Security NameShares Market Value ($) Weight (%)
MUENCHENER RUECKVERSICHERUNG2,5221,637,6224.8
RESONA HOLDINGS INC155,8621,439,5124.2
HALEON PLC259,8951,335,7633.9
MERCADOLIBRE INC4481,170,9063.4
PALO ALTO NETWORKS INC5,0811,039,7763
VERTEX PHARMACEUTICALS INC2,2581,005,2622.9
INTL BUSINESS MACHINES CORP3,337983,6812.9
SCHNEIDER ELECTRIC SE3,660982,6552.9
CROWDSTRIKE HOLDINGS INC A1,735883,6532.6
BRAMBLES LTD55,683859,9572.5
FISERV INC4,850836,1892.4
XYLEM INC6,350821,4362.4
FLEX LTD16,417819,5372.4
AUTODESK INC2,646819,1222.4
NATERA INC4,805811,7572.4
ASML HOLDING NV NY REG SHS972778,9512.3
CAIXABANK SA89,156772,5202.3
SAGE GROUP PLC/THE44,529764,6872.2
HALOZYME THERAPEUTICS INC14,416749,9202.2
HOLOGIC INC11,234732,0072.1
VENTAS INC11,534728,3722.1
COMFORT SYSTEMS USA INC1,356727,1012.1
ARCADIS NV14,292694,0192
DEXCOM INC7,932692,3842
WOLTERS KLUWER3,954661,2601.9
UNITED THERAPEUTICS CORP2,291658,3191.9
GSK PLC33,541639,5081.9
GE HEALTHCARE TECHNOLOGY8,375620,3361.8
PRYSMIAN SPA8,382593,4391.7
SSE PLC23,340587,7041.7
QUANTA SERVICES INC1,489562,9611.6
FEDERAL AGRIC MTG CORP CL C2,889561,2751.6
INTUITIVE SURGICAL INC1,026557,5391.6
CORNING INC10,527553,6151.6
BYD CO LTD H33,012513,9981.5
MUELLER WATER PRODUCTS INC A21,231510,3931.5
METSO CORP38,481498,7071.5
CIENA CORP6,117497,4961.5
BLUE BIRD CORP11,493496,0381.4
ACUITY INC1,620483,3111.4
VERALTO CORP4,335437,6181.3
NEW YORK TIMES CO A7,521421,0261.2
LEVI STRAUSS + CO CLASS A22,697419,6681.2
CRH PLC4,566419,1591.2
SHOPIFY INC CLASS A3,476400,9571.2
DNB BANK ASA13,479372,7561.1
INSPIRE MEDICAL SYSTEMS INC2,815365,3031.1
DAIFUKU CO LTD13,500347,3001
Holdings as of 6/30/2025

The composition of the Fund’s portfolio is subject to change.