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 balanced mix of securities that seeks a more stable rate of long-term growth than that of the broad stock market. The portfolio is diversified among fixed income securities, primarily with intermediate to long-term maturities, and various stocks. Stock exposure can range from 21% - 61%.

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 15% - 45%.

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.

Target Series Glide Path Overview

Learn more about our Glide Range SM

Daily Price

$23.44

Daily $ Change

-$0.07

Daily % Change

-0.30%

as of 10/22/2019

CUSIP

563821172

Inception Date

01/06/2005

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

Important Documents

Annual Report
Applications & Forms

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 09/30/2019

YTD

12.63%

1 Year

6.93%

3 Year

5.64%

5 Year

3.83%

10 Year

6.48%

Inception
(01/01/2000)

6.33%

US Stock Market Cycle (04/01/2000 - 09/30/2019)

6.35%

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. 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.

Expense Ratio

Gross 0.89%
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 09/30/2019

GOVERNMENT AGENCY 12.61%
TREASURY BONDS 8.07%
TREASURY NOTES 6.97%
UNITED STATES TREAS INFL INDEX 0.12500 04/15/2020 3.09%
TSY INFL IX N/B 0.50000 04/15/2024 1.56%
MEDTRONIC INC 1.38%
MASTERCARD INC-CLASS A 1.22%
MICROSOFT CORP 1.22%
NOVARTIS AG- REG 1.21%
VISA INC - CLASS A SHARES 1.16%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 09/30/2019

Bonds 61.03%
Stocks 37.94%
Cash 1.03%

Detailed Asset Class Allocation

As of 09/30/2019

International Equities 15.43%
Small Capitalization 0.30%
Mid Capitalization 0.71%
Large Capitalization 21.50%
Long Term Fixed Income 21.74%
Intermediate Term Fixed Income 30.88%
Short Term Fixed Income 8.41%
Cash 1.03%

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

September Fund Holdings

As of 09/30/2019

CUSIP Security Description Country Ticker Shares/Par Market Value (USD)
00101JAK2 ADT SEC CORP 6.25000 10/15/2021 US 11,993.42 $12,772.99
00206RDQ2 AT&T INC 4.25000 03/01/2027 US 747,559.53 $813,355.23
00287Y109 ABBVIE INC US ABBV 229.05 $17,343.93
004239109 ACADIA REALTY TRUST US AKR 401.58 $11,477.29
00489LAA1 ACRISURE LLC / FIN INC 7.00000 11/15/2025 US 13,492.6 $12,579.15
00507V109 ACTIVISION INC US ATVI 15,793.5 $835,791.90
00774MAG0 AERCAP IRELAND CAP / GLOBA 4.45000 10/01/2025 IE 723,020.14 $770,731.82
00791GAA5 AG MERGER SUB II INC 10.75000 08/01/2027 US 13,492.6 $13,694.99
008492100 AGREE REALTY CORP US ADC 252.68 $18,483.33
00912XAV6 AIR LEASE CORP 3.62500 04/01/2027 US 743,682.52 $766,783.38
013093AD1 ALBERTSONS COS LLC/SAFEW 5.75000 03/15/2025 US 13,492.6 $13,875.11
015271109 ALEXANDRIA REAL EST EQUITIES US ARE 90.36 $13,918.79
01609W102 ALIBABA GROUP - ADR CN BABA 257.36 $43,037.61
01609WAT9 ALIBABA GROUP HOLDING 3.40000 12/06/2027 KY 578,546.56 $602,155.27
020002101 ALLSTATE CORPORATION US ALL 55.67 $6,050.09
02079K107 ALPHABET INC-CL C US GOOG 633.83 $772,639.46
02079K305 ALPHABET INC-CL A US GOOGL 632.41 $772,264.70
023135106 AMAZON.COM INC US AMZN 547.82 $950,974.72
02319V103 AMBEV SA-ADR BR ABEV 56,944.68 $263,084.41
0237400 DIAGEO PLC GB DGE LN 13,204.84 $539,419.36
02376RAA0 AMERICAN AIRLINES GROUP 5.50000 10/01/2019 US 159,809.61 $159,809.61
02406PAR1 AMERICAN AXLE & MFG INC 6.25000 04/01/2025 US 5,996.71 $5,824.30
024835100 AMERICAN CAMPUS COMMUNITIES US ACC 647.74 $31,143.55
0263494 BAE SYSTEMS PLC GB BA/ LN 5,474 $38,335.78
02665T306 AMERICAN HOMES 4 RENT- A US AMH 2,464.15 $63,796.84
0287580 BRITISH AMERICAN TOBACCO PLC GB BATS LN 1,052.27 $38,860.35
03019LAA4 AMERICAN TANKER INC 9.25000 02/22/2022 US 32,981.9 $33,394.36
03027X100 AMERICAN TOWER REIT INC US AMT 2,166.95 $479,177.73
03027XAW0 AMERICAN TOWER CORP 3.80000 08/15/2029 US 720,184.84 $768,657.19
03063NAA5 AMERICOLD LLC TRUST 3.84730 01/14/2029 US 14,767.05 $14,913.06
03064D108 AMERICOLD REALTY TRUST US COLD 1,206.39 $44,720.69
031162100 AMGEN INC US AMGN 103.73 $20,072.35
03690AAD8 ANTERO MIDSTREAM PART / FI 5.75000 03/01/2027 US 13,411.07 $11,181.48
03690AAF3 ANTERO MIDSTREAM PART/FI 5.75000 01/15/2028 US 13,492.6 $11,198.86
03748R754 APARTMENT INVT & MGMT CO -A US AIV 949.27 $49,494.71
038222105 APPLIED MATERIALS INC US AMAT 142.36 $7,103.82
039483102 ARCHER-DANIELS-MIDLAND CO US ADM 105.56 $4,335.32
03968AAA9 ARD SECURITIES FINANCE 8.75000 01/31/2023 LU 7,908.71 $8,185.51
0405207 HALMA PLC GB HLMA LN 773.57 $18,724.41
045086AF2 ASHTON WOODS USA/FINANCE 6.75000 08/01/2025 US 13,492.6 $13,458.87
0490656 KERRY GROUP PLC-A IE KYGA LN 321.58 $37,608.96
05278C107 AUTOHOME INC-ADR CN ATHM 340.71 $28,323.00
053484101 AVALONBAY COMMUNITIES INC US AVB 372.01 $80,104.68
054937107 BB&T CORP US BBT 117.4 $6,265.62
05604LAA0 BWAY 2015-1740 A 2.91700 01/10/2035 US 1,134,120.43 $1,166,607.54
05722G100 BAKER HUGHES A GE CO US BHGE 189.49 $4,396.12
060505104 BANK OF AMERICA CORP US BAC 770.17 $22,465.96
06051GFM6 BANK OF AMERICA CORP 4.00000 01/22/2025 US 1,173,842.2 $1,246,426.48
084670702 BERKSHIRE HATHAWAY INC-CL B US BRK/B 6,310.12 $1,312,630.26
086516101 BEST BUY INC US BBY 76.33 $5,266.34
09061G101 BIOMARIN PHARMACEUTICAL INC US BMRN 5,805.15 $391,267.21
0922320 SMITH & NEPHEW PLC GB SN/ LN 1,544.93 $37,204.73
09247X101 BLACKROCK INC US BLK 549.16 $244,728.12
0946580 WEIR GROUP PLC/THE GB WEIR LN 1,717.91 $30,093.74
097023105 BOEING CO US BA 69.06 $26,274.23
09857L108 BOOKING HOLDINGS INC US BKNG 268.21 $526,387.43
101121101 BOSTON PROPERTIES INC US BXP 417.23 $54,097.89
105368203 BRANDYWINE REALTY TRUST US BDN 3,151.04 $47,738.19
110122108 BRISTOL MYERS SQUIBB CO US BMY 264.02 $13,388.64
110448107 BRITISH AMERICAN TOB-SP ADR GB BTI 408.68 $15,080.21
11135F101 BROADCOM INC US AVGO 53.54 $14,780.07
11680JAA0 BRUIN E&P PARTNERS LLC 8.87500 08/01/2023 US 13,492.6 $10,085.72
12429TAE4 BWAY HOLDING CO 7.25000 04/15/2025 US 13,492.6 $12,754.55
124847AC8 ENTERCOM MEDIA CORP 7.25000 11/01/2024 US 5,996.71 $6,206.59
12503M108 CBOE GLOBAL MARKETS INC US CBOE 4,166.38 $478,759.00
12527GAB9 CF INDUSTRIES INC 7.12500 05/01/2020 US 11,993.42 $12,323.24
12541W209 C.H. ROBINSON WORLDWIDE INC US CHRW 48.97 $4,152.07
12555DAA3 CIM 2019-INV1 A1 4.00000 02/25/2049 US 134,180.95 $137,563.73
12572Q105 CME GROUP INC US CME 2,318.99 $490,094.89
12591QAR3 COMM 2014-UBS4 A5 3.69400 08/10/2047 US 1,020,708.39 $1,080,397.07
12593GAF9 COMM 2015-PC1 A5 3.90200 07/10/2050 US 538,707.2 $581,878.82
12629NAF2 COMM 2015-DC1 A5 FLT 3.35000 02/10/2048 US 567,060.22 $595,274.35
12646XAH5 CSMC 2013-IVR3 A1 2.50000 05/25/2043 US 249,937.94 $247,079.13
126650100 CVS HEALTH CORP US CVS 219.91 $13,869.83
12686CBA6 CABLEVISION SYSTEMS CORP 8.00000 04/15/2020 US 11,993.42 $12,338.23
131477AT8 CALUMET SPECIALTY PROD 11.00000 04/15/2025 US 19,407.78 $19,407.78
133131102 CAMDEN PROPERTY TRUST US CPT 381 $42,295.25
13321L108 CAMECO CORP CA CCJ 2,531.65 $24,050.67
149123101 CATERPILLAR INC US CAT 89.72 $11,332.95
149806AA9 CAZ 2015-1A A 2.00000 12/10/2023 US 4,601.36 $4,597.52
14980AAA0 CAZENOVIA CREEK FUNDING LLC 3.56070 07/15/2030 US 228,106.31 $229,136.44
156700AW6 CENTURYLINK INC 5.62500 04/01/2020 US 11,993.42 $12,159.53
165183BB9 CFII 2017-4A A1 2.12000 11/15/2029 US 349,809.86 $349,702.51
166764100 CHEVRON CORP US CVX 184.34 $21,862.94
17275R102 CISCO SYSTEMS INC US CSCO 535.94 $26,480.85
172967424 CITIGROUP INC US C 220.53 $15,234.05
172967EW7 CITIGROUP INC 8.12500 07/15/2039 US 345,263.7 $566,057.36
191216100 COCA COLA CO/THE US KO 19,194.47 $1,044,946.67
192422103 COGNEX CORP US CGNX 5,224.22 $256,666.03
194162103 COLGATE-PALMOLIVE CO US CL 155.13 $11,403.87
2011646 ALIMENTATION COUCHE-TARD -B CA ATD/B CN 1,245.14 $38,157.34
20369C106 COMMUNITY HEALTHCARE TRUST I US CHCT 706.46 $31,472.65
205887102 CONAGRA BRAND INC. US CAG 114.6 $3,516.03
222795502 COUSINS PROPERTIES INC US CUZ 1,974.4 $74,217.68
22546QAD9 CREDIT SUISSE AG 5.40000 01/14/2020 CH 679,195.38 $685,203.32
22822V101 CROWN CASTLE INTL CORP US CCI 279.66 $38,875.85
22944PAA5 CSMC 2013-TH1 A1 2.13000 02/25/2043 US 170,260.34 $165,406.15
229663109 CUBESMART US CUBE 338.95 $11,829.20
231021106 CUMMINS INC US CMI 40.45 $6,579.81
2328595 BANCO DO BRASIL S.A. BR BBAS3 BZ 1,522.01 $16,703.80
2347608 FIRST QUANTUM MINERALS LTD CA FM CN 969.37 $8,143.67
2458771 ITAUSA INVESTIMENTOS ITAU -PR BR ITSA4 BZ 5,841.63 $18,614.71
2521800 LOBLAW COMPANIES LTD CA L CN 667.6 $38,024.53
253868103 DIGITAL REALTY TRUST INC US DLR 316.29 $41,058.22
25470DAT6 DISCOVERY COMMUNICATIONS 5.20000 09/20/2047 US 684,693.74 $748,679.06
25787GAC4 DONNELLEY FINANCIAL SOL 8.25000 10/15/2024 US 13,492.6 $13,998.57
25960P109 DOUGLAS EMMETT INC US DEI 835.96 $35,804.03
260557103 DOW INC US DOW 122.25 $5,825.02
26151AAA7 DRAX FINCO PLC 6.62500 11/01/2025 GB 25,486.02 $26,505.46
26780TAA5 DYNAGAS LNG PARTNERS/FIN 6.25000 10/30/2019 MH 93,112.06 $93,177.24
269246401 ETRADE FINANCIAL CORP US ETFC 5,509.2 $240,697.02
2715777 QUEBECOR INC -CL B CA QBR/B CN 12,334.99 $280,059.23
277432100 EASTMAN CHEM CO US EMN 46.84 $3,458.43
2801836 SHAW COMMUNICATIONS INC-B CA SJR/B CN 13,964.93 $274,375.98
285512109 ELECTRONIC ARTS US EA 7,825.87 $765,526.65
2866857 LUNDIN MINING CORP CA LUN CN 1,638.33 $7,704.09
291011104 EMERSON ELEC CO US EMR 134.44 $8,988.33
29273RAR0 ENERGY TRANSFER OPERATNG 6.50000 02/01/2042 US 472,236.32 $566,438.62
29444U700 EQUINIX INC US EQIX 1,428.74 $824,099.24
2945422 WEG SA BR WEGE3 BZ 1,248.89 $7,304.08
29472R108 EQUITY LIFESTYLE PROPERTIES US ELS 254.5 $34,001.52
29476L107 EQUITY RESIDENTIAL US EQR 720.03 $62,109.87
29670E107 ESSENTIAL PROPERTIES REALTY US EPRT 1,247.25 $28,574.40
297178105 ESSEX PROPERTY TRUST INC US ESS 182.22 $59,520.77
302154BV0 EXPORT-IMPORT BANK KOREA 2.62500 12/30/2020 KR 1,375,642.33 $1,382,991.07
30225T102 EXTRA SPACE STORAGE INC US EXR 177.72 $20,761.04
30251JAA9 FDIC 2011-R1 A 2.67200 07/25/2026 US 4,699.78 $4,690.39
30261UAJ3 FREMF 2013-K713 B 3.26097 04/25/2046 US 340,236.13 $341,086.89
30286XAN9 FREMF 2015-K43 B FLT 3.86160 02/25/2048 US 686,360.57 $723,034.25
30291EAE4 FREMF 2013-K712 B FLT 3.40062 05/25/2045 US 213,395.1 $213,170.76
30291HAA5 FREMF 2013-K28 X2A 0.10000 06/25/2046 US 31,597,491.75 $86,934.18
30291XAE2 FREMF 2014-K715 B FLT 4.11215 02/25/2046 US 28,534.43 $29,081.06
30303M102 FACEBOOK INC -A US FB 5,283.17 $940,827.76
30744W107 FARFETCH LTD - CLASS A GB FTCH 384.77 $3,324.43
311900104 FASTENAL CO US FAST 151.79 $4,958.87
3128M5A91 FHLM POOL G03332 6.00000 10/01/2037 US 11,806.5 $13,583.07
3128M5DD9 FHLM POOL G03400 5.50000 03/01/2037 US 3,977.42 $4,491.37
3128M5NM8 FHLM POOL G03696 5.50000 01/01/2038 US 25,832.37 $29,150.45
3128M6B98 FHLM POOL G04264 5.50000 04/01/2038 US 90,449.88 $102,134.61
3128M6NC8 FHLM POOL G04587 5.50000 08/01/2038 US 2,426 $2,736.16
3128M73H7 FHLM POOL G05900 6.00000 03/01/2040 US 24,398.37 $27,741.88
3128M73P9 FHLM POOL G05906 6.00000 04/01/2040 US 32,752.62 $36,764.30
3128M7KW5 FHLM POOL G05409 5.50000 03/01/2039 US 62,512.79 $70,551.93
3128M8AW4 FHLM POOL G06021 5.50000 01/01/2040 US 24,596.53 $27,767.06
3128M9C83 FHLM POOL G06995 6.00000 05/01/2040 US 75,595.99 $87,056.19
3128MB4Q7 FHLM POOL G13331 5.50000 10/01/2023 US 2,348.58 $2,430.35
3128MBDP9 FHLM POOL G12610 6.00000 03/01/2022 US 4,136.17 $4,236.20
3128MBE45 FHLM POOL G12655 6.00000 05/01/2022 US 2,835.56 $2,911.96
3128MBRH2 FHLM POOL G12988 6.00000 01/01/2023 US 2,466.3 $2,551.81
3128MBUB1 FHLM POOL G13078 6.00000 03/01/2023 US 4,138.01 $4,272.22
3128MJ2U3 FHLM GOLD POOL FG G08786 4.50000 10/01/2047 US 528,246.39 $560,763.66
3128MJJT8 FHLM POOL G08273 5.50000 06/01/2038 US 65,988.68 $74,472.39
3128P76R9 FHLM POOL C91780 4.50000 07/01/2034 US 13,101.58 $14,104.27
3131XVYW9 FEDERAL NATL MTG ASSN FR ZM2525 3.00000 12/01/2046 US 413,074.05 $422,625.56
3132LMMM5 FHLM POOL K91364 4.50000 11/01/2033 US 7,848.43 $8,348.77
3132LNE83 FHLM POOL K92059 4.50000 09/01/2034 US 11,533.99 $12,387.20
3132VLY43 FHLM POOL FG Q60730 4.00000 01/01/2049 US 498,981.59 $519,233.17
3132Y33P7 FHLM POOL FG Q59805 4.50000 11/01/2048 US 310,284.1 $327,906.16
31335ABB3 FHLM POOL G60034 4.50000 02/01/2045 US 717,669.08 $773,285.78
31335AFY9 FHLM POOL G60183 4.00000 12/01/2044 US 160,771.98 $168,352.31
31335CCY8 FHLM POOL FG G61887 MTGE 5.00000 02/01/2049 US 307,409.75 $329,532.74
31336WBS7 FHLM POOL G11850 5.50000 07/01/2020 US 405.46 $406.43
3133G6L60 FEDERAL NATL MTG ASSN FR QN0349 3.00000 08/01/2034 US 440,449.2 $450,373.28
3136AY6W8 FNA 2017-M15 A1 3.05802 09/25/2027 US 441,973.05 $462,870.38
3136B1YD0 FNR 2018-31 KP 3.50000 07/25/2047 US 299,317.89 $314,643.29
31371NCJ2 FEDERAL NATL MTG ASSN 256673 5.50000 04/01/2037 US 123,662.75 $139,535.19
313747206 FEDERAL RLTY INVT TR SH BEN INT US FRT 88.86 $12,097.28
3137A2B34 FHMS K009 X1 FLT 1.42667 08/25/2020 US 3,156,070.83 $26,324.47
3137ADTK3 FHMS K014 X1 FLT 1.32351 04/25/2021 US 1,902,413.29 $28,410.83
3137AJMG6 FMHS K016 X1 FLT 1.63454 10/25/2021 US 1,150,003.39 $29,899.40
3137AME78 FHMS K017 X1 FLT 1.44538 12/25/2021 US 442,213.29 $10,247.19
3137AUPF0 FHMS K021 x1 FLT 1.56289 06/25/2022 US 4,461,077.14 $148,717.59
3137B3NB0 FHMS K030 X1 FLT 0.30017 04/25/2023 US 13,557,761.82 $84,669.58
3137B4GZ3 FHMS K032 X1 FLT 0.21238 05/25/2023 US 8,715,780.62 $35,345.98
3137F4YU0 FHR 4791 BA MTGE 4.00000 03/15/2044 US 326,574.46 $332,859.94
3137FG2L8 FHR 4801 BA MTGE 4.50000 05/15/2044 US 294,340.03 $300,830.02
3138ABBY4 FEDERAL NATL MTG ASSN AH9054 4.50000 04/01/2041 US 59,585.83 $64,564.77
3138ASSD5 FEDERAL NATL MTG ASSN AJ1415 4.50000 09/01/2041 US 34,498.49 $37,382.07
3138EGGZ1 FEDERAL NATL MTG ASSN AL0215 4.50000 04/01/2041 US 22,116.96 $23,899.57
3138EQTZ5 FEDERAL NATL MTG ASSN AL7767 4.50000 06/01/2044 US 461,786.27 $500,249.19
3138ERN30 FEDERAL NATL MTG ASSN FN AL9409 3.50000 11/01/2031 US 354,509.15 $367,898.13
3138ETT89 FEDERAL NATL MTG ASSN AL8674 FLT 5.64300 01/01/2049 US 606,227.08 $681,635.53
3138WDAY7 FEDERAL NATL MTG ASSN FN AS3622 3.50000 10/01/2044 US 842,700.14 $885,125.69
3138WGK37 FEDERAL NATL MTG ASSN FN AS6613 4.00000 02/01/2046 US 788,912.77 $831,177.80
31403DDX4 FEDERAL NATL MTG ASSN 745418 5.50000 04/01/2036 US 139,666.57 $157,931.85
31407EJW4 FEDERAL NATL MTG ASSN 828377 5.50000 06/01/2035 US 4,500.23 $5,089.59
3140E2GZ8 FEDERAL NATL MTG ASSN AZ9215 4.00000 10/01/2045 US 148,670.33 $156,048.20
3140EWG66 FEDERAL NATL MTG ASSN BC2020 3.50000 07/01/2046 US 309,308.98 $322,220.78
3140F2QS2 FEDERAL NATL MTG ASSN BC6764 3.50000 04/01/2046 US 178,733.75 $185,959.15
3140F9M51 FEDERAL NATL MTG ASSN BD2179 4.00000 07/01/2046 US 390,131.07 $410,534.82
3140FEXR0 FEDERAL NATL MTG ASSN BD6987 4.00000 10/01/2046 US 455,940.81 $478,728.22
3140FPGW3 FEDERAL NATL MTG ASSN BE3812 4.00000 12/01/2046 US 23,841.14 $25,029.26
3140HPUY1 FEDERAL NATL MTG ASSN FN BK9598 4.50000 08/01/2048 US 131,939.54 $139,401.38
3140JGVQ5 FEDERAL NATL MTG ASSN FN BN0622 4.50000 01/01/2049 US 499,985.52 $527,891.18
3140Q84E2 FEDERAL NATL MTG ASSN FN CA1720 5.00000 05/01/2048 US 447,963.53 $481,543.48
3140Q9D42 FEDERAL NATL MTG ASSN FN CA1922 5.00000 06/01/2048 US 184,830.43 $198,601.66
3140Q9PD9 FEDERAL NATL MTG ASSN FN CA2219 5.00000 08/01/2048 US 708,367.42 $761,147.41
3140Q9T78 FEDERAL NATL MTG ASSN FN CA2373 5.00000 09/01/2048 US 17,785.8 $19,119.17
3140X4JC1 FEDERAL NATL MTG ASSN FM1158 3.50000 06/01/2034 US 623,473.49 $644,974.52
31410FSE6 FEDERAL NATL MTG ASSN 888017 6.00000 11/01/2021 US 2,937.4 $3,000.56
31410FV51 FEDERAL NATL MTG ASSN 888136 6.00000 12/01/2021 US 3,317.17 $3,393.44
31410GCD3 FEDERAL NATL MTG ASSN 888468 5.50000 09/01/2021 US 20,719.75 $21,013.20
31410GN33 FEDERAL NATL MTG ASSN 888810 5.50000 11/01/2022 US 25,049.19 $25,379.92
31410KGB4 FEDERAL NATL MTG ASSN 889494 5.50000 01/01/2037 US 8,293.83 $9,355.49
31410KJV7 FEDERAL NATL MTG ASSN 889576 6.00000 04/01/2038 US 78,145.79 $89,946.47
31410KLD4 FEDERAL NATL MTG ASSN 889624 5.50000 05/01/2038 US 76,152.6 $85,781.81
31411JXP6 FEDERAL NATL MTG ASSN 909786 5.50000 03/01/2037 US 28,598.15 $32,178.55
31416BSW9 FEDERAL NATL MTG ASSN 995233 5.50000 10/01/2021 US 616.73 $622.74
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912796SZ3 TREASURY BILL 0.00000 07/16/2020 US 1,380,239.98 $1,360,669.48
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912810RX8 US TREASURY N/B 3.00000 05/15/2047 US 2,150,084.25 $2,547,765.86
9128286N5 TSY INFL IX N/B 0.50000 04/15/2024 US 1,978,960.85 $2,002,646.58
912828D56 US TREASURY N/B 2.37500 08/15/2024 US 1,203,585.31 $1,248,437.66
912828K33 UNITED STATES TREAS INFL INDEX 0.12500 04/15/2020 US 4,010,908.38 $3,976,439.64
912828K74 US TREASURY N/B 2.00000 08/15/2025 US 33,344.52 $34,084.36
912828R36 US TREASURY N/B 1.62500 05/15/2026 US 2,587,061.24 $2,588,273.93
912828VB3 UNITED STATES TREAS NTS 1.75000 05/15/2023 US 2,520,582.66 $2,535,253.23
912828WJ5 US TREASURY N/B 2.50000 05/15/2024 US 128,323.42 $133,606.74
912828XB1 UNITED STATES TREAS NTS 2.12500 05/15/2025 US 2,372,296.41 $2,439,387.92
913017109 UNITED TECHNOLOGIES CORP US UTX 123.79 $16,900.36
91704F104 URBAN EDGE PROPERTIES US UE 1,534.84 $30,374.41
918204108 VF CORP US VFC 85.48 $7,606.57
91913Y100 VALERO ENERGY US VLO 90.96 $7,753.03
92189F106 MARKET VECTORS GOLD MINERS US 2,983.77 $79,696.50
92276F100 VENTAS INC US VTR 857.03 $62,588.67
92339V100 VEREIT INC US VER 4,128.57 $40,377.39
92343VDV3 VERIZON COMMUNICATIONS 5.50000 03/16/2047 US 858,824.77 $1,133,492.80
92532F100 VERTEX PHARMACEUTICALS INC US VRTX 1,780.29 $301,616.62
92553P201 VIACOM INC CL B US VIAB 123.18 $2,959.97
92826C839 VISA INC - CLASS A SHARES US V 8,660.93 $1,489,767.40
92840JAA7 VISTAJET MALTA/XO MGMT 10.50000 06/01/2024 MUL 20,988.48 $20,358.83
92903PAC3 VNO 2010 - VNO A2FX 4.00350 09/13/2028 US 84,166.83 $84,894.42
929042109 VORNADO REALTY TRUST US VNO 224.44 $14,289.92
92922PAL0 W & T OFFSHORE INC 9.75000 11/01/2023 US 7,414.36 $7,077.90
93065PAA9 WBHT 2019-WBM A FLT 3.07750 12/15/2033 US 314,795.58 $314,804.18
931142103 WAL MART STORES US WMT 315.73 $37,470.78
931427108 WALGREENS BOOTS ALLIANCE INC US WBA 171.22 $9,470.21
94106L109 WASTE MANAGEMENT INC US WM 86.69 $9,969.62
94856UAA9 WEEKLEY HOMES LLC/ FINAN 6.62500 08/15/2025 US 26,985.19 $27,052.66
948741103 WEINGARTEN REALTY INVESTORS US WRI 986.53 $28,737.52
949746101 WELLS FARGO COMPANY US WFC 567.88 $28,643.88
94987MAB7 WELLS FARGO COMMERCIAL MORTGAGE 4.39300 11/15/2043 US 9,783.23 $9,914.66
95040Q104 WELLTOWER INC. US WELL 539.23 $48,881.46
958102105 WESTERN DIGITAL CORP US WDC 80.9 $4,824.73
96949LAD7 WILLIAMS PARTNERS LP 3.75000 06/15/2027 US 554,722.77 $572,965.98
97651JAE6 WINWATER MORTGAGE LOAN TRUST 3.50000 03/20/2045 US 158,839.8 $159,303.94
97652TAA1 WIN 2015-1 A1 3.50000 01/20/2045 US 209,981.68 $213,541.50
AP8694550 BOREALIS FINANCE LLC 7.50000 11/16/2022 MH 28,484.37 $26,775.31
B00FM53 BANCO BRADESCO SA - PREF BR BBDC4 BZ 4,775.9 $39,035.26
B01FLR7 PING AN INSURANCE GROUP CO-H CN 2318 HK 2,431.29 $27,944.61
B02J639 ADMIRAL GROUP PLC GB ADM LN 946.27 $24,607.03
B02L486 MOWI ASA NO MOWI NO 1,492.05 $34,462.26
B037HR3 ITAU UNIBANCO HOLDINGS S-PREF BR ITUB4 BZ 5,323.76 $44,935.35
B037JC2 NEXITY FR NXI FP 118.73 $5,651.83
B058TZ6 SAFRAN SA FR SAF FP 127.72 $20,110.34
B068DB9 SM INVESTMENTS CORP PH SM PM 898.65 $16,840.05
B07DRZ5 RECORDATI SPA IT REC IM 830.05 $35,599.80
B08K3S0 LOCALIZA RENT A CAR BR RENT3 BZ 607.82 $6,650.30
B0C2CQ3 ENGIE FR ENGI FP 744.95 $12,159.26
B0CGYD6 LOJAS RENNER S.A. BR LREN3 BZ 852.58 $10,335.78
B0MP1B0 SHENZHOU INTERNATIONAL GROUP CN 2313 HK 2,041.51 $26,632.10
B11ZRK9 LEGRAND SA FR LR FP 106.49 $7,596.80
B13X013 EIFFAGE FR FGR FP 112.24 $11,635.77
B15C557 TOTAL SA FR FP FP 740.78 $38,570.11
B1FW751 GALP ENERGIA SGPS SA PT GALP PL 2,457.19 $36,954.21
B1KFX13 GRUPO AEROPORTUARIO DEL CENT MX OMAB MM 2,736.02 $16,281.09
B1XFTL2 HEXAGON AB-B SHS SE HEXAB SS 416.73 $20,073.73
B1XH026 VINCI SA FR DG FP 336.73 $36,272.45
B1Y47Y7 GERRESHEIMER AG DE GXI GR 198.4 $14,225.19
B1Y9TB3 DANONE FR BN FP 938.15 $82,634.08
B1YXBJ7 AIR LIQUIDE FR AI FP 159.7 $22,728.08
B1Z9Q99 ABOITIZ POWER CORP PH AP PM 15,917.19 $11,769.62
B247XZ6 MANILA ELECTRIC COMPANY PH MER PM 1,569.1 $11,194.20
B3NB1P2 SUNCOR ENERGY INC CA SU CN 1,024.74 $32,323.72
B3ZCNF7 TELEFONICA BRASIL S.A. - PREF BR VIVT4 BZ 639.44 $8,448.99
B3ZD2V9 MEX BONOS DESARR FIX RT 6.50000 06/10/2021 MX 828,442.54 $41,835.63
B4888C1 CANADIAN GOVERNMENT FLT 2.75000 06/01/2022 CA 110,712.7 $86,242.84
B4975P9 MAGAZINE LUIZA SA BR MGLU3 BZ 761 $6,765.77
B4JSTL6 WYNN MACAU LTD MO 1128 HK 11,949.22 $23,285.10
B4NDCC9 MEX BONOS DESARR FIX RT 6.50000 06/09/2022 MX 1,184,667.14 $59,714.21
B4P8HQ1 MGM CHINA HOLDINGS LTD MO 2282 HK 10,856.76 $16,904.12
B4R2R50 JULIUS BAER CH BAER SW 465.45 $20,615.28
B4V5RY4 BANCO SANTANDER BRASIL - UNIT BR SANB11 BZ 669.42 $7,324.25
B5B23W2 SANDS CHINA LTD MO 1928 HK 5,608.28 $25,342.02
B5VJH76 BDO UNIBANK INC PH BDO PM 6,028.77 $16,632.90
B615Y14 MEX BONOS DESARR FIX RT 8.00000 06/11/2020 MX 1,580,975.45 $80,715.15
B63QM77 NEXON CO LTD JP 3659 JP 86,849.94 $1,055,242.07
B6TC406 MEX BONOS DESARR FIX RT 7.75000 05/29/2031 MX 307,988.19 $16,535.91
B725S29 PUREGOLD PRICE CLUB INC PH PGOLD PM 6,520.83 $4,911.74
B7FQV64 RAIA DROGASIL S.A. BR RADL3 BZ 304.73 $7,030.44
B92RW83 LT GROUP INC PH LTG PM 19,183.5 $5,159.52
B9N3SQ0 BB SEGURIDADE PARTICIPACOES BR BBSE3 BZ 1,095.71 $9,277.41
BB22L96 KION GROUP AG DE KGX GR 374.1 $19,673.45
BBG00ND15VD4 SNE US 10/18/19 P55 JP -58.78 -$293.91
BBG00Q0BJS32 CME US 10/18/19 P190 US -16.77 -$586.89
BBG00Q4JGRN4 MU US 10/11/2019 P43.5 US -74.33 -$11,596.08
BBQ3850 KEYWORDS STUDIOS PLC IE KWS LN 418.09 $5,888.35
BD0PJ08 INMOBILIARIA COLONIAL SOCIMI ES COL SM 1,552.59 $18,732.05
BD4TZK8 OCI NV NL OCI NA 298.29 $7,035.37
BD9Y5C0 TECHNOGYM SPA IT TGYM IM 2,770.63 $30,798.13
BD9Y9B7 BASIC-FIT NV NL BFIT NA 872.12 $27,321.37
BF1K7P7 ESSITY AKTIEBOLAG-B SE ESSITYB SS 1,181.49 $34,474.08
BFTCYP4 ROBINSONS RETAIL HOLDINGS IN PH RRHI PM 3,752.31 $5,719.32
BG36ZK1 B3 SA-BRASIL BOLSA BALCAO BR B3SA3 BZ 2,069.86 $21,829.71
BG7ZWY7 AMBEV SA BR ABEV3 BZ 5,413.71 $25,016.71
BGHQ198 HIBERNIA REIT PLC IE HBRN ID 12,546.39 $20,102.24
BH3T8K8 ORBIA ADVANCE CORP SAB DE CV MX 9,861.15 $19,328.53
BH4TZ73 FU SHOU YUAN INTERNATIONAL CN 1448 HK 18,567.16 $16,406.34
BJ2KSG2 AKZO NOBEL NL AKZA NA 502.13 $44,741.48
BJT1GR5 ALCON INC CH ALC SW 327.64 $19,111.44
BMJ6DW5 INFORMA PLC GB INF LN 3,517.43 $36,837.57
BMMV2K8 TENCENT HOLDINGS LTD CN 700 HK 26,188.35 $1,095,404.18
BMTRW10 B&M EUROPEAN VALUE RETAIL SA GB BME LN 3,430.61 $15,995.81
BNGN9Z1 FINECOBANK SPA IT FBK IM 2,862.73 $30,287.91
BP9DL90 INDUSTRIA DE DISENO TEXTIL ES ITX SM 29,977.75 $927,742.20
BSQXJ01 THULE GROUP AB/THE SE THULE SS 1,868.82 $35,370.97
BVSS790 ELIS SA FR ELIS FP 617.36 $10,911.21
BYXS699 QIAGEN N.V. NL QIA GR 639.42 $20,940.31
BYXZ2W5 RUMO SA BR RAIL3 BZ 1,551.99 $9,173.84
BYYHL23 ANHEUSER-BUSCH INBEV SA/NV BE ABI BB 11,354.33 $1,080,704.08
BYZFYS3 SPIE SA FR SPIE FP 316.23 $6,327.87
BYZFZ91 SOPHOS GROUP PLC GB SOPH LN 4,410.4 $21,722.05
BYZR014 AMUNDI SA FR AMUN FP 246.94 $17,201.62
G0772R208 BANK OF N.T. BUTTERFIELD&SON BM NTB 518.84 $15,378.35
G25839104 COCA-COLA EUROPEAN PARTNERS GB CCEP 673.92 $37,368.80
G29183103 EATON CORP PLC US ETN 98.55 $8,194.35
G37585AC3 GASLOG LTD 8.87500 03/22/2022 BM 11,993.42 $12,413.19
G45667105 HOLLYSYS AUTOMATION TECHNOLOGIES CN HOLI 1,245.44 $18,918.18
G51502105 JOHNSON CONTROLS INTERNATIONAL US JCI 184.63 $8,103.21
G5960L103 MEDTRONIC INC IE MDT 16,334.15 $1,774,215.32
G97822103 PERRIGO CO PLC IE PRGO 445.67 $24,908.38
H01301128 ALCON INC CH ALC 8,513.19 $496,234.09
H1467J104 CHUBB LTD CH CB 59.02 $9,527.54
H8817H100 TRANSOCEAN LTD US RIG 26,429.26 $118,138.79
N22717107 CORE LABORATORIES N.V. NL CLB 324.92 $15,147.70
N47279109 INTERXION HOLDING NV NL INXN 10,672.96 $869,419.55
N53745100 LYONDELLBASELL INDU-CL A US LYB 89.72 $8,027.54
N72482123 QIAGEN N.V. ADR NL QGEN 394.34 $13,001.27
USD US DOLLAR US 1,323,008 $1,323,008.00

Based on the investments of the underlying fund(s): Manning & Napier Pro-Mix® Extended Term CIT Fund and Manning & Napier Pro-Mix® Moderate 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 45 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

$23.44

Daily $ Change

-$0.07

Daily % Change

-0.30%

as of 10/22/2019

CUSIP

563821172

Inception Date

01/06/2005

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

Important Documents

Annual Report
Fact Sheet
Applications & Forms

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 balanced mix of securities that seeks a more stable rate of long-term growth than that of the broad stock market. The portfolio is diversified among fixed income securities, primarily with intermediate to long-term maturities, and various stocks. Stock exposure can range from 21% - 61%.

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 15% - 45%.

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.

Target Series Glide Path Overview

Learn more about our Glide Range SM

Performance

As of 09/30/2019

YTD

12.63%

1 Year

6.93%

3 Year

5.64%

5 Year

3.83%

10 Year

6.48%

Inception
(01/01/2000)

6.33%

US Stock Market Cycle (04/01/2000 - 09/30/2019)

6.35%

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. 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.

Expense Ratio

Gross 0.89%
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 09/30/2019

GOVERNMENT AGENCY 12.61%
TREASURY BONDS 8.07%
TREASURY NOTES 6.97%
UNITED STATES TREAS INFL INDEX 0.12500 04/15/2020 3.09%
TSY INFL IX N/B 0.50000 04/15/2024 1.56%
MEDTRONIC INC 1.38%
MASTERCARD INC-CLASS A 1.22%
MICROSOFT CORP 1.22%
NOVARTIS AG- REG 1.21%
VISA INC - CLASS A SHARES 1.16%

This investment list is unaudited and excludes cash.

Asset Allocation

As of 09/30/2019

Bonds
61.03%
Stocks
37.94%
Cash
1.03%

Detailed Asset Class Allocation

As of 09/30/2019

International Equities
15.43%
Small Capitalization
0.30%
Mid Capitalization
0.71%
Large Capitalization
21.50%
Long Term Fixed Income
21.74%
Intermediate Term Fixed Income
30.88%
Short Term Fixed Income
8.41%
Cash
1.03%

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

September Fund Holdings

As of 09/30/2019

CUSIP Security Description Country Ticker Shares/Par Market Value (USD)
00101JAK2 ADT SEC CORP 6.25000 10/15/2021 US 11,993.42 $12,772.99
00206RDQ2 AT&T INC 4.25000 03/01/2027 US 747,559.53 $813,355.23
00287Y109 ABBVIE INC US ABBV 229.05 $17,343.93
004239109 ACADIA REALTY TRUST US AKR 401.58 $11,477.29
00489LAA1 ACRISURE LLC / FIN INC 7.00000 11/15/2025 US 13,492.6 $12,579.15
00507V109 ACTIVISION INC US ATVI 15,793.5 $835,791.90
00774MAG0 AERCAP IRELAND CAP / GLOBA 4.45000 10/01/2025 IE 723,020.14 $770,731.82
00791GAA5 AG MERGER SUB II INC 10.75000 08/01/2027 US 13,492.6 $13,694.99
008492100 AGREE REALTY CORP US ADC 252.68 $18,483.33
00912XAV6 AIR LEASE CORP 3.62500 04/01/2027 US 743,682.52 $766,783.38
013093AD1 ALBERTSONS COS LLC/SAFEW 5.75000 03/15/2025 US 13,492.6 $13,875.11
015271109 ALEXANDRIA REAL EST EQUITIES US ARE 90.36 $13,918.79
01609W102 ALIBABA GROUP - ADR CN BABA 257.36 $43,037.61
01609WAT9 ALIBABA GROUP HOLDING 3.40000 12/06/2027 KY 578,546.56 $602,155.27
020002101 ALLSTATE CORPORATION US ALL 55.67 $6,050.09
02079K107 ALPHABET INC-CL C US GOOG 633.83 $772,639.46
02079K305 ALPHABET INC-CL A US GOOGL 632.41 $772,264.70
023135106 AMAZON.COM INC US AMZN 547.82 $950,974.72
02319V103 AMBEV SA-ADR BR ABEV 56,944.68 $263,084.41
0237400 DIAGEO PLC GB DGE LN 13,204.84 $539,419.36
02376RAA0 AMERICAN AIRLINES GROUP 5.50000 10/01/2019 US 159,809.61 $159,809.61
02406PAR1 AMERICAN AXLE & MFG INC 6.25000 04/01/2025 US 5,996.71 $5,824.30
024835100 AMERICAN CAMPUS COMMUNITIES US ACC 647.74 $31,143.55
0263494 BAE SYSTEMS PLC GB BA/ LN 5,474 $38,335.78
02665T306 AMERICAN HOMES 4 RENT- A US AMH 2,464.15 $63,796.84
0287580 BRITISH AMERICAN TOBACCO PLC GB BATS LN 1,052.27 $38,860.35
03019LAA4 AMERICAN TANKER INC 9.25000 02/22/2022 US 32,981.9 $33,394.36
03027X100 AMERICAN TOWER REIT INC US AMT 2,166.95 $479,177.73
03027XAW0 AMERICAN TOWER CORP 3.80000 08/15/2029 US 720,184.84 $768,657.19
03063NAA5 AMERICOLD LLC TRUST 3.84730 01/14/2029 US 14,767.05 $14,913.06
03064D108 AMERICOLD REALTY TRUST US COLD 1,206.39 $44,720.69
031162100 AMGEN INC US AMGN 103.73 $20,072.35
03690AAD8 ANTERO MIDSTREAM PART / FI 5.75000 03/01/2027 US 13,411.07 $11,181.48
03690AAF3 ANTERO MIDSTREAM PART/FI 5.75000 01/15/2028 US 13,492.6 $11,198.86
03748R754 APARTMENT INVT & MGMT CO -A US AIV 949.27 $49,494.71
038222105 APPLIED MATERIALS INC US AMAT 142.36 $7,103.82
039483102 ARCHER-DANIELS-MIDLAND CO US ADM 105.56 $4,335.32
03968AAA9 ARD SECURITIES FINANCE 8.75000 01/31/2023 LU 7,908.71 $8,185.51
0405207 HALMA PLC GB HLMA LN 773.57 $18,724.41
045086AF2 ASHTON WOODS USA/FINANCE 6.75000 08/01/2025 US 13,492.6 $13,458.87
0490656 KERRY GROUP PLC-A IE KYGA LN 321.58 $37,608.96
05278C107 AUTOHOME INC-ADR CN ATHM 340.71 $28,323.00
053484101 AVALONBAY COMMUNITIES INC US AVB 372.01 $80,104.68
054937107 BB&T CORP US BBT 117.4 $6,265.62
05604LAA0 BWAY 2015-1740 A 2.91700 01/10/2035 US 1,134,120.43 $1,166,607.54
05722G100 BAKER HUGHES A GE CO US BHGE 189.49 $4,396.12
060505104 BANK OF AMERICA CORP US BAC 770.17 $22,465.96
06051GFM6 BANK OF AMERICA CORP 4.00000 01/22/2025 US 1,173,842.2 $1,246,426.48
084670702 BERKSHIRE HATHAWAY INC-CL B US BRK/B 6,310.12 $1,312,630.26
086516101 BEST BUY INC US BBY 76.33 $5,266.34
09061G101 BIOMARIN PHARMACEUTICAL INC US BMRN 5,805.15 $391,267.21
0922320 SMITH & NEPHEW PLC GB SN/ LN 1,544.93 $37,204.73
09247X101 BLACKROCK INC US BLK 549.16 $244,728.12
0946580 WEIR GROUP PLC/THE GB WEIR LN 1,717.91 $30,093.74
097023105 BOEING CO US BA 69.06 $26,274.23
09857L108 BOOKING HOLDINGS INC US BKNG 268.21 $526,387.43
101121101 BOSTON PROPERTIES INC US BXP 417.23 $54,097.89
105368203 BRANDYWINE REALTY TRUST US BDN 3,151.04 $47,738.19
110122108 BRISTOL MYERS SQUIBB CO US BMY 264.02 $13,388.64
110448107 BRITISH AMERICAN TOB-SP ADR GB BTI 408.68 $15,080.21
11135F101 BROADCOM INC US AVGO 53.54 $14,780.07
11680JAA0 BRUIN E&P PARTNERS LLC 8.87500 08/01/2023 US 13,492.6 $10,085.72
12429TAE4 BWAY HOLDING CO 7.25000 04/15/2025 US 13,492.6 $12,754.55
124847AC8 ENTERCOM MEDIA CORP 7.25000 11/01/2024 US 5,996.71 $6,206.59
12503M108 CBOE GLOBAL MARKETS INC US CBOE 4,166.38 $478,759.00
12527GAB9 CF INDUSTRIES INC 7.12500 05/01/2020 US 11,993.42 $12,323.24
12541W209 C.H. ROBINSON WORLDWIDE INC US CHRW 48.97 $4,152.07
12555DAA3 CIM 2019-INV1 A1 4.00000 02/25/2049 US 134,180.95 $137,563.73
12572Q105 CME GROUP INC US CME 2,318.99 $490,094.89
12591QAR3 COMM 2014-UBS4 A5 3.69400 08/10/2047 US 1,020,708.39 $1,080,397.07
12593GAF9 COMM 2015-PC1 A5 3.90200 07/10/2050 US 538,707.2 $581,878.82
12629NAF2 COMM 2015-DC1 A5 FLT 3.35000 02/10/2048 US 567,060.22 $595,274.35
12646XAH5 CSMC 2013-IVR3 A1 2.50000 05/25/2043 US 249,937.94 $247,079.13
126650100 CVS HEALTH CORP US CVS 219.91 $13,869.83
12686CBA6 CABLEVISION SYSTEMS CORP 8.00000 04/15/2020 US 11,993.42 $12,338.23
131477AT8 CALUMET SPECIALTY PROD 11.00000 04/15/2025 US 19,407.78 $19,407.78
133131102 CAMDEN PROPERTY TRUST US CPT 381 $42,295.25
13321L108 CAMECO CORP CA CCJ 2,531.65 $24,050.67
149123101 CATERPILLAR INC US CAT 89.72 $11,332.95
149806AA9 CAZ 2015-1A A 2.00000 12/10/2023 US 4,601.36 $4,597.52
14980AAA0 CAZENOVIA CREEK FUNDING LLC 3.56070 07/15/2030 US 228,106.31 $229,136.44
156700AW6 CENTURYLINK INC 5.62500 04/01/2020 US 11,993.42 $12,159.53
165183BB9 CFII 2017-4A A1 2.12000 11/15/2029 US 349,809.86 $349,702.51
166764100 CHEVRON CORP US CVX 184.34 $21,862.94
17275R102 CISCO SYSTEMS INC US CSCO 535.94 $26,480.85
172967424 CITIGROUP INC US C 220.53 $15,234.05
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N22717107 CORE LABORATORIES N.V. NL CLB 324.92 $15,147.70
N47279109 INTERXION HOLDING NV NL INXN 10,672.96 $869,419.55
N53745100 LYONDELLBASELL INDU-CL A US LYB 89.72 $8,027.54
N72482123 QIAGEN N.V. ADR NL QGEN 394.34 $13,001.27
USD US DOLLAR US 1,323,008 $1,323,008.00

Based on the investments of the underlying fund(s): Manning & Napier Pro-Mix® Extended Term CIT Fund and Manning & Napier Pro-Mix® Moderate 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 45 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.