(米ドル建て)
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| 貸借対照表 2021年8月31日現在 |
| 資産 | | |
| 投資資産の評価額 (簿価 $730,472,121) | $ | 735,980,208 |
| 現金 | | 206 |
| 中央清算デリバティブ取引のためのブローカへの預入金 | | 6,005 |
| 外国為替先渡取引による評価益 | | 291 |
| 未決済ローン・コミットメントによる評価益 | | 27 |
| 未収: | | |
| 売却済みの投資 | | 19,719,097 |
| 利息 | | 2,851,791 |
| 決済済み外国為替先渡取引 | | 415 |
| 資産合計 | | 758,558,040 |
| | |
| 負債 | | |
| 外国為替先渡取引による評価損 | | 5,271 |
| 未払: | | |
| 購入済みの投資 | | 39,093,391 |
| 償還済み受益証券 | | 7,510,289 |
| 運用会社報酬 | | 2,835,419 |
| 会計および管理会社報酬 | | 98,588 |
| 専門家報酬 | | 72,050 |
| 運用会社報酬 | | 41,217 |
| 保管会社報酬 | | 32,978 |
| 名義書換代理人報酬 | | 13,418 |
| その他負債 | | 158,697 |
| 負債合計 | | 49,861,318 |
| | |
| 純資産 | $ | 708,696,722 |
| | |
| | |
| 純資産 | | |
| クラス A - USD クラス | $ | 704,364,196 |
| クラス B - JPY クラス | | 4,332,526 |
| $ | 708,696,722 |
| | |
| 発行済み受益証券口数 | | |
| クラス A - USD クラス | | 896,734,850 |
| クラス B - JPY クラス | | 6,516,382 |
| | |
| 受益証券1口当り純資産額 | | |
| クラス A - USD クラス | $ | 0.785 |
| クラス B - JPY クラス | $ | 0.665 |
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| 損益計算書 2021年8月31日に終了する年度 |
| 投資収益 | | |
| 受取利息 | $ | 34,161,464 |
| 配当収益 ($22,294の源泉徴収税控除後 ) | | 52,019 |
| その他収益 | | 474,735 |
| 投資収益合計 | | 34,688,218 |
| | |
| 費用 | | |
| 運用会社報酬 | | 4,383,266 |
| 会計および管理会社報酬 | | 590,750 |
| 保管会社報酬 | | 179,179 |
| 専門家報酬 | | 118,573 |
| 名義書換代理人報酬 | | 111,858 |
| 運用会社報酬 | | 84,294 |
| 受託会社報酬 | | 10,000 |
| 登録料 | | 8,127 |
| その他費用 | | 40 |
| 費用合計 | | 5,486,087 |
| | |
| 投資利益 | | 29,202,131 |
| | |
| | |
| 実現損益および評価損益の変動: | | |
| 実現損益: | | |
| 証券投資 | | (5,894,103) |
| スワップ取引の評価額 | | 340,576 |
| 外国為替取引および外国為替先渡取引 | | (626,854) |
| 実現損失 | | (6,180,381) |
| 評価損益の変動の内訳: | | |
| 証券投資 | | 27,669,375 |
| 未決済ローン・コミットメント | | 8,572 |
| 外国為替換算および外国為替先渡取引 | | (24,596) |
| 評価損益の変動 | | 27,653,351 |
| | |
| 実現損益および評価損益の変動 | | 21,472,970 |
| | |
| 運用による純資産の増加額 | $ | 50,675,101 |
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| 投資明細表 |
| 2021年8月31日現在 |
| | 額面 | 銘柄 | 純資産に占める割合 | | | 評価額 |
| | | 債券 (97.7%)* | | | | |
| | | カナダ (5.1%) | | | | |
| | | バンクローン (4.0%) | | | | |
| | | 1011778 B.C. Unlimited Liability Co. | | | | |
| USD | 1,203,234 | 1.83% due 11/19/26 | | | $ | 1,181,672 |
| | | Bausch Health Co., Inc. | | | | |
| USD | 2,400,179 | 2.83% due 11/27/25 | | | | 2,385,178 |
| USD | 5,007,293 | 3.08% due 06/02/25 | | | | 4,987,714 |
| | | Bombardier Recreational Products, Inc. | | | | |
| USD | 2,261,298 | 2.09% due 05/24/27 | | | | 2,236,424 |
| | | Garda World Security Corp. | | | | |
| USD | 2,850,000 | 4.34% due 10/30/26 | | | | 2,840,852 |
| | | Gateway Casinos & Entertainment Ltd. | | | | |
| USD | 2,097,080 | 4.50% due 12/01/23 | | | | 2,090,789 |
| | | Kestrel Bidco, Inc. | | | | |
| USD | 2,326,570 | 4.00% due 12/11/26 | | | | 2,243,977 |
| | | Knowlton Development Corp., Inc. | | | | |
| USD | 4,936,601 | 3.83% due 12/22/25 | | | | 4,882,298 |
| | | NorthRiver Midstream Finance LP | | | | |
| USD | 2,212,358 | 3.39% due 10/01/25 | | | | 2,199,371 |
| | | Titan Acquisition Ltd. | | | | |
| USD | 3,593,556 | 3.17% due 03/28/25 | | | | 3,513,060 |
| | | バンクローン合計 | | | | 28,561,335 |
| | | 社債 (1.1%) | | | | |
| | | Bausch Health Cos, Inc. | | | | |
| USD | 2,000,000 | 5.50% due 11/01/25(a),(b) | | | | 2,045,800 |
| | | GFL Environmental, Inc. | | | | |
| USD | 3,000,000 | 3.75% due 08/01/25(a),(b) | | | | 3,090,000 |
| | | NOVA Chemicals Corp. | | | | |
| USD | 2,210,000 | 5.00% due 05/01/25(a),(b) | | | | 2,354,225 |
| | | 社債合計 | | | | 7,490,025 |
| | | カナダ合計 (簿価 $35,739,481) | | | | 36,051,360 |
| | | フランス (0.5%) | | | | |
| | | バンクローン (0.5%) | | | | |
| | | Banijay Entertainment S.A.S. | | | | |
| USD | 3,721,875 | 3.84% due 03/01/25 | | | | 3,698,613 |
| | | バンクローン合計 | | | | 3,698,613 |
| | | フランス合計 (簿価 $3,732,667) | | | | 3,698,613 |
| | | ドイツ (0.5%) | | | | |
| | | バンクローン (0.5%) | | | | |
| | | TK Elevator Midco GmbH | | | | |
| USD | 3,269,109 | 4.00% due 07/30/27 | | | | 3,264,565 |
| | | バンクローン合計 | | | | 3,264,565 |
| | | ドイツ合計 (簿価 $3,225,273) | | | | 3,264,565 |
| | | ルクセンブルク (4.6%) | | | | |
| | | バンクローン (4.6%) | | | | |
| | | Altice Financing S.A. | | | | |
| USD | 1,416,797 | 2.88% due 07/15/25 | | | | 1,388,858 |
| | | Icon Public Ltd. Co. Lux Term Loan | | | | |
| USD | 1,601,088 | 3.00% due 07/03/28 | | | | 1,599,423 |
| | | Icon Public Ltd. Co. U.S. Term Loan | | | | |
| USD | 398,912 | 3.00% due 07/03/28 | | | | 398,497 |
| | | Intelsat Jackson Holdings S.A. | | | | |
| USD | 11,240,000 | 8.00% due 11/27/23 | | | | 11,401,631 |
| | | Jazz Pharmaceuticals Public Ltd. Co. | | | | |
| USD | 4,100,000 | Due 05/05/28(c) | | | | 4,100,000 |
| | | JBS USA Lux S.A. | | | | |
| USD | 2,330,965 | 2.08% due 05/01/26 | | | | 2,314,952 |
| | | Summer (BC) Bidco B LLC | | | | |
| USD | 964,286 | 5.25% due 12/04/26 | | | | 961,277 |
| | | Sunshine Luxembourg VII S.A R.L. | | | | |
| USD | 8,109,938 | 4.50% due 10/01/26 | | | | 8,113,993 |
| | | Trinseo Materials Operating SCA | | | | |
| USD | 2,193,748 | 2.08% due 09/06/24 | | | | 2,172,359 |
| | | バンクローン合計 | | | | 32,450,990 |
| | | ルクセンブルク合計 (簿価 $32,292,219) | | | | 32,450,990 |
| | | 英国 (0.7%) | | | | |
| | | バンクローン (0.7%) | | | | |
| | | Formula One Management Ltd. | | | | |
| USD | 1,598,145 | 3.50% due 02/01/24 | | | | 1,591,352 |
| | | INEOS Enterprises Holdings Ltd. | | | | |
| USD | 3,233,743 | 4.50% due 08/28/26 | | | | 3,237,785 |
| | | バンクローン合計 | | | | 4,829,137 |
| | | 英国合計 (簿価 $4,820,836) | | | | 4,829,137 |
| | | 米国 (86.3%) | | | | |
| | | バンクローン (77.3%) | | | | |
| | | ACProducts Holdings, Inc. | | | | |
| USD | 2,485,000 | 4.75% due 05/17/28 | | | | 2,482,416 |
| | | Adient US LLC | | | | |
| USD | 3,860,714 | 3.58% due 04/10/28 | | | | 3,850,252 |
| | | Advanced Drainage Systems, Inc. | | | | |
| USD | 1,809,257 | 2.38% due 07/31/26 | | | | 1,806,995 |
| | | Alliance Laundry Systems LLC | | | | |
| USD | 4,691,705 | 4.25% due 10/08/27 | | | | 4,689,734 |
| | | Allied Universal Holdco LLC | | | | |
| USD | 3,902,006 | 4.25% due 05/12/28 | | | | 3,900,367 |
| | | Altium Packaging LLC | | | | |
| USD | 3,431,400 | 3.25% due 02/03/28 | | | | 3,401,375 |
| | | American Axle & Manufacturing, Inc. | | | | |
| USD | 1,406,573 | 3.00% due 04/06/24 | | | | 1,400,202 |
| | | APi Group DE, Inc. | | | | |
| USD | 4,214,777 | 2.58% due 10/01/26 | | | | 4,171,322 |
| | | Arches Buyer, Inc. | | | | |
| USD | 4,244,922 | 3.75% due 12/06/27 | | | | 4,202,473 |
| | | Ascend Learning LLC | | | | |
| USD | 5,026,277 | 4.00% due 07/12/24 | | | | 5,019,090 |
| USD | 578,826 | 4.75% due 07/12/24 | | | | 579,370 |
| | | Astoria Energy LLC | | | | |
| USD | 4,760,413 | 4.50% due 12/10/27(c) | | | | 4,751,891 |
| | | Asurion LLC | | | | |
| USD | 2,510,415 | 3.08% due 11/03/24 | | | | 2,466,482 |
| USD | 1,502,343 | 3.21% due 11/03/23 | | | | 1,485,757 |
| USD | 738,150 | 3.33% due 07/31/27 | | | | 723,232 |
| USD | 1,065,000 | 5.33% due 01/31/28 | | | | 1,059,292 |
| | | Avantor Funding, Inc. | | | | |
| USD | 5,769,244 | 2.75% due 11/08/27 | | | | 5,762,033 |
| | | B&G Foods, Inc. | | | | |
| USD | 3,210,031 | 2.58% due 10/10/26 | | | | 3,206,018 |
| | | BK LC Lux SPV S.A R.L. | | | | |
| USD | 3,535,000 | 4.25% due 04/28/28 | | | | 3,529,485 |
| | | Brookfield WEC Holdings, Inc. | | | | |
| USD | 7,563,462 | 3.25% due 08/01/25 | | | | 7,496,072 |
| | | Buckeye Partners LP | | | | |
| USD | 3,045,293 | 2.35% due 11/01/26 | | | | 3,010,089 |
| | | BWay Holding Co. | | | | |
| USD | 5,063,720 | 3.34% due 04/03/24 | | | | 4,927,658 |
| | | Caesars Resort Collection LLC | | | | |
| USD | 3,083,346 | 2.83% due 12/23/24 | | | | 3,055,657 |
| | | Calpine Construction Finance Co. LP | | | | |
| USD | 2,853,033 | 2.08% due 01/15/25 | | | | 2,806,671 |
| | | Camelot U.S. Acquisition 1 Co. | | | | |
| USD | 4,477,500 | 4.00% due 10/30/26 | | | | 4,477,500 |
| | | Carroll County Energy LLC | | | | |
| USD | 1,116,275 | 3.65% due 02/16/26 | | | | 1,071,624 |
| | | CCI Buyer, Inc. | | | | |
| USD | 4,253,339 | 4.75% due 12/17/27 | | | | 4,261,336 |
| | | CCM Merger, Inc. | | | | |
| USD | 2,615,964 | 4.50% due 11/04/25 | | | | 2,611,595 |
| | | CenturyLink, Inc. | | | | |
| USD | 333,487 | 2.33% due 03/15/27 | | | | 329,179 |
| | | CHG Healthcare Services, Inc. | | | | |
| USD | 3,387,139 | 4.00% due 06/07/23 | | | | 3,381,957 |
| | | Cincinnati Bell, Inc. | | | | |
| USD | 4,733,449 | 4.25% due 10/02/24 | | | | 4,726,680 |
| | | CITGO Holding, Inc. | | | | |
| USD | 1,409,888 | 8.00% due 08/01/23 | | | | 1,386,624 |
| | | CityCenter Holdings LLC | | | | |
| USD | 4,415,525 | 3.00% due 04/18/24 | | | | 4,404,133 |
| | | Claire's Stores, Inc. | | | | |
| USD | 228,810 | 6.58% due 12/18/26 | | | | 220,026 |
| | | Clear Channel Outdoor Holdings, Inc. | | | | |
| USD | 10,244,555 | 3.63% due 08/21/26 | | | | 9,995,715 |
| | | Cloudera, Inc. | | | | |
| USD | 3,885,025 | 3.25% due 12/22/27 | | | | 3,880,790 |
| | | Commscope, Inc. | | | | |
| USD | 6,344,893 | 3.33% due 04/06/26 | | | | 6,267,168 |
| | | Conair Holdings LLC | | | | |
| USD | 2,830,000 | 4.25% due 05/17/28 | | | | 2,825,868 |
| | | Conservice Midco LLC | | | | |
| USD | 4,491,063 | 4.36% due 05/13/27 | | | | 4,485,449 |
| | | Cornerstone OnDemand, Inc. | | | | |
| USD | 2,930,957 | 3.34% due 04/22/27 | | | | 2,927,000 |
| | | CP Atlas Buyer, Inc. | | | | |
| USD | 2,446,961 | 4.25% due 11/23/27 | | | | 2,435,558 |
| | | CPV Shore Holdings LLC | | | | |
| USD | 435,603 | 3.84% due 12/29/25 | | | | 413,823 |
| | | Crown Finance US, Inc. | | | | |
| USD | 2,193,609 | 3.50% due 02/28/25 | | | | 1,706,782 |
| USD | 1,753,255 | 3.75% due 09/30/26 | | | | 1,343,432 |
| USD | 480,707 | 7.00% due 05/23/24 | | | | 590,640 |
| | | CSC Holdings LLC | | | | |
| USD | 5,910,160 | 2.35% due 07/17/25 | | | | 5,819,380 |
| USD | 2,095,970 | 2.35% due 01/15/26 | | | | 2,061,156 |
| | | Curia Global, Inc. | | | | |
| USD | 5,042,736 | 4.50% due 08/30/26 | | | | 5,040,920 |
| | | DCert Buyer, Inc. | | | | |
| USD | 1,481,250 | 4.08% due 10/16/26 | | | | 1,477,962 |
| USD | 915,000 | 7.08% due 02/19/29 | | | | 921,533 |
| | | Deerfield Dakota Holding LLC | | | | |
| USD | 3,935,250 | 4.75% due 04/09/27 | | | | 3,937,100 |
| | | Diamond Sports Group LLC | | | | |
| USD | 2,180,200 | 3.34% due 08/24/26 | | | | 1,356,259 |
| | | DIRECTV Financing LLC | | | | |
| USD | 2,596,667 | 5.75% due 08/02/27 | | | | 2,595,187 |
| | | Dun & Bradstreet Corp. | | | | |
| USD | 4,019,290 | 3.34% due 02/06/26 | | | | 3,986,653 |
| USD | 2,793,875 | 3.75% due 01/07/28 | | | | 2,788,818 |
| | | Ecovyst Catalyst Technologies LLC | | | | |
| USD | 2,870,000 | 3.25% due 06/09/28 | | | | 2,864,375 |
| | | Elanco Animal Health, Inc. | | | | |
| USD | 1,701,885 | 1.85% due 08/01/27 | | | | 1,671,183 |
| | | Endo Luxembourg Finance Co. I S.A R.L. | | | | |
| USD | 1,149,791 | 5.75% due 03/27/28 | | | | 1,114,653 |
| | | Ensemble RCM LLC | | | | |
| USD | 2,283,380 | 3.88% due 08/03/26 | | | | 2,280,937 |
| | | Entercom Media Corp. | | | | |
| USD | 1,988,318 | 2.58% due 11/18/24 | | | | 1,958,076 |
| | | Enterprise Development Authority | | | | |
| USD | 3,811,750 | 5.00% due 02/28/28 | | | | 3,816,515 |
| | | Envision Healthcare Corp. | | | | |
| USD | 4,506,761 | 3.83% due 10/10/25 | | | | 3,951,888 |
| | | ExGen Renewables IV LLC | | | | |
| USD | 4,170,955 | 3.50% due 12/15/27 | | | | 4,156,816 |
| | | FGI Operating Co. LLC | | | | |
| USD | 256,223 | Due 05/16/22(d) | | | | 27,928 |
| USD | 1,359,915 | Due 12/31/49(d) | | | | – |
| | | First Student Bidco, Inc. | | | | |
| USD | 3,708,462 | Due 07/21/28(c) | | | | 3,678,572 |
| | | Forterra Finance LLC | | | | |
| USD | 2,145,706 | 4.00% due 10/25/23 | | | | 2,143,518 |
| | | Gardner Denver, Inc. | | | | |
| USD | 2,752,200 | 2.83% due 03/01/27 | | | | 2,747,053 |
| | | Gates Global LLC | | | | |
| USD | 5,003,504 | 3.25% due 03/31/27 | | | | 4,977,986 |
| | | Gemini HDPE LLC | | | | |
| USD | 3,844,938 | 3.50% due 12/31/27 | | | | 3,835,326 |
| | | Genesee & Wyoming, Inc. | | | | |
| USD | 3,485,170 | 2.15% due 12/30/26 | | | | 3,445,962 |
| | | Getty Images, Inc. | | | | |
| USD | 3,897,432 | 4.63% due 02/19/26 | | | | 3,888,507 |
| | | GI Consilio Parent LLC | | | | |
| USD | 2,835,000 | 4.50% due 05/12/28 | | | | 2,812,320 |
| | | Global Medical Response, Inc. | | | | |
| USD | 2,920,325 | 5.75% due 10/02/25 | | | | 2,930,663 |
| | | Golden Nugget, Inc. | | | | |
| USD | 1,716,810 | 3.25% due 10/04/23 | | | | 1,704,587 |
| | | GoodRx, Inc. | | | | |
| USD | 4,495,022 | 2.83% due 10/10/25 | | | | 4,471,603 |
| | | Graham Packaging Co., Inc. | | | | |
| USD | 5,776,728 | 3.75% due 08/04/27 | | | | 5,748,596 |
| | | Gray Television, Inc. | | | | |
| USD | 441,980 | 2.35% due 02/07/24 | | | | 440,322 |
| USD | 3,406,024 | 2.60% due 01/02/26 | | | | 3,380,922 |
| | | Greeneden US Holdings I LLC | | | | |
| USD | 6,758,163 | 4.75% due 12/01/27 | | | | 6,769,449 |
| | | Harsco Corp. | | | | |
| USD | 1,129,333 | 2.75% due 03/10/28 | | | | 1,119,169 |
| | | Helios Software Holdings, Inc. | | | | |
| USD | 2,375,238 | 3.92% due 03/11/28 | | | | 2,363,956 |
| | | Hertz Corp. | | | | |
| USD | 4,150,000 | 4.00% due 06/30/28 | | | | 4,130,744 |
| | | H-Food Holdings LLC | | | | |
| USD | 1,523,615 | 3.77% due 05/23/25 | | | | 1,507,663 |
| | | Homer City Generation LP | | | | |
| USD | 93,770 | Due 04/05/23 | | | | 66,576 |
| | | Hostess Brands LLC | | | | |
| USD | 4,041,741 | 3.00% due 08/03/25 | | | | 4,016,480 |
| | | Hub International Ltd. | | | | |
| USD | 3,906,024 | 2.88% due 04/25/25 | | | | 3,859,464 |
| | | Hyland Software, Inc. | | | | |
| USD | 2,654,528 | 4.25% due 07/01/24 | | | | 2,654,820 |
| | | iHeartCommunications, Inc. | | | | |
| USD | 6,234,304 | 3.08% due 05/01/26 | | | | 6,175,889 |
| USD | 1,012,858 | 3.75% due 05/01/26 | | | | 1,008,047 |
| | | Indy US Bidco LLC | | | | |
| USD | 3,077,288 | 4.10% due 03/06/28 | | | | 3,070,887 |
| | | Informatica LLC | | | | |
| USD | 6,130,183 | 3.33% due 02/25/27 | | | | 6,087,640 |
| | | Ingram Micro, Inc. | | | | |
| USD | 4,300,000 | Due 06/30/28(c) | | | | 4,306,450 |
| | | Insulet Corp. | | | | |
| USD | 3,375,000 | 3.75% due 05/04/28 | | | | 3,370,781 |
| | | Invenergy Thermal Operating I LLC | | | | |
| USD | 1,368,754 | 3.08% due 08/28/25 | | | | 1,341,379 |
| | | IRB Holding Corp. | | | | |
| USD | 2,036,757 | 3.75% due 02/05/25 | | | | 2,028,488 |
| USD | 1,865,625 | 4.25% due 12/15/27 | | | | 1,863,293 |
| | | Leslie's Poolmart, Inc. | | | | |
| USD | 5,222,788 | 3.25% due 03/09/28(c) | | | | 5,192,339 |
| | | LifePoint Health, Inc. | | | | |
| USD | 3,216,917 | 3.83% due 11/16/25 | | | | 3,192,437 |
| | | LogMeIn, Inc. | | | | |
| USD | 4,378,000 | 4.85% due 08/31/27 | | | | 4,360,882 |
| | | Madison IAQ LLC | | | | |
| USD | 2,641,000 | 3.75% due 06/21/28 | | | | 2,622,856 |
| | | Majordrive Holdings IV LLC | | | | |
| USD | 2,252,083 | 4.50% due 06/01/28 | | | | 2,250,687 |
| | | MED Parentco LP | | | | |
| USD | 3,529,837 | 4.33% due 08/31/26 | | | | 3,514,941 |
| | | Medallion Midland Acquisition LLC | | | | |
| USD | 1,996,096 | 4.25% due 10/30/24 | | | | 1,977,632 |
| | | Meredith Corp. | | | | |
| USD | 1,469,649 | 2.58% due 01/31/25 | | | | 1,460,875 |
| USD | 1,816,650 | 5.25% due 01/31/25 | | | | 1,852,983 |
| | | MetroNet Systems Holdings LLC | | | | |
| USD | 2,790,000 | 4.50% due 06/02/28 | | | | 2,785,117 |
| | | MI Windows and Doors LLC | | | | |
| USD | 2,629,275 | 4.50% due 12/18/27 | | | | 2,633,876 |
| | | Moda Ingleside Energy Center LLC | | | | |
| USD | 2,181,649 | 3.33% due 09/29/25 | | | | 2,176,741 |
| | | Momentive Performance Materials, Inc. | | | | |
| USD | 2,930,988 | 3.34% due 05/15/24 | | | | 2,919,996 |
| | | Moran Foods LLC | | | | |
| USD | 1,687,441 | 8.00% due 04/01/24 | | | | 1,763,376 |
| USD | 859,354 | 11.75% due 10/01/24 | | | | 754,083 |
| | | NAI Entertainment Holdings LLC | | | | |
| USD | 1,929,234 | 3.50% due 05/08/25 | | | | 1,885,826 |
| | | Navitas Midstream Midland Basin LLC | | | | |
| USD | 3,290,000 | 4.75% due 12/13/24 | | | | 3,274,372 |
| | | Netsmart, Inc. | | | | |
| USD | 2,928,660 | 4.75% due 10/01/27 | | | | 2,932,321 |
| | | Nexstar Broadcasting, Inc. | | | | |
| USD | 2,798,865 | 2.60% due 09/18/26 | | | | 2,783,555 |
| | | Nielsen Finance LLC | | | | |
| USD | 502,097 | 2.10% due 10/04/23 | | | | 501,329 |
| | | Numericable US LLC | | | | |
| USD | 4,036,817 | 3.81% due 01/31/26 | | | | 3,997,458 |
| | | Oryx Midstream Holdings | | | | |
| USD | 2,309,399 | 4.08% due 05/22/26 | | | | 2,305,172 |
| | | Osmose Utilities Services, Inc. | | | | |
| USD | 1,710,000 | Due 06/23/28(c) | | | | 1,698,594 |
| | | Packaging Coordinators Midco, Inc. | | | | |
| USD | 4,039,875 | 4.25% due 11/30/27 | | | | 4,033,815 |
| | | Pactiv Evergreen, Inc. | | | | |
| USD | 1,116,246 | 2.83% due 02/05/23 | | | | 1,109,091 |
| USD | 4,776,000 | 3.33% due 02/05/26 | | | | 4,741,374 |
| | | Parexel International Corp. | | | | |
| USD | 3,722,000 | Due 08/11/28(c) | | | | 3,720,139 |
| | | Park River Holdings, Inc. | | | | |
| USD | 1,956,430 | 4.00% due 12/28/27 | | | | 1,943,224 |
| | | Pathway Vet Alliance LLC | | | | |
| USD | 3,375,954 | 3.83% due 03/31/2027 | | | | 3,353,268 |
| | | Pelican Products, Inc. | | | | |
| USD | 3,721,129 | 4.50% due 05/01/25 | | | | 3,697,872 |
| USD | 157,526 | 8.75% due 05/01/26 | | | | 154,639 |
| | | Petco Health and Wellness Co., Inc. | | | | |
| USD | 3,498,725 | 4.00% due 03/03/28 | | | | 3,489,978 |
| | | PetVet Care Centers LLC | | | | |
| USD | 3,054,728 | 2.83% due 02/14/25 | | | | 3,011,443 |
| USD | 3,344,486 | 4.25% due 02/14/25 | | | | 3,338,901 |
| | | PG&E Corp. | | | | |
| USD | 3,955,118 | 3.50% due 06/23/25 | | | | 3,783,743 |
| | | Pike Corp. | | | | |
| USD | 3,533,547 | 3.09% due 01/21/28 | | | | 3,516,374 |
| | | PPD, Inc. | | | | |
| USD | 4,239,375 | 2.50% due 01/13/28 | | | | 4,225,767 |
| | | Prime Security Services Borrower LLC | | | | |
| USD | 5,662,408 | 3.50% due 09/23/26 | | | | 5,650,008 |
| | | Project Alpha Intermediate Holding, Inc. | | | | |
| USD | 1,608,630 | 4.09% due 04/26/24 | | | | 1,607,198 |
| | | Project Boost Purchaser LLC | | | | |
| USD | 3,536,827 | 3.58% due 06/01/26 | | | | 3,507,365 |
| | | Proofpoint | | | | |
| USD | 2,837,500 | Due 06/09/28(c) | | | | 2,819,368 |
| | | Quest Software US Holdings, Inc. | | | | |
| USD | 1,659,368 | 4.38% due 05/16/25 | | | | 1,656,514 |
| USD | 136,000 | 8.38% due 05/18/26 | | | | 135,377 |
| | | Quidditch Acquisition, Inc. | | | | |
| USD | 360,418 | 8.00% due 03/21/25 | | | | 352,085 |
| | | QUIKRETE Holdings, Inc. | | | | |
| USD | 3,480,833 | Due 05/22/28(c) | | | | 3,450,933 |
| | | RealPage, Inc. | | | | |
| USD | 3,050,000 | 3.75% due 04/24/28 | | | | 3,030,571 |
| | | Red Ventures LLC | | | | |
| USD | 1,626,258 | 2.58% due 11/08/24 | | | | 1,606,613 |
| | | Ring Container Technologies Group LLC | | | | |
| USD | 2,230,000 | Due 08/12/28(c) | | | | 2,224,425 |
| | | Sabre GLBL, Inc. 2021 Other Term B-1 Loan | | | | |
| USD | 1,281,775 | 4.00% due 12/17/27 | | | | 1,271,841 |
| | | Sabre GLBL, Inc. 2021 Other Term B-2 Loan | | | | |
| USD | 2,043,225 | 4.00% due 12/17/27 | | | | 2,027,390 |
| | | Scientific Games International, Inc. | | | | |
| USD | 4,919,026 | 2.83% due 08/14/24 | | | | 4,872,050 |
| | | Shearer's Foods LLC | | | | |
| USD | 2,282,779 | 4.25% due 09/23/27 | | | | 2,277,437 |
| | | Shutterfly LLC | | | | |
| USD | 2,685,000 | Due 09/25/26(c) | | | | 2,676,623 |
| | | Signal Parent, Inc. | | | | |
| USD | 4,205,000 | 4.25% due 04/03/28 | | | | 4,122,666 |
| | | Simply Good Foods USA, Inc. | | | | |
| USD | 2,193,439 | 4.75% due 07/07/24 | | | | 2,198,001 |
| | | Sinclair Television Group, Inc. | | | | |
| USD | 386,878 | 2.34% due 01/03/24 | | | | 378,495 |
| | | Sound Inpatient Physicians, Inc. | | | | |
| USD | 1,993,539 | 2.83% due 06/27/25 | | | | 1,978,168 |
| | | SP PF Buyer LLC | | | | |
| USD | 4,081,370 | 4.58% due 12/22/25 | | | | 4,011,211 |
| | | Spin Holdco, Inc. | | | | |
| USD | 4,089,750 | 4.75% due 03/04/28 | | | | 4,091,795 |
| | | Spirit Aerosystems, Inc. | | | | |
| USD | 1,194,995 | 6.00% due 01/15/25 | | | | 1,200,468 |
| | | St. George's University Scholastic Services LLC | | | | |
| USD | 5,698,863 | 3.34% due 07/17/25 | | | | 5,659,711 |
| | | Staples, Inc. | | | | |
| USD | 2,373,743 | 5.13% due 04/16/26 | | | | 2,239,888 |
| | | Star US Bidco LLC | | | | |
| USD | 3,653,100 | 5.25% due 03/17/27 | | | | 3,653,100 |
| | | Steinway Musical Instruments, Inc. | | | | |
| USD | 386,695 | 4.75% due 02/14/25 | | | | 381,861 |
| | | Team Health Holdings, Inc. | | | | |
| USD | 2,340,309 | 3.75% due 02/06/24 | | | | 2,272,698 |
| | | Tekni-Plex, Inc. | | | | |
| USD | 1,715,690 | Due 07/29/28(c) | | | | 1,714,403 |
| | | Tenneco, Inc. | | | | |
| USD | 4,637,500 | 3.08% due 10/01/25 | | | | 4,585,328 |
| | | TGP Holdings III LLC | | | | |
| USD | 1,735,073 | 4.25% due 06/29/28 | | | | 1,733,633 |
| | | ThoughtWorks, Inc. | | | | |
| USD | 2,229,864 | 3.50% due 03/24/28 | | | | 2,220,119 |
| | | TransDigm, Inc. | | | | |
| USD | 1,023,816 | 2.33% due 08/22/24 | | | | 1,009,104 |
| USD | 1,411,105 | 2.33% due 05/30/25 | | | | 1,387,497 |
| USD | 1,171,995 | 2.33% due 12/09/25 | | | | 1,152,739 |
| | | Triton Water Holdings, Inc. | | | | |
| USD | 3,898,684 | 4.00% due 03/31/28 | | | | 3,869,873 |
| | | Tronox Finance LLC | | | | |
| USD | 1,928,022 | 2.38% due 03/10/28 | | | | 1,907,238 |
| | | Truck Hero, Inc. | | | | |
| USD | 4,230,331 | 4.00% due 01/31/28 | | | | 4,210,237 |
| | | TTM Technologies, Inc. | | | | |
| USD | 111,275 | 2.60% due 09/28/24 | | | | 110,789 |
| | | UFC Holdings LLC | | | | |
| USD | 3,663,659 | 3.50% due 04/29/26 | | | | 3,638,783 |
| | | UKG, Inc. | | | | |
| USD | 4,993,619 | 4.00% due 05/04/26 | | | | 4,993,619 |
| | | Ultimate Software Group, Inc. | | | | |
| USD | 1,643,231 | 3.83% due 05/04/26 | | | | 1,643,576 |
| | | United Natural Foods, Inc. | | | | |
| USD | 2,666,768 | 3.58% due 10/22/25 | | | | 2,655,114 |
| | | US Renal Care, Inc. | | | | |
| USD | 3,168,445 | 5.13% due 06/26/26 | | | | 3,166,734 |
| | | USI, Inc. | | | | |
| USD | 2,790,561 | 3.15% due 05/16/24 | | | | 2,764,748 |
| | | Utz Quality Foods LLC | | | | |
| USD | 2,353,176 | 3.08% due 01/20/28 | | | | 2,341,998 |
| | | Vertiv Group Corp. | | | | |
| USD | 5,367,418 | 2.85% due 03/02/27 | | | | 5,330,544 |
| | | Virtusa Corp. | | | | |
| USD | 942,638 | 5.00% due 02/11/28 | | | | 945,880 |
| | | WCG Purchaser Corp. | | | | |
| USD | 7,326,579 | 5.00% due 01/08/27 | | | | 7,338,814 |
| | | Whatabrands LLC | | | | |
| USD | 3,650,000 | Due 08/03/28(c) | | | | 3,637,444 |
| | | Wheel Pros, Inc. | | | | |
| USD | 2,724,500 | 5.25% due 05/11/28(c) | | | | 2,724,500 |
| | | White Cap Buyer LLC | | | | |
| USD | 3,587,888 | 4.50% due 10/19/27 | | | | 3,588,462 |
| | | WMG Acquisition Corp. | | | | |
| USD | 3,993,438 | 2.21% due 01/20/28 | | | | 3,942,082 |
| | | Zayo Group Holdings, Inc. | | | | |
| USD | 4,226,490 | 3.08% due 03/09/27 | | | | 4,169,094 |
| | | バンクローン合計 | | | | 548,394,551 |
| | | 社債 (9.0%) | | | | |
| | | Albertsons Cos, Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC | | | | |
| USD | 560,000 | 5.75% due 03/15/25(a) | | | | 571,900 |
| | | Arconic Corp. | | | | |
| USD | 1,750,000 | 6.00% due 05/15/25(a),(b) | | | | 1,852,462 |
| | | CCO Holdings LLC / CCO Holdings Capital Corp. | | | | |
| USD | 2,000,000 | 4.00% due 03/01/23(a),(b) | | | | 2,012,100 |
| USD | 1,500,000 | 5.50% due 05/01/26(a),(b) | | | | 1,545,165 |
| | | CenturyLink, Inc. | | | | |
| USD | 3,000,000 | 4.00% due 02/15/27(a),(b) | | | | 3,078,750 |
| | | DISH DBS Corp. | | | | |
| USD | 2,000,000 | 5.00% due 03/15/23 | | | | 2,087,500 |
| USD | 2,250,000 | 5.88% due 11/15/24 | | | | 2,418,750 |
| | | Ford Motor Credit Co. LLC | | | | |
| USD | 2,000,000 | 4.27% due 01/09/27(a) | | | | 2,140,000 |
| USD | 4,060,000 | 4.39% due 01/08/26 | | | | 4,354,350 |
| USD | 1,000,000 | 5.13% due 06/16/25(a) | | | | 1,097,500 |
| | | HCA, Inc. | | | | |
| USD | 6,000,000 | 5.38% due 02/01/25 | | | | 6,757,500 |
| | | Hilton Domestic Operating Co., Inc. | | | | |
| USD | 2,100,000 | 5.38% due 05/01/25(a),(b) | | | | 2,203,131 |
| | | IQVIA, Inc. | | | | |
| USD | 1,125,000 | 5.00% due 10/15/26(a),(b) | | | | 1,158,750 |
| | | Lamb Weston Holdings, Inc. | | | | |
| USD | 3,000,000 | 4.88% due 11/01/26(a),(b) | | | | 3,085,882 |
| | | MasTec, Inc. | | | | |
| USD | 2,185,000 | 4.50% due 08/15/28(a),(b) | | | | 2,299,713 |
| | | Microchip Technology, Inc. | | | | |
| USD | 1,900,000 | 4.25% due 09/01/25(a) | | | | 2,003,310 |
| | | Newell Brands, Inc. | | | | |
| USD | 645,000 | 4.35% due 04/01/23(a) | | | | 680,359 |
| | | NuStar Logistics LP | | | | |
| USD | 3,225,000 | 5.75% due 10/01/25(a) | | | | 3,466,875 |
| | | PBF Logistics LP / PBF Logistics Finance Corp. | | | | |
| USD | 170,000 | 6.88% due 05/15/23(a) | | | | 164,977 |
| | | Sirius XM Radio, Inc. | | | | |
| USD | 6,000,000 | 5.00% due 08/01/27(a),(b) | | | | 6,292,500 |
| | | Spectrum Brands, Inc. | | | | |
| USD | 180,000 | 5.75% due 07/15/25(a) | | | | 184,050 |
| | | Spirit AeroSystems, Inc. | | | | |
| USD | 2,000,000 | 7.50% due 04/15/25(a),(b) | | | | 2,117,500 |
| | | Staples, Inc. | | | | |
| USD | 2,971,000 | 7.50% due 04/15/26(a),(b) | | | | 3,000,710 |
| | | Tenet Healthcare Corp. | | | | |
| USD | 5,500,000 | 4.88% due 01/01/26(a),(b) | | | | 5,705,150 |
| USD | 3,400,000 | 7.50% due 04/01/25(a),(b) | | | | 3,638,000 |
| | | 社債合計 | | | | 63,916,884 |
| | | 米国合計 (簿価 $609,934,805) | | | | 612,311,435 |
| | | 債券合計 (簿価 $689,745,281) | | | | 692,606,100 |
| | 株数 | 優先株式 (0.1%) | | | | |
| | | 米国 (0.1%) | | | | |
| USD | 205 | Claire's Stores, Inc. | | | | 486,875 |
| | | 米国合計 (簿価 $75,625) | | | | 486,875 |
| | | 優先株式合計 (簿価 $75,625) | | | | 486,875 |
| | 証券数 | ワラント (0.0%) | | | | |
| | | 米国 (0.0%) | | | | |
| USD | 1,707 | Windstream Holdings, Inc. | | | | 34,379 |
| | | 米国合計 (簿価 $0) | | | | 34,379 |
| | | ワラント合計 (簿価 $0) | | | | 34,379 |
| | 口数 | リミテッドパートナーシップ (0.8%) | | | | |
| | | 米国 (0.8%) | | | | |
| | 47,235 | California Resources Corp. | | | | 1,616,854 |
| | 151,515 | Cineworld Group PLC | | | | 138,250 |
| | 290 | Claire's Stores, Inc. | | | | 61,625 |
| | 34,996 | Clear Channel Outdoor Holdings, Inc. | | | | 92,040 |
| | 13,134 | iHeartCommunications, Inc. | | | | 326,774 |
| | 1,748 | iHeartMedia, Inc. | | | | 43,490 |
| | 15,278 | Neiman Marcus Group | | | | 2,024,335 |
| | 919 | Neiman Marcus Group Restricted | | | | 121,767 |
| | 14,500 | Oasis Petroleum, Inc. | | | | 1,255,555 |
| | 57,327 | SAL Topco LLC | | | | 257,971 |
| | 116 | Southcross Holdings LP | | | | 986 |
| | | 米国合計 (簿価 $3,738,008) | | | | 5,939,647 |
| | | リミテッドパートナーシップ合計 (簿価 $3,738,008) | | | | 5,939,647 |
| | 元本 | 短期投資 (5.2%) | | | | |
| | | 日本 (5.2%) | | | | |
| | | 定期預金 (5.2%) | | | | |
| | | Sumitomo Mitsui Banking Corp. | | | | |
| USD | 36,913,207 | 0.01% due 09/01/21 | | | | 36,913,207 |
| | | 定期預金合計 | | | | 36,913,207 |
| | | 日本合計 (簿価 $36,913,207) | | | | 36,913,207 |
| | | 短期投資合計 (簿価 $36,913,207) | | | | 36,913,207 |
| | | | | | | |
| | | 投資合計 (簿価 $730,472,121) | 103.8% | | $ | 735,980,208 |
| | | 現金及び他の資産を超過する負債 | (3.8) | | | (27,283,486) |
| | | 純資産 | 100.0% | | $ | 708,696,722 |
e border="0" style="width:508.1pt;border-collapse:collapse">
| * バンクローンは変動金利債務です。表示されているクーポンレートは期間末時点の利率を表しています。 |
| (a) 期限前償還条項付き証券 |
| (b) 144A 証券 - 1933年証券取引法の規則144A の下でSECへの届出を免除されている証券。これらの証券は、届出をしないで適格機関投資家に転売することができます。他に記載がない限り、非流動性資産とみなされることはありません。 |
| (c) このポジションのすべてもしくは一部は期間末時点で未決済の貸出予約取引を表しています。購入時の詳細は、クーポンレートを含め、決済日まで知り得ることができません。 |
| (d) デフォルト証券 |
|
| 投資明細表のすべての有価証券は運用会社の最良の判断に基づいて有価証券の所在地ではなく、リスクの所在国によって分類されています。 |
e border="0" style="width:552.0pt;border-collapse:collapse">
| ファンドレベルの為替先渡契約(2021年8月31日現在)(純資産に占める割合 0.0%) |
| 買い | 取引相手 | 契約金額 | 決済日 | 売り | 契約金額 | | 評価益 | | 評価損 | | 純評価損益 |
| JPY | HSBC Bank | 32,419,087 | 09/01/2021 | USD | 294,803 | $ | 291 | $ | – | $ | 291 |
| | | | | | $ | 291 | $ | – | $ | 291 |
| | | | | | | | | | | |
| | | | | | | | | | | |
|
| クラスB - JPYクラスの外国為替先渡契約(2021年8月31日現在)(純資産に占める割合 0.0%) |
| 買い | 取引相手 | 契約金額 | 決済日 | 売り | 契約金額 | | 評価益 | | 評価損 | | 純評価損益 |
| JPY | State Street Bank and Trust Co. | 473,227,106 | 9/10/2021 | USD | 4,313,073 | $ | – | $ | (5,271) | $ | (5,271) |
| | | | | | $ | – | $ | (5,271) | $ | (5,271) |
| | | | | | | | | | | |
| 通貨の略称: | | | | | | | | | | |
| JPY | - | 日本円 | | | | | | | | | |
| USD | - | 米ドル | | | | | | | | | |
e border="0" style="width:100.0%;border-collapse:collapse">
| 「ダイワ・マネーストック・マザーファンド」の状況 |
| 以下に記載した情報は監査の対象外であります。 |
| | | |
| 元本 | ※1 | 147,185,375,981 | 154,511,884,258 |
| 剰余金 | | | |
| 期末剰余金又は期末欠損金(△) | | 97,537,164 | 86,479,873 |
e border="0" style="width:100.0%;border-collapse:collapse">
| | | |
| 貸借対照表 |
| | 2022年1月19日現在 | 2022年7月19日現在 |
| | 金 額(円) | 金 額(円) |
| 資産の部 | | | |
| 流動資産 | | | |
| コール・ローン | | 147,285,853,676 | 154,598,364,131 |
| 流動資産合計 | | 147,285,853,676 | 154,598,364,131 |
| 資産合計 | | 147,285,853,676 | 154,598,364,131 |
| 負債の部 | | | |
| 流動負債 | | | |
| 未払解約金 | | 2,940,531 | - |
| 流動負債合計 | | 2,940,531 | - |
| 負債合計 | | 2,940,531 | - |
| 純資産の部 | | | |
| 元本等 | | | |
| 元本 | ※1 | 147,185,375,981 | 154,511,884,258 |
| 剰余金 | | | |
| 期末剰余金又は期末欠損金(△) | | 97,537,164 | 86,479,873 |
| 元本等合計 | | 147,282,913,145 | 154,598,364,131 |
| 純資産合計 | | 147,282,913,145 | 154,598,364,131 |
| 負債純資産合計 | | 147,285,853,676 | 154,598,364,131 |
e border="0" style="width:100.0%;border-collapse:collapse">
|
| 注記表 |
e border="0" style="width:99.96%;border-collapse:collapse">
| (重要な会計方針に係る事項に関する注記) |
| 自 2022年1月20日 至 2022年7月19日 |
| 該当事項はありません。 |
e border="0" style="width:100.0%;border-collapse:collapse">
| (貸借対照表に関する注記) | | |
| 区 分 | 2022年1月19日現在 | 2022年7月19日現在 |
| 1. | ※1 | 期首 | 2021年7月20日 | 2022年1月20日 |
| | 期首元本額 | 100,137,528,625円 | 147,185,375,981円 |
| | 期中追加設定元本額 | 101,537,407,571円 | 75,160,792,997円 |
| | 期中一部解約元本額 | 54,489,560,215円 | 67,834,284,720円 |
| | | | |
| | 期末元本額の内訳 | | |
| ファンド名 | | |
| | 日本株ロング・ショート戦略パイロットファンド(適格機関投資家専用) | 266,761,115円 | 281,752,121円 |
| | ロボット・テクノロジー関連株ファンド -ロボテック- | 947,268円 | 947,268円 |
| | ダイワ/ミレーアセット・インド株式ファンド -インドの匠- | 29,910,270円 | 29,910,270円 |
| | ワールド・フィンテック革命ファンド(為替ヘッジあり) | 998円 | 998円 |
| | ワールド・フィンテック革命ファンド(為替ヘッジなし) | 998円 | 998円 |
| | US短期ハイ・イールド社債ファンド(為替ヘッジあり/毎月決算型) | 102,434円 | 102,434円 |
| | ロボット・テクノロジー関連株ファンド -ロボテック-(為替ヘッジあり) | 39,849円 | 39,849円 |
| | ロボット・テクノロジー関連株ファンド(年1回決算型) -ロボテック(年1回)-(為替ヘッジあり) | 3,985円 | 3,985円 |
| | iFreeレバレッジ S&P500 | 10,292,398,375円 | 10,292,398,375円 |
| | iFreeレバレッジ NASDAQ100 | 70,959,132,903円 | 77,954,935,421円 |
| | クリーンテック株式ファンド(資産成長型) | 998,802円 | 998,802円 |
| | ロボット・テクノロジー関連株ファンド -ロボテック-(毎月決算/予想分配金提示型) | 999円 | 999円 |
| | 世界インフラ戦略ファンド(為替ヘッジなし/毎月分配型) | 1,000円 | 1,000円 |
| | 世界インフラ戦略ファンド(為替ヘッジなし/資産成長型) | 499,501円 | 499,501円 |
| | ダイワ上場投信-日経平均レバレッジ・インデックス | 4,545,899,074円 | 4,885,585,339円 |
| | ダイワ上場投信-日経平均ダブルインバース・インデックス | 6,183,994,898円 | 7,033,659,976円 |
| | ダイワ上場投信-TOPIXレバレッジ(2倍)指数 | 1,334,794,630円 | 885,079,448円 |
| | ダイワ上場投信-TOPIXダブルインバース(-2倍)指数 | 836,430,581円 | 1,026,318,645円 |
| | ダイワ上場投信-日経平均インバース・インデックス | 4,377,671,441円 | 4,191,782,976円 |
| | ダイワ上場投信-TOPIXインバース(-1倍)指数 | 3,972,352,642円 | 9,372,904,457円 |
| | ダイワ上場投信-JPX日経400レバレッジ・インデックス | 574,295,634円 | 538,317,221円 |
| | ダイワ上場投信-JPX日経400インバース・インデックス | 861,497,868円 | 151,994,519円 |
| | ダイワ上場投信-JPX日経400ダブルインバース・インデックス | 104,920,073円 | 96,924,870円 |
| | ダイワ米国投資法人債ファンド(為替ヘッジあり)2016-07 | 997円 | 997円 |
| | ダイワ米国投資法人債ファンド(為替ヘッジあり)2016-10 | 997円 | 997円 |
| | 先進国トータルリターン戦略ファンド(リスク抑制型/適格機関投資家専用) | 6,988,339,549円 | 72,489,058円 |
| | ダイワ日本株式ベア・ファンド(適格機関投資家専用) | 101,154,451円 | 55,181,236円 |
| | ダイワ日本国債15-20年ラダー型ファンド・マネーポートフォリオ -SLトレード- | 4,100,143円 | 4,992,083円 |
| | ブルベア・マネー・ポートフォリオ6 | 17,824,958,965円 | 16,774,839,804円 |
| | ブル3倍日本株ポートフォリオ6 | 16,186,581,956円 | 19,084,842,999円 |
| | ベア2倍日本株ポートフォリオ6 | 1,658,502,361円 | 1,718,486,357円 |
| | ダイワ/ハリス世界厳選株ファンド・マネー・ポートフォリオ | 49,865,262円 | 48,631,027円 |
| | 通貨選択型ダイワ/ミレーアセット・グローバル・グレートコンシューマー株式ファンドⅡ 豪ドル・コース(毎月分配型) | 595,106円 | 595,106円 |
| | 通貨選択型ダイワ/ミレーアセット・グローバル・グレートコンシューマー株式ファンドⅡ ブラジル・レアル・コース(毎月分配型) | 987,373円 | 987,373円 |
| | 通貨選択型ダイワ/ミレーアセット・グローバル・グレートコンシューマー株式ファンドⅡ 通貨セレクト・コース(毎月分配型) | 494,581円 | 494,581円 |
| | ダイワUS短期ハイ・イールド社債ファンド(為替ヘッジあり/年1回決算型) | 9,957円 | 9,957円 |
| | ダイワ米国バンクローン・オープン(為替ヘッジあり) | 997円 | 997円 |
| | ダイワ米国バンクローン・オープン(為替ヘッジなし) | 997円 | 997円 |
| | ダイワ新グローバル・ハイブリッド証券ファンド(為替ヘッジあり) | 997円 | 997円 |
| | ダイワ新グローバル・ハイブリッド証券ファンド(為替ヘッジなし) | 997円 | 997円 |
| | ダイワ/ミレーアセット亜細亜株式ファンド | 9,958,176円 | 4,148円 |
| | 通貨選択型ダイワ/ミレーアセット・グローバル好配当株α(毎月分配型)米ドル・コース | 10,833円 | 10,833円 |
| | 通貨選択型ダイワ/ミレーアセット・グローバル好配当株α(毎月分配型)ブラジル・レアル・コース | 10,788円 | 10,788円 |
| | 通貨選択型ダイワ/ミレーアセット・グローバル好配当株α(毎月分配型)通貨セレクト・コース | 12,751円 | 12,751円 |
| | ロボット・テクノロジー関連株ファンド(年1回決算型) -ロボテック(年1回)- | 100,588円 | 100,588円 |
| | ダイワ先進国リートα 為替ヘッジあり(毎月分配型) | 399,083円 | -円 |
| | ダイワ先進国リートα 為替ヘッジなし(毎月分配型) | 99,771円 | -円 |
| | 通貨選択型ダイワ先進国リートα 円ヘッジコース(毎月分配型) | 399,083円 | -円 |
| | 通貨選択型ダイワ先進国リートα 通貨セレクトコース(毎月分配型) | 99,771円 | -円 |
| | ダイワ/ミレーアセット・グローバル・グレートコンシューマー株式ファンド(為替ヘッジあり) | 1,091,429円 | 1,091,429円 |
| | ダイワ/ミレーアセット・グローバル・グレートコンシューマー株式ファンド(為替ヘッジなし) | 315,004円 | 315,004円 |
| | ダイワ/ミレーアセット・アジア・セクターリーダー株ファンド | 10,009,811円 | 5,813円 |
| | ダイワ日本株ストラテジーα(通貨選択型) -ジャパン・トリプルリターンズ- 日本円・コース(毎月分配型) | 398,764円 | 398,764円 |
| | ダイワ日本株ストラテジーα(通貨選択型) -ジャパン・トリプルリターンズ- 豪ドル・コース(毎月分配型) | 99,691円 | 99,691円 |
| | ダイワ日本株ストラテジーα(通貨選択型) -ジャパン・トリプルリターンズ- ブラジル・レアル・コース(毎月分配型) | 398,764円 | 398,764円 |
| | ダイワ日本株ストラテジーα(通貨選択型) -ジャパン・トリプルリターンズ- 米ドル・コース(毎月分配型) | 398,764円 | 398,764円 |
| | ダイワ日本株ストラテジーα(通貨選択型) -ジャパン・トリプルリターンズ- 通貨セレクト・コース(毎月分配型) | 15,402円 | 15,402円 |
| | 通貨選択型ダイワ米国厳選株ファンド -イーグルアイⅡ- 予想分配金提示型 日本円・コース | 300,273円 | 300,273円 |
| | 通貨選択型ダイワ米国厳選株ファンド -イーグルアイⅡ- 予想分配金提示型 豪ドル・コース | 200,861円 | 200,861円 |
| | 通貨選択型ダイワ米国厳選株ファンド -イーグルアイⅡ- 予想分配金提示型 ブラジル・レアル・コース | 300,273円 | 300,273円 |
| | 通貨選択型ダイワ米国厳選株ファンド -イーグルアイⅡ- 予想分配金提示型 米ドル・コース | 1,999,177円 | 1,999,177円 |
| | 通貨選択型ダイワ米国厳選株ファンド -イーグルアイⅡ- 予想分配金提示型 通貨セレクト・コース | 505,900円 | 505,900円 |
| 計 | | 147,185,375,981円 | 154,511,884,258円 |
| | | | |
| 2. | | 期末日における受益権の総数 | 147,185,375,981口 | 154,511,884,258口 |
(金融商品に関する注記)
e border="0" style="width:100.0%;border-collapse:collapse">
| Ⅰ 金融商品の状況に関する事項 | |
| 区 分 | 自 2022年1月20日 至 2022年7月19日 |
| 1. | 金融商品に対する取組方針 | 当ファンドは、「投資信託及び投資法人に関する法律」第2条第4項に定める証券投資信託であり、投資信託約款に規定する「運用の基本方針」に従っております。 |
| | |
| 2. | 金融商品の内容及びリスク | 当ファンドが保有する金融商品の種類は、金銭債権及び金銭債務等であり、その詳細を附属明細表に記載しております。 これらの金融商品に係るリスクは、信用リスクであります。 |
| | |
| 3. | 金融商品に係るリスク管理体制 | 複数の部署と会議体が連携する組織的な体制によりリスク管理を行っております。信託財産全体としてのリスク管理を金融商品、リスクの種類毎に行っております。 |
| | |
| 4. | 金融商品の時価等に関する事項についての補足説明 | 金融商品の時価の算定においては、一定の前提条件等を採用しているため、異なる前提条件等に拠った場合、当該価額が異なることもあります。 |
e border="0" style="width:100.0%;border-collapse:collapse">
| Ⅱ 金融商品の時価等に関する事項 | |
| 区 分 | 2022年7月19日現在 |
| 1. | 金融商品の時価及び貸借対照表計上額との差額 | 金融商品はすべて時価で計上されているため、貸借対照表計上額と時価との差額はありません。 |
| | |
| 2. | 金融商品の時価の算定方法 | コール・ローン等の金銭債権及び金銭債務等 |
| | これらは短期間で決済されるため、時価は帳簿価額にほぼ等しいことから、当該帳簿価額を時価としております。 |
e border="0" style="width:99.96%;border-collapse:collapse">
| (有価証券に関する注記) | |
| 2022年1月19日現在 | 2022年7月19日現在 |
| 該当事項はありません。 | 該当事項はありません。 |
e border="0" style="width:100.0%;border-collapse:collapse">
| (デリバティブ取引に関する注記) | |
| ヘッジ会計が適用されていないデリバティブ取引 | |
| 2022年1月19日現在 | 2022年7月19日現在 |
| 該当事項はありません。 | 該当事項はありません。 |
e border="0" style="width:100.0%;border-collapse:collapse">
| (1口当たり情報) | | |
| 2022年1月19日現在 | 2022年7月19日現在 |
| 1口当たり純資産額 | 1.0007円 | 1.0006円 |
| (1万口当たり純資産額) | (10,007円) | (10,006円) |
附属明細表