UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT

OF

REGISTERED MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number: 811-07175

 

Name of Registrant: Vanguard Tax-Managed Funds
Address of Registrant: P.O. Box 2600
  Valley Forge, PA 19482

 

Name and address of agent for service: Anne E. Robinson, Esquire
  P.O. Box 876
  Valley Forge, PA 19482

 

Registrant’s telephone number, including area code: (610) 669-1000

 

Date of fiscal year end: December 31

 

Date of reporting period: January 1, 2019—December 31, 2019

 

 

 

 

Item 1: Reports to Shareholders

 

 

 

 

 

 

 

 

Annual Report  |  December 31, 2019

 

 

Vanguard Tax-Managed Funds ®

 

 

 

 

 

 

 

 

  

 

Vanguard Tax-Managed Balanced Fund

 

Vanguard Tax-Managed Capital Appreciation Fund

 

Vanguard Tax-Managed Small-Cap Fund

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See the inside front cover for important information about access to your fund’s annual and semiannual shareholder reports.

 

 

 

 

Important information about access to shareholder reports

 

Beginning on January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, paper copies of your fund’s annual and semiannual shareholder reports will no longer be sent to you by mail, unless you specifically request them. Instead, you will be notified by mail each time a report is posted on the website and will be provided with a link to access the report.

 

If you have already elected to receive shareholder reports electronically, you will not be affected by this change and do not need to take any action. You may elect to receive shareholder reports and other communications from the fund electronically by contacting your financial intermediary (such as a broker-dealer or bank) or, if you invest directly with the fund, by calling Vanguard at one of the phone numbers on the back cover of this report or by logging on to vanguard.com.

 

You may elect to receive paper copies of all future shareholder reports free of charge. If you invest through a financial intermediary, you can contact the intermediary to request that you continue to receive paper copies. If you invest directly with the fund, you can call Vanguard at one of the phone numbers on the back cover of this report or log on to vanguard.com. Your election to receive paper copies will apply to all the funds you hold through an intermediary or directly with Vanguard.

 

 

 

Contents  
   
A Note From Our Chairman 1
   
Your Fund’s Performance at a Glance 2
   
About Your Fund’s Expenses 3
   
Tax-Managed Balanced Fund 5
   
Tax-Managed Capital Appreciation Fund 94
   
Tax-Managed Small-Cap Fund 116

 

 

 

 

 

 

 

 

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

 

 

A Note From Our Chairman

 

 

 

 

Tim Buckley

 

Chairman and Chief Executive Officer

 

 

Dear Shareholder,

 

Recent volatility in financial markets—affecting stocks, bonds, and commodities—has been a good reminder of the wise old adage, “Never keep all your eggs in one basket.” Maintaining balance and diversification in your investment portfolio can help to both limit risk and set you up for long-term success.

 

It’s understandable why some investors might become complacent after a long market run-up like the one that lifted stock prices, especially U.S. stock prices, in the years following the global financial crisis. But failing to rebalance regularly can leave a portfolio with a much different mix of assets than intended and, often, more risk than intended.

 

Balance across and diversification within asset classes are powerful tools for managing risk and achieving your investment goals. A portfolio’s allocation will determine a large portion of its long-term return and also the majority of its volatility risk. A well-diversified portfolio is less vulnerable to significant swings in the performance of any one segment of the asset classes in which it invests.

 

Balance and diversification will never eliminate the risk of loss, nor will they guarantee positive returns in a declining market. But they may reduce the chance that you’ll suffer disproportionate losses in one particular high-flying asset class or sector when it comes back to earth. And exposure to all key market components should give you at least some participation in the sectors that are performing best at any given time.

 

Vanguard is committed to helping you achieve balance and diversification in your portfolios to help meet your investment goals. We thank you for your continued loyalty.

 

Sincerely,

 

 

 

Mortimer J. Buckley

 

Chairman and Chief Executive Officer

 

January 23, 2020

 

1

 

Your Fund’s Performance at a Glance

 

 

·   For the 12 months ended December 31, 2019, returns for the Vanguard Tax- Managed Funds ranged from 18.01% for Vanguard Tax-Managed Balanced Fund to 31.46% for Vanguard Tax-Managed Capital Appreciation Fund. Vanguard Tax-Managed Small-Cap Fund fell in between, with a return of 23.28%. (Returns cited are for Admiral Shares.) All three funds performed in line with their benchmark indexes.

 

·   Stocks and bonds recorded their best results in years. Stocks benefited from the Federal Reserve’s three cuts to the target for short-term interest rates during 2019. The perceived safety of assets such as bonds also attracted wary investors, as the U.S.-China trade conflict fueled global economic growth concerns.

 

·   Growth stocks outperformed value stocks for the 12 months, while large-capitalization stocks led mid- and small-caps.

 

·   The municipal bond market, as measured by the Bloomberg Barclays 1–15 Year Municipal Bond Index, returned 6.44%. Municipal bonds make up about half the Balanced Fund’s assets.

 

 

 

Market Barometer                  
    Average Annual Total Returns  
    Periods Ended December 31, 2019  
    One Year     Three Years     Five Years  
Stocks                  
Russell 1000 Index (Large-caps)     31.43 %     15.05 %     11.48 %
Russell 2000 Index (Small-caps)     25.53       8.59       8.23  
Russell 3000 Index (Broad U.S. market)     31.02       14.57       11.24  
FTSE All-World ex US Index (International)     21.81       9.96       5.83  
                         
Bonds                        
Bloomberg Barclays U.S. Aggregate Bond Index (Broad taxable market)     8.72 %     4.03 %     3.05 %
Bloomberg Barclays Municipal Bond Index (Broad tax-exempt market)     7.54       4.72       3.53  
FTSE Three-Month U.S. Treasury Bill Index     2.25       1.65       1.04  
                         
CPI                        
Consumer Price Index     2.29 %     2.10 %     1.82 %

 

2

 

About Your Fund’s Expenses

 

 

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

 

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

 

The accompanying table illustrates your fund’s costs in two ways:

 

·      Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The “Ending Account Value” shown is derived from the fund’s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

 

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading “Expenses Paid During Period.”

 

·      Based on hypothetical 5% yearly return. This section is intended to help you compare your fund’s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

 

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

 

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

 

3

 

Six Months Ended December 31, 2019      
  Beginning Ending Expenses
  Account Value Account Value Paid During
  6/30/2019 12/31/2019 Period
Based on Actual Fund Return      
Tax-Managed Balanced Fund $1,000.00 $1,060.13 $0.47
Tax-Managed Capital Appreciation Fund      
Admiral™ Shares $1,000.00 $1,104.29 $0.48
Institutional Shares 1,000.00 1,104.51 0.32
Tax-Managed Small-Cap Fund      
Admiral Shares $1,000.00 $1,081.89 $0.47
Institutional Shares 1,000.00 1,081.88 0.32
Based on Hypothetical 5% Yearly Return      
Tax-Managed Balanced Fund $1,000.00 $1,024.75 $0.46
Tax-Managed Capital Appreciation Fund      
Admiral Shares $1,000.00 $1,024.75 $0.46
Institutional Shares 1,000.00 1,024.90 0.31
Tax-Managed Small-Cap Fund      
Admiral Shares $1,000.00 $1,024.75 $0.46
Institutional Shares 1,000.00 1,024.90 0.31

 

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for that period are: for the Tax-Managed Balanced Fund, 0.09%; for the Tax-Managed Capital Appreciation Fund, 0.09% for Admiral Shares and 0.06% for Institutional Shares; and for the Tax-Managed Small-Cap Fund, 0.09% for Admiral Shares and 0.06% for Institutional Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

 

4

 

Tax-Managed Balanced Fund

 

 

Performance Summary

 

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2009, Through December 31, 2019

Initial Investment of $10,000

 

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2019  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
Tax-Managed Balanced Fund 18.01% 7.28% 8.59% $22,807
Tax-Managed Balanced Composite Index 18.53 7.42 8.81 23,262
Bloomberg Barclays Municipal Bond Index 7.54 3.53 4.34 15,296
Dow Jones U.S. Total Stock Market Float Adjusted Index 30.90 11.18 13.43 35,251

 

Tax-Managed Balanced Composite Index: Weighted 50% Russell 1000 Index and 50% Bloomberg Barclays 7 Year Municipal Bond Index through January 31, 2002, and 50% Russell 1000 Index and 50% Bloomberg Barclays 1–15 Year Municipal Bond Index thereafter.

 

 

 

 

 

 

 

 

 

 

See Financial Highlights for dividend and capital gains information.

 

5

 

Tax-Managed Balanced Fund

 

 

Sector Diversification

As of December 31, 2019

 

Equity Exposure  
   
Consumer Discretionary 14.7%
Consumer Staples 5.7
Energy 3.8
Financial Services 20.7
Health Care 13.6
Materials & Processing 3.0
Producer Durables 9.8
Technology 23.7
Utilities 5.0

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Russell Global Sectors (“RGS”), except for the “Other” category (if applicable), which includes securities that have not been provided a RGS classification as of the effective reporting period.

 

Fixed Income Exposure  
   
New York 7.2%
Texas 5.4
California 4.5
Florida 2.6
Illinois 2.6
Pennsylvania 2.4
New Jersey 1.7
Ohio 1.6
Maryland 1.6
Michigan 1.5
Top Ten 31.1%

The table excludes any fixed income futures contracts.

 

6

 

Tax-Managed Balanced Fund

 

 

Financial Statements

 

 

Statement of Net Assets

As of December 31, 2019

 

The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.

 

        Market  
        Value·  
    Shares   ($000 )
Common Stocks (47.9%)1        
Consumer Discretionary (7.0%)      
* Amazon.com Inc. 39,317   72,652  
  Walt Disney Co. 164,903   23,850  
  Home Depot Inc. 102,499   22,384  
  Comcast Corp. Class A 424,667   19,097  
  Walmart Inc. 132,349   15,728  
  McDonald’s Corp. 69,274   13,689  
  Costco Wholesale Corp. 46,193   13,577  
  NIKE Inc. Class B 114,973   11,648  
* Netflix Inc. 34,965   11,314  
  Starbucks Corp. 111,196   9,776  
* Booking Holdings Inc. 4,356   8,946  
* Charter Communications Inc. Class A 18,349   8,901  
  Lowe’s Cos. Inc. 71,197   8,527  
  TJX Cos. Inc. 111,000   6,778  
  Target Corp. 47,667   6,111  
  Estee Lauder Cos. Inc. Class A 24,890   5,141  
* Tesla Inc. 10,548   4,413  
* O’Reilly Automotive Inc. 9,621   4,217  
  Marriott International Inc. Class A 27,645   4,186  
  General Motors Co. 111,600   4,085  
* AutoZone Inc. 3,335   3,973  
* Lululemon Athletica Inc. 16,281   3,772  
  Ross Stores Inc. 32,367   3,768  
  Dollar General Corp. 21,992   3,430  
  eBay Inc. 79,628   2,875  
* Dollar Tree Inc. 30,283   2,848  
  VF Corp. 27,400   2,731  
* Discovery Communications Inc. 83,894   2,558  
* Norwegian Cruise Line Holdings Ltd. 42,662   2,492  
  Hilton Worldwide Holdings Inc. 21,934   2,433  
  Ford Motor Co. 258,200   2,401  
  Yum! Brands Inc. 23,605   2,378  
* Henry Schein Inc. 34,942   2,331  
* NVR Inc. 599   2,281  
* Live Nation Entertainment Inc. 30,049   2,148  
  Royal Caribbean Cruises Ltd. 15,032   2,007  
* Bright Horizons Family Solutions Inc. 13,307   2,000  
* Floor & Decor Holdings Inc. Class A 39,042   1,984  
* Chipotle Mexican Grill Inc. Class A 2,332   1,952  
* Hilton Grand Vacations Inc. 56,441   1,941  
* WABCO Holdings Inc. 14,324   1,941  
  ViacomCBS Inc. Class B 45,953   1,929  
  Las Vegas Sands Corp. 27,200   1,878  
  Best Buy Co. Inc. 21,100   1,853  
  DR Horton Inc. 34,933   1,843  
* frontdoor Inc. 37,760   1,791  
  Aptiv plc 18,493   1,756  
  MGM Resorts International 52,646   1,752  
* CarMax Inc. 18,665   1,636  
  Yum China Holdings Inc. 34,065   1,635  
  Lennar Corp. Class A 29,269   1,633  
* Liberty Broadband Corp. Class A 12,998   1,619  
  Sirius XM Holdings Inc. 219,780   1,571  
* Liberty Broadband Corp. 12,201   1,534  
* Liberty Media Corp-Liberty SiriusXM Class C 30,894   1,487  
  Domino’s Pizza Inc. 4,761   1,399  
* Ulta Beauty Inc. 5,389   1,364  
  Wynn Resorts Ltd. 9,491   1,318  
* Liberty Media Corp-Liberty SiriusXM Class A 26,938   1,302  
  Expedia Group Inc. 11,945   1,292  
  Fox Corp. Class A 34,744   1,288  
  Lear Corp. 9,208   1,263  
* Caesars Entertainment Corp. 91,945   1,250  
  Tiffany & Co. 9,200   1,230  
  Fortune Brands Home & Security Inc. 18,483   1,208  

 

  7  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
* Liberty Media Corp-Liberty Formula One Class A 27,531   1,205  
  Carnival Corp. 23,150   1,177  
  Omnicom Group Inc. 14,479   1,173  
  Tractor Supply Co. 12,514   1,169  
  Gentex Corp. 39,660   1,149  
* DISH Network Corp. Class A 32,240   1,144  
* Burlington Stores Inc. 4,897   1,117  
  Genuine Parts Co. 10,203   1,084  
* LKQ Corp. 29,960   1,070  
  Advance Auto Parts Inc. 6,656   1,066  
  Polaris Inc. 10,200   1,037  
* Liberty Media Corp-Liberty Formula One 21,777   1,001  
  Service Corp. International 21,408   985  
  PulteGroup Inc. 25,300   982  
  Hasbro Inc. 9,200   972  
* Madison Square Garden Co. Class A 3,268   961  
  PVH Corp. 9,003   947  
  Darden Restaurants Inc. 8,680   946  
  Toll Brothers Inc. 22,801   901  
  Dunkin’ Brands Group Inc. 11,883   898  
  News Corp. Class A 62,267   880  
  Wendy’s Co. 37,068   823  
  Garmin Ltd. 7,500   732  
  Vail Resorts Inc. 3,000   719  
  Thor Industries Inc. 9,533   708  
  Wyndham Hotels & Resorts Inc. 11,225   705  
* Under Armour Inc. Class A 29,992   648  
  Brunswick Corp. 10,728   643  
  Williams-Sonoma Inc. 8,700   639  
  BorgWarner Inc. 14,652   636  
  Harley-Davidson Inc. 16,990   632  
  Carter’s Inc. 5,600   612  
* Mohawk Industries Inc. 4,373   596  
  Kohl’s Corp. 11,385   580  
  Aramark 13,199   573  
* ServiceMaster Global Holdings Inc. 14,709   569  
  Whirlpool Corp. 3,582   528  
* Skechers U.S.A. Inc. Class A 11,188   483  
  Interpublic Group of Cos. Inc. 19,783   457  
  Newell Brands Inc. 22,794   438  
  Ralph Lauren Corp. Class A 3,673   431  
* Tempur Sealy International Inc. 4,885   425  
  AMERCO 1,087   409  
  Hyatt Hotels Corp. Class A 4,521   406  
* Lions Gate Entertainment Corp. Class B 38,100   378  
  H&R Block Inc. 15,200   357  
  John Wiley & Sons Inc. Class A 7,218   350  
* AutoNation Inc. 7,012   341  
  Hanesbrands Inc. 22,000   327  
* Discovery Communications Inc. Class A 9,819   321  
* Wayfair Inc. 3,439   311  
  Tapestry Inc. 11,520   311  
  Gap Inc. 16,771   297  
* Urban Outfitters Inc. 9,477   263  
  Dick’s Sporting Goods Inc. 5,100   252  
  Pool Corp. 1,184   251  
* IAA Inc. 5,272   248  
* Mattel Inc. 15,775   214  
  TripAdvisor Inc. 6,192   188  
  Nexstar Media Group Inc. Class A 1,600   188  
* 2U Inc. 7,800   187  
  International Game Technology plc 12,300   184  
  Penske Automotive Group Inc. 3,473   174  
  New York Times Co. Class A 5,300   171  
* Altice USA Inc. Class A 5,085   139  
* Under Armour Inc. Class C 7,061   135  
  Lennar Corp. Class B 2,807   125  
* Capri Holdings Ltd. 2,941   112  
  Fox Corp. Class B 2,334   85  
  KAR Auction Services Inc. 3,700   81  
* Carvana Co. Class A 722   66  
  Nordstrom Inc. 1,500   61  
* Roku Inc. 450   60  
  Cable One Inc. 40   60  
  Choice Hotels International Inc. 444   46  
* Five Below Inc. 359   46  
  Leggett & Platt Inc. 853   43  
* Uber Technologies Inc. 1,332   40  
  Graham Holdings Co. Class B 59   38  
* Grand Canyon Education Inc. 372   36  
  Cinemark Holdings Inc. 958   32  
* AMC Networks Inc. Class A 567   22  
        407,891  
Consumer Staples (2.7%)        
  Procter & Gamble Co. 222,217   27,755  
  Coca-Cola Co. 346,544   19,181  
  PepsiCo Inc. 126,164   17,243  
  Philip Morris International Inc. 113,549   9,662  

 

  8  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
  Mondelez International Inc. Class A 134,037   7,383  
  Colgate-Palmolive Co. 78,870   5,429  
  CVS Health Corp. 60,292   4,479  
  Kimberly-Clark Corp. 30,521   4,198  
* Monster Beverage Corp. 60,354   3,836  
  Sysco Corp. 43,197   3,695  
  Altria Group Inc. 72,880   3,637  
  General Mills Inc. 59,114   3,166  
  Church & Dwight Co. Inc. 40,710   2,864  
  Tyson Foods Inc. Class A 30,613   2,787  
  Lamb Weston Holdings Inc. 31,500   2,710  
  Constellation Brands Inc. Class A 14,236   2,701  
  Archer-Daniels-Midland Co. 57,573   2,669  
* US Foods Holding Corp. 56,410   2,363  
  Hershey Co. 14,600   2,146  
  McCormick & Co. Inc. 12,380   2,101  
* Post Holdings Inc. 18,982   2,071  
  Brown-Forman Corp. Class B 28,063   1,897  
  Walgreens Boots Alliance Inc. 31,518   1,858  
* Herbalife Nutrition Ltd. 38,933   1,856  
* Hain Celestial Group Inc. 71,228   1,849  
  Kroger Co. 58,600   1,699  
* Pilgrim’s Pride Corp. 49,869   1,631  
  Clorox Co. 10,000   1,535  
* TreeHouse Foods Inc. 29,030   1,408  
  JM Smucker Co. 12,251   1,276  
  Hormel Foods Corp. 28,084   1,267  
  Conagra Brands Inc. 36,300   1,243  
  Corteva Inc. 40,408   1,194  
  Campbell Soup Co. 21,400   1,058  
* Grocery Outlet Holding Corp. 31,000   1,006  
  Ingredion Inc. 9,319   866  
  Kellogg Co. 11,900   823  
  Seaboard Corp. 177   752  
  Bunge Ltd. 12,614   726  
  Molson Coors Brewing Co. Class B 12,000   647  
  Keurig Dr Pepper Inc. 18,165   526  
  Casey’s General Stores Inc. 2,214   352  
  Energizer Holdings Inc. 6,965   350  
* Sprouts Farmers Market Inc. 13,705   265  
  Flowers Foods Inc. 7,464   162  
  Kraft Heinz Co. 3,259   105  
  Spectrum Brands Holdings Inc. 1,397   90  
        158,517  
Energy (1.8%)        
  Exxon Mobil Corp. 368,887   25,741  
  Chevron Corp. 175,560   21,157  
  ConocoPhillips 104,012   6,764  
  Phillips 66 40,575   4,520  
  EOG Resources Inc. 51,456   4,310  
  Marathon Petroleum Corp. 64,371   3,878  
  Valero Energy Corp. 41,300   3,868  
  Kinder Morgan Inc. 179,900   3,808  
  ONEOK Inc. 38,802   2,936  
  Pioneer Natural Resources Co. 19,185   2,904  
* Cheniere Energy Inc. 44,865   2,740  
  Diamondback Energy Inc. 19,665   1,826  
  Hess Corp. 25,730   1,719  
* WPX Energy Inc. 120,171   1,651  
  Devon Energy Corp. 60,254   1,565  
  Schlumberger Ltd. 36,000   1,447  
  Williams Cos. Inc. 59,400   1,409  
  Baker Hughes a GE Co. Class A 49,550   1,270  
  Noble Energy Inc. 50,672   1,259  
  Occidental Petroleum Corp. 27,353   1,127  
  Marathon Oil Corp. 71,582   972  
* Antero Resources Corp. 332,700   948  
  National Oilwell Varco Inc. 35,429   888  
  HollyFrontier Corp. 16,592   841  
  Concho Resources Inc. 9,030   791  
  Continental Resources Inc. 17,909   614  
  Parsley Energy Inc. Class A 29,102   550  
* Apergy Corp. 15,762   532  
* First Solar Inc. 8,805   493  
  Cabot Oil & Gas Corp. 26,804   467  
  Valvoline Inc. 17,015   364  
  Helmerich & Payne Inc. 7,715   350  
  Halliburton Co. 9,564   234  
  Apache Corp. 9,138   234  
  Cimarex Energy Co. 4,376   230  
  PBF Energy Inc. Class A 7,200   226  
  Range Resources Corp. 43,000   209  
  Kosmos Energy Ltd. 34,584   197  
  Targa Resources Corp. 4,700   192  
  EQT Corp. 16,410   179  
  Murphy Oil Corp. 4,700   126  
  Patterson-UTI Energy Inc. 8,532   90  
        105,626  
Financial Services (9.9%)        
* Berkshire Hathaway Inc. Class B 194,172   43,980  
  JPMorgan Chase & Co. 298,516   41,613  
  Visa Inc. Class A 171,519   32,228  
  Bank of America Corp. 816,936   28,772  

 

  9  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
  Mastercard Inc. Class A 89,496   26,723  
  Wells Fargo & Co. 367,091   19,749  
  Citigroup Inc. 217,336   17,363  
* PayPal Holdings Inc. 122,993   13,304  
  American Tower Corp. 47,319   10,875  
* Fiserv Inc. 79,439   9,186  
  American Express Co. 62,978   7,840  
  Fidelity National Information Services Inc. 56,184   7,815  
  US Bancorp 130,672   7,748  
  Goldman Sachs Group Inc. 31,593   7,264  
  CME Group Inc. 32,531   6,530  
  Chubb Ltd. 41,767   6,501  
  Truist Financial Corp. 112,996   6,364  
  PNC Financial Services Group Inc. 39,840   6,360  
  S&P Global Inc. 22,350   6,103  
  Global Payments Inc. 32,658   5,962  
  Crown Castle International Corp. 39,583   5,627  
  Morgan Stanley 108,719   5,558  
  BlackRock Inc. 10,331   5,193  
  Marsh & McLennan Cos. Inc. 45,593   5,080  
  Prologis Inc. 56,910   5,073  
  Charles Schwab Corp. 104,805   4,985  
  Aon plc 22,428   4,672  
  Intercontinental Exchange Inc. 50,126   4,639  
  Equinix Inc. 7,515   4,386  
  Capital One Financial Corp. 39,892   4,105  
  American International Group Inc. 79,900   4,101  
  Bank of New York Mellon Corp. 79,501   4,001  
  SBA Communications Corp. Class A 16,194   3,903  
  MetLife Inc. 72,340   3,687  
* FleetCor Technologies Inc. 12,768   3,674  
  Progressive Corp. 49,497   3,583  
* CBRE Group Inc. Class A 57,957   3,552  
  Moody’s Corp. 14,200   3,371  
  Allstate Corp. 29,585   3,327  
  Aflac Inc. 60,874   3,220  
  Travelers Cos. Inc. 23,146   3,170  
  Public Storage 14,772   3,146  
  Simon Property Group Inc. 19,878   2,961  
* Arch Capital Group Ltd. 68,675   2,945  
  Prudential Financial Inc. 30,532   2,862  
  Welltower Inc. 34,803   2,846  
* Square Inc. 45,108   2,822  
* Markel Corp. 2,427   2,774  
  Equity Residential 33,625   2,721  
  Loews Corp. 51,403   2,698  
* Alleghany Corp. 3,123   2,497  
  T. Rowe Price Group Inc. 18,574   2,263  
  WR Berkley Corp. 31,749   2,194  
  Digital Realty Trust Inc. 18,310   2,192  
* Athene Holding Ltd. Class A 46,499   2,187  
  MSCI Inc. Class A 8,302   2,143  
  AvalonBay Communities Inc. 10,200   2,139  
  State Street Corp. 26,969   2,133  
  Synchrony Financial 57,247   2,061  
  Hartford Financial Services Group Inc. 33,742   2,050  
  Discover Financial Services 23,903   2,027  
  Willis Towers Watson plc 10,000   2,019  
  American Homes 4 Rent Class A 76,425   2,003  
  First Republic Bank 17,026   2,000  
  RenaissanceRe Holdings Ltd. 9,951   1,951  
  Ventas Inc. 33,100   1,911  
  Essex Property Trust Inc. 5,973   1,797  
  Realty Income Corp. 24,100   1,774  
  Boston Properties Inc. 12,781   1,762  
* Howard Hughes Corp. 13,894   1,762  
* Brighthouse Financial Inc. 44,826   1,759  
  Equifax Inc. 12,213   1,711  
  KeyCorp 84,218   1,705  
  TransUnion 19,883   1,702  
  Ameriprise Financial Inc. 10,193   1,698  
  White Mountains Insurance Group Ltd. 1,498   1,671  
* Texas Capital Bancshares Inc. 29,162   1,656  
  Globe Life Inc. 15,679   1,650  
  Fifth Third Bancorp 53,575   1,647  
  Western Alliance Bancorp 28,071   1,600  
  Zions Bancorp NA 30,699   1,594  
  Equity Commonwealth 48,342   1,587  
  M&T Bank Corp. 9,299   1,578  
* SVB Financial Group 6,256   1,571  
  Nasdaq Inc. 14,423   1,545  
  Northern Trust Corp. 14,372   1,527  
  Regions Financial Corp. 87,002   1,493  
  Equity LifeStyle Properties Inc. 21,046   1,481  
  E*TRADE Financial Corp. 32,518   1,475  
  Comerica Inc. 20,326   1,458  
  Extra Space Storage Inc. 13,300   1,405  
  Healthpeak Properties Inc. 40,614   1,400  
  Cboe Global Markets Inc. 11,525   1,383  
  Reinsurance Group of America Inc. Class A 8,395   1,369  
  Huntington Bancshares Inc. 89,700   1,353  
  Alexandria Real Estate Equities Inc. 8,330   1,346  

 

  10  

 

 

Tax-Managed Balanced Fund

 

 

 
        Market  
        Value·  
    Shares   ($000 )
  Citizens Financial Group Inc. 31,943   1,297  
  SEI Investments Co. 18,913   1,238  
  Mid-America Apartment Communities Inc. 9,294   1,226  
  Everest Re Group Ltd. 4,400   1,218  
  Weyerhaeuser Co. 39,846   1,203  
  Lamar Advertising Co. Class A 13,067   1,166  
  FactSet Research Systems Inc. 4,244   1,139  
  Camden Property Trust 10,700   1,135  
  Lincoln National Corp. 19,230   1,135  
  Host Hotels & Resorts Inc. 60,499   1,122  
  TD Ameritrade Holding Corp. 21,947   1,091  
  Douglas Emmett Inc. 24,033   1,055  
  Brown & Brown Inc. 26,238   1,036  
  Synovus Financial Corp. 26,425   1,036  
  Principal Financial Group Inc. 18,700   1,028  
  Raymond James Financial Inc. 11,434   1,023  
  Kilroy Realty Corp. 12,189   1,023  
  Arthur J Gallagher & Co. 10,570   1,007  
  East West Bancorp Inc. 20,444   996  
  Apartment Investment & Management Co. 18,481   955  
  Assurant Inc. 7,242   949  
  Hanover Insurance Group Inc. 6,939   948  
  Federal Realty Investment Trust 7,319   942  
  Fidelity National Financial Inc. 20,332   922  
  Broadridge Financial Solutions Inc. 7,331   906  
  Cincinnati Financial Corp. 8,401   883  
  Jones Lang LaSalle Inc. 5,012   873  
  MarketAxess Holdings Inc. 2,300   872  
  Vornado Realty Trust 12,900   858  
  TCF Financial Corp. 18,227   853  
  Navient Corp. 61,273   838  
  Voya Financial Inc. 13,412   818  
  Franklin Resources Inc. 30,975   805  
  Commerce Bancshares Inc. 11,755   799  
  Duke Realty Corp. 23,013   798  
  Ally Financial Inc. 26,054   796  
* WEX Inc. 3,748   785  
  JBG SMITH Properties 19,287   769  
  Associated Banc-Corp 34,076   751  
* Zillow Group Inc. 16,319   750  
  Sterling Bancorp 32,600   687  
  Unum Group 23,193   676  
  WP Carey Inc. 8,400   672  
  Invitation Homes Inc. 21,896   656  
  Assured Guaranty Ltd. 13,302   652  
  UDR Inc. 13,895   649  
  Kimco Realty Corp. 31,300   648  
  Popular Inc. 10,841   637  
  VEREIT Inc. 68,000   628  
* Credit Acceptance Corp. 1,361   602  
  Jack Henry & Associates Inc. 4,132   602  
  Omega Healthcare Investors Inc. 14,000   593  
  Gaming and Leisure Properties Inc. 13,700   590  
  Wyndham Destinations Inc. 11,225   580  
  SL Green Realty Corp. 6,259   575  
* Euronet Worldwide Inc. 3,592   566  
  Sun Communities Inc. 3,700   555  
  Santander Consumer USA Holdings Inc. 23,585   551  
* Fair Isaac Corp. 1,440   540  
  First Horizon National Corp. 32,130   532  
  CyrusOne Inc. 7,600   497  
  American Financial Group Inc. 4,520   496  
  Weingarten Realty Investors 15,484   484  
  First Hawaiian Inc. 16,576   478  
  OneMain Holdings Inc. 11,211   473  
  Outfront Media Inc. 17,000   456  
  Brixmor Property Group Inc. 20,800   449  
  SITE Centers Corp. 31,400   440  
  CNA Financial Corp. 8,693   390  
  Lazard Ltd. Class A 9,725   389  
  Brookfield Property REIT Inc. Class A 20,850   385  
  Alliance Data Systems Corp. . 3,377   379  
  LPL Financial Holdings Inc. 4,000   369  
  Liberty Property Trust 6,100   366  
  BankUnited Inc. 10,000   366  
  Spirit Realty Capital Inc. 7,200   354  
  Jefferies Financial Group Inc. 16,533   353  
  BOK Financial Corp. 4,040   353  
  CoreSite Realty Corp. 3,037   341  
  First Citizens BancShares Inc. Class A 629   335  
  Regency Centers Corp. 5,233   330  
  First American Financial Corp. 5,600   327  
  Brandywine Realty Trust 20,600   324  
  VICI Properties Inc. 12,500   319  
  National Retail Properties Inc. 5,800   311  
  Signature Bank 2,248   307  
  Old Republic International Corp. 13,642   305  

 

  11  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
* CoreLogic Inc. 6,976   305  
  Apple Hospitality REIT Inc. 16,400   266  
  Corporate Office Properties Trust 9,060   266  
  Retail Properties of America Inc. 19,700   264  
  Hudson Pacific Properties Inc. 6,800   256  
* Zillow Group Inc. Class A 5,347   245  
  AXA Equitable Holdings Inc. 9,264   230  
  Medical Properties Trust Inc. 10,779   228  
  Umpqua Holdings Corp. 12,000   212  
  Cousins Properties Inc. 5,100   210  
  Interactive Brokers Group Inc. 4,420   206  
  American Campus Communities Inc. 4,260   200  
  Healthcare Trust of America Inc. Class A 6,500   197  
  Bank OZK 6,200   189  
  STORE Capital Corp. 4,944   184  
  Primerica Inc. 1,400   183  
  Eaton Vance Corp. 3,800   177  
  Kemper Corp. 2,200   170  
  Iron Mountain Inc. 5,300   169  
  Service Properties Trust 6,900   168  
  Rayonier Inc. 5,100   167  
  Americold Realty Trust 4,700   165  
  American National Insurance Co. 1,400   165  
  Colony Capital Inc. 34,500   164  
  CIT Group Inc. 3,500   160  
  CubeSmart 5,009   158  
  Macerich Co. 5,800   156  
  Axis Capital Holdings Ltd. 2,600   155  
  Morningstar Inc. 964   146  
  FNB Corp. 8,934   113  
  Pinnacle Financial Partners Inc. 1,700   109  
  EPR Properties 1,518   107  
  MGIC Investment Corp. 5,756   82  
  Highwoods Properties Inc. 1,638   80  
  SLM Corp. 6,800   61  
  Park Hotels & Resorts Inc. 2,324   60  
  Cullen/Frost Bankers Inc. 500   49  
  Evercore Inc. Class A 600   45  
  Bank of Hawaii Corp. 443   42  
  Life Storage Inc. 342   37  
  People’s United Financial Inc. 2,142   36  
  Wintrust Financial Corp. 497   35  
  Prosperity Bancshares Inc. 487   35  
  Mercury General Corp. 711   35  
  Columbia Property Trust Inc. 1,558   33  
  Paramount Group Inc. 2,332   32  
  Empire State Realty Trust Inc. 2,287   32  
  Affiliated Managers Group Inc. 184   16  
        576,602  
Health Care (6.5%)        
  Johnson & Johnson 236,987   34,569  
  UnitedHealth Group Inc. 89,149   26,208  
  Merck & Co. Inc. 239,480   21,781  
  Pfizer Inc. 458,850   17,978  
  Medtronic plc 125,783   14,270  
  Bristol-Myers Squibb Co. 221,562   14,222  
  Amgen Inc. 58,906   14,200  
  Abbott Laboratories 161,267   14,008  
  Thermo Fisher Scientific Inc. 40,613   13,194  
  Eli Lilly & Co. 78,951   10,377  
  Danaher Corp. 62,416   9,580  
  Cigna Corp. 44,329   9,065  
  Zoetis Inc. 56,468   7,474  
  AbbVie Inc. 83,654   7,407  
  Anthem Inc. 24,296   7,338  
* Vertex Pharmaceuticals Inc. 32,258   7,063  
* Biogen Inc. 23,496   6,972  
* Boston Scientific Corp. 153,034   6,920  
  Becton Dickinson and Co. 24,484   6,659  
  Stryker Corp. 31,475   6,608  
* Intuitive Surgical Inc. 10,412   6,155  
  Gilead Sciences Inc. 88,002   5,718  
  Allergan plc 29,685   5,675  
  Humana Inc. 13,448   4,929  
* Illumina Inc. 14,810   4,913  
* Edwards Lifesciences Corp. 19,556   4,562  
  HCA Healthcare Inc. 27,087   4,004  
  Baxter International Inc. 45,000   3,763  
* IDEXX Laboratories Inc. 12,399   3,238  
* WellCare Health Plans Inc. 9,785   3,231  
* Laboratory Corp. of America Holdings 17,109   2,894  
  Zimmer Biomet Holdings Inc. 18,070   2,705  
  Agilent Technologies Inc. 29,707   2,534  
  Cooper Cos. Inc. 7,836   2,518  
  McKesson Corp. 16,936   2,343  
* IQVIA Holdings Inc. 15,129   2,338  
* Jazz Pharmaceuticals plc 15,597   2,328  
* Regeneron Pharmaceuticals Inc. 5,817   2,184  
* Masimo Corp. 13,214   2,089  
* Penumbra Inc. 12,362   2,031  

 

  12  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
* Varian Medical Systems Inc. 13,982   1,986  
* Alexion Pharmaceuticals Inc. 17,822   1,927  
* Premier Inc. Class A 50,767   1,923  
  Cerner Corp. 25,793   1,893  
* Catalent Inc. 32,691   1,841  
  Quest Diagnostics Inc. 16,919   1,807  
* DexCom Inc. 8,079   1,767  
  ResMed Inc. 11,300   1,751  
* Centene Corp. 26,850   1,688  
* Align Technology Inc. 5,984   1,670  
* Veeva Systems Inc. Class A 11,833   1,664  
  Cardinal Health Inc. 32,745   1,656  
* Incyte Corp. 17,801   1,554  
* Hologic Inc. 29,253   1,527  
* Seattle Genetics Inc. 13,072   1,494  
  Teleflex Inc. 3,932   1,480  
  Universal Health Services Inc. Class B 10,172   1,459  
  AmerisourceBergen Corp. Class A 15,706   1,335  
* DaVita Inc. 17,119   1,284  
  PerkinElmer Inc. 13,223   1,284  
* Bio-Rad Laboratories Inc. Class A 3,420   1,266  
* Alnylam Pharmaceuticals Inc. 10,641   1,226  
* Acadia Healthcare Co. Inc. 35,408   1,176  
* Neurocrine Biosciences Inc. 10,564   1,136  
  Dentsply Sirona Inc. 18,983   1,074  
* Charles River Laboratories International Inc. 6,994   1,068  
* Exact Sciences Corp. 11,319   1,047  
  Hill-Rom Holdings Inc. 8,722   990  
  Bio-Techne Corp. 4,125   905  
* Ionis Pharmaceuticals Inc. 12,147   734  
* Molina Healthcare Inc. 5,337   724  
  Perrigo Co. plc 13,878   717  
* QIAGEN NV 20,957   708  
* BioMarin Pharmaceutical Inc. 7,634   645  
* Insulet Corp. 3,622   620  
  STERIS plc 4,000   610  
  Chemed Corp. 1,300   571  
* Elanco Animal Health Inc. 17,916   528  
  West Pharmaceutical Services Inc. 3,341   502  
* ABIOMED Inc. 2,898   494  
* Envista Holdings Corp. 15,814   469  
* PRA Health Sciences Inc. 3,849   428  
* Integra LifeSciences Holdings Corp. 5,352   312  
  Encompass Health Corp. 2,416   167  
* Horizon Therapeutics plc 2,702   98  
* Sarepta Therapeutics Inc. 678   87  
  Bruker Corp. 1,500   76  
* MEDNAX Inc. 2,455   68  
* Exelixis Inc. 3,165   56  
* United Therapeutics Corp. 218   19  
*,§ Tahoe Resources Inc. CVR Exp. 02/27/2029 22,786   5  
        377,561  
Materials & Processing (1.5%)        
  Linde plc 50,405   10,731  
  Ecolab Inc. 22,658   4,373  
  Air Products & Chemicals Inc. 18,500   4,347  
  Sherwin-Williams Co. 7,060   4,120  
  Newmont Goldcorp Corp. 72,089   3,132  
  Dow Inc. 54,947   3,007  
  DuPont de Nemours Inc. 46,451   2,982  
  Ingersoll-Rand plc 20,400   2,712  
  LyondellBasell Industries NV Class A 28,438   2,687  
  PPG Industries Inc. 19,800   2,643  
  Ball Corp. 30,836   1,994  
  Vulcan Materials Co. 13,386   1,927  
  Martin Marietta Materials Inc. 6,586   1,842  
  Celanese Corp. Class A 14,628   1,801  
* Axalta Coating Systems Ltd. 58,660   1,783  
  Freeport-McMoRan Inc. 135,724   1,781  
  Royal Gold Inc. 14,400   1,760  
* Univar Solutions Inc. 71,543   1,734  
* Crown Holdings Inc. 21,733   1,577  
* Element Solutions Inc. 128,571   1,502  
  International Paper Co. 31,443   1,448  
  Fastenal Co. 35,846   1,325  
  Lennox International Inc. 4,681   1,142  
  Hexcel Corp. 14,466   1,061  
  Nucor Corp. 17,843   1,004  
  Masco Corp. 19,089   916  
  Reliance Steel & Aluminum Co. 7,600   910  
  FMC Corp. 9,098   908  
  Westrock Co. 20,760   891  
  Owens Corning 13,342   869  
  CF Industries Holdings Inc. 17,959   857  
  International Flavors & Fragrances Inc. 6,430   830  
  Sealed Air Corp. 19,269   767  
  Armstrong World Industries Inc. 8,089   760  
  Albemarle Corp. 10,400   760  
  Eagle Materials Inc. 7,542   684  
  Packaging Corp. of America 6,052   678  
  Huntsman Corp. 27,900   674  
  Eastman Chemical Co. 8,219   651  
  Southern Copper Corp. 14,656   623  

 

  13  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
  Valmont Industries Inc. 4,136   620  
  Silgan Holdings Inc. 18,967   590  
  NewMarket Corp. 1,129   549  
  Scotts Miracle-Gro Co. 5,042   535  
  Westlake Chemical Corp. 7,433   521  
  RPM International Inc. 6,500   499  
  Ashland Global Holdings Inc. 6,198   474  
  WR Grace & Co. 6,600   461  
  MDU Resources Group Inc. 9,950   296  
* Berry Global Group Inc. 6,019   286  
  Cabot Corp. 5,900   280  
* Alcoa Corp. 12,618   271  
  Graphic Packaging Holding Co. 15,800   263  
  Chemours Co. 11,200   203  
  GrafTech International Ltd. 17,200   200  
  Timken Co. 3,100   175  
  AptarGroup Inc. 1,500   173  
  Acuity Brands Inc. 1,067   147  
  Steel Dynamics Inc. 4,100   140  
  Watsco Inc. 500   90  
  Sonoco Products Co. 1,300   80  
  United States Steel Corp. 6,000   68  
  O-I Glass Inc. 5,005   60  
        83,174  
Producer Durables (4.7%)        
  Boeing Co. 47,052   15,328  
  Accenture plc Class A 59,476   12,524  
  Union Pacific Corp. 62,786   11,351  
  Honeywell International Inc. 63,834   11,299  
  United Technologies Corp. 73,286   10,975  
  General Electric Co. 795,070   8,873  
  Lockheed Martin Corp. 22,492   8,758  
  Caterpillar Inc. 49,756   7,348  
  United Parcel Service Inc. Class B 60,781   7,115  
  3M Co. 39,887   7,037  
  Automatic Data Processing Inc. 39,845   6,794  
  Raytheon Co. 25,295   5,558  
  Deere & Co. 28,718   4,976  
  CSX Corp. 68,562   4,961  
  Northrop Grumman Corp. 14,368   4,942  
  Illinois Tool Works Inc. 26,375   4,738  
  Norfolk Southern Corp. 21,800   4,232  
  Emerson Electric Co. 54,190   4,132  
  Waste Management Inc. 33,651   3,835  
  TransDigm Group Inc. 6,585   3,688  
  Delta Air Lines Inc. 62,899   3,678  
  Eaton Corp. plc 37,345   3,537  
* United Airlines Holdings Inc. 38,134   3,359  
  FedEx Corp. 21,969   3,322  
* Copart Inc. 35,593   3,237  
  Roper Technologies Inc. 8,710   3,085  
  General Dynamics Corp. 17,491   3,085  
  Johnson Controls International plc 72,978   2,971  
* Waters Corp. 12,476   2,915  
  Cintas Corp. 10,373   2,791  
  Southwest Airlines Co. 50,666   2,735  
* Teledyne Technologies Inc. 6,944   2,406  
* CoStar Group Inc. 3,869   2,315  
  AMETEK Inc. 22,442   2,238  
* Mettler-Toledo International Inc. 2,697   2,139  
  Verisk Analytics Inc.Class A 13,447   2,008  
* United Rentals Inc. 11,674   1,947  
  Parker-Hannifin Corp. 9,302   1,915  
  PACCAR Inc. 23,928   1,893  
  Rockwell Automation Inc. 9,203   1,865  
  Xylem Inc. 23,614   1,861  
  Cummins Inc. 10,321   1,847  
  Stanley Black & Decker Inc. 10,910   1,808  
  IDEX Corp. 10,462   1,799  
* Gardner Denver Holdings Inc. 48,079   1,764  
* Colfax Corp. 46,790   1,702  
* Keysight Technologies Inc. 16,038   1,646  
  Huntington Ingalls Industries Inc. 6,494   1,629  
  Allegion plc 12,833   1,598  
* Sensata Technologies Holding plc 29,137   1,570  
  Fortive Corp. 20,386   1,557  
* AECOM 35,745   1,542  
  Expeditors International of Washington Inc. 19,686   1,536  
  Republic Services Inc. Class A 16,510   1,480  
  Nordson Corp. 8,492   1,383  
  Textron Inc. 29,358   1,309  
  JB Hunt Transport Services Inc. 11,052   1,291  
  Jacobs Engineering Group Inc. 14,361   1,290  
* Zebra Technologies Corp. 4,990   1,275  
  Wabtec Corp. 16,047   1,248  
  Carlisle Cos. Inc. 7,633   1,235  
* Kirby Corp. 13,568   1,215  
  ITT Inc. 16,144   1,193  
  Oshkosh Corp. 12,558   1,189  
* HD Supply Holdings Inc. 29,328   1,180  
  CH Robinson Worldwide Inc. 15,011   1,174  
  Paychex Inc. 13,584   1,155  
* Trimble Inc. 26,321   1,097  
* XPO Logistics Inc. 13,742   1,095  
  BWX Technologies Inc. 17,602   1,093  
  AO Smith Corp. 22,475   1,071  

 

  14  

 

 

Tax-Managed Balanced Fund

 

 

 
        Market  
        Value·  
    Shares   ($000 )
  Toro Co. 13,011   1,037  
  Arconic Inc. 32,466   999  
  Spirit AeroSystems Holdings Inc. Class A 13,411   977  
  Air Lease Corp. Class A 20,291   964  
  FLIR Systems Inc. 18,391   958  
  Lincoln Electric Holdings Inc. 9,765   945  
  Robert Half International Inc. 14,500   916  
* Clean Harbors Inc. 10,647   913  
  WW Grainger Inc. 2,682   908  
  Landstar System Inc. 7,935   904  
  AGCO Corp. 11,695   903  
  Dover Corp. 7,663   883  
  American Airlines Group Inc. 29,772   854  
  Quanta Services Inc. 20,704   843  
  Xerox Holdings Corp. 22,618   834  
  Kansas City Southern 5,000   766  
  Donaldson Co. Inc. 13,286   766  
  HEICO Corp. 6,487   740  
  Flowserve Corp. 14,313   712  
* Stericycle Inc. 10,277   656  
  Copa Holdings SA Class A 5,839   631  
* JetBlue Airways Corp. 33,052   619  
  National Instruments Corp. 14,511   614  
  Avery Dennison Corp. 4,600   602  
* WESCO International Inc. 9,740   578  
  Genpact Ltd. 13,285   560  
  ManpowerGroup Inc. 5,650   549  
  Old Dominion Freight Line Inc. 2,837   538  
  Knight-Swift Transportation Holdings Inc. 14,300   512  
  Pentair plc 10,087   463  
  Snap-on Inc. 2,597   440  
  Trinity Industries Inc. 19,100   423  
  MSC Industrial Direct Co.Inc. Class A 5,300   416  
  Ryder System Inc. 7,500   407  
  Booz Allen Hamilton Holding Corp. Class A 4,900   349  
  HEICO Corp. Class A 3,638   326  
  Hubbell Inc. Class B 2,200   325  
  nVent Electric plc 10,087   258  
  Graco Inc. 4,912   255  
  Regal Beloit Corp. 2,800   240  
  Alaska Air Group Inc. 2,900   196  
  Woodward Inc. 1,400   166  
* Paylocity Holding Corp. 1,300   157  
  Littelfuse Inc. 768   147  
* Gates Industrial Corp. plc 9,933   137  
  Schneider National Inc. Class B 6,200   135  
* Middleby Corp. 1,014   111  
  Fluor Corp. 5,558   105  
  ADT Inc. 8,500   67  
  Allison Transmission Holdings Inc. 1,200   58  
  Rollins Inc. 1,312   43  
  Curtiss-Wright Corp. 305   43  
  Crane Co. 451   39  
* Resideo Technologies Inc. 2,362   28  
        273,752  
Technology (11.4%)        
  Apple Inc. 425,657   124,994  
  Microsoft Corp. 721,763   113,822  
* Facebook Inc. Class A 230,326   47,274  
* Alphabet Inc. Class A 30,313   40,601  
* Alphabet Inc. Class C 28,849   38,572  
  Intel Corp. 398,000   23,820  
  Cisco Systems Inc. 409,381   19,634  
* Adobe Inc. 47,094   15,532  
  NVIDIA Corp. 54,212   12,756  
* salesforce.com Inc. 76,492   12,441  
  Oracle Corp. 215,417   11,413  
  Broadcom Inc. 35,849   11,329  
  Texas Instruments Inc. 85,640   10,987  
  QUALCOMM Inc. 108,398   9,564  
  International Business Machines Corp. 63,103   8,458  
* Micron Technology Inc. 138,310   7,438  
* Advanced Micro Devices Inc. 129,923   5,958  
  Intuit Inc. 22,737   5,956  
  Applied Materials Inc. 90,715   5,537  
* ServiceNow Inc. 16,685   4,711  
* IHS Markit Ltd. 57,328   4,320  
  Lam Research Corp. 14,049   4,108  
* Autodesk Inc. 21,248   3,898  
  Analog Devices Inc. 32,108   3,816  
  Activision Blizzard Inc. 59,760   3,551  
  L3Harris Technologies Inc. 16,506   3,266  
* Electronic Arts Inc. 29,113   3,130  
* VeriSign Inc. 16,053   3,093  
  Amphenol Corp. Class A 26,138   2,829  
* Gartner Inc. 18,074   2,785  
  Cognizant Technology Solutions Corp. Class A 44,315   2,748  
  HP Inc. 128,673   2,644  
  Motorola Solutions Inc. 15,878   2,559  
  KLA Corp. 13,882   2,473  
  Hewlett Packard Enterprise Co. 142,229   2,256  
* Atlassian Corp. plc Class A 18,735   2,255  
* Synopsys Inc. 16,191   2,254  
* Black Knight Inc. 34,912   2,251  
* Okta Inc. 19,409   2,239  
* DocuSign Inc. Class A 29,825   2,210  

 

  15  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
  Microchip Technology Inc. 20,270   2,123  
  Xilinx Inc. 21,429   2,095  
  Skyworks Solutions Inc. 17,100   2,067  
* Twitter Inc. 64,447   2,066  
  Corning Inc. 68,131   1,983  
* Splunk Inc. 13,214   1,979  
* Ceridian HCM Holding Inc. 28,778   1,953  
* Palo Alto Networks Inc. 8,303   1,920  
* Cadence Design Systems Inc. 27,659   1,918  
* Match Group Inc. 22,828   1,874  
  Western Digital Corp. 29,474   1,871  
* IAC/InterActiveCorp 7,373   1,837  
* Workday Inc. Class A 11,159   1,835  
* ANSYS Inc. 7,069   1,820  
  Maxim Integrated Products Inc. 24,329   1,496  
* Akamai Technologies Inc. 17,101   1,477  
  NortonLifeLock Inc. 56,039   1,430  
* EchoStar Corp. Class A 32,155   1,393  
  Marvell Technology Group Ltd. 51,555   1,369  
  Terad yne Inc. 19,532   1,332  
* Qorvo Inc. 11,320   1,316  
* Tyler Technologies Inc. 4,332   1,300  
  CDW Corp. 8,857   1,265  
* SolarWinds Corp. 67,913   1,260  
  Citrix Systems Inc. 11,127   1,234  
* GoDaddy Inc. Class A 17,857   1,213  
* Fortinet Inc. 10,756   1,148  
  NetApp Inc. 17,371   1,081  
  Amdocs Ltd. 14,500   1,047  
* VMware Inc. Class A 6,737   1,023  
  Leidos Holdings Inc. 10,350   1,013  
* Paycom Software Inc. 3,751   993  
  Juniper Networks Inc. 40,200   990  
* Take-Two Interactive Software Inc. 7,963   975  
  SS&C Technologies Holdings Inc. 14,800   909  
* ON Semiconductor Corp. 35,080   855  
* RingCentral Inc. Class A 4,984   841  
  CDK Global Inc. 14,435   789  
  Universal Display Corp. 3,786   780  
* F5 Networks Inc. 5,559   776  
* Guidewire Software Inc. 7,046   773  
  Avnet Inc. 17,300   734  
* EPAM Systems Inc. 3,426   727  
  MKS Instruments Inc. 6,500   715  
  DXC Technology Co. 18,932   712  
* Dell Technologies Inc. 12,926   664  
* Proofpoint Inc. 5,609   644  
* Arrow Electronics Inc. 7,307   619  
  Sabre Corp. 27,200   610  
  Dolby Laboratories Inc. Class A 8,275   569  
* Arista Networks Inc. 2,703   550  
* PTC Inc. 7,269   544  
* Manhattan Associates Inc. 6,606   527  
* Nuance Communications Inc. 29,402   524  
* Zynga Inc. Class A 85,400   523  
* NCR Corp. 14,237   501  
* Twilio Inc. Class A 4,678   460  
* Zendesk Inc. 5,670   435  
  Jabil Inc. 8,300   343  
* Teradata Corp. 12,274   329  
  Monolithic Power Systems Inc. 1,800   320  
* Coherent Inc. 1,542   257  
* Pure Storage Inc. Class A 14,100   241  
  SYNNEX Corp. 1,700   219  
* FireEye Inc. 12,696   210  
* CACI International Inc. Class A 800   200  
* CommScope Holding Co. Inc. 13,800   196  
* Aspen Technology Inc. 1,506   182  
  LogMeIn Inc. 2,100   180  
* New Relic Inc. 2,500   164  
  Entegris Inc. 3,200   160  
* Nutanix Inc. 5,012   157  
* IPG Photonics Corp. 1,031   149  
* Smartsheet Inc. Class A 3,300   148  
* Anaplan Inc. 2,700   142  
  Pegasystems Inc. 1,468   117  
* RealPage Inc. 1,692   91  
  Ubiquiti Inc. 306   58  
  Cognex Corp. 800   45  
* Groupon Inc. Class A 18,709   45  
* Cerence Inc. 875   20  
* Dropbox Inc. Class A 446   8  
* Cree Inc. 43   2  
        660,942  
Utilities (2.4%)        
  Verizon Communications Inc. 384,874   23,631  
  AT&T Inc. 550,518   21,514  
  NextEra Energy Inc. 47,042   11,392  
  Duke Energy Corp. 76,972   7,021  
  Southern Co. 101,616   6,473  
  Dominion Energy Inc. 75,797   6,277  
  American Electric Power Co. Inc. 45,700   4,319  
  Sempra Energy 26,229   3,973  
  Exelon Corp. 84,900   3,871  
* T-Mobile US Inc. 46,748   3,666  
  American Water Works Co. Inc. 27,784   3,413  

 

  16  

 

 

Tax-Managed Balanced Fund

 

 

 

        Market  
        Value·  
    Shares   ($000 )
  Consolidated Edison Inc. 33,700   3,049  
  Public Service Enterprise Group Inc. 49,300   2,911  
  WEC Energy Group Inc. 27,832   2,567  
  NRG Energy Inc. 62,415   2,481  
  Xcel Energy Inc. 37,904   2,406  
  PPL Corp. 61,004   2,189  
* GCI Liberty Inc. Class A 30,555   2,165  
  Edison International 28,046   2,115  
* Zayo Group Holdings Inc. 59,534   2,063  
  DTE Energy Co. 14,767   1,918  
  Eversource Energy 22,187   1,887  
  FirstEnergy Corp. 38,600   1,876  
  Entergy Corp. 11,483   1,376  
  Alliant Energy Corp. 24,226   1,326  
  Evergy Inc. 19,735   1,284  
  CMS Energy Corp. 20,227   1,271  
  Ameren Corp. 15,737   1,209  
  NiSource Inc. 42,649   1,187  
  Atmos Energy Corp. 9,845   1,101  
  AES Corp. 53,469   1,064  
  OGE Energy Corp. 23,786   1,058  
  Aqua America Inc. 20,886   980  
  Vistra Energy Corp. 39,091   899  
  CenterPoint Energy Inc. 31,100   848  
  UGI Corp. 15,661   707  
  Telephone & Data Systems Inc. 22,046   561  
  Pinnacle West Capital Corp. 5,958   536  
  National Fuel Gas Co. 5,771   269  
* Sprint Corp. 50,326   262  
  Avangrid Inc. 4,545   232  
* United States Cellular Corp. 5,358   194  
  IDACORP Inc. 1,500   160  
  Hawaiian Electric Industries Inc. 1,058   50  
        139,751  
Total Common Stocks
(Cost $1,434,584)
    2,783,816  

 

 

          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
Tax-Exempt Municipal Bonds (51.8%)              
Alabama (0.5%)              
  Alabama 21st Century Authority Tobacco Settlement Revenue 5.000% 6/1/20   500   507  
  Alabama Economic Settlement Authority BP Settlement Revenue 4.000% 9/15/33   500   546  
  Alabama Incentives Financing Authority Special Obligation Revenue 5.000% 9/1/22 (Prere.) 380   419  
  Birmingham-Jefferson AL Civic Center Authority Special Tax Revenue 5.000% 7/1/31   1,100   1,351  
  Black Belt Energy Gas District Alabama Gas Prepay Revenue (Project No. 3) PUT 4.000% 12/1/23   1,555   1,679  
2 Black Belt Energy Gas District Alabama Gas PrepayRevenue (Project No. 3) PUT, 67% of 1M USD LIBOR + 0.900% 2.045% 12/1/23   1,000   1,000  
  Black Belt Energy Gas District Alabama Gas Supply Revenue PUT 4.000% 6/1/21   3,885   4,023  
  Black Belt Energy Gas District Alabama Gas Supply Revenue PUT 4.000% 7/1/22   430   456  
  Huntsville AL Electric System Revenue 5.000% 12/1/30   510   629  
  Huntsville AL GO 5.000% 5/1/35   1,125   1,386  
  Huntsville AL GO 5.000% 5/1/38   1,860   2,336  
  Jefferson County AL Revenue 5.000% 9/15/29   1,020   1,237  
  Jefferson County AL Revenue 5.000% 9/15/33   1,000   1,197  
  Jefferson County AL Sewer Revenue 5.000% 10/1/23   500   561  
  Jefferson County AL Sewer Revenue 0.000% 10/1/25 (4) 500   436  

 

  17  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Southeast Alabama Gas Supply District Revenue PUT 4.000% 4/1/24   6,185   6,709  
  Southeast Alabama Gas Supply District Revenue PUT 4.000% 6/1/24   1,105   1,205  
  Tuscaloosa AL City Board of Education School Tax Warrants Revenue 5.000% 8/1/27   530   645  
  Tuscaloosa AL City Board of Education School Tax Warrants Revenue 5.000% 8/1/28   1,090   1,319  
  University of South Alabama University Facilities Revenue 5.000% 11/1/23 (4) 740   837  
              28,478  
Alaska (0.1%)              
  Alaska Housing Finance Corp. Revenue 5.000% 6/1/22 (Prere.) 425   464  
  Alaska Housing Finance Corp. Revenue 5.000% 12/1/29   75   81  
  Alaska Municipal Bond Bank Authority Revenue 5.000% 9/1/21   1,650   1,753  
  Matanuska-Susitna Borough AK Lease Revenue (Goose Creek Correctional Center) GO 5.000% 9/1/31   1,345   1,568  
              3,866  
Arizona (1.0%)              
  Arizona Board of Regents Arizona State University System Revenue 5.000% 7/1/30   675   800  
  Arizona Board of Regents Arizona State University System Revenue 5.000% 7/1/31   545   626  
  Arizona COP 5.000% 10/1/26   2,000   2,465  
  Arizona Lottery Revenue 5.000% 7/1/28   1,000   1,281  
  Arizona School Facilities Board COP 5.000% 9/1/21   1,355   1,442  
  Arizona State University Revenue (McAllister Academic Village LLC) 5.000% 7/1/36   1,165   1,394  
  Arizona Transportation Board Excise Tax Revenue 5.000% 7/1/21   2,240   2,370  
  Arizona Transportation Board Excise Tax Revenue 5.000% 7/1/23   2,155   2,443  
  Arizona Transportation Board Excise Tax Revenue 5.000% 7/1/24   2,110   2,468  
  Arizona Transportation Board Excise Tax Revenue (Maricopa County Regional Area) 5.000% 7/1/20 (Prere.) 500   510  
  Arizona Transportation Board Highway Revenue 5.000% 7/1/22   2,210   2,421  
  Arizona Transportation Board Highway Revenue 5.000% 7/1/22 (Prere.) 500   548  
  Arizona Transportation Board Highway Revenue 5.000% 7/1/32   1,025   1,236  
  Arizona Water Infrastructure Finance Authority Revenue 5.000% 10/1/27   1,000   1,171  
  Chandler AZ GO 5.000% 7/1/23   1,165   1,322  
  Gilbert AZ GO 5.000% 7/1/20   2,480   2,528  
  Glendale AZ Industrial Development Authority Revenue (Midwestern University) 5.000% 5/15/30   335   339  
  Maricopa County AZ Elementary School District No. 14 (Creighton) GO 3.000% 7/1/32   1,000   1,059  
  Maricopa County AZ Industrial Development Authoirty Hospital Revenue (Honorhealth) 5.000% 9/1/33   830   1,015  

 

  18  

 

 

Tax-Managed Balanced Fund

 

 

 

          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Maricopa County AZ Unified School District No. 4 (Mesa) GO 5.000% 7/1/24   1,700   1,985  
  Phoenix AZ Civic Improvement Corp. Airport Revenue 5.000% 7/1/20 (Prere.) 365   372  
  Phoenix AZ Civic Improvement Corp. Excise Tax Revenue 5.000% 7/1/22   1,145   1,255  
  Phoenix AZ Civic Improvement Corp. Wastewater System Revenue 5.000% 7/1/22   2,290   2,510  
  Phoenix AZ Civic Improvement Corp. Wastewater System Revenue 5.000% 7/1/27   1,295   1,586  
  Phoenix AZ Civic Improvement Corp. Wastewater System Revenue 4.000% 7/1/28   2,000   2,226  
  Phoenix AZ Civic Improvement Corp. Water System Revenue 5.000% 7/1/21   525   556  
  Phoenix AZ Civic Improvement Corp. Water System Revenue 5.000% 7/1/22   1,260   1,381  
  Phoenix AZ Civic Improvement Corp. Water System Revenue 5.000% 7/1/23   2,040   2,314  
  Phoenix AZ Civic Improvement Corp. Water System Revenue 5.000% 7/1/26   2,520   2,937  
  Phoenix AZ Civic Improvement Corp. Water System Revenue 5.000% 7/1/35   1,900   2,278  
  Phoenix AZ Industrial Development Authority Lease Revenue (Downtown Phoenix Student Housing LLC) 5.000% 7/1/27   300   363  
  Phoenix AZ Industrial Development Authority Lease Revenue (Downtown Phoenix Student Housing LLC) 5.000% 7/1/28   250   307  
  Pima County AZ Sewer Revenue 5.000% 7/1/20   500   510  
  Pima County AZ Sewer Revenue 5.000% 7/1/20   1,150   1,172  
  Pima County AZ Sewer Revenue 5.000% 7/1/24   1,105   1,291  
  Regional Public Transportation Authority Arizona Excise Tax Revenue (Maricopa County Public Transportation) 5.250% 7/1/24   1,125   1,329  
  Salt River Project Arizona Agricultural Improvement & Power District Revenue 5.000% 12/1/28   515   552  
  Salt River Project Arizona Agricultural Improvement & Power District Revenue 5.000% 12/1/29   2,000   2,180  
  Salt River Project Arizona Agricultural Improvement & Power District Revenue 5.000% 1/1/36   1,540   1,866  
  Salt Verde AZ Financial Corp. Gas Revenue 5.250% 12/1/24   910   1,057  
  Salt Verde AZ Financial Corp. Gas Revenue 5.250% 12/1/28   640   802  
  Yavapai County AZ Industrial Development Authority Hospital Facility Revenue (Northern Arizona Healthcare System) 5.250% 10/1/22   500   534  
              58,801  
Arkansas (0.2%)              
  Arkansas Development Finance Authority Healthcare Revenue (Baptist Health) PUT 3.750% 9/1/25   2,000   2,015  
  Pulaski County AR Hospital Revenue (Arkansas Children’s Hospital) 5.000% 3/1/29   1,075   1,291  
  Springdale AR Sales and Use Revenue 5.000% 4/1/37 (15) 1,000   1,120  
  Springdale AR School District No. 50 GO 4.000% 6/1/27   1,190   1,270  

 

  19  

 

 

Tax-Managed Balanced Fund

 

 

 
          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Springdale AR School District No. 50 GO 4.000% 6/1/32   1,155   1,219  
  University of Arkansas Revenue 5.000% 11/1/21   805   862  
  University of Arkansas Revenue 5.000% 11/1/24   800   938  
  University of Arkansas Revenue 5.000% 11/1/30   765   931  
              9,646  
California (4.5%)              
  ABAG Finance Authority for Nonprofit Corps. California Revenue (Episcopal Senior Communities) 5.000% 7/1/22   500   546  
  ABAG Finance Authority for Nonprofit Corps. California Revenue (Jackson Laboratory) 5.000% 7/1/21   760   806  
  ABAG Finance Authority for Nonprofit Corps. California Revenue (Windemere Ranch Infrastructure Financing Program) 5.000% 9/2/30 (4) 1,120   1,393  
  Alameda CA Corridor Transportation Authority Revenue 0.000% 10/1/30 (2) 740   555  
  Alameda CA Corridor Transportation Authority Revenue 0.000% 10/1/32 (14) 1,690   1,217  
  Anaheim CA Housing & Public Improvements Authority Revenue (Electric Utility Distribution System) 5.000% 10/1/30   1,000   1,122  
  Anaheim CA Housing & Public Improvements Authority Revenue (Electric Utility Distribution System) 5.000% 10/1/33   1,015   1,134  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) 5.000% 10/1/20 (Prere.) 500   515  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) 5.000% 4/1/22 (Prere.) 500   546  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) 5.000% 4/1/23 (Prere.) 1,000   1,131  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) 4.000% 4/1/33   1,000   1,155  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) 4.000% 4/1/37   820   931  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) PUT 2.100% 4/1/22   1,150   1,172  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) PUT 2.125% 4/1/25   2,950   3,070  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) PUT 2.850% 4/1/25   1,000   1,075  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) PUT 2.625% 4/1/26   2,000   2,141  
  Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) PUT 2.950% 4/1/26   1,000   1,086  
2 Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) PUT, SIFMA Municipal Swap Index Yield + 0.700% 2.310% 4/1/21   1,000   1,005  
2 Bay Area Toll Authority California Toll Bridge Revenue (San Francisco Bay Area) PUT, SIFMA Municipal Swap Index Yield + 0.900% 2.510% 5/1/23   1,000   1,017  
  Brea CA Redevelopment Agency Successor Agency Tax Allocation Revenue (Redevelopment Project AB) 0.000% 8/1/29 (2) 1,000   815  
  California Department of Water Resources Power Supply Revenue 5.000% 5/1/20   1,165   1,180  

 

  20  

 

 

Tax-Managed Balanced Fund

 

 

 

          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  California GO 5.000% 2/1/20   500   502  
  California GO 5.000% 10/1/20   2,000   2,060  
  California GO 5.000% 8/1/22   1,000   1,103  
  California GO 5.000% 9/1/22   1,805   1,996  
  California GO 5.000% 11/1/23   1,155   1,328  
  California GO 5.000% 4/1/24   2,000   2,327  
  California GO 5.000% 9/1/24   1,315   1,550  
  California GO 5.000% 10/1/24   2,000   2,364  
  California GO 5.000% 10/1/25   2,500   3,037  
  California GO 5.000% 3/1/26   660   789  
  California GO 5.000% 4/1/26   2,000   2,457  
  California GO 5.000% 4/1/27   2,000   2,516  
  California GO 3.500% 8/1/27   1,515   1,757  
  California GO 5.000% 2/1/28   690   771  
  California GO 5.000% 9/1/29   455   560  
  California GO 5.000% 11/1/29   1,700   1,945  
  California GO 5.250% 3/1/30   500   503  
  California GO 5.000% 4/1/30   500   662  
  California GO 5.000% 9/1/30   1,000   1,065  
  California GO 5.250% 9/1/30   500   534  
  California GO 5.000% 4/1/31   1,005   1,348  
  California GO 4.000% 8/1/31   1,675   1,931  
  California GO 5.000% 2/1/32   500   540  
  California GO 5.000% 4/1/32   2,500   3,209  
  California GO 5.250% 8/1/32 (4) 1,000   1,366  
  California GO 5.000% 10/1/32   1,875   2,197  
  California GO 4.000% 8/1/33   1,520   1,734  
  California GO 5.000% 8/1/33   2,865   3,475  
  California GO 4.000% 9/1/33   2,000   2,284  
  California GO 3.000% 10/1/34   1,225   1,300  
  California GO 3.000% 10/1/35   1,815   1,919  
  California GO 3.000% 10/1/36   1,500   1,578  
  California Health Facilities Financing Authority Revenue (Adventist Health System/West) 5.000% 3/1/23   1,145   1,285  
  California Health Facilities Financing Authority Revenue (Children’s Hospital of Los Angeles) 5.000% 11/15/23   1,000   1,099  
  California Health Facilities Financing Authority Revenue (Kaiser Permanente) 4.000% 11/1/38   2,000   2,253  
  California Health Facilities Financing Authority Revenue (Kaiser Permanente) PUT 5.000% 11/1/22   795   882  
  California Health Facilities Financing Authority Revenue (Kaiser Permanente) PUT 5.000% 11/1/29   2,750   3,591  
  California Health Facilities Financing Authority Revenue (Lucile Salter Packard Children’s Hospital at Stanford) 5.000% 8/15/20   520   533  
  California Health Facilities Financing Authority Revenue (Providence St. Joseph Health Obligated Group) PUT 4.000% 10/1/24   1,195   1,348  
  California Health Facilities Financing Authority Revenue (Providence St. Joseph Health Obligated Group) PUT 5.000% 10/1/25   1,690   2,037  
  California Health Facilities Financing Authority Revenue (Rady Children’s Hospital) 5.000% 8/15/31   965   1,022  
  California Health Facilities Financing Authority Revenue (Sutter Health) 5.500% 8/15/20 (Prere.) 500   514  

 

  21  

 

 

Tax-Managed Balanced Fund

 

 

 
          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  California Health Facilities Financing Authority Revenue (Sutter Health) 5.000% 11/15/36   1,000   1,234  
  California Infrastructure & Economic Development Bank Revenue (Bay Area Toll Bridges Seismic Retrofit) 5.000% 1/1/28 (Prere.) 500   645  
  California Municipal Finance Authority Revenue (Anaheim Electric Utility Distribution System) 5.000% 10/1/30   965   1,157  
  California Municipal Finance Authority Revenue (University of La Verne) 6.125% 6/1/20 (Prere.) 500   511  
  California Public Works Board Lease Revenue (Davidson Library) 5.000% 3/1/23 (Prere.) 20   23  
  California Public Works Board Lease Revenue (Department of Corrections) 5.000% 6/1/22   1,000   1,095  
  California Public Works Board Lease Revenue (Department of Corrections) 5.000% 6/1/27   1,050   1,145  
  California Public Works Board Lease Revenue (Judicial Council Projects) 5.000% 10/1/26   1,200   1,411  
  California Public Works Board Lease Revenue (Judicial Council Projects) 5.000% 3/1/28   300   335  
  California Public Works Board Lease Revenue (Judicial Council Projects) 5.125% 12/1/29   260   279  
  California Public Works Board Lease Revenue (Regents of The University of California) 5.000% 12/1/21 (Prere.) 35   38  
  California Public Works Board Lease Revenue (Various Capital Projects) 5.375% 3/1/20 (Prere.) 1,000   1,007  
  California Public Works Board Lease Revenue (Various Capital Projects) 5.000% 12/1/21 (Prere.) 25   27  
  California Public Works Board Lease Revenue (Various Capital Projects) 4.000% 11/1/31   1,840   2,095  
  California Public Works Board Lease Revenue (Various Capital Projects) 5.000% 11/1/31   1,000   1,104  
  California Public Works Board Lease Revenue (Various Capital Projects) 5.000% 4/1/32   350   379  
  California State Educational Facilities Authority Revenue 6.125% 10/1/21 (Prere.) 245   267  
  California State Educational Facilities Authority Revenue 6.125% 10/1/21 (Prere.) 255   278  
  California State University Systemwide Revenue 5.000% 11/1/30   1,000   1,109  
  California State University Systemwide Revenue 5.000% 11/1/32   1,000   1,214  
  California State University Systemwide Revenue 5.000% 11/1/32   2,815   3,504  
  California State University Systemwide Revenue 5.000% 11/1/34   2,010   2,348  
  California State University Systemwide Revenue 5.000% 11/1/35   2,000   2,464  
  California Statewide Communities Development Authority Revenue (Citrus Valley Health Partners) 4.250% 1/17/20 (14) 1,500   1,500  
  California Statewide Communities Development Authority Revenue (Kaiser Foundation Hospitals) PUT 5.000% 11/1/29   3,390   4,427  

 

  22  

 

 

Tax-Managed Balanced Fund

 

 

 

          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  California Statewide Communities Development Authority Revenue (Kaiser Permanente) PUT 5.000% 11/1/29   665   868  
  California Statewide Communities Development Authority Revenue (Loma Linda University Medical Center) 5.000% 12/1/28   400   462  
  Centinela Valley CA Union High School District GO 4.000% 8/1/29 (4) 1,035   1,189  
  Chabot-Las Positas CA Community College District GO 5.000% 8/1/31   1,000   1,132  
  Chaffey CA Community College District GO 5.000% 6/1/23   850   968  
  Chino CA Public Financing Authority Special Tax Revenue 5.000% 9/1/30 (4) 800   953  
  Chula Vista CA Municipal Financing Authority Special Tax Revenue 5.500% 9/1/27   970   1,108  
3 Citrus CA Community College District GO, 5.000% coupon rate effective 2/1/2023 0.000% 8/1/34   1,000   968  
  Contra Costa CA Community College District GO 5.000% 8/1/23 (Prere.) 1,000   1,144  
  Contra Costa CA Municipal Water District Revenue 5.000% 10/1/33   1,000   1,136  
  Corona-Norco CA Unified School District Special Tax Revenue (Community Facilities District No. 98-1) 5.000% 9/1/22   970   1,072  
  East Side CA Union High School District Santa Clara County GO 3.000% 8/1/32 (4) 1,000   1,054  
3 Foothill/Eastern Transportation Corridor Agency California Toll Road Revenue, 6.200% coupon rate effective 1/15/2024 0.000% 1/15/29   1,390   1,420  
  Gavilan CA Joint Community College District GO 5.000% 8/1/28   1,000   1,213  
  Golden State Tobacco Securitization Corp. California Revenue 5.000% 6/1/25   500   580  
  Golden State Tobacco Securitization Corp. California Revenue 0.000% 6/1/27 (2) 2,060   1,812  
  Golden State Tobacco Securitization Corp. California Revenue 5.000% 6/1/33   1,565   1,835  
  La Quinta CA Redevelopment Agency Tax Allocation Revenue 5.000% 9/1/26   1,500   1,710  
  La Quinta CA Redevelopment Agency Tax Allocation Revenue 5.000% 9/1/30   1,000   1,162  
  La Verne CA (Brethren Hillcrest Homes) COP 5.000% 5/15/26   350   377  
  Long Beach CA Finance Authority Natural Gas Purchase Revenue 5.250% 11/15/23   435   495  
  Long Beach CA Harbor Revenue 5.000% 12/15/20   1,300   1,350  
  Long Beach CA Unified School District GO 0.000% 8/1/24 (12) 1,290   1,211  
  Los Angeles CA Community College District GO 4.000% 8/1/32   1,000   1,107  
  Los Angeles CA Community College District GO 4.000% 8/1/37   2,000   2,156  
  Los Angeles CA Department of Airports International Airport Revenue 5.000% 5/15/27   500   507  
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/33   1,375   1,696  

 

  23  

 

 

Tax-Managed Balanced Fund

 

 

 
          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/35   1,330   1,681  
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/36   1,695   2,135  
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/36   1,000   1,202  
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/37   1,145   1,435  
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/37   1,000   1,214  
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/38   500   605  
  Los Angeles CA Department of Water & Power Revenue 5.000% 7/1/38   2,550   3,186  
  Los Angeles CA Metropolitan Transportation Authority Sales Tax Revenue 5.000% 7/1/38   1,400   1,749  
  Los Angeles CA Unified School District GO 5.000% 7/1/20   1,700   1,733  
  Los Angeles CA Wastewater System Revenue 5.000% 6/1/36   1,755   2,159  
  Los Angeles County CA Metropolitan Transportation Authority Sales Tax Revenue 5.000% 7/1/36   1,935   2,402  
  Los Angeles County CA Public Works Financing Authority Lease Revenue 5.000% 8/1/26   500   552  
  Los Angeles County CA Redevelopment Authority Tax Allocation Revenue (Hollywood/ North Hollywood Redevelopment Project) 5.000% 7/1/20   1,500   1,530  
  Los Angeles County CA School District GO 5.000% 7/1/36 (15) 1,000   1,239  
  Los Angeles County CA Unified School District GO 5.000% 7/1/31   1,000   1,288  
  Marysville CA Revenue (Fremont-Rideout Health Group) 5.250% 1/1/21 (Prere.) 600   626  
  Milpitas CA Redevelopment Agency Successor Agency Tax Allocation Revenue 5.000% 9/1/31   1,130   1,344  
3 Napa Valley CA Community College District GO, 4.000% coupon rate effective 2/1/2021 0.000% 8/1/32   1,090   1,160  
  Napa Valley CA Unified School District GO 4.000% 8/1/28   1,690   1,849  
  Newport Mesa CA Unified School District GO 0.000% 8/1/30   630   512  
  Oakland CA Redevelopment Agency Tax Allocation Revenue (Central District Project) 5.000% 9/1/22   500   550  
  Oakland CA Unified School District GO 5.000% 8/1/25 (4) 1,500   1,803  
  Orange County CA Development Agency Tax Allocation Revenue (Santa Ana Heights Project) 5.000% 3/1/21   1,170   1,224  
  Orange County CA Local Transportation Authority Sales Tax Revenue 5.000% 2/15/33   1,035   1,344  
  Palomar Pomerado Health California GO 0.000% 8/1/22 (14) 1,000   961  
  Palomar Pomerado Health California GO 0.000% 8/1/26 (12) 1,040   913  
  Palomar Pomerado Health California GO 0.000% 8/1/32 (12) 740   535  
  Perris CA Public Financing Authority Tax Allocation Revenue 5.000% 10/1/21   1,085   1,162  
  Poway CA Unified School District GO 5.000% 8/1/24   1,750   2,066  
  Poway CA Unified School District Public Financing Authority Special Tax Revenue 5.000% 9/1/31 (4) 1,395   1,700  
  Riverside CA Electric Revenue 5.000% 10/1/32   1,800   2,333  

 

  24  

 

 

Tax-Managed Balanced Fund

 

 

 
          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Riverside County CA Transportation Commission Sales Tax Revenue 5.250% 6/1/23 (Prere.) 1,000   1,146  
  Riverside County CA Transportation Commission Toll Revenue 0.000% 6/1/30   2,415   1,881  
  Roseville CA Natural Gas Financing Authority Gas Revenue 5.000% 2/15/23   340   376  
  Roseville CA Natural Gas Financing Authority Gas Revenue 5.000% 2/15/25   325   378  
  Sacramento CA City Financing Authority Revenue 5.000% 12/1/22 (15) 760   849  
  Sacramento CA City Financing Authority Tax Allocation Revenue 0.000% 12/1/30 (14) 1,815   1,375  
  Sacramento CA Regional Transportation District Farebox Revenue 5.000% 9/1/20 (Prere.) 185   190  
  Sacramento CA Regional Transportation District Farebox Revenue 5.000% 3/1/23   330   338  
  Sacramento County CA Sanitation Districts Financing Authority Revenue 5.000% 8/1/25   495   602  
  Sacramento County CA Sanitation Districts Financing Authority Revenue 5.000% 8/1/27   575   698  
  San Bernardino CA Community College District GO 0.000% 8/1/22 (4) 1,000   967  
  San Bernardino County CA Transportation Authority Revenue 5.000% 3/1/31   500   541  
  San Diego CA Community College District GO 5.000% 8/1/21 (Prere.) 500   533  
  San Diego CA Community College District GO 5.000% 8/1/23 (Prere.) 1,000   1,143  
  San Diego CA Public Facilities Financing Authority Water Revenue 5.250% 8/1/20 (Prere.) 500   513  
  San Diego CA Unified School District GO 0.000% 7/1/27   500   440  
  San Diego CA Unified School District GO 5.500% 7/1/27 (4) 520   683  
  San Diego CA Unified School District GO 0.000% 7/1/28   500   426  
  San Diego CA Unified School District GO 0.000% 7/1/29   500   412  
  San Diego CA Unified School District GO 0.000% 7/1/30   100   80  
  San Diego County CA Regional Airport Authority Revenue 5.000% 7/1/30 (4) 500   510  
  San Diego County CA Regional Transportation Commission Sales Tax Revenue 5.000% 4/1/22 (Prere.) 560   612  
  San Diego County CA Water Authority Revenue 5.000% 5/1/28   1,000   1,199  
  San Francisco CA Bay Area Rapid Transit District GO 5.000% 8/1/30   1,530   1,848  
  San Francisco CA Bay Area Rapid Transit District Sales Tax Revenue 4.000% 7/1/21   350   366  
  San Francisco CA City & County (Earthquake Safety & Emergency Response) GO 5.000% 6/15/20 (Prere.) 500   509  
  San Francisco CA City & County COP 5.000% 4/1/28   1,635   1,981  
  San Francisco CA City & County COP 4.000% 4/1/33   1,000   1,126  
  San Francisco CA City & County International Airport Revenue 5.000% 5/3/21 (Prere.) 95   100  
  San Francisco CA City & County International Airport Revenue 5.000% 5/1/27   405   442  
  San Francisco CA City & County International Airport Revenue 5.000% 5/1/30   405   426  
  San Francisco CA City & County International Airport Revenue 5.000% 5/1/34   1,000   1,275  

 

  25  

 

 

Tax-Managed Balanced Fund

 

 

 

          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  San Francisco CA City & County Public Utilities Commission Water Revenue 5.500% 11/1/20 (Prere.) 500   519  
  San Francisco CA City & County Public Utilities Commission Water Revenue 5.000% 5/1/22 (Prere.) 1,245   1,363  
  San Francisco CA City & County Public Utilities Commission Water Revenue 5.000% 11/1/31   1,700   2,106  
  San Francisco CA City & County Public Utilities Commission Water Revenue 5.000% 11/1/32   1,000   1,188  
  San Francisco CA City & County Public Utilities Commission Water Revenue 5.000% 11/1/35   1,500   1,836  
  San Francisco CA City & County Unified School District GO 4.000% 6/15/32   965   1,032  
  San Francisco CA City & County Unified School District GO 4.250% 6/15/33   1,000   1,076  
  San Ramon CA Public Financing Authority Tax Allocation Revenue 0.000% 2/1/33 (2) 1,475   1,024  
  Santa Clara CA Financing Authority Revenue 3.000% 5/1/39   1,155   1,186  
  Santa Clara CA Unified School District GO 3.000% 7/1/34   1,000   1,054  
  Southern California Public Power Authority Revenue (Canyon Power Project) 5.000% 7/1/22   1,105   1,171  
  Southern California Public Power Authority Revenue (Milford Wind Corridor Phase I Project) 5.000% 7/1/26   1,000   1,000  
  State Center California Community College District GO 5.000% 8/1/29   1,000   1,206  
  Tahoe-Truckee CA Unified School District GO 5.000% 8/1/34   1,030   1,252  
  Union CA Elementary School District GO 0.000% 9/1/28 (14) 1,080   912  
  Union City CA Community Redevelopment Agency Successor Agency Tax Allocation Revenue 5.000% 10/1/30   1,635   1,958  
  University of California Revenue 5.000% 5/15/21 (Prere.) 160   169  
  University of California Revenue 5.000% 5/15/23   875   924  
  University of California Revenue 5.000% 5/15/23 (Prere.) 310   351  
  University of California Revenue 5.000% 5/15/28   690   781  
  University of California Revenue 4.000% 5/15/33   1,000   1,110  
  University of California Revenue 4.000% 5/15/33   2,500   2,872  
  University of California Revenue 4.000% 5/15/34   1,770   1,932  
  University of California Revenue 4.000% 5/15/34   1,000   1,145  
  University of California Revenue 4.000% 5/15/35   2,000   2,284  
  University of California Revenue 5.000% 5/15/35   1,620   2,042  
  University of California Revenue 5.000% 5/15/35   1,165   1,465  
  University of California Revenue PUT 5.000% 5/15/23   3,740   4,243  
  West Contra Costa CA Unified School District GO 0.000% 8/1/32 (4) 1,155   864  
  West Contra Costa CA Unified School District GO 0.000% 8/1/34 (14) 1,225   855  
              260,241  
Colorado (1.1%)              
  Adams & Weld County CO School District No. 27J GO 5.000% 12/1/34   1,435   1,698  
  Adams County CO COP 5.000% 12/1/31   650   772  
  Board of Governors of the Colorado State University System Enterprise Revenue 5.000% 3/1/23   300   336  
  Colorado (UCDHSC Fitzsimons Academic Projects) COP 5.000% 11/1/21   500   535  

 

  26  

 

 

Tax-Managed Balanced Fund

 

 

 

          Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Colorado COP 4.000% 12/15/33   1,225   1,421  
  Colorado COP 4.000% 12/15/34   1,335   1,540  
  Colorado Educational & Cultural Facilities Authority Revenue (University of Denver) 4.000% 3/1/30   500   570  
  Colorado Health Facilities Authority Hospital Revenue (Adventist Health System/West Obligated Group) 5.000% 11/15/37   1,000   1,244  
  Colorado Health Facilities Authority Hospital Revenue (Adventist Health System/West Obligated Group) 4.000% 11/15/38   1,000   1,131  
  Colorado Health Facilities Authority Hospital Revenue (Adventist Health System/West Obligated Group) PUT 5.000% 11/19/26   1,030   1,267  
  Colorado Health Facilities Authority Retirement Facilities Revenue (Liberty Heights Project) 0.000% 7/15/24 (ETM) 1,430   1,340  
  Colorado Health Facilities Authority Revenue (Adventist Health System/Sunbelt Obligated Group) PUT 5.000% 11/15/23   2,990   3,411  
  Colorado Health Facilities Authority Revenue (Catholic Health Initiatives) 5.250% 2/1/21 (Prere.) 2,500   2,609  
  Colorado Health Facilities Authority Revenue (Covenant Retirement Community Inc.) 5.000% 12/1/27   500   545  
  Colorado Health Facilities Authority Revenue (NCMC Inc.) 4.000% 5/15/26 (Prere.) 1,500   1,745  
  Colorado Springs CO Utility System Revenue 5.000% 11/15/22 (Prere.) 500   556  
  Denver CO City & County Airport Revenue 5.000% 11/15/20   515   533  
  Denver CO City & County Airport Revenue 5.000% 11/15/22   1,335   1,380  
  Denver CO City & County Airport Revenue 5.000% 11/15/24   1,200   1,411  
  Denver CO City & County Airport Revenue 5.000% 11/15/26   430   444  
  Denver CO City & County Airport Revenue 5.000% 12/1/26   750   920  
  Denver CO City & County Airport Revenue 4.000% 12/1/38   400   451  
  Denver CO City & County Better Denver & Zoo GO 5.000% 8/1/22   1,000   1,100  
  Denver CO City & County COP 5.000% 6/1/37   1,685   1,996  
  Denver CO City & County Dedicated Tax Revenue 0.000% 8/1/29   500   397  
  Denver CO City & County GO 5.000% 8/1/23   1,535   1,747  
  Denver CO City & County School District GO 4.000% 12/1/31   1,000   1,114  
  Denver CO City & County School District GO 5.000% 12/1/36   2,000   2,421  
  E-470 Public Highway Authority Colorado Revenue 0.000% 9/1/23 (14) 1,010   954  
  E-470 Public Highway Authority Colorado Revenue 5.375% 9/1/26   1,000   1,027  
  El Paso County CO School District No. 20 Academy GO 5.000% 12/15/30   2,400   2,939  
  El Paso County CO School District No. 3 Widefield GO 5.000% 12/1/26   350   388  
  El Paso County CO School District No. 3 Widefield GO 5.000% 12/1/27   500   554  
  El Paso County CO School District No. 3 Widefield GO 5.000% 12/1/29   500   553  
  El Paso County CO School District No. 3 Widefield GO 5.000% 12/1/30   520   574  
  El Paso County CO School District No. 3 Widefield GO 5.000% 12/1/31   635   701  

 

  27  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Garfield, Pitkin, & Eagle County CO School District GO 4.000% 12/15/34   1,000   1,113  
  Jefferson County CO School District No. R-1 GO 5.000% 12/15/36   3,395   4,257  
  Larimer County CO School District No. R-1 Poudre GO 5.000% 12/15/29   1,000   1,287  
  Regional Transportation District of Colorado COP 5.000% 6/1/20 (Prere.) 1,010   1,026  
  Regional Transportation District of Colorado COP 5.000% 6/1/20 (Prere.) 1,000   1,016  
4 Regional Transportation District of Colorado COP 5.000% 6/1/31   1,000   1,253  
  Regional Transportation District of Colorado Sales Tax Revenue (FasTracks Project) 5.000% 11/1/27   5,400   5,969  
  University of Colorado Enterprise System Revenue 5.000% 6/1/22 (Prere.) 515   563  
  University of Colorado Enterprise System Revenue 4.000% 6/1/32   1,590   1,811  
  University of Colorado Hospital Authority Revenue 5.000% 11/15/36   1,000   1,094  
              61,713  
Connecticut (0.7%)              
  Connecticut GO 5.000% 4/15/21   500   524  
  Connecticut GO 5.000% 11/15/22   1,935   2,144  
  Connecticut GO 5.000% 4/15/24   800   866  
  Connecticut GO 5.000% 2/15/25   1,000   1,178  
  Connecticut GO 5.000% 5/15/25   2,345   2,779  
  Connecticut GO 5.000% 2/15/26   1,000   1,203  
  Connecticut GO 5.000% 9/1/26   1,000   1,158  
  Connecticut GO 5.000% 2/15/27   1,000   1,226  
  Connecticut GO 4.000% 9/15/27   1,000   1,061  
  Connecticut GO 5.000% 4/15/28   1,000   1,250  
  Connecticut GO 5.000% 4/15/28   500   539  
  Connecticut GO 5.000% 3/1/32   2,950   3,323  
  Connecticut GO 5.000% 10/15/32   705   766  
  Connecticut Health & Educational Facilities Authority Revenue (Connecticut State University System) 5.000% 11/1/31   1,000   1,272  
  Connecticut Health & Educational Facilities Authority Revenue (Covenant Retirement Communities) 5.000% 12/1/31   1,000   1,191  
  Connecticut Health & Educational Facilities Authority Revenue (Hartford Healthcare) 5.000% 7/1/26   550   580  
  Connecticut Health & Educational Facilities Authority Revenue (Nuvance Health) 5.000% 7/1/29   1,255   1,592  
  Connecticut Health & Educational Facilities Authority Revenue (University of Hartford) 5.000% 7/1/31   575   699  
  Connecticut Health & Educational Facilities Authority Revenue (Yale University) PUT 1.450% 7/1/22   875   880  
  Connecticut Health & Educational Facilities Authority Revenue (Yale University) PUT 1.450% 7/1/22   900   905  
  Connecticut Health & Educational Facilities Authority Revenue (Yale University) PUT 5.000% 2/1/23   3,400   3,788  

 

  28  

 

 

Tax-Managed Balanced Fund

 

 

 
        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Connecticut Health & Educational Facilities Authority Revenue (Yale University) PUT 2.000% 7/1/26   500   516  
  Connecticut Health & Educational Facilities Authority Revenue (Yale University) PUT 5.000% 2/1/28   2,280   2,895  
  Connecticut Special Tax Revenue 5.000% 10/1/34   1,000   1,226  
  Connecticut Special Tax Revenue (Transportation Infrastructure) 5.000% 9/1/23   1,185   1,345  
  Connecticut Special Tax Revenue (Transportation Infrastructure) 5.000% 1/1/28   1,805   2,253  
  Hartford County CT Metropolitan District GO 5.000% 7/15/28   1,255   1,595  
  Hartford County CT Metropolitan District GO 4.000% 7/15/38   2,025   2,291  
  University of Connecticut GO 5.000% 2/15/27   635   740  
  University of Connecticut Revenue 5.000% 11/1/27   1,000   1,242  
              43,027  
Delaware (0.1%)              
  Delaware GO 5.000% 7/1/20   662   675  
  Delaware GO 5.000% 10/1/20   700   720  
  Delaware GO 5.000% 2/1/25   1,010   1,204  
  Delaware Health Facilities Authority Revenue (Bayhealth Medical Center Obligated Group) 5.000% 6/1/30   600   731  
 
  Delaware River & Bay Authority Revenue 3.000% 1/1/38   1,495   1,532  
  University of Delaware Revenue 5.000% 11/1/34   440   597  
  University of Delaware Revenue 5.000% 11/1/35   500   683  
  Wilmington DE GO 5.000% 11/1/28   1,000   1,032  
              7,174  
District of Columbia (0.7%)              
  District of Columbia GO 5.000% 6/1/25   1,235   1,482  
  District of Columbia GO 5.000% 6/1/29   3,740   4,340  
  District of Columbia GO 5.000% 10/15/31   1,070   1,372  
  District of Columbia GO 5.000% 6/1/32   1,000   1,202  
  District of Columbia GO 5.000% 10/15/32   2,235   2,850  
  District of Columbia GO 5.000% 6/1/34   1,320   1,600  
  District of Columbia Hospital Revenue (Children’s Hospital Obligated Group) 5.000% 7/15/35   1,000   1,163  
  District of Columbia Income Tax Revenue 5.000% 12/1/24   1,350   1,499  
  District of Columbia Income Tax Revenue 5.000% 12/1/26   655   703  
  District of Columbia Income Tax Revenue 5.000% 3/1/30   1,145   1,495  
  District of Columbia Income Tax Revenue 5.000% 12/1/30   500   508  
  District of Columbia Income Tax Revenue 5.000% 3/1/34   2,030   2,596  
  District of Columbia Water & Sewer Authority Public Utility Revenue 5.000% 10/1/33   2,175   2,663  
  District of Columbia Water & Sewer Authority Public Utility Revenue 5.000% 10/1/34   4,000   4,739  
  Metropolitan Washington DC/VA Airports Authority Airport System Revenue 5.000% 10/1/24   540   556  
4 Metropolitan Washington DC/VA Airports Authority Airport System Revenue 5.000% 10/1/30   2,325   2,988  
  Metropolitan Washington DC/VA Airports Authority Dulles Toll Road Revenue (Dulles Metrorail & Capital Improvement Projects) 5.000% 10/1/33   2,225   2,767  

 

  29  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Metropolitan Washington DC/VA Airports Authority Dulles Toll Road Revenue (Dulles Metrorail & Capital Improvement Projects) 0.000% 10/1/37   1,300   713  
  Metropolitan Washington DC/VA Airports Authority Dulles Toll Road Revenue (Dulles Metrorail & Capital Improvement Projects) 4.000% 10/1/39   1,000   1,114  
  Washington DC Convention & Sports Authority Revenue 5.000% 10/1/26   1,090   1,342  
              37,692  
Florida (2.6%)              
  Brevard County FL School Board COP 5.000% 7/1/25   1,000   1,125  
  Broward County FL Airport System Revenue 5.000% 10/1/22 (Prere.) 400   441  
  Broward County FL Airport System Revenue 5.500% 10/1/23 (Prere.) 1,000   1,159  
  Capital Trust Agency Florida Educational Facilities Revenue (Advantage Academy of Hillsborough Projects) 5.000% 12/15/29   400   448  
  Central Florida Expressway Authority Revenue 4.000% 7/1/32   1,000   1,124  
  Citizens Property Insurance Corp. Florida Revenue (Coastal Account) 5.000% 6/1/20   1,230   1,231  
  Citizens Property Insurance Corp. Florida Revenue (Personal Lines Account/ Commercial Lines Account) 5.000% 6/1/20   750   762  
  Florida Board of Education Lottery Revenue 4.000% 7/1/27   1,230   1,311  
  Florida Board of Education Public Education Capital Outlay GO 5.000% 6/1/21   1,270   1,341  
  Florida Board of Education Public Education Capital Outlay GO 5.000% 6/1/21   760   802  
  Florida Board of Education Public Education Capital Outlay GO 5.000% 6/1/22   4,285   4,687  
  Florida Board of Education Public Education Capital Outlay GO 5.000% 6/1/24   625   707  
  Florida Board of Education Public Education Capital Outlay GO 4.000% 6/1/27   1,255   1,336  
  Florida Board of Education Public Education Capital Outlay GO 4.000% 6/1/29   1,365   1,449  
  Florida Board of Education Public Education Capital Outlay GO 4.000% 6/1/32   1,675   1,875  
  Florida Department of Transportation GO 5.000% 7/1/27   1,315   1,656  
  Florida Department of Transportation GO 4.000% 7/1/29   2,000   2,079  
  Florida GO 4.000% 6/1/27   1,455   1,583  
  Florida GO 5.000% 7/1/27   1,440   1,773  
  Florida Gulf Coast University Financing Corp. Capital Improvement Revenue 4.000% 2/1/38   770   849  
  Florida Municipal Power Agency Revenue 4.000% 10/1/30   2,555   2,946  
  Florida Turnpike Authority Revenue 4.000% 7/1/34   1,000   1,104  
  Florida Turnpike Authority Revenue 4.000% 7/1/34   1,385   1,553  
  Hillsborough County FL Industrial Development Authority Hospital Revenue (Tampa General Hospital Project) 5.000% 10/1/28   500   560  
  Hillsborough County FL School Board (Master Lease Program) COP 5.000% 7/1/27   1,650   1,797  
  Jacksonville FL Electric Authority Electric System Revenue 5.000% 4/1/21 (Prere.) 310   325  
  Jacksonville FL Electric Authority Electric System Revenue 5.000% 10/1/26   1,005   1,216  

 

  30  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Jacksonville FL Electric Authority Electric System Revenue 5.000% 10/1/27   1,160   1,303  
  Jacksonville FL Electric Authority Electric System Revenue 5.000% 10/1/31   190   198  
  Jacksonville FL Electric Authority Electric System Revenue 4.000% 10/1/37   1,955   2,172  
  Jacksonville FL Electric Authority Water & Sewer Revenue 5.000% 10/1/27   1,905   2,389  
  Jacksonville FL Electric Authority Water & Sewer Revenue 5.000% 10/1/27   1,465   1,830  
  Jacksonville FL Health Care Facilities Revenue (Baptist Health System Obligated Group) 4.000% 8/15/37   1,250   1,382  
  Jacksonville FL Health Care Facilities Revenue (Brooks Rehabilitation) 5.000% 11/1/30   1,085   1,294  
  Jacksonville FL Special Revenue 5.000% 10/1/27   1,500   1,855  
  Jacksonville FL Special Revenue 5.000% 10/1/28   1,640   2,064  
  Jacksonville FL Special Revenue 5.000% 10/1/32   500   545  
  Jacksonville FL Special Revenue 5.000% 10/1/38   1,410   1,733  
  Jacksonville FL Transportation Authority Local              
  Option Gas Tax Revenue 5.000% 8/1/34   1,000   1,174  
  Jacksonville FL Transportation Revenue 5.000% 10/1/28   1,200   1,422  
  Jacksonville FL Water & Sewer Revenue 4.000% 10/1/35   1,655   1,866  
  Key West FL Utility Board Electricity Revenue 5.000% 10/1/37   1,030   1,266  
  Lakeland FL Educational Facilities Revenue (Florida Southern College Project) 5.000% 9/1/31   880   944  
  Lakeland FL Hospital Revenue (Lakeland Regional Health Systems) 5.000% 11/15/26   1,475   1,785  
  Lee Memorial Health System Florida Hospital Revenue 5.000% 4/1/39   1,655   2,002  
  Miami Beach FL GO 5.000% 5/1/35   1,165   1,478  
  Miami Beach FL Health Facilities Authority Revenue (Mount Sinai Medical Center) 5.000% 11/15/27   1,000   1,148  
  Miami Beach FL Resort Tax Revenue 5.000% 9/1/34   1,020   1,195  
  Miami Beach FL Stormwater Revenue 5.000% 9/1/27   1,000   1,253  
  Miami Beach FL Water & Sewer Revenue 5.000% 10/1/30   1,500   1,772  
  Miami Beach FL Water & Sewer Revenue 4.000% 10/1/34   1,895   2,149  
  Miami Beach FL Water & Sewer Revenue 5.000% 10/1/38   1,000   1,233  
  Miami FL Special Obligation Street & Sidewalk Improvement Program Revenue 5.000% 1/1/30 (4) 1,325   1,635  
  Miami FL Special Obligation Street & Sidewalk Improvement Program Revenue 5.000% 1/1/35 (4) 1,000   1,215  
  Miami-Dade County FL Aviation Revenue (Miami International Airport) 5.000% 10/1/20 (Prere.) 585   602  
  Miami-Dade County FL Aviation Revenue (Miami International Airport) 4.875% 10/1/24   500   514  
  Miami-Dade County FL Aviation Revenue (Miami International Airport) 5.000% 10/1/33   1,565   1,878  
  Miami-Dade County FL Aviation Revenue (Miami International Airport) 5.000% 10/1/34   1,000   1,198  
  Miami-Dade County FL Building Better Communities GO 5.000% 7/1/27   2,000   2,112  
  Miami-Dade County FL Building Better Communities GO 5.000% 7/1/36   1,160   1,381  

 

  31  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Miami-Dade County FL Expressway Authority Toll System Revenue 5.000% 7/1/24   860   991  
  Miami-Dade County FL Expressway Authority Toll System Revenue 5.000% 7/1/25   830   958  
  Miami-Dade County FL Health Facilities Authority Hospital Revenue (Miami Children’s Hospital) 5.000% 8/1/25   1,000   1,122  
  Miami-Dade County FL Public Health Trust GO 4.000% 7/1/32   1,750   2,022  
  Miami-Dade County FL School Board COP 5.000% 2/1/26   3,035   3,646  
  Miami-Dade County FL Seaport Revenue 5.750% 10/1/28   1,510   1,736  
  Miami-Dade County FL Special Obligation Revenue 5.000% 10/1/22   1,575   1,736  
  Miami-Dade County FL Special Obligation Revenue 5.000% 10/1/24   1,000   1,100  
  Miami-Dade County FL Special Obligation Revenue 5.000% 10/1/30   500   547  
  Miami-Dade County FL Special Obligation Revenue 5.000% 4/1/37   1,255   1,561  
  Miami-Dade County FL Special Obligation Revenue 0.000% 10/1/39   1,265   696  
  Miami-Dade County FL Transit Sales Surtax Revenue 4.000% 7/1/31   1,400   1,571  
  Miami-Dade County FL Water & Sewer Revenue 5.000% 10/1/22   2,060   2,277  
  North Brevard County FL Hospital District Revenue 5.000% 1/1/34   1,000   1,160  
  Orange County FL Health Facilities Authority Hospital Revenue (Orlando Health Inc.) 5.000% 10/1/30   1,510   1,817  
  Orange County FL School Board COP 5.000% 8/1/33   6,105   7,304  
  Orlando & Orange County FL Expressway Authority Revenue 5.000% 7/1/20 (Prere.) 500   510  
  Orlando FL Tourist Development Tax Revenue 5.000% 11/1/28 (4) 1,520   1,881  
  Osceola County FL Expressway System Revenue (Poinciana Parkway Project) 0.000% 10/1/20 (Prere.) 1,270   1,256  
4 Osceola County FL Transportation Revenue 5.000% 10/1/28   500   623  
4 Osceola County FL Transportation Revenue 0.000% 10/1/34   2,000   1,255  
  Palm Beach County FL Health Facilities Authority Hospital Revenue (BRRH Corp. Obligated Group) 5.000% 12/1/24 (Prere.) 560   658  
     
  Palm Beach County FL Public Improvement Revenue 5.000% 5/1/33   1,245   1,492  
  Palm Beach County FL School Board COP 5.000% 8/1/29   1,520   1,799  
  Palm Beach County FL School Board COP 5.000% 8/1/32   1,500   1,756  
  Reedy Creek FL Improvement District GO 4.000% 6/1/34   1,190   1,323  
  Reedy Creek FL Improvement District GO 4.000% 6/1/35   1,000   1,124  
  Seacoast FL Utility Authority Water & Sewer Revenue 5.000% 3/1/21   1,230   1,286  
  South Broward FL Hospital District Revenue 4.000% 5/1/33   1,020   1,123  
  South Miami FL Health Facilities Authority Revenue (Baptist Health South Florida Obligated Group) 4.000% 8/15/33   1,180   1,318  
  St. Johns County FL Water & Sewer Revenue 0.000% 6/1/24   1,110   1,039  
  Sunshine State Governmental Financing Commission Florida Revenue (Miami Dade County Program) 5.000% 9/1/26   1,000   1,128  

 

  32  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Tallahassee FL Energy System Revenue 5.000% 10/1/35   1,000   1,149  
  Tallahassee FL Utility System Revenue 5.000% 10/1/29   1,015   1,182  
  Tallahassee FL Utility System Revenue 5.000% 10/1/30   750   871  
  Tallahassee FL Utility System Revenue 5.000% 10/1/34   1,265   1,462  
  Tampa Bay FL Water Utility System Revenue 5.000% 10/1/37   2,040   2,450  
  Tampa FL Cigarette Tax Allocation Revenue (H. Lee Moffitt Cancer Center Project) 5.000% 9/1/20   610   625  
  Tampa FL Cigarette Tax Allocation Revenue (H. Lee Moffitt Cancer Center Project) 5.000% 9/1/26   200   218  
  Tampa FL Health System Revenue (BayCare Health System) 5.000% 11/15/33   1,575   1,699  
  Tampa FL Hospital Revenue 5.000% 7/1/23   750   815  
  Tampa-Hillsborough County FL Expressway Authority Revenue 5.000% 7/1/30   200   249  
  Tampa-Hillsborough County FL Expressway Authority Revenue 5.000% 7/1/31   250   310  
  Tohopekaliga FL Water Authority Utility System Revenue 4.000% 10/1/21   1,275   1,340  
  Tohopekaliga FL Water Authority Utility System Revenue 5.750% 10/1/21 (Prere.) 500   540  
  Tohopekaliga FL Water Authority Utility System Revenue 4.000% 10/1/32   1,000   1,126  
  Volusia County FL Educational Facilities Authority Revenue (Embry-Riddle Aeronautical University Inc.) 5.000% 10/15/29   860   1,052  
  Volusia County FL School Board COP 5.000% 8/1/25   1,000   1,160  
              151,289  
Georgia (1.2%)              
  Athens-Clarke County GA Unified Government Water & Sewerage Revenue 4.000% 1/1/32   1,000   1,099  
  Atlanta GA Airport Revenue 5.000% 1/1/33   2,000   2,263  
  Atlanta GA Water & Wastewater Revenue 5.000% 11/1/21   1,500   1,606  
  Atlanta GA Water & Wastewater Revenue 5.000% 11/1/25   1,290   1,538  
  Atlanta GA Water & Wastewater Revenue 5.750% 11/1/27 (4) 555   733  
  Atlanta GA Water & Wastewater Revenue 5.000% 11/1/36   1,170   1,439  
  Bulloch County GA Development Authority Revenue (Georgia Southern University Housing Foundation) 5.000% 7/1/27   510   633  
     
  Cobb County GA Kennestone Hospital Authority Revenue 5.000% 4/1/24   400   447  
4 Coweta County GA Development Authority Revenue (Piedmont Healthcare Inc. Project) 5.000% 7/1/36   1,060   1,281  
  Dahlonega GA Downtown Development Authority Revenue (North Georgia MAC LLC Project) 5.000% 7/1/31   800   975  
  DeKalb County GA Water & Sewer Revenue 5.250% 10/1/31   500   534  
  Forsyth County GA School District Revenue 5.000% 4/1/29   750   983  
  Fulton County GA Development Authority Revenue (Children’s Healthcare of Atlanta Obligated Group) 5.000% 7/1/38   1,500   1,857  
  Georgia GO 5.000% 2/1/20   1,375   1,379  
  Georgia GO 5.000% 7/1/21   2,550   2,700  
  Georgia GO 5.000% 7/1/24   1,500   1,756  

 

  33  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Georgia GO 5.000% 7/1/24   1,000   1,171  
  Georgia GO 5.000% 7/1/25   1,100   1,325  
  Georgia GO 5.000% 2/1/30   1,500   1,857  
  Georgia GO 5.000% 2/1/31   1,500   1,849  
  Griffin-Spalding County GA Hospital Authority Revenue (WellStar Health System Obligated Group) 5.000% 4/1/25   600   703  
  Griffin-Spalding County GA Hospital Authority Revenue (WellStar Health System Obligated Group) 5.000% 4/1/31   350   421  
  Griffin-Spalding County GA Hospital Authority Revenue (WellStar Health System Obligated Group) 5.000% 4/1/33   1,575   1,883  
  Gwinnett County GA School District GO 5.000% 2/1/28   500   594  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue 5.000% 3/15/21   600   625  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue 5.000% 3/15/22   525   564  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue 5.000% 5/15/33   500   612  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue 5.000% 5/15/38   500   653  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue PUT 4.000% 9/1/23   6,010   6,524  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue PUT 4.000% 12/1/23   6,245   6,808  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue PUT 4.000% 12/2/24   1,130   1,260  
  Main Street Natural Gas Inc. Georgia Gas Project Revenue PUT 4.000% 9/1/26   2,000   2,263  
  Metropolitan Atlanta Rapid Transportation Authority Georgia Sales Tax Revenue 5.000% 7/1/31   1,410   1,710  
  Metropolitan Atlanta Rapid Transportation Authority Georgia Sales Tax Revenue 4.000% 7/1/33   1,835   2,105  
  Municipal Electric Authority Georgia Revenue 5.000% 1/1/26   1,510   1,787  
  Municipal Electric Authority Georgia Revenue 5.000% 1/1/28 (15) 1,495   1,783  
  Municipal Electric Authority Georgia Revenue 5.000% 1/1/29   1,795   2,197  
  Municipal Electric Authority Georgia Revenue 5.000% 1/1/35   1,685   1,897  
  Municipal Electric Authority Georgia Revenue 5.000% 1/1/39   1,215   1,453  
  Municipal Electric Authority Georgia Revenue (Plant Voltage Units 3 & 4 Project P) 5.000% 1/1/28   580   705  
  Municipal Electric Authority Georgia Revenue (Plant Voltage Units 3 & 4 Project P) 5.000% 1/1/30   465   563  
  Municipal Electric Authority Georgia Revenue (Plant Voltage Units 3 & 4 Project P) 5.000% 1/1/32   500   605  
  Municipal Electric Authority Georgia Revenue (Plant Voltage Units 3 & 4 Project P) 5.000% 1/1/33   100   121  
  Municipal Electric Authority Georgia Revenue (Plant Voltage Units 3 & 4 Project P) 5.000% 1/1/34   700   834  
  Municipal Electric Authority Georgia Revenue (Plant Voltage Units 3 & 4 Project P) 5.000% 1/1/36   500   599  
  Private Colleges & University Authority of Georgia Revenue (Emory University) 5.000% 9/1/27   1,540   1,944  

 

  34  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Private Colleges & University Authority of Georgia Revenue (Emory University) 5.000% 9/1/36   795   1,011  
  Walton County GA Development Authority Revenue (Piedmont Healthcare Inc. Project) 4.000% 7/1/38   1,145   1,281  
              70,930  
Guam (0.1%)              
  Guam Business Privilege Tax Revenue 5.000% 11/15/29   800   907  
  Guam Government Business Privilege Tax Revenue 5.000% 11/15/26   735   844  
  Guam Government Waterworks Authority Water & Waste Water System Revenue 5.250% 7/1/23   1,000   1,118  
  Guam Government Waterworks Authority Water & Wastewater System Revenue 5.250% 7/1/33   1,305   1,429  
  Guam International Airport Authority Revenue 5.000% 10/1/21   465   490  
              4,788  
Hawaii (0.9%)              
  Hawaii Department of Budget & Finance Special Purpose Revenue (Hawaii Pacific Health Obligated Group) 5.000% 7/1/20   320   326  
  Hawaii Department of Budget & Finance Special Purpose Revenue (Hawaii Pacific Health Obligated Group) 5.000% 7/1/21   400   422  
  Hawaii GO 5.000% 10/1/21   2,500   2,671  
  Hawaii GO 5.000% 12/1/21   375   403  
  Hawaii GO 5.000% 12/1/21 (Prere.) 310   333  
  Hawaii GO 5.000% 12/1/21 (Prere.) 190   204  
  Hawaii GO 5.000% 10/1/22   4,175   4,616  
  Hawaii GO 5.000% 8/1/24   1,765   2,069  
  Hawaii GO 5.000% 8/1/25   1,500   1,757  
  Hawaii GO 5.000% 10/1/25   1,575   1,907  
  Hawaii GO 5.000% 1/1/26   2,295   2,793  
  Hawaii GO 5.000% 8/1/29   3,500   3,957  
  Hawaii GO 4.000% 4/1/30   1,500   1,697  
  Hawaii GO 5.000% 1/1/31   1,275   1,626  
  Hawaii GO 4.000% 4/1/31   1,000   1,127  
  Hawaii GO 5.000% 1/1/33   1,475   1,830  
  Hawaii GO 5.000% 1/1/36   4,060   5,001  
  Hawaii GO 4.000% 1/1/37   2,065   2,344  
  Honolulu HI City & County GO 5.000% 10/1/20   2,335   2,404  
  Honolulu HI City & County GO 5.000% 12/1/20 (Prere.) 310   321  
  Honolulu HI City & County GO 5.000% 8/1/21 (Prere.) 1,000   1,062  
  Honolulu HI City & County GO 5.250% 8/1/21 (Prere.) 500   533  
  Honolulu HI City & County GO 5.250% 8/1/21 (Prere.) 1,245   1,326  
  Honolulu HI City & County GO 5.000% 10/1/28   1,000   1,200  
  Honolulu HI City & County GO 5.000% 10/1/29   4,000   4,791  
  Honolulu HI City & County Wastewater System Revenue 5.000% 7/1/30   2,000   2,363  
  Honolulu HI City & County Wastewater System Revenue 5.000% 7/1/31   1,000   1,178  
  Honolulu HI City & County Wastewater System Revenue 4.000% 7/1/33   1,530   1,794  
              52,055  

 

  35  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
Idaho (0.1%)              
  Canyon County ID School District No. 139 (Vallivue) GO 4.000% 9/15/21   1,215   1,274  
  Idaho Health Facilities Authority Revenue (St. Luke’s Health System Project) 5.000% 3/1/28   1,595   1,974  
              3,248  
Illinois (2.6%)              
  Chicago IL Board of Education GO 5.000% 12/1/21   1,000   1,053  
  Chicago IL Board of Education GO 5.250% 12/1/21 (14) 540   571  
  Chicago IL Board of Education GO 5.000% 12/1/23   1,000   1,097  
  Chicago IL Board of Education GO 5.000% 12/1/24   1,500   1,673  
  Chicago IL Board of Education GO 5.000% 12/1/24   700   781  
  Chicago IL Board of Education GO 7.000% 12/1/26   500   623  
  Chicago IL Board of Education GO 0.000% 12/1/28 (14) 1,000   782  
  Chicago IL Board of Education GO 5.000% 12/1/28   1,150   1,353  
  Chicago IL Board of Education GO 5.000% 12/1/30 (4) 1,250   1,504  
  Chicago IL Board of Education GO 5.250% 12/1/35   1,225   1,354  
  Chicago IL Board of Education GO 5.000% 4/1/36   1,270   1,462  
  Chicago IL GO 5.000% 1/1/24   520   571  
  Chicago IL GO 5.000% 1/1/26   335   375  
  Chicago IL GO 5.000% 1/1/27 (4) 1,850   1,856  
  Chicago IL GO 5.125% 1/1/27   100   113  
  Chicago IL GO 5.000% 1/1/28   1,090   1,275  
  Chicago IL GO 5.250% 1/1/28   200   226  
  Chicago IL Housing Authority Revenue 5.000% 1/1/33   1,000   1,201  
  Chicago IL Metropolitan Water Reclamation District GO 5.000% 12/1/31   500   532  
  Chicago IL Midway Airport Revenue 5.000% 1/1/26   210   233  
  Chicago IL Motor Fuel Tax Revenue 5.000% 1/1/20   300   300  
  Chicago IL Motor Fuel Tax Revenue 5.000% 1/1/22   300   313  
  Chicago IL O’Hare International Airport Revenue 5.250% 1/1/24   200   223  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/25   1,010   1,188  
  Chicago IL O’Hare International Airport Revenue 5.500% 1/1/26   1,000   1,124  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/29   1,000   1,166  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/31   1,030   1,195  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/32   500   534  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/33   1,000   1,157  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/35   1,855   2,182  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/38   1,010   1,239  
  Chicago IL O’Hare International Airport Revenue 5.000% 1/1/39   1,000   1,223  
  Chicago IL Park District GO 5.000% 1/1/31   1,000   1,100  
  Chicago IL Park District GO 5.000% 1/1/32   1,225   1,392  
  Chicago IL Park District GO 5.000% 1/1/33   1,000   1,162  
  Chicago IL Wastewater Transmission Revenue 5.000% 1/1/28   1,000   1,186  
  Chicago IL Wastewater Transmission Revenue 5.000% 1/1/29   1,525   1,697  

 

  36  

 

 

Tax-Managed Balanced Fund

 

 

 
        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Chicago IL Wastewater Transmission Revenue 5.500% 1/1/30 (14) 1,230   1,527  
  Chicago IL Waterworks Revenue 5.000% 11/1/30   1,000   1,133  
  Cook County IL Community College District GO 5.250% 12/1/32   1,000   1,097  
  Cook County IL GO 5.250% 11/15/25   1,000   1,065  
  Cook County IL GO 5.000% 11/15/26 (4) 1,545   1,862  
  Cook County IL GO 5.000% 11/15/28   660   679  
  Cook County IL GO 5.250% 11/15/28   565   600  
  Illinois Finance Authority Revenue (Advocate Health Care Network) 5.000% 8/1/24 (Prere.) 2,550   2,987  
  Illinois Finance Authority Revenue (Advocate Health Care Network) 5.000% 8/1/26   1,500   1,732  
  Illinois Finance Authority Revenue (Ascension Health Credit Group) 5.000% 11/15/21 (Prere.) 500   536  
  Illinois Finance Authority Revenue (Centegra Health System) 5.000% 9/1/29   1,300   1,498  
  Illinois Finance Authority Revenue (Clean Water Initiative) 5.000% 7/1/31   1,000   1,217  
  Illinois Finance Authority Revenue (DePaul University) 5.000% 10/1/33   1,000   1,187  
  Illinois Finance Authority Revenue (DePaul University) 5.000% 10/1/34   1,000   1,184  
  Illinois Finance Authority Revenue (Edward Elmhurst Obligated Group) 5.000% 1/1/36   1,000   1,161  
  Illinois Finance Authority Revenue (Franciscan Communities Inc.) 5.000% 5/15/37   1,000   1,104  
  Illinois Finance Authority Revenue (Mercy Health System) 4.000% 12/1/28   1,000   1,099  
  Illinois Finance Authority Revenue (Northwest Community Hospital) 5.000% 7/1/35   1,000   1,157  
  Illinois Finance Authority Revenue (Presence Health Network Obligated Group) 5.000% 2/15/28   1,250   1,539  
  Illinois Finance Authority Revenue (Rehabilitation Institute of Chicago) 5.500% 7/1/28   2,000   2,246  
  Illinois Finance Authority Revenue (Rush University Medical Center) 5.000% 11/15/33   1,050   1,211  
  Illinois Finance Authority Revenue (Trinity Health Corp.) 5.000% 12/1/21 (Prere.) 500   536  
  Illinois Finance Authority Revenue (University of Chicago) 5.000% 10/1/29   500   531  
  Illinois Finance Authority Revenue (University of Chicago) 5.000% 10/1/35   1,000   1,148  
  Illinois GO 5.000% 1/1/20 (4) 200   200  
  Illinois GO 5.000% 8/1/20   305   311  
  Illinois GO 5.000% 11/1/20   7,000   7,192  
  Illinois GO 5.000% 1/1/21 (4) 710   712  
  Illinois GO 5.000% 5/1/21   505   526  
  Illinois GO 5.000% 8/1/21   605   635  
  Illinois GO 5.000% 11/1/21   3,415   3,605  
  Illinois GO 5.000% 8/1/22   1,000   1,076  
  Illinois GO 5.000% 10/1/22   1,290   1,394  
  Illinois GO 5.000% 11/1/22   1,000   1,083  
  Illinois GO 5.000% 11/1/22   2,300   2,483  
  Illinois GO 5.000% 2/1/23   540   585  
  Illinois GO 5.000% 11/1/23   1,000   1,103  

 

  37  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Illinois GO 5.500% 7/1/24   1,100   1,219  
  Illinois GO 5.000% 8/1/24   1,500   1,604  
  Illinois GO 5.000% 10/1/24   1,470   1,645  
  Illinois GO 5.000% 11/1/24   1,785   1,993  
  Illinois GO 5.000% 3/1/26 (4) 1,125   1,200  
  Illinois GO 5.000% 11/1/26   1,785   2,043  
  Illinois GO 5.000% 2/1/28   1,690   1,946  
  Illinois GO 5.000% 10/1/28   2,000   2,344  
  Illinois GO 5.000% 11/1/29   1,000   1,145  
  Illinois GO 5.250% 2/1/30   1,900   2,089  
  Illinois GO 5.250% 7/1/31   1,000   1,088  
  Illinois Regional Transportation Authority Revenue 6.250% 7/1/23 (4) 500   583  
  Illinois Sales Tax Revenue 5.000% 6/15/28 (15) 1,000   1,156  
  Illinois Sales Tax Revenue 5.000% 6/15/36   1,000   1,128  
  Illinois Sales Tax Revenue 5.000% 6/15/37   1,000   1,125  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/28   500   500  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/29   1,600   2,028  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/30   1,490   1,877  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/30   3,500   4,486  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/30   1,000   1,100  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/31   1,600   2,004  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/32   500   549  
  Illinois Toll Highway Authority Revenue 5.000% 1/1/37   1,200   1,450  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue 0.000% 6/15/21 (14) 1,100   1,074  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue 0.000% 6/15/26 (4) 910   790  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue 0.000% 6/15/27 (4) 1,195   1,006  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue 5.500% 6/15/29 (14) 2,505   3,035  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue 0.000% 12/15/29 (14) 2,205   1,669  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue 0.000% 6/15/38 (14) 1,000   537  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 5.000% 12/15/27   710   829  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 5.000% 12/15/28   1,500   1,604  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 0.000% 6/15/31 (14) 1,540   1,096  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 0.000% 12/15/31 (14) 340   237  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 0.000% 6/15/32 (14) 1,215   830  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 0.000% 6/15/33 (14) 1,130   741  

 

  38  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 0.000% 12/15/33 (14) 1,790   1,153  
  Metropolitan Pier & Exposition Authority Illinois Dedicated Sales Tax Revenue (McCormick Place Expansion Project) 0.000% 6/15/37 (14) 1,075   602  
  Northern Illinois Municipal Power Agency Project Revenue 5.000% 12/1/26   1,070   1,303  
  Railsplitter Tobacco Settlement Authority Illinois Tobacco Settlement Revenue 5.250% 6/1/20   1,215   1,234  
  Railsplitter Tobacco Settlement Authority Illinois Tobacco Settlement Revenue 5.500% 6/1/21 (Prere.) 1,060   1,125  
  Railsplitter Tobacco Settlement Authority Illinois Tobacco Settlement Revenue 6.000% 6/1/21 (Prere.) 400   427  
  Railsplitter Tobacco Settlement Authority Illinois Tobacco Settlement Revenue 5.000% 6/1/26   1,560   1,883  
  Romeoville IL Revenue (Lewis University Project) 5.000% 10/1/28   1,000   1,122  
  Southwestern Illinois Development Authority Health Facilities Revenue (Hospital Sisters Services Inc.) 5.000% 2/15/28   1,000   1,251  
  Will County IL Community High School District No. 210 (Lincoln-Way) GO 0.000% 1/1/29   1,000   774  
  Will County IL Community High School District No. 210 (Lincoln-Way) GO 5.000% 1/1/30   1,000   1,066  
              149,647  
Indiana (0.6%)              
  Ball State University Student Fee Indiana Revenue 5.000% 7/1/32   360   439  
  Ball State University Student Fee Indiana Revenue 5.000% 7/1/34   1,050   1,274  
  Ball State University Student Fee Indiana Revenue 5.000% 7/1/35   1,450   1,757  
  Hammond IN Multi-School Building Corp. Revenue 5.000% 1/15/29   790   968  
  Indiana Finance Authority Hospital Revenue (Indiana University Health Obligated Group) 5.000% 12/1/22   1,100   1,221  
  Indiana Finance Authority Hospital Revenue (Indiana University Health Obligated Group) 5.000% 12/1/33   1,390   1,615  
  Indiana Finance Authority Hospital Revenue (Parkview Health Systems Obligated Group) 5.000% 5/1/27   700   866  
  Indiana Finance Authority Hospital Revenue (Parkview Health Systems Obligated Group) 5.000% 5/1/30   450   582  
  Indiana Finance Authority Revenue (Butler University Project) 5.000% 2/1/29   1,020   1,287  
  Indiana Finance Authority Revenue (Community Foundation of Northwest Indiana Obligated Group) 5.000% 3/1/22 (Prere.) 690   747  
  Indiana Finance Authority Revenue (Franciscan Alliance Inc.) 5.000% 11/1/29   1,175   1,445  
  Indiana Finance Authority Revenue (Franciscan Alliance Inc.) 5.000% 11/1/30   1,520   1,859  
  Indiana Finance Authority Revenue (Franciscan Alliance Inc.) 5.000% 11/1/31   1,130   1,374  

 

  39  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Indiana Finance Authority Revenue (Franciscan Alliance Inc.) 4.000% 11/1/35   1,685   1,865  
  Indiana Finance Authority Revenue (Marquette Project) 5.000% 3/1/24   1,645   1,818  
  Indiana Finance Authority Revenue (Marquette Project) 5.000% 3/1/25   650   731  
  Indiana Finance Authority Revenue (Stadium Project) 5.250% 2/1/30   1,000   1,199  
  Indiana Finance Authority Revenue (State Revolving Fund) 5.000% 2/1/23 (Prere.) 500   559  
  Indiana Finance Authority Wastewater Utility Revenue (CWA Authority Project) 5.000% 10/1/32   500   547  
  Indiana Municipal Power Agency Revenue 5.000% 1/1/34   1,415   1,687  
  Indiana Municipal Power Agency Revenue 5.000% 1/1/36   1,000   1,206  
  Indiana University Student Fee Revenue 5.000% 6/1/30   1,600   1,741  
  Indianapolis IN Department of Public Utilities Water System Revenue 5.000% 10/1/35   1,425   1,784  
  Indianapolis IN Local Public Improvement Bond Bank Revenue (PILOT Infrastructure Project) 5.000% 1/1/20 (Prere.) 1,500   1,500  
  IPS Multi-School Building Corp. IN Revenue 5.000% 7/15/28   1,375   1,603  
  Ivy IN Tech Community College Revenue 5.000% 7/1/32   865   1,078  
  Ivy IN Tech Community College Revenue 5.000% 7/1/33   860   1,068  
  Purdue University Indiana University Student Facilities System Revenue 5.000% 7/1/21   870   921  
  Richmond IN Hospital Authority Revenue (Reid Hospital & Health Care Services Inc.) 5.000% 1/1/24   720   812  
  Tippecanoe County IN School Building Corp. Revenue 4.000% 7/15/32   1,070   1,237  
              36,790  
Iowa (0.1%)              
  Iowa Finance Authority Health Facilities Revenue (Mercy Medical Center Project) 5.000% 8/15/27   1,435   1,550  
  Iowa Finance Authority Midwestern Disaster Area Revenue (Iowa Fertilizer Co. Project) 3.125% 12/1/22   250   254  
5 Iowa Finance Authority Midwestern Disaster Area Revenue (Iowa Fertilizer Co. Project) 5.875% 12/1/27   320   333  
  Iowa Finance Authority Midwestern Disaster Area Revenue (Iowa Fertilizer Co. Project) PUT 5.250% 12/1/37   2,120   2,331  
  Polk County IA GO 4.000% 6/1/25   2,115   2,256  
  Xenia IA Rural Water District Revenue 5.000% 12/1/28   1,000   1,181  
              7,905  
Kansas (0.5%)              
  Johnson County KS Public Building Commission (Courthouse & Medical Examiners Facilities) Revenue 4.000% 9/1/27   1,000   1,159  
5 Johnson County KS Water District Revenue TOB PUT 1.690% 1/2/20   12,420   12,420  
  Kansas Department of Transportation Highway Revenue 5.000% 9/1/20   1,085   1,113  
  Kansas Department of Transportation Highway Revenue 5.000% 9/1/25   510   598  

 

  40  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Kansas Department of Transportation Highway Revenue 5.000% 9/1/26   700   818  
  Kansas Development Finance Authority Revenue 5.000% 5/1/20   1,520   1,539  
  Kansas Development Finance Authority Revenue 5.000% 5/1/25   1,345   1,504  
  Kansas Development Finance Authority Revenue 5.000% 5/1/27   1,585   1,767  
  Kansas Development Finance Authority Revenue 5.000% 4/1/32   1,325   1,465  
  Lyon County KS Unified School District No 253. GO 4.000% 9/1/32   350   397  
  Sedgwick County KS Unified School District No. 266 (Maize) GO 5.000% 9/1/23   1,565   1,783  
  Sedgwick County KS Unified School District No. 266 (Maize) GO 3.000% 9/1/33   2,090   2,178  
  Wichita KS Hospital Facilities Revenue (Via Christi Health System Inc.) 5.000% 11/15/21 (Prere.) 500   535  
  Wyandotte County/Kansas City KS Unified Government Utility System Revenue 5.000% 9/1/23   1,000   1,097  
              28,373  
Kentucky (0.6%)              
  Carroll County KY Pollution Control Revenue (Kentucky Utilities Co. Project) PUT 1.550% 9/1/26   1,000   991  
  Kentucky Bond Development Corp. Transient Room Tax Revenue (Lexington Center Corporation Project) 5.000% 9/1/29   1,980   2,465  
  Kentucky Economic Development Finance Authority Health System Revenue (Norton Healthcare Inc. & Affiliates) 0.000% 10/1/25 (14) 1,220   1,071  
  Kentucky Economic Development Finance Authority Hospital Revenue (Baptist Healthcare System Obligated Group) 5.000% 8/15/31   1,575   1,856  
  Kentucky Economic Development Finance Authority Medical Center Revenue (King’s Daughters Medical Center Project) 5.000% 2/1/30   645   647  
  Kentucky Municipal Power Agency Power System Revenue 5.000% 9/1/29 (14) 1,000   1,162  
  Kentucky Property & Building Commission Revenue 5.000% 5/1/34 (15) 1,000   1,209  
  Kentucky Public Energy Authority Gas Supply Revenue PUT 4.000% 4/1/24   9,105   9,910  
  Kentucky Public Energy Authority Gas Supply Revenue PUT 4.000% 1/1/25   6,000   6,626  
  Kentucky Public Energy Authority Gas Supply Revenue PUT 4.000% 6/1/25   1,000   1,108  
  Kentucky Public Energy Authority Gas Supply Revenue PUT 4.000% 6/1/25   1,200   1,329  
  Kentucky Public Transportation Infrastructure Authority Toll Revenue (Downtown Crossing Project) BAN 0.000% 7/1/21   1,325   1,284  
  Kentucky Public Transportation Infrastructure Authority Toll Revenue (Downtown Crossing Project) BAN 0.000% 7/1/22   810   766  

 

  41  

 

 

Tax-Managed Balanced Fund

 

 

 
        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Kentucky Turnpike Authority Economic Development Road Revenue (Revitalization Project) 5.000% 7/1/28   1,000   1,116  
  Louisville & Jefferson County KY Metropolitan Government Revenue (Catholic Health Initiatives) 5.000% 6/1/22 (Prere.) 1,000   1,088  
  Owen County KY Revenue (American Water Capital Corp.) PUT 2.450% 10/1/29   500   508  
  Owen County KY Revenue (American Water Capital Corp.) PUT 2.450% 10/1/29   1,000   1,016  
  Warren County KY Hospital Revenue (Bowling Green-Warren County Community Hospital Corp. Project) 5.000% 4/1/28   1,050   1,161  
              35,313  
Louisiana (1.2%)              
  Bossier City LA Utilities Revenue 5.000% 10/1/22   500   550  
  Bossier City LA Utilities Revenue 5.000% 10/1/23   595   674  
  East Baton Rouge Parish LA Industrial Development Board Revenue (ExxonMobil Project) VRDO 1.590% 1/2/20   43,650   43,650  
  East Baton Rouge Parish LA Industrial Development Board Revenue (ExxonMobil Project) VRDO 1.590% 1/2/20   1,975   1,975  
  East Baton Rouge Parish LA Pollution Control Revenue (Exxon Project) VRDO 1.590% 1/3/20   8,400   8,400  
  Louisiana Gasoline & Fuel Tax Revenue 4.000% 5/1/31   1,000   1,055  
  Louisiana Gasoline & Fuel Tax Revenue 5.000% 5/1/35   1,065   1,305  
  Louisiana GO 5.000% 4/1/24   2,625   3,036  
  Louisiana Local Government Environmental Facilities & Community Development Authority Revenue 5.000% 10/1/29 (15) 1,315   1,642  
  Louisiana Local Government Environmental Facilities & Community Development Authority Revenue (LCTCS Facilities Corp. Project) 5.000% 10/1/33   1,235   1,410  
  Louisiana Public Facilities Authority Hospital Revenue (Louisiana Children’s Medical Center) 5.000% 6/1/36   1,250   1,502  
  Louisiana Stadium & Exposition District Revenue 5.000% 7/1/24   1,000   1,125  
  Louisiana State University Revenue 5.000% 7/1/23   455   513  
  New Orleans LA Aviation Board Revenue 5.000% 10/1/27 (4) 910   1,117  
  New Orleans LA GO 5.000% 12/1/31   500   548  
  St. Charles Parish LA Gulf Opportunity Zone Revenue (Valero Energy Corp.) PUT 4.000% 6/1/22   1,755   1,848  
              70,350  
Maine (0.1%)              
  Maine Health & Higher Educational Facilities Authority Revenue (Mainehealth) 5.000% 7/1/29   445   552  
  Maine Health & Higher Educational Facilities Authority Revenue (Mainehealth) 5.000% 7/1/30   600   740  
  Portland ME Airport Revenue 5.000% 1/1/20 (4) 500   500  
 

Portland ME General Airport Revenue

4.000% 1/1/39   810   921  
              2,713  

 

  42  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
Maryland (1.6%)              
  Anne Arundel County MD GO 5.000% 10/1/20   1,455   1,497  
  Anne Arundel County MD GO 5.000% 4/1/23   1,190   1,338  
  Anne Arundel County MD GO 5.000% 10/1/27   1,455   1,754  
  Anne Arundel County MD GO 5.000% 4/1/33   1,000   1,175  
  Baltimore County MD GO 5.000% 2/1/21   1,500   1,563  
  Baltimore County MD GO 5.000% 8/1/21   1,435   1,523  
  Baltimore County MD GO 4.000% 3/1/30   1,200   1,388  
  Baltimore MD Consolidated Public Improvement GO 5.000% 10/15/22 (Prere.) 650   720  
  Baltimore MD Consolidated Public Improvement GO 5.000% 3/1/32   1,275   1,638  
  Baltimore MD Project Revenue 5.000% 7/1/24   2,095   2,445  
  Howard County MD GO 5.000% 2/15/21 (Prere.) 750   783  
  Howard County MD GO 5.000% 8/15/21 (Prere.) 80   85  
  Howard County MD GO 5.000% 8/15/24   120   128  
  Maryland Department of Transportation Revenue 5.000% 2/15/20   1,090   1,095  
  Maryland Department of Transportation Revenue 5.000% 5/1/20   2,240   2,269  
  Maryland Department of Transportation Revenue 4.000% 12/1/23   1,905   2,009  
  Maryland Department of Transportation Revenue 4.000% 12/15/29   1,365   1,504  
  Maryland Department of Transportation Revenue 3.000% 10/1/30   2,620   2,796  
  Maryland GO 5.000% 8/1/20 (Prere.) 870   890  
  Maryland GO 5.250% 8/1/20   1,130   1,157  
  Maryland GO 5.000% 6/1/21   2,525   2,664  
  Maryland GO 4.000% 8/1/21   1,000   1,046  
  Maryland GO 5.000% 8/1/21   1,000   1,062  
  Maryland GO 5.000% 3/15/22   1,000   1,085  
  Maryland GO 5.000% 8/1/22   4,000   4,398  
  Maryland GO 5.000% 8/1/22   1,500   1,649  
  Maryland GO 5.000% 8/1/22   1,790   1,968  
  Maryland GO 5.000% 3/15/23   1,145   1,286  
  Maryland GO 4.000% 8/1/23   2,670   2,942  
  Maryland GO 5.000% 8/1/23   1,670   1,899  
  Maryland GO 5.000% 8/1/23   1,920   2,183  
  Maryland GO 5.000% 3/15/24   1,100   1,275  
  Maryland GO 5.000% 8/1/25   1,000   1,206  
  Maryland GO 5.000% 3/15/26   1,235   1,511  
  Maryland GO 4.000% 8/1/26   1,970   2,160  
  Maryland GO 4.000% 3/1/29   3,000   3,163  
  Maryland GO 4.000% 6/1/29   2,000   2,218  
  Maryland GO 5.000% 3/15/31   1,600   2,016  
  Maryland GO 5.000% 8/1/31   1,000   1,270  
  Maryland Health & Higher Educational Facilities Authority Revenue (Adventist Healthcare Obligated Group) 5.500% 1/1/31   1,950   2,368  
  Maryland Health & Higher Educational Facilities Authority Revenue (Anne Arundel Health System) 5.000% 7/1/27   500   545  

 

 

  43  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Maryland Health & Higher Educational Facilities Authority Revenue (Anne Arundel Health System) 5.000% 7/1/31   750   903  
  Maryland Health & Higher Educational Facilities Authority Revenue (Johns Hopkins Health System Obligated Group) 5.000% 7/1/24   500   548  
  Maryland Health & Higher Educational Facilities Authority Revenue (Maryland Institute College of Art) 5.000% 6/1/20   500   508  
  Maryland Health & Higher Educational Facilities Authority Revenue (Meritus Medical Center, Inc.) 5.000% 7/1/33   1,215   1,403  
  Montgomery County MD GO 5.000% 11/1/22   1,275   1,414  
  Montgomery County MD GO 5.000% 11/1/22   1,000   1,109  
  Montgomery County MD GO 5.000% 11/1/23   2,885   3,306  
  Montgomery County MD GO 4.000% 11/1/28   2,390   2,828  
  Montgomery County MD GO 5.000% 11/1/29   1,000   1,169  
  Montgomery County MD GO 4.000% 11/1/30   1,000   1,113  
  Montgomery County MD GO 4.000% 12/1/30   1,555   1,734  
  Montgomery County MD GO 3.750% 11/1/37   1,000   1,103  
  Prince Georges County MD GO 5.000% 7/15/22   1,615   1,773  
  Prince Georges County MD GO 5.000% 9/15/23   580   618  
  University of Maryland Auxiliary Facility & Tuition Revenue 4.000% 4/1/25   3,350   3,826  
  Washington MD Suburban Sanitary Commission GO 4.000% 6/15/33   1,000   1,147  
              92,173  
Massachusetts (1.2%)              
  Boston MA GO 5.000% 4/1/20   780   788  
  Massachusetts Bay Transportation Authority Assessment Revenue 5.000% 7/1/27   2,880   3,544  
  Massachusetts Bay Transportation Authority Sales Tax Revenue 5.250% 7/1/22   495   546  
  Massachusetts Bay Transportation Authority Sales Tax Revenue 5.500% 7/1/26 (14) 410   519  
  Massachusetts Bay Transportation Authority Sales Tax Revenue 5.250% 7/1/28   500   652  
  Massachusetts Bay Transportation Authority Sales Tax Revenue 5.000% 7/1/31   955   1,274  
  Massachusetts Bay Transportation Authority Sales Tax Revenue 5.250% 7/1/34   1,285   1,810  
  Massachusetts Department of Transportation Metropolitan Highway System Revenue 5.000% 1/1/23   500   500  
  Massachusetts Department of Transportation Metropolitan Highway System Revenue PUT 5.000% 1/1/23   1,000   1,110  
  Massachusetts Development Finance Agency Revenue (Boston College) 5.000% 7/1/37   1,750   2,123  
  Massachusetts Development Finance Agency Revenue (CareGroup Inc.) 5.000% 7/1/29   1,225   1,524  
  Massachusetts Development Finance Agency Revenue (CareGroup Inc.) 5.000% 7/1/38   1,085   1,306  
  Massachusetts Development Finance Agency Revenue (Emerson College) 5.500% 1/1/20 (Prere.) 410   410  

 

  44  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Massachusetts Development Finance Agency Revenue (Emerson College) 5.500% 1/1/20 (Prere.) 40   40  
  Massachusetts Development Finance Agency Revenue (Harvard University) 5.000% 1/1/20   355   355  
  Massachusetts Development Finance Agency Revenue (Lahey Clinic Obligated Group) 5.000% 8/15/20 (Prere.) 750   768  
  Massachusetts Development Finance Agency Revenue (Lahey Clinic Obligated Group) 5.000% 8/15/20 (Prere.) 510   522  
  Massachusetts Development Finance Agency Revenue (Lahey Clinic Obligated Group) 5.000% 8/15/20 (Prere.) 600   614  
  Massachusetts Development Finance Agency Revenue (Lahey Clinic Obligated Group) 5.000% 7/1/34   500   620  
  Massachusetts Development Finance Agency Revenue (UMass Memorial Medical Center) 5.000% 7/1/25   1,275   1,508  
  Massachusetts Development Finance Agency Revenue (UMass Memorial Medical Center) 5.125% 7/1/26   720   759  
  Massachusetts Development Finance Agency Revenue (Western New England University) 5.000% 9/1/32   1,105   1,332  
  Massachusetts Educational Financing Authority Education Loan Revenue 5.500% 1/1/22   300   300  
  Massachusetts GO 5.000% 8/1/20   520   532  
  Massachusetts GO 5.250% 8/1/20   300   307  
  Massachusetts GO 5.500% 10/1/20   525   542  
  Massachusetts GO 5.500% 10/1/20 (14) 500   517  
  Massachusetts GO 5.000% 4/1/21 (Prere.) 500   524  
  Massachusetts GO 5.000% 8/1/22   1,000   1,100  
  Massachusetts GO 5.250% 8/1/23   525   602  
  Massachusetts GO 5.000% 12/1/23   1,520   1,748  
  Massachusetts GO 5.000% 12/1/24   2,040   2,418  
  Massachusetts GO 5.000% 5/1/29   2,180   2,449  
  Massachusetts GO 4.000% 11/1/30   1,980   2,118  
  Massachusetts GO 5.000% 1/1/31   1,000   1,246  
  Massachusetts GO 5.000% 5/1/31   1,675   1,881  
  Massachusetts GO 5.000% 9/1/31   1,500   2,012  
  Massachusetts GO 5.250% 1/1/34   2,635   3,389  
  Massachusetts GO 5.000% 7/1/35   1,000   1,181  
  Massachusetts GO 5.000% 9/1/37   1,030   1,275  
2 Massachusetts GO, 67% of 3M USD LIBOR + 0.550% 1.830% 11/1/25   1,380   1,389  
  Massachusetts Port Authority Revenue 5.000% 7/1/35   2,380   3,026  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 10/15/20   335   345  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 5/15/21 (ETM) 900   948  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 8/15/23   645   710  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 8/15/29   3,500   3,843  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 8/15/31   1,500   1,782  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 4.000% 8/15/32   600   671  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 4.750% 8/15/32   1,500   1,742  

 

  45  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 8/15/34   1,010   1,193  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 2/15/36   1,500   1,704  
  Massachusetts School Building Authority Dedicated Sales Tax Revenue 5.000% 8/15/37   2,215   2,600  
  Massachusetts Special Obligation Dedicated Tax Revenue 5.500% 1/1/26 (14) 510   629  
  Massachusetts Transportation Fund Revenue 4.000% 6/1/35   1,000   1,152  
  Massachusetts Turnpike Authority Revenue (Metropolitan Highway System) 0.000% 1/1/29 (14) 420   349  
  Massachusetts Water Pollution Abatement Trust Revenue 5.250% 8/1/20   250   256  
  Massachusetts Water Pollution Abatement Trust Revenue 5.250% 8/1/21   500   533  
  Massachusetts Water Pollution Abatement Trust Revenue 5.250% 8/1/30   750   1,016  
  Massachusetts Water Resources Authority Revenue 5.000% 8/1/20 (Prere.) 895   915  
              71,568  
Michigan (1.5%)              
  Battle Creek MI School District GO 5.000% 5/1/25   535   635  
  Birmingham MI City School District GO 5.000% 5/1/22   740   807  
  Chippewa Valley MI Schools GO 5.000% 5/1/33   1,000   1,181  
  Dearborn MI School District GO 5.000% 5/1/34   1,200   1,351  
  Detroit MI City School District GO 5.250% 5/1/28 (4) 615   783  
  Detroit MI Downtown Development Authority Tax Allocation Revenue 5.000% 7/1/35 (4) 1,120   1,251  
  Detroit MI Water & Sewerage Department Sewage Disposal System Revenue 5.000% 7/1/22   455   495  
  Detroit MI Water & Sewerage Department Sewage Disposal System Revenue 5.000% 7/1/23   1,050   1,144  
  Detroit MI Water & Sewerage Department Sewage Disposal System Revenue 5.000% 7/1/32   1,000   1,077  
  Downriver MI Utility Wastewater Authority Revenue 5.000% 4/1/34 (4) 1,020   1,224  
  Great Lakes MI Water Authority Sewer Disposal System Revenue 5.000% 7/1/27   1,840   2,295  
  Great Lakes MI Water Authority Sewer Disposal System Revenue 5.000% 7/1/28   1,205   1,531  
  Great Lakes MI Water Authority Sewer Disposal System Revenue 5.000% 7/1/29   1,200   1,504  
  Great Lakes MI Water Authority Sewer Disposal System Revenue 5.000% 7/1/31   1,645   1,949  
  Great Lakes MI Water Authority Sewer Disposal System Revenue 5.000% 7/1/37   1,000   1,219  
  Great Lakes MI Water Authority Water Supply System Revenue 5.000% 7/1/28   1,030   1,239  
  Great Lakes MI Water Authority Water Supply System Revenue 5.000% 7/1/29   1,420   1,833  
  Great Lakes MI Water Authority Water Supply System Revenue 4.000% 7/1/33 (4) 1,000   1,093  
  Hudsonville MI Public Schools GO 5.000% 5/1/31   420   511  

 

  46  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Karegnondi Water Authority Michigan Water Supply System Revenue (Karegnondi Water Pipeline) 5.000% 11/1/29   625   763  
  Lake Orion MI Community School District GO 5.000% 5/1/38   4,000   4,935  
  Lincoln MI Consolidated School District GO 5.000% 5/1/24 (4) 1,000   1,159  
  Marysville MI Public Schools District GO 5.000% 5/1/28   1,630   1,962  
  Michigan Building Authority Revenue 5.000% 4/15/24   1,550   1,799  
  Michigan Building Authority Revenue 5.000% 10/15/32   1,340   1,612  
  Michigan Building Authority Revenue 5.000% 4/15/33   1,000   1,174  
  Michigan Building Authority Revenue 5.000% 4/15/36   1,150   1,373  
  Michigan Environmental Program GO 4.000% 5/1/28   1,000   1,157  
  Michigan Finance Authority Hospital Revenue Bonds (Trinity Health Credit Group) 5.000% 12/1/21 (Prere.) 920   987  
  Michigan Finance Authority Revenue 5.000% 10/1/22   500   531  
  Michigan Finance Authority Revenue 5.000% 11/1/28   1,055   1,339  
  Michigan Finance Authority Revenue 5.000% 10/1/34   2,565   3,244  
  Michigan Finance Authority Revenue (Detroit Water & Sewer) 5.000% 7/1/22 (4) 1,000   1,094  
  Michigan Finance Authority Revenue (Detroit Water & Sewer) 5.000% 7/1/23 (4) 1,000   1,130  
  Michigan Finance Authority Revenue (Detroit Water & Sewer) 5.000% 7/1/28   750   880  
  Michigan Finance Authority Revenue (Detroit Water & Sewer) 5.000% 7/1/29   1,500   1,730  
  Michigan Finance Authority Revenue (Detroit Water & Sewer) 5.000% 7/1/33   1,000   1,136  
  Michigan Finance Authority Revenue (Henry Ford Health System Obligated Group) 5.000% 11/15/26   1,210   1,483  
  Michigan Finance Authority Revenue (Kalamazoo College Project) 5.000% 12/1/26   850   1,038  
  Michigan Finance Authority Revenue (Kalamazoo College Project) 5.000% 12/1/27   965   1,198  
  Michigan Finance Authority Revenue (McLaren Health Care Corp.) 5.000% 2/15/34   1,700   2,111  
  Michigan Finance Authority Revenue (Sparrow Obligated Group) 5.000% 11/15/27   500   549  
  Michigan Finance Authority Revenue (Sparrow Obligated Group) 5.000% 11/15/36   500   544  
  Michigan Finance Authority Revenue (State Clean Water Revolving Fund) 5.000% 10/1/22 (Prere.) 1,000   1,105  
  Michigan Finance Authority Revenue (State Clean Water Revolving Fund) 5.000% 10/1/22 (Prere.) 500   553  
  Michigan Finance Authority Revenue (State Clean Water Revolving Fund) 5.000% 10/1/22   2,165   2,395  
  Michigan Finance Authority Revenue (State Clean Water Revolving Fund) 5.000% 10/1/33   4,435   5,622  
  Michigan Finance Authority Revenue (State Clean Water Revolving Fund) 5.000% 10/1/36   2,000   2,513  
  Michigan Finance Authority Revenue (Trinity Health Credit Group) 5.000% 6/1/22 (Prere.) 1,495   1,631  
  Michigan State University Revenue 5.000% 8/15/20   1,040   1,065  
  Michigan Trunk Line Revenue 5.000% 11/1/21   500   502  
  Oakland University MI Revenue 5.000% 3/1/30   1,250   1,487  
  Portage MI Public Schools GO 5.000% 11/1/34   1,250   1,484  

 

  47  

 

 

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value  
    Coupon Date   ($000 ) ($000 )
  Roseville MI School District GO 5.000% 5/1/34   1,665   1,921  
  Royal Oak MI Hospital Finance Authority Hospital Revenue (William Beaumont Hospital) 5.000% 9/1/25   1,450   1,659  
  University of Michigan Revenue 5.000% 4/1/32   2,010   2,482  
  Wayne County MI Airport Authority Revenue 5.000% 12/1/25   870   1,045  
  Wayne County MI Airport Authority Revenue 5.000% 12/1/30   1,300   1,550  
              85,064  
Minnesota (0.6%)              
  Bloomington MN Independent School District No. 271 GO 5.000% 2/1/22   2,010   2,172  
  Duluth MN Independent School District No. 709 COP 5.000% 2/1/27   365   444  
  Duluth MN Independent School District No. 709 COP 5.000% 2/1/28   350   433  
  Farmington MN Independent School District No. 192 GO 5.000% 2/1/21   1,800   1,875  
  Hennepin County MN GO 5.000% 12/15/33   1,365   1,741  
  Minneapolis & St. Paul MN Metropolitan Airports Commission Revenue 5.000% 1/1/26   375   456  
  Minneapolis & St. Paul MN Metropolitan Council Wastewater GO 5.000% 3/1/21   1,465   1,532  
  Minneapolis MN Special School District No. 1 COP 5.000% 2/1/26   1,855   2,068  
  Minnesota GO 5.000% 10/1/21   1,925   2,056  
  Minnesota GO 5.000% 8/1/22   1,500   1,649  
  Minnesota GO 5.000% 8/1/24   1,615   1,894  
  Minnesota GO 5.000% 8/1/25   1,500   1,810  
  Minnesota GO 5.000% 8/1/27   1,005   1,206  
  Minnesota GO 5.000% 8/1/31   1,075   1,396  
  Minnesota GO 4.000% 8/1/35   1,000   1,151  
  Minnesota Higher Education Facilities Authority Revenue (Hamline University) 5.000% 10/1/35   595   677  
  Minnesota Housing Finance Agency Residential Housing Revenue 2.800% 12/1/47   1,716   1,742  
  Osseo MN Independent School District No. 279 GO 5.000% 2/1/28   1,000   1,238  
  Rochester MN Health Care Facilities Revenue (Mayo Clinic) 5.000% 11/15/31   1,000   1,337  
  St. Francis MN Independent School District No. 15 GO 5.000% 2/1/26   385   428  
  St. Francis MN Independent School District No. 15 GO 5.000% 2/1/27   485   539  
  St. Francis MN Independent School District No. 15 GO 4.000% 2/1/29   515   552  
  St. Francis MN Independent School District No. 15 GO 4.000% 2/1/30   550   587  
  St. Francis MN Independent School District No. 15 GO 4.000% 2/1/32   775   823  
  University of Minnesota Revenue 5.250% 12/1/20 (Prere.) 500   519  
  University of Minnesota Revenue 5.000% 4/1/23   1,115   1,254  
  West St. Paul MN Independent School District No. 197 Revenue (Mendota Heights-Eagan) 4.000% 2/1/28   1,000   1,165  
              32,744  

 

  48  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
Mississippi (0.5%)              
  Mississippi Business Finance Corp. Gulf Opportunity Zone Industrial Development Revenue (Chevron USA Inc. Project) VRDO 1.600% 1/2/20   12,720   12,720  
  Mississippi Business Finance Corp. Gulf Opportunity Zone Industrial Development Revenue (Chevron USA Inc. Project) VRDO 1.600% 1/2/20   1,000   1,000  
  Mississippi Development Bank Special Obligation Revenue (Marshall County Industrial Development Highway Refunding Project) 5.000% 1/1/26   1,335   1,607  
  Mississippi Development Bank Special Obligation Revenue (Rankin County School District) 5.000% 6/1/27   500   621  
  Mississippi Development Bank Special Obligation Revenue (Rankin County School District) 5.000% 6/1/30   1,745   2,144  
  Mississippi Gaming Tax Revenue 5.000% 10/15/36   1,500   1,848  
  Mississippi GO 5.000% 11/1/29   1,000   1,196  
  Mississippi Hospital Equipment & Facilities Authority Revenue (Forrest General Hospital Inc.) 5.000% 1/1/29   830   1,032  
  Mississippi Hospital Equipment & Facilities Authority Revenue (Forrest General Hospital Inc.) 5.000% 1/1/30   625   786  
  Mississippi Institutions of Higher Learning Revenue (University of Mississippi Medical Center) 4.000% 6/1/34   1,000   1,118  
  Mississippi State University Educational Building Corp. Revenue 5.000% 8/1/23 (Prere.) 1,000   1,138  
  Mississippi State University Educational Building Corp. Revenue 5.000% 8/1/30   575   710  
  Mississippi State University Educational Building Corp. Revenue 5.000% 8/1/31   495   609  
              26,529  
Missouri (0.4%)              
  Bi-State Development Agency of the Missouri-Illinois Metropolitan District Mass Transit Sales Tax Revenue 4.000% 10/1/34   1,530   1,797  
  Columbia MO Water & Electric System Revenue 3.000% 10/1/31   1,285   1,345  
  Jackson County MO School District No. 4 GO (Blue Springs) 6.000% 3/1/38   1,000   1,346  
  Jackson County MO Special Obligation Revenue (Truman Sports Complex Project) 5.000% 12/1/26   1,190   1,385  
  Kansas City MO Sanitary Sewer System Revenue 5.000% 1/1/32   1,000   1,245  
  Little Blue Valley MO Sewer District Revenue 3.000% 9/1/33   1,505   1,581  
  Metropolitan St. Louis MO Sewer District Wastewater System Revenue 5.000% 5/1/34   500   612  
  Missouri Health & Educational Facilities Authority Educational Facilities Revenue (St. Louis College of Pharmacy Project) 5.000% 5/1/30   500   542  

 

  49  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  Missouri Health & Educational Facilities Authority Educational Facilities Revenue (St. Louis College of Pharmacy Project) 5.000% 5/1/34   880   947  
  Missouri Health & Educational Facilities Authority Health Facilities Revenue (SSM Health System) 5.000% 6/1/25   1,480   1,709  
  Missouri Health & Educational Facilities Authority Health Facilities Revenue (St. Luke’s Health System) 5.000% 12/1/31   1,000   1,258  
  Missouri Health & Educational Facilities Authority Revenue (Children’s Mercy Hospital) 5.000% 5/15/36   1,100   1,280  
  Missouri Health & Educational Facilities Authority Revenue (Mercy Health) 5.000% 11/15/34   1,500   1,719  
  Missouri Highways & Transportation Commission Road Revenue 5.000% 2/1/23   710   794  
  Missouri Joint Municipal Electric Utility Commission Power Project Revenue (Iatan 2 Project) 5.000% 12/1/34   1,425   1,653  
  Missouri Joint Municipal Electric Utility Commission Power Project Revenue (Prairie Project) 5.000% 12/1/34   1,000   1,184  
  St. Louis MO Parking Revenue 5.000% 12/15/23 (4) 715   809  
  St. Louis MO Sewer & Wastewater Revenue 5.000% 5/1/36   1,000   1,173  
              22,379  
Montana (0.0%)              
  Montana Facility Finance Authority Hospital Revenue (Benefis Health System) 5.000% 2/15/32   825   972  
                 
Multiple States (0.2%)              
6 Federal Home Loan Mortgage Corp. Multifamily Housing Revenue 3.400% 1/25/36   500   545  
6 Federal Home Loan Mortgage Corp. Multifamily Housing Revenue VRDO 2.650% 1/2/20 LOC 1,300   1,331  
6 Federal Home Loan Mortgage Corp. Multifamily Housing Revenue VRDO 2.650% 1/9/20   1,595   1,639  
6 Federal Home Loan Mortgage Corp. Multifamily Housing Revenue VRDO 2.600% 9/15/33 LOC 2,000   2,055  
6 Federal Home Loan Mortgage Corp. Multifamily Housing Revenue VRDO 2.625% 6/15/35 LOC 1,995   2,051  
6 Federal Home Loan Mortgage Corp. Multifamily Housing Revenue VRDO 2.650% 6/15/35   1,390   1,423  
              9,044  
Nebraska (0.4%)              
  Central Plains Energy Project Nebraska Gas Project Revenue (Project No. 3) 5.000% 9/1/27   1,000   1,202  
  Central Plains Energy Project Nebraska Gas Project Revenue (Project No. 4) PUT 5.000% 1/1/24   3,500   3,912  
  Central Plains Energy Project Nebraska Gas Supply Revenue PUT 4.000% 8/1/25   2,200   2,462  
  Lincoln County NE Hospital Authority No. 1 Hospital Revenue (Great Plains Regional Medical Center Project) 5.000% 11/1/23   750   796  
  Lincoln NE Electric System Revenue 5.000% 9/1/22 (Prere.) 135   148  
  Lincoln NE Electric System Revenue 5.000% 9/1/25   275   303  

 

  50  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  Municipal Energy Agency of Nebraska Power Supply System Revenue 5.000% 4/1/31   345   371  
  Nebraska Public Power District Revenue 5.000% 1/1/30   1,000   1,068  
  Nebraska Public Power District Revenue 5.000% 1/1/32   1,500   1,600  
  Omaha NE Public Power District Electric Revenue 4.000% 2/1/22 (Prere.) 1,675   1,776  
  Omaha NE Public Power District Electric Revenue 5.000% 2/1/29   1,270   1,528  
  Omaha NE Public Power District Electric Revenue 5.000% 2/1/36   3,560   4,361  
  Omaha NE Sewer Revenue 5.000% 11/15/29   2,500   2,919  
  Scotts Bluff County NE Hospital Authority Revenue (Regional West Medical Center) 5.000% 2/1/24   1,685   1,827  
              24,273  
Nevada (0.7%)              
  Carson City NV Hospital Revenue (Carson Tahoe Regional Medical Center) 5.000% 9/1/26   560   668  
  Carson City NV Hospital Revenue (Carson Tahoe Regional Medical Center) 5.000% 9/1/28   670   810  
  Carson City NV Hospital Revenue (Carson Tahoe Regional Medical Center) 5.000% 9/1/33   1,740   1,870  
  Clark County NV Airport Improvement Revenue 5.000% 7/1/30   1,855   2,375  
  Clark County NV GO 4.000% 6/1/32   1,505   1,719  
  Clark County NV GO 5.000% 7/1/33   1,000   1,101  
  Clark County NV Highway Improvement Motor Vehicle Fuel Tax Revenue 5.000% 7/1/31   1,575   1,807  
  Clark County NV Highway Improvement Motor Vehicle Fuel Tax Revenue 5.000% 7/1/36   1,075   1,300  
  Clark County NV Passenger Facility Charge Revenue (Las Vegas McCarran International Airport) 4.500% 7/1/20   455   455  
  Clark County NV Passenger Facility Charge Revenue (Las Vegas McCarran International Airport) 5.000% 7/1/31   1,000   1,274  
  Clark County NV School District GO 5.000% 6/15/27 (4) 3,000   3,708  
  Clark County NV School District GO 4.000% 6/15/33 (4) 1,820   2,041  
  Clark County NV School District GO 4.000% 12/1/37   1,325   1,499  
  Clark County NV School District GO 4.000% 12/1/38   1,140   1,286  
  Las Vegas Valley Water District Nevada GO 5.000% 6/1/21   2,000   2,110  
  Las Vegas Valley Water District Nevada GO 5.000% 6/1/24   1,190   1,385  
  Las Vegas Valley Water District Nevada GO 5.000% 12/1/27   1,990   2,368  
  Las Vegas Valley Water District Nevada GO 5.000% 6/1/35   1,870   2,238  
  Las Vegas Valley Water District Nevada GO 5.000% 6/1/38   1,000   1,253  
  Las Vegas Valley Water District Nevada GO 5.000% 6/1/39   1,500   1,873  
  Nevada GO 5.000% 4/1/22   1,740   1,889  
  Nevada GO 5.000% 11/1/23   1,465   1,678  
  Nevada GO 5.000% 11/1/25   1,015   1,212  
  Nevada Highway Improvement Revenue (Motor Vehicle Fuel Tax) 4.000% 12/1/32   1,660   1,887  
  Reno NV Sales Tax Revenue (Reno Transportation Rail Access) 5.000% 6/1/27   250   306  
  Reno NV Sales Tax Revenue (Reno Transportation Rail Access) 5.000% 6/1/28   250   311  

 

  51  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  Reno NV Sales Tax Revenue (Reno Transportation Rail Access) 5.000% 6/1/32   250   309  
  Reno NV Sales Tax Revenue (Reno Transportation Rail Access) 5.000% 6/1/33   250   308  
  Truckee Meadows NV Water Authority Water Revenue 5.000% 7/1/34   1,510   1,811  
              42,851  
New Jersey (1.7%)              
  Bergen County NJ GO 5.000% 10/15/21   1,490   1,593  
  Camden County NJ Improvement Authority Health Care Redevelopment Project Revenue Cooper Health System Obligated Group) 5.000% 2/15/27   1,400   1,577  
  Garden State Preservation Trust New Jersey Revenue (Open Space & Farmland Preservation) 0.000% 11/1/21 (4) 500   488  
  Jersey City NJ GO 5.000% 3/1/21   480   500  
  Monmouth County NJ Improvement Authority Revenue 5.000% 12/1/29   1,750   2,313  
  Morris County NJ Improvement Authority School District Revenue (Morris Hills Regional District Project) 5.000% 10/1/23   510   564  
  New Jersey Economic Development Authority Revenue 5.000% 6/15/21   1,000   1,052  
  New Jersey Economic Development Authority Revenue 5.000% 6/15/23   1,000   1,113  
  New Jersey Economic Development Authority Revenue 5.250% 6/15/27   500   579  
  New Jersey Economic Development Authority Revenue 5.500% 6/15/29   2,000   2,393  
  New Jersey Economic Development Authority Revenue 4.000% 6/15/35   500   538  
  New Jersey Economic Development Authority Revenue (Cigarette Tax) 5.000% 6/15/26   1,600   1,711  
  New Jersey Economic Development Authority Revenue (Motor Vehicle Surcharge) 5.250% 7/1/26 (ETM) 95   118  
  New Jersey Economic Development Authority Revenue (Motor Vehicle Surcharge) 5.250% 7/1/26 (14) 405   483  
  New Jersey Economic Development Authority Revenue (School Facilities Construction) 5.250% 9/1/24   300   313  
  New Jersey Economic Development Authority Revenue (School Facilities Construction) 5.500% 9/1/27 (14) 1,000   1,235  
  New Jersey Economic Development Authority Revenue (School Facilities Construction) 5.000% 3/1/28   2,095   2,296  
  New Jersey Economic Development Authority Revenue (School Facilities Construction) 5.000% 6/15/35   700   827  
  New Jersey Health Care Facilities Financing Authority Lease Revenue (Greystone Park Psychiatric Hospital Project) 5.000% 9/15/24   500   557  
  New Jersey Health Care Facilities Financing Authority Revenue (Barnabas Health) 5.000% 7/1/22   1,000   1,093  
  New Jersey Health Care Facilities Financing Authority Revenue (Barnabas Health) 5.000% 7/1/25   900   982  
  New Jersey Health Care Facilities Financing Authority Revenue (Hackensack Meridian Health) 5.000% 7/1/21   640   676  

 

  52  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  New Jersey Health Care Facilities Financing Authority Revenue (St. Joseph’s Healthcare System) 5.000% 7/1/27   1,000   1,178  
  New Jersey Health Care Facilities Financing Authority Revenue (Valley Health System) 5.000% 7/1/29   1,385   1,775  
  New Jersey Higher Education Assistance Authority Student Loan Revenue 5.250% 12/1/28   150   150  
2 New Jersey TRAN, SIFMA Municipal Swap Index Yield + 0.370% 1.980% 1/9/20   10,000   10,000  
  New Jersey Transportation Trust Fund Authority Federal Highway Reimbursement Revenue 5.000% 6/15/25   1,300   1,523  
  New Jersey Transportation Trust Fund Authority Federal Highway Reimbursement Revenue 5.000% 6/15/28   1,380   1,622  
  New Jersey Transportation Trust Fund Authority Federal Highway Reimbursement Revenue 5.000% 6/15/28   620   729  
  New Jersey Transportation Trust Fund Authority Federal Highway Reimbursement Revenue 5.000% 6/15/29   1,400   1,638  
  New Jersey Transportation Trust Fund Authority Revenue 5.000% 12/15/27   1,000   1,195  
  New Jersey Transportation Trust Fund Authority Revenue 5.000% 12/15/30   1,285   1,528  
  New Jersey Transportation Trust Fund Authority Revenue 5.000% 6/15/31   1,000   1,186  
  New Jersey Transportation Trust Fund Authority Revenue 5.000% 12/15/33   1,115   1,311  
  New Jersey Transportation Trust Fund Authority Revenue 5.000% 12/15/34   1,115   1,307  
  New Jersey Transportation Trust Fund Authority Revenue 5.000% 12/15/35   1,015   1,187  
  New Jersey Transportation Trust Fund Authority Transportation Program Revenue 5.250% 6/15/33   1,500   1,715  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.500% 12/15/20 (14) 2,500   2,597  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.250% 12/15/21 (14) 345   370  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.500% 12/15/21 (12) 150   162  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.500% 12/15/22   1,315   1,466  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.500% 12/15/23   605   694  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.000% 12/15/24   1,000   1,152  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 0.000% 12/15/26 (2) 2,000   1,709  
  New Jersey Transportation Trust Fund AuthorityTransportation System Revenue 5.000% 12/15/27   5,260   6,287  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.500% 6/15/31   500   527  
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 0.000% 12/15/31 (14) 1,000   716  

 

  53  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  New Jersey Transportation Trust Fund Authority Transportation System Revenue 5.000% 6/15/32   700   787  
  New Jersey Turnpike Authority Revenue 5.000% 1/1/22 (Prere.) 1,000   1,078  
  New Jersey Turnpike Authority Revenue 5.000% 7/1/22 (Prere.) 1,040   1,141  
  New Jersey Turnpike Authority Revenue 5.000% 1/1/26   1,185   1,317  
  New Jersey Turnpike Authority Revenue 5.000% 1/1/28   1,190   1,321  
  New Jersey Turnpike Authority Revenue 5.000% 1/1/32   1,000   1,240  
  New Jersey Turnpike Authority Revenue 4.000% 1/1/33   1,070   1,231  
  New Jersey Turnpike Authority Revenue 4.000% 1/1/34   2,500   2,869  
  New Jersey Turnpike Authority Revenue 5.000% 1/1/35   1,000   1,205  
  South Jersey Transportation Authority New Jersey Transportation System Revenue 5.000% 11/1/25   500   546  
  Tobacco Settlement Financing Corp. New Jersey Revenue 5.000% 6/1/26   1,825   2,171  
  Tobacco Settlement Financing Corp. New Jersey Revenue 3.200% 6/1/27   385   393  
  Tobacco Settlement Financing Corp. New Jersey Revenue 5.000% 6/1/27   3,200   3,877  
  Tobacco Settlement Financing Corp. New Jersey Revenue 5.000% 6/1/30   685   833  
  Tobacco Settlement Financing Corp. New Jersey Revenue 5.000% 6/1/31   1,000   1,209  
  Tobacco Settlement Financing Corp. New Jersey Revenue 5.000% 6/1/35   450   535  
  Tobacco Settlement Financing Corp. New Jersey Revenue 5.000% 6/1/36   1,500   1,777  
  Tobacco Settlement Financing Corp. New Jersey Revenue 5.000% 6/1/37   1,000   1,180  
  Toms River NJ Board of Education GO 3.000% 7/15/30   3,000   3,148  
  Toms River NJ Board of Education GO 3.000% 7/15/33   3,570   3,697  
              98,280  
New Mexico (0.2%)              
  Albuquerque NM GO 5.000% 7/1/20   2,000   2,038  
  Albuquerque NM Municipal School District No. 12 GO 5.000% 8/1/22   290   319  
  Albuquerque NM Municipal School District No. 12 GO 5.000% 8/1/23   265   301  
  Farmington NM Pollution Control Revenue (Arizona Public Service Co. Four Corners Project) 4.700% 9/1/24   1,750   1,795  
  New Mexico Finance Authority Revenue 5.000% 6/1/23   1,210   1,367  
  New Mexico Finance Authority Transportation Revenue 5.000% 6/15/23   500   509  
  New Mexico Finance Authority Transportation Revenue 4.000% 6/15/26   2,000   2,131  
  New Mexico Finance Authority Transportation Revenue 5.000% 6/15/27   1,000   1,158  
  New Mexico Hospital Equipment Loan Council Hospital System Revenue (Presbyterian Healthcare Services) 5.000% 8/1/28   1,445   1,711  
              11,329  
New York (7.2%)              
  Battery Park City NY Authority Revenue 5.000% 11/1/38   750   958  
  Erie County NY Fiscal Stability Authority Revenue 5.000% 9/1/30   500   628  

 

  54  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  Erie County NY Industrial Development Agency School Facility Revenue (Buffalo City School District Project) 5.250% 5/1/31   500   526  
  Hempstead NY GO 4.000% 4/1/29 (4) 1,420   1,603  
  Hudson Yards Infrastructure Corp. New York Revenue 5.000% 2/15/36   1,500   1,811  
  Hudson Yards Infrastructure Corp. New York Revenue 5.000% 2/15/37   500   602  
  Long Island NY Power Authority Electric System Revenue 5.000% 9/1/24   130   143  
  Long Island NY Power Authority Electric System Revenue 5.000% 9/1/35   1,000   1,233  
  Metropolitan Transportation Authority NY BAN 5.000% 5/15/21   3,000   3,148  
  Metropolitan Transportation Authority NY BAN 5.000% 5/15/22   9,100   9,864  
  Metropolitan Transportation Authority NY Revenue 5.000% 11/15/34   2,500   3,090  
  Metropolitan Transportation Authority NY Revenue PUT 5.000% 11/15/22   8,095   8,915  
  Monroe County NY Industrial Development Agency School Facility Revenue (Rochester Schools Modernization Project) 5.000% 5/1/31   1,955   2,428  
  Monroe County NY Industrial Development Corp. Mortgage Revenue (Unity Hospital Rochester Project) 5.500% 8/15/23   90   90  
  Monroe County NY Industrial Development Corp. Revenue (University of Rochester Project) 5.000% 7/1/37   1,000   1,213  
  Nassau County NY GO 5.000% 4/1/23   1,000   1,121  
  New York City NY GO 5.000% 8/1/20   2,260   2,311  
  New York City NY GO 5.000% 8/1/20   2,935   3,001  
  New York City NY GO 5.000% 8/1/21   515   546  
  New York City NY GO 5.000% 8/1/21   2,000   2,122  
  New York City NY GO 5.000% 8/1/21   1,745   1,851  
  New York City NY GO 5.000% 8/1/22   705   775  
  New York City NY GO 5.000% 8/1/22   1,290   1,418  
  New York City NY GO 5.000% 10/1/22   500   534  
  New York City NY GO 5.000% 8/1/23   400   440  
  New York City NY GO 5.000% 8/1/23   1,505   1,709  
  New York City NY GO 5.000% 8/1/24   1,000   1,171  
  New York City NY GO 5.000% 8/1/25   1,000   1,203  
  New York City NY GO 5.000% 8/1/25   1,310   1,576  
  New York City NY GO 5.000% 8/1/25   1,245   1,498  
  New York City NY GO 5.000% 8/1/25   770   830  
  New York City NY GO 5.000% 6/1/26   2,450   2,923  
  New York City NY GO 5.000% 8/1/26   500   548  
  New York City NY GO 5.000% 8/1/26   1,000   1,113  
  New York City NY GO 5.000% 8/1/28   400   409  
  New York City NY GO 5.000% 8/1/30   1,000   1,125  
  New York City NY GO 5.000% 3/1/31   1,340   1,487  
  New York City NY GO 5.000% 8/1/31   365   387  
  New York City NY GO 5.000% 12/1/32   1,755   2,134  
  New York City NY GO 5.000% 12/1/33   1,515   1,835  
  New York City NY GO 5.000% 12/1/35   1,120   1,348  

 

  55  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  New York City NY GO 4.000% 10/1/37   2,680   3,074  
5 New York City NY GO TOB VRDO 1.700% 1/2/20 LOC 4,300   4,300  
  New York City NY GO VRDO 1.650% 1/2/20   7,600   7,600  
  New York City NY GO VRDO 1.680% 1/8/20 LOC 5,100   5,100  
  New York City NY Health & Hospital Corp. Revenue (Health System) 5.000% 2/15/24   1,500   1,507  
  New York City NY Health & Hospital Corp. Revenue (Health System) 5.000% 2/15/30   575   577  
  New York City NY Housing Development Corp. Multi-Family Housing Revenue 5.250% 7/1/29   1,000   1,121  
  New York City NY Housing Development Corp. Multi-Family Housing Revenue 3.700% 11/1/38   2,000   2,123  
  New York City NY Housing Development Corp. Multi-Family Housing Revenue PUT 2.950% 2/1/26   1,000   1,056  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/27   1,250   1,501  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/30   500   509  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/31   500   527  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.250% 6/15/33   1,000   1,252  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/36   2,000   2,376  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/38   2,015   2,482  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/38   1,000   1,222  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/39   2,000   2,335  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue 5.000% 6/15/39   2,500   3,126  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue VRDO 1.600% 1/2/20   2,815   2,815  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue VRDO 1.660% 1/2/20   3,600   3,600  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue VRDO 1.670% 1/2/20   11,815   11,815  
  New York City NY Municipal Water Finance Authority Water & Sewer System Revenue VRDO 1.700% 1/8/20   11,240   11,240  
  New York City NY Transitional Finance Authority Building Aid Revenue 5.000% 7/15/24   550   603  
  New York City NY Transitional Finance Authority Building Aid Revenue 5.000% 7/15/28   1,730   2,060  
  New York City NY Transitional Finance Authority Building Aid Revenue 5.000% 7/15/29   2,000   2,375  
  New York City NY Transitional Finance Authority Building Aid Revenue 5.000% 7/15/30   1,045   1,251  
  New York City NY Transitional Finance Authority Building Aid Revenue 5.000% 7/15/32   250   273  

 

  56  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value•  
    Coupon Date   ($000 ) ($000 )
  New York City NY Transitional Finance Authority Building Aid Revenue 5.000% 7/15/35   1,635   2,021  
  New York City NY Transitional Finance Authority Building Aid Revenue 4.000% 7/15/38   1,750   1,982  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.250% 2/1/21 (Prere.) 60   63  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/22   1,140   1,265  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/25   460   493  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/28   1,325   1,589  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 5/1/29   850   954  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 2/1/30   500   556  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.250% 2/1/30   440   459  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 2/1/31   500   521  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 5/1/31   300   326  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/31   500   552  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 8/1/32   1,250   1,444  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/32   1,500   1,790  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/32   500   551  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 5/1/34   500   542  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 8/1/34   1,710   2,054  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 8/1/34   1,450   1,669  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/34   1,500   1,781  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 8/1/35   1,525   1,862  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 11/1/35   1,745   2,066  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 5/1/36   1,580   1,915  
  New York City NY Transitional Finance Authority Future Tax Revenue 4.000% 8/1/36   1,235   1,398  
  New York City NY Transitional Finance Authority Future Tax Revenue 4.000% 11/1/36   1,000   1,148  
  New York City NY Transitional Finance Authority Future Tax Revenue 5.000% 8/1/37   1,680   2,040  
  New York City NY Transitional Finance Authority Future Tax Revenue 4.000% 11/1/38   1,000   1,138  
  New York City NY Transitional Finance Authority Future Tax Revenue 4.000% 11/1/39   2,795   3,166  

 

  57  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  New York City NY Transitional Finance Authority Future Tax Revenue VRDO 1.650% 1/2/20   7,105   7,105  
  New York City NY Transitional Finance Authority Future Tax Revenue VRDO 1.670% 1/2/20   485   485  
  New York City NY Transitional Finance Authority Revenue 5.000% 8/1/35   1,500   1,857  
  New York City NY Transitional Finance Authority Revenue 5.000% 8/1/36   5,710   7,040  
  New York City NY Transitional Finance Authority Revenue 5.000% 5/1/38   1,675   2,041  
  New York City NY Transitional Finance Authority Revenue 5.000% 5/1/39   1,335   1,654  
  New York City NY Trust for Cultural Resources Revenue (Lincoln Center for the Performing Arts Inc.) 5.000% 12/1/26   1,350   1,673  
  New York City Transitional Finance Authority Future Tax Secured Revenue 5.000% 8/1/35   2,015   2,495  
  New York City Transitional Finance Authority Future Tax Secured Revenue 5.000% 8/1/36   2,000   2,466  
5 New York City Transitional Finance Authority Future Tax Secured Revenue TOB VRDO 1.630% 1/8/20   3,800   3,800  
  New York Liberty Development Corp. Revenue 5.000% 11/15/31   1,090   1,164  
  New York Liberty Development Corp. Revenue (7 World Trade Center Project) 5.000% 9/15/31   1,000   1,082  
  New York Liberty Development Corp. Revenue (Goldman Sachs Headquarters) 5.250% 10/1/35   820   1,116  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/20   1,530   1,580  
  New York Metropolitan Transportation Authority Revenue 5.250% 11/15/20 (Prere.) 500   519  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/21   1,000   1,070  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/21 (Prere.) 500   538  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/21   230   246  
  New York Metropolitan Transportation Authority Revenue 5.250% 11/15/21 (14) 325   349  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/22 (Prere.) 820   915  
  New York Metropolitan Transportation Authority Revenue 5.000% 5/15/23 (Prere.) 570   647  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/23   1,045   1,191  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/24   2,180   2,555  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/25   1,135   1,364  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/26   1,645   2,020  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/28   1,675   2,040  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/30   1,000   1,233  

 

  58  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  New York Metropolitan Transportation Authority Revenue 4.000% 11/15/31   1,445   1,655  
  New York Metropolitan Transportation Authority Revenue 4.000% 11/15/32   1,500   1,709  
  New York Metropolitan Transportation Authority Revenue 5.000% 11/15/33   680   746  
  New York Metropolitan Transportation Authority Revenue (Dedicated Tax Fund) 5.000% 3/1/22   2,000   2,162  
  New York Metropolitan Transportation Authority Revenue (Dedicated Tax Fund) 0.000% 11/15/32   1,000   732  
  New York Metropolitan Transportation Authority Revenue (Dedicated Tax Fund) 4.000% 11/15/33   1,545   1,761  
  New York Metropolitan Transportation Authority Revenue (Hudson Yards Development) 5.000% 11/15/46   1,010   1,012  
  New York Metropolitan Transportation Authority Revenue (Hudson Yards Development) 5.000% 11/15/51   4,250   4,501  
  New York Metropolitan Transportation Authority Revenue (Transit Revenue) 5.000% 11/15/21 (Prere.) 1,215   1,307  
  New York NY GO 4.000% 8/1/37   2,000   2,291  
  New York NY GO VRDO 1.650% 1/2/20   4,280   4,280  
  New York State Dormitory Authority Lease Revenue (City of New York Court Facilities) 5.500% 5/15/24 (2) 500   593  
  New York State Dormitory Authority Lease Revenue (City of New York Court Facilities) 5.500% 5/15/27 (2) 500   642  
  New York State Dormitory Authority Lease Revenue (Mental Health Services Facilities) 5.000% 8/15/21   500   512  
  New York State Dormitory Authority Revenue 5.000% 10/1/20   75   75  
  New York State Dormitory Authority Revenue 3.000% 10/1/32   1,000   1,044  
  New York State Dormitory Authority Revenue 4.000% 7/1/34   1,200   1,391  
  New York State Dormitory Authority Revenue (City University System) 5.000% 7/1/24   400   408  
  New York State Dormitory Authority Revenue (Icahn School of Medicine at Mount Sinai) 5.000% 7/1/28   1,000   1,181  
  New York State Dormitory Authority Revenue (Icahn School of Medicine at Mount Sinai) 5.000% 7/1/32   1,000   1,163  
  New York State Dormitory Authority Revenue (Mount Sinai Hospital Obligated Group) 5.000% 7/1/20 (Prere.) 650   663  
  New York State Dormitory Authority Revenue (North Shore - Long Island Jewish Obligated Group) 5.000% 5/1/21 (Prere.) 500   526  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/22 (Prere.) 170   184  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/22 (Prere.) 160   173  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/23   830   898  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 3/15/23   4,000   4,488  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 12/15/23   1,465   1,632  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/24   840   909  

 

  59  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/25   1,500   1,782  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 3/15/25   10,000   11,908  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 12/15/26   520   578  
  New York State Dormitory Authority Revenue (Personal Income Tax) 4.000% 3/15/27   1,700   1,948  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/28   2,040   2,401  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 3/15/30   2,000   2,296  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 12/15/30   7,000   7,766  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 3/15/32   500   540  
  New York State Dormitory Authority Revenue (Personal Income Tax) 4.000% 2/15/33   1,975   2,245  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/33   300   323  
  New York State Dormitory Authority Revenue (Personal Income Tax) 4.000% 2/15/34   1,905   2,158  
  New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 3/15/34   2,000   2,287  
  New York State Dormitory Authority Revenue (Personal Income Tax) 4.000% 2/15/35   1,000   1,130  
4 New York State Dormitory Authority Revenue (Personal Income Tax) 5.000% 2/15/35   3,000   3,820  
4 New York State Dormitory Authority Revenue (Personal Income Tax) 4.000% 2/15/39   2,000   2,284  
  New York State Dormitory Authority Revenue (School Districts Financing Program) 5.000% 10/1/20   595   613  
  New York State Dormitory Authority Revenue (School Districts Financing Program) 5.000% 10/1/21 (4) 390   417  
  New York State Dormitory Authority Revenue (St. John’s University) VRDO 1.520% 1/8/20 LOC 3,500   3,500  
  New York State Dormitory Authority Revenue (The New School) 5.250% 7/1/20 (Prere.) 500   510  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/21   1,260   1,320  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/24   1,090   1,264  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/25   1,295   1,546  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/32   1,480   1,811  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/33   1,795   2,169  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/35   1,420   1,671  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/35   2,000   2,407  
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/36   1,500   1,848  

 

  60  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  New York State Dormitory Authority Sales Tax Revenue 5.000% 3/15/37   2,160   2,652  
  New York State Energy Research & Development Authority Pollution Control Revenue (New York State Electric & Gas Corp.) 3.500% 10/1/29   1,000   1,141  
  New York State Environmental Facilities Corp. Revenue (State Clean Water & Drinking Water Revolving Funds) 5.000% 6/15/22   2,075   2,277  
  New York State Environmental Facilities Corp. Revenue (State Clean Water & Drinking Water Revolving Funds) 5.000% 6/15/24   365   372  
  New York State Environmental Facilities Corp. Revenue (State Clean Water & Drinking Water Revolving Funds) 5.000% 6/15/25   500   547  
  New York State Environmental Facilities Corp. Revenue (State Clean Water & Drinking Water Revolving Funds) 5.000% 6/15/34   1,500   1,849  
  New York State Liberty Development Corp. Liberty Revenue (Bank of America Tower at One Bryant Park Project) 2.450% 9/15/69   3,500   3,512  
  New York State Liberty Development Corp. Liberty Revenue (Bank of America Tower at One Bryant Park Project) 2.625% 9/15/69   600   602  
  New York State Local Government Assistance Corp. Revenue 5.000% 4/1/21   330   340  
  New York State Thruway Authority Revenue 5.000% 1/1/22 (Prere.) 500   540  
  New York State Thruway Authority Revenue 5.000% 1/1/35   1,130   1,338  
  New York State Thruway Authority Revenue (Personal Income Tax) 5.000% 3/15/20   500   504  
  New York State Thruway Authority Revenue (Personal Income Tax) 5.000% 3/15/25   500   533  
  New York State Urban Development Corp. Revenue 5.000% 3/15/36   2,000   2,409  
  New York State Urban Development Corp. Revenue 5.000% 3/15/37   2,000   2,402  
  New York State Urban Development Corp. Revenue 5.000% 3/15/38   5,170   6,460  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.500% 3/15/22 (14) 530   581  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.000% 3/15/24   1,325   1,535  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.000% 3/15/25   2,830   3,373  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.000% 3/15/26   2,000   2,303  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.000% 3/15/31   1,420   1,688  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.000% 3/15/31   2,000   2,223  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.000% 3/15/33   2,010   2,399  
  New York State Urban Development Corp. Revenue (Personal Income Tax) 5.000% 3/15/33   1,485   1,650  

 

  61  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Port Authority of New York & New Jersey Revenue 5.000% 9/1/26   1,805   2,126  
  Port Authority of New York & New Jersey Revenue 5.000% 5/1/28   1,250   1,266  
  Port Authority of New York & New Jersey Revenue 5.000% 9/1/36   1,120   1,396  
  Port Authority of New York & New Jersey Revenue 5.000% 11/1/36   2,200   2,802  
  Port Authority of New York & New Jersey Revenue 4.000% 9/1/37   1,110   1,286  
  Suffolk County NY Economic Development Corp. Revenue (Catholic Health Services) 5.000% 7/1/21   1,545   1,626  
  Suffolk County NY Economic Development Corp. Revenue (Catholic Health Services) 5.000% 7/1/27   1,370   1,561  
  Tobacco Settlement Financing Corp. New York Revenue 5.000% 6/1/29   1,870   2,245  
  Tobacco Settlement Financing Corp. New York Revenue 5.000% 6/1/34   1,760   2,074  
4 Troy NY Capital Resource Corp. Revenue (Rensselaer Polytechnic Institute Project) 5.000% 9/1/37   1,320   1,618  
  Triborough Bridge & Tunnel Authority New York Revenue 5.000% 11/15/23   1,500   1,725  
  Triborough Bridge & Tunnel Authority New York Revenue 0.000% 11/15/32   1,130   840  
  Triborough Bridge & Tunnel Authority New York Revenue 5.000% 11/15/34   2,000   2,386  
  Triborough Bridge & Tunnel Authority New York Revenue 5.000% 11/15/34   1,900   2,319  
  Triborough Bridge & Tunnel Authority New York Revenue 5.000% 11/15/36   1,000   1,214  
  Utility Debt Securitization Authority New York Revenue 5.000% 12/15/33   1,600   1,821  
  Utility Debt Securitization Authority New York Revenue 5.000% 12/15/35   1,945   2,326  
7 Utility Debt Securitization Authority New York Revenue 5.000% 12/15/36   2,450   2,924  
  Westchester County NY GO 5.000% 7/1/20   675   689  
  Westchester County NY GO 5.000% 7/1/20 (ETM) 10   10  
  Westchester County NY GO 5.000% 7/1/20 (ETM) 55   56  
  Westchester County NY Health Care Corp. Revenue 5.000% 11/1/30   890   937  
  Westchester County NY Local Development Corp. Revenue (Westchester Medical Center) 5.000% 11/1/31   1,085   1,246  
  Westchester NY Tobacco Asset Securitization Revenue 5.000% 6/1/28   1,400   1,643  
  Westchester NY Tobacco Asset Securitization Revenue 5.000% 6/1/33   1,500   1,694  
              419,317  
North Carolina (0.3%)              
  Cary NC Combined Enterprise System Revenue 5.000% 12/1/22 (Prere.) 330   367  
  Cary NC Combined Enterprise System Revenue 5.000% 12/1/27   170   189  
  Charlotte NC Water & Sewer System Revenue 5.000% 12/1/20   235   243  

 

  62  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Durham County NC GO 5.000% 4/1/20   785   792  
  North Carolina Capital Improvement Revenue 5.000% 5/1/20 (Prere.) 500   506  
  North Carolina GAN 5.000% 3/1/25   1,055   1,252  
  North Carolina GAN 5.000% 3/1/27   1,015   1,194  
  North Carolina GO 5.000% 3/1/20   425   428  
  North Carolina GO 4.000% 6/1/20   500   506  
  North Carolina GO 5.000% 5/1/22   360   393  
  North Carolina Medical Care Commission Health Care Facilities Revenue (Vidant Health) 5.000% 6/1/21   1,000   1,053  
  North Carolina Medical Care Commission Health Care Facilities Revenue (WakeMed) 5.000% 10/1/27   1,000   1,096  
  North Carolina Medical Care Commission Hospital Revenue (Southeastern Regional Medical Center) 5.000% 6/1/24   850   921  
  North Carolina Turnpike Authority Revenue 4.000% 1/1/39   2,000   2,202  
  Orange County NC Public Facilities Co. Revenue 5.000% 10/1/22 (Prere.) 180   199  
  Orange County NC Public Facilities Co. Revenue 5.000% 10/1/24   320   354  
  Union County NC Enterprise System Revenue 3.000% 6/1/33   1,290   1,364  
  Wake County NC GO 5.000% 3/1/23   2,145   2,407  
              15,466  
North Dakota (0.0%)              
  Grand Forks ND Health Care System Revenue (Altru Health System Obligated Group) 5.000% 12/1/25   1,210   1,417  
                 
Ohio (1.6%)              
  Allen County OH Hospital Facilities Revenue (Mercy Health) 5.000% 8/1/29   1,300   1,615  
  Allen County OH Hospital Facilities Revenue (Mercy Health) 4.000% 8/1/37   2,200   2,419  
  American Municipal Power Ohio Inc. Revenue (Fremont Energy Center Project) 5.250% 2/15/22 (Prere.) 570   619  
  American Municipal Power Ohio Inc. Revenue (Hydroelectric Projects) 5.000% 2/15/26   1,025   1,237  
  Bowling Green State University Ohio Revenue 5.000% 6/1/26   400   483  
  Bowling Green State University Ohio Revenue 5.000% 6/1/27   260   320  
  Butler County OH Hospital Facilities Revenue (Kettering Health Network) 5.250% 4/1/31   500   521  
  Butler County OH Hospital Facilities Revenue (UC Health) 5.250% 11/1/20 (Prere.) 435   450  
  Centerville OH Health Care Revenue (Graceworks Lutheran Services) 5.000% 11/1/26   725   822  
  Centerville OH Health Care Revenue (Graceworks Lutheran Services) 5.000% 11/1/27   380   436  
  Cleveland OH Municipal School District GO 5.000% 12/1/28   1,000   1,122  
  Columbus OH City School District GO 0.000% 12/1/29 (4) 1,000   813  
  Columbus OH GO 5.000% 7/1/22 (Prere.) 535   587  
  Columbus OH GO 4.000% 8/15/26   1,730   1,982  
  Columbus OH Sewer Revenue 5.000% 12/1/24 (Prere.) 4,000   4,731  
  Cuyahoga County OH Excise Tax Revenue (Sports Facilities Improvement Project) 5.000% 12/1/23 (Prere.) 510   585  
  Cuyahoga County OH Hospital Revenue (MetroHealth System) 5.000% 2/15/32   1,000   1,165  

 

  63  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Fairfield County OH Hospital Facilities Revenue (Fairfield Medical Center) 5.125% 6/15/33   615   650  
  Franklin County OH Convention Facilities Authority Revenue 5.000% 12/1/20   1,000   1,034  
  Franklin County OH Convention Facilities Authority Revenue 5.000% 12/1/28   1,680   1,959  
  Franklin County OH Convention Facilities Authority Revenue 5.000% 12/1/30   680   830  
  Franklin County OH Revenue (Trinity Health Corp.) 5.000% 12/1/31   1,100   1,404  
  Franklin County OH Sales Tax Revenue 5.000% 6/1/27   895   1,126  
  Franklin County OH Sales Tax Revenue 5.000% 6/1/28   830   1,066  
  Hamilton County OH Hospital Facilities Revenue (TriHealth Obligated Group) 5.000% 8/15/36   1,000   1,190  
  Hamilton County OH Hospital Facilities Revenue (UC Health) 5.000% 2/1/21   200   208  
  Lancaster OH Port Authority Gas Supply Revenue PUT 5.000% 2/1/25   600   695  
  Lucas County OH Hospital Revenue (ProMedica Healthcare Obligated Group) 5.000% 11/15/21 (Prere.) 180   193  
  Lucas County OH Hospital Revenue (ProMedica Healthcare Obligated Group) 5.250% 11/15/21 (Prere.) 535   575  
  Lucas County OH Hospital Revenue (ProMedica Healthcare Obligated Group) 5.000% 11/15/26   320   337  
  Miami Valley OH Career Technology Center GO 5.000% 12/1/25   880   1,066  
  Montgomery County OH Hospital Revenue (Premier Health Partners) 5.000% 11/15/31   2,290   2,842  
  Montgomery County OH Hospital Revenue (Premier Health Partners) 5.000% 11/15/37   2,590   3,142  
  North Royalton OH City School District GO 5.000% 12/1/26   300   358  
  North Royalton OH City School District GO 5.000% 12/1/28   1,400   1,659  
  Ohio Adult Correctional Capital Facilities Revenue 5.000% 10/1/30   2,200   2,870  
  Ohio Building Authority Revenue (Administration Building Fund) 5.000% 10/1/20   100   103  
  Ohio Capital Facilities Lease-Appropriation Revenue (Adult Correctional Building Fund Projects) 5.000% 10/1/33   1,535   1,884  
  Ohio Capital Facilities Lease-Appropriation Revenue (Mental Health Facilities Improvement Fund Projects) 5.000% 2/1/22   750   809  
  Ohio Capital Facilities Lease-Appropriation Revenue (Transportation Building Fund Projects) 5.000% 4/1/30   1,155   1,352  
  Ohio Common Schools GO 5.000% 6/15/34   1,000   1,087  
  Ohio GO 5.000% 5/1/23   1,270   1,432  
  Ohio GO 5.000% 8/1/23   500   549  
  Ohio GO 5.000% 8/1/24   500   586  
  Ohio GO 5.000% 11/1/24   1,675   1,980  
  Ohio GO 5.000% 2/1/25   2,425   2,879  
  Ohio GO 5.000% 2/1/27   1,000   1,214  
  Ohio GO 5.000% 2/1/31   1,110   1,175  
  Ohio GO 5.000% 5/1/33   1,000   1,255  
  Ohio GO 5.000% 3/1/35   1,000   1,213  

 

  64  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Ohio GO 5.000% 3/15/36   1,005   1,138  
  Ohio GO 5.000% 3/1/38   2,000   2,411  
  Ohio Higher Education GO 5.000% 8/1/21   500   531  
  Ohio Higher Education GO 5.000% 5/1/30   2,000   2,360  
  Ohio Higher Educational Facility Commission Revenue (Case Western Reserve University Project) 5.000% 12/1/22   585   649  
  Ohio Hospital Revenue (Cleveland Clinic Health System Obligated Group) VRDO 1.600% 1/2/20   1,925   1,925  
  Ohio Hospital Revenue (Cleveland Clinic Health System Obligated Group) VRDO 1.650% 1/3/20   200   200  
  Ohio Major New State Infrastructure Project Revenue 5.000% 12/15/25   2,450   2,970  
  Ohio Major New State Infrastructure Project Revenue 5.000% 12/15/28   1,020   1,239  
  Ohio Parks & Recreation Capital Facilities Revenue 5.000% 12/1/35   1,320   1,640  
  Ohio Parks & Recreation Capital Facilities Revenue 5.000% 12/1/37   2,240   2,764  
  Ohio Revenue (Transportation Building Fund Projects) 5.000% 4/1/26   915   1,115  
  Ohio Turnpike Commission Turnpike Revenue 5.000% 2/15/20 (Prere.) 500   502  
  Ohio Turnpike Commission Turnpike Revenue 5.500% 2/15/20 (14) 1,100   1,106  
  Ohio Turnpike Commission Turnpike Revenue 5.000% 2/15/28   1,015   1,128  
  Ohio Turnpike Commission Turnpike Revenue 5.000% 2/15/35   1,280   1,568  
  Ohio Water Development Authority Pollution Control Revenue 5.000% 12/1/37   2,560   3,256  
  Ohio Water Development Authority Water Pollution Control Loan Fund Revenue 5.000% 12/1/26   1,850   2,301  
  Penta Career Center Ohio COP 5.250% 4/1/23   125   136  
  Revere OH Local School District GO 5.000% 6/1/22 (Prere.) 1,000   1,094  
  Revere OH Local School District GO 5.000% 6/1/22 (Prere.) 665   727  
  Winton Woods City OH School District GO 5.000% 5/1/22 (Prere.) 550   600  
  Winton Woods City OH School District GO 5.000% 5/1/22 (Prere.) 255   278  
  Winton Woods City OH School District GO 5.000% 5/1/22 (Prere.) 250   273  
  Winton Woods City OH School District GO 5.000% 5/1/22 (Prere.) 260   284  
  Winton Woods City OH School District GO 5.000% 5/1/22 (Prere.) 250   273  
              93,097  
Oklahoma (0.2%)              
  Edmond OK Public Works Authority Sales Tax & Utility System Revenue 4.000% 7/1/25   1,160   1,323  
  Norman OK Regional Hospital Authority Revenue 5.000% 9/1/28   1,245   1,511  
  Oklahoma Capitol Improvement Authority Facilities Revenue 5.000% 7/1/26   1,145   1,328  
  Oklahoma Capitol Improvement Authority Facilities Revenue 4.000% 7/1/38   1,000   1,127  
  Oklahoma City OK GO 5.000% 3/1/24   525   549  
  Oklahoma Development Finance Authority Health System Revenue (OU Medicine) 5.000% 8/15/28   1,500   1,847  
  Oklahoma Turnpike Authority Revenue 5.000% 1/1/21 (Prere.) 300   312  
  Oklahoma Turnpike Authority Revenue 5.000% 1/1/37   2,000   2,349  

 

  65  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Tulsa County OK Industrial Authority Senior Living Community Revenue (Montereau Inc.) 5.000% 11/15/23   280   311  
  University of Oklahoma Revenue 5.000% 7/1/31   475   500  
              11,157  
Oregon (0.2%)              
  Clatsop County OR School District No. 10 Seaside GO 5.000% 6/15/33   1,140   1,403  
  Deschutes & Jefferson Counties OR School District No. 2J GO 0.000% 6/15/31   750   574  
  Multnomah County OR School District GO 5.000% 6/15/29   1,000   1,187  
  Oregon Department of Administrative Services Lottery Revenue 5.250% 4/1/21 (Prere.) 430   452  
  Oregon Department of Administrative Services Lottery Revenue 5.000% 4/1/25   1,380   1,600  
  Oregon Department of Administrative Services Lottery Revenue 5.250% 4/1/31   70   73  
  Oregon Department of Transportation Highway User Tax Revenue 5.000% 11/15/39   2,000   2,530  
  Oregon Facilities Authority Revenue (Legacy Health Project) 5.000% 6/1/33   1,000   1,186  
  Oregon Facilities Authority Revenue (Reed College Projects) 4.000% 7/1/31   450   517  
  Oregon Facilities Authority Revenue (Reed College Projects) 4.000% 7/1/32   450   515  
  Oregon GO 5.000% 5/1/23   500   545  
  Salem OR Hospital Facilities Authority Revenue (Capital Manor Inc.) 5.000% 5/15/33   550   643  
  Salem OR Hospital Facilities Authority Revenue (Capital Manor Inc.) 5.000% 5/15/38   500   578  
  Washington County OR School District No. 48J Beaverton GO 5.000% 6/15/36   1,305   1,594  
              13,397  
Pennsylvania (2.5%)              
  Allegheny County PA GO 4.000% 11/1/30   1,000   1,130  
  Allegheny County PA Higher Education Building Authority University Revenue (Duquesne University) 5.500% 3/1/21 (Prere.) 325   341  
  Allegheny County PA Hospital Development Authority Revenue 5.000% 4/1/27   1,010   1,236  
  Allegheny County PA Hospital Development Authority Revenue 5.000% 4/1/32   1,000   1,214  
  Allegheny County PA Hospital Development Authority Revenue 5.000% 4/1/33   1,000   1,208  
  Allegheny County PA Hospital Development Authority Revenue 4.000% 4/1/38   500   544  
  Allegheny County PA Hospital Development Authority Revenue (University of Pittsburgh Medical Center) 5.000% 7/15/27   1,000   1,243  
2 Allegheny County PA Hospital Development Authority Revenue (University of Pittsburgh Medical Center), 67% of 3M USD LIBOR + 0.720% 2.000% 2/1/21   315   316  
  Allegheny County PA Port Authority Revenue 5.750% 3/1/29   500   526  
  Allentown PA Neighborhood Improvement Zone Development Authority Tax Revenue 5.000% 5/1/24   1,000   1,070  

 

  66  

 

 

Tax-Managed Balanced Fund

 

 

 

        Face   Market  
      Maturity   Amount   Value·  
    Coupon Date   ($000 ) ($000 )
  Allentown PA Neighborhood Improvement Zone Development Authority Tax Revenue 5.000% 5/1/27   250   291  
  Allentown PA School District GO 5.000% 6/1/31 (15) 500   587  
  Armstrong PA School District GO 5.000% 3/15/27 (15) 995   1,214  
  Armstrong PA School District GO 5.000% 3/15/29 (15) 920   1,160  
  Berks County PA Industrial Development Authority Health System Revenue (Tower Health Project) 5.000% 11/1/25   2,065   2,432  
4 Centennial PA School District Bucks County GO 5.000% 12/15/29   1,460   1,788  
  Central Bradford PA Progress Authority Revenue (Guthrie Healthcare System) 5.500% 12/1/21 (Prere.) 530   573  
  Chester County PA GO 5.000% 11/15/22 (Prere.) 750   833  
  Coatesville PA School District Building Authority Lease Revenue 5.000% 12/1/26 (15) 335   370  
  Coatesville PA School District Building Authority Lease Revenue 5.000% 12/1/27 (15) 365   403  
  Commonwealth Financing Authority Pennsylvania Revenue 5.000% 6/1/26   500   602  
  East Hempfield Township PA Industrial Development Authority Revenue (Millersville University Student Housing Project) 5.000% 7/1/29   1,000   1,109  
4 Easton PA Area School District GO 4.000% 4/1/28   580   689  
  Erie PA Sewer Authority Revenue 0.000% 12/1/25 (15)(ETM) 1,165   1,062  
  Erie PA Sewer Authority Revenue 0.000% 12/1/25 (15) 85   75  
  Geisinger Authority Health System Pennsylvania Revenue (Geisinger Health System) 5.000% 6/1/20   650   660  
  Lehigh County PA General Purpose Hospital Authority Revenue (Lehigh Valley Health Network) 5.000% 7/1/29   1,220   1,458  
  Lehigh County PA General Purpose Hospital Authority Revenue (Lehigh Valley Health Network) 5.000% 7/1/29   2,400   3,030  
  Luzerne County PA Industrial Development Authority Lease Revenue 5.000% 12/15/25 (4) 1,000   1,175  
  Monroeville PA Finance Authority Revenue (UPMC Health System) 5.000% 2/15/42   1,000   1,080  
  Montgomery County PA Higher Education & Health Authority Hospital Revenue (Abington Memorial Hospital) 5.000% 6/1/22 (Prere.) 500   546  
  Montgomery County PA Higher Education & Health Authority Revenue (Thomas Jefferson University) 5.000% 9/1/32   1,515   1,890  
  Montgomery County PA Industrial Development Authority Health Services Revenue (Albert Einstein Healthcare Network) 5.000% 1/15/23   1,015   1,111  
  Montgomery County PA Industrial Development Authority Health Services Revenue (Albert Einstein Healthcare Network) 5.000% 1/15/25   1,000   1,146  
  Montgomery County PA Industrial Development Authority Pollution Control Revenue (Exelon Generation Co., LLC) PUT 2.550% 6/1/20   1,000   1,005  

 

  67  

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Montgomery County PA Industrial Development Authority Retirement Community Revenue (ACTS Retirement- Life Communities Obligated Group) 5.000% 11/15/25   1,250 1,348
  Mount Lebanon PA Hospital Authority Revenue (St. Clair Memorial Hospital Project) 5.000% 7/1/38   1,000 1,203
  Northampton County PA General Purpose Authority Hospital Revenue (St. Luke’s Hospital Project) 5.000% 8/15/25   1,275 1,508
  Pennsylvania COP 5.000% 7/1/26   500 604
  Pennsylvania COP 5.000% 7/1/27   500 614
  Pennsylvania Economic Development Financing Authority Governmental Lease Revenue (Forum Place Project) 5.000% 3/1/34   1,000 1,062
  Pennsylvania Economic Development Financing Authority Revenue (UPMC Obligated Group) 5.000% 3/15/29   1,060 1,288
  Pennsylvania Economic Development Financing Authority Revenue (UPMC Obligated Group) 5.000% 11/15/30   1,510 1,855
  Pennsylvania Economic Development Financing Authority Unemployment Compensation Revenue 5.000% 7/1/20   315 315
  Pennsylvania GO 5.000% 7/1/20   545 556
  Pennsylvania GO 5.375% 7/1/21   500 532
  Pennsylvania GO 5.000% 11/15/21 (Prere.) 500 536
  Pennsylvania GO 5.000% 8/15/23   2,000 2,268
  Pennsylvania GO 5.000% 1/1/24   1,500 1,721
  Pennsylvania GO 5.000% 7/15/24   2,945 3,434
  Pennsylvania GO 5.000% 8/15/24   500 585
  Pennsylvania GO 5.000% 7/15/25   3,120 3,726
  Pennsylvania GO 5.000% 1/1/26   3,295 3,974
  Pennsylvania GO 5.000% 9/15/26   1,500 1,838
  Pennsylvania GO 5.000% 7/15/27   2,500 3,111
  Pennsylvania GO 5.000% 7/15/28   2,000 2,537
  Pennsylvania GO 4.000% 1/1/29   3,000 3,407
  Pennsylvania GO 4.000% 8/15/30 (4) 1,000 1,119
  Pennsylvania GO 5.000% 10/15/32   1,000 1,123
  Pennsylvania GO 4.000% 3/1/33 (4) 1,110 1,262
  Pennsylvania GO 4.000% 3/1/34 (4) 1,670 1,895
  Pennsylvania GO 4.000% 3/1/36   1,000 1,122
  Pennsylvania GO 4.000% 3/1/37 (15) 1,000 1,126
  Pennsylvania GO 4.000% 3/1/37   1,000 1,118
  Pennsylvania Higher Educational Facilities Authority Revenue (St. Joseph’s University) 5.000% 11/1/24   200 206
  Pennsylvania Higher Educational Facilities Authority Revenue (Temple University) 5.000% 4/1/32   500 535
  Pennsylvania Higher Educational Facilities Authority Revenue (University of Pennsylvania Health System) 4.000% 8/15/36   1,295 1,447
  Pennsylvania State University Revenue 5.000% 3/1/25   500 503
  Pennsylvania Turnpike Commission Motor License Fund Revenue 5.000% 12/1/32   1,000 1,223

 

68

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Pennsylvania Turnpike Commission Oil Franchise Tax Revenue 5.000% 12/1/24   1,040 1,197
  Pennsylvania Turnpike Commission Oil Franchise Tax Revenue 5.000% 12/1/28   630 766
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/20 (Prere.) 1,750 1,813
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/20 (Prere.) 265 274
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/20 (Prere.) 695 720
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/20 (Prere.) 495 512
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/21   170 171
  Pennsylvania Turnpike Commission Revenue 5.000% 6/1/24   1,980 2,280
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/25   1,625 1,958
  Pennsylvania Turnpike Commission Revenue 5.000% 6/1/26   1,140 1,360
  Pennsylvania Turnpike Commission Revenue 5.000% 6/1/26 (4) 1,635 1,984
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/26   750 911
  Pennsylvania Turnpike Commission Revenue 5.000% 6/1/27   2,255 2,711
  Pennsylvania Turnpike Commission Revenue 5.000% 6/1/32   1,500 1,805
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/32   1,000 1,254
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/32   2,000 2,306
  Pennsylvania Turnpike Commission Revenue 6.250% 6/1/33 (4) 1,535 1,930
  Pennsylvania Turnpike Commission Revenue 5.000% 6/1/35   1,500 1,761
  Pennsylvania Turnpike Commission Revenue 5.000% 12/1/37   1,000 1,225
2 Pennsylvania Turnpike Commission Revenue, SIFMA Municipal Swap Index Yield + 0.980% 2.590% 12/1/21   1,315 1,328
  Philadelphia PA Airport Revenue 5.000% 6/15/23   1,120 1,139
  Philadelphia PA Authority for Industrial Development Revenue (Temple University) 5.000% 4/1/24   1,015 1,170
  Philadelphia PA Authority for Industrial Development Revenue (Temple University) 5.000% 4/1/27   1,000 1,177
  Philadelphia PA Gas Works Revenue 5.000% 10/1/25   1,625 1,933
  Philadelphia PA Gas Works Revenue 5.000% 10/1/26   1,000 1,213
  Philadelphia PA Gas Works Revenue 5.000% 8/1/36   1,300 1,553
  Philadelphia PA Hospitals & Higher Education Facilities Authority Hospital Revenue (Temple University Health System Obligated Group) 5.000% 7/1/25   1,000 1,150
  Philadelphia PA School District GO 5.000% 9/1/21   1,035 1,061
  Philadelphia PA School District GO 5.250% 9/1/22   545 560
  Philadelphia PA School District GO 5.000% 9/1/31   940 1,089
  Philadelphia PA Water & Wastewater Revenue 5.000% 8/1/20 (Prere.) 560 573
  Philadelphia PA Water & Wastewater Revenue 5.000% 7/1/26   1,000 1,158
  Philadelphia PA Water & Wastewater Revenue 4.000% 7/1/35   1,110 1,207
  Pittsburgh PA Water & Sewer Authority Revenue 5.000% 9/1/33 (4) 1,000 1,262
  Reading PA School District GO 5.000% 3/1/25 (4) 955 1,117
  Saint Mary PA Hospital Authority Health System Revenue (Trinity Health Corp. Obligated Group) 5.000% 11/15/25   815 980
  Saint Mary PA Hospital Authority Health System Revenue (Trinity Health Corp. Obligated Group) 5.000% 11/15/26   770 948
  Snyder County PA Higher Education Authority University Revenue (Susquehanna University Project) 5.000% 1/1/27   1,135 1,361
  Southcentral Pennsylvania General Authority Revenue (WellSpan Health Obligated Group) 5.000% 6/1/34   1,085 1,222

 

69

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  St. Mary Hospital Authority Pennsylvania Health System Revenue (Catholic Health Initiatives) 5.000% 5/15/20 (Prere.) 1,000 1,014
  State Public School Building Authority Pennsylvania College Revenue (Community College of Allegheny County Project) 4.000% 6/15/29 (15) 1,075 1,205
  State Public School Building Authority Pennsylvania Lease Revenue (School District of Philadelphia) 5.000% 6/1/24 (15) 1,535 1,754
  State Public School Building Authority Pennsylvania Lease Revenue (School District of Philadelphia) 5.000% 6/1/26 (4) 1,650 1,977
  West Shore PA Area Authority Hospital Revenue (Holy Spirit Hospital of the Sisters of Christian Charity Project) 6.250% 1/1/21 (Prere.) 80 84
            141,991
Puerto Rico (0.1%)          
  Puerto Rico Electric Power Authority Revenue 5.000% 7/1/21 (14) 500 507
  Puerto Rico Highway & Transportation Authority Revenue 5.250% 7/1/21 (13)(3) 500 522
  Puerto Rico Public Finance Corp. Revenue 6.000% 8/1/26 (ETM) 1,000 1,274
  Puerto Rico Sales Tax Financing Corp. Revenue 0.000% 7/1/24   198 174
  Puerto Rico Sales Tax Financing Corp. Revenue 0.000% 7/1/27   1,327 1,060
  Puerto Rico Sales Tax Financing Corp. Revenue 0.000% 7/1/29   2,024 1,502
  Puerto Rico Sales Tax Financing Corp. Revenue 4.329% 7/1/40   2,564 2,599
  Puerto Rico Sales Tax Financing Corp. Revenue 4.329% 7/1/40   140 142
            7,780
Rhode Island (0.1%)          
  Narragansett RI Commission Wastewater System Revenue 5.000% 2/1/37   1,950 2,249
  Rhode Island Commerce Corp. Airport Revenue 5.000% 7/1/30   500 588
  Rhode Island Health & Educational Building Corp. Higher Education Facilities Revenue (University of Rhode Island) 5.000% 9/15/25   500 597
  Tobacco Settlement Financing Corp. Rhode Island Revenue 2.250% 6/1/41   1,135 1,138
            4,572
South Carolina (0.5%)          
  Charleston SC Educational Excellence Financing Corp. Revenue (Charleston County School District, South Carolina Project) 5.000% 12/1/23   590 676
  Columbia SC Waterworks & Sewer System Revenue 5.000% 2/1/22 (Prere.) 250 270
  Columbia SC Waterworks & Sewer System Revenue 3.000% 2/1/35   875 917
  Florence SC Water & Sewer Revenue 3.000% 9/1/34   1,610 1,691
  Georgetown County SC School District GO 3.000% 3/1/31   1,665 1,756
  Lancaster County SC School District GO 4.000% 3/1/32   1,000 1,139

 

70

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Lexington County SC Health Services District Inc. Hospital Revenue 5.000% 11/1/25   1,000 1,197
  Lexington County SC Health Services District Inc. Hospital Revenue 5.000% 11/1/34   1,500 1,754
  Myrtle Beach SC Hospitality Fee Revenue 5.000% 6/1/25   1,000 1,156
  Patriots Energy Group Finance Authority SC Gas Supply Revenue PUT 4.000% 2/1/24   2,000 2,180
  Piedmont SC Municipal Power Agency Revenue 0.000% 1/1/24 (14) 1,600 1,500
  South Carolina Association of Governmental Organizations Educational Facilities Corp. Revenue (Pickens School District) 5.000% 12/1/26   1,420 1,678
  South Carolina GO 5.000% 4/1/20   830 838
  South Carolina Higher Education Revenue (Clemson University) 5.000% 5/1/21   1,000 1,052
  South Carolina Jobs Economic Development Authority Hospital Revenue (Palmetto Health) 5.250% 8/1/23 (Prere.) 1,000 1,141
  South Carolina Jobs Economic Development Authority Hospital Revenue (Prisma Health) 5.000% 5/1/37   1,500 1,787
  South Carolina Public Service Authority Revenue 5.000% 12/1/26   1,140 1,326
  South Carolina Public Service Authority Revenue 5.000% 12/1/28   1,465 1,560
  South Carolina Public Service Authority Revenue 5.000% 12/1/37   1,095 1,290
  South Carolina Public Service Authority Revenue 5.000% 12/1/37   2,205 2,572
  South Carolina Public Service Authority Revenue 5.000% 12/1/38   1,035 1,151
  South Carolina Transportation Infrastructure Revenue 5.000% 10/1/32   1,290 1,611
  Sumter Two School Facilities Inc. South Carolina Installment Purchase Revenue 5.000% 12/1/26 (15) 1,000 1,177
            31,419
South Dakota (0.1%)          
  Educational Enhancement Funding Corp. South Dakota Tobacco Settlement Revenue 5.000% 6/1/25   2,000 2,207
  South Dakota Health & Educational Facilities Authority Revenue (Regional Health System Obligated Group) 5.000% 9/1/32   1,020 1,234
  South Dakota Health & Educational Facilities Authority Revenue (Regional Health System Obligated Group) 4.000% 9/1/34   2,125 2,336
            5,777
Tennessee (1.0%)          
  Chattanooga TN Electric System Revenue 5.000% 9/1/31   1,000 1,192
  Chattanooga TN Health Educational & Housing Facility Board Revenue (Catholic Health Initiatives) 5.000% 1/1/23 (Prere.) 1,500 1,667
  Chattanooga TN Health Educational & Housing Facility Board Revenue (CommonSpirit Health) 5.000% 8/1/29   2,880 3,595
  Chattanooga-Hamilton County TN Hospital Authority Hospital Revenue 5.000% 10/1/27   1,035 1,175

 

71

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

        Face Market
      Maturity Amount Value
    Coupon Date ($000) ($000)
  Greeneville TN Health & Educational Facilities Board Hospital Revenue (Ballad Health) 5.000% 7/1/27 1,590 1,939
  Jackson TN Hospital Improvement Revenue (West Tennessee Healthcare Obligated Group) 5.000% 4/1/38 3,810 4,591
  Knox County TN Health Educational & Housing Facilities Board Hospital Facilities Revenue (Covenant Healthcare) 5.000% 1/1/36 1,000 1,175
  Knox County TN Health Educational & Housing Facilities Board Hospital Facilities Revenue (University Health System Inc.) 5.000% 9/1/27 925 1,092
  Memphis TN GO 5.000% 5/1/30 500 524
  Memphis TN GO 4.000% 6/1/31 1,000 1,133
  Metropolitan Government of Nashville & Davidson County TN GO 5.000% 7/1/21 625 637
5 Metropolitan Government of Nashville & Davidson County TN GO TOB VRDO 1.690% 1/2/20 4,400 4,400
  Metropolitan Government of Nashville & Davidson County TN Health & Educational Facilities Board Revenue (Blakeford at Green Hills) 5.000% 7/1/27 500 528
  Metropolitan Government of Nashville & Davidson County TN Water & Sewer Revenue 5.000% 7/1/20 600 611
  Shelby County TN GO 5.000% 4/1/31 1,625 2,083
  Tennergy Corp. TN Gas Revenue PUT 5.000% 10/1/24 4,300 4,944
  Tennessee Energy Acquisition Corp. Gas Revenue 5.250% 9/1/22 1,835 2,006
  Tennessee Energy Acquisition Corp. Gas Revenue 5.000% 2/1/24 1,800 2,025
  Tennessee Energy Acquisition Corp. Gas Revenue 5.250% 9/1/24 1,000 1,153
  Tennessee Energy Acquisition Corp. Gas Revenue 5.000% 2/1/25 915 1,052
  Tennessee Energy Acquisition Corp. Gas Revenue 5.250% 9/1/26 1,035 1,238
  Tennessee Energy Acquisition Corp. Gas Revenue 5.000% 2/1/27 1,000 1,189
  Tennessee Energy Acquisition Corp. Gas Revenue PUT 4.000% 5/1/23 3,045 3,259
  Tennessee Energy Acquisition Corp. Gas Revenue PUT 4.000% 11/1/25 2,500 2,779
  Tennessee GO 5.000% 8/1/20 650 665
  Tennessee GO 5.000% 8/1/21 1,490 1,582
  Tennessee GO 5.000% 8/1/22 1,475 1,623
  Tennessee GO 4.000% 8/1/28 4,850 5,538
  Tennessee GO 5.000% 8/1/32 1,000 1,191
  Tennessee School Bond Authority Higher Educational Facilities Revenue (2nd Program) 5.000% 11/1/37 1,390 1,776
  Williamson County TN GO 4.000% 5/1/27 1,320 1,438
          59,800
Texas (5.4%)        
  Alamo TX Regional Mobility Authority Revenue 5.000% 6/15/27 1,280 1,507

 

72

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Alief TX Independent School District GO 5.000% 2/15/24   1,300 1,499
  Allen TX Independent School District GO 5.000% 2/15/26   1,035 1,257
  Arlington TX Higher Education Finance Corp. Revenue (Riverwalk Education Foundation Inc.) 4.000% 8/15/33   600 693
  Arlington TX Special Tax Revenue 5.000% 2/15/27 (4) 420 517
  Arlington TX Special Tax Revenue 5.000% 2/15/28 (4) 305 383
  Arlington TX Special Tax Revenue 5.000% 2/15/32 (15) 1,160 1,415
  Austin Convention Enterprises Inc. Texas Convention Center Revenue 5.000% 1/1/25   500 567
  Austin TX Airport System Revenue 5.000% 11/15/26   1,120 1,382
  Austin TX Airport System Revenue 5.000% 11/15/32   1,170 1,415
  Austin TX Community College District Public Facilities Corp. Lease Revenue 5.000% 8/1/27   1,000 1,189
  Austin TX GO 5.000% 5/1/26   2,030 2,485
  Austin TX Water & Wastewater System Revenue 5.000% 11/15/21 (ETM) 500 536
  Austin TX Water & Wastewater System Revenue 5.000% 11/15/24   1,340 1,582
  Austin TX Water & Wastewater System Revenue 5.000% 11/15/37   1,000 1,198
  Beaumont TX Independent School District GO 5.000% 2/15/21   3,570 3,725
  Bexar County TX GO 5.000% 6/15/23 (Prere.) 3,230 3,660
  Bexar County TX GO 5.000% 6/15/26   4,450 5,338
  Bexar County TX GO 5.000% 6/15/32   1,145 1,319
  Bexar County TX GO 4.000% 6/15/34   1,000 1,106
  Bexar County TX GO 4.000% 6/15/40   2,255 2,545
  Brownsville TX Utility System Revenue 4.000% 9/1/30   1,000 1,087
  Central Texas Regional Mobility Authority Revenue 5.750% 1/1/20 (Prere.) 500 500
  Central Texas Regional Mobility Authority Revenue 5.000% 1/1/24   1,015 1,157
  Central Texas Regional Mobility Authority Revenue 0.000% 1/1/25   100 91
  Central Texas Regional Mobility Authority Revenue 0.000% 1/1/26   180 160
  Central Texas Regional Mobility Authority Revenue 5.000% 1/1/26   1,115 1,337
  Central Texas Regional Mobility Authority Revenue 5.000% 1/1/30   840 987
  Central Texas Regional Mobility Authority Revenue 5.000% 1/1/33   540 591
  Central Texas Regional Mobility Authority Revenue 5.000% 1/1/34   1,415 1,659
  Clifton TX Higher Education Finance Corp. Revenue (Baylor University) 5.250% 3/1/29   200 209
  Corpus Christi TX Independent School District GO 4.000% 8/15/31   1,795 2,011
  Corpus Christi TX Independent School District GO 4.000% 8/15/34   1,130 1,294
  Cypress-Fairbanks TX Independent School District GO 5.000% 2/15/25   500 521
  Dallas TX Area Rapid Transit Sales Tax Revenue 5.000% 12/1/27   500 554

 

73

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Dallas TX Area Rapid Transit Sales Tax Revenue 5.000% 12/1/32   2,000 2,600
  Dallas TX Area Rapid Transit Sales Tax Revenue 5.000% 12/1/32   1,670 1,988
  Dallas TX Independent School District GO 5.000% 2/15/23   485 506
  Dallas TX Independent School District GO 4.000% 2/15/29   2,250 2,520
  Dallas TX Waterworks & Sewer System Revenue 5.000% 10/1/21 (Prere.) 195 208
  Dallas TX Waterworks & Sewer System Revenue 5.000% 10/1/21   1,340 1,430
  Dallas TX Waterworks & Sewer System Revenue 5.000% 10/1/22   210 224
  Dallas TX Waterworks & Sewer System Revenue 4.000% 10/1/31   1,675 1,950
  Dallas-Fort Worth TX International Airport Revenue 5.250% 11/1/29   1,000 1,145
  Denton TX Independent School District GO 5.000% 8/15/37   1,360 1,653
  Eagle Mountain & Saginaw TX Independent School District GO PUT 2.000% 8/1/24   1,035 1,064
  Fort Worth TX GO 5.000% 3/1/25   1,115 1,321
  Fort Worth TX GO 5.000% 3/1/27   4,520 4,875
  Fort Worth TX Water & Sewer Revenue 5.000% 2/15/25   450 469
  Garland TX Electric Utility System Revenue 5.000% 3/1/30   675 858
  Garland TX Independent School District GO 5.000% 2/15/22   1,025 1,107
3 Grand Parkway Transportation Corp. Texas System Toll Revenue, 5.050% coupon rate effective 10/1/2023 0.000% 10/1/30   1,550 1,686
  Grand Parkway Transportation Corp. TX BAN 5.000% 2/1/23   2,500 2,772
  Harris County TX Cultural Education Facilities Finance Corp. Revenue (Methodist Hospital System) VRDO 1.680% 1/2/20   9,170 9,170
  Harris County TX Cultural Education Facilities Finance Corp. Revenue (Methodist Hospital System) VRDO 1.680% 1/2/20   5,800 5,800
  Harris County TX Cultural Education Facilities Finance Corp. Thermal Utility Revenue (TECO Project) 5.000% 11/15/30   1,000 1,227
  Harris County TX GO 5.000% 10/1/21 (Prere.) 280 299
  Harris County TX GO 5.000% 8/15/22   1,960 2,154
  Harris County TX GO 5.000% 10/1/23   20 21
  Harris County TX GO 5.000% 8/15/32   1,025 1,127
  Harris County TX GO 5.000% 10/1/36   1,200 1,413
  Harris County TX Metropolitan Transit Authority Sales & Use Tax Revenue 5.000% 11/1/36   1,000 1,065
  Harris County TX Sports Authority Revenue 5.000% 11/15/22   945 1,035
  Harris County TX Toll Road Revenue 5.000% 8/15/32   515 565
  Houston TX Airport System Revenue 5.000% 7/1/26   1,160 1,422
  Houston TX Airport System Revenue 5.000% 7/1/37   1,685 2,066
  Houston TX GO 5.000% 3/1/27   1,000 1,235
  Houston TX GO 4.000% 3/1/35   1,500 1,690
  Houston TX Hotel Occupancy Tax & Special Revenue (Convention & Entertainment Facilities) 5.000% 9/1/24   1,070 1,243
  Houston TX Independent School District GO 5.000% 2/15/20   1,105 1,110
  Houston TX Utility System Revenue 5.000% 5/15/21   1,350 1,421

 

74

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Houston TX Utility System Revenue 5.000% 5/15/25   1,160 1,344
  Houston TX Utility System Revenue 5.000% 11/15/26   1,350 1,672
  Houston TX Utility System Revenue 4.000% 11/15/31   1,000 1,130
  Houston TX Utility System Revenue 5.000% 11/15/33   1,000 1,034
  Houston TX Utility System Revenue 5.000% 11/15/34   1,000 1,152
2 Houston TX Utility System Revenue PUT, SIFMA Municipal Swap Index Yield + 0.900% 2.510% 5/1/20   1,000 1,000
  Irving TX Independent School District GO 5.000% 2/15/21   1,515 1,581
  Katy TX Independent School District GO 4.000% 2/15/27   275 297
  Katy TX Independent School District GO 4.000% 2/15/28   375 404
  Klein TX Independent School District GO 5.000% 8/1/34   1,200 1,438
  Lake Travis TX Independent School District GO 5.000% 2/15/21 (Prere.) 500 522
  Lamar TX Consolidated Independent School District GO 5.000% 2/15/26   1,360 1,608
  Laredo TX Community College District GO 5.000% 8/1/25   1,000 1,156
  Laredo TX Independent School District GO 4.000% 8/1/28   1,635 1,816
  Lone Star College System Texas GO 5.000% 2/15/28   1,375 1,658
  Lower Colorado River Authority Texas Revenue 5.000% 5/15/37   1,330 1,432
  Lower Colorado River Authority Texas Transmission Contract Revenue (LCRA Transmission Services Corp.) 5.000% 5/15/28   1,000 1,147
  Lower Colorado River Authority Texas Transmission Contract Revenue (LCRA Transmission Services Corp.) 5.000% 5/15/28   1,200 1,409
  Lower Colorado River Authority Texas Transmission Contract Revenue (LCRA Transmission Services Corp.) 5.000% 5/15/34   1,070 1,320
  Lubbock TX GO 5.000% 2/15/23   500 541
  Mansfield TX Independent School District GO 5.000% 2/15/26   1,250 1,398
  Mansfield TX Independent School District GO 4.000% 2/15/29   1,265 1,363
  Mesquite TX Health Facilities Development Corp. Retirement Facility Revenue (Christian Care Centers Inc. Project) 5.000% 2/15/24   350 358
  Mesquite TX Independent School District GO 4.000% 8/15/30   1,155 1,295
  Midlothian TX Independent School District Revenue GO PUT 2.000% 8/1/24   1,005 1,031
  Montgomery TX GO 4.000% 3/1/30   1,840 2,136
  New Hope TX Cultural Education Facilities Finance Corp. First Mortgage Revenue (Morningside Ministries Project) 6.250% 1/1/33   1,640 1,794
  New Hope TX Cultural Education Facilities Finance Corp. Retirement Facilities Revenue (Westminster Manor Project) 5.000% 11/1/26   1,060 1,209
  New Hope TX Cultural Education Facilities Finance Corp. Retirement Facilities Revenue (Westminster Manor Project) 5.000% 11/1/27   1,000 1,137
  New Hope TX Cultural Education Facilities Finance Corp. Retirement Facilities Revenue (Westminster Manor Project) 5.000% 11/1/28   870 985
  New Hope TX Cultural Education Facilities Finance Corp. Student Housing Revenue (Tarleton State University Project) 5.000% 4/1/23   200 217

 

75

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  New Hope TX Cultural Education Facilities Finance Corp. Student Housing Revenue (Tarleton State University Project) 5.000% 4/1/24   210 233
  New Hope TX Cultural Education Facilities Finance Corp. Student Housing Revenue (Tarleton State University Project) 5.000% 4/1/25   240 269
  North East TX Independent School District GO 5.250% 2/1/22   580 629
  North East TX Regional Mobility Authority Revenue 5.000% 1/1/30   2,390 2,780
  North Texas Municipal Water District Regional Wastewater System Revenue 5.000% 6/1/22   1,495 1,635
  North Texas Municipal Water District Regional Wastewater System Revenue 5.000% 6/1/23   1,555 1,758
  North Texas Municipal Water District Regional Wastewater System Revenue 4.000% 6/1/31   1,500 1,720
  North Texas Municipal Water District Water System Revenue 5.000% 9/1/22   1,645 1,811
  North Texas Municipal Water District Water System Revenue 5.000% 9/1/23   1,025 1,166
5 North Texas Municipal Water District Water System Revenue TOB VRDO 1.690% 1/2/20   8,715 8,715
  North Texas Tollway Authority System Revenue 5.500% 9/1/21 (Prere.) 500 536
  North Texas Tollway Authority System Revenue 6.250% 2/1/23   1,650 1,656
  North Texas Tollway Authority System Revenue 5.000% 1/1/26   1,060 1,176
  North Texas Tollway Authority System Revenue 5.000% 1/1/27   2,505 2,859
  North Texas Tollway Authority System Revenue 5.000% 1/1/29   1,190 1,390
  North Texas Tollway Authority System Revenue 5.000% 1/1/30   500 565
  North Texas Tollway Authority System Revenue 5.000% 1/1/32   1,790 2,070
  North Texas Tollway Authority System Revenue 5.000% 1/1/33   1,500 1,731
  North Texas Tollway Authority System Revenue 5.000% 1/1/34   1,575 1,815
  North Texas Tollway Authority System Revenue 5.000% 1/1/35   1,035 1,190
  North Texas Tollway Authority System Revenue 4.000% 1/1/36   1,015 1,133
  North Texas Tollway Authority System Revenue 4.000% 1/1/37   1,250 1,419
  North Texas Tollway Authority System Revenue 4.000% 1/1/37   1,030 1,154
  North Texas Tollway Authority System Revenue 4.000% 1/1/37 (4) 1,520 1,680
  North Texas Tollway Authority System Revenue 5.000% 1/1/38   1,000 1,210
  Northside Independent School District Texas GO 5.000% 8/15/25   1,165 1,398
  Northwest Independent School District Texas GO 5.000% 2/15/26   1,000 1,184

 

76

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

        Face Market
      Maturity Amount Value
    Coupon Date ($000) ($000)
  Northwest Independent School District Texas GO 5.000% 2/15/32 1,760 2,051
  Pasadena TX GO 4.000% 2/15/28 1,000 1,119
  Pearland TX GO 4.000% 3/1/32 1,095 1,243
  Pearland TX GO 4.000% 3/1/33 885 1,002
  Pearland TX Waterworks & Sewer System Revenue 4.000% 9/1/32 240 273
  Pearland TX Waterworks & Sewer System Revenue 4.000% 9/1/33 340 385
  Pflugerville TX Independent School District GO 5.000% 2/15/25 1,600 1,897
  Prosper TX Independent School District GO 4.000% 2/15/31 1,290 1,507
  San Antonio TX Electric & Gas Systems Revenue 5.000% 2/1/21 500 521
  San Antonio TX Electric & Gas Systems Revenue 5.000% 2/1/24 1,000 1,097
  San Antonio TX Electric & Gas Systems Revenue 4.000% 2/1/28 1,550 1,835
  San Antonio TX Electric & Gas Systems Revenue 4.000% 2/1/34 1,255 1,409
  San Antonio TX Electric & Gas Systems Revenue 5.000% 2/1/34 3,000 3,826
  San Antonio TX Electric & Gas Systems Revenue 5.000% 2/1/36 1,000 1,206
  San Antonio TX GO 5.000% 8/1/20 225 230
  San Antonio TX GO 5.000% 2/1/22 1,000 1,042
  San Antonio TX GO 5.000% 2/1/24 500 521
  San Antonio TX GO 5.000% 2/1/26 1,000 1,183
  San Antonio TX GO 4.000% 2/1/29 1,000 1,064
  San Antonio TX Independent School District GO 5.000% 8/15/29 1,295 1,540
  San Antonio TX Independent School District GO 5.000% 8/15/37 2,495 2,929
  San Antonio TX Water Revenue 5.000% 5/15/34 1,000 1,205
  San Antonio TX Water Revenue 5.000% 5/15/38 1,440 1,762
  Southwest Texas Higher Education Authority Inc. Revenue (Southern Methodist University Project) 4.000% 10/1/34 1,350 1,533
  Spring Branch TX Independent School District GO 5.000% 2/1/20 1,000 1,003
  Spring TX Independent School District GO 5.000% 8/15/32 1,000 1,182
  Spring TX Independent School District GO 5.000% 8/15/35 1,370 1,644
  Sugar Land TX GO 5.000% 2/15/26 510 620
  Tarrant County TX Cultural Education Facilities Finance Corp. Hospital Revenue (Methodist Hospitals of Dallas) 5.250% 10/1/31 1,000 1,130
  Texas A&M University System Revenue Board of Regents Revenue 5.000% 5/15/21 1,075 1,132
  Texas City TX Independent School District GO 5.000% 8/15/26 3,365 4,024
  Texas GO 5.000% 10/1/22 1,120 1,239
  Texas GO 5.000% 10/1/24 1,210 1,425
  Texas GO 5.000% 8/1/26 925 980
  Texas GO 5.000% 10/1/27 1,400 1,612
  Texas GO 5.000% 10/1/28 1,330 1,529
  Texas GO 5.000% 8/1/31 500 529

 

77

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Texas Municipal Gas Acquisition & Supply Corp. Revenue 5.250% 12/15/21   365 391
  Texas Municipal Gas Acquisition & Supply Corp. Revenue 5.000% 12/15/22   1,005 1,108
  Texas Municipal Gas Acquisition & Supply Corp. Revenue 5.000% 12/15/23   380 420
  Texas Municipal Gas Acquisition & Supply Corp. Revenue 5.250% 12/15/23   245 279
  Texas Municipal Gas Acquisition & Supply Corp. Revenue 5.250% 12/15/24   580 678
  Texas Municipal Gas Acquisition & Supply Corp. Revenue 5.000% 12/15/25   2,215 2,440
  Texas Municipal Gas Acquisition & Supply Corp. Revenue 5.000% 12/15/28   1,335 1,462
  Texas Municipal Power Agency Revenue 5.000% 9/1/27   520 533
  Texas Public Finance Authority Revenue (Texas Southern University) 5.000% 11/1/21 (15) 1,020 1,082
  Texas State University System Financing System Revenue 5.000% 3/15/32   1,625 1,970
  Texas Transportation Commission GO 5.000% 10/1/21   1,545 1,651
  Texas Transportation Commission GO 5.000% 10/1/22   1,480 1,637
  Texas Transportation Commission GO 5.000% 10/1/29   1,500 1,790
  Texas Transportation Commission GO 5.000% 4/1/32   2,000 2,398
  Texas Transportation Commission Mobility Fund GO 5.000% 10/1/34   1,625 2,005
  Texas Transportation Commission Revenue 5.000% 4/1/21   2,425 2,543
  Texas Transportation Commission Revenue 5.000% 4/1/23   2,100 2,359
  Texas Transportation Commission Turnpike System Revenue 5.000% 8/15/33   525 599
  Texas Transportation Commission Turnpike System Revenue 5.000% 8/15/34   665 758
  Texas Transportation Commission Turnpike System Revenue 5.000% 8/15/37   2,330 2,647
  Texas Turnpike Authority Central Texas Turnpike System Revenue 0.000% 8/15/20 (ETM) 285 283
  Texas Turnpike Authority Central Texas Turnpike System Revenue 0.000% 8/15/20 (2) 525 521
  Texas Water Development Board Revenue 5.000% 4/15/21   1,050 1,102
  Texas Water Development Board Revenue 5.000% 4/15/27   5,460 6,824
  Texas Water Development Board Revenue 4.000% 10/15/32   1,000 1,156
  Texas Water Development Board Revenue 4.000% 10/15/33   1,610 1,870
  Texas Water Development Board Revenue 4.000% 10/15/34   1,465 1,698
  Texas Water Development Board Revenue 4.000% 10/15/35   2,860 3,257
  Texas Water Development Board Revenue 4.000% 10/15/35   1,770 1,987
  Texas Water Development Board Revenue 4.000% 10/15/35   1,725 1,990
  Texas Water Financial Assistance GO 5.000% 8/1/21 (Prere.) 740 783
  Texas Water Financial Assistance GO 5.000% 8/1/27   260 275
  Travis TX GO 5.000% 3/1/27   1,545 1,872
  Trinity River Authority of Texas Regional Wastewater System Revenue 5.000% 8/1/27   1,000 1,222
  Trinity River Authority of Texas Regional Wastewater System Revenue 5.000% 8/1/37   1,235 1,529
  University of Houston Texas Revenue 4.000% 2/15/33   1,840 2,050
  University of North Texas Revenue 4.000% 4/15/34   1,110 1,275
  University of North Texas Revenue 5.000% 4/15/36   1,275 1,532

 

78

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  University of Texas Permanent University Fund Revenue 5.000% 7/1/21   1,300 1,376
  University of Texas Revenue 5.000% 8/15/27   1,690 2,129
  University of Texas Revenue 5.000% 8/15/29   4,570 5,304
  University of Texas System Revenue Financing System Revenue 5.000% 8/15/20   1,190 1,219
  University of Texas System Revenue Financing System Revenue 5.000% 8/15/21   705 749
  University of Texas System Revenue Financing System Revenue 5.000% 8/15/23   1,150 1,308
  West Travis County TX Public Utility Agency Revenue 5.000% 8/15/27 (15) 1,235 1,532
  West Travis County TX Public Utility Agency Revenue 4.000% 8/15/32 (15) 270 305
  Williamson County TX GO 5.000% 2/15/23   230 249
            315,957
Utah (0.5%)          
  Alpine UT School District GO 5.000% 3/15/30   1,025 1,265
  Central Utah Water Conservancy District GO 5.000% 4/1/30   500 523
  Central UT Water Conservancy District Revenue 4.000% 10/1/32   1,000 1,151
  Granite UT School District Salt Lake County GO 5.000% 6/1/28   6,260 8,037
  Jordan Valley UT Water Conservancy District Revenue 4.000% 10/1/32   750 855
  Utah Associated Municipal Power Systems Revenue (Horse Butte Wind Project) 5.000% 9/1/22 (Prere.) 350 385
  Utah County UT Hospital Revenue (IHC Health Services) 5.000% 5/15/34   750 935
  Utah County UT Hospital Revenue (IHC Health Services) 5.000% 5/15/35   850 1,057
  Utah County UT Hospital Revenue (IHC Health Services) VRDO 1.500% 1/8/20   5,200 5,200
  Utah GO 5.000% 7/1/21   1,300 1,377
  Utah GO 5.000% 7/1/22   1,410 1,547
  Utah GO 5.000% 7/1/23   3,500 3,974
  Utah GO 5.000% 7/1/24   1,015 1,188
  Utah Transit Authority Sales Tax Revenue 5.000% 6/15/25 (Prere.) 1,285 1,534
  Utah Transit Authority Sales Tax Revenue 5.000% 6/15/26   1,000 1,195
  Utah Transit Authority Sales Tax Revenue 5.000% 6/15/37   585 676
            30,899
Vermont (0.0%)          
  University of Vermont & State Agricultural College GO 5.000% 10/1/38   1,000 1,380
             
Virginia (1.2%)          
  Arlington County VA GO 5.000% 8/1/23   600 660
  Chesapeake VA Toll Road Revenue 5.000% 7/15/21   500 526
  Fairfax County VA GO 5.000% 10/1/20   1,710 1,760
  Fairfax County VA GO 5.000% 10/1/23   1,255 1,437
  Fairfax County VA GO 5.000% 10/1/25   2,715 3,300
  Fairfax County VA GO 5.000% 10/1/30   1,825 2,317
  Fairfax County VA GO 4.000% 10/1/32   1,415 1,632
  Fairfax County VA Public Improvement GO 5.000% 4/1/21   420 441
  Fairfax County VA Sewer Revenue 4.000% 7/15/21   1,790 1,871

 

79

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Fairfax County VA Water Authority Revenue 5.000% 4/1/22 (Prere.) 500 544
  Hampton Roads VA Transportation Accountability Commission Revenue 5.000% 7/1/22   1,700 1,860
  Norfolk VA Economic Development Authority Hospital Facilities Revenue (Sentara Healthcare) PUT 5.000% 11/1/28   1,170 1,480
  Norfolk VA GO 5.000% 10/1/20   775 798
  Norfolk VA GO 5.000% 8/1/21   2,040 2,167
  Norfolk VA GO 5.000% 9/1/24 (Prere.) 1,395 1,641
  Norfolk VA GO 5.000% 9/1/24 (Prere.) 1,090 1,283
  Norfolk VA GO 5.000% 9/1/24 (Prere.) 1,345 1,583
  Norfolk VA GO 5.000% 8/1/31   1,375 1,747
  Norfolk VA GO 5.000% 8/1/35   2,155 2,703
  Norfolk VA Water Revenue 5.000% 5/1/22 (Prere.) 495 540
  Norfolk VA Water Revenue 5.000% 11/1/31   5 5
  Norfolk VA Water Revenue 5.000% 11/1/34   1,155 1,432
  Richmond VA GO 5.000% 3/1/23 (Prere.) 1,000 1,122
  Richmond VA Public Utility Revenue 5.000% 1/15/28   1,000 1,213
  Roanoke VA Economic Development Authority Hospital Revenue (Carilion Clinic Obligated Group) 5.000% 7/1/30   500 540
  Stafford County VA Economic Development Authority Hospital Facilities Revenue (Mary Washington Healthcare Obligated Group) 5.000% 6/15/24   1,120 1,294
  Virginia Beach VA Development Authority Residential Care Facility Revenue (Westminster-Canterbury on Chesapeake Bay) 5.000% 9/1/30   600 708
  Virginia Beach VA Development Authority Residential Care Facility Revenue (Westminster-Canterbury on Chesapeake Bay) 5.000% 9/1/33   425 497
  Virginia College Building Authority Educational Facilities Revenue (21st Century College & Equipment Programs) 5.000% 2/1/21   1,000 1,042
  Virginia College Building Authority Educational Facilities Revenue (21st Century College & Equipment Programs) 5.000% 2/1/27   1,845 2,242
  Virginia College Building Authority Educational Facilities Revenue (21st Century College & Equipment Programs) 4.000% 2/1/34   1,900 2,142
  Virginia College Building Authority Educational Facilities Revenue (Public Higher Education Financing Program) 5.000% 9/1/22   355 391
  Virginia College Building Authority Educational Facilities Revenue (Public Higher Education Financing Program) 4.000% 9/1/36   2,130 2,440
  Virginia Commonwealth Transportation Board Revenue 5.000% 9/15/21   2,410 2,570
  Virginia Commonwealth Transportation Board Revenue 5.000% 5/15/26   1,405 1,725
  Virginia Commonwealth Transportation Board Revenue 4.000% 5/15/35   1,280 1,456

 

80

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Virginia Commonwealth Transportation Board Revenue 4.000% 5/15/35   1,750 2,005
  Virginia Public Building Authority Public Facilities Revenue 5.000% 8/1/24   1,250 1,464
  Virginia Public Building Authority Revenue 5.000% 11/1/31   125 138
  Virginia Public School Authority Revenue 5.000% 3/1/20   3,700 3,723
  Virginia Public School Authority Revenue 4.000% 8/1/20   1,715 1,744
  Virginia Public School Authority Revenue 5.000% 8/1/22   1,335 1,469
  Virginia Public School Authority Revenue 5.000% 8/1/26   1,540 1,904
  Virginia Public School Authority School Technology & Security Notes Revenue 5.000% 4/15/21   1,055 1,108
  Virginia Public School Authority School Technology & Security Notes Revenue 5.000% 4/15/24   2,180 2,532
  Virginia Resources Authority Infrastructure Revenue 5.000% 11/1/22 (Prere.) 4,180 4,633
            71,829
Washington (1.3%)          
  Central Puget Sound WA Regional Transit Authority Sales & Use Tax Revenue 5.000% 11/1/26   795 988
  Clark County WA School District No. 37 Vancouver Revenue 5.000% 12/1/32   1,050 1,339
  Energy Northwest Washington Electric Revenue (Columbia Generating Station) 5.000% 7/1/20   685 698
  Energy Northwest Washington Electric Revenue (Columbia Generating Station) 5.000% 7/1/31   1,200 1,412
  Energy Northwest Washington Electric Revenue (Columbia Generating Station) 5.000% 7/1/38   4,025 5,046
  Energy Northwest Washington Electric Revenue (Project No. 1) 5.000% 7/1/21   1,355 1,434
  Energy Northwest Washington Electric Revenue (Project No. 3) 5.000% 7/1/26   1,735 2,135
  King County WA GO 5.000% 7/1/20   1,250 1,274
  King County WA GO 5.000% 1/1/24   500 538
  King County WA GO 4.000% 12/1/32   1,500 1,698
  Lewis County WA Public Utility District No. 1 Revenue (Cowlitz Falls Hydroelectric Project) 5.000% 10/1/21   1,060 1,132
  Northwest Energy Washington Electric Revenue (Bonneville Power Administration) 5.000% 7/1/28   2,550 2,785
  Pierce County WA School District No. 3 Puyallup GO 5.000% 12/1/25   1,000 1,110
  Port of Seattle WA Revenue 5.000% 8/1/29   250 273
  Seattle WA GO 5.000% 6/1/21   1,000 1,055
  Snohomish County WA School District No. 103 (Monroe) GO 5.000% 12/1/31   1,000 1,178
  University of Washington Revenue 5.000% 4/1/31   335 351
  Washington (Motor Vehicle Fuel Tax) GO 5.000% 7/1/23   375 397
  Washington (Motor Vehicle Fuel Tax) GO 5.000% 7/1/27   1,000 1,177
  Washington (Motor Vehicle Fuel Tax) GO 4.000% 7/1/31   1,500 1,657
  Washington Economic Development Finance Authority Lease Revenue (Washington Biomedical Research Properties 2) 5.000% 6/1/25   1,090 1,285
  Washington GO 0.000% 6/1/20 (14) 500 498
  Washington GO 5.000% 7/1/20   1,000 1,019
  Washington GO 5.000% 2/1/22 (Prere.) 500 540
  Washington GO 5.000% 7/1/22   1,445 1,584

 

81

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Washington GO 5.000% 7/1/23   1,155 1,309
  Washington GO 5.000% 7/1/25   560 613
  Washington GO 5.000% 7/1/25   1,500 1,751
  Washington GO 4.000% 7/1/27   2,425 2,583
  Washington GO 4.000% 7/1/27   2,750 2,930
  Washington GO 5.000% 8/1/27   1,000 1,196
  Washington GO 4.000% 7/1/28   1,135 1,207
  Washington GO 4.000% 7/1/28   3,180 3,382
  Washington GO 5.000% 7/1/28   2,000 2,349
  Washington GO 4.000% 7/1/29   2,720 2,950
  Washington GO 5.000% 7/1/30   1,100 1,285
  Washington GO 5.000% 8/1/30   1,585 1,964
4 Washington GO 5.000% 6/1/35   1,500 1,825
  Washington GO 5.000% 8/1/36   2,070 2,574
  Washington GO 5.000% 8/1/38   2,070 2,553
  Washington Health Care Facilities Authority Revenue (Central Washington Health Services Association) 5.000% 7/1/30   1,760 2,017
  Washington Health Care Facilities Authority Revenue (CommonSpirit Health) 5.000% 8/1/32   1,750 2,140
  Washington Health Care Facilities Authority Revenue (CommonSpirit Health) 5.000% 8/1/36   1,500 1,805
  Washington Health Care Facilities Authority Revenue (CommonSpirit Health) PUT 5.000% 8/1/24   1,000 1,134
  Washington Health Care Facilities Authority Revenue (MultiCare Health System) 5.000% 8/15/32   1,000 1,226
  Washington Health Care Facilities Authority Revenue (Providence Health & Services) 5.000% 10/1/33   880 963
  Washington State University General Revenue 5.000% 10/1/31   500 530
            72,889
West Virginia (0.2%)          
  West Virginia Commissioner of Highways Revenue (Surface Transportation Improvements) 5.000% 9/1/33   1,110 1,351
  West Virginia Economic Development Authority Lottery Revenue 4.000% 6/15/37   1,545 1,716
  West Virginia GO 5.000% 12/1/35   1,000 1,237
  West Virginia GO 5.000% 6/1/36   1,000 1,236
  West Virginia GO 5.000% 6/1/38   2,500 3,117
  West Virginia Higher Education Policy Commission Revenue 5.000% 7/1/37   1,315 1,575
  West Virginia Hospital Finance Authority Hospital Revenue (Cabell Huntington Hospital Inc.) 5.000% 1/1/29   765 948
  West Virginia Parkways Authority Turnpike Toll Revenue 5.000% 6/1/33   815 1,018
  West Virginia University Revenue PUT 5.000% 10/1/29   1,000 1,273
            13,471
Wisconsin (0.9%)          
  Madison WI Area Technical College GO 4.000% 3/1/25   1,835 2,090
  Madison WI GO 4.000% 10/1/26   1,500 1,748
  Milwaukee WI GO 4.000% 3/15/20   1,000 1,006
  Milwaukee WI GO 5.000% 4/1/26   1,935 2,358
  Wisconsin GO 5.000% 5/1/20   1,000 1,013
  Wisconsin GO 5.000% 5/1/21 (ETM) 15 16

 

82

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

          Face Market
      Maturity   Amount Value
    Coupon Date   ($000) ($000)
  Wisconsin GO 5.000% 5/1/21   835 878
  Wisconsin GO 5.000% 5/1/22 (Prere.) 35 38
  Wisconsin GO 5.000% 11/1/23   2,620 3,004
  Wisconsin GO 5.000% 5/1/24   500 545
  Wisconsin GO 5.000% 5/1/26   2,210 2,404
  Wisconsin GO 5.000% 5/1/29   1,000 1,119
  Wisconsin GO 4.000% 5/1/33   1,665 1,915
  Wisconsin GO 5.000% 5/1/34   1,780 2,135
  Wisconsin GO 5.000% 5/1/35   1,000 1,197
  Wisconsin GO 5.000% 5/1/36   1,000 1,195
  Wisconsin GO 5.000% 5/1/36   2,000 2,332
  Wisconsin GO 5.000% 5/1/37   2,640 3,215
  Wisconsin Health & Educational Facilities Authority Revenue (Agnesian HealthCare Inc.) 5.000% 7/1/31   1,065 1,271
  Wisconsin Health & Educational Facilities Authority Revenue (Ascension Health Alliance Credit Group) 4.000% 11/15/33   2,000 2,211
  Wisconsin Health & Educational Facilities Authority Revenue (Ascension Health Alliance Credit Group) 4.000% 11/15/34   1,540 1,699
  Wisconsin Health & Educational Facilities Authority Revenue (Ascension Health Alliance Credit Group) 5.000% 11/15/36   2,055 2,426
  Wisconsin Health & Educational Facilities Authority Revenue (Aspirus, Inc. Obligated Group) 5.000% 8/15/25   1,670 1,881
  Wisconsin Health & Educational Facilities Authority Revenue (Aurora Health Care Inc.) 5.000% 7/15/21 (Prere.) 1,150 1,218
  Wisconsin Health & Educational Facilities Authority Revenue (Children’s Hospital of Wisconsin Inc.) 4.000% 8/15/31   1,010 1,134
  Wisconsin Health & Educational Facilities Authority Revenue (Marquette University) 5.000% 10/1/30   500 545
  Wisconsin Health & Educational Facilities Authority Revenue (ThedaCare Inc. Obligated Group) 4.000% 12/15/39   1,595 1,780
  Wisconsin Public Finance Authority Exempt Facilities Revenue (Wingate University) 5.250% 10/1/32   715 849
  Wisconsin Public Finance Authority Hospital Revenue (Renown Regional Medical Center) 5.000% 6/1/30   1,085 1,283
  Wisconsin Public Power System Power Supply System Revenue 5.000% 7/1/32   500 559
  Wisconsin Transportation Revenue 5.000% 7/1/22 (Prere.) 115 126
  Wisconsin Transportation Revenue 5.000% 7/1/23   385 422
  Wisconsin Transportation Revenue 5.000% 7/1/31   1,405 1,732
  Wisconsin Transportation Revenue 5.000% 7/1/31   1,370 1,664
  Wisconsin Transportation Revenue 5.000% 7/1/33   2,755 3,168
            52,176
Wyoming (0.0%)          
  Wyoming Municipal Power Agency Power Supply Revenue 5.000% 1/1/34 (15) 1,000 1,192
Total Tax-Exempt Municipal Bonds (Cost $2,873,738)         3,006,228
Total Investments (99.7%) (Cost $4,308,322)         5,790,044

 

83

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

  Amount
  ($000)
Other Assets and Liabilities (0.3%)  
Other Assets  
Investment in Vanguard 254
Receivables for Investment Securities Sold 125
Receivables for Accrued Income 34,691
Receivables for Capital Shares Issued 4,048
Variation Margin Receivable—Futures Contracts 121
Other Assets7 2,250
Total Other Assets 41,489
Liabilities  
Payables for Investment Securities Purchased (19,333)
Payables for Capital Shares Redeemed (2,505)
Payables to Vanguard (959)
Variation Margin Payable—Futures Contracts (5)
Total Liabilities (22,802)
Net Assets (100%)  
Applicable to 169,586,207 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 5,808,731
Net Asset Value Per Share $34.25
   
At December 31, 2019, net assets consisted of:  
  Amount
  ($000)
Paid-in Capital 4,376,479
Total Distributable Earnings (Loss) 1,432,252
Net Assets 5,808,731

 

See Note A in Notes to Financial Statements.
* Non-income-producing security.
§ Security value determined using significant unobservable inputs.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock positions represent 48.4% of net assets.
2 Adjustable-rate security; rate shown is effective rate at period end. Certain adjustable-rate securities are not based on a published reference rate and spread but are determined by the issuer or agent based on current market conditions.
3 Step bond.
4 Security purchased on a when-issued or delayed-delivery basis for which the fund has not taken delivery as of December 31, 2019.
5 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At December 31, 2019, the aggregate value of these securities was $33,968,000, representing 0.6% of net assets.
6 The issuer was placed under federal conservatorship in September 2008; since that time, its daily operations have been managed by the Federal Housing Finance Agency and it receives capital from the U.S. Treasury, as needed to maintain a positive net worth, in exchange for senior preferred stock.
7 Securities with a value of $547,000 and cash of $1,222,000 have been segregated as initial margin for open futures contracts.

CVR—Contingent Value Rights.

REIT—Real Estate Investment Trust.

A key to abbreviations and other references follows the Statement of Net Assets.

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

84

 

 

Tax-Managed Balanced Fund

 

 

Key to Abbreviations

 

 

ARS—Auction Rate Security.

BAN—Bond Anticipation Note.

CMT—Constant Maturing Treasury Rate.

COP—Certificate of Participation.

CP—Commercial Paper.

FR—Floating Rate.

GAN—Grant Anticipation Note.

GO—General Obligation Bond.

LIBOR—London Interbank Offered Rate.

PILOT—Payments in Lieu of Taxes.

PUT—Put Option Obligation.

RAN—Revenue Anticipation Note.

SIFMA—Securities Industry and Financial Markets Association.

SOFR—Secured Overnight Financing Rate.

TAN—Tax Anticipation Note.

TOB—Tender Option Bond.

TRAN—Tax Revenue Anticipation Note.

VRDO—Variable Rate Demand Obligation.

VRDP—Variable Rate Demand Preferred.

(ETM)—Escrowed to Maturity.

(Prere.)—Prerefunded.

 

Scheduled principal and interest payments are guaranteed by:

(1) MBIA (Municipal Bond Investors Assurance).

(2) AMBAC (Ambac Assurance Corporation).

(3) FGIC (Financial Guaranty Insurance Company).

(4) AGM (Assured Guaranty Municipal Corporation).

(5) BIGI (Bond Investors Guaranty Insurance).

(6) Connie Lee Inc.

(7) FHA (Federal Housing Authority).

(8)CapMAC (Capital Markets Assurance Corporation).

(9) American Capital Access Financial Guaranty Corporation.

(10) XL Capital Assurance Inc.

(11) CIFG (CDC IXIS Financial Guaranty).

(12) AGC (Assured Guaranty Corporation).

(13) BHAC (Berkshire Hathaway Assurance Corporation).

(14) NPFG (National Public Finance Guarantee Corporation).

(15) BAM (Build America Mutual Assurance Company).

(16) MAC (Municipal Assurance Corporation).

(17) RAA (Radian Asset Assurance Inc.).

(18) SBLF (Michigan School Bond Loan Fund).

(19) TPSF (Texas Permanent School Fund).

The insurance does not guarantee the market value of the municipal bonds.

 

LOC—Scheduled principal and interest payments are guaranteed by bank letter of credit.

 

85

 

 

Tax-Managed Balanced Fund

 

 

Derivative Financial Instruments Outstanding as of Period End    
     
Futures Contracts
          ($000)
          Value and
      Number of   Unrealized
      Long (Short) Notional  Appreciation
    Expiration Contracts Amount  (Depreciation)
Long Futures Contracts          
2-Year U.S. Treasury Note   March 2020 169 36,420  (28)
E-mini S&P 500 Index   March 2020 185 29,888  515
10-Year U.S. Treasury Note   March 2020 53 6,806  (5)
          482
           
Short Futures Contracts          
Ultra 10-Year U.S. Treasury Note   March 2020 (166) (23,357) 296
          778

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

86

 

 

Tax-Managed Balanced Fund

 

 

Statement of Operations

 

 

  Year Ended
  December 31, 2019
  ($000)
Investment Income  
Income  
Dividends 45,640
Interest 70,526
Total Income 116,166
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 371
Management and Administrative 3,856
Marketing and Distribution 311
Custodian Fees 32
Auditing Fees 32
Shareholders’ Reports 64
Trustees’ Fees and Expenses 3
Total Expenses 4,669
Expenses Paid Indirectly (16)
Net Expenses 4,653
Net Investment Income 111,513
Realized Net Gain (Loss)  
Investment Securities Sold1 (18,086)
Futures Contracts 4,328
Realized Net Gain (Loss) (13,758)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 732,411
Futures Contracts 1,089
Change in Unrealized Appreciation (Depreciation) 733,500
Net Increase (Decrease) in Net Assets Resulting from Operations 831,255

 

1 Includes $7,071,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

87

 

 

Tax-Managed Balanced Fund

 

 

Statement of Changes in Net Assets

 

 

  Year Ended December 31,
  2019  2018
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 111,513  93,888
Realized Net Gain (Loss) (13,758) 4,519
Change in Unrealized Appreciation (Depreciation) 733,500  (169,661)
Net Increase (Decrease) in Net Assets Resulting from Operations 831,255  (71,254)
Distributions    
Net Investment Income (113,064) (91,073)
Realized Capital Gain — 
Total Distributions (113,064) (91,073)
Capital Share Transactions    
Issued 1,111,257  1,045,236
Issued in Lieu of Cash Distributions 93,909  75,332
Redeemed (484,987) (518,200)
Net Increase (Decrease) from Capital Share Transactions 720,179  602,368
Total Increase (Decrease) 1,438,370  440,041
Net Assets    
Beginning of Period 4,370,361  3,930,320
End of Period 5,808,731  4,370,361

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

88

 

 

Tax-Managed Balanced Fund

 

 

Financial Highlights

 

 

For a Share Outstanding     Year Ended December 31,
Throughout Each Period 2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $29.65 $30.73 $27.85 $26.86 $26.79
Investment Operations          
Net Investment Income .7011 .6881 .6221 .595 .557
Net Realized and Unrealized Gain (Loss) on Investments 4.603 (1.110) 2.871 .989 .067
Total from Investment Operations 5.304 (.422) 3.493 1.584 .624
Distributions          
Dividends from Net Investment Income2 (.704) (.658) (.613) (.594) (.554)
Distributions from Realized Capital Gains
Total Distributions (.704) (.658) (.613) (.594) (.554)
Net Asset Value, End of Period $34.25 $29.65 $30.73 $27.85 $26.86
           
Total Return3 18.01% -1.43% 12.64% 5.94% 2.35%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $5,809 $4,370 $3,930 $3,096 $2,478
Ratio of Total Expenses to Average Net Assets 0.09% 0.09% 0.09% 0.09% 0.11%
Ratio of Net Investment Income to Average Net Assets 2.16% 2.22% 2.11% 2.20% 2.11%
Portfolio Turnover Rate 12%4 11%4 9%4 11%4 9%

 

1 Calculated based on average shares outstanding.
2 For tax purposes, nontaxable dividends represent 61%, 61%, 61%, 57%, and 62% of dividends from net investment income.
3 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

89

 

 

Tax-Managed Balanced Fund

 

 

Notes to Financial Statements

 

 

Vanguard Tax-Managed Balanced Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in debt instruments of many municipal issuers; the issuers’ abilities to meet their obligations may be affected by economic and political developments in a specific state or region.

 

A.   The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

 

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Bonds and temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Securities for which market quotations are not readily available, or whose values have been materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value.

 

2. Futures Contracts: The fund uses futures contracts to invest in fixed income asset classes with greater efficiency and lower cost than is possible through direct investment, to add value when these instruments are attractively priced, or to adjust sensitivity to changes in interest rates. The fund also uses index futures contracts to a limited extent, with the objective of maintaining full exposure to the stock market while maintaining liquidity. The fund may purchase or sell futures contracts to achieve a desired level of investment, whether to accommodate portfolio turnover or cash flows from capital share transactions. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of bonds and stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

During the year ended December 31, 2019, the fund’s average investments in long and short futures contracts represented 4% and 1% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

90

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2016–2019), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2019, or at any time during the period then ended.

 

6. Other: Dividend income is recorded on the ex-dividend date. Interest income is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

B.   In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2019, the fund had contributed to Vanguard capital in the amount of $254,000, representing less than 0.01% of the fund’s net assets and 0.10% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

C.   The fund’s custodian bank has agreed to reduce its fees when the fund maintains cash on deposit in the non-interest-bearing custody account. For the year ended December 31, 2019, custodian fee offset arrangements reduced the fund’s expenses by $16,000 (an annual rate of less than 0.01% of average net assets).

 

91

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

D.   Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

 

Level 1—Quoted prices in active markets for identical securities.

Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments and derivatives as of December 31, 2019, based on the inputs used to value them:

 

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 2,783,811 5
Tax-Exempt Municipal Bonds 3,006,228
Futures Contracts—Assets1 121
Futures Contracts—Liabilities1 (5)
Total 2,783,927 3,006,228 5

 

1 Represents variation margin on the last day of the reporting period.

 

E.   Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions were reclassified between the following accounts:

 

  Amount
  ($000)
Paid-in Capital 7,071
Total Distributable Earnings (Loss) (7,071)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and straddles; and the realization of unrealized gains or losses on certain futures contracts.

 

92

 

 

Tax-Managed Balanced Fund

 

 

 

 

 

As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows

 

  Amount
  ($000)
Undistributed Ordinary Income 324
Undistributed Tax-Exempt Income 559
Undistributed Long-Term Gains
Capital Loss Carryforwards (Non-expiring) (48,397)
Net Unrealized Gains (Losses) 1,480,454

 

As of December 31, 2019, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

  Amount
  ($000)
Tax Cost 4,309,590
Gross Unrealized Appreciation 1,486,004
Gross Unrealized Depreciation (5,550)
Net Unrealized Appreciation (Depreciation) 1,480,454

 

F.   During the year ended December 31, 2019, the fund purchased $1,255,032,000 of investment securities and sold $592,352,000 of investment securities, other than U.S. government securities and temporary cash investments. Purchases and sales include $0 and $14,992,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2019, such purchases and sales were $485,089,000 and $426,081,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

G.   Capital shares issued and redeemed were:

 

  Year Ended December 31,
  2019 2018
  Shares Shares
  (000) (000)
Issued 34,370 33,875
Issued in Lieu of Cash Distributions 2,858 2,456
Redeemed (15,016) (16,871)
Net Increase (Decrease) in Shares Outstanding 22,212 19,460

 

H.   Management has determined that no events or transactions occurred subsequent to December 31, 2019, that would require recognition or disclosure in these financial statements.

 

93

 

 

Tax-Managed Capital Appreciation Fund

 

 

Performance Summary

 

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2009, Through December 31, 2019 Initial

Investment of $10,000

 

 

 

  Average Annual Total Returns  
  Periods Ended December 31, 2019  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Tax-Managed Capital Appreciation Fund Admiral Shares 31.46% 11.73% 13.62% $35,843
  Russell 1000 Index 31.43 11.48 13.54 35,609
  Dow Jones U.S. Total Stock Market Float Adjusted Index 30.90 11.18 13.43 35,251

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Tax-Managed Capital Appreciation Fund Institutional Shares 31.51% 11.77% 13.66% $17,986,542
Russell 1000 Index 31.43 11.48 13.54 17,804,700
Dow Jones U.S. Total Stock Market Float Adjusted Index 30.90 11.18 13.43 17,625,579

 

See Financial Highlights for dividend and capital gains information.

 

94

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

Sector Diversification

As of December 31, 2019

 

Consumer Discretionary 14.4%
Consumer Staples 5.6
Energy 3.7
Financial Services 20.9
Health Care 13.3
Materials & Processing 3.2
Other 0.0
Producer Durables 10.2
Technology 23.6
Utilities 5.1

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Russell Global Sectors (“RGS”), except for the “Other” category (if applicable), which includes securities that have not been provided an RGS classification as of the effective reporting period.

 

95

 

 

Tax-Managed Capital Appreciation Fund

 

 

Financial Statements

 

 

Statement of Net Assets

As of December 31, 2019

 

The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.

 

      Market
      Value
    Shares ($000)
Common Stocks (99.4%)1    
Consumer Discretionary (14.3%)  
* Amazon.com Inc. 162,684 300,614
  Walt Disney Co. 657,608 95,110
  Home Depot Inc. 412,898 90,169
  Comcast Corp. Class A 1,685,742 75,808
  Walmart Inc. 519,632 61,753
  McDonald’s Corp. 287,269 56,767
  Costco Wholesale Corp. 173,878 51,106
* Netflix Inc. 149,440 48,354
  NIKE Inc. Class B 465,745 47,185
  Starbucks Corp. 485,144 42,654
  Lowe’s Cos. Inc. 349,955 41,911
* Booking Holdings Inc. 15,792 32,432
  Marriott International Inc. Class A 197,280 29,874
  TJX Cos. Inc. 420,379 25,668
  Ross Stores Inc. 220,095 25,623
  Estee Lauder Cos. Inc. Class A 120,437 24,875
* O’Reilly Automotive Inc. 55,052 24,127
* AutoZone Inc. 19,719 23,491
* Charter Communications Inc. Class A 45,011 21,834
* Tesla Inc. 51,081 21,369
  Target Corp. 164,496 21,090
* NVR Inc. 4,502 17,145
  Yum! Brands Inc. 157,639 15,879
  eBay Inc. 423,536 15,294
* CarMax Inc. 170,569 14,954
* Dollar Tree Inc. 148,191 13,937
  Royal Caribbean Cruises Ltd. 103,267 13,787
  DR Horton Inc. 249,417 13,157
  Dollar General Corp. 81,505 12,713
  General Motors Co. 325,682 11,920
  MGM Resorts International 326,777 10,872
  Expedia Group Inc. 95,915 10,372
  Yum China Holdings Inc. 205,835 9,882
  PulteGroup Inc. 252,478 9,796
  ViacomCBS Inc. Class B 230,563 9,677
* WABCO Holdings Inc. 70,309 9,527
* Tempur Sealy International Inc. 108,187 9,419
  Gentex Corp. 321,846 9,327
  Advance Auto Parts Inc. 57,115 9,148
  VF Corp. 88,788 8,849
  Hasbro Inc. 82,555 8,719
  Hilton Worldwide Holdings Inc. 78,060 8,658
  Ford Motor Co. 902,931 8,397
* Henry Schein Inc. 124,865 8,331
  Darden Restaurants Inc. 75,710 8,253
* Lululemon Athletica Inc. 35,052 8,120
  Hyatt Hotels Corp. Class A 88,599 7,948
  Lennar Corp. Class A 131,583 7,341
  Interpublic Group of Cos. Inc. 300,084 6,932
  Las Vegas Sands Corp. 99,438 6,865
  BorgWarner Inc. 154,390 6,697
* Discovery Communications Inc. 218,533 6,663
  PVH Corp. 62,572 6,579
* Liberty Media Corp-Liberty SiriusXM Class C 132,938 6,400
* Chipotle Mexican Grill Inc. Class A 7,295 6,107
* Norwegian Cruise Line Holdings Ltd. 103,724 6,059
* Live Nation Entertainment Inc. 81,832 5,849
* Visteon Corp. 65,288 5,653
* Mohawk Industries Inc. 41,162 5,614
* Uber Technologies Inc. 183,364 5,453
* Burlington Stores Inc. 23,758 5,418
  Omnicom Group Inc. 59,417 4,814
* Liberty Media Corp-Liberty SiriusXM Class A 93,616 4,525
  Sirius XM Holdings Inc. 631,074 4,512
  Toll Brothers Inc. 113,736 4,494
* Bright Horizons Family Solutions Inc. 29,665 4,458
* Liberty Broadband Corp. 35,418 4,454

 

96

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
* Liberty Media Corp-Liberty Formula One 90,972 4,182
  Kohl’s Corp. 81,914 4,174
  Carnival Corp. 81,336 4,134
* IAA Inc. 87,027 4,095
* AutoNation Inc. 81,769 3,976
  Wynn Resorts Ltd. 28,216 3,918
  Brinker International Inc. 92,728 3,895
  Vail Resorts Inc. 15,867 3,805
* Murphy USA Inc. 29,029 3,396
  Best Buy Co. Inc. 38,451 3,376
  Hanesbrands Inc. 224,904 3,340
  Aptiv plc 34,783 3,303
  Lear Corp. 24,028 3,297
* Madison Square Garden Co. Class A 10,563 3,108
  Ralph Lauren Corp. Class A 26,366 3,091
  Foot Locker Inc. 70,647 2,755
  John Wiley & Sons Inc. Class A 55,946 2,714
* LKQ Corp. 74,828 2,671
* frontdoor Inc. 55,654 2,639
* Liberty Broadband Corp. Class A 18,984 2,365
* Ulta Beauty Inc. 9,271 2,347
  Harley-Davidson Inc. 61,365 2,282
  Tractor Supply Co. 23,667 2,211
* Qurate Retail Group Inc. QVC Group Class A 260,906 2,199
* Floor & Decor Holdings Inc. Class A 43,059 2,188
* ServiceMaster Global Holdings Inc. 56,498 2,184
  TripAdvisor Inc. 71,280 2,165
* Skechers U.S.A. Inc. Class A 50,066 2,162
* Hilton Grand Vacations Inc. 62,103 2,136
  News Corp. Class A 149,164 2,109
* Liberty Media Corp-Liberty Formula One Class A 48,061 2,104
* Discovery Communications Inc. Class A 64,200 2,102
  Polaris Inc. 20,480 2,083
* Caesars Entertainment Corp. 147,969 2,012
  AMERCO 5,084 1,911
* Mattel Inc. 127,687 1,730
  Genuine Parts Co. 15,808 1,679
  Kontoor Brands Inc. 38,881 1,633
  KAR Auction Services Inc. 73,720 1,606
  H&R Block Inc. 66,404 1,559
  Gap Inc. 85,330 1,509
* Under Armour Inc. Class C 77,522 1,487
* DISH Network Corp. Class A 41,434 1,470
  Nordstrom Inc. 33,885 1,387
  Pool Corp. 6,204 1,318
  Domino’s Pizza Inc. 4,438 1,304
  Macy’s Inc. 75,151 1,278
* Urban Outfitters Inc. 44,921 1,247
* Roku Inc. 9,056 1,213
* Under Armour Inc. Class A 48,367 1,045
  Lennar Corp. Class B 23,267 1,040
  Graham Holdings Co. Class B 1,592 1,017
* Carvana Co. Class A 10,669 982
* Spotify Technology SA 6,231 932
  Tapestry Inc. 32,939 888
* Capri Holdings Ltd. 23,015 878
* Wayfair Inc. 8,312 751
* Five Below Inc. 5,820 744
* Grand Canyon Education Inc. 6,549 627
* Altice USA Inc. Class A 20,579 563
  Tiffany & Co. 4,100 548
  Fox Corp. Class A 10,081 374
* Planet Fitness Inc. Class A 2,517 188
* Ollie’s Bargain Outlet Holdings Inc. 2,421 158
* Etsy Inc. 3,395 150
  Nexstar Media Group Inc. Class A 1,169 137
  World Wrestling Entertainment Inc. Class A 2,033 132
* AMC Networks Inc. Class A 3,243 128
  Cable One Inc. 85 127
* Lyft Inc. Class A 2,663 115
  Sinclair Broadcast Group Inc. Class A 2,925 98
      1,693,253
Consumer Staples (5.6%)    
  Procter & Gamble Co. 931,201 116,307
  Coca-Cola Co. 1,244,816 68,901
  PepsiCo Inc. 468,147 63,982
  Philip Morris International Inc. 430,291 36,613
  Mondelez International Inc. Class A 615,978 33,928
  CVS Health Corp. 387,454 28,784
  Colgate-Palmolive Co. 383,803 26,421

 

97

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
  Altria Group Inc. 512,514 25,580
* Monster Beverage Corp. 287,298 18,258
  Constellation Brands Inc. Class A 88,522 16,797
  Walgreens Boots Alliance Inc. 278,675 16,431
  Tyson Foods Inc. Class A 173,743 15,818
  McCormick & Co. Inc. 87,047 14,774
  Kroger Co. 430,206 12,472
  Church & Dwight Co. Inc. 177,031 12,452
  Brown-Forman Corp. Class B 180,634 12,211
  Archer-Daniels-Midland Co. 262,946 12,187
  Hershey Co. 81,773 12,019
  Clorox Co. 75,781 11,635
  Hormel Foods Corp. 224,493 10,127
  Sysco Corp. 116,745 9,986
  Corteva Inc. 327,786 9,689
  Kimberly-Clark Corp. 54,893 7,550
  JM Smucker Co. 59,113 6,155
  General Mills Inc. 110,468 5,917
* Post Holdings Inc. 49,172 5,365
  Campbell Soup Co. 105,884 5,233
  Ingredion Inc. 56,113 5,216
  Molson Coors Brewing Co. Class B 84,565 4,558
* US Foods Holding Corp. 100,089 4,193
  Keurig Dr Pepper Inc. 143,954 4,167
  Energizer Holdings Inc. 67,490 3,389
  Kraft Heinz Co. 83,022 2,667
* TreeHouse Foods Inc. 52,782 2,560
* Herbalife Nutrition Ltd. 51,515 2,456
  Lamb Weston Holdings Inc. 24,565 2,113
* Pilgrim’s Pride Corp. 60,612 1,983
  Kellogg Co. 26,928 1,862
* Edgewell Personal Care Co. 60,063 1,860
  Bunge Ltd. 26,048 1,499
* Hain Celestial Group Inc. 53,330 1,384
* Sprouts Farmers Market Inc. 43,756 847
  Spectrum Brands Holdings Inc. 6,286 404
  Seaboard Corp. 83 353
  Conagra Brands Inc. 4,113 141
  Casey’s General Stores Inc. 660 105
* Beyond Meat Inc. 1,306 99
      657,448
Energy (3.7%)    
  Exxon Mobil Corp. 1,686,465 117,682
  Chevron Corp. 764,339 92,110
  ConocoPhillips 472,107 30,701
  Phillips 66 218,493 24,342
  EOG Resources Inc. 230,085 19,272
  Valero Energy Corp. 178,997 16,763
  Marathon Petroleum Corp. 245,919 14,817
  Pioneer Natural Resources Co. 78,485 11,880
  Kinder Morgan Inc. 534,913 11,324
  Occidental Petroleum Corp. 260,639 10,741
  Schlumberger Ltd. 233,905 9,403
  Diamondback Energy Inc . 89,012 8,266
  Hess Corp. 109,994 7,349
  Williams Cos. Inc. 283,277 6,719
  Concho Resources Inc. 75,821 6,640
* Cheniere Energy Inc. 102,661 6,270
  ONEOK Inc. 82,387 6,234
* WPX Energy Inc. 384,186 5,279
  Cabot Oil & Gas Corp. 222,628 3,876
  Marathon Oil Corp. 279,237 3,792
  Continental Resources Inc. 106,919 3,667
  Devon Energy Corp. 139,829 3,631
  National Oilwell Varco Inc. 131,442 3,293
* First Solar Inc. 49,748 2,784
  Cimarex Energy Co. 48,579 2,550
  HollyFrontier Corp. 41,563 2,108
  Halliburton Co. 62,502 1,529
  Parsley Energy Inc. Class A 65,330 1,235
  Helmerich & Payne Inc. 26,828 1,219
* Transocean Ltd. 102,950 708
* Apergy Corp. 15,179 513
  EQT Corp. 18,044 197
  Range Resources Corp. 24,916 121
  Valvoline Inc. 5,146 110
  Kosmos Energy Ltd. 16,488 94
* Extraction Oil & Gas Inc. 18,115 38
      437,257
Financial Services (20.7%)    
* Berkshire Hathaway Inc. Class B 769,961 174,396
  JPMorgan Chase & Co. 1,207,043 168,262
  Visa Inc. Class A 669,205 125,744
  Bank of America Corp. 3,315,425 116,769
  Mastercard Inc. Class A 356,429 106,426
  Wells Fargo & Co. 1,453,532 78,200
  Citigroup Inc. 926,430 74,012
* PayPal Holdings Inc. 528,692 57,189

 

98

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
  Global Payments Inc. 241,544 44,096
  American Tower Corp. 191,001 43,896
* Fiserv Inc. 322,884 37,335
  American Express Co. 289,950 36,096
  S&P Global Inc. 129,648 35,400
  Fidelity National Information Services Inc. 243,007 33,800
  Goldman Sachs Group Inc. 143,093 32,901
  Aon plc 131,905 27,474
  Morgan Stanley 530,762 27,133
  Truist Financial Corp. 480,800 27,079
  SBA Communications Corp. Class A 107,159 25,824
  MSCI Inc. Class A 95,195 24,577
  Intercontinental Exchange Inc. 259,482 24,015
  Charles Schwab Corp. 498,616 23,714
  US Bancorp 394,027 23,362
  Crown Castle International Corp. 159,136 22,621
  CME Group Inc. 111,837 22,448
  Chubb Ltd. 141,396 22,010
  Equinix Inc. 35,362 20,641
  Progressive Corp. 276,677 20,029
  Aflac Inc. 366,098 19,367
  Moody’s Corp. 78,635 18,669
  American International Group Inc. 363,610 18,664
  Simon Property Group Inc. 121,107 18,040
* CBRE Group Inc. Class A 291,081 17,840
  Discover Financial Services 203,501 17,261
  Prologis Inc. 188,813 16,831
  Marsh & McLennan Cos. Inc. 149,429 16,648
  Ameriprise Financial Inc. 92,568 15,420
  Prudential Financial Inc. 159,998 14,998
* Arch Capital Group Ltd. 348,207 14,935
  E*TRADE Financial Corp. 325,832 14,783
  Travelers Cos. Inc. 106,962 14,648
  AvalonBay Communities Inc. 69,577 14,590
  Equity LifeStyle Properties Inc. 191,794 3,500
  Equity Residential 166,819 13,499
  Public Storage 63,384 13,498
  PNC Financial Services Group Inc. 83,375 13,309
  Brown & Brown Inc. 334,965 13,224
  Allstate Corp. 115,698 13,010
  Capital One Financial Corp. 126,067 12,974
  State Street Corp. 162,620 12,863
  Nasdaq Inc. 119,193 12,766
  First Republic Bank 107,529 12,629
* Alleghany Corp. 15,731 12,578
  Globe Life Inc. 115,693 12,177
* Markel Corp. 10,580 12,095
  T. Rowe Price Group Inc. 97,206 11,844
  Boston Properties Inc. 83,611 11,527
  WR Berkley Corp. 164,960 11,399
  Essex Property Trust Inc. 37,831 11,382
  MetLife Inc. 221,633 11,297
  BlackRock Inc. 21,989 11,054
  Fifth Third Bancorp 355,261 10,921
  Reinsurance Group of America Inc. Class A 66,244 10,802
  Zions Bancorp NA 205,361 10,662
  Equifax Inc. 74,207 10,398
  Assurant Inc. 78,899 10,342
  Popular Inc. 173,287 10,181
  Commerce Bancshares Inc. 148,987 10,122
  KeyCorp 480,194 9,719
  Synchrony Financial 266,799 9,607
  Extra Space Storage Inc. 90,064 9,513
  Bank of New York Mellon Corp. 184,838 9,303
  M&T Bank Corp. 53,649 9,107
  Lincoln National Corp. 153,393 9,052
  SEI Investments Co. 137,300 8,990
  Mid-America Apartment Communities Inc. 66,519 8,771
  American Homes 4 Rent Class A 333,815 8,749
  Jones Lang LaSalle Inc. 50,070 8,717
  American Financial Group Inc. 77,627 8,512
  Welltower Inc. 103,325 8,450
  Raymond James Financial Inc. 93,628 8,376
  Digital Realty Trust Inc. 69,624 8,337
* Howard Hughes Corp. 64,634 8,196
* FleetCor Technologies Inc. 28,478 8,194
  TD Ameritrade Holding Corp. 164,619 8,182
  Douglas Emmett Inc. 186,261 8,177
  Lamar Advertising Co. Class A 90,728 8,098
  Apartment Investment & Management Co. 156,377 8,077
  Loews Corp. 152,182 7,988
  White Mountains Insurance Group Ltd. 6,827 7,616
  Hanover Insurance Group Inc. 55,215 7,546
  Alexandria Real Estate Equities Inc. 46,528 7,518

 

99

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
  Jack Henry & Associates Inc. 49,725 7,243
  Broadridge Financial Solutions Inc. 58,022 7,168
  East West Bancorp Inc. 139,722 6,804
  Principal Financial Group Inc. 123,694 6,803
  Federal Realty Investment Trust 51,545 6,635
  SLM Corp. 689,030 6,139
* CoreLogic Inc. 140,365 6,135
  Host Hotels & Resorts Inc. 330,078 6,123
  Signature Bank 44,094 6,024
  First Horizon National Corp. 351,308 5,818
  TFS Financial Corp. 295,507 5,816
  Equity Commonwealth 174,940 5,743
  Camden Property Trust 51,152 5,427
* Euronet Worldwide Inc. 34,336 5,410
  Hartford Financial Services Group Inc. 86,154 5,236
  Ventas Inc. 90,000 5,197
  Eaton Vance Corp. 105,704 4,935
  Invitation Homes Inc. 164,474 4,929
  Unum Group 168,928 4,926
  Cullen/Frost Bankers Inc. 49,789 4,868
  Willis Towers Watson plc 22,313 4,506
  Voya Financial Inc. 68,798 4,195
  Associated Banc-Corp 186,558 4,112
  Weyerhaeuser Co. 133,802 4,041
  BOK Financial Corp. 44,476 3,887
  CNA Financial Corp. 82,371 3,691
  Jefferies Financial Group Inc. 169,664 3,626
* Square Inc. 54,126 3,386
  Retail Properties of America Inc. 247,499 3,316
  Realty Income Corp. 44,771 3,296
  Omega Healthcare Investors Inc. 76,000 3,219
  Northern Trust Corp. 30,049 3,192
  Interactive Brokers Group Inc. 65,182 3,039
  Service Properties Trust 118,958 2,894
  Santander Consumer USA Holdings Inc. 121,841 2,847
  Bank of Hawaii Corp. 28,685 2,730
  OneMain Holdings Inc. 64,532 2,720
* WEX Inc. 12,643 2,648
  People’s United Financial Inc. 148,470 2,509
* Credit Acceptance Corp. 5,424 2,399
* Zillow Group Inc. 52,132 2,395
  Fidelity National Financial Inc. 51,473 2,334
* Athene Holding Ltd. Class A 47,752 2,246
  Affiliated Managers Group Inc. 25,398 2,152
  Navient Corp. 157,084 2,149
  Ally Financial Inc. 69,031 2,110
* Brighthouse Financial Inc. 51,878 2,035
  Paramount Group Inc. 145,970 2,032
  SL Green Realty Corp. 21,486 1,974
  JBG SMITH Properties 47,389 1,890
* SVB Financial Group 6,580 1,652
* Zillow Group Inc. Class A 35,217 1,611
  Duke Realty Corp. 44,127 1,530
  VICI Properties Inc. 59,698 1,525
  Western Alliance Bancorp 26,433 1,507
  TransUnion 17,546 1,502
* Texas Capital Bancshares Inc. 23,413 1,329
  Alliance Data Systems Corp. 11,568 1,298
  Vornado Realty Trust 18,584 1,236
  Lazard Ltd. Class A 26,995 1,079
  Arthur J Gallagher & Co. 11,257 1,072
  MGIC Investment Corp. 68,652 973
  Iron Mountain Inc. 26,870 856
* Fair Isaac Corp. 2,023 758
  Annaly Capital Management Inc. 64,371 606
  Franklin Resources Inc. 7,754 201
  First Citizens BancShares Inc. Class A 325 173
  AXA Equitable Holdings Inc. 5,156 128
  MarketAxess Holdings Inc. 330 125
  TCF Financial Corp. 2,647 124
  Synovus Financial Corp. 3,125 123
  LPL Financial Holdings Inc. 1,310 121
  Everest Re Group Ltd. 436 121
  RenaissanceRe Holdings Ltd. 615 121
  FactSet Research Systems Inc. 444 119
  Kemper Corp. 1,529 118
  BankUnited Inc. 3,203 117
  Cousins Properties Inc. 2,840 117
  Assured Guaranty Ltd. 2,371 116
  Axis Capital Holdings Ltd. 1,934 115
  Primerica Inc. 877 115
  Kilroy Realty Corp. 1,359 114
  Prosperity Bancshares Inc. 1,579 114
  American National Insurance Co. 953 112
  Old Republic International Corp. 5,010 112
  Sun Communities Inc. 727 109

 

100

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
  Evercore Inc. Class A 1,454 109
  Cincinnati Financial Corp. 1,028 108
  Empire State Realty Trust Inc. 7,687 107
  CyrusOne Inc. 1,635 107
  Morningstar Inc. 701 106
  Americold Realty Trust 2,998 105
* LendingTree Inc. 311 94
      2,449,825
Health Care (13.2%)    
  Johnson & Johnson 1,008,301 147,081
  UnitedHealth Group Inc. 351,874 103,444
  Merck & Co. Inc. 894,328 81,339
  Pfizer Inc. 1,984,454 77,751
  Amgen Inc. 247,879 59,756
  Bristol-Myers Squibb Co. 921,157 59,129
  Medtronic plc 482,492 54,739
  Abbott Laboratories 629,221 54,654
  Thermo Fisher Scientific Inc. 157,597 51,198
  AbbVie Inc. 532,076 47,110
  Eli Lilly & Co. 308,452 40,540
  Cigna Corp. 178,369 36,475
* Boston Scientific Corp. 792,501 35,837
  Danaher Corp. 230,391 35,360
  Becton Dickinson and Co. 127,458 34,665
  Zoetis Inc. 252,858 33,466
  Anthem Inc. 107,842 32,571
  Gilead Sciences Inc. 489,864 31,831
* Vertex Pharmaceuticals Inc. 113,939 24,947
  Humana Inc. 66,063 24,213
  Stryker Corp. 114,829 24,107
* Biogen Inc. 77,613 23,030
* Intuitive Surgical Inc. 35,745 21,131
  Allergan plc 99,821 19,083
  Agilent Technologies Inc. 205,348 17,518
* Illumina Inc. 48,292 16,020
  Teleflex Inc. 42,526 16,008
  Zimmer Biomet Holdings Inc. 100,650 15,065
  Baxter International Inc. 172,219 14,401
  Cooper Cos. Inc. 44,717 14,367
* Edwards Lifesciences Corp. 59,924 13,980
* Laboratory Corp. of America Holdings 75,986 12,855
* DexCom Inc. 52,005 11,376
* Charles River Laboratories International Inc. 72,271 11,040
  PerkinElmer Inc. 107,266 10,415
  Universal Health Services Inc. Class B 72,089 10,342
  McKesson Corp. 74,449 10,298
* Centene Corp. 159,239 10,011
  HCA Healthcare Inc. 66,645 9,851
* IQVIA Holdings Inc. 62,940 9,725
  Bio-Techne Corp. 42,649 9,362
  AmerisourceBergen Corp. Class A 108,828 9,253
  Quest Diagnostics Inc. 81,296 8,682
  Bruker Corp. 165,302 8,425
* Incyte Corp. 93,378 8,154
  Cerner Corp. 107,105 7,860
  Cardinal Health Inc. 149,543 7,564
* QIAGEN NV 220,998 7,470
* Seattle Genetics Inc. 62,099 7,095
* Regeneron Pharmaceuticals Inc. 18,762 7,045
  Dentsply Sirona Inc. 116,754 6,607
* Varian Medical Systems Inc. 45,230 6,423
* WellCare Health Plans Inc. 18,547 6,124
* Veeva Systems Inc. Class A 43,045 6,055
* Exelixis Inc. 340,993 6,008
* Ionis Pharmaceuticals Inc. 95,586 5,774
* Alnylam Pharmaceuticals Inc. 48,448 5,580
* IDEXX Laboratories Inc. 19,745 5,156
* Hologic Inc. 93,717 4,893
* Bio-Rad Laboratories Inc. Class A 11,991 4,437
  STERIS plc 23,039 3,512
* Alexion Pharmaceuticals Inc. 28,689 3,103
* BioMarin Pharmaceutical Inc. 36,046 3,048
* Premier Inc. Class A 80,199 3,038
* Catalent Inc. 52,604 2,962
  ResMed Inc. 18,987 2,942
* Neurocrine Biosciences Inc. 26,196 2,816
* Align Technology Inc. 9,879 2,757
* DaVita Inc. 31,684 2,377
* Elanco Animal Health Inc. 77,515 2,283
* Jazz Pharmaceuticals plc 14,497 2,164
* Exact Sciences Corp. 22,681 2,098
* Insulet Corp. 10,856 1,859
* Envista Holdings Corp. 58,389 1,731
* Molina Healthcare Inc. 12,614 1,712
  Hill-Rom Holdings Inc. 14,895 1,691
  West Pharmaceutical Services Inc. 11,079 1,665
* Penumbra Inc. 9,688 1,591

 

101

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
* Varex Imaging Corp. 52,023 1,551
* Integra LifeSciences Holdings Corp. 24,435 1,424
* Brookdale Senior Living Inc. 185,880 1,351
* Acadia Healthcare Co. Inc. 40,029 1,330
* Masimo Corp. 7,510 1,187
* Moderna Inc. 60,476 1,183
* MEDNAX Inc. 39,370 1,094
* Horizon Therapeutics plc 29,497 1,068
* PRA Health Sciences Inc. 9,339 1,038
* United Therapeutics Corp. 9,981 879
* Sage Therapeutics Inc. 9,761 705
* Alkermes plc 24,047 491
* ABIOMED Inc. 1,539 263
  Cantel Medical Corp. 3,447 244
* Agios Pharmaceuticals Inc. 5,000 239
* Nektar Therapeutics Class A 9,862 213
* Change Healthcare Inc. 9,092 149
* Avantor Inc. 7,665 139
* ICU Medical Inc. 700 131
* Sarepta Therapeutics Inc. 940 121
  Chemed Corp. 276 121
  Encompass Health Corp. 1,644 114
* Bluebird Bio Inc. 1,100 96
      1,553,176
Materials & Processing (3.2%)    
  Linde plc 184,588 39,299
  Sherwin-Williams Co. 43,498 25,383
  Ecolab Inc. 125,415 24,204
  DuPont de Nemours Inc. 307,130 19,718
  Dow Inc. 314,018 17,186
  Air Products & Chemicals Inc. 62,536 14,695
  FMC Corp. 143,517 14,326
  Ball Corp. 220,454 14,257
  Martin Marietta Materials Inc. 49,589 13,867
  Newmont Goldcorp Corp. 314,192 13,652
  Celanese Corp. Class A 110,321 13,583
  Vulcan Materials Co. 92,665 13,343
  LyondellBasell Industries NV Class A 131,236 12,399
  Lennox International Inc. 46,508 11,346
* Crown Holdings Inc. 141,158 10,240
  Fastenal Co. 264,288 9,765
  Armstrong World Industries Inc. 92,828 8,723
  Southern Copper Corp. 186,743 7,933
  Owens Corning 107,734 7,016
  Albemarle Corp. 95,102 6,946
  Ingersoll-Rand plc 51,877 6,895
  PPG Industries Inc. 49,530 6,612
  Scotts Miracle-Gro Co. 58,646 6,227
  Reliance Steel & Aluminum Co. 50,788 6,082
  Freeport-McMoRan Inc. 450,989 5,917
  Sealed Air Corp. 131,394 5,233
  Valmont Industries Inc. 30,964 4,638
  Nucor Corp. 80,394 4,525
  WR Grace & Co. 60,648 4,236
  Westlake Chemical Corp. 58,398 4,097
  Packaging Corp. of America 28,454 3,186
  CF Industries Holdings Inc. 65,232 3,114
  Eagle Materials Inc. 31,299 2,838
* Axalta Coating Systems Ltd. 77,047 2,342
  International Paper Co. 49,617 2,285
  Mosaic Co. 92,171 1,995
* Livent Corp. 227,662 1,946
* Element Solutions Inc. 158,204 1,848
  Eastman Chemical Co. 22,263 1,764
  Hexcel Corp. 18,291 1,341
* Berry Global Group Inc. 19,443 923
  Royal Gold Inc. 6,912 845
* Alcoa Corp. 33,190 714
* AdvanSix Inc. 12,732 254
  Domtar Corp. 3,305 126
  AptarGroup Inc. 1,052 122
  Graphic Packaging Holding Co. 7,150 119
  RPM International Inc. 1,537 118
  Silgan Holdings Inc. 3,766 117
  NewMarket Corp. 234 114
  Ashland Global Holdings Inc. 1,448 111
  United States Steel Corp. 8,727 100
      378,665
Other (0.0%)    
*,§ American International Group Inc. Warrants Exp. 01/19/2021 6,859
       
Producer Durables (10.2%)    
  Boeing Co. 215,415 70,174
  Union Pacific Corp. 278,871 50,417
  Accenture plc Class A 225,325 47,447
  United Technologies Corp. 314,383 47,082
  Honeywell International Inc. 252,812 44,748
  General Electric Co. 2,911,755 32,495
* Copart Inc. 316,653 28,796
  Lockheed Martin Corp. 70,008 27,260
  3M Co. 150,744 26,594
  CSX Corp. 357,850 25,894
  Illinois Tool Works Inc. 140,698 25,274

 

102

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
  Northrop Grumman Corp. 73,450 25,265
  Norfolk Southern Corp. 126,078 24,476
  TransDigm Group Inc. 42,645 23,881
  Caterpillar Inc. 153,773 22,709
  Automatic Data Processing Inc. 129,154 22,021
  Verisk Analytics Inc. Class A 139,675 20,859
* Mettler-Toledo International Inc. 25,908 20,552
  General Dynamics Corp. 116,508 20,546
  Cintas Corp. 75,609 20,345
  Roper Technologies Inc. 54,880 19,440
  Delta Air Lines Inc. 324,584 18,982
  Raytheon Co. 82,709 18,174
  United Parcel Service Inc. Class B 149,080 17,451
  Southwest Airlines Co. 321,944 17,379
* United Airlines Holdings Inc. 194,265 17,113
  Waste Management Inc. 149,550 17,043
* Waters Corp. 71,763 16,767
  FedEx Corp. 110,809 16,755
  Old Dominion Freight Line Inc. 83,077 15,766
  Deere & Co. 88,252 15,291
  AMETEK Inc. 153,098 15,270
  Parker-Hannifin Corp. 70,977 14,608
* Keysight Technologies Inc. 135,638 13,921
  IDEX Corp. 78,733 13,542
  Jacobs Engineering Group Inc. 141,129 12,678
  Eaton Corp. plc 132,269 12,529
  Emerson Electric Co. 163,699 12,484
  Huntington Ingalls Industries Inc. 48,395 12,141
  PACCAR Inc. 147,855 11,695
  Toro Co. 139,713 11,131
  Expeditors International of Washington Inc. 142,407 11,111
* CoStar Group Inc. 18,223 10,903
  Carlisle Cos. Inc. 61,798 10,001
* Zebra Technologies Corp. 38,966 9,953
  Fortive Corp. 126,325 9,650
  Cummins Inc. 52,527 9,400
  JB Hunt Transport Services Inc. 78,704 9,191
  FLIR Systems Inc. 176,064 9,168
  BWX Technologies Inc. 146,472 9,093
  Landstar System Inc. 78,365 8,923
* HD Supply Holdings Inc. 209,538 8,428
  WW Grainger Inc. 24,754 8,380
  Genpact Ltd. 193,618 8,165
  AGCO Corp. 105,204 8,127
  Oshkosh Corp. 83,375 7,891
  Textron Inc. 170,296 7,595
  Xylem Inc. 94,346 7,434
  Wabtec Corp. 88,421 6,879
  Donaldson Co. Inc. 115,583 6,660
  Robert Half International Inc. 96,224 6,077
  ManpowerGroup Inc. 60,005 5,826
  Xerox Holdings Corp. 151,726 5,594
  Graco Inc. 98,621 5,128
  ITT Inc. 68,646 5,074
  Stanley Black & Decker Inc. 29,193 4,838
  Flowserve Corp. 90,121 4,485
  CH Robinson Worldwide Inc. 48,555 3,797
  Allison Transmission Holdings Inc. 76,765 3,709
* Teledyne Technologies Inc. 10,446 3,620
  Rockwell Automation Inc. 17,102 3,466
* Kirby Corp. 37,893 3,393
  HEICO Corp. 28,866 3,295
  MSC Industrial Direct Co. Inc. Class A 41,610 3,265
* Clean Harbors Inc. 36,566 3,136
* Trimble Inc. 69,227 2,886
  Republic Services Inc. Class A 31,721 2,843
* Stericycle Inc. 40,057 2,556
  Quanta Services Inc. 62,470 2,543
* Middleby Corp. 22,347 2,447
* Sensata Technologies Holding plc 41,883 2,256
  Johnson Controls International plc 46,195 1,881
* AECOM 42,191 1,820
  Allegion plc 13,639 1,699
  Spirit AeroSystems Holdings Inc. Class A 11,284 822
  Dover Corp. 6,200 715
* Resideo Technologies Inc. 23,402 279
* Gates Industrial Corp. plc 9,835 135
  Avery Dennison Corp. 858 112
      1,201,644
Technology (23.4%)    
  Apple Inc. 1,747,810 513,244
  Microsoft Corp. 2,975,135 469,179
* Facebook Inc. Class A 940,605 193,059
* Alphabet Inc. Class A 117,540 157,432
* Alphabet Inc. Class C 117,599 157,232
  Intel Corp. 1,695,880 101,498

 

103

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

      Market
      Value
    Shares ($000)
  Cisco Systems Inc. 1,532,818 73,514
* Adobe Inc. 214,244 70,660
* salesforce.com Inc. 354,015 57,577
  NVIDIA Corp. 239,798 56,424
  Texas Instruments Inc. 383,402 49,187
  Broadcom Inc. 138,444 43,751
  Oracle Corp. 812,894 43,067
  QUALCOMM Inc. 480,913 42,431
  International Business Machines Corp. 291,673 39,096
  Intuit Inc. 132,640 34,742
  Applied Materials Inc. 533,823 32,585
  Lam Research Corp. 99,838 29,193
* Autodesk Inc. 137,631 25,250
* Micron Technology Inc. 425,885 22,904
* Cadence Design Systems Inc. 319,022 22,127
* Synopsys Inc. 152,426 21,218
  Amphenol Corp. Class A 175,784 19,025
  Activision Blizzard Inc. 304,233 18,078
  Teradyne Inc. 262,921 17,929
  L3Harris Technologies Inc. 87,964 17,405
  KLA Corp. 97,261 17,329
  Analog Devices Inc. 135,294 16,078
  Cognizant Technology Solutions Corp. Class A 253,168 15,702
* ServiceNow Inc. 54,181 15,296
* Advanced Micro Devices Inc. 319,634 14,658
  Hewlett Packard Enterprise Co. 874,455 13,869
  Corning Inc. 471,175 13,716
* Arrow Electronics Inc. 133,283 11,294
  Citrix Systems Inc. 101,633 11,271
* IAC/InterActiveCorp 44,069 10,978
  NortonLifeLock Inc. 379,492 9,685
  Dolby Laboratories Inc. Class A 133,954 9,216
  HP Inc. 445,413 9,153
* Workday Inc. Class A 55,503 9,127
* Fortinet Inc. 84,331 9,003
  Xilinx Inc. 89,071 8,708
  NetApp Inc. 137,603 8,566
* VeriSign Inc. 43,434 8,369
* Palo Alto Networks Inc. 34,637 8,010
* ANSYS Inc. 29,959 7,712
* Gartner Inc. 49,072 7,562
* Twitter Inc. 229,927 7,369
* Electronic Arts Inc. 66,826 7,184
  Juniper Networks Inc. 289,182 7,123
  Motorola Solutions Inc. 43,807 7,059
  Western Digital Corp. 110,879 7,038
  CDK Global Inc. 128,095 7,004
* Black Knight Inc. 105,414 6,797
* Atlassian Corp. plc Class A 53,785 6,473
  SS&C Technologies Holdings Inc. 98,520 6,049
* IHS Markit Ltd. 78,731 5,932
  Microchip Technology Inc. 54,585 5,716
* Teradata Corp. 207,261 5,548
* Zynga Inc. Class A 891,963 5,459
  DXC Technology Co. 142,260 5,348
* Guidewire Software Inc. 46,077 5,058
  Avnet Inc. 118,483 5,028
* VMware Inc. Class A 31,779 4,824
* NCR Corp. 134,225 4,719
* Match Group Inc. 56,332 4,625
* GoDaddy Inc. Class A 64,950 4,411
* Qorvo Inc. 37,483 4,357
* Splunk Inc. 28,929 4,333
  Skyworks Solutions Inc. 32,649 3,947
* Dell Technologies Inc. 73,325 3,768
* ON Semiconductor Corp. 145,772 3,554
  Universal Display Corp. 16,029 3,303
* Manhattan Associates Inc. 39,083 3,117
* Okta Inc. 25,293 2,918
  Leidos Holdings Inc. 27,380 2,680
* F5 Networks Inc. 18,986 2,651
* Tyler Technologies Inc. 8,729 2,619
* Akamai Technologies Inc. 25,701 2,220
  CDW Corp. 15,100 2,157
* PTC Inc. 28,583 2,141
* IPG Photonics Corp. 14,430 2,091
* Nuance Communications Inc. 116,275 2,073
* FireEye Inc. 115,321 1,906
  Perspecta Inc. 71,796 1,898
* Zendesk Inc. 21,990 1,685
* Arista Networks Inc. 7,522 1,530
* Coherent Inc. 9,143 1,521
* Twilio Inc. Class A 14,822 1,457
* Take-Two Interactive Software Inc. 11,635 1,425
* DocuSign Inc. Class A 19,047 1,412
* EchoStar Corp. Class A 32,502 1,408
  Cognex Corp. 22,455 1,258
* RingCentral Inc. Class A 7,454 1,257
* Nutanix Inc. 36,620 1,145
* Ceridian HCM Holding Inc. 15,975 1,084
* SolarWinds Corp. 55,747 1,034
* Aspen Technology Inc. 8,143 985
  Marvell Technology Group Ltd. 35,601 946
* Paycom Software Inc. 3,512 930
* Proofpoint Inc. 7,935 911
  Amdocs Ltd. 11,987 865

 

104

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

        Market
        Value
    Shares   ($000)
* CACI International Inc. Class A 3,429   857
* EPAM Systems Inc. 4,020   853
* Ciena Corp. 19,765   844
* Pure Storage Inc. Class A 45,526   779
* RealPage Inc. 14,075   757
* Covetrus Inc. 47,007   621
* Cree Inc. 13,343   616
* Avalara Inc. 7,004   513
* HubSpot Inc. 2,804   444
* Cerence Inc. 14,534   329
* ViaSat Inc. 2,777   203
* MongoDB Inc. 1,467   193
* Elastic NV 2,440   157
        2,761,625
Utilities (5.1%)      
  AT&T Inc. 2,659,857   103,947
  Verizon Communications Inc. 1,477,984   90,748
  NextEra Energy Inc. 187,696   45,452
  Duke Energy Corp. 314,968   28,728
  Dominion Energy Inc. 326,929   27,076
  Southern Co. 334,385   21,300
  Sempra Energy 127,537   19,319
  WEC Energy Group Inc. 202,181   18,647
  Exelon Corp. 407,288   18,568
* T- Mobile US Inc. 223,379   17,517
  Eversource Energy 183,279   15,591
  American Water Works Co. Inc. 122,204   15,013
  Consolidated Edison Inc. 161,276   14,591
  CMS Energy Corp. 213,518   13,417
  Edison International 169,439   12,777
  FirstEnergy Corp. 234,138   11,379
  Atmos Energy Corp. 90,400   10,112
  Aqua America Inc. 196,309   9,215
  DTE Energy Co. 70,376   9,140
  Public Service Enterprise Group Inc. 153,187   9,046
  NiSource Inc. 305,204   8,497
  American Electric Power Co. Inc. 89,363   8,446
  AES Corp. 421,190   8,382
  CenterPoint Energy Inc. 269,994   7,363
  UGI Corp. 162,306   7,330
* Sprint Corp. 1,070,365   5,577
  Entergy Corp. 43,998   5,271
  Alliant Energy Corp. 91,615   5,013
  Telephone & Data Systems Inc. 182,429   4,639
  PPL Corp. 122,981   4,413
  Evergy Inc. 63,513   4,134
  NRG Energy Inc. 101,599   4,039
* GCI Liberty Inc. Class A 55,413   3,926
* Zayo Group Holdings Inc. 93,473   3,239
  Vistra Energy Corp. 120,714   2,775
* United States Cellular Corp. 70,607   2,558
* PG&E Corp. 20,693   225
  Xcel Energy Inc. 1,870   119
  Ameren Corp. 1,506   116
  IDACORP Inc. 1,074   115
        597,760
Total Common Stocks
(Cost $4,558,687)
    11,730,653
Temporary Cash Investments (0.5%)1
Money Market Fund (0.5%)      
2 Vanguard Market Liquidity Fund, 1.816% 628,747   62,881
         
    Face    
    Amount    
    ($000)    
U.S. Government and Agency Obligations (0.0%)
3 United States Treasury Bill, 1.537%, 2/13/20 350   349
3 United States Treasury Bill, 1.541%, 4/30/20 750   746
        1,095
Total Temporary Cash Investments
(Cost $63,977)
    63,976
Total Investments (99.9%)
(Cost $4,622,664)
    11,794,629

 

  105  

 

 

Tax-Managed Capital Appreciation Fund

 

 

  Amount
  ($000)
Other Assets and Liabilities (0.1%)  
Other Assets  
Investment in Vanguard 517
Receivables for Accrued Income 10,524
Receivables for Capital Shares Issued 5,161
Variation Margin Receivable—Futures Contracts 168
Other Assets3 1,627
Total Other Assets 17,997
Liabilities  
Payables for Investment Securities Purchased (64)
Payables for Capital Shares Redeemed (7,179)
Payables to Vanguard (2,697)
Other Liabilities (19)
Total Liabilities (9,959)
Net Assets (100%) 11,802,667

 

 

At December 31, 2019, net assets consisted of:

 

  Amount
  ($000)
Paid-in Capital 4,757,617
Total Distributable Earnings (Loss) 7,045,050
Net Assets 11,802,667
   
Admiral Shares—Net Assets  
Applicable to 63,755,952 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 10,579,257
Net Asset Value Per Share—Admiral Shares $165.93

 

  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 14,837,299 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 1,223,410
Net Asset Value Per Share—Institutional Shares $82.46

 

See Note A in Notes to Financial Statements.
* Non-income-producing security.
§ Security value determined using significant unobservable inputs.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and (0.1%), respectively, of net assets.
2 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
3 Securities with a value of $1,095,000 and cash of $1,627,000 have been segregated as initial margin for open futures contracts.

 

  106  

 

 

Tax-Managed Capital Appreciation Fund

 

 

Derivative Financial Instruments Outstanding as of Period End      
           
Futures Contracts          
          ($000)
          Value and
    Number of     Unrealized
    Long (Short)   Notional Appreciation
  Expiration Contracts   Amount (Depreciation)
Long Futures Contracts          
E-mini S&P 500 Index March 2020 469   75,769 56

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  107  

 

 

Tax-Managed Capital Appreciation Fund

 

 

Statement of Operations

 

 

  Year Ended
  December 31, 2019
  ($000)
Investment Income  
Income  
Dividends 188,801
Interest1 278
Total Income 189,079
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,567
Management and Administrative—Admiral Shares 6,546
Management and Administrative—Institutional Shares 469
Marketing and Distribution—Admiral Shares 356
Marketing and Distribution—Institutional Shares 19
Custodian Fees 102
Auditing Fees 33
Shareholders’ Reports—Admiral Shares 56
Shareholders’ Reports—Institutional Shares
Trustees’ Fees and Expenses 5
Total Expenses 9,153
Net Investment Income 179,926
Realized Net Gain (Loss)  
Investment Securities Sold1,2 92,050
Futures Contracts 3,046
Realized Net Gain (Loss) 95,096
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 2,539,434
Futures Contracts 56
Change in Unrealized Appreciation (Depreciation) 2,539,490
Net Increase (Decrease) in Net Assets Resulting from Operations 2,814,512

 

1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $249,000, ($2,000), and ($1,000), respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $134,152,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  108  

 

 

Tax-Managed Capital Appreciation Fund

 

 

Statement of Changes in Net Assets

 

 

  Year Ended December 31,
  2019 2018
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 179,926 161,437
Realized Net Gain (Loss) 95,096 96,029
Change in Unrealized Appreciation (Depreciation) 2,539,490 (718,899)
Net Increase (Decrease) in Net Assets Resulting from Operations 2,814,512 (461,433)
Distributions    
Net Investment Income    
Admiral Shares (158,601) (141,731)
Institutional Shares (19,010) (17,650)
Realized Capital Gain    
Admiral Shares
Institutional Shares
Total Distributions (177,611) (159,381)
Capital Share Transactions    
Admiral Shares 269,997 362,698
Institutional Shares (7,534) 11,875
Net Increase (Decrease) from Capital Share Transactions 262,463 374,573
Total Increase (Decrease) 2,899,364 (246,241)
Net Assets    
Beginning of Period 8,903,303 9,149,544
End of Period 11,802,667 8,903,303

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  109  

 

 

Tax-Managed Capital Appreciation Fund

 

 

Financial Highlights

 

 

Admiral Shares          
           
For a Share Outstanding     Year Ended December 31,
Throughout Each Period 2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $128.29 $137.30 $114.08 $103.75 $103.82
Investment Operations          
Net Investment Income 2.5571 2.3851 2.1661 2.004 1.764
Net Realized and Unrealized Gain (Loss) on Investments 37.603 (9.045) 23.211 10.332 (.082)
Total from Investment Operations 40.160 (6.660) 25.377 12.336 1.682
Distributions          
Dividends from Net Investment Income (2.520) (2.350) (2.157) (2.006) (1.752)
Distributions from Realized Capital Gains
Total Distributions (2.520) (2.350) (2.157) (2.006) (1.752)
Net Asset Value, End of Period $165.93 $128.29 $137.30 $114.08 $103.75
           
Total Return2 31.46% -4.97% 22.40% 12.01% 1.68%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $10,579 $7,951 $8,143 $6,793 $5,982
Ratio of Total Expenses to Average Net Assets 0.09% 0.09% 0.09% 0.09% 0.11%
Ratio of Net Investment Income to Average Net Assets 1.70% 1.69% 1.73% 1.89% 1.69%
Portfolio Turnover Rate3 5% 6% 7% 8% 10%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  110  

 

 

Tax-Managed Capital Appreciation Fund

 

 

Financial Highlights

 

 

Institutional Shares          
           
For a Share Outstanding     Year Ended December 31,
Throughout Each Period 2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $63.75 $68.23 $56.69 $51.55 $51.59
Investment Operations          
Net Investment Income 1.2921 1.2071 1.0991 1.011 .897
Net Realized and Unrealized Gain (Loss) on Investments 18.693 (4.499) 11.531 5.141 (.046)
Total from Investment Operations 19.985 (3.292) 12.630 6.152 .851
Distributions          
Dividends from Net Investment Income (1.275) (1.188) (1.090) (1.012) (.891)
Distributions from Realized Capital Gains
Total Distributions (1.275) (1.188) (1.090) (1.012) (.891)
Net Asset Value, End of Period $82.46 $63.75 $68.23 $56.69 $51.55
           
Total Return 31.51% -4.95% 22.43% 12.06% 1.71%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,223 $952 $1,006 $613 $564
Ratio of Total Expenses to Average Net Assets 0.06% 0.06% 0.06% 0.06% 0.07%
Ratio of Net Investment Income to Average Net Assets 1.73% 1.72% 1.76% 1.92% 1.73%
Portfolio Turnover Rate2 5% 6% 7% 8% 10%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  111  

 

 

Tax-Managed Capital Appreciation Fund

 

 

Notes to Financial Statements

 

 

Vanguard Tax-Managed Capital Appreciation Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers two classes of shares: Admiral Shares and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors.

 

A.  The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

 

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objective of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase or sell futures contracts to achieve a desired level of investment, whether to accommodate portfolio turnover or cash flows from capital share transactions. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

During the year ended December 31, 2019, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2016–2019), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

  112  

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

 

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2019, or at any time during the period then ended.

 

6. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

B.  In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2019, the fund had contributed to Vanguard capital in the amount of $517,000, representing less than 0.01% of the fund’s net assets and 0.21% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

  113  

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

 

 

C.  Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

 

Level 1—Quoted prices in active markets for identical securities.

Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments and derivatives as of December 31, 2019, based on the inputs used to value them:

 

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 11,730,653
Temporary Cash Investments 62,881 1,095
Futures Contracts—Assets1 168
Total 11,793,702 1,095

 

1 Represents variation margin on the last day of the reporting period.

 

D.  Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions were reclassified between the following accounts:

 

  Amount
  ($000)
Paid-in Capital 134,152
Total Distributable Earnings (Loss) (134,152)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

  Amount
  ($000)
Undistributed Ordinary Income 3,487
Undistributed Long-Term Gains
Capital Loss Carryforwards (Non-expiring) (128,236)
Net Unrealized Gains (Losses) 7,171,965

 

  114  

 

 

Tax-Managed Capital Appreciation Fund

 

 

 

 

 

As of December 31, 2019, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

  Amount
  ($000)
Tax Cost 4,622,664
Gross Unrealized Appreciation 7,189,229
Gross Unrealized Depreciation (17,264)
Net Unrealized Appreciation (Depreciation) 7,171,965

 

E.  During the year ended December 31, 2019, the fund purchased $872,804,000 of investment securities and sold $673,588,000 of investment securities, other than temporary cash investments. Purchases and sales include $0 and $180,552,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

F.  Capital share transactions for each class of shares were:

 

  Year Ended December 31,
    2019     2018
  Amount Shares   Amount Shares
  ($000) (000)   ($000) (000)
Admiral Shares          
Issued 842,966 5,578   940,792 6,818
Issued in Lieu of Cash Distributions 111,351 721   101,524 729
Redeemed (684,320) (4,522)   (679,618) (4,878)
Net Increase (Decrease)—Admiral Shares 269,997 1,777   362,698 2,669
Institutional Shares          
Issued 37,251 494   38,283 549
Issued in Lieu of Cash Distributions 9,015 118   9,957 143
Redeemed (53,800) (705)   (36,365) (509)
Net Increase (Decrease)—Institutional Shares (7,534) (93)   11,875 183

 

G.  Management has determined that no events or transactions occurred subsequent to December 31, 2019, that would require recognition or disclosure in these financial statements.

 

  115  

 

 

Tax-Managed Small-Cap Fund

 

 

Performance Summary

 

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

 

Cumulative Performance: December 31, 2009, Through December 31, 2019

Initial Investment of $10,000

 

 

  Average Annual Total Returns  
  Periods Ended December 31, 2019  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Tax-Managed Small-Cap Fund Admiral Shares 23.28% 9.46% 13.29% $34,831
S&P SmallCap 600 Index 22.78 9.56 13.35 35,013
Dow Jones U.S. Total Stock Market Float Adjusted Index 30.90 11.18 13.43 35,251

 

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Tax-Managed Small-Cap Fund Institutional Shares 23.30% 9.50% 13.33% $17,482,122
S&P SmallCap 600 Index 22.78 9.56 13.35 17,506,466
Dow Jones U.S. Total Stock Market Float Adjusted Index 30.90 11.18 13.43 17,625,579

 

 

 

 

 

 

See Financial Highlights for dividend and capital gains information.

 

  116  

 

 

Tax-Managed Small-Cap Fund

 

 

Sector Diversification

As of December 31, 2019

 

Communication Services 2.1%
Consumer Discretionary 13.8
Consumer Staples 4.3
Energy 4.3
Financials 16.6
Health Care 12.2
Industrials 17.5
Information Technology 13.6
Materials 5.1
Other 0.0
Real Estate 8.3
Utilities 2.2

 

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Global Industry Classification Standard (“GICS”), except for the “Other” category (if applicable), which includes securities that have not been provided a GICS classification as of the effective reporting period.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

The Global Industry Classification Standard (“GICS”) was developed by and is the exclusive property and a service mark of MSCI Inc. (“MSCI”) and Standard and Poor’s, a division of McGraw-Hill Companies, Inc. (“S&P”), and is licensed for use by Vanguard. Neither MSCI, S&P nor any third party involved in making or compiling the GICS or any GICS classification makes any express or implied warranties or representations with respect to such standard or classification (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such standard or classification. Without limiting any of the foregoing, in no event shall MSCI, S&P, any of its affiliates or any third party involved in making or compiling the GICS or any GICS classification have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

 

  117  

 

 

Tax-Managed Small-Cap Fund

 

 

Financial Statements

 

 

Statement of Net Assets

As of December 31, 2019

 

The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.

 

        Market  
        Value•  
    Shares   ($000 )
Common Stocks (99.9%)1        
Communication Services (2.1%)      
  Cogent Communications Holdings Inc. 385,558   25,374  
* Iridium Communications Inc. 895,177   22,057  
* Vonage Holdings Corp. 2,034,718   15,077  
  Shenandoah Telecommunications Co. 321,841   13,392  
  Scholastic Corp. 270,306   10,393  
  EW Scripps Co. Class A 531,580   8,351  
  Gannett Co. Inc. 1,297,134   8,276  
  Marcus Corp. 210,905   6,700  
* QuinStreet Inc. 410,879   6,291  
  ATN International Inc. 108,381   6,003  
* TechTarget Inc. 224,981   5,872  
* Glu Mobile Inc. 938,400   5,677  
  Consolidated Communications Holdings Inc. 1,223,948   4,749  
  Spok Holdings Inc. 320,163   3,916  
* Care.com Inc. 249,189   3,745  
* Cincinnati Bell Inc. 352,792   3,694  
        149,567  
Consumer Discretionary (13.8%)      
* TopBuild Corp. 306,540   31,598  
  Strategic Education Inc. 190,565   30,281  
  Steven Madden Ltd. 681,751   29,322  
  Lithia Motors Inc.Class A 195,803   28,783  
  Wolverine World Wide Inc. 800,573   27,011  
* Crocs Inc. 594,005   24,883  
  LCI Industries 231,355   24,785  
* Fox Factory Holding Corp. 345,952   24,068  
  Monro Inc. 288,696   22,576  
  Wingstop Inc. 259,357   22,364  
* Meritage Homes Corp. 352,118   21,518  
* Dorman Products Inc. 258,585   19,580  
* Asbury Automotive Group Inc. 166,953   18,664  
  MDC Holdings Inc. 480,732   18,345  
  Callaway Golf Co. 864,274   18,323  
  Bloomin’ Brands Inc. 814,446   17,975  
* Sleep Number Corp. 350,382   17,253  
  Kontoor Brands Inc. 392,911   16,498  
  Group 1 Automotive Inc. 164,542   16,454  
  Winnebago Industries Inc. 292,122   15,477  
* Shake Shack Inc.Class A 257,843   15,360  
* Cavco Industries Inc. 71,424   13,955  
* Gentherm Inc. 313,638   13,922  
  Rent-A-Center Inc. 481,103   13,875  
  Signet Jewelers Ltd. 628,300   13,659  
  Dave & Buster’s Entertainment Inc. 335,489   13,477  
  La-Z-Boy Inc. 427,059   13,444  
* M/I Homes Inc. 336,134   13,227  
  Dine Brands Global Inc. 155,358   12,975  
* Stamps.com Inc. 155,296   12,970  
  Cooper Tire & Rubber Co. 447,686   12,871  
* Installed Building Products Inc. 182,995   12,603  
* LGI Homes Inc. 177,830   12,564  
  Oxford Industries Inc. 155,244   11,708  
  Office Depot Inc. 4,230,462   11,591  
* iRobot Corp. 226,575   11,471  
* Boot Barn Holdings Inc. 256,914   11,440  
* Career Education Corp. 609,547   11,210  
  Guess? Inc. 489,933   10,965  
  Core-Mark Holding Co.Inc. 399,972   10,875  
  Abercrombie & Fitch Co. 626,710   10,836  
  Standard Motor Products Inc. 190,129   10,119  

 

  118  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
* American Axle &Manufacturing Holdings Inc. 866,098   9,319  
  GameStop Corp. Class A 1,460,777   8,881  
  Big Lots Inc. 304,100   8,734  
* Cooper-Standard Holdings Inc. 247,007   8,191  
  Children’s Place Inc. 124,068   7,757  
* G-III Apparel Group Ltd. 230,888   7,735  
* Universal Electronics Inc. 147,946   7,732  
* Genesco Inc. 160,784   7,705  
* Shutterstock Inc. 178,473   7,653  
  PetMed Express Inc. 313,048   7,363  
  Sonic Automotive Inc. Class A 236,560   7,333  
* Zumiez Inc. 211,817   7,316  
* Michaels Cos. Inc. 805,652   6,518  
  Caleres Inc. 272,474   6,471  
* Century Communities Inc. 228,054   6,237  
* Express Inc. 1,258,625   6,129  
* William Lyon Homes Class A 302,603   6,046  
* Regis Corp. 327,534   5,853  
  Sturm Ruger & Co. Inc. 123,838   5,824  
  Ruth’s Hospitality Group Inc. 255,439   5,560  
* Monarch Casino & Resort Inc. 112,203   5,447  
  Buckle Inc. 198,774   5,375  
* Vista Outdoor Inc. 717,491   5,367  
* Motorcar Parts of America Inc. 233,306   5,140  
  BJ’s Restaurants Inc. 134,391   5,101  
* Red Robin Gourmet Burgers Inc. 151,515   5,003  
* Hibbett Sports Inc. 177,963   4,990  
  Tupperware Brands Corp. 566,699   4,862  
  Cato Corp. Class A 263,319   4,582  
  Movado Group Inc. 209,778   4,561  
* American Public Education Inc. 162,732   4,457  
  Shoe Carnival Inc. 114,641   4,274  
* Chuy’s Holdings Inc. 163,574   4,240  
  Designer Brands Inc. Class A 265,409   4,178  
* MarineMax Inc. 249,911   4,171  
  Ethan Allen Interiors Inc. 205,333   3,914  
  Haverty Furniture Cos. Inc. 181,587   3,661  
* Garrett Motion Inc. 347,500   3,471  
* Conn’s Inc. 272,673   3,378  
  Chico’s FAS Inc. 880,959   3,356  
* El Pollo Loco Holdings Inc. 219,568   3,324  
* Lumber Liquidators Holdings Inc. 336,438   3,287  
  Tailored Brands Inc. 770,722   3,191  
* Fossil Group Inc. 386,633   3,047  
* Unifi Inc. 113,846   2,876  
* JC Penney Co. Inc. 2,120,095   2,374  
* Vera Bradley Inc. 200,482   2,366  
* Barnes & Noble Education Inc. 416,089   1,777  
* Liquidity Services Inc. 297,696   1,774  
* Fiesta Restaurant Group Inc. 15,300   151  
        978,927  
Consumer Staples (4.3%)        
* Darling Ingredients Inc. 1,430,316   40,163  
  WD-40 Co. 127,194   24,693  
  J&J Snack Foods Corp. 131,881   24,302  
  Avon Products Inc. 3,965,383   22,365  
  Vector Group Ltd. 1,076,299   14,412  
  PriceSmart Inc. 196,470   13,953  
  Calavo Growers Inc. 153,683   13,922  
  Universal Corp. 239,694   13,677  
  Medifast Inc. 116,963   12,817  
  Cal-Maine Foods Inc. 284,434   12,159  
  Inter Parfums Inc. 156,307   11,365  
  Coca-Cola Consolidated Inc. 39,777   11,299  
  B&G Foods Inc. 535,148   9,595  
  Fresh Del Monte Produce Inc. 270,600   9,466  
* Chefs’ Warehouse Inc. 237,474   9,050  
* USANA Health Sciences Inc. 112,684   8,851  
* Central Garden & Pet Co. Class A 298,025   8,750  
  Andersons Inc. 339,306   8,578  
  John B Sanfilippo & Son Inc. 86,359   7,883  
* United Natural Foods Inc. 777,269   6,809  
  MGP Ingredients Inc. 117,755   5,705  
* National Beverage Corp. 103,600   5,286  
* Seneca Foods Corp. Class A 101,799   4,152  
  SpartanNash Co. 282,081   4,017  
* Central Garden & Pet Co. 127,230   3,953  
        307,222  
Energy (4.3%)        
* Callon Petroleum Co. 3,992,921   19,286  
* Dril-Quip Inc. 388,452   18,222  

 

  119  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
* Helix Energy Solutions Group Inc. 1,514,808   14,588  
  SM Energy Co. 1,288,652   14,484  
  Archrock Inc. 1,378,671   13,842  
* Valaris plc Class A 2,001,300   13,128  
  QEP Resources Inc. 2,345,600   10,555  
* PDC Energy Inc. 401,521   10,508  
* Oceaneering International Inc. 698,716   10,418  
* Renewable Energy Group Inc. 353,080   9,515  
  Range Resources Corp. 1,953,200   9,473  
* Oil States International Inc. 578,064   9,428  
* SRC Energy Inc. 2,276,872   9,381  
* Denbury Resources Inc. 6,156,294   8,680  
* Laredo Petroleum Inc. 2,895,342   8,310  
* Southwestern Energy Co. 3,245,100   7,853  
  Nabors Industries Ltd. 2,535,350   7,302  
* Par Pacific Holdings Inc. 306,607   7,125  
* SEACOR Holdings Inc. 153,854   6,639  
* Whiting Petroleum Corp. 846,472   6,213  
* Matrix Service Co. 269,903   6,175  
* Oasis Petroleum Inc. 1,851,400   6,036  
* Newpark Resources Inc. 961,660   6,030  
  Green Plains Inc. 350,589   5,410  
* ProPetro Holding Corp. 478,200   5,380  
* REX American Resources Corp. 65,261   5,349  
* Bonanza Creek Energy Inc. 202,054   4,716  
* Noble Corp. plc 3,586,671   4,376  
* Penn Virginia Corp. 143,887   4,367  
* Talos Energy Inc. 142,000   4,281  
  DMC Global Inc. 93,200   4,188  
* Gulfport Energy Corp. 1,240,464   3,771  
* CONSOL Energy Inc. 254,943   3,699  
* Jagged Peak Energy Inc. 398,000   3,379  
* Diamond Offshore Drilling Inc. 451,517   3,246  
  RPC Inc. 591,234   3,098  
* Era Group Inc. 298,149   3,032  
* Geospace Technologies Corp. 169,587   2,844  
* Exterran Corp. 253,585   1,986  
  US Silica Holdings Inc. 261,900   1,611  
* TETRA Technologies Inc. 722,781   1,417  
* Ring Energy Inc. 445,032   1,175  
* McDermott International Inc. 1,706,100   1,154  
* KLX Energy Services Holdings Inc. 89,452   576  
* HighPoint Resources Corp. 231,763   392  
* Unit Corp. 68,549   48  
        302,686  
Financials (16.6%)        
  Glacier Bancorp Inc. 690,011   31,734  
  Community Bank System Inc. 417,926   29,648  
  Old National Bancorp 1,408,712   25,765  
  Ameris Bancorp 598,961   25,480  
  Columbia Banking System Inc. 609,648   24,803  
  Simmons First National Corp. Class A 880,176   23,580  
  Cadence BanCorp Class A 1,299,168   23,554  
  American Equity Investment Life Holding Co. 785,041   23,496  
  Independent Bank Corp. 278,990   23,226  
  First Midwest Bancorp Inc. 993,523   22,911  
  First Financial Bancorp 873,110   22,212  
  United Community Banks Inc. 680,759   21,022  
  CVB Financial Corp. 955,455   20,619  
  First BanCorp 1,890,202   20,017  
* NMI Holdings Inc. Class A 592,937   19,674  
  Great Western Bancorp Inc. 539,610   18,746  
  ProAssurance Corp. 488,305   17,647  
  Hope Bancorp Inc. 1,187,392   17,645  
  NBT Bancorp Inc. 427,772   17,350  
  Westamerica Bancorporation 255,024   17,283  
  Banner Corp. 299,610   16,955  
  Kinsale Capital Group Inc. 165,508   16,826  
* eHealth Inc. 175,060   16,820  
  Walker & Dunlop Inc. 252,494   16,331  
  Northwest Bancshares Inc. 976,434   16,238  
  ServisFirst Bancshares Inc. 426,717   16,079  
  Pacific Premier Bancorp Inc. 473,338   15,433  
  Veritex Holdings Inc. 522,407   15,218  
  Horace Mann Educators Corp. 347,748   15,183  

 

  120  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
  Apollo Commercial Real Estate Finance Inc. 826,055   15,109  
* PRA Group Inc. 407,984   14,810  
* Seacoast Banking Corp. of Florida 484,129   14,800  
  Eagle Bancorp Inc. 302,265   14,699  
* Axos Financial Inc. 480,951   14,563  
  S&T Bancorp Inc. 360,798   14,537  
  First Commonwealth Financial Corp. 996,764   14,463  
  Provident Financial Services Inc. 565,111   13,930  
  City Holding Co. 168,244   13,788  
  Brookline Bancorp Inc. 797,469   13,126  
  Berkshire Hills Bancorp Inc. 395,805   13,014  
  Invesco Mortgage Capital Inc. 776,462   12,928  
  Safety Insurance Group Inc. 137,427   12,716  
  Southside Bancshares Inc. 334,130   12,410  
  Employers Holdings Inc. 288,542   12,047  
  AMERISAFE Inc. 181,251   11,968  
  James River Group Holdings Ltd. 282,752   11,652  
  Waddell & Reed Financial Inc. Class A 696,245   11,641  
  Tompkins Financial Corp. 126,587   11,583  
  OFG Bancorp 489,877   11,566  
  Central Pacific Financial Corp. 378,547   11,197  
  Boston Private Financial Holdings Inc. 906,296   10,903  
* Blucora Inc. 415,697   10,866  
  Northfield Bancorp Inc. 637,445   10,811  
  Preferred Bank 174,610   10,492  
  Meta Financial Group Inc. 286,432   10,458  
  National Bank Holdings Corp. Class A 292,987   10,319  
* Triumph Bancorp Inc. 263,364   10,013  
  Heritage Financial Corp. 347,605   9,837  
  Stewart Information Services Corp. 238,189   9,716  
  Piper Jaffray Cos. 119,102   9,521  
  Banc of California Inc. 548,631   9,425  
* HomeStreet Inc. 275,193   9,357  
  TrustCo Bank Corp. NY 1,074,091   9,312  
  Flagstar Bancorp Inc. 242,200   9,264  
  Hanmi Financial Corp. 458,082   9,159  
  United Fire Group Inc. 209,085   9,143  
* Encore Capital Group Inc. 241,309   8,533  
  Universal Insurance Holdings Inc. 302,972   8,480  
  Virtus Investment Partners Inc. 67,490   8,215  
  FGL Holdings 749,200   7,979  
  Opus Bank 301,121   7,790  
  Dime Community Bancshares Inc. 368,697   7,702  
* Customers Bancorp Inc. 316,232   7,529  
  PennyMac Mortgage Investment Trust 330,474   7,366  
* Enova International Inc. 299,961   7,217  
  Redwood Trust Inc. 423,700   7,008  
* Third Point Reinsurance Ltd. 619,200   6,514  
  Franklin Financial Network Inc. 180,473   6,196  
* INTL. FCStone Inc. 126,603   6,182  
* Allegiance Bancshares Inc. 152,976   5,752  
  Capstead Mortgage Corp. 724,885   5,741  
* World Acceptance Corp. 59,658   5,154  
  New York Mortgage Trust Inc. 789,900   4,921  
  HCI Group Inc. 102,606   4,684  
  ARMOUR Residential REIT Inc. 261,362   4,671  
  Granite Point Mortgage Trust Inc. 227,700   4,185  
  Greenhill & Co. Inc. 226,331   3,866  
  WisdomTree Investments Inc. 771,774   3,735  
  United Insurance Holdings Corp. 209,362   2,640  
* EZCORP Inc. Class A 315,075   2,149  
  Ready Capital Corp. 136,800   2,109  
* Ambac Financial Group Inc. 76,142   1,642  
  KKR Real Estate Finance Trust Inc. 78,600   1,605  
* Donnelley Financial Solutions Inc. 57,700   604  
        1,176,807  
Health Care (12.2%)        
* Medicines Co. 659,893   56,051  
* LHC Group Inc. 257,697   35,500  
* Omnicell Inc. 369,170   30,169  
* Neogen Corp. 452,682   29,542  
  CONMED Corp. 248,441   27,783  
* AMN Healthcare Services Inc. 425,770   26,530  
* NeoGenomics Inc. 883,352   25,838  

 

  121  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
* HMS Holdings Corp. 787,574   23,312  
* Select Medical Holdings Corp. 988,032   23,061  
* Emergent BioSolutions Inc. 412,388   22,248  
* Integer Holdings Corp. 274,009   22,039  
  Ensign Group Inc. 442,960   20,097  
* Momenta Pharmaceuticals Inc. 981,466   19,364  
* Medpace Holdings Inc. 230,335   19,362  
* Myriad Genetics Inc. 651,375   17,737  
* Magellan Health Inc. 222,704   17,427  
* Pacira BioSciences Inc. 370,300   16,775  
* BioTelemetry Inc. 324,677   15,033  
* Cardiovascular Systems Inc. 308,516   14,991  
* Xencor Inc. 426,498   14,667  
* Merit Medical Systems Inc. 464,109   14,489  
  US Physical Therapy Inc. 117,200   13,402  
* Corcept Therapeutics Inc. 1,003,933   12,148  
* Inogen Inc. 177,007   12,095  
* Covetrus Inc. 838,234   11,065  
* Tactile Systems Technology Inc. 162,119   10,945  
* REGENXBIO Inc. 262,049   10,736  
* Addus HomeCare Corp. 110,035   10,698  
* Varex Imaging Corp. 334,159   9,961  
* Natus Medical Inc. 297,520   9,815  
* Tivity Health Inc. 480,107   9,768  
* Enanta Pharmaceuticals Inc. 155,490   9,606  
* Supernus Pharmaceuticals Inc. 395,181   9,374  
* Endo International plc 1,987,821   9,323  
* CryoLife Inc. 332,448   9,006  
* Innoviva Inc. 627,593   8,887  
  Mesa Laboratories Inc. 34,201   8,530  
* Tabula Rasa HealthCare Inc. 172,432   8,394  
* Orthofix Medical Inc. 179,712   8,299  
* CorVel Corp. 94,960   8,296  
  Luminex Corp. 358,186   8,296  
* Vanda Pharmaceuticals Inc. 476,395   7,818  
* Eagle Pharmaceuticals Inc. 128,683   7,731  
* Lantheus Holdings Inc. 370,663   7,602  
* HealthStream Inc. 279,171   7,593  
* Anika Therapeutics Inc. 145,115   7,524  
* NextGen Healthcare Inc. 459,246   7,380  
* Pennant Group Inc. 222,880   7,371  
* Hanger Inc. 258,800   7,145  
* Amphastar Pharmaceuticals Inc. 355,905   6,865  
* Heska Corp. 69,654   6,683  
* Providence Service Corp. 109,851   6,501  
* Cytokinetics Inc. 578,515   6,138  
* AngioDynamics Inc. 358,784   5,744  
  LeMaitre Vascular Inc. 154,182   5,543  
* Cutera Inc. 152,625   5,465  
* ANI Pharmaceuticals Inc. 88,074   5,431  
  Phibro Animal Health Corp. Class A 217,826   5,409  
* Surmodics Inc. 129,977   5,385  
* RadNet Inc. 262,045   5,319  
  Meridian Bioscience Inc. 500,485   4,890  
* Lannett Co. Inc. 545,184   4,808  
* Progenics Pharmaceuticals Inc. 933,336   4,751  
  Computer Programs & Systems Inc. 178,026   4,700  
* Cross Country Healthcare Inc. 361,475   4,200  
* Spectrum Pharmaceuticals Inc. 1,040,399   3,787  
* OraSure Technologies Inc. 465,486   3,738  
  Invacare Corp. 389,389   3,512  
  Owens & Minor Inc. 636,468   3,290  
* AMAG Pharmaceuticals Inc. 262,594   3,196  
* Community Health Systems Inc. 940,900   2,729  
* Diplomat Pharmacy Inc. 585,088   2,340  
* Acorda Therapeutics Inc. 792,850   1,617  
* Akorn Inc. 1,071,243   1,607  
* Exact Sciences Corp. 1    
        864,471  
Industrials (17.5%)        
  John Bean Technologies Corp. 273,696   30,835  
  SkyWest Inc. 467,783   30,233  
  Exponent Inc. 429,494   29,639  
* Aerojet Rocketdyne Holdings Inc. 639,845   29,215  
  Simpson Manufacturing Co. Inc. 349,578   28,047  
  UniFirst Corp. 135,874   27,444  
  Universal Forest Products Inc. 554,461   26,448  
  Brady Corp. Class A 436,249   24,980  
* Proto Labs Inc. 243,234   24,700  

 

  122  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
  Barnes Group Inc. 395,984   24,535  
  Moog Inc. Class A 286,685   24,463  
  Watts Water Technologies Inc. Class A 229,878   22,933  
  ABM Industries Inc. 598,845   22,582  
  Applied Industrial Technologies Inc. 338,332   22,563  
* Saia Inc. 233,137   21,710  
  Korn Ferry 502,400   21,302  
* Chart Industries Inc. 311,810   21,044  
  ESCO Technologies Inc. 221,969   20,532  
  Hillenbrand Inc. 604,041   20,121  
  Allegiant Travel Co. Class A 115,320   20,070  
  Albany International Corp. Class A 256,871   19,502  
* SPX FLOW Inc. 395,516   19,329  
  Arcosa Inc. 425,842   18,971  
  Franklin Electric Co. Inc. 330,847   18,964  
* SPX Corp. 362,851   18,462  
  AAON Inc. 354,963   17,539  
  Forward Air Corp. 249,598   17,459  
* Harsco Corp. 736,257   16,941  
  Federal Signal Corp. 520,014   16,770  
  Mobile Mini Inc. 436,868   16,562  
  Mueller Industries Inc. 515,684   16,373  
  Cubic Corp. 257,325   16,358  
  Comfort Systems USA Inc. 316,247   15,765  
  Kaman Corp. 237,716   15,670  
* American Woodmark Corp. 149,737   15,649  
* Hub Group Inc. Class A 301,715   15,475  
  Greenbrier Cos. Inc. 466,793   15,138  
* Gibraltar Industries Inc. 295,079   14,884  
  Matson Inc. 364,475   14,871  
  Actuant Corp. Class A 551,983   14,368  
  AAR Corp. 306,914   13,842  
  EnPro Industries Inc. 200,429   13,405  
  Hawaiian Holdings Inc. 449,727   13,172  
  Tennant Co. 166,964   13,010  
  Viad Corp. 192,579   12,999  
* AeroVironment Inc. 203,384   12,557  
  US Ecology Inc. 216,446   12,534  
  Patrick Industries Inc. 232,952   12,214  
  Triumph Group Inc. 481,599   12,170  
* Atlas Air Worldwide Holdings Inc. 418,379   11,535  
  Raven Industries Inc. 331,907   11,437  
* CIRCOR International Inc. 235,412   10,885  
  Alamo Group Inc. 86,027   10,801  
  AZZ Inc. 231,645   10,644  
  Encore Wire Corp. 181,296   10,406  
  Matthews International Corp. Class A 271,311   10,356  
  Interface Inc. Class A 607,240   10,074  
  Standex International Corp. 120,991   9,601  
  Lindsay Corp. 98,496   9,455  
* TrueBlue Inc. 372,717   8,968  
* GMS Inc. 330,005   8,936  
  Apogee Enterprises Inc. 272,695   8,863  
  Heartland Express Inc. 420,330   8,848  
  Wabash National Corp. 560,237   8,230  
* PGT Innovations Inc. 534,169   7,964  
  Marten Transport Ltd. 364,837   7,840  
* Vicor Corp. 164,833   7,701  
  ArcBest Corp. 275,782   7,612  
  Granite Construction Inc. 269,700   7,463  
* Aegion Corp. Class A 332,228   7,432  
  Griffon Corp. 331,333   6,736  
  Quanex Building Products Corp. 392,546   6,705  
* DXP Enterprises Inc. 159,463   6,348  
  Kelly Services Inc. Class A 279,173   6,304  
  Heidrick & Struggles International Inc. 180,675   5,872  
* MYR Group Inc. 177,019   5,769  
  Resources Connection Inc. 350,247   5,719  
  Astec Industries Inc. 133,164   5,593  
* Echo Global Logistics Inc. 268,559   5,559  
  Powell Industries Inc. 103,408   5,066  
* Team Inc. 310,397   4,957  
  National Presto Industries Inc. 53,893   4,764  
* Forrester Research Inc. 112,916   4,709  
  Insteel Industries Inc. 215,983   4,641  
* Lydall Inc. 219,243   4,499  
  Pitney Bowes Inc. 1,102,104   4,441  
  Park Aerospace Corp. 265,915   4,326  
  RR Donnelley & Sons Co. 989,148   3,907  
* Foundation Building Materials Inc. 160,071   3,097  
  Briggs & Stratton Corp. 207,400   1,381  
  Titan International Inc. 229,647   831  
* Veritiv Corp. 34,961   688  
        1,241,312  
Information Technology (13.6%)      
* Viavi Solutions Inc. 1,933,497   29,002  
  Brooks Automation Inc. 647,231   27,158  
  Power Integrations Inc. 264,607   26,172  
* Itron Inc. 291,874   24,503  
* Qualys Inc. 293,896   24,502  

 

  123  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
* Anixter International Inc. 246,474   22,700  
* Advanced Energy Industries Inc. 305,403   21,745  
* Insight Enterprises Inc. 305,345   21,463  
* Fabrinet 327,799   21,254  
* Rogers Corp. 165,650   20,662  
* Diodes Inc. 359,507   20,265  
* Plexus Corp. 262,163   20,171  
* Sanmina Corp. 584,495   20,013  
* LivePerson Inc. 526,131   19,467  
* ExlService Holdings Inc. 276,984   19,239  
* FormFactor Inc. 709,516   18,426  
* Onto Innovation Inc. 501,149   18,312  
  ManTech International Corp. Class A 222,232   17,752  
* Cardtronics plc Class A 392,998   17,547  
* SPS Commerce Inc. 314,886   17,451  
  Kulicke & Soffa Industries Inc. 636,951   17,325  
  EVERTEC Inc. 504,367   17,169  
* Knowles Corp. 807,441   17,077  
  Badger Meter Inc. 253,052   16,431  
  Progress Software Corp. 387,185   16,088  
* Bottomline Technologies DE Inc. 299,380   16,047  
* 8x8 Inc. 845,458   15,472  
* OSI Systems Inc. 153,442   15,458  
  KEMET Corp. 570,056   15,420  
  CSG Systems International Inc. 281,528   14,578  
* Rambus Inc. 1,054,697   14,528  
* TTM Technologies Inc. 920,881   13,859  
  Methode Electronics Inc. 351,896   13,847  
* Alarm.com Holdings Inc. 315,413   13,553  
  Benchmark Electronics Inc. 393,123   13,508  
* Perficient Inc. 292,323   13,467  
  NIC Inc. 591,578   13,222  
* Sykes Enterprises Inc. 334,954   12,390  
* MaxLinear Inc. 580,196   12,312  
* Photronics Inc. 779,609   12,287  
* Virtusa Corp. 245,725   11,139  
* Ultra Clean Holdings Inc. 462,226   10,848  
* MicroStrategy Inc. Class A 75,739   10,803  
* ePlus Inc. 115,386   9,726  
  TiVo Corp. 1,104,283   9,364  
  CTS Corp. 303,272   9,101  
* Axcelis Technologies Inc. 360,032   8,675  
* Ichor Holdings Ltd. 260,656   8,672  
  Comtech Telecommunications Corp. 244,130   8,664  
* ScanSource Inc. 234,336   8,659  
* Diebold Nixdorf Inc. 818,083   8,639  
* Extreme Networks Inc. 1,162,220   8,566  
* FARO Technologies Inc. 159,815   8,047  
  MTS Systems Corp. 165,591   7,953  
* 3D Systems Corp. 907,637   7,942  
  Xperi Corp. 423,904   7,842  
* NETGEAR Inc. 297,169   7,284  
* Digi International Inc. 384,990   6,822  
  Ebix Inc. 200,887   6,712  
  Plantronics Inc. 240,250   6,568  
* CEVA Inc. 237,317   6,398  
* Harmonic Inc. 797,584   6,221  
  Cohu Inc. 270,940   6,191  
* PDF Solutions Inc. 324,500   5,481  
* Veeco Instruments Inc. 353,566   5,192  
* Agilysys Inc. 203,650   5,175  
* OneSpan Inc. 301,486   5,161  
  TTEC Holdings Inc. 126,512   5,012  
* SMART Global Holdings Inc. 127,947   4,854  
* DSP Group Inc. 296,065   4,660  
* Unisys Corp. 344,225   4,082  
* Applied Optoelectronics Inc. 260,767   3,098  
  Daktronics Inc. 500,799   3,050  
* CalAmp Corp. 306,530   2,937  
* Arlo Technologies Inc. 663,797   2,795  
  ADTRAN Inc. 238,362   2,357  
  Bel Fuse Inc. Class B 111,223   2,280  
        968,812  
Materials (5.0%)        
  Balchem Corp. 267,740   27,210  
  HB Fuller Co. 439,608   22,671  
  Innospec Inc. 211,790   21,908  
  Cleveland-Cliffs Inc. 2,224,600   18,687  
  Quaker Chemical Corp. 110,700   18,212  
  Stepan Co. 170,661   17,482  
  Kaiser Aluminum Corp. 143,350   15,896  
  Trinseo SA 416,411   15,495  
  Boise Cascade Co. 396,782   14,494  
* AK Steel Holding Corp. 4,301,890   14,153  
* Livent Corp. 1,471,178   12,579  
  Schweitzer-Mauduit International Inc. 271,229   11,389  
  Neenah Inc. 161,080   11,345  
  Materion Corp. 178,538   10,614  
  Warrior Met Coal Inc. 423,613   8,951  
* Ferro Corp. 592,869   8,792  

 

  124  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
* GCP Applied Technologies Inc. 385,370   8,752  
* Koppers Holdings Inc. 214,113   8,183  
* Kraton Corp. 323,053   8,180  
* US Concrete Inc. 162,005   6,749  
  Innophos Holdings Inc. 191,366   6,120  
  Tredegar Corp. 271,845   6,076  
* Century Aluminum Co. 781,877   5,876  
  Hawkins Inc. 127,612   5,846  
  Mercer International Inc. 443,198   5,451  
* TimkenSteel Corp. 674,554   5,302  
  American Vanguard Corp. 268,629   5,230  
  SunCoke Energy Inc. 814,085   5,072  
  Haynes International Inc. 137,794   4,930  
  Rayonier Advanced Materials Inc. 1,264,997   4,858  
  Myers Industries Inc. 282,940   4,719  
  PH Glatfelter Co. 252,168   4,615  
* AdvanSix Inc. 213,426   4,260  
  FutureFuel Corp. 333,304   4,130  
* Clearwater Paper Corp. 123,081   2,629  
  Olympic Steel Inc. 118,473   2,123  
*,§ A Schulman Inc. CVR 252,331   109  
* LSB Industries Inc. 23,600   99  
        359,187  
Other (4.6%)        
2 Vanguard Real Estate ETF 3,500,000   324,765  
           
Real Estate (3.7%)        
  Kite Realty Group Trust 655,365   12,799  
  Essential Properties Realty Trust Inc. 502,900   12,477  
  Xenia Hotels & Resorts Inc. 569,940   12,316  
  Realogy Holdings Corp. 1,267,014   12,265  
  DiamondRock Hospitality Co. 1,076,693   11,930  
  Agree Realty Corp. 167,290   11,739  
  Washington REIT 355,978   10,387  
  Lexington Realty Trust Class B 909,696   9,661  
  Acadia Realty Trust 363,140   9,416  
  Retail Opportunity Investments Corp. 501,301   8,853  
  Four Corners Property Trust Inc. 304,248   8,577  
  National Storage Affiliates Trust 252,452   8,487  
  LTC Properties Inc. 182,509   8,171  
  CareTrust REIT Inc. 391,982   8,087  
  American Assets Trust Inc. 168,563   7,737  
  Global Net Lease Inc. 368,800   7,479  
  Office Properties Income Trust 214,000   6,878  
  Industrial Logistics Properties Trust 304,740   6,832  
  Universal Health Realty Income Trust 56,347   6,613  
  Easterly Government Properties Inc. 267,600   6,350  
  RE/MAX Holdings Inc. Class A 158,378   6,096  
  Summit Hotel Properties Inc. 458,168   5,654  
  Independence Realty Trust Inc. 397,352   5,595  
  RPT Realty 351,335   5,284  
* Marcus & Millichap Inc. 135,690   5,054  
  Getty Realty Corp. 151,057   4,965  
  iStar Inc. 303,400   4,402  
  Franklin Street Properties Corp. 477,200   4,085  
  Armada Hoffler Properties Inc. 220,535   4,047  
  Chatham Lodging Trust 207,291   3,802  
  Community Healthcare Trust Inc. 79,200   3,395  
  Urstadt Biddle Properties Inc. Class A 133,120   3,307  
  Innovative Industrial Properties Inc. 43,500   3,300  
  Saul Centers Inc. 51,534   2,720  
  Safehold Inc. 66,973   2,699  
  Whitestone REIT 177,056   2,411  
  Hersha Hospitality Trust Class A 160,499   2,335  
* St. Joe Co. 112,234   2,226  
  Pennsylvania REIT 287,944   1,535  
  Cedar Realty Trust Inc. 383,466   1,131  
  Uniti Group Inc. 82,300   676  
        261,773  

 

  125  

 

 

Tax-Managed Small-Cap Fund

 

 

        Market  
        Value•  
    Shares   ($000 )
Utilities (2.2%)        
  Avista Corp. 619,477   29,791  
  El Paso Electric Co. 430,460   29,224  
  South Jersey Industries Inc. 877,302   28,933  
  American States Water Co. 313,012   27,119  
  California Water Service Group 431,375   22,242  
  Northwest Natural Holding Co. 289,175   21,321  
        158,630  
Total Common Stocks
(Cost $4,869,407)
    7,094,159  
Temporary Cash Investments (0.1%)1      
Money Market Fund (0.1%)        
3 Vanguard Market Liquidity Fund, 1.816% 66,966   6,697  
           
    Face      
    Amount      
    ($000)      
U.S. Government and Agency Obligations (0.0%)  
4 United States Treasury Bill, 1.623%, 1/16/20 1,300   1,300  
4 United States Treasury Bill, 1.541%, 4/30/20 200   199  
        1,499  
Total Temporary Cash Investments
(Cost $8,195)
  8,196  
Total Investments (100.0%)
(Cost $4,877,602)
    7,102,355  

 

  Amount
  ($000)
Other Assets and Liabilities (0.0%)  
Other Assets  
Investment in Vanguard 310
Receivables for Investment Securities Sold 32
Receivables for Accrued Income 5,984
Receivables for Capital Shares Issued 2,486
Variation Margin Receivable—Futures Contracts 15
Total Other Assets 8,827
Liabilities  
Payables for Investment Securities Purchased (3,236)
Payables for Capital Shares Redeemed (5,632)
Payables to Vanguard (1,516)
Other Liabilities (1,481)
Total Liabilities (11,865)
Net Assets (100%) 7,099,317

 

 

At December 31, 2019, net assets consisted of:

 

  Amount
  ($000)
Paid-in Capital 5,321,632
Total Distributable Earnings (Loss) 1,777,685
Net Assets 7,099,317
   
Admiral Shares—Net Assets  
Applicable to 95,903,777 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 6,505,829
Net Asset Value Per Share—Admiral Shares $67.84

 

  126  

 

 

Tax-Managed Small-Cap Fund

 

 

  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 8,728,750 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 593,488
Net Asset Value Per Share—Institutional Shares $67.99

 

See Note A in Notes to Financial Statements.
* Non-income-producing security.
§ Security value determined using significant unobservable inputs.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.0%, respectively, of net assets.
2 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
4 Securities with a value of $365,000 have been segregated as initial margin for open futures contracts.

CVR—Contingent Value Rights.

REIT—Real Estate Investment Trust.

 

Derivative Financial Instruments Outstanding as of Period End      
           
Futures Contracts          
          ($000)
          Value and
    Number of     Unrealized
    Long (Short)   Notional Appreciation
  Expiration Contracts   Amount (Depreciation)
Long Futures Contracts          
E-mini Russell 2000 Index March 2020 82   6,849 57

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  127  

 

 

Tax-Managed Small-Cap Fund

 

 

Statement of Operations

 

 

    Year Ended  
    December 31, 2019  
    ($000 )
Investment Income        
Income        
Dividends—Unaffiliated Issuers     86,216  
Dividends—Affiliated Issuers      
Interest—Unaffiliated Issuers     27  
Interest—Affiliated Issuers     397  
Total Income     86,640  
Expenses        
The Vanguard Group—Note B        
Investment Advisory Services     983  
Management and Administrative—Admiral Shares     4,083  
Management and Administrative—Institutional Shares     220  
Marketing and Distribution—Admiral Shares     315  
Marketing and Distribution—Institutional Shares     13  
Custodian Fees     21  
Auditing Fees     33  
Shareholders’ Reports—Admiral Shares     92  
Shareholders’ Reports—Institutional Shares     4  
Trustees’ Fees and Expenses     3  
Total Expenses     5,767  
Net Investment Income     80,873  
Realized Net Gain (Loss)        
Investment Securities Sold—Unaffiliated Issuers1     96,710  
Investment Securities Sold—Affiliated Issuers     44,735  
Futures Contracts     3,904  
Realized Net Gain (Loss)     145,349  
Change in Unrealized Appreciation (Depreciation)        
Investment Securities—Unaffiliated Issuers     1,107,027  
Investment Securities—Affiliated Issuers     12,679  
Futures Contracts     42  
Change in Unrealized Appreciation (Depreciation)     1,119,748  
Net Increase (Decrease) in Net Assets Resulting from Operations     1,345,970  

 

1 Includes $315,990,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Statement of Changes in Net Assets

 

 

    Year Ended December 31,  
    2019     2018  
    ($000 )   ($000 )
Increase (Decrease) in Net Assets                
Operations                
Net Investment Income     80,873       73,612  
Realized Net Gain (Loss)     145,349       428,399  
Change in Unrealized Appreciation (Depreciation)     1,119,748       (1,081,295 )
Net Increase (Decrease) in Net Assets Resulting from Operations     1,345,970       (579,284 )
Distributions                
Net Investment Income                
Admiral Shares     (74,592 )     (65,529 )
Institutional Shares     (6,814 )     (6,002 )
Realized Capital Gain                
Admiral Shares            
Institutional Shares            
Total Distributions     (81,406 )     (71,531 )
Capital Share Transactions                
Admiral Shares     41,266       475,282  
Institutional Shares     16,943       32,704  
Net Increase (Decrease) from Capital Share Transactions     58,209       507,986  
Total Increase (Decrease)     1,322,773       (142,829 )
Net Assets                
Beginning of Period     5,776,544       5,919,373  
End of Period     7,099,317       5,776,544  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Financial Highlights

 

 

Admiral Shares          
           
For a Share Outstanding               Year Ended December 31,  
Throughout Each Period   2019     2018     2017     2016     2015  
Net Asset Value, Beginning of Period   $55.70     $61.63     $55.16     $44.37     $45.78  
Investment Operations                              
Net Investment Income   .7721     .7371     .6661     .558     .556  
Net Realized and Unrealized Gain (Loss) on Investments   12.146     (5.965 )   6.486     10.788     (1.406 )
Total from Investment Operations   12.918     (5.228 )   7.152     11.346     (.850 )
Distributions                              
Dividends from Net Investment Income   (.778 )   (.702 )   (.664 )   (.556 )   (.560 )
Distributions from Realized Capital Gains                    
Return of Capital           (.018 )        
Total Distributions   (.778 )   (.702 )   (.682 )   (.556 )   (.560 )
Net Asset Value, End of Period   $67.84     $55.70     $61.63     $55.16     $44.37  
                               
Total Return2   23.28%   -8.62%   13.05%   25.73%   -1.85%
                               
Ratios/Supplemental Data                              
Net Assets, End of Period (Millions)   $6,506     $5,304     $5,428     $4,671     $3,419  
Ratio of Total Expenses to Average Net Assets   0.09%   0.09%   0.09%   0.09%   0.11%
Ratio of Net Investment Income to Average Net Assets   1.23%   1.13%   1.17%   1.19%   1.21%
Portfolio Turnover Rate3   53%   29%   37%   45%   33%

1

Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Financial Highlights

 

 

Institutional Shares          
     
For a Share Outstanding               Year Ended December 31,  
Throughout Each Period   2019     2018     2017     2016     2015  
Net Asset Value, Beginning of Period   $55.83     $61.77     $55.29     $44.47     $45.88  
Investment Operations                              
Net Investment Income   .7941     .7551     .6931     .572     .576  
Net Realized and Unrealized Gain (Loss) on Investments   12.164     (5.972 )   6.488     10.818     (1.406 )
Total from Investment Operations   12.958     (5.217 )   7.181     11.390     (.830 )
Distributions                              
Dividends from Net Investment Income   (.798 )   (.723 )   (.683 )   (.570 )   (.580 )
Distributions from Realized Capital Gains                    
Return of Capital           (.018 )        
Total Distributions   (.798 )   (.723 )   (.701 )   (.570 )   (.580 )
Net Asset Value, End of Period   $67.99     $55.83     $61.77     $55.29     $44.47  
                               
Total Return   23.30%   -8.59%   13.08%   25.78%   -1.80%
                               
Ratios/Supplemental Data                              
Net Assets, End of Period (Millions)   $593     $473     $492     $379     $276  
Ratio of Total Expenses to Average Net Assets   0.06%   0.06%   0.06%   0.06%   0.07%
Ratio of Net Investment Income to Average Net Assets   1.26%   1.16%   1.20%   1.22%   1.25%
Portfolio Turnover Rate2   53%   29%   37%   45%   33%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Notes to Financial Statements

 

 

Vanguard Tax-Managed Small-Cap Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers two classes of shares: Admiral Shares and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors.

 

A.  The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

 

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objective of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase or sell futures contracts to achieve a desired level of investment, whether to accommodate portfolio turnover or cash flows from capital share transactions. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

During the year ended December 31, 2019, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2016–2019), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

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4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2019, or at any time during the period then ended.

 

6. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

B.  In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2019, the fund had contributed to Vanguard capital in the amount of $310,000, representing less than 0.01% of the fund’s net assets and 0.12% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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C.  Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

 

Level 1—Quoted prices in active markets for identical securities.

Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments and derivatives as of December 31, 2019, based on the inputs used to value them:

 

    Level 1     Level 2     Level 3  
Investments   ($000 )   ($000 )   ($000 )
Common Stocks   7,094,050         109  
Temporary Cash Investments   6,697     1,499      
Futures Contracts—Assets1   15          
Total   7,100,762     1,499     109  

 

1 Represents variation margin on the last day of the reporting period.

 

D.  Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions were reclassified between the following accounts:

 

    Amount  
    ($000 )
Paid-in Capital   315,987  
Total Distributable Earnings (Loss)   (315,987 )

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

    Amount  
    ($000 )
Undistributed Ordinary Income   474  
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (446,348 )
Net Unrealized Gains (Losses)   2,224,753  

 

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As of December 31, 2019, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

    Amount  
    ($000 )
Tax Cost   4,877,602  
Gross Unrealized Appreciation   2,385,889  
Gross Unrealized Depreciation   (161,136 )
Net Unrealized Appreciation (Depreciation)   2,224,753  

 

E.  During the year ended December 31, 2019, the fund purchased $4,056,702,000 of investment securities and sold $3,990,369,000 of investment securities, other than temporary cash investments. Purchases and sales include $0 and $519,567,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

F.  Capital share transactions for each class of shares were:

 

        Year Ended December 31,
          2019           2018  
    Amount     Shares     Amount     Shares  
    ($000 )   (000 )   ($000 )   (000 )
Admiral Shares                        
Issued   1,173,529     18,603     2,059,002     31,843  
Issued in Lieu of Cash Distributions   55,426     865     49,218     775  
Redeemed   (1,187,689 )   (18,781 )   (1,632,938 )   (25,466 )
Net Increase (Decrease)—Admiral Shares   41,266     687     475,282     7,152  
Institutional Shares                        
Issued   46,891     735     56,034     873  
Issued in Lieu of Cash Distributions   4,214     66     3,754     59  
Redeemed   (34,162 )   (540 )   (27,084 )   (424 )
Net Increase (Decrease)—Institutional Shares   16,943     261     32,704     508  

 

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G.  Transactions during the period in investments where the issuer is another member of The Vanguard Group were as follows:

 

          Current Period Transactions    
    Dec. 31,           Proceeds     Realized                       Dec. 31,
    2018           from     Net     Change in           Capital Gain     2019
    Market     Purchases     Securities     Gain     Unrealized           Distributions     Market
    Value     at Cost     Sold     (Loss )   App. (Dep. )   Income     Received     Value
    ($000 )   ($000 )   ($000 )   ($000 )   ($000 )   ($000 )   ($000 )   ($000)
Vanguard Market Liquidity Fund     4,008       NA1       NA1       2             397           6,697
Vanguard Real Estate ETF     253,538       1,243,777       1,229,962       44,733       12,679                 324,765
Total     257,546                       44,735       12,679       397           331,462

 

1 Not applicable—purchases and sales are for temporary cash investment purposes.

 

H.  Management has determined that no events or transactions occurred subsequent to December 31, 2019, that would require recognition or disclosure in these financial statements.

 

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Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Tax-Managed Funds and Shareholders of Vanguard Tax-Managed Balanced Fund, Vanguard Tax-Managed Capital Appreciation Fund and Vanguard Tax-Managed Small-Cap Fund

 

Opinions on the Financial Statements

We have audited the accompanying statements of net assets of Vanguard Tax-Managed Balanced Fund, Vanguard Tax-Managed Capital Appreciation Fund and Vanguard Tax-Managed Small-Cap Fund (three of the funds constituting Vanguard Tax-Managed Funds, hereafter collectively referred to as the “Funds”) as of December 31, 2019, the related statements of operations for the year ended December 31, 2019, the statements of changes in net assets for each of the two years in the period ended December 31, 2019, including the related notes, and the financial highlights for each of the five years in the period ended December 31, 2019 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of December 31, 2019, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period ended December 31, 2019 and each of the financial highlights for each of the five years in the period ended December 31, 2019 in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinions

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2019 by correspondence with the custodian, transfer agent and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinions.

 

 

 

 

/s/PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

February 13, 2020

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

  

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Special 2019 tax information (unaudited) for Vanguard Tax-Managed Funds

 

This information for the fiscal year ended December 31, 2019, is included pursuant to provisions of the Internal Revenue Code.

 

The Tax-Managed Balanced Fund designates 61% of its income dividends as exempt-interest dividends.

 

The funds distributed qualified dividend income to shareholders during the fiscal year as follows:

 

Fund   ($000 )
Tax-Managed Balanced Fund     43,278  
Tax-Managed Capital Appreciation Fund     177,611  
Tax-Managed Small-Cap Fund     73,299  

 

The funds distributed qualified business income to shareholders during the fiscal year as follows:

 

Fund   ($000 )
Tax-Managed Balanced Fund     1,178  
Tax-Managed Capital Appreciation Fund      
Tax-Managed Small-Cap Fund     8,108  

 

For corporate shareholders, the percentage of investment income (dividend income plus short-term gains, if any) that qualifies for the dividends-received deduction is as follows:

 

Fund   Percentage  
Tax-Managed Balanced Fund     93.6% 1
Tax-Managed Capital Appreciation Fund     97.7  
Tax-Managed Small-Cap Fund     89.0  

 

1 The percentage applies only to the taxable ordinary income that has been reported on Form 1099-DIV.

 

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BLOOMBERG is a trademark and service mark of Bloomberg Finance L.P. BARCLAYS is a trademark and service mark of Barclays Bank Plc, used under license. Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (BISL) (collectively, Bloomberg), or Bloomberg’s licensors, own all proprietary rights in the Bloomberg Barclays 1–15 Year Municipal Bond Index (the Index or Bloomberg Barclays Index).

 

Neither Barclays Bank Plc, Barclays Capital Inc., or any affiliate (collectively Barclays) or Bloomberg is the issuer or producer of the Tax-Managed Balanced Fund and neither Bloomberg nor Barclays has any responsibilities, obligations or duties to investors in the Tax-Managed Balanced Fund. The Index is licensed for use by The Vanguard Group, Inc. (Vanguard) as the sponsor of the Tax-Managed Balanced Fund. Bloomberg and Barclays’ only relationship with Vanguard in respect of the Index is the licensing of the Index, which is determined, composed and calculated by BISL, or any successor thereto, without regard to the Issuer or the Tax-Managed Balanced Fund or the owners of the Tax-Managed Balanced Fund.

 

Additionally, Vanguard may for itself execute transaction(s) with Barclays in or relating to the Index in connection with the Tax-Managed Balanced Fund. Investors acquire the Tax-Managed Balanced Fund from Vanguard and investors neither acquire any interest in the Index nor enter into any relationship of any kind whatsoever with Bloomberg or Barclays upon making an investment in the Tax-Managed Balanced Fund. The Tax-Managed Balanced Fund is not sponsored, endorsed, sold or promoted by Bloomberg or Barclays. Neither Bloomberg nor Barclays makes any representation or warranty, express or implied regarding the advisability of investing in the Tax-Managed Balanced Fund or the advisability of investing in securities generally or the ability of the Index to track corresponding or relative market performance. Neither Bloomberg nor Barclays has passed on the legality or suitability of the Tax-Managed Balanced Fund with respect to any person or entity. Neither Bloomberg nor Barclays is responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Tax-Managed Balanced Fund to be issued. Neither Bloomberg nor Barclays has any obligation to take the needs of the Issuer or the owners of the Tax-Managed Balanced Fund or any other third party into consideration in determining, composing or calculating the Index. Neither Bloomberg nor Barclays has any obligation or liability in connection with administration, marketing or trading of the Tax-Managed Balanced Fund.

 

The licensing agreement between Bloomberg and Barclays is solely for the benefit of Bloomberg and Barclays and not for the benefit of the owners of the Tax-Managed Balanced Fund, investors or other third parties. In addition, the licensing agreement between Vanguard and Bloomberg is solely for the benefit of Vanguard and Bloomberg and not for the benefit of the owners of the Tax-Managed Balanced Fund, investors or other third parties.

 

NEITHER BLOOMBERG NOR BARCLAYS SHALL HAVE ANY LIABILITY TO THE ISSUER, INVESTORS OR TO OTHER THIRD PARTIES FOR THE QUALITY, ACCURACY AND/OR COMPLETENESS OF THE BLOOMBERG BARCLAYS INDEX OR ANY DATA INCLUDED THEREIN OR FOR INTERRUPTIONS IN THE DELIVERY OF THE BLOOMBERG BARCLAYS INDEX. NEITHER BLOOMBERG NOR BARCLAYS MAKES ANY WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY THE ISSUER, THE INVESTORS OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE BLOOMBERG BARCLAYS INDEX OR ANY DATA INCLUDED THEREIN. NEITHER BLOOMBERG NOR BARCLAYS MAKES ANY EXPRESS OR IMPLIED WARRANTIES, AND EACH HEREBY EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE BLOOMBERG BARCLAYS INDEX OR ANY DATA INCLUDED THEREIN. BLOOMBERG RESERVES THE RIGHT TO CHANGE THE METHODS OF CALCULATION OR PUBLICATION, OR TO CEASE THE CALCULATION OR PUBLICATION OF THE BLOOMBERG BARCLAYS INDEX, AND NEITHER BLOOMBERG NOR BARCLAYS SHALL BE LIABLE FOR ANY MISCALCULATION OF OR ANY INCORRECT, DELAYED OR INTERRUPTED PUBLICATION WITH RESPECT TO THE BLOOMBERG BARCLAYS INDEX. NEITHER BLOOMBERG NOR BARCLAYS SHALL BE LIABLE FOR ANY DAMAGES, INCLUDING, WITHOUT LIMITATION, ANY SPECIAL, INDIRECT OR CONSEQUENTIAL DAMAGES, OR ANY LOST PROFITS AND EVEN IF ADVISED OF THE POSSIBILITY OF SUCH, RESULTING FROM THE USE OF THE BLOOMBERG BARCLAYS INDEX OR ANY DATA INCLUDED THEREIN OR WITH RESPECT TO THE TAX-MANAGED BALANCED FUND.

 

None of the information supplied by Bloomberg or Barclays and used in this publication may be reproduced in any manner without the prior written permission of both Bloomberg and Barclays Capital, the investment banking division of Barclays Bank Plc. Barclays Bank Plc is registered in England No. 1026167. Registered office 1 Churchill Place London E14 5HP.

 

© 2020 Bloomberg. Used with Permission.

 

Source: Bloomberg Index Services Limited. Copyright 2020, Bloomberg. All rights reserved.

  

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The People Who Govern Your Fund

 

 

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them.

 

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 213 Vanguard funds.

 

Information for each trustee and executive officer of the fund appears below. That information, as well as the Vanguard fund count, is as of the date on the cover of this fund report. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

 

Interested Trustee1

 

Mortimer J. Buckley

Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chairman of the board (January 2019– present) of Vanguard and of each of the investment companies served by Vanguard; chief executive officer (January 2018–present) of Vanguard; chief executive officer, president, and trustee (January 2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (February 2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) and trustee (2009–2017) of the Children’s Hospital of Philadelphia; trustee (2018–present) of The Shipley School.

 

Independent Trustees

 

Emerson U. Fullwood

Born in 1948. Trustee since January 2008. Principal occupation(s) during the past five years and other experience: executive chief staff and marketing officer for North America and corporate vice president (retired 2008) of Xerox Corporation (document management products and services). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.

 

Amy Gutmann

Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) of the University of Pennsylvania. Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and professor of communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania. Trustee of the National Constitution Center.

 

F. Joseph Loughrey

Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services), and the Lumina Foundation.

 

1 Mr. Buckley is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.

 

     

 

 

Director of the V Foundation and Oxfam America. Member of the advisory council for the College of Arts and Letters and chair of the advisory board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

 

Mark Loughridge

Born in 1953. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: senior vice president and chief financial officer (retired 2013) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.

 

Scott C. Malpass

Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (1989–present) and vice president (1996–present) of the University of Notre Dame. Assistant professor of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Chairman of the board of TIFF Advisory Services, Inc. Member of the board of Catholic Investment Services, Inc. (investment advisors) and the board of superintendence of the Institute for the Works of Religion.

 

Deanna Mulligan

Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: president (2010–present) and chief executive officer (2011–present) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of The Guardian Life Insurance Company of America. Member of the board of The Guardian Life Insurance Company of America, the American Council of Life Insurers, the Partnership for New York City (business leadership), and the Committee Encouraging Corporate Philanthropy. Trustee of the Economic Club of New York and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.

 

André F. Perold

Born in 1952. Trustee since December 2004. Principal occupation(s) during the past five years and other experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011). Chief investment officer and co-managing partner of HighVista Strategies (private investment firm). Board of advisors and investment committee member of the Museum of Fine Arts Boston. Board member (2018–present) of RIT Capital Partners (investment firm); investment committee member of Partners Health Care System.

 

Sarah Bloom Raskin

Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Member of the board of directors (2012–2014) of Neighborhood Reinvestment Corporation. Director (2017–present) of i(x) Investments; director (2017–present) of Reserve Trust. Rubinstein Fellow (2017–present) of Duke University; trustee (2017–present) of Amherst College.

 

Peter F. Volanakis

Born in 1955. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2010) of Corning Incorporated (communications equipment) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the board of Hypertherm Inc. (industrial cutting systems, software, and consumables).

 

     

 

 

Executive Officers

 

John Bendl

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (October 2019–present) of each of the investment companies served by Vanguard. Chief accounting officer, treasurer, and controller of Vanguard (2017–present). Partner (2003–2016) at KPMG (audit, tax, and advisory services).

 

Glenn Booraem

Born in 1967. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (2017–present), treasurer (2015–2017), controller (2010–2015), and assistant controller (2001–2010) of each of the investment companies served by Vanguard.

 

Christine M. Buchanan

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG (audit, tax, and advisory services).

 

David Cermak

Born in 1960. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Finance director (October 2019–present) of each of the investment companies served by Vanguard. Managing director and head (2017–present) of Vanguard Investments Singapore. Managing director and head (2017–2019) of Vanguard Investments Hong Kong. Representative director and head (2014–2017) of Vanguard Investments Japan.

 

Thomas J. Higgins

Born in 1957. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Finance director (October 2019–present), chief financial officer (2008–2019), and treasurer (1998–2008) of each of the investment companies served by Vanguard.

 

Peter Mahoney

Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.

 

Anne E. Robinson

Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.

 

Michael Rollings

Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.

 

John E. Schadl

Born in 1972. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2019–present) of Vanguard and of each of the investment companies served by Vanguard. Assistant vice president (May 2019–present) of Vanguard Marketing Corporation.

 

 

Vanguard Senior Management Team
 
Joseph Brennan Chris D. McIsaac
Mortimer J. Buckley James M. Norris
Gregory Davis Thomas M. Rampulla
John James Karin A. Risi
Martha G. King Anne E. Robinson
John T. Marcante Michael Rollings

 

     

 

 

 
   
  P.O. Box 2600
  Valley Forge, PA 19482-2600

 

 

Connect with Vanguard® > vanguard.com

 

 

Fund Information > 800-662-7447

 

Direct Investor Account Services > 800-662-2739

 

Institutional Investor Services > 800-523-1036

 

Text Telephone for People

Who Are Deaf or Hard of Hearing > 800-749-7273

 

This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus.

 

All comparative mutual fund data are from Morningstar, Inc., unless otherwise noted.

 

You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, www.sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or www.sec.gov.

 

You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.

 

Source for Bloomberg Barclays indexes: Bloomberg Index Services Limited. Copyright 2020, Bloomberg. All rights reserved.

 

 

 

 

 

  © 2020 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
   
  Q1030 022020

  

     

 

 

 

 

 

 

Annual Report | December 31, 2019

 

 

Vanguard Developed Markets Index Fund

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See the inside front cover for important information about access to your fund’s annual and semiannual shareholder reports.

 

  

     

 

 

Important information about access to shareholder reports

 

Beginning on January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, paper copies of your fund’s annual and semiannual shareholder reports will no longer be sent to you by mail, unless you specifically request them. Instead, you will be notified by mail each time a report is posted on the website and will be provided with a link to access the report.

 

If you have already elected to receive shareholder reports electronically, you will not be affected by this change and do not need to take any action. You may elect to receive shareholder reports and other communications from the fund electronically by contacting your financial intermediary (such as a broker-dealer or bank) or, if you invest directly with the fund, by calling Vanguard at one of the phone numbers on the back cover of this report or by logging on to vanguard.com.

 

You may elect to receive paper copies of all future shareholder reports free of charge. If you invest through a financial intermediary, you can contact the intermediary to request that you continue to receive paper copies. If you invest directly with the fund, you can call Vanguard at one of the phone numbers on the back cover of this report or log on to vanguard.com. Your election to receive paper copies will apply to all the funds you hold through an intermediary or directly with Vanguard.

 

 

 

Contents  
   
   
A Note From Our Chairman 1
   
Your Fund’s Performance at a Glance 2
   
About Your Fund’s Expenses 3
   
Performance Summary 5
   
Financial Statements 8

 

 

 

 

 

 

 

 

 

 

 

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

 

     

 

 

A Note From Our Chairman

 

 

 

 

 

Tim Buckley

Chairman and Chief Executive Officer

 

 

 

 

Dear Shareholder,

 

Recent volatility in financial markets—affecting stocks, bonds, and commodities—has been a good reminder of the wise old adage, “Never keep all your eggs in one basket.” Maintaining balance and diversification in your investment portfolio can help to both limit risk and set you up for long-term success.

 

It’s understandable why some investors might become complacent after a long market run-up like the one that lifted stock prices, especially U.S. stock prices, in the years following the global financial crisis. But failing to rebalance regularly can leave a portfolio with a much different mix of assets than intended and, often, more risk than intended.

 

Balance across and diversification within asset classes are powerful tools for managing risk and achieving your investment goals. A portfolio’s allocation will determine a large portion of its long-term return and also the majority of its volatility risk. A well-diversified portfolio is less vulnerable to significant swings in the performance of any one segment of the asset classes in which it invests.

 

Balance and diversification will never eliminate the risk of loss, nor will they guarantee positive returns in a declining market. But they may reduce the chance that you’ll suffer disproportionate losses in one particular high-flying asset class or sector when it comes back to earth. And exposure to all key market components should give you at least some participation in the sectors that are performing best at any given time.

 

Vanguard is committed to helping you achieve balance and diversification in your portfolios to help meet your investment goals. We thank you for your continued loyalty.

 

Sincerely,

 

  

Mortimer J. Buckley

Chairman and Chief Executive Officer

January 23, 2020

 

  1  

 

 

Your Fund’s Performance at a Glance

 

Ÿ   Vanguard Developed Markets Index Fund’s returns for the 12 months ended December 31, 2019, ranged from 21.96% for Investor Shares to 22.14% for Institutional Shares. The fund’s benchmark, the FTSE Developed All Cap ex US Index, returned 22.34%.

 

Ÿ   All ten of the index’s industry sectors produced double-digit gains in U.S. dollar terms, led by financials, industrials, and consumer goods. Telecommunications contributed the least to returns.

 

Ÿ    Double-digit returns also prevailed in most countries. Developed-market stocks gained more than their emerging-market counterparts but lagged U.S. shares.

 

Ÿ   Global stock prices rose amid optimism that U.S.-China trade tensions were easing and that a trade deal might be signed in early 2020. Inversions of the U.S. Treasury yield curve, historically a signal of recession, raised concerns midway through the year. But the curve returned to its normal pattern in the second half as the U.S. Federal Reserve cut short-term interest rates three times.

 

 

 

Market Barometer      
    Average Annual Total Returns
  Periods Ended December 31, 2019
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 31.43% 15.05% 11.48%
Russell 2000 Index (Small-caps) 25.53 8.59 8.23
Russell 3000 Index (Broad U.S. market) 31.02 14.57 11.24
FTSE All-World ex US Index (International) 21.81 9.96 5.83
       
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index (Broad taxable market) 8.72% 4.03% 3.05%
Bloomberg Barclays Municipal Bond Index (Broad tax-exempt market) 7.54 4.72 3.53
FTSE Three-Month U.S. Treasury Bill Index 2.25 1.65 1.04
       
CPI      
Consumer Price Index 2.29% 2.10% 1.82%
         

 

  2  

 

 

About Your Fund’s Expenses

 

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

 

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

 

The accompanying table illustrates your fund’s costs in two ways:

 

Ÿ   Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The “Ending Account Value” shown is derived from the fund’s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

 

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading “Expenses Paid During Period.”

 

Ÿ   Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

 

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

 

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

  

  3  

 

 

Six Months Ended December 31, 2019      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Developed Markets Index Fund 6/30/2019 12/31/2019 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $1,072.04 $0.84
FTSE Developed Markets ETF Shares 1,000.00 1,072.66 0.26
Admiral™ Shares 1,000.00 1,072.85 0.37
Institutional Shares 1,000.00 1,072.88 0.26
Institutional Plus Shares 1,000.00 1,072.60 0.21
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.40 $0.82
FTSE Developed Markets ETF Shares 1,000.00 1,024.95 0.26
Admiral Shares 1,000.00 1,024.85 0.36
Institutional Shares 1,000.00 1,024.95 0.26
Institutional Plus Shares 1,000.00 1,025.00 0.20

 

The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for that period are 0.16% for Investor Shares, 0.05% for FTSE Developed Markets ETF Shares, 0.07% for Admiral Shares, 0.05% for Institutional Shares, and 0.04% for Institutional Plus Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

 

  4  

 

 

Developed Markets Index Fund

 

 

Performance Summary

 

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2009, Through December 31, 2019

Initial Investment of $10,000

 

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2019  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
FTSE Developed Markets ETF Shares Net Asset Value 22.08% 6.19% 5.75% $17,490
FTSE Developed Markets ETF Shares Market Price 22.60 6.21 5.72 17,446
Spliced Developed ex US Index 22.34 6.08 5.70 17,415
FTSE Global All Cap ex US Index 21.80 5.84 5.39 16,898

 

Spliced Developed ex US Index: MSCI EAFE Index through May 28, 2013; FTSE Developed ex North America Index through December 20, 2015; FTSE Developed All Cap ex US Transition Index through May 31, 2016; FTSE Developed All Cap ex US Index thereafter. Benchmark returns are adjusted for withholding taxes.

 

 

      Since 

Final Value

  One Five Inception of a $10,000
  Year Years (12/19/2013) Investment
Developed Markets Index Fund Investor Shares 21.96% 6.08% 4.55% $13,081
Spliced Developed ex US Index 22.34 6.08 4.69 13,186
FTSE Global All Cap ex US Index 21.80 5.84 4.70 13,195

 

Since Inception” performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standard(s).

 

 

 

See Financial Highlights for dividend and capital gains information.

 

  5  

 

 

Developed Markets Index Fund

 

 

  Average Annual Total Returns  
  Periods Ended December 31, 2019  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Developed Markets Index Fund Admiral Shares 22.05% 6.18% 5.74% $17,466
Spliced Developed ex US Index 22.34 6.08 5.70 17,415
FTSE Global All Cap ex US Index 21.80 5.84 5.39 16,898
         
         
        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Developed Markets Index Fund Institutional Shares 22.14% 6.20% 5.77% $8,759,477
Spliced Developed ex US Index 22.34 6.08 5.70 8,707,557
FTSE Global All Cap ex US Index 21.80 5.84 5.39 8,448,904
         
         
      Since Final Value
  One Five Inception of a $100,000,000
  Year Years (4/1/2014) Investment
Developed Markets Index Fund Institutional Plus Shares 22.07% 6.20% 4.11% $126,098,260
Spliced Developed ex US Index 22.34 6.08 4.18 126,554,713
FTSE Global All Cap ex US Index 21.80 5.84 4.18 126,556,449

 

Since Inception” performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standard(s).

 

 

Cumulative Returns of ETF Shares: December 31, 2009, Through December 31, 2019  
   
  One Five Ten
  Year Years Years
FTSE Developed Markets ETF Shares Market Price 22.60% 35.14% 74.46%
FTSE Developed Markets ETF Shares Net Asset Value 22.08 35.03 74.90
Spliced Developed ex US Index 22.34 34.30 74.15

 

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

  6  

 

 

Developed Markets Index Fund

 

 

Sector Diversification

As of December 31, 2019

 

Basic Materials 6.8%
Consumer Goods 15.8
Consumer Services 8.2
Financials 23.0
Health Care 10.5
Industrials 16.5
Oil & Gas 5.8
Technology 6.9
Telecommunications 3.1
Utilities 3.4

 

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.

 

  7  

 

 

 

Developed Markets Index Fund

 

 

Financial Statements

 

 

Statement of Net Assets—Investments Summary

As of December 31, 2019

 

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

 

The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) four times in each fiscal year. For the second and fourth quarters the complete list of the fund’s holdings is available on vanguard.com and on Form N-CSR, or you can have it mailed to you without charge by calling 800-662-7447. For the first and third quarters of each fiscal year, the complete list of the fund’s holdings is available as an exhibit to its reports on Form N-PORT. The fund’s Form N-CSR and Form N-PORT reports are available on the SEC’s website at www.sec.gov.

 

      Market Percentage
      Value· of Net
    Shares ($000) Assets
Common Stocks      
Australia      
Commonwealth Bank of Australia 11,181,137 627,241 0.5%
CSL Ltd. 2,856,276 553,784 0.4%
BHP Group Ltd. 18,604,041 509,425 0.4%
Westpac Banking Corp. 22,541,613 384,940 0.3%
§,1 Australia—Other †   5,606,324 4.5%
      7,681,714 6.1%
         
§,1 Austria †   339,013 0.3%
         
Belgium      
Anheuser-Busch InBev SA/NV 4,860,092 398,045 0.3%
Belgium—Other †   808,338 0.7%
      1,206,383 1.0%
Canada      
Royal Bank of Canada 9,070,217 717,697 0.6%
Toronto-Dominion Bank 11,427,718 640,931 0.5%
Enbridge Inc. (XTSE) 12,424,780 494,006 0.4%
Bank of Nova Scotia 7,653,801 432,333 0.3%
Canadian National Railway Co. 4,556,952 412,233 0.3%
§,1 Canada—Other †   8,141,551 6.6%
      10,838,751 8.7%
Denmark      
Novo Nordisk A/S Class B 10,432,766 604,567 0.5%
1 Denmark—Other †   1,324,984 1.0%
      1,929,551 1.5%
         
Finland †   1,273,398 1.0%

 

  8  

 

 

Developed Markets Index Fund

 

 

      Market Percentage
      Value· of Net
    Shares ($000) Assets
France      
  TOTAL SA 15,226,532 844,932 0.7%
  LVMH Moet Hennessy Louis Vuitton SE 1,571,319 732,166 0.6%
  Sanofi 6,840,021 686,929 0.6%
  Airbus SE 3,474,426 509,927 0.4%
  BNP Paribas SA 6,825,826 405,716 0.3%
  AXA SA 12,113,635 342,287 0.3%
§,1 France—Other †   7,267,879 5.7%
      10,789,836 8.6%
Germany      
  SAP SE 6,113,220 822,832 0.7%
  Allianz SE 2,618,256 641,548 0.5%
  Siemens AG 4,778,712 624,062 0.5%
  Bayer AG 5,892,181 479,017 0.4%
  BASF SE 5,778,811 435,358 0.3%
  adidas AG 1,218,381 396,607 0.3%
1 Germany—Other †   5,606,589 4.5%
      9,006,013 7.2%
Hong Kong      
  AIA Group Ltd. 76,341,877 802,961 0.7%
§,1 Hong Kong—Other †   3,034,393 2.4%
      3,837,354 3.1%
         
§Ireland †   308,744 0.2%
         
Israel †   592,237 0.5%
         
Italy      
  Enel SPA 49,049,680 389,644 0.3%
1 Italy—Other †   2,414,275 1.9%
      2,803,919 2.2%
Japan      
  Toyota Motor Corp. 15,494,579 1,091,771 0.9%
  Sony Corp. 7,749,484 526,172 0.4%
  SoftBank Group Corp. 10,220,066 443,725 0.4%
  Mitsubishi UFJ Financial Group Inc. 78,704,614 425,504 0.3%
  Keyence Corp. 1,136,274 398,990 0.3%
  Chugai Pharmaceutical Co. Ltd. 1,364,303 125,646 0.1%
§ Japan—Other †   24,125,530 19.3%
      27,137,338 21.7%
Netherlands      
  ASML Holding NV 2,525,552 747,710 0.6%
  Unilever NV 9,158,519 525,616 0.4%
1 Netherlands—Other †   2,671,925 2.1%
      3,945,251 3.1%
         
New Zealand †   436,084 0.3%
         
§,1Norway †   913,644 0.7%
         
1Poland †   376,895 0.3%
         
Portugal †   211,111 0.2%

 

  9  

 

 

Developed Markets Index Fund

 

 

        Market Percentage
        Value· of Net
      Shares ($000) Assets
§Singapore †     1,460,037 1.2%
           
South Korea        
  Samsung Electronics Co. Ltd.   27,618,509 1,330,850 1.1%
  Samsung Electronics Co. Ltd. Preference Shares   4,295,587 168,180 0.1%
  Samsung Electronics Co. Ltd. GDR   105,219 125,915 0.1%
  Hankook Shell Oil Co. Ltd.   3,941 1,099 0.0%
§,1 South Korea—Other †     3,530,824 2.8%
        5,156,868 4.1%
Spain        
  Banco Santander SA   103,722,784 434,886 0.3%
* Iberdrola SA   37,178,501 383,147 0.3%
1 Spain—Other †     2,104,831 1.7%
        2,922,864 2.3%
           
1Sweden †     3,264,975 2.6%
           
Switzerland        
  Nestle SA   18,238,125 1,974,555 1.6%
  Roche Holding AG   4,382,259 1,424,246 1.1%
  Novartis AG   13,285,340 1,257,984 1.0%
  Zurich Insurance Group AG   918,645 376,828 0.3%
  Roche Holding AG (Bearer)   171,654 54,519 0.0%
§,1 Switzerland—Other †     4,248,734 3.5%
        9,336,866 7.5%
United Kingdom        
  HSBC Holdings plc   127,796,622 1,000,455 0.8%
  AstraZeneca plc   8,285,064 829,274 0.7%
  BP plc   125,744,524 791,040 0.6%
  Royal Dutch Shell plc Class A   26,582,623 787,229 0.6%
  GlaxoSmithKline plc   30,932,709 726,832 0.6%
  Royal Dutch Shell plc Class B   23,620,077 701,135 0.6%
  Diageo plc   14,548,908 613,047 0.5%
  British American Tobacco plc   14,046,691 597,018 0.5%
  Rio Tinto plc   6,940,927 410,871 0.3%
  Unilever plc   6,876,321 393,621 0.3%
  Lloyds Banking Group plc   441,332,733 365,612 0.3%
§,1 United Kingdom—Other †     11,012,535 8.8%
        18,228,669 14.6%
Total Common Stocks (Cost $106,200,569)     123,997,515 99.0%2
           
    Coupon      
Temporary Cash Investments        
Money Market Fund        
3,4 Vanguard Market Liquidity Fund 1.816% 27,799,298 2,780,208 2.2%
           
5,6 U.S. Government and Agency Obligations †     65,672 0.1%
           
Total Temporary Cash Investments (Cost $2,845,562)     2,845,880 2.3%2
7Total Investments (Cost $109,046,131)     126,843,395 101.3%

 

  10  

 

 

Developed Markets Index Fund

 

 

    Percentage
  Amount of Net
  ($000) Assets
Other Assets and Liabilities    
Other Assets    
Investment in Vanguard 5,393  
Receivables for Investment Securities Sold 264  
Receivables for Accrued Income 313,968  
Receivables for Capital Shares Issued 218,895  
Variation Margin Receivable—Futures Contracts 1,584  
Unrealized Appreciation—Forwards Currency Contracts 11,074  
Other Assets5,6,8 226,808  
Total Other Assets 777,986 0.6%
Liabilities    
Payables for Investment Securities Purchased (69,470)  
Collateral for Securities on Loan (1,699,757)  
Payables for Capital Shares Redeemed (554,816)  
Payables to Vanguard (15,005)  
Variation Margin Payable—Futures Contracts (11,752)  
Unrealized Depreciation—Forwards Currency Contracts (9,459)  
Collateral for ETF Capital Activity (66,612)  
Total Liabilities (2,426,871) (1.9%)
Net Assets 125,194,510 100.0%
     
At December 31, 2019, net assets consisted of:    
    Amount
    ($000)
Paid-in Capital   110,391,901
Total Distributable Earnings (Loss)   14,802,609
Net Assets   125,194,510
     
Investor Shares—Net Assets    
Applicable to 5,413,863 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   59,269
Net Asset Value Per Share—Investor Shares   $10.95
     
ETF Shares—Net Assets    
Applicable to 1,790,610,530 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   78,752,406
Net Asset Value Per Share—ETF Shares   $43.98
     
Admiral Shares—Net Assets    
Applicable to 1,424,619,643 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   20,143,200
Net Asset Value Per Share—Admiral Shares   $14.14

 

  11  

 

 

Developed Markets Index Fund

 

 

  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 879,266,591 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 12,449,207
Net Asset Value Per Share—Institutional Shares $14.16
   
Institutional Plus Shares—Net Assets  
Applicable to 623,139,481 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 13,790,428
Net Asset Value Per Share—Institutional Plus Shares $22.13

 

· See Note A in Notes to Financial Statements.
* Non-income-producing security.
§ Certain of the fund’s securities are valued using significant unobservable inputs.
Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At December 31, 2019, the aggregate value of these securities was $1,887,754,000, representing 1.5% of net assets.
2 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 1.3%, respectively, of net assets.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
4 Includes $1,699,757,000 of collateral received for securities on loan.
5 Securities with a value of $65,656,000 and cash of $3,480,000 have been segregated as initial margin for open futures contracts.
6 Securities with a value of $14,000 and cash of $7,563,000 have been segregated as collateral for open forward currency contracts.
7 The total value of securities on loan is $1,623,798,000.
8 Cash of $66,612,000 has been segregated as collateral for ETF capital activity.

GDR—Global Depositary Receipt.

 

  12  

 

 

Developed Markets Index Fund

 

 

Derivative Financial Instruments Outstanding as of Period End      
       
Futures Contracts        
        ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
Dow Jones EURO STOXX 50 Index March 2020 8,464 354,035 (1,249)
Topix Index March 2020 1,790 283,520 (748)
FTSE 100 Index March 2020 2,096 208,201 219
S&P/TSX 60 Index March 2020 934 145,637 37
S&P ASX 200 Index March 2020 968 112,135 (3,125)
E-mini S&P 500 Index March 2020 462 74,638 (275)
        (5,141)

 

Forward Currency Contracts              
Contract         Unrealized Unrealized
Settlement   Contract Amount (000) Appreciation (Depreciation)
Counterparty Date   Receive   Deliver ($000) ($000)
BNP Paribas 4/2/20 EUR 417,536 USD 467,766 3,348
Toronto-Dominion Bank 4/2/20 GBP 165,532 USD 221,600 (1,773)
Barclays Bank plc 4/2/20 JPY 22,757,710 USD 210,875 (305)
UBS AG 4/2/20 JPY 16,427,399 USD 152,184 (187)
Morgan Stanley Capital Services LLC 4/2/20 CAD 179,794 USD 136,431 2,069
BNP Paribas 4/2/20 GBP 83,619 USD 109,799 1,247
BNP Paribas 4/2/20 AUD 144,922 USD 99,797 2,137
Morgan Stanley Capital Services LLC 4/2/20 EUR 89,085 USD 99,755 761
JPMorgan Chase Bank, N.A. 4/2/20 JPY 9,108,765 USD 83,696 585
Goldman Sachs International 4/2/20 AUD 29,679 USD 20,530 346
Citibank, N.A. 1/2/20 DKK 87,344 USD 12,970 141
Deutsche Bank AG 4/2/20 AUD 13,486 USD 9,267 219
Royal Bank of Canada 4/2/20 AUD 7,134 USD 4,902 115
Goldman Sachs International 1/2/20 SEK 39,655 USD 4,218 16
Royal Bank of Canada 1/2/20 SEK 29,000 USD 3,044 52
Barclays Bank plc 4/2/20 AUD 1,713 USD 1,179 26
Bank of America, N.A. 1/2/20 DKK 7,000 USD 1,040 11
BNP Paribas 1/2/20 DKK 2,100 USD 314 1
Morgan Stanley Capital Services LLC 1/7/20 JPY 5,000 USD 46
Credit Suisse International 4/2/20 USD 163,166 EUR 146,333 (1,944)
Morgan Stanley Capital Services LLC 4/2/20 USD 140,028 GBP 107,234 (2,378)

 

  13  

 

 

Developed Markets Index Fund

 

 

Forward Currency Contracts (continued)            
Contract         Unrealized Unrealized
Settlement   Contract Amount (000) Appreciation (Depreciation)
Counterparty Date   Receive   Deliver ($000) ($000)
UBS AG 4/2/20 USD 100,292 CHF 97,580 (1,212)
UBS AG 4/2/20 USD 90,775 JPY 9,877,352 (618)
Credit Suisse International 4/2/20 USD 78,199 JPY 8,472,815 (197)
Morgan Stanley Capital Services LLC 4/2/20 USD 49,507 EUR 43,881 (5)
Royal Bank of Canada 4/2/20 USD 28,330 KRW 32,719,909 (30)
Royal Bank of Canada 1/2/20 USD 14,307 DKK 96,444 (170)
Deutsche Bank AG 4/2/20 USD 13,633 AUD 19,425 (30)
Citibank, N.A. 4/2/20 USD 13,053 DKK 87,344 (144)
Barclays Bank plc 4/2/20 USD 7,750 CAD 10,192 (101)
Goldman Sachs International 1/2/20 USD 7,083 SEK 68,655 (247)
BNP Paribas 4/2/20 USD 6,928 KRW 8,000,000 (6)
Goldman Sachs International 4/2/20 USD 6,893 JPY 750,000 (47)
Goldman Sachs International 4/2/20 USD 4,240 SEK 39,655 (13)
HSBC Bank USA, N.A. 4/2/20 USD 3,272 CAD 4,316 (52)
            11,074 (9,459)

 

AUD—Australian dollar.
CAD—Canadian dollar.
CHF—Swiss franc.
DKK—Danish krone.
EUR—euro.
GBP—British pound.
JPY—Japanese yen.
KRW—Korean won.
SEK—Swedish krona.
USD—U.S. dollar.

 

At December 31, 2019, the counterparties had deposited in segregated accounts securities with a value of $5,252,000 and cash of $1,768,000 in connection with open forward currency contracts. After December 31, 2019, a counterparty posted additional collateral of $1,878,000 in connection with open forward currency contracts as of December 31, 2019.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  14  

 

 

Developed Markets Index Fund

 

 

Statement of Operations

 

    Year Ended  
    December 31, 2019  
    ($000 )
Investment Income      
Income      
Dividends1   3,501,291  
Interest2   23,417  
Securities Lending—Net   77,106  
Total Income   3,601,814  
Expenses      
The Vanguard Group—Note B      
Investment Advisory Services   5,572  
Management and Administrative—Investor Shares   603  
Management and Administrative—ETF Shares   25,014  
Management and Administrative—Admiral Shares   9,733  
Management and Administrative—Institutional Shares   4,487  
Management and Administrative—Institutional Plus Shares   3,481  
Marketing and Distribution—Investor Shares   45  
Marketing and Distribution—ETF Shares   3,138  
Marketing and Distribution—Admiral Shares   1,140  
Marketing and Distribution—Institutional Shares   428  
Marketing and Distribution—Institutional Plus Shares   146  
Custodian Fees   3,269  
Auditing Fees   62  
Shareholders’ Reports—Investor Shares   7  
Shareholders’ Reports—ETF Shares   2,061  
Shareholders’ Reports—Admiral Shares   170  
Shareholders’ Reports—Institutional Shares   54  
Shareholders’ Reports—Institutional Plus Shares   30  
Trustees’ Fees and Expenses   51  
Total Expenses   59,491  
Net Investment Income   3,542,323  
Realized Net Gain (Loss)      
Investment Securities Sold2,3   181,906  
Futures Contracts   248,143  
Forward Currency Contracts   (15,254 )
Foreign Currencies   (7,942 )
Realized Net Gain (Loss)   406,853  
Change in Unrealized Appreciation (Depreciation)      
Investment Securities2   18,343,515  

 

  15  

 

 

Developed Markets Index Fund

 

 

 

 

 

Statement of Operations (continued)  
    Year Ended  
    December 31, 2019  
    ($000 )
Futures Contracts   20,118  
Forward Currency Contracts   (8,158 )
Foreign Currencies   6,386  
Change in Unrealized Appreciation (Depreciation)   18,361,861  
Net Increase (Decrease) in Net Assets Resulting from Operations   22,311,037  

 

1 Dividends are net of foreign withholding taxes of $346,852,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $21,519,000, $337,000, and $177,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $527,947,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  16  

 

 

Developed Markets Index Fund

 

 

Statement of Changes in Net Assets

 

    Year Ended December 31,  
    2019     2018  
    ($000 )   ($000 )
Increase (Decrease) in Net Assets            
Operations            
Net Investment Income   3,542,323     3,244,717  
Realized Net Gain (Loss)   406,853     112,304  
Change in Unrealized Appreciation (Depreciation)   18,361,861     (19,993,039 )
Net Increase (Decrease) in Net Assets Resulting from Operations   22,311,037     (16,636,018 )
Distributions            
Net Investment Income            
Investor Shares   (10,790 )   (23,364 )
ETF Shares   (2,348,574 )   (2,069,674 )
Admiral Shares   (582,985 )   (470,888 )
Institutional Shares   (382,469 )   (333,818 )
Institutional Plus Shares   (383,483 )   (294,490 )
Realized Capital Gain            
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Institutional Plus Shares        
Total Distributions   (3,708,301 )   (3,192,234 )
Capital Share Transactions            
Investor Shares   (756,257 )   (74,824 )
ETF Shares   1,759,759     9,552,132  
Admiral Shares   2,025,678     2,990,179  
Institutional Shares   158,120     414,926  
Institutional Plus Shares   2,699,458     1,014,326  
Net Increase (Decrease) from Capital Share Transactions   5,886,758     13,896,739  
Total Increase (Decrease)   24,489,494     (5,931,513 )
Net Assets            
Beginning of Period   100,705,016     106,636,529  
End of Period   125,194,510     100,705,016  

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  17  

 

 

Developed Markets Index Fund

 

 

Financial Highlights

 

 

Investor Shares

 

For a Share Outstanding       Year Ended December 31,  
Throughout Each Period   2019     2018     2017     2016     2015  
Net Asset Value, Beginning of Period   $9.26     $11.16     $9.09     $9.15     $9.42  
Investment Operations                              
Net Investment Income   .3611     .3121     .2841     .262     .261  
Net Realized and Unrealized Gain (Loss) on Investments   1.651     (1.914 )   2.086     (.054 )   (.276 )
Total from Investment Operations   2.012     (1.602 )   2.370     .208     (.015 )
Distributions                              
Dividends from Net Investment Income   (.322 )   (.298 )   (.300 )   (.268 )   (.255 )
Distributions from Realized Capital Gains                    
Total Distributions   (.322 )   (.298 )   (.300 )   (.268 )   (.255 )
Net Asset Value, End of Period   $10.95     $9.26     $11.16     $9.09     $9.15  
                               
Total Return2   21.96%   -14.56%   26.31%   2.36%   -0.29%
                               
Ratios/Supplemental Data                              
Net Assets, End of Period (Millions)   $59     $731     $950     $875     $1,040  
Ratio of Total Expenses to Average Net Assets   0.16%   0.16%   0.17%   0.17%   0.20%
Ratio of Net Investment Income to Average Net Assets   3.56%   2.89%   2.71%   3.00%   2.73%
Portfolio Turnover Rate3   2%   3%   3%   11%   3%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  18  

 

 

Developed Markets Index Fund

 

 

Financial Highlights

 

 

FTSE Developed Markets ETF Shares          
           
For a Share Outstanding       Year Ended December 31,  
Throughout Each Period   2019     2018     2017     2016     2015  
Net Asset Value, Beginning of Period   $37.20     $44.83     $36.51     $36.75     $37.85  
Investment Operations                              
Net Investment Income   1.2891     1.2911     1.1661     1.090     1.096  
Net Realized and Unrealized Gain (Loss) on Investments   6.831     (7.677 )   8.397     (.216 )   (1.125 )
Total from Investment Operations   8.120     (6.386 )   9.563     .874     (.029 )
Distributions                              
Dividends from Net Investment Income   (1.340 )   (1.244 )   (1.243 )   (1.114 )   (1.071 )
Distributions from Realized Capital Gains                    
Total Distributions   (1.340 )   (1.244 )   (1.243 )   (1.114 )   (1.071 )
Net Asset Value, End of Period   $43.98     $37.20     $44.83     $36.51     $36.75  
                               
Total Return   22.08%   -14.47%   26.44%   2.51%   -0.21%
                               
Ratios/Supplemental Data                              
Net Assets, End of Period (Millions)   $78,752     $65,139     $68,406     $40,243     $29,288  
Ratio of Total Expenses to Average Net Assets   0.05%   0.05%   0.07%   0.07%   0.09%
Ratio of Net Investment Income to Average Net Assets   3.13%   3.00%   2.81%   3.10%   2.84%
Portfolio Turnover Rate2   2%   3%   3%   11%   3%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  19  

 

 

Developed Markets Index Fund

 

 

Financial Highlights

 

 

Admiral Shares          
           
For a Share Outstanding       Year Ended December 31,  
Throughout Each Period   2019     2018     2017     2016     2015  
Net Asset Value, Beginning of Period   $11.96     $14.41     $11.74     $11.82     $12.17  
Investment Operations                              
Net Investment Income   .4101     .4121     .3751     .350     .352  
Net Realized and Unrealized Gain (Loss) on Investments   2.198     (2.464 )   2.695     (.071 )   (.358 )
Total from Investment Operations   2.608     (2.052 )   3.070     .279     (.006 )
Distributions                              
Dividends from Net Investment Income   (.428 )   (.398 )   (.400 )   (.359 )   (.344 )
Distributions from Realized Capital Gains                    
Total Distributions   (.428 )   (.398 )   (.400 )   (.359 )   (.344 )
Net Asset Value, End of Period   $14.14     $11.96     $14.41     $11.74     $11.82  
                               
Total Return2   22.05%   -14.46%   26.40%   2.45%   -0.18%
                               
Ratios/Supplemental Data                              
Net Assets, End of Period (Millions)   $20,143     $15,209     $15,180     $9,702     $7,921  
Ratio of Total Expenses to Average Net Assets   0.07%   0.07%   0.07%   0.07%   0.09%
Ratio of Net Investment Income to Average Net Assets   3.10%   2.98%   2.81%   3.10%   2.84%
Portfolio Turnover Rate3   2%   3%   3%   11%   3%

 

1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  20  

 

 

Developed Markets Index Fund

 

 

Financial Highlights

 

 

Institutional Shares          
           
For a Share Outstanding       Year Ended December 31,  
Throughout Each Period   2019     2018     2017     2016     2015  
Net Asset Value, Beginning of Period   $11.97     $14.43     $11.75     $11.83     $12.18  
Investment Operations                              
Net Investment Income   .4171     .4161     .3791     .352     .354  
Net Realized and Unrealized Gain (Loss) on Investments   2.205     (2.475 )   2.701     (.072 )   (.358 )
Total from Investment Operations   2.622     (2.059 )   3.080     .280     (.004 )
Distributions                              
Dividends from Net Investment Income   (.432 )   (.401 )   (.400 )   (.360 )   (.346 )
Distributions from Realized Capital Gains                    
Total Distributions   (.432 )   (.401 )   (.400 )   (.360 )   (.346 )
Net Asset Value, End of Period   $14.16     $11.97     $14.43     $11.75     $11.83  
                               
Total Return   22.14%   -14.49%   26.46%   2.46%   -0.17%
                               
Ratios/Supplemental Data                              
Net Assets, End of Period (Millions)   $12,449     $10,361     $11,998     $9,092     $8,093  
Ratio of Total Expenses to Average Net Assets   0.05%   0.05%   0.06%   0.06%   0.07%
Ratio of Net Investment Income to Average Net Assets   3.15%   3.00%   2.82%   3.11%   2.86% 
Portfolio Turnover Rate2   2%   3%   3%   11%   3%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

  21  

 

 

Developed Markets Index Fund

 

 

Financial Highlights

 

 

Institutional Plus Shares          
           
For a Share Outstanding       Year Ended December 31,  
Throughout Each Period   2019     2018     2017     2016     2015  
Net Asset Value, Beginning of Period   $18.72     $22.56     $18.37     $18.49     $19.05  
Investment Operations                              
Net Investment Income   .6471     .6431     .5971     .552     .558  
Net Realized and Unrealized Gain (Loss) on Investments   3.439     (3.855 )   4.223     (.107 )   (.573 )
Total from Investment Operations   4.086     (3.212 )   4.820     .445     (.015 )
Distributions                              
Dividends from Net Investment Income   (.676 )   (.628 )   (.630 )   (.565 )   (.545 )
Distributions from Realized Capital Gains                    
Total Distributions   (.676 )   (.628 )   (.630 )   (.565 )   (.545 )
Net Asset Value, End of Period   $22.13     $18.72     $22.56     $18.37     $18.49  
                               
Total Return   22.07%   -14.45%   26.49%   2.50%   -0.21%
                               
Ratios/Supplemental Data                              
Net Assets, End of Period (Millions)   $13,790     $9,265     $10,102     $7,444     $7,253  
Ratio of Total Expenses to Average Net Assets   0.04%   0.04%   0.05%   0.05%   0.06%
Ratio of Net Investment Income to Average Net Assets   3.12%   3.01%   2.83%   3.12%   2.87%
Portfolio Turnover Rate2   2%   3%   3%   11%   3%

 

1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Developed Markets Index Fund

 

 

Notes to Financial Statements

 

 

Vanguard Developed Markets Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares, known as Vanguard FTSE Developed Markets ETF Shares, are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

A.  The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

 

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.

 

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

 

3. Futures and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund

 

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Developed Markets Index Fund

 

 

 

 

 

trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

The fund also enters into forward currency contracts to provide the appropriate currency exposure related to any open futures contracts. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

 

Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures or forward currency contracts.

 

During the year ended December 31, 2019, the fund’s average investments in long and short futures contracts represented 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period. The fund’s average investment in forward currency contracts represented 2% of net assets, based on the average of the notional amounts at each quarter-end during the period.

 

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2016–2019), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

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Developed Markets Index Fund

 

 

 

 

 

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

7. Collateral for ETF Capital Activity: When an authorized participant fails to deliver one or more of the securities within a designated basket (in the case of a subscription), fails to deliver the fund ETF Shares (in the case of a redemption), or is required by the fund, prior to settlement, to accommodate the trading of foreign securities in local markets (in the case of redemption for an international equity ETF), the fund may require the authorized participant to deliver and maintain cash collateral in accordance with the authorized participant agreement. The fund may invest the collateral in short-term debt instruments or U.S. Treasury securities, or maintain the balance as cash. Daily market fluctuations could cause the value of the missing securities or fund ETF Shares to be more or less than the value of the collateral received; when this occurs the collateral is adjusted. The fund earns interest income from investments and/or custody fee offsets from the cash balance. The fund records an asset (cash or investment, as applicable) and a corresponding liability for the return of the collateral in the Statement of Net Assets. Interest income and custody fee offsets earned on the investment of collateral are included in the Statement of Operations.

 

8. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2019, or at any time during the period then ended.

 

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Developed Markets Index Fund

 

 

 

 

 

9. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Withholding taxes on foreign dividends and capital gains have been provided for in accordance with the fund’s understanding of the applicable countries’ tax rules and rates. The fund has filed tax reclaims for previously withheld taxes on dividends earned in certain European Union countries. These filings are subject to various administrative and judicial proceedings within these countries. Such tax reclaims received during the year, if any, are included in dividend income. No other amounts for additional tax reclaims are reflected in the financial statements due to the uncertainty as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

B.  In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2019, the fund had contributed to Vanguard capital in the amount of $5,393,000, representing less than 0.01% of the fund’s net assets and 2.16% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

C.  Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

 

Level 1—Quoted prices in active markets for identical securities.

Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

  26  

 

 

Developed Markets Index Fund

 

 

 

 

 

The following table summarizes the market value of the fund’s investments and derivatives as of December 31, 2019, based on the inputs used to value them:

 

    Level 1     Level 2     Level 3  
Investments   ($000 )   ($000 )   ($000 )
Common Stocks   10,860,530     113,107,169     29,816  
Temporary Cash Investments   2,780,208     65,672      
Futures Contracts—Assets1   1,584          
Futures Contracts—Liabilities1   (11,752 )        
Forward Currency Contracts—Assets       11,074      
Forward Currency Contracts—Liabilities       (9,459 )    
Total   13,630,570     113,174,456     29,816  

1 Represents variation margin on the last day of the reporting period.

 

D.  At December 31, 2019, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

 

          Foreign        
    Equity     Exchange        
    Contracts     Contracts     Total  
Statement of Net Assets Caption   ($000 )   ($000 )   ($000 )
Variation Margin Receivable—Futures Contracts   1,584         1,584  
Unrealized Appreciation—Forward Currency Contracts       11,074     11,074  
Total Assets   1,584     11,074     12,658  
                   
Variation Margin Payable—Futures Contracts   (11,752 )       (11,752 )
Unrealized Depreciation—Forward Currency Contracts       (9,459 )   (9,459 )
Total Liabilities   (11,752 )   (9,459 )   (21,211 )

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended December 31, 2019, were:

 

        Foreign        
    Equity     Exchange        
    Contracts     Contracts     Total  
Realized Net Gain (Loss) on Derivatives   ($000 )   ($000 )   ($000 )
Futures Contracts   248,143         248,143  
Forward Currency Contracts       (15,254 )   (15,254 )
Realized Net Gain (Loss) on Derivatives   248,143     (15,254 )   232,889  
                   
Change in Unrealized Appreciation (Depreciation) on Derivatives                  
Futures Contracts   20,118         20,118  
Forward Currency Contracts       (8,158 )   (8,158 )
Change in Unrealized Appreciation (Depreciation) on Derivatives   20,118     (8,158 )   11,960  

 

  27  

 

 

Developed Markets Index Fund

 

E.  Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions, foreign currency transactions, passive foreign investment companies, and tax expense on capital gains were reclassified between the following accounts:

 

    Amount  
    ($000 )
Paid-in Capital   566,685  
Total Distributable Earnings (Loss)   (566,685 )

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales; the realization of unrealized gains or losses on certain futures contracts and forward currency contracts; and unrealized gains on passive foreign investment companies. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

    Amount  
    ($000 )
Undistributed Ordinary Income   81,352  
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (2,518,346 )
Net Unrealized Gains (Losses)   17,251,239  

 

As of December 31, 2019, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

    Amount  
    ($000 )
Tax Cost   109,591,561  
Gross Unrealized Appreciation   28,668,193  
Gross Unrealized Depreciation   (11,420,355 )
Net Unrealized Appreciation (Depreciation)   17,247,838  

 

F.  During the year ended December 31, 2019, the fund purchased $9,911,088,000 of investment securities and sold $4,072,644,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,850,462,000 and $1,362,184,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

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Developed Markets Index Fund

 

 

 

 

 

G. Capital share transactions for each class of shares were:

 

                Year Ended December 31,  
          2019           2018  
    Amount     Shares     Amount     Shares  
    ($000 )   (000 )   ($000 )   (000 )
Investor Shares                        
Issued   179,311     17,300     203,791     19,421  
Issued in Lieu of Cash Distributions   9,838     970     20,774     2,051  
Redeemed1   (945,406 )   (91,817 )   (299,389 )   (27,672 )
Net Increase (Decrease)—Investor Shares   (756,257 )   (73,547 )   (74,824 )   (6,200 )
ETF Shares                        
Issued   3,191,112     75,900     9,638,355     227,208  
Issued in Lieu of Cash Distributions                
Redeemed   (1,431,353 )   (36,500 )   (86,223 )   (2,000 )
Net Increase (Decrease)—ETF Shares   1,759,759     39,400     9,552,132     225,208  
Admiral Shares                        
Issued1   5,494,696     416,279     6,539,544     483,375  
Issued in Lieu of Cash Distributions   468,526     34,970     391,732     29,979  
Redeemed   (3,937,544 )   (298,516 )   (3,941,097 )   (294,797 )
Net Increase (Decrease)—Admiral Shares   2,025,678     152,733     2,990,179     218,557  
Institutional Shares                        
Issued   3,150,458     238,396     3,159,827     228,361  
Issued in Lieu of Cash Distributions   349,841     26,090     307,770     23,476  
Redeemed   (3,342,179 )   (250,436 )   (3,052,671 )   (217,991 )
Net Increase (Decrease)—Institutional Shares   158,120     14,050     414,926     33,846  
Institutional Plus Shares                        
Issued   4,049,971     192,199     3,509,822     161,008  
Issued in Lieu of Cash Distributions   364,062     17,328     278,574     13,609  
Redeemed   (1,714,575 )   (81,383 )   (2,774,070 )   (127,458 )
Net Increase (Decrease)—Institutional Plus Shares   2,699,458     128,144     1,014,326     47,159  

1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 64,858,000 and 50,199,000 shares, respectively, in the amount of $668,306,000 from the conversion during the year ended December 31, 2019.

 

H.  Management has determined that no events or transactions occurred subsequent to December 31, 2019, that would require recognition or disclosure in these financial statements.

 

  29  

 

 

Report of Independent Registered

Public Accounting Firm

 

To the Board of Trustees of Vanguard Tax-Managed Funds and Shareholders of Vanguard Developed Markets Index Fund

 

Opinion on the Financial Statements

We have audited the accompanying statement of net assets—investments summary of Vanguard Developed Markets Index Fund (one of the funds constituting Vanguard Tax-Managed Funds, referred to hereafter as the “Fund”) as of December 31, 2019, the related statement of operations for the year ended December 31, 2019, the statement of changes in net assets for each of the two years in the period ended December 31, 2019, including the related notes, and the financial highlights for each of the five years in the period ended December 31, 2019 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of December 31, 2019, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended December 31, 2019 and the financial highlights for each of the five years in the period ended December 31, 2019 in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2019 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

 

/s/PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

February 13, 2020

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

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Special 2019 tax information (unaudited) for Vanguard Developed Markets Index Fund

 

This information for the fiscal year ended December 31, 2019, is included pursuant to provisions of the Internal Revenue Code.

 

The fund distributed $2,831,288,000 of qualified dividend income to shareholders during the fiscal year.

 

The fund designates to shareholders foreign source income of $3,847,538,000 and foreign taxes paid of $279,853,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2020 to determine the calendar-year amounts to be included on their 2019 tax returns.

 

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London Stock Exchange Group companies include FTSE International Limited (“FTSE”), Frank Russell Company (“Russell”), MTS Next Limited (“MTS”), and FTSE TMX Global Debt Capital Markets Inc. (“FTSE TMX”). All rights reserved. “FTSE®”, “Russell®”, “MTS®”, “FTSE TMX®” and “FTSE Russell” and other service marks and trademarks related to the FTSE or Russell indexes are trademarks of the London Stock Exchange Group companies and are used by FTSE, MTS, FTSE TMX and Russell under license. All information is provided for information purposes only. Every effort is made to ensure that all information given in this publication is accurate, but no responsibility or liability can be accepted by the London Stock Exchange Group companies nor its licensors for any errors or for any loss from use of this publication. Neither the London Stock Exchange Group companies nor any of their licensors make any claim, prediction, warranty or representation whatsoever, expressly or impliedly, either as to the results to be obtained from the use of the Indices or the fitness or suitability of the Indices for any particular purpose to which they might be put. The London Stock Exchange Group companies do not provide investment advice and nothing in this document should be taken as constituting financial or investment advice. The London Stock Exchange Group companies make no representation regarding the advisability of investing in any asset. A decision to invest in any such asset should not be made in reliance on any information herein. Indexes cannot be invested in directly. Inclusion of an asset in an index is not a recommendation to buy, sell or hold that asset. The general information contained in this publication should not be acted upon without obtaining specific legal, tax, and investment advice from a licensed professional. No part of this information may be reproduced, stored in a retrieval system or transmitted in any form or by any means, electronic, mechanical, photocopying, recording or otherwise, without prior written permission of the London Stock Exchange Group companies. Distribution of the London Stock Exchange Group companies’ index values and the use of their indexes to create financial products require a license with FTSE, FTSE TMX, MTS and/or Russell and/or its licensors.

 

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The People Who Govern Your Fund

 

 

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them.

 

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 213 Vanguard funds.

 

Information for each trustee and executive officer of the fund appears below. That information, as well as the Vanguard fund count, is as of the date on the cover of this fund report. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

 

 

Interested Trustee1

 

Mortimer J. Buckley

Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chairman of the board (January 2019–present) of Vanguard and of each of the investment companies served by Vanguard; chief executive officer (January 2018–present) of Vanguard; chief executive officer, president, and trustee (January 2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (February 2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) and trustee (2009–2017) of the Children’s Hospital of Philadelphia; trustee (2018–present) of The Shipley School.

 

 

Independent Trustees

 

Emerson U. Fullwood

Born in 1948. Trustee since January 2008. Principal occupation(s) during the past five years and other experience: executive chief staff and marketing officer for North America and corporate vice president (retired 2008) of Xerox Corporation (document management products and services). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.

 

Amy Gutmann

Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) of the University of Pennsylvania. Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and professor of communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania. Trustee of the National Constitution Center.

 

F. Joseph Loughrey

Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services), and the Lumina Foundation.

 

1 Mr. Buckley is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.

 

 

 

 

Director of the V Foundation and Oxfam America. Member of the advisory council for the College of Arts and Letters and chair of the advisory board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

 

Mark Loughridge

Born in 1953. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: senior vice president and chief financial officer (retired 2013) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.

 

Scott C. Malpass

Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (1989–present) and vice president (1996–present) of the University of Notre Dame. Assistant professor of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Chairman of the board of TIFF Advisory Services, Inc. Member of the board of Catholic Investment Services, Inc. (investment advisors) and the board of superintendence of the Institute for the Works of Religion.

 

Deanna Mulligan

Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: president (2010–present) and chief executive officer (2011–present) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of The Guardian Life Insurance Company of America. Member of the board of The Guardian Life Insurance Company of America, the American Council of Life Insurers, the Partnership for New York City (business leadership), and the Committee Encouraging Corporate Philanthropy. Trustee of the Economic Club of New York and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.

 

André F. Perold

Born in 1952. Trustee since December 2004. Principal occupation(s) during the past five years and other experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011). Chief investment officer and co-managing partner of HighVista Strategies (private investment firm). Board of advisors and investment committee member of the Museum of Fine Arts Boston. Board member (2018–present) of RIT Capital Partners (investment firm); investment committee member of Partners Health Care System.

 

Sarah Bloom Raskin

Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Member of the board of directors (2012–2014) of Neighborhood Reinvestment Corporation. Director (2017–present) of i(x) Investments; director (2017–present) of Reserve Trust. Rubinstein Fellow (2017–present) of Duke University; trustee (2017–present) of Amherst College.

 

Peter F. Volanakis

Born in 1955. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2010) of Corning Incorporated (communications equipment) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the board of Hypertherm Inc. (industrial cutting systems, software, and consumables).

 

 

 

 

Executive Officers

 

John Bendl

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (October 2019–present) of each of the investment companies served by Vanguard. Chief accounting officer, treasurer, and controller of Vanguard (2017–present). Partner (2003–2016) at KPMG (audit, tax, and advisory services).

 

Glenn Booraem

Born in 1967. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (2017–present), treasurer (2015–2017), controller (2010–2015), and assistant controller (2001–2010) of each of the investment companies served by Vanguard.

 

Christine M. Buchanan

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG (audit, tax, and advisory services).

 

David Cermak

Born in 1960. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Finance director (October 2019–present) of each of the investment companies served by Vanguard. Managing director and head (2017–present) of Vanguard Investments Singapore. Managing director and head (2017–2019) of Vanguard Investments Hong Kong. Representative director and head (2014–2017) of Vanguard Investments Japan.

 

Thomas J. Higgins

Born in 1957. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Finance director (October 2019–present), chief financial officer (2008–2019), and treasurer (1998–2008) of each of the investment companies served by Vanguard.

 

Peter Mahoney

Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.

 

Anne E. Robinson

Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.

 

Michael Rollings

Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.

 

John E. Schadl

Born in 1972. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2019–present) of Vanguard and of each of the investment companies served by Vanguard. Assistant vice president (May 2019–present) of Vanguard Marketing Corporation.

 

Vanguard Senior Management Team

 

Joseph Brennan Chris D. McIsaac
Mortimer J. Buckley James M. Norris
Gregory Davis Thomas M. Rampulla
John James Karin A. Risi
Martha G. King Anne E. Robinson
John T. Marcante Michael Rollings

 

 

 

 

   

 

     
    P.O. Box 2600
    Valley Forge, PA 19482-2600

 

Connect with Vanguard® > vanguard.com

 

Fund Information > 800-662-7447

 

Direct Investor Account Services > 800-662-2739

 

Institutional Investor Services > 800-523-1036

 

Text Telephone for People

Who Are Deaf or Hard of Hearing > 800-749-7273

 

This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus.

 

All comparative mutual fund data are from Morningstar, Inc., unless otherwise noted.

 

You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, www.sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or www.sec.gov.

 

You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.

 

Source for Bloomberg Barclays indexes: Bloomberg Index Services Limited. Copyright 2020, Bloomberg. All rights reserved.

 

    © 2020 The Vanguard Group, Inc.
    All rights reserved.
    U.S. Patent Nos. 6,879,964; 7,337,138;
    7,720,749; 7,925,573; 8,090,646; 8,417,623; and 8,626,636.
    Vanguard Marketing Corporation, Distributor.
     
    Q1270 022020

 

     

 

 

Item 2: Code of Ethics. The Registrant has adopted a code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller or persons performing similar functions. The Code of Ethics was amended during the reporting period covered by this report to make certain technical, non-material changes.

 

Item 3: Audit Committee Financial Expert. All members of the Audit Committee have been determined by the Registrant’s Board of Trustees to be Audit Committee Financial Experts and to be independent: F. Joseph Loughrey, Mark Loughridge, Sarah Bloom Raskin, and Peter F. Volanakis.

 

Item 4: Principal Accountant Fees and Services.

 

(a)       Audit Fees.

 

Audit Fees of the Registrant.

 

Fiscal Year Ended December 31, 2019: $160,000

Fiscal Year Ended December 31, 2018: $166,000

 

Aggregate Audit Fees of Registered Investment Companies in the Vanguard Group.

 

Fiscal Year Ended December 31, 2019: $9,568,215

Fiscal Year Ended December 31, 2018: $9,734,277

 

Includes fees billed in connection with audits of the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(b)       Audit-Related Fees.

 

Fiscal Year Ended December 31, 2019: $3,012,031

Fiscal Year Ended December 31, 2018: $5,581,336

 

Includes fees billed in connection with assurance and related services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(c)       Tax Fees.

 

Fiscal Year Ended December 31, 2019: $357,238

Fiscal Year Ended December 31, 2018: $347,985

 

Includes fees billed in connection with tax compliance, planning, and advice services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(d)       All Other Fees.

 

Fiscal Year Ended December 31, 2019: $0

Fiscal Year Ended December 31, 2018: $0

 

Includes fees billed for services related to tax reported information provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

 

 

 

(e)       (1) Pre-Approval Policies. The policy of the Registrant’s Audit Committee is to consider, and, if appropriate, approve before the principal accountant is engaged for such services, all specific audit and non-audit services provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant. In making a determination, the Audit Committee considers whether the services are consistent with maintaining the principal accountant’s independence.

 

In the event of a contingency situation in which the principal accountant is needed to provide services in between scheduled Audit Committee meetings, the Chairman of the Audit Committee would be called on to consider and, if appropriate, pre-approve audit or permitted non-audit services in an amount sufficient to complete services through the next Audit Committee meeting, and to determine if such services would be consistent with maintaining the accountant’s independence. At the next scheduled Audit Committee meeting, services and fees would be presented to the Audit Committee for formal consideration, and, if appropriate, approval by the entire Audit Committee. The Audit Committee would again consider whether such services and fees are consistent with maintaining the principal accountant’s independence.

 

The Registrant’s Audit Committee is informed at least annually of all audit and non-audit services provided by the principal accountant to the Vanguard complex, whether such services are provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., or other entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant.

 

(2) No percentage of the principal accountant’s fees or services were approved pursuant to the waiver provision of paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

 

(f)        For the most recent fiscal year, over 50% of the hours worked under the principal accountant’s engagement were not performed by persons other than full-time, permanent employees of the principal accountant.

 

(g)       Aggregate Non-Audit Fees.

 

Fiscal Year Ended December 31, 2019: $357,238
Fiscal Year Ended December 31, 2018: $347,985

 

Includes fees billed for non-audit services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(h)       For the most recent fiscal year, the Audit Committee has determined that the provision of all non-audit services was consistent with maintaining the principal accountant’s independence.

 

Item 5: Audit Committee of Listed Registrants.

 

The Registrant is a listed issuer as defined in rule 10A-3 under the Securities Exchange Act of 1934 (“Exchange Act”). The Registrant has a separately-designated standing audit committee established in accordance with Section 3(a)(58)(A) of the Exchange Act. The Registrant’s audit committee members are: F. Joseph Loughrey, Mark Loughridge, Sarah Bloom Raskin, and Peter F. Volanakis.

 

 

 

 

Item 6: Investments.

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

    Shares   Market
Value
($000

 

 

)

Common Stocks (99.0%)1        
Australia (6.1%)        
  Commonwealth Bank of Australia 11,181,137   627,241  
  CSL Ltd. 2,856,276   553,784  
  BHP Group Ltd. 18,604,041   509,425  
  Westpac Banking Corp. 22,541,613   384,940  
  National Australia Bank Ltd. 18,203,855   315,003  
  Australia & New Zealand Banking Group Ltd. 17,897,778   308,667  
  Wesfarmers Ltd. 7,140,947   207,530  
  Woolworths Group Ltd. 7,950,210   201,646  
  Macquarie Group Ltd. 2,024,606   196,073  
  Transurban Group 17,099,592   178,983  
  Rio Tinto Ltd. 2,345,501   165,945  
  Woodside Petroleum Ltd. 5,899,676   142,647  
  Amcor plc 10,176,376   111,271  
  Goodman Group 11,242,290   105,647  
  Newcrest Mining Ltd. 4,852,819   102,487  
  Aristocrat Leisure Ltd. 4,031,498   95,261  
  Scentre Group 33,140,726   89,191  
  Brambles Ltd. 9,863,789   81,186  
  Insurance Australia Group Ltd. 14,594,648   78,419  
  Fortescue Metals Group Ltd. 10,048,423   75,749  
  QBE Insurance Group Ltd. 8,270,360   74,735  
  Coles Group Ltd. 7,160,885   74,544  
  Suncorp Group Ltd. 7,968,786   72,388  
  ASX Ltd. 1,221,731   67,269  
  Origin Energy Ltd. 11,109,148   65,869  
  Telstra Corp. Ltd. 26,304,401   65,340  
  Santos Ltd. 11,171,801   64,271  
  Sonic Healthcare Ltd. 2,989,977   60,287  
  South32 Ltd. 31,205,467   58,920  
  AGL Energy Ltd. 4,089,403   58,862  
  APA Group 7,457,127   58,050  
  Dexus 6,887,596   56,698  
  Cochlear Ltd. 355,407   56,015  
  Mirvac Group 24,665,543   55,209  
  James Hardie Industries plc 2,792,481   54,578  
  Treasury Wine Estates Ltd. 4,532,129   51,625  
  Ramsay Health Care Ltd. 973,873   49,549  
  Stockland 15,065,991   48,883  
  GPT Group 12,233,760   48,190  
  Lendlease Group 3,555,405   43,958  
  Aurizon Holdings Ltd. 11,889,832   43,635  
  Oil Search Ltd. 8,390,366   42,783  
  Sydney Airport 6,991,983   42,482  
  Medibank Pvt Ltd. 17,383,471   38,526  
  Tabcorp Holdings Ltd. 11,933,030   37,937  
  Caltex Australia Ltd. 1,574,307   37,539  
  Orica Ltd. 2,395,230   36,936  
  Computershare Ltd. 3,050,211   35,962  
  Northern Star Resources Ltd. 4,454,649   35,107  
  SEEK Ltd. 2,191,574   34,688  
  Magellan Financial Group Ltd. 864,025   34,617  
  Vicinity Centres 19,740,021   34,527  
  BlueScope Steel Ltd. 3,203,863   33,934  
* Xero Ltd. 579,653   32,566  
  Atlas Arteria Ltd. 5,517,778   30,339  
  AMP Ltd. 21,706,521   29,200  
  Alumina Ltd. 15,807,542   25,533  
  Coca-Cola Amatil Ltd. 3,220,078   25,006  
* Afterpay Touch Group Ltd. 1,152,534   23,722  
  Boral Ltd. 7,389,322   23,248  
  REA Group Ltd. 316,008   22,957  

 

1

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

    Shares   Market
Value
($000
)
  Charter Hall Group 2,932,085   22,836  
  Incitec Pivot Ltd. 10,080,459   22,521  
  WorleyParsons Ltd. 2,025,578   21,882  
  Downer EDI Ltd. 3,739,517   21,414  
  Bendigo & Adelaide Bank Ltd. 3,087,173   21,184  
  Challenger Ltd. 3,624,547   20,626  
  Beach Energy Ltd. 11,026,768   19,504  
  ALS Ltd. 3,023,635   19,467  
^ JB Hi-Fi Ltd. 708,962   18,763  
  Crown Resorts Ltd. 2,210,483   18,637  
  Qantas Airways Ltd. 3,684,132   18,364  
  Qube Holdings Ltd. 7,890,323   18,216  
  Evolution Mining Ltd. 6,592,820   17,527  
  Iluka Resources Ltd. 2,647,717   17,337  
  Orora Ltd. 7,640,968   17,033  
  Ansell Ltd. 824,725   16,794  
  Star Entertainment Grp Ltd. 5,172,724   16,687  
  Altium Ltd. 677,373   16,505  
* Saracen Mineral Holdings Ltd. 6,892,931   15,985  
  carsales.com Ltd. 1,359,248   15,851  
  OZ Minerals Ltd. 2,009,562   14,913  
  CIMIC Group Ltd. 609,650   14,174  
  Reliance Worldwide Corp. Ltd. 4,918,037   13,938  
  Domino's Pizza Enterprises Ltd. 375,489   13,802  
  AusNet Services 11,382,755   13,574  
  Independence Group NL 3,060,256   13,416  
  Link Administration Holdings Ltd. 3,242,950   13,325  
  Steadfast Group Ltd. 5,297,971   12,942  
  Bank of Queensland Ltd. 2,540,362   12,931  
  nib holdings Ltd. 2,880,299   12,684  
  Cromwell Property Group 15,023,729   12,395  
  Cleanaway Waste Management Ltd. 8,450,399   11,927  
  IOOF Holdings Ltd. 2,143,774   11,823  
  Nine Entertainment Co. Holdings Ltd. 9,111,674   11,453  
  Seven Group Holdings Ltd. 823,500   11,254  
  Flight Centre Travel Group Ltd. 352,266   10,896  
  Shopping Centres Australasia Property Group 5,796,595   10,876  
  Appen Ltd. 685,839   10,832  
  TPG Telecom Ltd. 2,285,125   10,767  
^ Harvey Norman Holdings Ltd. 3,738,550   10,678  
  Pendal Group Ltd. 1,743,064   10,510  
  Metcash Ltd. 5,732,102   10,331  
  Mineral Resources Ltd. 873,697   10,132  
  Breville Group Ltd. 822,631   10,090  
  Whitehaven Coal Ltd. 5,349,497   9,921  
* NEXTDC Ltd. 2,142,251   9,898  
  CSR Ltd. 3,065,926   9,802  
  IRESS Ltd. 1,070,684   9,785  
  IDP Education Ltd. 800,733   9,652  
  Charter Hall Long Wale REIT Ordinary Shares 2,315,713   8,937  
2 Viva Energy Group Ltd. 6,619,001   8,918  
  Regis Resources Ltd. 2,929,818   8,865  
* AP Eagers Ltd. 1,212,659   8,731  
  Washington H Soul Pattinson & Co. Ltd. 568,195   8,572  
  WiseTech Global Ltd. 519,187   8,526  
  BWP Trust 3,074,751   8,473  
  St. Barbara Ltd. 4,345,114   8,255  
* Nufarm Ltd. 2,005,065   8,159  
  Bapcor Ltd. 1,810,502   8,137  
  Perpetual Ltd. 274,599   7,930  
  Sims Metal Management Ltd. 1,055,598   7,902  
^ Corporate Travel Management Ltd. 535,983   7,727  
* Vocus Group Ltd. 3,789,222   7,602  
* GrainCorp Ltd. Class A 1,424,337   7,580  

 

2

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

    Shares   Market
Value
($000
)
  Webjet Ltd. 803,922   7,347  
* Lynas Corp. Ltd. 4,325,203   7,063  
  Adelaide Brighton Ltd. 2,884,637   7,014  
  Healius Ltd. 3,616,790   6,990  
  Charter Hall Retail REIT 2,287,731   6,857  
^ InvoCare Ltd. 725,512   6,716  
  Premier Investments Ltd. 502,344   6,613  
* Nanosonics Ltd. 1,459,031   6,514  
  Monadelphous Group Ltd. 548,501   6,428  
  Super Retail Group Ltd. 896,738   6,364  
  Credit Corp. Group Ltd. 290,232   6,285  
^ Bingo Industries Ltd. 3,048,842   6,086  
^ Platinum Asset Management Ltd. 1,891,487   6,000  
  National Storage REIT 4,660,134   6,000  
* Perseus Mining Ltd. 7,380,227   5,965  
  Ingenia Communities Group 1,698,732   5,919  
  Abacus Property Group 2,247,194   5,691  
  IPH Ltd. 975,409   5,609  
  Viva Energy REIT 2,942,553   5,504  
  ARB Corp. Ltd. 416,710   5,492  
  Technology One Ltd. 935,785   5,438  
  NRW Holdings Ltd. 2,374,281   5,387  
  Aventus Group 2,665,061   5,326  
* EML Payments Ltd. 1,587,541   5,054  
* PolyNovo Ltd. 3,637,413   5,039  
  Growthpoint Properties Australia Ltd. 1,716,729   5,000  
  Perenti Global Ltd. 4,364,407   4,973  
^ Blackmores Ltd. 83,442   4,966  
* Gold Road Resources Ltd. 5,262,166   4,927  
^ Clinuvel Pharmaceuticals Ltd. 241,112   4,812  
  Brickworks Ltd. 366,616   4,806  
* Avita Medical Ltd. 10,566,301   4,792  
* Resolute Mining Ltd. 5,267,251   4,635  
* IMF Bentham Ltd. 1,443,336   4,526  
* Zip Co. Ltd. 1,809,214   4,497  
  Sandfire Resources NL 1,056,538   4,439  
  Centuria Metropolitan REIT (XASX) 2,176,700   4,436  
* Silver Lake Resources Ltd. 4,688,288   4,394  
  Elders Ltd. 950,136   4,309  
  GUD Holdings Ltd. 553,308   4,309  
  Collins Foods Ltd. 672,184   4,200  
*,^ Mesoblast Ltd. 2,813,495   4,112  
  Costa Group Holdings Ltd. 2,343,733   4,068  
  Pro Medicus Ltd. 258,010   4,041  
*,^ nearmap Ltd. 2,239,094   3,993  
^ Bega Cheese Ltd. 1,296,383   3,932  
  Service Stream Ltd. 2,073,701   3,865  
  G8 Education Ltd. 2,832,551   3,777  
  Tassal Group Ltd. 1,294,454   3,777  
  Centuria Industrial REIT 1,609,294   3,773  
  Domain Holdings Australia Ltd. 1,440,742   3,742  
  Arena REIT 1,849,541   3,700  
  GWA Group Ltd. 1,559,847   3,629  
* Cooper Energy Ltd. 8,471,987   3,601  
  Select Harvests Ltd. 591,570   3,487  
  oOh!media Ltd. 1,351,218   3,447  
  Western Areas Ltd. 1,606,715   3,422  
* Jumbo Interactive Ltd. 316,559   3,320  
  Ramelius Resources Ltd. 3,820,985   3,307  
  Genworth Mortgage Insurance Australia Ltd. 1,282,103   3,288  
  Charter Hall Education Trust 1,403,637   3,192  
* Emeco Holdings Ltd. 2,006,264   3,052  
  McMillan Shakespeare Ltd. 323,866   2,971  
* Westgold Resources Ltd. 1,829,824   2,932  

 

3

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

    Shares   Market
Value
($000
)
* Mayne Pharma Group Ltd. 9,570,090   2,919  
  Mount Gibson Iron Ltd. 4,291,243   2,882  
  Lovisa Holdings Ltd. 325,030   2,826  
  Southern Cross Media Group Ltd. 4,849,715   2,824  
  Rural Funds Group 2,080,972   2,805  
  GDI Property Group 2,695,569   2,791  
  Freedom Foods Group Ltd. 777,051   2,783  
  SeaLink Travel Group Ltd. 808,576   2,782  
2 Coronado Global Resources Inc. 1,771,750   2,750  
  Netwealth Group Ltd. 497,413   2,724  
  Inghams Group Ltd. 1,148,499   2,706  
  Sigma Healthcare Ltd. 6,438,203   2,619  
  SmartGroup Corp. Ltd. 530,315   2,584  
  Accent Group Ltd. 1,964,093   2,572  
  Estia Health Ltd. 1,469,719   2,514  
*,^ Orocobre Ltd. 1,342,096   2,502  
  Australian Pharmaceutical Industries Ltd. 2,564,238   2,412  
  FlexiGroup Ltd. 1,862,799   2,407  
* Pact Group Holdings Ltd. 1,260,266   2,404  
* Carnarvon Petroleum Ltd. 9,150,514   2,378  
*,^ Pilbara Minerals Ltd. 11,788,506   2,325  
^ BWX Ltd. 726,463   2,273  
* PointsBet Holdings Pty Ltd. 664,583   2,237  
* Australian Agricultural Co. Ltd. 2,748,344   2,122  
  Cedar Woods Properties Ltd. 381,106   2,101  
  HUB24 Ltd. 265,055   2,076  
  Hotel Property Investments 913,146   2,023  
* Senex Energy Ltd. 8,188,589   1,991  
  Infigen Energy 4,312,744   1,967  
  New Hope Corp. Ltd. 1,347,058   1,950  
* AMA Group Ltd. 3,071,818   1,928  
* Starpharma Holdings Ltd. 2,223,603   1,882  
* Eclipx Group Ltd. 1,829,384   1,859  
* Karoon Energy Ltd. 2,268,019   1,844  
* Asaleo Care Ltd. 2,431,869   1,807  
*,^ Bubs Australia Ltd. 2,614,666   1,803  
  Village Roadshow Ltd. 665,456   1,776  
  HT&E Ltd. 1,481,534   1,762  
*,^ Myer Holdings Ltd. 5,193,599   1,749  
  Jupiter Mines Ltd. 8,203,696   1,616  
*,^ Galaxy Resources Ltd. 2,357,079   1,536  
  Aurelia Metals Ltd. 4,677,465   1,429  
*,^ Dacian Gold Ltd. 1,264,247   1,401  
  Regis Healthcare Ltd. 808,472   1,398  
  Navigator Global Investments Ltd. 698,118   1,387  
  SG Fleet Group Ltd. 734,299   1,335  
* Seven West Media Ltd. 5,682,193   1,318  
  OFX Group Ltd. 1,280,287   1,256  
  MACA Ltd. 1,565,776   1,153  
  Virtus Health Ltd. 350,343   1,153  
* Superloop Ltd. 1,618,245   1,100  
  Japara Healthcare Ltd. 1,447,017   1,001  
^ SpeedCast International Ltd. 1,363,916   901  
*,^ Syrah Resources Ltd. 2,492,233   823  
  WPP AUNZ Ltd. 2,028,371   778  
* Charter Hall Long Wale REIT 172,876   667  
  Vita Group Ltd. 726,449   607  
* Intega Group Ltd. 1,626,106   545  
* Cardno Ltd. 1,626,106   541  
*,^ New Century Resources Ltd. 2,648,261   511  
* Ainsworth Game Technology Ltd. 812,390   447  
*,^ Liquefied Natural Gas Ltd. 3,307,629   441  
* Clean TeQ Holdings Ltd. 2,916,231   420  
  Decmil Group Ltd. 1,144,603   394  
           

4

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019 

 

    Shares   Market
Value
($000
)
*,§ BGP Holdings plc 7,179,555    
        7,681,714  
Austria (0.3%)  
  Erste Group Bank AG 1,802,936   67,722  
  OMV AG 896,732   50,239  
  Wienerberger AG 725,080   21,497  
  Verbund AG 418,947   21,031  
  Raiffeisen Bank International AG 817,343   20,458  
  voestalpine AG 727,358   20,174  
  ANDRITZ AG 445,431   19,149  
2 BAWAG Group AG 405,823   18,342  
  CA Immobilien Anlagen AG 433,884   18,175  
  IMMOFINANZ AG 519,778   13,925  
  Oesterreichische Post AG 206,233   7,839  
  Lenzing AG 83,187   7,702  
  S IMMO AG 290,323   7,227  
  Telekom Austria AG Class A 853,349   6,978  
  UNIQA Insurance Group AG 679,839   6,920  
  Vienna Insurance Group AG Wiener Versicherung Gruppe 241,304   6,836  
  DO & CO AG 42,608   4,081  
  Schoeller-Bleckmann Oilfield Equipment AG 68,675   3,854  
  EVN AG 180,437   3,505  
  Strabag SE 99,303   3,466  
  Flughafen Wien AG 59,277   2,519  
  Palfinger AG 62,984   2,065  
* Zumtobel Group AG 168,492   1,717  
  Agrana Beteiligungs AG 64,466   1,347  
^ Porr AG 63,237   1,089  
  Kapsch TrafficCom AG 31,814   1,028  
*,§ Strabag SE Rights Exp. 06/28/2021 87,956   128  
    339,013  
Belgium (1.0%)  
  Anheuser-Busch InBev SA 4,860,092   398,045  
  KBC Group NV 1,731,509   130,547  
  Ageas 1,165,693   68,931  
  Umicore SA 1,294,892   63,105  
  UCB SA 759,965   60,474  
  Solvay SA Class A 436,839   50,845  
  Groupe Bruxelles Lambert SA 462,775   48,833  
* Argenx SE 268,710   43,220  
  Proximus SADP 883,217   25,308  
  Cofinimmo SA 161,016   23,662  
  Ackermans & van Haaren NV 139,713   21,907  
  Sofina SA 95,864   20,737  
  Warehouses De Pauw CVA 112,288   20,448  
  Elia System Operator SA 222,796   19,770  
  Aedifica SA 155,326   19,745  
  Colruyt SA 317,722   16,570  
  Barco NV 61,090   15,025  
  Telenet Group Holding NV 289,183   13,000  
  Euronav NV 1,018,993   12,567  
  KBC Ancora 226,127   11,376  
  Ontex Group NV 505,744   10,645  
  D'ieteren SA 141,703   9,954  
^ Melexis NV 114,476   8,635  
  Fagron 380,783   8,272  
  Befimmo SA 133,473   8,102  
^ bpost SA 634,624   7,337  
  Montea CVA 78,529   7,138  
  Gimv NV 115,353   7,097  
  Bekaert SA 221,270   6,578  
  Retail Estates NV 62,056   5,836  
* Tessenderlo Chemie NV (Voting Shares) 164,624   5,817  
  Titan Cement International SA 267,954   5,736  

 

5

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares  

Market

Value

($000

)
* AGFA-Gevaert NV 1,046,195   5,419  
  Kinepolis Group NV 81,379   5,408  
  Cie d'Entreprises CFE 44,425   4,849  
  Orange Belgium SA 179,469   4,168  
*,^ Mithra Pharmaceuticals SA 85,025   2,510  
  Econocom Group SA 860,781   2,348  
  EVS Broadcast Equipment SA 82,983   2,031  
*,^ Ion Beam Applications 120,426   1,766  
  Wereldhave Belgium Comm VA 14,893   1,440  
  Van de Velde NV 35,294   1,182  
    1,206,383  
Canada (8.7%)  
  Royal Bank of Canada 9,070,217   717,697  
  Toronto-Dominion Bank 11,427,718   640,931  
  Enbridge Inc. (XTSE) 12,424,780   494,006  
  Bank of Nova Scotia 7,653,801   432,333  
  Canadian National Railway Co. 4,556,952   412,233  
  Brookfield Asset Management Inc. Class A 5,656,357   326,823  
  Suncor Energy Inc. 9,689,564   317,576  
  TC Energy Corp. 5,856,339   311,905  
  Bank of Montreal 4,007,731   310,607  
  Manulife Financial Corp. 12,366,433   251,033  
* Shopify Inc. Class A 618,369   245,862  
  Canadian Natural Resources Ltd. (XNYS) 7,280,880   235,491  
  Canadian Imperial Bank of Commerce 2,790,413   232,207  
  Canadian Pacific Railway Ltd. 861,768   219,684  
  Nutrien Ltd. 3,594,778   172,105  
  Sun Life Financial Inc. 3,727,021   169,941  
  Alimentation Couche-Tard Inc. Class B 5,347,759   169,713  
  Barrick Gold Corp. (XTSE) 7,496,920   139,252  
^ Pembina Pipeline Corp. 3,425,965   126,981  
* CGI Inc. 1,488,998   124,608  
  Constellation Software Inc. 124,952   121,354  
  Franco-Nevada Corp. 1,164,166   120,213  
  National Bank of Canada 2,103,916   116,784  
  Rogers Communications Inc. Class B 2,253,093   111,878  
  Restaurant Brands International Inc. (XTSE) 1,732,270   110,429  
^ Fortis Inc. (XTSE) 2,642,442   109,641  
  Magna International Inc. 1,829,485   100,311  
  Waste Connections Inc. (XTSE) 1,067,510   96,964  
  Intact Financial Corp. 870,070   94,086  
  Agnico Eagle Mines Ltd. 1,495,045   92,082  
^ Thomson Reuters Corp. 1,234,525   88,310  
  BCE Inc. 1,880,665   87,129  
  Wheaton Precious Metals Corp. 2,798,280   83,266  
  Fairfax Financial Holdings Ltd. 167,989   78,880  
  Open Text Corp. 1,620,744   71,417  
  Dollarama Inc. 1,959,263   67,338  
  Barrick Gold Corp. (XNYS) 3,561,990   65,824  
  Cenovus Energy Inc. 6,394,721   65,004  
* Bausch Health Cos. Inc. 2,166,959   64,864  
  Emera Inc. 1,495,410   64,248  
  Metro Inc. 1,505,535   62,132  
  Loblaw Cos. Ltd. 1,147,969   59,231  
  Shaw Communications Inc. Class B 2,814,401   57,109  
  Power Corp. of Canada 2,194,969   56,541  
  Teck Resources Ltd. Class B 3,083,561   53,476  
  Waste Connections Inc. (XNYS) 577,439   52,426  
^ Kirkland Lake Gold Ltd. 1,166,148   51,404  
  TELUS Corp. 1,246,458   48,263  
^ Algonquin Power & Utilities Corp. 3,223,784   45,605  
  WSP Global Inc. 658,482   44,964  
^ Inter Pipeline Ltd. 2,582,002   44,818  
  Saputo Inc. 1,442,430   44,654  
           

 

6

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  CAE Inc. 1,668,149   44,165  
  First Quantum Minerals Ltd. 4,266,236   43,269  
  Great-West Lifeco Inc. 1,631,854   41,797  
  Canadian Apartment Properties REIT 1,002,371   40,919  
  RioCan REIT 1,984,234   40,890  
  CCL Industries Inc. Class B 923,073   39,324  
^ Canadian Tire Corp. Ltd. Class A 362,684   39,032  
  Power Financial Corp. 1,433,276   38,565  
^ Encana Corp. 8,148,075   38,150  
  Imperial Oil Ltd. 1,438,728   38,058  
2 Hydro One Ltd. 1,967,667   38,003  
  Gildan Activewear Inc. 1,261,753   37,302  
* Kinross Gold Corp. 7,782,590   36,919  
  iA Financial Corp. Inc. 663,807   36,463  
  George Weston Ltd. 449,015   35,622  
  Keyera Corp. 1,328,898   34,815  
  Parkland Fuel Corp. 915,287   33,629  
  Onex Corp. 514,866   32,580  
  Pan American Silver Corp. 1,291,686   30,597  
* Air Canada Class B 817,423   30,537  
  TMX Group Ltd. 349,817   30,293  
  Allied Properties REIT 727,836   29,185  
  H&R REIT 1,795,483   29,175  
  Ritchie Bros Auctioneers Inc. 677,862   29,087  
  Toromont Industries Ltd. 490,974   26,690  
^ AltaGas Ltd. 1,703,544   25,949  
* Stars Group Inc. (XTSE) 987,409   25,770  
  SNC-Lavalin Group Inc. 1,100,885   25,391  
  B2Gold Corp. 6,277,902   25,188  
  Empire Co. Ltd. 1,069,405   25,085  
  Lundin Mining Corp. 4,003,068   23,922  
*,^ Canopy Growth Corp. 1,126,280   23,687  
  Yamana Gold Inc. 5,919,526   23,431  
  Element Fleet Management Corp. 2,691,683   22,988  
  CI Financial Corp. 1,355,749   22,666  
* Descartes Systems Group Inc. 526,687   22,511  
  Canadian Utilities Ltd. Class A 745,743   22,495  
  Cameco Corp. 2,492,785   22,153  
* Detour Gold Corp. 1,107,414   21,440  
  Finning International Inc. 1,033,387   20,134  
* BlackBerry Ltd. 3,121,418   20,072  
* Bombardier Inc. Class B 13,266,581   19,718  
^ Stantec Inc. 692,518   19,572  
  Boyd Group Income Fund 124,578   19,379  
  SmartCentres REIT 792,406   19,045  
^ Gibson Energy Inc. 908,366   18,600  
  Tourmaline Oil Corp. 1,582,638   18,550  
  Quebecor Inc. Class B 721,490   18,413  
  Methanex Corp. 475,505   18,364  
  Atco Ltd. 469,329   17,988  
  FirstService Corp. 192,973   17,965  
^ Capital Power Corp. 662,297   17,540  
  Granite REIT 341,037   17,328  
  Choice Properties REIT 1,601,819   17,159  
^ PrairieSky Royalty Ltd. 1,458,457   17,105  
  Colliers International Group Inc. 218,245   16,992  
  TFI International Inc. 497,958   16,785  
*,^ Cronos Group Inc. 2,147,095   16,485  
  West Fraser Timber Co. Ltd. 373,281   16,466  
* Parex Resources Inc. 867,102   16,126  
  Husky Energy Inc. 1,921,299   15,417  
^ Northland Power Inc. 728,665   15,263  
  Crescent Point Energy Corp. 3,416,157   15,232  
  IGM Financial Inc. 520,693   14,949  

 

7

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
* SSR Mining Inc. 774,070   14,897  
  Alamos Gold Inc. Class A 2,444,478   14,740  
  Chartwell Retirement Residences 1,351,953   14,472  
^ Vermilion Energy Inc. 880,295   14,392  
^ Premium Brands Holdings Corp. 202,566   14,189  
^ ARC Resources Ltd. 2,232,050   14,060  
  Canadian Western Bank 547,143   13,437  
* Ivanhoe Mines Ltd. 4,091,790   13,392  
*,^ Canada Goose Holdings Inc. 368,931   13,356  
  First Capital REIT 833,255   13,264  
* NovaGold Resources Inc. 1,482,036   13,262  
  TransAlta Corp. 1,793,012   12,814  
* Pretium Resources Inc. 1,140,434   12,691  
^ Cominar REIT 1,147,933   12,518  
*,^ First Majestic Silver Corp. 1,008,566   12,373  
* Kinaxis Inc. 159,819   12,310  
* Great Canadian Gaming Corp. 356,532   11,817  
^ Cott Corp. 853,392   11,659  
  Linamar Corp. 291,108   11,014  
^ Whitecap Resources Inc. 2,568,352   10,977  
* IAMGOLD Corp. 2,904,769   10,849  
*,^ Aurora Cannabis Inc. 5,048,352   10,847  
* Centerra Gold Inc. 1,355,457   10,783  
* Seven Generations Energy Ltd. Class A 1,649,067   10,756  
  BRP Inc. 231,871   10,564  
^ Cineplex Inc. 393,607   10,260  
^ Enerplus Corp. 1,436,627   10,234  
  Innergex Renewable Energy Inc. 782,414   10,159  
^ Genworth MI Canada Inc. 231,618   10,135  
  Stella-Jones Inc. 349,156   10,088  
  Maple Leaf Foods Inc. 492,993   9,825  
* Alacer Gold Corp. 1,841,540   9,785  
* Home Capital Group Inc. Class B 364,139   9,243  
^ Laurentian Bank of Canada 266,473   9,117  
  Enghouse Systems Ltd. 242,644   9,003  
* MEG Energy Corp. 1,566,310   8,914  
* Endeavour Mining Corp. 466,597   8,814  
^ Osisko Gold Royalties Ltd. 894,915   8,697  
^ Superior Plus Corp. 897,136   8,677  
^ Boardwalk REIT 239,694   8,478  
* Torex Gold Resources Inc. 533,646   8,433  
  Norbord Inc. 306,655   8,202  
*,^ Eldorado Gold Corp. 997,938   8,015  
* ATS Automation Tooling Systems Inc. 461,388   7,614  
  OceanaGold Corp. 3,875,860   7,611  
^ NFI Group Inc. 351,363   7,211  
^ Dream Office REIT 300,721   7,209  
  Artis REIT 772,409   7,078  
  Winpak Ltd. 193,411   6,997  
^ TransAlta Renewables Inc. 584,715   6,988  
^ Northview Apartment REIT 304,110   6,941  
^ Russel Metals Inc. 384,775   6,569  
*,^ Aphria Inc. 1,251,390   6,534  
  North West Co. Inc. 306,268   6,446  
  Cogeco Communications Inc. 71,560   6,238  
  Hudbay Minerals Inc. 1,487,380   6,162  
  Martinrea International Inc. 520,908   5,740  
* Celestica Inc. 676,732   5,613  
  Transcontinental Inc. Class A 456,218   5,576  
  Enerflex Ltd. 571,819   5,386  
  ECN Capital Corp. 1,408,984   5,197  
  Corus Entertainment Inc. Class B 1,252,326   5,131  
  Aecon Group Inc. 375,376   5,065  
* Baytex Energy Corp. 3,413,069   4,915  
           

 

8

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Hudson's Bay Co. 632,302   4,811  
  Pason Systems Inc. 457,952   4,623  
* Turquoise Hill Resources Ltd. 6,298,351   4,608  
  Mullen Group Ltd. 614,455   4,386  
  ShawCor Ltd. 452,835   4,370  
* SEMAFO Inc. 2,069,769   4,304  
^ Westshore Terminals Investment Corp. 283,308   4,134  
* Canfor Corp. 396,263   3,705  
^ Secure Energy Services Inc. 937,590   3,653  
* Kelt Exploration Ltd. 972,205   3,646  
  Cascades Inc. 403,690   3,485  
^ Birchcliff Energy Ltd. 1,615,045   3,221  
^ TORC Oil & Gas Ltd. 901,358   3,117  
  Fortis Inc. (XNYS) 73,120   3,036  
*,^ Lightspeed POS Inc. 108,374   3,010  
*,^ Gran Tierra Energy Inc. 2,266,301   2,950  
  First National Financial Corp. 99,243   2,910  
* Precision Drilling Corp. 1,814,603   2,529  
*,^ Paramount Resources Ltd. Class A 420,246   2,440  
  Restaurant Brands International Inc. (XNYS) 23,475   1,497  
  Morguard REIT 147,286   1,337  
* Stars Group Inc. (XNGS) 45,995   1,200  
^ Just Energy Group Inc. 603,573   1,013  
*,§ Tahoe Resources Inc. CVR Exp. 02/26/2028 1,805,222   708  
  Enbridge Inc. (XNYS) 7,620   303  
    10,838,751  
Denmark (1.5%)  
  Novo Nordisk A/S Class B 10,432,766   604,567  
  DSV A/S 1,260,987   145,362  
  Vestas Wind Systems A/S 1,246,835   125,938  
2 Orsted A/S 1,128,790   116,776  
  Coloplast A/S Class B 837,205   103,865  
  Carlsberg A/S Class B 652,397   97,361  
* Genmab A/S 370,758   82,458  
  Danske Bank A/S 4,206,225   68,050  
  Novozymes A/S 1,319,404   64,581  
  AP Moller - Maersk A/S Class B 37,826   54,576  
  Chr Hansen Holding A/S 647,551   51,477  
  AP Moller - Maersk A/S Class A 30,824   41,765  
  GN Store Nord A/S 816,486   38,408  
  Royal Unibrew A/S 311,924   28,572  
  SimCorp A/S 249,700   28,410  
  ISS A/S 1,171,397   28,096  
  Pandora A/S 563,042   24,486  
  Tryg A/S 762,910   22,626  
*,^ Demant A/S 678,628   21,373  
^ Ambu A/S Class B 1,044,662   17,515  
  H Lundbeck A/S 376,108   14,379  
  Ringkjoebing Landbobank A/S 186,341   14,371  
  Jyske Bank A/S 378,475   13,811  
  Topdanmark A/S 266,204   13,122  
  FLSmidth & Co. A/S 312,804   12,474  
* ALK-Abello A/S 40,933   10,045  
*,2 Netcompany Group A/S 204,717   9,757  
  Rockwool International A/S Class B 39,836   9,446  
  Dfds A/S 184,819   9,022  
* Drilling Co. of 1972 A/S 135,541   8,950  
  Sydbank A/S 376,898   7,906  
  Schouw & Co. A/S 78,501   6,599  
*,^ Bavarian Nordic A/S 207,259   5,338  
  Spar Nord Bank A/S 511,184   4,962  
2 Scandinavian Tobacco Group A/S 390,770   4,765  
*,^ NKT A/S 167,533   4,048  

 

9

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
* Nilfisk Holding A/S 174,656   3,821  
  Alm Brand A/S 394,947   3,508  
  D/S Norden A/S 168,219   2,694  
  Matas A/S 212,242   1,757  
  Solar A/S Class B 33,118   1,487  
*,^ Bang & Olufsen A/S 195,271   1,027  
    1,929,551  
Finland (1.0%)  
  Kone Oyj Class B 2,466,427   161,275  
  Nordea Bank Abp (XSTO) 19,008,564   153,783  
  Sampo Oyj Class A 3,095,257   135,149  
  Nokia Oyj 35,358,727   130,788  
  UPM-Kymmene Oyj 3,362,142   116,648  
  Neste Oyj 2,627,378   91,436  
  Fortum Oyj 2,722,166   67,193  
  Stora Enso Oyj 3,617,144   52,633  
  Elisa Oyj 902,119   49,846  
  Wartsila Oyj Abp 3,082,004   34,067  
  Kesko Oyj Class B 423,152   29,952  
  Orion Oyj Class B 642,377   29,750  
  Huhtamaki Oyj 581,529   27,001  
  Metso Oyj 674,491   26,646  
  Nokian Renkaat Oyj 856,454   24,633  
  Valmet Oyj 832,793   19,970  
  Tieto Oyj 592,881   18,441  
  Konecranes Oyj Class A 456,645   14,042  
  Cargotec Oyj Class B 304,798   10,346  
  Nordea Bank Abp (XHEL) 1,224,724   9,953  
  Kemira Oyj 550,105   8,186  
  Metsa Board Oyj 1,068,011   7,185  
^ YIT Oyj 1,010,787   6,760  
^ Outokumpu Oyj 1,893,972   5,969  
* Outotec Oyj 917,038   5,930  
  Caverion Oyj 621,141   5,009  
^ Citycon Oyj 467,317   4,910  
  Sanoma Oyj 461,102   4,887  
  Uponor Oyj 337,082   4,407  
  Ahlstrom-Munksjo Oyj 239,563   3,848  
  Cramo Oyj 257,767   3,829  
  Raisio Oyj 705,858   2,692  
* F-Secure Oyj 650,171   2,222  
  Finnair Oyj 327,294   2,161  
  Oriola Oyj 814,256   1,851  
    1,273,398  
France (8.6%)  
  TOTAL SA 15,226,532   844,932  
  LVMH Moet Hennessy Louis Vuitton SE 1,571,319   732,166  
  Sanofi 6,840,021   686,929  
  Airbus SE 3,474,426   509,927  
  BNP Paribas SA 6,825,826   405,716  
  AXA SA 12,113,635   342,287  
  Schneider Electric SE 3,307,407   339,804  
  Vinci SA 2,932,465   326,601  
  Safran SA 2,080,468   321,349  
  Danone SA 3,773,620   313,385  
  Kering SA 468,062   308,415  
  EssilorLuxottica SA 1,852,190   283,167  
  Pernod Ricard SA 1,334,668   238,823  
  Air Liquide SA Loyalty Shares 1,259,463   178,556  
  Orange SA 12,081,522   177,553  
  Societe Generale SA 4,848,199   169,193  
  Vivendi SA 5,095,690   147,559  
  Hermes International 194,629   145,799  

 

10

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  L'Oreal SA Loyalty Shares 491,714   145,404  
  L'Oreal SA 471,136   139,319  
  Legrand SA 1,685,520   137,647  
  Dassault Systemes SE 831,503   137,137  
  Cie Generale des Etablissements Michelin SCA 1,112,820   136,943  
  Air Liquide SA 908,163   128,751  
  Cie de Saint-Gobain 3,071,071   125,810  
  Capgemini SE 979,531   119,802  
  STMicroelectronics NV 3,982,509   107,451  
* L’Oreal SA 358,283   105,947  
  Credit Agricole SA 7,231,902   105,234  
* Air Liquide SA Loyalty Shares 2021 652,591   92,519  
  Teleperformance 364,413   89,033  
  Veolia Environnement SA 3,163,615   84,179  
  Peugeot SA 3,430,671   82,601  
  Edenred 1,535,554   79,580  
  Engie 4,330,276   70,143  
  Thales SA 632,721   65,838  
  TechnipFMC plc 2,881,950   61,950  
  Publicis Groupe SA 1,355,286   61,451  
  Carrefour SA 3,613,434   60,773  
  Gecina SA 326,122   58,466  
  Accor SA 1,196,018   56,140  
  Bouygues SA 1,310,882   55,879  
  Alstom SA 1,163,020   55,266  
  Renault SA 1,156,390   54,914  
  Eiffage SA 468,346   53,732  
  Valeo SA 1,498,394   53,108  
  Engie SA 3,237,841   52,448  
  Atos SE 597,388   49,920  
  Getlink SE 2,856,536   49,804  
  Arkema SA 451,910   48,322  
*,2 Worldline SA 667,479   47,318  
  Klepierre SA 1,202,954   45,765  
  Bureau Veritas SA 1,739,491   45,474  
  Ingenico Group SA 388,366   42,246  
* L'Oreal SA Loyalty Shares 2020 141,562   41,861  
  SCOR SE 990,470   41,695  
* Ubisoft Entertainment SA 575,790   39,893  
^ Eurofins Scientific SE 70,816   39,341  
  Engie Loyalty Shares 2021 2,400,527   38,885  
  Orpea 281,880   36,164  
  Aeroports de Paris 178,597   35,361  
  Rubis SCA 573,082   35,265  
  Suez 2,312,500   35,042  
  Covivio 291,369   33,091  
2 Euronext NV 385,932   31,546  
  SES SA Class A 2,217,439   31,168  
2 Amundi SA 358,258   28,172  
  Bollore SA 6,231,014   27,229  
  Rexel SA 1,908,302   25,382  
  Sartorius Stedim Biotech 151,697   25,180  
  Faurecia SE 462,844   25,127  
  Natixis SA 5,312,898   23,667  
  Altran Technologies SA 1,461,064   23,279  
  BioMerieux 260,902   23,261  
  Wendel SA 171,966   22,907  
  Alten SA 178,247   22,538  
  ICADE 202,641   22,065  
  Elis SA (XPAR) 1,025,587   21,331  
  Sodexo SA 174,318   20,676  
  Sodexo SA ACT Loyalty Shares 169,171   20,066  
  CNP Assurances 1,001,681   19,959  
^ Iliad SA 150,365   19,558  

 

11

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Dassault Aviation SA 14,731   19,331  
  Ipsen SA 217,732   19,327  
  Eutelsat Communications SA 1,170,563   19,073  
^ Remy Cointreau SA 154,105   18,940  
  Eurazeo SE 268,619   18,438  
* L’Oreal Loyalty Shares 55,941   16,542  
^ Casino Guichard Perrachon SA 348,444   16,323  
  Electricite de France SA 1,459,528   16,286  
  Lagardere SCA 724,395   15,813  
  SPIE SA 768,811   15,713  
  Korian SA 316,584   14,924  
* Sodexo Loyalty Shares 125,433   14,878  
* CGG SA 4,477,116   14,656  
  Air Liquide SA Loyalty Shares 2022 103,235   14,636  
  Sopra Steria Group 90,248   14,576  
  JCDecaux SA 457,526   14,137  
* SOITEC 129,302   13,651  
* Air France-KLM 1,219,023   13,599  
  Nexity SA 270,259   13,584  
  Gaztransport Et Technigaz SA 137,266   13,221  
  Electricite de France SA Loyalty Shares 1,079,445   12,045  
  Societe BIC SA 159,690   11,113  
2 Elior Group SA 664,444   9,788  
  Cie Plastic Omnium SA 348,451   9,785  
  Imerys SA 229,358   9,736  
  Nexans SA 183,722   8,990  
  SEB SA Loyalty Shares 54,573   8,117  
2 ALD SA 507,785   7,918  
  SEB SA (XPAR) 53,325   7,915  
  IPSOS 238,857   7,774  
  Engie Loyalty Shares 2022 476,725   7,722  
  Metropole Television SA 404,033   7,619  
* Virbac SA 27,117   7,209  
  Coface SA 554,658   6,839  
  Electricite de France SA Loyalty Shares 2021 586,841   6,548  
  Altarea SCA 28,619   6,511  
* Fnac Darty SA 108,661   6,457  
*,^ Vallourec SA 1,927,433   6,132  
* SEB SA Loyalty Shares 2021 41,119   6,116  
  Television Francaise 1 665,578   5,548  
  Sodexo SA Loyalty Shares 2022 45,442   5,390  
  Trigano SA 50,615   5,357  
  Mercialys SA 386,124   5,346  
^ Akka Technologies 70,183   5,177  
* DBV Technologies SA 235,223   5,119  
  Rothschild & Co. 176,461   5,091  
  Quadient SAS 208,063   5,042  
*,^ Genfit 232,704   4,654  
*,2 Neoen SA 133,872   4,637  
  Carmila SA 193,022   4,330  
  Vicat SA 93,428   4,228  
2 Maisons du Monde SA 276,000   4,019  
  FFP 33,103   3,865  
  Mersen SA 91,001   3,492  
  LISI 101,732   3,429  
  Tarkett SA 208,740   3,386  
  Sodexo SA Loyalty Shares 2023 28,542   3,385  
  Interparfums SA 80,028   3,326  
^,2 Europcar Mobility Group 632,241   3,084  
  Beneteau SA 235,248   2,862  
^ Eramet 55,071   2,849  
  Derichebourg SA 603,117   2,482  
* SEB SA Loyalty Shares 2020 15,997   2,379  
  GL Events 81,920   2,216  

 

12

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
* Bonduelle SCA 84,233   2,202  
* Albioma Loyalty Shares 2020 66,334   1,937  
  Vilmorin & Cie SA 35,698   1,931  
  Manitou BF SA 75,283   1,813  
*,^ Technicolor SA 2,242,226   1,726  
*,^,2 SMCP SA 147,150   1,565  
  Pharmagest Inter@ctive 22,710   1,546  
  Guerbet 33,254   1,540  
*,^,2 X-Fab Silicon Foundries SE 319,844   1,498  
  Albioma SA 50,122   1,464  
  Jacquet Metal Service SA 84,366   1,464  
  Groupe Crit 17,529   1,449  
  Synergie SA 41,129   1,350  
* Albioma SA Loyalty Shares 2021 39,928   1,166  
  AKWEL 50,714   1,147  
  Etablissements Maurel et Prom SA 344,214   1,092  
* SEB SA 6,108   908  
  Sodexo SA Loyalty Shares 6,158   730  
  Boiron SA 15,337   627  
* Electricite de France 54,608   610  
  Union Financiere de France BQE SA 18,589   413  
* Esso SA Francaise 12,846   329  
* Albioma Loyalty Shares 10,688   312  
*,§ Bourbon Corp. 38,330   158  
    10,789,836  
Germany (7.2%)  
  SAP SE 6,113,220   822,832  
  Allianz SE 2,618,256   641,548  
  Siemens AG 4,778,712   624,062  
  Bayer AG 5,892,181   479,017  
  BASF SE 5,778,811   435,358  
  adidas AG 1,218,381   396,607  
  Deutsche Telekom AG 20,368,204   332,862  
  Daimler AG 5,088,093   281,293  
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 908,802   268,182  
  Deutsche Post AG 6,149,160   233,818  
  Volkswagen AG Preference Shares 1,156,659   227,676  
  Vonovia SE 3,422,815   183,838  
  Deutsche Boerse AG 1,157,475   181,508  
  Infineon Technologies AG 7,853,236   177,440  
  Bayerische Motoren Werke AG 2,026,022   165,944  
  E.ON SE 13,678,366   146,180  
  Fresenius SE & Co. KGaA 2,564,598   144,320  
  Henkel AG & Co. KGaA Preference Shares 1,093,402   112,950  
  RWE AG 3,616,595   110,820  
  Deutsche Bank AG 12,898,542   99,945  
  Fresenius Medical Care AG & Co. KGaA 1,319,494   97,152  
  Merck KGaA 816,814   96,298  
  MTU Aero Engines AG 326,141   92,926  
  Deutsche Wohnen SE 2,255,388   91,742  
  Continental AG 681,994   88,135  
^ Wirecard AG 721,316   86,392  
  Symrise AG Class A 796,694   83,740  
  Beiersdorf AG 629,135   75,128  
  Hannover Rueck SE 378,451   72,971  
  Porsche Automobil Holding SE Preference Shares 967,209   71,766  
  HeidelbergCement AG 937,075   68,093  
  Henkel AG & Co. KGaA 648,689   60,972  
*,2 Delivery Hero SE 694,494   55,045  
  Brenntag AG 978,006   53,064  
  LEG Immobilien AG 433,510   51,196  
  Aroundtown SA 5,590,805   50,216  
2 Covestro AG 1,075,514   50,044  
*,2 Zalando SE 940,177   47,413  

 

13

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
* QIAGEN NV 1,387,578   47,280  
  Sartorius AG Preference Shares 215,657   46,099  
2 Scout24 AG 678,568   44,903  
  Uniper SE 1,233,670   40,775  
  Commerzbank AG 6,571,543   40,586  
  Puma SE 515,964   39,565  
2 Siemens Healthineers AG 821,356   39,374  
^ thyssenkrupp AG 2,929,640   39,366  
  Volkswagen AG 199,806   38,700  
  LANXESS AG 528,582   35,491  
  GEA Group AG 1,046,597   34,642  
  Evonik Industries AG 1,045,373   31,928  
  Rheinmetall AG 270,958   31,069  
  Knorr-Bremse AG 303,976   30,901  
  KION Group AG 446,094   30,677  
  Carl Zeiss Meditec AG 230,861   29,349  
* MorphoSys AG 198,361   28,060  
  Deutsche Lufthansa AG 1,501,446   27,583  
  United Internet AG 733,399   24,018  
  Bechtle AG 171,566   23,956  
  CTS Eventim AG & Co. KGaA 370,300   23,234  
  OSRAM Licht AG 465,796   23,162  
* Dialog Semiconductor plc 445,740   22,638  
  Nemetschek SE 339,316   22,354  
  Bayerische Motoren Werke AG Preference Shares 358,090   22,045  
  Fuchs Petrolub SE Preference Shares 440,222   21,872  
*,^ Evotec SE 836,069   21,555  
  TAG Immobilien AG 792,194   19,675  
  Fraport AG Frankfurt Airport Services Worldwide 225,435   19,136  
  alstria office REIT AG 1,005,798   18,892  
  ProSiebenSat.1 Media SE 1,209,518   18,824  
  HUGO BOSS AG 387,488   18,756  
  TLG Immobilien AG 580,707   18,475  
  Freenet AG 802,697   18,381  
* HelloFresh SE 873,151   18,199  
  METRO AG 1,066,535   17,162  
^ GRENKE AG 165,070   17,033  
  Grand City Properties SA 698,730   16,770  
  Rational AG 20,903   16,746  
  HOCHTIEF AG 125,625   15,994  
  Hella GmbH & Co. KGaA 281,515   15,557  
  Gerresheimer AG 197,249   15,256  
^ K&S AG 1,212,854   15,104  
2 Hapag-Lloyd AG 170,951   14,628  
  Aurubis AG 228,633   13,977  
  Siltronic AG 130,944   13,156  
  Aareal Bank AG 379,137   12,845  
2 Deutsche Pfandbriefbank AG 785,680   12,796  
  Stroeer SE & Co. KGaA 155,198   12,504  
  Fielmann AG 154,139   12,441  
  CANCOM SE 207,430   12,189  
  Telefonica Deutschland Holding AG 4,201,621   12,189  
* Varta AG 88,571   12,007  
  Talanx AG 242,488   12,001  
  RTL Group SA 241,473   11,898  
  Software AG 308,280   10,734  
  Duerr AG 308,150   10,508  
  Stabilus SA 154,287   10,465  
  CompuGroup Medical SE 142,553   10,167  
*,2 Rocket Internet SE 401,760   9,931  
  Deutsche EuroShop AG 324,628   9,614  
  FUCHS PETROLUB SE 209,809   9,384  
2 Befesa SA 213,664   9,083  
  Jenoptik AG 318,389   9,060  

 

14

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Suedzucker AG 492,264   9,017  
* Hypoport AG 24,850   8,767  
  Norma Group SE 200,664   8,516  
* Traton SE 312,024   8,349  
  Sixt SE Preference Shares 109,772   7,986  
  Sixt SE 79,088   7,931  
  TUI AG (XETR) 619,858   7,897  
2 DWS Group GmbH & Co. KGaA 214,214   7,606  
^ S&T AG 314,608   7,467  
^ 1&1 Drillisch AG 291,758   7,451  
  Pfeiffer Vacuum Technology AG 40,681   7,251  
  Jungheinrich AG Preference Shares 300,107   7,208  
  Wacker Chemie AG 93,550   7,068  
* CECONOMY AG 1,125,935   6,807  
  Bilfinger SE 176,168   6,805  
  Krones AG 90,246   6,800  
^ RIB Software SE 263,606   6,647  
^,2 ADO Properties SA 182,512   6,573  
* AIXTRON SE 656,456   6,268  
*,^ Encavis AG 583,204   6,121  
  PATRIZIA AG 270,938   6,039  
  New Work SE 17,874   5,850  
* Nordex SE 428,762   5,742  
  Salzgitter AG 246,350   5,438  
  Schaeffler AG Preference Shares 472,764   5,104  
  Indus Holding AG 115,348   5,010  
  DIC Asset AG 279,119   4,974  
  Deutz AG 751,352   4,676  
  Isra Vision AG 100,221   4,360  
  KWS Saat SE & Co. KGaA 64,051   4,144  
  Hamburger Hafen und Logistik AG 148,344   4,068  
  Washtec AG 64,372   3,872  
  Hornbach Holding AG & Co. KGaA 53,184   3,846  
*,^ zooplus AG 38,477   3,675  
  Dermapharm Holding SE 71,965   3,204  
  Deutsche Beteiligungs AG 71,593   3,163  
  Kloeckner & Co. SE 445,002   3,133  
  Wacker Neuson SE 157,322   3,002  
  Takkt AG 204,076   2,875  
  Draegerwerk AG & Co. KGaA Preference Shares 45,810   2,853  
  BayWa AG 88,778   2,802  
^ Corestate Capital Holding SA 64,565   2,717  
^ Koenig & Bauer AG 84,954   2,654  
  Wuestenrot & Wuerttembergische AG 118,815   2,578  
  comdirect bank AG 175,675   2,562  
  RHOEN-KLINIKUM AG 123,636   2,418  
*,^ Leoni AG 199,397   2,298  
*,^ Heidelberger Druckmaschinen AG 1,746,471   2,245  
  Vossloh AG 53,124   2,202  
* SMA Solar Technology AG 56,422   2,178  
  Bertrandt AG 29,728   1,871  
*,^ ElringKlinger AG 170,712   1,561  
*,^ SGL Carbon SE 292,491   1,549  
  CropEnergies AG 122,275   1,506  
  Draegerwerk AG & Co. KGaA 2,193   97  
    9,006,013  
Hong Kong (3.1%)  
  AIA Group Ltd. 76,341,877   802,961  
  Hong Kong Exchanges & Clearing Ltd. 7,945,478   258,131  
  CK Hutchison Holdings Ltd. 16,903,936   161,187  
  Link REIT 13,293,784   140,834  
  Sun Hung Kai Properties Ltd. 8,960,993   137,237  
  CK Asset Holdings Ltd. 16,963,559   122,413  
  Hong Kong & China Gas Co. Ltd. 62,262,421   121,653  

 

15

 

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares   Market
Value
($000
)
  CLP Holdings Ltd. 10,370,955   108,868  
  Galaxy Entertainment Group Ltd. 13,491,041   99,316  
  Hang Seng Bank Ltd. 4,568,625   94,433  
  Sands China Ltd. 15,139,936   80,894  
  BOC Hong Kong Holdings Ltd. 22,596,074   78,441  
  Jardine Matheson Holdings Ltd. 1,344,008   74,791  
  China Mengniu Dairy Co. Ltd. 16,828,845   68,074  
  Techtronic Industries Co. Ltd. 7,852,187   64,087  
  Power Assets Holdings Ltd. 8,645,834   63,250  
2 WH Group Ltd. 53,062,738   54,865  
  MTR Corp. Ltd. 9,006,464   53,224  
  New World Development Co. Ltd. 36,054,812   49,422  
  Wharf Real Estate Investment Co. Ltd. 7,684,260   46,886  
  Hongkong Land Holdings Ltd. 7,328,684   42,155  
  Henderson Land Development Co. Ltd. 8,174,045   40,110  
  AAC Technologies Holdings Inc. 4,307,213   37,602  
  Jardine Strategic Holdings Ltd. 1,143,699   35,075  
  Wheelock & Co. Ltd. 5,163,162   34,419  
  Want Want China Holdings Ltd. 34,406,109   32,138  
  Lenovo Group Ltd. 46,678,000   31,347  
  Swire Pacific Ltd. Class A 3,147,822   29,242  
* Semiconductor Manufacturing International Corp. 19,069,572   29,213  
  Sino Land Co. Ltd. 20,090,721   29,162  
  Hang Lung Properties Ltd. 12,856,388   28,229  
  CK Infrastructure Holdings Ltd. 3,924,904   27,932  
  ASM Pacific Technology Ltd. 1,922,019   26,678  
*,2 Budweiser Brewing Co. APAC Ltd. 7,432,775   25,097  
  Wynn Macau Ltd. 9,216,405   22,710  
  Swire Properties Ltd. 6,656,167   22,051  
  Tingyi Cayman Islands Holding Corp. 11,669,728   19,917  
2 Samsonite International SA 8,112,887   19,514  
  Wharf Holdings Ltd. 7,676,699   19,512  
  Vitasoy International Holdings Ltd. 5,100,482   18,503  
  Bank of East Asia Ltd. 7,946,450   17,741  
  Sun Art Retail Group Ltd. 13,838,465   16,792  
  Xinyi Glass Holdings Ltd. 12,624,622   16,727  
  NagaCorp Ltd. 9,430,432   16,470  
  PCCW Ltd. 26,313,015   15,569  
  Minth Group Ltd. 4,384,424   15,482  
  Xinyi Solar Holdings Ltd. 21,280,196   15,120  
  Hysan Development Co. Ltd. 3,840,455   15,059  
  Melco International Development Ltd. 4,895,639   13,754  
  Hang Lung Group Ltd. 5,513,455   13,639  
  SJM Holdings Ltd. 11,860,928   13,506  
2 BOC Aviation Ltd. 1,318,507   13,410  
  Yue Yuen Industrial Holdings Ltd. 4,477,373   13,214  
  PRADA SPA 3,191,655   13,194  
  NWS Holdings Ltd. 8,963,035   12,562  
  Kerry Properties Ltd. 3,751,684   11,916  
  Dairy Farm International Holdings Ltd. 1,883,931   10,757  
  VTech Holdings Ltd. 1,003,925   9,922  
  Fortune REIT 8,437,044   9,844  
  United Energy Group Ltd. 47,473,171   9,609  
  SITC International Holdings Co. Ltd. 7,399,863   9,031  
  Swire Pacific Ltd. Class B 6,031,318   9,030  
  HKBN Ltd. 4,905,252   8,225  
  Champion REIT 12,366,568   8,172  
  MGM China Holdings Ltd. 4,654,983   7,602  
  Uni-President China Holdings Ltd. 7,189,968   7,554  
  Shangri-La Asia Ltd. 6,996,920   7,309  
  L'Occitane International SA 2,836,414   6,719  
  Man Wah Holdings Ltd. 9,378,715   6,681  
  Chow Tai Fook Jewellery Group Ltd. 6,597,173   6,311  
  Luk Fook Holdings International Ltd. 2,142,780   6,184  

 

16

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares   Market
Value
($000
)
  Kerry Logistics Network Ltd. 3,481,362   5,979  
^ Cathay Pacific Airways Ltd. 3,883,272   5,741  
  Pacific Basin Shipping Ltd. 26,413,148   5,563  
  Shun Tak Holdings Ltd. 11,581,451   5,530  
  First Pacific Co. Ltd. 14,913,867   5,071  
  Johnson Electric Holdings Ltd. 2,174,975   4,947  
  Cafe de Coral Holdings Ltd. 2,084,109   4,937  
  Shui On Land Ltd. 21,597,514   4,746  
  Shougang Fushan Resources Group Ltd. 21,933,315   4,737  
  Haitong International Securities Group Ltd. 15,510,461   4,717  
  Nexteer Automotive Group Ltd. 5,185,943   4,700  
  Towngas China Co. Ltd. 6,672,958   4,622  
  Gemdale Properties & Investment Corp. Ltd. 33,423,776   4,421  
  K Wah International Holdings Ltd. 7,866,451   4,391  
  Stella International Holdings Ltd. 2,661,000   4,273  
* MMG Ltd. 14,165,883   4,256  
  Sunlight REIT 6,577,365   4,255  
  Pou Sheng International Holdings Ltd. 13,263,071   4,184  
  Li & Fung Ltd. 37,595,386   4,103  
  IGG Inc. 5,412,937   3,997  
  Asia Cement China Holdings Corp. 2,654,000   3,965  
*,^,2 Razer Inc. 22,420,723   3,661  
  Value Partners Group Ltd. 5,789,807   3,569  
*,^ FIH Mobile Ltd. 18,188,100   3,525  
^ Guotai Junan International Holdings Ltd. 19,483,667   3,451  
  Dah Sing Financial Holdings Ltd. 873,524   3,443  
  CITIC Telecom International Holdings Ltd. 9,240,595   3,368  
  Lifestyle International Holdings Ltd. 2,888,383   3,314  
^ Microport Scientific Corp. 2,747,904   3,258  
  Road King Infrastructure Ltd. 1,623,105   3,144  
  Prosperity REIT 7,963,063   3,118  
  Far East Consortium International Ltd. 6,347,763   3,102  
*,^ COFCO Meat Holdings Ltd. 10,544,876   2,991  
  Dah Sing Banking Group Ltd. 2,219,092   2,968  
  China Travel International Investment Hong Kong Ltd. 16,502,841   2,924  
  Television Broadcasts Ltd. 1,828,399   2,874  
*,^ Suncity Group Holdings Ltd. 13,220,000   2,697  
  SUNeVision Holdings Ltd. 3,654,000   2,471  
  Chinese Estates Holdings Ltd. 2,946,053   2,333  
*,^ Esprit Holdings Ltd. 11,385,990   2,295  
  China Harmony New Energy Auto Holding Ltd. 4,490,818   2,259  
2 Xiabuxiabu Catering Management China Holdings Co. Ltd. 1,714,009   2,244  
  Dynam Japan Holdings Co. Ltd. 1,677,081   2,191  
  Pacific Textiles Holdings Ltd. 3,165,430   2,174  
  VSTECS Holdings Ltd. 4,188,000   2,153  
  Beijing Tong Ren Tang Chinese Medicine Co. Ltd. 1,425,000   2,151  
  Giordano International Ltd. 6,959,213   2,098  
2 FIT Hon Teng Ltd. 6,211,814   2,090  
^ United Laboratories International Holdings Ltd. 2,867,654   2,090  
^ Canvest Environmental Protection Group Co. Ltd. 4,505,821   2,083  
  Huabao International Holdings Ltd. 5,311,030   1,950  
  SmarTone Telecommunications Holdings Ltd. 2,368,848   1,824  
^,§ Town Health International Medical Group Ltd. 20,414,000   1,801  
  Chow Sang Sang Holdings International Ltd. 1,433,542   1,784  
*,^ We Solutions Ltd. 24,925,041   1,728  
  Sun Hung Kai & Co. Ltd. 3,373,891   1,607  
2 IMAX China Holding Inc. 725,210   1,530  
^ Sa Sa International Holdings Ltd. 6,762,431   1,527  
  Hutchison Telecommunications Hong Kong Holdings Ltd. 7,408,533   1,494  
  Anton Oilfield Services Group 12,952,652   1,486  
^,2 Regina Miracle International Holdings Ltd. 2,304,993   1,467  
  Inspur International Ltd. 3,552,253   1,458  
^ NOVA Group Holdings Ltd. 7,035,000   1,402  
2 Crystal International Group Ltd. 3,398,288   1,401  

 

17

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares   Market
Value
($000
)
* Truly International Holdings Ltd. 9,135,276   1,350  
*,§ Convoy Global Holdings Ltd. 62,200,399   1,333  
*,^ Macau Legend Development Ltd. 9,228,847   1,291  
  Ju Teng International Holdings Ltd. 4,939,147   1,261  
* Goodbaby International Holdings Ltd. 5,136,542   1,141  
^ Agritrade Resources Ltd. 14,695,000   1,094  
*,^ Hong Kong Television Network Ltd. 2,463,385   1,082  
*,^ HC Group Inc. 3,476,594   1,036  
*,^ Digital Domain Holdings Ltd. 110,272,403   1,004  
* G-Resources Group Ltd. 130,204,837   969  
  Singamas Container Holdings Ltd. 8,626,229   952  
2 CGN New Energy Holdings Co. Ltd. 6,478,299   923  
  Texwinca Holdings Ltd. 3,719,015   921  
* Honghua Group Ltd. 12,907,067   878  
  Lee's Pharmaceutical Holdings Ltd. 1,502,214   852  
*,^ Lifestyle China Group Ltd. 2,624,750   808  
* NewOcean Energy Holdings Ltd. 5,288,518   800  
* China Silver Group Ltd. 7,292,857   777  
* GCL New Energy Holdings Ltd. 37,854,541   768  
* China LNG Group Ltd. 9,303,799   633  
  BOE Varitronix Ltd. 1,848,084   598  
  Emperor Capital Group Ltd. 22,734,249   551  
* New World Department Store China Ltd. 3,151,539   550  
* Beijing Enterprises Medical & Health Group Ltd. 28,203,608   543  
  Glory Sun Financial Group Ltd. 12,735,219   490  
  Henderson Investment Ltd. 6,014,837   479  
  EVA Precision Industrial Holdings Ltd. 6,277,277   471  
  Shenwan Hongyuan HK Ltd. 2,523,758   405  
* Parkson Retail Group Ltd. 4,548,123   373  
*,^ KuangChi Science Ltd. 10,027,510   367  
  Emperor Watch & Jewellery Ltd. 17,347,004   350  
*,§ Camsing International Holding Ltd. 2,274,000   338  
*,^ Global Brands Group Holding Ltd. 3,620,865   297  
*,§ Brightoil Petroleum Holdings Ltd. 10,098,301   259  
*,^ Future World Financial Holdings Ltd. 49,962,251   244  
  Chong Hing Bank Ltd. 123,430   210  
*,^ Beijing Sports and Entertainment Industry Group Ltd. 5,185,000   166  
* China Strategic Holdings Ltd. 33,054,224   149  
*,§ China Baoli Technologies Holdings Ltd. 10,554,643   134  
* Sunshine Oilsands Ltd. 14,348,287   97  
* Mei Ah Entertainment Group Ltd. 2,479,482   58  
  Nan Hai Corp. Ltd. 2,156,426   29  
* Panda Green Energy Group Ltd. 468,314   12  
    3,837,354  
Ireland (0.2%)  
  Kerry Group plc Class A 919,319   114,714  
  Kingspan Group plc 948,157   58,059  
  CRH plc (XDUB) 886,240   35,546  
  Bank of Ireland Group plc 5,809,074   31,971  
  AIB Group plc 4,978,650   17,393  
  Glanbia plc (XDUB) 1,242,160   14,327  
  C&C Group plc (XDUB) 1,900,382   10,233  
  Hibernia REIT plc 4,341,986   6,879  
  Dalata Hotel Group plc 1,163,124   6,723  
  Cairn Homes plc (XLON) 4,113,162   5,845  
  Irish Continental Group plc 1,024,684   5,549  
* Permanent TSB Group Holdings plc 690,650   889  
  Cairn Homes plc (XDUB) 434,526   616  
*,§ Irish Bank Resolution Corp. Ltd. 257,065    
    308,744  
Israel (0.5%)  
  Bank Leumi Le-Israel BM 9,229,877   67,313  
* Nice Ltd. 393,705   61,048  
* Teva Pharmaceutical Industries Ltd. 6,039,924   58,882  

 

18

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares   Market
Value
($000
)
  Bank Hapoalim BM 6,848,804   56,878  
  Israel Discount Bank Ltd. Class A 7,386,853   34,306  
  Elbit Systems Ltd. 154,070   24,006  
  Mizrahi Tefahot Bank Ltd. 820,689   21,891  
  Israel Chemicals Ltd. 4,355,474   20,569  
  Azrieli Group Ltd. 230,922   16,916  
* Tower Semiconductor Ltd. 670,371   16,101  
* Industrial Buildings Corp. Ltd. 4,180,445   11,423  
* Bezeq The Israeli Telecommunication Corp. Ltd. 12,787,692   10,299  
  Alony Hetz Properties & Investments Ltd. 649,894   10,285  
  First International Bank Of Israel Ltd. 323,479   9,369  
  Paz Oil Co. Ltd. 64,444   9,139  
* Airport City Ltd. 453,630   8,527  
  Strauss Group Ltd. 258,930   7,949  
  Reit 1 Ltd. 1,113,641   6,667  
* Nova Measuring Instruments Ltd. 172,319   6,570  
  Melisron Ltd. 102,501   6,553  
  Gazit-Globe Ltd. 556,244   6,165  
  Amot Investments Ltd. 835,605   6,071  
  Shikun & Binui Ltd. 1,249,224   5,751  
  Harel Insurance Investments & Financial Services Ltd. 695,302   5,437  
  Delek Group Ltd. 31,775   4,840  
* Fattal Holdings 1998 Ltd. 29,153   4,753  
* Israel Corp. Ltd. 22,743   4,736  
  Electra Ltd. 10,570   4,702  
  Oil Refineries Ltd. 9,323,609   4,688  
  Phoenix Holdings Ltd. 743,444   4,499  
  Shufersal Ltd. 683,454   4,357  
  Shapir Engineering and Industry Ltd. 685,858   4,196  
  Matrix IT Ltd. 199,720   4,025  
* Clal Insurance Enterprises Holdings Ltd. 240,013   3,612  
  Sella Capital Real Estate Ltd. 1,225,601   3,600  
  FIBI Holdings Ltd. 105,736   3,580  
  Hilan Ltd. 87,200   3,515  
  Sapiens International Corp. NV 153,507   3,475  
  Bayside Land Corp. 4,434   3,411  
* AFI Properties Ltd. 77,340   3,216  
  AudioCodes Ltd. 123,869   3,196  
  Formula Systems 1985 Ltd. 46,701   3,179  
* Isracard Ltd. 835,226   3,125  
  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. 45,797   2,635  
  Big Shopping Centers Ltd. 26,422   2,569  
* Partner Communications Co. Ltd. 547,031   2,439  
  Kenon Holdings Ltd. 102,508   2,192  
  Menora Mivtachim Holdings Ltd. 135,267   1,979  
  Migdal Insurance & Financial Holding Ltd. 1,919,311   1,815  
  IDI Insurance Co. Ltd. 44,712   1,632  
* Allot Ltd. 186,059   1,590  
  Delta Galil Industries Ltd. 56,125   1,531  
  Delek Automotive Systems Ltd. 226,164   1,455  
* Brack Capital Properties NV 14,032   1,438  
  Gilat Satellite Networks Ltd. 174,451   1,380  
* Kamada Ltd. 191,190   1,314  
  Naphtha Israel Petroleum Corp. Ltd. 209,361   1,253  
* Cellcom Israel Ltd. (Registered) 377,206   1,202  
* Teva Pharmaceutical Industries Ltd. ADR 121,682   1,192  
  Norstar Holdings Inc. 54,785   1,174  
  Property & Building Corp. Ltd. 5,883   627  
    592,237  
Italy (2.2%)  
  Enel SPA 49,049,680   389,644  
  Intesa Sanpaolo SPA (Registered) 94,394,800   248,655  
  Eni SPA 15,791,604   245,264  
  UniCredit SPA 14,100,750   206,111  

 

19

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares   Market
Value
($000
)
  Assicurazioni Generali SPA 8,098,414   167,191  
  Ferrari NV 775,938   128,834  
  Fiat Chrysler Automobiles NV 6,942,612   102,935  
  Snam SPA 14,385,505   75,636  
  Atlantia SPA 3,103,422   72,431  
  CNH Industrial NV 6,233,428   68,443  
  Terna Rete Elettrica Nazionale SPA 8,888,693   59,447  
  Mediobanca Banca di Credito Finanziario SPA 5,055,078   55,659  
  Moncler SPA 1,149,801   51,750  
  EXOR NV 656,852   50,927  
  FinecoBank Banca Fineco SPA 3,843,488   46,106  
* Telecom Italia SPA (Registered) 67,095,864   41,902  
  Prysmian SPA 1,579,232   38,122  
  Tenaris SA 2,951,059   33,435  
2 Poste Italiane SPA 2,881,797   32,746  
  Davide Campari-Milano SPA 3,500,747   31,988  
  Leonardo SPA 2,448,289   28,712  
  Recordati SPA 605,463   25,523  
  Telecom Italia SPA (Bearer) 38,009,696   23,278  
  Hera SPA 5,116,837   22,412  
*,2 Nexi SPA 1,572,354   21,843  
* Banco BPM SPA 9,494,078   21,608  
  Amplifon SPA 748,280   21,535  
  Unione di Banche Italiane SPA 6,059,038   19,806  
  Italgas SPA 3,073,528   18,791  
  DiaSorin SPA 141,298   18,299  
  Azimut Holding SPA 759,734   18,153  
  A2A SPA 9,617,315   18,060  
  Banca Mediolanum SPA 1,811,830   18,004  
* Saipem SPA 3,539,031   17,308  
  Unipol Gruppo SPA 3,008,831   17,274  
  Interpump Group SPA 499,009   15,807  
2 Pirelli & C SPA 2,729,935   15,756  
2 Infrastrutture Wireless Italiane SPA 1,513,411   14,812  
  Iren SPA 4,176,583   12,954  
  BPER Banca 2,451,498   12,335  
^ Freni Brembo SPA 924,336   11,476  
  Cerved Group SPA 1,171,010   11,427  
  Banca Generali SPA 351,256   11,419  
  Buzzi Unicem SPA 430,654   10,856  
  UnipolSai Assicurazioni SPA 3,652,820   10,624  
  Reply SPA 129,213   10,072  
2 Enav SPA 1,603,285   9,568  
^ IMA Industria Macchine Automatiche SPA 131,250   9,439  
2 Technogym SPA 695,360   9,050  
  Salvatore Ferragamo SPA 424,566   8,936  
2 Anima Holding SPA 1,727,954   8,929  
  De' Longhi SPA 401,251   8,491  
  Autogrill SPA 792,168   8,293  
  Societa Cattolica di Assicurazioni SC 995,079   8,122  
  Brunello Cucinelli SPA 209,639   7,427  
  ERG SPA 339,949   7,331  
  Banca Popolare di Sondrio SCPA 2,772,946   6,557  
  ASTM SPA 211,375   6,392  
*,^ Mediaset SPA 1,948,044   5,818  
  Societa Iniziative Autostradali e Servizi SPA 344,536   5,777  
  ACEA SPA 276,714   5,726  
  Saras SPA 3,412,474   5,492  
  Tamburi Investment Partners SPA 645,171   4,935  
  MARR SPA 201,212   4,597  
*,^ Juventus Football Club SPA 3,061,428   4,284  
2 RAI Way SPA 594,307   4,087  
2 Banca Farmafactoring SPA 670,533   4,016  
2 Carel Industries SPA 255,700   3,977  

 

20

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

     

Market

Value

    Shares   ($000 )
2 doValue SPA 280,394   3,866  
  Falck Renewables SPA 712,701   3,809  
  Buzzi Unicem SPA Saving Shares 237,595   3,690  
^ Tod's SPA 79,571   3,679  
  Piaggio & C SPA 1,044,916   3,222  
^ Fincantieri SPA 2,789,373   2,882  
  Zignago Vetro SPA 200,048   2,850  
  Credito Emiliano SPA 459,099   2,675  
  Danieli & C Officine Meccaniche SPA Saving Shares 235,975   2,673  
^ Maire Tecnimont SPA 948,680   2,635  
*,^ Banca Monte dei Paschi di Siena SPA 1,657,724   2,603  
  Banca IFIS SPA 160,966   2,530  
*,^ Salini Impregilo SPA 1,390,794   2,505  
  Italmobiliare SPA 91,544   2,479  
^ Datalogic SPA 125,150   2,369  
*,^,2 OVS SPA 1,020,227   2,298  
  Immobiliare Grande Distribuzione SIIQ SPA 311,480   2,166  
  Cementir Holding NV 279,567   2,109  
  CIR-Compagnie Industriali Riunite SPA 1,725,458   2,108  
* Arnoldo Mondadori Editore SPA 790,471   1,828  
  Danieli & C Officine Meccaniche SPA 78,234   1,439  
  Biesse SPA 78,443   1,307  
  Cairo Communication SPA 407,583   1,243  
  DeA Capital SPA 540,849   887  
  Rizzoli Corriere Della Sera Mediagroup SPA 743,731   842  
^ Geox SPA 460,767   611  
       

2,803,919

 
Japan (21.7%)        
  Toyota Motor Corp. 15,494,579   1,091,771  
  Sony Corp. 7,749,484   526,172  
  SoftBank Group Corp. 10,220,066   443,725  
  Mitsubishi UFJ Financial Group Inc. 78,704,614   425,504  
  Keyence Corp. 1,136,274   398,990  
  Takeda Pharmaceutical Co. Ltd. 8,619,031   340,902  
  KDDI Corp. 10,791,158   321,969  
  Honda Motor Co. Ltd. 10,984,519   310,879  
  Recruit Holdings Co. Ltd. 8,072,588   302,362  
  Sumitomo Mitsui Financial Group Inc. 8,185,686   302,341  
  Shin-Etsu Chemical Co. Ltd. 2,511,592   276,208  
  Nintendo Co. Ltd. 672,565   268,999  
  Daiichi Sankyo Co. Ltd. 4,008,133   264,714  
  Mizuho Financial Group Inc. 160,122,108   246,655  
  Hitachi Ltd. 5,833,169   246,135  
  Kao Corp. 2,962,482   244,331  
  Daikin Industries Ltd. 1,672,023   235,905  
  Tokio Marine Holdings Inc. 4,152,562   232,497  
  Central Japan Railway Co. 1,139,083   229,034  
  FANUC Corp. 1,212,135   223,839  
  Hoya Corp. 2,319,276   221,403  
  Murata Manufacturing Co. Ltd. 3,594,420   221,232  
  Mitsubishi Corp. 7,765,067   205,707  
  East Japan Railway Co. 2,277,829   205,601  
  Tokyo Electron Ltd. 939,957   205,221  
  Astellas Pharma Inc. 11,909,053   203,287  
  NTT DOCOMO Inc. 7,245,201   201,823  
  Nidec Corp. 1,469,261   200,677  
  ITOCHU Corp. 8,567,434   198,565  
  Fast Retailing Co. Ltd. 325,178   193,180  
  Nippon Telegraph & Telephone Corp. 7,633,942   192,938  
  Mitsui & Co. Ltd. 10,660,167   189,490  
  Seven & i Holdings Co. Ltd. 4,864,114   178,296  
^ Canon Inc. 6,383,722   174,713  
  Shiseido Co. Ltd. 2,447,581   173,803  
  Mitsubishi Electric Corp. 12,449,984   169,515  

 

21

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Japan Tobacco Inc. 7,467,331   166,496  
  SMC Corp. 362,965   165,990  
  Oriental Land Co. Ltd. 1,186,310   161,862  
  Mitsui Fudosan Co. Ltd. 5,928,413   144,890  
  Terumo Corp. 4,084,314   144,888  
  Mitsubishi Estate Co. Ltd. 7,312,014   139,914  
  Komatsu Ltd. 5,766,258   138,399  
  Softbank Corp. 10,131,228   135,857  
  Bridgestone Corp. 3,634,513   135,023  
  ORIX Corp. 8,095,145   134,148  
  Kyocera Corp. 1,934,064   131,818  
  Denso Corp. 2,863,889   129,340  
  Daiwa House Industry Co. Ltd. 4,091,215   126,651  
  Panasonic Corp. 13,438,654   126,044  
  Chugai Pharmaceutical Co. Ltd. 1,364,303   125,646  
  Eisai Co. Ltd. 1,665,620   124,632  
  Otsuka Holdings Co. Ltd. 2,641,115   117,726  
  Dai-ichi Life Holdings Inc. 6,910,772   113,891  
  Fujitsu Ltd. 1,207,807   113,601  
  Suzuki Motor Corp. 2,710,284   113,133  
  Kirin Holdings Co. Ltd. 5,075,804   110,787  
  Asahi Group Holdings Ltd. 2,400,428   109,509  
  Shionogi & Co. Ltd. 1,767,672   109,351  
  Secom Co. Ltd. 1,220,484   108,919  
  FUJIFILM Holdings Corp. 2,280,518   108,908  
  Kubota Corp. 6,929,802   108,820  
  Sumitomo Corp. 7,062,889   104,908  
  Olympus Corp. 6,656,788   102,599  
  Nomura Holdings Inc. 19,847,630   102,132  
  MS&AD Insurance Group Holdings Inc. 3,049,542   100,661  
  West Japan Railway Co. 1,148,265   99,318  
  Subaru Corp. 3,861,331   95,645  
  Toshiba Corp. 2,786,572   94,581  
  Aeon Co. Ltd. 4,415,233   91,114  
  Sumitomo Mitsui Trust Holdings Inc. 2,303,579   91,063  
  Asahi Kasei Corp. 7,836,324   87,990  
  Sumitomo Realty & Development Co. Ltd. 2,490,775   86,902  
  JXTG Holdings Inc. 18,907,709   85,814  
  TDK Corp. 755,590   84,913  
  Sompo Holdings Inc. 2,149,997   84,430  
  Unicharm Corp. 2,436,375   82,270  
  Sysmex Corp. 1,192,793   81,211  
  M3 Inc. 2,656,829   80,118  
  Shimano Inc. 493,379   80,041  
  Japan Post Holdings Co. Ltd. 8,372,657   78,740  
  Sekisui House Ltd. 3,639,906   77,730  
  Nippon Steel Corp. 5,140,738   77,486  
  Bandai Namco Holdings Inc. 1,229,970   74,822  
  Nitori Holdings Co. Ltd. 468,872   74,012  
  Marubeni Corp. 9,866,877   72,900  
  Sumitomo Electric Industries Ltd. 4,754,281   71,401  
  Nissan Motor Co. Ltd. 12,161,608   70,473  
  Advantest Corp. 1,248,587   70,418  
  Mitsubishi Heavy Industries Ltd. 1,798,194   69,728  
  Omron Corp. 1,194,195   69,607  
  Yahoo Japan Corp. 16,391,598   69,207  
  NEC Corp. 1,572,028   65,058  
  Tokyo Gas Co. Ltd. 2,673,159   64,955  
  Toray Industries Inc. 9,551,563   64,717  
  Chubu Electric Power Co. Inc. 4,410,194   62,342  
  Ono Pharmaceutical Co. Ltd. 2,703,698   61,726  
  Yaskawa Electric Corp. 1,635,672   61,617  
  Kintetsu Group Holdings Co. Ltd. 1,130,828   61,336  
  Resona Holdings Inc. 13,729,621   59,841  

 

22

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Mitsubishi Chemical Holdings Corp. 8,016,194   59,730  
  Inpex Corp. 5,758,357   59,655  
  Japan Exchange Group Inc. 3,384,970   59,593  
  Hankyu Hanshin Holdings Inc. 1,378,598   58,970  
  Toyota Industries Corp. 1,008,766   58,044  
  Tokyu Corp. 3,105,558   57,430  
  MEIJI Holdings Co. Ltd. 848,113   57,316  
  Obic Co. Ltd. 422,655   56,932  
  Kikkoman Corp. 1,151,833   56,388  
  Yamaha Corp. 996,990   55,277  
  Nitto Denko Corp. 982,444   55,241  
  MINEBEA MITSUMI Inc. 2,617,616   54,070  
  Pan Pacific International Holdings Corp. 3,210,366   53,264  
  Kansai Electric Power Co. Inc. 4,589,654   53,170  
  NTT Data Corp. 3,968,781   53,078  
  Shimadzu Corp. 1,696,324   53,049  
  Makita Corp. 1,535,211   53,018  
  Taisei Corp. 1,263,571   52,338  
  Ajinomoto Co. Inc. 3,078,445   51,248  
  Daito Trust Construction Co. Ltd. 409,339   50,585  
  Nippon Paint Holdings Co. Ltd. 974,312   50,159  
  Toyota Tsusho Corp. 1,407,684   49,449  
  Dai Nippon Printing Co. Ltd. 1,827,746   49,436  
  Sumitomo Metal Mining Co. Ltd. 1,493,380   48,087  
  Daiwa Securities Group Inc. 9,507,525   47,998  
  Osaka Gas Co. Ltd. 2,483,964   47,501  
  Dentsu Inc. 1,372,878   47,304  
  Obayashi Corp. 4,243,659   47,133  
  Tobu Railway Co. Ltd. 1,298,702   47,014  
  Ricoh Co. Ltd. 4,286,643   46,645  
  Odakyu Electric Railway Co. Ltd. 1,925,056   44,910  
  Rohm Co. Ltd. 551,706   44,020  
  Keio Corp. 723,686   43,790  
  T&D Holdings Inc. 3,446,451   43,583  
  MISUMI Group Inc. 1,747,379   43,248  
  Sumitomo Chemical Co. Ltd. 9,493,370   43,105  
  Santen Pharmaceutical Co. Ltd. 2,246,193   42,775  
  Yakult Honsha Co. Ltd. 773,551   42,632  
  Rakuten Inc. 4,976,628   42,516  
* Tokyo Electric Power Co. Holdings Inc. 9,832,694   42,089  
  AGC Inc. 1,163,379   41,600  
  JFE Holdings Inc. 3,233,228   41,487  
  Idemitsu Kosan Co. Ltd. 1,497,993   41,392  
  Disco Corp. 174,588   40,998  
  Aisin Seiki Co. Ltd. 1,086,673   40,250  
  Takeda Pharmaceutical Co. Ltd. ADR 1,999,907   39,458  
  TOTO Ltd. 909,646   38,412  
  Yamato Holdings Co. Ltd. 2,240,278   38,196  
  Nagoya Railroad Co. Ltd. 1,228,226   38,140  
  Sekisui Chemical Co. Ltd. 2,194,925   38,082  
  Kajima Corp. 2,857,187   37,987  
  Isuzu Motors Ltd. 3,209,191   37,935  
  Trend Micro Inc. 735,087   37,614  
  Kyowa Kirin Co. Ltd. 1,571,474   37,025  
  Daifuku Co. Ltd. 608,396   36,768  
  Nissan Chemical Corp. 866,197   36,274  
  Toppan Printing Co. Ltd. 1,730,948   35,758  
  Shimizu Corp. 3,479,313   35,443  
  Yamaha Motor Co. Ltd. 1,758,418   35,226  
  Hikari Tsushin Inc. 139,626   35,088  
  FamilyMart Co. Ltd. 1,458,355   34,927  
  Nomura Research Institute Ltd. 1,629,322   34,845  
* Nexon Co. Ltd. 2,615,721   34,698  
  Asahi Intecc Co. Ltd. 1,179,866   34,548  

 

23

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Ryohin Keikaku Co. Ltd. 1,477,455   34,434  
  Kyushu Railway Co. 1,013,153   33,918  
  Keisei Electric Railway Co. Ltd. 874,551   33,888  
  Koito Manufacturing Co. Ltd. 723,014   33,480  
  Suntory Beverage & Food Ltd. 795,558   33,213  
  Hamamatsu Photonics KK 805,016   32,990  
  Kobayashi Pharmaceutical Co. Ltd. 386,724   32,756  
  Nissin Foods Holdings Co. Ltd. 434,555   32,276  
  Marui Group Co. Ltd. 1,316,845   32,108  
  Lion Corp. 1,596,187   31,028  
  Brother Industries Ltd. 1,489,028   30,753  
  Mazda Motor Corp. 3,607,338   30,740  
* Renesas Electronics Corp. 4,492,415   30,692  
  SG Holdings Co. Ltd. 1,340,825   30,203  
  Keikyu Corp. 1,566,074   30,192  
  SBI Holdings Inc. 1,427,580   30,139  
  Oji Holdings Corp. 5,554,399   30,038  
  Toho Co. Ltd. (Tokyo) 720,314   30,017  
  Keihan Holdings Co. Ltd. 617,114   29,965  
  Kansai Paint Co. Ltd. 1,222,889   29,874  
  TIS Inc. 499,208   29,510  
  Tohoku Electric Power Co. Inc. 2,971,718   29,460  
  Hoshizaki Corp. 330,131   29,435  
  Tsuruha Holdings Inc. 228,380   29,324  
  NGK Insulators Ltd. 1,670,010   29,052  
  Concordia Financial Group Ltd. 7,004,406   28,765  
  Alps Alpine Co. Ltd. 1,258,339   28,563  
  Hitachi High-Technologies Corp. 403,034   28,543  
  LIXIL Group Corp. 1,649,673   28,468  
  Nisshin Seifun Group Inc. 1,623,137   28,320  
  Nippon Shinyaku Co. Ltd. 326,061   28,235  
  Nihon M&A Center Inc. 810,688   27,898  
* PeptiDream Inc. 541,591   27,677  
  Tosoh Corp. 1,786,437   27,521  
  Hulic Co. Ltd. 2,278,146   27,429  
  Hirose Electric Co. Ltd. 211,821   27,077  
  Yokogawa Electric Corp. 1,526,750   26,811  
  Casio Computer Co. Ltd. 1,340,426   26,786  
  Mitsui Chemicals Inc. 1,097,677   26,739  
  Nippon Express Co. Ltd. 455,437   26,697  
  Tokyu Fudosan Holdings Corp. 3,837,017   26,496  
  Stanley Electric Co. Ltd. 917,320   26,493  
  Kose Corp. 181,090   26,396  
  Kuraray Co. Ltd. 2,173,737   26,341  
  NSK Ltd. 2,783,385   26,312  
  Nikon Corp. 2,150,213   26,296  
  Hitachi Chemical Co. Ltd. 625,528   26,207  
  Yamada Denki Co. Ltd. 4,915,487   26,082  
  Seiko Epson Corp. 1,709,754   25,815  
  Otsuka Corp. 645,722   25,787  
  NH Foods Ltd. 621,821   25,758  
  Mitsubishi Tanabe Pharma Corp. 1,385,617   25,419  
  Sojitz Corp. 7,864,365   25,348  
  Kyushu Electric Power Co. Inc. 2,912,576   25,269  
  USS Co. Ltd. 1,335,353   25,243  
  Electric Power Development Co. Ltd. 1,036,705   25,164  
  Pigeon Corp. 679,877   24,895  
  Japan Post Bank Co. Ltd. 2,562,093   24,583  
  Konami Holdings Corp. 596,947   24,530  
  SUMCO Corp. 1,476,025   24,456  
  NGK Spark Plug Co. Ltd. 1,256,958   24,365  
  Square Enix Holdings Co. Ltd. 487,879   24,293  
  Toyo Suisan Kaisha Ltd. 569,218   24,172  
  Lasertec Corp. 475,298   24,105  

 

24

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Fuji Electric Co. Ltd. 793,372   24,101  
  Hakuhodo DY Holdings Inc. 1,491,268   23,996  
  Chugoku Electric Power Co. Inc. 1,821,759   23,947  
^ Showa Denko KK 901,507   23,760  
^ Skylark Holdings Co. Ltd. 1,206,500   23,654  
^ Taiyo Yuden Co. Ltd. 774,300   23,618  
  ANA Holdings Inc. 704,831   23,530  
  Shizuoka Bank Ltd. 3,144,151   23,387  
  Haseko Corp. 1,741,108   23,372  
  Azbil Corp. 829,204   23,355  
  Toho Gas Co. Ltd. 566,332   23,125  
  Sony Financial Holdings Inc. 959,665   23,037  
  Amada Holdings Co. Ltd. 2,017,167   22,943  
  Sohgo Security Services Co. Ltd. 422,409   22,863  
  Japan Airlines Co. Ltd. 724,226   22,549  
  Coca-Cola Bottlers Japan Holdings Inc. 880,548   22,498  
  Alfresa Holdings Corp. 1,100,129   22,349  
  Taiheiyo Cement Corp. 756,512   22,206  
  Chiba Bank Ltd. 3,857,895   22,183  
  Seibu Holdings Inc. 1,345,831   22,138  
  Teijin Ltd. 1,164,319   21,752  
  JGC Corp. 1,366,298   21,746  
  J Front Retailing Co. Ltd. 1,558,147   21,732  
  Nabtesco Corp. 736,460   21,701  
  Hisamitsu Pharmaceutical Co. Inc. 442,422   21,547  
  Mitsubishi Materials Corp. 788,811   21,408  
  Miura Co. Ltd. 618,182   21,360  
  CyberAgent Inc. 606,874   21,141  
  Kakaku.com Inc. 827,095   21,118  
  JSR Corp. 1,138,506   20,826  
  Kurita Water Industries Ltd. 695,475   20,638  
  COMSYS Holdings Corp. 719,459   20,608  
  Sumitomo Heavy Industries Ltd. 713,185   20,258  
  MediPal Holdings Corp. 917,154   20,242  
  Isetan Mitsukoshi Holdings Ltd. 2,251,471   20,218  
  Welcia Holdings Co. Ltd. 317,970   20,200  
  Sumitomo Dainippon Pharma Co. Ltd. 1,042,404   20,197  
  Taisho Pharmaceutical Holdings Co. Ltd. 272,899   20,139  
  Taiyo Nippon Sanso Corp. 906,103   20,056  
  Kawasaki Heavy Industries Ltd. 914,749   19,993  
  Hitachi Construction Machinery Co. Ltd. 666,164   19,843  
  Persol Holdings Co. Ltd. 1,058,050   19,829  
  MonotaRO Co. Ltd. 738,789   19,667  
  Japan Post Insurance Co. Ltd. 1,150,898   19,619  
  Fukuoka Financial Group Inc. 1,024,955   19,583  
  Suzuken Co. Ltd. 478,957   19,521  
  Tokyo Tatemono Co. Ltd. 1,249,797   19,508  
  THK Co. Ltd. 725,181   19,470  
  Aozora Bank Ltd. 735,081   19,420  
  Bank of Kyoto Ltd. 453,911   19,355  
  Mitsui OSK Lines Ltd. 696,459   19,153  
  Konica Minolta Inc. 2,859,798   18,629  
  Shinsei Bank Ltd. 1,217,868   18,581  
  Nankai Electric Railway Co. Ltd. 682,227   18,512  
  Rohto Pharmaceutical Co. Ltd. 611,583   18,506  
  IHI Corp. 790,130   18,490  
  Oracle Corp. Japan 202,935   18,418  
  Matsumotokiyoshi Holdings Co. Ltd. 475,576   18,412  
  Hitachi Metals Ltd. 1,245,129   18,328  
  Relo Group Inc. 657,713   18,295  
  Nippon Yusen KK 1,012,454   18,248  
  Rinnai Corp. 232,811   18,194  
  Sega Sammy Holdings Inc. 1,251,333   18,119  
  Hino Motors Ltd. 1,703,674   18,017  

 

25

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

 

Shares

 

Market
Value
($000

)
  Ito En Ltd. 358,131   17,952  
  Asics Corp. 1,081,604   17,945  
  Ebara Corp. 592,716   17,897  
  Mitsubishi UFJ Lease & Finance Co. Ltd. 2,752,388   17,719  
  Mitsubishi Gas Chemical Co. Inc. 1,150,265   17,523  
  Nomura Real Estate Holdings Inc. 724,320   17,373  
  Lawson Inc. 304,594   17,290  
  GMO Payment Gateway Inc. 251,975   17,256  
  Itochu Techno-Solutions Corp. 610,752   17,200  
^ Anritsu Corp. 862,507   17,072  
  Park24 Co. Ltd. 695,389   17,027  
  Credit Saison Co. Ltd. 978,061   16,963  
  JTEKT Corp. 1,430,687   16,901  
  SCREEN Holdings Co. Ltd. 246,725   16,826  
  Daicel Corp. 1,754,353   16,772  
  Toyo Seikan Group Holdings Ltd. 956,346   16,463  
  Mitsubishi Motors Corp. 3,947,120   16,453  
  Horiba Ltd. 245,262   16,353  
^ Goldwin Inc. 222,774   16,322  
* LINE Corp. 332,141   16,319  
  Ibiden Co. Ltd. 684,943   16,307  
  Denka Co. Ltd. 548,358   16,301  
  Japan Airport Terminal Co. Ltd. 293,710   16,297  
  Kyowa Exeo Corp. 638,951   16,163  
  TechnoPro Holdings Inc. 230,581   16,092  
  Mebuki Financial Group Inc. 6,296,862   16,054  
  Sankyu Inc. 313,894   15,774  
  Nichirei Corp. 672,887   15,719  
  Tokyo Century Corp. 295,056   15,710  
  Iida Group Holdings Co. Ltd. 893,543   15,660  
  Capcom Co. Ltd. 563,988   15,611  
  House Foods Group Inc. 457,328   15,601  
  Sawai Pharmaceutical Co. Ltd. 244,407   15,484  
  Calbee Inc. 473,806   15,437  
  Kewpie Corp. 680,135   15,281  
  Sundrug Co. Ltd. 414,270   14,989  
  Sharp Corp. 974,311   14,890  
  Nifco Inc. 539,503   14,733  
  K's Holdings Corp. 1,126,882   14,733  
  Ezaki Glico Co. Ltd. 321,843   14,349  
  Yamazaki Baking Co. Ltd. 799,991   14,295  
  NOF Corp. 428,656   14,254  
  Kamigumi Co. Ltd. 642,891   14,132  
  Air Water Inc. 966,221   14,099  
  DIC Corp. 508,675   14,039  
  Sumitomo Rubber Industries Ltd. 1,141,019   13,913  
  Sanwa Holdings Corp. 1,235,797   13,848  
  SCSK Corp. 265,167   13,750  
  Ube Industries Ltd. 634,644   13,745  
  Sushiro Global Holdings Ltd. 157,724   13,583  
  Daiichikosho Co. Ltd. 258,036   13,526  
  Zenkoku Hosho Co. Ltd. 316,610   13,444  
  Aeon Mall Co. Ltd. 752,544   13,348  
  NET One Systems Co. Ltd. 521,658   13,319  
  Zensho Holdings Co. Ltd. 587,981   13,312  
  Seven Bank Ltd. 4,058,296   13,295  
  Sotetsu Holdings Inc. 486,984   13,202  
  Nippon Kayaku Co. Ltd. 1,057,979   13,102  
  Seino Holdings Co. Ltd. 955,553   12,910  
  Yokohama Rubber Co. Ltd. 661,914   12,838  
  Nihon Kohden Corp. 462,896   12,838  
  Amano Corp. 420,795   12,822  
  Kinden Corp. 815,144   12,665  
  Nihon Unisys Ltd. 402,600   12,629  

 

26

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

 

Shares

 

Market
Value
($000

)
Sumitomo Forestry Co. Ltd. 843,547   12,422  
  Hachijuni Bank Ltd. 2,849,167   12,393  
  Tsumura & Co. 419,750   12,277  
^ Tokai Carbon Co. Ltd. 1,229,739   12,268  
  Nippon Shokubai Co. Ltd. 197,196   12,220  
  Ulvac Inc. 304,102   12,001  
  Mabuchi Motor Co. Ltd. 317,814   11,999  
  SHO-BOND Holdings Co. Ltd. 287,904   11,931  
  Morinaga & Co. Ltd. 248,041   11,911  
  Benesse Holdings Inc. 452,049   11,882  
  Kagome Co. Ltd. 495,970   11,875  
  Justsystems Corp. 211,462   11,824  
  Sugi Holdings Co. Ltd. 223,899   11,812  
  ZOZO Inc. 616,742   11,795  
  Toyoda Gosei Co. Ltd. 468,951   11,709  
  Infomart Corp. 1,292,396   11,663  
  Kaken Pharmaceutical Co. Ltd. 211,104   11,648  
  AEON Financial Service Co. Ltd. 728,628   11,481  
  Fancl Corp. 428,928   11,420  
  Ship Healthcare Holdings Inc. 246,836   11,387  
  Kaneka Corp. 355,393   11,382  
  Cosmos Pharmaceutical Corp. 54,753   11,351  
  ABC-Mart Inc. 166,082   11,337  
  Nippon Electric Glass Co. Ltd. 509,270   11,306  
  Zeon Corp. 906,380   11,280  
  Pola Orbis Holdings Inc. 469,991   11,195  
  Mani Inc. 388,689   11,112  
  Tokuyama Corp. 426,883   11,108  
  Ain Holdings Inc. 174,319   11,086  
  Penta-Ocean Construction Co. Ltd. 1,785,811   11,056  
  Chugoku Bank Ltd. 1,081,175   10,957  
  Nishi-Nippon Railroad Co. Ltd. 474,946   10,940  
  Mitsubishi Logistics Corp. 420,428   10,936  
  Maruichi Steel Tube Ltd. 388,070   10,906  
  Acom Co. Ltd. 2,398,669   10,883  
  DeNA Co. Ltd. 670,188   10,802  
  Aica Kogyo Co. Ltd. 327,070   10,793  
  Yoshinoya Holdings Co. Ltd. 400,726   10,686  
  Hazama Ando Corp. 1,218,896   10,600  
  Open House Co. Ltd. 370,614   10,597  
  Dowa Holdings Co. Ltd. 285,371   10,593  
  NOK Corp. 709,819   10,588  
  Kyushu Financial Group Inc. 2,458,299   10,572  
  Shimamura Co. Ltd. 138,261   10,511  
  Bic Camera Inc. 922,615   10,505  
  GS Yuasa Corp. 486,666   10,490  
  Ushio Inc. 703,378   10,430  
  Nagase & Co. Ltd. 690,898   10,246  
  Morinaga Milk Industry Co. Ltd. 251,044   10,236  
  Takashimaya Co. Ltd. 908,074   10,186  
  Takara Holdings Inc. 1,100,598   10,099  
  Kobe Steel Ltd. 1,881,304   10,080  
  Nippon Paper Industries Co. Ltd. 593,488   10,016  
  Furukawa Electric Co. Ltd. 390,757   10,003  
  TS Tech Co. Ltd. 321,949   9,993  
  Glory Ltd. 329,442   9,955  
  Nippon Suisan Kaisha Ltd. 1,664,733   9,942  
  Yamaguchi Financial Group Inc. 1,468,001   9,928  
  Rengo Co. Ltd. 1,301,001   9,912  
  OKUMA Corp. 187,621   9,868  
  Sumitomo Osaka Cement Co. Ltd. 226,094   9,848  
  Wacoal Holdings Corp. 364,710   9,780  
  Iyo Bank Ltd. 1,732,044   9,770  
^ DMG Mori Co. Ltd. 635,603   9,725  

 

27

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Daido Steel Co. Ltd. 221,071   9,658  
  Toda Corp. 1,458,336   9,626  
  PALTAC Corp. 200,907   9,597  
  Shikoku Electric Power Co. Inc. 968,876   9,570  
  Cosmo Energy Holdings Co. Ltd. 413,799   9,474  
  Sapporo Holdings Ltd. 400,624   9,464  
  Koei Tecmo Holdings Co. Ltd. 361,903   9,449  
  ADEKA Corp. 625,547   9,424  
  OSG Corp. 495,518   9,423  
  Sankyo Co. Ltd. 283,004   9,399  
  Shochiku Co. Ltd. 62,091   9,366  
  Gunma Bank Ltd. 2,637,740   9,251  
  NHK Spring Co. Ltd. 1,019,840   9,230  
  Citizen Watch Co. Ltd. 1,692,461   9,217  
  Tokyo Seimitsu Co. Ltd. 237,252   9,212  
  Tokyo Ohka Kogyo Co. Ltd. 235,303   9,180  
  Hiroshima Bank Ltd. 1,884,135   9,166  
  Toagosei Co. Ltd. 794,921   9,165  
  Toyo Tire Corp. 635,985   9,122  
  Mitsui Mining & Smelting Co. Ltd. 341,958   9,069  
  Fuji Corp. 495,107   9,047  
  Izumi Co. Ltd. 251,053   9,043  
  Pilot Corp. 220,044   8,850  
  Nipro Corp. 723,966   8,709  
  Iwatani Corp. 255,060   8,674  
  Kotobuki Spirits Co. Ltd. 117,364   8,665  
  Nichias Corp. 341,951   8,663  
  Meitec Corp. 154,134   8,660  
  SMS Co. Ltd. 312,903   8,643  
  Hokuhoku Financial Group Inc. 823,216   8,629  
*,^ Kawasaki Kisen Kaisha Ltd. 510,659   8,619  
  Unizo Holdings Co. Ltd. 183,461   8,615  
  Maeda Road Construction Co. Ltd. 351,126   8,572  
  Topcon Corp. 659,780   8,528  
  FP Corp. 142,822   8,484  
  NTN Corp. 2,685,687   8,398  
  en-japan Inc. 193,000   8,389  
  Nikkon Holdings Co. Ltd. 333,129   8,329  
  Toyobo Co. Ltd. 546,508   8,299  
  Ariake Japan Co. Ltd. 111,495   8,287  
  Digital Garage Inc. 198,295   8,286  
  Inaba Denki Sangyo Co. Ltd. 323,616   8,208  
  Nisshinbo Holdings Inc. 861,526   8,198  
  Fuyo General Lease Co. Ltd. 119,191   8,017  
  Kokuyo Co. Ltd. 536,777   8,008  
  Maeda Corp. 821,700   8,000  
  IBJ Leasing Co. Ltd. 255,354   7,981  
  Miraca Holdings Inc. 323,465   7,923  
  Nippon Light Metal Holdings Co. Ltd. 3,678,194   7,906  
* Hokuriku Electric Power Co. 1,077,364   7,862  
  Shiga Bank Ltd. 308,954   7,846  
  Fujitsu General Ltd. 348,233   7,815  
  Fujitec Co. Ltd. 481,920   7,802  
  Japan Steel Works Ltd. 395,624   7,728  
  77 Bank Ltd. 462,066   7,690  
  Fuji Oil Holdings Inc. 283,132   7,616  
  Benefit One Inc. 368,504   7,606  
  Daishi Hokuetsu Financial Group Inc. 273,412   7,577  
  Jafco Co. Ltd. 193,092   7,569  
  Nippon Gas Co. Ltd. 235,649   7,559  
  Nishi-Nippon Financial Holdings Inc. 968,147   7,538  
  Fukuyama Transporting Co. Ltd. 205,769   7,473  
  Sumitomo Bakelite Co. Ltd. 199,906   7,469  
  Nitto Boseki Co. Ltd. 175,953   7,469  

 

28

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Hitachi Transport System Ltd. 265,264   7,467  
^ Colowide Co. Ltd. 360,835   7,461  
  NSD Co. Ltd. 451,908   7,441  
  Tomy Co. Ltd. 572,497   7,417  
  Toho Holdings Co. Ltd. 334,303   7,407  
  Kyudenko Corp. 248,659   7,326  
  Oki Electric Industry Co. Ltd. 524,953   7,301  
  Tsubakimoto Chain Co. 207,098   7,286  
  Sanrio Co. Ltd. 370,656   7,279  
  TOKAI Holdings Corp. 723,140   7,263  
  Kyoritsu Maintenance Co. Ltd. 153,251   7,258  
  Kansai Mirai Financial Group Inc. 1,126,853   7,229  
  Systena Corp. 442,940   7,194  
  Duskin Co. Ltd. 259,204   7,169  
  As One Corp. 76,415   7,143  
  Fujikura Ltd. 1,734,336   7,136  
  GMO internet Inc. 374,697   7,087  
  Nishimatsu Construction Co. Ltd. 313,361   7,050  
  Daiwabo Holdings Co. Ltd. 114,656   7,033  
  Jeol Ltd. 231,848   7,000  
  Yaoko Co. Ltd. 136,665   6,977  
  Shimachu Co. Ltd. 255,444   6,974  
  Takasago Thermal Engineering Co. Ltd. 388,131   6,944  
  Sangetsu Corp. 368,020   6,939  
  Nippo Corp. 322,434   6,929  
  Kanematsu Corp. 515,089   6,921  
  Kureha Corp. 115,100   6,912  
  Daiseki Co. Ltd. 240,158   6,909  
  JCR Pharmaceuticals Co. Ltd. 85,416   6,906  
  Hitachi Capital Corp. 262,626   6,895  
  Kenedix Inc. 1,323,640   6,891  
  Resorttrust Inc. 406,231   6,886  
  Lintec Corp. 308,540   6,869  
  Heiwa Corp. 326,179   6,831  
  Sakata Seed Corp. 201,094   6,743  
  Kumagai Gumi Co. Ltd. 221,698   6,743  
^ Katitas Co. Ltd. 149,839   6,596  
  Milbon Co. Ltd. 116,225   6,590  
  Outsourcing Inc. 625,373   6,580  
  cocokara fine Inc. 113,283   6,578  
  Canon Marketing Japan Inc. 284,052   6,573  
  NS Solutions Corp. 198,002   6,506  
  Tadano Ltd. 707,363   6,436  
  Mochida Pharmaceutical Co. Ltd. 159,522   6,422  
  Nomura Co. Ltd. 480,980   6,373  
  Kandenko Co. Ltd. 661,668   6,342  
  JINS Holdings Inc. 93,609   6,326  
  Showa Corp. 304,497   6,310  
  Nihon Parkerizing Co. Ltd. 590,207   6,296  
  Menicon Co. Ltd. 150,413   6,295  
^ Daio Paper Corp. 459,454   6,263  
  Toei Co. Ltd. 42,057   6,263  
  Toshiba TEC Corp. 151,801   6,263  
  Keihin Corp. 267,628   6,251  
  Mirait Holdings Corp. 413,414   6,248  
  Taikisha Ltd. 175,718   6,234  
  Trusco Nakayama Corp. 242,147   6,195  
  Mandom Corp. 224,201   6,129  
  Kusuri no Aoki Holdings Co. Ltd. 97,704   6,118  
  Okumura Corp. 221,680   6,094  
  H2O Retailing Corp. 545,151   6,094  
  Toyota Boshoku Corp. 377,598   6,063  
  EDION Corp. 545,623   6,059  
  Central Glass Co. Ltd. 246,661   6,023  

 

29

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Tokai Rika Co. Ltd. 308,587   6,014  
  Hanwa Co. Ltd. 229,364   6,002  
  Megmilk Snow Brand Co. Ltd. 262,216   5,971  
  Kiyo Bank Ltd. 392,816   5,933  
  Japan Material Co. Ltd. 355,890   5,894  
  Fuji Seal International Inc. 265,230   5,883  
  Makino Milling Machine Co. Ltd. 128,840   5,854  
  DTS Corp. 251,734   5,847  
  Autobacs Seven Co. Ltd. 371,157   5,845  
  Heiwa Real Estate Co. Ltd. 212,296   5,839  
  Maruha Nichiro Corp. 225,584   5,775  
  Toyo Ink SC Holdings Co. Ltd. 235,333   5,707  
  Japan Lifeline Co. Ltd. 416,477   5,667  
  Asahi Holdings Inc. 228,424   5,666  
  CKD Corp. 340,989   5,658  
  San-In Godo Bank Ltd. 926,503   5,652  
  Japan Aviation Electronics Industry Ltd. 278,613   5,621  
  Kumiai Chemical Industry Co. Ltd. 612,799   5,607  
  HIS Co. Ltd. 193,764   5,560  
  Takuma Co. Ltd. 461,548   5,521  
  Senko Group Holdings Co. Ltd. 647,369   5,515  
  Fuji Kyuko Co. Ltd. 142,387   5,506  
  Tokyo Dome Corp. 552,586   5,504  
  Meidensha Corp. 248,529   5,480  
  DCM Holdings Co. Ltd. 559,748   5,452  
  Orient Corp. 3,611,944   5,448  
  Ichibanya Co. Ltd. 103,172   5,446  
  Yamato Kogyo Co. Ltd. 217,115   5,436  
  Kissei Pharmaceutical Co. Ltd. 190,670   5,417  
  Iriso Electronics Co. Ltd. 122,577   5,400  
  Paramount Bed Holdings Co. Ltd. 129,714   5,396  
  Itoham Yonekyu Holdings Inc. 837,088   5,395  
  Takara Bio Inc. 283,512   5,341  
  Hokkaido Electric Power Co. Inc. 1,095,420   5,325  
  Sumitomo Mitsui Construction Co. Ltd. 917,568   5,313  
  Ogaki Kyoritsu Bank Ltd. 244,269   5,312  
  Takara Standard Co. Ltd. 292,021   5,257  
  Elecom Co. Ltd. 129,439   5,236  
  Ichigo Inc. 1,240,209   5,222  
  Okamura Corp. 510,909   5,191  
*,^ Suruga Bank Ltd. 1,138,019   5,172  
^ Zojirushi Corp. 273,177   5,125  
  Japan Petroleum Exploration Co. Ltd. 190,005   5,117  
  Macnica Fuji Electronics Holdings Inc. 296,898   5,077  
  Nisshin Oillio Group Ltd. 146,339   5,068  
  Japan Elevator Service Holdings Co. Ltd. 201,600   5,061  
  San-A Co. Ltd. 113,083   5,033  
  Matsui Securities Co. Ltd. 634,450   5,032  
  Okinawa Electric Power Co. Inc. 266,464   5,000  
  Juroku Bank Ltd. 213,368   4,999  
  Awa Bank Ltd. 224,055   4,996  
  Fuji Soft Inc. 128,978   4,967  
  NEC Networks & System Integration Corp. 139,793   4,951  
  Nanto Bank Ltd. 195,159   4,951  
  GungHo Online Entertainment Inc. 233,660   4,950  
  Valor Holdings Co. Ltd. 252,809   4,938  
  Max Co. Ltd. 246,201   4,930  
  Nachi-Fujikoshi Corp. 112,985   4,930  
  Nikkiso Co. Ltd. 375,546   4,922  
  Noevir Holdings Co. Ltd. 92,117   4,917  
  Totetsu Kogyo Co. Ltd. 169,437   4,914  
  Shinko Electric Industries Co. Ltd. 413,497   4,879  
  Joyful Honda Co. Ltd. 383,085   4,877  
  Create Restaurants Holdings Inc. 284,424   4,877  

 

30

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares

 

Market
Value
($000

)
  Kadokawa Corp. 255,118   4,877  
  Atom Corp. 520,825   4,855  
  Hokkoku Bank Ltd. 153,352   4,852  
  Nissin Kogyo Co. Ltd. 239,458   4,849  
  Prestige International Inc. 535,328   4,833  
  KH Neochem Co. Ltd. 223,077   4,757  
  Nippon Signal Company Ltd. 356,941   4,754  
  Starts Corp. Inc. 186,840   4,754  
  Kobe Bussan Co. Ltd. 136,796   4,706  
*,^ Leopalace21 Corp. 1,439,941   4,683  
  Kanamoto Co. Ltd. 181,931   4,680  
  Internet Initiative Japan Inc. 173,328   4,671  
  United Arrows Ltd. 162,833   4,611  
  Nippon Soda Co. Ltd. 171,022   4,608  
  Nippon Flour Mills Co. Ltd. 296,704   4,584  
  Gunze Ltd. 102,603   4,583  
  Seiko Holdings Corp. 171,046   4,561  
  Sumitomo Warehouse Co. Ltd. 339,012   4,546  
  FCC Co. Ltd. 210,160   4,546  
  Shinmaywa Industries Ltd. 333,539   4,524  
  Bank of Okinawa Ltd. 134,751   4,522  
  ZERIA Pharmaceutical Co. Ltd. 234,671   4,508  
  Nippon Seiki Co. Ltd. 274,901   4,498  
  Arcs Co. Ltd. 213,219   4,480  
  Descente Ltd. 237,837   4,479  
  Nippon Steel Trading Corp. 92,108   4,458  
  Transcosmos Inc. 162,291   4,410  
  Hosiden Corp. 348,891   4,408  
  Funai Soken Holdings Inc. 194,432   4,399  
  Strike Co. Ltd. 87,432   4,394  
  Eizo Corp. 122,967   4,382  
  Showa Sangyo Co. Ltd. 153,184   4,382  
  Hogy Medical Co. Ltd. 133,675   4,361  
  Mitsubishi Logisnext Co. Ltd. 344,391   4,361  
  Nichiha Corp. 177,814   4,358  
  Hokuetsu Corp. 847,343   4,356  
^ Aruhi Corp. 211,613   4,345  
  Sato Holdings Corp. 138,152   4,325  
  Nippon Densetsu Kogyo Co. Ltd. 209,807   4,318  
* Aiful Corp. 1,859,344   4,308  
  OBIC Business Consultants Co. Ltd. 90,532   4,256  
  Kato Sangyo Co. Ltd. 129,734   4,251  
  Towa Pharmaceutical Co. Ltd. 163,585   4,251  
  Earth Corp. 81,391   4,249  
  Taiyo Holdings Co. Ltd. 104,299   4,243  
  Koshidaka Holdings Co. Ltd. 280,689   4,241  
  Nojima Corp. 203,614   4,240  
  Exedy Corp. 187,151   4,234  
  Shima Seiki Manufacturing Ltd. 181,717   4,218  
  Topre Corp. 261,046   4,207  
  MOS Food Services Inc. 151,940   4,199  
  Anicom Holdings Inc. 124,324   4,194  
  BayCurrent Consulting Inc. 82,148   4,194  
  Prima Meat Packers Ltd. 180,140   4,184  
  Mitsubishi Pencil Co. Ltd. 277,696   4,154  
  Sanken Electric Co. Ltd. 135,861   4,154  
  TKC Corp. 86,924   4,137  
  JCU Corp. 139,281   4,114  
  Fuji Media Holdings Inc. 289,587   4,112  
  Keiyo Bank Ltd. 712,137   4,103  
  Giken Ltd. 88,532   4,073  
  Yamazen Corp. 407,423   4,057  
  Japan Wool Textile Co. Ltd. 392,337   4,052  
  Tokyo Steel Manufacturing Co. Ltd. 560,054   4,047  

 

31

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares

 

Market
Value
($000

)
Raito Kogyo Co. Ltd. 279,844   4,045  
  Seiren Co. Ltd. 279,976   4,025  
  Tokai Tokyo Financial Holdings Inc. 1,348,416   4,022  
  Hyakugo Bank Ltd. 1,266,352   4,019  
  Morita Holdings Corp. 241,722   4,010  
  Daihen Corp. 121,671   4,008  
  Inabata & Co. Ltd. 267,033   3,989  
  Adastria Co. Ltd. 175,249   3,988  
  Maruwa Co. Ltd. 51,144   3,956  
  Jaccs Co. Ltd. 154,321   3,948  
  UACJ Corp. 173,583   3,945  
  KOMEDA Holdings Co. Ltd. 201,616   3,932  
  ASKUL Corp. 130,059   3,926  
  Onward Holdings Co. Ltd. 657,135   3,920  
  KYORIN Holdings Inc. 224,539   3,913  
  Ohsho Food Service Corp. 65,628   3,909  
^ Nichicon Corp. 374,375   3,888  
  Pacific Industrial Co. Ltd. 285,238   3,885  
  Hitachi Zosen Corp. 1,030,738   3,882  
  Round One Corp. 401,258   3,880  
  Aeon Delight Co. Ltd. 107,920   3,875  
  Nitto Kogyo Corp. 167,177   3,874  
  Kohnan Shoji Co. Ltd. 163,394   3,838  
  Aoyama Trading Co. Ltd. 272,023   3,828  
  Toshiba Machine Co. Ltd. 141,164   3,803  
  Musashi Seimitsu Industry Co. Ltd. 277,812   3,802  
  North Pacific Bank Ltd. 1,701,866   3,792  
  Saizeriya Co. Ltd. 155,050   3,785  
  Ai Holdings Corp. 213,485   3,778  
  Kameda Seika Co. Ltd. 82,496   3,776  
  Nichi-iko Pharmaceutical Co. Ltd. 303,179   3,769  
  SAMTY Co. Ltd. 183,000   3,764  
  BML Inc. 131,181   3,763  
  Kintetsu World Express Inc. 215,772   3,749  
  San-Ai Oil Co. Ltd. 345,419   3,741  
  Komeri Co. Ltd. 173,713   3,731  
  Dip Corp. 126,047   3,723  
  Sekisui Jushi Corp. 175,820   3,711  
  Uchida Yoko Co. Ltd. 53,982   3,702  
  NichiiGakkan Co. Ltd. 244,430   3,697  
  Tokyo Broadcasting System Holdings Inc. 217,179   3,687  
  Nissan Shatai Co. Ltd. 386,599   3,683  
  Ryosan Co. Ltd. 142,427   3,668  
  Wacom Co. Ltd. 902,230   3,661  
  Kitz Corp. 517,844   3,645  
* Mitsui E&S Holdings Co. Ltd. 447,605   3,621  
^ Shoei Co. Ltd. 75,468   3,581  
  Chudenko Corp. 153,616   3,551  
  Kisoji Co. Ltd. 130,534   3,548  
  Idec Corp. 172,227   3,540  
  Okasan Securities Group Inc. 987,462   3,539  
  Financial Products Group Co. Ltd. 366,638   3,538  
  Sanki Engineering Co. Ltd. 251,206   3,538  
  Tsubaki Nakashima Co. Ltd. 242,570   3,531  
^ Royal Holdings Co. Ltd. 155,834   3,528  
  Daibiru Corp. 293,813   3,523  
  Nippon Sheet Glass Co. Ltd. 554,905   3,512  
  Eiken Chemical Co. Ltd. 189,491   3,507  
  Shibuya Corp. 125,551   3,504  
* KYB Corp. 117,899   3,496  
  Create SD Holdings Co. Ltd. 135,737   3,470  
^ Miroku Jyoho Service Co. Ltd. 115,234   3,464  
  Fuso Chemical Co. Ltd. 116,937   3,456  
  Yokowo Co. Ltd. 116,730   3,455  

 

32

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares

 

Market
Value
($000

)
  Saibu Gas Co. Ltd. 148,432   3,446  
  Nagaileben Co. Ltd. 157,256   3,444  
  Nitta Corp. 115,880   3,428  
  Hirata Corp. 53,202   3,427  
  TOMONY Holdings Inc. 902,127   3,416  
  Maxell Holdings Ltd. 252,774   3,415  
  Sakai Moving Service Co. Ltd. 53,508   3,411  
  Osaka Soda Co. Ltd. 118,486   3,407  
  Yokogawa Bridge Holdings Corp. 186,421   3,400  
  Heiwado Co. Ltd. 178,699   3,384  
  Nissin Electric Co. Ltd. 273,343   3,377  
  Noritake Co. Ltd. 78,893   3,364  
  TPR Co. Ltd. 170,723   3,353  
^ Toridoll Holdings Corp. 129,651   3,342  
  Raiznext Corp. 275,338   3,337  
  Bank of Nagoya Ltd. 106,980   3,329  
  Musashino Bank Ltd. 193,940   3,324  
  Fujimi Inc. 118,142   3,322  
  Mitsuuroko Group Holdings Co. Ltd. 279,659   3,309  
  Tocalo Co. Ltd. 321,216   3,287  
  Bell System24 Holdings Inc. 209,035   3,278  
  Yuasa Trading Co. Ltd. 96,934   3,262  
  SKY Perfect JSAT Holdings Inc. 734,903   3,258  
  Sanyo Chemical Industries Ltd. 65,725   3,248  
  Ricoh Leasing Co. Ltd. 85,611   3,228  
  Okamoto Industries Inc. 87,089   3,227  
  Arata Corp. 77,778   3,215  
  Senshu Ikeda Holdings Inc. 1,678,019   3,190  
  Solasto Corp. 271,871   3,180  
  Relia Inc. 250,030   3,176  
  Hyakujushi Bank Ltd. 160,660   3,174  
  Unipres Corp. 225,839   3,169  
  Aomori Bank Ltd. 118,514   3,169  
  T-Gaia Corp. 130,361   3,157  
  Digital Arts Inc. 61,624   3,151  
  Tsukishima Kikai Co. Ltd. 209,062   3,150  
  Zenrin Co. Ltd. 189,330   3,145  
*,^ M&A Capital Partners Co. Ltd. 77,678   3,145  
  eRex Co. Ltd. 188,092   3,132  
  Tokyu Construction Co. Ltd. 439,142   3,128  
  Yellow Hat Ltd. 175,064   3,127  
^ COLOPL Inc. 291,566   3,108  
  Yodogawa Steel Works Ltd. 166,563   3,095  
  Takeuchi Manufacturing Co. Ltd. 206,897   3,094  
  Broadleaf Co. Ltd. 505,947   3,086  
  Ryobi Ltd. 173,132   3,077  
  United Super Markets Holdings Inc. 349,389   3,076  
  Tamura Corp. 472,966   3,072  
  Dexerials Corp. 305,258   3,071  
  Kura Sushi Inc. 61,725   3,064  
  Hiday Hidaka Corp. 165,209   3,050  
  Aida Engineering Ltd. 340,900   3,049  
  Ringer Hut Co. Ltd. 131,989   3,048  
  Infocom Corp. 123,875   3,035  
  Doutor Nichires Holdings Co. Ltd. 151,991   3,017  
  Hamakyorex Co. Ltd. 92,144   3,014  
  Axial Retailing Inc. 86,337   3,011  
  Yondoshi Holdings Inc. 128,906   3,002  
  Keihanshin Building Co. Ltd. 227,749   2,989  
  Optex Group Co. Ltd. 197,901   2,983  
  Modec Inc. 123,070   2,970  
* RENOVA Inc. 275,500   2,967  
  Shizuoka Gas Co. Ltd. 342,006   2,962  
  Nohmi Bosai Ltd. 132,077   2,961  

 

33

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares

 

Market
Value
($000

)
  Token Corp. 43,700   2,945  
  MCJ Co. Ltd. 385,048   2,943  
  Chugoku Marine Paints Ltd. 308,266   2,935  
* euglena Co. Ltd. 409,635   2,932  
  Nippon Ceramic Co. Ltd. 118,031   2,921  
  Comture Corp. 136,000   2,920  
  Nippon Koei Co. Ltd. 85,789   2,914  
  Bunka Shutter Co. Ltd. 330,548   2,913  
  Star Micronics Co. Ltd. 202,966   2,912  
  Fujimori Kogyo Co. Ltd. 91,830   2,907  
  Sakata INX Corp. 267,995   2,901  
^ Siix Corp. 209,361   2,898  
  Life Corp. 121,901   2,897  
  Trancom Co. Ltd. 38,235   2,893  
  Shoei Foods Corp. 77,778   2,892  
  Argo Graphics Inc. 93,000   2,884  
  Tsugami Corp. 284,784   2,882  
  Noritz Corp. 216,455   2,881  
  S Foods Inc. 110,076   2,871  
  Yamagata Bank Ltd. 194,642   2,867  
  Mizuno Corp. 113,121   2,858  
  Computer Engineering & Consulting Ltd. 152,429   2,857  
  Piolax Inc. 147,716   2,847  
  Information Services International-Dentsu Ltd. 71,365   2,827  
  Restar Holdings Corp. 152,332   2,824  
*,^ Japan Display Inc. 3,879,237   2,823  
  Tokyotokeiba Co. Ltd. 89,143   2,822  
  Komori Corp. 273,895   2,819  
  Bank of the Ryukyus Ltd. 256,710   2,807  
  Sintokogio Ltd. 290,015   2,802  
  Belc Co. Ltd. 54,892   2,794  
  Marudai Food Co. Ltd. 133,306   2,778  
  Chofu Seisakusho Co. Ltd. 123,063   2,761  
  Toppan Forms Co. Ltd. 246,477   2,760  
  Tokai Corp. 107,010   2,757  
  Toho Bank Ltd. 1,107,625   2,751  
  Nishio Rent All Co. Ltd. 96,343   2,745  
  FULLCAST Holdings Co. Ltd. 120,648   2,739  
  S-Pool Inc. 354,485   2,736  
  Wakita & Co. Ltd. 268,194   2,730  
^ Teikoku Sen-I Co. Ltd. 125,733   2,709  
  METAWATER Co. Ltd. 67,648   2,705  
  Oiles Corp. 177,902   2,697  
  Gree Inc. 596,743   2,696  
  Konoike Transport Co. Ltd. 177,815   2,696  
  Maruzen Showa Unyu Co. Ltd. 91,927   2,696  
  Kurabo Industries Ltd. 115,947   2,688  
  Kyokuto Kaihatsu Kogyo Co. Ltd. 183,486   2,686  
  V Technology Co. Ltd. 52,972   2,685  
  Bank of Iwate Ltd. 101,632   2,679  
  Riso Kagaku Corp. 151,962   2,671  
  Maruwa Unyu Kikan Co. Ltd. 121,632   2,669  
  Joshin Denki Co. Ltd. 111,787   2,652  
^ Monex Group Inc. 1,084,086   2,652  
  Kanto Denka Kogyo Co. Ltd. 282,331   2,632  
  Plenus Co. Ltd. 146,658   2,632  
  Futaba Corp. 212,446   2,631  
  Sanyo Denki Co. Ltd. 53,402   2,629  
  Shikoku Chemicals Corp. 207,858   2,610  
  Furukawa Co. Ltd. 197,975   2,608  
  TOC Co. Ltd. 316,198   2,599  
  Fukushima Industries Corp. 69,160   2,590  
  Seikagaku Corp. 230,146   2,584  
  Organo Corp. 41,829   2,574  

 

34

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Shares

 

Market
Value
($000

)
  KFC Holdings Japan Ltd. 88,033   2,573  
*,^ Vision Inc. 154,725   2,566  
  Daikyonishikawa Corp. 330,041   2,566  
  Kyoei Steel Ltd. 131,658   2,566  
  EPS Holdings Inc. 200,443   2,545  
  Maeda Kosen Co. Ltd. 127,928   2,544  
  Pack Corp. 70,453   2,542  
  T Hasegawa Co. Ltd. 130,315   2,534  
  Futaba Industrial Co. Ltd. 360,651   2,529  
* ARTERIA Networks Corp. 155,200   2,503  
  TSI Holdings Co. Ltd. 492,605   2,496  
  JVCKenwood Corp. 997,101   2,496  
  Fukui Bank Ltd. 139,419   2,495  
  Nissha Co. Ltd. 245,193   2,494  
  World Co. Ltd. 101,500   2,493  
  Mitsui-Soko Holdings Co. Ltd. 131,931   2,484  
  Nextage Co. Ltd. 211,298   2,480  
  Daiho Corp. 94,188   2,477  
  TV Asahi Holdings Corp. 133,514   2,465  
^ Kitanotatsujin Corp. 370,468   2,461  
  Japan Securities Finance Co. Ltd. 514,995   2,458  
  Meisei Industrial Co. Ltd. 274,961   2,454  
  Aichi Steel Corp. 69,947   2,447  
*,^ Chiyoda Corp. 945,634   2,446  
  Mitsuboshi Belting Ltd. 126,981   2,440  
  Central Security Patrols Co. Ltd. 42,388   2,436  
  AOKI Holdings Inc. 235,356   2,434  
  Kaga Electronics Co. Ltd. 106,180   2,432  
  Kanematsu Electronics Ltd. 72,659   2,425  
  Ehime Bank Ltd. 224,168   2,414  
  IR Japan Holdings Ltd. 54,200   2,410  
^ Fujio Food System Co. Ltd. 145,000   2,398  
  Pressance Corp. 195,506   2,393  
  Mitsubishi Shokuhin Co. Ltd. 84,395   2,385  
  Takamatsu Construction Group Co. Ltd. 91,821   2,376  
  Yokohama Reito Co. Ltd. 259,729   2,376  
  LIXIL VIVA Corp. 132,058   2,368  
  ESPEC Corp. 115,489   2,365  
  Takara Leben Co. Ltd. 509,965   2,365  
  Itochu Enex Co. Ltd. 280,453   2,364  
  Obara Group Inc. 70,117   2,362  
  Tanseisha Co. Ltd. 195,506   2,360  
  Mitsui High-Tec Inc. 151,143   2,357  
  VT Holdings Co. Ltd. 529,643   2,351  
  Oita Bank Ltd. 92,524   2,350  
  Rorze Corp. 59,010   2,345  
  Chubu Shiryo Co. Ltd. 158,766   2,343  
  Doshisha Co. Ltd. 141,585   2,341  
  Japan Pulp & Paper Co. Ltd. 61,015   2,341  
  Ichikoh Industries Ltd. 337,849   2,338  
  Ryoyo Electro Corp. 125,436   2,326  
^ Nippon Carbon Co. Ltd. 62,236   2,325  
^ Nishimatsuya Chain Co. Ltd. 270,756   2,325  
  Matsuyafoods Holdings Co. Ltd. 55,875   2,322  
  Hokuto Corp. 127,454   2,314  
  Sodick Co. Ltd. 261,882   2,313  
  YAMABIKO Corp. 211,544   2,308  
  Tsurumi Manufacturing Co. Ltd. 123,060   2,301  
^ Monogatari Corp. 29,587   2,297  
  Riken Keiki Co. Ltd. 106,161   2,293  
  Miyazaki Bank Ltd. 91,914   2,289  
  Tosei Corp. 167,300   2,284  
  PAL GROUP Holdings Co. Ltd. 65,439   2,284  
  Dai-Dan Co. Ltd. 88,476   2,272  

 

35

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Koa Corp. 182,558   2,268  
  Dainichiseika Color & Chemicals Manufacturing Co. Ltd. 78,387   2,265  
  Shin-Etsu Polymer Co. Ltd. 222,015   2,253  
  Sumitomo Densetsu Co. Ltd. 83,377   2,241  
  Micronics Japan Co. Ltd. 198,689   2,230  
  Gakken Holdings Co. Ltd. 31,201   2,228  
^ DyDo Group Holdings Inc. 52,798   2,228  
  J-Oil Mills Inc. 56,166   2,227  
  Fujicco Co. Ltd. 124,482   2,225  
  San ju San Financial Group Inc. 138,953   2,201  
  Nissei ASB Machine Co. Ltd. 50,486   2,192  
  Bando Chemical Industries Ltd. 259,606   2,192  
  Valqua Ltd. 91,328   2,188  
  Tosho Co. Ltd. 95,227   2,185  
  Foster Electric Co. Ltd. 124,208   2,182  
^ Sourcenext Corp. 500,000   2,181  
  Konishi Co. Ltd. 154,075   2,174  
  Tokyo Kiraboshi Financial Group Inc. 156,080   2,173  
  Tachi-S Co. Ltd. 166,746   2,172  
  Macromill Inc. 226,171   2,166  
  Toyo Construction Co. Ltd. 453,042   2,166  
  Avex Inc. 187,801   2,163  
  Fujibo Holdings Inc. 66,643   2,159  
  Canon Electronics Inc. 112,099   2,155  
  Ishihara Sangyo Kaisha Ltd. 225,768   2,151  
  Tamron Co. Ltd. 93,454   2,149  
  Geo Holdings Corp. 173,253   2,137  
  Sanyo Special Steel Co. Ltd. 147,898   2,130  
  Tekken Corp. 82,587   2,129  
  Key Coffee Inc. 99,860   2,122  
  Denki Kogyo Co. Ltd. 70,966   2,118  
  Fuji Co. Ltd. 118,803   2,112  
  Okuwa Co. Ltd. 156,415   2,093  
  Okabe Co. Ltd. 248,914   2,089  
  Nippon Television Holdings Inc. 156,165   2,083  
  Tonami Holdings Co. Ltd. 41,839   2,073  
  Press Kogyo Co. Ltd. 521,117   2,072  
  Akita Bank Ltd. 102,233   2,071  
  Nippon Road Co. Ltd. 33,004   2,064  
  Torii Pharmaceutical Co. Ltd. 73,652   2,062  
  Sinko Industries Ltd. 117,539   2,060  
  Cybozu Inc. 151,766   2,058  
  Takasago International Corp. 88,228   2,057  
  Sogo Medical Holdings Co. Ltd. 111,486   2,052  
  Pacific Metals Co. Ltd. 87,521   2,042  
  Yamanashi Chuo Bank Ltd. 191,338   2,042  
  Qol Holdings Co. Ltd. 146,199   2,040  
^ ValueCommerce Co. Ltd. 95,200   2,039  
  Enplas Corp. 62,043   2,034  
  Sun Frontier Fudousan Co. Ltd. 169,691   2,031  
  Sinfonia Technology Co. Ltd. 161,258   2,028  
  Mitsui Sugar Co. Ltd. 96,861   2,022  
  Sumitomo Riko Co. Ltd. 223,579   2,017  
  LIFULL Co. Ltd. 396,216   2,015  
  G-Tekt Corp. 126,680   2,013  
  Daito Pharmaceutical Co. Ltd. 69,122   2,009  
  Insource Co. Ltd. 62,200   2,008  
  Chiyoda Co. Ltd. 136,064   2,003  
  Sakai Chemical Industry Co. Ltd. 86,940   1,982  
  Hibiya Engineering Ltd. 109,300   1,982  
  Shikoku Bank Ltd. 207,990   1,977  
  Taihei Dengyo Kaisha Ltd. 93,527   1,975  
  Sanyo Electric Railway Co. Ltd. 98,314   1,974  
  eGuarantee Inc. 171,500   1,971  

 

36

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Vital KSK Holdings Inc. 204,325   1,962  
  Nippon Kanzai Co. Ltd. 108,061   1,956  
  Kappa Create Co. Ltd. 140,923   1,952  
  Topy Industries Ltd. 105,891   1,949  
  Inageya Co. Ltd. 142,032   1,948  
  Riken Corp. 51,079   1,946  
  Mie Kotsu Group Holdings Inc. 343,943   1,945  
  Starzen Co. Ltd. 47,866   1,936  
  Tokushu Tokai Paper Co. Ltd. 52,171   1,936  
  Nippon Thompson Co. Ltd. 410,338   1,935  
^ J Trust Co. Ltd. 491,937   1,928  
  Anest Iwata Corp. 200,043   1,925  
  EM Systems Co. Ltd. 215,000   1,920  
  Tachibana Eletech Co. Ltd. 112,500   1,913  
  Kintetsu Department Store Co. Ltd. 53,866   1,909  
* Optim Corp. 60,474   1,903  
  Zuken Inc. 83,604   1,903  
  Hioki EE Corp. 54,691   1,898  
  Union Tool Co. 61,015   1,894  
  Daiichi Jitsugyo Co. Ltd. 53,891   1,893  
  CMK Corp. 308,746   1,892  
  IDOM Inc. 327,281   1,881  
  Matsuya Co. Ltd. 234,386   1,877  
  Belluna Co. Ltd. 287,877   1,873  
  Megachips Corp. 109,320   1,873  
  Nippon Chemi-Con Corp. 98,163   1,871  
  Goldcrest Co. Ltd. 97,767   1,865  
  Sankyo Tateyama Inc. 166,294   1,861  
  Aichi Bank Ltd. 54,304   1,860  
  Arcland Sakamoto Co. Ltd. 162,985   1,857  
  Kenko Mayonnaise Co. Ltd. 82,099   1,849  
  Asahi Diamond Industrial Co. Ltd. 314,535   1,846  
  Nippon Yakin Kogyo Co. Ltd. 86,857   1,844  
  Oyo Corp. 131,904   1,840  
  Daido Metal Co. Ltd. 261,997   1,826  
* Istyle Inc. 305,276   1,825  
  Riso Kyoiku Co. Ltd. 515,700   1,824  
  St. Marc Holdings Co. Ltd. 85,332   1,822  
  Furuno Electric Co. Ltd. 147,635   1,817  
  Tayca Corp. 102,572   1,814  
  Future Corp. 109,370   1,813  
  LEC Inc. 147,956   1,794  
  Fixstars Corp. 125,600   1,790  
  Denyo Co. Ltd. 93,601   1,773  
^ Yamashin-Filter Corp. 225,526   1,773  
  SBS Holdings Inc. 101,700   1,765  
  Riken Vitamin Co. Ltd. 46,030   1,762  
  Hosokawa Micron Corp. 40,942   1,753  
*,^ RPA Holdings Inc. 164,847   1,752  
^ Kamakura Shinsho Ltd. 110,700   1,748  
  Intage Holdings Inc. 204,553   1,746  
  Toyo Tanso Co. Ltd. 84,216   1,743  
  Sumitomo Seika Chemicals Co. Ltd. 53,795   1,741  
  Rheon Automatic Machinery Co. Ltd. 120,861   1,739  
^ Kyosan Electric Manufacturing Co. Ltd. 304,128   1,737  
  Daiwa Industries Ltd. 156,434   1,735  
^ Akatsuki Inc. 32,221   1,727  
  SWCC Showa Holdings Co. Ltd. 126,696   1,726  
  Mimasu Semiconductor Industry Co. Ltd. 85,918   1,723  
  Sanshin Electronics Co. Ltd. 105,241   1,721  
  Stella Chemifa Corp. 58,511   1,713  
* Japan Meat Co. Ltd. 82,400   1,712  
  Neturen Co. Ltd. 208,665   1,705  
  Advan Co. Ltd. 149,072   1,702  

 

37

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Amuse Inc. 61,521   1,697  
  Ines Corp. 135,521   1,693  
  KAWADA TECHNOLOGIES Inc. 27,599   1,693  
  Toyo Corp. 136,311   1,690  
^ Toa Corp. (Tokyo) 112,010   1,684  
  Alconix Corp. 128,406   1,683  
^ Towa Corp. 156,647   1,682  
  Kamei Corp. 136,404   1,671  
  Eagle Industry Co. Ltd. 161,375   1,668  
  Noritsu Koki Co. Ltd. 120,563   1,668  
  Daiken Corp. 91,809   1,665  
  Tenma Corp. 90,018   1,664  
  Toho Titanium Co. Ltd. 194,496   1,659  
  Nittetsu Mining Co. Ltd. 35,932   1,657  
^ W-Scope Corp. 176,781   1,651  
  ZIGExN Co. Ltd. 331,800   1,650  
  OSAKA Titanium Technologies Co. Ltd. 118,003   1,650  
  Pasona Group Inc. 112,800   1,645  
  Rock Field Co. Ltd. 117,181   1,642  
  Iino Kaiun Kaisha Ltd. 483,424   1,639  
  CI Takiron Corp. 242,605   1,636  
  Honeys Holdings Co. Ltd. 99,406   1,634  
  Katakura Industries Co. Ltd. 130,938   1,634  
^ Hoosiers Holdings 249,200   1,634  
  Towa Bank Ltd. 205,216   1,631  
  Xebio Holdings Co. Ltd. 134,494   1,624  
  Dai Nippon Toryo Co. Ltd. 150,009   1,612  
  Shinko Shoji Co. Ltd. 198,182   1,607  
^ Marusan Securities Co. Ltd. 359,627   1,605  
  Tsukui Corp. 295,377   1,596  
  Shin Nippon Air Technologies Co. Ltd. 80,300   1,593  
  Alpen Co. Ltd. 96,650   1,572  
  Toenec Corp. 44,324   1,568  
* Poletowin Pitcrew Holdings Inc. 176,500   1,567  
^ Optorun Co. Ltd. 57,406   1,566  
  Yorozu Corp. 116,628   1,566  
  CONEXIO Corp. 105,239   1,565  
  RS Technologies Co. Ltd. 45,054   1,565  
^ PIA Corp. 35,338   1,551  
  Itochu-Shokuhin Co. Ltd. 32,290   1,550  
  OPT Holding Inc. 100,978   1,547  
  Arcland Service Holdings Co. Ltd. 89,399   1,542  
  Shindengen Electric Manufacturing Co. Ltd. 44,378   1,541  
  GLOBERIDE Inc. 61,800   1,539  
  OSJB Holdings Corp. 619,161   1,535  
  JAC Recruitment Co. Ltd. 86,248   1,532  
  Nichiden Corp. 80,475   1,532  
  Osaki Electric Co. Ltd. 241,982   1,523  
  Teikoku Electric Manufacturing Co. Ltd. 114,854   1,523  
  Shinwa Co. Ltd. 69,629   1,520  
  Iseki & Co. Ltd. 99,757   1,519  
^ Sanoh Industrial Co. Ltd. 131,782   1,517  
  Mitsubishi Research Institute Inc. 38,138   1,506  
  Mitsuba Corp. 221,871   1,505  
^ Sumida Corp. 127,576   1,498  
  Gurunavi Inc. 167,564   1,491  
  Toho Zinc Co. Ltd. 78,898   1,488  
  Parco Co. Ltd. 87,711   1,482  
^ BRONCO BILLY Co. Ltd. 57,887   1,478  
  Nihon Chouzai Co. Ltd. 41,948   1,470  
^ Link And Motivation Inc. 252,897   1,469  
  Kanagawa Chuo Kotsu Co. Ltd. 39,216   1,466  
  Komtasu Matere Co. Ltd. 196,162   1,464  
  Cosel Co. Ltd. 135,886   1,461  

 

38

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Yurtec Corp. 231,338   1,459  
  Roland DG Corp. 73,229   1,459  
  Aisan Industry Co. Ltd. 202,476   1,459  
  Moriroku Holdings Co. Ltd. 66,700   1,459  
  Nitto Kohki Co. Ltd. 67,614   1,452  
  Riken Technos Corp. 295,700   1,451  
^ ES-Con Japan Ltd. 168,800   1,449  
  Cawachi Ltd. 71,475   1,448  
  Godo Steel Ltd. 56,079   1,445  
  Arakawa Chemical Industries Ltd. 96,278   1,444  
  Kyokuyo Co. Ltd. 54,708   1,443  
  Icom Inc. 57,905   1,442  
  Nihon Tokushu Toryo Co. Ltd. 104,572   1,441  
*,^ BrainPad Inc. 28,319   1,434  
  Shinnihon Corp. 166,590   1,433  
  Elan Corp. 97,400   1,430  
  ASKA Pharmaceutical Co. Ltd. 124,152   1,430  
  Japan Transcity Corp. 282,857   1,423  
  Sagami Holdings Corp. 113,561   1,420  
  Fukuda Corp. 31,600   1,419  
  JDC Corp. 230,200   1,417  
  Juki Corp. 176,129   1,412  
  Feed One Co. Ltd. 822,491   1,407  
*,^ KLab Inc. 187,918   1,398  
  Krosaki Harima Corp. 23,787   1,396  
  Kurimoto Ltd. 70,113   1,394  
  Toa Corp. 132,225   1,392  
  Keiyo Co. Ltd. 264,524   1,387  
  NS United Kaiun Kaisha Ltd. 67,215   1,379  
  FIDEA Holdings Co. Ltd. 1,083,754   1,378  
^ YAKUODO Holdings Co. Ltd. 61,620   1,376  
  GCA Corp. 149,558   1,375  
  Nissin Sugar Co. Ltd. 74,500   1,371  
^ Yonex Co. Ltd. 216,078   1,366  
  Chukyo Bank Ltd. 66,715   1,360  
  Nagatanien Holdings Co. Ltd. 67,548   1,357  
  Hochiki Corp. 84,124   1,353  
* Vector Inc. 139,008   1,352  
  Chiyoda Integre Co. Ltd. 64,427   1,351  
§ Misawa Homes Co. Ltd. 122,538   1,348  
  Achilles Corp. 80,825   1,345  
  Michinoku Bank Ltd. 97,413   1,335  
  Kanaden Corp. 106,133   1,330  
  Kyodo Printing Co. Ltd. 48,676   1,326  
  Sparx Group Co. Ltd. 577,400   1,323  
  Nippon Beet Sugar Manufacturing Co. Ltd. 70,822   1,320  
  Fukui Computer Holdings Inc. 40,720   1,320  
  Nichiban Co. Ltd. 77,374   1,316  
  WATAMI Co. Ltd. 110,567   1,313  
  Tochigi Bank Ltd. 609,057   1,308  
  Koatsu Gas Kogyo Co. Ltd. 158,129   1,283  
  Marvelous Inc. 190,997   1,273  
  Kasai Kogyo Co. Ltd. 162,017   1,271  
  Halows Co. Ltd. 51,651   1,270  
  K&O Energy Group Inc. 85,018   1,270  
  Nippon Parking Development Co. Ltd. 890,781   1,264  
  Warabeya Nichiyo Holdings Co. Ltd. 78,996   1,264  
  Hodogaya Chemical Co. Ltd. 32,715   1,260  
  Chori Co. Ltd. 61,953   1,257  
  Onoken Co. Ltd. 96,315   1,251  
  Hisaka Works Ltd. 134,936   1,245  
  Yushin Precision Equipment Co. Ltd. 133,733   1,240  
  Ichiyoshi Securities Co. Ltd. 209,794   1,232  
  JSP Corp. 68,636   1,230  

 

39

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Shimizu Bank Ltd. 61,677   1,226  
  Itoki Corp. 249,460   1,223  
  Aeon Fantasy Co. Ltd. 45,544   1,221  
  Melco Holdings Inc. 42,343   1,203  
* Sanden Holdings Corp. 155,818   1,202  
  NEC Capital Solutions Ltd. 52,437   1,200  
  Ryoden Corp. 79,074   1,198  
  Fujita Kanko Inc. 46,051   1,194  
  Trust Tech Inc. 102,650   1,192  
  WDB Holdings Co. Ltd. 48,104   1,187  
^ Taki Chemical Co. Ltd. 27,700   1,185  
  Aiphone Co. Ltd. 69,885   1,180  
  Nihon Trim Co. Ltd. 27,300   1,179  
^ Dai-ichi Seiko Co. Ltd. 48,835   1,178  
  Nihon Nohyaku Co. Ltd. 221,855   1,178  
  Shibusawa Warehouse Co. Ltd. 53,891   1,169  
  Rokko Butter Co. Ltd. 74,125   1,167  
  Jimoto Holdings Inc. 1,117,156   1,165  
^ Fujiya Co. Ltd. 59,519   1,160  
  Nissin Corp. 66,345   1,152  
  ASAHI YUKIZAI Corp. 70,351   1,148  
  Happinet Corp. 88,793   1,147  
  Fuji Pharma Co. Ltd. 93,814   1,147  
^ YA-MAN Ltd. 170,677   1,142  
*,^ Change Inc. 43,000   1,141  
  Evolable Asia Corp. 62,644   1,141  
  Sankyo Seiko Co. Ltd. 208,137   1,141  
  Yahagi Construction Co. Ltd. 150,623   1,138  
  Hokkan Holdings Ltd. 59,403   1,136  
* Nippon Sharyo Ltd. 38,211   1,134  
  Meiko Network Japan Co. Ltd. 119,294   1,130  
  MTI Ltd. 172,309   1,127  
  Nisso Corp. 109,300   1,117  
  Tsukuba Bank Ltd. 509,982   1,115  
  Fudo Tetra Corp. 70,353   1,108  
  Torishima Pump Manufacturing Co. Ltd. 131,828   1,107  
  Kansai Super Market Ltd. 115,032   1,107  
  Sekisui Plastics Co. Ltd. 145,260   1,100  
  Bank of Saga Ltd. 68,753   1,099  
  Industrial & Infrastructure Fund Investment Corp. 719   1,097  
* Unitika Ltd. 318,800   1,095  
  Toyo Kanetsu KK 49,790   1,093  
*,^ Open Door Inc. 76,284   1,092  
  France Bed Holdings Co. Ltd. 123,300   1,091  
* Gunosy Inc. 79,800   1,088  
  Tatsuta Electric Wire and Cable Co. Ltd. 194,859   1,078  
  CAC Holdings Corp. 74,880   1,074  
  Hokkaido Gas Co. Ltd. 70,006   1,074  
^ Kourakuen Holdings Corp. 56,133   1,068  
  Elematec Corp. 101,020   1,066  
  F@N Communications Inc. 241,371   1,063  
  CTS Co. Ltd. 148,973   1,057  
  Kitagawa Corp. 47,870   1,054  
  PC Depot Corp. 207,140   1,051  
  Softbank Technology Corp. 57,000   1,051  
  Maezawa Kyuso Industries Co. Ltd. 51,364   1,046  
* Nippon Denko Co. Ltd. 657,617   1,045  
  Central Sports Co. Ltd. 35,454   1,039  
  Aichi Corp. 152,505   1,039  
  Tokyo Rakutenchi Co. Ltd. 17,452   1,037  
  JP-Holdings Inc. 360,632   1,037  
  Pronexus Inc. 87,917   1,032  
* Akebono Brake Industry Co. Ltd. 463,971   1,032  
  Alpha Systems Inc. 39,423   1,028  

 

40

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

   

Shares

 

Market
Value
($000

)
^ Genky DrugStores Co. Ltd. 47,951   1,023  
  Japan Best Rescue System Co. Ltd. 98,576   1,019  
  Matsuda Sangyo Co. Ltd. 68,507   1,016  
  World Holdings Co. Ltd. 57,291   1,013  
  Yushiro Chemical Industry Co. Ltd. 75,512   1,009  
  Weathernews Inc. 31,298   1,008  
  Ministop Co. Ltd. 74,666   1,005  
^ Pepper Food Service Co. Ltd. 86,702   1,000  
  Tomoku Co. Ltd. 57,494   1,000  
  ST Corp. 63,324   1,000  
  Sanei Architecture Planning Co. Ltd. 65,601   989  
  Chiba Kogyo Bank Ltd. 272,400   985  
  Sac's Bar Holdings Inc. 116,961   984  
  SRA Holdings 39,753   978  
  Toho Co. Ltd. 53,073   971  
  Mars Group Holdings Corp. 51,685   968  
  Artnature Inc. 126,227   965  
  Okura Industrial Co. Ltd. 52,159   955  
* KNT-CT Holdings Co. Ltd. 69,863   945  
  Taisei Lamick Co. Ltd. 34,917   944  
  Tokyo Electron Device Ltd. 37,824   944  
  Sinanen Holdings Co. Ltd. 50,668   942  
  Yomiuri Land Co. Ltd. 22,388   930  
^ CHIMNEY Co. Ltd. 43,432   926  
  Kato Works Co. Ltd. 61,446   923  
  Tokyo Energy & Systems Inc. 110,005   922  
*,^ Toyo Engineering Corp. 141,595   921  
  Studio Alice Co. Ltd. 52,824   920  
  Osaka Steel Co. Ltd. 67,527   919  
  Kita-Nippon Bank Ltd. 44,446   916  
  Space Value Holdings Co. Ltd. 185,821   913  
  Tsutsumi Jewelry Co. Ltd. 46,523   907  
  Kyokuto Securities Co. Ltd. 132,842   903  
  Fuso Pharmaceutical Industries Ltd. 47,835   900  
  Mitsui Matsushima Holdings Co. Ltd. 80,871   898  
* COOKPAD Inc. 274,525   895  
  CMIC Holdings Co. Ltd. 52,810   894  
  Zuiko Corp. 24,480   888  
  Daikokutenbussan Co. Ltd. 29,904   883  
  Toli Corp. 300,768   880  
  Tokyo Rope Manufacturing Co. Ltd. 73,863   877  
  Asahi Co. Ltd. 67,524   875  
  Tv Tokyo Holdings Corp. 38,913   868  
* Sanyo Shokai Ltd. 68,421   866  
* Toa Oil Co. Ltd. 38,449   858  
  Corona Corp. Class A 89,691   854  
  Seika Corp. 68,217   840  
  SMK Corp. 31,019   840  
  Hito Communications Holdings Inc. 60,129   837  
  Maezawa Kasei Industries Co. Ltd. 75,258   833  
  Kitano Construction Corp. 34,691   832  
  Daisyo Corp. 53,616   827  
  Wellnet Corp. 119,543   814  
  Japan Cash Machine Co. Ltd. 97,177   800  
^ Tokyo Individualized Educational Institute Inc. 121,387   793  
  Fujikura Kasei Co. Ltd. 146,878   790  
  Chuo Spring Co. Ltd. 27,263   786  
  Jamco Corp. 59,211   785  
  Wowow Inc. 30,633   777  
  Chuetsu Pulp & Paper Co. Ltd. 50,703   773  
  Hakuto Co. Ltd. 61,962   771  
  Kojima Co. Ltd. 151,201   728  
  Namura Shipbuilding Co. Ltd. 297,620   725  
*,^ Medical Data Vision Co. Ltd. 88,908   717  

 

41

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

   

Shares

 

Market

Value

($000

)
  Shin Nippon Biomedical Laboratories Ltd. 124,229   716  
  Mitsubishi Paper Mills Ltd. 160,325   715  
  Fujitsu Frontech Ltd. 56,915   709  
* FDK Corp. 84,263   709  
  Takamiya Co. Ltd. 109,775   705  
  Mitsubishi Steel Manufacturing Co. Ltd. 71,138   702  
  Shimojima Co. Ltd. 63,984   697  
  Cleanup Corp. 104,814   685  
  Takaoka Toko Co. Ltd. 62,022   679  
  Inaba Seisakusho Co. Ltd. 51,448   677  
  Daikoku Denki Co. Ltd. 43,834   661  
  Gun-Ei Chemical Industry Co. Ltd. 27,199   648  
^ Ateam Inc. 64,415   646  
  T RAD Co. Ltd. 34,134   642  
^ Ohara Inc. 47,987   641  
* Remixpoint Inc. 369,749   626  
  Gecoss Corp. 61,164   621  
  Nihon Yamamura Glass Co. Ltd. 51,470   620  
  Taiho Kogyo Co. Ltd. 77,263   616  
  Atsugi Co. Ltd. 76,668   598  
  Nippon Coke & Engineering Co. Ltd. 787,278   584  
  Linical Co. Ltd. 56,843   583  
  Sumitomo Precision Products Co. Ltd. 18,050   560  
  Takihyo Co. Ltd. 32,385   556  
  Nakayama Steel Works Ltd. 107,585   537  
* Funai Electric Co. Ltd. 82,615   533  
  Fuji Oil Co. Ltd. 237,736   530  
* Tokyo Base Co. Ltd. 93,810   523  
  Airport Facilities Co. Ltd. 101,608   517  
  Fields Corp. 82,878   493  
* Aplus Financial Co. Ltd. 596,261   479  
*,^ Tateru Inc. 186,055   362  
^ Right On Co. Ltd. 63,885   352  
  Paris Miki Holdings Inc. 120,822   349  
*,^ Laox Co. Ltd. 137,705   337  
  Retail Partners Co. Ltd. 10,525   87  
    27,137,338  
Netherlands (3.1%)  
  ASML Holding NV 2,525,552   747,710  
  Unilever NV 9,158,519   525,616  
  ING Groep NV 24,593,790   295,678  
  Koninklijke Philips NV 5,700,868   278,681  
* Prosus NV 2,591,068   193,921  
  Koninklijke Ahold Delhaize NV 6,451,131   161,746  
  Heineken NV 1,487,273   158,734  
  Koninklijke DSM NV 1,108,575   144,942  
*,2 Adyen NV 166,545   137,000  
  Akzo Nobel NV 1,320,531   134,858  
  Unibail-Rodamco-Westfield 849,882   134,141  
  Wolters Kluwer NV 1,666,534   121,683  
  NN Group NV 2,128,771   80,942  
  ArcelorMittal 3,796,304   66,890  
*,^ Galapagos NV 314,604   65,516  
  Heineken Holding NV 667,523   64,879  
  Koninklijke KPN NV 20,885,077   61,807  
  Aegon NV (XAMS) 10,687,034   48,921  
2 ABN AMRO Bank NV 2,616,651   47,692  
  Randstad NV 695,345   42,608  
  ASM International NV 305,661   34,501  
  ASR Nederland NV 872,407   32,694  
  IMCD NV 331,644   29,038  
  Aalberts NV 602,909   27,136  
2 Signify NV 793,010   24,820  
* Altice Europe NV 3,547,638   22,973  

 

42

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

   

Shares

 

Market

Value

($000

)
  Koninklijke Vopak NV 419,068   22,772  
*,^,2 Takeaway.com NV 242,670   22,432  
  SBM Offshore NV 1,031,113   19,264  
  BE Semiconductor Industries NV 449,843   17,464  
  TKH Group NV 264,490   14,865  
^ Boskalis Westminster 517,908   13,271  
* OCI NV 608,046   12,873  
  Corbion NV 373,679   11,790  
2 Intertrust NV 560,449   10,899  
  Arcadis NV 447,793   10,485  
  APERAM SA 298,024   9,573  
2 GrandVision NV 306,338   9,421  
^ Eurocommercial Properties NV 301,104   8,435  
*,2 Basic-Fit NV 216,137   8,237  
  PostNL NV 2,929,397   6,629  
  Sligro Food Group NV 218,175   5,881  
^ Wereldhave NV 255,124   5,765  
*,^ Fugro NV 498,010   5,615  
  NSI NV 113,021   5,505  
^ AMG Advanced Metallurgical Group NV 191,276   4,695  
  TomTom NV 435,414   4,609  
  Koninklijke BAM Groep NV 1,511,168   4,573  
2 Flow Traders 174,289   4,210  
  Koninklijke Volkerwessels NV 153,583   3,785  
  Accell Group NV 129,692   3,759  
  Vastned Retail NV 108,537   3,256  
2 NIBC Holding NV 241,574   2,044  
  Aegon NV (XNYS) 405,926   1,839  
* Altice Europe NV Class B 280,197   1,799  
2 B&S Group Sarl 151,752   1,633  
  ForFarmers NV 228,864   1,474  
^ Brunel International NV 125,543   1,272  
    3,945,251  
New Zealand (0.3%)  
  Fisher & Paykel Healthcare Corp. Ltd. 3,575,300   53,508  
* a2 Milk Co. Ltd. 4,585,227   46,427  
  Auckland International Airport Ltd. 5,932,375   34,968  
  Spark New Zealand Ltd. 11,580,885   33,770  
  Ryman Healthcare Ltd. 2,590,921   28,476  
  Meridian Energy Ltd. 7,758,403   26,134  
  Contact Energy Ltd. 4,508,702   21,658  
  Fletcher Building Ltd. 5,273,099   18,075  
  Mercury NZ Ltd. 4,306,630   14,650  
  Mainfreight Ltd. 508,680   14,561  
  Chorus Ltd. 2,795,586   11,631  
  SKYCITY Entertainment Group Ltd. 4,239,084   11,336  
  Goodman Property Trust 7,176,384   10,731  
  Kiwi Property Group Ltd. 9,849,977   10,349  
  Infratil Ltd. 2,882,322   9,784  
  EBOS Group Ltd. 578,397   9,447  
  Summerset Group Holdings Ltd. 1,398,093   8,379  
  Precinct Properties New Zealand Ltd. 5,877,912   7,262  
  Z Energy Ltd. 2,291,196   6,781  
  Genesis Energy Ltd. 3,162,974   6,446  
  Air New Zealand Ltd. 3,132,524   6,181  
  Freightways Ltd. 923,213   5,285  
  Metlifecare Ltd. 1,081,724   4,974  
  Argosy Property Ltd. 5,142,036   4,780  
  Vital Healthcare Property Trust 2,293,821   4,358  
  Vector Ltd. 1,559,934   3,919  
* Synlait Milk Ltd. 615,907   3,690  
  Kathmandu Holdings Ltd. 1,509,311   3,396  
  Heartland Group Holdings Ltd. 2,552,624   3,182  
*,^ Pushpay Holdings Ltd. 1,102,076   2,987  

 

43

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

   

Shares

 

Market

Value

($000

)
Scales Corp. Ltd. 648,922   2,190  
  Tourism Holdings Ltd. 941,344   2,188  
* Restaurant Brands New Zealand Ltd. 196,945   1,850  
  New Zealand Refining Co. Ltd. 1,207,954   1,529  
  SKY Network Television Ltd. 2,509,932   1,202  
    436,084  
Norway (0.7%)  
  Equinor ASA 6,208,850   123,819  
  DNB ASA 6,585,283   123,230  
  Telenor ASA 4,081,009   73,155  
  Mowi ASA 2,684,770   69,807  
  Orkla ASA 4,805,032   48,727  
  Yara International ASA 1,096,600   45,689  
  Norsk Hydro ASA 8,451,049   31,426  
  Storebrand ASA 2,950,661   23,246  
  Aker BP ASA 678,523   22,269  
  TGS NOPEC Geophysical Co. ASA 730,385   22,221  
  Gjensidige Forsikring ASA 1,044,356   21,922  
  Tomra Systems ASA 683,053   21,712  
  Bakkafrost P/F 291,530   21,611  
  Subsea 7 SA 1,469,802   17,583  
2 Entra ASA 1,050,332   17,364  
* Adevinta ASA Class B 1,412,194   16,776  
  Salmar ASA 326,859   16,750  
  Schibsted ASA Class A 545,287   16,498  
  Schibsted ASA Class B 571,447   16,330  
  SpareBank 1 SR-Bank ASA 1,112,450   12,664  
  Leroy Seafood Group ASA 1,624,733   10,816  
* Norwegian Finans Holding ASA 976,609   10,591  
  SpareBank 1 SMN 831,925   9,501  
  Aker ASA 151,596   9,377  
  Veidekke ASA 687,824   9,364  
2 Scatec Solar ASA 570,684   8,102  
  Kongsberg Gruppen ASA 475,396   7,471  
  Atea ASA 508,425   7,463  
  Borregaard ASA 634,928   6,881  
  Frontline Ltd. 483,909   6,136  
* Nordic Semiconductor ASA 901,065   5,725  
  Austevoll Seafood ASA 557,190   5,713  
  Grieg Seafood ASA 339,021   5,421  
  DNO ASA 3,960,316   5,223  
*,^ Borr Drilling Ltd. 496,175   4,278  
2 Sbanken ASA 498,674   4,245  
2 BW LPG Ltd. 503,327   4,228  
2 Elkem ASA 1,493,733   4,212  
* BW Offshore Ltd. 559,422   4,200  
* PGS ASA 2,032,992   3,996  
^ Norway Royal Salmon ASA 101,268   2,758  
*,2 Aker Solutions ASA 910,948   2,573  
  Sparebank 1 Oestlandet 207,388   2,188  
  Stolt-Nielsen Ltd. 167,240   2,167  
  Wallenius Wilhelmsen ASA 617,851   1,539  
^ Ocean Yield ASA 280,471   1,535  
*,^ Norwegian Air Shuttle ASA 270,833   1,285  
*,^,2 XXL ASA 561,411   1,063  
*,^ Seadrill Ltd. 403,585   942  
* Akastor ASA 816,808   927  
  Hoegh LNG Holdings Ltd. 237,778   909  
*,§ XXL ASA Rights 61,755   16  
    913,644  
Poland (0.3%)  
  Powszechna Kasa Oszczednosci Bank Polski SA 5,348,960   48,561  
  Polski Koncern Naftowy ORLEN SA 1,947,067   44,042  
  Powszechny Zaklad Ubezpieczen SA 3,527,856   37,259  

 

44

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

   

Shares

 

Market

Value

($000

)
CD Projekt SA 392,831   28,967  
  Bank Polska Kasa Opieki SA 982,606   26,003  
* KGHM Polska Miedz SA 863,458   21,781  
  Santander Bank Polska SA 185,282   15,010  
  Grupa Lotos SA 615,915   13,586  
  Polskie Gornictwo Naftowe i Gazownictwo SA 10,998,173   12,545  
  Cyfrowy Polsat SA 1,672,663   12,297  
  LPP SA 5,282   12,280  
*,2 Dino Polska SA 303,254   11,506  
* PGE Polska Grupa Energetyczna SA 4,583,598   9,605  
* mBank SA 80,820   8,295  
* Orange Polska SA 4,092,618   7,677  
2 PLAY Communications SA 791,445   7,298  
* Bank Millennium SA 3,819,957   5,879  
  Asseco Poland SA 344,580   5,791  
*,^ AmRest Holdings SE 455,872   5,199  
  CCC SA 178,154   5,165  
  KRUK SA 102,427   4,522  
* Alior Bank SA 572,880   4,328  
^ Kernel Holding SA 326,036   3,885  
  Budimex SA 73,465   3,321  
  Bank Handlowy w Warszawie SA 205,215   2,802  
^ Eurocash SA 484,084   2,782  
* Enea SA 1,302,624   2,718  
* Tauron Polska Energia SA 5,930,406   2,559  
* Energa SA 1,268,523   2,366  
* Grupa Azoty SA 285,212   2,203  
  Jastrzebska Spolka Weglowa SA 310,348   1,751  
  Warsaw Stock Exchange 160,889   1,666  
* Ciech SA 158,367   1,656  
  PKP Cargo SA 183,352   991  
  Lubelski Wegiel Bogdanka SA 65,281   599  
    376,895  
Portugal (0.2%)  
  EDP - Energias de Portugal SA 15,919,045   69,079  
  Galp Energia SGPS SA 3,257,440   54,686  
  Jeronimo Martins SGPS SA 1,535,221   25,299  
  EDP Renovaveis SA 957,394   11,305  
  Banco Comercial Portugues SA 48,838,646   11,145  
  NOS SGPS SA 1,414,756   7,640  
  REN - Redes Energeticas Nacionais SGPS SA 2,421,464   7,391  
  Navigator Co. SA 1,575,271   6,355  
  Sonae SGPS SA 5,927,141   6,054  
  CTT-Correios de Portugal SA 953,283   3,422  
  Altri SGPS SA 431,360   2,754  
  Corticeira Amorim SGPS SA 205,428   2,609  
  Semapa-Sociedade de Investimento e Gestao 145,280   2,242  
  Mota-Engil SGPS SA 524,900   1,104  
* Banco Espirito Santo SA 10,412,510   26  
    211,111  
Singapore (1.2%)  
  DBS Group Holdings Ltd. 11,356,819   218,974  
  Oversea-Chinese Banking Corp. Ltd. 21,736,852   177,820  
  United Overseas Bank Ltd. 8,103,655   159,372  
  Singapore Telecommunications Ltd. 46,934,089   117,669  
  Keppel Corp. Ltd. 9,047,865   45,588  
  CapitaLand Ltd. 15,736,627   43,913  
  Ascendas REIT 18,479,911   40,829  
  Wilmar International Ltd. 12,241,467   37,504  
  Singapore Exchange Ltd. 5,192,880   34,201  
  Singapore Technologies Engineering Ltd. 9,639,826   28,232  
  CapitaLand Mall Trust 15,150,933   27,735  
  Genting Singapore Ltd. 36,552,948   25,031  
  Mapletree Commercial Trust 13,774,505   24,495  

 

45

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  City Developments Ltd. 2,958,064   24,075  
  CapitaLand Commercial Trust 15,788,069   23,382  
  ComfortDelGro Corp. Ltd. 12,969,558   22,948  
  Singapore Airlines Ltd. 3,215,106   21,616  
  Mapletree Logistics Trust 16,004,043   20,701  
  Venture Corp. Ltd. 1,628,240   19,643  
  UOL Group Ltd. 3,103,437   19,207  
  Mapletree Industrial Trust 9,654,456   18,672  
  Suntec REIT 12,921,762   17,689  
  Singapore Press Holdings Ltd. 10,084,683   16,336  
  SATS Ltd. 3,975,401   14,964  
  Jardine Cycle & Carriage Ltd. 618,691   13,836  
  NetLink NBN Trust 18,525,228   13,021  
  Keppel DC REIT 7,546,866   11,677  
  Mapletree North Asia Commercial Trust 13,237,483   11,430  
  Keppel REIT 12,371,132   11,416  
§ Ascott Residence Trust 11,040,705   10,918  
  Sembcorp Industries Ltd. 5,717,511   9,737  
  Frasers Logistics & Industrial Trust 10,469,210   9,652  
  Frasers Centrepoint Trust 4,477,678   9,364  
  Keppel Infrastructure Trust 22,388,694   8,988  
  Manulife US REIT 8,845,501   8,845  
  Golden Agri-Resources Ltd. 39,911,923   6,981  
  Singapore Post Ltd. 9,497,059   6,604  
  CDL Hospitality Trusts 5,003,414   6,026  
  Parkway Life REIT 2,384,930   5,887  
  Ascendas India Trust 5,013,800   5,781  
  ESR-REIT 14,383,032   5,670  
  Hutchison Port Holdings Trust 31,732,516   5,458  
  CapitaLand Retail China Trust 4,480,353   5,367  
  Olam International Ltd. 3,863,700   5,200  
* Sembcorp Marine Ltd. 5,195,977   5,111  
  Frasers Commercial Trust 4,125,951   5,095  
  OUE Commercial REIT 11,953,032   5,017  
  Starhill Global REIT 8,899,092   4,801  
  First Resources Ltd. 3,272,927   4,624  
  Raffles Medical Group Ltd. 5,723,412   4,255  
  StarHub Ltd. 3,641,616   3,843  
  AIMS APAC REIT 3,405,400   3,622  
  Wing Tai Holdings Ltd. 2,257,053   3,389  
  Cache Logistics Trust 6,353,319   3,376  
  Far East Hospitality Trust 5,751,910   3,168  
  SPH REIT 3,736,009   2,975  
  SIA Engineering Co. Ltd. 1,396,728   2,932  
  GuocoLand Ltd. 1,863,315   2,716  
  Frasers Property Ltd. 2,118,658   2,661  
  Frasers Hospitality Trust 4,810,692   2,542  
  First REIT 3,389,782   2,509  
  Sheng Siong Group Ltd. 2,719,065   2,506  
  Accordia Golf Trust 4,731,755   2,354  
  Soilbuild Business Space REIT 5,866,056   2,267  
  Lippo Malls Indonesia Retail Trust 12,911,976   2,158  
  Sabana Shari'ah Compliant Industrial REIT 6,155,301   2,105  
* Yoma Strategic Holdings Ltd. 7,479,468   1,946  
  OUE Ltd. 1,659,204   1,840  
  Thomson Medical Group Ltd. 38,593,900   1,839  
* Eagle Hospitality Trust 3,065,800   1,672  
§ Best World International Ltd. 1,646,200   1,650  
  Silverlake Axis Ltd. 5,073,661   1,548  
  Asian Pay Television Trust 9,247,949   1,161  
  Bumitama Agri Ltd. 1,820,023   1,082  
*,^,§ Hyflux Ltd. 2,817,700   440  
*,§ Noble Group Ltd. 4,883,318   294  
*,^,§ Ezra Holdings Ltd. 10,329,900   84  

 

46

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
*,§ Ezion Holdings Ltd. Warrants Exp. 04/15/2020 720,757   1  
*,^ Ezion Holdings Ltd. Warrants Exp. 04/16/2023 5,153,611    
    1,460,037  
South Korea (4.1%)  
  Samsung Electronics Co. Ltd. 27,618,509   1,330,850  
  SK Hynix Inc. 3,240,725   263,593  
  Samsung Electronics Co. Ltd. Preference Shares 4,295,587   168,180  
  NAVER Corp. 836,305   134,557  
  Samsung Electronics Co. Ltd. GDR 105,219   125,915  
*,^ Celltrion Inc. 647,394   100,920  
  Shinhan Financial Group Co. Ltd. 2,685,504   100,687  
  KB Financial Group Inc. 2,377,094   97,931  
  Hyundai Motor Co. 882,946   91,965  
  Hyundai Mobis Co. Ltd. 408,319   90,337  
  POSCO 426,679   86,728  
  LG Chem Ltd. 280,716   76,931  
  Samsung SDI Co. Ltd. 329,387   67,101  
  Kia Motors Corp. 1,611,487   61,543  
  Hana Financial Group Inc. 1,856,405   59,049  
  LG Household & Health Care Ltd. 53,967   58,622  
  KT&G Corp. 691,902   55,980  
  Samsung C&T Corp. 524,479   49,105  
  NCSoft Corp. 104,712   48,859  
  SK Holdings Co. Ltd. 208,053   46,936  
  SK Innovation Co. Ltd. 357,400   46,254  
  Kakao Corp. 323,598   42,859  
  Samsung Fire & Marine Insurance Co. Ltd. 192,480   40,466  
  LG Electronics Inc. 626,757   38,932  
^ Samsung Electro-Mechanics Co. Ltd. 347,889   37,419  
  LG Corp. 564,495   35,968  
  Woori Financial Group Inc. 3,384,787   33,889  
  Samsung SDS Co. Ltd. 199,058   33,407  
^ Amorepacific Corp. 193,810   33,377  
* Korea Electric Power Corp. 1,372,949   32,941  
*,^,2 Samsung Biologics Co. Ltd. 83,564   31,184  
* Korea Shipbuilding & Offshore Engineering Co. Ltd. 270,122   29,393  
  Woongjin Coway Co. Ltd. 351,432   28,253  
  Samsung Life Insurance Co. Ltd. 399,188   25,664  
  Korea Zinc Co. Ltd. 61,903   22,748  
*,^ HLB Inc. 214,609   21,336  
^ S-Oil Corp. 256,893   21,099  
*,^ LG Display Co. Ltd. 1,402,433   19,620  
  Hyundai Heavy Industries Holdings Co. Ltd. 65,442   19,099  
* Celltrion Healthcare Co. Ltd. 417,323   19,014  
  Lotte Chemical Corp. 92,291   17,831  
  Industrial Bank of Korea 1,706,327   17,393  
* Samsung Heavy Industries Co. Ltd. 2,731,360   17,104  
  Kangwon Land Inc. 661,098   16,912  
  Hyundai Engineering & Construction Co. Ltd. 457,423   16,687  
  SK Telecom Co. Ltd. 80,691   16,626  
  Hyundai Motor Co. 2nd Preference Shares 237,537   16,295  
* Samsung Engineering Co. Ltd. 985,129   16,280  
  Mirae Asset Daewoo Co. Ltd. 2,361,842   15,367  
  Hotel Shilla Co. Ltd. 194,254   15,183  
^ Fila Korea Ltd. 326,996   14,942  
  Korea Investment Holdings Co. Ltd. 237,717   14,846  
  LG Uplus Corp. 1,208,795   14,826  
  GS Holdings Corp. 321,199   14,330  
  Hyundai Glovis Co. Ltd. 115,246   14,220  
  E-MART Inc. 126,803   13,951  
  Hankook Tire & Technology Co. Ltd. 468,942   13,580  
  Daelim Industrial Co. Ltd. 171,096   13,385  
  DB Insurance Co. Ltd. 295,246   13,337  
^ SK Telecom Co. Ltd. ADR 576,850   13,331  

 

47

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Samsung Securities Co. Ltd. 394,927   13,153  
  Hyundai Steel Co. 475,687   12,897  
  AMOREPACIFIC Group 179,684   12,837  
  Orion Corp. 135,795   12,385  
  BNK Financial Group Inc. 1,830,723   12,101  
  Korea Aerospace Industries Ltd. 404,883   11,916  
  Yuhan Corp. 57,316   11,697  
  Hanmi Pharm Co. Ltd. 44,893   11,475  
^ Shinsegae Inc. 43,400   10,819  
  CJ CheilJedang Corp. 49,339   10,758  
  LG Innotek Co. Ltd. 87,536   10,551  
  LG Household & Health Care Ltd. Preference Shares 14,912   9,935  
  GS Engineering & Construction Corp. 368,594   9,864  
^ Hanon Systems 1,016,677   9,787  
  S-1 Corp. 119,780   9,710  
  Hyundai Motor Co. Preference Shares 150,075   9,295  
  Cheil Worldwide Inc. 433,912   9,023  
*,^ Helixmith Co. Ltd. 113,226   9,021  
  Hyundai Marine & Fire Insurance Co. Ltd. 381,213   8,873  
  NH Investment & Securities Co. Ltd. 796,975   8,718  
*,^,2 Netmarble Corp. 108,885   8,682  
  LG Chem Ltd. Preference Shares 57,765   8,629  
  Lotte Shopping Co. Ltd. 70,981   8,304  
  CJ ENM Co. Ltd. 59,691   8,229  
  Hanwha Chemical Corp. 503,410   8,184  
*,^ KMW Co. Ltd. 179,015   7,902  
  Douzone Bizon Co. Ltd. 111,957   7,826  
  Korean Air Lines Co. Ltd. 300,442   7,387  
  Kumho Petrochemical Co. Ltd. 110,111   7,364  
* Hanall Biopharma Co. Ltd. 233,576   7,288  
* Daewoo Shipbuilding & Marine Engineering Co. Ltd. 302,425   7,257  
  Medy-Tox Inc. 26,683   6,939  
^ Koh Young Technology Inc. 75,365   6,868  
  Hyundai Department Store Co. Ltd. 94,885   6,804  
^ WONIK IPS Co. Ltd. 217,470   6,736  
§ KCC Corp. 34,495   6,715  
* Hanwha Aerospace Co. Ltd. 221,445   6,698  
*,^ GemVax & Kael Co. Ltd. 201,597   6,680  
^ Hanjin Kal Corp. 186,697   6,431  
  CJ Corp. 76,416   6,372  
  Mando Corp. 207,629   6,299  
*,^ CJ Logistics Corp. 46,856   6,270  
*,^ Pearl Abyss Corp. 38,830   6,221  
  Samsung Card Co. Ltd. 186,399   6,220  
  OCI Co. Ltd. 112,887   6,100  
  Hyundai Elevator Co. Ltd. 102,852   6,063  
  Meritz Securities Co. Ltd. 1,838,711   6,011  
  Amorepacific Corp. Preference Shares 76,438   5,906  
*,^ HLB Life Science Co. Ltd. 245,114   5,883  
  DGB Financial Group Inc. 955,669   5,875  
  BGF retail Co. Ltd. 39,557   5,788  
^ POSCO Chemical Co. Ltd. 136,019   5,780  
  LG Electronics Inc. Preference Shares 233,819   5,725  
* Shinhan Financial Group Co. Ltd. ADR 148,282   5,645  
  GS Retail Co. Ltd. 165,406   5,615  
  Lotte Corp. 164,980   5,545  
  Com2uSCorp 59,381   5,506  
  Meritz Fire & Marine Insurance Co. Ltd. 354,825   5,470  
  Youngone Corp. 184,446   5,454  
  Hanwha Corp. 249,799   5,387  
  Korea Gas Corp. 164,129   5,363  
* Korea Electric Power Corp. ADR 445,959   5,276  
* Hyundai Merchant Marine Co. Ltd. 1,709,517   5,240  
  DB HiTek Co. Ltd. 219,338   5,235  

 

48

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
) 
^ SKC Co. Ltd. 118,347   5,200  
*,^ Mezzion Pharma Co. Ltd. 31,220   5,143  
  Samsung Fire & Marine Insurance Co. Ltd. Preference Shares 35,423   5,085  
  Hyundai Mipo Dockyard Co. Ltd. 126,088   5,001  
2 Orange Life Insurance Ltd. 201,468   4,916  
  Posco International Corp. 305,569   4,916  
^ KIWOOM Securities Co. Ltd. 71,781   4,914  
  Kolon Industries Inc. 113,484   4,869  
  Hite Jinro Co. Ltd. 192,380   4,814  
  Paradise Co. Ltd. 281,966   4,802  
  SK Networks Co. Ltd. 915,261   4,694  
  Hansol Chemical Co. Ltd. 51,251   4,690  
* Hugel Inc. 13,593   4,670  
* Pan Ocean Co. Ltd. 1,188,041   4,655  
  SK Materials Co. Ltd. 28,604   4,599  
* Daewoo Engineering & Construction Co. Ltd. 1,119,926   4,587  
  Korean Reinsurance Co. 580,089   4,569  
  LS Corp. 110,451   4,556  
  LS Industrial Systems Co. Ltd. 96,560   4,548  
  Eo Technics Co. Ltd. 50,617   4,518  
  KEPCO Plant Service & Engineering Co. Ltd. 133,132   4,507  
  SFA Engineering Corp. 112,769   4,504  
  Doosan Bobcat Inc. 150,950   4,483  
  JB Financial Group Co. Ltd. 919,883   4,364  
  Hyundai Wia Corp. 100,436   4,352  
  Innocean Worldwide Inc. 69,704   4,277  
*,^ SillaJen Inc. 340,708   4,264  
  HDC Hyundai Development Co-Engineering & Construction 192,136   4,248  
  LOTTE Fine Chemical Co. Ltd. 108,819   4,245  
* Genexine Co. Ltd. 78,878   4,233  
  NongShim Co. Ltd. 20,201   4,199  
*,^ Hyundai Rotem Co. Ltd. 306,941   4,131  
*,^ Doosan Infracore Co. Ltd. 856,146   4,098  
*,^ Iljin Materials Co. Ltd. 108,101   3,981  
*,^ Celltrion Pharm Inc. 115,308   3,950  
^ Kolmar Korea Co. Ltd. 94,740   3,854  
^ Soulbrain Co. Ltd. 51,995   3,800  
  F&F Co. Ltd. 39,250   3,790  
  Green Cross Corp. 33,114   3,782  
  Hyosung Corp. 54,931   3,746  
* Doosan Heavy Industries & Construction Co. Ltd. 749,924   3,706  
  Ottogi Corp. 7,730   3,705  
  Chong Kun Dang Pharmaceutical Corp. 44,250   3,698  
  JYP Entertainment Corp. 172,518   3,588  
* NHN Corp. 61,113   3,518  
  Hanwha Life Insurance Co. Ltd. 1,758,661   3,505  
*,^ SM Entertainment Co. Ltd. 105,333   3,494  
*,^ G-treeBNT Co. Ltd. 126,396   3,395  
  Hyundai Greenfood Co. Ltd. 327,534   3,350  
  Seoul Semiconductor Co. Ltd. 234,590   3,287  
  Green Cross Holdings Corp. 169,386   3,252  
^ SK Chemicals Co. Ltd. 58,172   3,221  
^ Hanssem Co. Ltd. 59,638   3,203  
  Mirae Asset Daewoo Co. Ltd. Preference Shares 894,474   3,169  
  Daewoong Pharmaceutical Co. Ltd. 26,644   3,156  
* Chabiotech Co. Ltd. 253,657   3,153  
*,^ Kumho Tire Co. Inc. 868,054   3,144  
  Ssangyong Cement Industrial Co. Ltd. 636,056   3,116  
  LEENO Industrial Inc. 55,503   3,085  
  Taekwang Industrial Co. Ltd. 3,370   3,085  
* Yungjin Pharmaceutical Co. Ltd. 540,062   3,074  
*,^ ABLBio Inc. 143,448   2,973  
  Dongsuh Cos. Inc. 197,417   2,966  
  HS Industries Co. Ltd. 286,809   2,942  

 

49

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
*,^ Komipharm International Co. Ltd. 222,475   2,919  
  Dong-A ST Co. Ltd. 28,071   2,883  
* CrystalGenomics Inc. 222,060   2,832  
* Oscotec Inc. 135,121   2,800  
^ Cosmax Inc. 40,371   2,779  
  Hanmi Science Co. ltd 83,240   2,750  
  Partron Co. Ltd. 239,406   2,728  
^ Bukwang Pharmaceutical Co. Ltd. 220,053   2,727  
  Daeduck Electronics Co. 301,842   2,724  
* Asiana Airlines Inc. 583,040   2,718  
^ Dongjin Semichem Co. Ltd. 185,654   2,686  
^ Shinsegae International Inc. 13,987   2,647  
* Medipost Co. Ltd. 87,244   2,632  
* BH Co. Ltd. 137,788   2,604  
^ SKCKOLONPI Inc. 85,604   2,582  
  Hyosung TNC Co. Ltd. 19,098   2,542  
  IS Dongseo Co. Ltd. 89,085   2,539  
  Lotte Chilsung Beverage Co. Ltd. 21,010   2,536  
^ AfreecaTV Co. Ltd. 42,596   2,535  
*,^ Studio Dragon Corp. 35,678   2,488  
* DIO Corp. 68,417   2,482  
*,^ CMG Pharmaceutical Co. Ltd. 675,393   2,473  
  Daou Technology Inc. 149,889   2,457  
  DoubleUGames Co. Ltd. 56,819   2,442  
  Hyundai Home Shopping Network Corp. 34,993   2,434  
^ Taeyoung Engineering & Construction Co. Ltd. 235,775   2,431  
*,^ Enzychem Lifesciences Corp. 40,150   2,430  
  NICE Information Service Co. Ltd. 201,633   2,430  
  Huchems Fine Chemical Corp. 132,200   2,417  
  Handsome Co. Ltd. 87,730   2,393  
  Poongsan Corp. 116,048   2,385  
*,^ Ananti Inc. 266,330   2,384  
* Amicogen Inc. 108,603   2,381  
  GS Home Shopping Inc. 18,500   2,379  
  Sam Chun Dang Pharm Co. Ltd. 77,733   2,377  
  Daesang Corp. 117,998   2,367  
*,^ Hyundai Bioscience Co. Ltd. 195,161   2,365  
*,^ Lotte Tour Development Co. Ltd. 190,297   2,351  
  CJ CGV Co. Ltd. 78,648   2,346  
*,^ Pharmicell Co. Ltd. 318,418   2,325  
  Hana Tour Service Inc. 52,769   2,324  
^ Ecopro BM Co. Ltd. 50,503   2,304  
^ Ecopro Co. Ltd. 118,872   2,299  
  NICE Holdings Co. Ltd. 126,639   2,287  
  DongKook Pharmaceutical Co. Ltd. 29,502   2,268  
*,^ Foosung Co. Ltd. 319,784   2,259  
* Seegene Inc. 85,211   2,250  
  HDC Holdings Co. Ltd. 235,933   2,245  
* Osstem Implant Co. Ltd. 60,516   2,214  
  Doosan Corp. 35,752   2,173  
  Ahnlab Inc. 38,362   2,170  
  Daishin Securities Co. Ltd. 210,142   2,167  
^ NEPES Corp. 102,684   2,127  
* KB Financial Group Inc. ADR 50,500   2,089  
^ Samwha Capacitor Co. Ltd. 45,867   2,068  
  Samyang Holdings Corp. 35,223   2,040  
  JW Pharmaceutical Corp. 79,777   2,034  
^ Advanced Process Systems Corp. 69,357   2,010  
  LOTTE Himart Co. Ltd. 73,816   1,969  
* LegoChem Biosciences Inc. 43,147   1,960  
*,^ Hyosung Advanced Materials Corp. 20,372   1,951  
  Silicon Works Co. Ltd. 56,543   1,946  
^ Hyundai Construction Equipment Co. Ltd. 75,533   1,945  
  Hanwha Corp. Preference Shares 161,307   1,917  

 

50

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Dentium Co. Ltd. 41,087   1,911  
  LG International Corp. 146,292   1,898  
*,^ Feelux Co. Ltd. 289,317   1,892  
  Grand Korea Leisure Co. Ltd. 112,307   1,887  
^ TES Co. Ltd. 87,029   1,881  
  Halla Holdings Corp. 47,325   1,880  
*,^ KH Vatec Co. Ltd. 95,038   1,879  
*,^ iNtRON Biotechnology Inc. 140,806   1,871  
* Dongkuk Steel Mill Co. Ltd. 365,345   1,870  
  Orion Holdings Corp. 120,679   1,855  
  LIG Nex1 Co. Ltd. 67,713   1,849  
^ Hanjin Transportation Co. Ltd. 71,454   1,849  
  Hankook Technology Group Co. Ltd. 146,546   1,819  
  LG Hausys Ltd. 38,365   1,815  
  Meritz Financial Group Inc. 176,704   1,801  
  Dong-A Socio Holdings Co. Ltd. 19,253   1,787  
* Innox Advanced Materials Co. Ltd. 38,573   1,784  
  L&F Co. Ltd. 94,211   1,781  
  Dongwon Industries Co. Ltd. 9,679   1,768  
  Korea Real Estate Investment & Trust Co. Ltd. 972,620   1,765  
*,^ SFA Semicon Co. Ltd. 474,580   1,764  
  Korea Petrochemical Ind Co. Ltd. 17,394   1,763  
* Sangsangin Co. Ltd. 233,930   1,752  
  LF Corp. 108,101   1,726  
  S&T Motiv Co. Ltd. 46,362   1,716  
*,^ Telcon RF Pharmaceutical Inc. 406,213   1,699  
^ Dawonsys Co. Ltd. 124,076   1,695  
* Duk San Neolux Co. Ltd. 74,443   1,689  
  Hyosung Chemical Corp. 13,518   1,688  
  Chongkundang Holdings Corp. 19,363   1,688  
  Nexen Tire Corp. 212,874   1,681  
  Young Poong Corp. 3,002   1,676  
  Huons Co. Ltd. 35,600   1,657  
  Sebang Global Battery Co. Ltd. 51,267   1,652  
  Tongyang Inc. 1,313,644   1,625  
  Kumho Industrial Co. Ltd. 163,764   1,623  
  Korea Electric Terminal Co. Ltd. 43,419   1,603  
^ Daea TI Co. Ltd. 352,743   1,592  
* Ilyang Pharmaceutical Co. Ltd. 81,595   1,590  
* Eutilex Co. Ltd. 27,473   1,589  
  Green Cross Cell Corp. 39,247   1,587  
  Mirae Asset Life Insurance Co. Ltd. 434,223   1,552  
  Binggrae Co. Ltd. 31,884   1,543  
  SL Corp. 98,389   1,543  
^ YG Entertainment Inc. 65,258   1,540  
*,^ Naturecell Co. Ltd. 269,509   1,529  
* Dongsung Pharmaceutical Co. Ltd. 110,312   1,523  
* Cafe24 Corp. 34,153   1,508  
  Jusung Engineering Co. Ltd. 212,874   1,488  
  SK Discovery Co. Ltd. 65,752   1,486  
  Daewoong Co. Ltd. 131,735   1,472  
* Webzen Inc. 104,573   1,469  
§ Caregen Co. Ltd. 22,308   1,464  
  Posco ICT Co. Ltd. 320,499   1,463  
  Hansae Co. Ltd. 97,588   1,458  
  ST Pharm Co. Ltd. 56,360   1,450  
  InBody Co. Ltd. 70,586   1,440  
* NKMax Co. Ltd. 150,840   1,404  
  Modetour Network Inc. 89,442   1,404  
  Youngone Holdings Co. Ltd. 33,272   1,387  
  Songwon Industrial Co. Ltd. 103,406   1,386  
  Jeil Pharmaceutical Co. Ltd. 44,281   1,381  
*,^ Hyundai Electric & Energy System Co. Ltd. 138,100   1,376  
*,^ Insun ENT Co. Ltd. 191,100   1,373  

 

51

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
*,^ Korea Line Corp. 68,582   1,362  
*,^ Inscobee Inc. 515,693   1,357  
  Maeil Dairies Co. Ltd. 18,234   1,356  
^ ICD Co. Ltd. 79,230   1,346  
  KEPCO Engineering & Construction Co. Inc. 76,726   1,329  
  Jeil Pharma Holdings Inc. 90,513   1,327  
  Wemade Co. Ltd. 51,776   1,327  
* Yuanta Securities Korea Co. Ltd. 531,497   1,313  
*,^ Peptron Inc. 78,086   1,311  
  iMarketKorea Inc. 146,117   1,310  
  Dongwon F&B Co. Ltd. 6,635   1,296  
* Hansol Technics Co. Ltd. 166,478   1,283  
* STCUBE 129,849   1,282  
  Hansol Paper Co. Ltd. 102,230   1,275  
^ KC Tech Co. Ltd. 63,275   1,272  
  Harim Holdings Co. Ltd. 170,253   1,259  
* Yuyang DNU Co. Ltd. 298,247   1,257  
  Cuckoo Homesys Co. Ltd. 33,678   1,254  
*,^ Aprogen pharmaceuticals Inc. 1,067,842   1,249  
* Doosan Solus Co. Ltd. 70,851   1,247  
  SK Securities Co. Ltd. 2,325,638   1,219  
* Seobu T&D 161,001   1,210  
*,^ Samsung Pharmaceutical Co. Ltd. 329,251   1,189  
  JW Holdings Corp. 215,119   1,178  
  Hanwha General Insurance Co. Ltd. 477,831   1,167  
  i-SENS Inc. 51,903   1,151  
  Namyang Dairy Products Co. Ltd. 3,014   1,146  
  Lock&Lock Co. Ltd. 92,900   1,143  
  Vieworks Co. Ltd. 41,511   1,129  
  Samchully Co. Ltd. 15,257   1,114  
  Kwang Dong Pharmaceutical Co. Ltd. 193,657   1,112  
  Hankook Shell Oil Co. Ltd. 3,941   1,099  
* Interflex Co. Ltd. 72,908   1,070  
* Anterogen Co. Ltd. 28,881   1,064  
  Hanil Cement Co. Ltd. 13,163   1,064  
*,^ Able C&C Co. Ltd. 120,276   1,060  
  SPC Samlip Co. Ltd. 13,957   1,050  
  Korea Asset In Trust Co. Ltd. 357,814   1,042  
  Lotte Confectionery Co. Ltd. 8,024   1,035  
  GOLFZON Co. Ltd. 17,230   1,024  
*,^ Neowiz 69,435   1,014  
*,^ Vidente Co. Ltd. 148,221   991  
  Huons Global Co. Ltd. 32,155   974  
*,^ Doosan Fuel Cell Co. Ltd. 128,523   974  
  Sung Kwang Bend Co. Ltd. 107,988   965  
* Wonik Holdings Co. Ltd. 202,877   956  
  KISWIRE Ltd. 53,719   953  
*,^ Binex Co. Ltd. 140,057   953  
* Hanwha Investment & Securities Co. Ltd. 525,770   936  
^ Toptec Co. Ltd. 108,069   930  
  AK Holdings Inc. 30,661   918  
  Daishin Securities Co. Ltd. Preference Shares 118,116   914  
^ Samyang Corp. 20,800   909  
*,^ Hyosung Heavy Industries Corp. 39,263   901  
* KONA I Co. Ltd. 69,825   880  
^ Youlchon Chemical Co. Ltd. 72,331   875  
* Lutronic Corp. 110,737   871  
^ Aekyung Industrial Co. Ltd. 35,249   863  
  KC Co. Ltd. 53,257   857  
  Daekyo Co. Ltd. 161,636   852  
*,^ Woongjin Thinkbig Co. Ltd. 320,566   840  
  CJ CheilJedang Corp. Preference Shares 8,902   839  
  Sungwoo Hitech Co. Ltd. 256,964   831  
^ Kyobo Securities Co. Ltd. 104,501   831  

 

52

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

  

  Shares   Market
Value
($000
)
  SK Gas Ltd. 11,341   828  
  Seah Besteel Corp. 62,744   826  
  Kolmar Korea Holdings Co. Ltd. 42,246   820  
  CJ Hello Co. Ltd. 155,972   815  
  Namhae Chemical Corp. 113,780   802  
  Dae Han Flour Mills Co. Ltd. 6,231   797  
*,^ Esmo Corp. 529,030   780  
  INTOPS Co. Ltd. 69,896   778  
^ BGF Co. Ltd. 158,022   764  
*,^ Homecast Co. Ltd. 189,088   760  
*,^ CUROCOM Co. Ltd. 479,509   756  
  Lotte Food Co. Ltd. 2,117   756  
* Lumens Co. Ltd. 284,750   756  
*,^ Gamevil Inc. 28,917   754  
  NS Shopping Co. Ltd. 91,209   745  
* Taihan Electric Wire Co. Ltd. 1,377,777   732  
* Hansol Holdings Co. Ltd. 215,181   729  
  TK Corp. 82,760   729  
  Hancom Inc. 84,391   729  
^ Dae Hwa Pharmaceutical Co. Ltd. 65,917   727  
  Eugene Investment & Securities Co. Ltd. 364,640   721  
  CJ Freshway Corp. 28,241   700  
  E1 Corp. 16,728   697  
* Eusu Holdings Co. Ltd. 120,539   693  
  SeAH Steel Holdings Corp. 16,663   683  
  Cuckoo Holdings Co. Ltd. 7,425   674  
  Kolon Corp. 43,765   663  
  KT Skylife Co. Ltd. 87,457   659  
^ Hyundai Corp. 42,262   654  
  Tongyang Life Insurance Co. Ltd. 186,940   645  
  Sindoh Co. Ltd. 20,162   642  
  Humedix Co. Ltd. 32,250   642  
  Muhak Co. Ltd. 87,541   642  
* COSON Co. Ltd. 114,038   622  
  Hyundai Livart Furniture Co. Ltd. 53,890   621  
  KISCO Corp. 143,426   586  
  DB Financial Investment Co. Ltd. 158,760   581  
  Sam Young Electronics Co. Ltd. 74,215   578  
*,^,§ Cellumed Co. Ltd. 109,221   565  
* Agabang&Company 166,714   535  
* KTB Investment & Securities Co. Ltd. 263,903   533  
  Hanil Holdings Co. Ltd. 14,061   532  
* SBS Media Holdings Co. Ltd. 292,898   517  
^ Cell Biotech Co. Ltd. 31,477   514  
  Interpark Holdings Corp. 263,661   494  
*,^ Coreana Cosmetics Co. Ltd. 148,739   492  
  S&T Dynamics Co. Ltd. 82,160   469  
  Byucksan Corp. 263,447   437  
* Taewoong Co. Ltd. 56,050   430  
*,^ Ssangyong Motor Co. 238,196   427  
  It's Hanbul Co. Ltd. 25,714   427  
  SeAH Steel Corp. 7,756   408  
*,^ GNCO Co. Ltd. 366,174   385  
* Humax Co. Ltd. 83,340   375  
*,^ Leaders Cosmetics Co. Ltd. 74,272   361  
*,^ Jenax Inc. 99,869   316  
^ COSMAX NBT Inc. 54,959   311  
  Cosmax BTI Inc 24,252   281  
* Kolon Life Science Inc. 9,844   153  
        5,156,868  
Spain (2.3%)        
  Banco Santander SA 103,722,784   434,886  
* Iberdrola SA 37,178,501   383,147  
  Banco Bilbao Vizcaya Argentaria SA 41,777,871   234,556  

 

53

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
  Industria de Diseno Textil SA 6,627,141   234,208  
  Amadeus IT Group SA 2,569,801   210,459  
  Telefonica SA 28,617,590   200,127  
* Repsol SA 8,183,054   128,558  
* Ferrovial SA 3,041,535   92,150  
2 Aena SME SA 444,008   85,125  
2 Cellnex Telecom SA 1,706,609   73,616  
^ Grifols SA 2,075,349   73,326  
  CaixaBank SA 22,677,416   71,413  
* ACS Actividades de Construccion y Servicios SA 1,505,554   60,394  
  Red Electrica Corp. SA 2,723,562   54,879  
  Endesa SA 1,999,929   53,408  
  Naturgy Energy Group SA 1,878,907   47,313  
  Banco de Sabadell SA 35,897,895   42,033  
  Enagas SA 1,568,874   40,073  
  Bankinter SA 4,348,860   31,943  
  Merlin Properties Socimi SA 2,078,828   29,880  
  Inmobiliaria Colonial Socimi SA 2,038,119   26,013  
  Siemens Gamesa Renewable Energy SA 1,415,540   24,929  
  Bolsas y Mercados Espanoles SHMSF SA 474,860   18,325  
^ Mapfre SA 6,290,479   16,680  
  Bankia SA 7,633,438   16,344  
  Acciona SA 129,531   13,657  
  Viscofan SA 247,168   13,086  
* Masmovil Ibercom SA 531,897   12,156  
  Acerinox SA 1,064,047   12,023  
  Applus Services SA 913,007   11,692  
  Ebro Foods SA 483,252   10,472  
  Faes Farma SA 1,712,890   9,640  
  Cia de Distribucion Integral Logista Holdings SA 397,365   8,963  
* Indra Sistemas SA 776,160   8,891  
  Zardoya Otis SA 1,116,617   8,793  
  CIE Automotive SA 346,692   8,228  
* Almirall SA 436,692   7,179  
  Corp. Financiera Alba SA 125,499   6,845  
  Prosegur Cia de Seguridad SA 1,619,956   6,691  
* Sacyr SA 2,107,577   6,171  
2 Euskaltel SA 600,359   6,038  
  Melia Hotels International SA 681,660   6,020  
  Mediaset Espana Comunicacion SA 937,550   5,970  
*,2 Neinor Homes SA 470,354   5,816  
* Fomento de Construcciones y Contratas SA 455,629   5,586  
  Construcciones y Auxiliar de Ferrocarriles SA 117,833   5,418  
2 Unicaja Banco SA 4,882,681   5,301  
* Fluidra SA 384,721   5,275  
* Tecnicas Reunidas SA 192,590   5,167  
2 Gestamp Automocion SA 970,172   4,678  
*,^ Pharma Mar SA 1,087,626   4,348  
*,^ Promotora de Informaciones SA 2,510,739   4,046  
* Repsol SA Rights Exp. 01/07/2020 8,317,719   3,947  
2 Prosegur Cash SA 2,332,977   3,567  
  Liberbank SA 8,540,452   3,213  
  Lar Espana Real Estate Socimi SA 398,686   3,178  
^ Ence Energia y Celulosa SA 761,340   3,144  
*,2 Aedas Homes SAU 127,692   3,073  
*,2 Global Dominion Access SA 731,069   2,995  
2 Metrovacesa SA 288,532   2,837  
  Atresmedia Corp. de Medios de Comunicacion SA 519,052   2,030  
*,^ Distribuidora Internacional de Alimentacion SA 12,612,112   1,444  
  NH Hotel Group SA 157,953   834  
  Grifols SA Preference Shares 16,999   397  
* Faes Farma SA (Interim Shares) 48,213   270  
        2,922,864  

 

54

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

  Shares   Market
Value
($000
)
Sweden (2.6%)        
  Telefonaktiebolaget LM Ericsson Class B 18,755,032   163,878  
  Investor AB Class B 2,954,231   161,283  
  Volvo AB Class B 9,455,673   158,299  
  Atlas Copco AB Class A 3,856,223   153,924  
  Assa Abloy AB Class B 5,780,194   135,115  
  Sandvik AB 6,788,334   132,219  
  Essity AB Class B 3,833,234   123,454  
  Hennes & Mauritz AB Class B 5,530,623   112,811  
  Svenska Handelsbanken AB Class A 9,199,651   99,083  
  Swedbank AB Class A 6,320,538   93,961  
  Hexagon AB Class B 1,586,470   88,924  
  Atlas Copco AB Class B 2,510,893   87,181  
  Skandinaviska Enskilda Banken AB Class A 8,935,058   83,988  
  Telia Co. AB 16,421,750   70,557  
  Swedish Match AB 1,046,594   53,917  
  Skanska AB Class B 2,248,587   50,867  
  Alfa Laval AB 1,977,797   49,809  
  Tele2 AB 3,366,811   48,866  
  Epiroc AB Class A 3,967,436   48,519  
  SKF AB 2,299,532   46,557  
  Boliden AB 1,723,872   45,784  
  Investor AB Class A 736,365   39,835  
  Castellum AB 1,692,951   39,805  
  Svenska Cellulosa AB SCA Class B 3,727,144   37,796  
  Lundin Petroleum AB 1,104,636   37,507  
  Electrolux AB Class B 1,506,205   37,028  
  Kinnevik AB 1,510,801   37,022  
  Securitas AB Class B 1,943,117   33,478  
^ Nibe Industrier AB Class B 1,883,372   32,675  
  Industrivarden AB Class A 1,271,108   31,480  
  Elekta AB Class B 2,255,356   29,755  
* Fastighets AB Balder Class B 608,748   28,173  
  Fabege AB 1,662,129   27,610  
  Epiroc AB Class B 2,311,909   27,476  
  Trelleborg AB Class B 1,521,777   27,395  
  Industrivarden AB 1,086,342   26,198  
  Getinge AB 1,406,482   26,157  
2 Evolution Gaming Group AB 771,868   23,294  
  ICA Gruppen AB 487,211   22,759  
  Indutrade AB 588,437   21,042  
  Husqvarna AB 2,572,111   20,612  
  AAK AB 1,070,692   20,365  
  L E Lundbergforetagen AB Class B 463,404   20,343  
  Loomis AB Class B 474,737   19,678  
  Saab AB Class B 579,707   19,441  
2 Dometic Group AB 1,857,012   18,731  
  Holmen AB 604,680   18,409  
* Swedish Orphan Biovitrum AB 1,107,945   18,365  
  Lifco AB Class B 284,493   17,379  
  Sweco AB Class B 414,108   15,965  
  Wihlborgs Fastigheter AB 836,874   15,390  
  Hexpol AB 1,555,524   15,287  
2 Thule Group AB 655,825   15,137  
  Axfood AB 653,412   14,551  
  AF POYRY AB 609,162   14,226  
^ Intrum AB 468,350   13,993  
  Hufvudstaden AB Class A 691,043   13,661  
  Nordic Entertainment Group AB Class B 409,235   13,224  
  BillerudKorsnas AB 1,110,092   13,117  
^ JM AB 439,363   12,997  
  Kungsleden AB 1,194,948   12,551  
  Wallenstam AB 1,035,828   12,520  

 

55

 

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Peab AB 1,250,942   12,509  
^ Hemfosa Fastigheter AB 962,240   12,460  
  Pandox AB Class B 548,233   12,400  
2 Bravida Holding AB 1,271,834   12,360  
  Investment AB Latour Class B 751,184   12,252  
  SSAB AB Class B 3,735,372   12,206  
  Beijer Ref AB 393,854   11,565  
*,^ Stadler Rail AG 202,529   10,121  
^ NCC AB Class B 594,417   9,722  
* AddTech AB 296,657   9,608  
* Nyfosa AB 996,469   8,620  
  Mycronic AB 428,692   8,478  
  Vitrolife AB 397,741   8,408  
  Avanza Bank Holding AB 764,936   7,987  
  Klovern AB 2,961,436   7,260  
  Bure Equity AB 320,310   7,256  
  Atrium Ljungberg AB 290,846   7,013  
  Catena AB 157,122   6,936  
  Arjo AB 1,388,924   6,677  
*,^ Sectra AB Class B 158,843   6,673  
  Nolato AB Class B 108,564   6,374  
  Bilia AB 501,065   5,685  
  Lindab International AB 443,744   5,669  
2 Resurs Holding AB 876,737   5,631  
  Bonava AB 526,828   5,586  
  Nobia AB 730,741   5,442  
  SSAB AB Class A 1,497,853   5,263  
2 Scandic Hotels Group AB 444,334   4,952  
* Modern Times Group MTG AB Class B 408,558   4,868  
  Klovern AB Preference Shares 111,251   4,430  
  Cloetta AB Class B 1,304,187   4,423  
  Ratos AB 1,225,332   4,370  
  Svenska Handelsbanken AB Class B 371,632   4,102  
  Concentric AB 234,181   3,979  
2 Attendo AB 654,820   3,761  
* Betsson AB 757,085   3,528  
*,2 Munters Group AB 658,339   3,454  
  SkiStar AB 258,668   3,286  
* Adapteo Oyj 257,767   3,188  
* NetEnt AB 1,123,751   3,109  
*,2 Medacta Group SA 38,310   2,870  
  Clas Ohlson AB 238,270   2,868  
  Investment AB Oresund 185,469   2,684  
*,^ Mekonomen AB 265,460   2,635  
  Telefonaktiebolaget LM Ericsson Class A 278,623   2,533  
^ Skandinaviska Enskilda Banken AB 238,483   2,329  
  SKF AB Class A 112,425   2,269  
  Sagax AB 570,457   2,213  
  Hemfosa Fastigheter AB Preference Shares 102,953   2,123  
* SAS AB 1,145,967   1,864  
* Hansa Biopharma AB 208,106   1,862  
* Hembla AB Class B 79,693   1,852  
  Svenska Cellulosa AB SCA Class A 144,992   1,546  
*,^ Collector AB 238,608   1,288  
  Sagax AB Preference Shares 132,815   545  
  NCC AB Class A 27,790   460  
  3,264,975  
Switzerland (7.5%)       
  Nestle SA 18,238,125   1,974,555  
  Roche Holding AG 4,382,259   1,424,246  
  Novartis AG 13,285,340   1,257,984  
  Zurich Insurance Group AG 918,645   376,828  
  UBS Group AG 21,595,310   272,520  
  ABB Ltd. 11,266,666   271,787  

 

56

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Cie Financiere Richemont SA 3,218,583   251,535  
  Credit Suisse Group AG 15,604,854   210,941  
  Swiss Re AG 1,750,102   196,611  
  Givaudan SA 58,236   182,453  
  Lonza Group AG 467,361   170,497  
  Sika AG 874,651   164,255  
* Alcon Inc. 2,895,048   163,980  
  LafargeHolcim Ltd. (XVTX) 2,548,127   141,364  
  Geberit AG 224,179   125,827  
  Swiss Life Holding AG 209,176   104,937  
^ Partners Group Holding AG 104,249   95,547  
  SGS SA 32,456   88,886  
  Swisscom AG 160,482   84,955  
  Sonova Holding AG 342,160   78,221  
  Julius Baer Group Ltd. 1,366,698   70,457  
  Schindler Holding AG 246,695   62,735  
  Straumann Holding AG 63,269   62,063  
  Adecco Group AG 964,417   60,973  
  Temenos AG 374,473   59,238  
  Chocoladefabriken Lindt & Spruengli AG (Registered) 634   55,987  
  Roche Holding AG (Bearer) 171,654   54,519  
  Swiss Prime Site AG 471,127   54,507  
  Kuehne & Nagel International AG 315,970   53,294  
  Baloise Holding AG 292,951   53,020  
  Vifor Pharma AG 281,168   51,315  
  Chocoladefabriken Lindt & Spruengli AG 6,325   49,077  
  Swatch Group AG (Bearer) 170,504   47,606  
  Logitech International SA 922,255   43,690  
  Barry Callebaut AG 18,980   41,898  
  LafargeHolcim Ltd. (XPAR) 635,227   35,008  
  PSP Swiss Property AG 245,372   33,880  
  Schindler Holding AG (Registered) 129,109   31,618  
  EMS-Chemie Holding AG 44,775   29,437  
  Helvetia Holding AG 205,711   29,056  
  Clariant AG 1,270,244   28,388  
2 VAT Group AG 161,516   27,249  
  Georg Fischer AG 25,776   26,137  
  Belimo Holding AG 2,922   22,016  
  Flughafen Zurich AG 119,027   21,726  
  Tecan Group AG 74,437   20,913  
  Pargesa Holding SA 238,305   19,799  
* ams AG 487,229   19,780  
  Cembra Money Bank AG 177,624   19,434  
  SIG Combibloc Group AG 1,207,826   19,268  
2 Galenica AG 304,457   18,804  
  Dufry AG 176,611   17,513  
  Allreal Holding AG 87,797   17,445  
* Idorsia Ltd. 562,311   17,386  
2 Sunrise Communications Group AG 211,794   16,639  
  Landis&Gyr Group AG 155,446   16,158  
  Banque Cantonale Vaudoise 17,785   14,518  
  Bucher Industries AG 40,759   14,305  
  OC Oerlikon Corp. AG 1,215,252   14,241  
  Swatch Group AG (Registered) 258,284   13,663  
  dormakaba Holding AG 18,991   13,595  
  Vontobel Holding AG 174,622   12,461  
  DKSH Holding AG 226,259   12,302  
  Mobimo Holding AG 41,152   12,251  
  Siegfried Holding AG 25,233   12,212  
  Sulzer AG 107,659   12,001  
  Emmi AG 12,127   10,567  
  Forbo Holding AG 6,056   10,305  
  SFS Group AG 105,614   10,150  
  Valiant Holding AG 99,528   10,114  

 

57

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Conzzeta AG 8,170   9,761  
  Inficon Holding AG 11,889   9,451  
  Daetwyler Holding AG 45,841   8,831  
  HBM Healthcare Investments AG 37,183   8,545  
  Huber & Suhner AG 107,440   8,529  
  BKW AG 115,381   8,520  
  St. Galler Kantonalbank AG 17,453   8,122  
  Interroll Holding AG 3,438   7,715  
  Schweiter Technologies AG 5,822   7,380  
  BB Biotech AG 101,412   6,944  
* Aryzta AG 5,945,175   6,644  
  Berner Kantonalbank AG 28,268   6,484  
  Kardex AG 36,191   6,106  
  Comet Holding AG 46,178   5,846  
  Valora Holding AG 19,833   5,533  
  Bachem Holding AG 34,461   5,515  
^ Komax Holding AG 22,332   5,457  
  Burckhardt Compression Holding AG 19,448   5,330  
  VZ Holding AG 16,608   5,122  
  LEM Holding SA 3,069   4,510  
  Liechtensteinische Landesbank AG 69,818   4,502  
  u-blox Holding AG 41,824   4,229  
  Intershop Holding AG 7,177   4,196  
  Vetropack Holding AG 1,258   3,955  
^ Implenia AG 90,308   3,663  
*,^ COSMO Pharmaceuticals NV 46,257   3,661  
  Arbonia AG 275,512   3,587  
*,^ Basilea Pharmaceutica AG 67,885   3,294  
  Bell Food Group AG 12,163   3,293  
  EFG International AG 461,346   3,037  
  Bossard Holding AG 16,172   2,917  
  ALSO Holding AG 16,998   2,862  
  Zehnder Group AG 60,721   2,855  
* GAM Holding AG 968,066   2,808  
^ Bobst Group SA 47,854   2,782  
  Rieter Holding AG 19,112   2,725  
  Swissquote Group Holding SA 53,840   2,702  
^ Ypsomed Holding AG 19,381   2,617  
  Ascom Holding AG 237,908   2,589  
  VP Bank AG 15,160   2,433  
* Leonteq AG 64,606   2,194  
^ Autoneum Holding AG 17,491   2,098  
  Hiag Immobilien Holding AG 17,834   1,991  
  APG SGA SA 6,002   1,762  
*,^ Meyer Burger Technology AG 4,324,876   1,678  
*,§ Alpiq Holding AG 20,220   1,462  
^ Kudelski SA 212,178   1,264  
*,^ Schmolz & Bickenbach AG 2,483,513   718  
        9,336,866  

United Kingdom (14.6%)

       
  HSBC Holdings plc 127,796,622   1,000,455  
  AstraZeneca plc 8,285,064   829,274  
  BP plc 125,744,524   791,040  
  Royal Dutch Shell plc Class A 26,582,623   787,229  
  GlaxoSmithKline plc 30,932,709   726,832  
  Royal Dutch Shell plc Class B 23,620,077   701,135  
  Diageo plc 14,548,908   613,047  
  British American Tobacco plc 14,046,691   597,018  
  Rio Tinto plc 6,940,927   410,871  
  Unilever plc 6,876,321   393,621  
  Lloyds Banking Group plc 441,332,733   365,612  
  Vodafone Group plc 169,403,873   328,879  
  Reckitt Benckiser Group plc 3,969,449   322,434  
  Prudential plc 16,403,965   314,312  

 

58

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  BHP Group plc 13,126,335   307,603  
  RELX plc 11,862,291   299,446  
  National Grid plc 21,956,464   274,395  
  Barclays plc 108,481,352   258,673  
  Compass Group plc 10,000,644   250,636  
  Anglo American plc 7,891,640   226,712  
  Glencore plc 68,330,615   212,764  
  Tesco plc 61,060,605   206,364  
  London Stock Exchange Group plc 1,977,568   203,240  
  Experian plc 5,724,626   194,063  
  CRH plc (XLON) 4,117,912   166,084  
  Standard Chartered plc 16,603,349   156,456  
  BAE Systems plc 20,213,836   151,348  
  Legal & General Group plc 37,358,497   150,072  
  Imperial Brands plc 6,010,692   148,707  
  BT Group plc 55,097,595   140,400  
  Aviva plc 24,637,440   136,752  
  Smith & Nephew plc 5,521,220   133,066  
  Ferguson plc 1,430,645   130,199  
  SSE plc 6,529,958   124,542  
  WPP plc 7,717,768   108,607  
  Rolls-Royce Holdings plc 10,869,341   98,238  
  Melrose Industries plc 30,360,250   96,705  
  Royal Bank of Scotland Group plc 28,636,844   91,866  
  Ashtead Group plc 2,866,563   91,658  
  Informa plc 7,870,252   89,514  
  3i Group plc 6,009,012   87,442  
  Segro plc 6,878,071   81,901  
  Intertek Group plc 1,017,686   78,859  
  InterContinental Hotels Group plc 1,147,439   78,847  
  Associated British Foods plc 2,194,429   75,491  
  Burberry Group plc 2,572,269   75,099  
  Next plc 803,835   74,904  
  Mondi plc 3,056,991   71,684  
  Persimmon plc 2,000,032   71,440  
  Rentokil Initial plc 11,667,713   69,932  
  Sage Group plc 6,852,159   67,979  
  Halma plc 2,392,461   66,996  
  Standard Life Aberdeen plc 14,621,564   63,613  
  Barratt Developments plc 6,364,547   63,019  
  Land Securities Group plc 4,501,021   59,083  
  Flutter Entertainment plc 481,622   58,895  
  Bunzl plc 2,126,662   58,166  
  Smurfit Kappa Group plc (XLON) 1,464,373   56,553  
  Smiths Group plc 2,497,335   55,779  
  Spirax-Sarco Engineering plc 464,172   54,640  
  Whitbread plc 843,781   54,153  
  United Utilities Group plc 4,303,275   53,851  
  DCC plc 620,308   53,805  
  Croda International plc 784,149   53,267  
  Taylor Wimpey plc 20,508,131   52,585  
* M&G plc 16,396,075   51,516  
  St. James's Place plc 3,299,975   50,869  
  Severn Trent plc 1,502,460   50,093  
  British Land Co. plc 5,875,036   49,748  
  RSA Insurance Group plc 6,492,344   48,659  
* Ocado Group plc 2,858,789   48,505  
  Johnson Matthey plc 1,200,609   47,738  
  Carnival plc 992,543   47,576  
  Berkeley Group Holdings plc 738,050   47,511  
  ITV plc 23,541,368   47,101  
  Rightmove plc 5,485,667   46,031  
2 Auto Trader Group plc 5,738,869   45,321  
  Hargreaves Lansdown plc 1,705,744   43,755  

 

59

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  Centrica plc 36,739,740   43,434  
  GVC Holdings plc 3,653,875   42,843  
  Meggitt plc 4,880,687   42,511  
  Coca-Cola HBC AG 1,224,870   41,634  
  Pearson plc 4,927,157   41,625  
  DS Smith plc 8,007,406   40,727  
* Just Eat plc 3,624,733   40,104  
  Admiral Group plc 1,300,876   39,753  
  Bellway plc 773,958   39,064  
  Kingfisher plc 13,358,687   38,456  
  Intermediate Capital Group plc 1,742,794   37,172  
  Wm Morrison Supermarkets plc 13,906,219   36,826  
  Direct Line Insurance Group plc 8,681,421   35,920  
  Pennon Group plc 2,636,923   35,767  
  Marks & Spencer Group plc 12,351,564   35,023  
  Travis Perkins plc 1,585,904   33,687  
  Derwent London plc 631,485   33,604  
  Hiscox Ltd. 1,747,420   32,985  
  Phoenix Group Holdings plc 3,302,043   32,805  
  Cobham plc 15,041,908   32,714  
  Weir Group plc 1,634,601   32,692  
  Howden Joinery Group plc 3,624,887   32,295  
  J Sainsbury plc 10,234,398   31,207  
  Schroders plc 704,269   31,098  
  Polymetal International plc 1,942,836   30,726  
  UNITE Group plc 1,790,541   29,910  
  Tate & Lyle plc 2,937,871   29,602  
  B&M European Value Retail SA 5,337,559   28,963  
  HomeServe plc 1,715,854   28,740  
  International Consolidated Airlines Group SA (XLON) 3,429,301   28,375  
  G4S plc 9,754,484   28,209  
  Spectris plc 728,114   28,060  
  TUI AG (XLON) 2,130,645   26,890  
  Antofagasta plc 2,187,877   26,490  
  IMI plc 1,683,313   26,305  
  JD Sports Fashion plc 2,269,218   25,206  
  Micro Focus International plc 1,795,092   25,195  
  Electrocomponents plc 2,795,661   25,145  
2 Quilter plc 11,643,545   24,859  
  Investec plc 4,189,246   24,619  
  AVEVA Group plc 399,050   24,619  
  IWG plc 4,192,586   24,280  
  Rotork plc 5,455,274   24,251  
2 ConvaTec Group plc 9,210,223   24,239  
  Dechra Pharmaceuticals plc 626,790   24,100  
  Beazley plc 3,270,572   24,064  
  WH Smith plc 691,258   23,824  
  SSP Group plc 2,756,368   23,731  
*,2 Network International Holdings plc 2,795,595   23,666  
  Inchcape plc 2,508,274   23,467  
  Hikma Pharmaceuticals plc 881,765   23,254  
  easyJet plc 1,226,554   23,105  
* Capita plc 10,366,053   22,577  
  John Wood Group plc 4,184,851   22,195  
  Signature Aviation plc 5,135,183   21,589  
  Tritax Big Box REIT plc 10,768,884   21,251  
  IG Group Holdings plc 2,281,472   20,990  
  Hays plc 8,453,586   20,331  
  Close Brothers Group plc 948,136   20,082  
  Britvic plc 1,660,027   19,895  
2 Avast plc 3,280,961   19,717  
  Hammerson plc 4,817,594   19,697  
  Man Group plc 9,318,474   19,516  
  CYBG plc 7,796,363   19,464  

 

60

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

        Market  
        Value  
    Shares   ($000 )
  TP ICAP plc 3,549,893   19,245  
  Greggs plc 626,501   19,110  
  Diploma plc 694,393   18,599  
  Evraz plc 3,452,999   18,490  
^ Cineworld Group plc 6,360,893   18,444  
2 Sophos Group plc 2,487,538   18,369  
  Great Portland Estates plc 1,590,800   18,157  
*,2 Trainline plc 2,673,069   18,104  
  Shaftesbury plc 1,396,529   17,530  
  Genus plc 410,558   17,293  
  Royal Mail plc 5,735,429   17,249  
  Victrex plc 513,610   16,979  
  UDG Healthcare plc 1,569,841   16,784  
2 Countryside Properties plc 2,776,657   16,726  
  Bovis Homes Group plc 928,602   16,699  
  Aggreko plc 1,509,595   16,670  
  Ashmore Group plc 2,422,152   16,615  
  National Express Group plc 2,660,660   16,583  
  QinetiQ Group plc 3,490,083   16,519  
  Games Workshop Group plc 203,538   16,445  
* Serco Group plc 7,558,561   16,228  
  Capital & Counties Properties plc 4,604,847   15,956  
  Primary Health Properties plc 7,527,239   15,954  
  LondonMetric Property plc 5,077,302   15,907  
  Grafton Group plc 1,363,668   15,681  
2 John Laing Group plc 3,098,670   15,644  
  Grainger plc 3,764,725   15,601  
  Assura plc 14,937,710   15,407  
  Big Yellow Group plc 964,379   15,317  
  British American Tobacco plc ADR 358,284   15,213  
  Balfour Beatty plc 4,318,884   14,985  
  Bodycote plc 1,169,890   14,717  
  Cranswick plc 321,718   14,442  
  Moneysupermarket.com Group plc 3,245,937   14,249  
  Jupiter Fund Management plc 2,619,900   14,228  
  Marshalls plc 1,240,980   14,145  
  Redrow plc 1,427,606   14,091  
  Safestore Holdings plc 1,291,444   13,812  
  Pagegroup plc 1,969,491   13,651  
  William Hill plc 5,441,769   13,613  
  Mediclinic International plc 2,456,333   13,406  
  OneSavings Bank plc 2,332,254   13,373  
  Babcock International Group plc 1,594,091   13,303  
  Workspace Group plc 835,612   13,140  
  Lancashire Holdings Ltd. 1,263,238   12,869  
2 Ascential plc 2,468,167   12,826  
^ NMC Health plc 545,100   12,771  
* Firstgroup plc 7,635,644   12,689  
  Spirent Communications plc 3,758,305   12,539  
  Savills plc 828,870   12,441  
  Domino's Pizza Group plc 2,914,973   12,374  
  Ultra Electronics Holdings plc 433,035   12,137  
  Dixons Carphone plc 6,301,167   12,031  
  Softcat plc 777,294   11,877  
  Paragon Banking Group plc 1,588,412   11,337  
  Centamin plc 6,751,522   11,324  
* Future plc 582,641   11,192  
  Pets at Home Group plc 3,009,371   11,131  
  Renishaw plc 217,191   10,862  
  Computacenter plc 450,130   10,544  
  Drax Group plc 2,489,663   10,352  
2 Ibstock plc 2,431,162   10,141  
* EI Group plc 2,677,242   10,053  
* Cairn Energy plc 3,657,950   10,007  

 

61

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

      Market  
        Value  
    Shares   ($000 )
  Playtech plc 1,901,543   9,997  
  Greencore Group plc 2,776,399   9,835  
  Hill & Smith Holdings plc 503,286   9,823  
  Daily Mail & General Trust plc 892,218   9,821  
  Rathbone Brothers plc 345,179   9,737  
^ Fresnillo plc 1,147,132   9,730  
  KAZ Minerals plc 1,379,920   9,706  
  Synthomer plc 2,067,747   9,660  
  J D Wetherspoon plc 437,225   9,611  
  Provident Financial plc 1,584,168   9,604  
  Essentra plc 1,641,789   9,448  
  Dunelm Group plc 614,800   9,414  
  AJ Bell plc 1,602,938   9,139  
*,2 Wizz Air Holdings plc 176,749   9,136  
  Coats Group plc 9,059,541   8,952  
  Crest Nicholson Holdings plc 1,556,426   8,933  
  Brewin Dolphin Holdings plc 1,810,843   8,922  
  Vesuvius plc 1,337,026   8,864  
  Rhi Magnesita NV 170,950   8,732  
  Polypipe Group plc 1,194,034   8,528  
  Elementis plc 3,591,766   8,524  
  Petrofac Ltd. 1,651,631   8,422  
* Mitchells & Butlers plc 1,376,176   8,374  
  Go-Ahead Group plc 272,922   7,998  
  Plus500 Ltd. 669,649   7,862  
  Galliford Try plc 689,160   7,854  
  Sanne Group plc 847,785   7,605  
  Tullow Oil plc 8,709,930   7,409  
  St. Modwen Properties plc 1,126,130   7,404  
  Morgan Advanced Materials plc 1,755,302   7,360  
  Elis SA (XLON) 348,824   7,208  
  IntegraFin Holdings plc 1,218,392   7,175  
* Sports Direct International plc 1,176,554   7,173  
  Telecom Plus plc 359,324   7,157  
* Just Group plc 6,371,686   6,688  
  Marston's plc 3,903,397   6,571  
*,^ Premier Oil plc 5,019,383   6,562  
2 McCarthy & Stone plc 3,322,124   6,560  
  Restaurant Group plc 3,008,314   6,533  
^ TalkTalk Telecom Group plc 4,195,967   6,458  
  Hyve Group plc 4,506,861   6,117  
  SIG plc 3,705,133   6,042  
  Senior plc 2,627,661   6,019  
  Chemring Group plc 1,737,545   5,543  
2 Equiniti Group plc 2,010,446   5,516  
  Stagecoach Group plc 2,582,421   5,473  
2 Airtel Africa plc 5,100,769   5,449  
  NewRiver REIT plc 1,927,219   5,123  
  Bank of Georgia Group plc 235,665   5,091  
  F&C Commercial Property Trust Ltd. 3,264,883   5,004  
  Saga plc 7,032,707   4,948  
  NCC Group plc 1,648,394   4,944  
  Hunting plc 870,774   4,854  
  UK Commercial Property REIT Ltd. 4,101,251   4,831  
  Vectura Group plc 3,783,306   4,644  
2 Hastings Group Holdings plc 1,900,805   4,510  
  Keller Group plc 448,147   4,445  
  Picton Property Income Ltd. 3,433,180   4,419  
  Mitie Group plc 2,286,821   4,401  
  Micro Focus International plc ADR 304,200   4,268  
  AG Barr plc 527,254   4,051  
  Helical plc 641,617   4,015  
  Hansteen Holdings plc 2,593,628   4,004  
  Rank Group plc 1,087,681   3,995  

 

62

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

    Shares   Market
Value
($000


  Card Factory plc 1,978,384   3,878  
  TBC Bank Group plc 219,739   3,775  
  Ferrexpo plc 1,785,935   3,758  
  Hochschild Mining plc 1,543,375   3,742  
  888 Holdings plc 1,655,566   3,618  
  Northgate plc 816,861   3,366  
2 Spire Healthcare Group plc 1,724,485   3,247  
  PZ Cussons plc 1,154,260   3,194  
  RPS Group plc 1,396,686   3,142  
  International Personal Finance plc 1,360,708   2,905  
  AA plc 3,759,510   2,899  
* Georgia Capital plc 236,820   2,896  
  Superdry plc 423,552   2,830  
  Stobart Group Ltd. 1,970,871   2,813  
  Halfords Group plc 1,231,762   2,771  
  Redefine International plc 1,562,038   2,706  
*,^ Metro Bank plc 985,145   2,700  
  GoCo Group plc 1,885,384   2,595  
  Devro plc 1,075,192   2,550  
*,^,2 Aston Martin Lagonda Global Holdings plc 364,568   2,516  
*,2 Finablr plc 1,096,330   2,499  
*,^ Intu Properties plc 5,453,573   2,460  
  Schroder REIT Ltd. 3,315,586   2,428  
  Dignity plc 312,523   2,424  
* Indivior plc 4,635,737   2,391  
*,^ AO World plc 1,914,127   2,292  
* Premier Foods plc 4,418,011   2,211  
  N Brown Group plc 902,964   1,947  
*,^ Sirius Minerals plc 41,863,705   1,936  
  Renewi plc 3,955,242   1,898  
2 Bakkavor Group plc 858,149   1,586  
2 CMC Markets plc 693,581   1,347  
  Soco International plc 1,903,227   1,313  
  De La Rue plc 626,633   1,182  
  Smurfit Kappa Group plc (XDUB) 28,206   1,088  
*,^,2 Funding Circle Holdings plc 876,385   1,021  
^ Ted Baker plc 176,564   953  
*,2 Alfa Financial Software Holdings plc 554,097   881  
2 Amigo Holdings plc 886,416   783  
  C&C Group plc (XLON) 62,072   335  
  Glanbia plc (XLON) 771   9  
*,§ Thomas Cook Group plc 3,282,262    
*,§ Carillion plc 2,500,529    
*,§ Sole Realisation Co. plc 135    
        18,228,669  
Total Common Stocks (Cost $106,200,569)     123,997,515  
         
    Coupon          
Temporary Cash Investments (2.3%)1        
Money Market Fund (2.2%)      
3,4 Vanguard Market Liquidity Fund 1.816%   27,799,298   2,780,208  
         
      Maturity
Date
Face
Amount
($000
)    
U.S. Government and Agency Obligations (0.1%)        
5,6 United States Treasury Bill 1.566% 2/20/20 2,000   1,996  
5 United States Treasury Bill 1.527%–1.541% 4/30/20 64,000   63,676  
      65,672  

 

63

 

 

Vanguard® Developed Markets Index Fund

Schedule of Investments

December 31, 2019

 

Total Temporary Cash Investments (Cost $2,845,562)

2,845,880

Total Investments (101.3%) (Cost $109,046,131)

126,843,395

Other Assets and Liabilities—Net (-1.3%)5,6,7 (1,648,885)

Net Assets (100.0%)

125,194,510

       
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $1,623,798,000.
§ Security value determined using significant unobservable inputs.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and 1.3 %, respectively, of net assets.
2 Certain of the fund's securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers.  At December 31, 2019, the aggregate value of these securities was $1,887,754,000, representing 1.5% of net assets.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
4 Includes $1,699,757,000 of collateral received for securities on loan.
5 Securities with a value of $65,656,000 and cash of $3,480,000 have been segregated as initial margin for open futures contracts.
6 Securities with a value of $14,000 and cash of $7,563,000 have been segregated as collateral for open forward currency contracts.
7 Cash of $66,612,000 has been segregated as collateral for ETF capital activity.
  ADR—American Depositary Receipt.
  CVR—Contingent Value Rights.
  GDR—Global Depositary Receipt.
  REIT—Real Estate Investment Trust.

 

64

 

 

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  © 2020 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
   
  SNA1270 022020

 

 

 

 

 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Tax-Managed Funds and Shareholders of Vanguard Developed Markets Index Fund

 

Opinion on the Financial Statements

 

We have audited the accompanying statement of net assets—investments summary of Vanguard Developed Markets Index Fund (one of the funds constituting Vanguard Tax-Managed Funds, referred to hereafter as the "Fund”) as of December 31, 2019, the related statement of operations for the year ended December 31, 2019, the statement of changes in net assets for each of the two years in the period ended December 31, 2019, including the related notes, and the financial highlights for each of the five years in the period ended December 31, 2019 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of December 31, 2019, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended December 31, 2019 and the financial highlights for each of the five years in the period ended December 31, 2019 in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

 

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2019 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

 

February 13, 2020

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

 

 

 

 

Item 7: Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not applicable.

 

Item 8: Portfolio Managers of Closed-End Management Investment Companies.

 

Not applicable.

 

Item 9: Purchase of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

 

Not applicable.

 

Item 10: Submission of Matters to a Vote of Security Holders.

 

Not applicable.

 

Item 11: Controls and Procedures.

 

(a) Disclosure Controls and Procedures. The Principal Executive and Financial Officers concluded that the Registrant’s Disclosure Controls and Procedures are effective based on their evaluation of the Disclosure Controls and Procedures as of a date within 90 days of the filing date of this report.

 

(b) Internal Control Over Financial Reporting. There were no significant changes in Registrant’s Internal Control Over Financial Reporting or in other factors that could significantly affect this control subsequent to the date of the evaluation, including any corrective actions with regard to significant deficiencies and material weaknesses.

 

Item 12: Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

 

Not applicable.

 

 

 

 

Item 13: Exhibits.

 

(a) Code of Ethics.
(b) Certifications.

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

  VANGUARD TAX-MANAGED FUNDS  
     
BY: /s/ MORTIMER J. BUCKLEY*  
     
  MORTIMER J. BUCKLEY  
  CHIEF EXECUTIVE OFFICER  

 

Date: February 19, 2020

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

  VANGUARD TAX-MANAGED FUNDS  
     
BY: /s/ MORTIMER J. BUCKLEY*  
     
  MORTIMER J. BUCKLEY  
  CHIEF EXECUTIVE OFFICER  

 

Date: February 19, 2020

 

  VANGUARD TAX-MANAGED FUNDS  
     
BY: /s/ JOHN BENDL*  
     
  JOHN BENDL  
  CHIEF FINANCIAL OFFICER  

 

Date: February 19, 2020

 

* By: /s/ Anne E. Robinson

 

Anne E. Robinson, pursuant to a Power of Attorney filed on January 18, 2018 (see file Number 33-32216) and a Power of Attorney filed on October 30, 2019 (see file Number 811-02554), Incorporated by Reference.

 

 

 

 

Exhibit 99.CODEETH

 

THE VANGUARD FUNDS’
CODE OF ETHICS FOR
SENIOR EXECUTIVE AND FINANCIAL OFFICERS

 

I.                                      Introduction

 

The Board of Trustees (the “Fund Board”) of each registered investment company that is managed, sponsored, and distributed by The Vanguard Group, Inc. (“VGI”) or its subsidiaries (each, a “Vanguard Fund” and collectively, the “Vanguard Funds”) has adopted this code of ethics (the “Code”) as required by Section 406 of the Sarbanes-Oxley Act. The Code applies to the individuals in positions listed on Exhibit A (the “Covered Officers”). All Covered Officers, along with employees of VGI, are subject to separate and distinct obligations from this Code under a Code of Ethics adopted pursuant to Rule 17j-1 under the Investment Company Act of 1940 (“17j-1 Code of Ethics”), policies to prevent the misuse of non-public information, and other internal compliance guidelines and policies that may be in effect from time to time.

 

This Code is designed to promote:

 

·                  Honest and ethical conduct, including the ethical handling of conflicts of interest;

 

·                  Full, fair, accurate, timely, and understandable disclosure in reports and documents that a Vanguard Fund files with, or submits to, the U.S. Securities and Exchange Commission (“SEC”), and in other public communications made by the Vanguard Funds or VGI;

 

·                  Compliance with applicable laws, governmental rules, and regulations;

 

·                  Prompt internal reporting to those identified in the Code of violations of the Code; and

 

·                  Accountability for adherence to the Code.

 

II.                                  Actual or Apparent Conflicts of Interest

 

A.           Covered Officers should conduct all activities in accordance with the following principles:

 

1.             Clients’ interests come first. In the course of fulfilling their duties and responsibilities to VGI clients, Covered Officers must at all times place the interests of VGI clients first. In particular, Covered Officers must avoid serving their own personal interests ahead of the interests of VGI clients.

 

2.             Conflicts of interest must be avoided. Covered Officers must avoid any situation involving an actual or potential conflict of interest or possible impropriety with respect to their duties and responsibilities to VGI clients. Covered Officers must disclose and report at least annually any situation that may present the potential for a conflict of interest to Vanguard’s Compliance Department, consistent with the 17j-1 Code of Ethics.

 


 

3.             Compromising situations must be avoided. Covered Officers must not take advantage of their position of trust and responsibility. Covered Officers must avoid any situation that might compromise or call into question their exercise of full independent judgment in the best interests of VGI clients.

 

All activities of Covered Officers should be guided by and adhere to these fiduciary standards regardless of whether the activity is specifically described in this Code.

 

B.           Restricted Activities include the following:

 

1.             Prohibition on secondary employment. Covered Officers are prohibited from accepting or serving in any form of secondary employment. Secondary employment that does not create a potential conflict of interest may be approved by the General Counsel of VGI.

 

2.             Prohibition on service as director or public official. Unless approved by the General Counsel of VGI, Covered Officers are prohibited from serving on the board of directors of any publicly traded company or in an official capacity for any federal, state, or local government (or governmental agency or instrumentality).

 

3.             Prohibition on misuse of Vanguard time or property. Covered Officers are prohibited from making use of time, equipment, services, personnel or property of any Vanguard entity for any purposes other than the performance of their duties and responsibilities in connection with the Vanguard Funds or other Vanguard-related entities.

 

III.                              Disclosure and Compliance

 

A.           Each Covered Officer should be familiar with the disclosure requirements generally applicable to the Vanguard Funds.

 

B.           Each Covered Officer should not knowingly misrepresent, or cause others to misrepresent, facts about the Vanguard Funds to others, including to the Vanguard Funds’ directors and auditors, or to government regulators and self-regulatory organizations.

 

C.           Each Covered Officer should, to the extent appropriate within the Covered Officer’s area of responsibility, consult with other officers and employees of VGI and advisors to a Vanguard Fund with the goal of promoting full, fair, accurate, timely and understandable disclosure in the reports and documents the Vanguard Fund files with, or submits to, the SEC and in other public communications made by a Vanguard Fund.

 

D.          It is the responsibility of each Covered Officer to promote compliance with the standards and restrictions imposed by applicable laws, rules, regulations, and the 17j-1 Code of Ethics.

 

IV.                             Reporting and Accountability

 

A.           Each Covered Officer must:

 


 

1.             Upon adoption or amendment of the Code (or thereafter as applicable, upon becoming a Covered Officer), affirm in writing that he or she has received, read, and understands the Code;

 

2.             Affirm at least annually in writing that he or she has complied with the requirements of the Code;

 

3.             Not retaliate against any other Covered Officer or any employee of VGI for reports of potential violations of the Code that are made in good faith; and

 

4.             Notify the General Counsel of VGI promptly if the Covered Officer knows of any violations of this Code.

 

B.           The Vanguard Funds will use the following procedures in investigating and enforcing this Code:

 

1.           The General Counsel of VGI is responsible for applying this Code to specific situations and has the authority to interpret this Code in any particular situation. The General Counsel will report on an as-needed basis to the Fund Board regarding activities subject to the Code.

 

2.           The General Counsel will take all appropriate action to investigate any potential violations of the Code that are reported to him or her.

 

3.           If, after investigation, the General Counsel believes that no material violation of the Code has occurred, the General Counsel is not required to take any further action.

 

4.           Any matter that the General Counsel believes is a material violation of the Code will be reported to the Chief Compliance Officer and the Fund Board.

 

5.           If the Fund Board concurs that a material violation of the Code has occurred, the Fund Board will consider appropriate action. Appropriate action may include reassignment, suspension, or dismissal of the applicable Covered Officer(s), or any other sanctions the Fund Board deems appropriate. Appropriate action may also include review of, and appropriate modifications to, applicable policies and procedures.

 

6.           Any changes to or waiver of this Code will, to the extent required, be disclosed as provided by SEC rules.

 


 

Other Policies and Procedures

 

This Code shall be the sole code of conduct adopted by the Vanguard Funds for purposes of Section 406 of the Sarbanes-Oxley Act and the rules and forms applicable to registered investment companies thereunder. Insofar as other policies or procedures of the Vanguard Funds, VGI, or other service providers govern or purport to govern the behavior or activities of the Covered Officers, they are superseded by this Code to the extent that they overlap or conflict with the provisions of this Code.

 

VGI’s and the Vanguard Funds’ 17j-1 Code of Ethics, policies to prevent the misuse of non-public information, and other internal compliance guidelines and policies that may be in effect from time to time are separate requirements applying to the Covered Officers and others, and are not part of this Code.

 

VI.                             Amendments

 

This Code may not be materially amended except by the approval of a majority vote of the independent trustees of the Fund Board. Non-material, technical, and administrative revisions of the Code do not have to be approved by the Fund Board. Amendments must be in writing and communicated promptly to the Covered Officers, who shall affirm receipt of the amended Code in accordance with Section IV. A. 1.

 

VII.                         Confidentiality

 

All reports and records prepared or maintained pursuant to this Code shall be considered confidential and shall be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters shall not be disclosed to anyone other than the Fund Board, VGI’s General Counsel and the Chief Compliance Officer of VGI and the Vanguard Funds.

 

 

 

Last Reviewed: July 28, 2018

 


Exhibit 99.CERT

 

CERTIFICATIONS

 

I, Mortimer J. Buckley, certify that:

 

1. I have reviewed this report on Form N-CSR of Vanguard Tax-Managed Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: February 19, 2020

 

  /s/ Mortimer J. Buckley
  Mortimer J. Buckley
  Chief Executive Officer

 

 

 

 

CERTIFICATIONS

 

I, John Bendl, certify that:

 

1. I have reviewed this report on Form N-CSR of Vanguard Tax-Managed Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: February 19, 2020

 

  /s/ John Bendl
  John Bendl
  Chief Financial Officer

 

 

 

Exhibit 99.906CERT 

 

Certification Pursuant to 18 U.S.C. Section 1350,

As Adopted Pursuant to

Section 906 of the Sarbanes-Oxley Act of 2002

 

Name of Issuer: Vanguard Tax-Managed Funds

 

In connection with the Report on Form N-CSR of the above-named issuer that is accompanied by this certification, the undersigned hereby certifies, to his knowledge, that:

 

1. The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the issuer.

 

Date:   February 19, 2020

 

  /s/ Mortimer J. Buckley
  Mortimer J. Buckley
  Chief Executive Officer

 

 

 

 

 

Certification Pursuant to 18 U.S.C. Section 1350,

As Adopted Pursuant to

Section 906 of the Sarbanes-Oxley Act of 2002

 

Name of Issuer: Vanguard Tax-Managed Funds

 

In connection with the Report on Form N-CSR of the above-named issuer that is accompanied by this certification, the undersigned hereby certifies, to his knowledge, that:

 

1. The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the issuer.

 

Date:   February 19, 2020

 

  /s/ John Bendl
  John Bendl
  Chief Financial Officer