Collective Investment Trusts

Retirement Target 2020 CIT

Investment Objective

To provide capital growth and manage risk for investors planning to retire in or around the year indicated in the fund’s name.

Investment Strategy

Currently: The portfolio is currently invested in a moderately conservative mix of investments that seeks a more stable rate of growth than that of the stock market by placing a greater emphasis on bonds to help maintain stability. The portfolio is diversified primarily among fixed income securities, with a focus on intermediate maturities Stock exposure can range from 17% - 55%.

Over Time: The portfolio’s investment mix will gradually become more conservative as the target date approaches and for several years after the target date. During the target year, the portfolio’s stock exposure can range from 20% - 60%. At five years after the target date and beyond, the focus will be on capital preservation, and stock exposure can range from 13% - 47%.

May be Appropriate for Investors

  • Who plan to stop contributions and start periodic withdrawals around the year 2020
  • Who currently have a moderate tolerance for risk and can accept fluctuations in current account value
  • Who prefer to take advantage of professional management through a single, diversified investment portfolio that becomes more conservative over time

About Target Date Funds

A target date fund is a single investment portfolio designed to meet an investor’s changing needs over time. The fund gradually shifts from a more aggressive to a more conservative investment objective over the years to reflect an appropriate risk/return trade-off for the investor’s changing time horizon.

Learn more about our Glide Range SM

Daily Price

$28.89

Daily $ Change

$0.10

Daily % Change

0.35%

as of 05/09/2024

CUSIP

563821172

Inception Date

01/06/2005

This fund is only available for use within certain qualified employee benefit plans.

Important Documents

Applications & Forms
Fact Sheet
Annual Report

Each Retirement Target CIT Fund seeks to achieve its investment objectives by investing in a combination of other Manning & Napier CIT Funds (the “underlying CIT Funds”) in order to meet its target asset allocations and investment style. The financial statements of the underlying Pro-Mix® CIT Funds should be read in conjunction with the Retirement Target CIT Funds’ financial statements.
Pro-Mix® CIT Fund Annual Report

Performance

As of 04/30/2024

YTD

-1.08%

1 Year

3.06%

3 Year

-0.99%

5 Year

4.60%

10 Year

3.90%

Inception
(01/06/2005)

5.92%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. Your investment may fluctuate in value and there is a potential for loss as well as profit.

Performance through the inception date of the Retirement Target CIT Class S Units is not the past performance of the Retirement Target CIT Fund and is based on historical performance data of the Manning & Napier Pro-Mix® CIT Fund(s) that would have been held according to the Retirement Target CIT Fund’s glide path. The Retirement Target CIT Fund will gradually become more conservative over time. Returns are net of the Class S expenses.

Expense Ratio

Gross 0.90%
Net 0.89%*

*Includes acquired fund fees and expenses of the underlying collective investment trusts and reflects the Trustee’s contractual agreement to limit fees and voluntary agreement to reimburse certain expenses.

Top Ten Investments

As of 04/30/2024

TREASURY NOTES 16.10%
GOVERNMENT AGENCY 15.07%
TREASURY BONDS 3.89%
ISHARES BROAD USD HIGH YIELD 2.45200 2.60%
TSY INFL IX N/B 2.37500 01/15/2027 1.74%
AMAZON.COM INC 1.49%
ALPHABET INC-CL A 1.31%
TAIWAN SEMICONDUCTOR - SP ADR 1.18%
MASTERCARD INC-CLASS A 1.12%
TENCENT HOLDINGS 3.97500 04/11/2029 1.03%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 04/30/2024

Bonds
67.91%
Stocks
29.82%
Cash
2.27%

Detailed Asset Class Allocation

As of 04/30/2024

International Equities
9.57%
Small Capitalization
0.20%
Mid Capitalization
2.14%
Large Capitalization
17.90%
Long Term Fixed Income
14.00%
Intermediate Term Fixed Income
43.25%
Short Term Fixed Income
10.67%
Cash
2.27%

Due to rounding, the sum of the detailed asset class allocation categories may not equal the asset allocation totals provided above.

Security Description Country Ticker Shares/Par Market Value (USD)
ADMIRAL GROUP PLC GB ADM LN 1,711.41 $58,251.57
ADMIRAL GROUP PLC ADR GB AMIGY 6,423.05 $218,512.96
AERCAP IRELAND CAP/GLOBA 3.00000 10/29/2028 IE 291,842.6 $260,328.02
AGREE REALTY CORP US ADC 451.24 $25,819.97
AIR LIQUIDE FR AI FP 214.67 $41,983.99
AIRBUS SE FR AIR FP 239.32 $39,381.92
ALASKA AIR 2020-1 CL B 8.00000 08/15/2025 US 14,996.09 $15,136.15
ALCON INC CH ALC SW 143.08 $10,970.70
ALCON INC CH ALC 3,080.25 $238,966.05
ALIBAB GROUP HOLDINGS 2.12500 02/09/2031 KY 177,964.65 $143,936.93
ALIBABA GROUP HOLDING 4.00000 12/06/2037 KY 567,505.25 $471,660.12
ALPHABET INC-CL A US GOOGL 5,913.73 $962,637.71
AMAZON.COM INC US AMZN 6,253.81 $1,094,416.97
AMERICAN HEALTHCARE REIT INC US AHR 980.72 $13,465.28
AMERICAN HOMES 4 RENT- A US AMH 958.8 $34,325.08
AMERICAN TOWER REIT INC US AMT 220.14 $37,766.48
AMERICOLD REALTY TRUST US COLD 777.04 $17,071.59
ASHTEAD CAPITAL INC 4.00000 05/01/2028 US 286,159.74 $266,988.45
ASTRAZENECA GB AZN 8,131.63 $617,028.44
ATLASSIAN CORP PLC-CLASS A AU TEAM 131.61 $22,676.60
AUCKLAND INTL AIRPORT LTD NZ AIA NZ 6,264.04 $28,975.02
AUTO TRADER GROUP PLC GB AUTO LN 3,859.77 $33,462.18
AVALONBAY COMMUNITIES INC US AVB 238.51 $45,214.48
AVANZA BANK HOLDING AB SE AZA SS 783.3 $16,786.05
BAE SYSTEMS PLC GB BA/ LN 2,254.19 $37,492.24
BAE SYSTEMS PLC -SPON ADR GB BAESY 3,353.12 $225,899.87
BANK OF AMERICA CORP 2.68700 04/22/2032 US 458,971.53 $378,263.97
BEIERSDORF AG DE BEI GR 323.57 $48,633.34
BIOMARIN PHARMACEUTICAL INC US BMRN 4,385.22 $354,150.38
BNSF FUNDING TRUST I 6.61300 12/15/2055 US 231,940.72 $229,376.79
BORR IHC LTD 10.00000 11/15/2028 MUL 115,173.48 $119,142.86
BRENNTAG AG DE BNR GR 249.63 $19,921.60
BROOGE PETROLEUM AND GAS 8.50000 09/24/2025 AE 101,959.37 $71,758.48
CAALT 2021-3A B MTGE 1.38000 07/15/2030 US 196,470.91 $193,805.51
CANADIAN NATIONAL RAILWAY CO CA CNI 4,037.13 $490,268.91
CAPITAL ONE FINANCIAL CO 5.70000 02/01/2030 US 544,103.96 $536,549.50
CARETRUST REIT INC US CTRE 822.51 $20,332.41
CBSLT 2019-AGS A1 MTGE 2.54000 01/25/2047 US 42,459.99 $37,547.36
CELLNEX TELECOM SA ES CLNX SM 1,221.85 $40,387.77
CELLNEX TELECOM SAU-UNSP ADR ES CLLNY 1,198.7 $19,718.58
CENOVUS ENERGY INC 6.75000 11/15/2039 CA 346,300.84 $364,392.39
CGNT 2024-1A A2 7.92400 05/25/2054 US 163,279.03 $163,274.07
CIM 2019-INV1 A1 4.00000 02/25/2049 US 5,492.79 $5,130.91
CITIGROUP INC 1.46200 06/09/2027 US 428,687.53 $392,424.31
CITIZENS BANK NA RI FLT 4.57500 08/09/2028 US 279,755.48 $264,880.90
CLARK CNTY NV 1.51000 11/01/2028 US 520,790.91 $447,359.56
CLEANAWAY WASTE MANAGEMENT AU CWY AU 19,819.82 $34,287.72
COCA COLA CO/THE US KO 11,547.46 $713,286.89
COLO 2021-2A A2 MTGE 2.40000 10/25/2051 US 268,581.12 $240,178.91
COLO 2023 - 1A A2 MTGE 5.11600 02/25/2053 US 271,812.76 $254,682.10
COLT 2024-INV1 A1 5.90300 12/25/2068 US 137,338.07 $136,011.18
CONSTELLATION BRANDS INC-A US STZ 1,325.06 $335,850.26
COPART INC US CPRT 6,228.86 $338,289.19
CROWN CASTLE INTL CORP US CCI 193.07 $18,106.45
CSMC 2013-IVR3 A1 2.50000 05/25/2043 US 59,092.66 $49,251.18
CSMC 2013-TH1 A1 2.13000 02/25/2043 US 34,800.56 $28,619.98
CSX CORP US CSX 12,715 $422,392.41
DEUTSCHE BOERSE AG DE DB1 GR 319.4 $61,577.51
DEUTSCHE BOERSE AG ADR DE DBOEY 17,163.94 $330,234.14
DIGITAL REALTY TRUST INC US DLR 168.31 $23,358.54
DIGITALBRIDGE GROUP INC US DBRG 1,033.67 $16,993.47
DOLLARAMA INC CA DOL CN 526.44 $43,915.22
ELECTRONIC ARTS US EA 4,448.96 $564,216.93
ENERGY TRANSFER LP 7.37500 02/01/2031 US 255,680.64 $263,583.90
ENERGY TRANSFER OPERATNG 6.50000 02/01/2042 US 381,498.47 $386,527.74
EQUINIX INC US EQIX 214.08 $152,233.10
EQUITY COMMONWEALTH US EQC 1,089.28 $20,391.23
EQUITY LIFESTYLE PROPERTIES US ELS 623.4 $37,584.61
EQUITY RESIDENTIAL US EQR 516.76 $33,279.03
EVERGY INC US EVRG 6,702.42 $351,541.74
EXPERIAN PLC IE EXPN LN 829.79 $33,468.71
EXTRA SPACE STORAGE INC US EXR 265.48 $35,648.16
FASST 2022-S6 A1 3.00000 07/25/2061 US 120,416.25 $113,869.53
FEDERAL NATIONAL FS5443 MTGE 4.50000 06/01/2043 US 229,282.02 $215,148.75
FEDERAL NATL MTG ASSN 745932 6.50000 11/01/2036 US 1,231.28 $1,281.27
FEDERAL NATL MTG ASSN 889576 6.00000 04/01/2038 US 13,311.99 $13,665.12
FEDERAL NATL MTG ASSN 899735 6.50000 09/01/2037 US 1,076.83 $1,122.70
FEDERAL NATL MTG ASSN 941175 6.00000 11/01/2037 US 204.03 $209.43
FEDERAL NATL MTG ASSN 949709 6.50000 09/01/2037 US 4,272.62 $4,453.80
FEDERAL NATL MTG ASSN 954580 6.00000 02/01/2038 US 2,633.77 $2,703.64
FEDERAL NATL MTG ASSN 962276 6.00000 03/01/2038 US 678.46 $696.44
FEDERAL NATL MTG ASSN 962981 6.00000 05/01/2038 US 1,120.72 $1,150.12
FEDERAL NATL MTG ASSN 981635 5.00000 06/01/2038 US 458.33 $448.51
FEDERAL NATL MTG ASSN 981650 5.00000 06/01/2038 US 525.47 $514.17
FEDERAL NATL MTG ASSN AD0119 6.00000 07/01/2038 US 6,462.63 $6,634.06
FEDERAL NATL MTG ASSN AD0220 6.00000 10/01/2038 US 6,840.05 $7,020.79
FEDERAL NATL MTG ASSN AD0462 5.50000 10/01/2024 US 9.47 $9.41
FEDERAL NATL MTG ASSN AE0951 4.50000 02/01/2041 US 18,181.44 $17,352.13
FEDERAL NATL MTG ASSN AH5442 4.50000 05/01/2041 US 29,615.73 $28,219.96
FEDERAL NATL MTG ASSN AH9054 4.50000 04/01/2041 US 7,028.99 $6,698.97
FEDERAL NATL MTG ASSN AL6624 4.50000 09/01/2042 US 10,570.58 $10,074.28
FEDERAL NATL MTG ASSN AL7767 4.50000 06/01/2044 US 56,070.12 $53,437.56
FEDERAL NATL MTG ASSN AL8674 FLT 5.64400 01/01/2049 US 172,750.09 $174,330.38
FEDERAL NATL MTG ASSN AS4103 4.50000 12/01/2044 US 79,437.6 $75,350.67
FEDERAL NATL MTG ASSN BC6764 3.50000 04/01/2046 US 15,620.06 $13,758.30
FEDERAL NATL MTG ASSN BC8677 4.00000 05/01/2046 US 33,220.51 $30,326.14
FEDERAL NATL MTG ASSN BD6987 4.00000 10/01/2046 US 43,252.63 $39,484.20
FEDERAL NATL MTG ASSN BK0433 3.50000 12/01/2049 US 221,785.76 $192,057.46
FEDERAL NATL MTG ASSN BW1194 4.00000 09/01/2052 US 469,135.56 $419,448.28
FEDERAL NATL MTG ASSN BW9887 5.00000 10/01/2052 US 316,678.97 $300,571.29
FEDERAL NATL MTG ASSN CA5518 3.00000 04/01/2050 US 426,620.15 $358,551.37
FEDERAL NATL MTG ASSN CB4831 4.50000 10/01/2052 US 359,706.65 $332,031.16
FEDERAL NATL MTG ASSN FN FS1179 3.50000 12/01/2049 US 415,349.28 $365,451.97
FEDERAL NATL MTG ASSN FN MA3184 4.50000 11/01/2047 US 36,669.57 $34,449.82
FEDERAL NATL MTG ASSN FN MA3412 3.50000 07/01/2038 US 30,433.34 $27,862.86
FEDERAL NATL MTG ASSN FN MA4687 4.00000 06/01/2042 US 436,464.49 $400,978.73
FEDERAL NATL MTG ASSN FS2998 3.50000 04/01/2052 US 215,751.04 $188,386.64
FEDERAL NATL MTG ASSN FS4511 4.00000 08/01/2051 US 388,579.18 $352,709.23
FEDERAL NATL MTG ASSN MA0258 4.50000 12/01/2039 US 1,801.19 $1,723.06
FEDERAL NATL MTG ASSN MA1834 4.50000 02/01/2034 US 42,992.2 $41,687.44
FEDERAL NATL MTG ASSN MA1903 4.50000 05/01/2034 US 36,393.28 $35,285.65
FEDERAL NATL MTG ASSN MA4600 3.50000 05/01/2052 US 235,454.74 $203,222.53
FEDERAL NATL MTG ASSN MA4644 4.00000 05/01/2052 US 458,691.41 $410,110.29
FEDERAL NATL MTG ASSN SD4235 6.00000 11/01/2053 US 222,719.82 $221,718.55
FEDERAL NATL MTG ASSN SD8044 3.00000 02/01/2050 US 440,034.19 $368,846.65
FEDERAL NATL MTG ASSN SD8276 5.00000 12/01/2052 US 519,459.11 $492,968.21
FEDERAL NATL MTG FN MA4203 2.50000 12/01/2040 US 477,649.34 $403,666.38
FHLM GOLD POOL FG G08786 4.50000 10/01/2047 US 77,946.76 $73,326.65
FHLM GOLD POOL FG Q51334 4.00000 10/01/2047 US 32,804.42 $29,892.03
FHLM POOL C91746 4.50000 12/01/2033 US 4,424.7 $4,300.99
FHLM POOL FG G08734 4.00000 11/01/2046 US 4,363.41 $3,988.45
FHLM POOL G03332 6.00000 10/01/2037 US 2,018.6 $2,074.78
FHLM POOL G05900 6.00000 03/01/2040 US 4,417.54 $4,540.56
FHLM POOL G05906 6.00000 04/01/2040 US 5,230.36 $5,376.02
FHLM POOL G06789 6.00000 05/01/2040 US 17,835.01 $18,331.67
FHLM POOL G06995 6.00000 05/01/2040 US 12,846.15 $13,203.88
FHLM POOL Q93451 4.50000 08/01/2040 US 55,220.97 $52,774.41
FHLM POOL SD8230 4.50000 06/01/2052 US 418,750.31 $386,187.52
FHR 5189 CP 2.50000 06/25/2049 US 166,532.72 $136,782.96
FINECOBANK SPA IT FBK IM 1,242.44 $19,033.82
FIRST INDUSTRIAL REALTY TR US FR 245.02 $11,128.85
FLAGSHIP COMMUNITIES REIT UT US MHC/U CN 1,238.36 $18,723.93
FLX 2021-1A A2 3.25000 11/27/2051 US 437,491.46 $396,172.34
FN DS2696 3.00000 12/01/2051 US 255,470.16 $214,066.14
FN FS4339 MTGE 3.00000 12/01/2050 US 547,272.52 $461,280.96
FN FS4616 MTGE 5.00000 05/01/2043 US 289,236.65 $280,366.17
FN FS4925 MTGE 3.50000 04/01/2052 US 669,850.06 $584,890.82
FN MA4020 MTGE 3.00000 05/01/2050 US 374,543.7 $313,841.44
FN MA4733 4.50000 09/01/2052 US 252,247.93 $232,715.34
FN MA4807 MTGE 5.50000 11/01/2052 US 379,062.57 $369,591.41
FN MA4868 MTGE 5.00000 01/01/2053 US 438,815.26 $416,436.96
FN MA4934 MTGE 5.00000 02/01/2043 US 626,912.37 $606,347.00
FNR 2018-31 KP 3.50000 07/25/2047 US 4,582.1 $4,432.75
FR RJ0062 MTGE 5.00000 10/01/2053 US 164,105.9 $155,900.28
FR SD1360 MTGE 5.50000 07/01/2052 US 617,458.11 $601,412.62
FREDDIE MAC POOL RB5167 3.50000 07/01/2042 US 215,779.24 $193,173.80
FREDDIE MAC POOL RB5188 4.00000 10/01/2042 US 215,565.27 $198,039.22
GLOBANT SA LU GLOB 153.83 $27,472.28
GNMA POOL 660997 5.50000 05/15/2037 US 6,353.46 $6,425.15
GNR 2017-54 AH MTGE 2.60000 12/16/2056 US 33,562.08 $30,039.30
GOLDEN PEAR FUND HOLDCO 10.00000 03/02/2028 US 44,973.33 $37,806.94
GOODG 2020-1A MTGE 2.63000 04/15/2055 US 104,097.46 $83,757.74
GOODMAN GROUP AU GMG AU 887.09 $17,918.87
GSMBS 2021-INV1 A6 2.50000 12/25/2051 US 104,529.35 $87,958.98
GSMBS 2021-INV1 A9 5.00000 12/25/2051 US 130,712.52 $120,825.54
GSMBS 2021-PJ6 A8 2.50000 11/25/2051 US 336,556.88 $288,841.56
GSMBS 2021-PJ9 A8 2.50000 02/26/2052 US 178,291.64 $150,196.23
GSMBS 2022-PJ1 A8 2.50000 05/28/2052 US 130,940.77 $110,160.29
HALMA PLC GB HLMA LN 1,843.97 $50,537.32
HAWAII ST 2.68200 10/01/2038 US 270,605.48 $198,509.84
HDFC BANK LTD-ADR IN HDB 9,266.64 $533,758.42
HEINEKEN NV NL HEIA NA 617.42 $60,086.61
HEINEKEN NV-SPN ADR NL HEINY 11,754.07 $572,893.35
HELIOS TOWERS PLC GB HTWS LN 12,461.36 $15,215.40
HOTWIRE FUNDING LLC 5.68700 05/20/2053 US 501,740.29 $484,533.76
HUMANA INC US HUM 674.13 $203,646.51
HUNTINGTON BANCSHARES 2.55000 02/04/2030 US 316,638.83 $263,918.28
IMCD NV NL IMCD NA 322.67 $48,683.13
IMPRL 2021-NQM3 1.59500 11/25/2056 US 206,002.53 $170,621.14
INFRABUILD AUTRALIA PTY 14.50000 11/15/2028 AU 75,356.73 $77,847.63
INTERCONTINENTALEXCHANGE INC US ICE 2,507.06 $322,809.03
INTERMEDIATE CAPITAL GROUP GB ICG LN 1,426.59 $37,182.54
INTUITIVE SURGICAL INC US ISRG 589.2 $218,368.67
INVITATION HOMES INC US INVH 1,623.78 $55,533.34
ISHARES BROAD USD HIGH YIELD 2.45200 US 53,188.51 $1,911,594.88
ITALY GOV'T INT BOND 2.37500 10/17/2024 IT 63,365.3 $62,397.19
JAPAN (2 YEAR ISSUE) 0.10000 01/01/2026 JP 42,709,749.91 $270,202.01
JEFFERIES FIN GROUP INC 6.20000 04/14/2034 US 401,480.47 $396,748.72
JOHNSON & JOHNSON US JNJ 4,291.59 $620,521.39
JPMMT 2014-2 1A1 3.00000 06/25/2029 US 35,055.26 $33,513.42
JPMMT 2019-INV3 A3 MTGE 3.50000 05/25/2050 US 361,434.65 $305,109.23
JPMORGAN CHASE & CO 4.49300 03/24/2031 US 669,822.37 $634,050.17
KEY BANK NA 5.85000 11/15/2027 US 271,569.81 $266,460.29
KEYENCE CORP JP 6861 JP 104.97 $46,163.04
KEYWORDS STUDIOS PLC IE KWS LN 886.29 $12,655.50
L'OREAL FR OR FP 20.8 $9,753.11
L3HARRIS TECHNOLOGIES INC US LHX 3,302.56 $706,914.02
LEXINGTON REALTY TRUST US LXP 3,117.99 $26,035.24
LONZA GROUP AG -REG CH LONN SW 71.95 $39,715.94
LONZA GROUP AG ADR CH LZAGY 4,072.69 $225,341.82
MARRIOTT VACATIONS WORLD US VAC 128.33 $12,333.54
MASCO CORP US MAS 3,017.17 $206,525.32
MASSMUTUAL GLOBAL FUNDING 4.85000 01/17/2029 US 147,533.4 $143,964.14
MASTERCARD INC-CLASS A US MA 1,828.22 $824,893.94
MEDTRONIC INC IE MDT 3,134.95 $251,548.40
MERCADOLIBRE INC BR MELI 270.02 $393,880.92
MET LIFE GLOB FUNDING I 4.85000 01/08/2029 US 147,533.4 $143,870.15
META PLATFORMS INC US META 1,221.13 $525,292.45
MEX BONOS DESARR FIX RT 7.75000 05/29/2031 MX 240,269.92 $12,440.61
MICRON TECHNOLOGY INC US MU 5,628.59 $635,805.12
MICROSOFT CORP US MSFT 826.05 $321,605.38
MID-AMERICA APARTMENT COMM US MAA 100.43 $13,055.59
MONARCH CASINO & RESORT INC US MCRI 306.08 $20,742.90
MONDELEZ INTERNATIONAL INC US MDLZ 3,147.9 $226,459.92
MOODY'S CORPORATION US MCO 1,243.01 $460,325.66
NAVIENT CORP 6.75000 06/25/2025 US 79,497.41 $79,317.96
NESTLE S.A. - ADR CH NSRGY 5,047.69 $507,797.13
NESTLE SA-REGISTERED CH NESN SW 505.24 $50,726.12
NEW FORTRESS ENERGY INC 8.75000 03/15/2029 US 82,386.69 $80,292.11
NEW YORK LIFE GLOBAL FDG 4.70000 01/29/2029 US 134,003.49 $130,479.13
NEWCASTLE COAL INFRASTRU 4.40000 09/29/2027 AU 265,711.66 $248,469.19
NORTHROP GRUMMAN CORP US NOC 719.53 $348,992.59
NORTHWEST ACQ/DOMINION 7.12500 11/01/2022 CA 92,015.13 $0.92
NOVARTIS AG- REG CH NVS 2,823.38 $274,234.96
NRG 7.467 07/31/28 CORP 7.46700 07/31/2028 US 238,683.61 $248,874.51
NRZT 2014-3A AFX3 3.75000 11/25/2054 US 60,267.65 $55,164.42
NRZT 2015-2A A1 3.75000 08/25/2055 US 67,056.56 $61,296.89
NRZT 2016-4A A1 3.75000 11/25/2056 US 109,034.36 $99,168.52
NYMT 2022-CP1 A1 2.04240 07/25/2061 US 101,938.86 $91,339.40
OASIS 2023-1A 7.00000 02/15/2035 US 118,164.82 $117,876.69
OBX 2022-INV1 A1 3.00000 12/25/2051 US 135,262.1 $109,849.43
OBX 2024-NQM1 A1 5.92800 11/25/2063 US 123,968.37 $122,733.30
OPEN INFRA IS ASSETS AB 11.00000 02/22/2027 US 117,484.9 $116,676.38
OXFIN 2020-1A A2 3.10100 02/15/2028 US 63,601.26 $62,629.32
OXFIN 2022-1A 3.60200 02/15/2030 US 385,516.83 $367,921.87
OXFIN 2023-1A A2 6.71600 02/15/2031 US 399,463.56 $399,746.98
OXFINF 2024-A A2 6.67500 01/14/2032 US 43,913.31 $43,486.95
PALOMINO FUNDING TRUST I 7.23300 05/17/2028 US 487,816.46 $503,010.97
PEAR 2021-1 A MTGE 2.60000 01/15/2034 US 226,783.53 $219,598.87
PEAR 2023-1A 7.42000 07/15/2035 US 221,838.4 $222,212.82
PEAR 2024-1 A 6.95000 02/15/2036 US 112,531.83 $111,649.06
PELORUS FUND REIT 7.00000 09/30/2026 US 43,766.05 $42,627.78
PFMT 2021 -INV1 A1 2.50000 08/25/2051 US 379,421.05 $297,518.12
PFMT 2021-2 A2A 2.00000 04/25/2051 US 227,835.29 $185,286.10
PHILIP MORRIS INTERNATIONAL US PM 6,406.05 $608,190.36
PMTLT 2013-J1 a9 3.50000 09/25/2043 US 23,703.67 $21,056.84
PNC FINANCIAL SERVICES FLT 5.81200 06/12/2026 US 158,608.34 $158,543.62
PROLOGIS US PLD 1,167.62 $119,155.60
PUBLIC STORAGE INC US PSA 208.06 $53,980.87
RCKT 2021-6 A1 2.50000 12/25/2051 US 349,966.34 $273,654.22
REALTY INCOME CORP US O 370.79 $19,851.92
REXFORD INDUSTRIAL REALITY IN US REXR 746.7 $31,966.43
S&P GLOBAL INC US SPGI 758.03 $315,212.52
SBA COMMUNICATIONS CORP US SBAC 275.47 $51,271.01
SBA TOWER TRUST 1.88400 01/15/2026 US 199,938.05 $186,060.03
SBA TOWER TRUST 6.59900 01/15/2028 US 389,779.83 $395,494.47
SCML 2019-SBC8 2.86000 04/25/2041 US 103,372.43 $95,171.44
SEMT 2013-2 1.87400 02/25/2043 US 30,882.05 $25,419.86
SEMT 2013-6 A2 3.00000 05/25/2043 US 62,645.24 $54,030.34
SEMT 2013-7 A2 3.00000 06/25/2043 US 34,853.07 $30,003.63
SEMT 2013-8 A1 3.00000 06/25/2043 US 41,465.78 $35,951.30
SERVICENOW INC US NOW 322.72 $223,751.00
SIMON PROPERTY 2.25000 01/15/2032 US 289,428.05 $229,677.14
SIMON PROPERTY GROUP LP 2.65000 02/01/2032 US 651,964.14 $531,856.98
SIRIUSPOINT LTD 7.00000 04/05/2029 BM 279,273.31 $279,599.46
SLMA 2006-10 A6 FLT 5.75948 03/25/2044 US 25,603.11 $24,809.56
SLMA 2008-3 A3 6.60948 10/25/2021 US 452,860.02 $448,519.87
SLMA 2008-4 A4 7.25948 07/25/2022 US 459,126.09 $462,637.05
SMB 2019-B A2A 2.84000 06/15/2037 US 107,081.96 $101,405.64
SMB 2020-BA A1A 1.29000 07/15/2053 US 170,609.05 $154,388.83
SOFTCAT PLC GB SCT LN 1,267.39 $24,807.08
SONY CORP FIRST SECTION JP 6758 JP 511.38 $42,266.56
SORT 2020-1 A1 MTGE 1.69000 07/15/2060 US 226,721.5 $212,493.98
SORT 2020-1 A2 1.99000 07/15/2060 US 183,837.57 $157,598.40
SOUTH CAROLINA ST PUBLIC SVC 1.85200 12/01/2026 US 103,321.86 $94,218.69
SOUTH CAROLINA ST PUBLIC SVC 2.32900 12/01/2028 US 88,989.77 $77,743.69
SRPT 2014-STAR A FLTG RATE 8.50000 11/15/2027 US 317,700.71 $197,211.32
STR 2019-1 A1 MTGE 2.82000 11/20/2049 US 101,237.71 $93,048.13
SUN COMMUNITIES US SUI 459.12 $51,109.04
TAIWAN SEMICONDUCTOR - SP ADR TW TSM 6,325.62 $868,761.29
TECHTRONIC INDUSTRIES CO LTD HK 669 HK 3,659.63 $50,573.51
TECHTRONIC INDUSTRIES-SP ADR HK TTNDY 3,613.49 $249,764.50
TENCENT HOLDINGS 3.97500 04/11/2029 KY 808,643.81 $755,261.02
TENCENT HOLDINGS LTD CN 700 HK 1,255.82 $55,109.54
TERRENO REALTY CORP US TRNO 603.6 $32,805.45
THERMO FISHER SCIENTIFIC INC US TMO 389.55 $221,542.98
TPMT 2016-5 A1 2.50000 10/25/2056 US 710.73 $707.88
TPMT 2019-HY1 A1 6.43133 10/25/2048 US 43,468.19 $44,117.33
TREASURY BOND 2.37500 02/15/2042 US 3,376,094.74 $2,365,376.38
TREASURY NOTE 2.25000 11/15/2027 US 2,867,176.47 $2,627,722.45
TRUIST FINANCIAL CORP FLT 1.88700 06/07/2029 US 467,061.5 $398,854.16
TSY INFL IX N/B 0.12500 01/15/2031 US 523,263.73 $454,442.29
TSY INFL IX N/B 2.37500 01/15/2027 US 1,282,159.16 $1,278,803.51
TUTOR PERINI CORP 11.87500 04/30/2029 US 76,512.44 $78,332.62
UDR INC US UDR 380.78 $14,500.22
UNION PAC CORP US UNP 1,407.85 $333,886.59
UNITED AIR 2018-1 B PTT 4.60000 03/01/2026 US 11,483.76 $10,973.47
UNITED AIR 2019-2 B PTT 3.50000 05/01/2028 US 65,412.53 $60,240.37
UNITED STATES TREAS NTS 2.25000 11/15/2024 US 969,087.77 $953,112.97
UNITEDHEALTH GROUP INC US UNH 471.76 $228,191.21
US BANCORP FLT 4.65300 02/01/2029 US 412,651.11 $397,655.42
US CLAIMS LIT FNDG LLC 10.25000 03/17/2028 US 28,892.78 $24,547.53
US DOLLAR US 1,705,388.15 $1,705,388.15
US TEASURY NOTE 1.75000 11/15/2029 US 2,317,866.28 $1,991,554.17
US TREASURY N/B 0.87500 11/15/2030 US 1,036,425.12 $816,022.84
US TREASURY N/B 2.00000 11/15/2026 US 1,108,394.14 $1,031,152.92
US TREASURY N/B 2.25000 11/15/2025 US 2,871,456.1 $2,748,521.89
US TREASURY N/B 3.62500 02/15/2053 US 609,406.55 $497,523.31
US TREASURY N/B 4.12500 11/15/2032 US 1,743,159.29 $1,673,160.55
VAIL RESORTS INC US MTN 2,137.91 $404,855.10
VENTAS INC US VTR 467.09 $20,682.86
VERTEX PHARMACEUTICALS INC US VRTX 844.31 $331,654.83
VISA INC - CLASS A SHARES US V 2,485.11 $667,526.04
WARNERMEDIA HOLDINGS INC 4.05400 03/15/2029 US 412,168.94 $375,731.09
WELLS FARGO & COMPANY 5.70700 04/22/2028 US 400,324.76 $400,916.42
WELLTOWER INC. US WELL 619.05 $58,983.39
WIN 2015-1 A1 3.50000 01/20/2045 US 23,412.39 $20,965.18

Based on the investments of the underlying fund(s): Manning & Napier Pro-Mix® Conservative Term CIT Fund. Investments will change over time and as the target date fund gradually becomes more conservative. Fund holdings list does not include securities with positions less than 0.005 shares.

A Word About Risk

Each Manning & Napier Retirement Target CIT Fund is invested in one or two of four proprietary risk-based funds, the Manning & Napier Pro-Mix® CIT Funds, based on the Retirement Target CIT Fund becoming increasingly conservative over time. Because the underlying funds invest in both stocks and bonds, the value of your investment will fluctuate in response to stock market movements and changes in interest rates. Investing in target date funds will also involve a number of other risks, including issuer-specific risk, foreign investment risk, and small-cap/mid-cap risk, as the underlying investments change over time. Investments in options and futures, like all derivatives, can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses. Principal value is not guaranteed at any time, including at the target date (the approximate year when an investor plans to stop contributions and start periodic withdrawals).

About The Fund Manager

Manning & Napier Advisors, LLC (Manning & Napier) provides investment advisory services to Exeter Trust Company, Trustee of the Manning & Napier Collective Investment Trust Funds. Manning & Napier is headquartered in Rochester, NY and has more than 50 years of experience managing life cycle investment objectives. The Firm’s active management approach focuses on participating in rising markets and, as important, helping to reduce the risk of large losses in sustained bear market periods. A team of investment analysts and professionals make all investment decisions in an effort to provide investors with strong risk-adjusted returns.

Daily Price

$28.89

Daily $ Change

$0.10

Daily % Change

0.35%

as of 05/09/2024

CUSIP

563821172

Inception Date

01/06/2005

This fund is only available for use within certain qualified employee benefit plans.

Important Documents

Applications & Forms
Fact Sheet
Annual Report

Each Retirement Target CIT Fund seeks to achieve its investment objectives by investing in a combination of other Manning & Napier CIT Funds (the “underlying CIT Funds”) in order to meet its target asset allocations and investment style. The financial statements of the underlying Pro-Mix® CIT Funds should be read in conjunction with the Retirement Target CIT Funds’ financial statements.
Pro-Mix® CIT Fund Annual Report

Investment Objective

To provide capital growth and manage risk for investors planning to retire in or around the year indicated in the fund’s name.

Investment Strategy

Currently: The portfolio is currently invested in a moderately conservative mix of investments that seeks a more stable rate of growth than that of the stock market by placing a greater emphasis on bonds to help maintain stability. The portfolio is diversified primarily among fixed income securities, with a focus on intermediate maturities Stock exposure can range from 17% - 55%.

Over Time: The portfolio’s investment mix will gradually become more conservative as the target date approaches and for several years after the target date. During the target year, the portfolio’s stock exposure can range from 20% - 60%. At five years after the target date and beyond, the focus will be on capital preservation, and stock exposure can range from 13% - 47%.

May be Appropriate for Investors

  • Who plan to stop contributions and start periodic withdrawals around the year 2020
  • Who currently have a moderate tolerance for risk and can accept fluctuations in current account value
  • Who prefer to take advantage of professional management through a single, diversified investment portfolio that becomes more conservative over time

About Target Date Funds

A target date fund is a single investment portfolio designed to meet an investor’s changing needs over time. The fund gradually shifts from a more aggressive to a more conservative investment objective over the years to reflect an appropriate risk/return trade-off for the investor’s changing time horizon.

Learn more about our Glide Range SM

Performance

As of 04/30/2024

YTD

-1.08%

1 Year

3.06%

3 Year

-0.99%

5 Year

4.60%

10 Year

3.90%

Inception
(01/06/2005)

5.92%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. Your investment may fluctuate in value and there is a potential for loss as well as profit.

Performance through the inception date of the Retirement Target CIT Class S Units is not the past performance of the Retirement Target CIT Fund and is based on historical performance data of the Manning & Napier Pro-Mix® CIT Fund(s) that would have been held according to the Retirement Target CIT Fund’s glide path. The Retirement Target CIT Fund will gradually become more conservative over time. Returns are net of the Class S expenses.

Expense Ratio

Gross 0.90%
Net 0.89%*

*Includes acquired fund fees and expenses of the underlying collective investment trusts and reflects the Trustee’s contractual agreement to limit fees and voluntary agreement to reimburse certain expenses.

Top Ten Investments

As of 04/30/2024

TREASURY NOTES 16.10%
GOVERNMENT AGENCY 15.07%
TREASURY BONDS 3.89%
ISHARES BROAD USD HIGH YIELD 2.45200 2.60%
TSY INFL IX N/B 2.37500 01/15/2027 1.74%
AMAZON.COM INC 1.49%
ALPHABET INC-CL A 1.31%
TAIWAN SEMICONDUCTOR - SP ADR 1.18%
MASTERCARD INC-CLASS A 1.12%
TENCENT HOLDINGS 3.97500 04/11/2029 1.03%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 04/30/2024

Bonds
67.91%
Stocks
29.82%
Cash
2.27%

Detailed Asset Class Allocation

As of 04/30/2024

International Equities
9.57%
Small Capitalization
0.20%
Mid Capitalization
2.14%
Large Capitalization
17.90%
Long Term Fixed Income
14.00%
Intermediate Term Fixed Income
43.25%
Short Term Fixed Income
10.67%
Cash
2.27%

Due to rounding, the sum of the detailed asset class allocation categories may not equal the asset allocation totals provided above.

Security Description Country Ticker Shares/Par Market Value (USD)
ADMIRAL GROUP PLC GB ADM LN 1,711.41 $58,251.57
ADMIRAL GROUP PLC ADR GB AMIGY 6,423.05 $218,512.96
AERCAP IRELAND CAP/GLOBA 3.00000 10/29/2028 IE 291,842.6 $260,328.02
AGREE REALTY CORP US ADC 451.24 $25,819.97
AIR LIQUIDE FR AI FP 214.67 $41,983.99
AIRBUS SE FR AIR FP 239.32 $39,381.92
ALASKA AIR 2020-1 CL B 8.00000 08/15/2025 US 14,996.09 $15,136.15
ALCON INC CH ALC SW 143.08 $10,970.70
ALCON INC CH ALC 3,080.25 $238,966.05
ALIBAB GROUP HOLDINGS 2.12500 02/09/2031 KY 177,964.65 $143,936.93
ALIBABA GROUP HOLDING 4.00000 12/06/2037 KY 567,505.25 $471,660.12
ALPHABET INC-CL A US GOOGL 5,913.73 $962,637.71
AMAZON.COM INC US AMZN 6,253.81 $1,094,416.97
AMERICAN HEALTHCARE REIT INC US AHR 980.72 $13,465.28
AMERICAN HOMES 4 RENT- A US AMH 958.8 $34,325.08
AMERICAN TOWER REIT INC US AMT 220.14 $37,766.48
AMERICOLD REALTY TRUST US COLD 777.04 $17,071.59
ASHTEAD CAPITAL INC 4.00000 05/01/2028 US 286,159.74 $266,988.45
ASTRAZENECA GB AZN 8,131.63 $617,028.44
ATLASSIAN CORP PLC-CLASS A AU TEAM 131.61 $22,676.60
AUCKLAND INTL AIRPORT LTD NZ AIA NZ 6,264.04 $28,975.02
AUTO TRADER GROUP PLC GB AUTO LN 3,859.77 $33,462.18
AVALONBAY COMMUNITIES INC US AVB 238.51 $45,214.48
AVANZA BANK HOLDING AB SE AZA SS 783.3 $16,786.05
BAE SYSTEMS PLC GB BA/ LN 2,254.19 $37,492.24
BAE SYSTEMS PLC -SPON ADR GB BAESY 3,353.12 $225,899.87
BANK OF AMERICA CORP 2.68700 04/22/2032 US 458,971.53 $378,263.97
BEIERSDORF AG DE BEI GR 323.57 $48,633.34
BIOMARIN PHARMACEUTICAL INC US BMRN 4,385.22 $354,150.38
BNSF FUNDING TRUST I 6.61300 12/15/2055 US 231,940.72 $229,376.79
BORR IHC LTD 10.00000 11/15/2028 MUL 115,173.48 $119,142.86
BRENNTAG AG DE BNR GR 249.63 $19,921.60
BROOGE PETROLEUM AND GAS 8.50000 09/24/2025 AE 101,959.37 $71,758.48
CAALT 2021-3A B MTGE 1.38000 07/15/2030 US 196,470.91 $193,805.51
CANADIAN NATIONAL RAILWAY CO CA CNI 4,037.13 $490,268.91
CAPITAL ONE FINANCIAL CO 5.70000 02/01/2030 US 544,103.96 $536,549.50
CARETRUST REIT INC US CTRE 822.51 $20,332.41
CBSLT 2019-AGS A1 MTGE 2.54000 01/25/2047 US 42,459.99 $37,547.36
CELLNEX TELECOM SA ES CLNX SM 1,221.85 $40,387.77
CELLNEX TELECOM SAU-UNSP ADR ES CLLNY 1,198.7 $19,718.58
CENOVUS ENERGY INC 6.75000 11/15/2039 CA 346,300.84 $364,392.39
CGNT 2024-1A A2 7.92400 05/25/2054 US 163,279.03 $163,274.07
CIM 2019-INV1 A1 4.00000 02/25/2049 US 5,492.79 $5,130.91
CITIGROUP INC 1.46200 06/09/2027 US 428,687.53 $392,424.31
CITIZENS BANK NA RI FLT 4.57500 08/09/2028 US 279,755.48 $264,880.90
CLARK CNTY NV 1.51000 11/01/2028 US 520,790.91 $447,359.56
CLEANAWAY WASTE MANAGEMENT AU CWY AU 19,819.82 $34,287.72
COCA COLA CO/THE US KO 11,547.46 $713,286.89
COLO 2021-2A A2 MTGE 2.40000 10/25/2051 US 268,581.12 $240,178.91
COLO 2023 - 1A A2 MTGE 5.11600 02/25/2053 US 271,812.76 $254,682.10
COLT 2024-INV1 A1 5.90300 12/25/2068 US 137,338.07 $136,011.18
CONSTELLATION BRANDS INC-A US STZ 1,325.06 $335,850.26
COPART INC US CPRT 6,228.86 $338,289.19
CROWN CASTLE INTL CORP US CCI 193.07 $18,106.45
CSMC 2013-IVR3 A1 2.50000 05/25/2043 US 59,092.66 $49,251.18
CSMC 2013-TH1 A1 2.13000 02/25/2043 US 34,800.56 $28,619.98
CSX CORP US CSX 12,715 $422,392.41
DEUTSCHE BOERSE AG DE DB1 GR 319.4 $61,577.51
DEUTSCHE BOERSE AG ADR DE DBOEY 17,163.94 $330,234.14
DIGITAL REALTY TRUST INC US DLR 168.31 $23,358.54
DIGITALBRIDGE GROUP INC US DBRG 1,033.67 $16,993.47
DOLLARAMA INC CA DOL CN 526.44 $43,915.22
ELECTRONIC ARTS US EA 4,448.96 $564,216.93
ENERGY TRANSFER LP 7.37500 02/01/2031 US 255,680.64 $263,583.90
ENERGY TRANSFER OPERATNG 6.50000 02/01/2042 US 381,498.47 $386,527.74
EQUINIX INC US EQIX 214.08 $152,233.10
EQUITY COMMONWEALTH US EQC 1,089.28 $20,391.23
EQUITY LIFESTYLE PROPERTIES US ELS 623.4 $37,584.61
EQUITY RESIDENTIAL US EQR 516.76 $33,279.03
EVERGY INC US EVRG 6,702.42 $351,541.74
EXPERIAN PLC IE EXPN LN 829.79 $33,468.71
EXTRA SPACE STORAGE INC US EXR 265.48 $35,648.16
FASST 2022-S6 A1 3.00000 07/25/2061 US 120,416.25 $113,869.53
FEDERAL NATIONAL FS5443 MTGE 4.50000 06/01/2043 US 229,282.02 $215,148.75
FEDERAL NATL MTG ASSN 745932 6.50000 11/01/2036 US 1,231.28 $1,281.27
FEDERAL NATL MTG ASSN 889576 6.00000 04/01/2038 US 13,311.99 $13,665.12
FEDERAL NATL MTG ASSN 899735 6.50000 09/01/2037 US 1,076.83 $1,122.70
FEDERAL NATL MTG ASSN 941175 6.00000 11/01/2037 US 204.03 $209.43
FEDERAL NATL MTG ASSN 949709 6.50000 09/01/2037 US 4,272.62 $4,453.80
FEDERAL NATL MTG ASSN 954580 6.00000 02/01/2038 US 2,633.77 $2,703.64
FEDERAL NATL MTG ASSN 962276 6.00000 03/01/2038 US 678.46 $696.44
FEDERAL NATL MTG ASSN 962981 6.00000 05/01/2038 US 1,120.72 $1,150.12
FEDERAL NATL MTG ASSN 981635 5.00000 06/01/2038 US 458.33 $448.51
FEDERAL NATL MTG ASSN 981650 5.00000 06/01/2038 US 525.47 $514.17
FEDERAL NATL MTG ASSN AD0119 6.00000 07/01/2038 US 6,462.63 $6,634.06
FEDERAL NATL MTG ASSN AD0220 6.00000 10/01/2038 US 6,840.05 $7,020.79
FEDERAL NATL MTG ASSN AD0462 5.50000 10/01/2024 US 9.47 $9.41
FEDERAL NATL MTG ASSN AE0951 4.50000 02/01/2041 US 18,181.44 $17,352.13
FEDERAL NATL MTG ASSN AH5442 4.50000 05/01/2041 US 29,615.73 $28,219.96
FEDERAL NATL MTG ASSN AH9054 4.50000 04/01/2041 US 7,028.99 $6,698.97
FEDERAL NATL MTG ASSN AL6624 4.50000 09/01/2042 US 10,570.58 $10,074.28
FEDERAL NATL MTG ASSN AL7767 4.50000 06/01/2044 US 56,070.12 $53,437.56
FEDERAL NATL MTG ASSN AL8674 FLT 5.64400 01/01/2049 US 172,750.09 $174,330.38
FEDERAL NATL MTG ASSN AS4103 4.50000 12/01/2044 US 79,437.6 $75,350.67
FEDERAL NATL MTG ASSN BC6764 3.50000 04/01/2046 US 15,620.06 $13,758.30
FEDERAL NATL MTG ASSN BC8677 4.00000 05/01/2046 US 33,220.51 $30,326.14
FEDERAL NATL MTG ASSN BD6987 4.00000 10/01/2046 US 43,252.63 $39,484.20
FEDERAL NATL MTG ASSN BK0433 3.50000 12/01/2049 US 221,785.76 $192,057.46
FEDERAL NATL MTG ASSN BW1194 4.00000 09/01/2052 US 469,135.56 $419,448.28
FEDERAL NATL MTG ASSN BW9887 5.00000 10/01/2052 US 316,678.97 $300,571.29
FEDERAL NATL MTG ASSN CA5518 3.00000 04/01/2050 US 426,620.15 $358,551.37
FEDERAL NATL MTG ASSN CB4831 4.50000 10/01/2052 US 359,706.65 $332,031.16
FEDERAL NATL MTG ASSN FN FS1179 3.50000 12/01/2049 US 415,349.28 $365,451.97
FEDERAL NATL MTG ASSN FN MA3184 4.50000 11/01/2047 US 36,669.57 $34,449.82
FEDERAL NATL MTG ASSN FN MA3412 3.50000 07/01/2038 US 30,433.34 $27,862.86
FEDERAL NATL MTG ASSN FN MA4687 4.00000 06/01/2042 US 436,464.49 $400,978.73
FEDERAL NATL MTG ASSN FS2998 3.50000 04/01/2052 US 215,751.04 $188,386.64
FEDERAL NATL MTG ASSN FS4511 4.00000 08/01/2051 US 388,579.18 $352,709.23
FEDERAL NATL MTG ASSN MA0258 4.50000 12/01/2039 US 1,801.19 $1,723.06
FEDERAL NATL MTG ASSN MA1834 4.50000 02/01/2034 US 42,992.2 $41,687.44
FEDERAL NATL MTG ASSN MA1903 4.50000 05/01/2034 US 36,393.28 $35,285.65
FEDERAL NATL MTG ASSN MA4600 3.50000 05/01/2052 US 235,454.74 $203,222.53
FEDERAL NATL MTG ASSN MA4644 4.00000 05/01/2052 US 458,691.41 $410,110.29
FEDERAL NATL MTG ASSN SD4235 6.00000 11/01/2053 US 222,719.82 $221,718.55
FEDERAL NATL MTG ASSN SD8044 3.00000 02/01/2050 US 440,034.19 $368,846.65
FEDERAL NATL MTG ASSN SD8276 5.00000 12/01/2052 US 519,459.11 $492,968.21
FEDERAL NATL MTG FN MA4203 2.50000 12/01/2040 US 477,649.34 $403,666.38
FHLM GOLD POOL FG G08786 4.50000 10/01/2047 US 77,946.76 $73,326.65
FHLM GOLD POOL FG Q51334 4.00000 10/01/2047 US 32,804.42 $29,892.03
FHLM POOL C91746 4.50000 12/01/2033 US 4,424.7 $4,300.99
FHLM POOL FG G08734 4.00000 11/01/2046 US 4,363.41 $3,988.45
FHLM POOL G03332 6.00000 10/01/2037 US 2,018.6 $2,074.78
FHLM POOL G05900 6.00000 03/01/2040 US 4,417.54 $4,540.56
FHLM POOL G05906 6.00000 04/01/2040 US 5,230.36 $5,376.02
FHLM POOL G06789 6.00000 05/01/2040 US 17,835.01 $18,331.67
FHLM POOL G06995 6.00000 05/01/2040 US 12,846.15 $13,203.88
FHLM POOL Q93451 4.50000 08/01/2040 US 55,220.97 $52,774.41
FHLM POOL SD8230 4.50000 06/01/2052 US 418,750.31 $386,187.52
FHR 5189 CP 2.50000 06/25/2049 US 166,532.72 $136,782.96
FINECOBANK SPA IT FBK IM 1,242.44 $19,033.82
FIRST INDUSTRIAL REALTY TR US FR 245.02 $11,128.85
FLAGSHIP COMMUNITIES REIT UT US MHC/U CN 1,238.36 $18,723.93
FLX 2021-1A A2 3.25000 11/27/2051 US 437,491.46 $396,172.34
FN DS2696 3.00000 12/01/2051 US 255,470.16 $214,066.14
FN FS4339 MTGE 3.00000 12/01/2050 US 547,272.52 $461,280.96
FN FS4616 MTGE 5.00000 05/01/2043 US 289,236.65 $280,366.17
FN FS4925 MTGE 3.50000 04/01/2052 US 669,850.06 $584,890.82
FN MA4020 MTGE 3.00000 05/01/2050 US 374,543.7 $313,841.44
FN MA4733 4.50000 09/01/2052 US 252,247.93 $232,715.34
FN MA4807 MTGE 5.50000 11/01/2052 US 379,062.57 $369,591.41
FN MA4868 MTGE 5.00000 01/01/2053 US 438,815.26 $416,436.96
FN MA4934 MTGE 5.00000 02/01/2043 US 626,912.37 $606,347.00
FNR 2018-31 KP 3.50000 07/25/2047 US 4,582.1 $4,432.75
FR RJ0062 MTGE 5.00000 10/01/2053 US 164,105.9 $155,900.28
FR SD1360 MTGE 5.50000 07/01/2052 US 617,458.11 $601,412.62
FREDDIE MAC POOL RB5167 3.50000 07/01/2042 US 215,779.24 $193,173.80
FREDDIE MAC POOL RB5188 4.00000 10/01/2042 US 215,565.27 $198,039.22
GLOBANT SA LU GLOB 153.83 $27,472.28
GNMA POOL 660997 5.50000 05/15/2037 US 6,353.46 $6,425.15
GNR 2017-54 AH MTGE 2.60000 12/16/2056 US 33,562.08 $30,039.30
GOLDEN PEAR FUND HOLDCO 10.00000 03/02/2028 US 44,973.33 $37,806.94
GOODG 2020-1A MTGE 2.63000 04/15/2055 US 104,097.46 $83,757.74
GOODMAN GROUP AU GMG AU 887.09 $17,918.87
GSMBS 2021-INV1 A6 2.50000 12/25/2051 US 104,529.35 $87,958.98
GSMBS 2021-INV1 A9 5.00000 12/25/2051 US 130,712.52 $120,825.54
GSMBS 2021-PJ6 A8 2.50000 11/25/2051 US 336,556.88 $288,841.56
GSMBS 2021-PJ9 A8 2.50000 02/26/2052 US 178,291.64 $150,196.23
GSMBS 2022-PJ1 A8 2.50000 05/28/2052 US 130,940.77 $110,160.29
HALMA PLC GB HLMA LN 1,843.97 $50,537.32
HAWAII ST 2.68200 10/01/2038 US 270,605.48 $198,509.84
HDFC BANK LTD-ADR IN HDB 9,266.64 $533,758.42
HEINEKEN NV NL HEIA NA 617.42 $60,086.61
HEINEKEN NV-SPN ADR NL HEINY 11,754.07 $572,893.35
HELIOS TOWERS PLC GB HTWS LN 12,461.36 $15,215.40
HOTWIRE FUNDING LLC 5.68700 05/20/2053 US 501,740.29 $484,533.76
HUMANA INC US HUM 674.13 $203,646.51
HUNTINGTON BANCSHARES 2.55000 02/04/2030 US 316,638.83 $263,918.28
IMCD NV NL IMCD NA 322.67 $48,683.13
IMPRL 2021-NQM3 1.59500 11/25/2056 US 206,002.53 $170,621.14
INFRABUILD AUTRALIA PTY 14.50000 11/15/2028 AU 75,356.73 $77,847.63
INTERCONTINENTALEXCHANGE INC US ICE 2,507.06 $322,809.03
INTERMEDIATE CAPITAL GROUP GB ICG LN 1,426.59 $37,182.54
INTUITIVE SURGICAL INC US ISRG 589.2 $218,368.67
INVITATION HOMES INC US INVH 1,623.78 $55,533.34
ISHARES BROAD USD HIGH YIELD 2.45200 US 53,188.51 $1,911,594.88
ITALY GOV'T INT BOND 2.37500 10/17/2024 IT 63,365.3 $62,397.19
JAPAN (2 YEAR ISSUE) 0.10000 01/01/2026 JP 42,709,749.91 $270,202.01
JEFFERIES FIN GROUP INC 6.20000 04/14/2034 US 401,480.47 $396,748.72
JOHNSON & JOHNSON US JNJ 4,291.59 $620,521.39
JPMMT 2014-2 1A1 3.00000 06/25/2029 US 35,055.26 $33,513.42
JPMMT 2019-INV3 A3 MTGE 3.50000 05/25/2050 US 361,434.65 $305,109.23
JPMORGAN CHASE & CO 4.49300 03/24/2031 US 669,822.37 $634,050.17
KEY BANK NA 5.85000 11/15/2027 US 271,569.81 $266,460.29
KEYENCE CORP JP 6861 JP 104.97 $46,163.04
KEYWORDS STUDIOS PLC IE KWS LN 886.29 $12,655.50
L'OREAL FR OR FP 20.8 $9,753.11
L3HARRIS TECHNOLOGIES INC US LHX 3,302.56 $706,914.02
LEXINGTON REALTY TRUST US LXP 3,117.99 $26,035.24
LONZA GROUP AG -REG CH LONN SW 71.95 $39,715.94
LONZA GROUP AG ADR CH LZAGY 4,072.69 $225,341.82
MARRIOTT VACATIONS WORLD US VAC 128.33 $12,333.54
MASCO CORP US MAS 3,017.17 $206,525.32
MASSMUTUAL GLOBAL FUNDING 4.85000 01/17/2029 US 147,533.4 $143,964.14
MASTERCARD INC-CLASS A US MA 1,828.22 $824,893.94
MEDTRONIC INC IE MDT 3,134.95 $251,548.40
MERCADOLIBRE INC BR MELI 270.02 $393,880.92
MET LIFE GLOB FUNDING I 4.85000 01/08/2029 US 147,533.4 $143,870.15
META PLATFORMS INC US META 1,221.13 $525,292.45
MEX BONOS DESARR FIX RT 7.75000 05/29/2031 MX 240,269.92 $12,440.61
MICRON TECHNOLOGY INC US MU 5,628.59 $635,805.12
MICROSOFT CORP US MSFT 826.05 $321,605.38
MID-AMERICA APARTMENT COMM US MAA 100.43 $13,055.59
MONARCH CASINO & RESORT INC US MCRI 306.08 $20,742.90
MONDELEZ INTERNATIONAL INC US MDLZ 3,147.9 $226,459.92
MOODY'S CORPORATION US MCO 1,243.01 $460,325.66
NAVIENT CORP 6.75000 06/25/2025 US 79,497.41 $79,317.96
NESTLE S.A. - ADR CH NSRGY 5,047.69 $507,797.13
NESTLE SA-REGISTERED CH NESN SW 505.24 $50,726.12
NEW FORTRESS ENERGY INC 8.75000 03/15/2029 US 82,386.69 $80,292.11
NEW YORK LIFE GLOBAL FDG 4.70000 01/29/2029 US 134,003.49 $130,479.13
NEWCASTLE COAL INFRASTRU 4.40000 09/29/2027 AU 265,711.66 $248,469.19
NORTHROP GRUMMAN CORP US NOC 719.53 $348,992.59
NORTHWEST ACQ/DOMINION 7.12500 11/01/2022 CA 92,015.13 $0.92
NOVARTIS AG- REG CH NVS 2,823.38 $274,234.96
NRG 7.467 07/31/28 CORP 7.46700 07/31/2028 US 238,683.61 $248,874.51
NRZT 2014-3A AFX3 3.75000 11/25/2054 US 60,267.65 $55,164.42
NRZT 2015-2A A1 3.75000 08/25/2055 US 67,056.56 $61,296.89
NRZT 2016-4A A1 3.75000 11/25/2056 US 109,034.36 $99,168.52
NYMT 2022-CP1 A1 2.04240 07/25/2061 US 101,938.86 $91,339.40
OASIS 2023-1A 7.00000 02/15/2035 US 118,164.82 $117,876.69
OBX 2022-INV1 A1 3.00000 12/25/2051 US 135,262.1 $109,849.43
OBX 2024-NQM1 A1 5.92800 11/25/2063 US 123,968.37 $122,733.30
OPEN INFRA IS ASSETS AB 11.00000 02/22/2027 US 117,484.9 $116,676.38
OXFIN 2020-1A A2 3.10100 02/15/2028 US 63,601.26 $62,629.32
OXFIN 2022-1A 3.60200 02/15/2030 US 385,516.83 $367,921.87
OXFIN 2023-1A A2 6.71600 02/15/2031 US 399,463.56 $399,746.98
OXFINF 2024-A A2 6.67500 01/14/2032 US 43,913.31 $43,486.95
PALOMINO FUNDING TRUST I 7.23300 05/17/2028 US 487,816.46 $503,010.97
PEAR 2021-1 A MTGE 2.60000 01/15/2034 US 226,783.53 $219,598.87
PEAR 2023-1A 7.42000 07/15/2035 US 221,838.4 $222,212.82
PEAR 2024-1 A 6.95000 02/15/2036 US 112,531.83 $111,649.06
PELORUS FUND REIT 7.00000 09/30/2026 US 43,766.05 $42,627.78
PFMT 2021 -INV1 A1 2.50000 08/25/2051 US 379,421.05 $297,518.12
PFMT 2021-2 A2A 2.00000 04/25/2051 US 227,835.29 $185,286.10
PHILIP MORRIS INTERNATIONAL US PM 6,406.05 $608,190.36
PMTLT 2013-J1 a9 3.50000 09/25/2043 US 23,703.67 $21,056.84
PNC FINANCIAL SERVICES FLT 5.81200 06/12/2026 US 158,608.34 $158,543.62
PROLOGIS US PLD 1,167.62 $119,155.60
PUBLIC STORAGE INC US PSA 208.06 $53,980.87
RCKT 2021-6 A1 2.50000 12/25/2051 US 349,966.34 $273,654.22
REALTY INCOME CORP US O 370.79 $19,851.92
REXFORD INDUSTRIAL REALITY IN US REXR 746.7 $31,966.43
S&P GLOBAL INC US SPGI 758.03 $315,212.52
SBA COMMUNICATIONS CORP US SBAC 275.47 $51,271.01
SBA TOWER TRUST 1.88400 01/15/2026 US 199,938.05 $186,060.03
SBA TOWER TRUST 6.59900 01/15/2028 US 389,779.83 $395,494.47
SCML 2019-SBC8 2.86000 04/25/2041 US 103,372.43 $95,171.44
SEMT 2013-2 1.87400 02/25/2043 US 30,882.05 $25,419.86
SEMT 2013-6 A2 3.00000 05/25/2043 US 62,645.24 $54,030.34
SEMT 2013-7 A2 3.00000 06/25/2043 US 34,853.07 $30,003.63
SEMT 2013-8 A1 3.00000 06/25/2043 US 41,465.78 $35,951.30
SERVICENOW INC US NOW 322.72 $223,751.00
SIMON PROPERTY 2.25000 01/15/2032 US 289,428.05 $229,677.14
SIMON PROPERTY GROUP LP 2.65000 02/01/2032 US 651,964.14 $531,856.98
SIRIUSPOINT LTD 7.00000 04/05/2029 BM 279,273.31 $279,599.46
SLMA 2006-10 A6 FLT 5.75948 03/25/2044 US 25,603.11 $24,809.56
SLMA 2008-3 A3 6.60948 10/25/2021 US 452,860.02 $448,519.87
SLMA 2008-4 A4 7.25948 07/25/2022 US 459,126.09 $462,637.05
SMB 2019-B A2A 2.84000 06/15/2037 US 107,081.96 $101,405.64
SMB 2020-BA A1A 1.29000 07/15/2053 US 170,609.05 $154,388.83
SOFTCAT PLC GB SCT LN 1,267.39 $24,807.08
SONY CORP FIRST SECTION JP 6758 JP 511.38 $42,266.56
SORT 2020-1 A1 MTGE 1.69000 07/15/2060 US 226,721.5 $212,493.98
SORT 2020-1 A2 1.99000 07/15/2060 US 183,837.57 $157,598.40
SOUTH CAROLINA ST PUBLIC SVC 1.85200 12/01/2026 US 103,321.86 $94,218.69
SOUTH CAROLINA ST PUBLIC SVC 2.32900 12/01/2028 US 88,989.77 $77,743.69
SRPT 2014-STAR A FLTG RATE 8.50000 11/15/2027 US 317,700.71 $197,211.32
STR 2019-1 A1 MTGE 2.82000 11/20/2049 US 101,237.71 $93,048.13
SUN COMMUNITIES US SUI 459.12 $51,109.04
TAIWAN SEMICONDUCTOR - SP ADR TW TSM 6,325.62 $868,761.29
TECHTRONIC INDUSTRIES CO LTD HK 669 HK 3,659.63 $50,573.51
TECHTRONIC INDUSTRIES-SP ADR HK TTNDY 3,613.49 $249,764.50
TENCENT HOLDINGS 3.97500 04/11/2029 KY 808,643.81 $755,261.02
TENCENT HOLDINGS LTD CN 700 HK 1,255.82 $55,109.54
TERRENO REALTY CORP US TRNO 603.6 $32,805.45
THERMO FISHER SCIENTIFIC INC US TMO 389.55 $221,542.98
TPMT 2016-5 A1 2.50000 10/25/2056 US 710.73 $707.88
TPMT 2019-HY1 A1 6.43133 10/25/2048 US 43,468.19 $44,117.33
TREASURY BOND 2.37500 02/15/2042 US 3,376,094.74 $2,365,376.38
TREASURY NOTE 2.25000 11/15/2027 US 2,867,176.47 $2,627,722.45
TRUIST FINANCIAL CORP FLT 1.88700 06/07/2029 US 467,061.5 $398,854.16
TSY INFL IX N/B 0.12500 01/15/2031 US 523,263.73 $454,442.29
TSY INFL IX N/B 2.37500 01/15/2027 US 1,282,159.16 $1,278,803.51
TUTOR PERINI CORP 11.87500 04/30/2029 US 76,512.44 $78,332.62
UDR INC US UDR 380.78 $14,500.22
UNION PAC CORP US UNP 1,407.85 $333,886.59
UNITED AIR 2018-1 B PTT 4.60000 03/01/2026 US 11,483.76 $10,973.47
UNITED AIR 2019-2 B PTT 3.50000 05/01/2028 US 65,412.53 $60,240.37
UNITED STATES TREAS NTS 2.25000 11/15/2024 US 969,087.77 $953,112.97
UNITEDHEALTH GROUP INC US UNH 471.76 $228,191.21
US BANCORP FLT 4.65300 02/01/2029 US 412,651.11 $397,655.42
US CLAIMS LIT FNDG LLC 10.25000 03/17/2028 US 28,892.78 $24,547.53
US DOLLAR US 1,705,388.15 $1,705,388.15
US TEASURY NOTE 1.75000 11/15/2029 US 2,317,866.28 $1,991,554.17
US TREASURY N/B 0.87500 11/15/2030 US 1,036,425.12 $816,022.84
US TREASURY N/B 2.00000 11/15/2026 US 1,108,394.14 $1,031,152.92
US TREASURY N/B 2.25000 11/15/2025 US 2,871,456.1 $2,748,521.89
US TREASURY N/B 3.62500 02/15/2053 US 609,406.55 $497,523.31
US TREASURY N/B 4.12500 11/15/2032 US 1,743,159.29 $1,673,160.55
VAIL RESORTS INC US MTN 2,137.91 $404,855.10
VENTAS INC US VTR 467.09 $20,682.86
VERTEX PHARMACEUTICALS INC US VRTX 844.31 $331,654.83
VISA INC - CLASS A SHARES US V 2,485.11 $667,526.04
WARNERMEDIA HOLDINGS INC 4.05400 03/15/2029 US 412,168.94 $375,731.09
WELLS FARGO & COMPANY 5.70700 04/22/2028 US 400,324.76 $400,916.42
WELLTOWER INC. US WELL 619.05 $58,983.39
WIN 2015-1 A1 3.50000 01/20/2045 US 23,412.39 $20,965.18

Based on the investments of the underlying fund(s): Manning & Napier Pro-Mix® Conservative Term CIT Fund. Investments will change over time and as the target date fund gradually becomes more conservative. Fund holdings list does not include securities with positions less than 0.005 shares.

A Word About Risk

Each Manning & Napier Retirement Target CIT Fund is invested in one or two of four proprietary risk-based funds, the Manning & Napier Pro-Mix® CIT Funds, based on the Retirement Target CIT Fund becoming increasingly conservative over time. Because the underlying funds invest in both stocks and bonds, the value of your investment will fluctuate in response to stock market movements and changes in interest rates. Investing in target date funds will also involve a number of other risks, including issuer-specific risk, foreign investment risk, and small-cap/mid-cap risk, as the underlying investments change over time. Investments in options and futures, like all derivatives, can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses. Principal value is not guaranteed at any time, including at the target date (the approximate year when an investor plans to stop contributions and start periodic withdrawals).

About The Fund Manager

Manning & Napier Advisors, LLC (Manning & Napier) provides investment advisory services to Exeter Trust Company, Trustee of the Manning & Napier Collective Investment Trust Funds. Manning & Napier is headquartered in Rochester, NY and has more than 50 years of experience managing life cycle investment objectives. The Firm’s active management approach focuses on participating in rising markets and, as important, helping to reduce the risk of large losses in sustained bear market periods. A team of investment analysts and professionals make all investment decisions in an effort to provide investors with strong risk-adjusted returns.

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