Equities||PLTL|6|6.ASSET|Equity|6.3|0.04|MLI| Mueller Industries, Inc.| 0.58%| North America|Equity|Small Cap Blend Equities||PLTL|6|7.ASSET|Equity|6.3|0.04|NSIT| Insight Enterprises, Inc.| 0.57%| North America|Equity|Small Cap Blend Equities||PLTL|6|8.ASSET|Equity|6.3|0.04|HI| Hillenbrand, Inc.| 0.56%| North America|Equity|Small Cap Blend Equities||PLTL|6|9.ASSET|Equity|6.3|0.04|ISBC| Investors Bancorp Inc| 0.56%| North America|Equity|Small Cap Blend Equities||PLTL|6|10.ASSET|Equity|6.3|0.04|UCBI| United Community Banks, Inc.| 0.56%| North America|Equity|Small Cap Blend Equities||PLTL|6|11.ASSET|Equity|6.3|0.03|UFPI| UFP Industries, Inc.| 0.54%| North America|Equity|Small Cap Blend Equities||PLTL|6|12.ASSET|Equity|6.3|0.03|BKU| BankUnited, Inc.| 0.53%| North America|Equity|Small Cap Blend Equities||PLTL|6|13.ASSET|Equity|6.3|0.03|KFY| Korn Ferry| 0.52%| North America|Equity|Small Cap Blend Equities||PLTL|6|14.ASSET|Equity|6.3|0.03|ABG| Asbury Automotive Group, Inc.| 0.52%| North America|Equity|Small Cap Blend Equities||PLTL|6|15.ASSET|Equity|6.3|0.03|AX| Axos Financial, Inc.| 0.51%| North America|Equity|Large Cap Blend Equities||LSLT|6|1.ASSET|Equity|4.8|4.8|N/A| U.S. Dollar| 100.00%| North America|Equity|All Cap Equities||NVQ|6|1.ASSET|Equity|6.6|0.51|CVS| CVS Health Corporation| 7.74%| North America|Equity|All Cap Equities||NVQ|6|2.ASSET|Equity|6.6|0.37|CI| Cigna Corporation| 5.56%| North America|Equity|All Cap Equities||NVQ|6|3.ASSET|Equity|6.6|0.31|EOG| EOG Resources, Inc.| 4.68%| North America|Equity|All Cap Equities||NVQ|6|4.ASSET|Equity|6.6|0.3|TFC| Truist Financial Corporation| 4.58%| North America|Equity|All Cap Equities||NVQ|6|5.ASSET|Equity|6.6|0.28|COF| Capital One Financial Corporation| 4.20%| North America|Equity|All Cap Equities||NVQ|6|6.ASSET|Equity|6.6|0.26|VMW| VMware, Inc. Class A| 3.98%| North America|Equity|All Cap Equities||NVQ|6|7.ASSET|Equity|6.6|0.24|CNC| Centene Corporation| 3.61%| North America|Equity|All Cap Equities||NVQ|6|8.ASSET|Equity|6.6|0.21|ADM| Archer-Daniels-Midland Company| 3.12%| North America|Equity|All Cap Equities||NVQ|6|9.ASSET|Equity|6.6|0.19|WBA| Walgreens Boots Alliance Inc| 2.85%| North America|Equity|All Cap Equities||NVQ|6|10.ASSET|Equity|6.6|0.18|KR| Kroger Co.| 2.76%| North America|Equity|All Cap Equities||NVQ|6|11.ASSET|Equity|6.6|0.15|VLO| Valero Energy Corporation| 2.33%| North America|Equity|All Cap Equities||NVQ|6|12.ASSET|Equity|6.6|0.15|RS| Reliance Steel & Aluminum Co.| 2.25%| North America|Equity|All Cap Equities||NVQ|6|13.ASSET|Equity|6.6|0.15|LEN| Lennar Corporation Class A| 2.20%| North America|Equity|All Cap Equities||NVQ|6|14.ASSET|Equity|6.6|0.13|TSN| Tyson Foods, Inc. Class A| 2.02%| North America|Equity|All Cap Equities||NVQ|6|15.ASSET|Equity|6.6|0.1|PARAA| Paramount Global Class A| 1.57%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|1.ASSET|Equity|5.8|0.33|500209| Infosys Limited| 5.71%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|2.ASSET|Equity|5.8|0.3|1120| Al Rajhi Bank| 5.25%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|3.ASSET|Equity|5.8|0.28|VALE3| Vale S.A.| 4.84%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|4.ASSET|Equity|5.8|0.18|532174| ICICI Bank Limited| 3.14%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|5.ASSET|Equity|5.8|0.15|005935| Samsung Electronics Co Ltd Pfd Non-Voting| 2.66%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|6.ASSET|Equity|5.8|0.13|1180| Saudi National Bank| 2.18%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|7.ASSET|Equity|5.8|0.12|NIO| NIO Inc. Sponsored ADR Class A| 2.15%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|8.ASSET|Equity|5.8|0.11|FAB| First Abu Dhabi Bank P.J.S.C.| 1.96%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|9.ASSET|Equity|5.8|0.11|2331| Li Ning Company Limited| 1.87%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|10.ASSET|Equity|5.8|0.1|035720| Kakao Corp.| 1.71%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|11.ASSET|Equity|5.8|0.09|1211| BYD Company Limited Class H| 1.57%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|12.ASSET|Equity|5.8|0.09|2603| Evergreen Marine Corp. (Taiwan) Ltd.| 1.57%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|13.ASSET|Equity|5.8|0.09|2303| United Microelectronics Corp.| 1.56%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|14.ASSET|Equity|5.8|0.09|2010| Saudi Basic Industries Corp.| 1.52%| Emerging Markets|Equity|Emerging Markets Equities||EEMO|6|15.ASSET|Equity|5.8|0.08|500470| Tata Steel Limited| 1.41%| North America|Equity|n/a||MARZ|6|1.ASSET|Equity|4.6|4.52|N/A| United States Treasury Bills 0.0% 23-FEB-2023| 98.20%| North America|Equity|n/a||MARZ|6|2.ASSET|Equity|4.6|4.15|FXFXX| First American Funds Inc X Treasury Obligations Fund| 90.14%| North America|Equity|n/a||MARZ|6|3.ASSET|Equity|4.6|0.07|N/A| OPTIONS| 1.48%| North America|Equity|n/a||MARZ|6|4.ASSET|Equity|4.6|-4.13|N/A| U.S. Dollar| -89.82%| |Commodity|Precious Metals||JJP|6|1.ASSET|Commodity|7.1|5.11|N/A| Gold| 71.94%| |Commodity|Precious Metals||JJP|6|2.ASSET|Commodity|7.1|1.99|N/A| Silver| 28.06%| |Alternatives|Commodities||FUT|6|1.ASSET|Alternatives|6.2|6.2|N/A| Cash Component| 100.00%| North America|Equity|Volatility Hedged Equity||OCTZ|6|1.ASSET|Equity|6.9|6.86|N/A| United States Treasury Bills 0.0% 31-MAR-2022| 99.49%| North America|Equity|Volatility Hedged Equity||OCTZ|6|2.ASSET|Equity|6.9|0.02|N/A| U.S. Dollar| 0.27%| North America|Equity|Volatility Hedged Equity||OCTZ|6|3.ASSET|Equity|6.9|0.01|FXFXX| First American Funds Inc X Treasury Obligations Fund| 0.17%| North America|Equity|Volatility Hedged Equity||OCTZ|6|4.ASSET|Equity|6.9|0|N/A| OPTIONS| 0.07%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|1.ASSET|Equity|9.3|0.86|ADM| Archer-Daniels-Midland Company| 9.22%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|2.ASSET|Equity|9.3|0.83|BG| Bunge Limited| 8.90%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|3.ASSET|Equity|9.3|0.8|TSN| Tyson Foods, Inc. Class A| 8.60%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|4.ASSET|Equity|9.3|0.69|SJM| J.M. Smucker Company| 7.39%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|5.ASSET|Equity|9.3|0.68|PEP| PepsiCo, Inc.| 7.36%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|6.ASSET|Equity|9.3|0.4|KO| Coca-Cola Company| 4.25%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|7.ASSET|Equity|9.3|0.39|HSY| Hershey Company| 4.19%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|8.ASSET|Equity|9.3|0.39|KHC| Kraft Heinz Company| 4.15%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|9.ASSET|Equity|9.3|0.38|CTVA| Corteva Inc| 4.07%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|10.ASSET|Equity|9.3|0.38|KDP| Keurig Dr Pepper Inc.| 4.06%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|11.ASSET|Equity|9.3|0.38|CAG| Conagra Brands, Inc.| 4.05%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|12.ASSET|Equity|9.3|0.38|MKC| McCormick & Company, Incorporated| 4.05%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|13.ASSET|Equity|9.3|0.37|CPB| Campbell Soup Company| 4.00%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|14.ASSET|Equity|9.3|0.36|MDLZ| Mondelez International, Inc. Class A| 3.92%| North America|Equity|Consumer Staples Equities|Consumer Staples|FTXG|6|15.ASSET|Equity|9.3|0.36|GIS| General Mills, Inc.| 3.90%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|1.ASSET|Bond|6.1|0.56|N/A| CORPORATE BOND| 9.13%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|2.ASSET|Bond|6.1|0.14|N/A| FIXED INCOME (UNCLASSFIED)| 2.37%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|3.ASSET|Bond|6.1|0.12|IJGXX| JPMorgan Trust II US Government Money Market Fund Institutional| 2.04%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|4.ASSET|Bond|6.1|0.07|N/A| Carnival Corporation 7.625% 01-MAR-2026| 1.19%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|5.ASSET|Bond|6.1|0.07|N/A| American Airlines, Inc. 11.75% 15-JUL-2025| 1.11%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|6.ASSET|Bond|6.1|0.06|N/A| Taseko Mines Limited 7.0% 15-FEB-2026| 1.02%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|7.ASSET|Bond|6.1|0.06|N/A| Applied Systems Inc Term Loan 19-Sep-2025| 0.99%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|8.ASSET|Bond|6.1|0.06|N/A| BWAY Holding Co., Inc. 7.25% 15-APR-2025| 0.98%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|9.ASSET|Bond|6.1|0.06|N/A| Icahn Enterprises L.P. 5.25% 15-MAY-2027| 0.92%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|10.ASSET|Bond|6.1|0.06|N/A| Twitter, Inc. 3.875% 15-DEC-2027| 0.92%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|11.ASSET|Bond|6.1|0.06|N/A| Akumin, Inc. 7.0% 01-NOV-2025| 0.91%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|12.ASSET|Bond|6.1|0.05|N/A| CSI Compressco LP 7.5% 01-APR-2025| 0.90%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|13.ASSET|Bond|6.1|0.05|N/A| Mileage Plus Holdings Llc Term Loan 20-Jun-2027| 0.87%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|14.ASSET|Bond|6.1|0.05|N/A| Ladder Capital Finance Holdings LLLP 4.25% 01-FEB-2027| 0.87%| Developed Markets|Bond|High Yield Bonds|Junk|BLHY|6|15.ASSET|Bond|6.1|0.05|N/A| Occidental Petroleum Corporation 6.125% 01-JAN-2031| 0.86%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|1.ASSET|Equity|6.2|0.11|NESN| Nestle S.A.| 1.75%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|2.ASSET|Equity|6.2|0.1|ROG| Roche Holding Ltd| 1.59%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|3.ASSET|Equity|6.2|0.08|ASML| ASML Holding NV| 1.33%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|4.ASSET|Equity|6.2|0.08|NOVO.B| Novo Nordisk A/S Class B| 1.23%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|5.ASSET|Equity|6.2|0.07|6861| Keyence Corporation| 1.06%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|6.ASSET|Equity|6.2|0.06|7203| Toyota Motor Corp.| 0.95%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|7.ASSET|Equity|6.2|0.06|NOVN| Novartis AG| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|8.ASSET|Equity|6.2|0.06|RY| Royal Bank of Canada| 0.89%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|9.ASSET|Equity|6.2|0.05|SAP| SAP SE| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|10.ASSET|Equity|6.2|0.05|TD| Toronto-Dominion Bank| 0.82%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|11.ASSET|Equity|6.2|0.05|MC| LVMH Moet Hennessy Louis Vuitton SE| 0.78%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|12.ASSET|Equity|6.2|0.05|7974| Nintendo Co., Ltd.| 0.74%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|13.ASSET|Equity|6.2|0.04|ULVR| Unilever PLC| 0.62%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|14.ASSET|Equity|6.2|0.04|6758| Sony Group Corporation| 0.62%| Developed Markets|Equity|Foreign Large Cap Equities||PDEV|6|15.ASSET|Equity|6.2|0.04|AZN| AstraZeneca PLC| 0.62%| Emerging Markets|Equity|Leveraged Equities||EEV|6|1.ASSET|Equity|7.3|6.99|N/A| U.S. Dollar| 95.76%| Emerging Markets|Equity|Leveraged Equities||EEV|6|2.ASSET|Equity|7.3|0.31|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 4.24%| North America|Equity|n/a||SMIG|6|1.ASSET|Equity|50.4|2.32|EVR| Evercore Inc Class A| 4.60%| North America|Equity|n/a||SMIG|6|2.ASSET|Equity|50.4|2.07|CSGS| CSG Systems International, Inc.| 4.11%| North America|Equity|n/a||SMIG|6|3.ASSET|Equity|50.4|1.81|DGX| Quest Diagnostics Incorporated| 3.59%| North America|Equity|n/a||SMIG|6|4.ASSET|Equity|50.4|1.8|DOX| Amdocs Limited| 3.57%| North America|Equity|n/a||SMIG|6|5.ASSET|Equity|50.4|1.59|HUBB| Hubbell Incorporated Class B| 3.15%| North America|Equity|n/a||SMIG|6|6.ASSET|Equity|50.4|1.57|SIMO| Silicon Motion Technology Corporation Sponsored ADR| 3.12%| North America|Equity|n/a||SMIG|6|7.ASSET|Equity|50.4|1.49|ADC| Agree Realty Corporation| 2.96%| North America|Equity|n/a||SMIG|6|8.ASSET|Equity|50.4|1.45|BR| Broadridge Financial Solutions, Inc.| 2.87%| North America|Equity|n/a||SMIG|6|9.ASSET|Equity|50.4|1.41|NTAP| NetApp, Inc.| 2.80%| North America|Equity|n/a||SMIG|6|10.ASSET|Equity|50.4|1.37|MDC| M.D.C. Holdings, Inc.| 2.72%| North America|Equity|n/a||SMIG|6|11.ASSET|Equity|50.4|1.32|AAP| Advance Auto Parts, Inc.| 2.62%| North America|Equity|n/a||SMIG|6|12.ASSET|Equity|50.4|1.31|WSO| Watsco, Inc.| 2.59%| North America|Equity|n/a||SMIG|6|13.ASSET|Equity|50.4|1.27|SNA| Snap-on Incorporated| 2.51%| North America|Equity|n/a||SMIG|6|14.ASSET|Equity|50.4|1.25|REYN| Reynolds Consumer Products Inc| 2.48%| North America|Equity|n/a||SMIG|6|15.ASSET|Equity|50.4|1.23|PAG| Penske Automotive Group, Inc.| 2.44%| North America|Equity|n/a||XJUN|6|1.ASSET|Equity|12|11.93|N/A| OPTIONS| 99.40%| North America|Equity|n/a||XJUN|6|2.ASSET|Equity|12|11.93|N/A| OPTIONS| 99.39%| North America|Equity|n/a||XJUN|6|3.ASSET|Equity|12|0.07|N/A| U.S. Dollar| 0.61%| North America|Equity|n/a||XJUN|6|4.ASSET|Equity|12|0.07|N/A| U.S. Dollar| 0.60%| North America|Alternatives|Long-Short||LBAY|6|1.ASSET|Alternatives|28.7|1.62|BG| Bunge Limited| 5.64%| North America|Alternatives|Long-Short||LBAY|6|2.ASSET|Alternatives|28.7|1.45|NEM| Newmont Corporation| 5.05%| North America|Alternatives|Long-Short||LBAY|6|3.ASSET|Alternatives|28.7|1.42|ABBV| AbbVie, Inc.| 4.94%| North America|Alternatives|Long-Short||LBAY|6|4.ASSET|Alternatives|28.7|1.4|XOM| Exxon Mobil Corporation| 4.87%| North America|Alternatives|Long-Short||LBAY|6|5.ASSET|Alternatives|28.7|1.32|HRB| H&R Block, Inc.| 4.61%| North America|Alternatives|Long-Short||LBAY|6|6.ASSET|Alternatives|28.7|1.31|N/A| U.S. Dollar| 4.56%| North America|Alternatives|Long-Short||LBAY|6|7.ASSET|Alternatives|28.7|1.31|ZBH| Zimmer Biomet Holdings, Inc.| 4.55%| North America|Alternatives|Long-Short||LBAY|6|8.ASSET|Alternatives|28.7|1.22|LHX| L3Harris Technologies Inc| 4.25%| North America|Alternatives|Long-Short||LBAY|6|9.ASSET|Alternatives|28.7|1.2|AGNCP| AGNC Investment Corp Depositary Shs Repr 1/1000th Cum Conv Red Perp Pfd Registered Shs Ser F| 4.18%| North America|Alternatives|Long-Short||LBAY|6|10.ASSET|Alternatives|28.7|1.18|NTR| Nutrien Ltd.| 4.11%| North America|Alternatives|Long-Short||LBAY|6|11.ASSET|Alternatives|28.7|1.18|ORI| Old Republic International Corporation| 4.10%| North America|Alternatives|Long-Short||LBAY|6|12.ASSET|Alternatives|28.7|1.13|BPOP| Popular, Inc.| 3.95%| North America|Alternatives|Long-Short||LBAY|6|13.ASSET|Alternatives|28.7|1.12|FIS| Fidelity National Information Services, Inc.| 3.91%| North America|Alternatives|Long-Short||LBAY|6|14.ASSET|Alternatives|28.7|1|MDT| Medtronic Plc| 3.49%| North America|Alternatives|Long-Short||LBAY|6|15.ASSET|Alternatives|28.7|0.99|ATVI| Activision Blizzard, Inc.| 3.46%| North America|Equity|n/a||WWOW|6|1.ASSET|Equity|5|0.16|ECOL| US Ecology, Inc.| 3.12%| North America|Equity|n/a||WWOW|6|2.ASSET|Equity|5|0.15|CARG| CarGurus, Inc. Class A| 2.96%| North America|Equity|n/a||WWOW|6|3.ASSET|Equity|5|0.14|BE| Bloom Energy Corporation Class A| 2.75%| North America|Equity|n/a||WWOW|6|4.ASSET|Equity|5|0.13|NET| Cloudflare Inc Class A| 2.59%| North America|Equity|n/a||WWOW|6|5.ASSET|Equity|5|0.13|SCHN| Schnitzer Steel Industries, Inc. Class A| 2.58%| North America|Equity|n/a||WWOW|6|6.ASSET|Equity|5|0.13|DDOG| Datadog Inc Class A| 2.50%| North America|Equity|n/a||WWOW|6|7.ASSET|Equity|5|0.12|ENPH| Enphase Energy, Inc.| 2.49%| North America|Equity|n/a||WWOW|6|8.ASSET|Equity|5|0.12|KAR| KAR Auction Services, Inc.| 2.38%| North America|Equity|n/a||WWOW|6|9.ASSET|Equity|5|0.12|CRWD| CrowdStrike Holdings, Inc. Class A| 2.34%| North America|Equity|n/a||WWOW|6|10.ASSET|Equity|5|0.11|SNAP| Snap, Inc. Class A| 2.22%| North America|Equity|n/a||WWOW|6|11.ASSET|Equity|5|0.11|NOW| ServiceNow, Inc.| 2.21%| North America|Equity|n/a||WWOW|6|12.ASSET|Equity|5|0.11|SPWR| SunPower Corporation| 2.14%| North America|Equity|n/a||WWOW|6|13.ASSET|Equity|5|0.11|AQUA| Evoqua Water Technologies Corp| 2.13%| North America|Equity|n/a||WWOW|6|14.ASSET|Equity|5|0.1|TEAM| Atlassian Corp. Plc Class A| 2.09%| North America|Equity|n/a||WWOW|6|15.ASSET|Equity|5|0.1|MELI| MercadoLibre, Inc.| 2.08%| North America|Equity|n/a||NSCS|6|1.ASSET|Equity|6.3|0.13|SAIA| Saia, Inc.| 2.14%| North America|Equity|n/a||NSCS|6|2.ASSET|Equity|6.3|0.11|CIVI| Civitas Resources, Inc.| 1.72%| North America|Equity|n/a||NSCS|6|3.ASSET|Equity|6.3|0.11|PDCE| PDC Energy, Inc.| 1.71%| North America|Equity|n/a||NSCS|6|4.ASSET|Equity|6.3|0.11|TNDM| Tandem Diabetes Care, Inc.| 1.71%| North America|Equity|n/a||NSCS|6|5.ASSET|Equity|6.3|0.11|PIPR| Piper Sandler Companies| 1.69%| North America|Equity|n/a||NSCS|6|6.ASSET|Equity|6.3|0.1|MTSI| MACOM Technology Solutions Holdings, Inc.| 1.63%| North America|Equity|n/a||NSCS|6|7.ASSET|Equity|6.3|0.1|WTFC| Wintrust Financial Corporation| 1.52%| North America|Equity|n/a||NSCS|6|8.ASSET|Equity|6.3|0.09|AIT| Applied Industrial Technologies, Inc.| 1.48%| North America|Equity|n/a||NSCS|6|9.ASSET|Equity|6.3|0.09|EVR| Evercore Inc Class A| 1.48%| North America|Equity|n/a||NSCS|6|10.ASSET|Equity|6.3|0.09|N/A| EQUITY OTHER| 1.47%| North America|Equity|n/a||NSCS|6|11.ASSET|Equity|6.3|0.09|AVNT| Avient Corporation| 1.46%| North America|Equity|n/a||NSCS|6|12.ASSET|Equity|6.3|0.09|SHYF| Shyft Group, Inc.| 1.44%| North America|Equity|n/a||NSCS|6|13.ASSET|Equity|6.3|0.09|SLAB| Silicon Laboratories Inc.| 1.43%| North America|Equity|n/a||NSCS|6|14.ASSET|Equity|6.3|0.09|THC| Tenet Healthcare Corporation| 1.43%| North America|Equity|n/a||NSCS|6|15.ASSET|Equity|6.3|0.09|BANR| Banner Corporation| 1.41%| Global|Equity|n/a||NDVG|6|1.ASSET|Equity|6.2|0.39|MSFT| Microsoft Corporation| 6.22%| Global|Equity|n/a||NDVG|6|2.ASSET|Equity|6.2|0.33|AAPL| Apple Inc.| 5.33%| Global|Equity|n/a||NDVG|6|3.ASSET|Equity|6.2|0.23|ACN| Accenture Plc Class A| 3.79%| Global|Equity|n/a||NDVG|6|4.ASSET|Equity|6.2|0.21|UNH| UnitedHealth Group Incorporated| 3.41%| Global|Equity|n/a||NDVG|6|5.ASSET|Equity|6.2|0.2|LOW| Lowe\'s Companies, Inc.| 3.20%| Global|Equity|n/a||NDVG|6|6.ASSET|Equity|6.2|0.19|MSI| Motorola Solutions, Inc.| 3.01%| Global|Equity|n/a||NDVG|6|7.ASSET|Equity|6.2|0.18|AVGO| Broadcom Inc.| 2.87%| Global|Equity|n/a||NDVG|6|8.ASSET|Equity|6.2|0.18|JPM| JPMorgan Chase & Co.| 2.85%| Global|Equity|n/a||NDVG|6|9.ASSET|Equity|6.2|0.17|TXN| Texas Instruments Incorporated| 2.78%| Global|Equity|n/a||NDVG|6|10.ASSET|Equity|6.2|0.17|LIN| Linde plc| 2.73%| Global|Equity|n/a||NDVG|6|11.ASSET|Equity|6.2|0.17|NEE| NextEra Energy, Inc.| 2.67%| Global|Equity|n/a||NDVG|6|12.ASSET|Equity|6.2|0.16|N/A| EQUITY OTHER| 2.66%| Global|Equity|n/a||NDVG|6|13.ASSET|Equity|6.2|0.16|UNP| Union Pacific Corporation| 2.55%| Global|Equity|n/a||NDVG|6|14.ASSET|Equity|6.2|0.16|AXP| American Express Company| 2.51%| Global|Equity|n/a||NDVG|6|15.ASSET|Equity|6.2|0.15|ABBV| AbbVie, Inc.| 2.42%| North America|Equity|All Cap Equities||BUL|6|1.ASSET|Equity|36.7|2.01|ORLY| O\'Reilly Automotive, Inc.| 5.48%| North America|Equity|All Cap Equities||BUL|6|2.ASSET|Equity|36.7|1.9|GOOGL| Alphabet Inc. Class A| 5.17%| North America|Equity|All Cap Equities||BUL|6|3.ASSET|Equity|36.7|1.9|REGN| Regeneron Pharmaceuticals, Inc.| 5.17%| North America|Equity|All Cap Equities||BUL|6|4.ASSET|Equity|36.7|1.86|QCOM| Qualcomm Inc| 5.07%| North America|Equity|All Cap Equities||BUL|6|5.ASSET|Equity|36.7|1.84|DVN| Devon Energy Corporation| 5.00%| North America|Equity|All Cap Equities||BUL|6|6.ASSET|Equity|36.7|1.77|LOW| Lowe\'s Companies, Inc.| 4.83%| North America|Equity|All Cap Equities||BUL|6|7.ASSET|Equity|36.7|1.77|AMAT| Applied Materials, Inc.| 4.83%| North America|Equity|All Cap Equities||BUL|6|8.ASSET|Equity|36.7|1.72|AZO| AutoZone, Inc.| 4.68%| North America|Equity|All Cap Equities||BUL|6|9.ASSET|Equity|36.7|1.71|KLAC| KLA Corporation| 4.67%| North America|Equity|All Cap Equities||BUL|6|10.ASSET|Equity|36.7|1.55|ORCL| Oracle Corporation| 4.22%| North America|Equity|All Cap Equities||BUL|6|11.ASSET|Equity|36.7|1.29|FB| Meta Platforms Inc. Class A| 3.51%| North America|Equity|All Cap Equities||BUL|6|12.ASSET|Equity|36.7|1.21|MRNA| Moderna, Inc.| 3.31%| North America|Equity|All Cap Equities||BUL|6|13.ASSET|Equity|36.7|1.13|FANG| Diamondback Energy, Inc.| 3.09%| North America|Equity|All Cap Equities||BUL|6|14.ASSET|Equity|36.7|1.03|IT| Gartner, Inc.| 2.82%| North America|Equity|All Cap Equities||BUL|6|15.ASSET|Equity|36.7|1.02|PKI| PerkinElmer, Inc.| 2.79%| |Commodity|Metals||RJZ|6|1.ASSET|Commodity|9.7|1.84|N/A| Aluminum| 18.96%| |Commodity|Metals||RJZ|6|2.ASSET|Commodity|9.7|1.84|N/A| Copper| 18.96%| |Commodity|Metals||RJZ|6|3.ASSET|Commodity|9.7|1.38|N/A| Gold| 14.22%| |Commodity|Metals||RJZ|6|4.ASSET|Commodity|9.7|0.92|N/A| Silver| 9.48%| |Commodity|Metals||RJZ|6|5.ASSET|Commodity|9.7|0.92|N/A| Zinc| 9.48%| |Commodity|Metals||RJZ|6|6.ASSET|Commodity|9.7|0.92|N/A| Lead| 9.48%| |Commodity|Metals||RJZ|6|7.ASSET|Commodity|9.7|0.83|N/A| Platinum| 8.53%| |Commodity|Metals||RJZ|6|8.ASSET|Commodity|9.7|0.46|N/A| Nickel| 4.74%| |Commodity|Metals||RJZ|6|9.ASSET|Commodity|9.7|0.46|N/A| Tin| 4.74%| |Commodity|Metals||RJZ|6|10.ASSET|Commodity|9.7|0.14|N/A| Palladium| 1.42%| |Commodity|Agricultural Commodities||GRU|6|1.ASSET|Commodity|10|4.56|N/A| Wheat| 45.61%| |Commodity|Agricultural Commodities||GRU|6|2.ASSET|Commodity|10|2.65|N/A| Corn| 26.47%| |Commodity|Agricultural Commodities||GRU|6|3.ASSET|Commodity|10|1.9|N/A| Soybean| 19.00%| |Commodity|Agricultural Commodities||GRU|6|4.ASSET|Commodity|10|0.89|N/A| Soybean Oil| 8.92%| North America|Equity|n/a||NWLG|6|1.ASSET|Equity|5.5|0.57|MSFT| Microsoft Corporation| 10.38%| North America|Equity|n/a||NWLG|6|2.ASSET|Equity|5.5|0.38|AMZN| Amazon.com, Inc.| 6.99%| North America|Equity|n/a||NWLG|6|3.ASSET|Equity|5.5|0.24|ADBE| Adobe Inc.| 4.36%| North America|Equity|n/a||NWLG|6|4.ASSET|Equity|5.5|0.23|NVDA| NVIDIA Corporation| 4.16%| North America|Equity|n/a||NWLG|6|5.ASSET|Equity|5.5|0.22|GOOG| Alphabet Inc. Class C| 4.02%| North America|Equity|n/a||NWLG|6|6.ASSET|Equity|5.5|0.19|GOOGL| Alphabet Inc. Class A| 3.38%| North America|Equity|n/a||NWLG|6|7.ASSET|Equity|5.5|0.17|NKE| NIKE, Inc. Class B| 3.15%| North America|Equity|n/a||NWLG|6|8.ASSET|Equity|5.5|0.16|AAPL| Apple Inc.| 2.94%| North America|Equity|n/a||NWLG|6|9.ASSET|Equity|5.5|0.15|INTU| Intuit Inc.| 2.69%| North America|Equity|n/a||NWLG|6|10.ASSET|Equity|5.5|0.14|CRM| salesforce.com, inc.| 2.46%| North America|Equity|n/a||NWLG|6|11.ASSET|Equity|5.5|0.13|V| Visa Inc. Class A| 2.44%| North America|Equity|n/a||NWLG|6|12.ASSET|Equity|5.5|0.12|PYPL| PayPal Holdings, Inc.| 2.17%| North America|Equity|n/a||NWLG|6|13.ASSET|Equity|5.5|0.12|ASML| ASML Holding NV| 2.11%| North America|Equity|n/a||NWLG|6|14.ASSET|Equity|5.5|0.11|ZTS| Zoetis, Inc. Class A| 2.05%| North America|Equity|n/a||NWLG|6|15.ASSET|Equity|5.5|0.11|NOW| ServiceNow, Inc.| 2.04%| North America|Equity|Leveraged Equities||SMDD|6|1.ASSET|Equity|8.2|8.2|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities||SMDD|6|2.ASSET|Equity|8.2|8.2|N/A| U.S. Dollar| 100.00%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|1.ASSET|Equity|9|0.89|DE| Deere & Company| 9.92%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|2.ASSET|Equity|9|0.86|BAYN| Bayer AG| 9.51%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|3.ASSET|Equity|9|0.8|BAS| BASF SE| 8.89%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|4.ASSET|Equity|9|0.73|NTR| Nutrien Ltd.| 8.06%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|5.ASSET|Equity|9|0.46|IQCD| Industries of Qatar Co.| 5.14%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|6.ASSET|Equity|9|0.42|CTVA| Corteva Inc| 4.62%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|7.ASSET|Equity|9|0.31|F34| Wilmar International Limited| 3.47%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|8.ASSET|Equity|9|0.31|6326| Kubota Corporation| 3.41%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|9.ASSET|Equity|9|0.3|MOS| Mosaic Company| 3.35%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|10.ASSET|Equity|9|0.29|CNHI| CNH Industrial NV| 3.20%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|11.ASSET|Equity|9|0.28|5183| PETRONAS Chemicals Group Bhd.| 3.06%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|12.ASSET|Equity|9|0.27|CF| CF Industries Holdings, Inc.| 2.98%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|13.ASSET|Equity|9|0.23|BG| Bunge Limited| 2.50%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|14.ASSET|Equity|9|0.22|FMC| FMC Corporation| 2.49%| Developed Markets|Equity|Large Cap Blend Equities|Materials|FTAG|6|15.ASSET|Equity|9|0.2|EVK| Evonik Industries AG| 2.24%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|1.ASSET|Equity|5.5|0.07|857| PetroChina Company Limited Class H| 1.34%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|2.ASSET|Equity|5.5|0.06|BA| BAE Systems plc| 1.08%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|3.ASSET|Equity|5.5|0.06|1088| China Shenhua Energy Co. Ltd. Class H| 1.06%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|4.ASSET|Equity|5.5|0.06|SAN| Sanofi| 1.03%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|5.ASSET|Equity|5.5|0.05|ROG| Roche Holding Ltd| 0.99%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|6.ASSET|Equity|5.5|0.05|GSK| GlaxoSmithKline plc Sponsored ADR| 0.97%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|7.ASSET|Equity|5.5|0.05|NOVO.B| Novo Nordisk A/S Class B| 0.96%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|8.ASSET|Equity|5.5|0.05|JBH| JB Hi-Fi Limited| 0.94%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|9.ASSET|Equity|5.5|0.05|992| Lenovo Group Limited| 0.93%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|10.ASSET|Equity|5.5|0.05|3988| Bank of China Limited Class H| 0.93%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|11.ASSET|Equity|5.5|0.05|AD| Koninklijke Ahold Delhaize N.V.| 0.93%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|12.ASSET|Equity|5.5|0.05|RIO| Rio Tinto plc| 0.88%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|13.ASSET|Equity|5.5|0.05|INVE.B| Investor AB Class B| 0.83%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|14.ASSET|Equity|5.5|0.04|386| China Petroleum & Chemical Corporation Class H| 0.81%| Global ex-U.S.|Equity|Foreign Large Cap Equities||RODE|6|15.ASSET|Equity|5.5|0.04|6702| Fujitsu Limited| 0.81%| North America|Multi-Asset|Diversified Portfolio||EAOM|6|1.ASSET|Multi-Asset|6.9|4.23|EAGG| iShares ESG Aware US Aggregate Bond ETF| 61.27%| North America|Multi-Asset|Diversified Portfolio||EAOM|6|2.ASSET|Multi-Asset|6.9|1.55|ESGU| iShares ESG Aware MSCI USA ETF| 22.44%| North America|Multi-Asset|Diversified Portfolio||EAOM|6|3.ASSET|Multi-Asset|6.9|0.62|ESGD| iShares ESG Aware MSCI EAFE ETF| 8.97%| North America|Multi-Asset|Diversified Portfolio||EAOM|6|4.ASSET|Multi-Asset|6.9|0.28|ESGE| iShares ESG Aware MSCI EM ETF| 4.13%| North America|Multi-Asset|Diversified Portfolio||EAOM|6|5.ASSET|Multi-Asset|6.9|0.19|ESML| iShares ESG Aware MSCI USA Small-Cap ETF| 2.73%| North America|Equity|Mid Cap Blend Equities||MIDF|6|1.ASSET|Equity|7.7|0.17|DVN| Devon Energy Corporation| 2.19%| North America|Equity|Mid Cap Blend Equities||MIDF|6|2.ASSET|Equity|7.7|0.15|NUE| Nucor Corporation| 1.98%| North America|Equity|Mid Cap Blend Equities||MIDF|6|3.ASSET|Equity|7.7|0.15|CERN| Cerner Corporation| 1.89%| North America|Equity|Mid Cap Blend Equities||MIDF|6|4.ASSET|Equity|7.7|0.13|MOS| Mosaic Company| 1.74%| North America|Equity|Mid Cap Blend Equities||MIDF|6|5.ASSET|Equity|7.7|0.13|FANG| Diamondback Energy, Inc.| 1.65%| North America|Equity|Mid Cap Blend Equities||MIDF|6|6.ASSET|Equity|7.7|0.13|CDNS| Cadence Design Systems, Inc.| 1.64%| North America|Equity|Mid Cap Blend Equities||MIDF|6|7.ASSET|Equity|7.7|0.13|CBRE| CBRE Group, Inc. Class A| 1.63%| North America|Equity|Mid Cap Blend Equities||MIDF|6|8.ASSET|Equity|7.7|0.13|CTRA| Coterra Energy Inc.| 1.63%| North America|Equity|Mid Cap Blend Equities||MIDF|6|9.ASSET|Equity|7.7|0.12|CF| CF Industries Holdings, Inc.| 1.61%| North America|Equity|Mid Cap Blend Equities||MIDF|6|10.ASSET|Equity|7.7|0.12|HPE| Hewlett Packard Enterprise Co.| 1.52%| North America|Equity|Mid Cap Blend Equities||MIDF|6|11.ASSET|Equity|7.7|0.12|ODFL| Old Dominion Freight Line, Inc.| 1.52%| North America|Equity|Mid Cap Blend Equities||MIDF|6|12.ASSET|Equity|7.7|0.12|LH| Laboratory Corporation of America Holdings| 1.50%| North America|Equity|Mid Cap Blend Equities||MIDF|6|13.ASSET|Equity|7.7|0.12|ON| ON Semiconductor Corporation| 1.50%| North America|Equity|Mid Cap Blend Equities||MIDF|6|14.ASSET|Equity|7.7|0.11|COO| Cooper Companies, Inc.| 1.49%| North America|Equity|Mid Cap Blend Equities||MIDF|6|15.ASSET|Equity|7.7|0.11|STX| Seagate Technology Holdings PLC| 1.46%| North America|Equity|n/a||MJUS|6|1.ASSET|Equity|3.9|2.84|N/A| U.S. Dollar| 72.91%| North America|Equity|n/a||MJUS|6|2.ASSET|Equity|3.9|0.32|IIPR| Innovative Industrial Properties Inc| 8.19%| North America|Equity|n/a||MJUS|6|3.ASSET|Equity|3.9|0.18|AFCG| AFC Gamma, Inc.| 4.61%| North America|Equity|n/a||MJUS|6|4.ASSET|Equity|3.9|0.16|MAPS| WM Technology, Inc. Class A| 4.23%| North America|Equity|n/a||MJUS|6|5.ASSET|Equity|3.9|0.13|HYFM| Hydrofarm Holdings Group, Inc.| 3.26%| North America|Equity|n/a||MJUS|6|6.ASSET|Equity|3.9|0.12|CWEB| Charlotte\'s Web Holdings, Inc.| 3.16%| North America|Equity|n/a||MJUS|6|7.ASSET|Equity|3.9|0.1|GRWG| GrowGeneration Corp.| 2.63%| North America|Equity|n/a||MJUS|6|8.ASSET|Equity|3.9|0.07|ZYNE| Zynerba Pharmaceuticals Inc| 1.77%| North America|Equity|n/a||MJUS|6|9.ASSET|Equity|3.9|0.04|YCBD| cbdMD, Inc.| 0.98%| North America|Equity|n/a||MJUS|6|10.ASSET|Equity|3.9|0.03|KERN| Akerna Corp.| 0.69%| North America|Equity|n/a||MJUS|6|11.ASSET|Equity|3.9|0|FGXXX| First American Funds Inc X Government Obligations Fund| 0.08%| North America|Equity|n/a||MJUS|6|12.ASSET|Equity|3.9|-0.1|N/A| DERIVATIVE SECURITIES (OTHER)| -2.51%| North America|Equity|Large Cap Value Equities||HVAL|6|1.ASSET|Equity|5.5|0.16|CVS| CVS Health Corporation| 2.83%| North America|Equity|Large Cap Value Equities||HVAL|6|2.ASSET|Equity|5.5|0.15|LMT| Lockheed Martin Corporation| 2.77%| North America|Equity|Large Cap Value Equities||HVAL|6|3.ASSET|Equity|5.5|0.15|RTX| Raytheon Technologies Corporation| 2.76%| North America|Equity|Large Cap Value Equities||HVAL|6|4.ASSET|Equity|5.5|0.14|WFC| Wells Fargo & Company| 2.55%| North America|Equity|Large Cap Value Equities||HVAL|6|5.ASSET|Equity|5.5|0.14|BDX| Becton, Dickinson and Company| 2.52%| North America|Equity|Large Cap Value Equities||HVAL|6|6.ASSET|Equity|5.5|0.14|KO| Coca-Cola Company| 2.51%| North America|Equity|Large Cap Value Equities||HVAL|6|7.ASSET|Equity|5.5|0.14|GOOGL| Alphabet Inc. Class A| 2.47%| North America|Equity|Large Cap Value Equities||HVAL|6|8.ASSET|Equity|5.5|0.13|SPG| Simon Property Group, Inc.| 2.41%| North America|Equity|Large Cap Value Equities||HVAL|6|9.ASSET|Equity|5.5|0.13|MSFT| Microsoft Corporation| 2.40%| North America|Equity|Large Cap Value Equities||HVAL|6|10.ASSET|Equity|5.5|0.13|MMP| Magellan Midstream Partners, L.P.| 2.38%| North America|Equity|Large Cap Value Equities||HVAL|6|11.ASSET|Equity|5.5|0.13|BK| Bank of New York Mellon Corporation| 2.34%| North America|Equity|Large Cap Value Equities||HVAL|6|12.ASSET|Equity|5.5|0.13|GSK| GlaxoSmithKline plc Sponsored ADR| 2.34%| North America|Equity|Large Cap Value Equities||HVAL|6|13.ASSET|Equity|5.5|0.13|NOW| ServiceNow, Inc.| 2.33%| North America|Equity|Large Cap Value Equities||HVAL|6|14.ASSET|Equity|5.5|0.13|EPD| Enterprise Products Partners L.P.| 2.33%| North America|Equity|Large Cap Value Equities||HVAL|6|15.ASSET|Equity|5.5|0.13|CAG| Conagra Brands, Inc.| 2.32%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|1.ASSET|Equity|5.6|0.3|JNJ| Johnson & Johnson| 5.28%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|2.ASSET|Equity|5.6|0.25|NESN| Nestle S.A.| 4.47%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|3.ASSET|Equity|5.6|0.23|JPM| JPMorgan Chase & Co.| 4.16%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|4.ASSET|Equity|5.6|0.2|BAC| Bank of America Corp| 3.58%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|5.ASSET|Equity|5.6|0.19|GOOGL| Alphabet Inc. Class A| 3.40%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|6.ASSET|Equity|5.6|0.18|ABBV| AbbVie, Inc.| 3.22%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|7.ASSET|Equity|5.6|0.16|CSCO| Cisco Systems, Inc.| 2.84%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|8.ASSET|Equity|5.6|0.16|PEP| PepsiCo, Inc.| 2.78%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|9.ASSET|Equity|5.6|0.15|NOVN| Novartis AG| 2.64%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|10.ASSET|Equity|5.6|0.14|CRM| salesforce.com, inc.| 2.52%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|11.ASSET|Equity|5.6|0.14|ACN| Accenture Plc Class A| 2.45%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|12.ASSET|Equity|5.6|0.13|INTC| Intel Corporation| 2.27%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|13.ASSET|Equity|5.6|0.12|QCOM| Qualcomm Inc| 2.22%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|14.ASSET|Equity|5.6|0.12|MCD| McDonald\'s Corporation| 2.22%| Developed Markets|Equity|Large Cap Blend Equities||SDGA|6|15.ASSET|Equity|5.6|0.12|ULVR| Unilever PLC| 2.21%| North America|Equity|Large Cap Growth Equities||STLG|6|1.ASSET|Equity|5.4|0.69|AAPL| Apple Inc.| 12.77%| North America|Equity|Large Cap Growth Equities||STLG|6|2.ASSET|Equity|5.4|0.62|MSFT| Microsoft Corporation| 11.45%| North America|Equity|Large Cap Growth Equities||STLG|6|3.ASSET|Equity|5.4|0.28|AMZN| Amazon.com, Inc.| 5.17%| North America|Equity|Large Cap Growth Equities||STLG|6|4.ASSET|Equity|5.4|0.14|NVDA| NVIDIA Corporation| 2.63%| North America|Equity|Large Cap Growth Equities||STLG|6|5.ASSET|Equity|5.4|0.13|ABBV| AbbVie, Inc.| 2.37%| North America|Equity|Large Cap Growth Equities||STLG|6|6.ASSET|Equity|5.4|0.12|LPX| Louisiana-Pacific Corporation| 2.29%| North America|Equity|Large Cap Growth Equities||STLG|6|7.ASSET|Equity|5.4|0.12|QCOM| Qualcomm Inc| 2.22%| North America|Equity|Large Cap Growth Equities||STLG|6|8.ASSET|Equity|5.4|0.11|BAH| Booz Allen Hamilton Holding Corporation Class A| 2.05%| North America|Equity|Large Cap Growth Equities||STLG|6|9.ASSET|Equity|5.4|0.11|GS| Goldman Sachs Group, Inc.| 2.00%| North America|Equity|Large Cap Growth Equities||STLG|6|10.ASSET|Equity|5.4|0.11|TSLA| Tesla Inc| 1.96%| North America|Equity|Large Cap Growth Equities||STLG|6|11.ASSET|Equity|5.4|0.1|COST| Costco Wholesale Corporation| 1.87%| North America|Equity|Large Cap Growth Equities||STLG|6|12.ASSET|Equity|5.4|0.1|HD| Home Depot, Inc.| 1.87%| North America|Equity|Large Cap Growth Equities||STLG|6|13.ASSET|Equity|5.4|0.09|MSCI| MSCI Inc. Class A| 1.64%| North America|Equity|Large Cap Growth Equities||STLG|6|14.ASSET|Equity|5.4|0.08|TGT| Target Corporation| 1.46%| North America|Equity|Large Cap Growth Equities||STLG|6|15.ASSET|Equity|5.4|0.08|GOOGL| Alphabet Inc. Class A| 1.41%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|1.ASSET|Equity|4.1|0.36|ENB| Enbridge Inc.| 8.85%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|2.ASSET|Equity|4.1|0.27|AMT| American Tower Corporation| 6.69%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|3.ASSET|Equity|4.1|0.2|CCI| Crown Castle International Corp| 4.93%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|4.ASSET|Equity|4.1|0.18|KMI| Kinder Morgan Inc Class P| 4.35%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|5.ASSET|Equity|4.1|0.15|NG| National Grid plc| 3.68%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|6.ASSET|Equity|4.1|0.14|DG| VINCI SA| 3.45%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|7.ASSET|Equity|4.1|0.11|OKE| ONEOK, Inc.| 2.73%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|8.ASSET|Equity|4.1|0.11|TRP| TC Energy Corporation| 2.67%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|9.ASSET|Equity|4.1|0.1|SRE| Sempra Energy| 2.43%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|10.ASSET|Equity|4.1|0.1|AWK| American Water Works Company, Inc.| 2.40%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|11.ASSET|Equity|4.1|0.09|N/A| U.S. Dollar| 2.23%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|12.ASSET|Equity|4.1|0.08|SRG| Snam S.p.A.| 1.89%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|13.ASSET|Equity|4.1|0.07|WMB| Williams Companies, Inc.| 1.71%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|14.ASSET|Equity|4.1|0.07|TRGP| Targa Resources Corp.| 1.70%| Developed Markets|Equity|Utilities Equities|Utilities|GLIF|6|15.ASSET|Equity|4.1|0.06|SBAC| SBA Communications Corp. Class A| 1.39%| North America|Equity|All Cap Equities||ESGS|6|1.ASSET|Equity|28.7|0.48|HII| Huntington Ingalls Industries, Inc.| 1.68%| North America|Equity|All Cap Equities||ESGS|6|2.ASSET|Equity|28.7|0.46|KMI| Kinder Morgan Inc Class P| 1.59%| North America|Equity|All Cap Equities||ESGS|6|3.ASSET|Equity|28.7|0.45|EIX| Edison International| 1.57%| North America|Equity|All Cap Equities||ESGS|6|4.ASSET|Equity|28.7|0.44|BAH| Booz Allen Hamilton Holding Corporation Class A| 1.52%| North America|Equity|All Cap Equities||ESGS|6|5.ASSET|Equity|28.7|0.42|BBY| Best Buy Co., Inc.| 1.46%| North America|Equity|All Cap Equities||ESGS|6|6.ASSET|Equity|28.7|0.42|NEM| Newmont Corporation| 1.45%| North America|Equity|All Cap Equities||ESGS|6|7.ASSET|Equity|28.7|0.41|INTC| Intel Corporation| 1.44%| North America|Equity|All Cap Equities||ESGS|6|8.ASSET|Equity|28.7|0.41|HPQ| HP Inc.| 1.43%| North America|Equity|All Cap Equities||ESGS|6|9.ASSET|Equity|28.7|0.41|WMB| Williams Companies, Inc.| 1.43%| North America|Equity|All Cap Equities||ESGS|6|10.ASSET|Equity|28.7|0.41|ETR| Entergy Corporation| 1.43%| North America|Equity|All Cap Equities||ESGS|6|11.ASSET|Equity|28.7|0.41|SNA| Snap-on Incorporated| 1.42%| North America|Equity|All Cap Equities||ESGS|6|12.ASSET|Equity|28.7|0.41|LUMN| Lumen Technologies, Inc.| 1.42%| North America|Equity|All Cap Equities||ESGS|6|13.ASSET|Equity|28.7|0.4|ALL| Allstate Corporation| 1.41%| North America|Equity|All Cap Equities||ESGS|6|14.ASSET|Equity|28.7|0.4|WBA| Walgreens Boots Alliance Inc| 1.38%| North America|Equity|All Cap Equities||ESGS|6|15.ASSET|Equity|28.7|0.39|SRE| Sempra Energy| 1.37%| Global|Equity|Technology Equities|Technology|IWFH|6|1.ASSET|Equity|5.5|0.19|ATVI| Activision Blizzard, Inc.| 3.44%| Global|Equity|Technology Equities|Technology|IWFH|6|2.ASSET|Equity|5.5|0.17|CTXS| Citrix Systems, Inc.| 3.15%| Global|Equity|Technology Equities|Technology|IWFH|6|3.ASSET|Equity|5.5|0.16|ZEN| Zendesk, Inc.| 2.94%| Global|Equity|Technology Equities|Technology|IWFH|6|4.ASSET|Equity|5.5|0.15|3659| NEXON Co., Ltd.| 2.78%| Global|Equity|Technology Equities|Technology|IWFH|6|5.ASSET|Equity|5.5|0.15|7974| Nintendo Co., Ltd.| 2.74%| Global|Equity|Technology Equities|Technology|IWFH|6|6.ASSET|Equity|5.5|0.14|1024| Kuaishou Technology Class B| 2.57%| Global|Equity|Technology Equities|Technology|IWFH|6|7.ASSET|Equity|5.5|0.14|EA| Electronic Arts Inc.| 2.49%| Global|Equity|Technology Equities|Technology|IWFH|6|8.ASSET|Equity|5.5|0.13|PLAN| Anaplan, Inc.| 2.38%| Global|Equity|Technology Equities|Technology|IWFH|6|9.ASSET|Equity|5.5|0.13|TTWO| Take-Two Interactive Software, Inc.| 2.35%| Global|Equity|Technology Equities|Technology|IWFH|6|10.ASSET|Equity|5.5|0.13|DBX| Dropbox, Inc. Class A| 2.31%| Global|Equity|Technology Equities|Technology|IWFH|6|11.ASSET|Equity|5.5|0.12|GN| GN Store Nord A/S| 2.26%| Global|Equity|Technology Equities|Technology|IWFH|6|12.ASSET|Equity|5.5|0.12|6618| JD Health International, Inc.| 2.24%| Global|Equity|Technology Equities|Technology|IWFH|6|13.ASSET|Equity|5.5|0.12|MSFT| Microsoft Corporation| 2.21%| Global|Equity|Technology Equities|Technology|IWFH|6|14.ASSET|Equity|5.5|0.12|700| Tencent Holdings Ltd.| 2.19%| Global|Equity|Technology Equities|Technology|IWFH|6|15.ASSET|Equity|5.5|0.12|MTCH| Match Group, Inc.| 2.15%| Emerging Markets|Bond|International Government Bonds|International Treasury|FAIL|6|1.ASSET|Bond|5.5|1.24|TIP| iShares TIPS Bond ETF| 22.57%| Emerging Markets|Bond|International Government Bonds|International Treasury|FAIL|6|2.ASSET|Bond|5.5|1.19|IEF| iShares 7-10 Year Treasury Bond ETF| 21.72%| Emerging Markets|Bond|International Government Bonds|International Treasury|FAIL|6|3.ASSET|Bond|5.5|0.75|BNDX| Vanguard Total International Bond ETF| 13.56%| Emerging Markets|Bond|International Government Bonds|International Treasury|FAIL|6|4.ASSET|Bond|5.5|0.67|EMLC| VanEck J. P. Morgan EM Local Currency Bond ETF| 12.21%| Emerging Markets|Bond|International Government Bonds|International Treasury|FAIL|6|5.ASSET|Bond|5.5|0.32|N/A| Government of Turkey 8.5% 14-SEP-2022| 5.79%| Emerging Markets|Bond|International Government Bonds|International Treasury|FAIL|6|6.ASSET|Bond|5.5|0.22|N/A| Government of Colombia 7.0% 04-MAY-2022| 3.96%| Emerging Markets|Bond|International Government Bonds|International Treasury|FAIL|6|7.ASSET|Bond|5.5|0.2|N/A| Government of Colombia 7.5% 26-AUG-2026| 3.71%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|1.ASSET|Equity|5.9|0.27|NEE| NextEra Energy, Inc.| 4.50%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|2.ASSET|Equity|5.9|0.25|SU| Schneider Electric SE| 4.30%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|3.ASSET|Equity|5.9|0.25|ON| ON Semiconductor Corporation| 4.29%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|4.ASSET|Equity|5.9|0.25|THRM| Gentherm Incorporated| 4.26%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|5.ASSET|Equity|5.9|0.25|NIBE.B| NIBE Industrier AB Class B| 4.17%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|6.ASSET|Equity|5.9|0.24|IFX| Infineon Technologies AG| 4.07%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|7.ASSET|Equity|5.9|0.24|ST| Sensata Technologies Holding PLC| 4.07%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|8.ASSET|Equity|5.9|0.23|APTV| Aptiv PLC| 3.94%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|9.ASSET|Equity|5.9|0.23|AMRC| Ameresco, Inc. Class A| 3.94%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|10.ASSET|Equity|5.9|0.23|N/A| U.S. Dollar| 3.84%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|11.ASSET|Equity|5.9|0.22|HUBB| Hubbell Incorporated Class B| 3.80%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|12.ASSET|Equity|5.9|0.22|916| China Longyuan Power Group Corp. Ltd. Class H| 3.76%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|13.ASSET|Equity|5.9|0.22|RNW| TransAlta Renewables, Inc.| 3.70%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|14.ASSET|Equity|5.9|0.22|IBE| Iberdrola SA| 3.66%| Global|Equity|Alternative Energy Equities|Energy|SULR|6|15.ASSET|Equity|5.9|0.21|FSLR| First Solar, Inc.| 3.50%| North America|Equity|n/a||SPAX|6|1.ASSET|Equity|19.9|0.34|CFFSU| CF Acquisition Corp VII Units Cons of 1 Sh A + 1/3 Wt 03.28| 1.69%| North America|Equity|n/a||SPAX|6|2.ASSET|Equity|19.9|0.33|FTEV| Fintech Evolution Acquisition Group Class A| 1.65%| North America|Equity|n/a||SPAX|6|3.ASSET|Equity|19.9|0.3|LIBY| Liberty Resources Acquisition Corp. Class A| 1.50%| North America|Equity|n/a||SPAX|6|4.ASSET|Equity|19.9|0.3|KNSW.UT| KnightSwan Acquisition Corp. Units Cons of 1 Sh -A- + 1/2 Wt| 1.50%| North America|Equity|n/a||SPAX|6|5.ASSET|Equity|19.9|0.27|MTVC.UT| Motive Capital Corp. II Units Cons of 1 Shs -A- + 1/3 RED Wt| 1.35%| North America|Equity|n/a||SPAX|6|6.ASSET|Equity|19.9|0.26|LION| Lionheart III Corp Class A| 1.33%| North America|Equity|n/a||SPAX|6|7.ASSET|Equity|19.9|0.26|SHAP.UT| Spree Acquisition Corp. 1 Ltd. Units Cons of 1 Shs -A- + 1/2 Wt| 1.33%| North America|Equity|n/a||SPAX|6|8.ASSET|Equity|19.9|0.26|TGAAU| Target Global Acquisition I Corporation Units Cons of 1 Shs A + 1/3 Wt| 1.33%| North America|Equity|n/a||SPAX|6|9.ASSET|Equity|19.9|0.26|HAIAU| Healthcare AI Acquisition Corp. Units Cons of 1 Shs -A + 1/2 Wt| 1.33%| North America|Equity|n/a||SPAX|6|10.ASSET|Equity|19.9|0.26|PORT.UT| Southport Acquisition Corp. Units Cons of 1 Sh -A- + 1/2 Wt| 1.33%| North America|Equity|n/a||SPAX|6|11.ASSET|Equity|19.9|0.26|AHRNU| Ahren Acquisition Corp. Units Cons of 1 Shs -A- + 1/2 RED Wt| 1.33%| North America|Equity|n/a||SPAX|6|12.ASSET|Equity|19.9|0.26|PRLHU| Pearl Holdings Acquisition Corp. Units Cons of 1 Shs -A- + 1/2 Wt| 1.33%| North America|Equity|n/a||SPAX|6|13.ASSET|Equity|19.9|0.26|APCA.UT| AP Acquisition Corp. Units Cons of 1 Shs -A- + 1/2 Wt| 1.33%| North America|Equity|n/a||SPAX|6|14.ASSET|Equity|19.9|0.26|ADRT.UT| Ault Disruptive Technologies Corp. Units Cons of 1 Sh + 3/4 Wt| 1.33%| North America|Equity|n/a||SPAX|6|15.ASSET|Equity|19.9|0.26|RJAC.UT| Jackson Acquisition Company Units Cons of 1 Sh A + 1/2 Wt| 1.33%| North America|Equity|Large Cap Growth Equities||WGRO|6|1.ASSET|Equity|4.5|0.11|THC| Tenet Healthcare Corporation| 2.35%| North America|Equity|Large Cap Growth Equities||WGRO|6|2.ASSET|Equity|4.5|0.09|GME| GameStop Corp. Class A| 2.07%| North America|Equity|Large Cap Growth Equities||WGRO|6|3.ASSET|Equity|4.5|0.09|ON| ON Semiconductor Corporation| 2.01%| North America|Equity|Large Cap Growth Equities||WGRO|6|4.ASSET|Equity|4.5|0.09|HUBS| HubSpot, Inc.| 2.00%| North America|Equity|Large Cap Growth Equities||WGRO|6|5.ASSET|Equity|4.5|0.09|MSFT| Microsoft Corporation| 1.95%| North America|Equity|Large Cap Growth Equities||WGRO|6|6.ASSET|Equity|4.5|0.09|FTNT| Fortinet, Inc.| 1.94%| North America|Equity|Large Cap Growth Equities||WGRO|6|7.ASSET|Equity|4.5|0.09|WCC| WESCO International, Inc.| 1.94%| North America|Equity|Large Cap Growth Equities||WGRO|6|8.ASSET|Equity|4.5|0.09|CAR| Avis Budget Group, Inc.| 1.94%| North America|Equity|Large Cap Growth Equities||WGRO|6|9.ASSET|Equity|4.5|0.09|HLI| Houlihan Lokey, Inc. Class A| 1.90%| North America|Equity|Large Cap Growth Equities||WGRO|6|10.ASSET|Equity|4.5|0.09|LSCC| Lattice Semiconductor Corporation| 1.89%| North America|Equity|Large Cap Growth Equities||WGRO|6|11.ASSET|Equity|4.5|0.08|NVDA| NVIDIA Corporation| 1.88%| North America|Equity|Large Cap Growth Equities||WGRO|6|12.ASSET|Equity|4.5|0.08|SYNA| Synaptics Incorporated| 1.86%| North America|Equity|Large Cap Growth Equities||WGRO|6|13.ASSET|Equity|4.5|0.08|POOL| Pool Corporation| 1.85%| North America|Equity|Large Cap Growth Equities||WGRO|6|14.ASSET|Equity|4.5|0.08|ANET| Arista Networks, Inc.| 1.84%| North America|Equity|Large Cap Growth Equities||WGRO|6|15.ASSET|Equity|4.5|0.08|TNDM| Tandem Diabetes Care, Inc.| 1.84%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|1.ASSET|Equity|5.3|0.09|8002| Marubeni Corporation| 1.61%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|2.ASSET|Equity|5.3|0.08|5020| ENEOS Holdings, Inc.| 1.57%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|3.ASSET|Equity|5.3|0.08|8053| Sumitomo Corporation| 1.56%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|4.ASSET|Equity|5.3|0.08|CA| Carrefour SA| 1.53%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|5.ASSET|Equity|5.3|0.08|NCM| Newcrest Mining Limited| 1.51%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|6.ASSET|Equity|5.3|0.08|8001| Itochu Corporation| 1.50%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|7.ASSET|Equity|5.3|0.08|AD| Koninklijke Ahold Delhaize N.V.| 1.50%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|8.ASSET|Equity|5.3|0.08|TEF| Telefonica SA| 1.49%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|9.ASSET|Equity|5.3|0.08|2651| Lawson, Inc.| 1.44%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|10.ASSET|Equity|5.3|0.08|BHP| BHP Group Ltd| 1.42%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|11.ASSET|Equity|5.3|0.07|SRG| Snam S.p.A.| 1.38%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|12.ASSET|Equity|5.3|0.07|4503| Astellas Pharma Inc.| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|13.ASSET|Equity|5.3|0.07|AQN| Algonquin Power & Utilities Corp.| 1.36%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|14.ASSET|Equity|5.3|0.07|4188| Mitsubishi Chemical Holdings Corporation| 1.35%| Developed Markets|Equity|Foreign Large Cap Equities||ESGN|6|15.ASSET|Equity|5.3|0.07|83| Sino Land Co. Ltd.| 1.35%| North America|Equity|n/a||PSMR|6|1.ASSET|Equity|15.4|15.35|N/A| OPTIONS| 99.67%| North America|Equity|n/a||PSMR|6|2.ASSET|Equity|15.4|0.05|N/A| U.S. Dollar| 0.33%| North America|Equity|Large Cap Growth Equities||HDIV|6|1.ASSET|Equity|5.5|0.37|UNH| UnitedHealth Group Incorporated| 6.66%| North America|Equity|Large Cap Growth Equities||HDIV|6|2.ASSET|Equity|5.5|0.35|JNJ| Johnson & Johnson| 6.37%| North America|Equity|Large Cap Growth Equities||HDIV|6|3.ASSET|Equity|5.5|0.3|WMT| Walmart Inc.| 5.53%| North America|Equity|Large Cap Growth Equities||HDIV|6|4.ASSET|Equity|5.5|0.3|PG| Procter & Gamble Company| 5.42%| North America|Equity|Large Cap Growth Equities||HDIV|6|5.ASSET|Equity|5.5|0.27|HD| Home Depot, Inc.| 4.98%| North America|Equity|Large Cap Growth Equities||HDIV|6|6.ASSET|Equity|5.5|0.21|ABBV| AbbVie, Inc.| 3.85%| North America|Equity|Large Cap Growth Equities||HDIV|6|7.ASSET|Equity|5.5|0.19|AVGO| Broadcom Inc.| 3.51%| North America|Equity|Large Cap Growth Equities||HDIV|6|8.ASSET|Equity|5.5|0.19|CSCO| Cisco Systems, Inc.| 3.45%| North America|Equity|Large Cap Growth Equities||HDIV|6|9.ASSET|Equity|5.5|0.19|COST| Costco Wholesale Corporation| 3.40%| North America|Equity|Large Cap Growth Equities||HDIV|6|10.ASSET|Equity|5.5|0.18|PEP| PepsiCo, Inc.| 3.31%| North America|Equity|Large Cap Growth Equities||HDIV|6|11.ASSET|Equity|5.5|0.18|VZ| Verizon Communications Inc.| 3.27%| North America|Equity|Large Cap Growth Equities||HDIV|6|12.ASSET|Equity|5.5|0.17|ACN| Accenture Plc Class A| 3.05%| North America|Equity|Large Cap Growth Equities||HDIV|6|13.ASSET|Equity|5.5|0.16|INTC| Intel Corporation| 2.90%| North America|Equity|Large Cap Growth Equities||HDIV|6|14.ASSET|Equity|5.5|0.16|MRK| Merck & Co., Inc.| 2.82%| North America|Equity|Large Cap Growth Equities||HDIV|6|15.ASSET|Equity|5.5|0.13|PM| Philip Morris International Inc.| 2.33%| North America|Equity|n/a||APRZ|6|1.ASSET|Equity|5.3|4.98|N/A| United States Treasury Bills 0.0% 10-MAR-2022| 93.96%| North America|Equity|n/a||APRZ|6|2.ASSET|Equity|5.3|0.31|N/A| OPTIONS| 5.77%| North America|Equity|n/a||APRZ|6|3.ASSET|Equity|5.3|0.02|FXFXX| First American Funds Inc X Treasury Obligations Fund| 0.34%| North America|Equity|n/a||APRZ|6|4.ASSET|Equity|5.3|-0|N/A| U.S. Dollar| -0.07%| North America|Equity|n/a||XRMI|6|1.ASSET|Equity|20.9|1.48|AAPL| Apple Inc.| 7.08%| North America|Equity|n/a||XRMI|6|2.ASSET|Equity|20.9|1.28|MSFT| Microsoft Corporation| 6.14%| North America|Equity|n/a||XRMI|6|3.ASSET|Equity|20.9|0.76|AMZN| Amazon.com, Inc.| 3.62%| North America|Equity|n/a||XRMI|6|4.ASSET|Equity|20.9|0.46|GOOGL| Alphabet Inc. Class A| 2.20%| North America|Equity|n/a||XRMI|6|5.ASSET|Equity|20.9|0.43|GOOG| Alphabet Inc. Class C| 2.05%| North America|Equity|n/a||XRMI|6|6.ASSET|Equity|20.9|0.41|TSLA| Tesla Inc| 1.96%| North America|Equity|n/a||XRMI|6|7.ASSET|Equity|20.9|0.34|NVDA| NVIDIA Corporation| 1.65%| North America|Equity|n/a||XRMI|6|8.ASSET|Equity|20.9|0.34|BRK.B| Berkshire Hathaway Inc. Class B| 1.61%| North America|Equity|n/a||XRMI|6|9.ASSET|Equity|20.9|0.28|FB| Meta Platforms Inc. Class A| 1.34%| North America|Equity|n/a||XRMI|6|10.ASSET|Equity|20.9|0.26|UNH| UnitedHealth Group Incorporated| 1.24%| North America|Equity|n/a||XRMI|6|11.ASSET|Equity|20.9|0.25|JNJ| Johnson & Johnson| 1.19%| North America|Equity|n/a||XRMI|6|12.ASSET|Equity|20.9|0.23|JPM| JPMorgan Chase & Co.| 1.12%| North America|Equity|n/a||XRMI|6|13.ASSET|Equity|20.9|0.21|PG| Procter & Gamble Company| 1.01%| North America|Equity|n/a||XRMI|6|14.ASSET|Equity|20.9|0.2|V| Visa Inc. Class A| 0.94%| North America|Equity|n/a||XRMI|6|15.ASSET|Equity|20.9|0.2|HD| Home Depot, Inc.| 0.94%| |Commodity|Precious Metals||PGM|6|1.ASSET|Commodity|10.1|10.1|N/A| Platinum| 100.00%| North America|Equity|n/a||MAYZ|6|1.ASSET|Equity|4.4|4.19|N/A| United States Treasury Bills 0.0% 05-MAY-2022| 95.18%| North America|Equity|n/a||MAYZ|6|2.ASSET|Equity|4.4|0.2|N/A| OPTIONS| 4.47%| North America|Equity|n/a||MAYZ|6|3.ASSET|Equity|4.4|0.02|FXFXX| First American Funds Inc X Treasury Obligations Fund| 0.41%| North America|Equity|n/a||MAYZ|6|4.ASSET|Equity|4.4|-0|N/A| U.S. Dollar| -0.07%| North America|Equity|n/a||PSFJ|6|1.ASSET|Equity|4.7|4.67|N/A| OPTIONS| 99.46%| North America|Equity|n/a||PSFJ|6|2.ASSET|Equity|4.7|4.67|N/A| OPTIONS| 99.45%| North America|Equity|n/a||PSFJ|6|3.ASSET|Equity|4.7|0.03|N/A| U.S. Dollar| 0.55%| North America|Equity|n/a||PSFJ|6|4.ASSET|Equity|4.7|0.03|N/A| U.S. Dollar| 0.54%| Developed Europe|Equity|Leveraged Equities||UPV|6|1.ASSET|Equity|4.3|4.3|N/A| U.S. Dollar| 100.00%| Developed Europe|Equity|Leveraged Equities||UPV|6|2.ASSET|Equity|4.3|4.3|N/A| U.S. Dollar| 100.00%| North America|Equity|Small Cap Blend Equities||NIFE|6|1.ASSET|Equity|3.8|0.19|COUP| Coupa Software, Inc.| 5.13%| North America|Equity|Small Cap Blend Equities||NIFE|6|2.ASSET|Equity|3.8|0.19|GDS| GDS Holdings Ltd. Sponsored ADR Class A| 5.09%| North America|Equity|Small Cap Blend Equities||NIFE|6|3.ASSET|Equity|3.8|0.19|SRPT| Sarepta Therapeutics, Inc.| 5.08%| North America|Equity|Small Cap Blend Equities||NIFE|6|4.ASSET|Equity|3.8|0.19|IONS| Ionis Pharmaceuticals, Inc.| 4.96%| North America|Equity|Small Cap Blend Equities||NIFE|6|5.ASSET|Equity|3.8|0.19|CTXS| Citrix Systems, Inc.| 4.92%| North America|Equity|Small Cap Blend Equities||NIFE|6|6.ASSET|Equity|3.8|0.18|MKC| McCormick & Company, Incorporated| 4.86%| North America|Equity|Small Cap Blend Equities||NIFE|6|7.ASSET|Equity|3.8|0.18|SPLK| Splunk Inc.| 4.79%| North America|Equity|Small Cap Blend Equities||NIFE|6|8.ASSET|Equity|3.8|0.18|LVS| Las Vegas Sands Corp.| 4.62%| North America|Equity|Small Cap Blend Equities||NIFE|6|9.ASSET|Equity|3.8|0.18|AYX| Alteryx, Inc. Class A| 4.61%| North America|Equity|Small Cap Blend Equities||NIFE|6|10.ASSET|Equity|3.8|0.14|HAE| Haemonetics Corporation| 3.71%| North America|Equity|Small Cap Blend Equities||NIFE|6|11.ASSET|Equity|3.8|0.11|GO| Grocery Outlet Holding Corp.| 3.00%| North America|Equity|Small Cap Blend Equities||NIFE|6|12.ASSET|Equity|3.8|0.11|PTCT| PTC Therapeutics, Inc.| 2.95%| North America|Equity|Small Cap Blend Equities||NIFE|6|13.ASSET|Equity|3.8|0.11|FOLD| Amicus Therapeutics, Inc.| 2.82%| North America|Equity|Small Cap Blend Equities||NIFE|6|14.ASSET|Equity|3.8|0.1|NVTA| Invitae Corp.| 2.66%| North America|Equity|Small Cap Blend Equities||NIFE|6|15.ASSET|Equity|3.8|0.09|FSLY| Fastly, Inc. Class A| 2.41%| Latin America|Equity|Leveraged Equities||UBR|6|1.ASSET|Equity|9.2|9.2|N/A| U.S. Dollar| 100.00%| North America|Equity|Small Cap Growth Equities||LOPX|6|1.ASSET|Equity|3.8|0.18|NEX| NexTier Oilfield Solutions, Inc.| 4.78%| North America|Equity|Small Cap Growth Equities||LOPX|6|2.ASSET|Equity|3.8|0.16|RES| RPC, Inc.| 4.19%| North America|Equity|Small Cap Growth Equities||LOPX|6|3.ASSET|Equity|3.8|0.14|WTI| W&T Offshore, Inc.| 3.56%| North America|Equity|Small Cap Growth Equities||LOPX|6|4.ASSET|Equity|3.8|0.13|KOS| Kosmos Energy Ltd.| 3.33%| North America|Equity|Small Cap Growth Equities||LOPX|6|5.ASSET|Equity|3.8|0.11|RIG| Transocean Ltd.| 2.78%| North America|Equity|Small Cap Growth Equities||LOPX|6|6.ASSET|Equity|3.8|0.1|TELL| Tellurian Inc.| 2.72%| North America|Equity|Small Cap Growth Equities||LOPX|6|7.ASSET|Equity|3.8|0.1|NEXT| NextDecade Corp.| 2.70%| North America|Equity|Small Cap Growth Equities||LOPX|6|8.ASSET|Equity|3.8|0.1|NAT| Nordic American Tankers Limited| 2.69%| North America|Equity|Small Cap Growth Equities||LOPX|6|9.ASSET|Equity|3.8|0.1|UEC| Uranium Energy Corp.| 2.62%| North America|Equity|Small Cap Growth Equities||LOPX|6|10.ASSET|Equity|3.8|0.1|SWN| Southwestern Energy Company| 2.59%| North America|Equity|Small Cap Growth Equities||LOPX|6|11.ASSET|Equity|3.8|0.1|CCO| Clear Channel Outdoor Holdings Inc| 2.56%| North America|Equity|Small Cap Growth Equities||LOPX|6|12.ASSET|Equity|3.8|0.09|BGCP| BGC Partners, Inc. Class A| 2.35%| North America|Equity|Small Cap Growth Equities||LOPX|6|13.ASSET|Equity|3.8|0.09|GNW| Genworth Financial, Inc. Class A| 2.30%| North America|Equity|Small Cap Growth Equities||LOPX|6|14.ASSET|Equity|3.8|0.09|ATRS| Antares Pharma, Inc.| 2.29%| North America|Equity|Small Cap Growth Equities||LOPX|6|15.ASSET|Equity|3.8|0.09|BBIG| Vinco Ventures, Inc.| 2.29%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|1.ASSET|Equity|2.4|0.09|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 3.62%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|2.ASSET|Equity|2.4|0.06|2883| China Development Financial Holding Corp.| 2.53%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|3.ASSET|Equity|2.4|0.04|2882| Cathay Financial Holdings Co., Ltd.| 1.78%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|4.ASSET|Equity|2.4|0.04|151| Want Want China Holdings Limited| 1.78%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|5.ASSET|Equity|2.4|0.04|DQ| Daqo New Energy Corp Sponsored ADR| 1.52%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|6.ASSET|Equity|2.4|0.03|005930| Samsung Electronics Co., Ltd.| 1.42%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|7.ASSET|Equity|2.4|0.03|700| Tencent Holdings Ltd.| 1.39%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|8.ASSET|Equity|2.4|0.03|881| Zhongsheng Group Holdings Ltd.| 1.33%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|9.ASSET|Equity|2.4|0.03|148| Kingboard Holdings Limited| 1.29%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|10.ASSET|Equity|2.4|0.03|1378| China Hongqiao Group Ltd.| 1.28%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|11.ASSET|Equity|2.4|0.03|9988| Alibaba Group Holding Ltd.| 1.23%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|12.ASSET|Equity|2.4|0.03|2328| PICC Property & Casualty Co., Ltd. Class H| 1.23%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|13.ASSET|Equity|2.4|0.03|VIPS| Vipshop Holdings Ltd Sponsored ADR| 1.22%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|14.ASSET|Equity|2.4|0.03|1268| China MeiDong Auto Holdings Ltd.| 1.18%| Emerging Markets|Equity|Asia Pacific Equities||EMMF|6|15.ASSET|Equity|2.4|0.03|1339| People\'s Insurance Co. (Group) of China Ltd. Class H| 1.06%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|1.ASSET|Equity|5|0.22|MAR| Marriott International, Inc. Class A| 4.39%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|2.ASSET|Equity|5|0.2|BKNG| Booking Holdings Inc.| 3.97%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|3.ASSET|Equity|5|0.2|DIS| Walt Disney Company| 3.92%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|4.ASSET|Equity|5|0.18|ABNB| Airbnb, Inc. Class A| 3.52%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|5.ASSET|Equity|5|0.18|HLT| Hilton Worldwide Holdings Inc| 3.50%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|6.ASSET|Equity|5|0.14|DAL| Delta Air Lines, Inc.| 2.77%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|7.ASSET|Equity|5|0.14|EXPE| Expedia Group, Inc.| 2.73%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|8.ASSET|Equity|5|0.12|LVS| Las Vegas Sands Corp.| 2.47%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|9.ASSET|Equity|5|0.12|LUV| Southwest Airlines Co.| 2.40%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|10.ASSET|Equity|5|0.11|MGM| MGM Resorts International| 2.27%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|11.ASSET|Equity|5|0.1|CCL| Carnival Corporation| 2.07%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|12.ASSET|Equity|5|0.1|RCL| Royal Caribbean Group| 1.99%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|13.ASSET|Equity|5|0.1|TCOM| Trip.com Group Ltd. Sponsored ADR| 1.98%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|14.ASSET|Equity|5|0.1|LYV| Live Nation Entertainment, Inc.| 1.94%| North America|Equity|Leveraged Equities|Consumer Discretionary|OOTO|6|15.ASSET|Equity|5|0.1|RYAAY| Ryanair Holdings Plc Sponsored ADR| 1.92%| North America|Alternatives|Long-Short||RALS|6|1.ASSET|Alternatives|4.9|0.61|N/A| U.S. Dollar| 12.52%| North America|Alternatives|Long-Short||RALS|6|2.ASSET|Alternatives|4.9|0.11|AAPL| Apple Inc.| 2.31%| North America|Alternatives|Long-Short||RALS|6|3.ASSET|Alternatives|4.9|0.1|XOM| Exxon Mobil Corporation| 1.99%| North America|Alternatives|Long-Short||RALS|6|4.ASSET|Alternatives|4.9|0.08|MSFT| Microsoft Corporation| 1.63%| North America|Alternatives|Long-Short||RALS|6|5.ASSET|Alternatives|4.9|0.07|WFC| Wells Fargo & Company| 1.52%| North America|Alternatives|Long-Short||RALS|6|6.ASSET|Alternatives|4.9|0.07|CVX| Chevron Corporation| 1.46%| North America|Alternatives|Long-Short||RALS|6|7.ASSET|Alternatives|4.9|0.07|JPM| JPMorgan Chase & Co.| 1.37%| North America|Alternatives|Long-Short||RALS|6|8.ASSET|Alternatives|4.9|0.06|BAC| Bank of America Corp| 1.25%| North America|Alternatives|Long-Short||RALS|6|9.ASSET|Alternatives|4.9|0.06|BRK.B| Berkshire Hathaway Inc. Class B| 1.20%| North America|Alternatives|Long-Short||RALS|6|10.ASSET|Alternatives|4.9|0.05|T| AT&T Inc.| 1.10%| North America|Alternatives|Long-Short||RALS|6|11.ASSET|Alternatives|4.9|0.05|UNH| UnitedHealth Group Incorporated| 1.06%| North America|Alternatives|Long-Short||RALS|6|12.ASSET|Alternatives|4.9|0.05|VZ| Verizon Communications Inc.| 1.00%| North America|Alternatives|Long-Short||RALS|6|13.ASSET|Alternatives|4.9|0.05|PFE| Pfizer Inc.| 0.99%| North America|Alternatives|Long-Short||RALS|6|14.ASSET|Alternatives|4.9|0.04|JNJ| Johnson & Johnson| 0.91%| North America|Alternatives|Long-Short||RALS|6|15.ASSET|Alternatives|4.9|0.04|C| Citigroup Inc.| 0.84%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|1.ASSET|Equity|6.3|0.53|857| PetroChina Company Limited Class H| 8.43%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|2.ASSET|Equity|6.3|0.51|1088| China Shenhua Energy Co. Ltd. Class H| 8.04%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|3.ASSET|Equity|6.3|0.49|2883| China Oilfield Services Limited Class H| 7.81%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|4.ASSET|Equity|6.3|0.49|1171| Yankuang Energy Group Company Limited Class H| 7.80%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|5.ASSET|Equity|6.3|0.49|386| China Petroleum & Chemical Corporation Class H| 7.73%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|6.ASSET|Equity|6.3|0.31|601699| Shanxi Lu\'An Environmental Energy Development Co., Ltd. Class A| 4.95%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|7.ASSET|Equity|6.3|0.31|WPL| Woodside Petroleum Ltd| 4.90%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|8.ASSET|Equity|6.3|0.3|000983| Shanxi Coking Coal Energy Group Co., Ltd Class A| 4.82%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|9.ASSET|Equity|6.3|0.3|600256| Guanghui Energy Co., Ltd. Class A| 4.69%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|10.ASSET|Equity|6.3|0.29|956| China Suntien Green Energy Corporation Limited Class H| 4.67%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|11.ASSET|Equity|6.3|0.29|601225| Shaanxi Coal Industry Co., Ltd. Class A| 4.54%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|12.ASSET|Equity|6.3|0.28|002353| Yantai Jereh Oilfield Services Group Co., Ltd. Class A| 4.38%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|13.ASSET|Equity|6.3|0.28|900948| Inner Mongolia Yitai Coal Company Limited Class B| 4.37%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|14.ASSET|Equity|6.3|0.27|1898| China Coal Energy Co. Ltd. Class H| 4.35%| Emerging Asia Pacific|Equity|China Equities|Energy|CHIE|6|15.ASSET|Equity|6.3|0.26|600026| COSCO SHIPPING Energy Transportation Co., Ltd. Class A| 4.10%| Global|Equity|Global Equities|Industrials|BECO|6|1.ASSET|Equity|4.5|0.16|CCK| Crown Holdings, Inc.| 3.50%| Global|Equity|Global Equities|Industrials|BECO|6|2.ASSET|Equity|4.5|0.16|DE| Deere & Company| 3.47%| Global|Equity|Global Equities|Industrials|BECO|6|3.ASSET|Equity|4.5|0.15|FMC| FMC Corporation| 3.39%| Global|Equity|Global Equities|Industrials|BECO|6|4.ASSET|Equity|4.5|0.15|NTR| Nutrien Ltd.| 3.37%| Global|Equity|Global Equities|Industrials|BECO|6|5.ASSET|Equity|4.5|0.15|SALM| SalMar ASA| 3.25%| Global|Equity|Global Equities|Industrials|BECO|6|6.ASSET|Equity|4.5|0.13|NEE| NextEra Energy, Inc.| 2.80%| Global|Equity|Global Equities|Industrials|BECO|6|7.ASSET|Equity|4.5|0.12|EDPR| EDP Renovaveis SA| 2.75%| Global|Equity|Global Equities|Industrials|BECO|6|8.ASSET|Equity|4.5|0.12|DSM| Koninklijke DSM N.V.| 2.72%| Global|Equity|Global Equities|Industrials|BECO|6|9.ASSET|Equity|4.5|0.12|BG| Bunge Limited| 2.70%| Global|Equity|Global Equities|Industrials|BECO|6|10.ASSET|Equity|4.5|0.12|ENEL| Enel SpA| 2.69%| Global|Equity|Global Equities|Industrials|BECO|6|11.ASSET|Equity|4.5|0.11|ECL| Ecolab Inc.| 2.54%| Global|Equity|Global Equities|Industrials|BECO|6|12.ASSET|Equity|4.5|0.11|KRZ| Kerry Group Plc Class A| 2.52%| Global|Equity|Global Equities|Industrials|BECO|6|13.ASSET|Equity|4.5|0.11|SY1| Symrise AG| 2.46%| Global|Equity|Global Equities|Industrials|BECO|6|14.ASSET|Equity|4.5|0.11|006400| Samsung SDI Co., Ltd| 2.36%| Global|Equity|Global Equities|Industrials|BECO|6|15.ASSET|Equity|4.5|0.1|SU| Schneider Electric SE| 2.25%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|1.ASSET|Equity|12.4|0.6|MAR| Marriott International, Inc. Class A| 4.80%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|2.ASSET|Equity|12.4|0.59|RCL| Royal Caribbean Group| 4.73%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|3.ASSET|Equity|12.4|0.58|CCL| Carnival Corporation| 4.64%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|4.ASSET|Equity|12.4|0.56|DAL| Delta Air Lines, Inc.| 4.55%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|5.ASSET|Equity|12.4|0.56|VICI| VICI Properties Inc| 4.51%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|6.ASSET|Equity|12.4|0.56|HLT| Hilton Worldwide Holdings Inc| 4.50%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|7.ASSET|Equity|12.4|0.54|HST| Host Hotels & Resorts, Inc.| 4.34%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|8.ASSET|Equity|12.4|0.53|NCLH| Norwegian Cruise Line Holdings Ltd.| 4.27%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|9.ASSET|Equity|12.4|0.53|IHG| InterContinental Hotels Group PLC| 4.24%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|10.ASSET|Equity|12.4|0.51|LUV| Southwest Airlines Co.| 4.10%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|11.ASSET|Equity|12.4|0.49|HTHT| Huazhu Group Ltd Sponsored ADR| 3.98%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|12.ASSET|Equity|12.4|0.49|UAL| United Airlines Holdings, Inc.| 3.95%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|13.ASSET|Equity|12.4|0.46|RYAAY| Ryanair Holdings Plc Sponsored ADR| 3.70%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|14.ASSET|Equity|12.4|0.45|AAL| American Airlines Group, Inc.| 3.66%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|TRYP|6|15.ASSET|Equity|12.4|0.25|C6L| Singapore Airlines Ltd.| 2.05%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|1.ASSET|Bond|4.7|0.12|N/A| American Tower Corporation 3.375% 15-OCT-2026| 2.64%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|2.ASSET|Bond|4.7|0.11|N/A| American Tower Corporation 3.8% 15-AUG-2029| 2.26%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|3.ASSET|Bond|4.7|0.09|N/A| Alexandria Real Estate Equities, Inc. 3.0% 18-MAY-2051| 1.96%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|4.ASSET|Bond|4.7|0.09|N/A| CoreCivic, Inc. 8.25% 15-APR-2026| 1.95%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|5.ASSET|Bond|4.7|0.09|N/A| SBA Communications Corp. 3.875% 15-FEB-2027| 1.93%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|6.ASSET|Bond|4.7|0.09|N/A| Equinix, Inc. 1.45% 15-MAY-2026| 1.93%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|7.ASSET|Bond|4.7|0.09|N/A| Host Hotels & Resorts, Inc. 3.5% 15-SEP-2030| 1.90%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|8.ASSET|Bond|4.7|0.08|N/A| Crown Castle International Corp 2.1% 01-APR-2031| 1.78%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|9.ASSET|Bond|4.7|0.08|N/A| Boston Properties LP 3.25% 30-JAN-2031| 1.66%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|10.ASSET|Bond|4.7|0.07|N/A| Simon Property Group, L.P. 3.5% 01-SEP-2025| 1.58%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|11.ASSET|Bond|4.7|0.07|N/A| Welltower, Inc. 4.0% 01-JUN-2025| 1.53%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|12.ASSET|Bond|4.7|0.07|N/A| Boston Properties LP 4.5% 01-DEC-2028| 1.50%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|13.ASSET|Bond|4.7|0.07|N/A| UDR, Inc. 2.1% 01-AUG-2032| 1.47%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|14.ASSET|Bond|4.7|0.07|N/A| Iron Mountain Incorporated 4.5% 15-FEB-2031| 1.44%| North America|Bond|Real Estate|Investment Grade Corporate|REC|6|15.ASSET|Bond|4.7|0.07|N/A| NVR, Inc. 3.0% 15-MAY-2030| 1.43%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|1.ASSET|Equity|3|0.34|JD| JD.com, Inc. Sponsored ADR Class A| 11.30%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|2.ASSET|Equity|3|0.32|700| Tencent Holdings Ltd.| 10.77%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|3.ASSET|Equity|3|0.25|3690| Meituan Class B| 8.41%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|4.ASSET|Equity|3|0.23|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 7.77%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|5.ASSET|Equity|3|0.19|BIDU| Baidu Inc Sponsored ADR Class A| 6.29%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|6.ASSET|Equity|3|0.19|PDD| Pinduoduo, Inc. Sponsored ADR Class A| 6.17%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|7.ASSET|Equity|3|0.17|NTES| NetEase, Inc. Sponsored ADR| 5.82%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|8.ASSET|Equity|3|0.13|NPN| Naspers Limited Class N| 4.47%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|9.ASSET|Equity|3|0.13|035420| NAVER Corp.| 4.23%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|10.ASSET|Equity|3|0.11|MELI| MercadoLibre, Inc.| 3.62%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|11.ASSET|Equity|3|0.11|035720| Kakao Corp.| 3.55%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|12.ASSET|Equity|3|0.1|TCOM| Trip.com Group Ltd. Sponsored ADR| 3.37%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|13.ASSET|Equity|3|0.07|BILI| Bilibili, Inc. Sponsored ADR Class Z| 2.22%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|14.ASSET|Equity|3|0.05|TME| Tencent Music Entertainment Group Sponsored ADR Class A| 1.79%| Emerging Markets|Equity|Emerging Markets Equities|Technology|EWEB|6|15.ASSET|Equity|3|0.04|XP| XP Inc. Class A| 1.36%| Global|Equity|n/a||GBLD|6|1.ASSET|Equity|4.5|0.42|ARE| Alexandria Real Estate Equities, Inc.| 9.35%| Global|Equity|n/a||GBLD|6|2.ASSET|Equity|4.5|0.27|BXP| Boston Properties, Inc.| 6.06%| Global|Equity|n/a||GBLD|6|3.ASSET|Equity|4.5|0.23|16| Sun Hung Kai Properties Limited| 5.10%| Global|Equity|n/a||GBLD|6|4.ASSET|Equity|4.5|0.14|URW| Unibail-Rodamco-Westfield SE Stapled Secs Cons of 1 Sh Unibail Rodamco + 1 Sh WFD Unib Rod| 3.00%| Global|Equity|n/a||GBLD|6|5.ASSET|Equity|4.5|0.13|8951| Nippon Building Fund, Inc.| 2.81%| Global|Equity|n/a||GBLD|6|6.ASSET|Equity|4.5|0.11|C38U| CapitaLand Integrated Commercial Trust| 2.54%| Global|Equity|n/a||GBLD|6|7.ASSET|Equity|4.5|0.11|KRC| Kilroy Realty Corporation| 2.53%| Global|Equity|n/a||GBLD|6|8.ASSET|Equity|4.5|0.11|LAND| Land Securities Group PLC| 2.44%| Global|Equity|n/a||GBLD|6|9.ASSET|Equity|4.5|0.1|VNO| Vornado Realty Trust| 2.32%| Global|Equity|n/a||GBLD|6|10.ASSET|Equity|4.5|0.1|8952| Japan Real Estate Investment Corp.| 2.27%| Global|Equity|n/a||GBLD|6|11.ASSET|Equity|4.5|0.1|3281| GLP-J REIT| 2.18%| Global|Equity|n/a||GBLD|6|12.ASSET|Equity|4.5|0.09|3283| Nippon Prologis REIT, Inc.| 2.08%| Global|Equity|n/a||GBLD|6|13.ASSET|Equity|4.5|0.09|12| Henderson Land Development Co. Ltd.| 2.01%| Global|Equity|n/a||GBLD|6|14.ASSET|Equity|4.5|0.09|8953| Japan Metropolitan Fund Investment Corporation| 1.96%| Global|Equity|n/a||GBLD|6|15.ASSET|Equity|4.5|0.09|CUZ| Cousins Properties Incorporated| 1.94%| North America|Bond|Total Bond Market|Total Bond Market|TBJL|6|1.ASSET|Bond|6.5|6.49|N/A| OPTIONS| 99.78%| North America|Bond|Total Bond Market|Total Bond Market|TBJL|6|2.ASSET|Bond|6.5|0.01|N/A| U.S. Dollar| 0.22%| |Commodity|Oil & Gas||RJN|6|1.ASSET|Commodity|8.8|4.2|N/A| Sweet Light Crude Oil (WTI)| 47.73%| |Commodity|Oil & Gas||RJN|6|2.ASSET|Commodity|8.8|2.8|N/A| Brent Crude Oil| 31.82%| |Commodity|Oil & Gas||RJN|6|3.ASSET|Commodity|8.8|0.6|N/A| Gasoline RBOB| 6.82%| |Commodity|Oil & Gas||RJN|6|4.ASSET|Commodity|8.8|0.6|N/A| Natural Gas| 6.82%| |Commodity|Oil & Gas||RJN|6|5.ASSET|Commodity|8.8|0.36|N/A| NY Harbor ULSD (Heating Oil)| 4.09%| |Commodity|Oil & Gas||RJN|6|6.ASSET|Commodity|8.8|0.24|N/A| Gas Oil| 2.73%| Broad Asia|Equity|n/a||EATZ|6|1.ASSET|Equity|3.9|0.36|ARCO| Arcos Dorados Holdings, Inc. Class A| 9.11%| Broad Asia|Equity|n/a||EATZ|6|2.ASSET|Equity|3.9|0.26|CHUY| Chuy\'s Holdings, Inc.| 6.72%| Broad Asia|Equity|n/a||EATZ|6|3.ASSET|Equity|3.9|0.25|PLAY| Dave & Buster\'s Entertainment, Inc.| 6.33%| Broad Asia|Equity|n/a||EATZ|6|4.ASSET|Equity|3.9|0.25|RICK| RCI Hospitality Holdings, Inc.| 6.32%| Broad Asia|Equity|n/a||EATZ|6|5.ASSET|Equity|3.9|0.23|PZZA| Papa John\'s International, Inc.| 6.00%| Broad Asia|Equity|n/a||EATZ|6|6.ASSET|Equity|3.9|0.22|TACO| Del Taco Restaurants, Inc.| 5.71%| Broad Asia|Equity|n/a||EATZ|6|7.ASSET|Equity|3.9|0.22|DPZ| Domino\'s Pizza, Inc.| 5.55%| Broad Asia|Equity|n/a||EATZ|6|8.ASSET|Equity|3.9|0.21|BROS| Dutch Bros Inc. Class A| 5.40%| Broad Asia|Equity|n/a||EATZ|6|9.ASSET|Equity|3.9|0.18|STKS| ONE Group Hospitality, Inc.| 4.61%| Broad Asia|Equity|n/a||EATZ|6|10.ASSET|Equity|3.9|0.17|WING| Wingstop, Inc.| 4.27%| Broad Asia|Equity|n/a||EATZ|6|11.ASSET|Equity|3.9|0.16|DRI| Darden Restaurants, Inc.| 4.00%| Broad Asia|Equity|n/a||EATZ|6|12.ASSET|Equity|3.9|0.15|JACK| Jack in the Box Inc.| 3.80%| Broad Asia|Equity|n/a||EATZ|6|13.ASSET|Equity|3.9|0.15|WEN| Wendy\'s Company| 3.72%| Broad Asia|Equity|n/a||EATZ|6|14.ASSET|Equity|3.9|0.14|DENN| Denny\'s Corporation| 3.66%| Broad Asia|Equity|n/a||EATZ|6|15.ASSET|Equity|3.9|0.13|CMG| Chipotle Mexican Grill, Inc.| 3.28%| Global|Equity|n/a||KROP|6|1.ASSET|Equity|6|1.1|NTR| Nutrien Ltd.| 18.29%| Global|Equity|n/a||KROP|6|2.ASSET|Equity|6|1.07|CTVA| Corteva Inc| 17.76%| Global|Equity|n/a||KROP|6|3.ASSET|Equity|6|0.42|OTLY| Oatly Group AB Sponsored ADR| 7.08%| Global|Equity|n/a||KROP|6|4.ASSET|Equity|6|0.41|BYND| Beyond Meat, Inc.| 6.88%| Global|Equity|n/a||KROP|6|5.ASSET|Equity|6|0.3|NUF| Nufarm Limited| 5.07%| Global|Equity|n/a||KROP|6|6.ASSET|Equity|6|0.3|000998| Yuan Longping High-Tech Agriculture Co., Ltd. Class A| 5.03%| Global|Equity|n/a||KROP|6|7.ASSET|Equity|6|0.28|ULVR| Unilever PLC| 4.74%| Global|Equity|n/a||KROP|6|8.ASSET|Equity|6|0.28|LNN| Lindsay Corporation| 4.61%| Global|Equity|n/a||KROP|6|9.ASSET|Equity|6|0.26|000848| He Bei Cheng de Lolo Co. Ltd. Class A| 4.27%| Global|Equity|n/a||KROP|6|10.ASSET|Equity|6|0.23|BAYN| Bayer AG| 3.87%| Global|Equity|n/a||KROP|6|11.ASSET|Equity|6|0.18|ADM| Archer-Daniels-Midland Company| 2.93%| Global|Equity|n/a||KROP|6|12.ASSET|Equity|6|0.17|TTCF| Tattooed Chef Inc Class A| 2.90%| Global|Equity|n/a||KROP|6|13.ASSET|Equity|6|0.16|TITN| Titan Machinery Inc.| 2.61%| Global|Equity|n/a||KROP|6|14.ASSET|Equity|6|0.15|BN| Danone SA| 2.57%| Global|Equity|n/a||KROP|6|15.ASSET|Equity|6|0.15|HYFM| Hydrofarm Holdings Group, Inc.| 2.45%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|1.ASSET|Real Estate|7.5|0.69|688| China Overseas Land & Investment Limited| 9.24%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|2.ASSET|Real Estate|7.5|0.68|6098| Country Garden Services Holdings Co. Ltd.| 9.11%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|3.ASSET|Real Estate|7.5|0.68|1109| China Resources Land Limited| 9.06%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|4.ASSET|Real Estate|7.5|0.66|960| Longfor Group Holdings Ltd.| 8.82%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|5.ASSET|Real Estate|7.5|0.55|BEKE| KE Holdings, Inc. Sponsored ADR Class A| 7.33%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|6.ASSET|Real Estate|7.5|0.38|4| Wharf (Holdings) Ltd.| 5.00%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|7.ASSET|Real Estate|7.5|0.34|2007| Country Garden Holdings Co. Ltd.| 4.55%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|8.ASSET|Real Estate|7.5|0.25|2202| China Vanke Co., Ltd Class H| 3.39%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|9.ASSET|Real Estate|7.5|0.22|884| CIFI Holdings (Group) Co. Ltd.| 2.95%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|10.ASSET|Real Estate|7.5|0.2|1918| Sunac China Holdings Ltd.| 2.73%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|11.ASSET|Real Estate|7.5|0.19|817| China Jinmao Holdings Group Limited| 2.57%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|12.ASSET|Real Estate|7.5|0.17|600048| Poly Developments & Holdings Group Co., Ltd. Class A| 2.29%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|13.ASSET|Real Estate|7.5|0.14|2869| Greentown Service Group Co. Ltd.| 1.88%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|14.ASSET|Real Estate|7.5|0.14|754| Hopson Development Holdings Limited| 1.88%| Emerging Asia Pacific|Real Estate|Global Real Estate|Real Estate|CHIR|6|15.ASSET|Real Estate|7.5|0.14|1995| CIFI Ever Sunshine Services Group Limited| 1.87%| North America|Equity|n/a||JUNZ|6|1.ASSET|Equity|3.9|3.76|N/A| United States Treasury Bills 0.0% 02-JUN-2022| 96.47%| North America|Equity|n/a||JUNZ|6|2.ASSET|Equity|3.9|0.12|N/A| OPTIONS| 3.05%| North America|Equity|n/a||JUNZ|6|3.ASSET|Equity|3.9|0.01|FXFXX| First American Funds Inc X Treasury Obligations Fund| 0.25%| North America|Equity|n/a||JUNZ|6|4.ASSET|Equity|3.9|0.01|N/A| U.S. Dollar| 0.23%| Developed Asia Pacific|Currency|Leveraged Currency||CROC|6|1.ASSET|Currency|2.4|2.4|N/A| Australian dollar| 100.00%| |Commodity|Oil & Gas||JJE|6|1.ASSET|Commodity|6.4|2.81|N/A| Sweet Light Crude Oil (WTI)| 43.84%| |Commodity|Oil & Gas||JJE|6|2.ASSET|Commodity|6.4|1.9|N/A| Natural Gas| 29.73%| |Commodity|Oil & Gas||JJE|6|3.ASSET|Commodity|6.4|0.86|N/A| Gasoline RBOB| 13.51%| |Commodity|Oil & Gas||JJE|6|4.ASSET|Commodity|6.4|0.83|N/A| NY Harbor ULSD (Heating Oil)| 12.91%| North America|Equity|Inverse Equities||SBB|6|1.ASSET|Equity|4.2|4.2|N/A| U.S. Dollar| 100.00%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|1.ASSET|Equity|2.5|0.13|524715| Sun Pharmaceutical Industries Limited| 5.38%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|2.ASSET|Equity|2.5|0.12|207940| SAMSUNG BIOLOGICS Co., Ltd.| 4.76%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|3.ASSET|Equity|2.5|0.11|RDOR3| Rede D\'Or Sao Luiz SA| 4.34%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|4.ASSET|Equity|2.5|0.1|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 4.11%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|5.ASSET|Equity|2.5|0.09|HAPV3| Hapvida Participacoes e Investimentos SA| 3.72%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|6.ASSET|Equity|2.5|0.09|068270| Celltrion, Inc.| 3.63%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|7.ASSET|Equity|2.5|0.08|532488| Divi\'s Laboratories Limited| 3.05%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|8.ASSET|Equity|2.5|0.07|600276| Jiangsu Hengrui Pharmaceuticals Co., Ltd. Class A| 2.87%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|9.ASSET|Equity|2.5|0.07|5225| IHH Healthcare Bhd.| 2.80%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|10.ASSET|Equity|2.5|0.06|BDMS| Bangkok Dusit Medical Services Public Co. Ltd.| 2.32%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|11.ASSET|Equity|2.5|0.06|2269| Wuxi Biologics (Cayman) Inc.| 2.31%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|12.ASSET|Equity|2.5|0.06|600436| Zhangzhou Pientzehuang Pharmaceutical Co., Ltd. Class A| 2.29%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|13.ASSET|Equity|2.5|0.05|300122| Chongqing Zhifei Biological Products Co., Ltd. Class A| 2.08%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|14.ASSET|Equity|2.5|0.05|300015| Aier Eye Hospital Group Co., Ltd. Class A| 2.01%| Broad Asia|Equity|Health & Biotech Equities|Healthcare|KMED|6|15.ASSET|Equity|2.5|0.05|500087| Cipla Ltd| 2.01%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|1.ASSET|Equity|4|0.15|688| China Overseas Land & Investment Limited| 3.66%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|2.ASSET|Equity|4|0.14|QCOM| Qualcomm Inc| 3.55%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|3.ASSET|Equity|4|0.14|002572| Suofeiya Home Collection Co. Ltd Class A| 3.51%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|4.ASSET|Equity|4|0.14|2383| Elite Material Co., Ltd.| 3.41%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|5.ASSET|Equity|4|0.13|AFL| Aflac Incorporated| 3.36%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|6.ASSET|Equity|4|0.12|TISCO.F| TISCO Financial Group Public Co. Ltd.(Alien Mkt)| 3.09%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|7.ASSET|Equity|4|0.12|D05| DBS Group Holdings Ltd| 3.04%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|8.ASSET|Equity|4|0.12|1295| Public Bank Bhd| 2.99%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|9.ASSET|Equity|4|0.12|2388| BOC Hong Kong (Holdings) Limited| 2.92%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|10.ASSET|Equity|4|0.12|2318| Ping An Insurance (Group) Company of China, Ltd. Class H| 2.89%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|11.ASSET|Equity|4|0.12|1398| Industrial and Commercial Bank of China Limited Class H| 2.88%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|12.ASSET|Equity|4|0.12|C38U| CapitaLand Integrated Commercial Trust| 2.88%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|13.ASSET|Equity|4|0.11|867| China Medical System Holdings Ltd.| 2.87%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|14.ASSET|Equity|4|0.11|939| China Construction Bank Corporation Class H| 2.87%| Broad Asia|Equity|Asia Pacific Equities||ADIV|6|15.ASSET|Equity|4|0.11|3968| China Merchants Bank Co., Ltd. Class H| 2.87%| Global|Equity|n/a||XDAT|6|1.ASSET|Equity|3.4|0.23|GOOGL| Alphabet Inc. Class A| 6.64%| Global|Equity|n/a||XDAT|6|2.ASSET|Equity|3.4|0.21|DDOG| Datadog Inc Class A| 6.15%| Global|Equity|n/a||XDAT|6|3.ASSET|Equity|3.4|0.16|MSFT| Microsoft Corporation| 4.81%| Global|Equity|n/a||XDAT|6|4.ASSET|Equity|3.4|0.15|FTNT| Fortinet, Inc.| 4.49%| Global|Equity|n/a||XDAT|6|5.ASSET|Equity|3.4|0.15|ZS| Zscaler, Inc.| 4.39%| Global|Equity|n/a||XDAT|6|6.ASSET|Equity|3.4|0.12|SNOW| Snowflake, Inc. Class A| 3.63%| Global|Equity|n/a||XDAT|6|7.ASSET|Equity|3.4|0.12|ZI| ZoomInfo Technologies Inc| 3.60%| Global|Equity|n/a||XDAT|6|8.ASSET|Equity|3.4|0.12|PANW| Palo Alto Networks, Inc.| 3.54%| Global|Equity|n/a||XDAT|6|9.ASSET|Equity|3.4|0.11|CRWD| CrowdStrike Holdings, Inc. Class A| 3.27%| Global|Equity|n/a||XDAT|6|10.ASSET|Equity|3.4|0.11|NET| Cloudflare Inc Class A| 3.19%| Global|Equity|n/a||XDAT|6|11.ASSET|Equity|3.4|0.09|MDB| MongoDB, Inc. Class A| 2.74%| Global|Equity|n/a||XDAT|6|12.ASSET|Equity|3.4|0.08|TWLO| Twilio, Inc. Class A| 2.49%| Global|Equity|n/a||XDAT|6|13.ASSET|Equity|3.4|0.08|CCI| Crown Castle International Corp| 2.43%| Global|Equity|n/a||XDAT|6|14.ASSET|Equity|3.4|0.08|EQIX| Equinix, Inc.| 2.35%| Global|Equity|n/a||XDAT|6|15.ASSET|Equity|3.4|0.08|SBAC| SBA Communications Corp. Class A| 2.31%| North America|Equity|Hedge Fund||DYHG|6|1.ASSET|Equity|6.2|5.8|IVV| iShares Core S&P 500 ETF| 93.62%| North America|Equity|Hedge Fund||DYHG|6|2.ASSET|Equity|6.2|0.4|N/A| U.S. Dollar| 6.38%| Latin America|Equity|Latin America Equities||FLLA|6|1.ASSET|Equity|6.7|0.8|VALE3| Vale S.A.| 11.91%| Latin America|Equity|Latin America Equities||FLLA|6|2.ASSET|Equity|6.7|0.38|PETR4| Petroleo Brasileiro SA Pfd| 5.65%| Latin America|Equity|Latin America Equities||FLLA|6|3.ASSET|Equity|6.7|0.27|AMXL| America Movil SAB de CV Class L| 4.09%| Latin America|Equity|Latin America Equities||FLLA|6|4.ASSET|Equity|6.7|0.27|PETR3| Petroleo Brasileiro SA| 4.04%| Latin America|Equity|Latin America Equities||FLLA|6|5.ASSET|Equity|6.7|0.23|ITUB4| Itau Unibanco Holding SA Pfd| 3.49%| Latin America|Equity|Latin America Equities||FLLA|6|6.ASSET|Equity|6.7|0.19|WALMEX| Wal-Mart de Mexico SAB de CV| 2.80%| Latin America|Equity|Latin America Equities||FLLA|6|7.ASSET|Equity|6.7|0.19|BBDC4| Banco Bradesco SA Pfd| 2.77%| Latin America|Equity|Latin America Equities||FLLA|6|8.ASSET|Equity|6.7|0.18|GFNORTEO| Grupo Financiero Banorte SAB de CV Class O| 2.74%| Latin America|Equity|Latin America Equities||FLLA|6|9.ASSET|Equity|6.7|0.17|B3SA3| B3 SA - Brasil, Bolsa, Balcao| 2.55%| Latin America|Equity|Latin America Equities||FLLA|6|10.ASSET|Equity|6.7|0.17|GMEXICOB| Grupo Mexico S.A.B. de C.V. Class B| 2.52%| Latin America|Equity|Latin America Equities||FLLA|6|11.ASSET|Equity|6.7|0.15|FEMSAUBD| Fomento Economico Mexicano SAB de CV Units Cons. Of 1 ShsB And 4 ShsD| 2.17%| Latin America|Equity|Latin America Equities||FLLA|6|12.ASSET|Equity|6.7|0.12|ABEV3| Ambev SA| 1.84%| Latin America|Equity|Latin America Equities||FLLA|6|13.ASSET|Equity|6.7|0.1|HAPV3| Hapvida Participacoes e Investimentos SA| 1.47%| Latin America|Equity|Latin America Equities||FLLA|6|14.ASSET|Equity|6.7|0.09|ITSA4| Itausa - Investimentos Itau SA Pfd| 1.38%| Latin America|Equity|Latin America Equities||FLLA|6|15.ASSET|Equity|6.7|0.09|SQM.B| Sociedad Quimica y Minera de Chile SA Pfd Series B| 1.35%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|1.ASSET|Equity|3.3|0.29|300142| Walvax Biotechnology Co., Ltd. Class A| 8.83%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|2.ASSET|Equity|3.3|0.26|300601| Shenzhen Kangtai Biological Products Co. Ltd. Class A| 7.92%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|3.ASSET|Equity|3.3|0.24|000661| Changchun High & New Technology Industry (Group) Inc. Class A| 7.27%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|4.ASSET|Equity|3.3|0.21|BGNE| BeiGene, Ltd. Sponsored ADR| 6.25%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|5.ASSET|Equity|3.3|0.2|2269| Wuxi Biologics (Cayman) Inc.| 5.96%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|6.ASSET|Equity|3.3|0.17|1548| Genscript Biotech Corporation| 5.27%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|7.ASSET|Equity|3.3|0.16|1177| Sino Biopharmaceutical Limited| 4.99%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|8.ASSET|Equity|3.3|0.16|002007| Hualan Biological Engineering Inc. Class A| 4.86%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|9.ASSET|Equity|3.3|0.12|002252| Shanghai RAAS Blood Products Co., Ltd. Class A| 3.68%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|10.ASSET|Equity|3.3|0.11|603392| Beijing Wantai Biological Pharmacy Enterprise Co. Ltd. Class A| 3.34%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|11.ASSET|Equity|3.3|0.11|300676| BGI Genomics Co. Ltd. Class A| 3.26%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|12.ASSET|Equity|3.3|0.11|600161| Beijing Tiantan Biological Products Corporation Limited Class A| 3.25%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|13.ASSET|Equity|3.3|0.1|002030| Daan Gene Co., Ltd. Class A| 3.12%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|14.ASSET|Equity|3.3|0.1|ZLAB| Zai Lab Ltd. Sponsored ADR| 3.01%| Global ex-U.S.|Equity|Foreign Large Cap Equities|Healthcare|CHB|6|15.ASSET|Equity|3.3|0.1|603127| Joinn Laboratories (China) Co., Ltd. Class A| 3.00%| North America|Equity|n/a||QRMI|6|1.ASSET|Equity|14.2|1.77|AAPL| Apple Inc.| 12.43%| North America|Equity|n/a||QRMI|6|2.ASSET|Equity|14.2|1.46|MSFT| Microsoft Corporation| 10.27%| North America|Equity|n/a||QRMI|6|3.ASSET|Equity|14.2|1.01|AMZN| Amazon.com, Inc.| 7.11%| North America|Equity|n/a||QRMI|6|4.ASSET|Equity|14.2|0.57|TSLA| Tesla Inc| 4.03%| North America|Equity|n/a||QRMI|6|5.ASSET|Equity|14.2|0.56|GOOG| Alphabet Inc. Class C| 3.95%| North America|Equity|n/a||QRMI|6|6.ASSET|Equity|14.2|0.55|NVDA| NVIDIA Corporation| 3.84%| North America|Equity|n/a||QRMI|6|7.ASSET|Equity|14.2|0.53|GOOGL| Alphabet Inc. Class A| 3.73%| North America|Equity|n/a||QRMI|6|8.ASSET|Equity|14.2|0.47|FB| Meta Platforms Inc. Class A| 3.34%| North America|Equity|n/a||QRMI|6|9.ASSET|Equity|14.2|0.26|AVGO| Broadcom Inc.| 1.81%| North America|Equity|n/a||QRMI|6|10.ASSET|Equity|14.2|0.25|CSCO| Cisco Systems, Inc.| 1.78%| North America|Equity|n/a||QRMI|6|11.ASSET|Equity|14.2|0.25|COST| Costco Wholesale Corporation| 1.77%| North America|Equity|n/a||QRMI|6|12.ASSET|Equity|14.2|0.25|PEP| PepsiCo, Inc.| 1.73%| North America|Equity|n/a||QRMI|6|13.ASSET|Equity|14.2|0.24|ADBE| Adobe Inc.| 1.71%| North America|Equity|n/a||QRMI|6|14.ASSET|Equity|14.2|0.23|CMCSA| Comcast Corporation Class A| 1.63%| North America|Equity|n/a||QRMI|6|15.ASSET|Equity|14.2|0.21|INTC| Intel Corporation| 1.45%| North America|Equity|Large Cap Growth Equities||SPXV|6|1.ASSET|Equity|4.1|0.33|AAPL| Apple Inc.| 8.05%| North America|Equity|Large Cap Growth Equities||SPXV|6|2.ASSET|Equity|4.1|0.29|MSFT| Microsoft Corporation| 6.99%| North America|Equity|Large Cap Growth Equities||SPXV|6|3.ASSET|Equity|4.1|0.17|AMZN| Amazon.com, Inc.| 4.11%| North America|Equity|Large Cap Growth Equities||SPXV|6|4.ASSET|Equity|4.1|0.1|GOOGL| Alphabet Inc. Class A| 2.53%| North America|Equity|Large Cap Growth Equities||SPXV|6|5.ASSET|Equity|4.1|0.1|GOOG| Alphabet Inc. Class C| 2.34%| North America|Equity|Large Cap Growth Equities||SPXV|6|6.ASSET|Equity|4.1|0.09|TSLA| Tesla Inc| 2.21%| North America|Equity|Large Cap Growth Equities||SPXV|6|7.ASSET|Equity|4.1|0.08|NVDA| NVIDIA Corporation| 1.88%| North America|Equity|Large Cap Growth Equities||SPXV|6|8.ASSET|Equity|4.1|0.08|BRK.B| Berkshire Hathaway Inc. Class B| 1.84%| North America|Equity|Large Cap Growth Equities||SPXV|6|9.ASSET|Equity|4.1|0.06|FB| Meta Platforms Inc. Class A| 1.53%| North America|Equity|Large Cap Growth Equities||SPXV|6|10.ASSET|Equity|4.1|0.05|JPM| JPMorgan Chase & Co.| 1.27%| North America|Equity|Large Cap Growth Equities||SPXV|6|11.ASSET|Equity|4.1|0.05|PG| Procter & Gamble Company| 1.15%| North America|Equity|Large Cap Growth Equities||SPXV|6|12.ASSET|Equity|4.1|0.04|V| Visa Inc. Class A| 1.09%| North America|Equity|Large Cap Growth Equities||SPXV|6|13.ASSET|Equity|4.1|0.04|HD| Home Depot, Inc.| 1.07%| North America|Equity|Large Cap Growth Equities||SPXV|6|14.ASSET|Equity|4.1|0.04|XOM| Exxon Mobil Corporation| 1.06%| North America|Equity|Large Cap Growth Equities||SPXV|6|15.ASSET|Equity|4.1|0.04|BAC| Bank of America Corp| 0.96%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|1.ASSET|Equity|4.9|0.13|CSL| CSL Limited| 2.56%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|2.ASSET|Equity|4.9|0.1|ASML| ASML Holding NV| 1.96%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|3.ASSET|Equity|4.9|0.09|7203| Toyota Motor Corp.| 1.93%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|4.ASSET|Equity|4.9|0.07|MC| LVMH Moet Hennessy Louis Vuitton SE| 1.50%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|5.ASSET|Equity|4.9|0.07|DGE| Diageo plc| 1.50%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|6.ASSET|Equity|4.9|0.07|SHEL| Shell PLC| 1.47%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|7.ASSET|Equity|4.9|0.07|7741| HOYA CORPORATION| 1.39%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|8.ASSET|Equity|4.9|0.06|BHP| BHP Group Ltd| 1.30%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|9.ASSET|Equity|4.9|0.06|OR| L\'Oreal SA| 1.26%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|10.ASSET|Equity|4.9|0.05|ALC| Alcon AG| 1.07%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|11.ASSET|Equity|4.9|0.05|HSBA| HSBC Holdings Plc| 1.00%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|12.ASSET|Equity|4.9|0.05|1299| AIA Group Limited| 0.93%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|13.ASSET|Equity|4.9|0.04|TTE| TotalEnergies SE| 0.89%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|14.ASSET|Equity|4.9|0.04|SAP| SAP SE| 0.88%| Developed Markets|Equity|Foreign Large Cap Equities||CEFA|6|15.ASSET|Equity|4.9|0.04|SIE| Siemens AG| 0.87%| Developed Markets|Alternatives|Global Equities||MCRO|6|1.ASSET|Alternatives|4.1|0.77|ULTR| IQ Ultra Short Duration ETF| 18.84%| Developed Markets|Alternatives|Global Equities||MCRO|6|2.ASSET|Alternatives|4.1|0.38|CWB| SPDR Bloomberg Convertible Securities ETF| 9.31%| Developed Markets|Alternatives|Global Equities||MCRO|6|3.ASSET|Alternatives|4.1|0.29|VWO| Vanguard FTSE Emerging Markets ETF| 7.14%| Developed Markets|Alternatives|Global Equities||MCRO|6|4.ASSET|Alternatives|4.1|0.27|VCSH| Vanguard Short-Term Corporate Bond ETF| 6.63%| Developed Markets|Alternatives|Global Equities||MCRO|6|5.ASSET|Alternatives|4.1|0.27|IEMG| iShares Core MSCI Emerging Markets ETF| 6.61%| Developed Markets|Alternatives|Global Equities||MCRO|6|6.ASSET|Alternatives|4.1|0.19|EEMV| iShares MSCI Emerging Markets Min Vol Factor ETF| 4.60%| Developed Markets|Alternatives|Global Equities||MCRO|6|7.ASSET|Alternatives|4.1|0.17|FLOT| iShares Floating Rate Bond ETF| 4.11%| Developed Markets|Alternatives|Global Equities||MCRO|6|8.ASSET|Alternatives|4.1|0.15|EMLC| VanEck J. P. Morgan EM Local Currency Bond ETF| 3.76%| Developed Markets|Alternatives|Global Equities||MCRO|6|9.ASSET|Alternatives|4.1|0.15|VGK| Vanguard FTSE Europe ETF| 3.58%| Developed Markets|Alternatives|Global Equities||MCRO|6|10.ASSET|Alternatives|4.1|0.14|IEI| iShares 3-7 Year Treasury Bond ETF| 3.39%| Developed Markets|Alternatives|Global Equities||MCRO|6|11.ASSET|Alternatives|4.1|0.13|VGIT| Vanguard Intermediate-Term Treasury ETF| 3.24%| Developed Markets|Alternatives|Global Equities||MCRO|6|12.ASSET|Alternatives|4.1|0.12|UUP| Invesco DB US Dollar Index Bullish Fund| 2.87%| Developed Markets|Alternatives|Global Equities||MCRO|6|13.ASSET|Alternatives|4.1|0.11|EWX| SPDR S&P Emerging Markets Small Cap ETF| 2.80%| Developed Markets|Alternatives|Global Equities||MCRO|6|14.ASSET|Alternatives|4.1|0.1|ICVT| iShares Convertible Bond ETF| 2.39%| Developed Markets|Alternatives|Global Equities||MCRO|6|15.ASSET|Alternatives|4.1|0.09|GUNR| FlexShares Morningstar Global Upstream Natural Resources Index Fund| 2.29%| North America|Equity|Europe Equities||FLIY|6|1.ASSET|Equity|3.6|0.43|ENEL| Enel SpA| 11.83%| North America|Equity|Europe Equities||FLIY|6|2.ASSET|Equity|3.6|0.33|ENI| Eni S.p.A.| 9.06%| North America|Equity|Europe Equities||FLIY|6|3.ASSET|Equity|3.6|0.32|ISP| Intesa Sanpaolo S.p.A.| 8.87%| North America|Equity|Europe Equities||FLIY|6|4.ASSET|Equity|3.6|0.28|STLA| Stellantis N.V.| 7.84%| North America|Equity|Europe Equities||FLIY|6|5.ASSET|Equity|3.6|0.21|RACE| Ferrari NV| 5.95%| North America|Equity|Europe Equities||FLIY|6|6.ASSET|Equity|3.6|0.21|UCG| UniCredit S.p.A.| 5.88%| North America|Equity|Europe Equities||FLIY|6|7.ASSET|Equity|3.6|0.17|G| Assicurazioni Generali S.p.A.| 4.63%| North America|Equity|Europe Equities||FLIY|6|8.ASSET|Equity|3.6|0.12|TRN| Terna S.p.A.| 3.30%| North America|Equity|Europe Equities||FLIY|6|9.ASSET|Equity|3.6|0.12|SRG| Snam S.p.A.| 3.28%| North America|Equity|Europe Equities||FLIY|6|10.ASSET|Equity|3.6|0.11|CNHI| CNH Industrial NV| 3.15%| North America|Equity|Europe Equities||FLIY|6|11.ASSET|Equity|3.6|0.1|MONC| Moncler SpA| 2.85%| North America|Equity|Europe Equities||FLIY|6|12.ASSET|Equity|3.6|0.1|FBK| FinecoBank SpA| 2.69%| North America|Equity|Europe Equities||FLIY|6|13.ASSET|Equity|3.6|0.09|ATL| Atlantia S.p.A| 2.45%| North America|Equity|Europe Equities||FLIY|6|14.ASSET|Equity|3.6|0.09|PRY| Prysmian S.p.A.| 2.41%| North America|Equity|Europe Equities||FLIY|6|15.ASSET|Equity|3.6|0.08|NEXI| Nexi S.p.A.| 2.16%| North America|Bond|National Munis|Municipal Bond|MAAX|6|1.ASSET|Bond|4|1.4|ITM| VanEck Intermediate Muni ETF| 34.93%| North America|Bond|National Munis|Municipal Bond|MAAX|6|2.ASSET|Bond|4|1.21|HYD| VanEck High Yield Muni ETF| 30.28%| North America|Bond|National Munis|Municipal Bond|MAAX|6|3.ASSET|Bond|4|0.4|MLN| VanEck Long Muni ETF| 10.11%| North America|Bond|National Munis|Municipal Bond|MAAX|6|4.ASSET|Bond|4|0.21|SHYD| VanEck Short High Yield Muni ETF| 5.16%| North America|Bond|National Munis|Municipal Bond|MAAX|6|5.ASSET|Bond|4|0.2|SMB| VanEck Short Muni ETF| 5.00%| North America|Bond|National Munis|Municipal Bond|MAAX|6|6.ASSET|Bond|4|0.08|KTF| DWS Municipal Income Trust| 1.91%| North America|Bond|National Munis|Municipal Bond|MAAX|6|7.ASSET|Bond|4|0.04|VFL| Delaware Investments National Municipal Income Fund| 1.00%| North America|Bond|National Munis|Municipal Bond|MAAX|6|8.ASSET|Bond|4|0.04|CXH| MFS Investment Grade Municipal Trust| 0.99%| North America|Bond|National Munis|Municipal Bond|MAAX|6|9.ASSET|Bond|4|0.04|MYI| BlackRock MuniYield Quality Fund III Inc| 0.98%| North America|Bond|National Munis|Municipal Bond|MAAX|6|10.ASSET|Bond|4|0.04|MFM| MFS Municipal Income Trust| 0.98%| North America|Bond|National Munis|Municipal Bond|MAAX|6|11.ASSET|Bond|4|0.04|NQP| Nuveen Pennsylvania Quality Municipal Income Fund| 0.98%| North America|Bond|National Munis|Municipal Bond|MAAX|6|12.ASSET|Bond|4|0.04|NUO| Nuveen Ohio Quality Municipal Income Fund| 0.97%| North America|Bond|National Munis|Municipal Bond|MAAX|6|13.ASSET|Bond|4|0.04|MMU| Western Asset Managed Municipals Fund| 0.97%| North America|Bond|National Munis|Municipal Bond|MAAX|6|14.ASSET|Bond|4|0.04|NBW| Neuberger Berman California Municipal Fund Inc| 0.97%| North America|Bond|National Munis|Municipal Bond|MAAX|6|15.ASSET|Bond|4|0.04|ENX| Eaton Vance New York Municipal Bond Fund| 0.96%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|1.ASSET|Multi-Asset|3.5|0.43|DBO| Invesco DB Oil Fund| 12.39%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|2.ASSET|Multi-Asset|3.5|0.42|PDBC| Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF| 12.12%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|3.ASSET|Multi-Asset|3.5|0.4|DBE| Invesco DB Energy Fund| 11.50%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|4.ASSET|Multi-Asset|3.5|0.39|YPS| Arrow Reverse Cap 500 ETF| 11.27%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|5.ASSET|Multi-Asset|3.5|0.34|XLE| Energy Select Sector SPDR Fund| 9.80%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|6.ASSET|Multi-Asset|3.5|0.33|RWR| SPDR Dow Jones REIT ETF| 9.30%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|7.ASSET|Multi-Asset|3.5|0.32|XLF| Financial Select Sector SPDR Fund| 9.01%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|8.ASSET|Multi-Asset|3.5|0.31|ICF| iShares Cohen & Steers REIT ETF| 8.90%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|9.ASSET|Multi-Asset|3.5|0.3|DTD| WisdomTree U.S. Total Dividend Fund| 8.67%| North America|Multi-Asset|Diversified Portfolio||DWAT|6|10.ASSET|Multi-Asset|3.5|0.29|XLK| Technology Select Sector SPDR Fund| 8.22%| |Equity|Global Equities||CFCV|6|1.ASSET|Equity|3.4|0.16|BAC| Bank of America Corp| 4.85%| |Equity|Global Equities||CFCV|6|2.ASSET|Equity|3.4|0.16|JPM| JPMorgan Chase & Co.| 4.83%| |Equity|Global Equities||CFCV|6|3.ASSET|Equity|3.4|0.16|UNH| UnitedHealth Group Incorporated| 4.67%| |Equity|Global Equities||CFCV|6|4.ASSET|Equity|3.4|0.15|DE| Deere & Company| 4.55%| |Equity|Global Equities||CFCV|6|5.ASSET|Equity|3.4|0.14|TEL| TE Connectivity Ltd.| 4.07%| |Equity|Global Equities||CFCV|6|6.ASSET|Equity|3.4|0.12|CSCO| Cisco Systems, Inc.| 3.47%| |Equity|Global Equities||CFCV|6|7.ASSET|Equity|3.4|0.12|SRE| Sempra Energy| 3.44%| |Equity|Global Equities||CFCV|6|8.ASSET|Equity|3.4|0.11|BRK.B| Berkshire Hathaway Inc. Class B| 3.09%| |Equity|Global Equities||CFCV|6|9.ASSET|Equity|3.4|0.11|AXP| American Express Company| 3.09%| |Equity|Global Equities||CFCV|6|10.ASSET|Equity|3.4|0.1|BKNG| Booking Holdings Inc.| 2.91%| |Equity|Global Equities||CFCV|6|11.ASSET|Equity|3.4|0.1|SCHW| Charles Schwab Corporation| 2.88%| |Equity|Global Equities||CFCV|6|12.ASSET|Equity|3.4|0.09|APD| Air Products and Chemicals, Inc.| 2.75%| |Equity|Global Equities||CFCV|6|13.ASSET|Equity|3.4|0.09|TRP| TC Energy Corporation| 2.75%| |Equity|Global Equities||CFCV|6|14.ASSET|Equity|3.4|0.09|JNJ| Johnson & Johnson| 2.72%| |Equity|Global Equities||CFCV|6|15.ASSET|Equity|3.4|0.09|MSI| Motorola Solutions, Inc.| 2.70%| Global|Equity|Financials Equities|Financials|VFIN|6|1.ASSET|Equity|1.7|0.33|UPST| Upstart Holdings, Inc.| 19.41%| Global|Equity|Financials Equities|Financials|VFIN|6|2.ASSET|Equity|1.7|0.14|FOUR| Shift4 Payments, Inc. Class A| 8.45%| Global|Equity|Financials Equities|Financials|VFIN|6|3.ASSET|Equity|1.7|0.14|SQ| Block Inc Class A| 8.20%| Global|Equity|Financials Equities|Financials|VFIN|6|4.ASSET|Equity|1.7|0.09|SHOP| Shopify, Inc. Class A| 5.34%| Global|Equity|Financials Equities|Financials|VFIN|6|5.ASSET|Equity|1.7|0.07|TSLA| Tesla Inc| 4.35%| Global|Equity|Financials Equities|Financials|VFIN|6|6.ASSET|Equity|1.7|0.07|SOFI| SoFi Technologies Inc| 4.17%| Global|Equity|Financials Equities|Financials|VFIN|6|7.ASSET|Equity|1.7|0.06|MELI| MercadoLibre, Inc.| 3.58%| Global|Equity|Financials Equities|Financials|VFIN|6|8.ASSET|Equity|1.7|0.06|SE| Sea Ltd. (Singapore) Sponsored ADR Class A| 3.33%| Global|Equity|Financials Equities|Financials|VFIN|6|9.ASSET|Equity|1.7|0.05|MARA| Marathon Digital Holdings Inc| 3.16%| Global|Equity|Financials Equities|Financials|VFIN|6|10.ASSET|Equity|1.7|0.05|TOST| Toast, Inc. Class A| 2.69%| Global|Equity|Financials Equities|Financials|VFIN|6|11.ASSET|Equity|1.7|0.04|PYPL| PayPal Holdings, Inc.| 2.39%| Global|Equity|Financials Equities|Financials|VFIN|6|12.ASSET|Equity|1.7|0.04|ADYEY| Adyen N.V. Unsponsored ADR| 2.34%| Global|Equity|Financials Equities|Financials|VFIN|6|13.ASSET|Equity|1.7|0.04|HOOD| Robinhood Markets, Inc. Class A| 2.17%| Global|Equity|Financials Equities|Financials|VFIN|6|14.ASSET|Equity|1.7|0.03|AAPL| Apple Inc.| 1.89%| Global|Equity|Financials Equities|Financials|VFIN|6|15.ASSET|Equity|1.7|0.03|LSPD| Lightspeed Commerce Inc| 1.86%| North America|Equity|n/a||LGBT|6|1.ASSET|Equity|2.6|0.09|TSLA| Tesla Inc| 3.49%| North America|Equity|n/a||LGBT|6|2.ASSET|Equity|2.6|0.09|AAPL| Apple Inc.| 3.30%| North America|Equity|n/a||LGBT|6|3.ASSET|Equity|2.6|0.08|AMZN| Amazon.com, Inc.| 3.24%| North America|Equity|n/a||LGBT|6|4.ASSET|Equity|2.6|0.08|NOW| ServiceNow, Inc.| 3.22%| North America|Equity|n/a||LGBT|6|5.ASSET|Equity|2.6|0.08|MSFT| Microsoft Corporation| 2.93%| North America|Equity|n/a||LGBT|6|6.ASSET|Equity|2.6|0.07|FIS| Fidelity National Information Services, Inc.| 2.51%| North America|Equity|n/a||LGBT|6|7.ASSET|Equity|2.6|0.06|T| AT&T Inc.| 2.40%| North America|Equity|n/a||LGBT|6|8.ASSET|Equity|2.6|0.05|DIS| Walt Disney Company| 1.89%| North America|Equity|n/a||LGBT|6|9.ASSET|Equity|2.6|0.04|KO| Coca-Cola Company| 1.57%| North America|Equity|n/a||LGBT|6|10.ASSET|Equity|2.6|0.04|UNH| UnitedHealth Group Incorporated| 1.55%| North America|Equity|n/a||LGBT|6|11.ASSET|Equity|2.6|0.04|ABBV| AbbVie, Inc.| 1.39%| North America|Equity|n/a||LGBT|6|12.ASSET|Equity|2.6|0.04|MAR| Marriott International, Inc. Class A| 1.38%| North America|Equity|n/a||LGBT|6|13.ASSET|Equity|2.6|0.04|V| Visa Inc. Class A| 1.37%| North America|Equity|n/a||LGBT|6|14.ASSET|Equity|2.6|0.03|VZ| Verizon Communications Inc.| 1.33%| North America|Equity|n/a||LGBT|6|15.ASSET|Equity|2.6|0.03|SPGI| S&P Global, Inc.| 1.32%| North America|Equity|Large Cap Growth Equities||GGRW|6|1.ASSET|Equity|3.4|0.31|AMZN| Amazon.com, Inc.| 9.19%| North America|Equity|Large Cap Growth Equities||GGRW|6|2.ASSET|Equity|3.4|0.24|NVDA| NVIDIA Corporation| 6.97%| North America|Equity|Large Cap Growth Equities||GGRW|6|3.ASSET|Equity|3.4|0.23|GOOG| Alphabet Inc. Class C| 6.77%| North America|Equity|Large Cap Growth Equities||GGRW|6|4.ASSET|Equity|3.4|0.16|MSFT| Microsoft Corporation| 4.73%| North America|Equity|Large Cap Growth Equities||GGRW|6|5.ASSET|Equity|3.4|0.15|FB| Meta Platforms Inc. Class A| 4.48%| North America|Equity|Large Cap Growth Equities||GGRW|6|6.ASSET|Equity|3.4|0.13|NOW| ServiceNow, Inc.| 3.75%| North America|Equity|Large Cap Growth Equities||GGRW|6|7.ASSET|Equity|3.4|0.12|ZI| ZoomInfo Technologies Inc| 3.58%| North America|Equity|Large Cap Growth Equities||GGRW|6|8.ASSET|Equity|3.4|0.12|TMO| Thermo Fisher Scientific Inc.| 3.56%| North America|Equity|Large Cap Growth Equities||GGRW|6|9.ASSET|Equity|3.4|0.11|SNOW| Snowflake, Inc. Class A| 3.32%| North America|Equity|Large Cap Growth Equities||GGRW|6|10.ASSET|Equity|3.4|0.11|APTV| Aptiv PLC| 3.19%| North America|Equity|Large Cap Growth Equities||GGRW|6|11.ASSET|Equity|3.4|0.11|AMAT| Applied Materials, Inc.| 3.10%| North America|Equity|Large Cap Growth Equities||GGRW|6|12.ASSET|Equity|3.4|0.11|ISRG| Intuitive Surgical, Inc.| 3.09%| North America|Equity|Large Cap Growth Equities||GGRW|6|13.ASSET|Equity|3.4|0.1|V| Visa Inc. Class A| 3.07%| North America|Equity|Large Cap Growth Equities||GGRW|6|14.ASSET|Equity|3.4|0.1|LSCC| Lattice Semiconductor Corporation| 3.04%| North America|Equity|Large Cap Growth Equities||GGRW|6|15.ASSET|Equity|3.4|0.1|MRVL| Marvell Technology, Inc.| 2.97%| North America|Equity|Leveraged Equities|Financials|BNKD|6|1.ASSET|Equity|4.5|9|N/A| Cash Component| 200.00%| North America|Equity|Leveraged Equities|Financials|BNKD|6|2.ASSET|Equity|4.5|-0.43|WFC| Wells Fargo & Co| -9.52%| North America|Equity|Leveraged Equities|Financials|BNKD|6|3.ASSET|Equity|4.5|-0.43|USB| U.S. Bancorp| -9.63%| North America|Equity|Leveraged Equities|Financials|BNKD|6|4.ASSET|Equity|4.5|-0.44|SCHW| Charles Schwab Corp| -9.84%| North America|Equity|Leveraged Equities|Financials|BNKD|6|5.ASSET|Equity|4.5|-0.45|PNC| PNC Financial Services Group Inc| -10.02%| North America|Equity|Leveraged Equities|Financials|BNKD|6|6.ASSET|Equity|4.5|-0.45|BAC| Bank of America Corp| -10.03%| North America|Equity|Leveraged Equities|Financials|BNKD|6|7.ASSET|Equity|4.5|-0.46|JPM| JPMorgan Chase & Co| -10.15%| North America|Equity|Leveraged Equities|Financials|BNKD|6|8.ASSET|Equity|4.5|-0.46|C| Citigroup Inc| -10.22%| North America|Equity|Leveraged Equities|Financials|BNKD|6|9.ASSET|Equity|4.5|-0.47|GS| Goldman Sachs Group Inc| -10.34%| North America|Equity|Leveraged Equities|Financials|BNKD|6|10.ASSET|Equity|4.5|-0.47|MS| Morgan Stanley| -10.45%| Africa|Equity|Emerging Markets Equities||FLZA|6|1.ASSET|Equity|5.7|0.49|NPN| Naspers Limited Class N| 8.55%| Africa|Equity|Emerging Markets Equities||FLZA|6|2.ASSET|Equity|5.7|0.42|MTN| MTN Group Limited| 7.42%| Africa|Equity|Emerging Markets Equities||FLZA|6|3.ASSET|Equity|5.7|0.4|FSR| FirstRand Limited| 6.97%| Africa|Equity|Emerging Markets Equities||FLZA|6|4.ASSET|Equity|5.7|0.28|IMP| Impala Platinum Holdings Limited| 4.95%| Africa|Equity|Emerging Markets Equities||FLZA|6|5.ASSET|Equity|5.7|0.27|SBK| Standard Bank Group Limited| 4.67%| Africa|Equity|Emerging Markets Equities||FLZA|6|6.ASSET|Equity|5.7|0.25|SSW| Sibanye Stillwater Limited| 4.35%| Africa|Equity|Emerging Markets Equities||FLZA|6|7.ASSET|Equity|5.7|0.24|SOL| Sasol Limited| 4.29%| Africa|Equity|Emerging Markets Equities||FLZA|6|8.ASSET|Equity|5.7|0.23|GFI| Gold Fields Limited| 4.06%| Africa|Equity|Emerging Markets Equities||FLZA|6|9.ASSET|Equity|5.7|0.21|CPI| Capitec Bank Holdings Limited| 3.62%| Africa|Equity|Emerging Markets Equities||FLZA|6|10.ASSET|Equity|5.7|0.19|ANG| AngloGold Ashanti Limited| 3.30%| Africa|Equity|Emerging Markets Equities||FLZA|6|11.ASSET|Equity|5.7|0.18|AMS| Anglo American Platinum Limited| 3.10%| Africa|Equity|Emerging Markets Equities||FLZA|6|12.ASSET|Equity|5.7|0.15|ABG| Absa Group Limited| 2.61%| Africa|Equity|Emerging Markets Equities||FLZA|6|13.ASSET|Equity|5.7|0.13|SHP| Shoprite Holdings Limited| 2.36%| Africa|Equity|Emerging Markets Equities||FLZA|6|14.ASSET|Equity|5.7|0.13|SLM| Sanlam Limited| 2.35%| Africa|Equity|Emerging Markets Equities||FLZA|6|15.ASSET|Equity|5.7|0.13|BID| Bid Corporation Limited| 2.20%| North America|Equity|Large Cap Growth Equities||AFLG|6|1.ASSET|Equity|3.9|0.27|AAPL| Apple Inc.| 6.99%| North America|Equity|Large Cap Growth Equities||AFLG|6|2.ASSET|Equity|3.9|0.16|GOOGL| Alphabet Inc. Class A| 4.14%| North America|Equity|Large Cap Growth Equities||AFLG|6|3.ASSET|Equity|3.9|0.16|MSFT| Microsoft Corporation| 4.06%| North America|Equity|Large Cap Growth Equities||AFLG|6|4.ASSET|Equity|3.9|0.07|AMZN| Amazon.com, Inc.| 1.87%| North America|Equity|Large Cap Growth Equities||AFLG|6|5.ASSET|Equity|3.9|0.07|BRK.B| Berkshire Hathaway Inc. Class B| 1.82%| North America|Equity|Large Cap Growth Equities||AFLG|6|6.ASSET|Equity|3.9|0.05|NVR| NVR, Inc.| 1.16%| North America|Equity|Large Cap Growth Equities||AFLG|6|7.ASSET|Equity|3.9|0.04|PFE| Pfizer Inc.| 1.15%| North America|Equity|Large Cap Growth Equities||AFLG|6|8.ASSET|Equity|3.9|0.04|HPQ| HP Inc.| 1.10%| North America|Equity|Large Cap Growth Equities||AFLG|6|9.ASSET|Equity|3.9|0.04|XOM| Exxon Mobil Corporation| 1.08%| North America|Equity|Large Cap Growth Equities||AFLG|6|10.ASSET|Equity|3.9|0.04|AZO| AutoZone, Inc.| 1.01%| North America|Equity|Large Cap Growth Equities||AFLG|6|11.ASSET|Equity|3.9|0.04|CSCO| Cisco Systems, Inc.| 0.98%| North America|Equity|Large Cap Growth Equities||AFLG|6|12.ASSET|Equity|3.9|0.04|ANTM| Anthem, Inc.| 0.96%| North America|Equity|Large Cap Growth Equities||AFLG|6|13.ASSET|Equity|3.9|0.04|GD| General Dynamics Corporation| 0.93%| North America|Equity|Large Cap Growth Equities||AFLG|6|14.ASSET|Equity|3.9|0.03|JNPR| Juniper Networks, Inc.| 0.89%| North America|Equity|Large Cap Growth Equities||AFLG|6|15.ASSET|Equity|3.9|0.03|KR| Kroger Co.| 0.88%| Global ex-U.S.|Equity|n/a||DMCY|6|1.ASSET|Equity|3.7|0.95|VPL| Vanguard FTSE Pacific ETF| 25.63%| Global ex-U.S.|Equity|n/a||DMCY|6|2.ASSET|Equity|3.7|0.26|VWO| Vanguard FTSE Emerging Markets ETF| 7.15%| Global ex-U.S.|Equity|n/a||DMCY|6|3.ASSET|Equity|3.7|0.17|EWT| iShares MSCI Taiwan ETF| 4.67%| Global ex-U.S.|Equity|n/a||DMCY|6|4.ASSET|Equity|3.7|0.09|INDA| iShares MSCI India ETF| 2.42%| Global ex-U.S.|Equity|n/a||DMCY|6|5.ASSET|Equity|3.7|0.09|EWJ| iShares MSCI Japan ETF| 2.38%| Global ex-U.S.|Equity|n/a||DMCY|6|6.ASSET|Equity|3.7|0.05|NESN| Nestle S.A.| 1.48%| Global ex-U.S.|Equity|n/a||DMCY|6|7.ASSET|Equity|3.7|0.05|EWZ| iShares MSCI Brazil ETF| 1.36%| Global ex-U.S.|Equity|n/a||DMCY|6|8.ASSET|Equity|3.7|0.05|ASML| ASML Holding NV| 1.27%| Global ex-U.S.|Equity|n/a||DMCY|6|9.ASSET|Equity|3.7|0.05|ROG| Roche Holding Ltd| 1.23%| Global ex-U.S.|Equity|n/a||DMCY|6|10.ASSET|Equity|3.7|0.04|SHEL| Shell PLC| 1.18%| Global ex-U.S.|Equity|n/a||DMCY|6|11.ASSET|Equity|3.7|0.04|EWA| iShares MSCI Australia ETF| 1.17%| Global ex-U.S.|Equity|n/a||DMCY|6|12.ASSET|Equity|3.7|0.03|EZA| iShares MSCI South Africa ETF| 0.89%| Global ex-U.S.|Equity|n/a||DMCY|6|13.ASSET|Equity|3.7|0.03|NOVN| Novartis AG| 0.89%| Global ex-U.S.|Equity|n/a||DMCY|6|14.ASSET|Equity|3.7|0.03|EIS| iShares MSCI Israel ETF| 0.87%| Global ex-U.S.|Equity|n/a||DMCY|6|15.ASSET|Equity|3.7|0.03|AZN| AstraZeneca PLC| 0.86%| Global|Equity|n/a||VCLN|6|1.ASSET|Equity|3.3|0.25|ENPH| Enphase Energy, Inc.| 7.54%| Global|Equity|n/a||VCLN|6|2.ASSET|Equity|3.3|0.23|ORSTED| Orsted| 7.02%| Global|Equity|n/a||VCLN|6|3.ASSET|Equity|3.3|0.23|VWS| Vestas Wind Systems A/S| 6.95%| Global|Equity|n/a||VCLN|6|4.ASSET|Equity|3.3|0.18|SEDG| SolarEdge Technologies, Inc.| 5.42%| Global|Equity|n/a||VCLN|6|5.ASSET|Equity|3.3|0.16|PLUG| Plug Power Inc.| 4.87%| Global|Equity|n/a||VCLN|6|6.ASSET|Equity|3.3|0.15|IBE| Iberdrola SA| 4.69%| Global|Equity|n/a||VCLN|6|7.ASSET|Equity|3.3|0.14|SSE| SSE plc| 4.26%| Global|Equity|n/a||VCLN|6|8.ASSET|Equity|3.3|0.14|968| Xinyi Solar Holdings Ltd.| 4.22%| Global|Equity|n/a||VCLN|6|9.ASSET|Equity|3.3|0.11|EDP| EDP-Energias de Portugal SA| 3.46%| Global|Equity|n/a||VCLN|6|10.ASSET|Equity|3.3|0.11|VER| VERBUND AG Class A| 3.24%| Global|Equity|n/a||VCLN|6|11.ASSET|Equity|3.3|0.1|ENEL| Enel SpA| 2.88%| Global|Equity|n/a||VCLN|6|12.ASSET|Equity|3.3|0.09|PRY| Prysmian S.p.A.| 2.74%| Global|Equity|n/a||VCLN|6|13.ASSET|Equity|3.3|0.09|CWEN| Clearway Energy, Inc. Class C| 2.71%| Global|Equity|n/a||VCLN|6|14.ASSET|Equity|3.3|0.09|FSLR| First Solar, Inc.| 2.66%| Global|Equity|n/a||VCLN|6|15.ASSET|Equity|3.3|0.09|D| Dominion Energy Inc| 2.65%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|1.ASSET|Equity|3.2|0.2|700| Tencent Holdings Ltd.| 6.34%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|2.ASSET|Equity|3.2|0.19|N/A| U.S. Dollar| 5.98%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|3.ASSET|Equity|3.2|0.15|601012| LONGi Green Energy Technology Co Ltd Class A| 4.63%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|4.ASSET|Equity|3.2|0.14|1211| BYD Company Limited Class H| 4.30%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|5.ASSET|Equity|3.2|0.12|9988| Alibaba Group Holding Ltd.| 3.88%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|6.ASSET|Equity|3.2|0.12|1347| Hua Hong Semiconductor Ltd.| 3.81%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|7.ASSET|Equity|3.2|0.1|300450| Wuxi Lead Intelligent Equipment Co. Ltd. Class A| 3.16%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|8.ASSET|Equity|3.2|0.09|9868| XPeng, Inc. Class A| 2.96%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|9.ASSET|Equity|3.2|0.09|002241| GoerTek Inc. Class A| 2.96%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|10.ASSET|Equity|3.2|0.09|2269| Wuxi Biologics (Cayman) Inc.| 2.95%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|11.ASSET|Equity|3.2|0.09|002008| Han\'s Laser Technology Industry Group Co., Ltd. Class A| 2.94%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|12.ASSET|Equity|3.2|0.09|300750| Contemporary Amperex Technology Co., Ltd. Class A| 2.90%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|13.ASSET|Equity|3.2|0.08|968| Xinyi Solar Holdings Ltd.| 2.53%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|14.ASSET|Equity|3.2|0.08|300760| Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A| 2.42%| Emerging Asia Pacific|Equity|China Equities||KEJI|6|15.ASSET|Equity|3.2|0.08|600406| NARI Technology Co., Ltd. Class A| 2.36%| North America|Multi-Asset|Hedge Fund||DEFN|6|1.ASSET|Multi-Asset|3.9|0.2|N/A| FUTURES| 5.11%| North America|Multi-Asset|Hedge Fund||DEFN|6|2.ASSET|Multi-Asset|3.9|0.17|N/A| U.S. Dollar| 4.35%| North America|Multi-Asset|Hedge Fund||DEFN|6|3.ASSET|Multi-Asset|3.9|0.13|N/A| United States Treasury Notes 0.875% 15-JAN-2029| 3.32%| North America|Multi-Asset|Hedge Fund||DEFN|6|4.ASSET|Multi-Asset|3.9|0.08|AON| Aon Plc Class A| 2.00%| North America|Multi-Asset|Hedge Fund||DEFN|6|5.ASSET|Multi-Asset|3.9|0.08|N/A| Johnson & Johnson 1.3% 01-SEP-2030| 1.99%| North America|Multi-Asset|Hedge Fund||DEFN|6|6.ASSET|Multi-Asset|3.9|0.08|N/A| Lowe\'s Companies, Inc. 1.7% 15-OCT-2030| 1.98%| North America|Multi-Asset|Hedge Fund||DEFN|6|7.ASSET|Multi-Asset|3.9|0.08|N/A| Texas Instruments Incorporated 1.75% 04-MAY-2030| 1.97%| North America|Multi-Asset|Hedge Fund||DEFN|6|8.ASSET|Multi-Asset|3.9|0.08|N/A| S&P Global, Inc. 1.25% 15-AUG-2030| 1.97%| North America|Multi-Asset|Hedge Fund||DEFN|6|9.ASSET|Multi-Asset|3.9|0.08|N/A| Automatic Data Processing, Inc. 1.25% 01-SEP-2030| 1.96%| North America|Multi-Asset|Hedge Fund||DEFN|6|10.ASSET|Multi-Asset|3.9|0.08|N/A| Coca-Cola Company 1.65% 01-JUN-2030| 1.95%| North America|Multi-Asset|Hedge Fund||DEFN|6|11.ASSET|Multi-Asset|3.9|0.08|N/A| UnitedHealth Group Incorporated 2.0% 15-MAY-2030| 1.95%| North America|Multi-Asset|Hedge Fund||DEFN|6|12.ASSET|Multi-Asset|3.9|0.08|N/A| Starbucks Corporation 2.55% 15-NOV-2030| 1.95%| North America|Multi-Asset|Hedge Fund||DEFN|6|13.ASSET|Multi-Asset|3.9|0.08|N/A| Costco Wholesale Corporation 1.6% 20-APR-2030| 1.95%| North America|Multi-Asset|Hedge Fund||DEFN|6|14.ASSET|Multi-Asset|3.9|0.08|N/A| Gilead Sciences, Inc. 1.65% 01-OCT-2030| 1.94%| North America|Multi-Asset|Hedge Fund||DEFN|6|15.ASSET|Multi-Asset|3.9|0.08|N/A| NIKE, Inc. 2.85% 27-MAR-2030| 1.94%| North America|Equity|All Cap Equities|Industrials|AMER|6|1.ASSET|Equity|4.5|0.27|NOC| Northrop Grumman Corporation| 5.97%| North America|Equity|All Cap Equities|Industrials|AMER|6|2.ASSET|Equity|4.5|0.25|MO| Altria Group Inc| 5.65%| North America|Equity|All Cap Equities|Industrials|AMER|6|3.ASSET|Equity|4.5|0.25|GD| General Dynamics Corporation| 5.57%| North America|Equity|All Cap Equities|Industrials|AMER|6|4.ASSET|Equity|4.5|0.24|NUE| Nucor Corporation| 5.43%| North America|Equity|All Cap Equities|Industrials|AMER|6|5.ASSET|Equity|4.5|0.24|KDP| Keurig Dr Pepper Inc.| 5.32%| North America|Equity|All Cap Equities|Industrials|AMER|6|6.ASSET|Equity|4.5|0.19|HSY| Hershey Company| 4.20%| North America|Equity|All Cap Equities|Industrials|AMER|6|7.ASSET|Equity|4.5|0.17|TSN| Tyson Foods, Inc. Class A| 3.82%| North America|Equity|All Cap Equities|Industrials|AMER|6|8.ASSET|Equity|4.5|0.17|HRL| Hormel Foods Corporation| 3.67%| North America|Equity|All Cap Equities|Industrials|AMER|6|9.ASSET|Equity|4.5|0.15|VMC| Vulcan Materials Company| 3.24%| North America|Equity|All Cap Equities|Industrials|AMER|6|10.ASSET|Equity|4.5|0.15|CHD| Church & Dwight Co., Inc.| 3.24%| North America|Equity|All Cap Equities|Industrials|AMER|6|11.ASSET|Equity|4.5|0.14|MLM| Martin Marietta Materials, Inc.| 3.20%| North America|Equity|All Cap Equities|Industrials|AMER|6|12.ASSET|Equity|4.5|0.11|CAG| Conagra Brands, Inc.| 2.39%| North America|Equity|All Cap Equities|Industrials|AMER|6|13.ASSET|Equity|4.5|0.1|STLD| Steel Dynamics, Inc.| 2.30%| North America|Equity|All Cap Equities|Industrials|AMER|6|14.ASSET|Equity|4.5|0.1|PKG| Packaging Corporation of America| 2.16%| North America|Equity|All Cap Equities|Industrials|AMER|6|15.ASSET|Equity|4.5|0.09|SJM| J.M. Smucker Company| 2.07%| North America|Equity|Leveraged Equities|Technology|REW|6|1.ASSET|Equity|8.3|8.3|N/A| U.S. Dollar| 100.00%| North America|Equity|n/a||FSST|6|1.ASSET|Equity|5.6|0.36|MSFT| Microsoft Corporation| 6.37%| North America|Equity|n/a||FSST|6|2.ASSET|Equity|5.6|0.16|PLD| Prologis, Inc.| 2.84%| North America|Equity|n/a||FSST|6|3.ASSET|Equity|5.6|0.14|DHR| Danaher Corporation| 2.53%| North America|Equity|n/a||FSST|6|4.ASSET|Equity|5.6|0.14|CRM| salesforce.com, inc.| 2.45%| North America|Equity|n/a||FSST|6|5.ASSET|Equity|5.6|0.12|AAPL| Apple Inc.| 2.21%| North America|Equity|n/a||FSST|6|6.ASSET|Equity|5.6|0.12|NVDA| NVIDIA Corporation| 2.14%| North America|Equity|n/a||FSST|6|7.ASSET|Equity|5.6|0.12|BAC| Bank of America Corp| 2.07%| North America|Equity|n/a||FSST|6|8.ASSET|Equity|5.6|0.11|TRV| Travelers Companies, Inc.| 2.03%| North America|Equity|n/a||FSST|6|9.ASSET|Equity|5.6|0.11|ON| ON Semiconductor Corporation| 2.02%| North America|Equity|n/a||FSST|6|10.ASSET|Equity|5.6|0.11|MRK| Merck & Co., Inc.| 2.02%| North America|Equity|n/a||FSST|6|11.ASSET|Equity|5.6|0.11|PG| Procter & Gamble Company| 1.93%| North America|Equity|n/a||FSST|6|12.ASSET|Equity|5.6|0.1|ACN| Accenture Plc Class A| 1.85%| North America|Equity|n/a||FSST|6|13.ASSET|Equity|5.6|0.1|HD| Home Depot, Inc.| 1.85%| North America|Equity|n/a||FSST|6|14.ASSET|Equity|5.6|0.1|MAR| Marriott International, Inc. Class A| 1.82%| North America|Equity|n/a||FSST|6|15.ASSET|Equity|5.6|0.1|GOOGL| Alphabet Inc. Class A| 1.76%| |Equity|Leveraged Equities||WEBS|6|1.ASSET|Equity|10.8|5.76|FTIXX| Goldman Sachs Trust Financial Square Treasury Instruments Fund Institutional| 53.31%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|1.ASSET|Bond|3.7|0.15|N/A| DuPont de Nemours, Inc. FRN 15-NOV-2023| 4.10%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|2.ASSET|Bond|3.7|0.15|N/A| Penske Truck Leasing Co. LP 2.7% 14-MAR-2023| 4.09%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|3.ASSET|Bond|3.7|0.15|N/A| AstraZeneca PLC FRN 17-AUG-2023| 4.08%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|4.ASSET|Bond|3.7|0.15|N/A| Citigroup Inc. FRN 01-SEP-2023| 4.07%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|5.ASSET|Bond|3.7|0.15|N/A| M&T Bank Corporation FRN 26-JUL-2023| 4.07%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|6.ASSET|Bond|3.7|0.15|N/A| eBay Inc. FRN 30-JAN-2023| 4.07%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|7.ASSET|Bond|3.7|0.15|N/A| Hyundai Capital America, Inc. 2.375% 10-FEB-2023| 4.06%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|8.ASSET|Bond|3.7|0.15|N/A| AmerisourceBergen Corporation 0.737% 15-MAR-2023| 4.01%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|9.ASSET|Bond|3.7|0.14|N/A| Microchip Technology Incorporated 0.983% 01-SEP-2024| 3.89%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|10.ASSET|Bond|3.7|0.13|INFXX| Institutional Fiduciary Trust Money Market Portfolio| 3.43%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|11.ASSET|Bond|3.7|0.1|N/A| Biogen Inc. 3.625% 15-SEP-2022| 2.73%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|12.ASSET|Bond|3.7|0.1|N/A| Citibank Credit Card Issuance Trust Class 2017-A5 Notes 2017-A5 0.79071% 22-APR-2026| 2.72%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|13.ASSET|Bond|3.7|0.1|N/A| Discover Card Execution Note Trust, Class A(2017-5) DiscoverSeries Notes 2017-A5 0.79114% 15-DEC-2026| 2.72%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|14.ASSET|Bond|3.7|0.1|N/A| Bunge Limited Finance Corp. 3.0% 25-SEP-2022| 2.72%| North America|Bond|Corporate Bonds|Investment Grade Corporate|FLUD|6|15.ASSET|Bond|3.7|0.1|N/A| Kinder Morgan Energy Partners, L.P. 3.95% 01-SEP-2022| 2.72%| Middle East|Equity|Emerging Markets Equities||FLSA|6|1.ASSET|Equity|4|0.58|1120| Al Rajhi Bank| 14.56%| Middle East|Equity|Emerging Markets Equities||FLSA|6|2.ASSET|Equity|4|0.45|1180| Saudi National Bank| 11.13%| Middle East|Equity|Emerging Markets Equities||FLSA|6|3.ASSET|Equity|4|0.33|2222| Saudi Arabian Oil Company (Saudi Aramco)| 8.22%| Middle East|Equity|Emerging Markets Equities||FLSA|6|4.ASSET|Equity|4|0.28|2010| Saudi Basic Industries Corp.| 6.89%| Middle East|Equity|Emerging Markets Equities||FLSA|6|5.ASSET|Equity|4|0.22|7010| Saudi Telecom Co.| 5.53%| Middle East|Equity|Emerging Markets Equities||FLSA|6|6.ASSET|Equity|4|0.2|1010| Riyad Bank| 5.11%| Middle East|Equity|Emerging Markets Equities||FLSA|6|7.ASSET|Equity|4|0.18|1211| Saudi Arabian Mining Co.| 4.51%| Middle East|Equity|Emerging Markets Equities||FLSA|6|8.ASSET|Equity|4|0.14|2020| SABIC Agri-Nutrients Co.| 3.57%| Middle East|Equity|Emerging Markets Equities||FLSA|6|9.ASSET|Equity|4|0.13|1060| Saudi British Bank| 3.29%| Middle East|Equity|Emerging Markets Equities||FLSA|6|10.ASSET|Equity|4|0.13|1150| Alinma Bank| 3.23%| Middle East|Equity|Emerging Markets Equities||FLSA|6|11.ASSET|Equity|4|0.12|1050| Banque Saudi Fransi| 2.88%| Middle East|Equity|Emerging Markets Equities||FLSA|6|12.ASSET|Equity|4|0.08|1140| Bank Albilad| 2.05%| Middle East|Equity|Emerging Markets Equities||FLSA|6|13.ASSET|Equity|4|0.08|5110| Saudi Electricity Co.| 2.03%| Middle East|Equity|Emerging Markets Equities||FLSA|6|14.ASSET|Equity|4|0.06|2310| Sahara International Petrochemical Company| 1.60%| Middle East|Equity|Emerging Markets Equities||FLSA|6|15.ASSET|Equity|4|0.06|2082| ACWA Power| 1.50%| North America|Equity|All Cap Equities||PVAL|6|1.ASSET|Equity|22.6|1.17|MSFT| Microsoft Corporation| 5.17%| North America|Equity|All Cap Equities||PVAL|6|2.ASSET|Equity|22.6|1.01|BAC| Bank of America Corp| 4.45%| North America|Equity|All Cap Equities||PVAL|6|3.ASSET|Equity|22.6|0.91|EXC| Exelon Corporation| 4.03%| North America|Equity|All Cap Equities||PVAL|6|4.ASSET|Equity|22.6|0.82|JCI| Johnson Controls International plc| 3.63%| North America|Equity|All Cap Equities||PVAL|6|5.ASSET|Equity|22.6|0.74|GM| General Motors Company| 3.29%| North America|Equity|All Cap Equities||PVAL|6|6.ASSET|Equity|22.6|0.74|ABBV| AbbVie, Inc.| 3.28%| North America|Equity|All Cap Equities||PVAL|6|7.ASSET|Equity|22.6|0.73|ANTM| Anthem, Inc.| 3.24%| North America|Equity|All Cap Equities||PVAL|6|8.ASSET|Equity|22.6|0.72|REGN| Regeneron Pharmaceuticals, Inc.| 3.20%| North America|Equity|All Cap Equities||PVAL|6|9.ASSET|Equity|22.6|0.71|AGO| Assured Guaranty Ltd.| 3.13%| North America|Equity|All Cap Equities||PVAL|6|10.ASSET|Equity|22.6|0.71|GLPI| Gaming and Leisure Properties, Inc.| 3.12%| North America|Equity|All Cap Equities||PVAL|6|11.ASSET|Equity|22.6|0.66|APO| Apollo Global Management Inc.| 2.93%| North America|Equity|All Cap Equities||PVAL|6|12.ASSET|Equity|22.6|0.64|FCX| Freeport-McMoRan, Inc.| 2.82%| North America|Equity|All Cap Equities||PVAL|6|13.ASSET|Equity|22.6|0.58|MCK| McKesson Corporation| 2.57%| North America|Equity|All Cap Equities||PVAL|6|14.ASSET|Equity|22.6|0.57|CHTR| Charter Communications, Inc. Class A| 2.50%| North America|Equity|All Cap Equities||PVAL|6|15.ASSET|Equity|22.6|0.56|NXPI| NXP Semiconductors NV| 2.48%| North America|Equity|Volatility Hedged Equity||DECZ|6|1.ASSET|Equity|7.9|5.77|N/A| United States Treasury Bills 0.0% 01-DEC-2022| 73.09%| North America|Equity|Volatility Hedged Equity||DECZ|6|2.ASSET|Equity|7.9|2.15|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 27.25%| North America|Equity|Volatility Hedged Equity||DECZ|6|3.ASSET|Equity|7.9|0.06|FXFXX| First American Funds Inc X Treasury Obligations Fund| 0.81%| North America|Equity|Volatility Hedged Equity||DECZ|6|4.ASSET|Equity|7.9|0.01|N/A| U.S. Dollar| 0.10%| North America|Equity|Volatility Hedged Equity||DECZ|6|5.ASSET|Equity|7.9|-0.1|N/A| OPTIONS| -1.25%| North America|Equity|n/a||PSCJ|6|1.ASSET|Equity|3.1|3.08|N/A| OPTIONS| 99.50%| North America|Equity|n/a||PSCJ|6|2.ASSET|Equity|3.1|3.08|N/A| OPTIONS| 99.49%| North America|Equity|n/a||PSCJ|6|3.ASSET|Equity|3.1|0.02|N/A| U.S. Dollar| 0.51%| North America|Equity|n/a||PSCJ|6|4.ASSET|Equity|3.1|0.02|N/A| U.S. Dollar| 0.50%| Developed Asia Pacific|Equity|Japan Equities||HJPX|6|1.ASSET|Equity|3.3|3.3|JPXN| iShares JPX-Nikkei 400 ETF| 99.95%| North America|Equity|n/a||FEBZ|6|1.ASSET|Equity|3.5|3.59|N/A| United States Treasury Bills 0.0% 26-JAN-2023| 102.64%| North America|Equity|n/a||FEBZ|6|2.ASSET|Equity|3.5|0.04|FXFXX| First American Funds Inc X Treasury Obligations Fund| 1.23%| North America|Equity|n/a||FEBZ|6|3.ASSET|Equity|3.5|-0|N/A| U.S. Dollar| -0.04%| North America|Equity|n/a||FEBZ|6|4.ASSET|Equity|3.5|-0.13|N/A| OPTIONS| -3.82%| North America|Alternatives|Long-Short||DIVA|6|1.ASSET|Alternatives|3.9|1.97|N/A| U.S. Dollar| 50.42%| North America|Alternatives|Long-Short||DIVA|6|2.ASSET|Alternatives|3.9|0.05|FHN| First Horizon Corporation| 1.35%| North America|Alternatives|Long-Short||DIVA|6|3.ASSET|Alternatives|3.9|0.05|CQP| Cheniere Energy Partners, L.P.| 1.24%| North America|Alternatives|Long-Short||DIVA|6|4.ASSET|Alternatives|3.9|0.05|XOM| Exxon Mobil Corporation| 1.22%| North America|Alternatives|Long-Short||DIVA|6|5.ASSET|Alternatives|3.9|0.05|LMT| Lockheed Martin Corporation| 1.21%| North America|Alternatives|Long-Short||DIVA|6|6.ASSET|Alternatives|3.9|0.05|CTRA| Coterra Energy Inc.| 1.20%| North America|Alternatives|Long-Short||DIVA|6|7.ASSET|Alternatives|3.9|0.05|CVX| Chevron Corporation| 1.20%| North America|Alternatives|Long-Short||DIVA|6|8.ASSET|Alternatives|3.9|0.04|WMB| Williams Companies, Inc.| 1.14%| North America|Alternatives|Long-Short||DIVA|6|9.ASSET|Alternatives|3.9|0.04|BKR| Baker Hughes Company Class A| 1.11%| North America|Alternatives|Long-Short||DIVA|6|10.ASSET|Alternatives|3.9|0.04|MPC| Marathon Petroleum Corporation| 1.10%| North America|Alternatives|Long-Short||DIVA|6|11.ASSET|Alternatives|3.9|0.04|HESM| Hess Midstream LP Class A| 1.08%| North America|Alternatives|Long-Short||DIVA|6|12.ASSET|Alternatives|3.9|0.04|EPD| Enterprise Products Partners L.P.| 1.06%| North America|Alternatives|Long-Short||DIVA|6|13.ASSET|Alternatives|3.9|0.04|PSX| Phillips 66| 1.06%| North America|Alternatives|Long-Short||DIVA|6|14.ASSET|Alternatives|3.9|0.04|NEM| Newmont Corporation| 1.05%| North America|Alternatives|Long-Short||DIVA|6|15.ASSET|Alternatives|3.9|0.04|OMC| Omnicom Group Inc| 1.04%| Developed Asia Pacific|Equity|Leveraged Equities||EWV|6|1.ASSET|Equity|4.1|4.1|N/A| U.S. Dollar| 100.00%| Developed Asia Pacific|Equity|Leveraged Equities||EWV|6|2.ASSET|Equity|4.1|4.1|N/A| U.S. Dollar| 100.00%| North America|Equity|n/a||XCLR|6|1.ASSET|Equity|3.4|0.23|AAPL| Apple Inc.| 6.70%| North America|Equity|n/a||XCLR|6|2.ASSET|Equity|3.4|0.2|MSFT| Microsoft Corporation| 5.83%| North America|Equity|n/a||XCLR|6|3.ASSET|Equity|3.4|0.13|N/A| OPTIONS| 3.89%| North America|Equity|n/a||XCLR|6|4.ASSET|Equity|3.4|0.12|AMZN| Amazon.com, Inc.| 3.46%| North America|Equity|n/a||XCLR|6|5.ASSET|Equity|3.4|0.07|GOOGL| Alphabet Inc. Class A| 2.15%| North America|Equity|n/a||XCLR|6|6.ASSET|Equity|3.4|0.07|GOOG| Alphabet Inc. Class C| 1.96%| North America|Equity|n/a||XCLR|6|7.ASSET|Equity|3.4|0.06|TSLA| Tesla Inc| 1.87%| North America|Equity|n/a||XCLR|6|8.ASSET|Equity|3.4|0.05|NVDA| NVIDIA Corporation| 1.54%| North America|Equity|n/a||XCLR|6|9.ASSET|Equity|3.4|0.05|BRK.B| Berkshire Hathaway Inc. Class B| 1.53%| North America|Equity|n/a||XCLR|6|10.ASSET|Equity|3.4|0.04|FB| Meta Platforms Inc. Class A| 1.26%| North America|Equity|n/a||XCLR|6|11.ASSET|Equity|3.4|0.04|UNH| UnitedHealth Group Incorporated| 1.17%| North America|Equity|n/a||XCLR|6|12.ASSET|Equity|3.4|0.04|JNJ| Johnson & Johnson| 1.15%| North America|Equity|n/a||XCLR|6|13.ASSET|Equity|3.4|0.04|JPM| JPMorgan Chase & Co.| 1.07%| North America|Equity|n/a||XCLR|6|14.ASSET|Equity|3.4|0.03|PG| Procter & Gamble Company| 0.98%| North America|Equity|n/a||XCLR|6|15.ASSET|Equity|3.4|0.03|V| Visa Inc. Class A| 0.92%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|1.ASSET|Equity|2.8|0.16|GXO| GXO Logistics Inc| 5.74%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|2.ASSET|Equity|2.8|0.16|MSFT| Microsoft Corporation| 5.54%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|3.ASSET|Equity|2.8|0.15|NVDA| NVIDIA Corporation| 5.19%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|4.ASSET|Equity|2.8|0.14|QCOM| Qualcomm Inc| 4.95%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|5.ASSET|Equity|2.8|0.14|PG| Procter & Gamble Company| 4.90%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|6.ASSET|Equity|2.8|0.13|AAPL| Apple Inc.| 4.63%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|7.ASSET|Equity|2.8|0.12|CRWD| CrowdStrike Holdings, Inc. Class A| 4.21%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|8.ASSET|Equity|2.8|0.12|ADI| Analog Devices, Inc.| 4.19%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|9.ASSET|Equity|2.8|0.11|KFY| Korn Ferry| 4.08%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|10.ASSET|Equity|2.8|0.11|PANW| Palo Alto Networks, Inc.| 4.03%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|11.ASSET|Equity|2.8|0.11|DPZ| Domino\'s Pizza, Inc.| 4.00%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|12.ASSET|Equity|2.8|0.11|NSP| Insperity, Inc.| 3.83%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|13.ASSET|Equity|2.8|0.1|WMT| Walmart Inc.| 3.61%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|14.ASSET|Equity|2.8|0.1|TFII| TFI International Inc.| 3.49%| North America|Equity|Consumer Discretionary Equities|Real Estate|LIV|6|15.ASSET|Equity|2.8|0.09|VZ| Verizon Communications Inc.| 3.28%| Developed Europe|Currency|Leveraged Currency||ULE|6|1.ASSET|Currency|8.9|8.9|N/A| euro| 100.00%| |Commodity|Inverse Commodities||DGZ|6|1.ASSET|Commodity|3.2|3.2|N/A| Gold| 100.00%| North America|Bond|Government Bonds|Treasuries|IBTK|6|1.ASSET|Bond|49.8|15.34|N/A| United States Treasury Notes 0.875% 15-NOV-2030| 30.81%| North America|Bond|Government Bonds|Treasuries|IBTK|6|2.ASSET|Bond|49.8|14.06|N/A| United States Treasury Notes 0.625% 15-AUG-2030| 28.23%| North America|Bond|Government Bonds|Treasuries|IBTK|6|3.ASSET|Bond|49.8|11.47|N/A| United States Treasury Notes 0.625% 15-MAY-2030| 23.04%| North America|Bond|Government Bonds|Treasuries|IBTK|6|4.ASSET|Bond|49.8|8.66|N/A| United States Treasury Notes 1.5% 15-FEB-2030| 17.38%| North America|Bond|Government Bonds|Treasuries|IBTK|6|5.ASSET|Bond|49.8|0.33|N/A| BlackRock Cash Funds Treasury SL Agency Shares| 0.66%| North America|Bond|Government Bonds|Treasuries|IBTK|6|6.ASSET|Bond|49.8|-0.06|N/A| U.S. Dollar| -0.12%| Developed Markets|Equity|Global Equities||HERD|6|1.ASSET|Equity|3.5|0.75|GCOW| Pacer Global Cash Cows Dividend ETF| 21.47%| Developed Markets|Equity|Global Equities||HERD|6|2.ASSET|Equity|3.5|0.73|COWZ| Pacer US Cash Cows 100 ETF| 20.86%| Developed Markets|Equity|Global Equities||HERD|6|3.ASSET|Equity|3.5|0.71|ICOW| Pacer Developed Markets International Cash Cows 100 ETF| 20.25%| Developed Markets|Equity|Global Equities||HERD|6|4.ASSET|Equity|3.5|0.68|CALF| Pacer US Small Cap Cash Cows 100 ETF| 19.44%| Developed Markets|Equity|Global Equities||HERD|6|5.ASSET|Equity|3.5|0.63|BUL| Pacer US Cash Cows Growth ETF| 17.90%| Developed Markets|Equity|Global Equities||HERD|6|6.ASSET|Equity|3.5|0|N/A| U.S. Dollar| 0.07%| Global|Equity|n/a||ILDR|6|1.ASSET|Equity|3.7|0.2|GOOG| Alphabet Inc. Class C| 5.37%| Global|Equity|n/a||ILDR|6|2.ASSET|Equity|3.7|0.16|AMZN| Amazon.com, Inc.| 4.34%| Global|Equity|n/a||ILDR|6|3.ASSET|Equity|3.7|0.11|NVDA| NVIDIA Corporation| 2.99%| Global|Equity|n/a||ILDR|6|4.ASSET|Equity|3.7|0.08|ALNY| Alnylam Pharmaceuticals, Inc| 2.22%| Global|Equity|n/a||ILDR|6|5.ASSET|Equity|3.7|0.08|UBER| Uber Technologies, Inc.| 2.19%| Global|Equity|n/a||ILDR|6|6.ASSET|Equity|3.7|0.08|NOW| ServiceNow, Inc.| 2.15%| Global|Equity|n/a||ILDR|6|7.ASSET|Equity|3.7|0.08|MSFT| Microsoft Corporation| 2.15%| Global|Equity|n/a||ILDR|6|8.ASSET|Equity|3.7|0.08|VRTX| Vertex Pharmaceuticals Incorporated| 2.06%| Global|Equity|n/a||ILDR|6|9.ASSET|Equity|3.7|0.08|ADSK| Autodesk, Inc.| 2.06%| Global|Equity|n/a||ILDR|6|10.ASSET|Equity|3.7|0.07|WDAY| Workday, Inc. Class A| 1.88%| Global|Equity|n/a||ILDR|6|11.ASSET|Equity|3.7|0.07|SQ| Block Inc Class A| 1.85%| Global|Equity|n/a||ILDR|6|12.ASSET|Equity|3.7|0.07|LRCX| Lam Research Corporation| 1.85%| Global|Equity|n/a||ILDR|6|13.ASSET|Equity|3.7|0.06|REGN| Regeneron Pharmaceuticals, Inc.| 1.68%| Global|Equity|n/a||ILDR|6|14.ASSET|Equity|3.7|0.06|ETSY| Etsy, Inc.| 1.63%| Global|Equity|n/a||ILDR|6|15.ASSET|Equity|3.7|0.06|CIEN| Ciena Corporation| 1.58%| North America|Equity|n/a||XDJL|6|1.ASSET|Equity|5.3|5.24|N/A| OPTIONS| 98.87%| North America|Equity|n/a||XDJL|6|2.ASSET|Equity|5.3|0.06|N/A| U.S. Dollar| 1.13%| Global|Equity|n/a||WNDY|6|1.ASSET|Equity|4.2|0.53|NPI| Northland Power Inc.| 12.60%| Global|Equity|n/a||WNDY|6|2.ASSET|Equity|4.2|0.5|ORSTED| Orsted| 11.81%| Global|Equity|n/a||WNDY|6|3.ASSET|Equity|4.2|0.44|VWS| Vestas Wind Systems A/S| 10.52%| Global|Equity|n/a||WNDY|6|4.ASSET|Equity|4.2|0.44|916| China Longyuan Power Group Corp. Ltd. Class H| 10.49%| Global|Equity|n/a||WNDY|6|5.ASSET|Equity|4.2|0.22|002531| Titan Wind Energy (Suzhou) Co., Ltd. Class A| 5.16%| Global|Equity|n/a||WNDY|6|6.ASSET|Equity|4.2|0.21|601615| Ming Yang Smart Energy Group Limited Class A| 5.11%| Global|Equity|n/a||WNDY|6|7.ASSET|Equity|4.2|0.2|002080| Sinoma Science & Technology Co., Ltd. Class A| 4.79%| Global|Equity|n/a||WNDY|6|8.ASSET|Equity|4.2|0.19|601016| CECEP Wind-Power Corp Class A| 4.49%| Global|Equity|n/a||WNDY|6|9.ASSET|Equity|4.2|0.17|NDX1| Nordex SE| 4.12%| Global|Equity|n/a||WNDY|6|10.ASSET|Equity|4.2|0.17|INE| Innergex Renewable Energy Inc.| 3.93%| Global|Equity|n/a||WNDY|6|11.ASSET|Equity|4.2|0.13|N/A| TransAlta Renewables, Inc.| 3.09%| Global|Equity|n/a||WNDY|6|12.ASSET|Equity|4.2|0.12|603218| Riyue Heavy Industry Co., Ltd. Class A| 2.91%| Global|Equity|n/a||WNDY|6|13.ASSET|Equity|4.2|0.12|300443| Jinlei Technology Co., Ltd. Class A| 2.77%| Global|Equity|n/a||WNDY|6|14.ASSET|Equity|4.2|0.11|2208| Xinjiang Goldwind Science & Technology Co., Ltd. Class H| 2.68%| Global|Equity|n/a||WNDY|6|15.ASSET|Equity|4.2|0.11|112610| CS Wind Corp.| 2.59%| North America|Equity|n/a||XTR|6|1.ASSET|Equity|4.1|0.28|AAPL| Apple Inc.| 6.90%| North America|Equity|n/a||XTR|6|2.ASSET|Equity|4.1|0.25|MSFT| Microsoft Corporation| 5.99%| North America|Equity|n/a||XTR|6|3.ASSET|Equity|4.1|0.15|AMZN| Amazon.com, Inc.| 3.56%| North America|Equity|n/a||XTR|6|4.ASSET|Equity|4.1|0.09|GOOGL| Alphabet Inc. Class A| 2.18%| North America|Equity|n/a||XTR|6|5.ASSET|Equity|4.1|0.08|GOOG| Alphabet Inc. Class C| 2.02%| North America|Equity|n/a||XTR|6|6.ASSET|Equity|4.1|0.08|TSLA| Tesla Inc| 1.90%| North America|Equity|n/a||XTR|6|7.ASSET|Equity|4.1|0.07|NVDA| NVIDIA Corporation| 1.61%| North America|Equity|n/a||XTR|6|8.ASSET|Equity|4.1|0.06|BRK.B| Berkshire Hathaway Inc. Class B| 1.56%| North America|Equity|n/a||XTR|6|9.ASSET|Equity|4.1|0.05|FB| Meta Platforms Inc. Class A| 1.30%| North America|Equity|n/a||XTR|6|10.ASSET|Equity|4.1|0.05|UNH| UnitedHealth Group Incorporated| 1.21%| North America|Equity|n/a||XTR|6|11.ASSET|Equity|4.1|0.05|JNJ| Johnson & Johnson| 1.16%| North America|Equity|n/a||XTR|6|12.ASSET|Equity|4.1|0.04|JPM| JPMorgan Chase & Co.| 1.09%| North America|Equity|n/a||XTR|6|13.ASSET|Equity|4.1|0.04|N/A| OPTIONS| 1.02%| North America|Equity|n/a||XTR|6|14.ASSET|Equity|4.1|0.04|PG| Procter & Gamble Company| 0.98%| North America|Equity|n/a||XTR|6|15.ASSET|Equity|4.1|0.04|V| Visa Inc. Class A| 0.94%| North America|Equity|n/a||QCLR|6|1.ASSET|Equity|4.5|0.52|AAPL| Apple Inc.| 11.52%| North America|Equity|n/a||QCLR|6|2.ASSET|Equity|4.5|0.43|MSFT| Microsoft Corporation| 9.52%| North America|Equity|n/a||QCLR|6|3.ASSET|Equity|4.5|0.32|N/A| OPTIONS| 7.12%| North America|Equity|n/a||QCLR|6|4.ASSET|Equity|4.5|0.3|AMZN| Amazon.com, Inc.| 6.61%| North America|Equity|n/a||QCLR|6|5.ASSET|Equity|4.5|0.17|TSLA| Tesla Inc| 3.74%| North America|Equity|n/a||QCLR|6|6.ASSET|Equity|4.5|0.16|GOOG| Alphabet Inc. Class C| 3.65%| North America|Equity|n/a||QCLR|6|7.ASSET|Equity|4.5|0.16|NVDA| NVIDIA Corporation| 3.56%| North America|Equity|n/a||QCLR|6|8.ASSET|Equity|4.5|0.15|GOOGL| Alphabet Inc. Class A| 3.43%| North America|Equity|n/a||QCLR|6|9.ASSET|Equity|4.5|0.14|FB| Meta Platforms Inc. Class A| 3.11%| North America|Equity|n/a||QCLR|6|10.ASSET|Equity|4.5|0.08|AVGO| Broadcom Inc.| 1.67%| North America|Equity|n/a||QCLR|6|11.ASSET|Equity|4.5|0.07|COST| Costco Wholesale Corporation| 1.65%| North America|Equity|n/a||QCLR|6|12.ASSET|Equity|4.5|0.07|CSCO| Cisco Systems, Inc.| 1.64%| North America|Equity|n/a||QCLR|6|13.ASSET|Equity|4.5|0.07|PEP| PepsiCo, Inc.| 1.60%| North America|Equity|n/a||QCLR|6|14.ASSET|Equity|4.5|0.07|ADBE| Adobe Inc.| 1.58%| North America|Equity|n/a||QCLR|6|15.ASSET|Equity|4.5|0.07|CMCSA| Comcast Corporation Class A| 1.51%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|1.ASSET|Bond|3.2|0.96|AGZ| iShares Agency Bond ETF| 29.95%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|2.ASSET|Bond|3.2|0.95|STIP| iShares 0-5 Year TIPS Bond ETF| 29.68%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|3.ASSET|Bond|3.2|0.57|IEI| iShares 3-7 Year Treasury Bond ETF| 17.72%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|4.ASSET|Bond|3.2|0.3|SHV| iShares Short Treasury Bond ETF| 9.33%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|5.ASSET|Bond|3.2|0.17|BKLN| Invesco Senior Loan ETF| 5.42%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|6.ASSET|Bond|3.2|0.15|SJNK| SPDR Bloomberg Barclays Short Term High Yield Bond ETF| 4.76%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|7.ASSET|Bond|3.2|0.06|SHYG| iShares 0-5 Year High Yield Corporate Bond ETF| 2.03%| North America|Bond|Total Bond Market|Total Bond Market|FWDB|6|8.ASSET|Bond|3.2|0.04|N/A| BlackRock Liquidity Funds Federal Trust Fund Portfolio Institutional| 1.11%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|1.ASSET|Equity|29.6|2.6|ZTO| ZTO Express (Cayman), Inc. Sponsored ADR Class A| 8.77%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|2.ASSET|Equity|29.6|2.41|300750| Contemporary Amperex Technology Co., Ltd. Class A| 8.13%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|3.ASSET|Equity|29.6|1.66|586| China Conch Venture Holdings Ltd.| 5.61%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|4.ASSET|Equity|29.6|1.45|1919| COSCO SHIPPING Holdings Co., Ltd. Class H| 4.90%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|5.ASSET|Equity|29.6|1.39|267| CITIC Limited| 4.69%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|6.ASSET|Equity|29.6|0.67|2338| Weichai Power Co., Ltd. Class H| 2.28%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|7.ASSET|Equity|29.6|0.59|144| China Merchants Port Holdings Co., Ltd.| 2.00%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|8.ASSET|Equity|29.6|0.57|002352| S.F. Holding Co., Ltd. Class A| 1.94%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|9.ASSET|Equity|29.6|0.57|3311| China State Construction International Holdings Limited| 1.92%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|10.ASSET|Equity|29.6|0.57|257| China Everbright Environment Group Limited| 1.91%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|11.ASSET|Equity|29.6|0.56|656| Fosun International Limited| 1.89%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|12.ASSET|Equity|29.6|0.55|3898| Zhuzhou CRRC Times Electric Co., Ltd. Class H| 1.87%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|13.ASSET|Equity|29.6|0.49|390| China Railway Group Limited Class H| 1.65%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|14.ASSET|Equity|29.6|0.45|601919| COSCO SHIPPING Holdings Co., Ltd. Class A| 1.53%| Emerging Asia Pacific|Equity|China Equities|Industrials|CHII|6|15.ASSET|Equity|29.6|0.44|601668| China State Construction Engineering Corp. Ltd. Class A| 1.48%| Global|Equity|n/a||PSIL|6|1.ASSET|Equity|7.1|0.79|CYBN| Cybin, Inc.| 11.15%| Global|Equity|n/a||PSIL|6|2.ASSET|Equity|7.1|0.7|MNMD| Mind Medicine (MindMed), Inc.| 9.89%| Global|Equity|n/a||PSIL|6|3.ASSET|Equity|7.1|0.7|CMPS| COMPASS Pathways Plc Sponsored ADR| 9.87%| Global|Equity|n/a||PSIL|6|4.ASSET|Equity|7.1|0.63|ATAI| ATAI Life Sciences N.V.| 8.83%| Global|Equity|n/a||PSIL|6|5.ASSET|Equity|7.1|0.49|FTRP| Field Trip Health Ltd| 6.84%| Global|Equity|n/a||PSIL|6|6.ASSET|Equity|7.1|0.48|DMT| Small Pharma Inc| 6.80%| Global|Equity|n/a||PSIL|6|7.ASSET|Equity|7.1|0.41|GTMS| Greenbrook Tms, Inc.| 5.83%| Global|Equity|n/a||PSIL|6|8.ASSET|Equity|7.1|0.4|NUMI| Numinus Wellness Inc| 5.65%| Global|Equity|n/a||PSIL|6|9.ASSET|Equity|7.1|0.38|N/A| MUTUAL FUND (OTHER)| 5.32%| Global|Equity|n/a||PSIL|6|10.ASSET|Equity|7.1|0.37|GHRS| GH Research Plc| 5.19%| Global|Equity|n/a||PSIL|6|11.ASSET|Equity|7.1|0.36|N/A| DERIVATIVE SECURITIES (OTHER)| 5.03%| Global|Equity|n/a||PSIL|6|12.ASSET|Equity|7.1|0.35|PSYB| PsyBio Therapeutics Corp| 4.91%| Global|Equity|n/a||PSIL|6|13.ASSET|Equity|7.1|0.35|DRUG| Bright Minds Biosciences Inc.| 4.90%| Global|Equity|n/a||PSIL|6|14.ASSET|Equity|7.1|0.35|SEEL| Seelos Therapeutics, Inc.| 4.90%| Global|Equity|n/a||PSIL|6|15.ASSET|Equity|7.1|0.29|ENVB| Enveric Biosciences, Inc.| 4.13%| North America|Equity|Inverse Equities||SDD|6|1.ASSET|Equity|3.1|3.1|N/A| U.S. Dollar| 100.00%| Global ex-U.S.|Equity|n/a||YSEP|6|1.ASSET|Equity|8.5|8.42|N/A| OPTIONS| 99.06%| Global ex-U.S.|Equity|n/a||YSEP|6|2.ASSET|Equity|8.5|8.42|N/A| OPTIONS| 99.06%| Global ex-U.S.|Equity|n/a||YSEP|6|3.ASSET|Equity|8.5|0.08|N/A| U.S. Dollar| 0.94%| Global ex-U.S.|Equity|n/a||YSEP|6|4.ASSET|Equity|8.5|0.08|N/A| U.S. Dollar| 0.94%| North America|Equity|Large Cap Blend Equities||PSFD|6|1.ASSET|Equity|30.3|30.06|N/A| OPTIONS| 99.20%| North America|Equity|Large Cap Blend Equities||PSFD|6|2.ASSET|Equity|30.3|0.24|N/A| U.S. Dollar| 0.80%| Global|Equity|Technology Equities|Technology|MRAD|6|1.ASSET|Equity|2.1|0.13|GOOGL| Alphabet Inc. Class A| 6.41%| Global|Equity|Technology Equities|Technology|MRAD|6|2.ASSET|Equity|2.1|0.13|CRTO| Criteo SA Sponsored ADR| 6.36%| Global|Equity|Technology Equities|Technology|MRAD|6|3.ASSET|Equity|2.1|0.12|PERI| Perion Network Ltd| 5.72%| Global|Equity|Technology Equities|Technology|MRAD|6|4.ASSET|Equity|2.1|0.12|FUTR| Future plc| 5.65%| Global|Equity|Technology Equities|Technology|MRAD|6|5.ASSET|Equity|2.1|0.12|HUBS| HubSpot, Inc.| 5.60%| Global|Equity|Technology Equities|Technology|MRAD|6|6.ASSET|Equity|2.1|0.11|TEAM| Atlassian Corp. Plc Class A| 5.45%| Global|Equity|Technology Equities|Technology|MRAD|6|7.ASSET|Equity|2.1|0.11|TTGT| TechTarget, Inc.| 5.28%| Global|Equity|Technology Equities|Technology|MRAD|6|8.ASSET|Equity|2.1|0.1|ZI| ZoomInfo Technologies Inc| 4.86%| Global|Equity|Technology Equities|Technology|MRAD|6|9.ASSET|Equity|2.1|0.08|TTD| Trade Desk, Inc. Class A| 3.92%| Global|Equity|Technology Equities|Technology|MRAD|6|10.ASSET|Equity|2.1|0.08|ADBE| Adobe Inc.| 3.82%| Global|Equity|Technology Equities|Technology|MRAD|6|11.ASSET|Equity|2.1|0.08|CRM| salesforce.com, inc.| 3.81%| Global|Equity|Technology Equities|Technology|MRAD|6|12.ASSET|Equity|2.1|0.07|SFOR| S4 Capital plc| 3.34%| Global|Equity|Technology Equities|Technology|MRAD|6|13.ASSET|Equity|2.1|0.07|4689| Z Holdings Corporation| 3.23%| Global|Equity|Technology Equities|Technology|MRAD|6|14.ASSET|Equity|2.1|0.07|APPS| Digital Turbine, Inc.| 3.10%| Global|Equity|Technology Equities|Technology|MRAD|6|15.ASSET|Equity|2.1|0.06|FB| Meta Platforms Inc. Class A| 3.07%| Global|Equity|Technology Equities|Technology|BIGY|6|1.ASSET|Equity|2.8|0.15|TDC| Teradata Corporation| 5.41%| Global|Equity|Technology Equities|Technology|BIGY|6|2.ASSET|Equity|2.8|0.14|VMW| VMware, Inc. Class A| 4.86%| Global|Equity|Technology Equities|Technology|BIGY|6|3.ASSET|Equity|2.8|0.13|SPLK| Splunk Inc.| 4.69%| Global|Equity|Technology Equities|Technology|BIGY|6|4.ASSET|Equity|2.8|0.13|AYX| Alteryx, Inc. Class A| 4.53%| Global|Equity|Technology Equities|Technology|BIGY|6|5.ASSET|Equity|2.8|0.12|PD| PagerDuty, Inc.| 4.26%| Global|Equity|Technology Equities|Technology|BIGY|6|6.ASSET|Equity|2.8|0.12|PRGS| Progress Software Corporation| 4.17%| Global|Equity|Technology Equities|Technology|BIGY|6|7.ASSET|Equity|2.8|0.11|DOMO| Domo, Inc. Class B| 4.03%| Global|Equity|Technology Equities|Technology|BIGY|6|8.ASSET|Equity|2.8|0.11|APPN| Appian Corporation Class A| 3.93%| Global|Equity|Technology Equities|Technology|BIGY|6|9.ASSET|Equity|2.8|0.11|TEAM| Atlassian Corp. Plc Class A| 3.81%| Global|Equity|Technology Equities|Technology|BIGY|6|10.ASSET|Equity|2.8|0.1|FROG| JFrog Ltd.| 3.64%| Global|Equity|Technology Equities|Technology|BIGY|6|11.ASSET|Equity|2.8|0.1|MSTR| MicroStrategy Incorporated Class A| 3.54%| Global|Equity|Technology Equities|Technology|BIGY|6|12.ASSET|Equity|2.8|0.1|NET| Cloudflare Inc Class A| 3.53%| Global|Equity|Technology Equities|Technology|BIGY|6|13.ASSET|Equity|2.8|0.1|PRFT| Perficient, Inc.| 3.52%| Global|Equity|Technology Equities|Technology|BIGY|6|14.ASSET|Equity|2.8|0.1|MDB| MongoDB, Inc. Class A| 3.49%| Global|Equity|Technology Equities|Technology|BIGY|6|15.ASSET|Equity|2.8|0.1|SNOW| Snowflake, Inc. Class A| 3.43%| North America|Equity|Large Cap Blend Equities||PSMD|6|1.ASSET|Equity|22.7|22.55|N/A| OPTIONS| 99.35%| North America|Equity|Large Cap Blend Equities||PSMD|6|2.ASSET|Equity|22.7|0.15|N/A| U.S. Dollar| 0.65%| North America|Equity|All Cap Equities||USEQ|6|1.ASSET|Equity|3.7|0.01|WBS| Webster Financial Corporation| 0.32%| North America|Equity|All Cap Equities||USEQ|6|2.ASSET|Equity|3.7|0.01|AA| Alcoa Corporation| 0.28%| North America|Equity|All Cap Equities||USEQ|6|3.ASSET|Equity|3.7|0.01|SPGI| S&P Global, Inc.| 0.26%| North America|Equity|All Cap Equities||USEQ|6|4.ASSET|Equity|3.7|0.01|MOS| Mosaic Company| 0.23%| North America|Equity|All Cap Equities||USEQ|6|5.ASSET|Equity|3.7|0.01|CF| CF Industries Holdings, Inc.| 0.22%| North America|Equity|All Cap Equities||USEQ|6|6.ASSET|Equity|3.7|0.01|FHN| First Horizon Corporation| 0.22%| North America|Equity|All Cap Equities||USEQ|6|7.ASSET|Equity|3.7|0.01|EOG| EOG Resources, Inc.| 0.21%| North America|Equity|All Cap Equities||USEQ|6|8.ASSET|Equity|3.7|0.01|PXD| Pioneer Natural Resources Company| 0.21%| North America|Equity|All Cap Equities||USEQ|6|9.ASSET|Equity|3.7|0.01|COP| ConocoPhillips| 0.21%| North America|Equity|All Cap Equities||USEQ|6|10.ASSET|Equity|3.7|0.01|FCX| Freeport-McMoRan, Inc.| 0.20%| North America|Equity|All Cap Equities||USEQ|6|11.ASSET|Equity|3.7|0.01|LMT| Lockheed Martin Corporation| 0.20%| North America|Equity|All Cap Equities||USEQ|6|12.ASSET|Equity|3.7|0.01|CLR| Continental Resources, Inc.| 0.20%| North America|Equity|All Cap Equities||USEQ|6|13.ASSET|Equity|3.7|0.01|RGLD| Royal Gold, Inc.| 0.20%| North America|Equity|All Cap Equities||USEQ|6|14.ASSET|Equity|3.7|0.01|NOC| Northrop Grumman Corporation| 0.20%| North America|Equity|All Cap Equities||USEQ|6|15.ASSET|Equity|3.7|0.01|CERN| Cerner Corporation| 0.20%| North America|Equity|Leveraged Equities|Technology|SSG|6|1.ASSET|Equity|4.8|4.8|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities|Technology|SSG|6|2.ASSET|Equity|4.8|4.8|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities|Healthcare|RXD|6|1.ASSET|Equity|2.8|2.8|N/A| U.S. Dollar| 100.00%| North America|Equity|Large Cap Blend Equities||PSCX|6|1.ASSET|Equity|8.2|8.12|N/A| OPTIONS| 98.98%| North America|Equity|Large Cap Blend Equities||PSCX|6|2.ASSET|Equity|8.2|8.12|N/A| OPTIONS| 98.97%| North America|Equity|Large Cap Blend Equities||PSCX|6|3.ASSET|Equity|8.2|0.08|N/A| U.S. Dollar| 1.03%| North America|Equity|Large Cap Blend Equities||PSCX|6|4.ASSET|Equity|8.2|0.08|N/A| U.S. Dollar| 1.02%| North America|Equity|n/a||QTR|6|1.ASSET|Equity|3.6|0.44|AAPL| Apple Inc.| 12.12%| North America|Equity|n/a||QTR|6|2.ASSET|Equity|3.6|0.36|MSFT| Microsoft Corporation| 10.02%| North America|Equity|n/a||QTR|6|3.ASSET|Equity|3.6|0.25|AMZN| Amazon.com, Inc.| 6.81%| North America|Equity|n/a||QTR|6|4.ASSET|Equity|3.6|0.14|TSLA| Tesla Inc| 3.92%| North America|Equity|n/a||QTR|6|5.ASSET|Equity|3.6|0.14|NVDA| NVIDIA Corporation| 3.78%| North America|Equity|n/a||QTR|6|6.ASSET|Equity|3.6|0.14|GOOG| Alphabet Inc. Class C| 3.77%| North America|Equity|n/a||QTR|6|7.ASSET|Equity|3.6|0.13|GOOGL| Alphabet Inc. Class A| 3.58%| North America|Equity|n/a||QTR|6|8.ASSET|Equity|3.6|0.12|FB| Meta Platforms Inc. Class A| 3.29%| North America|Equity|n/a||QTR|6|9.ASSET|Equity|3.6|0.1|N/A| OPTIONS| 2.65%| North America|Equity|n/a||QTR|6|10.ASSET|Equity|3.6|0.06|AVGO| Broadcom Inc.| 1.79%| North America|Equity|n/a||QTR|6|11.ASSET|Equity|3.6|0.06|CSCO| Cisco Systems, Inc.| 1.74%| North America|Equity|n/a||QTR|6|12.ASSET|Equity|3.6|0.06|COST| Costco Wholesale Corporation| 1.69%| North America|Equity|n/a||QTR|6|13.ASSET|Equity|3.6|0.06|PEP| PepsiCo, Inc.| 1.67%| North America|Equity|n/a||QTR|6|14.ASSET|Equity|3.6|0.06|ADBE| Adobe Inc.| 1.65%| North America|Equity|n/a||QTR|6|15.ASSET|Equity|3.6|0.06|CMCSA| Comcast Corporation Class A| 1.55%| Developed Europe|Equity|Europe Equities||EURZ|6|1.ASSET|Equity|2.3|0.1|ASML| ASML Holding NV| 4.33%| Developed Europe|Equity|Europe Equities||EURZ|6|2.ASSET|Equity|2.3|0.09|MC| LVMH Moet Hennessy Louis Vuitton SE| 3.86%| Developed Europe|Equity|Europe Equities||EURZ|6|3.ASSET|Equity|2.3|0.06|TTE| TotalEnergies SE| 2.52%| Developed Europe|Equity|Europe Equities||EURZ|6|4.ASSET|Equity|2.3|0.05|SAP| SAP SE| 2.37%| Developed Europe|Equity|Europe Equities||EURZ|6|5.ASSET|Equity|2.3|0.05|SAN| Sanofi| 2.21%| Developed Europe|Equity|Europe Equities||EURZ|6|6.ASSET|Equity|2.3|0.05|SIE| Siemens AG| 2.11%| Developed Europe|Equity|Europe Equities||EURZ|6|7.ASSET|Equity|2.3|0.04|OR| L\'Oreal SA| 1.89%| Developed Europe|Equity|Europe Equities||EURZ|6|8.ASSET|Equity|2.3|0.04|ALV| Allianz SE| 1.73%| Developed Europe|Equity|Europe Equities||EURZ|6|9.ASSET|Equity|2.3|0.04|SU| Schneider Electric SE| 1.66%| Developed Europe|Equity|Europe Equities||EURZ|6|10.ASSET|Equity|2.3|0.04|AI| Air Liquide SA| 1.60%| Developed Europe|Equity|Europe Equities||EURZ|6|11.ASSET|Equity|2.3|0.04|AIR| Airbus SE| 1.53%| Developed Europe|Equity|Europe Equities||EURZ|6|12.ASSET|Equity|2.3|0.03|DTE| Deutsche Telekom AG| 1.49%| Developed Europe|Equity|Europe Equities||EURZ|6|13.ASSET|Equity|2.3|0.03|BNP| BNP Paribas SA Class A| 1.22%| Developed Europe|Equity|Europe Equities||EURZ|6|14.ASSET|Equity|2.3|0.03|IBE| Iberdrola SA| 1.20%| Developed Europe|Equity|Europe Equities||EURZ|6|15.ASSET|Equity|2.3|0.03|MBG| Mercedes-Benz Group AG| 1.14%| North America|Equity|Small Cap Blend Equities||AFSM|6|1.ASSET|Equity|2.6|0.03|BCC| Boise Cascade Co.| 1.24%| North America|Equity|Small Cap Blend Equities||AFSM|6|2.ASSET|Equity|2.6|0.03|LPX| Louisiana-Pacific Corporation| 1.19%| North America|Equity|Small Cap Blend Equities||AFSM|6|3.ASSET|Equity|2.6|0.03|AMPH| Amphastar Pharmaceuticals Inc| 1.03%| North America|Equity|Small Cap Blend Equities||AFSM|6|4.ASSET|Equity|2.6|0.02|AA| Alcoa Corporation| 0.95%| North America|Equity|Small Cap Blend Equities||AFSM|6|5.ASSET|Equity|2.6|0.02|ESGR| Enstar Group Limited| 0.92%| North America|Equity|Small Cap Blend Equities||AFSM|6|6.ASSET|Equity|2.6|0.02|ARCB| ArcBest Corporation| 0.90%| North America|Equity|Small Cap Blend Equities||AFSM|6|7.ASSET|Equity|2.6|0.02|IMKTA| Ingles Markets, Incorporated Class A| 0.90%| North America|Equity|Small Cap Blend Equities||AFSM|6|8.ASSET|Equity|2.6|0.02|WLL| Whiting Petroleum Corporation| 0.87%| North America|Equity|Small Cap Blend Equities||AFSM|6|9.ASSET|Equity|2.6|0.02|MATX| Matson, Inc.| 0.84%| North America|Equity|Small Cap Blend Equities||AFSM|6|10.ASSET|Equity|2.6|0.02|VRTV| Veritiv Corp| 0.82%| North America|Equity|Small Cap Blend Equities||AFSM|6|11.ASSET|Equity|2.6|0.02|BPOP| Popular, Inc.| 0.81%| North America|Equity|Small Cap Blend Equities||AFSM|6|12.ASSET|Equity|2.6|0.02|HOPE| Hope Bancorp, Inc.| 0.79%| North America|Equity|Small Cap Blend Equities||AFSM|6|13.ASSET|Equity|2.6|0.02|MYRG| MYR Group Inc.| 0.78%| North America|Equity|Small Cap Blend Equities||AFSM|6|14.ASSET|Equity|2.6|0.02|VIVO| Meridian Bioscience, Inc.| 0.77%| North America|Equity|Small Cap Blend Equities||AFSM|6|15.ASSET|Equity|2.6|0.02|SPTN| SpartanNash Company| 0.77%| North America|Equity|Large Cap Value Equities||GBDV|6|1.ASSET|Equity|3.4|0.21|LMT| Lockheed Martin Corporation| 6.06%| North America|Equity|Large Cap Value Equities||GBDV|6|2.ASSET|Equity|3.4|0.18|ABBV| AbbVie, Inc.| 5.28%| North America|Equity|Large Cap Value Equities||GBDV|6|3.ASSET|Equity|3.4|0.17|VZ| Verizon Communications Inc.| 4.86%| North America|Equity|Large Cap Value Equities||GBDV|6|4.ASSET|Equity|3.4|0.15|PRU| Prudential Financial, Inc.| 4.53%| North America|Equity|Large Cap Value Equities||GBDV|6|5.ASSET|Equity|3.4|0.15|IBM| International Business Machines Corporation| 4.50%| North America|Equity|Large Cap Value Equities||GBDV|6|6.ASSET|Equity|3.4|0.15|DOW| Dow, Inc.| 4.48%| North America|Equity|Large Cap Value Equities||GBDV|6|7.ASSET|Equity|3.4|0.14|WBA| Walgreens Boots Alliance Inc| 4.19%| North America|Equity|Large Cap Value Equities||GBDV|6|8.ASSET|Equity|3.4|0.14|PGR| Progressive Corporation| 4.08%| North America|Equity|Large Cap Value Equities||GBDV|6|9.ASSET|Equity|3.4|0.14|MRK| Merck & Co., Inc.| 4.07%| North America|Equity|Large Cap Value Equities||GBDV|6|10.ASSET|Equity|3.4|0.13|PFE| Pfizer Inc.| 3.78%| North America|Equity|Large Cap Value Equities||GBDV|6|11.ASSET|Equity|3.4|0.12|LYB| LyondellBasell Industries NV| 3.56%| North America|Equity|Large Cap Value Equities||GBDV|6|12.ASSET|Equity|3.4|0.1|PM| Philip Morris International Inc.| 2.82%| North America|Equity|Large Cap Value Equities||GBDV|6|13.ASSET|Equity|3.4|0.08|MMM| 3M Company| 2.41%| North America|Equity|Large Cap Value Equities||GBDV|6|14.ASSET|Equity|3.4|0.08|KHC| Kraft Heinz Company| 2.41%| North America|Equity|Large Cap Value Equities||GBDV|6|15.ASSET|Equity|3.4|0.07|DUK| Duke Energy Corporation| 1.99%| North America|Equity|Leveraged Equities||SKYU|6|1.ASSET|Equity|3|0.31|N/A| U.S. Dollar| 10.34%| North America|Equity|Leveraged Equities||SKYU|6|2.ASSET|Equity|3|0.11|VMW| VMware, Inc. Class A| 3.80%| North America|Equity|Leveraged Equities||SKYU|6|3.ASSET|Equity|3|0.11|GOOGL| Alphabet Inc. Class A| 3.71%| North America|Equity|Leveraged Equities||SKYU|6|4.ASSET|Equity|3|0.11|ANET| Arista Networks, Inc.| 3.63%| North America|Equity|Leveraged Equities||SKYU|6|5.ASSET|Equity|3|0.1|MSFT| Microsoft Corporation| 3.41%| North America|Equity|Leveraged Equities||SKYU|6|6.ASSET|Equity|3|0.1|CTXS| Citrix Systems, Inc.| 3.26%| North America|Equity|Leveraged Equities||SKYU|6|7.ASSET|Equity|3|0.1|AMZN| Amazon.com, Inc.| 3.24%| North America|Equity|Leveraged Equities||SKYU|6|8.ASSET|Equity|3|0.1|BABA| Alibaba Group Holding Ltd. Sponsored ADR| 3.21%| North America|Equity|Leveraged Equities||SKYU|6|9.ASSET|Equity|3|0.1|ORCL| Oracle Corporation| 3.21%| North America|Equity|Leveraged Equities||SKYU|6|10.ASSET|Equity|3|0.09|PSTG| Pure Storage, Inc. Class A| 3.15%| North America|Equity|Leveraged Equities||SKYU|6|11.ASSET|Equity|3|0.08|RXT| Rackspace Technology, Inc.| 2.75%| North America|Equity|Leveraged Equities||SKYU|6|12.ASSET|Equity|3|0.08|LUMN| Lumen Technologies, Inc.| 2.69%| North America|Equity|Leveraged Equities||SKYU|6|13.ASSET|Equity|3|0.08|CSCO| Cisco Systems, Inc.| 2.54%| North America|Equity|Leveraged Equities||SKYU|6|14.ASSET|Equity|3|0.07|AKAM| Akamai Technologies, Inc.| 2.46%| North America|Equity|Leveraged Equities||SKYU|6|15.ASSET|Equity|3|0.07|MDB| MongoDB, Inc. Class A| 2.43%| North America|Equity|n/a||USVT|6|1.ASSET|Equity|3.4|0.04|N/A| U.S. Dollar| 1.05%| North America|Equity|n/a||USVT|6|2.ASSET|Equity|3.4|0.02|OXY| Occidental Petroleum Corporation| 0.72%| North America|Equity|n/a||USVT|6|3.ASSET|Equity|3.4|0.02|AA| Alcoa Corporation| 0.70%| North America|Equity|n/a||USVT|6|4.ASSET|Equity|3.4|0.02|CF| CF Industries Holdings, Inc.| 0.66%| North America|Equity|n/a||USVT|6|5.ASSET|Equity|3.4|0.02|FHN| First Horizon Corporation| 0.66%| North America|Equity|n/a||USVT|6|6.ASSET|Equity|3.4|0.02|MOS| Mosaic Company| 0.66%| North America|Equity|n/a||USVT|6|7.ASSET|Equity|3.4|0.02|MRO| Marathon Oil Corporation| 0.63%| North America|Equity|n/a||USVT|6|8.ASSET|Equity|3.4|0.02|KSS| Kohl\'s Corporation| 0.62%| North America|Equity|n/a||USVT|6|9.ASSET|Equity|3.4|0.02|NUE| Nucor Corporation| 0.62%| North America|Equity|n/a||USVT|6|10.ASSET|Equity|3.4|0.02|AR| Antero Resources Corporation| 0.62%| North America|Equity|n/a||USVT|6|11.ASSET|Equity|3.4|0.02|OVV| Ovintiv Inc| 0.62%| North America|Equity|n/a||USVT|6|12.ASSET|Equity|3.4|0.02|CVX| Chevron Corporation| 0.62%| North America|Equity|n/a||USVT|6|13.ASSET|Equity|3.4|0.02|OGN| Organon & Co.| 0.61%| North America|Equity|n/a||USVT|6|14.ASSET|Equity|3.4|0.02|STLD| Steel Dynamics, Inc.| 0.61%| North America|Equity|n/a||USVT|6|15.ASSET|Equity|3.4|0.02|APA| APA Corp.| 0.60%| Global|Equity|n/a||FDWM|6|1.ASSET|Equity|2.8|0.13|MSFT| Microsoft Corporation| 4.52%| Global|Equity|n/a||FDWM|6|2.ASSET|Equity|2.8|0.07|NDAQ| Nasdaq, Inc.| 2.54%| Global|Equity|n/a||FDWM|6|3.ASSET|Equity|2.8|0.07|ANTM| Anthem, Inc.| 2.51%| Global|Equity|n/a||FDWM|6|4.ASSET|Equity|2.8|0.06|ACN| Accenture Plc Class A| 2.15%| Global|Equity|n/a||FDWM|6|5.ASSET|Equity|2.8|0.06|AAPL| Apple Inc.| 2.02%| Global|Equity|n/a||FDWM|6|6.ASSET|Equity|2.8|0.06|CRM| salesforce.com, inc.| 2.01%| Global|Equity|n/a||FDWM|6|7.ASSET|Equity|2.8|0.05|CDW| CDW Corp.| 1.92%| Global|Equity|n/a||FDWM|6|8.ASSET|Equity|2.8|0.05|ADBE| Adobe Inc.| 1.88%| Global|Equity|n/a||FDWM|6|9.ASSET|Equity|2.8|0.05|INTU| Intuit Inc.| 1.88%| Global|Equity|n/a||FDWM|6|10.ASSET|Equity|2.8|0.05|FSS| Federal Signal Corporation| 1.86%| Global|Equity|n/a||FDWM|6|11.ASSET|Equity|2.8|0.05|BAC| Bank of America Corp| 1.81%| Global|Equity|n/a||FDWM|6|12.ASSET|Equity|2.8|0.05|NVDA| NVIDIA Corporation| 1.75%| Global|Equity|n/a||FDWM|6|13.ASSET|Equity|2.8|0.05|MORN| Morningstar, Inc.| 1.73%| Global|Equity|n/a||FDWM|6|14.ASSET|Equity|2.8|0.05|HUBS| HubSpot, Inc.| 1.61%| Global|Equity|n/a||FDWM|6|15.ASSET|Equity|2.8|0.04|AME| AMETEK, Inc.| 1.53%| Global|Equity|n/a||RAYS|6|1.ASSET|Equity|9.4|0.93|SEDG| SolarEdge Technologies, Inc.| 9.85%| Global|Equity|n/a||RAYS|6|2.ASSET|Equity|9.4|0.85|002129| Tianjin Zhonghuan Semiconductor Co., Ltd. Class A| 8.99%| Global|Equity|n/a||RAYS|6|3.ASSET|Equity|9.4|0.84|ENPH| Enphase Energy, Inc.| 8.97%| Global|Equity|n/a||RAYS|6|4.ASSET|Equity|9.4|0.82|601012| LONGi Green Energy Technology Co Ltd Class A| 8.69%| Global|Equity|n/a||RAYS|6|5.ASSET|Equity|9.4|0.68|300274| Sungrow Power Supply Co., Ltd. Class A| 7.19%| Global|Equity|n/a||RAYS|6|6.ASSET|Equity|9.4|0.63|002459| JA Solar Technology Co., Ltd. Class A| 6.72%| Global|Equity|n/a||RAYS|6|7.ASSET|Equity|9.4|0.42|N/A| HANGZHOU FIRST APPLIED MATERIAL CO.,LTD. Class A| 4.43%| Global|Equity|n/a||RAYS|6|8.ASSET|Equity|9.4|0.41|968| Xinyi Solar Holdings Ltd.| 4.41%| Global|Equity|n/a||RAYS|6|9.ASSET|Equity|9.4|0.3|000591| CECEP Solar Energy Co., Ltd Class A| 3.23%| Global|Equity|n/a||RAYS|6|10.ASSET|Equity|9.4|0.28|RUN| Sunrun Inc.| 2.97%| Global|Equity|n/a||RAYS|6|11.ASSET|Equity|9.4|0.27|DQ| Daqo New Energy Corp Sponsored ADR| 2.89%| Global|Equity|n/a||RAYS|6|12.ASSET|Equity|9.4|0.27|300724| Shenzhen S.C New Energy Technology Corp. Class A| 2.83%| Global|Equity|n/a||RAYS|6|13.ASSET|Equity|9.4|0.24|009830| HANWHA SOLUTIONS CORPORATION| 2.55%| Global|Equity|n/a||RAYS|6|14.ASSET|Equity|9.4|0.18|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 1.94%| Global|Equity|n/a||RAYS|6|15.ASSET|Equity|9.4|0.17|002610| Jiangsu Akcome Science and Technology Co., Ltd. Class A| 1.85%| North America|Equity|Inverse Equities|Energy|DDG|6|1.ASSET|Equity|3.7|3.7|N/A| U.S. Dollar| 100.00%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|1.ASSET|Equity|4.5|0.11|AZN| Astrazeneca PLC Sponsored ADR| 2.47%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|2.ASSET|Equity|4.5|0.09|PKI| PerkinElmer, Inc.| 2.07%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|3.ASSET|Equity|4.5|0.09|LLY| Eli Lilly and Company| 2.02%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|4.ASSET|Equity|4.5|0.08|VBK| VERBIO Vereinigte BioEnergie AG| 1.81%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|5.ASSET|Equity|4.5|0.08|PFE| Pfizer Inc.| 1.77%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|6.ASSET|Equity|4.5|0.08|TMO| Thermo Fisher Scientific Inc.| 1.71%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|7.ASSET|Equity|4.5|0.08|ADM| Archer-Daniels-Midland Company| 1.71%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|8.ASSET|Equity|4.5|0.07|ZTS| Zoetis, Inc. Class A| 1.66%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|9.ASSET|Equity|4.5|0.07|DHR| Danaher Corporation| 1.64%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|10.ASSET|Equity|4.5|0.07|DAR| Darling Ingredients Inc.| 1.64%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|11.ASSET|Equity|4.5|0.07|GSK| GlaxoSmithKline plc| 1.63%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|12.ASSET|Equity|4.5|0.07|VRTX| Vertex Pharmaceuticals Incorporated| 1.62%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|13.ASSET|Equity|4.5|0.07|QGEN| QIAGEN NV| 1.57%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|14.ASSET|Equity|4.5|0.07|REGN| Regeneron Pharmaceuticals, Inc.| 1.54%| Developed Markets|Equity|Health & Biotech Equities|Healthcare|WDNA|6|15.ASSET|Equity|4.5|0.07|LH| Laboratory Corporation of America Holdings| 1.50%| Global|Equity|Technology Equities|Technology|VPOP|6|1.ASSET|Equity|0.8|0.08|GOOG| Alphabet Inc. Class C| 10.54%| Global|Equity|Technology Equities|Technology|VPOP|6|2.ASSET|Equity|0.8|0.08|AAPL| Apple Inc.| 9.97%| Global|Equity|Technology Equities|Technology|VPOP|6|3.ASSET|Equity|0.8|0.08|MSFT| Microsoft Corporation| 9.46%| Global|Equity|Technology Equities|Technology|VPOP|6|4.ASSET|Equity|0.8|0.07|AMZN| Amazon.com, Inc.| 8.29%| Global|Equity|Technology Equities|Technology|VPOP|6|5.ASSET|Equity|0.8|0.06|N/A| OPTIONS| 7.08%| Global|Equity|Technology Equities|Technology|VPOP|6|6.ASSET|Equity|0.8|0.06|NFLX| Netflix, Inc.| 7.03%| Global|Equity|Technology Equities|Technology|VPOP|6|7.ASSET|Equity|0.8|0.05|FB| Meta Platforms Inc. Class A| 6.76%| Global|Equity|Technology Equities|Technology|VPOP|6|8.ASSET|Equity|0.8|0.05|SOND| Sonder Holdings Inc. Class A| 6.50%| Global|Equity|Technology Equities|Technology|VPOP|6|9.ASSET|Equity|0.8|0.05|DIS| Walt Disney Company| 5.87%| Global|Equity|Technology Equities|Technology|VPOP|6|10.ASSET|Equity|0.8|0.04|TSLA| Tesla Inc| 5.11%| Global|Equity|Technology Equities|Technology|VPOP|6|11.ASSET|Equity|0.8|0.04|SNAP| Snap, Inc. Class A| 4.88%| Global|Equity|Technology Equities|Technology|VPOP|6|12.ASSET|Equity|0.8|0.03|TWTR| Twitter, Inc.| 4.23%| Global|Equity|Technology Equities|Technology|VPOP|6|13.ASSET|Equity|0.8|0.03|SPOT| Spotify Technology SA| 4.09%| Global|Equity|Technology Equities|Technology|VPOP|6|14.ASSET|Equity|0.8|0.03|RBLX| Roblox Corp. Class A| 3.18%| Global|Equity|Technology Equities|Technology|VPOP|6|15.ASSET|Equity|0.8|0.02|TCEHY| Tencent Holdings Ltd. Unsponsored ADR| 2.92%| North America|Equity|Leveraged Equities||FNGZ|6|1.ASSET|Equity|2.5|5|N/A| Cash Component| 200.00%| North America|Equity|Leveraged Equities||FNGZ|6|2.ASSET|Equity|2.5|-0.21|NVDA| NVIDIA Corp| -8.55%| North America|Equity|Leveraged Equities||FNGZ|6|3.ASSET|Equity|2.5|-0.22|BIDU| Baidu Inc| -8.97%| North America|Equity|Leveraged Equities||FNGZ|6|4.ASSET|Equity|2.5|-0.23|AMZN| Amazon.com Inc| -9.15%| North America|Equity|Leveraged Equities||FNGZ|6|5.ASSET|Equity|2.5|-0.23|NFLX| Netflix Inc| -9.18%| North America|Equity|Leveraged Equities||FNGZ|6|6.ASSET|Equity|2.5|-0.24|BABA| Alibaba Group Holding Ltd| -9.55%| North America|Equity|Leveraged Equities||FNGZ|6|7.ASSET|Equity|2.5|-0.24|GOOGL| Alphabet Inc| -9.74%| North America|Equity|Leveraged Equities||FNGZ|6|8.ASSET|Equity|2.5|-0.25|FB| Facebook Inc| -9.82%| North America|Equity|Leveraged Equities||FNGZ|6|9.ASSET|Equity|2.5|-0.25|AAPL| Apple Inc| -9.99%| North America|Equity|Leveraged Equities||FNGZ|6|10.ASSET|Equity|2.5|-0.3|TSLA| Tesla Inc| -12.17%| North America|Equity|Leveraged Equities||FNGZ|6|11.ASSET|Equity|2.5|-0.32|TWTR| Twitter Inc| -12.88%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|1.ASSET|Equity|2.3|0.06|316| Orient Overseas (International) Limited| 2.40%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|2.ASSET|Equity|2.3|0.05|ZIM| ZIM Integrated Shipping Services Ltd.| 2.27%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|3.ASSET|Equity|2.3|0.05|AAL| Anglo American plc| 2.23%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|4.ASSET|Equity|2.3|0.05|1605| INPEX CORPORATION| 2.19%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|5.ASSET|Equity|2.3|0.05|PPL| Pembina Pipeline Corporation| 2.17%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|6.ASSET|Equity|2.3|0.05|CNQ| Canadian Natural Resources Limited| 2.16%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|7.ASSET|Equity|2.3|0.05|REI.UT| RioCan Real Estate Investment Trust| 2.16%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|8.ASSET|Equity|2.3|0.05|RIO| Rio Tinto plc| 2.13%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|9.ASSET|Equity|2.3|0.05|VCX| Vicinity Centres| 2.00%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|10.ASSET|Equity|2.3|0.05|GRFS| Grifols, S.A. Sponsored ADR Class B| 1.96%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|11.ASSET|Equity|2.3|0.05|ORA| Orange SA| 1.96%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|12.ASSET|Equity|2.3|0.05|AGL| AGL Energy Limited| 1.96%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|13.ASSET|Equity|2.3|0.04|TEF| Telefonica SA| 1.94%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|14.ASSET|Equity|2.3|0.04|NOVN| Novartis AG| 1.94%| Developed Markets|Equity|Foreign Large Cap Equities||DMDV|6|15.ASSET|Equity|2.3|0.04|8053| Sumitomo Corporation| 1.94%| North America|Equity|Large Cap Growth Equities||AVDG|6|1.ASSET|Equity|2.4|0.3|MSFT| Microsoft Corporation| 12.56%| North America|Equity|Large Cap Growth Equities||AVDG|6|2.ASSET|Equity|2.4|0.29|AMZN| Amazon.com, Inc.| 12.14%| North America|Equity|Large Cap Growth Equities||AVDG|6|3.ASSET|Equity|2.4|0.2|NVDA| NVIDIA Corporation| 8.16%| North America|Equity|Large Cap Growth Equities||AVDG|6|4.ASSET|Equity|2.4|0.14|JNJ| Johnson & Johnson| 5.90%| North America|Equity|Large Cap Growth Equities||AVDG|6|5.ASSET|Equity|2.4|0.1|WMT| Walmart Inc.| 4.33%| North America|Equity|Large Cap Growth Equities||AVDG|6|6.ASSET|Equity|2.4|0.1|CVX| Chevron Corporation| 4.06%| North America|Equity|Large Cap Growth Equities||AVDG|6|7.ASSET|Equity|2.4|0.09|BAC| Bank of America Corp| 3.65%| North America|Equity|Large Cap Growth Equities||AVDG|6|8.ASSET|Equity|2.4|0.09|ABBV| AbbVie, Inc.| 3.55%| North America|Equity|Large Cap Growth Equities||AVDG|6|9.ASSET|Equity|2.4|0.08|JPM| JPMorgan Chase & Co.| 3.54%| North America|Equity|Large Cap Growth Equities||AVDG|6|10.ASSET|Equity|2.4|0.07|PEP| PepsiCo, Inc.| 3.08%| North America|Equity|Large Cap Growth Equities||AVDG|6|11.ASSET|Equity|2.4|0.07|ADBE| Adobe Inc.| 3.03%| North America|Equity|Large Cap Growth Equities||AVDG|6|12.ASSET|Equity|2.4|0.07|INTC| Intel Corporation| 2.72%| North America|Equity|Large Cap Growth Equities||AVDG|6|13.ASSET|Equity|2.4|0.05|PM| Philip Morris International Inc.| 2.21%| North America|Equity|Large Cap Growth Equities||AVDG|6|14.ASSET|Equity|2.4|0.05|LOW| Lowe\'s Companies, Inc.| 2.17%| North America|Equity|Large Cap Growth Equities||AVDG|6|15.ASSET|Equity|2.4|0.05|TXN| Texas Instruments Incorporated| 2.13%| North America|Equity|Leveraged Equities|Telecom|LTL|6|1.ASSET|Equity|2.4|0.52|N/A| U.S. Dollar| 21.47%| North America|Equity|Leveraged Equities|Telecom|LTL|6|2.ASSET|Equity|2.4|0.46|VZ| Verizon Communications Inc.| 19.21%| North America|Equity|Leveraged Equities|Telecom|LTL|6|3.ASSET|Equity|2.4|0.42|CSCO| Cisco Systems, Inc.| 17.64%| North America|Equity|Leveraged Equities|Telecom|LTL|6|4.ASSET|Equity|2.4|0.09|TMUS| T-Mobile US, Inc.| 3.92%| North America|Equity|Leveraged Equities|Telecom|LTL|6|5.ASSET|Equity|2.4|0.09|T| AT&T Inc.| 3.68%| North America|Equity|Leveraged Equities|Telecom|LTL|6|6.ASSET|Equity|2.4|0.08|ANET| Arista Networks, Inc.| 3.51%| North America|Equity|Leveraged Equities|Telecom|LTL|6|7.ASSET|Equity|2.4|0.08|MSI| Motorola Solutions, Inc.| 3.15%| North America|Equity|Leveraged Equities|Telecom|LTL|6|8.ASSET|Equity|2.4|0.07|GRMN| Garmin Ltd.| 2.94%| North America|Equity|Leveraged Equities|Telecom|LTL|6|9.ASSET|Equity|2.4|0.07|FFIV| F5, Inc.| 2.84%| North America|Equity|Leveraged Equities|Telecom|LTL|6|10.ASSET|Equity|2.4|0.06|JNPR| Juniper Networks, Inc.| 2.58%| North America|Equity|Leveraged Equities|Telecom|LTL|6|11.ASSET|Equity|2.4|0.06|CIEN| Ciena Corporation| 2.52%| North America|Equity|Leveraged Equities|Telecom|LTL|6|12.ASSET|Equity|2.4|0.05|LUMN| Lumen Technologies, Inc.| 2.21%| North America|Equity|Leveraged Equities|Telecom|LTL|6|13.ASSET|Equity|2.4|0.05|LBTYK| Liberty Global Plc Class C| 2.03%| North America|Equity|Leveraged Equities|Telecom|LTL|6|14.ASSET|Equity|2.4|0.04|LITE| Lumentum Holdings, Inc.| 1.70%| North America|Equity|Leveraged Equities|Telecom|LTL|6|15.ASSET|Equity|2.4|0.03|FYBR| Frontier Communications Parent, Inc.| 1.30%| North America|Bond|Government Bonds|Treasuries|IBTL|6|1.ASSET|Bond|3.6|0.99|N/A| United States Treasury Notes 1.625% 15-MAY-2031| 27.60%| North America|Bond|Government Bonds|Treasuries|IBTL|6|2.ASSET|Bond|3.6|0.91|N/A| United States Treasury Notes 1.25% 15-AUG-2031| 25.16%| North America|Bond|Government Bonds|Treasuries|IBTL|6|3.ASSET|Bond|3.6|0.85|N/A| United States Treasury Notes 1.375% 15-NOV-2031| 23.61%| North America|Bond|Government Bonds|Treasuries|IBTL|6|4.ASSET|Bond|3.6|0.84|N/A| United States Treasury Notes 1.125% 15-FEB-2031| 23.27%| North America|Bond|Government Bonds|Treasuries|IBTL|6|5.ASSET|Bond|3.6|0.01|N/A| U.S. Dollar| 0.36%| Developed Asia Pacific|Currency|Leveraged Currency||YCL|6|1.ASSET|Currency|2.3|2.3|N/A| Japanese yen| 100.00%| Global|Equity|Materials|Materials|JGLD|6|1.ASSET|Equity|1.8|0.06|RGLD| Royal Gold, Inc.| 3.43%| Global|Equity|Materials|Materials|JGLD|6|2.ASSET|Equity|1.8|0.05|PAF| Pan African Resources PLC| 2.84%| Global|Equity|Materials|Materials|JGLD|6|3.ASSET|Equity|1.8|0.05|SSRM| SSR Mining Inc| 2.82%| Global|Equity|Materials|Materials|JGLD|6|4.ASSET|Equity|1.8|0.05|WDO| Wesdome Gold Mines Ltd.| 2.80%| Global|Equity|Materials|Materials|JGLD|6|5.ASSET|Equity|1.8|0.05|GBR| Great Bear Resources Ltd. Class A| 2.74%| Global|Equity|Materials|Materials|JGLD|6|6.ASSET|Equity|1.8|0.05|PVG| Pretium Resources Inc.| 2.72%| Global|Equity|Materials|Materials|JGLD|6|7.ASSET|Equity|1.8|0.05|ELD| Eldorado Gold Corporation| 2.58%| Global|Equity|Materials|Materials|JGLD|6|8.ASSET|Equity|1.8|0.05|YRI| Yamana Gold Inc.| 2.55%| Global|Equity|Materials|Materials|JGLD|6|9.ASSET|Equity|1.8|0.05|CG| Centerra Gold Inc.| 2.53%| Global|Equity|Materials|Materials|JGLD|6|10.ASSET|Equity|1.8|0.04|IMG| IAMGOLD Corporation| 2.47%| Global|Equity|Materials|Materials|JGLD|6|11.ASSET|Equity|1.8|0.04|BTO| B2Gold Corp.| 2.40%| Global|Equity|Materials|Materials|JGLD|6|12.ASSET|Equity|1.8|0.04|KNT| K92 Mining, Inc.| 2.39%| Global|Equity|Materials|Materials|JGLD|6|13.ASSET|Equity|1.8|0.04|EVN| Evolution Mining Limited| 2.37%| Global|Equity|Materials|Materials|JGLD|6|14.ASSET|Equity|1.8|0.04|TXG| Torex Gold Resources Inc.| 2.35%| Global|Equity|Materials|Materials|JGLD|6|15.ASSET|Equity|1.8|0.04|OSK| Osisko Mining Inc| 2.32%| North America|Equity|All Cap Equities||FEDX|6|1.ASSET|Equity|2|0.22|LMT| Lockheed Martin Corporation| 10.79%| North America|Equity|All Cap Equities||FEDX|6|2.ASSET|Equity|2|0.2|NOC| Northrop Grumman Corporation| 10.16%| North America|Equity|All Cap Equities||FEDX|6|3.ASSET|Equity|2|0.19|RTX| Raytheon Technologies Corporation| 9.63%| North America|Equity|All Cap Equities||FEDX|6|4.ASSET|Equity|2|0.19|GD| General Dynamics Corporation| 9.62%| North America|Equity|All Cap Equities||FEDX|6|5.ASSET|Equity|2|0.15|HON| Honeywell International Inc.| 7.46%| North America|Equity|All Cap Equities||FEDX|6|6.ASSET|Equity|2|0.1|LHX| L3Harris Technologies Inc| 5.09%| North America|Equity|All Cap Equities||FEDX|6|7.ASSET|Equity|2|0.09|TDY| Teledyne Technologies Incorporated| 4.56%| North America|Equity|All Cap Equities||FEDX|6|8.ASSET|Equity|2|0.09|LDOS| Leidos Holdings, Inc.| 4.42%| North America|Equity|All Cap Equities||FEDX|6|9.ASSET|Equity|2|0.08|J| Jacobs Engineering Group Inc.| 4.07%| North America|Equity|All Cap Equities||FEDX|6|10.ASSET|Equity|2|0.07|BAH| Booz Allen Hamilton Holding Corporation Class A| 3.52%| North America|Equity|All Cap Equities||FEDX|6|11.ASSET|Equity|2|0.07|HII| Huntington Ingalls Industries, Inc.| 3.34%| North America|Equity|All Cap Equities||FEDX|6|12.ASSET|Equity|2|0.06|KBR| KBR, Inc.| 3.12%| North America|Equity|All Cap Equities||FEDX|6|13.ASSET|Equity|2|0.06|CACI| CACI International Inc Class A| 3.03%| North America|Equity|All Cap Equities||FEDX|6|14.ASSET|Equity|2|0.06|SAIC| Science Applications International Corp.| 2.81%| North America|Equity|All Cap Equities||FEDX|6|15.ASSET|Equity|2|0.05|MMS| MAXIMUS, Inc.| 2.69%| North America|Equity|n/a||JANZ|6|1.ASSET|Equity|4.8|5.04|N/A| United States Treasury Bills 0.0% 29-DEC-2022| 105.08%| North America|Equity|n/a||JANZ|6|2.ASSET|Equity|4.8|0.04|FXFXX| First American Funds Inc X Treasury Obligations Fund| 0.78%| North America|Equity|n/a||JANZ|6|3.ASSET|Equity|4.8|-0|N/A| U.S. Dollar| -0.05%| North America|Equity|n/a||JANZ|6|4.ASSET|Equity|4.8|-0.28|N/A| OPTIONS| -5.80%| Developed Europe|Currency|Currency||EUFX|6|1.ASSET|Currency|2.3|2.3|N/A| euro| 100.00%| North America|Equity|All Cap Equities||PEXL|6|1.ASSET|Equity|4.2|0.07|MOS| Mosaic Company| 1.55%| North America|Equity|All Cap Equities||PEXL|6|2.ASSET|Equity|4.2|0.06|APA| APA Corp.| 1.54%| North America|Equity|All Cap Equities||PEXL|6|3.ASSET|Equity|4.2|0.06|HAL| Halliburton Company| 1.48%| North America|Equity|All Cap Equities||PEXL|6|4.ASSET|Equity|4.2|0.06|CVX| Chevron Corporation| 1.39%| North America|Equity|All Cap Equities||PEXL|6|5.ASSET|Equity|4.2|0.06|XOM| Exxon Mobil Corporation| 1.38%| North America|Equity|All Cap Equities||PEXL|6|6.ASSET|Equity|4.2|0.06|FCX| Freeport-McMoRan, Inc.| 1.37%| North America|Equity|All Cap Equities||PEXL|6|7.ASSET|Equity|4.2|0.06|NEM| Newmont Corporation| 1.35%| North America|Equity|All Cap Equities||PEXL|6|8.ASSET|Equity|4.2|0.06|ADM| Archer-Daniels-Midland Company| 1.35%| North America|Equity|All Cap Equities||PEXL|6|9.ASSET|Equity|4.2|0.06|CCMP| CMC Materials, Inc.| 1.34%| North America|Equity|All Cap Equities||PEXL|6|10.ASSET|Equity|4.2|0.06|DAR| Darling Ingredients Inc.| 1.34%| North America|Equity|All Cap Equities||PEXL|6|11.ASSET|Equity|4.2|0.05|KO| Coca-Cola Company| 1.21%| North America|Equity|All Cap Equities||PEXL|6|12.ASSET|Equity|4.2|0.05|FMC| FMC Corporation| 1.18%| North America|Equity|All Cap Equities||PEXL|6|13.ASSET|Equity|4.2|0.05|BCO| Brink\'s Company| 1.17%| North America|Equity|All Cap Equities||PEXL|6|14.ASSET|Equity|4.2|0.05|BAX| Baxter International Inc.| 1.15%| North America|Equity|All Cap Equities||PEXL|6|15.ASSET|Equity|4.2|0.05|HALO| Halozyme Therapeutics, Inc.| 1.14%| North America|Equity|n/a||PSCW|6|1.ASSET|Equity|6|5.98|N/A| OPTIONS| 99.72%| North America|Equity|n/a||PSCW|6|2.ASSET|Equity|6|0.02|N/A| U.S. Dollar| 0.28%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|1.ASSET|Equity|2.2|0.07|1211| BYD Company Limited Class H| 3.14%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|2.ASSET|Equity|2.2|0.06|968| Xinyi Solar Holdings Ltd.| 2.92%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|3.ASSET|Equity|2.2|0.06|CLSK| Cleanspark, Inc.| 2.82%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|4.ASSET|Equity|2.2|0.06|BE| Bloom Energy Corporation Class A| 2.60%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|5.ASSET|Equity|2.2|0.06|FCEL| FuelCell Energy, Inc.| 2.51%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|6.ASSET|Equity|2.2|0.05|6508| Meidensha Corporation| 2.43%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|7.ASSET|Equity|2.2|0.05|SEDG| SolarEdge Technologies, Inc.| 2.27%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|8.ASSET|Equity|2.2|0.05|AMRC| Ameresco, Inc. Class A| 2.26%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|9.ASSET|Equity|2.2|0.05|EVGO| EVgo, Inc. Class A| 2.20%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|10.ASSET|Equity|2.2|0.05|ALFEN| Alfen NV| 2.18%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|11.ASSET|Equity|2.2|0.05|BLNK| Blink Charging Co| 2.12%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|12.ASSET|Equity|2.2|0.04|ENPH| Enphase Energy, Inc.| 2.04%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|13.ASSET|Equity|2.2|0.04|CSIQ| Canadian Solar Inc.| 2.03%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|14.ASSET|Equity|2.2|0.04|PLUG| Plug Power Inc.| 2.00%| Global|Equity|Alternative Energy Equities|Energy|SHFT|6|15.ASSET|Equity|2.2|0.04|ITM| ITM Power PLC| 2.00%| North America|Equity|Leveraged Equities|Utilities|SDP|6|1.ASSET|Equity|1.3|1.3|N/A| U.S. Dollar| 100.00%| North America|Equity|n/a||EPRE|6|1.ASSET|Equity|0.9|0.11|MISXX| Morgan Stanley Institutional Liquidity Funds treasury Portfolio Institutional| 11.91%| North America|Equity|n/a||EPRE|6|2.ASSET|Equity|0.9|0.07|HEI| HEICO Corporation| 7.79%| North America|Equity|n/a||EPRE|6|3.ASSET|Equity|0.9|0.06|TDG| TransDigm Group Incorporated| 6.52%| North America|Equity|n/a||EPRE|6|4.ASSET|Equity|0.9|0.06|MSFT| Microsoft Corporation| 6.41%| North America|Equity|n/a||EPRE|6|5.ASSET|Equity|0.9|0.05|KDP| Keurig Dr Pepper Inc.| 5.58%| North America|Equity|n/a||EPRE|6|6.ASSET|Equity|0.9|0.05|SPGI| S&P Global, Inc.| 5.16%| North America|Equity|n/a||EPRE|6|7.ASSET|Equity|0.9|0.04|MTD| Mettler-Toledo International Inc.| 4.81%| North America|Equity|n/a||EPRE|6|8.ASSET|Equity|0.9|0.04|CPRT| Copart, Inc.| 4.64%| North America|Equity|n/a||EPRE|6|9.ASSET|Equity|0.9|0.04|MORN| Morningstar, Inc.| 4.47%| North America|Equity|n/a||EPRE|6|10.ASSET|Equity|0.9|0.04|FISV| Fiserv, Inc.| 4.36%| North America|Equity|n/a||EPRE|6|11.ASSET|Equity|0.9|0.04|AME| AMETEK, Inc.| 4.22%| North America|Equity|n/a||EPRE|6|12.ASSET|Equity|0.9|0.04|MSCI| MSCI Inc. Class A| 4.21%| North America|Equity|n/a||EPRE|6|13.ASSET|Equity|0.9|0.04|VRT| Vertiv Holdings Co. Class A| 3.95%| North America|Equity|n/a||EPRE|6|14.ASSET|Equity|0.9|0.04|DND| Dye & Durham Ltd.| 3.89%| North America|Equity|n/a||EPRE|6|15.ASSET|Equity|0.9|0.03|TYL| Tyler Technologies, Inc.| 3.71%| North America|Equity|n/a||ITAN|6|1.ASSET|Equity|4.2|0.18|AMZN| Amazon.com, Inc.| 4.20%| North America|Equity|n/a||ITAN|6|2.ASSET|Equity|4.2|0.17|MSFT| Microsoft Corporation| 4.03%| North America|Equity|n/a||ITAN|6|3.ASSET|Equity|4.2|0.15|AAPL| Apple Inc.| 3.55%| North America|Equity|n/a||ITAN|6|4.ASSET|Equity|4.2|0.11|NVDA| NVIDIA Corporation| 2.60%| North America|Equity|n/a||ITAN|6|5.ASSET|Equity|4.2|0.09|FB| Meta Platforms Inc. Class A| 2.19%| North America|Equity|n/a||ITAN|6|6.ASSET|Equity|4.2|0.08|GOOG| Alphabet Inc. Class C| 1.96%| North America|Equity|n/a||ITAN|6|7.ASSET|Equity|4.2|0.08|GOOGL| Alphabet Inc. Class A| 1.89%| North America|Equity|n/a||ITAN|6|8.ASSET|Equity|4.2|0.07|BAC| Bank of America Corp| 1.72%| North America|Equity|n/a||ITAN|6|9.ASSET|Equity|4.2|0.07|CSCO| Cisco Systems, Inc.| 1.68%| North America|Equity|n/a||ITAN|6|10.ASSET|Equity|4.2|0.07|VZ| Verizon Communications Inc.| 1.66%| North America|Equity|n/a||ITAN|6|11.ASSET|Equity|4.2|0.07|ADBE| Adobe Inc.| 1.61%| North America|Equity|n/a||ITAN|6|12.ASSET|Equity|4.2|0.07|CRM| salesforce.com, inc.| 1.61%| North America|Equity|n/a||ITAN|6|13.ASSET|Equity|4.2|0.06|ORCL| Oracle Corporation| 1.52%| North America|Equity|n/a||ITAN|6|14.ASSET|Equity|4.2|0.06|INTC| Intel Corporation| 1.51%| North America|Equity|n/a||ITAN|6|15.ASSET|Equity|4.2|0.06|QCOM| Qualcomm Inc| 1.40%| North America|Equity|n/a||ZECP|6|1.ASSET|Equity|11.8|0.76|AAPL| Apple Inc.| 6.40%| North America|Equity|n/a||ZECP|6|2.ASSET|Equity|11.8|0.67|MSFT| Microsoft Corporation| 5.69%| North America|Equity|n/a||ZECP|6|3.ASSET|Equity|11.8|0.41|GOOGL| Alphabet Inc. Class A| 3.48%| North America|Equity|n/a||ZECP|6|4.ASSET|Equity|11.8|0.39|PG| Procter & Gamble Company| 3.33%| North America|Equity|n/a||ZECP|6|5.ASSET|Equity|11.8|0.39|UNH| UnitedHealth Group Incorporated| 3.27%| North America|Equity|n/a||ZECP|6|6.ASSET|Equity|11.8|0.33|HD| Home Depot, Inc.| 2.76%| North America|Equity|n/a||ZECP|6|7.ASSET|Equity|11.8|0.26|PEP| PepsiCo, Inc.| 2.23%| North America|Equity|n/a||ZECP|6|8.ASSET|Equity|11.8|0.26|AEP| American Electric Power Company, Inc.| 2.21%| North America|Equity|n/a||ZECP|6|9.ASSET|Equity|11.8|0.26|AXP| American Express Company| 2.20%| North America|Equity|n/a||ZECP|6|10.ASSET|Equity|11.8|0.24|ACN| Accenture Plc Class A| 2.02%| North America|Equity|n/a||ZECP|6|11.ASSET|Equity|11.8|0.24|CVS| CVS Health Corporation| 2.02%| North America|Equity|n/a||ZECP|6|12.ASSET|Equity|11.8|0.23|HSY| Hershey Company| 1.99%| North America|Equity|n/a||ZECP|6|13.ASSET|Equity|11.8|0.23|JNJ| Johnson & Johnson| 1.96%| North America|Equity|n/a||ZECP|6|14.ASSET|Equity|11.8|0.23|DHR| Danaher Corporation| 1.92%| North America|Equity|n/a||ZECP|6|15.ASSET|Equity|11.8|0.22|MMC| Marsh & McLennan Companies, Inc.| 1.90%| North America|Equity|Inverse Equities|Materials|SBM|6|1.ASSET|Equity|1.9|1.9|N/A| U.S. Dollar| 100.00%| North America|Equity|Inverse Equities|Materials|SBM|6|2.ASSET|Equity|1.9|1.9|N/A| U.S. Dollar| 100.00%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|1.ASSET|Multi-Asset|40.7|3.87|N/A| U.S. Dollar| 9.52%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|2.ASSET|Multi-Asset|40.7|3.12|2330| Taiwan Semiconductor Manufacturing Co., Ltd.| 7.67%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|3.ASSET|Multi-Asset|40.7|2.05|005930| Samsung Electronics Co., Ltd.| 5.04%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|4.ASSET|Multi-Asset|40.7|1.99|700| Tencent Holdings Ltd.| 4.89%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|5.ASSET|Multi-Asset|40.7|1.29|9988| Alibaba Group Holding Ltd.| 3.17%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|6.ASSET|Multi-Asset|40.7|0.58|500325| Reliance Industries Limited| 1.43%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|7.ASSET|Multi-Asset|40.7|0.53|3690| Meituan Class B| 1.31%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|8.ASSET|Multi-Asset|40.7|0.52|VALE3| Vale S.A.| 1.28%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|9.ASSET|Multi-Asset|40.7|0.52|500209| Infosys Limited| 1.27%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|10.ASSET|Multi-Asset|40.7|0.45|939| China Construction Bank Corporation Class H| 1.10%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|11.ASSET|Multi-Asset|40.7|0.42|JD| JD.com, Inc. Sponsored ADR Class A| 1.03%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|12.ASSET|Multi-Asset|40.7|0.42|PETR4| Petroleo Brasileiro SA Pfd| 1.03%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|13.ASSET|Multi-Asset|40.7|0.37|NPN| Naspers Limited Class N| 0.91%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|14.ASSET|Multi-Asset|40.7|0.37|000660| SK hynix Inc| 0.91%| Emerging Markets|Multi-Asset|Diversified Portfolio||NTSE|6|15.ASSET|Multi-Asset|40.7|0.33|2317| Hon Hai Precision Industry Co., Ltd.| 0.81%| North America|Equity|n/a||IVRA|6|1.ASSET|Equity|2.8|1.14|N/A| EQUITY OTHER| 40.82%| North America|Equity|n/a||IVRA|6|2.ASSET|Equity|2.8|0.17|AMT| American Tower Corporation| 6.20%| North America|Equity|n/a||IVRA|6|3.ASSET|Equity|2.8|0.1|ED| Consolidated Edison, Inc.| 3.62%| North America|Equity|n/a||IVRA|6|4.ASSET|Equity|2.8|0.09|AWK| American Water Works Company, Inc.| 3.29%| North America|Equity|n/a||IVRA|6|5.ASSET|Equity|2.8|0.09|LNG| Cheniere Energy, Inc.| 3.22%| North America|Equity|n/a||IVRA|6|6.ASSET|Equity|2.8|0.08|SBAC| SBA Communications Corp. Class A| 2.69%| North America|Equity|n/a||IVRA|6|7.ASSET|Equity|2.8|0.07|SPG| Simon Property Group, Inc.| 2.57%| North America|Equity|n/a||IVRA|6|8.ASSET|Equity|2.8|0.07|EQIX| Equinix, Inc.| 2.50%| North America|Equity|n/a||IVRA|6|9.ASSET|Equity|2.8|0.06|ARE| Alexandria Real Estate Equities, Inc.| 2.04%| North America|Equity|n/a||IVRA|6|10.ASSET|Equity|2.8|0.05|WFG| West Fraser Timber Co. Ltd.| 1.90%| North America|Equity|n/a||IVRA|6|11.ASSET|Equity|2.8|0.05|AMH| American Homes 4 Rent Class A| 1.78%| North America|Equity|n/a||IVRA|6|12.ASSET|Equity|2.8|0.05|NTR| Nutrien Ltd.| 1.76%| North America|Equity|n/a||IVRA|6|13.ASSET|Equity|2.8|0.05|ADM| Archer-Daniels-Midland Company| 1.74%| North America|Equity|n/a||IVRA|6|14.ASSET|Equity|2.8|0.05|TRGP| Targa Resources Corp.| 1.72%| North America|Equity|n/a||IVRA|6|15.ASSET|Equity|2.8|0.05|KRC| Kilroy Realty Corporation| 1.62%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|1.ASSET|Equity|1.6|0.16|916| China Longyuan Power Group Corp. Ltd. Class H| 9.72%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|2.ASSET|Equity|1.6|0.14|600900| China Yangtze Power Co., Ltd. Class A| 8.96%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|3.ASSET|Equity|1.6|0.14|384| China Gas Holdings Limited| 8.72%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|4.ASSET|Equity|1.6|0.14|2688| ENN Energy Holdings Limited| 8.54%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|5.ASSET|Equity|1.6|0.12|1193| China Resources Gas Group Limited| 7.68%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|6.ASSET|Equity|1.6|0.09|2380| China Power International Development Ltd| 5.46%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|7.ASSET|Equity|1.6|0.08|836| China Resources Power Holdings Co. Ltd.| 5.04%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|8.ASSET|Equity|1.6|0.07|1816| CGN Power Co., Ltd. Class H| 4.63%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|9.ASSET|Equity|1.6|0.07|135| KunLun Energy Co. Ltd.| 4.56%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|10.ASSET|Equity|1.6|0.07|270| Guangdong Investment Limited| 4.55%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|11.ASSET|Equity|1.6|0.07|371| Beijing Enterprises Water Group Limited| 4.38%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|12.ASSET|Equity|1.6|0.07|392| Beijing Enterprises Holdings Limited| 4.19%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|13.ASSET|Equity|1.6|0.06|600905| China Three Gorges Renewables (Group) Co., Ltd. Class A| 3.91%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|14.ASSET|Equity|1.6|0.06|902| Huaneng Power International, Inc. Class H| 3.86%| Emerging Asia Pacific|Equity|China Equities|Utilities|CHIU|6|15.ASSET|Equity|1.6|0.05|601985| China National Nuclear Power Co. Ltd. Class A| 3.17%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|1.ASSET|Equity|7.9|1.03|N/A| OPTIONS| 13.09%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|2.ASSET|Equity|7.9|0.93|NVDA| NVIDIA Corporation| 11.82%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|3.ASSET|Equity|7.9|0.73|TSLA| Tesla Inc| 9.26%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|4.ASSET|Equity|7.9|0.43|KUKAY| KUKA Aktiengesellschaft Unsponsored ADR| 5.49%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|5.ASSET|Equity|7.9|0.43|VALE| Vale S.A. Sponsored ADR| 5.47%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|6.ASSET|Equity|7.9|0.4|GFS| GlobalFoundries Inc.| 5.05%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|7.ASSET|Equity|7.9|0.39|AAPL| Apple Inc.| 4.99%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|8.ASSET|Equity|7.9|0.38|AMD| Advanced Micro Devices, Inc.| 4.83%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|9.ASSET|Equity|7.9|0.37|ASML| ASML Holding NV ADR| 4.73%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|10.ASSET|Equity|7.9|0.35|AMZN| Amazon.com, Inc.| 4.37%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|11.ASSET|Equity|7.9|0.33|N/A| U.S. Dollar| 4.21%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|12.ASSET|Equity|7.9|0.3|ALB| Albemarle Corporation| 3.86%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|13.ASSET|Equity|7.9|0.25|INTC| Intel Corporation| 3.17%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|14.ASSET|Equity|7.9|0.25|AVGO| Broadcom Inc.| 3.13%| Global|Equity|Consumer Discretionary Equities|Consumer Discretionary|VCAR|6|15.ASSET|Equity|7.9|0.24|QCOM| Qualcomm Inc| 3.04%| North America|Equity|Leveraged Equities||MZZ|6|1.ASSET|Equity|1.9|1.9|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities||MZZ|6|2.ASSET|Equity|1.9|1.9|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities|Materials|SMN|6|1.ASSET|Equity|1.6|1.6|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities|Materials|SMN|6|2.ASSET|Equity|1.6|1.6|N/A| U.S. Dollar| 100.00%| North America|Equity|All Cap Equities||DSPC|6|1.ASSET|Equity|1.3|0.06|MVST| Microvast Holdings, Inc.| 4.62%| North America|Equity|All Cap Equities||DSPC|6|2.ASSET|Equity|1.3|0.06|CHPT| ChargePoint Holdings, Inc. Class A| 4.59%| North America|Equity|All Cap Equities||DSPC|6|3.ASSET|Equity|1.3|0.06|AUR| Aurora Innovation, Inc. Class A| 4.51%| North America|Equity|All Cap Equities||DSPC|6|4.ASSET|Equity|1.3|0.06|ASTR| Astra Space, Inc. Class A| 4.46%| North America|Equity|All Cap Equities||DSPC|6|5.ASSET|Equity|1.3|0.06|MIR| Mirion Technologies, Inc. Class A| 4.40%| North America|Equity|All Cap Equities||DSPC|6|6.ASSET|Equity|1.3|0.06|PTRA| Proterra Inc.| 4.33%| North America|Equity|All Cap Equities||DSPC|6|7.ASSET|Equity|1.3|0.06|SGHC| Super Group (SGHC) Limited| 4.32%| North America|Equity|All Cap Equities||DSPC|6|8.ASSET|Equity|1.3|0.06|MTTR| Matterport, Inc. Class A| 4.26%| North America|Equity|All Cap Equities||DSPC|6|9.ASSET|Equity|1.3|0.05|LCID| Lucid Group, Inc.| 4.20%| North America|Equity|All Cap Equities||DSPC|6|10.ASSET|Equity|1.3|0.05|ALIT| Alight Inc Class A| 4.07%| North America|Equity|All Cap Equities||DSPC|6|11.ASSET|Equity|1.3|0.05|GRAB| Grab Holdings Ltd. (Singapore) Class A| 4.07%| North America|Equity|All Cap Equities||DSPC|6|12.ASSET|Equity|1.3|0.05|PAYO| Payoneer Global Inc.| 4.00%| North America|Equity|All Cap Equities||DSPC|6|13.ASSET|Equity|1.3|0.05|WE| WeWork Inc. Class A| 3.93%| North America|Equity|All Cap Equities||DSPC|6|14.ASSET|Equity|1.3|0.05|SOFI| SoFi Technologies Inc| 3.92%| North America|Equity|All Cap Equities||DSPC|6|15.ASSET|Equity|1.3|0.05|GENI| Genius Sports Limited| 3.88%| North America|Equity|Leveraged Equities|Industrials|SIJ|6|1.ASSET|Equity|3.4|3.4|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities|Industrials|SIJ|6|2.ASSET|Equity|3.4|3.4|N/A| U.S. Dollar| 100.00%| |Commodity|Agricultural Commodities||FUE|6|1.ASSET|Commodity|2.6|0.85|N/A| Soybean| 32.73%| |Commodity|Agricultural Commodities||FUE|6|2.ASSET|Commodity|2.6|0.55|N/A| Corn| 21.06%| |Commodity|Agricultural Commodities||FUE|6|3.ASSET|Commodity|2.6|0.51|N/A| Soybean Oil| 19.45%| |Commodity|Agricultural Commodities||FUE|6|4.ASSET|Commodity|2.6|0.41|N/A| Sugar| 15.71%| |Commodity|Agricultural Commodities||FUE|6|5.ASSET|Commodity|2.6|0.19|N/A| Canola| 7.21%| Global|Equity|n/a||IVSG|6|1.ASSET|Equity|1.2|0.17|MSFT| Microsoft Corporation| 14.49%| Global|Equity|n/a||IVSG|6|2.ASSET|Equity|1.2|0.09|GOOGL| Alphabet Inc. Class A| 7.70%| Global|Equity|n/a||IVSG|6|3.ASSET|Equity|1.2|0.09|QCOM| Qualcomm Inc| 7.23%| Global|Equity|n/a||IVSG|6|4.ASSET|Equity|1.2|0.08|PANW| Palo Alto Networks, Inc.| 6.67%| Global|Equity|n/a||IVSG|6|5.ASSET|Equity|1.2|0.07|AMZN| Amazon.com, Inc.| 5.91%| Global|Equity|n/a||IVSG|6|6.ASSET|Equity|1.2|0.06|NVDA| NVIDIA Corporation| 5.13%| Global|Equity|n/a||IVSG|6|7.ASSET|Equity|1.2|0.06|FB| Meta Platforms Inc. Class A| 4.88%| Global|Equity|n/a||IVSG|6|8.ASSET|Equity|1.2|0.06|AAPL| Apple Inc.| 4.88%| Global|Equity|n/a||IVSG|6|9.ASSET|Equity|1.2|0.06|BKNG| Booking Holdings Inc.| 4.86%| Global|Equity|n/a||IVSG|6|10.ASSET|Equity|1.2|0.06|N/A| EQUITY OTHER| 4.63%| Global|Equity|n/a||IVSG|6|11.ASSET|Equity|1.2|0.05|APO| Apollo Global Management Inc.| 4.50%| Global|Equity|n/a||IVSG|6|12.ASSET|Equity|1.2|0.04|AMAT| Applied Materials, Inc.| 3.66%| Global|Equity|n/a||IVSG|6|13.ASSET|Equity|1.2|0.04|IQV| IQVIA Holdings Inc| 3.33%| Global|Equity|n/a||IVSG|6|14.ASSET|Equity|1.2|0.04|ISRG| Intuitive Surgical, Inc.| 3.21%| Global|Equity|n/a||IVSG|6|15.ASSET|Equity|1.2|0.03|URI| United Rentals, Inc.| 2.91%| North America|Equity|Small Cap Blend Equities||AFMC|6|1.ASSET|Equity|2.5|0.04|MOH| Molina Healthcare, Inc.| 1.51%| North America|Equity|Small Cap Blend Equities||AFMC|6|2.ASSET|Equity|2.5|0.04|JLL| Jones Lang LaSalle Incorporated| 1.45%| North America|Equity|Small Cap Blend Equities||AFMC|6|3.ASSET|Equity|2.5|0.03|BLDR| Builders FirstSource, Inc.| 1.32%| North America|Equity|Small Cap Blend Equities||AFMC|6|4.ASSET|Equity|2.5|0.03|DKS| Dick\'s Sporting Goods, Inc.| 1.29%| North America|Equity|Small Cap Blend Equities||AFMC|6|5.ASSET|Equity|2.5|0.03|AN| AutoNation, Inc.| 1.29%| North America|Equity|Small Cap Blend Equities||AFMC|6|6.ASSET|Equity|2.5|0.03|AFG| American Financial Group, Inc.| 1.23%| North America|Equity|Small Cap Blend Equities||AFMC|6|7.ASSET|Equity|2.5|0.03|ARW| Arrow Electronics, Inc.| 1.23%| North America|Equity|Small Cap Blend Equities||AFMC|6|8.ASSET|Equity|2.5|0.03|RS| Reliance Steel & Aluminum Co.| 1.15%| North America|Equity|Small Cap Blend Equities||AFMC|6|9.ASSET|Equity|2.5|0.03|LPX| Louisiana-Pacific Corporation| 1.11%| North America|Equity|Small Cap Blend Equities||AFMC|6|10.ASSET|Equity|2.5|0.03|CIEN| Ciena Corporation| 1.08%| North America|Equity|Small Cap Blend Equities||AFMC|6|11.ASSET|Equity|2.5|0.03|NVST| Envista Holdings Corp.| 1.04%| North America|Equity|Small Cap Blend Equities||AFMC|6|12.ASSET|Equity|2.5|0.02|ORI| Old Republic International Corporation| 0.95%| North America|Equity|Small Cap Blend Equities||AFMC|6|13.ASSET|Equity|2.5|0.02|CPT| Camden Property Trust| 0.92%| North America|Equity|Small Cap Blend Equities||AFMC|6|14.ASSET|Equity|2.5|0.02|AA| Alcoa Corporation| 0.86%| North America|Equity|Small Cap Blend Equities||AFMC|6|15.ASSET|Equity|2.5|0.02|AGCO| AGCO Corporation| 0.85%| North America|Equity|Large Cap Blend Equities||GBLO|6|1.ASSET|Equity|1.3|0.07|T| AT&T Inc.| 5.21%| North America|Equity|Large Cap Blend Equities||GBLO|6|2.ASSET|Equity|1.3|0.07|CVS| CVS Health Corporation| 5.16%| North America|Equity|Large Cap Blend Equities||GBLO|6|3.ASSET|Equity|1.3|0.06|KR| Kroger Co.| 4.95%| North America|Equity|Large Cap Blend Equities||GBLO|6|4.ASSET|Equity|1.3|0.06|VZ| Verizon Communications Inc.| 4.91%| North America|Equity|Large Cap Blend Equities||GBLO|6|5.ASSET|Equity|1.3|0.06|WMT| Walmart Inc.| 4.59%| North America|Equity|Large Cap Blend Equities||GBLO|6|6.ASSET|Equity|1.3|0.06|CNC| Centene Corporation| 4.32%| North America|Equity|Large Cap Blend Equities||GBLO|6|7.ASSET|Equity|1.3|0.06|WBA| Walgreens Boots Alliance Inc| 4.24%| North America|Equity|Large Cap Blend Equities||GBLO|6|8.ASSET|Equity|1.3|0.04|JNJ| Johnson & Johnson| 3.05%| North America|Equity|Large Cap Blend Equities||GBLO|6|9.ASSET|Equity|1.3|0.04|LMT| Lockheed Martin Corporation| 2.96%| North America|Equity|Large Cap Blend Equities||GBLO|6|10.ASSET|Equity|1.3|0.03|HUM| Humana Inc.| 2.63%| North America|Equity|Large Cap Blend Equities||GBLO|6|11.ASSET|Equity|1.3|0.03|PG| Procter & Gamble Company| 2.57%| North America|Equity|Large Cap Blend Equities||GBLO|6|12.ASSET|Equity|1.3|0.03|PEP| PepsiCo, Inc.| 2.55%| North America|Equity|Large Cap Blend Equities||GBLO|6|13.ASSET|Equity|1.3|0.03|IBM| International Business Machines Corporation| 2.55%| North America|Equity|Large Cap Blend Equities||GBLO|6|14.ASSET|Equity|1.3|0.03|ABBV| AbbVie, Inc.| 2.22%| North America|Equity|Large Cap Blend Equities||GBLO|6|15.ASSET|Equity|1.3|0.03|PFE| Pfizer Inc.| 2.04%| North America|Equity|Large Cap Growth Equities||GBGR|6|1.ASSET|Equity|1|0.02|CARG| CarGurus, Inc. Class A| 2.44%| North America|Equity|Large Cap Growth Equities||GBGR|6|2.ASSET|Equity|1|0.02|CRSR| Corsair Gaming, Inc.| 1.92%| North America|Equity|Large Cap Growth Equities||GBGR|6|3.ASSET|Equity|1|0.02|PERI| Perion Network Ltd| 1.76%| North America|Equity|Large Cap Growth Equities||GBGR|6|4.ASSET|Equity|1|0.02|SWKS| Skyworks Solutions, Inc.| 1.74%| North America|Equity|Large Cap Growth Equities||GBGR|6|5.ASSET|Equity|1|0.02|GPN| Global Payments Inc.| 1.72%| North America|Equity|Large Cap Growth Equities||GBGR|6|6.ASSET|Equity|1|0.02|FLT| FLEETCOR Technologies, Inc.| 1.70%| North America|Equity|Large Cap Growth Equities||GBGR|6|7.ASSET|Equity|1|0.02|SWCH| Switch, Inc. Class A| 1.65%| North America|Equity|Large Cap Growth Equities||GBGR|6|8.ASSET|Equity|1|0.02|VNET| VNET Group, Inc. Sponsored ADR| 1.57%| North America|Equity|Large Cap Growth Equities||GBGR|6|9.ASSET|Equity|1|0.02|ACLS| Axcelis Technologies, Inc.| 1.55%| North America|Equity|Large Cap Growth Equities||GBGR|6|10.ASSET|Equity|1|0.02|EBAY| eBay Inc.| 1.54%| North America|Equity|Large Cap Growth Equities||GBGR|6|11.ASSET|Equity|1|0.01|KLIC| Kulicke & Soffa Industries, Inc.| 1.49%| North America|Equity|Large Cap Growth Equities||GBGR|6|12.ASSET|Equity|1|0.01|MPLN| MultiPlan Corp Class A| 1.47%| North America|Equity|Large Cap Growth Equities||GBGR|6|13.ASSET|Equity|1|0.01|VECO| Veeco Instruments Inc.| 1.44%| North America|Equity|Large Cap Growth Equities||GBGR|6|14.ASSET|Equity|1|0.01|MGNI| Magnite, Inc.| 1.41%| North America|Equity|Large Cap Growth Equities||GBGR|6|15.ASSET|Equity|1|0.01|IIVI| II-VI Incorporated| 1.40%| Global|Equity|n/a||DTOX|6|1.ASSET|Equity|0.9|0.02|FXLV| F45 Training Holdings, Inc.| 1.99%| Global|Equity|n/a||DTOX|6|2.ASSET|Equity|0.9|0.02|REGI| Renewable Energy Group, Inc.| 1.98%| Global|Equity|n/a||DTOX|6|3.ASSET|Equity|0.9|0.02|DQ| Daqo New Energy Corp Sponsored ADR| 1.72%| Global|Equity|n/a||DTOX|6|4.ASSET|Equity|0.9|0.02|JKS| JinkoSolar Holding Co., Ltd. Sponsored ADR| 1.71%| Global|Equity|n/a||DTOX|6|5.ASSET|Equity|0.9|0.02|TVTY| Tivity Health, Inc.| 1.70%| Global|Equity|n/a||DTOX|6|6.ASSET|Equity|0.9|0.02|LNDC| Landec Corporation| 1.69%| Global|Equity|n/a||DTOX|6|7.ASSET|Equity|0.9|0.01|BEPC| Brookfield Renewable Corporation Class A| 1.64%| Global|Equity|n/a||DTOX|6|8.ASSET|Equity|0.9|0.01|BEP.UT| Brookfield Renewable Partners LP| 1.61%| Global|Equity|n/a||DTOX|6|9.ASSET|Equity|0.9|0.01|CLNE| Clean Energy Fuels Corp.| 1.60%| Global|Equity|n/a||DTOX|6|10.ASSET|Equity|0.9|0.01|DOLE| Dole Plc| 1.59%| Global|Equity|n/a||DTOX|6|11.ASSET|Equity|0.9|0.01|FMC| FMC Corporation| 1.57%| Global|Equity|n/a||DTOX|6|12.ASSET|Equity|0.9|0.01|SEDG| SolarEdge Technologies, Inc.| 1.51%| Global|Equity|n/a||DTOX|6|13.ASSET|Equity|0.9|0.01|SCHN| Schnitzer Steel Industries, Inc. Class A| 1.51%| Global|Equity|n/a||DTOX|6|14.ASSET|Equity|0.9|0.01|INE| Innergex Renewable Energy Inc.| 1.50%| Global|Equity|n/a||DTOX|6|15.ASSET|Equity|0.9|0.01|COCO| Vita Coco Company, Inc.| 1.50%| Global|Equity|n/a||IVDG|6|1.ASSET|Equity|1|0.04|MPWR| Monolithic Power Systems, Inc.| 3.87%| Global|Equity|n/a||IVDG|6|2.ASSET|Equity|1|0.04|ZBRA| Zebra Technologies Corporation Class A| 3.74%| Global|Equity|n/a||IVDG|6|3.ASSET|Equity|1|0.04|SNPS| Synopsys, Inc.| 3.65%| Global|Equity|n/a||IVDG|6|4.ASSET|Equity|1|0.04|MSI| Motorola Solutions, Inc.| 3.50%| Global|Equity|n/a||IVDG|6|5.ASSET|Equity|1|0.03|MSCI| MSCI Inc. Class A| 3.21%| Global|Equity|n/a||IVDG|6|6.ASSET|Equity|1|0.03|SIVB| SVB Financial Group| 3.15%| Global|Equity|n/a||IVDG|6|7.ASSET|Equity|1|0.03|ODFL| Old Dominion Freight Line, Inc.| 3.11%| Global|Equity|n/a||IVDG|6|8.ASSET|Equity|1|0.03|KKR| KKR & Co. Inc.| 3.08%| Global|Equity|n/a||IVDG|6|9.ASSET|Equity|1|0.03|MRVL| Marvell Technology, Inc.| 2.95%| Global|Equity|n/a||IVDG|6|10.ASSET|Equity|1|0.03|IT| Gartner, Inc.| 2.94%| Global|Equity|n/a||IVDG|6|11.ASSET|Equity|1|0.03|WST| West Pharmaceutical Services, Inc.| 2.93%| Global|Equity|n/a||IVDG|6|12.ASSET|Equity|1|0.03|LNG| Cheniere Energy, Inc.| 2.87%| Global|Equity|n/a||IVDG|6|13.ASSET|Equity|1|0.03|WCN| Waste Connections, Inc.| 2.86%| Global|Equity|n/a||IVDG|6|14.ASSET|Equity|1|0.03|HLT| Hilton Worldwide Holdings Inc| 2.83%| Global|Equity|n/a||IVDG|6|15.ASSET|Equity|1|0.03|GLOB| Globant SA| 2.70%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|1.ASSET|Equity|1.3|0.02|1211| BYD Company Limited Class H| 1.24%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|2.ASSET|Equity|1.3|0.02|SQM.B| Sociedad Quimica y Minera de Chile SA Pfd Series B| 1.17%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|3.ASSET|Equity|1.3|0.01|ORSTED| Orsted| 1.13%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|4.ASSET|Equity|1.3|0.01|VWS| Vestas Wind Systems A/S| 1.11%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|5.ASSET|Equity|1.3|0.01|ENPH| Enphase Energy, Inc.| 1.11%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|6.ASSET|Equity|1.3|0.01|006400| Samsung SDI Co., Ltd| 1.08%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|7.ASSET|Equity|1.3|0.01|EDPR| EDP Renovaveis SA| 1.07%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|8.ASSET|Equity|1.3|0.01|GNRC| Generac Holdings Inc.| 1.07%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|9.ASSET|Equity|1.3|0.01|RSG| Republic Services, Inc.| 1.03%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|10.ASSET|Equity|1.3|0.01|LI| Li Auto, Inc. Sponsored ADR Class A| 1.02%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|11.ASSET|Equity|1.3|0.01|XPEV| XPeng, Inc. ADR Sponsored Class A| 1.02%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|12.ASSET|Equity|1.3|0.01|TSLA| Tesla Inc| 1.02%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|13.ASSET|Equity|1.3|0.01|AMAT| Applied Materials, Inc.| 1.01%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|14.ASSET|Equity|1.3|0.01|ABBN| ABB Ltd.| 1.00%| Global|Equity|Alternative Energy Equities|Energy|CLMA|6|15.ASSET|Equity|1.3|0.01|DSM| Koninklijke DSM N.V.| 1.00%| North America|Equity|Leveraged Equities|Consumer Staples|SZK|6|1.ASSET|Equity|0.9|0.9|N/A| U.S. Dollar| 100.00%| Developed Markets|Equity|Leveraged Equities||EFU|6|1.ASSET|Equity|1.6|1.6|N/A| U.S. Dollar| 100.00%| North America|Equity|Leveraged Equities|Consumer Discretionary|SCC|6|1.ASSET|Equity|2.3|2.3|N/A| U.S. Dollar| 100.00%| |Commodity|Metals||LD|6|1.ASSET|Commodity|0.8|0.8|N/A| Lead| 100.00%| Global|Equity|Leveraged Equities|Technology|AWYX|6|1.ASSET|Equity|0.5|0.48|N/A| U.S. Dollar| 96.35%| Global|Equity|Leveraged Equities|Technology|AWYX|6|2.ASSET|Equity|0.5|0.06|FGXXX| First American Funds Inc X Government Obligations Fund| 11.11%| Global|Equity|Leveraged Equities|Technology|AWYX|6|3.ASSET|Equity|0.5|-0.04|N/A| DERIVATIVE SECURITIES (OTHER)| -7.46%| Global|Equity|n/a||MJXL|6|1.ASSET|Equity|0.6|0.41|N/A| U.S. Dollar| 68.68%| Global|Equity|n/a||MJXL|6|2.ASSET|Equity|0.6|0.22|FGXXX| First American Funds Inc X Government Obligations Fund| 36.40%| Global|Equity|n/a||MJXL|6|3.ASSET|Equity|0.6|-0.03|N/A| DERIVATIVE SECURITIES (OTHER)| -5.09%| Global|Equity|Technology Equities|Technology|BIDS|6|1.ASSET|Equity|0.5|0.05|SCHW| Charles Schwab Corporation| 9.54%| Global|Equity|Technology Equities|Technology|BIDS|6|2.ASSET|Equity|0.5|0.04|MKTX| MarketAxess Holdings Inc.| 8.90%| Global|Equity|Technology Equities|Technology|BIDS|6|3.ASSET|Equity|0.5|0.04|XP| XP Inc. Class A| 8.64%| Global|Equity|Technology Equities|Technology|BIDS|6|4.ASSET|Equity|0.5|0.03|COIN| Coinbase Global, Inc. Class A| 6.42%| Global|Equity|Technology Equities|Technology|BIDS|6|5.ASSET|Equity|0.5|0.03|SOFI| SoFi Technologies Inc| 6.05%| Global|Equity|Technology Equities|Technology|BIDS|6|6.ASSET|Equity|0.5|0.03|TW| Tradeweb Markets, Inc. Class A| 5.00%| Global|Equity|Technology Equities|Technology|BIDS|6|7.ASSET|Equity|0.5|0.02|IGG| IG Group Holdings plc| 4.68%| Global|Equity|Technology Equities|Technology|BIDS|6|8.ASSET|Equity|0.5|0.02|HOOD| Robinhood Markets, Inc. Class A| 4.58%| Global|Equity|Technology Equities|Technology|BIDS|6|9.ASSET|Equity|0.5|0.02|VIRT| Virtu Financial, Inc. Class A| 4.56%| Global|Equity|Technology Equities|Technology|BIDS|6|10.ASSET|Equity|0.5|0.02|IBKR| Interactive Brokers Group, Inc. Class A| 4.46%| Global|Equity|Technology Equities|Technology|BIDS|6|11.ASSET|Equity|0.5|0.02|SI| Silvergate Capital Corp. Class A| 3.94%| Global|Equity|Technology Equities|Technology|BIDS|6|12.ASSET|Equity|0.5|0.02|FUTU| Futu Holdings Ltd. Sponsored ADR Class A| 3.81%| Global|Equity|Technology Equities|Technology|BIDS|6|13.ASSET|Equity|0.5|0.02|FTK| flatexDEGIRO AG| 3.38%| Global|Equity|Technology Equities|Technology|BIDS|6|14.ASSET|Equity|0.5|0.02|SQN| Swissquote Group Holding Ltd.| 3.32%| Global|Equity|Technology Equities|Technology|BIDS|6|15.ASSET|Equity|0.5|0.02|FLOW| Flow Traders NV| 3.17%| |Equity|n/a||SILX|6|1.ASSET|Equity|2|1.52|N/A| U.S. Dollar| 75.92%| |Equity|n/a||SILX|6|2.ASSET|Equity|2|0.28|FGXXX| First American Funds Inc X Government Obligations Fund| 13.99%| |Equity|n/a||SILX|6|3.ASSET|Equity|2|0.2|N/A| DERIVATIVE SECURITIES (OTHER)| 10.08%| Global|Equity|n/a||SINV|6|1.ASSET|Equity|0.2|0.13|FGXXX| First American Funds Inc X Government Obligations Fund| 66.64%| Global|Equity|n/a||SINV|6|2.ASSET|Equity|0.2|0.09|N/A| U.S. Dollar| 44.00%| Global|Equity|n/a||SINV|6|3.ASSET|Equity|0.2|-0.02|N/A| DERIVATIVE SECURITIES (OTHER)| -10.64%| North America|Equity|n/a||QQQA|6|1.ASSET|Equity|24|1.29|PANW| Palo Alto Networks, Inc.| 5.39%| North America|Equity|n/a||QQQA|6|2.ASSET|Equity|24|1.26|COST| Costco Wholesale Corporation| 5.26%| North America|Equity|n/a||QQQA|6|3.ASSET|Equity|24|1.26|DLTR| Dollar Tree, Inc.| 5.26%| North America|Equity|n/a||QQQA|6|4.ASSET|Equity|24|1.24|MAR| Marriott International, Inc. Class A| 5.16%| North America|Equity|n/a||QQQA|6|5.ASSET|Equity|24|1.24|AVGO| Broadcom Inc.| 5.15%| North America|Equity|n/a||QQQA|6|6.ASSET|Equity|24|1.2|ORLY| O\'Reilly Automotive, Inc.| 5.02%| North America|Equity|n/a||QQQA|6|7.ASSET|Equity|24|1.17|SNPS| Synopsys, Inc.| 4.89%| North America|Equity|n/a||QQQA|6|8.ASSET|Equity|24|1.17|QCOM| Qualcomm Inc| 4.89%| North America|Equity|n/a||QQQA|6|9.ASSET|Equity|24|1.17|AAPL| Apple Inc.| 4.87%| North America|Equity|n/a||QQQA|6|10.ASSET|Equity|24|1.16|GOOGL| Alphabet Inc. Class A| 4.85%| North America|Equity|n/a||QQQA|6|11.ASSET|Equity|24|1.16|CTAS| Cintas Corporation| 4.82%| North America|Equity|n/a||QQQA|6|12.ASSET|Equity|24|1.16|NVDA| NVIDIA Corporation| 4.82%| North America|Equity|n/a||QQQA|6|13.ASSET|Equity|24|1.15|PAYX| Paychex, Inc.| 4.78%| North America|Equity|n/a||QQQA|6|14.ASSET|Equity|24|1.12|DXCM| DexCom, Inc.| 4.65%| North America|Equity|n/a||QQQA|6|15.ASSET|Equity|24|1.1|AMAT| Applied Materials, Inc.| 4.60%| North America|Equity|n/a||VOTE|6|1.ASSET|Equity|313.8|21.53|AAPL| Apple Inc.| 6.86%| North America|Equity|n/a||VOTE|6|2.ASSET|Equity|313.8|18.45|MSFT| Microsoft Corporation| 5.88%| North America|Equity|n/a||VOTE|6|3.ASSET|Equity|313.8|10.7|AMZN| Amazon.com, Inc.| 3.41%| North America|Equity|n/a||VOTE|6|4.ASSET|Equity|313.8|6.68|GOOGL| Alphabet Inc. Class A| 2.13%| North America|Equity|n/a||VOTE|6|5.ASSET|Equity|313.8|6.24|GOOG| Alphabet Inc. Class C| 1.99%| North America|Equity|n/a||VOTE|6|6.ASSET|Equity|313.8|5.68|TSLA| Tesla Inc| 1.81%| North America|Equity|n/a||VOTE|6|7.ASSET|Equity|313.8|4.99|BRK.B| Berkshire Hathaway Inc. Class B| 1.59%| North America|Equity|n/a||VOTE|6|8.ASSET|Equity|313.8|4.93|NVDA| NVIDIA Corporation| 1.57%| North America|Equity|n/a||VOTE|6|9.ASSET|Equity|313.8|3.99|FB| Meta Platforms Inc. Class A| 1.27%| North America|Equity|n/a||VOTE|6|10.ASSET|Equity|313.8|3.8|UNH| UnitedHealth Group Incorporated| 1.21%| North America|Equity|n/a||VOTE|6|11.ASSET|Equity|313.8|3.67|JNJ| Johnson & Johnson| 1.17%| North America|Equity|n/a||VOTE|6|12.ASSET|Equity|313.8|3.39|JPM| JPMorgan Chase & Co.| 1.08%| North America|Equity|n/a||VOTE|6|13.ASSET|Equity|313.8|3.11|PG| Procter & Gamble Company| 0.99%| North America|Equity|n/a||VOTE|6|14.ASSET|Equity|313.8|2.89|V| Visa Inc. Class A| 0.92%| North America|Equity|n/a||VOTE|6|15.ASSET|Equity|313.8|2.86|HD| Home Depot, Inc.| 0.91%| Global|Equity|n/a||GTEK|6|1.ASSET|Equity|261.6|7.56|MRVL| Marvell Technology, Inc.| 2.89%| Global|Equity|n/a||GTEK|6|2.ASSET|Equity|261.6|7.3|WDAY| Workday, Inc. Class A| 2.79%| Global|Equity|n/a||GTEK|6|3.ASSET|Equity|261.6|7.25|PANW| Palo Alto Networks, Inc.| 2.77%| Global|Equity|n/a||GTEK|6|4.ASSET|Equity|261.6|7.12|ON| ON Semiconductor Corporation| 2.72%| Global|Equity|n/a||GTEK|6|5.ASSET|Equity|261.6|6.46|BILL| Bill.com Holdings, Inc.| 2.47%| Global|Equity|n/a||GTEK|6|6.ASSET|Equity|261.6|6.33|268| Kingdee International Software Group Co., Ltd.| 2.42%| Global|Equity|n/a||GTEK|6|7.ASSET|Equity|261.6|6.33|2454| MediaTek Inc| 2.42%| Global|Equity|n/a||GTEK|6|8.ASSET|Equity|261.6|6.28|6415| Silergy Corp.| 2.40%| Global|Equity|n/a||GTEK|6|9.ASSET|Equity|261.6|6.04|8035| Tokyo Electron Ltd.| 2.31%| Global|Equity|n/a||GTEK|6|10.ASSET|Equity|261.6|5.99|MELI| MercadoLibre, Inc.| 2.29%| Global|Equity|n/a||GTEK|6|11.ASSET|Equity|261.6|5.68|CTSH| Cognizant Technology Solutions Corporation Class A| 2.17%| Global|Equity|n/a||GTEK|6|12.ASSET|Equity|261.6|5.57|MKSI| MKS Instruments, Inc.| 2.13%| Global|Equity|n/a||GTEK|6|13.ASSET|Equity|261.6|5.28|HUBS| HubSpot, Inc.| 2.02%| Global|Equity|n/a||GTEK|6|14.ASSET|Equity|261.6|5.26|CDNS| Cadence Design Systems, Inc.| 2.01%| Global|Equity|n/a||GTEK|6|15.ASSET|Equity|261.6|5.15|VIAV| Viavi Solutions Inc| 1.97%| North America|Multi-Asset|Hedge Fund||CYA|6|1.ASSET|Multi-Asset|75.1|41.27|SVOL| Simplify Volatility Premium ETF| 54.96%| North America|Multi-Asset|Hedge Fund||CYA|6|2.ASSET|Multi-Asset|75.1|19.37|CDX| Simplify High Yield PLUS Credit Hedge ETF| 25.79%| North America|Multi-Asset|Hedge Fund||CYA|6|3.ASSET|Multi-Asset|75.1|7.64|TYA| Simplify Risk Parity Treasury ETF| 10.17%| Global|Equity|n/a||SPC|6|1.ASSET|Equity|50|1.04|TSIB| Tishman Speyer Innovation Corp II Class A| 2.08%| Global|Equity|n/a||SPC|6|2.ASSET|Equity|50|1.03|BOAC| Bluescape Opportunities Acquisition Corp. Class A| 2.05%| Global|Equity|n/a||SPC|6|3.ASSET|Equity|50|1.03|ZNTE| Zanite Acquisition Corp Class A| 2.05%| Global|Equity|n/a||SPC|6|4.ASSET|Equity|50|1.02|GLSPT| Global SPAC Partners Company Sub Units Cons of 1 Shs A + 1/4 Wt| 2.04%| Global|Equity|n/a||SPC|6|5.ASSET|Equity|50|1.02|BRACU| Broad Capital Acquisition Corp. Units Cons of 1 Sh + 1 Rt| 2.03%| Global|Equity|n/a||SPC|6|6.ASSET|Equity|50|1.01|LNFA| L&F Acquisition Corp. Class A| 2.01%| Global|Equity|n/a||SPC|6|7.ASSET|Equity|50|1|SPKC.USD| Silver Spike III Acquisition Corp. Class A| 2.00%| Global|Equity|n/a||SPC|6|8.ASSET|Equity|50|1|HPA1| Hambro Perks Acquisition Co., Ltd. Class A| 2.00%| Global|Equity|n/a||SPC|6|9.ASSET|Equity|50|1|ASCAU| A SPAC I Acquisition Corp. Units Cons of 1 Shs -A- + 3/4 Wt + 1 Rt| 2.00%| Global|Equity|n/a||SPC|6|10.ASSET|Equity|50|0.98|BGP.USD| BGP Acquisition Corp. Class A| 1.95%| Global|Equity|n/a||SPC|6|11.ASSET|Equity|50|0.84|BHND| GP Bullhound Acquisition I SE Units Unitary Cons of 1 Sh + 1/2 Wt| 1.67%| Global|Equity|n/a||SPC|6|12.ASSET|Equity|50|0.76|CXAC.UT| C5 Acquisition Corp. Units Cons of 1 Sh -A- + 1/2 Wt 31.12.28| 1.51%| Global|Equity|n/a||SPC|6|13.ASSET|Equity|50|0.75|PPYAU| Papaya Growth Opportunity Corp. I Units Cons of 1 Sh -A- + 1/2 Wt 31.12.28| 1.50%| Global|Equity|n/a||SPC|6|14.ASSET|Equity|50|0.75|HMA.UT| Heartland Media Acquisition Corp. Units Cons of 1 Sh A + 1/2 Wt| 1.50%| Global|Equity|n/a||SPC|6|15.ASSET|Equity|50|0.75|ACABU| Atlantic Coastal Acquisition Corp. II Units Cons of 1 Sh -A- + 1/2 Wt 31.01.29| 1.50%| Developed Markets|Equity|n/a||BSEA|6|1.ASSET|Equity|2.3|0.13|NFE| New Fortress Energy Inc. Class A| 5.66%| Developed Markets|Equity|n/a||BSEA|6|2.ASSET|Equity|2.3|0.13|MX| Methanex Corporation| 5.65%| Developed Markets|Equity|n/a||BSEA|6|3.ASSET|Equity|2.3|0.12|KOG| Kongsberg Gruppen ASA| 5.39%| Developed Markets|Equity|n/a||BSEA|6|4.ASSET|Equity|2.3|0.12|GTT| Gaztransport & Technigaz SA| 5.31%| Developed Markets|Equity|n/a||BSEA|6|5.ASSET|Equity|2.3|0.11|OCI| OCI NV| 4.63%| Developed Markets|Equity|n/a||BSEA|6|6.ASSET|Equity|2.3|0.11|NEX| Nexans SA| 4.58%| Developed Markets|Equity|n/a||BSEA|6|7.ASSET|Equity|2.3|0.1|VWS| Vestas Wind Systems A/S| 4.54%| Developed Markets|Equity|n/a||BSEA|6|8.ASSET|Equity|2.3|0.1|YAR| Yara International ASA| 4.36%| Developed Markets|Equity|n/a||BSEA|6|9.ASSET|Equity|2.3|0.09|NEL| NEL ASA| 3.97%| Developed Markets|Equity|n/a||BSEA|6|10.ASSET|Equity|2.3|0.09|GTLS| Chart Industries, Inc.| 3.83%| Developed Markets|Equity|n/a||BSEA|6|11.ASSET|Equity|2.3|0.09|BLDP| Ballard Power Systems Inc.| 3.70%| Developed Markets|Equity|n/a||BSEA|6|12.ASSET|Equity|2.3|0.08|HEX| Hexagon Composites ASA| 3.69%| Developed Markets|Equity|n/a||BSEA|6|13.ASSET|Equity|2.3|0.08|ITM| ITM Power PLC| 3.57%| Developed Markets|Equity|n/a||BSEA|6|14.ASSET|Equity|2.3|0.08|ALFA| Alfa Laval AB| 3.54%| Developed Markets|Equity|n/a||BSEA|6|15.ASSET|Equity|2.3|0.08|PCELL| PowerCell Sweden AB| 3.50%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|1.ASSET|Equity|31|2.68|ISRG| Intuitive Surgical, Inc.| 8.66%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|2.ASSET|Equity|31|2.06|LNTH| Lantheus Holdings Inc| 6.66%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|3.ASSET|Equity|31|1.52|UNH| UnitedHealth Group Incorporated| 4.89%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|4.ASSET|Equity|31|1.42|JNJ| Johnson & Johnson| 4.58%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|5.ASSET|Equity|31|1.36|SYK| Stryker Corporation| 4.39%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|6.ASSET|Equity|31|1.13|CVS| CVS Health Corporation| 3.64%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|7.ASSET|Equity|31|1.11|ANTM| Anthem, Inc.| 3.58%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|8.ASSET|Equity|31|1.1|HZNP| Horizon Therapeutics Public Limited Company| 3.56%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|9.ASSET|Equity|31|1|MDT| Medtronic Plc| 3.23%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|10.ASSET|Equity|31|0.99|LLY| Eli Lilly and Company| 3.20%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|11.ASSET|Equity|31|0.97|THC| Tenet Healthcare Corporation| 3.12%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|12.ASSET|Equity|31|0.94|HUM| Humana Inc.| 3.03%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|13.ASSET|Equity|31|0.9|BSX| Boston Scientific Corporation| 2.91%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|14.ASSET|Equity|31|0.82|UTHR| United Therapeutics Corporation| 2.63%| North America|Equity|Health & Biotech Equities|Healthcare|PINK|6|15.ASSET|Equity|31|0.81|ATRC| AtriCure, Inc.| 2.61%| North America|Equity|Technology Equities|Technology|HHH|6|1.ASSET|Equity|1.7|0.11|ZG| Zillow Group, Inc. Class A| 6.43%| North America|Equity|Technology Equities|Technology|HHH|6|2.ASSET|Equity|1.7|0.1|BEKE| KE Holdings, Inc. Sponsored ADR Class A| 6.13%| North America|Equity|Technology Equities|Technology|HHH|6|3.ASSET|Equity|1.7|0.1|ABNB| Airbnb, Inc. Class A| 5.80%| North America|Equity|Technology Equities|Technology|HHH|6|4.ASSET|Equity|1.7|0.09|REA| REA Group Ltd| 5.46%| North America|Equity|Technology Equities|Technology|HHH|6|5.ASSET|Equity|1.7|0.09|RKT| Rocket Companies Inc Class A| 5.43%| North America|Equity|Technology Equities|Technology|HHH|6|6.ASSET|Equity|1.7|0.09|BKI| Black Knight, Inc.| 5.00%| North America|Equity|Technology Equities|Technology|HHH|6|7.ASSET|Equity|1.7|0.08|CSGP| CoStar Group, Inc.| 4.72%| North America|Equity|Technology Equities|Technology|HHH|6|8.ASSET|Equity|1.7|0.08|RMV| Rightmove plc| 4.63%| North America|Equity|Technology Equities|Technology|HHH|6|9.ASSET|Equity|1.7|0.07|G24| Scout24 SE| 4.31%| North America|Equity|Technology Equities|Technology|HHH|6|10.ASSET|Equity|1.7|0.07|RDN| Radian Group Inc.| 3.83%| North America|Equity|Technology Equities|Technology|HHH|6|11.ASSET|Equity|1.7|0.06|WE| WeWork Inc. Class A| 3.73%| North America|Equity|Technology Equities|Technology|HHH|6|12.ASSET|Equity|1.7|0.06|OPEN| Opendoor Technologies Inc| 3.66%| North America|Equity|Technology Equities|Technology|HHH|6|13.ASSET|Equity|1.7|0.06|APPF| AppFolio Inc Class A| 3.55%| North America|Equity|Technology Equities|Technology|HHH|6|14.ASSET|Equity|1.7|0.06|EXPI| eXp World Holdings, Inc.| 3.44%| North America|Equity|Technology Equities|Technology|HHH|6|15.ASSET|Equity|1.7|0.06|TCN| Tricon Residential Inc| 3.42%| North America|Equity|n/a||QSPT|6|1.ASSET|Equity|24.3|0.19|DGCXX| Dreyfus Government Cash Management Funds Institutional| 0.80%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|1.ASSET|Equity|5.4|0.48|IXJ| iShares Global Healthcare ETF| 8.84%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|2.ASSET|Equity|5.4|0.28|JNJ| Johnson & Johnson| 5.11%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|3.ASSET|Equity|5.4|0.27|PFE| Pfizer Inc.| 5.01%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|4.ASSET|Equity|5.4|0.27|NOVO.B| Novo Nordisk A/S Class B| 5.00%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|5.ASSET|Equity|5.4|0.26|ABT| Abbott Laboratories| 4.85%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|6.ASSET|Equity|5.4|0.26|EW| Edwards Lifesciences Corporation| 4.79%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|7.ASSET|Equity|5.4|0.25|REGN| Regeneron Pharmaceuticals, Inc.| 4.63%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|8.ASSET|Equity|5.4|0.25|TMO| Thermo Fisher Scientific Inc.| 4.56%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|9.ASSET|Equity|5.4|0.24|DHR| Danaher Corporation| 4.48%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|10.ASSET|Equity|5.4|0.24|ISRG| Intuitive Surgical, Inc.| 4.44%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|11.ASSET|Equity|5.4|0.23|VRTX| Vertex Pharmaceuticals Incorporated| 4.31%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|12.ASSET|Equity|5.4|0.16|7741| HOYA CORPORATION| 3.02%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|13.ASSET|Equity|5.4|0.15|A| Agilent Technologies, Inc.| 2.84%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|14.ASSET|Equity|5.4|0.14|BNTX| BioNTech SE Sponsored ADR| 2.66%| Global|Equity|Health & Biotech Equities|Healthcare|APXH|6|15.ASSET|Equity|5.4|0.11|WST| West Pharmaceutical Services, Inc.| 2.02%| Global|Currency|Currency||BITO|6|1.ASSET|Currency|1176.6|636.19|N/A| U.S. Dollar| 54.07%| Global|Currency|Currency||BITO|6|2.ASSET|Currency|1176.6|540.41|N/A| United States Treasury Bills 0.0% 19-MAY-2022| 45.93%| |Currency|n/a||BTF|6|1.ASSET|Currency|44.9|23.3|N/A| MUTUAL FUND (OTHER)| 51.90%| |Currency|n/a||BTF|6|2.ASSET|Currency|44.9|17.61|N/A| United States Treasury Bills 0.0% 21-APR-2022| 39.23%| |Currency|n/a||BTF|6|3.ASSET|Currency|44.9|2.99|N/A| U.S. Dollar| 6.65%| |Currency|n/a||BTF|6|4.ASSET|Currency|44.9|1|N/A| United States Treasury Bills 0.0% 12-MAY-2022| 2.23%|